9-2-32: SEWERAGE SYSTEM FUND:
   A.   Receipts: All fees and charges received and collected under authority of this chapter shall be deposited and credited to the sewerage system fund.
   B.   Accounts: The accounts of said fund shall show all receipts and expenditures for the maintenance, operation, upkeep and repair of the sewerage works and any payments into sinking funds as may be established for the purpose of:
      1.   Paying principal and interest on the sewer bonds of the city which shall from time to time be outstanding.
      2.   Sewerage capital improvement fund for industrial cost recovery payments that are to be used exclusively for future expansion, upgrading or reconstruction on the sewage system.
      3.   Administrative expenses that are incurred in the operation and administration of the sewer system.
      4.   Other special funds as may be established by the city.
   C.   Use Of Funds: As provided by law, when budgeted and appropriated, the funds and credits to the account of the sewerage system fund shall be available for the payment of the requirements for the maintenance, operation, repairs and upkeep of the sewerage works of the city and, for payment into the sinking fund established for the payment of the principal of and interest of the sewer bonds of the city which shall from time to time be outstanding.
   D.   Summary: A summary of the sewerage system fund revenue and expenditures shall be provided at the close of each fiscal year to all sewer rate payors. Additionally, any rate payor is entitled to inspect at the city clerk's office the records or documentation indicating how his or her rate has been calculated. (Ord. 183, 10-24-1984; amd. 2000 Code)