1. The district treasurer shall report to the board of directors in writing on the first Monday in each month the amount of money in the construction fund, the bond fund and the general fund, and the amounts received and paid out in the preceding month.
2. The district treasurer shall make such other reports and accounting as the board may require.
3. All reports shall be verified and filed with the secretary of the board.
[Part 23:64:1919; A 1921, 118; 1927, 309; 1929, 286; 1955, 27]