§ 31.48 ANNUAL REPORT.
   Prior to September 1 of each year the Village Treasurer shall prepare and file with the Village Clerk an account of all moneys received and expenditures incurred during the preceding fiscal year. The Village Treasurer shall show in such account:
   (A)   All monies received by the municipality, indicating the total amounts, in the aggregate, received in each account of the village, with a general statement concerning the source of such receipts; provided, for the purposes of this sub-paragraph the term "account" shall not be construed to mean each individual taxpayer, householder, licensee, utility user, or such other persons whose payments to the municipality are credited to a general account;
   (B)   All monies paid out by the village, giving the name of each person to whom paid, on what account paid and the total amount, in the aggregate, paid to each person from each account;
   (C)   A statement showing the state of the village treasury at the close of the fiscal year. On receipt of such account from the Village Treasurer, the Village Clerk shall publish the account at least once in a newspaper published in the village, or, if no newspaper is published therein, then in one or more newspapers having a general circulation within the municipality.
('71 Code, Ch. 1 § 7-4) (Ord. 82, passed 10-2-07; Am. Ord. 533, passed 5-18-77)