CHAPTER 127 – DEPARTMENT OF FINANCE
127.01   Director’s General Duties
127.02   Decertification of Funds Encumbered by Council
127.03   Annual Report of Accounts Payable and Revenue Shortages
127.04   Annual Report of Licenses and Permits
127.05   Rebates of Assessments
127.06   Substitutes for Metal Tags and Licenses
127.07   Bills and Claims of City-Employed Laborers
127.08   Agreement with Social Service Clearing House
127.09   Legal and Accounting Services for Bond Issues
127.10   Workers’ Compensation Actuarial Services
127.11   Support, Maintenance, and Supplies for the MITIS Computer System
127.12   Standard and Requirement Contracts for Various Telecommunications Purposes and Payment of Recurring Fees
127.13   Publication of Legal Notices
127.14   Contracts for Collection Services on Behalf of the City of Cleveland
127.15   Reserved
127.16   Reserved
127.17   Scrip Depository Account
127.18 to 127.21   Reserved
127.22   Salaries in Cash; Other Warrants
127.23   Reserved
127.24   Duties of Commissioner of Accounts
127.25   Reserved
127.251   Division of Financial Reporting and Control
127.252   Duties of Controller
127.26 to 127.28   Reserved
127.29   Division of Mail
127.30   Division of Taxation
127.31   Duties of Administrator of Division of Taxation
127.32   Division of Printing and Reproduction
127.33   Duties of the Commissioner of Printing and Reproduction
127.34   Use of the Division of Printing and Reproduction's Services by Other Political Subdivisions; Fee
127.35   Division of Risk Management
127.36   Duties of the Commissioner of Risk
127.37   Reserved
127.38   Expense Fund for Commissioner of Assessments and Licenses
127.39   Bureau of Taxicab Regulation
127.40   Duties of Chief of Bureau of Taxicab Regulation
127.41   Annual Audits of All City Funds by Independent Public Accountants
127.42   Dishonored Check Fee
127.43   Credit Transfer Services
127.44   Division of Information Technology and Services
127.45   Duties of the Commissioner of Information Technology and Services
127.451   Office of Information Technology Planning
127.46   Unclaimed Funds Recovery Service Agreements
127.47   Sale of Stocks and Bonds
127.48   Employee Recognition, Training, and Retreats for the Office of the Clerk of the Cleveland Municipal Court
   Note: The legislative history of this chapter, except where specifically noted at the end of a section, is as follows: Ordinance No. 63410-A, passed September 22, 1924.
Charter reference:
   Accounting procedure, Charter § 95
   Commissioner of Accounts, Charter § 97
   Director’s duties, Charter § 94
   Division of Assessments and Licenses, Charter § 103
   Division of Purchases and Supplies, Charter § 101
   Division of Treasury, Charter § 99
   Duties, Charter § 100
   General provisions for contracts, Charter § 106 et seq.
   Monthly financial statement, Charter § 96
   Sinking Fund provisions, Charter § 110
   Special Audits, Charter § 98
Cross-reference:
   Bonds for Treasurer, Commissioner of Accounts, Director of Finance, CO 171.16
   Bureau of the Budget, CO 113.10
   Income tax provisions, CO Ch. 191 et seq.
   Office of Budget and Management, CO 123.06
   Sinking Fund provisions, CO Ch. 179
Statutory reference:
   Powers and duties of Treasurer, RC 733.44
   Special funds authorized, RC Ch. 5705
   Treasurer’s annual report to Council, RC 733.45