§ 19-4301. Monthly Reconciliation Reporting.
   (1)   The Director of Finance shall produce a reconciliation report on a monthly basis and file the report with the Office of the Controller and with the Chief Clerk of Council, with copies to the President and all members of Council.
   (2)   Each report filed pursuant to this Section shall contain, as to each of the City's general ledger and corresponding bank accounts under the direct control of the City Treasurer, the following information:
      (a)   The opening balance of the previous financial reconciliation.
      (b)   Totals for all income and expenses since the date of the previous financial reconciliation.
      (c)   The ending balance as of the date of the current financial reconciliation.
      (d)   Totals for all outstanding deposits or disbursements, and a detailed list of those transactions.
      (e)   Identification of unreconciled accounts, with an explanation of deficiencies.
      (f)   The frequency that each account is scheduled to be reconciled (e.g., monthly, bi-monthly, quarterly, etc.).
      (g)   The appropriate findings for the reconciliation and any needed comments or recommendations, or action plans.
      (h)   Such other information as the Council may from time to time require, including, but not limited to, information concerning specific transactions in those instances where a reconciliation is incomplete.
   (3)   All reports filed pursuant to this Section shall be kept available by the Chief Clerk of City Council for inspection and copying during regular office hours.