Ind. Code § 33-32-3-6

Current through P.L. 171-2024
Section 33-32-3-6 - Monthly reports; certified copies; forms
(a) Before the twenty-fifth day of each month, the clerk shall prepare a report showing as of the close of business on the last day of the preceding month the following information:
(1) The balance, if any, of fees payable to the county.
(2) Fees collected for fish and game licenses.
(3) Trust funds held, including payments collected for support.
(4) The total of the balances of all fees and funds.
(5) The record balance of money in each depository at the end of the month.
(6) The cash in the office at the close of the last day of the month.
(7) Any other items for which the clerk of the circuit court is entitled to credit.
(8) The total amount of cash in each depository at the close of business on the last day of the month.
(9) The total of checks issued against each depository that are outstanding at the end of the month and unpaid by the depositories.
(b) The clerk shall:
(1) retain one (1) copy as a public record of the clerk's office; and
(2) file two (2) copies with the county auditor, who shall present one (1) copy to the board of commissioners of the county at its next regular meeting.

Each copy of the report must be verified by the certification of the clerk. The clerk shall file the original with the county auditor, who shall file it with the records of the county board of finance.

(c) The state board of accounts shall prescribe forms for the clerk's monthly reports.

IC 33-32-3-6

Pre-2004 Recodification Citation: 33-17-2-8.

Amended by P.L. 209-2019,SEC. 8, eff. 7/1/2019.
As added by P.L. 98-2004, SEC.11.