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Navy Cash Standard Operating Procedures - Financial Management ...

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4.17.6 Daily/Monthly Reconciliation WorksheetUSS _______________________PRIVATE MESS DAILY/MONTHLY RECONCILIATION WORKSHEETDATE: _____________RECORDEDRecorded Collectionsfor Day/Month(Total of ‘NC’ Entries inRecord of Collections)ACTUAL<strong>Navy</strong> <strong>Cash</strong> Collectedfor Day/Month(Daily/Monthly MerchantSales Summary Report)Less Refunds Liquidatedfor Day/Month(Total Of ‘NC’ Refund Entriesin Record of ExpendituresLiquidated on/in Day/Month)TOTAL RECORDEDCOLLECTIONSADJUSTMENTS TORECORDED COLLECTIONSTOTAL ACTUALCOLLECTIONSADJUSTMENTS TOACTUAL COLLECTIONSADJUSTED TOTALADJUSTED TOTALNC SOP Ver 1.12 Chpt 4 Pvt Mess.doc 4-21 10-Aug-07

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