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