Kan. Stat. § 75-4202

Current through 2024 Session Acts Chapter 111 and 2024 Special Session Acts Chapter 4
Section 75-4202 - Operating accounts

All state moneys and credits received by the treasurer shall be deposited daily in one or more operating accounts. All disbursements shall be drawn from operating accounts. All banks having a state bank account shall service all warrants, drafts or checks of the state or its agencies. The board shall determine the compensation for services rendered that banks may receive on state bank accounts. Such compensation may be either compensating balances or fees.

K.S.A. 75-4202

L. 1967, ch. 447, § 2; L. 1992, ch. 146, § 11; L. 1996, ch. 254, § 15; May 23.