OAR 441-755-0310
Annual Report


To assist the director to determine whether examination of a licensee is necessary, each licensee must submit a report by April 1 for the previous calendar year’s check-cashing activities for each licensed location, including:

(1)

The total number of payment instruments cashed;

(2)

The total amount of the face values of all payment instruments cashed; and

(3)

The total amount of fees charged for all payment instruments cashed.

Source: Rule 441-755-0310 — Annual Report, https://secure.­sos.­state.­or.­us/oard/view.­action?ruleNumber=441-755-0310 (accessed May 26, 2025).

May 26, 2025

Rule 441-755-0310's source at or​.us