NESFA Treasury Procedures – Table of ContentsLast updated before 7/2005

NESFA Treasury Procedures: Boskone Cross-Charge Accounts

The Boskone cross-charge accounts are basically the same as an other organization cross-charge account. They should be provided to the Boskone treasurer monthly. They are asset accounts, named AS-Bnn where nn is 39, 40, 41, etc.

It is essential that the Boskone Treasurer reconcile the cross-charge account monthly. The NESFA Treasurer should insist on this.