Format 1012 file for Colombia configuration

This article explains how to set up and issue a format 1012 file. The format 1012 file includes information about company investments that must be provided to the tax authority.

Prerequisites

Before you print the report, the following prerequisites must be met:

Configure application-specific parameters

Lookups and conditions are designed so that you can select the combination of document classification IDs and ledger account numbers that's used in transactions that are shown on the report.

Follow these steps to set up the parameters for the report.

  1. Go to Organization administration > Workspaces > Electronic reporting, and select Reporting configuration.

  2. On the left, select LTM Tax Report deployment > Format 1012.

  3. On the Action Pane, select Configurations > Application specific parameters > Setup.

  4. In the Lookups section, select the first lookup that refers to the main account group, MainAccountGroup.

  5. In the Conditions section, add a line. In the Lookup result field, select one of the following options:

    • 1110 – National bank accounts.
    • 1115 – International bank accounts.
    • 1200 – Treasury bonds.
    • 1201 – Deposit certifies.
    • 1202 – Shares value.
    • 1203 – Fiduciary rights.
    • 1204 – Other investments value.
    • 1205 – Crypto investments value.

    These options represent different concepts for the format 1012 file. You can add as many lines as you require.

  6. For each condition that you add, in the Label field, enter the concept number.

  7. In the Main account field, select the ledger account that represents the concept.

    Note

    The ledger accounts that are selected in this configuration must be used in the company transactions that are included on the report.

  8. In the Lookups section, select the second lookup, COMP1012. This lookup refers to the payment method document class that's used to post transactions for each concept in the MainAccountGroup lookup.

  9. In the Conditions section, add a line. In the Lookup result field, select one of the following concepts:

    • DEP BCO – Bank deposits.
    • EFE CAJA CLP – Cash national currency.
    • EFE CAJA USD – Cash USD.
    • EFECTIVO
    • EFECTIVO MN
    • TRB – Wire transfers.

Issue a format 1012 file

  1. Go to Tax > Inquiries and reports > LATAM > Tax reporting.
  2. In the Format mapping field, select Format 1012.
  3. Select OK.
  4. Select the date range.
  5. Select OK.