Chapter 1
Finance
   3-1-1   Preparation of Tax Roll and Tax Collections
   3-1-2   Duplicate Treasurer's Bond Eliminated
   3-1-3   Village Budget
   3-1-4   Changes in Budget
   3-1-5   Village Funds to Be Spent in Accordance with Appropriation
   3-1-6   Fiscal Year
   3-1-7   Public Depositories
   3-1-8   Claims Against Village; Disbursements; Outstanding Checks
   3-1-9   Procedures
   3-1-10   Temporary Investment of Funds Not Immediately Needed
   3-1-11   Receiving Money; Receipt for Same Statement of Real Property Status
   3-1-12   Public Contracts and Competitive Bidding
   3-1-13   Bid Solicitation Procedures
   3-1-14   Accounts Receivable Billing Procedures
   3-1-15   Annual Audits
   3-1-16   Liability of Village for Acts of Agents
   3-1-17   Fee for Returning Checks with Insufficient Funds; Reimbursement of Collection Costs
   3-1-18   Delinquent Personal Property Taxes
   3-1-19   Policy for Public Deposits and Investments
   3-1-20   Alternative Claim Procedure for Refunds of Tax Payments in Excess of Tax Bill Amounts
   3-1-21   Payment of Engineering, Attorney and Other Fees by Benefitted Parties
   3-1-22   Special Charges for Delinquent Utility Bills
   3-1-23   Village Credit Card Use