The board shall report to the Controller at the beginning of each month for the month preceding the amount and source of all revenue received by it pursuant to this chapter, and shall pay the entire amount thereof to the Treasurer for deposit in the Optometry Fund.
Cal. Bus. & Prof. Code § 2568
Fiscal Provisions
Amended by Stats. 2020, Ch. 121, Sec. 8
Official source: California Legislative Information. Reproduced from public-domain California statutes; confirm against the official source for the current text. Not legal advice.