(A) The Treasurer shall prepare a monthly financial report for the Board. The report will be current through the last day of the previous month, and shall be presented to the Board at its monthly meeting.
(B) The financial report for each fund will show the following information for revenues and expenditures:
(1) Account number;
(2) Description;
(3) Amended budget;
(4) Current period;
(5) Year to date; and
(6) Budget balance.
(Board and Administrative Policies Manual, § 4.20)