EXPENSES - Grand Island

Transcription

EXPENSES - Grand Island
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
1
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011101 ADMINISTRATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011101 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011101 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011101 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011101 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011101 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011101 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011101 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10011101 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
242,582
242,582
186,820.52
19,268.11
9,634.06 REF PRCITY
9,634.05 REF PRCITY
16,699
WARRANT=060415
WARRANT=061815
16,699
11,801.47
1,388.95
692.30 REF PRCITY
696.65 REF PRCITY
34,182
42,498.95
4,337.14
2,168.57 REF PRCITY
2,168.57 REF PRCITY
173.76
21.72
21.72 REF PRCITY
394
394
240.40
34.68
17.34 REF PRCITY
17.34 REF PRCITY
14,555
11,209.28
1,156.08
578.04 REF PRCITY
578.04 REF PRCITY
328
328
27.33 VND 000036 VCH373411
222
222
7.16 VND 008197 VCH373251
788.01
27.33
CITY FINANCE DEPT
5,110.44
TASC
-8,316.95
87.24
66.6%
RUN=1 CITY BIW
153.60
61.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
3,345.72
77.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
-460.01
JUNE 2015 WORKERS COMP
7.16
124.3%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
14,555
4,897.53
.00
WARRANT=060415
77.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
261
55,761.48
.00
WARRANT=060415
WARRANT=061815
34,182
261
.00
.00
240.2%*
193553
-4,888.44 2302.0%*
JULY 2015 CAFETERIA FEES
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
2
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011101 85161
VEBA
2,340
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2,340
9,347.04
180.00
90.00 REF PRCITY
90.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
-7,007.04
399.4%*
RUN=1 CITY BIW
RUN=1 CITY BIW
311,563
311,563
267,989.87
26,421.17
.00
43,573.13
86.0%
5,922
6,998
5,922
6,998
.00
4,336.00
.00
542.00
.00
.00
5,922.00
2,662.00
.0%
62.0%
91 OPERATING EXPENSES
_________________________________________
10011101 85213
10011101 85241
CONTRACT SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011101
10011101
10011101
10011101
85245
85290
85330
85405
542.00 VND 000035 VCH374059
PRINTING & BINDING
OTHER PROFESSIONAL
REPAIR & MAINT-OFF
INSURANCE PREMIUMS
400
400
500
1,100
2015/09/000010 06/09/2015 API
10011101 85410
91.67 VND 000036 VCH373412
TELEPHONE
2,400
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
10011101
10011101
10011101
10011101
85422
85428
85490
85505
2,400
57.07 VND 000387 VCH373249
4.36 VND 010168 VCH373679
DUES & SUBSCRIPTION
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
43,000
7,500
600
1,750
2015/09/000122 06/18/2015 API
10011101 85540
400
400
500
1,100
43,000
7,500
600
1,750
4.58 VND 010168 VCH374660
MISC OPERATING EQUI
TOTAL OPERATING EXPENSES
CITY IT DEPT
JUNE 2015 IT SUPPORT
552.00
.00
3,790.00
824.99
.00
.00
.00
91.67
CITY FINANCE DEPT
783.65
40,268.00
2,113.36
691.10
876.00
.00
1,616.35
CELL PHONE CHARGES
CENTURYLINK - Phone Bill
.00
.00
.00
4.58
BANK OF AMERICA
-152.00
400.00
-3,290.00
275.01
JUNE 2015 PREMIUMS & LIABILITY
61.43
STATE DIV OF COMM
BANK OF AMERICA
.00
.00
.00
.00
193554
.00
.00
.00
.00
2,732.00
5,386.64
-91.10
874.00
CAPITAL BUSINESS-Copier Chgs
138.0%*
.0%
758.0%*
75.0%
193553
32.7%
193679
4408
93.6%*
28.2%
115.2%*
50.1%
4436
500
500
727.97
.00
.00
-227.97
145.6%*
71,070
71,070
54,963.07
699.68
.00
16,106.93
77.3%
10,000
10,000
11,499.00
7,299.00
285.00
-1,784.00
117.8%*
96 CAPITAL OUTLAY
_________________________________________
10011101 85615
MACHINERY AND EQUIP
2015/09/000002 06/09/2015 API
2015/09/000002 06/09/2015 API
2015/09/000002 06/09/2015 API
799.00 VND 002130 VCH373210
4,700.00 VND 003853 VCH373222
1,800.00 VND 007787 VCH373255
CONTINENTAL FIRE SPR RELOCATE FIRE ALARMS AND SENSO
PARTINGTON CONST
GITV ROOM UPGRADE
TRI-CITY ELECTRIC
GITV UPGRADE - ALL ELECTRICAL
193625
193667
193686
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
3
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011101 ADMINISTRATION
TOTAL CAPITAL OUTLAY
10,000
10,000
11,499.00
7,299.00
285.00
-1,784.00
117.8%
TOTAL ADMINISTRATION
392,633
392,633
334,451.94
34,419.85
285.00
57,896.06
85.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
4
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011102 ECONOMIC DEVELOPMENT
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10011102 85454
ECONOMIC DEVELOPMEN
525,000
525,000
271,588.00
.00
.00
253,412.00
51.7%
TOTAL OPERATING EXPENSES
525,000
525,000
271,588.00
.00
.00
253,412.00
51.7%
TOTAL ECONOMIC DEVELOPMENT
525,000
525,000
271,588.00
.00
.00
253,412.00
51.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
5
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011203 MAYOR
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011203 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
10011203 85115
15,250
11,249.97
1,333.33
1,333.33 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
10011203 85150
15,250
1,167
WARRANT=060415
1,167
860.64
102.00
102.00 REF PRCITY
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
TOTAL PERSONNEL SERVICES
22
.00
1.83 VND 000036 VCH373411
42.51
1.83
CITY FINANCE DEPT
73.8%
RUN=1 CITY BIW
.00
WARRANT=060415
22
4,000.03
306.36
73.7%
RUN=1 CITY BIW
.00
-20.51
JUNE 2015 WORKERS COMP
193.2%*
193553
16,439
16,439
12,153.12
1,437.16
.00
4,285.88
73.9%
309
309
208.00
26.00
.00
101.00
67.3%
91 OPERATING EXPENSES
_________________________________________
10011203 85241
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011203
10011203
10011203
10011203
85245
85290
85330
85405
PRINTING & BINDING
OTHER PROFESSIONAL
REPAIR & MAINT-OFF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011203 85410
TELEPHONE
2015/09/000031 06/05/2015 API
10011203 85428
10011203 85490
10011203 85505
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
26.00 VND 000035 VCH374056
2,800
900
600
300
2,800
900
600
300
25.00 VND 000036 VCH373412
143
143
1.45 VND 010168 VCH373679
2,000
914
448
2,000
914
448
1.53 VND 010168 VCH374660
CITY IT DEPT
524.90
.00
.00
225.00
JUNE 2015 IT SUPPORT
.00
.00
.00
25.00
CITY FINANCE DEPT
11.63
BANK OF AMERICA
965.22
112.39
31.58
BANK OF AMERICA
.00
.00
.00
.00
193554
2,275.10
900.00
600.00
75.00
JUNE 2015 PREMIUMS & LIABILITY
1.45
.00
131.37
CENTURYLINK - Phone Bill
.00
.00
1.53
.00
.00
.00
1,034.78
801.61
416.42
CAPITAL BUSINESS-Copier Chgs
18.7%
.0%
.0%
75.0%
193553
8.1%
4408
48.3%
12.3%
7.0%
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
6
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL OPERATING EXPENSES
TOTAL MAYOR
8,414
8,414
2,078.72
53.98
.00
6,335.28
24.7%
24,853
24,853
14,231.84
1,491.14
.00
10,621.16
57.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
7
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011204 COUNCIL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011204 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
10011204 85115
78,000
54,875.88
6,500.00
6,500.00 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
10011204 85150
78,000
5,508
WARRANT=060415
5,508
4,198.29
497.30
497.30 REF PRCITY
WORKERS COMPENSATIO
100
2015/09/000010 06/09/2015 API
100
75.01
8.33
CITY FINANCE DEPT
23,124.12
70.4%
RUN=1 CITY BIW
.00
WARRANT=060415
8.33 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
.00
1,309.71
76.2%*
RUN=1 CITY BIW
.00
24.99
JUNE 2015 WORKERS COMP
75.0%
193553
83,608
83,608
59,149.18
7,005.63
.00
24,458.82
70.7%
2,965
2,965
2,223.00
247.00
.00
742.00
75.0%
91 OPERATING EXPENSES
_________________________________________
10011204 85241
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011204
10011204
10011204
10011204
85245
85290
85330
85405
PRINTING & BINDING
OTHER PROFESSIONAL
REPAIR & MAINT-OFF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011204 85410
TELEPHONE
2015/09/000031 06/05/2015 API
10011204 85428
TRAVEL & TRAINING
2015/09/000122 06/18/2015 API
247.00 VND 000035 VCH374057
250
500
500
300
250
500
500
300
25.00 VND 000036 VCH373412
251
251
14.53 VND 010168 VCH373679
5,200
5,200
238.00 VND 010168 VCH374597
CITY IT DEPT
14.00
.00
.00
225.00
JUNE 2015 IT SUPPORT
.00
.00
.00
25.00
CITY FINANCE DEPT
116.47
BANK OF AMERICA
5,365.65
BANK OF AMERICA
193554
.00
.00
.00
.00
236.00
500.00
500.00
75.00
JUNE 2015 PREMIUMS & LIABILITY
14.53
.00
134.53
CENTURYLINK - Phone Bill
238.00
600.00
-765.65
MARRIOTT-J Jones hotel charges
5.6%
.0%
.0%
75.0%
193553
46.4%
4408
114.7%*
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
8
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011204 85490
10011204 85505
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
2,249
776
2,249
776
15.28 VND 010168 VCH374660
213.97
314.72
.00
15.28
BANK OF AMERICA
.00
.00
2,035.03
461.28
CAPITAL BUSINESS-Copier Chgs
9.5%
40.6%
4436
TOTAL OPERATING EXPENSES
12,991
12,991
8,472.81
539.81
600.00
3,918.19
69.8%
TOTAL COUNCIL
96,599
96,599
67,621.99
7,545.44
600.00
28,377.01
70.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
9
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011301 CITY CLERK
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011301 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011301 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011301 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011301 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011301 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011301 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011301 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10011301 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
79,097
79,097
57,543.74
6,083.42
3,041.71 REF PRCITY
3,041.71 REF PRCITY
6,051
WARRANT=060415
WARRANT=061815
6,051
4,258.15
449.58
224.79 REF PRCITY
224.79 REF PRCITY
7,520
5,776.56
641.84
320.92 REF PRCITY
320.92 REF PRCITY
58.50
6.50
6.50 REF PRCITY
142
142
98.19
10.96
5.48 REF PRCITY
5.48 REF PRCITY
4,746
3,452.58
365.00
182.50 REF PRCITY
182.50 REF PRCITY
107
107
8.92 VND 000036 VCH373411
43
43
3.58 VND 008197 VCH373251
80.24
CITY FINANCE DEPT
32.22
TASC
8.92
1,743.44
19.50
75.0%
RUN=1 CITY BIW
43.81
69.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,293.42
72.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
26.76
JUNE 2015 WORKERS COMP
3.58
76.8%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
4,746
1,792.85
.00
WARRANT=060415
72.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
78
21,553.26
.00
WARRANT=060415
WARRANT=061815
7,520
78
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
10.78
74.9%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
10
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011301 85161
VEBA
780
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
780
570.00
60.00
30.00 REF PRCITY
30.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
210.00
73.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
98,564
98,564
71,870.18
7,629.80
.00
26,693.82
72.9%
22,900
2,053
22,900
2,053
2,947.97
1,748.95
.00
171.00
.00
.00
19,952.03
304.05
12.9%
85.2%*
91 OPERATING EXPENSES
_________________________________________
10011301 85212
10011301 85241
ELECTION COSTS
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
10011301 85245
10011301 85405
PRINTING & BINDING
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011301 85410
LEGAL NOTICES
DUES & SUBSCRIPTION
LICENSE & FEES
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
10011301 85428
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
33.33 VND 000036 VCH373412
OTHER EXPENDITURES
OFFICE SUPPLIES
06/05/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
100
1.45 VND 010168 VCH373679
19,525
19,525
1,704.02 VND 000214 VCH374221
240
1,000
240
1,000
34.00 VND 000082 VCH374479
34.00 VND 000082 VCH374479
6.00 VND 000082 VCH374479
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
2015/09/000226 06/04/2015 PRJ
10011301 85490
10011301 85505
150
400
100
2015/09/000074 06/23/2015 API
10011301 85422
10011301 85424
150
400
TELEPHONE
2015/09/000031 06/05/2015 API
10011301 85419
171.00 VND 000035 VCH373446
750
750
856.75 VND 010168 VCH373859
365.20 REF PRCITY
0
1,532
35.00
935.94
1.53
35.00
VND
VND
VND
VND
0
1,532
010168
010168
010168
010168
VCH373646
VCH374659
VCH374660
VCH374670
CITY IT DEPT
JUN 2015 IT SUPPORT
140.00
300.01
.00
33.33
CITY FINANCE DEPT
11.63
12,773.92
240.00
708.00
3,578.75
12.40
3,209.68
BANK
BANK
BANK
BANK
OF
OF
OF
OF
.00
6,751.08
.00
.00
193553
11.6%
65.4%
193840
.00
.00
.00
93.3%*
75.0%
4408
.00
292.00
-2,828.75
HILTON-RaNae hotel-conference
WARRANT=060415 RUN=1 CITY BIW
.00
1,007.47
AMERICA
AMERICA
AMERICA
AMERICA
88.37
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
1,221.95
BANK OF AMERICA
.00
MAY 2015 BILL
.00
74.00
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
10.00
99.99
CENTURYLINK - Phone Bill
1,704.02
GI INDEPENDENT
.00
.00
JUNE 2015 PREMIUMS & LIABILITY
1.45
BANK OF AMERICA
193554
-12.40
-1,677.68
EAKES-Printing on Binders
EAKES-MINUTE BK COVER
CAPITAL BUSINESS-Copier Chgs
EAKES-BINDER PRINTING
100.0%*
70.8%
193819
193819
193819
477.2%*
4408
100.0%*
209.5%*
4408
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
11
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011301 CITY CLERK
TOTAL OPERATING EXPENSES
TOTAL CITY CLERK
48,650
48,650
25,671.31
4,213.22
.00
22,978.69
52.8%
147,214
147,214
97,541.49
11,843.02
.00
49,672.51
66.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
12
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011401 FINANCE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011401 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011401 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011401 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
1,272,542
1,272,542
812,872.39
87,046.55
42,229.22 REF PRCITY
44,817.33 REF PRCITY
41,700
WARRANT=060415
WARRANT=061815
41,700
56,318.08
6,957.15
2,891.87 REF PRCITY
4,065.28 REF PRCITY
100,540
100,540
62,076.73
6,737.80
357,519
201,422.05
23,364.19
11,704.16 REF PRCITY
-215.79 REF PRCITY
11,875.82 REF PRCITY
2,130
2,130
1,304.43
156.32
156.32 REF PRCITY
2,369
2,369
143.20
73.28 REF PRCITY
69.92 REF PRCITY
78,538
78,538
5,640.26
2,707.29 REF PRCITY
2,932.97 REF PRCITY
32,784
32,784
2,732.00 VND 000036 VCH373411
2,732.00
CITY FINANCE DEPT
135.1%*
61.7%
56.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
RUN=1 CITY BIW
825.57
61.2%
RUN=1 CITY BIW
1,081.16
54.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
24,588.00
156,096.95
.00
WARRANT=060415
WARRANT=061815
52,151.52
38,463.27
.00
WARRANT=060415
1,287.84
-14,618.08
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=060415
WARRANT=061815
63.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
459,669.61
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
3,220.69 REF PRCITY
3,517.11 REF PRCITY
357,519
.00
26,386.48
66.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
8,196.00
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
13
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011401 85160
OTHER EMPLOYEE BENE
1,042
2015/09/000002 06/09/2015 API
2015/09/000226 06/04/2015 PRJ
10011401 85161
990.92
53.70 VND 008197 VCH373251
45.00 REF PRCITY
VEBA
5,460
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,042
5,460
98.70
TASC
51.08
JULY 2015 CAFETERIA FEES
WARRANT=060415 RUN=1 CITY BIW
22,300.10
3,365.52
431.04 REF PRCITY
2,934.48 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
-16,840.10
95.1%*
193682
408.4%*
RUN=1 CITY BIW
RUN=1 CITY BIW
1,894,624
1,894,624
1,235,312.06
136,241.69
.00
659,311.94
30,000
30,000
25,620.00
790.00
.00
4,380.00
65.2%
91 OPERATING EXPENSES
_________________________________________
10011401 85201
AUDITING & ACCOUNTI
2015/09/000033 06/09/2015 API
10011401 85213
2015/09/000002
2015/09/000033
2015/09/000033
2015/09/000074
10011401 85241
CONTRACT SERVICES
06/09/2015
06/09/2015
06/09/2015
06/23/2015
API
API
API
API
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011401 85245
10011401 85290
10011401 85330
PRINTING & BINDING
OTHER PROFESSIONAL
REPAIR & MAINT - OF
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10011401 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011401 85410
TELEPHONE
2015/09/000031 06/05/2015 API
790.00 VND 006817 VCH374028
25,575
265.58
1,904.35
1,040.84
1,223.81
VND
VND
VND
VND
249,450
25,575
008611
007012
007012
007012
70,349.52
VCH373242
VCH374074
VCH374075
VCH374215
249,450
4,550
0
2,500
359.90 VND 010168 VCH374744
117.00 VND 010168 VCH374959
5,000
5,000
416.67 VND 000036 VCH373412
1,000
ROCHESTER
ESSENTIAL
ESSENTIAL
ESSENTIAL
1,000
36.65 VND 010168 VCH373679
2014 NDEQ FINANCIAL ASSURANCE
4,434.58
ARMORED CA
PERSONNEL
PERSONNEL
PERSONNEL
187,083.00
20,787.00 VND 000035 VCH374052
4,550
0
2,500
ALMQUIST MALTZAHN G
3,150.60
.00
4,891.11
.00
.00
476.90
BANK OF AMERICA
62,367.00
2,258.11
1,200.00
.00
416.67
.00
-858.71
-1,200.00
-2,391.11
1,250.01
JUNE 2015 PREMIUMS & LIABILITY
36.65
193544
317.4%*
193595
193567
193567
193740
75.0%
193554
Computer Concepts-Toner Cartri
BUSINESS WORLD-Rapair folding
CITY FINANCE DEPT
294.02
.00
JUNE 2015 IT SUPPORT
BANK OF AMERICA
BANK OF AMERICA
3,749.99
-55,605.52
ARMORED CAR SERV
Temporary Finance employees
Temporary Finance employees
Temporary Finance employees
20,787.00
CITY IT DEPT
10,831.00
85.4%*
.00
CENTURYLINK - Phone Bill
705.98
118.9%*
100.0%*
195.6%*
4436
4436
75.0%
193553
29.4%
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
14
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011401 85419
10011401 85422
10011401 85428
LEGAL NOTICES
DUES & SUBSCRIPTION
TRAVEL & TRAINING
2015/09/000122 06/18/2015 API
10011401 85490
3,000
1,500
9,500
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
OTHER EXPENDITURES
4,200
10011401 85540
API
API
API
API
API
4,200
5,000
52.32
38.58
59.99
119.46
6.85
MISC OPERATING EQUI
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
VND
5,000
004313
010168
010168
010168
010168
.00
.00
1,500.00
BANK OF AMERICA
914.05
52.73 VND 008720 VCH374420
14.00 REF PRCITY
OFFICE SUPPLIES
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
1,422.14
670.00
7,306.43
1,500.00 VND 010168 VCH374705
2015/09/000131 06/15/2015 API
2015/09/000226 06/04/2015 PRJ
10011401 85505
3,000
1,500
9,500
1,577.86
830.00
1,854.57
MAINSAVER-Professional service
66.73
.00
3,285.95
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARE USER FEES
WARRANT=060415 RUN=1 CITY BIW
5,839.00
VCH374266
VCH374660
VCH374723
VCH374752
VCH374796
.00
.00
339.00
SHRED N
BANK OF
BANK OF
BANK OF
BANK OF
277.20
STORE
AMERICA
AMERICA
AMERICA
AMERICA
.00
-839.00
Shredding
CAPITAL BUSINESS-Copier Chgs
EAKES OFFICE-A/P Calculator
"EAKES-Desk organizers,stapler
EAKES OFFICE PLUS-Calendar
47.4%
44.7%
80.5%*
4436
21.8%
4426
116.8%*
193902
4436
4436
4436
4436
500
500
2,334.88
.00
675.00
-2,509.88
602.0%*
341,775
341,775
313,624.74
28,785.73
15,303.11
12,847.15
96.2%
0
0
523.98
.00
.00
-523.98
100.0%*
0
0
523.98
.00
.00
-523.98
100.0%
2,236,399
2,236,399
1,549,460.78
165,027.42
15,303.11
671,635.11
70.0%
96 CAPITAL OUTLAY
_________________________________________
10011401 85620
OFFICE FURNITURE &
TOTAL CAPITAL OUTLAY
TOTAL FINANCE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
15
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011501 LEGAL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011501 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011501 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011501 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011501 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011501 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011501 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011501 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10011501 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
229,043
229,043
166,908.94
17,816.79
8,908.39 REF PRCITY
8,908.40 REF PRCITY
17,522
WARRANT=060415
WARRANT=061815
17,522
11,837.99
1,280.13
640.06 REF PRCITY
640.07 REF PRCITY
28,021
30,844.23
3,467.74
1,733.87 REF PRCITY
1,733.87 REF PRCITY
190.24
21.72
21.72 REF PRCITY
413
413
284.72
32.06
16.03 REF PRCITY
16.03 REF PRCITY
13,742
10,014.62
1,069.02
534.51 REF PRCITY
534.51 REF PRCITY
363
363
30.25 VND 000036 VCH373411
104
104
7.16 VND 008197 VCH373251
272.25
30.25
CITY FINANCE DEPT
87.44
TASC
-2,823.23
70.76
72.9%
RUN=1 CITY BIW
128.28
68.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
3,727.38
72.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
90.75
JUNE 2015 WORKERS COMP
7.16
110.1%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
67.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
13,742
5,684.01
.00
WARRANT=060415
72.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
261
62,134.06
.00
WARRANT=060415
WARRANT=061815
28,021
261
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
16.56
84.1%*
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
16
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011501 85161
VEBA
2,340
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2,340
1,688.30
180.00
90.00 REF PRCITY
90.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
651.70
72.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
291,809
291,809
222,128.73
23,904.87
.00
69,680.27
3,500
3,960
3,500
3,960
.00
3,060.00
.00
340.00
.00
.00
3,500.00
900.00
76.1%
91 OPERATING EXPENSES
_________________________________________
10011501 85213
10011501 85241
CONTRACT SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011501 85245
10011501 85330
10011501 85405
PRINTING & BINDING
REPAIR & MAINT - OF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011501 85408
10011501 85410
STOP CLASS EXPENSE
TELEPHONE
2015/09/000031 06/05/2015 API
10011501 85422
10011501 85425
10011501 85428
DUES & SUBSCRIPTION
BOOKS
TRAVEL & TRAINING
2015/09/000122 06/18/2015 API
10011501 85460
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000084
10011501 85490
COURT COST
06/23/2015
06/23/2015
06/23/2015
06/10/2015
340.00 VND 000035 VCH374061
300
1,700
1,000
83.33 VND 000036 VCH373412
4,500
600
OTHER EXPENDITURES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
4,500
600
4.36 VND 010168 VCH373679
2,200
1,000
7,750
2,200
1,000
7,750
1.50 VND 010168 VCH374731
8,390
API
API
API
CRP
300
1,700
1,000
11.09
266.00
13.26
-6.00
VND
VND
VND
REF
1,250
8,390
CITY IT DEPT
JUNE 2015 IT SUPPORT
.00
.00
750.01
.00
.00
83.33
CITY FINANCE DEPT
336.00
34.96
.00
.00
1.50
BANK OF AMERICA
23.00 VND 010168 VCH373669
593.00 VND 010168 VCH375026
1,099.60
BANK OF AMERICA
BANK OF AMERICA
.00
.00
4,164.00
565.04
.00
.00
95.00
284.35
.00
146.00
1.00
4,340.79
3,711.08
MAY 2015 BILL
COURT COST
SHERIFF FEES
6-8-15 DEP
616.00
.00
.0%
.0%
75.0%
193553
7.5%
5.8%
4408
CIVIC CENTER PARKING-Parking f
000214 VCH374221
GI INDEPENDENT
000508 VCH374223
HALL CO COURT
000520 VCH374224
HALL CO SHERIFFS
176805
LEGAL DEPT
1,250
300.00
1,700.00
249.99
CENTURYLINK - Phone Bill
2,054.00
999.00
3,314.21
4,678.92
193554
JUNE 2015 PREMIUMS & LIABILITY
.00
4.36
BANK OF AMERICA
.00
.00
.00
.0%
77.3%*
93.4%*
99.9%*
44.0%
4436
55.8%
193840
193747
193844
150.40
Secretary of State-GI Faciliti
AMERICAN BAR A-ANNUAL DUES BOB
88.0%*
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
17
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011501 85505
OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
TOTAL OPERATING EXPENSES
TOTAL LEGAL
1,500
1,500
414.44
22.97 VND 010168 VCH373752
4.58 VND 010168 VCH374660
27.55
BANK OF AMERICA
BANK OF AMERICA
.00
1,085.56
AMAZON-10 pcs. 8GB USB 2.0 Fla
CAPITAL BUSINESS-Copier Chgs
27.6%
4408
4436
37,650
37,650
16,741.14
1,357.09
95.00
20,813.86
44.7%
329,459
329,459
238,869.87
25,261.96
95.00
90,494.13
72.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
18
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011701 CITY HALL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011701 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011701 85110
10011701 85115
SALARIES - OVERTIME
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011701 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011701 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011701 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011701 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011701 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10011701 85160
10011701 85161
OTHER EMPLOYEE BENE
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
77,775
77,775
55,131.37
6,062.82
3,031.41 REF PRCITY
3,031.41 REF PRCITY
200
5,965
WARRANT=060415
WARRANT=061815
200
5,965
.00
4,100.45
.00
450.36
224.38 REF PRCITY
225.98 REF PRCITY
15,040
11,292.66
1,254.74
627.37 REF PRCITY
627.37 REF PRCITY
123.66
13.74
13.74 REF PRCITY
140
140
94.06
10.92
5.46 REF PRCITY
5.46 REF PRCITY
4,678
4,678
3,307.91
363.76
181.88 REF PRCITY
181.88 REF PRCITY
1,473
1,473
122.75 VND 000036 VCH373411
44
780
30.00 REF PRCITY
30.00 REF PRCITY
44
780
1,104.75
122.75
CITY FINANCE DEPT
.00
569.43
3,747.34
50.34
45.94
67.2%
1,370.09
70.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
.00
WARRANT=060415
WARRANT=061815
71.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
368.25
JUNE 2015 WORKERS COMP
.00
60.00
75.1%*
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
.0%
68.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
200.00
1,864.55
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
70.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
174
22,643.63
.00
.00
WARRANT=060415
WARRANT=061815
15,040
174
.00
75.0%
193553
44.00
210.57
RUN=1 CITY BIW
RUN=1 CITY BIW
.0%
73.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
19
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL PERSONNEL SERVICES
106,269
106,269
75,724.29
8,339.09
.00
30,544.71
71.3%
77,000
77,000
51,021.27
6,763.69
.00
25,978.73
66.3%
91 OPERATING EXPENSES
_________________________________________
10011701 85305
UTILITY SERVICES
2015/09/000002 06/09/2015 API
2015/09/000109 06/23/2015 API
10011701 85317
NATURAL GAS
13,000
2015/09/000075 06/11/2015 API
10011701 85319
10011701 85324
REPAIR & MAIN-LD IM
REPAIR & MAINT - BU
2015/09/000118 06/17/2015 CRP
10011701 85325
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10011701 85330
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
REPAIR & MAINT - OF
2015/09/000010 06/09/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10011701 85335
10011701 85350
REPAIR & MAINT - VE
SANITATION SERVICE
2015/09/000074 06/23/2015 API
10011701 85405
469.00 VND 000092 VCH373208
6,294.69 VND 000091 VCH374519
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
13,000
9,734.95
110.94 VND 000336 VCH374284
20,000
50,000
20,000
50,000
2,000.00
3,200.00
19,360.55
5.99
76.98
70.00
370.00
VND
VND
VND
VND
VND
VND
VND
500
VCH373812
VCH373882
VCH374605
VCH374698
VCH375011
VCH375049
VCH375102
500
40.00 VND 010217 VCH373439
40.00 VND 010168 VCH374894
45.00 VND 010168 VCH374981
2,000
1,000
2,000
1,000
36.80 VND 000301 VCH374236
5,500
NORTHWESTERN
5,500
458.33 VND 000036 VCH373412
59,431.17
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
.00
-19.69
3,265.05
1,363.34
118.20
25,083.52
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
74.9%
193701
14,460.83
-1,690.98
200.00
27.7%
103.4%*
-54,631.17 1192.6%*
HON INTERNAT'AL-Water Treateme
HON INTERNAT'AL-Repair condens
HON INTERNAT'AL-replace compre
ACE HDWE - CHAIN OIL
ACE-WEADEATER REPAIR
INTERSTATE ALL BAT-BATTERIES
ISLAND GLASS-DOOR CLOSURE
125.00
REMPE CABINETRY
BANK OF AMERICA
BANK OF AMERICA
.00
375.00
CABINET DOOR REPAIR
MAYHEW SIGNS-NAMEPLATE ACCOUNT
MAYHEW SIGNS-NAME PLATE-FINANC
.00
36.80
.00
.00
-28.11
668.80
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
4,125.01
193556
193817
REFUND DUP PYMT
125.00
2,028.11
331.20
.00
NATURAL GAS BILL
SHERWIN WILLIAMS
5,000
010168
010168
010168
010168
010168
010168
010168
110.94
4,175.83
51,572.78
-19.69 REF 177097
5,000
CITY UTIL ELEC/WAT/S WATER METER
CITY ELECT 100-101S INTERDEPARTMENTAL UTILITY BILL
458.33
CITY FINANCE DEPT
.00
4408
4408
4436
4436
4436
4436
4436
25.0%
193676
4436
4436
101.4%*
33.1%
193767
1,374.99
JUNE 2015 PREMIUMS & LIABILITY
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
20
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011701 85410
TELEPHONE
100
2015/09/000031 06/05/2015 API
10011701 85428
10011701 85490
10011701 85505
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
150
200
300
10011701 85540
10011701 85590
API
API
API
API
150
200
300
8,000
7.99
9.99
222.32
826.30
MISC OPERATING EQUI
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
8,000
010168
010168
010168
010168
2.91
BANK OF AMERICA
.00
42.79
213.36
3.06 VND 010168 VCH374660
CLEANING SUPPLIES
06/05/2015
06/18/2015
06/18/2015
06/18/2015
23.28
2.91 VND 010168 VCH373679
2015/09/000122 06/18/2015 API
10011701 85510
100
6,367.45
VCH373661
VCH374689
VCH374735
VCH375107
BANK
BANK
BANK
BANK
OF
OF
OF
OF
.00
.00
.00
.00
23.3%
4408
150.00
157.21
86.64
CAPITAL BUSINESS-Copier Chgs
1,066.60
AMERICA
AMERICA
AMERICA
AMERICA
76.72
CENTURYLINK - Phone Bill
.00
.00
3.06
BANK OF AMERICA
.00
1,632.55
ACE HDWE - shoe covers
MENARDS- GLOVES
EGAN SUPPLY-CLARIO CLEANER
SUPPLYWORKS-CLEANING SUPPLIES
.0%
21.4%
71.1%
4436
79.6%*
4408
4436
4436
4436
2,000
3,084
2,000
3,084
372.04
2,635.16
.00
.00
.00
.00
1,627.96
448.84
18.6%
85.4%*
187,834
187,834
192,199.40
33,631.16
1,681.54
-6,046.94
25,000
12,000
20,000
25,000
12,000
20,000
.00
.00
.00
.00
.00
.00
10,745.63
10,255.00
.00
14,254.37
1,745.00
20,000.00
43.0%
85.5%*
.0%
57,000
57,000
.00
.00
21,000.63
35,999.37
36.8%
351,103
351,103
267,923.69
41,970.25
22,682.17
60,497.14
82.8%
103.2%
96 CAPITAL OUTLAY
_________________________________________
10011701 85612
10011701 85615
10011701 85625
BUILDING IMPROVEMEN
MACHINERY AND EQUIP
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL CITY HALL
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
21
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011801 HUMAN RESOURCES
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10011801 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10011801 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10011801 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
292,470
292,470
161,144.91
17,024.00
8,721.30 REF PRCITY
8,302.70 REF PRCITY
0
WARRANT=060415
WARRANT=061815
0
7,713.20
1,712.44
525.15 REF PRCITY
1,187.29 REF PRCITY
22,374
22,374
11,952.05
1,365.76
61,544
31,086.45
4,311.46
2,155.73 REF PRCITY
2,155.73 REF PRCITY
348
348
177.29
14.48
14.48 REF PRCITY
526
224.18
18.28
9.52 REF PRCITY
8.76 REF PRCITY
17,548
10,131.49
1,124.21
554.80 REF PRCITY
569.41 REF PRCITY
401
33.42 VND 000036 VCH373411
300.74
33.42
CITY FINANCE DEPT
100.0%*
53.4%
50.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
170.71
50.9%
RUN=1 CITY BIW
301.82
42.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
401
30,457.55
.00
WARRANT=060415
WARRANT=061815
17,548
10,421.95
.00
WARRANT=060415
526
-7,713.20
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
55.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
131,325.09
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
672.74 REF PRCITY
693.02 REF PRCITY
61,544
.00
7,416.51
57.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
100.26
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
22
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011801 85160
OTHER EMPLOYEE BENE
250
2015/09/000002 06/09/2015 API
10011801 85161
250
246.53
14.32 VND 008197 VCH373251
VEBA
3,120
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
3,120
14.32
TASC
3.47
JULY 2015 CAFETERIA FEES
9,778.64
120.00
60.00 REF PRCITY
60.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
98.6%*
193682
-6,658.64
313.4%*
RUN=1 CITY BIW
RUN=1 CITY BIW
398,581
398,581
232,755.48
25,738.37
.00
165,825.52
58.4%
17,000
28,600
17,000
28,600
.00
4,863.38
.00
1,565.58
.00
500.00
17,000.00
23,236.62
.0%
18.8%
91 OPERATING EXPENSES
_________________________________________
10011801 85207
10011801 85213
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000109
2015/09/000109
2015/09/000122
10011801 85241
CONSULTING SERVICES
CONTRACT SERVICES
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
API
API
API
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10011801 85290
10011801 85405
2015/09/000064
2015/09/000109
2015/09/000122
2015/09/000122
500
900
500
900
75.00 VND 000036 VCH373412
781
5.81 VND 010168 VCH373679
15,000
APM
API
API
API
VCH373720
VCH374113
VCH374164
VCH374228
VCH374515
VCH374562
VCH375085
16,954
781
ADVERTISING
06/09/2015
06/23/2015
06/18/2015
06/18/2015
010168
001603
000134
003758
000134
000366
010168
346.00 VND 000035 VCH374065
TELEPHONE
2015/09/000031 06/05/2015 API
10011801 85416
VND
VND
VND
VND
VND
VND
VND
16,954
OTHER PROFESSIONAL
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10011801 85410
27.95
500.00
297.50
48.25
212.50
301.50
177.88
1,402.20
1,043.00
149.58
199.00
VND
VND
VND
VND
15,000
000214
000214
010168
010168
VCH374078
VCH374535
VCH374665
VCH374748
BANK OF AMERICA
NEBRASKA PERSONNEL C
CENTRAL NE REHABILIT
HIRERIGHT SOLUTIONS
CENTRAL NE REHABILIT
SAINT FRANCIS MEDICA
BANK OF AMERICA
15,486.30
346.00
CITY IT DEPT
.00
1,467.70
JUNE 2015 IT SUPPORT
.00
675.00
.00
75.00
CITY FINANCE DEPT
286.60
GI INDEPENDENT
GI INDEPENDENT
BANK OF AMERICA
BANK OF AMERICA
.00
.00
500.00
225.00
.00
494.40
CENTURYLINK - Phone Bill
2,793.78
.00
4408
193658
193724
193752
193724
193781
4436
91.3%*
193554
JUNE 2015 PREMIUMS & LIABILITY
5.81
BANK OF AMERICA
15,163.05
EQF TALX -Empl Verf
WAGE STUDY
PRE-EMPLO & RTW PHYSICALS
DRUG TESTS
PRE-EMPLOYMENT & RETURN TO WOR
PRE-EMPLOYMENT&POST ACCIDENT D
ESSENTIAL-Background Searches
-163.05
ADS
0
ADS
FACEBOOK-advertising
LINKEDIN-Finance Director Ad
.0%
75.0%
193553
36.7%
4408
101.1%*
193840
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
23
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10011801 85419
LEGAL NOTICES
350
2015/09/000074 06/23/2015 API
10011801 85422
10011801 85428
10011801 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
10011801 85540
1,700
4,575
API
API
API
API
3,128
32.45
25.99
116.99
6.11
MISC OPERATING EQUI
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
VND
VND
VND
VND
4,575
2,000
BANK OF AMERICA
VCH373730
VCH373813
VCH373868
VCH374660
2,000
BANK
BANK
BANK
BANK
OF
OF
OF
OF
1,750.59
.00
73.8%
193840
1,128.00
3,380.21
33.6%
4436
26.1%
193639
0
.00
400.78
QUILL-office supplies
Office supplies - QUILL
Whiteboard - QUILL
CAPITAL BUSINESS-Copier Chgs
208.71
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
ADS
ADS
181.54
AMERICA
AMERICA
AMERICA
AMERICA
91.53
SHRM MEMBER-DUES JUNE 2015-201
.00
GI INDEPENDENT
GI INDEPENDENT
.00
MAY 2015 BILL
190.00
2,727.22
235.07 VND 010168 VCH373515
-235.07 VND 010168 VCH373516
208.71 VND 010168 VCH373765
TOTAL OPERATING EXPENSES
GI INDEPENDENT
1,194.79
3,128
010168
010168
010168
010168
13.54
572.00
1,402.20 VND 000214 VCH374078
-1,402.20 VND 000214 VCH374078
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/18/2015
1,700
190.00 VND 010168 VCH374850
TRAVEL & TRAINING
2015/09/000033 06/09/2015 API
2015/09/000064 06/09/2015 APM
258.47
13.54 VND 000214 VCH374221
DUES & SUBSCRIPTION
2015/09/000122 06/18/2015 API
350
.00
249.41
OFFICENET - Fax machine
OFFICENET INC - Credit
Fax Machine - OFFICENET INC.
87.2%*
4408
4408
4408
4436
87.5%*
4408
4408
4408
91,488
91,488
42,977.40
5,379.96
500.00
48,010.60
47.5%
50,000
50,000
39,187.02
2,050.00
.00
10,812.98
78.4%*
96 CAPITAL OUTLAY
_________________________________________
10011801 85620
OFFICE FURNITURE &
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
TOTAL CAPITAL OUTLAY
TOTAL HUMAN RESOURCES
1,600.00 VND 010168 VCH373698
450.00 VND 010168 VCH374775
BANK OF AMERICA
BANK OF AMERICA
Hosting & consulting fees-EPIC
EPICOR SOFTWARE-Consulting
4408
4436
50,000
50,000
39,187.02
2,050.00
.00
10,812.98
78.4%
540,069
540,069
314,919.90
33,168.33
500.00
224,649.10
58.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
24
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022001 BUILDING INSPECTION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10022001 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
589,605
589,605
416,154.88
43,996.26
21,998.13 REF PRCITY
21,998.13 REF PRCITY
45,102
WARRANT=060415
WARRANT=061815
45,102
29,948.73
3,158.81
1,577.96 REF PRCITY
1,580.85 REF PRCITY
145,599
112,612.19
12,512.48
6,256.24 REF PRCITY
6,256.24 REF PRCITY
792
592.92
65.88
65.88 REF PRCITY
1,046
1,046
709.51
79.16
39.58 REF PRCITY
39.58 REF PRCITY
34,884
24,969.47
2,639.81
1,319.90 REF PRCITY
1,319.91 REF PRCITY
16,448
1,370.67 VND 000036 VCH373411
400
400
14.32 VND 008197 VCH373251
12,335.99
1,370.67
CITY FINANCE DEPT
183.56
TASC
199.08
77.3%*
74.9%
RUN=1 CITY BIW
336.49
67.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
9,914.53
71.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
4,112.01
JUNE 2015 WORKERS COMP
14.32
66.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
16,448
32,986.81
.00
WARRANT=060415
WARRANT=061815
34,884
15,153.27
.00
WARRANT=060415
70.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
173,450.12
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
145,599
792
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
216.44
45.9%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
25
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022001 85161
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
3,900
3,900
2,878.50
303.00
151.50 REF PRCITY
151.50 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
1,021.50
73.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
837,776
837,776
600,385.75
64,140.39
.00
237,390.25
40,000
22,253
40,000
22,253
.00
18,004.00
.00
1,359.00
.00
.00
40,000.00
4,249.00
71.7%
91 OPERATING EXPENSES
_________________________________________
10022001 85213
10022001 85241
CONTRACT SERVICES
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
10022001 85245
10022001 85330
10022001 85335
PRINTING & BINDING
REPAIR & MAINT - OF
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
10022001 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10022001 85410
TELEPHONE
2015/09/000031 06/05/2015 API
10022001 85422
DUES & SUBSCRIPTION
2015/09/000031 06/05/2015 API
10022001 85428
10022001 85490
TRAVEL & TRAINING
OTHER EXPENDITURES
2015/09/000131 06/15/2015 API
2015/09/000131 06/15/2015 API
10022001 85505
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
1,359.00 VND 000035 VCH373408
1,000
1,000
12,000
1,000
1,000
12,000
525.13 VND 000083 VCH374210
4,400
4,400
366.67 VND 000036 VCH373412
200
200
13.58 VND 010168 VCH373679
3,000
3,000
60.00 VND 010168 VCH373821
2,000
3,500
2,000
3,500
.68 VND 008720 VCH374420
176.65 VND 008720 VCH374424
6,000
6,000
14.29 VND 010168 VCH374660
CITY IT DEPT
392.63
349.95
5,771.59
JUNE 2015 IT SUPPORT
.00
.00
525.13
CITY FLEET SERVICES
3,299.99
108.89
BANK OF AMERICA
485.00
BANK OF AMERICA
516.76
2,188.82
193554
607.37
650.05
6,228.41
REPAIR SHOP MAY 2015
366.67
CITY FINANCE DEPT
.00
.00
.00
.00
1,100.01
.00
91.11
CENTURYLINK - Phone Bill
60.00
125.00
2,390.00
IAEI - DOWNS RENEWAL
.00
177.33
.00
.00
BANK OF AMERICA
14.29
33.21
75.0%
193553
54.4%
4408
20.3%
4408
1,483.24
1,311.18
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARE USER FEES
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEES
1,495.63
39.3%
35.0%
48.1%
193727
JUNE 2015 PREMIUMS & LIABILITY
13.58
.0%
80.9%*
4,471.16
CAPITAL BUSINESS-Copier Chgs
25.8%
62.5%
4426
4427
25.5%
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
26
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022001 85540
10022001 85590
MISC OPERATING EQUI
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
1,500
0
1,500
0
.00
47.51
.00
.00
.00
.00
1,500.00
-47.51
.0%
100.0%*
96,853
96,853
32,660.77
2,516.00
158.21
64,034.02
21,000
21,000
.00
.00
17,429.00
3,571.00
83.0%*
21,000
21,000
.00
.00
17,429.00
3,571.00
83.0%
955,629
955,629
633,046.52
66,656.39
17,587.21
304,995.27
68.1%
33.9%
96 CAPITAL OUTLAY
_________________________________________
10022001 85625
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL BUILDING INSPECTION
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
27
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 FIRE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022101 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022101 85130
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000226
TUITION REIMBURSEME
CLOTHING ALLOWANCE
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/04/2015
API
API
API
API
API
API
API
API
API
PRJ
2,588,857
1,836,497.05
199,507.90
104,123.32 REF PRCITY
95,384.58 REF PRCITY
82,174
39,033
82,174
114,235.77
11,538.54
39,033
28,519.02
3,199.55
629,867
417,722.07
47,628.06
23,864.45 REF PRCITY
23,763.61 REF PRCITY
3,400
3,400
2,452.03
278.06
278.06 REF PRCITY
717
717
316.63
35.38
17.69 REF PRCITY
17.69 REF PRCITY
0
19,517
39.99
150.50
112.33
50.56
397.78
71.23
44.89
84.66
225.00
51.44
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
0
19,517
010168
010168
010168
010168
010168
010168
010168
010168
010168
PRCITY
VCH373478
VCH373614
VCH373699
VCH373725
VCH373744
VCH373928
VCH373988
VCH375042
VCH375155
361.04
15,290.71
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
.00
1,279.82
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
10,513.98
73.1%
212,144.93
66.3%
947.97
72.1%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
139.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
-32,061.77
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
752,359.95
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,629.52 REF PRCITY
1,570.03 REF PRCITY
629,867
.00
WARRANT=060415
WARRANT=061815
4,891.18 REF PRCITY
6,647.36 REF PRCITY
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85135
10022101 85140
2,588,857
400.37
44.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
-361.04
4,226.29
Galls Intern - pants
"MES FIRE-HELMET LT,CABLE CUTT
"ASPEN MILLS - PANTS - GREENOU
Galls - SHORTS LAUB
"Galls - BOOTS,SOCK,BELT,PANTS
"ALAMAR UNIF - SHIRTS MOUL,CYB
ALAMAR UNIFORM - SHIRT THOMAS
"UNION SHOP-Job shirt Moul,Gre
AURORA SCREEN-Shirts inv 1598
WARRANT=060415 RUN=1 CITY BIW
100.0%*
78.3%*
4408
4408
4408
4408
4408
4408
4408
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
28
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 FIRE
10022101 85140 CLOTHING ALLOWANCE
2015/09/000230 06/18/2015 PRJ
10022101 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85147
10022101 85161
312,838
185,267
4,603.53
572.30
312,838
218,426.48
23,265.03
138,950.24
7,940
7,940
CITY FINANCE DEPT
4,776.36
114.56 VND 008197 VCH373251
115.00 VND 010168 VCH373905
23,669
15,438.92
23,669
21,982.90
435.52 REF PRCITY
434.37 REF PRCITY
TOTAL PERSONNEL SERVICES
94,411.52
.00
46,316.76
.00
75.0%
193553
3,163.64
.00
WARRANT=060415
WARRANT=061815
69.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
JULY 2015 CAFETERIA FEES
TWIN RIVERS URG-SHOTS FOR 7 EM
869.89
164.8%*
RUN=1 CITY BIW
RUN=1 CITY BIW
JUNE 2015 WORKERS COMP
229.56
TASC
BANK OF AMERICA
-1,810.53
.00
WARRANT=060415
WARRANT=061815
185,267
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
15,438.92 VND 000036 VCH373411
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2,793
11,489.85 REF PRCITY
11,775.18 REF PRCITY
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
WARRANT=061815
286.15 REF PRCITY
286.15 REF PRCITY
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10022101 85160
2,793
FIRE PENSION
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022101 85150
51.44 REF PRCITY
1,686.10
60.2%
193682
4408
92.9%*
RUN=1 CITY BIW
RUN=1 CITY BIW
3,896,072
3,896,072
2,804,133.83
303,843.01
.00
1,091,938.17
0
11,500
38,563
0
11,500
38,563
11,500.00
.00
25,858.72
.00
.00
2,318.00
.00
.00
.00
-11,500.00
11,500.00
12,704.28
72.0%
91 OPERATING EXPENSES
_________________________________________
10022101 85205
10022101 85207
10022101 85241
MEDICAL DIRECTOR CO
EQUIP SERVICE CONTR
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10022101 85245
PRINTING & BINDING
2015/09/000122 06/18/2015 API
2,318.00 VND 000035 VCH374064
500
500
55.00 VND 010168 VCH374970
CITY IT DEPT
110.00
BANK OF AMERICA
JUNE 2015 IT SUPPORT
55.00
.00
100.0%*
.0%
67.1%
193554
390.00
COPYCAT-BusinessCards-Thomas-3
22.0%
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
29
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 85291
10022101 85305
PUBLIC EDUCATION MA
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10022101 85317
2015/09/000024
2015/09/000075
2015/09/000075
2015/09/000168
10022101 85324
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000086
2015/09/000086
2015/09/000100
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022101 85325
2015/09/000031
2015/09/000086
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022101 85330
NATURAL GAS
06/04/2015
06/11/2015
06/11/2015
06/25/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - MA
06/05/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
REPAIR & MAINT - OF
2015/09/000033 06/09/2015 API
10022101 85335
2015/09/000031
2015/09/000074
2015/09/000122
2015/09/000122
REPAIR & MAINT - VE
06/05/2015
06/23/2015
06/18/2015
06/18/2015
API
API
API
API
1,500
35,000
2,618.58 VND 000091 VCH374519
16,875
REPAIR & MAINT - BU
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
1,500
35,000
261.98
47.40
38.45
50.38
VND
VND
VND
VND
20,500
11.97
-117.96
117.96
30.00
30.00
43.88
30.00
9.98
6.18
5.92
38.71
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
13,000
24.20
625.00
65.35
31.96
-9.01
31.49
232.90
VND
VND
VND
VND
VND
VND
VND
2,250
16,875
000336
000336
000336
000336
VCH373457
VCH374287
VCH374288
VCH375423
20,500
010168
010168
010168
009605
009605
000246
009605
010168
010168
010168
010168
VCH373936
VCH373938
VCH373953
VCH374360
VCH374361
VCH
VCH374494
VCH374732
VCH374867
VCH374869
VCH374904
13,000
010168
009414
010168
010168
010168
010168
010168
VCH373755
VCH374340
VCH374631
VCH374707
VCH374711
VCH374808
VCH375121
2,250
127.45 VND 000998 VCH374118
60,600
6.99
2,642.95
929.45
9.48
VND
VND
VND
VND
60,600
010168
000083
010168
010168
VCH373894
VCH374204
VCH374814
VCH374854
1,092.65
23,588.87
.00
2,618.58
CITY ELECT 100-101S
10,944.49
398.21
NATURAL
NATURAL
NATURAL
NATURAL
206.64
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
MDM PEST & TERMITE
MDM PEST & TERMITE
HERMAN PLUMBING CO
MDM PEST & TERMITE
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
5,191.37
C
C
I
C
30,842.45
BANK
CITY
BANK
BANK
GAS
GAS
GAS
GAS
5,930.51
BILL-STATION
BILL-STATION
BILL-STATION
BILL-STATION
2,984.82
1
3
4
2
9,638.47
.00
7,808.63
INTERSTATE ALL BATTERY-SCBA BA
ANNUAL CALIBRATION OF POSI
SAMS CLUB - BATTERIES
SAMSCLUB - ST1 - 9V BATTERY
SAMS-CREDIT TAX ON INV 6085
INT ALL BATTERY-St 4 camera ba
NOVA HEALTH-Maint exercise equ
127.45
OFFICENET
.00
MENARDS - ST 3 - 9V BATT
MENARDS - RET LT FIXTURE
MENARDS - ST 3 LT FIXTURE
PEST CONTROL AT STATION 4
PEST CONTROL AT STATION 1
BACKFLOW TEST-STATION 2
JUNE PEST CONTROL-STATION 3
ACE HDWE - ST 2 LT BULBS
MENARDS - lights
CRESCENT ELECTR-St 3 truck roo
MENARDS - round up
1,001.89
BANK OF AMERICA
HONEYWELL ANALYTICS
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
571.59
407.35
11,411.13
INTERDEPARTMENTAL UTILITY BILL
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
7,876.71
.00
.00
253.40
1,425.01
SERVICE COPIERS AT STATIONS
3,588.87
OF AMERICA
FLEET SERVICES
OF AMERICA
OF AMERICA
.00
29,757.55
ACE-E3 SILICONE LUBRICANT
REPAIR SHOP MAY 2015
"PLATTE VALLEY-Install lts,sir
ACE HDWE - rain-x
72.8%
67.4%
193817
64.9%
193540
193701
193701
193924
53.0%
4408
4408
4408
193864
193864
193864
4436
4436
4436
4436
39.9%
4408
193753
4436
4436
4436
4436
4436
36.7%
193589
50.9%
4408
193727
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
30
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 85350
SANITATION SERVICE
2015/09/000074 06/23/2015 API
10022101 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10022101 85410
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000122
2015/09/000123
2015/09/000123
2015/09/000123
2015/09/000123
10022101 85413
TELEPHONE
06/09/2015
06/09/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
POSTAGE
85416
85422
85425
85428
ADVERTISING
DUES & SUBSCRIPTION
BOOKS
TRAVEL & TRAINING
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000226 06/04/2015 PRJ
10022101 85490
10022101 85505
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10022101 85510
CLEANING SUPPLIES
2015/09/000031 06/05/2015 API
10022101 85515
GASOLINE
2015/09/000074 06/23/2015 API
2015/09/000122 06/18/2015 API
975
55.80 VND 000301 VCH374233
21,450
21,450
1,787.50 VND 000036 VCH373412
9,800
2015/09/000031 06/05/2015 API
10022101
10022101
10022101
10022101
975
351.06
4.60
76.63
37.50
44.34
44.34
28.56
44.34
VND
VND
VND
VND
VND
VND
VND
VND
2,100
9,800
000387
000387
010168
010168
000107
000107
000107
000107
VCH373249
VCH373250
VCH373679
VCH374740
VCH375161
VCH375162
VCH375164
VCH375165
2,100
165.97 VND 010168 VCH373696
406
2,675
3,000
29,400
406
2,675
3,000
29,400
4.23 VND 010168 VCH374883
277.76 VND 010168 VCH374907
13.80 REF PRCITY
0
2,000
0
2,000
80.59 VND 010168 VCH374660
14.99 VND 010168 VCH374690
33.99 VND 010168 VCH374884
3,500
3,500
31.18 VND 010168 VCH374005
10,000
10,000
699.44 VND 000083 VCH374204
53.80 VND 010168 VCH374897
510.22
55.80
.00
464.78
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
16,087.50
1,787.50
CITY FINANCE DEPT
5,435.28
1,375.12
.00
999.50
2,739.50
12,791.69
.00
.00
.00
295.79
.00
129.57
.00
724.88
.00
.00
.00
9,360.00
406.00
1,675.50
260.50
7,248.31
.00
.00
-3,382.06
595.76
CAPITAL BUSINESS-Copier Chgs
"OFFICEMAX - POSTIT, PUSH PINS
OFFICEMAX- haz4 printer ink
31.18
BANK OF AMERICA
6,446.72
3,984.72
SHERATON - bottled water
SHERATON HOTELS - room FC conf
WARRANT=060415 RUN=1 CITY BIW
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
1,507.00
380.00
UPS-SHIP POSI FOR CALIBRATION
BANK OF AMERICA
BANK OF AMERICA
3,382.06
1,404.24
5,362.50
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
REAL TIME TRANSLAT-MAY MIN USE
PHONE BILL - STATION 1
PHONE BILL - STATION 2
PHONE BILL-STATION 3
PHONE BILL - STATION 4
165.97
BANK OF AMERICA
193767
JUNE 2015 PREMIUMS & LIABILITY
631.37
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
CENTURYLINK
CENTURYLINK
CENTURYLINK
CENTURYLINK
.00
.00
1,993.00
SAMSCLUB - TOWELS
753.24
CITY FLEET SERVICES
BANK OF AMERICA
.00
52.3%
75.0%
193553
59.3%
193679
193679
4408
4436
193708
193708
193708
193708
65.5%
4408
.0%
37.4%
91.3%*
75.3%*
4436
4436
100.0%*
70.2%
4436
4436
4436
43.1%
4408
3,553.28
REPAIR SHOP MAY 2015
FREEDOM 32 - fuel - FC conf 6
64.5%
193727
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
31
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 85520
DIESEL FUEL
30,000
2015/09/000074 06/23/2015 API
10022101 85535
10022101 85540
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022101 85546
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
4,000
23,064
854.59
310.40
11.98
44.99
15.98
39.96
69.99
66.14
49.98
107.05
22.18
44.91
5.94
11.49
27.02
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
3,000
23,064
000262
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
3,000
PROTECTIVE CLOTHING
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
14,211.68
.00
.00
2,863.50
11,716.18
JACKS UNIFORMS AND E BADGES & COLLAR PINS
BANK OF AMERICA
NAPA - OIL DRY - 644793
BANK OF AMERICA
"ACE-THERMOMETER, BLADE"
BANK OF AMERICA
SAVAJAKEINC-WATER CAN HARNESS
BANK OF AMERICA
"ACE-TAPE DISP, KNIFE BLADES"
BANK OF AMERICA
"ACE-SCBA MAZE, HOSE REP, EXT
BANK OF AMERICA
SAMSCLUB - ST 2 MICROWAVE
BANK OF AMERICA
"CONSTR RENT-BLADE,CUTOFF WHEE
BANK OF AMERICA
MENARDS - lights
BANK OF AMERICA
MATHESON- safety glasses
BANK OF AMERICA
MENARDS - round up
BANK OF AMERICA
MENARDS - geardrive - 71812
BANK OF AMERICA
MENARDS - propane St 4 torch
BANK OF AMERICA
ACE HDWE - poly film
BANK OF AMERICA
MENARDS - bug spray
236.61
BANK OF AMERICA
.00
52.6%
193727
DANKO EMER EQUIP-CLASS A FOAM
1,682.60
1,767.80
236.61 VND 010168 VCH373856
.00
REPAIR SHOP MAY 2015
1,840.00
BANK OF AMERICA
11,347.82
VCH373223
VCH373795
VCH373947
VCH373956
VCH373957
VCH373976
VCH374738
VCH374759
VCH374867
VCH374871
VCH374904
VCH374911
VCH374944
VCH375029
VCH375113
1,312.42
CITY FLEET SERVICES
1,136.50
1,840.00 VND 010168 VCH373913
HOSE
2015/09/000031 06/05/2015 API
10022101 85548
10022101 85590
4,000
MISC OPERATING EQUI
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
15,788.32
1,312.42 VND 000083 VCH374204
CHEMICAL SUPPLIES
2015/09/000031 06/05/2015 API
30,000
1,232.20
DANKO - STORZ FITTING -66916
28.4%
4408
49.2%
193576
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
58.9%
4408
37,075
1,875
37,075
1,875
36,010.05
.00
.00
.00
.00
.00
1,064.95
1,875.00
97.1%*
.0%
384,608
384,608
236,306.17
19,236.69
12,978.22
135,323.61
64.8%
179,000
179,000
24,989.98
24,989.98
.00
154,010.02
14.0%
96 CAPITAL OUTLAY
_________________________________________
10022101 85615
MACHINERY AND EQUIP
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
24,053.38 VND 010168 VCH373937
936.60 VND 010168 VCH374848
BANK OF AMERICA
BANK OF AMERICA
"PHYSIO CONTROL-LP15, DATA PLA
"PHYSIO CONTROL-Carry bag, ver
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
32
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022101 85625
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL FIRE
30,000
30,000
29,984.95
.00
.00
15.05
99.9%*
209,000
209,000
54,974.93
24,989.98
.00
154,025.07
26.3%
4,489,680
4,489,680
3,095,414.93
348,069.68
12,978.22
1,381,286.85
69.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
33
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022102 AMBULANCE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022102 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022102 85130
2015/09/000028
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000101
2015/09/000122
2015/09/000122
2015/09/000226
2015/09/000230
CLOTHING ALLOWANCE
06/04/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/16/2015
06/18/2015
06/18/2015
06/04/2015
06/18/2015
CRP
API
API
API
API
CRP
API
API
PRJ
PRJ
1,921,931
1,356,608.58
143,266.24
74,296.65 REF PRCITY
68,969.59 REF PRCITY
67,826
30,119
67,826
77,781.22
7,698.12
30,119
19,473.44
2,082.92
488,708
333,436.51
36,419.18
18,159.17 REF PRCITY
18,260.01 REF PRCITY
2,605
2,605
1,854.06
204.06
204.06 REF PRCITY
348
348
224.57
25.44
12.72 REF PRCITY
12.72 REF PRCITY
15,805
-70.97
150.50
112.32
397.78
71.23
-41.66
84.65
225.00
29.24
29.24
REF
VND
VND
VND
VND
REF
VND
VND
REF
REF
15,805
176675
010168
010168
010168
010168
177054
010168
010168
PRCITY
PRCITY
14,778.88
FIRE DEPT
VCH373614
BANK
VCH373699
BANK
VCH373744
BANK
VCH373928
BANK
FIRE DEPT
VCH375042
BANK
VCH375155
BANK
OF
OF
OF
OF
987.33
AMERICA
AMERICA
AMERICA
AMERICA
OF AMERICA
OF AMERICA
10,645.56
64.7%
155,271.49
68.2%
750.94
71.2%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
114.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
-9,955.22
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
565,322.42
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,076.58 REF PRCITY
1,006.34 REF PRCITY
488,708
.00
WARRANT=060415
WARRANT=061815
3,649.43 REF PRCITY
4,048.69 REF PRCITY
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85140
1,921,931
123.43
64.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
1,026.12
6-3-15 DEP
"MES FIRE-HELMET LT,CABLE CUTT
"ASPEN MILLS - PANTS - GREENOU
"Galls - BOOTS,SOCK,BELT,PANTS
"ALAMAR UNIF - SHIRTS MOUL,CYB
6-16-15 DEP
"UNION SHOP-Job shirt Moul,Gre
AURORA SCREEN-Shirts inv 1598
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
93.5%*
4408
4408
4408
4408
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
34
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022102 85145
PENSION CONTRIBUTIO
1,504
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022102 85147
10022102 85150
10022102 85160
137,980
6,060
236,541
166,643.26
17,368.36
137,980
103,485.01
6,060
11,498.33
CITY FINANCE DEPT
2,812.40
18,152
17,001.60
34,494.99
.00
.00
WARRANT=060415
WARRANT=061815
70.5%
75.0%
193553
3,247.60
TWIN RIVERS URG-SHOTS FOR 7 EM
309.48 REF PRCITY
310.63 REF PRCITY
TOTAL PERSONNEL SERVICES
69,897.74
JUNE 2015 WORKERS COMP
620.11
51.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
115.00
BANK OF AMERICA
728.55
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
115.00 VND 010168 VCH373905
18,152
.00
WARRANT=060415
WARRANT=061815
11,498.33 VND 000036 VCH373411
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
81.86
8,495.45 REF PRCITY
8,872.91 REF PRCITY
OTHER EMPLOYEE BENE
2015/09/000031 06/05/2015 API
10022102 85161
236,541
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
775.45
40.93 REF PRCITY
40.93 REF PRCITY
FIRE PENSION
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,504
1,150.40
46.4%
4408
93.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
2,927,579
2,927,579
2,094,874.98
220,366.95
.00
832,704.02
11,500
13,342
37,896
11,500
13,342
37,896
11,500.00
.00
20,974.16
.00
.00
1,373.00
.00
.00
.00
.00
13,342.00
16,921.84
71.6%
91 OPERATING EXPENSES
_________________________________________
10022102 85205
10022102 85207
10022102 85241
MEDICAL DIRECTOR CO
CONSULTING SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10022102 85245
10022102 85290
10022102 85305
PRINTING & BINDING
OTHER PROFESSIONAL
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10022102 85317
2015/09/000024
2015/09/000075
2015/09/000075
2015/09/000168
NATURAL GAS
06/04/2015
06/11/2015
06/11/2015
06/25/2015
1,373.00 VND 000035 VCH374063
500
0
10,250
872.84 VND 000091 VCH374519
5,625
API
API
API
API
500
0
10,250
87.32
15.80
12.81
16.79
VND
VND
VND
VND
5,625
000336
000336
000336
000336
VCH373457
VCH374287
VCH374288
VCH375423
CITY IT DEPT
257.70
409.41
7,862.82
JUNE 2015 IT SUPPORT
.00
.00
872.84
CITY ELECT 100-101S
3,647.98
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
.00
.00
.00
193554
242.30
-409.41
2,387.18
INTERDEPARTMENTAL UTILITY BILL
132.72
NATURAL
NATURAL
NATURAL
NATURAL
.00
GAS
GAS
GAS
GAS
100.0%*
.0%
55.3%
1,977.02
BILL-STATION
BILL-STATION
BILL-STATION
BILL-STATION
1
3
4
2
51.5%
100.0%*
76.7%*
193817
64.9%
193540
193701
193701
193924
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
35
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022102 85324
2015/09/000086
2015/09/000086
2015/09/000100
2015/09/000100
10022102 85325
REPAIR & MAINT - BU
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
REPAIR & MAINT - MA
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10022102 85330
REPAIR & MAINT - VE
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
10022102 85350
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10022102 85410
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000122
2015/09/000123
2015/09/000123
2015/09/000123
2015/09/000123
10022102 85413
TELEPHONE
06/09/2015
06/09/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
VND
VND
VND
VND
13,000
POSTAGE
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
009605
009605
000246
009605
VCH374360
VCH374361
VCH
VCH374494
13,000
750
750
42.48 VND 000998 VCH374118
20,416
20,416
3.98 VND 010168 VCH373826
29.97 VND 010168 VCH373886
2,034.52 VND 000083 VCH374205
325
325
18.60 VND 000301 VCH374233
7,150
7,150
595.83 VND 000036 VCH373412
2,775
API
API
API
API
API
API
API
API
5,500
56.34 VND 010168 VCH374631
189.00 VND 010168 VCH374708
104.97 VND 010168 VCH375083
SANITATION SERVICE
2015/09/000074 06/23/2015 API
10022102 85405
10.00
10.00
14.62
10.00
REPAIR & MAINT - OF
2015/09/000033 06/09/2015 API
10022102 85335
5,500
117.02
1.53
25.06
37.50
14.78
14.78
9.52
14.78
VND
VND
VND
VND
VND
VND
VND
VND
750
2,775
000387
000387
010168
010168
000107
000107
000107
000107
VCH373249
VCH373250
VCH373679
VCH374740
VCH375161
VCH375162
VCH375164
VCH375165
750
36.73 VND 010168 VCH373965
12.51 VND 010168 VCH375118
3,247.91
44.62
MDM PEST & TERMITE
MDM PEST & TERMITE
HERMAN PLUMBING CO
MDM PEST & TERMITE
7,743.30
C
C
I
C
140.53
.00
5,256.70
SAMS CLUB - BATTERIES
ISLAND SUPPLY-DEM MAY 2015 - 1
AMAZON-4g jetpack batteries
42.48
OFFICENET
22,045.10
1,257.51
PEST CONTROL AT STATION 4
PEST CONTROL AT STATION 1
BACKFLOW TEST-STATION 2
JUNE PEST CONTROL-STATION 3
350.31
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
994.58
84.47
525.00
SERVICE COPIERS AT STATIONS
2,068.47
BANK OF AMERICA
BANK OF AMERICA
CITY FLEET SERVICES
172.75
.00
-1,629.10
ACE HDWE - A1 KEYS
ACE HDWE - A1 LT BULBS
REPAIR SHOP MAY 2015
18.60
.00
595.83
CITY FINANCE DEPT
2,040.52
152.25
421.83
BANK OF AMERICA
BANK OF AMERICA
.00
1,787.49
734.48
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
REAL TIME TRANSLAT-MAY MIN USE
PHONE BILL - STATION 1
PHONE BILL - STATION 2
PHONE BILL-STATION 3
PHONE BILL - STATION 4
49.24
.00
193864
59.6%
4436
4436
4436
30.0%
193589
108.0%*
53.2%
193767
JUNE 2015 PREMIUMS & LIABILITY
234.97
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
CENTURYLINK
CENTURYLINK
CENTURYLINK
CENTURYLINK
.00
193864
193864
4408
4408
193727
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
5,362.51
77.1%*
328.17
UPS STORE-SHPG FOR MED DISPOSA
THE UPS STORE - ship meds
75.0%
193553
73.5%
193679
193679
4408
4436
193708
193708
193708
193708
56.2%
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
36
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022102 85416
10022102 85422
ADVERTISING
DUES & SUBSCRIPTION
2015/09/000023 06/04/2015 API
2015/09/000230 06/18/2015 PRJ
10022102 85425
BOOKS
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000226 06/04/2015 PRJ
10022102 85490
10022102 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
10022102 85510
OTHER EXPENDITURES
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
API
API
API
API
API
CLEANING SUPPLIES
2015/09/000031 06/05/2015 API
10022102 85515
GASOLINE
10022102 85520
DIESEL FUEL
10022102 85540
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
MISC OPERATING EQUI
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
12,600
API
API
API
API
API
12,600
75.06 VND 010168 VCH373709
295.00 VND 010168 VCH374960
13.80 REF PRCITY
0
1,645
9.98
3.00
.02
26.36
219.94
VND
VND
VND
VND
VND
1,500
0
1,645
010168
010168
010168
010168
010168
VCH373666
VCH373964
VCH373975
VCH374660
VCH374875
1,500
31.18 VND 010168 VCH374005
2,850
165.47 VND 000083 VCH374205
19,050
2015/09/000074 06/23/2015 API
3,000
233.79 VND 010168 VCH374641
2,850
2015/09/000074 06/23/2015 API
135
700
86.25 VND 001692 VCH373455
25.00 REF PRCITY
3,000
2015/09/000122 06/18/2015 API
10022102 85428
135
700
19,050
1,016.80 VND 000083 VCH374205
10,000
68.17
69.99
107.05
34.98
58.50
VND
VND
VND
VND
VND
10,000
010168
010168
010168
010168
010168
VCH374691
VCH374738
VCH374871
VCH375078
VCH375140
.00
432.75
.00
111.25
NE STATE PATROL
758.79
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
BANK OF AMERICA
165.47
CITY FLEET SERVICES
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
-1,989.21
598.34
.00
665.80
.00
.00
.00
.0%
61.8%
193541
25.3%
4436
35.5%
4408
4436
100.0%*
63.6%
4408
4408
4408
4436
4436
55.6%
4408
1,417.53
50.3%
193727
8,932.32
REPAIR SHOP MAY 2015
338.69
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
.00
REPAIR SHOP MAY 2015
1,016.80
4,567.72
8,128.36
SAMSCLUB - TOWELS
CITY FLEET SERVICES
10,117.68
.00
SAMSCLUB-ST.2-SHEET PROTECTORS
CAN STOCK PHOTO - SMALL JPEG
INTERNAT'AL TRANS-EXCHANGE FEE
CAPITAL BUSINESS-Copier Chgs
SAMSCLUB - toner hp printer
31.18
1,432.47
2,241.21
THE HOME DEPOT - DRYWALL
AHEPP-Dankert reg Nov conf
WARRANT=060415 RUN=1 CITY BIW
.00
259.30
834.20
.00
JONES&BARTLETT-PHTLS INSTR UPD
383.86
1,989.21
1,046.66
135.00
267.25
FINGERPRINT TESTING FOR 3
WARRANT=061815 RUN=1 CITY BIW
233.79
4,471.64
.00
.00
53.1%
193727
5,432.28
MATHESON - SAFETY GLASSES
SAMSCLUB - ST 2 MICROWAVE
MATHESON- safety glasses
ACE HDWE - 50 qt cooler
LASER WORKS-Helmet tags - 3326
45.7%
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
37
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022102 85590
10022102 85591
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022102 85599
OTHER GENERAL SUPPL
AMBULANCE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
625
83,750
1,299.70
580.45
92.00
114.87
93.90
240.42
26.97
155.44
1,786.64
674.82
77.97
83.99
624.68
274.40
46.43
AMBULANCE REFUNDS
2015/09/000002 06/09/2015 API
2015/09/000010 06/09/2015 API
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
29,000
625
83,750
010168
010168
010168
010168
010168
010168
010168
006917
000366
010168
010168
010168
010168
010168
010168
.00
45,193.00
VCH373596
VCH373721
VCH373784
VCH373839
VCH373861
VCH373877
VCH373980
VCH374269
VCH374563
VCH374638
VCH374853
VCH374861
VCH374880
VCH374921
VCH375134
29,000
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
THOMPSON CO LLC
SAINT FRANCIS MEDICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
1,981.91
46.94 VND 000146 VCH373212
91.12 VND 999999 VCH373436
.00
6,172.68
625.00
38,557.00
IN LIFEGUARD MD-CPAP SUPPLIESBOUND TREE - GLOVES - 81792163
LIFE ASSIST - DEXTROSE -712818
BOUND TREE-BUBBLE BAG-61133164
BOUND TREE - DEXTROSE
"BOUND TREE-DEFIB PAD,LARYN BL
ACE HDWE - PADLOCKS - MED
DISINFECTANT
SUPPLIES-MAY 2015
TELEFLEX MEDICAL-NEEDLE SET
U SAVE PHARMACY - test strips
BOUND TREE-Supplies - 81809853
"BOUND TREE-Gloves,supplies "LIFE ASSIST-Meds, soft stretc
ISLAND SUPPLY - St 2 - 3 oxyge
138.06
CREDIT MANAGEMENT
REFUND CUSTOMERS
.00
.00
.00
27,018.09
FEE DUE ON ACCT
REFUND-CALL #201408030401
.0%
54.0%
4408
4408
4408
4408
4408
4408
4408
193908
193782
4436
4436
4436
4436
4436
4436
6.8%
193627
193673
294,634
294,634
158,652.55
14,634.16
1,079.05
134,902.40
54.2%
16,000
16,000
16,278.56
.00
.00
-278.56
101.7%*
16,000
16,000
16,278.56
.00
.00
-278.56
101.7%
3,238,213
3,238,213
2,269,806.09
235,001.11
1,079.05
967,327.86
70.1%
96 CAPITAL OUTLAY
_________________________________________
10022102 85615
MACHINERY AND EQUIP
TOTAL CAPITAL OUTLAY
TOTAL AMBULANCE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
38
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 POLICE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022301 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022301 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85140
2015/09/000226
2015/09/000230
2015/09/000235
2015/09/000236
10022301 85145
CLOTHING ALLOWANCE
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
5,926,129
5,926,129
4,192,058.53
226,157.65 REF PRCITY
220,794.78 REF PRCITY
308,413
308,413
477,635
271,153.91
1,487,272
323,695.35
8,722
1,012,346.57
10,909
6,395.35
2,150.00
2,150.00
-50.00
-50.00
56,550
6,987.02
50,980
1,338.31 REF PRCITY
1,323.30 REF PRCITY
793.84
39,596.21
4,200.00
87.9%*
153,939.65
67.8%
474,925.43
68.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
2,326.65
73.3%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
REF PRCITY
REF PRCITY
REF
REF
50,980
694.22
37,259.09
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
401.80 REF PRCITY
392.04 REF PRCITY
56,550
109,247.33
70.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
694.22 REF PRCITY
10,909
33,916.48
1,734,070.47
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
53,655.60 REF PRCITY
55,591.73 REF PRCITY
8,722
19,564.45
WARRANT=060415
WARRANT=061815
17,603.61 REF PRCITY
16,312.87 REF PRCITY
1,487,272
.00
WARRANT=060415
WARRANT=061815
15,565.75 REF PRCITY
3,998.70 REF PRCITY
477,635
446,952.43
3,921.98
64.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
16,953.79
70.0%
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
25,537.84
2,661.61
.00
WARRANT=060415
WARRANT=061815
25,442.16
RUN=1 CITY BIW
RUN=1 CITY BIW
50.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
39
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 85146
POLICE PENSION
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85150
10022301 85161
260,928.43
27,322.85
8,666
189,259
141,944.26
8,666
15,771.58
CITY FINANCE DEPT
2,405.80
186.16 VND 008197 VCH373251
11,310
11,310
TOTAL PERSONNEL SERVICES
88,592.57
186.16
TASC
.00
47,314.74
.00
870.00
6,260.20
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
JULY 2015 CAFETERIA FEES
9,883.28
74.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
JUNE 2015 WORKERS COMP
435.00 REF PRCITY
435.00 REF PRCITY
UNEMPLOYEMENT CONTR
.00
WARRANT=060415
WARRANT=061815
15,771.58 VND 000036 VCH373411
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022301 85165
189,259
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
349,521
14,206.91 REF PRCITY
13,115.94 REF PRCITY
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10022301 85160
349,521
1,426.72
27.8%
193682
87.4%*
RUN=1 CITY BIW
RUN=1 CITY BIW
0
0
3,353.00
.00
.00
-3,353.00
100.0%*
8,885,366
8,885,366
6,296,285.55
662,180.95
.00
2,589,080.45
70.9%
119,200
360,000
119,200
360,000
84,035.31
270,000.00
.00
30,000.00
.00
.00
35,164.69
90,000.00
70.5%
75.0%
91 OPERATING EXPENSES
_________________________________________
10022301 85213
10022301 85214
CONTRACT SERVICES
HUMANE SOCIETY CONT
2015/09/000074 06/23/2015 API
10022301 85241
COMPUTER SERVICES
2015/09/000074 06/23/2015 API
10022301 85290
OTHER PROFESSIONAL
2015/09/000031 06/05/2015 API
10022301 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10022301 85317
NATURAL GAS
2015/09/000123 06/18/2015 API
30,000.00 VND 000023 VCH374163
72,588
72,588
5,980.00 VND 000035 VCH374165
50,000
50,000
4,350.00 VND 010168 VCH373496
5,000
5,000
558.13 VND 000091 VCH374519
2,200
2,200
9.18 VND 000336 VCH375170
CENTRAL NE HUMANE SO ANIMAL CONTROL CONTRACT
53,820.00
5,980.00
CITY IT DEPT
31,085.52
4,350.00
NORTHWESTERN
.00
558.13
.00
18,914.48
1,011.18
INTERDEPARTMENTAL UTILITY BILL
9.18
.00
NATURAL GAS BILL
74.1%
193728
ST FRANCIS MEDICAL CTR - Blood
CITY ELECT 100-101S
884.03
18,768.00
JUN 2015 IT SUPPORT
BANK OF AMERICA
3,988.82
.00
193723
1,315.97
62.2%
4408
79.8%*
193817
40.2%
193709
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
40
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 85324
REPAIR & MAINT - BU
2015/09/000010 06/09/2015 API
2015/09/000010 06/09/2015 API
2015/09/000100 06/23/2015 API
10022301 85325
REPAIR & MAINT - MA
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10022301 85330
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022301 85390
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
REPAIR & MAINT - VE
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
TOWING EXPENSES
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
API
API
API
4,000
1,521.34
440.00 VND 000141 VCH373396
.19 VND 000141 VCH373396
25.09 VND 000082 VCH374479
4,000
4,000
0
0
194.95
78.00
29.94
2,975.70
180.00
324.00
225.00
2,348.31
1,185.25
7,158.47
498.88
225.00
127.50
1,445.70
1,875.00
2,483.05
150.00
407.28
228.89
82.00
1,167.90
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
93,150
740.00
185.00
270.00
90.00
195.00
215.00
95.00
215.00
VND
VND
VND
VND
VND
VND
VND
VND
184,700
010168
010168
010168
010168
010168
010168
010168
000694
000694
000083
000262
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373520
VCH373527
VCH373535
VCH373595
VCH373633
VCH373694
VCH373789
VCH374157
VCH374158
VCH374209
VCH374229
VCH374783
VCH374868
VCH374893
VCH374916
VCH375058
VCH375093
VCH375098
VCH375109
VCH375112
VCH375133
VCH373415
VCH373497
VCH373504
VCH373512
VCH373513
VCH373524
VCH373526
VCH373529
10.11
.00
2,304.90
1,706.67
-2,645.96
STAPLES-Printer maintence kit
23,390.82
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
ASSOCIATED DESIGN SE
ASSOCIATED DESIGN SE
CITY FLEET SERVICES
JACKS UNIFORMS AND E
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
DONS
BANK
BANK
BANK
BANK
BANK
BANK
BANK
2,478.66
PLATTE VALLEY - PORTABLE RADIO
PLATTE VALLEY-Radio Maintenanc
BANK OF AMERICA
67,251.50
.00
SPRINKLER SERVICE
SPRINKLER SERVICE
PETTY CASH REIMBURSEMENT
414.40
BANK OF AMERICA
BANK OF AMERICA
112,056.96
93,150
000466
010168
010168
010168
010168
010168
010168
010168
BWJW ENTERPRISE INC
BWJW ENTERPRISE INC
CITY PETTY CASH
939.29
10.11 VND 010168 VCH375089
184,700
465.28
1,695.10
207.20 VND 010168 VCH373595
207.20 VND 010168 VCH375133
REPAIR & MAINT - OF
2015/09/000122 06/18/2015 API
10022301 85335
4,000
32,956.15
39,686.89
SAFELITE AUTOGLASS -Auto glass
WOODYS WELDING - docking stati
SAFELITE AUTOGLASS - auto glas
PLATTE VALLEY - PORTABLE RADIO
MR.G'S CAR CARE CENTER - CAR W
ISLAND TOWING - towing charges
MIKE'S GLASS TINTING - tinting
NEW VEHICLE MARKINGS
NEW UNIT MARKINGS AND REMOVAL
REPAIR SHOP MAY 2015
GUN LOCK SYSTEMS
MIKE'S GLASS TINT-Auto Glass t
PLATTE VAL-Replace broken pane
PLATTE VALLEY-Upfit with light
PLATTE VALLEY-Install lights/l
PLATTE VALLEY-Upfit patrol uni
PLATTE VALLEY-Install gun rack
CHIEF SUPPLY-Cargo barrier pan
SAFELITE AUTO-Windshield repai
MR.G'S CAR CARE-Car washes
PLATTE VALLEY-Radio Maintenanc
9,915.00
260.00
25,638.50
LOCK & KEY SERV MADE KEYS FOR AUCTION
OF AMERICA
LEVANDERS AUTOMOTIVE - towing
OF AMERICA
IN LTA TOWING LLC - Towing ex
OF AMERICA
LONE TREE TOWING - Towing expe
OF AMERICA
Auto Assist Towing - towing ch
OF AMERICA
Tims Towing-towing expenses
OF AMERICA
KRAMERS WRECKER SERVICE-towing
OF AMERICA
Century Towing - towing charge
38.0%
193617
193617
193819
42.4%
4408
4436
100.0%*
4436
78.5%*
4408
4408
4408
4408
4408
4408
4408
193716
193716
193727
193756
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
72.5%
193630
4408
4408
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
41
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 POLICE
10022301 85390 TOWING EXPENSES
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000161 06/24/2015 APM
2015/09/000162 06/24/2015 APM
10022301 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10022301 85410
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000075
2015/09/000100
2015/09/000168
2015/09/000168
TELEPHONE
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/11/2015
06/23/2015
06/25/2015
06/25/2015
380.00
360.00
315.00
75.00
190.00
180.00
625.00
190.00
185.00
190.00
340.00
390.00
335.00
275.00
190.00
95.00
190.00
690.00
310.00
390.00
95.00
95.00
190.00
340.00
190.00
270.00
190.00
95.00
190.00
360.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
55,000
VCH373530
VCH373533
VCH373534
VCH373538
VCH373545
VCH373557
VCH373660
VCH373662
VCH373663
VCH373668
VCH373694
VCH373695
VCH373746
VCH374018
VCH374022
VCH374023
VCH374024
VCH374208
VCH374755
VCH374789
VCH374927
VCH374947
VCH374953
VCH374954
VCH374972
VCH375114
VCH375120
VCH375148
VCH374781
VCH375117
55,000
4,583.33 VND 000036 VCH373412
26,000
API
API
API
API
API
API
API
API
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
000083
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
91.17
45.00
45.00
155.09
763.63
39.88
80.76
578.11
VND
VND
VND
VND
VND
VND
VND
VND
26,000
000387
000016
000016
010168
006945
000082
000107
000107
VCH373250
VCH373393
VCH373394
VCH373679
VCH374293
VCH374479
VCH375411
VCH375414
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
CITY
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
FLEET SERVICES
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
41,250.01
4,583.33
CITY FINANCE DEPT
17,015.01
T&C Towing and Town & Country
J&E AFFORDABLE TOWING -towing
ISLAND TOWING - towing charges
EUSTIS BODY SHOP INC - Towing
LEVANDERS AUTOMOTIVE - TOWING
IN LTA TOWING LLC - LONE TREE
T&C TOWING/TOWN AND COUNTRY-TO
CENTURY TOWING -TOWING CHARGES
TIMS TOWING - TOWING CHARGES
KRAMERS WRECKER SERVICE-TOWING
ISLAND TOWING - towing charges
J&E AFFORDABLE TOWING- TOWING
LEVANDERS AUTOMOTIVE - TOWING
Tims Towing - towing charges
T&C Towing/Town & Country Towi
Century Towing - towing charge
KRAMERS WRECKER SERVICE - towi
REPAIR SHOP MAY 2015
LEVANDERS AUTO-Towing charges
ISLAND TOWING - towing charges
Auto Assist Towing-Towing char
Auto Assist Towing-towing char
Auto Assist Towing-Towing char
LTA TOWING-Towing charges
LTA TOWING-Towing charges
ACE RECOVERY-Towing charges
ACE RECOVERY-Towing charges
ACE RECOVERY-Towing charges
J&E Affordable towing-Towi0
ACE RECOVERY-Towing charg0
13,749.99
JUNE 2015 PREMIUMS & LIABILITY
1,798.64
STATE DIV OF COMM
BUSINESS TELECOMMUNI
BUSINESS TELECOMMUNI
BANK OF AMERICA
VERIZON WIRELESS
CITY PETTY CASH
CENTURYLINK
CENTURYLINK
.00
.00
8,984.99
LONG DISTANCE
LABOR TO RESET PHONE PASSWORD
LABOR TO RESET PHONE'S VOICE M
CENTURYLINK - Phone Bill
CELL PHONE BILL
PETTY CASH REIMBURSEMENT
PHONE BILL
PHONE BILL
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193727
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
75.0%
193553
65.4%
193679
193546
193546
4408
193705
193819
193923
193923
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
42
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301
10022301
10022301
10022301
85412
85416
85419
85422
CITY MATCH
ADVERTISING
LEGAL NOTICES
DUES & SUBSCRIPTION
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10022301 85428
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000162
2015/09/000226
2015/09/000230
10022301 85453
10022301 85463
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
TRAVEL & TRAINING
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/24/2015
06/04/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
APM
PRJ
PRJ
CASH OVER & SHORT
INVESTIGATIVE EXPEN
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
29,700
200
600
2,200
29,700
200
600
2,200
100.00 VND 010168 VCH373528
35.00 VND 010168 VCH374926
42,000
29.05
442.00
29.85
442.00
25.00
50.00
45.72
27.23
50.00
28.50
100.00
200.00
.42
52.04
1,498.00
-.42
-52.04
360.00
-360.00
83.20
414.80
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
REF
0
44,000
105.94
38.94
19.95
15.72
1,510.00
15.87
11.75
17.54
48.12
15.87
362.97
66.74
19.95
131.36
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
42,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
000692
000692
010168
010168
010168
010168
010168
010168
010168
PRCITY
PRCITY
VCH373477
VCH373479
VCH373490
VCH373506
VCH373579
VCH373899
VCH373907
VCH373918
VCH373992
VCH374007
VCH374243
VCH374244
VCH374591
VCH374592
VCH374822
VCH374943
VCH374974
VCH375117
VCH375117
0
44,000
001208
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
000191
VCH373398
VCH373494
VCH373508
VCH373518
VCH373537
VCH373571
VCH373598
VCH373684
VCH373869
VCH373966
VCH373974
VCH374010
VCH374019
VCH374217
4,000.00
.00
275.63
2,347.73
.00
.00
.00
135.00
BANK OF AMERICA
BANK OF AMERICA
30,824.69
.00
.00
.00
.00
25,700.00
200.00
324.37
-147.73
FBI NATIONAL ACADEMY -membersh
NATL CRIME PREVENTION-Membersh
3,465.35
.00
11,175.31
BANK OF AMERICA
KUM & GO #371 - fuel Omaha Kot
BANK OF AMERICA
HOLIDAY INN EXPRESS-HOtel Omah
BANK OF AMERICA
EDDYS- fuel Omaha Kottwitz
BANK OF AMERICA
HOLIDAY INN EXPRESS - hotel Om
BANK OF AMERICA
AMERICAN AIRLINES-BAGGAGE ELL
BANK OF AMERICA
UNITED Airlines - baggage fee
BANK OF AMERICA
PUMP & PANTRY - FUEL HONOR GUA
BANK OF AMERICA
PUMP & PANTRY FUEL HONOR GUARD
BANK OF AMERICA
UNITED Airlines - baggage fee
BANK OF AMERICA
LINCOLN AIRPORT PARKING
NE LAW ENFORCE TRAIN RECERTIFICATION-ON SITE TRAINI
NE LAW ENFORCE TRAIN RECERTIFICATION-ON SITE TRAINI
BANK OF AMERICA
INTERNATIONAL TRANSACTION-FEE
BANK OF AMERICA
CARHIRE-RENTAL-S/B NO CHG
BANK OF AMERICA
BLAUER TACTICAL SYS-Training f
BANK OF AMERICA
CREDIT INTERNAT'L TRAN-Credit
BANK OF AMERICA
CLAIM ADJ/CARHIRE - Credit
BANK OF AMERICA
ACE RECOVERY-Towing charges
BANK OF AMERICA
ACE RECOVERY-Towing charg0
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
-132.00
17,965.94
CHARTER
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
FEDERAL
.00
3,668.59
COMMUNICATIO
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
EXPRESS CORP
.00
8,653.00
132.00
17,381.06
INTERNET SERVICE-CIBER CRIME
SAMSCLUB - DVD and cases evid
MOBILELOCK - security program
USPS -evidence freight
DATA 911 - DVD Burner
USPS -EVIDENCE FREIGHT
USPS EVIDENCE FREIGHT
USPS evidence freight
Amazon.com - DVDR for evidence
USPS evidence freight
MICROFLEX CORPORATION - Eviden
FORENSIC STORE INC. - Sim card
MOBILELOCK - investigative sec
FREIGHT - EVIDENCE
13.5%
.0%
45.9%
106.7%*
4408
4436
73.4%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193870
193870
4436
4436
4436
4436
4436
4436
100.0%
60.5%
193623
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193837
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
43
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 POLICE
10022301 85463 INVESTIGATIVE EXPEN
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10022301 85464
CRIME PREVENTION
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10022301 85490
OTHER EXPENDITURES
2015/09/000010 06/09/2015 API
2015/09/000074 06/23/2015 API
2015/09/000100 06/23/2015 API
10022301 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000161
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/24/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
APM
36.29
504.00
17.24
14.90
158.35
557.09
VND
VND
VND
VND
VND
VND
2,000
010168
010168
010168
010168
010168
010168
VCH374786
VCH374797
VCH374839
VCH374925
VCH375128
VCH375129
2,000
446.40 VND 010168 VCH374011
128.24 VND 010168 VCH374013
-37.59 VND 010168 VCH374830
7,000
7,000
415.00 VND 010317 VCH373397
70.00 VND 010317 VCH374162
235.00 VND 007569 VCH374428
25,096
64.26
724.71
-70.28
751.98
46.92
835.01
145.05
163.11
104.97
34.99
-104.97
104.97
104.97
51.99
20.43
39.79
190.00
157.17
1,169.98
-190.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
25,096
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373510
VCH373511
VCH373560
VCH373576
VCH373588
VCH373593
VCH373786
VCH374660
VCH374718
VCH374719
VCH374720
VCH374722
VCH374727
VCH374757
VCH374767
VCH374772
VCH374781
VCH374782
VCH375147
VCH374781
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
537.05
537.05
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
5,238.42
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
.00
1,462.95
ORIENTAL TRADING CO - Crime Pr
ORIENTAL TRADING CO - Crime Pr
ORIENTAL TRADING-SALES TAX Cre
720.00
C'S LAWN CARE
C'S LAWN CARE
CR LAWN CARE
17,220.68
USPS -Evidence Freight
MEDTECH -evidence supplies
USPS -evidence freight
USPS- Evidence Freight
SAMS CLUB-Evidence Supplies
SIRCHIE FINGERPRINT-Evidence S
4,170.00
-2,408.42
CODE MOWING SERVICE
CODE MOWING SERVICE
CODE MOWING
4,345.05
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
4436
4436
4436
4436
4436
4436
26.9%
4408
4408
4436
134.4%*
193618
193811
193824
7,875.32
STAPLES - TONER
Staples - toner
STAPLES - CREDIT SALES TAX PRE
"RR DONNELLEY - GUN PERMTS, CI
EAKES OFFICE PLUS - MESSAGE BO
COPYCAT PRINTING-CODE NOTICES
"STAPLES - pens, labels and fi
CAPITAL BUSINESS-Copier Chgs
EAKES OFFICE PLUS - file folde
EAKES OFFICE PLUS - file folde
EAKES-Credit for duplicate inv
EAKES OFFICE PLUS - file folde
EAKES-Duplicate invoice
AMAZON MKTPLACE-flash drive
EAKES -Business card paper
Staples - toner for evidence
J&E Affordable towing-Towing c
"Staples-Toner,wrist pad,mouse
STAPLES - toner
J&E Affordable towing-Towi0
68.6%
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
44
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 85515
GASOLINE
201,000
2015/09/000074 06/23/2015 API
10022301 85520
0
MISC OPERATING EQUI
2015/09/000031 06/05/2015 API
2015/09/000100 06/23/2015 API
2015/09/000122 06/18/2015 API
10022301
10022301
10022301
10022301
85545
85546
85550
85590
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
MATERIALS - TESTING
PROTECTIVE VESTS/UN
AMMO AND TRAINING S
OTHER GENERAL SUPPL
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
109,176.22
11,426.31 VND 000083 VCH374209
DIESEL FUEL
2015/09/000074 06/23/2015 API
10022301 85540
201,000
0
52.05 VND 000083 VCH374209
122,000
122,000
70.00 VND 010168 VCH373495
2,385.00 VND 000262 VCH374448
1,399.98 VND 010168 VCH374596
1,200
9,500
22,500
29,800
37.19
1.99
11.89
39.99
164.19
238.05
139.12
25.96
.57
.57
25.96
17.48
33.59
6.49
1.71
51.92
22.08
135.86
46.10
39.98
26.99
8.95
35.55
55.80
154.90
50.07
32.49
34.43
34.00
79.99
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,200
9,500
22,500
29,800
010168
010168
010168
010168
010168
010346
001218
000082
000082
000082
000082
000082
000082
000082
000082
000082
000082
000082
000082
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373507
VCH373509
VCH373519
VCH373544
VCH374026
VCH374268
VCH374407
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374596
VCH374751
VCH374820
VCH374829
VCH374879
VCH374963
VCH375006
VCH375009
VCH375032
VCH375040
VCH375116
11,426.31
CITY FLEET SERVICES
200.06
89,368.24
91,823.78
REPAIR SHOP MAY 2015
52.05
CITY FLEET SERVICES
.00
.00
193727
-200.06
REPAIR SHOP MAY 2015
3,854.98
6,197.67
.00
.00
.00
1,835.45
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
TC MACHINE INC
ANIMAL MEDICAL CLINI
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
6,994.18
18,262.80
8,665.48
100.0%*
193727
26,434.09
BANK OF AMERICA
C & J EMBROIDERY - Shriner emp
JACKS UNIFORMS AND E FIRE ARMS
BANK OF AMERICA
BEST BUY - PD Surface Tablet
.00
.00
798.80
15,712.17
54.3%
1,200.00
2,505.82
3,438.40
5,422.35
DOGTRA COMPANY - K9 collar par
GRAND ISLAND ACE HDWE - batter
THE HOME DEPOT TRT supplies
INTERSTATE ALL BATTERY - BATTE
DISPLAYS2GOCOM - literature ra
K9 PANELS
VET CARE
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
BEST BUY - PD Surface Tablet
OFFICEMAX - computer cable
AMAZON - Surface Screen Cover
THE UPS STORE -freight
AMAZON-Flashlights
Amazon - Police docking statio
Amazon-Bar code scanner
RAY ALLEN MANUF-Dog collar rem
ACE-Spray paint firearms train
HYDRO TECH-Fire exten recharge
BEST BUY - Keyboard
78.3%*
4408
193756
4436
.0%
73.6%
84.7%*
81.8%*
4408
4408
4408
4408
4408
193907
193800
193819
193819
193819
193819
193819
193819
193819
193819
193819
193819
193819
193819
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
45
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022301 POLICE
10022301 85590 OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
130.00 VND 010168 VCH375141
149.10 VND 010168 VCH375142
2.49 VND 010168 VCH375146
TOTAL OPERATING EXPENSES
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
T SHIRT ENGINEER-Unfiorm CSO p
INTERSTATE ALL BAT-Batteries
ACE HDWE - Velcro
4436
4436
4436
1,514,634
1,514,634
979,076.52
111,514.72
87,865.95
447,691.53
70.4%
281,500
281,500
280,581.00
.00
.00
919.00
99.7%*
281,500
281,500
280,581.00
.00
.00
919.00
99.7%
10,681,500
10,681,500
7,555,943.07
773,695.67
87,865.95
3,037,690.98
71.6%
96 CAPITAL OUTLAY
_________________________________________
10022301 85625
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL POLICE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
46
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022302 LAW ENFORCEMENT CENTER
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022302 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022302 85110
10022302 85115
SALARIES - OVERTIME
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022302 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022302 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022302 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022302 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022302 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10022302 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
81,913
81,913
49,786.14
5,546.66
2,733.35 REF PRCITY
2,813.31 REF PRCITY
600
6,312
WARRANT=060415
WARRANT=061815
600
6,312
584.30
3,568.00
.00
393.36
193.09 REF PRCITY
200.27 REF PRCITY
13,681
10,507.86
1,167.54
583.77 REF PRCITY
583.77 REF PRCITY
65.16
7.24
7.24 REF PRCITY
69
69
55.22
6.24
3.12 REF PRCITY
3.12 REF PRCITY
2,837
1,963.12
208.24
104.12 REF PRCITY
104.12 REF PRCITY
3,031
3,031
252.58 VND 000036 VCH373411
85
85
3.58 VND 008197 VCH373251
2,273.26
252.58
CITY FINANCE DEPT
32.22
TASC
3,173.14
21.84
74.9%
RUN=1 CITY BIW
13.78
80.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
873.88
69.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
757.74
JUNE 2015 WORKERS COMP
3.58
76.8%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
97.4%*
56.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
2,837
15.70
2,744.00
.00
WARRANT=060415
60.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
87
32,126.86
.00
.00
WARRANT=060415
WARRANT=061815
13,681
87
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
52.78
37.9%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
47
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022302 85161
HRA-VEBA
390
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
390
285.00
30.00
15.00 REF PRCITY
15.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
105.00
73.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
109,005
109,005
69,120.28
7,615.44
.00
39,884.72
35,000
35,000
32,136.77
3,263.70
28,136.92
-25,273.69
63.4%
91 OPERATING EXPENSES
_________________________________________
10022302 85229
CONTRACT MAINTENANC
2015/09/000010 06/09/2015 API
2015/09/000031 06/05/2015 API
10022302 85305
UTILITY SERVICES
2015/09/000074 06/23/2015 API
2015/09/000109 06/23/2015 API
10022302 85505
OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10022302 85506
10022302 85590
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
PAPER
CUSTODIAL SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
1,055.59 VND 000141 VCH373395
2,208.11 VND 010168 VCH373655
120,000
120,000
86,008.72
67.50 VND 000301 VCH374234
8,191.79 VND 000091 VCH374519
3,000
3,000
79.52
620.00
39.74
166.97
35.43
18.69
-18.69
17.47
29.46
41.99
11.99
20.30
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
3,000
15,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
.00
33,991.28
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
CITY ELECT 100-101S INTERDEPARTMENTAL UTILITY BILL
421.45
BANK OF AMERICA
BANK OF AMERICA
2,693.10
8,466.55
VCH373499
VCH373543
VCH373585
VCH373636
VCH373641
VCH373906
VCH373955
VCH373963
VCH374021
VCH374761
VCH374828
VCH375044
ANNUAL SPRIKLER SERVICE
HERMAN PLUMBING - Service call
8,259.29
5,592.13
285.25 VND 010168 VCH373511
136.20 VND 010168 VCH374772
3,000
15,000
BWJW ENTERPRISE INC
BANK OF AMERICA
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
-2,592.13
Staples - toner
Staples - toner for evidence
.00
1,062.87
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
.00
.00
306.90
6,533.45
SUPPLYWORKS Custodian Supplie
MIKE'S GLASS TINTING - LEC DOO
PUMP & PANTRY -FUEL LEC EQUIPM
STAPLES - CUSTODIAL SUPPLIES
STAPLES -CUSTODIAL SUPPLIES
"ACE HARDWARE-LEC equipment oi
GRAND ISLAND ACE HDWE - Credit
GRAND ISLAND ACE HDWE - Custod
SAMSCLUB -batteries
PUMP&PANTRY-FUEL-LEC equipment
ACE HDWE - week killer
CULLIGAN-Salt deliver
172.2%*
193617
4408
71.7%
193767
193817
186.4%*
4408
4436
89.8%*
56.4%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
TOTAL OPERATING EXPENSES
176,000
176,000
134,897.27
13,007.31
28,136.92
12,965.81
92.6%
TOTAL LAW ENFORCEMENT CENTER
285,005
285,005
204,017.55
20,622.75
28,136.92
52,850.53
81.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
48
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022601 EMERGENCY MANAGEMENT
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022601 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022601 85110
10022601 85115
SALARIES - OVERTIME
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022601 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022601 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022601 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022601 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022601 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10022601 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
219,576
219,576
159,155.86
16,849.01
8,424.50 REF PRCITY
8,424.51 REF PRCITY
700
16,852
WARRANT=060415
WARRANT=061815
700
16,852
223.54
11,243.82
.00
1,197.25
597.27 REF PRCITY
599.98 REF PRCITY
54,683
37,332.67
4,174.76
2,087.38 REF PRCITY
2,087.38 REF PRCITY
192.65
21.72
21.72 REF PRCITY
397
397
271.27
30.32
15.16 REF PRCITY
15.16 REF PRCITY
13,216
9,562.73
1,010.94
505.47 REF PRCITY
505.47 REF PRCITY
306
306
25.50 VND 000036 VCH373411
300
300
7.16 VND 008197 VCH373251
229.50
25.50
CITY FINANCE DEPT
202.44
TASC
17,350.33
68.35
73.8%
RUN=1 CITY BIW
125.73
68.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
3,653.27
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
76.50
JUNE 2015 WORKERS COMP
7.16
68.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
31.9%
66.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
13,216
476.46
5,608.18
.00
WARRANT=060415
72.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
261
60,420.14
.00
.00
WARRANT=060415
WARRANT=061815
54,683
261
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
97.56
67.5%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
49
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022601 85161
VEBA
1,950
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,950
1,413.39
150.00
75.00 REF PRCITY
75.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
536.61
72.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
308,241
308,241
219,827.87
23,466.66
.00
88,413.13
71.3%
15,300
15,300
6,065.64
571.35
500.00
8,734.36
42.9%
91 OPERATING EXPENSES
_________________________________________
10022601 85213
CONTRACT SERVICES
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
2015/09/000100 06/23/2015 API
10022601 85241
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10022601 85290
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000122
10022601 85305
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000100
2015/09/000100
2015/09/000100
COMMUNICATIONS SERV
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/18/2015
API
API
API
API
API
API
UTILITY SERVICES
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
69.99 VND 010168 VCH373465
250.00 VND 000339 VCH374261
251.36 VND 000387 VCH374476
8,001
8,001
665.00 VND 000035 VCH374055
3,600
114.13
100.42
100.42
23.24
22.76
5.50
VND
VND
VND
VND
VND
VND
5,000
14.71
152.60
19.00
19.00
156.37
7.79
18.57
48.34
7.68
16.41
17.79
16.33
16.56
7.22
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
3,600
000387
010168
010168
010168
000387
010168
VCH373249
VCH373475
VCH373606
VCH373679
VCH374127
VCH374609
5,000
000092
010168
010168
010168
010168
000092
000092
000092
000092
000092
000092
000092
000092
000092
VCH373400
VCH373463
VCH373464
VCH373550
VCH373552
VCH374045
VCH374046
VCH374047
VCH374048
VCH374049
VCH374168
VCH374421
VCH374422
VCH374423
BANK OF AMERICA
EAKES-COPIER MAINT AGREEMENT
PLATTE VALLEY COMMUN Radio/Telephone equipment main
STATE DIV OF COMM
HALL CO EMERGENCY - ALERT SYST
5,320.00
665.00
CITY IT DEPT
2,275.83
CITY
BANK
BANK
BANK
BANK
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
2,681.00
JUNE 2015 IT SUPPORT
366.47
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
STATE DIV OF COMM
BANK OF AMERICA
3,343.12
.00
.00
66.5%
193554
1,324.17
CELL PHONE CHARGES
CENTURYLINK - E911/EM ADMIN LI
CENTURYLINK - 911/EM ADMIN PHO
CENTURYLINK - Phone Bill
STATE NETWORK
CENTURYLINK - EMERGENCY LINES
518.37
UTIL ELEC/WAT/S
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
UTIL ELEC/WAT/S
.00
4408
193778
193904
1,656.88
SIREN ELECTRICITY
SOUTHERN POWER DIST-Siren ELEC
SOUTHERN POWER DIST-SIREN ELEC
SOUTHERN POWER DIST-SIREN ELEC
SOUTHERN POWER DIST-SIREN/TOWE
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
SIREN ELECTRICITY
63.2%
193679
4408
4408
4408
193679
4436
66.9%
193556
4408
4408
4408
4408
193556
193556
193556
193556
193556
193729
193729
193729
193729
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
50
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022601 85325
REPAIR & MAINT - MA
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
10022601 85330
10022601 85335
3,550
350.00 VND 010168 VCH373473
685.00 VND 004401 VCH374267
REPAIR & MAINT - OF
REPAIR & MAINT - VE
1,550
4,500
2015/09/000074 06/23/2015 API
10022601 85405
10022601 85413
10022601 85422
10022601 85428
2,200
475
700
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
TRAVEL & TRAINING
2,700
10022601 85539
10022601 85544
API
API
API
API
API
API
API
300
1,000
39.99
79.90
-39.99
93.01
10.99
8.72
24.45
MISC OPERATING EQUI
PLANNING
2015/09/000031 06/05/2015 API
10022601 85590
2,700
9.00 VND 010168 VCH374608
54.86 REF PRCITY
OTHER EXPENDITURES
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
475
700
150.00 VND 010168 VCH373469
2015/09/000122 06/18/2015 API
2015/09/000226 06/04/2015 PRJ
10022601 85490
10022601 85505
2,200
183.33 VND 000036 VCH373412
POSTAGE
DUES & SUBSCRIPTION
2015/09/000031 06/05/2015 API
1,550
4,500
89.72 VND 000083 VCH374206
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
3,550
SUPPLIES
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
VND
VND
VND
5,800
2,750
300
1,000
010168
010168
010168
010168
010168
010168
010168
VCH373481
VCH373482
VCH373487
VCH373491
VCH373493
VCH373597
VCH374660
5,800
2,750
18.96 VND 010168 VCH373597
1,502.96
1,035.00
BANK OF AMERICA
SCHMADER ELECTRIC
.00
1,243.40
CITY FLEET SERVICES
335.25
500.00
2,905.50
218.96
839.56
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
1,038.95
188.82
549.99
.00
.00
139.75
200.00
.00
-205.50
.00
1.21
81.04
159.23
NEWEGG-LJ4100 TONER CARTRIDGE
NEWEGG-EOC FAX TONER CARTRIDGE
NEWEGG-Credit-LJ4100 TONER - E
NEWEGG-EOC FAX DRUM CARTRIDGE
NEWEGG-EM HP INK JET 1200 PRIN
SAMS - OFFICE SUPPLIES
CAPITAL BUSINESS-Copier Chgs
.00
18.96
BANK OF AMERICA
.00
EXPRESS MARKET PLACE-PARKING
WARRANT=060415 RUN=1 CITY BIW
.00
217.07
42.6%
4408
193898
.0%
27.6%
193727
NAEM-2015 MEMBERSHIP RENEWAL
63.86
BANK OF AMERICA
1,550.00
3,256.60
JUNE 2015 PREMIUMS & LIABILITY
.00
150.00
BANK OF AMERICA
.00
.00
REPAIR SHOP MAY 2015
183.33
CITY FINANCE DEPT
2,039.03
HEARTLAND ELECTRIC-SIREN REPAI
SIREN REPAIR-STARR SCHOOL
.00
89.72
1,650.01
8.01
.00
.00
4,761.05
2,561.18
SAMS - OFFICE SUPPLIES
75.0%
193553
70.6%
71.4%
4408
107.6%*
4436
73.0%
84.1%*
4408
4408
4408
4408
4408
4408
4436
17.9%
6.9%
4408
100
100
.00
.00
.00
100.00
.0%
57,526
57,526
27,428.00
3,879.13
509.22
29,588.78
48.6%
45,000
45,000
.00
.00
.00
45,000.00
.0%
96 CAPITAL OUTLAY
_________________________________________
10022601 85615
MACHINERY AND EQUIP
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
51
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL CAPITAL OUTLAY
TOTAL EMERGENCY MANAGEMENT
45,000
45,000
.00
.00
.00
45,000.00
.0%
410,767
410,767
247,255.87
27,345.79
509.22
163,001.91
60.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
52
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022604 LOCAL EMERGENCY PLANNING
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10022604 85416
10022604 85448
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10022604 85475
ADVERTISING
CITIZENS CORP EXPS
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
LOCAL EMERGENCY PLA
90
9,970
42.05
425.45
131.99
335.91
96.52
-20.45
VND
VND
VND
VND
VND
VND
90
9,970
010168
010168
010168
010168
010168
010168
VCH374594
VCH374598
VCH374599
VCH374604
VCH374611
VCH374615
62.25
1,011.47
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
.00
1,011.47
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
.00
27.75
8,958.53
LIVE ACTION SAFETY-TEEN CERT S
RED CROSS-TEEN CERT COURSE SUP
PROPAC-TEEN CERT SUPPLIES
PREPARESMART-TEEN CERT SUPPLIE
HOME DEPOT-TEEN CERT SUPPLIES
PROPAC-Credit-TEEN CERT SUPPLI
69.2%
10.1%
4436
4436
4436
4436
4436
4436
5,500
5,500
244.11
.00
.00
5,255.89
4.4%
TOTAL OPERATING EXPENSES
15,560
15,560
1,317.83
1,011.47
.00
14,242.17
8.5%
TOTAL LOCAL EMERGENCY PLANNING
15,560
15,560
1,317.83
1,011.47
.00
14,242.17
8.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
53
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022605 COMMUNICATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10022605 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10022605 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10022605 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
604,970
604,970
436,816.18
45,846.44
23,594.66 REF PRCITY
22,251.78 REF PRCITY
25,000
WARRANT=060415
WARRANT=061815
25,000
17,655.66
1,701.27
1,564.06 REF PRCITY
137.21 REF PRCITY
48,192
48,192
32,045.45
3,366.92
104,692.83
12,780.26
6,332.23 REF PRCITY
6,448.03 REF PRCITY
1,122
1,122
777.75
82.94
82.94 REF PRCITY
1,132
724.37
77.95
40.19 REF PRCITY
37.76 REF PRCITY
37,796
27,268.34
2,852.86
1,509.53 REF PRCITY
1,343.33 REF PRCITY
861
861
71.75 VND 000036 VCH373411
645.75
71.75
CITY FINANCE DEPT
66.5%
55,295.17
65.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
344.25
69.3%
RUN=1 CITY BIW
407.63
64.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
37,796
16,146.55
.00
WARRANT=060415
1,132
7,344.34
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
72.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
159,988
168,153.82
.00
WARRANT=060415
WARRANT=061815
1,785.01 REF PRCITY
1,581.91 REF PRCITY
159,988
.00
10,527.66
72.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
215.25
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
54
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10022605 85160
OTHER EMPLOYEE BENE
784
2015/09/000002 06/09/2015 API
10022605 85161
1,809.83
25.06 VND 008197 VCH373251
VEBA
6,240
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
784
6,240
25.06
TASC
-1,025.83
JULY 2015 CAFETERIA FEES
14,598.44
417.84
207.96 REF PRCITY
209.88 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
230.8%*
193682
-8,358.44
233.9%*
RUN=1 CITY BIW
RUN=1 CITY BIW
886,085
886,085
637,034.60
67,223.29
.00
249,050.40
2,200
100
3,800
1,400
2,200
100
3,800
1,400
2,199.84
360.00
.00
1,049.99
.00
.00
.00
116.67
.00
.00
.00
.00
.16
-260.00
3,800.00
350.01
71.9%
91 OPERATING EXPENSES
_________________________________________
10022605
10022605
10022605
10022605
85213
85245
85325
85405
CONTRACT SERVICES
PRINTING & BINDING
REPAIR & MAINT - MA
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10022605 85410
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
10022605 85490
10022605 85505
116.67 VND 000036 VCH373412
TELEPHONE
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
3,500
API
API
API
API
API
API
API
24.31
94.62
87.47
94.66
24.01
87.47
107.92
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
10022605 85590
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
VND
VND
VND
100
500
3,500
010168
010168
010168
010168
010168
010168
010168
VCH373466
VCH373468
VCH373475
VCH373563
VCH373570
VCH373606
VCH374589
100
500
48.20 VND 010168 VCH373485
55.96 VND 010168 VCH373505
33.80 VND 010168 VCH373597
CITY FINANCE DEPT
2,308.02
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
JUNE 2015 PREMIUMS & LIABILITY
520.46
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
250.74
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
1,191.98
CENTURYLINK -ALARM MONITORING
CENTURYLINK - ALARM MONITORING
CENTURYLINK - E911/EM ADMIN LI
CENTURYLINK - 911 ALARM MONITO
CENTURYLINK - 911 ALARM MONITO
CENTURYLINK - 911/EM ADMIN PHO
CENTURYLINK-911 ALARM MONITORI
.00
137.96
.00
.00
100.00
249.26
NEWEGG- 911 ALARM MONITORING P
EAKES OFFICE PLUS - CO - 911 A
SAMS - OFFICE SUPPLIES
100.0%*
360.0%*
.0%
75.0%
193553
65.9%
4408
4408
4408
4408
4408
4408
4436
.0%
50.1%
4408
4408
4408
200
200
.00
.00
.00
200.00
.0%
11,800
11,800
6,168.59
775.09
.00
5,631.41
52.3%
50,000
50,000
12,668.74
.00
31,723.27
5,607.99
88.8%*
96 CAPITAL OUTLAY
_________________________________________
10022605 85615
MACHINERY AND EQUIP
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
55
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL CAPITAL OUTLAY
TOTAL COMMUNICATION
50,000
50,000
12,668.74
.00
31,723.27
5,607.99
88.8%
947,885
947,885
655,871.93
67,998.38
31,723.27
260,289.80
72.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
56
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033001 ENGINEERING
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10033001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10033001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
775,586
775,586
480,708.51
58,214.25
28,973.68 REF PRCITY
29,240.57 REF PRCITY
7,000
WARRANT=060415
WARRANT=061815
7,000
5,945.87
1,245.66
43.65 REF PRCITY
1,202.01 REF PRCITY
59,614
59,614
35,218.86
4,233.12
76,963.28
7,733.58
3,866.79 REF PRCITY
3,866.79 REF PRCITY
861
861
548.25
57.18
57.18 REF PRCITY
1,407
1,407
84.44
42.32 REF PRCITY
42.12 REF PRCITY
46,068
46,068
3,259.21
1,598.14 REF PRCITY
1,661.07 REF PRCITY
4,711
4,711
392.58 VND 000036 VCH373411
3,533.26
392.58
CITY FINANCE DEPT
59.1%
60,423.72
56.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
312.75
63.7%
RUN=1 CITY BIW
616.57
56.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
84.9%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
28,797.51
24,395.14
.00
WARRANT=060415
790.43
1,054.13
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
62.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
137,387
294,877.49
.00
WARRANT=060415
WARRANT=061815
2,057.80 REF PRCITY
2,175.32 REF PRCITY
137,387
.00
17,270.49
62.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
1,177.74
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
57
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033001 85160
OTHER EMPLOYEE BENE
485
2015/09/000002 06/09/2015 API
10033001 85161
395.22
25.06 VND 008197 VCH373251
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
485
5,460
5,460
25.06
TASC
89.78
JULY 2015 CAFETERIA FEES
3,819.63
390.00
195.00 REF PRCITY
195.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
81.5%*
193682
1,640.37
70.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,038,579
1,038,579
636,720.82
75,635.08
.00
401,858.18
26,000
26,000
16,355.29
1,720.28
10,602.25
-957.54
61.3%
91 OPERATING EXPENSES
_________________________________________
10033001 85213
CONTRACT SERVICES
2015/09/000100 06/23/2015 API
2015/09/000122 06/18/2015 API
10033001 85241
10033001 85325
COMPUTER SERVICES
REPAIR & MAINT - MA
2015/09/000033 06/09/2015 API
10033001 85335
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
10033001 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10033001 85410
TELEPHONE
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10033001 85416
10033001 85419
ADVERTISING
LEGAL NOTICES
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
500.00 VND 000198 VCH374483
1,220.28 VND 010168 VCH374810
104,228
3,500
104,228
3,500
77.53 VND 000650 VCH374144
7,000
7,000
366.65 VND 000083 VCH374207
4.00 VND 000082 VCH374479
15.00 VND 000082 VCH374479
4,500
4,500
375.00 VND 000036 VCH373412
4,500
4,500
487.21 VND 000387 VCH373249
15.62 VND 010168 VCH373679
15.20 VND 010168 VCH374805
700
700
700
700
34.00 VND 000082 VCH374479
22.00 VND 000082 VCH374479
GALVAN CONSTRUCTION
BANK OF AMERICA
18,776.50
2,277.08
.00
77.53
XEROX CORPORATION
7,121.66
3,347.85
502.44
675.22
CITY PETTY CASH
CITY PETTY CASH
.00
.00
.00
-121.66
90.9%*
75.9%*
1,125.00
1,152.15
.00
.00
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
101.7%*
193727
193819
193819
CELL PHONE CHARGES
CENTURYLINK - Phone Bill
ATCONF CALL-WASTEWATER CON CAL
.00
56.00
193838
4436
193603
JUNE 2015 PREMIUMS & LIABILITY
518.03
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
9,451.50
843.16
REPAIR SHOP MAY 2015
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
375.00
CITY FINANCE DEPT
76,000.00
379.76
PW PLOTTER MAINTENANCE
385.65
CITY FLEET SERVICES
CITY PETTY CASH
CITY PETTY CASH
3,375.00
BRICK COLUMN PILLAR REMOVALS
BEEHIVE INDUST-GROUNDWATER MAI
103.7%*
197.56
24.78
75.0%
193553
74.4%
193679
4408
4436
71.8%
96.5%*
193819
193819
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
58
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033001 85422
10033001 85424
10033001 85428
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
500
500
7,500
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
10033001 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
10033001 85540
10033001 85590
API
API
API
API
API
4,504
55.00
-1.42
-5.59
16.42
112.78
MISC OPERATING EQUI
OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
424.25
283.27
3,480.82
3.00 VND 000082 VCH374479
8.00 VND 000082 VCH374479
7.00 VND 000082 VCH374479
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
500
500
7,500
VND
VND
VND
VND
VND
10,000
0
4,504
010168
010168
010168
010168
010168
CITY PETTY CASH
CITY PETTY CASH
CITY PETTY CASH
4,739.07
VCH373903
VCH374017
VCH374020
VCH374660
VCH374784
10,000
0
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
75.75
-983.27
4,019.18
.00
-235.07
COPYCAT-TGOLKA BUSINESS CARDS
DBC BLICK ART MATERIAL - Credi
DBC BLICK ART MATERIAL - Credi
CAPITAL BUSINESS-Copier Chgs
OFFICENET- OFFICE SUPPLIES
.00
252.48
BANK OF AMERICA
BANK OF AMERICA
.00
1,200.00
.00
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
177.19
6,028.41
742.07
201.44 VND 010168 VCH374979
51.04 VND 010168 VCH375066
TOTAL OPERATING EXPENSES
.00
.00
18.00
.00
.00
3,971.59
-742.07
BLACKBURN-SURVEY PAINT
BEN MEADOWS - SOIL PROBE
84.9%*
296.7%*
46.4%
193819
193819
193819
105.2%*
4408
4408
4408
4436
4436
60.3%
100.0%*
4436
4436
174,132
174,132
68,128.93
3,580.16
88,182.01
17,821.06
89.8%
26,665
26,665
24,933.00
.00
.00
1,732.00
93.5%*
26,665
26,665
24,933.00
.00
.00
1,732.00
93.5%
1,239,376
1,239,376
729,782.75
79,215.24
88,182.01
421,411.24
66.0%
96 CAPITAL OUTLAY
_________________________________________
10033001 85625
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL ENGINEERING
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
59
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033501 STREET AND ALLEY - GEN OPER
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10033501 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033501 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033501 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033501 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033501 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10033501 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10033501 85140
CLOTHING ALLOWANCE
2015/09/000122 06/18/2015 API
2015/09/000235 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
10033501 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,169,838
1,169,838
885,139.66
90,845.80
45,543.83 REF PRCITY
45,301.97 REF PRCITY
120,000
120,000
WARRANT=060415
WARRANT=061815
138,002.50
10,117.54
2,947.62 REF PRCITY
7,169.92 REF PRCITY
98,672
98,672
73,672.13
7,252.22
371,859
270,125.03
28,668.66
14,334.33 REF PRCITY
14,334.33 REF PRCITY
2,004
2,004
1,473.75
159.57
159.57 REF PRCITY
2,320
2,320
1,485.48
162.30
81.99 REF PRCITY
80.31 REF PRCITY
2,413
2,413
232.05 VND 010168 VCH375056
-46.96 REF
-46.96 REF
77,388
77,388
2,909.50 REF PRCITY
3,148.32 REF PRCITY
1,214.16
138.13
BANK OF AMERICA
61,408.28
24,999.87
101,733.97
530.25
834.52
.00
.00
WARRANT=060415
WARRANT=061815
72.6%
73.5%
64.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,198.84
PARAMOUNT - UNIFORMS
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
6,057.82
74.7%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
115.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
-18,002.50
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
75.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
284,698.34
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
3,467.38 REF PRCITY
3,784.84 REF PRCITY
371,859
.00
15,979.72
RUN=1 CITY BIW
RUN=1 CITY BIW
50.3%
4436
79.4%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
60
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033501 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10033501 85160
122,634
91,975.50
10,219.50 VND 000036 VCH373411
OTHER EMPLOYEE BENE
6,410
2015/09/000002 06/09/2015 API
10033501 85161
122,634
6,410
2,535
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
CITY FINANCE DEPT
4,997.71
28.64 VND 008197 VCH373251
VEBA
10,219.50
2,535
30,658.50
JUNE 2015 WORKERS COMP
28.64
TASC
.00
14,518.22
135.00
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
1,412.29
JULY 2015 CAFETERIA FEES
67.50 REF PRCITY
67.50 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
-11,983.22
78.0%*
193682
572.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
1,976,073
1,976,073
1,544,012.42
153,785.18
.00
432,060.58
78.1%
12,591
12,591
6,096.65
1,025.95
.00
6,494.35
48.4%
91 OPERATING EXPENSES
_________________________________________
10033501 85241
COMPUTER SERVICES
2015/09/000086 06/23/2015 API
2015/09/000122 06/18/2015 API
10033501 85305
2015/09/000010
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
10033501 85317
2015/09/000075
2015/09/000123
2015/09/000123
2015/09/000123
2015/09/000123
10033501 85324
UTILITY SERVICES
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
NATURAL GAS
06/11/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
526.00 VND 000035 VCH374315
499.95 VND 010168 VCH374980
21,834
13.50
97.99
97.99
97.99
1,763.92
VND
VND
VND
VND
VND
18,856
API
API
API
API
API
REPAIR & MAINT - BU
2015/09/000122 06/18/2015 API
26.80
30.79
19.98
21.69
31.92
VND
VND
VND
VND
VND
14,855
21,834
001208
001208
001208
001208
000091
VCH373445
VCH374516
VCH374517
VCH374518
VCH374519
18,856
000336
000336
000336
000336
000336
VCH374289
VCH375172
VCH375173
VCH375174
VCH375175
14,855
60.00 VND 010168 VCH375056
CITY IT DEPT
BANK OF AMERICA
21,876.33
JUN 2015 IT SUPPORT
Computer Concepts - PRINTER
2,071.39
CHARTER COMMUNICATIO
CHARTER COMMUNICATIO
CHARTER COMMUNICATIO
CHARTER COMMUNICATIO
CITY ELECT 100-101S
9,206.91
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
29,732.52
BANK OF AMERICA
1,285.38
-1,327.71
HD DIGITAL RECEIVER FEE
CAMERA
CAMERA
CAMERAS
INTERDEPARTMENTAL UTILITY BILL
131.18
NATURAL
NATURAL
NATURAL
NATURAL
NATURAL
60.00
.00
GAS
GAS
GAS
GAS
GAS
9,649.09
BILL
BILL
BILL
BILL
BILL
3,401.25
PARAMOUNT - UNIFORMS
193728
4436
106.1%*
193623
193815
193815
193815
193817
48.8%
193701
193709
193709
193709
193709
-18,278.77
223.0%*
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
61
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033501 85335
REPAIR & MAINT - VE
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
10033501 85350
SANITATION SERVICE
2015/09/000031 06/05/2015 API
10033501 85390
2015/09/000031
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
10033501 85405
OTHER PROPERTY SERV
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10033501 85410
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000123
10033501 85422
10033501 85428
TELEPHONE
06/09/2015
06/09/2015
06/05/2015
06/18/2015
9,924
773.66 VND 010168 VCH373671
4,654.77 VND 000083 VCH374202
1,787
DUES & SUBSCRIPTION
TRAVEL & TRAINING
1,787
90.90 VND 010168 VCH373829
17,200
75.00
37.12
48.86
40.38
44.41
39.88
32.22
41.53
44.62
42.27
41.90
49.48
33.41
32.51
33.95
36.21
34.03
34.48
54.34
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
31,400
17,200
010168
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
000217
VCH373829
VCH374170
VCH374171
VCH374172
VCH374173
VCH374174
VCH374175
VCH374176
VCH374177
VCH374178
VCH374179
VCH374180
VCH374181
VCH374182
VCH374183
VCH374184
VCH374185
VCH374186
VCH374187
31,400
2,616.67 VND 000036 VCH373412
5,853
API
API
API
API
9,924
1,144.61
4.83
34.14
137.58
VND
VND
VND
VND
99
4,931
5,853
000387
000387
010168
000107
VCH373249
VCH373250
VCH373679
VCH375163
99
4,931
12,044.80
5,428.43
BANK OF AMERICA
CITY FLEET SERVICES
727.20
7,924.54
BANK
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
CITY
796.60
.00
.00
.00
9,275.46
.00
.00
4408
193727
40.7%
46.1%
4408
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
193731
7,850.01
1,248.79
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
PHONE BILL
.00
.00
121.4%*
4408
JUNE 2015 PREMIUMS & LIABILITY
1,321.16
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
CENTURYLINK
79.25
5,717.49
1,059.80
MID-NEBRASKA - ROLLOFF
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
STREET SWEEPINGS
2,616.67
CITY FINANCE DEPT
4,604.21
.00
MID-NEBRASKA - ROLLOFF
OF AMERICA
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
WASTE MGM
23,549.99
-2,120.80
TRACTOR SUPPLY - TOOLBOX
REPAIR SHOP MAY 2015
90.90
BANK OF AMERICA
.00
19.75
-786.49
75.0%
193553
78.7%*
193679
193679
4408
193708
80.1%*
115.9%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
62
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033501 85505
OFFICE SUPPLIES
2,508
2015/09/000122 06/18/2015 API
10033501 85515
10033501 85540
7,939
MISC OPERATING EQUI
950
10033501 85549
7,000
14,886
0
CITY FLEET SERVICES
7,000
7,751.83
14,886
20,619.71
.00
.00
.00
.00
111.6%*
4436
41.5%
193727
82.42
91.3%*
4408
4408
4436
-1,136.17
-751.83
ZEE - FIRST AID SUPPLIES
MATHESON - GLOVES
2,969.99
BANK OF AMERICA
BANK OF AMERICA
4,642.07
ASPHALT ZIPPER - BIT POCKETS
363.69
BANK OF AMERICA
BANK OF AMERICA
.00
PLATTE VALLEY - POUCH
ACE HARDWARE - DUSTER
KELLY SUPPLY - FITTINGS
490.00
BANK OF AMERICA
-290.94
REPAIR SHOP MAY 2015
85.56
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
919.91
CAPITAL BUSINESS-Copier Chgs
328.53
1,136.17
109.99 VND 010168 VCH373639
2,860.00 VND 010168 VCH375082
TOTAL OPERATING EXPENSES
BANK OF AMERICA
867.58
182.05 VND 010168 VCH373855
181.64 VND 010168 VCH374976
OTHER GENERAL SUPPL
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
950
490.00 VND 010168 VCH373691
SAFETY MATERIALS
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10033501 85590
0
35.90
3,296.93
39.90 VND 010168 VCH373788
23.97 VND 010168 VCH373941
21.69 VND 010168 VCH374692
STREET REPAIR MATER
2015/09/000031 06/05/2015 API
7,939
328.53 VND 000083 VCH374202
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10033501 85547
1,879.03
35.90 VND 010168 VCH374660
GASOLINE
2015/09/000074 06/23/2015 API
2,508
-5,733.71
ACE HARDWARE - MAKER
AMERICAN FENCE - REPAIR FENCE
100.0%*
4408
110.7%*
4408
4436
138.5%*
4408
4436
172,613
172,613
157,111.14
17,815.95
5,606.54
9,895.32
94.3%
307,387
187,500
307,387
187,500
293,955.31
28,329.00
.00
.00
12,920.00
131,624.00
511.69
27,547.00
99.8%*
85.3%*
494,887
494,887
322,284.31
.00
144,544.00
28,058.69
94.3%
2,643,573
2,643,573
2,023,407.87
171,601.13
150,150.54
470,014.59
82.2%
96 CAPITAL OUTLAY
_________________________________________
10033501 85615
10033501 85625
MACHINERY AND EQUIP
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL STREET AND ALLEY - GEN OPER
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
63
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033502 SNOW AND ICE REMOVAL
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10033502
10033502
10033502
10033502
10033502
85213
85312
85335
85520
85535
CONTRACT SERVICES
SNOW REMOVAL
REPAIR & MAINT - VE
DIESEL FUEL
CHEMICAL SUPPLIES
2015/09/000010 06/09/2015 API
10033502 85540
10033502 85546
10033502 85590
MISC OPERATING EQUI
WINTER GRAVEL & BLA
OTHER GENERAL SUPPL
0
20,000
40,000
24,000
60,000
0
20,000
40,000
24,000
60,000
13,519.45
.00
23,810.58
7,540.10
57,006.38
2,989.26 VND 000327 VCH373431
.00
.00
.00
.00
2,989.26
.00
.00
.00
.00
.00
-13,519.45
20,000.00
16,189.42
16,459.90
2,993.62
NEBRASKA SALT & GRAI Ice Control Salt
100.0%*
.0%
59.5%
31.4%
95.0%*
193660
200
4,500
1,000
200
4,500
1,000
201.66
.00
887.20
.00
.00
.00
.00
.00
.00
-1.66
4,500.00
112.80
100.8%*
.0%
88.7%*
TOTAL OPERATING EXPENSES
149,700
149,700
102,965.37
2,989.26
.00
46,734.63
68.8%
TOTAL SNOW AND ICE REMOVAL
149,700
149,700
102,965.37
2,989.26
.00
46,734.63
68.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
64
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033503 STREET MAINTENANCE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10033503 85120
10033503 85130
HEALTH INSURANCE
DISABILITY INSURANC
0
0
0
0
.49
.06
.00
.00
.00
.00
-.49
-.06
100.0%*
100.0%*
0
0
.55
.00
.00
-.55
100.0%
2,780
340,000
2,780
340,000
.00
257,902.96
.00
28,040.36
500.00
.00
2,280.00
82,097.04
TOTAL PERSONNEL SERVICES
91 OPERATING EXPENSES
_________________________________________
10033503 85213
10033503 85305
CONTRACT SERVICES
UTILITY SERVICES
2015/09/000075 06/11/2015 API
2015/09/000109 06/23/2015 API
10033503 85318
CURBS GUTTERS & SID
2015/09/000074 06/23/2015 API
10033503 85320
10033503 85335
REPAIR BRIDGE - OVE
REPAIR & MAINT - VE
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
2015/09/000122 06/18/2015 API
10033503 85515
GASOLINE
DIESEL FUEL
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
MISC OPERATING EQUI
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
20,000
4,000
225,000
4,000
225,000
7,000
361.78 VND 000083 VCH374199
74,000
3,822.55 VND 000083 VCH374199
72.95
18.99
89.75
21.27
38.97
17.34
VND
VND
VND
VND
VND
VND
25,000
010168
010168
010168
010168
010168
010168
VCH373757
VCH373770
VCH373816
VCH373846
VCH374655
VCH374800
533.20
OK PAVING
3,106.19
154,912.62
84.31 VND 010168 VCH373872
37,455.92 VND 000083 VCH374199
83.28 VND 010168 VCH374915
25,000
SOUTHERN POWER DISTR HWY 281 LIGHTS
CITY ELECT 100-101S INTERDEPARTMENTAL UTILITY BILL
15,451.90
533.20 VND 000188 VCH374247
74,000
2015/09/000074 06/23/2015 API
10033503 85540
20,000
7,000
2015/09/000074 06/23/2015 API
10033503 85520
525.05 VND 000385 VCH374290
27,515.31 VND 000091 VCH374519
.00
37,623.51
3,470.00
20,742.98
OF
OF
OF
OF
OF
OF
.00
.00
.00
77.3%*
77.7%*
69.3%
4408
193727
4436
3,530.00
49.6%
193727
24,613.60
REPAIR SHOP MAY 2015
331.82
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
893.81
69,087.38
REPAIR SHOP MAY 2015
3,822.55
CITY FLEET SERVICES
.00
1,000.00
193702
193817
193876
BOCAT - COUPLERS
REPAIR SHOP MAY 2015
BOBCAT - FILTERS
361.78
CITY FLEET SERVICES
BANK
BANK
BANK
BANK
BANK
BANK
4,548.10
INSTALL H/C RAMP
BANK OF AMERICA
CITY FLEET SERVICES
BANK OF AMERICA
49,386.40
.00
18.0%
75.9%*
66.7%
193727
4,257.02
ACE HARDWARE - VALVE/HEAD SET
BOSSELMAN'S - ADAPTER
BOBCAT - COUPLER
ACE HARDWARE - SMALL PARTS
ACE HARDWARE - SMALL TOOLS
MENARDS - BOLTS
83.0%*
4408
4408
4408
4408
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
65
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033503 STREET MAINTENANCE
10033503 85540 MISC OPERATING EQUI
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10033503 85547
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000086
2015/09/000086
2015/09/000100
2015/09/000100
2015/09/000109
2015/09/000109
2015/09/000122
2015/09/000122
10033503 85590
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
STREET REPAIR MATER
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
OTHER GENERAL SUPPL
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
51.41 VND 010168 VCH374816
21.14 VND 010168 VCH374847
440,000
1,831.76
2,778.76
1,068.75
456.50
85.50
249.00
85.50
1,128.13
1,138.00
3,537.76
2,825.78
3,204.02
1,774.13
290.50
3,728.14
256.50
10,601.60
3,373.89
266.47
3,584.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
4,000
350.00
1,305.40
12.97
15.52
159.98
VND
VND
VND
VND
VND
440,000
001148
001148
001148
001148
001148
001148
001148
001148
010168
001148
001148
001148
001148
001148
001148
001148
000548
001148
010168
010168
311,435.07
VCH373217
VCH373218
VCH373219
VCH373419
VCH373420
VCH373421
VCH373422
VCH373448
VCH373805
VCH374080
VCH374219
VCH374220
VCH374331
VCH374332
VCH374430
VCH374432
VCH374533
VCH374534
VCH374754
VCH375021
4,000
010168
010168
010168
010168
010168
BANK OF AMERICA
BANK OF AMERICA
VCH373804
VCH374673
VCH374743
VCH374770
VCH375022
42,264.69
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
BANK OF AMERICA
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GERHOLD CONCRETE COM
GARY SMITH CONSTRUCT
GERHOLD CONCRETE COM
BANK OF AMERICA
BANK OF AMERICA
4,221.02
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
FASTENAL - BOLTS
DXP - NUTS 7 BOLTS
121,828.83
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
STETSON BUILDING-STAKES/KEYWAY
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Ready-Mix Concrete
Asphalt
Ready-Mix Concrete
CONSTRUCTION RENTAL - BLADES
NEWMAN SIGNS - BARRICADES
1,843.87
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
6,736.10
4436
4436
.00
-221.02
CONSTRUCTION RENTAL-BLADES
BIOSYSTEMS INC - BIO PRO
ACE HARDWARE - PLUG & FILTER
NAPA - OIL DRY
ACE HARDWARE - BLOWER
72.3%
193571
193571
193571
193571
193571
193571
193571
193571
4408
193571
193743
193743
193743
193743
193743
193743
193839
193743
4436
4436
105.5%*
4408
4436
4436
4436
4436
TOTAL OPERATING EXPENSES
1,141,780
1,141,780
820,629.14
114,821.78
8,236.10
312,914.76
72.6%
TOTAL STREET MAINTENANCE
1,141,780
1,141,780
820,629.69
114,821.78
8,236.10
312,914.21
72.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
66
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033504 DRAINAGE MAINTENANCE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10033504 85213
10033504 85318
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
10033504 85335
CONTRACT SERVICES
REPAIR STORM SEWER
06/09/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
API
API
API
API
API
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
10033504 85515
10033504 85520
GASOLINE
DIESEL FUEL
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10033504 85590
MISC OPERATING EQUI
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
2,694.74
1,359.00
90.00
225.00
30.00
VND
VND
VND
VND
VND
15,000
API
API
API
API
API
API
API
API
API
API
OTHER GENERAL SUPPL
2015/09/000031 06/05/2015 API
4,100
70,000
000188
010168
000141
000141
000141
VCH373452
VCH373769
VCH374035
VCH374036
VCH374037
15,000
4,102.35 VND 000083 VCH374201
5,000
5,200
2015/09/000074 06/23/2015 API
10033504 85540
4,100
70,000
5,000
5,200
208.00 VND 000083 VCH374201
6,000
3.08
372.00
28.95
1.29
26.51
6.07
4.26
13.38
6.35
32.13
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
2,800
6,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373760
VCH373818
VCH373935
VCH374657
VCH374675
VCH374823
VCH374837
VCH374891
VCH374949
VCH375111
2,800
369.99 VND 010168 VCH373893
1,579.16
30,550.05
.00
4,398.74
OK PAVING
BANK OF AMERICA
BWJW ENTERPRISE INC
BWJW ENTERPRISE INC
BWJW ENTERPRISE INC
11,490.18
1,390.05
2,521.81
5,619.22
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
1,324.89
.00
.00
6,450.00
.00
38.5%
105.2%*
193665
4408
193617
193617
193617
76.6%*
193727
3,609.95
2,678.19
27.8%
48.5%
193727
-6,069.22
MENARDS - SMALL PART
BARCO - SPRAY PAINT
ACE HARDWARE - FITTINGS
ACE HARDWARE - PLUG
FAIRBANK EQUIP - PLUG & TIP
ACE HARDWARE - BUSHINGS
FASTENAL - NUTS
HEARTLAND AG - SPRING
KELLY SUPPLY - HOSE
KELLY - GATES
369.99
BANK OF AMERICA
3,509.82
REPAIR SHOP MAY 2015
494.02
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
REPAIR SHOP MAY 2015
.00
208.00
CITY FLEET SERVICES
2,520.84
-3,662.05
STORM SEWER REPAIR
MIDSTATES - HANDICAP TILES
Mowing Labor
Mowing Labor
Mowing Labor
4,102.35
CITY FLEET SERVICES
.00
43,112.00
1,475.11
ACE HARDWARE - WEED EATER
201.2%*
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
47.3%
4408
TOTAL OPERATING EXPENSES
108,100
108,100
54,475.36
9,573.10
49,562.00
4,062.64
96.2%
TOTAL DRAINAGE MAINTENANCE
108,100
108,100
54,475.36
9,573.10
49,562.00
4,062.64
96.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
67
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033505 TRAFFIC CONTROLS AND SAFETY
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10033505 85213
10033505 85305
CONTRACT SERVICES
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10033505 85325
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000122
2015/09/000122
2015/09/000122
10033505 85335
REPAIR & MAINT - MA
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/09/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
10033505 85515
GASOLINE
2015/09/000074 06/23/2015 API
10033505 85520
DIESEL FUEL
2015/09/000074 06/23/2015 API
10033505 85540
MISC OPERATING EQUI
2015/09/000031 06/05/2015 API
10033505 85545
10033505 85590
TRAFF PAINT- PSTICOTHER GENERAL SUPPL
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
65,000
23,872
65,000
23,872
.00
15,070.54
1,811.85 VND 000091 VCH374519
95,000
472.18
1,169.00
15,716.43
2,100.00
21.61
2,245.50
109.32
193.29
806.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
34,334
95,000
000276
000542
001410
010168
010168
000422
010168
010168
010168
34,334
4,530.03 VND 000083 VCH374200
9,155
9,155
476.76 VND 000083 VCH374200
4,801
4,801
175.25 VND 000083 VCH374200
14,926
14,926
48.22 VND 010168 VCH373612
18,000
3,000
CITY ELECT 100-101S
121,962.50
VCH373224
VCH373429
VCH373447
VCH373623
VCH373772
VCH374027
VCH374703
VCH374873
VCH375013
18,000
3,000
37.75 VND 010168 VCH373832
55.85 VND 010168 VCH375012
.00
1,811.85
13,218.46
3,376.58
2,891.80
12,098.16
BANK OF AMERICA
1,287.45
1,344.45
BANK OF AMERICA
BANK OF AMERICA
.00
21,115.54
.00
.00
5,778.42
1,000.00
1,909.20
18,000.00
.00
UPS - SHIPPING FEES
AURORACOOP - PROPANE
149.7%*
193579
193656
193638
4408
4408
193604
4436
4436
4436
38.5%
36.9%
60.2%
193727
1,827.84
KELLY SUPPLY - SMALL PARTS
.00
93.60
193817
193727
REPAIR SHOP MAY 2015
48.22
100.1%*
63.1%
193727
REPAIR SHOP MAY 2015
175.25
CITY FLEET SERVICES
-47,206.75
REPAIR SHOP MAY 2015
476.76
CITY FLEET SERVICES
20,244.25
WIRE
Post Anchors
Signal LEDs
BROWN TRAFFIC - BRACETS
MENARD'S - TAPE
Rolled Goods
KRIZ DAVIS - TERMINALS
AMRICAN FENCE - POSTS
NEWMAN SIGNS - SIGNS
4,530.03
CITY FLEET SERVICES
-83.70
8,801.46
INTERDEPARTMENTAL UTILITY BILL
22,833.33
KRIZ DAVIS CO
NE DEPT OF ROADS
GENERAL TRAFFIC CONT
BANK OF AMERICA
BANK OF AMERICA
3M COMPANY
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
65,083.70
.00
-1,287.45
1,655.55
87.8%*
4408
107.2%*
44.8%
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
68
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL OPERATING EXPENSES
268,088
268,088
171,249.94
29,969.04
104,327.95
-7,489.89
102.8%
TOTAL TRAFFIC CONTROLS AND SAFETY
268,088
268,088
171,249.94
29,969.04
104,327.95
-7,489.89
102.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
69
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10033506 NON-CAPITAL PROJECTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10033506 85213
CONTRACT SERVICES
2015/09/000183 06/29/2015 APM
10033506 85351
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000100
10033506 85353
10033506 85354
CONTRACTED CONCRETE
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
ROAD & STREET MODIF
STREET RESURFACING
40,000
40,000
59,716.08
500.00 VND 000198 VCH373216
750,000
3,912.90
1,780.84
2,957.14
1,679.05
1,047.89
426.60
1,878.49
6,241.38
1,358.84
1,481.22
189.60
1,548.40
543.99
544.38
665.88
1,544.52
1,423.40
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
750,000
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000188
000154
GALVAN CONSTRUCTION
197,308.01
VCH373229
VCH373230
VCH373231
VCH373232
VCH373233
VCH373234
VCH373235
VCH373449
VCH373450
VCH373451
VCH373453
VCH373454
VCH374248
VCH374249
VCH374250
VCH374251
VCH374482
500.00
-20,716.08
151.8%*
904 W PHOENIX AVE FENCE RE2015
29,224.52
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
OK PAVING
DIAMOND ENGINEERING
1,000.00
6,300.00
546,391.99
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
CURB & GUTTER
CURB & GUTTER
Concrete Repair
Concrete Repair
Concrete Repair
Concrete Repair
HANDICAP RAMP PROJECTS
27.1%
193665
193665
193665
193665
193665
193665
193665
193665
193665
193665
193665
193665
193876
193876
193876
193876
193829
35,000
839,797
35,000
839,797
.00
32,091.59
.00
.00
.00
994,273.76
35,000.00
-186,568.35
.0%
122.2%*
TOTAL OPERATING EXPENSES
1,664,797
1,664,797
289,115.68
29,724.52
1,001,573.76
374,107.56
77.5%
TOTAL NON-CAPITAL PROJECTS
1,664,797
1,664,797
289,115.68
29,724.52
1,001,573.76
374,107.56
77.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
70
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044001 PLANNING
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
2015/09/000010 06/09/2015 API
10044001 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
160,289
160,289
116,086.24
12,327.08
6,163.55 REF PRCITY
6,163.53 REF PRCITY
12,262
WARRANT=060415
WARRANT=061815
12,262
8,158.10
874.85
435.87 REF PRCITY
438.98 REF PRCITY
39,233
26,447.18
2,954.69
1,477.35 REF PRCITY
1,477.34 REF PRCITY
136.02
15.35
15.35 REF PRCITY
289
289
197.84
22.18
11.09 REF PRCITY
11.09 REF PRCITY
9,618
6,965.20
739.62
369.81 REF PRCITY
369.81 REF PRCITY
222
222
18.50 VND 000036 VCH373411
3.58 VND 000036 VCH373411
325
325
10.74 VND 008197 VCH373251
198.76
22.08
CITY FINANCE DEPT
CITY FINANCE DEPT
151.34
TASC
12,785.82
48.98
73.5%
RUN=1 CITY BIW
91.16
68.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
2,652.80
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
23.24
JUNE 2015 WORKERS COMP
JUNE 2015 WORKERS COMP
10.74
67.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
66.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
9,618
4,103.90
.00
WARRANT=060415
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
185
44,202.76
.00
WARRANT=060415
WARRANT=061815
39,233
185
.00
.00
JULY 2015 CAFETERIA FEES
89.5%*
193553
193553
173.66
46.6%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
71
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044001 85161
VEBA
1,139
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,139
823.34
87.60
43.80 REF PRCITY
43.80 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
315.66
72.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
223,562
223,562
159,164.02
17,054.19
.00
64,397.98
71.2%
1,200
9,014
1,200
9,014
800.00
6,759.00
.00
751.00
.00
.00
400.00
2,255.00
66.7%
75.0%
91 OPERATING EXPENSES
_________________________________________
10044001 85221
10044001 85241
ADMINISTRATIVE SERV
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10044001 85245
10044001 85330
10044001 85405
PRINTING & BINDING
REPAIR & MAINT - OF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044001 85410
TELEPHONE
2015/09/000031 06/05/2015 API
10044001 85413
POSTAGE
2015/09/000033 06/09/2015 API
10044001 85419
LEGAL NOTICES
2015/09/000033 06/09/2015 API
10044001
10044001
10044001
10044001
10044001
85422
85425
85428
85490
85505
DUES & SUBSCRIPTION
BOOKS
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
751.00 VND 000035 VCH374062
240
280
500
240
280
500
41.67 VND 000036 VCH373412
400
400
3.66 VND 010168 VCH373679
982
982
66.30 VND 000089 VCH374067
750
750
53.14 VND 000214 VCH374077
800
100
4,245
0
2,005
800
100
4,245
0
2,005
249.02 VND 010168 VCH374601
3.85 VND 010168 VCH374660
CITY IT DEPT
.00
369.90
374.99
JUNE 2015 IT SUPPORT
.00
.00
41.67
CITY FINANCE DEPT
29.35
BANK OF AMERICA
665.14
193554
.00
.00
.00
240.00
-89.90
125.01
JUNE 2015 PREMIUMS & LIABILITY
3.66
.00
370.65
CENTURYLINK - Phone Bill
66.30
.00
GI INDEPENDENT
743.00
.00
3,591.67
31.24
973.06
BANK OF AMERICA
BANK OF AMERICA
53.14
.00
316.86
.00
.00
.00
.00
.00
7.3%
67.7%
193557
270.49
PLANNING MEETING NOTICE / PH
.00
.00
.00
.00
252.87
193553
4408
CITY UTIL-METER POST APR 2015 POSTAGE
479.51
.0%
132.1%*
75.0%
57.00
100.00
653.33
-31.24
1,031.94
OfficeNet - supplies
CAPITAL BUSINESS-Copier Chgs
63.9%
193639
92.9%*
.0%
84.6%*
100.0%*
48.5%
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
72
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044001 85540
MISC OPERATING EQUI
2015/09/000031 06/05/2015 API
TOTAL OPERATING EXPENSES
1,800
1,800
39.74
39.74 VND 010168 VCH373667
39.74
BANK OF AMERICA
.00
1,760.26
SAMS CLUB-KEYBOARD
2.2%
4408
22,316
22,316
14,856.60
1,208.38
.00
7,459.40
66.6%
10,000
10,000
.00
.00
.00
10,000.00
.0%
10,000
10,000
.00
.00
.00
10,000.00
.0%
255,878
255,878
174,020.62
18,262.57
.00
81,857.38
68.0%
96 CAPITAL OUTLAY
_________________________________________
10044001 85620
OFFICE FURNITURE &
TOTAL CAPITAL OUTLAY
TOTAL PLANNING
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
73
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044002 CRA DIVISION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044002 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044002 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044002 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044002 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044002 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044002 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044002 85150
10044002 85161
WORKERS COMPENSATIO
HRA-VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
31,369
31,369
22,723.22
1,209.93 REF PRCITY
1,209.93 REF PRCITY
2,400
2,400
1,585.41
5,325.75
300.72 REF PRCITY
300.72 REF PRCITY
25.56
2.90 REF PRCITY
57
38.76
4.36
1,363.41
72.60 REF PRCITY
72.60 REF PRCITY
145.20
43
234
.00
168.78
9.00 REF PRCITY
9.00 REF PRCITY
.00
18.00
2,874.25
64.9%
9.44
73.0%
18.24
68.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
518.59
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
WARRANT=060415
WARRANT=061815
66.1%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
814.59
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,882
43
234
2.90
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
2.18 REF PRCITY
2.18 REF PRCITY
1,882
601.44
8,645.78
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
35
57
170.91
WARRANT=060415
WARRANT=061815
8,200
35
.00
WARRANT=060415
WARRANT=061815
85.13 REF PRCITY
85.78 REF PRCITY
8,200
2,419.86
43.00
65.22
.0%
72.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
TOTAL PERSONNEL SERVICES
44,220
44,220
31,230.89
3,362.67
.00
12,989.11
70.6%
TOTAL CRA DIVISION
44,220
44,220
31,230.89
3,362.67
.00
12,989.11
70.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
74
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 LIBRARY
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044301 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044301 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10044301 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
919,795
919,795
651,828.01
69,070.35
33,867.66 REF PRCITY
35,202.69 REF PRCITY
70,366
WARRANT=060415
WARRANT=061815
70,366
47,309.45
5,021.57
2,455.90 REF PRCITY
2,565.67 REF PRCITY
188,009
188,009
130,227.84
14,952.16
1,182
843.30
91.16
91.16 REF PRCITY
1,170
1,170
788.85
86.52
43.26 REF PRCITY
43.26 REF PRCITY
37,859
37,859
3,007.74
1,503.05 REF PRCITY
1,504.69 REF PRCITY
2,644
2,644
220.33 VND 000036 VCH373411
5,476
5,476
25.06 VND 008197 VCH373251
220.33
CITY FINANCE DEPT
487.22
TASC
338.70
69.3%
71.3%
RUN=1 CITY BIW
381.15
67.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
9,680.50
74.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
660.99
JUNE 2015 WORKERS COMP
25.06
67.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,983.01
57,781.16
.00
WARRANT=060415
WARRANT=061815
28,178.50
23,056.55
.00
WARRANT=060415
70.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
267,966.99
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
7,476.08 REF PRCITY
7,476.08 REF PRCITY
1,182
.00
.00
75.0%
193553
4,988.78
JULY 2015 CAFETERIA FEES
8.9%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
75
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 85161
VEBA
10,530
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044301 85165
10,530
7,801.53
750.00
375.00 REF PRCITY
375.00 REF PRCITY
UNEMPLOYEMENT CONTR
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
2,728.47
74.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
0
0
344.00
.00
.00
-344.00
100.0%*
1,237,031
1,237,031
869,791.71
93,224.89
.00
367,239.29
70.3%
60,409
60,409
32,387.81
5,962.00
.00
28,021.19
53.6%
91 OPERATING EXPENSES
_________________________________________
10044301 85241
COMPUTER SERVICES
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
10044301 85245
10044301 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000010 06/09/2015 API
2015/09/000010 06/09/2015 API
10044301 85317
NATURAL GAS
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044301 85330
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
REPAIR & MAIN-LD IM
REPAIR & MAINT - BU
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - OF
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
3,000
54,500
API
API
API
API
API
API
3,000
54,500
4,579.94 VND 000092 VCH373401
105.79 VND 000092 VCH373402
5,400
2015/09/000024 06/04/2015 API
10044301 85319
10044301 85324
3,262.00 VND 000035 VCH374419
2,700.00 VND 003843 VCH374429
5,400
114.03 VND 000336 VCH373456
1,000
26,000
184.37
14.99
226.65
350.00
319.97
21.99
40.95
95.00
123.06
VND
VND
VND
VND
VND
VND
VND
VND
VND
26,000
244.59
227.94
284.98
31.00
589.60
747.76
VND
VND
VND
VND
VND
VND
1,000
26,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373546
VCH373811
VCH373820
VCH373831
VCH373876
VCH374687
VCH374758
VCH374901
VCH375039
26,000
000311
010168
010168
010168
010168
010168
VCH373203
VCH373562
VCH373620
VCH373825
VCH374610
VCH374898
CITY IT DEPT
JUN 2015 IT SUPPORT
DUEY'S COMPUTER SERV 30 HOUR LABOR SERV BLOCK PREPA
1,853.51
33,433.98
.00
4,685.73
.00
.00
1,146.49
21,066.02
CITY UTIL ELEC/WAT/S UTILITY BILL
CITY UTIL ELEC/WAT/S UTILITY BILL
4,747.49
114.03
NORTHWESTERN
379.00
15,557.72
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
14,011.03
CAPITAL
BANK OF
BANK OF
BANK OF
BANK OF
BANK OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
652.51
.00
5,162.00
.00
87.9%*
193540
621.00
5,280.28
CRESCENT ELECTRIC-Light Bulbs
ACE-Maintenance Supplies
MENARDS-Maintenance Supplies
ISLAND GLASS COMPANY I - Repai
TILLEY SPRINKLER SYSTE - Repai
ACE-Maintenance Supplies
ACE-Maintenance Supplies
KENS APPLIANCE-Repair Refriger
JCE PRESTOX - Pest control
2,125.87
61.8%
61.3%
193556
193556
NATURAL GAS BILL
.00
1,376.98
193728
193735
11,988.97
BUSINESS SYS CITY HALL COPIER LEASE
AMERICA
CAPITAL BUSINESS SYS-Contract
AMERICA
VENMILL-Buffing Wheels combo p
AMERICA
CAN CANONBUSSOL CBS - Meter Re
AMERICA
Computer Concepts-Repair Print
AMERICA
EAKES OFFICE-Copy count
37.9%
79.7%*
4408
4408
4408
4408
4408
4436
4436
4436
4436
53.9%
193619
4408
4408
4408
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
76
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 LIBRARY
10044301 85335
10044301 85350
10044301 85405
REPAIR & MAINT - VE
SANITATION SERVICE
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044301 85410
2015/09/000010
2015/09/000031
2015/09/000100
2015/09/000100
10044301 85413
2015/09/000010
2015/09/000010
2015/09/000100
2015/09/000100
10044301 85416
TELEPHONE
06/09/2015
06/05/2015
06/23/2015
06/23/2015
API
API
API
API
ADVERTISING
DUES & SUBSCRIPTION
2015/09/000100 06/23/2015 API
2015/09/000122 06/18/2015 API
10044301 85425
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
BOOKS
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
VND
VND
VND
VND
94.92
127.64
73.87
128.69
VND
VND
VND
VND
1,600
2015/09/000031 06/05/2015 API
2015/09/000100 06/23/2015 API
10044301 85422
21.65
34.22
187.50
22.26
10,188
API
API
API
API
6,700
000387
010168
008888
000387
VCH373440
VCH373679
VCH374459
VCH374475
10,188
000344
000344
000344
000344
VCH373434
VCH373435
VCH374467
VCH374468
1,600
550.00 VND 010168 VCH373814
10.44 VND 000214 VCH374433
22,883
22,883
1,828.54 VND 003767 VCH374460
49.40 VND 010168 VCH375075
117,659
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
480
900
11,000
916.67 VND 000036 VCH373412
6,700
POSTAGE
06/09/2015
06/09/2015
06/23/2015
06/23/2015
480
900
11,000
94.53
95.76
351.88
99.78
549.89
251.75
242.11
1,213.43
809.28
659.47
234.52
1,298.71
104.42
635.28
255.58
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
117,659
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373589
VCH373591
VCH373607
VCH373608
VCH373617
VCH373619
VCH373621
VCH373622
VCH373626
VCH373630
VCH373634
VCH373638
VCH373642
VCH373648
VCH373650
220.35
653.40
8,249.99
.00
.00
916.67
CITY FINANCE DEPT
3,584.14
4,548.74
MAIL
MAIL
MAIL
MAIL
1,343.05
16,961.66
76,701.91
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
5,639.26
.00
256.95
2,000.00
3,921.34
JUNE OCLC
NYT TIMES-Newpaper subscriptio
14,268.20
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
LAMAR MEDIA 3 - Summer Reading
AD
1,877.94
OCLC
BANK OF AMERICA
3,115.86
POSTAGE FEES
POSTAGE FEES
05/28/15-06/03/15 POSTAGE
06/04/15-06/10/15 POSTAGE
560.44
BANK OF AMERICA
GI INDEPENDENT
.00
MAY 2015 NETWORK SVC CHG
CENTURYLINK - Phone Bill
ETHERNET
STATEWIDE INTERNET ACCESS-MAY
425.12
PREFERRED
PREFERRED
PREFERRED
PREFERRED
259.65
246.60
2,750.01
JUNE 2015 PREMIUMS & LIABILITY
265.63
STATE DIV OF COMM
BANK OF AMERICA
NEBRASKALINK LLC
STATE DIV OF COMM
.00
.00
.00
.00
40,957.09
Amazon.com - Books
AMAZON - Books
BAKER & TAYLOR - Books
Amazon.com - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
45.9%
72.6%
75.0%
193553
53.5%
193679
4408
193770
193904
44.6%
193593
193593
193779
193779
83.9%*
4408
193840
82.9%*
193772
4436
65.2%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
77
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 LIBRARY
10044301 85425 BOOKS
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
10044301 85426
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000122
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
AV/ELECTRONIC MEDIA
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
253.12
1,029.19
136.75
42.86
40.00
17.53
410.84
17.96
93.94
392.25
188.65
340.20
656.79
46.28
1,036.59
44.52
991.59
14.22
472.95
39.82
1,105.76
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
115,000
49.98
491.75
33.75
260.20
639.00
157.20
76.98
61.98
69.98
32.99
1,138.37
382.79
1,060.00
71.25
30.00
37.50
14.96
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373651
VCH373672
VCH373722
VCH373745
VCH373747
VCH373768
VCH373848
VCH373849
VCH373873
VCH373879
VCH373880
VCH373884
VCH373889
VCH373897
VCH373930
VCH374876
VCH374900
VCH374905
VCH374913
VCH374919
VCH374982
115,000
000562
000562
006467
010168
010168
010168
000562
000562
000562
000562
000562
000562
000320
006467
006467
006467
010168
VCH373425
VCH373426
VCH373427
VCH373575
VCH373734
VCH373900
VCH374452
VCH374453
VCH374454
VCH374455
VCH374456
VCH374457
VCH374458
VCH374463
VCH374464
VCH374465
VCH375064
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
59,005.19
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
BAKER & TAYLOR - Books
DART/TARTAN/MCNAUGH - Books
AMAZON MKTPLACE PMTS - Books
AMAZON MKTPLACE PMTS - Books
RC BOOTH - Reference books
AMAZON MKTPLACE PMTS - Book
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - BOOKS - Purch
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
SAMSCLUB #6461 - Supplies
DART/TARTAN/MCNAUGH - Books
BAKER & TAYLOR - Book
BAKER & TAYLOR - Books
AMAZON MKTPLACE PMTS - Book
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
DART/TARTAN/MCNAUGH - Books
4,608.68
MIDWEST TAPE
MIDWEST TAPE
PENGUIN RANDOM HOUS
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
MIDWEST TAPE
MIDWEST TAPE
MIDWEST TAPE
MIDWEST TAPE
MIDWEST TAPE
MIDWEST TAPE
NE LIBRARY COMMISSIO
PENGUIN RANDOM HOUS
PENGUIN RANDOM HOUS
PENGUIN RANDOM HOUS
BANK OF AMERICA
.00
55,994.81
DVD'S
DVD'S
AUDIOBOOKS
RECORDED BOOKS - Audiobooks
TUMBLEBOOKS INC - Database Ren
RECORDED BOOKS - Audiobooks
DVD'S
DVD'S
DVD'S
DVD
DVD'S
DVD'S
RENEW VALUE LINE DATABASE
AUDIOBOOKS
AUDIOBOOKS
AUDIOBOOKS
WALMART- Dvd
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
51.3%
193586
193586
193592
4408
4408
4408
193768
193768
193768
193768
193768
193768
193871
193777
193777
193777
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
78
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 85427
PERIODICALS
19,000
2015/09/000122 06/18/2015 API
10044301 85428
10044301 85453
2015/09/000098
2015/09/000099
2015/09/000112
2015/09/000148
2015/09/000149
2015/09/000153
2015/09/000220
2015/09/000221
2015/09/000222
2015/09/000223
10044301 85490
TRAVEL & TRAINING
CASH OVER & SHORT
06/09/2015
06/10/2015
06/13/2015
06/16/2015
06/17/2015
06/18/2015
06/24/2015
06/23/2015
06/29/2015
06/26/2015
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
10044301 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
15,007.88
36.96 VND 010168 VCH374769
3,600
100
-.25
.25
.05
1.80
-.50
-.10
-1.80
1.55
-.27
-.50
OTHER EXPENDITURES
2015/09/000131 06/15/2015 API
19,000
REF
REF
REF
REF
REF
REF
REF
REF
REF
REF
3,600
100
450
16.99
20.98
23.70
183.20
12.00
37.96
79.33
110.12
44.75
161.30
18.70
84.52
109.02
377.03
270.49
244.39
67.95
427.09
33.84
231.85
80.46
80.43
138.78
170.45
26.85
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
66,734
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373558
VCH373559
VCH373568
VCH373574
VCH373575
VCH373584
VCH373602
VCH373607
VCH373609
VCH373617
VCH373618
VCH373619
VCH373621
VCH373622
VCH373626
VCH373630
VCH373634
VCH373638
VCH373642
VCH373648
VCH373650
VCH373651
VCH373656
VCH373672
VCH373686
.00
3,992.12
EBSCO INFO SERVICE BHM-Magazin
.00
.23
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
LIBRARY
57.99 VND 008720 VCH374431
66,734
BANK OF AMERICA
2,145.67
-6.00
176979
176980
177086
177257
177258
177270
177759
177756
177775
177774
450
36.96
.00
.00
1,454.33
106.00
79.0%*
4436
59.6%
6.0%
06/09/15 RECEIPT
06/10/15 RECEIPT
06/13/15 RECEIPT
06/16/15 RECEIPT
06/17/15 RECEIPT
06/18/15 RECEIPT
06/24/15 RECEIPT
06/23/15 RECEIPT
06/27&06/29/15 RECEIPT
06/25&06/26/15 RECEIPT
786.21
57.99
.00
-336.21
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEE
43,400.98
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
7,126.64
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
450.00
22,883.02
OFFICEMAX-Summer Reading Suppl
HOBBY LOBBY-Summer Reading Pro
WALMART - Supplies
"PBD ALA-GRAPH EDIT-Bookmarks,
RECORDED BOOKS - Audiobooks
EAKES-Colored post it notes fo
DEMCO INC - Processing supplie
BAKER & TAYLOR - Books
EAKES-Library Stamps for books
BAKER & TAYLOR - Books
WALMART- Craft Supplies
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
QUILL-desk keyboard drawers
DART/TARTAN/MCNAUGH - Books
HOBBY LOBBY-Craft Supplies
174.7%*
4428
65.7%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
79
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 LIBRARY
10044301 85505 OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044301 85510
CLEANING SUPPLIES
2015/09/000031 06/05/2015 API
10044301 85515
GASOLINE
2015/09/000100 06/23/2015 API
38.72
62.95
30.98
60.40
390.32
58.15
155.81
8.38
129.98
21.67
143.32
71.59
130.50
174.67
7.16
8.00
192.95
251.99
9.58
43.87
124.95
35.99
598.00
170.01
12.99
106.18
31.23
22.72
213.86
337.92
197.43
16.80
13.98
183.15
18.26
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
5,600
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373693
VCH373723
VCH373726
VCH373773
VCH373776
VCH373843
VCH373848
VCH373849
VCH373860
VCH373875
VCH373879
VCH373880
VCH373884
VCH373889
VCH373897
VCH373900
VCH373930
VCH373942
VCH373954
VCH373961
VCH373968
VCH374660
VCH374733
VCH374762
VCH374771
VCH374792
VCH374821
VCH374824
VCH374865
VCH374900
VCH374913
VCH374919
VCH374934
VCH374982
VCH375064
5,600
1,180.62 VND 010168 VCH373580
500
500
40.85 VND 000083 VCH374425
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
1,180.62
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
MENARDS-Summer Reading Program
HOBBYTOWN-Children's Dept Supp
ACE - Program Supplies
HOBBY LOBBY-Craft Supplies
DEMCO INC - Receipt Printer Ro
Amazon.com - Games for childre
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
ACE HDWE - US Flags
AMAZON MKTPLACE PMTS - Toy for
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
SAMSCLUB #6461 - Supplies
RECORDED BOOKS - Audiobooks
DART/TARTAN/MCNAUGH - Books
QUILL CORPORATION - Toner
HOBBY LOBBY-Craft Supplies
WALMART-Program Supplies
DEMCO INC - Sign Holders
CAPITAL BUSINESS-Copier Chgs
U OF M MINITEX II OL - RFID Ta
OSI UNITEDSTATESFLAG - Nebrask
ACE HDWE - Craft Supplies
SAMS CLUB - Supplies
HOBBY LOBBY-Craft supplies
WALMART - Supplies
STAPLES QUILL-Office Supplies
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
BAKER & TAYLOR - Books
ACE HDWE - Craft supplies
DART/TARTAN/MCNAUGH - Books
WALMART- Dvd
1,180.62
BANK OF AMERICA
218.61
.00
4,419.38
SUPPLYWORKS-Cleaning Supplies
40.85
CITY FLEET SERVICES
.00
MAY 2015 REPAIR SHOP
281.39
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
21.1%
4408
43.7%
193727
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
80
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044301 85540
MISC OPERATING EQUI
TOTAL OPERATING EXPENSES
13,556
13,556
2,246.07
.00
9,065.00
2,244.93
83.4%*
572,259
572,259
338,619.01
45,630.58
16,677.00
216,962.99
62.1%
20,000
20,000
.00
.00
.00
20,000.00
.0%
20,000
20,000
.00
.00
.00
20,000.00
.0%
1,829,290
1,829,290
1,208,410.72
138,855.47
16,677.00
604,202.28
67.0%
96 CAPITAL OUTLAY
_________________________________________
10044301 85620
OFFICE FURNITURE &
TOTAL CAPITAL OUTLAY
TOTAL LIBRARY
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
81
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044401 PARK ADMINISTRATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044401 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044401 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044401 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
127,591
127,591
93,227.08
10,009.07
5,095.76 REF PRCITY
4,913.31 REF PRCITY
1,800
WARRANT=060415
WARRANT=061815
1,800
588.94
588.94
311.79 REF PRCITY
277.15 REF PRCITY
9,899
9,899
6,433.81
637.67
16,471.88
1,861.19
930.60 REF PRCITY
930.59 REF PRCITY
162
162
118.21
13.49
13.49 REF PRCITY
233
159.05
18.02
9.17 REF PRCITY
8.85 REF PRCITY
7,764
5,629.00
635.89
324.46 REF PRCITY
311.43 REF PRCITY
170
170
14.17 VND 000036 VCH373411
127.49
14.17
CITY FINANCE DEPT
11,408.12
65.0%
59.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
43.79
73.0%
RUN=1 CITY BIW
73.95
68.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
32.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
7,764
3,465.19
.00
WARRANT=060415
233
1,211.06
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
73.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
27,880
34,363.92
.00
WARRANT=060415
WARRANT=061815
326.07 REF PRCITY
311.60 REF PRCITY
27,880
.00
2,135.00
72.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
42.51
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
82
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044401 85160
OTHER EMPLOYEE BENE
172
2015/09/000002 06/09/2015 API
10044401 85161
172
55.22
3.58 VND 008197 VCH373251
VEBA
1,146
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,146
3.58
TASC
116.78
JULY 2015 CAFETERIA FEES
824.30
88.18
44.09 REF PRCITY
44.09 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
32.1%
193682
321.70
71.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
176,817
176,817
123,634.98
13,870.20
.00
53,182.02
69.9%
12,187
12,187
8,856.00
984.00
.00
3,331.00
72.7%
91 OPERATING EXPENSES
_________________________________________
10044401 85241
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
10044401 85335
10044401 85405
REPAIR & MAINT - VE
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044401 85410
TELEPHONE
2015/09/000031 06/05/2015 API
10044401 85422
10044401 85428
DUES & SUBSCRIPTION
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
10044401 85505
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
10044401 85590
OTHER GENERAL SUPPL
2015/09/000031 06/05/2015 API
2015/09/000069 06/09/2015 APM
TOTAL OPERATING EXPENSES
TOTAL PARK ADMINISTRATION
984.00 VND 000035 VCH373407
1,000
300
1,000
300
550
300
1,750
2,250
BANK OF AMERICA
275
342.79
268.00 VND 010168 VCH373521
-268.00 VND 010168 VCH373521
.00
227.95
.00
.00
70.00
1,327.78
.00
896.78
.00
-67.79
MENARDS - Ladder for FH
MENARDS - Ladder for FH
112.0%*
75.0%
193553
58.6%
4408
CAPITAL BUSINESS-Copier Chgs
.00
BANK OF AMERICA
BANK OF AMERICA
-120.15
75.00
ALG ALGT_TRAVEL - Todd's Fligh
42.24
BANK OF AMERICA
.00
.00
CENTURYLINK - Phone Bill
.00
297.22
BANK OF AMERICA
193554
JUNE 2015 PREMIUMS & LIABILITY
40.17
1,353.22
42.24 VND 010168 VCH374660
275
CITY FINANCE DEPT
230.00
422.22
297.22 VND 010168 VCH373931
2,250
.00
25.00
322.05
40.17 VND 010168 VCH373679
300
1,750
JUNE 2015 IT SUPPORT
1,120.15
225.00
25.00 VND 000036 VCH373412
550
CITY IT DEPT
76.7%*
24.1%
4408
60.1%
4436
124.7%*
4408
0
18,612
18,612
12,871.43
1,388.63
.00
5,740.57
69.2%
195,429
195,429
136,506.41
15,258.83
.00
58,922.59
69.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
83
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044403 PARK OPERATIONS
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044403 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044403 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
646,539
646,539
434,006.78
65,759.00
32,532.69 REF PRCITY
33,226.31 REF PRCITY
3,500
WARRANT=060415
WARRANT=061815
3,500
2,772.16
1,664.54
379.17 REF PRCITY
1,285.37 REF PRCITY
49,729
49,729
31,611.69
4,998.26
111,871.58
10,651.05
5,002.29 REF PRCITY
-225.27 REF PRCITY
5,874.03 REF PRCITY
902
902
660.88
68.12
68.12 REF PRCITY
1,043
1,043
69.22
34.82 REF PRCITY
34.40 REF PRCITY
31,345
31,345
2,434.85
1,224.49 REF PRCITY
1,210.36 REF PRCITY
17,295
17,295
1,441.25 VND 000036 VCH373411
12,971.25
1,441.25
CITY FINANCE DEPT
47,831.42
63.6%
70.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
RUN=1 CITY BIW
241.12
73.3%
RUN=1 CITY BIW
394.19
62.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
79.2%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
23,028.49
18,117.31
.00
WARRANT=060415
648.81
727.84
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=060415
WARRANT=061815
67.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
159,703
212,532.22
.00
WARRANT=060415
WARRANT=061815
2,437.38 REF PRCITY
2,560.88 REF PRCITY
159,703
.00
8,316.51
73.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
4,323.75
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
84
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044403 85160
OTHER EMPLOYEE BENE
2015/09/000109 06/23/2015 API
10044403 85161
500
1,476.46
1,269.46 VND 008197 VCH374570
VEBA
1,560
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85165
500
1,560
1,269.46
TASC
TOTAL PERSONNEL SERVICES
-976.46
TRUE UP - P GEHLE
1,138.49
120.00
60.00 REF PRCITY
60.00 REF PRCITY
UNEMPLOYEMENT CONTR
.00
193906
.00
WARRANT=060415
WARRANT=061815
295.3%*
421.51
73.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
11,130
11,130
8,335.27
.00
.00
2,794.73
74.9%
923,246
923,246
628,521.86
88,475.75
.00
294,724.14
68.1%
150,000
150,000
58,171.04
9,612.87
.00
91,828.96
38.8%
91 OPERATING EXPENSES
_________________________________________
10044403 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10044403 85317
2015/09/000075
2015/09/000123
2015/09/000123
2015/09/000168
10044403 85319
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
10044403 85324
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000100
NATURAL GAS
06/11/2015
06/18/2015
06/18/2015
06/25/2015
8,000
API
API
API
API
REPAIR & MAIN-LD IM
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - BU
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/23/2015
9,612.87 VND 000091 VCH374519
API
API
API
API
API
61.67
83.78
183.56
105.03
VND
VND
VND
VND
16,000
222.30
45.00
8.28
8.86
-8.86
6.56
27.55
6.99
212.79
60.63
25.56
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
18,000
45.00
45.00
45.00
87.36
82.50
VND
VND
VND
VND
VND
8,000
000336
000336
000336
000336
VCH374283
VCH375171
VCH375176
VCH375422
16,000
000100
000100
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373243
VCH373244
VCH373766
VCH373775
VCH373792
VCH373854
VCH373881
VCH373973
VCH374713
VCH374765
VCH375092
18,000
000100
000100
000100
010168
001686
VCH373245
VCH373246
VCH373247
VCH373664
VCH374451
CITY ELECT 100-101S
6,954.63
434.04
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NORTHWESTERN
NATURAL
NATURAL
NATURAL
NATURAL
8,006.53
615.66
SEWER ROOTER
SEWER ROOTER
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
20,849.19
INTERDEPARTMENTAL UTILITY BILL
GAS
GAS
GAS
GAS
1,045.37
BILL
BILL
BILL
BILL
.00
7,417.50
86.9%*
193701
193709
193709
193924
7,993.47
REPAIR LEAK
BACKFLOW TEST
ACE-SILLCOCK & NIPPLE
ACE-SILLCOCK & NIPPLE
ACE-RETURNED SILLCOCK&NIPPLE
REAMS GI-NIPPLE & COUPLERS
"ACE-LUBRICANT,TAPE,BATTERIES"
ACE-SILLCOCK
REAMS GI -IRRIGATION REPAIR
ISLAND SPRINKLER SUP-SPRINKLER
ISLAND SPRINKLER-IRRIGATION PA
1,615.32
SEWER ROOTER
SEWER ROOTER
SEWER ROOTER
BANK OF AMERICA
MIDDLETON ELECTRIC
.00
193817
-10,266.69
BACKFLOW TEST
BACKFLOW TEST
BACKFLOW TEST
KELLY SUPPLY-FAUCET
REPAIR LEGION SCOREBOARD
50.0%
193678
193678
4408
4408
4408
4408
4408
4408
4436
4436
4436
157.0%*
193678
193678
193678
4408
193865
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
85
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044403 PARK OPERATIONS
10044403 85324 REPAIR & MAINT - BU
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044403 85325
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044403 85335
10044403 85350
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - VE
SANITATION SERVICE
2015/09/000002 06/09/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044403 85390
2015/09/000010
2015/09/000074
2015/09/000100
2015/09/000100
2015/09/000122
OTHER PROPERTY SERV
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
API
140.07
737.58
32.68
4.95
150.82
9.98
35.00
199.38
VND
VND
VND
VND
VND
VND
VND
VND
20,000
88.95
23.95
81.95
96.90
263.90
28.95
91.00
158.96
81.95
5.08
-4.38
4.38
10.00
189.46
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
7,000
9,000
000100
000100
010168
010168
010168
010168
010168
010168
VCH374473
VCH374474
VCH374619
VCH374704
VCH374709
VCH374962
VCH375041
VCH375139
20,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373778
VCH373783
VCH373823
VCH373927
VCH373987
VCH374006
VCH374617
VCH374763
VCH374856
VCH374987
VCH374992
VCH374997
VCH375035
VCH375127
7,000
9,000
16.81 VND 000217 VCH373205
135.00 VND 010168 VCH374812
835.00 VND 010168 VCH375027
16,000
4,850.00
11.46
25.22
12.23
542.10
VND
VND
VND
VND
VND
16,000
007335
000217
000217
000217
010168
VCH373416
VCH374188
VCH374416
VCH374418
VCH375124
SEWER ROOTER
SEWER ROOTER
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
16,654.12
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
REPAIR URINAL STOLLEY RESTROOM
REPAIR SHUT OFF VALVE-1700 BLO
KELLY SUPPLY-REPAIR KITS-BATHR
ACE-COPPER CAPS
CRESCENT ELEC-WIND SCREEN TIES
ACE-WAX RING&SCREW SET-TOILET
ISLAND POOL-CHEMICALS-STOLLEY
ACE-PAINT SUPPLIES-BUECHLER ST
1,121.05
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
2,707.68
5,224.23
3,345.88
JACKS TIRE SERVICE-NEW TIRE
JACKS TIRE SERVICE-TIRE REPAIR
JACKS TIRE SERVICE-NEW TIRE
JACKS TIRE SERV-NEW TIRE
JACKS TIRE SERV-NEW TIRE
JACKS TIRE SERV-TIRE REPAIR
KELLY SUPPLY-BEARINGS-MOWER RE
TITAN MACHINERY-PARTS-MOWER RE
JACKS TIRE-REPAIR MOWER TIRE
CARQUEST-COPPER SPRK PLUGS
CARQUEST-RETURNED SPARK PLUGS
CARQUEST-SPARK PLUGS
JACKS TIRE-REPAIR TIRE-FIELD D
GREEN LINE EQUIP-MOWER PARTS
.00
986.81
CITY WASTE MGM
BANK OF AMERICA
BANK OF AMERICA
11,686.34
.00
4,292.32
3,775.77
TREE LIMBS
MID NEBRASKA DISPO-TRASH SERV
MID-NEBR DISPOSAL-TRASH SERVIC
5,441.01
E & J CLEANING SERVI
CITY WASTE MGM
CITY WASTE MGM
CITY WASTE MGM
BANK OF AMERICA
.00
.00
15,050.00
-10,736.34
JANITORIAL CLEANING OF PARK RE
TREE BRANCHES
TREE DISPOSAL
TREE DISPOSAL
"SUPPLYWORKS-T-PAPER,PAPER TOW
193901
193901
4436
4436
4436
4436
4436
4436
83.3%*
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
38.7%
58.0%
193558
4436
4436
167.1%*
193631
193731
193731
193731
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
86
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044403 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044403 85410
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000070
10044403
10044403
10044403
10044403
10044403
10044403
10044403
85419
85422
85424
85428
85490
85505
85515
2015/09/000031
2015/09/000074
2015/09/000122
2015/09/000122
10044403 85520
TELEPHONE
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
API
API
API
API
APM
API
API
API
API
DIESEL FUEL
10044403 85535
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
10044403
10044403
10044403
10044403
85540
85547
85560
85590
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000100
2015/09/000122
2015/09/000122
CHEMICAL SUPPLIES
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
API
API
API
API
API
MISC OPERATING EQUI
MATERIALS
TREES & SHRUBS
OTHER GENERAL SUPPL
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/18/2015
06/18/2015
25.93
87.70
16.34
-50.68
50.68
VND
VND
VND
VND
VND
100
750
625
2,250
50
200
24,000
77.80
1,263.18
187.32
238.00
VND
VND
VND
VND
17,000
2015/09/000074 06/23/2015 API
API
API
API
API
API
API
API
16,000
1,333.33 VND 000036 VCH373412
1,500
LEGAL NOTICES
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
GASOLINE
06/05/2015
06/23/2015
06/18/2015
06/18/2015
16,000
1,500
000387
010168
010168
010168
010168
VCH373249
VCH373677
VCH373681
VCH373736
VCH373736
100
750
625
2,250
50
200
24,000
010168
000083
010168
010168
VCH373782
VCH374194
VCH374702
VCH375125
17,000
2,124.60 VND 000083 VCH374194
20,500
196.60
196.60
196.60
7.99
30.48
VND
VND
VND
VND
VND
12,000
7,000
3,000
42,750
12.98
195.00
79.98
64.02
3.74
28.99
7.96
VND
VND
VND
VND
VND
VND
VND
20,500
000112
000112
000112
010168
010168
VCH373196
VCH373197
VCH373198
VCH373819
VCH373853
12,000
7,000
3,000
42,750
010168
010168
010168
010168
000082
010168
010168
VCH373659
VCH373715
VCH373761
VCH373871
VCH374479
VCH374753
VCH374920
12,000.01
1,333.33
CITY FINANCE DEPT
998.24
.00
765.00
636.00
2,286.20
.00
143.85
8,868.15
BANK
CITY
BANK
BANK
10,543.15
11,290.30
AQUA
AQUA
AQUA
BANK
BANK
CHEM INC
CHEM INC
CHEM INC
OF AMERICA
OF AMERICA
699.35
5,119.48
107.64
21,709.65
BANK
BANK
BANK
BANK
CITY
BANK
BANK
OF AMERICA
OF AMERICA
OF AMERICA
OF AMERICA
PETTY CASH
OF AMERICA
OF AMERICA
501.76
.00
.00
.00
.00
.00
.00
.00
100.00
-15.00
-11.00
-36.20
50.00
56.15
15,131.85
KENSINGER SERVICE-UNLEAD GAS
REPAIR SHOP MAY 2015
KENSINGER SERV-UNLEAD GAS
KENSINGER SER-UNLEAD GAS-PARKS
2,124.60
CITY FLEET SERVICES
.00
CELL PHONE CHARGES
CENTURYLINK - PHONE BILL-PARKS
CENTURYLINK - PHONE BILL-Georg
CENTURYLINK - Credit Cemetery
CENTURYLINK - Credit Cemet0
.00
.00
.00
.00
.00
.00
1,766.30
OF AMERICA
FLEET SERVICES
OF AMERICA
OF AMERICA
3,999.99
JUNE 2015 PREMIUMS & LIABILITY
129.97
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
6,456.85
REPAIR SHOP MAY 2015
628.27
4,410.20
.00
.00
.00
3,690.00
193553
66.5%
193679
4408
4408
4408
.0%
102.0%*
101.8%*
101.6%*
.0%
71.9%
37.0%
4408
193727
4436
4436
62.0%
193727
4,799.50
2015 LINCOLN POOL CHEMICALS
2015 GRACE POOL CHEMICALS
2015 PIER POOL CHEMICALS
ACE-ACID
ACE-HERBICIDES
.00
.00
.00
951.64
75.0%
11,300.65
1,880.52
2,892.36
17,350.35
ACE-PAINT PRIMER
ISLAND POOL-POOL TEST SUPPLIES
ALAN L WITTE SALES-CHLORINE TE
KELLY SUPPLY-O-RINGS&CARTRIDGE
PETTY CASH REIMBURSEMENT
ACE-PAINT
ACE-KEYS FOR LEGION FIELD
76.6%*
193611
193611
193611
4408
4408
5.8%
73.1%
3.6%
59.4%
4408
4408
4408
4408
193819
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
87
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044403 PARK OPERATIONS
10044403 85590 OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044403 85599
330.00
44.91
80.50
103.56
REFUNDS
TOTAL OPERATING EXPENSES
VND
VND
REF
REF
010168 VCH375038
010168 VCH375123
PRCITY
PRCITY
BANK OF AMERICA
BANK OF AMERICA
NE STATEWIDE ARB-Plant ID labe
ACE-DAWN & INSECT REPEL
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
4436
4436
150
150
.00
.00
.00
150.00
.0%
391,875
391,875
205,420.78
26,760.87
30,567.70
155,886.52
60.2%
73,000
25,000
73,000
25,000
.00
.00
.00
.00
.00
.00
73,000.00
25,000.00
.0%
.0%
98,000
98,000
.00
.00
.00
98,000.00
.0%
1,413,121
1,413,121
833,942.64
115,236.62
30,567.70
548,610.66
61.2%
96 CAPITAL OUTLAY
_________________________________________
10044403 85615
10044403 85625
MACHINERY AND EQUIP
VEHICLES
TOTAL CAPITAL OUTLAY
TOTAL PARK OPERATIONS
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
88
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044404 GREENHOUSE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044404 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044404 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
10044404 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044404 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044404 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044404 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044404 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044404 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
58,317
58,317
35,103.00
5,048.85
2,520.44 REF PRCITY
2,528.41 REF PRCITY
400
WARRANT=060415
WARRANT=061815
400
273.28
39.04
39.04 REF PRCITY
4,492
4,492
2,294.87
349.07
17,616.39
1,749.44
874.72 REF PRCITY
874.72 REF PRCITY
87
87
67.57
7.24
7.24 REF PRCITY
92
92
56.08
7.54
3.79 REF PRCITY
3.75 REF PRCITY
3,063
3,063
2,010.61
253.76
128.83 REF PRCITY
124.93 REF PRCITY
1,339
1,339
111.58 VND 000036 VCH373411
1,004.26
111.58
CITY FINANCE DEPT
51.1%
2,884.61
85.9%*
19.43
77.7%*
RUN=1 CITY BIW
35.92
61.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
2,197.13
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
68.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
126.72
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
60.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
20,501
23,214.00
.00
WARRANT=060415
174.90 REF PRCITY
174.17 REF PRCITY
20,501
.00
1,052.39
65.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
334.74
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
89
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044404 85160
OTHER EMPLOYEE BENE
40
2015/09/000002 06/09/2015 API
40
3.58 VND 008197 VCH373251
TOTAL PERSONNEL SERVICES
32.22
3.58
TASC
.00
7.78
JULY 2015 CAFETERIA FEES
80.6%*
193682
88,331
88,331
58,458.28
7,570.10
.00
29,872.72
66.2%
3,200
3,200
1,998.60
300.00
.00
1,201.40
62.5%
91 OPERATING EXPENSES
_________________________________________
10044404 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10044404
10044404
10044404
10044404
10044404
85317
85324
85325
85335
85410
NATURAL GAS
REPAIR & MAINT - BU
REPAIR & MAINT - MA
REPAIR & MAINT - VE
TELEPHONE
2015/09/000031 06/05/2015 API
10044404 85515
GASOLINE
2015/09/000074 06/23/2015 API
10044404 85535
10044404 85540
10044404 85547
CHEMICAL SUPPLIES
MISC OPERATING EQUI
MATERIALS
2015/09/000031 06/05/2015 API
10044404 85590
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
TOTAL GREENHOUSE
300.00 VND 000091 VCH374519
4,000
600
50
1,000
240
4,000
600
50
1,000
240
22.34 VND 010168 VCH373682
1,000
1,000
93.38 VND 000083 VCH374194
600
300
2,000
600
300
2,000
504.00 VND 010168 VCH373705
CITY ELECT 100-101S
4,087.09
1,899.20
.00
90.57
178.69
INTERDEPARTMENTAL UTILITY BILL
.00
.00
.00
.00
22.34
BANK OF AMERICA
277.65
CITY FLEET SERVICES
.00
722.35
REPAIR SHOP MAY 2015
.00
.00
504.00
BANK OF AMERICA
-87.09
-1,299.20
50.00
909.43
61.31
CENTURYLINK - PHONE BILL-Green
93.38
.00
.00
504.00
.00
.00
.00
.00
.00
.00
.00
.00
193817
102.2%*
316.5%*
.0%
9.1%
74.5%
4408
27.8%
193727
600.00
300.00
1,496.00
COUNTRY GREENERY-POTTING SOIL
.0%
.0%
25.2%
4408
2,800
2,800
1,301.29
.00
.00
1,498.71
46.5%
15,790
15,790
10,337.09
919.72
.00
5,452.91
65.5%
104,121
104,121
68,795.37
8,489.82
.00
35,325.63
66.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
90
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044405 CEMETERY
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044405 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044405 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044405 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
282,432
282,432
193,380.90
25,057.76
12,226.88 REF PRCITY
12,830.88 REF PRCITY
3,000
WARRANT=060415
WARRANT=061815
3,000
4,327.82
480.97
391.47 REF PRCITY
89.50 REF PRCITY
21,835
21,835
14,247.35
1,854.33
53,580.24
6,212.95
2,975.05 REF PRCITY
3,237.90 REF PRCITY
417
310.31
34.72
34.72 REF PRCITY
437
437
298.34
33.62
16.81 REF PRCITY
16.81 REF PRCITY
14,561
14,561
1,146.32
581.10 REF PRCITY
565.22 REF PRCITY
20,835
20,835
1,736.25 VND 000036 VCH373411
15,626.25
1,736.25
CITY FINANCE DEPT
22,303.76
65.3%
70.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
106.69
74.4%
RUN=1 CITY BIW
138.66
68.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
144.3%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
10,731.57
7,587.65
.00
WARRANT=060415
68.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
417
-1,327.82
.00
WARRANT=060415
WARRANT=061815
75,884
89,051.10
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
916.48 REF PRCITY
937.85 REF PRCITY
75,884
.00
3,829.43
73.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
5,208.75
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
91
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044405 85160
OTHER EMPLOYEE BENE
250
2015/09/000002 06/09/2015 API
10044405 85161
250
87.44
7.16 VND 008197 VCH373251
VEBA
1,560
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,560
7.16
TASC
162.56
JULY 2015 CAFETERIA FEES
1,128.00
120.00
60.00 REF PRCITY
60.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
35.0%
193682
432.00
72.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
421,211
421,211
293,718.22
36,684.08
.00
127,492.78
69.7%
12,750
12,750
3,864.74
496.00
.00
8,885.26
30.3%
91 OPERATING EXPENSES
_________________________________________
10044405 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10044405 85317
NATURAL GAS
1,500
2015/09/000075 06/11/2015 API
10044405 85324
10044405 85325
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044405 85335
REPAIR & MAINT - BU
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
496.00 VND 000091 VCH374519
API
API
API
API
API
API
API
API
API
API
REPAIR & MAINT - VE
2015/09/000075 06/11/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
1,500
16.56 VND 000336 VCH374286
2,000
9,750
30.71
21.95
75.54
152.16
7.39
9.52
68.81
618.90
31.47
15.49
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
14,750
2,000
9,750
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373523
VCH373742
VCH373857
VCH373960
VCH373989
VCH374001
VCH374855
VCH374903
VCH375045
VCH375138
14,750
73.76 VND 005138 VCH374282
1,743.47 VND 010168 VCH374939
29.88 VND 010168 VCH375068
CITY ELECT 100-101S
1,255.49
16.56
NORTHWESTERN
1,806.76
9,513.04
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
8,255.12
INTERDEPARTMENTAL UTILITY BILL
.00
244.51
NATURAL GAS BILL
.00
1,031.94
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
83.7%*
193701
193.24
-37.76
GREEN LINE EQUIP- Module
JACKS TIRE SERVICE - tire repa
GREEN LINE EQ-mower repair par
GREEN LINE EQUIP-mower blades
GREEN LINE EQUIP-grass deflect
CARQUEST 1991 - fuel filters
GREEN LINE-Mower repair parts
CONSTRUCTION RENTAL-Pole saw
GREENLINE EQUIP-Blade Switch
GRONES OUTDR-Flex cable/saw
1,847.11
FLEET SERVICES
BANK OF AMERICA
BANK OF AMERICA
.00
274.72
193817
6,494.88
FUEL FOR DIGGER
"SAPP BROS-Unleaded gasoline,O
MENARDS-Mower oil
90.3%*
100.4%*
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
56.0%
193700
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
92
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044405 85350
SANITATION SERVICE
525
2015/09/000122 06/18/2015 API
10044405 85390
10044405 85405
10044405 85410
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000070
10044405 85419
57.88 VND 010168 VCH374798
OTHER PROPERTY SERV
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
3,500
1,900
API
API
API
APM
600
2.90
50.68
50.68
-50.68
LEGAL NOTICES
TRAVEL & TRAINING
UNINSURED LOSS
OFFICE SUPPLIES
1,700
1,000
279
10044405 85540
10044405 85547
4,000
VCH373250
VCH373676
VCH373683
VCH373736
200
1,700
1,000
279
4,000
514.00 VND 000891 VCH373443
SMALL TOOLS & PARTS
MATERIALS
2015/09/000031 06/05/2015 API
10044405 85590
000387
010168
010168
010168
29.87 VND 010168 VCH374739
CHEMICAL SUPPLIES
2015/09/000010 06/09/2015 API
600
84.30 VND 010168 VCH374946
2015/09/000122 06/18/2015 API
10044405 85535
VND
VND
VND
VND
200
2015/09/000122 06/18/2015 API
10044405 85428
10044405 85465
10044405 85505
3,500
1,900
158.33 VND 000036 VCH373412
TELEPHONE EXPENSE
06/09/2015
06/05/2015
06/05/2015
06/09/2015
525
SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
TOTAL OPERATING EXPENSES
2,500
2,150
2,500
2,150
14.49 VND 010168 VCH373707
3,000
3,000
20.97 VND 010168 VCH373827
19.99 VND 010168 VCH374834
17.90 VND 010168 VCH374863
428.28
57.88
BANK OF AMERICA
2,159.43
1,425.01
CITY FINANCE DEPT
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
VAN DIEST SUPPLY CO
3,249.49
61.71
.00
.00
.00
1,700.00
331.00
153.65
.00
200.38
.00
254.00
.00
81.6%*
4436
61.7%
75.0%
193553
70.1%
193679
4408
4408
69.1%
4436
.0%
66.9%
44.9%
4436
95.0%*
193689
206.21
676.20
ACE HDWE - Rosebush
58.86
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
VESSEL 3-WAY HERBICIDE
.00
14.49
BANK OF AMERICA
179.54
OFFICEMAX-Office Supplies
514.00
2,293.79
1,219.80
.00
GI INDEPENDENT -Flower ad
.00
.00
29.87
3,799.62
1,340.57
474.99
LONG DISTANCE
CENTURYLINK - PHONE BILL-Cemet
CENTURYLINK -PHONE BILL-Cemete
CENTURYLINK - Credit Cemet0
84.30
.00
669.00
125.35
.00
.00
JUNE 2015 PREMIUMS & LIABILITY
53.58
138.29
96.72
MID-NEBR DISPOSAL-TRASH SERVIC
.00
158.33
420.46
.00
91.8%*
68.5%
4408
-249.49
ACE HDWE - light bulbs
MENARDS-Locks for gas pump
GRAND ISLAND ACE HDWE - video
62,104
62,104
40,623.67
4,362.92
528.72
20,951.61
0
0
73,740.49
.00
.00
-73,740.49
108.3%*
4408
4436
4436
66.3%
96 CAPITAL OUTLAY
_________________________________________
10044405 85615
MACHINERY AND EQUIP
100.0%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
93
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL CAPITAL OUTLAY
TOTAL CEMETERY
0
0
73,740.49
.00
.00
-73,740.49
100.0%
483,315
483,315
408,082.38
41,047.00
528.72
74,703.90
84.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
94
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044501 RECREATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044501 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044501 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044501 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044501 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044501 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044501 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044501 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10044501 85160
10044501 85161
OTHER EMPLOYEE BENE
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
81,650
81,650
59,368.30
6,292.98
3,146.49 REF PRCITY
3,146.49 REF PRCITY
6,246
WARRANT=060415
WARRANT=061815
6,246
4,288.56
465.08
232.27 REF PRCITY
232.81 REF PRCITY
11,281
6,079.79
698.45
345.38 REF PRCITY
353.07 REF PRCITY
84.05
9.75
9.75 REF PRCITY
147
147
100.92
11.32
5.66 REF PRCITY
5.66 REF PRCITY
4,899
4,899
3,554.07
377.58
188.79 REF PRCITY
188.79 REF PRCITY
410
410
34.17 VND 000036 VCH373411
100
1,170
100
1,170
45.00 REF PRCITY
45.00 REF PRCITY
307.49
34.17
CITY FINANCE DEPT
.00
837.90
5,201.21
32.95
46.08
68.7%
1,344.93
72.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
.00
WARRANT=060415
WARRANT=061815
71.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
102.51
JUNE 2015 WORKERS COMP
.00
90.00
53.9%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
68.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,957.44
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
72.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
117
22,281.70
.00
WARRANT=060415
WARRANT=061815
11,281
117
.00
75.0%
193553
100.00
332.10
RUN=1 CITY BIW
RUN=1 CITY BIW
.0%
71.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
95
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL PERSONNEL SERVICES
106,020
106,020
74,621.08
7,979.33
.00
31,398.92
70.4%
1,200
1,200
41.27
32.95
.00
1,158.73
3.4%
91 OPERATING EXPENSES
_________________________________________
10044501 85335
REPAIR & MAINT - VE
2015/09/000031 06/05/2015 API
10044501 85405
32.95 VND 010168 VCH373629
INSURANCE PREMIUMS
500
2015/09/000010 06/09/2015 API
10044501 85410
10044501 85416
6,500
225
1,750
225
1,750
641.90 VND 010168 VCH373940
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
10044501 85515
10044501 85590
6,500
1,557.94 VND 010168 VCH373531
2015/09/000131 06/15/2015 API
10044501 85505
1,084
124.84 VND 000387 VCH373249
38.57 VND 010168 VCH373679
DUES & SUBSCRIPTION
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
10044501 85490
1,084
ADVERTISING
2015/09/000031 06/05/2015 API
10044501 85422
10044501 85428
41.67 VND 000036 VCH373412
TELEPHONE
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
500
GASOLINE
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
0
0
51.89 VND 008720 VCH374434
1,362
1,362
40.57 VND 010168 VCH374660
BANK OF AMERICA
374.99
JACKS TIRE SERV-Oil change for
41.67
CITY FINANCE DEPT
1,300.56
7,018.91
250.00
1,036.02
499.40
-216.56
.00
.00
.00
-518.91
-25.00
713.98
ALG ALGT_TRAVEL - Steve and I'
51.89
.00
-499.40
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEES
1,450.83
40.57
BANK OF AMERICA
.00
75.0%
193553
120.0%*
193679
4408
GI INDEPENDE - Guide insertion
.00
641.90
BANK OF AMERICA
.00
CELL PHONE CHARGES
CENTURYLINK - Phone Bill
1,557.94
BANK OF AMERICA
125.01
JUNE 2015 PREMIUMS & LIABILITY
163.41
STATE DIV OF COMM
BANK OF AMERICA
.00
4408
-88.83
CAPITAL BUSINESS-Copier Chgs
108.0%*
4408
111.1%*
59.2%
4408
100.0%*
4429
106.5%*
4436
500
200
500
200
210.06
.00
.00
.00
.00
.00
289.94
200.00
42.0%
.0%
13,321
13,321
12,182.04
2,530.33
.00
1,138.96
91.4%
0
0
2,051.40
.00
21,543.00
-23,594.40
96 CAPITAL OUTLAY
_________________________________________
10044501 85625
VEHICLES
100.0%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
96
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL CAPITAL OUTLAY
TOTAL RECREATION
0
0
2,051.40
.00
21,543.00
-23,594.40
100.0%
119,341
119,341
88,854.52
10,509.66
21,543.00
8,943.48
92.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
97
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044508 PLAYGROUND
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044508 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044508 85115
26,551
4,688.07
4,688.07
173.69 REF PRCITY
4,514.38 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044508 85150
26,551
2,032
WARRANT=060415
WARRANT=061815
2,032
358.63
358.63
13.28 REF PRCITY
345.35 REF PRCITY
WORKERS COMPENSATIO
450
2015/09/000010 06/09/2015 API
450
337.50
37.50
CITY FINANCE DEPT
21,862.93
17.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
37.50 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
.00
1,673.37
17.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
112.50
JUNE 2015 WORKERS COMP
75.0%
193553
29,033
29,033
5,384.20
5,084.20
.00
23,648.80
18.5%
550
550
115.35
115.35
.00
434.65
21.0%
91 OPERATING EXPENSES
_________________________________________
10044508 85428
TRAVEL & TRAINING
2015/09/000230 06/18/2015 PRJ
10044508 85490
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
OTHER EXPENDITURES
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
115.35 REF PRCITY
7,500
30.00
76.97
85.30
108.57
25.00
15.81
6.98
49.76
99.52
VND
VND
VND
VND
VND
VND
VND
VND
VND
WARRANT=061815
7,500
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373717
VCH374616
VCH374666
VCH374685
VCH374686
VCH374696
VCH374725
VCH374818
VCH374849
2,636.83
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
497.91
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
RUN=1 CITY BIW
.00
4,863.17
CITY OF GI-Playground Program
S&S WORLDWIDE-CRAFT KITS
NATIONALARC-Explore Archery Aw
WAL-MART-Archery Supplies
USA ARCHERY-Explore Archery Me
WAL-MART-Archery Supplies
ACE HDWE - Glue for Archery
WAL-MART-Phones/Minutes for Pa
WAL-MART-Phones/Minutes for Pa
35.2%
4408
4436
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
98
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044508 85599
REFUNDS
2015/09/000074 06/23/2015 API
2015/09/000130 06/23/2015 API
TOTAL OPERATING EXPENSES
TOTAL PLAYGROUND
150
150
50.00 VND 999999 VCH374264
15.00 VND 999999 VCH375242
65.00
65.00
REFUND CUSTOMERS
REFUND CUSTOMERS
.00
85.00
REFUND ARCHERY CAMP
REFUND SWIM LESSONS - SAMANTHA
43.3%
193887
193893
8,200
8,200
2,817.18
678.26
.00
5,382.82
34.4%
37,233
37,233
8,201.38
5,762.46
.00
29,031.62
22.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
99
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044510 MUNICIPAL BAND CONCERTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10044510 85490
OTHER EXPENDITURES
2015/09/000074 06/23/2015 API
2015/09/000074 06/23/2015 API
2015/09/000086 06/23/2015 API
3,500
3,500
500.00 VND 010333 VCH374159
450.00 VND 007949 VCH374231
450.00 VND 006146 VCH374308
1,400.00
1,400.00
BASES LOADED BAND
KUCERA, BILL
AWARDS PLUS
2,000.00
100.00
BAND CONCERT
BAND CONCERT
BAND CONCERT
97.1%*
193804
193858
193803
TOTAL OPERATING EXPENSES
3,500
3,500
1,400.00
1,400.00
2,000.00
100.00
97.1%
TOTAL MUNICIPAL BAND CONCERTS
3,500
3,500
1,400.00
1,400.00
2,000.00
100.00
97.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
100
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044511 CHILDREN'S THEATRE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044511 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044511 85115
1,560
971.20
971.20
485.60 REF PRCITY
485.60 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044511 85150
1,560
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
TOTAL PERSONNEL SERVICES
119
WARRANT=060415
WARRANT=061815
119
74.30
74.30
37.15 REF PRCITY
37.15 REF PRCITY
8
.00
8
.67 VND 000036 VCH373411
5.99
.67
CITY FINANCE DEPT
62.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
588.80
44.70
62.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
2.01
JUNE 2015 WORKERS COMP
74.9%
193553
1,687
1,687
1,051.49
1,046.17
.00
635.51
62.3%
1,000
1,000
615.13
.00
.00
384.87
61.5%
TOTAL OPERATING EXPENSES
1,000
1,000
615.13
.00
.00
384.87
61.5%
TOTAL CHILDREN'S THEATRE
2,687
2,687
1,666.62
1,046.17
.00
1,020.38
62.0%
91 OPERATING EXPENSES
_________________________________________
10044511 85490
OTHER EXPENDITURES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
101
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044513 FLAG FOOTBALL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044513 85105
10044513 85115
10044513 85150
SALARIES - REGULAR
F.I.C.A. PAYROLL TA
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
TOTAL PERSONNEL SERVICES
2,313
177
10
2,313
177
10
.83 VND 000036 VCH373411
1,529.30
116.99
7.51
CITY FINANCE DEPT
.00
.00
.83
.00
.00
.00
783.70
60.01
2.49
JUNE 2015 WORKERS COMP
66.1%
66.1%
75.1%
193553
2,500
2,500
1,653.80
.83
.00
846.20
66.2%
1,000
100
1,000
100
548.40
.00
.00
.00
.00
.00
451.60
100.00
54.8%
.0%
TOTAL OPERATING EXPENSES
1,100
1,100
548.40
.00
.00
551.60
49.9%
TOTAL FLAG FOOTBALL
3,600
3,600
2,202.20
.83
.00
1,397.80
61.2%
91 OPERATING EXPENSES
_________________________________________
10044513 85490
10044513 85599
OTHER EXPENDITURES
REFUNDS
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
102
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044514 HERSHEY
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044514 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044514 85115
469
621.82
621.82
326.12 REF PRCITY
295.70 REF PRCITY
F.I.C.A. PAYROLL TA
36
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044514 85150
469
WARRANT=060415
WARRANT=061815
36
47.57
47.57
24.91 REF PRCITY
22.66 REF PRCITY
WORKERS COMPENSATIO
3
2015/09/000010 06/09/2015 API
3
2.25
.25
CITY FINANCE DEPT
-152.82
132.6%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
.25 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
.00
-11.57
132.1%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.75
JUNE 2015 WORKERS COMP
75.0%
193553
508
508
671.64
669.64
.00
-163.64
132.2%
0
0
156.45
156.45
.00
-156.45
100.0%*
91 OPERATING EXPENSES
_________________________________________
10044514 85428
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
10044514 85490
OTHER EXPENDITURES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
156.45 VND 010168 VCH373644
200
200
125.72 VND 010168 VCH375090
62.10 VND 010168 VCH375101
BANK OF AMERICA
187.82
WALMART-Track Meet Supplies
187.82
BANK OF AMERICA
BANK OF AMERICA
.00
12.18
SAMSCLUB-GATORADE-TRACK MEET
EILEENS-COOKIES-TRACK MEET
4408
93.9%*
4436
4436
TOTAL OPERATING EXPENSES
200
200
344.27
344.27
.00
-144.27
172.1%
TOTAL HERSHEY
708
708
1,015.91
1,013.91
.00
-307.91
143.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
103
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044517 STOLLEY PARK RAILWAY
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044517 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044517 85115
16,380
11,445.31
3,560.02
1,659.51 REF PRCITY
1,900.51 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044517 85150
16,380
1,253
WARRANT=060415
WARRANT=061815
1,253
875.63
272.37
126.97 REF PRCITY
145.40 REF PRCITY
WORKERS COMPENSATIO
310
2015/09/000010 06/09/2015 API
310
232.51
25.83
CITY FINANCE DEPT
4,934.69
69.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
25.83 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
.00
377.37
69.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
77.49
JUNE 2015 WORKERS COMP
75.0%
193553
17,943
17,943
12,553.45
3,858.22
.00
5,389.55
70.0%
3,250
3,250
1,000.82
38.80
.00
2,249.18
30.8%
91 OPERATING EXPENSES
_________________________________________
10044517 85325
REPAIR & MAINT - MA
2015/09/000031 06/05/2015 API
10044517 85416
10044517 85424
ADVERTISING
LICENSE & FEES
2015/09/000002 06/09/2015 API
10044517 85453
10044517 85490
CASH OVER & SHORT
OTHER EXPENDITURES
2015/09/000131 06/15/2015 API
10044517 85510
10044517 85515
CLEANING SUPPLIES
GASOLINE
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
38.80 VND 010168 VCH374004
100
230
100
230
180.00 VND 003736 VCH373227
50
200
50
200
35.92 VND 008720 VCH374436
100
1,100
100
1,100
41.10 VND 010168 VCH373782
46.58 VND 010168 VCH374702
BANK OF AMERICA
.00
180.00
NAPA-OCTANE BOOST
.00
180.00
NEBRASKA DEPARTMENT
.00
473.20
.00
.00
4408
100.00
50.00
ANNUAL TRAIN INSPECTION
.00
35.92
.00
.00
193657
50.00
-273.20
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEE
.00
484.23
BANK OF AMERICA
BANK OF AMERICA
.00
87.68
.00
.00
.0%
78.3%*
100.00
615.77
KENSINGER SERVICE-UNLEAD GAS
KENSINGER SERV-UNLEAD GAS
.0%
236.6%*
4430
.0%
44.0%
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
104
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044517 85545
10044517 85547
CONCESSION SUPPLIES
FOOD & BEVERAGES
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10044517 85590
OTHER GENERAL SUPPL
TOTAL OPERATING EXPENSES
TOTAL STOLLEY PARK RAILWAY
275
2,250
275
2,250
181.55 VND 010168 VCH373865
83.56 VND 010168 VCH374003
164.57 VND 010168 VCH374866
.00
1,877.31
.00
429.68
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
275.00
372.69
SAMS-RESALE CONCESSION ITEMS
SAMS-FOOD&DRINK FOR RE-SALE
SAMSCLUB-RESALE FOOD-CONCESSIO
.0%
83.4%*
4408
4408
4436
300
300
378.91
.00
.00
-78.91
126.3%*
7,855
7,855
4,394.47
772.08
.00
3,460.53
55.9%
25,798
25,798
16,947.92
4,630.30
.00
8,850.08
65.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
105
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044518 FIELDHOUSE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044518 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044518 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
10044518 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044518 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044518 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044518 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044518 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044518 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
103,907
103,907
97,524.59
3,766.99
1,883.50 REF PRCITY
1,883.49 REF PRCITY
500
WARRANT=060415
WARRANT=061815
500
232.17
40.38
40.38 REF PRCITY
7,986
7,986
7,253.39
274.24
11,661
6,249.69
702.52
352.22 REF PRCITY
350.30 REF PRCITY
89
89
63.13
7.37
7.37 REF PRCITY
87
87
60.63
6.78
3.39 REF PRCITY
3.39 REF PRCITY
2,890
2,890
2,141.61
228.46
115.44 REF PRCITY
113.02 REF PRCITY
1,741
1,741
145.08 VND 000036 VCH373411
1,305.76
145.08
CITY FINANCE DEPT
90.8%*
5,411.31
53.6%
25.87
70.9%
26.37
69.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
732.61
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
46.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
267.83
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
93.9%*
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
6,382.41
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
138.45 REF PRCITY
135.79 REF PRCITY
11,661
.00
748.39
74.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
435.24
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
106
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044518 85160
OTHER EMPLOYEE BENE
100
2015/09/000002 06/09/2015 API
10044518 85161
100
50.12
7.16 VND 008197 VCH373251
HRA-VEBA
390
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
390
7.16
TASC
49.88
JULY 2015 CAFETERIA FEES
278.92
30.00
15.00 REF PRCITY
15.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
50.1%
193682
111.08
71.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
129,351
129,351
115,160.01
5,208.98
.00
14,190.99
38
38
207.00
23.00
.00
-169.00
89.0%
91 OPERATING EXPENSES
_________________________________________
10044518 85241
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
10044518 85305
UTILITY SERVICES
2015/09/000002 06/09/2015 API
2015/09/000122 06/18/2015 API
10044518 85317
NATURAL GAS
2015/09/000024 06/04/2015 API
10044518 85324
REPAIR & MAINT - BU
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
10044518 85325
10044518 85350
REPAIR & MAINT - MA
SANITATION SERVICE
2015/09/000122 06/18/2015 API
10044518 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044518 85410
TELEPHONE EXPENSE
23.00 VND 000035 VCH373403
24,000
24,000
2,291.75 VND 000092 VCH373209
62.75 VND 010168 VCH374590
9,000
9,000
70.28 VND 000336 VCH373458
5,000
5,000
120.00 VND 000205 VCH373211
667.68 VND 010168 VCH373631
500
300
500
300
36.90 VND 010168 VCH374802
500
500
41.67 VND 000036 VCH373412
2,000
2,000
CITY IT DEPT
25,259.85
JUNE 2015 IT SUPPORT
2,354.50
.00
193554
-1,259.85
CITY UTIL ELEC/WAT/S UTILITY BILL
BANK OF AMERICA
JACKSON SERV-Fieldhouse Servic
8,253.54
70.28
NORTHWESTERN
12,472.23
.00
746.46
NATURAL GAS BILL
787.68
120.00
.00
36.90
BANK OF AMERICA
374.99
-7,592.23
64.49
3.32
MID-NEBR DISPOSAL-TRASH SERVIC
41.67
CITY FINANCE DEPT
1,538.79
.00
.00
.00
125.01
JUNE 2015 PREMIUMS & LIABILITY
.00
.00
105.2%*
193556
4436
91.7%*
193540
CORNHUSKER PARKING L CLEANING FIELDHOUSE AND WATER
BANK OF AMERICA
CONTINENTAL FIRE SPRIN-Repair
435.51
296.68
544.7%*
461.21
251.8%*
193626
4408
87.1%*
98.9%*
4436
75.0%
193553
76.9%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
107
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044518
10044518
10044518
10044518
85416
85428
85453
85490
ADVERTISING
TRAVEL & TRAINING
CASH OVER & SHORT
OTHER EXPENDITURES
2015/09/000131 06/15/2015 API
2015/09/000131 06/15/2015 API
10044518 85510
10044518 85547
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000100
10044518 85590
CLEANING SUPPLIES
PROGRAM EXPENSES
06/05/2015
06/05/2015
06/05/2015
06/23/2015
API
API
API
API
OTHER GENERAL SUPPL
2015/09/000069 06/09/2015 APM
10044518 85599
REFUNDS
TOTAL OPERATING EXPENSES
TOTAL FIELDHOUSE
0
500
50
5,000
0
500
50
5,000
629.97
.00
-3.00
2,633.00
6.66 VND 008792 VCH374396
293.29 VND 010238 VCH374398
550
21,000
55.00
10.76
99.00
1,972.80
VND
VND
VND
VND
12,750
550
21,000
010168
010168
010168
010349
12,750
.00
2,137.56
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
SAYLER SCREENPRINTIN
11,344.27
268.00 VND 010168 VCH373521
.00
.00
.00
.00
-629.97
500.00
53.00
2,367.00
CHASE PAYMENTECH
MAY 2015 CREDIT CARD USER FEES
BLUEFIN PAYMENT SYST MAY 2015 CREDIT CARD USER FEE
190.93
20,173.06
VCH373489
VCH373517
VCH373554
VCH374472
.00
.00
.00
299.95
359.07
826.94
CHARTER COMM - FH internet bil
ACE HDWE - Tape
ESYNAPTIC RESPONSE-POS bill
T-SHIRTS FOR TRACK MEET
268.00
BANK OF AMERICA
.00
.00
.00
1,405.73
MENARDS - Ladder for FH
100.0%*
.0%
6.0%
52.7%
4412
4414
34.7%
96.1%*
4408
4408
4408
193897
89.0%*
0
2,000
2,000
1,550.00
.00
.00
450.00
77.5%*
83,188
83,188
85,356.82
6,019.54
120.00
-2,288.82
102.8%
212,539
212,539
200,516.83
11,228.52
120.00
11,902.17
94.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
108
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 WATER PARK
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044525 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044525 85110
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044525 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044525 85125
10044525 85130
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
10044525 85145
13,370
API
API
API
API
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
62,142.86
11,492
0
168.13
29.24
6,623.70
4,744.54
11,492
7,507.01
832.78
411.32 REF PRCITY
421.46 REF PRCITY
73
53.36
5.92
5.92 REF PRCITY
61
61
42.91
4.82
2.41 REF PRCITY
2.41 REF PRCITY
0
64.95
357.21
146.14
17.00
VND
VND
VND
VND
2,030
0
010168
010168
010168
010168
VCH373601
VCH373847
VCH374667
VCH374790
2,030
82.10 REF PRCITY
80.34 REF PRCITY
3,248.48
BANK
BANK
BANK
BANK
OF
OF
OF
OF
1,524.08
585.30
AMERICA
AMERICA
AMERICA
AMERICA
6,746.30
3,984.99
19.64
18.09
.00
.00
WARRANT=060415
WARRANT=061815
65.3%
73.1%
70.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
-3,248.48
SWIMOUTLET.COM - Staff swim su
"Blank Shirts, Inc. - IO unifo
SWIMOUTLET-Swim Suit Bottoms
T SHIRT ENGINEERS-Security Shi
162.44
49.5%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
100.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
-168.13
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
30.3%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
203,144.20
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
13,370
73
.00
WARRANT=060415
WARRANT=061815
1,745.11 REF PRCITY
2,999.43 REF PRCITY
CLOTHING ALLOWANCE
06/05/2015
06/05/2015
06/18/2015
06/18/2015
88,108.80
29.24 REF PRCITY
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044525 85140
0
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
291,253
22,857.59 REF PRCITY
39,285.27 REF PRCITY
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
10044525 85115
291,253
505.92
RUN=1 CITY BIW
RUN=1 CITY BIW
100.0%*
4408
4408
4436
4436
75.1%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
109
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
5,661
5,661
4,245.75
471.75 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
471.75
CITY FINANCE DEPT
.00
1,415.25
JUNE 2015 WORKERS COMP
75.0%
193553
323,940
323,940
111,522.22
68,979.65
.00
212,417.78
34.4%
4,000
4,000
2,905.73
1,060.00
.00
1,094.27
72.6%
91 OPERATING EXPENSES
_________________________________________
10044525 85208
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044525 85241
LIFEGUARD TRAINING
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
10044525 85245
10044525 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10044525 85317
NATURAL GAS
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2,764
REPAIR & MAINT - BU
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
010168
010168
010168
010168
010168
VCH374864
VCH374870
VCH374881
VCH374975
VCH374990
2,764
220.00 VND 000035 VCH373404
250
40,000
250
40,000
1,088.63 VND 000091 VCH374519
20,000
175.71 VND 000336 VCH373459
REPAIR & MAIN-LD IM
2015/09/000122 06/18/2015 API
10044525 85324
VND
VND
VND
VND
VND
20,000
2015/09/000024 06/04/2015 API
10044525 85319
432.00
490.00
57.00
54.00
27.00
150
150
11.89 VND 010168 VCH375104
20,000
174.24
16.99
9.48
28.44
118.20
41.43
20.75
164.00
12.97
15.98
100.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
20,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010124
VCH373542
VCH373556
VCH373674
VCH373708
VCH373787
VCH373809
VCH373850
VCH373858
VCH373984
VCH374002
VCH374213
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
1,980.00
ARC
ARC
ARC
ARC
ARC
220.00
CITY IT DEPT
.00
6,290.41
.00
784.00
JUNE 2015 IT SUPPORT
.00
1,088.63
CITY ELECT 100-101S
498.19
.00
.00
.00
250.00
33,709.59
19,501.81
NATURAL GAS BILL
11.89
11.89
BANK OF AMERICA
880.00
71.6%
.0%
15.7%
193817
2.5%
193540
138.11
ISLAND SPRINKLER-IRRIGATION PA
1,702.78
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
COUNTY LINE STRIPING
.00
4436
4436
4436
4436
4436
193554
INTERDEPARTMENTAL UTILITY BILL
175.71
NORTHWESTERN
14,288.28
SERVICES/TRAIN-Lifeguard U
SERVICES/TRAIN-Lifeguard C
SERVICES/TRAIN-CPR Update
SERVICES-Lifeguard Recert
SERVICES-Lifeguard Recert
4,831.72
DIAMOND VOGEL-Pool Paint
ACE HDWE - IO sign
HOOKER BROS-Sand for IO
HOOKER BROS-Sand for IO
"ACE-PAINT SUPPLIES,CLOCK&BATT
ACE-WAX & HOOKS
"ACE-SPRING, ELBOW, CONNWCTORS
HYDRO TECH-service fire exting
MENARDS-KITCHEN FAUCET
ACE-PUTTY KNIFE
STRIPING PARKING LOTS AT WATER
7.9%
4436
75.8%*
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193823
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
110
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 WATER PARK
10044525 85324 REPAIR & MAINT - BU
2015/09/000074 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044525 85325
2015/09/000002
2015/09/000031
2015/09/000122
2015/09/000122
10044525 85335
10044525 85340
10044525 85350
REPAIR & MAINT - MA
06/09/2015
06/05/2015
06/18/2015
06/18/2015
API
API
API
API
REPAIR & MAINT - VE
RENT
SANITATION SERVICE
2015/09/000122 06/18/2015 API
10044525 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044525 85410
TELEPHONE
2015/09/000002
2015/09/000031
2015/09/000033
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044525 85422
ADVERTISING
06/09/2015
06/05/2015
06/09/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
VND
VND
VND
VND
VND
VND
VND
VND
10,000
1,309.00
38.00
45.52
14.99
VND
VND
VND
VND
0
600
1,200
25,300
DUES & SUBSCRIPTION
VCH374213
VCH374693
VCH374710
VCH374746
VCH374779
VCH375002
VCH375074
VCH375115
10,000
000100
010168
010168
010168
VCH373248
VCH373750
VCH374656
VCH375091
0
600
1,200
25,300
2,108.33 VND 000036 VCH373412
2,000
77.36 VND 010168 VCH373687
8,000
API
API
API
API
API
API
API
010124
010168
010168
010168
010168
010168
010168
010168
135.10 VND 010168 VCH375027
2,000
2015/09/000031 06/05/2015 API
10044525 85416
800.00
8.98
13.98
82.50
32.00
6.99
10.73
45.12
100.00
873.52
52.67
187.00
220.00
793.00
650.00
VND
VND
VND
VND
VND
VND
VND
400
8,000
001241
010168
004486
010168
010168
010168
010168
VCH373240
VCH373525
VCH374119
VCH374877
VCH374935
VCH374991
VCH375070
400
COUNTY LINE STRIPING
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
2,606.91
1,407.51
SEWER ROOTER
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
15.00
.00
530.67
.00
.00
135.10
CITY FINANCE DEPT
5,864.54
696.50
-15.00
600.00
669.33
.00
6,324.99
.00
1,328.82
CENTURYLINK - PHONE BILL-Water
2,876.19
PLATT DUETSCHE
BANK OF AMERICA
O'NEILL SHOPPER
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
.00
JUNE 2015 PREMIUMS & LIABILITY
77.36
BANK OF AMERICA
393.09
MID-NEBR DISPOSAL-TRASH SERVIC
2,108.33
671.18
7,000.00
INSTALL CIRCULATING PUMPS
ADVANC COMPRES-PRESSURE SWITCH
Midwest Restaurant-O RING KIT
MENARDS-PIPE FOR DECK DRAIN
BANK OF AMERICA
18,975.01
STRIPING PARKING LOTS AT WATER
ACE-ANT KILLER
ACE-FAUCET SUPPLY LINE
HEARTLAND ELECTRIC-Service Cal
A & D WELDING-WELD STUD TO PIP
ACE-FLAG POLE ROPE
MENARDS-UNIONS FOR DECK HYDRAN
EAKES-CHAIR CASTERS
.00
2,135.46
AD ON SIGN
CERTIFIED FOLDER DISPL-IO adve
ISLAND OASIS AD
NORFOLK AREA SHOPPER-IO ad
NORTH PLATTE TELEGR-IO Adverti
LEGACY COMM-Radio Ads for IO
VOICE NEWS - IO Ad
.00
.00
-296.50
193823
4436
4436
4436
4436
4436
4436
4436
96.1%*
193678
4408
4436
4436
100.0%*
.0%
44.2%
4436
75.0%
193553
33.6%
4408
73.3%
193670
4408
193664
4436
4436
4436
4436
174.1%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
111
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 85424
10044525 85428
LICENSE & FEES
TRAVEL & TRAINING
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044525 85447
MERCHANDISE MATERIA
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044525 85453
2015/09/000028
2015/09/000034
2015/09/000072
2015/09/000188
2015/09/000188
10044525 85490
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000068
2015/09/000131
10044525 85505
06/04/2015
06/05/2015
06/10/2015
06/30/2015
06/30/2015
CRP
CRP
CRP
CRP
CRP
OTHER EXPENDITURES
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/15/2015
API
API
API
APM
API
OFFICE SUPPLIES
CLEANING SUPPLIES
2015/09/000031 06/05/2015 API
10044525 85515
GASOLINE
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
10044525 85535
CHEMICAL SUPPLIES
2015/09/000100 06/23/2015 API
500
700
159.00
316.58
.00
115.30
76.08 REF PRCITY
39.22 REF PRCITY
3,600
3,600
400
10.00
-1.00
11.00
-3.75
15.00
REF
REF
REF
REF
REF
4,000
59.50
95.00
20.24
129.98
182.28
VND
VND
VND
VND
VND
2,620.96
100
400
ISLAND
ISLAND
ISLAND
ISLAND
ISLAND
4,000
VCH373605
VCH373780
VCH373852
VCH373834
VCH374414
100
-41.96 VND 010168 VCH374978
200
200
20.00 VND 010168 VCH373939
0
0
41.10 VND 010168 VCH373782
41.10 VND 010168 VCH374702
17,200
423.46
BANK OF AMERICA
BANK OF AMERICA
31.25
176668
176712
176901
177639
177641
010168
010168
010168
010168
008370
.00
.00
WARRANT=060415
WARRANT=061815
118.62 VND 010168 VCH374697
304.84 VND 010168 VCH375000
CASH OVER & SHORT
2015/09/000122 06/18/2015 API
10044525 85510
500
700
17,200
2,010.80 VND 000112 VCH374409
487.00
AMERICA
AMERICA
AMERICA
AMERICA
PROCESSING P
-41.96
20.00
.00
72.8%
4436
4436
368.75
7.8%
303.81
2,610.66
34.7%
.00
141.96
.00
180.00
Midwest Rest-ICE CREAM CLEANER
82.20
BANK OF AMERICA
BANK OF AMERICA
.00
EAKES-Double Charged no receip
20.00
BANK OF AMERICA
AQUA CHEM INC
979.04
CHARTER COMM - IO Internet
SOS PORTABLE TOILETS-Toilet fo
LAMINATOR.COM - Purchase
PLATTE VALLEY COMMUNIC - R0
MAY 15 CREDIT CARD USER FEES
-41.96
BANK OF AMERICA
3,719.80
.00
5-27-15 DEP
5-29-15 DEP
6-5-15 DEP
6/24/15 RECEIPTS
6/22/15 RECEIPTS
1,389.34
BANK OF
BANK OF
BANK OF
BANK OF
PAYMENT
31.8%
45.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
CTS WHOLESALE-Sunglasses-Resal
GERBER-Waterproof Diapers-RESA
31.25
OASIS
OASIS
OASIS
OASIS WATER P
OASIS WATER P
341.00
383.42
.00
-303.81
KENSINGER SERVICE-UNLEAD GAS
KENSINGER SERV-UNLEAD GAS
2,010.80
7,280.20
2015 POOL CHEMICALS
6,200.00
4408
4408
4408
4423
42.0%
4436
10.0%
4408
100.0%*
4408
4436
64.0%
193802
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
112
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 85540
10044525 85545
MISC OPERATING EQUI
CONCESSION SUPPLIES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044525 85547
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000074
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
FOOD & BEVERAGES
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
500
400
500
400
21.90 VND 010168 VCH375072
28.99 VND 010168 VCH375135
50,000
306.58
208.43
632.54
438.70
3,086.17
130.45
55.86
258.16
293.93
251.52
43.24
96.60
38.09
290.72
268.96
165.60
298.03
1,901.60
99.63
105.18
72.27
176.28
171.17
59.12
78.88
1,287.30
314.58
526.16
2,312.10
99.75
84.36
106.40
96.60
9.00
69.43
199.96
117.30
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
50,000
009949
009949
000233
000233
006917
009949
000233
000233
006917
010168
010168
010168
010168
010168
010168
010168
006917
006917
009949
009949
009949
009949
009949
009949
009949
000233
006917
006917
006917
006917
010168
010168
010168
010168
010168
010168
010168
VCH373220
VCH373221
VCH373238
VCH373239
VCH373253
VCH373424
VCH373432
VCH373433
VCH373442
VCH373808
VCH373817
VCH373836
VCH373912
VCH373977
VCH373997
VCH374012
VCH374270
VCH374271
VCH374444
VCH374445
VCH374485
VCH374486
VCH374487
VCH374488
VCH374489
VCH374495
VCH374497
VCH374498
VCH374499
VCH374500
VCH374885
VCH374973
VCH374998
VCH375007
VCH375072
VCH375153
VCH375158
.00
50.89
.00
50.89
BANK OF AMERICA
BANK OF AMERICA
14,777.65
500.00
349.11
SAM'S-RESALE FOOD & SUPPLIES
Midwest Restaur-Food Thermomet
14,750.65
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
PEPSI BOTTLING GROUP
PEPSI BOTTLING GROUP
THOMPSON CO LLC
HILAND DAIRY FOODS C
PEPSI BOTTLING GROUP
PEPSI BOTTLING GROUP
THOMPSON CO LLC
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
THOMPSON CO LLC
THOMPSON CO LLC
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
HILAND DAIRY FOODS C
PEPSI BOTTLING GROUP
THOMPSON CO LLC
THOMPSON CO LLC
THOMPSON CO LLC
THOMPSON CO LLC
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
.00
35,222.35
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
POP PRODUCTS FOR RE-SALE AT IO
POP PRODUCTS FOR RE-SALE AT IO
FOOD PURCHASES FOR ISLAND OASI
ICE CREAM PRODUCTS FOR RE-SALE
POP PRODUCTS FOR RE-SALE AT IO
POP PRODUCTS FOR RE-SALE AT I.
FOOD PURCHASES FOR ISLAND OASI
SAMS-RESALE CONCESSION SUPPLIE
"SAMS-1ST AID SUPPLIES,TRASH B
EILEENS-COOKIES FOR RESALE
"SAMS-CHAIRS,PAPER TOWELS,FOOD
SAMS CLUB-FOOD FOR RE-SALE
SAMS-FOOD FOR RE-SALE
EILEENS-COOKIES FOR RESALE
FOOD PURCHASES FOR ISLAND OASI
FOOD PURCHASES FOR ISLAND OASI
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
ICE CREAM PRODUCTS FOR RE-SALE
POP PRODUCTS FOR RE-SALE AT IO
FOOD PURCHASES FOR ISLAND OASI
FOOD PURCHASES FOR ISLAND OASI
FOOD PURCHASES FOR ISLAND OASI
FOOD PURCHASES FOR ISLAND OASI
SAMS CLUB-RESALE FOOD-CONCESSI
SAMSCLUB-RESALE FOOD & INK
EILEENS-COOKIES FOR RESALE
GODFATHERS-PIZZA FOR RESALE
SAM'S-RESALE FOOD & SUPPLIES
SAMS CLUB-RESALE FOOD
EILEENS -RESALE COOKIES
.0%
12.7%
4436
4436
29.6%
193645
193645
193668
193668
193684
193645
193668
193668
193684
4408
4408
4408
4408
4408
4408
4408
193908
193908
193849
193849
193849
193849
193849
193849
193849
193879
193908
193908
193908
193908
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
113
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044525 85590
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
10044525 85599
2015/09/000010
2015/09/000074
2015/09/000100
2015/09/000130
OTHER GENERAL SUPPL
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
11,750
428.41
80.51
18.97
25.00
30.36
260.36
10.76
54.24
31.47
41.92
22.23
25.00
50.00
79.92
3.98
50.00
41.96
1.86
1.99
50.00
11.98
68.97
14.97
25.98
19.99
9.90
132.67
34.95
39.40
16.95
REFUNDS
06/09/2015
06/23/2015
06/23/2015
06/23/2015
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
11,750
001178
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
550
API
API
API
API
25.00
25.00
75.00
25.00
VND
VND
VND
VND
3,884.32
VCH373204
VCH373604
VCH373657
VCH373680
VCH373764
VCH373817
VCH373828
VCH373833
VCH373835
VCH373842
VCH373890
VCH373891
VCH373901
VCH373912
VCH373914
VCH373915
VCH373944
VCH373986
VCH374000
VCH374008
VCH374712
VCH374766
VCH374874
VCH374885
VCH374938
VCH374941
VCH374973
VCH375069
VCH375094
VCH375149
550
999999
999999
999999
999999
CARPENTER PAPER CO
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
150.00
VCH373437
VCH374263
VCH374471
VCH375242
1,684.70
REFUND
REFUND
REFUND
REFUND
1,942.02
TOILET PAPER, PAPER TOWELS ETC
ACE-PAINT SUPPLIES
ACE-TAPE & BATTERIES
CITY OF GI-Swim Lesson registr
"EAKES-BULLETIN BAR,MOUSEPAD,P
"SAMS-1ST AID SUPPLIES,TRASH B
"ACE-STARTER FLUID,TAPE,BULBS"
WALMART-1ST AID SUPPLIES
EAKES-BULLETIN BOARD BARS
EAKES-BULLETIN BOARD BARS
WALMART-WASTEBASKETS
CITY OF GI-Swim lessons regist
CITY OF GI-Swim lessons regist
"SAMS-CHAIRS,PAPER TOWELS,FOOD
SHOPKO-STORAGE CRATES
CITY OF GI-Swim lesson registr
EAKES OFFICE PLUS - GR - IO of
EAKES-CALULATOR RIBBON
ACE-THROTTLE RETURN SPRING
CITY OF GI-Swim Lesson registr
ACE-SPRINKLER
"ACE-WASP&BUG SPRAY,ROPE,CABLE
ACE-SPRAY PAINT & BATTERIES
SAMS CLUB-RESALE FOOD-CONCESSI
SHOPKO-TRASH CAN-BATH HOUSE
ACE-BUNGY CORD
SAMSCLUB-RESALE FOOD & INK
MARINE RESCUE-RescueBoardStrap
ACE-SOFTSCRUB & WALL CLOCK
USPS-Mailing grant documents
150.00
CUSTOMERS
CUSTOMERS
CUSTOMERS
CUSTOMERS
5,923.66
REFUND
REFUND
REFUND
REFUND
.00
SWIM
SWIM
SWIM
SWIM
400.00
LESSONS-LAYLA FLEM
LESSONS
LESSONS-LAURA REES
LESSONS - SAMANTHA
49.6%
193620
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
27.3%
193674
193886
193890
193893
TOTAL OPERATING EXPENSES
224,564
224,564
82,715.95
30,627.79
17,102.22
124,745.83
44.4%
TOTAL WATER PARK
548,504
548,504
194,238.17
99,607.44
17,102.22
337,163.61
38.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
114
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044526 LINCOLN POOL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044526 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044526 85115
30,153
8,142.44
8,142.44
2,551.64 REF PRCITY
5,590.80 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044526 85150
30,153
2,307
WARRANT=060415
WARRANT=061815
2,307
622.95
622.95
195.23 REF PRCITY
427.72 REF PRCITY
WORKERS COMPENSATIO
540
2015/09/000010 06/09/2015 API
540
405.00
45.00
CITY FINANCE DEPT
22,010.56
27.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
45.00 VND 000036 VCH373411
TOTAL PERSONNEL SERVICES
.00
1,684.05
27.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
135.00
JUNE 2015 WORKERS COMP
75.0%
193553
33,000
33,000
9,170.39
8,810.39
.00
23,829.61
27.8%
6,000
6,000
2,090.90
116.18
.00
3,909.10
34.8%
91 OPERATING EXPENSES
_________________________________________
10044526 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
10044526 85317
10044526 85324
NATURAL GAS
REPAIR & MAINT - BU
2015/09/000031 06/05/2015 API
10044526 85325
10044526 85405
REPAIR & MAINT - MA
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044526 85410
TELEPHONE
2015/09/000031 06/05/2015 API
116.18 VND 000091 VCH374519
900
1,000
900
1,000
125.00 VND 010168 VCH373536
1,000
300
1,000
300
25.00 VND 000036 VCH373412
325
325
28.34 VND 010168 VCH373692
CITY ELECT 100-101S
.00
210.14
.00
125.00
BANK OF AMERICA
.00
225.00
BANK OF AMERICA
.00
.00
900.00
789.86
PLATTE VALLEY WINNEL-Faucet
.00
25.00
CITY FINANCE DEPT
226.69
INTERDEPARTMENTAL UTILITY BILL
.00
.00
1,000.00
75.00
JUNE 2015 PREMIUMS & LIABILITY
28.34
.00
98.31
CENTURYLINK -PHONE BILL-Lincol
193817
.0%
21.0%
4408
.0%
75.0%
193553
69.8%
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
115
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044526 85424
10044526 85453
2015/09/000017
2015/09/000034
2015/09/000072
2015/09/000072
2015/09/000072
2015/09/000072
2015/09/000118
2015/09/000118
2015/09/000118
2015/09/000188
2015/09/000188
2015/09/000188
10044526 85490
10044526 85535
LICENSE & FEES
CASH OVER & SHORT
06/01/2015
06/05/2015
06/10/2015
06/10/2015
06/10/2015
06/10/2015
06/17/2015
06/17/2015
06/17/2015
06/30/2015
06/30/2015
06/30/2015
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
CRP
OTHER EXPENDITURES
CHEMICAL SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000100 06/23/2015 API
10044526 85590
OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044526 85599
REFUNDS
2015/09/000074 06/23/2015 API
2015/09/000130 06/23/2015 API
153
25
19.80
.10
-6.00
4.50
5.00
-6.00
-3.00
3.00
-3.00
-7.00
2.00
-12.00
REF
REF
REF
REF
REF
REF
REF
REF
REF
REF
REF
REF
300
3,000
153
25
176527
176711
176895
176896
176898
176899
177114
177115
177116
177611
177612
177613
159.00
-2.60
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
Reversal / 177114
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
LINCOLN POOL
300
3,000
35.96 VND 010168 VCH373837
372.60 VND 000112 VCH374410
2,000
2,000
49.55 VND 010168 VCH374741
37.32 VND 010168 VCH375030
250
.00
-2.60
250
50.00 VND 999999 VCH374262
25.00 VND 999999 VCH375240
.00
.00
-6.00
27.60
103.9%*
10.4%
152.84
-35.96
49.1%
101.2%*
5-27-15 DEPOSIT
6-2-15 DEP
6-7-15 DEP
6-3-15 DEP
6-5-15 DEP
6-6-15 DEP
6-9-15 DEP
6-9-15 DEP
6-9-15 DEP
6/26/15 RECEIPTS
6/24/15 RECEIPTS
6/25/15 RECEIPTS
147.16
940.46
.00
408.56
BANK OF AMERICA
AQUA CHEM INC
.00
2,095.50
GRAND ISLAND ACE HDWE - Acid f
2015 POOL CHEMICALS
186.87
86.87
BANK OF AMERICA
BANK OF AMERICA
.00
1,813.13
MARINE RESCUE-Backboard Straps
EXPRESSTIMESYS-Ink-Lincoln Poo
100.00
75.00
REFUND CUSTOMERS
REFUND CUSTOMERS
.00
150.00
REFUND SWIM LESSONS
REFUND SWIM LESSONS - M KUCHTA
4408
193802
9.3%
4436
4436
40.0%
193885
193891
TOTAL OPERATING EXPENSES
15,253
15,253
4,283.62
862.35
2,095.50
8,873.88
41.8%
TOTAL LINCOLN POOL
48,253
48,253
13,454.01
9,672.74
2,095.50
32,703.49
32.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
116
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044601 PUBLIC INFORMATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044601 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044601 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044601 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044601 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044601 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044601 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044601 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
10044601 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
112,684
112,684
81,637.88
8,314.68
4,338.41 REF PRCITY
3,976.27 REF PRCITY
8,620
WARRANT=060415
WARRANT=061815
8,620
5,908.29
611.45
319.35 REF PRCITY
292.10 REF PRCITY
25,310
15,182.67
1,558.98
779.49 REF PRCITY
779.49 REF PRCITY
117.65
13.39
13.39 REF PRCITY
203
203
139.15
14.97
7.81 REF PRCITY
7.16 REF PRCITY
6,762
4,897.53
498.89
260.31 REF PRCITY
238.58 REF PRCITY
158
158
13.17 VND 000036 VCH373411
160
160
3.58 VND 008197 VCH373251
118.49
13.17
CITY FINANCE DEPT
32.22
TASC
10,127.33
43.35
73.1%
RUN=1 CITY BIW
63.85
68.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,864.47
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
39.51
JUNE 2015 WORKERS COMP
3.58
60.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
68.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
6,762
2,711.71
.00
WARRANT=060415
72.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
161
31,046.12
.00
WARRANT=060415
WARRANT=061815
25,310
161
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
127.78
20.1%
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
117
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044601 85161
VEBA
1,053
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,053
758.46
81.00
40.50 REF PRCITY
40.50 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
294.54
72.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
155,111
155,111
108,792.34
11,110.11
.00
46,318.66
70.1%
25,500
4,534
25,500
4,534
6,944.55
3,402.00
.00
378.00
.00
.00
18,555.45
1,132.00
27.2%
75.0%*
91 OPERATING EXPENSES
_________________________________________
10044601 85213
10044601 85241
CONTRACT SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
10044601 85325
10044601 85330
10044601 85405
REPAIR & MAINT - MA
REPAIR & MAINT - OF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044601 85410
TELEPHONE
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
10044601 85416
10044601 85419
ADVERTISING
LEGAL NOTICES
2015/09/000074 06/23/2015 API
10044601 85422
10044601 85428
10044601 85490
DUES & SUBSCRIPTION
TRAVEL & TRAINING
OTHER EXPENDITURES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
10044601 85505
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
378.00 VND 000035 VCH374058
5,300
750
500
5,300
750
500
41.67 VND 000036 VCH373412
950
950
67.77 VND 000387 VCH373249
2.69 VND 010168 VCH373679
1,300
60
1,300
60
34.51 VND 000214 VCH374221
425
3,500
1,400
425
3,500
1,400
340.00 VND 010168 VCH374764
12.65 VND 010168 VCH374799
1,500
1,500
2.83 VND 010168 VCH374660
CITY IT DEPT
297.73
498.63
374.99
JUNE 2015 IT SUPPORT
.00
.00
41.67
CITY FINANCE DEPT
560.03
.00
34.51
GI INDEPENDENT
390.00
465.98
608.80
BANK OF AMERICA
BANK OF AMERICA
521.63
BANK OF AMERICA
5,002.27
251.37
125.01
JUNE 2015 PREMIUMS & LIABILITY
70.46
STATE DIV OF COMM
BANK OF AMERICA
.00
.00
.00
193554
.00
389.97
CELL PHONE CHARGES
CENTURYLINK - Phone Bill
.00
34.51
.00
.00
.00
.00
.00
1,300.00
25.49
.00
59.0%
.0%
57.5%
193840
35.00
3,034.02
791.20
3CMA - Savvy Award Entry
USPS-Mailing of Savvy award en
2.83
193553
193679
4408
MAY 2015 BILL
.00
.00
352.65
5.6%
66.5%
75.0%
978.37
CAPITAL BUSINESS-Copier Chgs
91.8%*
13.3%
43.5%
4436
4436
34.8%
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
118
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044601 85540
MISC OPERATING EQUI
5,249
5,249
1,415.09
.00
.00
3,833.91
27.0%
TOTAL OPERATING EXPENSES
50,968
50,968
15,513.94
880.12
.00
35,454.06
30.4%
TOTAL PUBLIC INFORMATION
206,079
206,079
124,306.28
11,990.23
.00
81,772.72
60.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
119
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044801 HEARTLAND PUBLIC SHOOTING PARK
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
10044801 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
10044801 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
10044801 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
207,511
207,511
135,093.85
17,723.82
8,891.18 REF PRCITY
8,832.64 REF PRCITY
3,000
WARRANT=060415
WARRANT=061815
3,000
2,473.64
1,392.40
1,230.64 REF PRCITY
161.76 REF PRCITY
16,105
16,105
10,201.32
1,422.82
29,282.26
3,584.50
1,766.57 REF PRCITY
1,817.93 REF PRCITY
225
225
160.02
21.72
21.72 REF PRCITY
308
308
174.89
23.48
12.04 REF PRCITY
11.44 REF PRCITY
10,255
10,255
6,615.58
849.94
459.26 REF PRCITY
390.68 REF PRCITY
932
932
77.67 VND 000036 VCH373411
698.99
77.67
CITY FINANCE DEPT
63.3%
3,177.74
90.2%*
64.98
71.1%
RUN=1 CITY BIW
133.11
56.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
5,903.68
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
82.5%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
526.36
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
65.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
32,460
72,417.15
.00
WARRANT=060415
WARRANT=061815
754.31 REF PRCITY
668.51 REF PRCITY
32,460
.00
3,639.42
64.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
233.01
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
120
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044801 85160
10044801 85161
OTHER EMPLOYEE BENE
HRA-VEBA
160
1,398
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
160
1,398
92.00
975.00
.00
120.00
60.00 REF PRCITY
60.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
68.00
423.00
57.5%
69.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
272,354
272,354
185,767.55
25,216.35
.00
86,586.45
6,000
12,500
58,000
6,000
12,500
58,000
533.50
5,147.50
54,950.78
.00
.00
1,434.41
.00
.00
.00
5,466.50
7,352.50
3,049.22
68.2%
91 OPERATING EXPENSES
_________________________________________
10044801 85208
10044801 85215
10044801 85216
CONSULTING SERVICES
SHELLS
TARGETS
2015/09/000122 06/18/2015 API
10044801 85217
EVENT MERCHANDISE-E
2015/09/000122 06/18/2015 API
10044801 85219
10044801 85241
MISCELLANEOUS MERCH
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
2015/09/000122 06/18/2015 API
10044801 85245
PRINTING & BINDING
2015/09/000122 06/18/2015 API
10044801 85291
10044801 85305
DONATION EXPENDITUR
UTILITY SERVICES
2015/09/000123 06/18/2015 API
10044801 85317
10044801 85319
10044801 85324
PROPANE
REPAIR & MAIN-LAND
REPAIR & MAINT - BU
2015/09/000100 06/23/2015 API
1,434.41 VND 010168 VCH374587
5,000
5,000
131.00 VND 010168 VCH374582
6,000
2,907
6,000
2,907
236.00 VND 000035 VCH373406
40.00 VND 010168 VCH374584
1,000
1,000
139.98 VND 010168 VCH374585
15,000
22,000
15,000
22,000
1,874.51 VND 000385 VCH375181
650
400
6,000
650
400
6,000
199.85 VND 007615 VCH374466
BANK OF AMERICA
1,512.25
NATIONAL TARGET-Rifle targets
131.00
BANK OF AMERICA
2,459.43
2,518.00
CITY IT DEPT
BANK OF AMERICA
3,355.65
.00
184.92
389.00
JUNE 2015 IT SUPPORT
CTC CONSTANT-email service
139.98
BANK OF AMERICA
3,928.82
15,917.95
3,487.75
BALL CHAIN MANUF-Cowboy Prizes
.00
276.00
139.98
.00
.00
860.02
OFFICEMAX-Printer ink
.00
1,874.51
.00
.00
.00
.00
199.85
PRECISION ELECTRIC
.00
.00
2,395.14
4436
30.2%
4436
96.9%*
86.6%*
193554
4436
14.0%
4436
11,071.18
6,082.05
SOUTHERN POWER DISTR ELECTRIC BILL
.00
115.00
1,892.08
8.9%
41.2%
94.7%*
26.2%
72.4%
193711
650.00
285.00
1,712.78
HARDWIRE HANGING HEATER
.0%
28.8%
71.5%
193884
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
121
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044801 85325
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
10044801
10044801
10044801
10044801
85335
85350
85354
85405
REPAIR & MAINT - MA
06/23/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
REPAIR & MAINT - VE
SANITATION SERVICE
STREET RESURFACING
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
10044801 85410
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
10044801
10044801
10044801
10044801
10044801
10044801
85416
85422
85424
85428
85453
85490
TELEPHONE EXPENSE
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
ADVERTISING
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
CASH OVER & SHORT
OTHER EXPENDITURES
2015/09/000086 06/23/2015 API
2015/09/000086 06/23/2015 API
2015/09/000131 06/15/2015 API
10044801 85505
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
10044801 85515
GASOLINE
2015/09/000074 06/23/2015 API
10044801 85520
DIESEL FUEL
2015/09/000074 06/23/2015 API
15,000
304.58
12.65
86.98
77.33
VND
VND
VND
VND
250
14,000
250
2,000
15,000
000083
010168
010168
010168
VCH374190
VCH374581
VCH374586
VCH374588
250
14,000
250
2,000
166.67 VND 000036 VCH373412
1,800
56.75
3.04
7.26
59.90
26.81
VND
VND
VND
VND
VND
2,500
500
300
1,500
50
20,000
1,800
000387
000387
010168
010168
010168
VCH373249
VCH373250
VCH373679
VCH373999
VCH374014
2,500
500
300
1,500
50
20,000
1,236.80 VND 000235 VCH374388
160.00 VND 000235 VCH374389
141.63 VND 008720 VCH374437
1,000
1,000
7.64 VND 010168 VCH374660
7,000
7,000
1,011.01 VND 000083 VCH374190
1,800
1,800
189.25 VND 000083 VCH374190
12,153.22
CITY
BANK
BANK
BANK
481.54
FLEET SERVICES
OF AMERICA
OF AMERICA
OF AMERICA
.00
3,565.77
.00
1,499.99
1,241.02
.00
940.00
.00
.00
250.00
9,494.23
250.00
500.01
JUNE 2015 PREMIUMS & LIABILITY
153.76
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
304.00
190.00
313.00
380.00
-10.50
10,829.04
1,922.78
REPAIR SHOP MAY 2015
USPS-Postage Promatic
FAIRBANK EQUIP-Throttle cable
UPS-Postage winch repair
.00
.00
.00
166.67
CITY FINANCE DEPT
924.00
.00
558.98
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
KELLY SUP-May internet service
CENTURYLINK-May phone service
.00
.00
.00
.00
.00
1,538.43
.00
.00
.00
.00
.00
.00
2,196.00
310.00
-13.00
1,120.00
60.50
9,170.96
HALL CO WEED CONTROL WEED CHEMICALS
HALL CO WEED CONTROL WEED CHEMICALS
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEES
924.80
7.64
BANK OF AMERICA
3,692.28
75.20
CAPITAL BUSINESS-Copier Chgs
1,011.01
CITY FLEET SERVICES
674.80
.00
3,307.72
REPAIR SHOP MAY 2015
189.25
CITY FLEET SERVICES
.00
.00
REPAIR SHOP MAY 2015
87.2%*
193727
4436
4436
4436
.0%
32.2%
.0%
75.0%
193553
68.9%
193679
193679
4408
4408
4408
12.2%
38.0%
104.3%*
25.3%
21.0%
54.1%
193845
193845
4431
92.5%*
4436
52.7%
193727
1,125.20
37.5%
193727
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
122
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10044801 85540
10044801 85547
10044801 85590
MISC OPERATING EQUI
MATERIALS
OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
1,000
3,000
20,000
1,000
3,000
20,000
965.72
1,364.17
3,698.91
185.85 VND 010168 VCH374580
.00
.00
185.85
BANK OF AMERICA
.00
.00
7,600.00
34.28
1,635.83
8,701.09
HOME DEPOT-Zombie Paint
96.6%*
45.5%
56.5%
4436
TOTAL OPERATING EXPENSES
227,407
227,407
130,901.51
7,789.90
15,214.79
81,290.70
64.3%
TOTAL HEARTLAND PUBLIC SHOOTING P
499,761
499,761
316,669.06
33,006.25
15,214.79
167,877.15
66.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
123
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10055001 NON-DEPARTMENTAL
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10055001 85200
10055001 85209
CONTINGENCY VACANCI
COLLECTION SERVICES
2015/09/000118 06/17/2015 CRP
10055001 85213
10055001 85410
10055001 85490
10055001 85905
3,000
5,000.00
3,000
0
110,741
0
0
110,741
0
0
1,639.64 VND 000153 VCH375184
TOTAL OPERATING EXPENSES
151.78
STATE DIV OF COMM
-1,839.70
32,511.07
.0%*
77.2%*
.00
100.0%*
.00
.00
-2,754.31
KAY JEWELERS-Retirement Bob Ho
SUPERSAVER-Holmes retirement c
.00
-872.51
LONG DISTANCE
.00
.00
-110.68
WELLS FARGO
CITY TREASURER
3,000
80,000
-300,000.00
16,177.87
USDA STERLING CONTROL 2015FY
220.28
BANK OF AMERICA
BANK OF AMERICA
.00
3,813.00
783.13
-10.00 REF 178021
-100.68 REF 178120
3,000
80,000
5,000.00
USDA APHIS WILDLIFE
872.51
.00
.00
MAY 2015 PROP TAX
5,754.31
151.78 VND 000387 VCH373250
OTHER EXPENDITURES
SALES TAX
2015/09/000126 06/18/2015 API
5,000
0
.00
7,865.77
HALL COUNTY
175.00 VND 010168 VCH374622
45.28 VND 010168 VCH374636
HEALTH DEPARTMENT
DUES & SUBSCRIPTION
CASH OVER & SHORT
2015/09/001030 06/30/2015 CRP
2015/09/001030 06/30/2015 CRP
.00
54,822.13
5,000.00 VND 000815 VCH373256
TELEPHONE
2015/09/000002 06/09/2015 API
10055001 85412
10055001 85422
10055001 85453
5,000
VOLUNTEER EXPENSE
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
-300,000
71,000
7,865.77 REF 177144
CONTRACT SERVICES
2015/09/000002 06/09/2015 API
10055001 85409
-300,000
71,000
.00
.00
.00
193688
191.8%*
4436
4436
100.0%*
193679
110,741.00
-3,813.00
-783.13
.0%
100.0%*
100.0%*
JUNE 30, 2015 DEPOSIT LONG
LONG/SHORT FOR JUNE 2015
.00
1,639.64
STATE OF NE DEPT OF
.00
.00
4,839.70
47,488.93
MAY 2015 SALES & USE TAX
61.3%
40.6%
4439
-27,259
-27,259
101,716.45
14,766.79
.00
-128,975.45 -373.1%
1,315,743
1,315,743
1,315,742.07
54,577.12
.00
.93
99 OTHER FINANCING USES
_________________________________________
10055001 85706
LEASE PAYMENTS
2015/09/000131 06/15/2015 API
54,577.12 VND 001376 VCH374443
WELLS FARGO BANK
BOND PAYMENT FONNER PARK JUNE
100.0%*
4435
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
124
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10055001 85707
10055001 85805
LEASE PMT-STATE FAI
TRANSFERS OUT
753,112
3,210,000
753,112
3,210,000
378,055.79
3,278,186.34
.00
185,923.63
.00
.00
375,056.21
-68,186.34
50.2%
102.1%*
2015/09/001023 06/30/2015 GNI
185,923.63 REF
June 2014 400 Fund Transfer
TOTAL OTHER FINANCING USES
5,278,855
5,278,855
4,971,984.20
240,500.75
.00
306,870.80
94.2%
TOTAL NON-DEPARTMENTAL
5,251,596
5,251,596
5,073,700.65
255,267.54
.00
177,895.35
96.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
125
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
100
GENERAL FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
10055002 CONTINGENCY
_________________________________________
91 OPERATING EXPENSES
_________________________________________
10055002 85213
CONTRACT SERVICES
100,000
100,000
8,493.83
.00
.00
91,506.17
8.5%
TOTAL OPERATING EXPENSES
100,000
100,000
8,493.83
.00
.00
91,506.17
8.5%
TOTAL CONTINGENCY
100,000
100,000
8,493.83
.00
.00
91,506.17
8.5%
44,267,955
44,267,955
30,923,566.36
3,084,671.75
1,727,226.41
11,617,162.23
73.8%
44,267,955
44,267,955
30,923,566.36
3,084,671.75
1,727,226.41
11,617,162.23
TOTAL GENERAL FUND
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
126
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
202
CEMETERY TRUST
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
20210001 CEMETERY TRUST
_________________________________________
99 OTHER FINANCING USES
_________________________________________
20210001 85805
TRANSFERS OUT
2015/09/001023 06/30/2015 GNI
29,670
29,670
31,002.88
10,800.00 REF CapTrf
10,800.00
.00
-1,332.88
104.5%*
June 2014 400 Fund Transfer
TOTAL OTHER FINANCING USES
29,670
29,670
31,002.88
10,800.00
.00
-1,332.88
104.5%
TOTAL CEMETERY TRUST
29,670
29,670
31,002.88
10,800.00
.00
-1,332.88
104.5%
TOTAL CEMETERY TRUST
29,670
29,670
31,002.88
10,800.00
.00
-1,332.88
104.5%
29,670
29,670
31,002.88
10,800.00
.00
-1,332.88
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
127
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
210
GAS TAX
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21030001 GAS TAX
_________________________________________
99 OTHER FINANCING USES
_________________________________________
21030001 85805
TRANSFERS OUT
2015/09/001023 06/30/2015 GNI
2015/09/001023 06/30/2015 GNI
5,600,000
5,600,000
5,849,742.38
241,667.00 REF CapTrf
562,241.88 REF
803,908.88
.00
-249,742.38
104.5%*
Jun 2015 Operating Transfer
June 2014 400 Fund Transfer
TOTAL OTHER FINANCING USES
5,600,000
5,600,000
5,849,742.38
803,908.88
.00
-249,742.38
104.5%
TOTAL GAS TAX
5,600,000
5,600,000
5,849,742.38
803,908.88
.00
-249,742.38
104.5%
TOTAL GAS TAX
5,600,000
5,600,000
5,849,742.38
803,908.88
.00
-249,742.38
104.5%
5,600,000
5,600,000
5,849,742.38
803,908.88
.00
-249,742.38
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
128
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
215
ENHANCED 911
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21520006 ENHANCED 911
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
21520006 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21520006 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
21520006 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21520006 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21520006 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
21520006 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21520006 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21520006 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
14,920
14,920
10,002.97
1,142.53
571.01 REF PRCITY
571.52 REF PRCITY
1,000
WARRANT=060415
WARRANT=061815
1,000
714.28
280.96
280.96 REF PRCITY
1,218
1,218
752.89
100.52
4,203
3,042.53
461.58
288.69 REF PRCITY
172.89 REF PRCITY
26
26
19.10
3.03
3.03 REF PRCITY
4
4
17.03
2.06
1.03 REF PRCITY
1.03 REF PRCITY
956
956
643.09
85.43
51.13 REF PRCITY
34.30 REF PRCITY
39
39
3.25 VND 000036 VCH373411
29.25
CITY FINANCE DEPT
3.25
61.8%
1,160.47
72.4%
6.90
73.5%
-13.03
425.8%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
465.11
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
71.4%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
285.72
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
67.0%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
4,917.03
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
60.09 REF PRCITY
40.43 REF PRCITY
4,203
.00
312.91
67.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
9.75
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
129
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
215
ENHANCED 911
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21520006 85160
OTHER EMPLOYEE BENE
80
2015/09/000002 06/09/2015 API
21520006 85161
80
3.58 VND 008197 VCH373251
VEBA
117
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
117
32.22
TASC
93.91
8.79 REF PRCITY
6.87 REF PRCITY
TOTAL PERSONNEL SERVICES
3.58
.00
47.78
JULY 2015 CAFETERIA FEES
15.66
.00
WARRANT=060415
WARRANT=061815
40.3%
193682
23.09
80.3%*
RUN=1 CITY BIW
RUN=1 CITY BIW
22,563
22,563
15,347.27
2,098.60
.00
7,215.73
68.0%
37,000
37,000
31,376.74
8,304.00
3,062.00
2,561.26
93.1%*
91 OPERATING EXPENSES
_________________________________________
21520006 85213
CONTRACT SERVICES
2015/09/000074 06/23/2015 API
2015/09/000074 06/23/2015 API
2015/09/000122 06/18/2015 API
21520006 85241
21520006 85290
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000123
COMPUTER SERVICES
OTHER PROFESSIONAL
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
659.00 VND 000339 VCH374260
872.00 VND 000339 VCH374261
6,773.00 VND 010168 VCH374603
20,000
41,000
48.41
55.35
5.50
161.52
114.85
136.06
95.71
2,129.08
30.96
48.44
136.06
2.91
95.00
32.59
267.38
55.35
161.52
2,129.08
30.52
1.48
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
20,000
41,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
001208
000387
000237
010168
010168
010168
010168
000003
VCH373467
VCH373470
VCH373471
VCH373472
VCH373474
VCH373475
VCH373476
VCH373483
VCH373488
VCH373566
VCH373606
VCH373679
VCH374042
VCH374127
VCH374226
VCH374612
VCH374613
VCH374618
VCH374662
VCH375159
PLATTE VALLEY COMMUN Radio/Telephone equipment main
PLATTE VALLEY COMMUN Radio/Telephone equipment main
BANK OF AMERICA
GEO COMM-E911 SYSTEMS MAINTENA
14,262.69
25,665.56
.00
5,737.77
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CHARTER COMMUNICATIO
STATE DIV OF COMM
HAMILTON TELECOMMUNI
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
AT&T CORP
.00
473.58
5,737.31
14,860.86
CENTURYLINK - E911 EMERGENCY L
CENTURYLINK - EM911 EMERGENCY
CENTURYLINK - E911 EMERGENCY L
CENTURYLINK - E911 EMERGENCY L
LANGUAGE LINE-E911 TRANSLATION
CENTURYLINK - E911/EM ADMIN LI
LANGUAGE LINE-E911 TRANSLATION
CENTURYLINK - 911 TRUNKS
CENTURYLINK - 911 EMERGENCY LI
CENTURYLINK - 911 EMERGENCY LI
CENTURYLINK - 911/EM ADMIN PHO
CENTURYLINK - Phone Bill
REGIONAL IP CONNECTIVITY FOR 2
STATE NETWORK
911 TRUNKS / CIRCUIT
CENTURYLINK-EMERGENCY PHONE LI
CENTURYLINK - EMERGENCY LINES
CENTURYLINK - E911 TRUNKS
CENTURYLINK - emergency lines
911 LONG DIST
193778
193778
4436
71.3%
63.8%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193623
193679
193846
4436
4436
4436
4436
193707
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
130
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
215
ENHANCED 911
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21520006 85325
21520006 85330
21520006 85401
REPAIR & MAINT - MA
REPAIR & MAINT - OF
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
21520006 85422
21520006 85428
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000226
21520006 85505
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
21520006 85540
DUES & SUBSCRIPTION
TRAVEL & TRAINING
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/04/2015
API
API
API
API
API
API
PRJ
OFFICE SUPPLIES
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
API
API
API
API
API
MISC OPERATING EQUI
25,000
2,000
1,500
25,000
2,000
1,500
125.00 VND 000036 VCH373412
600
4,000
350.00
392.00
10.00
249.00
9.00
1.00
251.24
VND
VND
VND
VND
VND
VND
REF
1,000
84.27
67.83
33.00
173.99
3.06
VND
VND
VND
VND
VND
600
4,000
010168
010168
010168
010168
010168
010168
PRCITY
VCH373480
VCH373514
VCH373637
VCH374606
VCH374607
VCH374614
1,000
010168
010168
010168
010168
010168
VCH373484
VCH373486
VCH373492
VCH373493
VCH374660
3,109.37
.00
1,125.00
.00
.00
125.00
CITY FINANCE DEPT
225.00
2,102.12
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
495.62
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
.00
627.00
375.00
1,270.88
MEDICAL PRIORITY-EMD CERTIFICA
MEDICAL PRIORITY CONSU - 911 E
NATIONAL ACADEMY-EFD CARDSET R
EMBASSY STE-DISPATCHER CERTIFI
EXPRESS QUE-PARKING-DISPATCHER
EXPRESS MARKET-parking dispatc
WARRANT=060415 RUN=1 CITY BIW
362.15
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
19,499.63
2,000.00
375.00
JUNE 2015 PREMIUMS & LIABILITY
.00
1,262.24
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
2,391.00
.00
.00
9.92
494.46
NEWEGG- 911 FAX MACHINE DRUM C
NEWEGG-911 NCIC PRINTER TONER
NEWEGG-911 NCIC PRINTER TONER
NEWEGG-EM HP INK JET 1200 PRIN
CAPITAL BUSINESS-Copier Chgs
22.0%
.0%
75.0%
193553
37.5%
68.2%
4408
4408
4408
4436
4436
4436
50.6%
4408
4408
4408
4408
4436
7,000
7,000
1,274.99
.00
2,592.00
3,133.01
55.2%
TOTAL OPERATING EXPENSES
139,100
139,100
79,637.09
15,791.16
9,155.50
50,307.41
63.8%
TOTAL ENHANCED 911
161,663
161,663
94,984.36
17,889.76
9,155.50
57,523.14
64.4%
TOTAL ENHANCED 911
161,663
161,663
94,984.36
17,889.76
9,155.50
57,523.14
64.4%
161,663
161,663
94,984.36
17,889.76
9,155.50
57,523.14
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
131
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
216
PSC WIRELESS FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21620006 PSC WIRELESS
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
21620006 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21620006 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
21620006 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21620006 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21620006 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
21620006 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21620006 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
21620006 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
83,322
83,322
56,507.44
6,358.74
3,181.43 REF PRCITY
3,177.31 REF PRCITY
2,000
WARRANT=060415
WARRANT=061815
2,000
2,931.44
475.84
475.84 REF PRCITY
6,528
6,528
4,166.01
484.67
16,433.44
1,878.46
939.23 REF PRCITY
939.23 REF PRCITY
140
140
102.90
11.69
11.69 REF PRCITY
131
131
96.38
11.44
5.72 REF PRCITY
5.72 REF PRCITY
5,120
5,120
3,566.32
410.06
219.43 REF PRCITY
190.63 REF PRCITY
31
31
2.58 VND 000036 VCH373411
23.26
CITY FINANCE DEPT
2.58
63.8%
7,384.56
69.0%
37.10
73.5%
RUN=1 CITY BIW
34.62
73.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
2,361.99
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
146.6%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
-931.44
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
67.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
23,818
26,814.56
.00
WARRANT=060415
259.76 REF PRCITY
224.91 REF PRCITY
23,818
.00
1,553.68
69.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
7.74
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
132
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
216
PSC WIRELESS FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
21620006 85160
21620006 85161
OTHER EMPLOYEE BENE
HRA-VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
TOTAL PERSONNEL SERVICES
20
663
20
663
.00
517.83
38.25 REF PRCITY
38.25 REF PRCITY
.00
76.50
.00
.00
WARRANT=060415
WARRANT=061815
20.00
145.17
.0%
78.1%*
RUN=1 CITY BIW
RUN=1 CITY BIW
121,773
121,773
84,345.02
9,709.98
.00
37,427.98
69.3%
0
0
.99
.00
.00
-.99
100.0%*
0
0
.99
.00
.00
-.99
100.0%
TOTAL PSC WIRELESS
121,773
121,773
84,346.01
9,709.98
.00
37,426.99
69.3%
TOTAL PSC WIRELESS FUND
121,773
121,773
84,346.01
9,709.98
.00
37,426.99
69.3%
121,773
121,773
84,346.01
9,709.98
.00
37,426.99
91 OPERATING EXPENSES
_________________________________________
21620006 85505
OFFICE SUPPLIES
TOTAL OPERATING EXPENSES
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
133
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
220
KENO
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
22010001 KENO
_________________________________________
99 OTHER FINANCING USES
_________________________________________
22010001 85805
TRANSFERS OUT
300,000
300,000
110,172.26
776.79
.00
189,827.74
36.7%
2015/09/001023 06/30/2015 GNI
776.79 REF
TOTAL OTHER FINANCING USES
300,000
300,000
110,172.26
776.79
.00
189,827.74
36.7%
TOTAL KENO
300,000
300,000
110,172.26
776.79
.00
189,827.74
36.7%
TOTAL KENO
300,000
300,000
110,172.26
776.79
.00
189,827.74
36.7%
300,000
300,000
110,172.26
776.79
.00
189,827.74
TOTAL EXPENSES
June 2014 400 Fund Transfer
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
134
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
225
METROPOLITAN PLANNING ORG
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
22522501 METROPOLITAN PLANNING ORG
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
22522501 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22522501 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22522501 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22522501 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
22522501 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22522501 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22522501 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
22522501 85160
22522501 85161
OTHER EMPLOYEE BENE
HRA-VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
74,514
74,514
52,894.99
5,753.12
2,876.56 REF PRCITY
2,876.56 REF PRCITY
5,700
WARRANT=060415
WARRANT=061815
5,700
3,920.94
426.40
212.93 REF PRCITY
213.47 REF PRCITY
7,520
5,695.39
641.84
320.92 REF PRCITY
320.92 REF PRCITY
57.20
6.50
6.50 REF PRCITY
134
134
90.15
10.36
5.18 REF PRCITY
5.18 REF PRCITY
4,471
4,471
3,173.73
345.18
172.59 REF PRCITY
172.59 REF PRCITY
70
70
5.83 VND 000036 VCH373411
20
780
30.00 REF PRCITY
30.00 REF PRCITY
20
780
52.51
5.83
CITY FINANCE DEPT
.00
562.41
1,824.61
29.80
43.85
67.3%
1,297.27
71.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
.00
WARRANT=060415
WARRANT=061815
65.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
17.49
JUNE 2015 WORKERS COMP
.00
60.00
75.7%*
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
68.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,779.06
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
71.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
87
21,619.01
.00
WARRANT=060415
WARRANT=061815
7,520
87
.00
75.0%
193553
20.00
217.59
RUN=1 CITY BIW
RUN=1 CITY BIW
.0%
72.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
135
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
225
METROPOLITAN PLANNING ORG
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL PERSONNEL SERVICES
93,296
93,296
66,447.32
7,249.23
.00
26,848.68
71.2%
22,274
18,628
28,149
120,219
66,890
22,274
18,628
28,149
120,219
66,890
34.75
.00
205.68
13,496.10
13,042.89
.00
.00
.00
.00
1.53
.00
.00
.00
4,600.00
.00
22,239.25
18,628.00
27,943.32
102,122.90
53,847.11
.2%
.0%
.7%
15.1%
19.5%
91 OPERATING EXPENSES
_________________________________________
22522501
22522501
22522501
22522501
22522501
85250
85251
85252
85253
85254
UNIFIED PLANNING WO
TRANSPORT IMPROVEME
PUBLIC PARTICIPATIO
LONG-RANGE TRANSPOR
ADMIN/SYSTEMS MANAG
2015/09/000122 06/18/2015 API
22522501 85256
DEVELOPMENT OF PPP&
2015/09/000074 06/23/2015 API
22522501 85410
TELEPHONE EXPENSE
2015/09/000031 06/05/2015 API
1.53 VND 010168 VCH374660
150,000
150,000
124,514.07
59,457.62 VND 000190 VCH374252
0
BANK OF AMERICA
0
59,457.62
.00
25,485.93
OLSSON ASSOCIATES IN LONG RANGE TRANS PLAN
11.63
1.45 VND 010168 VCH373679
CAPITAL BUSINESS-Copier Chgs
1.45
BANK OF AMERICA
.00
4436
83.0%*
193774
-11.63
CENTURYLINK - Phone Bill
100.0%*
4408
TOTAL OPERATING EXPENSES
406,160
406,160
151,305.12
59,460.60
4,600.00
250,254.88
38.4%
TOTAL METROPOLITAN PLANNING ORG
499,456
499,456
217,752.44
66,709.83
4,600.00
277,103.56
44.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
136
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
225
METROPOLITAN PLANNING ORG
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
22522502 5305 TRANSIT PLANNING
_________________________________________
91 OPERATING EXPENSES
_________________________________________
22522502 85255
TRANSIT PLANNING
63,923
63,923
.00
.00
.00
63,923.00
.0%
TOTAL OPERATING EXPENSES
63,923
63,923
.00
.00
.00
63,923.00
.0%
TOTAL 5305 TRANSIT PLANNING
63,923
63,923
.00
.00
.00
63,923.00
.0%
563,379
563,379
217,752.44
66,709.83
4,600.00
341,026.56
39.5%
563,379
563,379
217,752.44
66,709.83
4,600.00
341,026.56
TOTAL METROPOLITAN PLANNING ORG
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
137
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
226
TRANSPORTATION FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
22622601 TRANSPORATION FUND
_________________________________________
91 OPERATING EXPENSES
_________________________________________
22622601 85213
CONTRACT SERVICES
110,000
110,000
104,665.00
.00
.00
5,335.00
95.2%*
TOTAL OPERATING EXPENSES
110,000
110,000
104,665.00
.00
.00
5,335.00
95.2%
TOTAL TRANSPORATION FUND
110,000
110,000
104,665.00
.00
.00
5,335.00
95.2%
TOTAL TRANSPORTATION FUND
110,000
110,000
104,665.00
.00
.00
5,335.00
95.2%
110,000
110,000
104,665.00
.00
.00
5,335.00
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
138
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
229
COMMUNITY YOUTH COUNCIL
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
22910001 COMMUNITY YOUTH COUNCIL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
22910001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22910001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22910001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22910001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
22910001 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22910001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
22910001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
22910001 85160
22910001 85161
OTHER EMPLOYEE BENE
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
11,069
11,069
7,959.67
851.34
425.67 REF PRCITY
425.67 REF PRCITY
847
WARRANT=060415
WARRANT=061815
847
575.41
63.41
31.66 REF PRCITY
31.75 REF PRCITY
2,052
810.21
69.08
34.54 REF PRCITY
34.54 REF PRCITY
13
9.28
1.09
1.09 REF PRCITY
20
20
13.62
1.54
.77 REF PRCITY
.77 REF PRCITY
664
664
477.58
51.08
25.54 REF PRCITY
25.54 REF PRCITY
6
6
.50 VND 000036 VCH373411
16
117
4.50 REF PRCITY
4.50 REF PRCITY
16
117
4.50
CITY FINANCE DEPT
.00
82.49
.50
1,241.79
3.72
6.38
186.42
.00
.00
.00
WARRANT=060415
WARRANT=061815
71.4%
68.1%
71.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
1.50
JUNE 2015 WORKERS COMP
.00
9.00
39.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
67.9%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
271.59
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
71.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
3,109.33
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
2,052
13
.00
75.0%
193553
16.00
34.51
RUN=1 CITY BIW
RUN=1 CITY BIW
.0%
70.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
139
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
229
COMMUNITY YOUTH COUNCIL
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL PERSONNEL SERVICES
14,804
14,804
9,932.76
1,047.04
.00
4,871.24
600
400
600
400
639.01
1.76
.00
.22
.00
.00
-39.01
398.24
67.1%
91 OPERATING EXPENSES
_________________________________________
22910001 85245
22910001 85410
PRINTING & BINDING
TELEPHONE EXPENSE
2015/09/000031 06/05/2015 API
22910001 85416
22910001 85419
22910001 85428
ADVERTISING
LEGAL NOTICES
TRAVEL & TRAINING
2015/09/000122 06/18/2015 API
22910001 85490
OTHER EXPENDITURES
2015/09/000031 06/05/2015 API
22910001 85505
OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
22910001 85540
22910001 85590
MISC OPERATING SUPP
SUPPLIES
.22 VND 010168 VCH373679
600
50
300
600
50
300
150.00 VND 010168 VCH375099
5,000
5,000
346.99 VND 010168 VCH373822
1,000
1,000
97.94 VND 010168 VCH373904
.23 VND 010168 VCH374660
BANK OF AMERICA
.00
.00
164.89
CENTURYLINK - Phone Bill
.00
.00
150.00
BANK OF AMERICA
2,931.07
171.81
600.00
50.00
135.11
.00
2,068.93
THINGS REMEMBERED-CYC senior a
98.17
BANK OF AMERICA
BANK OF AMERICA
4408
MEGAN RICHARDSON-Cupcakes CYC
346.99
BANK OF AMERICA
.00
.00
.00
.00
106.5%*
.4%
828.19
OFFICEMAX-CYC certificates
CAPITAL BUSINESS-Copier Chgs
.0%
.0%
55.0%
4436
58.6%
4408
17.2%
4408
4436
5,000
2,250
5,000
2,250
.00
.00
.00
.00
.00
.00
5,000.00
2,250.00
.0%
.0%
TOTAL OPERATING EXPENSES
15,200
15,200
3,908.54
595.38
.00
11,291.46
25.7%
TOTAL COMMUNITY YOUTH COUNCIL
30,004
30,004
13,841.30
1,642.42
.00
16,162.70
46.1%
TOTAL COMMUNITY YOUTH COUNCIL
30,004
30,004
13,841.30
1,642.42
.00
16,162.70
46.1%
30,004
30,004
13,841.30
1,642.42
.00
16,162.70
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
140
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
237
REVOLVING LOAN
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
23710001 REVOLVING LOAN
_________________________________________
91 OPERATING EXPENSES
_________________________________________
23710001 85490
OTHER EXPENDITURES
160,000
160,000
.00
.00
.00
160,000.00
.0%
TOTAL OPERATING EXPENSES
160,000
160,000
.00
.00
.00
160,000.00
.0%
TOTAL REVOLVING LOAN
160,000
160,000
.00
.00
.00
160,000.00
.0%
TOTAL REVOLVING LOAN
160,000
160,000
.00
.00
.00
160,000.00
.0%
160,000
160,000
.00
.00
.00
160,000.00
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
141
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
238
ECONOMIC DEVELOPMENT
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
23811402 ECONOMIC DEVELOPMENT
_________________________________________
91 OPERATING EXPENSES
_________________________________________
23811402 85454
23811402 85490
ECONOMIC DEVELOPMEN
OTHER EXPENDITURES
815,500
22,500
815,500
22,500
175,000.00
22,500.00
.00
.00
.00
.00
640,500.00
.00
21.5%
100.0%*
TOTAL OPERATING EXPENSES
838,000
838,000
197,500.00
.00
.00
640,500.00
23.6%
TOTAL ECONOMIC DEVELOPMENT
838,000
838,000
197,500.00
.00
.00
640,500.00
23.6%
TOTAL ECONOMIC DEVELOPMENT
838,000
838,000
197,500.00
.00
.00
640,500.00
23.6%
838,000
838,000
197,500.00
.00
.00
640,500.00
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
142
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
240
HOUSING REUSE FUND
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
24010001 HOUSING REUSE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
24010001 85213 CONTRACT SERVICES
24010001 85213 24011 C/S NSP-09-3N24010001 85481 DOWNPAYMENT ASSISTA
41,500
300,000
0
41,500
300,000
0
.00
112,332.47
20,000.00
.00
.00
.00
.00
.00
.00
41,500.00
187,667.53
-20,000.00
.0%
37.4%
100.0%*
TOTAL OPERATING EXPENSES
341,500
341,500
132,332.47
.00
.00
209,167.53
38.8%
TOTAL HOUSING REUSE
341,500
341,500
132,332.47
.00
.00
209,167.53
38.8%
TOTAL HOUSING REUSE FUND
341,500
341,500
132,332.47
.00
.00
209,167.53
38.8%
341,500
341,500
132,332.47
.00
.00
209,167.53
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
143
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
250
COMMUNITY DEVELOPMENT
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
25010001 COMMUNITY DEVELOPMENT
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
25010001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
25010001 85110
25010001 85115
SALARIES - OVERTIME
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
25010001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
25010001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
25010001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
25010001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
25010001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
25010001 85160
25010001 85161
OTHER EMPLOYEE BENE
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
78,517
78,517
52,083.59
3,196.02
1,420.46 REF PRCITY
1,775.56 REF PRCITY
0
6,007
WARRANT=060415
WARRANT=061815
0
6,007
436.85
3,684.29
.00
222.52
97.68 REF PRCITY
124.84 REF PRCITY
34,182
18,907.55
1,749.44
874.72 REF PRCITY
874.72 REF PRCITY
89.89
7.24
7.24 REF PRCITY
141
141
78.02
5.76
2.56 REF PRCITY
3.20 REF PRCITY
4,711
3,151.23
191.76
85.23 REF PRCITY
106.53 REF PRCITY
119
119
9.92 VND 000036 VCH373411
100
780
15.00 REF PRCITY
15.00 REF PRCITY
100
780
89.24
9.92
CITY FINANCE DEPT
.00
411.23
15,274.45
84.11
62.98
55.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,559.77
66.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
.00
WARRANT=060415
WARRANT=061815
51.7%
RUN=1 CITY BIW
29.76
JUNE 2015 WORKERS COMP
.00
30.00
55.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
100.0%*
61.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
4,711
-436.85
2,322.71
.00
WARRANT=060415
66.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
174
26,433.41
.00
.00
WARRANT=060415
WARRANT=061815
34,182
174
.00
75.0%
193553
100.00
368.77
RUN=1 CITY BIW
RUN=1 CITY BIW
.0%
52.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
144
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
250
COMMUNITY DEVELOPMENT
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL PERSONNEL SERVICES
124,731
124,731
78,931.89
5,412.66
.00
45,799.11
5,000
2,182
5,000
2,182
11,198.26
1,544.00
.00
193.00
5,488.86
.00
-11,687.12
638.00
63.3%
91 OPERATING EXPENSES
_________________________________________
25010001 85213
25010001 85241
CONTRACT SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
25010001 85324
25010001 85330
25010001 85405
REPAIR & MAINT - BU
REPAIR & MAINT - OF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
25010001 85410
TELEPHONE
2015/09/000031 06/05/2015 API
25010001 85413
POSTAGE
85416
85419
85422
85428
ADVERTISING
LEGAL NOTICES
DUES & SUBSCRIPTION
TRAVEL & TRAINING
2015/09/000074 06/23/2015 API
25010001 85505
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
25010001 85540
0
400
800
MISC OPERATING EQUI
0
400
800
66.67 VND 000036 VCH373412
100
100
2.91 VND 010168 VCH373679
300
2015/09/000033 06/09/2015 API
25010001
25010001
25010001
25010001
193.00 VND 000035 VCH374060
300
.48 VND 000089 VCH374066
300
800
100
2,500
300
800
100
2,500
100.00 VND 005147 VCH374242
500
500
3.06 VND 010168 VCH374660
CITY IT DEPT
JUNE 2015 IT SUPPORT
1,087.05
.00
599.99
.00
.00
66.67
CITY FINANCE DEPT
23.28
193554
-1,087.05
400.00
200.01
JUNE 2015 PREMIUMS & LIABILITY
2.91
BANK OF AMERICA
268.36
.00
.00
.00
.00
76.72
CENTURYLINK - Phone Bill
.48
.00
.00
.00
.00
100.00
NE DEPT OF ECONOMIC
194.50
31.64
.00
193553
23.3%
89.5%*
193557
300.00
585.95
100.00
2,270.00
CDBG Certification training in
3.06
BANK OF AMERICA
.00
.00
.00
.00
100.0%*
.0%
75.0%
4408
CITY UTIL-METER POST APR 2015 COM DEV POSTAGE
.00
214.05
.00
230.00
333.7%*
70.8%
305.50
CAPITAL BUSINESS-Copier Chgs
.0%
26.8%
.0%
9.2%
193868
38.9%
4436
300
300
300.00
.00
.00
.00
13,282
13,282
15,659.49
366.12
5,488.86
-7,866.35
159.2%
TOTAL COMMUNITY DEVELOPMENT
138,013
138,013
94,591.38
5,778.78
5,488.86
37,932.76
72.5%
TOTAL COMMUNITY DEVELOPMENT
138,013
138,013
94,591.38
5,778.78
5,488.86
37,932.76
72.5%
138,013
138,013
94,591.38
5,778.78
5,488.86
37,932.76
TOTAL OPERATING EXPENSES
TOTAL EXPENSES
100.0%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
145
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
251
COMMUNITY GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
25111601 COMMUNITY DEVELOPMENT
_________________________________________
91 OPERATING EXPENSES
_________________________________________
25111601 85213
C/S-STORMWATER
2015/09/000002 06/09/2015 API
3,000,000
3,000,000
2,176.98 VND 003551 VCH373215
21,671.51
2,176.98
55,387.61
2,922,940.88
FELSBURG, HOLT & ULL CONSTRUCTION/POST CONSTRUCTION
2.6%
193635
25111601 85213 25105 C/S-DOWNTOWN L
51,807
51,807
.00
.00
2,032.21
49,774.79
3.9%
25111601 85213 25107 C/S-GREENER TR
11,819
11,819
.00
.00
.00
11,819.00
.0%
25111601 85213 25108 C/S - GREENER
21,301
21,301
30,818.60
.00
.00
-9,517.60
TOTAL OPERATING EXPENSES
3,084,927
3,084,927
52,490.11
2,176.98
57,419.82
2,975,017.07
3.6%
TOTAL COMMUNITY DEVELOPMENT
3,084,927
3,084,927
52,490.11
2,176.98
57,419.82
2,975,017.07
3.6%
144.7%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
146
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
251
COMMUNITY GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
25111617 COMMUNITY REVITALIZATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
25111617 85115 25170 FICA TAXES-NEE
25111617 85145 25170 PENSION-NEEDS
0
0
0
0
.00
.00
.00
.00
.00
.00
.01
.01
.0%
.0%
0
0
.00
.00
.00
.02
.0%
25111617 85213 25170 C/S-NEEDS ASSE
0
0
.00
.00
.00
.01
.0%
25111617 85213 25180 CONTRACT SERVI
0
0
58,824.37
10,297.50
12,761.46
-71,585.83
TOTAL PERSONNEL SERVICES
91 OPERATING EXPENSES
_________________________________________
2015/09/000033 06/09/2015 API
10,297.50 VND 006583 VCH374126
SCHEMMER ASSOCIA
4TH & 5TH ADA RAMPS PE
100.0%*
193598
TOTAL OPERATING EXPENSES
0
0
58,824.37
10,297.50
12,761.46
-71,585.82
%
TOTAL COMMUNITY REVITALIZATION
0
0
58,824.37
10,297.50
12,761.46
-71,585.80
%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
147
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
251
COMMUNITY GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
25111621 CDBG ECONOMIC DEVELOPMENT
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
25111621 85105 25211 SALARIES - REG
25111621 85115 25211 F.I.C.A. PAYRO
25111621 85145 25211 PENSION CONTRI
1,000
67
53
1,000
67
53
.00
.00
.00
.00
.00
.00
.00
.00
.00
1,000.00
67.00
53.00
.0%
.0%
.0%
1,120
1,120
.00
.00
.00
1,120.00
.0%
365,816
365,816
.00
.00
.00
365,816.00
.0%
TOTAL OPERATING EXPENSES
365,816
365,816
.00
.00
.00
365,816.00
.0%
TOTAL CDBG ECONOMIC DEVELOPMENT
366,936
366,936
.00
.00
.00
366,936.00
.0%
TOTAL PERSONNEL SERVICES
91 OPERATING EXPENSES
_________________________________________
25111621 85213 25211 C/S-CDBG 10-ED
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
148
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
251
COMMUNITY GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
25111627 DOWNTOWN REVITALIZATION
_________________________________________
91 OPERATING EXPENSES
_________________________________________
25111627 85213 25213 CONTRACT SERVI
2015/09/000118 06/17/2015 CRP
2015/09/000164 06/24/2015 CRP
2015/09/000188 06/30/2015 CRP
0
0
-21,375.00 REF 177147
-1,125.00 REF 177433
-6,750.00 REF 177580
-7,875.00
STATE OF NEBRASKA
STATE OF NEBRASKA
STATE OF NE
-29,250.00
1,125.00
6,750.00
100.0%
DTR DRAWDOWN #2
CDBG 12DTR104 (DD#3)
CDBG 12DTR104 #4
TOTAL OPERATING EXPENSES
0
0
-7,875.00
-29,250.00
1,125.00
6,750.00
100.0%
TOTAL DOWNTOWN REVITALIZATION
0
0
-7,875.00
-29,250.00
1,125.00
6,750.00
100.0%
3,451,863
3,451,863
103,439.48
-16,775.52
71,306.28
3,277,117.27
5.1%
3,451,863
3,451,863
103,439.48
-16,775.52
71,306.28
3,277,117.27
TOTAL COMMUNITY GRANTS
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
149
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
260
POLICE GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
26020007 BUREAU OF JUSTICE GRANT
_________________________________________
91 OPERATING EXPENSES
_________________________________________
26020007 85590
OTHER GENERAL SUPPL
25,000
25,000
57,128.25
.00
.00
-32,128.25
228.5%*
TOTAL OPERATING EXPENSES
25,000
25,000
57,128.25
.00
.00
-32,128.25
228.5%
TOTAL BUREAU OF JUSTICE GRANT
25,000
25,000
57,128.25
.00
.00
-32,128.25
228.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
150
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
260
POLICE GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
26020010 MINI GRANTS
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
26020010 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
26020010 85115
26020010 85125
0
LIFE INSURANCE
756.99
2,361.07
2,053.09
24.78
22.96
22.96 REF PRCITY
.40
.40
.40 REF PRCITY
POLICE PENSION
0
0
719.43
677.87
665.05 REF PRCITY
12.82 REF PRCITY
TOTAL PERSONNEL SERVICES
-801.41
-2,361.07
100.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
-24.78
100.0%*
RUN=1 CITY BIW
.00
-.40
100.0%*
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
100.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
100.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
0
-10,428.85
.00
WARRANT=060415
WARRANT=061815
0
0
.00
WARRANT=060415
WARRANT=061815
0
0
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
801.41
1,994.61 REF PRCITY
58.48 REF PRCITY
2015/09/000226 06/04/2015 PRJ
26020010 85146
10,428.85
WARRANT=060415
WARRANT=061815
0
0
2015/09/000226 06/04/2015 PRJ
26020010 85130
10,428.85
742.88 REF PRCITY
14.11 REF PRCITY
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
0
10,231.68 REF PRCITY
197.17 REF PRCITY
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
26020010 85120
0
-719.43
100.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
0
0
14,335.94
13,940.16
.00
-14,335.94
12,000
12,000
10,053.61
3,687.76
.00
1,946.39
100.0%
91 OPERATING EXPENSES
_________________________________________
26020010 85428
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
TRAVEL & TRAINING
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
215.00
215.00
215.00
215.00
865.00
VND
VND
VND
VND
VND
010168
010168
010168
010168
010168
VCH373498
VCH373500
VCH373501
VCH373503
VCH373548
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
IACP - DRE Conference
IACP - DRE conference
IACP - DRE conference
IACP - DRE conference
SPILLMAN TECHNOLOGIES
registra
registra
receptio
registra
- CONFER
83.8%*
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
151
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
260
POLICE GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
26020010 MINI GRANTS
26020010 85428 TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
26020010 85590
SUPPLIES
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
449.20
449.20
433.92
25.00
596.93
8.51
VND
VND
VND
VND
VND
VND
12,000
010168
010168
010168
010168
010168
010168
VCH373561
VCH373567
VCH373610
VCH373616
VCH373625
VCH373640
12,000
371.97 VND 000387 VCH373249
339.98 VND 010168 VCH373582
3,346.20 VND 010168 VCH373628
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
12,724.65
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICAN AIRLINES-SPILLMAN TRA
AMERICAN AIRLINES-SPILLMAN TR
DOUBLETREE -Hotel E Collins
AMERICAN AIRLINES- E COLLINS
BUDGET RENT-A-CAR - PARABEN TR
SAMSCLUB - fuel E Collins
4,058.15
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
.00
-724.65
CELL PHONE CHARGES
BEST BUY-COMPUTER MONITORS
CYBERTRON INTERNATIONAL-COMPUT
4408
4408
4408
4408
4408
4408
106.0%*
193679
4408
4408
TOTAL OPERATING EXPENSES
24,000
24,000
22,778.26
7,745.91
.00
1,221.74
94.9%
TOTAL MINI GRANTS
24,000
24,000
37,114.20
21,686.07
.00
-13,114.20
154.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
152
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
260
POLICE GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
26022317 TRI-CITY HIDTA
_________________________________________
91 OPERATING EXPENSES
_________________________________________
26022317 85213
26022317 85305
CONTRACT SERVICES
UTILITY SERVICES
2015/09/000123 06/18/2015 API
26022317 85317
NATURAL GAS
2015/09/000168 06/25/2015 API
26022317 85324
REPAIR & MAINT - BU
2015/09/000010 06/09/2015 API
2015/09/000074 06/23/2015 API
2015/09/000074 06/23/2015 API
26022317 85410
TELEPHONE EXPENSE
2015/09/000002 06/09/2015 API
26022317 85428
26022317 85463
TRAVEL & TRAINING
INVESTIGATIVE EXPEN
2015/09/000100 06/23/2015 API
26022317 85505
26022317 85590
OFFICE SUPPLIES
SUPPLIES
4,200
6,000
4,200
6,000
318.33 VND 000385 VCH375180
4,000
4,000
25.67 VND 000336 VCH375420
8,004
8,004
400.00 VND 010219 VCH373441
250.00 VND 000799 VCH374230
17.30 VND 000301 VCH374235
900
900
91.83 VND 000387 VCH373249
500
26,838
500
26,838
650.00 VND 001898 VCH374411
2,100.00
3,479.15
.00
318.33
1,750.00
.00
350.00
2,520.85
SOUTHERN POWER DISTR ELECTRIC BILL
2,728.63
25.67
NORTHWESTERN
5,689.70
193710
.00
1,271.37
NATURAL GAS BILL
667.30
6,350.00
91.83
STATE DIV OF COMM
.00
30,460.00
.00
-4,035.70
.00
.00
150.4%*
193680
193857
193767
337.48
CELL PHONE CHARGES
.00
650.00
68.2%
193924
STUEVEN, IDA B
CLEANING SERVICE
KNOTT, RON
GROUNDSKEEPING
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
562.52
91.7%*
58.0%
62.5%
193679
500.00
-3,622.00
CENTRAL NE DRUG & SA PE/PI
.0%
113.5%*
193813
0
5,000
0
5,000
325.65
290.00
.00
.00
.00
.00
-325.65
4,710.00
100.0%*
5.8%
TOTAL OPERATING EXPENSES
55,442
55,442
45,635.65
1,753.13
8,100.00
1,706.35
96.9%
TOTAL TRI-CITY HIDTA
55,442
55,442
45,635.65
1,753.13
8,100.00
1,706.35
96.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
153
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
260
POLICE GRANTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
26022321 BULLETPROOF VEST PARTNERSHIP
_________________________________________
91 OPERATING EXPENSES
_________________________________________
26022321 85546
BULLETPROOF VESTS
15,000
15,000
.00
.00
5,563.22
9,436.78
37.1%
TOTAL OPERATING EXPENSES
15,000
15,000
.00
.00
5,563.22
9,436.78
37.1%
TOTAL BULLETPROOF VEST PARTNERSHI
15,000
15,000
.00
.00
5,563.22
9,436.78
37.1%
119,442
119,442
139,878.10
23,439.20
13,663.22
-34,099.32
128.5%
119,442
119,442
139,878.10
23,439.20
13,663.22
-34,099.32
TOTAL POLICE GRANTS
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
154
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
270
PARKING DISTRICT#1
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
27010001 PARKING DISTRICT#1
_________________________________________
91 OPERATING EXPENSES
_________________________________________
27010001 85213
CONTRACT SERVICES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
27010001 85249
27010001 85290
27010001 85305
SNOW & ICE REMOVAL
OTHER PROFESSIONAL
UTILITY SERVICES
2015/09/000109 06/23/2015 API
27010001 85319
27010001 85390
REPAIR & MAIN-LD IM
OTHER PROPERTY SERV
2015/09/000122 06/18/2015 API
27010001 85405
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
27010001 85413
POSTAGE
LEGAL NOTICES
TREES & SHRUBS
57,000
330.00 VND 010168 VCH373807
370.08 VND 010168 VCH374862
20,000
750
3,000
20,000
750
3,000
497.62 VND 000091 VCH374519
3,000
5,000
3,000
5,000
54.60 VND 010168 VCH374844
600
600
50.00 VND 000036 VCH373412
200
2015/09/000002 06/09/2015 API
27010001 85419
27010001 85560
57,000
200
11.84 VND 000089 VCH373207
4,276.28
700.08
BANK OF AMERICA
BANK OF AMERICA
11,916.43
436.80
2,237.68
CITY ELECT 100-101S
8,083.57
313.20
762.32
.00
.00
3,000.00
4,687.00
MID NEBR DISPOSAL-Trash servic
50.00
CITY FINANCE DEPT
229.81
.00
.00
.00
INTERDEPARTMENTAL UTILITY BILL
.00
54.60
BANK OF AMERICA
450.00
51,968.77
PRESTOX- DT PEST CONTROL
RICKS LAWN CARE-DT MAINT & MOW
.00
.00
497.62
.00
313.00
754.95
.00
150.00
JUNE 2015 PREMIUMS & LIABILITY
11.84
.00
-29.81
CITY UTIL-METER POST APR 2015 POSTAGE
8.8%
4408
4436
59.6%
58.2%
74.6%
193817
.0%
6.3%
4436
75.0%
193553
114.9%*
193557
600
1,000
600
1,000
.00
670.00
.00
.00
.00
.00
600.00
330.00
.0%
67.0%
TOTAL OPERATING EXPENSES
91,150
91,150
20,530.00
1,314.14
754.95
69,865.05
23.4%
TOTAL PARKING DISTRICT#1
91,150
91,150
20,530.00
1,314.14
754.95
69,865.05
23.4%
TOTAL PARKING DISTRICT#1
91,150
91,150
20,530.00
1,314.14
754.95
69,865.05
23.4%
91,150
91,150
20,530.00
1,314.14
754.95
69,865.05
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
155
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
271
PARKING DISTRICT#2
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
27110010 PARKING DISTRICT#2
_________________________________________
91 OPERATING EXPENSES
_________________________________________
27110010 85209
COLLECTION SERVICES
2015/09/000118 06/17/2015 CRP
27110010 85213
CONTRACT SERVICES
2015/09/000122 06/18/2015 API
27110010 85249
27110010 85305
SNOW & ICE REMOVAL
UTILITY SERVICES
2015/09/000109 06/23/2015 API
27110010 85319
27110010 85324
27110010 85405
REPAIR & MAIN-LD IM
REPAIR & MAINT - BU
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
27110010 85419
80
80
14.09 REF 177144
62.75
75,970
HALL COUNTY
75,970
208.92 VND 010168 VCH374862
6,000
5,000
6,000
5,000
361.35 VND 000091 VCH374519
2,500
10,000
400
14.09
2,500
10,000
400
33.33 VND 000036 VCH373412
.00
17.25
78.4%*
MAY 2015 PROP TAX
368.92
208.92
BANK OF AMERICA
2,440.92
3,386.46
75,601.08
RICKS LAWN CARE-DT MAINT & MOW
.00
361.35
CITY ELECT 100-101S
325.00
10,901.97
300.01
.00
3,559.08
1,613.54
INTERDEPARTMENTAL UTILITY BILL
.00
.00
33.33
CITY FINANCE DEPT
.00
.00
.00
.00
.00
2,175.00
-901.97
99.99
JUNE 2015 PREMIUMS & LIABILITY
.5%
4436
40.7%
67.7%
193817
13.0%
109.0%*
75.0%
193553
LEGAL NOTICES
50
50
.00
.00
.00
50.00
.0%
TOTAL OPERATING EXPENSES
100,000
100,000
17,786.03
617.69
.00
82,213.97
17.8%
TOTAL PARKING DISTRICT#2
100,000
100,000
17,786.03
617.69
.00
82,213.97
17.8%
TOTAL PARKING DISTRICT#2
100,000
100,000
17,786.03
617.69
.00
82,213.97
17.8%
100,000
100,000
17,786.03
617.69
.00
82,213.97
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
156
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
280
PIONEER CONSORTIUM
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
28014310 PIONEER CONSORTIUM
_________________________________________
91 OPERATING EXPENSES
_________________________________________
28014310 85221
28014310 85241
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000154
28014310 85428
28014310 85505
ADMINISTRATIVE SERV
COMPUTER SERVICES
06/23/2015
06/23/2015
06/23/2015
06/22/2015
API
API
API
CRP
5,000
177,400
7,108.00
6,800.00
20,000.00
-6,800.00
TRAVEL & TRAINING
OFFICE SUPPLIES
VND
VND
VND
REF
5,000
177,400
.00
39,887.55
.00
27,108.00
.00
4,000.00
5,000.00
133,512.45
001547 VCH374427
CITY OF GRAND ISLAND ANNUAL PIONEER MEMBERSHIP ASSE
010194 VCH374449
LIBLIME
DATA EXTRACTION AND DELETION
010194 VCH374450
LIBLIME
ANNUAL PIONEER CONSORTIUM MAIN
177384
LIBRARY
06/22/15 RECEIPT
.0%
24.7%
193818
193761
193761
4,000
3,600
4,000
3,600
.00
.00
.00
.00
.00
.00
4,000.00
3,600.00
.0%
.0%
TOTAL OPERATING EXPENSES
190,000
190,000
39,887.55
27,108.00
4,000.00
146,112.45
23.1%
TOTAL PIONEER CONSORTIUM
190,000
190,000
39,887.55
27,108.00
4,000.00
146,112.45
23.1%
TOTAL PIONEER CONSORTIUM
190,000
190,000
39,887.55
27,108.00
4,000.00
146,112.45
23.1%
190,000
190,000
39,887.55
27,108.00
4,000.00
146,112.45
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
157
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
295
LOCAL ASSISTANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
29522001 FIRE AND AMBULANCE SERVICES
_________________________________________
91 OPERATING EXPENSES
_________________________________________
29522001
29522001
29522001
29522001
85018
85019
85020
85022
PARAMEDIC PROJECT
FIRE PROJECTS
CONVALESCENT
SMOKE DETECTOR PROG
11,793
3,636
539
5,260
11,793
3,636
539
5,260
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
11,793.00
3,636.00
539.00
5,260.00
.0%
.0%
.0%
.0%
TOTAL OPERATING EXPENSES
21,228
21,228
.00
.00
.00
21,228.00
.0%
TOTAL FIRE AND AMBULANCE SERVICES
21,228
21,228
.00
.00
.00
21,228.00
.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
158
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
295
LOCAL ASSISTANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
29522301 POLICE PROJECTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
29522301 85013
29522301 85014
29522301 85040
CANINE UNIT
DEA PROJECTS
YOUTH PROJECTS
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
500
10,000
500
500
10,000
500
25.54 VND 010168 VCH373522
24.84 VND 010168 VCH373555
.00
.00
293.37
BANK OF AMERICA
BANK OF AMERICA
.00
.00
50.38
.00
.00
.00
500.00
10,000.00
206.63
SAMS CLUB -youth projects
SAMS CLUB #6461 - youth projec
.0%
.0%
58.7%
4408
4408
TOTAL OPERATING EXPENSES
11,000
11,000
293.37
50.38
.00
10,706.63
2.7%
TOTAL POLICE PROJECTS
11,000
11,000
293.37
50.38
.00
10,706.63
2.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
159
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
295
LOCAL ASSISTANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
29544401 PARK PROJECTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
29544401
29544401
29544401
29544401
85016
85024
85421
85747
PARK PROJECT
GRAND ISLAND GAMES
ARBORETUM
GREENHOUSE FLOWERS
0
6,000
0
100
0
6,000
0
100
2,901.25
4,424.19
119.88
100.00
.00
.00
.00
.00
.00
.00
.00
.00
-2,901.25
1,575.81
-119.88
.00
100.0%*
73.7%
100.0%*
100.0%*
TOTAL OPERATING EXPENSES
6,100
6,100
7,545.32
.00
.00
-1,445.32
123.7%
TOTAL PARK PROJECTS
6,100
6,100
7,545.32
.00
.00
-1,445.32
123.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
160
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
295
LOCAL ASSISTANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
29555001 OTHER DEPARTMENT PROJECTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
29555001 85041
29555001 85042
29555001 85749
PLANNING COMMISSION
EDITH ABBOTT MEMORI
GRANDER VISION PLAN
120
200,000
50,000
120
200,000
50,000
111.20
11,753.88
46,207.73
.00
.00
.00
.00
1,725.00
5,519.98
8.80
186,521.12
-1,727.71
92.7%*
6.7%
103.5%*
250,120
250,120
58,072.81
.00
7,244.98
184,802.21
26.1%
250,000
250,000
.00
.00
.00
250,000.00
.0%
TOTAL CAPITAL OUTLAY
250,000
250,000
.00
.00
.00
250,000.00
.0%
TOTAL OTHER DEPARTMENT PROJECTS
500,120
500,120
58,072.81
.00
7,244.98
434,802.21
13.1%
TOTAL LOCAL ASSISTANCE
538,448
538,448
65,911.50
50.38
7,244.98
465,291.52
13.6%
538,448
538,448
65,911.50
50.38
7,244.98
465,291.52
TOTAL OPERATING EXPENSES
96 CAPITAL OUTLAY
_________________________________________
29555001 85010
CONTINGENCY PROJECT
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
161
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
310
DEBT SERVICE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
31050101 DEBT SERVICE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
31050101 85209
COLLECTION SERVICES
2015/09/000118 06/17/2015 CRP
13,000
13,000
730.97 REF 177144
5,770.46
TOTAL OPERATING EXPENSES
HALL COUNTY
730.97
.00
7,229.54
44.4%
MAY 2015 PROP TAX
13,000
13,000
5,770.46
730.97
.00
7,229.54
44.4%
2,150,000
2,150,000
722,892.32
2,483.21
.00
1,427,107.68
33.6%
99 OTHER FINANCING USES
_________________________________________
31050101 85805
TRANSFERS OUT
2015/09/001023 06/30/2015 GNI
2,483.21 REF
June 2014 400 Fund Transfer
TOTAL OTHER FINANCING USES
2,150,000
2,150,000
722,892.32
2,483.21
.00
1,427,107.68
33.6%
TOTAL DEBT SERVICE
2,163,000
2,163,000
728,662.78
3,214.18
.00
1,434,337.22
33.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
162
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
310
DEBT SERVICE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
31050156 02 VP BOND-REFINANCED 09
_________________________________________
95 DEBT SERVICE
_________________________________________
31050156 85705
31050156 85715
31050156 85725
BOND PRINCIPAL
BOND INTEREST
FISCAL AGENT FEES
1,390,000
50,000
500
1,390,000
50,000
500
1,390,000.00
20,480.00
500.00
.00
.00
.00
.00
.00
.00
.00
29,520.00
.00
100.0%*
41.0%
100.0%*
TOTAL DEBT SERVICE
1,440,500
1,440,500
1,410,980.00
.00
.00
29,520.00
98.0%
TOTAL 02 VP BOND-REFINANCED 09
1,440,500
1,440,500
1,410,980.00
.00
.00
29,520.00
98.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
163
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
310
DEBT SERVICE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
31050160 2006 LAW ENFORCEMENT CENTER
_________________________________________
95 DEBT SERVICE
_________________________________________
31050160 85705
31050160 85715
31050160 85725
BOND PRINCIPAL
BOND INTEREST
FISCAL AGENT FEES
740,000
75,790
500
740,000
75,790
500
.00
37,895.00
250.00
.00
.00
.00
.00
.00
.00
740,000.00
37,895.00
250.00
.0%
50.0%
50.0%
TOTAL DEBT SERVICE
816,290
816,290
38,145.00
.00
.00
778,145.00
4.7%
TOTAL 2006 LAW ENFORCEMENT CENTER
816,290
816,290
38,145.00
.00
.00
778,145.00
4.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
164
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
310
DEBT SERVICE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
31050161 2014-15 STREET IMPROVEMENT DIS
_________________________________________
95 DEBT SERVICE
_________________________________________
31050161 85715
31050161 85725
BOND INTEREST
FISCAL AGENT FEES
0
0
0
0
6,764.33
500.00
.00
.00
.00
.00
-6,764.33
-500.00
100.0%*
100.0%*
TOTAL DEBT SERVICE
0
0
7,264.33
.00
.00
-7,264.33
100.0%
TOTAL 2014-15 STREET IMPROVEMENT
0
0
7,264.33
.00
.00
-7,264.33
100.0%
4,419,790
4,419,790
2,185,052.11
3,214.18
.00
2,234,737.89
49.4%
4,419,790
4,419,790
2,185,052.11
3,214.18
.00
2,234,737.89
TOTAL DEBT SERVICE
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
165
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40015025 CAPITAL PROJECTS
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40015025 90000
INFRASTRUCTURE EMER
2015/09/000031 06/05/2015 API
40015025 90003
GRAND GENERATION CE
2015/09/000002 06/09/2015 API
40015025 90154
DIGITAL ANTENNA/TRA
40,000
40,000
4,455.00 VND 010168 VCH373706
100,000
100,000
2,500.00 VND 007787 VCH373254
4,455.00
4,455.00
BANK OF AMERICA
7,822.20
31,369.70
ACEREALTIME-Extended Warranty
2,500.00
TRI-CITY ELECTRIC
4,175.30
13,345.00
78,832.80
REPLACE BALLASTS & LAMPS
21.6%
4408
21.2%
193686
100,000
100,000
.00
.00
.00
100,000.00
.0%
TOTAL CAPITAL OUTLAY
240,000
240,000
12,277.20
6,955.00
17,520.30
210,202.50
12.4%
TOTAL CAPITAL PROJECTS
240,000
240,000
12,277.20
6,955.00
17,520.30
210,202.50
12.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
166
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40031235 STREET PROJECTS
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40031235 90158
FAIDLEY & DIERS TRA
0
0
37,458.93
.00
28,232.32
-65,691.25
100.0%*
TOTAL CAPITAL OUTLAY
0
0
37,458.93
.00
28,232.32
-65,691.25
100.0%
TOTAL STREET PROJECTS
0
0
37,458.93
.00
28,232.32
-65,691.25
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
167
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40033520 DRAINAGE PROJECTS
_________________________________________
65 CAPITAL ASSETS
_________________________________________
40033520 90050
MOORES CREEK NORTH
0
0
7,060.00
.00
3,200.00
-10,260.00
100.0%*
0
0
7,060.00
.00
3,200.00
-10,260.00
100.0%
600,000
0
0
0
0
0
0
600,000
0
0
0
0
0
0
406,263.99
.00
779.19
2,557.43
12,311.91
127,589.51
25,591.91
.00
.00
.00
.00
.00
.00
.00
2,760,282.47
1,200.00
.00
4,942.57
5,374.33
28,609.64
14,208.09
-2,566,546.46
-1,200.00
-779.19
-7,500.00
-17,686.24
-156,199.15
-39,800.00
527.8%*
100.0%*
100.0%*
100.0%*
100.0%*
100.0%*
100.0%*
TOTAL CAPITAL OUTLAY
600,000
600,000
575,093.94
.00
2,814,617.10
-2,789,711.04
565.0%
TOTAL DRAINAGE PROJECTS
600,000
600,000
582,153.94
.00
2,817,817.10
-2,799,971.04
566.7%
TOTAL CAPITAL ASSETS
96 CAPITAL OUTLAY
_________________________________________
40033520
40033520
40033520
40033520
40033520
40033520
40033520
90016
90018
90114
90126
90155
90156
90159
STORM WATER PLANNIN
DRAINWAY-CCC TO WOO
US HWY 30 DRAINAGE
MOORE CREEK DRAIN C
CLAUDE RD DRAINAGE
WESTGATE DRAINAGE D
WEBB ROAD DRAINAGE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
168
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40033525 STREET CONSTRUCTION
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40033525 90041
40033525 90047
40033525 90053
RESURFACING-FED AID
WESTGATE SID #1261
CAPITAL-WEBB TO BRO
2015/09/000002 06/09/2015 API
40033525 90130
WEBB RD SID #1260
2015/09/000109 06/23/2015 API
40033525 90141
40033525 90150
WOOD RIVER BRIDGEANNUAL HANDICAP RAM
2015/09/000100 06/23/2015 API
40033525 90184
40033525 90185
WHEELER AVE BUMP OU
STOLLEY PARK RD RES
2015/09/000002 06/09/2015 API
0
0
2,307,990
0
0
2,307,990
.00
68,486.44
2,640,279.08
332,289.08 VND 000336 VCH373228
0
0
500,000
165,000
500,000
165,000
0
0
-5,127.16
-133,592.53
-332,289.08
CAPITAL AVE GAS MAIN
2,483.21
.00
25,682.30
DIAMOND ENGINEERING
26,530.55
34,812.82
6,359.04 VND 000190 VCH373237
5,127.16
65,106.09
.00
183,879.07
436,481.44
177,455.34
-838,284.95
58,485.39
-90,852.17
HANDICAP RAMP PROJECTS
.00
6,359.04
199,924.70
44,487.18
100.0%*
100.0%*
114.4%*
193663
OLSSON ASSOCIATES IN WEBB RD #1260 CONST ENG SERVIC
5,033.17
78,396.83
25,682.30 VND 000154 VCH374482
0
0
NORTHWESTERN
654,405.88
2,483.21 VND 000190 VCH374556
.00
.00
332,289.08
-226,455.25
-79,300.00
OLSSON ASSOCIATES IN STOLLEY PARK RD IMPROVEMENTS
100.0%*
193774
88.3%*
155.1%*
193829
100.0%*
100.0%*
193590
TOTAL CAPITAL OUTLAY
2,972,990
2,972,990
3,507,944.77
366,813.63
1,112,460.98
-1,647,415.75
155.4%
TOTAL STREET CONSTRUCTION
2,972,990
2,972,990
3,507,944.77
366,813.63
1,112,460.98
-1,647,415.75
155.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
169
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40033530 BONDED STREET & SEWER PROJECTS
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40033530 90051
40033530 90056
40033530 90062
FUTURE 2013 PROJECT
HUSKER HWY 281 TO L
FAIDLEY-N RD TO IRO
2015/09/000002 06/09/2015 API
2015/09/000100 06/23/2015 API
40033530 90065
40033530 90186
3,805,000
0
350,000
3,805,000
0
350,000
.00
12,854.34
770,276.61
204,242.50 VND 000154 VCH373213
28.00 VND 000082 VCH374479
WALNUT SCHOOL ENTRA
SWIFT RD PAVING DIS
2015/09/000002 06/09/2015 API
0
0
0
0
DIAMOND ENGINEERING
CITY PETTY CASH
733.16
14,776.00
2,451.50 VND 009935 VCH373199
.00
.00
204,270.50
BENESCH
.00
.00
331,644.80
3,805,000.00
-12,854.34
-751,921.41
FAIDLEY AVENUE PAVING & WATER
PETTY CASH REIMBURSEMENT
.00
2,451.50
155.87
13,510.00
-889.03
-28,286.00
SWIFT RD PAVING DISTRICT PE
.0%
100.0%*
314.8%*
193629
193819
100.0%*
100.0%*
193613
TOTAL CAPITAL OUTLAY
4,155,000
4,155,000
798,640.11
206,722.00
345,310.67
3,011,049.22
27.5%
TOTAL BONDED STREET & SEWER PROJE
4,155,000
4,155,000
798,640.11
206,722.00
345,310.67
3,011,049.22
27.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
170
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40033535 PUBLIC WORKS PROJECTS
_________________________________________
40033535 90187
STOLLEY PARK ENTRAN
0
0
117.83
.00
.00
-117.83
100.0%*
0
0
117.83
.00
.00
-117.83
100.0%
0
80,000
0
80,000
17,829.70
.00
.00
.00
.00
18,707.09
-17,829.70
61,292.91
TOTAL CAPITAL OUTLAY
80,000
80,000
17,829.70
.00
18,707.09
43,463.21
45.7%
TOTAL PUBLIC WORKS PROJECTS
80,000
80,000
17,947.53
.00
18,707.09
43,345.38
45.8%
TOTAL UNDEFINED CHAR
96 CAPITAL OUTLAY
_________________________________________
40033535 90131
40033535 90132
BLAINE ST BRIDGE SU
UNDERPASS BRIDGES
100.0%*
23.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
171
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40040450 CEMETERY
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40040450 90179
CEMETARY EXPANSION
2015/09/000074 06/23/2015 API
29,670
29,670
10,800.00 VND 000758 VCH374272
31,002.88
10,800.00
WEGNER MONUMENT CO
12,930.12
-14,263.00
48 NICHE COLUMBARIUM CEMETERY
148.1%*
193918
TOTAL CAPITAL OUTLAY
29,670
29,670
31,002.88
10,800.00
12,930.12
-14,263.00
148.1%
TOTAL CEMETERY
29,670
29,670
31,002.88
10,800.00
12,930.12
-14,263.00
148.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
172
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40040650 PARK PROJECTS
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40040650 90180
40040650 90182
40040650 90183
HPSP ENTRY ROAD REH
RYDER TENNIS COURT
DOG PARK DEVELOPMEN
375,000
175,000
50,000
375,000
175,000
50,000
120.06
18,950.61
.00
.00
.00
.00
5,780.00
440.00
4,506.94
369,099.94
155,609.39
45,493.06
1.6%
11.1%
9.0%
TOTAL CAPITAL OUTLAY
600,000
600,000
19,070.67
.00
10,726.94
570,202.39
5.0%
TOTAL PARK PROJECTS
600,000
600,000
19,070.67
.00
10,726.94
570,202.39
5.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
173
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
400
CAPITAL PROJECTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
40044450 PARKS & RECREATION
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
40044450 90027
MISCELLANEOUS PARK
150,000
2015/09/000002 06/09/2015 API
40044450 90029
40044450 90031
40044450 90032
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
API
API
API
API
API
API
API
API
API
API
API
API
API
API
89,983.10
776.79 VND 000190 VCH373236
NIEDFELDT PARK
HIKER BIKER TRAILS
WATER PARK EXPANSIO
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
150,000
150,000
112,932
500,000
50.00
4,485.07
658.00
683.50
662.65
5,005.00
132,675.00
386.00
17,690.00
2,800.00
553.00
-386.00
6,947.77
399.60
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
150,000
112,932
500,000
004590
000392
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
301.03
59,715.87
OLSSON ASSOCIATES IN CONSTRUCTION OBSERVATION GEORG
140.63
20,048.53
392,789.28
VCH373214
VCH373252
VCH373547
VCH373704
VCH373749
VCH373800
VCH373867
VCH373920
VCH374639
VCH374747
VCH374768
VCH374780
VCH374817
VCH375008
776.79
.00
.00
172,609.59
ESSINK BROTHERS DRYW
TELEPHONE SYSTEMS OF
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
7,750.00
74,251.38
.00
142,109.37
18,632.09
107,210.72
BATHHOUSE CEILING UPGRADE AT I
NEW CAMERAS FOR THE WATER PARK
R J THOMAS MFG- Benches for IO
ISLAND GLASS COMPANY - Mirror
CHIEF CONSTRUCT-Wave Machine w
ZEBEC - Lily Pads for IO
AQUATIC DEVELOPMENT - Wave Mac
HESSELGESSER ELECTR-MOTOR
AQUATIC DEVEL-Wave Machine-fin
HEARTLAND ELECT-Light-Wave Mac
HESSELGESSER ELECTRIC-MOTOR
HESSELGESSER ELE-RETURN MOTOR
MIDWEST SOUND-SoundsSystem @ I
MIDWEST SOUND-Extra Speaker fo
60.2%
193590
5.3%
83.5%*
78.6%*
193634
193683
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
TOTAL CAPITAL OUTLAY
912,932
912,932
502,961.54
173,386.38
82,302.41
327,668.05
64.1%
TOTAL PARKS & RECREATION
912,932
912,932
502,961.54
173,386.38
82,302.41
327,668.05
64.1%
9,590,592
9,590,592
5,509,457.57
764,677.01
4,446,007.93
-364,873.50
103.8%
9,590,592
9,590,592
5,509,457.57
764,677.01
4,446,007.93
-364,873.50
TOTAL CAPITAL PROJECTS
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
174
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530040 TRANSFER STATION
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
50530040 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530040 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530040 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530040 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530040 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
50530040 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530040 85140
CLOTHING ALLOWANCE
2015/09/000235 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
50530040 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
249,452
249,452
182,785.88
12,481.23 REF PRCITY
8,788.24 REF PRCITY
24,000
32,000
26,487.43
20,918
14,915.84
57,041.10
2,714.09 REF PRCITY
-51.35 REF PRCITY
2,929.88 REF PRCITY
278.90
31.12 REF PRCITY
302.97
17.58 REF PRCITY
15.50 REF PRCITY
33.08
210
148.56
-5.92
82.8%*
6,002.16
71.3%
20,181.90
73.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
95.10
74.6%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
-2.96 REF
-2.96 REF
15,916
31.12
5,512.57
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
477
210
5,592.62
73.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=060415
WARRANT=061815
374
477
1,698.43
66,666.12
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
77,223
374
2,329.95
WARRANT=060415
WARRANT=061815
958.85 REF PRCITY
739.58 REF PRCITY
77,223
.00
WARRANT=060415
WARRANT=061815
774.03 REF PRCITY
1,555.92 REF PRCITY
20,918
21,269.47
174.03
63.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
61.44
70.7%
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
15,916
784.84 REF PRCITY
609.70 REF PRCITY
12,343.96
1,394.54
.00
WARRANT=060415
WARRANT=061815
3,572.04
RUN=1 CITY BIW
RUN=1 CITY BIW
77.6%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
175
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530040 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
50530040 85160
6,271
OTHER EMPLOYEE BENE
185
185
3,432
522.58
CITY FINANCE DEPT
32.22
3.58 VND 008197 VCH373251
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
4,703.26
522.58 VND 000036 VCH373411
2015/09/000002 06/09/2015 API
50530040 85161
6,271
3,432
1,567.74
JUNE 2015 WORKERS COMP
3.58
TASC
2,528.17
282.57
.00
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
152.78
JULY 2015 CAFETERIA FEES
150.57 REF PRCITY
132.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
17.4%
193682
903.83
73.7%
RUN=1 CITY BIW
RUN=1 CITY BIW
398,458
406,458
301,568.29
33,152.02
.00
104,889.71
1,800
34,000
1,800
74,000
1,800.00
33,362.71
.00
4,132.56
.00
12,338.26
.00
28,299.03
74.2%
91 OPERATING EXPENSES
_________________________________________
50530040 85201
50530040 85213
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000086
2015/09/000109
2015/09/000130
50530040 85221
AUDITING & ACCOUNTI
CONTRACT SERVICES
06/09/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
ADMINISTRATIVE SERV
2015/09/000010 06/09/2015 API
2015/09/000033 06/09/2015 API
2015/09/000131 06/15/2015 API
50530040 85245
50530040 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000122 06/18/2015 API
50530040 85324
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
REPAIR & MAINT - BU
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
API
1,008.59
41.20
874.91
1,054.17
1,099.74
53.95
VND
VND
VND
VND
VND
VND
6,801
007012
010168
007012
007012
007012
007012
VCH373418
VCH373909
VCH374076
VCH374328
VCH374527
VCH375201
6,801
33.72 VND 000089 VCH373399
242.00 VND 000035 VCH374051
423.85 VND 008720 VCH374440
1,600
10,000
1,600
10,000
350.00 VND 010168 VCH375023
94,000
100.00
558.87
289.85
26.22
2,150.00
11.98
VND
VND
VND
VND
VND
VND
109,000
000205
010168
010168
010168
010168
010168
VCH373414
VCH373874
VCH373878
VCH373887
VCH373959
VCH373998
ESSENTIAL PERSONNEL
BANK OF AMERICA
ESSENTIAL PERSONNEL
ESSENTIAL PERSONNEL
ESSENTIAL PERSONNEL
ESSENTIAL PERSONNEL
6,288.30
CONTRACT LABOR
JCE PRESTOX - Pest control
CONTRACT LABOR
CONTRACT LABOR
CONTRACT LABOR
SCREENING/BACKGROUND CHECK FOR
699.57
.00
512.70
CITY UTIL-METER POST APRIL 2015 POSTAGE
CITY IT DEPT
JUNE 2015 IT SUPPORT
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEES
620.59
4,457.52
.00
350.00
BANK OF AMERICA
89,853.57
.00
.00
979.41
5,542.48
SOUTHERN POWER DIS-Electric
8,160.21
1,500.00
17,646.43
CORNHUSKER PARKING L PARKING LOT CLEANING
BANK OF AMERICA
NSG GALETON GLOVES - Brown Glo
BANK OF AMERICA
GARRETT TIRES-Tire Repair
BANK OF AMERICA
GRONES-VALVE FOR PRESSURE WASH
BANK OF AMERICA
TRI-CITIES GROUP-Roof Repair
BANK OF AMERICA
SAMSCLUB #6461 - Tissue
100.0%*
61.8%
193567
4408
193567
193740
193740
193740
92.5%*
193557
193554
4433
38.8%
44.6%
4436
83.8%*
193626
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
176
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530040 TRANSFER STATION
50530040 85324 REPAIR & MAINT - BU
2015/09/000086 06/23/2015 API
2015/09/000086 06/23/2015 API
2015/09/000086 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530040 85340
RENT
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
50530040 85410
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
50530040 85422
50530040 85424
TELEPHONE
06/09/2015
06/09/2015
06/05/2015
06/05/2015
API
API
API
API
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
OTHER EXPENDITURES
OFFICE SUPPLIES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
000083
006012
009634
010168
010168
010168
010168
010168
010168
010168
VCH374316
VCH374339
VCH374377
VCH374694
VCH374750
VCH374857
VCH374899
VCH375086
VCH375088
VCH375132
7,000
432.57 VND 010168 VCH373716
39.25 VND 010168 VCH375060
269.27 VND 010168 VCH375096
15,600
15,600
1,300.00 VND 000036 VCH373412
3,300
2015/09/000226 06/04/2015 PRJ
50530040 85428
50530040 85490
50530040 85505
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
7,000
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530040 85401
2,589.70
80.00
100.00
851.50
41.93
97.17
427.33
20.27
236.94
578.45
57.07
1.94
18.45
122.04
VND
VND
VND
VND
1,500
65,000
3,300
000387
000387
010168
010168
VCH373249
VCH373250
VCH373679
VCH373711
1,500
75,000
CITY FLEET SERVICES
HEARTLAND DISPOSAL
TORRES, CAROL
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
3,763.27
741.09
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
11,700.00
CITY FINANCE DEPT
1,654.19
4,000
0
3,400
19.40 VND 010168 VCH374660
241.98 VND 010168 VCH374895
38.76 VND 010168 VCH374912
.00
.00
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
3,900.00
1,645.81
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
CENTURYLINK - PHONE SERVICE TH
.00
48.15
.00
750.00
WARRANT=060415
1,488.97
469.45
3,979.95
3,236.73
JUNE 2015 PREMIUMS & LIABILITY
199.50
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
.00
59,549.40
.00
UNIFORM&CAREER AP-JANITORIAL/M
CULLIGAN- Bottled Water
UNIFORM APPAREL-Janitorial sup
1,300.00
48.15 REF PRCITY
4,000
0
3,400
MAY 2015 REPAIR SHOP
PORTA JON - MAY 2015
OFFICE CLEANING
RMH SYSTEMS-REPAIR SCALE HOLES
MENARDS-T/S FLOWERS
ACE-Transfser Station Supplies
"NMC-Cutting edge,nuts, bolts"
ANDERSON AUTO PAR-Truck Repair
NE TRUCK CENT-Truck 411 repair
GARRETT TIRES-Tire Repair
.00
.00
300.14
1,500.00
14,700.60
193727
193750
193910
4436
4436
4436
4436
4436
4436
4436
53.8%
4408
4436
4436
75.0%
193553
50.1%
193679
193679
4408
4408
.0%
80.4%*
RUN=1 CITY BIW
.00
.00
.00
2,511.03
-469.45
-579.95
CAPITAL BUSINESS-Copier Chgs
OFFICEMAX- Office Chair/toner
SAMSCLUB-Paper/highlighters
37.2%
100.0%*
117.1%*
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
177
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530040 85515
GASOLINE
2015/09/000086 06/23/2015 API
50530040 85520
50530040 85540
3,300
3,300
1,111.12
109.99 VND 000083 VCH374316
DIESEL FUEL
MISC OPERATING EQUI
TOTAL OPERATING EXPENSES
109.99
CITY FLEET SERVICES
.00
2,188.88
MAY 2015 REPAIR SHOP
33.7%
193727
110,000
18,000
130,000
18,000
47,765.53
9,729.91
.00
.00
.00
.00
82,234.47
8,270.09
36.7%
54.1%
379,301
464,301
277,594.48
16,041.21
14,588.26
172,118.26
62.9%
20,000
20,000
11,635.00
.00
.00
8,365.00
58.2%
20,000
20,000
11,635.00
.00
.00
8,365.00
58.2%
797,759
890,759
590,797.77
49,193.23
14,588.26
285,372.97
68.0%
96 CAPITAL OUTLAY
_________________________________________
50530040 85612
BUILDING IMPROVEMEN
TOTAL CAPITAL OUTLAY
TOTAL TRANSFER STATION
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
178
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530041 YARD WASTE SITE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
50530041 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
50530041 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85140
50530041 85145
CLOTHING ALLOWANCE
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530041 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
81,625
81,625
58,225.20
8,391.96
4,213.39 REF PRCITY
4,178.57 REF PRCITY
6,000
WARRANT=060415
WARRANT=061815
7,500
4,522.71
533.88
252.89 REF PRCITY
280.99 REF PRCITY
6,702
6,702
4,682.50
671.37
8,428.08
816.80
408.40 REF PRCITY
408.40 REF PRCITY
96
96
71.64
7.96
7.96 REF PRCITY
119
119
75.96
8.71
4.52 REF PRCITY
4.19 REF PRCITY
50
3,991
50
3,991
32.00
2,943.78
.00
322.65
166.10 REF PRCITY
156.55 REF PRCITY
2,431
2,431
202.58 VND 000036 VCH373411
1,823.26
202.58
CITY FINANCE DEPT
69.9%
7,302.92
53.6%
24.36
74.6%
RUN=1 CITY BIW
43.04
63.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
.00
WARRANT=060415
WARRANT=061815
2,019.50
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
60.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
2,977.29
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
71.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
15,731
23,399.80
.00
WARRANT=060415
WARRANT=061815
335.66 REF PRCITY
335.71 REF PRCITY
15,731
.00
18.00
1,047.22
64.0%
73.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
607.74
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
179
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530041 85160
50530041 85161
OTHER EMPLOYEE BENE
VEBA
76
858
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
76
858
.00
627.00
.00
66.00
33.00 REF PRCITY
33.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
76.00
231.00
.0%
73.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
117,679
119,179
81,432.13
11,021.91
.00
37,746.87
600
4,000
500
600
4,000
500
600.00
381.47
329.12
.00
.00
28.56
.00
.00
.00
.00
3,618.53
170.88
68.3%
91 OPERATING EXPENSES
_________________________________________
50530041 85201
50530041 85213
50530041 85305
AUDITING & ACCOUNTI
CONTRACT SERVICES
UTILITY SERVICES
2015/09/000122 06/18/2015 API
50530041 85324
REPAIR & MAINT - BU
2015/09/000086 06/23/2015 API
50530041 85340
RENT
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530041 85401
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
50530041 85410
TELEPHONE
2015/09/000002 06/09/2015 API
50530041
50530041
50530041
50530041
50530041
50530041
50530041
85422
85424
85428
85505
85515
85520
85540
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
OFFICE SUPPLIES
GASOLINE
DIESEL FUEL
MISC OPERATING EQUI
28.56 VND 010168 VCH375023
7,000
7,000
80.00 VND 006012 VCH374339
2,100
2,100
144.20 VND 010168 VCH373716
20.25 VND 010168 VCH375060
89.76 VND 010168 VCH375096
6,100
6,100
508.33 VND 000036 VCH373412
500
500
64.55 VND 000387 VCH373249
225
400
300
500
450
3,000
1,450
225
400
300
500
450
3,000
1,450
BANK OF AMERICA
2,298.93
SOUTHERN POWER DIS-Electric
80.00
HEARTLAND DISPOSAL
915.27
4,575.01
508.33
1,184.73
.00
1,524.99
JUNE 2015 PREMIUMS & LIABILITY
64.55
STATE DIV OF COMM
.00
.00
.00
592.30
.00
.00
759.98
.00
.00
30.21
CELL PHONE CHARGES
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
4436
38.6%
193750
UNIFORM&CAREER AP-JANITORIAL/M
CULLIGAN- Bottled Water
UNIFORM APPAREL-Janitorial sup
CITY FINANCE DEPT
469.79
4,301.07
PORTA JON - MAY 2015
254.21
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
400.00
100.0%*
9.5%
65.8%
43.6%
4408
4436
4436
75.0%
193553
94.0%*
193679
225.00
400.00
300.00
-92.30
450.00
3,000.00
690.02
.0%
.0%
.0%
118.5%*
.0%
.0%
52.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
180
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL OPERATING EXPENSES
TOTAL YARD WASTE SITE
27,125
27,125
10,921.87
935.65
400.00
15,803.13
41.7%
144,804
146,304
92,354.00
11,957.56
400.00
53,550.00
63.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
181
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530043 LANDFILL
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
50530043 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530043 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530043 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530043 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530043 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
50530043 85130
DISABLITY INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
50530043 85140
CLOTHING ALLOWANCE
2015/09/000235 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
50530043 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
290,675
290,675
215,300.79
12,031.64 REF PRCITY
10,073.29 REF PRCITY
30,000
37,000
23,073.93
24,531
16,419.57
62,850.01
3,234.83 REF PRCITY
-164.44 REF PRCITY
3,234.83 REF PRCITY
327.38
31.84 REF PRCITY
337.98
17.33 REF PRCITY
16.38 REF PRCITY
33.71
250
134.68
-8.88
62.4%
8,111.43
66.9%
36,923.99
63.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
151.62
68.3%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
-5.92 REF
-2.96 REF
18,263
31.84
13,926.07
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
547
250
6,305.22
74.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=060415
WARRANT=061815
479
547
1,703.78
75,374.21
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
99,774
479
2,266.19
WARRANT=060415
WARRANT=061815
887.40 REF PRCITY
816.38 REF PRCITY
99,774
.00
WARRANT=060415
WARRANT=061815
626.26 REF PRCITY
1,639.93 REF PRCITY
24,531
22,104.93
209.02
61.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
115.32
53.9%
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
18,263
700.04 REF PRCITY
644.15 REF PRCITY
13,345.14
1,344.19
.00
WARRANT=060415
WARRANT=061815
4,917.86
RUN=1 CITY BIW
RUN=1 CITY BIW
73.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
182
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530043 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
50530043 85160
7,361
OTHER EMPLOYEE BENE
185
185
4,290
613.42
CITY FINANCE DEPT
284.78
17.90 VND 008197 VCH373251
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
5,520.74
613.42 VND 000036 VCH373411
2015/09/000002 06/09/2015 API
50530043 85161
7,361
4,290
3,029.52
281.43
.00
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
-99.78
JULY 2015 CAFETERIA FEES
146.43 REF PRCITY
135.00 REF PRCITY
TOTAL PERSONNEL SERVICES
1,840.26
JUNE 2015 WORKERS COMP
17.90
TASC
.00
1,260.48
153.9%*
193682
70.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
476,355
483,355
340,624.52
34,693.73
.00
142,730.48
2,300
49,000
2,300
49,000
2,300.00
25,358.01
.00
998.61
.00
10,104.36
.00
13,537.63
70.5%
91 OPERATING EXPENSES
_________________________________________
50530043 85201
50530043 85213
2015/09/000010
2015/09/000031
2015/09/000100
2015/09/000109
50530043 85221
AUDITING & ACCOUNTI
CONTRACT SERVICES
06/09/2015
06/05/2015
06/23/2015
06/23/2015
API
API
API
API
ADMINISTRATIVE SERV
2015/09/000131 06/15/2015 API
50530043 85225
ENGINEERING SERVICE
2015/09/000010 06/09/2015 API
50530043 85245
50530043 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530043 85324
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
REPAIR & MAINT - BU
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
API
API
API
API
API
228.16
41.20
455.25
274.00
VND
VND
VND
VND
31,000
007012
010168
001766
000214
VCH373417
VCH373851
VCH374408
VCH374535
37,000
19.74 VND 008720 VCH374438
60,000
100,000
4,580.00 VND 009154 VCH373423
1,500
14,000
1,500
14,000
23.72 VND 010168 VCH375014
494.12 VND 010168 VCH375023
60,000
35.99
66.36
7.48
554.87
19.70
VND
VND
VND
VND
VND
75,000
010168
010168
010168
010168
010168
VCH373888
VCH373994
VCH373998
VCH374640
VCH374756
ESSENTIAL PERSONNEL
BANK OF AMERICA
ASSOCIATED STAFFING
GI INDEPENDENT
25,761.95
LITTER PICKERS
JCE PRESTOX - Pest Control
LITTER PICKERS
ADS
19.74
.00
11,238.05
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEES
54,883.29
4,580.00
G N KUHN ENGINEERI
620.60
7,629.07
43,382.97
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
.00
.00
879.40
6,370.93
SOUTHERN POWER-Electric Bill/L
SOUTHERN POWER DIS-Electric
1,401.94
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
10,923.71
AGREEMENT AMENDMENT FOR STEP 7
.00
517.84
BANK OF AMERICA
BANK OF AMERICA
34,193.00
4,850.00
26,767.03
NAPA AUTO-Pickup Repair part
"ORSCHELN GI - ball mount, etc
SAMSCLUB #6461 - Tissue
GERMAN BLISS EQUIP-Repair Part
NMC - 627G Bolts
100.0%*
72.4%
193567
4408
193717
193840
69.6%
4432
89.1%*
193569
41.4%
54.5%
4436
4436
64.3%
4408
4408
4408
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
183
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530043 LANDFILL
50530043 85324 REPAIR & MAINT - BU
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530043 85340
RENT
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530043 85401
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
50530043 85410
TELEPHONE EXPENSE
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
50530043 85422
50530043 85424
DUES & SUBSCRIPTION
LICENSE & FEES
2015/09/000109 06/23/2015 API
50530043 85428
50530043 85490
TRAVEL & TRAINING
OTHER EXPENDITURES
2015/09/000130 06/23/2015 API
2015/09/000131 06/15/2015 API
50530043
50530043
50530043
50530043
50530043
85505
85515
85520
85530
85540
OFFICE SUPPLIES
GASOLINE
DIESEL FUEL
OIL SUPPLIES
SMALL TOOLS & PARTS
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
11.82
14.84
197.22
493.66
VND
VND
VND
VND
10,500
010168
010168
010168
010168
VCH374760
VCH374851
VCH374902
VCH375143
10,500
174.14 VND 010168 VCH374745
49.00 VND 010168 VCH375053
13,400
13,400
1,116.67 VND 000036 VCH373412
3,000
3,000
57.07 VND 000387 VCH373249
41.34 VND 010168 VCH373919
99.79 VND 010168 VCH375119
400
62,500
400
62,500
1,234.10 VND 000488 VCH374551
4,000
0
4,000
0
46.62 VND 000093 VCH375190
.07 VND 008720 VCH374420
2,700
2,000
129,000
12,000
7,500
2,700
2,000
149,000
12,000
7,500
22.68 VND 010168 VCH374852
865.53 VND 010168 VCH375043
327.14 VND 010168 VCH375131
BANK
BANK
BANK
BANK
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
3,026.87
NMC - 627G Bolts
T DINSDALE CHEV-404 Pickup Rep
JOHNNYS LOCK&KEY-Gate locks/ke
NMC - D7E Door Glass
223.14
BANK OF AMERICA
BANK OF AMERICA
10,049.99
CITY FINANCE DEPT
.00
3,350.01
JUNE 2015 PREMIUMS & LIABILITY
198.20
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
.00
34,693.28
3,973.13
UNIFORM&CAREER-Mat & Towels
CULLIGAN-Cooler Rent & Water
1,116.67
1,783.22
3,500.00
.00
1,216.78
CELL PHONE CHARGES
AT&T - Telephone
CENTURYLINK - Telephone
.00
1,234.10
.00
.00
400.00
27,806.72
NE DEPT OF ENVIRO QU AIR EMISSION FEE
805.40
46.69
.00
46.69
.00
.00
.00
.00
.00
.00
1,215.35
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
.00
.00
.00
62.2%
4436
4436
75.0%
193553
59.4%
193679
4408
4436
.0%
55.5%
193869
3,194.60
-46.69
CITY UTIL-CASH EXPR REIMBURSE UTILITY WORKING FUND
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARE USER FEES
1,620.21
1,391.66
58,060.00
9,711.26
3,667.18
4436
4436
4436
4436
1,079.79
608.34
90,940.00
2,288.74
3,832.82
NAPA - Small Tools
LAWSON PRODUCTS-Hyd Pump
LAWSON PRODUCTS-Small Tools
20.1%
100.0%*
193730
4426
60.0%
69.6%
39.0%
80.9%*
48.9%
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
184
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
505
SOLID WASTE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
50530043 85545
50530043 85547
WINTER GRAVEL & BLA
MATERIALS
2015/09/000031 06/05/2015 API
50530043 85550
50530043 85555
50530043 85590
30,000
65,500
31,374.41
28,779.55
329.48 VND 010168 VCH373990
SAFETY MATERIALS
TARP & WIND BLOCKS
SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
55,000
65,500
2,500
6,700
17,600
2,500
6,700
17,600
BANK OF AMERICA
88.69
4,472.79
15,624.33
84.94 VND 010168 VCH373748
106.87 VND 010168 VCH375122
TOTAL OPERATING EXPENSES
.00
329.48
8,300.59
36,720.45
AURORA COOP GI - Herbicide
.00
.00
191.81
BANK OF AMERICA
BANK OF AMERICA
15,325.00
.00
.00
.00
.00
2,411.31
2,227.21
1,975.67
GI ACE HDWE - Shop Supplies
KELLY SUPPLY-Shop Supplies
84.9%*
43.9%
4408
3.5%
66.8%
88.8%*
4408
4436
587,100
693,100
365,131.42
12,073.57
67,972.36
259,996.22
62.5%
20,000
20,000
14,812.53
505.70
.00
5,187.47
74.1%
96 CAPITAL OUTLAY
_________________________________________
50530043 85608
LAND IMPROVEMENTS
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
50530043 85612
50530043 85615
BUILDING IMPROVEMEN
MACHINERY AND EQUIP
20.97 VND 010168 VCH373863
128.33 VND 010168 VCH374688
356.40 VND 010168 VCH375017
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
GI ACE HDWE-Battery for Gate O
FAST ACCESS-Gate Operator Remo
PLATTE VALLEY COM-Gate Wiring
4408
4436
4436
20,000
800,000
20,000
800,000
.00
510,090.70
.00
.00
.00
.00
20,000.00
289,909.30
.0%
63.8%
840,000
840,000
524,903.23
505.70
.00
315,096.77
62.5%
TOTAL LANDFILL
1,903,455
2,016,455
1,230,659.17
47,273.00
67,972.36
717,823.47
64.4%
TOTAL SOLID WASTE
2,846,018
3,053,518
1,913,810.94
108,423.79
82,960.62
1,056,746.44
65.4%
2,846,018
3,053,518
1,913,810.94
108,423.79
82,960.62
1,056,746.44
TOTAL CAPITAL OUTLAY
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
185
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
510
GOLF COURSE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
51040001 GOLF COURSE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
51040001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
51040001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
51040001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
51040001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
51040001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
51040001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
51040001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
51040001 85160
OTHER EMPLOYEE BENE
2015/09/000002 06/09/2015 API
236,683
236,683
149,921.51
23,689.79
11,206.12 REF PRCITY
12,483.67 REF PRCITY
18,107
WARRANT=060415
WARRANT=061815
18,107
10,871.69
1,744.58
823.41 REF PRCITY
921.17 REF PRCITY
55,290
42,345.09
4,704.85
2,352.42 REF PRCITY
2,352.43 REF PRCITY
197.73
21.97
21.97 REF PRCITY
333
333
229.45
25.59
12.80 REF PRCITY
12.79 REF PRCITY
11,082
8,076.65
853.07
426.60 REF PRCITY
426.47 REF PRCITY
3,005
3,005
250.42 VND 000036 VCH373411
70
70
3.58 VND 008197 VCH373251
2,253.74
250.42
CITY FINANCE DEPT
55.22
TASC
12,944.91
66.27
74.9%
RUN=1 CITY BIW
103.55
68.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
3,005.35
72.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
751.26
JUNE 2015 WORKERS COMP
3.58
76.6%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
60.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
11,082
7,235.31
.00
WARRANT=060415
63.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
264
86,761.49
.00
WARRANT=060415
WARRANT=061815
55,290
264
.00
.00
JULY 2015 CAFETERIA FEES
75.0%
193553
14.78
78.9%*
193682
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
186
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
510
GOLF COURSE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
51040001 85161
VEBA
2,364
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2,364
1,727.47
181.82
90.91 REF PRCITY
90.91 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
WARRANT=060415
WARRANT=061815
636.53
73.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
327,198
327,198
215,678.55
31,475.67
.00
111,519.45
65.9%
96,000
96,000
50,287.76
9,959.01
.00
45,712.24
52.4%
91 OPERATING EXPENSES
_________________________________________
51040001 85211
COMMISSIONS
2015/09/000033 06/09/2015 API
2015/09/000109 06/23/2015 API
51040001 85221
51040001 85241
ADMINISTRATIVE SERV
COMPUTER SERVICES
2015/09/000010 06/09/2015 API
51040001 85245
51040001 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000109 06/23/2015 API
51040001 85317
51040001 85319
NATURAL GAS
REPAIR & MAIN-LD IM
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
51040001 85324
51040001 85325
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
REPAIR & MAINT - BU
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
4,601.36 VND 006962 VCH374101
5,357.65 VND 006962 VCH374539
14,250
1,565
14,250
1,565
129.00 VND 000035 VCH373405
500
32,000
500
32,000
2,951.39 VND 000091 VCH374519
2,400
4,000
2,400
4,000
35.48 VND 010168 VCH373815
4,010.00 VND 010168 VCH373933
7.90 VND 010168 VCH374888
9,000
36,000
13.29
333.86
65.00
-13.29
15.38
64.98
21.97
62.46
41.52
28.80
7.20
22.39
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
9,000
36,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373647
VCH373665
VCH373675
VCH373790
VCH373791
VCH373803
VCH373838
VCH374787
VCH374835
VCH374859
VCH374860
VCH375080
KRUSE, DONALD E
KRUSE, DONALD E
5,303.27
1,161.00
05/18/15-05/31/15 COMMISSIONS
06/05/15-06/14/15 COMMISSIONS
.00
129.00
CITY IT DEPT
196.41
18,416.11
.00
2,951.39
3,242.27
25,939.22
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
303.59
13,583.89
.00
.00
-163.84
-9,386.70
KELLY SUPPLY-Irrigation repair
HESSELGESSER ELEC-Repair well
MENARDS - irrigation fuses
.00
837.94
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
.00
.00
.00
37.2%
74.2%
193554
INTERDEPARTMENTAL UTILITY BILL
.00
4,053.38
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
8,946.73
404.00
JUNE 2015 IT SUPPORT
CITY ELECT 100-101S
2,563.84
13,386.70
.00
.00
193580
193760
5,757.73
10,060.78
ANDERSON AUTO PAR-ERROR
VANWALL EQUIP-Mower repair par
DAVIS EQUIP-Tri King Switch
ANDERSON AUTO PARTS - Credit
ANDERSON AUTO PAR-Fuel filter
MENARDS-Sledge hammers
MENARDS - pick axe
TURFWERKS-Mower repair parts
ANDERSON AUTO PAR-Voltage regu
GRONES OUTDOR-Chain saw chains
GRONES OUTDOR-Chain saw chains
MENARDS - wrench tool
39.3%
57.6%
193817
106.8%*
334.7%*
4408
4408
4436
36.0%
72.1%
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
187
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
510
GOLF COURSE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
51040001 GOLF COURSE
51040001 85325 REPAIR & MAINT - MA
2015/09/000122 06/18/2015 API
51040001 85330
51040001 85340
51040001 85350
REPAIR & MAINT - OF
RENT
SANITATION SERVICE
2015/09/000122 06/18/2015 API
51040001 85390
51040001 85401
OTHER PROPERTY SERV
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
51040001 85404
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
51040001 85416
51040001 85422
TELEPHONE
06/09/2015
06/05/2015
06/05/2015
06/05/2015
ADVERTISING
DUES & SUBSCRIPTION
2015/09/000122 06/18/2015 API
51040001
51040001
51040001
51040001
85424
85428
85453
85490
700
2,500
LICENSE & FEES
TRAVEL & TRAINING
CASH OVER & SHORT
OTHER EXPENDITURES
2015/09/000031 06/05/2015 API
2015/09/000131 06/15/2015 API
700
2,500
208.33 VND 000036 VCH373412
600
600
50.00 VND 000036 VCH373412
400
400
33.33 VND 000036 VCH373412
2,500
API
API
API
API
200
19,000
500
69.00 VND 010168 VCH374807
AUTOMOBILE INSURANC
2015/09/000010 06/09/2015 API
51040001 85410
200
19,000
500
PROPERTY INSURANCE
2015/09/000010 06/09/2015 API
51040001 85407
174.38 VND 010168 VCH375084
6.59
7.99
101.36
73.80
VND
VND
VND
VND
1,000
850
2,500
000387
010168
010168
010168
VCH373250
VCH373679
VCH373703
VCH373712
1,000
850
225.00 VND 010168 VCH374966
240
1,000
0
8,000
240
1,000
0
8,000
128.99 VND 010168 VCH373908
637.20 VND 008720 VCH374441
BANK OF AMERICA
.00
20,486.77
358.55
TURFWERKS OMAHA-Reel Switch
.00
.00
69.00
BANK OF AMERICA
.00
1,875.01
.00
208.33
1,514.18
1,068.55
1,225.00
BANK OF AMERICA
240.00
921.50
-.60
3,982.22
.00
150.00
.00
99.99
JUNE 2015 PREMIUMS & LIABILITY
189.74
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
700.00
624.99
JUNE 2015 PREMIUMS & LIABILITY
33.33
CITY FINANCE DEPT
.00
.00
JUNE 2015 PREMIUMS & LIABILITY
50.00
CITY FINANCE DEPT
300.01
200.00
-1,486.77
141.45
MID-NEBR DISPOSAL-TRASH SERVIC
CITY FINANCE DEPT
450.00
.00
.00
.00
.00
985.82
LONG DISTANCE
CENTURYLINK - Phone Bill
CENTURYLINK - PHONE BILL-Golf
CENTURYLINK - PHONE BILL-Golf
.00
225.00
.00
.00
-68.55
-375.00
NATIONAL GOLF-2015 annual dues
.00
.00
.00
766.19
.00
.00
.00
.00
.00
78.50
.60
4,017.78
BANK OF AMERICA
DISH NTWK-5/15-6/14 Bill
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARD USER FEE
4436
.0%
107.8%*
71.7%
4436
.0%
75.0%
193553
75.0%
193553
75.0%
193553
60.6%
193679
4408
4408
4408
106.9%*
144.1%*
4436
100.0%*
92.2%*
100.0%
49.8%
4408
4434
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
188
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
510
GOLF COURSE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
51040001 85505
OFFICE SUPPLIES
400
2015/09/000122 06/18/2015 API
51040001 85510
51040001 85515
51040001 85520
51040001 85535
51040001 85540
2015/09/000033
2015/09/000074
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
51040001 85547
51040001 85560
51040001 85590
API
API
API
API
API
API
API
API
21,000
6,000
20.00
32.00
269.93
55.00
6.74
297.06
291.66
41.76
MATERIALS
TREES & SHRUBS
OTHER GENERAL SUPPL
VND
VND
VND
VND
VND
VND
VND
VND
3,500
2,000
1,500
21,000
6,000
000071
000467
010168
010168
010168
010168
010168
010168
39,350
VCH374143
VCH374245
VCH374717
VCH374726
VCH374730
VCH374801
VCH374910
VCH375071
3,500
2,000
1,500
39,350
BANK OF AMERICA
.00
.00
900.00
2,979.68
.00
2,762.79
SAPP BROS GI - diesel fuel
.00
1,014.15
WIPER TOWEL SERV INC
NEBRASKA PUBLIC HEAL
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
1,899.28
.00
9,783.33
2,138.89
BLUE TOWELS FOR CLUBHOUSE
WATER TESTS
MENARDS - Hand tools
STEVE'S APPLI-Drinking fountai
DXP PRECISION -Nuts and bolts
KELLY SUPPLY-R.O. filters Club
SUPPLYWORKS-Bathroom supplies
SAMS CLUB-Sunscreen
.00
.00
210.78
GREEN FORK GOLF
18,715.65
-732.03
SAPP BROS GI-Unleaded gasoline
799.35
2,332.09
.00
360.77
3,585.35 VND 000153 VCH375184
TOTAL OPERATING EXPENSES
BANK OF AMERICA
9,317.39
3,861.11
.00
CAPITAL BUSINESS-Copier Chgs
.00
2,092.82
3,237.21
210.78 VND 001110 VCH374435
SALES TAX
2015/09/000126 06/18/2015 API
6,000
8.40
BANK OF AMERICA
.00
6,520.32
799.35 VND 010168 VCH374985
CHEMICAL SUPPLIES
MISC OPERATING EQUI
06/09/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
900
9,500
2,092.82 VND 010168 VCH374984
6,000
2015/09/000100 06/23/2015 API
51040001 85905
900
9,500
DIESEL FUEL
2015/09/000122 06/18/2015 API
1,132.03
8.40 VND 010168 VCH374660
CLEANING SUPPLIES
GASOLINE
2015/09/000122 06/18/2015 API
400
.00
.00
97.90
1,167.91
2,000.00
1,041.33
BALL MARK REPAIR TOOLS
3,585.35
STATE OF NE DEPT OF
.00
20,634.35
MAY 2015 SALES & USE TAX
283.0%*
4436
.0%
68.6%
4436
54.0%
4436
53.4%
64.4%
193697
193873
4436
4436
4436
4436
4436
4436
66.6%
.0%
30.6%
193841
47.6%
4439
323,355
323,355
198,394.34
27,183.16
1,997.18
122,963.48
62.0%
30,000
48,000
30,000
48,000
16,792.60
18,250.00
.00
.00
.00
.00
13,207.40
29,750.00
56.0%
38.0%
96 CAPITAL OUTLAY
_________________________________________
51040001 85612
51040001 85615
BUILDING IMPROVEMEN
MACHINERY AND EQUIP
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
189
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
510
GOLF COURSE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL CAPITAL OUTLAY
78,000
78,000
35,042.60
.00
.00
42,957.40
44.9%
25,000
25,000
.00
.00
.00
25,000.00
.0%
25,000
25,000
.00
.00
.00
25,000.00
.0%
TOTAL GOLF COURSE
753,553
753,553
449,115.49
58,658.83
1,997.18
302,440.33
59.9%
TOTAL GOLF COURSE
753,553
753,553
449,115.49
58,658.83
1,997.18
302,440.33
59.9%
753,553
753,553
449,115.49
58,658.83
1,997.18
302,440.33
99 OTHER FINANCING USES
_________________________________________
51040001 85805
TRANSFERS OUT
TOTAL OTHER FINANCING USES
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
190
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000010 CAPITAL PLANNING
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
52000010 85660
OTHER CAPITAL EXPEN
23,357,867
23,357,867
.00
.00
.00
23,357,867.00
.0%
TOTAL CAPITAL OUTLAY
23,357,867
23,357,867
.00
.00
.00
23,357,867.00
.0%
TOTAL CAPITAL PLANNING
23,357,867
23,357,867
.00
.00
.00
23,357,867.00
.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
191
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000300 MECHANDISE INCOME
_________________________________________
34 MERCH INCOME & EXP
_________________________________________
52000300 41510
MERCHANDISE MATERIA
2015/09/000122 06/18/2015 API
52000300 41520
MERCHANDISE LABOR E
150,000
150,000
139,081.86
2.00 VND 010168 VCH374583
BANK OF AMERICA
2.00
.00
10,918.14
UPS - UPS charges
92.7%*
4436
100,000
100,000
81,030.93
.00
.00
18,969.07
81.0%*
TOTAL MERCH INCOME & EXP
250,000
250,000
220,112.79
2.00
.00
29,887.21
88.0%
TOTAL MECHANDISE INCOME
250,000
250,000
220,112.79
2.00
.00
29,887.21
88.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
192
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000400 OTHER INCOME
_________________________________________
36 INCOME DEDUCTIONS
_________________________________________
52000400 41710
EXP FROM NON-UTILIT
2015/09/000033 06/09/2015 API
250
250
13.07 VND 000091 VCH374044
115.60
13.07
CITY ELECT 100-101S
.00
134.40
INTERDEPARTMENTAL UTILITY BILL
46.2%
193624
TOTAL INCOME DEDUCTIONS
250
250
115.60
13.07
.00
134.40
46.2%
TOTAL OTHER INCOME
250
250
115.60
13.07
.00
134.40
46.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
193
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000500 INCOME DEDUCTIONS
_________________________________________
52000500 42785
INTEREST EXPENSE-20
1,532,290
1,532,290
1,088,070.82
.00
.00
444,219.18
71.0%
1,532,290
1,532,290
1,088,070.82
.00
.00
444,219.18
71.0%
850,000
392,269
750
850,000
392,269
750
336,485.57
280,402.60
232.30
.00
.00
.00
.00
.00
.00
513,514.43
111,866.40
517.70
39.6%
71.5%
31.0%
TOTAL INCOME DEDUCTIONS
1,243,019
1,243,019
617,120.47
.00
.00
625,898.53
49.6%
TOTAL INCOME DEDUCTIONS
2,775,309
2,775,309
1,705,191.29
.00
.00
1,070,117.71
61.4%
TOTAL UNDEFINED CHAR
36 INCOME DEDUCTIONS
_________________________________________
52000500 40800
52000500 42775
52000500 43100
IN LIEU OF TAX EXPE
INTEREST EXPENSE-20
DEPOSIT INTEREST EX
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
194
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000891 OTHER PRODUCTION EXPENSE
_________________________________________
52000891 55560
PURCHASED POWER-TEN
TOTAL UNDEFINED CHAR
225,000
225,000
814,947.29
.00
.00
-589,947.29
362.2%*
225,000
225,000
814,947.29
.00
.00
-589,947.29
362.2%
1,115,000
8,250,000
5,356,282
691,000
1,115,000
8,250,000
5,356,282
691,000
636,559.00
4,930,725.90
3,254,858.27
279,516.01
.00
.00
.00
39,156.36
.00
.00
.00
.00
478,441.00
3,319,274.10
2,101,423.73
411,483.99
57.1%
59.8%
60.8%
40.5%
44 OTHER PRODUCTION EXP
_________________________________________
52000891
52000891
52000891
52000891
55510
55520
55530
55540
2015/09/000010
2015/09/000013
2015/09/000050
2015/09/000086
2015/09/000101
2015/09/000140
2015/09/000188
INTERCHANGE
INTERCHANGE
INTERCHANGE
INTERCHANGE
06/09/2015
06/03/2015
06/08/2015
06/23/2015
06/16/2015
06/22/2015
06/30/2015
PURCH
PURCH
PURCH
PURCH
P
P
P
P
API
CRP
CRP
API
CRP
CRP
CRP
46,791.83
-6,406.41
-5,715.56
14,097.00
-2,165.76
-5,111.05
-2,333.69
VND
REF
REF
VND
REF
REF
REF
000326 VCH373356
176580
NPPD
176741
NPPD
000326 VCH374367
177067
NPPD
177281
NPPD
177581
NPPD
NEBRASKA PUBLIC POWE NPPD ECONOMY
NPPD WINDSOURCE
WIND RESOURCE SETTLEMENT
NEBRASKA PUBLIC POWE AINSWORTH WIND ENERGY
NPPD WIND
NPPD WIND RESOURCE
WIND RESOURCE SETTLEMENT
193587
193769
TOTAL OTHER PRODUCTION EXP
15,412,282
15,412,282
9,101,659.18
39,156.36
.00
6,310,622.82
59.1%
TOTAL OTHER PRODUCTION EXPENSE
15,637,282
15,637,282
9,916,606.47
39,156.36
.00
5,720,675.53
63.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
195
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52000900 TRANSMISSION OPERATION EXPENSE
_________________________________________
45 TRANSMISSION OP EXP
_________________________________________
52000900 56000
2015/09/000031
2015/09/000033
2015/09/000086
2015/09/000086
2015/09/000122
52000900 56100
2015/09/000010
2015/09/000013
2015/09/000033
2015/09/000066
2015/09/000101
2015/09/000130
2015/09/000131
2015/09/000140
2015/09/000188
52000900 57500
OPER SUPER & ENG 06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
API
525,000
133.81
67.50
10,006.50
21,166.00
1,177.52
LOAD DISPATCHING EX
06/09/2015
06/03/2015
06/09/2015
06/09/2015
06/16/2015
06/23/2015
06/15/2015
06/22/2015
06/30/2015
API
CRP
API
CRP
CRP
API
API
CRP
CRP
VND
VND
VND
VND
VND
4,155,000
167,750.00
-13,361.74
6,367.40
-13,032.83
-12,434.46
21.40
47,289.00
-70,308.26
-19,963.86
MARKET EXPENSE - TR
TOTAL TRANSMISSION OP EXP
VND
REF
VND
REF
REF
VND
VND
REF
REF
525,000
010168
000214
000130
000493
010168
VCH373866
VCH374078
VCH374305
VCH374343
VCH374804
4,155,000
000326
176579
009452
176787
177066
000017
005916
177280
177579
477,055.33
32,551.33
BANK OF AMERICA
GI INDEPENDENT
BLACK & VEATCH CORP
HUSKER AUTOMOTIVE GR
BANK OF AMERICA
1,850,576.16
.00
47,944.67
Amazon.com - Office Supplies
ADS
ELECTRIC SYSTEM MASTER PLAN
UNIT #68 REPLACEMENT
Dell-Map display computer
92,326.65
.00
2,304,423.84
VCH373356
NEBRASKA PUBLIC POWE NPPD ECONOMY
SW POWER POOL
SW POWER POOL
VCH374125
SOUTHWEST POWER POOL TRANS FEE
SOUTHWEST POWER POOL
TCR CREDITS
SOUTHWEST POWER POOL
SW POWER POOL
VCH375187
BUSINESS WORLD PRODU REPALCE LOCKS
VCH374405
OMAHA PUBLIC POWER D NC2 TRANSMISSION
SOUTHWEST POWER POOL
SW POWER TCR CREDITS
SOUTHWEST POWER POOL
TCR CREDITS
90.9%*
4408
193639
193719
193850
4436
44.5%
193587
193599
193720
4421
145,000
145,000
109,607.55
.00
.00
35,392.45
75.6%*
4,825,000
4,825,000
2,437,239.04
124,877.98
.00
2,387,760.96
50.5%
12,000
12,000
8,786.98
.00
.00
3,213.02
73.2%
12,000
12,000
8,786.98
.00
.00
3,213.02
73.2%
4,837,000
4,837,000
2,446,026.02
124,877.98
.00
2,390,973.98
50.6%
46 TRANSMISSION MAINT
_________________________________________
52000900 57000
MAINT OF SUBSTATION
TOTAL TRANSMISSION MAINT
TOTAL TRANSMISSION OPERATION EXPE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
196
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001092 DISTRIBUTION OPERATIONS
_________________________________________
47 DISTRIBUTION OPER
_________________________________________
52001092 58000
52001092 58100
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000075
2015/09/000075
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000130
2015/09/000130
2015/09/000168
2015/09/000168
2015/09/000168
2015/09/000168
2015/09/000168
2015/09/000168
2015/09/000168
52001092 58200
OPER SUPER & ENG LOAD DISPATCHING EX
06/09/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/11/2015
06/11/2015
06/23/2015
06/18/2015
06/18/2015
06/23/2015
06/23/2015
06/25/2015
06/25/2015
06/25/2015
06/25/2015
06/25/2015
06/25/2015
06/25/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
OPER OF SUBSTATION
2015/09/000033 06/09/2015 API
52001092 58300
52001092 58600
OVERHEAD LINE OPER
METER OPERATING EXP
2015/09/000033 06/09/2015 API
52001092 58700
MAINT OF SERV ON CU
2015/09/000047 06/09/2015 APM
2015/09/000086 06/23/2015 API
375,000
425,000
85.07
5.30
1,097.74
1,317.31
4.28
89.21
118.72
6.42
27.60
580.30
4.28
4.28
113.70
203.09
127.17
48.98
462.24
143.10
20.04
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
2,100
375,000
425,000
000103
010168
000091
000083
000458
000107
000107
000082
010168
010168
000458
000458
000107
000107
000107
000107
000107
000107
006945
90,053.01
304,313.44
VCH373378
VCH373603
VCH374044
VCH374196
VCH374254
VCH374278
VCH374279
VCH374479
VCH374965
VCH375015
VCH375227
VCH375229
VCH375410
VCH375412
VCH375413
VCH375416
VCH375417
VCH375418
VCH375425
2,100
1,000
110,000
1,000
110,000
240,000
121,628.48
52.10 VND 000057 VCH374070
16.42 VND 000057 VCH374319
284,946.99
120,686.56
.00
-146.65
INTERDEPARTMENTAL UTILITY BILL
.00
503.25
CITY ELECT 100-101S
.00
.00
MAT REPLACEMENT
KERMITS -Car wash for unit 81
INTERDEPARTMENTAL UTILITY BILL
REPAIR SHOP MAY 2015
UNIFORMS
PHONE / DATA BILL
PHONE BILL
PETTY CASH REIMBURSEMENT
MID NEBR DISP-Trash collection
CAPITAL BUSS-b/w & color overa
UNIFORMS
UNIFORMS
PHONE BILL
PHONE BILL
PHONE BILL
PHONE BILL
PHONE BILL
PHONE BILL
PHONE / DATA
64.79
CITY ELECT 100-101S
86,378.16
58,093.94
503.25 VND 000091 VCH374044
240,000
SANITAIR
BANK OF AMERICA
CITY ELECT 100-101S
CITY FLEET SERVICES
PARAMOUNT
CENTURYLINK
CENTURYLINK
CITY PETTY CASH
BANK OF AMERICA
BANK OF AMERICA
PARAMOUNT
PARAMOUNT
CENTURYLINK
CENTURYLINK
CENTURYLINK
CENTURYLINK
CENTURYLINK
CENTURYLINK
VERIZON WIRELESS
2,246.65
64.79 VND 000091 VCH374044
.00
4,458.83
.00
.00
.00
193597
4408
193624
193727
193776
193699
193699
193819
4436
4436
193776
193776
193923
193923
193923
193923
193923
193923
193926
107.0%*
193624
-85,378.16 8637.8%*
51,906.06
52.8%
INTERDEPARTMENTAL UTILITY BILL
68.52
24.0%
71.6%
118,371.52
CRESCENT ELECTRIC SU ELECTRICAL BOX W/1 HOLE
CRESCENT ELECTRIC SU PVC COUPLINGS
193624
50.7%
0
193826
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
197
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001092 58800
2015/09/000002
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000086
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
OFF SUPPLIES & EXP
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
925,000
688.13
28.86
64.20
401.16
761.95
52.95
436.47
454.38
521.27
6.80
17.04
39.00
56.24
348.46
7.98
22.45
40.22
42.67
642.00
4,239.46
1,343.00
22.49
58.98
255.65
106.50
11,890.94
9.98
1,291.08
75.11
49.00
313.98
17.89
43.06
1,068.93
216.55
5.35
67.40
167.88
179.23
694.61
42.78
-51.33
794.99
85.58
740.00
264.84
210.48
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
925,000
000387
000387
000182
007232
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010344
000091
000035
008277
000650
000083
009888
000165
000082
000083
000083
000103
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
619,609.34
VCH373249
VCH373250
VCH373313
VCH373379
VCH373549
VCH373553
VCH373565
VCH373573
VCH373578
VCH373635
VCH373653
VCH373658
VCH373724
VCH373728
VCH373743
VCH373785
VCH373824
VCH373830
VCH374039
VCH374044
VCH374053
VCH374120
VCH374145
VCH374197
VCH374227
VCH374326
VCH374479
VCH374480
VCH374480
VCH374564
VCH374595
VCH374628
VCH374630
VCH374634
VCH374637
VCH374652
VCH374654
VCH374663
VCH374684
VCH374699
VCH374700
VCH374701
VCH374716
VCH374721
VCH374729
VCH374932
VCH374945
30,809.80
STATE DIV OF COMM
STATE DIV OF COMM
ENTECH PEST MANAGEME
SUPPLYWORKS
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CC JANITORIAL SERVIC
CITY ELECT 100-101S
CITY IT DEPT
PAPER DRAGON
XEROX CORPORATION
CITY FLEET SERVICES
HEARTLAND OPTICAL IN
EAKES OFFICE SOLUTIO
CITY PETTY CASH
CITY FLEET SERVICES
CITY FLEET SERVICES
SANITAIR
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
305,390.66
CELL PHONE CHARGES
LONG DISTANCE
RODENT CONTROL - 1306 W 3RD
JANITORIAL SUPPLIES
ANTLERS HILTON-OH training Roy
PROVANTAGE LLC - cables
OFFICE DEPOT-PLOTTER PAPER
CDW - monitors/cable
PROVANTAGE LLC-CABLES
EAKES -supplies
EAKES OFFICE-supplies
BEST TRANSPORTATION-Shuttle
OFFICEMAX -office supplies
UNION STATION HOTEL-Lodging
SUPER SAVER-FEBREZE
Ace -Cables
SAMS CLUB-JANITORIAL SUPPLIES
MENARDS-WIRELESS ALA SPEAKERS
JANITORIAL SERV AT 1306 W 3RD
INTERDEPARTMENTAL UTILITY BILL
JUNE 2015 IT SUPPORT
PAPER SHREDDING
MONTHLY MAINT FEES
REPAIR SHOP MAY 2015
RX SAFETY GLASSES
OFFICE FURNITURE
PETTY CASH REIMBURSEMENT
MAY 2015 REPAIR SHOP
MAY 2015 REPAIR SHOP
MATS / 1306 W 3RD ST
OVERSTOCK.COM-2 FILE CABINETS
SUPER SAVER-office supplies
GIH GLOBALINDUST-REFLEC TAPE
WAL-MART-Display arc view maps
SAMS CLUB-CLEANING SUPPLIES
KERMIT`S SUPER WASH-WASH #75
BestBuy-Surface cover
ACE-RACK/SHOVEL-1306 W 3RD ST.
WAL-MART-FLASHLIGHT&FIRE EXTIN
PROVANTAGE-PHONES-1306 W 3RD
ORSCHELN-BOOT SCRUBBER
BEST BUY-Credit for shield
THETELECOMSPOT-PHONE-CON ROOM
BEST BUY - Ethernet chord
LineDesign Engineer-Software/b
Northern safety-Equipment
Northern safety-Equipment
67.0%
193679
193679
193633
193681
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
193622
193624
193554
193666
193603
193727
193848
193738
193819
193727
193727
193783
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
198
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001092 DISTRIBUTION OPERATIONS
52001092 58800 OFF SUPPLIES & EXP
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000130 06/23/2015 API
2015/09/000226 06/04/2015 PRJ
34.22
-46.66
91.57
19.13
500.89
80.96
153.73
36.20
39.76
27.11
98.31
852.14
85.80
TOTAL DISTRIBUTION OPER
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
007232
PRCITY
VCH374951
VCH374956
VCH374961
VCH374986
VCH375016
VCH375020
VCH375024
VCH375047
VCH375105
VCH375106
VCH375126
VCH375246
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
SUPPLYWORKS
ACE - Tools
BEST BUY-Credit for stylus
Northern safety-Equipment
MID NEBRASKA DISPOSAL-TRASH
PROVANTAGE-Tonner
WALMART-Janitorial supplies
ALLEN PRECISION-Engineer tape
Amazon-Key guard cabinet
NewEgg-Cables/4K distribution
Newegg-Cables/4k display Map D
"EAKES-PENS,RUBBER BANDS,TAPE"
CLEANING SUPPLIES
WARRANT=060415 RUN=1 CITY BIW
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
193905
2,078,100
2,078,100
1,282,323.02
35,905.19
.00
795,776.98
61.7%
860,000
860,000
555,751.78
6,450.38
.00
304,248.22
64.6%
48 DISTRIBUTION MAINT
_________________________________________
52001092 59200
2015/09/000010
2015/09/000031
2015/09/000086
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
52001092 59300
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000086
2015/09/000226
2015/09/000227
MAINT OF STATION EQ
06/09/2015
06/05/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
MAINT OF LINES - DI
06/09/2015
06/09/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/04/2015
06/04/2015
API
API
API
API
API
API
API
PRJ
PRJ
572.45
170.49
3,785.91
64.14
1,302.75
120.78
123.03
96.00
12.82
96.20
105.81
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
630,000
9,800.00
18,645.00
1,717.29
18,400.00
5,374.13
154.00
149.22
304.16
-234.62
VND
VND
VND
VND
VND
VND
VND
REF
REF
000182
010168
002030
010168
010168
010168
010168
010168
010168
010168
010168
VCH373314
VCH373590
VCH374353
VCH374624
VCH374626
VCH374924
VCH374937
VCH374940
VCH374957
VCH374967
VCH375103
630,000
004357
004357
010168
004357
000083
009888
003116
PRCITY
PRVOID
ENTECH PEST MANAGEME
BANK OF AMERICA
LOGIC CONTROL
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
462,424.39
VCH373339
VCH373340
VCH373801
VCH374102
VCH374191
VCH374227
VCH374306
PEST BIRD CONTROL AT ALL 8 SUB
TRUCK EQUIP-Bushings 1551
DATA ACQUISITION SOFTWARE
SAMS-Tie Down straps
KEPWARE-Data acquisition softw
CRESCENT-Conduit/switch box
TRACTOR SUPPLY-Tool box
JERRY'S SHEETMET-HVAC repair-P
CRESCENT ELEC-electrical plate
CRESCENT-DC supply to offices
ACE HDWE - Batteries
54,309.18
.00
167,575.61
LEETCH TREE SERVICE TREE TRIMMING 2015-TT-1 (SEC 2
LEETCH TREE SERVICE TREE TRIMMING 2015-TT-1 (SEC 3
BANK OF AMERICA
BEST BUY-Surface Pro 3
LEETCH TREE SERVICE TREE TRIMMING 2015-TT (SEC 4)
CITY FLEET SERVICES REPAIR SHOP MAY 2015
HEARTLAND OPTICAL IN RX SAFETY GLASSES
BOB'S SHARP SERVICE SHARPEN CHAINS & CHIPPER KNIVE
WARRANT=060415 RUN=1 CITY BIW
WARRANT=060415 RUN=V VOID CIT
193633
4408
193762
4436
4436
4436
4436
4436
4436
4436
4436
73.4%
193581
193581
4408
193581
193727
193848
193806
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
199
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001092 DISTRIBUTION OPERATIONS
52001092 59400
2015/09/000010
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000086
2015/09/000086
2015/09/000109
2015/09/000122
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000226
52001092 59500
MAINT OF UNDRGD LIN
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/23/2015
06/23/2015
06/23/2015
06/04/2015
API
API
API
API
API
API
API
API
API
API
API
PRJ
MAINT OF LINE TRNSF
2015/09/000086 06/23/2015 API
52001092 59800
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000109
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
MAINT OF MISC PLANT
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
690,000
14,565.00
1,539.65
900.00
3,744.14
400.00
9.73
16,672.74
582.60
190.00
1,315.56
58.48
234.60
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
30,000
690,000
010278
000239
000280
000083
009431
000048
010329
010168
001489
001489
000298
PRCITY
369,666.82
VCH373311
VCH374084
VCH374100
VCH374195
VCH374369
VCH374378
VCH374513
VCH374682
VCH375205
VCH375206
VCH375222
30,000
470,000
60.10
53.50
347.75
249.67
1,275.50
678.25
404.50
170.52
364.00
138.54
68.48
25.21
62.35
19.50
39.50
58.00
551.30
256.64
40.45
515.85
126.00
20.00
289.00
183.11
573.48
223.10
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
470,000
000217
000182
000276
000298
000326
000326
000326
010168
009523
002870
000483
000263
000217
000301
000301
000007
001489
001489
016039
000339
000191
000398
010168
010168
010168
010168
-106.47
WESCO
426,771.08
VCH373206
VCH373315
VCH373338
VCH373354
VCH373357
VCH373358
VCH373359
VCH373732
VCH374034
VCH374081
VCH374085
VCH374089
VCH374169
VCH374238
VCH374239
VCH374309
VCH374341
VCH374342
VCH374344
VCH374372
VCH374530
VCH374571
VCH374620
VCH374668
VCH374715
VCH374827
.00
320,333.18
EDM INTERNATIONAL IN PHASE TRAKKER
HANSEN INTERNATIONAL REPAIR UNIT #1678
LEAGUE OF NEBRASKA M REG FEE U.G. DIST WORKSHOP
CITY FLEET SERVICES REPAIR SHOP MAY 2015
ONE CALL CONCEPTS IN MAY LOCATES
TRAUSCH DYNAMICS
HYDRAULIC FITTINGS
BUDGET ATTACHMENTS
3X6 CLEAR MATS
BANK OF AMERICA
HAMPTON INN-Wood/Bigley traini
HYDRAULIC EQUIPMENT REPAIR UNIT #1666
HYDRAULIC EQUIPMENT REPAIR UNIT #1666
MENARDS INC
ACCT 31040264/MISC TOOLS & SUP
WARRANT=060415 RUN=1 CITY BIW
18,637.70
-106.47 VND 003004 VCH374387
40,212.50
.00
11,362.30
CREDIT FOR LOSES
9,580.40
CITY WASTE MGM
ENTECH PEST MANAGEME
KRIZ DAVIS CO
MENARDS INC
NEBRASKA PUBLIC POWE
NEBRASKA PUBLIC POWE
NEBRASKA PUBLIC POWE
BANK OF AMERICA
BIERER & ASSOCIATES
GRAYBAR ELECTRIC COM
HYDRO TECH
JACKSON SERVICE INC
CITY WASTE MGM
MID-NEBRASKA DISPOSA
MID-NEBRASKA DISPOSA
BOSSELMAN ENERGY INC
HYDRAULIC EQUIPMENT
HYDRAULIC EQUIPMENT
JOHNNYS LOCK & KEY
PLATTE VALLEY COMMUN
FEDERAL EXPRESS CORP
TOBYS TIRE CENTER IN
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
53.6%
193632
193644
193650
193727
193877
193788
193808
4436
193851
193851
193765
62.1%
193920
43,228.92
DISPOSAL OF DEBRIS
PEST CONTROL
LINEMAN TOOLS
TOOLS & CLEANING SUPPLIES
RUBBER GOODS TESTING
RUBBER GGODS TESTING
RUBBER GOODS TESTING
ACE-Maint Supplies
REPAIR & CALIBRATE METER
GUARD FOR IMPACT WRENCH
RECHARGE FIRE EXTINGUISHERS
FLOOR MAT FEES
DEBRIS DISPOSAL
MAY 2015 TRASH SERVICE
MAY 2015 TRASH SERVICE
FORKLIFT PROPANE
REPAIR UNIT #1561
REPAIR UNIT #1573
PADLOCK FOR SUB B ROAD
RADIO EQUIP MAINT
SHIPPING FEE
REPAIR TIRE UNIT #1040
BRAND FX - Door Hinges
SMARTSIGN - signs
ORSCHELN - Gates
CONSTR'ION RENT-Chain saw
90.8%*
193558
193633
193579
193584
193587
193587
193587
4408
193614
193572
193646
193577
193731
193767
193767
193807
193851
193851
193854
193778
193837
193909
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
200
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001092 DISTRIBUTION OPERATIONS
52001092 59800 MAINT OF MISC PLANT
2015/09/000122 06/18/2015 API
2015/09/000123 06/18/2015 API
2015/09/000123 06/18/2015 API
2015/09/000123 06/18/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
75.76
117.27
23.97
36.47
25.21
541.85
642.47
198.25
582.62
478.03
64.20
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
010168
000107
000336
000336
000263
000276
000276
000298
000603
007232
007763
VCH374952
VCH375169
VCH375177
VCH375178
VCH375213
VCH375215
VCH375216
VCH375222
VCH375245
VCH375247
VCH375248
BANK OF AMERICA
CENTURYLINK
NORTHWESTERN
NORTHWESTERN
JACKSON SERVICE INC
KRIZ DAVIS CO
KRIZ DAVIS CO
MENARDS INC
SKARSHAUG TESTING LA
SUPPLYWORKS
TOOFAST
GLOBAL-Reflective striped tape
PHONE BILL
NATURAL GAS BILL
NATURAL GAS BILL
FLOOR MAT FEES
SPRAY LUBRICANT
EPOXY REFINISHING KIT
ACCT 31040264/MISC TOOLS & SUP
RUBBER GOODS TESTING
DEGREASER
SNAP HOOKS
4436
193708
193709
193709
193757
193759
193759
193765
193903
193905
193787
TOTAL DISTRIBUTION MAINT
2,680,000
2,680,000
1,833,251.77
110,445.99
.00
846,748.23
68.4%
TOTAL DISTRIBUTION OPERATIONS
4,758,100
4,758,100
3,115,574.79
146,351.18
.00
1,642,525.21
65.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
201
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52001300 DEPRECIATION
_________________________________________
51 DEPRECIATION EXPENSE
_________________________________________
52001300
52001300
52001300
52001300
40310
40340
40350
40360
DEPR
DEPR
DEPR
DEPR
EXP
EXP
EXP
EXP
-
STEAM PL
TRANSMIS
DISTRIBU
GENERAL
6,037,500
534,000
3,000,000
711,600
6,037,500
534,000
3,000,000
711,600
4,068,741.18
348,814.40
2,005,180.33
525,541.62
.00
.00
.00
.00
.00
.00
.00
.00
1,968,758.82
185,185.60
994,819.67
186,058.38
67.4%
65.3%
66.8%
73.9%
TOTAL DEPRECIATION EXPENSE
10,283,100
10,283,100
6,948,277.53
.00
.00
3,334,822.47
67.6%
TOTAL DEPRECIATION
10,283,100
10,283,100
6,948,277.53
.00
.00
3,334,822.47
67.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
202
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52060691 PROD OPERATION- BURDICK STEAM
_________________________________________
40 PROD EXP - BURDICK
_________________________________________
52060691 50010
52060691 50110
52060691 50210
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000029
2015/09/000030
2015/09/000086
2015/09/000086
2015/09/000086
52060691 50510
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000033
2015/09/000086
2015/09/000130
52060691 50610
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000075
OPERATION SUPER & E
GENERATION FUEL - B
STATION LABOR EXP 06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
APM
API
API
API
API
GENERATION PROD EXP
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
OPERATIONAL
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/11/2015
API
API
API
API
API
API
SUPP &
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
180,000
54,000
275,000
18.22
21.01
246.40
-246.40
246.40
94.31
91.09
647.15
VND
VND
VND
VND
VND
VND
VND
VND
375,000
325.09
284.74
252.32
1,182.91
381.98
90.24
VND
VND
VND
VND
VND
VND
210,000
3.85
128.40
41.24
110.42
115.00
1.98
44.78
435.28
9.63
15.00
11.76
2.70
22.76
809.65
151.31
67.50
9.25
46.77
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
180,000
54,000
275,000
008615
002731
000414
000414
000414
008615
008615
008615
VCH373345
VCH373386
VCH
VCH
VCH373460
VCH374354
VCH374355
VCH374356
375,000
000271
008615
008615
000091
008615
008615
.00
64,591.60
5,629.43
56,752.63
.00
64.1%
89.6%*
79.4%*
193651
193693
0
193694
193863
193863
193863
168,792.41
HYDROGEN RELIEF VALVE
HYDROGEN
HYDROGEN & NITROGEN
INTERDEPARTMENTAL UTILITY BILL
HYDROGEN & NITROGEN
HYDROGEN
4,199.63
STATE DIV OF COMM
ENTECH PEST MANAGEME
IBT
IBT
NE DEPT OF HEALTH &
PARAMOUNT
PARAMOUNT
WESCO
WIPER TOWEL SERV INC
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CITY ELECT 100-101S
CITY FLEET SERVICES
MID-NEBRASKA DISPOSA
WIPER TOWEL SERV INC
CENTURYLINK
.00
.00
.00
HYDROGEN & NITROGEN
PIPET PUMP
FREIGHT
FREIGHT
FREIGHT
CYLINDER RENT
HYDROGEN & NITROGEN
CYLINDER RENT
2,517.28
KELLY SUPPLY CO
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
CITY ELECT 100-101S
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
124,346.23
VCH373250
VCH373316
VCH373328
VCH373329
VCH373355
VCH373362
VCH373369
VCH373389
VCH373390
VCH373599
VCH373733
VCH373774
VCH373777
VCH374044
VCH374198
VCH374240
VCH374274
VCH374277
.00
.00
1,118.18
MATHESON TRI-GAS INC
VWR INTERNATIONAL
WALTRON LLC
WALTRON LLC
WALTRON LLC
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
206,207.59
VCH373335
VCH373343
VCH373345
VCH374044
VCH374355
VCH375221
210,000
000387
000182
000911
000911
000900
000458
000458
003004
000071
010168
010168
010168
010168
000091
000083
000301
000071
000107
115,408.40
48,370.57
218,247.37
85,653.77
LONG DISTANCE
PIGEON CONTROL
FIRST AID SUPPLIES
EYEWASH
GRADE III WATER OP LICENSE
UNIFORMS
FR UNIFORMS
LAMPS
RAGS
KELLY SUPPLY-Anchor
ACE - Weed Whip oil
CASEYS-Weed whip fuel
ACE-Landscaping plants
INTERDEPARTMENTAL UTILITY BILL
REPAIR SHOP MAY 2015
MAY 2015 TRASH SERVICE
MOPS
FAX
55.0%
193578
193651
193651
193624
193863
193863
59.2%
193679
193633
193574
193574
193655
193591
193591
193696
193697
4408
4408
4408
4408
193624
193727
193767
193921
193699
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
203
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52060691 PROD OPERATION- BURDICK STEAM
52060691 50610 OPERATIONAL
2015/09/000075 06/11/2015
2015/09/000075 06/11/2015
2015/09/000086 06/23/2015
2015/09/000086 06/23/2015
2015/09/000086 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000100 06/23/2015
2015/09/000109 06/23/2015
2015/09/000109 06/23/2015
2015/09/000109 06/23/2015
2015/09/000109 06/23/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000130 06/23/2015
2015/09/000130 06/23/2015
2015/09/000130 06/23/2015
2015/09/000130 06/23/2015
2015/09/000130 06/23/2015
2015/09/000168 06/25/2015
2015/09/000226 06/04/2015
2015/09/000230 06/18/2015
SUPP &
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
PRJ
PRJ
40.67
37.63
5.35
5.35
251.92
3.21
2.13
2.42
5.30
21.38
12.82
1.92
11.76
421.30
272.29
79.93
21.67
2.70
261.57
2.77
5.35
86.58
26.11
1.98
1.98
44.78
44.78
64.16
351.65
80.89
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
REF
000107
000107
008518
008518
000295
000082
000082
000082
000082
000082
000082
000082
000010
008880
000998
000325
010168
010168
010168
010168
010168
010168
000165
000458
000458
000458
000458
000107
PRCITY
PRCITY
VCH374280
VCH374281
VCH374347
VCH374348
VCH374357
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374479
VCH374505
VCH374525
VCH374555
VCH374558
VCH374647
VCH374649
VCH374737
VCH374773
VCH374909
VCH375001
VCH375199
VCH375228
VCH375230
VCH375232
VCH375233
VCH375419
CENTURYLINK
WELL FIELD - PHONE BILL
CENTURYLINK
ROGER'S RES PHONE BILL
KERMIT'S SUPER WASH WASH #30
KERMIT'S SUPER WASH WASH #33
MCMASTER CARR SUPPLY FLOOR MATS
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
ACE HARDWARE
WEED WHIP OIL
EAGLE EYE WEED CONTR WEED SPRAYING
OFFICENET
OFFICE SUPPLIES
OVERHEAD DOOR CO
OH DOOR REPAIR
BANK OF AMERICA
USPS-Oil samples
BANK OF AMERICA
CASEYS-Weed Whip Gas
BANK OF AMERICA
ACE-Fencing supplies
BANK OF AMERICA
CASEYS-Weed whip fuel
BANK OF AMERICA
KERMIT`S-Wash #33
BANK OF AMERICA
"MENARDS-Auger,Flashlt,Fencing
EAKES OFFICE SOLUTIO 'WIRE' STAMP
PARAMOUNT
UNIFORMS
PARAMOUNT
UNIFORMS
PARAMOUNT
FR UNIFORMS
PARAMOUNT
FR UNIFORMS
CENTURYLINK
BURDICK PHONE BILL
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
193699
193699
193855
193855
193763
193819
193819
193819
193819
193819
193819
193819
193712
193832
193773
193878
4436
4436
4436
4436
4436
4436
193738
193776
193776
193776
193776
193923
TOTAL PROD EXP - BURDICK
1,094,000
1,094,000
712,580.16
7,835.09
.00
381,419.84
65.1%
TOTAL PROD OPERATION- BURDICK STE
1,094,000
1,094,000
712,580.16
7,835.09
.00
381,419.84
65.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
204
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52060791 PROD MAINTENANCE-BURDICK STEAM
_________________________________________
41 PROD MAIN - BURDICK
_________________________________________
52060791 51010
52060791 51110
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000109
52060791 51210
MAINT SUPER & ENG MAINT OF STRUCTURES
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
MAINT OF BOILER PLT
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000033 06/09/2015 API
52060791 51310
MAINT OF GENERATION
2015/09/000010 06/09/2015 API
2015/09/000086 06/23/2015 API
40,000
80,000
50.00
50.00
500.00
248.36
VND
VND
VND
VND
70,000
40,000
80,000
001624
001624
001624
004115
43,120.85
18,111.88
VCH374379
VCH374380
VCH374381
VCH374526
70,000
225,000
TRUGREEN CHEMLAWN
TRUGREEN CHEMLAWN
TRUGREEN CHEMLAWN
ELETECH INC
71,626.94
65.30 VND 010168 VCH373690
26.38 VND 010168 VCH373702
1,301.51 VND 000271 VCH374090
225,000
-3,120.85
61,888.12
.00
-1,626.94
MENARDS-silica analyzer parts
MENARDS-silica analyzer parts
COOLANT FILTERS
2,257.19
NEW PIG
CARDINAL TOOL & DIE
.00
.00
WEED SPRAYING BW7
WEED SPRAYING BW8
WEED SPRAYING - WEBB RD
QTRLY ELEV MAINT
1,393.19
BANK OF AMERICA
BANK OF AMERICA
KELLY SUPPLY CO
41,583.22
571.93 VND 001837 VCH373360
1,685.26 VND 001719 VCH374310
.00
848.36
.00
183,416.78
OIL PADS
GT2 ATOMIZER VALVE
107.8%*
22.6%
193911
193911
193911
193739
102.3%*
4408
4408
193578
18.5%
193662
193722
TOTAL PROD MAIN - BURDICK
415,000
415,000
174,442.89
4,498.74
.00
240,557.11
42.0%
TOTAL PROD MAINTENANCE-BURDICK ST
415,000
415,000
174,442.89
4,498.74
.00
240,557.11
42.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
205
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52061691 PROD OPERATIONS-BURDICK GAS
_________________________________________
38 PROD EXPENSE-BURDGAS
_________________________________________
52061691 54630
52061691 54830
OPERATION SUPER-BUR
GENERATION PROD-BUR
110,000
425,000
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
110,000
425,000
52,934.66
283,991.36
4.12 VND 010168 VCH374647
5.75 VND 010168 VCH374811
TOTAL PROD EXPENSE-BURDGAS
BANK OF AMERICA
BANK OF AMERICA
.00
9.87
.00
.00
57,065.34
141,008.64
USPS-Oil samples
USPS-NPDES Samples
48.1%
66.8%
4436
4436
535,000
535,000
336,926.02
9.87
.00
198,073.98
63.0%
85,000
85,000
37,995.77
200.35
.00
47,004.23
44.7%
40 PROD EXP - BURDICK
_________________________________________
52061691 54930
OPERATION SUP & EXP
2015/09/000086 06/23/2015 API
200.35 VND 000295 VCH374357
TOTAL PROD EXP - BURDICK
MCMASTER CARR SUPPLY FLOOR MATS
193763
85,000
85,000
37,995.77
200.35
.00
47,004.23
44.7%
235,000
235,000
38,752.44
.00
.00
196,247.56
16.5%
TOTAL PROD OPER - PGS
235,000
235,000
38,752.44
.00
.00
196,247.56
16.5%
TOTAL PROD OPERATIONS-BURDICK GAS
855,000
855,000
413,674.23
210.22
.00
441,325.77
48.4%
42 PROD OPER - PGS
_________________________________________
52061691 54730
GENERATION FUEL - B
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
206
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52061791 PROD MAINTENANCE-BURDICK GAS
_________________________________________
39 PROD MAIN-BURDICKGAS
_________________________________________
52061791 55130
52061791 55230
52061791 55330
2015/09/000010
2015/09/000010
2015/09/000086
2015/09/000122
MAINT SUPERVISION-B
MAINT OF STRUCT - B
MAINT OF GENERATION
06/09/2015
06/09/2015
06/23/2015
06/18/2015
API
API
API
API
1,000
6,000
155,000
876.34
2,586.33
314.98
192.44
VND
VND
VND
VND
1,000
6,000
155,000
008941
000204
000271
010168
.00
5,112.16
155,836.39
VCH373297
VCH373318
VCH374345
VCH374950
.00
.00
3,970.09
.00
.00
.00
1,000.00
887.84
-836.39
BRACE
GT1 DIESEL FUEL PIPING INSULAT
GE INTERNATIONAL INC SERVO VALVE
KELLY SUPPLY CO
HELMKE FAN MOTOR
BANK OF AMERICA
MENARDS - Thermostat
.0%
85.2%*
100.5%*
193616
193570
193758
4436
TOTAL PROD MAIN-BURDICKGAS
162,000
162,000
160,948.55
3,970.09
.00
1,051.45
99.4%
TOTAL PROD MAINTENANCE-BURDICK GA
162,000
162,000
160,948.55
3,970.09
.00
1,051.45
99.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
207
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52070691 PRODUCTION OPERATION EXP - PGS
_________________________________________
42 PROD OPER - PGS
_________________________________________
52070691 50020
52070691 50120
OPERATION SUPER & E
GENERATION FUEL - P
2015/09/000086 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000130 06/23/2015 API
52070691 50220
2015/09/000010
2015/09/000010
2015/09/000033
2015/09/000033
2015/09/000100
2015/09/000109
2015/09/000109
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000135
52070691 50520
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000033
2015/09/000086
2015/09/000086
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000130
2015/09/000130
2015/09/000130
STATION LABOR EXP 06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
APM
GENERATION PROD EXP
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
400,000
11,000,000
400,000
11,000,000
272,236.67
6,326,138.26
2,500.00 VND 009230 VCH374386
54.40 VND 010168 VCH375067
468.62 VND 000276 VCH375217
1,350,000
3,166.61
1,631.89
1,360.80
370.90
45.58
1,005.28
511.20
3,391.61
-500.00
308.00
766.00
-490.00
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,575,000
1,702.00
876.40
35,990.00
5,500.00
151.20
59.65
3,712.65
1,522.95
192.05
3,701.52
-103.74
103.74
13,825.11
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,350,000
009984
009093
008773
000226
000082
002731
009093
000623
000623
010347
003917
000623
1,575,000
001882
008615
010281
010281
008773
000321
002249
000130
008615
002249
008615
008615
005242
11,567.87
H-O-H WATER TECHNOLO
WOOD BROS IND
CHEMTREAT INC
HACH COMPANY
CITY PETTY CASH
VWR INTERNATIONAL
WOOD BROS IND
INTERSTATE CHEMICAL
INTERSTATE CHEMICAL
LOUISIANA SPECIALTY
SGS NORTH AMERICA IN
INTERSTATE CHEMICAL
961,011.96
VCH373334
VCH373344
VCH373380
VCH373381
VCH374043
VCH374376
VCH374382
VCH374512
VCH374540
VCH374573
VCH375219
VCH375220
VCH375250
.00
.00
127,763.33
4,673,861.74
WESTERN FUELS ASSOCI MONTHLY SERVICE AGREEMENT FEE
BANK OF AMERICA
NAPA - FUEL LUBE
KRIZ DAVIS CO
POTENTIOMETER
984,506.02
VCH373325
VCH373392
VCH374043
VCH374083
VCH374479
VCH374574
VCH374579
VCH375208
VCH375209
VCH375218
VCH375244
VCH375207
.00
3,023.02
365,493.98
ANTI SCALANT
FILTERS
TECH DIRECTION-CONSULTING-JUNE
SAMPLING BOTTLES
PETTY CASH REIMBURSEMENT
LAB SUPPLIES
SEDIMENT PRE-FILTER
CAUSTIC SODA & SULFURIC ACID
CONTAINER DEPOSIT - RETURNED
TILAPIA - DISCHARGE POND
ASH ANALYSIS FOR EPA
RETURNED TOTE
0
67,233.53
JOHNSEN CORROSION EN
MATHESON TRI-GAS INC
TRC
TRC
CHEMTREAT INC
SERVI-TECH LABORATOR
UNIVAR
BLACK & VEATCH CORP
MATHESON TRI-GAS INC
UNIVAR
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
VEOLIA WATER SOLUTIO
.00
.00
613,988.04
CATHODIC PROTECTION SYSTEMS
BULK HYDROGEN
RATA TESTING PGS
RATA TESTING PGS & BURDICK
TECH DIRECTION-CONSULTING-JUNE
MOTHLY NPDES TESTING - MAY
SULFURIC ACID 93%
NPDES MATS PERMITT ASSISTANCE
BULK HYDROGEN
SULFURIC ACID
BULK HYDROGEN CREDIT
BULK HYDROGEN
HYDREX 2263
68.1%
57.5%
193791
4436
193759
72.9%
193642
193698
193550
193643
193819
193915
193922
193755
193755
193860
193785
61.0%
193648
193651
193685
193685
193550
193900
193913
193719
193863
193913
193863
193863
193790
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
208
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52070691 50620
2015/09/000002
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000086
2015/09/000086
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000123
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000226
OPERATIONAL SUPP &
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/04/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
PRJ
695,000
53.46
41.34
513.07
477.75
61.38
1,157.56
37.70
19.26
15.75
38.50
314.90
37.43
4,353.26
493.21
121.31
5.35
124.43
59.57
1,571.59
130.20
221.51
342.15
87.45
404.46
775.19
13.58
250.00
32.10
255.71
165.84
246.84
172.10
192.48
481.26
259.92
103.81
19.26
109.78
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
REF
695,000
000387
000387
000021
000165
000165
003500
000786
000071
010168
010168
010168
010168
000091
008493
000165
008518
002994
000786
000083
000301
002994
000786
000019
004601
008493
000295
006312
000071
010168
010168
010168
010168
000107
000311
008493
000786
000071
PRCITY
334,119.31
VCH373249
VCH373250
VCH373298
VCH373309
VCH373310
VCH373312
VCH373383
VCH373391
VCH373564
VCH373592
VCH373652
VCH373952
VCH374044
VCH374072
VCH374073
VCH374095
VCH374106
VCH374128
VCH374198
VCH374241
VCH374362
VCH374383
VCH374509
VCH374511
VCH374524
VCH374543
VCH374576
VCH374577
VCH374593
VCH374661
VCH374678
VCH374892
VCH375166
VCH375188
VCH375193
VCH375249
VCH375251
13,760.46
.00
360,880.69
STATE DIV OF COMM
CELL PHONE CHARGES
STATE DIV OF COMM
LONG DISTANCE
CDW GOVERNMENT LLC
DESK MONITOR STAND
EAKES OFFICE SOLUTIO OFFICE SUPPLIES
EAKES OFFICE SOLUTIO OFFICE SUPPLIES
EGAN SUPPLY CO
CLEANING SUPPLIES
UPS
SHIPPING
WIPER TOWEL SERV INC RAGS
BANK OF AMERICA
CENEX CUBBY S-FUEL/TRAVEL
BANK OF AMERICA
TAGS ONE STOP-FUEL/TRAVEL
BANK OF AMERICA
SHERATON OVERLAND PARK-HOTEL
BANK OF AMERICA
MENARDS-ACRYLIC SHEET
CITY ELECT 100-101S INTERDEPARTMENTAL UTILITY BILL
DXP ENTERPRISES INC SAFETY GLASSES
EAKES OFFICE SOLUTIO LAMINATING POUCHES
KERMIT'S SUPER WASH WASH UNIT 1202
MH EQUIPMENT
SERVICE FORKLIFT
UPS
SHIPPING SERV
CITY FLEET SERVICES REPAIR SHOP MAY 2015
MID-NEBRASKA DISPOSA MAY 2015 TRASH SERVICE
MH EQUIPMENT
REPAIR VALVE COVER GASKET LENK
UPS
SHIPPING
ANDERSON AUTO PARTS CABIN AIR FILTER
B & H AUDIO VIDEO
2-WAY RADIOS
DXP ENTERPRISES INC FULL FACE SHIELD
MCMASTER CARR SUPPLY GASKETS, PARTS FOR DUMP TRUCK
WASTECAP
MEMBERSHIP DUES
WIPER TOWEL SERV INC RAGS
BANK OF AMERICA
AMAZON-NFPA ELEC SFTY
BANK OF AMERICA
AMAZON-NFPA72 HANDBOOK
BANK OF AMERICA
AMAZON-MNGR ECON BOOKS
BANK OF AMERICA
AMAZON-PRINT CARTRIDGES
CENTURYLINK
PHONE BILL
CAPITAL BUSINESS SYS COLOR COPIES - CANNON IR
DXP ENTERPRISES INC EAR PLUGS
UPS
SHIPPING
WIPER TOWEL SERV INC RAGS
WARRANT=060415 RUN=1 CITY BIW
48.1%
193679
193679
193547
193565
193565
193566
193687
193697
4408
4408
4408
4408
193624
193564
193565
193649
193585
193687
193727
193767
193766
193914
193799
193718
193737
193763
193917
193921
4436
4436
4436
4436
193708
193721
193737
193914
193921
TOTAL PROD OPER - PGS
15,020,000
15,020,000
8,878,012.22
95,584.88
.00
6,141,987.78
59.1%
TOTAL PRODUCTION OPERATION EXP -
15,020,000
15,020,000
8,878,012.22
95,584.88
.00
6,141,987.78
59.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
209
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52070791 PRODUCTION MAINTENANCE - PGS
_________________________________________
42 PROD OPER - PGS
_________________________________________
52070791 51120
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000100
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000130
2015/09/000130
2015/09/000130
2015/09/000130
MAINTENANCE OF STRU
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
700,000
654.87
16.84
36.25
12.83
25.17
342.40
15.42
569.60
292.83
143.00
104.54
133.75
4,753.16
78.26
1,118.10
70.19
72.76
2.13
1,828.10
198.80
3,440.00
314.58
700.85
333.42
4.37
2,200.00
176.86
343.86
104.54
TOTAL PROD OPER - PGS
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
700,000
000947
010168
010168
010168
010168
000019
002971
003029
003029
000592
000458
002800
002750
001748
000223
000223
000276
000082
004601
000295
001620
000339
009711
010168
010168
002800
003029
000592
000458
648,113.47
VCH373294
VCH373611
VCH373794
VCH373911
VCH373950
VCH374030
VCH374079
VCH374114
VCH374115
VCH374116
VCH374121
VCH374300
VCH374317
VCH374327
VCH374333
VCH374334
VCH374352
VCH374479
VCH374510
VCH374546
VCH374554
VCH374559
VCH374566
VCH374653
VCH375057
VCH375186
VCH375225
VCH375226
VCH375231
18,087.48
ALLIED ELECTRONICS I
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
ANDERSON AUTO PARTS
GRAINGER
NEBRASKA-IOWA INDUST
NEBRASKA-IOWA INDUST
O KEEFE ELEVATOR CO
PARAMOUNT
AGRICULTURAL SERVICE
CONTINENTAL ALARM &
EMEDCO
GREEN LINE EQUIPO
GREEN LINE EQUIPO
KRIZ DAVIS CO
CITY PETTY CASH
B & H AUDIO VIDEO
MCMASTER CARR SUPPLY
NEBRASKA FIRE SPRINK
PLATTE VALLEY COMMUN
SCOTT AERATOR CO LLC
BANK OF AMERICA
BANK OF AMERICA
AGRICULTURAL SERVICE
NEBRASKA-IOWA INDUST
O KEEFE ELEVATOR CO
PARAMOUNT
.00
51,886.53
AUDIO/COMPUTER CABLE
MENARDS GI-WHEELS
WALMART-DISHSOAP
ACE-BF PREVENTER
WALMART-FLAGS
FLOOR OIL DRY
SWITCH & VALVE
BOLTS
NUTS
ELEVATOR MAINT
RUG SERVICE
RED DYE - MARK SPRAYED AREAS
SEMI ANNUAL FIRE ALARM INSPECT
AED 3WAY SIGN
TURF CARE SPRAYER
TURF CARE SPRAYER
CHLORINE ROOM - REPLACEMENT LI
PETTY CASH REIMBURSEMENT
OUTDOOR CAMERA - FRONTGATE
BRASS BODY LOCKS
UPGRADE FIRE SYSTEM
REPAIR RADIO STATION - CONTROL
MOTOR-RETENTION POUND AERATORS
KELLY SUPPLY-PUMP
PLATTE VALLEY WINN- PVC PIPE
WEED CONTROL SPRAY
NUTS
ELEVATOR REPAIR
RUGS CLEANED
92.6%*
193607
4408
4408
4408
4408
193610
193640
193661
193661
193588
193591
193795
193821
193833
193842
193842
193759
193819
193718
193763
193872
193778
193899
4436
4436
193795
193874
193771
193776
700,000
700,000
648,113.47
18,087.48
.00
51,886.53
92.6%
225,000
225,000
146,740.13
.00
.00
78,259.87
65.2%
43 PROD MAINT - PGS
_________________________________________
52070791 51020
MAINT SUPER & ENG -
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
210
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52070791 51220
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000033
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
2015/09/000086
MAINT OF BOILER PLT
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
2,200,000
19.75
2,818.20
235.64
44.89
312.33
99.24
541.22
96.17
95.98
36.69
296.94
16.76
233.12
57.57
838.21
127.48
21,837.70
344.27
625.47
1,286.14
63.10
155.21
7.66
518.39
349.26
165.32
1,030.85
880.61
913.92
-1,030.85
469.16
925.43
162.97
3,114.99
200,342.96
80.65
516.57
326.75
418.48
625.87
1,941.46
711.96
1,046.10
423.50
124.54
32.05
348.37
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
2,200,000
000947
001372
000057
000057
002971
002971
001977
000271
008615
008615
000295
000295
000295
000295
000295
000295
001419
008784
001625
010168
010168
010168
010168
000950
000950
002971
000271
000271
000271
000271
008615
008615
002897
007662
010348
000947
001372
010340
000041
002130
008570
008570
008570
008570
000271
000295
000295
2,113,550.39
VCH373293
VCH373296
VCH373301
VCH373302
VCH373321
VCH373322
VCH373330
VCH373336
VCH373341
VCH373342
VCH373347
VCH373348
VCH373349
VCH373350
VCH373351
VCH373352
VCH373373
VCH373377
VCH373382
VCH373569
VCH373594
VCH373613
VCH373727
VCH374068
VCH374069
VCH374079
VCH374091
VCH374092
VCH374093
VCH374094
VCH374103
VCH374104
VCH374105
VCH374124
VCH374131
VCH374301
VCH374302
VCH374304
VCH374313
VCH374318
VCH374335
VCH374336
VCH374337
VCH374338
VCH374346
VCH374358
VCH374359
331,331.80
ALLIED ELECTRONICS I
ALSTOM POWER INC
CRESCENT ELECTRIC SU
CRESCENT ELECTRIC SU
GRAINGER
GRAINGER
INGERSOLL RAND COMPA
KELLY SUPPLY CO
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
R S STOVER COMPANY
ROCKY MTN BREAKER SE
UNITED CONVEYOR SUPP
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CLYDE BERGEMANN
CLYDE BERGEMANN
GRAINGER
KELLY SUPPLY CO
KELLY SUPPLY CO
KELLY SUPPLY CO
KELLY SUPPLY CO
MATHESON TRI-GAS INC
MATHESON TRI-GAS INC
MELLEN & ASSOCIATE
PIPING RESOURCES INC
VEOLIA ENVIRONMENTAL
ALLIED ELECTRONICS I
ALSTOM POWER INC
APEX INSTRUMENTS INC
CONSTRUCTION RENTAL
CONTINENTAL FIRE SPR
HAYES MECHANICAL LLC
HAYES MECHANICAL LLC
HAYES MECHANICAL LLC
HAYES MECHANICAL LLC
KELLY SUPPLY CO
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
.00
86,449.61
CONNECTOR
MILLSIDE LINER
MAG CABLE, UNITAP & DUCT SEAL
CABLE & WIRE MOLD BOX
SOLENOID VALVE
AIR REGULATOR
FILTERS, BREATHERS & OIL ANALY
10" SLIP-ON FLANGE
CUTTING TIP
GRINDING WHEEL
RIVETS & O-RINGS
ABS SHAPE
CONNECTOR CHAIN
O-RINGS
U-BOLT,HOSE,FLOW CONTROL MUFFL
AIR REGULATOR, MOUNTING BRACKE
REPAIR PARTS CV-231 VALVE
PHASE CONTACT STRUCTURE
KIT-GASKET ASSEMBLY
BUCK SALES-ELECTRO PNEUMATIC
WAL-MART-SPOTLIGHT
ISLAND SUPPLY-CHAIN LINKS
FASTENAL CO-BOLTS
SOOT BLOWER PACKING
IDLER JACK SHAFT
SWITCH & VALVE
GASKETS & DIAPHRAGM
TUBING
GASKET & DIAPHRAGM
RETURNED GASKETS & DIAPHRAGM
WELDING & PROCESS GAS
WELDING & PROCESS GAS
CYLINDER REPAIR KIT
CYLINDER & VALVE
PRECIP-ASH-CLEAN-SPRING OUT
FUSES
SHIPPING & HANDLING
PARTS FOR MERCURY TESTER
GRINDER & GREASE GUNS
SOLENOID VALVE - REPLACEMENT
BLOWDOWN TANK - TIME & MATERIA
BLOWDOWN TANK - TIME & MATERIA
INSTALL SAFETY VALVES
BLOWDOWN TANK - MATERIALS
AQCS - SCRUBBER FLY ASH
AQCS VALVE ACTUATOR
HOSE - AQCS VALVE INSTALL
96.1%*
193607
193608
193628
193628
193640
193640
193575
193578
193651
193651
193582
193582
193582
193582
193582
193582
193672
193596
193600
4408
4408
4408
4408
193559
193559
193640
193578
193578
193578
193578
193651
193651
193583
193669
193691
193797
193798
193801
193820
193822
193749
193749
193749
193749
193758
193763
193763
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
211
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52070791 PRODUCTION MAINTENANCE - PGS
52070791 51220 MAINT OF BOILER PLT
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000109 06/23/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
52070791 51320
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000086
2015/09/000109
2015/09/000122
13.31
2.41
120.05
124.06
71,333.00
3,070.90
160.50
68.73
683.64
103.69
2,351.86
1,179.36
333.50
138.92
2,141.11
547.84
58.74
30.48
1,076.13
87.60
308.24
38.52
100.17
116.98
24.18
1,584.66
180.00
724.17
MAINT OF GENERATION
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
API
API
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,600,000
63.76
86.93
64.75
6,259.50
8.22
213.04
VND
VND
VND
VND
VND
VND
000082
000082
007353
007353
008595
010336
008306
002301
000295
000295
000295
000295
000295
001406
001625
010207
010168
010168
010168
010168
008493
008493
008493
008493
008493
008570
010295
007662
VCH374479
VCH374479
VCH374506
VCH374507
VCH374508
VCH374514
VCH374523
VCH374531
VCH374541
VCH374542
VCH374543
VCH374544
VCH374545
VCH374557
VCH374572
VCH374575
VCH374774
VCH374793
VCH374846
VCH374906
VCH375194
VCH375195
VCH375196
VCH375197
VCH375198
VCH375203
VCH375210
VCH375237
1,600,000
000947
000947
000295
000186
000295
010168
CITY PETTY CASH
CITY PETTY CASH
AIRGAS INC
AIRGAS INC
AIRTECH ENVIRONMENTA
CARL J BUSH COMPANY
DEZURIK
FEDEX FREIGHT
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
MCMASTER CARR SUPPLY
OMAHA VALVE & FITTIN
UNITED CONVEYOR SUPP
WA BROWN INDUSTRIAL
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
DXP ENTERPRISES INC
DXP ENTERPRISES INC
DXP ENTERPRISES INC
DXP ENTERPRISES INC
DXP ENTERPRISES INC
HAYES MECHANICAL LLC
J & B POWDER COATING
PIPING RESOURCES INC
692,509.65
VCH373291
VCH373292
VCH373346
VCH374329
VCH374544
VCH374677
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
CEM CAL GAS
CEM CAL GAS
AQCS PERF/EMISSION TESTING
EXHAUST FAN - EAST DRUM ENCLOS
WASHERS
FREIGHT - MCMASTER CARR 425950
FIRE HOSE - AQCS
AQCS DUMP VALVE ACTUATOR PARTS
GASKETS, PARTS FOR DUMP TRUCK
SAW BLADE,LID,POLY SHEET,TAPE
WRENCH,KNIFE BLADES,DOOR STOP,
CUSHION CLAMP
FLY ASH & BOTTOM ASH REPLACE P
STAINLESS MESH BASKET
KELLY SUPPLY - BALL VALVE
NAPA - RADIATOR HOSE
MCNICHOLS CO-BAR GRATING
KELLY SUPPLY - PIPE FITTINGS
PNEUMATIC IMPACT WRENCH
TOOL REPAIR KIT - PORTA BAND S
TOOL REPAIR KIT - ROTO HAMMER
TOOL REPAIR KIT - 1/2" IR IMPA
TOOL REPAIR KIT - GRINDER
TURBINE RELIEF VALVE
POWDERCOATING - CHUTES
FLOWROX PINCH VALVE
6,696.20
ALLIED ELECTRONICS I
ALLIED ELECTRONICS I
MCMASTER CARR SUPPLY
FAJON MACHINING INC
MCMASTER CARR SUPPLY
BANK OF AMERICA
.00
907,490.35
CONTROL TRANSFORMER
CONTROL PANEL & INSTRUMENTATIO
SOCKET SET
TURBINE VALVE PARTS
SAW BLADE,LID,POLY SHEET,TAPE
DFM OIL-REPAIR KIT
193819
193819
193714
193714
193796
193812
193828
193741
193763
193763
193763
193763
193763
193775
193789
193916
4436
4436
4436
4436
193737
193737
193737
193737
193737
193749
193853
193881
43.3%
193607
193607
193582
193835
193763
4436
TOTAL PROD MAINT - PGS
4,025,000
4,025,000
2,952,800.17
338,028.00
.00
1,072,199.83
73.4%
TOTAL PRODUCTION MAINTENANCE - PG
4,725,000
4,725,000
3,600,913.64
356,115.48
.00
1,124,086.36
76.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
212
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52081193 ACCOUNTING AND COLLECTIONS
_________________________________________
49 ACCOUNTING & COLLECT
_________________________________________
52081193 90200
2015/09/000002
2015/09/000074
2015/09/000100
2015/09/000100
2015/09/000122
2015/09/000226
52081193 90300
2015/09/000010
2015/09/000010
2015/09/000046
2015/09/000074
2015/09/000075
2015/09/000100
2015/09/000100
2015/09/000100
2015/09/000109
2015/09/000109
2015/09/000120
2015/09/000122
2015/09/000130
2015/09/000130
2015/09/000131
2015/09/000131
2015/09/000131
2015/09/000186
2015/09/000186
2015/09/000186
2015/09/000186
2015/09/000186
2015/09/000186
2015/09/000186
52081193 90301
METER READING EXPEN
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/04/2015
API
API
API
API
API
PRJ
RECORDS & COL - EXP
06/09/2015
06/09/2015
06/08/2015
06/23/2015
06/11/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/17/2015
06/18/2015
06/23/2015
06/23/2015
06/15/2015
06/15/2015
06/15/2015
06/30/2015
06/30/2015
06/30/2015
06/30/2015
06/30/2015
06/30/2015
06/30/2015
API
API
GBI
API
API
API
API
API
API
API
GBI
API
API
API
API
API
API
GBI
GBI
GBI
GBI
GBI
GBI
GBI
RECORDS & COL - DAT
2015/09/000074 06/23/2015 API
285,000
57.07
17,029.60
1,816.02
390.82
348.83
335.92
VND
VND
VND
VND
VND
REF
647,738
849.10
71.87
-155.34
28,764.03
666.00
353.33
1.00
1,100.92
56.75
49.61
-929.46
114.02
127.94
1.00
13,333.00
779.08
845.04
-33.50
-1.19
-1.83
-2.29
-3.19
-32.16
-58.74
VND
VND
REF
VND
VND
VND
VND
VND
VND
VND
REF
VND
VND
VND
VND
VND
VND
REF
REF
REF
REF
REF
REF
REF
420,905
285,000
000387
000036
000083
000083
010168
PRCITY
172,584.51
VCH373249
VCH374212
VCH374480
VCH374480
VCH374995
647,738
000036
000407
000407
000154
010350
000146
000344
VCH374212
VCH374291
VCH374477
VCH374481
VCH374493
VCH374520
VCH374560
010168
000344
009752
000289
007368
008720
VCH374632
VCH375238
VCH375253
VCH374415
VCH374417
VCH374420
420,905
STATE DIV OF COMM
CITY FINANCE DEPT
CITY FLEET SERVICES
CITY FLEET SERVICES
BANK OF AMERICA
406,648.26
000050 VCH373300
000344 VCH373371
.00
112,415.49
CELL PHONE CHARGES
FINANCE PAYROLL REIMBURSEMENT
MAY 2015 REPAIR SHOP
MAY 2015 REPAIR SHOP
PROVANTAGE-Phone meter reader
WARRANT=060415 RUN=1 CITY BIW
45,894.99
.00
241,089.74
COPYCAT PRINTING
PREFERRED MAIL
LETTERS TO UTILITY CUSTOMERS
05/07/15-05/13/15 AUTOMATION C
POSTAGE BILLING - 96 MANILLA E
CITY FINANCE DEPT
FINANCE PAYROLL REIMBURSEMENT
UNITED STATES POST
REPLENISH BUSINESS REPLY/POSTA
UNITED STATES POST
ANNUAL PO BOX RENT
DIAMOND ENGINEERING UTILITY EASEMENT
MAILFINANCE INC
LEASE FEE - MAIL MACHINE
CREDIT MANAGEMENT
LEGAL COSTS - R ALVARENGA
PREFERRED MAIL
05/13/15-05/27/15 AUTOMATION F
POSTAGE BILLING MAY, 2015 MONT
BANK OF AMERICA
BestBuy-Monitors
PREFERRED MAIL
05/28/15-06/03/15 AUTOMATION F
BURTLE'S AIR CONDITI UTILITY EASEMENT
PITNEY BOWES
METERED POSTAGE
US BANK
ONLINE BILL PAY FEES
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARE USER FEES
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
POSTAGE BILLING - May 2015 Exp
319,378.60
31,026.00 VND 000035 VCH374166
19,978.26
CITY IT DEPT
31,026.00
.00
JUN 2015 IT SUPPORT
101,526.40
60.6%
193679
193726
193727
193727
4436
62.8%
193560
193593
193726
193703
193912
193830
193862
193825
193779
4436
193779
193809
4424
4425
4426
75.9%*
193728
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
213
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52081193 90400
UNCOLLECTABLE ACCOU
85,000
85,000
35,151.01
.00
.00
49,848.99
41.4%
TOTAL ACCOUNTING & COLLECT
1,438,643
1,438,643
933,762.38
96,899.25
.00
504,880.62
64.9%
TOTAL ACCOUNTING AND COLLECTIONS
1,438,643
1,438,643
933,762.38
96,899.25
.00
504,880.62
64.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
214
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52081295 ADMINISTRATIVE AND GENERAL EXP
_________________________________________
50 ADMIN & GENERAL EXP
_________________________________________
52081295 92000
2015/09/000074
2015/09/000226
2015/09/000227
2015/09/000228
2015/09/000230
2015/09/000231
2015/09/000232
52081295 92100
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000086
2015/09/000100
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
52081295
52081295
52081295
52081295
92300
92400
92500
92600
2015/09/000002
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000033
2015/09/000033
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000074
ADMINISTRATIVE SALA
06/23/2015
06/04/2015
06/04/2015
06/04/2015
06/18/2015
06/18/2015
06/18/2015
API
PRJ
PRJ
PRJ
PRJ
PRJ
PRJ
OFFICE SUPPLIES & E
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
OUTSIDE SERVICES EM
INSURANCE EXPENSE
INJURIES AND DAMAGE
EMPLOYEE FRINGE BEN
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
235,000
5,042.19
419,975.97
-2,560.00
2,163.43
403,375.76
-3,425.76
1,650.91
VND
REF
REF
REF
REF
REF
REF
45,000
482.66
.94
190.85
6.00
48.94
80.89
33.42
200.73
31.39
5.36
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,300,000
450,000
135,000
1,375,000
204.06
76.78
4.28
130.65
39.99
64.20
55.64
130.65
39.99
28,154.73
1.98
44.78
55.64
130.65
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
235,000
1,051,641.68
000036 VCH374212
PRCITY
PRVOID
PRMISC
PRCITY
PRVOID
PRMISC
45,000
000387
000387
010168
010168
000191
000083
000191
010168
010168
010168
1,300,000
450,000
135,000
1,375,000
008197
000458
000458
000458
000458
000458
000458
000458
000458
000036
000458
000458
000458
000458
CITY FINANCE DEPT
12,619.93
VCH373249
VCH373250
VCH373679
VCH373845
VCH374330
VCH374480
VCH374529
VCH374660
VCH374845
VCH374933
1,081.18
-816,641.68
.00
32,380.07
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
CORNHUSK Parking - Tim L
BOND PAPER WORK
MAY 2015 REPAIR SHOP
BOND PAPERS
CAPITAL BUSINESS-Copier Chgs
PUMP & PANTRY-NMPP-Lincoln
Mr G's-Car Wash Tim L
.00
.00
.00
206,861.11
TASC
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
CITY FINANCE DEPT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
.00
FINANCE PAYROLL REIMBURSEMENT
WARRANT=060415 RUN=1 CITY BIW
WARRANT=060415 RUN=V VOID CIT
WARRANT=060415 RUN=9 MISCELLA
WARRANT=061815 RUN=1 CITY BIW
WARRANT=061815 RUN=V VOID CIT
WARRANT=061815 RUN=9 MISCELLA
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
FEDERAL EXPRESS CORP
CITY FLEET SERVICES
FEDERAL EXPRESS CORP
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
616,434.96
267,722.60
117,083.50
1,001,097.62
VCH373251
VCH373361
VCH373363
VCH373364
VCH373365
VCH373367
VCH373368
VCH374122
VCH374123
VCH374212
VCH374253
VCH374255
VCH374257
VCH374258
826,222.50
.00
.00
.00
.00
683,565.04
182,277.40
17,916.50
373,902.38
JULY 2015 CAFETERIA FEES
REPLACE TORN F/R PANTS
UNIFORMS
F/R UNIFORMS
UNIFORMS
UNIFORMS
UNIFORMS
FR UNIFORMS
UNIFORMS
FINANCE PAYROLL REIMBURSEMENT
UNIFORMS
FR UNIFORMS
UNIFORMS
FR UNIFORMS
447.5%*
193726
28.0%
193679
193679
4408
4408
193837
193727
193837
4436
4436
4436
47.4%
59.5%
86.7%*
72.8%
193682
193591
193591
193591
193591
193591
193591
193591
193591
193726
193776
193776
193776
193776
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
215
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
520
ELECTRIC UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52081295 ADMINISTRATIVE AND GENERAL EXP
52081295 92600 EMPLOYEE FRINGE BEN
2015/09/000074 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000130 06/23/2015 API
2015/09/000226 06/04/2015 PRJ
2015/09/000227 06/04/2015 PRJ
2015/09/000228 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000231 06/18/2015 PRJ
2015/09/000232 06/18/2015 PRJ
2015/09/000235 06/30/2015 GNI
2015/09/000235 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
52081295 93000
2015/09/000010
2015/09/000074
2015/09/000074
2015/09/000074
2015/09/000109
52081295 93101
39.99
47.08
39.99
130.65
47.08
100,536.21
-830.87
874.27
98,446.63
-815.10
705.40
-10,687.85
-81.34
-10,643.71
-81.34
MISCELLANEOUS GENER
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
ELECTRIC UTILITY OF
2015/09/000074 06/23/2015 API
52081295 93200
MAINT OF GENERAL PR
VND
VND
VND
VND
VND
REF
REF
REF
REF
REF
REF
REF
REF
REF
REF
110,000
450.00
42.50
54.71
123.30
252.00
VND
VND
VND
VND
VND
7,370
000458
000458
000458
000458
000458
PRCITY
PRVOID
PRMISC
PRCITY
PRVOID
PRMISC
VCH374259
VCH374462
VCH375234
VCH375235
VCH375236
110,000
001208
000134
000214
003758
000214
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
PARAMOUNT
65,019.88
VCH373299
VCH374164
VCH374221
VCH374228
VCH374535
7,370
922.51
CHARTER COMMUNICATIO
CENTRAL NE REHABILIT
GI INDEPENDENT
HIRERIGHT SOLUTIONS
GI INDEPENDENT
5,527.53
614.17 VND 000036 VCH374211
UNIFORMS
UNIFORMS
UNIFORMS
FR UNIFORMS
UNIFORMS
WARRANT=060415 RUN=1 CITY BIW
WARRANT=060415 RUN=V VOID CIT
WARRANT=060415 RUN=9 MISCELLA
WARRANT=061815 RUN=1 CITY BIW
WARRANT=061815 RUN=V VOID CIT
WARRANT=061815 RUN=9 MISCELLA
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
EmployeeWitholdings 06/18/201
44,980.12
FIBER OPTIC TO SUB B
PRE-EMPLO & RTW PHYSICALS
MAY 2015 BILL
DRUG TESTS
ADS
614.17
CITY FINANCE DEPT
.00
.00
1,842.47
UTILITY ADMIN OFFICE SPACE
193776
193776
193776
193776
193776
59.1%
193623
193724
193840
193752
193840
75.0%*
193726
5,000
5,000
2,294.53
.00
.00
2,705.47
45.9%
TOTAL ADMIN & GENERAL EXP
3,662,370
3,662,370
3,139,442.23
1,035,701.47
.00
522,927.77
85.7%
TOTAL ADMINISTRATIVE AND GENERAL
3,662,370
3,662,370
3,139,442.23
1,035,701.47
.00
522,927.77
85.7%
89,270,921
89,270,921
42,365,680.79
1,911,215.81
.00
46,905,240.21
47.5%
89,270,921
89,270,921
42,365,680.79
1,911,215.81
.00
46,905,240.21
TOTAL ELECTRIC UTILITY
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
216
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52590010 CAPITAL PLANNING
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
52590010 85660
OTHER CAPITAL EXPEN
3,450,000
3,450,000
.00
.00
.00
3,450,000.00
.0%
TOTAL CAPITAL OUTLAY
3,450,000
3,450,000
.00
.00
.00
3,450,000.00
.0%
TOTAL CAPITAL PLANNING
3,450,000
3,450,000
.00
.00
.00
3,450,000.00
.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
217
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52590300 MERCHANDISE INCOME
_________________________________________
34 MERCH INCOME & EXP
_________________________________________
52590300 61610
52590300 61620
MERCHANDISE MATERIA
MERCHANDISE LABOR E
75,000
75,000
75,000
75,000
63,226.70
45,976.21
.00
.00
.00
.00
11,773.30
29,023.79
84.3%*
61.3%
TOTAL MERCH INCOME & EXP
150,000
150,000
109,202.91
.00
.00
40,797.09
72.8%
TOTAL MERCHANDISE INCOME
150,000
150,000
109,202.91
.00
.00
40,797.09
72.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
218
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52590500 INCOME DEDUCTIONS
_________________________________________
52590500 53000
INTEREST EXPENSE-20
66,138
66,138
44,333.34
.00
.00
21,804.66
67.0%
66,138
66,138
44,333.34
.00
.00
21,804.66
67.0%
55,000
55,000
43,329.49
.00
.00
11,670.51
78.8%*
TOTAL INCOME DEDUCTIONS
55,000
55,000
43,329.49
.00
.00
11,670.51
78.8%
TOTAL INCOME DEDUCTIONS
121,138
121,138
87,662.83
.00
.00
33,475.17
72.4%
TOTAL UNDEFINED CHAR
36 INCOME DEDUCTIONS
_________________________________________
52590500 53300
IN LIEU OF TAX EXPE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
219
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52590600 PRODUCTION OPERATION EXPENSE
_________________________________________
44 OTHER PRODUCTION EXP
_________________________________________
52590600 70300
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000033
2015/09/000074
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000130
2015/09/000130
52590600 70500
OPERATION SUPPLIES
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/09/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
MAINT OF WELLS AND
2015/09/000109 06/23/2015 API
52590600 72200
52590600 72300
52590600 72700
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000010
2015/09/000031
2015/09/000086
2015/09/000109
2015/09/000130
52590600 74300
OPERATION LABOR
POWER FOR PUMPING W
MAINT OF PUMPING EQ
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/09/2015
06/05/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
API
API
API
API
API
API
PURIFICATION SUPPLI
2015/09/000033 06/09/2015 API
2015/09/000086 06/23/2015 API
2015/09/000086 06/23/2015 API
50,000
22.17
24.15
13.75
10.80
41.59
337.48
215.04
24.15
24.15
131.85
88.86
17.33
17.33
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
35,000
50,000
000458
000458
010168
010168
010168
010168
000091
000458
000458
010168
010168
000263
000263
9,501.74
VCH373366
VCH373370
VCH373673
VCH373701
VCH373710
VCH373802
VCH374044
VCH374256
VCH374461
VCH374602
VCH374627
VCH375211
VCH375212
35,000
190,000
504,000
116,000
233.33
1,320.00
225.15
27.30
27.30
27.30
50.65
990.29
27.30
27.30
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
1,015,000
190,000
504,000
116,000
000947
001882
000295
000343
000343
000343
010168
009274
000343
000343
40,498.26
UNIFORMS
UNIFORMS
Galaxy Laundry-wash safety ves
PUMP & PANTRY-Small engine gas
Ace Hardware - soap / 2-stroke
CONSTRUCTION RENTAL-SAW BLADE
INTERDEPARTMENTAL UTILITY BILL
UNIFORMS
UNIFORMS
Copycat Printing-Door Hangers
DXP - work gloves
FLOOR MATS
FLOOR MATS
1,415.40
.00
.00
2,955.92
ALLIED ELECTRONICS I
JOHNSEN CORROSION EN
MCMASTER CARR SUPPLY
RICKS LAWN CARE INC
RICKS LAWN CARE INC
RICKS LAWN CARE INC
BANK OF AMERICA
PFANNENBERG INC
RICKS LAWN CARE INC
RICKS LAWN CARE INC
670,387.11
68,754.35 VND 008061 VCH374133
861.00 VND 000159 VCH374322
615.00 VND 000159 VCH374323
.00
.00
19,584.39
EAGLE EYE WEED CONTR WEED SPRAYING
142,522.07
267,771.44
116,326.75
VCH373295
VCH373334
VCH373353
VCH373374
VCH373375
VCH373376
VCH373572
VCH374370
VCH374561
VCH375239
1,015,000
PARAMOUNT
PARAMOUNT
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CITY ELECT 100-101S
PARAMOUNT
PARAMOUNT
BANK OF AMERICA
BANK OF AMERICA
JACKSON SERVICE INC
JACKSON SERVICE INC
15,415.61
1,415.40 VND 008880 VCH374525
968.65
.00
.00
.00
.00
193591
193591
4408
4408
4408
4408
193624
193776
193776
4436
4436
193757
193757
44.0%
193832
47,477.93
236,228.56
-326.75
I-TECH TOOLS
CATHODIC PROTECTION SYSTEMS
TOOLS & EXT CORDS
S LOCUST WELL MOWING
S LOCUST WELL MOWING
S LOCUST WELL MOWING
MENARDS - Itech supplies
VFD FILTERS
MOWING S LOCUST WELL 6/8/15
MOWING S LOCUST WELL
70,230.35
19.0%
344,612.89
WATER REMEDIATION TE JUNE WTP URANIUM REML
DPC INDUSTRIES INC
CHLORINE - BURDICK
DPC INDUSTRIES INC
CHLORINE - ROGER'S
75.0%*
53.1%
100.3%*
193607
193648
193582
193677
193677
193677
4408
193880
193896
193896
66.0%
193602
193831
193831
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
220
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52590600 74600
MAINT OF PURIFICATI
2015/09/000100 06/23/2015 API
2015/09/000100 06/23/2015 API
2015/09/000109 06/23/2015 API
16,000
16,000
19,327.51
2.47 VND 000082 VCH374479
22.50 VND 000082 VCH374479
186.11 VND 000271 VCH374538
211.08
CITY PETTY CASH
CITY PETTY CASH
KELLY SUPPLY CO
.00
-3,327.51
PETTY CASH REIMBURSEMENT
PETTY CASH REIMBURSEMENT
ROGER'S CHLOR REPAIR PARTS
120.8%*
193819
193819
193758
TOTAL OTHER PRODUCTION EXP
1,926,000
1,926,000
1,241,252.23
75,781.40
.00
684,747.77
64.4%
TOTAL PRODUCTION OPERATION EXPENS
1,926,000
1,926,000
1,241,252.23
75,781.40
.00
684,747.77
64.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
221
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52591000 DISTRIBUTION OPERATIONS
_________________________________________
48 DISTRIBUTION MAINT
_________________________________________
52591000 75100
OPER SUPERVISION &
2015/09/000074 06/23/2015 API
52591000 75200
DISTRIBUTION OFFICE
2015/09/000109 06/23/2015 API
52591000 75300
2015/09/000010
2015/09/000031
2015/09/000033
2015/09/000033
2015/09/000086
2015/09/000086
2015/09/000109
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
52591000 75400
52591000 75800
2015/09/000010
2015/09/000033
2015/09/000086
2015/09/000130
52591000 75900
2015/09/000010
2015/09/000086
2015/09/000100
2015/09/000100
OPERATION OF MAINS
06/09/2015
06/05/2015
06/09/2015
06/09/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
OPERATION OF METERS
MAINT OF DISTRIBUTI
06/09/2015
06/09/2015
06/23/2015
06/23/2015
API
API
API
API
MAINT OF FIRE HYDRA
06/09/2015
06/23/2015
06/23/2015
06/23/2015
API
API
API
API
196,500
196,500
137,284.17
1,214.66 VND 000036 VCH374212
105,000
105,000
812.00
12.65
16,851.22
714.62
2,223.00
399.15
22.04
13.00
8.39
26.22
6.70
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
105,000
210,000
133.22
28.79
114.48
47.19
VND
VND
VND
VND
160,000
133.22
52.21
61.53
114.79
VND
VND
VND
VND
220,000
000467
010168
006828
002731
000467
009431
000307
010168
010168
010168
010168
001148
000918
000918
000918
VCH373320
VCH374041
VCH374312
VCH375189
160,000
001148
000918
009992
000666
GERHOLD
CENTRAL
CENTRAL
CENTRAL
123,226.48
VCH373320
VCH374311
VCH374412
VCH374413
50.00
21,088.99
.00
47,830.26
COM
GRA
GRA
GRA
3000
FILL
FILL
FILL
361.75
GERHOLD CONCRETE COM
CENTRAL SAND AND GRA
CENTRAL NEBRASKA SOD
CHRISTENSEN CONCRETE
.00
.00
.00
39,976.65
21,013.18
99,927.96
PSI CONCRETE
SAND
SAND
SAND
.00
69.9%
193726
54.4%
193754
WATER TEST FEES
USPS-Water Sample
CALCIQUEST LIQUID
PH METER KIT
WATER TEST FEES
MAY LOCATES
FREIGHT FOR TEST SUPPLIES
USPS-Water Samples
WALMART-Coliform samples suppl
HERMAN PLUMB-Dye/ck water flow
USPS-Water Sample
.00
323.68
CONCRETE
SAND AND
SAND AND
SAND AND
59,215.83
SAMPLE BOTTLES
NEBRASKA PUBLIC HEAL
BANK OF AMERICA
CARUS CORPORATION
VWR INTERNATIONAL
NEBRASKA PUBLIC HEAL
ONE CALL CONCEPTS IN
MIDWEST LABORATORIES
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
83,986.82
110,072.04
.00
FINANCE PAYROLL REIMBURSEMENT
IEH LABORATORIES
180,023.35
VCH373430
VCH373586
VCH374038
VCH374132
VCH374365
VCH374369
VCH374547
VCH374629
VCH374650
VCH374918
VCH375046
105,000
210,000
CITY FINANCE DEPT
57,169.74
50.00 VND 009161 VCH374537
220,000
1,214.66
81.8%*
193659
4408
193621
193692
193873
193877
193866
4436
4436
4436
4436
80.0%*
52.4%
193571
193549
193725
193725
36,773.52
3000 PSI CONCRETE
FILL SAND
250 SQ FT SOD
8"X16" CONCRETE BLOCKS
77.0%*
193571
193725
193814
193816
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
222
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL DISTRIBUTION MAINT
996,500
996,500
691,762.60
23,039.08
.00
304,737.40
69.4%
TOTAL DISTRIBUTION OPERATIONS
996,500
996,500
691,762.60
23,039.08
.00
304,737.40
69.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
223
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52591100 ACCOUNTING AND COLLECTIONS
_________________________________________
49 ACCOUNTING & COLLECT
_________________________________________
52591100 78100
METER READING EXPEN
2015/09/000074 06/23/2015 API
52591100 78200
2015/09/000010
2015/09/000010
2015/09/000074
2015/09/000075
2015/09/000100
2015/09/000100
2015/09/000109
2015/09/000122
2015/09/000130
2015/09/000131
2015/09/000131
2015/09/000131
52591100 78250
CUSTOMER BILLING &
06/09/2015
06/09/2015
06/23/2015
06/11/2015
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/23/2015
06/15/2015
06/15/2015
06/15/2015
API
API
API
API
API
API
API
API
API
API
API
API
DATA PROCESSING BIL
2015/09/000074 06/23/2015 API
52591100 78400
UNCOLLECTABLE ACCOU
95,000
95,000
47,942.81
6,613.61 VND 000036 VCH374212
197,704
425.82
24.98
10,887.96
334.00
176.67
552.11
13.36
249.76
59.88
6,667.00
105.28
80.88
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
212,987
197,704
000050
000344
000036
000407
000407
010350
000344
010168
000344
000289
007368
008720
212,987
CITY FINANCE DEPT
133,773.54
VCH373300
VCH373371
VCH374212
VCH374291
VCH374477
VCH374493
VCH374560
VCH374632
VCH375238
VCH374415
VCH374417
VCH374420
CITY IT DEPT
.00
47,057.19
FINANCE PAYROLL REIMBURSEMENT
19,577.70
COPYCAT PRINTING
PREFERRED MAIL
CITY FINANCE DEPT
UNITED STATES POST
UNITED STATES POST
MAILFINANCE INC
PREFERRED MAIL
BANK OF AMERICA
PREFERRED MAIL
PITNEY BOWES
US BANK
TSYS MERCHANT SOLUTI
160,759.02
15,172.00 VND 000035 VCH374167
6,613.61
.00
63,930.46
LETTERS TO UTILITY CUSTOMERS
05/07/15-05/13/15 AUTOMATION C
FINANCE PAYROLL REIMBURSEMENT
REPLENISH BUSINESS REPLY/POSTA
ANNUAL PO BOX RENT
LEASE FEE - MAIL MACHINE
05/13/15-05/27/15 AUTOMATION F
BestBuy-Monitors
05/28/15-06/03/15 AUTOMATION F
METERED POSTAGE
ONLINE BILL PAY FEES
MAY 2015 CREDIT CARE USER FEES
15,172.00
.00
52,227.98
JUN 2015 IT SUPPORT
50.5%
193726
67.7%
193560
193593
193726
193703
193912
193862
193779
4436
193779
4424
4425
4426
75.5%*
193728
7,500
7,500
2,086.24
.00
.00
5,413.76
27.8%
TOTAL ACCOUNTING & COLLECT
513,191
513,191
344,561.61
41,363.31
.00
168,629.39
67.1%
TOTAL ACCOUNTING AND COLLECTIONS
513,191
513,191
344,561.61
41,363.31
.00
168,629.39
67.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
224
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52591200 ADMINISTRATIVE AND GENERAL EXP
_________________________________________
49 ACCOUNTING & COLLECT
_________________________________________
52591200 80010
2015/09/000074
2015/09/000226
2015/09/000230
2015/09/000235
2015/09/000236
EMPLOYEE WELFARE
06/23/2015
06/04/2015
06/18/2015
06/30/2015
06/30/2015
API
PRJ
PRJ
GNI
GNI
165,000
8,904.86
6,855.17
6,868.65
-1,049.44
-1,049.44
TOTAL ACCOUNTING & COLLECT
165,000
108,534.35
VND 000036 VCH374212
REF PRCITY
REF PRCITY
REF
REF
20,529.80
CITY FINANCE DEPT
.00
56,465.65
FINANCE PAYROLL REIMBURSEMENT
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
165,000
165,000
108,534.35
20,529.80
.00
56,465.65
19,000
19,000
80,867.67
54,122.88
.00
-61,867.67
65.8%
193726
65.8%
50 ADMIN & GENERAL EXP
_________________________________________
52591200 79000
ADMINISTRATIVE SALA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
52591200 79300
2015/09/000002
2015/09/000002
2015/09/000031
2015/09/000122
2015/09/000123
2015/09/000168
52591200 79500
OFFICE SUPPLIES & E
06/09/2015
06/09/2015
06/05/2015
06/18/2015
06/18/2015
06/25/2015
API
API
API
API
API
API
SPECIAL SERVICES
2015/09/000074 06/23/2015 API
52591200 79800
52591200 79900
52591200 80020
INSURANCE EXPENSES
INJURIES & DAMAGES
PENSIONS
2015/09/000074 06/23/2015 API
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
26,805.46 REF PRCITY
27,317.42 REF PRCITY
6,600
178.11
2.08
16.71
17.56
39.09
40.82
VND
VND
VND
VND
VND
VND
110,000
WARRANT=060415
WARRANT=061815
6,600
000387
000387
010168
010168
000107
000107
VCH373249
VCH373250
VCH373679
VCH374660
VCH375169
VCH375415
110,000
525.00 VND 001376 VCH374273
13,000
11,000
20,000
13,000
11,000
20,000
1,151.73 VND 000036 VCH374212
1,546.88 REF PRCITY
1,570.52 REF PRCITY
4,979.66
294.37
STATE DIV OF COMM
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
CENTURYLINK
CENTURYLINK
54,202.02
WELLS FARGO BANK
8,280.04
3,152.02
13,329.22
.00
1,620.34
.00
55,797.98
2012 WATER BOND FEES
.00
.00
4,269.13
CITY FINANCE DEPT
RUN=1 CITY BIW
RUN=1 CITY BIW
CELL PHONE CHARGES
LONG DISTANCE
CENTURYLINK - Phone Bill
CAPITAL BUSINESS-Copier Chgs
PHONE BILL
PHONE BILL
525.00
425.6%*
.00
.00
.00
75.4%*
193679
193679
4408
4436
193708
193923
49.3%
193919
4,719.96
7,847.98
6,670.78
FINANCE PAYROLL REIMBURSEMENT
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
63.7%
28.7%
66.6%
193726
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
225
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52591200 80100
2015/09/000010
2015/09/000074
2015/09/000074
2015/09/000122
52591200 80200
2015/09/000086
2015/09/000100
2015/09/000100
2015/09/000122
2015/09/000122
2015/09/000168
52591200 80300
MISCELLANEOUS GENER
06/09/2015
06/23/2015
06/23/2015
06/18/2015
API
API
API
API
MAINT OF GENERAL PR
06/23/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
06/25/2015
API
API
API
API
API
API
RENTS
2015/09/000074 06/23/2015 API
52591200 81000
BACKFLOW PROTECTION
2015/09/000010 06/09/2015 API
2015/09/000010 06/09/2015 API
2015/09/000074 06/23/2015 API
25,000
3,853.20
48.25
19.50
47.21
VND
VND
VND
VND
75,000
327.06
2,696.13
334.16
81.79
98.43
34.76
VND
VND
VND
VND
VND
VND
3,630
25,000
009130
003758
000301
010168
14,258.85
VCH373319
VCH374228
VCH374237
VCH374625
75,000
000642
000083
001489
010168
010168
000336
3,630
136,500
87,970.94
500.00 VND 000798 VCH373290
6,508.93 VND 000036 VCH373413
902.01 VND 000359 VCH374265
.00
21,393.69
.00
907.50
UTILITY ADMIN OFFICE SPACE
7,910.94
ALDANA PLUMBING
CITY FINANCE DEPT
RINDER PRINTING CO
10,741.15
VALVE BOX COVER TONGS
MAY 2015 REPAIR SHOP
REPAIR HYDRAULICS ON #907
Kelly Supply Co - tubing cutte
Kelly Supply - PVC check valve
NATURAL GAS BILL
302.50
CITY FINANCE DEPT
.00
CCR REPORT FOR 2014
DRUG TESTS
MAY 2015 TRASH SERVICE
"Ace-DRILL BIT,WIRE STRIP,STAP
3,572.33
POLLARDWATER.COM
CITY FLEET SERVICES
HYDRAULIC EQUIPMENT
BANK OF AMERICA
BANK OF AMERICA
NORTHWESTERN
2,722.50
302.50 VND 000036 VCH374211
136,500
GEMINI GROUP LLC
HIRERIGHT SOLUTIONS
MID-NEBRASKA DISPOSA
BANK OF AMERICA
53,606.31
VCH374375
VCH374426
VCH374446
VCH374882
VCH375065
VCH375421
3,968.16
.00
48,529.06
BACKFLOW FINANCING
BACKFLOW PREVENTION-MAY 2015 E
BACKFLOW TESTING REPORTS
57.0%
193637
193752
193767
4436
71.5%
193883
193727
193851
4436
4436
193924
75.0%
193726
64.4%
193606
193553
193780
TOTAL ADMIN & GENERAL EXP
419,730
419,730
323,369.23
74,965.31
.00
96,360.77
77.0%
TOTAL ADMINISTRATIVE AND GENERAL
584,730
584,730
431,903.58
95,495.11
.00
152,826.42
73.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
226
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
525
WATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
52591300 DEPRECIATION
_________________________________________
51 DEPRECIATION EXPENSE
_________________________________________
52591300
52591300
52591300
52591300
52591300
50310
50320
50330
50340
50350
DEPR
DEPR
DEPR
DEPR
DEPR
EXP
EXP
EXP
EXP
EXP
-
SOURCE O
PUMPING
TREATMEN
DISTRIBU
GENERAL
72,000
20,400
149,400
686,100
102,000
72,000
20,400
149,400
686,100
102,000
46,305.64
13,479.92
100,967.68
396,628.54
72,340.45
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
25,694.36
6,920.08
48,432.32
289,471.46
29,659.55
64.3%
66.1%
67.6%
57.8%
70.9%
TOTAL DEPRECIATION EXPENSE
1,029,900
1,029,900
629,722.23
.00
.00
400,177.77
61.1%
TOTAL DEPRECIATION
1,029,900
1,029,900
629,722.23
.00
.00
400,177.77
61.1%
TOTAL WATER UTILITY
8,771,459
8,771,459
3,536,067.99
235,678.90
.00
5,235,391.01
40.3%
8,771,459
8,771,459
3,536,067.99
235,678.90
.00
5,235,391.01
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
227
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001 SEWER GENERAL OPERATIONS
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
53030001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
53030001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
488,432
488,432
337,476.13
37,645.33
18,571.61 REF PRCITY
19,073.72 REF PRCITY
2,500
WARRANT=060415
WARRANT=061815
2,500
6,935.52
648.43
207.56 REF PRCITY
440.87 REF PRCITY
37,555
37,555
25,081.96
2,785.71
96,385
69,216.28
8,034.80
3,915.16 REF PRCITY
4,119.64 REF PRCITY
609
609
443.56
52.19
52.19 REF PRCITY
856
552.54
65.01
32.12 REF PRCITY
32.89 REF PRCITY
28,542
28,542
2,207.16
1,083.88 REF PRCITY
1,123.28 REF PRCITY
16,881
16,881
1,406.75 VND 000036 VCH373411
1,406.75
CITY FINANCE DEPT
277.4%*
66.8%
71.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
165.44
72.8%
RUN=1 CITY BIW
303.46
64.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
12,660.75
27,168.72
.00
WARRANT=060415
WARRANT=061815
20,326.10
12,473.04
.00
WARRANT=060415
856
-4,435.52
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
69.1%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
150,955.87
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
1,363.71 REF PRCITY
1,422.00 REF PRCITY
96,385
.00
8,215.90
71.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
4,220.25
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
228
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001 85160
OTHER EMPLOYEE BENE
1,503
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
53030001 85161
923.81
25.06 VND 008197 VCH373251
22.90 VND 010168 VCH373883
22.90 VND 010168 VCH374833
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
1,503
3,900
3,900
70.86
TASC
BANK OF AMERICA
BANK OF AMERICA
3,403.43
579.19
JULY 2015 CAFETERIA FEES
PARAMOUNT- UNIFORMS/MATS
PARAMOUNT - UNIFORMS / MATS
374.68
186.19 REF PRCITY
188.49 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
496.57
61.5%
193682
4408
4436
87.3%*
RUN=1 CITY BIW
RUN=1 CITY BIW
677,163
677,163
477,020.08
53,290.92
.00
200,142.92
70.4%
AUDITING & ACCOUNTI
CONSULTING SERVICES
5,000
0
5,000
0
5,000.00
.00
.00
.00
.00
2,031,860.22
.00
-2,031,860.22
100.0%*
100.0%*
53030001 85207 53012 C/S NE INT PHA
0
0
37,328.43
6,316.85
.00
-37,328.43
100.0%*
91 OPERATING EXPENSES
_________________________________________
53030001 85201
53030001 85207
2015/09/000100 06/23/2015 API
53030001 85207 53014 C/S-HEADWORKS
2015/09/000100 06/23/2015 API
53030001 85207 53022 C/S NE INT P2A
2015/09/000100 06/23/2015 API
53030001 85207 53023 C/S NE INT P2B
2015/09/000100 06/23/2015 API
53030001 85207 53024 C/S NE INT P2C
2015/09/000100 06/23/2015 API
53030001 85207 53530 CONSULTING SER
2015/09/000086 06/23/2015 API
6,316.85 VND 000130 VCH374478
0
0
725,278.49
64,279.60 VND 000130 VCH374478
0
0
0
18,066.97 VND 000130 VCH374478
0
0
127,208.54
21,959.22 VND 000130 VCH374478
0
0
19,853.37 VND 000190 VCH374374
86,837.66
.00
-104,660.99
.00
-104,660.99
WW MAJOR REHAB-AMENDMENT #8
21,959.22
BLACK & VEATCH CORP
-725,278.49
WW MAJOR REHAB-AMENDMENT #8
18,066.97
BLACK & VEATCH CORP
.00
WW MAJOR REHAB-AMENDMENT #8
18,066.97
BLACK & VEATCH CORP
104,660.99
WW MAJOR REHAB-AMENDMENT #8
64,279.60
BLACK & VEATCH CORP
104,660.99
18,066.97 VND 000130 VCH374478
0
BLACK & VEATCH CORP
.00
-127,208.54
WW MAJOR REHAB-AMENDMENT #8
19,853.37
63,908.30
-150,745.96
OLSSON ASSOCIATES IN HUSKER HWY SANITARY AMDMNT #1
193719
100.0%*
193719
100.0%*
193719
100.0%*
193719
100.0%*
193719
100.0%*
193774
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
229
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001
53030001
53030001
53030001
85209
85221
85227
85241
COLLECTION SERVICES
ADMINISTRATIVE SERV
HEALTH SERVICES
COMPUTER SERVICES
2015/09/000122 06/18/2015 API
53030001 85245
53030001 85305
PRINTING & BINDING
UTILITY SERVICES
2015/09/000109 06/23/2015 API
53030001 85317
NATURAL GAS
REPAIR & MAIN-LD IM
2015/09/000122 06/18/2015 API
53030001 85324
REPAIR & MAINT - BU
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
53030001 85325
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
53030001 85330
53030001 85350
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/18/2015
06/18/2015
API
API
API
API
REPAIR & MAINT - OF
SANITATION SERVICE
2015/09/000122 06/18/2015 API
53030001 85390
2015/09/000002
2015/09/000010
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000100
2015/09/000122
2015/09/000122
OTHER PROPERTY SERV
06/09/2015
06/09/2015
06/05/2015
06/05/2015
06/23/2015
06/23/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
125,550
230,000
250
0
94,173.90
194,202.13
277.85
454.35
454.35 VND 010168 VCH375034
500
9,600
500
9,600
555.29 VND 000091 VCH374519
70,000
2015/09/000075 06/11/2015 API
53030001 85319
125,550
230,000
250
0
70,000
2,418.53 VND 000336 VCH374285
15,000
15,000
489.11 VND 010168 VCH375110
60,000
60,000
1,392.00 VND 010168 VCH374016
695.00 VND 010168 VCH374025
19,000
275.43
39.60
67.85
11.00
VND
VND
VND
VND
2,500
3,000
19,000
010168
010168
010168
010168
VCH373738
VCH373892
VCH374840
VCH374988
2,500
3,000
868.20 VND 010168 VCH374778
6,720
10.00
10.00
69.02
150.54
10.00
10.00
69.02
150.54
VND
VND
VND
VND
VND
VND
VND
VND
6,720
000071
000071
010168
010168
000071
000071
010168
010168
VCH373258
VCH373444
VCH373883
VCH373971
VCH374276
VCH374501
VCH374833
VCH375151
.00
.00
.00
454.35
BANK OF AMERICA
55.00
5,255.16
CITY ELECT 100-101S
489.11
BANK OF AMERICA
2,087.00
2,083.72
7,264.57
.00
3,320.00
AMERICA
AMERICA
AMERICA
AMERICA
CAPITAL
GARRETT
CAPITAL
GARRETT
.00
868.20
BANK OF AMERICA
.00
1,350.89
36,896.92
16,916.28
BUSINESS-COPY OVERAGES
TIRES - TIRE REPAIR
BUSINESS - COPY COUNTS
TIRES - TIRE REPAIR
.00
.00
1,490.58
-693.25
MID NEBRASKA - TRASH SERVICE
479.12
WIPER TOWEL SERV
WIPER TOWEL SERV
BANK OF AMERICA
BANK OF AMERICA
WIPER TOWEL SERV
WIPER TOWEL SERV
BANK OF AMERICA
BANK OF AMERICA
.00
75.0%*
84.4%*
111.1%*
100.0%*
4436
11.0%
54.7%
193817
89.6%*
193701
ISLAND INDOOR CLIM - REPAIR AC
ISLAND INDOOR CLIM - REPAIR AC
393.88
1,009.42
3,693.25
3,240.41
.00
ISLAND SPRINKLER - REPAIRS
BANK OF AMERICA
BANK OF AMERICA
OF
OF
OF
OF
445.00
4,344.84
NATURAL GAS BILL
13,649.11
BANK
BANK
BANK
BANK
.00
.00
INTERDEPARTMENTAL UTILITY BILL
2,418.53
NORTHWESTERN
19,783.08
31,376.10
35,797.87
-27.85
-454.35
SAP AMERICA-DRAFTING&AUTOCAD
.00
555.29
62,735.43
.00
.00
.00
.00
3,479.59
INC TOWELS
INC TOWELS
PARAMOUNT- UNIFORMS/MATS
PRESTO-X - PEST CONTROL
INC TOWELS
INC TOWELS
PARAMOUNT - UNIFORMS / MATS
PRESTO-X / PEST SERVICE
91.0%*
4436
38.5%
4408
4408
11.0%
4408
4408
4436
4436
40.4%
123.1%*
4436
48.2%
193697
193697
4408
4408
193921
193921
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
230
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001 85401
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
53030001 85404
PROPERTY INSURANCE
2015/09/000010 06/09/2015 API
53030001 85407
AUTOMOBILE INSURANC
2015/09/000010 06/09/2015 API
53030001 85410
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000123
53030001 85416
TELEPHONE
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
API
API
API
API
API
ADVERTISING
53030001 85427
53030001 85428
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000230
53030001 85465
53030001 85490
22,000
6,600
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
PRJ
UNINSURED LOSS
OTHER EXPENDITURES
2015/09/000131 06/15/2015 API
2015/09/000131 06/15/2015 API
6,600
550.00 VND 000036 VCH373412
9.35
46.95
114.38
80.76
112.28
VND
VND
VND
VND
VND
2,100
000387
010168
010168
010168
000107
VCH373250
VCH373679
VCH373779
VCH373793
VCH375167
1,000
324.00 VND 000214 VCH374078
775.20 VND 000214 VCH374535
DUES & SUBSCRIPTION
LICENSE & FEES
BOOKS
PERIODICALS
TRAVEL & TRAINING
22,000
1,833.33 VND 000036 VCH373412
1,000
2015/09/000122 06/18/2015 API
47,900
3,991.67 VND 000036 VCH373412
2,100
2015/09/000033 06/09/2015 API
2015/09/000109 06/23/2015 API
53030001 85422
53030001 85424
53030001 85425
47,900
0
200
532
0
200
532
90.31 VND 010168 VCH374809
480
20,000
75.00
238.05
561.00
21.85
297.72
92.00
VND
VND
VND
VND
VND
REF
500
10,000
480
20,000
010168
010168
010168
010168
010168
PRCITY
VCH374948
VCH375100
VCH375108
VCH375130
VCH375145
500
10,000
168.45 VND 007368 VCH374417
174.41 VND 008720 VCH374420
35,924.99
3,991.67
CITY FINANCE DEPT
16,500.01
4,950.00
1,744.69
2,240.81
70.00
140.00
150.57
.00
14,508.91
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
.00
12,198.37
625.00
-269.69
.00
-1,240.81
193553
75.0%
193553
75.0%
193553
112.8%*
224.1%*
193639
193840
.00
.00
.00
-70.00
60.00
381.43
.00
.00
480.00
5,491.09
AMERICAN AIR-FLIGHT CHANGE/ZHA
AVIS RENT-A-CAR /ZHAO - APWA
SOUTHWEST AIRLIN - ZHAO/STRONG
7ELEVEN-RENTAL CAR FUEL-ZHAO
FAIRFIELD INN - ZHAO / FLORIDA
WARRANT=061815 RUN=1 CITY BIW
.00
342.86
75.0%
193679
4408
4408
4408
193708
UNL MARKETPLACE - BOOKS
.00
1,285.62
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
1,650.00
ADS
ADS
.00
.00
90.31
BANK OF AMERICA
.00
LONG DISTANCE
CENTURYLINK - Phone Bill
CENTURYLINK - PHONE BILL
CENTURYLINK - PHONE BILL
PHONE BILL
1,099.20
GI INDEPENDENT
GI INDEPENDENT
5,499.99
JUNE 2015 PREMIUMS & LIABILITY
363.72
STATE DIV OF COMM
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
CENTURYLINK
.00
JUNE 2015 PREMIUMS & LIABILITY
550.00
CITY FINANCE DEPT
11,975.01
JUNE 2015 PREMIUMS & LIABILITY
1,833.33
CITY FINANCE DEPT
.00
.00
.00
500.00
-2,198.37
US BANK
ONLINE BILL PAY FEES
TSYS MERCHANT SOLUTI MAY 2015 CREDIT CARE USER FEES
100.0%*
70.0%
28.3%
4436
.0%
72.5%
4436
4436
4436
4436
4436
.0%
122.0%*
4425
4426
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
231
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001 85501
53030001 85505
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
53030001 85510
SOFTWARE & ACCESORI
OFFICE SUPPLIES
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
1,000
9,000
154.51
49.38
17.46
17.78
292.78
CLEANING SUPPLIES
3,000
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
53030001
53030001
53030001
53030001
85530
85540
85560
85590
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
53030001 85905
API
API
API
API
API
API
API
API
200
900
1,000
11,000
405.99
118.50
286.40
6.49
41.00
72.96
103.50
679.36
SALES TAX
2015/09/000126 06/18/2015 API
010168
010168
010168
010168
010168
.00
4,537.91
VCH373798
VCH374660
VCH375019
VCH375050
VCH375095
3,000
VND
VND
VND
VND
VND
VND
VND
VND
600,000
200
900
1,000
11,000
010168
010168
010168
010168
010168
010168
010168
010168
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
.00
575.53
1,000.00
3,886.56
OFFICENET-PAPER & SUPPLIES
CAPITAL BUSINESS-Copier Chgs
AMAZON - RETRACTABLE PENS
AMAZON - BUSINESS CARD BOOK
OFFICENET - INK CARTRIGES
105.43
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
497,801.28
58,543.50 VND 000153 VCH375184
TOTAL OPERATING EXPENSES
OF
OF
OF
OF
OF
.00
610.93
.00
6,982.87
VCH373670
VCH373921
VCH373943
VCH373945
VCH373991
VCH374749
VCH374813
VCH375137
600,000
BANK
BANK
BANK
BANK
BANK
.00
531.91
1,191.24
67.60 VND 010168 VCH373741
8.37 VND 010168 VCH373844
29.46 VND 010168 VCH374931
OIL SUPPLIES
MISC OPERATING EQUI
TREES & SHRUBS
OTHER GENERAL SUPPL
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
VND
VND
VND
VND
VND
1,000
9,000
.00
.00
200.00
46.51
200.00
289.07
800.00
3,970.62
ACE HARDWARE - PLANTS
HOOKER BROS SAND - MULCH
ACE HARDWARE - PLANTS
ACE HARDWARE - PRUNING SEAL
ECO WATER - BOTTLED WATER
MENARDS - MULCH AND PLANTS
ECO WATER - BOTTLED WATER
SAMS CLUB - WATER COOLERS
58,543.50
STATE OF NE DEPT OF
1,808.76
SUPPLYWORKS - HAND SOAP
ACE HARDWARE - SUPPLIES
ACE - CLEANING SUPPLIES
.00
.00
.00
1,714.20
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
.00
102,198.72
MAY 2015 SALES & USE TAX
.0%
56.8%
4408
4436
4436
4436
4436
39.7%
4408
4408
4436
.0%
67.9%
20.0%
63.9%
4408
4408
4408
4408
4408
4436
4436
4436
83.0%*
4439
1,284,532
1,284,532
2,191,140.49
226,740.21
2,100,535.56
-3,007,144.05
334.1%
1,065,000
1,300,139
0
1,065,000
1,300,139
0
.00
805,262.50
5,862.27
.00
.00
5,862.27
.00
.00
.00
1,065,000.00
494,876.50
-5,862.27
.0%
61.9%
100.0%*
95 DEBT SERVICE
_________________________________________
53030001 85705
53030001 85715
53030001 85716
BOND PRINCIPAL
BOND INTEREST
INTEREST EXPENSE
2015/09/000010 06/09/2015 API
5,862.27 VND 000488 VCH373428
NE DEPT OF ENVIRO QU SRF SEMI-ANN INTEREST & PRINCI
193654
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
232
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030001 85725
FISCAL AGENT FEES
5,000
5,000
750.00
.00
.00
4,250.00
15.0%
TOTAL DEBT SERVICE
2,370,139
2,370,139
811,874.77
5,862.27
.00
1,558,264.23
34.3%
TOTAL SEWER GENERAL OPERATIONS
4,331,834
4,331,834
3,480,035.34
285,893.40
2,100,535.56
-1,248,736.90
128.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
233
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030050 COLLECTION SERVICE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
53030050 85105
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030050 85110
SALARIES - REGULAR
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000233 06/30/2015 GNI
53030050 85115
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030050 85120
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030050 85125
F.I.C.A. PAYROLL TA
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
HEALTH INSURANCE
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
PENSION CONTRIBUTIO
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
429,291
267,335.37
REF PRCITY
REF PRCITY
REF
REF
17,500
34,179
1,097.35
1,093.75
-107.62
-79.11
17,500
9,991.81
3,920.71
3,745.57
-71.76
-52.83
34,179
20,513.04
62,741.30
REF PRCITY
REF PRCITY
REF
REF
399.68
48.49 REF PRCITY
899.28
858.16
-108.46
-79.73
715
23,861
REF PRCITY
REF PRCITY
REF
REF
2,004.37
.00
7,541.69
62.3%
7,508.19
57.1%
48.49
442.50
52.16
16,289.21
1,569.25
41,163.70
60.4%
200.32
66.6%
RUN=1 CITY BIW
.00
272.50
61.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
60.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
WARRANT=061815
13,665.96
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
26.69 REF PRCITY
25.47 REF PRCITY
23,861
161,955.63
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
600
715
300.86
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
103,905
600
.00
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
REF PRCITY
REF PRCITY
REF
REF
103,905
26,449.97
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
154.19 REF PRCITY
150.43 REF PRCITY
-3.76 REF
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030050 85145
14,833.64
14,750.36
-1,805.20
-1,328.83
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
53030050 85130
429,291
7,571.79
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
68.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
234
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030050 COLLECTION SERVICE
53030050 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
53030050 85160
2015/09/000031
2015/09/000122
2015/09/000226
2015/09/000235
2015/09/000236
53030050 85161
22,260
1,503
API
API
PRJ
GNI
GNI
26.40
26.40
56.99
-4.74
-4.74
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
16,695.00
1,855.00 VND 000036 VCH373411
OTHER EMPLOYEE BENE
06/05/2015
06/18/2015
06/04/2015
06/30/2015
06/30/2015
22,260
1,503
CITY FINANCE DEPT
953.82
VND 010168 VCH373883
VND 010168 VCH374833
REF PRCITY
REF
REF
780
1,855.00
780
2,095.91
.00
229.50
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
549.18
PARAMOUNT- UNIFORMS/MATS
PARAMOUNT - UNIFORMS / MATS
WARRANT=060415 RUN=1 CITY BIW
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
117.00 REF PRCITY
112.50 REF PRCITY
TOTAL PERSONNEL SERVICES
5,565.00
JUNE 2015 WORKERS COMP
100.31
BANK OF AMERICA
BANK OF AMERICA
.00
-1,315.91
63.5%
4408
4436
268.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
634,594
634,594
397,457.64
40,151.60
.00
237,136.36
62.6%
240,000
288
240,000
288
119,984.43
127.95
.00
42.50
.00
.00
120,015.57
160.05
50.0%
44.4%
91 OPERATING EXPENSES
_________________________________________
53030050 85213
53030050 85227
CONTRACT SERVICES
HEALTH SERVICES
2015/09/000109 06/23/2015 API
53030050 85241
COMPUTER SERVICES
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
53030050
53030050
53030050
53030050
85305
85317
85325
85335
UTILITY SERVICES
NATURAL GAS
REPAIR & MAINT - MA
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
42.50 VND 000134 VCH374515
25,122
25,122
249.98 VND 010168 VCH373970
-85.55 VND 010168 VCH373981
85.55 VND 010168 VCH373996
201
750
5,000
65,000
201
750
5,000
65,000
1,787.72 VND 000083 VCH374192
CENTRAL NE REHABILIT PRE-EMPLOYMENT & RETURN TO WOR
3,635.98
249.98
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
.00
.00
1,830.92
26,798.01
21,486.02
AMAZON - HARD DRIVE
MYCOMMERCE -REFUND SOFTWARE
MYCOMMERCE - RECOVERY SOFTWARE
.00
.00
.00
1,787.72
CITY FLEET SERVICES
.00
.00
.00
.00
.00
REPAIR SHOP MAY 2015
201.00
750.00
3,169.08
38,201.99
193724
14.5%
4408
4408
4408
.0%
.0%
36.6%
41.2%
193727
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
235
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030050
53030050
53030050
53030050
85410
85413
85425
85428
TELEPHONE
POSTAGE
BOOKS
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
53030050 85447
MERCHANDISE MATERIA
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
53030050 85450
53030050 85505
53030050 85515
MERCHANDISE LABOR E
OFFICE SUPPLIES
GASOLINE
2015/09/000074 06/23/2015 API
53030050 85520
DIESEL FUEL
85530
85535
85540
85550
85590
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
OIL SUPPLIES
CHEMICAL SUPPLIES
MISC OPERATING EQUI
SAFETY MATERIALS
OTHER GENERAL SUPPL
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
1,250
500
150
4,500
.00
698.05
.00
4,264.97
330.00 VND 010168 VCH373962
235.00 VND 010168 VCH375154
90,000
90,000
5,000
2,000
10,000
5,000
2,000
10,000
22,500
732.66 VND 000083 VCH374192
20.70
60.90
97.14
3.41
4.92
48.72
16.47
VND
VND
VND
VND
VND
VND
VND
100
35,000
12,000
10,000
21,000
010168
010168
010168
010168
010168
010168
010168
BANK OF AMERICA
BANK OF AMERICA
CITY FLEET SERVICES
VCH374015
VCH374929
VCH375025
VCH375136
VCH375144
VCH375156
VCH375157
CITY FLEET SERVICES
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
28,753.81
.00
500.00
.00
5,000.00
-113.45
7,309.19
.00
.00
.00
2,488.02
.00
.00
.0%
139.6%*
.0%
94.8%*
4408
4436
68.1%
4408
4436
.0%
105.7%*
26.9%
193727
12,912.85
REPAIR SHOP MAY 2015
.00
.00
.00
.00
252.26
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
REPAIR SHOP MAY 2015
732.66
.00
.00
2,767.74
4,470.55
7,440.20
1,250.00
-198.05
150.00
235.03
AMAZON - TV VAN SUPPLIES
MUNICIPAL PIPE - HOSE ON REEL
.00
.00
323.18
9,587.15
.00
.00
.00
.00
ATSSA - TCS RECERT EXAM
OWPSACSTATE - COURSES
2,351.77
.00
1,613.45
2,690.81
323.18 VND 000083 VCH374192
100
35,000
12,000
10,000
21,000
.00
.00
.00
565.00
BANK OF AMERICA
BANK OF AMERICA
61,246.19
101.77 VND 010168 VCH373978
2,250.00 VND 010168 VCH374994
22,500
2015/09/000074 06/23/2015 API
53030050
53030050
53030050
53030050
53030050
1,250
500
150
4,500
42.6%
193727
100.00
35,000.00
6,744.24
5,529.45
13,559.80
ACE HARDWARE - SUPPLIES
ACE - REPELLENT AND SUPPLIES
COPYCAT PRINTING -DOOR HANGERS
KELLY SUPPLY - PIPE ADAPTERS
KELLY SUPPLY - PIPE ADAPTER
MENARDS - FAN & SUPPLIES
ACE HARDWARE - SEALANT
.0%
.0%
43.8%
44.7%
35.4%
4408
4436
4436
4436
4436
4436
4436
TOTAL OPERATING EXPENSES
550,361
550,361
247,156.40
6,305.07
2,988.02
300,216.58
45.5%
TOTAL COLLECTION SERVICE
1,184,955
1,184,955
644,614.04
46,456.67
2,988.02
537,352.94
54.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
236
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030051 WASTEWATER TREATMENT
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
53030051 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000233 06/30/2015 GNI
53030051 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030051 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000233 06/30/2015 GNI
53030051 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000233 06/30/2015 GNI
53030051 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
53030051 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030051 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
2015/09/000233 06/30/2015 GNI
743,143
743,143
440,503.44
21,316.90 REF PRCITY
21,754.89 REF PRCITY
-173.81 REF
65,882
65,882
61,891
46,063.60
207,110
35,068.15
1,209
117,452.57
1,458
748.27
48,543
1,472.04 REF PRCITY
1,456.85 REF PRCITY
-10.43 REF
.00
3,501.27
19,818.40
69.9%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
11,459.23
.00
77.36
.00
WARRANT=060415
741.18
38.38 REF PRCITY
39.20 REF PRCITY
48,543
59.3%
26,822.85
56.7%
89,657.43
56.7%
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
77.36 REF PRCITY
1,458
302,639.56
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
5,748.36 REF PRCITY
5,717.07 REF PRCITY
-6.20 REF
1,209
5,743.07
WARRANT=060415
WARRANT=061815
1,759.26 REF PRCITY
1,751.59 REF PRCITY
-9.58 REF
207,110
.00
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
3,217.16 REF PRCITY
2,525.91 REF PRCITY
61,891
42,897.98
77.58
29,211.93
2,918.46
61.9%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
460.73
716.82
50.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
19,331.07
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
60.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
237
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030051 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
53030051 85160
35,807
OTHER EMPLOYEE BENE
3,005
3,005
2,983.92
CITY FINANCE DEPT
521.14
1,560
8,951.76
.00
75.0%
193553
2,483.86
17.3%
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
1,560
3,884.02
385.82
191.81 REF PRCITY
194.01 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
JUNE 2015 WORKERS COMP
-15.36
-7.68 REF
-7.68 REF
VEBA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
26,855.24
2,983.92 VND 000036 VCH373411
2015/09/000235 06/30/2015 GNI
2015/09/000236 06/30/2015 GNI
53030051 85161
35,807
.00
WARRANT=060415
WARRANT=061815
-2,324.02
249.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
1,169,608
1,169,608
701,049.54
70,029.33
.00
468,558.46
75,000
75,000
23,839.25
1,688.00
52,062.50
-901.75
59.9%
91 OPERATING EXPENSES
_________________________________________
53030051 85213
CONTRACT SERVICES
2015/09/000122 06/18/2015 API
53030051 85227
53030051 85241
HEALTH SERVICES
COMPUTER SERVICES
2015/09/000033 06/09/2015 API
53030051 85290
OTHER PROFESSIONAL
2015/09/000031 06/05/2015 API
2015/09/000100 06/23/2015 API
2015/09/000122 06/18/2015 API
53030051 85305
UTILITY SERVICES
2015/09/000109 06/23/2015 API
53030051 85325
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
REPAIR & MAINT - MA
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
API
API
1,688.00 VND 010168 VCH375031
8,500
31,401
8,500
31,401
1,550.92
20,943.19
1,521.00 VND 000035 VCH374054
8,000
8,000
490,000
340,000
64.73
530.71
35.50
27.11
2,030.17
829.14
46.81
VND
VND
VND
VND
VND
VND
VND
340,000
010168
010168
010168
010168
010168
010168
010168
6,949.08
10,457.81
JUNE 2015 IT SUPPORT
7,263.03
46,509.41
CITY ELECT 100-101S
194,138.34
VCH373739
VCH373862
VCH373895
VCH373917
VCH373922
VCH373949
VCH373969
.00
.00
7,101.56
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
-19,188.90
97,559.39
INTERDEPARTMENTAL UTILITY BILL
7,204.88
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
34,942.20
4436
18.2%
66.7%
193554
BANK OF AMERICA
EVOQUA WATER-TRAINING/BELTS
PLATTE VALLEY LABORA WATER TESTING
BANK OF AMERICA
MIDWEST LABS - LAB TESTING
392,440.61
46,509.41 VND 000091 VCH374519
INTERSTATE INDUSTR-INSPECTION
.00
1,521.00
CITY IT DEPT
20,087.34
6,198.53 VND 010168 VCH373735
35.00 VND 000340 VCH374496
1,029.50 VND 010168 VCH374983
490,000
BANK OF AMERICA
101.2%*
110,919.46
KRIZ DAVIS CO-HEATER ELEMENT
KELLY SUPPLY - PIPE/FITTINGS
PROTEX CENTRAL - FIRE EXT MAIN
FASTENAL- HOLE SAW/FASTENERS
INTERSTATE IND-MAG FLOW METER
INTERSTATE INDUST-GAS DETECTOR
FASTENAL CO - BOLTS
339.9%*
4408
193882
4436
80.1%*
193817
67.4%
4408
4408
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
238
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030051 WASTEWATER TREATMENT
53030051 85325 REPAIR & MAINT - MA
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
53030051 85335
53030051 85410
REPAIR & MAINT - VE
TELEPHONE
2015/09/000002 06/09/2015 API
2015/09/000002 06/09/2015 API
2015/09/000123 06/18/2015 API
53030051 85413
POSTAGE
2015/09/000031 06/05/2015 API
2015/09/000074 06/23/2015 API
2015/09/000109 06/23/2015 API
53030051 85422
DUES & SUBSCRIPTION
2015/09/000122 06/18/2015 API
53030051 85425
53030051 85428
BOOKS
TRAVEL & TRAINING
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030051 85515
53030051 85520
53030051 85530
GASOLINE
DIESEL FUEL
OIL SUPPLIES
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
76.44
27.74
75.22
427.66
77.90
51.01
708.29
78.24
220.00
1,728.00
162.39
7.82
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
15,000
13,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373979
VCH373982
VCH374009
VCH374724
VCH374878
VCH374942
VCH374989
VCH375004
VCH375005
VCH375018
VCH375062
VCH375077
15,000
13,000
260.00 VND 000016 VCH373202
1,010.70 VND 000387 VCH373249
80.76 VND 000107 VCH375160
5,000
5,000
126.89 VND 010168 VCH373729
30.24 VND 000191 VCH374218
63.09 VND 000191 VCH374528
1,100
1,100
124.00 VND 010168 VCH375152
50
10,000
50
10,000
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
7,030.01
12,450.36
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
1,351.46
16,000
2,000
5,750
99.10 VND 010168 VCH374734
10.98 VND 010168 VCH374776
704.45
740.00
7,265.54
-190.36
BUSINESS TELECOMMUNI REPAIR PHONE WIRING
STATE DIV OF COMM
CELL PHONE CHARGES
CENTURYLINK
PHONE BILL
1,041.37
220.22
.00
1,469.00
BANK OF AMERICA
.00
12,501.16
124.00
.00
3,958.63
.00
.00
WARRANT=060415
WARRANT=061815
6,095.60
2,204.80
7,866.62
BANK OF AMERICA
BANK OF AMERICA
.00
.00
110.08
51.6%
101.5%*
20.8%
4408
193837
193837
-369.00
WEF - MEMBERSHIP/SLAUTER
.00
43.75
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
193546
193679
193708
BANK OF AMERICA
FEDEX - MAILING CHARGES
FEDERAL EXPRESS CORP NDEQ MAILING
FEDERAL EXPRESS CORP NDEQ MAILING
12.50 REF PRCITY
31.25 REF PRCITY
16,000
2,000
5,750
KELLY SUPPLY - POLY CORD
KELLY SUPPLY - STEEL CLAMP
KELLY SUPPLY-HOSE AND FITTINGS
CUMMINS CENTRAL - INSPECTION
KELLY SUPPLY - POLY CORD
FASTENAL CO - DRILL BITS/PARTS
MUNICIPAL SUPPLY-VALVE/GASKET
DENNIS SUPPLY - BLOWER MOTOR
INTERST INDUST-GAS DETECTOR
VULCAN - SCREENING BAGS
DENNIS SUPPLY-BLOWER MOTOR
KELLY SUPPLY - V BELT
50.00
-2,501.16
133.5%*
4436
.0%
125.0%*
RUN=1 CITY BIW
RUN=1 CITY BIW
3,980.00
.00
.00
SAPP BROS - GREASE
ACE - MOTOR OIL
5,924.40
-204.80
-2,116.62
63.0%
110.2%*
136.8%*
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
239
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030051 85531
2015/09/000002
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
53030051 85535
LAB SUPPLIES
06/09/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
CHEMICAL SUPPLIES
2015/09/000122 06/18/2015 API
53030051 85540
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
53030051 85550
53030051 85590
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
MISC OPERATING EQUI
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
SAFETY MATERIALS
OTHER GENERAL SUPPL
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
API
API
API
API
API
API
95,000
35.00
16.40
197.10
197.10
186.75
554.35
87.25
1,500.22
1,439.00
823.32
343.72
199.84
222.28
255.77
365.45
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
35,000
95,000
000340
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373241
VCH373678
VCH373910
VCH373958
VCH373972
VCH373983
VCH373985
VCH373995
VCH374777
VCH374887
VCH374908
VCH375010
VCH375033
VCH375055
VCH375073
35,000
292.56 VND 010168 VCH374791
20,000
27.39
35.46
150.89
239.99
233.20
34.99
49.00
11.56
29.99
VND
VND
VND
VND
VND
VND
VND
VND
VND
7,500
27,500
29.94
122.28
49.97
39.97
152.00
83.38
83.20
33.39
39.12
-4.47
68.39
539.38
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
20,000
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373917
VCH373932
VCH374785
VCH374819
VCH374825
VCH374930
VCH374955
VCH374968
VCH375052
7,500
27,500
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373685
VCH373700
VCH373767
VCH373844
VCH373870
VCH373946
VCH373948
VCH373967
VCH374819
VCH374836
VCH374841
VCH374872
52,136.10
6,423.55
PLATTE VALLEY LABORA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
5,761.75
12,280.10
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
2,282.52
17,992.61
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
29,238.25
.00
7,719.90
FASTENAL- HOLE SAW/FASTENERS
ACE - TROWELS
TRAUSCH DYNAMICS - AIR HOSE
MENARDS - LADDER/ RAGS
CONSTRUCTION RENT-GREASE GUN
ORSCHELN - BARN SCRAPER
MENARDS - STEP LADDER
TRACTOR SUPPLY - TOOLS
TRACTOR SUPPLY - RATCHET
.00
3,466.42
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
.00
CHEMSEARCH - BRAKE CLEAN
812.47
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
42,410.73
WATER TESTING
MIDWEST LABS - LAB SUPPLIES
FISHERSCI - LAB SUPPLIES
FISHER SCI - LAB SUPPLIES
FISHER SCI - LAB SUPPLIES
HACH CO - LAB SUPPLIES
HACH CO - LAB SUPPLIES
FISHER SCI - LAB SUPPLIES
NC LABS - LAB SUPPLIES
FISHER SCIENTIFIC - BOD RACK
HORIZON TECH - LAB SUPPLIES
HACH CO - LAB SUPPLIES
FISHER SCI - LAB SUPPLIES
FISHER SCIENTIFIC - TUBING
FISHER SCIENTIFIC - CART
292.56
BANK OF AMERICA
453.17
.00
682.23
5,217.48
8,825.16
MENARDS - KNEE CUSHIONS
JOHNNYS LOCK&KEY-PADLOCKS
MENARDS - SPOTLIGHT
ACE HARDWARE - SUPPLIES
LOU'S GLOVES-NITRILE GLOVES
MENARDS - HANGER AND SILICONE
CRESCENT ELECTRIC- GE LAMPS
ACE HARDWARE-PAINTING/SUPPLIES
MENARDS - LADDER/ RAGS
MENARDS - REFUND TAXES
MENARDS - SHOP TOWELS
ELLSWORTH CO - HOSE REEL
55.4%
193671
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
16.5%
4436
61.4%
4408
4408
4436
4436
4436
4436
4436
4436
4436
30.4%
67.9%
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
240
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030051 WASTEWATER TREATMENT
53030051 85590 OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
53030051 85593
PROPANE & OPERATING
231.30
27.12
26.35
128.85
303.98
989.24
31.14
21.57
11.98
458.34
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH374923
VCH374928
VCH374964
VCH374969
VCH375003
VCH375037
VCH375051
VCH375054
VCH375087
VCH375150
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
MATHESON - CYL RENT/GLOVES
ORSCHELN - SUPPLIES
KRIZ DAVIS CO - SWITCH
ACE HARDWARE - SUPPLIES
INDUST OUTFITTER-MUCK BOOTS
KRIZ DAVIS CO - BREAKER
ACE HARDWARE - KEYS
ACE - KEY AND NOZZLE
MENARDS - BROOM
AMAZON - LED LAMPS
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
7,500
7,500
2,852.60
.00
.00
4,647.40
38.0%
TOTAL OPERATING EXPENSES
1,213,301
1,213,301
796,964.25
77,030.83
100,666.11
315,670.64
74.0%
TOTAL WASTEWATER TREATMENT
2,382,909
2,382,909
1,498,013.79
147,060.16
100,666.11
784,229.10
67.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
241
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030052 COMPOSTING TO SOLIDS HANDLING
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
53030052 85105
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030052 85110
SALARIES - REGULAR
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000233 06/30/2015 GNI
53030052 85115
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030052 85120
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
53030052 85125
F.I.C.A. PAYROLL TA
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
HEALTH INSURANCE
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
2015/09/000226
2015/09/000230
2015/09/000233
2015/09/000234
PENSION CONTRIBUTIO
06/04/2015
06/18/2015
06/30/2015
06/30/2015
PRJ
PRJ
GNI
GNI
96,486
68,537.30
REF PRCITY
REF PRCITY
REF
REF
9,412
8,101
121.74
107.78
117.20
79.11
9,412
1,975.57
228.31
230.26
77.96
52.83
8,101
4,877.53
11,846.97
REF PRCITY
REF PRCITY
REF
REF
91.49
7.24 REF PRCITY
87.83
87.01
118.89
79.73
190
6,354
REF PRCITY
REF PRCITY
REF
REF
425.83
.00
589.36
71.0%
7,436.43
21.0%
7.24
80.93
5.22
3,999.06
373.46
16,174.03
42.3%
73.51
55.4%
RUN=1 CITY BIW
.00
109.07
42.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
60.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
WARRANT=061815
3,223.47
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
2.61 REF PRCITY
2.61 REF PRCITY
6,354
27,948.70
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
.00
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
165
190
17.36
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
28,021
165
.00
WARRANT=060415 RUN=1 CITY BIW
Pyrl Alloc 5/18 to 5/31/2015
REF PRCITY
REF PRCITY
REF
REF
28,021
6,377.20
WARRANT=060415
WARRANT=061815
Pyrl Alloc 5/18
Pyrl Alloc 6/01
13.60 REF PRCITY
3.76 REF
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
53030052 85145
1,619.18
1,450.18
1,979.01
1,328.83
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
53030052 85130
96,486
2,354.94
RUN=1 CITY BIW
RUN=1 CITY BIW
to 5/31/2015
to 6/14/2015
62.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
242
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030052 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
53030052 85160
53030052 85161
5,015
5,015
417.92 VND 000036 VCH373411
OTHER EMPLOYEE BENE
VEBA
429
780
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
429
780
3,761.24
417.92
CITY FINANCE DEPT
-22.20
522.42
1,253.76
JUNE 2015 WORKERS COMP
.00
60.00
30.00 REF PRCITY
30.00 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
451.20
257.58
5.2%
67.0%
RUN=1 CITY BIW
RUN=1 CITY BIW
154,953
154,953
95,670.31
8,273.59
.00
59,282.69
0
0
44,167.90
4,736.98
.00
-44,167.90
61.7%
91 OPERATING EXPENSES
_________________________________________
53030052 85213
CONTRACT SERVICES
2015/09/000074 06/23/2015 API
2015/09/000074 06/23/2015 API
53030052 85227
HEALTH SERVICES
2015/09/000074 06/23/2015 API
53030052 85290
53030052 85325
OTHER PROFESSIONAL
REPAIR & MAINT - MA
2015/09/000031 06/05/2015 API
53030052 85335
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000074
2015/09/000122
2015/09/000122
53030052 85410
53030052 85425
53030052 85520
1,137.21 VND 006166 VCH374161
3,599.77 VND 006147 VCH374232
REPAIR & MAINT - VE
06/05/2015
06/05/2015
06/05/2015
06/23/2015
06/18/2015
06/18/2015
API
API
API
API
API
API
TELEPHONE
BOOKS
DIESEL FUEL
2015/09/000033 06/09/2015 API
600
600
48.25 VND 003758 VCH374228
400
36,000
400
36,000
2,205.31 VND 010168 VCH373898
24,000
34.65
34.65
34.65
521.97
34.65
7.80
VND
VND
VND
VND
VND
VND
700
50
30,000
24,000
010168
010168
010168
000083
010168
010168
VCH373697
VCH373781
VCH373923
VCH374193
VCH374794
VCH374936
700
50
30,000
1,264.64 VND 000119 VCH374031
BUTLER COUNTY LANDFI ACCEPTED SLUDGE HAULED TO LAND
LOUP CENTRAL LANDFIL ACCEPTED SLUDGE
408.85
48.25
HIRERIGHT SOLUTIONS
.00
7,414.56
19,395.59
BANK
BANK
BANK
CITY
BANK
BANK
152.00
.00
668.37
600.00
248.00
28,585.44
4,004.41
GARRETT TIRES - REPAIR TIRE
GARRETT TIRES - TIRE REPAIR
GARRETT TIRES - TIRE REPAIR
REPAIR SHOP MAY 2015
GARRETT TIRES - TIRE REPAIR
NAPA AUTO - LAMPS
.00
.00
1,264.64
.00
.00
4,596.16
AURORA COOP ELEVATOR DIESEL FUEL FOR PLANT
193810
193861
68.1%
193752
FILTER BELTS-BELT PRESS SEALS
OF AMERICA
OF AMERICA
OF AMERICA
FLEET SERVICES
OF AMERICA
OF AMERICA
544.50
.00
18,562.09
191.15
DRUG TESTS
.00
2,205.31
BANK OF AMERICA
.00
100.0%*
155.50
50.00
6,841.75
38.0%
20.6%
4408
83.3%*
4408
4408
4408
193727
4436
4436
77.8%*
.0%
77.2%*
193545
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
243
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030052
53030052
53030052
53030052
85530
85535
85540
85590
OIL SUPPLIES
CHEMICAL SUPPLIES
MISC OPERATING EQUI
OTHER GENERAL SUPPL
2015/09/000074 06/23/2015 API
2,000
80,000
1,000
180,000
2,000
80,000
1,000
180,000
.00
82,639.13
.00
200,732.14
20,261.48 VND 000217 VCH374189
.00
.00
.00
20,261.48
CITY WASTE MGM
.00
1,360.25
.00
.00
2,000.00
-3,999.38
1,000.00
-20,732.14
SLUDGE
.0%
105.0%*
.0%
111.5%*
193731
TOTAL OPERATING EXPENSES
354,750
354,750
373,864.76
29,185.03
6,708.41
-25,823.17
107.3%
TOTAL COMPOSTING TO SOLIDS HANDLI
509,703
509,703
469,535.07
37,458.62
6,708.41
33,459.52
93.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
244
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030054 CAPITAL EXPENDITURES
_________________________________________
91 OPERATING EXPENSES
_________________________________________
53030054 85213 53014 C/S HEADWORKS
53030054 85428 TRAVEL & TRAINING
6,648,945
0
6,648,945
0
5,639,579.77
16.52
.00
.00
2,075,820.82
.00
-1,066,455.59
-16.52
116.0%*
100.0%*
TOTAL OPERATING EXPENSES
6,648,945
6,648,945
5,639,596.29
.00
2,075,820.82
-1,066,472.11
116.0%
15,000
0
16,460
15,000
0
16,460
33,064.69
88,077.00
16,940.00
.00
.00
16,940.00
.00
.00
.00
-18,064.69
-88,077.00
-480.00
96 CAPITAL OUTLAY
_________________________________________
53030054 85615
53030054 85620
53030054 85625
MACHINERY AND EQUIP
OFFICE FURNITURE &
VEHICLES
2015/09/000100 06/23/2015 API
TOTAL CAPITAL OUTLAY
TOTAL CAPITAL EXPENDITURES
16,940.00 VND 010341 VCH374492
LANDMARK IMPLEMENT I JOHN DEERE GATOR
220.4%*
100.0%*
102.9%*
193859
31,460
31,460
138,081.69
16,940.00
.00
-106,621.69
438.9%
6,680,405
6,680,405
5,777,677.98
16,940.00
2,075,820.82
-1,173,093.80
117.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
245
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
53030055 SANITARY SEWER CONSTRUCTION
_________________________________________
91 OPERATING EXPENSES
_________________________________________
53030055 85213
CONTRACT SERVICES
53030055 85213 53002 CONTRACT SERVI
2015/09/000100 06/23/2015 API
0
0
77,317.16
.00
.00
-77,317.16
100.0%*
0
0
73,571.92
150.00
2,205,806.00
-2,279,377.92
100.0%*
150.00 VND 000082 VCH374479
CITY PETTY CASH
PETTY CASH REIMBURSEMENT
193819
53030055 85213 53005 CONTRACT SERVI
8,204,110
8,204,110
.00
.00
.00
8,204,110.00
.0%
53030055 85213 53009 C/S-SEWER REHA
100,000
100,000
.00
.00
.00
100,000.00
.0%
53030055 85213 53012 C/S NE INT PHA
0
0
.00
.00
168,892.69
-168,892.69
100.0%*
53030055 85213 53022 C/S NE INT P2A
0
0
2,405,174.41
1,272,136.02
7,500.00
-2,412,674.41
100.0%*
2015/09/000109 06/23/2015 API
1,272,136.02 VND 010182 VCH374567
53030055 85213 53023 C/S NE INT P2B
2015/09/000109 06/23/2015 API
53030055 85213 53024 C/S NE INT P2C
2015/09/000109 06/23/2015 API
9,585,000
9,585,000
2,394,193.50
1,046.17 VND 010182 VCH374568
0
0
SJ LOUIS CONSTRUCTIO NORTH INTERCEPTOR PHASE II
16,385,176.04
-9,194,369.54
SJ LOUIS CONSTRUCTIO NORTH INTERCEPTOR PHASE II
963,534.13
10,878.45 VND 010182 VCH374569
1,046.17
10,878.45
.00
-963,534.13
SJ LOUIS CONSTRUCTIO NORTH INTERCEPTOR PHASE II
53030055 85213 53026 C/S-AUTOMATION
100,000
100,000
.00
.00
.00
100,000.00
53030055 85213 53031 C/S-SEWER DIST
0
0
1,459,854.44
427,983.64
568,948.82
-2,028,803.26
2015/09/000033 06/09/2015 API
53030055 85213 53528 C/S SEWER DIST
2015/09/000033 06/09/2015 API
427,983.64 VND 008052 VCH374129
0
0
VAN KIRK SAND & GRAV SS DIST 528 & 530T BID AWARD
921,153.28
90,799.60 VND 008052 VCH374129
90,799.60
390,181.48
-1,311,334.76
VAN KIRK SAND & GRAV SS DIST 528 & 530T BID AWARD
193786
195.9%*
193786
100.0%*
193786
.0%
100.0%*
193690
100.0%*
193690
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
FOR 2015 09
|P
246
|glytdbud
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
530
WASTEWATER UTILITY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
TOTAL OPERATING EXPENSES
17,989,110
17,989,110
8,294,798.84
1,802,993.88
19,726,505.03 -10,032,193.87
155.8%
TOTAL SANITARY SEWER CONSTRUCTION
17,989,110
17,989,110
8,294,798.84
1,802,993.88
19,726,505.03 -10,032,193.87
155.8%
TOTAL WASTEWATER UTILITY
33,078,916
33,078,916
20,164,675.06
2,336,802.73
24,013,223.95 -11,098,983.01
133.6%
33,078,916
33,078,916
20,164,675.06
2,336,802.73
24,013,223.95 -11,098,983.01
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
247
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
605
INFORMATION TECHNOLOGY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
60510001 INFORMATION TECHNOLOGY
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
60510001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85125
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
60510001 85130
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
60510001 85150
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
443,876
443,876
290,623.54
37,524.27
15,170.60 REF PRCITY
22,353.67 REF PRCITY
3,000
WARRANT=060415
WARRANT=061815
3,000
3,252.10
708.90
116.89 REF PRCITY
592.01 REF PRCITY
34,186
34,186
21,060.85
2,788.05
43,176.80
4,824.52
2,412.26 REF PRCITY
2,412.26 REF PRCITY
591
591
372.52
41.96
41.96 REF PRCITY
804
412.72
42.41
23.33 REF PRCITY
19.08 REF PRCITY
26,813
17,632.50
2,293.99
917.25 REF PRCITY
1,376.74 REF PRCITY
632
632
52.67 VND 000036 VCH373411
473.99
52.67
CITY FINANCE DEPT
27,246.20
61.6%
61.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
218.48
63.0%
RUN=1 CITY BIW
391.28
51.3%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
108.4%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
26,813
13,125.15
.00
WARRANT=060415
804
-252.10
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
65.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
70,423
153,252.46
.00
WARRANT=060415
WARRANT=061815
1,100.02 REF PRCITY
1,688.03 REF PRCITY
70,423
.00
9,180.50
65.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
JUNE 2015 WORKERS COMP
158.01
75.0%
193553
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
248
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
605
INFORMATION TECHNOLOGY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
60510001 85160
OTHER EMPLOYEE BENE
400
2015/09/000002 06/09/2015 API
60510001 85161
133.44
7.16 VND 008197 VCH373251
VEBA
2,958
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
400
2,958
7.16
TASC
11,483.39
266.56
JULY 2015 CAFETERIA FEES
9,715.32
105.00 REF PRCITY
9,610.32 REF PRCITY
TOTAL PERSONNEL SERVICES
.00
.00
WARRANT=060415
WARRANT=061815
-8,525.39
33.4%
193682
388.2%*
RUN=1 CITY BIW
RUN=1 CITY BIW
583,683
583,683
388,621.85
57,999.25
.00
195,061.15
45,000
45,000
31,057.50
3,435.00
11,765.55
2,176.95
66.6%
91 OPERATING EXPENSES
_________________________________________
60510001 85207
CONSULTING SERVICES
2015/09/000100 06/23/2015 API
60510001 85213
CONTRACT SERVICES
2015/09/000002 06/09/2015 API
2015/09/000130 06/23/2015 API
60510001
60510001
60510001
60510001
85241
85325
85330
85405
COMPUTER SERVICES
REPAIR & MAINT - MA
REPAIR & MAINT - OF
INSURANCE PREMIUMS
2015/09/000010 06/09/2015 API
60510001 85410
2015/09/000002
2015/09/000031
2015/09/000074
2015/09/000122
2015/09/000122
60510001
60510001
60510001
60510001
85413
85419
85422
85428
TELEPHONE
06/09/2015
06/05/2015
06/23/2015
06/18/2015
06/18/2015
3,435.00 VND 003843 VCH374442
366,500
3,082.00 VND 000887 VCH373225
1,567.32 VND 009054 VCH375200
5,000
5,000
750
400
POSTAGE
LEGAL NOTICES
DUES & SUBSCRIPTION
TRAVEL & TRAINING
2015/09/000230 06/18/2015 PRJ
5,000
5,000
750
400
33.33 VND 000036 VCH373412
14,000
API
API
API
API
API
366,500
29.99
10.17
1,140.00
880.00
891.78
VND
VND
VND
VND
VND
100
100
350
8,500
14,000
000387
010168
008888
010168
010168
VCH373249
VCH373679
VCH374246
VCH374651
VCH375036
100
100
350
8,500
90.51 REF PRCITY
DUEY'S COMPUTER SERV Network Administration Contrac
42,165.59
4,649.32
86,321.04
238,013.37
MICROFILM IMAGING SY LASERFICHE ANNUAL MAINT SERVIC
EN POINTE TECHNOLOGI Microsoft EA Software Licensin
2,157.55
4,834.03
.00
300.01
.00
.00
.00
33.33
CITY FINANCE DEPT
15,481.31
391.76
399.00
.00
5,873.18
2,842.45
165.97
750.00
99.99
JUNE 2015 PREMIUMS & LIABILITY
2,951.94
STATE DIV OF COMM
BANK OF AMERICA
NEBRASKALINK LLC
BANK OF AMERICA
BANK OF AMERICA
.00
.00
.00
.00
270.00
-1,751.31
CELL PHONE CHARGES
CENTURYLINK - Phone Bill
JUNE 2015 INTERNET SERVICE
Windstream - City Internet Ser
Windstream - City Internet Se
.00
.00
.00
90.51
.00
.00
.00
.00
WARRANT=061815
-291.76
-299.00
350.00
2,626.82
RUN=1 CITY BIW
95.2%*
193735
35.1%
193652
193834
43.2%
96.7%*
.0%
75.0%
193553
112.5%*
193679
4408
193770
4436
4436
391.8%*
399.0%*
.0%
69.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
249
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
605
INFORMATION TECHNOLOGY
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
60510001 85490
60510001 85501
OTHER EXPENDITURES
SOFTWARE & ACCESORI
1,000
18,500
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
60510001 85505
OFFICE SUPPLIES
1,985
OFFICE FORMS
MISC OPERATING EQUI
SMALL TOOLS & PARTS
13,000
20,759
16,000
7,500
13,000
20,759
16,000
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
7,500
14,668.62
.00
-74.80
.00
.00
.00
4,077.40
12,687.06
627.29
BEST BUY - PD Surface Tablet
BEST BUY - IT Keyboard
3,456.48
BANK OF AMERICA
BANK OF AMERICA
204.35
10,662.76
CAPITAL BUSINESS-Copier Chgs
.00
.00
119.46
BANK OF AMERICA
BANK OF AMERICA
.00
1,699.18
HIGHTAIL - FTP Account
Microsoft - Win Azure
AVTECH - Maintenance Agreement
10.69
8,922.60
8,071.94
15,372.71
1,874.87 VND 010168 VCH374658
1,581.61 VND 010168 VCH374671
TOTAL OPERATING EXPENSES
.00
79.47
2,059.80
94.47 VND 010168 VCH374596
24.99 VND 010168 VCH374623
OTHER GENERAL SUPPL
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
1,985
10.69 VND 010168 VCH374660
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
60510001 85590
795.65
6,138.06
15.99 VND 010168 VCH374621
18.48 VND 010168 VCH374706
45.00 VND 010168 VCH374917
2015/09/000122 06/18/2015 API
60510001 85506
60510001 85539
60510001 85540
1,000
18,500
.00
-7,168.62
PROVANTAGE -Toner
PROVANTAGE -Toner
79.6%*
42.4%
4436
4436
4436
103.8%*
4436
68.6%
38.9%
96.1%*
4436
4436
195.6%*
4436
4436
524,444
524,444
158,689.31
14,826.20
100,055.77
265,698.92
49.3%
157,500
157,500
19,806.37
1,800.25
.00
137,693.63
12.6%
96 CAPITAL OUTLAY
_________________________________________
60510001 85615
MACHINERY AND EQUIP
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000031 06/05/2015 API
TOTAL CAPITAL OUTLAY
663.77 VND 000311 VCH373203
746.49 VND 010168 VCH373759
389.99 VND 010168 VCH373840
CAPITAL BUSINESS SYS CITY HALL COPIER LEASE
BANK OF AMERICA
EMV ONLINE-IP Phone Conference
BANK OF AMERICA
Amazon -Monitor
193619
4408
4408
157,500
157,500
19,806.37
1,800.25
.00
137,693.63
12.6%
TOTAL INFORMATION TECHNOLOGY
1,265,627
1,265,627
567,117.53
74,625.70
100,055.77
598,453.70
52.7%
TOTAL INFORMATION TECHNOLOGY
1,265,627
1,265,627
567,117.53
74,625.70
100,055.77
598,453.70
52.7%
1,265,627
1,265,627
567,117.53
74,625.70
100,055.77
598,453.70
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
250
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 FLEET SERVICES
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
61010001 85105
SALARIES - REGULAR
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85110
SALARIES - OVERTIME
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85115
F.I.C.A. PAYROLL TA
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85120
HEALTH INSURANCE
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85125
61010001 85140
2015/09/000122
2015/09/000226
2015/09/000230
2015/09/000235
2015/09/000236
5,000
CLOTHING ALLOWANCE
06/18/2015
06/04/2015
06/18/2015
06/30/2015
06/30/2015
API
PRJ
PRJ
GNI
GNI
171,871.74
19,006.65
18,847
5,000
11,386.66
397.42
18,847
13,440.29
1,424.52
41,043
31,032.00
3,448.00
1,724.00 REF PRCITY
1,724.00 REF PRCITY
426
426
286.05
32.21 REF PRCITY
441
441
291.99
81.60
48.00
48.00
-36.00
-36.00
1,248
VND 010168 VCH375056
REF PRCITY
REF PRCITY
REF
REF
34.28
962.40
BANK OF AMERICA
105.60
5,406.71
71.3%
10,011.00
75.6%*
139.95
67.1%
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
227.7%*
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
17.21 REF PRCITY
17.07 REF PRCITY
1,248
32.21
-6,386.66
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
71.6%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
68,251.26
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
WARRANT=060415
WARRANT=061815
699.16 REF PRCITY
725.36 REF PRCITY
41,043
.00
WARRANT=060415
WARRANT=061815
17.00 REF PRCITY
380.42 REF PRCITY
DISABILITY INSURANC
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
240,123
9,527.74 REF PRCITY
9,478.91 REF PRCITY
LIFE INSURANCE
2015/09/000226 06/04/2015 PRJ
61010001 85130
240,123
149.01
66.2%
RUN=1 CITY BIW
RUN=1 CITY BIW
.00
285.60
PARAMOUNT - UNIFORMS
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
EmployeeWitholdings 06/05/201
EmployeeWitholdings 06/18/201
77.1%*
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
251
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 85145
PENSION CONTRIBUTIO
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85150
2015/09/000002
2015/09/000109
2015/09/000226
2015/09/000230
61010001 85161
69,053
1,640
API
API
PRJ
PRJ
14.32
42.50
91.25
60.00
VEBA
VND
VND
REF
REF
1,170
2015/09/000226 06/04/2015 PRJ
2015/09/000230 06/18/2015 PRJ
61010001 85165
10,996.66
1,164.26
69,053
51,789.74
1,640
5,754.42
CITY FINANCE DEPT
2,264.41
008197 VCH373251
000134 VCH374515
PRCITY
PRCITY
1,170
TOTAL PERSONNEL SERVICES
3,711.34
.00
17,263.26
.00
75.00
.00
WARRANT=060415
WARRANT=061815
75.0%
193553
-624.41
TASC
JULY 2015 CAFETERIA FEES
CENTRAL NE REHABILIT PRE-EMPLOYMENT & RETURN TO WOR
WARRANT=060415 RUN=1 CITY BIW
WARRANT=061815 RUN=1 CITY BIW
696.58
74.8%
RUN=1 CITY BIW
RUN=1 CITY BIW
JUNE 2015 WORKERS COMP
208.07
37.50 REF PRCITY
37.50 REF PRCITY
UNEMPLOYMENT CONTRI
.00
WARRANT=060415
WARRANT=061815
5,754.42 VND 000036 VCH373411
OTHER EMPLOYEE BENE
06/09/2015
06/23/2015
06/04/2015
06/18/2015
14,708
572.69 REF PRCITY
591.57 REF PRCITY
WORKERS COMPENSATIO
2015/09/000010 06/09/2015 API
61010001 85160
14,708
473.42
138.1%*
193682
193724
59.5%
RUN=1 CITY BIW
RUN=1 CITY BIW
1,929
1,929
.00
.00
.00
1,929.00
.0%
395,628
395,628
295,018.52
31,650.43
.00
100,609.48
74.6%
55,000
55,000
34,911.85
1,386.02
.00
20,088.15
63.5%
91 OPERATING EXPENSES
_________________________________________
61010001 85213
2015/09/000122
2015/09/000122
2015/09/000122
2015/09/000122
61010001 85305
61010001 85317
CONTRACT SERVICES
06/18/2015
06/18/2015
06/18/2015
06/18/2015
API
API
API
API
UTILITY SERVICES
NATURAL GAS
2015/09/000123 06/18/2015 API
61010001 85324
REPAIR & MAINT - BU
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
236.94
40.00
179.61
929.47
VND
VND
VND
VND
5,200
4,200
010168
010168
010168
010168
VCH374664
VCH374679
VCH374795
VCH374806
5,200
4,200
23.39 VND 000336 VCH375179
10,000
10,000
136.00 VND 010168 VCH373756
65.00 VND 010168 VCH375056
BANK
BANK
BANK
BANK
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
3,466.18
2,695.26
NORTHWESTERN
3,975.88
BANK OF AMERICA
BANK OF AMERICA
NEBRASKA TRUCK - SERVICE
PERSONAL AUTO - ALIGNMENT
GARRET - SEVICE CALL
NE ENVIRONMENTA - SERVICE
.00
23.39
.00
.00
1,733.82
1,504.74
NATURAL GAS BILL
201.00
.00
4436
4436
4436
4436
66.7%
64.2%
193709
6,024.12
YANT EQUIP - SERVICE DETECTORS
PARAMOUNT - UNIFORMS
39.8%
4408
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
252
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 85325
61010001 85330
61010001 85335
REPAIR & MAINT - MA
REPAIR & MAINT - OF
REPAIR & MAINT - VE
2015/09/000074 06/23/2015 API
61010001 85350
61010001 85401
SANITATION SERVICE
GENERAL LIABILITY I
2015/09/000010 06/09/2015 API
61010001 85404
61010001 85410
TELEPHONE
DUES & SUBSCRIPTION
LICENSE & FEES
TRAVEL & TRAINING
2015/09/000031 06/05/2015 API
61010001 85447
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
2015/09/000031
MERCHANDISE MATERIA
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
06/05/2015
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
383.95
.00
4,797.99
200
1,000
300
300
600
1,050
300
1,000
1,589
327.71
100.62
23.50
100.62
513.36
90.01
23.93
245.73
62.00
139.00
234.72
720.34
270.78
52.92
-513.36
37.05
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
CITY FINANCE DEPT
STATE DIV OF COMM
BANK OF AMERICA
CENTURYLINK
164,560.66
VCH373551
VCH373600
VCH373615
VCH373624
VCH373627
VCH373632
VCH373643
VCH373645
VCH373649
VCH373654
VCH373688
VCH373689
VCH373713
VCH373714
VCH373718
VCH373719
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
.00
75.00
.00
150.00
.00
465.10
.00
.00
.00
1,150.53
.0%
75.0%
193553
75.0%
193553
75.0%
193553
55.7%
193679
4408
193708
300.00
508.05
444.00
PELICAN - SWEEPER TRAINING
14,849.76
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
200.00
249.99
LONG DISTANCE
CENTURYLINK - Phone Bill
PHONE BILL
.00
.00
700.00
BANK OF AMERICA
.00
.00
JUNE 2015 PREMIUMS & LIABILITY
61.49
19.2%
.0%
87.2%*
193727
JUNE 2015 PREMIUMS & LIABILITY
50.00
.00
491.95
1,145.00
700.00 VND 010168 VCH373762
235,000
CITY FINANCE DEPT
1,616.05
800.00
702.01
JUNE 2015 PREMIUMS & LIABILITY
25.00
584.90
1.83 VND 000387 VCH373250
6.54 VND 010168 VCH373679
53.12 VND 000107 VCH375168
235,000
CITY FINANCE DEPT
.00
.00
.00
REPAIR SHOP MAY 2015
.00
83.33
450.00
50.00 VND 000036 VCH373412
300
1,000
1,589
CITY FLEET SERVICES
225.00
25.00 VND 000036 VCH373412
600
.00
.00
647.89
.00
750.01
83.33 VND 000036 VCH373412
1,050
2015/09/000002 06/09/2015 API
2015/09/000031 06/05/2015 API
2015/09/000123 06/18/2015 API
61010001 85422
61010001 85424
61010001 85428
200
1,000
AUTOMOBILE INSURANC
2015/09/000010 06/09/2015 API
2,000
800
5,500
647.89 VND 000083 VCH374203
PROPERTY INSURANCE
2015/09/000010 06/09/2015 API
61010001 85407
2,000
800
5,500
69,288.81
COVERKING - SEATCOVES
ANDERSON FORD - SOCKET ASY
ANDERSON FORD - BRAKE KIT
ANDERSON FORD - BULB
WELDON PARTS - BRAKE DRUM
NEBRASKA TRUCK - FILTER
DINSDALE - GASKET
DINSDALE - PUMP/GASKET
DINSDALE - HANDLE
TONER'S - FILTER
HANSEN INTERN - WATER PUMP
TRANS IOWA - HOSE
SQ HOTSY - FLOAT TANK
INLAND TRUCK - PRUGE VALVE
WELDON PARTS - BRAKE RETURN
TRANS IOWA - PIN
.0%
49.2%
72.1%
4408
70.5%
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
FOR 2015 09
|P
253
|glytdbud
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 FLEET SERVICES
61010001 85447 MERCHANDISE
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000031 06/05/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
MATERIA
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
API
239.72
57.18
40.88
920.69
491.16
41.98
441.90
26.64
938.45
42.59
78.98
15.14
46.27
21.98
392.09
916.57
25.42
-78.98
294.98
857.01
33.32
165.21
20.00
403.72
74.96
84.04
11.66
8.80
39.16
13.44
70.22
100.95
150.69
165.27
203.42
110.39
8.65
77.55
243.90
173.67
238.48
36.50
131.95
3.58
153.15
541.71
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
010168
VCH373731
VCH373751
VCH373753
VCH373754
VCH373799
VCH373810
VCH373841
VCH373864
VCH373885
VCH373896
VCH373924
VCH373929
VCH373934
VCH373951
VCH374633
VCH374635
VCH374642
VCH374643
VCH374645
VCH374648
VCH374669
VCH374672
VCH374674
VCH374676
VCH374680
VCH374681
VCH374683
VCH374695
VCH374714
VCH374736
VCH374742
VCH374788
VCH374803
VCH374815
VCH374826
VCH374831
VCH374838
VCH374842
VCH374858
VCH374886
VCH374889
VCH374890
VCH374914
VCH374922
VCH374993
VCH374999
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
BANK
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
OF
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
NEBRASKA TRUCK - DRUM
TOM DINSDALE - GASKET/SEAL
TRAUSCH DYNAMICS - HOSE
NAPA - MULTIPLE INVOICES
NMC - PAD
NEBRASKA TRUCK - FILTER
TRANS IOWA
ACE HARDWARE - NUTS/BATTERIES
JR TOOLS - PARTS
ANDERSON AUTO PARTS-PARTS
NEBRASKA TRUCK - GLASS
MSC INDUSTRIAL - SCREW
WELDON - SEAL SET
ADVANCE AUTO - SWAY BAR
NEBRASKA TRUCK - MIRROR
NAPA AUTO - -PARTS
ALTEC CORP. - DRILL ADAPTER
NEBRASKA TRUCK - GLASS RETURN
ANDERSON FORD - SENSOR
ALTEC - IMPACT WRENCH
TOM DINSDALE - FLUID
BOBCAT - FILTER
TITAN MACH - BULB
GREEN LINE - SPINDLE
TOM DINSDALE - CABLE
HANSEN INTER - BELT
ANDERSON FORD - PLUG
TRAUSCH - TEFLON
TITAN MACHINERY - TUBE
HANSEN INTERN - ARM
DINSDALE - CONNECTOR
GARRETT - TIRE
HANSEN INTERNATIONAL - FILTERS
IDEA INC - STICKERS
WICKS - PUMP
GRAHAM TIRE - TIRE
TRAUSCH - O-RINGS
GREEN LINE - FILTERS
INTERSTATE BATTERY - BATTERY
TOM DINSDALE - LOCK/HANDLE
TITAN MACH. - PTO & BEARING
TOM DINSDALE - BUMPER
FOUR SEASONS - SENSOR
ACE HARDWARE - NUTS & BOLTS
TITAN MACHINERY - SHIELD
SUNBELT - SOLENOID/EDGE
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4408
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
4436
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
254
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 FLEET SERVICES
61010001 85447 MERCHANDISE
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
2015/09/000122 06/18/2015
61010001 85490
61010001 85501
MATERIA
API
API
API
API
API
API
OTHER EXPENDITURES
SOFTWARE & ACCESORI
2015/09/000086 06/23/2015 API
2015/09/000122 06/18/2015 API
61010001 85505
OFFICE SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
61010001 85515
GASOLINE
DIESEL FUEL
OIL SUPPLIES
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
2015/09/000122 06/18/2015 API
61010001 85540
MISC OPERATING EQUI
2015/09/000031 06/05/2015 API
2015/09/000122 06/18/2015 API
61010001 85547
61010001 85590
2015/09/000002
2015/09/000033
2015/09/000074
2015/09/000109
MATERIALS
OTHER GENERAL SUPPL
06/09/2015
06/09/2015
06/23/2015
06/23/2015
500
8,488
API
API
API
API
010168
010168
010168
010168
010168
010168
VCH375028
VCH375059
VCH375063
VCH375076
VCH375081
VCH375097
500
8,488
1,000
1,000
38,000
318.76 VND 010168 VCH373926
594.69 VND 010168 VCH374728
201.72 VND 010168 VCH374977
3,000
3,000
14.48 VND 010168 VCH373763
8.37 VND 010168 VCH374832
0
2,700
18.00
22.00
18.00
18.00
VND
VND
VND
VND
0
2,700
000071
000071
000071
000071
NMC - MOTOR
GRAHAM TIRE - TIRES
NAPA - PARTS
NEBRASKA PETERBILT - CHANNEL
TOM DINSDALE - CHANNEL
PETERBUILT - WELLNUT
.00
463.98
CITY IT DEPT
BANK OF AMERICA
VCH373257
VCH374142
VCH374275
VCH374578
58.00
.00
288.26
-11,392.98
JUN 2015 IT SUPPORT
BEST BUY - MONITORS
11.64
BANK OF AMERICA
BANK OF AMERICA
.00
526.43
EAKES - PAPER
CAPITAL BUSINESS-Copier Chgs
24,035.20
.00
14,962.08
137,993.08
1,115.17
BANK OF AMERICA
BANK OF AMERICA
BANK OF AMERICA
4,189.86
.00
74,755.95
BANK OF AMERICA
BANK OF AMERICA
3,183.42
1,676.67
WIPER
WIPER
WIPER
WIPER
TOWEL
TOWEL
TOWEL
TOWEL
SERV
SERV
SERV
SERV
.00
12,807.02
INC
INC
INC
INC
TOWELS
TOWELS
TOWELS
TOWELS
4408
4436
52.5%
63.6%
.00
.00
.00
66.3%
4408
4436
4436
-1,189.86
ACE HARDWARE - DRILL BITS
FASTENAL - DRILL BIT
.00
76.00
47.4%
193615
193784
BOSSEMANS - OIL
BOSSELMA - OIL
BOSSELMAN - OIL
22.85
42.3%
234.2%*
193615
193784
BOSSELMAN ENERGY INC DIESEL
SAPP BROS INC
FUEL
25,192.98
4436
4436
4436
4436
4436
4436
193728
4436
BOSSELMAN ENERGY INC FUEL
SAPP BROS INC
FUEL
130,608.05
6,696.00 VND 000007 VCH373200
8,266.08 VND 007655 VCH374565
38,000
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
AMERICA
152,296.92
13,065.82 VND 000007 VCH373201
10,969.38 VND 007655 VCH374565
205,364
OF
OF
OF
OF
OF
OF
473.57
4.76 VND 010168 VCH373925
6.88 VND 010168 VCH374660
290,290
BANK
BANK
BANK
BANK
BANK
BANK
153.74
19,880.98
294.00 VND 000035 VCH374314
169.98 VND 010168 VCH374843
205,364
2015/09/000002 06/09/2015 API
2015/09/000109 06/23/2015 API
61010001 85530
VND
VND
VND
VND
VND
VND
290,290
2015/09/000002 06/09/2015 API
2015/09/000109 06/23/2015 API
61010001 85520
1,158.26
612.64
1,453.48
73.28
18.73
29.40
-3,183.42
1,023.33
139.7%*
4408
4436
100.0%*
62.1%
193697
193697
193921
193921
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
255
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
610
FLEET SERVICES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61010001 FLEET SERVICES
TOTAL OPERATING EXPENSES
873,081
873,081
556,094.82
58,714.80
1,208.53
315,777.65
63.8%
TOTAL FLEET SERVICES
1,268,709
1,268,709
851,113.34
90,365.23
1,208.53
416,387.13
67.2%
TOTAL FLEET SERVICES
1,268,709
1,268,709
851,113.34
90,365.23
1,208.53
416,387.13
67.2%
1,268,709
1,268,709
851,113.34
90,365.23
1,208.53
416,387.13
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
256
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
615
GENERAL INSURANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61550020 GENERAL GOVERNMENT INSURANCE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
61550020 85401
GENERAL LIABILITY I
2015/09/000031 06/05/2015 API
61550020 85404
350,000
PROPERTY INSURANCE
AUTOMOBILE INSURANC
2015/09/000031 06/05/2015 API
61550020 85465
211,971.40
29,991.20 VND 010168 VCH373902
2015/09/000031 06/05/2015 API
61550020 85407
350,000
UNINSURED LOSS
2015/09/000031 06/05/2015 API
2015/09/000033 06/09/2015 API
2015/09/000033 06/09/2015 API
100,000
100,000
80,000
80,000
50,000
61,406.63
152.88 VND 010168 VCH373993
7,300.00 VND 010337 VCH374032
370.00 VND 010337 VCH374033
.00
43,397.30
.00
23,334.30
EMC-INSURANCE PREMIUM ALLOCATI
7,822.88
BANK OF AMERICA
B&E ROOFING
B&E ROOFING
138,028.60
EMC-INSURANCE PREMIUM ALLOCATI
8,095.10
BANK OF AMERICA
.00
EMC-INSURANCE PREMIUM ALLOCATI
8,086.10
BANK OF AMERICA
56,665.70
8,095.10 VND 010168 VCH373902
50,000
BANK OF AMERICA
56,602.70
8,086.10 VND 010168 VCH373902
29,991.20
.00
-11,406.63
MEAD LUMBER-SHINGLES&TRIM BOAR
Labor & material to do repairs
ADDITIONAL ROOF REPAIR
60.6%
4408
56.6%
4408
70.8%
4408
122.8%*
4408
193612
193612
TOTAL OPERATING EXPENSES
580,000
580,000
386,646.43
53,995.28
.00
193,353.57
66.7%
TOTAL GENERAL GOVERNMENT INSURANC
580,000
580,000
386,646.43
53,995.28
.00
193,353.57
66.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
257
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
615
GENERAL INSURANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61550021 WORKERS COMPENSATION PROGRAMS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
61550021 85401
GENERAL LIABILITY I
2015/09/000031 06/05/2015 API
61550021 85424
61550021 85465
61550021 85490
445,000
445,000
267,685.70
37,129.60 VND 010168 VCH373902
LICENSE & FEES
UNINSURED LOSS
OTHER EXPENDITURES
37,129.60
BANK OF AMERICA
.00
177,314.30
EMC-INSURANCE PREMIUM ALLOCATI
60.2%
4408
80,000
475,000
0
80,000
475,000
0
83,597.34
426,345.48
3,225.00
.00
.00
.00
.00
.00
.00
-3,597.34
48,654.52
-3,225.00
104.5%*
89.8%*
100.0%*
TOTAL OPERATING EXPENSES
1,000,000
1,000,000
780,853.52
37,129.60
.00
219,146.48
78.1%
TOTAL WORKERS COMPENSATION PROGRA
1,000,000
1,000,000
780,853.52
37,129.60
.00
219,146.48
78.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
258
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
615
GENERAL INSURANCE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
61550023 HEALTH INSURANCE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
61550023 85213
CONTRACT SERVICES
9,000
2015/09/000074 06/23/2015 API
61550023 85221
ADMINISTRATIVE SERV
320,000
61550023 85402
61550023 85469
2015/09/000074
2015/09/000126
2015/09/000126
2015/09/000131
2015/09/000131
2015/09/000131
2015/09/000131
2015/09/000131
2015/09/000131
550,000
600,000
API
API
API
API
API
API
API
API
API
600,000
6,250,000
310.80
8,826.41
124,395.10
127,609.53
6,819.97
69,188.01
7,373.62
192,280.15
21,176.22
VND
VND
VND
VND
VND
VND
VND
VND
VND
6,250,000
009343
008547
000008
000008
008547
000008
008547
000008
000008
2,250.00
.00
18,417.92
JUNE 2015 ADMIN FEES
WARRANT=060415 RUN=1 CITY BIW
15,283.00
.00
327,924.51
BLUE CROSS BLUE SHIE ADMIN FEES
542,507.93
62,758.08
557,979.81
DISCOVERY BENEFITS
DELTA DENTAL OF NE
BLUE CROSS BLUE SHIE
BLUE CROSS BLUE SHIE
DELTA DENTAL OF NE
BLUE CROSS BLUE SHIE
DELTA DENTAL OF NE
BLUE CROSS BLUE SHIE
BLUE CROSS BLUE SHIE
75.0%
193836
94.2%*
4413
40.4%
193805
.00
57,492.07
BLUE CROSS BLUE SHIE ADMIN FEES
4,283,527.95
VCH374214
VCH375182
VCH375183
VCH374395
VCH374399
VCH374400
VCH374401
VCH374402
VCH374403
.00
JULY-SEPT 2015 QTRLY EAP SERVI
1,068.17
CONNECTYOURCARE LLC
222,075.49
62,758.08 VND 000008 VCH374160
HOSPITALIZATION AND
06/23/2015
06/18/2015
06/18/2015
06/15/2015
06/15/2015
06/15/2015
06/15/2015
06/15/2015
06/15/2015
550,000
2,250.00
FAMILY RESOURCES OF
301,582.08
15,283.00 VND 000008 VCH374160
STOP LOSS
2015/09/000074 06/23/2015 API
320,000
339.00 VND 009878 VCH374397
729.17 REF PRCITY
CLAIMS HANDLING FEE
2015/09/000074 06/23/2015 API
6,750.00
2,250.00 VND 000187 VCH374216
2015/09/000131 06/15/2015 API
2015/09/000226 06/04/2015 PRJ
61550023 85300
9,000
90.4%*
193805
.00
COBRA ADMIN FEES
DENTAL INSURANCE
HEALTH INSURANCE
HEALTH INSURANCE
DENTAL INSURANCE
HEALTH INSURANCE
DENTAL INSURANCE
HEALTH INSURANCE
HEALTH INSURANCE
1,966,472.05
CLAIMS
CLAIMS
CLAIMS
CLAIMS
CLAIMS
CLAIMS
CLAIMS
CLAIMS
68.5%
193734
4437
4438
4411
4415
4416
4417
4418
4419
TOTAL OPERATING EXPENSES
7,729,000
7,729,000
5,356,443.45
639,339.06
.00
2,372,556.55
69.3%
TOTAL HEALTH INSURANCE
7,729,000
7,729,000
5,356,443.45
639,339.06
.00
2,372,556.55
69.3%
TOTAL GENERAL INSURANCE
9,309,000
9,309,000
6,523,943.40
730,463.94
.00
2,785,056.60
70.1%
9,309,000
9,309,000
6,523,943.40
730,463.94
.00
2,785,056.60
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
259
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
620
EQUIPMENT RESERVE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
62012302 RESERVE-LAW ENFORCEMENT CENTER
_________________________________________
96 CAPITAL OUTLAY
_________________________________________
62012302 85612
BUILDING IMPROVEMEN
100,000
100,000
19,561.34
.00
20,910.00
59,528.66
40.5%
TOTAL CAPITAL OUTLAY
100,000
100,000
19,561.34
.00
20,910.00
59,528.66
40.5%
TOTAL RESERVE-LAW ENFORCEMENT CEN
100,000
100,000
19,561.34
.00
20,910.00
59,528.66
40.5%
TOTAL EQUIPMENT RESERVE
100,000
100,000
19,561.34
.00
20,910.00
59,528.66
40.5%
100,000
100,000
19,561.34
.00
20,910.00
59,528.66
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
260
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
715
CAFETERIA PLAN
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
71551401 CAFETERIA PLAN
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
71551401 85926
EMPLOYEE REIMBURSEM
600,000
600,000
661,785.33
.00
.00
-61,785.33
110.3%*
TOTAL PERSONNEL SERVICES
600,000
600,000
661,785.33
.00
.00
-61,785.33
110.3%
TOTAL CAFETERIA PLAN
600,000
600,000
661,785.33
.00
.00
-61,785.33
110.3%
TOTAL CAFETERIA PLAN
600,000
600,000
661,785.33
.00
.00
-61,785.33
110.3%
600,000
600,000
661,785.33
.00
.00
-61,785.33
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
261
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
725
OTHER AGENCIES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72551426 SCHOOL FEES
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72551426 85456
PARKING TICKETS - S
2015/09/000074 06/23/2015 API
72551426 85457
72551426 85458
TOBACCO LICENSES LIQOUR LICENSE - SC
2015/09/000074 06/23/2015 API
6,000
6,000
1,050.00 VND 000216 VCH374222
1,500
35,000
1,500
35,000
1,350.00 VND 000216 VCH374222
15,416.00
1,050.00
GI PUBLIC SCHOOLS
1,105.00
28,625.00
-9,416.00
$1050 PARKING / $1350 LIQUOR
.00
1,350.00
GI PUBLIC SCHOOLS
.00
.00
.00
395.00
6,375.00
$1050 PARKING / $1350 LIQUOR
256.9%*
193744
73.7%
81.8%*
193744
TOTAL OPERATING EXPENSES
42,500
42,500
45,146.00
2,400.00
.00
-2,646.00
106.2%
TOTAL SCHOOL FEES
42,500
42,500
45,146.00
2,400.00
.00
-2,646.00
106.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
262
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
725
OTHER AGENCIES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72551428 HOTEL OCCUPATION TAXES
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72551428 85486
HOTEL OCCUPATION TA
2015/09/000109 06/23/2015 API
350,000
350,000
274,541.49
31,071.72 VND 000196 VCH374532
31,071.72
.00
75,458.51
FONNER PARK EXPOSITI APR 2015 HOTEL OCCUP TAX RCPTS
78.4%*
193742
TOTAL OPERATING EXPENSES
350,000
350,000
274,541.49
31,071.72
.00
75,458.51
78.4%
TOTAL HOTEL OCCUPATION TAXES
350,000
350,000
274,541.49
31,071.72
.00
75,458.51
78.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
263
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
725
OTHER AGENCIES
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72551429 TRI CITY TASK FORCE
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72551429 85590
DRUG SUPPLIES
2015/09/000105 06/16/2015 API
2015/09/000105 06/16/2015 API
100,000
100,000
28,821.57
2,533.75 VND 010351 VCH374502
108.96 VND 006945 VCH374503
2,642.71
HAASE CONSTRUCTION
VERIZON WIRELESS
.00
71,178.43
CARPET & INSTALLATION
AIR CARD & CELL PHONE FOR SURV
28.8%
1344
1345
TOTAL OPERATING EXPENSES
100,000
100,000
28,821.57
2,642.71
.00
71,178.43
28.8%
TOTAL TRI CITY TASK FORCE
100,000
100,000
28,821.57
2,642.71
.00
71,178.43
28.8%
TOTAL OTHER AGENCIES
492,500
492,500
348,509.06
36,114.43
.00
143,990.94
70.8%
492,500
492,500
348,509.06
36,114.43
.00
143,990.94
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
264
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
726
BID ASSESSMENTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72611201 SOUTH LOCUST BID 2013
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72611201 85490
OTHER EXPENDITURES
2015/09/000010 06/09/2015 API
66,100
66,100
4,006.20 VND 003859 VCH373410
67,943.71
CITY BID'S
4,006.20
.00
-1,843.71
MAY 2015 BID RCPT FOR 940 FUND
102.8%*
193551
TOTAL OPERATING EXPENSES
66,100
66,100
67,943.71
4,006.20
.00
-1,843.71
102.8%
TOTAL SOUTH LOCUST BID 2013
66,100
66,100
67,943.71
4,006.20
.00
-1,843.71
102.8%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
265
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
726
BID ASSESSMENTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72611301 FONNER PARK BID 2013
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72611301 85490
OTHER EXPENDITURES
34,630
34,630
39,599.36
.00
.00
-4,969.36
114.3%*
TOTAL OPERATING EXPENSES
34,630
34,630
39,599.36
.00
.00
-4,969.36
114.3%
TOTAL FONNER PARK BID 2013
34,630
34,630
39,599.36
.00
.00
-4,969.36
114.3%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
266
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
726
BID ASSESSMENTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72611401 DOWNTOWN BID 2013
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72611401 85490
OTHER EXPENDITURES
2015/09/000010 06/09/2015 API
90,300
90,300
2,048.99 VND 003859 VCH373410
91,402.75
CITY BID'S
2,048.99
.00
-1,102.75
MAY 2015 BID RCPT FOR 940 FUND
101.2%*
193551
TOTAL OPERATING EXPENSES
90,300
90,300
91,402.75
2,048.99
.00
-1,102.75
101.2%
TOTAL DOWNTOWN BID 2013
90,300
90,300
91,402.75
2,048.99
.00
-1,102.75
101.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
267
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
726
BID ASSESSMENTS
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
72611501 SECOND STREET BID 2013
_________________________________________
91 OPERATING EXPENSES
_________________________________________
72611501 85490
OTHER EXPENDITURES
32,025
32,025
.00
.00
.00
32,025.00
.0%
TOTAL OPERATING EXPENSES
32,025
32,025
.00
.00
.00
32,025.00
.0%
TOTAL SECOND STREET BID 2013
32,025
32,025
.00
.00
.00
32,025.00
.0%
223,055
223,055
198,945.82
6,055.19
.00
24,109.18
89.2%
223,055
223,055
198,945.82
6,055.19
.00
24,109.18
TOTAL BID ASSESSMENTS
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
268
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
825
EMPLOYEE PENSION RESERVE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
82551401 POLICE-FIRE RETIREES PRIOR 84
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
82551401 85105
SALARIES - REGULAR
2015/09/000225 06/04/2015 PRJ
2015/09/000229 06/18/2015 PRJ
169,000
169,000
114,681.37
6,085.09 REF PRPENS
6,062.84 REF PRPENS
12,147.93
.00
WARRANT=060415
WARRANT=061815
54,318.63
67.9%
RUN=2 PENSIONE
RUN=2 PENSIONE
TOTAL PERSONNEL SERVICES
169,000
169,000
114,681.37
12,147.93
.00
54,318.63
67.9%
TOTAL POLICE-FIRE RETIREES PRIOR
169,000
169,000
114,681.37
12,147.93
.00
54,318.63
67.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
269
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
825
EMPLOYEE PENSION RESERVE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
82551402 POLICE RESERVE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
82551402 85480
UNALLOCATED RESERVE
TOTAL PERSONNEL SERVICES
420,000
420,000
.00
.00
.00
420,000.00
.0%
420,000
420,000
.00
.00
.00
420,000.00
.0%
0
0
1,691.23
.00
.00
-1,691.23
100.0%*
0
0
1,691.23
.00
.00
-1,691.23
100.0%
420,000
420,000
1,691.23
.00
.00
418,308.77
.4%
91 OPERATING EXPENSES
_________________________________________
82551402 85213
CONTRACT SERVICES
TOTAL OPERATING EXPENSES
TOTAL POLICE RESERVE
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
270
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
825
EMPLOYEE PENSION RESERVE
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
82551403 FIRE RESERVE
_________________________________________
90 PERSONNEL SERVICES
_________________________________________
82551403 85480
UNALLOCATED RESERVE
TOTAL PERSONNEL SERVICES
500,000
500,000
.00
.00
.00
500,000.00
.0%
500,000
500,000
.00
.00
.00
500,000.00
.0%
5,000
5,000
1,691.23
.00
.00
3,308.77
33.8%
5,000
5,000
1,691.23
.00
.00
3,308.77
33.8%
0
0
382,627.14
93,405.11
.00
-382,627.14
91 OPERATING EXPENSES
_________________________________________
82551403 85213
CONTRACT SERVICES
TOTAL OPERATING EXPENSES
99 OTHER FINANCING USES
_________________________________________
82551403 85704
LOSS ON INVESTMENTS
2015/09/001030 06/30/2015 CRP
82551403 85805
93,405.11 REF 177848
TRANSFERS OUT
SMITH HAYES INVESTME
100.0%*
FIRE PLAN EARNINGS
900,000
900,000
.00
.00
.00
900,000.00
.0%
900,000
900,000
382,627.14
93,405.11
.00
517,372.86
42.5%
TOTAL FIRE RESERVE
1,405,000
1,405,000
384,318.37
93,405.11
.00
1,020,681.63
27.4%
TOTAL EMPLOYEE PENSION RESERVE
1,994,000
1,994,000
500,690.97
105,553.04
.00
1,493,309.03
25.1%
1,994,000
1,994,000
500,690.97
105,553.04
.00
1,493,309.03
TOTAL OTHER FINANCING USES
TOTAL EXPENSES
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
271
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000001 GENERAL OPERATIONS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
90000001 85200
90000001 85201
FUTURE TIP PROJECTS
AUDITING & ACCOUNTI
2015/09/000055 06/09/2015 API
90000001 85206
2015/09/000055
2015/09/000055
2015/09/000055
2015/09/000055
90000001
90000001
90000001
90000001
85245
85290
85401
85413
3,000
API
API
API
API
5,000
65,000
1,250.00
6,000.00
3,336.62
70.00
PRINTING & BINDING
OTHER PROFESSIONAL
GENERAL LIABILITY I
POSTAGE
2015/09/000055 06/09/2015 API
90000001 85415
90000001 85419
LIFESAFETY GRANTS
LEGAL NOTICES
2015/09/000055 06/09/2015 API
2015/09/000055 06/09/2015 API
90000001 85428
90000001 85505
90000001 85590
.00
5,339.28
3,000
TRAVEL & TRAINING
OFFICE SUPPLIES
SUPPLIES
TOTAL OPERATING EXPENSES
VND
VND
VND
VND
1,000
16,000
250
200
5,000
65,000
008076
008076
000036
007731
CITY FINANCE DEPT
VCH374146
VCH374147
VCH374149
VCH374153
1,000
16,000
250
200
.00
10,656.62
BACON & VINTON LLC
BACON & VINTON LLC
CITY FINANCE DEPT
LAWNSCAPE INC
.00
1,950.00
.00
.00
.00
.00
.00
.00
5,000.00
21,697.29
GI INDEPENDENT
GI INDEPENDENT
.00
.00
1520
35.0%
.0%
66.6%
1519
1519
1520
1523
1,000.00
7,721.24
250.00
-43.76
CITY UTIL-METER POST APR 2015 POSTAGE
.00
30.51
.0%
106.8%*
1527
TC ENCK TIF ATTN FEES
PRIDON LEGAL FEES TIF
ADMIN FEES
LAWN SERVICE
.00
.00
.00
24.37
.00
156.57
15.25 VND 000214 VCH374151
15.26 VND 000214 VCH374152
162,000.00
-339.28
ACCOUNTING FEES FOR TIF FEES F
300.00
.00
8,278.76
.00
243.76
200,000
2,500
.00
.00
MAYER BURNS AHLSCHWE LEGAL COUNSEL
.00
43,302.71
24.37 VND 000089 VCH374150
200,000
2,500
.00
1,000.00
1,050.00
300.00 VND 000738 VCH374154
CONSULTING SERVICES
CONTRACT SERVICES
06/09/2015
06/09/2015
06/09/2015
06/09/2015
162,000
5,000
1,000.00 VND 000036 VCH374148
LEGAL SERVICES
2015/09/000055 06/09/2015 API
90000001 85208
90000001 85213
162,000
5,000
.0%
51.7%
.0%
121.9%*
1521
200,000.00
2,343.43
PUBLIC NOTICE
MEETING NOTICE
.0%
6.3%
1522
1522
1,000
300
300
1,000
300
300
.00
365.86
.00
.00
.00
.00
.00
.00
.00
1,000.00
-65.86
300.00
461,550
461,550
58,736.94
12,011.50
.00
402,813.06
175,000
175,000
175,000.00
.00
.00
.00
.0%
122.0%*
.0%
12.7%
95 DEBT SERVICE
_________________________________________
90000001 85705
BOND PRINCIPAL-LINC
100.0%*
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
272
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000001 85715
90000001 85725
BOND INTEREST
FISCAL AGENT FEES/B
23,050
0
23,050
0
23,050.00
525.00
.00
.00
.00
.00
.00
-525.00
100.0%*
100.0%*
198,050
198,050
198,575.00
.00
.00
-525.00
100.3%
200,000
200,000
.00
.00
.00
200,000.00
.0%
TOTAL CAPITAL OUTLAY
200,000
200,000
.00
.00
.00
200,000.00
.0%
TOTAL GENERAL OPERATIONS
859,600
859,600
257,311.94
12,011.50
.00
602,288.06
29.9%
TOTAL DEBT SERVICE
96 CAPITAL OUTLAY
_________________________________________
90000001 85605
LAND
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
273
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000002 FACADE IMPROVEMENT
_________________________________________
91 OPERATING EXPENSES
_________________________________________
90000002 85213
CONTRACT SERVICES
200,000
200,000
.00
.00
.00
200,000.00
.0%
200,000
200,000
.00
.00
.00
200,000.00
.0%
216,000
216,000
183,629.00
.00
.00
32,371.00
85.0%*
TOTAL CAPITAL OUTLAY
216,000
216,000
183,629.00
.00
.00
32,371.00
85.0%
TOTAL FACADE IMPROVEMENT
416,000
416,000
183,629.00
.00
.00
232,371.00
44.1%
TOTAL OPERATING EXPENSES
96 CAPITAL OUTLAY
_________________________________________
90000002 85612
BUILDING IMPROVEMEN
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
274
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000005 OTHER PROJECTS
_________________________________________
91 OPERATING EXPENSES
_________________________________________
90000005 85213
CONTRACT SERVICES
175,000
175,000
.00
.00
.00
175,000.00
.0%
TOTAL OPERATING EXPENSES
175,000
175,000
.00
.00
.00
175,000.00
.0%
TOTAL OTHER PROJECTS
175,000
175,000
.00
.00
.00
175,000.00
.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
275
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000009 GENTLE DENTAL
_________________________________________
95 DEBT SERVICE
_________________________________________
90000009 85705
BOND PRINCIPAL
2015/09/000088 06/12/2015 API
90000009 85715
BOND INTEREST
2015/09/000088 06/12/2015 API
0
0
1,738.85 VND 001376 VCH374393
0
0
362.15 VND 001376 VCH374393
3,419.71
1,738.85
WELLS FARGO BANK
782.29
-3,419.71
LN#7785840855JUNE 215 PAYMENT
362.15
WELLS FARGO BANK
.00
.00
-782.29
LN#7785840855JUNE 215 PAYMENT
100.0%*
4409
100.0%*
4409
TOTAL DEBT SERVICE
0
0
4,202.00
2,101.00
.00
-4,202.00
100.0%
TOTAL GENTLE DENTAL
0
0
4,202.00
2,101.00
.00
-4,202.00
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
276
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000010 PROCON TIF
_________________________________________
95 DEBT SERVICE
_________________________________________
90000010 85705
BOND PRINCIPAL
2015/09/000088 06/12/2015 API
90000010 85715
BOND INTEREST
2015/09/000088 06/12/2015 API
13,355
13,355
7,275.89 VND 000132 VCH374391
5,807
5,807
2,305.07 VND 000132 VCH374391
14,305.74
HOME FEDERAL
4,856.18
HOME FEDERAL
7,275.89
.00
-950.74
JUNE 2015 LOAN PAYMENT
2,305.07
.00
107.1%*
1528
950.82
JUNE 2015 LOAN PAYMENT
83.6%*
1528
TOTAL DEBT SERVICE
19,162
19,162
19,161.92
9,580.96
.00
.08
100.0%
TOTAL PROCON TIF
19,162
19,162
19,161.92
9,580.96
.00
.08
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
277
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000011 WALNUT HOUSING PROJECT
_________________________________________
95 DEBT SERVICE
_________________________________________
90000011 85705
BOND PRINCIPAL
2015/09/000088 06/12/2015 API
90000011 85715
BOND INTEREST
2015/09/000088 06/12/2015 API
49,209
49,209
26,727.22 VND 006458 VCH374392
25,263
25,263
10,508.68 VND 006458 VCH374392
63,963.12
26,727.22
.00
-14,754.12
LINCOLN FEDERAL SAVI JUNE 2015 LOAN PAYMENT
10,508.68
10,508.68
.00
130.0%*
1529
14,754.32
LINCOLN FEDERAL SAVI JUNE 2015 LOAN PAYMENT
41.6%
1529
TOTAL DEBT SERVICE
74,472
74,472
74,471.80
37,235.90
.00
.20
100.0%
TOTAL WALNUT HOUSING PROJECT
74,472
74,472
74,471.80
37,235.90
.00
.20
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
278
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000012 BRUNS PET GROOMING
_________________________________________
95 DEBT SERVICE
_________________________________________
90000012 85705
BOND PRINCIPAL
13,500
13,500
219.57
.00
.00
13,280.43
1.6%
TOTAL DEBT SERVICE
13,500
13,500
219.57
.00
.00
13,280.43
1.6%
TOTAL BRUNS PET GROOMING
13,500
13,500
219.57
.00
.00
13,280.43
1.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
279
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000013 GIRARD VET CLINIC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000013 85705
BOND PRINCIPAL
14,500
14,500
158.78
.00
.00
14,341.22
1.1%
TOTAL DEBT SERVICE
14,500
14,500
158.78
.00
.00
14,341.22
1.1%
TOTAL GIRARD VET CLINIC
14,500
14,500
158.78
.00
.00
14,341.22
1.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
280
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000014 GEDDES ST APTS-PROCON
_________________________________________
95 DEBT SERVICE
_________________________________________
90000014 85705
BOND PRINCIPAL
30,000
30,000
450.51
.00
.00
29,549.49
1.5%
TOTAL DEBT SERVICE
30,000
30,000
450.51
.00
.00
29,549.49
1.5%
TOTAL GEDDES ST APTS-PROCON
30,000
30,000
450.51
.00
.00
29,549.49
1.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
281
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000015 SOUTHEAST CROSSING
_________________________________________
95 DEBT SERVICE
_________________________________________
90000015 85705
BOND PRINCIPAL
15,000
15,000
2,202.13
.00
.00
12,797.87
14.7%
TOTAL DEBT SERVICE
15,000
15,000
2,202.13
.00
.00
12,797.87
14.7%
TOTAL SOUTHEAST CROSSING
15,000
15,000
2,202.13
.00
.00
12,797.87
14.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
282
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000016 POPLAR STREET WATER
_________________________________________
91 OPERATING EXPENSES
_________________________________________
90000016 85213
CONTRACT SERVICES
TOTAL OPERATING EXPENSES
6,000
6,000
.00
.00
.00
6,000.00
.0%
6,000
6,000
.00
.00
.00
6,000.00
.0%
0
0
3,489.48
.00
.00
-3,489.48
100.0%*
0
0
3,489.48
.00
.00
-3,489.48
100.0%
6,000
6,000
3,489.48
.00
.00
2,510.52
58.2%
95 DEBT SERVICE
_________________________________________
90000016 85705
BOND PRINCIPAL
TOTAL DEBT SERVICE
TOTAL POPLAR STREET WATER
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
283
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000017 CASEY'S @ FIVE POINTS
_________________________________________
95 DEBT SERVICE
_________________________________________
90000017 85705
BOND PRINCIPAL
10,000
10,000
144.55
.00
.00
9,855.45
1.4%
TOTAL DEBT SERVICE
10,000
10,000
144.55
.00
.00
9,855.45
1.4%
TOTAL CASEY'S @ FIVE POINTS
10,000
10,000
144.55
.00
.00
9,855.45
1.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
284
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000018 SOUTH POINTE HOTEL PROJECT
_________________________________________
95 DEBT SERVICE
_________________________________________
90000018 85705
BOND PRINCIPAL
90,000
90,000
1,399.25
.00
.00
88,600.75
1.6%
TOTAL DEBT SERVICE
90,000
90,000
1,399.25
.00
.00
88,600.75
1.6%
TOTAL SOUTH POINTE HOTEL PROJECT
90,000
90,000
1,399.25
.00
.00
88,600.75
1.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
285
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000019 TODD ENCK PROJECT
_________________________________________
95 DEBT SERVICE
_________________________________________
90000019 85705
BOND PRINCIPAL
6,000
6,000
99.10
.00
.00
5,900.90
1.7%
TOTAL DEBT SERVICE
6,000
6,000
99.10
.00
.00
5,900.90
1.7%
TOTAL TODD ENCK PROJECT
6,000
6,000
99.10
.00
.00
5,900.90
1.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
286
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000020 SKAGWAY
_________________________________________
95 DEBT SERVICE
_________________________________________
90000020 85705
BOND PRINCIPAL
2015/09/000089 06/12/2015 API
2015/09/000089 06/12/2015 API
750,000
750,000
760,258.01
739,859.26 VND 008854 VCH374394
20,076.88 VND 008854 VCH374394
759,936.14
WILMAR REALTY LLC
WILMAR REALTY LLC
.00
-10,258.01
TIF PAYOFF FOR SKAGWAY - MAY 2
TIF PAYOFF FOR SKAGWAY - MAY 2
101.4%*
4410
4410
TOTAL DEBT SERVICE
750,000
750,000
760,258.01
759,936.14
.00
-10,258.01
101.4%
TOTAL SKAGWAY
750,000
750,000
760,258.01
759,936.14
.00
-10,258.01
101.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
287
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000021 JOHN SCHULTE CONSTRUCTION
_________________________________________
95 DEBT SERVICE
_________________________________________
90000021 85705
BOND PRINCIPAL
6,000
6,000
81.72
.00
.00
5,918.28
1.4%
TOTAL DEBT SERVICE
6,000
6,000
81.72
.00
.00
5,918.28
1.4%
TOTAL JOHN SCHULTE CONSTRUCTION
6,000
6,000
81.72
.00
.00
5,918.28
1.4%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
288
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000022 PHARMACY PROPERTIES INC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000022 85705
BOND PRINCIPAL
11,000
11,000
169.49
.00
.00
10,830.51
1.5%
TOTAL DEBT SERVICE
11,000
11,000
169.49
.00
.00
10,830.51
1.5%
TOTAL PHARMACY PROPERTIES INC
11,000
11,000
169.49
.00
.00
10,830.51
1.5%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
289
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000023 KEN-RAY LLC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000023 85705
BOND PRINCIPAL
34,000
34,000
590.43
.00
.00
33,409.57
1.7%
TOTAL DEBT SERVICE
34,000
34,000
590.43
.00
.00
33,409.57
1.7%
TOTAL KEN-RAY LLC
34,000
34,000
590.43
.00
.00
33,409.57
1.7%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
290
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000024 COUNTY FUND #8598
_________________________________________
95 DEBT SERVICE
_________________________________________
90000024 85705
BOND PRINCIPAL
1,458
1,458
46.02
.00
.00
1,411.98
3.2%
TOTAL DEBT SERVICE
1,458
1,458
46.02
.00
.00
1,411.98
3.2%
TOTAL COUNTY FUND #8598
1,458
1,458
46.02
.00
.00
1,411.98
3.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
291
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000025 GORDMAN GRAND ISLAND
_________________________________________
95 DEBT SERVICE
_________________________________________
90000025 85705
BOND PRINCIPAL
40,000
40,000
4,097.33
.00
.00
35,902.67
10.2%
TOTAL DEBT SERVICE
40,000
40,000
4,097.33
.00
.00
35,902.67
10.2%
TOTAL GORDMAN GRAND ISLAND
40,000
40,000
4,097.33
.00
.00
35,902.67
10.2%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
292
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000026 BAKER DEVELOPMENT INC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000026 85705
BOND PRINCIPAL
3,000
3,000
236.50
.00
.00
2,763.50
7.9%
TOTAL DEBT SERVICE
3,000
3,000
236.50
.00
.00
2,763.50
7.9%
TOTAL BAKER DEVELOPMENT INC
3,000
3,000
236.50
.00
.00
2,763.50
7.9%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
293
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000027 STRATFORD PLAZA LLC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000027 85705
BOND PRINCIPAL
35,000
35,000
386.73
.00
.00
34,613.27
1.1%
TOTAL DEBT SERVICE
35,000
35,000
386.73
.00
.00
34,613.27
1.1%
TOTAL STRATFORD PLAZA LLC
35,000
35,000
386.73
.00
.00
34,613.27
1.1%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
294
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000028 COPPER CREEK
_________________________________________
95 DEBT SERVICE
_________________________________________
90000028 85705
BOND PRINCIPAL
0
0
3,259.00
.00
.00
-3,259.00
100.0%*
TOTAL DEBT SERVICE
0
0
3,259.00
.00
.00
-3,259.00
100.0%
TOTAL COPPER CREEK
0
0
3,259.00
.00
.00
-3,259.00
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
295
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000029 CHIEF INDUSTRIES AURORA COOP
_________________________________________
95 DEBT SERVICE
_________________________________________
90000029 85705
BOND PRINCIPAL
0
0
92.08
.00
.00
-92.08
100.0%*
TOTAL DEBT SERVICE
0
0
92.08
.00
.00
-92.08
100.0%
TOTAL CHIEF INDUSTRIES AURORA COO
0
0
92.08
.00
.00
-92.08
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
296
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000030 TOKEN PROPERTIES KIMBALL STREE
_________________________________________
95 DEBT SERVICE
_________________________________________
90000030 85705
BOND PRINCIPAL
0
0
4.84
.00
.00
-4.84
100.0%*
TOTAL DEBT SERVICE
0
0
4.84
.00
.00
-4.84
100.0%
TOTAL TOKEN PROPERTIES KIMBALL ST
0
0
4.84
.00
.00
-4.84
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
297
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000031 GI HABITAT OF HUMANITY
_________________________________________
95 DEBT SERVICE
_________________________________________
90000031 85705
BOND PRINCIPAL
0
0
45.94
.00
.00
-45.94
100.0%*
TOTAL DEBT SERVICE
0
0
45.94
.00
.00
-45.94
100.0%
TOTAL GI HABITAT OF HUMANITY
0
0
45.94
.00
.00
-45.94
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
298
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000032 AUTO ONE INC
_________________________________________
95 DEBT SERVICE
_________________________________________
90000032 85705
BOND PRINCIPAL
0
0
124.28
.00
.00
-124.28
100.0%*
TOTAL DEBT SERVICE
0
0
124.28
.00
.00
-124.28
100.0%
TOTAL AUTO ONE INC
0
0
124.28
.00
.00
-124.28
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
299
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000033 EIG GRAND ISLAND
_________________________________________
95 DEBT SERVICE
_________________________________________
90000033 85705
BOND PRINCIPAL
0
0
27,527.58
.00
.00
-27,527.58
100.0%*
TOTAL DEBT SERVICE
0
0
27,527.58
.00
.00
-27,527.58
100.0%
TOTAL EIG GRAND ISLAND
0
0
27,527.58
.00
.00
-27,527.58
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
300
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000034 TOKEN PROPERTIES CARY STREET
_________________________________________
95 DEBT SERVICE
_________________________________________
90000034 85705
BOND PRINCIPAL
0
0
56.83
.00
.00
-56.83
100.0%*
TOTAL DEBT SERVICE
0
0
56.83
.00
.00
-56.83
100.0%
TOTAL TOKEN PROPERTIES CARY STREE
0
0
56.83
.00
.00
-56.83
100.0%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
301
|glytdbud
FOR 2015 09
JOURNAL DETAIL 2015
9 TO 2015
9
ACCOUNTS FOR:
ORIGINAL
REVISED
AVAILABLE
PCT
900
COMMUNITY REDEVELOPMENT AUTHOR
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
90000035 WENN HOUSING PROJECT
_________________________________________
95 DEBT SERVICE
_________________________________________
90000035 85705
BOND PRINCIPAL
0
0
27.06
.00
.00
-27.06
100.0%*
TOTAL DEBT SERVICE
0
0
27.06
.00
.00
-27.06
100.0%
TOTAL WENN HOUSING PROJECT
0
0
27.06
.00
.00
-27.06
100.0%
TOTAL COMMUNITY REDEVELOPMENT AUT
2,609,692
2,609,692
1,343,943.87
820,865.50
.00
1,265,748.13
51.5%
TOTAL EXPENSES
2,609,692
2,609,692
1,343,943.87
820,865.50
.00
1,265,748.13
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
FOR 2015 09
|P
302
|glytdbud
JOURNAL DETAIL 2015
9 TO 2015
9
ORIGINAL
REVISED
AVAILABLE
PCT
APPROP
BUDGET
YTD EXPENDED
MTD EXPENDED
ENCUMBRANCES
BUDGET
USED
____________________________________________________________________________________________________________________________________
GRAND TOTAL
223,746,692 223,954,192 125,381,400.11
11,320,356.36
** END OF REPORT - Generated by Brian Schultz **
30,509,804.18
68,062,987.74
69.6%
07/17/2015 13:51
briansc
|CITY OF GRAND ISLAND
|EXPENSES
FOR THE MONTH ENDING JUNE 2015
|P
303
|glytdbud
REPORT OPTIONS
____________________________________________________________________________________________________________________________________
Sequence
Sequence
Sequence
Sequence
1
2
3
4
Field #
1
9
10
0
Total
Y
Y
Y
N
Page Break
Y
Y
N
N
Report title:
EXPENSES
FOR THE MONTH ENDING JUNE 2015
Print Full or Short description: F
Print MTD Version: Y
Print Revenues-Version headings: N
Format type: 1
Print revenue budgets as zero: N
Include Fund Balance: N
Multiyear view: D
Include requisition amount: N
Find Criteria
Field Name
Field Value
Fund
Function
Department
Division
GEN/BTA
TYPE
Character code
Org
Object
Project
Account type
Account status
<>85461
Expense
Year/Period: 2015/ 9
Print revenue as credit: Y
Print totals only: N
Suppress zero bal accts: Y
Print full GL account: N
Double space: N
Roll projects to object: N
Carry forward code: 1
Print journal detail: Y
From Yr/Per: 2015/ 9
To Yr/Per: 2015/ 9
Include budget entries: N
Incl encumb/liq entries: N
Sort by JE # or PO #: J
Detail format option: 1

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