Revenue Management
The Revenue Management Division oversees the Town’s treasury, revenue operations, and financial planning. The division works to maintain the Town’s financial stability, protect public funds, and ensure compliance with all adopted financial policies.
Program Goals
- Maintain efficient systems for revenue planning, monitoring, and reporting to support long-term fiscal health.
- Safeguard the Town’s cash assets and ensure strong internal controls.
Key Services
Business Licenses & Taxes
- Administers the Town’s business tax and licensing programs
- Processes annual business license renewals
Accounts Receivable
- Manages the Town-wide accounts receivable system
- Processes grant receipts and Hotel User’s Tax (HUT) payments
Public Counter & Cashiering
- Provides cashiering services at Town Hall
- Manages and records all bank deposits
Revenue Forecasts & Rate Reviews
- Prepares revenue forecasts and monitors economic trends
- Reviews user charges and provides recommendations to Town Council
Investments, Banking & Debt Service
- Manages the Town’s investment portfolio in accordance with policy
- Prepares cash flow projections and allocates interest earnings
- Oversees banking services and debt service obligations