(A) As provided for in 11 O.S. § 17-102(D), the municipality may have petty cash accounts for use in making certain small payments for costs incurred in operating the municipality.
(B) Each petty cash account established shall require Board of Trustees approval, including the amount of the petty cash imprest balance. However, in no case, should the imprest balance exceed $390.
(C) The petty cash accounts shall be reimbursed by utilizing properly itemized invoices or petty cash voucher slips and by then processing the reimbursement in the manner used for payment of purchases of goods, services and capital as described in § 34.22 of this subchapter.
(Prior Code, § 2-4-6) (Ord. 311, passed 9-9-2004)