The purpose of this position is to manage City funds and ensure continued financial viability. This is accomplished by administering activities for the financial audit, preparing the Annual Comprehensive Financial Report, managing grant accounting and reporting, and preparing and reviewing official statements for bond issues and continuing disclosure documents for the Securities and Exchange Commission. Other duties include overseeing general ledger activities, participating in the preparation of the budget, performing department support functions, and interacting with other City employees and citizens. This position does provide direction to other employees.