- Fiscal collection and control agency of the Village
- Administer the Village's financial plan
- Develop and implement sound financial policies
- Establish and maintain effective accounting and internal control systems
- Responsible for cash flow and financial forecast of revenues and expenditures
- Reconcile the general ledger, bank accounts, investments, accounts receivables and payables
- Planning and production of the annual budget
- Planning and production of the annual tax levy
- Accurate and timely reporting required by the State of Illinois, including the Comprehensive Annual Financial Report, Tax Increment Financing Reports, and Annual Treasurers Report