---
title: "Document \"Input of Initial Balances\" (Accounting for Kazakhstan 3.0)"
country: KZ
lang: en
author: Сапа Т.И. (https://buhgpt.kz/authors/sapa-ti)
date: 2026-09-07
canonical: https://buhgpt.kz/suraqtar/dokument-vvod-nachalnyh-ostatkov-buhgalteriya-dlya-kazahs-en
source: BuhGPT
---

# Document "Input of Initial Balances" (Accounting for Kazakhstan 3.0)

> **TL;DR:** 1. Identification of the object Parameter Value Object Type Document (Document) Name InitialBalancesInput Full Name Document.InitialBalancesInput Synonym “Initial Balances Input” Configuration Accounting for Kazakhstan, edition 3.0 (3.0.74.2) Accounting Currency Tenge (₸) Purp

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1. Identification of the object

Parameter
Value

Object Type
Document (Document)

Name
InitialBalancesInput

Full Name
Document.InitialBalancesInput

Synonym
“Initial Balances Input”

Configuration
Accounting for Kazakhstan, edition 3.0 (3.0.74.2)

Accounting Currency
Tenge (₸)

Purpose. The document generates initial (opening) balances for accounting and tax accounts when starting accounting in the configuration. It is used once — when transitioning to 1C from another system or when opening a new accounting contour — to form incoming balances. The document is divided by accounting sections: settlements with counterparties, taxes and fees, inventories, cash and other accounts (Accounting Reference), goods of organizations, settlements with accountable persons, fixed assets, and intangible assets.

Where to find in 1C: section “Enterprise” → “Initial Balances Input”.
Navigation link: e1cib/list/Document.InitialBalancesInput

Methodology feature: balances are entered with a date preceding the working date of the start of accounting (“Initial Balances Input Date”). Transactions are formed in correspondence with auxiliary account 5610 “Total Profit (Loss)”, which remains with a zero turnover after reconciling the balances.

2. Attributes of the header and table parts

2.1. Header Attributes

Attribute
Purpose

AccountingSection (mandatory)
Determines which section the balances are entered for and which table part/logic of posting is activated (settlements with counterparties, inventories, taxes, other accounts, etc.).

Organization
The organization for which the opening balances are entered.

Date
The date of the document (usually the last day before the start of accounting).

ConsiderKPN (tax accounting flag)
Indicator of tax accounting for KPN; controls the filling of movements in the “Tax” register.

2.2. Table Part “SettlementsWithCounterparties”

Column
Purpose

Counterparty (mandatory)
Subaccount of the counterparty.

CounterpartyContract (mandatory)
Contract — analytics of mutual settlements.

CurrencyAmount (mandatory)
Amount of debt in the currency of the contract.

BUAmount (mandatory)
Amount in BU in tenge (exchange rate on the document date).

BUAccountingAccount (mandatory)
BU accounting account (for example, 1210 — short-term accounts receivable from customers).

NUAmount, NUAccountingType, NUAccountingAccount (mandatory)
Tax accounting data: amount, type of accounting, account according to the “Tax” plan.

NUKAmount (mandatory)
Credit amount of NU (for accounts payable).

2.3. Table Part “SettlementsOnTaxesAndFees”

Column
Purpose

BUAccountingAccount (mandatory)
Tax accounting account (for example, 3130 — VAT payable).

TaxType (mandatory)
Type of tax/fee.

BudgetPaymentType (mandatory)
Type of payment (tax, penalty, fine).

BUAmount (mandatory)
Amount of debt in BU.

NUAccountingAccount, NUAmount, NUAccountingType (mandatory)
Tax accounting attributes.

2.4. Table Part “AccountingReference” (other accounts)

Column
Purpose

BUAccountingAccount (mandatory)
Account of the balance (cash, capital, fixed assets, etc.).

BUAmount / BUKAmount (mandatory)
Debit / credit amount in BU.

NUAmount / NUKAmount (mandatory)
Debit / credit amount in NU.

NUAccountingType, NUAccountingAccount (mandatory)
Type of accounting and account according to the “Tax” plan.

2.5. Table Part “SettlementsWithAccountablePersons”

Column
Purpose

EmployeeOfOrganization (mandatory)
Accountable person.

BUAccountingAccount (mandatory)
Account of settlements with the accountable person.

BUAmount (mandatory)
Amount of debt in BU.

NUAccountingAccount, NUAmount, NUAccountingType (mandatory)
NU attributes.

2.6. Table Part “Inventories”

Column
Purpose

Nomenclature (mandatory)
Inventory item.

BUAccountingAccount (mandatory)
Inventory accounting account (for example, 1330 — goods).

BUQuantity (mandatory)
Quantity in BU.

NUAccountingAccount, NUQuantity, NUAccountingType (mandatory)
Tax accounting attributes.

2.7. Table Part “GoodsOfOrganizations”

Column
Purpose

Nomenclature (mandatory)
Nomenclature.

Quantity (mandatory)
Quantity of the balance.

All listed columns are controlled during posting: if a mandatory field is not filled, the platform issues an error “Field … is not filled” and does not post the document.

3. Forms

Form
Purpose

Document Form (DocumentForm)
Main input form. Contains selection of AccountingSection and dynamically shows the corresponding table part; from here, filling and posting are initiated.

List Form (ListForm)
List of entered initial balance input documents; filtered by organization/section. Opens via link e1cib/list/Document.InitialBalancesInput.

Assistant/Workplace Form “Initial Balances Input”
Consolidated workplace with a list of accounts and accounting sections, from where documents for each section are created; shows the filling status.

Selection Form
Service form for selecting a document from other objects.

4. Key Procedures of Modules

Evidence with the original BSL (path: string) is not attached — below are typical handlers of this type of object in BK 3.0. Exact names/signatures are version-specific.

- Object Module → PostProcessing(Refusal, PostingMode) — entry point for posting. Based on the value of AccountingSection, it calls the formation of movements for the corresponding set of registers (see section 5).

- Object Module → FillingProcessing(FillingData, StandardProcessing) — filling based on the basis data/accounting data (auto-filling scenario).

- Object Module → BeforeSaving(Refusal, SavingMode, PostingMode) — control of the correctness of the section/dates.

- Object Module → CheckFilling(...) — checking mandatory columns of the active table part.

- Manager Module → PrintDocument(...) / Print(...) — generation of printed forms (initial balances reference).

- Document Form → AccountingSectionOnChange(Element) — switching the displayed table part and composition of columns.

- Document Form → FillFromAccountingData(Command) — auto-filling the table part from existing accounting data.

5. Posting and Movements

The composition of movements depends on the selected AccountingSection. The corresponding account of balances is 5610.

5.1. Accounting — AccountingRegister.Typical

- For each row of the table part — a separate entry Debit accounting account / Credit 5610 (or reverse — for passive balances).

- Subaccounts are filled: counterparty, contract, nomenclature, warehouse, accountable person, etc.

- Currency transactions are reflected with the rate and multiplicity on the document date; the BU amount is converted to tenge (₸).

Examples of entries (chart of accounts of the RK):

Section
Entry

Accounts receivable from customers
Debit 1210 / Credit 5610

Goods in stock
Debit 1330 / Credit 5610

VAT payable to the budget
Debit 5610 / Credit 3130

5.2. Tax Accounting — AccountingRegister.Tax

- Formed similarly to BU, but according to the “Tax” chart of accounts.

- Filled only when the ConsiderKPN flag is enabled; amounts are taken from the NUAmount / NUKAmount columns.

5.3. Accumulation Registers

- GoodsOfOrganizationsBU (section “Inventories”) — receipts by nomenclature, warehouses, batches.

- SettlementsWithEmployeesOfOrganizations — debts of accountable persons.

- SettlementsWithDepositorsOfOrganizations — debts on deposited amounts (if any).

- FixedAssetsProduction — initial production of fixed assets (when entering balances of fixed assets).

5.4. Information Registers (Special Sections)

- InitialInformationOfFixedAssetsAccounting, StatesOfFixedAssetsOrganizations, EventsOfFixedAssetsOrganizations, LocationOfFixedAssetsAccounting — for fixed assets.

- InitialInformationOfIntangibleAssetsAccounting, StatesOfIntangibleAssetsOrganizations — for intangible assets.

The initial balances input document does not generate movements for VAT/ESF (account 3130 is reflected only as a balance of debt). The VAT rate 16% and electronic documents (ESF in the ESF IS, SCT) relate to subsequent operations of sales/income (accounts 6010 — income, 7010 — cost), not to the input of balances.

6. Related Objects and Input Based On

- Chart of Accounts “Typical” / “Tax” — source of accounting accounts (1210, 1330, 3130, 5610, etc.).

- Registers from section 5 — receivers of movements.

- Directories Counterparties, CounterpartyContracts, Nomenclature, Warehouses, Employees, FixedAssets, IntangibleAssets — analytics (subaccounts) of lines.

- Assistant “Initial Balances Input” — point of creation of documents for each section.

- Input based on this document is generally not used: filling is performed manually or by the auto-filling command based on accounting data.

7. Extension Points

- Object Module: PostProcessing, FillingProcessing, BeforeSaving, CheckFilling — redefinition of the composition of movements and filling rules through configuration extension.

- Document Form: handlers AccountingSectionOnChange, filling commands — addition of custom columns/sections, additional control.

- Manager Module: redefinition of printed forms.

- Event Subscriptions (OnSaving/BeforeSaving of the document) — integration with external systems when transferring balances.

- Additional attributes and information (BSP mechanism) — extension of the header without changing metadata.

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