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Additional Responsibilities
- Preparing the annual operating and capital budget in concert with the City Manager.
- Monitoring and analyzing the activities of the current fiscal year to project trends in both revenues and expenditures that will have an effect on future budgets and fund balance.
- Preparing the documents required by the Department of Revenue Administration to set the
- City's tax rate.
- Producing all monthly and annual financial statements that are submitted to the City Manager and City Council. These reports are the basis of the annual Comprehensive Annual Financial Report (CAFR).
- Preparing documentations and coordinating the sale of bonds to fund capital projects.
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