T3 D Income Tax Return for Deferred Profit Sharing Plan (DPSP) or Revoked DPSP
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T3 D Income Tax Return for Deferred Profit Sharing Plan (DPSP) or Revoked DPSP
What's new
2017V1 - updated 2017-01-17
<Return>
<T3D>
<TrustInformation>
<SummaryReportTypeCode></SummaryReportTypeCode>
- Required 1 alpha
- Originals = O
- Amendments= A
- Modifié= M
- Cancel = C
<TrustAccountNumber></TrustAccountNumber>
Account Number
- Required T + 8 numeric
- Must correspond to the "Trust account number" assigned by the CRA
<TrusteeName>
Required – must include all required child tags
<NameLine1Text></NameLine1Text>
Name of Trustee filing this return
- Required 30 alphanumeric
- First 30 letters of the trustee's name
- Omit titles such as Mr., Mrs., etc.
<NameLine2Text></NameLine2Text>
Name of Trustee filing this return
- 30 alphanumeric
- Second 30 letters of the trustee's name
- Omit titles such as Mr., Mrs., etc.
</TrusteeName>
<TrusteeMailingAddress>
Required – must include all required child tags
<AddressLine1Text></AddressLine1Text>
Mailing address of trustee–line 1
- Required 30 alphanumeric
- First line of the trustee's address
<AddressLine2Text></AddressLine2Text>
Mailing address of trustee–line 2
- 30 alphanumeric
- second line of the trustee address
<MunicipalityName></MunicipalityName>
City
- Required 28 alphanumeric
- City in which the trustee is located
<ProvinceStateCode></ProvinceStateCode>
Province or territory
- Required 2 alpha
- Canadian province or territory in which the trustee is located
- Use the abbreviations listed in the "T619 - Electronic media transmittal" under section: Transmitter province or territory code.
<CountryCode></CountryCode>
Country code
- 3 alpha
- Country in which the trustee is located
- Use the alphabetic country codes as outlined in the International Standard (ISO) 3166 - Codes for the Representation of Names of Countries.
<PostalZipCode></PostalZipCode>
Postal code
- Required 10 alphanumeric
- Trustee's Canadian postal code, format: alpha, numeric, alpha, numeric, alpha, numeric, example: A9A9A9
</TrusteeMailingAddress>
<TrusteePhoneNumber>
Required – must include all required child tags
<PhoneAreaCode></PhoneAreaCode>
Area code
- Required 3 numeric
- Area code of telephone number
<PhoneNumber></PhoneNumber>
Telephone number
- Required 3 numeric with a (-), followed by 4 numeric.
- Telephone number of trustee
<PhoneExtensionNumber></PhoneExtensionNumber>
Extension
- 5 numeric
- Extension of telephone number
</TrusteePhoneNumber>
<TrusteeLanguageCode></TrusteeLanguageCode>
Language
- 1 alpha
- A = Anglais
- E = English
- F = French
<TrustFiscalPeriodEndDate>
Required – must include all required child tags
<Year></Year>
Trust fiscal period end date –Year
- Required 4 numeric
<Month></Month>
Trust fiscal period end date –Month
- Required 2 numeric
<Day></Day>
Trust fiscal period end date - Day
- Required 2 numeric
</TrustFiscalPeriodEndDate>
<FirstYearFilingIndicator></FirstYearFilingIndicator>
First Year Filing
- 1 alpha
-Y = Yes
- N = No/Non
-O = Oui
<DeclaredTrustProvinceCode></DeclaredTrustProvinceCode>
Province or territory of residence of the plan
- Required 2 alpha
- Canadian province or territory in which the plan resides
- Accepted values are AB, BC, MB, NB, NL, NS, NT, NU, ON, PE, QC, SK or YT
<TrustEffectiveDate>
Optional - if present must include all required child tags
<Year></Year>
Trust effective Date –Year
- Required 4 numeric
<Month></Month>
Trust effective Date –Month
- Required 2 numeric
<Day></Day>
Trust effective date - Day
- Required 2 numeric
</TrustEffectiveDate>
<TrustExpiryDate>
Optional - if present must include all required child tags
<Year></Year>
Trust expiry date –Year
Required - 4 numeric
<Month></Month>
Trust expiry date –Month
Required - 2 numeric
<Day></Day>
Trust expiry date – Day
Required - 2 numeric
</TrustExpiryDate>
<TrustBookRecordAddress>
Optional - if present must include all required child tags
<AddressLine1Text></AddressLine1Text>
Address where trust keeps its books and records –line 1
- Required 30 alphanumeric
- First line of the books and records location address
<AddressLine2Text></AddressLine2Text>
Address where trust keeps its books and records –line 2
- 30 alphanumeric
- second line of the books and records location address
<MunicipalityName></MunicipalityName>
Book City
- Required 28 alphanumeric
- City in which the books and records are located
<ProvinceStateCode></ProvinceStateCode>
Book Province or territory
- Required 2 alpha
- Canadian province or territory in which the books and records are located
- Use the abbreviations listed in the T619 - Electronic media transmittal under section: Transmitter province or territory code.
<CountryCode></CountryCode>
Country code
- 3 alpha
- Country in which the trustee is located
- Use the alphabetic country codes as outlined in the International Standard (ISO) 3166 - Codes for the Representation of Names of Countries.
<PostalZipCode></PostalZipCode>
Book Postal code
- Required 10 alphanumeric
- Books and records postal code, format: alpha, numeric, alpha, numeric, alpha, numeric, example: A9A9A9
</TrustBookRecordAddress>
<RegisteredPlanTrustOtherTrusteeNameGroup></RegisteredPlanTrustOtherTrusteeNameGroup>
Name of Other Trustees
- 60 alphanumeric
- First 60 letters of other trustee names
- Omit titles such as Mr., Mrs., etc.
<TrustAssetTransfer>
<TransfereeName></TransfereeName>
Name of new trust, pension corporation, or insurance company
- 60 alphanumeric
- First 60 letters of the new trust name
<TransferDate>
Optional - if present must include all required child tags
<Year></Year>
Transfer Date –Year
Required- 4 numeric
- Year the funds were transferred to another trust
<Month></Month>
Transfer Date –Month
Required- 2 numeric
- Month the funds were transferred to another trust
<Day></Day>
Transfer date - Day
Required- 2 numeric
- Day the funds were transferred to another trust
</TransferDate>
</TrustAssetTransfer>
<RegisteredPlanName></RegisteredPlanName>
Name of Plan
- Required 60 alphanumeric
- First 60 letters of the name of plan
<PlanRegistrationNumber></PlanRegistrationNumber>
Plan Registration Number
- Required 7 numeric
- The first 7 digits of the plan registration number assigned by the CRA
<TrustRevocationDate>
Optional - if present must include all required child tags
<Year></Year>
Trust revocation date –Year
Required- 4 numeric
<Month></Month>
Trust revocation date –Month
Required- 2 numeric
<Day></Day>
Trust revocation date – Day
Required- 2 numeric
</TrustRevocationDate>
</TrustInformation>
<Schedule1>
<TrustNonQualifiedAcquisition>
<Investment>
<Description></Description>
Description of investment
- 60 alphanumeric
- First 60 letters of the description
<AcquisitionDate>
Optional - if present must include all required child tags
<Year></Year>
Trust acquisition date –Year
Required- 4 numeric
<Month></Month>
Trust acquisition date –Month
Required- 2 numeric
<Day></Day>
Trust acquisition date – Day
Required- 2 numeric
</AcquisitionDate>
<AcquisitionFairMarketValueAmount></AcquisitionFairMarketValueAmount>
Fair market value at date of acquisition
- 15 numeric characters, dollars and cents
- Positive amounts only
</Investment>
<TotalInvestmentTaxPayableAmount></TotalInvestmentTaxPayableAmount>
Total investment tax payable on non-qualified acquisitions (Schedule 1 Area A line 1, Field 100)
-Sum of all Investment AcquisitionFairMarketValueAmount
- 15 numeric characters, dollars and cents
</TrustNonQualifiedAcquisition>
<SecurityLoanTrust>
<Property>
<Description></Description>
Description of property
- 60 alphanumeric
- First 60 letters of the description
<SecurityLoanFirstDate>
Optional - if present must include all required child tags
<Year></Year>
Trust acquisition date –Year
Required- 4 numeric
<Month></Month>
Trust acquisition date –Month
Required- 2 numeric
<Day></Day>
Trust acquisition date – Day
Required- 2 numeric
</SecurityLoanFirstDate>
<SecurityLoanFirstDateMarketValueAmount></SecurityLoanFirstDateMarketValueAmount>
Fair market value at date first used
- 15 numeric characters, dollars and cents
- Positive amounts only
</Property>
<TotalPropertyTaxPayableAmount></TotalPropertyTaxPayableAmount>
Tax on property used as security for a loan
- 15 numeric characters, dollars and cents
- Positive amounts only
</SecurityLoanTrust>
<TrustPropertyInadequateConsiderationDispostionAcquisition>
<DispositionBelowFairMarketValue>
<Property>
<Description></Description>
Description of property (Schedule 1 Area C Section 1 Column A)
-60 alphanumeric
- First 60 letters of description
<DispositionDate>
Schedule 1 Area C Section 1 Column B)
Optional - if present must include all required child tags
<Year></Year>
Disposition date –Year
Required- 4 numeric
<Month></Month>
Disposition date –Month
Required- 2 numeric
<Day></Day>
Disposition date – Day
Required- 2 numeric
</DispositionDate>
<DispositionDateFairMarketValue></DispositionDateFairMarketValue>
Fair market value at date of disposition (Schedule 1 Area C Section 1 Column C)
- 15 numeric characters, dollars and cents
- Positive amounts only
<DispositionProceedAmount></DispositionProceedAmount>
Proceeds of disposition (Schedule 1 Area C Section 1 Column D)
- 15 numeric characters, dollars and cents
- Positive amounts only
<DispositionTaxableAmount></DispositionTaxableAmount>
Taxable amount of disposition (Schedule 1 Area C Section 1 Column E)
- 15 numeric characters, dollars and cents
- Positive amounts only
</Property>
<TotalPropertyDispositionTaxableAmount></TotalPropertyDispositionTaxableAmount>
Total property disposition taxable amount (Schedule 1 Area C Section 1 Line 3)
- 15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
</DispositionBelowFairMarketValue>
<AcquisitionAboveFairMarketValue>
<Property>
<Description></Description>
Description of property (Schedule 1 Area C Section 2 Column A)
-60 alphanumeric
- First 60 letters of description
<AcquisitionDate>
(Schedule 1 Area C Section 2 Column B)
Optional - if present must include all required child tags
<Year></Year>
Acquisition date –Year
Required- 4 numeric
<Month></Month>
Acquisition date –Month
Required- 2 numeric
<Day></Day>
Acquisition date – Day
Required- 2 numeric
</AcquisitionDate>
<AcquisitionAmount></AcquisitionAmount>
Proceeds of acquisition (Schedule 1 Area C Section 2 Column C)
- 15 numeric characters, dollars and cents
- Positive amounts only
<AcquisitionDateFairMarketValue></AcquisitionDateFairMarketValue>
Fair market value at date of Acquisition (Schedule 1 Area C Section 2 Column D)
- 15 numeric characters, dollars and cents
<AcquisitonTaxableAmount></AcquisitionTaxableAmount>
Taxable amount of acquisition (Schedule 1 Area C Section 2 Column E)
- 15 numeric characters, dollars and cents
- Positive amounts only
</Property>
<TotalPropertyAcquisitionTaxableAmount></TotalPropertyAcquisitionTaxableAmount>
Total property disposition taxable amount (Schedule 1 Area C Section 2 Line 4) - Sum of all AcquisitionTaxableAmount
- Sum of all AcquisitionTaxableAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
</AcquisitionAboveFairMarketValue>
<TotalTaxableAmount></TotalTaxableAmount>
Total Schedule 1 Area C taxable amount where inadequate consideration given on purchase or sale (Field 210)
15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
<TotalTaxPayableAmount></TotalTaxPayableAmount>
Total Schedule 1 Area C tax payable where inadequate consideration given on purchase or sale (Schedule 1 Area C Section 2 Line 7, Field 110)- TotalTaxableAmount * 1/2
- 15 numeric characters, dollars and cents
- Positive amounts only
</TrustPropertyInadequateConsiderationDispostionAcquisition>
</Schedule1>
<Schedule2>
<BeneficiaryExcessContributionYearText></BeneficiaryExcessContributionYearText>
Years that excess contributions were made
-60 alphanumeric
-First 60 letters/numbers
<BeneficiaryName></BeneficiaryName>
Name of beneficiary (Schedule 2 Area A)
-60 Alphanumeric
- First 60 letters of beneficiary's name
<BeneficiarySocialInsuranceNumber></BeneficiarySocialInsuranceNumber>
Social Insurance Number (Schedule 2 Area A)
- 9 numeric
-The beneficiary's SIN
-When the beneficiary has failed to provide a SIN, enter zeroes in the entire field
<BeneficiaryExcess>
<MonthlySummary>
<MonthNumber></MonthNumber>
Month (Schedule 2 Area A Column A)
- 2 numeric
<PreviousMonthContributionBalanceAmount></PreviousMonthContributionBalanceAmount>
Contribution Amount for the previous month (Schedule 2 Area A Column B)
- 15 numeric characters, dollars and cents
- Positive amounts only
<CurrentMonthContributionAmount></CurrentMonthContributionAmount>
Contribution Amount for the current month (Schedule 2 Area A Column C)
- 15 numeric characters, dollars and cents
- Positive amounts only
<YearToDateContributionAmount></YearToDateContributionAmount>
Contribution amount - year to date (Schedule 2 Area A Column D) - Sum of PreviousMonthContributionBalanceAmount and YearToDatecontributionAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
<CurrentMonthContributionReturnedAmount></CurrentMonthContributionReturnedAmount>
Contributions returned to the beneficiary during the current month (Schedule 2 Area A Column E)
- 15 numeric characters, dollars and cents
- Positive amounts only
<CurrentMonthContributionBalanceAmount></CurrentMonthContributionBalanceAmount>
Year to date contribution amount minus current month contribution returned amount (Schedule 2 Area A Column F)
- 15 numeric characters, dollars and cents
- Positive amounts only
<CurrentMonthGiftAmount></CurrentMonthGiftAmount>
Aggregate of gifts made to the trust after May 25, 1976 and before the end of the month (Schedule 2 Area B Column G)
- 15 numeric characters, dollars and cents
- Positive amounts only
</MonthlySummary>
<TotalBeneficiaryContributionTaxableAmount></TotalBeneficiaryContributionTaxableAmount>
Total beneficiary contribution taxable amount (Schedule 2 Area C line 3) - Sum of allCurrentMonthContributionBalanceAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
<TotalBeneficiaryGiftTaxableAmount></TotalBeneficiaryGiftTaxableAmount>
Total beneficiary gift taxable amount (Schedule 2 Area C line 4)
- Sum of allCurrentMonthGiftAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
</BeneficiaryExcess>
<TotalTrustExcessTaxableAmount></TotalTrustExcessTaxableAmount>
Total trust excess taxable amount (Schedule 2 Area C line 5, field 215) - TotalBeneficiaryContributionTaxableAmount plus TotalBeneficiaryGiftTaxableAmount
- 15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
<TotalTrustExcessTaxPayableAmount></TotalTrustExcessTaxPayableAmount>
Total tax payable on excess amount (Schedule 2 Area C line 7, field 115) - TotalTrustExcessTaxableAmount multiplied by 1%
- 15 numeric characters, dollars and cents
- Positive amounts only
</Schedule2>
<Schedule4>
<MonthlyNonQualifiedProperty>
<MonthNumber></MonthNumber>
Month (Schedule 4 Column A)
- 2 numeric
<AcquisistionFairMarketValueAmount></AcquisistionFairMarketValueAmount>
Fair market value at the time of acquisition of all property that is not a qualified investment at end of month
- 15 numeric characters, dollars and cents
- Positive amounts only
<AcquisitionFairMarketValueTaxableAmount></AcquisitionFairMarketValueTaxableAmount>
Fair market value at the time of acquisition of column (b) property that is taxable under paragraph 198(1)c
- 15 numeric characters, dollars and cents
- Positive amounts only
<TaxableAmount></TaxableAmount>
Acquisistion fair market value amount minus acquisition fair market value taxable amount (Schedule 4 Column D)
- 15 numeric characters, dollars and cents
- Positive amounts only
</MonthlyNonQualifiedProperty>
<TotalNonQualifiedPropertyTaxableAmount></TotalNonQualifiedPropertyTaxableAmount>
Total non-qualified property taxable amounts (Field 245) - Sum of all TaxableAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
<TotalNonQualifiedPropertyTaxPayableAmount></TotalNonQualifiedPropertyTaxPayableAmount>
Part XI.1 tax on non-qualified property (Schedule 4 line 3, field 150) - TotalNonQualifiedPropertyTaxableAmount multiplied by 1%
- 15 numeric characters, dollars and cents
- Positive amounts only
</Schedule4>
<Schedule5 >
<NonQualifiedTrustInvestmentDisposition>
<Investment>
<Description></Description>
Description of Investment (Schedule 5 Area A Column A)
-60 alphanumeric
- First 60 letters of description
<AcquisitionDate>
(Schedule 5 Area A Column B)
Optional - if present must include all required child tags
<Year></Year>
Acquisition date –Year
Required- 4 numeric
<Month></Month>
Acquisition date –Month
Required- 2 numeric
<Day></Day>
Acquisition date – Day
Required- 2 numeric
</AcquisitionDate>
<AcquisitionTaxAmount></AcquisitionTaxAmount>
Tax imposed on acquisition (Schedule 5 Area A Column C)
- 15 numeric characters, dollars and cents
- Positive amounts only
<DispositionDate>
(Schedule 5 Area A Column D)
Optional - if present must include all required child tags
<Year></Year>
Disposition date –Year
Required- 4 numeric
<Month></Month>
Disposition date –Month
Required- 2 numeric
<Day></Day>
Disposition date – Day
Required- 2 numeric
</DispositionDate>
<ProceedAmount></ProceedAmount>
Proceeds of disposition (Schedule 5 Area A Column E)
- 15 numeric characters, dollars and cents
<TaxRefundAmount></TaxRefundAmount>
Tax Refund Amount (Schedule 5 Area A Column F)
- 15 numeric characters, dollars and cents
- Positive amounts only
</Investment>
<TotalTaxRefundAmount></TotalTaxRefundAmount>
Total Refund of tax on the disposition of non-qualified investments (Schedule 5 Area A line 1, field 060) - Sum of all NonQualifiedTrustInvestmentDisposition TaxRefundAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
</NonQualifiedTrustInvestmentDisposition>
<SecurityLoanTrustPropertyRecovery>
<Property>
<Description></Description>
Description of Property (Schedule 5, Area B, Column A)
-60 alphanumeric
- First 60 letters of description
<SecurityLoanFirstDate>
(Schedule 5, Area B, Column B)
Optional - if present must include all required child tags
<Year></Year>
Security loan first date –Year
Required- 4 numeric
<Month></Month>
Security loan first date –Month
Required- 2 numeric
<Day></Day>
Security loan first date – Day
Required- 2 numeric
</SecurityLoanFirstDate>
<UsageTaxAmount></UsageTaxAmount>
Tax imposed on use (Schedule 5, Area B, Column C)
- 15 numeric characters, dollars and cents
- Positive amounts only
<SecurityLoanExpiryDate>
Optional - if present must include all required child tags
(Schedule 5, Area B, Column D)
<Year></Year>
Security loan expiry date –Year
Required- 4 numeric
<Month></Month>
Security loan expiry date –Month
Required- 2 numeric
<Day></Day>
Security loan expiry date – Day
Required - 2 numeric
</SecurityLoanExpiryDate>
<UsageNetLossAmount></UsageNetLossAmount>
Net loss sustained through use (Schedule 5, Area B, Column E)
- 15 numeric characters, dollars and cents
- Positive amounts only
<TaxRefundAmount></TaxRefundAmount>
Tax Refund Amount - tax imposed on use minus net loss sustained through use (Schedule 5, Area B, Column F) - UsageTaxAmount minus UsageNetLossAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
</Property>
<TotalTaxRefundAmount></TotalTaxRefundAmount>
Total Refund of tax on recovery of property given as security for a loan (Schedule 5 Area B line 2, field 070) - Sum of all SecurityLoanTrustPropertyRecovery TaxRefundAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
</SecurityLoanTrustPropertyRecovery>
<InitialNonQualifiedTrustInvestmentDisposition>
<PreviousTaxAmount></PreviousTaxAmount>
Total taxes under subsection 199(1) paid in previous years on initial non-qualified investments (Schedule 5 Area C line 3)
- 15 numeric characters, dollars and cents
- Positive amounts only
<BaseAmount></BaseAmount>
Initial base of non-qualified investments (Schedule 5 Area C line 4)
- 15 numeric characters, dollars and cents
- Positive amounts only
<ProceedAmount></ProceedAmount>
Proceeds of disposition in all years (Schedule 5 Area C line 5)
- 15 numeric characters, dollars and cents
- Positive amounts only
<NetBaseAmount></NetBaseAmount>
Initial base of non-qualified investments minus proceeds of disposition in all years (Schedule 5 Area C line 6)
- 15 numeric characters, dollars and cents
- Positive amounts only
<PreviousTaxRefundAmount></PreviousTaxRefundAmount>
Previous refunds of tax on initial non-qualified investments (Schedule 5 Area C line 7)
- 15 numeric characters, dollars and cents
- Positive amounts only
<NonRefundableTaxAmount></NonRefundableTaxAmount>
Non refundable tax amount – net base amount plus previous refunds of tax on initial non-qualified investments (Schedule 5 Area C line 8) - PreviousTaxAmount minus NonRefundableTaxAmount
- 15 numeric characters, dollars and cents
- Positive amounts only
<TotalTaxRefundAmount></TotalTaxRefundAmount>
Total Refund of tax on the disposition of initial non-qualified investments
- 15 numeric characters, dollars and cents
- Positive amounts only
</InitialNonQualifiedTrustInvestmentDisposition>
</Schedule5>
<TrustReturnTaxSummary>
<TotalAcquireCorporationShareTaxPayableAmount></TotalAcquireCorporationShareTaxPayableAmount>
Total acquired corporation share tax payable amount (Field 140)
- line 5 of summary of tax or refund (Schedule 3 field 241)
- 15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
<TotalTrustTaxPayableAmount></TotalTrustTaxPayableAmount>
Total tax payable amount (Field 190)
- line 7 of summary of tax or refund
- 15 numeric characters, dollars and cents
<TrustAccountPaidAmount></TrustAccountPaidAmount>
Payments on Account (Field 010)
- line 8 of summary of tax or refund
- 15 numeric characters, dollars and cents
<TotalDeferredProfitSharingPlanTaxUnpaidAmount></TotalDeferredProfitSharingPlanTaxUnpaidAmount>
Unpaid balance of tax
- Line 9 of summary of tax or refund (line7 minus line 8)
- 15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
<TotalDeferredProfitSharingPlanTaxRefundAmount></TotalDeferredProfitSharingPlanTaxRefundAmount>
Total deferred profit sharing plan tax refund amount - Total of all TotalTaxRefundAmount tags (line 10 plus line 11 plus line 12)
- Line 13 of summary of tax or refund
- Positive amounts only
<TrustAccountBalanceAmount></TrustAccountBalanceAmount>
Balance owing (Field 090)
- line 14 of summary of tax or refund (line 9 minus line 13)
- 15 numeric characters, dollars and cents
- If negative amounts are being reported, include the "–"indicator before the dollar amount
</TrustRetuurnTaxSummary>
</T3D>
</Return>
- Date modified:
- 2017-01-17