---
title: "Report \"Aging Accounts Payable\" - Technical Description (Accounting for Kazakhstan 3.0.74.2)"
country: KZ
lang: en
author: Сапа Т.И. (https://buhgpt.kz/authors/sapa-ti)
date: 2026-09-07
canonical: https://buhgpt.kz/suraqtar/otchet-prosrochennaya-zadolzhennost-postavshchikam-tehnic-en
source: BuhGPT
---

# Report "Aging Accounts Payable" - Technical Description (Accounting for Kazakhstan 3.0.74.2)

> **TL;DR:** 1. Identification Property Value Object Type Report Name OverduePayablesToSuppliers Full Name Report.OverduePayablesToSuppliers Synonym Overdue payables to suppliers Configuration Accounting for Kazakhstan, edition 3.0, version 3.0.74.2 Implementation Basis Data composition sy

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1. Identification

Property
Value

Object Type
Report

Name
OverduePayablesToSuppliers

Full Name
Report.OverduePayablesToSuppliers

Synonym
Overdue payables to suppliers

Configuration
Accounting for Kazakhstan, edition 3.0, version 3.0.74.2

Implementation Basis
Data composition system (DCS)

Posting / Movements
None — the report does not record data, it only reads

Navigation Link
e1cib/list/Report.OverduePayablesToSuppliers

Purpose. The report is designed for analyzing the overdue accounts payable of the organization to suppliers by counterparties, contracts, accounting accounts, and overdue periods. It is used by accountants, financial managers, and executives to monitor the timeliness of settlements, assess the volume of liabilities, and plan the payment calendar. It can be generated for any date and allows for flexible data regrouping (by organizations, counterparties, contracts, accounts). The typical frequency of use is weekly or monthly when managing accounts payable.

Where to find in 1C: section "For the Manager" → "Overdue payables to suppliers". Direct access is via the navigation link e1cib/list/Report.OverduePayablesToSuppliers.

Accounts payable to suppliers are recorded in account 3310 "Short-term accounts payable to suppliers and contractors" of the standard chart of accounts of the RK. The balances of this account (and related sub-accounts) are the subject of the report's analysis.

2. Attributes and Settings

Since the object is a report in DCS, the "header" and "table parts" here are the structure of user settings for composition (parameters and output structure), not the attributes of the document.

2.1 Settings Attributes (Composition Parameters)

Name
Type
Mandatory
Purpose

Period
Date (dateTime)
Not checked
The date for which the report is generated. Defines the boundary of analysis — which liabilities are considered overdue at this moment.

ListOfOrganizationsRepresentation
String
Not checked
String representation of selected organizations for the report header and filtering. Automatically generated when organizations are selected.

PlacementOfAdditionalFields
Number (decimal)
Not checked
Enum-like value controlling the placement of additional columns in the layout (in separate columns / in groupings).

DetailingMode
Boolean
Not checked
Flag for detailed breakdown (drill-down to primary documents). Provides navigation to the sources of debt.

2.2 Table Parts (Output Structure Elements)

Grouping

Purpose: management of levels of detail — the order of data grouping (by counterparties, contracts, accounting accounts, etc.).

Name
Type
Purpose

Usage
Boolean
Activity of grouping. If unchecked — grouping is not applied.

Field
String
System name of the DCS field for grouping (Counterparty, CounterpartyContract, AccountingAccount).

Representation
String
User-defined name of the field in settings and headers.

GroupingType
EnumRef.GroupingDetailType
Type of detail (detailed records / only totals / totals and detailed records). Controls the output of intermediate totals.

AdditionalFields

Purpose: list of additional columns besides the main indicators of debt (attributes of the counterparty, contract, analytics).

Name
Type
Purpose

Usage
Boolean
Inclusion of the additional field in the layout.

Field
String
System name of the field from the composition scheme.

Representation
String
Name of the column in the table header.

3. Forms

For the standard report in DCS, a set of forms is provided:

Form
Purpose

Report Form (main)
A unified form for setting parameters (Period, Organizations, groupings, additional fields), launching the generation, and outputting the result in the table document field. Contains a settings panel and a "Generate" button.

Settings Form (design option)
Extended configuration of structure, selections, and conditional formatting through the standard DCS mechanism (when using the "Settings in a separate window" option).

Report Variant Form
Management of saved variants (user-defined composition settings).

In the standard delivery, the report uses the common form mechanism of DCS (extension of the managed report form of BCP). Separate custom forms are generally not overridden; all construction logic is performed by the data composition scheme.

4. Key Module Procedures

No separate special BSL code is attached in evidence — the report is built by the standard DCS engine. Below are the typical handlers characteristic of reports of this type in BK 3.0 (based on BCP "Report Variants"):

Procedure / Handler
Module
What it does

OnResultComposition
Report object module
Intercepts the composition: substitutes the parameter Period, limits by organizations, calculates calculated fields (days overdue, payment term ranges).

ReportFormSettings / OnCreateOnServer
Form module
Initialization of the settings panel, restoration of the user variant, setting default values (current date in Period).

OnLoadVariantOnServer
Form module
Application of the selected saved composition variant.

BreakdownProcessing / Breakdown
Form module
Processing DetailingMode — transition from the report line to primary documents (invoices, receipts, payments).

Layout Procedures-Functions of DCS
Composition scheme
Main query to the accounting register, calculation of the balance of debt and overdue payment terms of the contract.

Requires verification for the specific version 3.0.74.2: the presence of a custom object module with OnResultComposition — in terms of releases, the calculation of overdue has been entirely moved to calculated fields of DCS without programming code.

5. Data Sources (Registers and Accounts)

The report does not generate movements and postings — this is its fundamental difference from documents. It performs a query to the accounting data as of the date Period.

Main data source:

- Accounting register "Economic Calculation" — balances on account 3310 "Short-term accounts payable to suppliers and contractors" (credit balance by sub-accounts Counterparties and Contracts).

Accounts of the RK involved in analysis and breakdown (standard chart of accounts):

Account
Name
Role in the report

3310
Short-term payables to suppliers and contractors
Analyzed liability (credit balance)

1030
Cash on current bank accounts
Source of repayment — when breaking down to payments

1330
Goods
Correspondence upon receipt of goods and materials

3130
VAT payable
Related VAT amounts in settlements

Logic of determining overdue. For each liability, the report compares the date of the debt's occurrence and the payment term specified in the counterparty's contract with the date Period. A liability is considered overdue if the payment term has passed and the credit balance on account 3310 is not closed. Amounts are grouped by overdue ranges (for example, up to 30 / 31–60 / 61–90 / over 90 days) depending on the settings of the variant.

Example of reference context RK-2026 (for reconciling numerical data of related operations): VAT rate — 16%, ESF amounts are generated in the ESF system with accompanying invoice; calculated indicators for taxes (individual income tax, social tax, social tax) are not directly related to this report but are relevant when analyzing related settlement obligations.

6. Related Objects and Input Based On

The report is a "reading" object, so it does not have an "input based on" mechanism. Relationships are expressed through data sources and breakdowns:

Related Object
Nature of the Relationship

Directory.Counterparties
Sub-account of debt, grouping field

Directory.CounterpartyContracts
Payment term (basis for calculating overdue), grouping field

Directory.Organizations
Selection and representation of the list of organizations

Document.GoodsAndServicesReceipt (and analogs)
Source of debt occurrence; purpose of breakdown

Document.OutgoingPaymentOrder / BankAccountWriteOff
Repayment of debt; purpose of breakdown

Accounting register "Economic Calculation"
Main source of balances on 3310

Available from the report (through breakdown): opening the card of the counterparty/contract, opening the primary document, transitioning to the "Turnover and Balance Statement for account 3310".

7. Extension Points

- Report Variants (DCS). Adding custom groupings, selections, conditional formatting, and additional fields without changing the configuration — through user-defined/predefined variants.

- Data Composition Scheme. Extending the query (additional fields of the counterparty, manager, analytics), changing overdue ranges, adding calculated fields.

- Configuration Extension. Overriding OnResultComposition and form handlers for non-standard overdue logic or additional filtering.

- Additional Fields / Attributes. Through PlacementOfAdditionalFields — managing the composition and arrangement of columns.

- Integration with the payment calendar. Using the report result as a source for payment planning (external processing/extension).

- Role-based access settings. Limiting visibility by organizations through RLS and roles — relevant for multi-company accounting.

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