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The funds received as daily payment from the work release, home detention or community service work crew participants shall be deposited in a bank trust account. Before the third work day of each month a check reflecting the total receipts for the previous month shall be delivered to the office of the Snohomish county treasurer and shall be placed into the general fund. These funds will defray the costs resulting from the operation of these programs. (Added by Ord. 82-081 § 2, Aug. 24, 1982; Amended by Ord. 93-007, Feb. 10, 1993).