Treasurer
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Shall be bonded.
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Shall keep an accurate account of all receipts, disbursements and funds of the Association.
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Shall maintain an Association bank account at all times.
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Shall have available an up-date financial statement at each general meeting.
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Shall require general or executive approval to disperse funds other than normal expenditures.
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Shall engage accountants as required.
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Shall prepare the Association books for audit at the end of the Association fiscal year and shall submit an annual financial statement.
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Shall be responsible for the Nevada fund.
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Shall be responsible for office management, including clerical help.