This Section provides a cash flow management function for the Cork City Council.
This involves
- Monitoring cash and bank balances,
- Arranging borrowing and leasing agreements,
- Managing Council investments,
- Bank reconciliation,
- Providing financial information requested from the Department of Environment Heritage and Local Government,
- Producing the Annual Financial Statement. This document presents the annual financial results of the City Council in the prescribed statutory form,
- Presenting the accounts to the Local Government Auditor and co-ordinates provision of backup documentation as required at the Annual Audit.
Contact Details
Financial Accounting
Cork City Council,
City Hall,
Cork
Tel: +353 21 4924063 / 4924122 / 4924077