There shall be appointed at the commencement of each municipal
term a Standing Committee on Finance, consisting of at least three
members of the City Council.
The Finance Committee shall have the following powers and duties:
A. To conduct surprise audits, investigations or inspections as the
Committee deems necessary or proper to ensure adequate protection
and proper use of public funds.
B. To approve all loans to the City which are authorized by the City
Council and report the same to the City Manager.
All city officers who shall, in their official capacity, receive
any money in behalf of the City shall pay to the Treasurer, through
the office of the City Clerk, the amount in their hands once a month
or oftener if required by the City Treasurer, except the Collector
of Taxes, who shall make payment directly to the City Treasurer once
a month or oftener if required by the City Treasurer. Certain departments
or agencies of the City wherein authority of handling any money received
is vested in boards created by the Charter or ordinances are also
an exception to this provision.
A. All other persons who shall at any time have money in their hands
belonging to the City shall forthwith pay the same to the Treasurer
through the office of the City Clerk.
B. Duplicate receipts shall be made for all moneys paid to the Treasurer
through the office of the City Clerk, the original of which shall
be given to the person making the payment, and the duplicate shall
remain in the office of the City Clerk.
The office of the City Clerk shall maintain a separate notice-of-claim
book, in chronological order setting forth the date and time of the
receipt of the notice of claims against the City, the name of the
person or persons giving notice and the amount. A copy of all papers
received at the office of the City Clerk shall be delivered or mailed
to the City Solicitor and the insuring agency for the City of Laconia
by the City Clerk or his authorized agent within 24 hours after receipt
of the notice of claim.
[Added 6-22-1998 by Ord. No. 05.98.05 ]
A. A nonlapsing Internal Service Fund (ISF) is hereby established as
of July 1, 1998, for fleet maintenance and acquisitions, pursuant
to the Government Accounting Standards Board's (GASB) Codification
of Governmental Accounting and Financial Reporting Standards. The
fund will be used to account for the financing of fleet acquisition
and maintenance provided to municipal departments of the City.
B. Upon the creation of the fund, all vehicles reported in the General
Fixed Asset Account Group and the Sanitary Sewer Fund will be transferred
to the Internal Service Fund.
C. Yearly, the Finance Office will calculate the amount of interest
the ISF would earn with its resources and the City Council will appropriate
a like amount as a contribution to the ISF through an appropriation
in the annual budget.
D. No money or funds are permitted to be transferred or used for any
other purpose than those described in this section.
E. The ISF shall remain in effect until such time as the City Council
votes to dissolve the fund. At such time all funds shall be returned
to the General Fund and Sanitary Sewer Fund on a pro rata basis.
The fiscal and budget year of the City shall begin on the first
day of July of each year.
[Added 5-23-2011 by Ord. No. 05.2011.05]
A. The Treasurer or other municipal official may accept payment of local
taxes, charges generated by the sale of utility services, or other
fees or charges by use of a credit card, debit card, or such other
means of electronic transaction as permitted pursuant to RSA 80-52-c.
B. The Treasurer or other municipal official may accept payment of all
transactions processed for services provided by, or fees due to, the
City of Laconia by use of a credit card, debit card, or such other
means of electronic transaction.
C. The Treasurer is authorized to negotiate and execute a processing
agreement with a credit card processor or processors. Said agreement(s)
shall specify the scope of services to be provided and the terms of
the agreement. The Treasurer shall periodically review, and as needed,
revise said agreement, and where deemed in the best interest of the
City, terminate any such agreement.
(1) The City shall not impose service charges (processing fees) on any
transaction where the processing agreement prohibits the separate
imposition of such fees over and above the amount otherwise due to
the City. In the case of property or utility tax payments, there may
be added to each amount due a service charge to cover processing fees
required under the processing agreement and any other actual costs
for the use of credit card services. In those cases, the Treasurer
shall be authorized to act as agents of the City to establish and
amend service charges. Any required disclosure under RSA 80-52-c,
as amended, shall be provided.
(2) All service charges (processing fees) shall be retained by the credit
card processor or processors for the convenience of making payments
by use of a credit card, debit card, or such other means of electronic
transaction.
D. The Finance Director and Treasurer shall be responsible for establishing
an internal control policy and procedures for the recordkeeping and
reconciliation of each credit card, debit card, or such other means
of electronic transaction.
E. For all transactions processed by credit card, debit card, or such
other means of electronic transaction which require mailing of documents,
permits or other materials, a mailing fee of $1 will be applied to
each transaction.
[Added 10-15-2013 by Ord. No. 03.2013.03]
Upon written request, the City may furnish bills by electronic
means in accordance with RSA 76:11. For the purpose of this section
"written request" shall mean in written paper format, or electronic
mail, or facsimile as long as the electronic signature of the requester
conforms to the requirements of the federal Electronic Signatures
Act or its successor.