35 Miss. Code R. § 5-05-06-108

Current through June 25, 2024
Section 35-5-05-06-108

Procedures are established to: Maintain a detailed record by patron name and date of all funds on deposit, maintain a current balance of all customer cash deposits which are in the cage/vault inventory or accountability, and reconcile this current balance with the deposits and withdrawals.

35 Miss. Code. R. § 5-05-06-108