core-jgi/data/import/NaturalAccountsDE.csv

7.3 KiB

1[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]
21200Bank KontoBank Cash AccountAssetNaturalYesNoB_ASSET_ACCT
34970BankkostenBank chargesExpenseNaturalYesNoB_EXPENSE_ACCT
42110Bank ZinskostenInterest paidExpenseNaturalYesNoB_INTERESTEXP_ACCT
52650Bank ZinsertragInterest receivedRevenueNaturalYesNoB_INTERESTREV_ACCT
61201Bank KontobewegungBank transactions in transitAssetNaturalYesNoB_INTRANSIT_ACCT
71332Bezahlung selektiertSelected invoices for payment LiabilityNaturalYesNoB_PAYMENTSELECT_ACCT
82671Bank BewertungsertragForeign currency bank account gainRevenueNaturalYesNoB_REVALUATIONGAIN_ACCT
92660Bank BewertungsverlustForeign currency bank account lossExpenseNaturalYesNoB_REVALUATIONLOSS_ACCT
102670Bank Währungsgewinn (Konto)Difference between payment and bank account currencyRevenueNaturalYesNoB_SETTLEMENTGAIN_ACCT
112667Bank Währungsverlust (Konto)Difference between payment and bank account currencyExpenseNaturalYesNoB_SETTLEMENTLOSS_ACCT
121203Bank nicht zugeordnete ZahlungenReceived unallocated paymentsAssetNaturalYesNoB_UNALLOCATEDCASH_ACCT
131202Bank nicht identifizierte ZahlungenReceipts from unidentified customerAssetNaturalYesNoB_UNIDENTIFIED_ACCT
141710Kunden AnzahlungPrepayments for future revenueLiabilityNaturalYesNoC_PREPAYMENT_ACCT
151400KundenverbindlichkeitenAccounts ReceivablesAssetNaturalYesNoC_RECEIVABLE_ACCT
161000KassePetty Cash AccountAssetNaturalYesNoCB_ASSET_ACCT
171360Kasse TransferPetty Cash TransferAssetNaturalYesNoCB_CASHTRANSFER_ACCT
182673KassendifferenzenPetty Cash DifferencesExpenseNaturalYesNoCB_DIFFERENCES_ACCT
193403Konto Kasse AufwandDefault other expense for petty cash transactionsExpenseNaturalYesNoCB_EXPENSE_ACCT
208403Konto Kasse ErtragDefault other revenue for petty cash transactionsRevenueNaturalYesNoCB_RECEIPT_ACCT
214900Sonstige AusgabenDefault other expenseExpenseNaturalYesNoCH_EXPENSE_ACCT
228402Sontige EinnahmenDefault other revenueRevenueNaturalYesNoCH_REVENUE_ACCT
232668Währungsdifferenz zum KontenausgleichRounding difference to make journal balance in accounting currencyExpenseNaturalYesNoCURRENCYBALANCING_ACCT
243400Standard AusgabenDefault Account (if no other account is defined) V1.1ExpenseNaturalYesNoDEFAULT_ACCT
254100PersonalkostenDefault employee expemsesExpenseNaturalYesNoE_EXPENSE_ACCT
261740Mitarbeiter VorschuesseExpense advancesAssetNaturalYesNoE_PREPAYMENT_ACCT
27860GewinnVerlust KontoYear end processing to balance account (Retained Earnings)ExpenseNaturalYesNoINCOMESUMMARY_ACCT
281594Innerbetriebliche FoderungenDefault Receivables account for intercompany trxAssetNaturalYesNoINTERCOMPANYDUEFROM_ACCT
29700Innerbetriebliche VerbindlichkeitenDefault Payables account for intercompany trxLiabilityNaturalYesNoINTERCOMPANYDUETO_ACCT
303200Lieferanten geliefert aber nicht abgerechnetReceived products/services from vendors but not invoicedExpenseNaturalYesNoNOTINVOICEDRECEIPTS_ACCT
317000Forderungen noch nicht abgerechnetWe delivered but have not invoiced yetAssetNaturalYesNoNOTINVOICEDRECEIVABLES_ACCT
328700Nicht abgerechnete EinnahmenWe delivered but have not invoiced yetRevenueNaturalYesNoNOTINVOICEDREVENUE_ACCT
333970Produkt LagerbestandProduct Inventory AccountAssetNaturalYesNoP_ASSET_ACCT
343402Produkt VertriebsausgabenCost of Goods SoldExpenseNaturalYesNoP_COGS_ACCT
353401Produkt AusgabenDefault Product or Service costs (I.e. not on inventory)ExpenseNaturalYesNoP_EXPENSE_ACCT
362663Produkt Rechnung PreisdifferenzDifference between product cost and invoice price (IPV)ExpenseNaturalYesNoP_INVOICEPRICEVARIANCE_ACCT
372665Produkt Einkauf PreisdifferenzDifference between purchase price and standard costs (PPV)ExpenseNaturalYesNoP_PURCHASEPRICEVARIANCE_ACCT
388400Produkt ErlöseDefault Product or Service revenueRevenueNaturalYesNoP_REVENUE_ACCT
398770Gewährte PreisnachlässeGranted Trade discounts (corrects Product Revenue)RevenueNaturalYesNoP_TRADEDISCOUNTGRANT_ACCT
403770Erhaltene PreisnachlässeReceived Trade Discounts (corrects Product expense)ExpenseNaturalYesNoP_TRADEDISCOUNTREC_ACCT
418735SkontoaufwandGranted early payment discount to customersExpenseNaturalYesNoPAYDISCOUNT_EXP_ACCT
423735SkontoertragGranted early payment discount from vendorsRevenueNaturalYesNoPAYDISCOUNT_REV_ACCT
431451Projekt BestandswertCreated AssetAssetNaturalYesNoPJ_ASSET_ACCT
441452Projekt Werte in ArbeitAsset Work in ProgressAssetNaturalYesNoPJ_WIP_ACCT
452666Einkauf Preisvarianz AusgleichOffset Account for Purchase price variance (PPV) ExpenseNaturalYesNoPPVOFFSET_ACCT
462662Realisierte WährungsdifferenzenDifference between invoice and payment currencyRevenueNaturalYesNoREALIZEDGAIN_ACCT
472664Realisierte WährungsdifferenzenDifference between invoice and payment currencyExpenseNaturalYesNoREALIZEDLOSS_ACCT
489000BilanzvortragYear end processing to balance account (Income Summary)Owner's EquityNaturalYesNoRETAINEDEARNING_ACCT
492672RundungsdifferenzenDifference to make journal balance in source currency - needs to be solvedAssetNaturalYesNoSUSPENSEBALANCING_ACCT
501590Durchlaufende Posten FehlerImport did not find account - needs to be solvedAssetNaturalYesNoSUSPENSEERROR_ACCT
511570VorsteuerTax to be re-imbursed - before tax declarationAssetNaturalYesNoT_CREDIT_ACCT
521770MehrwertsteuerTax to be paid - before tax declarationLiabilityNaturalYesNoT_DUE_ACCT
534340SteueraufwandSales Tax paid to vendorsExpenseNaturalYesNoT_EXPENSE_ACCT
541774SteuerverbindlichkeitenTax to be paid based on tax declarationLiabilityNaturalYesNoT_LIABILITY_ACCT
551540SteuerforderungenTax to receive based on tax declarationAssetNaturalYesNoT_RECEIVABLES_ACCT
568401Vorausberechnete EinnahmenWe have invoiced but not delivered yetRevenueNaturalYesNoUNEARNEDREVENUE_ACCT
572661Nicht realisierbare WährungsdifferenzenDifference between foreign currency receivables/payables and current rateRevenueNaturalYesNoUNREALIZEDGAIN_ACCT
582669Nicht realisierbare WährungsdifferenzenDifference between foreign currency receivables/payables and current rateExpenseNaturalYesNoUNREALIZEDLOSS_ACCT
591600Lieferanten VerbindlichkeitenAccounts PayablesLiabilityNaturalYesNoV_LIABILITY_ACCT
601601Lieferanten Verbindlichkeiten DienstleistungenAccounts Payables for non-product revenueLiabilityNaturalYesNoV_LIABILITY_SERVICES_ACCT
611510Lieferanten AnzahlungPrepayments for future expenseAssetNaturalYesNoV_PREPAYMENT_ACCT
623986Lager Differenzkorrektur Gewinn / VerlustPhysical Inventory Gain/LossExpenseNaturalYesNoW_DIFFERENCES_ACCT
633985Lager Bestandswert KorrekturInventory Actual Accounting Value AdjustmentAssetNaturalYesNoW_INVACTUALADJUST_ACCT
643980Lager BestandswertInventory AccountAssetNaturalYesNoW_INVENTORY_ACCT
653987Lager Differenzkorrektur MarktwertDifference to (lower cost) or marketExpenseNaturalYesNoW_REVALUATION_ACCT
661401ZurückhaltungWithholding for 1099 or Quality GuaranteeLiabilityNaturalYesNoWITHHOLDING_ACCT
672400ForderungsverlusteReceivables write-off - bad debtExpenseNaturalYesNoWRITEOFF_ACCT