§ 54.51  ANNUAL REVIEW OF CASH FLOW.
   To insure the required financial surveillance, the City Clerk Administrator shall annually review the cash flows associated with providing waste water treatment service for the city, and shall report the findings to the City Council at the regular April meeting of each year. Any iniquities and/or shortages of revenue caused by unforeseen changes in the cost revenue pattern of the waste water treatment facilities shall be remedied immediately by a City Council resolution adjusting the unit cost figures. Adjusted unit figures shall be computed in accordance with the principles of this subchapter.
(Ord. 201, passed 12-7-1988)