The City Administrator shall be the chief accounting officer of the City and of every branch thereof, and the council may prescribe and enforce proper accounting methods, forms, blanks, and other devices consistent with the law, this charter, and the ordinances adopted in accord therewith. He shall submit to the council a statement each month showing the amount of money in the City treasury, the status of all funds, the amount spent are chargeable against each of the annual budget allowances and the balances left in each, and such other information about the finances of the City as the council may require. Once each year, on or before the last day of February, the City Administrator shall submit a report to the council covering the entire financial operations of the City for the past year. This report shall show: the actual receipts and expenditures, omitting duplications and stating the cash balance at the beginning of the last fiscal year and at the close; the total outlays for operation and maintenance, and the total capital outlays; the condition of each of the funds; the total receipts by sources and the total expenditures by general purposes; the total outstanding bonds and debts of the City, when due, the amount of new bonds issued and the amount redeemed, and the interest rate of each; the condition of all the annual budget allowances; and inventory of all the property owned by the City; and such further information as the City Administrator deems advisable or the council requires.