522 Amount Qualifier Code
522 Amount Qualifier Code
Code specifying the amount qualifier
Type
ID
Length
Max 3 / Min 1
Codes
<> 00
Downpayment on the Repayment Plan Amount
<> 0A
Interest Substitution Adjustment
<> 0B
Principal Substitution Adjustment
<> 0C
Prepaid Interest
<> 0D
Prepaid Principal
<> 0E
Delinquent Interest
<> 0F
Delinquent Principal
<> 0G
Curtailment Adjustment
<> 0H
Serial Note Principal Available for Distribution
<> 0I
Servicing Fee
<> 0J
Guarantee Fee Adjustment
<> 0K
Amount Under-collateralized
<> 0L
Amount Over-collateralized
<> 0M
Trial Balance Adjustment
<> 0N
Custodial Bank Account Adjustment
<> 0P
Item
<> 0Q
Schedule
<> 0R
Regular Plan
<> 0S
Previously Billed
<> 0T
Currently Due
<> 0U
Coverage Premium
<> 1
Line Item Total
<> 01
Fixed Installment Control Accounting Error
<> 1A
Variance
<> 1B
Variance Adjustment Cost
<> 1C
Variance Adjustment Schedule
<> 1D
Escalation
<> 1E
Fixed Price
<> 1F
Lodging
<> 1G
Meals
<> 1H
Travel Expense
<> 1J
Insurance Expense
<> 1K
Union Dues
<> 1L
Regular Income
<> 1M
Income on Real Property
<> 1N
Income from Social Security and/or other Government Assistance
<> 1P
Total Monthly Income
<> 1Q
Electric and/or Fuel Payment
<> 1R
Water and/or Sewer Payment
<> 1S
Telephone Payment
<> 1T
Maintenance Expense
<> 1U
Food Expense
<> 1V
Clothing Expense
<> 1W
Laundry Expense
<> 1X
Medical and/or Dental Expense
<> 1Y
Recreation Expenses
<> 1Z
Charitable Contributions
<> 2
Batch Total
<> 02
Graduated Payment Mortgage Adjustment
<> 2A
Home Insurance Expense
<> 2B
Life Insurance Expense
<> 2C
Health Insurance Expense
<> 2D
Automobile Insurance Expense
<> 2E
Value of Property Claimed as Exempt
<> 2F
Automobile Payment
<> 2G
Other Type of Installment Payment
<> 2H
Operating Expenses
<> 2I
Total Projected Monthly Income
<> 2J
Total Projected Monthly Expenses
<> 2K
Excess Income
<> 2L
Value of Personal Property
<> 2M
Monthly Overtime
<> 2N
Total All Repairs
<> 2P
Total Recommended Repairs
<> 2Q
State Quarterly Total Gross Wages
<> 2R
State Quarterly Unemployment Insurance (UI) Total Wages
<> 2S
State Quarterly Unemployment Insurance (UI) Excess Wages
<> 2T
State Quarterly Unemployment Insurance (UI) Taxable Wages
<> 2U
State Quarterly Disability Insurance Taxable Wages
<> 2V
State Quarterly Tip Wages
<> 2W
Asset-Long Term
<> 2X
Asset-Short Term
<> 2Y
Base Coverage
<> 2Z
Commission Retained
<> 3
Deposit Total
<> 03
Growing Equity Mortgage Adjustment
<> 3A
Accounting
<> 3B
Accounts Payable
<> 3C
Accounts Receivable
<> 3D
Advanced Dividends
<> 3E
Advertising Expenses
<> 3F
Amortization
<> 3G
Amortization Costs
<> 3H
Amount of Decree
<> 3I
Asset Investment
<> 3J
Authorized Capital
<> 3K
Available Reserves
<> 3L
Bad Debt Allowance
<> 3M
Bad Debts
<> 3N
Bank Account(s)
<> 3O
Long Term Assets
<> 3P
Long Term Liabilities
<> 3Q
Long Term Tangible Assets
<> 3R
Losses on Capital
<> 3S
Machines and Tools
<> 3T
Member Risk Capital
<> 3U
Miscellaneous After Tax Exempt
<> 3V
Mortgage
<> 3W
Nominal Capital
<> 3X
Nominal Damages
<> 3Y
Non-operational Fixed Assets
<> 3Z
Excess Amount Requested
<> 4
Lock Box Total
<> 04
Adjustable Rate Mortgage Change
<> 4A
Nonissued Capital
<> 4B
Notes Payable
<> 4C
Notes Receivable
<> 4D
Bank Debentures
<> 4E
Bank Obligations
<> 4F
Buildings
<> 4G
Buildings Under Construction
<> 4H
Capital
<> 4I
Capital Associated with Principal
<> 4J
Capital of Other Subsidiaries
<> 4K
Capital Stock
<> 4L
Cash
<> 4M
Capital Subsidies Received
<> 4N
Commercial Debt
<> 4O
Commercial Expenses
<> 4P
Common Stock
<> 4Q
Consequential Damages
<> 4R
Compensatory Damages
<> 4S
Convertible Debentures
<> 4T
Cost of Goods Sold
<> 4U
Cost of Sales
<> 4V
Cost(s)
<> 4W
Current Assets
<> 4X
Current Liabilities
<> 4Y
Damages
<> 4Z
Deferred Cost
<> 5
Total Invoice Amount
<> 05
Fixed Installment Control Substitution Adjustment
<> 5A
Deferred Credit or Income
<> 5B
Deferred Taxation
<> 5C
Deposits
<> 5D
Depreciation
<> 5E
Depreciation of Fixed Assets
<> 5F
Depreciation of Revaluation of Fixed Assets
<> 5G
Director's Remuneration
<> 5H
Dividends
<> 5I
Doubtful Receivables
<> 5J
Equipment
<> 5K
Equipment Subsidies
<> 5L
Equities, Stocks
<> 5M
Equity
<> 5N
Exceptional Item
<> 5O
Exports
<> 5P
External Charge
<> 5Q
Extraordinary Charge
<> 5R
Extraordinary Current Asset Write Downs
<> 5S
Extraordinary Result
<> 5T
Financial Assets
<> 5U
Financial Charges
<> 5V
Financial Debt
<> 5W
Financial Expenses
<> 5X
Financial Income
<> 5Y
Finished Goods
<> 5Z
Fixed Asset Debts
<> 6
Amount Subject to Total Monetary Discount
<> 06
Interest Adjustment
<> 6A
Fixed Assets
<> 6B
Fixed Assets for Sale
<> 6C
Fixtures
<> 6D
Fixtures and Equipment
<> 6E
Franchise
<> 6F
Franchise Tax Balance
<> 6G
Franchise Tax Paid
<> 6H
Free Reserves
<> 6I
Furniture
<> 6J
Future Loan
<> 6K
General Accounts
<> 6L
General Expenses
<> 6M
Goodwill
<> 6N
Grants for Operating Costs
<> 6O
Group Related Financial Income
<> 6P
Income Stated in Advance
<> 6Q
Income Tax
<> 6R
Income Tax, Corporate
<> 6S
Income Tax, Noncorporate
<> 6T
Injunction
<> 6U
Intangible Depreciation
<> 6V
Intangibles
<> 6W
Interest of Third Party
<> 6X
Interest on Loans
<> 6Y
Operating Income (Loss)
<> 6Z
Optional Reserves
<> 7
Discount Amount Due
<> 07
Deferred Graduated Payment Mortgage Interest Paid
<> 7A
Organizational Expenses
<> 7B
Outside Share in Profit or Loss
<> 7C
Outstanding Debts against Board of Directors/Managers
<> 7D
Owing
<> 7E
Owing from Affiliates
<> 7F
Owing from Participants
<> 7G
Owing to Affiliates
<> 7H
Owing to Fiscal Office
<> 7I
Owing to National Social Security Office
<> 7J
Owing to Participants
<> 7K
Own Work Capitalized
<> 7L
Paid in Capital
<> 7M
Par Value
<> 7N
Participating Interest
<> 7O
Patents
<> 7P
Pension Debts
<> 7Q
Pensions Provision
<> 7R
Preferred Stock
<> 7S
Prepaid Orders in Progress
<> 7T
Prior Results Carried Forward
<> 7U
Profit or Loss
<> 7V
Profit or Loss after Taxes
<> 7W
Profit or Loss before Taxes
<> 7X
Profit or Loss on Ordinary Activities after Tax
<> 7Y
Progress Payments
<> 7Z
Proposed Dividend
<> 8
Total Monetary Discount Amount
<> 08
Interest Accounting Error
<> 8A
Provision for Depreciation of Stock or Inventory
<> 8B
Provision for Future Purchases
<> 8C
Provision for Risks
<> 8D
Punitive Damages
<> 8E
Purchase Price
<> 8F
Purchases
<> 8G
Raw Materials
<> 8H
Real Estate
<> 8I
Receivables
<> 8J
Regularization Account
<> 8K
Research and Development
<> 8L
Restructuring Costs
<> 8M
Result
<> 8N
Retained Earnings
<> 8O
Revenues
<> 8P
Sales
<> 8Q
Sales and Use Tax
<> 8R
Savings
<> 8S
Secured Liability
<> 8T
Secured Loans
<> 8U
Selling Expenses
<> 8V
Services
<> 8W
Share Capital
<> 8X
Share in Profit or Loss of Minority Interest
<> 8Y
Share Premium Capital
<> 8Z
Shares in Affiliated Companies
<> 9
Total Operational Statement Amount
<> 09
Principal Accounting Error
<> 9A
Social Charges
<> 9B
Social Security (FICA)
<> 9C
Special Reserves
<> 9D
Specially Secured Creditors
<> 9E
Specific Performance
<> 9F
Starting Capital
<> 9G
Statutory Reserves
<> 9H
Subscribed Capital
<> 9I
Suit Amount
<> 9J
Supplies
<> 9K
Surplus of Revaluation
<> 9L
Tangible Net Worth
<> 9M
Tax Adjustments
<> 9N
Tax Balance
<> 9O
Tax Capital Amount
<> 9P
Tax on Extraordinary Items
<> 9Q
Tax Recoverable
<> 9R
Taxed Reserves
<> 9S
Trade Creditors
<> 9T
Inventory (Stock)
<> 9U
Inventory (Stock) Depreciation
<> 9V
Inventory (Stock) Purchases
<> 9W
Investment in Own Shares
<> 9X
Investments
<> 9Y
Issued Capital
<> 9Z
Labor Costs
<> 10
Shipment Value in U.S. Dollars
<> 11
Liabilities at Bankruptcy
<> 12
Account Average Balance Account
<> 13
Outstanding Balance at Foreclosure
<> 14
Legal Obligation Debt Amount
<> 15
Estimated Closing Cost Amount
<> 16
Discount Fees Paid by Borrower Amount
<> 17
Closing Costs or Concessions Paid by Seller
<> 18
Prepaid Items Amount
<> 19
Federal Housing Administration, Mortgage Insurance Premium Funding Fee Financed Amount
<> 20
Federal Housing Administration, Mortgage Insurance Premium or Veteran's Administration Funding Fee Amount
<> 21
Original Cost of Property Amount
<> 22
Owner's Estimate of Value Amount
<> 23
Appraised Value Amount
<> 24
Gross Monthly Income Amount
<> 25
Assets at Bankruptcy
<> 26
Negotiated Cost
<> 27
Authorized Unpriced Work
<> 28
Target Price
<> 29
Estimated Price
<> 30
Contract Ceiling
<> 31
Estimated Contract Ceiling
<> 32
Target Fee or Profit Amount
<> 33
Original Contract Target Cost
<> 34
Negotiated Contract Changes
<> 35
Current Target Cost
<> 36
Contract Budget Base (CBB)
<> 37
Current Budgeted Cost for Work Scheduled (BCWS)
<> 38
Current Budgeted Cost for Work Performed (BCWP)
<> 39
Current Actual Cost of Work Performed (ACWP)
<> 40
Current Schedule Variance (SV)
<> 41
Current Cost Variance (CV)
<> 42
Cumulative Budgeted Cost for Work Scheduled (BCWS)
<> 43
Cumulative Budgeted Cost for Work Performed (BCWP)
<> 44
Cumulative Actual Cost of Work Performed (ACWP)
<> 45
Cumulative Schedule Variance (SV)
<> 46
Cumulative Cost Variance (CV)
<> 47
Reprogram Cost Variance
<> 48
Reprogram Budget
<> 49
At Complete Budget (BAC)
<> 50
At Complete Latest Revised Estimate (LRE)
<> 51
At Complete Variance
<> 52
Total Allocated Budget
<> 53
Difference (Contract Budget Base - Total Allocated Budget)
<> 54
Forecast
<> 55
At Complete Forecast
<> 56
Current Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP)
<> 57
Current Cost Performance Index (CPIp) - Planned (ACWP/BCWP)
<> 58
Current Schedule Performance Index (SPI)
<> 59
Cumulative Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP)
<> 60
Cumulative Cost Performance Index (CPIp) - Planned (ACWP/BCWP)
<> 61
Cumulative Schedule Performance Index (SPI)
<> 62
To Complete Performance Index (TCPI) for Budget at Complete (BAC)
<> 63
To Complete Performance Index (TCPI) for Estimate At Complete (EAC)
<> 64
Initial Contract Price Target
<> 65
Initial Contract Price Ceiling
<> 66
Adjusted Contract Price Target
<> 67
Adjusted Contract Price Ceiling
<> 68
Funds Authorized to Date
<> 69
Accrued Expenditures
<> 70
Open Commitments
<> 71
Forecast of Billings
<> 72
Estimated Termination Costs
<> 73
Accrued Expenditures plus Open Commitments
<> 74
Contract Work Authorized - Definitized
<> 75
Contract Work Authorized - Not Definitized
<> 76
Contract Work Authorized - Total
<> 77
Forecast of Work - Not Yet Authorized
<> 78
Forecast of Work - All Other
<> 79
Forecast of Work - Total
<> 80
Funding - Total Requirements
<> 81
Funds Carryover
<> 82
Net Funds Required
<> 83
Contract Work Authorized (with fee/profit) Actual or Projected
<> 84
Contract Work Authorized (with fee/profit) Actual or Projected - At Complete
<> 85
Best Case Estimate
<> 86
Worst Case Estimate
<> 87
Most Likely Estimate
<> 88
"As Is" Appraisal Amount
<> 89
"Subject To" Appraisal Amount
<> 90
"Completion Per Plans" Appraisal Amount
<> 91
Site Value Amount
<> 92
Compensation
<> 93
Contribution
<> 94
Death Benefit
<> 95
Death Benefit Decrement
<> 96
Employee Account Balance
<> 97
Loan Repayment
<> 98
Prior W2
<> 99
Single Premium
<> A
Adjusted Chargeback Claim Amount
<> A0
Assistantship from Admitting Educational Institution
<> A1
Average Negative Ledger Balance
<> A2
Average Positive Collected Balance
<> A3
Average Negative Collected Balance
<> A4
Average Positive Ledger Balance
<> A5
Disallowed - Estimated
<> A6
Disallowed - Actual
<> A7
Noncovered Charges - Estimated
<> A8
Noncovered Charges - Actual
<> A9
Allowed - Estimated
<> AA
Allocated
<> AA1
Excess Funds
<> AA2
Cumulative Total
<> AA3
Reimbursable Amount
<> AA4
Total Reimbursable Amount
<> AA5
Direct Citation Amount
<> AA6
Total Direct Citation Funds
<> AA7
Chargeable Amount
<> AAA
Temporary Term Coverage
<> AAB
Conditional Receipt Coverage
<> AAC
Binding Interim Coverage
<> AAD
Application Amount
<> AAE
Approved Amount
<> AAF
Ultimate Face Amount
<> AAG
Requested Amount from All Reinsurers
<> AAH
Replacement Amount
<> AAI
Scheduled Contribution
<> AAJ
Scheduled Disbursement
<> AAK
Short Term Investment
<> AAL
Subsequent Contribution
<> AAM
Subsequent Distribution
<> AAN
Tax-Federal
<> AAO
Tax-Local
<> AAP
Tax-State
<> AAQ
Trust Fund
<> AAR
Capital Leases
<> AAS
Surplus
<> AAT
Restated Assets
<> AAU
Owing to Clients
<> AAV
Shareholder Loans
<> AAW
Accumulated Deficit
<> AAX
Loan from Parent Company
<> AAY
Contribution Not Subject to Repayment
<> AAZ
Income Before Depreciation
<> AB
Adjusted Collected Balance
<> ABA
Income After Depreciation
<> ABB
Profit (Loss) Before Financial Items
<> ABC
Interest Expenses
<> ABD
Profit (Loss) Before Extraordinary Items
<> ABE
Profit (Loss) After Financial Items
<> ABF
Income Before Allocations
<> ABG
Income from Sale of Fixed Assets
<> ABH
Contribution to Group
<> ABI
Deferred Tax Assets
<> ABJ
Blocked Accounts
<> ABK
Non-taxed Reserves
<> ABL
Pledged Assets
<> ABM
Restricted Equity
<> ABN
Non-restricted Equity
<> ABO
Depreciable Assets
<> ABP
Taxable Assets
<> ABQ
Income from Business
<> ABR
Income Subject to Taxes
<> ABS
Taxable Amount of Real Estate
<> ABT
Ending Principal Balance
<> ABU
Average Daily Principal Balance
<> ABV
Interest Amount
<> ABW
Adjustments for Difference in Average Daily Principal Balance
<> ABX
Beginning Principal Balance
<> ABY
Loan Principal Disbursements
<> ABZ
Principal Increases
<> AC
Average Collected Balance
<> ACA
Principal of Loans Purchased
<> ACB
Principal Cured
<> ACC
Principal Sold
<> ACD
Principal Insurance Claims
<> ACE
Principal Guarantee Voided
<> ACF
Principal Paid by Borrowers
<> ACG
Loans in School and Grace
<> ACH
Loans in Authorized Deferment
<> ACI
Loans Repay or Forebearance - Current or Less than 31 Days
<> ACJ
Loans Repay or Forebearance - 31 to 60 Days Past Due
<> ACK
Loans Repay or Forebearance - 61 to 90 Days Past Due
<> ACL
Loans Repay or Forebearance - 91 to 120 Days Past Due
<> ACM
Loans Repay or Forebearance - 121 to 180 Days Past Due
<> ACN
Loans Repay or Forebearance - 181 to 270 Days Past Due
<> ACO
Loans Repay or Forebearance - 271 or More Days Past Due
<> ACP
Loans Repay or Forebearance - Claims Filed, Not Yet Paid
<> ACQ
Agent Sales
<> ACR
Amount Involved
<> ACS
Assigned Capital
<> ACT
Credit Line Utilized
<> ACU
Direct Sales
<> ACV
Earnings per Share
<> ACW
Inheritance
<> ACX
Invested Capital
<> ACY
Loan from Family Members
<> ACZ
Non Depreciable Assets
<> AD
Adjusted Total
<> ADA
Partially Paid Amount per Share
<> ADB
Pending Orders
<> ADC
Personal Loan
<> ADD
Plant and Machinery
<> ADE
Pre-Tax Loss
<> ADF
Pre-Tax Profit
<> ADG
Registered Capital
<> ADH
Revaluation Reserves
<> ADI
Social Capital
<> ADJ
Statutory Profit
<> ADK
Training Pay
<> ADL
Retroactive Pay
<> ADM
Expected Reimbursement Amount
<> ADN
Permit Cost
<> ADO
Minimum
<> ADP
Additional Amount to Meet Minimum
<> ADQ
Labor Per Hour
<> ADR
Non-recoverable Depreciation
<> ADS
Recoverable Depreciation
<> ADT
Overhead
<> ADU
Indemnity Benefit
<> ADW
Replacement Cost of Repairs
<> ADX
Actual Cash Value of Repairs
<> ADY
Recoverable Depreciation of Repairs
<> ADZ
Non-recoverable Depreciation of Repairs
<> AE
Arrearage
<> AEA
Non-indemnity Benefit
<> AEB
Actual Cash Value of Building
<> AEC
Government Share
<> AED
Contractor Share
<> AEE
Award Fee
<> AEF
Base Fee
<> AEG
Target Profit Floor
<> AEH
Target Profit Ceiling
<> AEI
Labor Per Day
<> AEJ
Difference in Interest Due
<> AEK
Difference in Prepayment Penalty
<> AEL
Difference in Principal Due
<> AEM
Appropriation of Retained Earnings Less Reversals
<> AEN
Appropriations
<> AEO
Billings and Costs-Profit Differential
<> AEP
Common Stock Par Value
<> AEQ
Cost of Services Rendered
<> AER
Creditors
<> AES
Declared Profit
<> AET
Discounted Notes
<> AEU
Endorsed Notes
<> AEV
General Reserves
<> AEW
Import Volume
<> AEX
Income Tax Credit
<> AEY
Long-Term Deposits
<> AEZ
Long-Term Loans
<> AF
Average Float
<> AFA
Minority Interest
<> AFB
Non-Operating Expense
<> AFC
Non-Operating Income
<> AFD
Operating Profit or Loss
<> AFE
Preferred Stock Par Value
<> AFF
Profit After Tax and Minority Interest
<> AFG
Retained Earnings to be Appropriated
<> AFH
Revaluation Surplus or Deficit
<> AFI
Reversal of Voluntary Earned Surplus
<> AFJ
Share Price
<> AFK
Short-Term Deposits
<> AFL
Short-Term Loans
<> AFM
Tax Provisions
<> AFN
Unallocated Profit
<> AFO
Voluntary Earned Surplus
<> AFP
Calculated Weekly Compensation Amount
<> AFQ
Benefit Type Gross Weekly Amount
<> AFR
Benefit Type Net Weekly Amount
<> AFS
Employee Gross Wage
<> AFT
Garage Gross Wages
<> AFU
Officer Compensation - Actual Flat
<> AFV
Officer Compensation - Statutory Maximum
<> AFW
Officer Compensation - Statutory Minimum
<> AFY
Previous Balance
<> AFZ
Disputed Amount
<> AG
Adjusted Gross Income
<> AGA
Non-Operating Income or Expense
<> AGB
Operating Income or Expense
<> AGC
Income or Expense
<> AGD
Purchase Authority
<> AGE
Capital Decrease
<> AGF
Capital Increase
<> AGG
Deed Capital
<> AGH
Transferred Amount
<> AGI
Unadjusted Sales Price
<> AGJ
Sales Concessions
<> AGK
Property Value
<> AGM
Partial Release Amount
<> AGN
Lien Filing Fee
<> AGO
Additional Repair Price
<> AGP
Qualified Tuition and Related Expenses
<> AGQ
Qualified Financial Assistance
<> AGR
Aggregate Reimbursements or Refunds
<> AGS
New Loan Balance
<> AGT
Raw Material Purchases
<> AGU
Work in Progress Purchases
<> AGV
Operating Cash Flow
<> AGW
Payments for Outside Work
<> AGX
Set Aside for Provisions
<> AGY
Financial Income or Expense
<> AGZ
Extraordinary Income or Expense
<> AH
Loan Balance Difference
<> AHA
Unfinished Production Carried Forward
<> AHB
Installation Materials Cost
<> AHC
New Mortgage Amount
<> AHD
Capitalized Assets
<> AHE
Profit Reserves
<> AHF
Share in Profit or Loss in Other Companies
<> AHG
Monetary Correction
<> AHI
Scheduled Repayment Amount
<> AHJ
Amounts Placed with Other Banks
<> AHK
Due from Parent Company
<> AHL
Owing from Subsidiary Companies
<> AHM
Certificates of Deposit Amount
<> AHN
Publicly Traded Shares Amount
<> AHO
Non Publicly Traded Shares Amount
<> AHP
Trading Securities Amount
<> AHQ
Investment Securities Amount
<> AHR
Earnings Per Share Minus Dividends
<> AHS
Active Partner Capital
<> AI
Sale Amount
<> AJ
Funds Held by Mortgagee
<> AJC
Adjusted Claim
<> AK
Attorney Fees
<> AL
Average Ledger Balance
<> AM
Amount Financed
<> AN
Bankruptcy Fee
<> ANC
Accrued Income
<> AO
Amount Override
<> AP
Amount Prior to Fractionalization
<> APT
Amount of Purchase Exempt From Tax or Fee
<> AQ
Average Price Per Call
<> AR
Fees to Public Officials for Foreclosure
<> AS
Average Price Per Minute
<> ASP
Annual Sales or Premiums
<> AT
Total Received
<> ATF
Amount of Tax or Fee Exemption
<> AU
Coverage Amount
<> AV
Actual Cash Value
<> AVE
Average
<> AW
Replacement Cost
<> AX
Previous Price
<> AY
Title Cost
<> AZ
Other Foreclosure and Acquisition Expenses
<> B
Estimated
<> B0
Bond
<> B1
Benefit Amount
<> B2
Bonuses and Commissions Divided Over 12 Months
<> B3
Bonuses Divided Over 12 Months
<> B4
Bonuses and Commissions
<> B5
Budgeted
<> B6
Allowed - Actual
<> B7
Deductible - Estimated
<> B8
Co-insurance - Estimated
<> B9
Co-insurance - Actual
<> BA
Bargain
<> BAA
Net Taxable Income
<> BAB
Original Amount of Instrument
<> BAC
Addition to Tax
<> BAD
Reinstatement Fee
<> BAE
Permit Fee Due
<> BAF
Permit Fee with Extension
<> BAG
Net Annual Permit Fee Due
<> BAH
Permit Fee Penalty Due
<> BAI
Permit Fee Interest Due
<> BAJ
Total Permit Fee Due
<> BAK
Franchise Tax
<> BAL
Unclaimed Franchise Tax Credit
<> BAM
Net Franchise Tax Due
<> BAN
Franchise Tax Penalty Due
<> BAO
Total Franchise Tax Due
<> BAP
Total Amount Due
<> BAQ
Overpayment
<> BAR
Amount to be Refunded
<> BAS
Gross In-State Receipts
<> BAT
Gross Receipts
<> BAU
Occupation Fee
<> BAV
Total Assessed Value
<> BAW
Total Value of All Property
<> BAX
Value of In-State Property
<> BAY
Total Value of Out-of-State Property
<> BAZ
Total Par Value
<> BB
Mortgage Insurance Premiums
<> BBA
Total Assessable Capital Stock
<> BBB
Apportioned Value
<> BBC
Estimated In-State Real Property Value
<> BBD
Par Value of In-State Assets
<> BBE
In-State Business Revenue
<> BBF
Subscription Price
<> BBG
Value of Authorized Shares
<> BBH
Ordinance Amount
<> BBI
Capital for a Cooperative
<> BBJ
Directors Legal Obligation Debt
<> BBK
Silent Partner Capital
<> BC
Billing Cycle Net Fee Position (Excess/Deficit)
<> BD
Balance Due
<> BE
Disbursements for Authorized Repair
<> BF
Hazard Insurance Premium
<> BG
Eviction Attorney Fees
<> BH
Eviction Expenses
<> BI
Property Taxes
<> BJ
Disbursements Not Shown Elsewhere
<> BK
Disbursements for Protection and Preservation
<> BL
Disbursements for Inspections and Boarding
<> BLD
Bridge Loan Not Deposited
<> BM
Adjustments
<> BN
Rental Income
<> BO
Rental Expense
<> BOA
Borrower Advance
<> BOR
Borrowed Amount
<> BP
Average Net Collected Balance
<> BQ
Bail
<> BR
Adjusted Insured Loss Amount
<> BS
Mortgage Note Interest
<> BT
Bank Reject Total
<> BTR
Betterment
<> BU
Overhead Costs
<> BV
Uncollected Interest
<> BW
Amount Due from Buyer at Closing
<> BX
Amount Owed to Buyer at Closing
<> BXP
Bills of Exchange Payable
<> BY
Additional Closing Expenses
<> BZ
Deficiency Judgment Expenses
<> C
City
<> C0
Current Expenditures
<> C1
Co-Payment Amount
<> C2
Child Rider Coverage
<> C3
Prior Payment - Estimated
<> C4
Prior Payment - Actual
<> C5
Claim Amount Due - Estimated
<> C6
Claim Amount Due - Actual
<> C7
Payor Responsibility - Estimated
<> C8
Payor Responsibility - Actual
<> C9
Disallowed Cost Containment - Actual
<> CA
Contractor Cumulative to Date
<> CB
Collected Balance Required
<> CC
Chargeback Claim Amount
<> CD
Overpaid Section 235 Subsidy
<> CDC
Clean-up Costs Associated with Deficiency
<> CE
Summary Amount
<> CF
Appraisal Fees
<> CG
Commission Fees Deducted
<> CH
Change Amount
<> CI
Funds Held for Insured
<> CJ
Other Deductions
<> CJL
Collections, Judgments, and Liens
<> CK
Back End Load
<> CL
Outstanding Balance Current Lender
<> CM
Claimant Requested Total
<> CMC
Compression Charge
<> CMR
Commodity Refund
<> CN
Special Assessments
<> CO
Taxes on Deed
<> COA
Corporate Assets
<> CP
Statutory Disbursements
<> CPO
Closing Costs Paid by Any Other Party Other Than Seller or Buyer
<> CPS
Closing Costs Paid by Seller
<> CQ
Net Claim Amount
<> CR
Contractor at Complete
<> CRC
Container Replacement Cost
<> CRL
Container Replacement Labor Cost
<> CRM
Container Replacement Material Cost
<> CS
Commission Sales
<> CT
Contract
<> CU
Subcontractor Cumulative to Date
<> CV
Subcontractor at Complete
<> CW
Earned Value
<> CX
Actual
<> CY
Cumulative Budget
<> CZ
Cumulative Earned Value
<> D
Payor Amount Paid
<> D0
Administration and Management Costs
<> D1
Deferred Compensation Commissions
<> D2
Deductible Amount
<> D3
Deferred Compensation Commissions and Bonuses
<> D4
Deferred Compensation
<> D4D
Dollar For Dollar Deductions
<> D5
Dependent Care Contribution
<> D6
Disallowed Cost Containment - Estimated
<> D7
Dispensing Fee
<> D8
Discount Amount
<> D9
Cumulative Actual
<> DA
Original Mortgage
<> DB
Unapplied Section 235 Funds
<> DC
Unapplied Buydown Fund
<> DD
Direct Deposit
<> DE
Estimate of Damage
<> DEF
Deferral
<> DEI
Delayed Interest
<> DF
Authorized Bid
<> DFA
Deferred Assets
<> DG
Escrow Balance
<> DH
Total Disbursements
<> DI
Charge Off
<> DJ
Liens Amount Original
<> DK
Release of Lien
<> DL
Debit
<> DLQ
Delinquent Taxes
<> DM
Asset
<> DN
Liability
<> DO
Satisfaction
<> DP
Exemption
<> DPF
Discount Points Financed
<> DPN
Discount Points Not Financed
<> DPP
Defaulted Tax Plan Payment
<> DQ
Settlement
<> DR
Alimony Expense
<> DS
Alimony Income
<> DT
Child Support Expense
<> DU
Child Support Income
<> DV
Separate Maintenance Expense
<> DVP
Development Properties
<> DW
Separate Maintenance Income
<> DX
Deductible Waived
<> DY
Per Day Limit
<> DZ
Job-related Expense
<> E
Estimated Credit
<> E0
Administration and Management Indemnity Charge
<> E1
Employer Year to Date Contribution
<> E2
Employee Annual Pledge Amount
<> E3
Employee Current Contribution
<> E4
Employer Pledge Amount
<> E5
Employer Current Contribution
<> E6
Eligible Wage Amount
<> E7
Employee Year to Date Contribution
<> E8
Education Contribution
<> E9
Initial Fee
<> EA
Earnings Allowance
<> EAA
Administrative Expenses
<> EAB
Air Travel Expenses
<> EAC
Amount Forgiven
<> EAD
Amount Guaranteed
<> EAE
Amount Over Fair Market Value
<> EAF
Amount Owed
<> EAG
Amount Payable
<> EAH
Amount Raised
<> EAI
Amount Received
<> EAJ
Amount Refunded
<> EAK
Amount Rescinded
<> EAL
Anonymous Contribution
<> EAM
Balance Owed
<> EAN
Bank Charges
<> EAO
Bank Loan
<> EAP
Brochure Expenses
<> EAQ
Bus Travel Expenses
<> EAR
Consultant Expenses
<> EAS
Corrected Amount
<> EAT
Disability Expenses
<> EAU
Disposed Amount
<> EAV
Draw Amount
<> EAW
Election Expenses
<> EAX
Endorsement Amount
<> EAY
Entertainment Expenses
<> EAZ
Excess Expenses
<> EB
Collected Balance (Excess/Deficit)
<> EBA
Expected Expenditure Amount
<> EBB
Expenditure Amount
<> EBC
Family Care Expenses
<> EBD
Federal Share Amount
<> EBE
Filing Fee
<> EBG
In-Kind Contribution
<> EBH
Incurred Amount
<> EBI
Loan Amount Plus Interest
<> EBJ
Loan Balance
<> EBK
Matching Contribution
<> EBL
Meeting Expenses
<> EBM
Miscellaneous Income
<> EBN
Miscellaneous Receipts
<> EBO
New Loan Amount
<> EBP
New Unpaid Expenditure
<> EBQ
Newsletter Expenses
<> EBR
Newspaper Advertising Expenses
<> EBS
Nomination Expenses
<> EBT
Non-Federal Share
<> EBU
Office Expenses
<> EBV
Office Rental
<> EBW
Original Asset Value
<> EBX
Original Loan Amount
<> EBY
Party Expenses
<> EBZ
Payment
<> EC
Allowance (Excess/Deficit)
<> ECA
Personal Expenses
<> ECB
Personal Funds
<> ECC
Pledged Amount
<> ECD
Postage Expenses
<> ECE
Printing Expenses
<> ECF
Public Funds
<> ECG
Radio Advertising Expenses
<> ECH
Reimbursed Amount
<> ECI
Reported Amount
<> ECJ
Retainer
<> ECK
Sign Expenses
<> ECL
Sub-Contract Value
<> ECM
Tax Receipts
<> ECN
Taxi Travel Expenses
<> ECO
Telecommunication Expenses
<> ECP
Television Advertising Expenses
<> ECQ
Unpaid Expenditure
<> ECR
Utilities Expenses
<> ECS
Total
<> ECT
Subtotal
<> ECU
Grand Total
<> ECV
Incidental Expenses
<> ECW
Transportation Expenses
<> ECX
Gift Value
<> ECY
Food and Refreshments
<> ECZ
Polling Expenses
<> ED
Estimated Cost of Attendance
<> ED4
Tuition and Required Fees
<> EDB
Books and Supplies
<> EE
Other Expense
<> EF
Estimated Financial Aid
<> EG
Other Income
<> EH
Amount of Mortgages and Liens
<> EI
Mortgage Payment(s)
<> EIP
Maintenance Expense on Income Producing Property
<> EJ
Insurance, Maintenance, Taxes and Miscellaneous
<> EK
Net Rental Income
<> EL
Present Market Value
<> ELT
Electroconvulsive Therapy (ECT) Adjustment
<> EM
Gross Rental Income
<> EN
Cancellation Fee
<> ENP
Maintenance Expense on Non-Income Producing Property
<> ENT
Entitlement Amount
<> EO
Capital Reserves
<> EP
Employer Annual Pledge Amount
<> EQ
Condominium Association Fees
<> ER
Homeowner Association Fees
<> ERN
Earnest Money
<> ES
Mortgage Insurance Proceeds
<> ET
Net Proceeds from Sale of Real Estate Property
<> ETD
Ever To Date (ETD) Claim Loss
<> EU
Insurance Proceeds (Primary Settlement)
<> EV
Presale Proceeds
<> EW
Pledged Savings
<> EX
As Is Broker's Opinion
<> EXC
Exploration Costs
<> EY
Subject To Broker's Opinion
<> EZ
Uniform Commercial Code Filing Office Fee
<> F
Annual Limit
<> F0
Commercial Staff Labor Costs
<> F1
Maximum Allowable Cost (MAC) Penalty Copay
<> F2
Patient Responsibility - Actual
<> F3
Patient Responsibility - Estimated
<> F4
Postage Claimed
<> F5
Patient Amount Paid
<> F6
Provider Reserves
<> F7
Sales Tax
<> F8
Usual and Customary Charge - Estimated
<> F9
Usual and Customary - Actual
<> FA
Coordination Fee
<> FAR
Federal Housing Administration (FHA) Appraiser Required Repairs and Improvements
<> FB
Calculation Fee
<> FBA
Final Balance
<> FC
Expected Family Contribution
<> FD
Direct Deposit Flipped to Check
<> FE
Fee
<> FF
Application Fee
<> FG
Licensing Fee
<> FH
Regulatory Fee
<> FI
First Interest Payment Amount
<> FJ
Waiver Fee
<> FK
Other Unlisted Amount
<> FL
Float
<> FLA
First Lien Advance
<> FM
Fair Market Value
<> FN
Fine
<> FO
Fees Paid
<> FOA
Foreign Assets
<> FP
Fees Paid Year to Date
<> FQ
Firm Contractor Share
<> FR
Estimated Government Share
<> FRB
Facilities Refund
<> FS
Expense
<> FT
Endorsement Premium Amount
<> FTR
Fuel Tracker Refund
<> FU
Commercial Staff Indemnity Charge
<> FV
Flat Fee Paid to Date
<> FW
Flat Fee Paid Current Month
<> FX
Endorsement
<> FY
First Payment
<> FZ
Earned Income
<> G
Collateral
<> G0
Initial Adjustment Total
<> G1
Indicated Value by Sales Comparison Approach
<> G2
Indicated Value by Income Approach
<> G3
Price per Unit Area
<> G4
Reconciliation of Final Value Estimate
<> G5
Estimated Monthly Market Rent
<> G6
Adjusted Sales Price
<> G7
Sales or Financing Concessions
<> G8
Indicated Value by Cost Approach
<> G9
As-is Value of Site Improvements
<> GA
Depreciated Value of Improvements
<> GAR
Garnishments
<> GAT
Annual Tax
<> GB
Price, High Value
<> GC
Price, Low Value
<> GCB
Corrected Tax Bill
<> GCL
Gross Claim
<> GD
Physical Depreciation
<> GE
Functional Depreciation
<> GF
External Depreciation
<> GFD
Gifts Not Deposited
<> GFT
Gift Amount
<> GG
Adjusted Sales Price of Comparable Sales
<> GH
Predominate Value
<> GI
Average Customer Income
<> GJ
Average Neighborhood Income
<> GK
Average Customer Purchase
<> GL
Weekly Dollar Sales
<> GM
Average Case Sales
<> GN
Buy-down
<> GO
Credit Line
<> GP
Appraisal Repair Amount
<> GQ
Brokers Opinion Repair Amount
<> GR
Credit Line Available
<> GRC
Gross Contribution
<> GRD
Grants Not Deposited
<> GRR
Gross Restoration
<> GRT
Grant Amount
<> GS
Subsequent Adjustments Total
<> GSP
Good Standing Tax Plan Payment
<> GT
Goods and Services Tax
<> GTS
Total Supplemental Tax Due
<> GU
Taxes Paid
<> GUI
Tax Installment Due
<> GUP
Tax Installment Paid
<> GUS
Total Supplemental Tax Paid
<> GV
Gross Value
<> GW
Total Charge
<> GX
Total Credit
<> GY
Total Debit
<> GZ
Total Finance Charge
<> H
Bid Amount
<> H0
Host Government (government of the institution) Financing for Education
<> H1
Legal Reserves
<> H2
Cancellation
<> H3
Deposit Inception to Date
<> H4
Deposit Year to Date
<> H5
Dump in Remittance
<> H6
Earnings
<> H7
Life Insurance Cash Value
<> H8
Structure Value
<> H9
Original List Price
<> HA
Coin
<> HB
Currency
<> HC
U.S. Treasury Checks
<> HD
Postal Money Orders
<> HDA
Home Equity Line of Credit Draw Amount
<> HE
City Checks
<> HEM
Hemophilia Adjustment
<> HF
Other Checks
<> HG
Home Government Financing for Education
<> HH
Annual Social Security Wages
<> HI
Annual Social Security Tips
<> HJ
Annual Wages, Tips, and Other Compensation
<> HK
Social Security Employee Tax Withheld
<> HL
Federal Income Tax Withheld
<> HM
Advance Earned Income Credit
<> HN
Commission
<> HO
Vacation Pay
<> HOA
Head Office Account
<> HP
Gross Pay Submitted
<> HQ
Intersell Commission Sales
<> HR
Total Payroll Approved
<> HS
Holiday Pay
<> HT
Overtime Pay
<> HU
Regular Pay
<> HV
Sick Pay
<> HW
Special Pay
<> HX
Contract Price
<> HY
Commercial Space Income
<> HZ
Utilities Paid by Owner
<> HZC
Hazardous Clean-up Cost
<> I
Interest
<> I0
Life Insurance Coverage
<> I1
Investment Income
<> I2
Income
<> I3
Price, Gross Living Area
<> I4
Total Estimated Rent
<> I5
Gross Annual Income
<> I6
Custodian's Salary
<> I7
Engineer's Salary
<> I8
Elevator Operator's Salary
<> I9
Indicated Value by Market Approach Estimate of Market Value
<> IA
Adjusted Monthly Rent
<> IB
Investable Balance
<> IBL
Inter-Bank Loans
<> IC
Accrued Unpaid Interest To Be Capitalized
<> ICR
Imbalance Charges Refund
<> ID
Import Duty Amount
<> IE
Excise Tax Amount
<> IF
Inspection Fee
<> IG
Adjustment for Gross Living Area
<> IGT
Inter-Governmental Transfer (IGT) Payments
<> IH
Predominant Price High
<> II
Irregular Interest Payment Amount
<> IJ
Net Adjusted Monthly Rent
<> IK
Indicated Monthly Market Rent
<> IL
Predominant Price Low
<> IM
Adjustment for Rooms
<> IN
Installment
<> INB
Installment Balance After the Current Installment is Applied
<> IO
Adjustment for Bedrooms
<> IP
Interest Payable During Repayment Period
<> IPD
Interest per Diem
<> IQ
Contingent Debt
<> IR
Insurance Recovery
<> IS
Independent Scholarship
<> ISS
Interest Since Claim Submission
<> IT
Incentive Fee
<> IU
Accrued Unpaid Interest Not To Be Capitalized
<> IV
Utilities Allowance
<> IVP
Investment Property
<> IW
Furniture Allowance
<> IY
Debentures
<> IZ
Account High Balance
<> J
Trustee Fees
<> J0
Limited Partnership Capital
<> J1
Current Face Amount
<> J2
Original Face Amount
<> J3
Fixed Default Note Holder's Amount
<> J4
Initial Monthly Payment
<> J5
Original Principal and Interest Payment
<> J6
Final Principal and Interest Payment
<> J7
Conversion Fee
<> J8
Ending Balance
<> J9
Beginning Balance
<> JA
Assessment
<> JB
Equity Claimed as Exempt
<> JC
Counter Claim
<> JD
Weekly Benefit
<> JE
Lease
<> JF
Administrative Load
<> JG
Asset Cost Applicable to Entire Contract
<> JH
Asset Cost Applicable to Portion of Contract
<> JI
Annual Fee
<> JJ
Cost Basis
<> JK
Disability Premium
<> JL
Employee Additional Contribution
<> JM
Employee Match Contribution
<> JN
Employer Contribution
<> JO
Free Look Value
<> JP
Free Withdrawal Value
<> JQ
Front End Load
<> JR
Guaranteed Minimum Death Benefit
<> JS
Interim Value
<> JT
Monthly Rent
<> JU
Judgment
<> JV
Loan Value
<> JW
Market Value
<> JX
Market Value Adjusted Value
<> JY
Market Value Adjustment
<> JZ
Net Contract Value
<> K
Attorney and Trustee Fees
<> K0
Discounted Bills not Due
<> K1
Unpaid Security Balance
<> K2
Total Unpaid Security Balance
<> K3
Veterans Affairs Funding Fee
<> K4
Initial Target Fee
<> K5
Minimum Fee
<> K6
Maximum Fee
<> K7
Price
<> K8
Special Accounting Classification Reference Number (ACRN) Amount
<> K9
New Price
<> KA
Estimated Contract
<> KB
Estimated Net Adjustment
<> KC
Obligated
<> KD
Undefinitized
<> KE
Annual Revenue
<> KF
Net Paid Amount
<> KG
Net Collected Amount
<> KH
Deduction Amount
<> KI
Net Variance Amount
<> KJ
Minimum Contract Amount
<> KK
Item Gross Amount
<> KL
Collected Amount
<> KM
Disbursed Amount
<> KN
Gross Amount of Payment
<> KO
Committed Amount
<> KP
Principal and Interest
<> KQ
Incremental Order Amount
<> KR
Liability-Long Term
<> KS
Taxes and Insurance
<> KT
Default Principal
<> KU
Default Interest
<> KV
Liability-Short Term
<> KW
Default Taxes and Insurance
<> KX
Miscellaneous Fee Collections
<> KY
Not-To-Exceed Price
<> KZ
Mortgagor's Monthly Obligations
<> L
Local
<> L0
Liquid Assets
<> L1
Legal Contribution
<> L2
Leasehold Insurance Amount
<> L3
Total Unidentified Payments Rejected
<> L4
Total Credits Received
<> L5
Total Debits Received
<> L6
Total Pre-advices Received
<> L7
Total Prenotes Received
<> L8
Total Post-advices Received
<> L9
Total Debit for Settlement
<> LA
Definitized
<> LB
Definitized Total
<> LC
Lessor's Cost
<> LD
Incremental
<> LDR
Land Rights
<> LE
Loan Eligibility Amount
<> LF
Loan Remittance or Repayment
<> LG
Laundry Income
<> LH
Baseline
<> LI
Line Item Unit Price
<> LJ
Legal and Audit
<> LK
Loan Amount Requested
<> LL
Lump Sum
<> LM
Limit
<> LN
Lien Payoff
<> LO
Money Purchase
<> LOW
Lower Fund
<> LP
List Price
<> LPC
Total Subject Property Liens Paid by Closing
<> LPF
Lease Purchase Funds
<> LPY
Lease Payments
<> LQ
Maximum Potential Liability
<> LR
Total Credit for Settlement
<> LS
Net Settlement
<> LSP
Total Liabilities to be Paid at Closing Not Including Subject Property Liens
<> LST
Loss on Sale Of Property
<> LT
Total Award
<> LU
Option Amount
<> LV
Planned Periodic Payment
<> LW
Tax and Insurance Escrow Fund Balance
<> LX
Loan Expense
<> LY
Total Remaining Principal Balance for the Issuer
<> LZ
Delinquent Payment
<> M
Amount Due from Buyer at Appraisal Notice Date
<> M0
Loans from Officers
<> M1
Maximum Out of Pocket Amount
<> M2
Medical Contribution
<> M3
Tax rate expressed as a flat fee
<> M4
Minimum amount of tax to be paid
<> M5
Minimum amount to which tax rate is applied
<> M6
Maximum amount of tax to be paid
<> M7
Maximum amount to which tax rate is applied
<> M8
Markup Amount
<> M9
Net of Surrender Withdrawal
<> MA
Maximum Amount
<> MAD
Miscellaneous Adjustment
<> MB
Undistributed Budget
<> MC
Cost of Money
<> MD
Minimum Due
<> ME
Minimum Default Note Holder's Cost
<> MF
Administrative Fees
<> MG
Maximum Late Charge
<> MH
Minimum Late Charge
<> MI
Minimum Incentive Fee
<> MJ
Maximum Default Note Holder's Cost
<> MK
Gross to Pay
<> ML
Prior Net Invoice Total
<> MM
Payout
<> MMA
Modified Mortgage Amount
<> MN
Monthly Limit
<> MO
Minimum Order Value
<> MP
Monthly Payment Amount
<> MQ
Post Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis
<> MR
Management Reserve
<> MS
Past-Due Taxes and Assessment Remaining Unpaid
<> MT
Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis
<> MU
Premium Tax Paid on Surrender
<> MV
Premium Tax Paid up Front
<> MW
Sales Loads
<> MX
Maximum Incentive Fee
<> MY
Surrender Value
<> MZ
Valuation Price
<> N
Net
<> N0
Loans or Financial Borrowings
<> N1
Net Worth
<> N2
Individual Income Taxes and Other
<> N3
Corporate Income and Excess Profits Tax
<> N4
Excise Taxes
<> N5
Estate and Gift Taxes
<> N6
Carrier Tax Act Taxes
<> N7
Federal Unemployment Tax Act Taxes
<> N8
Miscellaneous Taxes
<> N9
Withheld and Federal Insurance Contribution Act (FICA) Taxes
<> NA
Net Adjustment
<> NB
Net Compensation Position
<> NBF
Net Benefit
<> NBO
Net Worth of Business Owned
<> NC
Negative Collected Balance
<> NCT
Net Contribution
<> ND
Per Person Monthly Limit
<> NE
Net Billed
<> NF
Monthly Net Fee Position (Excess/Deficit)
<> NG
Medicare Copayment
<> NH
Medicare Deductible
<> NI
Medicare Paid
<> NJ
Other Insurance Paid Amount
<> NK
Total in Force and Applied Coverage
<> NL
Negative Ledger Balance
<> NM
Non-collateralized Amount
<> NN
Transaction Fee
<> NO
Non Commission Sales
<> NP
Net to Pay Total
<> NPP
No Tax Plan Payment
<> NQ
Adjusted Nonrecurring
<> NR
Nonrecurring
<> NRE
Net Restoration Expenses
<> NS
Net Savings Amount
<> NT
Unit Value
<> NTA
New Technology Adjustment
<> NU
Reinsurance Amount
<> NV
Renewal Amount
<> NW
Retention Per Life
<> NX
Retention Per Policy
<> NY
Net Year to Date (Excess/Deficit)
<> NZ
Equalization Account
<> O
Court Cost
<> O0
Extraordinary Income
<> O1
Amount of First Mortgage Being Refinanced
<> O2
Other Family Financing for Education
<> O3
Intangible Assets Written Off
<> O4
Interest Payable
<> O5
Interest Receivable
<> O6
Joint Venture Results
<> O7
Long Term Debt
<> O8
Long Term Provisions
<> O9
Loss
<> OA
Principal Balance Amount
<> OB
Outstanding Loan Balance
<> OC
Opening Bank Charges
<> OD
Draft Amount
<> ODC
Odorization Charge
<> OE
Miscellaneous Charges
<> OEQ
Office Equipment
<> OF
Contractor's Offer
<> OFC
Operational Flow Order Charge
<> OFR
Operational Flow Order Refund
<> OG
Cable Charge
<> OH
Handling Charges
<> OI
Non-commission Charges
<> OJ
Merchandise
<> OK
Letter of Credit Amount
<> OL
Outstanding Balance Other Lender
<> OLA
Other Liability Amounts
<> OM
Other Monthly Income
<> ON
Negotiating Bank Charges
<> ONR
Operational Notice Refund
<> OO
Overdrafts
<> OP
Original Payment Total
<> OQ
Payroll Costs
<> OR
Letter of Credit Remaining Amount
<> OS
Other Salaries
<> OT
Commission Amendment Charges
<> OU
Profit
<> OUT
Inpatient Outlier Adjustment
<> OV
Profit and Loss Deficit
<> OW
Profit after Extraordinary Items and before Tax
<> OX
Profit after Tax and Before Extraordinary Items
<> OY
Payment Commission
<> OZ
Profit Distributed to Employees
<> P
Penalty
<> P0
Parental Financing for Education
<> P1
Partner's Calendar Year Salary
<> P2
Prior Plan Year Gross Salary
<> P3
Premium Amount
<> P4
Prior Year's Wage
<> P5
Partner's Tax Year Salary
<> P6
Premium Due
<> P7
Partner's K1 Tax Year Amount
<> P8
Partner's K1 Calendar Year Amount
<> P9
Current Mortgage Principal Balance
<> PA
Payment Cancellation Total
<> PAD
Policy Advance
<> PAM
Minimum Delivery Purchase Amount
<> PAN
Penalty and Interest
<> PB
Billed Amount
<> PBG
Profit (Loss) Before Grants
<> PC
Positive Collected Balance
<> PCA
Processing Allowance
<> PCC
Prior Contract Cost Basis
<> PCP
Previous Claim Payments
<> PCS
Prior Contract Surrender Charge
<> PCV
Prior Contract Value
<> PD
Credit
<> PE
Plan Period Election
<> PEX
Profit (Loss) after Extraordinary Items and Tax
<> PF
Principal
<> PFC
Port Facility Charge
<> PG
Payoff
<> PGR
Proposed Gross Rent for the Subject Property
<> PH
Per Occurrence Deductible
<> PI
Per Occurrence Monthly Limit
<> PJ
Past Due
<> PK
Photograph Fee
<> PL
Positive Ledger Balance
<> PM
Last Premium Amount
<> PN
Prior Gross Invoice Total
<> PO
Percent Override
<> PP
Payment Prior to Advance
<> PPN
Pending Net Sale Proceeds from Non-Real Estate Assets
<> PPR
Pending Net Sale Proceeds from Real Estate Assets
<> PQ
Advance Amount
<> PR
Per Occurrence Limit
<> PRD
Property Damage
<> PRL
Partial Payroll Payment
<> PS
Per Occurrence per Day Limit
<> PT
Per Occurrence Aggregate Limit
<> PU
Unsecured Priority Claim
<> PV
Prepetition Charges
<> PW
Per Occurrence Maximum per Week Limit
<> PX
Per Person Maximum per Week Limit
<> PY
Per Person per Day Limit
<> PZ
Original Principal Balance
<> Q
Amount Owed to Buyer at Appraisal Notice Date
<> Q0
Loans to Affiliated Companies
<> Q1
Proposed
<> Q2
1035 Exchange
<> Q3
401K Transfer
<> Q4
Total Prenotes Accepted
<> Q5
Total Prenotes Rejected
<> Q6
Automatic Premium Deduction
<> Q7
Total Post-advices Accepted
<> Q8
Total Post-advices Rejected
<> Q9
Cash With Application
<> QA
Combined
<> QB
Credit Card
<> QC
Deposit Fund
<> QD
Direct Billing
<> QE
Disc Premium
<> QF
Electronic Funds Transfer (EFT)
<> QG
Government Allotment
<> QH
Initial Premium
<> QI
Individual Retirement Account 60 Day Rollover
<> QJ
Individual Retirement Account Direct Transfer
<> QK
Individual Retirement Account Regular Contribution
<> QL
Keogh/HR 10
<> QM
Keogh/HR 10 Transfer
<> QN
Quarterly Net Fee Position (Excess/Deficit)
<> QO
List Billing
<> QP
Modal Premium
<> QQ
Payroll Taxes
<> QR
Parking Income
<> QS
Non-Qualified (1035 Exchange)
<> QT
PAC - Pre-Authorized Check
<> QU
Payroll Deduction
<> QV
Pension
<> QW
Premium Received With Application
<> QX
Profit Sharing Trust
<> QY
Qualified
<> QZ
Payment Amount
<> R
Spend Down
<> R0
Loans to Participants
<> R1
Fixed, Liquidated Secured Debt
<> R2
Contingent Secured Debt
<> R3
Disputed Secured Debt
<> R4
Unliquidated Secured Debt
<> R5
Fixed, Liquidated Unsecured Debt
<> R6
Contingent Unsecured Debt
<> R7
Disputed Unsecured Debt
<> R8
Unliquidated Unsecured Debt
<> R9
At Time of Filing
<> RA
Accelerated Royalty
<> RB
Per Person Deductible
<> RC
Refund Check
<> RD
Per Person Limit
<> RDS
Reservation/Demand - Storage
<> RDT
Reservation/Demand - Transportation
<> RE
Royalty Due
<> RF
Restitution
<> RG
Budgeted Redemption
<> RH
Per Person Aggregate Limit
<> RI
Residual Value
<> RJ
Rate Amount
<> RK
Provision for Long Term Depreciation
<> RL
Regular Remittance
<> RM
Remittance Refund
<> RN
Resident Manager's Salary
<> RO
Provisions
<> RP
Repair
<> RPC
Repackaging Cost
<> RQ
Recommended Amount
<> RR
Reserve Requirement Amount
<> RS
Reserves
<> RT
Last Payment
<> RU
Total Debits Rejected
<> RV
Total Payments Rejected
<> RW
Total Delinquency
<> RX
Total Pre-advices Accepted
<> RY
Total Pre-advices Rejected
<> RZ
Lender's Total Delinquency
<> S
Submitted Chargeback Claim Amount
<> S0
Self-Financing for Education
<> S1
Salary Amount
<> S2
Salary with Bonuses
<> S3
Salary with Commissions
<> S4
Salary with Subchapter S Corporation Income
<> S5
Salary with Partner's Bonuses
<> S6
Subchapter S Corporation
<> S7
Sole Proprietorship
<> S8
Period Rental
<> S9
Secured Claim Allowed
<> SA
Campaign Summary Amount
<> SAA
System Adjusted Amount
<> SAG
Surplus (Deficit) after Grant
<> SAL
Salvage
<> SB
Stated Amount
<> SC
Total Service Charge
<> SD
Sales Charge
<> SE
Service Charges Which Cannot Be Compensated by Balances
<> SF
Scholarship from Admitting Educational Institution
<> SFD
Secured Borrowed Funds Not Deposited
<> SG
Sponsor-Financing for Education
<> SH
Surrender Charge
<> SI
Subsequent Interest Payment Amount
<> SJ
Surrender Full
<> SK
Surrender Partial
<> SL
Security Personnel's Salary
<> SM
Supplemental
<> SN
Sales Administration Expense
<> SO
Special Creditors Amount
<> SOF
Setoff
<> SP
Sales Price
<> SQ
Special Debtors Amount
<> SR
Secured Claim
<> SRD
Settlement Refund as approved by the Federal Energy Regulatory Commission
<> SS
Campaign Summary Amount to be Shared
<> SSC
Shares in Subsidiary Companies
<> ST
State
<> SU
Surcharge
<> SV
Fixed Monthly Principal Payment
<> SW
Base Award Fee
<> SX
Severance Tax
<> SY
Initial Buydown Balance
<> SZ
Certification Fee
<> T
Tax
<> T0
Third-Party Government-Financing for Education
<> T1
Teacher
<> T2
Total Claim Before Taxes
<> T3
Total Submitted Charges
<> T4
Total Current Balance
<> T5
Total Claims
<> T6
Claim
<> T7
Total Credits Accepted
<> T8
Total Credits Rejected
<> T9
Total Debits Accepted
<> TA
Total Annual Sales
<> TB
Total Annual Sales to Customer
<> TBC
Total Buyer Closing Costs
<> TC
Proposed Cost
<> TCS
Total Commission from Primary and Secondary Sources
<> TD
Proposed Profit
<> TDA
Total Depository Accounts
<> TE
Proposed Fee
<> TEN
Total Maintenance Expense on All Non-Income Producing Properties
<> TEP
Total Maintenance Expense on All Income Producing Properties
<> TF
Total Proposed Price
<> TG
Alternate Proposed Price
<> TGD
Total Gifts Not Deposited
<> TH
Total Claim Allowed
<> TI
Title Insurance Amount on Loan
<> TIS
Total Self-employed Income from Primary and Secondary Sources
<> TJ
Time and Expense Paid to Date
<> TK
Total Amount of Contract
<> TL
Total Prior Loan Amount Owed
<> TLA
Total Other Liquid Assets
<> TLV
Total Life Insurance Net Cash Value
<> TM
Time and Expense Paid Current Month
<> TMM
Total Monetary Markup Amount
<> TO
Telephone Operator's Salary
<> TOL
Total Omitted Liabilities
<> TP
Total payment amount
<> TPA
Total Previous Adjusted Claim
<> TPR
Total Net Proceeds from Real Estate Assets
<> TPS
Total Paid as Submitted
<> TQ
Subsidies for Operating Costs
<> TR
Target Cost
<> TRF
Total Retirement Funds
<> TRI
Total Non-rental Income
<> TRL
Total Resubordinated Liabilities
<> TRP
Total Liabilities for Rental Properties
<> TS
Total Sales
<> TSB
Total Stocks and Bonds
<> TT
Total Transaction Amount
<> TU
Transportation Cost per Unit of Measure
<> TV
Level of Premium Insurance - Retention
<> TW
Technicians Indemnity Provision
<> TX
Total to Date
<> TY
Total at Complete
<> TZ
Transportation Cost Total
<> U
Underpayment
<> U0
U.S. Government-Financing for Education
<> U1
Unsecured, Priority Claim Allowed
<> U2
Ingredient Cost Claimed
<> U3
Miscellaneous Expenses
<> U4
Present Value of Lot
<> U5
Cost of Improvements
<> U6
Alterations, Improvements, Repairs
<> U7
Land
<> U8
Refinance
<> U8L
Tax Payment Refinanced by Same Lender
<> U9
Estimated Prepaid Items
<> UA
Unliquidated Amount
<> UAA
User Adjusted Amount
<> UAR
Refund of Unauthorized Overrun Charges (UAOR Refund)
<> UB
Unpaid Principal Balance
<> UC
Unspecified Aggregate Limit
<> UD
Unsecured, Nonpriority Claim Allowed
<> UE
Mortgage Insurance
<> UEP
Updated Expenses on Presale
<> UF
Discount (If Borrower Paid)
<> UFD
Unsecured Borrowed Funds Not Deposited
<> UG
Total Unpaid Principal Balance for Stafford Loans
<> UH
Subordinate Financing
<> UHI
Unsecured Home Improvements
<> UI
Total Costs
<> UIP
Updated Interest on Presale
<> UJ
Other Credits
<> UK
Base Loan Amount (w/o financed Mortgage Insurance)
<> UL
Mortgage Insurance Financed
<> UM
Total Loan Amount
<> UN
Unsecured, Nonpriority Claim
<> UNK
Unknown Tax Plan Payment
<> UO
Cash from or to Borrower
<> UP
Total Unpaid Principal Balance for Parental Loans for Students
<> UPF
Upper Fund
<> UQ
Monthly Income
<> UR
Unearned Income
<> US
Total Unpaid Principal Balance for Supplemental Loans for Students
<> UT
Value Added Sales
<> UU
Clearing House Settlement
<> UV
Drawback
<> UW
Total Monthly Liabilities
<> UX
Utilities, Furniture, and Amenities Included in Rent
<> UY
Total Assets
<> UZ
Total Liquid Assets
<> V
Cost of Deficiency
<> V0
Value Added
<> V1
Tax and Insurance Escrow Fund
<> V2
Interest Due to Investor
<> V3
Total Principal Due to the Investor
<> V4
Total Interest Due to the Investor
<> V5
Total Curtailment Due to the Investor
<> V6
Total Principal Payoff and Repurchase Due to the Investor
<> V7
Total Interest Payoff and Repurchase Due to the Investor
<> V8
Actual Outstanding Principal Balance
<> V9
Face Amount
<> VA
Total Current Rent or Mortgage Payment (Issue)
<> VB
Total Non-liquid Assets
<> VC
Authorized
<> VD
Actual Person Day Rate
<> VE
Estimated Person Day Rate
<> VES
Vested/Earned Upper Fund
<> VF
Total Monthly Expenses
<> VG
Current Monthly Principal and Interest
<> VH
Levy Amount
<> VI
Current Support
<> VJ
Past Due Support
<> VK
Medical Support
<> VL
Net Negative Amortization Amount
<> VM
Withhold From Wages
<> VN
Commission Basis
<> VO
Commission Earned
<> VP
Current Monthly Payment
<> VQ
Commission Netted
<> VR
Total Monthly Debt
<> VRS
Volumetric Reservation
<> VS
Other Financing Payment
<> VSI
Value of Securities at Issue Date
<> VSM
Value of Securities at Maturity
<> VT
Current Value
<> VU
Closing Cost
<> VV
Capitalized Mortgage Amount
<> VW
First Mortgage Monthly Principal and Interest
<> VX
Interest Amount Paid to Date
<> VY
Minimum Transfer
<> VZ
Maximum Transfer
<> W
Deficiency Judgment Fees
<> W0
Trade Debtors
<> W1
W-2
<> W2
W-2 with Bonuses
<> W3
W-2 with Deferred Compensation
<> W4
W-2 without Bonuses
<> W5
Deposit Sub Total
<> W6
Direct Rollover
<> W7
Direct Transfer
<> W8
Discounted
<> W9
Secondary Finance
<> WA
Minimum Deposit
<> WB
Sub-Agency Compensation
<> WC
Buyers Agency Compensation
<> WD
Variable Rate Compensation
<> WE
Compensation Bonus on Sale of Property
<> WF
Veterans Affairs Loan Guarantee
<> WG
Security Trade Amount
<> WH
Balance Owing All Other Liens, Subject Property
<> WI
Other Financing
<> WJ
Dual Agency Compensation
<> WK
Per Week Limit
<> WL
Lender's Opinion of Value
<> WM
Total Original Principal Balance
<> WN
Other Agent Compensation
<> WO
Dock Usage Fee
<> WP
Pool Usage Fee
<> WQ
Clubhouse Fee
<> WR
Optional Service Fee
<> WS
Other Association Fees
<> WT
Principal, Interest, Taxes
<> WU
Principal, Interest, Taxes and Insurance
<> WV
Total Points Paid at Closing
<> WW
Amount that Would Have Been Paid in the Absence of Capitation
<> WX
Points Paid by Seller
<> WY
Loan Withdrawal
<> WZ
Severance Pay
<> X
Deficiency Judgment Expenses and Fees
<> X0
Treble Damages
<> X1
Transfer to Untaxed Reserves
<> X2
Reissued
<> X3
Rollover Amount
<> X4
Annual Rental
<> X5
Gross Monthly Rent
<> X6
SEP - Self Employee Pension
<> X8
Funding Amount
<> X9
Tax Sheltered Annuity (403B Transfer)
<> XA
Maximum Award Fee
<> XB
Maturity Value
<> XC
Earned Wages
<> XD
Base Period Wage
<> XE
Withdrawal
<> XF
Withdrawal Inception to Date
<> XG
Withdrawal Less Market Value Adjustment
<> XH
Withdrawal Less Surrender
<> XI
Withdrawal Less Taxes
<> XJ
Withdrawal Year to Date
<> XK
Unavailable Reserves
<> XL
Uncalled Capital
<> XM
Unemployment Contribution
<> XN
Unlimited Capital, Minimum Fixed
<> XO
Unpaid Capital
<> XP
Unsecured Liabilities
<> XQ
Value Added Tax
<> XR
Value of Shares
<> XS
Vehicles
<> XT
Voluntary Reserves
<> XTR
Extraction
<> XU
Wages
<> XV
Withholding
<> XW
Original Value
<> XX
Working Capital
<> XY
Sales Price Per Dwelling Unit
<> XZ
Sales Price Per Room
<> Y
Current List Price
<> Y0
Self Insurance Amount
<> Y1
Year to Date Eligible Salary
<> Y2
Total Real Estate Owned
<> Y3
Total Liabilities
<> Y4
Total Liability Monthly Payments
<> Y5
Total Real Estate Owned Market Value
<> Y6
Total Real Estate Owned Gross Rental Income
<> Y7
Total Real Estate Owned Mortgages and Liens
<> Y8
Total Real Estate Owned Mortgage Payments
<> Y9
Total Real Estate Owned Miscellaneous Expenses
<> YA
Total Real Estate Owned Net Rental Income
<> YB
Actual Unpaid Principal Balance
<> YC
Scheduled Unpaid Principal Balance
<> YD
Principal Due to Investor
<> YE
Constant Principal and Interest
<> YF
Other Fee Collection
<> YG
Beginning Scheduled Unpaid Principal Balance
<> YH
Tax and Insurance Principal Balance
<> YI
New Principal and Interest
<> YJ
Curtailment
<> YK
Prepayment Penalty
<> YL
Partial Annuitization
<> YM
Partial Withdrawal
<> YN
Post Tax Equity and Fiscal Responsibility Act (TEFRA) Gain
<> YO
Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Gain
<> YP
Policy Amount
<> YQ
Payments in Advance
<> YR
Payments in Arrears
<> YS
Cancelled
<> YT
Denied
<> YU
In Process
<> YV
Requested
<> YW
Paid
<> YX
Paid for This Facility
<> YY
Returned
<> YZ
Total Aggregate Limit
<> Z
List Price When Sold
<> Z0
Insertion Cost
<> Z1
Repackaging Labor Cost
<> Z2
Repackaging Material Cost
<> Z3
Unit Cost of Discrepant Material
<> Z4
Liquidation Principal
<> Z5
Remaining Pool Balance
<> Z6
Remaining Security Balance
<> Z7
Program Cost
<> Z8
Override to Handling Fee
<> Z9
Production Cost
<> ZA
Federal Medicare or Medicaid Claim Mandate - Category 1
<> ZB
Federal Medicare or Medicaid Claim Mandate - Category 2
<> ZC
Federal Medicare or Medicaid Claim Mandate - Category 3
<> ZD
Federal Medicare or Medicaid Claim Mandate - Category 4
<> ZE
Federal Medicare or Medicaid Claim Mandate - Category 5
<> ZF
Federal Pension Mandate - Category 1
<> ZG
Federal Pension Mandate - Category 2
<> ZH
Federal Pension Mandate - Category 3
<> ZI
Federal Pension Mandate - Category 4
<> ZJ
Federal Pension Mandate - Category 5
<> ZK
Federal Medicare or Medicaid Payment Mandate - Category 1
<> ZL
Federal Medicare or Medicaid Payment Mandate - Category 2
<> ZM
Federal Medicare or Medicaid Payment Mandate - Category 3
<> ZN
Federal Medicare or Medicaid Payment Mandate - Category 4
<> ZO
Federal Medicare or Medicaid Payment Mandate - Category 5
<> ZP
Coupon Face Value
<> ZQ
Initial Target Cost
<> ZR
Increase
<> ZS
Decrease
<> ZT
Prorated Amount
<> ZU
Loan Charge
<> ZV
Mortgage Recording Fee
<> ZW
Deed Recording Fee
<> ZX
Release Recording Fee
<> ZY
Assumption
<> ZZ
Mutually Defined