The accounting and financial management of the guarantee fund for risks relating to the agricultural spreading of urban or industrial sewage sludge is carried out by the Caisse Centrale de Réassurance in accordance with the rules applicable to it, subject to the provisions of this section. This management is accounted for separately from other operations carried out by the Caisse. The Chairman of the Board of Directors of the Caisse centrale de réassurance draws up the fund’s accounts for the previous financial year, after consulting the management board referred to in Article R. 424-8, in accordance with the procedures set out in Article R. 424-10.