Colorado Code § 24-21-104

Fees of secretary of state
Open in Lexace · Ask the AI about this section
(1) (a) (I) The secretary of state shall charge
fees, which shall be determined and collected pursuant to subsection (3) of this section, for:
(A) Filing each body corporate and politic document;
(B) Filing each facsimile signature;
(C) Each notary public's commission;
(D) Each foreign commission;
(E) Each official certificate;
(F) Administering each oath;
(G) Each filing made in accordance with sections 6-13-201 and 6-13-202;
(H) Any transcripts or copies of papers and records, computer tapes, microfilm, or
microfiche; and
(I) Any other papers officially executed and other official work that is done in the
secretary of state's office.
(II) The secretary of state shall not deliver any commission, file for record any
certificate, or do any other official work until the applicable fee for the work has first been paid.
(III) At the time of service of any subpoena upon the secretary of state or any of his or
her deputies or employees, a fee of fifty dollars and a fee of ten dollars for meals and mileage at
the rate prescribed for state officers and employees in section 24-9-104 for each mile actually
and necessarily traveled in going to and returning from the place named in the subpoena shall be
paid to the department of state cash fund. If the person named in the subpoena is required to
attend the place named in the subpoena for more than one day, the sum of forty-four dollars for
each day of attendance shall be paid, in advance, to the department of state cash fund to cover
the expenses of the person named in the subpoena.
(b) Notwithstanding the amount specified for any fee in paragraph (a) of this subsection
(1), the secretary of state by rule or as otherwise provided by law may reduce the amount of one
or more of the fees if necessary pursuant to section 24-75-402 (3), to reduce the uncommitted
reserves of the fund to which all or any portion of one or more of the fees is credited. After the
uncommitted reserves of the fund are sufficiently reduced, the secretary of state by rule or as
otherwise provided by law may increase the amount of one or more of the fees as provided in
section 24-75-402 (4).
(2) Except as otherwise provided by statute, the secretary of state is authorized to
maintain an accounts receivable system for the collection of fees charged for papers officially
executed and all other official work which may be done in his office.
(3) (a) This subsection (3) shall apply, where referenced by statute, to all fees charged by
the secretary of state.
(b) The department of state shall adjust its fees so that the revenue generated from the
fees approximates its direct and indirect costs, including the cost of maintenance and
improvements necessary for the distribution of electronic records; except that the department
may reduce its fees to generate revenue in an amount less than costs if necessary pursuant to
section 24-75-402 (3). Such costs shall not include the costs paid by the amounts appropriated by
the general assembly from the general fund to the department of state for elections pursuant to
section 24-21-104.5. Such fees shall remain in effect for the fiscal year following the adjustment.
All fees collected by the department shall be transmitted to the state treasurer, who shall credit
the same to the department of state cash fund, which fund is hereby created. All money credited
to the department of state cash fund shall be used as provided in this section and shall not be
deposited in or transferred to the general fund of this state or any other fund. The money credited
or transferred to the department of state cash fund is available for appropriation by the general
assembly to the department of state in the general appropriation bill or pursuant to section 24-9-
105 (2).
(c) Beginning July 1, 1984, and each July 1 thereafter, whenever moneys appropriated to
the department of state during the prior fiscal year are unexpended, said moneys shall be made a
part of the appropriation to the department of state for the next fiscal year, and such amount shall
not be raised from fees collected by the department of state. If a supplemental appropriation is
made to the department of state for its activities, the fees of the department of state shall be
adjusted by an additional amount that is sufficient to compensate for such supplemental
appropriation. Funds appropriated to the department of state in the general appropriation bill
from the department of state cash fund shall be designated as cash funds and shall not exceed the
amount anticipated to be raised from fees collected by the department of state.
(d) (I) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, for the fiscal year beginning July 1, 1984, the general assembly, acting by bill, may
direct the state treasurer to deduct from the department of state cash fund any unappropriated
moneys in said fund and to credit such moneys to the general fund.
(II) Repealed.
(III) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on July 1, 1997, the state treasurer shall deduct one million dollars from the department
of state cash fund and transfer such sum to the state rail bank fund created in section 43-1-1309,
C.R.S.
(IV) and (V) Repealed.
(VI) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on July 1, 1998, the state treasurer shall deduct three million dollars from the
department of state cash fund and transfer such sum to the state public school fund created in
section 22-54-114, C.R.S.
(VII) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, in addition to any transfers authorized in H.B. 98-1234, on July 1, 1998, the state
treasurer shall deduct one million dollars from the department of state cash fund and transfer
such sum to the state public school fund created in section 22-54-114, C.R.S.
(VIII) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on July 1, 1998, the state treasurer shall deduct one million seven hundred thousand
dollars from the department of state cash fund and transfer such sum to the children's basic
health plan trust fund created in section 25.5-8-105, C.R.S.
(IX) Repealed.
(X) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on March 27, 2002, the state treasurer shall deduct one million two hundred thousand
dollars from the department of state cash fund and transfer such sum to the general fund.
(XI) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on March 5, 2003, the state treasurer shall deduct two million two hundred thousand
dollars from the department of state cash fund and transfer such sum to the general fund.
(XII) Notwithstanding any provision of paragraph (b) of this subsection (3) to the
contrary, on March 5, 2003, the state treasurer shall deduct five hundred thousand dollars from
the department of state cash fund and transfer such sum to the general fund.
(XII.5) to (XV) Repealed.
(e) (Deleted by amendment, L. 97, p. 1484, § 1, effective July 1, 1997.)
(f) Repealed.
(g) All moneys collected by the office of the secretary of state pursuant to section 4-9-
525, C.R.S., shall be transferred to the state treasurer and credited to the department of state cash
fund pursuant to this subsection (3).
(h) (Deleted by amendment, L. 98, p. 1331, § 42, effective June 1, 1998.)
(i) and (j) Repealed.
(k) On July 1, 2022, the state treasurer shall transfer eight million four hundred thirty-
five thousand dollars from the general fund to the department of state cash fund for use by the
department for the fiscal year commencing on July 1, 2022, to establish a credit program to
reduce certain business fees calculated under subsection (3)(b) of this section. The credit
program set forth in this subsection (3)(k) to reduce certain business fees shall end on or before
June 30, 2023, unless otherwise extended by the general assembly.
(4) For fiscal years beginning on or after July 1, 2015, and for purposes of section 24-75-
402, the alternative maximum reserve for the department of state cash fund is equal to sixteen
and five-tenths percent of the total amount the department of state expended from the fund
during the fiscal year, plus an amount equal to the amount of unexpended money from an
appropriation to the department of state from the fund for the fiscal year to reimburse county
clerk and recorders in accordance with section 24-21-104.5 for election costs.

‹ Prev All Colorado sections Next ›


Lexace provides legal information, not legal advice, and no attorney–client relationship is created. Statute text is provided for general information and may not reflect the most recent amendments; verify against the official state code.