CHAPTER XXVI

RECONCILIATION OF PRICED LEDGER WITH GENERAL BOOKS

2601 Mechanism of Reconciliation
2609 Monthly Abstract of Class Summaries
2615 Annual Abstract of Group Summaries
2616 Subsidiary Group Ledger
2617 Depot Group Ledger
2618 Consolidated Group Ledger
2619 Reconciliation with General Books
2620 Reconciliation of Monthly closing Balances
2622 Use of Group Ledgers by the Executive
2623 Annual reconciliation of Price Ledger
2628 Reconciliation Procedure
2633 Procedure of Adjustment of Discrepancies
2635 Responsibility for errors