West Virginia Code § 5-25-1

Resident trustee accounts required, reports
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All state institutions including, but not limited to, those institutions under the control of the
department of Veterans Affairs, the department of health, or the department of human
services which provide custodial care for any person for any purpose whatsoever shall
establish resident trustee accounts for all persons resident at the institution who request
such accounts or who are unable to manage their own funds. The administraetor in charge of
the institution shall take possession of all money or other valuables on the person of or sent
to each resident for whom a trustee account has been established: Provrided, That this article
shall not apply to state institutions under the control of the department of corrections or
where there is a legal representative appointed for such person.
The administrator shall credit such money and valuables to tthe resident entitled thereto and
shall keep an accurate record of all moneys and valuables received or disbursed. This
account is subject to examination by the head of the department which controls the
institution. The administrator shall deposit such fiduciary funds received into federally
insured account approved by the director of the department except for those funds required
to be kept locally. The local funds shall be depsosited in one or more responsible banks. The
accounts shall be designated "resident trustee account."
The administrator shall ensure that gproper disbursements are made from the "resident
trustee account" when required for the maintenance of the resident or when agreed to by
the resident. e
The administrator shall deliver to the resident, or to the resident's responsible
representative payee when applicable, at the time the resident leaves the institution all
valuables or moneys then credited to the resident or, in the case of the death of a resident
before leaving the institution, the administrator shall deliver such property to the resident's
representative.
TheW administrator of the institution shall submit a monthly report to the head of the
department controlling the institution. This report shall provide a reconciliation of each
resident trustee account or other fiduciary account maintained by the institution.
The director of any department who receives these monthly reports shall submit each month
to the Legislative Auditor a record of the reconciliations for each institution.

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