| Statement Notification | Reconcile Statement/Print Adjustment Report | Submit Report |
|---|---|---|
| On (or about) the 25th of each month, cardholders are notified via email that their ProCard statements are ready for reconciliation. | By the 5th of the following month, cardholders must reconcile their ProCard statements and print their ProCard Adjustment Reports. | By the 10th of each month, both cardholders and their Approving Official must sign the ProCard Adjustment Report and submit all documentation to Accounts Payable, Zip 0041. |