{"data":{"id":"us-ca/wat-24392","jurisdiction":"us-ca","citation":"WAT § 24392","heading":"","body":"The person in custody of any special account shall make a verified report in writing to the board between the first and tenth of each month showing all of the following for the month next preceding:\n(a) Amount of money received by him for the account in his charge.\n(b) Amount and items of expenditures from the account.\nThe report shall be filed with the secretary.","path":["Water Code - WAT","DIVISION 11. IRRIGATION DISTRICTS [20500. - 29978.]","PART 8. FINANCIAL ORGANIZATION [24250. - 24771.]","CHAPTER 2. Deposits [24350. - 24393.]","ARTICLE 3. Special Accounts [24390. - 24393.]"],"source_url":"https://downloads.leginfo.legislature.ca.gov/pubinfo_2025.zip","current_through":"2026-09-13","vintage":"","retrieved_at":"2026-09-14T05:56:33Z","sha256":"108755abf78990a3b2d76700061c8f9d4ef9d744a9012d27a345405a5e40f20a","source_id":"us-ca","stale":false,"prev":"us-ca/wat-24391","next":"us-ca/wat-24393"},"notice":"GroundRules: Original legal text. Not legal advice."}
