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§ 140.612 Cash management.

23 CFR 140.612

Citation23 CFR 140.612
CorpusDaily eCFR
Displayed edition2026-09-23
Last updated2026-09-23

§ 140.612 Cash management.

By July 1 of each year the SHA will provide FHWA with a schedule, including the anticipated claims for reimbursement, of bond projects to be converted during the next two fiscal years. The data will be used by FHWA in determining liquidating cash required to finance such conversions.