§ 30.63  MONTHLY ACCOUNTING.
   He or she shall, at the end of every month, and more often if required, render an account to the Board of Trustees under oath, showing the state of the moneys received, on what account, and all warrants redeemed and paid; said account, warrants, and all vouchers held by him or her shall be delivered to the Clerk’s office, upon the day of such statement. He or she shall return all warrants paid by him or her, stamped or marked “paid”. He or she shall keep a register of all warrants paid, describing them and showing date, amount, number, the fund from which paid, to whom, and when paid.
(1977 Code, § 1-8-1)