id definition 1 Line Item Total 2 Batch Total 3 Deposit Total 4 Lock Box Total 5 Total Invoice Amount 6 Amount Subject to Total Monetary Discount 7 Discount Amount Due 8 Total Monetary Discount Amount 9 Total Operational Statement Amount A Adjusted Chargeback Claim Amount B Estimated C City D Payor Amount Paid E Estimated Credit F Annual Limit G Collateral H Bid Amount I Interest J Trustee Fees K Attorney and Trustee Fees L Local M Amount Due from Buyer at Appraisal Notice Date N Net O Court Cost P Penalty Q Amount Owed to Buyer at Appraisal Notice Date R Spend Down S Submitted Chargeback Claim Amount T Tax U Underpayment V Cost of Deficiency W Deficiency Judgment Fees X Deficiency Judgment Expenses and Fees Y Current List Price Z List Price When Sold 01 Fixed Installment Control Accounting Error 02 Graduated Payment Mortgage Adjustment 03 Growing Equity Mortgage Adjustment 04 Adjustable Rate Mortgage Change 05 Fixed Installment Control Substitution Adjustment 06 Interest Adjustment 07 Deferred Graduated Payment Mortgage Interest Paid 08 Interest Accounting Error 09 Principal Accounting Error 0A Interest Substitution Adjustment 0B Principal Substitution Adjustment 0C Prepaid Interest 0D Prepaid Principal 0E Delinquent Interest 0F Delinquent Principal 0G Curtailment Adjustment 0H Serial Note Principal Available for Distribution 0I Servicing Fee 0J Guarantee Fee Adjustment 0K Amount Under-collateralized 0L Amount Over-collateralized 0M Trial Balance Adjustment 0N Custodial Bank Account Adjustment 0P Item 0Q Schedule 0R Regular Plan 0S Previously Billed 0T Currently Due 0U Coverage Premium 10 Shipment Value in U.S. Dollars 11 Liabilities at Bankruptcy 12 Account Average Balance Account 13 Outstanding Balance at Foreclosure 14 Legal Obligation Debt Amount 15 Estimated Closing Cost Amount 16 Discount Fees Paid by Borrower Amount 17 Closing Costs or Concessions Paid by Seller 18 Prepaid Items Amount 19 Federal Housing Administration, Mortgage Insurance Premium Funding Fee Financed Amount 1A Variance 1B Variance Adjustment Cost 1C Variance Adjustment Schedule 1D Escalation 1E Fixed Price 1F Lodging 1G Meals 1H Travel Expense 1J Insurance Expense 1K Union Dues 1L Regular Income 1M Income on Real Property 1N Income from Social Security and/or other Government Assistance 1P Total Monthly Income 1Q Electric and/or Fuel Payment 1R Water and/or Sewer Payment 1S Telephone Payment 1T Maintenance Expense 1U Food Expense 1V Clothing Expense 1W Laundry Expense 1X Medical and/or Dental Expense 1Y Recreation Expenses 1Z Charitable Contributions 20 Federal Housing Administration, Mortgage Insurance Premium or Veteran's Administration Funding Fee Amount 21 Original Cost of Property Amount 22 Owner's Estimate of Value Amount 23 Appraised Value Amount 24 Gross Monthly Income Amount 25 Assets at Bankruptcy 26 Negotiated Cost 27 Authorized Unpriced Work 28 Target Price 29 Estimated Price 2A Home Insurance Expense 2B Life Insurance Expense 2C Health Insurance Expense 2D Automobile Insurance Expense 2E Value of Property Claimed as Exempt 2F Automobile Payment 2G Other Type of Installment Payment 2H Operating Expenses 2I Total Projected Monthly Income 2J Total Projected Monthly Expenses 2K Excess Income 2L Value of Personal Property 2M Monthly Overtime 2N Total All Repairs 2P Total Recommended Repairs 2Q State Quarterly Total Gross Wages 2R State Quarterly Unemployment Insurance (UI) Total Wages 2S State Quarterly Unemployment Insurance (UI) Excess Wages 2T State Quarterly Unemployment Insurance (UI) Taxable Wages 2U State Quarterly Disability Insurance Taxable Wages 2V State Quarterly Tip Wages 2W Asset-Long Term 2X Asset-Short Term 2Y Base Coverage 2Z Commission Retained 30 Contract Ceiling 31 Estimated Contract Ceiling 32 Target Fee or Profit Amount 33 Original Contract Target Cost 34 Negotiated Contract Changes 35 Current Target Cost 36 Contract Budget Base (CBB) 37 Current Budgeted Cost for Work Scheduled (BCWS) 38 Current Budgeted Cost for Work Performed (BCWP) 39 Current Actual Cost of Work Performed (ACWP) 3A Accounting 3B Accounts Payable 3C Accounts Receivable 3D Advanced Dividends 3E Advertising Expenses 3F Amortization 3G Amortization Costs 3H Amount of Decree 3I Asset Investment 3J Authorized Capital 3K Available Reserves 3L Bad Debt Allowance 3M Bad Debts 3N Bank Account(s) 3O Long Term Assets 3P Long Term Liabilities 3Q Long Term Tangible Assets 3R Losses on Capital 3S Machines and Tools 3T Member Risk Capital 3U Miscellaneous After Tax Exempt 3V Mortgage 3W Nominal Capital 3X Nominal Damages 3Y Non-operational Fixed Assets 3Z Excess Amount Requested 40 Current Schedule Variance (SV) 41 Current Cost Variance (CV) 42 Cumulative Budgeted Cost for Work Scheduled (BCWS) 43 Cumulative Budgeted Cost for Work Performed (BCWP) 44 Cumulative Actual Cost of Work Performed (ACWP) 45 Cumulative Schedule Variance (SV) 46 Cumulative Cost Variance (CV) 47 Reprogram Cost Variance 48 Reprogram Budget 49 At Complete Budget (BAC) 4A Nonissued Capital 4B Notes Payable 4C Notes Receivable 4D Bank Debentures 4E Bank Obligations 4F Buildings 4G Buildings Under Construction 4H Capital 4I Capital Associated with Principal 4J Capital of Other Subsidiaries 4K Capital Stock 4L Cash 4M Capital Subsidies Received 4N Commercial Debt 4O Commercial Expenses 4P Common Stock 4Q Consequential Damages 4R Compensatory Damages 4S Convertible Debentures 4T Cost of Goods Sold 4U Cost of Sales 4V Cost(s) 4W Current Assets 4X Current Liabilities 4Y Damages 4Z Deferred Cost 50 At Complete Latest Revised Estimate (LRE) 51 At Complete Variance 52 Total Allocated Budget 53 Difference (Contract Budget Base - Total Allocated Budget) 54 Forecast 55 At Complete Forecast 56 Current Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP) 57 Current Cost Performance Index (CPIp) - Planned (ACWP/BCWP) 58 Current Schedule Performance Index (SPI) 59 Cumulative Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP) 5A Deferred Credit or Income 5B Deferred Taxation 5C Deposits 5D Depreciation 5E Depreciation of Fixed Assets 5F Depreciation of Revaluation of Fixed Assets 5G Director's Remuneration 5H Dividends 5I Doubtful Receivables 5J Equipment 5K Equipment Subsidies 5L Equities, Stocks 5M Equity 5N Exceptional Item 5O Exports 5P External Charge 5Q Extraordinary Charge 5R Extraordinary Current Asset Write Downs 5S Extraordinary Result 5T Financial Assets 5U Financial Charges 5V Financial Debt 5W Financial Expenses 5X Financial Income 5Y Finished Goods 5Z Fixed Asset Debts 60 Cumulative Cost Performance Index (CPIp) - Planned (ACWP/BCWP) 61 Cumulative Schedule Performance Index (SPI) 62 To Complete Performance Index (TCPI) for Budget at Complete (BAC) 63 To Complete Performance Index (TCPI) for Estimate At Complete (EAC) 64 Initial Contract Price Target 65 Initial Contract Price Ceiling 66 Adjusted Contract Price Target 67 Adjusted Contract Price Ceiling 68 Funds Authorized to Date 69 Accrued Expenditures 6A Fixed Assets 6B Fixed Assets for Sale 6C Fixtures 6D Fixtures and Equipment 6E Franchise 6F Franchise Tax Balance 6G Franchise Tax Paid 6H Free Reserves 6I Furniture 6J Future Loan 6K General Accounts 6L General Expenses 6M Goodwill 6N Grants for Operating Costs 6O Group Related Financial Income 6P Income Stated in Advance 6Q Income Tax 6R Income Tax, Corporate 6S Income Tax, Noncorporate 6T Injunction 6U Intangible Depreciation 6V Intangibles 6W Interest of Third Party 6X Interest on Loans 6Y Operating Income (Loss) 6Z Optional Reserves 70 Open Commitments 71 Forecast of Billings 72 Estimated Termination Costs 73 Accrued Expenditures plus Open Commitments 74 Contract Work Authorized - Definitized 75 Contract Work Authorized - Not Definitized 76 Contract Work Authorized - Total 77 Forecast of Work - Not Yet Authorized 78 Forecast of Work - All Other 79 Forecast of Work - Total 7A Organizational Expenses 7B Outside Share in Profit or Loss 7C Outstanding Debts against Board of Directors/Managers 7D Owing 7E Owing from Affiliates 7F Owing from Participants 7G Owing to Affiliates 7H Owing to Fiscal Office 7I Owing to National Social Security Office 7J Owing to Participants 7K Own Work Capitalized 7L Paid in Capital 7M Par Value 7N Participating Interest 7O Patents 7P Pension Debts 7Q Pensions Provision 7R Preferred Stock 7S Prepaid Orders in Progress 7T Prior Results Carried Forward 7U Profit or Loss 7V Profit or Loss after Taxes 7W Profit or Loss before Taxes 7X Profit or Loss on Ordinary Activities after Tax 7Y Progress Payments 7Z Proposed Dividend 80 Funding - Total Requirements 81 Funds Carryover 82 Net Funds Required 83 Contract Work Authorized (with fee/profit) Actual or Projected 84 Contract Work Authorized (with fee/profit) Actual or Projected - At Complete 85 Best Case Estimate 86 Worst Case Estimate 87 Most Likely Estimate 88 "As Is" Appraisal Amount 89 "Subject To" Appraisal Amount 8A Provision for Depreciation of Stock or Inventory 8B Provision for Future Purchases 8C Provision for Risks 8D Punitive Damages 8E Purchase Price 8F Purchases 8G Raw Materials 8H Real Estate 8I Receivables 8J Regularization Account 8K Research and Development 8L Restructuring Costs 8M Result 8N Retained Earnings 8O Revenues 8P Sales 8Q Sales and Use Tax 8R Savings 8S Secured Liability 8T Secured Loans 8U Selling Expenses 8V Services 8W Share Capital 8X Share in Profit or Loss of Minority Interest 8Y Share Premium Capital 8Z Shares in Affiliated Companies 90 "Completion Per Plans" Appraisal Amount 91 Site Value Amount 92 Compensation 93 Contribution 94 Death Benefit 95 Death Benefit Decrement 96 Employee Account Balance 97 Loan Repayment 98 Prior W2 99 Single Premium 9A Social Charges 9B Social Security (FICA) 9C Special Reserves 9D Specially Secured Creditors 9E Specific Performance 9F Starting Capital 9G Statutory Reserves 9H Subscribed Capital 9I Suit Amount 9J Supplies 9K Surplus of Revaluation 9L Tangible Net Worth 9M Tax Adjustments 9N Tax Balance 9O Tax Capital Amount 9P Tax on Extraordinary Items 9Q Tax Recoverable 9R Taxed Reserves 9S Trade Creditors 9T Inventory (Stock) 9U Inventory (Stock) Depreciation 9V Inventory (Stock) Purchases 9W Investment in Own Shares 9X Investments 9Y Issued Capital 9Z Labor Costs A0 Assistantship from Admitting Educational Institution A1 Average Negative Ledger Balance A2 Average Positive Collected Balance A3 Average Negative Collected Balance A4 Average Positive Ledger Balance A5 Disallowed - Estimated A6 Disallowed - Actual A7 Noncovered Charges - Estimated A8 Noncovered Charges - Actual A9 Allowed - Estimated AA Allocated AB Adjusted Collected Balance AC Average Collected Balance AD Adjusted Total AE Arrearage AF Average Float AG Adjusted Gross Income AH Loan Balance Difference AI Sale Amount AJ Funds Held by Mortgagee AK Attorney Fees AL Average Ledger Balance AM Amount Financed AN Bankruptcy Fee AO Amount Override AP Amount Prior to Fractionalization AQ Average Price Per Call AR Fees to Public Officials for Foreclosure AS Average Price Per Minute AT Total Received AU Coverage Amount AV Actual Cash Value AW Replacement Cost AX Previous Price AY Title Cost AZ Other Foreclosure and Acquisition Expenses B0 Bond B1 Benefit Amount B2 Bonuses and Commissions Divided Over 12 Months B3 Bonuses Divided Over 12 Months B4 Bonuses and Commissions B5 Budgeted B6 Allowed - Actual B7 Deductible - Estimated B8 Co-insurance - Estimated B9 Co-insurance - Actual BA Bargain BB Mortgage Insurance Premiums BC Billing Cycle Net Fee Position (Excess/Deficit) BD Balance Due BE Disbursements for Authorized Repair BF Hazard Insurance Premium BG Eviction Attorney Fees BH Eviction Expenses BI Property Taxes BJ Disbursements Not Shown Elsewhere BK Disbursements for Protection and Preservation BL Disbursements for Inspections and Boarding BM Adjustments BN Rental Income BO Rental Expense BP Average Net Collected Balance BQ Bail BR Adjusted Insured Loss Amount BS Mortgage Note Interest BT Bank Reject Total BU Overhead Costs BV Uncollected Interest BW Amount Due from Buyer at Closing BX Amount Owed to Buyer at Closing BY Additional Closing Expenses BZ Deficiency Judgment Expenses C0 Current Expenditures C1 Co-Payment Amount C2 Child Rider Coverage C3 Prior Payment - Estimated C4 Prior Payment - Actual C5 Claim Amount Due - Estimated C6 Claim Amount Due - Actual C7 Payor Responsibility - Estimated C8 Payor Responsibility - Actual C9 Disallowed Cost Containment - Actual CA Contractor Cumulative to Date CB Collected Balance Required CC Chargeback Claim Amount CD Overpaid Section 235 Subsidy CE Summary Amount CF Appraisal Fees CG Commission Fees Deducted CH Change Amount CI Funds Held for Insured CJ Other Deductions CK Back End Load CL Outstanding Balance Current Lender CM Claimant Requested Total CN Special Assessments CO Taxes on Deed CP Statutory Disbursements CQ Net Claim Amount CR Contractor at Complete CS Commission Sales CT Contract CU Subcontractor Cumulative to Date CV Subcontractor at Complete CW Earned Value CX Actual CY Cumulative Budget CZ Cumulative Earned Value D0 Administration and Management Costs D1 Deferred Compensation Commissions D2 Deductible Amount D3 Deferred Compensation Commissions and Bonuses D4 Deferred Compensation D5 Dependent Care Contribution D6 Disallowed Cost Containment - Estimated D7 Dispensing Fee D8 Discount Amount D9 Cumulative Actual DA Original Mortgage DB Unapplied Section 235 Funds DC Unapplied Buydown Fund DD Direct Deposit DE Estimate of Damage DF Authorized Bid DG Escrow Balance DH Total Disbursements DI Charge Off DJ Liens Amount Original DK Release of Lien DL Debit DM Asset DN Liability DO Satisfaction DP Exemption DQ Settlement DR Alimony Expense DS Alimony Income DT Child Support Expense DU Child Support Income DV Separate Maintenance Expense DW Separate Maintenance Income DX Deductible Waived DY Per Day Limit DZ Job-related Expense E0 Administration and Management Indemnity Charge E1 Employer Year to Date Contribution E2 Employee Annual Pledge Amount E3 Employee Current Contribution E4 Employer Pledge Amount E5 Employer Current Contribution E6 Eligible Wage Amount E7 Employee Year to Date Contribution E8 Education Contribution E9 Initial Fee EA Earnings Allowance EB Collected Balance (Excess/Deficit) EC Allowance (Excess/Deficit) ED Estimated Cost of Attendance EE Other Expense EF Estimated Financial Aid EG Other Income EH Amount of Mortgages and Liens EI Mortgage Payment(s) EJ Insurance, Maintenance, Taxes and Miscellaneous EK Net Rental Income EL Present Market Value EM Gross Rental Income EN Cancellation Fee EO Capital Reserves EP Employer Annual Pledge Amount EQ Condominium Association Fees ER Homeowner Association Fees ES Mortgage Insurance Proceeds ET Net Proceeds from Sale of Real Estate Property EU Insurance Proceeds (Primary Settlement) EV Presale Proceeds EW Pledged Savings EX As Is Broker's Opinion EY Subject To Broker's Opinion EZ Uniform Commercial Code Filing Office Fee F0 Commercial Staff Labor Costs F1 Maximum Allowable Cost (MAC) Penalty Copay F2 Patient Responsibility - Actual F3 Patient Responsibility - Estimated F4 Postage Claimed F5 Patient Amount Paid F6 Provider Reserves F7 Sales Tax F8 Usual and Customary Charge - Estimated F9 Usual and Customary - Actual FA Coordination Fee FB Calculation Fee FC Expected Family Contribution FD Direct Deposit Flipped to Check FE Fee FF Application Fee FG Licensing Fee FH Regulatory Fee FI First Interest Payment Amount FJ Waiver Fee FK Other Unlisted Amount FL Float FM Fair Market Value FN Fine FO Fees Paid FP Fees Paid Year to Date FQ Firm Contractor Share FR Estimated Government Share FS Expense FT Endorsement Premium Amount FU Commercial Staff Indemnity Charge FV Flat Fee Paid to Date FW Flat Fee Paid Current Month FX Endorsement FY First Payment FZ Earned Income G0 Initial Adjustment Total G1 Indicated Value by Sales Comparison Approach G2 Indicated Value by Income Approach G3 Price per Unit Area G4 Reconciliation of Final Value Estimate G5 Estimated Monthly Market Rent G6 Adjusted Sales Price G7 Sales or Financing Concessions G8 Indicated Value by Cost Approach G9 As-is Value of Site Improvements GA Depreciated Value of Improvements GB Price, High Value GC Price, Low Value GD Physical Depreciation GE Functional Depreciation GF External Depreciation GG Adjusted Sales Price of Comparable Sales GH Predominate Value GI Average Customer Income GJ Average Neighborhood Income GK Average Customer Purchase GL Weekly Dollar Sales GM Average Case Sales GN Buy-down GO Credit Line GP Appraisal Repair Amount GQ Brokers Opinion Repair Amount GR Credit Line Available GS Subsequent Adjustments Total GT Goods and Services Tax GU Taxes Paid GV Gross Value GW Total Charge GX Total Credit GY Total Debit GZ Total Finance Charge H0 Host Government (government of the institution) Financing for Education H1 Legal Reserves H2 Cancellation H3 Deposit Inception to Date H4 Deposit Year to Date H5 Dump in Remittance H6 Earnings H7 Life Insurance Cash Value H8 Structure Value H9 Original List Price HA Coin HB Currency HC U.S. Treasury Checks HD Postal Money Orders HE City Checks HF Other Checks HG Home Government Financing for Education HH Annual Social Security Wages HI Annual Social Security Tips HJ Annual Wages, Tips, and Other Compensation HK Social Security Employee Tax Withheld HL Federal Income Tax Withheld HM Advance Earned Income Credit HN Commission HO Vacation Pay HP Gross Pay Submitted HQ Intersell Commission Sales HR Total Payroll Approved HS Holiday Pay HT Overtime Pay HU Regular Pay HV Sick Pay HW Special Pay HX Contract Price HY Commercial Space Income HZ Utilities Paid by Owner I0 Life Insurance Coverage I1 Investment Income I2 Income I3 Price, Gross Living Area I4 Total Estimated Rent I5 Gross Annual Income I6 Custodian's Salary I7 Engineer's Salary I8 Elevator Operator's Salary I9 Indicated Value by Market Approach Estimate of Market Value IA Adjusted Monthly Rent IB Investable Balance IC Accrued Unpaid Interest To Be Capitalized ID Import Duty Amount IE Excise Tax Amount IF Inspection Fee IG Adjustment for Gross Living Area IH Predominant Price High II Irregular Interest Payment Amount IJ Net Adjusted Monthly Rent IK Indicated Monthly Market Rent IL Predominant Price Low IM Adjustment for Rooms IN Installment IO Adjustment for Bedrooms IP Interest Payable During Repayment Period IQ Contingent Debt IR Insurance Recovery IS Independent Scholarship IT Incentive Fee IU Accrued Unpaid Interest Not To Be Capitalized IV Utilities Allowance IW Furniture Allowance IX Indicated Value by Cost Approach IY Debentures IZ Account High Balance J0 Limited Partnership Capital J1 Current Face Amount J2 Original Face Amount J3 Fixed Default Note Holder's Amount J4 Initial Monthly Payment J5 Original Principal and Interest Payment J6 Final Principal and Interest Payment J7 Conversion Fee J8 Ending Balance J9 Beginning Balance JA Assessment JB Equity Claimed as Exempt JC Counter Claim JD Weekly Benefit JE Lease JF Administrative Load JG Asset Cost Applicable to Entire Contract JH Asset Cost Applicable to Portion of Contract JI Annual Fee JJ Cost Basis JK Disability Premium JL Employee Additional Contribution JM Employee Match Contribution JN Employer Contribution JO Free Look Value JP Free Withdrawal Value JQ Front End Load JR Guaranteed Minimum Death Benefit JS Interim Value JT Monthly Rent JU Judgment JV Loan Value JW Market Value JX Market Value Adjusted Value JY Market Value Adjustment JZ Net Contract Value K0 Discounted Bills not Due K1 Unpaid Security Balance K2 Total Unpaid Security Balance K3 Veterans Affairs Funding Fee K4 Initial Target Fee K5 Minimum Fee K6 Maximum Fee K7 Price K8 Special Accounting Classification Reference Number (ACRN)Amount K9 New Price KA Estimated Contract KB Estimated Net Adjustment KC Obligated KD Undefinitized KE Annual Revenue KF Net Paid Amount KG Net Collected Amount KH Deduction Amount KI Net Variance Amount KJ Minimum Contract Amount KK Item Gross Amount KL Collected Amount KM Disbursed Amount KN Gross Amount of Payment KO Committed Amount KP Principal and Interest KQ Incremental Order Amount KR Liability-Long Term KS Taxes and Insurance KT Default Principal KU Default Interest KV Liability-Short Term KW Default Taxes and Insurance KX Miscellaneous Fee Collections KY Not-To-Exceed Price KZ Mortgagor's Monthly Obligations L0 Liquid Assets L1 Legal Contribution L2 Leasehold Insurance Amount L3 Total Unidentified Payments Rejected L4 Total Credits Received L5 Total Debits Received L6 Total Pre-advices Received L7 Total Prenotes Received L8 Total Post-advices Received L9 Total Debit for Settlement LA Definitized LB Definitized Total LC Lessor's Cost LD Incremental LE Loan Eligibility Amount LF Loan Remittance or Repayment LG Laundry Income LH Baseline LI Line Item Unit Price LJ Legal and Audit LK Loan Amount Requested LL Lump Sum LM Limit LN Lien Payoff LO Money Purchase LP List Price LQ Maximum Potential Liability LR Total Credit for Settlement LS Net Settlement LT Total Award LU Option Amount LV Planned Periodic Payment LW Tax and Insurance Escrow Fund Balance LX Loan Expense LY Total Remaining Principal Balance for the Issuer LZ Delinquent Payment M0 Loans from Officers M1 Maximum Out of Pocket Amount M2 Medical Contribution M3 Tax rate expressed as a flat fee M4 Minimum amount of tax to be paid M5 Minimum amount to which tax rate is applied M6 Maximum amount of tax to be paid M7 Maximum amount to which tax rate is applied M8 Markup Amount M9 Net of Surrender Withdrawal MA Maximum Amount MB Undistributed Budget MC Cost of Money MD Minimum Due ME Minimum Default Note Holder's Cost MF Administrative Fees MG Maximum Late Charge MH Minimum Late Charge MI Minimum Incentive Fee MJ Maximum Default Note Holder's Cost MK Gross to Pay ML Prior Net Invoice Total MM Payout MN Monthly Limit MO Minimum Order Value MP Monthly Payment Amount MQ Post Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis MR Management Reserve MS Past-Due Taxes and Assessment Remaining Unpaid MT Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis MU Premium Tax Paid on Surrender MV Premium Tax Paid up Front MW Sales Loads MX Maximum Incentive Fee MY Surrender Value MZ Valuation Price N0 Loans or Financial Borrowings N1 Net Worth N2 Individual Income Taxes and Other N3 Corporate Income and Excess Profits Tax N4 Excise Taxes N5 Estate and Gift Taxes N6 Carrier Tax Act Taxes N7 Federal Unemployment Tax Act Taxes N8 Miscellaneous Taxes N9 Withheld and Federal Insurance Contribution Act (FICA) Taxes NA Net Adjustment NB Net Compensation Position NC Negative Collected Balance ND Per Person Monthly Limit NE Net Billed NF Monthly Net Fee Position (Excess/Deficit) NG Medicare Copayment NH Medicare Deductible NI Medicare Paid NJ Other Insurance Paid Amount NK Total in Force and Applied Coverage NL Negative Ledger Balance NM Non-collateralized Amount NN Transaction Fee NO Non Commission Sales NP Net to Pay Total NQ Adjusted Nonrecurring NR Nonrecurring NS Net Savings Amount NT Unit Value NU Reinsurance Amount NV Renewal Amount NW Retention Per Life NX Retention Per Policy NY Net Year to Date (Excess/Deficit) NZ Equalization Account O0 Extraordinary Income O1 Amount of First Mortgage Being Refinanced O2 Other Family Financing for Education O3 Intangible Assets Written Off O4 Interest Payable O5 Interest Receivable O6 Joint Venture Results O7 Long Term Debt O8 Long Term Provisions O9 Loss OA Principal Balance Amount OB Outstanding Loan Balance OC Opening Bank Charges OD Draft Amount OE Miscellaneous Charges OF Contractor's Offer OG Cable Charge OH Handling Charges OI Non-commission Charges OJ Merchandise OK Letter of Credit Amount OL Outstanding Balance Other Lender OM Other Monthly Income ON Negotiating Bank Charges OO Overdrafts OP Original Payment Total OQ Payroll Costs OR Letter of Credit Remaining Amount OS Other Salaries OT Commission Amendment Charges OU Profit OV Profit and Loss Deficit OW Profit after Extraordinary Items and before Tax OX Profit after Tax and Before Extraordinary Items OY Payment Commission OZ Profit Distributed to Employees P0 Parental Financing for Education P1 Partner's Calendar Year Salary P2 Prior Plan Year Gross Salary P3 Premium Amount P4 Prior Year's Wage P5 Partner's Tax Year Salary P6 Premium Due P7 Partner's K1 Tax Year Amount P8 Partner's K1 Calendar Year Amount P9 Current Mortgage Principal Balance PA Payment Cancellation Total PB Billed Amount PC Positive Collected Balance PD Credit PE Plan Period Election PF Principal PG Payoff PH Per Occurrence Deductible PI Per Occurrence Monthly Limit PJ Past Due PK Photograph Fee PL Positive Ledger Balance PM Last Premium Amount PN Prior Gross Invoice Total PO Percent Override PP Payment Prior to Advance PQ Advance Amount PR Per Occurrence Limit PS Per Occurrence per Day Limit PT Per Occurrence Aggregate Limit PU Unsecured Priority Claim PV Prepetition Charges PW Per Occurrence Maximum per Week Limit PX Per Person Maximum per Week Limit PY Per Person per Day Limit PZ Original Principal Balance Q0 Loans to Affiliated Companies Q1 Proposed Q2 1035 Exchange Q3 401K Transfer Q4 Total Prenotes Accepted Q5 Total Prenotes Rejected Q6 Automatic Premium Deduction Q7 Total Post-advices Accepted Q8 Total Post-advices Rejected Q9 Cash With Application QA Combined QB Credit Card QC Deposit Fund QD Direct Billing QE Disc Premium QF Electronic Funds Transfer (EFT) QG Government Allotment QH Initial Premium QI Individual Retirement Account 60 Day Rollover QJ Individual Retirement Account Direct Transfer QK Individual Retirement Account Regular Contribution QL Keogh/HR 10 QM Keogh/HR 10 Transfer QN Quarterly Net Fee Position (Excess/Deficit) QO List Billing QP Modal Premium QQ Payroll Taxes QR Parking Income QS Non-Qualified (1035 Exchange) QT PAC - Pre-Authorized Check QU Payroll Deduction QV Pension QW Premium Received With Application QX Profit Sharing Trust QY Qualified QZ Payment Amount R0 Loans to Participants R1 Fixed, Liquidated Secured Debt R2 Contingent Secured Debt R3 Disputed Secured Debt R4 Unliquidated Secured Debt R5 Fixed, Liquidated Unsecured Debt R6 Contingent Unsecured Debt R7 Disputed Unsecured Debt R8 Unliquidated Unsecured Debt R9 At Time of Filing RA Accelerated Royalty RB Per Person Deductible RC Refund Check RD Per Person Limit RE Royalty Due RF Restitution RG Budgeted Redemption RH Per Person Aggregate Limit RI Residual Value RJ Rate Amount RK Provision for Long Term Depreciation RL Regular Remittance RM Remittance Refund RN Resident Manager's Salary RO Provisions RP Repair RQ Recommended Amount RR Reserve Requirement Amount RS Reserves RT Last Payment RU Total Debits Rejected RV Total Payments Rejected RW Total Delinquency RX Total Pre-advices Accepted RY Total Pre-advices Rejected RZ Lender's Total Delinquency S0 Self-Financing for Education S1 Salary Amount S2 Salary with Bonuses S3 Salary with Commissions S4 Salary with Subchapter S Corporation Income S5 Salary with Partner's Bonuses S6 Subchapter S Corporation S7 Sole Proprietorship S8 Period Rental S9 Secured Claim Allowed SA Campaign Summary Amount SB Stated Amount SC Total Service Charge SD Sales Charge SE Service Charges Which Cannot Be Compensated by Balances SF Scholarship from Admitting Educational Institution SG Sponsor-Financing for Education SH Surrender Charge SI Subsequent Interest Payment Amount SJ Surrender Full SK Surrender Partial SL Security Personnel's Salary SM Supplemental SN Sales Administration Expense SO Special Creditors Amount SP Sales Price SQ Special Debtors Amount SR Secured Claim SS Campaign Summary Amount to be Shared ST State SU Surcharge SV Fixed Monthly Principal Payment SW Base Award Fee SX Severance Tax SY Initial Buydown Balance SZ Certification Fee T0 Third-Party Government-Financing for Education T1 Teacher T2 Total Claim Before Taxes T3 Total Submitted Charges T4 Total Current Balance T5 Total Claims T6 Claim T7 Total Credits Accepted T8 Total Credits Rejected T9 Total Debits Accepted TA Total Annual Sales TB Total Annual Sales to Customer TC Proposed Cost TD Proposed Profit TE Proposed Fee TF Total Proposed Price TG Alternate Proposed Price TH Total Claim Allowed TI Title Insurance Amount on Loan TJ Time and Expense Paid to Date TK Total Amount of Contract TL Total Prior Loan Amount Owed TM Time and Expense Paid Current Month TN Tax Sheltered Annuity (403B Transfer) TO Telephone Operator's Salary TP Total payment amount TQ Subsidies for Operating Costs TR Target Cost TS Total Sales TT Total Transaction Amount TU Transportation Cost per Unit of Measure TW Technicians Indemnity Provision TX Total to Date TY Total at Complete TZ Transportation Cost Total U0 U.S. Government-Financing for Education U1 Unsecured, Priority Claim Allowed U2 Ingredient Cost Claimed U3 Miscellaneous Expenses U4 Present Value of Lot U5 Cost of Improvements U6 Alterations, Improvements, Repairs U7 Land U8 Refinance U9 Estimated Prepaid Items UA Unliquidated Amount UB Unpaid Principal Balance UC Unspecified Aggregate Limit UD Unsecured, Nonpriority Claim Allowed UE Mortgage Insurance UF Discount (If Borrower Paid) UG Total Unpaid Principal Balance for Stafford Loans UH Subordinate Financing UI Total Costs UJ Other Credits UK Base Loan Amount (w/o financed Mortgage Insurance) UL Mortgage Insurance Financed UM Total Loan Amount UN Unsecured, Nonpriority Claim UO Cash from or to Borrower UP Total Unpaid Principal Balance for Parental Loans for Students UQ Monthly Income UR Unearned Income US Total Unpaid Principal Balance for Supplemental Loans for Students UT Value Added Sales UU Clearing House Settlement UV Drawback UW Total Monthly Liabilities UX Utilities, Furniture, and Amenities Included in Rent UY Total Assets UZ Total Liquid Assets V0 Value Added V1 Tax and Insurance Escrow Fund V2 Interest Due to Investor V3 Total Principal Due to the Investor V4 Total Interest Due to the Investor V5 Total Curtailment Due to the Investor V6 Total Principal Payoff and Repurchase Due to the Investor V7 Total Interest Payoff and Repurchase Due to the Investor V8 Actual Outstanding Principal Balance V9 Face Amount VA Total Current Rent or Mortgage Payment (Issue) VB Total Non-liquid Assets VC Authorized VD Actual Person Day Rate VE Estimated Person Day Rate VF Total Monthly Expenses VG Current Monthly Principal and Interest VH Levy Amount VI Current Support VJ Past Due Support VK Medical Support VL Net Negative Amortization Amount VM Withhold From Wages VN Commission Basis VO Commission Earned VP Current Monthly Payment VQ Commission Netted VR Total Monthly Debt VS Other Financing Payment VT Current Value VU Closing Cost VV Capitalized Mortgage Amount VW First Mortgage Monthly Principal and Interest VX Interest Amount Paid to Date VY Minimum Transfer VZ Maximum Transfer W0 Trade Debtors W1 W-2 W2 W-2 with Bonuses W3 W-2 with Deferred Compensation W4 W-2 without Bonuses W5 Deposit Sub Total W6 Direct Rollover W7 Direct Transfer W8 Discounted W9 Secondary Finance WA Minimum Deposit WB Sub-Agency Compensation WC Buyers Agency Compensation WD Variable Rate Compensation WE Compensation Bonus on Sale of Property WF Veterans Affairs Loan Guarantee WG Security Trade Amount WH Balance Owing All Other Liens, Subject Property WI Other Financing WJ Dual Agency Compensation WK Per Week Limit WL Lender's Opinion of Value WM Total Original Principal Balance WN Other Agent Compensation WO Dock Usage Fee WP Pool Usage Fee WQ Clubhouse Fee WR Optional Service Fee WS Other Association Fees WT Principal, Interest, Taxes WU Principal, Interest, Taxes and Insurance WV Total Points Paid at Closing WW Amount that Would Have Been Paid in the Absence of Capitation WX Points Paid by Seller WY Loan Withdrawal WZ Severance Pay X0 Treble Damages X1 Transfer to Untaxed Reserves X2 Reissued X3 Rollover Amount X4 Annual Rental X5 Gross Monthly Rent X6 SEP - Self Employee Pension X7 Single Premium X8 Funding Amount X9 Tax Sheltered Annuity (403B Transfer) XA Maximum Award Fee XB Maturity Value XC Earned Wages XD Base Period Wage XE Withdrawal XF Withdrawal Inception to Date XG Withdrawal Less Market Value Adjustment XH Withdrawal Less Surrender XI Withdrawal Less Taxes XJ Withdrawal Year to Date XK Unavailable Reserves XL Uncalled Capital XM Unemployment Contribution XN Unlimited Capital, Minimum Fixed XO Unpaid Capital XP Unsecured Liabilities XQ Value Added Tax XR Value of Shares XS Vehicles XT Voluntary Reserves XU Wages XV Withholding XW Original Value XX Working Capital XY Sales Price Per Dwelling Unit XZ Sales Price Per Room Y1 Year to Date Eligible Salary Y2 Total Real Estate Owned Y3 Total Liabilities Y4 Total Liability Monthly Payments Y5 Total Real Estate Owned Market Value Y6 Total Real Estate Owned Gross Rental Income Y7 Total Real Estate Owned Mortgages and Liens Y8 Total Real Estate Owned Mortgage Payments Y9 Total Real Estate Owned Miscellaneous Expenses YA Total Real Estate Owned Net Rental Income YB Actual Unpaid Principal Balance YC Scheduled Unpaid Principal Balance YD Principal Due to Investor YE Constant Principal and Interest YF Other Fee Collection YG Beginning Scheduled Unpaid Principal Balance YH Tax and Insurance Principal Balance YI New Principal and Interest YJ Curtailment YK Prepayment Penalty YL Partial Annuitization YM Partial Withdrawal YN Post Tax Equity and Fiscal Responsibility Act (TEFRA) Gain YO Pre Tax Equity and Fiscal Responsibility Act (TEFRA) Gain YQ Payments in Advance YR Payments in Arrears YS Cancelled YT Denied YU In Process YV Requested YW Paid YX Paid for This Facility YY Returned YZ Total Aggregate Limit Z0 Insertion Cost Z1 Repackaging Labor Cost Z2 Repackaging Material Cost Z3 Unit Cost of Discrepant Material Z4 Liquidation Principal Z5 Remaining Pool Balance Z6 Remaining Security Balance Z7 Program Cost Z8 Override to Handling Fee Z9 Production Cost ZA Federal Medicare or Medicaid Claim Mandate - Category 1 ZB Federal Medicare or Medicaid Claim Mandate - Category 2 ZC Federal Medicare or Medicaid Claim Mandate - Category 3 ZD Federal Medicare or Medicaid Claim Mandate - Category 4 ZE Federal Medicare or Medicaid Claim Mandate - Category 5 ZF Federal Pension Mandate - Category 1 ZG Federal Pension Mandate - Category 2 ZH Federal Pension Mandate - Category 3 ZI Federal Pension Mandate - Category 4 ZJ Federal Pension Mandate - Category 5 ZK Federal Medicare or Medicaid Payment Mandate - Category 1 ZL Federal Medicare or Medicaid Payment Mandate - Category 2 ZM Federal Medicare or Medicaid Payment Mandate - Category 3 ZN Federal Medicare or Medicaid Payment Mandate - Category 4 ZO Federal Medicare or Medicaid Payment Mandate - Category 5 ZP Coupon Face Value ZQ Initial Target Cost ZR Increase ZS Decrease ZT Prorated Amount ZU Loan Charge ZV Mortgage Recording Fee ZW Deed Recording Fee ZX Release Recording Fee ZY Assumption ZZ Mutually Defined AAA Temporary Term Coverage AAB Conditional Receipt Coverage AAC Binding Interim Coverage AAD Application Amount AAE Approved Amount AAF Ultimate Face Amount AAG Requested Amount from All Reinsurers AAH Replacement Amount AAI Scheduled Contribution AAJ Scheduled Disbursement AAK Short Term Investment AAL Subsequent Contribution AAM Subsequent Distribution AAN Tax-Federal AAO Tax-Local AAP Tax-State AAQ Trust Fund AAR Capital Leases AAS Surplus AAT Restated Assets AAU Owing to Clients AAV Shareholder Loans AAW Accumulated Deficit AAX Loan from Parent Company AAY Contribution Not Subject to Repayment AAZ Income Before Depreciation ABA Income After Depreciation ABB Profit (Loss) Before Financial Items ABC Interest Expenses ABD Profit (Loss) Before Extraordinary Items ABE Profit (Loss) After Financial Items ABF Income Before Allocations ABG Income from Sale of Fixed Assets ABH Contribution to Group ABI Deferred Tax Assets ABJ Blocked Accounts ABK Non-taxed Reserves ABL Pledged Assets ABM Restricted Equity ABN Non-restricted Equity ABO Depreciable Assets ABP Taxable Assets ABQ Income from Business ABR Income Subject to Taxes ABS Taxable Amount of Real Estate ABT Ending Principal Balance ABU Average Daily Principal Balance ABV Interest Amount ABW Adjustments for Difference in Average Daily Principal Balance ABX Beginning Principal Balance ABY Loan Principal Disbursements ABZ Principal Increases ACA Principal of Loans Purchased ACB Principal Cured ACC Principal Sold ACD Principal Insurance Claims ACE Principal Guarantee Voided ACF Principal Paid by Borrowers ACG Loans in School and Grace ACH Loans in Authorized Deferment ACI Loans Repay or Forebearance - Current or Less than 31 Days ACJ Loans Repay or Forebearance - 31 to 60 Days Past Due ACK Loans Repay or Forebearance - 61 to 90 Days Past Due ACL Loans Repay or Forebearance - 91 to 120 Days Past Due ACM Loans Repay or Forebearance - 121 to 180 Days Past Due ACN Loans Repay or Forebearance - 181 to 270 Days Past Due ACO Loans Repay or Forebearance - 271 or More Days Past Due ACP Loans Repay or Forebearance - Claims Filed, Not Yet Paid ACQ Agent Sales ACR Amount Involved ACS Assigned Capital ACT Credit Line Utilized ACU Direct Sales ACV Earnings per Share ACW Inheritance ACX Inverted Capital ACY Loan from Family Members ACZ Non Depreciable Assets ADA Partially Paid Amount per Share ADB Pending Orders ADC Personal Loan ADD Plant and Machinery ADE Pre-Tax Loss ADF Pre-Tax Profit ADG Registered Capital ADH Revaluation Reserves ADI Social Capital ADJ Statutory Profit ADK Training Pay ADL Retroactive Pay ADM Expected Reimbursement Amount ADN Permit Cost ADO Minimum ADP Additional Amount to Meet Minimum ADQ Labor Per Hour ADR Non-recoverable Depreciation ADS Recoverable Depreciation ADT Overhead ADW Replacement Cost of Repairs ADX Actual Cash Value of Repairs ADY Recoverable Depreciation of Repairs ADZ Non-recoverable Depreciation of Repairs AEB Actual Cash Value of Building AEC Government Share AED Contractor Share AEE Award Fee AEF Base Fee AEG Target Profit Floor AEH Target Profit Ceiling AEI Labor Per Day AEJ Difference in Interest Due AEK Difference in Prepayment Penalty AEL Difference in Principal Due AVE Average BAA Net Taxable Income BAB Original Amount of Instrument BAC Addition to Tax BAD Reinstatement Fee BAE Permit Fee Due BAF Permit Fee with Extension BAG Net Annual Permit Fee Due BAH Permit Fee Penalty Due BAI Permit Fee Interest Due BAJ Total Permit Fee Due BAK Franchise Tax BAL Unclaimed Franchise Tax Credit BAM Net Franchise Tax Due BAN Franchise Tax Penalty Due BAO Total Franchise Tax Due BAP Total Amount Due BAQ Overpayment BAR Amount to be Refunded BAS Gross In-State Receipts BAT Gross Receipts BAU Occupation Fee BAV Total Assessed Value BAW Total Value of All Property BAX Value of In-State Property BAY Total Value of Out-of-State Property BAZ Total Par Value BBA Total Assessable Capital Stock BBB Apportioned Value BBC Estimated In-State Real Property Value BBD Par Value of In-State Assets BBE In-State Business Revenue BBF Subscription Price BBG Value of Authorized Shares FBA Final Balance LOW Lower Fund PCC Prior Contract Cost Basis PCS Prior Contract Surrender Charge PCV Prior Contract Value SOF Setoff UPF Upper Fund VES Vested/Earned Upper Fund