4-2-300: COLLECTION AND DEPOSIT OF FINES, FEES AND FORFEITURES:
A.   The justice court shall deposit within seven (7) days, or more often if required by the city council, all fines, fees, costs, and forfeitures collected in an account controlled by the city treasurer. (Ord. 161, 12-5-1994)
B.   The city treasurer shall report to the finance director the sums collected and deposited. The finance director shall then apportion and remit the collected proceeds as provided in section 4-2-310 of this chapter.
C.   With the approval of the city council, a trust or revolving account may be established in the name of the justice court and the city treasurer for the deposit of money collected, including bail, restitution, unidentified receipts, and other money that requires special accounting. Disbursements from this account do not require the approval of the city council. The account shall be reconciled at least quarterly by the finance director. (Ord. 962, 2-1-2011)