Wash. Rev. Code § 86.09.328

Current through Chapter 376 of the 2024 Regular Session
Section 86.09.328 - Monthly report by district treasurer

The said ex officio district treasurer shall report in writing on or before the fifteenth day of each month to the district board, the amount of money held by him or her, the amount in each fund, the amount of receipts for the month preceding in each fund, and the amount or amounts paid out of each fund, and said report shall be filed with the secretary of the board.

RCW 86.09.328

Amended by 2013 c 23,§ 455, eff. 7/28/2013.
1937 c 72 § 110; RRS § 9663E-110. Formerly RCW 86.08.250, part.