The state treasurer shall report to the governor and to members of the general assembly the general fund cash balance as of the last day of the preceding month as part of the treasurer's quarterly report required by section 24-22-107 (1).
Source: L. 59: p. 733, § 5. CRS 53: § 130-4-19. C.R.S. 1963: § 130-4-19. L. 93: Entire section amended, p. 1259, § 6, effective June 6.
Structure Colorado Code
§ 24-75-201. General Fund - General Fund Surplus - Custodial Moneys
§ 24-75-201.1. Restriction on State Appropriations - Legislative Declaration - Definitions - Repeal
§ 24-75-201.2. Restriction on State Spending - Unrestricted General Fund Year-End Balances
§ 24-75-201.3. Procedures Relating to Revenue Estimates
§ 24-75-201.5. Revenue Shortfalls - Required Actions by the Governor With Respect to the Reserve
§ 24-75-202. Imprest Cash Accounts
§ 24-75-203. Loans and Advances
§ 24-75-205. Insurance and Retirement Reserves
§ 24-75-206. Legislative Declaration
§ 24-75-208. Investment of Treasury Funds
§ 24-75-209. Payment of General Fund Warrants or Checks
§ 24-75-210. Reports to Governor
§ 24-75-219. Transfers - Transportation - Capital Construction - Definitions - Repeal
§ 24-75-220. State Education Fund - Transfers - Surplus - Legislative Declaration - Repeal
§ 24-75-225. Care Subfund - Creation - Administration - Transfer - Legislative Declaration
§ 24-75-227. Revenue Loss Restoration Cash Fund - Creation - Allowable Uses - Definitions - Repeal