| Value | Description | Special Handling Code | Hard Coded |
---|
1 | | . | | N |
2 | 10 | Capital | | |
3 | 10100 | Issued capital | | |
4 | 10101 | Uncalled capital | | |
5 | 11 | Share premium account | | |
6 | 1110 | Cash in Banks | | N |
7 | 12 | Revaluation surplus | | |
8 | 12120 | From reval-intangible assets | | |
9 | 12121 | From reval-tangible assets | | |
10 | 12122 | From reval-finanancial assets | | |
11 | 12123 | From revaluation of stocks | | |
12 | 12124 | Decreases in amts written off | | |
13 | 13 | Reserves | | |
14 | 13130 | Legal reserves | | |
15 | 13131 | Reserves n/a for distribution | | |
16 | 131310 | In respect of own shares hld | | |
17 | 131311 | Other | | |
18 | 13132 | Untaxed reserves | | |
19 | 13133 | Reserves avail. for distrib. | | |
20 | 14 | Accum profits (or losses (-)) | | |
21 | 15 | Investment grants | | |
22 | 16 | Provisions-liabilities/charges | | |
23 | 16160 | Pensions & similar obligation | | |
24 | 16161 | Taxation | | |
25 | 16162 | Major repairs and maintenance | | |
26 | 16163 | Other liabilities & charges | | |
27 | 17 | Amounts payable after one year | | |
28 | 17170 | Subordinated loans | | |
29 | 171700 | Convertible | | |
30 | 171701 | Nonconvertible | | |
31 | 17171 | Unsubordinated debentures | | |
32 | 171710 | Convertible | | |
33 | 171711 | Nonconvertible | | |
34 | 17172 | Leasing/Other similiar oblig. | | |
35 | 17173 | Credit institutions | | |
36 | 171730 | Payable accounts | | |
37 | 171731 | Promissory notes | | |
38 | 171732 | Letters of credit | | |
39 | 17174 | Other income | | |
40 | 17175 | Trade debts | | |
41 | 171750 | Suppliers | | |
42 | 171751 | Bills of exchange payable | | |
43 | 17176 | Adv. rec`d-contracts in rog. | | |
44 | 17178 | Guarantees received in cash | | |
45 | 17179 | Other amounts payable | | |
46 | 20 | Formation expenses | | |
47 | 20200 | Formation & capital increase | | |
48 | 20201 | Loan - Issue & Reimb premiums | | |
49 | 20202 | Other formation expenses | | |
50 | 20204 | Reorganization costs | | |
51 | 21 | Intangible assets | | |
52 | 21210 | Research and Development | | |
53 | 21211 | Concessions/patents/lic/other | | |
54 | 21212 | Goodwill | | |
55 | 21213 | Advance payments | | |
56 | 22 | Land and Buildings | | |
57 | 22220 | Land | | |
58 | 22221 | Buildings | | |
59 | 22222 | Land built upon | | |
60 | 22223 | Other rights-immov. property | | |
61 | 23 | Plant, Machinery and Equipment | | |
62 | 24 | Furniture and vehicles | | |
63 | 25 | Fixed assets held under leases | | |
64 | 26 | Other tangible fixed assets | | |
65 | 27 | Assets under constr/Adv. pymts | | |
66 | 28 | Financial Assets | | |
67 | 28280 | Invest.-affiliatiated enterpr | | |
68 | 282800 | Cost | | |
69 | 282801 | Uncalled amounts (-) | | |
70 | 282808 | Surpluses recorded | | |
71 | 282809 | Amounts written off (-) | | |
72 | 28281 | Amts Receiv from affil. enter | | |
73 | 282810 | Amts receivable-curr account | | |
74 | 282811 | Bills receivable | | |
75 | 282812 | Fixed income securities | | |
76 | 282817 | Doubtful amounts | | |
77 | 282819 | Amounts written off (-) | | |
78 | 28282 | Invest-enter. linked by parti | | |
79 | 282820 | Cost | | |
80 | 282821 | Uncalled amounts (-) | | |
81 | 282828 | Surpluses recorded | | |
82 | 282829 | Amounts written off (-) | | |
83 | 28283 | Amts Receiv-enter linked by p | | |
84 | 282830 | Amts receivable-curr account | | |
85 | 282831 | Bills receivable | | |
86 | 282832 | Fixed income securities | | |
87 | 282837 | Doubtful amounts | | |
88 | 282839 | Amounts written off (-) | | |
89 | 28284 | Other shares | | |
90 | 282840 | Cost | | |
91 | 282841 | Uncalled amounts (-) | | |
92 | 282848 | Surpluses recorded | | |
93 | 282849 | Amounts written off (-) | | |
94 | 28285 | Other amounts receivable | | |
95 | 282850 | Amts receivable-curr account | | |
96 | 282851 | Bills receivable | | |
97 | 282852 | Fixed income securities | | |
98 | 282857 | Doubtful amounts | | |
99 | 282859 | Amounts written off (-) | | |
100 | 28288 | Cash guarantees | | |
101 | 283000 | Accum Depreciation Building | | N |
102 | 285000 | Accum Depreciation Computers | | N |
103 | 286000 | Accum Depreciation Patent | | N |
104 | 29 | Amts receivable after one year | | |
105 | 29290 | Trade debtors | | |
106 | 292900 | Customers | | |
107 | 292901 | Bills receivable | | |
108 | 292906 | Advance payments | | |
109 | 292907 | Doubtful amounts | | |
110 | 292909 | Amounts written off (-) | | |
111 | 29291 | Other amounts receivable | | |
112 | 292910 | Amounts receiv.-current acct | | |
113 | 292911 | Bills receivable | | |
114 | 292917 | Doubtful amounts | | |
115 | 292919 | Amounts written off (-) | | |
116 | 30 | Raw materials | | |
117 | 30300 | Cost | | |
118 | 30309 | Amounts written off (-) | | |
119 | 31 | Consumables | | |
120 | 31310 | Cost | | |
121 | 31319 | Amounts written off (-) | | |
122 | 32 | Work-in-process | | |
123 | 32320 | Cost | | |
124 | 32329 | Amounts written off (-) | | |
125 | 33 | Finished goods | | |
126 | 33330 | Cost | | |
127 | 33339 | Amounts written off (-) | | |
128 | 34 | Goods purchased for resale | | |
129 | 34340 | Cost | | |
130 | 34349 | Amounts written off (-) | | |
131 | 35 | Property acquired/constructed | | |
132 | 35350 | Cost | | |
133 | 35359 | Amounts written off (-) | | |
134 | 36 | Adv payments on stock purchase | | |
135 | 36360 | Advance payments | | |
136 | 36369 | Amounts written off (-) | | |
137 | 37 | Contracts-in-progress | | |
138 | 37370 | Cost | | |
139 | 37371 | Profit recognized | | |
140 | 37379 | Amounts written off (-) | | |
141 | 40 | Amts Receivable-Trade debtors | | |
142 | 40400 | Customers | | |
143 | 40401 | Bills receivable | | |
144 | 40404 | Income receivable | | |
145 | 40406 | Advance payments | | |
146 | 40407 | Doubtful amounts | | |
147 | 40409 | Amounts written off (-) | | |
148 | 41 | Other amounts receivable | | |
149 | 41410 | Called up capital - unpaid | | |
150 | 41411 | V.A.T. recoverable | | |
151 | 41412 | Taxes/Withholding taxes | | |
152 | 414120 | Belgian income taxes | | |
153 | 414125 | Other Belgain taxes | | |
154 | 414128 | Foreign taxes | | |
155 | 41414 | Income receivable | | |
156 | 41416 | Sundry amounts | | |
157 | 41417 | Doubtful amounts | | |
158 | 41419 | Amounts written off (-) | | |
159 | 42 | Curr portion of A/P > one year | | |
160 | 43 | Financial debts-Credit Instit. | | |
161 | 43430 | Fixed term loans | | |
162 | 43431 | Promissory notes | | |
163 | 43432 | Bank acceptances | | |
164 | 43433 | Overdrafts | | |
165 | 43439 | Other loans | | |
166 | 44 | Trade debts | | |
167 | 44440 | Suppliers | | |
168 | 44441 | Bills of exchange payable | | |
169 | 44444 | Invoices to be received | | |
170 | 45 | Taxes/Soc Security/Remuneratio | | |
171 | 45450 | Estimated taxes | | |
172 | 454500 | Belgian income taxes | | |
173 | 454505 | Other Belgain taxes | | |
174 | 454508 | Foreign taxes | | |
175 | 45451 | V.A.T. payable | | |
176 | 45453 | Taxes withheld | | |
177 | 45454 | Social security contributions | | |
178 | 45455 | Remuneration | | |
179 | 45456 | Holiday pay | | |
180 | 45459 | Other social obligations | | |
181 | 46 | Advances contracts-in-progress | | |
182 | 47 | Amts payable-approp of profits | | |
183 | 47470 | Dividends/director`s last yr. | | |
184 | 47471 | Dividends - current fin year | | |
185 | 47472 | Direct. entitlements-curr yr. | | |
186 | 47473 | Other alllocations | | |
187 | 48 | Other amounts payable | | |
188 | 48480 | Debentures & coupons matured | | |
189 | 48488 | Guarantees received in cash | | |
190 | 48489 | Sundry amounts payable | | |
191 | 49 | Deferrals and accruals | | |
192 | 49490 | Deferred charges | | |
193 | 49491 | Accured income | | |
194 | 49492 | Accrued charges | | |
195 | 49493 | Deferred income | | |
196 | 49499 | Suspense account | | |
197 | 50 | Own shares | | |
198 | 51 | Shares | | |
199 | 51510 | Cost | | |
200 | 51511 | Uncalled amounts (-) | | |
201 | 51519 | Amounts written off (-) | | |
202 | 52 | Fixed income securities | | |
203 | 5200 | Other Sales | | N |
204 | 52520 | Cost | | |
205 | 52529 | Amounts written off (-) | | |
206 | 53 | Term accounts | | |
207 | 53530 | At more than 1 year | | |
208 | 53531 | Over 1 month & not > 1 year | | |
209 | 53532 | At no more than 1 month | | |
210 | 53539 | Amounts written off (-) | | |
211 | 54 | Amounts under collection | | |
212 | 55 | Credit Institutions | | |
213 | 55550 | Current account | | |
214 | 55551 | Cheques issued (-) | | |
215 | 55559 | Amounts written off (-) | | |
216 | 56 | Giro | | |
217 | 56560 | Current account | | |
218 | 56561 | Cheques issued (-) | | |
219 | 57 | Cash | | |
220 | 57570 | Cash in hand | | |
221 | 57578 | Stamps | | |
222 | 58 | Internal transfers | | |
223 | 60 | Raw materials/consumables/etc. | | |
224 | 603700 | Stock Variation | | N |
225 | 604000 | Supplies and Services | | N |
226 | 60600 | Purchase of raw materials | | |
227 | 60601 | Purchase of consumables | | |
228 | 60602 | Purchase-services/works/study | | |
229 | 60603 | Work sub-contracted | | |
230 | 60604 | Purchase of goods for resale | | |
231 | 60605 | Purchase-immov property resal | | |
232 | 60608 | Discounts/rebates/allow rec | | |
233 | 60609 | Increase-decrease in stocks | | |
234 | 606090 | Raw materials | | |
235 | 606091 | Consumables | | |
236 | 606094 | Goods purchased for resale | | |
237 | 606095 | Immovable property for resal | | |
238 | 61 | Services and other goods | | |
239 | 613000 | Rent Expense | | N |
240 | 615000 | Maintenance and Repair | | N |
241 | 616000 | Insurance | | N |
242 | 618000 | Misc. Expense | | N |
243 | 62 | Remuneration/Soc Sec/Pensions | | |
244 | 622000 | Legal, Accounting and Others | | N |
245 | 623000 | Advertising | | N |
246 | 623100 | Samples and Gifts | | N |
247 | 624000 | Freight | | N |
248 | 625000 | Travel, Meals and Lodging | | N |
249 | 62620 | Remun./Direct social benefits | | |
250 | 626200 | Directors | | |
251 | 626201 | Executives | | |
252 | 626202 | Salaried staff | | |
253 | 626203 | Manual workers | | |
254 | 626204 | Other personnel | | |
255 | 62621 | Employer`s social sec contrib | | |
256 | 62622 | Employer`s premiums-insurance | | |
257 | 62623 | Other personnel charges | | |
258 | 62624 | Retirement/Survivors` pension | | |
259 | 626240 | Directors | | |
260 | 626241 | Personnel | | |
261 | 627000 | Bank Charges | | N |
262 | 63 | Depreciation/Amts written off | | |
263 | 635000 | Other Taxes | | N |
264 | 63630 | Deprec/Write-offs Fixed Asset | | |
265 | 636300 | Deprec-Formation expenses | | |
266 | 636301 | Deprec-Intangible fix assets | | |
267 | 636302 | Deprec-Tangible fixed assets | | |
268 | 636308 | Amts written off-intangibles | | |
269 | 636309 | Amts written off-tangible | | |
270 | 63631 | Amounts written off stocks | | |
271 | 636310 | Increase | | |
272 | 636311 | Decrease | | |
273 | 63632 | Write-offs contracts-in-progr | | |
274 | 636320 | Increase | | |
275 | 636321 | Decrease | | |
276 | 63633 | Write-offs trade debts < 1 yr | | |
277 | 636330 | Increase | | |
278 | 636331 | Decrease | | |
279 | 63634 | Write-offs trade debts > 1 yr | | |
280 | 636340 | Increase | | |
281 | 636341 | Decrease | | |
282 | 63635 | Provisions-pensions/sim oblig | | |
283 | 636350 | Increase | | |
284 | 636351 | Utilization and write-back | | |
285 | 63636 | Provisions-major repairs/main | | |
286 | 636360 | Increase | | |
287 | 636361 | Utilization and write-back | | |
288 | 63637 | Provisions-other liab/charges | | |
289 | 636370 | Increase | | |
290 | 636371 | Utilization and write-back | | |
291 | 64 | Other operating income | | |
292 | 641000 | Wages and Salaries | | N |
293 | 645000 | Security Charges | | N |
294 | 64640 | Taxes other than Income taxes | | |
295 | 64641 | Losses disposal-tangible asst | | |
296 | 64642 | Losses-realiz. of trade debts | | |
297 | 64643 | Miscellaneous operating chgs | | |
298 | 649 | Operating charges capitalized | | |
299 | 65 | Financial charges | | |
300 | 65650 | Interest & other debt charges | | |
301 | 656500 | Interest, commissions, other | | |
302 | 656501 | Amort-discounts/loan issue | | |
303 | 656502 | Other debt charges | | |
304 | 656503 | Capitalized interest charges | | |
305 | 65651 | Write-offs current assets | | |
306 | 656510 | Increase | | |
307 | 656511 | Decrease (-) | | |
308 | 65652 | Losses-Realiz of current asse | | |
309 | 65653 | Chgs for discounting A/R | | |
310 | 65654 | Realized exchange losses | | |
311 | 65655 | Unrealized exchange losses | | |
312 | 658000 | Minor Write Off | | N |
313 | 66 | Extraordinary charges | | |
314 | 661000 | Interest Charges | | N |
315 | 665000 | Discounts Given | | N |
316 | 66660 | Deprec & extraord. write-offs | | |
317 | 666600 | Formation expenses | | |
318 | 666601 | Intangible fixed assets | | |
319 | 666602 | Tangible fixed assets | | |
320 | 66661 | Write-offs finan fixed assets | | |
321 | 66662 | Provisions for extraord. liab | | |
322 | 66663 | Losses disposals-fixed assets | | |
323 | 66664 | Other extraordinary charges | | |
324 | 66669 | Extraord chgs capit as reorg | | |
325 | 67 | Income taxes | | |
326 | 67670 | Belgian taxes-curr yr results | | |
327 | 676700 | In taxes paid/Witholding due | | |
328 | 676701 | Excess of tax payments & wit | | |
329 | 676702 | Estimated taxes payable | | |
330 | 67671 | Belgian taxes-prior yr result | | |
331 | 676710 | Add`l chgs for taxes due/pd | | |
332 | 676711 | Add`l chgs-estimated inc tax | | |
333 | 676712 | Add`l chgs-inc taxes provide | | |
334 | 67672 | Foreign income taxes-curr yr | | |
335 | 67673 | Foreign income taxes-prior yr | | |
336 | 68 | Transfer to untaxed reserve | | |
337 | 681000 | Depreciation | | N |
338 | 681700 | Bad Debt | | N |
339 | 69 | Appropriation account | | |
340 | 69690 | Losses brought forward | | |
341 | 69691 | Transfer to the capital and | | |
342 | 69692 | Transfers to reserves | | |
343 | 696920 | Transfer to legal reserves | | |
344 | 696921 | Transfer to other reserves | | |
345 | 69693 | Profit to be carried forward | | |
346 | 69694 | Dividends | | |
347 | 69695 | Directors` entitlements | | |
348 | 69696 | Other entitlements | | |
349 | 70 | Turnover | | |
350 | 70700 | Sales & Services rendered | | |
351 | 707000 | Sales | | N |
352 | 70708 | Discounts/allowances/rebates | | |
353 | 708000 | Other Revenues | | N |
354 | 709000 | Rebates and Allowances | | N |
355 | 71 | Increase-decrease stocks & wip | | |
356 | 71712 | Work-in-progress | | |
357 | 71713 | Finished goods | | |
358 | 71715 | Immovable property constructe | | |
359 | 71717 | Contracts in progress | | |
360 | 717170 | Contract costs | | |
361 | 717171 | Profit recognized | | |
362 | 72 | Fixed assets-own construction | | |
363 | 74 | Other operating income | | |
364 | 74740 | Oper subsidies/compens amount | | |
365 | 74741 | Gains on disposals-tangible | | |
366 | 74742 | Gains-realization trade debts | | |
367 | 74743 | Miscellaneous oper income | | |
368 | 75 | Financial Income | | |
369 | 75750 | Income-Financial fixed assets | | |
370 | 75751 | Income-Current assets | | |
371 | 75752 | Gains on realiz of curr asset | | |
372 | 75753 | Investment grants | | |
373 | 75754 | Realized exchange gains | | |
374 | 75755 | Unrealized exhange gains | | |
375 | 75756 | Other financial income | | |
376 | 758000 | Minor Write Off Gain | | N |
377 | 76 | Extraordinary Income | | |
378 | 76760 | Write-back deprec./write-offs | | |
379 | 767600 | Intangible Fixed Assets | | |
380 | 767601 | Tangible Fixed Assets | | |
381 | 76761 | Write-back amounts writtenoff | | |
382 | 76762 | Write-back prov for liab/chgs | | |
383 | 76763 | Gains on disposals of assets | | |
384 | 76764 | Other extraordinary income | | |
385 | 77 | Adjustment of income tax | | |
386 | 77771 | Belgian income taxes | | |
387 | 777710 | Adj of income taxes due/paid | | |
388 | 777711 | Adj of est. income taxes | | |
389 | 777712 | Write-back of tax provisions | | |
390 | 77773 | Foreign income taxes | | |
391 | 78 | Transfer from untaxed reserves | | |
392 | 79 | Appropriation account | | |
393 | 79790 | Profit brought forward | | |
394 | 79791 | Transfers-capital/share accts | | |
395 | 79792 | Transfers from reserves | | |
396 | 79793 | Loss to be carried forward | | |
397 | 79794 | Shareholders` contribution in | | |