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####How To ...... Use the Nominal Group Cashbook Group Cash Book Overview Group Cashbook is designed to cater for multi company and multiple nominal code bank reconciliations, and is also designed
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The use form nominal group is a document used to report specific information related to a group of nominal transactions.
Entities that engage in nominal group transactions are required to file the use form nominal group.
The use form nominal group must be completed with accurate and detailed information about the nominal transactions.
The purpose of the use form nominal group is to provide transparency and compliance with regulations regarding nominal transactions.
Information such as the parties involved, transaction details, and purpose of the nominal group transactions must be reported on the use form nominal group.
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