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This chapter explains the steps to follow to successfully perform the ISTAR Refresh/Valuation process, including how to verify a successful completion and reconcile ISTAR for any material differences from the previous year before producing any statutory schedules and vendor extracts.
Topics Covered in This Chapter

  • Configure Client Refresh Elections
  • Execute the ISTAR Refresh and Valuation
  • Perform the Summary Only Refresh
  • Verify the ISTAR Refresh and Valuation
  • Verify Other Build Statuses
  • Produce Preliminary Statutory Schedules
  • Interface to the General Ledger
  • Use STAR to PACE Direct for Insurance
  • Delete Eagle STAR and ISTAR Positions
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