This document contains an accounting chart of accounts that lists various asset, liability, equity, income and expense accounts. There are accounts for tangible fixed assets like real estate, buildings, machinery, as well as intangible assets like software, patents and goodwill. Current asset accounts include inventories, accounts receivable, cash, prepaid expenses and other receivables. Liability accounts include various types of bonds, loans, accounts payable. Equity accounts include share capital, retained earnings and reserves. Income and expense accounts are also listed.
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Attribution Non-Commercial (BY-NC)
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Download as XLS, PDF, TXT or read online from Scribd
This document contains an accounting chart of accounts that lists various asset, liability, equity, income and expense accounts. There are accounts for tangible fixed assets like real estate, buildings, machinery, as well as intangible assets like software, patents and goodwill. Current asset accounts include inventories, accounts receivable, cash, prepaid expenses and other receivables. Liability accounts include various types of bonds, loans, accounts payable. Equity accounts include share capital, retained earnings and reserves. Income and expense accounts are also listed.
This document contains an accounting chart of accounts that lists various asset, liability, equity, income and expense accounts. There are accounts for tangible fixed assets like real estate, buildings, machinery, as well as intangible assets like software, patents and goodwill. Current asset accounts include inventories, accounts receivable, cash, prepaid expenses and other receivables. Liability accounts include various types of bonds, loans, accounts payable. Equity accounts include share capital, retained earnings and reserves. Income and expense accounts are also listed.
Copyright:
Attribution Non-Commercial (BY-NC)
Available Formats
Download as XLS, PDF, TXT or read online from Scribd
This document contains an accounting chart of accounts that lists various asset, liability, equity, income and expense accounts. There are accounts for tangible fixed assets like real estate, buildings, machinery, as well as intangible assets like software, patents and goodwill. Current asset accounts include inventories, accounts receivable, cash, prepaid expenses and other receivables. Liability accounts include various types of bonds, loans, accounts payable. Equity accounts include share capital, retained earnings and reserves. Income and expense accounts are also listed.
Copyright:
Attribution Non-Commercial (BY-NC)
Available Formats
Download as XLS, PDF, TXT or read online from Scribd
Download as xls, pdf, or txt
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RFAUDI30 CoA - INT TXT50 1 CE
x 1000 Real estate and similar rights
x 1010 Accum. depn - real estate and similar rights x 2000 Buildings x 2010 Accumulated depreciation-buildings x 11000 Machinery and equipment x 11010 Accumulated depreciation - machinery and equipment 12000 Low value assets (machinery) 12010 Accumulated depreciation-low value assets (mach.) x 21000 Fixtures and fittings x 21010 Accumulated depreciation - fixtures and fittings x 22000 Low value assets (fixtures and fittings) x 22010 Accumulated depreciation-LVA (fixtures/fittings) x 31000 Down payments made - tangible assets x 31010 Input tax clearing - down payments on tang. assets x 31100 Capitalized down payments on tangible assets x 31200 Clearing capitalized down payments on tang. assets x 32000 Assets under construction x 32010 Depreciation - assets under construction 34000 Computer software 34010 Accumulated depreciation-computer software 35000 Franchises 35010 Accumulated amortization-franchises 36000 Patents and similar rights 36010 Accumulated amortization-ind.prop. and sim. rights 37000 Licenses 37010 Accumulated amortization-licenses 38000 Goodwill 38010 Amortization - Goodwill x 39000 Down payments made - intangible assets x 39010 Input tax clearing for down payts - intang.assets 39100 Capitalized down payments on intangible assets 39110 Amortization - down payments for intangible assets 39200 Clearing of cap.down pmnts for intangible assets 41000 Stock held in affiliated companies 42000 Loans to affiliated companies 42020 Loans to affiliated companies, due after 1 year 43000 Investments 44000 Loans to associated companies 44020 Loans to associated companies, due after 1 year 45000 Fixed asset securities (other) 45010 Bonds 45020 Shares x 45100 Down payments made on financial assets x 45110 Clearing of input tax on down pyts for fin.assets 46000 Other loans 46020 Other loans, due after 1 year 46030 TR-LO Value adjustment - other loans 50000 Called-up equity contributions 51000 Equity contributions not called up 55000 Capitalized start-up costs 55010 Amortization - capitalized start-up costs 56000 Capitalized business expansion costs 56010 Amortization - capitalized expansion cost 60110 Convertible bonds, due within 1 year 60120 Convertible bonds, due within 1-5 years 60130 Convertible bonds due after 5 years 60210 Convertible bonds, due within 1 year 60220 Convertible bonds, due within 1-5 years 60230 Convertible bonds due after 5 years 60310 Non-convertible bonds, due within 1 year 60320 Non-convertible bonds, due within 1-5 years 60330 Non-convertible bonds, due in more than 5 years 60410 Non-convertible bonds, due within 1 year 60420 Non-convertible bonds, due within 1-5 years 60430 Non-convertible bonds, due in more than 5 years 62110 Loans from credit institutions, remaining life <1y 62120 Loans from credit institutions, remaining life 1-5 62130 Loans from credit institutions, remaining life >5y 62210 Loans from credit institutions, remaining life <1y 62220 Loans from credit institutions, remaining life 1-5 62230 Loans from credit institutions, remaining life >5y 70000 Common stock 71000 Capital reserves 72000 Legal reserves 73000 Treasury stock reserve 74000 Statutory reserves 75000 Other retained earnings x 78000 Balance of special items 78100 Special item reserves 78200 Transfer of reserves x 78300 Investment receivables received x 78310 Clearing of investment receivables received 80000 Flat-rate value adjustment of receivables 85000 Provisions for pension fund liabilities 85900 TR-TM: Provisions for foreign exchange spot rate 85910 TR-TM: Provisions for foreign exchange swap rate x 86100 Freight provision (MM) x 86200 Customs provision (MM) x 86300 Delivery costs provision (MM) 87000 Provisions for deferred taxes 88000 Provisions for taxes x 89000 Other provisions 91000 Accruals for deferred taxes x 95000 Discounts 98000 Accrued income 99000 Deferred income x 100000 Petty cash 100009 Cash (customer payment)-local currency 101000 Cash - freight 102000 Cash-foreign currency 102009 Cash (customer payment)-foreign currency 110000 Checking account 110002 Checking account - payments 110005 Checking account (other interim postings) 110009 Checking account - customer payments 113100 Bank 1 (domestic) 113101 Bank 1 (checks payable) 113102 Bank 1 (outgoing domestic wire tranfers) 113103 Bank 1 (outgoing foreign wire transfers) 113104 Bank 1 (aut.debit) 113105 Bank 1 (other interim postings) 113106 Bank 1 (promissory bill of exchange liabilities) 113107 Bank 1 (discounted bills of exchange liabilities) 113108 Bank 1 - checks received 113109 Bank 1 (customer incoming payments) 113110 Bank 1 (guarantees received) 113111 Bank 1 (current bills of exchange payable) 113112 Bank 1 (bill of exchange collection) 113113 TR-TM Receivables - fixed-term deposits 113114 TR-TM Liability - fixed-term deposits 113115 TR-TM Receivables - deposits at notice 113116 TR-TM Liability - deposits at notice 113117 TR-TM Commercial paper receivables 113118 TR-TM Payables - commercial paper 113150 Bank 1 (foreign currency A) 113155 TR-TM Bank 1 foreign currency A clearing 113160 Bank 1 (foreign currency B) 113165 TR-TM Bank 1 foreign currency B clearing 113200 Bank 2 113201 Bank 2 (checks payable) 113202 Bank 2 (outgoing domestic wire tranfers) 113203 Bank 2 (outgoing foreign wire transfers) 113204 Bank 2 (automatic debit) 113205 Bank 2 (other interim postings) 113206 Bank 2 (promissory bill of exchange liabilities) 113207 Bank 2 (bill of exchange contingent liabilities) 113208 Bank 2 - checks received 113209 Bank 2 (customer incoming payments) 113210 Bank 2 (guarantees received) 113211 Bank 2 (current bills of exchange payable) 113212 Bank 2 (bill of exchange collection) 113213 Bank 2 (fixed-term deposits) 114000 Foreign bank 1 115000 Foreign bank 2 119800 Legacy data transfer account x 120000 Loans to staff 131000 Stock held in affiliated companies 132000 Treasury stock 133000 Other securities 140000 Customers - domestic receivables 140010 Customer receivables - domestic, one-time accounts x 140020 Accounts receivable-domestic, due after 1 year x 140030 Customers - domestic receivables x 140099 Customer receivables, domestic (adjustment acct) 141000 Customers - foreign receivables 141010 Customer receivables - foreign, one-time accounts x 141020 Customer receivables-foreign, due after 1 year x 141099 Customer receivables-foreign, adjustments x 142000 Individual value adjust. for customer receivables x 143000 Vendors with a debit balance 143100 Customers - adjust. for unrealized ex.rate diffs 144000 Customer receivables-affiliated companies x 144020 Customer receivables-affiliated companies, > 1 yr x 144099 Customer receivables-affiliated companies adjustmt 145000 Customer receivables - associated companies x 145020 Accounts receivable-associated comps, due >1Y x 145099 Adjust. customer receivables - associated compans 146000 Receivables - group 150000 TR-LO Reconciliation account - receivables 150100 TR-LO Reconciliation acct - repayment receivables 150200 TR-LO Reconciliation acct - interest receivables 150300 TR-LO Reconciliation acct - discount receivables 150400 TR-LO Reconciliation acct - other receivables 150500 TR-LO Reconciliation acct - payment adjustments 150600 TR-LO Recon.account - payment oblig. for loans 150700 TR-LO Reconciliation account - premiums x 151000 Down payments made for inventories x 151010 Input tax clearing-down payments on inventory 152000 Interest receivables 152050 TR-TM/LO Interest receivables 152110 TR-LO Value adj.- other receiv.(costs/repay./int) 152150 TR-LO Accts receiv.- loan repaymnts rem.term <1Y 152155 TR-TM/LO:Rcbles- repymts (securs) and sales (BNL) 152250 TR-LO Accts receiv.- discounts, rem.term <1 year 152500 TR-LO Payment obligations for loans 152550 TR-LO Premium x 154000 Input tax x 154001 Input tax-level 1 x 154002 Input tax-level 2 x 154003 Input tax-level 3 x 154099 Business area adjustment - taxes 154100 Tax on imports x 155000 Advances-salaries and wages x 156000 Trip costs advance x 156050 Trip costs, cash advance x 159000 Down payments made on current assets x 159010 Input tax clrg-other down pyts made for curr. asts 159100 Other receivables 159110 TR-TM Option premiums receivable 159160 TR-LO Reversals x 159200 Other receivables due after 1 year 160000 Accounts payable-domestic 160010 Accounts payable-domestic, one-time accounts x 160020 Accounts payable-domestic, due 1-5 years x 160030 Accounts payable-domestic, due > 5 years x 160099 Accounts payable-domestic, adjustments 161000 Accounts payable-foreign 161010 Accounts payable-foreign, one-time accounts x 161020 Accounts payable-foreign, due 1-5 yrs x 161030 Accounts payable-foreign, due > 5 years x 161099 Accounts payable-foreign, adjustments x 163000 Customers with a credit balance 163100 Accounts payable-unrealized exch. rate diffs adj. x 164020 Accounts payable-affiliated companies, due 1-5 yrs x 164030 Accounts payable-affiliated companies, due > 5 yrs 165000 Accounts payable - associated companies x 165020 Accounts payable-associated companies, due 1-5 yr x 165030 Accounts payable-associated companies, due > 5 yr x 165099 Accounts payable-associated companies, adjustments x 166000 Advance payments amortization x 169900 Payables from consignment warehouse x 170000 Down payments received x 170010 Tax payable clearing-customer down payments 170020 Down payments received, due 1-5 years 170030 Down payments received, due > 5 years 170099 Down payments received (Adj. a/c) x 172160 Recalculation difference x 172170 Overpayment/receivables x 175000 Output tax x 175001 Output tax x 175002 Output tax x 175003 Output tax x 175099 Business area adjustment - taxes x 176000 Salaries and wages payable x 176100 Income and church tax payable x 176200 Social insurance payable x 176300 Legal expenses and fines x 176400 Employee savings plan x 176500 Wages and salary clearing x 176700 Other payables-social security, due in 1 year 176800 Other payables-social security, due 1-5 years 176900 Other payables-social security, due > 5 years x 177000 Withholding tax vendors 178100 Tax payable, due in 1 year 178200 Tax payable, due 1-5 years 178300 Tax payable, due > 5 years x 179100 Other payables 179110 TR-TM: Payables - option premiums 179150 TR-TM/LO: Other payables - interest 179170 TR-LO: Unassigned incoming payments x 179200 Other payables due within 1-5 years x 179300 Other payables due > 5 years x 180000 Bills of exchange payable 180020 Bills of exchange payable, due within 1-5 years 180030 Bills of exchange payable, due > 5 years 180099 Bills of exchange payable (adjustment acct) x 190990 Offsett. of trip costs of docs paid by company x 191000 GR/IR clearing - own production x 191099 GR/IR clearing - own production (adjustments) x 191100 GR/IR-clearing - external procurement x 191101 GR/IR: Goods/services not yet delivered x 191102 GR/IR: Goods and services not yet invoiced x 191110 GR/IR clearing-transferred x 191199 GR/IR clearing-external procurement (adjustments) 191400 Clearing-asset acquisition from invoice verificat. 191500 Clearing-asset returned to stock 191600 Clearing-customer commission x 192100 Freight clearing (MM) x 192300 Customs clearing (MM) 192500 Clearing-delivery costs (MM) x 192700 Bonus provisions (MM) 192800 Freight provision (SD) (Consumer Products) 192850 Deposite Reserve SD (Consumer Products) 192900 Accrued volume rebate x 193000 Clearing vendor discounts (net procedure) x 193099 BA adjustment vendor discount (clrg net procedure) 194001 Clearing account for company code XDE1 194002 Clearing account for company code XDEX 194100 TR-TM: Clearing foreign exchange 194200 TR-TM: Technical clearing 194300 TR-TM: Currency swap account 194400 TR-TM clearing payment transactions x 194500 Business area clearing x 194600 Plants abroad (technical interim account) x 195000 Payable/receivable to tax authorities 195100 Clearing-net sales (transfer posting for taxes) x 196000 Payment requests (customers) x 196100 Guarantees given (customers) x 196110 Clearing guarantees given (customers) x 196200 Contingent recvble-check/bills exch. proced.(cust) x 196210 Clrg cont.claims-check/bill of exch. payments x 196300 Down payment requests (vendors) x 196400 Guarantees received (vendors) x 196410 Clearing guarantees received (vendors) 196500 Clearing current bills of exchange payable 196600 Clearing-bills of exchange collection 196700 Clearing-unrealized exchange rate diffs (vend.) x 197000 Security deposit (customers) x 197100 Security deposit (vendors) 199000 Clearing-financial budget transfer posting x 199990 Clearing account - fixed asset acquisition x 200000 Loss on disposal/sale of fixed assets x 200010 Loss on assets scrapped x 201000 Extraordinary expenses x 202000 Loss from allocation of special items x 202300 Expense from release of investment support res. 209100 TR-TM Other financial transaction write offs 209200 TR-TM Loss - settlm. payments fin.transactions 209500 TR-TM Revenue from fin. trans. settlement payments yes 210100 Expense from value adjustment of receivables yes 210101 Expense from value adjustment of rec. W/o CO 210200 Devaluation for potential receivable fluctuations 210400 TR-LO Expenses - value adjustment other loans 210500 Property tax yes x 211100 Scheduled depreciation of tangible assets 211110 Depreciation real estate yes 211120 Depreciation-buildings yes x 211130 Depreciation - machinery and equipment yes 211160 Depreciation - fixtures and fittings yes 211170 Depreciation-low value fixtures and fittings yes 211180 depreciation Concessions, Rights yes 211190 Depreciation Software x 211200 Unplanned depreciation-tangible fixed assets yes 212100 Unplanned amortization expense - financial assets 212200 Other amortization of financial assets 213100 Write-down current asset securities - fut.val.flu. 213200 Other write-offs of current asset securities 214000 TR-TM Loss - disposals of financial fixed assets 214100 TR-TM Loss - disposals of current asset securities 215000 Exceptional depreciation of current assets x 220000 Interest expense 220050 RE Interest expenses - rental deposit 220100 Interest expense - affiliated companies 220200 Bank interest expenses 220300 Other interest and similar expenses 220320 TR-TM Write-off swap point valuation 220400 Other interest and similar exp. affiliated comps x 220900 Other taxes on income and revenue x 221000 Discount charges 221010 Bank discount charges 221020 Bank collection charges 221100 Discount expense - affiliated companies x 230000 Loss from exchange rate differences x 230010 Loss from currency valuation x 230020 Loss on translation x 230030 Clearing-currency translation x 230040 Rounding differences - foreign currency II x 230050 Exch. rate diffs loss fm lower levels (mat.ledg.) 230100 Loss-unrealized exchange rate differences x 231000 Loss from external product price differences yes x 231010 Loss-price diff. settlm. material ledger ext. mat. yes x 231080 Loss from revaluation yes 231100 Loss-freight differences yes x 231500 Loss from price differences of own products yes x 231510 Loss-price diffs from settl. of ML own products yes x 231520 Loss from price diffs fm lower lev.own mats ML yes x 231600 Unplanned delivery costs yes x 231900 Loss from invoice receipt small differences (MM) yes x 232000 Loss from valuation of external materials yes x 232500 Loss from valuation of own materials yes x 233000 Loss-inventory differences yes 233010 Losses - inventory variance (consignment sale) yes 234000 Loss from valuation (valued->unvalued) yes x 235000 Loss from stock transfer yes x 236000 Loss from consumption of consignment material yes x 237000 Loss from quality control consump. w/o cost elemt x 238000 Loss from capitalization differences 240000 Corporate income tax expense 241000 Corporate income tax expense x 245100 Other interest and similar revenues yes 245200 Other interest & similar revenues-affiliated co. yes 245300 Bank interest yes 249000 Deferred tax acc.to par. 274 sec. 2 HGB x 250000 Gain on disposal/sale of fixed assets 251000 Extraordinary revenue yes x 252000 Gain from release of special items x 252300 Gain from reversal of special reserves 252301 Gain from reversal of special reserves x 253000 Gains from Write-ups 253100 TR-TM Revenue fm incr. in val.fin. current assets 260000 Gain from reduction of flat-rate val.adj.recbles x 261000 Clearing-estimated depreciation on fixed assets 263000 Clearing estimated interest on fixed assets 264000 Clearing estimated risks 269000 Clearing other estimated costs 270100 Income from loans (not member of consolid.group) 270200 Income from loans (member of consolidation group) 271100 Investment income (non-affiliated companies) 271200 Investment income (affiliated companies) 272100 Income from securities (non-affiliated companies) 272200 Income from securities (affiliated companies) 272500 TR-TM Revenue - disposals of fin. fixed assets 272600 TR-TM Revenue - disposals of curr. ass. securities 273100 Interest revenue (non-affiliated companies) 273200 Interest revenue (affiliated companies) x 275100 Revenue from discount charges 275110 Revenue-discount charges (affiliated companies) x 275200 Revenue from bill of exchange tax 275210 Bank bill of exchange tax x 275300 Revenue from collection charges x 276000 Discount received x 280000 Gain from currency exchange rate differences x 280010 Gain from currency valuation x 280020 Gain-foreign currency exchange rate differences x 280030 Clearing gain from exchange rate translation x 280040 Revenue from rounding dif. for foreign curr. (MM) x 280050 Ex.rate diff.revenue from lower levels (mat.ledg.) 280100 Gain from unrealized exchange rate differences x 281000 Gain from price differences of external products yes x 281010 Gain-price diff. settlm. material ledger ext. mat. yes x 281080 Revenue from revaluation yes x 281100 Gain from freight differences yes x 281200 Gain from bonus differences yes x 281500 Gain from own product price differences yes x 281510 Gain-material ledger price differences own mat. yes x 281520 Revenue-price diffs fm lower level own mats ML yes x 281900 Gain from inv. receipt small differences (MM) yes x 282000 Gain from valuation of external materials yes x 282500 Gain from valuation of own materials yes x 283000 Gain-inventory differences yes 283010 Gain-inventory differences at consignment stores yes 284000 Gain-valuation (valued --> unvalued) yes x 285000 Gain from stock transfer yes x 286000 Gain - consumption of consignment material yes 287000 Gain from quality control consumption x 290000 Revenue from release of provisions 295000 Revenue - transfer of profits x 299000 Other operating income yes x 299050 Gain from allowed differences / G/L clearing yes 299100 TR-TM Other financial transaction revenue x 300000 Raw material 1 x 300010 Raw material 2 x 303000 Operating supplies x 303500 Operating supplies x 304000 Spare parts x 305000 Packaging material 310000 Trading goods yes 310200 Stock: Empties 380000 Inventory stock transfer 381000 Unpaid services 390000 Inventory - subcontractors 399998 Inventory posting with zero value x 399999 Initial entry of stock (offsetting posting) x 400000 Consumption, raw material 1 yes x 400001 Scrap external material yes x 400002 Quality control cons. external mats with cost ele. yes x 400010 Raw material 2 consumption yes x 400020 Raw mat.consumed/trading goods without acct assgt 400030 Consumption Semi-finished Goods yes x 403000 Consumption of operating supplies yes x 403500 Operating materials consumption yes x 404000 Spare parts x 405000 Packaging materials consumption yes 405200 Office supply consumption 405201 Scrap office supplies 406000 Own material consumption x 407000 Settlement assets under construction CO receiver yes x 410000 Consumption: Trading goods yes 410001 Trading goods scrap yes x 415000 External procurement costs yes 415001 External procurement costs 415100 Transport and for.ma yes 415500 Fee third party with hours (Service Provider) yes 415510 Third party material (Service Provider) yes 416100 Electricity (fixed portion) yes 416200 Electricity (variable portion) 416300 Water yes 416400 Gas yes 416500 Heating oil x 417000 Purchased services yes 417001 Purchased services 419000 Prov. for potential value fluctuations raw mats yes x 420000 Direct labor costs yes x 421000 Indirect labor costs yes x 422000 Downtime pay yes x 422100 Overtime premiums yes 422200 Vacation bonus yes x 430000 Salaries yes 430200 Downtime salaries yes x 430900 Other expenses of a salary nature yes x 431000 Overtime premiums yes 431100 Variant shift x 431200 Workplace bonus x 431900 Other wage-related expenses yes x 432000 Sick and absence pay yes 434000 Standard vacation bonus (general special payment) yes 435000 Annual bonus yes 437000 Sales commission yes x 440000 Statutory social security expense yes x 440100 Social security payments, salary yes x 445000 Pension scheme contributions yes x 446000 Workers' compensation assoc. contributions yes 447000 Employee health insurance yes x 449000 Other personnel expenses yes 451000 Building maintenance costs yes 452000 Machinery and equipment maintenance yes 453000 Maintenance costs, target=actual yes 459000 Other maintenance costs yes 462000 Bill of exchange tax 463000 Trading capital tax 464000 Motor vehicle tax yes x 465000 Other taxes yes 465001 Miscellaneous taxes yes 465200 Export taxes yes 465500 Consumption taxes yes 466000 Insurance yes 466100 vehicle Insurance yes 470000 Occupancy costs yes 470100 Cafeteria equipment 470101 Meals 471000 Machinery rental yes 472000 Shipping costs yes 473000 Postage (without telephone) yes 473110 Telephone (basic fees) yes 473120 Telephone costs (call fees) yes 473130 Other means of communication yes 474100 Domestic trip costs (flat rate input tax) yes x 474210 Trip costs accommodation (documents/flat rate) yes x 474220 Trip costs-meals (receipts/flat rate) yes x 474230 Trip costs-transport and airfare(recpts/flat rate) yes x 474240 Trip costs, other yes x 474250 Trip costs, entertainment yes 474280 Trip costs - taxable by lump sum yes 474310 Per diem domestic tax free 474320 Per diem domestic taxable 474330 Per diem foreign tax free 474340 Per diem foreign taxable 475000 Vehicle costs yes 475100 Special vehicle costs 476000 Office supplies yes 476100 Data processing supplies expenses yes 476500 Other administrative expenses yes 476900 Other costs yes 476901 Clothing 477000 Advertising and sales costs yes 477001 Conventions and seminars 477100 Advertising items 477200 Advertising gifts 477300 Representation x 477900 Sales commission (brokerage) yes x 479000 Bank charges yes 479100 TR-TM Other financial transaction expenses yes x 481000 Estimated depreciation yes 481100 Low value assets (direct method) 482000 Estimated depreciation yes 483000 Accrued interest yes 483100 Accrued revenue 484000 Estimated risk yes 489000 Miscellaneous accrued costs yes x 790000 Unfinished products x 791000 Products being processed x 792000 Finished goods x 799999 Initial entry of stock balances(own/trading goods) x 800000 Sales revenues - domestic 800001 Service sale x 801000 Sales revenues - foreign 802000 Sales revenue from affiliated companies 803000 Fee Deviation KKS (Service Provider) 803010 Fee Deviation manually (Service Provider) 803020 Revenue Premiums (Service Provider) 803030 Revenue third Party (Service Provider) 803040 Revenue Expenses (Service Provider) 804000 Tax clearing account - used parts 808000 Sales revenues with cost element yes 810000 Capitalized internal activity yes 811000 Gain-capitalization of settled orders yes 820000 Revenue from fixed asset disposal x 825000 Clearing asset disposals 830000 Sales revenue from settlement of orders 871000 Operating profit of development order settlements 872000 Operating profit of construction order settlements x 880000 Customer discounts x 881000 Invalid customer deductions 881001 Customer sales deductions 881002 Sales Deductions (material) (Consumer Products) 883000 Discounts x 884000 Rebates 888000 Sales deductions with cost elements yes 888600 Customer rebates x 889000 Other sales deductions x 890000 Inventory change - work in process x 890001 Inventory change-own materials scrapped yes x 890002 Inventory change - own materials quality control yes 891000 Inventory change work in process x 892000 Change in finished products inventory yes x 893010 Inv. change - sale of own goods w/o cost element x 893015 Inv. change-cost of own goods sold with cost elem. yes x 893020 Inventory change - additions to own products x 894010 Inventory change-cost of goods sold w/o cost elem. 894020 Inventory change - additions to external products 894025 Invent.change sale of ext.products w.cost element x 895000 Fact.output of production orders(inventory change) Yes 896000 Prov. for potential value fluctuations-fin.prodts x 900000 Unappropriated retained earnings from previous yr 930000 Withdrawal from capital reserves 940010 Additions/withdrawals - legal reserves 940020 Additions/withdrawals - reserves own shares 940030 Additions/withdrawals - reserves req. by articles 940040 Additions/withdrawals - other surplus reserves 950000 Capitalization - deficit not covd by stkhldrs equ. 960000 Net loss not covered by stockholders' equity CoA - New 050000 050010 053000 053010 070000 070010 079000 079010 080000 080010 089000 089010 090000 090090 090100 090190 095000 095010 096000 096010 021000 021010 022000 022010 024000 024010 031000 031010 040000 040090 040100 040110 040190 110000 120000 120020 130000 140000 140020 150000 150010 150020 170000 170090 160000 160020 160030 002000 001000 010000 010010 010100 010110 410110 410120 410130 410210 410220 410230 415310 415320 415330 415410 415420 415430 420110 420120 420130 420210 420220 420230 300000 310000 320000 322000 323000 324000 365000 360000 361000 365100 365190 249200 370000 395900 395910 394100 394200 394300 385000 386000 390000 290200 290100 290000 490000 288000 288005 289100 288010 288020 285000 285002 285005 285009 280000 280001 280002 280003 280004 280005 280006 280007 280008 280009 280010 280011 280012 280013 280014 280015 280016 280017 280018 280050 280055 280060 280065 281000 281001 281002 281003 281004 281005 281006 281007 281008 281009 281010 281011 281012 281013 282000 283000 248000 164100 270000 271000 272000 240000 240010 240020 240005 240099 241000 241010 241020 241099 249100 266800 266099 250000 250020 250099 255000 255020 255099 256000 266450 266510 266520 266530 266540 266550 266560 266570 230000 230090 266400 266525 266529 266515 266505 266535 266565 266575 260000 260001 260002 260003 260099 260100 265000 265200 265250 230200 230290 266000 266760 266585 266020 440000 440010 440020 440030 440099 445000 445010 445020 445030 445099 486800 486810 460020 460030 470000 470020 470030 470099 448000 447000 430000 430010 430020 430030 430099 431000 431110 480000 480001 480002 480003 480098 485000 483100 484000 486100 486500 485190 485200 485300 485400 486000 487100 487200 487300 489000 486760 489300 489350 489100 489200 450000 450020 450030 450099 296990 204100 204199 293000 204800 204850 293010 204299 204990 204980 204985 293500 293600 293700 394400 394500 394550 394600 204700 204798 277001 277002 277190 277290 277390 277490 469090 204970 262100 262200 430100 266300 266390 266500 266590 230100 486300 486390 450090 245190 245200 266700 486700 069000 069990 696000 696010 760000 697000 697200 747500 730900 572900 269000 269001 269100 695350 702000 652100 652000 656000 653000 654000 654010 650000 651000 655000 740010 740020 742010 742020 745000 746000 657000 751000 751020 751100 752000 759100 759120 759200 779000 753100 753110 753120 753200 695400 695430 695420 695429 695440 695450 695410 694100 694110 694170 694200 694120 694130 694135 694160 694300 694400 694450 694500 694550 694600 694700 694800 694900 710200 771000 770000 578100 570200 571000 295000 546000 580000 547000 547100 547101 544000 545000 545100 910190 910290 910390 910490 565400 560400 555000 550000 565500 560500 565300 578400 579100 579200 573100 573200 573300 573310 572500 618000 572100 572130 572120 572129 572140 572150 572110 574100 574110 574170 574150 574200 574120 574130 574135 574300 574400 574450 574500 574250 574600 574700 574800 574900 548500 550500 540000 580300 541400 200000 200010 202000 203000 204000 205000 228000 228100 229000 219000 229100 229980 229990 600000 609010 609050 600010 600020 600030 602000 603000 604500 604000 604100 604101 605000 710100 608000 608100 610000 610001 614000 610500 610510 605005 605010 605030 605020 605040 617000 617001 609000 620100 620200 620300 622100 621100 630000 630300 639000 632100 632200 632300 629000 621200 631000 622200 615000 640000 641000 648000 642000 649000 660000 616000 616100 616200 616300 380100 380000 703000 709000 780000 707000 708000 690000 691000 670000 670100 670101 671000 682000 682100 682200 682210 683000 685950 685100 685150 685200 685400 686000 685900 685910 685920 685930 685940 688000 688100 680000 684000 689000 692000 692001 687000 687001 687100 687200 687300 676000 675000 675100 920100 920110 920150 920200 920210 920300 920400 210000 215000 220000 229970 500000 500001 501000 502000 503000 503010 503020 503030 503040 504000 500500 530000 530100 540200 540290 550100 561000 562000 516000 519000 519010 519020 518100 517000 518500 518200 500100 521000 609020 522050 521500 522000 524000 524050 524100 524200 524310 524315 523000 525000 350000 370005 370010 370020 370030 370040 299000 370050 CoA - New CoA - INT Text 921010 621010 Settl.Material 921020 621020 SettlThirdPartyMat 921030 621030 SettlInternalActiv 921040 621040 SetlExterServ 921500 621500 Settl.Technical 921510 621510 Settl.Rev.Fees 921515 621515 Settl.Rev.3rdpar 921520 621520 Settl.Rev.TravCo 921525 621525 Settl.Sales Ded. 921530 621530 Settl.Hrly Rate 921540 621540 Settl.Trav.Exp 921550 621550 Settl.Other Exp. 921560 621560 Settl.Co.3rdPar 931000 631000 Res.Anal.Technical 931010 631010 Res.Anal.Rev.Fees 931015 631015 Res.Anal.Rev.3rdPar 931020 631020 Res.Anal.Rev.TravCo 931025 631025 Res.Anal.Sales Ded. 931030 631030 Res.Anal.Hrly Rate 931040 631040 Res.Anal.Trav.Exp. 931050 631050 Res.Anal.Other Exp. 931060 631060 Res.Anal.Co.3rdPar 931110 631110 Res.Anal.Prim.Costs 931120 631120 Res.Anal.COPReserv. 931130 631130 Res.Anal.Sec.Costs 931140 631140 Res.Anal.COSReserv. 941010 641010 OHPurchRawMat. 941020 641020 OHPurchPackMat. 941030 641030 OHRawMatWH 941040 641040 OHFinishGoodsWH 942010 642010 IT Services 942020 642020 Quality Lab 942030 642030 Cafeteria 942040 642040 Cleaning 942050 642050 Security 942060 642060 Ass. Fin. Goods 942070 642070 Ass. MM-Var. 942080 642080 Ass. Admin. 942090 642090 Ass. Marketing 942100 642100 Ass. Sales 942110 642110 Ass. R&D 943010 643010 Machine hours 1 943020 643020 Machine hours 2 943030 643030 Setup Production 943040 643040 Water 943050 643050 Industry Effluent 943060 643060 Environmental 943070 643070 Internal Transport 943080 643080 Consulting 943090 643090 Development 943100 643100 Auditing 943110 643110 Pers hrs Junior Empl 943120 643120 Pers hrs Senior Empl 943130 643130 Pers hrs Engineer