§ 31.054 MONTHLY ACCOUNT.
   The Village Treasurer shall render at the end of each month, and more often if required, an account to the Chairperson of Accounts and Finances, showing the state of the treasury at the date of such account and the balance of the money in the treasury. He or she shall also accompany such account, with a statement of all moneys received in the treasury and on what account, together with all warrants redeemed and paid by him or her when requested.
(1975 Code, § 8-105)