Illinois Administrative Code
Title 38 - FINANCIAL INSTITUTIONS
Part 120 - CURRENCY EXCHANGE ACT
Section 120.40 - Cashed Check Register

Universal Citation: 38 IL Admin Code ยง 120.40

Current through Register Vol. 48, No. 12, March 22, 2024

a) A check register must be maintained for all checks, drafts, money orders or other evidence of money that the licensed location cashes.

b) The check register must show for each instrument cashed: the maker, the payee, the date of the instrument, its amount and its number.

c) The foregoing check register requirements will not apply to those currency exchanges that maintain electronic copies of all checks, drafts, money orders or other evidence of money, provided that the electronic records are available to the Department upon request and the method of electronic storage is maintained in working order.

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