11-501. Monthly and annual reports to the
board


A. The treasurer shall report accounts of collection, custody and disbursement of
public revenue to the board of supervisors on the fifteenth day of each month for the
preceding month. For that purpose he shall prepare a statement, under oath, of the
amount of money or other property received, the sources from which derived, the amount of
payments or disbursements and to whom, with the amount remaining on hand.


B. The treasurer shall deposit all paid warrants issued by the board of supervisors
with the clerk of the board.


C. The treasurer shall also make a full report to the board annually as of the last
business day of June.