JDE TABLES

JD Edwards Enterprise One table definition reference

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Implementation Guides | 920 VMs | Schema:
920 910 812
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JDE Ref icon of database logic symbolJDE TABLESv3Made in Britain

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920: Top 10 requests

TablePrefixDescription
1F4211SDSales Order Detail File
2F0101ABAddress Book Master
3F4101IMItem Master
4F0911GLAccount Ledger
5F4311PDPurchase Order Detail File
6F9671SDSoftware Update Detail Table
7F4102IBItem Branch File
8F0411RPAccounts Payable Ledger
9F0006MCBusiness Unit Master
10F41021LIItem Location File

910: Top 10 requests

TablePrefixDescription
1F0011WICF0011W - WF - Batch To Detail
2F76AUI46WFCERG A/R -Work File - ARG - 03B - 76A
3F4211SDSales Order Detail File
4F4101IMItem Master
5F0101ABAddress Book Master
6F0911GLAccount Ledger
7F4102IBItem Branch File
8F03B11RPCustomer Ledger
9F4311PDPurchase Order Detail File
10F4111ILItem Ledger File

812: Top 10 requests

TablePrefixDescription
1F0911GLAccount Ledger
2F4311PDPurchase Order Detail File
3F0101ABAddress Book Master
4F0411RPAccounts Payable Ledger
5F0006MCBusiness Unit Master
6F4211SDSales Order Detail File
7F42119SDSales Order History File
8F03012AICustomer Master by Line of Business
9F0902GBAccount Balances
10F4801WAWork Order Master File

9 columns | Print definition?920 | R021 | STOCK UDC

TableTable DescriptionColumn#PrefixAliasColumn DescriptionData TypeEdit TypeLengthDecimals
TOP09: General Accounting
1F0901Account Master34GMR021Category Code - G/L 021StringUDC100
2F740911Work File for G/L Report by Category Code Localization4WAR021Category Code - G/L 021StringUDC100
TOP10: Financial Reporting
3F10430Multi-Site Consolidation - Account Structure31CFR021Category Code - G/L 021StringUDC100
4F10UI001Account Structure Build Workfile32CFR021Category Code - G/L 021StringUDC100
5F10UI003Dynamically Created Accounts30ACR021Category Code - G/L 021StringUDC100
TOP51X: In-Memory Project Management
6F51X10Project Advisor Console Worktable153EXR021Category Code - G/L 021StringUDC100
TOP74: EMEA Localization
7F74UI91WF - Account Detail - EMEA - 7416ADR021Category Code - G/L 021StringUDC100
TOP76C: Colombia
8F76CUI01Account Master - Work File - COL - 76C11GMR021Category Code - G/L 021StringUDC100
9F76CUI03Account Cat. Code - Work File - COL - 76C11GMR021Category Code - G/L 021StringUDC100

User Defined Codes are, by design, customisable and thus will differ from system to system depending on the business requirements.

TOPUDC 09 / 21 (G/L Reporting Code 21) stock values

ValueDescriptionSpecial Handling CodeHard Coded
1 . N
210Capital
310100Issued Capital
410101Uncalled Capital
5101300Paid in Capital N
6106100Legal Reserve N
7106200Common Stock N
8106800Voluntary Reserve N
911Share premium account
10110000Profit from previous year N
111110Cash in Banks N
12119000Losses from previous yea N
1312Revaluation surplus
14120000Retained Earnings-Topside N
1512120 From reval-intangible assets
1612121 From reval-tangible assets
1712122 From reval-finanancial assets
1812123 From revaluation of stocks
1912124 Decreases in amts written off
20129000Retained Earnings N
2113Reserves
2213130 Legal reserves
2313131 Reserves n/a for distribution
24131310 In respect of own shares hld
25131311 Other
2613132 Untaxed reserves
2713133 Reserves avail. for distrib.
2814Accum profits (or losses (-))
2915Investment grants
30151000Reserved for Risk Exposure N
31151100Reserved for Ligitation N
32151500Reserved for Currency Conversi N
3316Provisions-liabilities/charges
3416160 Pensions & similar obligation
3516161 Taxation
3616162 Major repairs and maintenance
3716163 Other liabilities & charges
38164000Capital lease payable N
39168000Mortgage N
40168100Long Terms Loans N
41168200Other Loans N
4217Amounts payable after one year
4317170 Subordinated loans
44171700 Convertible
45171701 Nonconvertible
4617171 Unsubordinated debentures
47171710 Convertible
48171711 Nonconvertible
4917172 Leasing/Other similar oblig. N
5017173 Credit institutions
51171730 Payable accounts
52171731 Promissory notes
53171732 Letters of credit
5417174 Other income
5517175 Trade debts
56171750 Suppliers
57171751 Bills of exchange payable
5817176 Adv. rec`d-contracts in rog.
5917178 Guarantees received in cash
6017179 Other amounts payable
61188000Intercompany N
6220Formation expenses
63201300Organization Costs N
6420200 Formation & capital increase
6520201 Loan - Issue & Reimb premiums
6620202 Other formation expenses
6720204 Reorganization costs
68205100Computer Licenses N
69207000Goodwill N
70208000Other intangible Assets N
7121Intangible assets
72211000Lands N
7321210 Research and Development
7421211 Concessions/patents/lic/other
7521212 Goodwill
7621213 Advance payments
77213100Buildings N
78215000Plant & Machinery N
79218100Leasehold Improvements N
80218200Vehicles N
81218300Furniture & Fixtures N
82218310Computer - Hardware N
83218400Office Equipment N
84218700Other Office Equipment N
8522Land and Buildings
8622220 Land
8722221 Buildings
8822222 Land built upon
8922223 Other rights-immov. property
9023Plant, Machinery and Equipment
91231300Assets in progress N
9224Furniture and vehicles
9325Fixed assets held under leases
9426Other tangible fixed assets
9527Assets under constr/Adv. pymts
96270700Other Financial FA Deposit N
97274300Personal loans N
98275100Supplier Deposit N
99275500Customer Deposit N
10028Financial Assets
101280100A/D - Start Up Costs N
102280500A/D - Software N
103280700Goodwill A/D N
104280800A/D Other Intangible Assets N
105281100Lands N
106281300Buildings N
107281500Plant & Machinery N
108281810Accumulated Depreciation N
109281820Accumulated Deprec - Veh N
110281830Accumulated Depreciation N
111281831Accumulated Depreciation N
112281840Acc. Depreciation - Furn N
11328280 Invest.-affiliatiated enterpr
114282800 Cost
115282801 Uncalled amounts (-)
116282808 Surpluses recorded
117282809 Amounts written off (-)
11828281 Amts Receiv from affil. enter
119282810 Amts receivable-curr account
120282811 Bills receivable
121282812 Fixed income securities
122282817 Doubtful amounts
123282819 Amounts written off (-)
12428282 Invest-enter. linked by parti
125282820 Cost
126282821 Uncalled amounts (-)
127282828 Surpluses recorded
128282829 Amounts written off (-)
12928283 Amts Receiv-enter linked by p
130282830 Amts receivable-curr account
131282831 Bills receivable
132282832 Fixed income securities
133282837 Doubtful amounts
134282839 Amounts written off (-)
13528284 Other shares
136282840 Cost
137282841 Uncalled amounts (-)
138282848 Surpluses recorded
139282849 Amounts written off (-)
14028285 Other amounts receivable
141282850 Amts receivable-curr account
142282851 Bills receivable
143282852 Fixed income securities
144282857 Doubtful amounts
145282859 Amounts written off (-)
14628288 Cash guarantees
147283000Accum Depreciation Building N
148285000Accum Depreciation Computers N
149286000Accum Depreciation Patent N
15029Amts receivable after one year
151291000Accrual Exceptional A/D on Tan N
15229290 Trade debtors
153292900 Customers
154292901 Bills receivable
155292906 Advance payments
156292907 Doubtful amounts
157292909 Amounts written off (-)
15829291 Other amounts receivable
159292910 Amounts receiv.-current acct
160292911 Bills receivable
161292917 Doubtful amounts
162292919 Amounts written off (-)
163297000Accrual Exceptional A/D on Fin N
16430Raw materials
16530300 Cost
16630309 Amounts written off (-)
16731Consumables
168311000Raw Material N
16931310 Cost
17031319 Amounts written off (-)
17132Work-in-process
172321000Consumables N
17332320 Cost
17432329 Amounts written off (-)
175326100Packaging N
17633Finished goods
177331000Inventory in progress N
17833330 Cost
17933339 Amounts written off (-)
18034Goods purchased for resale
18134340 Cost
18234349 Amounts written off (-)
18335Property acquired/constructed
18435350 Cost
18535359 Amounts written off (-)
186355100Finished Goods N
18736Adv payments on stock purchase
18836360 Advance payments
18936369 Amounts written off (-)
19037Contracts-in-progress
191370000Finished Goods purchased N
19237370 Cost
19337371 Profit recognized
19437379 Amounts written off (-)
195380000Inventory in transit N
196390000Depreciation Inventory N
19740Amts Receivable-Trade debtors
198401100Accounts Payable-Trade N
199401200Accounts Payable-Interc N
200403000Payables Draft N
20140400 Customers
202404000AP Fixed Assets N
20340401 Bills receivable
20440404 Income receivable
20540406 Advance payments
20640407 Doubtful amounts
20740409 Amounts written off (-)
208408100Accrued Expenses N
209409100Advance to Supplier N
210409800Line of Credit N
21141Other amounts receivable
212411100Trade Accounts Receivable N
213411200Trade A:R Interco N
214413000Trade Account Receivable Draft N
21541410 Called up capital - unpaid
21641411 V.A.T. recoverable
21741412 Taxes/Withholding taxes
218414120 Belgian income taxes
219414125 Other Belgian taxes N
220414128 Foreign taxes
22141414 Income receivable
22241416 Sundry amounts
22341417 Doubtful amounts
22441419 Amounts written off (-)
225416000AR/Allowance - Bad Debt N
226417000Retainage receivable N
227418100Unbilled Receivable N
228419100AR Advance Payment N
229419700Unbilled Credit Memo Receivabl N
23042Curr portion of A/P > one year
231421000Other Accrued Compensation - P N
232421100AP Trade Employees N
233423000Trade Account Receivable Emplo N
234425100Employee advances N
235427000Other Payroll Offset - Garnish N
236428100Accrued Payroll N
237428200Accrued Vacation N
238428600Other Accrued Compensation N
23943Financial debts-Credit Instit.
240431000Other Accrued Compenstation-So N
241431100Other Accrued Compensation - S N
24243430 Fixed term loans
24343431 Promissory notes
24443432 Bank acceptances
24543433 Overdrafts
24643439 Other loans
247437100Pension Premium (Employee Reti N
248437200Pension Premium (Employee Mana N
249437330Accrued group health i N
250437500ASSEDIC - Unemployment N
251438100Accrued Payroll Taxes N
252438200Provision C.S. Conges P N
253438600Accrued Other Social Security N
254438700Accrued Other Social Security N
25544Trade debts
256444000State Income Taxes Pay N
257444100Deferred Income Taxes N
25844440 Suppliers
25944441 Bills of exchange payable
26044444 Invoices to be received
261445510VAT to Pay to treasury N
262445620VAT 19.6 % Fixed Assets N
263445660VAT Unrecoverable N
264445661VAT 2.1 % N
265445662VAT 5.5 % N
266445663VAT 19.6 % Goods & Services N
267445664VAT on EEC Acquisition N
268445665VAT on art 259 Bcgi N
269445670Credit TVA N
270445705Collected VAT 19.6% on Cash N
271445706Collected VAT 19.6% on Goods N
272445708Collected VAT Non-Recoverable N
273445710Collected VAT EEC N
274445714Collected VAT N
275445715Collected VAT 259Bcgi N
276445720Collected VAT 19.6% on Fixed A N
277445860VAT Accrual on Expenses N
278445861VAT Accrual on Credit Expenses N
279445870VAT Accrual on Revenue N
280445871VAT Accrual on Debit Revenue N
281448610Accrued State Orgranic Sales T N
282448620Accrued State Professional Tra N
283448630Accrued Training Payroll Tax N
284448640Accrued Building Payroll Tax N
285448650Accrued Apprenticeship Payroll N
286448680Accrued State Other Tax N
287448700Accrued State Credit on Taxes N
28845Taxes/Soc Security/Remuneratio
289451100US Intercompany long term N
290451110UK intercompany long term N
291451120Germany intercompany long term N
292451130Spain intercompany long term N
293451140Italy intercompany long term N
294451150Benelux Intercompany long term N
29545450 Estimated taxes
296454500 Belgian income taxes
297454505 Other Belgian Taxes N
298454508 Foreign taxes
29945451 V.A.T. payable
30045453 Taxes withheld
30145454 Social security contributions
30245455 Remuneration
30345456 Holiday pay
30445459 Other social obligations
30546Advances contracts-in-progress
306467000Sundry debtors N
307468600Other Accrued Expense N
308468700Other Receivables N
30947Amts payable-approp of profits
310471000Others A/P suspense N
31147470 Dividends/director`s last yr.
31247471 Dividends - current fin year
31347472 Direct. entitlements-curr yr.
31447473 Other allocations N
315476000AR Currency Revaluation N
316477000AP Currency Revaluation N
31748Other amounts payable
31848480 Debentures & coupons matured
31948488 Guarantees received in cash
32048489 Sundry amounts payable
321486000Other prepaid expenses- N
322487100Maintenance - First Year N
323487110Maintenance - Renewals N
324487200Deferred Income - Other N
32549Deferrals and accruals
326491000AR Bad Debt Provision N
32749490 Deferred charges
32849491 Accrued Income N
32949492 Accrued charges
33049493 Deferred income
33149499 Suspense account
33250Own shares
333503100Investment in common st N
334504000Restricted Cash N
335508100Deposits - short-term N
33651Shares
337511300Remitted Draft to cash N
338511400Discounted Drafts N
339512100Bank N
340512400Cash in Bank Foreign Cu N
34151510 Cost
34251511 Uncalled amounts (-)
34351519 Amounts written off (-)
344518600Accrued Interest Expense N
34552Fixed income securities
3465200Other Sales N
34752520 Cost
34852529 Amounts written off (-)
34953Term accounts
350531000Petty cash N
35153530 At more than 1 year
35253531 Over 1 month & not > 1 year
35353532 At no more than 1 month
35453539 Amounts written off (-)
35554Amounts under collection
35655Credit Institutions
35755550 Current account
35855551 Cheques issued (-)
35955559 Amounts written off (-)
36056Giro
36156560 Current account
36256561 Cheques issued (-)
36357Cash
36457570 Cash in hand
36557578 Stamps
36658Internal transfers
367580000Cash in Transit N
36860Raw materials/consumables/etc.
369601100Raw Material purchases N
370602200Consumables N
371602250Office supplies N
372602260Office supplies beverage N
373603700Stock Variation N
374604000Supplies and Services N
37560600 Purchase of raw materials
37660601 Purchase of consumables
37760602 Purchase-services/works/study
37860603 Work sub-contracted
37960604 Purchase of goods for resale
38060605 Purchase-immov property resal
38160608 Discounts/rebates/allow rec
38260609 Increase-decrease in stocks
383606090 Raw materials
384606091 Consumables
385606094 Goods purchased for resale
386606095 Immovable property for resal
387606100Utilities Electricity N
388606120Utilities Water N
389606200Automobile Gas N
390606300Safety Supplies N
391606400Office supplies stationa N
392606800Misc. Car Costs N
393607100Merchendises Purchases N
394609100Supplier Rebates N
39561Services and other goods
396611000Outside operations N
397611100Consulting fees N
398611200CONSULTING Fees (INTERCO) N
399612200Lease Expense N
400613000Rent Expense N
401613200Rent expense - office sp N
402613500Rent expense - equipment N
403613510Car Rent N
404613520Office Parking Expense N
405614000Rent Expense - Other N
406615000Maintenance and Repair N
407615200Repairs and Maintenance - Othe N
408615500Repairs and maintenance N
409615510Car Repairs N
410615600Equipment maintenance co N
411616000Insurance N
412616200Car Insurance N
413618000Misc. Expense N
414618100Office supplies magazine N
415618500Seminars N
41662Remuneration/Soc Sec/Pensions
417621100Casual/ temporary labor N
418622000Legal, Accounting and Others N
419622200Cost of Sales-Royal-Exte N
420622400Customs Taxes N
421622600LEGAL EXPENSES N
422622610Accountancy fees N
423622611Audit fees N
424622620Int. HQ recharges N
425622622MAINTENANCE EXPENSE TECH SUPPO N
426622623CONSULTING Fees (INTERCO) N
427622630Other fees N
428622700LEGAL OTHER CHARGES N
429623000Advertising N
430623100Samples and Gifts N
431623200Direct Mail Services N
432623300Mktg - rentals N
433623310Mktg - Agency Fees (R N
434623320Mktg - Telemarketer F N
435623400Mktg- misc. N
436623600Mktg - Printing N
437623800Miscellaneous office exp N
438624000Freight N
439624100Freight N
440624200Cost of Sales - shipping N
441624300Freight Intercompany N
442625000Travel, Meals and Lodging N
443625100Travel - airfare N
444625101Travel - auto mileage N
445625102Travel - auto rental N
446625103Travel - cab N
447625105Travel - lodging N
448625106Travel - meals N
449625107Travel - parking N
450625108Travel - Other N
451625700Non travel business meal N
452625710Training Meals N
453626100Postage Only N
45462620 Remun./Direct social benefits
455626200 Directors
456626201 Executives
457626202 Salaried staff
458626203 Manual workers
459626204 Other personnel
46062621 Employer`s social sec contrib
46162622 Employer`s premiums-insurance
46262623 Other personnel charges
46362624 Retirement/Survivors` pension
464626240 Directors
465626241 Personnel
466626250Telephone - cellular N
467626300Telco - data/WAN N
468627000Bank Charges N
469627100Bank fees N
470628100Subscription N
471628400Headhunter fees N
47263Depreciation/Amts written off
473633300Formation Professionnel N
474633400Effort Construction - P N
475633500Taxe Apprentissage - Pa N
476635000Other Taxes N
477635110TAXES GENERAL (TRADE TAX) N
478635130TAXES GENERAL (TAX ON OFFICE) N
479635140TAXES GENERAL (TAX ON VEHICLES N
48063630 Deprec/Write-offs Fixed Asset
481636300 Deprec-Formation expenses
482636301 Deprec-Intangible fix assets
483636302 Deprec-Tangible fixed assets
484636308 Amts written off-intangibles
485636309 Amts written off-tangible
48663631 Amounts written off stocks
487636310 Increase
488636311 Decrease
48963632 Write-offs contracts-in-progr
490636320 Increase
491636321 Decrease
49263633 Write-offs trade debts < 1 yr
493636330 Increase
494636331 Decrease
49563634 Write-offs trade debts > 1 yr
496636340 Increase
497636341 Decrease
49863635 Provisions-pensions/sim oblig
499636350 Increase
500636351 Utilization and write-back
50163636 Provisions-major repairs/main
502636360 Increase
503636361 Utilization and write-back
50463637 Provisions-other liab/charges
505636370 Increase
506636371 Utilization and write-back
507637100Trade Tax N
508637800OTHER TAXES N
50964Other operating income
510641000Wages and Salaries N
511641100Salaries N
512641105Expense Compensation N
513641106Salaries fringes N
514641110Commissions N
515641200Vacation expense N
516641300Bonus expense N
517641400SALARIES (OTHER FRINGES) N
518641401SALARIES (TRAINEES) N
519641420Severance Pay N
520641900Statutory sick pay N
521645000Security Charges N
522645100Charges Sociales s/Sala N
523645200Insurance - Disability N
524645300Employee pension provision N
525645350Retirement Insurance N
526645400Unemployment Insurance N
52764640 Taxes other than Income taxes
52864641 Losses disposal-tangible asst
52964642 Losses-realiz. of trade debts
53064643 Miscellaneous operating chgs
531647500Annual Health Evalution N
532647600Meal Benefits N
533648100Accrual Bonus N
534648200Accr. Empl Benefit Vaca N
535648800Miscellaneous personnel N
536649Operating charges capitalized
53765Financial charges
538651000Royalties N
539654000Bad Debt Expense (Loss) N
54065650 Interest & other debt charges
541656500 Interest, commissions, other
542656501 Amort-discounts/loan issue
543656502 Other debt charges
544656503 Capitalized interest charges
54565651 Write-offs current assets
546656510 Increase
547656511 Decrease (-)
54865652 Losses-Realiz of current asse
54965653 Chgs for discounting A/R
55065654 Realized exchange losses
55165655 Unrealized exchange losses
552658000Minor Write Off N
55366Extraordinary charges
554661000Interest Charges N
555661100Interest expense loan N
556661500Bank interests N
557661600Interest expense interco N
558665000Discounts Given N
559666100Realized Loss N
56066660 Deprec & extraord. write-offs
561666600 Formation expenses
562666601 Intangible fixed assets
563666602 Tangible fixed assets
56466661 Write-offs finan fixed assets
56566662 Provisions for extraord. liab
56666663 Losses disposals-fixed assets
56766664 Other extraordinary charges
56866669 Extraord chgs capit as reorg
56967Income taxes
570671000Extraordinary charges N
571671200Income tax - Federal (penaltie N
572672000Extraordinary charges on previ N
573675100Loss on Sale of Intangi N
574675200Loss on Sale of Asset N
57567670 Belgian taxes-curr yr results
576676700 In taxes paid/Witholding due
577676701 Excess of tax payments & wit
578676702 Estimated taxes payable
57967671 Belgian taxes-prior yr result
580676710 Add`l chgs for taxes due/pd
581676711 Add`l chgs-estimated inc tax
582676712 Add`l chgs-inc taxes provide
58367672 Foreign income taxes-curr yr
58467673 Foreign income taxes-prior yr
585678800Other Expenses non op N
58668Transfer to untaxed reserve
587681000Depreciation N
588681110Start Up Costs depreciation N
589681111Computer Software deprec N
590681120Leasehold Improvement De N
591681121Vehicle Depreciation N
592681122Office equipment depreci N
593681123Computer Depreciation N
594681124Furniture Depreciation N
595681500Depreciation Plant & Machinery N
596681700Bad Debt N
597681730inventory depreciation N
598681740Bad Debt Expense (accrual) N
599686510Unrealized Loss N
600686520Unrealized Loss Intercom N
601686620deposit depreciation N
602687000Exceptional depreciation N
60369Appropriation account
604691000Employee Partcipation Profit S N
605695000Income taxes - Federal N
606695090INCOME DEFERRED N
60769690 Losses brought forward
60869691 Transfer to the capital and
60969692 Transfers to reserves
610696920 Transfer to legal reserves
611696921 Transfer to other reserves
61269693 Profit to be carried forward
61369694 Dividends
61469695 Directors` entitlements
61569696 Other entitlements
616697000INCOME TAXES Other N
61770Turnover
618701100Sales N
619706110Revenues Relieved from N
620706210Recognized Revenues for N
621706310Other Allowances and Ad N
622706320Maintenance - Renewals N
62370700 Sales & Services rendered
624707000Sales N
62570708 Discounts/allowances/rebates
626707100Product License Revenue N
627707200Product License Revenue N
628708000Other Revenues N
629708410Consulting Billable Exp N
630708420Education Billable Exp N
631708430Miscellaneous N
632708800Mkting - Registration N
633709000Rebates and Allowances N
63471Increase-decrease stocks & wip
635713350Manufacturing Recovery N
636713550Cost of good Sold N
63771712 Work-in-progress
63871713 Finished goods
63971715 Immovable property constructe
64071717 Contracts in progress
641717170 Contract costs
642717171 Profit recognized
64372Fixed assets-own construction
644722000Investment income N
64574Other operating income
646740000Other Income N
64774740 Oper subsidies/compens amount
64874741 Gains on disposals-tangible
64974742 Gains-realization trade debts
65074743 Miscellaneous oper income
65175Financial Income
65275750 Income-Financial fixed assets
65375751 Income-Current assets
65475752 Gains on realiz of curr asset
65575753 Investment grants
65675754 Realized exchange gains
65775755 Unrealized exchange gains N
65875756 Other financial income
659758000Minor Write Off Gain N
66076Extraordinary Income
661764000Interest income - Loan N
662766100Realized Gain N
66376760 Write-back deprec./write-offs
664767600 Intangible Fixed Assets
665767601 Tangible Fixed Assets
66676761 Write-back amounts writtenoff
66776762 Write-back prov for liab/chgs
66876763 Gains on disposals of assets
66976764 Other extraordinary income
670768000Interest income N
67177Adjustment of income tax
672771000Extraordinary Income N
673772000Extraordinary income on previo N
674775200Gain on Sales of Investment N
67577771 Belgian income taxes
676777710 Adj of income taxes due/paid
677777711 Adj of est. income taxes
678777712 Write-back of tax provisions
67977773 Foreign income taxes
680777800Others income N
68178Transfer from untaxed reserves
682781100Depreciation adjust AMORTIZ. A N
683781500Depreciation adjust for opera N
684781740Depreciation adjust for bads d N
685786500Depreciation adjust on foreign N
686786510Unrealized Gain N
687786520Unrealized Gain Intercom N
688787600Depreciation adjust for Extrao N
68979Appropriation account
690791100Marketing Cost Transfer N
691791200Bad Debt-Cost Transfer N
692791300HQ Costs-Interco Alloc N
693796000Interest Cost Transfer N
694797000Extraordinary Cost transfer N
69579790 Profit brought forward
69679791 Transfers-capital/share accts
69779792 Transfers from reserves
69879793 Loss to be carried forward
69979794 Shareholders` contribution in