§ 36.05  COMPLIANCE BY BANK.
   The bank shall on the next banking business day after receipt by it of payment of tax moneys hereunder give to the City Treasurer all duplicate paid bills for which it has received payment, together with duplicate deposit slip for the full amount of taxes paid on the preceding banking business day; the bank shall likewise send to the City Treasurer a list showing the tax bill item number appearing on each paid tax bill and the amount paid for which such tax receipt was issued.
(‘68 Code, § 2-705)  (Ord. 262, passed 6-6-66)