133.09 DISPOSITION OF NONGENERAL FUND REVENUES.
   All nongeneral fund revenues received by the Board of Park Commissioners shall be turned over to the City Director of Finance as the ex officio treasurer of the Board on the day on which received. Such money shall be kept in a separate fund for that purpose. There shall be submitted with the annual budget request for the Board an itemized estimate of the expected revenues to be received in the fund for the ensuing year. At the time of the submission of the monthly, bimonthly or quarterly allotment request, there shall also be submitted an itemized statement of the proposed expenditures from the fund for the ensuing month, bimonthly or quarterly period as the case may be.
(1969 Code §2-97)