In this section you are given a choice of two versions for the list of Object Codes (ECON): a Summary version that gives you the list of codes number and name; and, a Detailed version that, in addition to the code number and name, include the description, the restriction to specific departments and the note(s) that apply to an account.
Departments should review the descriptions to ensure that their departmental codes are aligned to the correct object code and are being used for the intended purpose.
C
Objects for Assets, Liabilities and Other Transactions
50
LOANS, INVESTMENTS, AND ADVANCES
5010
Acquisition of Loans with Cash
5011
Acquisition of Loans with Other Assets
5013
Loans to Appropriation-Dependent Crown Corporations (ADCCs)
5015
Settlement of Loans with Cash
5016
Settlement of Loans with Other Assets
5018
Repayment of Loans from Appropriation-Dependent Crown Corporations (ADCCs)
5020
Foreign Currency Translation of Loans
5029
Other Adjustments to Loans
5030
Acquisition of Other Advances with Cash
5031
Acquisition of Other Advances with Other Assets
5032
Acquisition of Travel Advances
5033
Advances to Consolidated Specified Purpose Accounts
5034
Advances to Appropriation-Dependent Crown Corporations (ADCC's)
5035
Settlement of Other Advances with Cash
5036
Settlement of Other Advances with Other Assets
5038
Repayment of Advances from Consolidated Specified Purpose Accounts
5039
Repayment of Advances from Appropriation-Dependent Crown Corporations (ADCC's)
5040
Foreign Currency Translation of Advances
5041
Write-off of Advances
5049
Other Adjustments to Advances
5050
Acquisition of Investments with Cash
5051
Acquisition of Investments Through Capitalization of Financial Claims
5052
Acquisition of Investments with Other Assets
5053
Investments in Consolidated Specified Purpose Accounts
5054
Investments in Appropriation-Dependent Crown Corporations (ADCC's)
5055
Disposal of Investments for Cash
5056
Disposal of Investments for Other Assets
5057
Repayment of Investments from Appropriation-Dependent Crown Corporations (ADCCs)
5058
Repayment of Investments by Consolidated Specified Purpose Accounts
5060
Foreign currency translation of investments
5061
Write-off of Investments
5069
Other Adjustments to Investments
507
INVESTMENTS OF THE CANADA PENSION PLAN INVESTMENT FUND
5070
Acquisition of Investments with Cash
5071
Transfers from the Canada Pension Plan Accounts
5075
Disposal of Investments with Cash
5079
Other Adjustments to Investments
51
FOREIGN EXCHANGE ACCOUNTS
511
INTERNATIONAL MONETARY FUND AND SPECIAL DRAWING RIGHTS TRANSACTIONS
5100
Acquisition of Claims with Cash
5101
Acquisition of claims in exchange for Special Drawing Rights or International Monetary Fund notes
5110
Settlement of Claims with Cash
5111
Settlement of claims in exchange for Special Drawing Rights or International Monetary Fund notes
5120
Acquisition of Special Drawing Rights (SDRs)
5121
Issues of Notes Payable to the International Monetary Fund (IMF)
5122
Disposal of Special Drawing Rights (SDR)
5123
Redemption of Notes Payable to the International Monetary Fund (IMF)
5130
Maintenance of Value Adjustments
5131
Year End Valuation Adjustment
516
EXCHANGE FUND ACCOUNT - ADVANCES (RESTRICTED CLAIMS)
5160
Advances Provided to the Exchange Fund Account
5161
Settlements of Advances
5163
Year-End Valuation Adjustment
5299
Net Increase or Decrease in Cash Account
5399
Net Increase or Decrease in Accounts Receivable
60
SPECIFIED PURPOSE ACCOUNTS (SPAs)
601
PENSION INSURANCE AND SOCIAL SECURITY ACCOUNTS
6001
Contributions by Current Employees or Participants
6002
Contributions by Current Employees - Public Service Corporations
6003
Contributions by Government Employees for Past Services or in Arrears
6004
Contributions by Public Service Corporations Employees for Past Service or in Arrears
6005
Contributions by Retired Employees
6012
Contributions by Government - as Employer
6013
Contributions by Public Service Corporations as Employer
6017
Death Benefit General Contributions
6018
Death Benefit Single Contributions
6020
Actuarial Adjustments
6022
Transfers from Other Pension Plans
6023
Refundable Tax Recovered from the Canada Revenue Agency
6025
Return on Investment
6027
Interest Credited to the Account
6034
Payment of Minimum Benefits
6035
Pension Division Payments
6037
Return of Contributions - Government Employees
6038
Return of Contributions - Public Service Corporation Employees
6040
Payment of Interest on Loans or Advances
6045
Transfers to Other Pension Plans
6046
Refundable Tax Remitted to The Canada Revenue Agency
6047
Withdrawal of Surplus
6053
Transfer to Pension Investment Board
6054
Transfer to Superannuation Investment Funds
6055
Transfers to Canada Pension Plan Investment Fund
6056
Transfer from Pension Investment Board
6057
Transfer from Superannuation Investment Fund
606
PROVINCIAL TAX COLLECTION AGREEMENTS
6060
Estimated Collections of Taxes
6063
Installment Payments to Provinces for Taxes
6066
Recoveries from Provinces
607
CROWN CORPORATIONS DEPOSITS
6079
Net Increases or Decreases in Crown Corporations Deposits
608
OTHER DEPOSITS AND TRUST FUNDS
6083
Transfers from Budgetary Expenditures
6084
Deposit of Securities Held in Trust
6086
Payments Made in Accordance with Authorities
6087
Return of Securities Held in Trust
609
MISCELLANEOUS ACCOUNTS
6099
Net Increases or Decreases in Other Specified Purpose Accounts
61
UNMATURED DEBT TRANSACTIONS
611
UNMATURED DEBT PAYABLE
6115
Redemption of Unmatured Debt
6116
Transfers to Matured Debt (on Retirement of Debt)
6117
Revaluation of Unmatured Debt
6118
Unmatured Debt Payable - Exchange Rate Changes
62
TRANSACTIONS RELATING TO OTHER LIABILITIES
621
INTEREST DUE ON UNMATURED DEBT (INCLUDING COMPOUND INTEREST ON CANADA SAVINGS BONDS)
6211
Interest Charges Accrued
6213
Payments to Claimants
6221
Transfers from Unmatured Debt
6225
Write-off of Matured Debt (Transfer to Revenue)
6227
Matured Debt Revaluation
6299
Net Increase or Decrease in Other Liability
70
OTHER ACCOUNTS/TRANSACTIONS
702
ALLOWANCE FOR VALUATION OF ASSETS AND LIABILITIES
7021
Allowance for Valuation of Financial Claims (Incl. Allowance for Doubtful Accounts)
7022
Allowance for Statutory Accounts Payable
7023
Allowance for Employee Benefits
703
UNAMORTIZED DEFICIENCIES ON SUPERANNUATION ACCOUNTS
7031
Increase to Reflect Actuarial Deficiencies Recorded
7032
Decrease Resulting from Amortization of Actuarial Deficiencies
704
UNAMORTIZED DISCOUNT ON TREASURY BILLS
7041
Increase to Reflect Discount on New Treasury Bills
7042
Decrease Resulting from Amortization of Discount on Treasury Bills
706
ACCUMULATED AMORTIZATION
7061
Accumulated Amortization on Capital Assets
7099
Net Increase or Decrease in Other Transactions
801
UNRESTRICTED AMOUNTS IN THE ACCUMULATED DEFICIT
802
YEAR-END CLOSING OF DEPARTMENTAL ACCOUNTS
8021
Closing of Control Accounts
8022
Closing of Revenue and Expense Accounts
81
CONSOLIDATED SPECIFIC PURPOSE ACCOUNTS
810
CONSOLIDATION OF SPECIFIED PURPOSE ACCOUNTS
8101
Deficit for the Year
8102
Surplus for the Year
811
EMPLOYMENT INSURANCE ACCOUNT
8110
Contributions by Employees, Their Employers and Other Participants
8112
Contributions from the Government as an Employer
8114
Return on Investment
8115
Interest-Bearing Loans from the Government
8118
Refund of Contributions
8119
Payment of Interest on Loans or Advances
8121
Repayment of Interest-Bearing Loans to the Government
8122
Other Payments and Adjustments
815
CROP REINSURANCE FUND
8150
Receipts from Provinces
8151
Interest-Free Advances from the Government of Canada
8153
Payments to Provinces
8154
Repayment of Advances to the Government of Canada
816
AGRICULTURAL COMMODITIES STABILIZATION ACCOUNT
8161
Receipts from Participating Provinces and Producers
8162
Loans or Advances from the Government of Canada
8163
Repayment of Loans or Advances to the Government of Canada
8164
Return on Investments
8165
Contributions by the Government
8167
Payments to Participating Producers
8168
Payment of Interest to the Government on Loans or Advances
817
GOODS AND SERVICES TAX (GST) REFUNDABLE ADVANCE ACCOUNTS ON PURCHASES
8171
Payment of GST on Purchases
818
SEIZED PROPERTY PROCEEDS ACCOUNT
8181
Proceeds from Forfeited Assets and Fines
8182
Advances from the Government
8184
Payments of Operating and Other Expenses
8185
Payment of Advances to the Government
8186
Payment of Claims Against the Crown and Other Expenses to Outside Parties
8187
Payment of Proceeds to Other Governments
8188
Transfer of Net Proceeds to Other Revenue
819
NEW PARKS AND HISTORIC SITES ACCOUNT
8190
Donations (Unspecified)
8191
Net Proceeds from the Sale of Federal Real Property
8192
Contributions from the Government of Canada
8193
Advances from the Government of Canada
8195
Disbursements to Outside Parties
8196
Disbursements (Internal to Government)
8197
Contributions to Outside Parties
8198
Repayment of Advance to the Government
82
CONSOLIDATED DEPOSIT AND TRUST ACCOUNTS
820
GIFTS, DONATIONS AND BEQUESTS ACCOUNTS
8202
Return on Investment
8211
Transfers from Budgetary Appropriations
8212
Return on Investment
822
EARMARKED FEES AND LEVIES
8221
Transfers from Budgetary Appropriations
829
OTHER RESTRICTED ACCOUNTS
8291
Return on Investments
8292
Contributions by the Government
8293
Loans or Advances from the Government of Canada
8294
Payment of Interest to the Government on Loans or Advances
8296
Repayment of Loans or Advances to the Government
83
CONSOLIDATION OF APPROPRIATION - APPROPRIATION DEPENDENT AND ENTREPRISE CROWN CORPORATION
831
CONSOLIDATION OF APPROPRIATION - APPROPRIATION DEPENDENT AND ENTREPRISE CROWN CORPORATION
8300
Accumulated Deficit / Surplus Brought Forward - Consolidation of all Crown Corporation
8311
Surplus or Deficit for the Year - Appropriation Dependent Crown Corporation (ADCC's)
8312
Gain/Loss for the Year - Enterprises Crown Corporation
832
ALLOWANCE FOR EMPLOYEE BENEFITS
8321
Net Change in Allowance - Employee Benefit
833
REVENUE AND EXPENDITURES
8330
Expenses - National Defence
8340
Net Change - Cash in Transit
835
ACCOUNTS RECEIVABLE OF APPROPRIATION DEPENDANT CROWN CORPORATIONS (ADCC'S) (WITH OUTSIDE PARTIES)
836
LOANS, INVESTMENTS AND ADVANCES BY ADCC'S (WITH OUTSIDE PARTIES)
8360
Net Change - Loans, Investment and Advances by Appropriation Dependant Crown Corporations(ADCCs)
Footnote 2
837
ACCOUNTS PAYABLE OF APPROPRIATION DEPENDANT CROWN CORPORATIONS (ADCC'S) (WITH OUTSIDE PARTIES)
838
BORROWINGS OF APPROPRIATION DEPENDANT CROWN CORPORATIONS (ADCC'S) (WITH OUTSIDE PARTIES)
8380
Net Change - Other Liabilities ADCC borrowings
Footnote 2
84
GOVERNMENT ELIMINATION OF INTER-ENTITY TRANSACTIONS AND BALANCES CONSOLIDATION OF APPROPRIATION-DEPENDENT CROWN CORPORATION (ADCC'S)
840
GOVERNMENT ELIMINATION OF INTER-ENTITY REVENUE AND EXPENDITURE TRANSACTIONS
8419
Expenses - Other Elimination Inter-entity Transactions
Footnote 1
842
GOVERNMENT ELIMINATION OF INTER-ENTITY LIABILITY BALANCES
8420
Net Change in Borrowings of Agent Crown corporations
Footnote 1
8422
Unmatured Debt Held by Appropriation Dependant Crown Corporation's (ADCC's)
Footnote 1
8423
Accounts Payable to Appropriation Dependant Crown Corporation's (ADCC'S)
Footnote 1
8424
Net Change in Specified purpose accounts due to Appropriation Dependent Crown Corporations (ADCC's)
Footnote 1
8425
Specified Purpose Accounts - due to Appropriation Dependant Crown Corporation's (ADCC's)
Footnote 1
844
GOVERNMENT ELIMINATION OF INTER-ENTITY ASSET BALANCES
8440
Elimination of inter-entity loans, investments or advances in (ADCC)
Footnote 1
8443
Allowance for Valuation of Assets and Liabilities
Footnote 1
85
CONSOLIDATION OF ACCOUNTS RECEIVABLE AND ACCRUAL OF OTHER RELATED REVENUE
850
ACCOUNTS RECEIVABLE (AT YEAR END)
851
MISCELLANEOUS REVENUE
8511
Departmental Revenue Credited to the Vote Accrued at Year-End
Footnote 2
8512
Other Departmental Revenue Accrued at Year-End
Footnote 2
852
RETURN FROM INVESTMENTS
8521
Departmental Revenue Accrued at Year-End
Footnote 2
9
IDENTIFICATION OF PARTNERING DEPARTMENT FOR INTERDEPARTMENTAL TRANSACTIONS