File_Type
stringclasses 5
values | State
stringclasses 3
values | Primary_Classification
stringclasses 44
values | Primary_Classification_Code
stringclasses 44
values | Secondary_Classification
stringlengths 5
75
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stringlengths 5
125
| Item_Name
stringlengths 5
125
| Tertiary_ID
int64 731
2.64k
|
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Liability (Onboarding) | Credit | Trade and Other Payables | TPAY | Trade and Other Payables | Deposits Payable | Deposits Payable | 1,582 |
Liability (Onboarding) | Credit | Trade and Other Payables | TPAY | Trade and Other Payables | Deposit for Share Applications | Deposit for Share Applications | 1,583 |
Liability (Onboarding) | Credit | Trade and Other Payables | TPAY | Trade and Other Payables | Non-Trade Payables | Non-Trade Payables | 1,584 |
Liability (Onboarding) | Credit | Trade and Other Payables | TPAY | Trade and Other Payables | Dividend Payable | Dividend Payable | 1,585 |
Liability (Onboarding) | Credit | Trade and Other Payables | TPAY | Trade and Other Payables | Other Payables | Other Payables | 1,586 |
Liability (Onboarding) | Credit | Contract Liabilities | CONL | Contract Liabilities | Contract Liabilities | Contract Liabilities | 1,587 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Bank Loan | Bank Loan | Bank Loan | 1,588 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Bridging Loan | Bridging Loan | Bridging Loan | 1,589 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Other Loans Payable | Other Loan Payable | Other Loan Payable | 1,596 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Bank Overdraft | Bank Overdraft | Bank Overdraft | 1,597 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Commercial Papers | Commercial Papers | Commercial Papers | 1,598 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Bonds | Notess - Secured Bonds | Notess - Secured Bonds | 1,599 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Bonds | Debentures - Unsecured Bonds | Debentures - Unsecured Bonds | 1,600 |
Liability (Onboarding) | Credit | Loans and Borrowings | LOAN | Other Financial Liabilities | Other Financial Liabilities | Other Financial Liabilities | 1,601 |
Liability (Onboarding) | Credit | Lease Liabilities | LEAS | Right of Use Liabilities | Gross Right of Use Liabilities | Gross Right of Use Liabilities | 1,602 |
Liability (Onboarding) | Credit | Lease Liabilities | LEAS | Right of Use Liabilities | Deferred Right of Use Interest Expense | Deferred Right of Use Interest Expense | 1,603 |
Liability (Onboarding) | Credit | Lease Liabilities | LEAS | Finance Lease Liabilities | Gross Finance Lease Liabilities | Gross Finance Lease Liabilities | 1,604 |
Liability (Onboarding) | Credit | Lease Liabilities | LEAS | Finance Lease Liabilities | Deferred Finance Lease Interest Expense | Deferred Finance Lease Interest Expense | 1,605 |
Liability (Onboarding) | Credit | Income Tax Payable | INTP | Income Tax Payable | Corporate Tax Payable | Corporate Tax Payable | 1,606 |
Liability (Onboarding) | Credit | Income Tax Payable | INTP | Income Tax Payable | Corporate Tax Provision | Corporate Tax Provision | 1,607 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Loans And Borrowings | Provision For Interest Expenses From Loans And Borrowings | 1,608 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Bank Overdraft | Provision For Interest Expenses From Bank Overdraft | 1,609 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Commercial Papers | Provision For Interest Expenses From Commercial Papers | 1,610 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Bonds | Provision For Interest Expenses From Bonds | 1,611 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Right of Use Liabilities | Provision For Interest Expenses From Right of Use Liabilities | 1,612 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Finance Lease Liabilities | Provision For Interest Expenses From Finance Lease Liabilities | 1,613 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Interest Expenses From Trade Transactions | Provision For Interest Expenses From Trade Transactions | 1,614 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Interest Expenses | Provision For Other Interest Expenses | Provision For Other Interest Expenses | 1,615 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Warranties | Provision for Warranties | Provision for Warranties | 1,616 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Restructuring | Provision for Restructuring | Provision for Restructuring | 1,617 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Legal Claims | Provision for Legal Claims | Provision for Legal Claims | 1,618 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Lease Make Good Provision | Provision for Lease Make Good Provision | Provision for Lease Make Good Provision | 1,619 |
Liability (Onboarding) | Credit | Provisions | PROV | Provision for Deferred Compensation | Provision for Deferred Compensation | Provision for Deferred Compensation | 1,620 |
Liability (Onboarding) | Credit | Provisions | PROV | Provisions for Other Liabilities | Provisions for Other Liabilities | Provisions for Other Liabilities | 1,621 |
Liability (Onboarding) | Credit | Employee Benefits | EMPL | Employment-Related Payables | Salary Payables | Salary Payables | 1,622 |
Liability (Onboarding) | Credit | Employee Benefits | EMPL | Employment-Related Payables | CPF Payable | CPF Payable | 1,623 |
Liability (Onboarding) | Credit | Employee Benefits | EMPL | Employment-Related Payables | MOM Payable | MOM Payable | 1,624 |
Liability (Onboarding) | Credit | Employee Benefits | EMPL | Employment-Related Payables | Directors' Fees Payable | Directors' Fees Payable | 1,625 |
Liability (Onboarding) | Credit | Employee Benefits | EMPL | Employment-Related Payables | Other Employment Benefits | Other Employment Benefits | 1,626 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Futures | Futures | 1,627 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Swaps | Swaps | 1,628 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Options | Options | 1,629 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Warrants | Warrants | 1,630 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Financial guarantees | Financial guarantees | 1,631 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Loan commitments | Loan commitments | 1,632 |
Liability (Onboarding) | Credit | Derivative Financial Liabilities | DRVL | Derivative Financial Liabilities | Other derivative financial liabilities | Other derivative financial liabilities | 1,633 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Tax Related Payables | Value Added Tax Liabilities | Value Added Tax Liabilities | 1,634 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Tax Related Payables | Custom, Excise and Duties Liabilities | Custom, Excise and Duties Liabilities | 1,635 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Tax Related Payables | Sales Tax Liabilities | Sales Tax Liabilities | 1,636 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Tax Related Payables | Other Tax Payables | Other Tax Payables | 1,637 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Goods and Services Tax Liabilities | Goods and Services Tax Payable | Goods and Services Tax Payable | 1,638 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Goods and Services Tax Liabilities | Goods and Services Tax Output | Goods and Services Tax Output | 1,639 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Accrued Liabilities | Deferred Revenues | Deferred Revenues | 1,640 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Accrued Liabilities | Accrued Expenses | Accrued Expenses | 1,641 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Other payables | Fines and Penalties Payable | Fines and Penalties Payable | 1,642 |
Liability (Onboarding) | Credit | Other Current Liabilities | OCRL | Other payables | Other Liabilities | Other Liabilities | 1,643 |
Liability (Onboarding) | Credit | Deferred Tax Liabilities | DEFL | Deferred Tax Liabilities | Deferred Tax Liabilities | Deferred Tax Liabilities | 1,644 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Paid Up Capital | Paid Up Capital - Ordinary Shares | Paid Up Capital - Ordinary Shares | 1,645 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Paid Up Capital | Paid Up Capital - Preference Shares | Paid Up Capital - Preference Shares | 1,646 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Paid Up Capital | Paid Up Capital - Other Shares | Paid Up Capital - Other Shares | 1,647 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Application Funds for Unissued Shares | Application Funds for Unissued Shares | Application Funds for Unissued Shares | 1,648 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Treasury Shares | Treasury Shares - Ordinary Shares | Treasury Shares - Ordinary Shares | 1,649 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Treasury Shares | Treasury Shares - Preference Shares | Treasury Shares - Preference Shares | 1,650 |
Equity (Onboarding) | Credit | Issued Capital | CAPT | Treasury Shares | Treasury Shares - Other Shares | Treasury Shares - Other Shares | 1,651 |
Equity (Onboarding) | Credit | Reserves | RESV | Revaluation Surplus Reserve | Revaluation Surplus For Property, Plant and Equipment | Revaluation Surplus For Property, Plant and Equipment | 1,652 |
Equity (Onboarding) | Credit | Reserves | RESV | Revaluation Surplus Reserve | Transfer Out of Revaluation Surplus For Disposed Property, Plant and Equipment To Retained Earnings (Non-Recycling) | Transfer Out of Revaluation Surplus For Disposed Property, Plant and Equipment To Retained Earnings (Non-Recycling) | 1,653 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Fair Value Gain/Loss for Share and Other Investments (FVOCI Non-Recycling) | Fair Value Gain/Loss for Share and Other Investments (FVOCI Non-Recycling) | 1,654 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Transfer Out for Fair Value Gain/Loss on Disposal of Share and Other Investments (FVOCI Non-Recycling) | Transfer Out for Fair Value Gain/Loss on Disposal of Share and Other Investments (FVOCI Non-Recycling) | 1,655 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Fair Value Gain/Loss for Bond Investments (FVOCI Recycling) | Fair Value Gain/Loss for Bond Investments (FVOCI Recycling) | 1,656 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Transfer Out of Fair Value Gain/Loss on Disposal of Bond Investments (FVOCI Recycling) | Transfer Out of Fair Value Gain/Loss on Disposal of Bond Investments (FVOCI Recycling) | 1,657 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Futures (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Futures (FVTPL) | 1,658 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Swaps (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Swaps (FVTPL) | 1,659 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Options (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Options (FVTPL) | 1,660 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Warrants (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Warrants (FVTPL) | 1,661 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Financial Guarantees (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Financial Guarantees (FVTPL) | 1,662 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Loan Commitments (FVTPL) | Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability - Loan Commitments (FVTPL) | 1,663 |
Equity (Onboarding) | Credit | Reserves | RESV | Financial Assets at Fair Value Through Other Comprehensive Income Reserve | Change In Fair Value Of Other Financial Liability Attributable To Change In Credit Risk Of Liability (FVTPL) | Change In Fair Value Of Other Financial Liability Attributable To Change In Credit Risk Of Liability (FVTPL) | 1,664 |
Equity (Onboarding) | Credit | Reserves | RESV | Hedging Reserve - Cash Flow Hedges | Fair Value Gain/Loss for Effective Portion of Valuation of Hedging Instruments (FVOCI Recycling) | Fair Value Gain/Loss for Effective Portion of Valuation of Hedging Instruments (FVOCI Recycling) | 1,665 |
Equity (Onboarding) | Credit | Reserves | RESV | Hedging Reserve - Cash Flow Hedges | Transfer Out for Fair Value Gain/Loss for Effective Portion of Valuation of Hedging Instruments (FVOCI Recycling) | Transfer Out for Fair Value Gain/Loss for Effective Portion of Valuation of Hedging Instruments (FVOCI Recycling) | 1,666 |
Equity (Onboarding) | Credit | Reserves | RESV | Hedging Reserve - Cash Flow Hedges | Fair Value Gain/Loss for Ineffective Portion of Valuation of Hedging Instruments (FVOCI Non-Recycling) | Fair Value Gain/Loss for Ineffective Portion of Valuation of Hedging Instruments (FVOCI Non-Recycling) | 1,667 |
Equity (Onboarding) | Credit | Reserves | RESV | Hedging Reserve - Cash Flow Hedges | Transfer Out for Fair Value Gain/Loss for ineffective Portion of Valuation of Hedging Instruments (FVOCI Non-Recycling) | Transfer Out for Fair Value Gain/Loss for ineffective Portion of Valuation of Hedging Instruments (FVOCI Non-Recycling) | 1,668 |
Equity (Onboarding) | Credit | Reserves | RESV | Share Option Reserve | Share Option Reserve | Share Option Reserve | 1,669 |
Equity (Onboarding) | Credit | Reserves | RESV | Capital Reserve | Capital Reserve | Capital Reserve | 1,670 |
Equity (Onboarding) | Credit | Reserves | RESV | Equity Component of Convertible Loan | Equity Component of Convertible Loan | Equity Component of Convertible Loan | 1,671 |
Equity (Onboarding) | Credit | Reserves | RESV | Currency Translation Reserve | Translation Gain/Loss on Consolidation of Subsidiary | Translation Gain/Loss on Consolidation of Subsidiary | 1,672 |
Equity (Onboarding) | Credit | Reserves | RESV | Currency Translation Reserve | Transfer Out of Translation Gain/Loss on Disposal of Subsidary | Transfer Out of Translation Gain/Loss on Disposal of Subsidary | 1,673 |
Equity (Onboarding) | Credit | Reserves | RESV | Share-Based Payments Reserve | Share-Based Payments Reserve | Share-Based Payments Reserve | 1,674 |
Equity (Onboarding) | Credit | Reserves | RESV | Other Reserves | Other Reserves | Other Reserves | 1,675 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Retained Earnings | Prior Year Retained Earnings | Prior Year Retained Earnings | 1,676 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Retained Earnings | Profit and Loss For The Period | Profit and Loss For The Period | 1,677 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Retained Earnings | Dividends Declared | Dividends Declared | 1,678 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Transfers In from Reserves | Transfer In of Revaluation Surplus For Disposed Property, Plant and Equipment (Non-Recycling) | Transfer In of Revaluation Surplus For Disposed Property, Plant and Equipment (Non-Recycling) | 1,679 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Transfers In from Reserves | Transfer In of Fair Value Gain/Loss on Disposal of Share and Other Investments (FVOCI Non-Recycling) | Transfer In of Fair Value Gain/Loss on Disposal of Share and Other Investments (FVOCI Non-Recycling) | 1,680 |
Equity (Onboarding) | Credit | Retained Profit or Loss | RETP | Transfers In from Reserves | Transfer In From Ineffective Portion of Hedging Reserves (FVOCI Non-Recycling) | Transfer In From Ineffective Portion of Hedging Reserves (FVOCI Non-Recycling) | 1,681 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of manufactured goods | Producers of Goods - Agriculture Produce | Producers of Goods - Agriculture Produce | 937 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of manufactured goods | Producers of Goods - Minerals, Ores and Fuels | Producers of Goods - Minerals, Ores and Fuels | 938 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of manufactured goods | Producers of Goods - Construction in Progress | Producers of Goods - Construction in Progress | 939 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of manufactured goods | Producers of Goods - Manufactured Products | Producers of Goods - Manufactured Products | 940 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of manufactured goods | Producers of Goods - Other Goods Producers | Producers of Goods - Other Goods Producers | 941 |
Revenue/Income (by function) | Credit | Revenue | REVI | Sales of trading goods | Wholesale Trade - Handphones, Simcards and Off The Shelf Software | Wholesale Trade - Handphones, Simcards and Off The Shelf Software | 942 |