c3
Fund Reference Manual | Account detail
Office of Financial Management
Link to OFM website survey.

Home » Accounting » Fund Reference Manual

Account detail

795 State Investment Board Commingled Monthly Bond Account

Account code: 795
Account title: State Investment Board Commingled Monthly Bond Account
Administering agency: 1260 - State Investment Board
Fund type: HD - Agency Funds
Roll-up fund: KD - Pooled Investments Fund
Cash type: 1 - Treasury Fund
SAAM budget type: Nonappropriated/Nonallotted (N)
Interest earning authority:
Authority: RCW 43.33A.170
Closing GL Code:
Description: To administer the investment activities of the board, through a combined investment pool with a single account for investing monies in fixed rate bond investments.
Sources of revenue: Revenues are not applicable to this fund type
Clientele: User agencies
Effective date: 7/1/1982
Inactive date:
Notes: