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Mortgage Origination Business Model System
Don DeRespinis CPA 203 - 778 - 9999
danbury@snet.net
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2. Getting Started
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2.8 Step 6 Use the Program
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2.8.2 The Main Processes
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2.8.2.9 Audit Deficiencies on HUD Programs
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2.8.2.9.3 Regular monthly account reconciliation
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2.8.2.9.3
Regular monthly account reconciliation
Account reconciliation process verifies information reported on a cumulative basis with appropriate external or internal transaction verification.
Bank accounts reconciled with books
Credit card accounts reconciled with books
Credit Line accounts reconciled with books
Payroll accounts reconciled with tax returns and W-2 forms
Expense accounts reconciled with budget accounts
Monthly financial statements compared to plan and to Pipeline reports
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Last updated:
08/13/14