§ 4406

Amended by Stats. 2016, Ch. 484, Sec. 43. (SB 1193) Effective January 1, 2017.

All fees collected on behalf of the board and all receipts of every kind and nature shall be reported each month for the month preceding to the Controller and at the same time the entire amount shall be paid into the State Treasury and shall be credited to the Pharmacy Board Contingent Fund which is hereby created. This contingent fund shall be available, upon appropriation of the Legislature, for the use of the board.

Other sections in Article 23 - Revenue and Renewal

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