(A) At the close of each, month and at any other time, if so ordered, the Finance Executive shall prepare and submit to the City Manager a statement of the condition of each appropriation and fund or sub fund and such other reports as may be required of him.
(B) At the close of the year he shall submit to the City Manager a statement of the condition of each appropriation and fund or sub fund and such other reports as may be required of him. At the close of the year he shall submit to the City Manager a complete report of the financial transactions of the year and the condition of the City’s finances, including a balance sheet for each fund and such other reports as may be required of him.
(Prior Code, Art. 1, § 1.5(r))