Shown is the Reconciliation Of Master File Balance as identified in the text. The top of the report has the following information from left to right, Master File, title of the report, Cycle Number and Week Ending date. The next row down has the following columns from left to right: Service Center - CodeTC 388 and 389 - Net Balance DR/CRTransactions Pending - Net Balance DR/CRAdjustments in Process - Net Balance DR/CRResequenced PJ Transactions - Net Balance DR/CRAccounts Register OMB Data