143.06 FUNDS; COLLECTION; DISBURSEMENTS.
   (a)   All revenue from any source shall be deposited in a bank or banks designated by the Sanitary Board. Checks and drafts against the account shall be drawn upon the signatures of the City Manager and the Treasurer of the City, and no other signature shall be necessary. Any provision of any other ordinance in conflict with this section is hereby expressly repealed.
   (b)   All expenses, wage, benefits, insurance, suits, indebtedness, payments, and loans shall be the exclusive responsibility of the Sanitary Board. The City shall not be held liable for any indebtedness or libelous action of the Sanitary Board or its employees. (Ord. 1-3-95)