Estados Contables

Información actualizada a Octubre de 2024

(*) Al pie de este Balance se encuentra una tabla con el detalle de la nota del Informe del Auditor correspondiente al cierre del ejercicio trimestral o anual

Montos expresados en miles de pesos.

Dic-2022 Dic-2023 Ago-2024 Set-2024 Oct-2024
A C T I V O 15.535.122.064 46.853.472.520 78.319.920.255 92.639.827.002 96.795.171.383
   EFECTIVO Y DEPOSITO EN BANCOS 2.441.909.791 8.822.746.965 13.014.718.138 23.391.218.064 24.184.402.648
   TÍTULOS PÚBLICOS Y PRIVADOS 6.120.032.380 10.081.327.079 24.089.353.533 23.726.067.871 24.504.758.693
   PRÉSTAMOS 4.437.168.591 11.584.141.255 27.452.003.219 30.274.551.801 33.196.494.037
      SECTOR PÚBLICO NO FINANCIERO 5.612.192 14.972.064 71.993.710 62.558.957 57.260.422
      SECTOR FINANCIERO 79.552.345 138.672.269 404.172.103 479.013.457 595.437.177
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 4.504.326.600 11.778.373.063 27.712.888.454 30.549.056.475 33.457.696.927
         ADELANTOS 522.472.049 1.156.992.678 3.455.710.672 3.590.534.658 3.248.417.912
         DOC A SOLA FIRMA, DESCONT. Y COMPRADOS 1.055.358.161 2.823.225.731 6.679.781.352 7.418.196.173 8.132.019.249
         HIPOTECARIOS 79.829.684 144.844.637 254.765.359 349.458.681 505.165.359
         PRENDARIOS 209.866.835 700.656.520 1.561.211.242 1.695.602.708 1.903.261.437
         PERSONALES 470.063.690 870.057.306 2.718.581.036 3.212.824.410 3.723.871.837
         OTROS 1.897.285.479 5.268.670.523 11.327.502.390 12.516.903.840 14.083.941.862
         INTERESES Y DIF. COTIZ. DEVENG. A COBRAR 356.621.175 1.126.891.781 2.029.087.799 2.113.245.602 2.245.344.181
         COBROS NO APLICADOS -238.880 -1.359.318 -1.116.429 -803.787 -2.789.638
         INTERESES DOCUMENTADOS -43.638.692 -190.660.194 -185.382.467 -204.686.548 -227.107.756
         AJUSTES NIIF -43.292.901 -120.946.601 -127.252.500 -142.219.262 -154.427.516
      PREVISIONES -152.322.546 -347.876.141 -737.051.048 -816.077.088 -913.900.489
   OTROS CRED.POR INTERM.FINAN. 1.197.231.991 11.355.740.334 4.200.504.149 5.367.604.940 5.353.171.432
   CREDITO POR ARRENDAMIENTO FINANCIERO 35.832.553 64.929.465 113.411.221 131.006.669 144.730.237
   PART. EN OTRAS SOCIEDADES 85.326.313 518.290.794 951.398.161 1.006.274.430 1.050.194.995
         EN ENTIDADES FINANCIERAS 25.687.239 277.813.041 492.821.426 513.672.322 531.273.986
         OTRAS 59.639.074 240.477.753 458.576.735 492.602.108 518.921.009
   CRÉDITOS DIVERSOS 357.266.742 1.732.156.835 3.237.799.839 3.346.348.100 2.827.938.484
   PROPIEDAD, PLANTAS Y EQUIPO 641.537.250 1.951.637.715 3.748.862.528 3.845.291.751 3.954.843.661
   BIENES DIVERSOS 84.100.953 282.332.116 579.402.995 598.258.610 600.285.757
   ACTIVOS INTANGIBLES 130.020.648 451.579.394 912.696.659 938.728.312 961.261.347
   PARTIDAS PEND. DE IMPUTACIÓN 4.694.852 8.590.568 19.769.813 14.476.454 17.090.092
P A S I V O 12.594.524.663 35.865.945.335 57.669.873.880 71.324.851.315 74.609.861.341
   DEPÓSITOS 10.850.565.793 28.851.256.244 47.769.701.731 59.583.910.013 63.624.639.381
      SECTOR PÚBLICO NO FINANCIERO 301.639.208 685.914.699 2.250.862.546 2.453.224.333 2.310.637.134
      SECTOR FINANCIERO 10.822.629 43.147.602 72.859.021 67.575.516 47.690.597
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 10.538.103.956 28.122.193.943 45.445.980.164 57.063.110.164 61.266.311.650
         CUENTAS CORRIENTES 1.958.914.682 5.397.453.477 7.689.784.680 8.470.135.518 8.827.069.272
         CAJA DE AHORROS 4.046.821.628 14.980.127.271 21.877.683.412 31.781.511.571 33.719.316.610
         PLAZO FIJO E INVERSIONES A PLAZO 4.216.762.783 6.663.345.863 14.811.762.297 15.736.136.820 17.405.800.442
         OTROS 104.685.861 419.419.410 475.140.930 487.202.307 669.284.317
         INTERESES Y DIF. COTIZ. DEVENG. A PAGAR 210.919.002 661.847.922 591.608.845 588.123.948 644.841.009
   OTRAS OBLIG.POR INTERMED. FINANC. 1.000.456.854 3.554.072.242 6.121.045.698 7.827.538.137 6.774.064.638
   OBLIGACIONES DIVERSAS 500.724.824 2.523.653.565 2.249.146.275 2.314.162.507 2.552.157.739
   PROVISIONES 71.521.481 164.634.985 619.330.365 647.139.261 688.249.195
   OBLIGACIONES SUBORDINADAS 164.575.657 751.037.415 882.510.431 902.228.461 923.211.464
   PARTIDAS PENDIENTES DE IMPUTACIÓN 6.680.054 21.290.884 28.139.380 49.872.936 47.538.924
P A T R I M O N I O N E T O 2.940.597.401 10.987.527.185 20.650.046.375 21.314.975.687 22.185.310.042
   CAPITAL, APORTES, RESERVAS Y ORI ACUMULADO 2.507.422.891 8.546.958.309 17.294.538.457 17.815.358.446 18.383.868.240
   RESULTADOS NO ASIGNADOS 433.174.510 2.440.568.876 3.355.507.918 3.499.617.241 3.801.441.802
R D O S. I N T E G R A L E S A C U M. D E L P E R I O D O 278.034.422 2.541.755.467 2.026.396.593 2.046.236.297 2.401.012.950
   INGRESOS FINANCIEROS 5.243.366.051 28.341.571.527 27.491.700.125 30.335.139.595 33.296.574.802
         POR INTERESES 4.215.991.295 22.062.346.893 19.230.613.915 21.141.744.925 23.094.598.976
         OTROS INGRESOS FINANCIEROS 1.027.374.756 6.279.224.634 8.261.086.210 9.193.394.670 10.201.975.826
   EGRESOS FINANCIEROS -2.870.344.299 -15.275.584.309 -10.569.279.164 -11.772.017.172 -13.000.391.921
         POR INTERESES -2.419.805.245 -13.102.741.521 -7.876.888.082 -8.808.830.461 -9.800.789.238
         OTROS EGRESOS FINANCIEROS -450.539.054 -2.172.842.788 -2.692.391.082 -2.963.186.711 -3.199.602.683
   CARGO POR INCOBRABILIDAD -122.910.781 -489.111.793 -685.092.620 -829.270.135 -994.827.040
   INGRESOS POR SERVICIOS 564.495.948 1.806.798.120 2.179.562.215 2.560.828.902 2.959.115.201
   EGRESOS POR SERVICIOS -255.889.364 -832.175.975 -1.035.876.015 -1.210.877.785 -1.404.708.901
   GASTOS DE ADMINISTRACIÓN -1.013.100.277 -3.542.854.196 -4.642.456.610 -5.353.744.602 -6.087.943.371
   CRÉDITOS RECUPERADOS Y PREVISIONES DESAFECTADAS 40.016.251 83.016.485 63.658.120 71.531.070 78.903.458
   RESULTADO MONETARIO -1.192.027.799 -7.272.542.254 -9.160.883.001 -9.985.182.482 -10.675.383.231
   OTROS -7.461.792 371.394.125 -296.426.147 -313.427.389 -342.848.702
   IMPUESTO A LAS GANANCIAS -70.650.790 -1.168.654.054 -674.271.791 -712.009.644 -756.183.273
   OTRO RESULTADO INTEGRAL -37.458.726 519.897.791 -644.238.519 -744.734.061 -671.294.072
PARTIDAS FUERA DE BALANCE          
   CRÉDITOS IRRECUPERABLES EN PARTIDAS FUERA DEL BALANCE 91.901.787 234.992.305 317.868.286 331.174.679 346.894.207
   CONTINGENTES ACREEDORAS 6.661.315.032 18.864.212.656 40.947.711.536 46.677.981.695 47.480.370.457
   DE CONTROL ACREEDORAS 127.431.910 422.049.757 888.207.832 1.116.935.628 840.390.456
   DE DERIVADOS ACREEDORAS 641.991.369 1.300.340.086 2.004.742.595 2.131.645.381 2.658.234.912
   CONTINGENTES DEUDORAS 1.711.975.309 4.637.307.034 9.476.423.105 9.947.629.344 11.169.368.513
   DE CONTROL DEUDORAS 15.870.435.449 77.006.607.790 104.494.104.926 114.027.415.276 117.141.735.811
   DE DERIVADOS DEUDORAS 877.399.663 7.812.262.133 3.337.727.793 3.409.212.831 3.838.889.568
   DE ACTIVIDAD FIDUCIARIA DEUDORAS 44.043.625 91.781.169 129.991.216 186.295.122 186.694.222
INFORMES
TIPO CODIGO TIPO CODIGO
CIERRE DE EJERCICIO   CIERRE DE EJERCICIO  
FAVORABLE SIN SALVEDADES 1 OPINION ADVERSA 6
FAVORABLE CON SALVEDADES DETERMINADAS DE EXPOSICION 2 ABSTENCION DE OPINION 7
FAVORABLE CON SALVEDADES DETERMINADAS DE VALUACION 3 CIERRE TRIMESTRAL (ALCANCE LIMITADO)
FAVORABLE CON SALVEDADES INDETERMINADAS CON LIMITACIONES AL ALCANCE 4 SIN OBSERVACIONES 8
FAVORABLE CON SALVEDADES INDETER. CON INCERTIDUMBRE S/ HECHOS FUTUROS 5 CON OBSERVACIONES POR HECHOS DETERMINADOS 9
    CON OBSERVACIONES POR HECHOS INDETERMINADOS 10