Regulation 69
Final balances
of Town Councils Financial Rules
Subsidiary LegislationIn forceProvision 98 of 121
Regulation 69
Subregulation 1
All expenditure out of imprest accounts shall be submitted for reimbursement with a statement of year-end cash-on-hand balance on the first working day of the new financial year.
Subregulation 2
The cash-on-hand balance is to be verified by the secretary or his designated representative.