Minnesota Statutes

§ 123B.78 — CASH FLOW; SCHOOL DISTRICT REVENUES; BORROWING FOR CURRENT OPERATING COSTS; CAPITAL EXPENDITURE DEFICITS

Minnesota § 123B.78
JurisdictionMinnesota
PartEDUCATION CODE: PREKINDERGARTEN - GRADE 12
Ch. 123BSCHOOL DISTRICT POWERS AND DUTIES

This text of Minnesota § 123B.78 (CASH FLOW; SCHOOL DISTRICT REVENUES; BORROWING FOR CURRENT OPERATING COSTS; CAPITAL EXPENDITURE DEFICITS) is published on Counsel Stack Legal Research, covering Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Minn. Stat. § 123B.78 (2026).

Text

Subdivision 1.State aids payment. The commissioner of management and budget shall remit all payments of state aids to districts in conformance with the dates provided by law or, when not so provided, with a schedule of aid payments to be established by the commissioner of education in consultation with other affected state agencies. Subd. 2.Taxes. The auditors or finance officers of Minnesota counties shall remit all payments of taxes to the districts in conformance with the provisions of section276.11. Districts which have need for tax remittance advances may secure them from the counties by making formal requests in conformance with section276.11. Subd. 3.Tax and aid anticipation certificates. Minnesota school districts may issue tax and aid anticipation certificates in conformance wi

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Legislative History

1976 c 271 s 31;1983 c 314 art 6 s 2;1986 c 444;1987 c 384 art 2 s 1;1Sp1995 c 3 art 16 s 13;1996 c 412 art 1 s 3;1998 c 397 art 6 s 19,124; art 11 s 3;2003 c 130 s 12;2009 c 101 art 2 s 109

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Bluebook (online)
Minnesota § 123B.78, Counsel Stack Legal Research, https://law.counselstack.com/statute/mn/123B/123B.78.