Oklahoma Code § 62-34.54

Title 62. Public Finance: General Revenue Cash-flow Reserve Fund - Transfer of
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funds.
There is hereby created in the State Treasury a division of the
State General Revenue Fund which shall be designated the "General
Revenue Cash-flow Reserve Fund".  The purpose of the General Revenue
Cash-flow Reserve Fund is to make cash available for the July cash
allocation and so that, insofar as possible, each monthly cash
allocation thereafter can equal one-twelfth (1/12) of the annual
appropriation from the General Revenue Fund.
1.  Each year the Director of the Office of Management and
Enterprise Services may transfer monies from the then current fiscal
year General Revenue Fund to the General Revenue Cash-flow Reserve
Fund for the succeeding fiscal year when the apportionment to the
General Revenue Fund is in excess of amounts required for the
allocations necessary to fund appropriations made by the Legislature
for the then current fiscal year.  The amount to be transferred
shall not exceed ten percent (10%) of the amount certified by the
State Board of Equalization as available for appropriation from the
General Revenue Fund for the next succeeding fiscal year.
2.  Any monies transferred to the General Revenue Cash-flow
Reserve Fund pursuant to paragraph 1 of this section, shall be
transferred by the Director of the Office of Management and
Enterprise Services as nonrevenue receipts to the State General
Revenue Fund in the amounts necessary to make cash available for the
July cash allocation and so that, insofar as possible, each monthly
cash allocation thereafter can equal one-twelfth (1/12) of the
annual appropriation.
3.  By the first Monday of each December, the Office of
Management and Enterprise Services shall analyze and submit to the
State Board of Equalization the amount of monies remaining in the
General Revenue Cash-flow Reserve Fund which are not necessary for
current year cash-flow needs and are available for legislative
appropriation.
4.  On the second Monday of June of each year, the Director of
the Office of Management and Enterprise Services shall close the
preceding fiscal year General Revenue Cash-flow Reserve Fund by
transfer to the then current fiscal year General Revenue Fund.
5.  Any monies in the prior year General Revenue Cash-flow
Reserve Fund which are not necessary for the current year cash-flow
needs shall be subject to legislative appropriation.
Added by Laws 1983, c. 183, § 1, emerg. eff. June 9, 1983. Amended
by Laws 1984, c. 224, § 1, emerg. eff. May 23, 1984; Laws 1987, c.
5, § 145, emerg. eff. March 11, 1987; Laws 1988, c. 119, § 16,

emerg. eff. April 7, 1988; Laws 2009, c. 441, § 34, eff. July 1,
2009.  Renumbered from § 10.1 of this title by Laws 2009, c. 441, §
64, eff. July 1, 2009.  Amended by Laws 2012, c. 304, § 381; Laws
2016, c. 315, § 1, eff. Sept. 1, 2016.

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