§ 51.45  DEPOSITS.
   (A)   All revenues and moneys derived from the operation of the storm and sanitary sewer system shall be deposited in the storm and sanitary sewer account of the storm and sanitary sewer fund.  All such revenues and moneys shall be held by the City Treasurer separate and apart from his private funds and separate and apart from all other funds of the City; and all of this sum, without any deduction whatever, shall be delivered to the City Treasurer not more than ten days after receipt of the same, or at such more frequent intervals as may from time to time be directed by the Mayor and City Council.
   (B)   The City Treasurer shall receive all such revenues from the storm and sanitary sewer system and all other funds and moneys incident to the operation of the system as the same may be delivered to him or her, and deposit the same in the account of the fund designated as the “Storm and Sanitary Sewer Fund of the City of Danville.” The City Treasurer shall administer this fund in every respect in the manner provided by statute of the “Revised Cities and Villages Act” effective January, 1942.
(Ord. 7l93, passed 7-29-86; Am. Ord. 8781, passed 1-17-12; Am. Ord. 9115, passed 11-7-17; Am. Ord. 9290, passed 11-3-20)