S.D. Codified Laws § 4-4-4.4 (2026)
At the end of each fiscal quarter, the treasurer shall transfer any cash balance in excess of two hundred thousand dollars from the insurance operating fund to the general fund.
Source: SL 1989, ch 48 , § 2; SL 1995, ch 26 ; SL 2025, ch 31 , § 2.