RS 33:4317: Billing procedure; separate accounts; fidelity bonds
Where this section sits in the code
- TITLE 33. MUNICIPALITIES AND PARISHES 3
All bills for water, power, and lights, and other charges, shall be prepared and sent out monthly and payments thereof shall continue to be paid to and received by the clerk of the municipality. Separate bank accounts for the water, light and power systems shall be kept by the clerk of the municipality. The clerk of the municipality and all persons handling or receiving in any way funds from said systems shall execute to the fidelity bonds in such amounts and under such conditions and coverage as the commission may desire or deem advisable.
Collected 2026-09-14T04:57:46Z. Source file · JSON