Current through Register Vol. 35, No. 20, October 22, 2024
Section 13.14.4.9 - BOOKS AND RECORDS A title insurer or agency shall, on a current basis:
A. establish and maintain a separate subsidiary ledger for each escrow transaction;B. post all receipts and disbursements from each subsidiary ledger to a control ledger daily and at least monthly, prepare a trial balance of all subsidiary ledgers. The monthly trial balance reconciliation shall be performed by a person who did not perform the receipt and disbursement function; andC. on a daily basis, reconcile the book balance and escrow account balance.D. At least once each calendar month, prepare a three-way reconciliation for each escrow account. Each three-way reconciliation is required to be prepared within 10 business days of the closing date of the bank statement and to be approved by a title insurance agent who did not perform the reconciliation. The reconciliation shall include at a minimum as of the reconcile date: (2) reconciliation sheet or summary page with book balance;(3) outstanding deposits list and list of deposits in transit;(4) open escrow file listing or trial balance; and(5) outstanding disbursements list, all as of the reconciliation date.E. Reconciliations and underlying statements, listings and reports shall be preserved in a logical sequence to trace an individual escrow transaction and shall be available electronically.N.M. Admin. Code § 13.14.4.9
13.14.4.9 NMAC - Rp, 13.14.4.9 NMAC, 7-1-05, Amended by New Mexico Register, Volume XXVI, Issue 24, December 30, 2015, eff. 3/1/2016, Adopted by New Mexico Register, Volume XXXI, Issue 24, December 29, 2020, eff. 1/1/2021