Each licensee must reconcile all Currency Exchange Accounts with the appropriate accounting records at least once each month.
Ill. Admin. Code tit. 38, § 120.130
Amended at 9 Ill. Reg. 1358, effective January 17, 1985
Each licensee must reconcile all Currency Exchange Accounts with the appropriate accounting records at least once each month.
Ill. Admin. Code tit. 38, § 120.130
Amended at 9 Ill. Reg. 1358, effective January 17, 1985