About The Office of the Treasurer-Clerk
Treasury Management
Treasury Management is responsible for: 
    - The City's banking relations.
- Management of employees' pension assets, which are invested  primarily through external money managers.
- In-house management of a pooled investment fund for all governmental  operations.
- Issuance and ongoing administration of all city debt, including  the Electric, Gas, Water, Sewer, Stormwater, and Airport Systems as well as  General Government debt and various other conduit debt issues (see Annual  Reports to Bondholders).
- Work-in-progress auditing and disbursement of all city-issued  checks.
Records 
Records is responsible for: 
    - Preparation and maintenance of City Commission minutes
- Maintenance of active contract files
- Management of City archives
- Administering the City's document imaging system
- Educating City employees on State records retention requirements
- Registering Lobbyists
- Responding to public records requests - more information can be found on our Custodian of Records page
Revenue
Revenue is responsible  for collection of all City revenues, including: 
    - Utility payments
- Parking fines
- Other revenues
- Loading zones
 
Retirement
Retirement is  responsible for administering the City's: 
    - Retirement system for retired City  employees, which includes the Defined Benefit and Defined Contribution Pension  Plans
- Deferred Compensation Plan
- Chapters 175/185 Supplemental Share Plans
- Pre-retirement Education Program
- Financial Planning Program
- Social Security Alternative Plan (for temporary employees)
Risk Management
Risk Management is  responsible for administering the City's: 
    - Self-Insured programs for general liability, workers’  compensation, employee practice liability
- Procurement and administration of commercially purchased insurance 
- Insurance requirements for all  city contracts, agreements, requests for proposals and special events