N.Y. Comp. Codes R. & Regs. tit. 9, § 1647-7.5
(a) After the pre-closing trial balance of the general ledger and the entry recording the subsidy to be taken into income have been made, a journal voucher shall be prepared individually closing out the 3000 and 4000 control accounts to account 2700, Income and Expense Clearance, as follows:
Debit: Account 3000, Income Control Account $XXX
Credit: Account 2700, Income and Expense Clearance $XXX
Debit: Account 2700, Income and Expense Clearance $XXX
Credit: Account 4000, Expense Control Account $XXX