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Pa Rela Brokerage RulesTrust_accounts_paEASY

Under RELA, a Pennsylvania broker is required to reconcile her escrow account on a monthly basis. Which of the following best describes what that reconciliation process requires?

Correct Answer

A) Verifying that the escrow account bank balance matches the broker's itemized records of all individual client funds being held

RELA requires brokers to reconcile escrow accounts monthly by comparing the bank statement balance against the broker's internal ledger of individual client deposits. The two totals must agree, confirming that every dollar held on behalf of clients is accounted for and that no funds are missing or commingled.

Answer Options
A
Verifying that the escrow account bank balance matches the broker's itemized records of all individual client funds being held
B
Confirming that each escrow deposit was reported to the Pennsylvania Department of Revenue within the same month it was received
C
Ensuring that the total escrow balance does not exceed the aggregate purchase prices of all pending transactions
D
Certifying to the SREC that no escrow funds were disbursed without a fully executed settlement statement

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Related Topics & Key Terms

Key Terms:

reconciliationbank_balanceclient_recordsescrowtrust_accountRELA
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