(a) Petty cash funds shall be maintained in the following amounts:
Municipal Court |
$100.00 |
Utility Billing Office |
600.00 |
Engineering |
100.00 |
Building Inspection |
100.00 |
Income Tax |
200.00 |
Finance Departmental Office |
200.00 |
Fire |
200.00 |
Water |
100.00 |
Water Pollution Control |
100.00 |
Police |
200.00 |
Parks and Recreation |
100.00 |
Cable Television |
100.00 |
Streets |
100.00 |
Law Departmental Office |
100.00 |
TOTAL |
$2300.00 |
(b) The Finance Director is directed to provide for said funds from the operating budgets of the corresponding divisions and departments.
(Ord. 5903. Passed 2-3-98.)