On the last day of each month the Department of Transportation shall identify the balance of all money in excess of sufficient working capital to accommodate the departments operating needs remaining in the Motor Carrier Account as of the close of business on the 25th day of such month, after deducting sums disbursed by warrants drawn on the Motor Carrier Account under ORS 825.326. The department shall thereupon transfer the balance to the State Highway Fund. [Formerly 767.635; 2003 c.754 9]
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