§ 3.92.100. Financial management.


Latest version.
  • The City Treasurer shall maintain and report within the City's accounts a separate housing trust fund account and any required related subsidiary funds for all related financing transferred from the City and any related income. Such funds shall be accounted for and reported separately on the company's annual financial report, and such funds shall be audited for compliance with this Chapter and related policies and regulations. The company shall prepare any other reports legally mandated for financing sources of the housing trust fund.

(ORD-06-0021 § 1 (part), 2006)