Current with legislation from 2024 Fiscal and Special Sessions.
Section 14-119-107 - Reconciliation of bank accounts(a) All water improvement districts maintaining bank accounts, as prescribed in § 14-119-102, shall reconcile their cash receipts and cash disbursements journal to the amount on deposit in banks on a monthly basis. The reconciliations shall take the following form: Click here to view table.
(b) This reconciled balance shall agree to either the cash balance as shown on the official's check stubs running bank balance or the official's general ledger cash balance, whichever system the official employs.Acts 1973, No. 211, § 7; A.S.A. 1947, § 21-2207.