§ 31.20 TREASURER’S MONTHLY REPORT.
   (A)   The Municipal Treasurer shall, at the end of each and every month, and such other times as the governing body may deem necessary, render an account to the governing body under oath showing the financial state of the municipality at that date, the amount of money remaining in each fund and the amount paid therefrom and the balance of money remaining in the Treasury. He or she shall accompany said account with a statement of all receipts and disbursements, together with all warrants redeemed and paid by him or her. He or she shall also produce depository evidence that all municipal money is in a solvent and going bank in the name of the municipality.
   (B)   If the Municipal Treasurer shall neglect or fail for the space of ten days from the end of each and every month to render his or her accounts as aforesaid, the governing body shall, by resolution, declare the office vacant and appoint some person to fill the vacancy. The Municipal Treasurer shall be present at each regular meeting of the governing body, at which time he or she shall read and file his or her monthly report.
(Prior Code, § 1-206)