§ 53.075 BILLS AND ACCOUNTING.
   It is hereby made the duty of the Municipal Clerk-Treasurer to render bills for sewer service and all other charges in connection therewith and to collect all money due therefrom. All revenues and money derived from the operation of the sewer system shall be paid to and held by the Municipal Clerk-Treasurer separate and apart from all other funds and money incident to the operation of said system, as may be delivered to the Municipal Clerk-Treasurer, and shall be deposited in a separate fund designated as the Village Sewerage System Revenue Fund Account. The Municipal Clerk-Treasurer shall administer said fund in every respect in a manner provided by state statutes and all other laws pertaining thereto. The Municipal Clerk-Treasurer shall establish a proper system of accounts and shall keep proper records, books and accounts in which complete and correct entries shall be made of all transactions relative to the sewer system. At regular annual intervals, the Village Board shall cause to be made an audit by an independent auditing concern of the books to show the receipts and disbursements of the sewer system.
(Prior Code, § 3-207)