The Treasurer of the City is authorized and ordered to add an additional sum as found in the Master Fee Schedule, Chapter 3.50, to any account owed to the City by any person or corporation who delivers a check to the City for goods or services rendered when such check is returned to the City for insufficient funds. (Ord. 19-29 (part), 2019: Res. 02-87, 1987)
This section is included in your selections.