§ 36.07 CHECK CLEARING ACCOUNT FOR PROCESSING EMPLOYEE HEALTH INSURANCE BENEFIT CHECKS.
   (A)   The City Auditor is hereby authorized to establish a checking account for the exclusive purpose of clearing employee health insurance benefit checks.
   (B)   The Third Party Administrator (TPA) is hereby authorized to initiate checks for the express purpose of paying employee medical benefits to providers or to reimburse the employee for medical bills the employee has paid.
   (C)   The TPA shall be bonded in the amount of $10,000.
   (D)   The checks shall clear back through an account that is controlled by the City Auditor. The City Auditor shall prepare a reconciliation of the account to insure that only authorized payments are made through the account.
(1981 Code, § 36.07) (Ord. 6728-96, passed 10-28-1996)