§ 2-282. Monthly accounts; statement to Board of Trustees.
The books of account provided to be kept by the Village Treasurer shall be properly balanced at least once in each month to show the true status and condition of each and every account therein shown. The Village Treasurer at the end of each and every month shall render an account to the Village Board, showing the state of the treasury at the time of the account. Such statement shall show the balance in each fund at the beginning of the month, the receipts and the disbursements for the month and the balance in each fund at the end of the month. He will prepare an annual statement of receipts and disbursements and state of the treasury, delivering same to the Village Clerk for publication as prescribed by state statute.
(Code 1993, § 2-7.2.4; Ord. No. 2006-O-5, 1-24-2006)