Net Book Value Reconciliation
This schedule allows you to reconcile additions and disposals relating to resource properties for tax purposes to the change in net book value of these properties per financial statements. This allows you to double check that all assets per the financial statements have been properly handled for tax purposes.
The tax numbers relating to additions and disposals are automatically updated from Schedule 12.
This schedule is separate and distinct from the NBV reconciliation for Schedule 8.
See also