SDCL § 4-10-4: Monthly reconciliation--Accounting system and bank account records--State treasurer access.
Where this section sits in the code
- TITLE 4. PUBLIC FISCAL ADMINISTRATION
- CHAPTER 4-10. ACCOUNTS AND RECORDS
At the beginning of each month, the Bureau of Finance and Management shall:
(1) Reconcile the state accounting system balances with the state treasurer's state bank account records; and
(2) Provide the state treasurer electronic access to the reconciliation as soon as it is completed.
Collected 2026-09-03T15:18:56Z. Source file · JSON