It shall be the duty of the bond clerk to keep a record of all bonds or other securities coming into the possession of the state treasury and to do and perform any other duties required of him by the treasurer. Said clerk shall, before entering upon the duties of his office, execute a good and sufficient bond payable to the state treasurer, in some surety company authorized to do business in Mississippi, in the sum of fifty thousand dollars ($50,000.00), said bond to be conditioned for the faithful discharge of the duties of such clerk and shall be liable for any misfeasance, malfeasance, mistakes, or misappropriations of said clerk, the premium on said bond to be paid as the premium on the state treasurer's bond is paid. The provisions of this section and the bond required shall in no way alter or change the duties, responsibilities, and liabilities of the state treasurer.
Structure Mississippi Code
Title 7 - Executive Department
§ 7-9-3. Vaults to operate with timelock
§ 7-9-5. Deputy state treasurer and other personnel
§ 7-9-11. Separate and distinct accounts of various sources of revenue
§ 7-9-12. Establishment of clearing accounts and bank accounts; bad checks
§ 7-9-13. Receipts and payments only on warrant; exception for electronic funds transfer
§ 7-9-15. All warrants paid to be registered
§ 7-9-17. Duplicate receipts given when payment made into treasury
§ 7-9-19. States taxes collected paid direct to treasurer
§ 7-9-21. State officials to pay in collections
§ 7-9-23. Custodian of specified trust funds
§ 7-9-24. Refunds to state agencies for excess public utility charges
§ 7-9-25. Depository for federal-aid road funds
§ 7-9-27. Investment of special fund to refund overpayment of income taxes
§ 7-9-29. Payment of interest and bonds
§ 7-9-31. Cancellation of bonds and interest coupons
§ 7-9-32. Destruction of paid state warrants
§ 7-9-33. Receipted lists of cancelled bonds and coupons
§ 7-9-34. Destruction of paid and cancelled bonds and coupons
§ 7-9-35. Unexpended balances of appropriations
§ 7-9-41. Lump-sum withdrawals from treasury
§ 7-9-43. Contracts with selected depositories
§ 7-9-45. Monthly verification with auditor
§ 7-9-47. Reports to the legislature