[Amended 10-26-2004 by Ord. No. 4842]
There is hereby created and established within the Department of Administration a Division of Accounts.
The Division of Accounts shall be under the supervision and control of the Supervisor of Accounts, who shall be considered the head of this Division and who shall be certified as Supervisor of Accounts by Civil Service. Included but not limited thereto, the eligibility requirements for the position of Supervisor of Accounts shall have a thorough knowledge of the principles of auditing and accounting and their application to specific cases; of the procedures used in keeping and auditing the accounts of final transactions; of accounting methods and techniques; of the procedures used in preventing errors; of the interpretation of varied financial data; and of the principles of personnel administration.
Subject to budgetary appropriations, the Township Administrator shall exercise all necessary judgment and discretion with regard to the organization and management of said Division.
The Supervisor of Accounts, as division head, shall provide for the proper and efficient conduct of the following functions of the Division of Accounts:
A. 
Supervise the activities of assigned personnel, establish division procedures and methods of operations.
B. 
Check bank statements and maintain a running analysis of accounts.
C. 
Prepare budget requests, review budget practices and carry on research in order to make the budget a more meaningful document; assist in the preparation of the budget and prepare budget amendments, supervise and/or compile needed financial and other data for inclusion in budget.
D. 
Calculate payroll deductions and prepare and verify payrolls and maintain needed records and files.
E. 
Make audits of financial records and accounts to determine their accuracy and completeness; develop trial balances and other bookkeeping data; prepare and/or audit balance sheets and other financial statements and reports.
F. 
Provide technical guidance in reviewing, analyzing, evaluating and reporting on program accomplishments in financial terms; compare performance with operating plans and standards as reflected in financial data.
G. 
Report on and interpret the results as requested with the objectives of promoting economy and efficiency in the execution of programs; develop, coordinate and execute financial policies, procedures and plans.
H. 
Develop, coordinate and maintain an integrated system of financial staff services through synthesis of data and informative flow to provide the necessary financial control.
I. 
Supervise clerical and accounting staff and assign their duties and responsibilities.
J. 
Prepare, audit and edit reports of costs and other financial summaries and statements.
K. 
Review disbursements and controls to assure adherence to contractual obligations; supervise and maintain essential accounting records and files.
L. 
Determine the amount of money involved in proposed salary changes and relate the salary changes to wage increases by industry.
M. 
Review all requisitions for appropriateness of expenditures and do follow-up work on all questions, vouchers and requisitions.
N. 
Compile difficult and other statements and reports using basic data; assist in the preparation of annual financial statements, which may be required by law.
O. 
Prepare resolutions to transfer moneys from one account to another.
P. 
Work with data processing equipment to revise or establish new operational procedures.
Q. 
Cooperate and assist the Township Auditor in the operation and auditing of accounts.
R. 
Make difficult inspections of varied transactions and records to ensure that concerned regulations and accounting procedures are observed.
S. 
Maintain or supervise the maintenance of essential accounting records and files.
T. 
Assist the Municipal Treasurer in supervising and performing the work involved in the preparation of varied financial reports and statements.
U. 
Assist the Municipal Treasurer in the negotiation of loans and the sale of bonds.
V. 
Advise the Municipal Treasurer of moneys available for investing and maintain records of the Treasurer's investments.
W. 
Provide cash flow projection to the Municipal Treasurer for investment program.
X. 
Conduct all investigations, survey and reports directed by the Township Committee or Municipal Administrator.