MLS Finance
Outstanding checks must be handled according to certain procedures. These guidelines apply specifically to units in the U.S. and Puerto Rico.
This document shows how to handle outstanding checks in a variety of circumstances. Find the circumstance that most nearly fits the check you are dealing with and follow the instructions.
The document "Reconciliation Instructions" outlines the steps necessary to reconcile MLS with the Church Unit Financial Statement for those units that have never correctly reconciled using MLS.
Outstanding checks must be handled according to certain procedures. These guidelines apply specifically to units in Canada.
Top Troubleshooting Articles
- MLS Finance
- MLS Membership, Organizations & Reports
- MLS Technical
- Stake & Ward Web Sites
- Stake Technology Specialist