[Account Value/No],[Account Name],[Description],[Account Type],[Account Sign],[Document Controlled],[Summary Account],[For Internal Use - Do Not Change- for additional accounts leave blank] 1200,Bank Konto,Bank Cash Account,Asset,Natural,Yes,No,B_ASSET_ACCT 4970,Bankkosten,Bank charges,Expense,Natural,Yes,No,B_EXPENSE_ACCT 2110,Bank Zinskosten,Interest paid,Expense,Natural,Yes,No,B_INTERESTEXP_ACCT 2650,Bank Zinsertrag,Interest received,Revenue,Natural,Yes,No,B_INTERESTREV_ACCT 1201,Bank Kontobewegung,Bank transactions in transit,Asset,Natural,Yes,No,B_INTRANSIT_ACCT 1332,Bezahlung selektiert,Selected invoices for payment ,Liability,Natural,Yes,No,B_PAYMENTSELECT_ACCT 2671,Bank Bewertungsertrag,Foreign currency bank account gain,Revenue,Natural,Yes,No,B_REVALUATIONGAIN_ACCT 2660,Bank Bewertungsverlust,Foreign currency bank account loss,Expense,Natural,Yes,No,B_REVALUATIONLOSS_ACCT 2670,Bank Währungsgewinn (Konto),Difference between payment and bank account currency,Revenue,Natural,Yes,No,B_SETTLEMENTGAIN_ACCT 2667,Bank Währungsverlust (Konto),Difference between payment and bank account currency,Expense,Natural,Yes,No,B_SETTLEMENTLOSS_ACCT 1203,Bank nicht zugeordnete Zahlungen,Received unallocated payments,Asset,Natural,Yes,No,B_UNALLOCATEDCASH_ACCT 1202,Bank nicht identifizierte Zahlungen,Receipts from unidentified customer,Asset,Natural,Yes,No,B_UNIDENTIFIED_ACCT 1710,Kunden Anzahlung,Prepayments for future revenue,Liability,Natural,Yes,No,C_PREPAYMENT_ACCT 1400,Kundenverbindlichkeiten,Accounts Receivables,Asset,Natural,Yes,No,C_RECEIVABLE_ACCT 1000,Kasse,Petty Cash Account,Asset,Natural,Yes,No,CB_ASSET_ACCT 1360,Kasse Transfer,Petty Cash Transfer,Asset,Natural,Yes,No,CB_CASHTRANSFER_ACCT 2673,Kassendifferenzen,Petty Cash Differences,Expense,Natural,Yes,No,CB_DIFFERENCES_ACCT 3403,Konto Kasse Aufwand,Default other expense for petty cash transactions,Expense,Natural,Yes,No,CB_EXPENSE_ACCT 8403,Konto Kasse Ertrag,Default other revenue for petty cash transactions,Revenue,Natural,Yes,No,CB_RECEIPT_ACCT 4900,Sonstige Ausgaben,Default other expense,Expense,Natural,Yes,No,CH_EXPENSE_ACCT 8402,Sontige Einnahmen,Default other revenue,Revenue,Natural,Yes,No,CH_REVENUE_ACCT 2668,Währungsdifferenz zum Kontenausgleich,Rounding difference to make journal balance in accounting currency,Expense,Natural,Yes,No,CURRENCYBALANCING_ACCT 3400,Standard Ausgaben,Default Account (if no other account is defined) V1.1,Expense,Natural,Yes,No,DEFAULT_ACCT 4100,Personalkosten,Default employee expemses,Expense,Natural,Yes,No,E_EXPENSE_ACCT 1740,Mitarbeiter Vorschuesse,Expense advances,Asset,Natural,Yes,No,E_PREPAYMENT_ACCT 860,GewinnVerlust Konto,Year end processing to balance account (Retained Earnings),Expense,Natural,Yes,No,INCOMESUMMARY_ACCT 1594,Innerbetriebliche Foderungen,Default Receivables account for intercompany trx,Asset,Natural,Yes,No,INTERCOMPANYDUEFROM_ACCT 700,Innerbetriebliche Verbindlichkeiten,Default Payables account for intercompany trx,Liability,Natural,Yes,No,INTERCOMPANYDUETO_ACCT 3200,Lieferanten geliefert aber nicht abgerechnet,Received products/services from vendors but not invoiced,Expense,Natural,Yes,No,NOTINVOICEDRECEIPTS_ACCT 7000,Forderungen noch nicht abgerechnet,We delivered but have not invoiced yet,Asset,Natural,Yes,No,NOTINVOICEDRECEIVABLES_ACCT 8700,Nicht abgerechnete Einnahmen,We delivered but have not invoiced yet,Revenue,Natural,Yes,No,NOTINVOICEDREVENUE_ACCT 3970,Produkt Lagerbestand,Product Inventory Account,Asset,Natural,Yes,No,P_ASSET_ACCT 3402,Produkt Vertriebsausgaben,Cost of Goods Sold,Expense,Natural,Yes,No,P_COGS_ACCT 3401,Produkt Ausgaben,Default Product or Service costs (I.e. not on inventory),Expense,Natural,Yes,No,P_EXPENSE_ACCT 2663,Produkt Rechnung Preisdifferenz,Difference between product cost and invoice price (IPV),Expense,Natural,Yes,No,P_INVOICEPRICEVARIANCE_ACCT 2665,Produkt Einkauf Preisdifferenz,Difference between purchase price and standard costs (PPV),Expense,Natural,Yes,No,P_PURCHASEPRICEVARIANCE_ACCT 8400,Produkt Erlöse,Default Product or Service revenue,Revenue,Natural,Yes,No,P_REVENUE_ACCT 8770,Gewährte Preisnachlässe,Granted Trade discounts (corrects Product Revenue),Revenue,Natural,Yes,No,P_TRADEDISCOUNTGRANT_ACCT 3770,Erhaltene Preisnachlässe,Received Trade Discounts (corrects Product expense),Expense,Natural,Yes,No,P_TRADEDISCOUNTREC_ACCT 8735,Skontoaufwand,Granted early payment discount to customers,Expense,Natural,Yes,No,PAYDISCOUNT_EXP_ACCT 3735,Skontoertrag,Granted early payment discount from vendors,Revenue,Natural,Yes,No,PAYDISCOUNT_REV_ACCT 1451,Projekt Bestandswert,Created Asset,Asset,Natural,Yes,No,PJ_ASSET_ACCT 1452,Projekt Werte in Arbeit,Asset Work in Progress,Asset,Natural,Yes,No,PJ_WIP_ACCT 2666,Einkauf Preisvarianz Ausgleich,Offset Account for Purchase price variance (PPV) ,Expense,Natural,Yes,No,PPVOFFSET_ACCT 2662,Realisierte Währungsdifferenzen,Difference between invoice and payment currency,Revenue,Natural,Yes,No,REALIZEDGAIN_ACCT 2664,Realisierte Währungsdifferenzen,Difference between invoice and payment currency,Expense,Natural,Yes,No,REALIZEDLOSS_ACCT 9000,Bilanzvortrag,Year end processing to balance account (Income Summary),Owner's Equity,Natural,Yes,No,RETAINEDEARNING_ACCT 2672,Rundungsdifferenzen,Difference to make journal balance in source currency - needs to be solved,Asset,Natural,Yes,No,SUSPENSEBALANCING_ACCT 1590,Durchlaufende Posten Fehler,Import did not find account - needs to be solved,Asset,Natural,Yes,No,SUSPENSEERROR_ACCT 1570,Vorsteuer,Tax to be re-imbursed - before tax declaration,Asset,Natural,Yes,No,T_CREDIT_ACCT 1770,Mehrwertsteuer,Tax to be paid - before tax declaration,Liability,Natural,Yes,No,T_DUE_ACCT 4340,Steueraufwand,Sales Tax paid to vendors,Expense,Natural,Yes,No,T_EXPENSE_ACCT 1774,Steuerverbindlichkeiten,Tax to be paid based on tax declaration,Liability,Natural,Yes,No,T_LIABILITY_ACCT 1540,Steuerforderungen,Tax to receive based on tax declaration,Asset,Natural,Yes,No,T_RECEIVABLES_ACCT 8401,Vorausberechnete Einnahmen,We have invoiced but not delivered yet,Revenue,Natural,Yes,No,UNEARNEDREVENUE_ACCT 2661,Nicht realisierbare Währungsdifferenzen,Difference between foreign currency receivables/payables and current rate,Revenue,Natural,Yes,No,UNREALIZEDGAIN_ACCT 2669,Nicht realisierbare Währungsdifferenzen,Difference between foreign currency receivables/payables and current rate,Expense,Natural,Yes,No,UNREALIZEDLOSS_ACCT 1600,Lieferanten Verbindlichkeiten,Accounts Payables,Liability,Natural,Yes,No,V_LIABILITY_ACCT 1601,Lieferanten Verbindlichkeiten Dienstleistungen,Accounts Payables for non-product revenue,Liability,Natural,Yes,No,V_LIABILITY_SERVICES_ACCT 1510,Lieferanten Anzahlung,Prepayments for future expense,Asset,Natural,Yes,No,V_PREPAYMENT_ACCT 3986,Lager Differenzkorrektur Gewinn / Verlust,Physical Inventory Gain/Loss,Expense,Natural,Yes,No,W_DIFFERENCES_ACCT 3985,Lager Bestandswert Korrektur,Inventory Actual Accounting Value Adjustment,Asset,Natural,Yes,No,W_INVACTUALADJUST_ACCT 3980,Lager Bestandswert,Inventory Account,Asset,Natural,Yes,No,W_INVENTORY_ACCT 3987,Lager Differenzkorrektur Marktwert,Difference to (lower cost) or market,Expense,Natural,Yes,No,W_REVALUATION_ACCT 1401,Zurückhaltung,Withholding for 1099 or Quality Guarantee,Liability,Natural,Yes,No,WITHHOLDING_ACCT 2400,Forderungsverluste,Receivables write-off - bad debt,Expense,Natural,Yes,No,WRITEOFF_ACCT