§ 95.16 USE OF FUNDS; ACCOUNTING PROCEDURES.
   Funds appropriated by the Commission and budgeted to said Board, or the funds created and raised by the levy of an ad valorem tax for park and recreation purposes, shall be kept in a separate fund and disbursed by the fiscal disbursing officers of said city upon vouchers issued by said Board and signed by the proper officers, and within the budget appropriation made or taxes collected and remaining to the credit of said Board in said separate fund. Funds received by said Board from other sources shall be deposited by the city to the credit and for the use of the Board and disbursed as the above budget funds or tax monies are disbursed, except that funds received by gift, bequest or otherwise shall be disbursed in accordance with the terms of such gift or bequest.
('79 Code, § 15-17) (Ord. A-75, passed 2-15-54)