3-1-1104: REPORTS:
Following the end of each calendar quarter, the director of finance will prepare and submit to the city council a report setting forth the total amount then on deposit in the fund, including any interest earned, and all expenditures from the fund for any purpose authorized in section 3-1-1103 of this article. (Ord. 95-O-2231, eff. 3-10-1995)