Estados Contables

Información actualizada a Junio 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 Abr-2024 May-2024 Jun-2024
A C T I V O 12.483.046.212 38.580.430.059 59.550.579.530 61.571.827.256 64.602.100.919
   EFECTIVO Y DEPOSITO EN BANCOS 1.338.599.653 4.652.095.980 5.186.105.749 5.611.566.927 5.858.515.826
   TÍTULOS PÚBLICOS Y PRIVADOS 5.795.744.513 11.703.320.338 16.968.368.559 21.511.043.597 24.479.214.068
   PRÉSTAMOS 3.251.253.938 7.708.718.125 11.128.369.617 12.695.666.603 14.207.116.975
      SECTOR PÚBLICO NO FINANCIERO 186.204.559 478.810.785 668.673.242 755.281.971 931.294.003
      SECTOR FINANCIERO 5.359.321 10.455.065 12.731.054 22.472.470 23.610.508
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 3.247.422.486 7.982.188.664 10.874.479.169 12.383.092.886 13.759.708.464
         ADELANTOS 97.400.327 207.598.508 211.155.599 227.440.952 246.975.454
         DOC A SOLA FIRMA, DESCONT. Y COMPRADOS 727.059.619 1.951.921.643 2.716.889.159 3.391.038.248 3.914.014.037
         HIPOTECARIOS 312.239.928 534.503.018 543.759.083 550.991.263 582.121.442
         PRENDARIOS 165.168.674 223.098.343 245.070.669 298.885.599 339.666.829
         PERSONALES 389.909.160 709.439.429 954.154.603 1.181.940.587 1.427.100.518
         OTROS 872.910.208 2.564.602.072 2.835.197.318 3.068.818.096 3.331.664.552
         INTERESES Y DIF. COTIZ. DEVENG. A COBRAR 730.779.390 1.961.816.097 3.541.456.658 3.844.460.652 4.120.427.112
         COBROS NO APLICADOS -1.174.535 -2.502.647 -3.110.082 -2.850.989 -2.814.608
         INTERESES DOCUMENTADOS -25.490.691 -91.985.587 -87.515.196 -81.548.071 -92.538.852
         AJUSTES NIIF -21.379.594 -76.302.212 -82.578.642 -96.083.451 -106.908.020
      PREVISIONES -187.732.428 -762.736.389 -427.513.848 -465.180.724 -507.496.000
   OTROS CRED.POR INTERM.FINAN. 1.120.959.747 10.505.517.680 18.721.649.788 13.763.601.593 12.168.275.253
   CREDITO POR ARRENDAMIENTO FINANCIERO 13.330.376 27.993.030 27.554.414 29.840.733 30.699.003
   PART. EN OTRAS SOCIEDADES 180.056.462 661.097.346 973.566.251 1.012.183.352 1.073.886.046
         EN ENTIDADES FINANCIERAS 38.098.556 134.166.280 197.719.386 202.481.911 214.813.474
         OTRAS 142.086.293 527.280.108 776.364.920 810.219.496 859.590.627
         DETERIORO DE VALOR -128.387 -349.042 -518.055 -518.055 -518.055
   CRÉDITOS DIVERSOS 105.926.415 1.014.204.575 3.031.923.167 3.341.396.576 3.087.470.440
   PROPIEDAD, PLANTAS Y EQUIPO 507.713.236 1.526.284.430 2.513.358.336 2.624.690.463 2.703.492.561
   BIENES DIVERSOS 17.413.192 67.067.605 104.461.903 108.863.053 115.527.553
   ACTIVOS INTANGIBLES 20.426.012 62.236.112 102.447.470 106.726.314 111.035.926
   FILIALES EN EL EXTERIOR 129.573.940 646.729.433 711.825.802 731.445.995 747.296.991
   PARTIDAS PEND. DE IMPUTACIÓN 2.048.728 5.165.405 80.948.474 34.802.050 19.570.277
P A S I V O 10.472.553.704 29.800.920.100 43.323.448.101 44.011.360.024 45.855.263.702
   DEPÓSITOS 9.734.200.507 26.298.559.212 37.827.267.880 39.254.752.057 41.332.558.596
      SECTOR PÚBLICO NO FINANCIERO 2.988.601.456 8.111.322.065 14.412.335.444 15.009.498.598 15.357.365.062
      SECTOR FINANCIERO 54.738.734 164.633.489 176.152.301 174.879.007 191.860.752
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 6.690.860.317 18.022.603.658 23.238.780.135 24.070.374.452 25.783.332.782
         CUENTAS CORRIENTES 807.367.621 1.264.121.471 1.857.061.134 2.075.762.900 2.304.516.208
         CAJA DE AHORROS 1.943.435.623 8.097.794.827 8.577.766.803 9.087.104.625 10.610.996.502
         PLAZO FIJO E INVERSIONES A PLAZO 3.602.301.205 7.613.751.599 11.286.387.591 11.374.360.142 11.140.692.027
         OTROS 183.774.459 494.335.592 661.961.504 672.368.953 799.825.983
         INTERESES Y DIF. COTIZ. DEVENG. A PAGAR 153.981.409 552.600.169 855.603.103 860.777.832 927.302.062
   OTRAS OBLIG.POR INTERMED. FINANC. 318.390.242 1.360.810.567 2.930.083.802 3.030.055.955 2.612.841.069
   OBLIGACIONES DIVERSAS 373.873.478 1.992.818.683 2.341.785.926 1.483.935.997 1.644.052.347
   PROVISIONES 42.684.343 138.662.249 191.484.915 205.579.229 215.523.999
   PARTIDAS PENDIENTES DE IMPUTACIÓN 3.405.134 10.069.389 32.825.578 37.036.786 50.287.691
P A T R I M O N I O N E T O 2.010.492.508 8.779.509.959 16.227.131.429 17.560.467.232 18.746.837.217
   CAPITAL, APORTES, RESERVAS Y ORI ACUMULADO 1.905.757.311 6.394.624.657 10.507.256.188 11.006.243.527 11.404.035.777
   RESULTADOS NO ASIGNADOS 104.735.197 2.384.885.302 5.719.875.241 6.554.223.705 7.342.801.440
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 308.611.920 2.388.127.701 1.645.051.445 2.551.990.847 3.134.369.244
   INGRESOS FINANCIEROS 4.320.425.437 26.487.363.195 15.386.496.863 19.229.971.726 22.527.715.060
         POR INTERESES 2.818.848.345 13.555.213.733 6.606.432.972 8.026.709.926 9.312.172.743
         OTROS INGRESOS FINANCIEROS 1.501.577.092 12.932.149.462 8.780.063.891 11.203.261.800 13.215.542.317
   EGRESOS FINANCIEROS -2.555.508.462 -15.725.018.683 -6.932.990.472 -8.365.680.928 -9.409.235.672
         POR INTERESES -2.243.195.925 -14.470.701.017 -5.963.116.282 -7.176.022.281 -8.026.955.664
         OTROS EGRESOS FINANCIEROS -312.312.537 -1.254.317.666 -969.874.190 -1.189.658.647 -1.382.280.008
   CARGO POR INCOBRABILIDAD -115.457.053 -469.733.885 -237.744.498 -300.539.041 -354.225.387
   INGRESOS POR SERVICIOS 267.191.608 699.073.238 284.422.743 372.850.790 465.974.846
   EGRESOS POR SERVICIOS -159.693.866 -664.983.463 -332.753.627 -425.954.565 -541.115.892
   GASTOS DE ADMINISTRACIÓN -687.874.209 -2.324.184.494 -1.200.236.021 -1.569.645.647 -1.953.427.027
   CRÉDITOS RECUPERADOS Y PREVISIONES DESAFECTADAS 50.863.559 141.528.516 123.002.470 139.794.638 143.625.214
   RESULTADO MONETARIO -674.187.162 -4.739.138.357 -4.369.813.757 -5.047.799.874 -5.911.871.551
   OTROS 13.657.980 20.533.760 -72.855.778 -75.986.478 -44.874.707
   IMPUESTO A LAS GANANCIAS -165.313.053 -1.278.737.930 -660.584.927 -1.047.255.341 -1.307.164.645
   OTRO RESULTADO INTEGRAL 14.507.141 241.425.804 -341.891.551 -357.764.433 -481.030.995
PARTIDAS FUERA DE BALANCE          
   CRÉDITOS IRRECUPERABLES EN PARTIDAS FUERA DEL BALANCE 116.136.932 435.244.146 849.326.987 857.824.249 874.177.626
   CONTINGENTES ACREEDORAS 2.321.339.786 6.003.121.285 7.958.763.512 9.010.532.019 9.728.682.957
   DE CONTROL ACREEDORAS 57.262.328 451.397.997 148.646.318 209.690.470 190.158.769
   DE DERIVADOS ACREEDORAS 9.571.738 91.021.868 114.067.733 117.775.529 131.670.254
   CONTINGENTES DEUDORAS 3.959.644.141 9.966.566.020 11.556.845.861 13.312.220.812 14.634.678.299
   DE CONTROL DEUDORAS 5.873.671.761 24.741.508.273 36.877.878.097 33.206.643.748 31.909.069.818
   DE DERIVADOS DEUDORAS 4.637.896 1.878.138.940 3.128.491.541 3.420.130.370 3.499.196.486
   DE ACTIVIDAD FIDUCIARIA DEUDORAS 2.128.860.115 6.815.205.882 7.071.477.566 7.563.644.420 8.110.855.885
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