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1004.60 F2 Community FundraisingCOMMUNITY RESALE RECONCILIATIONType of Fundraiser: ___ P O # ___ Staff Responsible:___ Date ___Description of Items PurchasedQuantityUnit Cost______ ___ ___ ___ ___
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How to fill out community resale reconciliation

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How to fill out community resale reconciliation

01
Gather all relevant financial documents related to community resales.
02
Reconcile the records of community resale transactions with the financial documents.
03
Identify any discrepancies and investigate the reasons behind them.
04
Make any necessary adjustments to ensure the accuracy of the community resale reconciliation.
05
Prepare a final report summarizing the findings of the reconciliation process.

Who needs community resale reconciliation?

01
Property management companies
02
Real estate developers
03
Community associations
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Community resale reconciliation is a process of comparing the amount of goods sold by community members and ensuring that proper accounting is done for the resale transactions.
Community members who are involved in reselling goods are required to file community resale reconciliation.
Community resale reconciliation can be filled out by providing information such as the quantity of goods sold, the selling price, and any relevant expenses incurred.
The purpose of community resale reconciliation is to maintain transparency and accuracy in accounting for resale transactions within the community.
Information such as the quantity of goods sold, selling price, expenses incurred, and any profits made must be reported on community resale reconciliation.
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