Colorado Code § 24-21-606

Fees - department of state cash fund
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(1) All fees collected by the
licensing authority pursuant to this part 6 shall be transmitted to the state treasurer, who shall
credit them to the department of state cash fund created in section 24-21-104 (3)(b), also referred
to in this section as the "fund". The money in the fund is subject to annual appropriation by the
general assembly for the purposes of financing the licensing and enforcement activities of the
secretary of state as specified in this part 6.
(2) (a) Fees authorized by this part 6 shall be established by the licensing authority, in
consultation with the board, in amounts sufficient to ensure that the total revenue generated by
the collection of such fees approximates the direct and indirect costs incurred by the licensing
authority in carrying out its duties under this part 6. The amounts of all fees shall be reviewed
annually. The licensing authority shall furnish to the board both an annual and a quarterly
accounting of all fee and fine revenues received and expenditures made pursuant to this part 6,
together with a list of all fees in effect.
(b) The cost of implementing the electronic application and report filing system required
by section 24-21-605 (1)(c), including the cost of promulgating any new or amended rules for
use of the system, shall be recovered through a temporary fee increase or surcharge assessed on
licensees during the first five years of operation of the system. The licensing authority shall
establish the temporary fee or surcharge on a sliding or graduated scale, based on the quarterly
gross receipts of each licensee that is required to file quarterly reports or pay fees under section
24-21-621 (4) or 24-21-622 (6)(b), and in an amount sufficient to recover all of such costs within
the five-year period.
(3) All fines assessed pursuant to this part 6 shall be paid to the state treasurer who shall
credit the same to the general fund of the state.

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