City treasurers Office are primarily responsible for managing the revenue and cash flow of the agency, banking, collection, receipt, reporting, custody, investment or disbursement of City funds.
An office with competent and customer-friendly staff, that collects taxes and other revenues, and does disbursement functions using transparent and systematic procedures, disseminating updated tax information, and motivating constituents to pay their taxes willingly and promptly.
The City Treasurer’s Office takes custody and exercises proper management of LGU funds. Performs the duties provided by the local government code, auditing rules, regulations, ordinances, and policies.
We commit to adhere to and implement strictly all office plans, policies, and procedures. We swear to be vigilant to any wrongdoings and to be transparent to all official transactions for the benefit of our internal and external clientele.
In order to sustain TRUST and CONFIDENCE of the paying public, we commit to adhere and implement strictly all office plans, policies and procedures. We swear to be vigilant to any wrong doings and to be transparent to all official transactions to prevent corruption in our workplace.