USSGLExplorer

Fed/Nonfed

BulkFile attribute Indicates the type of entity involved in transactions with the reporting entity: other federal entities (F); non-federal entities such as private/local/state/tribal/foreign governments (N), exceptions for other non-federal partners (E), unidentified federal activity that does not have a trading partner (Z), or General Fund of the U.S. Government only (G).

Accounts using this attribute

444
AccountTitleLegal values (this account)
101000 Fund Balance With Treasury G
109000 Fund Balance With Treasury While Awaiting a Warrant or Mandated Non-Expenditure Transfer G
110100 General Fund of the U.S. Government's Operating Cash N
110300 Restricted Operating Cash N
110900 Checks Outstanding N
111000 Undeposited Collections N
112000 Imprest Funds N
112500 U.S. Debit Card Funds N
113000 Funds Held Outside of Treasury - Budgetary N
113500 Funds Held Outside of Treasury - Non-Budgetary N
113510 Restricted Cash Held Outside of Treasury - Non-Budgetary N
114500 Cash Held by U.S. Disbursing Officers Outside the Treasury's General Account N
119000 Other Cash N
119400 Exchange Stabilization Fund (ESF) Assets - Holdings of Special Drawing Rights (SDR) N
119500 Other Monetary Assets N
120000 Foreign Currency N
120500 Foreign Currency Denominated Equivalent Assets N
120900 Uninvested Foreign Currency N
123000 Foreign Currency Held Outside Of Treasury - Budgetary N
123500 Foreign Currency Held Outside Of Treasury - Non-Budgetary N
125000 Central Accounting/Agency Reconciliation Account N
131000 Accounts Receivable F N
131900 Allowance for Loss on Accounts Receivable F N
132000 Funded Employment Benefit Contributions Receivable F N
132100 Unfunded FECA Benefit Contributions Receivable F N
132500 Taxes Receivable N
132900 Allowance for Loss on Taxes Receivable N
133000 Receivable for Transfers of Currently Invested Balances F
133500 Expenditure Transfers Receivable F
133900 Future Exchange Credit Receivable F
134000 Interest Receivable - Not Otherwise Classified F N
134100 Interest Receivable - Loans F N
134200 Interest Receivable - Investments F N
134300 Interest Receivable - Taxes N
134400 Interest Receivable on Special Drawing Rights (SDR) N
134500 Allowance for Loss on Interest Receivable - Loans N
134600 Allowance for Loss on Interest Receivable - Investments N
134700 Allowance for Loss on Interest Receivable - Not Otherwise Classified N
134800 Allowance for Loss on Interest Receivable - Taxes N
134900 Interest Receivable on Uninvested Funds F
135000 Loans Receivable F N
135100 Capitalized Loan Interest Receivable - Non-Credit Reform F
135900 Allowance for Loss on Loans Receivable N
136000 Penalties and Fines Receivable - Not Otherwise Classified F N
136100 Penalties and Fines Receivable - Loans F N
136300 Penalties and Fines Receivable - Taxes N
136500 Allowance for Loss on Penalties and Fines Receivable - Loans N
136700 Allowance for Loss on Penalties and Fines Receivable - Not Otherwise Classified F N
136800 Allowance for Loss on Penalties and Fines Receivable - Taxes N
137000 Administrative Fees Receivable - Not Otherwise Classified F N
137100 Administrative Fees Receivable - Loans F N
137300 Administrative Fees Receivable - Taxes N
137400 Criminal Restitution Receivable N
137500 Allowance for Loss on Administrative Fees Receivable - Loans N
137700 Allowance for Loss on Administrative Fees Receivable - Not Otherwise Classified F N
137800 Allowance for Loss on Administrative Fees Receivable - Taxes N
137900 Allowance for Loss on Criminal Restitution Receivable N
138000 Loans Receivable - Troubled Assets Relief Program N
138100 Interest Receivable - Loans - Troubled Assets Relief Program N
138400 Interest Receivable - Foreign Currency Denominated Assets N
138500 Allowance for Loss on Interest Receivable - Loans - Troubled Assets Relief Program N
138900 Allowance for Subsidy - Loans - Troubled Assets Relief Program N
139000 Appropriated Dedicated Collections Receivable F
139900 Allowance for Subsidy N
141000 Advances and Prepayments F N
153100 Seized Monetary Instruments N
153200 Seized Cash Deposited N
154100 Forfeited Property Held for Sale N
154200 Forfeited Property Held for Donation or Use N
154900 Forfeited Property - Allowance N
155100 Foreclosed Property N
155900 Foreclosed Property - Allowance N
156100 Commodities Held Under Price Support and Stabilization Support Programs N
156900 Commodities - Allowance N
157100 Stockpile Materials Held in Reserve N
157200 Stockpile Materials Held for Sale N
159100 Other Related Property N
159900 Other Related Property - Allowance N
161000 Investments in U.S. Treasury Securities Issued by the Bureau of the Fiscal Service F N
161020 Investments in Marketable U.S. Treasury Securities Purchased on the Secondary Market F N
161100 Discount on U.S. Treasury Securities Issued by the Bureau of the Fiscal Service F N
161120 Discount on Marketable U.S. Treasury Securities Purchased on the Secondary Market F N
161200 Premium on U.S. Treasury Securities Issued by the Bureau of the Fiscal Service F N
161220 Premium on Marketable U.S. Treasury Securities Purchased on the Secondary Market F N
161300 Amortization of Discount and Premium on U.S. Treasury Securities Issued by the Bureau of the Fiscal Service F N
161320 Amortization of Discount and Premium on Marketable U.S. Treasury Securities Purchased on the Secondary Market F N
161800 Market Adjustment - Investments E F N
162000 Investments in Securities Other Than the Bureau of the Fiscal Service Securities E F N
162100 Discount on Securities Other Than the Bureau of the Fiscal Service Securities F N
162200 Premium on Securities Other Than the Bureau of the Fiscal Service Securities F N
162300 Amortization of Discount and Premium on Securities Other Than the Bureau of the Fiscal Service Securities F N
163000 Investments in U.S. Treasury Zero Coupon Bonds Issued by the Bureau of the Fiscal Service F
163100 Discount on U.S. Treasury Zero Coupon Bonds Issued by the Bureau of the Fiscal Service F
163300 Amortization of Discount on U.S. Treasury Zero Coupon Bonds Issued by the Bureau of the Fiscal Service F
164200 Preferred Stock Accounted for Under the Provisions of the Federal Credit Reform Act N
164300 Allowance for Subsidy - Preferred Stock Accounted for Under the Provisions of the Federal Credit Reform Act F N
164400 Common Stock Accounted for Under the Provisions of the Federal Credit Reform Act N
164500 Allowance for Subsidy - Common Stock Accounted for Under the Provisions of the Federal Credit Reform Act N
164600 Discount on Securities Account for Under the Provisions of the Federal Credit Reform Act N
164700 Premium on Securities Accounted for Under the Provisions of the Federal Credit Reform Act N
165000 Preferred Stock in Federal Government Sponsored Enterprise N
165100 Market Adjustment - Senior Preferred Stock in Federal Government Sponsored Enterprise N
165200 Common Stock Warrants in Federal Government Sponsored Enterprise N
165300 Market Adjustment - Common Stock Warrants in Federal Government Sponsored Enterprise N
167000 Foreign Investments N
167100 Discount on Foreign Investments N
167200 Premium on Foreign Investments N
167900 Foreign Exchange Rate Revalue Adjustments - Investments N
169000 Other Non-Federal Investments N
192100 Receivable From Appropriations G
192300 Contingent Receivable for Capital Transfers F
192500 Capital Transfers Receivable F
198000 Asset for Agency's Custodial and Non-Entity Liabilities - General Fund of the U.S. Government F
198100 Receivable from Custodian or Non-Entity Assets Receivable From a Federal Agency - Other Than the General Fund of the U.S. Government F
199000 Other Assets F G N
199010 Other Assets - General Fund of the U.S. Government F
199500 General Property, Plant, and Equipment Permanently Removed but Not Yet Disposed N
201000 Liability for Fund Balance With Treasury F N
209010 Liability for Fund Balance While Awaiting a Warrant or Mandated Non-Expenditure Transfer F
211000 Accounts Payable F N
211200 Accounts Payable for Federal Government Sponsored Enterprise N
212000 Disbursements in Transit F N
213000 Contract Holdbacks F N
214000 Accrued Interest Payable - Not Otherwise Classified F N
214100 Accrued Interest Payable - Loans F N
214200 Accrued Interest Payable - Debt F N
214900 Accrued Interest Payable on Uninvested Funds F
215000 Payable for Transfers of Currently Invested Balances F
215500 Expenditure Transfers Payable F
216000 Entitlement Benefits Due and Payable N
217000 Subsidy Payable to the Financing Account F
218000 Loan Guarantee Liability N
219000 Other Liabilities With Related Budgetary Obligations F N
219100 Liability for Employer Benefits and Claims Incurred but Not Reported N
219200 Special Drawing Right (SDR) Certificates Issued to Federal Reserve Banks N
219300 Allocation of Special Drawing Rights (SDRs) N
220000 Liability for Unpaid Insurance Claims N
220500 Liability for Unearned Insurance Premiums N
221000 Accrued Funded Payroll and Leave N
221100 Withholdings Payable N
221300 Employer Contributions and Payroll Taxes Payable F N Z
221500 Other Post Employment Benefits Due and Payable F N
221600 Pension Benefits Due and Payable to Beneficiaries N
221700 Benefit Premiums Payable to Carriers N
221800 Life Insurance Benefits Due and Payable to Beneficiaries N
222000 Unfunded Leave N
222500 Unfunded FECA Liability F Z
229000 Other Unfunded Employment Related Liability F N Z
231000 Liability for Advances and Prepayments F N
232000 Other Deferred Revenue F N
240000 Liability for Non-Fiduciary Deposit Funds and Undeposited Collections N Z
241000 Liability for Clearing Accounts N Z
251000 Principal Payable to the Bureau of the Fiscal Service F
251100 Capitalized Loan Interest Payable - Non-Credit Reform F
252000 Principal Payable to the Federal Financing Bank F
253000 Securities Issued by Federal Agencies Under General and Special Financing Authority F N
253100 Discount on Securities Issued by Federal Agencies Under General and Special Financing Authority F N
253200 Premium on Securities Issued by Federal Agencies Under General and Special Financing Authority F N
253300 Amortization of Discount on Securities Issued by Federal Agencies Under General and Special Financing Authority F N
253400 Amortization of Premium on Securities Issued by Federal Agencies Under General and Special Financing Authority F N
254000 Participation and Payment Certificates F N
259000 Other Debt F G N
259100 Repayable Advance Debt F
259200 Appropriated Debt F G
261000 Actuarial Pension Liability N
262000 Actuarial Health Insurance Liability N
263000 Actuarial Life Insurance Liability N
265000 Actuarial FECA Liability N
266000 Actuarial Liabilities for Federal Insurance and Guarantee Programs N
267000 Actuarial Liabilities for Treasury and Department of Labor-Managed Benefit Programs N
269000 Other Actuarial Liabilities N
291000 Prior Liens Outstanding on Acquired Collateral N
292000 Contingent Liabilities N
292200 Contingent Liabilities - Federal Government Sponsored Enterprise N
292300 Contingent Liability for Capital Transfers F
293900 Liability For Future Exchange F
294000 Capital Lease Liability F N
296000 Accounts Payable From Canceled Appropriations F N
297000 Liability for Capital Transfers F
298000 Custodial Liability F G N
298500 Liability for Non-Entity Assets Not Reported on the Statement of Custodial Activity F G
299000 Other Liabilities Without Related Budgetary Obligations F G N Z
299010 Other Liabilities Without Related Budgetary Obligations - General Fund of the U.S. Government F
299100 Other Liabilities - Reductions F G
299110 Reductions of Other Liabilities - General Fund of the U.S. Government F
299200 Appropriated Dedicated Collections Liability F
299300 Accrued Liabilities F N
299500 Estimated Cleanup Cost Liability N
309000 Unexpended Appropriations While Awaiting a Warrant or Mandated Non-Expenditure Transfer G
309010 Appropriations Outstanding - Warrants to be Issued or Mandated Non-Expenditure Transfer F
310100 Unexpended Appropriations - Appropriations Received G
310200 Unexpended Appropriations - Transfers-In F
310300 Unexpended Appropriations - Transfers-Out F
310500 Unexpended Appropriations - Prior-Period Adjustments Due to Corrections of Errors - Years Preceding the Prior Year G
310600 Unexpended Appropriations - Adjustments G
310700 Unexpended Appropriations - Used - Accrued G
310710 Unexpended Appropriations - Used - Disbursed G
310800 Unexpended Appropriations - Prior-Period Adjustments Due to Corrections of Errors G
310900 Unexpended Appropriations - Prior-Period Adjustments Due to Changes in Accounting Principles G
320100 Appropriations Outstanding - Warrants Issued F
320110 Appropriations Outstanding - Transfers F
320600 Appropriations Outstanding - Adjustments F
320700 Appropriations Outstanding - Used - Accrued F
320710 Appropriations Outstanding - Used - Disbursed F
320800 Appropriations Outstanding - Prior-Period Adjustments F
406000 Anticipated Collections From Non-Federal Sources N
407000 Anticipated Collections From Federal Sources E F
408200 Allocations of Realized Authority - To Be Transferred From Invested Balances - Transferred F
412600 Amounts Appropriated From Specific Invested TAFS - Receivable F
412700 Amounts Appropriated From Specific Invested TAFS - Payable F
412800 Amounts Appropriated From Specific Invested TAFS - Transfers-In F
412900 Amounts Appropriated From Specific Invested TAFS - Transfers-Out F
413700 Transfers of Contract Authority - Allocation F
415300 Transfers of Contract Authority - Non-Allocation F
415400 Appropriation to Liquidate Contract Authority - Non-Allocation - Transferred F
415500 Appropriation to Liquidate Contract Authority - Allocation - Transferred F
416600 Allocations of Realized Authority - To Be Transferred From Invested Balances - Current-Year F
416612 Allocations of Realized Authority - To Be Transferred From Invested Balances - Prior-Year F
416700 Allocations of Realized Authority - Transferred From Invested Balances - Current-Year F
416712 Allocations of Realized Authority - Transferred From Invested Balances - Prior-Year F
416800 Allocations of Realized Authority Reclassified - Authority To Be Transferred From Invested Balances - Temporary Reduction F
417000 Transfers - Current-Year Authority F
417100 Non-Allocation Transfers of Invested Balances - Receivable - Current-Year F
417112 Non-Allocation Transfers of Invested Balances - Receivable - Prior-Year F
417200 Non-Allocation Transfers of Invested Balances - Payable - Current-Year F
417212 Non-Allocation Transfers of Invested Balances - Payable - Prior-Year F
417300 Non-Allocation Transfers of Invested Balances - Transferred - Current-Year F
417312 Non-Allocation Transfers of Invested Balances - Transferred - Prior-Year F
417400 Transfers - Current-Year Borrowing Authority Converted to Cash F
417500 Allocation Transfers of Current-Year Authority for Non-Invested Accounts F
417590 Allocation Transfers of Current-Year Authority for Non-Invested Accounts - International Monetary Fund F
417600 Allocation Transfers of Prior-Year Balances F
417690 Allocation Transfers of Prior-Year Balances - International Monetary Fund F
419000 Transfers - Prior-Year Balances F
419100 Balance Transfers - Extension of Availability Other Than Reappropriations F
419200 Balance Transfers - Unexpired to Expired F
419300 Balance Transfers - Unobligated Balances - Legislative Change of Purpose F
419600 Balance Transfers-In - Expired to Expired F
419700 Balance Transfers-Out - Expired to Expired F
419900 Transfer of Expired Expenditure Transfers - Receivable F
421200 Liquidation of Deficiency - Offsetting Collections E F N
422100 Unfilled Customer Orders Without Advance E F
422200 Unfilled Customer Orders With Advance E F N
422300 Uncollected Subsidy from Program Account F
422500 Expenditure Transfers From Trust Funds - Receivable F
422512 Offsetting Collections - Expenditure Transfer from Trust Funds - Receivable - Adjustments for Trust Fund Share - Prior-Year F
423000 Unfilled Customer Orders Without Advance - Transferred - No Offset E F
423010 Unfilled Customer Orders Without Advance - Transferred - With Offset E F
423100 Unfilled Customer Orders With Advance - Transferred - No Offset E F N
423110 Unfilled Customer Orders With Advance - Transferred - With Offset F
423200 Appropriation Trust Fund Expenditure Transfers - Receivable - Transferred E F
423300 Reimbursements Earned - Receivable - Transferred E F
423400 Other Federal Receivables - Transferred F
423500 Uncollected Subsidy from Program Account - Transferred F
425100 Reimbursements Earned - Receivable E F
425200 Reimbursements Earned - Collected From Federal/Non-Federal Exception Sources E F
425300 Prior-Year Unfilled Customer Orders With Advance - Refunds Paid E F N
425400 Reimbursements Earned - Collected From Non-Federal Sources N
425500 Expenditure Transfers from Trust Funds - Collected F
425512 Offsetting Collections - Expenditure Transfer from Trust Funds - Collected - Adjustments for Trust Fund Share - Prior-Year F
426900 Actual Collections of Voluntary Insurance Enrollment Fees-Business Type Fees N
427000 Other Actual Collections - Intergovernmental Cooperation Act Non-Federal Pay for Services N
439000 Reappropriations - Transfers-Out F
480210 Reinstated Undelivered Orders - Obligations, Prepaid/Advanced F N
483100 Undelivered Orders - Obligations Transferred, Unpaid - No Offset F
483110 Undelivered Orders - Obligations Transferred, Unpaid - With Offset F
483200 Undelivered Orders - Obligations Transferred, Prepaid/Advanced F
487200 Downward Adjustments of Prior-Year Prepaid/Advanced Undelivered Orders - Obligations, Refunds Collected F N
493100 Delivered Orders - Obligations Transferred, Unpaid - No Offset F
493110 Delivered Orders - Obligations Transferred, Unpaid - With Offset F
497200 Downward Adjustments of Prior-Year Paid Delivered Orders - Obligations, Refunds Collected E F N
497210 Downward Adjustments of Prior-Year Paid Delivered Orders - Obligations, Non-cash Refunds E F N
510000 Revenue From Goods Sold F N
510900 Contra Revenue for Goods Sold F N
520000 Revenue From Services Provided F N
520900 Contra Revenue for Services Provided F N
531000 Interest Revenue - Other F N
531100 Interest Revenue - Investments F N
531200 Interest Revenue - Loans Receivable/Uninvested Funds F N
531300 Interest Revenue - Subsidy Amortization N
531400 Dividend Income Accounted for Under the Provisions of the Federal Credit Reform Act N
531500 Contra Revenue for Dividend Income Accounted for Under the Provisions of the Federal Credit Reform Act N
531700 Contra Revenue for Interest Revenue - Loans Receivable F N
531800 Contra Revenue for Interest Revenue - Investments F N
531900 Contra Revenue for Interest Revenue - Other F N
532000 Penalties and Fines Revenue N
532400 Contra Revenue for Penalties and Fines N
532500 Administrative Fees Revenue F N
532900 Contra Revenue for Administrative Fees F N
540000 Funded Benefit Program Revenue F N
540500 Unfunded FECA Benefit Revenue F N
540600 Contra Revenue for Unfunded FECA Benefit Revenue F N
540900 Contra Revenue for Funded Benefit Program Revenue F N
550000 Insurance and Guarantee Premium Revenue N
550900 Contra Revenue for Insurance and Guarantee Premium Revenue N
560000 Donated Revenue - Financial Resources N
560900 Contra Revenue for Donations - Financial Resources N
561000 Donated Revenue - Nonfinancial Resources N
561900 Contra Donated Revenue - Nonfinancial Resources N
564000 Forfeiture Revenue - Cash and Cash Equivalents N
564900 Contra Forfeiture Revenue - Cash and Cash Equivalents N
565000 Forfeiture Revenue - Forfeitures of Property N
565900 Contra Forfeiture Revenue - Forfeitures of Property N
570000 Expended Appropriations - Used - Accrued G
570005 Appropriations - Expended - Accrued F
570006 Appropriations - Expended - Disbursed F
570010 Expended Appropriations - Disbursed G
570500 Expended Appropriations - Prior-Period Adjustments Due to Corrections of Errors - Years Preceding the Prior Year G
570800 Expended Appropriations - Prior-Period Adjustments Due to Corrections of Errors G
570810 Appropriations - Expended - Prior-Period Adjustments F
570900 Expended Appropriations - Prior-Period Adjustments Due to Changes in Accounting Principles G
571000 Transfer-in of Agency Unavailable Custodial and Non-Entity Collections F
571200 Accrual of Agency Amount To Be Collected - Custodial and Non-Entity - General Fund of the U.S. Government F
571300 Accrual of Amounts Receivable from Custodian or Non-Entity Assets Receivable from a Federal Agency - Other Than the General Fund of the U.S. Government F
571400 Accrual of Amounts Receivable from Custodian or Non-Entity Assets Receivable - Contra Account N
572000 Financing Sources Transferred In Without Reimbursement F
573000 Financing Sources Transferred Out Without Reimbursement F Z
573500 Appropriated Dedicated Collections to be Transferred In F
573600 Appropriated Dedicated Collections to be Transferred Out F
574000 Appropriated Dedicated Collections Transferred In F
574500 Appropriated Dedicated Collections Transferred Out F
575000 Expenditure Financing Sources - Transfers-In F
575500 Non-Expenditure Financing Sources - Transfers-In - Other F
575600 Non-Expenditure Financing Sources - Transfers-In - Capital Transfers F
576000 Expenditure Financing Sources - Transfers-Out F
576500 Non-Expenditure Financing Sources - Transfers-Out - Other F
576600 Non-Expenditure Financing Sources - Transfers-Out - Capital Transfers F
577500 Non-Budgetary Financing Sources Transferred In F
577600 Non-Budgetary Financing Sources Transferred Out F
578000 Imputed Financing Sources F
579000 Other Financing Sources G Z
579001 Other Non-Budgetary Financing Sources for Debt Accruals/Amortization G
579010 Other General Fund Financing Sources F Z
579100 Adjustment to Financing Sources - Credit Reform F
579200 Financing Sources To Be Transferred Out - Contingent Liability F
579500 Seigniorage N
580000 Tax Revenue Collected - Not Otherwise Classified G N
580100 Tax Revenue Collected - Individual G N
580200 Tax Revenue Collected - Corporate G N
580300 Tax Revenue Collected - Unemployment G N
580400 Tax Revenue Collected - Excise G N
580500 Tax Revenue Collected - Estate and Gift G N
580600 Tax Revenue Collected - Customs G N
582000 Tax Revenue Accrual Adjustment - Not Otherwise Classified G N
582100 Tax Revenue Accrual Adjustment - Individual G N
582200 Tax Revenue Accrual Adjustment - Corporate G N
582300 Tax Revenue Accrual Adjustment - Unemployment G N
582400 Tax Revenue Accrual Adjustment - Excise G N
582500 Tax Revenue Accrual Adjustment - Estate and Gift G N
582600 Tax Revenue Accrual Adjustment - Customs G N
583000 Contra Revenue for Taxes - Not Otherwise Classified G N
583100 Contra Revenue for Taxes - Individual G N
583200 Contra Revenue for Taxes - Corporate G N
583300 Contra Revenue for Taxes - Unemployment G N
583400 Contra Revenue for Taxes - Excise G N
583500 Contra Revenue for Taxes - Estate and Gift G N
583600 Contra Revenue for Taxes - Customs G N
589000 Tax Revenue Refunds - Not Otherwise Classified G N
589100 Tax Revenue Refunds - Individual G N
589200 Tax Revenue Refunds - Corporate G N
589300 Tax Revenue Refunds - Unemployment G N
589400 Tax Revenue Refunds - Excise G N
589500 Tax Revenue Refunds - Estate and Gift G N
589600 Tax Revenue Refunds - Customs G N
590000 Other Revenue F N Z
590900 Contra Revenue for Other Revenue F N Z
591900 Revenue and Other Financing Sources - Cancellations G
591910 Cancellations of Revenue and Other Financing Sources - The General Fund of the U.S. Government F
592100 Valuation Change in Investments - Exchange Stabilization Fund (ESF) N
592200 Valuation Change in Investments for Federal Government Sponsored Enterprise N
592300 Valuation Change in Investments - Beneficial Interest in Trust N
593000 Lessor Lease Revenue F N
593300 Amortization of Unearned Lessor Revenue N
593900 Contra Revenue for Lessor Lease Revenue F N
599000 Collections for Others - Statement of Custodial Activity F G N
599100 Accrued Collections for Others - Statement of Custodial Activity F G N
599300 Offset to Non-Entity Collections - Statement of Changes in Net Position F G
599400 Offset to Non-Entity Accrued Collections - Statement of Changes in Net Position F G
599700 Financing Sources Transferred In From Custodial Statement Collections F
599750 Financing Sources Transferred In From Custodial Statement Collections - Contra Account N
599800 Custodial Collections Transferred Out to a Treasury Account Symbol Other Than the General Fund of the U.S. Government F
599900 Offset to Accrual of Amounts Receivable from Custodian or Non-Entity Assets Receivable - Contra Account N
610000 Operating Expenses/Program Costs F N
619000 Contra Bad Debt Expense - Incurred for Others F N
619900 Adjustment to Subsidy Expense N
631000 Interest Expenses on Borrowing From the Bureau of the Fiscal Service and/or the Federal Financing Bank F
632000 Interest Expenses on Securities F N
633000 Other Interest Expenses F N
633800 Remuneration Interest F N
634000 Interest Expense Accrued on the Liability for Loan Guarantees N
640000 Benefit Expense F N Z
650000 Cost of Goods Sold F N
660000 Applied Overhead N
661000 Cost Capitalization Offset N
671000 Depreciation, Amortization, and Depletion N
671300 Lessee Lease Amortization N
672000 Bad Debt Expense F N
673000 Imputed Costs F
679000 Other Expenses Not Requiring Budgetary Resources F N
679300 Accrued Expenses F N
679500 Contra Expense-Non-Fiduciary Deposit Fund Intra-governmental Administrative Fees N
680000 Future Funded Expenses F N Z
685000 Employer Contributions to Employee Benefit Programs Not Requiring Current-Year Budget Authority (Unobligated) F
690000 Non-Production Costs F N Z
693000 Lessee Lease Expense F N
711000 Gains on Disposition of Assets - Other N
711100 Gains on Disposition of Investments F N
711200 Gains on Disposition of Borrowings F
717100 Gains on Changes in Long-Term Assumptions - From Experience N
717200 Losses on Changes in Long-Term Assumptions - From Experience N
718000 Unrealized Gains F N
718100 Unrealized Gain - Exchange Stabilization Fund (ESF) N
719000 Other Gains F N
719100 Gains for Exchange Stabilization Fund (ESF) Accrued Interest and Charges N
721000 Losses on Disposition of Assets - Other N
721100 Losses on Disposition of Investments F N
721200 Losses on Disposition of Borrowings F
727100 Gains on Changes in Long-Term Assumptions N
727200 Losses on Changes in Long-Term Assumptions N
728000 Unrealized Losses F N
728100 Unrealized Losses - Exchange Stabilization Fund (ESF) N
729000 Other Losses F N
729100 Losses for Exchange Stabilization Fund (ESF) Accrued Interest and Charges N
729200 Other Losses From Impairment of Assets N
730000 Extraordinary Items N
740000 Prior-Period Adjustments Due to Corrections of Errors N Z
740100 Prior-Period Adjustments Due to Changes in Accounting Principles N Z
740500 Prior-Period Adjustments Due to Corrections of Errors -Years Preceding the Prior-Year N Z
750000 Distribution of Income - Dividend N Z
760000 Changes in Actuarial Liability N
771000 Trust Fund Warrant Journal Vouchers Issued Net of Adjustments F
801000 Guaranteed Loan Level F N
801500 Guaranteed Loan Level - Unapportioned F N
802000 Guaranteed Loan Level - Apportioned F N
804000 Guaranteed Loan Level - Used Authority F N
804500 Guaranteed Loan Level - Unused Authority F N
805000 Guaranteed Loan Principal Outstanding F N
805300 Guaranteed Loan New Disbursements by Lender F N
806500 Guaranteed Loan Collections, Defaults, and Adjustments F N
807000 Guaranteed Loan Cumulative Disbursements by Lenders F N
880100 Offset for Purchases of Assets F N
880200 Purchases of Property, Plant, and Equipment F N
880300 Purchases of Inventory and Related Property F N
880400 Purchases of Assets - Other F N