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Treasurer
Mission Statement
To receipt, record, and deposit all moneys to the City of which by State Law are directed to be paid to the Treasurer in a timely and accurate manner. Safeguard the financial assets of the City through appropriate internal control measures. Maximize investment earnings while prudently managing market and liquidity risk. To serve the public, other government units, and agents of the City with courteous and professional support.
The Treasurer's office is tasked with many important functions including:
- Staff Receipts and Preparing Bank Deposits for Payments of Property Taxes
- Hotel/Motel Room Tax
- Ambulance Bills
- Special Aassessments
- Pet Licenses
- Sundry Accounts Receivables Over-the-Counter
The personnel in this office receives and prepares deposits for all other funds collected by other departments of the City. In conjunction the Treasurer's office is also responsible for cash flow and investment management, internal controls, bond payments, capital financing, bank account reconciliation, property tax settlements with overlying jurisdictions, and maintenance of an investment policy.
The staff provides copies of tax bills and complete property inquiry forms as requested by the public.
Related Services
| Pay Property Taxes Online |
Related Pages
| Frequently Asked ?'s to the Treasurer's Office | Duties of the Treasurer |
| Seasonal Office Hours |
