Chapter 3.20 SPECIFIC FUNDS AND ACCOUNTS*
Section 3.20.200 Sewage works cash reserve fund.
3.20.200 Sewage works cash reserve fund.
A. There is created in the sewage works
of the city a fund entitled cash reserve fund.
B. The clerk-treasurer of the city is
authorized and directed to transfer monthly to the sewage
works depreciation fund a sum equal to at least five percent of the cash operating revenue of such
sewage works. (Prior code §§ 7-35, 7-36)