9 CRR-NY 1642-5.7NY-CRR

STATE COMPILATION OF CODES, RULES AND REGULATIONS OF THE STATE OF NEW YORK
TITLE 9. EXECUTIVE DEPARTMENT
SUBTITLE S. DIVISION OF HOUSING AND COMMUNITY RENEWAL
CHAPTER III. LOW RENT HOUSING
SUBCHAPTER D. ACCOUNTING MANUAL FOR PUBLIC HOUSING AGENCIES
PART 1642. BASIC INSTRUCTIONS
SUBPART 1642-5. SECURITY DEPOSITS
9 CRR-NY 1642-5.7
9 CRR-NY 1642-5.7
1642-5.7 Tenants charge and credit book.
The general ledger balance of security deposits (account 2114) shall be brought forward on the first of each month and entered in column 26 of the tenants charge and credit book (Exhibit 25 of Appendix S-8). Thereafter the daily statements of operations summarizing the day's security deposits transactions shall be posted currently, the security deposits collections being recorded in column 23, the transfers in column 24 and the refunds in column 25. The amount entered in column 23 minus the sum of the amounts entered in columns 24 and 25 shall be recorded in column 26 for the current day. The trial balance of the security deposits ledger, as of any day shall agree with the balance reflected in column 26 as of that day. At the end of the month, the balance in column 26 shall agree with general ledger account 2114.
9 CRR-NY 1642-5.7
Current through September 15, 2021
End of Document

IMPORTANT NOTE REGARDING CONTENT CURRENCY: The "Current through" date indicated immediately above is the date of the most recently produced official NYCRR supplement covering this rule section. For later updates to this section, if any, please: consult editions of the NYS Register published after this date; or contact the NYS Department of State Division of Administrative Rules at [email protected]. See Help for additional information on the currency of this unofficial version of NYS Rules.