Segment
X12 EDI Release 00401
To provide details of public records or obligations
Elements
Code defining the nature of public record or civil action obligation
Codes (21)- 10Divorce Decree
- 11Custody Agreement
- 12Financing Statement (Secured Loan)
- 13Lien
- 14Non-responsibility
- 15Financial Counseling
- 16Fictitious Name
- 17Notice of Default
- 18Forcible Detainer
- 19Unlawful Detainer
- 20Other Public Record or Obligation Type
- 01Foreclosure
- 02Law Suit
- 03Outstanding Judgment
- 04Tax Lien
- 05Support Debt
- 06Bankruptcy
- 07Garnishment
- 08Repossession
- 09Collection
- ZZMutually Defined
Code to qualify amount
Codes (1473)- 1Line Item Total
- 2Batch Total
- 3Deposit Total
- 4Lock Box Total
- 5Total Invoice Amount
- 6Amount Subject to Total Monetary Discount
- 7Discount Amount Due
- 8Total Monetary Discount Amount
- 9Total Operational Statement Amount
- 10Shipment Value in U.S. Dollars
- 11Liabilities at Bankruptcy
- 12Account Average Balance Account
- 13Outstanding Balance at Foreclosure
- 14Legal Obligation Debt Amount
- 15Estimated Closing Cost Amount
- 16Discount Fees Paid by Borrower Amount
- 17Closing Costs or Concessions Paid by Seller
- 18Prepaid Items Amount
- 19Federal Housing Administration, Mortgage Insurance Premium Funding Fee Financed Amount
- 20Federal Housing Administration, Mortgage Insurance Premium or Veteran's Administration Funding Fee Amount
- 21Original Cost of Property Amount
- 22Owner's Estimate of Value Amount
- 23Appraised Value Amount
- 24Gross Monthly Income Amount
- 25Assets at Bankruptcy
- 26Negotiated Cost
- 27Authorized Unpriced Work
- 28Target Price
- 29Estimated Price
- 30Contract Ceiling
- 31Estimated Contract Ceiling
- 32Target Fee or Profit Amount
- 33Original Contract Target Cost
- 34Negotiated Contract Changes
- 35Current Target Cost
- 36Contract Budget Base (CBB)
- 37Current Budgeted Cost for Work Scheduled (BCWS)
- 38Current Budgeted Cost for Work Performed (BCWP)
- 39Current Actual Cost of Work Performed (ACWP)
- 40Current Schedule Variance (SV)
- 41Current Cost Variance (CV)
- 42Cumulative Budgeted Cost for Work Scheduled (BCWS)
- 43Cumulative Budgeted Cost for Work Performed (BCWP)
- 44Cumulative Actual Cost of Work Performed (ACWP)
- 45Cumulative Schedule Variance (SV)
- 46Cumulative Cost Variance (CV)
- 47Reprogram Cost Variance
- 48Reprogram Budget
- 49At Complete Budget (BAC)
- 50At Complete Latest Revised Estimate (LRE)
- 51At Complete Variance
- 52Total Allocated Budget
- 53Difference (Contract Budget Base - Total Allocated Budget)
- 54Forecast
- 55At Complete Forecast
- 56Current Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP)
- 57Current Cost Performance Index (CPIp) - Planned (ACWP/BCWP)
- 58Current Schedule Performance Index (SPI)
- 59Cumulative Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP)
- 60Cumulative Cost Performance Index (CPIp) - Planned (ACWP/BCWP)
- 61Cumulative Schedule Performance Index (SPI)
- 62To Complete Performance Index (TCPI) for Budget at Complete (BAC)
- 63To Complete Performance Index (TCPI) for Estimate At Complete (EAC)
- 64Initial Contract Price Target
- 65Initial Contract Price Ceiling
- 66Adjusted Contract Price Target
- 67Adjusted Contract Price Ceiling
- 68Funds Authorized to Date
- 69Accrued Expenditures
- 70Open Commitments
- 71Forecast of Billings
- 72Estimated Termination Costs
- 73Accrued Expenditures plus Open Commitments
- 74Contract Work Authorized - Definitized
- 75Contract Work Authorized - Not Definitized
- 76Contract Work Authorized - Total
- 77Forecast of Work - Not Yet Authorized
- 78Forecast of Work - All Other
- 79Forecast of Work - Total
- 80Funding - Total Requirements
- 81Funds Carryover
- 82Net Funds Required
- 83Contract Work Authorized (with fee/profit) Actual or Projected
- 84Contract Work Authorized (with fee/profit) Actual or Projected - At Complete
- 85Best Case Estimate
- 86Worst Case Estimate
- 87Most Likely Estimate
- 88"As Is"Appraisal Amount
- 89"Subject To"Appraisal Amount
- 90"Completion Per Plans"Appraisal Amount
- 91Site Value Amount
- 92Compensation
- 93Contribution
- 94Death Benefit
- 95Death Benefit Decrement
- 96Employee Account Balance
- 97Loan Repayment
- 98Prior W2
- 99Single Premium
- AAdjusted Chargeback Claim Amount
- BEstimated
- CCity
- DPayor Amount Paid
- EEstimated Credit
- FAnnual Limit
- GCollateral
- HBid Amount
- IInterest
- JTrustee Fees
- KAttorney and Trustee Fees
- LLocal
- MAmount Due from Buyer at Appraisal Notice Date
- NNet
- OCourt Cost
- PPenalty
- QAmount Owed to Buyer at Appraisal Notice Date
- RSpend Down
- SSubmitted Chargeback Claim Amount
- TTax
- UUnderpayment
- VCost of Deficiency
- WDeficiency Judgment Fees
- XDeficiency Judgment Expenses and Fees
- YCurrent List Price
- ZList Price When Sold
- 01Fixed Installment Control Accounting Error
- 02Graduated Payment Mortgage Adjustment
- 03Growing Equity Mortgage Adjustment
- 04Adjustable Rate Mortgage Change
- 05Fixed Installment Control Substitution Adjustment
- 06Interest Adjustment
- 07Deferred Graduated Payment Mortgage Interest Paid
- 08Interest Accounting Error
- 09Principal Accounting Error
- 0AInterest Substitution Adjustment
- 0BPrincipal Substitution Adjustment
- 0CPrepaid Interest
- 0DPrepaid Principal
- 0EDelinquent Interest
- 0FDelinquent Principal
- 0GCurtailment Adjustment
- 0HSerial Note Principal Available for Distribution
- 0IServicing Fee
- 0JGuarantee Fee Adjustment
- 0KAmount Under-collateralized
- 0LAmount Over-collateralized
- 0MTrial Balance Adjustment
- 0NCustodial Bank Account Adjustment
- 0PItem
- 0QSchedule
- 0RRegular Plan
- 0SPreviously Billed
- 0TCurrently Due
- 0UCoverage Premium
- 1AVariance
- 1BVariance Adjustment Cost
- 1CVariance Adjustment Schedule
- 1DEscalation
- 1EFixed Price
- 1FLodging
- 1GMeals
- 1HTravel Expense
- 1JInsurance Expense
- 1KUnion Dues
- 1LRegular Income
- 1MIncome on Real Property
- 1NIncome from Social Security and/or other Government Assistance
- 1PTotal Monthly Income
- 1QElectric and/or Fuel Payment
- 1RWater and/or Sewer Payment
- 1STelephone Payment
- 1TMaintenance Expense
- 1UFood Expense
- 1VClothing Expense
- 1WLaundry Expense
- 1XMedical and/or Dental Expense
- 1YRecreation Expenses
- 1ZCharitable Contributions
- 2AHome Insurance Expense
- 2BLife Insurance Expense
- 2CHealth Insurance Expense
- 2DAutomobile Insurance Expense
- 2EValue of Property Claimed as Exempt
- 2FAutomobile Payment
- 2GOther Type of Installment Payment
- 2HOperating Expenses
- 2ITotal Projected Monthly Income
- 2JTotal Projected Monthly Expenses
- 2KExcess Income
- 2LValue of Personal Property
- 2MMonthly Overtime
- 2NTotal All Repairs
- 2PTotal Recommended Repairs
- 2QState Quarterly Total Gross Wages
- 2RState Quarterly Unemployment Insurance (UI) Total Wages
- 2SState Quarterly Unemployment Insurance (UI) Excess Wages
- 2TState Quarterly Unemployment Insurance (UI) Taxable Wages
- 2UState Quarterly Disability Insurance Taxable Wages
- 2VState Quarterly Tip Wages
- 2WAsset-Long Term
- 2XAsset-Short Term
- 2YBase Coverage
- 2ZCommission Retained
- 3AAccounting
- 3BAccounts Payable
- 3CAccounts Receivable
- 3DAdvanced Dividends
- 3EAdvertising Expenses
- 3FAmortization
- 3GAmortization Costs
- 3HAmount of Decree
- 3IAsset Investment
- 3JAuthorized Capital
- 3KAvailable Reserves
- 3LBad Debt Allowance
- 3MBad Debts
- 3NBank Account(s)
- 3OLong Term Assets
- 3PLong Term Liabilities
- 3QLong Term Tangible Assets
- 3RLosses on Capital
- 3SMachines and Tools
- 3TMember Risk Capital
- 3UMiscellaneous After Tax Exempt
- 3VMortgage
- 3WNominal Capital
- 3XNominal Damages
- 3YNon-operational Fixed Assets
- 3ZExcess Amount Requested
- 4ANonissued Capital
- 4BNotes Payable
- 4CNotes Receivable
- 4DBank Debentures
- 4EBank Obligations
- 4FBuildings
- 4GBuildings Under Construction
- 4HCapital
- 4ICapital Associated with Principal
- 4JCapital of Other Subsidiaries
- 4KCapital Stock
- 4LCash
- 4MCapital Subsidies Received
- 4NCommercial Debt
- 4OCommercial Expenses
- 4PCommon Stock
- 4QConsequential Damages
- 4RCompensatory Damages
- 4SConvertible Debentures
- 4TCost of Goods Sold
- 4UCost of Sales
- 4VCost(s)
- 4WCurrent Assets
- 4XCurrent Liabilities
- 4YDamages
- 4ZDeferred Cost
- 5ADeferred Credit or Income
- 5BDeferred Taxation
- 5CDeposits
- 5DDepreciation
- 5EDepreciation of Fixed Assets
- 5FDepreciation of Revaluation of Fixed Assets
- 5GDirector's Remuneration
- 5HDividends
- 5IDoubtful Receivables
- 5JEquipment
- 5KEquipment Subsidies
- 5LEquities, Stocks
- 5MEquity
- 5NExceptional Item
- 5OExports
- 5PExternal Charge
- 5QExtraordinary Charge
- 5RExtraordinary Current Asset Write Downs
- 5SExtraordinary Result
- 5TFinancial Assets
- 5UFinancial Charges
- 5VFinancial Debt
- 5WFinancial Expenses
- 5XFinancial Income
- 5YFinished Goods
- 5ZFixed Asset Debts
- 6AFixed Assets
- 6BFixed Assets for Sale
- 6CFixtures
- 6DFixtures and Equipment
- 6EFranchise
- 6FFranchise Tax Balance
- 6GFranchise Tax Paid
- 6HFree Reserves
- 6IFurniture
- 6JFuture Loan
- 6KGeneral Accounts
- 6LGeneral Expenses
- 6MGoodwill
- 6NGrants for Operating Costs
- 6OGroup Related Financial Income
- 6PIncome Stated in Advance
- 6QIncome Tax
- 6RIncome Tax, Corporate
- 6SIncome Tax, Noncorporate
- 6TInjunction
- 6UIntangible Depreciation
- 6VIntangibles
- 6WInterest of Third Party
- 6XInterest on Loans
- 6YOperating Income (Loss)
- 6ZOptional Reserves
- 7AOrganizational Expenses
- 7BOutside Share in Profit or Loss
- 7COutstanding Debts against Board of Directors/Managers
- 7DOwing
- 7EOwing from Affiliates
- 7FOwing from Participants
- 7GOwing to Affiliates
- 7HOwing to Fiscal Office
- 7IOwing to National Social Security Office
- 7JOwing to Participants
- 7KOwn Work Capitalized
- 7LPaid in Capital
- 7MPar Value
- 7NParticipating Interest
- 7OPatents
- 7PPension Debts
- 7QPensions Provision
- 7RPreferred Stock
- 7SPrepaid Orders in Progress
- 7TPrior Results Carried Forward
- 7UProfit or Loss
- 7VProfit or Loss after Taxes
- 7WProfit or Loss before Taxes
- 7XProfit or Loss on Ordinary Activities after Tax
- 7YProgress Payments
- 7ZProposed Dividend
- 8AProvision for Depreciation of Stock or Inventory
- 8BProvision for Future Purchases
- 8CProvision for Risks
- 8DPunitive Damages
- 8EPurchase Price
- 8FPurchases
- 8GRaw Materials
- 8HReal Estate
- 8IReceivables
- 8JRegularization Account
- 8KResearch and Development
- 8LRestructuring Costs
- 8MResult
- 8NRetained Earnings
- 8ORevenues
- 8PSales
- 8QSales and Use Tax
- 8RSavings
- 8SSecured Liability
- 8TSecured Loans
- 8USelling Expenses
- 8VServices
- 8WShare Capital
- 8XShare in Profit or Loss of Minority Interest
- 8YShare Premium Capital
- 8ZShares in Affiliated Companies
- 9ASocial Charges
- 9BSocial Security (FICA)
- 9CSpecial Reserves
- 9DSpecially Secured Creditors
- 9ESpecific Performance
- 9FStarting Capital
- 9GStatutory Reserves
- 9HSubscribed Capital
- 9ISuit Amount
- 9JSupplies
- 9KSurplus of Revaluation
- 9LTangible Net Worth
- 9MTax Adjustments
- 9NTax Balance
- 9OTax Capital Amount
- 9PTax on Extraordinary Items
- 9QTax Recoverable
- 9RTaxed Reserves
- 9STrade Creditors
- 9TInventory (Stock)
- 9UInventory (Stock) Depreciation
- 9VInventory (Stock) Purchases
- 9WInvestment in Own Shares
- 9XInvestments
- 9YIssued Capital
- 9ZLabor Costs
- A0Assistantship from Admitting Educational Institution
- A1Average Negative Ledger Balance
- A2Average Positive Collected Balance
- A3Average Negative Collected Balance
- A4Average Positive Ledger Balance
- A5Disallowed - Estimated
- A6Disallowed - Actual
- A7Noncovered Charges - Estimated
- A8Noncovered Charges - Actual
- A9Allowed - Estimated
- AAAllocated
- ABAdjusted Collected Balance
- ACAverage Collected Balance
- ADAdjusted Total
- AEArrearage
- AFAverage Float
- AGAdjusted Gross Income
- AHLoan Balance Difference
- AISale Amount
- AJFunds Held by Mortgagee
- AKAttorney Fees
- ALAverage Ledger Balance
- AMAmount Financed
- ANBankruptcy Fee
- AOAmount Override
- APAmount Prior to Fractionalization
- AQAverage Price Per Call
- ARFees to Public Officials for Foreclosure
- ASAverage Price Per Minute
- ATTotal Received
- AUCoverage Amount
- AVActual Cash Value
- AWReplacement Cost
- AXPrevious Price
- AYTitle Cost
- AZOther Foreclosure and Acquisition Expenses
- B0Bond
- B1Benefit Amount
- B2Bonuses and Commissions Divided Over 12 Months
- B3Bonuses Divided Over 12 Months
- B4Bonuses and Commissions
- B5Budgeted
- B6Allowed - Actual
- B7Deductible - Estimated
- B8Co-insurance - Estimated
- B9Co-insurance - Actual
- BABargain
- BBMortgage Insurance Premiums
- BCBilling Cycle Net Fee Position (Excess/Deficit)
- BDBalance Due
- BEDisbursements for Authorized Repair
- BFHazard Insurance Premium
- BGEviction Attorney Fees
- BHEviction Expenses
- BIProperty Taxes
- BJDisbursements Not Shown Elsewhere
- BKDisbursements for Protection and Preservation
- BLDisbursements for Inspections and Boarding
- BMAdjustments
- BNRental Income
- BORental Expense
- BPAverage Net Collected Balance
- BQBail
- BRAdjusted Insured Loss Amount
- BSMortgage Note Interest
- BTBank Reject Total
- BUOverhead Costs
- BVUncollected Interest
- BWAmount Due from Buyer at Closing
- BXAmount Owed to Buyer at Closing
- BYAdditional Closing Expenses
- BZDeficiency Judgment Expenses
- C0Current Expenditures
- C1Co-Payment Amount
- C2Child Rider Coverage
- C3Prior Payment - Estimated
- C4Prior Payment - Actual
- C5Claim Amount Due - Estimated
- C6Claim Amount Due - Actual
- C7Payor Responsibility - Estimated
- C8Payor Responsibility - Actual
- C9Disallowed Cost Containment - Actual
- CAContractor Cumulative to Date
- CBCollected Balance Required
- CCChargeback Claim Amount
- CDOverpaid Section 235 Subsidy
- CESummary Amount
- CFAppraisal Fees
- CGCommission Fees Deducted
- CHChange Amount
- CIFunds Held for Insured
- CJOther Deductions
- CKBack End Load
- CLOutstanding Balance Current Lender
- CMClaimant Requested Total
- CNSpecial Assessments
- COTaxes on Deed
- CPStatutory Disbursements
- CQNet Claim Amount
- CRContractor at Complete
- CSCommission Sales
- CTContract
- CUSubcontractor Cumulative to Date
- CVSubcontractor at Complete
- CWEarned Value
- CXActual
- CYCumulative Budget
- CZCumulative Earned Value
- D0Administration and Management Costs
- D1Deferred Compensation Commissions
- D2Deductible Amount
- D3Deferred Compensation Commissions and Bonuses
- D4Deferred Compensation
- D5Dependent Care Contribution
- D6Disallowed Cost Containment - Estimated
- D7Dispensing Fee
- D8Discount Amount
- D9Cumulative Actual
- DAOriginal Mortgage
- DBUnapplied Section 235 Funds
- DCUnapplied Buydown Fund
- DDDirect Deposit
- DEEstimate of Damage
- DFAuthorized Bid
- DGEscrow Balance
- DHTotal Disbursements
- DICharge Off
- DJLiens Amount Original
- DKRelease of Lien
- DLDebit
- DMAsset
- DNLiability
- DOSatisfaction
- DPExemption
- DQSettlement
- DRAlimony Expense
- DSAlimony Income
- DTChild Support Expense
- DUChild Support Income
- DVSeparate Maintenance Expense
- DWSeparate Maintenance Income
- DXDeductible Waived
- DYPer Day Limit
- DZJob-related Expense
- E0Administration and Management Indemnity Charge
- E1Employer Year to Date Contribution
- E2Employee Annual Pledge Amount
- E3Employee Current Contribution
- E4Employer Pledge Amount
- E5Employer Current Contribution
- E6Eligible Wage Amount
- E7Employee Year to Date Contribution
- E8Education Contribution
- E9Initial Fee
- EAEarnings Allowance
- EBCollected Balance (Excess/Deficit)
- ECAllowance (Excess/Deficit)
- EDEstimated Cost of Attendance
- EEOther Expense
- EFEstimated Financial Aid
- EGOther Income
- EHAmount of Mortgages and Liens
- EIMortgage Payment(s)
- EJInsurance, Maintenance, Taxes and Miscellaneous
- EKNet Rental Income
- ELPresent Market Value
- EMGross Rental Income
- ENCancellation Fee
- EOCapital Reserves
- EPEmployer Annual Pledge Amount
- EQCondominium Association Fees
- ERHomeowner Association Fees
- ESMortgage Insurance Proceeds
- ETNet Proceeds from Sale of Real Estate Property
- EUInsurance Proceeds (Primary Settlement)
- EVPresale Proceeds
- EWPledged Savings
- EXAs Is Broker's Opinion
- EYSubject To Broker's Opinion
- EZUniform Commercial Code Filing Office Fee
- F0Commercial Staff Labor Costs
- F1Maximum Allowable Cost (MAC) Penalty Copay
- F2Patient Responsibility - Actual
- F3Patient Responsibility - Estimated
- F4Postage Claimed
- F5Patient Amount Paid
- F6Provider Reserves
- F7Sales Tax
- F8Usual and Customary Charge - Estimated
- F9Usual and Customary - Actual
- FACoordination Fee
- FBCalculation Fee
- FCExpected Family Contribution
- FDDirect Deposit Flipped to Check
- FEFee
- FFApplication Fee
- FGLicensing Fee
- FHRegulatory Fee
- FIFirst Interest Payment Amount
- FJWaiver Fee
- FKOther Unlisted Amount
- FLFloat
- FMFair Market Value
- FNFine
- FOFees Paid
- FPFees Paid Year to Date
- FQFirm Contractor Share
- FREstimated Government Share
- FSExpense
- FTEndorsement Premium Amount
- FUCommercial Staff Indemnity Charge
- FVFlat Fee Paid to Date
- FWFlat Fee Paid Current Month
- FXEndorsement
- FYFirst Payment
- FZEarned Income
- G0Initial Adjustment Total
- G1Indicated Value by Sales Comparison Approach
- G2Indicated Value by Income Approach
- G3Price per Unit Area
- G4Reconciliation of Final Value Estimate
- G5Estimated Monthly Market Rent
- G6Adjusted Sales Price
- G7Sales or Financing Concessions
- G8Indicated Value by Cost Approach
- G9As-is Value of Site Improvements
- GADepreciated Value of Improvements
- GBPrice, High Value
- GCPrice, Low Value
- GDPhysical Depreciation
- GEFunctional Depreciation
- GFExternal Depreciation
- GGAdjusted Sales Price of Comparable Sales
- GHPredominate Value
- GIAverage Customer Income
- GJAverage Neighborhood Income
- GKAverage Customer Purchase
- GLWeekly Dollar Sales
- GMAverage Case Sales
- GNBuy-down
- GOCredit Line
- GPAppraisal Repair Amount
- GQBrokers Opinion Repair Amount
- GRCredit Line Available
- GSSubsequent Adjustments Total
- GTGoods and Services Tax
- GUTaxes Paid
- GVGross Value
- GWTotal Charge
- GXTotal Credit
- GYTotal Debit
- GZTotal Finance Charge
- H0Host Government (government of the institution) Financing for Education
- H1Legal Reserves
- H2Cancellation
- H3Deposit Inception to Date
- H4Deposit Year to Date
- H5Dump in Remittance
- H6Earnings
- H7Life Insurance Cash Value
- H8Structure Value
- H9Original List Price
- HACoin
- HBCurrency
- HCU.S. Treasury Checks
- HDPostal Money Orders
- HECity Checks
- HFOther Checks
- HGHome Government Financing for Education
- HHAnnual Social Security Wages
- HIAnnual Social Security Tips
- HJAnnual Wages, Tips, and Other Compensation
- HKSocial Security Employee Tax Withheld
- HLFederal Income Tax Withheld
- HMAdvance Earned Income Credit
- HNCommission
- HOVacation Pay
- HPGross Pay Submitted
- HQIntersell Commission Sales
- HRTotal Payroll Approved
- HSHoliday Pay
- HTOvertime Pay
- HURegular Pay
- HVSick Pay
- HWSpecial Pay
- HXContract Price
- HYCommercial Space Income
- HZUtilities Paid by Owner
- I0Life Insurance Coverage
- I1Investment Income
- I2Income
- I3Price, Gross Living Area
- I4Total Estimated Rent
- I5Gross Annual Income
- I6Custodian's Salary
- I7Engineer's Salary
- I8Elevator Operator's Salary
- I9Indicated Value by Market Approach Estimate of Market Value
- IAAdjusted Monthly Rent
- IBInvestable Balance
- ICAccrued Unpaid Interest To Be Capitalized
- IDImport Duty Amount
- IEExcise Tax Amount
- IFInspection Fee
- IGAdjustment for Gross Living Area
- IHPredominant Price High
- IIIrregular Interest Payment Amount
- IJNet Adjusted Monthly Rent
- IKIndicated Monthly Market Rent
- ILPredominant Price Low
- IMAdjustment for Rooms
- INInstallment
- IOAdjustment for Bedrooms
- IPInterest Payable During Repayment Period
- IQContingent Debt
- IRInsurance Recovery
- ISIndependent Scholarship
- ITIncentive Fee
- IUAccrued Unpaid Interest Not To Be Capitalized
- IVUtilities Allowance
- IWFurniture Allowance
- IX
- IYDebentures
- IZAccount High Balance
- J0Limited Partnership Capital
- J1Current Face Amount
- J2Original Face Amount
- J3Fixed Default Note Holder's Amount
- J4Initial Monthly Payment
- J5Original Principal and Interest Payment
- J6Final Principal and Interest Payment
- J7Conversion Fee
- J8Ending Balance
- J9Beginning Balance
- JAAssessment
- JBEquity Claimed as Exempt
- JCCounter Claim
- JDWeekly Benefit
- JELease
- JFAdministrative Load
- JGAsset Cost Applicable to Entire Contract
- JHAsset Cost Applicable to Portion of Contract
- JIAnnual Fee
- JJCost Basis
- JKDisability Premium
- JLEmployee Additional Contribution
- JMEmployee Match Contribution
- JNEmployer Contribution
- JOFree Look Value
- JPFree Withdrawal Value
- JQFront End Load
- JRGuaranteed Minimum Death Benefit
- JSInterim Value
- JTMonthly Rent
- JUJudgment
- JVLoan Value
- JWMarket Value
- JXMarket Value Adjusted Value
- JYMarket Value Adjustment
- JZNet Contract Value
- K0Discounted Bills not Due
- K1Unpaid Security Balance
- K2Total Unpaid Security Balance
- K3Veterans Affairs Funding Fee
- K4Initial Target Fee
- K5Minimum Fee
- K6Maximum Fee
- K7Price
- K8Special Accounting Classification Reference Number (ACRN) Amount
- K9New Price
- KAEstimated Contract
- KBEstimated Net Adjustment
- KCObligated
- KDUndefinitized
- KEAnnual Revenue
- KFNet Paid Amount
- KGNet Collected Amount
- KHDeduction Amount
- KINet Variance Amount
- KJMinimum Contract Amount
- KKItem Gross Amount
- KLCollected Amount
- KMDisbursed Amount
- KNGross Amount of Payment
- KOCommitted Amount
- KPPrincipal and Interest
- KQIncremental Order Amount
- KRLiability-Long Term
- KSTaxes and Insurance
- KTDefault Principal
- KUDefault Interest
- KVLiability-Short Term
- KWDefault Taxes and Insurance
- KXMiscellaneous Fee Collections
- KYNot-To-Exceed Price
- KZMortgagor's Monthly Obligations
- L0Liquid Assets
- L1Legal Contribution
- L2Leasehold Insurance Amount
- L3Total Unidentified Payments Rejected
- L4Total Credits Received
- L5Total Debits Received
- L6Total Pre-advices Received
- L7Total Prenotes Received
- L8Total Post-advices Received
- L9Total Debit for Settlement
- LADefinitized
- LBDefinitized Total
- LCLessor's Cost
- LDIncremental
- LELoan Eligibility Amount
- LFLoan Remittance or Repayment
- LGLaundry Income
- LHBaseline
- LILine Item Unit Price
- LJLegal and Audit
- LKLoan Amount Requested
- LLLump Sum
- LMLimit
- LNLien Payoff
- LOMoney Purchase
- LPList Price
- LQMaximum Potential Liability
- LRTotal Credit for Settlement
- LSNet Settlement
- LTTotal Award
- LUOption Amount
- LVPlanned Periodic Payment
- LWTax and Insurance Escrow Fund Balance
- LXLoan Expense
- LYTotal Remaining Principal Balance for the Issuer
- LZDelinquent Payment
- M0Loans from Officers
- M1Maximum Out of Pocket Amount
- M2Medical Contribution
- M3Tax rate expressed as a flat fee
- M4Minimum amount of tax to be paid
- M5Minimum amount to which tax rate is applied
- M6Maximum amount of tax to be paid
- M7Maximum amount to which tax rate is applied
- M8Markup Amount
- M9Net of Surrender Withdrawal
- MAMaximum Amount
- MBUndistributed Budget
- MCCost of Money
- MDMinimum Due
- MEMinimum Default Note Holder's Cost
- MFAdministrative Fees
- MGMaximum Late Charge
- MHMinimum Late Charge
- MIMinimum Incentive Fee
- MJMaximum Default Note Holder's Cost
- MKGross to Pay
- MLPrior Net Invoice Total
- MMPayout
- MNMonthly Limit
- MOMinimum Order Value
- MPMonthly Payment Amount
- MQPost Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis
- MRManagement Reserve
- MSPast-Due Taxes and Assessment Remaining Unpaid
- MTPre Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis
- MUPremium Tax Paid on Surrender
- MVPremium Tax Paid up Front
- MWSales Loads
- MXMaximum Incentive Fee
- MYSurrender Value
- MZValuation Price
- N0Loans or Financial Borrowings
- N1Net Worth
- N2Individual Income Taxes and Other
- N3Corporate Income and Excess Profits Tax
- N4Excise Taxes
- N5Estate and Gift Taxes
- N6Carrier Tax Act Taxes
- N7Federal Unemployment Tax Act Taxes
- N8Miscellaneous Taxes
- N9Withheld and Federal Insurance Contribution Act (FICA) Taxes
- NANet Adjustment
- NBNet Compensation Position
- NCNegative Collected Balance
- NDPer Person Monthly Limit
- NENet Billed
- NFMonthly Net Fee Position (Excess/Deficit)
- NGMedicare Copayment
- NHMedicare Deductible
- NIMedicare Paid
- NJOther Insurance Paid Amount
- NKTotal in Force and Applied Coverage
- NLNegative Ledger Balance
- NMNon-collateralized Amount
- NNTransaction Fee
- NONon Commission Sales
- NPNet to Pay Total
- NQAdjusted Nonrecurring
- NRNonrecurring
- NSNet Savings Amount
- NTUnit Value
- NUReinsurance Amount
- NVRenewal Amount
- NWRetention Per Life
- NXRetention Per Policy
- NYNet Year to Date (Excess/Deficit)
- NZEqualization Account
- O0Extraordinary Income
- O1Amount of First Mortgage Being Refinanced
- O2Other Family Financing for Education
- O3Intangible Assets Written Off
- O4Interest Payable
- O5Interest Receivable
- O6Joint Venture Results
- O7Long Term Debt
- O8Long Term Provisions
- O9Loss
- OAPrincipal Balance Amount
- OBOutstanding Loan Balance
- OCOpening Bank Charges
- ODDraft Amount
- OEMiscellaneous Charges
- OFContractor's Offer
- OGCable Charge
- OHHandling Charges
- OINon-commission Charges
- OJMerchandise
- OKLetter of Credit Amount
- OLOutstanding Balance Other Lender
- OMOther Monthly Income
- ONNegotiating Bank Charges
- OOOverdrafts
- OPOriginal Payment Total
- OQPayroll Costs
- ORLetter of Credit Remaining Amount
- OSOther Salaries
- OTCommission Amendment Charges
- OUProfit
- OVProfit and Loss Deficit
- OWProfit after Extraordinary Items and before Tax
- OXProfit after Tax and Before Extraordinary Items
- OYPayment Commission
- OZProfit Distributed to Employees
- P0Parental Financing for Education
- P1Partner's Calendar Year Salary
- P2Prior Plan Year Gross Salary
- P3Premium Amount
- P4Prior Year's Wage
- P5Partner's Tax Year Salary
- P6Premium Due
- P7Partner's K1 Tax Year Amount
- P8Partner's K1 Calendar Year Amount
- P9Current Mortgage Principal Balance
- PAPayment Cancellation Total
- PBBilled Amount
- PCPositive Collected Balance
- PDCredit
- PEPlan Period Election
- PFPrincipal
- PGPayoff
- PHPer Occurrence Deductible
- PIPer Occurrence Monthly Limit
- PJPast Due
- PKPhotograph Fee
- PLPositive Ledger Balance
- PMLast Premium Amount
- PNPrior Gross Invoice Total
- POPercent Override
- PPPayment Prior to Advance
- PQAdvance Amount
- PRPer Occurrence Limit
- PSPer Occurrence per Day Limit
- PTPer Occurrence Aggregate Limit
- PUUnsecured Priority Claim
- PVPrepetition Charges
- PWPer Occurrence Maximum per Week Limit
- PXPer Person Maximum per Week Limit
- PYPer Person per Day Limit
- PZOriginal Principal Balance
- Q0Loans to Affiliated Companies
- Q1Proposed
- Q21035 Exchange
- Q3401K Transfer
- Q4Total Prenotes Accepted
- Q5Total Prenotes Rejected
- Q6Automatic Premium Deduction
- Q7Total Post-advices Accepted
- Q8Total Post-advices Rejected
- Q9Cash With Application
- QACombined
- QBCredit Card
- QCDeposit Fund
- QDDirect Billing
- QEDisc Premium
- QFElectronic Funds Transfer (EFT)
- QGGovernment Allotment
- QHInitial Premium
- QIIndividual Retirement Account 60 Day Rollover
- QJIndividual Retirement Account Direct Transfer
- QKIndividual Retirement Account Regular Contribution
- QLKeogh/HR 10
- QMKeogh/HR 10 Transfer
- QNQuarterly Net Fee Position (Excess/Deficit)
- QOList Billing
- QPModal Premium
- QQPayroll Taxes
- QRParking Income
- QSNon-Qualified (1035 Exchange)
- QTPAC - Pre-Authorized Check
- QUPayroll Deduction
- QVPension
- QWPremium Received With Application
- QXProfit Sharing Trust
- QYQualified
- QZPayment Amount
- R0Loans to Participants
- R1Fixed, Liquidated Secured Debt
- R2Contingent Secured Debt
- R3Disputed Secured Debt
- R4Unliquidated Secured Debt
- R5Fixed, Liquidated Unsecured Debt
- R6Contingent Unsecured Debt
- R7Disputed Unsecured Debt
- R8Unliquidated Unsecured Debt
- R9At Time of Filing
- RAAccelerated Royalty
- RBPer Person Deductible
- RCRefund Check
- RDPer Person Limit
- RERoyalty Due
- RFRestitution
- RGBudgeted Redemption
- RHPer Person Aggregate Limit
- RIResidual Value
- RJRate Amount
- RKProvision for Long Term Depreciation
- RLRegular Remittance
- RMRemittance Refund
- RNResident Manager's Salary
- ROProvisions
- RPRepair
- RQRecommended Amount
- RRReserve Requirement Amount
- RSReserves
- RTLast Payment
- RUTotal Debits Rejected
- RVTotal Payments Rejected
- RWTotal Delinquency
- RXTotal Pre-advices Accepted
- RYTotal Pre-advices Rejected
- RZLender's Total Delinquency
- S0Self-Financing for Education
- S1Salary Amount
- S2Salary with Bonuses
- S3Salary with Commissions
- S4Salary with Subchapter S Corporation Income
- S5Salary with Partner's Bonuses
- S6Subchapter S Corporation
- S7Sole Proprietorship
- S8Period Rental
- S9Secured Claim Allowed
- SACampaign Summary Amount
- SBStated Amount
- SCTotal Service Charge
- SDSales Charge
- SEService Charges Which Cannot Be Compensated by Balances
- SFScholarship from Admitting Educational Institution
- SGSponsor-Financing for Education
- SHSurrender Charge
- SISubsequent Interest Payment Amount
- SJSurrender Full
- SKSurrender Partial
- SLSecurity Personnel's Salary
- SMSupplemental
- SNSales Administration Expense
- SOSpecial Creditors Amount
- SPSales Price
- SQSpecial Debtors Amount
- SRSecured Claim
- SSCampaign Summary Amount to be Shared
- STState
- SUSurcharge
- SVFixed Monthly Principal Payment
- SWBase Award Fee
- SXSeverance Tax
- SYInitial Buydown Balance
- SZCertification Fee
- T0Third-Party Government-Financing for Education
- T1Teacher
- T2Total Claim Before Taxes
- T3Total Submitted Charges
- T4Total Current Balance
- T5Total Claims
- T6Claim
- T7Total Credits Accepted
- T8Total Credits Rejected
- T9Total Debits Accepted
- TATotal Annual Sales
- TBTotal Annual Sales to Customer
- TCProposed Cost
- TDProposed Profit
- TEProposed Fee
- TFTotal Proposed Price
- TGAlternate Proposed Price
- THTotal Claim Allowed
- TITitle Insurance Amount on Loan
- TJTime and Expense Paid to Date
- TKTotal Amount of Contract
- TLTotal Prior Loan Amount Owed
- TMTime and Expense Paid Current Month
- TN
- TOTelephone Operator's Salary
- TPTotal payment amount
- TQSubsidies for Operating Costs
- TRTarget Cost
- TSTotal Sales
- TTTotal Transaction Amount
- TUTransportation Cost per Unit of Measure
- TWTechnicians Indemnity Provision
- TXTotal to Date
- TYTotal at Complete
- TZTransportation Cost Total
- U0U.S. Government-Financing for Education
- U1Unsecured, Priority Claim Allowed
- U2Ingredient Cost Claimed
- U3Miscellaneous Expenses
- U4Present Value of Lot
- U5Cost of Improvements
- U6Alterations, Improvements, Repairs
- U7Land
- U8Refinance
- U9Estimated Prepaid Items
- UAUnliquidated Amount
- UBUnpaid Principal Balance
- UCUnspecified Aggregate Limit
- UDUnsecured, Nonpriority Claim Allowed
- UEMortgage Insurance
- UFDiscount (If Borrower Paid)
- UGTotal Unpaid Principal Balance for Stafford Loans
- UHSubordinate Financing
- UITotal Costs
- UJOther Credits
- UKBase Loan Amount (w/o financed Mortgage Insurance)
- ULMortgage Insurance Financed
- UMTotal Loan Amount
- UNUnsecured, Nonpriority Claim
- UOCash from or to Borrower
- UPTotal Unpaid Principal Balance for Parental Loans for Students
- UQMonthly Income
- URUnearned Income
- USTotal Unpaid Principal Balance for Supplemental Loans for Students
- UTValue Added Sales
- UUClearing House Settlement
- UVDrawback
- UWTotal Monthly Liabilities
- UXUtilities, Furniture, and Amenities Included in Rent
- UYTotal Assets
- UZTotal Liquid Assets
- V0Value Added
- V1Tax and Insurance Escrow Fund
- V2Interest Due to Investor
- V3Total Principal Due to the Investor
- V4Total Interest Due to the Investor
- V5Total Curtailment Due to the Investor
- V6Total Principal Payoff and Repurchase Due to the Investor
- V7Total Interest Payoff and Repurchase Due to the Investor
- V8Actual Outstanding Principal Balance
- V9Face Amount
- VATotal Current Rent or Mortgage Payment (Issue)
- VBTotal Non-liquid Assets
- VCAuthorized
- VDActual Person Day Rate
- VEEstimated Person Day Rate
- VFTotal Monthly Expenses
- VGCurrent Monthly Principal and Interest
- VHLevy Amount
- VICurrent Support
- VJPast Due Support
- VKMedical Support
- VLNet Negative Amortization Amount
- VMWithhold From Wages
- VNCommission Basis
- VOCommission Earned
- VPCurrent Monthly Payment
- VQCommission Netted
- VRTotal Monthly Debt
- VSOther Financing Payment
- VTCurrent Value
- VUClosing Cost
- VVCapitalized Mortgage Amount
- VWFirst Mortgage Monthly Principal and Interest
- VXInterest Amount Paid to Date
- VYMinimum Transfer
- VZMaximum Transfer
- W0Trade Debtors
- W1W-2
- W2W-2 with Bonuses
- W3W-2 with Deferred Compensation
- W4W-2 without Bonuses
- W5Deposit Sub Total
- W6Direct Rollover
- W7Direct Transfer
- W8Discounted
- W9Secondary Finance
- WAMinimum Deposit
- WBSub-Agency Compensation
- WCBuyers Agency Compensation
- WDVariable Rate Compensation
- WECompensation Bonus on Sale of Property
- WFVeterans Affairs Loan Guarantee
- WGSecurity Trade Amount
- WHBalance Owing All Other Liens, Subject Property
- WIOther Financing
- WJDual Agency Compensation
- WKPer Week Limit
- WLLender's Opinion of Value
- WMTotal Original Principal Balance
- WNOther Agent Compensation
- WODock Usage Fee
- WPPool Usage Fee
- WQClubhouse Fee
- WROptional Service Fee
- WSOther Association Fees
- WTPrincipal, Interest, Taxes
- WUPrincipal, Interest, Taxes and Insurance
- WVTotal Points Paid at Closing
- WWAmount that Would Have Been Paid in the Absence of Capitation
- WXPoints Paid by Seller
- WYLoan Withdrawal
- WZSeverance Pay
- X0Treble Damages
- X1Transfer to Untaxed Reserves
- X2Reissued
- X3Rollover Amount
- X4Annual Rental
- X5Gross Monthly Rent
- X6SEP - Self Employee Pension
- X7
- X8Funding Amount
- X9Tax Sheltered Annuity (403B Transfer)
- XAMaximum Award Fee
- XBMaturity Value
- XCEarned Wages
- XDBase Period Wage
- XEWithdrawal
- XFWithdrawal Inception to Date
- XGWithdrawal Less Market Value Adjustment
- XHWithdrawal Less Surrender
- XIWithdrawal Less Taxes
- XJWithdrawal Year to Date
- XKUnavailable Reserves
- XLUncalled Capital
- XMUnemployment Contribution
- XNUnlimited Capital, Minimum Fixed
- XOUnpaid Capital
- XPUnsecured Liabilities
- XQValue Added Tax
- XRValue of Shares
- XSVehicles
- XTVoluntary Reserves
- XUWages
- XVWithholding
- XWOriginal Value
- XXWorking Capital
- XYSales Price Per Dwelling Unit
- XZSales Price Per Room
- Y1Year to Date Eligible Salary
- Y2Total Real Estate Owned
- Y3Total Liabilities
- Y4Total Liability Monthly Payments
- Y5Total Real Estate Owned Market Value
- Y6Total Real Estate Owned Gross Rental Income
- Y7Total Real Estate Owned Mortgages and Liens
- Y8Total Real Estate Owned Mortgage Payments
- Y9Total Real Estate Owned Miscellaneous Expenses
- YATotal Real Estate Owned Net Rental Income
- YBActual Unpaid Principal Balance
- YCScheduled Unpaid Principal Balance
- YDPrincipal Due to Investor
- YEConstant Principal and Interest
- YFOther Fee Collection
- YGBeginning Scheduled Unpaid Principal Balance
- YHTax and Insurance Principal Balance
- YINew Principal and Interest
- YJCurtailment
- YKPrepayment Penalty
- YLPartial Annuitization
- YMPartial Withdrawal
- YNPost Tax Equity and Fiscal Responsibility Act (TEFRA) Gain
- YOPre Tax Equity and Fiscal Responsibility Act (TEFRA) Gain
- YQPayments in Advance
- YRPayments in Arrears
- YSCancelled
- YTDenied
- YUIn Process
- YVRequested
- YWPaid
- YXPaid for This Facility
- YYReturned
- YZTotal Aggregate Limit
- Z0Insertion Cost
- Z1Repackaging Labor Cost
- Z2Repackaging Material Cost
- Z3Unit Cost of Discrepant Material
- Z4Liquidation Principal
- Z5Remaining Pool Balance
- Z6Remaining Security Balance
- Z7Program Cost
- Z8Override to Handling Fee
- Z9Production Cost
- ZAFederal Medicare or Medicaid Claim Mandate - Category 1
- ZBFederal Medicare or Medicaid Claim Mandate - Category 2
- ZCFederal Medicare or Medicaid Claim Mandate - Category 3
- ZDFederal Medicare or Medicaid Claim Mandate - Category 4
- ZEFederal Medicare or Medicaid Claim Mandate - Category 5
- ZFFederal Pension Mandate - Category 1
- ZGFederal Pension Mandate - Category 2
- ZHFederal Pension Mandate - Category 3
- ZIFederal Pension Mandate - Category 4
- ZJFederal Pension Mandate - Category 5
- ZKFederal Medicare or Medicaid Payment Mandate - Category 1
- ZLFederal Medicare or Medicaid Payment Mandate - Category 2
- ZMFederal Medicare or Medicaid Payment Mandate - Category 3
- ZNFederal Medicare or Medicaid Payment Mandate - Category 4
- ZOFederal Medicare or Medicaid Payment Mandate - Category 5
- ZPCoupon Face Value
- ZQInitial Target Cost
- ZRIncrease
- ZSDecrease
- ZTProrated Amount
- ZULoan Charge
- ZVMortgage Recording Fee
- ZWDeed Recording Fee
- ZXRelease Recording Fee
- ZYAssumption
- ZZMutually Defined
- AAATemporary Term Coverage
- AABConditional Receipt Coverage
- AACBinding Interim Coverage
- AADApplication Amount
- AAEApproved Amount
- AAFUltimate Face Amount
- AAGRequested Amount from All Reinsurers
- AAHReplacement Amount
- AAIScheduled Contribution
- AAJScheduled Disbursement
- AAKShort Term Investment
- AALSubsequent Contribution
- AAMSubsequent Distribution
- AANTax-Federal
- AAOTax-Local
- AAPTax-State
- AAQTrust Fund
- AARCapital Leases
- AASSurplus
- AATRestated Assets
- AAUOwing to Clients
- AAVShareholder Loans
- AAWAccumulated Deficit
- AAXLoan from Parent Company
- AAYContribution Not Subject to Repayment
- AAZIncome Before Depreciation
- ABAIncome After Depreciation
- ABBProfit (Loss) Before Financial Items
- ABCInterest Expenses
- ABDProfit (Loss) Before Extraordinary Items
- ABEProfit (Loss) After Financial Items
- ABFIncome Before Allocations
- ABGIncome from Sale of Fixed Assets
- ABHContribution to Group
- ABIDeferred Tax Assets
- ABJBlocked Accounts
- ABKNon-taxed Reserves
- ABLPledged Assets
- ABMRestricted Equity
- ABNNon-restricted Equity
- ABODepreciable Assets
- ABPTaxable Assets
- ABQIncome from Business
- ABRIncome Subject to Taxes
- ABSTaxable Amount of Real Estate
- ABTEnding Principal Balance
- ABUAverage Daily Principal Balance
- ABVInterest Amount
- ABWAdjustments for Difference in Average Daily Principal Balance
- ABXBeginning Principal Balance
- ABYLoan Principal Disbursements
- ABZPrincipal Increases
- ACAPrincipal of Loans Purchased
- ACBPrincipal Cured
- ACCPrincipal Sold
- ACDPrincipal Insurance Claims
- ACEPrincipal Guarantee Voided
- ACFPrincipal Paid by Borrowers
- ACGLoans in School and Grace
- ACHLoans in Authorized Deferment
- ACILoans Repay or Forebearance - Current or Less than 31 Days
- ACJLoans Repay or Forebearance - 31 to 60 Days Past Due
- ACKLoans Repay or Forebearance - 61 to 90 Days Past Due
- ACLLoans Repay or Forebearance - 91 to 120 Days Past Due
- ACMLoans Repay or Forebearance - 121 to 180 Days Past Due
- ACNLoans Repay or Forebearance - 181 to 270 Days Past Due
- ACOLoans Repay or Forebearance - 271 or More Days Past Due
- ACPLoans Repay or Forebearance - Claims Filed, Not Yet Paid
- ACQAgent Sales
- ACRAmount Involved
- ACSAssigned Capital
- ACTCredit Line Utilized
- ACUDirect Sales
- ACVEarnings per Share
- ACWInheritance
- ACXInvested Capital
- ACYLoan from Family Members
- ACZNon Depreciable Assets
- ADAPartially Paid Amount per Share
- ADBPending Orders
- ADCPersonal Loan
- ADDPlant and Machinery
- ADEPre-Tax Loss
- ADFPre-Tax Profit
- ADGRegistered Capital
- ADHRevaluation Reserves
- ADISocial Capital
- ADJStatutory Profit
- ADKTraining Pay
- ADLRetroactive Pay
- ADMExpected Reimbursement Amount
- ADNPermit Cost
- ADOMinimum
- ADPAdditional Amount to Meet Minimum
- ADQLabor Per Hour
- ADRNon-recoverable Depreciation
- ADSRecoverable Depreciation
- ADTOverhead
- ADWReplacement Cost of Repairs
- ADXActual Cash Value of Repairs
- ADYRecoverable Depreciation of Repairs
- ADZNon-recoverable Depreciation of Repairs
- AEBActual Cash Value of Building
- AECGovernment Share
- AEDContractor Share
- AEEAward Fee
- AEFBase Fee
- AEGTarget Profit Floor
- AEHTarget Profit Ceiling
- AEILabor Per Day
- AEJDifference in Interest Due
- AEKDifference in Prepayment Penalty
- AELDifference in Principal Due
- AVEAverage
- BAANet Taxable Income
- BABOriginal Amount of Instrument
- BACAddition to Tax
- BADReinstatement Fee
- BAEPermit Fee Due
- BAFPermit Fee with Extension
- BAGNet Annual Permit Fee Due
- BAHPermit Fee Penalty Due
- BAIPermit Fee Interest Due
- BAJTotal Permit Fee Due
- BAKFranchise Tax
- BALUnclaimed Franchise Tax Credit
- BAMNet Franchise Tax Due
- BANFranchise Tax Penalty Due
- BAOTotal Franchise Tax Due
- BAPTotal Amount Due
- BAQOverpayment
- BARAmount to be Refunded
- BASGross In-State Receipts
- BATGross Receipts
- BAUOccupation Fee
- BAVTotal Assessed Value
- BAWTotal Value of All Property
- BAXValue of In-State Property
- BAYTotal Value of Out-of-State Property
- BAZTotal Par Value
- BBATotal Assessable Capital Stock
- BBBApportioned Value
- BBCEstimated In-State Real Property Value
- BBDPar Value of In-State Assets
- BBEIn-State Business Revenue
- BBFSubscription Price
- BBGValue of Authorized Shares
- FBAFinal Balance
- LOWLower Fund
- PCCPrior Contract Cost Basis
- PCSPrior Contract Surrender Charge
- PCVPrior Contract Value
- SOFSetoff
- UPFUpper Fund
- VESVested/Earned Upper Fund
Code qualifying how to extend charges or interpret value
Codes (163)- AAPercent Of Amount Advanced
- ABAccelerated
- ACPercent Of Amount Of Collection
- ADAddition
- AEPercent of Outstanding Principal Balance
- AFPercent of Original Principal Balance
- AVAd Valorum (Per Cent of Value)
- B0Per Board Feet
- B1Per 100 Board Feet
- BFPer 1,000 Board Feet
- BLBill of Lading Declared Value
- BRPer Barrel
- C5Per 50 Cubic Feet
- CECeiling
- CFPer 40 Cubic Feet (Measurement Ton)
- CMPer Cubic Meter
- COCost per Unit
- CPComputer Units
- CSPer Special Charge
- CTCharge or Credit Based on Percentage of Total
- CWPer Hundred Weight
- DDDepartment of Defense Unique Codes
- DEDecrease
- DIDivisor
- DPPer $1000
- DRPer Dromedary Service Shipment
- DSPer Hundredweight Per Mile Per Dromedary Service Shipment
- DVPer Day Per Vehicle
- EIEx Parte Increase
- ERPer Each Request
- FAFloor
- FBFull
- FCFlat Charge
- FFPercent Of Tariff Rate
- FIFirst
- FLPer Flat Bed
- FNPer Two Weeks
- FRFlat Rate
- FTPer Foot
- FVLoaded to Full Visible Capacity
- GTPer Gross Ton
- HDPer Hundredweight Per Dromedary Service Shipment
- HMRate Per Hundred Weight Per Mile
- HNPer Half Month
- HXHundredweight Per Day
- HYPer Half Year
- IAIncrease
- IMIntermodal Unit
- INPer Inch
- KGPer Kilograms
- KLPer Kiloliter
- KPPer Kilometer
- KTPer Kilotons
- LAPer Pound Per Article
- LBPer Pound
- LFPer Loaded 436L Pallet
- LILiability per Pound per Piece
- LLLife of Loan
- LPPer Label
- LRPer Litre
- LSLump Sum
- LTPer Long Ton
- LVPer Pound Per Vehicle
- MAMinimum per Service
- MBPer Mile per Service
- MCMinimum Per Car
- MDPer Man Per Day
- MEMultiple Equipment
- MFMaximum
- MGMiles Per Week Per Driver
- MHPer Man Per Hour
- MINegative Charge
- MMPer Metric Ton (Tonne)
- MNMinimum
- MOPer Month
- MPMaximum Per Shipment
- MRPer Mile Per Vehicle Used Per Round Trip
- MSMinimum Per Shipment
- MTPer Permit
- MUMultiplier
- MVPer Mile Per Vehicle (Rail Car) Moved
- MWMinimum Per Vehicle
- MXMixed Shipment Rule
- NANegative
- NBNonamortizing
- NDMinimum Per Driver
- NENet Package Charge
- NMPer Mile Per Person
- NPMinimum Per Day Per Person
- NVMinimum Per Day Per Vehicle
- OPOptional Value
- OSPer Season
- OTOne-Time Charge
- P0Per Year per Square Foot
- P1Per Advancement
- P8Potential
- P9Partial
- PAPer Container
- PBPer Barge
- PCPer Car
- PDPer Day
- PEPer 20 Foot Equivalent (TEU)
- PFPer Cubic Foot
- PGPer Gallon
- PHPer Hundred (of Basic Unit)
- PIHourly Rate Per Vehicle
- PJProjected
- PKPer Cord
- PLPer Load
- PMPer Mile
- PNPer Night
- POPositive
- PPPer Piece
- PQPer Period
- PRPer Hour
- PSPer Shipment
- PTPer Net Ton
- PUPer Unit
- PVPer Vehicle
- PWPercentage of Charges
- PXPayment
- PYPer Gallon Per Mile
- PZPer Package Charge
- QYPer Quarter Year
- RARate per Thousand
- RBRate per Hundred
- RCRate
- RLPer Relocation
- RPPercent Of Rate
- RTPer Vehicle Used Per Round Trip
- S0Per 1000 Square Feet
- S1Per 100 Square Feet
- SASubtraction
- SBSubsequent
- SCPer Stencil
- SDShipper's Export Declaration Value
- SESecond
- SFPer Square Feet
- SGStated
- SHScheduled
- SPPer Stop
- STPer Short Ton
- SUPer Stack Car Unit
- SYSquare Yard
- TBPer 2 Trailers Same Day
- TCPer 3 Trailers Same Day
- TDPer 4 Trailers Same Day
- TNPer Train Rate
- TPPer Tag
- TRPer Trailer (Per Train)
- VAPer Vehicle Moved
- VHPer Vehicle Used
- VMVolume
- VPMaximum Per Vehicle
- VRPer Rail Car Used
- VSVarious
- VTPer Mile per Vehicle
- VUPer Mile Per Vehicle (Rail Car) Used
- VVPer Vehicle per State
- WKPer Week
- WMWeight or Measurement
- XPMaximum Per Person
- YRPer Year
Code qualifying the Reference Identification
Codes (1503)- 10Account Managers Code
- 11Account Number
- 12Billing Account
- 13Horizontal Coordinate
- 14Master Account Number
- 15Vertical Coordinate
- 16Military Interdepartmental Purchase Request (MIPR) Number
- 17Client Reporting Category
- 18Plan Number
- 19Division Identifier
- 20Repair Part Number
- 21American Gas Association Equation Number
- 22Special Charge or Allowance Code
- 23Client Number
- 24Short-term Disability Policy Number
- 25Reason Not Lowest Cost Code
- 26Union Number
- 27Insuror Pool Identification Number
- 28Employee Identification Number
- 29Foreclosure Account Number
- 30Visa Immigrant
- 31Docket Number
- 32Credit Repository Code
- 33Lender Case Number
- 34Loan Request Number
- 35Multifamily Project Number
- 36Underwriter Identification Number
- 37Condominium Identification Number
- 38Master Policy Number
- 39Proposal Number
- 40Lease Schedule Number - Replacement
- 41Lease Schedule Number - Prior
- 42Phone Calls
- 43Supporting Document Number
- 44End Use Number
- 45Old Account Number
- 46Old Meter Number
- 47Plate Number
- 48Agency's Student Number
- 49Family Unit Number
- 50State Student Identification Number
- 51Picture Number
- 52SWIFT (MT 100)
- 53SWIFT (MT 202)
- 54FEDWIRE (Federal Wire Transfer)
- 55Sequence Number
- 56Corrected Social Security Number
- 57Prior Incorrect Social Security Number
- 58Corrected Batch Number
- 59Prior Incorrect Batch Number
- 60Account Suffix Code
- 61Taxing Authority Identification Number
- 63Prior Loan Number
- 64Jurisdictional Community Name Identifier
- 65Total Order Cycle Number
- 66Previous Policy Number
- 67Previous Claim History Identifier
- 68Dental Insurance Account Number
- 69Dental Insurance Policy Number
- 70Calendar Number
- 71(Working) Shift Number
- 72Schedule Reference Number
- 73Statement of Work (SOW)
- 74Work Breakdown Structure (WBS)
- 75Organization Breakdown Structure
- 76Milestone
- 77Work Package
- 78Planning Package
- 79Cost Account
- 80Charge Number
- 81Symbol Number (for Milestone or LOB reports)
- 82Data Item Description (DID) Reference
- 83Extended (or Exhibit) Line Item Number (ELIN)
- 84Contractor Data Requirements List (CDRL)
- 85Subcontractor Data Requirements (SDRL)
- 86Operation Number
- 87Functional Category
- 88Work Center
- 89Assembly Number
- 90Subassembly Number
- 91Cost Element
- 92Change Document Number
- 93Funds Authorization
- 94File Identification Number
- 95Committee on Uniform Security Identification Procedures (CUSIP) Number
- 96Stock Certificate Number
- 97Package Number
- 98Container/Packaging Specification Number
- 99Rate Conference ID Code
- 01American Bankers Assoc. (ABA) Transit/Routing Number (Including Check Digit, 9 Digits)
- 02Society for Worldwide Interbank Financial Telecommunication (S.W.I.F.T.) Identification (8 or 11 Characters)
- 03Clearing House Interbank Payment System (CHIPS) Participant Number (3 or 4 Digits)
- 04Canadian Financial Institution Branch and Institution Number
- 05Clearing House Interbank Payment System (CHIPS) User Identification (6 digits)
- 06System Number
- 07Add-On System Number
- 08Carrier Assigned Package Identification Number
- 09Customs Bar Code Number
- 0ASupervisory Appraiser Certification Number
- 0BState License Number
- 0DSubject Property Verification Source
- 0ESubject Property Reference Number
- 0FSubscriber Number
- 0GReviewer File Number
- 0HComparable Property Pending Sale Reference Number
- 0IComparable Property Sale Reference Number
- 0JSubject Property Non-Sale Reference Number
- 0KPolicy Form Identifying Number
- 0LReferenced By
- 0MMortgage Identification Number
- 0NAttached To
- 0PReal Estate Owned Property Identifier
- 1ABlue Cross Provider Number
- 1BBlue Shield Provider Number
- 1CMedicare Provider Number
- 1DMedicaid Provider Number
- 1EDentist License Number
- 1FAnesthesia License Number
- 1GProvider UPIN Number
- 1HCHAMPUS Identification Number
- 1IDepartment of Defense Identification Code (DoDIC)
- 1JFacility ID Number
- 1KPayor's Claim Number
- 1LGroup or Policy Number
- 1MPreferred Provider Organization Site Number
- 1NDiagnosis Related Group (DRG) Number
- 1OConsolidation Shipment Number
- 1PAccessorial Status Code
- 1QError Identification Code
- 1RStorage Information Code
- 1SAmbulatory Patient Group (APG) Number
- 1TResource Utilization Group (RUG) Number
- 1UPay Grade
- 1VRelated Vendor Order Number
- 1WMember Identification Number
- 1XCredit or Debit Adjustment Number
- 1YRepair Action Number
- 1ZFinancial Detail Code
- 2AImport License Number
- 2BTerminal Release Order Number
- 2CLong-term Disability Policy Number
- 2DAeronautical Equipment Reference Number (AERNO)
- 2EForeign Military Sales Case Number
- 2FConsolidated Invoice Number
- 2GAmendment
- 2HAssigned by transaction set sender
- 2ITracking Number
- 2JFloor Number
- 2KFood and Drug Administration (FDA) Product Type
- 2LAssociation of American Railroads (AAR) Railway Accounting Rules
- 2MFederal Communications Commission (FCC) Identifier
- 2NFederal Communications Commission (FCC) Trade/Brand Identifier
- 2OOccupational Safety and Health Administration (OSHA) Claim Number
- 2PSubdivision Identifier
- 2QFood and Drug Administration (FDA) Accession Number
- 2RCoupon Redemption Number
- 2SCatalog
- 2TSub-subhouse Bill of Lading
- 2UPayer Identification Number
- 2VSpecial Government Accounting Classification Reference Number (ACRN)
- 2WChange Order Authority
- 2XSupplemental Agreement Authority
- 2YWage Determination
- 2ZU.S. Customs and Border Protection (CBP) Anti-dumping Duty Case Number
- 3ASection of the National Housing Act Code
- 3BSupplemental Claim Number
- 3CPayee Loan Number
- 3DServicer Loan Number
- 3EInvestor Loan Number
- 3FShow Identification
- 3GCatastrophe Number
- 3HCase Number
- 3IPrecinct Number
- 3JOffice Number
- 3KPetroleum Pool Code
- 3LBranch Identifier
- 3MFederal Communications Commission (FCC) Condition Code
- 3NGas Custodian Identification
- 3OU.S. Customs and Border Protection (CBP) Pre-approval Ruling Number
- 3PThird Party Originator Number
- 3QFood and Drug Administration (FDA) Product Code
- 3RU.S. Customs and Border Protection (CBP) Binding Ruling Number
- 3SProvincial (Canadian) Sales Tax Exemption Number
- 3TU.S. Customs and Border Protection (CBP) Pre-classification Ruling Number
- 3UProtraction Number
- 3VFormation Identifier
- 3WU.S. Customs and Border Protection (CBP) Commercial Description
- 3XSubcontract Number
- 3YReceiver Assigned Drop Zone
- 3ZCustoms Broker Reference Number
- 4APersonal Identification Number (PIN)
- 4BShipment Origin Code
- 4CShipment Destination Code
- 4DShipping Zone
- 4ECarrier-assigned Consignee Number
- 4FCarrier-assigned Shipper Number
- 4GProvincial Tax Identification
- 4HCommercial Invoice Number
- 4IBalance-due Reference Number
- 4JVehicle-related Services Reference Number
- 4KAccessorial Rail Diversion Reference Number
- 4LLocation-specific Services Reference Number
- 4MSpecial Move Reference Number
- 4NSpecial Payment Reference Number
- 4OCanadian Goods & Services or Quebec Sales Tax Reference Number
- 4PAffiliation Number
- 4QCall Sign
- 4RRule Section
- 4SPreferred Call Sign
- 4TNorth American Datum Standard (NADS)
- 4UMarket Area
- 4VEmission Designator
- 4WStudy
- 4XLog
- 4YSubhouse Bill of Lading
- 4ZU.S. Customs and Border Protection (CBP) Countervailing Duty Case Number
- 5AOffense Tracking
- 5BSupplemental Account Number
- 5CCongressional District
- 5DLine of Credit Category
- 5EConsumer Identifier
- 5FWarrant
- 5GComplaint
- 5HIncident
- 5IOffender Tracking
- 5JDriver's License
- 5KCommercial Driver's License
- 5LJurisdictional Community Number
- 5MPrevious Sequence
- 5NCitation of Statute
- 5OCitation of Opinion
- 5PNational Criminal Information Center Originating Agency Identification
- 5QState Criminal History Repository Individual Identification
- 5RFederal Bureau of Investigation Individual Identification
- 5SProcessing Area
- 5TPayment Location
- 5UFlood Data Identifier
- 5VCoupon Distribution Method
- 5WOriginal Uniform Commercial Code Filing Number
- 5XAmended Uniform Commercial Code Filing Number
- 5YContinuation Uniform Commercial Code Filing Number
- 5ZUniform Commercial Code Filing Collateral Number
- 6AConsignee Reference Number
- 6BU.S. Customs and Border Protection (CBP) Entry Number
- 6CU.S. Customs and Border Protection (CBP) Entry Type Code
- 6DU.S. Customs and Border Protection (CBP) Statement Number
- 6EMap Reference
- 6FAppraiser License
- 6GMap Number
- 6HComparable Property Verification Source
- 6IComparable Property
- 6JCensus Tract
- 6KZone
- 6LAgent Contract Number
- 6MApplication Number
- 6NClaimant Number
- 6OCross Reference Number
- 6PGroup Number
- 6QInsurance License Number
- 6RProvider Control Number
- 6SProvider Order Ticket Number
- 6TPilot License Number
- 6UQuestion Number
- 6VReissue Cession Number
- 6WEnhanced Driver’s License
- 6XSpecimen Identifier
- 6YEquipment Initial
- 6ZSecretaria de Comercia y Famenta Industrial (SECOFI) Number
- 7APurchase Order Number Included in On-Order Position
- 7BPurchase Order Number of Shipment Received since Last Reporting Date
- 7CPurchase Order Number of Order Received since Last Reporting Date
- 7DTester Identification
- 7ECollector Identification
- 7FRepeat Location
- 7GData Quality Reject Reason
- 7HEnvironmental Protection Agency (EPA) Test Type Purpose Code
- 7ISubscriber Authorization Number
- 7JToll Billing Telephone Reference Number
- 7KList of Materials
- 7LQualified Materials List
- 7MFrame
- 7NPiggyback
- 7OTripleback
- 7PSheet
- 7QEngineering Change Order
- 7RRepresentative Identification Number
- 7SDrawing Type
- 7TMaster Contract
- 7URelated Transaction Reference Number
- 7WInterchange Train Identification
- 7XHome Mortgage Disclosure Act (HMDA) State Code
- 7YHome Mortgage Disclosure Act (HMDA) County Code
- 7ZHome Mortgage Disclosure Act (HMDA) Metropolitan Statistical Area (MSA)
- 8AHealth Maintenance Organization (HMO) Authorization Number
- 8BPreferred Provider Organization (PPO) Authorization Number
- 8CThird-party Organization (TPO) Authorization Number
- 8DChemical Abstract Service Registry Number
- 8EGuarantor Loan Number
- 8FSchool Loan Number
- 8GAutomated Clearinghouse (ACH) Trace Number
- 8HCheck List Number
- 8IFEDWIRE Confirmation Number
- 8JSociety for Worldwide Interbank Financial Telecommunications (SWIFT) Confirmation Number
- 8KDominion of Canada Code
- 8LInternational Standard Industry Classification Code (ISIC)
- 8MOriginating Company Identifier
- 8NReceiving Company Identifier
- 8OAutomated Clearing House (ACH) Entry Description
- 8POriginating Depository Financial Institution Identifier
- 8QReceiving Depository Financial Institution Identifier
- 8RSecurity Type
- 8SBroker Identification
- 8UBank Assigned Security Identifier
- 8VCredit Reference
- 8WBank to Bank Information
- 8XTransaction Category or Type
- 8YSafekeeping Account Number
- 8ZAlternate Clause Number
- 9ARepriced Claim Reference Number
- 9BRepriced Line Item Reference Number
- 9CAdjusted Repriced Claim Reference Number
- 9DAdjusted Repriced Line Item Reference Number
- 9EReplacement Claim Number
- 9FReferral Number
- 9GDepartment of Defense Form 250 Requirement Code
- 9HPackaging Group Number
- 9IAutomated Clearing House (ACH) Standard Entry Class
- 9JPension Contract
- 9KServicer
- 9LService Bureau
- 9MClearing House Interbank Payments System (CHIPS) Sequence Number
- 9NInvestor
- 9PLoan Type
- 9QPool Suffix
- 9RJob Order Number
- 9SDelivery Region
- 9TTenor
- 9ULoan Feature Code
- 9VPayment Category
- 9WPayer Category
- 9XAccount Category
- 9YBank Assigned Bankers Reference Number
- 9ZChamber of Commerce Number
- A0Advertiser Number
- A1Analysis number/Test number
- A2Disability Insurance Account Number
- A3Assignment Number
- A4Disability Insurance Policy Number
- A5Educational Institution Identification Number
- A6Provider Identifier
- A7Flexible Spending Account (FSA) Insurance Account Number
- A8Tax Advantage Account Health Insurance Policy Number
- A9Health Insurance Account Number
- AAAccounts Receivable Statement Number
- ABAcceptable Source Purchaser ID
- ACAir Cargo Transfer Manifest
- ADAcceptable Source DUNS Number
- AEAuthorization for Expense (AFE) Number
- AFAirlines Flight Identification Number
- AGAgent's Shipment Number
- AHAgreement Number
- AIAssociated Invoices
- AJAccounts Receivable Customer Account
- AKSending Company Audit Number (Automated Clearinghouse Transfers)
- ALAccounting (Equipment) Location Number
- AMAdjustment Memo (Charge Back)
- ANAssociated Purchase Orders
- AOAppointment Number
- APAccounts Receivable Number
- AQAccess Code
- ARArrival Code
- ASAcceptable Source Supplier ID
- ATAppropriation Number
- AUAuthorization to Meet Competition Number
- AVHealth Insurance Rating Account Number
- AWAir Waybill Number
- AXGovernment Accounting Class Reference Number (ACRN)
- AYFloor Plan Approval Number
- AZHealth Insurance Policy Number
- B1Lessee Bill Code Number
- B2Axle Ratio
- B3Preferred Provider Organization Number
- B4Bilateral Car Service Agreements
- B5Health Insurance Rating Suffix Code
- B6Life Insurance Billing Account Number
- B7Life Insurance Policy Number
- B8Life Insurance Billing Suffix Code
- B9Retirement Plan Account Number
- BARetirement Plan Policy Number
- BBAuthorization Number
- BCBuyer's Contract Number
- BDBid Number
- BEBusiness Activity
- BFBilling Center Identification
- BGBeginning Serial Number
- BHLease Schedule Number - Blanket
- BIBonded Carrier Internal Revenue Service Identification Number
- BJCarrier's Customs Bond Number
- BKBroker's Order Number
- BLGovernment Bill of Lading
- BMBill of Lading Number
- BNBooking Number
- BOBin Location Number
- BPAdjustment Control Number
- BQHealth Maintenance Organization Code Number
- BRBroker or Sales Office Number
- BSSplit Booking Number
- BTBatch Number
- BUBuyer's Approval Mark
- BVPurchase Order Line Item Identifier (Buyer)
- BWBlended With Batch Number
- BXBuyer's Shipment Mark Number
- BYRepair Category Number
- BZComplaint Code
- C0Canadian Social Insurance Number
- C1Customer material specification number
- C2Customer process specification number
- C3Customer specification number
- C4Change Number
- C5Customer Tracking Number For Loaned Materials
- C6Carnet Number
- C7Contract Line Item Number
- C8Corrected Contract Number
- C9Previous Credit/Debit Adjustment Number
- CACost Allocation Reference
- CBCombined Shipment
- CCContract Co-op Number
- CDCredit Note Number
- CEClass of Contract Code
- CFFleet Reference Number
- CGConsignee's Order Number
- CHCustomer Catalog Number
- CIUnique Consignment Identifier
- CJClause Number
- CKCheck Number
- CLSeller's Credit Memo
- CMBuyer's Credit Memo
- CNCarrier's Reference Number (PRO/Invoice)
- COCustomer Order Number
- CPCondition of Purchase Document Number
- CQCustomshouse Broker License Number
- CRCustomer Reference Number
- CSCondition of Sale Document Number
- CTContract Number
- CUClear Text Clause
- CVCoil Number
- CWCanadian Wheat Board Permit Number
- CXConsignment Classification ID
- CYCommercial Registration Number
- CZContract Rider Number (Used in conjunction with contract number)
- D0Data Reliability Code
- D1Drug Enforcement Administration Order Blank Number
- D2Supplier Document Identification Number
- D3National Council for Prescription Drug Programs Pharmacy Number
- D4Cut Number
- D5Dye Lot Number
- D6Duplicate Bill Number
- D7Coverage Code
- D8Loss Report Number
- D9Claim Number
- DADomicile Branch Number
- DBBuyer's Debit Memo
- DCDealer purchase order number
- DDDocument Identification Code
- DEDepositor Number
- DFDefense Federal Acquisition Regulations (DFAR)
- DGDrawing Number
- DHDrug Enforcement Administration Number
- DIDistributor Invoice Number
- DJDelivery Ticket Number
- DKDock Number
- DLSeller's Debit Memo
- DMAssociated Product Number
- DNDraft Number
- DODelivery Order Number
- DPDepartment Number
- DQDelivery Quote Number
- DRDock Receipt Number
- DSDefense Priorities Allocation System (DPAS) Priority Rating
- DTDownstream Shipper Contract Number
- DUDependents Information
- DVDiversion Authority Number
- DWDeposit Sequence Number
- DXDepartment/Agency Number
- DYDepartment of Defense Transportation Service Code Number (Household Goods)
- DZCertified Registered Nurse Anesthetist (CRNA) Provider Identification Number
- E1Emergency Order Number
- E2Part Causing Repair Number
- E3Expansion on Effect of Change Number
- E4Charge Card Number
- E5Claimant's Claim Number
- E6Backout Procedure Code
- E7Service Bulletin Number
- E8Service Contract (Coverage) Number
- E9Attachment Code
- EAMedical Record Identification Number
- EBEmbargo Permit Number
- ECCircular
- EDExport Declaration
- EEElection District
- EFElectronic Funds Transfer ID Number
- EGEnding Serial Number
- EHFinancial Classification Code
- EIEmployer’s Identification Number
- EJPatient Account Number
- EKHealthcare Manpower Shortage Area (HMSA) Facility Identification Number
- ELElectronic device pin number
- EMElectronic Payment Reference Number
- ENEmbargo Number
- EOSubmitter Identification Number
- EPExport Permit Number
- EQEquipment Number
- ERContainer or Equipment Receipt Number
- ESEmployer's Social Security Number
- ETExcess Transportation
- EUEnd User's Purchase Order Number
- EVReceiver Identification Number
- EWMammography Certification Number
- EXEstimate Number
- EYReceiver Sub-identification Number
- EZElectronic Data Interchange Agreement Number
- F1Version Code - National
- F2Version Code - Local
- F3Submission Number
- F4Facility Certification Number
- F5Medicare Version Code
- F6Health Insurance Claim (HIC) Number
- F7New Health Insurance Claim (HIC) Number
- F8Original Reference Number
- F9Freight Payor Reference Number
- FAFederal Acquisition Regulations (FAR)
- FBFile Transfer Form Number
- FCFiler Code Issued by Customs
- FDFiler Code Issued by Bureau of Census
- FEFailure mechanism number
- FFFilm Number
- FGFund Identification Number
- FHClinic Number
- FIFile Identifier
- FJLine Item Control Number
- FKFinish Lot Number
- FLFine Line Classification
- FMFederal Maritime Commission (FMC) Forwarders Number
- FNForwarder's/Agent's Reference Number
- FODrug Formulary Number
- FPForestry Permit Number
- FQForm Number
- FRFreight Bill Number
- FSFinal Sequence Number
- FTForeign Trade Zone
- FUFund Code
- FVHealth Maintenance Organization (HMO) Reference Number
- FWState License Identification Number
- FXFailure Analysis Report Number
- FYClaim Office Number
- FZProcessor's Invoice Number
- G1Prior Authorization Number
- G2Provider Commercial Number
- G3Predetermination of Benefits Identification Number
- G4Peer Review Organization (PRO) Approval Number
- G5Provider Site Number
- G6Payer Assigned Resubmission Reference Number
- G7Resubmission Reason Code
- G8Resubmission Number
- G9Secondary Employee Identification Number
- GAGovernment Advance Progress
- GBGrain Block Number
- GCGovernment Contract Number
- GDReturn Goods Bill of Lading Number
- GEGeographic Number
- GFSpecialty License Number
- GGGauge Ticket Number
- GHIdentification Card Serial Number
- GISecondary Provider Number
- GJCornbore Certification Number
- GKThird Party Reference Number
- GLGeographic Destination Zone Number
- GMLoan Acquisition Number
- GNFolder Number
- GOExhibit Identifier
- GPGovernment Priority Number
- GQInternal Purchase Order Release Number
- GRGrain Order Reference Number
- GSGeneral Services Administration Regulations (GSAR)
- GTGoods and Service Tax Registration Number
- GUInternal Purchase Order Item Number
- GVThird Party Purchase Order Number
- GWThird Party Purchase Order Release Number
- GXThird Party Purchase Order Item Number
- GYEmpty Repositioning Number
- GZGeneral Ledger Account
- H1High Fabrication Authorization Number
- H2High Raw Material Authorization Number
- H3Gravity Source Meter Number
- H4
- H5Special Clause
- H6Quality Clause
- H7Standard Clause
- H8Home Mortgage Disclosure Act (HMDA) Census Tract
- H9Payment History Reference Number
- HACompetent Authority
- HBBill & Hold Invoice Number
- HCHeat Code
- HDDepartment of Transportation Hazardous Number
- HEHazardous Exemption Number
- HFEngineering Data List
- HGCivil Action Number
- HHFiscal Code
- HIHealth Industry Number (HIN)
- HJIdentity Card Number
- HKJudgment Number
- HLSIREN Number
- HMSIRET Number
- HNHazardous Certification Number
- HOShipper's Hazardous Number
- HPPack & Hold Invoice Number
- HQReinsurance Reference
- HRHorsepower
- HSHarmonized Code System (Canada)
- HTCode of Federal Regulations
- HUType of Escrow Number
- HVEscrow File Number
- HWHigh/Wide File Number
- HXAuto Loss Item Number
- HYProperty Loss Item Number
- HZTax Agency Number (MERS [Mortgage Electronic Registration System] Federal Information Processing Standards [FIPS] Based Number)
- I1Owning Bureau Identification Number
- I2Interstate Commerce Commission (ICC) Account Number
- I3Non-American Identification Number
- I4Credit Counseling Identification Number
- I5Invoice Identification
- I7Credit Report Number
- I8
- I9Pollutant
- IAInternal Vendor Number
- IBIn Bond Number
- ICInbound-to Party
- IDInsurance Certificate Number
- IEInterchange Agreement Number
- IFIssue Number
- IGInsurance Policy Number
- IHInitial Dealer Claim Number
- IIInitial Sample Inspection Report Number
- IJStandard Industry Classification (SIC) Code
- IKInvoice Number
- ILInternal Order Number
- IMIntergovernmental Maritime Organization (IMO) Number
- INConsignee's Invoice Number
- IOInbound-to or Outbound-from Party
- IPInspection Report Number
- IQEnd Item
- IRIntra Plant Routing
- ISInvoice Number Suffix
- ITInternal Customer Number
- IUBarge Permit Number
- IVSeller's Invoice Number
- IWPart Interchangeability
- IXItem Number
- IZInsured Parcel Post Number
- J0Proceeding
- J1Creditor
- J2Attorney
- J3Judge
- J4Trustee
- J5Originating Case
- J6Adversary Case
- J7Lead Case
- J8Jointly Administered Case
- J9Substantively Consolidated Case
- JABeginning Job Sequence Number
- JBJob (Project) Number
- JCReview
- JDUser Identification
- JEEnding Job Sequence Number
- JFAutomated Underwriting Reference Number
- JHTag
- JIMultiple Listing Service Area
- JKMultiple Listing Service Sub-area
- JLPacket
- JMMultiple Listing Service Map X Coordinate
- JNMultiple Listing Service Map Y Coordinate
- JOMultiple Listing Number
- JPMultiple Listing Service Book Type
- JQElevation
- JRProperty Component Location
- JSJob Sequence Number
- JTPrior Tax Identification Number (TIN)
- JUPrior Phone Number
- JVPrior Health Industry Number
- JWPrior Universal Provider Identification Number (UPIN)
- JXPrior Postal Zip Code
- JYOrigin of Shipment Harmonized-Based Code
- JZGoverning Class Code
- K0Approval Code
- K1Foreign Military Sales Notice Number
- K2Certified Mail Number
- K3Registered Mail Number
- K4Criticality Designator
- K5Task Order
- K6Purchase Description
- K7Paragraph Number
- K8Project Paragraph Number
- K9Inquiry Request Number
- KADistribution List
- KBBeginning Kanban Serial Number
- KCExhibit Distribution List
- KDSpecial Instructions Number
- KEEnding Kanban Serial Number
- KGForeclosing Status
- KHType of Law Suit
- KIType of Outstanding Judgment
- KJTax Lien Jurisdiction
- KKDelivery Reference
- KLContract Reference
- KMRental Account Number
- KNCensus Automated Files ID
- KOCustoms Drawback Entry Number
- KPHealth Certificate Number
- KQProcuring Agency
- KRResponse to a Request for Quotation Reference
- KSSolicitation
- KTRequest for Quotation Reference
- KUOffice Symbol
- KVDistribution Statement Code
- KWCertification
- KXRepresentation
- KYSite Specific Procedures, Terms, and Conditions
- KZMaster Solicitation Procedures, Terms, and Conditions
- L1Letters or Notes
- L2Location on Product Code
- L3Labor Operation Number
- L4Proposal Paragraph Number
- L5Subexhibit Line Item Number
- L6Subcontract Line Item Number
- L7Customer's Release Number
- L8Consignee's Release Number
- L9Customer's Part Number
- LAShipping Label Serial Number
- LBLockbox
- LCLease Number
- LDLoan Number
- LELender Entity Number
- LFAssembly Line Feed Location
- LGLease Schedule Number
- LHLongitude Expressed in Seconds
- LILine Item Identifier (Seller's)
- LJLocal Jurisdiction
- LKLongitude expressed in Degrees, Minutes and Seconds
- LLLatitude Expressed in Seconds
- LMProduct Period for which Labor Costs are Firm
- LNNon Pickup Limited Tariff Number
- LOLoad Planning Number
- LPFor Pickup Limited Freight Tariff Number
- LQLatitude Expressed in Degrees, Minutes and Seconds
- LRLocal Student Identification Number
- LSBar-Coded Serial Number
- LTLot Number
- LULocation Number
- LVLicense Plate Number
- LWLocation Within Equipment
- LXQualified Products List
- LYDestination of Shipment Harmonized-Based Code
- LZLender Account Number
- M1Material Storage Location
- M2Major Force Program
- M3Crop Year
- M5Lease Agreement Amendment Number - Master
- M6Military Ordnance Security Risk Number
- M7Medical Assistance Category
- M8Limited Partnership Identification Number
- M9Tax Shelter Number
- MAShip Notice/Manifest Number
- MBMaster Bill of Lading
- MCMicrofilm Number
- MDMagazine Code
- MEMessage Address or ID
- MFManufacturers Part Number
- MGMeter Number
- MHManufacturing Order Number
- MIMill Order Number
- MJModel Number
- MKManifest Key Number
- MLMilitary Rank/Civilian Pay Grade Number
- MMMaster Lease Agreement Number
- MNMICR Number
- MOManufacturing Operation Number
- MPMultiple P.O.s of an Invoice
- MQMeter Proving Report Number
- MRMerchandise Type Code
- MSManufacturer's Material Safety Data Sheet Number
- MTMeter Ticket Number
- MUMilitary Specification (MILSPEC) Number
- MVMigrant Number
- MWMilitary Call Number
- MXMaterial Change Notice Number
- MYModel year number
- MZMaintenance Request Number
- N0Nomination Number
- N1Local School Course Number
- N2Local School District Course Number
- N3Statewide Course Number
- N4United States Department of Education, National Center for Education Statistics (NCES) Course Number
- N5Provider Plan Network Identification Number
- N6Plan Network Identification Number
- N7Facility Network Identification Number
- N8Secondary Health Insurance Identification Number
- N9Data Authentication Number
- NANorth American Hazardous Classification Number
- NBLetter of Credit Number
- NCSecondary Coverage Company Number
- NDLetter of Credit Draft Number
- NELease Rider Number
- NFNational Association of Insurance Commissioners (NAIC) Code
- NGNatural Gas Policy Act Category Code
- NHRate Card Number
- NIMilitary Standard (MIL-STD) Number
- NJTechnical Document Number
- NKPrior Case
- NLTechnical Order Number
- NMDiscounter Registration Number
- NNNonconformance Report Number
- NONo OT5 Authority-zero Mileage Rate
- NPPartial Payment Number
- NQMedicaid Recipient Identification Number
- NRProgress Payment Number
- NSNational Stock Number
- NTAdministrator's Reference Number
- NUPending Case
- NWAssociated Policy Number
- NXRelated Nonconformance Number
- NYAgent Claim Number
- NZCritical Application
- O1Outer Continental Shelf Area Code
- O2Outer Continental Shelf Block Number
- O5OT5 Authority-Condition or Restriction on Car Hire Rate
- O7On-line Procurement and Accounting Control (OPAC) Transaction
- O8Original Filing
- O9Continuation Filing
- OAOutlet Number
- OBOcean Bill of Lading
- OCOcean Container Number
- ODOriginal Return Request Reference Number
- OEOpen and Prepaid Station List Number
- OFOperator Identification Number
- OGTermination Filing
- OHOrigin House
- OIOriginal Invoice Number
- OJAmendment Filing
- OKOffer Group
- OLOriginal Shipper's Bill of Lading Number
- OMOcean Manifest
- ONDealer Order Number
- OPOriginal Purchase Order
- OQOrder Number
- OROrder/Paragraph Number
- OSOutbound-from Party
- OTSales Allowance Number
- OUTariff Supplement Number
- OVTariff Suffix Number
- OWService Order Number
- OXStatement Number
- OZProduct Number
- P1Previous Contract Number
- P2Previous Drug Enforcement Administration Number
- P3Previous customer reference number
- P4Project Code
- P5Position Code
- P6Pipeline Number
- P7Product Line Number
- P8Pickup Reference Number
- P9Page Number
- PAPrice Area Number
- PBPayer's Financial Institution Account Number for Check, Draft, or Wire Payments; Originating Company Account Number for ACH Transfers
- PCProduction Code
- PDPromotion/Deal Number
- PEPlant Number
- PFPrime Contractor Contract Number
- PGProduct Group
- PHPriority Rating
- PIPrice List Change or Issue Number
- PJPacker Number
- PKPacking List Number
- PLPrice List Number
- PMPart Number
- PNPermit Number
- POPurchase Order Number
- PPPurchase Order Revision Number
- PQPayee Identification
- PRPrice Quote Number
- PSPurchase Order Number Suffix
- PTPurchase Option Agreement
- PUPrevious Bill of Lading Number
- PVProduct change information number
- PWPrior purchase order number
- PXPrevious Invoice Number
- PYPayee's Financial Institution Account Number for Check, Draft or Wire Payments; Receiving Company Account Number for ACH Transfer
- PZProduct Change Notice Number
- Q1Quote Number
- Q2Starting Package Number
- Q3Ending Package Number
- Q4Prior Identitifier Number
- Q5Property Control Number
- Q6Recall Number
- Q7Receiver Claim Number
- Q8Registration Number
- Q9Repair Order Number
- QAPress Identifier
- QBPress Form Identifier
- QCProduct Specification Document Number
- QDReplacement Drug Enforcement Administration Number
- QEReplacement Customer Reference Number
- QFQuality Disposition Area Identifier
- QGReplacement Assembly Model Number
- QHReplacement Assembly Serial Number
- QIQuality Inspection Area Identifier
- QJReturn Material Authorization Number
- QKSales Program Number
- QLService Authorization Number
- QMQuality Review Material Crib Identifier
- QNStop Sequence Number
- QOService Estimate Number
- QPSubstitute Part Number
- QQUnit Number
- QRQuality Report Number
- QSWarranty Coverage Code
- QTWarranty Registration Number
- QUChange Verification Procedure Code
- QVMajor System Affected Code
- QWNew Part Number
- QXOld Part Number
- QYService Performed Code
- QZReference Drawing Number
- R0Regiristo Federal de Contribuyentes (Mexican Federal Tax ID Number)
- R1Current Revision Number
- R2Canceled Revision Number
- R3Correction Number
- R4Tariff Section Number
- R5Tariff Page Number
- R6Tariff Rule Number
- R7Accounts Receivable Open Item
- R8Rental Agreement Number
- R9Rejection Number
- RARepetitive Cargo Shipment Number
- RBRate code number
- RCRail Routing Code
- RDReel Number
- RERelease Number
- RFExport Reference Number
- RGRoute Order Number-Domestic
- RHRoute Order Number-Export
- RIRelease invoice number for prior bill and hold
- RJRoute Order Number-Emergency
- RKRack Type Number
- RLReserve Assembly Line Feed Location
- RMRaw material supplier Dun & Bradstreet number
- RNRun Number
- RORepetitive Booking Number
- RPRepetitive Pattern Code
- RQPurchase Requisition Number
- RRPayer's Financial Institution Transit Routing Number for Check, Draft or Wire Payments. Originating Depository Financial Institution Routing Number for ACH Transfers
- RSReturnable Container Serial Number
- RTPayee's Financial Institution Transit Routing Number for Check, Draft or Wire Payments. Receiving Depository Financial Institution Transit Routing Number for ACH Transfers
- RURoute Number
- RVReceiving Number
- RWRepetitive Waybill Code (Origin Carrier, Standard Point Location Code, Repetitive Waybill Code Number)
- RXResubmit number
- RYRebate Number
- RZReturned Goods Authorization Number
- S0Special Approval
- S1Engineering Specification Number
- S2Data Source
- S3Specification Number
- S4Shippers Bond Number
- S5Routing Instruction Number
- S6Stock Number
- S7Stack Train Identification
- S8Seal Off Number
- S9Seal On Number
- SASalesperson
- SBSales Region Number
- SCShipper Car Order Number
- SDSubday Number
- SESerial Number
- SFShip From
- SGSavings
- SHSender Defined Clause
- SIShipper's Identifying Number for Shipment (SID)
- SJSet Number
- SKService Change Number
- SLSales/Territory Code
- SMSales Office Number
- SNSeal Number
- SOShipper's Order (Invoice Number)
- SPScan Line
- SQContainer Sequence Number
- SRSales Responsibility
- SSSplit Shipment Number
- STStore Number
- SUSpecial Processing Code
- SVService Charge Number
- SWSeller's Sale Number
- SXService Interrupt Tracking Number
- SYSocial Security Number
- SZSpecification Revision
- T0Dealer Type Identification
- T1Tax Exchange Code
- T2Tax Form Code
- T3Tax Schedule Code
- T4Signal Code
- T5Trailer Use Agreements
- T6Tax Filing
- T7Affected Subsystem Code
- T8Description of Change Code
- T9Documentation Affected Number
- TATelecommunication Circuit Supplemental ID
- TBTrucker's Bill of Lading
- TCVendor Terms
- TDReason for Change
- TEFederal Maritime Commission (FMC) Tariff Number
- TFTransfer Number
- TGTransportation Control Number (TCN)
- THTransportation Account Code (TAC)
- TITIR Number
- TJFederal Taxpayer’s Identification Number
- TKTank Number
- TLTax License Exemption
- TMTravel Manifest (ACI or OTR)
- TNTransaction Reference Number
- TOTerminal Operator Number
- TPTest Specification Number Oxygen Flow Rate
- TQTracer Action Request Number
- TRGovernment Transportation Request
- TSTariff Number
- TTTerminal Code
- TUTrial Location Code
- TVLine of Business
- TWTax Worksheet
- TXTax Exempt Number
- TYPolicy Type
- TZTotal Cycle Number
- U0Consolidator's Receipt Number
- U1Regional Account Number
- U2Term
- U3Unique Supplier Identification Number (USIN)
- U4Unpaid Installment Reference Number
- U5Successor Account
- U6Predecessor Account
- U8Mortgage Backed Security (MBS) Loan Number
- U9Mortgage Backed Security (MBS) Pool Number
- UAMortgage Number
- UBUnacceptable Source Purchaser ID
- UCMortgage Insurance Indicator Number
- UDUnacceptable Source DUNS Number
- UESecondary Coverage Certificate Number
- UFMortgage Insurance Company Number
- UGU.S. Government Transportation Control Number
- UHRemoval Number
- UIPrevious Course Number
- UJCurrent or Latest Course Number
- UKEquivalent Course Number at Requesting Institution
- ULCross-listed Course Number
- UMQuarter Quarter Section Number
- UNUnited Nations Hazardous Classification Number
- UOQuarter Quarter Spot Number
- UPUpstream Shipper Contract Number
- UQSection Number
- URUnit Relief Number
- USUnacceptable Source Supplier ID
- UTUnit Train
- UUTownship Number
- UVRange Number
- UWState Senate District
- UXState Assembly District
- UYFederal National Mortgage Association (Fannie Mae) Loan Number
- UZState Legislative District
- V0Version
- V1Volume Purchase Agreement Number
- V2Visa Type
- V3Voyage Number
- V4State Department I-20 Form Number
- V5State Department IAP-66 Form Number
- V6North American Free Trade Agreement (NAFTA) Compliance Number
- V7Judicial District
- V8Institution Number
- V9Subservicer
- VAVessel Agent Number
- VBDepartment of Veterans Affairs Acquisition Regulations (VAAR)
- VCVendor Contract Number
- VDVolume Number
- VEVendor Abbreviation Code
- VFVendor Change Identification Code
- VGVendor Change Procedure Code
- VHCounty Legislative District
- VIPool Number
- VJInvestor Note Holder Identification
- VKInstitution Note Holder Identification
- VLThird Party Note Holder Identification
- VMWard
- VNVendor Order Number
- VOInstitution Loan Number
- VPVendor Product Number
- VQRelated Contract Line Item Number
- VRVendor ID Number
- VSVendor Order Number Suffix
- VTMotor Vehicle ID Number
- VUPreparer's Verification Number
- VVVoucher
- VWStandard
- VXValue-Added Tax Registration Number (Europe)
- VYLink Sequence Number
- VZSponsor's Reference Number
- W1Disposal Turn-In Document Number
- W2Weapon System Number
- W3Manufacturing Directive Number
- W4Procurement Request Number
- W5Inspector Identification Number
- W6Federal Supply Schedule Number
- W7Commercial and Government Entity (CAGE) Code
- W8Suffix
- W9Special Packaging Instruction Number
- WALabor or Affiliation Identification
- WBAmerican Petroleum Institute (API) Well
- WCContract Option Number
- WDReview Period Number
- WEWell Classification Code
- WFLocally Assigned Control Number
- WGVendor's Previous Job Number
- WHMaster Reference (Link) Number
- WIWaiver
- WJPre-Award Survey
- WKType of Science Code
- WLFederal Supply Classification Code
- WMWeight Agreement Number
- WNWell Number
- WOWork Order Number
- WPWarehouse Pick Ticket Number
- WQInterim Funding Organization Loan Number
- WRWarehouse Receipt Number
- WSWarehouse storage location number
- WTBroker's Reference Number
- WUVessel
- WVDealer Identification
- WWDepository Trust Company Identification
- WXDistributor's Account Identification
- WYWaybill Number
- WZDistributor's Representative Identification
- X0Debtor's Account
- X1Provider Claim Number
- X2Specification Class Number
- X3Defect Code Number
- X4Clinical Laboratory Improvement Amendment Number
- X5State Industrial Accident Provider Number
- X6Original Voucher Number
- X7Batch Sequence Number
- X8Secondary Suffix Code Indicator
- X9Internal Control Number
- XASubstitute National Stock Number
- XBSubstitute Manufacturer's Part Number
- XCCargo Control Number
- XDSubsistence Identification Number
- XETransportation Priority Number
- XFGovernment Bill of Lading Office Code
- XGAirline Ticket Number
- XHContract Auditor ID Number
- XIFederal Home Loan Mortgage Corporation Loan Number
- XJFederal Home Loan Mortgage Corporation Default/Foreclosure Specialist Number
- XKMortgagee Loan Number
- XLInsured's Loan Number
- XMIssuer Number
- XNTitle XIX Identifier Number
- XOSample Number
- XPPrevious Cargo Control Number
- XQPier Number
- XRRailroad Commission Record Number
- XSState Industrial Accident Provider Number
- XTToxicology ID
- XUUniversal Transverse Mercator - North
- XVUniversal Transverse Mercator - East
- XWUniversal Transverse Mercator - Zone
- XXRating Period
- XYOther Unlisted Type of Reference Number
- XZPharmacy Prescription Number
- Y0Debtor
- Y1Claim Administrator Claim Number
- Y2Third-Party Administrator Claim Number
- Y3Contract Holder Claim Number
- Y4Agency Claim Number
- Y5Delivery Trailer Manifest
- Y6Sort and Segregate
- Y7
- Y8User ID
- Y9Current Certificate Number
- YAPrior Certificate Number
- YBRevision Number
- YCTract
- YDBuyer Identification
- YERailroad Commission Oil Number
- YFLessee Identification
- YHOperator Assigned Unit Number
- YIRefiner Identification
- YJRevenue Source
- YKRent Payor Identification
- YLAllowance Recipient Identification
- YMResource Screening Reference
- YNReceiver ID Qualifier
- YOFormation
- YPSelling Arrangement
- YQMinimum Royalty Payor Identification
- YROperator Lease Number
- YSYard Position
- YTReporter Identification
- YVParticipating Area
- YWEngineering Change Proposal
- YXGeographic Score
- YYGeographic Key
- YZGeographic Index
- Z1Safety of Ship Certificate
- Z2Safety of Radio Certificate
- Z3Safety Equipment Certificate
- Z4Civil Liabilities of Oil Certificate
- Z5Load Line Certificate
- Z6Derat Certificate
- Z7Maritime Declaration of Health
- Z8Federal Housing Administration Case Number
- Z9Veterans Affairs Case Number
- ZASupplier
- ZBUltimate Consignee
- ZCConnecting Carrier
- ZDFamily Member Identification
- ZECoal Authority Number
- ZFResidue Indicator Code
- ZGSales Representative Order Number
- ZHCarrier Assigned Reference Number
- ZIReference Version Number
- ZJUniversal Railroad Revenue Waybill Identified Number (URRWIN)
- ZKDuplicate Waybill in Route
- ZLDuplicate Waybill Not in Route
- ZMManufacturer Number
- ZNAgency Case Number
- ZOMakegood Commercial Line Number
- ZPSpouse Tie
- ZQNon-Spouse Tie
- ZRSupplier (Replacement)
- ZSSoftware Application Number
- ZTMilling in Transit
- ZUField
- ZVBlock
- ZWArea
- ZXCounty Code
- ZYReferenced Pattern Identification
- ZZMutually Defined
- AAADistributor's Split Agent Number
- AABFund Manager's Reference Number
- AACAgency Hierarchical Level
- AADOfficer License Number
- AAEPrevious Distributor Number
- AAFInterviewer ID
- AAGMilitary ID
- AAHOption Policy Number
- AAIPayroll Account Number
- AAJPrior Contract Number
- AAKWorksite Number
- AALAgent Number
- AAMTreaty Identifier
- AANAssociated Case Control Number
- AAOCarrier Assigned Code
- AAPDealer Number
- AAQDirectory Number
- AARDistributor Assigned Transaction Number
- AASDistributor Assigned Order Number
- AATDistributor's Account Number
- AAUGeneral Agency Number
- AAVLaboratory Number
- AAWAgency Assigned Number
- AAXList Bill Number
- AAYAccounting Period Reference
- AAZParamedical ID Number
- ABAPayroll Number
- ABBPersonal ID Number
- ABCPolicy Link Number
- ABDSecondary Policy Number
- ABESpecial Quote Number
- ABFNational Property Registry System Level 1
- ABGNational Property Registry System Level 2
- ABHInvestor Assigned Identification Number
- ABJGinnie Mae (Government National Mortgage Association) Pool Package Number
- ABKMortgage Electronic Registration System Organization Identifier
- ABLSeller Loan Number
- ABMSub-Servicer Loan Number
- ABNNational Property Registry System Level 3
- ABOState Hazardous Waste Entity Identifier
- ABPBankruptcy Procedure Number
- ABQNational Business Identification Number
- ABRPrior Data Universal Number System (D-U-N-S) Number, Dun & Bradstreet
- ABSVessel Name
- ABTSecurity Instrument Number
- ABUAssignment Recording Number
- ABVBook Number
- ABYCenters for Medicare and Medicaid Services PlanID
- ACAGrowth Factor Reference
- ACBRegion
- ACCStatus
- ACDClass Code
- ACEService Request Number
- ACFSupplement Number
- ACGPrevious Ticket Number
- ACHOne Call Agency Ticket Number
- ACITicket Number
- ACJBill of Material Revision Number
- ACKDrawing Revision Number
- ACRAutomated Clearinghouse (ACH) Return/Notification of Change (NOC) Code
- ACSSociety of Property Information Compilers and Analysts
- ACTAccounting Code
- ADAAgency for International Development Acquisition Regulation (AIDAR)
- ADBMaster Property Number
- ADCProject Property Number
- ADDUnit Property Number
- ADEAssociated Property Number
- ADFAssociated Number For Limited Common Element Parking
- ADGAssociated Number For Unit Parking
- ADHAssociated Number For Joined Unit not re-subdivided
- ADIProcessor Identification Number
- ADMAir Dimension Code
- AEANumero de Cedula de Identidad (CIN) Number
- AEBCompany's Registry Office (CRO) Number
- AECGovernment Registration Number
- AEDJudicial Number
- AEENumero de Identificacion Tributaria (NIT)
- AEFU.S. Passport Card
- AEGPatron Number
- AEHRegistro Informacion Fiscal (RIF)
- AEIRegistro Unico de Contribuyente (RUC)
- AEJSuperintendencia de Inversiones Extranjeras (SIEX) Number
- AEKTokyo Shoko Research Business Identifier
- AELRegistro Nacional de Contribuyente (RNC)
- AEMDistribution Center Number
- AHCAir Handling Code
- ALCAgency Location Code
- ALGTitle Company Code Book Reference
- ALHTitle Document Schedule
- ALIRecording Number
- ALJTitle Policy Number
- ALTAlteration Number
- APIAmerican Petroleum Institute (API) Deduction Code
- ASLAtomic Safety and Licensing Board Panel (ASLBP) Number
- ASPAnimal Species
- ASTAnimal Strain
- ATCMaintenance Availability Type
- BAAFranchise Tax Account Number
- BABCertificate of Incorporation Number
- BACBeam Assembly Code
- BADState Tax Identification Number
- BAECharter Number
- BAFReceipt Number
- BAGWithdrawal Account Number
- BAHDeposit Account Number
- BAIBusiness Identification Number
- BCIBasic Contract Line Item Number
- BKTBank Telegraphic Number
- BLTBilling Type
- BMMBegin Mile Marker
- BOIBinary Object Identifier
- CBGCensus Block Group
- CDNCitizenship Document Number
- CIRCircuit Number
- CITCitation
- CMNContinuous Move Number
- CMPCustomer Maintenance Period Sequence Number
- CMTComponent
- CNOCommitment Number
- COLCollocation Indicator
- COTCertificate of Transportation
- CPACanadian Province Operating Authority Number
- CPTCurrent Procedural Terminology Code
- CRNCasualty Report Number
- CRSCasualty Report Serial Number
- CSCCS54 Key Train Indicator Code
- CSGCS54 Key Train Indicator Group Name
- CSTCensus State Code
- CTSCensus Tract Suffix
- CYCPeriodicity Code
- DHHDepartment of Health and Human Services Acquisition Regulation (HHSAR)
- DISDistrict Number
- DNRDeposit Number
- DNSD-U-N-S+4, D-U-N-S Number with Four Character Suffix
- DOADepartment of Agriculture Acquisition Regulation (AGAR)
- DOCDepartment of Commerce Acquisition Regulation (CAR)
- DOEDepartment of Energy Acquisition Regulation (DEAR)
- DOIDepartment of Interior Acquisition Regulation (DIAR)
- DOJDepartment of Justice Acquisition Regulation (JAR)
- DOLDepartment of Labor Acquisition Regulation (DOLAR)
- DONDensity Order Number
- DOSDepartment of State Acquisition Regulation (DOSAR)
- DOTDepartment of Transportation Acquisition Regulation (TAR)
- DRNDrainhole Number
- DSCDeparture from Specification Class Code
- DSIDeparture from Specification Number
- DSTDeparture from Specification Type Code
- DTSDepartment of the Treasury Acquisition/Procurement Regulation (TAPR)
- DUND-U-N-S Number Dun & Bradstreet
- EDADepartment of Education Acquisition Regulation (EDAR)
- EMMEnd Mile Marker
- ENDEndorsement Number
- EPAEnvironmental Protection Agency Acquisition Regulation (EPAAR)
- EPBEnvironmental Protection Agency Transporter Identification Number
- ESNEstimate Sequence Number
- FCNAssigned Contract Number
- FLZFlood Zone
- FMPFacility Measurement Point Number
- FNDFinder Number
- FSNAssigned Sequence Number
- FTNPremarket Notification Number
- FWCFinal Work Candidate Number
- GWSGroup Work Candidate Sequence Number
- HHTType of Household Goods Code
- HMBHome Mortgage Disclosure Act Block Number Area
- HPICenters for Medicare and Medicaid Services National Provider Identifier
- HUDDepartment of Housing and Urban Development Acquisition Regulation (HUDAR)
- ICDICD-9-CM (International Classification of Diseases, 9th Revision, Clinical Modification)
- IFTInternational Fuel Tax Agreement Account Number
- IIDImage Identifier
- IMPIntegrated Master Plan (IMP)
- IMSIntegrated Master Schedule (IMS)
- INDInvestigatorial New Drug Number
- IRNImporter's Reference Number to Letter of Credit
- IRPInternational Registration Plan Account Number
- ISCInternational Standard Industrial Classification (ISIC) Dominion of Canada Code (DCC)
- ISNInternational Registration Plan Sticker Number
- ISSInspection and Survey Sequence Number
- LENLocation Exception Order Number
- LICHealth Industry Business Communications Council (HIBCC) Labeler Identification Code (LIC)
- LOILogical Observation Identifier Names and Codes (LOINC)
- LSDLogistics Support Documentation Type Code
- LVOLevying Officer Identification
- MBXMailbox
- MCIMotor Carrier Identification Number
- MDNHazardous Waste Manifest Document Number
- MSLMail Slot
- MZOMultiple Zone Order Number
- NASNational Aeronautics and Space Administration FAR Supplement (NFS)
- NDAAbbreviated New Drug Application Number
- NDBNew Drug Application Number
- NFCNational Flood Insurance Program Community Name
- NFDNational Flood Insurance Program County
- NFMNational Flood Insurance Program Map Number
- NFNNational Flood Insurance Program Community Number
- NFSNational Flood Insurance Program State
- PACPatent Cooperation Treaty Application Number
- PANNonprovisional Patent Application Number
- PAPProvisional Patent Application Number
- PCCPool Contract Code
- PCNProtocol Number
- PDLPrevious Driver's License
- PGCPacking Group Code
- PGNPlug Number
- PGSProposed Group Work Candidate Sequence Number
- PHCProcess Handling Code
- PIDProgram Identification Number
- PINPlatform Identification Number
- PLAProduct Licensing Agreement Number
- PLNProposed Contract Number
- PMNPremarket Application Number
- PNNPatent Number
- POLPolicy Number
- PRSPreviously Reported Social Security Number
- PRTProduct Type
- PSIPrevious Shipment Identification Number - Continuous Move
- PSLNext Shipment Identification Number - Continuous Move
- PSMCredit Card
- PSNProposed Sequence Number
- PTCPatent Type
- PWCPreliminary Work Candidate Number
- PWSProposed Work Candidate Sequence Number
- RAARestricted Availability Authorization
- RANRestricted Availability Number
- RECRelated Case
- RGIRegulatory Guideline Identifier
- RIGRig Number
- RPPRelative Priority
- RPTReport Number
- RRSReconciliation Report Section Identification Code
- RSNReservation Number
- SBNSurety Bond Number
- SCAStandard Carrier Alpha Code (SCAC)
- SEKSearch Key
- SESSession
- SHLShelf Life Indicator
- SNHSNOMED, Systematized Nomenclature of Medicine
- SNVState Non-Resident Violator Compact
- SPLStandard Point Location Code (SPLC)
- SPNTheater Screen Number
- STBStandard Transportation Commodity Code (STCC) Bridge Number
- STRStandard Transportation Commodity Code (STCC) Replacement Code
- SUBTitle Reference
- SUOSpacing Unit Order Number
- TDTTechnical Documentation Type
- TIPTechnical Information Package
- TOCType of Comment
- TPNTransponder Number
- TSNTemplate Sequence Number
- URLUniform Resource Locator
- WCSWork Candidate Sequence Number
- WDRWithdrawal Record
Code defining the type of ownership
Codes (33)- 10Terminated
- 11Shared
- 12Undesignated
- 13Lessee
- 14Contract for Deed Purchaser
- 15Life Estate
- 16Joint Contractual Liability
- 17Joint Ownership
- 18Nonapplicant Spouse
- 19Participant
- 20Maker (With Co-maker)
- 21Co-maker
- 22Borrower
- 23Co-borrower
- 24Borrower and Co-borrower
- 25Joint with Spouse
- 26Joint with Non-Spouse
- 27Fee Simple
- 28Leasehold
- 29Charitable Institution
- 30Estate
- 31Export Account
- 32Import Account
- 33Local Account
- 01Sole (Individual)
- 02Joint Ownership or Obligation in Severalty
- 03Joint Owner or Obligation with the Right of Survivorship
- 04Trust
- 05Custodial
- 06Corporate
- 07Partnership
- 08Authorized User
- 09On Behalf Of