In force: 2020-10-10
91. A business operator who collects dues in accordance with the first paragraph of section 85 must, until the dues are remitted to the Minister in accordance with this Regulation, deposit the amount as soon as possible with an authorized deposit institution within the meaning of section 24.1 of the Deposit Institutions and Deposit Protection Act (chapter I-13.2.2) or with a bank. The business operator must keep an account of the dues collected and interest generated, if any.
1046-2020O.C. 1046-2020, s. 91.