TITLE 38: FINANCIAL INSTITUTIONS
CHAPTER I: DEPARTMENT OF FINANCIAL AND PROFESSIONAL REGULATION PART 120 CURRENCY EXCHANGE ACT SECTION 120.130 RECONCILING ACCOUNTS
Section 120.130 Reconciling Accounts
Each licensee must reconcile all Currency Exchange Accounts with the appropriate accounting records at least once each month.
(Source: Amended at 9 Ill. Reg. 1358, effective January 17, 1985) |