(a) A cash drawer fund in the amount of two hundred dollars ($200.00) is hereby established for the Tax Clerk that will exist as part of the total resources of the Municipality.
(b) Such fund shall be for the sole purpose of making change for cash transactions.
(c) The Tax Clerk shall maintain such fund and shall balance said fund on a daily basis.
(d) Under no circumstances shall such fund be used to cash a personal check or third party check or be used for Municipal expenditures.
(e) The Finance Director shall audit the fund.