FIS Mortgage Loan Fiscal Data
Batch
To specify mortgage loan fiscal data when applying for insurance claim benefits
Element Details
ID522
NameAmount Qualifier Code
LengthMin 1 / Max 3
Position1
RequirementMandatory
Codes
- <>ABODepreciable Assets
- <>5ADeferred Credit or Income
- <>QEDisc Premium
- <>84Contract Work Authorized (with fee/profit) Actual or Projected - At Complete
- <>T8Total Credits Rejected
- <>N2Individual Income Taxes and Other
- <>2NTotal All Repairs
- <>BAGNet Annual Permit Fee Due
- <>1UFood Expense
- <>C7Payor Responsibility - Estimated
- <>ACVEarnings per Share
- <>GSSubsequent Adjustments Total
- <>YMPartial Withdrawal
- <>TXTotal to Date
- <>NRNonrecurring
- <>LLocal
- <>8TSecured Loans
- <>LOWLower Fund
- <>5QExtraordinary Charge
- <>QUPayroll Deduction
- <>XTVoluntary Reserves
- <>CGCommission Fees Deducted
- <>51At Complete Variance
- <>Q5Total Prenotes Rejected
- <>KOCommitted Amount
- <>8DPunitive Damages
- <>THTotal Claim Allowed
- <>NBNet Compensation Position
- <>73Accrued Expenditures plus Open Commitments
- <>FZEarned Income
- <>S7Sole Proprietorship
- <>E1Employer Year to Date Contribution
- <>WSOther Association Fees
- <>IMAdjustment for Rooms
- <>ZFFederal Pension Mandate - Category 1
- <>XDBase Period Wage
- <>15Estimated Closing Cost Amount
- <>CWEarned Value
- <>G3Price per Unit Area
- <>9MTax Adjustments
- <>OKLetter of Credit Amount
- <>MIMinimum Incentive Fee
- <>37Current Budgeted Cost for Work Scheduled (BCWS)
- <>A5Disallowed - Estimated
- <>4XCurrent Liabilities
- <>ADYRecoverable Depreciation of Repairs
- <>JVLoan Value
- <>WCBuyers Agency Compensation
- <>H4Deposit Year to Date
- <>ZVMortgage Recording Fee
- <>LPList Price
- <>0LAmount Over-collateralized
- <>FJWaiver Fee
- <>6JFuture Loan
- <>AUCoverage Amount
- <>48Reprogram Budget
- <>RNResident Manager's Salary
- <>DHTotal Disbursements
- <>J6Final Principal and Interest Payment
- <>UAUnliquidated Amount
- <>3WNominal Capital
- <>4HCapital
- <>D8Discount Amount
- <>ADISocial Capital
- <>PLPositive Ledger Balance
- <>JFAdministrative Load
- <>U1Unsecured, Priority Claim Allowed
- <>MYSurrender Value
- <>7SPrepaid Orders in Progress
- <>AATRestated Assets
- <>SWBase Award Fee
- <>EQCondominium Association Fees
- <>W3W-2 with Deferred Compensation
- <>VJPast Due Support
- <>HDPostal Money Orders
- <>UQMonthly Income
- <>M9Net of Surrender Withdrawal
- <>3GAmortization Costs
- <>6ZOptional Reserves
- <>AEArrearage
- <>DXDeductible Waived
- <>X4Annual Rental
- <>BAWTotal Value of All Property
- <>1EFixed Price
- <>ACFPrincipal Paid by Borrowers
- <>GCPrice, Low Value
- <>AADApplication Amount
- <>SGSponsor-Financing for Education
- <>EAEarnings Allowance
- <>VZMaximum Transfer
- <>HTOvertime Pay
- <>Z6Remaining Security Balance
- <>L0Liquid Assets
- <>7COutstanding Debts against Board of Directors/Managers
- <>BNRental Income
- <>61Cumulative Schedule Performance Index (SPI)
- <>4CNotes Receivable
- <>R5Fixed, Liquidated Unsecured Debt
- <>PGPayoff
- <>D3Deferred Compensation Commissions and Bonuses
- <>ADBPending Orders
- <>JMEmployee Match Contribution
- <>MRManagement Reserve
- <>07Deferred Graduated Payment Mortgage Interest Paid
- <>7XProfit or Loss on Ordinary Activities after Tax
- <>BUOverhead Costs
- <>F1Maximum Allowable Cost (MAC) Penalty Copay
- <>EZUniform Commercial Code Filing Office Fee
- <>W8Discounted
- <>VATotal Current Rent or Mortgage Payment (Issue)
- <>HOVacation Pay
- <>UZTotal Liquid Assets
- <>M2Medical Contribution
- <>3LBad Debt Allowance
- <>BBGValue of Authorized Shares
- <>6QIncome Tax
- <>ANBankruptcy Fee
- <>RUTotal Debits Rejected
- <>DSAlimony Income
- <>96Employee Account Balance
- <>O0Extraordinary Income
- <>YVRequested
- <>1NIncome from Social Security and/or other Government Assistance
- <>ACMLoans Repay or Forebearance - 121 to 180 Days Past Due
- <>GHPredominate Value
- <>BEDisbursements for Authorized Repair
- <>7HOwing to Fiscal Office
- <>AAOTax-Local
- <>SLSecurity Personnel's Salary
- <>EJInsurance, Maintenance, Taxes and Miscellaneous
- <>I6Custodian's Salary
- <>VQCommission Netted
- <>ABDProfit (Loss) Before Extraordinary Items
- <>5JEquipment
- <>QNQuarterly Net Fee Position (Excess/Deficit)
- <>K4Initial Target Fee
- <>T3Total Submitted Charges
- <>N9Withheld and Federal Insurance Contribution Act (FICA) Taxes
- <>2EValue of Property Claimed as Exempt
- <>BALUnclaimed Franchise Tax Credit
- <>GXTotal Credit
- <>YFOther Fee Collection
- <>TSTotal Sales
- <>NYNet Year to Date (Excess/Deficit)
- <>GCollateral
- <>KTDefault Principal
- <>7Discount Amount Due
- <>2UState Quarterly Disability Insurance Taxable Wages
- <>ABTEnding Principal Balance
- <>5ZFixed Asset Debts
- <>9VInventory (Stock) Purchases
- <>OPOriginal Payment Total
- <>Y6Total Real Estate Owned Gross Rental Income
- <>CLOutstanding Balance Current Lender
- <>8ORevenues
- <>KDUndefinitized
- <>WDeficiency Judgment Fees
- <>TCProposed Cost
- <>NIMedicare Paid
- <>25Assets at Bankruptcy
- <>78Forecast of Work - All Other
- <>B5Budgeted
- <>FQFirm Contractor Share
- <>WXPoints Paid by Seller
- <>IFInspection Fee
- <>ZMFederal Medicare or Medicaid Payment Mandate - Category 3
- <>LKLoan Amount Requested
- <>XOUnpaid Capital
- <>G8Indicated Value by Cost Approach
- <>9FStarting Capital
- <>MBUndistributed Budget
- <>4SConvertible Debentures
- <>ADRNon-recoverable Depreciation
- <>PWPer Occurrence Maximum per Week Limit
- <>AEKDifference in Prepayment Penalty
- <>WHBalance Owing All Other Liens, Subject Property
- <>IVUtilities Allowance
- <>V1Tax and Insurance Escrow Fund
- <>0GCurtailment Adjustment
- <>FACoordination Fee
- <>6AFixed Assets
- <>43Cumulative Budgeted Cost for Work Performed (BCWP)
- <>RERoyalty Due
- <>P7Partner's K1 Tax Year Amount
- <>DCUnapplied Buydown Fund
- <>UJOther Credits
- <>LVPlanned Periodic Payment
- <>0JGuarantee Fee Adjustment
- <>FLFloat
- <>AEFBase Fee
- <>WECompensation Bonus on Sale of Property
- <>H2Cancellation
- <>ZPCoupon Face Value
- <>UGTotal Unpaid Principal Balance for Stafford Loans
- <>3QLong Term Tangible Assets
- <>6LGeneral Expenses
- <>ASAverage Price Per Minute
- <>RHPer Person Aggregate Limit
- <>DNLiability
- <>J0Limited Partnership Capital
- <>PJPast Due
- <>ADOMinimum
- <>U7Land
- <>4NCommercial Debt
- <>R8Unliquidated Unsecured Debt
- <>AARCapital Leases
- <>SQSpecial Debtors Amount
- <>EWPledged Savings
- <>W5Deposit Sub Total
- <>VLNet Negative Amortization Amount
- <>HBCurrency
- <>7UProfit or Loss
- <>BXAmount Owed to Buyer at Closing
- <>ACAverage Collected Balance
- <>RXTotal Pre-advices Accepted
- <>UWTotal Monthly Liabilities
- <>3AAccounting
- <>X2Reissued
- <>BAQOverpayment
- <>1CVariance Adjustment Schedule
- <>GEFunctional Depreciation
- <>HRTotal Payroll Approved
- <>Z0Insertion Cost
- <>L6Total Pre-advices Received
- <>7EOwing from Affiliates
- <>BHEviction Expenses
- <>AABConditional Receipt Coverage
- <>SACampaign Summary Amount
- <>EGOther Income
- <>N4Excise Taxes
- <>2HOperating Expenses
- <>ABIDeferred Tax Assets
- <>5GDirector's Remuneration
- <>QCDeposit Fund
- <>82Net Funds Required
- <>K9New Price
- <>YKPrepayment Penalty
- <>BAANet Taxable Income
- <>1STelephone Payment
- <>C1Co-Payment Amount
- <>ACPLoans Repay or Forebearance - Claims Filed, Not Yet Paid
- <>GUTaxes Paid
- <>JTrustee Fees
- <>8RSavings
- <>KYNot-To-Exceed Price
- <>NTUnit Value
- <>2XAsset-Short Term
- <>ABYLoan Principal Disbursements
- <>5WFinancial Expenses
- <>QSNon-Qualified (1035 Exchange)
- <>XRValue of Shares
- <>CAContractor Cumulative to Date
- <>TNTax Sheltered Annuity (403B Transfer)
- <>NDPer Person Monthly Limit
- <>28Target Price
- <>57Current Cost Performance Index (CPIp) - Planned (ACWP/BCWP)
- <>Q3401K Transfer
- <>KINet Variance Amount
- <>ZList Price When Sold
- <>8BProvision for Future Purchases
- <>E7Employee Year to Date Contribution
- <>WUPrincipal, Interest, Taxes and Insurance
- <>IKIndicated Monthly Market Rent
- <>LFLoan Remittance or Repayment
- <>75Contract Work Authorized - Not Definitized
- <>B8Co-insurance - Estimated
- <>S1Salary Amount
- <>G5Estimated Monthly Market Rent
- <>9KSurplus of Revaluation
- <>OMOther Monthly Income
- <>XBMaturity Value
- <>13Outstanding Balance at Foreclosure
- <>CQNet Claim Amount
- <>A3Average Negative Collected Balance
- <>PZOriginal Principal Balance
- <>JPFree Withdrawal Value
- <>MOMinimum Order Value
- <>31Estimated Contract Ceiling
- <>OJMerchandise
- <>XEWithdrawal
- <>14Legal Obligation Debt Amount
- <>CVSubcontractor at Complete
- <>G2Indicated Value by Income Approach
- <>9LTangible Net Worth
- <>JWMarket Value
- <>MHMinimum Late Charge
- <>36Contract Budget Base (CBB)
- <>A4Average Positive Ledger Balance
- <>4YDamages
- <>ADXActual Cash Value of Repairs
- <>FKOther Unlisted Amount
- <>WBSub-Agency Compensation
- <>H5Dump in Remittance
- <>ZWDeed Recording Fee
- <>LQMaximum Potential Liability
- <>0MTrial Balance Adjustment
- <>6KGeneral Accounts
- <>ATTotal Received
- <>49At Complete Budget (BAC)
- <>ROProvisions
- <>DICharge Off
- <>J7Conversion Fee
- <>3VMortgage
- <>4ICapital Associated with Principal
- <>D9Cumulative Actual
- <>ADHRevaluation Reserves
- <>PMLast Premium Amount
- <>JGAsset Cost Applicable to Entire Contract
- <>U0U.S. Government-Financing for Education
- <>MXMaximum Incentive Fee
- <>7RPreferred Stock
- <>AAUOwing to Clients
- <>SVFixed Monthly Principal Payment
- <>EPEmployer Annual Pledge Amount
- <>W2W-2 with Bonuses
- <>VKMedical Support
- <>HECity Checks
- <>UPTotal Unpaid Principal Balance for Parental Loans for Students
- <>M8Markup Amount
- <>3FAmortization
- <>ADAdjusted Total
- <>DYPer Day Limit
- <>X5Gross Monthly Rent
- <>BAVTotal Assessed Value
- <>1DEscalation
- <>ACGLoans in School and Grace
- <>GBPrice, High Value
- <>7BOutside Share in Profit or Loss
- <>BORental Expense
- <>AAEApproved Amount
- <>SFScholarship from Admitting Educational Institution
- <>HURegular Pay
- <>Z7Program Cost
- <>L1Legal Contribution
- <>ABNNon-restricted Equity
- <>QDDirect Billing
- <>85Best Case Estimate
- <>T9Total Debits Accepted
- <>N3Corporate Income and Excess Profits Tax
- <>BAFPermit Fee with Extension
- <>1TMaintenance Expense
- <>C6Claim Amount Due - Actual
- <>ACWInheritance
- <>GRCredit Line Available
- <>YLPartial Annuitization
- <>PCVPrior Contract Value
- <>TYTotal at Complete
- <>NSNet Savings Amount
- <>MAmount Due from Buyer at Appraisal Notice Date
- <>8USelling Expenses
- <>5PExternal Charge
- <>QTPAC - Pre-Authorized Check
- <>OZProfit Distributed to Employees
- <>XUWages
- <>CFAppraisal Fees
- <>50At Complete Latest Revised Estimate (LRE)
- <>Q4Total Prenotes Accepted
- <>KNGross Amount of Payment
- <>8EPurchase Price
- <>TITitle Insurance Amount on Loan
- <>NCNegative Collected Balance
- <>72Estimated Termination Costs
- <>S6Subchapter S Corporation
- <>E0Administration and Management Indemnity Charge
- <>WROptional Service Fee
- <>ILPredominant Price Low
- <>ZGFederal Pension Mandate - Category 2
- <>LADefinitized
- <>KSTaxes and Insurance
- <>8XShare in Profit or Loss of Minority Interest
- <>TTTotal Transaction Amount
- <>QYQualified
- <>2RState Quarterly Unemployment Insurance (UI) Total Wages
- <>ABSTaxable Amount of Real Estate
- <>CKBack End Load
- <>9QTax Recoverable
- <>OWProfit after Extraordinary Items and before Tax
- <>Y1Year to Date Eligible Salary
- <>XXWorking Capital
- <>22Owner's Estimate of Value Amount
- <>Q9Cash With Application
- <>8HReal Estate
- <>KCObligated
- <>PPenalty
- <>TDProposed Profit
- <>NNTransaction Fee
- <>LLLump Sum
- <>0PItem
- <>B2Bonuses and Commissions Divided Over 12 Months
- <>FVFlat Fee Paid to Date
- <>IAAdjusted Monthly Rent
- <>ZJFederal Pension Mandate - Category 5
- <>OGCable Charge
- <>XHWithdrawal Less Surrender
- <>19Federal Housing Administration, Mortgage Insurance Premium Funding Fee Financed Amount
- <>9ASocial Charges
- <>PPPayment Prior to Advance
- <>JZNet Contract Value
- <>MEMinimum Default Note Holder's Cost
- <>A9Allowed - Estimated
- <>4TCost of Goods Sold
- <>FFApplication Fee
- <>AELDifference in Principal Due
- <>WODock Usage Fee
- <>IQContingent Debt
- <>V6Total Principal Payoff and Repurchase Due to the Investor
- <>H8Structure Value
- <>ZZMutually Defined
- <>6FFranchise Tax Balance
- <>AYTitle Cost
- <>44Cumulative Actual Cost of Work Performed (ACWP)
- <>RBPer Person Deductible
- <>P0Parental Financing for Education
- <>DDDirect Deposit
- <>UMTotal Loan Amount
- <>66Adjusted Contract Price Target
- <>4DBank Debentures
- <>R2Contingent Secured Debt
- <>D4Deferred Compensation
- <>ADEPre-Tax Loss
- <>JJCost Basis
- <>MUPremium Tax Paid on Surrender
- <>HHAnnual Social Security Wages
- <>BRAdjusted Insured Loss Amount
- <>F6Provider Reserves
- <>AAXLoan from Parent Company
- <>VFTotal Monthly Expenses
- <>DTChild Support Expense
- <>M5Minimum amount to which tax rate is applied
- <>3KAvailable Reserves
- <>6VIntangibles
- <>AISale Amount
- <>RRReserve Requirement Amount
- <>91Site Value Amount
- <>O7Long Term Debt
- <>YQPayments in Advance
- <>X8Funding Amount
- <>ACJLoans Repay or Forebearance - 31 to 60 Days Past Due
- <>GOCredit Line
- <>BBMortgage Insurance Premiums
- <>7OPatents
- <>AAHReplacement Amount
- <>SKSurrender Partial
- <>EMGross Rental Income
- <>I1Investment Income
- <>VVCapitalized Mortgage Amount
- <>HXContract Price
- <>2BLife Insurance Expense
- <>ABCInterest Expenses
- <>5MEquity
- <>QIIndividual Retirement Account 60 Day Rollover
- <>88"As Is" Appraisal Amount
- <>K3Veterans Affairs Funding Fee
- <>T4Total Current Balance
- <>YATotal Real Estate Owned Net Rental Income
- <>BAKFranchise Tax
- <>1YRecreation Expenses
- <>ACZNon Depreciable Assets
- <>QBCredit Card
- <>83Contract Work Authorized (with fee/profit) Actual or Projected
- <>K8Special Accounting Classification Reference Number (ACRN)Amount
- <>N5Estate and Gift Taxes
- <>2ITotal Projected Monthly Income
- <>ABHContribution to Group
- <>5FDepreciation of Revaluation of Fixed Assets
- <>ACQAgent Sales
- <>GTGoods and Services Tax
- <>YJCurtailment
- <>1RWater and/or Sewer Payment
- <>C0Current Expenditures
- <>KAttorney and Trustee Fees
- <>8SSecured Liability
- <>KXMiscellaneous Fee Collections
- <>NUReinsurance Amount
- <>2YBase Coverage
- <>ABXBeginning Principal Balance
- <>5VFinancial Debt
- <>QRParking Income
- <>XSVehicles
- <>9ZLabor Costs
- <>Q21035 Exchange
- <>8CProvision for Risks
- <>KHDeduction Amount
- <>TOTelephone Operator's Salary
- <>NENet Billed
- <>29Estimated Price
- <>56Current Cost Performance Index (CPIe) - Efficiency (BCWP/ACWP)
- <>S0Self-Financing for Education
- <>E6Eligible Wage Amount
- <>WTPrincipal, Interest, Taxes
- <>IJNet Adjusted Monthly Rent
- <>ZAFederal Medicare or Medicaid Claim Mandate - Category 1
- <>LGLaundry Income
- <>74Contract Work Authorized - Definitized
- <>B9Co-insurance - Actual
- <>CPStatutory Disbursements
- <>G4Reconciliation of Final Value Estimate
- <>9JSupplies
- <>OLOutstanding Balance Other Lender
- <>XCEarned Wages
- <>12Account Average Balance Account
- <>30Contract Ceiling
- <>A2Average Positive Collected Balance
- <>JQFront End Load
- <>MNMonthly Limit
- <>ZQInitial Target Cost
- <>LWTax and Insurance Escrow Fund Balance
- <>0KAmount Under-collateralized
- <>FMFair Market Value
- <>AEGTarget Profit Floor
- <>WDVariable Rate Compensation
- <>IZAccount High Balance
- <>H3Deposit Inception to Date
- <>J1Current Face Amount
- <>UFDiscount (If Borrower Paid)
- <>3PLong Term Liabilities
- <>6MGoodwill
- <>ARFees to Public Officials for Foreclosure
- <>RIResidual Value
- <>DOSatisfaction
- <>R9At Time of Filing
- <>PKPhotograph Fee
- <>ADNPermit Cost
- <>JAAssessment
- <>U6Alterations, Improvements, Repairs
- <>4OCommercial Expenses
- <>7TPrior Results Carried Forward
- <>BYAdditional Closing Expenses
- <>AASSurplus
- <>SPSales Price
- <>EVPresale Proceeds
- <>W4W-2 without Bonuses
- <>VMWithhold From Wages
- <>HCU.S. Treasury Checks
- <>ABAdjusted Collected Balance
- <>RYTotal Pre-advices Rejected
- <>UVDrawback
- <>X3Rollover Amount
- <>BAPTotal Amount Due
- <>1BVariance Adjustment Cost
- <>ACAPrincipal of Loans Purchased
- <>GDPhysical Depreciation
- <>YZTotal Aggregate Limit
- <>HSHoliday Pay
- <>Z1Repackaging Labor Cost
- <>L7Total Prenotes Received
- <>7DOwing
- <>BIProperty Taxes
- <>AACBinding Interim Coverage
- <>EFEstimated Financial Aid
- <>GADepreciated Value of Improvements
- <>O9Loss
- <>X6SEP - Self Employee Pension
- <>BAUOccupation Fee
- <>1GMeals
- <>ACDPrincipal Insurance Claims
- <>7AOrganizational Expenses
- <>BLDisbursements for Inspections and Boarding
- <>AAFUltimate Face Amount
- <>SEService Charges Which Cannot Be Compensated by Balances
- <>ECAllowance (Excess/Deficit)
- <>VXInterest Amount Paid to Date
- <>HVSick Pay
- <>Z4Liquidation Principal
- <>L2Leasehold Insurance Amount
- <>2LValue of Personal Property
- <>ABMRestricted Equity
- <>5CDeposits
- <>QGGovernment Allotment
- <>86Worst Case Estimate
- <>N0Loans or Financial Borrowings
- <>YOPre Tax Equity and Fiscal Responsibility Act (TEFRA) Gain
- <>BAEPermit Fee Due
- <>1WLaundry Expense
- <>C5Claim Amount Due - Estimated
- <>ACTCredit Line Utilized
- <>GQBrokers Opinion Repair Amount
- <>NNet
- <>8VServices
- <>TZTransportation Cost Total
- <>NPNet to Pay Total
- <>QWPremium Received With Application
- <>5SExtraordinary Result
- <>CESummary Amount
- <>OYPayment Commission
- <>XVWithholding
- <>53Difference (Contract Budget Base - Total Allocated Budget)
- <>Q7Total Post-advices Accepted
- <>KMDisbursed Amount
- <>8FPurchases
- <>TJTime and Expense Paid to Date
- <>LBDefinitized Total
- <>71Forecast of Billings
- <>FXEndorsement
- <>S5Salary with Partner's Bonuses
- <>E3Employee Current Contribution
- <>WQClubhouse Fee
- <>IOAdjustment for Bedrooms
- <>ZDFederal Medicare or Medicaid Claim Mandate - Category 4
- <>OINon-commission Charges
- <>XFWithdrawal Inception to Date
- <>17Closing Costs or Concessions Paid by Seller
- <>CUSubcontractor Cumulative to Date
- <>G1Indicated Value by Sales Comparison Approach
- <>9OTax Capital Amount
- <>JTMonthly Rent
- <>MKGross to Pay
- <>35Current Target Cost
- <>A7Noncovered Charges - Estimated
- <>4ZDeferred Cost
- <>FHRegulatory Fee
- <>AEBActual Cash Value of Building
- <>WAMinimum Deposit
- <>V8Actual Outstanding Principal Balance
- <>H6Earnings
- <>ZTProrated Amount
- <>LRTotal Credit for Settlement
- <>0NCustodial Bank Account Adjustment
- <>6HFree Reserves
- <>AWReplacement Cost
- <>RLRegular Remittance
- <>DJLiens Amount Original
- <>J4Initial Monthly Payment
- <>UCUnspecified Aggregate Limit
- <>3UMiscellaneous After Tax Exempt
- <>68Funds Authorized to Date
- <>4JCapital of Other Subsidiaries
- <>ADKTraining Pay
- <>PNPrior Gross Invoice Total
- <>JDWeekly Benefit
- <>U3Miscellaneous Expenses
- <>HFOther Checks
- <>7QPensions Provision
- <>F8Usual and Customary Charge - Estimated
- <>AAVShareholder Loans
- <>SUSurcharge
- <>ESMortgage Insurance Proceeds
- <>W1W-2
- <>VHLevy Amount
- <>DZJob-related Expense
- <>USTotal Unpaid Principal Balance for Supplemental Loans for Students
- <>3EAdvertising Expenses
- <>6XInterest on Loans
- <>AGAdjusted Gross Income
- <>FGLicensing Fee
- <>WNOther Agent Compensation
- <>IPInterest Payable During Repayment Period
- <>V7Total Interest Payoff and Repurchase Due to the Investor
- <>H9Original List Price
- <>0AInterest Substitution Adjustment
- <>3ZExcess Amount Requested
- <>6GFranchise Tax Paid
- <>AXPrevious Price
- <>45Cumulative Schedule Variance (SV)
- <>RCRefund Check
- <>P1Partner's Calendar Year Salary
- <>DEEstimate of Damage
- <>ULMortgage Insurance Financed
- <>MTPre Tax Equity and Fiscal Responsibility Act (TEFRA) Cost Basis
- <>67Adjusted Contract Price Ceiling
- <>4EBank Obligations
- <>R3Disputed Secured Debt
- <>PAPayment Cancellation Total
- <>D5Dependent Care Contribution
- <>ADDPlant and Machinery
- <>JKDisability Premium
- <>VGCurrent Monthly Principal and Interest
- <>HIAnnual Social Security Tips
- <>01Fixed Installment Control Accounting Error
- <>BSMortgage Note Interest
- <>F7Sales Tax
- <>AAYContribution Not Subject to Repayment
- <>SZCertification Fee
- <>RSReserves
- <>DUChild Support Income
- <>M4Minimum amount of tax to be paid
- <>3JAuthorized Capital
- <>BBATotal Assessable Capital Stock
- <>6WInterest of Third Party
- <>AHLoan Balance Difference
- <>ACKLoans Repay or Forebearance - 61 to 90 Days Past Due
- <>GNBuy-down
- <>90"Completion Per Plans" Appraisal Amount
- <>O6Joint Venture Results
- <>X9Tax Sheltered Annuity (403B Transfer)
- <>BAZTotal Par Value
- <>1HTravel Expense
- <>BCBilling Cycle Net Fee Position (Excess/Deficit)
- <>7NParticipating Interest
- <>AAIScheduled Contribution
- <>SJSurrender Full
- <>ELPresent Market Value
- <>I0Life Insurance Coverage
- <>VWFirst Mortgage Monthly Principal and Interest
- <>HYCommercial Space Income
- <>2CHealth Insurance Expense
- <>ABBProfit (Loss) Before Financial Items
- <>5LEquities, Stocks
- <>QHInitial Premium
- <>89"Subject To" Appraisal Amount
- <>K2Total Unpaid Security Balance
- <>T5Total Claims
- <>BAJTotal Permit Fee Due
- <>1XMedical and/or Dental Expense
- <>KRLiability-Long Term
- <>AAdjusted Chargeback Claim Amount
- <>8YShare Premium Capital
- <>TUTransportation Cost per Unit of Measure
- <>QXProfit Sharing Trust
- <>1Line Item Total
- <>2SState Quarterly Unemployment Insurance (UI) Excess Wages
- <>ABRIncome Subject to Taxes
- <>CJOther Deductions
- <>9PTax on Extraordinary Items
- <>OVProfit and Loss Deficit
- <>XYSales Price Per Dwelling Unit
- <>23Appraised Value Amount
- <>Q8Total Post-advices Rejected
- <>8IReceivables
- <>KBEstimated Net Adjustment
- <>QAmount Owed to Buyer at Appraisal Notice Date
- <>TEProposed Fee
- <>NONon Commission Sales
- <>ZKFederal Medicare or Medicaid Payment Mandate - Category 1
- <>LMLimit
- <>0QSchedule
- <>B3Bonuses Divided Over 12 Months
- <>FWFlat Fee Paid Current Month
- <>OFContractor's Offer
- <>XIWithdrawal Less Taxes
- <>18Prepaid Items Amount
- <>CZCumulative Earned Value
- <>ADTOverhead
- <>PQAdvance Amount
- <>MDMinimum Due
- <>A8Noncovered Charges - Actual
- <>4UCost of Sales
- <>9ESpecific Performance
- <>OCOpening Bank Charges
- <>XLUncalled Capital
- <>4PCommon Stock
- <>ADQLabor Per Hour
- <>PTPer Occurrence Aggregate Limit
- <>MAMaximum Amount
- <>V2Interest Due to Investor
- <>LXLoan Expense
- <>0DPrepaid Principal
- <>FBCalculation Fee
- <>AEHTarget Profit Ceiling
- <>WKPer Week Limit
- <>IUAccrued Unpaid Interest Not To Be Capitalized
- <>RFRestitution
- <>P4Prior Year's Wage
- <>UITotal Costs
- <>6BFixed Assets for Sale
- <>40Current Schedule Variance (SV)
- <>R6Contingent Unsecured Debt
- <>PDCredit
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