• To serve as custodian of the funds of QHCA and to disperse them as needed
  • To obtain Board approval for any disbursement over $100, not previously approved in the budget
  • To present a financial report at each Board meeting and at the annual meeting of QHCA
  • To arrange for an annual audit
  • To transfer all monies and records to the new treasurer on July 1
  • To open the financial records in the presence of an officer for any member of QHCA desiring to read them