{"data":{"id":"us-ca/wat-74754","jurisdiction":"us-ca","citation":"WAT § 74754","heading":"","body":"The treasurer shall report in writing at each regular meeting of the board, and as often thereafter as requested by the board, the amount of money on hand, the amount of receipts since his last report, and the amounts paid out. Such reports shall be verified and filed with the secretary.","path":["Water Code - WAT","DIVISION 21. WATER CONSERVATION DISTRICTS [74000. - 76501.]","PART 6. FINANCIAL PROVISIONS [74750. - 74977.]","CHAPTER 1. Funds and Warrants [74750. - 74756.]"],"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":"5040ed8d61e1fde7afa721a206307defe4140fd3b4166d0a3907f7c44e2d92f1","source_id":"us-ca","stale":false,"prev":"us-ca/wat-74753","next":"us-ca/wat-74755"},"notice":"GroundRules: Original legal text. Not legal advice."}
