§ 2430.112. Monthly report.
The Department prepares a summary of the daily reports at the end of each month for each facility in the form of the monthly income statement, Form OB-113. The statement consists of a summary of each item of the daily report and the calculation of the gross profit and net proceeds which serves as the basis for computing the monthly charges due from the vendor. The statement also provides the data which indicate the progress or lack of progress in the operation of a facility and is used to devise remedies to improve the operation and profit of the facility. See § 2430.171 (relating to daily report).
Cross References This section cited in 55 Pa. Code § 2430.107 (relating to budgeting and accounting).
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