§ 24392
66 words·~1 min read·
/ca/water-code/24392A research copy — for the controlling text, always check the official state or federal source. Not legal advice.
The person in custody of any special account shall make a verified report in writing to the board between the first and tenth of each month showing all of the following for the month next preceding:
(a)Amount of money received by him for the account in his charge.
(b)Amount and items of expenditures from the account.
The report shall be filed with the secretary.