Detailed Trial Balance
Transcription
Detailed Trial Balance
General Ledger Detailed Trial Balance User: Printed: Period: angie_e 05/29/2012 - 9:35AM 12, 2012 Account Number Description 100 ASSETS 100-000-110100 Petty Cash - Administratn Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 100-000-110100 Totals: Petty Cash - Informant Fund 0.00 0.00 50.00 0.00 0.00 50.00 100-000-110101 100-000-110101 Totals: Petty Cash - Records Dept 0.00 0.00 500.00 0.00 0.00 500.00 100-000-110102 100-000-110102 Totals: Petty Cash - Inspections 0.00 0.00 200.00 0.00 0.00 200.00 100-000-110103 100-000-110103 Totals: Petty Cash - Finance 0.00 0.00 0.00 0.00 0.00 0.00 100-000-110104 100-000-110104 Totals: Petty Cash - Special Serv 0.00 0.00 50.00 0.00 0.00 50.00 100-000-110105 100-000-110105 Totals: Petty Cash - Street Dept 0.00 0.00 500.00 0.00 0.00 500.00 100-000-110106 100-000-110106 Totals: Petty Cash - Custodians 0.00 0.00 75.00 0.00 0.00 75.00 100-000-110107 100-000-110107 Totals: Petty Cash - Fire Dept 0.00 0.00 50.00 0.00 0.00 50.00 100-000-110110 100-000-110110 Totals: Petty Cash - Front Desk Police 0.00 0.00 300.00 0.00 0.00 300.00 100-000-110112 100-000-110112 Totals: 0.00 50.00 0.00 0.00 50.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 1 Account Number Description 100-000-110113 Petty Cash - Public Works 100-000-110201 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 16564 193.82 0.00 16543 383.00 0.00 16584 3,050.00 0.00 16574 375.00 0.00 16566 16,738.39 0.00 16627 0.00 1,750.00 489,131.33 0.00 16611 1,685.00 0.00 16634 0.00 239.00 84,173.51 0.00 16662 1,016.74 0.00 16652 794.00 0.00 16663 2,225.00 0.00 16679 2,050.00 0.00 16683 4,398.66 9,182.83 0.00 0.00 16724 100.00 0.00 16728 804.00 0.00 16750 0.00 541.00 0.01 0.00 16757 625.00 0.00 0.00 100-000-110113 Totals: Equity In Pooled Cash 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 4/4/2012 PR CR 12 12 4/4/2012 CR 12 4/4/2012 4/4/2012 PR CR 12 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/6/2012 CR 12 4/9/2012 4/9/2012 AP CR 12 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 4/10/2012 AR CR 12 12 4/10/2012 CR 12 3 Fund balance entry for fund 100 # Cash Receipts Batch 50103-04-2012 7 Fund balance entry for fund 100 # Cash Receipts Batch 04002-04-2012 13 Fund balance entry for fund 100 # Cash Receipts Batch 02703-04-2012 14 Fund balance entry for fund 100 # Cash Receipts Batch 04003-04-2012 15 Fund balance entry for fund 100 # Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 20 Fund balance entry for fund 100 # Cash Receipts Batch 29040-04-2012 21 Fund balance entry for fund 100 # Cash Receipts Batch 29004-04-2012 23 Computer Checks Batch 2012 04 00034 31 Fund balance entry for fund 100 # Cash Receipts Batch 23004-04-2012 37 Fund balance entry for fund 100 # Cash Receipts Batch 50205-04-2012 40 Fund balance entry for fund 100 # Cash Receipts Batch 23005-04-2012 42 Fund balance entry for fund 100 # Cash Receipts Batch 02705-04-2012 47 Fund balance entry for fund 100 # Cash Receipts Batch 02706-04-2012 52 Void 53 Fund balance entry for fund 100 # Cash Receipts Batch 50006-04-2012 56 Fund balance entry for fund 100 # Cash Receipts Batch 02709-04-2012 57 Fund balance entry for fund 100 # Cash Receipts Batch 23006-04-2012 58 Fund balance entry for fund 100 60 Fund balance entry for fund 100 # Cash Receipts Batch 50010-04-2012 62 Fund balance entry for fund 100 # Cash Receipts Batch 02710-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 Page 2 Account Number Description 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 AP 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/13/2012 4/13/2012 AP CR 12 12 4/13/2012 CR 12 4/13/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 4/18/2012 4/18/2012 AR AR AR 12 12 12 Budget 63 Fund balance entry for fund 100 # 16734 Cash Receipts Batch 23010-04-2012 69 Fund balance entry for fund 100 # 16774 Cash Receipts Batch 50011-04-2012 73 Fund balance entry for fund 100 # 16779 Cash Receipts Batch 23011-04-2012 78 Fund balance entry for fund 100 # 16819 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 81 Fund balance entry for fund 100 Cash Receipts Batch 02712-04-2012 83 Fund balance entry for fund 100 Cash Receipts Batch 23012-04-2012 84 Fund balance entry for fund 100 Cash Receipts Batch 29012-04-2012 87 Void 88 Fund balance entry for fund 100 Cash Receipts Batch 50513-04-2012 93 Fund balance entry for fund 100 Cash Receipts Batch 23013-04-2012 94 Fund balance entry for fund 100 Cash Receipts Batch 25013-04-2012 96 Fund balance entry for fund 100 Cash Receipts Batch 50016-04-2012 98 Fund balance entry for fund 100 Cash Receipts Batch 23016-04-2012 99 Fund balance entry for fund 100 Cash Receipts Batch 02716-04-2012 109 Fund balance entry for fund 100 Cash Receipts Batch 23017-04-2012 110 Fund balance entry for fund 100 Cash Receipts Batch 25017-04-2012 111 Fund balance entry for fund 100 Cash Receipts Batch 50017-04-2012 114 Fund balance entry for fund 100 Cash Receipts Batch 29018-04-2012 115 Fund balance entry for fund 100 Cash Receipts Batch 50018-04-2012 116 Fund balance entry for fund 100 117 Fund balance entry for fund 100 118 Fund balance entry for fund 100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Debit This Period Credit This Period 368.00 0.00 4,344.27 0.00 250.00 0.00 1,859.99 0.00 0.00 341,638.95 # 16826 2,220.00 0.00 # 16784 423.00 0.00 # 16822 1,856.25 0.00 # 16856 1,004.47 10,877.91 0.00 0.00 # 16835 100.00 0.00 # 16865 50.00 0.00 # 16893 983,845.83 0.00 # 16882 85.00 0.00 # 16914 150.00 0.00 # 16935 128.00 0.00 # 16922 75.00 0.00 # 16926 3,579.01 0.00 # 16940 2,275.00 0.00 # 16960 19,105.87 0.00 0.00 0.00 0.00 62.75 200.00 65.75 Ending Balance Page 3 Account Number Description 4/18/2012 4/18/2012 PR CR 12 12 4/18/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/26/2012 AP 12 4/26/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 Budget 123 Computer Checks Batch 2012 04 00008 127 Fund balance entry for fund 100 # 16990 Cash Receipts Batch 23018-04-2012 128 Fund balance entry for fund 100 # 16983 Cash Receipts Batch 02718-04-2012 142 Fund balance entry for fund 100 # 17008 Cash Receipts Batch 02719-04-2012 143 Fund balance entry for fund 100 # 17011 Cash Receipts Batch 23019-04-2012 149 Fund balance entry for fund 100 # 17060 Cash Receipts Batch 50020-04-2012 154 Fund balance entry for fund 100 # 17068 Cash Receipts Batch 23020-04-2012 159 Fund balance entry for fund 100 # 17104 Cash Receipts Batch 50023-04-2012 163 Fund balance entry for fund 100 # 17123 Cash Receipts Batch 23023-04-2012 164 Fund balance entry for fund 100 # 17133 Cash Receipts Batch 02723-04-2012 168 Fund balance entry for fund 100 # 17140 Cash Receipts Batch 50024-04-2012 169 Fund balance entry for fund 100 # 17145 Cash Receipts Batch 23024-04-2012 178 Fund balance entry for fund 100 # 17155 Cash Receipts Batch 50025-04-2012 182 Fund balance entry for fund 100 # 17178 Cash Receipts Batch 02725-04-2012 183 Fund balance entry for fund 100 # 17157 Cash Receipts Batch 23025-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 190 Fund balance entry for fund 100 Cash Receipts Batch 29026-04-2012 192 Fund balance entry for fund 100 Cash Receipts Batch 02726-04-2012 193 Fund balance entry for fund 100 Cash Receipts Batch 23026-04-2012 198 Fund balance entry for fund 100 Cash Receipts Batch 50027-04-2012 199 Fund balance entry for fund 100 Cash Receipts Batch 02727-04-2012 200 Fund balance entry for fund 100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Debit This Period Credit This Period 0.00 310.00 481,380.94 0.00 3,010.00 0.00 2,600.00 0.00 1,250.00 0.00 38,333.40 0.00 100.00 0.00 195,866.66 0.00 602.00 0.00 7,540.00 0.00 2,850.00 0.00 201.00 0.00 268.20 0.00 7,445.00 0.00 585.00 0.00 0.00 59,978.48 # 17183 36,755.97 0.00 # 17245 4,185.00 0.00 # 17205 555.00 0.00 # 17260 5,536.59 0.00 # 17274 7,400.00 0.00 # 17280 335.00 0.00 Ending Balance Page 4 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL PR GL GL GL WO GL GL WO CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 PR GL GL GL GL 12 12 12 12 12 Budget Beginning Balance Cash Receipts Batch 23027-04-2012 205 Fund balance entry for fund 100 # 17281 Cash Receipts Batch 50030-04-2012 206 Fund balance entry for fund 100 # 17307 Cash Receipts Batch 50230-04-2012 210 Fund balance entry for fund 100 # 17322 Cash Receipts Batch 23030-04-2012 211 Fund balance entry for fund 100 # 17310 Cash Receipts Batch 25030-04-2012 220 Fund balance entry for fund 100 # 17394 Cash Receipts Batch 50402-04-2012 223 chamber dinner spouse/barra 230 march ams fees 237 chamber dinner spouse ticket/abel 245 cilco credit for 219 sabella/jan. service 247 nsf from jeff nizzia/liquor license 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 combine escrows, adj balance 269 monthly local gas tax split 269 monthly admin costs transfer 275 WO Dist Batch IC1 - 00008.04.2012 279 april office supplies 282 chg coding march hud work 283 WO Dist Batch WO3 - 00001.04.2012 285 Fund balance entry for fund 100 # 17788 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 100 # 17799 Cash Receipts Batch 50121-04-2012 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 290 corr receivable balance 292 b hill used vacation time for hlth prems 292 kief, weichel, miller, ghidina 1st two ins prems 293 airport postage/wings & wheels Debit This Period Credit This Period 16,721.70 0.00 124.01 0.00 225.00 0.00 10,475.00 0.00 177,000.00 0.00 25.00 0.00 25.00 132.00 0.00 112.95 0.00 0.00 0.00 23,609.77 0.00 115.80 0.00 0.00 3,043.64 0.00 94.55 0.00 0.00 150.00 0.00 479,297.49 1,040.00 22,611.35 0.00 19,512.16 0.00 3,041.50 26,264.51 0.00 2,867.18 0.00 0.00 0.00 0.00 0.00 51.30 57,134.83 1,071.00 4,955.41 4,746.56 0.00 Ending Balance 100-000-110201 Totals: Cash Drawer - Main Counter 0.00 0.00 18,486,191.73 1,629,006.21 2,076,551.08 18,038,646.86 100-000-110301 100-000-110301 Totals: Cash Drawer - Police Frnt Desk 0.00 0.00 400.00 0.00 0.00 400.00 100-000-110302 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 5 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-000-110302 Totals: Money Market 0.00 0.00 235.00 0.00 0.00 235.00 100-000-112500 100-000-112500 Totals: Iptip 0.00 0.00 0.00 0.00 0.00 0.00 100-000-115000 16894 0.00 696,000.00 16895 0.00 270,000.00 17079 0.00 125,000.00 17389 39,574.33 0.00 17389 85,710.71 0.00 17389 295,326.24 0.00 17389 401,034.73 0.00 17389 270,541.56 0.00 17389 176,599.42 0.00 17389 11.37 0.00 17394 0.00 177,000.00 4/16/2012 CR 12 4/16/2012 CR 12 4/23/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 96 IPTIP Trans General US BANK/4-11-12 # Cash Receipts Batch 50016-04-2012 96 IPTIP Trans General US BANK/4-10-12 # Cash Receipts Batch 50016-04-2012 159 IPTIP Trans General US BANK/4-19-12 # Cash Receipts Batch 50023-04-2012 219 IPTIP local use APRIL IPTIP # Cash Receipts Batch 50102-04-2012 219 Iptip Telecom Tax APRIL IPTIP # Cash Receipts Batch 50102-04-2012 219 Iptip Home rule sales tax APRIL IPTIP# Cash Receipts Batch 50102-04-2012 219 Rev-Sales APRIL IPTIP # Cash Receipts Batch 50102-04-2012 219 IPTIP PPRT APRIL IPTIP # Cash Receipts Batch 50102-04-2012 219 Iptip income tax APRIL IPTIP # Cash Receipts Batch 50102-04-2012 219 Iptip Interest APRIL IPTIP # Cash Receipts Batch 50102-04-2012 220 IPTIP Trans General IPTIP TRANSFER # Cash Receipts Batch 50402-04-2012 100-000-115000 Totals: Financial Investors Trust 0.00 0.00 246.27 1,268,798.36 1,268,000.00 1,044.63 100-000-117500 100-000-117500 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 100-000-120500 0.00 249,000.00 0.00 249,000.00 249,000.00 0.00 249,000.00 0.00 4/30/2012 GL 100-000-120600 4/30/2012 GL 100-000-120700 12 266 corr coding bank of india cd 100-000-120500 Totals: Certificates Of Deposit 12 0.00 0.00 249,000.00 266 corr coding bank of india cd 100-000-120600 Totals: Bonds GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 2,241,000.00 0.00 2,490,000.00 Page 6 Account Number 100-000-130100 Description 100-000-120700 Totals: Acccounts Receivable 4/3/2012 4/3/2012 4/3/2012 4/3/2012 AR AR AR CR 12 12 12 12 1 1 9 15 4/3/2012 CR 12 15 4/4/2012 4/6/2012 4/6/2012 4/6/2012 4/6/2012 4/9/2012 4/9/2012 AR AR AR AR AR AR CR 12 12 12 12 12 12 12 17 44 45 45 46 49 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/10/2012 4/13/2012 4/13/2012 4/13/2012 AR AR AR CR 12 12 12 12 58 86 86 88 4/13/2012 CR 12 88 4/13/2012 CR 12 88 AR Invoices 00001.04.2012 AR Invoices 00001.04.2012 AR Invoices 00005.04.2012 Parking Tickets Emma Zimmerman # 16549 Cash Receipts Batch 50003-04-2012 Sale Of Salt Groveland Township # 16595 Cash Receipts Batch 50003-04-2012 AR Invoices 00008.04.2012 AR Adjustments 00004.04.2012 AR Invoices 00010.04.2012 AR Invoices 00010.04.2012 AR Adjustments 00005.04.2012 AR Invoices 00012.04.2012 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 AR Adjustments 00008.04.2012 AR Invoices 00015.04.2012 AR Invoices 00015.04.2012 TPCC Acctg Services Tpcc # 16861 Cash Receipts Batch 50513-04-2012 Lien Filing & Release Fees 1900 Sierra# St 16862 Cash Receipts Batch 50513-04-2012 Property Clean Up Fees 1900 Sierra St# 16862 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 600,000.00 0.00 0.00 600,000.00 1,539.00 2,371.00 1,875.00 0.00 0.00 0.00 0.00 232.00 0.00 10,200.00 136.00 43.75 76.50 50.00 0.00 5,996.00 0.00 0.00 0.00 0.00 0.00 112.50 0.00 76.50 0.00 50.00 0.00 76.50 0.00 275.00 0.00 579.75 0.00 76.50 0.00 100.00 0.00 76.50 0.00 50.00 0.01 76.50 70.00 0.00 0.00 0.00 0.00 1,875.00 0.00 76.50 0.00 60.00 Page 7 Account Number Description 4/13/2012 CR 12 4/13/2012 CR 12 4/17/2012 4/17/2012 4/17/2012 AR AR CR 12 12 12 4/17/2012 CR 12 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/20/2012 4/20/2012 AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 4/20/2012 4/23/2012 AR AR CR 12 12 12 4/24/2012 4/24/2012 4/24/2012 AR AR CR 12 12 12 4/25/2012 4/25/2012 4/27/2012 AR AR CR 12 12 12 4/27/2012 CR 12 4/27/2012 CR 12 Cash Receipts Batch 50513-04-2012 88 Lien Filing & Release Fees 401 St. Julian # 16863 Cash Receipts Batch 50513-04-2012 88 Property Clean Up Fees 401 St. Julian # 16863 Cash Receipts Batch 50513-04-2012 101 AR Adjustments 00010.04.2012 105 AR Invoices 00021.04.2012 111 Food and Beverage Sonic Drive-In # 16932 Cash Receipts Batch 50017-04-2012 111 10% Penalty Food Beverage/Liquor Sonic # 16932 Drive-In Cash Receipts Batch 50017-04-2012 116 AR Adjustments 00013.04.2012 116 AR Adjustments 00013.04.2012 116 AR Adjustments 00013.04.2012 117 AR Adjustments 00014.04.2012 118 AR Adjustments 00015.04.2012 119 AR Adjustments 00016.04.2012 119 AR Adjustments 00016.04.2012 145 AR Invoices 00023.04.2012 146 AR Invoices 00025.04.2012 149 Reim Damaged City Property Tanya Heller # 17048 Cash Receipts Batch 50020-04-2012 149 Sale Of Salt Federal Correction Institution # 17058 Cash Receipts Batch 50020-04-2012 149 Street Openings Ameren/cilco # 17061 Cash Receipts Batch 50020-04-2012 150 AR Invoices 00027.04.2012 150 AR Invoices 00027.04.2012 159 Reim Damaged City Property ITV-3/Omnilec # 17085 Cash Receipts Batch 50023-04-2012 167 AR Adjustments 00025.04.2012 167 AR Adjustments 00025.04.2012 168 Sale Of Salt David Burling Excavating,#Inc.17147 Cash Receipts Batch 50024-04-2012 175 AR Adjustments 00026.04.2012 179 AR Invoices 00028.04.2012 198 Street Openings ITV-3/Omnilec # 17266 Cash Receipts Batch 50027-04-2012 198 Street Openings ITV-3/Omnilec # 17266 Cash Receipts Batch 50027-04-2012 198 Parking Tickets Emma Zimmerman # 17267 Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 76.50 0.00 70.00 0.00 504.00 0.00 11,162.13 0.00 5.46 0.00 0.75 0.00 62.75 62.75 200.00 65.75 0.00 0.00 200.00 3,843.71 0.00 62.75 0.00 0.00 0.00 0.00 76.50 40.00 0.00 0.00 5,996.00 0.00 810.00 0.00 1,539.00 76.50 953.50 0.00 0.00 0.00 4,155.25 5,158.00 5,158.00 0.00 0.00 0.00 2,700.00 0.00 68.45 0.00 76.00 0.00 540.00 0.00 720.00 0.00 112.00 Ending Balance Page 8 Account Number Description 4/27/2012 CR 12 4/30/2012 4/30/2012 AR CR 12 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 198 Parking Tickets Emma Zimmerman # 17267 Cash Receipts Batch 50027-04-2012 204 AR Invoices 00030.04.2012 205 Street Openings Illinois American Water # 17283 Cash Receipts Batch 50030-04-2012 205 Street Openings Geirstner Electric # 17298 Cash Receipts Batch 50030-04-2012 205 Reim Damaged City Property Doug Rader # 17299 Cash Receipts Batch 50030-04-2012 205 Reim Damaged City Property Matthew#Green 17302 Cash Receipts Batch 50030-04-2012 212 Credit Fee 212 Credit Fee 212 Credit Fee 212 Food and Beverage 212 Credit Fee 212 Credit Fee 212 Food and Beverage 212 Credit Fee 212 Credit Fee 212 Credit Fee 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 136.00 5,348.00 0.00 0.00 2,371.00 0.00 504.00 0.00 3,843.71 0.00 5,348.00 0.05 0.12 0.26 0.00 0.07 0.06 0.00 0.30 0.46 0.16 0.48 0.00 0.00 0.10 0.00 0.00 0.00 0.24 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.08 0.00 0.00 0.30 0.00 0.00 0.00 0.00 0.34 0.10 0.00 0.02 0.26 0.25 0.00 0.12 0.01 0.33 0.20 0.26 0.18 0.30 0.29 0.20 0.25 0.05 0.14 Ending Balance Page 9 Account Number 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT GL Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 290 Budget Beginning Balance Credit Fee Credit Fee Credit Fee Credit Fee Package Liquor Package Liquor Credit Fee Gas Tax Credit Fee Credit Fee Food and Beverage Food and Beverage Food and Beverage Gas Tax Credit Fee Credit Fee corr receivable balance Debit This Period Credit This Period 0.22 0.06 0.38 0.11 0.00 0.00 0.24 0.00 0.01 0.01 0.00 0.00 0.00 0.00 0.04 0.12 1,071.00 0.00 0.00 0.00 0.00 0.08 0.20 0.00 0.16 0.00 0.00 0.06 0.07 0.26 0.44 0.00 0.00 0.00 Ending Balance 100-000-130100 Totals: Grant Receivable 0.00 0.00 623,156.03 35,009.66 54,266.75 603,898.94 100-000-130300 100-000-130300 Totals: Rental Income Receivable 0.00 0.00 0.00 0.00 0.00 0.00 100-000-130400 750.00 400.00 0.00 0.00 0.00 833.33 0.00 400.00 0.00 750.00 0.00 833.33 4/3/2012 4/3/2012 4/5/2012 AR AR CR 12 12 12 4/11/2012 CR 12 4/13/2012 CR 12 4/30/2012 CR 12 8 AR Invoices 00004.04.2012 8 AR Invoices 00004.04.2012 37 Property Rental UGL SERVICES # 16637 Cash Receipts Batch 50205-04-2012 69 Property Rental Rodrigo & Amy Cossieon # 16766 Cash Receipts Batch 50011-04-2012 88 Property Rental Tpcc # 16860 Cash Receipts Batch 50513-04-2012 205 Property Rental UGL SERVICES # 17300 Cash Receipts Batch 50030-04-2012 100-000-130400 Totals: Property Taxes Receivable 0.00 0.00 11,766.74 1,150.00 2,816.66 10,100.08 100-000-130500 100-000-130500 Totals: Other Taxes Receivable 0.00 0.00 1,256,007.00 0.00 0.00 1,256,007.00 100-000-130600 100-000-130600 Totals: 0.00 3,937,777.87 0.00 0.00 3,937,777.87 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 10 Account Number Description 100-000-131000 Employee Receivables 4/5/2012 CR 12 4/20/2012 CR 12 100-000-132000 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 Beginning Balance 3 Food and Beverage Ol Dad's # 16564 Cash Receipts Batch 50103-04-2012 15 10% Penalty Food Beverage/Liquor Ol#Dad's 16565 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Sheridan # 16591 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Court # 16592 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Marathon Niksa Oil Inc.# 16596 Cash Receipts Batch 50003-04-2012 15 Gas Tax 8th St. Marathon Linik Corp # 16597 Cash Receipts Batch 50003-04-2012 53 Food and Beverage LaGondola Spaghetti # House, 16706 Inc Cash Receipts Batch 50006-04-2012 53 Food and Beverage Double D's Ice Creme # 16707 Cash Receipts Batch 50006-04-2012 60 Food and Beverage Twisted Spoke Saloon # 16750 Inc. Cash Receipts Batch 50010-04-2012 69 Food and Beverage Arby's Roast Beef #Restaurant 16770 Cash Receipts Batch 50011-04-2012 96 Food and Beverage Pekin Park District# 16885 Cash Receipts Batch 50016-04-2012 96 Food and Beverage China King # 16890 Cash Receipts Batch 50016-04-2012 111 Food and Beverage Pekin Family Restaurant # 16925 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Hallmark House Nursing # 16926 Center Cash Receipts Batch 50017-04-2012 115 Food and Beverage McDonald's # 16959 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Lee's Family Restaurant # 16962 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Roadhouse Bar & Grill, # 16963 Inc Cash Receipts Batch 50018-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 0.00 173.41 0.00 173.41 0.00 346.82 19.38 0.00 0.00 19.38 0.32 0.00 0.64 0.00 0.00 0.32 0.00 0.44 0.00 0.34 0.63 0.00 0.00 0.52 0.00 0.02 0.42 0.00 0.08 0.00 0.00 0.10 0.47 0.00 0.95 0.00 0.00 0.32 0.00 0.16 Ending Balance 0.00 37 Computer Loans payments PAYROLL #- 4/5/12 16638 Cash Receipts Batch 50205-04-2012 149 Computer Loans payments PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 100-000-131000 Totals: Other Receivables 4/3/2012 Budget 0.00 0.00 3,828.83 3,482.01 Page 11 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 115 Food and Beverage Subway on 8th # 16964 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Subway on Court # 16965 Cash Receipts Batch 50018-04-2012 115 Gas Tax Freedom Oil Company # 16967 Cash Receipts Batch 50018-04-2012 149 Food and Beverage American Legion Post # 17012 44 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Cobbler Corner # 17013 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Domino Pizza # 17014 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Ernie's Family Restaurant # 17015 Cash Receipts Batch 50020-04-2012 149 Food and Beverage CJ's Cafe # 17017 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Oriental Palace # 17024 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Amvets # 17027 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Our Inn Place # 17028 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Monical Pizza Corporation # 17029 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's of East Peoria # 17031 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Boat Club # 17032 Cash Receipts Batch 50020-04-2012 149 Package Liquor Broadway Liquor # 17033 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Andy's Diner # 17034 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Koch Street Bar &#Grill, 17035 Inc. Cash Receipts Batch 50020-04-2012 149 Food and Beverage Hacienda Fuentes # 17036 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's Dome # 17040 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Courtyard Cafe # 17041 Cash Receipts Batch 50020-04-2012 149 10% Penalty Food Beverage/Liquor Courtyard # 17042 Cafe Cash Receipts Batch 50020-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.25 0.44 0.00 0.02 0.00 0.42 0.00 0.00 0.96 0.06 0.00 0.09 0.00 0.00 0.22 0.00 0.01 0.00 0.49 0.00 0.37 0.00 0.25 0.18 0.00 0.79 0.00 0.00 0.48 0.00 0.32 0.30 0.00 0.02 0.00 0.00 0.38 0.30 0.00 0.00 3.77 Ending Balance Page 12 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 149 10% Penalty Food Beverage/Liquor Goodfella's # 17055Pub & Pizza Cash Receipts Batch 50020-04-2012 149 Food and Beverage Yesterday's Bar & #Grill 17056 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Moose Lodge # #916 17063 Cash Receipts Batch 50020-04-2012 159 Food and Beverage Camille's # 17072 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Rhythm & Brews # 17073 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Goodfella's Pub & #Pizza 17086 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Boardwalk, Inc. # 17087 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Pottsie's Place # 17092 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Spudnut, Inc. # 17093 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Missy's Corner Cafe # 17096 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Kouri's Pub # 17097 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Villas Michoacan Restaurante # 17098 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jimmy John's # 17099 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Mike's Knot Just Ribs, # 17101 Inc. Cash Receipts Batch 50023-04-2012 159 Food and Beverage Instant Replay # 17103 Cash Receipts Batch 50023-04-2012 159 Package Liquor Ace Liquor # 17104 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Quiznos #9037 # 17105 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sweet Spot # 17107 Cash Receipts Batch 50023-04-2012 159 Food and Beverage McCritter's # 17108 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sonic Drive-In # 17114 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jac's Doghouse # 17115 Cash Receipts Batch 50023-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 98.32 0.44 0.00 0.20 0.00 0.00 0.06 0.00 0.26 0.00 0.30 0.00 0.50 0.10 0.00 0.00 0.19 0.00 0.13 0.00 0.01 0.00 0.80 0.00 0.23 0.00 0.10 0.00 0.17 0.27 0.00 0.00 0.01 0.19 0.00 0.00 0.61 0.00 0.59 0.22 0.00 Ending Balance Page 13 Account Number Description 4/23/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 159 Food and Beverage Hole in the Wall, Inc. # 17116 Cash Receipts Batch 50023-04-2012 178 Food and Beverage Knights of Columbus # 17155 Cash Receipts Batch 50025-04-2012 198 Food and Beverage Knights of Columbus # 17259 Cash Receipts Batch 50027-04-2012 198 10% Penalty Food Beverage/Liquor Knights # 17259 of Columbus Cash Receipts Batch 50027-04-2012 205 Food and Beverage Ol Dad's # 17292 Cash Receipts Batch 50030-04-2012 205 Food and Beverage 8th Street Station # 17293 Cash Receipts Batch 50030-04-2012 206 10% Penalty Food Beverage/Liquor Ol#Dad's 17303 Cash Receipts Batch 50230-04-2012 206 Food and Beverage 8th Street Station # 17305 Cash Receipts Batch 50230-04-2012 206 10% Penalty Food Beverage/Liquor 8th# Street 17305 Station Cash Receipts Batch 50230-04-2012 206 10% Penalty Food Beverage/Liquor 8th# Street 17305 Station Cash Receipts Batch 50230-04-2012 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Food and Beverage 212 Credit Fee 212 Food and Beverage 212 Food and Beverage 212 Credit Fee 212 Credit Fee 212 Credit Fee 212 Credit Fee GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.48 0.00 24.03 0.00 0.00 2.30 0.00 21.73 18.02 0.00 17.23 0.00 0.00 18.02 0.00 3.53 0.00 35.27 0.00 17.23 0.00 0.37 0.00 0.32 0.00 0.02 0.00 0.00 0.08 0.00 0.30 0.00 0.00 0.00 0.10 0.00 0.00 0.11 0.23 0.02 0.26 0.42 0.00 0.32 0.00 0.02 0.00 0.12 0.26 0.00 0.30 0.00 0.07 0.06 0.10 0.00 0.62 0.48 0.00 0.00 0.00 0.00 Ending Balance Page 14 Account Number 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT BT Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 212 Credit Fee Food and Beverage Credit Fee Food and Beverage Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Credit Fee Food and Beverage Credit Fee Credit Fee Credit Fee Food and Beverage Credit Fee Food and Beverage Credit Fee Food and Beverage Credit Fee Credit Fee Credit Fee Credit Fee Food and Beverage Food and Beverage Package Liquor Credit Fee Credit Fee Credit Fee Gas Tax Credit Fee Gas Tax Credit Fee Credit Fee Credit Fee Credit Fee Food and Beverage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.25 0.00 0.07 0.00 0.71 0.12 0.01 0.10 0.23 0.20 0.26 0.18 0.02 0.28 0.00 0.20 0.29 0.20 0.00 0.10 0.00 0.16 0.00 0.08 0.25 0.05 0.14 0.00 0.00 0.00 0.16 0.08 0.20 0.00 0.16 0.00 0.06 0.07 0.26 0.44 0.00 0.00 0.07 0.00 0.95 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.20 0.00 0.00 0.00 0.10 0.00 0.16 0.00 0.08 0.00 0.00 0.00 0.00 0.22 0.44 0.27 0.00 0.00 0.00 0.24 0.00 0.02 0.00 0.00 0.00 0.00 0.16 Ending Balance Page 15 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-000-132000 Totals: Due From Sewage Disposal 0.00 0.00 168.04 93.83 235.14 26.73 100-000-140231 100-000-140231 Totals: Due From Hud 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140261 100-000-140261 Totals: Due From Tif CBD 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140270 100-000-140270 Totals: Due From Pekin Airport 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140525 100-000-140525 Totals: Due From Economic Develop 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140570 100-000-140570 Totals: Due From Employee Benefit 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140695 100-000-140695 Totals: Due From Tpccc 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140900 100-000-140900 Totals: Due From Municipal Librar 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140924 100-000-140924 Totals: Due From Police Pension 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140941 100-000-140941 Totals: Due From Fire Pension 0.00 0.00 0.00 0.00 0.00 0.00 100-000-140944 100-000-140944 Totals: Prepaid Expense 0.00 0.00 0.00 0.00 0.00 0.00 100-000-180000 170,982.00 0.00 23,086.00 0.00 4/12/2012 AP 12 4/2/2012 GL 12 79 10642 - USE #10776 INSTEAD TPCCC Ck# 106740 communications service may-july 2012 - police dept 250 prepaid expense transfer to tpccc 100-000-180000 Totals: 100-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 194,068.00 0.00 194,068.00 0.00 27,411,552.51 3,377,126.06 3,651,216.45 27,137,462.12 Page 16 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 27,411,552.51 3,377,126.06 3,651,216.45 27,137,462.12 0.00 1,781.27 ASSETS Totals: LIABILITIES 100-000-211000 4/30/2012 PR Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-000-211000 Totals: Accrued Accounts Payables 0.00 0.00 0.00 0.00 1,781.27 -1,781.27 100-000-211900 100-000-211900 Totals: Accounts Payable 0.00 0.00 0.00 0.00 0.00 0.00 100-000-219000 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 341,638.95 341,638.95 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 59,978.48 59,978.48 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 105,335.23 100-000-219000 Totals: Judgement Payable 0.00 0.00 0.00 401,617.43 506,952.66 -105,335.23 100-000-219001 100-000-219001 Totals: Deferred Revenues End-of- 0.00 0.00 0.00 0.00 0.00 0.00 100-000-219300 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 76.50 50.00 76.50 70.00 200.00 76.50 953.50 217,305.79 4/6/2012 4/6/2012 4/13/2012 4/13/2012 4/18/2012 4/20/2012 4/20/2012 4/30/2012 AR AR AR AR AR AR AR GL 12 12 12 12 12 12 12 12 45 45 86 86 145 150 150 290 AR Invoices 00010.04.2012 AR Invoices 00010.04.2012 AR Invoices 00015.04.2012 AR Invoices 00015.04.2012 AR Invoices 00023.04.2012 AR Invoices 00027.04.2012 AR Invoices 00027.04.2012 re classify old weed liens 100-000-219300 Totals: Deferred Tax Revenue 0.00 0.00 -307,809.05 0.00 218,808.79 -526,617.84 100-000-219400 100-000-219400 Totals: Deferred Interest Earning 0.00 0.00 -1,256,007.00 0.00 0.00 -1,256,007.00 100-000-219500 100-000-219500 Totals: Seizures/Forfeitures (police) 0.00 0.00 0.00 0.00 0.00 0.00 100-000-219900 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 17 Account Number 4/30/2012 GL Description 12 Budget Beginning Balance 292 voided two forfeiture checks Debit This Period Credit This Period 158.00 0.00 Ending Balance 100-000-219900 Totals: Due To Tourism 0.00 0.00 -3,251.58 158.00 0.00 -3,093.58 100-000-220208 100-000-220208 Totals: Due To Sewage Disposal 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220231 100-000-220231 Totals: Due To Hud 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220261 100-000-220261 Totals: Due To Tif 1 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220270 100-000-220270 Totals: Due To School Bus 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220501 100-000-220501 Totals: Due To Employee Benefit 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220695 100-000-220695 Totals: Due To Vehicle Maintenanc 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220699 100-000-220699 Totals: Due To Tpccc 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220900 100-000-220900 Totals: Due To Municipal Library 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220924 100-000-220924 Totals: Due To Police Pension 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220941 100-000-220941 Totals: Due To Firemen's Pension 0.00 0.00 0.00 0.00 0.00 0.00 100-000-220944 100-000-220944 Totals: Imf Escrow 0.00 0.00 0.00 0.00 0.00 0.00 100-000-235200 100-000-235200 Totals: Contractor Escrow Account 0.00 0.00 0.00 0.00 0.00 0.00 100-000-235500 0.00 150.00 4/3/2012 CR 12 14 Escrow Accts Jackson's Htg & Air Cond # Attn: 16567Michael T Jackson GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 18 Account Number Description 4/9/2012 CR 12 4/9/2012 CR 12 4/11/2012 CR 12 4/19/2012 CR 12 4/27/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL 12 12 12 12 12 Budget Beginning Balance Cash Receipts Batch 04003-04-2012 57 Escrow Accts Tri-County Irrigation & #Plbg16674 Cash Receipts Batch 23006-04-2012 57 Escrow Accts Covenant Heating & Air#LLC 16675 Cash Receipts Batch 23006-04-2012 73 Escrow Accts Ralph Holland Plumbing# 16778 Cash Receipts Batch 23011-04-2012 143 Escrow Accts Greg Phelps Plumbing # 16999 Cash Receipts Batch 23019-04-2012 193 Escrow Accts City Mechanicals & Servic # Attn: 17187 Jess Burns Cash Receipts Batch 23026-04-2012 262 electrical permits 262 plumbing permits 262 hvac permits 263 plumbing permit 266 combine escrows, adj balance Debit This Period Credit This Period 0.00 400.00 0.00 300.00 0.00 100.00 0.00 20.00 0.00 300.00 117.00 363.00 320.00 10.00 913.00 0.00 0.00 0.00 0.00 0.00 Ending Balance 100-000-235500 Totals: Bonds Payable-Herget 2004 0.00 0.00 -4,707.50 1,723.00 1,270.00 -4,254.50 100-000-245000 100-000-245000 Totals: Series 2005 Go Bond/Morton 0.00 0.00 0.00 0.00 0.00 0.00 100-000-245001 100-000-245001 Totals: Prorated Real Estate Tax 0.00 0.00 0.00 0.00 0.00 0.00 100-000-251000 100-000-251000 Totals: Reserve For Encumbrances 0.00 0.00 0.00 0.00 0.00 0.00 100-000-290300 100-000-290300 Totals: City Contributed Capital 0.00 0.00 0.00 0.00 0.00 0.00 100-000-291000 100-000-291000 Totals: State Contributed Capital 0.00 0.00 0.00 0.00 0.00 0.00 100-000-292000 100-000-292000 Totals: Federal Contributed Capit 0.00 0.00 0.00 0.00 0.00 0.00 100-000-293000 100-000-293000 Totals: Residual Equity Transfer 0.00 0.00 0.00 0.00 0.00 0.00 100-000-294000 100-000-294000 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 19 Account Number Description 100-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -1,571,775.13 403,498.43 728,812.72 -1,897,089.42 Page 20 Account Number Description LIABILITIES Totals: FUND BALANCE 100-000-390100 4/30/2012 GL 100-000-390101 Fund Balance Beg Year 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -1,571,775.13 403,498.43 728,812.72 -1,897,089.42 217,802.29 0.00 0.00 290 re classify old weed liens 100-000-390100 Totals: Prior Years Correction 0.00 0.00 -24,220,656.67 217,802.29 0.00 -24,002,854.38 100-000-390101 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -24,220,656.67 217,802.29 0.00 -24,002,854.38 100-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 21 Account Number Description FUND BALANCE Totals: REVENUE 100-003 100-003-499800 Miscellaneous Receipts 100-003-499800 Totals: 100-003 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -24,220,656.67 217,802.29 0.00 -24,002,854.38 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 22 Account Number Description 100-004 100-004-420100 Liquor Licenses 4/3/2012 CR 12 4/3/2012 CR 12 4/5/2012 CR 12 4/6/2012 CR 12 4/6/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/19/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 13 Liquor License Renewals The Boardwalk # James 16581Shaw Cash Receipts Batch 02703-04-2012 13 Liquor License Renewals Kroger Limited # J-923 16582 Cash Receipts Batch 02703-04-2012 42 Liquor License Renewals Sunset Lanes,#Inc16665 James Keith Cash Receipts Batch 02705-04-2012 47 Liquor License Renewals Tasty Garden,# Inc. 16678 Oriental Palace Cash Receipts Batch 02706-04-2012 47 Liquor License Renewals Beck Oil Co.# 16679 Cash Receipts Batch 02706-04-2012 81 Liquor License Renewals American Legion # 16827 Post 44 Steven Saal Cash Receipts Batch 02712-04-2012 81 Liquor License Renewals Schnuck Market, # 16828 Inc. Cash Receipts Batch 02712-04-2012 128 Liquor License Renewals Jinyan Chen Ginger # 16979 Asian Bistro Cash Receipts Batch 02718-04-2012 128 Liquor License Renewals NFI Niemann#Foods 16980 Food Depot #149 Cash Receipts Batch 02718-04-2012 142 Liquor License Renewals Double G Enterprises # 17009Mike Gardner Cash Receipts Batch 02719-04-2012 164 Liquor License Renewals Pekin Moose #Lodge 17131 916 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Fraternal Order # of17132 Eagles Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Pekin Park District # 17135 Steve Funk Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals AppleBee's # 17136 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Hacienda Fuentes # 17137 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Avanti's Ristorante # 17138 Albert Zeller Cash Receipts Batch 02723-04-2012 182 Liquor License Renewals Pekin Investments # 17161 LLC Holiday Inn Express Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals CDZ, Inc. Goodfella's # 17165Pub & Pizza Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals Dangi, Ltd McCritters # 17173 Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals Shelie Dee, Inc. # Friends 17175 Tap Cash Receipts Batch 02725-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 800.00 0.00 1,200.00 0.00 500.00 0.00 1,200.00 0.00 800.00 0.00 1,200.00 0.00 2,400.00 0.00 500.00 0.00 500.00 0.00 1,600.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 1,300.00 0.00 1,300.00 0.00 1,200.00 Ending Balance 58,000.00 Page 23 Account Number Description 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-004-420200 CR 12 4/3/2012 CR 12 4/5/2012 CR 12 4/6/2012 CR 12 Beginning Balance 182 Liquor License Renewals Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 192 Liquor License Renewals Broadway Liquor # 17244 Nick Filarski Cash Receipts Batch 02726-04-2012 192 Liquor License Renewals Koch Street Bar # & 17245 Grill Dashmir Besimi Cash Receipts Batch 02726-04-2012 192 Liquor License Renewals Fiesta Ranchera # Juan 17246 Leon Cash Receipts Batch 02726-04-2012 199 Liquor License Renewals T & K Brawner, # 17262 LLC Kathy Brawner Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals Columbus Club # Knights 17271 of Columbus Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals Pekin Amvets# Post 17272 235 Lowell Ely Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals JJ Kou, Inc Kouri's # 17273 Pub Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals Purple Frog, Inc. # 17274 Pottsie's Place Cash Receipts Batch 02727-04-2012 211 Liquor License Renewals Kep Gresham#AGR 17291 Group, LLC Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Jac's Doghouse, # Inc 17312 Aaron Rogers Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Quick Pic Foods # 17313 Dave Maloney Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Geier Corporation # 17324 DBA Roxy's Lanes Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Cathy Espinoza # 17326 DBA Dillerwood Ltd Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Avanti's Dome # LLC 17330 Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Avanti's Dome # LLC 17331 Cash Receipts Batch 25030-04-2012 100-004-420100 Totals: Cigarette Licenses 4/3/2012 Budget Var: -9,400.00 13 Cigarette License The Boardwalk James# Shaw 16581 Cash Receipts Batch 02703-04-2012 13 Cigarette License Kroger Limited J-923# 16582 Cash Receipts Batch 02703-04-2012 42 Cigarette License Family Dollar 2 Pekin# locations 16666 Cash Receipts Batch 02705-04-2012 47 Cigarette License Beck Oil Co. # 16679 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 58,000.00 2,000.00 -26,450.00 Debit This Period Credit This Period 0.00 550.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 500.00 0.00 500.00 0.00 1,300.00 0.00 1,300.00 0.00 2,100.00 0.00 1,300.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 800.00 0.00 1,300.00 0.00 40,950.00 0.00 50.00 0.00 100.00 0.00 100.00 0.00 50.00 Ending Balance -67,400.00 Page 24 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/18/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Cash Receipts Batch 02706-04-2012 81 Cigarette License Schnuck Market, Inc.# 16828 Cash Receipts Batch 02712-04-2012 81 Cigarette License Pekin Gas # 16829 Cash Receipts Batch 02712-04-2012 81 Cigarette License Pekin Gas # 16830 Cash Receipts Batch 02712-04-2012 99 Cigarette License Thornton's Gas # 16912 Cash Receipts Batch 02716-04-2012 99 Cigarette License Kaizen Food & Gas # 16913 Cash Receipts Batch 02716-04-2012 99 Cigarette License Mac's Convenience Stores # 16914 Cash Receipts Batch 02716-04-2012 128 Cigarette License NFI Niemann Foods Food # 16980 Depot #149 Cash Receipts Batch 02718-04-2012 142 Cigarette License Double G Enterprises#Mike 17009 Gardner Cash Receipts Batch 02719-04-2012 142 Cigarette License Bond Drug Company#Walgreen's 17010 Cash Receipts Batch 02719-04-2012 164 Cigarette License Duffy & Associates Discount # 17129Tobacco Cash Receipts Batch 02723-04-2012 164 Cigarette License Freedom Oil # 17130 Cash Receipts Batch 02723-04-2012 182 Cigarette License Smoker's Paradise # 17170 Cash Receipts Batch 02725-04-2012 182 Cigarette License Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 182 Cigarette License Uselton Oil Co Debbie # Uselton 17179 Cash Receipts Batch 02725-04-2012 192 Cigarette License Broadway Liquor Nick # Filarski 17244 Cash Receipts Batch 02726-04-2012 192 Cigarette License Koch Street Bar & Grill # Dashmir 17245 Besimi Cash Receipts Batch 02726-04-2012 192 Cigarette License Harpers # 17247 Cash Receipts Batch 02726-04-2012 192 Cigarette License Highland Park CVS CVS # 17249 Pekin Cash Receipts Batch 02726-04-2012 199 Cigarette License Pekin Amvets Post 235 # Lowell 17272 Ely Cash Receipts Batch 02727-04-2012 211 Cigarette License Illinois Pawn & Jewelry # Todd 17290Marquardt Cash Receipts Batch 25030-04-2012 211 Cigarette License Quick Pic Foods Dave # Maloney 17313 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 100.00 0.00 50.00 0.00 100.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 150.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 40.00 0.00 50.00 Ending Balance Page 25 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 100-004-420400 CR 12 4/12/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 100-004-420600 4/30/2012 CR Cash Receipts Batch 25030-04-2012 211 Cigarette License Niksa Oil Inc Cash Receipts Batch 25030-04-2012 211 Cigarette License Linik Corp Cash Receipts Batch 25030-04-2012 100-004-420200 Totals: Juke Box Licenses 4/3/2012 Beginning Balance Credit This Period 17328 0.00 50.00 # 17329 0.00 50.00 0.00 1,640.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 350.00 0.00 10.00 Var: -490.00 Var: 0.00 211 Auctioneer License Illinois Pawn & Jewelry # 17290 Todd Marquardt Cash Receipts Batch 25030-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period # 2,000.00 700.00 -850.00 13 Juke Box License The Boardwalk James# Shaw 16581 Cash Receipts Batch 02703-04-2012 81 Juke Box License American Legion Post # 4416827 Steven Saal Cash Receipts Batch 02712-04-2012 164 Juke Box License Pekin Moose Lodge 916 # 17131 Cash Receipts Batch 02723-04-2012 164 Juke Box License Fraternal Order of Eagles # 17132 Cash Receipts Batch 02723-04-2012 182 Juke Box License CDZ, Inc. Goodfella's# Pub 17165 & Pizza Cash Receipts Batch 02725-04-2012 182 Juke Box License Dangi, Ltd McCritters # 17173 Cash Receipts Batch 02725-04-2012 182 Juke Box License Shelie Dee, Inc. Friends # Tap 17175 Cash Receipts Batch 02725-04-2012 182 Juke Box License Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 192 Juke Box License Fiesta Ranchera Juan#Leon 17246 Cash Receipts Batch 02726-04-2012 199 Juke Box License T & K Brawner, LLC# Kathy 17262 Brawner Cash Receipts Batch 02727-04-2012 199 Juke Box License Roadhouse Bar & Grill # Crystal 17263 Rife Cash Receipts Batch 02727-04-2012 199 Juke Box License Pekin Amvets Post 235 # Lowell 17272 Ely Cash Receipts Batch 02727-04-2012 199 Juke Box License Purple Frog, Inc. Pottsie's # 17274 Place Cash Receipts Batch 02727-04-2012 211 Juke Box License Cathy Espinoza DBA # Dillerwood 17326 Ltd Cash Receipts Batch 25030-04-2012 100-004-420400 Totals: Auctioneer Licenses 12 Budget 700.00 50.00 -350.00 Ending Balance -2,490.00 -700.00 Page 26 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-004-420600 Totals: Peddler Licenses Var: 40.00 50.00 300.00 0.00 0.00 10.00 -10.00 100-004-421100 100-004-421100 Totals: Transient Merchant Licens Var: -100.00 300.00 400.00 -400.00 0.00 0.00 -400.00 100-004-421300 0.00 50.00 0.00 50.00 0.00 200.00 0.00 50.00 0.00 175.00 0.00 100.00 0.00 450.00 0.00 300.00 0.00 400.00 0.00 225.00 0.00 200.00 0.00 200.00 0.00 275.00 0.00 200.00 0.00 25.00 0.00 150.00 0.00 1,375.00 0.00 150.00 4/19/2012 CR 100-004-421400 12 142 Transient Merchant Lic Robert Birdsell# Cash Receipts Batch 02719-04-2012 17008 100-004-421300 Totals: Var: 200.00 Mechanical Amusement Mach 4/3/2012 CR 12 4/3/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 13 Mechanical Amusement Lic The Boardwalk # 16581 James Shaw Cash Receipts Batch 02703-04-2012 13 Mechanical Amusement Lic Kroger Limited # 16582 J-923 Cash Receipts Batch 02703-04-2012 81 Mechanical Amusement Lic American #Legion 16827 Post 44 Steven Saal Cash Receipts Batch 02712-04-2012 128 Mechanical Amusement Lic NFI Niemann # 16980 Foods Food Depot #149 Cash Receipts Batch 02718-04-2012 164 Mechanical Amusement Lic Pekin Moose # Lodge 17131 916 Cash Receipts Batch 02723-04-2012 164 Mechanical Amusement Lic Fraternal Order # 17132 of Eagles Cash Receipts Batch 02723-04-2012 182 Mechanical Amusement Lic CDZ, Inc. #Goodfella's 17165 Pub & Pizza Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Dangi, Ltd#McCritters 17173 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Shelie Dee,# Inc. 17175 Friends Tap Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Pekin Boat#Club 17178 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Uselton Oil# Co17179 Debbie Uselton Cash Receipts Batch 02725-04-2012 192 Mechanical Amusement Lic Koch Street # Bar 17245 & Grill Dashmir Besimi Cash Receipts Batch 02726-04-2012 192 Mechanical Amusement Lic Fiesta Ranchera # 17246 Juan Leon Cash Receipts Batch 02726-04-2012 199 Mechanical Amusement Lic T & K Brawner, # 17262 LLC Kathy Brawner Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Roadhouse#Bar17263 & Grill Crystal Rife Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Columbus #Club 17271 Knights of Columbus GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 400.00 6,500.00 -150.00 -200.00 Page 27 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-004-421600 CR 12 4/13/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-004-421700 CR 12 4/18/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 Var: -2,800.00 6,500.00 500.00 -4,275.00 81 Second Hand Dealer/Pawnsh Military Uniform # 16831 Supply Alan McLouth Cash Receipts Batch 02712-04-2012 94 Second Hand Dealer/Pawnsh Grandpa Bait # 16865 & Bow Ricky Whitley Cash Receipts Batch 25013-04-2012 211 Second Hand Dealer/Pawnsh Treasures#& More 17289Dawn Riley Cash Receipts Batch 25030-04-2012 211 Second Hand Dealer/Pawnsh Amanda Rogy # 17325 DBA Amanda's Closet Cash Receipts Batch 25030-04-2012 211 Second Hand Dealer/Pawnsh Penny Wilson # 17332 DBA AJ's Resell Cash Receipts Batch 25030-04-2012 100-004-421600 Totals: Raffle License 4/12/2012 Beginning Balance Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Pekin Amvets # 17272 Post 235 Lowell Ely Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Purple Frog, # Inc. 17274 Pottsie's Place Cash Receipts Batch 02727-04-2012 211 Mechanical Amusement Lic Kep Gresham # 17291 AGR Group, LLC Cash Receipts Batch 25030-04-2012 211 Mechanical Amusement Lic Cathy Espinoza # 17326 DBA Dillerwood Ltd Cash Receipts Batch 25030-04-2012 100-004-421400 Totals: Secondhand Dlr/Pawnbroker 4/12/2012 Budget Var: -250.00 81 Raffle License Boy N Girls Club John Denning # 16826 Cash Receipts Batch 02712-04-2012 128 Raffle License CB Smith PTA # 16982 Cash Receipts Batch 02718-04-2012 164 Raffle License Pekin Moose Lodge 916# 17131 Cash Receipts Batch 02723-04-2012 164 Raffle License Fraternal Order of Eagles # 17132 Cash Receipts Batch 02723-04-2012 182 Raffle License St. Joseph School Shannon # Rogers 17168 Cash Receipts Batch 02725-04-2012 192 Raffle License Pekin Ambuc's # 17248 Cash Receipts Batch 02726-04-2012 199 Raffle License Willow School PTA # 17268 Cash Receipts Batch 02727-04-2012 199 Raffle License Columbus Club Knights#of Columbus 17271 Cash Receipts Batch 02727-04-2012 199 Raffle License Pekin Amvets Post 235 Lowell # 17272 Ely GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 500.00 800.00 -500.00 Debit This Period Credit This Period 0.00 275.00 0.00 125.00 0.00 25.00 0.00 125.00 0.00 5,025.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 250.00 0.00 120.00 0.00 10.00 0.00 120.00 0.00 120.00 0.00 10.00 0.00 10.00 0.00 10.00 0.00 120.00 0.00 120.00 Ending Balance -9,300.00 -750.00 Page 28 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 800.00 2,500.00 -210.00 0.00 640.00 -850.00 0.00 100.00 0.00 900.00 0.00 25.00 0.00 100.00 0.00 50.00 0.00 25.00 0.00 125.00 0.00 25.00 0.00 50.00 0.00 50.00 0.00 400.00 0.00 25.00 Cash Receipts Batch 02727-04-2012 100-004-421800 100-004-421700 Totals: Var: -50.00 Billiards, Bowling, Pool Licen 4/3/2012 CR 12 4/5/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 13 Billiards License The Boardwalk James#Shaw 16581 Cash Receipts Batch 02703-04-2012 42 Bowling License Sunset Lanes, Inc James # Keith 16665 Cash Receipts Batch 02705-04-2012 164 Billiards License Pekin Moose Lodge 916 # 17131 Cash Receipts Batch 02723-04-2012 182 Billiards License CDZ, Inc. Goodfella's#Pub17165 & Pizza Cash Receipts Batch 02725-04-2012 182 Billiards License Dangi, Ltd McCritters# 17173 Cash Receipts Batch 02725-04-2012 182 Billiards License Shelie Dee, Inc. Friends # Tap 17175 Cash Receipts Batch 02725-04-2012 192 Billiards License Koch Street Bar & Grill # Dashmir 17245 Besimi Cash Receipts Batch 02726-04-2012 199 Billiards License Columbus Club Knights # of 17271 Columbus Cash Receipts Batch 02727-04-2012 199 Billiards License Pekin Amvets Post 235 # Lowell 17272Ely Cash Receipts Batch 02727-04-2012 199 Billiards License Purple Frog, Inc. Pottsie's # 17274 Place Cash Receipts Batch 02727-04-2012 211 Bowling License Geier Corporation DBA # Roxy's 17324 Lanes Cash Receipts Batch 25030-04-2012 211 Billiards License Cathy Espinoza DBA#Dillerwood 17326 Ltd Cash Receipts Batch 25030-04-2012 100-004-421800 Totals: Taxicab License Var: 50.00 100-004-422200 100-004-422900 100-004-422200 Totals: Miscellaneous Licenses 100-004-426200 100-004-426300 4/5/2012 CR 2,500.00 200.00 -575.00 0.00 1,875.00 -2,450.00 Var: 0.00 200.00 500.00 -200.00 0.00 0.00 -200.00 100-004-422900 Totals: Loudspeaker Permits Var: 500.00 500.00 20.00 0.00 0.00 0.00 0.00 100-004-426200 Totals: Special Events Permits Var: 12.00 20.00 500.00 -8.00 0.00 0.00 -8.00 0.00 25.00 12 42 Special Events Freebird Abate, Inc Michael # 16663 Strait Cash Receipts Batch 02705-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 29 Account Number 4/18/2012 CR 100-004-451600 Description 12 CR 12 4/3/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/17/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Var: 30.00 100-004-451600 Totals: Sales - Ordinances & Maps 100-004-452100 100-004-451900 Totals: Liquor Apps,Beer Garden,Court CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/23/2012 CR 12 4/2/2012 GL 12 100-004-499800 4/30/2012 CR -420.00 Var: -2,500.00 Var: -5,081.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -321.26 Credit This Period 0.00 25.00 0.00 50.00 0.00 50.00 0.00 75.00 0.00 50.00 0.00 50.00 0.00 75.00 0.00 100.00 0.00 75.00 Ending Balance -470.00 -7,025.00 0.00 475.00 -7,500.00 0.00 750.00 0.00 0.00 0.00 0.00 0.00 625.00 0.00 150.00 0.00 625.00 0.00 150.00 150.00 0.00 150.00 1,550.00 0.00 250.00 0.00 250.00 750.00 0.00 -4,431.00 211 Miscellaneous Revenue Mike's Knot Just # Ribs 17310 Cash Receipts Batch 25030-04-2012 100-004-499800 Totals: Debit This Period 5,000.00 0.00 62 Liq. lic app fee & fines NFI Niemann Foods, # 16757 Inc Food Depot Cash Receipts Batch 02710-04-2012 128 Liq. lic app fee & fines High Octane Saloon # 16981 LLC Ashley/Jeff Nizzia Cash Receipts Batch 02718-04-2012 128 Liq. lic app fee & fines Wester Powell PC # Wal-Mart 16983 Cash Receipts Batch 02718-04-2012 164 Liq. lic app fee & fines High Octane Saloon # 17134 LLC Ashley/Jeff Nizzia Cash Receipts Batch 02723-04-2012 247 nsf from jeff nizzia/liquor license 100-004-452100 Totals: Miscellaneous Receipts 12 500.00 5,000.00 13 Reclmtn & Vic. Dog Fees Tara Drury # 16583 Cash Receipts Batch 02703-04-2012 13 Reclmtn & Vic. Dog Fees Patrick O'Brien # 16584 Cash Receipts Batch 02703-04-2012 56 Reclmtn & Vic. Dog Fees Clarice Spangler # 16723 Cash Receipts Batch 02709-04-2012 56 Reclmtn & Vic. Dog Fees Jeff Smith # 16724 Cash Receipts Batch 02709-04-2012 110 Reclmtn & Vic. Dog Fees Stephanie Marruzza # 16922 Cash Receipts Batch 25017-04-2012 211 William Landrith # 17315 Cash Receipts Batch 25030-04-2012 211 Reclmtn & Vic. Dog Fees Brian Wallinger # 17321 For Lexi (Collie) Cash Receipts Batch 25030-04-2012 100-004-451900 4/10/2012 Beginning Balance 128 Special Events Peoria Ride for the Cure#Jim16984 Harlan Cash Receipts Batch 02718-04-2012 100-004-426300 Totals: Dog Reclamation Fees 4/3/2012 Budget 0.00 -71.26 -5,831.00 -321.26 Page 30 Account Number Description 100-004 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 78,720.00 -45,915.26 150.00 53,115.00 -98,880.26 Page 31 Account Number Description 100-005 100-005-499800 Miscellaneous Receipts 100-005-499800 Totals: 100-005 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -393.50 0.00 0.00 -393.50 0.00 -393.50 0.00 0.00 -393.50 0.00 Var: -393.50 Page 32 Account Number Description 100-006 100-006-440231 Transf From Sewerage Fund 100-006-440900 100-006-440231 Totals: Transfer From Tpcc 100-006-499800 100-006-440900 Totals: Miscellaneous Receipts 100-006-499800 Totals: 100-006 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 7,500.00 0.00 0.00 0.00 0.00 7,500.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 7,500.00 0.00 0.00 0.00 0.00 0.00 Var: 7,500.00 Page 33 Account Number Description 100-007 100-007-451900 Sales - Ordinances And Ma 100-007-499800 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 200.00 100-007-451900 Totals: Miscellaneous Receipts Var: 200.00 200.00 0.00 0.00 0.00 0.00 0.00 100-007-499800 Totals: Var: -91.80 0.00 -91.80 0.00 0.00 -91.80 200.00 -91.80 0.00 0.00 -91.80 100-007 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 34 Account Number Description 100-009 100-009-499800 Miscellaneous Revenue 100-009-499800 Totals: 100-009 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -179.99 0.00 0.00 -179.99 0.00 -179.99 0.00 0.00 -179.99 0.00 Var: -179.99 Page 35 Account Number Description 100-010 100-010-499800 Miscellaneous Receipts 100-010-499800 Totals: 100-010 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 36 Account Number Description 100-032 100-032-410101 4/2/2012 GL 100-032-412001 Debit This Period Credit This Period 441.94 0.00 441.94 0.00 0.00 678.68 0.00 4,938.22 0.00 441.94 0.00 6,058.84 16587 0.00 983.92 16588 0.00 342.52 16591 0.00 571.32 16592 0.00 1,077.64 16596 0.00 1,216.68 16597 0.00 1,008.56 16823 0.00 132.42 16967 0.00 2,224.00 17094 0.00 9,842.00 17102 0.00 844.80 17110 0.00 6,858.04 17111 0.00 2,357.00 17112 0.00 12,856.96 17275 0.00 3,934.56 Re Tax Twp Levy-road & Br 12 CR 12 4/23/2012 CR 12 4/2/2012 GL 12 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/27/2012 CR 12 Var: -3,474.97 Var: 3,095.32 15 Gas Tax Kaizen Food & Gas # Cash Receipts Batch 50003-04-2012 15 Gas Tax Carl & Nichols Shell # Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Sheridan # Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Court # Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Marathon Niksa Oil Inc.# Cash Receipts Batch 50003-04-2012 15 Gas Tax 8th St. Marathon Linik Corp # Cash Receipts Batch 50003-04-2012 78 Gas Tax Ray Dennison Chev, Inc. # Cash Receipts Batch 50512-04-2012 115 Gas Tax Freedom Oil Company # Cash Receipts Batch 50018-04-2012 159 Gas Tax Uselton Oil Co., Inc # Cash Receipts Batch 50023-04-2012 159 Gas Tax County Market # Cash Receipts Batch 50023-04-2012 159 Gas Tax Circle K #1202 # Cash Receipts Batch 50023-04-2012 159 Gas Tax Harper Oil Co. # Cash Receipts Batch 50023-04-2012 159 Gas Tax Thorntons #353 # Cash Receipts Batch 50023-04-2012 198 Gas Tax Casey's Marketing Co. # Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance 0.00 0.00 25,000.00 -3,916.91 78 Replacemnt PP Tax-TWSP PEKIN TOWNSHIP/TAZ # 16815 COUNTY Cash Receipts Batch 50512-04-2012 159 Replacemnt PP Tax-TWSP CINCINNATI # 17083 TOWNSHIP Cash Receipts Batch 50023-04-2012 238 pekin township replacement tax from 1/18/12 100-032-412001 Totals: Local Use Gas Tax 4/3/2012 Beginning Balance 238 pekin township replacement tax from 1/18/12 100-032-410101 Totals: Replacement P/p Tax - Tws 4/12/2012 100-032-414001 Budget 25,000.00 285,000.00 -15,845.84 -3,474.97 -21,904.68 Page 37 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 GL 12 100-032-425200 4/3/2012 4/3/2012 4/17/2012 AR AR AR 205 Gas Tax Kaizen Food & Gas Cash Receipts Batch 50030-04-2012 205 Gas Tax Aventine Cash Receipts Batch 50030-04-2012 269 monthly local gas tax split 100-032-414001 Totals: Street Opening Permits 12 12 12 Budget Beginning Balance Debit This Period Credit This Period # 17294 0.00 956.80 # 17295 0.00 15.48 22,611.35 0.00 22,611.35 45,222.70 0.00 0.00 0.00 1,539.00 2,371.00 504.00 Var: -7,724.17 285,000.00 20,000.00 -270,112.82 1 AR Invoices 00001.04.2012 1 AR Invoices 00001.04.2012 105 AR Invoices 00021.04.2012 Ending Balance -292,724.17 100-032-425200 Totals: Curb Cuts Var: -6,744.00 20,000.00 1,000.00 -22,330.00 0.00 4,414.00 -26,744.00 100-032-425400 100-032-425400 Totals: Idot - State Routes Maint Var: 1,000.00 1,000.00 78,798.00 0.00 0.00 0.00 0.00 100-032-435000 100-032-435000 Totals: State Grants Var: 86,373.92 78,798.00 0.00 7,575.92 0.00 0.00 7,575.92 100-032-442600 100-032-442600 Totals: 50 / 50 Sidewalk Project 0.00 10,000.00 0.00 0.00 0.00 0.00 100-032-451800 4/6/2012 AR 12 4/13/2012 CR 12 4/20/2012 CR 12 4/27/2012 CR 12 46 AR Adjustments 00005.04.2012 88 Sidewalk 50/50 Bryan or Shelly Cordts# Cash Receipts Batch 50513-04-2012 149 Sidewalk 50/50 TERRY SCHULER # Cash Receipts Batch 50020-04-2012 198 Sidewalk 50/50 WILLIAM BARTON # Cash Receipts Batch 50027-04-2012 112.50 0.00 16841 0.00 800.00 17023 0.00 990.00 17251 0.00 60.00 100-032-451800 Totals: Late Payment Penalty Var: 3,353.03 10,000.00 0.00 -4,909.47 112.50 1,850.00 -6,646.97 100-032-463500 100-032-463500 Totals: Restitution Var: -102.45 0.00 2,500.00 -102.45 0.00 0.00 -102.45 100-032-494100 0.00 11,162.13 0.00 76.00 0.00 5,996.00 0.00 3,843.71 0.00 53.20 4/9/2012 4/17/2012 4/20/2012 4/25/2012 4/25/2012 AR AR AR AR CR 12 12 12 12 12 49 101 146 175 178 AR Invoices 00012.04.2012 AR Adjustments 00010.04.2012 AR Invoices 00025.04.2012 AR Adjustments 00026.04.2012 Restitution IL COLLECTIONS/ACCT ##5640 17152 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 38 Account Number 4/25/2012 4/30/2012 AR AR Description 12 12 Budget Beginning Balance Cash Receipts Batch 50025-04-2012 179 AR Invoices 00028.04.2012 204 AR Invoices 00030.04.2012 100-032-498900 100-032-494100 Totals: Non Sufficient Funds Fee 100-032-499400 Credit This Period 0.00 0.00 68.45 5,348.00 Ending Balance 2,500.00 0.00 -39,175.86 11,238.13 15,309.36 -43,247.09 100-032-498900 Totals: Proceeds Of Auction 0.00 0.00 0.00 0.00 0.00 0.00 100-032-499400 Totals: Sale Of Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-032-499404 100-032-499404 Totals: Sale Of Salt / Fbop Pchs 0.00 5,000.00 0.00 0.00 0.00 0.00 100-032-499406 100-032-499406 Totals: Miscellaneous Receipts 5,000.00 0.00 -14,346.00 0.00 0.00 -14,346.00 100-032-499800 0.00 0.00 5,158.00 5,158.00 4/24/2012 4/24/2012 AR AR 12 12 Var: -40,747.09 Debit This Period Var: -9,346.00 167 AR Adjustments 00025.04.2012 167 AR Adjustments 00025.04.2012 100-032-499800 Totals: 100-032 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -73,084.89 0.00 -62,768.89 0.00 10,316.00 -73,084.89 427,298.00 -425,932.32 34,403.92 83,170.90 -474,699.30 Page 39 Account Number Description 100-034 100-034-437300 Soi - Training Reimbursem 100-034-442500 100-034-437300 Totals: Federal Grants 100-034-442600 100-034-442500 Totals: State Grants 100-034-442700 100-034-442600 Totals: County Grants 100-034-451000 100-034-442700 Totals: Copy Money/accidents Etc 4/5/2012 CR 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -66,753.00 0.00 0.00 -66,753.00 0.00 1,500.00 0.00 0.00 0.00 0.00 1,500.00 200.00 0.00 0.00 0.00 0.00 0.00 10.00 0.00 Var: -66,753.00 Var: 1,500.00 37 Copy Money/Accidents, Etc MET RPRTING # 16662 BUREAU/COPIES Cash Receipts Batch 50205-04-2012 100-034-454001 100-034-451000 Totals: Fire Protection - Normand 100-034-454002 100-034-454001 Totals: Fire Protection - Brush H 100-034-454003 100-034-454002 Totals: Fire Protection - Powerto 100-034-454100 200.00 0.00 -103.00 0.00 10.00 -113.00 0.00 140,996.54 0.00 0.00 0.00 0.00 Var: -14,871.39 140,996.54 279,278.28 -155,867.93 0.00 0.00 -155,867.93 100-034-454003 Totals: Hazardous Waste Cleanup Var: -8,484.68 279,278.28 750.00 -287,762.96 0.00 0.00 -287,762.96 100-034-454100 Totals: Non Resident Rescue Fees Var: -3,682.21 750.00 2,750.00 -4,432.21 0.00 0.00 -4,432.21 100-034-454200 100-034-454200 Totals: Hydrant Flushing Var: 775.00 2,750.00 90.00 -1,975.00 0.00 0.00 -1,975.00 100-034-454300 100-034-454300 Totals: Overtime Reimbursements Var: -60.00 90.00 0.00 -150.00 0.00 0.00 -150.00 100-034-454400 100-034-454400 Totals: Cpr Training Fees 0.00 500.00 0.00 0.00 0.00 0.00 100-034-454600 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 87.00 Page 40 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-034-454600 Totals: Sprinkler Fees Var: 150.00 500.00 400.00 -350.00 0.00 0.00 -350.00 100-034-454700 100-034-454700 Totals: AMT Franchise Var: 400.00 400.00 0.00 0.00 0.00 0.00 0.00 100-034-455004 100-034-455004 Totals: False Alarm Fee 0.00 500.00 0.00 0.00 0.00 0.00 100-034-464100 100-034-464100 Totals: Fire Prevention Contribut Var: 500.00 500.00 500.00 0.00 0.00 0.00 0.00 100-034-493002 100-034-493002 Totals: Training Reimbursements Var: -4,489.00 500.00 2,500.00 -4,989.00 0.00 0.00 -4,989.00 100-034-493600 100-034-493600 Totals: Restitution Var: 1,410.00 2,500.00 200.00 -1,090.00 0.00 0.00 -1,090.00 100-034-494100 100-034-494100 Totals: Proceeds Of Auction Var: 200.00 200.00 200.00 0.00 0.00 0.00 0.00 100-034-499400 100-034-499400 Totals: Sale Of Equipment Var: 200.00 200.00 2,500.00 0.00 0.00 0.00 0.00 100-034-499404 100-034-499404 Totals: Miscellaneous Receipts Var: 2,500.00 2,500.00 0.00 0.00 0.00 0.00 0.00 100-034-499800 0.00 20.00 0.00 10.00 4/17/2012 CR 12 4/27/2012 CR 12 111 Fire Misc Receipts HEYL, ROYSTER/SUBPOENA # 16917 Cash Receipts Batch 50017-04-2012 198 Fire Misc Receipts LEXIS/NEXIS # 17260 Cash Receipts Batch 50027-04-2012 100-034-499800 Totals: 100-034 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -11,675.79 0.00 -11,645.79 0.00 30.00 -11,675.79 432,864.82 -535,118.89 0.00 40.00 -535,158.89 Page 41 Account Number Description 100-068 100-068-435100 4/24/2012 CR Budget Iepa - Air Monitoring Rei 12 Beginning Balance Debit This Period Credit This Period 0.00 150.00 Ending Balance 0.00 168 IEPA Air Monitoring Reim RENT FOR# APR 17140 - JUNE 2012 Cash Receipts Batch 50024-04-2012 100-068-435100 Totals: State Grants Var: -600.00 0.00 0.00 -450.00 0.00 150.00 -600.00 100-068-442600 100-068-442600 Totals: County Grants Var: -125,700.00 0.00 0.00 -125,700.00 0.00 0.00 -125,700.00 100-068-442700 100-068-442700 Totals: Rental Of Municipal Prope 0.00 80,235.00 0.00 0.00 0.00 0.00 100-068-491000 0.00 0.00 0.00 750.00 400.00 920.00 4/3/2012 4/3/2012 4/3/2012 AR AR CR 12 12 12 8 AR Invoices 00004.04.2012 8 AR Invoices 00004.04.2012 15 Rental Of Municipal Prop T-MOBILE # Cash Receipts Batch 50003-04-2012 100-068-491500 100-068-491000 Totals: Sale Of Municipal Propert 100-068-494100 100-068-499800 16590 80,235.00 0.00 -98,035.93 0.00 2,070.00 -100,105.93 100-068-491500 Totals: Restitution 0.00 0.00 0.00 0.00 0.00 0.00 100-068-494100 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -469.60 0.00 0.00 -469.60 80,235.00 -224,655.53 0.00 2,220.00 -226,875.53 100-068-499800 Totals: 100-068 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -19,870.93 Var: -469.60 Page 42 Account Number Description 100-760 100-760-437100 School Reimbursements Budget Beginning Balance Debit This Period Credit This Period Ending Balance 30,000.00 9,000.00 -30,000.00 0.00 0.00 -30,000.00 30,000.00 100-760-437100 Totals: Soi-police Training Reimb Var: 0.00 100-760-437200 100-760-437200 Totals: Federal Grants Var: 4,302.61 9,000.00 0.00 -4,697.39 0.00 0.00 -4,697.39 100-760-442500 100-760-442500 Totals: State Grants Var: -19,608.00 0.00 3,600.00 -19,608.00 0.00 0.00 -19,608.00 100-760-442600 100-760-442600 Totals: Fingerprint Fees Var: -1,788.94 3,600.00 2,000.00 -5,388.94 0.00 0.00 -5,388.94 100-760-450800 0.00 30.00 0.00 60.00 0.00 60.00 0.00 60.00 0.00 60.00 0.00 15.00 0.00 60.00 0.00 345.00 0.00 5.00 0.00 20.00 0.00 20.00 0.00 5.00 0.00 5.00 0.00 5.00 4/4/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/25/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 100-760-451000 21 Fingerprint Fee ALAN MCLOUTH # 16608 Cash Receipts Batch 29004-04-2012 84 Fingerprint Fee MICHAEL BIER # 16813 Cash Receipts Batch 29012-04-2012 114 Fingerprint Fee ASHLEY NIZZIA # 16941 Cash Receipts Batch 29018-04-2012 182 Fingerprint Fee Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 190 Fingerprint Fee ANNE BLAKE # 17202 Cash Receipts Batch 29026-04-2012 190 Fingerprint Fee DENNIS POND # 17203 Cash Receipts Batch 29026-04-2012 190 Fingerprint Fee ELIZABETH GREEN # 17211 Cash Receipts Batch 29026-04-2012 100-760-450800 Totals: Copy Money/accidents Etc 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/12/2012 CR 12 Var: -214.00 21 Accident Reports JAY JANSSEN # 16598 Cash Receipts Batch 29004-04-2012 21 Accident Reports KIRK BODE # 16599 Cash Receipts Batch 29004-04-2012 21 Accident Reports MICHAEL MCCRAKEN # 16600 Cash Receipts Batch 29004-04-2012 21 Accident Reports JOY CHILTON # 16606 Cash Receipts Batch 29004-04-2012 21 Accident Reports ANNETTE SNODGRASS # 16607 Cash Receipts Batch 29004-04-2012 84 Accident Reports PARKER & HALLIDAY # 16807 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 2,000.00 4,500.00 -1,869.00 -2,214.00 Page 43 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 100-760-451000 Totals: Parking Meter Collections 100-760-451101 100-760-451100 Totals: Rentals - Parking Lots CR 12 4/12/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 100-760-454400 Beginning Balance Cash Receipts Batch 29012-04-2012 84 Accident Reports CORPORATE CLAIMS # 16808 MANAGEME Cash Receipts Batch 29012-04-2012 84 Accident Reports CHRIS DOSCOTCH# 16809 Cash Receipts Batch 29012-04-2012 84 Accident Reports MILLER & PUGH # 16810 Cash Receipts Batch 29012-04-2012 84 Accident Reports MARK MCMULLIN# 16814 Cash Receipts Batch 29012-04-2012 114 Accident Reports MADISON ANGELA# 16944 Cash Receipts Batch 29018-04-2012 190 Accident Reports OSF HEALTHCARE#SYSTEM 17186 Cash Receipts Batch 29026-04-2012 190 Accident Reports DOCVIEW # 17189 Cash Receipts Batch 29026-04-2012 190 Accident Reports PHILLIP BALLINGER # 17210 Cash Receipts Batch 29026-04-2012 100-760-451100 4/4/2012 Budget Var: 979.50 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,555.00 Credit This Period 0.00 5.00 0.00 5.00 0.00 20.00 0.00 0.50 0.00 40.00 0.00 5.00 0.00 220.00 0.00 5.00 Ending Balance 4,500.00 0.00 -3,160.00 0.00 360.50 -3,520.50 0.00 7,000.00 0.00 0.00 0.00 0.00 0.00 225.00 0.00 150.00 0.00 120.00 0.00 120.00 0.00 120.00 0.00 120.00 0.00 25.00 0.00 120.00 0.00 1,000.00 21 Parking Lot Rental MISSYS CORNER#CAFE 16609 Cash Receipts Batch 29004-04-2012 84 Parking Lot Rental MONGE CROUCH#& MAHONEY 16817 Cash Receipts Batch 29012-04-2012 190 Parking Lot Rental PATRICIA ALEXANDER # 17200 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental KATHLEEN KARL# 17201 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental ANGIE HUSS # 17207 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental DEB NELSON # 17208 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental KEVIN KRUEGER# 17209 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental LYNN MEINEN # 17212 Cash Receipts Batch 29026-04-2012 100-760-451101 Totals: Overtime Reimbursements Debit This Period 7,000.00 37,280.00 -8,555.00 -9,555.00 Page 44 Account Number 100-760-460100 4/26/2012 CR 100-760-460200 Description 100-760-454400 Totals: Cir Clk / States Atty. 12 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 Beginning Balance Debit This Period Credit This Period Ending Balance 37,280.00 250,000.00 -42,527.63 0.00 0.00 -42,527.63 0.00 30,404.41 0.00 30,404.41 0.00 150.00 0.00 300.00 0.00 150.00 0.00 300.00 0.00 250.00 0.00 250.00 0.00 50.00 0.00 50.00 0.00 200.00 0.00 50.00 0.00 100.00 0.00 300.00 0.00 300.00 0.00 400.00 0.00 50.00 0.00 500.00 0.00 300.00 190 Circuit Clerk Fines CIRCUIT CLERK FINES # 17184 Cash Receipts Batch 29026-04-2012 100-760-460100 Totals: Municiple Ordinance Violat 4/4/2012 Var: -5,247.63 Budget Var: -3,267.98 20 Municipal Ordinance Fees JACOB BLAND # 16618 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees KYLE TALEN # 16619 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees BRANDEN #EVERETT 16620 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees DUSTIN SUMNER # 16621 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees DAVID BATTON # 16622 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees JOSHUA OZUNA # 16623 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees SEAN MCFARLAND # 16624 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees CHRIS MCFARLAND # 16625 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees DONALD ZIEGENBEIN # 16626 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees TRAVIS PRATT # 16627 Cash Receipts Batch 29040-04-2012 21 Municipal Ordinance Fees MICHELLE#FROHM 16601 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees DALTON WISEMAN # 16602 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees TOBBY BUHS # 16603 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees TOBBY BUHS # 16604 Cash Receipts Batch 29004-04-2012 84 Municipal Ordinance Fees EMILY HARMS # 16811 Cash Receipts Batch 29012-04-2012 84 Municipal Ordinance Fees RYAN LULAY # 16812 Cash Receipts Batch 29012-04-2012 114 Municipal Ordinance Fees CARL TOEPFER # 16936 Cash Receipts Batch 29018-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 250,000.00 65,000.00 -222,863.57 -253,267.98 Page 45 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 100-760-460300 CR 12 4/26/2012 CR 12 Beginning Balance Debit This Period Credit This Period 0.00 400.00 0.00 300.00 0.00 250.00 0.00 200.00 0.00 200.00 0.00 200.00 0.00 50.00 0.00 250.00 0.00 50.00 0.00 250.00 0.00 250.00 0.00 250.00 0.00 50.00 0.00 6,400.00 17021 0.00 70.00 17185 0.00 700.00 114 Municipal Ordinance Fees LUKE KINZLEE # 16937 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees LUKE KINZLEE # 16938 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees ODA DUDLEY # 16939 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees RAUCH CARL # 16942 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees BARBARA #LOWERY 16943 Cash Receipts Batch 29018-04-2012 190 Municipal Ordinance Fees KIMBERLY# BENNETT 17190 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees JACE FLETCHER # 17191 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees BUSS KYLE # 17192 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees NICHOLAS#MCCOY 17193 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees SMITH ERIK # 17194 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees LANIE OWSLEY # 17195 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees AUSTIN DURM # 17196 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees KIANA DIXON # 17197 Cash Receipts Batch 29026-04-2012 100-760-460200 Totals: Warrants 4/20/2012 Budget Var: -35,484.28 149 Warrants C. HANNERS/WARRANT # Cash Receipts Batch 50020-04-2012 190 Warrants WARRANT FEE # Cash Receipts Batch 29026-04-2012 65,000.00 0.00 -94,084.28 Ending Balance -100,484.28 100-760-460300 Totals: Liquor Fines Var: -4,200.00 0.00 2,000.00 -3,430.00 0.00 770.00 -4,200.00 100-760-463700 100-760-463700 Totals: Tobacco Fines Var: -2,312.50 2,000.00 0.00 -4,312.50 0.00 0.00 -4,312.50 100-760-463800 100-760-463800 Totals: Parking Tickets 0.00 45,000.00 0.00 0.00 0.00 0.00 100-760-464000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 46 Account Number Description 4/4/2012 4/4/2012 AR CR 12 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 Budget Beginning Balance 17 AR Invoices 00008.04.2012 21 Parking Tickets PARKING TICKETS # 16610 Cash Receipts Batch 29004-04-2012 84 Parking Tickets MCSI # 16816 Cash Receipts Batch 29012-04-2012 84 Parking Tickets PARKING TICKETS 4/9/12 # 16820 Cash Receipts Batch 29012-04-2012 84 Parking Tickets PARKING TICKETS 4/12/12 # 16822 Cash Receipts Batch 29012-04-2012 114 Parking Tickets PARKING TICKETS 4/16/12 # 16945 Cash Receipts Batch 29018-04-2012 190 Parking Tickets PARKING TICKETS 4/24/12 # 17213 Cash Receipts Batch 29026-04-2012 190 Parking Tickets PARKING TICKETS 4/19/12 # 17214 Cash Receipts Batch 29026-04-2012 Debit This Period Credit This Period 0.00 0.00 136.00 240.00 0.00 405.75 0.00 440.00 0.00 215.00 0.00 505.00 0.00 175.00 0.00 320.00 Ending Balance 100-760-464000 Totals: False Alarm Fee Var: 810.00 45,000.00 1,500.00 -41,753.25 0.00 2,436.75 -44,190.00 100-760-464100 100-760-464100 Totals: Seizures And Forfeitures Var: -175.00 1,500.00 0.00 -1,675.00 0.00 0.00 -1,675.00 100-760-464300 100-760-464300 Totals: Dui Surcharge 0.00 10,000.00 0.00 0.00 0.00 0.00 100-760-464400 0.00 1,390.93 4/26/2012 CR 12 190 DUI Surcharge DUI EQUIPMENT Cash Receipts Batch 29026-04-2012 # 17182 100-760-464400 Totals: Towing/storage Fees Var: -6,392.68 10,000.00 195,000.00 -15,001.75 0.00 1,390.93 -16,392.68 100-760-464500 100-760-464500 Totals: Court Supervision Fines Var: 156,217.00 195,000.00 13,000.00 -38,783.00 0.00 0.00 -38,783.00 100-760-464600 0.00 1,263.50 4/26/2012 CR 12 190 Police Vehicle Fund POLICE VEHICLE # FUND 17181 Cash Receipts Batch 29026-04-2012 100-760-493001 100-760-464600 Totals: Crime Prevention Contribu 100-760-493100 13,000.00 0.00 -14,455.00 0.00 1,263.50 -15,718.50 100-760-493001 Totals: Dare Program 0.00 0.00 0.00 0.00 0.00 0.00 100-760-493100 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,718.50 Page 47 Account Number Description 100-760-493500 Canine Unit Contributions 100-760-493700 100-760-493500 Totals: Bike Program Contribution 100-760-493900 100-760-493700 Totals: Sex Offender Registration 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 100-760-494000 CR 12 4/30/2012 GL 12 100-760-494001 4/30/2012 GL 100-760-494100 4/3/2012 CR 100-760-494100 Totals: Range Instructor Reimburs 100-760-494300 100-760-498900 CR 100-760-499400 Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 450.00 0.00 0.00 0.00 0.00 0.00 20.00 0.00 10.00 0.00 20.00 0.00 50.00 0.00 132.13 6,694.01 0.00 6,694.01 132.13 0.00 6,694.01 0.00 6,694.01 0.00 67.16 0.00 Var: -120.00 Var: -6,737.83 Var: -6,694.01 15 Restitution Restitution/J. Davis Cash Receipts Batch 50003-04-2012 100-760-494200 4/4/2012 Credit This Period 450.00 5,000.00 -520.00 5,000.00 0.00 -18,299.71 267 corr coding fed iron eagle dep 100-760-494001 Totals: Restitution 12 Debit This Period 190 State Iron Eagle Contri DRUG ENFORCEMENT # 17183 Cash Receipts Batch 29026-04-2012 267 corr coding fed iron eagle dep 100-760-494000 Totals: Federal Iron Eagle Revenue 12 Beginning Balance 114 Sex Offender Registration JAMES STEEK # 16940 Cash Receipts Batch 29018-04-2012 190 Sex Offender Registration CARRIE LAWSON # 17198 Cash Receipts Batch 29026-04-2012 190 Sex Offender Registration DANIEL RORRER # 17204 Cash Receipts Batch 29026-04-2012 100-760-493900 Totals: State Iron Eagle Revenue 4/26/2012 Budget # 0.00 500.00 0.00 16544 -11,737.83 -6,694.01 500.00 0.00 -449.05 0.00 67.16 -516.21 100-760-494200 Totals: Explorer 0.00 0.00 0.00 0.00 0.00 0.00 100-760-494300 Totals: Non Sufficient Funds Fee 0.00 0.00 0.00 0.00 0.00 0.00 0.00 25.00 0.00 25.00 12 Var: -16.21 -570.00 21 Non Sufficient Funds Fee BONNIE SMITH # 16605 Cash Receipts Batch 29004-04-2012 100-760-498900 Totals: Proceeds Of Auction GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -25.00 0.00 0.00 0.00 -25.00 Page 48 Account Number 100-760-499403 4/30/2012 GL Description 100-760-499400 Totals: Unclaimed Evidence 12 100-760-499403 Totals: Sale Of Equipment 100-760-499600 100-760-499800 Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 158.00 0.00 0.00 158.00 -158.00 100-760-499404 Totals: Sale Of Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-760-499600 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 0.00 63.30 0.00 12.22 0.00 20.00 0.00 44.00 0.00 7,125.91 0.00 7,265.43 0.00 10.00 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 CR Debit This Period 0.00 0.00 4/3/2012 4/4/2012 Beginning Balance 292 voided two forfeiture checks 100-760-499404 100-760-499802 Budget 15 Misc Receipts Jury Duty/D. Graber # 16545 Cash Receipts Batch 50003-04-2012 15 Misc Receipts A. Smith/Jury Duty # 16546 Cash Receipts Batch 50003-04-2012 15 Misc Receipts M. Eeten/witness fee # 16547 Cash Receipts Batch 50003-04-2012 88 Misc Receipts J STOLZ/WITNESS FEE # 16850 Cash Receipts Batch 50513-04-2012 88 Misc Receipts PEELER/RESIGNATION # REIMB. 16856 Cash Receipts Batch 50513-04-2012 100-760-499800 Totals: Cash Over/short 12 Var: -158.00 Var: -21,732.14 21 Cash Over/ Short CASH OVER Cash Receipts Batch 29004-04-2012 100-760-499802 Totals: 100-760 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 0.00 0.00 -14,466.71 16611 Var: -10.00 -21,732.14 0.00 0.00 0.00 10.00 -10.00 680,830.00 -585,899.78 6,694.01 58,772.82 -637,978.59 Page 49 Account Number Description Budget 100-793 100-793-420500 Hvac License 6,000.00 100-793-420800 4/25/2012 CR 100-793-423000 100-793-420500 Totals: Electrical Contractors Li 12 CR 12 4/23/2012 CR 12 6,000.00 6,000.00 Debit This Period Credit This Period Ending Balance -10,370.00 0.00 0.00 -10,370.00 0.00 100.00 0.00 100.00 0.00 45.00 0.00 45.00 183 Electrical Contrctor Lic Young Electric#Attn: 17159 Dick Young Cash Receipts Batch 23025-04-2012 100-793-420800 Totals: Home Occupation License 4/9/2012 Var: -4,370.00 Beginning Balance Var: -950.00 6,000.00 2,000.00 -6,850.00 57 Home Occupations License Ralph Hauser # 16676 Cash Receipts Batch 23006-04-2012 163 Home Occupations License Richard C Buehl # 17076 Cash Receipts Batch 23023-04-2012 -6,950.00 100-793-423000 Totals: Prelim Plat Review Filing Var: -970.00 2,000.00 1,000.00 -2,880.00 0.00 90.00 -2,970.00 100-793-425000 100-793-425000 Totals: Final Plat Review Filing Var: 1,000.00 1,000.00 300.00 0.00 0.00 0.00 0.00 100-793-425100 100-793-425100 Totals: Hvac Permit Var: 122.00 300.00 15,000.00 -178.00 0.00 0.00 -178.00 100-793-425500 0.00 40.00 0.00 80.00 0.00 40.00 0.00 20.00 0.00 20.00 0.00 32.00 0.00 20.00 0.00 80.00 0.00 0.00 0.00 43.00 43.00 31.00 4/3/2012 CR 12 4/13/2012 CR 12 4/18/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 GL GL GL 12 12 12 7 HVAC Permit AAA Northgate Inc # 16551 Cash Receipts Batch 04002-04-2012 93 HVAC Permit Keller Heating & Air Cond # 16836 Cash Receipts Batch 23013-04-2012 127 HVAC Permit Precision Airtech Inc # 16986 Cash Receipts Batch 23018-04-2012 169 HVAC Permit Whitley Heating & Air # 17141 Cash Receipts Batch 23024-04-2012 169 HVAC Permit Whitley Heating & Air # 17142 Cash Receipts Batch 23024-04-2012 183 HVAC Permit AAA Northgate Inc # 17162 Cash Receipts Batch 23025-04-2012 183 HVAC Permit Solar Heating & Air # 17169 Cash Receipts Batch 23025-04-2012 193 HVAC Permit Ruyle Mechanical Services # 17199 Inc Cash Receipts Batch 23026-04-2012 262 2202 sierra dr/escrow #32 262 601westshore dr/escrow #32 262 1510 s 6th/escrow #32 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 50 Account Number 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL Description 12 12 12 12 12 12 12 12 262 262 262 262 262 262 262 262 100-793-425500 Totals: House Movers Permit 100-793-425700 100-793-425600 Totals: Special Use Permit CR 12 4/3/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/12/2012 CR 12 4/16/2012 CR 12 4/18/2012 CR 12 4/19/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 Beginning Balance 1113 s 7th/ escrow #1 719 oxford/ escrow #2 1001 veerman apt 6/ escrow #2 1717 hunters trace/ escrow #2 2002 sierra dr/ escrow #2 2021 windsor/ escrow #15 306 court/ escrow #15 1405 lake st/ escrow #15 100-793-425600 4/3/2012 Budget Var: 2,012.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,370.00 Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 40.00 40.00 20.00 40.00 20.00 40.00 80.00 40.00 Ending Balance 15,000.00 0.00 -12,219.00 0.00 769.00 -12,988.00 0.00 1,500.00 0.00 0.00 0.00 0.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 85.00 0.00 45.00 0.00 45.00 0.00 50.00 0.00 45.00 0.00 45.00 0.00 630.00 7 Special Use Permit K-Mart # 16552 Cash Receipts Batch 04002-04-2012 14 Special Use Permit Wester Powell, PC Attn: # 16579 Erica Zuniga, Lic Mgr Cash Receipts Batch 04003-04-2012 31 Special Use Permit Kalzen Food & Gas#LLC 16631 Broadway Station Cash Receipts Batch 23004-04-2012 31 Special Use Permit Nieman Foods Inc Food # 16632 Depot 149 Cash Receipts Batch 23004-04-2012 31 Special Use Permit Kroger Public Affairs # Attn: 16633 Dottie Kirby Cash Receipts Batch 23004-04-2012 63 Special Use Permit Mac's Conv Stores LLC # 16730 dba Circle K-Midwest Cash Receipts Batch 23010-04-2012 63 Special Use Permit Thortons Inc # 16733 Cash Receipts Batch 23010-04-2012 83 Special Use Permit David R Whitehurst# 16788 Cash Receipts Batch 23012-04-2012 98 Special Use Permit Menards Inc # 16883 Cash Receipts Batch 23016-04-2012 127 Special Use Permit Niemann Foods Attn: # Jennifer 16991 Cash Receipts Batch 23018-04-2012 143 Special Use Permit 8th Street Sweet Spot # 16992 Cash Receipts Batch 23019-04-2012 163 Special Use Permit Sharon K Bonnette # 17128 Cash Receipts Batch 23023-04-2012 183 Special Use Permit On The Way Stores#Harper 17160 Oil Co Cash Receipts Batch 23025-04-2012 100-793-425700 Totals: Debit This Period 1,500.00 -2,240.00 -2,870.00 Page 51 Account Number Description 100-793-426000 Electrical Permits 4/3/2012 CR 12 4/3/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/10/2012 CR 12 4/12/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 7 Electrical Permit Kaiser Electrical Contractors # 16550 Cash Receipts Batch 04002-04-2012 7 Electrical Permit J-Horn Electric LLC # 16554 Cash Receipts Batch 04002-04-2012 31 Electrical Permit Palm Electric Co # 16613 Cash Receipts Batch 23004-04-2012 31 Electrical Permit Paula Watson # 16635 Cash Receipts Batch 23004-04-2012 40 Electrical Permit Titan Electrical Service # Inc 16653 Cash Receipts Batch 23005-04-2012 40 Electrical Permit Titan Electrical Service # Inc 16673 Cash Receipts Batch 23005-04-2012 63 Electrical Permit Dobbelaire Electrical#Corp 16731 Cash Receipts Batch 23010-04-2012 83 Electrical Permit Morr Electrical Service # Inc 16833 Cash Receipts Batch 23012-04-2012 109 Electrical Permit Kaiser Electrical Cont# Inc16920 Cash Receipts Batch 23017-04-2012 127 Electrical Permit Greg Simmons # 16987 Cash Receipts Batch 23018-04-2012 127 Electrical Permit Dobbelaire Electrical#Corp 16988 Cash Receipts Batch 23018-04-2012 127 Electrical Permit Dobbelaire Electrical#Corp 16989 Cash Receipts Batch 23018-04-2012 163 Electrical Permit Dobbelaire Electrical#Corp 17075 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Kenneth E Holeman # 17122 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17124 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17125 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17126 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17127 Cash Receipts Batch 23023-04-2012 169 Electrical Permit Koener Electric Inc # 17144 Cash Receipts Batch 23024-04-2012 183 Electrical Permit Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 183 Electrical Permit Young Electric # 17158 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 43.00 0.00 43.00 0.00 43.00 0.00 26.00 0.00 43.00 0.00 379.00 0.00 43.00 0.00 26.00 0.00 43.00 0.00 26.00 0.00 43.00 0.00 43.00 0.00 43.00 0.00 31.00 0.00 49.00 0.00 43.00 0.00 43.00 0.00 43.00 0.00 26.00 0.00 31.00 0.00 31.00 Ending Balance 15,000.00 Page 52 Account Number Description 4/25/2012 CR 12 4/25/2012 CR 12 100-793-426400 Cash Receipts Batch 23025-04-2012 183 Electrical Permit Michael McGinnis Cash Receipts Batch 23025-04-2012 183 Electrical Permit David Allen Cash Receipts Batch 23025-04-2012 100-793-426000 Totals: Building And Rezoning Per 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/4/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 Budget Debit This Period Credit This Period # 17166 0.00 26.00 # 17176 0.00 31.00 0.00 1,198.00 0.00 53.00 0.00 53.00 0.00 56.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 95.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 110.00 0.00 59.00 0.00 35.00 0.00 35.00 0.00 20.00 Var: 1,898.00 7 Building Rezoning Permits Morrow Construction # 16553 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Watkins &#Son16555 Construction Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Thomas Oberle # 16556 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Diana L Higgs # 16557 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Bruce N Woodmancy # 16559 Cash Receipts Batch 04002-04-2012 14 Building Rezoning Permits Michael Price # 16569 Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Kruse Builders # 16570 Inc Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Barbara A Rosa # 16575 & Robert C Rosa Jr Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Ola Ackerson # 16580 Cash Receipts Batch 04003-04-2012 31 Building Rezoning Permits Paula Watson # 16635 Cash Receipts Batch 23004-04-2012 40 Building Rezoning Permits Kyle Ruschmeyer # 16657 Cash Receipts Batch 23005-04-2012 40 Building Rezoning Permits Jillian Herron # 16658 Cash Receipts Batch 23005-04-2012 40 Building Rezoning Permits Antonini Brothers # 16664 Inc Cash Receipts Batch 23005-04-2012 57 Building Rezoning Permits Maguire Dev # Corp 16728 Attn: Brian P Maguire Cash Receipts Batch 23006-04-2012 63 Building Rezoning Permits Barry H Weger # 16729 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Randy Brandt # 16738 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Debra A Rogers # 16739 Cash Receipts Batch 23010-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance 15,000.00 50,000.00 -11,904.00 Ending Balance -13,102.00 Page 53 Account Number Description 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/13/2012 CR 12 4/16/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 63 Building Rezoning Permits Zendavor Signs # 16741 & Graphics Inc Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Lyda Magee# 16742 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Clayton Denning # 16754 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Ronald F Wilson # 16755 Cash Receipts Batch 23010-04-2012 73 Building Rezoning Permits Steve Eldridge # 16780 Cash Receipts Batch 23011-04-2012 73 Building Rezoning Permits Mary Tisdale # 16781 Cash Receipts Batch 23011-04-2012 83 Building Rezoning Permits James Gschwind # 16787 Cash Receipts Batch 23012-04-2012 83 Building Rezoning Permits Daniel L McKinley # 16832 Cash Receipts Batch 23012-04-2012 83 Building Rezoning Permits JM Holmes#& 16834 Sons Inc Cash Receipts Batch 23012-04-2012 93 Building Rezoning Permits Kelley M Steger # 16835 Cash Receipts Batch 23013-04-2012 98 Building Rezoning Permits Morrow Construction # 16882 Cash Receipts Batch 23016-04-2012 127 Building Rezoning Permits Lois Gilsan# 16985 Cash Receipts Batch 23018-04-2012 127 Building Rezoning Permits Greg Simmons # 16987 Cash Receipts Batch 23018-04-2012 143 Building Rezoning Permits John Evans# 16994 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Chad Ropenach # 16995 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Marvin Spiczka # 16996 Construction Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Marvin Spiczka # 16997 Construction Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits James L Krause # 16998 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Danyel Janosky # 17000 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Randal Brandt # 17011 Cash Receipts Batch 23019-04-2012 154 Building Rezoning Permits Mike Gilbert # 17020 Cash Receipts Batch 23020-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 20.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 50.00 0.00 20.00 0.00 107.00 0.00 100.00 0.00 20.00 0.00 40.00 0.00 20.00 0.00 83.00 0.00 20.00 0.00 20.00 0.00 533.00 0.00 527.00 0.00 40.00 0.00 20.00 0.00 20.00 0.00 20.00 Ending Balance Page 54 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 154 Building Rezoning Permits Richard Montgomery # 17026 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Josh Lindahl # 17045 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Terry R Phillips # 17057 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Nathen White # 17068 Cash Receipts Batch 23020-04-2012 163 Building Rezoning Permits Menold Construction # 17077 Inc Attn: Pat Coyle Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Breanne Thomas # 17121 Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Kenneth E Holeman # 17122 Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Mike & Carol # Dever 17123 Cash Receipts Batch 23023-04-2012 169 Building Rezoning Permits Perfect Choice # 17143 Exteriors Cash Receipts Batch 23024-04-2012 169 Building Rezoning Permits SF Pauli Builders # 17145 Inc Cash Receipts Batch 23024-04-2012 183 Building Rezoning Permits Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Peoria Awning # 17164 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Backyard Living # 17171 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Randy Howard # 17174 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits David Allen# 17176 Cash Receipts Batch 23025-04-2012 193 Building Rezoning Permits Nick Joesting # 17180 Cash Receipts Batch 23026-04-2012 193 Building Rezoning Permits Dathan Gerard # 17206 Cash Receipts Batch 23026-04-2012 193 Building Rezoning Permits Anna Eades# 17243 Cash Receipts Batch 23026-04-2012 200 Building Rezoning Permits Bullock Garages # 17264 Attn: Joseph Boyer Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits David Strode # 17265 Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Menold Construction # 17276 Inc Cash Receipts Batch 23027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 20.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 74.00 0.00 20.00 0.00 71.00 0.00 95.00 0.00 40.00 0.00 95.00 0.00 20.00 0.00 20.00 0.00 95.00 0.00 20.00 0.00 50.00 0.00 20.00 0.00 80.00 0.00 50.00 0.00 74.00 0.00 20.00 0.00 59.00 Ending Balance Page 55 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-793-426500 CR 12 4/17/2012 CR 12 4/26/2012 AP 12 100-793-450700 CR 12 4/5/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 100-793-451000 Var: 4,281.15 50,000.00 250.00 -41,987.85 83 ZBA Waiver Request Fees Marsha & Bill # Wagner 16784 Jr Cash Receipts Batch 23012-04-2012 109 ZBA Waiver Request Fees Britt R Hild# 16935 Cash Receipts Batch 23017-04-2012 184 11855 - Britt Hild Ck# 106862 does not need varieance/credit card was processed 100-793-426500 Totals: Rental Proprty Registr Fee 4/3/2012 Beginning Balance 200 Building Rezoning Permits Menold Construction # 17277 Inc Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Menold Constrution # 17278Inc Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Scott Church # 17279 Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Steve Tordoff # 17280 Cash Receipts Batch 23027-04-2012 210 Building Rezoning Permits Bruges Chocolates # 17316 Holdings Cash Receipts Batch 23030-04-2012 210 Building Rezoning Permits Conrad Ozog # 17317 Cash Receipts Batch 23030-04-2012 210 Building Rezoning Permits Hardin Signs # 17319 Cash Receipts Batch 23030-04-2012 100-793-426400 Totals: Zba Waiver Request Fees 4/12/2012 Budget Var: -345.00 250.00 500.00 -510.00 14 Rental Property Reg Fee Barbara A Rosa # & 16574 Robert C Rosa Jr Cash Receipts Batch 04003-04-2012 40 Rental Property Reg Fee David Oslund# 16670 Cash Receipts Batch 23005-04-2012 63 Rental Property Reg Fee Troy A Dubois # 16732 Cash Receipts Batch 23010-04-2012 63 Rental Property Reg Fee Troy A Dubois # 16743 Cash Receipts Batch 23010-04-2012 193 Rental Property Reg Fee Dathan Gerard # 17205 Cash Receipts Batch 23026-04-2012 210 Rental Property Reg Fee Gregory P or #Carol 17320 E Becker Cash Receipts Batch 23030-04-2012 100-793-450700 Totals: Copy Money/accidents Etc GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,655.00 500.00 0.00 -2,005.00 Debit This Period Credit This Period 0.00 59.00 0.00 83.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 77.00 0.00 53.00 0.00 3,731.00 0.00 85.00 0.00 85.00 85.00 0.00 85.00 170.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 150.00 Ending Balance -45,718.85 -595.00 -2,155.00 Page 56 Account Number 100-793-451200 Description 100-793-451000 Totals: Plumbing Permits 4/3/2012 CR 12 4/4/2012 CR 12 4/5/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/18/2012 CR 12 4/25/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL GL GL GL 12 12 12 12 12 12 12 12 12 12 12 100-793-451200 Totals: Certification Signatures Var: 4,837.00 100-793-451300 Totals: Electrical Inspection Fee Var: 194.00 100-793-451400 100-793-451700 100-793-451400 Totals: Property Cleanup Fees AR 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 15,000.00 0.00 0.00 0.00 0.00 0.00 10.00 0.00 15.00 0.00 197.00 0.00 15.00 0.00 80.00 0.00 10.00 0.00 64.00 0.00 10.00 0.00 40.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 30.00 10.00 10.00 10.00 145.00 10.00 118.00 10.00 10.00 10.00 10.00 7 Plumbing Inspections Salzer Plumbing# 16543 Cash Receipts Batch 04002-04-2012 31 Plumbing Inspections Mike Earhart # 16634 Cash Receipts Batch 23004-04-2012 40 Plumbing Inspections Ralph Holland Plumbing # 16652 Cash Receipts Batch 23005-04-2012 63 Plumbing Inspections Dennis Whitley # 16734 Cash Receipts Batch 23010-04-2012 73 Plumbing Inspections Ralph Holland Plumbing # 16779 Cash Receipts Batch 23011-04-2012 127 Plumbing Inspections Salzer Plumbing# 16990 Cash Receipts Batch 23018-04-2012 183 Plumbing Inspections Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 210 Plumbing Inspections Jim Behm Plumbing # 17318 Cash Receipts Batch 23030-04-2012 210 Plumbing Inspections Heartland Irrigation # 17322 Inc Cash Receipts Batch 23030-04-2012 262 17-13 n 4th st/ escrow #4 262 806 park ave/ escrow #4 262 300 south st/ escrow #4 262 2125 court/ escrow #11 262 1709 whitetail/ escrow #11 262 306 lakeside ave/ escrow #6 262 2002 sierra/ escrow #13 262 726 prince st/ escrow #23 262 2019 windsor/ escrow #28 262 #6 dirksen ct/ escrow #28 263 317 s. capitol/escrow #6 100-793-451300 4/18/2012 Budget 119 AR Adjustments 00016.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 15,000.00 250.00 -9,349.00 0.00 814.00 -10,163.00 250.00 0.00 -56.00 0.00 0.00 -56.00 0.00 8,000.00 0.00 0.00 0.00 0.00 40.00 0.00 Page 57 Account Number 4/30/2012 GL Description 12 Budget 290 re classify old weed liens 100-793-451700 Totals: Sales - Ordinances And Ma Var: 7,661.50 100-793-451900 100-793-451900 Totals: Code Inspections Var: 100.00 100-793-458700 100-793-463600 100-793-458700 Totals: Code Violatiion Fines 100-793-464500 100-793-463600 Totals: Towing/storage Fees 100-793-490500 100-793-464500 Totals: Lien File & Release Fees 4/18/2012 AR 12 496.50 496.50 -338.50 100.00 0.00 0.00 0.00 0.00 0.00 Var: -14,805.50 0.00 1,000.00 -14,805.50 0.00 0.00 -14,805.50 Var: -1,560.00 1,000.00 0.00 -2,560.00 0.00 0.00 -2,560.00 0.00 4,000.00 0.00 0.00 0.00 0.00 76.50 0.00 119 AR Adjustments 00016.04.2012 100-793-498900 Totals: Miscellaneous Receipts Var: -25.00 100-793-499800 100-793-499802 0.00 Ending Balance 40.00 Var: -7,345.25 12 12 Credit This Period 118.00 100-793-490500 Totals: Non Sufficient Funds Fee AR GL Debit This Period 8,000.00 100.00 100-793-498900 4/6/2012 4/30/2012 Beginning Balance 4,000.00 0.00 -11,421.75 76.50 0.00 -11,345.25 0.00 0.00 -25.00 0.00 0.00 -25.00 0.00 127.00 43.75 0.00 44 AR Adjustments 00004.04.2012 266 combine escrows, adj balance 100-793-499800 Totals: Cash Over/short Var: -316.50 0.00 0.00 -399.75 127.00 43.75 -316.50 100-793-499802 Totals: Var: 5.00 0.00 5.00 0.00 0.00 5.00 125,900.00 -129,637.85 328.50 8,192.25 -137,501.60 100-793 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 58 Account Number Description 100-990 100-990-410100 Budget Real Estate Tax AP 12 52 Void 11410 4/12/2012 AP 12 79 11778 - Cincinnati Fire Protection District Ck# 106611 Re: annexation of rick evans LLC tracts 4/30/2012 CR 100-990-411000 4/30/2012 CR 100-990-410100 Totals: Use Tax 12 12 100-990-411000 Totals: Photo Processing Surcharg 100-990-411004 100-990-411003 Totals: Home Rule Sales Tax CR 100-990-412000 12 AP 12 4/30/2012 CR 12 4/30/2012 AP 12 100-990-412000 Totals: Pull Tab/jar Game Tax - L 100-990-413000 100-990-412200 Totals: Illinois Income Tax CR 12 -1,288,658.78 17389 Var: -130,845.41 # 1,256,007.00 370,000.00 370,000.00 5,025,000.00 -461,271.08 17389 Var: 16,330.59 0.00 4,398.66 4,398.66 0.00 4,398.66 4,398.66 0.00 39,574.33 0.00 39,574.33 0.00 401,034.73 Ending Balance Var: -162,179.11 # 17389 -1,288,658.78 -500,845.41 -4,607,634.68 0.00 401,034.73 -5,008,669.41 0.00 3,900,000.00 0.00 0.00 0.00 0.00 0.00 295,326.24 0.00 295,326.24 3,910.04 0.00 0.00 270,541.56 21,481.00 0.00 17389 Var: -161,797.96 219 Iptip income tax APRIL IPTIP Cash Receipts Batch 50102-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 5,025,000.00 0.00 3,900,000.00 950,000.00 -3,766,471.72 79 10488 - Pekin Public Library Ck# 106707 calendar year 2012 march distribution 219 IPTIP PPRT APRIL IPTIP # 17389 Cash Receipts Batch 50102-04-2012 276 10488 - Pekin Public Library Ck# 107178 calendar year april distribution 100-990-412200 4/30/2012 # 219 Iptip Home rule sales tax APRIL IPTIP# Cash Receipts Batch 50102-04-2012 100-990-411004 Totals: Replacement P/p Tax - Sta 4/12/2012 Var: -32,651.78 219 Rev-Sales APRIL IPTIP Cash Receipts Batch 50102-04-2012 100-990-411003 4/30/2012 Ck# 0 219 IPTIP local use APRIL IPTIP Cash Receipts Batch 50102-04-2012 100-990-410900 Totals: Municipal Sales Tax Debit This Period 1,256,007.00 4/9/2012 100-990-410900 Beginning Balance -4,061,797.96 950,000.00 0.00 -867,028.59 25,391.04 270,541.56 -1,112,179.11 0.00 2,447,496.00 0.00 0.00 0.00 0.00 0.00 176,599.42 Page 59 Account Number Description 100-990-413001 100-990-413000 Totals: Illinois Income Tax Surch 100-990-414001 100-990-413001 Totals: Local Use Gas Tax 100-990-414100 100-990-414001 Totals: Food & Beverage Tax 4/3/2012 CR 12 4/3/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 Var: 12,061.58 Var: 285,000.00 3 Food and Beverage Ol Dad's # 16564 Cash Receipts Batch 50103-04-2012 15 Food & Beverage Tax Ol Dad's # 16566 Cash Receipts Batch 50003-04-2012 53 Food and Beverage Wendy's # 16705 Cash Receipts Batch 50006-04-2012 53 Food and Beverage LaGondola Spaghetti # House, 16706 Inc Cash Receipts Batch 50006-04-2012 53 Food and Beverage Double D's Ice Creme # 16707 Cash Receipts Batch 50006-04-2012 60 Food and Beverage Twisted Spoke Saloon # 16750 Inc. Cash Receipts Batch 50010-04-2012 69 Food and Beverage Arby's Roast Beef #Restaurant 16770 Cash Receipts Batch 50011-04-2012 69 Food and Beverage Fast Dragon Restaurant # 16771 Inc. Cash Receipts Batch 50011-04-2012 69 Food and Beverage New Fast Dragon Buffet, # 16772 Inc. Cash Receipts Batch 50011-04-2012 78 Food and Beverage Dairy Queen # 16818 Cash Receipts Batch 50512-04-2012 78 Food and Beverage China Express # 16819 Cash Receipts Batch 50512-04-2012 96 Food and Beverage Burger King #1142# 16884 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Pekin Park District# 16885 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Pizza Hut of America # Inc. 16886 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Hardee's # 16887 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Kentucky Fried Chicken # 16888 Cash Receipts Batch 50016-04-2012 96 Food and Beverage China King # 16890 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 2,447,496.00 0.00 -2,258,835.00 0.00 176,599.42 -2,435,434.42 0.00 285,000.00 0.00 0.00 0.00 0.00 285,000.00 950,000.00 0.00 0.00 0.00 0.00 0.00 193.82 0.00 3.89 0.00 2,932.14 0.00 1,327.66 0.00 54.63 0.00 540.48 0.00 2,801.98 0.00 326.64 0.00 790.63 0.00 848.61 0.00 200.28 0.00 1,383.18 0.00 295.42 0.00 1,438.66 0.00 2,890.98 0.00 1,959.81 0.00 165.08 Page 60 Account Number Description 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Starbucks # 16891 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Steak n Shake # 16892 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Taco Bell # 16893 Cash Receipts Batch 50016-04-2012 111 Food and Beverage Ginger Asian Bistro # 16915 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Culvers # 16924 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Pekin Family Restaurant # 16925 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Hallmark House Nursing # 16926 Center Cash Receipts Batch 50017-04-2012 115 Food and Beverage McDonald's # 16959 Cash Receipts Batch 50018-04-2012 115 Food and Beverage County Market #149 # 16961 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Lee's Family Restaurant # 16962 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Roadhouse Bar & Grill, # 16963 Inc Cash Receipts Batch 50018-04-2012 115 Food and Beverage Subway on 8th # 16964 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Subway on Court # 16965 Cash Receipts Batch 50018-04-2012 115 Food and Beverage Freedom Oil Company # 16966 Cash Receipts Batch 50018-04-2012 149 Food and Beverage American Legion Post # 17012 44 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Cobbler Corner # 17013 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Domino Pizza # 17014 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Ernie's Family Restaurant # 17015 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Little Ceasars Pizza# 17016 Cash Receipts Batch 50020-04-2012 149 Food and Beverage CJ's Cafe # 17017 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Sunset Hills Country # Club 17018 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 1,839.32 0.00 4,389.30 0.00 3,484.58 0.00 264.82 0.00 2,874.98 0.00 318.90 0.00 94.47 0.00 13,118.95 0.00 84.94 0.00 84.68 0.00 126.84 0.00 1,319.75 0.00 1,176.44 0.00 7.19 0.00 59.42 0.00 374.04 0.00 576.06 0.00 1,254.09 0.00 1,438.87 0.00 477.78 0.00 864.28 Ending Balance Page 61 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Oriental Palace # 17024 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Amvets # 17027 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Our Inn Place # 17028 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Monical Pizza Corporation # 17029 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Memorial Hospital # 17030 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's of East Peoria # 17031 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Boat Club # 17032 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Andy's Diner # 17034 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Koch Street Bar &#Grill, 17035 Inc. Cash Receipts Batch 50020-04-2012 149 Food and Beverage Hacienda Fuentes # 17036 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Long John Silvers # 17037 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Bob Evans Farms Inc. # 17038 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's Dome # 17040 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Courtyard Cafe # 17041 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Fiesta Ranchera Restaurant # 17044 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Yesterday's Bar & #Grill 17056 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Friends Tap # 17062 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Moose Lodge # #916 17063 Cash Receipts Batch 50020-04-2012 159 Food and Beverage Camille's # 17072 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Rhythm & Brews # 17073 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Goodfella's Pub & #Pizza 17086 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 378.12 0.00 222.51 0.00 689.63 0.00 2,362.75 0.00 609.62 0.00 4,326.18 0.00 264.79 0.00 395.68 0.00 404.30 0.00 1,158.02 0.00 1,451.22 0.00 1,941.51 0.00 500.62 0.00 35.30 0.00 940.92 0.00 256.44 0.00 255.93 0.00 700.20 0.00 623.94 0.00 213.74 0.00 1,194.70 Ending Balance Page 62 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Boardwalk, Inc. # 17087 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Schnuck Markets, Inc. # 17088 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Pottsie's Place # 17092 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Spudnut, Inc. # 17093 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Missy's Corner Cafe # 17096 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Kouri's Pub # 17097 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Villas Michoacan Restaurante # 17098 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jimmy John's # 17099 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Golden Buffett # 17100 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Mike's Knot Just Ribs, # 17101 Inc. Cash Receipts Batch 50023-04-2012 159 Food and Beverage Instant Replay # 17103 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Quiznos #9037 # 17105 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sunset Lanes # 17106 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sweet Spot # 17107 Cash Receipts Batch 50023-04-2012 159 Food and Beverage McCritter's # 17108 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Papa John's #206 # 17109 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Applebee's # 17113 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sonic Drive-In # 17114 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jac's Doghouse # 17115 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Hole in the Wall, Inc. # 17116 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Godfather's Pizza Inc. # 17117 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 332.50 0.00 441.54 0.00 303.10 0.00 267.81 0.00 301.87 0.00 4,489.22 0.00 243.20 0.00 2,535.77 0.00 151.44 0.00 15.90 0.00 222.83 0.00 674.03 0.00 275.64 0.00 502.19 0.00 393.39 0.00 1,056.92 0.00 3,178.67 0.00 1,008.41 0.00 552.22 0.00 281.48 0.00 925.08 Ending Balance Page 63 Account Number Description 4/25/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-990-414200 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 100-990-440223 4/30/2012 GL 100-990-440231 4/30/2012 GL 950,000.00 180,000.00 -887,234.17 Var: 3,854.37 180,000.00 47,880.00 -161,389.61 269 monthly admin costs transfer 100-990-440223 Totals: Transfer From Sewerage 12 Var: -27,290.21 115 Package Liquor County Market 149 # 16960 Cash Receipts Batch 50018-04-2012 149 Package Liquor Broadway Liquor # 17033 Cash Receipts Batch 50020-04-2012 149 Package Liquor Beck Oil Company of #Illinois 17039 Cash Receipts Batch 50020-04-2012 159 Package Liquor Schnuck Markets, Inc # 17089 Cash Receipts Batch 50023-04-2012 159 Package Liquor Kroger # 17090 Cash Receipts Batch 50023-04-2012 159 Package Liquor Wal-Mart # 17091 Cash Receipts Batch 50023-04-2012 159 Package Liquor Quick Pic # 17095 Cash Receipts Batch 50023-04-2012 159 Package Liquor Ace Liquor # 17104 Cash Receipts Batch 50023-04-2012 100-990-414200 Totals: Transfer From Solid Waste 12 Beginning Balance Cash Receipts Batch 50023-04-2012 178 Food and Beverage Knights of Columbus # 17155 Cash Receipts Batch 50025-04-2012 205 Food and Beverage Ol Dad's # 17292 Cash Receipts Batch 50030-04-2012 205 Food and Beverage 8th Street Station # 17293 Cash Receipts Batch 50030-04-2012 206 Food & Beverage Tax OL DAD'S/INTEREST/MARCH # 17304 Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET/MARCH # 17306 INTEREST Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET ST./JAN. # 17308 INT. Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET/FEB # 17309 INT DUE Cash Receipts Batch 50230-04-2012 100-990-414100 Totals: Packaged Liquor Tax 4/18/2012 Budget 269 monthly admin costs transfer GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 12.96 47,880.00 57,324.00 -43,878.12 Debit This Period Credit This Period 0.00 217.30 0.00 180.22 0.00 172.34 0.00 3.60 0.00 1.75 0.00 10.86 0.00 7.05 0.00 90,056.04 0.00 963.76 0.00 3,571.52 0.00 1,394.64 0.00 2,101.34 0.00 1,285.58 0.00 1,876.65 0.00 286.26 0.00 3,276.27 0.00 14,756.02 0.00 3,988.92 0.00 3,988.92 0.00 9,554.00 Ending Balance -977,290.21 -176,145.63 -47,867.04 Page 64 Account Number 100-990-440232 4/30/2012 GL Description 100-990-440231 Totals: Transfer From Storm Water 12 Var: -57,324.00 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 57,324.00 57,324.00 -105,094.00 0.00 9,554.00 -114,648.00 0.00 4,777.00 269 monthly admin costs transfer 100-990-440240 100-990-440232 Totals: Transfer From Motor Fuel 100-990-440261 57,324.00 0.00 -52,547.00 0.00 4,777.00 -57,324.00 100-990-440240 Totals: Transfer From Hud #2 0.00 0.00 0.00 0.00 0.00 0.00 100-990-440261 Totals: Transfer From Capital Projects 0.00 0.00 0.00 0.00 0.00 0.00 100-990-440445 100-990-440445 Totals: Transfer From School Bus 0.00 17,160.00 0.00 0.00 0.00 0.00 100-990-440501 0.00 5,289.85 4/30/2012 GL 12 269 monthly admin costs transfer 100-990-440695 100-990-440501 Totals: Transfer from Insurance 100-990-440900 100-990-440695 Totals: Transfer From Tpcc 4/3/2012 AR 12 Var: 0.00 Var: -46,318.20 17,160.00 0.00 -58,188.35 0.00 5,289.85 -63,478.20 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,875.00 9 AR Invoices 00005.04.2012 100-990-442500 100-990-440900 Totals: Federal Grants 100-990-442600 0.00 0.00 -5,625.00 0.00 1,875.00 -7,500.00 100-990-442500 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 100-990-442600 Totals: County Grants 0.00 0.00 0.00 0.00 0.00 0.00 100-990-442700 100-990-442700 Totals: Sales - Ordinances And Ma 0.00 0.00 0.00 0.00 0.00 0.00 100-990-451900 100-990-451900 Totals: Good Energy Revenue 0.00 0.00 0.00 0.00 0.00 0.00 100-990-455001 0.00 -63,549.37 0.00 0.00 -63,549.37 100-990-455001 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -7,500.00 Var: -63,549.37 Page 65 Account Number Description 100-990-455002 4/30/2012 CR Budget Municipal Telecommunictns 12 # 17389 100-990-455002 Totals: Franchise Fee - Cable Tv Var: 167,151.55 100-990-455003 Totals: Late Payment Penalty Var: -110,254.80 100-990-463500 CR 12 4/25/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 100-990-463600 4/30/2012 CR 100-990-490100 12 4/9/2012 CR 12 4/9/2012 CR 12 4/20/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Var: -3,683.72 Var: -22.88 53 Interest general fund INTEREST WIRED # 4/5/12 16682 Cash Receipts Batch 50006-04-2012 53 Interest general fund INTEREST/WIRED # 4-6-12 16683 Cash Receipts Batch 50006-04-2012 149 Interest general fund 1st TENN BANK/CD # 17060 INT Cash Receipts Batch 50020-04-2012 205 Interest general fund CD INT/ALLY BANK # 17281 Cash Receipts Batch 50030-04-2012 219 Iptip Interest APRIL IPTIP # 17389 Cash Receipts Batch 50102-04-2012 285 Interest general fund MARCH CM INTEREST # 17788 Cash Receipts Batch 50118-04-2012 286 Interest general fund February CM interest # 17799 Cash Receipts Batch 50121-04-2012 287 Interest general fund February CM interest # 17803 Cash Receipts Batch 50221-04-2012 287 Interest general fund April CM interest # 17805 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 85,710.71 Ending Balance -972,137.74 0.00 85,710.71 -1,057,848.45 300,000.00 0.00 -410,254.80 0.00 0.00 -410,254.80 0.00 19.38 0.00 21.73 0.00 18.02 0.00 17.23 0.00 76.36 0.00 1.70 0.00 1.70 0.00 1,747.78 0.00 1,747.78 0.00 1,747.78 0.00 2,496.82 0.00 11.37 0.00 3,043.64 0.00 2,867.18 2,867.18 0.00 0.00 2,867.18 0.00 0.00 -3,607.36 206 Cash Entry Generated Interest Charge 8th # Street 17305 Station Cash Receipts Batch 50230-04-2012 100-990-463600 Totals: Interest Earnings Credit This Period 1,225,000.00 300,000.00 3 10% Penalty Food Beverage/Liquor Ol#Dad's 16564 Cash Receipts Batch 50103-04-2012 178 10% Penalty Food Beverage/Liquor Knights # 17155 of Columbus Cash Receipts Batch 50025-04-2012 205 10% Penalty Food Beverage/Liquor Ol#Dad's 17292 Cash Receipts Batch 50030-04-2012 205 10% Penalty Food Beverage/Liquor 8th# Street 17293 Station Cash Receipts Batch 50030-04-2012 100-990-463500 Totals: Interest Charge Debit This Period 1,225,000.00 219 Iptip Telecom Tax APRIL IPTIP Cash Receipts Batch 50102-04-2012 100-990-455003 4/3/2012 Beginning Balance 0.00 158,000.00 -21.18 -3,683.72 -22.88 Page 66 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 158,000.00 0.00 -119,360.07 2,867.18 16,529.53 -133,022.42 Cash Receipts Batch 50221-04-2012 100-990-490800 100-990-490100 Totals: Developer Agreements 100-990-490800 Totals: Prorated Re Tax/city Prop 0.00 0.00 0.00 0.00 0.00 0.00 100-990-491300 100-990-491300 Totals: Incr/decr Investment Valu 0.00 0.00 0.00 0.00 0.00 0.00 100-990-491900 100-990-491900 Totals: Bond Proceeds - Principal 0.00 0.00 0.00 0.00 0.00 0.00 100-990-492000 100-990-492000 Totals: Non Sufficient Funds Fee 0.00 0.00 0.00 0.00 0.00 0.00 100-990-498900 0.00 25.00 0.00 25.00 0.00 25.00 4/11/2012 CR 12 4/23/2012 CR 12 4/30/2012 CR 12 Var: 24,977.58 69 NSF Fees S. McBride/chk #514 # 16774 Cash Receipts Batch 50011-04-2012 164 NSF Fees High Octane Saloon LLC Ashley/Jeff # 17133Nizzia Cash Receipts Batch 02723-04-2012 206 NSF Fees 8TH STREET STATION # 17307 Cash Receipts Batch 50230-04-2012 100-990-499150 100-990-498900 Totals: Suits And Settlements 100-990-499400 0.00 0.00 -75.00 0.00 75.00 -150.00 100-990-499150 Totals: Proceeds Of Auction 0.00 0.00 0.00 0.00 0.00 0.00 100-990-499400 Totals: Bid Bonds 0.00 0.00 0.00 0.00 0.00 0.00 100-990-499520 100-990-499520 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 100-990-499800 0.00 -6,866.79 0.00 0.00 -6,866.79 17,226,191.00 -16,139,728.41 32,656.88 1,420,165.07 -17,527,236.60 100-990-499800 Totals: 100-990 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -150.00 Var: -6,866.79 Page 67 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 19,059,738.82 -18,087,553.33 74,233.31 1,625,676.04 -19,638,996.06 EXPENSE 100-001 100-001-510100 Salary: Elected Officials 50,000.00 4/3/2012 PR 12 19 Computer Checks Batch 2012 04 00007 3,750.02 0.00 4/30/2012 PR 12 261 Computer Checks Batch 2012 05 00009 3,750.02 0.00 7,500.04 0.00 3,878.27 5,365.44 8,032.11 346.16 0.00 0.00 0.00 0.00 17,621.98 0.00 2,596.16 346.16 450.00 0.00 0.00 0.00 100-001-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-001-515500 4/18/2012 4/30/2012 4/30/2012 PR PR PR 100-001-510100 Totals: Salary: All Personnel 12 12 12 12 19 123 261 288 50,000.00 200,000.00 37,916.87 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-001-511600 Totals: Vacation Pay 12 12 12 Var: 4,583.09 Var: 121,236.57 200,000.00 0.00 61,141.45 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 45,416.91 78,763.43 100-001-515500 Totals: Holiday Pay Var: -5,123.12 0.00 0.00 1,730.80 3,392.32 0.00 5,123.12 100-001-515600 100-001-515600 Totals: Sick Pay Var: -2,076.96 0.00 0.00 2,076.96 0.00 0.00 2,076.96 100-001-515800 100-001-515800 Totals: Oasdi/city Share 6.2% Var: -475.97 0.00 13,590.00 475.97 0.00 0.00 475.97 100-001-517000 469.52 485.10 743.41 48.53 0.00 0.00 0.00 0.00 1,746.56 0.00 109.81 113.45 173.86 11.35 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-001-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-001-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 Var: 5,505.43 13,590.00 2,575.87 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 6,338.01 8,084.57 Page 68 Account Number 100-001-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 100-001-517001 Totals: Imrf 12 12 12 12 19 123 261 288 Var: 685.13 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 2,575.87 16,169.44 1,482.27 408.47 0.00 1,890.74 520.97 1,198.22 1,198.22 119.83 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-001-517401 Totals: Icma Retirement Var: 6,895.18 16,169.44 4,200.00 6,237.02 3,037.24 0.00 9,274.26 100-001-517402 100-001-517402 Totals: Group Insurance Var: 4,200.00 4,200.00 15,888.29 0.00 0.00 0.00 0.00 100-001-518000 744.99 1,323.14 1,323.14 129.12 1,335.70 0.00 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 4/30/2012 PR PR PR PR GL 12 12 12 12 12 19 123 261 288 292 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 kief, weichel, miller, ghidina 1st two ins prems 100-001-518100 100-001-518000 Totals: Liability Insurance 100-001-518200 15,888.29 0.00 11,999.66 4,856.09 0.00 16,855.75 100-001-518100 Totals: Unemployment Insurance 0.00 0.00 0.00 0.00 0.00 0.00 100-001-518200 Totals: Workers Comp Insurance 0.00 421.13 0.00 0.00 0.00 0.00 100-001-518300 100-001-518300 Totals: Mileage 421.13 3,000.00 421.13 0.00 0.00 421.13 100-001-518700 Ck# 106963 300.00 0.00 Ck# 106855 250.00 0.00 550.00 0.00 253.48 0.00 253.48 0.00 4/26/2012 AP 12 4/26/2012 AP 12 100-001-519000 4/12/2012 AP 184 10716 - Joseph Wuellner mileage reimbursement/wuellner 184 11651 - Darin Girdler mileage reimbursement/girdler 100-001-518700 Totals: Training And Education 12 Var: -967.46 Var: -1,350.84 3,000.00 2,700.00 3,800.84 79 11433 - Visa (business) Ck# 106747 distracted driving and government employees/girdler 100-001-519000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -135.58 2,700.00 2,582.10 4,350.84 2,835.58 Page 69 Account Number Description 100-001-520200 Office Supplies 4/12/2012 AP 12 4/30/2012 GL 12 100-001-520400 4/2/2012 GL Budget 12 Debit This Period Credit This Period 42.58 0.00 144.75 0.00 187.33 0.00 7.35 0.00 Ending Balance 200.00 79 10706 - Will Harms Co receipt books 279 april office supplies 100-001-520200 Totals: Postage Beginning Balance Ck# 106752 Var: -794.65 200.00 500.00 807.32 260 april 2012 postage 994.65 100-001-520400 Totals: Lease/rental Of Equipment Var: 183.98 500.00 0.00 308.67 7.35 0.00 316.02 100-001-524000 100-001-524000 Totals: Equipment Var: -17.91 0.00 100.00 17.91 0.00 0.00 17.91 100-001-529000 100-001-529000 Totals: Equipment Repairs Var: -127.00 100.00 0.00 227.00 0.00 0.00 227.00 100-001-534400 100-001-534400 Totals: Maintenance Agreements 0.00 0.00 0.00 0.00 0.00 0.00 100-001-538000 5.97 0.00 5.97 0.00 Ck# 106746 73.70 0.00 Ck# 106855 75.00 0.00 4/12/2012 AP 100-001-550300 12 79 11073 - Comcast Cable adapter box at city hall 100-001-538000 Totals: Telephone 4/12/2012 AP 12 4/26/2012 AP 12 Ck# 106616 Var: -94.92 79 10685 - Verizon Wireless cell phone for wuellner 184 11651 - Darin Girdler cell phone reimbursement/girdler 100-001-550300 Totals: Printing And Publications Var: -10,119.95 100-001-551000 100-001-551600 100-001-551000 Totals: Dues And Subscriptions 100-001-554200 100-001-551600 Totals: Meals 4/26/2012 AP 12 4/2/2012 GL 12 88.95 94.92 500.00 500.00 10,471.25 148.70 0.00 10,619.95 Var: -526.90 500.00 2,500.00 1,026.90 0.00 0.00 1,026.90 Var: -1,172.18 2,500.00 2,250.00 3,672.18 0.00 0.00 3,672.18 225.00 0.00 0.00 25.00 184 10478 - Pekin Area Chamber of Commerce Ck# 106903 annual chamber dinner 223 chamber dinner spouse/barra GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 500.00 Page 70 Account Number 4/2/2012 GL Description 12 Budget 237 chamber dinner spouse ticket/abel 100-001-555000 100-001-554200 Totals: Radio Expense 100-001-559000 100-001-555000 Totals: Medical Expense/supplies 100-001-560500 100-001-559000 Totals: Consulting Fees 100-001-560500 Totals: Corporate Counsel Fees Var: 1,000.00 100-001-560600 100-001-560600 Totals: Other Contractual Service Var: -175.00 100-001-569000 100-001-587100 100-001-569000 Totals: Office Equipment And Furn 100-001-598100 100-001-587100 Totals: Public Relations 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Beginning Balance Var: 1,915.87 25.00 225.00 50.00 334.13 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 175.00 0.00 0.00 175.00 0.00 500.00 0.00 0.00 0.00 0.00 500.00 14,000.00 0.00 0.00 0.00 0.00 Ck# 106591 37.95 0.00 Ck# 106754 2,200.00 0.00 Ck# 106754 2,950.00 0.00 Ck# 106747 143.84 0.00 Ck# 107115 6.00 0.00 Ck# 107229 58.70 0.00 100-001-598100 Totals: Miscellaneous Var: 4,493.67 100-001-599000 Totals: Computer Software Var: -105.25 100-001-599801 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 Ending Balance 159.13 100-001-599000 100-001-599801 Totals: Credit This Period 2,250.00 0.00 Var: 500.00 79 10038 - Atlas Supply Company foam cups for break area 79 10721 - XWaste Inc spruce up pekin in october 2009 79 10721 - XWaste Inc spruce up pekin in may 2011 79 11433 - Visa (business) coffee supplies 276 10222 - Paula Gensel 2 cases of water/gensel 276 11433 - Visa (business) creamer and spoons for city hall Debit This Period 14,000.00 0.00 4,109.84 5,396.49 0.00 9,506.33 0.00 0.00 105.25 0.00 0.00 105.25 0.00 0.00 0.00 0.00 0.00 Page 71 Account Number Description 100-001-599802 Computer Hardware 100-001-599802 Totals: 100-001 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 99.99 0.00 0.00 99.99 330,594.73 157,472.47 45,337.02 50.00 202,759.49 0.00 Var: -99.99 Page 72 Account Number Description 100-003 100-003-519000 Training And Education Budget Beginning Balance Debit This Period Credit This Period Ending Balance 500.00 0.00 0.00 0.00 0.00 0.00 500.00 100-003-520200 100-003-519000 Totals: Office Supplies 100-003-520200 Totals: Postage 0.00 0.00 0.00 0.00 0.00 0.00 100-003-520400 100-003-520400 Totals: Photographic Supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-003-522000 100-003-522000 Totals: Printing And Publications 0.00 1,500.00 0.00 0.00 0.00 0.00 100-003-551000 100-003-551000 Totals: Dues And Subscriptions Var: 1,500.00 1,500.00 1,000.00 0.00 0.00 0.00 0.00 100-003-551600 100-003-551600 Totals: Legal Books Var: 1,000.00 1,000.00 0.00 0.00 0.00 0.00 0.00 100-003-553100 100-003-553100 Totals: Mealslodging Var: -1,704.50 0.00 0.00 1,704.50 0.00 0.00 1,704.50 100-003-554200 100-003-554200 Totals: Corporate Counsel Fees 0.00 210,000.00 0.00 0.00 0.00 0.00 100-003-560600 Ck# 106628 8,500.00 0.00 Ck# 106628 125.00 0.00 62.50 0.00 31.25 0.00 1,750.00 0.00 125.00 0.00 375.00 0.00 562.50 0.00 4/12/2012 AP 12 4/12/2012 AP 12 Var: 500.00 79 10166 - Elliff, Dancey & Bosich retainer for 4/1/12-4/30/12 79 10166 - Elliff, Dancey & Bosich 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 Re: animal control lawsuit 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: evans devlopment 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: greer admin appeal 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: hunter appeal 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: impoundment lawsuit 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: liquor appeal litigation 2/1/12-2/29/12 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: liquor commission 2/1/12-2/29/12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 73 Account Number 4/12/2012 AP 100-003-561000 Description 12 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Beginning Balance Debit This Period Credit This Period 4,718.75 0.00 16,250.00 0.00 Ck# 106892 817.80 0.00 Ck# 106892 770.80 0.00 Ck# 106892 47.00 0.00 79 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: traffic, misdemeanor, ordiance violation&PD 2/1/12-2/29/12 100-003-560600 Totals: Legal Fees 4/26/2012 Budget 184 10423 - Miller Hall & Triggs labor general 184 10423 - Miller Hall & Triggs labor general 184 10423 - Miller Hall & Triggs labor general Var: 2,378.17 100-003-561000 Totals: Other Contractual Service Var: 41,079.61 100-003-569000 100-003-569000 Totals: Suits And Damages Var: -65.00 100-003-593000 100-003-599000 210,000.00 65,000.00 191,371.83 Ending Balance 207,621.83 65,000.00 0.00 22,284.79 1,635.60 0.00 23,920.39 0.00 0.00 65.00 0.00 0.00 65.00 100-003-593000 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-003-599000 Totals: 0.00 0.00 0.00 0.00 0.00 278,000.00 215,426.12 17,885.60 0.00 233,311.72 100-003 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 74 Account Number Description 100-004 100-004-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-004-515500 4/18/2012 4/30/2012 PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 Debit This Period Credit This Period 4,402.40 4,249.68 4,211.50 287.52 0.00 0.00 0.00 0.00 13,151.10 0.00 76.36 76.36 0.00 0.00 Ending Balance 114,457.70 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-004-511600 Totals: Vacation Pay 12 12 Beginning Balance Var: 19,147.67 114,457.70 0.00 82,158.93 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 95,310.03 100-004-515500 Totals: Holiday Pay Var: -13,289.22 0.00 0.00 13,136.50 152.72 0.00 13,289.22 100-004-515600 100-004-515600 Totals: Sick Pay Var: -3,962.16 0.00 0.00 3,962.16 0.00 0.00 3,962.16 100-004-515800 76.36 114.54 152.72 0.00 0.00 0.00 343.62 0.00 269.08 269.08 269.08 26.92 0.00 0.00 0.00 0.00 834.16 0.00 62.93 62.93 62.93 6.29 0.00 0.00 0.00 0.00 195.08 0.00 662.56 662.56 662.56 66.25 0.00 0.00 0.00 0.00 4/18/2012 4/30/2012 4/30/2012 PR PR PR 100-004-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-004-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-004-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-004-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 19 123 261 288 2,195.38 Var: 46.47 7,096.38 1,659.64 6,215.75 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-004-517001 Totals: Imrf 12 12 12 12 0.00 7,096.38 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-004-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -2,539.00 Var: 10.90 1,659.64 13,734.92 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,453.66 2,539.00 7,049.91 1,648.74 Page 75 Account Number 100-004-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 100-004-517401 Totals: Group Insurance 12 12 12 12 19 123 261 288 Var: -1,166.38 100-004-518000 Totals: Liability Insurance Prem Var: -1,107.99 100-004-518100 Totals: Workers Comp Insurance Var: -376.54 100-004-518300 100-004-518700 100-004-518300 Totals: Mileage 100-004-519000 100-004-520200 GL 100-004-520400 4/2/2012 GL Beginning Balance Debit This Period Credit This Period Ending Balance 13,734.92 18,308.46 12,847.37 2,053.93 0.00 14,901.30 856.62 856.62 856.62 82.99 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-004-518100 4/30/2012 Budget 18,308.46 5,379.15 16,763.60 2,652.85 0.00 19,416.45 5,379.15 297.57 5,755.69 0.00 0.00 5,755.69 Var: -44.00 297.57 100.00 341.57 0.00 0.00 341.57 100-004-518700 Totals: Training And Education Var: 100.00 100.00 2,500.00 0.00 0.00 0.00 0.00 100-004-519000 Totals: Office Supplies Var: 1,433.51 2,500.00 300.00 1,066.49 0.00 0.00 1,066.49 57.90 0.00 57.90 0.00 21.35 0.00 12 279 april office supplies 100-004-520200 Totals: Postage 12 Var: -17.52 300.00 200.00 259.62 260 april 2012 postage 100-004-524000 100-004-520400 Totals: Lease/rental Of Equipment 100-004-529000 200.00 0.00 304.29 21.35 0.00 325.64 100-004-524000 Totals: Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-004-529000 Totals: Equipment Repairs 0.00 0.00 0.00 0.00 0.00 0.00 100-004-534400 100-004-534400 Totals: Maintenance Agreements 0.00 0.00 0.00 0.00 0.00 0.00 100-004-538000 100-004-538000 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -125.64 317.52 Page 76 Account Number Description 100-004-550300 Telephone 100-004-551000 100-004-550300 Totals: Printing And Publications 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 100-004-551600 4/12/2012 AP 79 10407 - Sue McMillan 1/2 kiwanis dues/mcmillan Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 Ck# 106582 169.70 0.00 Ck# 106705 87.80 0.00 Ck# 106904 156.20 0.00 413.70 0.00 50.00 0.00 0.00 0.00 6,000.00 79 10016 - Allegra Print & Imaging license books 79 10794 - Pekin Daily Times ord. hearing vacating alleys 184 10794 - Pekin Daily Times electricty aggregation public hearing 100-004-551000 Totals: Dues And Subscriptions 12 Budget Var: 2,065.86 6,000.00 500.00 3,520.44 Ck# 106685 3,934.14 100-004-551600 Totals: Mealslodging Var: 20.00 500.00 25.00 430.00 50.00 0.00 480.00 100-004-554200 100-004-554200 Totals: Medical Expense/supplies Var: 25.00 25.00 0.00 0.00 0.00 0.00 0.00 100-004-559000 100-004-559000 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 100-004-569000 100-004-569000 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-004-587100 100-004-587100 Totals: Miscellaneous 0.00 750.00 0.00 0.00 0.00 0.00 100-004-599000 100-004-599000 Totals: Computer Software 750.00 0.00 0.00 0.00 0.00 0.00 100-004-599801 100-004-599801 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 100-004-599802 100-004-599802 Totals: 0.00 0.00 0.00 0.00 0.00 171,308.82 150,411.45 19,926.41 0.00 170,337.86 100-004 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 750.00 Page 77 Account Number Description 100-005 100-005-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Salary: All Personnel 12 12 12 12 19 123 261 288 100-005-511600 Totals: Overtime 100-005-515500 100-005-515000 Totals: Vacation Pay 100-005-515600 100-005-515500 Totals: Holiday Pay 100-005-515800 100-005-517000 PR PR PR PR 100-005-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-005-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Beginning Balance Debit This Period Credit This Period 2,520.00 2,820.00 2,520.00 252.00 0.00 0.00 0.00 0.00 Ending Balance 61,712.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-005-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 Budget 61,712.00 0.00 53,255.88 8,112.00 0.00 61,367.88 0.00 0.00 0.00 0.00 0.00 0.00 Var: -1,386.00 0.00 0.00 1,386.00 0.00 0.00 1,386.00 100-005-515600 Totals: Sick Pay Var: -2,259.28 0.00 0.00 2,259.28 0.00 0.00 2,259.28 100-005-515800 Totals: Oasdi/city Share 6.2% Var: -409.50 0.00 3,826.14 409.50 0.00 0.00 409.50 154.59 173.19 154.59 15.48 0.00 0.00 0.00 0.00 497.85 0.00 36.16 40.51 36.16 3.62 0.00 0.00 0.00 0.00 116.45 0.00 379.26 424.41 379.26 37.93 0.00 0.00 0.00 0.00 1,220.86 0.00 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-005-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 19 123 261 288 Var: -191.72 3,826.14 894.82 3,520.01 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-005-517001 Totals: Imrf 12 12 12 12 Var: 344.12 Var: -44.61 894.82 11,182.21 822.98 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-005-517401 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 2,830.70 11,182.21 7,130.65 4,017.86 939.43 8,351.51 Page 78 Account Number 100-005-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Description Budget Group Insurance 6,091.51 Beginning Balance Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 278.47 278.47 278.47 24.30 0.00 0.00 0.00 0.00 Ending Balance 100-005-518000 Totals: Liability Insurance Prem Var: -221.69 6,091.51 2,689.05 5,453.49 859.71 0.00 6,313.20 100-005-518100 100-005-518100 Totals: Workers Comp Insurance Var: -188.23 2,689.05 133.24 2,877.28 0.00 0.00 2,877.28 100-005-518300 100-005-518300 Totals: Mileage 133.24 0.00 133.24 0.00 0.00 133.24 100-005-518700 100-005-518700 Totals: Training And Education 0.00 2,000.00 3,144.46 0.00 0.00 3,144.46 100-005-519000 295.00 0.00 35.36 0.00 330.36 0.00 Ck# 106752 52.06 0.00 Ck# 106960 23.04 0.00 57.90 0.00 133.00 0.00 3.75 0.00 4/12/2012 AP 12 4/30/2012 AP 12 100-005-520200 AP 12 4/26/2012 AP 12 4/30/2012 GL 12 100-005-520400 4/2/2012 GL 79 11433 - Visa (business) Ck# 106747 impa-conference & certification/s. newcomb 276 11045 - Sarah Newcomb Ck# 107164 imrf rate meeting/newcomb, s. 100-005-519000 Totals: Office Supplies 4/12/2012 79 10706 - Will Harms Co padholders, rack, drawer tray 184 10706 - Will Harms Co office supplies - personnel 279 april office supplies 100-005-520200 Totals: Postage 12 Var: -3,144.46 Var: 415.01 Var: 1,138.69 2,000.00 1,720.00 1,720.00 600.00 1,254.63 448.31 260 april 2012 postage 100-005-524000 100-005-520400 Totals: Lease/rental Of Equipment 100-005-529000 581.31 600.00 0.00 322.83 3.75 0.00 326.58 100-005-524000 Totals: Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-005-529000 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 273.42 1,584.99 Page 79 Account Number Description 100-005-534400 Equipment Repairs Budget 100-005-534400 Totals: Maintenance Agreements 100-005-538000 Totals: Telephone Var: 55.00 100-005-550300 100-005-550300 Totals: Printing And Publications Var: -227.70 100-005-551000 AP 100-005-551600 4/30/2012 AP 12 276 11875 - Screen Graphics business cards/newcomb, s 100-005-551000 Totals: Dues And Subscriptions 12 Credit This Period Ending Balance 0.00 100.00 0.00 0.00 0.00 0.00 100.00 0.00 45.00 0.00 0.00 45.00 0.00 3,500.00 227.70 0.00 0.00 227.70 40.00 0.00 40.00 0.00 154.62 0.00 Ck# 107203 Var: -364.99 276 11433 - Visa (business) helpdesk domain name/newcomb, s 3,500.00 1,200.00 3,824.99 Ck# 107229 100-005-551600 Totals: Meals Var: 579.38 100-005-554200 100-005-554200 Totals: Medical Expense/supplies Var: -530.06 100-005-559000 100-005-569000 100-005-559000 Totals: Other Contractual Service 100-005-587100 100-005-569000 Totals: Office Equipment And Furn 100-005-597900 100-005-587100 Totals: Employee Recognition 100-005-597900 Totals: Miscellaneous Var: 1,091.17 100-005-599000 100-005-599000 Totals: Computer Software Var: -177.28 100-005-599801 100-005-599802 100-005-599801 Totals: Computer Hardware GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period 0.00 100-005-538000 4/30/2012 Beginning Balance Var: -180.00 3,864.99 1,200.00 0.00 466.00 154.62 0.00 620.62 0.00 0.00 530.06 0.00 0.00 530.06 0.00 100.00 0.00 0.00 0.00 0.00 100.00 0.00 280.00 0.00 0.00 280.00 0.00 3,000.00 0.00 0.00 0.00 0.00 3,000.00 0.00 1,908.83 0.00 0.00 1,908.83 0.00 0.00 177.28 0.00 0.00 177.28 0.00 0.00 0.00 0.00 0.00 0.00 Page 80 Account Number Description 100-005-599802 Totals: 100-005 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 98,748.97 89,878.40 11,468.60 0.00 101,347.00 Page 81 Account Number Description 100-006 100-006-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-006-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-006-515500 4/3/2012 4/18/2012 4/30/2012 PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 19 123 261 288 12 12 12 Var: 15,582.07 143,726.12 0.00 111,298.63 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-006-515000 Totals: Vacation Pay Debit This Period Credit This Period 5,441.50 5,631.04 5,357.60 415.28 0.00 0.00 0.00 0.00 16,845.42 0.00 110.48 234.76 220.96 27.62 0.00 0.00 0.00 0.00 593.82 0.00 147.28 73.64 268.00 0.00 0.00 0.00 Ending Balance 143,726.12 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-006-511600 Totals: Overtime 12 12 12 12 Beginning Balance Var: -3,896.96 0.00 0.00 3,303.14 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 128,144.05 3,896.96 100-006-515500 Totals: Holiday Pay Var: -7,712.12 0.00 0.00 7,223.20 488.92 0.00 7,712.12 100-006-515600 100-006-515600 Totals: Sick Pay Var: -4,684.72 0.00 0.00 4,684.72 0.00 0.00 4,684.72 100-006-515800 36.82 220.92 0.00 0.00 257.74 0.00 346.34 372.65 353.19 26.91 0.00 0.00 0.00 0.00 1,099.09 0.00 81.00 87.15 82.60 6.30 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 PR PR 100-006-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-006-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 100-006-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 0.00 8,911.02 776.83 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-006-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -1,034.57 Var: 11.59 8,911.02 2,084.03 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 7,800.34 1,034.57 8,899.43 Page 82 Account Number 100-006-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-006-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 100-006-517001 Totals: Imrf 12 12 12 12 19 123 261 288 19 123 261 288 Beginning Balance Debit This Period Credit This Period Ending Balance 2,084.03 17,247.13 1,823.95 257.05 0.00 2,081.00 863.28 927.14 879.91 66.65 0.00 0.00 0.00 0.00 2,736.98 0.00 1,901.29 1,901.29 1,901.29 108.40 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-006-517401 Totals: Group Insurance 12 12 12 12 Var: 3.03 Budget Var: -2,132.34 17,247.13 36,650.85 16,642.49 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-006-518000 Totals: Liability Insurance Prem Var: -4,004.54 100-006-518100 100-006-518100 Totals: Unemployment Insurance Var: -188.23 100-006-518200 100-006-518300 19,379.47 36,650.85 2,689.05 34,843.12 5,812.27 0.00 40,655.39 2,689.05 0.00 2,877.28 0.00 0.00 2,877.28 100-006-518200 Totals: Workers Comp Insurance 0.00 373.69 0.00 0.00 0.00 0.00 100-006-518300 Totals: Mileage 373.69 0.00 373.69 0.00 0.00 373.69 100-006-518700 100-006-518700 Totals: Training And Education 0.00 2,000.00 0.00 0.00 0.00 0.00 100-006-519000 52.00 0.00 30.00 0.00 82.00 0.00 427.08 0.00 57.90 0.00 484.98 0.00 4/12/2012 AP 12 4/30/2012 AP 12 100-006-520200 79 10175 - Angie Evans Ck# 106629 train ticket for 06/10/20120 - a. evans 276 11433 - Visa (business) Ck# 107229 continuing ed. ilgfoa/evans, a 100-006-519000 Totals: Office Supplies 4/12/2012 AP 12 4/30/2012 GL 12 Var: -4,711.86 79 10143 - Curtis 1000 Inc - Midwest voucher forms 279 april office supplies 100-006-520200 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 2,000.00 1,656.00 6,629.86 Ck# 106621 Var: -914.90 1,656.00 2,085.92 6,711.86 2,570.90 Page 83 Account Number 100-006-520400 4/2/2012 GL 12 Description Budget Postage 3,000.00 260 april 2012 postage 100-006-520900 100-006-520400 Totals: Transfer To Tpccc 100-006-524000 100-006-520900 Totals: Lease/rental Of Equipment 100-006-529000 100-006-524000 Totals: Equipment 100-006-534400 100-006-529000 Totals: Equipment Repairs 100-006-538000 100-006-534400 Totals: Maintenance Agreements 100-006-550300 100-006-538000 Totals: Telephone 100-006-551000 100-006-550300 Totals: Printing And Publications 4/26/2012 AP 12 Beginning Balance Var: 755.81 Var: 1,500.00 Var: 290.00 184 10143 - Curtis 1000 Inc - Midwest laser checks 100-006-551000 Totals: Dues And Subscriptions Var: 2,085.70 100-006-551600 Totals: Mealslodging Var: -1,329.80 100-006-554200 100-006-559000 Credit This Period 172.61 0.00 Ending Balance 3,000.00 0.00 2,071.58 172.61 0.00 2,244.19 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 0.00 0.00 490.00 0.00 0.00 0.00 0.00 490.00 0.00 200.00 0.00 0.00 200.00 0.00 5,550.00 0.00 0.00 0.00 0.00 446.94 0.00 Ck# 106833 100-006-551600 Debit This Period 5,550.00 250.00 3,017.36 446.94 0.00 3,464.30 250.00 0.00 1,579.80 0.00 0.00 1,579.80 100-006-554200 Totals: Medical Expense/supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-006-559000 Totals: Auditing Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-006-560100 100-006-560100 Totals: Collection Agency Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-006-560800 22.80 0.00 4/26/2012 AP 12 184 10296 - IL Collections Unlimited GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 106865 Page 84 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance march 2012 collections Re: street dept collection fee 100-006-560800 Totals: Other Contractual Service Var: -22.80 0.00 180.00 0.00 22.80 0.00 22.80 100-006-569000 100-006-569000 Totals: Office Equipment And Furn Var: 90.00 180.00 0.00 90.00 0.00 0.00 90.00 100-006-587100 100-006-587100 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-006-599000 100-006-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 100-006-599801 100-006-599801 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 100-006-599802 100-006-599802 Totals: 0.00 0.00 0.00 0.00 0.00 226,307.89 207,321.91 29,300.62 0.00 236,622.53 100-006 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 85 Account Number Description 100-007 100-007-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 100-007-511600 Totals: Overtime Var: -82,342.30 100-007-515000 Totals: Vacation Pay Var: -1,918.62 100-007-515500 PR 12 Debit This Period Credit This Period 10,458.40 4,292.96 5,958.40 595.84 0.00 0.00 0.00 0.00 Ending Balance 141,448.69 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-007-515000 4/18/2012 Beginning Balance 141,448.69 0.00 202,485.39 21,305.60 0.00 223,790.99 0.00 0.00 1,918.62 0.00 0.00 1,918.62 968.72 0.00 123 Computer Checks Batch 2012 04 00008 100-007-515500 Totals: Holiday Pay Var: -13,920.74 0.00 0.00 12,952.02 968.72 0.00 13,920.74 100-007-515600 100-007-515600 Totals: Sick Pay Var: -9,220.16 0.00 0.00 9,220.16 0.00 0.00 9,220.16 100-007-515800 696.72 0.00 696.72 0.00 631.50 357.61 357.61 35.86 0.00 0.00 0.00 0.00 1,382.58 0.00 147.68 83.63 83.63 8.39 0.00 0.00 0.00 0.00 323.33 0.00 1,573.99 896.74 896.74 89.67 0.00 0.00 0.00 0.00 4/18/2012 PR 100-007-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-007-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-007-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 123 Computer Checks Batch 2012 04 00008 100-007-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 19 123 261 288 1,567.99 Var: -6,361.39 8,769.82 2,051.01 13,748.63 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-007-517001 Totals: Imrf 12 12 12 12 0.00 8,769.82 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-007-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -2,264.71 Var: -1,513.23 2,051.01 16,973.84 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 3,240.91 2,264.71 15,131.21 3,564.24 Page 86 Account Number 100-007-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 100-007-517401 Totals: Group Insurance 12 12 12 12 19 123 261 288 Var: -15,476.77 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 16,973.84 34,196.75 28,993.47 3,457.14 0.00 32,450.61 1,981.73 1,403.58 1,403.58 132.07 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-007-518000 Totals: Liability Insurance Packa Var: -7,816.16 100-007-518100 34,196.75 3,241.35 37,091.95 4,920.96 0.00 42,012.91 100-007-518100 Totals: Unemployment Insurance Var: -226.89 100-007-518200 3,241.35 0.00 3,468.24 0.00 0.00 3,468.24 100-007-518300 100-007-518200 Totals: Workers Comp Insurance 0.00 5,601.37 0.00 0.00 0.00 0.00 100-007-518300 Totals: Mileage 5,601.37 0.00 5,601.37 0.00 0.00 5,601.37 100-007-518700 100-007-518700 Totals: Training And Education 0.00 2,800.00 0.00 0.00 0.00 0.00 100-007-519000 50.00 0.00 400.00 0.00 500.00 0.00 500.00 0.00 693.93 0.00 2,143.93 0.00 151.96 0.00 57.90 0.00 209.86 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-007-520200 4/26/2012 4/30/2012 AP GL 100-007-520231 79 11433 - Visa (business) Ck# 106747 countinuing education/d. newcomb 79 11838 - Cloudpoint Geographics Inc. Ck# 106615 training on GPS collection unit - public works dept 184 11845 - Northern Illinois University Ck# 106898 ilgisa spring conference/d. newcomb 276 11433 - Visa (business) Ck# 107229 continuing education/newcomb, d 276 11788 - Dan Newcomb Ck# 107163 ilgisa conf & idot docs class/newcomb, d. 100-007-519000 Totals: Office Supplies 12 184 10706 - Will Harms Co 12 cartridges for mapping 279 april office supplies 100-007-520200 Totals: Transfer To Sewerage Fund GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -708.04 2,800.00 600.00 1,364.11 Ck# 106960 Var: -270.53 600.00 0.00 660.67 3,508.04 870.53 Page 87 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-007-520231 Totals: Transfer To Motor Fuel 0.00 0.00 0.00 0.00 0.00 0.00 100-007-520240 100-007-520240 Totals: Transfer To Hud #2 0.00 0.00 0.00 0.00 0.00 0.00 100-007-520261 100-007-520261 Totals: Postage 0.00 150.00 0.00 0.00 0.00 0.00 100-007-520400 3.65 0.00 4/2/2012 GL 12 260 april 2012 postage 100-007-522000 100-007-520400 Totals: Photographic Supplies 100-007-522400 100-007-522000 Totals: General Supplies 100-007-524000 100-007-522400 Totals: Lease/rental Of Equipment 100-007-529000 100-007-524000 Totals: Equipment 100-007-534000 100-007-529000 Totals: Automotive Expense 4/30/2012 WO 12 Var: 1.31 Var: 150.00 100-007-534000 Totals: Equipment Repairs Var: 921.37 100-007-534400 Totals: Maintenance Agreements Var: -1,047.84 100-007-538000 100-007-550300 100-007-538000 Totals: Telephone AP 100-007-551000 12 145.04 3.65 0.00 148.69 0.00 150.00 0.00 0.00 0.00 0.00 150.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 431.18 0.00 283 WO Dist Batch WO3 - 00001.04.2012 100-007-534400 4/12/2012 150.00 0.00 79 10685 - Verizon Wireless cell phone for guerra & d. newcomb 100-007-550300 Totals: Printing And Publications GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,500.00 0.00 147.45 431.18 0.00 578.63 0.00 0.00 1,047.84 0.00 0.00 1,047.84 0.00 1,000.00 0.00 0.00 0.00 0.00 90.07 0.00 90.07 0.00 Ck# 106746 Var: 102.06 1,000.00 175.00 807.87 897.94 Page 88 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-007-551000 Totals: Dues And Subscriptions Var: -69.70 175.00 825.00 244.70 0.00 0.00 244.70 100-007-551600 100-007-551600 Totals: Mealslodging Var: 228.30 825.00 90.00 596.70 0.00 0.00 596.70 100-007-554200 100-007-554200 Totals: Uniforms And Tools Var: 90.00 90.00 600.00 0.00 0.00 0.00 0.00 100-007-554300 100-007-554300 Totals: Radio Expense Var: 453.64 600.00 0.00 146.36 0.00 0.00 146.36 100-007-555000 100-007-555000 Totals: Gasoline/diesel Fuel 0.00 1,500.00 0.00 0.00 0.00 0.00 100-007-556100 47.03 0.00 4/30/2012 WO 12 275 WO Dist Batch IC1 - 00008.04.2012 100-007-557200 100-007-556100 Totals: License And Inspection Fe 100-007-559000 100-007-557200 Totals: Medical Expense/supplies 100-007-560600 100-007-559000 Totals: Corporate Counsel Fees 100-007-561200 1,500.00 0.00 1,251.50 47.03 0.00 1,298.53 0.00 300.00 0.00 0.00 0.00 0.00 300.00 0.00 105.25 0.00 0.00 105.25 100-007-560600 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-007-561200 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 100-007-569000 100-007-569000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-007-587000 100-007-587000 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-007-587100 100-007-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-007-587500 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 201.47 Var: 194.75 Page 89 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-007-587500 Totals: Lien Filing Fee 0.00 0.00 0.00 0.00 0.00 0.00 100-007-593300 100-007-593300 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-007-599000 100-007-599000 Totals: Computer Software 0.00 0.00 69.70 0.00 0.00 69.70 100-007-599801 100-007-599801 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 100-007-599802 100-007-599802 Totals: Depreciation Expense 0.00 0.00 382.00 0.00 0.00 382.00 100-007-599900 0.00 0.00 0.00 0.00 0.00 221,972.83 327,257.94 35,980.77 0.00 363,238.71 100-007-599900 Totals: 100-007 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -69.70 Var: -382.00 Page 90 Account Number Description 100-009 100-009-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-009-515000 4/3/2012 PR 100-009-515500 4/30/2012 PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 12 Var: 13,071.14 107,943.13 0.00 83,664.15 19 Computer Checks Batch 2012 04 00007 100-009-515000 Totals: Vacation Pay Debit This Period Credit This Period 4,099.46 3,206.28 3,639.40 262.70 0.00 0.00 0.00 0.00 11,207.84 0.00 39.41 0.00 39.41 0.00 512.60 0.00 Ending Balance 107,943.13 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-009-511600 Totals: Overtime 12 Beginning Balance Var: -2,026.03 0.00 0.00 1,986.62 261 Computer Checks Batch 2012 05 00009 94,871.99 2,026.03 100-009-515500 Totals: Holiday Pay Var: -7,632.50 0.00 0.00 7,119.90 512.60 0.00 7,632.50 100-009-515600 100-009-515600 Totals: Sick Pay Var: -3,531.76 0.00 0.00 3,531.76 0.00 0.00 3,531.76 100-009-515800 52.54 945.72 0.00 0.00 998.26 0.00 245.63 243.18 243.18 15.97 0.00 0.00 0.00 0.00 747.96 0.00 57.45 56.87 56.87 3.74 0.00 0.00 0.00 0.00 174.93 0.00 630.81 624.88 0.00 0.00 4/3/2012 4/18/2012 PR PR 100-009-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-009-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-009-517401 4/3/2012 4/18/2012 PR PR 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 100-009-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 1,680.01 Var: 87.81 6,692.48 1,565.18 5,856.71 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-009-517001 Totals: Imrf 12 12 0.00 6,692.48 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-009-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -2,678.27 Var: 20.52 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,565.18 12,953.18 1,369.73 2,678.27 6,604.67 1,544.66 Page 91 Account Number 4/30/2012 4/30/2012 PR PR 100-009-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-009-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: -1,361.03 12,953.18 24,433.90 12,394.10 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-009-518000 Totals: Liability Insurance Prem Var: -1,716.54 100-009-518100 100-009-518100 Totals: Unemployment Insurance Var: -251.00 100-009-518200 100-009-518300 100-009-518700 Debit This Period Credit This Period 624.88 39.54 0.00 0.00 1,920.11 0.00 1,156.30 1,156.30 1,156.30 61.32 0.00 0.00 0.00 0.00 Ending Balance 14,314.21 24,433.90 3,585.75 22,620.22 3,530.22 0.00 26,150.44 3,585.75 0.00 3,836.75 0.00 0.00 3,836.75 100-009-518200 Totals: Workers Comp Insurance 0.00 280.65 0.00 0.00 0.00 0.00 100-009-518300 Totals: Mileage 280.65 500.00 280.65 0.00 0.00 280.65 Ck# 107199 22.20 0.00 Ck# 107199 27.75 0.00 4/30/2012 AP 12 4/30/2012 AP 12 276 10572 - Tom Schaub mileage for march 2012/schaub 276 10572 - Tom Schaub mileage for april 2012/schaub 100-009-518700 Totals: Training And Education Var: 192.56 500.00 3,000.00 257.49 49.95 0.00 307.44 100-009-519000 100-009-519000 Totals: Office Supplies Var: 2,751.00 3,000.00 500.00 249.00 0.00 0.00 249.00 100-009-520200 100-009-520200 Totals: Postage Var: 315.14 500.00 100.00 184.86 0.00 0.00 184.86 100-009-520400 40.90 0.00 4/30/2012 AP 12 276 10672 - UPS Ck# 107224 shipped parts to be repaired to Data 911 100-009-529000 100-009-520400 Totals: Equipment Var: 23.43 100.00 100.00 35.67 40.90 0.00 76.57 100-009-529000 Totals: Var: 100.00 100.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 92 Account Number 100-009-534400 4/26/2012 AP 100-009-538000 12 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/12/2012 AP Budget Equipment Repairs 2,000.00 Var: -1,506.15 2,000.00 53,800.00 552.50 79 10050 - Basic Information TechnologyCk# 106597 march 2012 maintenance contract - i.t. dept 184 10050 - Basic Information TechnologyCk# 106807 may 2012 maintenance - i.t. dept 184 10944 - Burst Technology, Inc Ck# 106812 network management software renewal - i.t. dept 184 11363 - CPL Systems Ltd Ck# 106830 server closet temperature monitoring - i.t. dept 276 10475 - Pearl Technology Ck# 107174 backup software license renewal 100-009-538000 Totals: Telephone 12 Beginning Balance 184 10050 - Basic Information TechnologyCk# 106807 repair workroom scanner - i.t. dept 100-009-534400 Totals: Maintenance Agreements 4/12/2012 100-009-550300 Description 79 10685 - Verizon Wireless cell phones for i.t. dept Var: 21,691.50 53,800.00 1,000.00 29,161.50 Ck# 106746 100-009-550300 Totals: Printing And Publications Var: -339.04 100-009-551000 100-009-551600 100-009-551000 Totals: Dues And Subscriptions 100-009-554200 100-009-551600 Totals: Mealslodging 100-009-559000 Debit This Period Credit This Period 2,953.65 0.00 2,953.65 0.00 69.00 0.00 69.00 0.00 2,499.00 0.00 200.00 0.00 110.00 0.00 2,947.00 0.00 131.72 0.00 Ending Balance 3,506.15 32,108.50 1,000.00 100.00 1,207.32 131.72 0.00 1,339.04 Var: 100.00 100.00 100.00 0.00 0.00 0.00 0.00 Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 100-009-554200 Totals: Medical Expense/supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-009-559000 Totals: Other Contractual Service 0.00 33,000.00 0.00 0.00 0.00 0.00 100-009-569000 100-009-569000 Totals: Office Equipment And Furn Var: 30,710.00 33,000.00 0.00 2,290.00 0.00 0.00 2,290.00 100-009-587100 100-009-587100 Totals: Miscellaneous Var: -349.99 0.00 0.00 349.99 0.00 0.00 349.99 100-009-599000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 93 Account Number 100-009-599801 Description Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 65,815.00 0.00 0.00 0.00 0.00 454.00 0.00 1,424.05 0.00 1,878.05 0.00 Ck# 106902 107.00 0.00 Ck# 106902 2,011.00 0.00 407.00 0.00 90.00 0.00 1,126.00 0.00 0.00 436.00 1,097.00 0.00 43.00 0.00 184.00 0.00 1,354.00 0.00 1,907.00 0.00 8,196.00 0.00 249.99 0.00 151.66 0.00 100-009-599000 Totals: Computer Software 4/26/2012 AP 12 4/26/2012 AP 12 100-009-599802 Budget 184 10608 - Solarwinds Inc Ck# 106934 network management software - i.t. dept 184 11863 - TeamViewer GmbH Ck# 106947 remote access software - i.t. dept 100-009-599801 Totals: Computer Hardware 4/26/2012 AP 12 4/26/2012 AP 12 Var: 21,078.95 184 10475 - Pearl Technology laptop battery for sandifar - i.t. dept 184 10475 - Pearl Technology 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 65,815.00 25,000.00 42,858.00 server for trans. dept software (mitchell) - i.t. dept 10475 - Pearl Technology Ck# 106902 lcd monitors for gensel and bass- i.t. dept 10475 - Pearl Technology Ck# 106902 backup tapes for koch st- i.t. dept 10475 - Pearl Technology Ck# 106902 external storage device/d. newcomb- i.t. dept 10475 - Pearl Technology Ck# 106902 returned hardware- i.t. dept 10475 - Pearl Technology Ck# 106902 laptop and docking station/chief c. nelson- i.t. dept 10475 - Pearl Technology Ck# 106902 kvm switch for koch st. servers- i.t. dept 10475 - Pearl Technology Ck# 106902 memory & expansion card/d. newcomb- i.t. dept 10475 - Pearl Technology Ck# 107174 battery backup units for server closet 10475 - Pearl Technology Ck# 107174 lcd monitors (inventory) 10475 - Pearl Technology Ck# 107174 hp workstations (inventory) 11433 - Visa (business) Ck# 107229 printer for shaw 11433 - Visa (business) Ck# 107229 battery backup for as400 100-009-599802 Totals: 100-009 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -16,204.64 44,736.05 25,000.00 24,716.99 16,923.65 436.00 41,204.64 342,469.27 246,203.92 44,056.25 436.00 289,824.17 Page 94 Account Number Description 100-010 100-010-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 Beginning Balance 100-010-511600 Totals: Overtime 100-010-515500 Credit This Period 1,735.97 1,482.42 780.21 273.07 0.00 0.00 0.00 0.00 Ending Balance 55,000.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-010-515000 Debit This Period 55,000.00 0.00 38,308.24 4,271.67 0.00 42,579.91 100-010-515000 Totals: Vacation Pay 0.00 0.00 0.00 0.00 0.00 0.00 100-010-515500 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 100-010-515600 100-010-515600 Totals: Sick Pay 0.00 0.00 0.00 0.00 0.00 0.00 100-010-515800 100-010-515800 Totals: Oasdi/city Share 6.2% 0.00 3,410.00 0.00 0.00 0.00 0.00 100-010-517000 107.63 91.91 48.37 16.93 0.00 0.00 0.00 0.00 264.84 0.00 25.17 21.50 11.31 3.96 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-010-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-010-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 Var: 12,420.09 Var: 770.02 3,410.00 797.50 2,375.14 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-010-517401 100-010-517001 Totals: Imrf 100-010-518000 100-010-518100 797.50 0.00 555.49 61.94 0.00 617.43 100-010-517401 Totals: Group Insurance 0.00 0.00 0.00 0.00 0.00 0.00 100-010-518000 Totals: Liability Ins Prem 0.00 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 180.07 2,639.98 Page 95 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-010-518100 Totals: Workers Comp Insurance 0.00 143.00 0.00 0.00 0.00 0.00 100-010-518300 100-010-518300 Totals: Mileage 143.00 0.00 143.00 0.00 0.00 143.00 100-010-518700 100-010-518700 Totals: Training And Education 0.00 500.00 0.00 0.00 0.00 0.00 100-010-519000 100-010-519000 Totals: Office Supplies 500.00 0.00 368.20 0.00 0.00 368.20 100-010-520200 100-010-520200 Totals: Postage 0.00 0.00 0.00 0.00 0.00 0.00 100-010-520400 100-010-520400 Totals: Equipment 0.00 0.00 28.12 0.00 0.00 28.12 100-010-529000 100-010-529000 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 100-010-551000 100-010-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 100-010-551600 100-010-551600 Totals: Auditing Fees 0.00 0.00 180.00 0.00 0.00 180.00 100-010-560100 100-010-560100 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 100-010-569000 100-010-569000 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-010-599000 100-010-599000 Totals: 0.00 0.00 0.00 0.00 0.00 59,850.50 41,958.19 4,598.45 0.00 46,556.64 100-010 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 131.80 Var: -28.12 Var: -180.00 Page 96 Account Number Description 100-032 100-032-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-032-515000 4/3/2012 4/18/2012 4/30/2012 PR PR PR 100-032-515500 4/3/2012 4/18/2012 4/30/2012 PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 12 12 12 Var: 12,578.58 425,713.60 0.00 362,510.96 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 100-032-515000 Totals: Vacation Pay Debit This Period Credit This Period 18,414.59 14,451.97 16,507.98 1,249.52 0.00 0.00 0.00 0.00 50,624.06 0.00 1,682.88 233.37 161.58 0.00 0.00 0.00 2,077.83 0.00 627.80 1,164.48 1,296.93 0.00 0.00 0.00 Ending Balance 425,713.60 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-032-511600 Totals: Overtime 12 12 12 Beginning Balance Var: -22,044.51 0.00 0.00 19,966.68 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 413,135.02 22,044.51 100-032-515500 Totals: Holiday Pay Var: -46,482.13 0.00 0.00 43,392.92 3,089.21 0.00 46,482.13 100-032-515600 100-032-515600 Totals: Sick Pay Var: -22,525.56 0.00 0.00 22,525.56 0.00 0.00 22,525.56 100-032-515800 76.29 268.86 568.46 209.52 0.00 0.00 0.00 0.00 1,123.13 0.00 1,264.31 979.08 1,126.53 89.18 0.00 0.00 0.00 0.00 3,459.10 0.00 295.71 229.00 263.44 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-032-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-032-517001 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-032-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 0.00 26,394.24 10,576.04 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-032-517000 Totals: Medicare/city Share 1.45% 12 12 12 Var: -11,699.17 Var: -5,110.78 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 26,394.24 6,172.85 28,045.92 11,699.17 31,505.02 Page 97 Account Number 4/30/2012 PR 100-032-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-032-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 4/30/2012 PR PR PR PR GL Description 12 19 123 261 288 19 123 261 288 292 Var: -1,195.18 6,172.85 50,319.35 6,559.03 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-032-517401 Totals: Group Insurance 12 12 12 12 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-032-517001 Totals: Imrf 12 12 12 12 Budget Var: -16,574.94 50,319.35 84,615.57 58,328.73 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 kief, weichel, miller, ghidina 1st two ins prems Debit This Period Credit This Period 20.85 0.00 809.00 0.00 3,130.61 2,425.89 2,789.49 219.57 0.00 0.00 0.00 0.00 8,565.56 0.00 4,959.84 3,938.43 4,511.10 279.95 1,037.58 0.00 0.00 0.00 0.00 0.00 Ending Balance 7,368.03 66,894.29 100-032-518000 Totals: Liability Insurance Packa Var: -14,037.56 84,615.57 19,808.25 83,926.23 14,726.90 0.00 98,653.13 100-032-518100 100-032-518100 Totals: Workers Comp Insurance Var: -1,386.58 19,808.25 23,749.27 21,194.83 0.00 0.00 21,194.83 100-032-518300 100-032-518300 Totals: Mileage 23,749.27 0.00 23,749.27 0.00 0.00 23,749.27 100-032-518700 100-032-518700 Totals: Training And Education 0.00 1,500.00 0.00 0.00 0.00 0.00 100-032-519000 100-032-519000 Totals: Transfer To General Fund 1,500.00 0.00 540.43 0.00 0.00 540.43 100-032-520100 100-032-520100 Totals: Office Supplies 0.00 750.00 0.00 0.00 0.00 0.00 100-032-520200 Ck# 107233 7.00 0.00 Ck# 107233 1.00 0.00 Ck# 107229 156.47 0.00 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: 959.57 276 10706 - Will Harms Co office supplies - street dept 276 10706 - Will Harms Co office supplies - street dept 276 11433 - Visa (business) camera, case and batter - street dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 98 Account Number Description 100-032-520231 100-032-520200 Totals: Transfer To Sewerage Fund 100-032-520400 100-032-520231 Totals: Postage 4/2/2012 GL 12 100-032-520400 Totals: Transfer To Tpccc 100-032-522000 100-032-520900 Totals: Photographic Supplies 100-032-522400 100-032-522000 Totals: General Supplies AP 12 4/12/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 750.00 0.00 864.03 164.47 0.00 1,028.50 0.00 160.00 0.00 0.00 0.00 0.00 3.60 0.00 260 april 2012 postage 100-032-520900 4/12/2012 Var: -278.50 Budget Var: 115.72 79 10414 - Menard's paint for light poles - street dept 79 10414 - Menard's 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/2/2012 4/30/2012 GL AP 12 12 224 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 160.00 0.00 40.68 3.60 0.00 44.28 0.00 0.00 0.00 0.00 0.00 0.00 0.00 21,000.00 0.00 0.00 0.00 0.00 Ck# 106688 39.94 0.00 Ck# 106688 18.33 0.00 15.00 0.00 32.67 0.00 13.02 0.00 16.94 0.00 646.46 0.00 141.11 0.00 20.77 0.00 20.98 0.00 170.00 56.04 0.00 0.00 39.25 0.00 11.08 0.00 paint for polles downtown - street dept 10704 - Wieland's Lawn Mower Hospital Ck# 106751 sharpen chain saw - street dept 11841 - Brinda Cheek Ck# 106610 batteries, cover for bobs cell phone and chime for door/cheek 10181 - Fastenal Company Ck# 106843 zinc hex lags for sign shop 10206 - Fourteenth Street Hardware Ck# 106848 pipe and couplings for new compressor - street dept 10371 - Lawson Products Inc Ck# 106879 nuts, bolts, supplies for shop - street dept 10560 - Safety Kleen Corp Ck# 106923 solvent for parts cleanout booth - street dept 10911 - Ace Hardware Ck# 106792 plier, blade and utility knife - street dept 11569 - Eastern Big R Stores, Inc. Ck# 106839 oil and filter for new compressor transfer of gloves 10181 - Fastenal Company Ck# 107107 zipties for shop - street dept 10181 - Fastenal Company Ck# 107107 bolts for sign truck - street dept 10181 - Fastenal Company Ck# 107107 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 99 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 Budget Beginning Balance bolts for shop - street dept 276 10659 - Tractor Supply Co Ck# 107217 couplers for shop 276 10825 - Nieman Foods Inc Ck# 107165 credits from account 30005 - street dept Debit This Period Credit This Period 14.97 0.00 0.00 22.05 Ending Balance 100-032-522400 Totals: Traffic / Street Signs An Var: 9,942.94 21,000.00 15,000.00 9,822.55 1,256.56 22.05 11,057.06 100-032-523000 100-032-523000 Totals: Lease/rental Of Equipment Var: 14,923.57 15,000.00 3,000.00 76.43 0.00 0.00 76.43 100-032-524000 100-032-524000 Totals: Equipment Var: -1,688.23 3,000.00 0.00 4,688.23 0.00 0.00 4,688.23 100-032-529000 17.49 0.00 439.98 0.00 3.99 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 79 10206 - Fourteenth Street Hardware Ck# 106634 broom for shop - street dept 79 11806 - HSBC Business Solutions Ck# 106654 bench chain grinder and 1 year hotline - street dept 184 11569 - Eastern Big R Stores, Inc. Ck# 106839 grass seed - street dept 100-032-532000 100-032-529000 Totals: Electronic Equipment Main 100-032-534000 100-032-532000 Totals: Automotive Expense 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 Var: -12,282.19 79 10206 - Fourteenth Street Hardware Ck# 106634 nuts and bolts for sweeper - street dept 79 10206 - Fourteenth Street Hardware Ck# 106634 water tube for rollers - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept 79 10375 - Let It Shine Ck# 106678 street 1 carwash - street dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 11,820.73 461.46 0.00 12,282.19 0.00 101,000.00 0.00 0.00 0.00 0.00 6.00 0.00 4.20 0.00 11.00 0.00 11.00 0.00 11.00 0.00 11.00 0.00 11.00 0.00 11.00 0.00 Page 100 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 WO 12 100-032-534400 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Beginning Balance 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 battery for roller - street dept 79 10495 - Pence's Ag Repair Inc Ck# 106710 inspection on bucket truck - street dept 79 11569 - Eastern Big R Stores, Inc. Ck# 106627 ball trailer hitch for street 1 79 11830 - Hotsy Equipment Co. Ck# 106651 nozzle for eagle sweeper per bob 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 floor mats for ST1 184 10495 - Pence's Ag Repair Inc Ck# 106910 inspection on dump truck #14 and camera van 184 10495 - Pence's Ag Repair Inc Ck# 106910 inspection on #453 - street dept 184 10495 - Pence's Ag Repair Inc Ck# 106910 inspection of dump truck #8 276 10375 - Let It Shine Ck# 107143 april car washes - street dept 283 WO Dist Batch WO3 - 00001.04.2012 100-032-534000 Totals: Equipment Repairs 4/12/2012 Budget Var: 34,156.94 79 10579 - Schwartz Electric Ck# 106722 damaged by ITV3 # 1811 valencia 79 10579 - Schwartz Electric Ck# 106722 replace street light knocked down@6th & park ave 79 10579 - Schwartz Electric Ck# 106722 credit for street light knocked down@6th & park ave 79 10579 - Schwartz Electric Ck# 106722 replaced ballast, lamps@linden & willow 79 10579 - Schwartz Electric Ck# 106722 replaced ballast, lamps@22 cape ct 184 10579 - Schwartz Electric Ck# 106926 repair street light at dogwood & aspen 184 10579 - Schwartz Electric Ck# 106926 repair street light at 232 dogwood 276 10579 - Schwartz Electric Ck# 107202 hooked up new compressor at shop 276 10579 - Schwartz Electric Ck# 107202 checked light at 1713 heisel 276 10579 - Schwartz Electric Ck# 107202 replace photo cells at crescent & eisenhower & truman GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 101,000.00 85,000.00 57,729.30 Debit This Period Credit This Period 33.83 0.00 21.50 0.00 25.59 0.00 11.15 0.00 29.99 0.00 53.50 0.00 21.50 0.00 21.50 0.00 33.00 0.00 8,786.00 0.00 9,113.76 0.00 1,380.65 0.00 5,996.00 0.00 0.00 2,856.00 311.44 0.00 110.50 0.00 337.32 0.00 294.82 0.00 94.72 0.00 172.50 0.00 166.84 0.00 Ending Balance 66,843.06 Page 101 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-032-534900 4/26/2012 AP Var: -17,410.46 184 11858 - Judy Oltman 50% share of sidewalk replacement 100-032-534900 Totals: Material And Hauling Var: 238.00 100-032-535000 Totals: Tree Removal / Replacemen Var: 5,000.00 100-032-536000 100-032-536300 100-032-536000 Totals: Snow Removal - Salt And C 100-032-538000 100-032-536300 Totals: Maintenance Agreements 100-032-550100 100-032-538000 Totals: Utilities AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Var: 730.82 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - street dept 184 10021 - Amerencilco Ck# 106797 elec at 1208 koch lighting 184 10021 - Amerencilco Ck# 106797 elec at 1140 koch st unit sltdm - street dept 184 10021 - Amerencilco Ck# 106797 elec, gas and lighting at 1208 koch - street dept 184 10021 - Amerencilco Ck# 106797 tax on all street lights GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 85,000.00 12,000.00 95,093.81 Ck# 106900 100-032-535000 4/12/2012 Beginning Balance 276 10579 - Schwartz Electric Ck# 107202 replace photo cells at 11th and kennedy 276 10579 - Schwartz Electric Ck# 107202 replace lamp at 1317 hawthorne 276 10579 - Schwartz Electric Ck# 107202 replace lamp at 1200 kennedy 276 10579 - Schwartz Electric Ck# 107202 repair bar screen at prison 276 10579 - Schwartz Electric Ck# 107202 replace lamp & photocell at vista grande & golf view 276 10579 - Schwartz Electric Ck# 107202 replaced capacitors for compressor 100-032-534400 Totals: Sidewalk Renovation / Ins 12 Budget Debit This Period Credit This Period 384.72 0.00 140.92 0.00 140.92 0.00 266.33 0.00 166.84 0.00 208.13 0.00 10,172.65 2,856.00 210.00 0.00 Ending Balance 102,410.46 12,000.00 5,000.00 11,552.00 210.00 0.00 11,762.00 5,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 1,000.00 30,000.00 269.18 0.00 0.00 269.18 433.96 0.00 60.90 0.00 73.18 0.00 108.42 0.00 623.54 0.00 Page 102 Account Number 4/26/2012 AP 100-032-550300 Description 12 AP 12 4/26/2012 AP 12 100-032-550500 4/12/2012 AP 184 10291 - IL American Water service at 1208 koch st - street dept 100-032-550100 Totals: Telephone 4/12/2012 Debit This Period Credit This Period 28.67 0.00 1,328.67 0.00 Ck# 106746 122.33 0.00 Ck# 106818 23.73 0.00 146.06 0.00 7.72 0.00 7.72 0.00 18.52 0.00 18.52 0.00 40.00 0.00 Var: 1,579.64 79 10021 - Amerencilco Beginning Balance Ck# 106863 Var: 15,239.66 79 10685 - Verizon Wireless cell phone for street dept 184 10111 - CenturyLink phone service - street dept 100-032-550300 Totals: Electricity For Street Li 12 Budget 30,000.00 3,500.00 3,500.00 12,000.00 13,431.67 1,774.30 Ck# 106584 Ending Balance 14,760.34 1,920.36 tax on elec at 500 petri ln metered street lights 100-032-550600 4/26/2012 AP 100-032-551000 4/30/2012 AP 100-032-550500 Totals: Electricity For Signal Li 12 184 10021 - Amerencilco tax on all elec all public property 100-032-550600 Totals: Printing And Publications 12 Var: 6,654.90 276 11875 - Screen Graphics business cards/shaw 12,000.00 1,000.00 5,337.38 Ck# 106797 Var: 316.93 1,000.00 600.00 664.55 Ck# 107203 5,345.10 683.07 100-032-551000 Totals: Dues And Subscriptions Var: -125.39 600.00 225.00 685.39 40.00 0.00 725.39 100-032-551600 100-032-551600 Totals: Meals Var: -3,798.50 225.00 0.00 4,023.50 0.00 0.00 4,023.50 100-032-554200 100-032-554200 Totals: Uniforms And Tools 0.00 4,450.00 0.00 0.00 0.00 0.00 100-032-554300 373.56 0.00 55.95 0.00 149.91 0.00 579.42 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 100-032-555000 79 10490 - Pekin Shoe Repair Ck# 106708 safety boots for lohnes & hangartner - street dept 79 11720 - Twin City Optical Ck# 106742 the other lens for giffhorn's safety glasses 184 11569 - Eastern Big R Stores, Inc. Ck# 106839 shovel and rakes - street dept 100-032-554300 Totals: Radio Expense GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 63.99 4,450.00 0.00 3,806.59 4,386.01 Page 103 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 100-032-556100 4/30/2012 WO Beginning Balance 79 10162 - E & S Communications Ck# 106626 annual repcater rental - street dept 79 10162 - E & S Communications Ck# 106626 installation of 9 new radios - street dept 100-032-555000 Totals: Gasoline/diesel Fuel 12 Budget Var: -27,266.03 0.00 60,000.00 19,582.30 275 WO Dist Batch IC1 - 00008.04.2012 100-032-556100 Totals: License And Inspection Fe Var: 8,339.23 100-032-557200 100-032-557200 Totals: Epa Permits Var: -10.00 100-032-557300 100-032-559000 100-032-557300 Totals: Medical Expense/supplies 100-032-559900 100-032-559000 Totals: Receivable Charge Off 100-032-560500 Debit This Period Credit This Period 750.00 0.00 6,933.73 0.00 7,683.73 0.00 4,190.97 0.00 Ending Balance 27,266.03 60,000.00 200.00 47,469.80 4,190.97 0.00 51,660.77 200.00 0.00 210.00 0.00 0.00 210.00 0.00 1,500.00 0.00 0.00 0.00 0.00 1,500.00 0.00 1,059.07 0.00 0.00 1,059.07 100-032-559900 Totals: Consulting Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-032-560500 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-032-561200 100-032-561200 Totals: Testing - Street Maintena 0.00 0.00 300.45 0.00 0.00 300.45 100-032-561301 100-032-561301 Totals: Drainage Improvements 0.00 0.00 0.00 0.00 0.00 0.00 100-032-564100 100-032-564100 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 100-032-569000 100-032-569000 Totals: Street Maintenance Var: -7,170.59 0.00 200,000.00 7,170.59 0.00 0.00 7,170.59 100-032-569001 100-032-569001 Totals: Purchase Of Property Var: 200,000.00 200,000.00 0.00 0.00 0.00 0.00 0.00 100-032-580200 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 440.93 Var: -300.45 Page 104 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-032-580200 Totals: Land Improvements 0.00 0.00 0.00 0.00 0.00 0.00 100-032-580201 100-032-580201 Totals: Street Construction 0.00 0.00 0.00 0.00 0.00 0.00 100-032-580500 100-032-580500 Totals: Street Repair 0.00 50,000.00 0.00 0.00 0.00 0.00 100-032-580501 100-032-580501 Totals: Sewer Construction 50,000.00 0.00 0.00 0.00 0.00 0.00 100-032-580600 100-032-580600 Totals: Machinery and Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-032-587000 100-032-587000 Totals: Var: -41,500.00 Lease/Purchase of Equipment 0.00 50,000.00 41,500.00 0.00 0.00 41,500.00 100-032-587001 100-032-587001 Totals: Office Equipment 50,000.00 0.00 0.00 0.00 0.00 0.00 100-032-587100 100-032-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-032-587500 100-032-587500 Totals: Bank charges 0.00 0.00 192.21 0.00 0.00 192.21 100-032-590600 100-032-590600 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-032-599000 100-032-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 100-032-599801 100-032-599801 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 100-032-599900 100-032-599900 Totals: 0.00 0.00 0.00 0.00 0.00 1,295,658.13 1,020,481.34 119,852.38 2,878.05 1,137,455.67 100-032 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 50,000.00 Var: 50,000.00 Var: -192.21 Page 105 Account Number Description 100-034 100-034-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-034-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Salary: All Personnel 12 12 12 12 19 123 261 288 100-034-511600 Totals: Overtime 12 12 12 12 19 123 261 288 100-034-515400 100-034-515500 100-034-515600 4/4/2012 PR 100-034-515800 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-034-515900 Debit This Period Credit This Period 124,305.97 121,832.85 121,514.49 19,438.99 0.00 0.00 0.00 0.00 387,092.30 0.00 8,760.02 7,640.84 8,324.83 1,068.57 0.00 0.00 0.00 0.00 Ending Balance 3,597,932.00 Var: 471,705.44 3,597,932.00 200,000.00 2,739,134.26 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-515000 Totals: Longevity Pay PR PR PR Beginning Balance Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-515200 4/3/2012 4/18/2012 4/30/2012 Budget 200,000.00 0.00 236,145.40 25,794.26 0.00 261,939.66 100-034-515200 Totals: Education Pay 0.00 0.00 0.00 0.00 0.00 0.00 100-034-515400 Totals: Vacation Pay 0.00 0.00 0.00 0.00 0.00 0.00 8,061.00 10,281.91 11,782.85 0.00 0.00 0.00 30,125.76 0.00 83,087.68 0.00 83,087.68 0.00 3,342.45 3,620.19 2,985.12 722.54 0.00 0.00 0.00 0.00 12 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 100-034-515500 Totals: Holiday Pay 12 Var: -297,541.94 0.00 165,246.02 267,416.18 23 Computer Checks Batch 2012 04 00034 100-034-515600 Totals: Sick Pay 12 12 12 12 Var: -61,939.66 3,126,226.56 19 123 261 288 Var: -12,947.75 165,246.02 80,100.00 95,106.09 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-515800 Totals: Injury Pay 100-034-515900 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -29,535.59 297,541.94 178,193.77 80,100.00 0.00 98,965.29 10,670.30 0.00 109,635.59 0.00 0.00 0.00 0.00 0.00 Page 106 Account Number 100-034-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-034-517001 4/3/2012 4/4/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR PR 100-034-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-034-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Description Budget Oasdi/city Share 6.2% 2,461.27 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 12 19 23 123 261 288 19 123 261 288 19 123 261 288 2,461.27 51,395.69 2,170.65 Var: 49.86 51,395.69 4,763.74 44,444.93 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-517401 Totals: Group Insurance 12 12 12 12 Var: -5.46 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00034 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-034-517001 Totals: Imrf 12 12 12 12 Beginning Balance Var: -431.54 4,763.74 735,598.35 4,452.95 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 91.74 91.74 91.74 20.86 0.00 0.00 0.00 0.00 296.08 0.00 1,853.49 1,085.83 1,827.65 1,865.67 268.26 0.00 0.00 0.00 0.00 0.00 6,900.90 0.00 229.84 229.84 229.84 52.81 0.00 0.00 0.00 0.00 742.33 0.00 35,225.52 35,225.52 35,225.52 5,441.42 0.00 0.00 0.00 0.00 Ending Balance 2,466.73 51,345.83 5,195.28 100-034-518000 Totals: Liability Insurance Packa Var: -58,899.56 735,598.35 76,721.40 683,379.93 111,117.98 0.00 794,497.91 100-034-518100 100-034-518100 Totals: Unemployment Insurance Var: -10,823.86 76,721.40 0.00 87,545.26 0.00 0.00 87,545.26 100-034-518200 100-034-518200 Totals: Workers Comp Insurance 0.00 240,639.00 0.00 0.00 0.00 0.00 100-034-518300 100-034-518300 Totals: Mileage 240,639.00 0.00 240,639.00 0.00 0.00 240,639.00 100-034-518700 0.00 0.00 0.00 0.00 0.00 100-034-518700 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 107 Account Number Description 100-034-518900 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 AP 12 4/12/2012 AP 12 GL 100-034-520400 4/2/2012 GL 100-034-520900 4/12/2012 AP 12 79 10047 - Dianne Barlow disks/barlow - fire dept 79 11433 - Visa (business) Credit This Period Ck# 107208 48.00 0.00 Ck# 107208 90.00 0.00 Ck# 107208 36.00 0.00 Ck# 107208 90.00 0.00 Ck# 107208 90.00 0.00 Ck# 107208 96.00 0.00 Ck# 107208 90.00 0.00 540.00 0.00 80.20 0.00 155.00 0.00 439.56 0.00 400.00 0.00 1,074.76 0.00 Ck# 106596 14.99 0.00 Ck# 106747 338.50 0.00 57.90 0.00 411.39 0.00 5.30 0.00 5.30 0.00 12 23,086.00 0.00 Var: 1,134.70 27,000.00 60,000.00 25,325.30 Var: 33,406.05 60,000.00 3,800.00 25,519.19 Var: 855.10 3,800.00 550.00 2,533.51 260 april 2012 postage 100-034-520400 Totals: Transfer to TPCC Var: 405.08 79 10642 - USE #10776 INSTEAD TPCCC Ck# 106740 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance 27,000.00 ink cartridge, tower and office supplies - fire dept 279 april office supplies 100-034-520200 Totals: Postage 12 Beginning Balance 79 10047 - Dianne Barlow Ck# 106596 continuing ed./barlow - fire dept 79 11433 - Visa (business) Ck# 106747 mabas conference and trauma - fire dept 276 10261 - Daniel Heisel Ck# 107122 comand & general staff class/heisel - fire dept 276 11156 - University of Illinois-GAR 162Ck# 107223 continuing education/burnett - fire dept 100-034-519000 Totals: Office Supplies 4/12/2012 4/30/2012 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 276 10628 - T Shirt House uniforms/tshirts - fire dept 100-034-518900 Totals: Training And Education 4/12/2012 100-034-520200 Debit This Period Uniform Allowance 4/30/2012 100-034-519000 Budget 550.00 88,120.00 139.62 25,865.30 26,593.95 2,944.90 144.92 Page 108 Account Number 4/2/2012 GL Description 12 Budget Beginning Balance communications service may-july 2012 - fire dept 250 prepaid expense transfer to tpccc Debit This Period Credit This Period 0.00 23,086.00 Ending Balance 100-034-520900 Totals: Photographic Supplies Var: 176.00 88,120.00 850.00 87,944.00 23,086.00 23,086.00 87,944.00 100-034-522000 100-034-522000 Totals: General Supplies Var: 850.00 850.00 4,800.00 0.00 0.00 0.00 0.00 100-034-522400 53.85 0.00 384.43 0.00 50.94 0.00 120.85 0.00 81.79 0.00 236.09 0.00 75.69 0.00 24.94 0.00 44.99 0.00 0.00 323.70 170.00 0.00 79.85 0.00 20.97 0.00 50.69 0.00 250.52 0.00 46.85 0.00 1,846.15 170.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/2/2012 4/30/2012 GL AP 12 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-034-522500 79 10414 - Menard's Ck# 106688 week & feed and 150w halogen light bulbs - fire dept 79 11433 - Visa (business) Ck# 106747 cleaning supplies for cars - fire dept 79 11569 - Eastern Big R Stores, Inc. Ck# 106627 premixed fuel, faucet and undersink drinking water system - fire 184 10414 - Menard's Ck# 106889 floor paintf paint - fire dept 184 10414 - Menard's Ck# 106889 privacy black film and angle broom - fire dept 184 10414 - Menard's Ck# 106889 3 gal paint, paint brushes -- fire dept 184 10414 - Menard's Ck# 106889 3 gal floor paint - fire dept 184 10659 - Tractor Supply Co Ck# 106948 paint - fire dept 184 11569 - Eastern Big R Stores, Inc. Ck# 106839 turf builder - fire dept 224 transfer of gloves 276 10038 - Atlas Supply Company Ck# 107065 towels and floor sealer at fire dept 276 10414 - Menard's Ck# 107148 paint - fire dept 276 10414 - Menard's Ck# 107148 rollers- fire dept 276 10414 - Menard's Ck# 107148 paint- fire dept 276 10414 - Menard's Ck# 107148 copper and steel- fire dept 276 10659 - Tractor Supply Co Ck# 107217 sheet metal, spray undercoat - fire dept 100-034-522400 Totals: Emergency Medical Supplie GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 1,259.61 4,800.00 50,000.00 1,864.24 3,540.39 Page 109 Account Number Description 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Budget 79 10518 - Praxair Distribution Inc refills - fire dept 184 10431 - Moore Medical medical supplies - fire dept 276 10518 - Praxair Distribution Inc oxygen - fire dept Beginning Balance Debit This Period Credit This Period Ck# 106714 30.50 0.00 Ck# 106893 2,424.91 0.00 Ck# 107186 30.50 0.00 Ending Balance 100-034-522500 Totals: Lease/rental Of Equipment Var: 11,256.46 50,000.00 350.00 36,257.63 2,485.91 0.00 38,743.54 100-034-524000 100-034-524000 Totals: Equipment Var: 305.00 350.00 55,150.00 45.00 0.00 0.00 45.00 100-034-529000 Ck# 106688 69.99 0.00 Ck# 106688 95.85 0.00 263.97 0.00 36.00 0.00 499.99 0.00 195.00 0.00 40.00 0.00 90.17 0.00 96.00 0.00 64.00 0.00 12,696.50 0.00 14,147.47 0.00 17.06 0.00 16.58 0.00 124.10 0.00 4/12/2012 AP 12 4/12/2012 AP 12 79 10414 - Menard's ultra vacume - fire dept 79 10414 - Menard's 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 100-034-534000 leader hose, rubber hose, shovel - fire dept 10414 - Menard's Ck# 106688 full cabinet and bagless upright vacume - fire dept 10415 - MES Inc Ck# 106689 gloves - fire dept 11433 - Visa (business) Ck# 106747 camera - fire dept 10415 - MES Inc Ck# 106890 facepiece - fire dept 10415 - MES Inc Ck# 106890 gloves - fire dept 10415 - MES Inc Ck# 106890 badges - fire dept 10415 - MES Inc Ck# 107149 4 safety vests - fire dept 10415 - MES Inc Ck# 107149 collar pins - fire dept 11872 - Haiges Machinery, Inc. Ck# 107118 washer & dryer for gear - fire dept 100-034-529000 Totals: Automotive Expense 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 Var: -56,891.84 79 10047 - Dianne Barlow Ck# 106596 car cleaner & parts/barlow - fire dept 79 10181 - Fastenal Company Ck# 106631 parts - fire dept 79 10230 - Global Emergency Products Ck# 106641 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 55,150.00 111,500.00 97,894.37 112,041.84 Page 110 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 socket dual contact 3800 - fire dept 79 10230 - Global Emergency Products Ck# 106641 750w, 120v light bulbs - fire dept 79 10414 - Menard's Ck# 106688 pump - fire dept 79 10414 - Menard's Ck# 106688 paint, dish soap - fire dept 79 10441 - NAPA Auto Parts of Pekin Ck# 106694 parts - fire dept 79 10441 - NAPA Auto Parts of Pekin Ck# 106694 metal - fire dept 79 10441 - NAPA Auto Parts of Pekin Ck# 106694 oil - fire dept 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 radiator - fire dept 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 hook it pad - fire dept 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 polish pads - fire dept 79 10659 - Tractor Supply Co Ck# 106741 rope - fire dept 79 10659 - Tractor Supply Co Ck# 106741 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 safety chain, riged eye snaps - fire dept 11433 - Visa (business) Ck# 106747 trailer - fire dept 11569 - Eastern Big R Stores, Inc. Ck# 106627 angle grinder, steel fold up ramps - fire dept 11569 - Eastern Big R Stores, Inc. Ck# 106627 deep cycle battery and surface ring - fire dept 10230 - Global Emergency Products Ck# 106856 halogen bulb - fire dept 10230 - Global Emergency Products Ck# 106856 water heater valve for fire truck- fire dept 10414 - Menard's Ck# 106889 vent, rags light bulbs -- fire dept 10441 - NAPA Auto Parts of Pekin Ck# 106895 antifreeze and stick hose - fire dept 10441 - NAPA Auto Parts of Pekin Ck# 106895 clamps, antifreeze and drain pan - fire dept 10441 - NAPA Auto Parts of Pekin Ck# 106895 spot gun and refrigerant for E2 - fire dept 10560 - Safety Kleen Corp Ck# 106923 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 84.10 0.00 41.86 0.00 63.69 0.00 13.20 0.00 11.70 0.00 57.49 0.00 157.40 0.00 65.78 0.00 20.48 0.00 21.11 0.00 86.91 0.00 83.50 0.00 324.90 0.00 171.62 0.00 34.06 0.00 69.72 0.00 57.25 0.00 121.68 0.00 52.32 0.00 230.91 0.00 141.11 0.00 Ending Balance Page 111 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 WO 12 100-034-534400 AP 12 4/30/2012 AP 12 100-034-538000 AP 12 4/12/2012 AP 12 Debit This Period Credit This Period 640.31 0.00 130.45 0.00 404.46 0.00 19.50 0.00 40.63 0.00 168.17 0.00 367.81 0.00 8.10 0.00 61.49 0.00 294.42 0.00 22.48 0.00 110.79 0.00 345.81 0.00 4,115.85 0.00 8,798.80 0.00 Ck# 106890 89.50 0.00 Ck# 107149 29.75 0.00 119.25 0.00 46.00 0.00 84.00 0.00 Var: -58,016.92 184 10415 - MES Inc batteries and flow test - fire dept 276 10415 - MES Inc scba service - fire dept 100-034-534400 Totals: Maintenance Agreements 4/12/2012 Beginning Balance parts cleaner - fire dept 184 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 service repair on 1998 jeep cherokee - fire dept 184 11816 - Colormaster Automotive PaintCk# 106823 paint - fire dept 276 10439 - Mutual Wheel Ck# 107153 brake kit - fire dept 276 10441 - NAPA Auto Parts of Pekin Ck# 107155 halogen lamp - fire dept 276 10456 - O'Reilly Automotive Stores, Inc. Ck# 107168 cleaner, putty, filler scoop - fire dept 276 10664 - Truck Centers Inc Ck# 107220 air cleaner - fire dept 276 10664 - Truck Centers Inc Ck# 107220 air dryer for E-3 - fire dept 276 10683 - Velde Ford Ck# 107227 seat handle - fire dept 276 10683 - Velde Ford Ck# 107227 coil - fire dept 276 10683 - Velde Ford Ck# 107227 window asy - fire dept 276 10683 - Velde Ford Ck# 107227 valve asy - fire dept 276 11569 - Eastern Big R Stores, Inc. Ck# 107101 25' pin power cord - fire dept 276 11816 - Colormaster Automotive PaintCk# 107092 prime, thinner and paint - fire dept 283 WO Dist Batch WO3 - 00001.04.2012 100-034-534000 Totals: Equipment Repairs 4/26/2012 Budget Var: 6,801.58 79 10105 - CDS Office Technologies Ck# 106602 copier readings - fire dept 79 10258 - Heart Technologies Inc Ck# 106649 maintenance telecom 4-4-12/5-3-12 fire dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 111,500.00 14,000.00 14,000.00 19,000.00 160,718.12 7,079.17 Ending Balance 169,516.92 7,198.42 Page 112 Account Number Description 100-034-544900 100-034-538000 Totals: Transfer To Tpccc 100-034-550100 100-034-544900 Totals: Utilities 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-034-550300 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 19,000.00 0.00 1,426.00 130.00 0.00 1,556.00 0.00 78,000.00 0.00 0.00 0.00 0.00 63.33 0.00 1,168.37 0.00 133.36 0.00 114.57 0.00 131.84 0.00 109.69 0.00 331.70 0.00 75.14 0.00 67.20 0.00 111.94 0.00 69.09 0.00 2,376.23 0.00 Ck# 106607 42.28 0.00 Ck# 106746 254.45 0.00 Ck# 106818 65.86 0.00 Ck# 106818 913.66 0.00 Ck# 107088 42.18 0.00 Var: 17,444.00 79 10291 - IL American Water Ck# 106658 water at 3232 court st 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - fire dept 184 10021 - Amerencilco Ck# 106797 elec at 3232 court st - fire dept 184 10021 - Amerencilco Ck# 106797 elec at 272 derby - fire 184 10021 - Amerencilco Ck# 106797 elec at 272 derby 184 10021 - Amerencilco Ck# 106797 gas at 1000 n 14th - fire 184 10021 - Amerencilco Ck# 106797 gas at 1000 n 14th - fire 184 10291 - IL American Water Ck# 106863 service at 1000 n 14th - fire dept 184 10291 - IL American Water Ck# 106863 service at 272 derby - fire dept 276 10021 - Amerencilco Ck# 107058 gas at 3232 court st - fire dept 276 10291 - IL American Water Ck# 107126 service at 3232 court st - fire dept 100-034-550100 Totals: Telephone 4/12/2012 Budget 79 10111 - CenturyLink phone for fire dept 79 10685 - Verizon Wireless cell phones for fire dept 184 10111 - CenturyLink phone service - fire dept 184 10111 - CenturyLink phone service - fire dept 276 10111 - CenturyLink fire dept phone line GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 43,991.09 78,000.00 18,500.00 31,632.68 34,008.91 Page 113 Account Number 100-034-551000 4/26/2012 AP Description 100-034-550300 Totals: Printing And Publications 12 Var: 3,400.94 184 10016 - Allegra Print & Imaging pouch lamination Budget Beginning Balance Debit This Period Credit This Period Ending Balance 18,500.00 2,100.00 13,780.63 1,318.43 0.00 15,099.06 60.00 0.00 Ck# 106794 100-034-551000 Totals: Dues And Subscriptions Var: 541.93 2,100.00 3,150.00 1,498.07 60.00 0.00 1,558.07 100-034-551600 100-034-551600 Totals: Meals Var: 1,853.00 3,150.00 2,500.00 1,297.00 0.00 0.00 1,297.00 100-034-554200 100-034-554200 Totals: Radio Expense Var: 2,500.00 2,500.00 14,500.00 0.00 0.00 0.00 0.00 100-034-555000 Ck# 106717 719.81 0.00 Ck# 107190 719.81 0.00 Ck# 107190 723.60 0.00 2,163.22 0.00 3,030.53 0.00 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-034-556100 4/30/2012 WO 79 10533 - Ragan Communications Inc monthly smr charges - fire dept 276 10533 - Ragan Communications Inc monthly smr charges - fire dept 276 10533 - Ragan Communications Inc kenwood battery - fire dept 100-034-555000 Totals: Gasoline/diesel Fuel 12 Var: 2,139.84 14,500.00 52,500.00 10,196.94 275 WO Dist Batch IC1 - 00008.04.2012 100-034-557200 100-034-556100 Totals: License And Inspection Fe 100-034-559000 100-034-557200 Totals: Medical Expense/supplies 100-034-559900 100-034-559000 Totals: Receivable Charge Off 100-034-569000 100-034-559900 Totals: Other Contractual Service 100-034-587000 100-034-569000 Totals: Machinery And Equipment 100-034-587000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 12,925.47 12,360.16 52,500.00 0.00 36,544.00 3,030.53 0.00 39,574.53 0.00 13,800.00 0.00 0.00 0.00 0.00 13,800.00 0.00 3,336.00 0.00 0.00 3,336.00 0.00 1,500.00 0.00 0.00 0.00 0.00 Var: -837.75 1,500.00 73,000.00 2,337.75 0.00 0.00 2,337.75 Var: 47,698.10 73,000.00 25,301.90 0.00 0.00 25,301.90 Var: 10,464.00 Page 114 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 100-034-587001 Lease / Purchase Equipmen 0.00 100-034-587100 100-034-587001 Totals: Office Equipment And Furn 0.00 1,500.00 0.00 0.00 0.00 0.00 100-034-587100 Totals: Vehicles Var: 1,500.00 100-034-587500 1,500.00 0.00 0.00 0.00 0.00 0.00 100-034-587500 Totals: Bike Program Var: -2,818.00 100-034-592605 0.00 150.00 2,818.00 0.00 0.00 2,818.00 100-034-592800 100-034-592605 Totals: Polygraph Exam Var: 150.00 150.00 1,500.00 0.00 0.00 0.00 0.00 100-034-598000 100-034-592800 Totals: Fire Prevention Var: 1,500.00 1,500.00 4,800.00 0.00 0.00 0.00 0.00 100-034-598000 Totals: Public Relations Var: 2,079.60 4,800.00 0.00 2,720.40 0.00 0.00 2,720.40 100-034-598100 100-034-598100 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-034-599000 25.00 0.00 25.00 0.00 1,734.00 0.00 1,734.00 0.00 95.00 0.00 4/12/2012 AP 100-034-599801 4/30/2012 AP 100-034-599802 4/30/2012 AP 100-034-599900 12 79 11433 - Visa (business) late charge - fire dept 100-034-599000 Totals: Computer Software 12 276 11659 - Kronos telestaff - fire dept 100-034-599801 Totals: Computer Hardware 12 276 10475 - Pearl Technology dell laptop battery - fire dept 100-034-599802 Totals: Depreciation Expense 100-034-599900 Totals: 100-034 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Ck# 106747 Var: -40.16 0.00 1,250.00 15.16 Ck# 107140 Var: -9,940.95 1,250.00 3,500.00 9,456.95 Ck# 107174 Var: 3,034.01 40.16 11,190.95 3,500.00 0.00 370.99 95.00 0.00 465.99 0.00 0.00 0.00 0.00 0.00 5,862,227.47 5,087,452.56 719,275.03 23,256.00 5,783,471.59 Page 115 Account Number Description 100-068 100-068-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 100-068-511600 Totals: Overtime Var: -105,359.15 100-068-515000 Totals: Vacation Pay Var: -1,582.67 100-068-515500 PR GL 12 12 Debit This Period Credit This Period 5,873.23 11,572.57 8,459.00 597.75 0.00 0.00 0.00 0.00 Ending Balance 118,622.43 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-068-515000 4/18/2012 4/30/2012 Beginning Balance 118,622.43 0.00 197,479.03 26,502.55 0.00 223,981.58 0.00 0.00 1,582.67 0.00 0.00 1,582.67 304.16 4,955.41 0.00 0.00 123 Computer Checks Batch 2012 04 00008 292 b hill used vacation time for hlth prems 100-068-515500 Totals: Holiday Pay Var: -8,605.33 0.00 0.00 3,345.76 5,259.57 0.00 8,605.33 100-068-515600 100-068-515600 Totals: Sick Pay Var: -3,649.92 0.00 0.00 3,649.92 0.00 0.00 3,649.92 100-068-515800 28.52 399.21 0.00 0.00 427.73 0.00 356.13 726.57 539.47 36.12 0.00 0.00 0.00 0.00 1,658.29 0.00 83.28 169.93 126.17 8.45 0.00 0.00 0.00 0.00 387.83 0.00 875.76 1,191.24 0.00 0.00 4/3/2012 4/30/2012 PR PR 100-068-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-068-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-068-517401 4/3/2012 4/18/2012 PR PR 12 12 19 Computer Checks Batch 2012 04 00007 261 Computer Checks Batch 2012 05 00009 100-068-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 5,213.50 Var: -7,424.01 7,354.59 1,720.03 13,120.31 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-068-517001 Totals: Imrf 12 12 0.00 7,354.59 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-068-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -5,641.23 Var: -1,736.38 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,720.03 14,234.69 3,068.58 5,641.23 14,778.60 3,456.41 Page 116 Account Number 4/30/2012 4/30/2012 PR PR 100-068-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-068-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: -8,524.65 14,234.69 32,110.36 19,477.91 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 1,124.47 89.96 0.00 0.00 3,281.43 0.00 2,068.13 2,068.13 2,068.13 201.38 0.00 0.00 0.00 0.00 Ending Balance 22,759.34 100-068-518000 Totals: Liability Insurance Packa Var: -11,168.70 32,110.36 22,935.15 36,873.29 6,405.77 0.00 43,279.06 100-068-518100 100-068-518100 Totals: Unemployment Insurance Var: -1,605.46 22,935.15 0.00 24,540.61 0.00 0.00 24,540.61 100-068-518200 100-068-518200 Totals: Workers Comp Insurance 0.00 7,542.42 0.00 0.00 0.00 0.00 100-068-518300 100-068-518300 Totals: Mileage 7,542.42 0.00 7,542.42 0.00 0.00 7,542.42 100-068-518700 100-068-518700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 100-068-519000 100-068-519000 Totals: Office Supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-068-520200 71.78 0.00 4/30/2012 AP 12 276 10706 - Will Harms Co office supplies - public land 100-068-520400 100-068-520200 Totals: Postage 100-068-522000 100-068-520400 Totals: Photographic Supplies 100-068-522400 100-068-522000 Totals: General Supplies 4/12/2012 AP 12 4/12/2012 AP 12 Ck# 107233 Var: -257.33 79 10005 - A to Z Rental 2 weedeater replacement lines 79 10038 - Atlas Supply Company GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 185.55 71.78 0.00 257.33 0.00 0.00 0.00 0.00 0.00 0.00 0.00 26,000.00 0.00 0.00 0.00 0.00 Ck# 106580 150.88 0.00 Ck# 106591 455.50 0.00 Page 117 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-068-523200 AP AP 12 12 4/26/2012 AP 12 4/30/2012 AP 12 100-068-524000 4/12/2012 AP Var: -7,249.80 26,000.00 0.00 31,194.64 79 50% of riverfront park repair and main.Ck# 12/11-02/12 106711 87 Void 11034 Ck# 0 184 10487 - Pekin Park District Ck# 106907 reimbursement for 50% riverfront park repair, main & utilities 276 10414 - Menard's Ck# 107148 paper holder for riverfront restrooms 100-068-523200 Totals: Lease/rental Of Equipment 12 Beginning Balance roll towels, facial tissue deodorizers 79 10038 - Atlas Supply Company Ck# 106591 toilet tissue and mop handle for east side fire 79 10414 - Menard's Ck# 106688 dish soap, disinfectants, cleaning supplies - fire dept 79 10659 - Tractor Supply Co Ck# 106741 gas & diesel cans for yard crew 79 10659 - Tractor Supply Co Ck# 106741 return 1 can and purchased a plus kerosene can 79 10659 - Tractor Supply Co Ck# 106741 return 1 can and purchased a plus kerosene can 79 10659 - Tractor Supply Co Ck# 106741 hitches for yard crew trailers 79 11433 - Visa (business) Ck# 106747 lime cleaner 184 10038 - Atlas Supply Company Ck# 106801 towels, bowl cleaner and porcelain cleaner 184 10822 - MCP Incorporated Ck# 106886 cleaning supplies 276 10206 - Fourteenth Street Hardware Ck# 107111 keys for 5 points flag pole 276 10659 - Tractor Supply Co Ck# 107217 exchanged kerosen container 276 11433 - Visa (business) Ck# 107229 wheels for mowers 100-068-522400 Totals: Riverfront Park/Pier 4/12/2012 4/13/2012 Budget Var: -17,313.92 0.00 4,000.00 16,289.50 79 11520 - Drop Zone Portable Services, Inc. Ck# 106625 portable toilets at riverfront 100-068-524000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 690.50 4,000.00 3,234.00 Debit This Period Credit This Period 103.95 0.00 117.18 0.00 134.90 0.00 0.00 16.99 12.99 0.00 88.93 0.00 10.63 0.00 506.80 0.00 458.16 0.00 3.78 0.00 0.00 4.00 32.45 0.00 2,076.15 20.99 1,004.47 0.00 0.00 1,004.47 1,004.47 0.00 19.95 0.00 2,028.89 1,004.47 75.50 0.00 75.50 0.00 Ending Balance 33,249.80 17,313.92 3,309.50 Page 118 Account Number Description 100-068-529000 Equipment 100-068-534000 100-068-529000 Totals: Automotive Expense 4/12/2012 AP 12 4/30/2012 WO 12 100-068-534200 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 7,658.72 0.00 0.00 7,658.72 78.19 0.00 6,755.66 0.00 6,833.85 0.00 185.00 0.00 916.98 0.00 75.00 0.00 162.10 0.00 70.00 0.00 125.00 0.00 219.90 0.00 2,052.83 0.00 513.93 0.00 280.79 0.00 88.44 0.00 225.00 0.00 4,914.97 0.00 Ck# 106724 115.00 0.00 Ck# 106832 261.48 0.00 Ck# 106832 1.90 0.00 10,000.00 Var: 2,341.28 10,000.00 45,000.00 79 10141 - Cross Implement Inc Ck# 106619 parts for john deer tractor 283 WO Dist Batch WO3 - 00001.04.2012 100-068-534000 Totals: Buildings And Grounds Rep 4/12/2012 Budget Var: -28,055.00 45,000.00 150,000.00 66,221.15 79 10091 - David Burling Excavating Inc Ck# 106622 cleaned south side fire dept drains 79 10571 - Schaefer Plumbing & Piping Inc Ck# 106721 riverfront bathroom repairs 79 10593 - Shearer Electric Ck# 106726 police dept light repairs 79 10758 - G & B Mechanical Ck# 106637 replaced nsfd bearing assembly 79 11195 - Fryman Electric Ck# 106636 esfd exhaust fan maintenance 184 10091 - David Burling Excavating Inc Ck# 106835 cleaned 128 st mary drain 184 10206 - Fourteenth Street Hardware Ck# 106848 ballasts for city hall lights 184 10414 - Menard's Ck# 106889 soffit for bus dept canopy 184 10571 - Schaefer Plumbing & Piping Inc Ck# 106924 repair riverfront restrooms 184 11109 - Tazewell Plumbing, Inc. Ck# 106944 ssfd toilet repair 184 11109 - Tazewell Plumbing, Inc. Ck# 106944 nsfd toilet repair 276 11876 - Steve Albrecht Ck# 107056 73,055.00 repaired water damaged areas in council room 100-068-534400 100-068-534200 Totals: Equipment Repairs 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Var: 86,442.48 79 10587 - Seico Inc service call for the riverfront camera 184 10141 - Cross Implement Inc blades for john deer mower 184 10141 - Cross Implement Inc GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 150,000.00 1,000.00 58,642.55 63,557.52 Page 119 Account Number 4/30/2012 AP Description 12 100-068-534400 Totals: Farming Expense 100-068-535200 100-068-535100 Totals: Parking Lot Maintenance A 100-068-536300 100-068-535200 Totals: Snow Removal - Salt And C 100-068-538000 100-068-536300 Totals: Maintenance Agreements AP 12 4/26/2012 AP 12 100-068-550100 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 Var: -31,152.17 Credit This Period 180.00 0.00 Ending Balance 31,593.79 558.38 0.00 32,152.17 0.00 350.00 0.00 0.00 0.00 0.00 Var: 350.00 350.00 500.00 0.00 0.00 0.00 0.00 Var: 500.00 500.00 5,000.00 0.00 0.00 0.00 0.00 Ck# 106608 584.07 0.00 Ck# 106850 714.25 0.00 1,298.32 0.00 Ck# 106584 27.71 0.00 Ck# 106584 20.76 0.00 Ck# 106584 29.24 0.00 Ck# 106584 118.90 0.00 Ck# 106584 25.06 0.00 Ck# 106584 27.46 0.00 Ck# 106584 39.82 0.00 Ck# 106584 640.20 0.00 Ck# 106584 47.96 0.00 Ck# 106584 28.30 0.00 Var: -7,805.71 79 10021 - Amerencilco elec. at 2504 s 2nd st 79 10021 - Amerencilco lighting at 306 elizabeth st 79 10021 - Amerencilco elec. at 523 court st 79 10021 - Amerencilco elec. & lighting at 830 brenkman dr 79 10021 - Amerencilco lighting at 130 court st 79 10021 - Amerencilco elec. at 1987 n 8th st 79 10021 - Amerencilco gas at 830 brenkman dr 79 10021 - Amerencilco gas at 1130 koch 79 10021 - Amerencilco elec at 215 enterprise dr 79 10021 - Amerencilco elec. at 111 s capitol st othr pole GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period 1,000.00 0.00 79 10112 - Certified Laboratories city hall water filters 184 10758 - G & B Mechanical april 2012 maintenance 100-068-538000 Totals: Utilities 4/12/2012 Beginning Balance labor for blades for john deer mower 276 10661 - Tri-County Irrigation & Plumbi Ck# 107219 backflow preventer service certification 100-068-535100 4/12/2012 Budget 5,000.00 130,000.00 11,507.39 12,805.71 Page 120 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 79 10021 - Amerencilco Ck# 106584 elec. & lighting at 95 court 79 10021 - Amerencilco Ck# 106584 gas & elec at 209 sabella 79 10021 - Amerencilco Ck# 106584 elec at 111 s. capitol st 79 10291 - IL American Water Ck# 106658 water at 111 s cpaitol st 6" fs 79 10291 - IL American Water Ck# 106658 water at 2101 n 8th st yd hy 79 10291 - IL American Water Ck# 106658 water at 800 mary st yd hy 79 10291 - IL American Water Ck# 106658 water at 1321 broadway st spklr 79 10291 - IL American Water Ck# 106658 water at 1900 n 8th st spklr 79 10291 - IL American Water Ck# 106658 water at 200 n 2nd st spklr 79 10291 - IL American Water Ck# 106658 water at 100 state st 79 10291 - IL American Water Ck# 106658 water at 405 ann eliza st spklr 79 10291 - IL American Water Ck# 106658 water at 400 n 7th st yd hy 79 10291 - IL American Water Ck# 106658 water at 101 n 2nd st spklr 79 10291 - IL American Water Ck# 106658 water at 1007 front st restrooms 79 10291 - IL American Water Ck# 106658 water at 111 s. capitol st 79 10291 - IL American Water Ck# 106658 water at 633 margaret st yd hy 79 10291 - IL American Water Ck# 106658 water at 11 n 7th st yd hy 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - all public properties 184 10021 - Amerencilco Ck# 106797 elec & gas at 120 saint mary 184 10021 - Amerencilco Ck# 106797 elec at 316 margaret 184 10021 - Amerencilco Ck# 106797 elec at 1130 koch GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 114.70 0.00 41.66 0.00 1,074.84 0.00 56.86 0.00 14.73 0.00 14.73 0.00 14.73 0.00 14.73 0.00 14.73 0.00 19.34 0.00 14.73 0.00 14.73 0.00 14.73 0.00 32.02 0.00 152.65 0.00 21.95 0.00 14.73 0.00 2,933.62 0.00 68.13 0.00 34.87 0.00 67.25 0.00 Ending Balance Page 121 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/2/2012 4/30/2012 GL AP 12 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 184 10021 - Amerencilco Ck# 106797 elec at 310 margaret 184 10021 - Amerencilco Ck# 106797 elec at 407 ann eliza 184 10021 - Amerencilco Ck# 106797 elec at 9502 cargill 184 10021 - Amerencilco Ck# 106797 gas at 111 s. capitol 184 10021 - Amerencilco Ck# 106797 gas at 1130 koch st 184 10021 - Amerencilco Ck# 106797 elec at 330 s 7th 184 10291 - IL American Water Ck# 106863 service at 1118 derby st yd hy 184 10291 - IL American Water Ck# 106863 service at 1130 koch st - bus dept 184 10291 - IL American Water Ck# 106863 service at 400 s 7th st yd hy 184 10291 - IL American Water Ck# 106863 service at 925 court st yd hy 245 cilco credit for 219 sabella/jan. service 276 10021 - Amerencilco Ck# 107058 service at 215 enterprise 276 10021 - Amerencilco Ck# 107058 service at 306 elizabeth st 276 10021 - Amerencilco Ck# 107058 service at 523 court 276 10021 - Amerencilco Ck# 107058 service at 1130 koch 276 10021 - Amerencilco Ck# 107058 service at 130 court st 276 10021 - Amerencilco Ck# 107058 service at 2504 s 2nd 276 10291 - IL American Water Ck# 107126 service at 400 n 7th st yd hy 276 10291 - IL American Water Ck# 107126 service at 100 state st 276 10291 - IL American Water Ck# 107126 service at 200 n 2nd st spklr 276 10291 - IL American Water Ck# 107126 service at 405 ann eliza st spklr 276 10291 - IL American Water Ck# 107126 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 31.46 0.00 33.36 0.00 29.95 0.00 310.87 0.00 91.77 0.00 27.46 0.00 14.71 0.00 158.34 0.00 14.72 0.00 14.71 0.00 0.00 49.79 132.00 0.00 20.28 0.00 28.99 0.00 106.49 0.00 24.71 0.00 27.76 0.00 14.68 0.00 19.29 0.00 14.68 0.00 14.68 0.00 19.30 0.00 Ending Balance Page 122 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 service at 1613 valle vista blvd yd hy 276 10291 - IL American Water service at 502 s 2nd st yd hy 276 10291 - IL American Water service at 1842 court st yd hy 276 10291 - IL American Water service at 11 n 7th st yd hy 276 10291 - IL American Water service at 633 margaret st yd hy 276 10291 - IL American Water service at 101 n 2nd st spklr 276 10291 - IL American Water service at 107 front st restrooms 276 10291 - IL American Water service at 111 s capitol st 100-068-550300 100-068-550100 Totals: Telephone 100-068-551000 100-068-550300 Totals: Printing And Publications 100-068-551600 100-068-551000 Totals: Dues And Subscriptions 100-068-554200 100-068-551600 Totals: Mealslodging 100-068-554300 100-068-554200 Totals: Uniforms And Tools 4/26/2012 AP 12 Budget Debit This Period Credit This Period Ck# 107126 14.70 0.00 Ck# 107126 19.30 0.00 Ck# 107126 14.69 0.00 Ck# 107126 21.89 0.00 Ck# 107126 14.69 0.00 Ck# 107126 31.92 0.00 Ck# 107126 156.20 0.00 Var: 32,545.97 Var: 120.00 184 10490 - Pekin Shoe Repair safety boots for matheny Beginning Balance Ending Balance 130,000.00 0.00 90,488.77 7,097.26 132.00 97,454.03 0.00 150.00 0.00 0.00 0.00 0.00 150.00 0.00 30.00 0.00 0.00 30.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 83.96 0.00 Ck# 106908 100-068-554300 Totals: Radio Expense Var: -769.22 1,500.00 300.00 2,185.26 83.96 0.00 2,269.22 100-068-555000 100-068-555000 Totals: Gasoline/diesel Fuel Var: 300.00 300.00 15,000.00 0.00 0.00 0.00 0.00 100-068-556100 1,637.86 0.00 1,637.86 0.00 4/30/2012 WO 100-068-557200 12 275 WO Dist Batch IC1 - 00008.04.2012 100-068-556100 Totals: License And Inspection Fe GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 2,697.36 15,000.00 250.00 10,664.78 12,302.64 Page 123 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-068-557200 Totals: Medical Expense/supplies Var: 250.00 250.00 350.00 0.00 0.00 0.00 0.00 100-068-559000 100-068-559000 Totals: Receivable Charge Off Var: -102.00 350.00 0.00 452.00 0.00 0.00 452.00 100-068-559900 100-068-559900 Totals: Consulting Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-068-560500 100-068-560500 Totals: Legal Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-068-561000 100-068-561000 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-068-561200 100-068-561200 Totals: Demolition 0.00 0.00 0.00 0.00 0.00 0.00 100-068-562500 100-068-562500 Totals: Pest Control 0.00 6,500.00 0.00 0.00 0.00 0.00 100-068-566600 260.00 0.00 260.00 0.00 83.50 0.00 83.50 0.00 83.50 0.00 4/12/2012 AP 12 79 10251 - Harris Pest Control Ck# 106646 service ctr, street dept, bus dept, fire dept & city hall 100-068-569000 100-068-566600 Totals: Other Contractual Service 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Var: 885.00 6,500.00 0.00 5,355.00 79 10032 - AUCA Rockford (Aramark) Ck# 106592 mat service - city hall 184 10032 - AUCA Rockford (Aramark) Ck# 106802 mats at city hall 276 10032 - AUCA Rockford (Aramark) Ck# 107066 mat service - city hall 5,615.00 100-068-569000 Totals: Purchase Of Property Var: -5,306.89 0.00 7,500.00 5,056.39 250.50 0.00 5,306.89 100-068-580200 100-068-580200 Totals: Land Improvements Var: 7,500.00 7,500.00 25,000.00 0.00 0.00 0.00 0.00 100-068-580201 100-068-580201 Totals: Building Purchase/constru Var: 16,617.97 25,000.00 0.00 8,382.03 0.00 0.00 8,382.03 100-068-580400 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 124 Account Number 100-068-580401 4/30/2012 AP Description 100-068-580400 Totals: Building Repair 12 276 10587 - Seico Inc fire alarm for bus department 100-068-584009 100-068-580401 Totals: General Public Improvemen 100-068-585400 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 100,000.00 0.00 0.00 0.00 0.00 13,344.00 0.00 Ck# 107204 100,000.00 0.00 165,881.19 13,344.00 0.00 179,225.19 100-068-584009 Totals: Drainage District Assessm 0.00 0.00 0.00 0.00 0.00 0.00 100-068-585400 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-068-587000 100-068-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 100-068-587001 100-068-587001 Totals: Office Equipment And Furn Var: -252.00 0.00 0.00 252.00 0.00 0.00 252.00 100-068-587100 100-068-587100 Totals: Vehicles Var: -118.56 0.00 25,000.00 118.56 0.00 0.00 118.56 100-068-587500 100-068-587500 Totals: Real Estate Tax Expense Var: 19,375.00 25,000.00 0.00 5,625.00 0.00 0.00 5,625.00 100-068-590300 100-068-590300 Totals: Miscellaneous Var: -11,777.80 0.00 0.00 11,777.80 0.00 0.00 11,777.80 100-068-599000 100-068-599000 Totals: Depreciation Expense Var: -33.21 0.00 0.00 33.21 0.00 0.00 33.21 100-068-599900 0.00 0.00 0.00 0.00 0.00 757,919.67 848,723.28 84,454.59 1,157.46 932,020.41 100-068-599900 Totals: 100-068 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -79,225.19 Page 125 Account Number Description 100-761 100-761-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-761-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-761-515500 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 19 123 261 288 12 12 12 12 19 123 261 288 Var: 510,302.97 3,249,564.97 135,000.00 2,408,712.09 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-515000 Totals: Vacation Pay Debit This Period Credit This Period 111,591.40 103,931.77 102,659.24 12,367.50 0.00 0.00 0.00 0.00 330,549.91 0.00 6,053.37 4,860.53 5,519.79 932.24 0.00 0.00 0.00 0.00 17,365.93 0.00 7,318.80 13,658.26 4,985.71 568.84 0.00 0.00 0.00 0.00 Ending Balance 3,249,564.97 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-511600 Totals: Overtime 12 12 12 12 Beginning Balance Var: -31,716.96 135,000.00 0.00 149,351.03 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 2,739,262.00 166,716.96 100-761-515500 Totals: Holiday Pay Var: -254,226.74 0.00 104,257.96 227,695.13 26,531.61 0.00 254,226.74 100-761-515600 100-761-515600 Totals: Sick Pay Var: -849.46 104,257.96 0.00 105,107.42 0.00 0.00 105,107.42 100-761-515800 2,016.00 67,352.94 0.00 0.00 2,035.69 2,821.12 456.48 0.00 0.00 0.00 4/3/2012 4/12/2012 PR AP 12 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 19 Computer Checks Batch 2012 04 00007 79 10286 - ICMA Ck# 106657 hollis sicktime 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-515900 100-761-515800 Totals: Injury Pay 100-761-517000 100-761-515900 Totals: Oasdi/city Share 6.2% 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 Var: -207,455.84 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 132,773.61 74,682.23 0.00 207,455.84 0.00 2,461.26 0.00 0.00 0.00 0.00 91.28 91.28 91.28 0.00 0.00 0.00 Page 126 Account Number 4/30/2012 PR 100-761-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-761-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 19 123 261 288 19 123 261 288 100-761-517401 Totals: Employer Pension Contribu 100-761-518000 100-761-517403 Totals: Group Insurance PR PR PR PR GL 12 12 12 12 12 19 123 261 288 292 2,461.26 42,811.33 2,111.84 Var: -4,942.80 42,811.33 4,786.98 42,325.21 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-517403 4/3/2012 4/18/2012 4/30/2012 4/30/2012 4/30/2012 Var: 66.44 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-517001 Totals: Imrf 12 12 12 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-761-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Budget Var: -373.41 Debit This Period Credit This Period 9.14 0.00 282.98 0.00 1,805.69 1,770.52 1,649.08 203.63 0.00 0.00 0.00 0.00 5,428.92 0.00 229.84 229.84 229.84 22.98 0.00 0.00 0.00 0.00 Ending Balance 2,394.82 47,754.13 4,786.98 0.00 4,447.89 712.50 0.00 5,160.39 0.00 666,073.10 0.00 0.00 0.00 0.00 28,912.27 27,888.81 26,120.36 3,235.99 2,373.28 0.00 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 kief, weichel, miller, ghidina 1st two ins prems 100-761-518000 Totals: Liability Insurance Packa Var: 10,591.23 666,073.10 73,374.00 566,951.16 88,530.71 0.00 655,481.87 100-761-518100 100-761-518100 Totals: Unemployment Insurance Var: -6,645.03 73,374.00 0.00 80,019.03 0.00 0.00 80,019.03 100-761-518200 100-761-518200 Totals: Workers Comp Insurance 0.00 91,327.09 0.00 0.00 0.00 0.00 100-761-518300 100-761-518300 Totals: Uniform Allowance 91,327.09 60,400.00 91,327.09 0.00 0.00 91,327.09 100-761-518900 100-761-518900 Totals: Training And Education 60,400.00 53,750.00 61,068.66 0.00 0.00 61,068.66 100-761-519000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -668.66 Page 127 Account Number Description 4/9/2012 4/12/2012 CR AP 12 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-761-520200 4/26/2012 4/30/2012 AP AP Budget Beginning Balance 53 Cash Receipts Batch 50006.04.2012 79 10281 - Courtney Hutchinson Ck# 106655 excess expenses during training/hutchinson - police dept 79 10688 - Richard Von Rohr Ck# 106748 master firearms recertification/VonRohr 79 11207 - Rob Jones Ck# 106668 meals & gas for K-9 training/jones - police 79 11835 - Law Enforcement Trainnig Advisory Ck# 106675 Commission executive development workshop/burris, b. elliott - police dept 184 10055 - Donald Baxter Ck# 106808 lunch reimb per21c/baxter - police dept 184 10382 - Jeff Little Ck# 106883 first line supervision/little - police 184 10688 - Richard Von Rohr Ck# 106952 officer involved shooting training/vonrohr 184 11156 - University of Illinois-GAR 162Ck# 106950 pt1 training/peeler - police dept 184 11279 - IL Association of Chiefs of Police Ck# 106864 ilacp training conference/chief nelson - police dept 276 10319 - IL Tactical Officers Associati Ck# 107130 training/jonese 276 10319 - IL Tactical Officers Associati Ck# 107130 training/thompson, a 276 10930 - Central ILLinois Police Training Ck#Center 107082 mtu training july 2012-june 2013 276 11156 - University of Illinois-GAR 162Ck# 107223 master firearms recert/von rohr 276 11868 - Chuck Barth Ck# 107070 supervisor training in april/barth, c. - police dept 276 11869 - Josh Bush Ck# 107077 meal reimbursement ileas in urbana/bush - police dept 276 11874 - Northeast Wisconsin TechnicalCk# College 107167 tuition taser training/von rohr & zimmerman 100-761-519000 Totals: Office Supplies Var: 3,087.28 53,750.00 3,182.27 40,661.45 Debit This Period Credit This Period 0.00 28.68 12.38 0.00 75.00 0.00 120.27 0.00 400.00 0.00 47.16 0.00 40.37 0.00 475.00 0.00 4,601.00 0.00 245.00 0.00 65.00 0.00 65.00 0.00 3,300.00 0.00 80.00 0.00 43.13 0.00 78.04 0.00 350.00 0.00 10,013.65 12.38 12 184 10706 - Will Harms Co Ck# 106960 114.58 0.00 12 office supplies -police 276 10706 - Will Harms Co office supplies - police dept Ck# 107233 26.68 0.00 141.26 0.00 100-761-520200 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 1,712.64 3,182.27 1,328.37 Ending Balance 50,662.72 1,469.63 Page 128 Account Number Description Budget 100-761-520201 Live-scan Deposit Account 1,750.00 100-761-520400 4/2/2012 GL 100-761-520201 Totals: Postage 12 100-761-520400 Totals: Rim System Fees 100-761-520900 100-761-520500 Totals: Transfer To Tpccc 100-761-522000 100-761-520900 Totals: Photographic Supplies AP 100-761-522400 4/26/2012 AP 12 276 11433 - Visa (business) flash memory card - police dept 100-761-522000 Totals: General Supplies 12 4/30/2012 AP 12 4/30/2012 AP 12 184 10539 - Ray O'Herron Co Inc 100-761-522400 Totals: Lease/rental Of Equipment 100-761-525000 100-761-524000 Totals: Police Ammunition - Firea 100-761-529000 100-761-525000 Totals: Equipment AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Credit This Period Ending Balance 0.00 0.00 0.00 0.00 45.20 0.00 Var: -124.04 Var: -1,575.00 800.00 0.00 878.84 45.20 0.00 924.04 0.00 649,785.00 0.00 0.00 0.00 0.00 649,785.00 360.00 651,360.00 0.00 0.00 651,360.00 49.90 0.00 49.90 0.00 243.34 0.00 1.99 0.00 12.93 0.00 Ck# 107229 Var: 105.94 360.00 4,890.00 204.16 Ck# 106918 130 preliminary drug tests - police dept 276 10414 - Menard's Ck# 107148 quick release key ring - police dept 276 11433 - Visa (business) Ck# 107229 tape for white board - police dept 100-761-524000 4/12/2012 1,750.00 800.00 Debit This Period 260 april 2012 postage 100-761-520500 4/30/2012 Var: 1,750.00 Beginning Balance Var: 3,734.57 Var: -133.83 79 10539 - Ray O'Herron Co Inc Ck# 106719 manbars/d. jones & damron - police dept 79 11433 - Visa (business) Ck# 106747 white board for chiefs office - police dept 184 10539 - Ray O'Herron Co Inc Ck# 106918 30 sgt. chevrons 184 10539 - Ray O'Herron Co Inc Ck# 106918 name badges - police dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 254.06 4,890.00 0.00 897.17 258.26 0.00 1,155.43 0.00 9,150.00 0.00 0.00 0.00 0.00 9,150.00 9,390.00 9,283.83 0.00 0.00 9,283.83 29.75 0.00 725.09 0.00 89.43 0.00 86.17 0.00 Page 129 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AP AP AP AP 12 12 12 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-761-534000 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Beginning Balance 184 10539 - Ray O'Herron Co Inc Ck# 106918 40-rh holsters, 10-lh holsters and 1 gear bag - police dept 184 10539 - Ray O'Herron Co Inc Ck# 106918 badges - police dept 184 10539 - Ray O'Herron Co Inc Ck# 106918 badges - police dept 276 50 holsters and 1 gear bag - police deptCk# 107192 276 badges - police dept Ck# 107192 276 badges - police dept Ck# 107192 276 11433 - Visa (business) Ck# 107229 patrol equipment 276 11433 - Visa (business) Ck# 107229 patrol equipment 276 11433 - Visa (business) Ck# 107229 digital camera - police dept 276 11433 - Visa (business) Ck# 107229 patrol equipment - police dept 100-761-529000 Totals: Automotive Expense 4/12/2012 Budget Var: -2,441.65 79 10162 - E & S Communications Ck# 106626 equipment removal/squad #5988 79 10162 - E & S Communications Ck# 106626 equipment removal/squad #5986 79 10375 - Let It Shine Ck# 106678 march car washes - police dept 184 10154 - Dennison Chevrolet Ck# 106837 repair to squad #5076 184 10162 - E & S Communications Ck# 106838 replaced dvr box for camera system - squad #5095 184 10162 - E & S Communications Ck# 106838 replaced strobe tube - squad #5093 184 10583 - Secretary of State Ck# 106927 license renewal for squad #5060 276 10154 - Dennison Chevrolet Ck# 107097 replaced brake switch on squad #5077 276 10162 - E & S Communications Ck# 107099 remove equipment for body work squad #5092 276 10162 - E & S Communications Ck# 107099 connected gps to constant power squad #5091 276 10162 - E & S Communications Ck# 107099 remove readar from squad 5052, installed in squad #5058 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 9,390.00 97,665.00 3,298.90 Debit This Period Credit This Period 1,718.40 0.00 1,403.88 0.00 536.72 0.00 1,718.40 446.88 551.88 600.48 0.00 0.00 0.00 0.00 55.67 0.00 475.14 0.00 94.86 0.00 8,532.75 0.00 150.00 0.00 150.00 0.00 185.00 0.00 90.00 0.00 32.50 0.00 32.50 0.00 99.00 0.00 106.49 0.00 97.50 0.00 32.50 0.00 32.50 0.00 Ending Balance 11,831.65 Page 130 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget 276 10162 - E & S Communications Ck# 107099 replaced led for camera, installed shotgun squad #5094 276 10162 - E & S Communications Ck# 107099 remove all equipment fro squad #5052 276 10162 - E & S Communications Ck# 107099 fixed trunk tray squad #5081 276 10162 - E & S Communications Ck# 107099 troubleshoot and corrected camera issue squad 5074 276 10162 - E & S Communications Ck# 107099 wiring work squad #5072 276 10162 - E & S Communications Ck# 107099 moved flashlight charger squad 5103 276 10162 - E & S Communications Ck# 107099 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 WO 12 283 moved rear antenna soldered wires back together squad 5093 10162 - E & S Communications Ck# 107099 replaced driver side strobe squad 5077 10375 - Let It Shine Ck# 107143 april car washes - police dept 10475 - Pearl Technology Ck# 107174 20 wifi adapters for squad cars 10475 - Pearl Technology Ck# 107174 wifi adapter for a squad 10475 - Pearl Technology Ck# 107174 motherboard for squad cars 10475 - Pearl Technology Ck# 107174 3 motherboards and 6 cables for squads 10475 - Pearl Technology Ck# 107174 2 wireless access point, 2 antennas, 1 smartnet for squads WO Dist Batch WO3 - 00001.04.2012 100-761-534000 Totals: Vehicle Towage Var: -7,562.77 100-761-534101 100-761-534101 Totals: Equipment Repairs Var: 536.00 100-761-534400 100-761-534400 Totals: Maintenance Agreements Var: 2,048.00 100-761-538000 4/12/2012 AP 12 4/30/2012 AP 12 Beginning Balance 79 10105 - CDS Office Technologies Ck# 106602 copies for patrol & recodes dept 2/21/12-3/20/12 276 10105 - CDS Office Technologies Ck# 107080 copier reading patrol/records 3-21-12 to 4-20-12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 130.00 0.00 250.00 0.00 32.50 0.00 65.00 0.00 32.50 0.00 32.50 0.00 65.00 0.00 65.00 0.00 210.00 0.00 667.50 0.00 40.50 0.00 360.00 0.00 765.00 0.00 1,932.00 0.00 6,175.82 0.00 Ending Balance 97,665.00 825.00 93,396.46 11,831.31 0.00 105,227.77 825.00 2,600.00 289.00 0.00 0.00 289.00 2,600.00 13,024.00 552.00 0.00 0.00 552.00 63.15 0.00 76.96 0.00 Page 131 Account Number Description 100-761-550100 100-761-538000 Totals: Utilities 100-761-550300 100-761-550100 Totals: Telephone 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 100-761-551000 100-761-550300 Totals: Printing And Publications 4/26/2012 AP 12 4/30/2012 AP 12 100-761-551600 79 10111 - CenturyLink crimestoppers phone line 79 10685 - Verizon Wireless pd cellular charges 276 10111 - CenturyLink crimestopper phone line 276 10111 - CenturyLink patrol phone line 276 10685 - Verizon Wireless pd cellular charges AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 13,024.00 0.00 4,159.84 140.11 0.00 4,299.95 0.00 14,525.00 0.00 0.00 0.00 0.00 Ck# 106607 33.56 0.00 Ck# 106746 500.41 0.00 Ck# 107088 33.53 0.00 Ck# 107088 337.94 0.00 Ck# 107228 851.31 0.00 1,756.75 0.00 61.40 0.00 40.00 0.00 101.40 0.00 50.00 0.00 50.00 0.00 Var: 8,724.05 Var: 2,718.52 Var: 1,179.51 100-761-551600 Totals: Meals Var: -7,772.76 100-761-554200 Totals: Radio Expense Var: 236.87 100-761-555000 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 10,049.73 6,829.00 1,880.00 5,548.09 184 10447 - Gregory Nelson Ck# 106896 1/2 kiwanis dues/chief nelson - police dept 276 10348 - James Kaminski Ck# 107139 1/2 of kiwanis dues/kaminski 100-761-554200 4/12/2012 14,525.00 6,829.00 184 10796 - Pro Form, Inc. Ck# 106916 asset forfeiture preliminary hearing form - police 276 11875 - Screen Graphics Ck# 107203 business cards/baxter 100-761-551000 Totals: Dues And Subscriptions 4/26/2012 Budget 79 10162 - E & S Communications Ck# 106626 4 spare mics for portables - police dept 79 10533 - Ragan Communications Inc Ck# 106717 repair to radio P5100-s #9113737 - police dept 79 10533 - Ragan Communications Inc Ck# 106717 repair to radio P5100-s #9110394 - police dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 11,806.48 5,649.49 1,880.00 250.00 9,552.76 100.00 0.00 9,652.76 250.00 23,000.00 13.13 0.00 0.00 13.13 584.40 0.00 90.00 0.00 90.00 0.00 Page 132 Account Number Description 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 100-761-555200 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 100-761-556100 4/12/2012 4/30/2012 4/30/2012 AP WO AP Debit This Period Credit This Period 1,292.72 0.00 460.00 0.00 1,292.72 0.00 3,809.84 0.00 Ck# 106674 218.55 0.00 Ck# 106674 158.06 0.00 Ck# 107083 900.00 0.00 1,276.61 0.00 Ck# 106727 34.91 0.00 fuel for K-9 training/r. jones - police dept 275 WO Dist Batch IC1 - 00008.04.2012 276 10595 - Shell Oil Co Ck# 107205 fuel for k-9 training/jones 9,769.03 160.98 0.00 0.00 79 10363 - Kustom Signals Inc radar repair - police dept 79 10363 - Kustom Signals Inc radar repair - police dept 276 11532 - Central Service Center new radar unit - police dept 100-761-555200 Totals: Gasoline/diesel Fuel 12 12 12 79 10595 - Shell Oil Co 100-761-557200 100-761-556100 Totals: License And Inspection Fe 100-761-559000 100-761-557200 Totals: Medical Expense/supplies 4/30/2012 AP 12 Beginning Balance 79 10533 - Ragan Communications Inc Ck# 106717 monthly smr charges - police dept 184 10162 - E & S Communications Ck# 106838 replaced radio/part needed obsolete/unable to repair squad #5077 276 10533 - Ragan Communications Inc Ck# 107190 monthly smr charges - police dept 100-761-555000 Totals: Radar Expense 4/12/2012 Budget Var: 2,243.88 Var: -376.25 Var: 33,392.68 23,000.00 3,300.00 3,300.00 142,100.00 16,946.28 2,399.64 100-761-559000 Totals: Receivable Charge Off 100-761-560600 100-761-561000 3,676.25 98,742.40 9,964.92 0.00 108,707.32 0.00 6,850.00 0.00 0.00 0.00 0.00 368.50 0.00 6,850.00 0.00 0.00 368.50 0.00 368.50 100-761-559900 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-761-560600 Totals: Legal Fees 0.00 0.00 0.00 0.00 0.00 0.00 100-761-561000 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 6,481.50 20,756.12 142,100.00 0.00 276 11433 - Visa (business) Ck# 107229 custom packed upgrade to soft - police dept 100-761-559900 Ending Balance Page 133 Account Number Description 100-761-566000 Jail Expense 100-761-566700 Budget AP 12 4/30/2012 AP 12 Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 3,753.84 0.00 3,753.84 0.00 0.00 100-761-566000 Totals: Care Of Stray Animals 4/12/2012 Beginning Balance 0.00 45,444.00 79 10637 - Tazewell Cnty Animal ControlCk# 106732 march 2012 charges 276 10637 - Tazewell Cnty Animal ControlCk# 107209 april 2012 billing 100-761-566700 Totals: Other Contractual Service Var: 842.00 45,444.00 11,000.00 37,094.32 7,507.68 0.00 44,602.00 100-761-569000 100-761-569000 Totals: Machinery And Equipment Var: 11,000.00 11,000.00 0.00 0.00 0.00 0.00 0.00 100-761-587000 100-761-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 100-761-587001 100-761-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-761-587100 100-761-587100 Totals: Vehicles 0.00 162,000.00 0.00 0.00 0.00 0.00 100-761-587500 1,796.54 0.00 317.50 0.00 4/12/2012 AP 12 4/26/2012 AP 12 79 10162 - E & S Communications Ck# 106626 new vehicle build /squad #5113 184 10162 - E & S Communications Ck# 106838 long gun mount with power release and install squad #5077 100-761-592100 100-761-587500 Totals: Auxiliary Police 100-761-592300 100-761-592100 Totals: Explorer Post 4/12/2012 AP 100-761-592500 12 AP 12 4/26/2012 AP 12 162,000.00 0.00 148,162.47 2,114.04 0.00 150,276.51 0.00 2,300.00 0.00 0.00 0.00 0.00 150.00 0.00 150.00 0.00 42.00 0.00 191.06 0.00 79 11831 - NLEEC Ck# 106696 2012 national law enforcement exploring conference/little, ward, 100-761-592300 Totals: Crime Prevention Expense 4/12/2012 Var: 11,723.49 Var: 209.85 79 10628 - T Shirt House Ck# 106731 2 shirts c.o.p. 184 10843 - Kaeser & Blair Incorporated Ck# 106873 crime prevention - police dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 2,300.00 5,000.00 1,940.15 2,090.15 Page 134 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-761-592500 Totals: Dare Program Var: -303.57 5,000.00 2,000.00 5,070.51 233.06 0.00 5,303.57 100-761-592601 100-761-592601 Totals: Canine Unit Var: 2,000.00 2,000.00 5,420.00 0.00 0.00 0.00 0.00 100-761-592602 14.98 0.00 56.98 0.00 800.00 0.00 146.25 116.15 0.00 0.00 1,134.36 0.00 750.00 0.00 400.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 4/30/2012 AP AP 12 12 100-761-592604 79 10825 - Nieman Foods Inc Ck# 106695 k-9 lead required for training 79 10825 - Nieman Foods Inc Ck# 106695 k-9 dog food 184 11085 - T & J Excavating and ConcreteCk# 106938 concrete slab for k9 kennel 276 exam ahen - police dept Ck# 107176 276 exam ahen and wound care- police deptCk# 107176 100-761-592602 Totals: Emergency Services Team E 4/12/2012 AP 12 4/30/2012 AP 12 Var: 1,905.96 100-761-592604 Totals: Bike Program Var: 2,821.29 100-761-592605 Totals: Dui Enforcement Var: 230.62 100-761-592606 AP 12 184 11846 - AlcoPro, Inc. gas for pbt calibration - police 100-761-592606 Totals: Var: -46,174.32 Court Supervision Funded Exp 100-761-592700 100-761-592608 Totals: Shooting Range 100-761-595000 100-761-592700 Totals: Reimbursement - Personal AP 12 4,433.71 1,150.00 0.00 5,583.71 500.00 10,000.00 269.38 0.00 0.00 269.38 200.50 0.00 10,000.00 0.00 55,973.82 200.50 0.00 56,174.32 Var: -68,309.50 0.00 2,000.00 68,309.50 0.00 0.00 68,309.50 Var: 1,296.01 2,000.00 500.00 703.99 0.00 0.00 703.99 20.00 0.00 20.00 0.00 79 10628 - T Shirt House Ck# 106731 replacement stolz/damaged hat - police dept 100-761-595000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 3,514.04 8,405.00 500.00 Ck# 106793 100-761-592608 4/12/2012 2,379.68 79 10482 - Pekin Gun & Sporting Goods Ck# 106706 ciert ammunition 276 10621 - Streichers Ck# 107207 simunition srt 100-761-592605 4/26/2012 5,420.00 8,405.00 Var: 415.21 500.00 64.79 84.79 Page 135 Account Number Description 100-761-598100 Public Relations 100-761-599000 100-761-598100 Totals: Miscellaneous 4/12/2012 AP 12 4/2/2012 4/30/2012 GL AP 12 12 100-761-599801 4/30/2012 AP Beginning Balance Debit This Period Credit This Period Ending Balance 33.63 0.00 0.00 33.63 22.95 0.00 43.59 22.95 0.00 0.00 89.49 0.00 1,938.00 0.00 750.00 Var: 716.37 750.00 0.00 79 10493 - Pekin Trophy House Ck# 106709 appreciation plaque/d. jones - police dept 230 march ams fees 276 10493 - Pekin Trophy House Ck# 107180 retirement plaque/hollis 100-761-599000 Totals: Computer Software 12 Budget 276 11659 - Kronos telestaff - police Var: -780.62 0.00 2,500.00 691.13 Ck# 107140 780.62 100-761-599801 Totals: Computer Hardware Var: -27,616.91 2,500.00 3,240.00 28,178.91 1,938.00 0.00 30,116.91 100-761-599802 100-761-599802 Totals: Depreciation Expense Var: -2,770.00 3,240.00 0.00 6,010.00 0.00 0.00 6,010.00 100-761-599900 0.00 0.00 0.00 0.00 0.00 5,737,020.96 5,180,768.20 607,012.38 12.38 5,787,768.20 100-761-599900 Totals: 100-761 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 136 Account Number Description 100-763 100-763-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-763-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-763-515500 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 19 123 261 288 12 12 12 12 19 123 261 288 Var: 64,336.70 483,506.01 53,527.00 370,189.23 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-515000 Totals: Vacation Pay Debit This Period Credit This Period 14,761.07 14,780.52 17,830.89 1,607.60 0.00 0.00 0.00 0.00 48,980.08 0.00 1,523.28 2,068.33 2,827.61 274.65 0.00 0.00 0.00 0.00 6,693.87 0.00 963.76 918.16 356.56 234.96 0.00 0.00 0.00 0.00 Ending Balance 483,506.01 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-511600 Totals: Overtime 12 12 12 12 Beginning Balance Var: 1,117.05 53,527.00 0.00 45,716.08 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 419,169.31 52,409.95 100-763-515500 Totals: Holiday Pay Var: -25,124.61 0.00 16,309.17 22,651.17 2,473.44 0.00 25,124.61 100-763-515600 100-763-515600 Totals: Sick Pay Var: 157.81 16,309.17 0.00 16,151.36 0.00 0.00 16,151.36 100-763-515800 258.37 284.52 17.89 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 100-763-515900 100-763-515800 Totals: Injury Pay 100-763-517000 100-763-515900 Totals: Oasdi/city Share 6.2% 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Var: -13,630.36 0.00 0.00 13,069.58 560.78 0.00 13,630.36 0.00 2,307.09 0.00 0.00 0.00 0.00 85.32 85.32 85.32 8.55 0.00 0.00 0.00 0.00 264.51 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-517000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 67.81 2,307.09 1,974.77 2,239.28 Page 137 Account Number 100-763-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-763-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-763-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 12 19 123 261 288 Description Budget Medicare/city Share 1.45% 6,688.12 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-517001 Totals: Imrf 12 12 12 12 19 123 261 288 19 123 261 288 Var: -800.98 6,688.12 4,465.34 6,656.51 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-517401 Totals: Group Insurance 12 12 12 12 Beginning Balance Var: -370.69 4,465.34 105,426.37 4,168.29 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-763-518300 100-763-518000 Totals: Workers Comp Insurance 100-763-518700 100-763-518300 Totals: Mileage 100-763-518900 Credit This Period 248.11 256.01 298.45 30.02 0.00 0.00 0.00 0.00 832.59 0.00 215.40 215.40 215.40 21.54 0.00 0.00 0.00 0.00 667.74 0.00 4,748.41 4,748.41 5,493.40 568.07 0.00 0.00 0.00 0.00 Ending Balance 7,489.10 4,836.03 105,426.37 12,690.69 101,335.80 15,558.29 0.00 116,894.09 12,690.69 0.00 12,690.69 0.00 0.00 12,690.69 100-763-518700 Totals: Uniform Allowance 0.00 0.00 0.00 0.00 0.00 0.00 100-763-518900 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 100-763-519000 100-763-519000 Totals: Office Supplies 0.00 2,176.24 0.00 0.00 0.00 0.00 100-763-520200 271.38 0.00 173.70 0.00 445.08 0.00 4/30/2012 AP 12 4/30/2012 GL 12 100-763-520400 Var: -11,467.72 Debit This Period 276 10706 - Will Harms Co office supplies - inspections dept. 279 april office supplies 100-763-520200 Totals: Postage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 107233 Var: 728.37 2,176.24 160.00 1,002.79 1,447.87 Page 138 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-763-520400 Totals: Photographic Supplies Var: 146.64 160.00 540.00 13.36 0.00 0.00 13.36 100-763-522000 100-763-522000 Totals: General Supplies Var: 540.00 540.00 2,557.00 0.00 0.00 0.00 0.00 100-763-522400 557.85 0.00 55.45 0.00 4/12/2012 AP 12 4/30/2012 AP 12 79 11832 - AirClean Systems Ck# 106581 filter for lab equipment - police dept 276 10414 - Menard's Ck# 107148 hooks, storage bags & investigations supplies 100-763-524000 100-763-522400 Totals: Lease/rental Of Equipment 100-763-529000 100-763-524000 Totals: Equipment 4/26/2012 AP 12 4/30/2012 AP 12 100-763-529000 Totals: Automotive Expense 100-763-534101 100-763-534000 Totals: Vehicle Towage 100-763-534400 100-763-534101 Totals: Equipment Repairs GL 100-763-538000 4/26/2012 AP 12 1,205.69 613.30 0.00 1,818.99 0.00 3,575.00 0.00 0.00 0.00 0.00 2,369.91 0.00 27.00 0.00 Var: 441.22 3,575.00 0.00 736.87 2,396.91 0.00 3,133.78 0.00 0.00 0.00 0.00 0.00 0.00 0.00 700.00 0.00 0.00 0.00 0.00 0.00 999.00 0.00 999.00 149.26 0.00 281 correct coding 100-763-534400 Totals: Maintenance Agreements 12 2,557.00 0.00 184 11860 - Peoria Camera Shop Ck# 106911 camer, cords and chargers for investigations 276 11433 - Visa (business) Ck# 107229 memory cards - police dept 100-763-534000 4/30/2012 Var: 738.01 Var: 180.00 700.00 2,511.00 1,519.00 184 10105 - CDS Office Technologies Ck# 106813 investigations copier 3-1-12 to 3-31-12 100-763-550300 100-763-538000 Totals: Telephone 100-763-551000 100-763-550300 Totals: Printing And Publications GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 726.92 520.00 2,511.00 0.00 1,634.82 149.26 0.00 1,784.08 0.00 775.00 0.00 0.00 0.00 0.00 Page 139 Account Number 100-763-551600 Description AP 12 4/26/2012 AP 12 AP Beginning Balance Debit This Period Credit This Period Ending Balance 775.00 975.00 85.00 0.00 0.00 85.00 Ck# 106955 149.60 0.00 Ck# 106955 616.42 0.00 14-il criminal & motor vehicle law pamphlet full set 184 11712 - Embrace Telecom, Inc Ck# 106842 bb gps subscription - police 39.99 0.00 100-763-551000 Totals: Dues And Subscriptions 4/26/2012 4/26/2012 Budget 12 184 10700 - West Payment Center march 2012 charges 184 10700 - West Payment Center Var: 690.00 100-763-551600 Totals: Mealslodging Var: -1,342.76 975.00 100.00 1,511.75 806.01 0.00 2,317.76 100-763-554200 100-763-554200 Totals: Radio Expense Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 100-763-555000 100-763-555000 Totals: Gasoline/diesel Fuel 0.00 0.00 0.00 0.00 0.00 0.00 100-763-556100 100-763-556100 Totals: License And Inspection Fe 0.00 0.00 0.00 0.00 0.00 0.00 100-763-557200 100-763-557200 Totals: Jail Expense 0.00 0.00 0.00 0.00 0.00 0.00 100-763-566000 100-763-566000 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 100-763-569000 100-763-569000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-763-587000 100-763-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 100-763-587001 100-763-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-763-587100 100-763-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-763-587500 100-763-587500 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 140 Account Number Description Budget 100-763-592600 Special Investigations Ex 1,000.00 Debit This Period Credit This Period Ending Balance 1,000.00 10,175.00 227.22 0.00 0.00 227.22 10,175.00 1,000.00 10,175.00 0.00 0.00 10,175.00 100-763-592603 100-763-592600 Totals: Multi-county Narcotics Ex 100-763-592800 100-763-592603 Totals: Polygraph Exam 100-763-592800 Totals: Iron Eagle Expenses Var: 1,000.00 1,000.00 5,000.00 0.00 0.00 0.00 0.00 100-763-592900 100-763-592900 Totals: Federal Iron Eagle Expense Var: -11,694.38 5,000.00 0.00 16,694.38 0.00 0.00 16,694.38 100-763-592901 100-763-592901 Totals: Reimbursement - Personal 0.00 200.00 0.00 0.00 0.00 0.00 100-763-595000 100-763-595000 Totals: Miscellaneous Var: 200.00 200.00 100.00 0.00 0.00 0.00 0.00 100-763-599000 100-763-599000 Totals: Computer Software Var: 94.00 100.00 2,700.00 6.00 0.00 0.00 6.00 100-763-599801 999.00 0.00 4/30/2012 GL 12 Var: 772.78 Beginning Balance 281 correct coding 100-763-599801 Totals: Computer Hardware Var: 1,701.00 2,700.00 1,000.00 0.00 999.00 0.00 999.00 100-763-599802 100-763-599802 Totals: Depreciation Expense Var: 1,000.00 1,000.00 0.00 0.00 0.00 0.00 0.00 100-763-599900 0.00 0.00 0.00 0.00 0.00 720,164.03 629,415.36 81,440.86 999.00 709,857.22 100-763-599900 Totals: 100-763 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 141 Account Number Description 100-764 100-764-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-764-515000 4/3/2012 4/30/2012 4/30/2012 PR PR PR 100-764-515500 4/3/2012 4/18/2012 4/30/2012 PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 12 12 12 Var: 33,380.56 269,418.74 5,000.00 209,167.75 19 Computer Checks Batch 2012 04 00007 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-515000 Totals: Vacation Pay Debit This Period Credit This Period 8,893.49 8,378.06 8,663.28 935.60 0.00 0.00 0.00 0.00 26,870.43 0.00 237.02 169.96 156.51 0.00 0.00 0.00 563.49 0.00 1,123.85 656.13 769.18 0.00 0.00 0.00 Ending Balance 269,418.74 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-511600 Totals: Overtime 12 12 12 Beginning Balance Var: -1,051.85 5,000.00 0.00 5,488.36 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 236,038.18 6,051.85 100-764-515500 Totals: Holiday Pay Var: -17,987.15 0.00 0.00 15,437.99 2,549.16 0.00 17,987.15 100-764-515600 100-764-515600 Totals: Sick Pay Var: -13,750.96 0.00 0.00 13,750.96 0.00 0.00 13,750.96 100-764-515800 260.50 1,529.91 988.51 278.24 0.00 0.00 0.00 0.00 3,057.16 0.00 642.00 645.05 637.84 83.31 0.00 0.00 0.00 0.00 2,008.20 0.00 150.14 150.85 151.25 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-764-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-764-517001 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 0.00 15,828.58 6,507.42 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-517000 Totals: Medicare/city Share 1.45% 12 12 12 Var: -9,564.58 Var: -1,507.08 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 15,828.58 3,906.57 15,327.46 9,564.58 17,335.66 Page 142 Account Number 4/30/2012 PR 100-764-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-764-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 19 123 261 288 19 123 261 288 Var: -149.77 3,906.57 30,176.42 3,584.62 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-517401 Totals: Group Insurance 12 12 12 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-764-517001 Totals: Imrf 12 12 12 12 Budget Var: -2,783.42 30,176.42 30,457.55 28,525.76 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 19.48 0.00 471.72 0.00 1,431.71 1,396.05 1,400.09 206.23 0.00 0.00 0.00 0.00 4,434.08 0.00 2,137.34 2,137.34 2,137.34 330.92 0.00 0.00 0.00 0.00 Ending Balance 4,056.34 32,959.84 100-764-518000 Totals: Unemployment Insurance Var: -18,117.67 30,457.55 0.00 41,832.28 6,742.94 0.00 48,575.22 100-764-518200 100-764-518200 Totals: Workers Comp Insurance Var: -10,606.13 0.00 700.49 10,606.13 0.00 0.00 10,606.13 100-764-518300 100-764-518300 Totals: Mileage 700.49 0.00 700.49 0.00 0.00 700.49 100-764-518700 100-764-518700 Totals: Uniform Allowance 0.00 0.00 0.00 0.00 0.00 0.00 100-764-518900 100-764-518900 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 100-764-519000 100-764-519000 Totals: Office Supplies 0.00 3,042.33 0.00 0.00 0.00 0.00 100-764-520200 94.92 0.00 376.35 0.00 471.27 0.00 64.65 0.00 4/26/2012 AP 12 4/30/2012 GL 12 100-764-520400 4/2/2012 GL 184 10706 - Will Harms Co office supplies - records 279 april office supplies 100-764-520200 Totals: Postage 12 260 april 2012 postage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 106960 Var: 498.65 3,042.33 5,234.10 2,072.41 2,543.68 Page 143 Account Number 100-764-520500 4/26/2012 AP Description 100-764-520400 Totals: Rim System Fees 12 Var: 3,191.25 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 5,234.10 5,000.00 1,978.20 64.65 0.00 2,042.85 300.00 0.00 184 10837 - City of Peoria Ck# 106820 quarterly service bureau fees - police dept 100-764-520900 100-764-520500 Totals: Transfer To Tpccc 100-764-522000 5,000.00 0.00 10,558.70 300.00 0.00 10,858.70 100-764-520900 Totals: Photographic Supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-764-522000 Totals: Lease/rental Of Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-764-524000 100-764-524000 Totals: Equipment 0.00 250.00 0.00 0.00 0.00 0.00 100-764-529000 100-764-529000 Totals: Equipment Repairs Var: -904.46 250.00 500.00 1,154.46 0.00 0.00 1,154.46 100-764-534400 100-764-534400 Totals: Maintenance Agreements Var: 500.00 500.00 2,712.00 0.00 0.00 0.00 0.00 100-764-538000 Ck# 106602 55.77 0.00 copies for patrol & recodes dept 2/21/12-3/20/12 276 10105 - CDS Office Technologies Ck# 107080 copier reading patrol/records 3-21-12 to 4-20-12 60.87 0.00 4/12/2012 4/30/2012 AP AP 12 12 79 10105 - CDS Office Technologies 100-764-550300 100-764-538000 Totals: Telephone 100-764-551000 100-764-550300 Totals: Printing And Publications 100-764-554200 100-764-551000 Totals: Mealslodging 100-764-554300 100-764-554200 Totals: Uniforms And Tools 4/26/2012 AP 12 Var: -5,858.70 Var: 2,036.55 Var: 345.80 184 10133 - Jan Cottrell uniforms reimbursement/cottrell GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 106829 2,712.00 0.00 558.81 116.64 0.00 675.45 0.00 550.00 0.00 0.00 0.00 0.00 550.00 0.00 204.20 0.00 0.00 204.20 0.00 2,100.00 0.00 0.00 0.00 0.00 135.31 0.00 Page 144 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 Budget Beginning Balance 184 10623 - Susan Stumpf Ck# 106937 reimbursement for uniforms/stumpf 184 11210 - Bob Schaich Ck# 106925 reimbursement for uniform allowance/schaich 100-764-554300 Totals: Medical Expense/supplies Var: 611.35 100-764-559000 100-764-559000 Totals: Other Contractual Service Var: -105.25 100-764-569000 100-764-587100 Debit This Period Credit This Period 93.46 0.00 206.77 0.00 Ending Balance 2,100.00 0.00 1,053.11 435.54 0.00 1,488.65 0.00 0.00 105.25 0.00 0.00 105.25 100-764-569000 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-764-587100 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 100-764-599000 100-764-599000 Totals: Computer Software Var: -64.99 0.00 2,500.00 64.99 0.00 0.00 64.99 100-764-599801 100-764-599801 Totals: Computer Hardware Var: 2,500.00 2,500.00 5,000.00 0.00 0.00 0.00 0.00 100-764-599802 100-764-599802 Totals: Var: 5,000.00 5,000.00 0.00 0.00 0.00 0.00 382,376.78 368,679.35 48,085.28 0.00 416,764.63 100-764 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 145 Account Number Description 100-766 100-766-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-766-515000 4/30/2012 PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 Var: 3,703.03 100-766-515000 Totals: Vacation Pay Var: 130.89 100-766-515600 100-766-515500 Totals: Holiday Pay 100-766-515800 100-766-515600 Totals: Sick Pay PR PR PR 100-766-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-766-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-766-517401 4/3/2012 4/18/2012 PR PR 12 12 12 19 123 261 288 19 123 261 288 12 12 0.00 0.00 0.00 0.00 3,929.68 0.00 54.39 0.00 34,007.37 54.39 0.00 469.11 Var: -725.20 0.00 0.00 725.20 0.00 0.00 725.20 Var: -1,305.36 0.00 0.00 1,305.36 0.00 0.00 1,305.36 235.69 290.08 40.79 0.00 0.00 0.00 566.56 0.00 86.51 86.51 89.89 8.66 0.00 0.00 0.00 0.00 271.57 0.00 20.23 20.23 21.02 2.03 0.00 0.00 0.00 0.00 63.51 0.00 218.29 218.29 0.00 0.00 Var: -1,899.13 Var: 33.47 Var: 7.85 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,214.71 1,160.32 1,409.61 145.04 Ending Balance 414.72 0.00 2,338.04 1,332.57 2,338.04 546.80 2,033.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-766-517001 Totals: Imrf Credit This Period 600.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-766-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 30,077.69 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 100-766-515800 Totals: OASDI 12 12 12 12 37,710.40 600.00 261 Computer Checks Batch 2012 05 00009 100-766-515500 4/3/2012 4/18/2012 4/30/2012 Debit This Period 37,710.40 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-766-511600 Totals: Overtime 12 Beginning Balance 546.80 4,525.25 475.44 1,899.13 2,304.57 538.95 Page 146 Account Number 4/30/2012 4/30/2012 PR PR 100-766-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-766-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: -447.76 4,525.25 15,888.29 4,288.13 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 226.47 21.83 0.00 0.00 684.88 0.00 744.99 744.99 744.99 72.55 0.00 0.00 0.00 0.00 Ending Balance 4,973.01 100-766-518000 Totals: Liability Insurance Packa Var: -984.06 15,888.29 688.80 14,564.83 2,307.52 0.00 16,872.35 100-766-518100 100-766-518100 Totals: Workers Comp Insurance Var: -48.22 688.80 1,120.00 737.02 0.00 0.00 737.02 100-766-518300 100-766-518300 Totals: Mileage 1,120.00 0.00 1,120.00 0.00 0.00 1,120.00 100-766-518700 100-766-518700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 100-766-519000 100-766-519000 Totals: Office Supplies 0.00 456.90 0.00 0.00 0.00 0.00 100-766-520200 100-766-520200 Totals: Postage 456.90 1,336.00 188.58 0.00 0.00 188.58 100-766-520400 78.75 0.00 4/2/2012 GL 12 Var: 268.32 260 april 2012 postage 100-766-520500 100-766-520400 Totals: Rim System Fees 100-766-522400 100-766-520500 Totals: General Supplies 100-766-524000 100-766-522400 Totals: Lease/rental Of Equipment 100-766-529000 100-766-524000 Totals: Equipment GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 356.29 Var: 29.20 1,336.00 0.00 900.96 78.75 0.00 979.71 0.00 40.00 0.00 0.00 0.00 0.00 40.00 0.00 10.80 0.00 0.00 10.80 0.00 0.00 0.00 0.00 0.00 0.00 Page 147 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100-766-529000 Totals: Automotive Expense 0.00 0.00 0.00 0.00 0.00 0.00 100-766-534000 100-766-534000 Totals: Vehicle Towage 0.00 0.00 0.00 0.00 0.00 0.00 100-766-534101 100-766-534101 Totals: Equipment Repairs 0.00 0.00 0.00 0.00 0.00 0.00 100-766-534400 100-766-534400 Totals: Maintenance Agreements 0.00 0.00 0.00 0.00 0.00 0.00 100-766-538000 100-766-538000 Totals: Telephone 0.00 0.00 0.00 0.00 0.00 0.00 100-766-550300 100-766-550300 Totals: Printing And Publications 0.00 2,200.00 0.00 0.00 0.00 0.00 100-766-551000 1,667.06 0.00 4/26/2012 AP 12 184 10143 - Curtis 1000 Inc - Midwest 5500 parking tickets 100-766-554200 100-766-551000 Totals: Mealslodging 100-766-554300 100-766-554200 Totals: Uniforms And Tools 100-766-555000 100-766-554300 Totals: Radio Expense 100-766-556100 Ck# 106833 2,200.00 0.00 454.28 1,667.06 0.00 2,121.34 0.00 400.00 0.00 0.00 0.00 0.00 400.00 0.00 376.20 0.00 0.00 376.20 100-766-555000 Totals: Gasoline/diesel Fuel 0.00 0.00 0.00 0.00 0.00 0.00 100-766-556100 Totals: Medical Expense/supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-766-559000 100-766-559000 Totals: Other Contractual Service 0.00 9,100.00 0.00 0.00 0.00 0.00 100-766-569000 Ck# 106894 225.00 0.00 Ck# 107076 125.00 0.00 4/26/2012 AP 12 4/30/2012 AP 12 Var: 78.66 Var: 23.80 184 10438 - Municipal Systems Inc month of march 2012 276 10094 - Dawn Burson GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 148 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 9,100.00 0.00 5,892.25 350.00 0.00 6,242.25 parking hearing officer 100-766-587000 100-766-569000 Totals: Machinery And Equipment 100-766-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 100-766-587001 100-766-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-766-587100 100-766-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-766-587500 100-766-587500 Totals: Miscellaneous Var: 1,000.00 0.00 50.00 -1,000.00 0.00 0.00 -1,000.00 100-766-599000 100-766-599000 Totals: Computer Software Var: 50.00 50.00 0.00 0.00 0.00 0.00 0.00 100-766-599801 0.00 0.00 0.00 0.00 0.00 77,000.48 63,897.03 9,973.92 0.00 73,870.95 100-766-599801 Totals: 100-766 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 2,857.75 Page 149 Account Number Description 100-793 100-793-511600 Budget Salary: All Personnel PR PR PR GL 12 12 12 12 19 123 261 282 4/30/2012 PR 12 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 4/18/2012 4/30/2012 PR PR 100-793-515500 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 chg coding march hud work 100-793-511600 Totals: Overtime 12 12 12 12 12 12 Var: 24,035.85 291,540.40 0.00 229,529.64 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 100-793-515000 Totals: Vacation Pay 19 123 261 288 Debit This Period Credit This Period 11,113.33 11,428.28 11,363.16 3,041.50 0.00 0.00 0.00 0.00 1,028.64 0.00 37,974.91 0.00 27.62 13.81 0.00 0.00 41.43 0.00 938.72 476.72 946.48 202.32 0.00 0.00 0.00 0.00 Ending Balance 291,540.40 4/3/2012 4/18/2012 4/30/2012 4/30/2012 100-793-515000 Beginning Balance Var: -749.76 0.00 0.00 708.33 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 267,504.55 749.76 100-793-515500 Totals: Holiday Pay Var: -19,698.91 0.00 0.00 17,134.67 2,564.24 0.00 19,698.91 100-793-515600 100-793-515600 Totals: Sick Pay Var: -9,792.64 0.00 0.00 9,792.64 0.00 0.00 9,792.64 100-793-515800 55.23 404.64 0.00 0.00 459.87 0.00 734.07 748.32 747.46 74.72 0.00 0.00 0.00 0.00 2,304.57 0.00 171.68 175.02 174.82 17.48 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 PR PR 100-793-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-793-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 100-793-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 0.00 18,075.50 3,119.51 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-793-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -3,579.38 Var: -44.99 18,075.50 4,227.34 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 15,815.92 3,579.38 18,120.49 Page 150 Account Number 100-793-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 100-793-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 100-793-517001 Totals: Imrf 12 12 12 12 19 123 261 288 19 123 261 288 Beginning Balance Debit This Period Credit This Period Ending Balance 4,227.34 34,984.85 3,698.85 539.00 0.00 4,237.85 1,822.14 1,856.75 1,854.67 185.27 0.00 0.00 0.00 0.00 5,718.83 0.00 3,502.90 3,502.90 3,502.90 338.15 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 100-793-517401 Totals: Group Insurance 12 12 12 12 Var: -10.51 Budget Var: -3,607.93 34,984.85 75,736.18 32,873.95 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 38,592.78 100-793-518000 Totals: Liability Insurance Packa Var: 2,218.12 75,736.18 7,197.75 62,671.21 10,846.85 0.00 73,518.06 100-793-518100 100-793-518100 Totals: Unemployment Insurance Var: -503.84 7,197.75 0.00 7,701.59 0.00 0.00 7,701.59 100-793-518200 100-793-518200 Totals: Workers Comp Insurance 0.00 10,128.17 0.00 0.00 0.00 0.00 100-793-518300 100-793-518300 Totals: Mileage 10,128.17 0.00 10,128.17 0.00 0.00 10,128.17 100-793-518700 100-793-518700 Totals: Training And Education 0.00 3,200.00 0.00 0.00 0.00 0.00 100-793-519000 30.00 0.00 20.00 0.00 100.00 0.00 90.00 0.00 35.00 0.00 100.00 0.00 4/12/2012 AP 12 79 10626 - Morris Sunkel 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/26/2012 AP 12 184 Ck# 106730 continuing eduction for plumbers license/sunkel 10679 - David Van Dyke Ck# 106745 monthly training & education for license/Van Dyke 10850 - IL Dept of Public Health Ck# 106659 renewal of plumbers license/sunkel 11060 - IPEA Ck# 106664 continuing education for plumbers license/sunkel 11834 - IL Plumbing Education Assoc.Ck# of Central 106660Illinois continuing education for plumbers license/sunkel 10598 - Ron Sieh Ck# 106932 refresher training course for asbestos/sieh GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 151 Account Number 100-793-520200 Description 100-793-519000 Totals: Office Supplies 4/26/2012 AP 12 4/30/2012 GL 12 100-793-520400 4/2/2012 GL 184 10706 - Will Harms Co office supplies - inspections dept 279 april office supplies 100-793-520200 Totals: Postage 12 100-793-520400 Totals: Photographic Supplies 100-793-522400 100-793-522000 Totals: General Supplies AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 3,200.00 650.00 1,264.39 375.00 0.00 1,639.39 9.98 0.00 57.90 0.00 67.88 0.00 94.80 0.00 Ck# 106960 Var: -208.05 650.00 1,750.00 790.17 260 april 2012 postage 100-793-522000 4/12/2012 Var: 1,560.61 Budget Var: 1,185.49 79 10206 - Fourteenth Street Hardware 858.05 1,750.00 0.00 469.71 94.80 0.00 564.51 0.00 150.00 0.00 0.00 0.00 0.00 11.98 0.00 Ck# 106634 red paint for marking julies - inspections dept 100-793-524000 100-793-522400 Totals: Lease/rental Of Equipment 100-793-529000 100-793-524000 Totals: Equipment 100-793-534000 100-793-529000 Totals: Automotive Expense 100-793-534400 100-793-534000 Totals: Equipment Repairs 4/12/2012 AP 100-793-536100 12 100-793-534400 Totals: Property Cleanup Fees 4/12/2012 AP 12 4/12/2012 AP 12 100-793-538000 79 11833 - Cross Lawn Care property cleanup Var: 15.49 150.00 0.00 122.53 11.98 0.00 134.51 0.00 400.00 0.00 0.00 0.00 0.00 Var: 400.00 400.00 3,000.00 0.00 0.00 0.00 0.00 Var: 703.42 3,000.00 0.00 2,296.58 0.00 0.00 2,296.58 400.00 0.00 400.00 0.00 880.00 0.00 1,875.00 0.00 2,755.00 0.00 Ck# 106620 Var: -400.00 0.00 15,000.00 0.00 79 10091 - David Burling Excavating Inc Ck# 106622 property cleanup t 1219 mechanic st 79 10091 - David Burling Excavating Inc Ck# 106622 property cleanup 248 derby 100-793-536100 Totals: Maintenance Agreements GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 5,926.89 15,000.00 0.00 6,318.11 400.00 9,073.11 Page 152 Account Number 100-793-550300 Description Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 2,000.00 0.00 0.00 0.00 0.00 Ck# 106746 157.39 0.00 Ck# 106818 1.00 0.00 158.39 0.00 34.32 0.00 35.10 0.00 36.66 0.00 41.34 0.00 56.16 0.00 43.68 0.00 100-793-538000 Totals: Telephone 4/12/2012 AP 12 4/26/2012 AP 12 100-793-551000 Budget 79 10685 - Verizon Wireless cell phones for inspections dept 184 10111 - CenturyLink phone service - inspections 100-793-550300 Totals: Printing And Publications 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Var: -159.02 2,000.00 4,000.00 2,000.63 79 10343 - Journal Star Ck# 106669 legal for zba meeting for 1015 n 14th - zoning dept 79 10343 - Journal Star Ck# 106669 legal for zba meeting for 304 orr ave - zoning dept 184 10343 - Journal Star Ck# 106872 publication of legal for zba mtg may 9 for 2101 marigold 184 10343 - Journal Star Ck# 106872 legal correction for herman street address for ppc meeting may 9 184 10343 - Journal Star Ck# 106872 legal for rezoning of property on velde for ppc meeting may 9 276 10343 - Journal Star Ck# 107137 corrected legal for ppc mtg on 5-9-12 (1215 s 14th) 2,159.02 100-793-551000 Totals: Dues And Subscriptions Var: 671.16 4,000.00 700.00 3,081.58 247.26 0.00 3,328.84 100-793-551600 100-793-551600 Totals: Meals Var: 350.00 700.00 50.00 350.00 0.00 0.00 350.00 100-793-554200 100-793-554200 Totals: Uniforms And Tools Var: 50.00 50.00 1,250.00 0.00 0.00 0.00 0.00 100-793-554300 100-793-554300 Totals: Radio Expense Var: 1,098.41 1,250.00 0.00 151.59 0.00 0.00 151.59 100-793-555000 100-793-555000 Totals: Gasoline/diesel Fuel 0.00 7,500.00 0.00 0.00 0.00 0.00 100-793-556100 836.74 0.00 836.74 0.00 50.00 0.00 4/30/2012 WO 100-793-557200 4/26/2012 AP 12 275 WO Dist Batch IC1 - 00008.04.2012 100-793-556100 Totals: License And Inspection Fe 12 184 10598 - Ron Sieh GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,183.10 Ck# 106932 7,500.00 500.00 7,846.36 8,683.10 Page 153 Account Number 4/26/2012 AP Description 12 Budget Beginning Balance absestos renewal license/sieh 184 11857 - Illinois Notary "Discount" Bonding Ck# 106867 Co. renewal of notary license, bonding and stamp Debit This Period Credit This Period 36.90 0.00 Ending Balance 100-793-557200 Totals: Medical Expense/supplies Var: 313.10 500.00 150.00 100.00 86.90 0.00 186.90 100-793-559000 100-793-559000 Totals: Provisions For Bad Debts Var: 150.00 150.00 0.00 0.00 0.00 0.00 0.00 100-793-559900 100-793-559900 Totals: Consulting Fees 0.00 500.00 0.00 0.00 0.00 0.00 100-793-560500 100-793-560500 Totals: Corporate Counsel Fees 500.00 0.00 0.00 0.00 0.00 0.00 100-793-560600 100-793-560600 Totals: Demolition 0.00 50,000.00 0.00 0.00 0.00 0.00 100-793-562500 125.00 0.00 125.00 0.00 4/30/2012 AP 12 Var: 500.00 276 10491 - Pekin Title LLC Ck# 107179 lien search in preparation of demolition of property 100-793-569000 4/12/2012 4/12/2012 AP AP 100-793-562500 Totals: Other Contractual Service Var: 33,240.00 50,000.00 2,500.00 16,635.00 12 79 10262 - J Brian Heller Ck# 106650 268.52 0.00 12 code hearing officer fees 79 10262 - J Brian Heller code hearing officer fees Ck# 106650 356.57 0.00 100-793-587000 100-793-569000 Totals: Machinery And Equipment 100-793-587100 2,500.00 0.00 1,142.62 625.09 0.00 1,767.71 100-793-587000 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 100-793-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 100-793-587500 100-793-587500 Totals: Lien Filing Fee 0.00 5,000.00 38.00 0.00 0.00 38.00 100-793-593300 Ck# 106734 25.75 0.00 Ck# 106734 29.75 0.00 4/12/2012 AP 12 4/12/2012 AP 12 Var: 732.29 16,760.00 Var: -38.00 79 10638 - Tazewell Cnty Recorder filing of 1 lien - inspections 79 10638 - Tazewell Cnty Recorder GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 154 Account Number 4/26/2012 AP Description 12 Budget release of 5 liens - inspections 184 10638 - Tazewell Cnty Recorder release of 2 liens 100-793-599000 100-793-593300 Totals: Miscellaneous 100-793-599801 Beginning Balance Ck# 106940 Credit This Period 51.50 0.00 Ending Balance 5,000.00 0.00 3,829.00 107.00 0.00 3,936.00 100-793-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 100-793-599801 Totals: 0.00 0.00 0.00 0.00 0.00 540,190.19 439,610.75 66,340.74 0.00 505,951.49 100-793 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 1,064.00 Debit This Period Page 155 Account Number Description 100-990 100-990-516800 City Share Life Insurance Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 100-990-516800 Totals: City Share Police Insurance 0.00 0.00 0.00 0.00 0.00 0.00 100-990-517100 100-990-517100 Totals: City Share Fire Insurance 0.00 0.00 0.00 0.00 0.00 0.00 100-990-517200 100-990-517200 Totals: Group Insurance 0.00 0.00 0.00 0.00 0.00 0.00 100-990-518000 100-990-518000 Totals: Office Supplies 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520200 46.37 0.00 1,158.00 0.00 0.00 1,158.00 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 GL 12 79 10420 - Midwest Mailing & Shipping Sys Ck# 106690 postage meter label 276 10880 - Midland Papaer Packaging & Supplies Ck# 107151 copy paper 279 april office supplies 100-990-520223 100-990-520200 Totals: Transfer To Garbage 100-990-520225 0.00 0.00 2,821.57 1,204.37 1,158.00 2,867.94 100-990-520223 Totals: Transfer To Yardwaste 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520225 Totals: Transfer To Recycling 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520226 100-990-520226 Totals: Transfer To Sewerage Fund 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520231 100-990-520231 Totals: Transfer To Hud #2 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520261 100-990-520261 Totals: Transfer To Tif #1 Cbd 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520270 100-990-520270 Totals: Postage 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520400 0.00 614.86 4/2/2012 GL 12 260 april 2012 postage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,867.94 Page 156 Account Number 4/30/2012 GL Description 12 Budget Beginning Balance 293 airport postage/wings & wheels 100-990-520445 100-990-520400 Totals: Transfer To Capital Proje 100-990-520500 Credit This Period 0.00 51.30 Ending Balance 0.00 0.00 5,334.18 0.00 666.16 4,668.02 100-990-520445 Totals: Transfer To Municipal Bus 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520500 Totals: Transfer To Pekin Airport 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520525 100-990-520525 Totals: Transfer To Economic Deve 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520570 100-990-520570 Totals: Transfer To A/p Imprest 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520677 100-990-520677 Totals: Transfer To Payroll Impre 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520688 100-990-520688 Totals: Transfer To Insurance Fund 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520695 100-990-520695 Totals: Transfer To Vehicle Maint 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520699 100-990-520699 Totals: Transfer To Special Assess 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520700 100-990-520700 Totals: Transfer To Library Fund 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520924 100-990-520924 Totals: Transfer To Police Pensio 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520941 100-990-520941 Totals: Transfer To Fire Pension 0.00 0.00 0.00 0.00 0.00 0.00 100-990-520944 100-990-520944 Totals: Lease/rental Of Equipment 0.00 0.00 0.00 0.00 0.00 0.00 100-990-524000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -4,668.02 Debit This Period Page 157 Account Number Description 100-990-529000 100-990-524000 Totals: Equipment 100-990-538000 100-990-529000 Totals: Maintenance Agreements 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 100-990-550300 4/26/2012 AP 184 10111 - CenturyLink phone service - city hall 100-990-551000 100-990-550300 Totals: Printing And Publications 100-990-559900 100-990-551000 Totals: Receivable Charge Off 100-990-560100 100-990-559900 Totals: Auditing Fees 100-990-565900 100-990-560100 Totals: Citylink Contract 100-990-568100 100-990-565900 Totals: Home Rule Tax Rebate 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 -2,721.13 0.00 0.00 -2,721.13 0.00 13,510.00 0.00 0.00 0.00 0.00 618.14 0.00 90.04 0.00 694.35 0.00 1,402.53 0.00 2,284.03 0.00 184 10105 - CDS Office Technologies Ck# 106813 copier meter reading at city hall work room 184 10105 - CDS Office Technologies Ck# 106813 copier meter reading at city hall black and white only 184 10258 - Heart Technologies Inc Ck# 106859 maintenance telecom 4/23-5/22/2012 100-990-538000 Totals: Telephone 12 Var: 2,721.13 Budget Var: -2,782.94 14,890.41 Ck# 106818 Var: 18,952.10 16,292.94 35,000.00 0.00 13,763.87 2,284.03 0.00 16,047.90 0.00 0.00 0.00 0.00 0.00 0.00 0.00 35,000.00 0.00 0.00 0.00 0.00 Var: 300.00 35,000.00 85,348.00 34,700.00 0.00 0.00 34,700.00 Var: -38,934.00 85,348.00 30,000.00 124,282.00 0.00 0.00 124,282.00 937.30 0.00 55.02 0.00 16.70 0.00 411.67 0.00 260.36 0.00 79 10587 - Seico Inc Ck# 106724 rebate-city sales tax 184 10552 - RJB Marine & Gun Ck# 106921 rebate city sales tax for 1st qtr of 2012 184 10592 - Sharp's Electronic Measure Ck# 106930 rebate sales tax 184 10689 - Vonderheide Floor Coverings Ck# 106953 rebate city sales tax for 1st qtr 2012 276 10006 - Abel Vault & Monument Ck# 107053 city sales tax rebate GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 13,510.00 35,000.00 Page 158 Account Number 4/30/2012 AP Description 12 Budget Beginning Balance 276 10519 - Preston Hanley Funeral HomeCk# 107187 city sales tax rebate Debit This Period Credit This Period 1,435.43 0.00 Ending Balance 100-990-568100 Totals: Other Contractual Service Var: 8,239.61 30,000.00 35,000.00 18,643.91 3,116.48 0.00 21,760.39 100-990-569000 100-990-569000 Totals: Office Equipment And Furn Var: 35,000.00 35,000.00 0.00 0.00 0.00 0.00 0.00 100-990-587100 100-990-587100 Totals: Interest Paid 0.00 43,384.00 0.00 0.00 0.00 0.00 100-990-590400 2,190.00 0.00 2,190.00 0.00 50.96 0.00 50.96 0.00 150.00 0.00 4,225.00 0.00 0.90 300.00 0.00 0.00 395.00 0.00 3,350.00 0.00 4/30/2012 AP 100-990-590600 4/2/2012 GL 100-990-590900 12 276 11011 - Bank of New York Mellon Trust Ck#Co. 107069 go bond intrest Re: pekin il peoria & tazewell counties bonds 100-990-590400 Totals: Bank Charges 12 AP 12 4/26/2012 AP 12 4/2/2012 4/30/2012 GL AP 12 12 4/30/2012 AP 12 4/30/2012 AP 12 43,384.00 0.00 21,505.56 230 march ams fees 100-990-590600 Totals: Police And Fire Commissio 4/12/2012 Var: 19,688.44 Var: -4,785.14 0.00 15,000.00 4,734.18 79 10646 - Terrance McCann & Assoc Ck# 106736 pre employment polygraph-fd amstutz 184 11708 - Industrial Organizational Solutions, Ck# 106868 Inc 2012 pd sgt. promotion assessment center 260 april 2012 postage 276 10646 - Terrance McCann & Assoc Ck# 107214 polygraph exams/gonzales, schulke 276 11656 - Stanard & Associates, Inc. Ck# 107206 psychological eval/amstutz - fire dept 276 11708 - Industrial Organizational Solutions, Ck# 107131 Inc 2012 pd sgt. promotion assessment center 23,695.56 4,785.14 100-990-590900 Totals: Bond Principal Retired Var: -4,610.97 15,000.00 245,795.00 11,190.07 8,420.90 0.00 19,610.97 100-990-591000 100-990-591000 Totals: Bond Registrar Fees Var: -674,778.33 245,795.00 0.00 920,573.33 0.00 0.00 920,573.33 100-990-591100 100-990-591100 Totals: Fines And Penalties 0.00 0.00 0.00 0.00 0.00 0.00 100-990-593100 100-990-593100 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 159 Account Number Description 100-990-593700 Reconciliation Difference Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 222,643.24 0.00 0.00 0.00 0.00 222,643.24 0.00 223,756.40 0.00 0.00 223,756.40 0.00 100-990-599000 100-990-593700 Totals: Miscellaneous 100-990-599997 100-990-599000 Totals: Payroll Increase Set Asid 100-990-599997 Totals: Capital Set Aside 0.00 0.00 0.00 0.00 0.00 0.00 100-990-599998 100-990-599998 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 100-990-599999 100-990-599999 Totals: 0.00 0.00 0.00 0.00 0.00 760,680.24 1,393,474.35 18,669.27 1,824.16 1,410,319.46 100-990 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,113.16 Page 160 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 17,862,490.96 16,468,432.62 1,963,658.17 30,613.05 18,401,477.74 1,197,247.86 0.00 6,036,318.26 6,036,318.26 0.00 100 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 161 Account Number Description 208 ASSETS 208-000-110201 Budget Debit This Period Credit This Period 37 Fund balance entry for fund 208 # 16651 Cash Receipts Batch 50205-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 2,214.15 0.00 0.00 12,200.00 88 Fund balance entry for fund 208 # 16857 Cash Receipts Batch 50513-04-2012 96 Fund balance entry for fund 208 # 16889 Cash Receipts Batch 50016-04-2012 172 Fund balance entry for fund 208 174 Fund balance entry for fund 208 # 17148 Cash Receipts Batch 50124-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 11,737.10 0.00 2,095.00 0.00 0.00 2,214.15 2,214.15 0.00 0.00 606.43 Equity In Pooled Cash 4/5/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/16/2012 CR 12 4/24/2012 4/24/2012 BT CR 12 12 4/26/2012 AP 12 4/2/2012 4/30/2012 GL CR 12 12 4/30/2012 CR 12 260 april 2012 postage 285 Fund balance entry for fund 208 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 208 Cash Receipts Batch 50121-04-2012 Beginning Balance Ending Balance 0.00 # 17791 0.00 143.94 30.55 0.00 # 17801 160.05 0.00 208-000-110201 Totals: Acccounts Receivable 0.00 0.00 210,696.91 18,564.39 15,051.13 214,210.17 208-000-130100 208-000-130100 Totals: Other Taxes Receivable 0.00 0.00 0.00 0.00 0.00 0.00 208-000-130600 208-000-130600 Totals: Other receivables 0.00 0.00 11,635.38 0.00 0.00 11,635.38 208-000-132000 4/13/2012 CR 12 4/16/2012 CR 12 4/24/2012 4/24/2012 BT BT 12 12 208-000-135700 88 Hotel/Motel Tax Concorde Inn Cash Receipts Batch 50513-04-2012 96 Hotel/Motel Tax Econo Lodge Cash Receipts Batch 50016-04-2012 172 Hotel/Motel Tax 173 Hotel/Motel Tax # 16857 0.40 0.00 # 16889 0.65 0.00 2,214.15 0.00 0.00 2,214.15 208-000-132000 Totals: Loan Receivables 0.00 0.00 180.66 2,215.20 2,214.15 181.71 208-000-135700 Totals: 0.00 500,000.00 0.00 0.00 500,000.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 162 Account Number Description 208-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 722,512.95 20,779.59 17,265.28 726,027.26 Page 163 Account Number Description ASSETS Totals: LIABILITIES 208-000-219000 Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 722,512.95 20,779.59 17,265.28 726,027.26 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 12,200.00 12,200.00 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 606.43 606.43 0.00 208-000-219000 Totals: 208-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 12,806.43 12,806.43 0.00 0.00 0.00 12,806.43 12,806.43 0.00 Page 164 Account Number Description LIABILITIES Totals: FUND BALANCE 208-000-390100 Fund Balance Beg Year 208-000-390100 Totals: 208-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 12,806.43 12,806.43 0.00 0.00 -680,759.73 0.00 0.00 -680,759.73 0.00 -680,759.73 0.00 0.00 -680,759.73 0.00 Page 165 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -680,759.73 0.00 0.00 -680,759.73 16651 0.00 2,214.15 16854 0.00 8,818.59 16855 0.00 415.51 16857 0.00 2,503.40 16889 0.00 2,095.65 17148 2,214.15 0.00 0.00 2,214.15 FUND BALANCE Totals: REVENUE 208-208 208-208-411005 Home Rule Motel Tax 4/5/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/16/2012 CR 12 4/24/2012 4/24/2012 BT CR 12 12 175,000.00 37 Hotel/Motel Tax Super 8 # Cash Receipts Batch 50205-04-2012 88 Hotel/Motel Tax Holiday Inn # Cash Receipts Batch 50513-04-2012 88 Hotel/Motel Tax Mineral Springs Motel # Cash Receipts Batch 50513-04-2012 88 Hotel/Motel Tax Concorde Inn # Cash Receipts Batch 50513-04-2012 96 Hotel/Motel Tax Econo Lodge # Cash Receipts Batch 50016-04-2012 173 Hotel/Motel Tax 174 Hotel/Motel Tax Super 8 # Cash Receipts Batch 50124-04-2012 208-208-442500 208-208-411005 Totals: Federal Grants 208-208-442600 175,000.00 0.00 -133,550.07 2,214.15 18,261.45 -149,597.37 208-208-442500 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 208-208-442600 Totals: Late Payment Penalty 0.00 0.00 0.00 0.00 0.00 0.00 208-208-463500 208-208-463500 Totals: Interest Charges 0.00 0.00 -399.13 0.00 0.00 -399.13 208-208-463600 208-208-463600 Totals: Interest Earnings 0.00 0.00 0.00 0.00 0.00 0.00 208-208-490100 4/30/2012 CR 12 4/30/2012 CR 12 208-208-493600 Var: 25,402.63 Var: -399.13 285 Interest MARCH CM INTEREST Cash Receipts Batch 50118-04-2012 286 Interest April CM interest Cash Receipts Batch 50121-04-2012 208-208-490100 Totals: Training Reimbursements 208-208-493600 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 17791 0.00 143.94 # 17801 0.00 160.05 Var: -2,140.09 0.00 0.00 -1,836.10 0.00 303.99 -2,140.09 0.00 0.00 0.00 0.00 0.00 Page 166 Account Number Description 208-208-499201 Tourism Contributions 208-208-499800 Budget 208-208 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2,050.00 0.00 0.00 2,050.00 175,000.00 -133,735.30 2,214.15 18,565.44 -150,086.59 0.00 208-208-499201 Totals: Miscellaneous Receipts 208-208-499800 Totals: Beginning Balance Var: 2,050.00 Page 167 Account Number EXPENSE 208-208 208-208-511600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 175,000.00 -133,735.30 2,214.15 18,565.44 -150,086.59 Salary: All Personnel 0.00 208-208-511600 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 208-208-517000 208-208-517000 Totals: Medicare/city Share 1.45% 0.00 0.00 0.00 0.00 0.00 0.00 208-208-517001 208-208-517001 Totals: Imrf 0.00 0.00 0.00 0.00 0.00 0.00 208-208-517401 208-208-517401 Totals: Group Insurance 0.00 0.00 0.00 0.00 0.00 0.00 208-208-518000 208-208-518000 Totals: Workers Comp Insurance 0.00 0.00 0.00 0.00 0.00 0.00 208-208-518300 208-208-518300 Totals: Mileage 0.00 500.00 0.00 0.00 0.00 0.00 208-208-518700 14.43 0.00 4/26/2012 AP 12 184 11047 - Leigh Ann Matthews tourism mileage/matthews Ck# 106884 208-208-518700 Totals: Training And Education Var: 374.92 500.00 900.00 110.65 14.43 0.00 125.08 208-208-519000 208-208-519000 Totals: Office Supplies Var: 836.22 900.00 500.00 63.78 0.00 0.00 63.78 208-208-520200 208-208-520200 Totals: Postage Var: 500.00 500.00 500.00 0.00 0.00 0.00 0.00 208-208-520400 30.55 0.00 4/2/2012 GL 12 260 april 2012 postage 208-208-550300 208-208-520400 Totals: Telephone 208-208-551000 208-208-550300 Totals: Printing And Publications GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -113.89 500.00 0.00 583.34 30.55 0.00 613.89 0.00 7,250.00 0.00 0.00 0.00 0.00 Page 168 Account Number 208-208-551600 4/12/2012 AP Description 208-208-551000 Totals: Dues And Subscriptions 12 Var: 2,155.00 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 7,250.00 62,000.00 5,095.00 0.00 0.00 5,095.00 7,200.00 0.00 79 11420 - The Heartland Commerce and Ck# E.D.106737 Foundation 2012 byway gateway community sponsorship - tourism 208-208-551600 Totals: Meals Var: -2,850.00 208-208-554200 62,000.00 500.00 57,650.00 7,200.00 0.00 64,850.00 208-208-554200 Totals: Consulting Services Var: 340.00 208-208-560500 500.00 0.00 160.00 0.00 0.00 160.00 208-208-560600 208-208-560500 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 208-208-560600 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 208-208-561200 208-208-561200 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 208-208-569000 208-208-569000 Totals: Grants 0.00 20,000.00 0.00 0.00 0.00 0.00 208-208-573100 5,000.00 0.00 500.00 0.00 92.00 0.00 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 79 11369 - Illinois High School Association Ck# 106661 IHSA march madness city sponsorship 184 10485 - Pekin Main Street Ck# 106906 tourism sponsorship, grant request 184 11333 - Tazewell County Jaycee's Ck# 106942 community tourism grant/easter egg hunt 208-208-580201 208-208-573100 Totals: Land Improvements 208-208-583000 20,000.00 0.00 6,978.00 5,592.00 0.00 12,570.00 208-208-580201 Totals: Loan Agreements 0.00 0.00 0.00 0.00 0.00 0.00 208-208-583000 Totals: Developers Agreements 0.00 0.00 0.00 0.00 0.00 0.00 208-208-591200 208-208-591200 Totals: Public Relations 0.00 4,000.00 0.00 0.00 0.00 0.00 208-208-598100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 7,430.00 Page 169 Account Number 208-208-599000 Description 208-208-598100 Totals: Miscellaneous 208-208-599000 Totals: 208-208 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -17,341.31 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 4,000.00 0.00 21,341.31 0.00 0.00 21,341.31 0.00 0.00 0.00 0.00 0.00 96,150.00 91,982.08 12,836.98 0.00 104,819.06 Page 170 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 96,150.00 91,982.08 12,836.98 0.00 104,819.06 208 Totals: 78,850.00 0.00 48,637.15 48,637.15 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 171 Account Number Description 223 ASSETS 223-000-110201 Budget Equity In Pooled Cash 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 4/4/2012 PR CR 12 12 4/5/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/13/2012 CR 12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 60.50 0.00 110.00 0.00 85.00 0.00 0.75 0.00 0.00 25.00 30,200.25 0.00 110.00 0.00 250.00 0.00 135.00 0.00 50.75 0.00 49.00 0.00 90.00 0.00 50.00 0.00 11.50 0.00 188.00 0.00 135.00 0.00 32.00 0.00 0.00 64,132.88 Ending Balance 0.00 7 Fund balance entry for fund 223 # 16560 Cash Receipts Batch 04002-04-2012 12 Fund balance entry for fund 223 # 16573 Cash Receipts Batch 02503-04-2012 13 Fund balance entry for fund 223 # 16586 Cash Receipts Batch 02703-04-2012 14 Fund balance entry for fund 223 # 16568 Cash Receipts Batch 04003-04-2012 19 Computer Checks Batch 2012 04 00007 29 Fund balance entry for fund 223 # 16630 Cash Receipts Batch 25004-04-2012 38 Fund balance entry for fund 223 # 16656 Cash Receipts Batch 25005-04-2012 53 Fund balance entry for fund 223 # 16718 Cash Receipts Batch 50006-04-2012 56 Fund balance entry for fund 223 # 16722 Cash Receipts Batch 02709-04-2012 57 Fund balance entry for fund 223 # 16725 Cash Receipts Batch 23006-04-2012 60 Fund balance entry for fund 223 # 16745 Cash Receipts Batch 50010-04-2012 61 Fund balance entry for fund 223 # 16753 Cash Receipts Batch 25010-04-2012 62 Fund balance entry for fund 223 # 16759 Cash Receipts Batch 02710-04-2012 63 Fund balance entry for fund 223 # 16740 Cash Receipts Batch 23010-04-2012 69 Fund balance entry for fund 223 # 16760 Cash Receipts Batch 50011-04-2012 72 Fund balance entry for fund 223 # 16777 Cash Receipts Batch 25011-04-2012 78 Fund balance entry for fund 223 # 16786 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 93 Fund balance entry for fund 223 Cash Receipts Batch 23013-04-2012 94 Fund balance entry for fund 223 Cash Receipts Batch 25013-04-2012 Beginning Balance # 16858 10.00 0.00 # 16864 245.00 0.00 Page 172 Account Number Description 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 4/18/2012 PR CR 12 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/26/2012 AP 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 GL GL PR GL WO 12 12 12 12 12 Budget Debit This Period Credit This Period 1,100.45 0.00 170.00 0.00 283.73 0.00 0.00 85.00 28,943.56 0.00 25.00 0.00 62.00 0.00 50.00 0.00 145.25 0.00 145.00 0.00 60.00 0.00 50.00 0.00 100.00 0.00 422.00 0.00 25.00 0.00 0.00 21,604.72 17215 60.00 0.00 17261 25.00 0.00 17327 50.00 0.00 0.00 0.00 0.00 0.00 0.00 45.90 11.25 27,647.84 3,988.92 12,362.53 96 Fund balance entry for fund 223 # 16902 Cash Receipts Batch 50016-04-2012 110 Fund balance entry for fund 223 # 16930 Cash Receipts Batch 25017-04-2012 111 Fund balance entry for fund 223 # 16927 Cash Receipts Batch 50017-04-2012 123 Computer Checks Batch 2012 04 00008 129 Fund balance entry for fund 223 # 16969 Cash Receipts Batch 25018-04-2012 141 Fund balance entry for fund 223 # 16993 Cash Receipts Batch 25019-04-2012 142 Fund balance entry for fund 223 # 17006 Cash Receipts Batch 02719-04-2012 152 Fund balance entry for fund 223 # 17066 Cash Receipts Batch 02520-04-2012 154 Fund balance entry for fund 223 # 17046 Cash Receipts Batch 23020-04-2012 162 Fund balance entry for fund 223 # 17071 Cash Receipts Batch 25023-04-2012 171 Fund balance entry for fund 223 # 17139 Cash Receipts Batch 02524-04-2012 178 Fund balance entry for fund 223 # 17151 Cash Receipts Batch 50025-04-2012 180 Fund balance entry for fund 223 # 17156 Cash Receipts Batch 25025-04-2012 182 Fund balance entry for fund 223 # 17163 Cash Receipts Batch 02725-04-2012 183 Fund balance entry for fund 223 # 17172 Cash Receipts Batch 23025-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 194 Fund balance entry for fund 223 # Cash Receipts Batch 25026-04-2012 197 Fund balance entry for fund 223 # Cash Receipts Batch 25027-04-2012 211 Fund balance entry for fund 223 # Cash Receipts Batch 25030-04-2012 242 mckinnley sick benefit 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 269 monthly solid waste trans /admin costs 275 WO Dist Batch IC1 - 00008.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Ending Balance Page 173 Account Number 4/30/2012 4/30/2012 4/30/2012 WO PR GL Description 12 12 12 Budget Beginning Balance 283 WO Dist Batch WO3 - 00001.04.2012 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 290 corr receivable balance Debit This Period Credit This Period 0.00 0.00 1,071.00 15,671.83 2,482.75 0.00 Ending Balance 223-000-110201 Totals: Iptip 0.00 0.00 -10,959,800.94 5,566.93 207,092.43 -11,161,326.44 223-000-115000 223-000-115000 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 223-000-120500 223-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 223-000-120600 223-000-120600 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 223-000-130100 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 48.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 24.00 24.00 24.00 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/4/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 11 11 11 22 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Adjustments 00001.04.2012 AR Adjustments 00001.04.2012 AR Adjustments 00001.04.2012 AR Adjustments 00002.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 174 Account Number Description 4/4/2012 4/4/2012 4/4/2012 4/5/2012 4/9/2012 AR AR AR AR CR 12 12 12 12 12 22 22 22 43 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/10/2012 CR 12 60 4/11/2012 4/11/2012 AR CR 12 12 66 69 4/11/2012 CR 12 69 4/16/2012 CR 12 96 4/16/2012 CR 12 96 4/16/2012 CR 12 96 4/16/2012 CR 12 96 4/17/2012 4/17/2012 4/17/2012 AR AR AR 12 12 12 106 106 106 AR Adjustments 00002.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00003.04.2012 Special Refuse Pickup Dennis Stoller # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup James Slack # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Hollis Perry # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Ruth Dehner # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Mindy Gardner # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Bill Melton # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup John Dourneen # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Wilma Wyatt # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Lawrence Leitner # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Stella Yocum # Cash Receipts Batch 50006-04-2012 Special Refuse Pickup Robert Ehrich # Cash Receipts Batch 50010-04-2012 AR Invoices 00014.04.2012 Special Refuse Pickup Ed Moehle # Cash Receipts Batch 50011-04-2012 Special Refuse Pickup Phyllis Booe # Cash Receipts Batch 50011-04-2012 Special Refuse Pickup Salome Martin # Cash Receipts Batch 50016-04-2012 Special Refuse Pickup Faith Cornwell # Cash Receipts Batch 50016-04-2012 Special Refuse Pickup Catherine King # Cash Receipts Batch 50016-04-2012 Special Refuse Pickup Doris Gumbel # Cash Receipts Batch 50016-04-2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 16684 0.00 0.00 0.00 0.00 0.00 24.00 24.00 24.00 24.00 24.00 16685 0.00 24.00 16686 0.00 24.00 16688 0.00 24.00 16689 0.00 24.00 16690 0.00 24.00 16692 0.00 24.00 16696 0.00 24.00 16697 0.00 24.00 16704 0.00 24.00 16747 0.00 24.00 16767 48.00 0.00 0.00 24.00 16768 0.00 24.00 16897 0.00 48.00 16898 0.00 24.00 16900 0.00 24.00 16901 0.00 24.00 0.00 0.00 0.00 18.00 20.00 18.00 Ending Balance Page 175 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 18.00 20.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 18.00 15.00 18.00 18.00 20.00 18.00 18.00 20.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 18.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 18.00 20.00 Ending Balance Page 176 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 12.00 15.00 15.00 15.00 15.00 20.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 20.00 18.00 18.00 15.00 15.00 15.00 15.00 15.00 18.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 15.00 Ending Balance Page 177 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 15.00 18.00 18.00 18.00 18.00 18.00 20.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 20.00 15.00 18.00 18.00 20.00 18.00 18.00 15.00 15.00 18.00 18.00 18.00 15.00 15.00 20.00 18.00 20.00 18.00 18.00 18.00 18.00 18.00 15.00 Ending Balance Page 178 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/30/2012 AR AR AR AR AR AR AR AR GL Description 12 12 12 12 12 12 12 12 12 107 107 107 107 107 107 107 107 290 Budget Beginning Balance AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 corr receivable balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 18.00 18.00 18.00 18.00 15.00 15.00 15.00 15.00 1,071.00 Ending Balance 223-000-130100 Totals: Grant Receivable 0.00 0.00 3,399.00 624.00 3,999.00 24.00 223-000-130300 223-000-130300 Totals: Property Taxes Receivable 0.00 0.00 0.00 0.00 0.00 0.00 223-000-130500 223-000-130500 Totals: Other Taxes Receivable 0.00 0.00 0.00 0.00 0.00 0.00 223-000-130600 223-000-130600 Totals: Other Receivables 0.00 0.00 0.00 0.00 0.00 0.00 223-000-132000 223-000-132000 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 223-000-150500 223-000-150500 Totals: Building Improvements 0.00 0.00 0.00 0.00 0.00 0.00 223-000-150600 223-000-150600 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-000-151500 223-000-151500 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 223-000-152000 223-000-152000 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 223-000-155500 223-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 0.00 0.00 0.00 0.00 223-000-155600 223-000-155600 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 179 Account Number Description 223-000-156500 Accum Deprec - Mach & Equ Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 223-000-156500 Totals: Accum Deprec - Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 223-000-157000 223-000-157000 Totals: Prepaid Expense 0.00 0.00 0.00 0.00 0.00 0.00 223-000-180000 223-000-180000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -10,956,401.94 6,190.93 211,091.43 -11,161,302.44 223-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 180 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -10,956,401.94 6,190.93 211,091.43 -11,161,302.44 0.00 472.36 0.00 472.36 ASSETS Totals: LIABILITIES 223-000-211000 4/30/2012 PR 223-000-219000 Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-000-211000 Totals: Accounts Payable 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 64,132.88 64,132.88 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 21,604.72 21,604.72 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 20,854.68 -472.36 223-000-219000 Totals: Judgement Payable 0.00 0.00 0.00 85,737.60 106,592.28 -20,854.68 223-000-219001 223-000-219001 Totals: Deferred Revenues End-of- 0.00 0.00 0.00 0.00 0.00 0.00 223-000-219300 223-000-219300 Totals: Deferred Tax Revenue 0.00 0.00 0.00 0.00 0.00 0.00 223-000-219400 223-000-219400 Totals: Deferred Interest Earning 0.00 0.00 0.00 0.00 0.00 0.00 223-000-219500 223-000-219500 Totals: Due To Tif 1 0.00 0.00 0.00 0.00 0.00 0.00 223-000-220270 223-000-220270 Totals: Due To Accounts Payable I 0.00 0.00 0.00 0.00 0.00 0.00 223-000-220677 223-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 223-000-220688 223-000-220688 Totals: Due To Vehicle Maintenanc 0.00 0.00 0.00 0.00 0.00 0.00 223-000-220699 223-000-220699 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 181 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 223-000-235200 Imf Escrow 0.00 223-000-245000 223-000-235200 Totals: Bonds Payable-Herget 2004 0.00 0.00 0.00 0.00 0.00 0.00 223-000-251000 223-000-245000 Totals: Prorated Real Estate Taxe 0.00 0.00 0.00 0.00 0.00 0.00 223-000-251000 Totals: Reserve For Encumbrances 0.00 0.00 0.00 0.00 0.00 0.00 223-000-290300 223-000-290300 Totals: City Contributed Capital 0.00 0.00 0.00 0.00 0.00 0.00 223-000-291000 223-000-291000 Totals: State Contributed Capital 0.00 0.00 0.00 0.00 0.00 0.00 223-000-292000 223-000-292000 Totals: Federal Contributed Capit 0.00 0.00 0.00 0.00 0.00 0.00 223-000-293000 223-000-293000 Totals: Residual Equity Transfer 0.00 0.00 0.00 0.00 0.00 0.00 223-000-294000 223-000-294000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 85,737.60 107,064.64 -21,327.04 223-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Page 182 Account Number Description LIABILITIES Totals: FUND BALANCE 223-000-390100 223-000-390101 Fund Balance Beg Year Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 85,737.60 107,064.64 -21,327.04 0.00 223-000-390100 Totals: Prior Years Correction 0.00 0.00 9,160,443.73 0.00 0.00 9,160,443.73 223-000-390101 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 9,160,443.73 0.00 0.00 9,160,443.73 223-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 183 Account Number Description FUND BALANCE Totals: REVENUE 223-023 223-023-421000 Garbage Licenses 223-023-440100 223-023-421000 Totals: Transfer From General Fund 223-023-442600 223-023-440100 Totals: State Grants 223-023-459400 223-023-442600 Totals: Special Refuse Pickups 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/5/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 22 22 22 22 43 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 9,160,443.73 0.00 0.00 9,160,443.73 0.00 0.00 -1,790.00 0.00 0.00 -1,790.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 3,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 24.00 0.00 0.00 0.00 0.00 0.00 0.00 Var: -1,790.00 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Invoices 00006.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00002.04.2012 AR Adjustments 00003.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Page 184 Account Number 4/11/2012 AR 223-023-490100 4/17/2012 CR 223-023-491000 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 223-023-491500 Description 12 106 106 106 106 106 106 106 107 107 107 107 107 107 107 107 107 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/4/2012 CR 12 3,000.00 0.00 -1,464.00 Var: -3,925.33 0.00 0.00 -3,641.60 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 223-023-491000 Totals: Sale Of Municipal Propert 4/3/2012 Var: 1,080.00 111 Garbage Interest CEFCU/CD INTEREST # 16927 Cash Receipts Batch 50017-04-2012 223-023-490100 Totals: Rental Of Municipal Prope 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 Beginning Balance 66 AR Invoices 00014.04.2012 223-023-459400 Totals: Interest Earnings 12 Budget Var: -31,536.00 7 Sale Of Large Toter Helen Glenn Cash Receipts Batch 04002-04-2012 12 Sale Of Large Toter Agatha Upchurch Cash Receipts Batch 02503-04-2012 12 Sale Of Large Toter Josh Hopping Cash Receipts Batch 02503-04-2012 12 Sale Of Large Toter Ondel Bulifant Cash Receipts Batch 02503-04-2012 13 Sale Of Large Toter Cynthia Sidell Cash Receipts Batch 02703-04-2012 13 Sale Of Large Toter Sophia Thacker Cash Receipts Batch 02703-04-2012 29 Sale Of Large Toter Matt Kirk GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 -31,836.00 Debit This Period Credit This Period 0.00 48.00 120.00 576.00 0.00 283.73 0.00 283.73 20.00 20.00 20.00 20.00 15.00 20.00 20.00 20.00 15.00 15.00 20.00 20.00 20.00 20.00 20.00 15.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 300.00 0.00 # 16558 0.00 60.00 # 16571 0.00 60.00 # 16572 0.00 25.00 # 16573 0.00 25.00 # 16585 0.00 60.00 # 16586 0.00 25.00 # 16630 0.00 25.00 Ending Balance -1,920.00 -3,925.33 -31,536.00 Page 185 Account Number Description 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 Budget Debit This Period Credit This Period 16639 0.00 25.00 16654 0.00 25.00 16656 0.00 60.00 16719 0.00 25.00 16720 0.00 25.00 16721 0.00 60.00 16722 0.00 25.00 16726 0.00 50.00 16745 0.00 25.00 16751 0.00 40.00 16752 0.00 25.00 16753 0.00 25.00 # 16758 0.00 25.00 # 16759 0.00 25.00 # 16763 0.00 50.00 # 16764 0.00 25.00 # 16777 0.00 60.00 # 16837 0.00 25.00 # 16838 0.00 25.00 # 16839 0.00 25.00 # 16840 0.00 60.00 Cash Receipts Batch 25004-04-2012 38 Sale Of Large Toter Donna Zimmerman# Cash Receipts Batch 25005-04-2012 38 Sale Of Large Toter Gerald Schadt # Cash Receipts Batch 25005-04-2012 38 Sale Of Large Toter Tim Kipfer # Cash Receipts Batch 25005-04-2012 56 Sale Of Large Toter Wallace Gent # Cash Receipts Batch 02709-04-2012 56 Sale Of Large Toter Richard Cantrell # Cash Receipts Batch 02709-04-2012 56 Sale Of Large Toter Abby Vaughan # Cash Receipts Batch 02709-04-2012 56 Sale Of Large Toter Charissa Hilst # Cash Receipts Batch 02709-04-2012 57 Sale Of Large Toter Kenneth Ihnen # Cash Receipts Batch 23006-04-2012 60 Sale Of Large Toter Brinda Cheek # Cash Receipts Batch 50010-04-2012 61 Sale Small Toter Linda Timian # Cash Receipts Batch 25010-04-2012 61 Sale Of Large Toter Jennie Chaney # Cash Receipts Batch 25010-04-2012 61 Sale Of Large Toter James Murray # 4/10/2012 CR 12 62 4/10/2012 CR 12 62 4/11/2012 CR 12 72 4/11/2012 CR 12 72 4/11/2012 CR 12 72 4/13/2012 CR 12 94 4/13/2012 CR 12 94 4/13/2012 CR 12 94 4/13/2012 CR 12 94 Cash Receipts Batch 25010-04-2012 Sale Of Large Toter Brett Bode Cash Receipts Batch 02710-04-2012 Sale Of Large Toter Brandi Crosiar Cash Receipts Batch 02710-04-2012 Sale Of Large Toter Judy Nizzia Cash Receipts Batch 25011-04-2012 Sale Of Large Toter Robert Richards Cash Receipts Batch 25011-04-2012 Sale Of Large Toter John Crawford Cash Receipts Batch 25011-04-2012 Sale Of Large Toter Dave Cooper Cash Receipts Batch 25013-04-2012 Sale Of Large Toter Jason Hindahl Cash Receipts Batch 25013-04-2012 Sale Of Large Toter Frank Dunker Cash Receipts Batch 25013-04-2012 Sale Of Large Toter Ronald Wilson GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Ending Balance Page 186 Account Number Description 4/13/2012 CR 12 4/13/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Roger Broughton # 16842 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Harry Ruark # 16864 Cash Receipts Batch 25013-04-2012 110 Sale Of Large Toter Andy Sego # 16921 Cash Receipts Batch 25017-04-2012 110 Sale Small Toter Cynthia Dorr-Harthan# 16923 Cash Receipts Batch 25017-04-2012 110 Sale Of Large Toter Shelie Dennis # 16933 Cash Receipts Batch 25017-04-2012 110 Sale Of Large Toter Ray Mayer # 16934 Cash Receipts Batch 25017-04-2012 129 Sale Of Large Toter Savannah Wolf # 16968 Cash Receipts Batch 25018-04-2012 129 Sale Of Large Toter David Lange # 16969 Cash Receipts Batch 25018-04-2012 141 Sale Of Large Toter Brianna Keliinoi # 16993 Cash Receipts Batch 25019-04-2012 142 Sale Of Large Toter Candance Lohnes # 17007 Cash Receipts Batch 02719-04-2012 152 Sale Of Large Toter Tamara Powell # 17065 Cash Receipts Batch 02520-04-2012 152 Sale Of Large Toter Scott Hoyle # 17066 Cash Receipts Batch 02520-04-2012 154 Sale Of Large Toter Kelly Nichols 113 #W Franklin, 17043 Tremont 61568 Cash Receipts Batch 23020-04-2012 154 Sale Of Large Toter Lori Strode # 17046 Cash Receipts Batch 23020-04-2012 162 Sale Of Large Toter Cody Deweese CJ #(Charles) 17069 Alwood Cash Receipts Batch 25023-04-2012 162 Sale Of Large Toter Peggy Hurt # 17070 Cash Receipts Batch 25023-04-2012 162 Sale Of Large Toter Tyler Berchtold # 17071 Cash Receipts Batch 25023-04-2012 171 Sale Of Large Toter Steve Mefford # 17139 Cash Receipts Batch 02524-04-2012 178 Sale Of Large Toter Brinda Cheek # 17151 Cash Receipts Batch 50025-04-2012 180 Sale Of Large Toter Monroe Sheckler # 17149 Cash Receipts Batch 25025-04-2012 180 Sale Of Large Toter David Helm # 17150 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 60.00 0.00 50.00 0.00 25.00 0.00 40.00 0.00 60.00 0.00 25.00 0.00 25.00 0.00 60.00 0.00 25.00 0.00 60.00 0.00 25.00 0.00 25.00 0.00 120.00 0.00 25.00 0.00 60.00 0.00 60.00 0.00 25.00 0.00 60.00 0.00 50.00 0.00 50.00 0.00 25.00 Ending Balance Page 187 Account Number Description 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 223-023-491500 Totals: Bond Proceeds - Principal 223-023-498900 223-023-492000 Totals: Non Sufficient Funds Fee 223-023-499800 223-023-498900 Totals: Miscellaneous Receipts AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 Beginning Balance Cash Receipts Batch 25025-04-2012 180 Sale Of Large Toter Rachel Morgan # 17156 Cash Receipts Batch 25025-04-2012 182 Sale Of Large Toter Village of South Pekin # 17167 Cash Receipts Batch 02725-04-2012 183 Sale Of Large Toter Tom Snider # 17172 Cash Receipts Batch 23025-04-2012 194 Sale Of Large Toter Kim Meyers # 17215 Cash Receipts Batch 25026-04-2012 197 Sale Of Large Toter Jeffrey Heilman # 17261 Cash Receipts Batch 25027-04-2012 211 Sale Large Toter Teresa Harms # 17323 Cash Receipts Batch 25030-04-2012 211 Sale Of Large Toter Matthew Vanderwulp # 17327 Cash Receipts Batch 25030-04-2012 223-023-492000 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 Budget 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 Var: -33,410.50 Var: -25.00 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 0.00 25.00 0.00 420.00 0.00 25.00 0.00 60.00 0.00 25.00 0.00 25.00 0.00 25.00 Ending Balance 0.00 0.00 -30,840.50 0.00 2,570.00 -33,410.50 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -25.00 0.00 0.00 -25.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 18.00 15.00 18.00 18.00 18.00 18.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 188 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 106 107 107 107 107 107 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00011.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 18.00 15.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 12.00 15.00 15.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 189 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 15.00 18.00 18.00 15.00 15.00 15.00 15.00 18.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 15.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 18.00 18.00 18.00 18.00 15.00 15.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 190 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 223-023-499802 Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 107 Budget Beginning Balance AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 AR Adjustments 00012.04.2012 223-023-499800 Totals: Cash Over/short 223-023-499802 Totals: 223-023 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 33,868.00 Debit This Period Credit This Period 18.00 18.00 18.00 15.00 15.00 18.00 18.00 18.00 18.00 18.00 18.00 15.00 18.00 18.00 18.00 18.00 15.00 15.00 15.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance 0.00 0.00 31,840.00 2,028.00 0.00 33,868.00 0.00 0.00 0.00 0.00 0.00 3,000.00 -37,757.10 2,448.00 3,429.73 -38,738.83 Page 191 Account Number Description 223-025 223-025-440100 Transfer From General Fund Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 223-025-440100 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 223-025-442600 223-025-442600 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 223-025-499800 0.00 0.50 0.00 0.75 0.00 0.75 0.00 1.50 0.00 22.00 0.00 2.00 0.00 0.25 0.00 2.00 4/3/2012 CR 12 4/3/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/12/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/25/2012 CR 12 7 Yardwaste Stickers Unknown Walk-In # 16560 Cash Receipts Batch 04002-04-2012 14 Yardwaste Stickers Charlene Oberle # 16568 Cash Receipts Batch 04003-04-2012 57 Yardwaste Stickers Kennth Ihnen # 16725 Cash Receipts Batch 23006-04-2012 63 Yardwaste Stickers Norma Mefford # 16744 Cash Receipts Batch 23010-04-2012 78 Yardwaste Stickers STICKERS SOLD #AT 16785 ST. DEPT Cash Receipts Batch 50512-04-2012 142 Yardwaste Stickers yardwaste stickers # 17006 Cash Receipts Batch 02719-04-2012 154 Yardwaste Stickers Lori Strode # 17046 Cash Receipts Batch 23020-04-2012 182 Yardwaste Stickers Yardwaste Stickers# 17163 Cash Receipts Batch 02725-04-2012 223-025-499800 Totals: 223-025 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -137.50 0.00 -107.75 0.00 29.75 -137.50 0.00 -107.75 0.00 29.75 -137.50 Page 192 Account Number Description 223-026 223-026-440100 Transfer From General Fund 223-026-442600 223-026-440100 Totals: State Grants 223-026-442700 223-026-442600 Totals: County Grants 4/17/2012 CR 223-026-459000 4/16/2012 CR 223-026-499800 12 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/13/2012 CR 12 Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 67,000.00 0.00 0.00 0.00 0.00 # 0.00 20.00 0.00 20.00 0.00 980.45 0.00 980.45 0.00 10.00 0.00 10.00 0.00 140.00 0.00 10.00 0.00 10.00 16930 Var: -20.00 67,000.00 0.00 -67,000.00 96 Recycling Income MIDLAND - MARCH # PAYMENT 16902 Cash Receipts Batch 50016-04-2012 223-026-459000 Totals: Miscellaneous Receipts 4/9/2012 Beginning Balance 0.00 110 County Grant Dennis Green Cash Receipts Batch 25017-04-2012 223-026-442700 Totals: Recycling Revenue 12 Budget Var: -3,995.60 0.00 0.00 -3,015.15 53 Recycling Misc Receipts BARRY WEGER/RECYCLE # 16718 BIN Cash Receipts Batch 50006-04-2012 63 Recycling Misc Receipts Debra A Rogers # 16740 Cash Receipts Batch 23010-04-2012 69 Recycling Misc Receipts JEFFERSON #SCHOOL/14 16760 BINS Cash Receipts Batch 50011-04-2012 78 Recycling Misc Receipts BIN SOLD AT # ST. 16786 DEPT Cash Receipts Batch 50512-04-2012 93 Recycling Misc Receipts Sue Hurd # 16858 Cash Receipts Batch 23013-04-2012 223-026-499800 Totals: 223-026 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -13,574.50 -67,020.00 -3,995.60 0.00 -13,394.50 0.00 180.00 -13,574.50 67,000.00 -83,409.65 0.00 1,180.45 -84,590.10 Page 193 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 70,000.00 -121,274.50 2,448.00 4,639.93 -123,466.43 EXPENSE 223-023 223-023-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 223-023-515000 4/3/2012 4/18/2012 4/30/2012 PR PR PR 223-023-515500 4/3/2012 4/18/2012 4/30/2012 PR PR PR 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-023-511600 Totals: Overtime 12 12 12 Var: -31,906.87 234,624.00 0.00 235,719.49 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 223-023-515000 Totals: Vacation Pay 12 12 12 234,624.00 19 Computer Checks Batch 2012 04 00007 Var: -14,011.16 0.00 0.00 13,769.01 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 9,685.06 0.00 10,076.35 10,044.65 1,005.32 0.00 0.00 0.00 30,811.38 0.00 150.30 58.45 33.40 0.00 0.00 0.00 242.15 0.00 399.00 503.44 211.47 0.00 0.00 0.00 266,530.87 14,011.16 223-023-515500 Totals: Holiday Pay Var: -12,142.66 0.00 0.00 11,028.75 1,113.91 0.00 12,142.66 223-023-515600 223-023-515600 Totals: Sick Pay Var: -9,482.84 0.00 0.00 9,482.84 0.00 0.00 9,482.84 223-023-515800 89.04 294.36 217.47 0.00 0.00 0.00 600.87 0.00 626.65 664.46 638.07 61.12 0.00 0.00 0.00 0.00 1,990.30 0.00 146.56 0.00 4/3/2012 4/18/2012 4/30/2012 PR PR PR 223-023-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 223-023-517001 4/3/2012 PR 12 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 223-023-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 0.00 15,546.68 6,408.09 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-023-517000 Totals: Medicare/city Share 1.45% 12 Var: -7,008.96 Var: -3,596.00 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 15,546.68 3,650.05 17,152.38 7,008.96 19,142.68 Page 194 Account Number 4/18/2012 4/30/2012 4/30/2012 PR PR PR 223-023-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 223-023-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 12 19 123 261 288 19 123 261 288 Var: -826.81 3,650.05 29,594.88 4,011.38 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-023-517401 Totals: Group Insurance 12 12 12 12 Beginning Balance 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-023-517001 Totals: Imrf 12 12 12 12 Budget Var: -6,441.55 29,594.88 57,761.15 31,346.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 155.40 149.21 14.31 0.00 0.00 0.00 465.48 0.00 1,523.51 1,509.69 1,505.92 151.31 0.00 0.00 0.00 0.00 4,690.43 0.00 3,106.08 3,099.22 3,099.22 282.46 0.00 0.00 0.00 0.00 Ending Balance 4,476.86 36,036.43 223-023-518000 Totals: Liability Insurance Packa Var: -10,538.97 57,761.15 2,772.50 58,713.14 9,586.98 0.00 68,300.12 223-023-518100 223-023-518100 Totals: Unemployment Insurance Var: -4,474.08 2,772.50 0.00 7,246.58 0.00 0.00 7,246.58 223-023-518200 223-023-518200 Totals: Workers Comp Insurance 0.00 15,485.18 0.00 0.00 0.00 0.00 223-023-518300 223-023-518300 Totals: Mileage 15,485.18 0.00 15,485.18 0.00 0.00 15,485.18 223-023-518700 223-023-518700 Totals: Training And Education 0.00 250.00 0.00 0.00 0.00 0.00 223-023-519000 223-023-519000 Totals: Transfer To General Fund 250.00 0.00 0.00 0.00 0.00 0.00 223-023-520100 3,988.92 0.00 4/30/2012 GL 223-023-520200 12 Var: 250.00 269 monthly solid waste trans /admin costs 223-023-520100 Totals: Office Supplies Var: -47,867.04 0.00 250.00 43,878.12 3,988.92 0.00 47,867.04 223-023-520200 Totals: Var: 250.00 250.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 195 Account Number Description 223-023-520400 4/2/2012 GL Budget Postage 12 223-023-520400 Totals: Photographic Supplies 223-023-522400 223-023-522000 Totals: General Supplies AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 223-023-522400 Totals: Lease/rental Of Equipment 223-023-529000 223-023-524000 Totals: Equipment 223-023-534000 223-023-529000 Totals: Automotive Expense 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 Var: -42.41 Var: -163.46 Var: -34,114.83 79 10109 - Centre State International Trucks, Ck#Inc. 106605 repairs on SW4 79 11170 - CIT Group, Inc. Ck# 106613 repair sw6 truck 184 10410 - McNeilus Truck & Manufacturing Ck# 106885 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 11.25 0.00 Ending Balance 0.00 0.00 31.16 11.25 0.00 42.41 0.00 1,000.00 0.00 0.00 0.00 0.00 21.58 0.00 9.99 0.00 6.79 0.00 32.34 0.00 9.76 0.00 21.58 0.00 71.88 0.00 3.49 0.00 21.58 0.00 449.63 0.00 79 10414 - Menard's Ck# 106688 black pipe for gb containers 79 10414 - Menard's Ck# 106688 shovel for SW3 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 stop leak for sw6 184 10414 - Menard's Ck# 106889 blades, pipe to repair totes 184 10414 - Menard's Ck# 106889 cement for replacing mailbox hit by garbage truck 184 10414 - Menard's Ck# 106889 pipe for totes 184 10414 - Menard's Ck# 106889 replace damaged mailbox - solid waste dept 276 10206 - Fourteenth Street Hardware Ck# 107111 cleaner for cleaning totes 276 10414 - Menard's Ck# 107148 ppipe for gb container repair 276 10534 - Rainbo Oil Co Ck# 107191 tractor hydrolic - solid waste 223-023-524000 Debit This Period 0.00 260 april 2012 postage 223-023-522000 4/12/2012 Beginning Balance 1,000.00 0.00 514.84 648.62 0.00 1,163.46 0.00 7,000.00 0.00 0.00 0.00 0.00 7,000.00 78,000.00 41,114.83 0.00 0.00 41,114.83 7,387.98 0.00 2,498.61 0.00 195.00 0.00 Page 196 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 WO 12 223-023-534000 Totals: Equipment Repairs 223-023-538000 223-023-534400 Totals: Maintenance Agreements 223-023-550100 223-023-538000 Totals: Utilities AP 12 4/26/2012 AP 12 4/26/2012 AP 12 223-023-550300 4/12/2012 AP Var: -84,690.07 Var: -36.00 79 10685 - Verizon Wireless cell phone for hohimer Var: -2,333.46 223-023-550300 Totals: Printing And Publications Var: 605.57 223-023-551600 223-023-551000 Totals: Dues And Subscriptions 223-023-554200 223-023-551600 Totals: Mealslodging 223-023-554300 223-023-554200 Totals: Uniforms And Tools GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 7.98 0.00 32.00 0.00 431.94 0.00 32.00 0.00 13,773.76 0.00 Ending Balance 138,330.80 24,359.27 0.00 162,690.07 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2,500.00 36.00 0.00 0.00 36.00 198.09 0.00 108.42 0.00 28.66 0.00 335.17 0.00 40.21 0.00 2,500.00 1,200.00 4,498.29 Ck# 106746 223-023-551000 Debit This Period 78,000.00 0.00 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - solid waste dept 184 10021 - Amerencilco Ck# 106797 elec, gas and lighting at 1208 koch - solid waste dept 184 10291 - IL American Water Ck# 106863 service at 1208 koch st - solid waste dept 223-023-550100 Totals: Telephone 12 Beginning Balance repair of sw4 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 fluid -- solid waste 184 10495 - Pence's Ag Repair Inc Ck# 106910 inspection on SW6 276 10109 - Centre State International Trucks, Ck#Inc. 107086 repair of sw5 truck 276 10495 - Pence's Ag Repair Inc Ck# 107181 inspection on sw9 283 WO Dist Batch WO3 - 00001.04.2012 223-023-534400 4/12/2012 Budget 4,833.46 1,200.00 450.00 554.22 40.21 0.00 594.43 Var: -436.87 450.00 100.00 886.87 0.00 0.00 886.87 Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 Page 197 Account Number Description 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 223-023-555000 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 223-023-556100 4/30/2012 WO Var: -849.83 1,500.00 1,000.00 1,809.11 79 10162 - E & S Communications Ck# 106626 final 1/2 payment on radios - solid waste dept 79 10162 - E & S Communications Ck# 106626 annual repcater rental - solid waste dept 79 10162 - E & S Communications Ck# 106626 installation of 9 new radios - solid waste dept 223-023-555000 Totals: Gasoline/diesel Fuel 12 Beginning Balance 79 10882 - Sentry Safety Supply, Inc. Ck# 106725 gloves for garbage drivers 184 10490 - Pekin Shoe Repair Ck# 106908 safety boots for hohimer and whitman - solid waste dept 184 10882 - Sentry Safety Supply, Inc. Ck# 106929 safety sun glasses 223-023-554300 Totals: Radio Expense 4/12/2012 Budget Var: -26,972.63 1,000.00 85,000.00 766.40 275 WO Dist Batch IC1 - 00008.04.2012 223-023-556100 Totals: License And Inspection Fe Var: -36,779.01 223-023-557200 223-023-559000 223-023-557200 Totals: Medical Expense/supplies 223-023-559900 Debit This Period Credit This Period 152.16 0.00 340.80 0.00 47.76 0.00 540.72 0.00 19,522.50 0.00 750.00 0.00 6,933.73 0.00 27,206.23 0.00 9,682.91 0.00 Ending Balance 2,349.83 27,972.63 85,000.00 200.00 112,096.10 9,682.91 0.00 121,779.01 Var: 200.00 200.00 100.00 0.00 0.00 0.00 0.00 223-023-559000 Totals: Receivable Charge Off Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 223-023-559900 Totals: Auditing Fees Var: 3,559.00 0.00 0.00 -3,559.00 0.00 0.00 -3,559.00 223-023-560100 223-023-560100 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 223-023-561200 223-023-561200 Totals: Garbage Removal Contract 0.00 0.00 0.00 0.00 0.00 0.00 223-023-566400 223-023-566400 Totals: Landfill Expense 0.00 366,196.00 0.00 0.00 0.00 0.00 223-023-566500 225.46 0.00 4/12/2012 AP 12 79 10635 - Tazewell Cnty Landfill x-waste landfill fee GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 106733 Page 198 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget 79 10635 - Tazewell Cnty Landfill 3/16-3/30 landfill fees 530.18 tons 79 10721 - XWaste Inc empty 30 yrd landfill fee 276 10635 - Tazewell Cnty Landfill landfill fee 4-16/4-30-12 499.04 tons 276 10635 - Tazewell Cnty Landfill x-waste landfill fee 223-023-569000 223-023-566500 Totals: Other Contractual Service 223-023-587000 Debit This Period Credit This Period Ck# 106733 17,761.13 0.00 Ck# 106754 135.00 0.00 Ck# 107210 16,717.98 0.00 Ck# 107210 233.50 0.00 Ending Balance 366,196.00 0.00 379,264.03 35,073.07 0.00 414,337.10 223-023-569000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-023-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 223-023-587001 223-023-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 223-023-587100 223-023-587100 Totals: Vehicles 0.00 122,000.00 0.00 0.00 0.00 0.00 223-023-587500 223-023-587500 Totals: Interest Paid Var: 122,000.00 122,000.00 5,644.00 0.00 0.00 0.00 0.00 223-023-590400 223-023-590400 Totals: Bank Charges Var: 981.50 5,644.00 0.00 4,662.50 0.00 0.00 4,662.50 223-023-590600 223-023-590600 Totals: Bond Principal Retired 0.00 61,913.00 0.00 0.00 0.00 0.00 223-023-591000 223-023-591000 Totals: Miscellaneous Var: -113,978.54 61,913.00 0.00 175,891.54 0.00 0.00 175,891.54 223-023-599000 223-023-599000 Totals: Computer Software Var: -89.99 0.00 0.00 89.99 0.00 0.00 89.99 223-023-599801 223-023-599801 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 223-023-599900 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -48,141.10 Beginning Balance Page 199 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 223-023-599900 Totals: Capital Set Aside 0.00 0.00 0.00 0.00 0.00 0.00 223-023-599998 223-023-599998 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 223-023-599999 223-023-599999 Totals: 0.00 0.00 0.00 0.00 0.00 1,093,737.44 1,311,228.64 151,387.87 0.00 1,462,616.51 223-023 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 200 Account Number Description 223-025 223-025-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 223-025-515000 4/3/2012 4/30/2012 PR PR 223-025-515500 4/3/2012 PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 12 Var: -10,595.11 92,601.60 0.00 90,806.72 19 Computer Checks Batch 2012 04 00007 261 Computer Checks Batch 2012 05 00009 223-025-515000 Totals: Vacation Pay Debit This Period Credit This Period 3,958.89 4,036.80 3,989.28 405.02 0.00 0.00 0.00 0.00 12,389.99 0.00 16.70 33.40 0.00 0.00 50.10 0.00 77.91 0.00 Ending Balance 92,601.60 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-025-511600 Totals: Overtime 12 12 Beginning Balance Var: -4,077.93 0.00 0.00 4,027.83 19 Computer Checks Batch 2012 04 00007 103,196.71 4,077.93 223-025-515500 Totals: Holiday Pay Var: -7,787.22 0.00 0.00 7,709.31 77.91 0.00 7,787.22 223-025-515600 223-025-515600 Totals: Sick Pay Var: -3,858.72 0.00 0.00 3,858.72 0.00 0.00 3,858.72 223-025-515800 47.52 0.00 47.52 0.00 244.45 243.38 245.45 24.45 0.00 0.00 0.00 0.00 757.73 0.00 57.17 56.92 57.41 5.72 0.00 0.00 0.00 0.00 177.22 0.00 610.06 607.54 0.00 0.00 4/30/2012 PR 223-025-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 223-025-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 223-025-517401 4/3/2012 4/18/2012 PR PR 12 261 Computer Checks Batch 2012 05 00009 223-025-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 2,495.76 Var: -1,536.79 5,741.30 1,342.72 6,520.36 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-025-517001 Totals: Imrf 12 12 0.00 5,741.30 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-025-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -2,543.28 Var: -359.36 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,342.72 11,112.19 1,524.86 2,543.28 7,278.09 1,702.08 Page 201 Account Number 4/30/2012 4/30/2012 PR PR 223-025-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-025-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: -3,238.84 11,112.19 31,776.58 12,459.91 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 612.57 60.95 0.00 0.00 1,891.12 0.00 1,627.67 1,634.53 1,634.53 156.89 0.00 0.00 0.00 0.00 Ending Balance 14,351.03 223-025-518000 Totals: Liability Insurance Packa Var: -5,409.82 31,776.58 2,404.35 32,132.78 5,053.62 0.00 37,186.40 223-025-518100 223-025-518100 Totals: Unemployment Insurance Var: -3,378.30 2,404.35 0.00 5,782.65 0.00 0.00 5,782.65 223-025-518200 223-025-518200 Totals: Workers Comp Insurance 0.00 6,111.71 0.00 0.00 0.00 0.00 223-025-518300 223-025-518300 Totals: Mileage 6,111.71 0.00 6,111.71 0.00 0.00 6,111.71 223-025-518700 223-025-518700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 223-025-519000 223-025-519000 Totals: Office Supplies 0.00 0.00 0.00 0.00 0.00 0.00 223-025-520200 223-025-520200 Totals: Postage 0.00 0.00 0.00 0.00 0.00 0.00 223-025-520400 223-025-520400 Totals: Photographic Supplies 0.00 0.00 0.00 0.00 0.00 0.00 223-025-522000 223-025-522000 Totals: General Supplies 0.00 250.00 0.00 0.00 0.00 0.00 223-025-522400 223-025-522400 Totals: Lease/rental Of Equipment 250.00 0.00 1.99 0.00 0.00 1.99 223-025-524000 0.00 0.00 0.00 0.00 0.00 223-025-524000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 248.01 Page 202 Account Number Description 223-025-529000 Equipment 223-025-534000 Budget AP 12 4/26/2012 AP 12 4/30/2012 WO 12 0.00 20,000.00 223-025-534000 Totals: Equipment Repairs Var: -3,220.04 223-025-534400 Totals: Maintenance Agreements Var: 250.00 223-025-538000 223-025-550300 223-025-538000 Totals: Telephone 223-025-551000 223-025-550300 Totals: Printing And Publications 223-025-551600 223-025-551000 Totals: Dues And Subscriptions 223-025-554200 223-025-551600 Totals: Mealslodging 223-025-554300 223-025-554200 Totals: Uniforms And Tools 223-025-555000 223-025-554300 Totals: Radio Expense 223-025-556100 223-025-555000 Totals: Gasoline/diesel Fuel WO 223-025-557200 12 Credit This Period Ending Balance 0.00 0.00 0.00 0.00 13.58 0.00 15.99 0.00 1,341.33 0.00 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 stop leak for sw6 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 trans fluid 283 WO Dist Batch WO3 - 00001.04.2012 223-025-534400 4/30/2012 Debit This Period 0.00 223-025-529000 Totals: Automotive Expense 4/26/2012 Beginning Balance 20,000.00 250.00 21,849.14 1,370.90 0.00 23,220.04 250.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 350.00 0.00 0.00 0.00 0.00 350.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 660.00 0.00 0.00 0.00 0.00 Var: 621.00 660.00 250.00 39.00 0.00 0.00 39.00 Var: -66.90 250.00 9,000.00 316.90 0.00 0.00 316.90 1,146.23 0.00 1,146.23 0.00 Var: 350.00 275 WO Dist Batch IC1 - 00008.04.2012 223-025-556100 Totals: License And Inspection Fe GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 3,439.82 9,000.00 100.00 4,413.95 5,560.18 Page 203 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 223-025-557200 Totals: Medical Expense/supplies Var: 100.00 100.00 100.00 0.00 0.00 0.00 0.00 223-025-559000 223-025-559000 Totals: Consulting Fees Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 223-025-560500 223-025-560500 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 223-025-561200 223-025-561200 Totals: Compost Site Expense 0.00 40,000.00 36,222.37 0.00 0.00 36,222.37 223-025-566501 Ck# 106679 2,780.25 0.00 Ck# 106679 2,706.00 0.00 Ck# 106679 2,590.50 0.00 Ck# 106939 15,716.99 0.00 Ck# 106939 102.18 0.00 Ck# 106964 376.05 0.00 Ck# 106964 135.00 0.00 Ck# 106880 1,740.75 0.00 Ck# 106880 1,047.75 0.00 Ck# 107144 2,244.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Var: -36,222.37 79 11829 - LHF Compost, Inc. 4/2-4/6 2012 yardwaste fee's 79 11829 - LHF Compost, Inc. 3/19-3/23 yardwaste fee's 79 11829 - LHF Compost, Inc. 03/26-03/30 yw fees 184 10635 - Tazewell Cnty Landfill landfill fees 4/2-4/13 184 10635 - Tazewell Cnty Landfill xwaste dump on 4/3/2012 184 10721 - XWaste Inc x-waste fee 184 10721 - XWaste Inc x-waste fee 184 11829 - LHF Compost, Inc. yw fee for 4/9-4/13 184 11829 - LHF Compost, Inc. yw fee for 4/16-4/19 276 11829 - LHF Compost, Inc. yw fee 04/23-04/27/12 223-025-569000 223-025-566501 Totals: Other Contractual Service 223-025-587000 223-025-587001 40,000.00 0.00 97,890.62 29,439.47 0.00 127,330.09 223-025-569000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-025-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -87,330.09 Page 204 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 223-025-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 223-025-587100 223-025-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 223-025-587500 223-025-587500 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 223-025-599000 223-025-599000 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 223-025-599900 223-025-599900 Totals: 0.00 0.00 0.00 0.00 0.00 222,050.45 334,164.58 52,401.81 0.00 386,566.39 223-025 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 205 Account Number Description 223-026 223-026-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 Beginning Balance Debit This Period Credit This Period 5,237.44 4,046.88 3,744.24 500.68 0.00 0.00 0.00 0.00 Ending Balance 119,724.80 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-511600 Totals: Overtime Var: 16,081.85 119,724.80 0.00 90,113.71 13,529.24 0.00 103,642.95 223-026-515000 223-026-515000 Totals: Vacation Pay Var: -4,624.08 0.00 0.00 4,624.08 0.00 0.00 4,624.08 223-026-515500 223-026-515500 Totals: Holiday Pay Var: -6,440.48 0.00 0.00 6,440.48 0.00 0.00 6,440.48 223-026-515600 223-026-515600 Totals: Sick Pay Var: -4,237.76 0.00 0.00 4,237.76 0.00 0.00 4,237.76 223-026-515800 340.16 47.52 63.78 0.00 0.00 0.00 451.46 0.00 339.83 244.92 37.20 232.06 34.44 0.00 0.00 0.00 0.00 0.00 888.45 0.00 79.46 57.28 8.70 54.26 8.06 0.00 0.00 0.00 0.00 0.00 207.76 0.00 583.46 0.00 4/3/2012 4/30/2012 4/30/2012 PR PR PR 223-026-517000 4/3/2012 4/18/2012 4/2/2012 4/30/2012 4/30/2012 PR PR GL PR PR 223-026-517001 4/3/2012 4/18/2012 4/2/2012 4/30/2012 4/30/2012 PR PR GL PR PR 223-026-517401 4/3/2012 PR 12 12 12 19 Computer Checks Batch 2012 04 00007 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 12 19 123 242 261 288 19 123 242 261 288 4,886.21 Var: -478.75 7,422.94 1,736.01 7,013.24 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 mckinnley sick benefit Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-517001 Totals: Imrf 12 0.00 7,422.94 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 mckinnley sick benefit Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 12 Var: -5,337.67 Var: -111.96 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,736.01 14,151.47 1,640.21 5,337.67 7,901.69 1,847.97 Page 206 Account Number 4/18/2012 4/30/2012 4/30/2012 PR PR PR 223-026-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 12 Beginning Balance 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: 245.63 14,151.47 30,525.41 12,583.25 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 223-026-518000 Totals: Liability Insurance Packa Var: 799.39 223-026-518100 223-026-518100 Totals: Workers Comp Insurance Var: -1,169.17 223-026-518300 223-026-518700 223-026-518300 Totals: Mileage 223-026-519000 Debit This Period Credit This Period 353.09 327.49 58.55 0.00 0.00 0.00 1,322.59 0.00 1,300.85 1,300.85 722.70 122.05 0.00 0.00 0.00 0.00 Ending Balance 13,905.84 30,525.41 1,404.55 26,279.57 3,446.45 0.00 29,726.02 1,404.55 7,901.84 2,573.72 0.00 0.00 2,573.72 7,901.84 0.00 7,901.84 0.00 0.00 7,901.84 223-026-518700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 223-026-519000 Totals: Office Supplies 0.00 0.00 0.00 0.00 0.00 0.00 223-026-520200 223-026-520200 Totals: Postage 0.00 0.00 0.00 0.00 0.00 0.00 223-026-520400 223-026-520400 Totals: Photographic Supplies 0.00 0.00 0.00 0.00 0.00 0.00 223-026-522000 223-026-522000 Totals: General Supplies 0.00 0.00 0.00 0.00 0.00 0.00 223-026-522400 223-026-522400 Totals: Lease/rental Of Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-026-524000 223-026-524000 Totals: Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-026-529000 214.32 0.00 4/26/2012 AP 12 184 10882 - Sentry Safety Supply, Inc. GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ck# 106929 Page 207 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 12,500.00 4,493.00 214.32 0.00 4,707.32 43.00 0.00 556.74 0.00 gloves and vests 223-026-534000 223-026-529000 Totals: Automotive Expense 4/30/2012 AP 12 4/30/2012 WO 12 Var: -4,707.32 276 10495 - Pence's Ag Repair Inc Ck# 107181 inspection on r/c1 and r/c2 283 WO Dist Batch WO3 - 00001.04.2012 223-026-534400 223-026-534000 Totals: Equipment Repairs 223-026-538000 12,500.00 0.00 19,829.31 599.74 0.00 20,429.05 223-026-534400 Totals: Maintenance Agreements 0.00 0.00 0.00 0.00 0.00 0.00 223-026-538000 Totals: Telephone 0.00 0.00 0.00 0.00 0.00 0.00 223-026-550300 223-026-550300 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 223-026-551000 223-026-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 223-026-551600 223-026-551600 Totals: Mealslodging 0.00 0.00 0.00 0.00 0.00 0.00 223-026-554200 223-026-554200 Totals: Uniforms And Tools 0.00 660.00 0.00 0.00 0.00 0.00 223-026-554300 223-026-554300 Totals: Radio Expense Var: 548.84 660.00 400.00 111.16 0.00 0.00 111.16 223-026-555000 223-026-555000 Totals: Gasoline/diesel Fuel Var: 400.00 400.00 10,000.00 0.00 0.00 0.00 0.00 223-026-556100 1,533.39 0.00 4/30/2012 WO 12 Var: -7,929.05 275 WO Dist Batch IC1 - 00008.04.2012 223-026-556100 Totals: License And Inspection Fe Var: -6,786.52 223-026-557200 223-026-557200 Totals: Medical Expense/supplies Var: 78.50 223-026-559000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 10,000.00 100.00 15,253.13 1,533.39 0.00 16,786.52 100.00 100.00 21.50 0.00 0.00 21.50 Page 208 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 100.00 0.00 0.00 0.00 0.00 0.00 0.00 100,000.00 0.00 0.00 0.00 0.00 100,000.00 0.00 63,155.00 0.00 0.00 63,155.00 223-026-561200 223-026-559000 Totals: Engineering Fees 223-026-566502 223-026-561200 Totals: Recycling Expense 223-026-569000 223-026-566502 Totals: Other Contractual Service 223-026-569000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 223-026-587000 223-026-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 223-026-587001 223-026-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 223-026-587100 223-026-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 223-026-587500 223-026-587500 Totals: Community Education 0.00 10,000.00 0.00 0.00 0.00 0.00 223-026-592000 Ck# 106723 412.90 0.00 Ck# 106961 494.06 0.00 Ck# 106936 354.03 0.00 Ck# 106840 497.84 0.00 Ck# 107235 209.56 0.00 Ck# 107079 468.00 0.00 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: 100.00 Budget Var: 36,845.00 79 10812 - Scott Altman Primary School recycling grant/scott altman school 184 10807 - Wilson School recycling grant for wilson school 184 10809 - Starke School recycling grant at stark school 184 11842 - Edison Jr. High School recycling grant for edison jr. high 276 10808 - Willow School recycling grant willow school 276 10810 - CB Smith School recycle grant/cb smith 223-026-598200 223-026-592000 Totals: Grant Expenses 223-026-599000 223-026-598200 Totals: Miscellaneous GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 6,881.29 10,000.00 0.00 682.32 2,436.39 0.00 3,118.71 0.00 0.00 0.00 0.00 0.00 0.00 Page 209 Account Number Description 223-026-599000 Totals: 223-026 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 316,627.02 271,839.49 24,629.79 0.00 296,469.28 Page 210 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 1,632,414.91 1,917,232.71 228,419.47 0.00 2,145,652.18 -1,562,414.91 0.00 322,796.00 322,796.00 0.00 223 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 211 Account Number Description 231 ASSETS 231-000-110100 Petty Cash - Administratn 231-000-110200 231-000-110100 Totals: Operating Account 4/3/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 6 Contractors License Arnold & Sons Plumbing/Sewer # 16561 Cash Receipts Batch 04022-04-2012 39 Contractors License Marv Litwiller & Sons # 16659 Attn: Marvin Litwiller Cash Receipts Batch 23052-04-2012 39 Contractors License Maquet Plbg & Pipefitting # 16660 Attn: Bud Maquet Cash Receipts Batch 23052-04-2012 39 Contractors License Aupperle & Sons Inc # 16661 Cash Receipts Batch 23052-04-2012 51 IL-AM W.W. COLLECTED IL-AM/3-23-12 # 16680 TO 3-29-12 Cash Receipts Batch 50109-04-2012 51 IL-AM W.W. COLLECTED IL-AM/3-30-12 # 16681 TO 4-5-12 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Pavillion # 16710 Cash Receipts Batch 50109-04-2012 51 WW Commercial Accts Pekin Park District # 16710 Pavillion Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Comfort Station # 16711 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District New Comfort # 16712 Station Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Diamond #1/Shop # 16713 Cash Receipts Batch 50109-04-2012 51 WW Commercial Accts Pekin Park District # 16713 Diamond #1/Shop Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Spring Service # 16714 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Sunken Gardens # 16715 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Coal Miner's # 16716 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Dragonland # 16717 Cash Receipts Batch 50109-04-2012 64 Contractors License Illinois Civil Cont#LLC 16735 Cash Receipts Batch 23102-04-2012 64 Contractors License The Pipco Co LTD# 16736 Cash Receipts Batch 23102-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 75.00 0.00 0.00 75.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 38,240.98 0.00 49,747.12 0.00 3.00 0.00 7.17 0.00 3.00 0.00 3.00 0.00 3.00 0.00 5.38 0.00 3.00 0.00 3.00 0.00 3.00 0.00 3.00 0.00 100.00 0.00 100.00 0.00 0.00 0.00 0.00 Page 212 Account Number Description 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 64 Contractors License Wayne Litwiller Excavating # 16737 Inc Cash Receipts Batch 23102-04-2012 64 Contractors License Pekin Rootermatic#Inc16756 Attn: Fred Messaglia Cash Receipts Batch 23102-04-2012 71 Contractors License John Meister & Sons # Plbg 16782 Attn: John Meister Cash Receipts Batch 23112-04-2012 71 Contractors License Hein Construction#Co16783 Inc Cash Receipts Batch 23112-04-2012 92 Sewage Treatment N Pekin VILLAGE #OF 16866 N. PEKIN/APRIL Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 1117 Mechanic # 16867 Cash Receipts Batch 50113-04-2012 92 Lien filing and release fees 1117 Mechanic # 16867 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 209 Capri # 16868 Cash Receipts Batch 50113-04-2012 92 Lien filing and release fees 209 Capri # 16868 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 200 Cypress # 16869 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 1008 Buff # 16870 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 1525 Center # 16871 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 223 Sunnyridge # Ct. 16872 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 201 Cypress # 16873 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 182 Sapp # 16874 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents Ozkan Bakirdan # 2439 16875 Lake Shore Drive Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 217 Charlotte# 16876 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 1219 Maple # 16877 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 2308 Tazewell# Road 16878 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 2107 N. Parkway # 16879 Drive Cash Receipts Batch 50113-04-2012 92 IL-AM W.W. COLLECTED IL-AM - 4/6 # -16880 4/12 Cash Receipts Batch 50113-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 4,797.07 0.00 41.80 0.00 76.50 0.00 131.25 0.00 76.50 0.00 15.28 0.00 37.25 0.00 53.65 0.00 109.75 0.00 9.76 0.00 39.39 0.00 45.66 0.00 67.16 0.00 87.22 0.00 12.28 0.00 23.73 0.00 39,580.41 0.00 Ending Balance Page 213 Account Number Description 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 97 Flat Rate Pekin Park District Arena/Parkside # 16903 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16903 Arena/Parkside Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Lick Creek# 16904 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16904 Lick Creek Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Parkview # 16905 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16905 Parkview Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Miller Center # 16906 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16906 Miller Center Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Concession # Stand 16907 Cash Receipts Batch 50116-04-2012 97 Wastewater Delinquents 249 Cooper # 16908 Cash Receipts Batch 50116-04-2012 97 Wastewater Delinquents 141 Sapp # 16909 Cash Receipts Batch 50116-04-2012 100 Contractors License Isaacson Concrete#& Excavating 16911 Cash Receipts Batch 23162-04-2012 108 Contractors License NE Finch Co # 16931 Cash Receipts Batch 23172-04-2012 143 Sewer Tap Marvin Spiczka Construction # 16996 Cash Receipts Batch 23019-04-2012 143 Sewer Tap Marvin Spiczka Construction # 16997 Cash Receipts Batch 23019-04-2012 144 Sewer Permits Marvin Spiczka Construction # 17001 Cash Receipts Batch 23192-04-2012 144 Sewer Permits Marvin Spiczka Construction # 17002 Cash Receipts Batch 23192-04-2012 144 Contractors License Mr Sewer Attn: Bruce # 17003 Winborn Cash Receipts Batch 23192-04-2012 144 Contractors License Wagenbach Builders # 17004 Cash Receipts Batch 23192-04-2012 144 Contractors License PA Atherton Construction # 17005Attn: Louie Atherton Cash Receipts Batch 23192-04-2012 148 Wastewater Delinquents Ozkan Bakirdan # 2439 17049 Lake Shore Drive Cash Receipts Batch 50120-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 3.00 0.00 337.47 0.00 3.00 0.00 32.55 0.00 3.00 0.00 7.84 0.00 3.00 0.00 44.81 0.00 3.00 0.00 16.55 0.00 47.96 0.00 100.00 0.00 100.00 0.00 1,600.00 0.00 1,600.00 0.00 55.00 0.00 55.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 48.76 0.00 Ending Balance Page 214 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 148 Wastewater Delinquents 109 Parkview#Ct.17050 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 106 Parkview#Ct.17051 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1107 Koch St.# 17052 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1107 Koch St.# 17052 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1611 Sheridan# 17053 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents Dennis Mullen#917 17054 Highland Ave Cash Receipts Batch 50120-04-2012 153 Contractors License GA Rich & Sons Inc # 17047 Cash Receipts Batch 23202-04-2012 153 Contractors License JC Dillon Plumbing # Inc 17059 Cash Receipts Batch 23202-04-2012 160 IL-AM W.W. COLLECTED IL-AM/4-13 # TO 17074 4-19 Cash Receipts Batch 50123-04-2012 160 IL-AM COLLECTION CHARGE IL COLLECTION/MARCH # 17118 Cash Receipts Batch 50123-04-2012 160 Flat Rate Continental Carbonic Prod # 17119 Cash Receipts Batch 50123-04-2012 160 WW Commercial Accts Continental Carbonic # 17119 Prod Cash Receipts Batch 50123-04-2012 160 Wastewater Surcharge Continental Carbonic # 17119 Prod Cash Receipts Batch 50123-04-2012 160 Flat Rate Aventine Renewable Energy # 17120 Cash Receipts Batch 50123-04-2012 160 WW Commercial Accts Aventine Renewable # 17120 Energy Cash Receipts Batch 50123-04-2012 170 Contractors License David Burling & Son # 17146 Excavating Cash Receipts Batch 23242-04-2012 181 Sewer Permits Pekin Rootermatic # 17177 Cash Receipts Batch 23252-04-2012 191 Contractors License City Mechanicals & # Servic 17188Attn: Jess Burns Cash Receipts Batch 23262-04-2012 196 IL-AM W.W. COLLECTED IL/AMERICAN-4/20 # 17253 to 4/26 Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents Richard Majors # 314 17254 Charles St. Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents 3420 Court # 17255 Cash Receipts Batch 50127-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 12.69 0.00 11.08 0.00 48.45 0.00 13.50 0.00 43.81 0.00 72.08 0.00 100.00 0.00 100.00 0.00 31,033.99 0.00 158.59 0.00 3.00 0.00 5,056.76 0.00 1,445.19 0.00 3.00 0.00 552.17 0.00 100.00 0.00 55.00 0.00 100.00 0.00 38,712.22 0.00 45.78 0.00 56.00 0.00 Ending Balance Page 215 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL GL GL GL GL WO GL GL GL 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 Budget Beginning Balance 196 Wastewater Delinquents 915 S. 7th # 17256 Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents 413 Charlotte# 17257 Cash Receipts Batch 50127-04-2012 196 Flat Rate Pekin Park District Admin Bldg. # 17258 Cash Receipts Batch 50127-04-2012 196 WW Commercial Accts Pekin Park District # 17258 Admin Bldg. Cash Receipts Batch 50127-04-2012 208 Flat Rate Federal Bureau Of Prisons # 17282 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Federal Bureau# Of17282 Prisons Cash Receipts Batch 50130-04-2012 208 Flat Rate Illinois American Water Co # 17284 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Illinois American # 17284 Water Co Cash Receipts Batch 50130-04-2012 208 Flat Rate Illinois American Water Co # 17285 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Illinois American # 17285 Water Co Cash Receipts Batch 50130-04-2012 208 Flat Rate LINDE LLC - 5448 # 17301 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts LINDE LLC -#5448 17301 Cash Receipts Batch 50130-04-2012 226 ppe 3/31/12 234 a/p 4/13/12 235 a/p 4/13/12 240 ppe 4/14/12 246 credit from ej equipment inc 255 a/p 4/27/12 260 april 2012 postage 266 combine escrows, adj balance 266 corr coding march fuel 266 corr coding march work order 266 corr 4-26 ap 269 monthly sewer trans /admin costs 283 WO Dist Batch WO3 - 00001.04.2012 290 april operating int 292 april work order 292 haller sick time transfer 231-000-110200 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 3,139,803.56 Debit This Period Credit This Period 31.92 0.00 22.01 0.00 3.00 0.00 1.79 0.00 3.00 0.00 19,151.07 0.00 3.00 0.00 247.37 0.00 3.00 0.00 16.13 0.00 3.00 0.00 48.16 0.00 0.00 0.00 0.00 0.00 208.86 0.00 0.00 1,040.00 0.00 0.00 0.00 0.00 0.00 2,220.06 0.00 0.00 22,543.52 1,360,797.34 41,250.00 22,180.35 0.00 1,916.10 1.80 0.00 342.12 487.50 20,000.00 9,554.00 2,198.14 0.00 284.02 35,734.66 239,315.93 1,517,289.55 Ending Balance 1,861,829.94 Page 216 Account Number Description 231-000-110201 Budget Equity In Pooled Cash Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 22,543.52 2,139,957.15 4/13/2012 AP 12 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 0.00 41,250.00 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 22,180.35 21,916.10 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL PR GL GL GL WO PR GL 12 12 12 12 12 12 12 12 12 12 12 12 226 234 235 240 255 261 266 266 266 275 288 292 22,543.52 2,139,957.15 41,250.00 22,180.35 1,916.10 0.00 342.12 487.50 20,000.00 0.00 0.00 284.02 0.00 0.00 0.00 0.00 0.00 20,461.83 0.00 0.00 0.00 284.02 2,841.17 0.00 ppe 3/31/12 a/p 4/13/12 a/p 4/13/12 ppe 4/14/12 a/p 4/27/12 Computer Checks Batch 2012 05 00009 corr coding march fuel corr coding march work order corr 4-26 ap WO Dist Batch IC1 - 00008.04.2012 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 april work order 231-000-110201 Totals: Debt Service Collection D 0.00 0.00 -829.62 2,248,960.76 2,271,434.14 -23,303.00 231-000-110300 231-000-110300 Totals: WW Project Fund (2010A) 0.00 0.00 0.00 0.00 0.00 0.00 231-000-112500 0.00 770.50 779,159.81 0.00 4/2/2012 4/30/2012 GL GL 12 12 234 a/p 4/13/12 290 april mm int 231-000-112500 Totals: Iptip 0.00 0.00 1,257,829.28 770.50 779,159.81 479,439.97 231-000-115000 231-000-115000 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 231-000-120500 231-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 231-000-120600 231-000-120600 Totals: Fixed Asset Investment 0.00 0.00 240,000.00 0.00 0.00 240,000.00 231-000-125100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 217 Account Number 231-000-130100 Description 231-000-125100 Totals: Acccounts Receivable 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/9/2012 CR 12 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 16 16 16 30 30 30 30 48 48 48 48 51 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00007.04.2012 AR Invoices 00007.04.2012 AR Invoices 00007.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 Flat Rate Pekin Park District Pavillion # 16710 Cash Receipts Batch 50109-04-2012 51 WW Commercial Accts Pekin Park District # 16710 Pavillion Cash Receipts Batch 50109-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 3.00 5.38 3.00 3.00 7.17 3.00 3.00 3.00 3.00 1.79 3.00 337.47 3.00 3.00 3.00 44.81 3.00 3.00 19,151.07 3.00 247.37 3.00 16.13 3.00 5,056.76 1,445.19 3.00 48.16 3.00 552.17 3.00 7.84 3.00 32.55 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 3.00 0.00 7.17 Page 218 Account Number Description 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 51 Flat Rate Pekin Park District Comfort Station # 16711 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District New Comfort # 16712 Station Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Diamond #1/Shop # 16713 Cash Receipts Batch 50109-04-2012 51 WW Commercial Accts Pekin Park District # 16713 Diamond #1/Shop Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Spring Service # 16714 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Sunken Gardens # 16715 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Coal Miner's # 16716 Cash Receipts Batch 50109-04-2012 51 Flat Rate Pekin Park District Dragonland # 16717 Cash Receipts Batch 50109-04-2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 3.00 0.00 3.00 0.00 3.00 0.00 5.38 0.00 3.00 0.00 3.00 0.00 3.00 0.00 3.00 41.80 76.50 12.16 76.50 40.45 76.50 44.18 76.50 26.04 76.50 26.17 76.50 26.65 76.50 131.25 76.50 32.30 76.50 37.75 76.50 71.11 76.50 72.63 76.50 11.21 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 219 Account Number Description 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/10/2012 4/10/2012 4/10/2012 4/10/2012 4/10/2012 4/10/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 55 55 55 55 55 55 55 55 55 59 59 59 59 59 59 91 91 91 91 91 91 91 91 91 91 91 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 4/13/2012 CR 12 92 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 Wastewater Delinquents 1117 Mechanic # 16867 Cash Receipts Batch 50113-04-2012 Lien filing and release fees 1117 Mechanic # 16867 Cash Receipts Batch 50113-04-2012 Wastewater Delinquents 209 Capri # 16868 Cash Receipts Batch 50113-04-2012 Lien filing and release fees 209 Capri # 16868 Cash Receipts Batch 50113-04-2012 Wastewater Delinquents 200 Cypress # 16869 Cash Receipts Batch 50113-04-2012 Wastewater Delinquents 1008 Buff # 16870 Cash Receipts Batch 50113-04-2012 Wastewater Delinquents 1525 Center # 16871 Cash Receipts Batch 50113-04-2012 Wastewater Delinquents 223 Sunnyridge # Ct. 16872 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 76.50 25.38 76.50 44.75 76.50 46.36 76.50 80.64 76.50 0.00 0.00 0.00 0.00 0.00 0.00 23.73 12.28 87.22 67.16 45.66 39.39 109.75 9.76 53.65 37.25 15.28 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1.76 5.00 5.00 5.00 5.00 5.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 41.80 0.00 76.50 0.00 131.25 0.00 76.50 0.00 15.28 0.00 37.25 0.00 53.65 0.00 109.75 Ending Balance Page 220 Account Number Description 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/16/2012 4/16/2012 4/16/2012 AR AR CR 12 12 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/19/2012 4/19/2012 4/19/2012 AR AR AR 12 12 12 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 201 Cypress # 16873 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 182 Sapp # 16874 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents Ozkan Bakirdan # 2439 16875 Lake Shore Drive Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 217 Charlotte# 16876 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 1219 Maple # 16877 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 2308 Tazewell# Road 16878 Cash Receipts Batch 50113-04-2012 92 Wastewater Delinquents 2107 N. Parkway # 16879 Drive Cash Receipts Batch 50113-04-2012 95 AR Invoices 00018.04.2012 95 AR Invoices 00018.04.2012 97 Flat Rate Pekin Park District Arena/Parkside # 16903 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16903 Arena/Parkside Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Lick Creek# 16904 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16904 Lick Creek Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Parkview # 16905 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16905 Parkview Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Miller Center # 16906 Cash Receipts Batch 50116-04-2012 97 WW Commercial Accts Pekin Park District # 16906 Miller Center Cash Receipts Batch 50116-04-2012 97 Flat Rate Pekin Park District Concession # Stand 16907 Cash Receipts Batch 50116-04-2012 97 Wastewater Delinquents 249 Cooper # 16908 Cash Receipts Batch 50116-04-2012 97 Wastewater Delinquents 141 Sapp # 16909 Cash Receipts Batch 50116-04-2012 130 AR Adjustments 00017.04.2012 130 AR Adjustments 00017.04.2012 130 AR Adjustments 00017.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 9.76 0.00 39.39 0.00 45.66 0.00 67.16 0.00 87.22 0.00 12.28 0.00 23.73 47.96 16.55 0.00 0.00 0.00 3.00 0.00 337.47 0.00 3.00 0.00 32.55 0.00 3.00 0.00 7.84 0.00 3.00 0.00 44.81 0.00 3.00 0.00 16.55 0.00 47.96 0.00 0.00 0.00 52.24 35.55 88.28 Ending Balance Page 221 Account Number 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 257.53 334.03 257.53 53.20 2,745.43 2,053.94 234.84 169.74 305.88 142.62 280.38 149.86 130.65 206.70 99.25 102.05 343.97 105.05 160.13 128.56 391.54 123.29 172.76 287.45 72.90 104.30 91.75 105.30 481.86 75.60 19.83 109.10 250.92 403.99 413.69 426.69 421.69 102.25 46.78 1,527.00 148.04 Ending Balance Page 222 Account Number Description 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/20/2012 CR 12 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 132 132 132 132 133 134 135 135 135 135 147 147 147 147 147 147 147 148 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00018.04.2012 AR Adjustments 00018.04.2012 AR Adjustments 00018.04.2012 AR Adjustments 00018.04.2012 AR Invoices 00024.04.2012 AR Adjustments 00020.04.2012 AR Adjustments 00021.04.2012 AR Adjustments 00021.04.2012 AR Adjustments 00021.04.2012 AR Adjustments 00021.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 Wastewater Delinquents Ozkan Bakirdan # 2439 17049 Lake Shore Drive Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 109 Parkview#Ct.17050 Cash Receipts Batch 50120-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 105.50 0.00 232.07 0.00 232.07 0.00 12.69 11.08 48.45 13.50 72.08 48.76 43.81 0.00 1,281.08 289.87 255.08 170.21 307.75 137.65 95.66 139.82 776.63 81.80 133.19 86.28 66.50 82.30 399.40 1,523.21 274.43 68.83 111.04 60.48 20.39 40.94 29.73 34.09 0.00 48.92 0.00 232.07 0.00 232.07 0.00 0.00 0.00 0.00 0.00 0.00 0.00 48.76 0.00 12.69 Ending Balance Page 223 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 4/24/2012 4/24/2012 4/27/2012 4/27/2012 4/27/2012 4/27/2012 AR AR AR AR AR AR AR 12 12 12 12 12 12 12 148 Wastewater Delinquents 106 Parkview#Ct.17051 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1107 Koch St.# 17052 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1107 Koch St.# 17052 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents 1611 Sheridan# 17053 Cash Receipts Batch 50120-04-2012 148 Wastewater Delinquents Dennis Mullen#917 17054 Highland Ave Cash Receipts Batch 50120-04-2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 156 AR Adjustments 00022.04.2012 156 AR Adjustments 00022.04.2012 158 AR Adjustments 00023.04.2012 160 Flat Rate Continental Carbonic Prod # 17119 Cash Receipts Batch 50123-04-2012 160 WW Commercial Accts Continental Carbonic # 17119 Prod Cash Receipts Batch 50123-04-2012 160 Wastewater Surcharge Continental Carbonic # 17119 Prod Cash Receipts Batch 50123-04-2012 160 Flat Rate Aventine Renewable Energy # 17120 Cash Receipts Batch 50123-04-2012 160 WW Commercial Accts Aventine Renewable # 17120 Energy Cash Receipts Batch 50123-04-2012 161 AR Adjustments 00024.04.2012 167 AR Adjustments 00025.04.2012 167 AR Adjustments 00025.04.2012 195 AR Invoices 00029.04.2012 195 AR Invoices 00029.04.2012 195 AR Invoices 00029.04.2012 195 AR Invoices 00029.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 11.08 0.00 48.45 0.00 13.50 0.00 43.81 0.00 72.08 0.00 0.00 24.00 0.00 0.99 105.50 0.00 0.00 232.07 0.00 232.07 0.00 24.00 0.00 0.00 260.50 260.50 0.00 24.00 0.00 0.00 105.50 232.07 0.00 232.07 0.00 24.00 0.00 36.19 3.00 0.00 5,056.76 0.00 1,445.19 0.00 3.00 0.00 552.17 0.00 521.00 521.00 22.01 56.00 45.78 31.92 33.86 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 224 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 196 Wastewater Delinquents Richard Majors # 314 17254 Charles St. Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents 3420 Court # 17255 Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents 915 S. 7th # 17256 Cash Receipts Batch 50127-04-2012 196 Wastewater Delinquents 413 Charlotte# 17257 Cash Receipts Batch 50127-04-2012 196 Flat Rate Pekin Park District Admin Bldg. # 17258 Cash Receipts Batch 50127-04-2012 196 WW Commercial Accts Pekin Park District # 17258 Admin Bldg. Cash Receipts Batch 50127-04-2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 201 AR Adjustments 00027.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 208 Flat Rate Federal Bureau Of Prisons # 17282 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Federal Bureau# Of17282 Prisons Cash Receipts Batch 50130-04-2012 208 Flat Rate Illinois American Water Co # 17284 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Illinois American # 17284 Water Co Cash Receipts Batch 50130-04-2012 208 Flat Rate Illinois American Water Co # 17285 Cash Receipts Batch 50130-04-2012 208 WW Commercial Accts Illinois American # 17285 Water Co Cash Receipts Batch 50130-04-2012 208 Flat Rate LINDE LLC - 5448 # 17301 Cash Receipts Batch 50130-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 45.78 0.00 56.00 0.00 31.92 0.00 22.01 0.00 3.00 0.00 1.79 3.00 0.00 0.00 3.75 4.49 0.00 5.99 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 3.00 3.75 0.00 0.00 4.49 0.00 3.00 2.99 3.00 1.49 3.00 3.00 1.49 3.00 1.49 3.00 0.00 19,151.07 0.00 3.00 0.00 247.37 0.00 3.00 0.00 16.13 0.00 3.00 Ending Balance Page 225 Account Number Description 4/30/2012 CR 12 4/30/2012 4/30/2012 AR AR 12 12 Budget Beginning Balance 208 WW Commercial Accts LINDE LLC -#5448 17301 Cash Receipts Batch 50130-04-2012 209 AR Adjustments 00029.04.2012 209 AR Adjustments 00029.04.2012 Debit This Period Credit This Period 0.00 48.16 0.00 0.00 228.75 29.23 Ending Balance 231-000-130100 Totals: Allowance For Bad Debt 0.00 0.00 86,929.58 32,304.41 51,032.32 68,201.67 231-000-130200 231-000-130200 Totals: Other Receivables 0.00 0.00 108,519.86 0.00 0.00 108,519.86 231-000-132000 231-000-132000 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 231-000-140100 231-000-140100 Totals: Land 0.00 0.00 0.00 0.00 0.00 0.00 231-000-150100 231-000-150100 Totals: Land Improvements 0.00 0.00 73,000.00 0.00 0.00 73,000.00 231-000-150200 231-000-150200 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 231-000-150500 231-000-150500 Totals: Building Improvements 0.00 0.00 21,314,035.18 0.00 0.00 21,314,035.18 231-000-150600 231-000-150600 Totals: Sewers 0.00 0.00 0.00 0.00 0.00 0.00 231-000-150700 231-000-150700 Totals: Sewer Improvements 0.00 0.00 0.00 0.00 0.00 0.00 231-000-150800 231-000-150800 Totals: Electronics & Office Equip 0.00 0.00 0.00 0.00 0.00 0.00 231-000-151000 231-000-151000 Totals: Machinery And Equipment 0.00 0.00 108,932.25 0.00 0.00 108,932.25 231-000-151500 231-000-151500 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 231-000-152000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 226 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 231-000-152000 Totals: Construction In Progress 0.00 0.00 0.00 0.00 0.00 0.00 231-000-153000 231-000-153000 Totals: Accum Deprec - Land 0.00 0.00 3,394,526.45 0.00 0.00 3,394,526.45 231-000-155100 231-000-155100 Totals: Accum Deprec - Land Impro 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155200 231-000-155200 Totals: Accum Deprec - Streets 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155300 231-000-155300 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155400 231-000-155400 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155500 231-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 -7,928,532.83 0.00 0.00 -7,928,532.83 231-000-155600 231-000-155600 Totals: Accum Deprec - Sewers 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155700 231-000-155700 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 231-000-155800 231-000-155800 Totals: Accum Deprec - Electronics 0.00 0.00 0.00 0.00 0.00 0.00 231-000-156000 231-000-156000 Totals: Accum Deprec - Mach & Equ 0.00 0.00 0.00 0.00 0.00 0.00 231-000-156500 231-000-156500 Totals: Accum Deprec - Vehicles 0.00 0.00 -2,123,689.42 0.00 0.00 -2,123,689.42 231-000-157000 231-000-157000 Totals: Supply Inventory 0.00 0.00 -438,499.34 0.00 0.00 -438,499.34 231-000-160300 231-000-160300 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 227 Account Number Description 231-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 19,232,099.95 2,521,351.60 4,618,915.82 17,134,535.73 Page 228 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 19,232,099.95 2,521,351.60 4,618,915.82 17,134,535.73 0.00 234.10 0.00 234.10 ASSETS Totals: LIABILITIES 231-000-211000 4/30/2012 PR 231-000-219000 Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-000-211000 Totals: Accounts Payable 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 2,139,957.15 2,139,957.15 0.00 4/13/2012 4/13/2012 AP AP 12 12 89 AP Invoice Batch 00004-04-2012 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 0.00 41,250.00 41,250.00 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 21,916.10 22,106.00 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 835,475.92 -234.10 231-000-219000 Totals: Accrued Interest 0.00 0.00 189.90 2,203,123.25 3,038,789.07 -835,475.92 231-000-219200 231-000-219200 Totals: Deferred Revenues End-of- 0.00 0.00 0.00 0.00 0.00 0.00 231-000-219300 4/9/2012 4/9/2012 AR AR 12 12 55 AR Invoices 00013.04.2012 55 AR Invoices 00013.04.2012 0.00 0.00 41.80 76.50 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 55 55 55 55 55 55 55 55 55 55 55 55 55 55 55 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 12.16 76.50 40.45 76.50 44.18 76.50 26.04 76.50 26.17 76.50 26.65 76.50 131.25 76.50 32.30 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 229 Account Number 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/13/2012 4/16/2012 4/16/2012 4/19/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/20/2012 4/23/2012 4/27/2012 4/27/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 55 55 55 55 55 55 55 55 55 55 55 55 55 55 55 55 55 91 91 91 91 91 91 91 91 91 91 91 95 95 133 147 147 147 147 147 147 147 158 195 195 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00013.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00016.04.2012 AR Invoices 00018.04.2012 AR Invoices 00018.04.2012 AR Invoices 00024.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Invoices 00026.04.2012 AR Adjustments 00023.04.2012 AR Invoices 00029.04.2012 AR Invoices 00029.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 36.19 0.00 0.00 76.50 37.75 76.50 71.11 76.50 72.63 76.50 11.21 76.50 25.38 76.50 44.75 76.50 46.36 76.50 80.64 76.50 23.73 12.28 87.22 67.16 45.66 39.39 109.75 9.76 53.65 37.25 15.28 47.96 16.55 105.50 12.69 11.08 48.45 13.50 72.08 48.76 43.81 0.00 22.01 56.00 Ending Balance Page 230 Account Number 4/27/2012 4/27/2012 AR AR Description 12 12 Budget Beginning Balance 195 AR Invoices 00029.04.2012 195 AR Invoices 00029.04.2012 Debit This Period Credit This Period 0.00 0.00 45.78 31.92 Ending Balance 231-000-219300 Totals: Deferred Tax Revenue 0.00 0.00 -3,827.74 36.19 3,148.55 -6,940.10 231-000-219400 231-000-219400 Totals: Due To General Fund 0.00 0.00 0.00 0.00 0.00 0.00 231-000-220100 231-000-220100 Totals: Due To Tif 1 0.00 0.00 0.00 0.00 0.00 0.00 231-000-220270 231-000-220270 Totals: Contractor Escrow Account 0.00 0.00 0.00 0.00 0.00 0.00 231-000-235500 265.00 200.00 0.00 0.00 0.00 1,040.00 4/30/2012 4/30/2012 4/30/2012 GL GL GL 12 12 12 262 sewer permits 262 sewer license 266 combine escrows, adj balance 231-000-235500 Totals: GO Bonds Series 2010 0.00 0.00 575.00 465.00 1,040.00 0.00 231-000-245002 231-000-245002 Totals: Retained Earnings 0.00 0.00 -7,110,000.00 0.00 0.00 -7,110,000.00 231-000-290200 231-000-290200 Totals: City Contributed Capital 0.00 0.00 -1,847,354.45 0.00 0.00 -1,847,354.45 231-000-291000 231-000-291000 Totals: State Contributed Capital 0.00 0.00 -10,519,778.19 0.00 0.00 -10,519,778.19 231-000-292000 231-000-292000 Totals: 0.00 -3,786,299.00 0.00 0.00 -3,786,299.00 0.00 -23,266,494.48 2,203,624.44 3,043,211.72 -24,106,081.76 231-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 231 Account Number Description LIABILITIES Totals: FUND BALANCE 231-000-390100 Fund Balance Beg Year 231-000-390100 Totals: 231-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -23,266,494.48 2,203,624.44 3,043,211.72 -24,106,081.76 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 232 Account Number Description FUND BALANCE Totals: REVENUE 231-029 231-029-420900 Sewer Contractors License 4/3/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/24/2012 CR 12 4/27/2012 CR 12 6 Contractors License Arnold & Sons Plumbing/Sewer # 16561 Cash Receipts Batch 04022-04-2012 39 Contractors License Marv Litwiller & Sons # 16659 Attn: Marvin Litwiller Cash Receipts Batch 23052-04-2012 39 Contractors License Maquet Plbg & Pipefitting # 16660 Attn: Bud Maquet Cash Receipts Batch 23052-04-2012 39 Contractors License Aupperle & Sons Inc # 16661 Cash Receipts Batch 23052-04-2012 64 Contractors License Illinois Civil Cont#LLC 16735 Cash Receipts Batch 23102-04-2012 64 Contractors License The Pipco Co LTD# 16736 Cash Receipts Batch 23102-04-2012 64 Contractors License Wayne Litwiller Excavating # 16737 Inc Cash Receipts Batch 23102-04-2012 64 Contractors License Pekin Rootermatic#Inc16756 Attn: Fred Messaglia Cash Receipts Batch 23102-04-2012 71 Contractors License John Meister & Sons # Plbg 16782 Attn: John Meister Cash Receipts Batch 23112-04-2012 71 Contractors License Hein Construction#Co16783 Inc Cash Receipts Batch 23112-04-2012 100 Contractors License Isaacson Concrete#& Excavating 16911 Cash Receipts Batch 23162-04-2012 108 Contractors License NE Finch Co # 16931 Cash Receipts Batch 23172-04-2012 144 Contractors License Mr Sewer Attn: Bruce # 17003 Winborn Cash Receipts Batch 23192-04-2012 144 Contractors License Wagenbach Builders # 17004 Cash Receipts Batch 23192-04-2012 144 Contractors License PA Atherton Construction # 17005Attn: Louie Atherton Cash Receipts Batch 23192-04-2012 153 Contractors License GA Rich & Sons Inc # 17047 Cash Receipts Batch 23202-04-2012 153 Contractors License JC Dillon Plumbing # Inc 17059 Cash Receipts Batch 23202-04-2012 170 Contractors License David Burling & Son # 17146 Excavating Cash Receipts Batch 23242-04-2012 191 Contractors License City Mechanicals & # Servic 17188Attn: Jess Burns GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 0.00 100.00 3,100.00 Page 233 Account Number 4/30/2012 4/30/2012 GL GL 231-029-427200 Description 12 12 CR 12 4/19/2012 CR 12 4/25/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL 12 12 12 12 231-029-427200 Totals: Transfer From General Fund 231-029-440261 231-029-440100 Totals: Transfer From Hud #2 231-029-442500 231-029-440261 Totals: Federal Grants AR 231-029-452000 4/13/2012 CR 231-029-452900 12 12 12 4/19/2012 CR 12 AR -1,300.00 Var: -2,564.84 2 AR Invoices 00034.03.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 0.00 0.00 100.00 100.00 0.00 2,100.00 0.00 55.00 0.00 55.00 0.00 55.00 0.00 0.00 0.00 0.00 55.00 55.00 100.00 55.00 Ending Balance -3,400.00 -7,348.00 0.00 430.00 -7,778.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 8,000,000.00 0.00 0.00 0.00 0.00 1.76 0.00 1.76 0.00 0.00 4,797.07 0.00 4,797.07 0.00 1,600.00 0.00 1,600.00 0.00 3,200.00 0.00 3.00 8,000,000.00 55,000.00 -2,351,050.00 55,000.00 50,000.00 -52,767.77 143 Sewer Tap Marvin Spiczka Construction # 16996 Cash Receipts Batch 23019-04-2012 143 Sewer Tap Marvin Spiczka Construction # 16997 Cash Receipts Batch 23019-04-2012 Var: 22,700.00 Debit This Period 6,000.00 0.00 92 Sewage Treatment N Pekin VILLAGE #OF 16866 N. PEKIN/APRIL Cash Receipts Batch 50113-04-2012 231-029-452900 Totals: Basic Service Fees 12 3,100.00 6,000.00 59 AR Adjustments 00009.04.2012 231-029-452000 Totals: Sewer Connection Fees CR 4/3/2012 Var: -1,778.00 231-029-442500 Totals: Var: 5,648,951.76 Sewage Treatment - N Peki N 4/19/2012 231-029-459100 Var: -300.00 144 Sewer Permits Marvin Spiczka Construction # 17001 Cash Receipts Batch 23192-04-2012 144 Sewer Permits Marvin Spiczka Construction # 17002 Cash Receipts Batch 23192-04-2012 181 Sewer Permits Pekin Rootermatic # 17177 Cash Receipts Batch 23252-04-2012 262 1416 morton st/ escrow #10 262 1104 n 14th/ escrow #10 262 208 winter/ escrow #10 262 106 s 12th/ escrow #10 231-029-440100 4/10/2012 Beginning Balance Cash Receipts Batch 23262-04-2012 262 2012-2013 sewer license/ escrow #1 262 2012-2013 sewer license/ escrow #6 231-029-420900 Totals: Sewer Permits 4/19/2012 Budget 50,000.00 3,102,000.00 -24,100.00 -2,351,048.24 -57,564.84 -27,300.00 Page 234 Account Number Description 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/4/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 4/9/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 16 16 30 30 30 30 48 48 48 48 51 4/9/2012 CR 12 51 4/13/2012 CR 12 92 4/23/2012 CR 12 160 4/26/2012 AP 12 184 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00034.03.2012 AR Invoices 00007.04.2012 AR Invoices 00007.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00009.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 AR Invoices 00011.04.2012 IL-AM W.W. COLLECTED IL-AM/3-23-12 # 16680 TO 3-29-12 Cash Receipts Batch 50109-04-2012 IL-AM W.W. COLLECTED IL-AM/3-30-12 # 16681 TO 4-5-12 Cash Receipts Batch 50109-04-2012 IL-AM W.W. COLLECTED IL-AM - 4/6 # -16880 4/12 Cash Receipts Batch 50113-04-2012 IL-AM W.W. COLLECTED IL-AM/4-13 # TO 17074 4-19 Cash Receipts Batch 50123-04-2012 10483 - Pekin Hospital Ck# 106905 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 5.38 3.00 3.00 7.17 3.00 3.00 3.00 3.00 1.79 3.00 337.47 3.00 3.00 3.00 44.81 3.00 3.00 19,151.07 3.00 247.37 3.00 16.13 3.00 5,056.76 3.00 48.16 3.00 552.17 3.00 7.84 3.00 32.55 40,339.38 0.00 51,723.76 0.00 42,288.41 0.00 33,563.59 811.14 0.00 Ending Balance Page 235 Account Number Description 4/27/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AR AR AR AR AR 12 12 12 12 12 231-029-459200 4/4/2012 AR 231-029-459200 Totals: Capital Replacement Fees 231-029-490100 231-029-459300 Totals: Interest Earnings GL GL 12 12 Var: 504,768.10 3,102,000.00 70,000.00 -2,363,295.79 16 AR Invoices 00007.04.2012 231-029-459300 4/30/2012 4/30/2012 Beginning Balance auxiliary meter refund check 196 IL-AM W.W. COLLECTED IL/AMERICAN-4/20 # 17253 to 4/26 Cash Receipts Batch 50127-04-2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 203 AR Adjustments 00028.04.2012 231-029-459100 Totals: Surcharge 12 Budget Var: 37,786.86 231-029-490100 Totals: Ww Finance Charge 231-029-490300 0.00 41,275.42 3.00 1.49 3.00 3.00 1.49 0.00 0.00 0.00 0.00 0.00 823.12 234,759.23 0.00 1,445.19 Ending Balance -2,597,231.90 -30,767.95 0.00 1,445.19 -32,213.14 0.00 100,000.00 0.00 0.00 0.00 0.00 0.00 0.00 770.53 2,220.06 100,000.00 0.00 -70,284.60 0.00 2,990.59 -73,275.19 231-029-490110 Totals: Court Fees 0.00 0.00 0.00 0.00 0.00 0.00 231-029-490300 Totals: Lien File & Release Fees 0.00 0.00 0.00 0.00 0.00 0.00 231-029-490500 231-029-490500 Totals: Lien Filing Search Fee 0.00 0.00 0.00 0.00 0.00 0.00 231-029-490550 231-029-490550 Totals: Water Company Commission 0.00 0.00 0.00 0.00 0.00 0.00 231-029-490600 231-029-490600 Totals: Developer Agreements 0.00 0.00 0.00 0.00 0.00 0.00 231-029-490800 231-029-490800 Totals: Sale Of Municipal Propert 0.00 0.00 0.00 0.00 0.00 0.00 231-029-491500 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 26,724.81 Credit This Period 70,000.00 0.00 290 april mm int 290 april operating int 231-029-490110 Debit This Period Page 236 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 231-029-491500 Totals: Incr/decr Investment Valu 0.00 0.00 0.00 0.00 0.00 0.00 231-029-491900 231-029-491900 Totals: Bond Proceeds - Principal 0.00 0.00 0.00 0.00 0.00 0.00 231-029-492000 231-029-492000 Totals: Non Sufficient Funds Fee 0.00 0.00 0.00 0.00 0.00 0.00 231-029-498900 231-029-498900 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 231-029-499800 5.00 5.00 5.00 5.00 5.00 52.24 35.55 88.28 257.53 334.03 257.53 53.20 2,745.43 2,053.94 234.84 169.74 305.88 142.62 280.38 149.86 130.65 206.70 99.25 102.05 343.97 105.05 160.13 128.56 391.54 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/10/2012 4/10/2012 4/10/2012 4/10/2012 4/10/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 59 59 59 59 59 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00009.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 237 Account Number 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 130 132 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00017.04.2012 AR Adjustments 00018.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 123.29 172.76 287.45 72.90 104.30 91.75 105.30 481.86 75.60 19.83 109.10 250.92 403.99 413.69 426.69 421.69 102.25 46.78 1,527.00 148.04 1,281.08 289.87 255.08 170.21 307.75 137.65 95.66 139.82 776.63 81.80 133.19 86.28 66.50 82.30 399.40 1,523.21 274.43 68.83 111.04 60.48 20.39 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 238 Account Number 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/23/2012 4/23/2012 4/23/2012 4/23/2012 4/24/2012 4/24/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR GL 231-029-499802 Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 132 132 132 134 155 155 155 161 167 167 203 203 209 209 290 Budget Beginning Balance AR Adjustments 00018.04.2012 AR Adjustments 00018.04.2012 AR Adjustments 00018.04.2012 AR Adjustments 00020.04.2012 AR Adjustments 00019.04.2012 AR Adjustments 00019.04.2012 AR Adjustments 00019.04.2012 AR Adjustments 00024.04.2012 AR Adjustments 00025.04.2012 AR Adjustments 00025.04.2012 AR Adjustments 00028.04.2012 AR Adjustments 00028.04.2012 AR Adjustments 00029.04.2012 AR Adjustments 00029.04.2012 april mm int 231-029-499800 Totals: Cash Over/short 231-029-499802 Totals: 231-029 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 21,802.84 Debit This Period Credit This Period 40.94 29.73 34.09 48.92 260.50 260.50 0.00 33.86 0.00 0.00 3.00 1.49 228.75 29.23 0.03 0.00 0.00 0.00 0.00 0.00 0.00 0.99 0.00 521.00 521.00 0.00 0.00 0.00 0.00 0.00 Ending Balance 0.00 0.00 1,274.05 21,571.78 1,042.99 21,802.84 0.00 0.00 0.00 0.00 0.00 11,386,100.00 -4,899,640.06 22,396.66 250,765.07 -5,128,008.47 Page 239 Account Number EXPENSE 231-029 231-029-511600 4/30/2012 PR Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 11,386,100.00 -4,899,640.06 22,396.66 250,765.07 -5,128,008.47 147.28 0.00 Salary: All Personnel 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-029-515000 231-029-511600 Totals: Overtime 231-029-515500 0.00 0.00 0.00 147.28 0.00 147.28 231-029-515000 Totals: Vacation Pay 0.00 0.00 0.00 0.00 0.00 0.00 231-029-515500 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 231-029-515600 231-029-515600 Totals: Sick Pay 0.00 0.00 0.00 0.00 0.00 0.00 231-029-515800 231-029-515800 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 231-029-517000 8.87 0.00 8.87 0.00 2.08 0.00 2.08 0.00 22.17 0.00 22.17 0.00 56.35 0.00 4/30/2012 PR 231-029-517001 4/30/2012 PR 231-029-517401 4/30/2012 PR 231-029-518000 4/30/2012 PR 12 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-029-517000 Totals: Medicare/city Share 1.45% 12 0.00 0.00 0.00 Var: -2.08 0.00 0.00 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-029-517401 Totals: Group Insurance 12 Var: -8.87 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-029-517001 Totals: Imrf 12 Var: -147.28 Var: -22.17 0.00 0.00 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-029-518200 231-029-518000 Totals: Unemployment Insurance 231-029-518300 231-029-518200 Totals: Workers Comp Insurance GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -56.35 8.87 2.08 22.17 0.00 0.00 0.00 56.35 0.00 56.35 0.00 0.00 0.00 0.00 0.00 0.00 Page 240 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 231-029-518300 Totals: Mileage 0.00 0.00 0.00 0.00 0.00 0.00 231-029-518700 231-029-518700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 231-029-519000 5,550.00 0.00 4/13/2012 AP 12 89 10854 - Springbrook Software utility billing license 231-029-520100 231-029-519000 Totals: Transfer To General Fund 231-029-520200 231-029-520100 Totals: Office Supplies 231-029-520400 231-029-520200 Totals: Postage 4/2/2012 GL 12 Ck# 106756 Var: -5,550.00 Var: -106.34 0.00 0.00 0.00 5,550.00 0.00 5,550.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 200.00 106.34 0.00 0.00 106.34 1.80 0.00 260 april 2012 postage 231-029-524000 231-029-520400 Totals: Lease/rental Of Equipment 231-029-529000 200.00 0.00 174.51 1.80 0.00 176.31 231-029-524000 Totals: Equipment 0.00 0.00 0.00 0.00 0.00 0.00 231-029-529000 Totals: Equipment Repairs 0.00 0.00 0.00 0.00 0.00 0.00 231-029-534400 231-029-534400 Totals: Maintenance Agreements 0.00 0.00 0.00 0.00 0.00 0.00 231-029-538000 231-029-538000 Totals: Telephone 0.00 0.00 0.00 0.00 0.00 0.00 231-029-550300 231-029-550300 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 231-029-551000 231-029-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 231-029-551600 231-029-551600 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 23.69 Page 241 Account Number Description Budget 231-029-554200 Mealslodging 0.00 Beginning Balance Debit This Period Credit This Period Ending Balance 231-029-554200 Totals: Medical Expense/supplies 0.00 0.00 0.00 0.00 0.00 0.00 231-029-559000 231-029-559000 Totals: Provisions For Bad Debts 0.00 0.00 0.00 0.00 0.00 0.00 231-029-559900 231-029-559900 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 231-029-560600 231-029-560600 Totals: Il-amer Water Billings 0.00 0.00 0.00 0.00 0.00 0.00 231-029-560700 231-029-560700 Totals: Il-amer Ww Billing Charge 0.00 127,000.00 0.00 0.00 0.00 0.00 231-029-560701 4,075.04 2,708.00 2,371.01 2,563.20 0.00 0.00 0.00 0.00 11,717.25 0.00 14.76 0.00 4/9/2012 4/13/2012 4/23/2012 4/27/2012 CR CR CR CR 231-029-560800 4/26/2012 AP 12 12 12 12 51 92 160 196 Cash Receipts Batch 50109.04.2012 Cash Receipts Batch 50113.04.2012 Cash Receipts Batch 50123.04.2012 Cash Receipts Batch 50127.04.2012 231-029-560701 Totals: Collection Agency Fees 12 Var: 7,762.17 184 10296 - IL Collections Unlimited march 2012 collections 231-029-561000 231-029-560800 Totals: Legal Fees 231-029-561270 127,000.00 0.00 107,520.58 Ck# 106865 0.00 0.00 653.87 14.76 0.00 668.63 231-029-561000 Totals: Engineering Fees / Np Sha 0.00 0.00 0.00 0.00 0.00 0.00 231-029-561270 Totals: Bond Issue Expense 0.00 0.00 0.00 0.00 0.00 0.00 231-029-561800 231-029-561800 Totals: Summons Fees 0.00 0.00 0.00 0.00 0.00 0.00 231-029-562300 231-029-562300 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 231-029-569000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -668.63 119,237.83 Page 242 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 231-029-569000 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 231-029-587100 231-029-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 231-029-587500 231-029-587500 Totals: Interest Paid 0.00 0.00 0.00 0.00 0.00 0.00 231-029-590400 231-029-590400 Totals: Bank Charges 0.00 0.00 156,783.80 0.00 0.00 156,783.80 231-029-590600 231-029-590600 Totals: Bond Principal Retired 0.00 492,824.51 0.00 0.00 0.00 0.00 231-029-591000 231-029-591000 Totals: Bond Registrar Fees Var: 207,824.51 492,824.51 0.00 285,000.00 0.00 0.00 285,000.00 231-029-591100 231-029-591100 Totals: Bond Registrar Costs Var: -700.00 0.00 0.00 700.00 0.00 0.00 700.00 231-029-591101 231-029-591101 Totals: Partial Defeasance Genera 0.00 0.00 0.00 0.00 0.00 0.00 231-029-591102 231-029-591102 Totals: Bond Issue Costs 0.00 0.00 0.00 0.00 0.00 0.00 231-029-591300 231-029-591300 Totals: Lien Filing Fee 0.00 0.00 0.00 0.00 0.00 0.00 231-029-593300 257.50 0.00 4/26/2012 AP 12 Var: -156,783.80 184 11172 - Tazewell County Recorder filing 8 liens and 2 releases 231-029-593302 231-029-593300 Totals: Judgement Filing Fee 231-029-599000 231-029-599801 Ck# 106943 0.00 0.00 1,648.00 257.50 0.00 1,905.50 231-029-593302 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 231-029-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,905.50 Page 243 Account Number 4/13/2012 AP Description 12 89 10854 - Springbrook Software utility billing license 231-029-599802 231-029-599801 Totals: Computer Hardware 231-029-599999 Budget Beginning Balance Ck# 106756 Credit This Period 35,700.00 0.00 Ending Balance 0.00 0.00 0.00 35,700.00 0.00 35,700.00 231-029-599802 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 231-029-599999 Totals: 0.00 0.00 0.00 0.00 0.00 620,024.51 552,587.10 53,478.06 0.00 606,065.16 231-029 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -35,700.00 Debit This Period Page 244 Account Number Description 231-030 231-030-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-030-515000 4/3/2012 4/18/2012 4/30/2012 PR PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 Var: 62,017.73 105,788.80 20,000.00 35,403.55 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 231-030-515500 231-030-515000 Totals: Vacation Pay 231-030-515600 Debit This Period Credit This Period 3,083.02 3,148.46 1,926.52 209.52 0.00 0.00 0.00 0.00 8,367.52 0.00 305.16 234.23 538.53 0.00 0.00 0.00 Ending Balance 105,788.80 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-030-511600 Totals: Overtime 12 12 12 Beginning Balance 20,000.00 0.00 10,252.80 1,077.92 0.00 11,330.72 231-030-515500 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 231-030-515600 Totals: Sick Pay 0.00 0.00 0.00 0.00 0.00 0.00 231-030-515800 231-030-515800 Totals: Oasdi/city Share 6.2% 0.00 7,758.00 0.00 0.00 0.00 0.00 231-030-517000 206.13 205.65 149.33 12.61 0.00 0.00 0.00 0.00 573.72 0.00 48.19 48.08 34.92 2.95 0.00 0.00 0.00 0.00 134.14 0.00 509.97 509.09 371.02 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-030-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-030-517401 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-030-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 Var: 4,412.35 7,758.00 1,803.94 2,771.93 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-030-517001 Totals: Imrf 12 12 12 Var: 8,669.28 43,771.07 Var: 1,021.47 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,803.94 15,004.59 648.33 3,345.65 782.47 Page 245 Account Number 4/30/2012 PR 231-030-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-030-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: 7,783.58 15,004.59 13,767.94 5,799.40 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 31.53 0.00 1,421.61 0.00 728.27 795.81 478.19 27.85 0.00 0.00 0.00 0.00 Ending Balance 7,221.01 231-030-518000 Totals: Liability Insurance Packa Var: 3,304.86 13,767.94 5,666.85 8,432.96 2,030.12 0.00 10,463.08 231-030-518100 231-030-518100 Totals: Unemployment Insurance Var: -396.68 5,666.85 0.00 6,063.53 0.00 0.00 6,063.53 231-030-518200 231-030-518200 Totals: Workers Comp Insurance 0.00 8,282.06 0.00 0.00 0.00 0.00 231-030-518300 231-030-518300 Totals: Mileage 8,282.06 0.00 8,282.06 0.00 0.00 8,282.06 231-030-518700 231-030-518700 Totals: Training And Education 0.00 250.00 0.00 0.00 0.00 0.00 231-030-519000 231-030-519000 Totals: Transfer To General Fund 250.00 0.00 0.00 0.00 0.00 0.00 231-030-520100 4,777.00 0.00 4/30/2012 GL 12 Var: 250.00 269 monthly sewer trans /admin costs 231-030-520100 Totals: Office Supplies Var: -57,324.00 0.00 250.00 52,547.00 4,777.00 0.00 57,324.00 231-030-520200 231-030-520200 Totals: Postage Var: 250.00 250.00 200.00 0.00 0.00 0.00 0.00 231-030-520400 231-030-520400 Totals: Transfer To Capital Proje Var: 200.00 200.00 0.00 0.00 0.00 0.00 0.00 231-030-520445 231-030-520445 Totals: Photographic Supplies 0.00 50.00 0.00 0.00 0.00 0.00 231-030-522000 50.00 0.00 0.00 0.00 0.00 231-030-522000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 50.00 Page 246 Account Number 231-030-522400 4/12/2012 AP 12 4/12/2012 AP 12 Description Budget General Supplies 5,250.00 Beginning Balance 79 10206 - Fourteenth Street Hardware Ck# 106634 rubber float and trowel for manhole repairs 79 10414 - Menard's Ck# 106688 trowel, and mix brush, cement for manhole repairs Debit This Period Credit This Period 38.37 0.00 53.23 0.00 Ending Balance 231-030-522400 Totals: Lease/rental Of Equipment Var: 4,224.94 5,250.00 1,000.00 933.46 91.60 0.00 1,025.06 231-030-524000 231-030-524000 Totals: Equipment Var: 654.00 1,000.00 7,500.00 346.00 0.00 0.00 346.00 231-030-529000 127.64 0.00 1,699.00 0.00 115.80 0.00 1,942.44 0.00 208.86 0.00 0.00 18.96 0.00 208.86 208.86 227.82 234.00 0.00 134.01 0.00 393.38 0.00 152.00 0.00 3,210.00 0.00 902.99 0.00 1,150.00 0.00 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 231-030-534000 231-030-529000 Totals: Automotive Expense 4/26/2012 AP 12 4/26/2012 AP 12 4/2/2012 GL 12 231-030-534400 79 10181 - Fastenal Company Ck# 106631 pipe wrenches for vactor 184 11569 - Eastern Big R Stores, Inc. Ck# 106839 new air compressor for shop area 276 10019 - Altorfer Inc Ck# 107057 johnson bar & probe for sewer repair - wwtp AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 7,500.00 4,500.00 3,466.30 184 11489 - EJ Equipment Ck# 0 received check #020040 for credit remaining 184 11489 - EJ Equipment Ck# 0 credit for scews on camera van 246 credit from ej equipment inc 231-030-534000 Totals: Equipment Repairs 4/12/2012 Var: 2,091.26 Var: 3,659.48 79 10381 - Linden & Co Ck# 106681 spare capacitor relay set for oakwood liftstation 79 10579 - Schwartz Electric Ck# 106722 repair @ oakwood liftstation 184 10083 - Britton Electronics Ck# 106810 repair crescent lift station - wwtp 184 10381 - Linden & Co Ck# 106882 capacitors for oakwood lift station repair 184 10791 - Melton Electric Ck# 106888 repair of pump@state st liftstation 276 10083 - Britton Electronics Ck# 107074 repair rose wood lift station 276 10083 - Britton Electronics Ck# 107074 repair state street lift station GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 4,500.00 20,000.00 859.48 5,408.74 840.52 Page 247 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 231-030-534400 Totals: Tree Removal / Replacemen 231-030-538000 231-030-536000 Totals: Maintenance Agreements 231-030-550100 231-030-538000 Totals: Utilities AP 12 4/26/2012 AP 12 Beginning Balance 276 10083 - Britton Electronics Ck# 107074 repair state street lift station 276 10579 - Schwartz Electric Ck# 107202 repaired liftstation at hickory hills 276 10579 - Schwartz Electric Ck# 107202 rubber sealant and electrical tape to repair rosewood liftstatio 231-030-536000 4/12/2012 Budget Var: 4,430.49 231-030-550100 Totals: Telephone 231-030-551000 228.00 0.00 356.26 0.00 63.51 0.00 Ending Balance 8,745.36 6,824.15 0.00 15,569.51 0.00 0.00 0.00 0.00 0.00 0.00 0.00 25,000.00 0.00 0.00 0.00 0.00 693.46 0.00 770.43 0.00 25,000.00 0.00 17,129.08 1,463.89 0.00 18,592.97 231-030-550300 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 231-030-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 231-030-551600 231-030-551600 Totals: Mealslodging 0.00 0.00 0.00 0.00 0.00 0.00 231-030-554200 231-030-554200 Totals: Radio Expense 0.00 250.00 0.00 0.00 0.00 0.00 231-030-555000 231-030-555000 Totals: Gasoline/diesel Fuel 250.00 2,700.00 0.00 0.00 0.00 0.00 231-030-556100 284.02 0.00 284.02 0.00 4/30/2012 WO 231-030-557300 12 Var: 6,407.03 Credit This Period 20,000.00 0.00 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - all lift stations 184 10021 - Amerencilco Ck# 106797 elec at all liftstations 231-030-550300 Debit This Period Var: 250.00 275 WO Dist Batch IC1 - 00008.04.2012 231-030-556100 Totals: Epa Permits GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,244.73 2,700.00 5,000.00 3,660.71 3,944.73 Page 248 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 5,000.00 100.00 0.00 0.00 0.00 0.00 100.00 0.00 316.00 0.00 0.00 316.00 Ck# 106841 593.75 0.00 Ck# 106841 62.50 0.00 Ck# 106841 125.00 0.00 Ck# 106841 62.50 0.00 Ck# 106841 187.50 0.00 Ck# 106841 62.50 0.00 Ck# 106841 187.50 0.00 Ck# 106841 125.00 0.00 Ck# 106841 93.75 0.00 Ck# 106841 62.50 0.00 Ck# 106841 62.50 0.00 Ck# 106841 93.75 0.00 Ck# 106841 31.25 0.00 Ck# 106841 125.00 0.00 Ck# 106841 62.50 0.00 Ck# 106841 62.50 0.00 2,000.00 0.00 0.00 2,000.00 4,000.00 2,000.00 231-030-557300 Totals: Medical Expense/supplies Var: 5,000.00 231-030-559000 231-030-559000 Totals: Corporate Counsel Fees Var: -216.00 231-030-560600 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/2/2012 4/2/2012 GL GL 12 12 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 01/01/12 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 03/03/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 04/01/2011 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 05/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 06/01/2011 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 07/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 08/01/2011 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 09/01/2009 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 09/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 10/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 10/01/2011 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 11/01/2009 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 11/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 11/01/2010 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 12/01/2009 184 10166 - Elliff, Dancey & Bosich Re: lahood litigations 12/01/2010 257 correct task label and type code 257 correct task label and type code 231-030-560600 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,000.00 0.00 0.00 2,000.00 Page 249 Account Number Description 231-030-561200 Engineering Fees Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 231-030-561200 Totals: Testing Fees And Expenses Var: -7,270.30 0.00 1,000.00 7,270.30 0.00 0.00 7,270.30 231-030-561300 231-030-561300 Totals: Sewer Maintenance And Imp Var: 1,000.00 1,000.00 57,500.00 0.00 0.00 0.00 0.00 231-030-564000 759.00 0.00 750.00 0.00 700.00 0.00 750.00 0.00 750.00 0.00 2,106.75 0.00 924.00 0.00 6,739.75 0.00 Ck# 106826 750.00 0.00 Ck# 106858 750.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 231-030-569000 79 11200 - Leman Precast Ck# 106677 risers & resin seal for cb's and manholes 79 11827 - Holly Goss Ck# 106642 backwater valve for 500 amanda 79 11828 - John Jackson Ck# 106666 backwater valve - 327 catherine 79 11836 - Melba Montgomery Ck# 106693 backwater valve/1315 S. 7th St. 79 11837 - Don Whiteman Ck# 106750 backwater valve/1226 highland 184 10553 - Roanoke Concrete Products Ck# 106922 flowable fill to repair sewer@310 s. capitol 184 10553 - Roanoke Concrete Products Ck# 106922 flowable fill to repair sewer@sherwood & englewood terrace 231-030-564000 Totals: Other Contractual Service 4/26/2012 AP 12 4/26/2012 AP 12 Var: 23,509.58 184 11861 - Mary Lou Connor backwater valve at 1416 morton st 184 11862 - Nicole Grewey backwater valve at 106 s. 12th 231-030-569001 231-030-569000 Totals: Street Maintenance 231-030-569020 27,250.67 33,990.42 25,000.00 0.00 316,313.43 1,500.00 0.00 317,813.43 231-030-569001 Totals: Contract Sewer Operation 0.00 0.00 0.00 0.00 0.00 0.00 231-030-569020 Totals: Purchase Of Property 0.00 0.00 0.00 0.00 0.00 0.00 231-030-580200 231-030-580200 Totals: Building Purchase/constru 0.00 0.00 0.00 0.00 0.00 0.00 231-030-580400 231-030-580400 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -292,813.43 57,500.00 25,000.00 Page 250 Account Number Description 231-030-580401 Building Repair Budget Beginning Balance Debit This Period Credit This Period Ending Balance 10,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 10,000.00 231-030-580600 231-030-580401 Totals: Sewer Construction 231-030-580601 231-030-580600 Totals: Sewer Repair 231-030-580601 Totals: Machinery And Equipment Var: -12,600.40 0.00 150,000.00 12,600.40 0.00 0.00 12,600.40 231-030-587000 231-030-587000 Totals: Office Equipment And Furn Var: 150,000.00 150,000.00 0.00 0.00 0.00 0.00 0.00 231-030-587100 231-030-587100 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 231-030-587500 231-030-587500 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 231-030-599000 231-030-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 231-030-599801 231-030-599801 Totals: Computer Hardware 0.00 0.00 1,800.00 0.00 0.00 1,800.00 231-030-599802 231-030-599802 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 231-030-599900 231-030-599900 Totals: 0.00 0.00 0.00 0.00 0.00 493,622.18 530,892.75 41,436.74 2,227.82 570,101.67 231-030 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 10,000.00 Var: -1,800.00 Page 251 Account Number Description 231-031 231-031-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-031-515000 4/3/2012 4/18/2012 4/30/2012 PR PR PR 231-031-515500 4/18/2012 4/30/2012 PR PR Budget Salary: All Personnel 12 12 12 12 19 123 261 288 12 12 Var: 125,550.20 386,708.40 30,000.00 228,102.51 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-031-515000 Totals: Vacation Pay Debit This Period Credit This Period 10,818.33 10,252.16 10,573.20 1,412.00 0.00 0.00 0.00 0.00 33,055.69 0.00 1,070.06 274.71 349.61 0.00 0.00 0.00 1,694.38 0.00 1,050.00 1,259.60 0.00 0.00 Ending Balance 386,708.40 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-031-511600 Totals: Overtime 12 12 12 Beginning Balance Var: 8,517.15 30,000.00 0.00 19,788.47 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 261,158.20 21,482.85 231-031-515500 Totals: Holiday Pay Var: -34,223.58 0.00 0.00 31,913.98 2,309.60 0.00 34,223.58 231-031-515600 231-031-515600 Totals: Sick Pay Var: -12,567.52 0.00 0.00 12,567.52 0.00 0.00 12,567.52 231-031-515800 514.47 480.64 35,734.66 0.00 0.00 0.00 36,729.77 0.00 757.83 736.41 722.49 107.41 0.00 0.00 0.00 0.00 2,324.14 0.00 177.23 172.22 168.97 25.13 0.00 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 PR PR GL 231-031-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-031-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 12 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 292 haller sick time transfer 231-031-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 0.00 25,835.92 15,459.23 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-031-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -52,189.00 Var: 4,597.47 25,835.92 6,447.27 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 18,914.31 52,189.00 21,238.45 Page 252 Account Number 231-031-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 231-031-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 231-031-517001 Totals: Imrf 12 12 12 12 19 123 261 288 19 123 261 288 Beginning Balance Debit This Period Credit This Period Ending Balance 6,447.27 46,405.01 4,423.53 543.55 0.00 4,967.08 1,866.63 1,814.66 1,780.83 265.12 0.00 0.00 0.00 0.00 5,727.24 0.00 2,458.23 2,458.23 2,458.23 394.79 0.00 0.00 0.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-031-517401 Totals: Group Insurance 12 12 12 12 Var: 1,480.19 Budget Var: 1,789.26 46,405.01 58,630.65 38,888.51 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 231-031-518000 Totals: Liability Insurance Packa Var: -2,787.80 231-031-518100 231-031-518100 Totals: Unemployment Insurance Var: -386.61 231-031-518200 231-031-518300 44,615.75 58,630.65 5,523.00 53,648.97 7,769.48 0.00 61,418.45 5,523.00 0.00 5,909.61 0.00 0.00 5,909.61 231-031-518200 Totals: Workers Comp Insurance 0.00 17,043.06 0.00 0.00 0.00 0.00 231-031-518300 Totals: Mileage 17,043.06 0.00 17,043.06 0.00 0.00 17,043.06 231-031-518700 231-031-518700 Totals: Training And Education 0.00 500.00 0.00 0.00 0.00 0.00 231-031-519000 231-031-519000 Totals: Transfer To General Fund 500.00 0.00 0.00 0.00 0.00 0.00 231-031-520100 4,777.00 0.00 4,777.00 0.00 101.96 0.00 101.96 0.00 4/30/2012 GL 231-031-520200 4/26/2012 AP 231-031-520400 12 269 monthly sewer trans /admin costs 231-031-520100 Totals: Office Supplies 12 Var: 500.00 184 10706 - Will Harms Co cartridges for wwtp 231-031-520200 Totals: Postage GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -57,324.00 0.00 2,000.00 52,547.00 Ck# 106960 Var: 1,476.10 2,000.00 500.00 421.94 57,324.00 523.90 Page 253 Account Number 4/12/2012 AP Description 12 Budget 79 10598 - Ron Sieh lab samples mailed/sieh Beginning Balance Ck# 106728 Debit This Period Credit This Period 6.10 0.00 Ending Balance 231-031-520400 Totals: Photographic Supplies Var: 273.53 500.00 0.00 220.37 6.10 0.00 226.47 231-031-522000 231-031-522000 Totals: Chemical Supplies Var: 578.47 0.00 40,000.00 -578.47 0.00 0.00 -578.47 231-031-522200 Ck# 107073 0.00 700.00 Ck# 107073 1,750.00 0.00 1,750.00 700.00 2,520.00 0.00 2,470.26 0.00 142.85 0.00 20.66 0.00 7.98 0.00 49.99 0.00 18.77 0.00 9.87 0.00 7.49 0.00 21.64 0.00 6.99 0.00 18.77 0.00 9.87 0.00 4/30/2012 AP 12 4/30/2012 AP 12 231-031-522400 276 10077 - Brenntag Mid-South Inc drum return - wwtp 276 10077 - Brenntag Mid-South Inc chlorine supplies - wwtp 231-031-522200 Totals: General Supplies 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: -2,692.37 79 10035 - Ashland Inc Ck# 106587 praestol oil - wwtp 79 10282 - Hydrotex Ck# 106656 55 gal ddisa - wwtp 79 10518 - Praxair Distribution Inc Ck# 106714 oxygen - wwtp 79 10518 - Praxair Distribution Inc Ck# 106714 refills - wwtp 184 10414 - Menard's Ck# 106889 batteries - wwtp 184 10441 - NAPA Auto Parts of Pekin Ck# 106895 hydraulic fluid - wwtp 184 10825 - Nieman Foods Inc Ck# 106897 elbow, tee and connector 184 10825 - Nieman Foods Inc Ck# 106897 caulk 184 11569 - Eastern Big R Stores, Inc. Ck# 106839 suction gun 276 10518 - Praxair Distribution Inc Ck# 107186 cylinders - wwtp 276 10911 - Ace Hardware Ck# 107054 bulbs - wwtp 276 10911 - Ace Hardware Ck# 107054 comp connector, elbow and tee's - wwtp 276 10911 - Ace Hardware Ck# 107054 caulk - wwtp GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 40,000.00 20,500.00 41,642.37 42,692.37 Page 254 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 20,500.00 500.00 38,742.18 5,305.14 0.00 44,047.32 500.00 5,000.00 0.00 0.00 0.00 0.00 Ck# 106580 46.01 0.00 Ck# 106606 8.00 0.00 Ck# 106703 158.24 0.00 Ck# 107087 8.00 0.00 231-031-522400 Totals: Laboratory Expenses Var: -23,547.32 231-031-522600 231-031-522600 Totals: Lease/rental Of Equipment Var: 500.00 231-031-524000 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 79 10005 - A to Z Rental hose fitting - wwtp 79 10110 - Century Springs water cooler rental - wwtp 79 10474 - PDC Services service at fbop pretreatment 276 10110 - Century Springs cooler rental 231-031-524000 Totals: Equipment Var: 522.54 5,000.00 1,200.00 4,257.21 220.25 0.00 4,477.46 231-031-529000 231-031-529000 Totals: Automotive Expense Var: -15,217.27 1,200.00 7,200.00 16,417.27 0.00 0.00 16,417.27 231-031-534000 588.37 0.00 16.68 0.00 83.40 0.00 2,198.14 0.00 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 WO 12 276 10019 - Altorfer Inc Ck# 107057 remove and install sparkplugs - wwtp 276 10019 - Altorfer Inc Ck# 107057 2 filters - wwtp 276 10019 - Altorfer Inc Ck# 107057 10 filters - wwtp 283 WO Dist Batch WO3 - 00001.04.2012 231-031-534000 Totals: Buildings And Grounds Rep Var: -10,789.56 7,200.00 1,500.00 15,102.97 2,886.59 0.00 17,989.56 231-031-534200 231-031-534200 Totals: Equipment Repairs Var: -5,142.00 1,500.00 98,500.00 6,642.00 0.00 0.00 6,642.00 231-031-534400 256.33 0.00 624.00 0.00 382.50 0.00 1,781.60 0.00 1,796.37 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 79 10019 - Altorfer Inc Ck# 106583 repair gear pump - wwtp 79 10083 - Britton Electronics Ck# 106601 failed comunication to the digester bld. - wwtp 79 10861 - Kegley Machine, Inc. Ck# 106671 remove and replace recirculation pump inpeeler - wwtp 184 10019 - Altorfer Inc Ck# 106795 remove & install engine coolant heater - wwtp 184 10019 - Altorfer Inc Ck# 106795 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 255 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Budget repaired cat motor - wwtp 184 10083 - Britton Electronics reinstall the diversion gate - wwtp 184 10083 - Britton Electronics reset power for flowmeter - wwtp 184 10083 - Britton Electronics Debit This Period Credit This Period Ck# 106810 228.00 0.00 Ck# 106810 129.00 0.00 Ck# 106810 2,464.08 0.00 170.00 0.00 422.70 0.00 1,614.00 0.00 4 replacement batteries for ups unit - wwtp 184 10579 - Schwartz Electric Ck# 106926 checked pressure switch on compressor - wwtp 184 10871 - Smith Ecological Systems Inc Ck# 106933 chlorinators - wwtp 276 10083 - Britton Electronics Ck# 107074 controllogix system repair - wwtp 231-031-534400 Totals: Material And Hauling Var: -35,575.69 231-031-535000 231-031-535000 Totals: Snow Removal - Salt And C Var: -240.62 231-031-536300 231-031-536400 231-031-536300 Totals: Sludge Removal 231-031-538000 231-031-536400 Totals: Maintenance Agreements 231-031-550100 231-031-538000 Totals: Utilities 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 Beginning Balance 98,500.00 0.00 124,207.11 9,868.58 0.00 134,075.69 0.00 0.00 240.62 0.00 0.00 240.62 0.00 180,000.00 0.00 0.00 0.00 0.00 Var: 87,120.00 180,000.00 4,500.00 92,880.00 0.00 0.00 92,880.00 Var: 4,416.17 4,500.00 300,000.00 83.83 0.00 0.00 83.83 15,055.95 0.00 2,076.00 0.00 1,096.91 0.00 1,069.70 0.00 27.46 0.00 10,074.62 0.00 1,442.85 0.00 79 10021 - Amerencilco Ck# 106584 elec. & gas at 606 s front st - wwtp 79 10021 - Amerencilco Ck# 106584 elec. & lighting & gas at 606 s front st - wwtp 79 10021 - Amerencilco Ck# 106584 gas at 800 s front st - wwtp 79 10021 - Amerencilco Ck# 106584 gas at 800 s front st - wwtp 79 10021 - Amerencilco Ck# 106584 elec. at 121 n front - wwtp 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - all wwtp properties 276 10021 - Amerencilco Ck# 107058 service at 606 s front st - wwtp GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance Page 256 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 231-031-550300 4/12/2012 AP 276 10291 - IL American Water service at 608 s front st - wwtp 276 10291 - IL American Water service at 2500 s 2nd st 276 10291 - IL American Water service at 606 s front st sewer - wwtp 276 10291 - IL American Water service at 606 s. front st 231-031-550100 Totals: Telephone 12 Budget 79 10685 - Verizon Wireless cell phone for wwtp Debit This Period Credit This Period Ck# 107126 29.16 0.00 Ck# 107126 20.05 0.00 Ck# 107126 464.03 0.00 Ck# 107126 373.16 0.00 31,729.89 0.00 87.14 0.00 Var: 8,361.11 300,000.00 750.00 Beginning Balance 259,909.00 Ck# 106746 Ending Balance 291,638.89 231-031-550300 Totals: Printing And Publications Var: -187.05 750.00 50.00 849.91 87.14 0.00 937.05 231-031-551000 231-031-551000 Totals: Dues And Subscriptions Var: -406.40 50.00 50.00 456.40 0.00 0.00 456.40 231-031-551600 231-031-551600 Totals: Mealslodging Var: 50.00 50.00 0.00 0.00 0.00 0.00 0.00 231-031-554200 231-031-554200 Totals: Uniforms And Tools 0.00 1,550.00 0.00 0.00 0.00 0.00 231-031-554300 136.76 0.00 4/12/2012 AP 12 79 10490 - Pekin Shoe Repair work boots/schaefer - wwtp Ck# 106708 231-031-554300 Totals: Radio Expense Var: 1,019.49 1,550.00 0.00 393.75 136.76 0.00 530.51 231-031-555000 231-031-555000 Totals: Gasoline/diesel Fuel Var: -100.00 0.00 3,400.00 100.00 0.00 0.00 100.00 231-031-556100 231-031-556100 Totals: License And Inspection Fe Var: 3,012.48 3,400.00 0.00 387.52 0.00 0.00 387.52 231-031-557200 231-031-557200 Totals: Epa Permits 0.00 37,500.00 0.00 0.00 0.00 0.00 231-031-557300 231-031-557300 Totals: Medical Expense/supplies 37,500.00 350.00 37,500.00 0.00 0.00 37,500.00 231-031-559000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 257 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 231-031-559000 Totals: Auditing Fees Var: -1,164.88 350.00 5,000.00 1,514.88 0.00 0.00 1,514.88 231-031-560100 231-031-560100 Totals: Corporate Counsel Fees Var: 1,800.00 5,000.00 1,000.00 3,200.00 0.00 0.00 3,200.00 231-031-560600 125.00 0.00 125.00 0.00 4,770.92 0.00 8,910.08 0.00 3,326.00 0.00 105,355.04 0.00 1,031.75 0.00 123,393.79 0.00 Ck# 106702 426.86 0.00 Ck# 106702 1,056.34 0.00 Ck# 106702 187.98 0.00 Ck# 106702 62.01 0.00 Ck# 106901 724.92 0.00 Ck# 107172 727.16 0.00 Ck# 107172 79.00 0.00 3,264.27 0.00 215.00 0.00 4/12/2012 AP 231-031-561200 12 231-031-560600 Totals: Engineering Fees 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 231-031-561300 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/12/2012 AP 79 10473 - PDC Laboratories Inc lab testing - wwtp 79 10473 - PDC Laboratories Inc lab testing - wwtp 79 10473 - PDC Laboratories Inc lab testing - wwtp 79 10473 - PDC Laboratories Inc lab testing - wwtp 184 10473 - PDC Laboratories Inc lab testing - wwtp 276 10473 - PDC Laboratories Inc lab testing - wwtp 276 10473 - PDC Laboratories Inc lab testing - wwtp 231-031-561300 Totals: Pest Control 12 Var: 875.00 1,000.00 225,000.00 0.00 79 10180 - Farnsworth Group Inc Ck# 106630 phase 1 scada gear - wwtp 79 10180 - Farnsworth Group Inc Ck# 106630 phase 2b bidding services - wwtp 79 10180 - Farnsworth Group Inc Ck# 106630 phase 2 loan application - wwtp 79 10180 - Farnsworth Group Inc Ck# 106630 phase 2 construction services - wwtp 276 10180 - Farnsworth Group Inc Ck# 107106 services for iepa loan appl., doc. and agency consultation 231-031-561200 Totals: Testing Fees And Expenses 4/12/2012 231-031-566600 79 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: north pekin lawsuit 2/1/12-2/29/12 79 10251 - Harris Pest Control GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,810,527.70 Var: 15,292.22 Ck# 106646 225,000.00 50,000.00 50,000.00 500.00 1,912,133.91 31,443.51 125.00 2,035,527.70 34,707.78 Page 258 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 500.00 30,000.00 830.49 215.00 0.00 1,045.49 Ck# 106638 133.13 0.00 Ck# 106638 53.38 0.00 Ck# 106817 55.10 0.00 Ck# 106851 55.93 0.00 Ck# 106851 53.38 0.00 Ck# 107112 56.98 0.00 prison, sub station at n. pekin, wwtp and 606 front st 231-031-569000 231-031-566600 Totals: Other Contractual Service 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 79 10213 - G & K Services Inc clean uniforms - wwtp 79 10213 - G & K Services Inc clean uniforms - wwtp 184 10110 - Century Springs water service at wwtp 184 10213 - G & K Services Inc clean uniforms - wwtp 184 10213 - G & K Services Inc clean uniforms - wwtp 276 10213 - G & K Services Inc clean uniforms - wwtp 231-031-569020 231-031-569000 Totals: Contract Sewer Operation 231-031-580400 231-031-569020 Totals: Building Purchase/constru 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 12 Var: -545.49 Var: -48,954.01 30,000.00 0.00 78,546.11 407.90 0.00 78,954.01 0.00 8,000,000.00 0.00 0.00 0.00 0.00 397,467.00 0.00 797,459.40 0.00 779,159.81 0.00 825,017.50 0.00 79 11221 - Williams Brothers Construction Ck# Inc.106753 phase 2A construction 79 11221 - Williams Brothers Construction Ck# Inc.106753 phase 2A construction payrequest 2 79 11221 - Williams Brothers Construction Ck# Inc.106753 phase 1 period ending march 31, 2012 276 11221 - Williams Brothers Construction Ck# Inc.107234 phase 2A construction 231-031-580400 Totals: Machinery And Equipment Var: 565,602.36 231-031-587000 231-031-587000 Totals: Vehicles Var: 1,400.00 231-031-587500 231-031-599000 231-031-587500 Totals: Miscellaneous 231-031-599700 231-031-599000 Totals: Fixed Asset Disposal GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 8,000,000.00 15,000.00 4,635,293.93 2,799,103.71 0.00 7,434,397.64 15,000.00 0.00 13,600.00 0.00 0.00 13,600.00 Var: -10,900.00 0.00 0.00 10,900.00 0.00 0.00 10,900.00 Var: -1,750.00 0.00 0.00 1,750.00 0.00 0.00 1,750.00 Page 259 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 231-031-599801 231-031-599700 Totals: Computer Software 231-031-599801 Totals: Computer Hardware Var: -2,948.90 0.00 0.00 2,948.90 0.00 0.00 2,948.90 231-031-599802 231-031-599802 Totals: Depreciation Expense Var: -19,310.33 0.00 0.00 19,310.33 0.00 0.00 19,310.33 231-031-599900 0.00 0.00 0.00 0.00 0.00 9,608,643.31 7,850,554.74 3,073,532.93 700.00 10,923,387.67 231-031-599900 Totals: 231-031 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 260 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 10,722,290.00 8,934,034.59 3,168,447.73 2,927.82 12,099,554.50 663,810.00 0.00 7,915,820.43 7,915,820.43 0.00 231 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 261 Account Number Description 232 ASSETS 232-000-110201 Budget Equity In Pooled Cash Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 2,773.33 8,347.97 4/18/2012 4/19/2012 PR CR 12 12 0.00 40.00 8,885.58 0.00 4/26/2012 AP 12 123 Computer Checks Batch 2012 04 00008 143 Fund balance entry for fund 232 # 16997 Cash Receipts Batch 23019-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 5,931.99 4/30/2012 4/30/2012 4/30/2012 4/30/2012 PR GL GL PR 12 12 12 12 261 266 269 288 0.00 0.00 0.00 0.00 6,247.87 1,076.13 4,777.00 1,014.25 Computer Checks Batch 2012 05 00009 march work order monthly storm water trans /admin costs Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-000-110201 Totals: Acccounts Receivable 0.00 0.00 -3,071,211.50 40.00 39,054.12 -3,110,225.62 232-000-130100 232-000-130100 Totals: Sewers 0.00 0.00 0.00 0.00 0.00 0.00 232-000-150700 232-000-150700 Totals: Sewer Improvements 0.00 0.00 0.00 0.00 0.00 0.00 232-000-150800 232-000-150800 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 232-000-152000 232-000-152000 Totals: Accum Deprec - Sewers 0.00 0.00 0.00 0.00 0.00 0.00 232-000-155700 232-000-155700 Totals: Accum Deprec - Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 232-000-157000 232-000-157000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -3,071,211.50 40.00 39,054.12 -3,110,225.62 232-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 262 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -3,071,211.50 40.00 39,054.12 -3,110,225.62 0.00 232.67 0.00 232.67 ASSETS Totals: LIABILITIES 232-000-211000 4/30/2012 PR 232-000-219000 Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-000-211000 Totals: Accounts Payable 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 8,347.97 8,347.97 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 5,931.99 5,931.99 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 181.89 232-000-290200 -232.67 232-000-219000 Totals: Retained Earnings 0.00 0.00 0.00 14,279.96 14,461.85 -181.89 232-000-290200 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 14,279.96 14,694.52 -414.56 232-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 263 Account Number Description LIABILITIES Totals: FUND BALANCE 232-000-390100 Fund Balance Beg Year 232-000-390100 Totals: 232-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 14,279.96 14,694.52 -414.56 0.00 2,759,636.47 0.00 0.00 2,759,636.47 0.00 2,759,636.47 0.00 0.00 2,759,636.47 0.00 Page 264 Account Number Description FUND BALANCE Totals: REVENUE 232-232 232-232-428000 Erosion Control 4/19/2012 CR 12 4/19/2012 CR 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 2,759,636.47 0.00 0.00 2,759,636.47 0.00 20.00 0.00 20.00 1,500.00 143 Storm Water Permit Fee Marvin Spiczka # Construction 16996 Cash Receipts Batch 23019-04-2012 143 Storm Water Permit Fee Marvin Spiczka # Construction 16997 Cash Receipts Batch 23019-04-2012 232-232-440100 232-232-428000 Totals: Transfer From General Fund 232-232-459100 232-232-499800 1,500.00 0.00 -660.00 0.00 40.00 -700.00 232-232-440100 Totals: Basic Service Fees 0.00 0.00 0.00 0.00 0.00 0.00 232-232-459100 Totals: Miscellaneous Revenue 0.00 0.00 0.00 0.00 0.00 0.00 232-232-499800 Totals: 0.00 0.00 0.00 0.00 0.00 1,500.00 -660.00 0.00 40.00 -700.00 232-232 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 800.00 Page 265 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,500.00 -660.00 0.00 40.00 -700.00 1,729.24 0.00 5,900.16 4,147.18 817.12 0.00 0.00 0.00 12,593.70 0.00 152.58 190.73 0.00 0.00 EXPENSE 232-232 232-232-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 232-232-515000 4/3/2012 4/18/2012 PR PR 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-232-511600 Totals: Overtime 12 12 105,788.80 19 Computer Checks Batch 2012 04 00007 Var: -3,684.58 105,788.80 15,000.00 96,879.68 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 232-232-515500 232-232-515000 Totals: Vacation Pay 232-232-515600 15,000.00 0.00 14,113.97 343.31 0.00 14,457.28 232-232-515500 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 232-232-515600 Totals: Sick Pay 0.00 0.00 0.00 0.00 0.00 0.00 232-232-515800 232-232-515800 Totals: Oasdi/city Share 6.2% 0.00 6,558.90 0.00 0.00 0.00 0.00 232-232-517000 113.68 369.67 250.96 49.49 0.00 0.00 0.00 0.00 783.80 0.00 26.58 86.44 58.71 11.58 0.00 0.00 0.00 0.00 183.31 0.00 283.21 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 232-232-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 232-232-517401 4/3/2012 PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-232-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 Var: -983.35 6,558.90 1,533.94 6,758.45 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-232-517001 Totals: Imrf 12 Var: 542.72 109,473.38 Var: -230.15 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 1,533.94 12,694.66 1,580.78 7,542.25 1,764.09 Page 266 Account Number 4/18/2012 4/30/2012 4/30/2012 PR PR PR 232-232-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 12 Beginning Balance 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 232-232-517401 Totals: Group Insurance 12 12 12 12 Budget 19 123 261 288 Var: -2,634.74 12,694.66 24,433.90 13,382.39 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 916.67 624.16 122.97 0.00 0.00 0.00 1,947.01 0.00 468.04 1,421.91 1,166.86 245.76 0.00 0.00 0.00 0.00 Ending Balance 15,329.40 232-232-518000 Totals: Liability Insurance Packa Var: 1,255.35 24,433.90 5,666.85 19,875.98 3,302.57 0.00 23,178.55 232-232-518100 232-232-518100 Totals: Workers Comp Insurance Var: -396.68 5,666.85 6,982.06 6,063.53 0.00 0.00 6,063.53 232-232-518300 232-232-518300 Totals: Mileage 6,982.06 0.00 6,982.06 0.00 0.00 6,982.06 232-232-518700 232-232-518700 Totals: Training And Education 0.00 150.00 0.00 0.00 0.00 0.00 232-232-519000 232-232-519000 Totals: Transfer To General Fund 150.00 0.00 149.00 0.00 0.00 149.00 232-232-520100 4,777.00 0.00 4/30/2012 GL 12 Var: 1.00 269 monthly storm water trans /admin costs 232-232-520100 Totals: Office Supplies Var: -57,324.00 0.00 100.00 52,547.00 4,777.00 0.00 57,324.00 232-232-520200 232-232-520200 Totals: Postage Var: 100.00 100.00 150.00 0.00 0.00 0.00 0.00 232-232-520400 232-232-520400 Totals: Photographic Supplies Var: 150.00 150.00 0.00 0.00 0.00 0.00 0.00 232-232-522000 232-232-522000 Totals: General Supplies 0.00 11,700.00 0.00 0.00 0.00 0.00 232-232-522400 9.46 0.00 45.46 0.00 4/12/2012 AP 12 4/26/2012 AP 12 79 10414 - Menard's Ck# 106688 concrete to fix cb@willow & maywood 184 10181 - Fastenal Company Ck# 106843 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 267 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 11,700.00 2,500.00 2,694.18 54.92 0.00 2,749.10 threadlocker for sweeper & shop 232-232-522400 Totals: Lease/rental Of Equipment Var: 8,950.90 232-232-524000 232-232-524000 Totals: Equipment Var: 995.00 2,500.00 0.00 1,505.00 0.00 0.00 1,505.00 232-232-529000 232-232-529000 Totals: Automotive Expense Var: -725.96 0.00 25,000.00 725.96 0.00 0.00 725.96 232-232-534000 68.40 0.00 18.47 0.00 3.80 0.00 4,544.77 0.00 201.24 0.00 102.42 0.00 848.75 0.00 43.78 0.00 459.06 0.00 9.16 0.00 307.50 0.00 2.74 0.00 213.79 0.00 1,076.13 1.94 0.00 0.00 10.60 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 79 10181 - Fastenal Company Ck# 106631 eagle sweeper drill bit, taper tap - solid waste dept 79 10181 - Fastenal Company Ck# 106631 bolt for eagle sweeper - solid waste dept 79 10206 - Fourteenth Street Hardware Ck# 106634 nuts and bolts for sweeper - solid waste dept 79 10353 - Key Equipment Ck# 106672 dirt shoe, tow bar and misc for eagle sweeper 79 10353 - Key Equipment Ck# 106672 plate and adjustment rod for eagle sweeper 79 10353 - Key Equipment Ck# 106672 quick connection fitting for eagle sweeper 79 10353 - Key Equipment Ck# 106672 motor for eagle sweeper 79 10353 - Key Equipment Ck# 106672 curtain cover for eagle sweeper 79 10353 - Key Equipment Ck# 106672 4/12/2012 AP 12 79 4/12/2012 AP 12 79 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/30/2012 4/30/2012 GL AP 12 12 266 276 4/30/2012 AP 12 276 valve--cooler bypass for eagle sweeper 10441 - NAPA Auto Parts of Pekin Ck# 106694 unut for eagle sweeper 10861 - Kegley Machine, Inc. Ck# 106671 cleats and flange repair for street sweeper 10181 - Fastenal Company Ck# 106843 bolts for sweepers 10353 - Key Equipment Ck# 106875 leveling valve (rh) for eagle sweeper march work order 10206 - Fourteenth Street Hardware Ck# 107111 nuts & bolts for sweeper 11569 - Eastern Big R Stores, Inc. Ck# 107101 plugs for sweeper GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 268 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 25,000.00 500.00 25,569.37 7,912.55 0.00 33,481.92 232-232-534000 Totals: Equipment Repairs Var: -8,481.92 232-232-534400 232-232-534400 Totals: Material And Hauling Var: -157.89 500.00 0.00 657.89 0.00 0.00 657.89 232-232-535000 232-232-535000 Totals: Radio Expense Var: -112.50 0.00 500.00 112.50 0.00 0.00 112.50 232-232-555000 232-232-555000 Totals: Gasoline/diesel Fuel Var: -36.25 500.00 3,600.00 536.25 0.00 0.00 536.25 232-232-556100 232-232-556100 Totals: Epa Permits Var: 3,600.00 3,600.00 1,000.00 0.00 0.00 0.00 0.00 232-232-557300 232-232-557300 Totals: Corporate Counsel Fees 1,000.00 0.00 1,000.00 0.00 0.00 1,000.00 232-232-560600 232-232-560600 Totals: Il-amer Ww Billing Charge 0.00 0.00 0.00 0.00 0.00 0.00 232-232-560701 232-232-560701 Totals: Engineering Fees 0.00 5,000.00 0.00 0.00 0.00 0.00 232-232-561200 232-232-561200 Totals: Drainage Improvements 5,000.00 75,000.00 6,726.73 0.00 0.00 6,726.73 232-232-564100 Ck# 106647 972.16 0.00 Ck# 106677 759.00 0.00 risers & resin seal for cb's and manholes 276 11426 - Quikrete Companies Ck# 107189 concrete for cb repair 169.35 0.00 1,900.51 0.00 5,670.00 0.00 5,670.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/30/2012 AP 232-232-569000 4/26/2012 AP 232-232-580600 12 79 10255 - HD Supply Waterworks storm line for sherwood st. 79 11200 - Leman Precast 232-232-564100 Totals: Other Contractual Service 12 Var: -1,726.73 Var: 54,344.97 75,000.00 52,500.00 18,754.52 184 10695 - Wayne Litwiller Excavating Inc Ck# 106954 clean out industrial park retention pond 232-232-569000 Totals: Sewer Construction GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 14,010.21 52,500.00 0.00 32,819.79 20,655.03 38,489.79 Page 269 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 232-232-580600 Totals: Sewer Repair 0.00 25,000.00 0.00 0.00 0.00 0.00 232-232-580601 232-232-580601 Totals: Drainage District Assessm Var: 25,000.00 25,000.00 3,000.00 0.00 0.00 0.00 0.00 232-232-585400 232-232-585400 Totals: Machinery And Equipment Var: 200.00 3,000.00 0.00 2,800.00 0.00 0.00 2,800.00 232-232-587000 232-232-587000 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 232-232-587500 232-232-587500 Totals: lien filing & release fees 0.00 0.00 0.00 0.00 0.00 0.00 232-232-593300 232-232-593300 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 232-232-599802 232-232-599802 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 232-232-599900 232-232-599900 Totals: Capital Set Aside 0.00 0.00 0.00 0.00 0.00 0.00 232-232-599998 232-232-599998 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 232-232-599999 232-232-599999 Totals: 0.00 0.00 0.00 0.00 0.00 384,359.11 312,235.03 39,468.68 0.00 351,703.71 232-232 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 270 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 384,359.11 312,235.03 39,468.68 0.00 351,703.71 -382,859.11 0.00 53,788.64 53,788.64 0.00 232 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 271 Account Number Description 240 ASSETS 240-000-110200 Operating Account 4/11/2012 CR 12 4/2/2012 4/2/2012 4/30/2012 4/30/2012 GL GL GL GL 12 12 12 12 240-000-110201 Budget Beginning Balance Credit This Period 69,000.00 0.00 0.00 0.00 0.00 2,120.66 2,525.52 5,931.99 4,582.13 0.00 71,120.66 13,039.64 0.00 0.00 2,368,292.30 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 2,525.52 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 10,514.12 4/2/2012 4/2/2012 4/30/2012 GL GL GL 12 12 12 234 a/p 4/13/12 255 a/p 4/27/12 266 corr 4-26 ap je 2,525.52 5,931.99 4,582.13 0.00 0.00 0.00 13,039.64 13,039.64 0.00 69,000.00 68,358.06 0.00 0.21 0.00 240-000-115000 240-000-110201 Totals: Iptip 4/11/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Ending Balance 0.00 67 IPTIP Trans MFT IPTIP TRANSFER/4-5-12 # 16765 Cash Receipts Batch 50411-04-2012 234 a/p 4/13/12 255 a/p 4/27/12 266 corr 4-26 ap je 289 apr int 240-000-110200 Totals: Equity In Pooled Cash Debit This Period 0.00 0.00 0.00 67 IPTIP Trans MFT IPTIP TRANSFER/4-5-12 # 16765 Cash Receipts Batch 50411-04-2012 217 IPTIP Motor Fuel APRIL IPTIP # 17390 Cash Receipts Batch 50202-04-2012 217 Iptip Interest APRIL IPTIP # 17390 Cash Receipts Batch 50202-04-2012 2,426,373.32 0.00 240-000-115000 Totals: Treasury Bill 0.00 0.00 998.28 68,358.27 69,000.00 356.55 240-000-120500 240-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 240-000-120600 240-000-120600 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 240-000-130100 240-000-130100 Totals: Other Taxes Receivable 0.00 0.00 0.00 0.00 0.00 0.00 240-000-130600 240-000-130600 Totals: 0.00 69,878.12 0.00 0.00 69,878.12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 272 Account Number Description 240-000-132000 Other Receivables 240-000-140261 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 240-000-132000 Totals: Due From Hud 0.00 0.00 0.00 0.00 0.00 0.00 240-000-140261 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 2,439,168.70 152,518.57 95,079.28 2,496,607.99 240-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 273 Account Number Description ASSETS Totals: LIABILITIES 240-000-211000 240-000-219000 Accrued Wages 240-000-211000 Totals: Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 2,439,168.70 152,518.57 95,079.28 2,496,607.99 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 2,525.52 2,525.52 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 10,514.12 10,514.12 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 108,423.50 240-000-219000 Totals: Deferred Tax Revenue 0.00 0.00 0.00 13,039.64 121,463.14 -108,423.50 240-000-219400 240-000-219400 Totals: Due To Accounts Payable I 0.00 0.00 0.00 0.00 0.00 0.00 240-000-220677 240-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 240-000-220688 240-000-220688 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 13,039.64 121,463.14 -108,423.50 240-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 274 Account Number Description LIABILITIES Totals: FUND BALANCE 240-000-390100 240-000-390101 Fund Balance Beg Year Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 13,039.64 121,463.14 -108,423.50 0.00 240-000-390100 Totals: Prior Years Correction 0.00 0.00 -2,630,513.76 0.00 0.00 -2,630,513.76 240-000-390101 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -2,630,513.76 0.00 0.00 -2,630,513.76 240-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 275 Account Number Description FUND BALANCE Totals: REVENUE 240-240 240-240-414000 4/30/2012 CR Illinois Motor Fuel Tax 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -2,630,513.76 0.00 0.00 -2,630,513.76 0.00 68,358.06 997,000.00 217 IPTIP Motor Fuel APRIL IPTIP Cash Receipts Batch 50202-04-2012 # 17390 240-240-414000 Totals: Traffic Lgt Maint Reimb Var: 152,535.95 240-240-435200 997,000.00 0.00 -776,105.99 0.00 68,358.06 -844,464.05 240-240-435200 Totals: Transfer From General Fund Var: -6,725.69 240-240-440100 0.00 0.00 -6,725.69 0.00 0.00 -6,725.69 240-240-440261 240-240-440100 Totals: Transfer From Hud #2 0.00 0.00 0.00 0.00 0.00 0.00 240-240-440261 Totals: Transfer from Capital 0.00 0.00 0.00 0.00 0.00 0.00 240-240-440445 240-240-440445 Totals: Federal Grants 0.00 777,368.00 0.00 0.00 0.00 0.00 240-240-442500 240-240-442500 Totals: State Grants Var: 777,368.00 777,368.00 0.00 0.00 0.00 0.00 0.00 240-240-442600 240-240-442600 Totals: Franchise Fee - Cilco Var: -160,360.00 0.00 130,000.00 -160,360.00 0.00 0.00 -160,360.00 240-240-455001 240-240-455001 Totals: Late Payment Penalty Var: 130,000.00 130,000.00 0.00 0.00 0.00 0.00 0.00 240-240-463500 240-240-463500 Totals: Interest Charges 0.00 0.00 0.00 0.00 0.00 0.00 240-240-463600 240-240-463600 Totals: Interest Earnings 0.00 40,000.00 0.00 0.00 0.00 0.00 240-240-490100 0.00 0.21 0.00 2,120.66 0.00 2,120.87 4/30/2012 CR 12 4/30/2012 GL 12 217 Iptip Interest APRIL IPTIP Cash Receipts Batch 50202-04-2012 289 apr int 240-240-490100 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 17390 Var: 12,162.62 40,000.00 -25,716.51 -27,837.38 Page 276 Account Number Description 240-240-490200 Gain On Securities Sold 240-240-491900 240-240-490200 Totals: Incr/decr Investment Valu 240-240-499800 240-240-491900 Totals: Miscellaneous Receipts 240-240-499800 Totals: 240-240 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 40,000.00 0.00 0.00 0.00 0.00 40,000.00 0.00 0.00 0.00 0.00 1,984,368.00 -968,908.19 0.00 70,478.93 -1,039,387.12 0.00 Var: 40,000.00 Page 277 Account Number EXPENSE 240-240 240-240-511600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,984,368.00 -968,908.19 0.00 70,478.93 -1,039,387.12 Salary: All Personnel 0.00 240-240-511600 Totals: Vacation Pay 0.00 0.00 0.00 0.00 0.00 0.00 240-240-515500 240-240-515500 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 240-240-515600 240-240-515600 Totals: Sick Pay 0.00 0.00 0.00 0.00 0.00 0.00 240-240-515800 240-240-515800 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 240-240-517000 240-240-517000 Totals: Medicare/city Share 1.45% 0.00 0.00 0.00 0.00 0.00 0.00 240-240-517001 240-240-517001 Totals: Imrf 0.00 0.00 0.00 0.00 0.00 0.00 240-240-517401 240-240-517401 Totals: Workers Comp Insurance 0.00 0.00 0.00 0.00 0.00 0.00 240-240-518300 240-240-518300 Totals: Transfer To General Fund 0.00 0.00 0.00 0.00 0.00 0.00 240-240-520100 240-240-520100 Totals: Transfer To Capital Proje 0.00 1,200,000.00 0.00 0.00 0.00 0.00 240-240-520445 240-240-520445 Totals: General Supplies Var: 1,200,000.00 1,200,000.00 0.00 0.00 0.00 0.00 0.00 240-240-522400 240-240-522400 Totals: Traffic / Street Signs An Var: -25.84 0.00 15,000.00 25.84 0.00 0.00 25.84 240-240-523000 240-240-523000 Totals: Equipment Var: 3,035.62 15,000.00 0.00 11,964.38 0.00 0.00 11,964.38 240-240-529000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 278 Account Number 240-240-532000 Description 240-240-529000 Totals: Electronic Equipment Main 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: -1,361.70 276 10367 - Laser Electric Inc Ck# 107141 change green and yellow led's 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & capitol 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 2nd & koch 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at margaret & 5th 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at broadway & 14th 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & mall entrance 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at cout & 8th st 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 29 & 3rd 276 10367 - Laser Electric Inc Ck# 107141 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 signal maintenance at capitol & margaret 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 8th and sheridan 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & capitol 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 1th & court 10367 - Laser Electric Inc Ck# 107141 signal maintenance at broadway & court/margaret 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & valle vista 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & 14th 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 3rd & ann eliza 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 5th & ann eliza 10367 - Laser Electric Inc Ck# 107141 signal maintenance at 8th & broadway 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & barney 10367 - Laser Electric Inc Ck# 107141 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 15,000.00 1,361.70 0.00 0.00 1,361.70 528.25 0.00 284.72 0.00 234.61 0.00 234.61 0.00 185.49 0.00 284.72 0.00 206.00 0.00 234.61 0.00 471.46 0.00 689.40 0.00 854.20 0.00 852.12 0.00 471.46 0.00 748.30 0.00 695.34 0.00 523.55 0.00 624.24 0.00 471.46 0.00 677.67 0.00 523.55 0.00 Page 279 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 signal maintenance at court & allentown rd 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at broadway & 11th 240-240-532000 Totals: Sidewalk Renovation / Ins 240-240-535000 240-240-534900 Totals: Material And Hauling AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Beginning Balance signal maintenance at court & 8th 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at court & 10th 276 10367 - Laser Electric Inc Ck# 107141 signal maintenance at parkway & uaw 276 10367 - Laser Electric Inc Ck# 107141 240-240-534900 4/12/2012 Budget Var: -17,635.08 Debit This Period Credit This Period 810.60 0.00 1,132.78 0.00 689.40 0.00 874.39 0.00 Ending Balance 15,000.00 0.00 19,332.15 13,302.93 0.00 32,635.08 0.00 50,000.00 0.00 0.00 0.00 0.00 2,332.93 0.00 450.00 0.00 434.25 0.00 79 10528 - R A Cullinan Ck# 106716 gravel ca-6 184 11264 - Tazewell County Asphalt Co. Inc. Ck# 106941 bituminous surface - mft 276 10551 - River City Supply Ck# 107194 hot mix for street repair 240-240-535000 Totals: Tree Removal / Replacemen Var: 5,823.38 50,000.00 130,000.00 40,959.44 3,217.18 0.00 44,176.62 240-240-536000 240-240-536000 Totals: Snow Removal - Salt And C Var: 76,002.00 130,000.00 130,000.00 53,998.00 0.00 0.00 53,998.00 240-240-536300 42,764.80 0.00 28,724.61 0.00 23,163.16 0.00 94,652.57 0.00 139.36 0.00 9,261.73 0.00 9,401.09 0.00 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 240-240-550500 276 11866 - North American Salt CompanyCk# 107166 salt delivered april 25, 2012 276 11866 - North American Salt CompanyCk# 107166 salt delivered april 26, 2012 276 11866 - North American Salt CompanyCk# 107166 salt delivered april 27, 2012 240-240-536300 Totals: Electricity For Street Li 4/12/2012 AP 12 4/26/2012 AP 12 Var: -19,096.63 130,000.00 265,000.00 54,444.06 79 10021 - Amerencilco Ck# 106584 elec at 500 petri ln metered street lights 184 10021 - Amerencilco Ck# 106797 all street lights 240-240-550500 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 163,199.43 265,000.00 92,399.48 149,096.63 101,800.57 Page 280 Account Number Description 240-240-550600 Budget Electricity For Signal Li 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period 33.92 0.00 19.31 0.00 802.39 0.00 33.75 0.00 Ending Balance 15,000.00 79 10021 - Amerencilco Ck# 106584 elec at 101 s. parkway dr 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - 101 s parkway dr 184 10021 - Amerencilco Ck# 106797 elec at all public property 276 10021 - Amerencilco Ck# 107058 service at 101 s parkway dr 240-240-550600 Totals: Engineering Fees Var: 4,434.10 15,000.00 180,000.00 9,676.53 889.37 0.00 10,565.90 240-240-561200 240-240-561200 Totals: Testing Fees And Expenses Var: 100,334.79 180,000.00 5,000.00 79,665.21 0.00 0.00 79,665.21 240-240-561300 240-240-561300 Totals: Testing - Street Maintena Var: 5,000.00 5,000.00 0.00 0.00 0.00 0.00 0.00 240-240-561301 240-240-561301 Totals: Contract Construction 0.00 0.00 0.00 0.00 0.00 0.00 240-240-563000 240-240-563000 Totals: Drainage Improvements 0.00 0.00 493,651.36 0.00 0.00 493,651.36 240-240-564100 240-240-564100 Totals: Other Contractual Service 0.00 20,000.00 0.00 0.00 0.00 0.00 240-240-569000 240-240-569000 Totals: Street Maintenance Var: 3,239.69 20,000.00 200,000.00 16,760.31 0.00 0.00 16,760.31 240-240-569001 240-240-569001 Totals: Purchase Of Property Var: 16,577.53 200,000.00 0.00 183,422.47 0.00 0.00 183,422.47 240-240-580200 240-240-580200 Totals: Street Construction Var: -2,800.00 0.00 1,300,000.00 2,800.00 0.00 0.00 2,800.00 240-240-580500 240-240-580500 Totals: Bank Charges Var: 1,200,222.68 1,300,000.00 0.00 99,777.32 0.00 0.00 99,777.32 240-240-590600 240-240-590600 Totals: Var: -15.00 0.00 15.00 0.00 0.00 15.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -493,651.36 Page 281 Account Number Description 240-240-599000 Miscellaneous 240-240-599999 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 240-240-599000 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 240-240-599999 Totals: 0.00 0.00 0.00 0.00 0.00 3,525,000.00 1,160,253.25 121,463.14 0.00 1,281,716.39 240-240 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 282 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 3,525,000.00 1,160,253.25 121,463.14 0.00 1,281,716.39 -1,540,632.00 0.00 287,021.35 287,021.35 0.00 240 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 283 Account Number Description 261 ASSETS 261-000-110100 Petty Cash - Administratn 261-000-110200 261-000-110100 Totals: Operating Account 4/11/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL 12 12 12 12 12 12 12 12 261-000-110201 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 8,477.39 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 3,041.50 2,905.55 6,252.65 2,905.52 95.20 1.35 679.78 57.90 0.00 11,518.89 12,897.95 0.00 0.00 0.00 68 Drawdown Administration HUD DRAWDOWN/#5409083 # 16773 Cash Receipts Batch 50511-04-2012 226 ppe 3/31/12 234 a/p 4/13/12 240 ppe 4/14/12 255 a/p 4/27/12 260 april 2012 postage 266 corr 4-13 ap je 279 april office supplies 282 chg coding march hud work 261-000-110200 Totals: Equity In Pooled Cash 0.00 0.00 -569,227.18 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 4,298.13 8,373.99 4/13/2012 AP 12 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 0.00 679.78 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 4,298.13 155.20 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL PR GL PR 12 12 12 12 12 12 12 226 234 240 255 261 266 288 4,298.13 8,373.99 4,298.13 155.20 0.00 679.78 0.00 0.00 0.00 0.00 0.00 4,298.13 0.00 428.54 17,805.23 22,531.90 83.10 0.00 524.58 0.00 261-000-110209 ppe 3/31/12 a/p 4/13/12 ppe 4/14/12 a/p 4/27/12 Computer Checks Batch 2012 05 00009 corr 4-13 ap je Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-000-110201 Totals: Edfap Loan Program Income 4/5/2012 CR 12 4/5/2012 CR 12 41 EDFAP 2 Loan Interest Hanger 3 14th Street # 16672 Hardware Cash Receipts Batch 24405-04-2012 41 EDFAP 2 Loan Payments Hanger 3 14th # Street 16672 Hardware Cash Receipts Batch 24405-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -570,606.24 -4,726.67 Page 284 Account Number 4/30/2012 GL 261-000-110212 4/2/2012 4/30/2012 GL GL 261-000-110213 Description 12 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/20/2012 CR 12 0.00 0.00 310,905.76 255 a/p 4/27/12 289 home drawdown 261-000-110212 Totals: Hud Rehab Loans 4/4/2012 Beginning Balance 267 corr coding sks pizza 261-000-110209 Totals: Home 12 12 Budget 18 Rehab Loan Payments Frances Castellani # 16628 Cash Receipts Batch 24304-04-2012 18 Rehab Loan Interest Rosemary Whittenburg # 16629 Cash Receipts Batch 24304-04-2012 18 Rehab Loan Payments Rosemary Whittenburg # 16629 Cash Receipts Batch 24304-04-2012 41 Rehab Loan Payments John & Joan Barwick # 16667 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Gaylene Grebner# 16668 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Interest Gloria Harper # 16669 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Gloria Harper # 16669 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Interest Salome Martin # 16671 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Salome Martin # 16671 Cash Receipts Batch 24405-04-2012 68 Drawdown Rehab HUD DRAWDOWN/#5409083 # 16773 Cash Receipts Batch 50511-04-2012 70 Rehab Loan Interest Kelly Pennell # 16775 Cash Receipts Batch 24411-04-2012 70 Rehab Loan Payments Kelly Pennell # 16775 Cash Receipts Batch 24411-04-2012 70 Rehab Loan Interest SKS Pizza, Inc Fire# House 16776Pizza Cash Receipts Batch 24411-04-2012 70 Rehab Loan Payments SKS Pizza, Inc Fire # 16776 House Pizza Cash Receipts Batch 24411-04-2012 82 Rehab Loan Interest Jamie & Vicki Bennett # 16825 Cash Receipts Batch 24412-04-2012 82 Rehab Loan Payments Jamie & Vicki Bennett # 16825 Cash Receipts Batch 24412-04-2012 151 Rehab Loan Payments Dawn Morey (Lamb) # 17067 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 3,419.56 Debit This Period Credit This Period 789.72 0.00 1,397.40 0.00 0.00 8,614.49 60.00 0.00 8,614.49 60.00 51.54 0.00 18.05 0.00 91.95 0.00 100.00 0.00 400.00 0.00 20.28 0.00 80.51 0.00 9.38 0.00 84.86 0.00 5,013.65 0.00 19.10 0.00 130.90 0.00 180.33 0.00 789.72 0.00 32.32 0.00 147.68 0.00 120.00 0.00 Ending Balance 312,303.16 11,974.05 Page 285 Account Number 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL Description 12 12 12 12 12 12 12 226 234 240 260 267 267 289 Budget Beginning Balance Cash Receipts Batch 24420-04-2012 ppe 3/31/12 a/p 4/13/12 ppe 4/14/12 april 2012 postage corr coding sks pizza back out march je/enter nsf/maxy maxey pmt backed out twice Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 45.00 1,392.58 2,121.34 1,392.61 0.65 789.72 93.00 0.00 Ending Balance 261-000-110213 Totals: Acccounts Receivable 0.00 0.00 205,575.35 7,335.27 5,789.90 207,120.72 261-000-130100 261-000-130100 Totals: Grant Receivable 0.00 0.00 0.00 0.00 0.00 0.00 261-000-130300 261-000-130300 Totals: Edloans Receivable 0.00 0.00 0.00 0.00 0.00 0.00 261-000-135700 261-000-135700 Totals: Edfap Revolving Loans 0.00 0.00 30,868.05 0.00 0.00 30,868.05 261-000-135800 0.00 524.58 0.00 789.72 0.00 1,314.30 0.00 51.54 0.00 91.95 0.00 100.00 0.00 400.00 0.00 80.51 0.00 84.86 0.00 130.90 0.00 789.72 4/5/2012 CR 12 4/30/2012 GL 12 261-000-136100 41 EDFAP 2 Loan Payments Hanger 3 14th # Street 16672 Hardware Cash Receipts Batch 24405-04-2012 267 corr coding sks pizza 261-000-135800 Totals: Rehab Loans Receivable 4/4/2012 CR 12 4/4/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 18 Rehab Loan Payments Frances Castellani # 16628 Cash Receipts Batch 24304-04-2012 18 Rehab Loan Payments Rosemary Whittenburg # 16629 Cash Receipts Batch 24304-04-2012 41 Rehab Loan Payments John & Joan Barwick # 16667 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Gaylene Grebner# 16668 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Gloria Harper # 16669 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Payments Salome Martin # 16671 Cash Receipts Batch 24405-04-2012 70 Rehab Loan Payments Kelly Pennell # 16775 Cash Receipts Batch 24411-04-2012 70 Rehab Loan Payments SKS Pizza, Inc Fire # 16776 House Pizza Cash Receipts Batch 24411-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 92,595.31 91,281.01 Page 286 Account Number Description 4/12/2012 CR 12 4/20/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 GL GL GL 12 12 12 Budget Beginning Balance 82 Rehab Loan Payments Jamie & Vicki Bennett # 16825 Cash Receipts Batch 24412-04-2012 151 Rehab Loan Payments Dawn Morey (Lamb) # 17067 Cash Receipts Batch 24420-04-2012 267 corr coding sks pizza 267 back out march je/enter nsf/maxy 289 maxey pmt backed out twice Debit This Period Credit This Period 0.00 147.68 0.00 120.00 789.72 93.00 0.00 0.00 0.00 45.00 Ending Balance 261-000-136100 Totals: Forgivable Loans 0.00 0.00 1,113,068.02 882.72 2,042.16 1,111,908.58 261-000-136400 261-000-136400 Totals: Due From General Fund 0.00 0.00 102,797.25 0.00 0.00 102,797.25 261-000-140100 261-000-140100 Totals: Due From Economic Develop 0.00 0.00 0.00 0.00 0.00 0.00 261-000-140570 261-000-140570 Totals: Prepaid Expense 0.00 0.00 0.00 0.00 0.00 0.00 261-000-180000 261-000-180000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 1,290,002.12 47,554.00 44,636.21 1,292,919.91 261-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 287 Account Number Description ASSETS Totals: LIABILITIES 261-000-211000 261-000-219000 Accrued Wages 261-000-211000 Totals: Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 1,290,002.12 47,554.00 44,636.21 1,292,919.91 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 8,373.99 8,373.99 0.00 4/13/2012 4/13/2012 AP AP 12 12 89 AP Invoice Batch 00004-04-2012 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 0.00 679.78 679.78 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 155.20 155.20 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 1,794.42 261-000-219000 Totals: Deferred Hud Loan Income 0.00 0.00 0.00 9,208.97 11,003.39 -1,794.42 261-000-219450 261-000-219450 Totals: Deferred Forgivable Loans 0.00 0.00 66,261.30 0.00 0.00 66,261.30 261-000-219475 261-000-219475 Totals: Due To General Fund 0.00 0.00 8,550.00 0.00 0.00 8,550.00 261-000-220100 261-000-220100 Totals: Due To Motor Fuel Tax Fun 0.00 0.00 0.00 0.00 0.00 0.00 261-000-220240 261-000-220240 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 74,811.30 9,208.97 11,003.39 73,016.88 261-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 288 Account Number Description LIABILITIES Totals: FUND BALANCE 261-000-390100 Fund Balance Beg Year 261-000-390100 Totals: 261-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 74,811.30 9,208.97 11,003.39 73,016.88 0.00 -1,351,698.42 0.00 0.00 -1,351,698.42 0.00 -1,351,698.42 0.00 0.00 -1,351,698.42 0.00 Page 289 Account Number Description FUND BALANCE Totals: REVENUE 261-261 261-261-440570 261-261-446100 4/11/2012 CR Transfer From Economic De Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -1,351,698.42 0.00 0.00 -1,351,698.42 0.00 0.00 0.00 0.00 0.00 8,477.39 0.00 261-261-440570 Totals: Grant Income 12 Budget 0.00 212,228.00 68 Drawdown Administration HUD DRAWDOWN/#5409083 # 16773 Cash Receipts Batch 50511-04-2012 261-261-446100 Totals: Program Income Var: -3,556.72 212,228.00 54,444.00 -207,307.33 0.00 8,477.39 -215,784.72 261-261-446200 261-261-446200 Totals: Var: 54,444.00 Hud Edfap2 Program Income 54,444.00 0.00 0.00 0.00 0.00 0.00 261-261-446900 261-261-446900 Totals: Loan Application Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-450900 261-261-450900 Totals: Lead Testing Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-451500 261-261-451500 Totals: Interest Earnings 0.00 0.00 0.00 0.00 0.00 0.00 261-261-490100 261-261-490100 Totals: Loan Interest 0.00 0.00 -478.57 0.00 0.00 -478.57 261-261-490101 261-261-490101 Totals: Repayment/hud Rehab Grant 0.00 0.00 0.00 0.00 0.00 0.00 261-261-491400 261-261-491400 Totals: Non Sufficient Funds Fee 0.00 0.00 0.00 0.00 0.00 0.00 261-261-498900 261-261-498900 Totals: Sale Of Bid Packages 0.00 0.00 0.00 0.00 0.00 0.00 261-261-499500 261-261-499500 Totals: Hud Performance Bonds 0.00 0.00 0.00 0.00 0.00 0.00 261-261-499510 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -478.57 Page 290 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 261-261-499510 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 261-261-499800 261-261-499800 Totals: Cash Over/short 0.00 0.00 0.00 0.00 0.00 0.00 261-261-499802 261-261-499802 Totals: 0.00 0.00 0.00 0.00 0.00 266,672.00 -207,785.90 0.00 8,477.39 -216,263.29 261-261 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 291 Account Number Description 261-262 261-262-440100 Transfer From General Fund 261-262-446100 261-262-440100 Totals: Grant Income 261-262-499800 261-262-446100 Totals: Miscellaneous Receipts 261-262-499800 Totals: 261-262 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 40,000.00 0.00 0.00 0.00 0.00 40,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 40,000.00 0.00 0.00 0.00 0.00 0.00 Var: 40,000.00 Page 292 Account Number 261-263 261-263-446100 4/11/2012 CR 261-263-490101 12 Budget Grant Income 146,000.00 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 Beginning Balance 68 Drawdown Rehab HUD DRAWDOWN/#5409083 # 16773 Cash Receipts Batch 50511-04-2012 261-263-446100 Totals: Loan Interest 4/4/2012 261-263-499800 Description Var: 10,070.34 146,000.00 0.00 -130,916.01 18 Rehab Loan Interest Rosemary Whittenburg # 16629 Cash Receipts Batch 24304-04-2012 41 Rehab Loan Interest Gloria Harper # 16669 Cash Receipts Batch 24405-04-2012 41 Rehab Loan Interest Salome Martin # 16671 Cash Receipts Batch 24405-04-2012 70 Rehab Loan Interest Kelly Pennell # 16775 Cash Receipts Batch 24411-04-2012 70 Rehab Loan Interest SKS Pizza, Inc Fire# House 16776Pizza Cash Receipts Batch 24411-04-2012 82 Rehab Loan Interest Jamie & Vicki Bennett # 16825 Cash Receipts Batch 24412-04-2012 261-263-490101 Totals: Miscellaneous Receipts 261-263-499800 Totals: 261-263 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,290.42 Debit This Period Credit This Period 0.00 5,013.65 0.00 5,013.65 0.00 18.05 0.00 20.28 0.00 9.38 0.00 19.10 0.00 180.33 0.00 32.32 Ending Balance -135,929.66 0.00 0.00 -1,010.96 0.00 279.46 -1,290.42 0.00 0.00 0.00 0.00 0.00 146,000.00 -131,926.97 0.00 5,293.11 -137,220.08 Page 293 Account Number Description 261-264 261-264-440261 Transfer From Hud #2 261-264-446100 4/30/2012 GL Budget Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 8,614.49 0.00 261-264-440261 Totals: Grant Income 12 Beginning Balance 0.00 186,500.00 289 home drawdown 261-264-446900 261-264-446100 Totals: Var: 95,116.22 Hud Edfap2 Program Income 261-264-490100 261-264-446900 Totals: Interest Earnings 261-264-490100 Totals: 261-264 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -157.44 186,500.00 0.00 -82,769.29 0.00 8,614.49 -91,383.78 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -157.44 0.00 0.00 -157.44 186,500.00 -82,926.73 0.00 8,614.49 -91,541.22 Page 294 Account Number Description Budget 261-265 261-265-446100 Grant Income 0.00 261-265-446900 261-265-446100 Totals: Hud Edfap2 Program Income 261-265-450900 261-265-490101 4/5/2012 CR 261-265-491600 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 261-265-446900 Totals: Loan Application Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-265-450900 Totals: Loan Interest 0.00 0.00 0.00 0.00 0.00 0.00 0.00 83.10 12 41 EDFAP 2 Loan Interest Hanger 3 14th Street # 16672 Hardware Cash Receipts Batch 24405-04-2012 261-265-490101 Totals: Hud Loan Repayments 261-265-491600 Totals: 261-265 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,812.71 0.00 0.00 -1,729.61 0.00 83.10 -1,812.71 0.00 0.00 0.00 0.00 0.00 0.00 -1,729.61 0.00 83.10 -1,812.71 Page 295 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 639,172.00 -424,369.21 0.00 22,468.09 -446,837.30 1,644.80 0.00 1,204.40 1,856.00 185.60 0.00 0.00 0.00 EXPENSE 261-261 261-261-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-261-515000 261-261-511600 Totals: Overtime 261-261-515500 261-261-515000 Totals: Vacation Pay 4/3/2012 4/18/2012 PR PR 12 12 60,166.84 19 Computer Checks Batch 2012 04 00007 Var: 17,341.74 60,166.84 0.00 37,934.30 4,890.80 0.00 42,825.10 0.00 0.00 0.00 0.00 0.00 0.00 211.20 638.40 0.00 0.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261-261-515500 Totals: Holiday Pay Var: -4,076.80 0.00 0.00 3,227.20 849.60 0.00 4,076.80 261-261-515600 261-261-515600 Totals: Sick Pay Var: -2,002.80 0.00 0.00 2,002.80 0.00 0.00 2,002.80 261-261-515800 13.20 0.00 13.20 0.00 111.04 111.03 111.03 11.11 0.00 0.00 0.00 0.00 344.21 0.00 25.96 25.95 25.96 2.60 0.00 0.00 0.00 0.00 80.47 0.00 4/18/2012 PR 261-261-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 261-261-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 261-261-517401 12 123 Computer Checks Batch 2012 04 00008 261-261-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 0.00 3,730.34 3,188.93 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-261-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -3,202.13 Var: 570.20 3,730.34 872.42 2,815.93 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-261-517001 Totals: Imrf GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 133.30 872.42 7,111.72 658.65 3,202.13 3,160.14 739.12 Page 296 Account Number 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 261-261-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 12 12 19 123 261 288 19 123 261 288 261-261-518000 Totals: Workers Comp Insurance 261-261-518700 261-261-518300 Totals: Mileage AP 12 4/30/2012 AP 12 261-261-519000 79 10051 - Vicki Bass mileage to meetings/bass 276 10027 - Pamela Anderson mileage for hud/anderson 261-261-518700 Totals: Training And Education 4/12/2012 AP 12 4/12/2012 AP 12 4/13/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: 438.20 7,111.72 6,551.75 5,807.62 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-261-518300 4/12/2012 Beginning Balance Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-261-517401 Totals: Group Insurance 12 12 12 12 Budget Var: -5,038.16 261-261-519000 Totals: Trng & Educ-proj Delivry/ 261-261-519002 Credit This Period 279.32 279.32 279.33 27.93 0.00 0.00 0.00 0.00 865.90 0.00 633.23 633.22 633.23 62.48 0.00 0.00 0.00 0.00 Ending Balance 6,673.52 6,551.75 156.15 9,627.75 1,962.16 0.00 11,589.91 156.15 1,546.00 156.15 0.00 0.00 156.15 Ck# 106598 27.65 0.00 Ck# 107060 12.69 0.00 40.34 0.00 177.50 0.00 177.50 0.00 679.78 0.00 47.73 0.00 84.00 0.00 Var: 1,220.00 1,546.00 3,500.00 285.66 79 10027 - Pamela Anderson Ck# 106586 per diem 2/17-2/19 environmental training - anderson 79 10051 - Vicki Bass Ck# 106598 per diem april 17/19 environmental training - bass 89 10027 - Pamela Anderson Ck# 106755 hotel for environmental course/anderson 276 10027 - Pamela Anderson Ck# 107060 continuing education for hud/anderson 276 11433 - Visa (business) Ck# 107229 train tickets for anderson and bass/cont. ed. 261-261-519001 Debit This Period 3,500.00 0.00 753.35 1,166.51 0.00 1,919.86 261-261-519001 Totals: Trng & Educ-code Enforce 0.00 0.00 0.00 0.00 0.00 0.00 261-261-519002 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 1,580.14 326.00 Page 297 Account Number Description 261-261-520100 Transfer To General Fund 261-261-520200 4/30/2012 GL 12 261-261-520264 261-261-520231 Totals: Transfer To Home Program 261-261-520400 261-261-520264 Totals: Postage 4/2/2012 GL Debit This Period Credit This Period Ending Balance 0.00 800.00 0.00 0.00 0.00 0.00 57.90 0.00 279 april office supplies 261-261-520200 Totals: Transfer To Sewerage Fund AP Beginning Balance 0.00 261-261-520100 Totals: Office Supplies 261-261-520231 4/26/2012 Budget Var: 500.75 12 184 10183 - Federal Express 12 imhra; action plan; monitoring response 260 april 2012 postage 261-261-520401 261-261-520400 Totals: Postage-proj Delivery/reh 261-261-520570 800.00 0.00 241.35 57.90 0.00 299.25 0.00 0.00 0.00 0.00 0.00 0.00 0.00 412.00 0.00 0.00 0.00 0.00 95.20 0.00 1.35 0.00 Ck# 106844 412.00 0.00 118.71 96.55 0.00 215.26 261-261-520401 Totals: Transfer To Economic Deve 0.00 0.00 0.00 0.00 0.00 0.00 261-261-520570 Totals: Photographic Supplies 0.00 0.00 0.00 0.00 0.00 0.00 261-261-522000 261-261-522000 Totals: Lease/rental Of Equipment 0.00 0.00 0.00 0.00 0.00 0.00 261-261-524000 261-261-524000 Totals: Equipment 0.00 0.00 0.00 0.00 0.00 0.00 261-261-529000 261-261-529000 Totals: Automotive Expense 0.00 0.00 0.00 0.00 0.00 0.00 261-261-534000 261-261-534000 Totals: Equipment Repairs 0.00 0.00 0.00 0.00 0.00 0.00 261-261-534400 261-261-534400 Totals: Sidewalk Renovation / Ins 0.00 0.00 0.00 0.00 0.00 0.00 261-261-534900 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 196.74 Page 298 Account Number Description 261-261-538000 261-261-534900 Totals: Maintenance Agreements 261-261-550300 261-261-538000 Totals: Telephone 261-261-551000 261-261-550300 Totals: Printing And Publications 4/2/2012 GL 12 Var: 950.00 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 950.00 0.00 0.00 0.00 0.00 950.00 424.00 0.00 0.00 0.00 0.00 0.00 12.23 251 correct coding 261-261-551000 Totals: Dues And Subscriptions Var: 227.30 424.00 500.00 208.93 0.00 12.23 196.70 261-261-551600 261-261-551600 Totals: Mealslodging Var: 400.00 500.00 4,000.00 100.00 0.00 0.00 100.00 261-261-554200 12.23 0.00 4/2/2012 GL 12 251 correct coding 261-261-555000 261-261-554200 Totals: Radio Expense 261-261-556100 4,000.00 0.00 47.70 12.23 0.00 59.93 261-261-555000 Totals: Gasoline/diesel Fuel 0.00 0.00 0.00 0.00 0.00 0.00 261-261-556100 Totals: License And Inspection Fe 0.00 0.00 0.00 0.00 0.00 0.00 261-261-557200 261-261-557200 Totals: Medical Expense/supplies 0.00 0.00 0.00 0.00 0.00 0.00 261-261-559000 261-261-559000 Totals: Provisions For Bad Debts 0.00 0.00 0.00 0.00 0.00 0.00 261-261-559900 261-261-559900 Totals: Auditing Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-560100 261-261-560100 Totals: Consulting Fees 0.00 0.00 4,800.00 0.00 0.00 4,800.00 261-261-560500 261-261-560500 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-560600 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 3,940.07 Var: -4,800.00 Page 299 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 261-261-560600 Totals: Legal Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-561000 261-261-561000 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 261-261-561200 261-261-561200 Totals: Testing Fees And Expenses 0.00 0.00 0.00 0.00 0.00 0.00 261-261-561300 261-261-561300 Totals: Hud Residential Rehab 0.00 0.00 0.00 0.00 0.00 0.00 261-261-563100 261-261-563100 Totals: Hud Emergency Projects 0.00 0.00 0.00 0.00 0.00 0.00 261-261-563101 261-261-563101 Totals: Hud Backflow Projects 0.00 0.00 0.00 0.00 0.00 0.00 261-261-563102 261-261-563102 Totals: Hud Senior/ada Program 0.00 0.00 0.00 0.00 0.00 0.00 261-261-563103 261-261-563103 Totals: Contribution To Christ Civic 0.00 0.00 0.00 0.00 0.00 0.00 261-261-563201 261-261-563201 Totals: Contribution To Boy's And 0.00 0.00 2,395.00 0.00 0.00 2,395.00 261-261-563202 5,870.00 0.00 4/12/2012 AP 12 79 10116 - City Coal & Asphalt ywca parking lot - hud 261-261-563203 261-261-563202 Totals: Contribution To Salvation 261-261-563204 261-261-563203 Totals: Isp 261-261-563205 261-261-563204 Totals: Contributions 261-261-563206 261-261-563205 Totals: Contrib To Coalition/equa GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,395.00 Ck# 106614 Var: -16,851.65 Var: 47,000.00 0.00 0.00 10,981.65 5,870.00 0.00 16,851.65 0.00 0.00 0.00 0.00 0.00 0.00 0.00 47,000.00 0.00 0.00 0.00 0.00 47,000.00 5,000.00 0.00 0.00 0.00 0.00 Page 300 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 5,000.00 0.00 449.00 0.00 0.00 449.00 261-261-569000 261-261-563206 Totals: Other Contractual Service 261-261-569000 Totals: Street Maintenance 0.00 84,085.00 0.00 0.00 0.00 0.00 261-261-569001 261-261-569001 Totals: Down Payment Assistance 84,085.00 0.00 84,085.00 0.00 0.00 84,085.00 261-261-573000 261-261-573000 Totals: Land Improvements 0.00 0.00 0.00 0.00 0.00 0.00 261-261-580201 261-261-580201 Totals: Building Purchase/constru 0.00 0.00 0.00 0.00 0.00 0.00 261-261-580400 261-261-580400 Totals: Street Construction 0.00 0.00 0.00 0.00 0.00 0.00 261-261-580500 261-261-580500 Totals: Sewer Construction 0.00 0.00 0.00 0.00 0.00 0.00 261-261-580600 261-261-580600 Totals: Edfap Loan Program Expens 0.00 0.00 0.00 0.00 0.00 0.00 261-261-583000 261-261-583000 Totals: Construction 0.00 0.00 0.00 0.00 0.00 0.00 261-261-584000 261-261-584000 Totals: General Public Improvemen 0.00 30,000.00 0.00 0.00 0.00 0.00 261-261-584009 261-261-584009 Totals: Public Service-street Res 30,000.00 0.00 0.00 0.00 0.00 0.00 261-261-584010 261-261-584010 Totals: Public Facilities-ada S W 0.00 0.00 0.00 0.00 0.00 0.00 261-261-584013 261-261-584013 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 261-261-587100 261-261-587100 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 4,551.00 Budget Var: 30,000.00 Page 301 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 261-261-590600 Bank Charges 0.00 0.00 0.00 0.00 0.00 0.00 0.00 261-261-593300 261-261-590600 Totals: Lien Filing Fee 261-261-593300 Totals: Miscellaneous Var: -2.00 0.00 5,000.00 2.00 0.00 0.00 2.00 261-261-599000 261-261-599000 Totals: Computer Software Var: 4,932.56 5,000.00 0.00 67.44 0.00 0.00 67.44 261-261-599801 261-261-599801 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 261-261-599802 261-261-599802 Totals: 0.00 0.00 0.00 0.00 0.00 261,806.22 169,955.12 16,249.87 12.23 186,192.76 261-261 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 302 Account Number Description 261-262 261-262-511600 4/30/2012 GL Budget Salary: All Personnel 12 Beginning Balance Debit This Period Credit This Period 0.00 3,041.50 Ending Balance 13,575.00 282 chg coding march hud work 261-262-511600 Totals: Vacation Var: -4,337.76 261-262-515500 13,575.00 0.00 20,954.26 0.00 3,041.50 17,912.76 261-262-515600 261-262-515500 Totals: Holiday Pay Var: -505.80 0.00 0.00 505.80 0.00 0.00 505.80 261-262-515800 261-262-515600 Totals: Sick pay Var: -809.28 0.00 0.00 809.28 0.00 0.00 809.28 261-262-515800 Totals: Oasdi/city Share 6.2% Var: -442.57 0.00 841.65 442.57 0.00 0.00 442.57 261-262-517000 261-262-517000 Totals: Medicare/city Share 1.45% Var: -571.46 841.65 196.84 1,413.11 0.00 0.00 1,413.11 261-262-517001 261-262-517001 Totals: Imrf Var: -133.73 196.84 1,604.57 330.57 0.00 0.00 330.57 261-262-517401 261-262-517401 Totals: Group Insurance Var: -1,340.00 1,604.57 4,100.12 2,944.57 0.00 0.00 2,944.57 261-262-518000 261-262-518000 Totals: Workers Comp Insurance Var: -1,860.67 4,100.12 537.57 5,960.79 0.00 0.00 5,960.79 261-262-518300 261-262-518300 Totals: Training And Education 537.57 0.00 537.57 0.00 0.00 537.57 261-262-519000 261-262-519000 Totals: Gasoline/diesel Fuel 0.00 0.00 0.00 0.00 0.00 0.00 261-262-556100 261-262-556100 Totals: License And Inspection Fee 0.00 0.00 0.00 0.00 0.00 0.00 261-262-557200 261-262-557200 Totals: 0.00 0.00 0.00 0.00 0.00 20,855.75 33,898.52 0.00 3,041.50 30,857.02 261-262 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 303 Account Number Description 261-263 261-263-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Salary: All Personnel 12 12 12 12 19 123 261 288 261-263-511600 Totals: Overtime 261-263-515500 261-263-515000 Totals: Vacation Pay PR PR 12 12 Beginning Balance Debit This Period Credit This Period 723.20 653.60 864.00 86.40 0.00 0.00 0.00 0.00 Ending Balance 38,121.71 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-263-515000 4/3/2012 4/18/2012 Budget Var: 9,419.67 38,121.71 0.00 26,374.84 2,327.20 0.00 28,702.04 0.00 0.00 0.00 0.00 0.00 0.00 140.80 201.60 0.00 0.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261-263-515500 Totals: Holiday Pay Var: -1,144.20 0.00 0.00 801.80 342.40 0.00 1,144.20 261-263-515600 261-263-515600 Totals: Sick Pay Var: -518.40 0.00 0.00 518.40 0.00 0.00 518.40 261-263-515800 8.80 0.00 8.80 0.00 51.25 51.26 51.26 5.13 0.00 0.00 0.00 0.00 158.90 0.00 12.02 12.03 12.02 1.20 0.00 0.00 0.00 0.00 37.27 0.00 130.06 130.06 130.05 0.00 0.00 0.00 4/18/2012 PR 261-263-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 261-263-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 261-263-517401 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 123 Computer Checks Batch 2012 04 00008 261-263-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 19 123 261 288 392.00 Var: 521.70 2,363.55 552.76 1,682.95 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-263-517001 Totals: Imrf 12 12 12 0.00 2,363.55 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-263-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Var: -400.80 Var: 121.82 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 552.76 4,505.98 393.67 400.80 1,841.85 430.94 Page 304 Account Number 4/30/2012 PR 261-263-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 19 123 261 288 Var: 635.77 261-263-518000 Totals: Workers Comp Insurance 261-263-519000 261-263-518300 Totals: Training And Education 261-263-519000 Totals: Office Supplies Var: 1,500.00 261-263-520200 261-263-520200 Totals: Postage Var: -165.61 261-263-520400 GL 12 261-263-520400 Totals: Equipment Repairs 261-263-538000 261-263-534400 Totals: Maintenance Agreements AP 261-263-550300 4/12/2012 AP 12 Var: -801.92 Var: 282.86 276 10896 - Travis Systems, Inc annual maintenance to 5-17-2013 261-263-538000 Totals: Telephone Expense 12 3,467.03 79 10685 - Verizon Wireless aircard for lutz 261-263-551000 261-263-550300 Totals: Printing & Publishing 261-263-556100 261-263-551000 Totals: Gasoline/diesel Fuel GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 13.01 0.00 403.18 0.00 335.25 335.26 335.25 33.08 0.00 0.00 0.00 0.00 Ending Balance 3,870.21 1,038.84 0.00 9,870.64 98.85 1,500.00 98.85 0.00 0.00 98.85 1,500.00 0.00 0.00 0.00 0.00 0.00 0.00 400.00 165.61 0.00 0.00 165.61 0.65 0.00 400.00 0.00 116.49 0.65 0.00 117.14 0.00 0.00 0.00 0.00 0.00 0.00 1,650.00 0.00 1,650.00 0.00 38.01 0.00 0.00 0.00 1,650.00 Ck# 106746 Var: -342.09 Credit This Period 8,831.80 Ck# 107218 Var: -3,300.00 Debit This Period 9,068.72 98.85 260 april 2012 postage 261-263-534400 4/30/2012 4,505.98 9,068.72 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-263-518300 4/2/2012 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 261-263-517401 Totals: Group Insurance 12 12 12 12 Budget 3,300.00 0.00 0.00 304.08 38.01 0.00 342.09 0.00 238.00 0.00 0.00 0.00 0.00 Page 305 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 261-263-556100 Totals: License And Inspection Fee Var: 238.00 238.00 515.00 0.00 0.00 0.00 0.00 261-263-557200 261-263-557200 Totals: Corporate Counsel Var: 515.00 515.00 0.00 0.00 0.00 0.00 0.00 261-263-560600 261-263-560600 Totals: Hud Residential Rehab 0.00 60,000.00 0.00 0.00 0.00 0.00 261-263-563100 261-263-563100 Totals: Hud Emergency Projects 60,000.00 0.00 65,626.45 0.00 0.00 65,626.45 261-263-563101 261-263-563101 Totals: Hud Backflow Projects 0.00 0.00 0.00 0.00 0.00 0.00 261-263-563102 261-263-563102 Totals: Hud Senior/ada Program 0.00 0.00 0.00 0.00 0.00 0.00 261-263-563103 261-263-563103 Totals: Other Contractual Service 0.00 25,000.00 0.00 0.00 0.00 0.00 261-263-569000 2,083.33 0.00 4/12/2012 AP 261-263-599801 12 Var: -5,626.45 79 10276 - Housing Authority of City of PCk# 106652 contract services/m. lutz/march 2012 261-263-569000 Totals: Computer Software Var: 83.37 261-263-599801 Totals: Var: 1,700.00 261-263 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 25,000.00 1,700.00 22,833.30 2,083.33 0.00 24,916.63 1,700.00 0.00 0.00 0.00 0.00 144,064.57 133,257.27 8,088.58 0.00 141,345.85 Page 306 Account Number Description 261-264 261-264-511600 Salary: All Personnel Budget Beginning Balance Debit This Period Credit This Period Ending Balance 10,000.00 0.00 0.00 0.00 0.00 0.00 10,000.00 261-264-515000 261-264-511600 Totals: Overtime 261-264-515000 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 261-264-517000 261-264-517000 Totals: Medicare/city Share 1.45% 0.00 0.00 0.00 0.00 0.00 0.00 261-264-517001 261-264-517001 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 261-264-519000 60.00 0.00 4/26/2012 AP 12 Var: 10,000.00 184 10308 - IL Housing Development Authori Ck# 106866 sfoor implementation workshop for bass & lutz 261-264-519000 Totals: Postage Var: -60.00 0.00 0.00 0.00 60.00 0.00 60.00 261-264-520400 261-264-520400 Totals: Printing And Publications Var: -133.29 0.00 0.00 133.29 0.00 0.00 133.29 261-264-551000 261-264-551000 Totals: Dues And Subscriptions Var: -47.30 0.00 0.00 47.30 0.00 0.00 47.30 261-264-551600 261-264-551600 Totals: Gasoline/diesel Fuel 0.00 0.00 0.00 0.00 0.00 0.00 261-264-556100 261-264-556100 Totals: License And Inspection Fe 0.00 0.00 0.00 0.00 0.00 0.00 261-264-557200 261-264-557200 Totals: Testing Fees And Expenses 0.00 0.00 0.00 0.00 0.00 0.00 261-264-561300 261-264-561300 Totals: Hud Residential Rehab 0.00 176,500.00 0.00 0.00 0.00 0.00 261-264-563100 261-264-563100 Totals: Other Contractual Service 176,500.00 0.00 73,962.71 0.00 0.00 73,962.71 261-264-569000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 102,537.29 Page 307 Account Number 261-264-590600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 261-264-569000 Totals: Bank Charges 0.00 0.00 0.00 0.00 0.00 0.00 261-264-590600 Totals: 0.00 0.00 0.00 0.00 0.00 186,500.00 74,143.30 60.00 0.00 74,203.30 261-264 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 308 Account Number Description 261-265 261-265-583000 Edfap Loan Program Expens 261-265-583000 Totals: 261-265 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 309 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 613,226.54 411,254.21 24,398.45 3,053.73 432,598.93 25,945.46 0.00 81,161.42 81,161.42 0.00 261 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 310 Account Number Description 270 ASSETS 270-000-110201 Budget Equity In Pooled Cash Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 121,656.25 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 1,027.54 4/30/2012 CR 12 4/30/2012 CR 12 285 Fund balance entry for fund 270 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 270 Cash Receipts Batch 50121-04-2012 # 17789 2,116.10 0.00 # 17800 2,225.92 0.00 270-000-110201 Totals: Iptip 0.00 0.00 3,097,465.36 4,342.02 122,683.79 2,979,123.59 270-000-115000 270-000-115000 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 270-000-120500 270-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 270-000-120600 270-000-120600 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 270-000-130100 270-000-130100 Totals: Grant Receivable 0.00 0.00 0.00 0.00 0.00 0.00 270-000-130300 270-000-130300 Totals: Other Taxes Receivable 0.00 0.00 0.00 0.00 0.00 0.00 270-000-130600 270-000-130600 Totals: Other Receivables 0.00 0.00 55,019.61 0.00 0.00 55,019.61 270-000-132000 270-000-132000 Totals: ED Loans Recievable 0.00 0.00 0.00 0.00 0.00 0.00 270-000-135700 0.00 54,952.57 4/30/2012 GL 12 267 forgivable loans fy2011 270-000-135700 Totals: Due From General Fund 0.00 0.00 54,952.57 0.00 54,952.57 0.00 270-000-140100 270-000-140100 Totals: Due From Solid Waste Fund 0.00 0.00 0.00 0.00 0.00 0.00 270-000-140223 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 311 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 270-000-140223 Totals: Land 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150100 270-000-150100 Totals: Land Improvements 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150200 270-000-150200 Totals: Streets & Curbs 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150300 270-000-150300 Totals: Street & Curb Improvement 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150400 270-000-150400 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150500 270-000-150500 Totals: Building Improvements 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150600 270-000-150600 Totals: Sewers 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150700 270-000-150700 Totals: Sewer Improvements 0.00 0.00 0.00 0.00 0.00 0.00 270-000-150800 270-000-150800 Totals: Accum Deprec - Land 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155100 270-000-155100 Totals: Accum Deprec - Land Impro 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155200 270-000-155200 Totals: Accum Deprec - Streets 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155300 270-000-155300 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155400 270-000-155400 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155500 270-000-155500 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 312 Account Number Description 270-000-155600 Accum Deprec - Build Impr Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 270-000-155600 Totals: Accum Deprec - Sewers 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155700 270-000-155700 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 270-000-155800 270-000-155800 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 3,207,437.54 4,342.02 177,636.36 3,034,143.20 270-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 313 Account Number Description ASSETS Totals: LIABILITIES 270-000-219000 Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 3,207,437.54 4,342.02 177,636.36 3,034,143.20 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 121,656.25 121,656.25 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 1,027.54 1,027.54 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 4,335.00 122,683.79 127,018.79 54,952.57 0.00 270-000-219300 4/30/2012 GL 270-000-219000 Totals: Deferred Revenues End-of12 0.00 0.00 0.00 267 forgivable loans fy2011 -4,335.00 270-000-219300 Totals: Due To General Fund 0.00 0.00 0.00 54,952.57 0.00 54,952.57 270-000-220100 270-000-220100 Totals: Due To Accounts Payable I 0.00 0.00 0.00 0.00 0.00 0.00 270-000-220677 270-000-220677 Totals: Bonds Payable-Herget 2004 0.00 0.00 0.00 0.00 0.00 0.00 270-000-245000 270-000-245000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 177,636.36 127,018.79 50,617.57 270-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 314 Account Number Description LIABILITIES Totals: FUND BALANCE 270-000-390100 Fund Balance Beg Year 270-000-390100 Totals: 270-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 177,636.36 127,018.79 50,617.57 0.00 -3,418,765.17 0.00 0.00 -3,418,765.17 0.00 -3,418,765.17 0.00 0.00 -3,418,765.17 0.00 Page 315 Account Number Description FUND BALANCE Totals: REVENUE 270-270 270-270-410100 Real Estate Tax Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -3,418,765.17 0.00 0.00 -3,418,765.17 540,000.00 270-270-410100 Totals: Tif Sales Tax/city Var: 38,390.73 540,000.00 325,000.00 -501,609.27 0.00 0.00 -501,609.27 270-270-411001 270-270-411001 Totals: Tif Tax Allocation / State Var: 60,748.31 325,000.00 215,000.00 -264,251.69 0.00 0.00 -264,251.69 270-270-411002 270-270-411002 Totals: Transfer From General Fund Var: -55,710.86 215,000.00 0.00 -270,710.86 0.00 0.00 -270,710.86 270-270-440100 270-270-440100 Totals: Transfer From Hud #2 0.00 0.00 0.00 0.00 0.00 0.00 270-270-440261 270-270-440261 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 270-270-442600 270-270-442600 Totals: Park Reimbursements 0.00 0.00 0.00 0.00 0.00 0.00 270-270-442800 270-270-442800 Totals: Interest Earnings 0.00 34,000.00 0.00 0.00 0.00 0.00 270-270-490100 17789 0.00 2,116.10 17800 0.00 2,225.92 4/30/2012 CR 12 4/30/2012 CR 12 285 Tif Interest MARCH CM INTEREST # Cash Receipts Batch 50118-04-2012 286 Tif Interest April CM interest # Cash Receipts Batch 50121-04-2012 270-270-491000 270-270-490100 Totals: Rental Of Municipal Prope 270-270-491300 270-270-491500 34,000.00 0.00 -29,823.55 0.00 4,342.02 -34,165.57 270-270-491000 Totals: Prorated Re Tax/city Prop 0.00 0.00 0.00 0.00 0.00 0.00 270-270-491300 Totals: Sale Of Municipal Propert 0.00 0.00 0.00 0.00 0.00 0.00 270-270-491500 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -165.57 Page 316 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 270-270-491900 Incr/decr Investment Valu 0.00 270-270-492000 270-270-491900 Totals: Bond Proceeds - Principal 0.00 0.00 0.00 0.00 0.00 0.00 270-270-499800 270-270-492000 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 270-270-499800 Totals: 0.00 0.00 0.00 0.00 0.00 1,114,000.00 -1,066,395.37 0.00 4,342.02 -1,070,737.39 270-270 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Page 317 Account Number EXPENSE 270-270 270-270-518700 4/26/2012 AP 270-270-519000 4/26/2012 AP Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,114,000.00 -1,066,395.37 0.00 4,342.02 -1,070,737.39 172.05 0.00 172.05 0.00 234.29 0.00 Mileage 12 270-270-518700 Totals: Training And Education 12 0.00 184 11047 - Leigh Ann Matthews tif mileagematthews Ck# 106884 Var: -172.05 184 11047 - Leigh Ann Matthews tif conference hole/meal/matthews 270-270-520400 270-270-519000 Totals: Postage 270-270-520445 0.00 0.00 0.00 Ck# 106884 0.00 0.00 1,063.72 234.29 0.00 1,298.01 270-270-520400 Totals: Transfer To Capital Proje 0.00 0.00 0.00 0.00 0.00 0.00 270-270-520445 Totals: Parking Lot Maintenance A 0.00 0.00 0.00 0.00 0.00 0.00 270-270-535200 270-270-535200 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 270-270-551000 270-270-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 270-270-551600 270-270-551600 Totals: Epa Permits 0.00 0.00 375.00 0.00 0.00 375.00 270-270-557300 270-270-557300 Totals: Auditing Fees 0.00 0.00 0.00 0.00 0.00 0.00 270-270-560100 270-270-560100 Totals: Consulting Fees Var: -2,100.00 0.00 0.00 2,100.00 0.00 0.00 2,100.00 270-270-560500 270-270-560500 Totals: Corporate Counsel Fees Var: -5,174.81 0.00 0.00 5,174.81 0.00 0.00 5,174.81 270-270-560600 1,656.25 0.00 4/12/2012 AP 12 Var: -1,298.01 172.05 Var: -375.00 79 10166 - Elliff, Dancey & Bosich Ck# 106628 Re: TIF DISTRICTS 2/1/12-2/29/12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 318 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 270-270-560600 Totals: Legal Fees Var: -8,000.00 0.00 0.00 6,343.75 1,656.25 0.00 8,000.00 270-270-561000 270-270-561000 Totals: Engineering Fees Var: -1,000.00 0.00 0.00 1,000.00 0.00 0.00 1,000.00 270-270-561200 4,050.00 0.00 285.00 0.00 4/30/2012 AP 12 4/30/2012 AP 12 276 10402 - Maurer-Stutz Inc Ck# 107145 professional services professional land surveyor 4/1-4/30/2012 276 10402 - Maurer-Stutz Inc Ck# 107145 professional services one member survey crew 4/1-4/30/2012 270-270-562500 270-270-561200 Totals: Demolition 270-270-562501 270-270-562500 Totals: Asbestos Removal 270-270-567200 270-270-562501 Totals: Economic Development - Ci 270-270-569000 270-270-567200 Totals: Other Contractual Service 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Var: -4,335.00 Var: 5,000.00 0.00 0.00 0.00 4,335.00 0.00 4,335.00 0.00 5,000.00 0.00 0.00 0.00 0.00 5,000.00 0.00 0.00 0.00 0.00 0.00 0.00 120,000.00 0.00 0.00 0.00 0.00 95.00 0.00 359.00 0.00 167.20 0.00 184 10195 - First Community Title ServiceCk# 106846 TIF legal fees for grant program 184 10593 - Shearer Electric Ck# 106931 retrofit downtown lights & repair - TIF 184 10593 - Shearer Electric Ck# 106931 replaced st light arm by ricks tv 270-270-569000 Totals: Street Maintenance Var: 110,473.03 270-270-569001 120,000.00 0.00 8,905.77 621.20 0.00 9,526.97 270-270-580200 270-270-569001 Totals: Purchase Of Property Var: -1,697.38 0.00 50,000.00 1,697.38 0.00 0.00 1,697.38 270-270-580201 270-270-580200 Totals: Land Improvements Var: 50,000.00 50,000.00 0.00 0.00 0.00 0.00 0.00 270-270-580400 270-270-580201 Totals: Building Purchase/constru 0.00 0.00 0.00 0.00 0.00 0.00 270-270-580400 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 319 Account Number Description 270-270-580500 Street Construction 0.00 270-270-580600 270-270-580500 Totals: Sewer Construction 270-270-583000 270-270-580600 Totals: Tif Edfap Loan 270-270-584000 270-270-583000 Totals: Construction 270-270-584009 270-270-584000 Totals: General Public Improvemen 4/12/2012 AP 12 79 11338 - 353 Court LLC 200 block agreement payment Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 Var: -1,100.00 0.00 100,000.00 1,100.00 0.00 0.00 1,100.00 Var: 100,000.00 100,000.00 0.00 0.00 0.00 0.00 0.00 0.00 300,000.00 0.00 0.00 0.00 0.00 120,000.00 0.00 Ck# 106579 270-270-584009 Totals: Real Estate Tax Expense Var: 39,425.30 300,000.00 10,000.00 140,574.70 120,000.00 0.00 260,574.70 270-270-590300 270-270-590300 Totals: Interest Paid Var: -2,208.82 10,000.00 30,009.00 12,208.82 0.00 0.00 12,208.82 270-270-590400 270-270-590400 Totals: Bank Charges Var: 2,840.54 30,009.00 0.00 27,168.46 0.00 0.00 27,168.46 270-270-590600 270-270-590600 Totals: Bond Principal Retired Var: -450.00 0.00 369,213.00 450.00 0.00 0.00 450.00 270-270-591000 270-270-591000 Totals: Bond Registrar Fees Var: -329,919.14 369,213.00 1,000.00 699,132.14 0.00 0.00 699,132.14 270-270-591100 270-270-591100 Totals: Bond Registrar Costs Var: 1,000.00 1,000.00 0.00 0.00 0.00 0.00 0.00 270-270-591101 270-270-591101 Totals: Developer Agreement Payme 0.00 700,000.00 0.00 0.00 0.00 0.00 270-270-591200 270-270-591200 Totals: Miscellaneous Var: 333,902.50 700,000.00 120,000.00 366,097.50 0.00 0.00 366,097.50 270-270-599000 270-270-599000 Totals: Var: 115,669.05 120,000.00 4,330.95 0.00 0.00 4,330.95 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 320 Account Number Description 270-270-599900 Depreciation Expense Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 270-270-599900 Totals: Capital Set Aside 0.00 0.00 0.00 0.00 0.00 0.00 270-270-599998 270-270-599998 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 270-270-599999 270-270-599999 Totals: 0.00 0.00 0.00 0.00 0.00 1,805,222.00 1,277,723.00 127,018.79 0.00 1,404,741.79 270-270 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 321 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 1,805,222.00 1,277,723.00 127,018.79 0.00 1,404,741.79 -691,222.00 0.00 308,997.17 308,997.17 0.00 270 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 322 Account Number Description 445 ASSETS 445-000-110201 Equity In Pooled Cash 4/3/2012 CR 12 4/5/2012 4/9/2012 AP CR 12 12 4/12/2012 AP 12 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/30/2012 GL 12 269 monthly local gas tax split Budget Beginning Balance Debit This Period Credit This Period 81,225.65 0.00 13,600.00 1,042,254.40 0.00 0.00 0.00 8,337.70 0.00 7,829.50 22,611.35 0.00 Ending Balance 0.00 15 Fund balance entry for fund 445 # 16563 Cash Receipts Batch 50003-04-2012 36 Void 53 Fund balance entry for fund 445 # 16709 Cash Receipts Batch 50006-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 445-000-110201 Totals: Iptip 0.00 0.00 -964,220.06 1,159,691.40 16,167.20 179,304.14 445-000-115000 445-000-115000 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 445-000-120500 445-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 445-000-120600 445-000-120600 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 445-000-130100 0.00 81,225.65 0.00 0.00 19,273.22 1,042,254.40 4/3/2012 CR 12 4/9/2012 4/9/2012 AR CR 12 12 15 IDOT Reimb Illinois Department of Transpo # 16563 Cash Receipts Batch 50003-04-2012 50 AR Adjustments 00007.04.2012 53 IDOT Reimb Illinois Department of Transpo # 16709 Cash Receipts Batch 50006-04-2012 445-000-130100 Totals: Rental Income Receivable 0.00 0.00 1,635,712.87 0.00 1,142,753.27 492,959.60 445-000-130400 445-000-130400 Totals: Other Taxes Receivable 0.00 0.00 3,600.00 0.00 0.00 3,600.00 445-000-130600 445-000-130600 Totals: Other Receivables 0.00 0.00 27,945.43 0.00 0.00 27,945.43 445-000-132000 445-000-132000 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 445-000-140100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 323 Account Number 445-000-140240 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 445-000-140100 Totals: Due From Motor Fuel Tax F 0.00 0.00 0.00 0.00 0.00 0.00 445-000-140240 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 703,038.24 1,159,691.40 1,158,920.47 703,809.17 445-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 324 Account Number Description ASSETS Totals: LIABILITIES 445-000-211000 445-000-219000 Accrued Wages 445-000-211000 Totals: Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 703,038.24 1,159,691.40 1,158,920.47 703,809.17 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 8,337.70 8,337.70 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 7,829.50 7,829.50 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 2,433.25 445-000-219000 Totals: Deferred Revenues 0.00 0.00 0.00 16,167.20 18,600.45 -2,433.25 445-000-219300 445-000-219300 Totals: Deferred Tax Revenue 0.00 0.00 -320,000.00 0.00 0.00 -320,000.00 445-000-219400 445-000-219400 Totals: Due To Accounts Payable I 0.00 0.00 -199,559.60 0.00 0.00 -199,559.60 445-000-220677 445-000-220677 Totals: Reserved For Capital Proj 0.00 0.00 0.00 0.00 0.00 0.00 445-000-290400 445-000-290400 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -519,559.60 16,167.20 18,600.45 -521,992.85 445-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 325 Account Number Description LIABILITIES Totals: FUND BALANCE 445-000-390100 445-000-390101 Fund Balance Beg Year Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -519,559.60 16,167.20 18,600.45 -521,992.85 0.00 445-000-390100 Totals: Prior Years Correction 0.00 0.00 586,391.11 0.00 0.00 586,391.11 445-000-390101 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 586,391.11 0.00 0.00 586,391.11 445-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 326 Account Number Description FUND BALANCE Totals: REVENUE 445-041 445-041-414001 4/30/2012 GL Local Use Gas Tax 12 445-041-414001 Totals: Transfer From General Fund 445-041-440231 445-041-440100 Totals: Transfer From Sewerage 445-041-440240 445-041-440231 Totals: Transfer From Motor Fuel 445-041-440270 445-041-440240 Totals: Transfer From Tif 1 445-041-442500 445-041-440270 Totals: Federal Grants 445-041-442600 445-041-442500 Totals: State Grants AR 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 586,391.11 0.00 0.00 586,391.11 0.00 22,611.35 350,000.00 269 monthly local gas tax split 445-041-440100 4/9/2012 Budget Var: 52,973.09 Var: 1,200,000.00 Var: 3,753,854.00 350,000.00 0.00 -274,415.56 0.00 22,611.35 -297,026.91 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,200,000.00 0.00 0.00 0.00 0.00 1,200,000.00 0.00 0.00 0.00 0.00 0.00 0.00 4,800,000.00 0.00 0.00 0.00 0.00 4,800,000.00 8,100,000.00 -1,046,146.00 0.00 0.00 -1,046,146.00 19,273.22 0.00 50 AR Adjustments 00007.04.2012 445-041-442700 445-041-442600 Totals: County Grants 445-041-490100 445-041-442700 Totals: Interest Earnings 445-041-490800 445-041-490100 Totals: Developer Agreements 445-041-491000 445-041-491900 8,100,000.00 0.00 -1,218,183.42 19,273.22 0.00 -1,198,910.20 0.00 24,500.00 0.00 0.00 0.00 0.00 24,500.00 0.00 0.01 0.00 0.00 0.01 445-041-490800 Totals: Rental Of Municipal Prope 0.00 0.00 0.00 0.00 0.00 0.00 445-041-491000 Totals: Incr/decr Investment Valu 0.00 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 6,901,089.80 Var: 24,500.01 Page 327 Account Number 445-041-499800 Description 445-041-491900 Totals: Miscellaneous Receipts 445-041-499800 Totals: 445-041 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -0.01 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -0.01 0.00 0.00 -0.01 14,474,500.00 -2,538,744.98 19,273.22 22,611.35 -2,542,083.11 Page 328 Account Number Description 445-042 445-042-442500 Federal Grants Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 445-042-442500 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 445-042-442600 445-042-442600 Totals: Interest Earnings 0.00 0.00 0.00 0.00 0.00 0.00 445-042-490100 445-042-490100 Totals: Developer Agreements 0.00 0.00 0.00 0.00 0.00 0.00 445-042-490800 445-042-490800 Totals: Sale Of Municipal Propert 0.00 0.00 0.00 0.00 0.00 0.00 445-042-491500 445-042-491500 Totals: Donations 0.00 0.00 0.00 0.00 0.00 0.00 445-042-499210 445-042-499210 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 445-042-499800 445-042-499800 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 445-042 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 329 Account Number EXPENSE 445-041 445-041-511600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 14,474,500.00 -2,538,744.98 19,273.22 22,611.35 -2,542,083.11 Salary: All Personnel 0.00 445-041-511600 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 445-041-515600 445-041-515600 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 445-041-517000 445-041-517000 Totals: Medicare/city Share 1.45% 0.00 0.00 0.00 0.00 0.00 0.00 445-041-517001 445-041-517001 Totals: Imrf 0.00 0.00 0.00 0.00 0.00 0.00 445-041-517401 445-041-517401 Totals: Workers Comp Insurance 0.00 0.00 0.00 0.00 0.00 0.00 445-041-518300 445-041-518300 Totals: Transfer To General Fund 0.00 0.00 0.00 0.00 0.00 0.00 445-041-520100 445-041-520100 Totals: Transfer to MFT 0.00 0.00 0.00 0.00 0.00 0.00 445-041-520240 445-041-520240 Totals: Printing And Publications 0.00 500.00 0.00 0.00 0.00 0.00 445-041-551000 28.75 0.00 57.50 0.00 28.75 0.00 29.75 72.00 4.50 0.00 0.00 0.00 221.25 0.00 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/2/2012 4/2/2012 4/30/2012 GL GL AP 12 12 12 445-041-556100 184 11677 - Wheatland Title Guaranty Co.Ck# 106956 recording fee's parcel 4ajb015 184 11677 - Wheatland Title Guaranty Co.Ck# 106956 recording fee's parcel 4ajb014 184 11677 - Wheatland Title Guaranty Co.Ck# 106956 recording fee's parcel 4ajb027 243 correct coding on recordings 243 correct coding on wheatland recordings 276 10222 - Paula Gensel Ck# 107115 copies for vfw row wd/gensel 445-041-551000 Totals: Gasoline/diesel Fuel GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 278.75 500.00 0.00 0.00 221.25 Page 330 Account Number Description 445-041-557300 445-041-556100 Totals: Epa Permits 445-041-560600 445-041-557300 Totals: Corporate Counsel Fees 445-041-561000 445-041-560600 Totals: Legal Fees 445-041-561200 445-041-561000 Totals: Engineering Fees 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/2/2012 4/2/2012 4/2/2012 4/30/2012 GL GL GL AP 12 12 12 12 445-041-561300 4/26/2012 AP 445-041-561300 Totals: Contract Construction 445-041-569000 445-041-563000 Totals: Other Contractual Service AP 12 4/26/2012 AP 12 4/2/2012 4/2/2012 GL GL 12 12 Var: 386,435.35 184 10937 - Whitney & Associates Inc testing 445-041-563000 4/26/2012 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 0.00 0.00 700,000.00 0.00 0.00 0.00 0.00 7,032.50 0.00 680.45 0.00 595.00 0.00 29.75 0.00 0.00 0.00 0.00 2,428.75 29.75 1,550.00 4,200.00 0.00 10,766.45 5,779.75 72.00 0.00 79 10248 - Hanson Professional Srvcs IncCk# 106644 land acquisitions for veterans drive 79 10248 - Hanson Professional Srvcs IncCk# 106644 petri lane extension design 79 10402 - Maurer-Stutz Inc Ck# 106684 survey, plat and legal description of veterans drive 79 11677 - Wheatland Title Guaranty Co.Ck# 106749 recordings 243 correct coding on recordings 257 correct coding 257 correct coding 276 10248 - Hanson Professional Srvcs IncCk# 107119 land acquisition for veterans drive 445-041-561200 Totals: Testing Fees And Expenses 12 Var: 1,500.00 Budget 308,577.95 Ck# 106958 Var: 34,928.00 184 10357 - James W. Klopfenstein & Associates, Ck# 106877 Inc. valuation services for veterans dr. project 184 11849 - Aupperle & Sons, Inc. Ck# 106803 sidewalks at kiosks 257 correct coding 257 correct coding GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 700,000.00 35,000.00 313,564.65 35,000.00 0.00 0.00 72.00 0.00 72.00 0.00 55,000.00 0.00 0.00 0.00 0.00 4,000.00 0.00 2,300.00 0.00 1,550.00 4,200.00 0.00 0.00 Page 331 Account Number 445-041-580200 Description 445-041-569000 Totals: Purchase Of Property 4/5/2012 AP 12 4/26/2012 AP 12 4/2/2012 GL 12 Var: -1,318,455.16 36 Void 11792 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 55,000.00 300,000.00 1,361,405.16 12,050.00 0.00 1,373,455.16 0.00 13,600.00 1,342.50 0.00 0.00 72.00 Ck# 0 184 10166 - Elliff, Dancey & Bosich Re: Irwin Closing 243 correct coding on recordings Ck# 106841 445-041-580200 Totals: Street Construction Var: 232,109.50 445-041-580500 300,000.00 0.00 80,220.00 1,342.50 13,672.00 67,890.50 445-041-584000 445-041-580500 Totals: Construction Var: -406.25 0.00 13,100,000.00 406.25 0.00 0.00 406.25 445-041-587100 445-041-584000 Totals: Office Equipment And Furn Var: 13,100,000.00 13,100,000.00 0.00 0.00 0.00 0.00 0.00 445-041-587100 Totals: Real Estate Tax Expense Var: -4,960.00 0.00 3,500.00 4,960.00 0.00 0.00 4,960.00 445-041-590300 445-041-590300 Totals: Miscellaneous Var: 1,108.50 3,500.00 0.00 2,391.50 0.00 0.00 2,391.50 445-041-599000 445-041-599000 Totals: Var: -7,961.87 0.00 7,961.87 0.00 0.00 7,961.87 14,195,500.00 1,765,922.73 24,452.20 19,451.75 1,770,923.18 445-041 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 332 Account Number Description 445-042 445-042-551000 Printing And Publications Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 445-042-551000 Totals: Epa Permits 0.00 0.00 0.00 0.00 0.00 0.00 445-042-557300 445-042-557300 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 445-042-561200 445-042-561200 Totals: Testing Fees And Expenses 0.00 0.00 0.00 0.00 0.00 0.00 445-042-561300 445-042-561300 Totals: Other contractual 0.00 0.00 0.00 0.00 0.00 0.00 445-042-569000 445-042-569000 Totals: Purchase Of Property 0.00 0.00 2,952.50 0.00 0.00 2,952.50 445-042-580200 445-042-580200 Totals: Street Construction 0.00 0.00 0.00 0.00 0.00 0.00 445-042-580500 445-042-580500 Totals: Real Estate Tax Expense 0.00 0.00 0.00 0.00 0.00 0.00 445-042-590300 445-042-590300 Totals: Developer Agreement Payme 0.00 0.00 0.00 0.00 0.00 0.00 445-042-591200 445-042-591200 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 445-042-599000 445-042-599000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 2,952.50 0.00 0.00 2,952.50 445-042 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -2,952.50 Page 333 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 14,195,500.00 1,768,875.23 24,452.20 19,451.75 1,773,875.68 279,000.00 0.00 1,219,584.02 1,219,584.02 0.00 445 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 334 Account Number Description 500 ASSETS 500-000-110201 Equity In Pooled Cash 500-000-110201 Totals: 500-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 335 Account Number Description ASSETS Totals: LIABILITIES 500-000-290200 Retained Earnings 500-000-290200 Totals: 500-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 336 Account Number Description LIABILITIES Totals: FUND BALANCE 500-000-390100 Fund Balance Beg Year 500-000-390100 Totals: 500-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 337 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 0.00 0.00 0.00 0.00 500 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 338 Account Number Description 501 ASSETS 501-000-110100 Petty Cash - Administratn 501-000-110201 Beginning Balance Debit This Period Credit This Period Ending Balance 125.00 0.00 0.00 125.00 15 Fund balance entry for fund 501 # 16562 Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 37 Fund balance entry for fund 501 # 16636 Cash Receipts Batch 50205-04-2012 69 Fund balance entry for fund 501 # 16769 Cash Receipts Batch 50011-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 350.00 0.00 0.00 50.00 77,855.19 0.00 953.00 0.00 0.00 53,136.69 94 Fund balance entry for fund 501 # 16849 Cash Receipts Batch 25013-04-2012 111 Fund balance entry for fund 501 # 16919 Cash Receipts Batch 50017-04-2012 115 Fund balance entry for fund 501 # 16957 Cash Receipts Batch 50018-04-2012 123 Computer Checks Batch 2012 04 00008 129 Fund balance entry for fund 501 # 16970 Cash Receipts Batch 25018-04-2012 149 Fund balance entry for fund 501 # 17019 Cash Receipts Batch 50020-04-2012 152 Fund balance entry for fund 501 # 17064 Cash Receipts Batch 02520-04-2012 159 Fund balance entry for fund 501 # 17084 Cash Receipts Batch 50023-04-2012 178 Fund balance entry for fund 501 # 17154 Cash Receipts Batch 50025-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 14.00 0.00 979.50 0.00 1,594.00 0.00 0.00 27.50 42,807.62 0.00 193,265.91 0.00 27.50 0.00 905.35 0.00 686.00 0.00 0.00 1,485.92 570.00 0.00 27.50 0.00 0.00 0.00 0.00 27.83 263.50 8.00 89,953.80 0.00 501-000-110100 Totals: Equity In Pooled Cash 4/3/2012 CR 12 4/3/2012 4/5/2012 PR CR 12 12 4/11/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 4/18/2012 PR CR 12 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/30/2012 4/30/2012 GL GL PR GL 12 12 12 12 198 Fund balance entry for fund 501 # 17252 Cash Receipts Batch 50027-04-2012 211 Fund balance entry for fund 501 # 17314 Cash Receipts Batch 25030-04-2012 256 safety clean credit deposited 4/17/12 to wrong account 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 corr coding aflac refund GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget 0.00 0.00 0.00 Page 339 Account Number Description 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL WO WO CR 12 12 12 12 4/30/2012 CR 12 4/30/2012 4/30/2012 PR GL 12 12 Budget Beginning Balance 269 275 283 285 monthly school bus trans /admin costs WO Dist Batch IC1 - 00008.04.2012 WO Dist Batch WO3 - 00001.04.2012 Fund balance entry for fund 501 # 17790 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 501 # 17802 Cash Receipts Batch 50121-04-2012 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 292 ranney 1st two ins prems Debit This Period Credit This Period 0.00 0.00 0.00 1,535.27 5,289.85 29,788.18 27,046.79 0.00 1,585.67 0.00 0.00 0.00 8,738.21 1,037.58 Ending Balance 501-000-110201 Totals: Iptip 0.00 0.00 2,247,267.94 202,599.03 337,411.33 2,112,455.64 501-000-115000 501-000-115000 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 501-000-120500 501-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 501-000-120600 501-000-120600 Totals: Fixed Asset Investment 0.00 0.00 0.00 0.00 0.00 0.00 501-000-125100 501-000-125100 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 501-000-130100 0.00 350.00 0.00 50.00 0.00 953.00 216.00 766.00 50.00 116.00 298.00 50.00 721.00 100.00 316.00 804.00 266.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/3/2012 CR 12 4/5/2012 CR 12 4/11/2012 CR 12 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 15 Charters Tazewell County Health Dept# 16562 Cash Receipts Batch 50003-04-2012 37 Charters St Joseph School # 16636 Cash Receipts Batch 50205-04-2012 69 108 CONTRACT/K - 8 Chicago Public# Schools 16769 Cash Receipts Batch 50011-04-2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 340 Account Number Description 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 102 102 102 102 102 102 102 102 102 102 102 102 102 102 102 111 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/20/2012 CR 12 149 4/20/2012 CR 12 149 4/20/2012 CR 12 149 4/20/2012 CR 12 149 4/23/2012 CR 12 159 4/25/2012 CR 12 178 4/25/2012 CR 12 178 4/27/2012 CR 12 198 501-000-140100 Budget Beginning Balance AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 Charters Ywca # 16916 Cash Receipts Batch 50017-04-2012 Charters Wilson School # 16956 Cash Receipts Batch 50018-04-2012 Charters TMCSEA # 16957 Cash Receipts Batch 50018-04-2012 Charters Pekin Public Schools District # 17019 Cash Receipts Batch 50020-04-2012 108 CONTRACT/K - 8 Pekin Public Schools # 17019 District Cash Receipts Batch 50020-04-2012 Charters Pekin Public Schools District # 17019 Cash Receipts Batch 50020-04-2012 108 CONTRACT/K - 8 Pekin Public Schools # 17019 District Cash Receipts Batch 50020-04-2012 108 CONTRACT/K - 8 Anna Hernandez # Chicago 17084 Public Schools Cash Receipts Batch 50023-04-2012 Charters Hobby Horse # 17153 Cash Receipts Batch 50025-04-2012 108 CONTRACT/K - 8 Knoxville District # 17154 202 Cash Receipts Batch 50025-04-2012 108 CONTRACT/K - 8 Knox - Warren#County 17252Dist 205 Cash Receipts Batch 50027-04-2012 Debit This Period Credit This Period 64,030.41 185,603.91 5,691.00 200.00 900.00 3,955.00 1,368.00 75,704.04 37,979.33 1,424.00 5,187.00 144.00 1,000.65 630.00 630.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 116.00 0.00 266.00 0.00 1,328.00 0.00 804.00 0.00 185,603.91 0.00 1,424.00 0.00 5,187.00 0.00 905.35 0.00 116.00 0.00 570.00 0.00 570.00 Ending Balance 501-000-130100 Totals: Due From General Fund 0.00 0.00 13,398.91 388,150.34 198,243.26 203,305.99 501-000-140100 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 341 Account Number Description 501-000-150100 Land Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 501-000-150100 Totals: Land Improvements 0.00 0.00 0.00 0.00 0.00 0.00 501-000-150200 501-000-150200 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 501-000-150500 501-000-150500 Totals: Building Improvements 0.00 0.00 95,306.36 0.00 0.00 95,306.36 501-000-150600 501-000-150600 Totals: Electronics & Office Equip 0.00 0.00 0.00 0.00 0.00 0.00 501-000-151000 501-000-151000 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 501-000-151500 501-000-151500 Totals: Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 501-000-152000 501-000-152000 Totals: Construction In Progress 0.00 0.00 3,044,837.28 0.00 0.00 3,044,837.28 501-000-153000 501-000-153000 Totals: Accum Deprec - Land Impro 0.00 0.00 0.00 0.00 0.00 0.00 501-000-155200 501-000-155200 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 501-000-155500 501-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 0.00 0.00 0.00 0.00 501-000-155600 501-000-155600 Totals: Accum Deprec - Electronics 0.00 0.00 0.00 0.00 0.00 0.00 501-000-156000 501-000-156000 Totals: Accum Deprec - Mach & Equ 0.00 0.00 0.00 0.00 0.00 0.00 501-000-156500 501-000-156500 Totals: Accum Deprec - Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 501-000-157000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 342 Account Number Description 501-000-157000 Totals: 501-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -1,962,524.00 0.00 0.00 -1,962,524.00 0.00 3,438,411.49 590,749.37 535,654.59 3,493,506.27 Page 343 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 3,438,411.49 590,749.37 535,654.59 3,493,506.27 0.00 281.44 0.00 281.44 ASSETS Totals: LIABILITIES 501-000-211000 4/30/2012 PR 501-000-219000 Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 501-000-211000 Totals: Accounts Payable 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 53,136.69 53,136.69 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 1,485.92 1,485.92 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 78,418.00 -281.44 501-000-219000 Totals: Lease / Purchase Payable 0.00 0.00 0.00 54,622.61 133,040.61 -78,418.00 501-000-219700 501-000-219700 Totals: Due To Accounts Payable I 0.00 0.00 0.00 0.00 0.00 0.00 501-000-220677 501-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 501-000-220688 501-000-220688 Totals: Retained Earnings 0.00 0.00 0.00 0.00 0.00 0.00 501-000-290200 501-000-290200 Totals: Reserve For Encumbrances 0.00 0.00 -3,368,207.64 0.00 0.00 -3,368,207.64 501-000-290300 501-000-290300 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -3,368,207.64 54,622.61 133,322.05 -3,446,907.08 501-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 344 Account Number Description LIABILITIES Totals: FUND BALANCE 501-000-390100 Fund Balance Beg Year 501-000-390100 Totals: 501-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -3,368,207.64 54,622.61 133,322.05 -3,446,907.08 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 345 Account Number Description FUND BALANCE Totals: Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 64,030.41 185,603.91 5,187.00 144.00 1,000.65 630.00 630.00 247.00 REVENUE 501-501 501-501-440500 Transfer From City Bus 0.00 501-501-450011 501-501-440500 Totals: District 108 Contract Fa 0.00 2,205,000.00 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/20/2012 AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 102 102 102 102 102 102 102 149 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 Dist 108 Contracts Pekin Public Schools # District 17019 Cash Receipts Batch 50020-04-2012 501-501-450011 Totals: Tcrc Var: 120,484.54 501-501-450012 501-501-450012 Totals: District 303 Var: -4,300.00 501-501-450013 4/16/2012 4/16/2012 4/16/2012 AR AR AR 501-501-450020 12 12 12 CR 12 4/18/2012 CR 12 4/20/2012 CR 12 4/30/2012 CR 12 501-501-450030 4/16/2012 AR 0.00 257,472.97 -2,084,515.46 87,500.00 945,000.00 -91,800.00 0.00 0.00 -91,800.00 0.00 0.00 0.00 900.00 75,704.04 37,979.33 Var: -84,049.87 0.00 114,583.37 0.00 14.00 0.00 27.50 0.00 27.50 0.00 27.50 0.00 96.50 0.00 216.00 945,000.00 0.00 -914,466.50 94 Bus passes Mona Scalf # 16849 Cash Receipts Batch 25013-04-2012 129 Bus passes Sandy Kline # 16970 Cash Receipts Batch 25018-04-2012 152 Samantha Brown # 17064 Cash Receipts Batch 02520-04-2012 211 Bus passes Carrie Jenkins For Logan Parrish # 17314 Cash Receipts Batch 25030-04-2012 501-501-450020 Totals: Bus Special Charters 12 -1,827,042.49 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 102 AR Invoices 00017.04.2012 501-501-450013 Totals: Bus passes 4/13/2012 2,205,000.00 87,500.00 102 AR Invoices 00017.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -8,072.75 0.00 100,000.00 -7,976.25 -1,029,049.87 -8,072.75 Page 346 Account Number 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 4/16/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 102 102 102 102 102 102 102 102 102 102 102 102 102 102 102 Budget Beginning Balance AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 AR Invoices 00017.04.2012 Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 766.00 50.00 116.00 298.00 50.00 721.00 100.00 316.00 804.00 266.00 5,691.00 200.00 3,955.00 1,368.00 1,424.00 Ending Balance 501-501-450030 Totals: Other Contractual Revenue Var: -40,836.27 100,000.00 0.00 -124,495.27 0.00 16,341.00 -140,836.27 501-501-454500 501-501-454500 Totals: Interest Earnings Var: -4,671.30 0.00 24,000.00 -4,671.30 0.00 0.00 -4,671.30 501-501-490100 4/30/2012 CR 12 4/30/2012 CR 12 285 Interest MARCH CM INTEREST Cash Receipts Batch 50118-04-2012 286 Interest April CM interest Cash Receipts Batch 50121-04-2012 501-501-494100 501-501-490100 Totals: Restitution 501-501-499800 501-501-494100 Totals: Miscellaneous Receipts 4/17/2012 CR 12 4/17/2012 CR 12 4/2/2012 GL 12 # 17790 0.00 1,535.27 # 17802 0.00 1,585.67 Var: 5,166.66 24,000.00 0.00 -15,712.40 0.00 3,120.94 -18,833.34 0.00 0.00 0.00 0.00 0.00 0.00 0.00 263.50 0.00 600.00 263.50 0.00 111 Misc Receipts SAFETY-KLEEN/CREDIT # 16918 PMNT Cash Receipts Batch 50017-04-2012 111 Misc Receipts NORD TRADING/BUS#AUCTION 16919 Cash Receipts Batch 50017-04-2012 256 safety clean credit deposited 4/17/12 to wrong account 501-501-499800 Totals: 501-501 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -4,839.85 0.00 -4,239.85 263.50 863.50 -4,839.85 3,361,500.00 -2,990,404.06 263.50 392,478.28 -3,382,618.84 Page 347 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 3,361,500.00 -2,990,404.06 263.50 392,478.28 -3,382,618.84 67,362.48 0.00 33,640.09 77,753.30 0.00 7,978.29 0.00 0.00 27.83 0.00 186,734.16 27.83 620.73 1,159.80 1,465.22 0.00 0.00 0.00 3,245.75 0.00 853.60 0.00 EXPENSE 501-501 501-501-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 4/30/2012 PR PR GL PR 12 12 12 12 501-501-515000 4/3/2012 4/18/2012 4/30/2012 PR PR PR 501-501-515500 4/18/2012 PR 123 261 266 288 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 corr coding aflac refund Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 501-501-511600 Totals: Overtime 12 12 12 Var: -103,380.70 1,335,143.86 0.00 1,251,818.23 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 501-501-515000 Totals: Vacation Pay 12 1,335,143.86 19 Computer Checks Batch 2012 04 00007 Var: -45,489.12 0.00 0.00 42,243.37 123 Computer Checks Batch 2012 04 00008 1,438,524.56 45,489.12 501-501-515500 Totals: Holiday Pay Var: -5,053.08 0.00 0.00 4,199.48 853.60 0.00 5,053.08 501-501-515600 501-501-515600 Totals: Sick Pay Var: -43,007.09 0.00 0.00 43,007.09 0.00 0.00 43,007.09 501-501-515800 227.36 454.72 0.00 0.00 682.08 0.00 4,219.31 2,228.16 4,901.51 493.71 0.00 0.00 0.00 0.00 11,842.69 0.00 986.80 521.15 1,146.28 0.00 0.00 0.00 4/3/2012 4/18/2012 PR PR 501-501-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 501-501-517001 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 501-501-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 0.00 82,778.88 910.96 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 501-501-517000 Totals: Medicare/city Share 1.45% 12 12 12 Var: -1,593.04 Var: -12,052.38 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 82,778.88 19,359.58 82,988.57 1,593.04 94,831.26 Page 348 Account Number 4/30/2012 PR 501-501-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 501-501-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 4/30/2012 PR PR PR PR GL Description 12 19 123 261 288 19 123 261 288 292 Var: -2,818.10 19,359.58 31,113.31 19,408.05 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 501-501-517401 Totals: Group Insurance 12 12 12 12 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 501-501-517001 Totals: Imrf 12 12 12 12 Budget Var: -15,885.97 31,113.31 39,453.04 40,107.32 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 ranney 1st two ins prems Debit This Period Credit This Period 115.40 0.00 2,769.63 0.00 2,370.38 1,732.97 2,556.62 231.99 0.00 0.00 0.00 0.00 6,891.96 0.00 2,068.13 2,217.13 2,130.87 200.26 1,037.58 0.00 0.00 0.00 0.00 0.00 Ending Balance 22,177.68 46,999.28 501-501-518000 Totals: Liability Insurance Packa Var: -11,711.18 39,453.04 16,320.15 43,510.25 7,653.97 0.00 51,164.22 501-501-518100 501-501-518100 Totals: Unemployment Insurance Var: -7,416.73 16,320.15 0.00 23,736.88 0.00 0.00 23,736.88 501-501-518200 501-501-518200 Totals: Workers Comp Insurance Var: -1,185.00 0.00 45,911.76 1,185.00 0.00 0.00 1,185.00 501-501-518300 501-501-518300 Totals: Mileage 45,911.76 0.00 45,911.76 0.00 0.00 45,911.76 501-501-518700 501-501-518700 Totals: Training And Education 0.00 1,500.00 0.00 0.00 0.00 0.00 501-501-519000 501-501-519000 Totals: Transfer To General Fund 1,500.00 0.00 761.31 0.00 0.00 761.31 501-501-520100 5,289.85 0.00 4/30/2012 GL 12 Var: 738.69 269 monthly school bus trans /admin costs 501-501-520100 Totals: Office Supplies Var: -63,478.20 0.00 2,500.00 58,188.35 5,289.85 0.00 63,478.20 501-501-520200 501-501-520200 Totals: Postage Var: 128.97 2,500.00 250.00 2,371.03 0.00 0.00 2,371.03 501-501-520400 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 349 Account Number 4/2/2012 GL Description 12 Budget Beginning Balance 260 april 2012 postage 501-501-520500 501-501-520400 Totals: Transfer To Municipal Bus 501-501-520695 Credit This Period 8.00 0.00 Ending Balance 250.00 0.00 125.08 8.00 0.00 133.08 501-501-520500 Totals: Transfer To Insurance Fun 0.00 0.00 0.00 0.00 0.00 0.00 501-501-520695 Totals: Transfer To Vehicle Maint 0.00 0.00 0.00 0.00 0.00 0.00 501-501-520699 501-501-520699 Totals: Photographic Supplies 0.00 50.00 0.00 0.00 0.00 0.00 501-501-522000 501-501-522000 Totals: General Supplies Var: 50.00 50.00 2,500.00 0.00 0.00 0.00 0.00 501-501-522400 501-501-522400 Totals: Lease/rental Of Equipment Var: 1,837.35 2,500.00 500.00 662.65 0.00 0.00 662.65 501-501-524000 501-501-524000 Totals: Equipment Var: 450.28 500.00 2,000.00 49.72 0.00 0.00 49.72 501-501-529000 501-501-529000 Totals: Automotive Expense Var: -3,304.01 2,000.00 420,000.00 5,304.01 0.00 0.00 5,304.01 501-501-534000 Ck# 106682 60.00 0.00 Ck# 106710 93.00 0.00 Ck# 106710 124.00 0.00 Ck# 106735 110.00 0.00 Ck# 106910 93.00 0.00 Ck# 106910 93.00 0.00 Ck# 106945 200.00 0.00 Ck# 107181 31.00 0.00 Ck# 107181 186.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Var: 116.92 Debit This Period 79 10385 - Look's Upholstery 5 seat repairs - bus dept 79 10495 - Pence's Ag Repair Inc inspection on bus #46, 65, 48 79 10495 - Pence's Ag Repair Inc inspection on bus #98, 77, 78, 99 79 10641 - Tazewell Towing towing bus 83 184 10495 - Pence's Ag Repair Inc bus inspection on #43, 20 and 4 184 10495 - Pence's Ag Repair Inc bus inspection on #102, 100 and 101 184 10641 - Tazewell Towing towing bus #5 276 10495 - Pence's Ag Repair Inc inspection on bus #1 276 10495 - Pence's Ag Repair Inc GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 350 Account Number 4/30/2012 WO Description 12 Budget Beginning Balance inspection on bus #54, 59, 41, 58, 10 and 60 283 WO Dist Batch WO3 - 00001.04.2012 Debit This Period Credit This Period 27,046.79 0.00 Ending Balance 501-501-534000 Totals: Equipment Repairs Var: 20,244.30 420,000.00 500.00 371,718.91 28,036.79 0.00 399,755.70 501-501-534400 501-501-534400 Totals: Maintenance Agreements Var: -3,231.35 500.00 1,750.00 3,731.35 0.00 0.00 3,731.35 501-501-538000 501-501-538000 Totals: Utilities Var: -418.27 1,750.00 12,000.00 2,168.27 0.00 0.00 2,168.27 501-501-550100 449.22 0.00 128.66 0.00 577.88 0.00 Ck# 106746 73.52 0.00 Ck# 106818 54.70 0.00 128.22 0.00 269.00 0.00 4/12/2012 AP 12 4/26/2012 AP 12 501-501-550300 501-501-550100 Totals: Telephone 4/12/2012 AP 12 4/26/2012 AP 12 501-501-551000 4/26/2012 AP 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - bus dept 184 10021 - Amerencilco Ck# 106797 elec at 1130 koch st unit b - bus dept 79 10685 - Verizon Wireless cell phone for whitford 184 10111 - CenturyLink phone service - bus dept 501-501-550300 Totals: Printing And Publications 12 Var: 2,543.24 Var: -486.43 12,000.00 1,400.00 1,400.00 500.00 8,878.88 1,758.21 184 11847 - Amateur Sports Promotation Ck# 106796 pchs sports calendar 9,456.76 1,886.43 501-501-551000 Totals: Dues And Subscriptions Var: -690.00 500.00 250.00 921.00 269.00 0.00 1,190.00 501-501-551600 501-501-551600 Totals: Mealslodging Var: 127.00 250.00 0.00 123.00 0.00 0.00 123.00 501-501-554200 501-501-554200 Totals: Radio Expense Var: -793.16 0.00 2,000.00 793.16 0.00 0.00 793.16 501-501-555000 8,900.00 0.00 39,522.50 0.00 48,422.50 0.00 4/12/2012 AP 12 4/12/2012 AP 12 79 10162 - E & S Communications Ck# 106626 installing 10 new raidos on buses 79 10162 - E & S Communications Ck# 106626 final 1/2 payment on installing 80 new raidos on buses 501-501-555000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -85,945.00 2,000.00 39,522.50 87,945.00 Page 351 Account Number Description 501-501-556100 Gasoline/diesel Fuel 4/26/2012 AP 12 4/30/2012 WO 12 501-501-557200 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/26/2012 AP 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Ck# 106957 Var: -33,391.21 300,000.00 3,000.00 303,592.04 79 10335 - IWIRC Ck# 106665 bus driver recert physical/alcorn 79 10335 - IWIRC Ck# 106665 ds/j. gensel 79 10335 - IWIRC Ck# 106665 vaccine/k. meyers 79 10335 - IWIRC Ck# 106665 ds/k. meyers 79 10335 - IWIRC Ck# 106665 bus driver recert phy/cleer 184 11335 - Ty Whitford Ck# 106957 bus courses 184 11460 - Paul Herren Ck# 106861 cdl reimbursement/herren - bus dept 184 11850 - Jean Gensel Ck# 106853 reimbursement for cdl/gensel, j - bus dept 184 11850 - Jean Gensel Ck# 106853 reimbursement for bus permit/gensel, j - bus dept 276 11091 - Firm Systems Ck# 107108 fingerprinting for alcorn - bus dept 276 11371 - Michael Schurman Ck# 107201 cdl renewal/schurman - bus department 501-501-557200 Totals: Medical Expense/supplies 12 Beginning Balance 184 10335 - IWIRC Var: -2,249.25 3,000.00 10,000.00 4,732.00 Ck# 106871 physical/herren - bus dept 184 10335 - IWIRC Ck# 106871 physical/morrison - bus dept 184 10335 - IWIRC Ck# 106871 physical/williams - bus dept 184 10749 - Green Guard First Aid & Safety Ck# 106857 first air supplies - bus dept 501-501-559000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 10.99 0.00 29,788.18 0.00 29,799.17 0.00 94.00 0.00 40.00 0.00 11.25 0.00 96.00 0.00 94.00 0.00 18.00 0.00 50.00 0.00 50.00 0.00 4.00 0.00 10.00 0.00 50.00 0.00 517.25 0.00 94.00 0.00 94.00 0.00 105.25 0.00 193.82 0.00 487.07 0.00 Ending Balance 300,000.00 184 11335 - Ty Whitford gas in transportation vehicle 275 WO Dist Batch IC1 - 00008.04.2012 501-501-556100 Totals: License And Inspection Fe 4/12/2012 501-501-559000 Budget Var: -2,560.51 10,000.00 12,073.44 333,391.21 5,249.25 12,560.51 Page 352 Account Number Description 501-501-559900 Provisions For Bad Debts Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 501-501-559900 Totals: Auditing Fees 0.00 0.00 0.00 0.00 0.00 0.00 501-501-560100 501-501-560100 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 501-501-560600 501-501-560600 Totals: Legal expense 0.00 0.00 0.00 0.00 0.00 0.00 501-501-561000 501-501-561000 Totals: Other Contractual Service Var: -1,163.25 0.00 0.00 1,163.25 0.00 0.00 1,163.25 501-501-569000 501-501-569000 Totals: Purchase Of Property Var: -78.35 0.00 0.00 78.35 0.00 0.00 78.35 501-501-580200 501-501-580200 Totals: Building Purchase/constru 0.00 0.00 0.00 0.00 0.00 0.00 501-501-580400 501-501-580400 Totals: Building Repair 0.00 0.00 0.00 0.00 0.00 0.00 501-501-580401 501-501-580401 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 501-501-587000 501-501-587000 Totals: Lease / Purchase Equipmen 0.00 0.00 0.00 0.00 0.00 0.00 501-501-587001 501-501-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 501-501-587100 501-501-587100 Totals: Vehicles 0.00 460,000.00 0.00 0.00 0.00 0.00 501-501-587500 35,149.00 0.00 21,496.00 0.00 21,496.00 0.00 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 276 10683 - Velde Ford Ck# 107227 2013 ford explorer - bus dept 276 10829 - Uftring Chrysler Dodge Jeep Ck# 107222 2012 dodge caravan - bus dept 276 10829 - Uftring Chrysler Dodge Jeep Ck# 107222 2012 dodge caravan - bus dept GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 353 Account Number Description 501-501-590600 501-501-587500 Totals: Bank Charges 501-501-599000 501-501-590600 Totals: Miscellaneous 4/26/2012 AP 12 184 11854 - Sandy Kline refund of bus pass 501-501-599700 501-501-599000 Totals: Fixed Asset Disposal 501-501-599801 501-501-599700 Totals: Computer Software 4/12/2012 AP 12 Var: -81,147.00 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 460,000.00 0.00 463,006.00 78,141.00 0.00 541,147.00 0.00 0.00 0.00 0.00 0.00 0.00 27.50 0.00 Ck# 106876 Var: -672.44 79 11773 - Tyler Technologies, Inc. final digital map program - bus dept 0.00 0.00 644.94 27.50 0.00 672.44 0.00 0.00 0.00 0.00 0.00 0.00 3,469.20 0.00 Ck# 106743 501-501-599801 Totals: Computer Hardware Var: -41,742.00 0.00 0.00 38,272.80 3,469.20 0.00 41,742.00 501-501-599802 501-501-599802 Totals: Depreciation Expense Var: -533.00 0.00 0.00 533.00 0.00 0.00 533.00 501-501-599900 501-501-599900 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 501-501-599999 501-501-599999 Totals: 0.00 0.00 0.00 0.00 0.00 2,790,780.58 2,920,200.21 415,847.27 27.83 3,336,019.65 501-501 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 354 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 2,790,780.58 2,920,200.21 415,847.27 27.83 3,336,019.65 570,719.42 0.00 1,061,482.75 1,061,482.75 0.00 501 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 355 Account Number Description 525 ASSETS 525-000-110100 Petty Cash 525-000-110201 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 50.00 0.00 0.00 50.00 15 Fund balance entry for fund 525 # 16589 Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 27 Electronic AP Checks Batch: 2012-3-5 37 Fund balance entry for fund 525 # 16655 Cash Receipts Batch 50205-04-2012 53 Fund balance entry for fund 525 # 16703 Cash Receipts Batch 50006-04-2012 60 Fund balance entry for fund 525 # 16749 Cash Receipts Batch 50010-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 1,877.09 0.00 0.00 0.00 140.00 2,762.47 552.00 0.00 4,282.28 0.00 455.00 0.00 0.00 41,124.63 88 Fund balance entry for fund 525 # 16853 Cash Receipts Batch 50513-04-2012 96 Fund balance entry for fund 525 # 16910 Cash Receipts Batch 50016-04-2012 111 Fund balance entry for fund 525 # 16929 Cash Receipts Batch 50017-04-2012 115 Fund balance entry for fund 525 # 16958 Cash Receipts Batch 50018-04-2012 123 Computer Checks Batch 2012 04 00008 139 Electronic AP Checks Batch: 2012-4-2 149 Fund balance entry for fund 525 # 17025 Cash Receipts Batch 50020-04-2012 159 Fund balance entry for fund 525 # 17078 Cash Receipts Batch 50023-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 1,598.37 0.00 1,562.53 0.00 355.49 0.00 140.00 0.00 0.00 0.00 35.00 2,762.47 633.00 0.00 3,369.57 0.00 0.00 18,042.01 140.00 0.00 1,508.96 0.00 0.00 0.00 0.00 2,762.47 328.86 51.30 525-000-110100 Totals: Equity In Pooled Cash 4/3/2012 CR 12 4/3/2012 4/4/2012 4/5/2012 PR CH CR 12 12 12 4/9/2012 CR 12 4/10/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 4/19/2012 4/20/2012 PR CH CR 12 12 12 4/23/2012 CR 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 PR PR GL 12 12 12 198 Fund balance entry for fund 525 # 17269 Cash Receipts Batch 50027-04-2012 205 Fund balance entry for fund 525 # 17296 Cash Receipts Batch 50030-04-2012 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 293 airport postage/wings & wheels GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 Page 356 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 525-000-110201 Totals: Fixed Asset Investment 0.00 0.00 -271,652.04 15,464.29 69,019.21 -325,206.96 525-000-125100 525-000-125100 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 525-000-130100 140.00 140.00 35.00 140.00 140.00 140.00 280.00 35.00 140.00 140.00 140.00 140.00 280.00 140.00 140.00 35.00 140.00 35.00 140.00 350.00 200.00 280.00 140.00 600.00 137.65 9.29 287.78 19.42 1,235.01 83.36 205.76 13.89 143.89 9.71 14.87 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 5 5 5 5 5 5 5 5 5 5 5 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 357 Account Number Description 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/5/2012 AR AR AR AR AR CR 12 12 12 12 12 12 5 5 5 5 5 37 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/9/2012 CR 12 53 4/10/2012 CR 12 60 4/10/2012 CR 12 60 4/10/2012 CR 12 60 4/10/2012 CR 12 60 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 Hangar Lease Bill Baker # 16655 Cash Receipts Batch 50205-04-2012 Monthly Hangar Rental Leo Stiles # 16687 Cash Receipts Batch 50006-04-2012 Monthly Hangar Rental Michael Reed # 16691 Cash Receipts Batch 50006-04-2012 Monthly Hangar Rental Holzwarth Flexsenhar,LLC # 16693 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Bill Hounshell # 16694 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Tax Bill Hounshell # 16694 Cash Receipts Batch 50006-04-2012 Monthly Hangar Rental Bill Hounshell # 16695 Cash Receipts Batch 50006-04-2012 Monthly Hangar Rental Allan Lurie # 16698 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 Hangar Lease Julio Morales # 16700 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Timothy Troyer # 16701 Cash Receipts Batch 50006-04-2012 Airport Gas Sales Tax Timothy Troyer # 16701 Cash Receipts Batch 50006-04-2012 Hangar Lease Timothy Troyer # 16702 Cash Receipts Batch 50006-04-2012 Hangar Lease Tim Fosdick # 16727 Cash Receipts Batch 50010-04-2012 Monthly Hangar Rental Dr Robert Ehrich # 16746 Cash Receipts Batch 50010-04-2012 Hangar Lease Dave Jones # 16748 Cash Receipts Batch 50010-04-2012 Hangar Lease Kevin Johnson # 16749 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1.00 106.00 7.15 116.55 7.87 0.00 0.00 0.00 0.00 0.00 0.00 140.00 0.00 35.00 0.00 200.00 0.00 350.00 0.00 143.89 0.00 9.71 0.00 280.00 0.00 280.00 0.00 6.00 0.00 287.78 0.00 19.42 0.00 140.00 0.00 106.00 0.00 7.15 0.00 140.00 0.00 140.00 0.00 35.00 0.00 140.00 0.00 140.00 Ending Balance Page 358 Account Number Description 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 4/18/2012 AR CR 12 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 Budget Beginning Balance Cash Receipts Batch 50010-04-2012 88 Monthly Hangar Rental Richard Cunningham # 16851 Cash Receipts Batch 50513-04-2012 88 Hangar Lease Greg Longfellow # 16852 Cash Receipts Batch 50513-04-2012 88 Airport Gas Sales Murray Brian # 16853 Cash Receipts Batch 50513-04-2012 88 Airport Gas Sales Tax Murray Brian # 16853 Cash Receipts Batch 50513-04-2012 96 Monthly Hangar Rental Greg Neaveill # 16896 Cash Receipts Batch 50016-04-2012 96 Airport Gas Sales Ric Woldow # 16899 Cash Receipts Batch 50016-04-2012 96 Airport Gas Sales Tax Ric Woldow # 16899 Cash Receipts Batch 50016-04-2012 112 AR Invoices 00022.04.2012 115 Hangar Lease Doyle Green # 16958 Cash Receipts Batch 50018-04-2012 149 Airport Mis John Kriegsman # 17025 Cash Receipts Batch 50020-04-2012 159 Airport Gas Sales Kent Cook # 17080 Cash Receipts Batch 50023-04-2012 159 Airport Gas Sales Tax Kent Cook # 17080 Cash Receipts Batch 50023-04-2012 159 Monthly Hangar Rental Kent Cook # 17081 Cash Receipts Batch 50023-04-2012 159 Hangar Lease Ken Lutz # 17082 Cash Receipts Batch 50023-04-2012 198 Monthly Hangar Rental John Kriegsman # 17269 Cash Receipts Batch 50027-04-2012 205 Hangar Lease Mark Gingerich # 17297 Cash Receipts Batch 50030-04-2012 Debit This Period Credit This Period 0.00 140.00 0.00 140.00 0.00 1,235.01 0.00 83.36 0.00 35.00 0.00 116.55 0.00 7.87 36.89 0.00 0.00 140.00 0.00 35.00 0.00 137.65 0.00 9.29 0.00 600.00 0.00 140.00 0.00 140.00 0.00 140.00 Ending Balance 525-000-130100 Totals: Provision for bad debt 0.00 0.00 1,149.29 6,526.09 5,699.68 1,975.70 525-000-130200 525-000-130200 Totals: Grants Receivable 0.00 0.00 -22,332.62 0.00 0.00 -22,332.62 525-000-130300 525-000-130300 Totals: Land 0.00 0.00 0.00 0.00 0.00 0.00 525-000-150100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 359 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 525-000-150100 Totals: Land Improvements 0.00 0.00 176,883.22 0.00 0.00 176,883.22 525-000-150200 525-000-150200 Totals: Buildings 0.00 0.00 770,604.03 0.00 0.00 770,604.03 525-000-150500 525-000-150500 Totals: Building Improvements 0.00 0.00 794,276.25 0.00 0.00 794,276.25 525-000-150600 525-000-150600 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 525-000-151500 525-000-151500 Totals: Construction In Progress 0.00 0.00 38,323.46 0.00 0.00 38,323.46 525-000-153000 525-000-153000 Totals: Accum Deprec - Land 0.00 0.00 0.00 0.00 0.00 0.00 525-000-155100 525-000-155100 Totals: Accum Deprec - Land Impro 0.00 0.00 0.00 0.00 0.00 0.00 525-000-155200 525-000-155200 Totals: Accum Deprec - Buildings 0.00 0.00 -727,501.00 0.00 0.00 -727,501.00 525-000-155500 525-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 -416,430.32 0.00 0.00 -416,430.32 525-000-155600 525-000-155600 Totals: Accum Deprec - Mach & Equ 0.00 0.00 -23,444.00 0.00 0.00 -23,444.00 525-000-156500 525-000-156500 Totals: Fuel Inventory 0.00 0.00 -18,801.00 0.00 0.00 -18,801.00 525-000-160100 Ck# 106593 39,934.45 0.00 Ck# 106804 15,496.29 0.00 0.00 10,677.60 55,430.74 10,677.60 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 GL 12 525-000-160200 79 10780 - Avfuel Corporation jet fuel - airport 184 10780 - Avfuel Corporation fuel - airport 268 monthly airport fuel entry 525-000-160100 Totals: Oil & Parts Inventory GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 16,679.52 61,432.66 Page 360 Account Number Description 525-000-160200 Totals: 525-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 317,804.79 77,421.12 85,396.49 309,829.42 Page 361 Account Number Description ASSETS Totals: LIABILITIES 525-000-211000 525-000-218800 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/12/2012 AR AR AR AR AR AR AR AP 525-000-219000 Accrued Wages 5 5 5 5 5 5 5 79 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 10298 - IL Dept of Revenue fuel sales tax - airport Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 317,804.79 77,421.12 85,396.49 309,829.42 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 633.00 9.29 83.36 13.89 9.71 1.00 7.15 7.87 0.00 633.00 132.27 0.00 525-000-211000 Totals: Sales Tax-Purchase of Gas 12 12 12 12 12 12 12 12 Budget 0.00 0.00 Ck# 0 525-000-218800 Totals: Accounts Payable 0.00 0.00 4,001.97 4/4/2012 4/12/2012 4/12/2012 CH AP AP 12 12 12 27 Electronic AP Checks Batch: 2012-3-5 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 552.00 0.00 41,124.63 0.00 41,757.63 0.00 4/19/2012 4/26/2012 4/26/2012 CH AP AP 12 12 12 139 Electronic AP Checks Batch: 2012-4-2 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 633.00 0.00 18,042.01 0.00 18,042.01 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 1,143.03 4,502.70 525-000-219000 Totals: Due To Accounts Payable I 0.00 0.00 -552.00 60,351.64 60,942.67 -1,143.03 525-000-220677 525-000-220677 Totals: Retained Earnings 0.00 0.00 0.00 0.00 0.00 0.00 525-000-290200 525-000-290200 Totals: City Contributed Capital 0.00 0.00 711,304.75 0.00 0.00 711,304.75 525-000-291000 525-000-291000 Totals: State Contributed Capital 0.00 0.00 -431,654.26 0.00 0.00 -431,654.26 525-000-292000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 362 Account Number 525-000-293000 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 525-000-292000 Totals: Federal Contributed Capit 0.00 0.00 -245,957.94 0.00 0.00 -245,957.94 525-000-293000 Totals: 0.00 -535,500.00 0.00 0.00 -535,500.00 0.00 -498,357.48 60,984.64 61,074.94 -498,447.78 525-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 363 Account Number Description LIABILITIES Totals: FUND BALANCE 525-000-390100 Fund Balance Beg Year 525-000-390100 Totals: 525-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -498,357.48 60,984.64 61,074.94 -498,447.78 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 364 Account Number Description FUND BALANCE Totals: REVENUE 525-525 525-525-440100 525-525-442600 Transfer From General Fund CR 12 4/17/2012 CR 12 525-525-450041 4/17/2012 AR Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 336.75 0.00 18.74 0.00 355.49 0.00 36.89 0.00 0.00 111 State Grant Airport INV. #92379/C15-4074 # 16928 Cash Receipts Batch 50017-04-2012 111 State Grant Airport INV #92379/C15-4074 # 16929 Cash Receipts Batch 50017-04-2012 525-525-442600 Totals: Sale of oil 12 Beginning Balance 0.00 525-525-440100 Totals: State Grants 4/17/2012 Budget Var: -29,294.32 0.00 250.00 -28,938.83 112 AR Invoices 00022.04.2012 -29,294.32 525-525-450041 Totals: Rental - Airport Shop Var: -180.00 250.00 15,600.00 -393.11 0.00 36.89 -430.00 525-525-453001 525-525-453001 Totals: Rental - Airport Hangars Var: 15,600.00 15,600.00 31,920.00 0.00 0.00 0.00 0.00 525-525-453002 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 140.00 140.00 35.00 140.00 140.00 140.00 280.00 35.00 140.00 140.00 140.00 140.00 280.00 140.00 140.00 35.00 140.00 35.00 140.00 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 4 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 365 Account Number 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 AR AR AR AR AR Description 12 12 12 12 12 4 4 4 4 4 Budget Beginning Balance AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 AR Invoices 00002.04.2012 Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 350.00 200.00 280.00 140.00 600.00 Ending Balance 525-525-453002 Totals: Rental - Tie Down Spaces Var: -12,577.76 31,920.00 120.00 -40,407.76 0.00 4,090.00 -44,497.76 525-525-453003 525-525-453003 Totals: Sale of Gas Var: 120.00 120.00 75,000.00 0.00 0.00 0.00 0.00 525-525-453004 137.65 287.78 19.42 1,235.01 205.76 143.89 14.87 106.00 116.55 1,877.09 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 4/3/2012 AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 5 5 5 5 5 5 5 5 5 15 4/9/2012 CR 12 53 4/16/2012 CR 12 96 4/23/2012 CR 12 159 4/30/2012 CR 12 205 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 AR Invoices 00003.04.2012 Airport Gas Sales AVFUEL Cash Receipts Batch 50003-04-2012 Airport Gas Sales AVFUEL Cash Receipts Batch 50006-04-2012 Airport Gas Sales AVFUEL/MARCH Cash Receipts Batch 50016-04-2012 Airport Gas Sales AVFUEL Cash Receipts Batch 50023-04-2012 Airport Gas Sales AVFUEL Cash Receipts Batch 50030-04-2012 525-525-490100 525-525-453004 Totals: Interest Earnings 525-525-491000 525-525-490100 Totals: Rental Of Municipal Prope 525-525-499800 525-525-491000 Totals: Miscellaneous Receipts 525-525-499800 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16589 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 # 16703 0.00 2,277.33 # 16910 0.00 1,403.11 # 17078 0.00 2,482.63 # 17296 0.00 1,368.96 Var: -72,908.54 75,000.00 0.00 -136,232.49 0.00 11,676.05 -147,908.54 0.00 6,000.00 0.00 0.00 0.00 0.00 Var: -1,943.00 6,000.00 400.00 -7,943.00 0.00 0.00 -7,943.00 Var: 21,433.78 400.00 21,033.78 0.00 0.00 21,033.78 Page 366 Account Number Description 525-525 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 129,290.00 -192,881.41 0.00 16,158.43 -209,039.84 Page 367 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 129,290.00 -192,881.41 0.00 16,158.43 -209,039.84 1,689.12 0.00 1,689.12 1,689.12 219.60 0.00 0.00 0.00 EXPENSE 525-525 525-525-511600 Salary All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 48,927.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 525-525-511600 Totals: Overtime Var: 5,673.96 525-525-515000 48,927.00 0.00 37,966.08 5,286.96 0.00 43,253.04 525-525-515500 525-525-515000 Totals: Vacation Var: -335.70 0.00 0.00 335.70 0.00 0.00 335.70 525-525-515600 525-525-515500 Totals: Holiday Var: -1,351.20 0.00 0.00 1,351.20 0.00 0.00 1,351.20 525-525-515600 Totals: Sick Time Var: -2,559.12 0.00 0.00 2,559.12 0.00 0.00 2,559.12 525-525-515800 525-525-515800 Totals: OASDI 0.00 3,033.48 0.00 0.00 0.00 0.00 525-525-517000 101.31 101.31 101.31 13.29 0.00 0.00 0.00 0.00 317.22 0.00 23.69 23.69 23.69 3.10 0.00 0.00 0.00 0.00 74.17 0.00 203.36 203.36 203.36 0.00 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 525-525-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 525-525-517401 4/3/2012 4/18/2012 4/30/2012 PR PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 525-525-517000 Totals: Medicare 12 12 12 12 19 123 261 288 3,033.48 709.44 2,552.27 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 525-525-517001 Totals: IMRF 12 12 12 Var: 163.99 Var: 38.42 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 709.44 4,216.24 596.85 2,869.49 671.02 Page 368 Account Number 4/30/2012 PR 525-525-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 Beginning Balance 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 525-525-517401 Totals: Health Ins Prem 12 12 12 12 Budget 19 123 261 288 Var: -543.87 4,216.24 15,888.29 4,129.69 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 525-525-518000 Totals: Liability Insurance Packa Var: -984.04 525-525-518100 525-525-518100 Totals: Work Comp Premium Var: -4,027.10 525-525-518300 525-525-519000 525-525-518300 Totals: Training And Education 525-525-520200 Debit This Period Credit This Period 20.34 0.00 630.42 0.00 744.99 744.99 744.99 72.53 0.00 0.00 0.00 0.00 Ending Balance 4,760.11 15,888.29 1,101.45 14,564.83 2,307.50 0.00 16,872.33 1,101.45 493.00 5,128.55 0.00 0.00 5,128.55 Var: 493.00 493.00 100.00 0.00 0.00 0.00 0.00 525-525-519000 Totals: Office Supplies Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 525-525-520200 Totals: Postage Var: -227.31 0.00 50.00 227.31 0.00 0.00 227.31 525-525-520400 525-525-520400 Totals: General Supplies Var: -9.26 50.00 550.00 59.26 0.00 0.00 59.26 525-525-522400 Ck# 107107 49.64 0.00 Ck# 107148 0.00 17.99 Ck# 107148 17.99 0.00 Ck# 107165 76.38 0.00 144.01 17.99 35.00 0.00 35.00 0.00 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 525-525-524000 4/26/2012 AP 276 10181 - Fastenal Company chain and duct tape - airport 276 10414 - Menard's returned supplies - airport 276 10414 - Menard's supplies - airport 276 10825 - Nieman Foods Inc fasteners - airport 525-525-522400 Totals: Equipment Rental 12 Var: -294.13 550.00 0.00 718.11 184 10780 - Avfuel Corporation Ck# 106804 rental on credit card machine - airport 525-525-524000 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,024.66 0.00 989.66 844.13 1,024.66 Page 369 Account Number Description 525-525-529000 4/30/2012 AP Budget Equipment 12 276 10414 - Menard's special order bulbs - airport Beginning Balance Debit This Period Credit This Period 212.38 0.00 Ending Balance 85,700.00 Ck# 107148 525-525-529000 Totals: Automotive Expense Var: 78,837.62 85,700.00 1,500.00 6,650.00 212.38 0.00 6,862.38 525-525-534000 525-525-534000 Totals: Buildings And Grounds Rep Var: 964.59 1,500.00 51,750.00 535.41 0.00 0.00 535.41 525-525-534200 127.26 0.00 1,580.00 0.00 474.00 0.00 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 79 10571 - Schaefer Plumbing & Piping Inc Ck# 106721 airport bathroom repairs 184 11853 - Dan's Signs Ck# 106834 repair large airport sign & paint flag pole 276 10367 - Laser Electric Inc Ck# 107141 checked northgate switch - airport 525-525-534200 Totals: Equipment Repairs Var: 45,980.56 51,750.00 10,000.00 3,588.18 2,181.26 0.00 5,769.44 525-525-534400 525-525-534400 Totals: Property Cleanup Fees Var: 6,529.75 10,000.00 0.00 3,470.25 0.00 0.00 3,470.25 525-525-536100 525-525-536100 Totals: Snow Removal - Salt And C 0.00 0.00 0.00 0.00 0.00 0.00 525-525-536300 525-525-536300 Totals: Maintenance Agreement 0.00 0.00 0.00 0.00 0.00 0.00 525-525-538000 525-525-538000 Totals: Utilities 0.00 15,000.00 1,500.00 0.00 0.00 1,500.00 525-525-550100 Ck# 106584 35.61 0.00 Ck# 106584 53.31 0.00 Ck# 106584 27.46 0.00 Ck# 106584 133.93 0.00 Ck# 106584 127.01 0.00 Ck# 106584 104.56 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 79 10021 - Amerencilco elec. at unit A - airport 79 10021 - Amerencilco elec. at hanger 1 - airport 79 10021 - Amerencilco elec. at unit B1 - airport 79 10021 - Amerencilco gas & elec. at unit C - airport 79 10021 - Amerencilco elec. at unit B - airport 79 10021 - Amerencilco gas at unit B - airport GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,500.00 Page 370 Account Number 4/12/2012 AP 525-525-550300 4/26/2012 AP Description 12 Beginning Balance 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - 3 airport units B1, B and A 525-525-550100 Totals: Telephone 12 Budget Var: 1,121.40 184 10111 - CenturyLink phone service - airport 15,000.00 3,000.00 12,968.05 Ck# 106818 Debit This Period Credit This Period 428.67 0.00 910.55 0.00 196.51 0.00 Ending Balance 13,878.60 525-525-550300 Totals: Dues And Subscriptions Var: 681.29 3,000.00 100.00 2,122.20 196.51 0.00 2,318.71 525-525-551600 525-525-551600 Totals: Fuel Var: 100.00 100.00 0.00 0.00 0.00 0.00 0.00 525-525-556100 525-525-556100 Totals: Cost of Gas Sold Var: -76.42 0.00 70,000.00 76.42 0.00 0.00 76.42 525-525-556200 10,677.60 0.00 4/30/2012 GL 12 268 monthly airport fuel entry 525-525-556202 525-525-556200 Totals: Cost of Parts Sold 525-525-557300 70,000.00 0.00 125,687.04 10,677.60 0.00 136,364.64 525-525-556202 Totals: Epa Permits 0.00 0.00 0.00 0.00 0.00 0.00 525-525-557300 Totals: Provisions For Bad Debts 0.00 0.00 0.00 0.00 0.00 0.00 525-525-559900 525-525-559900 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 525-525-560600 525-525-560600 Totals: Legal Fees 0.00 0.00 0.00 0.00 0.00 0.00 525-525-561000 525-525-561000 Totals: Engineering Fees 0.00 4,000.00 0.00 0.00 0.00 0.00 525-525-561200 355.49 0.00 4/26/2012 AP 12 Var: -66,364.64 184 10138 - Crawford Murphy & Tilly Ck# 106831 proj. c15-4070 east ga ramp const. engineer - airport 525-525-561301 525-525-561200 Totals: Concrete Testing Var: -127,237.79 525-525-561301 Totals: Var: -176.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 4,000.00 0.00 130,882.30 355.49 0.00 131,237.79 0.00 176.00 0.00 0.00 176.00 Page 371 Account Number Description 525-525-566600 4/12/2012 AP 525-525-569000 Budget Debit This Period Credit This Period 60.00 0.00 60.00 0.00 Ck# 106592 52.72 0.00 Ck# 106715 39.65 0.00 Ck# 106802 52.72 0.00 Ck# 107066 60.63 0.00 Pest Control 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Ending Balance 0.00 79 10251 - Harris Pest Control service at airport 525-525-566600 Totals: Other Contractual Service Beginning Balance Ck# 106646 Var: -420.00 79 10032 - AUCA Rockford (Aramark) mat service - airport 79 10766 - Puritan Springs Water water delivered for airport 184 10032 - AUCA Rockford (Aramark) mats at airport 276 10032 - AUCA Rockford (Aramark) mat service - airport 0.00 6,500.00 360.00 420.00 525-525-569000 Totals: Land Improvements Var: 4,136.00 6,500.00 15,000.00 2,158.28 205.72 0.00 2,364.00 525-525-580201 525-525-580201 Totals: Building Repairs Var: 3,788.00 15,000.00 0.00 11,212.00 0.00 0.00 11,212.00 525-525-580401 525-525-580401 Totals: Miscellaneous 0.00 500.00 0.00 0.00 0.00 0.00 525-525-599000 Ck# 106909 326.00 0.00 Ck# 107229 270.00 0.00 51.30 0.00 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 GL 12 184 10493 - Pekin Trophy House trophies for wings & wheels 276 11433 - Visa (business) 1000 color copies - airport 293 airport postage/wings & wheels 525-525-599700 525-525-599000 Totals: Fixed Asset Disposal 525-525-599802 500.00 0.00 869.34 647.30 0.00 1,516.64 525-525-599700 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 525-525-599802 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 525-525-599900 525-525-599900 Totals: Contingency 0.00 0.00 0.00 0.00 0.00 0.00 525-525-599999 525-525-599999 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,016.64 Page 372 Account Number Description 525-525 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 338,118.90 373,434.10 24,242.09 17.99 397,658.20 Page 373 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 338,118.90 373,434.10 24,242.09 17.99 397,658.20 -208,828.90 0.00 162,647.85 162,647.85 0.00 525 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 374 Account Number Description 570 ASSETS 570-000-110201 Budget Equity In Pooled Cash Beginning Balance Debit This Period Credit This Period 0.00 9,000.00 6,257.18 0.00 0.00 82.89 Ending Balance 0.00 4/3/2012 4/12/2012 PR CR 12 12 19 Computer Checks Batch 2012 04 00007 78 Fund balance entry for fund 570 # 16824 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4/12/2012 AP 12 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 6,257.18 1,829.07 4/30/2012 4/30/2012 4/30/2012 PR GL PR 12 12 12 261 Computer Checks Batch 2012 05 00009 279 april office supplies 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 0.00 0.00 0.00 6,257.18 57.90 624.30 570-000-110201 Totals: Iptip 0.00 0.00 -215,819.63 9,000.00 21,365.70 -228,185.33 570-000-115000 570-000-115000 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 570-000-120600 570-000-120600 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 570-000-130100 9,000.00 0.00 0.00 9,000.00 4/3/2012 4/12/2012 AR CR 12 12 8 AR Invoices 00004.04.2012 78 ED Property Rental Illinois Central College # 16824 Cash Receipts Batch 50512-04-2012 570-000-130100 Totals: Edloans Receivable 0.00 0.00 0.00 9,000.00 9,000.00 0.00 570-000-135700 570-000-135700 Totals: East Court Village II 0.00 0.00 284,897.32 0.00 0.00 284,897.32 570-000-135770 570-000-135770 Totals: East Court Village I 0.00 0.00 416,984.00 0.00 0.00 416,984.00 570-000-135771 570-000-135771 Totals: Due From General Fund 0.00 0.00 1,586,331.99 0.00 0.00 1,586,331.99 570-000-140100 570-000-140100 Totals: Due From Hud 0.00 0.00 0.00 0.00 0.00 0.00 570-000-140261 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 375 Account Number Description 570-000-140261 Totals: 570-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 2,072,393.68 18,000.00 30,365.70 2,060,027.98 Page 376 Account Number Description ASSETS Totals: LIABILITIES 570-000-211000 570-000-219000 Accrued Wages 570-000-211000 Totals: Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 2,072,393.68 18,000.00 30,365.70 2,060,027.98 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 82.89 82.89 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 1,829.07 1,829.07 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 1,011.81 570-000-219000 Totals: Due To Hud Metro Developm 0.00 0.00 0.00 1,911.96 2,923.77 -1,011.81 570-000-220261 570-000-220261 Totals: Due To Accounts Payable I 0.00 0.00 0.00 0.00 0.00 0.00 570-000-220677 570-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 570-000-220688 570-000-220688 Totals: Retained Earnings 0.00 0.00 0.00 0.00 0.00 0.00 570-000-290200 570-000-290200 Totals: City Contributed Capital 0.00 0.00 -2,104,233.41 0.00 0.00 -2,104,233.41 570-000-291000 570-000-291000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -2,104,233.41 1,911.96 2,923.77 -2,105,245.22 570-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 377 Account Number Description LIABILITIES Totals: FUND BALANCE 570-000-390100 Fund Balance Beg Year 570-000-390100 Totals: 570-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -2,104,233.41 1,911.96 2,923.77 -2,105,245.22 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 378 Account Number Description FUND BALANCE Totals: REVENUE 570-570 570-570-440100 Transfer From General Fund Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 570-570-440100 Totals: Federal Grants 0.00 0.00 0.00 0.00 0.00 0.00 570-570-442500 570-570-442500 Totals: State Grants 0.00 0.00 0.00 0.00 0.00 0.00 570-570-442600 570-570-442600 Totals: Interest Earnings 0.00 0.00 0.00 0.00 0.00 0.00 570-570-490100 570-570-490100 Totals: Loan Interest Var: -4,000.00 0.00 0.00 -4,000.00 0.00 0.00 -4,000.00 570-570-490101 570-570-490101 Totals: Rental Of Municipal Prope Var: -668.70 0.00 96,000.00 -668.70 0.00 0.00 -668.70 570-570-491000 0.00 9,000.00 4/3/2012 AR 12 8 AR Invoices 00004.04.2012 570-570-491500 570-570-491000 Totals: Sale Of Municipal Propert 570-570-493600 96,000.00 0.00 -82,000.00 0.00 9,000.00 -91,000.00 570-570-491500 Totals: Training Reimbursements 0.00 0.00 0.00 0.00 0.00 0.00 570-570-493600 Totals: Donations 0.00 0.00 0.00 0.00 0.00 0.00 570-570-499210 570-570-499210 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 570-570-499800 570-570-499800 Totals: Cash Over/short 0.00 0.00 -215.99 0.00 0.00 -215.99 570-570-499802 0.00 0.00 0.00 0.00 0.00 96,000.00 -86,884.69 0.00 9,000.00 -95,884.69 570-570-499802 Totals: 570-570 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 5,000.00 Var: -215.99 Page 379 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 96,000.00 -86,884.69 0.00 9,000.00 -95,884.69 4,451.20 0.00 2,609.68 4,451.20 445.12 0.00 0.00 0.00 EXPENSE 570-570 570-570-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 570-570-515000 570-570-511600 Totals: Overtime 570-570-515500 570-570-515000 Totals: Vacation Pay 4/18/2012 PR 12 60,363.21 19 Computer Checks Batch 2012 04 00007 Var: -22,024.26 60,363.21 0.00 70,430.27 11,957.20 0.00 82,387.47 0.00 0.00 0.00 0.00 0.00 0.00 1,841.52 0.00 123 Computer Checks Batch 2012 04 00008 570-570-515500 Totals: Holiday Pay Var: -4,896.00 0.00 0.00 3,054.48 1,841.52 0.00 4,896.00 570-570-515600 570-570-515600 Totals: Sick Pay Var: -3,503.28 0.00 0.00 3,503.28 0.00 0.00 3,503.28 570-570-515800 570-570-515800 Totals: Oasdi/city Share 6.2% Var: -618.23 0.00 3,759.45 618.23 0.00 0.00 618.23 570-570-517000 272.43 272.43 272.43 27.25 0.00 0.00 0.00 0.00 844.54 0.00 63.69 63.69 63.69 6.37 0.00 0.00 0.00 0.00 197.44 0.00 669.89 669.89 0.00 0.00 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 570-570-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 570-570-517401 4/3/2012 4/18/2012 PR PR 12 12 12 12 19 123 261 288 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 570-570-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 3,759.45 879.23 4,779.48 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 570-570-517001 Totals: Imrf 12 12 Var: -1,864.57 Var: -435.87 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 879.23 7,276.35 1,117.66 5,624.02 1,315.10 Page 380 Account Number 4/30/2012 4/30/2012 PR PR 570-570-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 19 123 261 288 570-570-518000 Totals: Liability Insurance Packa 570-570-518300 570-570-518100 Totals: Workers Comp Insurance 570-570-518700 570-570-518300 Totals: Mileage AP 12 4/30/2012 AP 12 570-570-519000 AP 12 4/30/2012 AP 12 570-570-520200 4/30/2012 GL 184 11047 - Leigh Ann Matthews ed mileage/matthews 276 10027 - Pamela Anderson mileage for edc/anderson 570-570-518700 Totals: Training And Education 4/30/2012 7,276.35 6,091.51 10,035.62 Var: -3,672.65 570-570-520200 Totals: Transfer To Hud #2 570-570-520400 570-570-520261 Totals: Postage 570-570-520400 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 669.89 66.99 0.00 0.00 2,076.66 0.00 799.97 799.97 799.97 78.57 0.00 0.00 0.00 0.00 Ending Balance 12,112.28 7,285.68 2,478.48 0.00 9,764.16 0.00 157.65 0.00 0.00 0.00 0.00 157.65 2,000.00 0.00 0.00 0.00 0.00 Ck# 106884 41.07 0.00 Ck# 107060 93.94 0.00 135.01 0.00 17.21 0.00 125.00 0.00 142.21 0.00 57.90 0.00 Var: 157.65 Var: 752.54 2,000.00 5,400.00 1,112.45 Var: 2,771.75 5,400.00 0.00 2,486.04 279 april office supplies 570-570-520261 Debit This Period 6,091.51 0.00 276 10027 - Pamela Anderson Ck# 107060 continuing education for edc/anderson 276 11462 - IL Enterprise Zone AssociationCk# 107127 bi-annual enterprise zone assoc. conference 570-570-519000 Totals: Office Supplies 12 Var: -4,835.93 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 570-570-518100 4/26/2012 Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 570-570-517401 Totals: Group Insurance 12 12 12 12 Budget Var: -444.68 Var: -397.92 1,247.46 2,628.25 0.00 0.00 386.78 57.90 0.00 444.68 0.00 150.00 0.00 0.00 0.00 0.00 150.00 547.92 0.00 0.00 547.92 Page 381 Account Number Description 570-570-520695 Transfer To Insurance Fun 0.00 570-570-524000 570-570-520695 Totals: Lease/rental Of Equipment 570-570-529000 570-570-524000 Totals: Equipment 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 570-570-529000 Totals: Equipment Repairs 570-570-538000 570-570-534400 Totals: Maintenance Agreements 570-570-550300 570-570-538000 Totals: Telephone AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,788.00 0.00 54.16 0.00 34.31 0.00 39.60 0.00 184 11853 - Dan's Signs Ck# 106834 marketing signs for available city property 276 10181 - Fastenal Company Ck# 107107 marketing signs for available city property 276 10181 - Fastenal Company Ck# 107107 marketing signs for available city property 276 10518 - Praxair Distribution Inc Ck# 107186 marketing signs for available city property 570-570-534400 4/12/2012 Budget Var: -1,916.07 0.00 0.00 0.00 1,916.07 0.00 1,916.07 0.00 0.00 0.00 0.00 0.00 0.00 0.00 600.00 0.00 0.00 0.00 0.00 57.89 0.00 150.00 0.00 79 10685 - Verizon Wireless Ck# 106746 cell phone for matthews 276 10027 - Pamela Anderson Ck# 107060 phone for march and april 2012/anderson 570-570-550300 Totals: Printing And Publications Var: -834.34 600.00 3,000.00 1,226.45 207.89 0.00 1,434.34 570-570-551000 570-570-551000 Totals: Dues And Subscriptions Var: 2,030.00 3,000.00 11,600.00 970.00 0.00 0.00 970.00 570-570-551600 570-570-551600 Totals: Mealslodging Var: 11,135.00 11,600.00 0.00 465.00 0.00 0.00 465.00 570-570-554200 25.00 0.00 32.69 0.00 4/12/2012 AP 12 4/30/2012 AP 12 79 10478 - Pekin Area Chamber of Commerce Ck# 106704 leadership academy banquet/anderson - edc 276 10027 - Pamela Anderson Ck# 107060 meeting for edc/anderson GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 382 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 1,617.91 57.69 0.00 1,675.60 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,468.75 0.00 0.00 1,468.75 570-570-560500 570-570-554200 Totals: Consulting Fees 570-570-560600 570-570-560500 Totals: Corporate Counsel Fees 570-570-561000 570-570-560600 Totals: Legal Fees 570-570-561000 Totals: Engineering Fees 0.00 0.00 0.00 0.00 0.00 0.00 570-570-561200 570-570-561200 Totals: Build Illinois Grants 0.00 0.00 0.00 0.00 0.00 0.00 570-570-567500 570-570-567500 Totals: Sales Tax Rebate 0.00 0.00 0.00 0.00 0.00 0.00 570-570-568102 570-570-568102 Totals: Other Contractual Service 0.00 0.00 0.00 0.00 0.00 0.00 570-570-569000 570-570-569000 Totals: Purchase Of Property 0.00 0.00 0.00 0.00 0.00 0.00 570-570-580200 570-570-580200 Totals: Building Purchase/constru 0.00 0.00 0.00 0.00 0.00 0.00 570-570-580400 570-570-580400 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 570-570-587100 570-570-587100 Totals: Real Estate Tax Expense 0.00 0.00 0.00 0.00 0.00 0.00 570-570-590300 570-570-590300 Totals: Bank Charges 0.00 0.00 6,964.80 0.00 0.00 6,964.80 570-570-590600 570-570-590600 Totals: Developer Agreement Payme 0.00 0.00 0.00 0.00 0.00 0.00 570-570-591200 570-570-591200 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,675.60 Budget Var: -1,468.75 Var: -6,964.80 Page 383 Account Number Description 570-570-591300 Developer Credit Applied 570-570-593300 570-570-591300 Totals: Lien Filing Fee 570-570-598100 570-570-593300 Totals: Public Relations 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,000.00 0.00 0.00 0.00 0.00 209.90 0.00 28.00 0.00 227.00 0.00 0.00 276 10117 - CJ's Café-Java-Spirits Ck# 107090 edac business leaders forum and business prospect lunch 276 10117 - CJ's Café-Java-Spirits Ck# 107090 business prospect lunch 276 11873 - Affordable Limousine Ck# 107055 business prospect site tour transportation 570-570-599000 570-570-598100 Totals: Miscellaneous 570-570-599801 570-570-599802 1,000.00 0.00 653.62 464.90 0.00 1,118.52 570-570-599000 Totals: Computer Software 0.00 0.00 0.00 0.00 0.00 0.00 570-570-599801 Totals: Computer Hardware 0.00 0.00 0.00 0.00 0.00 0.00 570-570-599802 Totals: 0.00 0.00 0.00 0.00 0.00 102,277.40 118,724.42 22,377.51 0.00 141,101.93 570-570 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -118.52 Page 384 Account Number Description 570-571 570-571-567500 Incentive Grants Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 570-571-567500 Totals: Loan Expense 0.00 0.00 0.00 0.00 0.00 0.00 570-571-583000 570-571-583000 Totals: General Public Improvement 0.00 0.00 0.00 0.00 0.00 0.00 570-571-584009 570-571-584009 Totals: Developer Agreements 0.00 0.00 0.00 0.00 0.00 0.00 570-571-591200 570-571-591200 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 570-571 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 385 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 102,277.40 118,724.42 22,377.51 0.00 141,101.93 -6,277.40 0.00 42,289.47 42,289.47 0.00 570 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 386 Account Number Description 677 FUND BALANCE 677-000-390100 Fund Balance Beg Year 677-000-390100 Totals: 677-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 387 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 0.00 0.00 0.00 0.00 677 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 388 Account Number Description 688 FUND BALANCE 688-000-390100 Fund Balance Beg Year 688-000-390100 Totals: 688-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 389 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 0.00 0.00 0.00 0.00 688 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 390 Account Number Description 695 ASSETS 695-000-110200 Operating Account 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL GL GL GL GL 12 12 12 12 12 12 12 12 12 12 12 12 695-000-110201 Budget Beginning Balance Credit This Period 3,746.11 0.00 9,331.25 110,953.41 0.00 9,253.75 109,763.11 29,777.00 0.00 181.05 35,734.66 4,955.41 5,784.14 7,080.69 0.00 0.00 311,582.53 0.00 0.00 0.00 11,228.74 0.00 0.00 0.00 0.00 0.00 326,560.58 322,811.27 0.00 0.00 -273,107.52 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 319,532.94 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 11,228.74 4/2/2012 4/2/2012 GL GL 12 12 234 a/p 4/13/12 255 a/p 4/27/12 319,532.94 11,228.74 0.00 0.00 330,761.68 330,761.68 0.00 253.93 0.00 253.93 0.00 1,989.61 0.00 1,989.61 0.00 0.00 8.74 231.00 0.00 2,149.88 0.00 957.59 1,393.68 0.00 695-000-110214 4/2/2012 GL 695-000-110217 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 GL GL GL GL GL GL GL 695-000-110201 Totals: Operating Acct Work Comp 12 12 12 12 12 12 12 12 0.00 0.00 0.00 234 a/p 4/13/12 695-000-110214 Totals: Operating Acct Sec125 Flex 225 227 236 241 248 252 289 april flex transf payroll liability transfer ppe 3-31 april flex transf ppe 4-14 liability transf april flex transf april flex transf apr int GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance 0.00 207 Insurance Premiums VANTAGECARE/PREMIUMS # 17311 Cash Receipts Batch 50330-04-2012 227 payroll liability transfer ppe 3-31 227 payroll liability transfer ppe 3-31 234 a/p 4/13/12 241 ppe 4-14 liability transf 241 ppe 4-14 liability transf 249 reimb. from taz. co. for 2011 health fair 255 a/p 4/27/12 289 apr int 292 haller sick time transfer 292 b hill used vacation time for hlth prems 292 reimb for 1st 2 mo prems/eri people 294 health prem 695-000-110200 Totals: Equity In Pooled Cash Debit This Period 0.00 0.00 -224,596.68 -269,358.21 0.00 -224,850.61 Page 391 Account Number 695-000-110218 4/2/2012 GL 695-000-115000 4/30/2012 CR Description 695-000-110217 Totals: Operating Acct Liability Ins 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 8,106.50 3,987.96 4,732.15 7,362.31 0.00 7,696.48 0.00 7,696.48 0.03 0.00 234 a/p 4/13/12 695-000-110218 Totals: Iptip 12 Budget 218 Interest IPTIP APRIL IPTIP Cash Receipts Batch 50302-04-2012 0.00 0.00 # 110,432.29 17391 102,735.81 695-000-115000 Totals: Iptip Work Comp 0.00 0.00 473.40 0.03 0.00 473.43 695-000-115014 695-000-115014 Totals: Iptip Liability Ins 0.00 0.00 0.00 0.00 0.00 0.00 695-000-115018 695-000-115018 Totals: Treasury Bill 0.00 0.00 0.00 0.00 0.00 0.00 695-000-120500 695-000-120500 Totals: Certificates Of Deposit 0.00 0.00 0.00 0.00 0.00 0.00 695-000-120600 695-000-120600 Totals: Certificates Of Deposit/WComp 0.00 0.00 0.00 0.00 0.00 0.00 695-000-120614 695-000-120614 Totals: Certificates Of Deposit/Liabil 0.00 0.00 0.00 0.00 0.00 0.00 695-000-120618 695-000-120618 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 695-000-130100 695-000-130100 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 695-000-140100 695-000-140100 Totals: Prepaid Expense 0.00 0.00 0.00 0.00 0.00 0.00 695-000-180000 695-000-180000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -378,692.01 661,310.25 666,255.51 -383,637.27 695-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 392 Account Number Description ASSETS Totals: LIABILITIES 695-000-219000 Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -378,692.01 661,310.25 666,255.51 -383,637.27 0.00 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 319,532.94 319,532.94 0.00 4/26/2012 4/26/2012 AP AP 12 12 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 11,228.74 11,228.74 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 251,618.86 695-000-219000 Totals: Due To General Fund 0.00 0.00 0.00 330,761.68 582,380.54 -251,618.86 695-000-220100 695-000-220100 Totals: Due To Accounts Payable 0.00 0.00 0.00 0.00 0.00 0.00 695-000-220677 695-000-220677 Totals: Premium Trust R Hough 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233001 695-000-233001 Totals: Premium Trust Dan Smith 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233002 695-000-233002 Totals: Premium Trust J Comisky 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233003 695-000-233003 Totals: Premium Trust Ziegenbein 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233004 695-000-233004 Totals: Sick Time Acct Haller 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233005 0.00 35,734.66 4/30/2012 GL 12 292 haller sick time transfer 695-000-233005 Totals: Premium Trust Hamann 0.00 0.00 0.00 0.00 35,734.66 -35,734.66 695-000-233006 695-000-233006 Totals: Premium Trust Kluever 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233007 695-000-233007 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 393 Account Number Description 695-000-233008 Premium Trust Dixon Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 695-000-233008 Totals: Premium Trust Janssen 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233009 695-000-233009 Totals: Premium Trust Bonnette 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233010 695-000-233010 Totals: Premium Trust 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233011 695-000-233011 Totals: Premium Trust Clor 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233012 695-000-233012 Totals: Sick Time Acct Abel 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233013 695-000-233013 Totals: Sick Time Acct/r Reis 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233014 695-000-233014 Totals: Sick Time Acct Bottomley 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233015 695-000-233015 Totals: Sick Time Acct Faux 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233016 2,404.86 206.40 0.00 0.00 2,611.26 0.00 2,404.86 206.40 0.00 0.00 4/2/2012 4/30/2012 GL GL 695-000-233017 4/2/2012 4/30/2012 GL GL 12 12 253 faux sick time nov 2012-april 2012 292 corr prem balances 695-000-233016 Totals: Sick Time Acct Guerra 12 12 0.00 0.00 -11,331.61 253 guerra sick time nov 2012-april 2012 292 corr prem balances -8,720.35 695-000-233017 Totals: Sick Time Acct/Lauss 0.00 0.00 -17,758.47 2,611.26 0.00 -15,147.21 695-000-233018 695-000-233018 Totals: Sick Time Acct/Breaden 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233019 1,670.82 198.30 0.00 0.00 4/2/2012 4/30/2012 GL GL 12 12 253 breaden sick time nov 2012-april 2012 292 corr prem balances GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 394 Account Number 695-000-233020 4/2/2012 4/30/2012 GL GL Description 695-000-233019 Totals: Sick Time Acct/Pagliaro 12 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 -1,869.12 1,869.12 0.00 0.00 1,670.82 198.30 0.00 0.00 253 pagliaro sick time nov 2012-april 2012 292 corr prem balances 695-000-233020 Totals: Sick Time Acct/Pollock 0.00 0.00 -19,133.87 1,869.12 0.00 -17,264.75 695-000-233021 695-000-233021 Totals: Sick Time Acct/Kief 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233022 695-000-233022 Totals: Sick Time Acct/Gleason 0.00 0.00 0.00 0.00 0.00 0.00 695-000-233023 4,469.94 517.05 0.00 0.00 4,986.99 0.00 1,670.82 200.19 0.00 0.00 1,871.01 0.00 3,320.01 0.00 0.00 4,955.41 3,320.01 4,955.41 3,407.16 447.46 0.00 0.00 3,854.62 0.00 1,155.88 179.80 0.00 0.00 0.00 5,784.14 1,335.68 5,784.14 4/2/2012 4/30/2012 GL GL 695-000-233024 4/2/2012 4/30/2012 GL GL 695-000-233025 4/2/2012 4/30/2012 GL GL 695-000-233026 4/2/2012 4/30/2012 GL GL 695-000-233027 4/2/2012 4/30/2012 4/30/2012 GL GL GL 695-000-290200 12 12 253 gleason sick time nov 2012-april 2012 292 corr prem balances 695-000-233023 Totals: Sick Time Acct/Bourdeau 12 12 -4,991.47 0.00 0.00 1,635.40 253 lauss sick time nov 2012-april 2012 292 corr prem balances 695-000-233026 Totals: Sick Time Accounts 12 12 12 0.00 0.00 253 b. hill sick time nov 2012-march 2012 292 b hill used vacation time for hlth prems 695-000-233025 Totals: Sick Time Acct/Lauss 12 12 -8,391.21 253 m. bourdeaux sick time nov 2012-april 2012 292 corr prem balances 695-000-233024 Totals: Sick Time Account/Bill Hill 12 12 0.00 0.00 0.00 0.00 -77,827.46 253 gary haller began using sick time 3/1/2012 292 gillespie trust/hlth prem 292 reimb for 1st 2 mo prems/eri people 695-000-233027 Totals: Retained Earnings GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 4,448.46 -3,404.22 -3,120.46 0.00 -73,972.84 0.00 Page 395 Account Number 695-000-291000 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 695-000-290200 Totals: City Contributed Capital 0.00 0.00 309,290.16 0.00 0.00 309,290.16 695-000-291000 Totals: 0.00 -115,000.00 0.00 0.00 -115,000.00 0.00 59,070.81 355,090.75 628,854.75 -214,693.19 695-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 396 Account Number Description LIABILITIES Totals: FUND BALANCE 695-000-390100 Fund Balance Beg Year 695-000-390100 Totals: 695-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 59,070.81 355,090.75 628,854.75 -214,693.19 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 397 Account Number Description FUND BALANCE Totals: REVENUE 695-092 695-092-479100 4/2/2012 4/2/2012 GL GL 695-092-490100 4/30/2012 GL 695-092-499801 Sec 125 Flex Plan Contrib 12 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,989.61 1,989.61 0.00 3,979.22 0.00 8.74 0.00 227 payroll liability transfer ppe 3-31 241 ppe 4-14 liability transf 695-092-479100 Totals: Interest 12 Budget Var: -47,606.10 0.00 0.00 -43,626.88 289 apr int 695-092-490100 Totals: Write Off Outstanding Che 695-092-499801 Totals: 695-092 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -69.87 -47,606.10 0.00 0.00 -61.13 0.00 8.74 -69.87 0.00 0.00 0.00 0.00 0.00 0.00 -43,688.01 0.00 3,987.96 -47,675.97 Page 398 Account Number Description 695-093 695-093-440100 Transfer From General Fund Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 272,294.40 0.00 0.00 0.00 0.00 272,294.40 0.00 -304,591.01 0.00 0.00 -304,591.01 0.00 695-093-440501 695-093-440100 Totals: Transfer From School Bus 695-093-450500 695-093-440501 Totals: Premiums 695-093-490100 695-093-450500 Totals: Interest Earnings 695-093-490100 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 695-093-499800 695-093-499800 Totals: 0.00 0.00 0.00 0.00 0.00 272,294.40 -304,591.01 0.00 0.00 -304,591.01 695-093 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -32,296.61 Page 399 Account Number Description 695-094 695-094-440100 Transfer From General Fund 695-094-440501 695-094-440100 Totals: Transfer From School Bus 695-094-450500 695-094-440501 Totals: Premiums 695-094-490100 695-094-450500 Totals: Interest Earnings 695-094-499800 695-094-490100 Totals: Miscellaneous Receipts 695-094-499800 Totals: 695-094 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 508,488.00 0.00 0.00 0.00 0.00 508,488.00 0.00 -515,778.54 0.00 0.00 -515,778.54 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -6,245.98 0.00 0.00 -6,245.98 508,488.00 -522,024.52 0.00 0.00 -522,024.52 0.00 Var: -7,290.54 Var: -6,245.98 Page 400 Account Number Description 695-095 695-095-440100 Transfer From General Fund 695-095-450500 4/12/2012 AP 12 12 184 4/26/2012 AP 12 184 4/26/2012 AP 12 184 4/30/2012 CR 12 207 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 GL GL GL GL GL GL GL GL GL GL GL GL GL AP 12 12 12 12 12 12 12 12 12 12 12 12 12 12 227 227 241 241 253 253 253 253 253 253 253 253 253 276 4/30/2012 4/30/2012 4/30/2012 GL GL GL 12 12 12 292 292 294 12 4/30/2012 GL 12 Credit This Period Ending Balance 0.00 2,955,353.02 0.00 0.00 0.00 0.00 525.00 0.00 185.15 0.00 185.15 0.00 525.00 0.00 0.00 3,746.11 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 525.00 9,331.25 110,953.41 9,253.75 109,763.11 2,404.86 2,404.86 3,407.16 1,670.82 1,670.82 4,469.94 1,670.82 3,320.01 1,155.88 0.00 0.00 0.00 0.00 1,974.10 179.80 7,080.69 1,945.30 274,457.39 0.00 0.03 0.00 181.05 0.00 181.08 payroll deducted emplyee health premiums 10126 - Kevin Cone Ck# 106825 fire insurance trust reimb./cone 10586 - James Sego Ck# 106928 fire insurance trust fund/sego 10776 - Tazewell/Pekin Consolidated Communications Ck# 106946 Center p/r deducted empl health premiums - tpccc Insurance Premiums VANTAGECARE/PREMIUMS # 17311 Cash Receipts Batch 50330-04-2012 payroll liability transfer ppe 3-31 payroll liability transfer ppe 3-31 ppe 4-14 liability transf ppe 4-14 liability transf guerra sick time nov 2012-april 2012 faux sick time nov 2012-april 2012 lauss sick time nov 2012-april 2012 breaden sick time nov 2012-april 2012 pagliaro sick time nov 2012-april 2012 gleason sick time nov 2012-april 2012 m. bourdeaux sick time nov 2012-april 2012 b. hill sick time nov 2012-march 2012 gary haller began using sick time 3/1/2012 10776 - Tazewell/Pekin Consolidated Communications Ck# 107212 Center p/r deducted empl health premiums corr prem balances gillespie trust/hlth prem health prem 695-095-450500 Totals: Interest Earnings CR Debit This Period 79 10642 - USE #10776 INSTEAD TPCCC Ck# 106740 AP 4/30/2012 Beginning Balance 0.00 695-095-440100 Totals: Premiums 4/26/2012 695-095-490100 Budget Var: 76,416.58 218 Interest IPTIP APRIL IPTIP Cash Receipts Batch 50302-04-2012 289 apr int 695-095-490100 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 2,955,353.02 10,000.00 -2,606,424.35 17391 Var: 7,913.98 10,000.00 -1,904.94 -2,878,936.44 -2,086.02 Page 401 Account Number Description 695-095-495200 Excess Health Insurance R Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 -1,292.02 0.00 0.00 -1,292.02 0.00 695-095-495400 695-095-495200 Totals: Ppo Refund 695-095-495400 Totals: Drug Card Rebate 0.00 0.00 0.00 0.00 0.00 0.00 695-095-495500 695-095-495500 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 695-095-499800 695-095-499800 Totals: Write Off Outstanding Che 0.00 0.00 -3,732.06 0.00 0.00 -3,732.06 695-095-499801 0.00 0.00 0.00 0.00 0.00 2,965,353.02 -2,613,353.37 1,945.30 274,638.47 -2,886,046.54 695-095-499801 Totals: 695-095 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,292.02 Var: -3,732.06 Page 402 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 3,746,135.42 -3,483,656.91 1,945.30 278,626.43 -3,760,338.04 231.00 2,149.88 957.59 1,393.68 0.00 0.00 0.00 0.00 EXPENSE 695-092 695-092-517300 4/2/2012 4/2/2012 4/2/2012 4/2/2012 GL GL GL GL 695-092-590600 Sec 125 Flex Plan Claims 12 12 12 12 225 236 248 252 0.00 april flex transf april flex transf april flex transf april flex transf 695-092-517300 Totals: Bank Charges 695-092-590600 Totals: 695-092 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -45,976.68 0.00 0.00 41,244.53 4,732.15 0.00 45,976.68 0.00 0.00 0.00 0.00 0.00 0.00 41,244.53 4,732.15 0.00 45,976.68 Page 403 Account Number Description 695-093 695-093-518110 Claims Paid / General 695-093-518123 695-093-518110 Totals: Claims Paid / Sanitation 695-093-518125 695-093-518123 Totals: Claims Paid/Airport 695-093-518131 695-093-518125 Totals: Claims Paid / Sewerage 695-093-518132 695-093-518131 Totals: Claims Paid / Street Dept 695-093-518133 695-093-518132 Totals: Claims Paid / Police Prot 4/12/2012 AP 12 79 11398 - Cook's Auto Body Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 -8,590.64 0.00 0.00 -8,590.64 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -249.50 0.00 0.00 -249.50 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 8,214.31 0.00 0.00 8,214.31 7,696.48 0.00 0.00 Var: 8,590.64 Var: 249.50 Var: -8,214.31 Ck# 106618 repaired vehicle 2010 chevrolet tahoe ls 4 dr wagon/ 133289 695-093-518133 Totals: Claims Paid / Fire Prot Var: -5,279.99 0.00 0.00 -2,416.49 7,696.48 0.00 5,279.99 695-093-518134 695-093-518134 Totals: Claims Paid / School Bus Var: -300.20 0.00 0.00 300.20 0.00 0.00 300.20 695-093-518151 695-093-518151 Totals: Claims Paid / Economic De Var: 328.66 0.00 0.00 -328.66 0.00 0.00 -328.66 695-093-518157 695-093-518157 Totals: Claims Paid / Tpccc 0.00 0.00 0.00 0.00 0.00 0.00 695-093-518190 695-093-518190 Totals: Mechanics 0.00 0.00 0.00 0.00 0.00 0.00 695-093-518199 695-093-518199 Totals: Premiums Paid 0.00 272,294.40 0.00 0.00 0.00 0.00 695-093-518400 695-093-518400 Totals: Training And Education 272,294.40 0.00 316,831.00 0.00 0.00 316,831.00 695-093-519000 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -44,536.60 Page 404 Account Number 695-093-560600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 695-093-519000 Totals: Corporate Counsel Fees 0.00 0.00 0.00 0.00 0.00 0.00 695-093-560600 Totals: 0.00 0.00 0.00 0.00 0.00 272,294.40 313,760.22 7,696.48 0.00 321,456.70 695-093 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 405 Account Number Description 695-094 695-094-518310 Workers Comp / General Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 695-094-518310 Totals: Workers Comp / Sanitation 0.00 0.00 0.00 0.00 0.00 0.00 695-094-518323 695-094-518323 Totals: Workers Comp / Sewerage 0.00 0.00 0.00 0.00 0.00 0.00 695-094-518331 695-094-518331 Totals: Workers Comp / Street Dep 0.00 0.00 42.00 0.00 0.00 42.00 695-094-518332 695-094-518332 Totals: Workers Comp / Police Pro 0.00 0.00 0.00 0.00 0.00 0.00 695-094-518333 695-094-518333 Totals: Workers Comp / Fire Prote 0.00 0.00 1,785.22 0.00 0.00 1,785.22 695-094-518334 Ck# 106640 3.93 0.00 Ck# 106665 42.00 0.00 Ck# 106665 40.00 0.00 Ck# 106665 42.00 0.00 Ck# 106665 42.00 0.00 Ck# 106665 42.00 0.00 Ck# 106665 42.00 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 79 10221 - Genex Services Inc workmans comp/stubbs 79 10335 - IWIRC ds/barth 79 10335 - IWIRC ds/rabe 79 10335 - IWIRC ds/richardson 79 10335 - IWIRC ds/bitner 79 10335 - IWIRC ds/rendleman 79 10335 - IWIRC ds/simmons 695-094-518350 695-094-518334 Totals: Workers Comp / Municipal 695-094-518351 695-094-518390 Var: -42.00 Var: -1,785.22 0.00 0.00 1,732.21 253.93 0.00 1,986.14 695-094-518350 Totals: Workers Comp / School Bus 0.00 0.00 0.00 0.00 0.00 0.00 695-094-518351 Totals: Workers Comp / Tpccc 0.00 0.00 0.00 0.00 0.00 0.00 695-094-518390 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -1,986.14 Page 406 Account Number Description 695-094-518399 Workers Comp / Fuel Servi Budget 695-094-518399 Totals: Premiums Paid 695-094-518400 Totals: Legal Fees Var: -104,469.77 695-094-561000 695-094-561000 Totals: Miscellaneous Var: -5,255.04 695-094-599000 695-094 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period Ending Balance 0.00 508,488.00 0.00 0.00 0.00 0.00 508,488.00 0.00 612,957.77 0.00 0.00 612,957.77 0.00 0.00 5,255.04 0.00 0.00 5,255.04 0.00 0.00 0.00 0.00 0.00 508,488.00 621,772.24 253.93 0.00 622,026.17 0.00 695-094-518400 695-094-599000 Totals: Beginning Balance Page 407 Account Number Description 695-095 695-095-516700 Budget Wellness Program 4/12/2012 AP 12 4/2/2012 4/30/2012 GL AP 12 12 4/30/2012 AP 12 695-095-516700 Totals: Smoking Cessation Program Var: 12,173.70 695-095-516900 Totals: Health Claims Paid Var: 709.48 695-095-517500 695-095-517501 695-095-517500 Totals: Administration Fees AP 12 4/26/2012 AP 12 4/30/2012 AP 12 79 10412 - MedTrak Services 3/16-3/31 Rx coverage 184 10412 - MedTrak Services 04/01-04/15 secondary Rx coverage 276 10412 - MedTrak Services 4/16-4/30 Rx coverage 695-095-517502 695-095-517501 Totals: Reinsurance Premium 695-095-517503 Debit This Period Credit This Period 273.00 0.00 0.00 412.50 29,777.00 0.00 343.37 0.00 Ending Balance 80,000.00 79 10470 - Parkside Athletics Ck# 106701 2 individual memberships 249 reimb. from taz. co. for 2011 health fair 276 10029 - Anytime Fitness Ck# 107061 04/12 antime fitnessdues 276 10470 - Parkside Athletics Ck# 107171 1 family & 1 individual parkside 695-095-516900 4/12/2012 Beginning Balance 80,000.00 1,000.00 96,574.43 1,028.87 29,777.00 67,826.30 1,000.00 0.00 290.52 0.00 0.00 290.52 0.00 184,098.00 0.00 0.00 0.00 0.00 Ck# 106687 11,769.03 0.00 Ck# 106887 10,061.44 0.00 Ck# 107147 13,294.39 0.00 184,098.00 0.00 243,709.14 35,124.86 0.00 278,834.00 695-095-517502 Totals: Organ Transplant Premium 0.00 0.00 0.00 0.00 0.00 0.00 695-095-517503 Totals: A D & D Life Premium 0.00 0.00 0.00 0.00 0.00 0.00 695-095-517504 695-095-517504 Totals: Flex Premium 0.00 3,672.00 0.00 0.00 0.00 0.00 695-095-517505 272.00 0.00 272.00 0.00 4/26/2012 AP 695-095-517506 12 184 10129 - Consociate Group 04/12 flex administration 695-095-517505 Totals: Health Claims Plan C (old GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -94,736.00 Ck# 106827 Var: 178.50 3,672.00 0.00 3,221.50 3,493.50 Page 408 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 695-095-517506 Totals: Health Claims Plan A (new 0.00 0.00 0.00 0.00 0.00 0.00 695-095-517507 695-095-517507 Totals: Health Clms Plan B (alter 0.00 0.00 0.00 0.00 0.00 0.00 695-095-517508 695-095-517508 Totals: Central States Premium 0.00 2,819,449.16 0.00 0.00 0.00 0.00 695-095-517600 Ck# 106604 297,253.00 0.00 Ck# 107085 235,296.10 0.00 4/12/2012 AP 12 4/30/2012 AP 12 79 10738 - Central States H & W Fund 03/12 health insurance 276 10738 - Central States H & W Fund 04/12 health insurance 695-095-517700 695-095-517600 Totals: Drug Card Telecom Charges 695-095-519000 2,819,449.16 0.00 2,457,595.51 532,549.10 0.00 2,990,144.61 695-095-517700 Totals: Training And Education 0.00 0.00 0.00 0.00 0.00 0.00 695-095-519000 Totals: Transfer To Insurance Fle 0.00 0.00 0.00 0.00 0.00 0.00 695-095-520092 695-095-520092 Totals: Printing And Publications 0.00 0.00 0.00 0.00 0.00 0.00 695-095-551000 695-095-551000 Totals: Dues And Subscriptions 0.00 0.00 0.00 0.00 0.00 0.00 695-095-551600 695-095-551600 Totals: Other Contractual Service 0.00 15,000.00 0.00 0.00 0.00 0.00 695-095-569000 Ck# 106667 1,762.50 0.00 Ck# 107135 1,747.50 0.00 4/12/2012 AP 12 4/30/2012 AP 12 Var: -170,695.45 79 10671 - James Unland & Co Inc. 03/12 afe services 276 10671 - James Unland & Co Inc. 04/12 benefit services 695-095-590600 695-095-569000 Totals: Bank Charges 695-095-599000 695-095-590600 Totals: Miscellaneous GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -6,517.00 15,000.00 0.00 18,007.00 3,510.00 0.00 21,517.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 409 Account Number 695-095-599999 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 695-095-599000 Totals: Contingency Var: -5,501.02 0.00 0.00 5,501.02 0.00 0.00 5,501.02 695-095-599999 Totals: Var: -1,602.00 0.00 1,602.00 0.00 0.00 1,602.00 3,103,219.16 2,826,501.12 572,484.83 29,777.00 3,369,208.95 695-095 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 410 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 3,884,001.56 3,803,278.11 585,167.39 29,777.00 4,358,668.50 -137,866.14 0.00 1,603,513.69 1,603,513.69 0.00 695 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 411 Account Number Description 699 ASSETS 699-000-110201 Budget Equity In Pooled Cash Beginning Balance Debit This Period Credit This Period 0.00 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 24,221.42 40,321.91 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 23,631.52 68,624.29 4/27/2012 CR 12 3,477.76 0.00 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL PR WO WO GL WO GL PR GL 12 12 12 12 12 12 12 12 12 12 198 Fund balance entry for fund 699 # 17270 Cash Receipts Batch 50027-04-2012 256 safety clean credit 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 275 WO Dist Batch IC1 - 00008.04.2012 278 WO Dist Batch WO3 - 00002.04.2012 280 april fuel 283 WO Dist Batch WO3 - 00001.04.2012 284 april wo entry 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 292 corr april work order entry 263.50 0.00 0.00 0.00 0.00 62,356.10 0.00 78,721.27 0.00 0.00 0.00 3.20 24,857.04 1,725.74 1,798.04 0.00 7,540.00 0.00 1,724.23 2,198.14 144,818.63 196,645.53 16.25 48.75 5.93 32.50 32.50 48.75 32.50 3.89 32.50 32.50 32.50 32.50 162.50 48.75 32.50 25.28 32.50 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 699-000-130100 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 699-000-110201 Totals: Acccounts Receivable 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance 0.00 0.00 -838,956.83 -890,783.73 Page 412 Account Number Description 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/27/2012 AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 104 104 104 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 4/27/2012 CR 12 198 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00020.04.2012 AR Invoices 00020.04.2012 AR Invoices 00020.04.2012 0008860 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008861 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008861 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 0008862 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008863 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008864 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008865 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 0008865 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 0008866 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 65.00 48.75 3.89 32.50 65.00 297.81 48.75 32.50 65.00 48.75 32.50 20.38 32.50 65.00 18.86 97.50 104.69 32.50 48.75 32.50 1,632.03 1,179.96 74.54 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 16.25 0.00 48.75 0.00 5.93 0.00 32.50 0.00 32.50 0.00 48.75 0.00 32.50 0.00 3.89 0.00 32.50 Ending Balance Page 413 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 198 0008867 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008868 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008869 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008870 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008871 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008872 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008872 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008873 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008874 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008875 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008875 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008876 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008877 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008877 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008878 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008879 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008880 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008881 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008882 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008882 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008883 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 32.50 0.00 32.50 0.00 32.50 0.00 162.50 0.00 48.75 0.00 32.50 0.00 25.28 0.00 32.50 0.00 65.00 0.00 48.75 0.00 3.89 0.00 32.50 0.00 65.00 0.00 297.81 0.00 48.75 0.00 32.50 0.00 65.00 0.00 48.75 0.00 32.50 0.00 20.38 0.00 32.50 Ending Balance Page 414 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 Budget Beginning Balance 198 0008884 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008884 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008885 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008885 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008886 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008887 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008888 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 Tazewell County Gas Sales Tazewell County # 17270 Head Start Cash Receipts Batch 50027-04-2012 Debit This Period Credit This Period 0.00 65.00 0.00 18.86 0.00 97.50 0.00 104.69 0.00 32.50 0.00 48.75 0.00 32.50 0.00 1,632.03 Ending Balance 699-000-130100 Totals: Other Receivables 0.00 0.00 0.00 4,732.26 3,477.76 1,254.50 699-000-132000 699-000-132000 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 699-000-140100 699-000-140100 Totals: Due From Sewage Disposal 0.00 0.00 0.00 0.00 0.00 0.00 699-000-140231 699-000-140231 Totals: Due From School Bus 0.00 0.00 0.00 0.00 0.00 0.00 699-000-140501 699-000-140501 Totals: Due From T/pccc 0.00 0.00 0.00 0.00 0.00 0.00 699-000-140900 699-000-140900 Totals: Machinery And Equipment 0.00 0.00 0.00 0.00 0.00 0.00 699-000-151500 699-000-151500 Totals: Accum Deprec - Mach & Equ 0.00 0.00 73,520.78 0.00 0.00 73,520.78 699-000-156500 699-000-156500 Totals: Fuel Inventory 0.00 0.00 -43,460.00 0.00 0.00 -43,460.00 699-000-160100 28,248.00 0.00 4/10/2012 AP 12 65 10675 - Uselton Oil Co Ck# 106744 8000 GALLONS UNLEAD REGULAR FUEL GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 415 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/30/2012 IC 12 699-000-160200 Budget Beginning Balance Debit This Period Credit This Period 25,695.00 0.00 27,228.80 0.00 0.00 64,738.55 81,171.80 64,738.55 Ck# 106600 1,077.10 0.00 Ck# 106600 3,129.68 0.00 Ck# 106623 35.80 0.00 177 10675 - Uselton Oil Co Ck# 106951 7500 GALLONS OF DIESEL 177 10675 - Uselton Oil Co Ck# 106951 8000 Gallons Fuel 274 IC Batch Inv Transaction 2012-04-00008 699-000-160100 Totals: Oil & Parts Inventory 0.00 0.00 -58,231.82 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 65 10075 - Brahlers Truckers Supply NEW TIRES 65 10075 - Brahlers Truckers Supply NEW TIRES 65 10154 - Dennison Chevrolet NUT 65 10154 - Dennison Chevrolet Ck# 106623 738.48 0.00 Ck# 106631 9.76 0.00 4/10/2012 AP 12 MUFFLER 65 10181 - Fastenal Company 4/10/2012 AP 12 65 10181 - Fastenal Company Ck# 106631 4.91 0.00 4/10/2012 AP 12 65 10181 - Fastenal Company Ck# 106631 16.69 0.00 4/10/2012 AP 12 92.95 0.00 4/10/2012 AP 12 199.90 0.00 4/10/2012 AP 12 441.96 0.00 4/10/2012 AP 12 736.60 0.00 4/10/2012 AP 12 61.97 0.00 4/10/2012 AP 12 24.32 0.00 4/10/2012 AP 12 32.12 0.00 4/10/2012 AP 12 9.69 0.00 4/10/2012 AP 12 303.88 0.00 4/10/2012 AP 12 65 10330 - Interstate Batteries of Centra Ck# 106663 BATTERY 65 10330 - Interstate Batteries of Centra Ck# 106663 BATTERY 65 10346 - K C Sales Ck# 106670 RECAP TIRES 65 10346 - K C Sales Ck# 106670 RECAP TIRES 65 10410 - McNeilus Truck & Manufacturing Ck# 106686 COIL 65 10421 - Midwest Transit Equipment Ck# 106691 WASHER PUMP 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 FUEL FILTER 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 BRAKE HOSE 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 radiator 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 BRAKE ROTOR 107.08 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance -41,798.57 Page 416 Account Number Description 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 U JOINT 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 FUEL FILTER 65 10441 - NAPA Auto Parts of Pekin Ck# 106694 BRAKE HOSE 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WINTER BLADE 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 GASOLINE CANS 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 U JOINT 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 OIL FILTER 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 GASOLINE CANS 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 PERFECT MATCH 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 CERAMIC PAD 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 HITCH BALL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 BRAKE PAD SET 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WHEEL SEAL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 BRAKE CALIPER 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 TPM SENSOR 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WHEEL SEAL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 OIL FILTER 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 TPM SENSOR 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 GASOLINE CANS 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 CERAMIC PAD 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 TPM SENSOR GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 31.90 0.00 27.14 0.00 9.69 0.00 168.20 0.00 38.97 0.00 24.08 0.00 19.92 0.00 25.98 0.00 13.98 0.00 40.37 0.00 9.99 0.00 37.99 0.00 33.16 0.00 22.53 0.00 46.37 0.00 15.98 0.00 7.98 0.00 46.37 0.00 11.99 0.00 45.46 0.00 1.96 0.00 Ending Balance Page 417 Account Number Description 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WHEEL SEAL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 HOSE CLAMP 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WHEEL SEAL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 WHEEL SEAL 65 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 BATTERY 65 10534 - Rainbo Oil Co Ck# 106718 15 W40 BULK OIL 65 10534 - Rainbo Oil Co Ck# 106718 DRUM 65 10704 - Wieland's Lawn Mower Hospital Ck# 106751 BLADE 65 10704 - Wieland's Lawn Mower Hospital Ck# 106751 V BELT 65 10704 - Wieland's Lawn Mower Hospital Ck# 106751 SPRING EXTENSION 65 10704 - Wieland's Lawn Mower Hospital Ck# 106751 V BELT 65 11473 - FleetPride, Inc. Ck# 106633 OIKL FILTER 65 11473 - FleetPride, Inc. Ck# 106633 AIR FILTER 65 11473 - FleetPride, Inc. Ck# 106633 AIR FILTER 65 11473 - FleetPride, Inc. Ck# 106633 OIL FILTER 65 11473 - FleetPride, Inc. Ck# 106633 OIL FILTER 65 11473 - FleetPride, Inc. Ck# 106633 OIL FILTER 65 11473 - FleetPride, Inc. Ck# 106633 AIR FILTER 65 11473 - FleetPride, Inc. Ck# 106633 OIL FILTER 65 11473 - FleetPride, Inc. Ck# 106633 OIL FILTER 65 11678 - Plaza Truck & Trailer Parts Ck# 106713 BRAKE CALIPER GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 6.70 0.00 4.90 0.00 26.48 0.00 25.98 0.00 243.87 0.00 952.94 0.00 0.00 39.00 59.94 0.00 70.39 0.00 15.11 0.00 35.12 0.00 24.15 0.00 91.83 0.00 22.60 0.00 2.86 0.00 6.98 0.00 3.04 0.00 93.65 0.00 69.00 0.00 28.67 0.00 90.00 0.00 Ending Balance Page 418 Account Number Description 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/10/2012 AP 12 4/25/2012 AP 4/25/2012 Budget Beginning Balance Debit This Period Credit This Period Ck# 106713 45.00 0.00 Ck# 106713 189.76 0.00 Ck# 106713 91.62 0.00 Ck# 106713 36.60 0.00 12 65 11678 - Plaza Truck & Trailer Parts BRAKE CALIPER 65 11678 - Plaza Truck & Trailer Parts FOOT VALVE 65 11678 - Plaza Truck & Trailer Parts PIGGYBACK LS KIT 65 11678 - Plaza Truck & Trailer Parts FUEL FILTER 177 10005 - A to Z Rental Ck# 106790 11.20 0.00 AP 12 177 10005 - A to Z Rental Ck# 106790 24.46 0.00 4/25/2012 AP 12 1,998.30 0.00 4/25/2012 AP 12 3,129.68 0.00 4/25/2012 AP 12 287.67 0.00 4/25/2012 AP 12 50.09 0.00 4/25/2012 AP 12 87.01 0.00 4/25/2012 AP 12 26.55 0.00 4/25/2012 AP 12 25.78 0.00 4/25/2012 AP 12 26.80 0.00 4/25/2012 AP 12 13.92 0.00 4/25/2012 AP 12 17.15 0.00 4/25/2012 AP 12 84.39 0.00 4/25/2012 AP 12 46.41 0.00 4/25/2012 AP 12 17.10 0.00 4/25/2012 AP 12 44.42 0.00 4/25/2012 AP 12 177 10075 - Brahlers Truckers Supply Ck# 106809 RECAPPED TIRES 177 10075 - Brahlers Truckers Supply Ck# 106809 NEW TIRES 177 10108 - Central States Bus Sales Ck# 106815 SHAFT ASSY 177 10109 - Centre State International Trucks, Ck#Inc. 106816 HOSE 177 10109 - Centre State International Trucks, Ck#Inc. 106816 HOSE 177 10154 - Dennison Chevrolet Ck# 106837 HOSE 177 10154 - Dennison Chevrolet Ck# 106837 ANTENNA 177 10154 - Dennison Chevrolet Ck# 106837 HOSE 177 10154 - Dennison Chevrolet Ck# 106837 CABLE 177 10154 - Dennison Chevrolet Ck# 106837 CABLE 177 10181 - Fastenal Company Ck# 106843 TIE DOWNS 177 10181 - Fastenal Company Ck# 106843 TD 4 PACK 177 10181 - Fastenal Company Ck# 106843 TOPEST 177 10181 - Fastenal Company Ck# 106843 LIFT TAIL 177 10181 - Fastenal Company Ck# 106843 WOLF PACK 18.84 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance Page 419 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 Budget Beginning Balance Debit This Period Credit This Period 177 10191 - Firestone Tire & Service TIRES 177 10330 - Interstate Batteries of Centra BATTERY 177 10330 - Interstate Batteries of Centra NEW BATTERY 177 10330 - Interstate Batteries of Centra BATTERY 177 10421 - Midwest Transit Equipment RESISTOR 177 10421 - Midwest Transit Equipment STEPTHREAD 177 10421 - Midwest Transit Equipment RESISTOR 177 10421 - Midwest Transit Equipment Ck# 106845 747.10 0.00 Ck# 106870 111.95 0.00 Ck# 106870 87.95 0.00 Ck# 106870 92.95 0.00 Ck# 106891 32.99 0.00 Ck# 106891 107.99 0.00 Ck# 106891 18.89 0.00 Ck# 106891 28.76 0.00 177 10421 - Midwest Transit Equipment RESERVIOR 177 10421 - Midwest Transit Equipment STEPTHREAD 177 10421 - Midwest Transit Equipment CLUTCH 177 10421 - Midwest Transit Equipment PUMP 177 10421 - Midwest Transit Equipment STEPTHREAD 177 10421 - Midwest Transit Equipment GASKET 177 10421 - Midwest Transit Equipment PIN 177 10421 - Midwest Transit Equipment MOTOR ONLY EXCELL DR CTRL 177 10421 - Midwest Transit Equipment SCREWS 177 10421 - Midwest Transit Equipment SCREWS 177 10421 - Midwest Transit Equipment DOOR HANDLE 177 10421 - Midwest Transit Equipment SWITCH 177 10421 - Midwest Transit Equipment RED MARKER LIGHT Ck# 106891 11.49 0.00 Ck# 106891 101.84 0.00 Ck# 106891 67.58 0.00 Ck# 106891 279.25 0.00 Ck# 106891 38.45 0.00 Ck# 106891 15.40 0.00 Ck# 106891 0.50 0.00 Ck# 106891 202.50 0.00 Ck# 106891 5.70 0.00 Ck# 106891 14.70 0.00 Ck# 106891 5.98 0.00 Ck# 106891 41.72 0.00 Ck# 106891 39.30 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance Page 420 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 177 10421 - Midwest Transit Equipment OIL FILTER KIT 177 10421 - Midwest Transit Equipment OIL FILTER KIT 177 10421 - Midwest Transit Equipment OIL FILTER KIT 177 10421 - Midwest Transit Equipment OIL FILTER KIT 177 10421 - Midwest Transit Equipment OIL FILTER KIT 177 10421 - Midwest Transit Equipment BANDAGE 177 10421 - Midwest Transit Equipment BANDAGE 177 10421 - Midwest Transit Equipment BANDAGE 177 10421 - Midwest Transit Equipment WIRE SPLINT 177 10421 - Midwest Transit Equipment MOTOR HEATER 177 10421 - Midwest Transit Equipment CLUTCH ASM 177 10421 - Midwest Transit Equipment FAN AUX 177 10441 - NAPA Auto Parts of Pekin RADIATOR 177 10441 - NAPA Auto Parts of Pekin REGULATOR 177 10441 - NAPA Auto Parts of Pekin CLAMP KIT 177 10441 - NAPA Auto Parts of Pekin AIR FILTER 177 10441 - NAPA Auto Parts of Pekin STARTER 177 10441 - NAPA Auto Parts of Pekin HOSE 177 10441 - NAPA Auto Parts of Pekin SCREW EXTRACTOR KIT 177 10441 - NAPA Auto Parts of Pekin CORE DEPOSIT 177 10441 - NAPA Auto Parts of Pekin HOSE GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ck# 106891 69.99 0.00 Ck# 106891 154.14 0.00 Ck# 106891 90.48 0.00 Ck# 106891 157.32 0.00 Ck# 106891 173.84 0.00 Ck# 106891 6.90 0.00 Ck# 106891 14.90 0.00 Ck# 106891 5.75 0.00 Ck# 106891 3.96 0.00 Ck# 106891 93.24 0.00 Ck# 106891 89.53 0.00 Ck# 106891 116.00 0.00 Ck# 106895 298.53 0.00 Ck# 106895 44.83 0.00 Ck# 106895 6.92 0.00 Ck# 106895 28.74 0.00 Ck# 106895 138.58 0.00 Ck# 106895 6.20 0.00 Ck# 106895 14.49 0.00 Ck# 106895 27.50 0.00 Ck# 106895 7.81 0.00 Ending Balance Page 421 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 177 10441 - NAPA Auto Parts of Pekin Ck# 106895 HOSE 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 THINNER 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 OXYGEN SENSOR 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 TPM SENSOR 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 V BELT 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 TRANSX 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 RELAY 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 THERMOSTAT 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 TIE ROD END 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 MINI LAMP 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 BRAKE PAD SET 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 SPREADER 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 FILTER KIT 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 OIL FILTER 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 AIR FILTER 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 U JOINT 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 AIR HOSE 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 RELAY 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 MINI LAMP 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 1 QT TRANS X 177 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 AIR HOSE GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 24.84 0.00 20.23 0.00 38.27 0.00 51.62 0.00 28.12 0.00 9.99 0.00 16.21 0.00 18.36 0.00 109.64 0.00 2.16 0.00 27.54 0.00 3.22 0.00 10.22 0.00 19.92 0.00 58.24 0.00 14.74 0.00 27.77 0.00 26.86 0.00 2.16 0.00 9.99 0.00 39.77 0.00 Ending Balance Page 422 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 177 10516 - Prairie International Trucks Ck# 106915 MUFFLER 177 10516 - Prairie International Trucks Ck# 106915 MIRROR 177 10516 - Prairie International Trucks Ck# 106915 HOSE 177 10516 - Prairie International Trucks Ck# 106915 PIPE 177 10516 - Prairie International Trucks Ck# 106915 MIRROR 177 10516 - Prairie International Trucks Ck# 106915 RADIATOR 177 10516 - Prairie International Trucks Ck# 106915 CLAMP 177 10516 - Prairie International Trucks Ck# 106915 WHEEL SEAL 177 10516 - Prairie International Trucks Ck# 106915 SURGE TANK 177 10534 - Rainbo Oil Co Ck# 106917 PYROIL ZEREX 177 10534 - Rainbo Oil Co Ck# 106917 DRUM RETURN 177 10704 - Wieland's Lawn Mower Hospital Ck# 106959 SPARK PLUG 177 10704 - Wieland's Lawn Mower Hospital Ck# 106959 SRM HEAD 177 10704 - Wieland's Lawn Mower Hospital Ck# 106959 GT HEAD 177 10704 - Wieland's Lawn Mower Hospital Ck# 106959 SPARK PLUG 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 LEVER 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 BUSHING 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 GASKET 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 GROMMET 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 TRANSMISSION PAN 177 10829 - Uftring Chrysler Dodge Jeep Ck# 106949 RETAINER GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 437.85 0.00 45.82 0.00 38.06 0.00 119.08 0.00 40.64 0.00 706.49 0.00 8.79 0.00 88.56 0.00 277.53 0.00 693.69 0.00 0.00 34.00 23.00 0.00 5.00 0.00 19.99 0.00 14.85 0.00 49.58 0.00 64.20 0.00 15.34 0.00 7.00 0.00 60.53 0.00 2.80 0.00 Ending Balance Page 423 Account Number Description 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/25/2012 AP 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 177 11473 - FleetPride, Inc. Ck# 106847 OIL FILTER 177 11678 - Plaza Truck & Trailer Parts Ck# 106914 STEERING GEAR BOX 177 11678 - Plaza Truck & Trailer Parts Ck# 106914 CALIPERS 177 11678 - Plaza Truck & Trailer Parts Ck# 106914 TRANSMISSION 177 11678 - Plaza Truck & Trailer Parts Ck# 106914 BRAKE DRUMS 177 11678 - Plaza Truck & Trailer Parts Ck# 106914 CARTRIDGE 270 Reverse JE# 49 Reverse JE# 40 NEW TIRES Ck# 0 270 Reverse JE# 49 Reverse JE# 40 RECAPCk# TIRES 0 270 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# PADS 0 270 Reverse JE# 49 Reverse JE# 40 EXHAUST Ck# 0HANGAR 270 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# PAD 0 270 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# PADS 0 270 Reverse JE# 49 Reverse JE# 40 EXHAUST Ck# 0HANGAR 270 Reverse JE# 49 Reverse JE# 40 FRONTCk# BRAKE 0 HOSE 270 Reverse JE# 49 Reverse JE# 40 HOSE Ck# 0 270 Reverse JE# 49 Reverse JE# 40 HOSE Ck# 0 270 Reverse JE# 49 Reverse JE# 40 MODULE Ck# 0 270 Reverse JE# 49 Reverse JE# 40 OIL PAN Ck# 0 270 Reverse JE# 49 Reverse JE# 40 GASKET Ck# 0 270 Reverse JE# 49 Reverse JE# 40 MUFFLER Ck# 0CLAMP 270 Reverse JE# 49 Reverse JE# 40 BATTERY Ck# 0 270 Reverse JE# 49 Reverse JE# 40 HALOGEN Ck# 0CAPS 270 Reverse JE# 49 Reverse JE# 40 HALOGEN Ck# 0CAPS 270 Reverse JE# 49 Reverse JE# 40 BATTERY Ck# 0 270 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# DRUM 0 270 Reverse JE# 49 Reverse JE# 40 AIR FILTER Ck# 0 270 Reverse JE# 49 Reverse JE# 40 HOSE Ck# CLAMP 0 270 Reverse JE# 49 Reverse JE# 40 SHRINK Ck# TUBE 0 270 Reverse JE# 49 Reverse JE# 40 H11 BPCk# 0 270 Reverse JE# 49 Reverse JE# 40 H11 BPCk# 0 270 Reverse JE# 49 Reverse JE# 40 DRUMCk# HOW 0 KIT 270 Reverse JE# 49 Reverse JE# 40 HEAT Ck# SHRINK 0 270 Reverse JE# 49 Reverse JE# 40 HEATER Ck#HOSE 0 270 Reverse JE# 49 Reverse JE# 40 MUFFLER Ck# 0CLAMP 270 Reverse JE# 49 Reverse JE# 40 WHEEL Ck# SEAL 0 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 14.49 0.00 554.00 0.00 135.00 0.00 2,450.00 0.00 1,720.00 0.00 89.85 0.00 2,399.92 1,398.81 22.01 10.96 92.47 51.18 27.40 9.92 50.09 87.01 134.47 153.37 38.92 7.96 203.98 31.98 31.98 102.99 112.10 10.78 4.88 3.99 31.98 31.98 4.07 3.99 68.00 1.99 42.15 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance Page 424 Account Number 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP AP Description 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 270 Budget Beginning Balance Reverse JE# 49 Reverse JE# 40 MUFFLER Ck# 0CLAMP Reverse JE# 49 Reverse JE# 40 HEATER Ck#HOSE 0 Reverse JE# 49 Reverse JE# 40 NEW BATTERY Ck# 0 Reverse JE# 49 Reverse JE# 40 NEW TIRE Ck# 0 Reverse JE# 49 Reverse JE# 40 NEW TIRE Ck# 0 Reverse JE# 49 Reverse JE# 40 EXTENSION Ck# 0 Reverse JE# 49 Reverse JE# 40 Ck# 0 Reverse JE# 49 Reverse JE# 40 HOSE Ck# ASSEMBLY 0 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# ROTOR 0 Reverse JE# 49 Reverse JE# 40 HOSE Ck# END0 Reverse JE# 49 Reverse JE# 40 FUEL FILTER Ck# 0 Reverse JE# 49 Reverse JE# 40 SPLIT Ck# POLY 0 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# ROTOR 0 Reverse JE# 49 Reverse JE# 40 HOSE Ck# 0 Reverse JE# 49 Reverse JE# 40 SPLIT Ck# POLY 0 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# PAD 0 Reverse JE# 49 Reverse JE# 40 ROTOR Ck# 0 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# PAD 0 Reverse JE# 49 Reverse JE# 40 DISTRIBUTOR Ck# 0 CAP Reverse JE# 49 Reverse JE# 40 HOSE Ck# 0 Reverse JE# 49 Reverse JE# 40 SWITCH Ck# 0 Reverse JE# 49 Reverse JE# 40 STEERING Ck# 0GEAR BOX Reverse JE# 49 Reverse JE# 40 ELBOW Ck# 0 Reverse JE# 49 Reverse JE# 40 LUBRIGUARD Ck# 0 15W40 Reverse JE# 49 Reverse JE# 40 DRUMCk# CHARGE 0 Reverse JE# 49 Reverse JE# 40 SWITCH Ck# 0 Reverse JE# 49 Reverse JE# 40 AIR DIER Ck# ASSY 0 Reverse JE# 49 Reverse JE# 40 GASKET Ck# 0 Reverse JE# 49 Reverse JE# 40 BRAKE Ck# ROTOR 0 Reverse JE# 49 Reverse JE# 40 AIR DIER Ck# ASSY 0 Reverse JE# 49 Reverse JE# 40 STOPBOX Ck# 0 Reverse JE# 49 Reverse JE# 40 PURGECk# VALVE 0 KIT Reverse JE# 49 Reverse JE# 40 BRAKE Ck# ROTOR 0 Reverse JE# 49 Reverse JE# 40 PURGECk# VALVE 0 KIT Reverse JE# 49 Reverse JE# 40 MUDFLAP Ck# 0 Reverse JE# 49 Reverse JE# 40 QUICKCk# RELEASE 0 VALVE Reverse JE# 49 Reverse JE# 40 EQUAL Ck# 0 699-000-160200 Totals: 699-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 1.98 45.00 185.90 333.68 554.08 22.18 77.01 108.55 85.04 13.10 9.31 18.00 74.02 18.15 31.28 29.92 11.38 29.92 41.40 57.29 33.20 979.55 10.99 1,501.33 26.00 116.26 342.42 24.03 106.00 59.90 127.23 41.50 139.95 41.50 58.32 39.60 103.10 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Ending Balance 0.00 127,590.69 38,363.91 73.00 165,881.60 0.00 -739,537.18 269,086.60 264,934.84 -735,385.42 Page 425 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -739,537.18 269,086.60 264,934.84 -735,385.42 0.00 434.73 0.00 434.73 ASSETS Totals: LIABILITIES 699-000-211000 4/30/2012 PR 699-000-219000 Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-000-211000 Totals: Accounts Payable 0.00 0.00 0.00 4/10/2012 4/12/2012 4/12/2012 AP AP AP 12 12 12 65 AP Invoice Batch 00003-04-2012 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 40,321.91 38,149.09 2,172.82 0.00 4/25/2012 4/26/2012 4/26/2012 AP AP AP 12 12 12 177 AP Invoice Batch 00007-04-2012 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 2,019.93 68,624.29 70,644.22 0.00 0.00 4/30/2012 4/30/2012 4/30/2012 AP AP AP 12 12 12 270 Reverse JE# 49 Reverse JE# 40 AP Invoice Batch 00010-04-2012 276 AP Invoice Batch 00009-04-2012 277 AP Invoice Batch 00002-05-2012 0.00 0.00 0.00 10,669.40 5,426.05 103.54 110,966.13 127,165.12 38,553.70 0.00 43,532.36 0.00 27,228.80 0.00 10,669.40 0.00 598.86 0.00 2,679.94 0.00 2,945.38 0.00 455.16 0.00 172.58 0.00 0.00 38,553.70 0.00 43,532.36 0.00 27,228.80 0.00 10,669.40 0.00 598.86 0.00 2,679.94 0.00 2,945.38 0.00 455.16 0.00 172.58 699-000-219100 4/9/2012 4/9/2012 4/23/2012 4/23/2012 4/25/2012 4/25/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 IC IC IC IC IC IC IC IC IC IC IC IC IC IC IC IC IC IC 699-000-219000 Totals: Purchase Order Payable 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 54 54 157 157 176 176 221 221 264 264 265 265 271 271 272 272 273 273 IC Batch Inv Transaction 2012-04-00001 IC Batch Inv Transaction 2012-04-00001 IC Batch Inv Transaction 2012-04-00003 IC Batch Inv Transaction 2012-04-00003 IC Batch Inv Transaction 2012-04-00004 IC Batch Inv Transaction 2012-04-00004 IC Batch Inv Transaction 2012-04-00006 IC Batch Inv Transaction 2012-04-00006 IC Batch Inv Transaction 2012-04-00005 IC Batch Inv Transaction 2012-04-00005 IC Batch Inv Transaction 2012-04-00007 IC Batch Inv Transaction 2012-04-00007 IC Batch Inv Transaction 2012-03-00004 IC Batch Inv Transaction 2012-03-00004 IC Batch Inv Transaction 2012-03-00006 IC Batch Inv Transaction 2012-03-00006 IC Batch Inv Transaction 2012-04-00002 IC Batch Inv Transaction 2012-04-00002 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 -261.26 -434.73 -16,460.25 Page 426 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 699-000-219100 Totals: Due To Accounts Payable I 0.00 0.00 0.00 126,836.18 126,836.18 0.00 699-000-220677 699-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 699-000-220688 699-000-220688 Totals: Retained Earnings 0.00 0.00 0.00 0.00 0.00 0.00 699-000-290200 652,033.86 0.00 4/30/2012 GL 12 267 roll fund bal/ retained earnings 699-000-290200 Totals: 699-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 62,369.55 652,033.86 0.00 714,403.41 0.00 62,108.29 889,836.17 254,436.03 697,508.43 Page 427 Account Number Description LIABILITIES Totals: FUND BALANCE 699-000-390100 4/30/2012 GL Fund Balance Beg Year 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 62,108.29 889,836.17 254,436.03 697,508.43 0.00 652,033.86 0.00 267 roll fund bal/ retained earnings 699-000-390100 Totals: 699-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 652,033.86 0.00 652,033.86 0.00 0.00 652,033.86 0.00 652,033.86 0.00 Page 428 Account Number Description FUND BALANCE Totals: REVENUE 699-069 699-069-440100 Transfer From General Fund 699-069-440501 699-069-440100 Totals: Transfer From School Bus 699-069-450040 699-069-440501 Totals: Gasoline Sales - Interfun 4/30/2012 GL 12 699-069-450040 Totals: Sale Of Oil 699-069-450042 699-069-450041 Totals: Sale Of Parts GL GL 12 12 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 652,033.86 0.00 652,033.86 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 703,950.00 0.00 0.00 0.00 0.00 0.00 62,356.10 0.00 280 april fuel 699-069-450041 4/30/2012 4/30/2012 Budget Var: -1,541.89 703,950.00 0.00 -643,135.79 0.00 62,356.10 -705,491.89 0.00 225,000.00 0.00 0.00 0.00 0.00 0.00 2,198.14 78,721.27 0.00 284 april wo entry 292 corr april work order entry 699-069-450042 Totals: Labor Var: -768,947.84 225,000.00 425,000.00 -917,424.71 2,198.14 78,721.27 -993,947.84 699-069-450043 699-069-450043 Totals: Interest Earnings Var: 360,338.78 425,000.00 0.00 -64,661.22 0.00 0.00 -64,661.22 699-069-490100 699-069-490100 Totals: Miscellaneous Receipts 0.00 0.00 0.00 0.00 0.00 0.00 699-069-499800 0.00 263.50 4/2/2012 GL 12 256 safety clean credit 699-069-499800 Totals: 699-069 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -4,590.06 0.00 -4,326.56 0.00 263.50 -4,590.06 1,353,950.00 -1,629,548.28 2,198.14 141,340.87 -1,768,691.01 Page 429 Account Number Description 699-070 699-070-450040 4/17/2012 4/17/2012 4/17/2012 AR AR AR Gasoline Sales - Interfun 12 12 12 699-070-450040 Totals: Sale Of Oil 699-070-450042 699-070-450041 Totals: Sale Of Parts 699-070-450043 699-070-450042 Totals: Labor AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR AR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 Beginning Balance 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 103 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 0.00 0.00 0.00 1,632.03 1,179.96 74.54 Ending Balance 0.00 104 AR Invoices 00020.04.2012 104 AR Invoices 00020.04.2012 104 AR Invoices 00020.04.2012 699-070-450041 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 Budget Var: -19,221.16 Var: 34,896.92 0.00 0.00 -16,334.63 0.00 2,886.53 -19,221.16 0.00 35,000.00 0.00 0.00 0.00 0.00 35,000.00 25,000.00 -103.08 0.00 0.00 -103.08 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 16.25 48.75 5.93 32.50 32.50 48.75 32.50 3.89 32.50 32.50 32.50 32.50 162.50 48.75 32.50 25.28 32.50 65.00 48.75 3.89 32.50 65.00 297.81 48.75 32.50 65.00 48.75 Page 430 Account Number 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 4/17/2012 AR AR AR AR AR AR AR AR AR AR 699-070-499800 Description 12 12 12 12 12 12 12 12 12 12 103 103 103 103 103 103 103 103 103 103 Budget Beginning Balance AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 AR Invoices 00019.04.2012 699-070-450043 Totals: Miscellaneous Receipts 699-070-499800 Totals: 699-070 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -5,836.88 Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 32.50 20.38 32.50 65.00 18.86 97.50 104.69 32.50 48.75 32.50 Ending Balance 25,000.00 0.00 -28,991.15 0.00 1,845.73 -30,836.88 0.00 0.00 0.00 0.00 0.00 60,000.00 -45,428.86 0.00 4,732.26 -50,161.12 Page 431 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,413,950.00 -1,674,977.14 2,198.14 146,073.13 -1,818,852.13 14,370.94 0.00 14,138.99 14,665.81 1,202.81 0.00 0.00 0.00 44,378.55 0.00 689.98 56.22 0.00 0.00 746.20 0.00 696.32 642.96 724.08 194.24 0.00 0.00 0.00 0.00 EXPENSE 699-069 699-069-511600 Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 699-069-515000 4/30/2012 4/30/2012 PR PR 699-069-515500 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-069-511600 Totals: Overtime 12 12 Var: 65,747.03 422,978.40 2,500.00 312,852.82 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-069-515000 Totals: Vacation Pay 12 12 12 12 422,978.40 19 Computer Checks Batch 2012 04 00007 19 123 261 288 Var: -1,913.42 2,500.00 0.00 3,667.22 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 357,231.37 4,413.42 699-069-515500 Totals: Holiday Pay Var: -29,636.10 0.00 0.00 27,378.50 2,257.60 0.00 29,636.10 699-069-515600 699-069-515600 Totals: Sick Pay Var: -14,371.36 0.00 0.00 14,371.36 0.00 0.00 14,371.36 699-069-515800 789.58 912.36 388.48 0.00 0.00 0.00 2,090.42 0.00 959.29 950.26 998.12 88.36 0.00 0.00 0.00 0.00 2,996.03 0.00 224.38 0.00 4/3/2012 4/18/2012 4/30/2012 PR PR PR 699-069-517000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 699-069-517001 4/3/2012 PR 12 12 12 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 699-069-515800 Totals: Oasdi/city Share 6.2% 12 12 12 12 19 123 261 288 0.00 26,224.66 7,893.71 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-069-517000 Totals: Medicare/city Share 1.45% 12 Var: -9,984.13 Var: 939.82 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 26,224.66 6,133.19 22,288.81 9,984.13 25,284.84 Page 432 Account Number 4/18/2012 4/30/2012 4/30/2012 PR PR PR 699-069-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 699-069-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Description 12 12 12 19 123 261 288 19 123 261 288 Var: 219.81 6,133.19 50,757.41 5,212.63 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-069-517401 Totals: Group Insurance 12 12 12 12 Beginning Balance 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-069-517001 Totals: Imrf 12 12 12 12 Budget Var: -3,009.91 50,757.41 77,620.98 46,321.71 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 222.24 233.45 20.68 0.00 0.00 0.00 700.75 0.00 2,386.43 2,361.98 2,478.49 218.71 0.00 0.00 0.00 0.00 7,445.61 0.00 4,336.00 4,034.99 4,062.72 347.03 0.00 0.00 0.00 0.00 Ending Balance 5,913.38 53,767.32 699-069-518000 Totals: Liability Insurance Packa Var: -14,752.49 77,620.98 5,124.00 79,592.73 12,780.74 0.00 92,373.47 699-069-518100 699-069-518100 Totals: Workers Comp Insurance Var: -358.38 5,124.00 12,120.52 5,482.38 0.00 0.00 5,482.38 699-069-518300 699-069-518300 Totals: Training And Education 12,120.52 2,000.00 12,120.52 0.00 0.00 12,120.52 699-069-519000 1,186.40 0.00 1,186.40 0.00 153.12 0.00 153.12 0.00 3.20 0.00 3.20 0.00 4/30/2012 AP 699-069-520200 4/12/2012 AP 12 276 11433 - Visa (business) Ck# 107229 airline tickets for maquet and franciscovich/continuine educatio 699-069-519000 Totals: Office Supplies 12 79 10706 - Will Harms Co Var: -6,888.59 2,000.00 1,250.00 7,702.19 Ck# 106752 8,888.59 toner cartridge - vmf 699-069-520400 4/2/2012 GL 699-069-522400 699-069-520200 Totals: Postage 12 Var: 125.08 1,250.00 125.00 971.80 260 april 2012 postage 699-069-520400 Totals: General Supplies GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 104.13 125.00 900.00 17.67 1,124.92 20.87 Page 433 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 900.00 50.00 581.65 0.00 0.00 581.65 699-069-522400 Totals: Lease/rental Of Equipment Var: 318.35 699-069-524000 699-069-524000 Totals: Equipment Var: 50.00 50.00 6,000.00 0.00 0.00 0.00 0.00 699-069-529000 699-069-529000 Totals: Automotive Expense Var: 5,058.76 6,000.00 2,500.00 941.24 0.00 0.00 941.24 699-069-534000 0.00 20.00 498.44 0.00 0.00 555.30 195.00 0.00 272.00 0.00 0.00 12.59 12.59 0.00 0.00 25.98 25.98 0.00 0.00 2,428.88 27.00 0.00 0.00 4.74 70.00 0.00 0.00 27.50 0.00 298.53 0.00 48.66 0.00 120.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 79 10154 - Dennison Chevrolet Ck# 106623 core credit - vmf 79 10191 - Firestone Tire & Service Ck# 106632 tire repair - vmf 79 10346 - K C Sales Ck# 106670 credit - vmf 79 10346 - K C Sales Ck# 106670 disposal fee - vmf 79 10346 - K C Sales Ck# 106670 disposal fee - vmf 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 v/c gaskets/vmf - credit 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 v/c gaskets - vmf 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 v/c gaskets/vmf - credit 79 10456 - O'Reilly Automotive Stores, Inc. Ck# 106699 v/c gaskets - vmf 184 10075 - Brahlers Truckers Supply Ck# 106809 reversal of invoice 168811 184 10075 - Brahlers Truckers Supply Ck# 106809 tire repairs 184 10154 - Dennison Chevrolet Ck# 106837 returned antenna and purchased a different one 184 10191 - Firestone Tire & Service Ck# 106845 alignment service - vmf 184 10441 - NAPA Auto Parts of Pekin Ck# 106895 core credit - vmf 184 10441 - NAPA Auto Parts of Pekin Ck# 106895 warranty - vmf 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 returned parts - vmf 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 434 Account Number Description 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget Beginning Balance battery - vmf 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 credit on invoice 1262149558 184 10456 - O'Reilly Automotive Stores, Inc. Ck# 106899 water pump, thermostat and gasket 184 10495 - Pence's Ag Repair Inc Ck# 106910 service truck - vmf 184 11471 - Performance Auto Glass Ck# 106912 tow 99 dodge truck - vmf 276 10075 - Brahlers Truckers Supply Ck# 107072 tire repairs - vmf 276 10102 - Carquest Auto Parts Stores Ck# 107078 correcting account - vmf 276 10108 - Central States Bus Sales Ck# 107084 brake handle asm - vmf 276 10421 - Midwest Transit Equipment Ck# 107152 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 276 4/30/2012 AP 12 277 4/30/2012 WO 12 283 switch, red led clearance lights and motor - vmf 10421 - Midwest Transit Equipment Ck# 107152 kit and oil filter - vmf 10456 - O'Reilly Automotive Stores, Inc. Ck# 107168 shortened invoice 1262492024 - street dept 10456 - O'Reilly Automotive Stores, Inc. Ck# 107168 sealiant - vmf 10456 - O'Reilly Automotive Stores, Inc. Ck# 107168 drain pan - vmf 10456 - O'Reilly Automotive Stores, Inc. Ck# 107168 turn signal switch - vmf 10516 - Prairie International Trucks Ck# 107185 steering gear box - vmf 10825 - Nieman Foods Inc Ck# 107165 fasteners - vmf 11473 - FleetPride, Inc. Ck# 107110 air, oil hydrolic filters - vmf 10102 - Carquest Auto Parts Stores Ck# 107078 credit already taken WO Dist Batch WO3 - 00001.04.2012 Debit This Period Credit This Period 0.00 30.92 48.94 0.00 21.50 0.00 289.00 0.00 1,398.81 0.00 0.00 103.54 110.45 0.00 1,165.78 0.00 251.66 0.00 5.59 0.00 25.98 0.00 17.98 0.00 51.92 0.00 902.74 0.00 22.95 0.00 239.39 0.00 103.54 0.00 7,540.00 0.00 Ending Balance 699-069-534000 Totals: Equipment Repairs Var: -51,954.58 2,500.00 3,000.00 44,833.98 13,297.24 3,676.64 54,454.58 699-069-534400 699-069-534400 Totals: Core Charge/credit Var: 1,715.59 3,000.00 0.00 1,284.41 0.00 0.00 1,284.41 699-069-534500 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 435 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 2,500.00 -692.28 0.00 0.00 -692.28 2,500.00 25,000.00 0.00 0.00 0.00 0.00 973.37 0.00 128.66 0.00 1,102.03 0.00 Ck# 106746 116.25 0.00 Ck# 106818 54.71 0.00 699-069-534500 Totals: Maintenance Agreements Var: 692.28 699-069-538000 699-069-538000 Totals: Utilities Var: 2,500.00 699-069-550100 4/12/2012 AP 12 4/26/2012 AP 12 699-069-550300 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - vmf 184 10021 - Amerencilco Ck# 106797 elec at 1130 koch st unit b - vmf 699-069-550100 Totals: Telephone 4/12/2012 AP 12 4/26/2012 AP 12 Var: 9,952.37 79 10685 - Verizon Wireless cell phone for vmf dept 184 10111 - CenturyLink phone service - vmf 699-069-551000 699-069-550300 Totals: Printing And Publications 699-069-551600 699-069-551000 Totals: Dues And Subscriptions 699-069-551600 Totals: Mealslodging Var: -200.00 699-069-554200 699-069-554200 Totals: Uniforms And Tools Var: -51.72 699-069-554300 4/12/2012 AP 12 4/12/2012 AP 12 Var: -462.47 79 10490 - Pekin Shoe Repair work boots/landry - mechanic 79 11720 - Twin City Optical safety glasses for t. maquet - vmf 170.96 0.00 1,562.47 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 200.00 0.00 0.00 200.00 0.00 9,100.00 51.72 0.00 0.00 51.72 Ck# 106708 151.96 0.00 Ck# 106742 122.72 0.00 Var: 4,958.41 699-069-555000 Totals: Gasoline/diesel Fuel Var: -563.25 699-069-556100 12 9,100.00 0.00 3,866.91 274.68 0.00 4,141.59 0.00 510.00 563.25 0.00 0.00 563.25 285.37 0.00 285.37 0.00 275 WO Dist Batch IC1 - 00008.04.2012 699-069-556100 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 15,047.63 1,391.51 699-069-554300 Totals: Radio Expense WO 13,945.60 1,100.00 0.00 699-069-555000 4/30/2012 25,000.00 1,100.00 Var: -952.44 510.00 1,177.07 1,462.44 Page 436 Account Number Description 699-069-556200 4/30/2012 IC Budget Cost Of Fuel Sold 12 699-069-556200 Totals: Cost Of Oil 699-069-556202 699-069-556201 Totals: Cost Of Parts 699-069-557200 699-069-556202 Totals: License And Inspection Fe 699-069-559000 699-069-557200 Totals: Medical Expense/supplies 699-069-569000 699-069-559000 Totals: Other Contractual Service AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 Debit This Period Credit This Period 62,356.10 0.00 Ending Balance 525,000.00 274 IC Batch Inv Transaction 2012-04-00008 699-069-556201 4/12/2012 Beginning Balance Var: -180,491.89 525,000.00 0.00 643,135.79 62,356.10 0.00 705,491.89 0.00 190,000.00 0.00 0.00 0.00 0.00 190,000.00 0.00 900,690.30 0.00 0.00 900,690.30 0.00 300.00 0.00 0.00 0.00 0.00 300.00 1,250.00 0.00 0.00 0.00 0.00 Ck# 106638 132.63 0.00 Ck# 106638 132.63 0.00 Ck# 106851 132.63 0.00 Ck# 106851 137.58 0.00 Ck# 107112 138.83 0.00 Var: -710,690.30 Var: 300.00 79 10213 - G & K Services Inc clean uniforms - vmf mechanics 79 10213 - G & K Services Inc clean uniforms - vmf mechanics 184 10213 - G & K Services Inc clean uniforms - mechanics 184 10213 - G & K Services Inc clean uniforms - mechanics 276 10213 - G & K Services Inc clean uniforms - vmf 699-069-569000 Totals: Machinery And Equipment Var: -5,895.57 1,250.00 90,000.00 6,471.27 674.30 0.00 7,145.57 699-069-587000 699-069-587000 Totals: Vehicles Var: 90,000.00 90,000.00 0.00 0.00 0.00 0.00 0.00 699-069-587500 699-069-587500 Totals: Bank Charges Var: -1,000.00 0.00 0.00 1,000.00 0.00 0.00 1,000.00 699-069-590600 699-069-590600 Totals: Miscellaneous 0.00 0.00 0.00 0.00 0.00 0.00 699-069-599000 Ck# 106957 29.28 0.00 Ck# 107184 11.11 0.00 4/26/2012 AP 12 4/30/2012 AP 12 184 11335 - Ty Whitford sugar, coffee for vmf 276 11678 - Plaza Truck & Trailer Parts GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 437 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance service charge - vmf 699-069-599000 Totals: Overage & Shrinkage Var: 448.16 0.00 0.00 -488.55 40.39 0.00 -448.16 699-069-599600 699-069-599600 Totals: Computer Software Var: 567,164.53 0.00 0.00 -567,164.53 0.00 0.00 -567,164.53 699-069-599801 699-069-599801 Totals: Computer Hardware Var: -3,840.00 0.00 0.00 3,840.00 0.00 0.00 3,840.00 699-069-599802 699-069-599802 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 699-069-599900 699-069-599900 Totals: Contingency 0.00 0.00 -418.57 0.00 0.00 -418.57 699-069-599999 0.00 0.00 0.00 0.00 0.00 1,464,044.16 1,601,084.82 152,939.69 3,676.64 1,750,347.87 699-069-599999 Totals: 699-069 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: 418.57 Page 438 Account Number Description 699-070 699-070-511600 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Salary: All Personnel 12 12 12 12 19 123 261 288 699-070-511600 Totals: Overtime 699-070-515600 699-070-517000 6,394.96 699-070-515000 Totals: Holiday Pay 0.00 0.00 0.00 0.00 0.00 0.00 699-070-515600 Totals: Oasdi/city Share 6.2% 0.00 0.00 0.00 0.00 0.00 0.00 19.86 0.00 16.11 25.45 1.41 0.00 0.00 0.00 62.83 0.00 4.63 3.78 5.94 0.33 0.00 0.00 0.00 0.00 14.68 0.00 49.26 39.92 63.23 3.48 0.00 0.00 0.00 0.00 155.89 0.00 57.52 42.69 101.22 2.58 0.00 0.00 0.00 0.00 12 12 12 12 PR PR PR PR 699-070-518000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 0.00 0.00 0.00 0.00 0.00 0.00 PR PR PR 4/3/2012 4/18/2012 4/30/2012 4/30/2012 327.21 265.24 420.07 23.11 Ending Balance 1,035.63 PR 699-070-517401 Credit This Period 5,359.33 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR Debit This Period 0.00 0.00 4/3/2012 4/3/2012 4/18/2012 4/30/2012 4/30/2012 Beginning Balance Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-070-515000 699-070-517001 Budget 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-070-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 19 123 261 288 19 123 261 288 19 123 261 288 0.00 0.00 325.84 Var: -90.97 0.00 0.00 76.29 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-070-517401 Totals: Group Insurance 12 12 12 12 Var: -388.67 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 699-070-517001 Totals: Imrf 12 12 12 12 Var: -6,394.96 Var: -856.36 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 700.47 388.67 90.97 856.36 Page 439 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 921.37 204.01 0.00 1,125.38 699-070-518100 699-070-518000 Totals: Liability Insurance Packa 699-070-518100 Totals: Workers Comp Insurance 0.00 0.00 0.00 0.00 0.00 0.00 699-070-518300 699-070-518300 Totals: Automotive Expense 0.00 0.00 0.00 0.00 0.00 0.00 699-070-534000 1,798.04 0.00 1,798.04 0.00 1,440.37 0.00 1,440.37 0.00 2,382.45 0.00 4/30/2012 WO 699-070-556100 4/30/2012 WO 699-070-556200 4/30/2012 IC 12 278 WO Dist Batch WO3 - 00002.04.2012 699-070-534000 Totals: Gasoline/diesel Fuel 12 Var: -31,046.38 0.00 0.00 29,248.34 275 WO Dist Batch IC1 - 00008.04.2012 699-070-556100 Totals: Cost Of Fuel Sold 12 Var: -1,125.38 Budget Var: -16,762.15 0.00 20,000.00 15,321.78 274 IC Batch Inv Transaction 2012-04-00008 699-070-556201 699-070-556200 Totals: Cost Of Oil 699-070-556202 699-070-556201 Totals: Cost Of Parts 699-070-556202 Totals: 699-070 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -5,758.99 Var: -15,957.39 31,046.38 16,762.15 20,000.00 0.00 23,376.54 2,382.45 0.00 25,758.99 0.00 8,000.00 0.00 0.00 0.00 0.00 8,000.00 23,957.39 0.00 0.00 23,957.39 28,000.00 99,287.35 7,093.90 0.00 106,381.25 Page 440 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 1,492,044.16 1,700,372.17 160,033.59 3,676.64 1,856,729.12 -78,094.16 0.00 1,321,154.50 1,321,154.50 0.00 699 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 441 Account Number Description 800 ASSETS 800-000-190900 Amount Available / Debt S 0.00 800-000-191000 800-000-190900 Totals: Future Revenues Required 0.00 0.00 4/30/2012 GL 800-000-191001 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 300,000.00 266 record 2012 bond payments 800-000-191000 Totals: General Obligation Bonds 0.00 0.00 615,000.00 0.00 300,000.00 315,000.00 800-000-191001 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 615,000.00 0.00 300,000.00 315,000.00 800-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 442 Account Number Description ASSETS Totals: LIABILITIES 800-000-219000 Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 615,000.00 0.00 300,000.00 315,000.00 0.00 800-000-219000 Totals: Due To Sewage Disposal 0.00 0.00 0.00 0.00 0.00 0.00 800-000-220231 800-000-220231 Totals: Capital Leases Payable 0.00 0.00 0.00 0.00 0.00 0.00 800-000-231600 800-000-231600 Totals: General Obligation Bonds 0.00 0.00 0.00 0.00 0.00 0.00 800-000-234500 800-000-234500 Totals: General Obligation Bonds 0.00 0.00 0.00 0.00 0.00 0.00 800-000-236500 800-000-236500 Totals: Series 2004 Refin Go Bond 0.00 0.00 0.00 0.00 0.00 0.00 800-000-236510 190,000.00 0.00 4/30/2012 GL 12 266 record 2012 bond payments 800-000-236510 Totals: Series 2004 Go Bond/herget 0.00 0.00 -385,000.00 190,000.00 0.00 -195,000.00 800-000-236520 800-000-236520 Totals: Series 2005 Go Bond/morton 0.00 0.00 448,000.00 0.00 0.00 448,000.00 800-000-236530 800-000-236530 Totals: Go Bonds 2003 Refinancing 0.00 0.00 -448,000.00 0.00 0.00 -448,000.00 800-000-237500 110,000.00 0.00 4/30/2012 GL 12 266 record 2012 bond payments 800-000-237500 Totals: 800-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 -230,000.00 110,000.00 0.00 -120,000.00 0.00 -615,000.00 300,000.00 0.00 -315,000.00 Page 443 Account Number Description LIABILITIES Totals: FUND BALANCE 800-000-390100 Fund Balance Beg Year 800-000-390100 Totals: 800-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -615,000.00 300,000.00 0.00 -315,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 444 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 0.00 0.00 0.00 0.00 800 Totals: 0.00 0.00 300,000.00 300,000.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 445 Account Number Description 850 ASSETS 850-000-125100 Fixed Asset Investment Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 850-000-125100 Totals: Land 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150100 850-000-150100 Totals: Land Improvements 0.00 0.00 12,368,365.46 0.00 0.00 12,368,365.46 850-000-150200 850-000-150200 Totals: Streets & Curbs 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150300 850-000-150300 Totals: Street & Curb Improvement 0.00 0.00 15,436,308.03 0.00 0.00 15,436,308.03 850-000-150400 850-000-150400 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150500 850-000-150500 Totals: Building Improvements 0.00 0.00 11,318,301.26 0.00 0.00 11,318,301.26 850-000-150600 850-000-150600 Totals: Sewers 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150700 850-000-150700 Totals: Sewer Improvements 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150800 850-000-150800 Totals: Street Lights 0.00 0.00 0.00 0.00 0.00 0.00 850-000-150900 850-000-150900 Totals: Electronics & Office Equip 0.00 0.00 0.00 0.00 0.00 0.00 850-000-151000 850-000-151000 Totals: Infrastructure 0.00 0.00 0.00 0.00 0.00 0.00 850-000-151200 850-000-151200 Totals: Sidewalks 0.00 0.00 1,450,606.00 0.00 0.00 1,450,606.00 850-000-151300 850-000-151300 Totals: 0.00 1,574,420.30 0.00 0.00 1,574,420.30 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 446 Account Number Description 850-000-151400 Lighting Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 850-000-151400 Totals: Machinery And Equipment 0.00 0.00 587,905.00 0.00 0.00 587,905.00 850-000-151500 850-000-151500 Totals: Library Books 0.00 0.00 3,811,987.25 0.00 0.00 3,811,987.25 850-000-151600 850-000-151600 Totals: Vehicles 0.00 0.00 1,885,595.68 0.00 0.00 1,885,595.68 850-000-152000 850-000-152000 Totals: Construction In Progress 0.00 0.00 9,081,822.92 0.00 0.00 9,081,822.92 850-000-153000 850-000-153000 Totals: Accumulated Depreciation 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155000 850-000-155000 Totals: Accum Deprec - Land 0.00 0.00 -17,266,271.00 0.00 0.00 -17,266,271.00 850-000-155100 850-000-155100 Totals: Accum Deprec - Land Impro 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155200 850-000-155200 Totals: Accum Deprec - Streets 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155300 850-000-155300 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155400 850-000-155400 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155500 850-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155600 850-000-155600 Totals: Accum Deprec - Sewers 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155700 850-000-155700 Totals: Accum Deprec - Sewer Impr 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155800 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 447 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 850-000-155800 Totals: Accum Depr - Street Lights 0.00 0.00 0.00 0.00 0.00 0.00 850-000-155900 850-000-155900 Totals: Accum Deprec - Electronics 0.00 0.00 0.00 0.00 0.00 0.00 850-000-156000 850-000-156000 Totals: Accum Deprec - Books 0.00 0.00 0.00 0.00 0.00 0.00 850-000-156100 850-000-156100 Totals: Accum Deprec - Sidewalks 0.00 0.00 0.00 0.00 0.00 0.00 850-000-156300 850-000-156300 Totals: Accum Deprec - Lighting 0.00 0.00 0.00 0.00 0.00 0.00 850-000-156400 850-000-156400 Totals: Accum Deprec - Mach & Equ 0.00 0.00 0.00 0.00 0.00 0.00 850-000-156500 850-000-156500 Totals: Accum Deprec - Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 850-000-157000 850-000-157000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 40,249,040.90 0.00 0.00 40,249,040.90 850-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 448 Account Number Description ASSETS Totals: FUND BALANCE 850-000-390100 Fund Balance Beg Year 850-000-390100 Totals: 850-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 40,249,040.90 0.00 0.00 40,249,040.90 0.00 -40,249,040.90 0.00 0.00 -40,249,040.90 0.00 -40,249,040.90 0.00 0.00 -40,249,040.90 0.00 Page 449 Account Number EXPENSE 850-000-599700 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 -40,249,040.90 0.00 0.00 -40,249,040.90 Fixed Asset Disposal 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 850-000-599700 Totals: 850-000 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 450 Account Number Description 850-850 850-850-599700 Fixed Asset Disposal 850-850-599900 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 850-850-599700 Totals: Depreciation Expense 0.00 0.00 0.00 0.00 0.00 0.00 850-850-599900 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 850-850 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 451 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 0.00 0.00 0.00 0.00 0.00 850 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 452 Account Number Description 888 ASSETS 888-000-110200 4/30/2012 GL 888-000-110201 Not Used 12 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 Beginning Balance 3 Food and Beverage Ol Dad's # 16564 Cash Receipts Batch 50103-04-2012 7 Plumbing Inspections Salzer Plumbing# 16543 Cash Receipts Batch 04002-04-2012 7 Electrical Permit Kaiser Electrical Contractors # 16550 Cash Receipts Batch 04002-04-2012 7 HVAC Permit AAA Northgate Inc # 16551 Cash Receipts Batch 04002-04-2012 7 Special Use Permit K-Mart # 16552 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Morrow Construction # 16553 Cash Receipts Batch 04002-04-2012 7 Electrical Permit J-Horn Electric LLC # 16554 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Watkins &#Son16555 Construction Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Thomas Oberle # 16556 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Diana L Higgs # 16557 Cash Receipts Batch 04002-04-2012 7 Sale Of Large Toter Helen Glenn # 16558 Cash Receipts Batch 04002-04-2012 7 Building Rezoning Permits Bruce N Woodmancy # 16559 Cash Receipts Batch 04002-04-2012 7 Yardwaste Stickers Unknown Walk-In # 16560 Cash Receipts Batch 04002-04-2012 12 Sale Of Large Toter Agatha Upchurch # 16571 Cash Receipts Batch 02503-04-2012 12 Sale Of Large Toter Josh Hopping # 16572 Cash Receipts Batch 02503-04-2012 12 Sale Of Large Toter Ondel Bulifant # 16573 Cash Receipts Batch 02503-04-2012 13 Mechanical Amusement Lic The Boardwalk # 16581 James Shaw Cash Receipts Batch 02703-04-2012 13 Billiards License The Boardwalk James#Shaw 16581 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 0.00 1,060.00 0.00 1,060.00 193.82 0.00 10.00 0.00 43.00 0.00 40.00 0.00 45.00 0.00 53.00 0.00 43.00 0.00 53.00 0.00 56.00 0.00 20.00 0.00 60.00 0.00 20.00 0.00 0.50 0.00 60.00 0.00 25.00 0.00 25.00 0.00 200.00 0.00 100.00 0.00 Ending Balance 0.00 266 corr coding 888-000-110200 Totals: Cash 4/3/2012 Budget 0.00 0.00 1,060.00 0.00 Page 453 Account Number Description 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 Cash Receipts Batch 02703-04-2012 13 Cigarette License The Boardwalk James# Shaw 16581 Cash Receipts Batch 02703-04-2012 13 Juke Box License The Boardwalk James# Shaw 16581 Cash Receipts Batch 02703-04-2012 13 Liquor License Renewals The Boardwalk # James 16581Shaw Cash Receipts Batch 02703-04-2012 13 Mechanical Amusement Lic Kroger Limited # 16582 J-923 Cash Receipts Batch 02703-04-2012 13 Cigarette License Kroger Limited J-923# 16582 Cash Receipts Batch 02703-04-2012 13 Liquor License Renewals Kroger Limited # J-923 16582 Cash Receipts Batch 02703-04-2012 13 Reclmtn & Vic. Dog Fees Tara Drury # 16583 Cash Receipts Batch 02703-04-2012 13 Reclmtn & Vic. Dog Fees Patrick O'Brien # 16584 Cash Receipts Batch 02703-04-2012 13 Sale Of Large Toter Cynthia Sidell # 16585 Cash Receipts Batch 02703-04-2012 13 Sale Of Large Toter Sophia Thacker # 16586 Cash Receipts Batch 02703-04-2012 14 Escrow Accts Jackson's Htg & Air Cond # Attn: 16567Michael T Jackson Cash Receipts Batch 04003-04-2012 14 Yardwaste Stickers Charlene Oberle # 16568 Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Michael Price # 16569 Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Kruse Builders # 16570 Inc Cash Receipts Batch 04003-04-2012 14 Rental Property Reg Fee Barbara A Rosa # & 16574 Robert C Rosa Jr Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Barbara A Rosa # 16575 & Robert C Rosa Jr Cash Receipts Batch 04003-04-2012 14 Special Use Permit Wester Powell, PC Attn: # 16579 Erica Zuniga, Lic Mgr Cash Receipts Batch 04003-04-2012 14 Building Rezoning Permits Ola Ackerson # 16580 Cash Receipts Batch 04003-04-2012 15 Restitution Restitution/J. Davis # 16544 Cash Receipts Batch 50003-04-2012 15 Misc Receipts Jury Duty/D. Graber # 16545 Cash Receipts Batch 50003-04-2012 15 Misc Receipts A. Smith/Jury Duty # 16546 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 50.00 0.00 25.00 0.00 1,200.00 0.00 50.00 0.00 100.00 0.00 1,200.00 0.00 50.00 0.00 75.00 0.00 60.00 0.00 25.00 0.00 150.00 0.00 0.75 0.00 20.00 0.00 95.00 0.00 25.00 0.00 20.00 0.00 45.00 0.00 20.00 0.00 67.16 0.00 63.30 0.00 12.22 0.00 Ending Balance Page 454 Account Number Description 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 4/4/2012 PR CR 12 12 4/4/2012 CR 12 4/4/2012 CR 12 Cash Receipts Batch 50003-04-2012 15 Misc Receipts M. Eeten/witness fee # 16547 Cash Receipts Batch 50003-04-2012 15 Parking Tickets Emma Zimmerman # 16549 Cash Receipts Batch 50003-04-2012 15 Charters Tazewell County Health Dept# 16562 Cash Receipts Batch 50003-04-2012 15 IDOT Reimb Illinois Department of Transpo # 16563 Cash Receipts Batch 50003-04-2012 15 10% Penalty Food Beverage/Liquor Ol#Dad's 16565 Cash Receipts Batch 50003-04-2012 15 Food & Beverage Tax Ol Dad's # 16566 Cash Receipts Batch 50003-04-2012 15 Gas Tax Kaizen Food & Gas # 16587 Cash Receipts Batch 50003-04-2012 15 Gas Tax Carl & Nichols Shell # 16588 Cash Receipts Batch 50003-04-2012 15 Airport Gas Sales AVFUEL # 16589 Cash Receipts Batch 50003-04-2012 15 Rental Of Municipal Prop T-MOBILE # 16590 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Sheridan # 16591 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Court # 16592 Cash Receipts Batch 50003-04-2012 15 Sale Of Salt Groveland Township # 16595 Cash Receipts Batch 50003-04-2012 15 Gas Tax Pekin Marathon Niksa Oil Inc.# 16596 Cash Receipts Batch 50003-04-2012 15 Credit Fee Pekin Marathon Niksa Oil Inc. # 16596 Cash Receipts Batch 50003-04-2012 15 Gas Tax 8th St. Marathon Linik Corp # 16597 Cash Receipts Batch 50003-04-2012 15 Credit Fee 8th St. Marathon Linik Corp# 16597 Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 20 Municipal Ordinance Fees JACOB BLAND # 16618 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees KYLE TALEN # 16619 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees BRANDEN #EVERETT 16620 Cash Receipts Batch 29040-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 20.00 0.00 232.00 0.00 350.00 0.00 81,225.65 0.00 19.38 0.00 3.89 0.00 983.92 0.00 342.52 0.00 1,877.09 0.00 920.00 0.00 571.00 0.00 1,077.00 0.00 10,200.00 0.00 1,216.68 0.00 0.32 0.00 1,008.56 0.00 0.44 0.00 0.00 150.00 35,740.34 0.00 300.00 0.00 150.00 0.00 Ending Balance Page 455 Account Number Description 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 20 Municipal Ordinance Fees DUSTIN SUMNER # 16621 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees DAVID BATTON # 16622 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees JOSHUA OZUNA # 16623 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees SEAN MCFARLAND # 16624 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees CHRIS MCFARLAND # 16625 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees DONALD ZIEGENBEIN # 16626 Cash Receipts Batch 29040-04-2012 20 Municipal Ordinance Fees TRAVIS PRATT # 16627 Cash Receipts Batch 29040-04-2012 21 Accident Reports JAY JANSSEN # 16598 Cash Receipts Batch 29004-04-2012 21 Accident Reports KIRK BODE # 16599 Cash Receipts Batch 29004-04-2012 21 Accident Reports MICHAEL MCCRAKEN # 16600 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees MICHELLE#FROHM 16601 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees DALTON WISEMAN # 16602 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees TOBBY BUHS # 16603 Cash Receipts Batch 29004-04-2012 21 Municipal Ordinance Fees TOBBY BUHS # 16604 Cash Receipts Batch 29004-04-2012 21 Non Sufficient Funds Fee BONNIE SMITH # 16605 Cash Receipts Batch 29004-04-2012 21 Accident Reports JOY CHILTON # 16606 Cash Receipts Batch 29004-04-2012 21 Accident Reports ANNETTE SNODGRASS # 16607 Cash Receipts Batch 29004-04-2012 21 Fingerprint Fee ALAN MCLOUTH # 16608 Cash Receipts Batch 29004-04-2012 21 Parking Lot Rental MISSYS CORNER#CAFE 16609 Cash Receipts Batch 29004-04-2012 21 Parking Tickets PARKING TICKETS # 16610 Cash Receipts Batch 29004-04-2012 21 Cash Over/ Short CASH OVER # 16611 Cash Receipts Batch 29004-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 300.00 0.00 250.00 0.00 250.00 0.00 50.00 0.00 50.00 0.00 200.00 0.00 50.00 0.00 5.00 0.00 20.00 0.00 20.00 0.00 100.00 0.00 300.00 0.00 300.00 0.00 400.00 0.00 25.00 0.00 5.00 0.00 5.00 0.00 30.00 0.00 225.00 0.00 240.00 0.00 10.00 0.00 Ending Balance Page 456 Account Number Description 4/4/2012 4/4/2012 PR AP 12 12 23 Computer Checks Batch 2012 04 00034 26 AP Computer Cks 0-106578, 04/06/2012 Ck# 0 4/4/2012 4/4/2012 4/4/2012 CH CH CR 12 12 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/4/2012 CR 12 4/5/2012 4/5/2012 4/5/2012 AP AP CR 12 12 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 27 Electronic AP Checks Batch: 2012-3-5 28 Electronic AP Checks Batch: 2012-4-1 29 Sale Of Large Toter Matt Kirk # 16630 Cash Receipts Batch 25004-04-2012 31 Electrical Permit Palm Electric Co # 16613 Cash Receipts Batch 23004-04-2012 31 Special Use Permit Kalzen Food & Gas#LLC 16631 Broadway Station Cash Receipts Batch 23004-04-2012 31 Special Use Permit Nieman Foods Inc Food # 16632 Depot 149 Cash Receipts Batch 23004-04-2012 31 Special Use Permit Kroger Public Affairs # Attn: 16633 Dottie Kirby Cash Receipts Batch 23004-04-2012 31 Plumbing Inspections Mike Earhart # 16634 Cash Receipts Batch 23004-04-2012 31 Building Rezoning Permits Paula Watson # 16635 Cash Receipts Batch 23004-04-2012 31 Electrical Permit Paula Watson # 16635 Cash Receipts Batch 23004-04-2012 35 AP Manual Cks 3533-3536, 04/02/2012 36 Void 37 Charters St Joseph School # 16636 Cash Receipts Batch 50205-04-2012 37 Property Rental UGL SERVICES # 16637 Cash Receipts Batch 50205-04-2012 37 Computer Loans payments PAYROLL #- 4/5/12 16638 Cash Receipts Batch 50205-04-2012 37 Sewer Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 37 Hud Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 37 TPCC Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 37 Library Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 37 Hotel/Motel Tax Super 8 # 16651 Cash Receipts Batch 50205-04-2012 37 Hangar Lease Bill Baker # 16655 Cash Receipts Batch 50205-04-2012 37 Copy Money/Accidents, Etc MET RPRTING # 16662 BUREAU/COPIES GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.00 0.00 2,639.21 11,577.71 0.00 0.00 25.00 552.00 350,956.77 0.00 43.00 0.00 45.00 0.00 45.00 0.00 45.00 0.00 15.00 0.00 20.00 0.00 26.00 0.00 0.00 13,600.00 50.00 346.80 0.00 0.00 833.33 0.00 173.41 0.00 22,543.52 0.00 4,298.13 0.00 39,050.89 0.00 28,945.66 0.00 2,214.15 0.00 140.00 0.00 10.00 0.00 Ending Balance Page 457 Account Number Description 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/6/2012 CR 12 4/6/2012 CR 12 4/6/2012 CR 12 4/9/2012 4/9/2012 AP CR 12 12 4/9/2012 CR 12 4/9/2012 CR 12 Cash Receipts Batch 50205-04-2012 38 Sale Of Large Toter Donna Zimmerman# 16639 Cash Receipts Batch 25005-04-2012 38 Sale Of Large Toter Gerald Schadt # 16654 Cash Receipts Batch 25005-04-2012 38 Sale Of Large Toter Tim Kipfer # 16656 Cash Receipts Batch 25005-04-2012 40 Plumbing Inspections Ralph Holland Plumbing # 16652 Cash Receipts Batch 23005-04-2012 40 Electrical Permit Titan Electrical Service # Inc 16653 Cash Receipts Batch 23005-04-2012 40 Building Rezoning Permits Kyle Ruschmeyer # 16657 Cash Receipts Batch 23005-04-2012 40 Building Rezoning Permits Jillian Herron # 16658 Cash Receipts Batch 23005-04-2012 40 Building Rezoning Permits Antonini Brothers # 16664 Inc Cash Receipts Batch 23005-04-2012 40 Rental Property Reg Fee David Oslund# 16670 Cash Receipts Batch 23005-04-2012 40 Electrical Permit Titan Electrical Service # Inc 16673 Cash Receipts Batch 23005-04-2012 42 Special Events Freebird Abate, Inc Michael # 16663 Strait Cash Receipts Batch 02705-04-2012 42 Bowling License Sunset Lanes, Inc James # Keith 16665 Cash Receipts Batch 02705-04-2012 42 Liquor License Renewals Sunset Lanes,#Inc16665 James Keith Cash Receipts Batch 02705-04-2012 42 Cigarette License Family Dollar 2 Pekin# locations 16666 Cash Receipts Batch 02705-04-2012 47 Liquor License Renewals Tasty Garden,# Inc. 16678 Oriental Palace Cash Receipts Batch 02706-04-2012 47 Cigarette License Beck Oil Co. # 16679 Cash Receipts Batch 02706-04-2012 47 Liquor License Renewals Beck Oil Co.# 16679 Cash Receipts Batch 02706-04-2012 52 Void 53 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 53 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 53 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 25.00 0.00 25.00 0.00 60.00 0.00 197.00 0.00 43.00 0.00 20.00 0.00 20.00 0.00 110.00 0.00 25.00 0.00 379.00 0.00 25.00 0.00 900.00 0.00 1,200.00 0.00 100.00 0.00 800.00 0.00 50.00 0.00 1,200.00 0.00 4,398.66 76.50 0.00 0.00 50.00 0.00 76.50 0.00 Ending Balance Page 458 Account Number Description 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 53 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 53 1036 Augusta St # 16677 Cash Receipts Batch 50006-04-2012 53 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 53 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 53 Lien Filing & Release Fees 1036 Augusta # 16677 St Cash Receipts Batch 50006-04-2012 53 Property Clean Up Fees 1036 Augusta #St 16677 Cash Receipts Batch 50006-04-2012 53 Interest general fund INTEREST WIRED # 4/5/12 16682 Cash Receipts Batch 50006-04-2012 53 Interest general fund INTEREST/WIRED # 4-6-12 16683 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Dennis Stoller # 16684 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup James Slack # 16685 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Hollis Perry # 16686 Cash Receipts Batch 50006-04-2012 53 Monthly Hangar Rental Leo Stiles # 16687 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Ruth Dehner # 16688 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Mindy Gardner # 16689 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Bill Melton # 16690 Cash Receipts Batch 50006-04-2012 53 Monthly Hangar Rental Michael Reed # 16691 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup John Dourneen # 16692 Cash Receipts Batch 50006-04-2012 53 Monthly Hangar Rental Holzwarth Flexsenhar,LLC # 16693 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Bill Hounshell # 16694 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Tax Bill Hounshell # 16694 Cash Receipts Batch 50006-04-2012 53 Monthly Hangar Rental Bill Hounshell # 16695 Cash Receipts Batch 50006-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 275.00 0.00 579.75 0.00 76.50 0.00 100.00 0.00 76.50 0.00 50.00 0.00 1,747.78 0.00 1,747.78 0.00 24.00 0.00 24.00 0.00 24.00 0.00 35.00 0.00 24.00 0.00 24.00 0.00 24.00 0.00 200.00 0.00 24.00 0.00 350.00 0.00 143.89 0.00 9.71 0.00 280.00 0.00 Ending Balance Page 459 Account Number Description 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 53 Special Refuse Pickup Wilma Wyatt # 16696 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Lawrence Leitner # 16697 Cash Receipts Batch 50006-04-2012 53 Monthly Hangar Rental Allan Lurie # 16698 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Julio Morales # 16699 Cash Receipts Batch 50006-04-2012 53 Hangar Lease Julio Morales # 16700 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Timothy Troyer # 16701 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales Tax Timothy Troyer # 16701 Cash Receipts Batch 50006-04-2012 53 Hangar Lease Timothy Troyer # 16702 Cash Receipts Batch 50006-04-2012 53 Airport Gas Sales AVFUEL # 16703 Cash Receipts Batch 50006-04-2012 53 Special Refuse Pickup Stella Yocum # 16704 Cash Receipts Batch 50006-04-2012 53 Food and Beverage Wendy's # 16705 Cash Receipts Batch 50006-04-2012 53 Food and Beverage LaGondola Spaghetti # House, 16706 Inc Cash Receipts Batch 50006-04-2012 53 Credit Fee LaGondola Spaghetti House, # Inc 16706 Cash Receipts Batch 50006-04-2012 53 Food and Beverage Double D's Ice Creme # 16707 Cash Receipts Batch 50006-04-2012 53 Return Excess Advance Trn KAMINSKI/EXCESS # 16708 PER DIEM Cash Receipts Batch 50006-04-2012 53 IDOT Reimb Illinois Department of Transpo # 16709 Cash Receipts Batch 50006-04-2012 53 Recycling Misc Receipts BARRY WEGER/RECYCLE # 16718 BIN Cash Receipts Batch 50006-04-2012 56 Sale Of Large Toter Wallace Gent # 16719 Cash Receipts Batch 02709-04-2012 56 Sale Of Large Toter Richard Cantrell # 16720 Cash Receipts Batch 02709-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 24.00 0.00 24.00 0.00 280.00 0.00 6.00 0.00 287.78 0.00 19.42 0.00 140.00 0.00 106.00 0.00 7.15 0.00 140.00 0.00 2,277.33 0.00 24.00 0.00 2,932.14 0.00 1,327.66 0.00 0.34 0.00 54.00 0.00 12.38 0.00 1,042,254.40 0.00 10.00 0.00 25.00 0.00 25.00 0.00 Ending Balance Page 460 Account Number Description 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 4/10/2012 AR CR 12 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 56 Sale Of Large Toter Abby Vaughan # 16721 Cash Receipts Batch 02709-04-2012 56 Sale Of Large Toter Charissa Hilst # 16722 Cash Receipts Batch 02709-04-2012 56 Reclmtn & Vic. Dog Fees Clarice Spangler # 16723 Cash Receipts Batch 02709-04-2012 56 Reclmtn & Vic. Dog Fees Jeff Smith # 16724 Cash Receipts Batch 02709-04-2012 57 Escrow Accts Tri-County Irrigation & #Plbg16674 Cash Receipts Batch 23006-04-2012 57 Escrow Accts Covenant Heating & Air#LLC 16675 Cash Receipts Batch 23006-04-2012 57 Home Occupations License Ralph Hauser # 16676 Cash Receipts Batch 23006-04-2012 57 Yardwaste Stickers Kennth Ihnen # 16725 Cash Receipts Batch 23006-04-2012 57 Sale Of Large Toter Kenneth Ihnen # 16726 Cash Receipts Batch 23006-04-2012 57 Building Rezoning Permits Maguire Dev # Corp 16728 Attn: Brian P Maguire Cash Receipts Batch 23006-04-2012 58 AR Adjustments 00008.04.2012 60 Hangar Lease Tim Fosdick # 16727 Cash Receipts Batch 50010-04-2012 60 Sale Of Large Toter Brinda Cheek # 16745 Cash Receipts Batch 50010-04-2012 60 Monthly Hangar Rental Dr Robert Ehrich # 16746 Cash Receipts Batch 50010-04-2012 60 Special Refuse Pickup Robert Ehrich # 16747 Cash Receipts Batch 50010-04-2012 60 Hangar Lease Dave Jones # 16748 Cash Receipts Batch 50010-04-2012 60 Hangar Lease Kevin Johnson # 16749 Cash Receipts Batch 50010-04-2012 60 Food and Beverage Twisted Spoke Saloon # 16750 Inc. Cash Receipts Batch 50010-04-2012 60 Credit Fee Twisted Spoke Saloon Inc. # 16750 Cash Receipts Batch 50010-04-2012 61 Sale Small Toter Linda Timian # 16751 Cash Receipts Batch 25010-04-2012 61 Sale Of Large Toter Jennie Chaney # 16752 Cash Receipts Batch 25010-04-2012 61 Sale Of Large Toter James Murray # 16753 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 60.00 0.00 25.00 0.00 50.00 0.00 50.00 0.00 400.00 0.00 300.00 0.00 45.00 0.00 0.75 0.00 50.00 0.00 59.00 0.00 0.00 140.00 0.01 0.00 25.00 0.00 35.00 0.00 24.00 0.00 140.00 0.00 140.00 0.00 540.48 0.00 0.52 0.00 40.00 0.00 25.00 0.00 25.00 0.00 Ending Balance Page 461 Account Number Description 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 Cash Receipts Batch 25010-04-2012 62 Liq. lic app fee & fines NFI Niemann Foods, # 16757 Inc Food Depot Cash Receipts Batch 02710-04-2012 62 Sale Of Large Toter Brett Bode # 16758 Cash Receipts Batch 02710-04-2012 62 Sale Of Large Toter Brandi Crosiar # 16759 Cash Receipts Batch 02710-04-2012 63 Building Rezoning Permits Barry H Weger # 16729 Cash Receipts Batch 23010-04-2012 63 Special Use Permit Mac's Conv Stores LLC # 16730 dba Circle K-Midwest Cash Receipts Batch 23010-04-2012 63 Electrical Permit Dobbelaire Electrical#Corp 16731 Cash Receipts Batch 23010-04-2012 63 Rental Property Reg Fee Troy A Dubois # 16732 Cash Receipts Batch 23010-04-2012 63 Special Use Permit Thortons Inc # 16733 Cash Receipts Batch 23010-04-2012 63 Plumbing Inspections Dennis Whitley # 16734 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Randy Brandt # 16738 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Debra A Rogers # 16739 Cash Receipts Batch 23010-04-2012 63 Recycling Misc Receipts Debra A Rogers # 16740 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Zendavor Signs # 16741 & Graphics Inc Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Lyda Magee# 16742 Cash Receipts Batch 23010-04-2012 63 Rental Property Reg Fee Troy A Dubois # 16743 Cash Receipts Batch 23010-04-2012 63 Yardwaste Stickers Norma Mefford # 16744 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Clayton Denning # 16754 Cash Receipts Batch 23010-04-2012 63 Building Rezoning Permits Ronald F Wilson # 16755 Cash Receipts Batch 23010-04-2012 69 Recycling Misc Receipts JEFFERSON #SCHOOL/14 16760 BINS Cash Receipts Batch 50011-04-2012 69 Property Rental Rodrigo & Amy Cossieon # 16766 Cash Receipts Batch 50011-04-2012 69 Special Refuse Pickup Ed Moehle # 16767 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 625.00 0.00 25.00 0.00 25.00 0.00 35.00 0.00 45.00 0.00 43.00 0.00 25.00 0.00 45.00 0.00 15.00 0.00 35.00 0.00 20.00 0.00 10.00 0.00 20.00 0.00 20.00 0.00 25.00 0.00 1.50 0.00 20.00 0.00 20.00 0.00 140.00 0.00 400.00 0.00 24.00 0.00 Ending Balance Page 462 Account Number Description 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 4/12/2012 AP CR 12 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 Cash Receipts Batch 50011-04-2012 69 Special Refuse Pickup Phyllis Booe # 16768 Cash Receipts Batch 50011-04-2012 69 108 CONTRACT/K - 8 Chicago Public# Schools 16769 Cash Receipts Batch 50011-04-2012 69 Food and Beverage Arby's Roast Beef #Restaurant 16770 Cash Receipts Batch 50011-04-2012 69 Credit Fee Arby's Roast Beef Restaurant # 16770 Cash Receipts Batch 50011-04-2012 69 Food and Beverage Fast Dragon Restaurant # 16771 Inc. Cash Receipts Batch 50011-04-2012 69 Food and Beverage New Fast Dragon Buffet, # 16772 Inc. Cash Receipts Batch 50011-04-2012 69 NSF Fees S. McBride/chk #514 # 16774 Cash Receipts Batch 50011-04-2012 72 Sale Of Large Toter Judy Nizzia # 16763 Cash Receipts Batch 25011-04-2012 72 Sale Of Large Toter Robert Richards # 16764 Cash Receipts Batch 25011-04-2012 72 Sale Of Large Toter John Crawford # 16777 Cash Receipts Batch 25011-04-2012 73 Escrow Accts Ralph Holland Plumbing# 16778 Cash Receipts Batch 23011-04-2012 73 Plumbing Inspections Ralph Holland Plumbing # 16779 Cash Receipts Batch 23011-04-2012 73 Building Rezoning Permits Steve Eldridge # 16780 Cash Receipts Batch 23011-04-2012 73 Building Rezoning Permits Mary Tisdale # 16781 Cash Receipts Batch 23011-04-2012 77 AP Manual Cks 3526-3535, 04/12/2012 78 Yardwaste Stickers STICKERS SOLD #AT 16785 ST. DEPT Cash Receipts Batch 50512-04-2012 78 Recycling Misc Receipts BIN SOLD AT # ST. 16786 DEPT Cash Receipts Batch 50512-04-2012 78 Replacemnt PP Tax-TWSP PEKIN TOWNSHIP/TAZ # 16815 COUNTY Cash Receipts Batch 50512-04-2012 78 Food and Beverage Dairy Queen # 16818 Cash Receipts Batch 50512-04-2012 78 Food and Beverage China Express # 16819 Cash Receipts Batch 50512-04-2012 78 Gas Tax Ray Dennison Chev, Inc. # 16823 Cash Receipts Batch 50512-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 24.00 0.00 953.00 0.00 2,801.98 0.00 0.02 0.00 326.64 0.00 790.63 0.00 25.00 0.00 50.00 0.00 25.00 0.00 60.00 0.00 100.00 0.00 80.00 0.00 20.00 0.00 50.00 0.00 0.00 22.00 890.19 0.00 10.00 0.00 678.68 0.00 848.61 0.00 200.28 0.00 132.42 0.00 Ending Balance Page 463 Account Number Description 4/12/2012 CR 12 4/12/2012 AP 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 78 ED Property Rental Illinois Central College # 16824 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 81 Raffle License Boy N Girls Club John Denning # 16826 Cash Receipts Batch 02712-04-2012 81 Mechanical Amusement Lic American #Legion 16827 Post 44 Steven Saal Cash Receipts Batch 02712-04-2012 81 Juke Box License American Legion Post # 4416827 Steven Saal Cash Receipts Batch 02712-04-2012 81 Liquor License Renewals American Legion # 16827 Post 44 Steven Saal Cash Receipts Batch 02712-04-2012 81 Cigarette License Schnuck Market, Inc.# 16828 Cash Receipts Batch 02712-04-2012 81 Liquor License Renewals Schnuck Market, # 16828 Inc. Cash Receipts Batch 02712-04-2012 81 Cigarette License Pekin Gas # 16829 Cash Receipts Batch 02712-04-2012 81 Cigarette License Pekin Gas # 16830 Cash Receipts Batch 02712-04-2012 81 Second Hand Dealer/Pawnsh Military Uniform # 16831 Supply Alan McLouth Cash Receipts Batch 02712-04-2012 83 ZBA Waiver Request Fees Marsha & Bill # Wagner 16784 Jr Cash Receipts Batch 23012-04-2012 83 Building Rezoning Permits James Gschwind # 16787 Cash Receipts Batch 23012-04-2012 83 Special Use Permit David R Whitehurst# 16788 Cash Receipts Batch 23012-04-2012 83 Building Rezoning Permits Daniel L McKinley # 16832 Cash Receipts Batch 23012-04-2012 83 Electrical Permit Morr Electrical Service # Inc 16833 Cash Receipts Batch 23012-04-2012 83 Building Rezoning Permits JM Holmes#& 16834 Sons Inc Cash Receipts Batch 23012-04-2012 84 Accident Reports PARKER & HALLIDAY # 16807 Cash Receipts Batch 29012-04-2012 84 Accident Reports CORPORATE CLAIMS # 16808 MANAGEME Cash Receipts Batch 29012-04-2012 84 Accident Reports CHRIS DOSCOTCH# 16809 Cash Receipts Batch 29012-04-2012 84 Accident Reports MILLER & PUGH # 16810 Cash Receipts Batch 29012-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 9,000.00 0.00 0.00 3,204,899.03 120.00 0.00 175.00 0.00 25.00 0.00 500.00 0.00 50.00 0.00 1,200.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 85.00 0.00 20.00 0.00 85.00 0.00 107.00 0.00 26.00 0.00 100.00 0.00 5.00 0.00 5.00 0.00 5.00 0.00 20.00 0.00 Ending Balance Page 464 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/13/2012 4/13/2012 AP CR 12 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 84 Municipal Ordinance Fees EMILY HARMS # 16811 Cash Receipts Batch 29012-04-2012 84 Municipal Ordinance Fees RYAN LULAY # 16812 Cash Receipts Batch 29012-04-2012 84 Fingerprint Fee MICHAEL BIER # 16813 Cash Receipts Batch 29012-04-2012 84 Accident Reports MARK MCMULLIN# 16814 Cash Receipts Batch 29012-04-2012 84 Parking Tickets MCSI # 16816 Cash Receipts Batch 29012-04-2012 84 Parking Lot Rental MONGE CROUCH#& MAHONEY 16817 Cash Receipts Batch 29012-04-2012 84 Parking Tickets PARKING TICKETS 4/9/12 # 16820 Cash Receipts Batch 29012-04-2012 84 Parking Tickets PARKING TICKETS 4/12/12 # 16822 Cash Receipts Batch 29012-04-2012 87 Void 88 Sidewalk 50/50 Bryan or Shelly Cordts# 16841 Cash Receipts Batch 50513-04-2012 88 Misc Receipts J STOLZ/WITNESS FEE # 16850 Cash Receipts Batch 50513-04-2012 88 Monthly Hangar Rental Richard Cunningham # 16851 Cash Receipts Batch 50513-04-2012 88 Hangar Lease Greg Longfellow # 16852 Cash Receipts Batch 50513-04-2012 88 Airport Gas Sales Murray Brian # 16853 Cash Receipts Batch 50513-04-2012 88 Airport Gas Sales Tax Murray Brian # 16853 Cash Receipts Batch 50513-04-2012 88 Hotel/Motel Tax Holiday Inn # 16854 Cash Receipts Batch 50513-04-2012 88 Hotel/Motel Tax Mineral Springs Motel # 16855 Cash Receipts Batch 50513-04-2012 88 Misc Receipts PEELER/RESIGNATION # REIMB. 16856 Cash Receipts Batch 50513-04-2012 88 Hotel/Motel Tax Concorde Inn # 16857 Cash Receipts Batch 50513-04-2012 88 Insurance A.P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 MFT A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 Hud A/P Reim AP - 4/13/2012 # 16859 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 50.00 0.00 500.00 0.00 60.00 0.00 0.50 0.00 405.75 0.00 150.00 0.00 440.00 0.00 215.00 0.00 1,004.47 800.00 0.00 0.00 44.00 0.00 140.00 0.00 140.00 0.00 1,235.01 0.00 83.36 0.00 8,818.59 0.00 415.51 0.00 7,125.91 0.00 2,503.00 0.00 319,532.94 0.00 2,525.52 0.00 23.40 0.00 Ending Balance Page 465 Account Number Description 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 AP 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 Cash Receipts Batch 50513-04-2012 88 Hud Home A/P -Payroll AP - 4/13/2012# 16859 Cash Receipts Batch 50513-04-2012 88 Library A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 TPCC A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 Sewer A/P Reimb AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 Property Rental Tpcc # 16860 Cash Receipts Batch 50513-04-2012 88 TPCC Acctg Services Tpcc # 16861 Cash Receipts Batch 50513-04-2012 88 Lien Filing & Release Fees 1900 Sierra# St 16862 Cash Receipts Batch 50513-04-2012 88 Property Clean Up Fees 1900 Sierra St# 16862 Cash Receipts Batch 50513-04-2012 88 Lien Filing & Release Fees 401 St. Julian # 16863 Cash Receipts Batch 50513-04-2012 88 Property Clean Up Fees 401 St. Julian # 16863 Cash Receipts Batch 50513-04-2012 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 93 Building Rezoning Permits Kelley M Steger # 16835 Cash Receipts Batch 23013-04-2012 93 HVAC Permit Keller Heating & Air Cond # 16836 Cash Receipts Batch 23013-04-2012 93 Recycling Misc Receipts Sue Hurd # 16858 Cash Receipts Batch 23013-04-2012 94 Sale Of Large Toter Dave Cooper # 16837 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Jason Hindahl # 16838 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Frank Dunker # 16839 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Ronald Wilson # 16840 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Roger Broughton # 16842 Cash Receipts Batch 25013-04-2012 94 Bus passes Mona Scalf # 16849 Cash Receipts Batch 25013-04-2012 94 Sale Of Large Toter Harry Ruark # 16864 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 8,373.99 0.00 11,104.02 0.00 35,027.14 0.00 2,139,957.15 0.00 750.00 0.00 1,875.00 0.00 76.50 0.00 60.00 0.00 76.50 0.00 70.00 0.00 0.00 41,929.78 20.00 0.00 80.00 0.00 10.00 0.00 25.00 0.00 25.00 0.00 25.00 0.00 60.00 0.00 60.00 0.00 14.00 0.00 50.00 0.00 Ending Balance Page 466 Account Number Description 4/13/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 Cash Receipts Batch 25013-04-2012 94 Second Hand Dealer/Pawnsh Grandpa Bait # 16865 & Bow Ricky Whitley Cash Receipts Batch 25013-04-2012 96 Hud A/P Reim AP # 16881 Cash Receipts Batch 50016-04-2012 96 Sewer A/P Reimb AP # 16881 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Burger King #1142# 16884 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Pekin Park District# 16885 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Pizza Hut of America # Inc. 16886 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Hardee's # 16887 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Kentucky Fried Chicken # 16888 Cash Receipts Batch 50016-04-2012 96 Hotel/Motel Tax Econo Lodge # 16889 Cash Receipts Batch 50016-04-2012 96 Food and Beverage China King # 16890 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Starbucks # 16891 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Steak n Shake # 16892 Cash Receipts Batch 50016-04-2012 96 Food and Beverage Taco Bell # 16893 Cash Receipts Batch 50016-04-2012 96 IPTIP Trans General US BANK/4-11-12 # 16894 Cash Receipts Batch 50016-04-2012 96 IPTIP Trans General US BANK/4-10-12 # 16895 Cash Receipts Batch 50016-04-2012 96 Monthly Hangar Rental Greg Neaveill # 16896 Cash Receipts Batch 50016-04-2012 96 Special Refuse Pickup Salome Martin # 16897 Cash Receipts Batch 50016-04-2012 96 Special Refuse Pickup Faith Cornwell # 16898 Cash Receipts Batch 50016-04-2012 96 Airport Gas Sales Ric Woldow # 16899 Cash Receipts Batch 50016-04-2012 96 Airport Gas Sales Tax Ric Woldow # 16899 Cash Receipts Batch 50016-04-2012 96 Special Refuse Pickup Catherine King # 16900 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 50.00 0.00 679.78 0.00 41,250.00 0.00 1,383.18 0.00 295.00 0.00 1,438.66 0.00 2,890.98 0.00 1,959.81 0.00 2,095.00 0.00 165.00 0.00 1,839.32 0.00 4,389.30 0.00 3,484.58 0.00 696,000.00 0.00 270,000.00 0.00 35.00 0.00 48.00 0.00 24.00 0.00 116.55 0.00 7.87 0.00 24.00 0.00 Ending Balance Page 467 Account Number Description 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 Cash Receipts Batch 50016-04-2012 96 Special Refuse Pickup Doris Gumbel # 16901 Cash Receipts Batch 50016-04-2012 96 Recycling Income MIDLAND - MARCH # PAYMENT 16902 Cash Receipts Batch 50016-04-2012 96 Airport Gas Sales AVFUEL/MARCH # 16910 Cash Receipts Batch 50016-04-2012 98 Building Rezoning Permits Morrow Construction # 16882 Cash Receipts Batch 23016-04-2012 98 Special Use Permit Menards Inc # 16883 Cash Receipts Batch 23016-04-2012 99 Cigarette License Thornton's Gas # 16912 Cash Receipts Batch 02716-04-2012 99 Cigarette License Kaizen Food & Gas # 16913 Cash Receipts Batch 02716-04-2012 99 Cigarette License Mac's Convenience Stores # 16914 Cash Receipts Batch 02716-04-2012 109 Electrical Permit Kaiser Electrical Cont# Inc16920 Cash Receipts Batch 23017-04-2012 109 ZBA Waiver Request Fees Britt R Hild# 16935 Cash Receipts Batch 23017-04-2012 110 Sale Of Large Toter Andy Sego # 16921 Cash Receipts Batch 25017-04-2012 110 Reclmtn & Vic. Dog Fees Stephanie Marruzza # 16922 Cash Receipts Batch 25017-04-2012 110 Sale Small Toter Cynthia Dorr-Harthan# 16923 Cash Receipts Batch 25017-04-2012 110 County Grant Dennis Green # 16930 Cash Receipts Batch 25017-04-2012 110 Sale Of Large Toter Shelie Dennis # 16933 Cash Receipts Batch 25017-04-2012 110 Sale Of Large Toter Ray Mayer # 16934 Cash Receipts Batch 25017-04-2012 111 Food and Beverage Ginger Asian Bistro # 16915 Cash Receipts Batch 50017-04-2012 111 Charters Ywca # 16916 Cash Receipts Batch 50017-04-2012 111 Fire Misc Receipts HEYL, ROYSTER/SUBPOENA # 16917 Cash Receipts Batch 50017-04-2012 111 Misc Receipts SAFETY-KLEEN/CREDIT # 16918 PMNT Cash Receipts Batch 50017-04-2012 111 Misc Receipts NORD TRADING/BUS#AUCTION 16919 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 24.00 0.00 980.45 0.00 1,403.11 0.00 40.00 0.00 45.00 0.00 50.00 0.00 50.00 0.00 50.00 0.00 43.00 0.00 85.00 0.00 25.00 0.00 75.00 0.00 40.00 0.00 20.00 0.00 60.00 0.00 25.00 0.00 264.82 0.00 116.00 0.00 20.00 0.00 263.50 0.00 600.00 0.00 Ending Balance Page 468 Account Number Description 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Culvers # 16924 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Pekin Family Restaurant # 16925 Cash Receipts Batch 50017-04-2012 111 Credit Fee Pekin Family Restaurant # 16925 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Hallmark House Nursing # 16926 Center Cash Receipts Batch 50017-04-2012 111 Garbage Interest CEFCU/CD INTEREST # 16927 Cash Receipts Batch 50017-04-2012 111 State Grant Airport INV. #92379/C15-4074 # 16928 Cash Receipts Batch 50017-04-2012 111 State Grant Airport INV #92379/C15-4074 # 16929 Cash Receipts Batch 50017-04-2012 111 Food and Beverage Sonic Drive-In # 16932 Cash Receipts Batch 50017-04-2012 111 10% Penalty Food Beverage/Liquor Sonic # 16932 Drive-In Cash Receipts Batch 50017-04-2012 114 Municipal Ordinance Fees CARL TOEPFER # 16936 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees LUKE KINZLEE # 16937 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees LUKE KINZLEE # 16938 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees ODA DUDLEY # 16939 Cash Receipts Batch 29018-04-2012 114 Sex Offender Registration JAMES STEEK # 16940 Cash Receipts Batch 29018-04-2012 114 Fingerprint Fee ASHLEY NIZZIA # 16941 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees RAUCH CARL # 16942 Cash Receipts Batch 29018-04-2012 114 Municipal Ordinance Fees BARBARA #LOWERY 16943 Cash Receipts Batch 29018-04-2012 114 Accident Reports MADISON ANGELA# 16944 Cash Receipts Batch 29018-04-2012 114 Parking Tickets PARKING TICKETS 4/16/12 # 16945 Cash Receipts Batch 29018-04-2012 115 Charters Wilson School # 16956 Cash Receipts Batch 50018-04-2012 115 Charters TMCSEA # 16957 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 2,874.98 0.00 318.90 0.00 0.10 0.00 94.00 0.00 283.73 0.00 336.75 0.00 18.74 0.00 5.46 0.00 0.75 0.00 300.00 0.00 400.00 0.00 300.00 0.00 250.00 0.00 20.00 0.00 60.00 0.00 200.00 0.00 200.00 0.00 40.00 0.00 505.00 0.00 266.00 0.00 1,328.00 0.00 Ending Balance Page 469 Account Number Description 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 CR 12 115 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/4/2012 4/4/2012 4/18/2012 AR AR AR AP PR CH CH CR 12 12 12 12 12 12 12 12 116 117 118 122 123 125 126 127 4/18/2012 CR 12 127 4/18/2012 CR 12 127 4/18/2012 CR 12 127 Cash Receipts Batch 50018-04-2012 Hangar Lease Doyle Green # 16958 Cash Receipts Batch 50018-04-2012 Food and Beverage McDonald's # 16959 Cash Receipts Batch 50018-04-2012 Package Liquor County Market 149 # 16960 Cash Receipts Batch 50018-04-2012 Food and Beverage County Market #149 # 16961 Cash Receipts Batch 50018-04-2012 Food and Beverage Lee's Family Restaurant # 16962 Cash Receipts Batch 50018-04-2012 Credit Fee Lee's Family Restaurant # 16962 Cash Receipts Batch 50018-04-2012 Food and Beverage Roadhouse Bar & Grill, # 16963 Inc Cash Receipts Batch 50018-04-2012 Credit Fee Roadhouse Bar & Grill, Inc# 16963 Cash Receipts Batch 50018-04-2012 Food and Beverage Subway on 8th # 16964 Cash Receipts Batch 50018-04-2012 Credit Fee Subway on 8th # 16964 Cash Receipts Batch 50018-04-2012 Food and Beverage Subway on Court # 16965 Cash Receipts Batch 50018-04-2012 Food and Beverage Freedom Oil Company # 16966 Cash Receipts Batch 50018-04-2012 Gas Tax Freedom Oil Company # 16967 Cash Receipts Batch 50018-04-2012 AR Adjustments 00013.04.2012 AR Adjustments 00014.04.2012 AR Adjustments 00015.04.2012 AP Manual Cks 3532-4248, 04/18/2012 Computer Checks Batch 2012 04 00008 Direct Deposit Direct Deposit Building Rezoning Permits Lois Gilsan# 16985 Cash Receipts Batch 23018-04-2012 HVAC Permit Precision Airtech Inc # 16986 Cash Receipts Batch 23018-04-2012 Building Rezoning Permits Greg Simmons # 16987 Cash Receipts Batch 23018-04-2012 Electrical Permit Greg Simmons # 16987 Cash Receipts Batch 23018-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 140.00 0.00 13,118.00 0.00 963.76 0.00 84.94 0.00 84.68 0.00 0.32 0.00 126.84 0.00 0.16 0.00 1,319.75 0.00 0.25 0.00 1,176.00 0.00 7.19 0.00 2,223.98 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20.00 62.75 200.00 65.75 6,778.65 31,304.45 59,582.12 351,716.73 0.00 40.00 0.00 83.00 0.00 26.00 0.00 Ending Balance Page 470 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/19/2012 4/19/2012 4/19/2012 4/19/2012 4/19/2012 AR AR AR AR AP 12 12 12 12 12 4/19/2012 4/19/2012 4/19/2012 CH CH CR 12 12 12 4/19/2012 CR 12 Budget Debit This Period Credit This Period 43.00 0.00 43.00 0.00 10.00 0.00 45.00 0.00 800.00 0.00 100.00 0.00 100.00 0.00 1,200.00 0.00 150.00 0.00 10.00 0.00 625.00 0.00 25.00 0.00 25.00 0.00 60.00 0.00 27.50 0.00 0.00 232.07 0.00 232.07 0.00 232.07 0.00 232.07 0.00 20,774.70 16993 0.00 0.00 25.00 3,258.00 370,555.75 0.00 17006 2.00 0.00 127 Electrical Permit Dobbelaire Electrical#Corp 16988 Cash Receipts Batch 23018-04-2012 127 Electrical Permit Dobbelaire Electrical#Corp 16989 Cash Receipts Batch 23018-04-2012 127 Plumbing Inspections Salzer Plumbing# 16990 Cash Receipts Batch 23018-04-2012 127 Special Use Permit Niemann Foods Attn: # Jennifer 16991 Cash Receipts Batch 23018-04-2012 128 Liquor License Renewals Jinyan Chen Ginger # 16979 Asian Bistro Cash Receipts Batch 02718-04-2012 128 Mechanical Amusement Lic NFI Niemann # 16980 Foods Food Depot #149 Cash Receipts Batch 02718-04-2012 128 Cigarette License NFI Niemann Foods Food # 16980 Depot #149 Cash Receipts Batch 02718-04-2012 128 Liquor License Renewals NFI Niemann#Foods 16980 Food Depot #149 Cash Receipts Batch 02718-04-2012 128 Liq. lic app fee & fines High Octane Saloon # 16981 LLC Ashley/Jeff Nizzia Cash Receipts Batch 02718-04-2012 128 Raffle License CB Smith PTA # 16982 Cash Receipts Batch 02718-04-2012 128 Liq. lic app fee & fines Wester Powell PC # Wal-Mart 16983 Cash Receipts Batch 02718-04-2012 128 Special Events Peoria Ride for the Cure#Jim16984 Harlan Cash Receipts Batch 02718-04-2012 129 Sale Of Large Toter Savannah Wolf # 16968 Cash Receipts Batch 25018-04-2012 129 Sale Of Large Toter David Lange # 16969 Cash Receipts Batch 25018-04-2012 129 Bus passes Sandy Kline # 16970 Cash Receipts Batch 25018-04-2012 135 AR Adjustments 00021.04.2012 135 AR Adjustments 00021.04.2012 135 AR Adjustments 00021.04.2012 135 AR Adjustments 00021.04.2012 138 AP Computer Cks 0-106778, 04/20/2012 Ck# 0 139 Electronic AP Checks Batch: 2012-4-2 140 Electronic AP Checks Batch: 2012-4-3 141 Sale Of Large Toter Brianna Keliinoi # Cash Receipts Batch 25019-04-2012 142 Yardwaste Stickers yardwaste stickers # Cash Receipts Batch 02719-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Ending Balance Page 471 Account Number Description 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 142 Sale Of Large Toter Candance Lohnes # 17007 Cash Receipts Batch 02719-04-2012 142 Transient Merchant Lic Robert Birdsell# 17008 Cash Receipts Batch 02719-04-2012 142 Cigarette License Double G Enterprises#Mike 17009 Gardner Cash Receipts Batch 02719-04-2012 142 Liquor License Renewals Double G Enterprises # 17009Mike Gardner Cash Receipts Batch 02719-04-2012 142 Cigarette License Bond Drug Company#Walgreen's 17010 Cash Receipts Batch 02719-04-2012 143 Special Use Permit 8th Street Sweet Spot # 16992 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits John Evans# 16994 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Chad Ropenach # 16995 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Marvin Spiczka # 16996 Construction Cash Receipts Batch 23019-04-2012 143 Storm Water Permit Fee Marvin Spiczka # Construction 16996 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Marvin Spiczka # 16997 Construction Cash Receipts Batch 23019-04-2012 143 Storm Water Permit Fee Marvin Spiczka # Construction 16997 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits James L Krause # 16998 Cash Receipts Batch 23019-04-2012 143 Escrow Accts Greg Phelps Plumbing # 16999 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Danyel Janosky # 17000 Cash Receipts Batch 23019-04-2012 143 Building Rezoning Permits Randal Brandt # 17011 Cash Receipts Batch 23019-04-2012 149 Food and Beverage American Legion Post # 17012 44 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Cobbler Corner # 17013 Cash Receipts Batch 50020-04-2012 149 Credit Fee Cobbler Corner # 17013 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Domino Pizza # 17014 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Ernie's Family Restaurant # 17015 Cash Receipts Batch 50020-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 60.00 0.00 50.00 0.00 50.00 0.00 2,400.00 0.00 100.00 0.00 50.00 0.00 20.00 0.00 20.00 0.00 533.00 0.00 20.00 0.00 527.00 0.00 20.00 0.00 40.00 0.00 20.00 0.00 20.00 0.00 20.00 0.00 59.00 0.00 374.04 0.00 0.96 0.00 576.00 0.00 1,254.00 0.00 Ending Balance Page 472 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 149 Food and Beverage Little Ceasars Pizza# 17016 Cash Receipts Batch 50020-04-2012 149 Food and Beverage CJ's Cafe # 17017 Cash Receipts Batch 50020-04-2012 149 Credit Fee CJ's Cafe # 17017 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Sunset Hills Country # Club 17018 Cash Receipts Batch 50020-04-2012 149 Charters Pekin Public Schools District # 17019 Cash Receipts Batch 50020-04-2012 149 108 CONTRACT/K - 8 Pekin Public Schools # 17019 District Cash Receipts Batch 50020-04-2012 149 Charters Pekin Public Schools District # 17019 Cash Receipts Batch 50020-04-2012 149 108 CONTRACT/K - 8 Pekin Public Schools # 17019 District Cash Receipts Batch 50020-04-2012 149 Dist 108 Contracts Pekin Public Schools # District 17019 Cash Receipts Batch 50020-04-2012 149 Warrants C. HANNERS/WARRANT # 17021 Cash Receipts Batch 50020-04-2012 149 Computer Loans payments PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 149 Sewer Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 149 Hud Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 149 TPCC Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 149 Library Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 149 Sidewalk 50/50 TERRY SCHULER # 17023 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Oriental Palace # 17024 Cash Receipts Batch 50020-04-2012 149 Credit Fee Oriental Palace # 17024 Cash Receipts Batch 50020-04-2012 149 Airport Mis John Kriegsman # 17025 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Amvets # 17027 Cash Receipts Batch 50020-04-2012 149 Credit Fee Amvets # 17027 Cash Receipts Batch 50020-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1,438.87 0.00 477.78 0.00 0.22 0.00 864.28 0.00 804.00 0.00 185,603.91 0.00 1,424.00 0.00 5,187.00 0.00 247.00 0.00 70.00 0.00 173.41 0.00 22,180.35 0.00 4,298.13 0.00 41,372.32 0.00 28,378.23 0.00 990.00 0.00 378.12 0.00 0.01 0.00 35.00 0.00 222.51 0.00 0.49 0.00 Ending Balance Page 473 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 149 Food and Beverage Our Inn Place # 17028 Cash Receipts Batch 50020-04-2012 149 Credit Fee Our Inn Place # 17028 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Monical Pizza Corporation # 17029 Cash Receipts Batch 50020-04-2012 149 Credit Fee Monical Pizza Corporation # 17029 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Memorial Hospital # 17030 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's of East Peoria # 17031 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Boat Club # 17032 Cash Receipts Batch 50020-04-2012 149 Package Liquor Broadway Liquor # 17033 Cash Receipts Batch 50020-04-2012 149 Credit Fee Broadway Liquor # 17033 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Andy's Diner # 17034 Cash Receipts Batch 50020-04-2012 149 Credit Fee Andy's Diner # 17034 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Koch Street Bar &#Grill, 17035 Inc. Cash Receipts Batch 50020-04-2012 149 Food and Beverage Hacienda Fuentes # 17036 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Long John Silvers # 17037 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Bob Evans Farms Inc. # 17038 Cash Receipts Batch 50020-04-2012 149 Package Liquor Beck Oil Company of #Illinois 17039 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Avanti's Dome # 17040 Cash Receipts Batch 50020-04-2012 149 Credit Fee Avanti's Dome # 17040 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Courtyard Cafe # 17041 Cash Receipts Batch 50020-04-2012 149 10% Penalty Food Beverage/Liquor Courtyard # 17042 Cafe Cash Receipts Batch 50020-04-2012 149 Food and Beverage Fiesta Ranchera Restaurant # 17044 Cash Receipts Batch 50020-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 689.63 0.00 0.37 0.00 2,362.75 0.00 0.25 0.00 609.62 0.00 4,326.00 0.00 264.00 0.00 3,571.52 0.00 0.48 0.00 395.68 0.00 0.32 0.00 404.00 0.00 1,158.00 0.00 1,451.22 0.00 1,941.51 0.00 1,394.64 0.00 500.62 0.00 0.38 0.00 35.00 0.00 3.77 0.00 940.92 0.00 Ending Balance Page 474 Account Number Description 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 4/23/2012 4/23/2012 AR AR CR 12 12 12 149 Reim Damaged City Property Tanya Heller # 17048 Cash Receipts Batch 50020-04-2012 149 10% Penalty Food Beverage/Liquor Goodfella's # 17055Pub & Pizza Cash Receipts Batch 50020-04-2012 149 Food and Beverage Yesterday's Bar & #Grill 17056 Cash Receipts Batch 50020-04-2012 149 Sale Of Salt Federal Correction Institution # 17058 Cash Receipts Batch 50020-04-2012 149 Interest general fund 1st TENN BANK/CD # 17060 INT Cash Receipts Batch 50020-04-2012 149 Street Openings Ameren/cilco # 17061 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Friends Tap # 17062 Cash Receipts Batch 50020-04-2012 149 Food and Beverage Pekin Moose Lodge # #916 17063 Cash Receipts Batch 50020-04-2012 152 Samantha Brown # 17064 Cash Receipts Batch 02520-04-2012 152 Sale Of Large Toter Tamara Powell # 17065 Cash Receipts Batch 02520-04-2012 152 Sale Of Large Toter Scott Hoyle # 17066 Cash Receipts Batch 02520-04-2012 154 Building Rezoning Permits Mike Gilbert # 17020 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Richard Montgomery # 17026 Cash Receipts Batch 23020-04-2012 154 Sale Of Large Toter Kelly Nichols 113 #W Franklin, 17043 Tremont 61568 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Josh Lindahl # 17045 Cash Receipts Batch 23020-04-2012 154 Sale Of Large Toter Lori Strode # 17046 Cash Receipts Batch 23020-04-2012 154 Yardwaste Stickers Lori Strode # 17046 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Terry R Phillips # 17057 Cash Receipts Batch 23020-04-2012 154 Building Rezoning Permits Nathen White # 17068 Cash Receipts Batch 23020-04-2012 155 AR Adjustments 00019.04.2012 155 AR Adjustments 00019.04.2012 159 Food and Beverage Camille's # 17072 Cash Receipts Batch 50023-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 5,996.00 0.00 98.32 0.00 256.00 0.00 810.00 0.00 1,747.78 0.00 1,539.00 0.00 255.93 0.00 700.00 0.00 27.50 0.00 25.00 0.00 25.00 0.00 20.00 0.00 20.00 0.00 120.00 0.00 20.00 0.00 25.00 0.00 0.25 0.00 20.00 0.00 20.00 0.00 0.00 24.00 623.94 24.00 0.00 0.00 Ending Balance Page 475 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 159 Credit Fee Camille's # 17072 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Rhythm & Brews # 17073 Cash Receipts Batch 50023-04-2012 159 Credit Fee Rhythm & Brews # 17073 Cash Receipts Batch 50023-04-2012 159 Airport Gas Sales AVFUEL # 17078 Cash Receipts Batch 50023-04-2012 159 IPTIP Trans General US BANK/4-19-12 # 17079 Cash Receipts Batch 50023-04-2012 159 Airport Gas Sales Kent Cook # 17080 Cash Receipts Batch 50023-04-2012 159 Airport Gas Sales Tax Kent Cook # 17080 Cash Receipts Batch 50023-04-2012 159 Monthly Hangar Rental Kent Cook # 17081 Cash Receipts Batch 50023-04-2012 159 Hangar Lease Ken Lutz # 17082 Cash Receipts Batch 50023-04-2012 159 Replacemnt PP Tax-TWSP CINCINNATI # 17083 TOWNSHIP Cash Receipts Batch 50023-04-2012 159 108 CONTRACT/K - 8 Anna Hernandez # Chicago 17084 Public Schools Cash Receipts Batch 50023-04-2012 159 Reim Damaged City Property ITV-3/Omnilec # 17085 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Goodfella's Pub & #Pizza 17086 Cash Receipts Batch 50023-04-2012 159 Credit Fee Goodfella's Pub & Pizza # 17086 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Boardwalk, Inc. # 17087 Cash Receipts Batch 50023-04-2012 159 Credit Fee Boardwalk, Inc. # 17087 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Schnuck Markets, Inc. # 17088 Cash Receipts Batch 50023-04-2012 159 Package Liquor Schnuck Markets, Inc # 17089 Cash Receipts Batch 50023-04-2012 159 Package Liquor Kroger # 17090 Cash Receipts Batch 50023-04-2012 159 Package Liquor Wal-Mart # 17091 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Pottsie's Place # 17092 Cash Receipts Batch 50023-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 0.06 0.00 213.74 0.00 0.26 0.00 2,482.63 0.00 125,000.00 0.00 137.65 0.00 9.29 0.00 600.00 0.00 140.00 0.00 4,938.22 0.00 905.35 0.00 4,155.25 0.00 1,194.70 0.00 0.30 0.00 332.50 0.00 0.50 0.00 441.54 0.00 2,101.34 0.00 1,285.58 0.00 1,876.65 0.00 303.00 0.00 Ending Balance Page 476 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 159 Food and Beverage Spudnut, Inc. # 17093 Cash Receipts Batch 50023-04-2012 159 Credit Fee Spudnut, Inc. # 17093 Cash Receipts Batch 50023-04-2012 159 Gas Tax Uselton Oil Co., Inc # 17094 Cash Receipts Batch 50023-04-2012 159 Package Liquor Quick Pic # 17095 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Missy's Corner Cafe # 17096 Cash Receipts Batch 50023-04-2012 159 Credit Fee Missy's Corner Cafe # 17096 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Kouri's Pub # 17097 Cash Receipts Batch 50023-04-2012 159 Credit Fee Kouri's Pub # 17097 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Villas Michoacan Restaurante # 17098 Cash Receipts Batch 50023-04-2012 159 Credit Fee Villas Michoacan Restaurante # 17098 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jimmy John's # 17099 Cash Receipts Batch 50023-04-2012 159 Credit Fee Jimmy John's # 17099 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Golden Buffett # 17100 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Mike's Knot Just Ribs, # 17101 Inc. Cash Receipts Batch 50023-04-2012 159 Credit Fee Mike's Knot Just Ribs, Inc. # 17101 Cash Receipts Batch 50023-04-2012 159 Gas Tax County Market # 17102 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Instant Replay # 17103 Cash Receipts Batch 50023-04-2012 159 Credit Fee Instant Replay # 17103 Cash Receipts Batch 50023-04-2012 159 Package Liquor Ace Liquor # 17104 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Quiznos #9037 # 17105 Cash Receipts Batch 50023-04-2012 159 Credit Fee Quiznos #9037 # 17105 Cash Receipts Batch 50023-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 267.81 0.00 0.19 0.00 9,842.00 0.00 286.26 0.00 301.87 0.00 0.13 0.00 4,489.22 0.00 0.01 0.00 243.20 0.00 0.80 0.00 2,535.77 0.00 0.23 0.00 151.44 0.00 15.90 0.00 0.10 0.00 844.80 0.00 222.83 0.00 0.17 0.00 3,276.00 0.00 674.03 0.00 0.01 0.00 Ending Balance Page 477 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 159 Food and Beverage Sunset Lanes # 17106 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sweet Spot # 17107 Cash Receipts Batch 50023-04-2012 159 Food and Beverage McCritter's # 17108 Cash Receipts Batch 50023-04-2012 159 Credit Fee McCritter's # 17108 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Papa John's #206 # 17109 Cash Receipts Batch 50023-04-2012 159 Gas Tax Circle K #1202 # 17110 Cash Receipts Batch 50023-04-2012 159 Gas Tax Harper Oil Co. # 17111 Cash Receipts Batch 50023-04-2012 159 Gas Tax Thorntons #353 # 17112 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Applebee's # 17113 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Sonic Drive-In # 17114 Cash Receipts Batch 50023-04-2012 159 Credit Fee Sonic Drive-In # 17114 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Jac's Doghouse # 17115 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Hole in the Wall, Inc. # 17116 Cash Receipts Batch 50023-04-2012 159 Food and Beverage Godfather's Pizza Inc. # 17117 Cash Receipts Batch 50023-04-2012 162 Sale Of Large Toter Cody Deweese CJ #(Charles) 17069 Alwood Cash Receipts Batch 25023-04-2012 162 Sale Of Large Toter Peggy Hurt # 17070 Cash Receipts Batch 25023-04-2012 162 Sale Of Large Toter Tyler Berchtold # 17071 Cash Receipts Batch 25023-04-2012 163 Electrical Permit Dobbelaire Electrical#Corp 17075 Cash Receipts Batch 23023-04-2012 163 Home Occupations License Richard C Buehl # 17076 Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Menold Construction # 17077 Inc Attn: Pat Coyle Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Breanne Thomas # 17121 Cash Receipts Batch 23023-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 275.64 0.00 502.00 0.00 393.39 0.00 0.61 0.00 1,056.92 0.00 6,858.04 0.00 2,357.00 0.00 12,856.96 0.00 3,178.67 0.00 1,008.41 0.00 0.59 0.00 552.00 0.00 281.00 0.00 925.08 0.00 60.00 0.00 60.00 0.00 25.00 0.00 43.00 0.00 45.00 0.00 74.00 0.00 20.00 0.00 Ending Balance Page 478 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 163 Building Rezoning Permits Kenneth E Holeman # 17122 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Kenneth E Holeman # 17122 Cash Receipts Batch 23023-04-2012 163 Building Rezoning Permits Mike & Carol # Dever 17123 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17124 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17125 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17126 Cash Receipts Batch 23023-04-2012 163 Electrical Permit Shearer Electric Inc # 17127 Cash Receipts Batch 23023-04-2012 163 Special Use Permit Sharon K Bonnette # 17128 Cash Receipts Batch 23023-04-2012 164 Cigarette License Duffy & Associates Discount # 17129Tobacco Cash Receipts Batch 02723-04-2012 164 Cigarette License Freedom Oil # 17130 Cash Receipts Batch 02723-04-2012 164 Mechanical Amusement Lic Pekin Moose # Lodge 17131 916 Cash Receipts Batch 02723-04-2012 164 Billiards License Pekin Moose Lodge 916 # 17131 Cash Receipts Batch 02723-04-2012 164 Juke Box License Pekin Moose Lodge 916 # 17131 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Pekin Moose #Lodge 17131 916 Cash Receipts Batch 02723-04-2012 164 Raffle License Pekin Moose Lodge 916# 17131 Cash Receipts Batch 02723-04-2012 164 Mechanical Amusement Lic Fraternal Order # 17132 of Eagles Cash Receipts Batch 02723-04-2012 164 Juke Box License Fraternal Order of Eagles # 17132 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Fraternal Order # of17132 Eagles Cash Receipts Batch 02723-04-2012 164 Raffle License Fraternal Order of Eagles # 17132 Cash Receipts Batch 02723-04-2012 164 NSF Fees High Octane Saloon LLC Ashley/Jeff # 17133Nizzia Cash Receipts Batch 02723-04-2012 164 Liq. lic app fee & fines High Octane Saloon # 17134 LLC Ashley/Jeff Nizzia Cash Receipts Batch 02723-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 71.00 0.00 31.00 0.00 95.00 0.00 49.00 0.00 43.00 0.00 43.00 0.00 43.00 0.00 45.00 0.00 50.00 0.00 50.00 0.00 450.00 0.00 25.00 0.00 25.00 0.00 500.00 0.00 120.00 0.00 300.00 0.00 25.00 0.00 500.00 0.00 120.00 0.00 25.00 0.00 150.00 0.00 Ending Balance Page 479 Account Number Description 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/18/2012 4/18/2012 4/24/2012 CH CH CR 12 12 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/24/2012 4/24/2012 BT CR 12 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 164 Liquor License Renewals Pekin Park District # 17135 Steve Funk Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals AppleBee's # 17136 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Hacienda Fuentes # 17137 Cash Receipts Batch 02723-04-2012 164 Liquor License Renewals Avanti's Ristorante # 17138 Albert Zeller Cash Receipts Batch 02723-04-2012 165 Direct Deposit 166 Direct Deposit 168 IEPA Air Monitoring Reim RENT FOR# APR 17140 - JUNE 2012 Cash Receipts Batch 50024-04-2012 168 Sale Of Salt David Burling Excavating,#Inc.17147 Cash Receipts Batch 50024-04-2012 169 HVAC Permit Whitley Heating & Air # 17141 Cash Receipts Batch 23024-04-2012 169 HVAC Permit Whitley Heating & Air # 17142 Cash Receipts Batch 23024-04-2012 169 Building Rezoning Permits Perfect Choice # 17143 Exteriors Cash Receipts Batch 23024-04-2012 169 Electrical Permit Koener Electric Inc # 17144 Cash Receipts Batch 23024-04-2012 169 Building Rezoning Permits SF Pauli Builders # 17145 Inc Cash Receipts Batch 23024-04-2012 171 Sale Of Large Toter Steve Mefford # 17139 Cash Receipts Batch 02524-04-2012 172 Hotel/Motel Tax 174 Hotel/Motel Tax Super 8 # 17148 Cash Receipts Batch 50124-04-2012 178 Sale Of Large Toter Brinda Cheek # 17151 Cash Receipts Batch 50025-04-2012 178 Restitution IL COLLECTIONS/ACCT ##5640 17152 Cash Receipts Batch 50025-04-2012 178 Charters Hobby Horse # 17153 Cash Receipts Batch 50025-04-2012 178 108 CONTRACT/K - 8 Knoxville District # 17154 202 Cash Receipts Batch 50025-04-2012 178 Food and Beverage Knights of Columbus # 17155 Cash Receipts Batch 50025-04-2012 180 Sale Of Large Toter Monroe Sheckler # 17149 Cash Receipts Batch 25025-04-2012 180 Sale Of Large Toter David Helm # 17150 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1,600.00 0.00 1,200.00 0.00 1,200.00 0.00 1,200.00 0.00 0.00 0.00 150.00 319,813.22 345,069.32 0.00 2,700.00 0.00 20.00 0.00 20.00 0.00 40.00 0.00 26.00 0.00 95.00 0.00 60.00 0.00 0.00 2,214.15 2,214.15 0.00 50.00 0.00 53.20 0.00 116.00 0.00 570.00 0.00 215.00 0.00 50.00 0.00 25.00 0.00 Ending Balance Page 480 Account Number Description 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 Cash Receipts Batch 25025-04-2012 180 Sale Of Large Toter Rachel Morgan # 17156 Cash Receipts Batch 25025-04-2012 182 Liquor License Renewals Pekin Investments # 17161 LLC Holiday Inn Express Cash Receipts Batch 02725-04-2012 182 Yardwaste Stickers Yardwaste Stickers# 17163 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic CDZ, Inc. #Goodfella's 17165 Pub & Pizza Cash Receipts Batch 02725-04-2012 182 Billiards License CDZ, Inc. Goodfella's#Pub17165 & Pizza Cash Receipts Batch 02725-04-2012 182 Juke Box License CDZ, Inc. Goodfella's# Pub 17165 & Pizza Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals CDZ, Inc. Goodfella's # 17165Pub & Pizza Cash Receipts Batch 02725-04-2012 182 Sale Of Large Toter Village of South Pekin # 17167 Cash Receipts Batch 02725-04-2012 182 Raffle License St. Joseph School Shannon # Rogers 17168 Cash Receipts Batch 02725-04-2012 182 Cigarette License Smoker's Paradise # 17170 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Dangi, Ltd#McCritters 17173 Cash Receipts Batch 02725-04-2012 182 Billiards License Dangi, Ltd McCritters# 17173 Cash Receipts Batch 02725-04-2012 182 Juke Box License Dangi, Ltd McCritters # 17173 Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals Dangi, Ltd McCritters # 17173 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Shelie Dee,# Inc. 17175 Friends Tap Cash Receipts Batch 02725-04-2012 182 Billiards License Shelie Dee, Inc. Friends # Tap 17175 Cash Receipts Batch 02725-04-2012 182 Juke Box License Shelie Dee, Inc. Friends # Tap 17175 Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals Shelie Dee, Inc. # Friends 17175 Tap Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Pekin Boat#Club 17178 Cash Receipts Batch 02725-04-2012 182 Cigarette License Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 182 Juke Box License Pekin Boat Club # 17178 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 25.00 0.00 1,200.00 0.00 2.00 0.00 400.00 0.00 100.00 0.00 25.00 0.00 1,300.00 0.00 420.00 0.00 10.00 0.00 50.00 0.00 225.00 0.00 50.00 0.00 25.00 0.00 1,300.00 0.00 200.00 0.00 25.00 0.00 25.00 0.00 1,200.00 0.00 200.00 0.00 50.00 0.00 25.00 0.00 Ending Balance Page 481 Account Number Description 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/26/2012 4/26/2012 AP AP 12 12 Cash Receipts Batch 02725-04-2012 182 Liquor License Renewals Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 182 Fingerprint Fee Pekin Boat Club # 17178 Cash Receipts Batch 02725-04-2012 182 Mechanical Amusement Lic Uselton Oil# Co17179 Debbie Uselton Cash Receipts Batch 02725-04-2012 182 Cigarette License Uselton Oil Co Debbie # Uselton 17179 Cash Receipts Batch 02725-04-2012 183 Building Rezoning Permits Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 183 Electrical Permit Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 183 Plumbing Inspections Monica Fritz # 17157 Cash Receipts Batch 23025-04-2012 183 Electrical Permit Young Electric # 17158 Cash Receipts Batch 23025-04-2012 183 Electrical Contrctor Lic Young Electric#Attn: 17159 Dick Young Cash Receipts Batch 23025-04-2012 183 Special Use Permit On The Way Stores#Harper 17160 Oil Co Cash Receipts Batch 23025-04-2012 183 HVAC Permit AAA Northgate Inc # 17162 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Peoria Awning # 17164 Cash Receipts Batch 23025-04-2012 183 Electrical Permit Michael McGinnis # 17166 Cash Receipts Batch 23025-04-2012 183 HVAC Permit Solar Heating & Air # 17169 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Backyard Living # 17171 Cash Receipts Batch 23025-04-2012 183 Sale Of Large Toter Tom Snider # 17172 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits Randy Howard # 17174 Cash Receipts Batch 23025-04-2012 183 Building Rezoning Permits David Allen# 17176 Cash Receipts Batch 23025-04-2012 183 Electrical Permit David Allen # 17176 Cash Receipts Batch 23025-04-2012 188 AP Manual Cks 3545-3557, 04/25/2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 550.00 0.00 60.00 0.00 275.00 0.00 150.00 0.00 20.00 0.00 31.00 0.00 64.00 0.00 31.00 0.00 100.00 0.00 45.00 0.00 32.00 0.00 20.00 0.00 26.00 0.00 20.00 0.00 95.00 0.00 25.00 0.00 20.00 0.00 50.00 0.00 31.00 0.00 0.00 0.00 2,051.33 256,227.02 Ending Balance Page 482 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 190 Police Vehicle Fund POLICE VEHICLE # FUND 17181 Cash Receipts Batch 29026-04-2012 190 DUI Surcharge DUI EQUIPMENT # 17182 Cash Receipts Batch 29026-04-2012 190 State Iron Eagle Contri DRUG ENFORCEMENT # 17183 Cash Receipts Batch 29026-04-2012 190 Circuit Clerk Fines CIRCUIT CLERK FINES # 17184 Cash Receipts Batch 29026-04-2012 190 Warrants WARRANT FEE # 17185 Cash Receipts Batch 29026-04-2012 190 Accident Reports OSF HEALTHCARE#SYSTEM 17186 Cash Receipts Batch 29026-04-2012 190 Accident Reports DOCVIEW # 17189 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees KIMBERLY# BENNETT 17190 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees JACE FLETCHER # 17191 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees BUSS KYLE # 17192 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees NICHOLAS#MCCOY 17193 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees SMITH ERIK # 17194 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees LANIE OWSLEY # 17195 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees AUSTIN DURM # 17196 Cash Receipts Batch 29026-04-2012 190 Municipal Ordinance Fees KIANA DIXON # 17197 Cash Receipts Batch 29026-04-2012 190 Sex Offender Registration CARRIE LAWSON # 17198 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental PATRICIA ALEXANDER # 17200 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental KATHLEEN KARL# 17201 Cash Receipts Batch 29026-04-2012 190 Fingerprint Fee ANNE BLAKE # 17202 Cash Receipts Batch 29026-04-2012 190 Fingerprint Fee DENNIS POND # 17203 Cash Receipts Batch 29026-04-2012 190 Sex Offender Registration DANIEL RORRER # 17204 Cash Receipts Batch 29026-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1,263.50 0.00 1,390.93 0.00 132.13 0.00 30,404.41 0.00 700.00 0.00 5.00 0.00 220.00 0.00 200.00 0.00 50.00 0.00 250.00 0.00 50.00 0.00 250.00 0.00 250.00 0.00 250.00 0.00 50.00 0.00 10.00 0.00 120.00 0.00 120.00 0.00 60.00 0.00 15.00 0.00 20.00 0.00 Ending Balance Page 483 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 190 Parking Lot Rental ANGIE HUSS # 17207 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental DEB NELSON # 17208 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental KEVIN KRUEGER# 17209 Cash Receipts Batch 29026-04-2012 190 Accident Reports PHILLIP BALLINGER # 17210 Cash Receipts Batch 29026-04-2012 190 Fingerprint Fee ELIZABETH GREEN # 17211 Cash Receipts Batch 29026-04-2012 190 Parking Lot Rental LYNN MEINEN # 17212 Cash Receipts Batch 29026-04-2012 190 Parking Tickets PARKING TICKETS 4/24/12 # 17213 Cash Receipts Batch 29026-04-2012 190 Parking Tickets PARKING TICKETS 4/19/12 # 17214 Cash Receipts Batch 29026-04-2012 192 Cigarette License Broadway Liquor Nick # Filarski 17244 Cash Receipts Batch 02726-04-2012 192 Liquor License Renewals Broadway Liquor # 17244 Nick Filarski Cash Receipts Batch 02726-04-2012 192 Mechanical Amusement Lic Koch Street # Bar 17245 & Grill Dashmir Besimi Cash Receipts Batch 02726-04-2012 192 Billiards License Koch Street Bar & Grill # Dashmir 17245 Besimi Cash Receipts Batch 02726-04-2012 192 Cigarette License Koch Street Bar & Grill # Dashmir 17245 Besimi Cash Receipts Batch 02726-04-2012 192 Liquor License Renewals Koch Street Bar # & 17245 Grill Dashmir Besimi Cash Receipts Batch 02726-04-2012 192 Mechanical Amusement Lic Fiesta Ranchera # 17246 Juan Leon Cash Receipts Batch 02726-04-2012 192 Juke Box License Fiesta Ranchera Juan#Leon 17246 Cash Receipts Batch 02726-04-2012 192 Liquor License Renewals Fiesta Ranchera # Juan 17246 Leon Cash Receipts Batch 02726-04-2012 192 Cigarette License Harpers # 17247 Cash Receipts Batch 02726-04-2012 192 Raffle License Pekin Ambuc's # 17248 Cash Receipts Batch 02726-04-2012 192 Cigarette License Highland Park CVS CVS # 17249 Pekin Cash Receipts Batch 02726-04-2012 193 Building Rezoning Permits Nick Joesting # 17180 Cash Receipts Batch 23026-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 120.00 0.00 120.00 0.00 25.00 0.00 5.00 0.00 60.00 0.00 120.00 0.00 175.00 0.00 320.00 0.00 50.00 0.00 1,200.00 0.00 200.00 0.00 125.00 0.00 50.00 0.00 1,200.00 0.00 25.00 0.00 25.00 0.00 1,200.00 0.00 50.00 0.00 10.00 0.00 50.00 0.00 20.00 0.00 Ending Balance Page 484 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 193 Escrow Accts City Mechanicals & Servic # Attn: 17187 Jess Burns Cash Receipts Batch 23026-04-2012 193 HVAC Permit Ruyle Mechanical Services # 17199 Inc Cash Receipts Batch 23026-04-2012 193 Rental Property Reg Fee Dathan Gerard # 17205 Cash Receipts Batch 23026-04-2012 193 Building Rezoning Permits Dathan Gerard # 17206 Cash Receipts Batch 23026-04-2012 193 Building Rezoning Permits Anna Eades# 17243 Cash Receipts Batch 23026-04-2012 194 Sale Of Large Toter Kim Meyers # 17215 Cash Receipts Batch 25026-04-2012 197 Sale Of Large Toter Jeffrey Heilman # 17261 Cash Receipts Batch 25027-04-2012 198 Insurance A.P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 198 Fire Pen A/P Reim /Payrol AP # 17250 Cash Receipts Batch 50027-04-2012 198 MFT A/P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 198 Police Pen A/P AP # 17250 Cash Receipts Batch 50027-04-2012 198 Hud A/P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 198 Hud Home A/P -Payroll AP # 17250 Cash Receipts Batch 50027-04-2012 198 TPCC A/P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 198 Sewer A/P Reimb AP # 17250 Cash Receipts Batch 50027-04-2012 198 Sidewalk 50/50 WILLIAM BARTON # 17251 Cash Receipts Batch 50027-04-2012 198 108 CONTRACT/K - 8 Knox - Warren#County 17252Dist 205 Cash Receipts Batch 50027-04-2012 198 Food and Beverage Knights of Columbus # 17259 Cash Receipts Batch 50027-04-2012 198 10% Penalty Food Beverage/Liquor Knights # 17259 of Columbus Cash Receipts Batch 50027-04-2012 198 Fire Misc Receipts LEXIS/NEXIS # 17260 Cash Receipts Batch 50027-04-2012 198 Street Openings ITV-3/Omnilec # 17266 Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 300.00 0.00 80.00 0.00 25.00 0.00 80.00 0.00 50.00 0.00 60.00 0.00 25.00 0.00 11,228.74 0.00 262.50 0.00 5,931.99 0.00 84.97 0.00 95.20 0.00 60.00 0.00 882.24 0.00 1,916.10 0.00 60.00 0.00 570.00 0.00 2.30 0.00 21.73 0.00 10.00 0.00 540.00 0.00 Ending Balance Page 485 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 198 Street Openings ITV-3/Omnilec # 17266 Cash Receipts Batch 50027-04-2012 198 Parking Tickets Emma Zimmerman # 17267 Cash Receipts Batch 50027-04-2012 198 Parking Tickets Emma Zimmerman # 17267 Cash Receipts Batch 50027-04-2012 198 Monthly Hangar Rental John Kriegsman # 17269 Cash Receipts Batch 50027-04-2012 198 0008860 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008861 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008861 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008862 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008863 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008864 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008865 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008865 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008866 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008867 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008868 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008869 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008870 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008871 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008872 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008872 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008873 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 720.00 0.00 112.00 0.00 136.00 0.00 140.00 0.00 16.25 0.00 48.75 0.00 5.93 0.00 32.50 0.00 32.50 0.00 48.75 0.00 32.50 0.00 3.89 0.00 32.50 0.00 32.50 0.00 32.50 0.00 32.50 0.00 162.50 0.00 48.75 0.00 32.50 0.00 25.28 0.00 32.50 0.00 Ending Balance Page 486 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 198 0008874 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008875 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008875 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008876 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008877 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008877 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008878 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008879 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008880 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008881 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008882 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008882 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008883 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008884 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008884 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008885 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008885 - Materials Tazewell County Head # 17270 Start Cash Receipts Batch 50027-04-2012 198 0008886 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008887 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 0008888 - Labor Tazewell County Head # Start 17270 Cash Receipts Batch 50027-04-2012 198 Tazewell County Gas Sales Tazewell County # 17270 Head Start Cash Receipts Batch 50027-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 65.00 0.00 48.75 0.00 3.89 0.00 32.50 0.00 65.00 0.00 297.81 0.00 48.75 0.00 32.50 0.00 65.00 0.00 48.75 0.00 32.50 0.00 20.38 0.00 32.50 0.00 65.00 0.00 18.86 0.00 97.50 0.00 104.69 0.00 32.50 0.00 48.75 0.00 32.50 0.00 1,632.03 0.00 Ending Balance Page 487 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 198 Gas Tax Casey's Marketing Co. # 17275 Cash Receipts Batch 50027-04-2012 199 Mechanical Amusement Lic T & K Brawner, # 17262 LLC Kathy Brawner Cash Receipts Batch 02727-04-2012 199 Juke Box License T & K Brawner, LLC# Kathy 17262 Brawner Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals T & K Brawner, # 17262 LLC Kathy Brawner Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Roadhouse#Bar17263 & Grill Crystal Rife Cash Receipts Batch 02727-04-2012 199 Juke Box License Roadhouse Bar & Grill # Crystal 17263 Rife Cash Receipts Batch 02727-04-2012 199 Raffle License Willow School PTA # 17268 Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Columbus #Club 17271 Knights of Columbus Cash Receipts Batch 02727-04-2012 199 Billiards License Columbus Club Knights # of 17271 Columbus Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals Columbus Club # Knights 17271 of Columbus Cash Receipts Batch 02727-04-2012 199 Raffle License Columbus Club Knights#of Columbus 17271 Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Pekin Amvets # 17272 Post 235 Lowell Ely Cash Receipts Batch 02727-04-2012 199 Billiards License Pekin Amvets Post 235 # Lowell 17272Ely Cash Receipts Batch 02727-04-2012 199 Cigarette License Pekin Amvets Post 235 # Lowell 17272 Ely Cash Receipts Batch 02727-04-2012 199 Juke Box License Pekin Amvets Post 235 # Lowell 17272 Ely Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals Pekin Amvets# Post 17272 235 Lowell Ely Cash Receipts Batch 02727-04-2012 199 Raffle License Pekin Amvets Post 235 Lowell # 17272 Ely Cash Receipts Batch 02727-04-2012 199 Liquor License Renewals JJ Kou, Inc Kouri's # 17273 Pub Cash Receipts Batch 02727-04-2012 199 Mechanical Amusement Lic Purple Frog, # Inc. 17274 Pottsie's Place Cash Receipts Batch 02727-04-2012 199 Billiards License Purple Frog, Inc. Pottsie's # 17274 Place Cash Receipts Batch 02727-04-2012 199 Juke Box License Purple Frog, Inc. Pottsie's # 17274 Place Cash Receipts Batch 02727-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 3,934.56 0.00 150.00 0.00 25.00 0.00 1,200.00 0.00 1,375.00 0.00 25.00 0.00 10.00 0.00 150.00 0.00 25.00 0.00 500.00 0.00 120.00 0.00 275.00 0.00 50.00 0.00 50.00 0.00 25.00 0.00 500.00 0.00 120.00 0.00 1,300.00 0.00 125.00 0.00 50.00 0.00 25.00 0.00 Ending Balance Page 488 Account Number Description 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 199 Liquor License Renewals Purple Frog, Inc. # 17274 Pottsie's Place Cash Receipts Batch 02727-04-2012 200 Building Rezoning Permits Bullock Garages # 17264 Attn: Joseph Boyer Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits David Strode # 17265 Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Menold Construction # 17276 Inc Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Menold Construction # 17277 Inc Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Menold Constrution # 17278Inc Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Scott Church # 17279 Cash Receipts Batch 23027-04-2012 200 Building Rezoning Permits Steve Tordoff # 17280 Cash Receipts Batch 23027-04-2012 205 Interest general fund CD INT/ALLY BANK # 17281 Cash Receipts Batch 50030-04-2012 205 Street Openings Illinois American Water # 17283 Cash Receipts Batch 50030-04-2012 205 Food and Beverage Ol Dad's # 17292 Cash Receipts Batch 50030-04-2012 205 Food and Beverage 8th Street Station # 17293 Cash Receipts Batch 50030-04-2012 205 Gas Tax Kaizen Food & Gas # 17294 Cash Receipts Batch 50030-04-2012 205 Gas Tax Aventine # 17295 Cash Receipts Batch 50030-04-2012 205 Airport Gas Sales AVFUEL # 17296 Cash Receipts Batch 50030-04-2012 205 Hangar Lease Mark Gingerich # 17297 Cash Receipts Batch 50030-04-2012 205 Street Openings Geirstner Electric # 17298 Cash Receipts Batch 50030-04-2012 205 Reim Damaged City Property Doug Rader # 17299 Cash Receipts Batch 50030-04-2012 205 Property Rental UGL SERVICES # 17300 Cash Receipts Batch 50030-04-2012 205 Reim Damaged City Property Matthew#Green 17302 Cash Receipts Batch 50030-04-2012 206 10% Penalty Food Beverage/Liquor Ol#Dad's 17303 Cash Receipts Batch 50230-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1,300.00 0.00 74.00 0.00 20.00 0.00 59.00 0.00 59.00 0.00 83.00 0.00 20.00 0.00 20.00 0.00 2,496.82 0.00 2,371.00 0.00 180.22 0.00 172.34 0.00 956.80 0.00 15.48 0.00 1,368.96 0.00 140.00 0.00 504.00 0.00 3,843.71 0.00 833.33 0.00 5,348.00 0.00 18.02 0.00 Ending Balance Page 489 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 206 Food & Beverage Tax OL DAD'S/INTEREST/MARCH # 17304 Cash Receipts Batch 50230-04-2012 206 Food and Beverage 8th Street Station # 17305 Cash Receipts Batch 50230-04-2012 206 10% Penalty Food Beverage/Liquor 8th# Street 17305 Station Cash Receipts Batch 50230-04-2012 206 10% Penalty Food Beverage/Liquor 8th# Street 17305 Station Cash Receipts Batch 50230-04-2012 206 Cash Entry Generated Interest Charge 8th # Street 17305 Station Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET/MARCH # 17306 INTEREST Cash Receipts Batch 50230-04-2012 206 NSF Fees 8TH STREET STATION # 17307 Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET ST./JAN. # 17308 INT. Cash Receipts Batch 50230-04-2012 206 Food & Beverage Tax 8TH STREET/FEB # 17309 INT DUE Cash Receipts Batch 50230-04-2012 210 Building Rezoning Permits Bruges Chocolates # 17316 Holdings Cash Receipts Batch 23030-04-2012 210 Building Rezoning Permits Conrad Ozog # 17317 Cash Receipts Batch 23030-04-2012 210 Plumbing Inspections Jim Behm Plumbing # 17318 Cash Receipts Batch 23030-04-2012 210 Building Rezoning Permits Hardin Signs # 17319 Cash Receipts Batch 23030-04-2012 210 Rental Property Reg Fee Gregory P or #Carol 17320 E Becker Cash Receipts Batch 23030-04-2012 210 Plumbing Inspections Heartland Irrigation # 17322 Inc Cash Receipts Batch 23030-04-2012 211 Second Hand Dealer/Pawnsh Treasures#& More 17289Dawn Riley Cash Receipts Batch 25030-04-2012 211 Auctioneer License Illinois Pawn & Jewelry # 17290 Todd Marquardt Cash Receipts Batch 25030-04-2012 211 Cigarette License Illinois Pawn & Jewelry # Todd 17290Marquardt Cash Receipts Batch 25030-04-2012 211 Mechanical Amusement Lic Kep Gresham # 17291 AGR Group, LLC Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Kep Gresham#AGR 17291 Group, LLC Cash Receipts Batch 25030-04-2012 211 Miscellaneous Revenue Mike's Knot Just # Ribs 17310 Cash Receipts Batch 25030-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 3.60 0.00 3.53 0.00 35.27 0.00 17.23 0.00 1.70 0.00 1.75 0.00 25.00 0.00 10.86 0.00 7.05 0.00 20.00 0.00 77.00 0.00 10.00 0.00 53.00 0.00 25.00 0.00 40.00 0.00 50.00 0.00 10.00 0.00 40.00 0.00 25.00 0.00 2,100.00 0.00 250.00 0.00 Ending Balance Page 490 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 AP CR 12 12 211 Liquor License Renewals Jac's Doghouse, # Inc 17312 Aaron Rogers Cash Receipts Batch 25030-04-2012 211 Cigarette License Quick Pic Foods Dave # Maloney 17313 Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Quick Pic Foods # 17313 Dave Maloney Cash Receipts Batch 25030-04-2012 211 Bus passes Carrie Jenkins For Logan Parrish # 17314 Cash Receipts Batch 25030-04-2012 211 William Landrith # 17315 Cash Receipts Batch 25030-04-2012 211 Reclmtn & Vic. Dog Fees Brian Wallinger # 17321 For Lexi (Collie) Cash Receipts Batch 25030-04-2012 211 Sale Large Toter Teresa Harms # 17323 Cash Receipts Batch 25030-04-2012 211 Bowling License Geier Corporation DBA # Roxy's 17324 Lanes Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Geier Corporation # 17324 DBA Roxy's Lanes Cash Receipts Batch 25030-04-2012 211 Second Hand Dealer/Pawnsh Amanda Rogy # 17325 DBA Amanda's Closet Cash Receipts Batch 25030-04-2012 211 Mechanical Amusement Lic Cathy Espinoza # 17326 DBA Dillerwood Ltd Cash Receipts Batch 25030-04-2012 211 Billiards License Cathy Espinoza DBA#Dillerwood 17326 Ltd Cash Receipts Batch 25030-04-2012 211 Juke Box License Cathy Espinoza DBA # Dillerwood 17326 Ltd Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Cathy Espinoza # 17326 DBA Dillerwood Ltd Cash Receipts Batch 25030-04-2012 211 Sale Of Large Toter Matthew Vanderwulp # 17327 Cash Receipts Batch 25030-04-2012 211 Cigarette License Niksa Oil Inc # 17328 Cash Receipts Batch 25030-04-2012 211 Cigarette License Linik Corp # 17329 Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Avanti's Dome # LLC 17330 Cash Receipts Batch 25030-04-2012 211 Liquor License Renewals Avanti's Dome # LLC 17331 Cash Receipts Batch 25030-04-2012 211 Second Hand Dealer/Pawnsh Penny Wilson # 17332 DBA AJ's Resell Cash Receipts Batch 25030-04-2012 216 AP Manual Cks 3528-3555, 04/30/2012 220 IPTIP Trans General IPTIP TRANSFER # 17394 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 1,300.00 0.00 50.00 0.00 1,200.00 0.00 27.50 0.00 100.00 0.00 75.00 0.00 25.00 0.00 400.00 0.00 1,200.00 0.00 50.00 0.00 125.00 0.00 25.00 0.00 25.00 0.00 1,200.00 0.00 25.00 0.00 50.00 0.00 50.00 0.00 800.00 0.00 1,300.00 0.00 50.00 0.00 0.00 177,000.00 4,432.71 0.00 Ending Balance Page 491 Account Number Description 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL GL GL GL GL GL GL GL PR GL GL GL GL GL GL GL GL GL GL GL GL GL GL GL GL GL GL CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Cash Receipts Batch 50402-04-2012 chamber dinner spouse/barra library mp's 4-5-12 march ams fees schoch premium refund library mp's 4/12/12 chamber dinner spouse ticket/abel library mp's 4/18/12 cilco credit for 219 sabella/jan. service nsf from jeff nizzia/liquor license library mp's 4/26/12 safety clean credit deposited 4/17/12 to wrong account safety clean credit library mp's 4/30/12 april 2012 postage Computer Checks Batch 2012 05 00009 combine escrows, adj balance corr coding corr work order je march mckinnley sick benefit fica corr coding march fuel corr 4-26 ap corr 4-26 ap je corr 4-13 cr work order 888 entry corr 4-13 ap je xtra employee pmts fr fy2011 monthly admin costs transfer april office supplies april fuel april fuel chg coding march hud work april wo entry april wo entry Interest general fund MARCH CM INTEREST # 17788 Cash Receipts Batch 50118-04-2012 285 Tif Interest MARCH CM INTEREST # 17789 Cash Receipts Batch 50118-04-2012 285 Interest MARCH CM INTEREST # 17790 Cash Receipts Batch 50118-04-2012 285 Interest MARCH CM INTEREST # 17791 223 228 230 231 233 237 239 245 247 254 256 256 259 260 261 266 266 266 266 266 266 266 266 266 267 267 269 279 280 280 282 284 284 285 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 25.00 346.80 0.00 27.83 890.19 25.00 6,778.65 132.00 0.00 2,051.33 0.00 263.50 4,432.71 59.95 0.00 0.00 1,060.00 0.00 0.00 342.12 20,000.00 4,582.13 0.00 0.00 23.40 0.00 9,554.00 57.90 0.00 62,356.10 0.00 0.00 78,721.27 3,043.64 0.00 0.00 94.55 0.00 0.00 0.00 0.00 0.00 150.00 0.00 263.50 0.00 0.00 0.00 35,372.42 1,040.00 0.00 125.15 45.90 0.00 0.00 0.00 23.40 4,121.10 0.00 4,744.81 0.00 0.00 62,356.10 0.00 3,041.50 78,721.27 0.00 0.00 2,116.10 0.00 1,535.27 0.00 143.94 0.00 Ending Balance Page 492 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL GL 12 12 12 12 12 12 12 Budget Beginning Balance Cash Receipts Batch 50118-04-2012 286 Interest general fund February CM interest # 17799 Cash Receipts Batch 50121-04-2012 286 Tif Interest April CM interest # 17800 Cash Receipts Batch 50121-04-2012 286 Interest April CM interest # 17801 Cash Receipts Batch 50121-04-2012 286 Interest April CM interest # 17802 Cash Receipts Batch 50121-04-2012 287 Interest general fund February CM interest # 17803 Cash Receipts Batch 50221-04-2012 287 Interest general fund April CM interest # 17805 Cash Receipts Batch 50221-04-2012 291 Library A/P Reim AP # 17931 Cash Receipts Batch 50630-04-2012 292 corr end of month je 292 back out gas entry 292 b hill used vacation time for hlth prems 292 reimb for 1st 2 mo prems/eri people 294 gross pension 294 gross pension 295 w/o entry april 888-000-110201 Totals: 888-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 2,867.18 0.00 2,225.92 0.00 160.05 0.00 1,585.67 0.00 0.00 2,867.18 2,867.18 0.00 24,223.20 0.00 250.30 407.86 0.00 0.00 178,836.59 217,782.95 0.00 0.00 0.00 4,955.41 5,784.14 0.00 0.00 3,238.41 Ending Balance 0.00 7,792,018.86 6,386,559.04 5,631,071.47 8,547,506.43 0.00 7,793,078.86 6,386,559.04 5,632,131.47 8,547,506.43 Page 493 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 7,793,078.86 6,386,559.04 5,632,131.47 8,547,506.43 0.00 0.00 0.00 0.00 0.00 0.00 8,204.20 65,494.08 8,204.20 0.00 65,494.08 0.00 0.00 0.00 29,388.76 63,437.16 44,045.41 0.00 14,656.65 0.00 63,437.16 0.00 0.00 0.00 66,652.10 8,014.19 181,180.85 255,847.14 0.00 11,546.32 28,590.96 0.00 17,044.64 0.00 0.00 10,283.40 25,463.49 0.00 15,180.09 0.00 0.00 0.00 29,657.81 2,898.90 54,054.45 86,611.16 0.00 15,661.62 ASSETS Totals: LIABILITIES 888-000-211000 888-000-212000 Accrued Wages 888-000-211000 Totals: F I T Withholding 4/3/2012 4/4/2012 4/4/2012 PR PR AP 12 12 12 4/4/2012 AP 12 4/18/2012 4/18/2012 4/19/2012 PR PR AP 12 12 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-212100 PR AP 12 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-212103 4/3/2012 PR 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10728 - EFTPS Ck# 0 PR Batch 00007.04.2012 FICA Employee Portion 25 10728 - EFTPS Ck# 0 PR Batch 00007.04.2012 FICA Employer Portion 123 Computer Checks Batch 2012 04 00008 137 10728 - EFTPS Ck# 0 PR Batch 00008.04.2012 FICA Employee Portion 137 10728 - EFTPS Ck# 0 PR Batch 00008.04.2012 FICA Employer Portion 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-212100 Totals: Medicare Withholding 12 0.00 0.00 19 Computer Checks Batch 2012 04 00007 23 Computer Checks Batch 2012 04 00034 24 10728 - EFTPS Ck# 0 PR Batch 00034.04.2012 Federal Income Tax 25 10728 - EFTPS Ck# 0 PR Batch 00007.04.2012 Federal Income Tax 123 Computer Checks Batch 2012 04 00008 124 Computer Checks Batch 2012 04 00941 136 10728 - EFTPS Ck# 0 PR Batch 00941.04.2012 Federal Income Tax 136 10728 - EFTPS Ck# 0 PR Batch 00941.04.2012 Federal Tax Flat Amount 137 10728 - EFTPS Ck# 0 PR Batch 00008.04.2012 Federal Income Tax 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-212000 Totals: Oasdi Withholding 4/3/2012 4/4/2012 0.00 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -74,666.29 -32,556.71 Page 494 Account Number Description 4/4/2012 4/4/2012 PR AP 12 12 4/4/2012 AP 12 4/4/2012 AP 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-213100 PR PR AP 12 12 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 PR AP 12 12 4/18/2012 4/18/2012 4/19/2012 PR PR AP 12 12 12 4/19/2012 AP 12 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 23 Computer Checks Batch 2012 04 00034 24 10298 - IL Dept of Revenue Ck# 0 PR Batch 00034.04.2012 State Income Tax 25 10298 - IL Dept of Revenue Ck# 0 PR Batch 00007.04.2012 State Income Tax 123 Computer Checks Batch 2012 04 00008 137 10298 - IL Dept of Revenue Ck# 0 PR Batch 00008.04.2012 State Income Tax 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213100 Totals: Equitable Insurance - Emp 4/3/2012 4/4/2012 Beginning Balance 23 Computer Checks Batch 2012 04 00034 24 10728 - EFTPS Ck# 0 PR Batch 00034.04.2012 Medicare Employee Portion 24 10728 - EFTPS Ck# 0 PR Batch 00034.04.2012 Medicare Employer Portion 25 10728 - EFTPS Ck# 0 PR Batch 00007.04.2012 Medicare Employee Portion 25 10728 - EFTPS Ck# 0 PR Batch 00007.04.2012 Medicare Employer Portion 123 Computer Checks Batch 2012 04 00008 137 10728 - EFTPS Ck# 0 PR Batch 00008.04.2012 Medicare Employee Portion 137 10728 - EFTPS Ck# 0 PR Batch 00008.04.2012 Medicare Employer Portion 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-212103 Totals: State Withholding 4/3/2012 4/4/2012 4/4/2012 888-000-213200 Budget 19 Computer Checks Batch 2012 04 00007 25 10041 - AXA Equitable Life Ins Co Ck# 106560 PR Batch 00007.04.2012 Equitable Life 123 Computer Checks Batch 2012 04 00008 124 Computer Checks Batch 2012 04 00941 136 10041 - AXA Equitable Life Ins Co Ck# 106758 PR Batch 00941.04.2012 Equitable Life 137 10041 - AXA Equitable Life Ins Co Ck# 106758 PR Batch 00008.04.2012 Equitable Life GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 Debit This Period Credit This Period 0.00 1,085.83 2,171.66 0.00 1,085.83 0.00 7,830.81 0.00 7,830.81 0.00 0.00 7,341.66 14,683.32 0.00 7,341.66 0.00 0.00 0.00 15,768.70 1,793.53 32,516.60 50,078.83 0.00 0.00 3,724.51 25,366.41 3,724.51 0.00 25,366.41 0.00 0.00 23,799.34 23,799.34 0.00 0.00 0.00 25,635.29 2,938.60 52,890.26 81,464.15 0.00 1,020.86 1,020.86 0.00 0.00 0.00 24.25 1,020.86 24.25 0.00 1,020.86 0.00 Ending Balance -17,562.23 -28,573.89 Page 495 Account Number 4/30/2012 4/30/2012 PR PR Description 12 12 Budget Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 0.00 0.00 1,020.86 172.33 Ending Balance 888-000-213200 Totals: Pekin Insurance / Shock 0.00 0.00 0.00 2,065.97 3,259.16 -1,193.19 888-000-213202 888-000-213202 Totals: Library Blue Cross Insura 0.00 0.00 0.00 0.00 0.00 0.00 888-000-213203 888-000-213203 Totals: Health Insurance Premium 0.00 0.00 0.00 0.00 0.00 0.00 888-000-213204 0.00 1,188.88 1,188.88 0.00 1,188.88 1,188.88 0.00 5,891.81 5,891.81 0.00 5,891.81 5,891.81 0.00 7,823.16 38,278.25 0.00 1,561.04 0.00 256.98 0.00 27,023.62 0.00 165.05 0.00 1,448.40 0.00 0.00 7,627.10 37,741.13 0.00 1,692.15 0.00 271.19 0.00 4/18/2012 4/19/2012 PR AP 888-000-213205 4/18/2012 4/19/2012 PR AP 888-000-213301 12 12 124 Computer Checks Batch 2012 04 00941 136 10729 - Insurance Fund Ck# 0 PR Batch 00941.04.2012 Police Pension Health Premium 888-000-213204 Totals: Health Insurance Premium 12 12 PR AP 12 12 4/4/2012 AP 12 4/4/2012 AP 12 4/4/2012 AP 12 4/4/2012 AP 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/19/2012 AP 12 0.00 124 Computer Checks Batch 2012 04 00941 136 10729 - Insurance Fund Ck# 0 PR Batch 00941.04.2012 Fire Pension Health Ins Premiu 888-000-213205 Totals: Imrf 4/3/2012 4/4/2012 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF Tpcc Employer 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF Tier 2 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF Employer 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF Buy Back 25 10312 - IMRF Ck# 0 PR Batch 00007.04.2012 IMRF Tpcc 123 Computer Checks Batch 2012 04 00008 137 10312 - IMRF Ck# 0 PR Batch 00008.04.2012 IMRF 137 10312 - IMRF Ck# 0 PR Batch 00008.04.2012 IMRF Tpcc Employer 137 10312 - IMRF Ck# 0 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 0.00 0.00 Page 496 Account Number Description 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 4/30/2012 4/30/2012 PR GL PR 12 12 12 888-000-213402 PR AP 12 12 4/4/2012 AP 12 AP 12 25 4/18/2012 4/19/2012 PR AP 12 12 123 137 4/19/2012 AP 12 137 4/19/2012 AP 12 137 4/30/2012 4/30/2012 PR PR 12 12 261 288 12 12 12 4/4/2012 AP 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 -4,744.81 PR Batch 00007.04.2012 Police Pension 10510 - Police Pension Ck# 0 PR Batch 00007.04.2012 Police Pension Tier 2 Computer Checks Batch 2012 04 00008 10510 - Police Pension Ck# 0 PR Batch 00008.04.2012 Police Pens Xtra 10510 - Police Pension Ck# 0 PR Batch 00008.04.2012 Police Pension 10510 - Police Pension Ck# 0 PR Batch 00008.04.2012 Police Pension Tier 2 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213402 Totals: Fire Pension PR PR AP 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10510 - Police Pension Ck# 0 PR Batch 00007.04.2012 Police Pens Xtra 25 10510 - Police Pension Ck# 0 4/4/2012 4/3/2012 4/4/2012 4/4/2012 Beginning Balance PR Batch 00008.04.2012 IMRF Tier 2 137 10312 - IMRF Ck# 0 PR Batch 00008.04.2012 IMRF Employer 137 10312 - IMRF Ck# 0 PR Batch 00008.04.2012 IMRF Buy Back 137 10312 - IMRF Ck# 0 PR Batch 00008.04.2012 IMRF Tpcc 261 Computer Checks Batch 2012 05 00009 267 xtra employee pmts fr fy2011 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213301 Totals: Police Pension 4/3/2012 4/4/2012 888-000-213503 Budget 19 Computer Checks Batch 2012 04 00007 23 Computer Checks Batch 2012 04 00034 24 10184 - Fire Pension Fund Ck# 0 PR Batch 00034.04.2012 Fire Pension 25 10184 - Fire Pension Fund Ck# 0 PR Batch 00007.04.2012 Fire Pension 25 10184 - Fire Pension Fund Ck# 0 PR Batch 00007.04.2012 Fire Pension Extra 123 Computer Checks Batch 2012 04 00008 137 10184 - Fire Pension Fund Ck# 0 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 Debit This Period Credit This Period 26,415.61 0.00 165.05 0.00 1,570.03 0.00 0.00 4,744.81 0.00 38,387.37 0.00 3,728.52 80,764.19 118,135.27 0.00 153.95 13,428.46 0.00 11,989.26 0.00 1,285.25 0.00 0.00 153.95 13,299.59 0.00 12,029.27 0.00 1,116.37 0.00 0.00 0.00 12,612.09 1,495.34 26,728.05 40,835.48 0.00 0.00 7,851.81 11,971.41 7,851.81 0.00 11,952.84 0.00 18.57 0.00 0.00 12,045.69 12,060.02 0.00 Ending Balance -42,115.89 -14,107.43 Page 497 Account Number Description 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-213504 Budget PR Batch 00008.04.2012 Fire Pension 137 10184 - Fire Pension Fund Ck# 0 PR Batch 00008.04.2012 Fire Pension Extra 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213503 Totals: Sec 125 Flex Benefit Plan 4/3/2012 4/4/2012 PR AP 12 12 4/4/2012 AP 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 Beginning Balance 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10729 - Insurance Fund Ck# 0 PR Batch 00007.04.2012 Section 125 25 10729 - Insurance Fund Ck# 0 PR Batch 00007.04.2012 Health Prem City Share 25 10729 - Insurance Fund Ck# 0 PR Batch 00007.04.2012 Health Ins Premium 123 Computer Checks Batch 2012 04 00008 137 10729 - Insurance Fund Ck# 0 PR Batch 00008.04.2012 Section 125 137 10729 - Insurance Fund Ck# 0 PR Batch 00008.04.2012 Health Prem City Share 137 10729 - Insurance Fund Ck# 0 PR Batch 00008.04.2012 Health Ins Premium 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 14.33 0.00 0.00 0.00 11,985.52 1,812.38 31,883.24 45,681.14 0.00 1,989.61 122,274.27 0.00 110,953.41 0.00 9,331.25 0.00 0.00 1,989.61 121,006.47 0.00 109,763.11 0.00 9,253.75 0.00 0.00 0.00 119,287.36 14,450.19 Ending Balance -13,797.90 888-000-213504 Totals: Hsa Account 0.00 0.00 0.00 243,280.74 377,018.29 -133,737.55 888-000-213505 888-000-213505 Totals: United Way 0.00 0.00 0.00 0.00 0.00 0.00 888-000-213600 0.00 128.08 128.08 0.00 0.00 103.08 103.08 0.00 0.00 0.00 103.08 7.86 231.16 342.10 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-213700 19 Computer Checks Batch 2012 04 00007 25 10670 - United Way of Pekin Ck# 106578 PR Batch 00007.04.2012 United Way 123 Computer Checks Batch 2012 04 00008 137 10670 - United Way of Pekin Ck# 106778 PR Batch 00008.04.2012 United Way 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213600 Totals: Credit Union GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -110.94 Page 498 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 888-000-213700 Totals: Fire Pension Retirees Pay 0.00 0.00 0.00 0.00 0.00 0.00 888-000-213701 888-000-213701 Totals: Direct Deposit 0.00 0.00 0.00 0.00 0.00 0.00 888-000-213800 0.00 0.00 0.00 0.00 59,582.12 351,716.73 319,813.22 345,069.32 0.00 0.00 351,716.73 59,582.12 319,813.22 345,069.32 0.00 0.00 0.00 0.00 354,257.72 39,851.00 1,076,181.39 1,470,290.11 0.00 637.00 1,318.50 0.00 681.50 0.00 0.00 624.00 1,291.00 0.00 667.00 0.00 0.00 0.00 1,236.00 149.59 2,609.50 3,995.09 0.00 2,686.00 2,686.00 0.00 0.00 391.19 2,686.00 3,077.19 4/3/2012 4/4/2012 4/18/2012 4/18/2012 4/4/2012 4/4/2012 4/18/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR CH CH CH CH PR PR 888-000-213801 12 12 12 12 12 12 12 12 12 12 PR AP 12 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 PR AP 12 12 4/30/2012 PR 12 0.00 0.00 2,604.78 19 Computer Checks Batch 2012 04 00007 25 10204 - FOP Lodge 105 Ck# 106565 PR Batch 00007.04.2012 FOP Local 105 25 10472 - PBPA Labor Committee Ck# 106572 PR Batch 00007.04.2012 PBPA Labor Committee 123 Computer Checks Batch 2012 04 00008 137 10204 - FOP Lodge 105 Ck# 106764 PR Batch 00008.04.2012 FOP Local 105 137 10472 - PBPA Labor Committee Ck# 106772 PR Batch 00008.04.2012 PBPA Labor Committee 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213801 Totals: Firefighters Local 524 4/18/2012 4/19/2012 888-000-213803 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00034 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 04 00941 Direct Deposit Direct Deposit Direct Deposit Direct Deposit Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213800 Totals: Fraternal Order Of Police 4/3/2012 4/4/2012 888-000-213802 19 23 123 124 125 126 165 166 261 288 0.00 0.00 0.00 123 Computer Checks Batch 2012 04 00008 137 10188 - Firefighters Local 524 Ck# 106762 PR Batch 00008.04.2012 Fire Local 524 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213802 Totals: Teamster Local 627 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -391,503.94 -1,385.59 -391.19 Page 499 Account Number Description 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 PR 12 888-000-213804 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10203 - FOP Labor Council Ck# 106564 PR Batch 00007.04.2012 FOP Labor Council TPCC 123 Computer Checks Batch 2012 04 00008 137 10203 - FOP Labor Council Ck# 106763 PR Batch 00008.04.2012 FOP Labor Council TPCC 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213804 Totals: Local 524 Iaff Fire-pac 4/3/2012 4/4/2012 Beginning Balance 123 Computer Checks Batch 2012 04 00008 137 10444 - Natl DRIVE Ck# 106771 PR Batch 00008.04.2012 National D R I V E 137 10643 - Teamsters Local 627 Ck# 106777 PR Batch 00008.04.2012 Teamster Local 627 137 10643 - Teamsters Local 627 Ck# 106777 PR Batch 00008.04.2012 Teamster Extra 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-213803 Totals: T / P Ccc Fop Dues 4/3/2012 4/4/2012 888-000-213805 Budget 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10284 - IAFF Firepac Ck# 106566 PR Batch 00007.04.2012 IAFF Firepac Dues 123 Computer Checks Batch 2012 04 00008 137 10284 - IAFF Firepac Ck# 106766 PR Batch 00008.04.2012 IAFF Firepac Dues 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 0.00 96.00 7,475.46 0.00 6,674.46 0.00 705.00 0.00 0.00 749.93 7,475.46 8,225.39 0.00 482.17 482.17 0.00 0.00 423.67 423.67 0.00 0.00 0.00 462.67 53.84 905.84 1,422.35 0.00 150.59 150.59 0.00 0.00 150.59 150.59 0.00 0.00 0.00 150.59 26.26 Ending Balance -749.93 -516.51 888-000-213805 Totals: Wabash Life Insurance 0.00 0.00 0.00 301.18 478.03 -176.85 888-000-214001 888-000-214001 Totals: Occidental / Cancer Insur 0.00 0.00 0.00 0.00 0.00 0.00 888-000-214002 0.00 88.60 88.60 0.00 88.60 88.60 4/18/2012 4/19/2012 PR AP 888-000-214003 12 12 124 Computer Checks Batch 2012 04 00941 136 10504 - Philadelphia American Life InsCk# 106775 PR Batch 00941.04.2012 Philadelphia Life 888-000-214002 Totals: Imrf Insurance GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 0.00 Page 500 Account Number Description 4/3/2012 4/4/2012 PR AP 12 12 4/30/2012 PR 12 Budget Beginning Balance 19 Computer Checks Batch 2012 04 00007 25 10445 - NCPERS-IL IMRF Ck# 106571 PR Batch 00007.04.2012 NCPERS Life 261 Computer Checks Batch 2012 05 00009 Debit This Period Credit This Period 0.00 496.00 496.00 0.00 0.00 496.00 Ending Balance 888-000-214003 Totals: Anthem Life Insurance 0.00 0.00 0.00 496.00 992.00 -496.00 888-000-214004 888-000-214004 Totals: Aflac Insurance 0.00 0.00 0.00 0.00 0.00 0.00 888-000-214005 0.00 613.31 2,370.93 0.00 1,757.62 0.00 0.00 0.00 242.70 1,757.62 242.70 0.00 1,757.62 0.00 0.00 0.00 27.83 0.00 27.83 2,329.01 0.00 197.72 4,399.08 6,925.81 0.00 99.18 99.18 0.00 0.00 99.18 99.18 198.36 0.00 286.85 286.85 0.00 0.00 286.85 286.85 573.70 4/3/2012 4/4/2012 PR AP 12 12 4/4/2012 AP 12 4/18/2012 4/18/2012 4/19/2012 PR PR AP 12 12 12 4/19/2012 AP 12 4/2/2012 4/30/2012 4/30/2012 4/30/2012 GL PR GL PR 12 12 12 12 888-000-214006 888-000-214005 Totals: Metlife Insurance 4/3/2012 4/4/2012 PR AP 12 12 4/30/2012 PR 12 888-000-214007 19 Computer Checks Batch 2012 04 00007 25 10013 - AFLAC Ck# 106559 PR Batch 00007.04.2012 Aflac 25 11697 - Continental American Insurance Ck# 106562 PR Batch 00007.04.2012 Aflac Group (Cont American) 123 Computer Checks Batch 2012 04 00008 124 Computer Checks Batch 2012 04 00941 136 10013 - AFLAC Ck# 106757 PR Batch 00941.04.2012 Aflac 137 11697 - Continental American Insurance Ck# 106760 PR Batch 00008.04.2012 Aflac Group (Cont American) 231 schoch premium refund 261 Computer Checks Batch 2012 05 00009 266 corr coding aflac refund 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 PR AP 12 12 4/30/2012 PR 12 0.00 19 Computer Checks Batch 2012 04 00007 25 10642 - USE #10776 INSTEAD TPCCC Ck# 106577 PR Batch 00007.04.2012 Met Life Insurance 261 Computer Checks Batch 2012 05 00009 888-000-214006 Totals: Texaslife Insurance 4/3/2012 4/4/2012 0.00 0.00 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10648 - Texaslife Ins Ck# 106576 PR Batch 00007.04.2012 Texas Life 261 Computer Checks Batch 2012 05 00009 888-000-214007 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 -2,526.73 -99.18 -286.85 Page 501 Account Number 888-000-214008 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-214009 4/18/2012 4/19/2012 PR AP Description Budget Security Life 0.00 19 Computer Checks Batch 2012 04 00007 25 10584 - Security Benefit Ck# 106575 PR Batch 00007.04.2012 Security Benefit 123 Computer Checks Batch 2012 04 00008 137 10584 - Security Benefit Ck# 106776 PR Batch 00008.04.2012 Security Benefit 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-214008 Totals: Humana Specialty 12 12 Beginning Balance 0.00 0.00 0.00 123 Computer Checks Batch 2012 04 00008 137 11715 - Humana Specialty Benefits Ck# 106765 PR Batch 00008.04.2012 Humana Specialty Debit This Period Credit This Period 0.00 212.30 212.30 0.00 0.00 212.30 212.30 0.00 0.00 0.00 212.30 4.42 424.60 641.32 0.00 167.75 167.75 0.00 Ending Balance -216.72 888-000-214009 Totals: Police Insurance Trust 0.00 0.00 0.00 167.75 167.75 0.00 888-000-214101 888-000-214101 Totals: Fire Insurance Trust 0.00 0.00 0.00 0.00 0.00 0.00 888-000-214102 0.00 1,218.36 1,218.36 0.00 0.00 0.00 68.57 1,218.36 68.57 0.00 1,218.36 0.00 0.00 0.00 1,218.36 184.51 2,505.29 3,908.16 0.00 7,765.72 7,765.72 0.00 0.00 7,765.72 7,765.72 0.00 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/18/2012 4/19/2012 PR PR AP 12 12 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-215002 19 Computer Checks Batch 2012 04 00007 25 10332 - Investment Management Group Ck# 106568 PR Batch 00007.04.2012 Fire Trust 123 Computer Checks Batch 2012 04 00008 124 Computer Checks Batch 2012 04 00941 136 10332 - Investment Management Group Ck# 106768 PR Batch 00941.04.2012 Fire Trust 137 10332 - Investment Management Group Ck# 106768 PR Batch 00008.04.2012 Fire Trust 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-214102 Totals: Child Support 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 25 10845 - IL State Disbursement Unit Ck# 0 PR Batch 00007.04.2012 Child Support 123 Computer Checks Batch 2012 04 00008 137 10845 - IL State Disbursement Unit Ck# 0 PR Batch 00008.04.2012 Child Support GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -1,402.87 Page 502 Account Number 4/30/2012 4/30/2012 PR PR 888-000-215003 Description 12 12 Budget 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-215002 Totals: Wage Deductions 4/3/2012 4/4/2012 PR AP 12 12 4/4/2012 AP 12 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 4/30/2012 PR PR 12 12 Beginning Balance 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10118 - Michael D Clark Ck# 106561 PR Batch 00007.04.2012 Garnishmnt - Clark 25 11241 - S Linn Perkins, Attorney Ck# 106574 PR Batch 00007.04.2012 Garnishment-Vonachen 25 11658 - David Miller Ck# 106569 PR Batch 00007.04.2012 Garnishment-Baker & Miller 123 Computer Checks Batch 2012 04 00008 137 10118 - Michael D Clark Ck# 106759 PR Batch 00008.04.2012 Garnishmnt - Clark 137 11241 - S Linn Perkins, Attorney Ck# 106774 PR Batch 00008.04.2012 Garnishment-Vonachen 137 11658 - David Miller Ck# 106769 PR Batch 00008.04.2012 Garnishment-Baker & Miller 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 0.00 0.00 7,765.72 933.05 15,531.44 24,230.21 0.00 2,287.50 2,521.47 0.00 40.00 0.00 193.97 0.00 0.00 2,237.50 2,471.47 0.00 40.00 0.00 193.97 0.00 0.00 0.00 2,487.97 191.79 Ending Balance -8,698.77 888-000-215003 Totals: Employee Purchases 0.00 0.00 0.00 4,992.94 7,672.70 -2,679.76 888-000-215004 888-000-215004 Totals: Athletic Membership 0.00 0.00 0.00 0.00 0.00 0.00 888-000-215005 888-000-215005 Totals: Employee Purchase Program 0.00 0.00 0.00 0.00 0.00 0.00 888-000-215006 0.00 173.41 173.41 0.00 0.00 173.41 173.41 0.00 0.00 0.00 184.32 20.13 346.82 551.27 0.00 27.00 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-215007 4/3/2012 PR 19 Computer Checks Batch 2012 04 00007 25 10220 - General Fund Ck# 0 PR Batch 00007.04.2012 Computer Purchase Program 123 Computer Checks Batch 2012 04 00008 137 10220 - General Fund Ck# 0 PR Batch 00008.04.2012 Computer Purchase Program 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-215006 Totals: Tommy Hughes Scholarship 12 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 0.00 -204.45 Page 503 Account Number Description 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 Budget Beginning Balance 25 10730 - Pekin National Bank Ck# 106573 PR Batch 00007.04.2012 Tommy Hughes Acct 137413 123 Computer Checks Batch 2012 04 00008 137 10730 - Pekin National Bank Ck# 106773 PR Batch 00008.04.2012 Tommy Hughes Acct 137413 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 27.00 0.00 0.00 27.00 27.00 0.00 0.00 0.00 27.00 2.37 Ending Balance 888-000-215007 Totals: Supplemental Auto 0.00 0.00 0.00 54.00 83.37 -29.37 888-000-215008 888-000-215008 Totals: Misc. Payroll Liability 0.00 0.00 0.00 0.00 0.00 0.00 888-000-215100 888-000-215100 Totals: Pedc / Aetna - Tax Deferr 0.00 0.00 0.00 0.00 0.00 0.00 888-000-216001 0.00 150.00 150.00 0.00 0.00 250.00 250.00 0.00 0.00 250.00 400.00 650.00 0.00 903.42 903.42 0.00 0.00 903.42 903.42 0.00 0.00 0.00 903.42 111.32 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 PR 12 888-000-216003 19 Computer Checks Batch 2012 04 00007 25 10324 - ING Life Insurance & AnnuityCk# C 106567 PR Batch 00007.04.2012 ING 123 Computer Checks Batch 2012 04 00008 137 10324 - ING Life Insurance & AnnuityCk# C 106767 PR Batch 00008.04.2012 ING 261 Computer Checks Batch 2012 05 00009 888-000-216001 Totals: Pedc / Equitable - Tax De 4/3/2012 4/4/2012 PR AP 12 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 0.00 0.00 0.00 19 Computer Checks Batch 2012 04 00007 25 10173 - Equitable Ck# 106563 PR Batch 00007.04.2012 Equitable 123 Computer Checks Batch 2012 04 00008 137 10173 - Equitable Ck# 106761 PR Batch 00008.04.2012 Equitable 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 -250.00 888-000-216003 Totals: Icma Retirement Trust 457 0.00 0.00 0.00 1,806.84 2,821.58 -1,014.74 888-000-216004 888-000-216004 Totals: Pebsco / Tax Deferred 0.00 0.00 0.00 0.00 0.00 0.00 888-000-216005 0.00 192.00 4/3/2012 PR 12 19 Computer Checks Batch 2012 04 00007 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 504 Account Number Description 4/4/2012 AP 12 4/18/2012 4/19/2012 PR AP 12 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-219000 888-000-216005 Totals: Accounts Payable AP AP AP 12 12 12 4/4/2012 4/19/2012 4/19/2012 4/19/2012 CH AP AP AP 12 12 12 12 28 136 137 138 4/19/2012 CH 12 140 Electronic AP Checks Batch: 2012-4-3 0.00 0.00 PR CR 12 12 4/12/2012 AP 12 4/13/2012 CR 12 4/13/2012 AP 12 4/16/2012 CR 12 4/18/2012 4/20/2012 PR CR 12 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 PR 12 0.00 24 AP Invoice Batch 99998-04-2012 25 AP Invoice Batch 99999-04-2012 26 AP Computer Cks 0-106578, 04/06/2012 Ck# 0 Electronic AP Checks Batch: 2012-4-1 AP Invoice Batch 98899-04-2012 AP Invoice Batch 99988-04-2012 AP Computer Cks 0-106778, 04/20/2012 Ck# 0 888-000-219000 Totals: Due To Sewer 4/3/2012 4/5/2012 Beginning Balance 25 10442 - Nationwide Retirement Solution Ck# 106570 PR Batch 00007.04.2012 Nationwide 123 Computer Checks Batch 2012 04 00008 137 10442 - Nationwide Retirement Solution Ck# 106770 PR Batch 00008.04.2012 Nationwide 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 4/4/2012 4/4/2012 4/4/2012 888-000-220231 Budget 0.00 0.00 19 Computer Checks Batch 2012 04 00007 37 Sewer Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 88 Sewer A/P Reimb AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 96 Sewer A/P Reimb AP # 16881 Cash Receipts Batch 50016-04-2012 123 Computer Checks Batch 2012 04 00008 149 Sewer Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 198 Sewer A/P Reimb AP # Cash Receipts Batch 50027-04-2012 261 Computer Checks Batch 2012 05 00009 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 17250 0.00 Debit This Period Credit This Period 192.00 0.00 0.00 192.00 192.00 0.00 0.00 0.00 192.00 20.23 384.00 596.23 0.00 0.00 11,577.71 21,952.18 340,582.30 0.00 350,956.77 0.00 0.00 20,774.70 0.00 51,550.22 339,780.23 0.00 370,555.75 0.00 753,864.93 753,864.93 22,543.52 0.00 0.00 22,543.52 2,139,957.15 0.00 0.00 2,139,957.15 41,250.00 0.00 0.00 41,250.00 22,180.35 0.00 0.00 22,180.35 21,916.10 0.00 0.00 1,916.10 20,461.83 0.00 Ending Balance -212.23 0.00 Page 505 Account Number 4/30/2012 4/30/2012 GL PR 888-000-220240 Description 12 12 Budget Debit This Period Credit This Period 0.00 2,841.17 20,000.00 0.00 2,271,150.12 2,247,847.12 2,525.52 0.00 0.00 2,525.52 10,514.12 0.00 0.00 5,931.99 0.00 4,582.13 13,039.64 13,039.64 19 Computer Checks Batch 2012 04 00007 37 Hud Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4,298.13 0.00 0.00 4,298.13 8,373.99 0.00 88 Hud A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 88 Hud Home A/P -Payroll AP - 4/13/2012# 16859 Cash Receipts Batch 50513-04-2012 90 AP Computer Cks 106755-106756, 04/13/2012 Ck# 0 0.00 23.40 0.00 8,373.99 679.78 0.00 0.00 679.78 4,298.13 0.00 0.00 4,298.13 155.20 0.00 0.00 95.20 0.00 60.00 4,298.13 23.40 428.54 0.00 0.00 0.00 266 corr 4-26 ap 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-220231 Totals: Due To Motor Fuel Tax 0.00 0.00 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4/13/2012 CR 12 4/26/2012 AP 12 88 MFT A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/27/2012 CR 12 4/30/2012 GL 12 888-000-220261 198 MFT A/P Reim AP Cash Receipts Batch 50027-04-2012 266 corr 4-26 ap je # PR CR 12 12 4/12/2012 AP 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 AP 12 4/16/2012 CR 12 4/18/2012 4/20/2012 PR CR 12 12 4/26/2012 AP 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 PR GL PR 12 12 12 96 Hud A/P Reim AP # 16881 Cash Receipts Batch 50016-04-2012 123 Computer Checks Batch 2012 04 00008 149 Hud Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 198 Hud A/P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 198 Hud Home A/P -Payroll AP # 17250 Cash Receipts Batch 50027-04-2012 261 Computer Checks Batch 2012 05 00009 266 corr 4-13 cr 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 17250 888-000-220240 Totals: Due To Hud Metro Develop 4/3/2012 4/5/2012 Beginning Balance 0.00 0.00 0.00 Ending Balance 23,303.00 0.00 Page 506 Account Number 888-000-220695 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 22,555.30 17,828.63 4,726.67 319,532.94 0.00 0.00 319,532.94 11,228.74 0.00 0.00 11,228.74 330,761.68 330,761.68 19 Computer Checks Batch 2012 04 00007 37 TPCC Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 39,050.89 0.00 0.00 39,050.89 32,402.14 0.00 88 TPCC A/P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 123 Computer Checks Batch 2012 04 00008 139 Electronic AP Checks Batch: 2012-4-2 149 TPCC Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 35,027.14 41,372.32 2,625.00 0.00 0.00 0.00 41,372.32 882.24 0.00 0.00 882.24 38,371.25 4,882.05 0.00 0.00 159,585.89 116,332.59 28,945.66 346.80 0.00 0.00 0.00 28,945.66 890.19 11,104.02 0.00 0.00 0.00 11,104.02 888-000-220261 Totals: Due To Insurance 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4/13/2012 CR 12 4/26/2012 AP 12 88 Insurance A.P Reim AP - 4/13/2012 # 16859 Cash Receipts Batch 50513-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/27/2012 CR 12 888-000-220900 # 17250 888-000-220695 Totals: Due To Tpcc 4/3/2012 4/5/2012 PR CR 12 12 4/12/2012 AP 12 4/13/2012 CR 12 4/18/2012 4/19/2012 4/20/2012 PR CH CR 12 12 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 4/30/2012 PR PR 12 12 888-000-220924 198 Insurance A.P Reim AP Cash Receipts Batch 50027-04-2012 0.00 0.00 0.00 198 TPCC A/P Reim AP # 17250 Cash Receipts Batch 50027-04-2012 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 888-000-220900 Totals: Due To Municipal Library 0.00 0.00 4/3/2012 4/5/2012 4/5/2012 PR AP CR 12 12 12 4/12/2012 4/12/2012 AP AP 12 12 19 Computer Checks Batch 2012 04 00007 35 AP Manual Cks 3533-3536, 04/02/2012 37 Library Payroll PAYROLL - 4/5/12 # 16638 Cash Receipts Batch 50205-04-2012 77 AP Manual Cks 3526-3535, 04/12/2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4/13/2012 CR 12 88 Library A/P Reim AP - 4/13/2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16859 0.00 0.00 43,253.30 Page 507 Account Number Description Budget 4/18/2012 4/18/2012 4/20/2012 AP PR CR 12 12 12 4/26/2012 4/26/2012 AP AP 12 12 Cash Receipts Batch 50513-04-2012 122 AP Manual Cks 3532-4248, 04/18/2012 123 Computer Checks Batch 2012 04 00008 149 Library Payroll PAYROLL # 17022 Cash Receipts Batch 50020-04-2012 188 AP Manual Cks 3545-3557, 04/25/2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/30/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 AP GL GL GL GL GL PR CR 12 12 12 12 12 12 12 12 216 228 233 239 254 259 261 291 888-000-220941 AP Manual Cks 3528-3555, 04/30/2012 library mp's 4-5-12 library mp's 4/12/12 library mp's 4/18/12 library mp's 4/26/12 library mp's 4/30/12 Computer Checks Batch 2012 05 00009 Library A/P Reim AP # Cash Receipts Batch 50630-04-2012 Beginning Balance 17931 888-000-220924 Totals: Due To Police Pension 0.00 0.00 0.00 Debit This Period Credit This Period 6,778.65 28,378.23 0.00 0.00 0.00 28,378.23 2,051.33 24,223.20 0.00 0.00 4,432.71 0.00 0.00 0.00 0.00 0.00 28,886.81 0.00 0.00 346.80 890.19 6,778.65 2,051.33 4,432.71 0.00 24,223.20 136,037.60 107,150.79 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 23.40 0.00 4/18/2012 4/26/2012 PR AP 12 12 124 Computer Checks Batch 2012 04 00941 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 178,836.59 84.97 0.00 0.00 4/27/2012 CR 12 0.00 84.97 4/30/2012 4/30/2012 GL GL 12 12 198 Police Pen A/P AP Cash Receipts Batch 50027-04-2012 267 corr 4-13 ap je 294 gross pension 0.00 0.00 23.40 178,836.59 178,944.96 178,944.96 217,782.95 262.50 0.00 0.00 0.00 262.50 0.00 217,782.95 218,045.45 218,045.45 888-000-220944 # 17250 888-000-220941 Totals: Due To Fire Pension 0.00 0.00 4/18/2012 4/26/2012 PR AP 12 12 124 Computer Checks Batch 2012 04 00941 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/27/2012 CR 12 4/30/2012 GL 12 198 Fire Pen A/P Reim /Payrol AP Cash Receipts Batch 50027-04-2012 294 gross pension 888-000-240100 888-000-220944 Totals: General Fund GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 0.00 17250 0.00 0.00 0.00 Ending Balance 28,886.81 0.00 0.00 Page 508 Account Number Description 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 CR 12 4/3/2012 4/4/2012 PR CR 12 12 4/4/2012 CR 12 4/4/2012 4/4/2012 PR CR 12 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/6/2012 CR 12 4/9/2012 4/9/2012 AP CR 12 12 4/9/2012 CR 12 4/9/2012 CR 12 4/10/2012 4/10/2012 AR CR 12 12 4/10/2012 CR 12 4/10/2012 CR 12 4/11/2012 CR 12 3 Fund balance entry for fund 100 # Cash Receipts Batch 50103-04-2012 7 Fund balance entry for fund 100 # Cash Receipts Batch 04002-04-2012 13 Fund balance entry for fund 100 # Cash Receipts Batch 02703-04-2012 14 Fund balance entry for fund 100 # Cash Receipts Batch 04003-04-2012 15 Fund balance entry for fund 100 # Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 20 Fund balance entry for fund 100 # Cash Receipts Batch 29040-04-2012 21 Fund balance entry for fund 100 # Cash Receipts Batch 29004-04-2012 23 Computer Checks Batch 2012 04 00034 31 Fund balance entry for fund 100 # Cash Receipts Batch 23004-04-2012 37 Fund balance entry for fund 100 # Cash Receipts Batch 50205-04-2012 40 Fund balance entry for fund 100 # Cash Receipts Batch 23005-04-2012 42 Fund balance entry for fund 100 # Cash Receipts Batch 02705-04-2012 47 Fund balance entry for fund 100 # Cash Receipts Batch 02706-04-2012 52 Void 53 Fund balance entry for fund 100 # Cash Receipts Batch 50006-04-2012 56 Fund balance entry for fund 100 # Cash Receipts Batch 02709-04-2012 57 Fund balance entry for fund 100 # Cash Receipts Batch 23006-04-2012 58 Fund balance entry for fund 100 60 Fund balance entry for fund 100 # Cash Receipts Batch 50010-04-2012 62 Fund balance entry for fund 100 # Cash Receipts Batch 02710-04-2012 63 Fund balance entry for fund 100 # Cash Receipts Batch 23010-04-2012 69 Fund balance entry for fund 100 # Cash Receipts Batch 50011-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period 16564 0.00 193.82 16543 0.00 383.00 16584 0.00 3,050.00 16574 0.00 375.00 16566 0.00 16,738.39 16627 489,131.33 0.00 0.00 1,750.00 16611 0.00 1,685.00 16634 84,173.51 0.00 0.00 239.00 16662 0.00 1,016.74 16652 0.00 794.00 16663 0.00 2,225.00 16679 0.00 2,050.00 16683 0.00 0.00 4,398.66 9,182.83 16724 0.00 100.00 16728 0.00 804.00 16750 0.01 0.00 0.00 541.00 16757 0.00 625.00 16734 0.00 368.00 16774 0.00 4,344.27 Ending Balance Page 509 Account Number Description 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 AP 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/13/2012 4/13/2012 AP CR 12 12 4/13/2012 CR 12 Budget 73 Fund balance entry for fund 100 # 16779 Cash Receipts Batch 23011-04-2012 78 Fund balance entry for fund 100 # 16819 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 81 Fund balance entry for fund 100 Cash Receipts Batch 02712-04-2012 83 Fund balance entry for fund 100 Cash Receipts Batch 23012-04-2012 84 Fund balance entry for fund 100 Cash Receipts Batch 29012-04-2012 87 Void 88 Fund balance entry for fund 100 Cash Receipts Batch 50513-04-2012 93 Fund balance entry for fund 100 4/13/2012 CR 12 94 4/16/2012 CR 12 96 4/16/2012 CR 12 98 4/16/2012 CR 12 99 4/17/2012 CR 12 109 4/17/2012 CR 12 110 4/17/2012 CR 12 111 4/18/2012 CR 12 114 4/18/2012 CR 12 115 4/18/2012 4/18/2012 4/18/2012 4/18/2012 4/18/2012 AR AR AR PR CR 12 12 12 12 12 116 117 118 123 127 4/18/2012 CR 12 128 Debit This Period Credit This Period 0.00 250.00 0.00 1,859.99 341,638.95 0.00 # 16826 0.00 2,220.00 # 16784 0.00 423.00 # 16822 0.00 1,856.25 # 16856 0.00 0.00 1,004.47 10,877.91 # 16835 0.00 100.00 16865 0.00 50.00 16893 0.00 983,845.83 16882 0.00 85.00 16914 0.00 150.00 16935 0.00 128.00 16922 0.00 75.00 16926 0.00 3,579.01 16940 0.00 2,275.00 16960 0.00 19,105.87 16990 62.75 200.00 65.75 481,380.94 0.00 0.00 0.00 0.00 0.00 310.00 16983 0.00 3,010.00 Cash Receipts Batch 23013-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 25013-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 50016-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 23016-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 02716-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 23017-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 25017-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 50017-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 29018-04-2012 Fund balance entry for fund 100 # Cash Receipts Batch 50018-04-2012 Fund balance entry for fund 100 Fund balance entry for fund 100 Fund balance entry for fund 100 Computer Checks Batch 2012 04 00008 Fund balance entry for fund 100 # Cash Receipts Batch 23018-04-2012 Fund balance entry for fund 100 # GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Ending Balance Page 510 Account Number Description 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/26/2012 AP 12 4/26/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Budget Cash Receipts Batch 02718-04-2012 142 Fund balance entry for fund 100 # 17008 Cash Receipts Batch 02719-04-2012 143 Fund balance entry for fund 100 # 17011 Cash Receipts Batch 23019-04-2012 149 Fund balance entry for fund 100 # 17060 Cash Receipts Batch 50020-04-2012 154 Fund balance entry for fund 100 # 17068 Cash Receipts Batch 23020-04-2012 159 Fund balance entry for fund 100 # 17104 Cash Receipts Batch 50023-04-2012 163 Fund balance entry for fund 100 # 17123 Cash Receipts Batch 23023-04-2012 164 Fund balance entry for fund 100 # 17133 Cash Receipts Batch 02723-04-2012 168 Fund balance entry for fund 100 # 17140 Cash Receipts Batch 50024-04-2012 169 Fund balance entry for fund 100 # 17145 Cash Receipts Batch 23024-04-2012 178 Fund balance entry for fund 100 # 17155 Cash Receipts Batch 50025-04-2012 182 Fund balance entry for fund 100 # 17178 Cash Receipts Batch 02725-04-2012 183 Fund balance entry for fund 100 # 17157 Cash Receipts Batch 23025-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 190 Fund balance entry for fund 100 Cash Receipts Batch 29026-04-2012 192 Fund balance entry for fund 100 Cash Receipts Batch 02726-04-2012 193 Fund balance entry for fund 100 Cash Receipts Batch 23026-04-2012 198 Fund balance entry for fund 100 Cash Receipts Batch 50027-04-2012 199 Fund balance entry for fund 100 Cash Receipts Batch 02727-04-2012 200 Fund balance entry for fund 100 Cash Receipts Batch 23027-04-2012 205 Fund balance entry for fund 100 Cash Receipts Batch 50030-04-2012 206 Fund balance entry for fund 100 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Debit This Period Credit This Period 0.00 2,600.00 0.00 1,250.00 0.00 38,333.40 0.00 100.00 0.00 195,866.66 0.00 602.00 0.00 7,540.00 0.00 2,850.00 0.00 201.00 0.00 268.20 0.00 7,445.00 0.00 585.00 59,978.48 0.00 # 17183 0.00 36,755.97 # 17245 0.00 4,185.00 # 17205 0.00 555.00 # 17260 0.00 5,536.59 # 17274 0.00 7,400.00 # 17280 0.00 335.00 # 17281 0.00 16,721.70 # 17307 0.00 124.01 Ending Balance Page 511 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL GL GL GL GL PR GL GL GL GL GL GL GL GL CR 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 PR GL GL GL GL GL GL 12 12 12 12 12 12 12 888-000-240208 Budget Beginning Balance Cash Receipts Batch 50230-04-2012 210 Fund balance entry for fund 100 # 17322 Cash Receipts Batch 23030-04-2012 211 Fund balance entry for fund 100 # 17310 Cash Receipts Batch 25030-04-2012 220 Fund balance entry for fund 100 # 17394 Cash Receipts Batch 50402-04-2012 223 chamber dinner spouse/barra 230 march ams fees 237 chamber dinner spouse ticket/abel 245 cilco credit for 219 sabella/jan. service 247 nsf from jeff nizzia/liquor license 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 combine escrows, adj balance 266 corr work order je march 269 monthly local gas tax split 269 monthly admin costs transfer 279 april office supplies 280 april fuel 282 chg coding march hud work 284 april wo entry 285 Fund balance entry for fund 100 # 17788 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 100 # 17799 Cash Receipts Batch 50121-04-2012 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 290 corr receivable balance 292 corr end of month je 292 b hill used vacation time for hlth prems 292 reimb for 1st 2 mo prems/eri people 293 airport postage/wings & wheels 295 888 entry backwards 888-000-240100 Totals: Tourism 0.00 0.00 4/5/2012 CR 12 4/12/2012 AP 12 37 Fund balance entry for fund 208 # 16651 Cash Receipts Batch 50205-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 4/13/2012 CR 12 88 Fund balance entry for fund 208 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16857 -18,486,066.58 Debit This Period Credit This Period 0.00 225.00 0.00 10,475.00 0.00 177,000.00 0.00 94.55 0.00 0.00 150.00 0.00 479,297.49 1,040.00 125.15 22,611.35 0.00 0.00 19,512.16 3,041.50 26,264.51 0.00 25.00 0.00 25.00 132.00 0.00 112.95 0.00 0.00 0.00 0.00 23,609.77 115.80 0.00 0.00 0.00 3,043.64 0.00 2,867.18 57,134.83 0.00 0.00 4,955.41 4,746.56 0.00 2,142.00 0.00 1,071.00 250.30 0.00 0.00 51.30 0.00 2,077,747.23 1,630,327.51 0.00 2,214.15 12,200.00 0.00 0.00 11,737.10 Ending Balance -18,038,646.86 Page 512 Account Number Description 4/16/2012 CR 12 4/24/2012 4/24/2012 BT CR 12 12 4/26/2012 AP 12 4/2/2012 4/30/2012 GL CR 12 12 4/30/2012 CR 12 888-000-240223 4/3/2012 CR Budget Cash Receipts Batch 50513-04-2012 96 Fund balance entry for fund 208 # 16889 Cash Receipts Batch 50016-04-2012 172 Fund balance entry for fund 208 174 Fund balance entry for fund 208 # 17148 Cash Receipts Batch 50124-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 260 april 2012 postage 285 Fund balance entry for fund 208 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 208 Cash Receipts Batch 50121-04-2012 7 Fund balance entry for fund 223 4/3/2012 CR 12 12 4/3/2012 CR 12 13 4/3/2012 CR 12 14 4/3/2012 4/4/2012 PR CR 12 12 19 29 4/5/2012 CR 12 38 4/9/2012 CR 12 53 4/9/2012 CR 12 56 4/9/2012 CR 12 57 4/10/2012 CR 12 60 4/10/2012 CR 12 61 4/10/2012 CR 12 62 4/10/2012 CR 12 63 Credit This Period 0.00 2,095.00 2,214.15 0.00 0.00 2,214.15 606.43 0.00 17791 30.55 0.00 0.00 143.94 # 17801 0.00 160.05 15,051.13 18,564.39 16560 0.00 60.50 16573 0.00 110.00 16586 0.00 85.00 16568 0.00 0.75 16630 30,200.25 0.00 0.00 25.00 16656 0.00 110.00 16718 0.00 250.00 16722 0.00 135.00 16725 0.00 50.75 16745 0.00 49.00 16753 0.00 90.00 16759 0.00 50.00 16740 0.00 11.50 0.00 0.00 # Cash Receipts Batch 04002-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 02503-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 02703-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 04003-04-2012 Computer Checks Batch 2012 04 00007 Fund balance entry for fund 223 # Cash Receipts Batch 25004-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 25005-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 50006-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 02709-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 23006-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 50010-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 25010-04-2012 Fund balance entry for fund 223 # Cash Receipts Batch 02710-04-2012 Fund balance entry for fund 223 # GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period # 888-000-240208 Totals: Solid Waste 12 Beginning Balance -210,696.91 Ending Balance -214,210.17 Page 513 Account Number Description 4/11/2012 CR 12 4/11/2012 CR 12 4/12/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/13/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/17/2012 CR 12 4/18/2012 4/18/2012 PR CR 12 12 4/19/2012 CR 12 4/19/2012 CR 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/24/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 4/25/2012 CR 12 Budget Debit This Period Credit This Period 0.00 188.00 0.00 135.00 0.00 32.00 64,132.88 0.00 16858 0.00 10.00 16864 0.00 245.00 16902 0.00 1,100.45 16930 0.00 170.00 16927 0.00 283.73 16969 28,943.56 0.00 0.00 85.00 16993 0.00 25.00 17006 0.00 62.00 17066 0.00 50.00 17046 0.00 145.25 17071 0.00 145.00 17139 0.00 60.00 17151 0.00 50.00 17156 0.00 100.00 17163 0.00 422.00 17172 0.00 25.00 Cash Receipts Batch 23010-04-2012 69 Fund balance entry for fund 223 # 16760 Cash Receipts Batch 50011-04-2012 72 Fund balance entry for fund 223 # 16777 Cash Receipts Batch 25011-04-2012 78 Fund balance entry for fund 223 # 16786 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 93 Fund balance entry for fund 223 # Cash Receipts Batch 23013-04-2012 94 Fund balance entry for fund 223 # Cash Receipts Batch 25013-04-2012 96 Fund balance entry for fund 223 # Cash Receipts Batch 50016-04-2012 110 Fund balance entry for fund 223 # Cash Receipts Batch 25017-04-2012 111 Fund balance entry for fund 223 # Cash Receipts Batch 50017-04-2012 123 Computer Checks Batch 2012 04 00008 129 Fund balance entry for fund 223 # Cash Receipts Batch 25018-04-2012 141 Fund balance entry for fund 223 # Cash Receipts Batch 25019-04-2012 142 Fund balance entry for fund 223 # Cash Receipts Batch 02719-04-2012 152 Fund balance entry for fund 223 # Cash Receipts Batch 02520-04-2012 154 Fund balance entry for fund 223 # Cash Receipts Batch 23020-04-2012 162 Fund balance entry for fund 223 # Cash Receipts Batch 25023-04-2012 171 Fund balance entry for fund 223 # Cash Receipts Batch 02524-04-2012 178 Fund balance entry for fund 223 # Cash Receipts Batch 50025-04-2012 180 Fund balance entry for fund 223 # Cash Receipts Batch 25025-04-2012 182 Fund balance entry for fund 223 # Cash Receipts Batch 02725-04-2012 183 Fund balance entry for fund 223 # Cash Receipts Batch 23025-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Ending Balance Page 514 Account Number Description Budget 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/27/2012 CR 12 4/27/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL PR GL GL GL GL PR GL GL 12 12 12 12 12 12 12 12 12 194 Fund balance entry for fund 223 # 17215 Cash Receipts Batch 25026-04-2012 197 Fund balance entry for fund 223 # 17261 Cash Receipts Batch 25027-04-2012 211 Fund balance entry for fund 223 # 17327 Cash Receipts Batch 25030-04-2012 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 mckinnley sick benefit fica 269 monthly admin costs transfer 280 april fuel 284 april wo entry 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 290 corr receivable balance 295 888 entry backwards 888-000-240231 4/30/2012 4/30/2012 4/30/2012 GL GL GL 888-000-240232 888-000-240223 Totals: Sewage Disposal 12 12 12 0.00 0.00 Beginning Balance 10,959,800.94 266 corr coding march fuel 280 april fuel 292 back out gas entry 888-000-240231 Totals: Storm Water 0.00 0.00 342.12 Debit This Period Credit This Period 21,604.72 0.00 0.00 60.00 0.00 25.00 0.00 50.00 11.25 27,647.84 45.90 3,988.92 12,362.53 15,671.83 2,482.75 1,071.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2,142.00 208,163.43 6,637.93 0.00 407.86 0.00 342.12 0.00 407.86 407.86 749.98 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 2,773.33 8,347.97 0.00 0.00 4/18/2012 4/19/2012 PR CR 12 12 8,885.58 0.00 0.00 40.00 4/26/2012 AP 12 123 Computer Checks Batch 2012 04 00008 143 Fund balance entry for fund 232 # 16997 Cash Receipts Batch 23019-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 5,931.99 0.00 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 PR GL GL PR GL 12 12 12 12 12 261 269 284 288 292 6,247.87 4,777.00 2,198.14 1,014.25 0.00 0.00 0.00 0.00 0.00 2,198.14 40,176.13 2,238.14 Computer Checks Batch 2012 05 00009 monthly admin costs transfer april wo entry Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 corr april work order entry 888-000-240232 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 3,072,287.63 Ending Balance 11,161,326.44 0.00 3,110,225.62 Page 515 Account Number Description 888-000-240270 Budget Tif/cbd Beginning Balance Debit This Period Credit This Period 0.00 4/12/2012 AP 12 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 121,656.25 0.00 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 1,027.54 0.00 4/30/2012 CR 12 4/30/2012 CR 12 285 Fund balance entry for fund 270 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 270 Cash Receipts Batch 50121-04-2012 888-000-240445 Ending Balance # 17789 0.00 2,116.10 # 17800 0.00 2,225.92 122,683.79 4,342.02 0.00 81,225.65 0.00 0.00 13,600.00 1,042,254.40 8,337.70 0.00 7,829.50 0.00 0.00 22,611.35 888-000-240270 Totals: Capital Projects 0.00 0.00 4/3/2012 CR 12 4/5/2012 4/9/2012 AP CR 12 12 4/12/2012 AP 12 4/26/2012 AP 12 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 4/30/2012 GL 12 269 monthly local gas tax split -3,097,465.36 15 Fund balance entry for fund 445 # 16563 Cash Receipts Batch 50003-04-2012 36 Void 53 Fund balance entry for fund 445 # 16709 Cash Receipts Batch 50006-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 -2,979,123.59 888-000-240445 Totals: Municipal Bus 0.00 0.00 964,220.06 16,167.20 1,159,691.40 -179,304.14 888-000-240500 888-000-240500 Totals: School Bus 0.00 0.00 0.00 0.00 0.00 0.00 888-000-240501 0.00 350.00 77,855.19 0.00 0.00 50.00 0.00 953.00 53,136.69 0.00 4/3/2012 CR 12 4/3/2012 4/5/2012 PR CR 12 12 4/11/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 15 Fund balance entry for fund 501 # 16562 Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 37 Fund balance entry for fund 501 # 16636 Cash Receipts Batch 50205-04-2012 69 Fund balance entry for fund 501 # 16769 Cash Receipts Batch 50011-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 94 Fund balance entry for fund 501 Cash Receipts Batch 25013-04-2012 111 Fund balance entry for fund 501 Cash Receipts Batch 50017-04-2012 115 Fund balance entry for fund 501 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16849 0.00 14.00 # 16919 0.00 979.50 # 16957 0.00 1,594.00 Page 516 Account Number Description 4/18/2012 4/18/2012 PR CR 12 12 4/20/2012 CR 12 4/20/2012 CR 12 4/23/2012 CR 12 4/25/2012 CR 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL PR GL GL GL GL CR 12 12 12 12 12 12 12 12 4/30/2012 CR 12 4/30/2012 4/30/2012 PR GL 12 12 888-000-240525 CR 12 4/3/2012 4/4/2012 4/5/2012 PR CH CR 12 12 12 4/9/2012 CR 12 Beginning Balance Cash Receipts Batch 50018-04-2012 123 Computer Checks Batch 2012 04 00008 129 Fund balance entry for fund 501 # 16970 Cash Receipts Batch 25018-04-2012 149 Fund balance entry for fund 501 # 17019 Cash Receipts Batch 50020-04-2012 152 Fund balance entry for fund 501 # 17064 Cash Receipts Batch 02520-04-2012 159 Fund balance entry for fund 501 # 17084 Cash Receipts Batch 50023-04-2012 178 Fund balance entry for fund 501 # 17154 Cash Receipts Batch 50025-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 198 Fund balance entry for fund 501 # 17252 Cash Receipts Batch 50027-04-2012 211 Fund balance entry for fund 501 # 17314 Cash Receipts Batch 25030-04-2012 256 safety clean credit deposited 4/17/12 to wrong account 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 corr coding aflac refund 269 monthly admin costs transfer 280 april fuel 284 april wo entry 285 Fund balance entry for fund 501 # 17790 Cash Receipts Batch 50118-04-2012 286 Fund balance entry for fund 501 # 17802 Cash Receipts Batch 50121-04-2012 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 292 reimb for 1st 2 mo prems/eri people 888-000-240501 Totals: Airport 4/3/2012 Budget 15 Fund balance entry for fund 525 # 16589 Cash Receipts Batch 50003-04-2012 19 Computer Checks Batch 2012 04 00007 27 Electronic AP Checks Batch: 2012-3-5 37 Fund balance entry for fund 525 # 16655 Cash Receipts Batch 50205-04-2012 53 Fund balance entry for fund 525 # 16703 Cash Receipts Batch 50006-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 -2,247,267.94 Debit This Period Credit This Period 42,807.62 0.00 0.00 27.50 0.00 193,265.91 0.00 27.50 0.00 905.35 0.00 686.00 1,485.92 0.00 0.00 570.00 0.00 27.50 263.50 8.00 89,953.80 0.00 5,289.85 29,788.18 27,046.79 0.00 0.00 0.00 0.00 27.83 0.00 0.00 0.00 1,535.27 0.00 1,585.67 8,738.21 1,037.58 0.00 0.00 337,411.33 202,599.03 0.00 1,877.09 2,762.47 552.00 0.00 0.00 0.00 140.00 0.00 4,282.28 Ending Balance -2,112,455.64 Page 517 Account Number Description 4/10/2012 CR 12 4/12/2012 AP 12 4/13/2012 CR 12 4/16/2012 CR 12 4/17/2012 CR 12 4/18/2012 CR 12 4/18/2012 4/19/2012 4/20/2012 PR CH CR 12 12 12 4/23/2012 CR 12 4/26/2012 AP 12 4/27/2012 CR 12 4/30/2012 CR 12 4/30/2012 4/30/2012 4/30/2012 PR PR GL 12 12 12 888-000-240570 Budget Beginning Balance 60 Fund balance entry for fund 525 # 16749 Cash Receipts Batch 50010-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 88 Fund balance entry for fund 525 # 16853 Cash Receipts Batch 50513-04-2012 96 Fund balance entry for fund 525 # 16910 Cash Receipts Batch 50016-04-2012 111 Fund balance entry for fund 525 # 16929 Cash Receipts Batch 50017-04-2012 115 Fund balance entry for fund 525 # 16958 Cash Receipts Batch 50018-04-2012 123 Computer Checks Batch 2012 04 00008 139 Electronic AP Checks Batch: 2012-4-2 149 Fund balance entry for fund 525 # 17025 Cash Receipts Batch 50020-04-2012 159 Fund balance entry for fund 525 # 17078 Cash Receipts Batch 50023-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 198 Fund balance entry for fund 525 # 17269 Cash Receipts Batch 50027-04-2012 205 Fund balance entry for fund 525 # 17296 Cash Receipts Batch 50030-04-2012 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 293 airport postage/wings & wheels 888-000-240525 Totals: Economic Development 19 Computer Checks Batch 2012 04 00007 78 Fund balance entry for fund 570 # 16824 Cash Receipts Batch 50512-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 271,652.04 Debit This Period Credit This Period 0.00 455.00 41,124.63 0.00 0.00 1,598.37 0.00 1,562.53 0.00 355.49 0.00 140.00 2,762.47 633.00 0.00 0.00 0.00 35.00 0.00 3,369.57 18,042.01 0.00 0.00 140.00 0.00 1,508.96 2,762.47 328.86 51.30 0.00 0.00 0.00 69,019.21 15,464.29 6,257.18 0.00 0.00 9,000.00 82.89 0.00 4/3/2012 4/12/2012 PR CR 12 12 4/12/2012 AP 12 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 6,257.18 1,829.07 0.00 0.00 4/30/2012 4/30/2012 4/30/2012 PR GL PR 12 12 12 261 Computer Checks Batch 2012 05 00009 279 april office supplies 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 6,257.18 57.90 624.30 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Ending Balance 325,206.96 Page 518 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 888-000-240570 Totals: Accounts Payable 0.00 0.00 215,819.63 21,365.70 9,000.00 228,185.33 888-000-240677 888-000-240677 Totals: Payroll 0.00 0.00 0.00 0.00 0.00 0.00 888-000-240688 888-000-240688 Totals: Vehicle Maint 0.00 0.00 0.00 0.00 0.00 0.00 888-000-240699 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 24,221.42 40,321.91 0.00 0.00 4/18/2012 4/26/2012 PR AP 12 12 123 Computer Checks Batch 2012 04 00008 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 23,631.52 68,624.29 0.00 0.00 4/27/2012 CR 12 0.00 3,477.76 4/2/2012 4/2/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 4/30/2012 GL GL PR GL GL GL GL GL PR GL GL 12 12 12 12 12 12 12 12 12 12 12 198 Fund balance entry for fund 699 # 17270 Cash Receipts Batch 50027-04-2012 256 safety clean credit 260 april 2012 postage 261 Computer Checks Batch 2012 05 00009 266 work order 888 entry 280 april fuel 280 april fuel 284 april wo entry 284 april wo entry 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 292 corr april work order entry 295 w/o entry april 0.00 3.20 24,857.04 4,121.10 285.37 0.00 7,540.00 0.00 1,724.23 2,198.14 3,238.41 263.50 0.00 0.00 0.00 0.00 62,356.10 0.00 78,721.27 0.00 0.00 0.00 888-000-240700 888-000-240699 Totals: Special Assessments 0.00 0.00 834,835.73 200,766.63 144,818.63 890,783.73 888-000-240700 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 -7,724,678.67 9,027,764.17 9,782,191.74 -8,479,106.24 888-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 519 Account Number Description LIABILITIES Totals: FUND BALANCE 888-000-390100 Fund Balance Beg Year 888-000-390100 Totals: 888-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -7,724,678.67 9,027,764.17 9,782,191.74 -8,479,106.24 0.00 -68,400.19 0.00 0.00 -68,400.19 0.00 -68,400.19 0.00 0.00 -68,400.19 0.00 Page 520 Account Number REVENUE 888-888 888-888-499800 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance FUND BALANCE Totals: 0.00 -68,400.19 0.00 0.00 -68,400.19 Misc Revenue 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 888-888-499800 Totals: 888-888 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 521 Account Number EXPENSE 888-888 888-888-599000 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Misc Expenses 888-888-599000 Totals: 888-888 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 Page 522 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 0.00 0.00 0.00 0.00 0.00 888 Totals: 0.00 0.00 15,414,323.21 15,414,323.21 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 523 Account Number Description 900 ASSETS 900-000-110190 Petty Cash 900-000-110200 900-000-110190 Totals: Operating Account 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/13/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 GL GL GL GL 12 12 12 12 900-000-110201 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 100.00 0.00 0.00 100.00 170,982.00 0.00 23,086.00 0.00 525.00 0.00 525.00 0.00 99.18 0.00 251.75 0.00 491.00 0.00 525.00 0.00 3,827.00 0.00 0.00 0.00 0.00 0.00 39,050.89 35,027.14 41,372.32 882.24 200,311.93 116,332.59 0.00 0.00 0.00 85 City Of Pekin Pekin Police Dept. # 16843 Cash Receipts Batch 76220-04-2012 85 City Of Pekin Pekin Fire Dept. # 16844 Cash Receipts Batch 76220-04-2012 85 Health Premiums City of Pekin Payroll #Ded16845 Cash Receipts Batch 76220-04-2012 85 Health Premiums City of Pekin Payroll #Ded16846 Cash Receipts Batch 76220-04-2012 85 Metlife Health Ins Deduct City of Pekin# Payroll 16847Ded Cash Receipts Batch 76220-04-2012 85 Interest Pekin Community Bank # 16848 Cash Receipts Batch 76220-04-2012 202 Deer Creek Deer Creek Police # 17286 Cash Receipts Batch 76221-04-2012 202 Health Premiums City of Pekin Payroll #Ded17287 Cash Receipts Batch 76221-04-2012 202 Pekin Park District Pekin Park Dis. Police # 17288 Cash Receipts Batch 76221-04-2012 226 ppe 3/31/12 234 a/p 4/13/12 240 ppe 4/14/12 255 a/p 4/27/12 900-000-110200 Totals: Equity In Pooled Cash 0.00 0.00 261,240.87 4/3/2012 4/12/2012 PR AP 12 12 19 Computer Checks Batch 2012 04 00007 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 39,050.89 32,402.14 4/18/2012 4/19/2012 4/26/2012 PR CH AP 12 12 12 123 Computer Checks Batch 2012 04 00008 139 Electronic AP Checks Batch: 2012-4-2 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 0.00 41,372.32 2,625.00 882.24 4/2/2012 4/2/2012 4/2/2012 4/2/2012 GL GL GL GL 12 12 12 12 226 234 240 255 39,050.89 35,027.14 41,372.32 882.24 0.00 0.00 0.00 0.00 ppe 3/31/12 a/p 4/13/12 ppe 4/14/12 a/p 4/27/12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 345,220.21 Page 524 Account Number 4/30/2012 4/30/2012 PR PR Description 12 12 Budget Beginning Balance 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 Debit This Period Credit This Period 0.00 0.00 38,371.25 4,882.05 Ending Balance 900-000-110201 Totals: Savings Account 0.00 0.00 0.00 116,332.59 159,585.89 -43,253.30 900-000-114000 900-000-114000 Totals: Acccounts Receivable 0.00 0.00 0.00 0.00 0.00 0.00 900-000-130100 900-000-130100 Totals: Other Receivables 0.00 0.00 0.00 0.00 0.00 0.00 900-000-132000 900-000-132000 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 900-000-140100 900-000-140100 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 900-000-150500 900-000-150500 Totals: Building Improvements 0.00 0.00 0.00 0.00 0.00 0.00 900-000-150600 900-000-150600 Totals: Electronics & Office Equip 0.00 0.00 44,356.75 0.00 0.00 44,356.75 900-000-151000 900-000-151000 Totals: Machinery And Equipment 0.00 0.00 182,335.66 0.00 0.00 182,335.66 900-000-151500 900-000-151500 Totals: Accum Deprec - Build Impr 0.00 0.00 1,420,602.02 0.00 0.00 1,420,602.02 900-000-155600 900-000-155600 Totals: Accum Deprec - Electronics 0.00 0.00 -11,996.00 0.00 0.00 -11,996.00 900-000-156000 900-000-156000 Totals: Accum Deprec - Mach & Equ 0.00 0.00 -179,247.33 0.00 0.00 -179,247.33 900-000-156500 900-000-156500 Totals: Prepaid Expense 0.00 0.00 -1,270,705.90 0.00 0.00 -1,270,705.90 900-000-180000 900-000-180000 Totals: 0.00 0.00 0.00 0.00 0.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 525 Account Number Description 900-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 446,686.07 316,644.52 275,918.48 487,412.11 Page 526 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 446,686.07 316,644.52 275,918.48 487,412.11 0.00 133.48 ASSETS Totals: LIABILITIES 900-000-211000 4/30/2012 PR Accrued Wages 12 0.00 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-000-211000 Totals: Loans Payable-city 0.00 0.00 0.00 0.00 133.48 -133.48 900-000-218500 900-000-218500 Totals: Loans Payable-taz County 0.00 0.00 0.00 0.00 0.00 0.00 900-000-218600 900-000-218600 Totals: Accounts Payable 0.00 0.00 0.00 0.00 0.00 0.00 900-000-219000 4/12/2012 4/12/2012 AP AP 12 12 79 AP Invoice Batch 00002-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 32,402.14 35,027.14 0.00 4/19/2012 4/26/2012 4/26/2012 CH AP AP 12 12 12 139 Electronic AP Checks Batch: 2012-4-2 184 AP Invoice Batch 00005-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 2,625.00 0.00 882.24 0.00 882.24 0.00 4/30/2012 AP 12 276 AP Invoice Batch 00009-04-2012 0.00 8,551.32 900-000-219000 Totals: Deferred Revenues End-of- 0.00 0.00 -750.00 35,909.38 44,460.70 -9,301.32 900-000-219300 900-000-219300 Totals: Payments In Advance 0.00 0.00 0.00 0.00 0.00 0.00 900-000-219600 900-000-219600 Totals: Lease / Purchase Payable 0.00 0.00 0.00 0.00 0.00 0.00 900-000-219700 900-000-219700 Totals: Due To General Fund 0.00 0.00 0.00 0.00 0.00 0.00 900-000-220100 900-000-220100 Totals: Due To Accounts Payable 0.00 0.00 0.00 0.00 0.00 0.00 900-000-220677 900-000-220677 Totals: Due To Payroll Imprest 0.00 0.00 0.00 0.00 0.00 0.00 900-000-220688 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 527 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 900-000-220688 Totals: Lease/purchase Payable 0.00 0.00 0.00 0.00 0.00 0.00 900-000-287000 900-000-287000 Totals: Retained Earnings 0.00 0.00 0.00 0.00 0.00 0.00 900-000-290200 900-000-290200 Totals: 0.00 -208,549.20 0.00 0.00 -208,549.20 0.00 -209,299.20 35,909.38 44,594.18 -217,984.00 900-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 528 Account Number Description LIABILITIES Totals: FUND BALANCE 900-000-390100 Fund Balance Beg Year 900-000-390100 Totals: 900-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -209,299.20 35,909.38 44,594.18 -217,984.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Page 529 Account Number Description FUND BALANCE Totals: REVENUE 900-762 900-762-438100 TPCC City Of Pekin Contribution 4/13/2012 CR 12 4/13/2012 CR 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 0.00 0.00 0.00 0.00 738,264.00 85 City Of Pekin Pekin Police Dept. Cash Receipts Batch 76220-04-2012 85 City Of Pekin Pekin Fire Dept. Cash Receipts Batch 76220-04-2012 # 16843 0.00 170,982.00 # 16844 0.00 23,086.00 900-762-438100 Totals: Tazewell County Contribut Var: -195,108.00 738,264.00 401,464.00 -739,304.00 0.00 194,068.00 -933,372.00 900-762-438200 900-762-438200 Totals: State Grants Var: -11,424.00 401,464.00 0.00 -412,888.00 0.00 0.00 -412,888.00 900-762-442600 900-762-442600 Totals: Premiums Var: -2,016.15 0.00 14,000.00 -2,016.15 0.00 0.00 -2,016.15 900-762-450500 0.00 525.00 0.00 525.00 0.00 525.00 4/13/2012 CR 12 4/13/2012 CR 12 4/30/2012 CR 12 85 Health Premiums City of Pekin Payroll #Ded16845 Cash Receipts Batch 76220-04-2012 85 Health Premiums City of Pekin Payroll #Ded16846 Cash Receipts Batch 76220-04-2012 202 Health Premiums City of Pekin Payroll #Ded17287 Cash Receipts Batch 76221-04-2012 900-762-457100 900-762-450500 Totals: Var: 1,915.00 911 Equipment Reimburseme 14,000.00 0.00 -10,510.00 0.00 1,575.00 -12,085.00 900-762-457200 900-762-457100 Totals: 911 Expense Reimbursement 0.00 0.00 0.00 0.00 0.00 0.00 900-762-458001 900-762-457200 Totals: North Pekin Var: -2,186.14 0.00 25,182.00 -2,186.14 0.00 0.00 -2,186.14 900-762-458002 900-762-458001 Totals: Green Valley Var: 114.00 25,182.00 9,643.00 -25,068.00 0.00 0.00 -25,068.00 900-762-458002 Totals: Armington Var: -269.00 9,643.00 1,407.00 -9,912.00 0.00 0.00 -9,912.00 900-762-458003 900-762-458003 Totals: Mackinaw Var: -9.00 1,407.00 24,874.00 -1,416.00 0.00 0.00 -1,416.00 900-762-458004 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 530 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 900-762-458004 Totals: Tremont Var: -6,762.00 24,874.00 40,375.00 -31,636.00 0.00 0.00 -31,636.00 900-762-458005 900-762-458005 Totals: Deer Creek Var: 1,539.00 40,375.00 5,736.00 -38,836.00 0.00 0.00 -38,836.00 900-762-458006 0.00 491.00 4/30/2012 CR 12 202 Deer Creek Deer Creek Police Cash Receipts Batch 76221-04-2012 # 17286 900-762-458006 Totals: South Pekin Var: -156.00 5,736.00 20,814.00 -5,401.00 0.00 491.00 -5,892.00 900-762-458008 900-762-458008 Totals: Village Of Hopedale Var: 1,642.00 20,814.00 13,517.00 -19,172.00 0.00 0.00 -19,172.00 900-762-458009 900-762-458009 Totals: Marquette Heights Var: -3,711.00 13,517.00 48,668.00 -17,228.00 0.00 0.00 -17,228.00 900-762-458010 900-762-458010 Totals: Minier Var: -1,144.00 48,668.00 26,989.00 -49,812.00 0.00 0.00 -49,812.00 900-762-458011 900-762-458011 Totals: Delavan Var: 5,501.00 26,989.00 39,098.00 -21,488.00 0.00 0.00 -21,488.00 900-762-458012 900-762-458012 Totals: Tremont Rescue 702 Var: 898.00 39,098.00 11,253.00 -38,200.00 0.00 0.00 -38,200.00 900-762-458014 900-762-458014 Totals: Schaeferville F.d. Var: 301.00 11,253.00 2,511.00 -10,952.00 0.00 0.00 -10,952.00 900-762-458015 900-762-458015 Totals: Advanced Medical Transpor Var: 39.00 2,511.00 44,000.00 -2,472.00 0.00 0.00 -2,472.00 900-762-458016 900-762-458016 Totals: Pekin Park District Var: 368.00 44,000.00 15,175.00 -43,632.00 0.00 0.00 -43,632.00 900-762-458101 0.00 3,827.00 0.00 3,827.00 4/30/2012 CR 900-762-458103 12 202 Pekin Park District Pekin Park Dis. Police # 17288 Cash Receipts Batch 76221-04-2012 900-762-458101 Totals: Pekin Comm High School; GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -133.00 15,175.00 0.00 -11,481.00 -15,308.00 Page 531 Account Number Description 900-762-458104 900-762-458103 Totals: Cincinatti Twp Fire Dept 900-762-458200 900-762-458104 Totals: Protection Alarms 900-762-458300 900-762-458200 Totals: Agency Contr. / Radios 900-762-490100 900-762-458300 Totals: Interest Earnings 4/13/2012 CR 12 Var: -6.00 85 Interest Pekin Community Bank Cash Receipts Batch 76220-04-2012 # Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 5,634.00 0.00 0.00 0.00 0.00 5,634.00 0.00 -5,640.00 0.00 0.00 -5,640.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 0.00 251.75 16848 900-762-490100 Totals: Miscellaneous Receipts Var: -648.85 1,500.00 1,500.00 -1,897.10 0.00 251.75 -2,148.85 900-762-499800 900-762-499800 Totals: Cash Over/short Var: -8,175.79 1,500.00 0.00 -9,675.79 0.00 0.00 -9,675.79 900-762-499802 0.00 0.00 0.00 0.00 0.00 1,491,604.00 -1,510,823.18 0.00 200,212.75 -1,711,035.93 900-762-499802 Totals: 900-762 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 532 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,491,604.00 -1,510,823.18 0.00 200,212.75 -1,711,035.93 27,009.44 0.00 25,770.30 26,123.25 3,954.29 0.00 0.00 0.00 82,857.28 0.00 2,041.99 1,392.24 1,220.20 0.00 0.00 0.00 4,654.43 0.00 2,612.42 2,363.12 2,547.62 194.82 0.00 0.00 0.00 0.00 7,717.98 0.00 2,468.24 3,165.92 3,922.00 159.68 0.00 0.00 0.00 0.00 9,715.84 0.00 3,746.72 0.00 3,746.72 0.00 730.92 459.36 419.04 162.72 0.00 0.00 0.00 0.00 EXPENSE 900-762 900-762-511600 TPCC Salary: All Personnel 4/3/2012 PR 12 4/18/2012 4/30/2012 4/30/2012 PR PR PR 12 12 12 900-762-512100 4/3/2012 4/18/2012 4/30/2012 PR PR PR 900-762-515000 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 900-762-515500 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 900-762-515600 4/18/2012 PR 900-762-515800 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 288 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-511600 Totals: Part Time 12 12 12 19 123 261 288 19 123 261 288 Var: 51,743.10 68,000.00 33,000.00 11,602.47 Var: -3,372.34 33,000.00 0.00 28,654.36 Var: -60,142.96 0.00 37,000.00 50,427.12 123 Computer Checks Batch 2012 04 00008 900-762-515600 Totals: Sick Pay 12 12 12 12 629,778.09 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-515500 Totals: Holiday Pay 12 759,500.00 68,000.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-515000 Totals: Vacation Pay 12 12 12 12 Var: 46,864.63 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 900-762-512100 Totals: Overtime 12 12 12 12 759,500.00 19 Computer Checks Batch 2012 04 00007 19 123 261 288 Var: -6,153.29 37,000.00 0.00 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 39,406.57 712,635.37 16,256.90 36,372.34 60,142.96 43,153.29 Page 533 Account Number Description 900-762-515900 900-762-515800 Totals: Injury Pay 900-762-517000 900-762-515900 Totals: Oasdi/city Share 6.2% 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 900-762-517001 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 900-762-517401 4/3/2012 4/18/2012 4/30/2012 4/30/2012 PR PR PR PR 900-762-518000 12 12 12 12 19 123 261 288 19 123 261 288 19 123 261 288 AP 12 4/12/2012 AP 12 4/13/2012 CR 12 Credit This Period Ending Balance 0.00 0.00 10,043.38 1,772.04 0.00 11,815.42 0.00 53,050.00 0.00 0.00 0.00 0.00 2,128.94 2,255.11 2,089.84 272.43 0.00 0.00 0.00 0.00 6,746.32 0.00 497.90 527.40 488.75 63.72 0.00 0.00 0.00 0.00 1,577.77 0.00 1,561.04 1,692.15 1,560.55 207.87 0.00 0.00 0.00 0.00 5,021.61 0.00 Ck# 106643 255.20 0.00 Ck# 106648 22,245.45 0.00 0.00 99.18 Var: -11,815.42 Var: -744.65 53,050.00 12,400.00 47,048.33 Var: -180.91 12,400.00 70,000.00 11,003.14 Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-517401 Totals: Group Insurance 4/12/2012 Debit This Period Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-517001 Totals: Imrf 12 12 12 12 Beginning Balance Computer Checks Batch 2012 04 00007 Computer Checks Batch 2012 04 00008 Computer Checks Batch 2012 05 00009 Reverse JE# 150 Reverse JE# 112 Computer Checks Batch 2012 05 00010 900-762-517000 Totals: Medicare/city Share 1.45% 12 12 12 12 Budget Var: 39,829.86 79 10239 - Guardian-Appleton april life insurance premium - tpccc 79 10256 - Healthcare Service Corp april health premium - tpccc 85 Cash Receipts Batch 76220.04.2012 900-762-518000 Totals: Liability Insurance Packa Var: 25,086.03 900-762-518100 900-762-518200 900-762-518100 Totals: Unemployment Insurance 900-762-518300 900-762-518200 Totals: Workers Comp Insurance GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 70,000.00 290,000.00 25,148.53 53,794.65 12,580.91 30,170.14 290,000.00 9,700.00 242,512.50 22,500.65 99.18 264,913.97 Var: 1,049.63 9,700.00 100.00 8,650.37 0.00 0.00 8,650.37 Var: 100.00 100.00 4,500.00 0.00 0.00 0.00 0.00 Page 534 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 900-762-518300 Totals: Mileage Var: 2,476.37 4,500.00 1,500.00 2,023.63 0.00 0.00 2,023.63 900-762-518700 900-762-518700 Totals: Training And Education Var: 380.12 1,500.00 7,500.00 1,119.88 0.00 0.00 1,119.88 900-762-519000 127.50 0.00 127.50 0.00 401.12 0.00 370.00 0.00 1,026.12 0.00 1,875.00 0.00 1,875.00 0.00 Ck# 106747 7.87 0.00 Ck# 107233 163.11 0.00 Ck# 107233 67.98 0.00 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 900-762-520100 4/12/2012 AP 900-762-520200 4/12/2012 AP 79 10502 - Josh Peterson Ck# 106712 cpr training - tpccc 79 10742 - Trent Reeise Ck# 106720 cpr training - tpccc 79 11433 - Visa (business) Ck# 106747 APCO National conference and meals - tpccc 79 11433 - Visa (business) Ck# 106747 APCO national conference/conover - tpccc 900-762-519000 Totals: Transfer To General Fund 12 Var: -2,060.26 4/30/2012 AP 12 4/30/2012 AP 12 79 11433 - Visa (business) office supplies - tpccc 276 10706 - Will Harms Co office supplies - tpccc 276 10706 - Will Harms Co office supplies - tpccc 7,500.00 2,700.00 900-762-520200 Totals: Postage Var: 7.99 900-762-520400 900-762-522400 900-762-520400 Totals: General Supplies 900-762-524000 900-762-522400 Totals: Lease/rental Of Equipment 4/12/2012 AP 900-762-529000 12 8,534.14 79 10220 - General Fund Ck# 0 4th quarter of fy 2012 accounting fees - tpccc 900-762-520100 Totals: Office Supplies 12 7,500.00 7,500.00 5,625.00 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 7,500.00 2,700.00 500.00 2,453.05 238.96 0.00 2,692.01 Var: 404.72 500.00 800.00 95.28 0.00 0.00 95.28 Var: 235.10 800.00 1,200.00 564.90 0.00 0.00 564.90 98.54 0.00 98.54 0.00 79 10938 - Lease Consultants CorporationCk# 106676 copier lease - tpccc 900-762-524000 Totals: Equipment 9,560.26 Var: -15.61 1,200.00 8,000.00 1,117.07 1,215.61 Page 535 Account Number Description 900-762-534000 900-762-529000 Totals: Automotive Expense 900-762-534200 900-762-534000 Totals: Building & Grounds Repairs 4/12/2012 AP 900-762-534400 4/12/2012 AP 900-762-538000 4/26/2012 AP 900-762-550100 12 79 10379 - Lincoln Office LLC carpet maintenance - tpccc 900-762-534200 Totals: Equipment Repairs 12 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 900-762-550100 Totals: Illinois Bell / Tower Ren 900-762-550300 900-762-550200 Totals: Telephone AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 Credit This Period Ending Balance 8,000.00 0.00 8,490.35 0.00 0.00 8,490.35 0.00 0.00 0.00 0.00 0.00 0.00 401.80 0.00 Var: -533.93 401.80 0.00 90.00 0.00 90.00 0.00 64.93 0.00 64.93 0.00 30.70 0.00 587.95 0.00 200.07 0.00 106.84 0.00 0.00 9,000.00 132.13 Ck# 106717 Var: 6,017.28 9,000.00 200.00 2,892.72 Var: -6.51 200.00 14,500.00 141.58 79 10021 - Amerencilco Ck# 106584 elec. at 1411 elmgrove tw - tpccc 79 10590 - Noble Americas Energy Solutions Ck# 106697 electric service/physical - 1411 elmgrove&1130 koch unit a - tpc 184 10021 - Amerencilco Ck# 106797 gas & elec 1130 koch st unit a - tpccc 184 10130 - Corn Belt Energy Corp Ck# 106828 power at delavan tower - tpccc 900-762-550200 4/12/2012 Debit This Period 184 10023 - American Business Systems Ck# 106798 copier maintenance - tpccc 900-762-538000 Totals: Utilities 4/12/2012 Beginning Balance Ck# 106680 79 10533 - Ragan Communications Inc portable repair - tpccc 900-762-534400 Totals: Maintenance Agreements 12 Var: -490.35 Budget Var: 2,235.32 79 10002 - AT&T radio circuit - tpccc 79 10002 - AT&T radio circuit - tpccc 79 10004 - AT&T Capital Services electronic switch boxes - tpccc 79 10685 - Verizon Wireless GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 533.93 2,982.72 206.51 14,500.00 0.00 11,339.12 925.56 0.00 12,264.68 0.00 64,000.00 0.00 0.00 0.00 0.00 Ck# 106588 162.55 0.00 Ck# 106588 174.22 0.00 Ck# 106590 532.99 0.00 Ck# 106746 229.37 0.00 Page 536 Account Number Description 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget cell phones for thompson/conover & cache phones - tpccc 79 10774 - AT&T Ck# 106589 radio circuits - tpccc 79 11051 - Frontier Ck# 106635 radio circuits - tpccc 184 10003 - AT&T Ck# 106800 800 # for tpccc 184 11051 - Frontier Ck# 106849 radio circuts - tpccc 276 10002 - AT&T Ck# 107063 radio circuits - tpccc 276 10002 - AT&T Ck# 107063 radio circuits - tpccc 276 10111 - CenturyLink Ck# 107088 dial out/fax lines - tpccc 276 10774 - AT&T Ck# 107064 radio circuts - tpccc 900-762-550300 Totals: Printing And Publications Var: -24,586.09 900-762-551000 900-762-551000 Totals: Dues And Subscriptions Var: 506.17 900-762-551600 4/12/2012 AP 12 4/30/2012 AP 12 900-762-554200 4/12/2012 AP 900-762-555000 4/12/2012 AP 900-762-556100 79 10651 - Steve Thompson 1/2 of rotary dues/thompson - tpccc 276 10416 - Telvent DTN weather radar - tpccc 900-762-551600 Totals: Mealslodging 12 5,846.64 0.00 145.99 0.00 124.85 0.00 145.99 0.00 177.55 0.00 189.22 0.00 122.18 0.00 5,821.98 0.00 Ending Balance 13,673.53 0.00 88,586.09 750.00 2,500.00 243.83 0.00 0.00 243.83 Ck# 106738 72.75 0.00 Ck# 107213 501.00 0.00 573.75 0.00 175.22 0.00 175.22 0.00 117.52 0.00 2,500.00 300.00 2,414.93 Ck# 106747 300.00 1,600.00 537.83 Ck# 106717 900-762-555000 Totals: Gasoline/diesel Fuel Var: 271.12 900-762-556100 Totals: Var: 82.42 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Credit This Period 74,912.56 Var: -413.05 79 10533 - Ragan Communications Inc monthly smr charges - tpccc Debit This Period 64,000.00 750.00 Var: -488.68 79 11433 - Visa (business) 9-1-1 goes to springfield - tpccc 900-762-554200 Totals: Radio Expense 12 Beginning Balance 2,988.68 713.05 1,600.00 800.00 1,211.36 117.52 0.00 1,328.88 800.00 717.58 0.00 0.00 717.58 Page 537 Account Number Description 900-762-559000 4/26/2012 AP Medical Expense/supplies 12 900-762-559000 Totals: Consulting Fees 900-762-561000 900-762-560500 Totals: Legal Fees 900-762-561200 900-762-561000 Totals: Engineering Fees 900-762-565000 900-762-561200 Totals: Leads Service 900-762-566800 900-762-565000 Totals: Rental Municipal Property AP 900-762-569000 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/12/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Ck# 106854 Var: 95.75 Credit This Period 167.15 0.00 Ending Balance 337.10 167.15 0.00 504.25 0.00 5,000.00 0.00 0.00 0.00 0.00 5,000.00 0.00 601.80 0.00 0.00 601.80 0.00 3,500.00 0.00 0.00 0.00 0.00 3,500.00 12,000.00 0.00 0.00 0.00 0.00 750.00 0.00 750.00 0.00 Ck# 106592 49.59 0.00 Ck# 106592 49.59 0.00 Ck# 106612 30.71 0.00 Ck# 106612 30.71 0.00 Ck# 106612 30.71 0.00 Ck# 106802 41.70 0.00 Ck# 106819 30.71 0.00 Ck# 107066 49.59 0.00 Ck# 107089 30.71 0.00 Var: 3,500.00 Ck# 0 Var: 1,500.00 79 10032 - AUCA Rockford (Aramark) mat service - tpccc 79 10032 - AUCA Rockford (Aramark) mat service - tpccc 79 10115 - CINTAS Uniforms mat service - tpccc 79 10115 - CINTAS Uniforms mat service - tpccc 79 10115 - CINTAS Uniforms mat service - tpccc 184 10032 - AUCA Rockford (Aramark) mats at tpccc 184 10115 - CINTAS Uniforms mat service - tpccc 276 10032 - AUCA Rockford (Aramark) mat service - tpccc 276 10115 - CINTAS Uniforms mat service - tpccc GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period 600.00 0.00 Var: 4,398.20 79 10220 - General Fund rent for march 2012 - tpccc 900-762-566800 Totals: Other Contractual Service Beginning Balance 600.00 184 10223 - Getz Fire Equipment 1st aid box restocked - tpccc 900-762-560500 4/12/2012 Budget 12,000.00 3,400.00 9,750.00 10,500.00 Page 538 Account Number Description Beginning Balance Debit This Period Credit This Period Ending Balance 3,400.00 0.00 3,653.27 344.02 0.00 3,997.29 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,884.20 0.00 0.00 1,884.20 900-762-580400 900-762-569000 Totals: Building Purchase/constru 900-762-580401 900-762-580400 Totals: Building Repair 900-762-587001 900-762-580401 Totals: Lease / Purchase Equipmen 900-762-587001 Totals: Office Equipment And Furn 0.00 0.00 0.00 0.00 0.00 0.00 900-762-587100 900-762-587100 Totals: Interest Paid 0.00 0.00 0.00 0.00 0.00 0.00 900-762-590400 900-762-590400 Totals: Bank Charges 0.00 0.00 0.00 0.00 0.00 0.00 900-762-590600 900-762-590600 Totals: Loan Payments 0.00 0.00 0.00 0.00 0.00 0.00 900-762-591400 900-762-591400 Totals: Polygraph Exam 0.00 0.00 0.00 0.00 0.00 0.00 900-762-592800 900-762-592800 Totals: Suits And Damages Var: -740.00 0.00 0.00 740.00 0.00 0.00 740.00 900-762-593000 900-762-593000 Totals: Public Relations Var: -3,000.00 0.00 1,000.00 3,000.00 0.00 0.00 3,000.00 900-762-598100 900-762-598100 Totals: Miscellaneous Var: -672.74 1,000.00 500.00 1,672.74 0.00 0.00 1,672.74 900-762-599000 9.95 0.00 9.95 0.00 1,428.00 0.00 4/12/2012 AP 900-762-599801 4/30/2012 AP 12 79 11073 - Comcast Cable computer boxes - tpccc 900-762-599000 Totals: Computer Software 12 276 11659 - Kronos telestaff - tpccc GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Var: -597.29 Budget Var: -1,884.20 Ck# 106616 Var: 145.13 Ck# 107140 500.00 600.00 344.92 354.87 Page 539 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 900-762-599801 Totals: Computer Hardware Var: -21,704.48 600.00 2,000.00 20,876.48 1,428.00 0.00 22,304.48 900-762-599802 900-762-599802 Totals: Depreciation Expense Var: 266.00 2,000.00 0.00 1,734.00 0.00 0.00 1,734.00 900-762-599900 0.00 0.00 0.00 0.00 0.00 1,489,200.00 1,273,436.31 168,270.69 99.18 1,441,607.82 900-762-599900 Totals: 900-762 EXPENSE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 540 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance EXPENSE Totals: 1,489,200.00 1,273,436.31 168,270.69 99.18 1,441,607.82 2,404.00 0.00 520,824.59 520,824.59 0.00 900 Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 541 Account Number Description 924 ASSETS 924-000-110100 Petty Cash - Administratn 924-000-110200 Budget CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 32 Fax Fee library Cash Receipts Batch 28121-04-2012 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 32 Non- Resident Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Copy Machines library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 32 Fax Fee library Cash Receipts Batch 28121-04-2012 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 32 Lost And Damaged Books library Cash Receipts Batch 28121-04-2012 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Staff Sales library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period Ending Balance 125.00 0.00 0.00 125.00 0.00 924-000-110100 Totals: Operating Account 4/5/2012 Beginning Balance 0.00 0.00 # 16640 40.60 0.00 # 16641 8.20 0.00 # 16641 29.00 0.00 # 16641 6.00 0.00 # 16641 7.40 0.00 # 16641 1.50 0.00 # 16641 126.00 0.00 # 16641 0.70 0.00 # 16642 67.45 0.00 # 16643 77.27 0.00 # 16643 26.20 0.00 # 16643 12.50 0.00 # 16643 5.00 0.00 # 16643 36.90 0.00 # 16643 4.50 0.00 # 16643 9.50 0.00 # 16643 35.30 0.00 # 16644 1.00 0.00 Page 542 Account Number Description 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 32 Fax Fee library Cash Receipts Batch 28121-04-2012 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 32 Non- Resident Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Staff Sales library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16645 10.30 0.00 # 16646 69.20 0.00 # 16646 39.15 0.00 # 16646 13.00 0.00 # 16646 28.20 0.00 # 16646 3.50 0.00 # 16646 63.00 0.00 # 16646 2.00 0.00 # 16646 9.58 0.00 # 16647 55.57 0.00 # 16790 22.70 0.00 # 16791 25.60 0.00 # 16791 59.65 0.00 # 16791 17.00 0.00 # 16791 20.70 0.00 # 16791 10.65 0.00 # 16791 1.40 0.00 # 16792 38.00 0.00 # 16792 24.20 0.00 # 16792 2.00 0.00 # 16792 1.00 0.00 Ending Balance Page 543 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Non- Resident Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Room Use Fees library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Copy Machines library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16792 57.00 0.00 # 16792 63.00 0.00 # 16792 1.20 0.00 # 16792 20.00 0.00 # 16793 32.80 0.00 # 16793 21.20 0.00 # 16793 15.00 0.00 # 16793 5.00 0.00 # 16793 26.50 0.00 # 16793 9.80 0.00 # 16794 40.00 0.00 # 16795 30.95 0.00 # 16795 45.00 0.00 # 16795 7.00 0.00 # 16795 26.00 0.00 # 16795 4.50 0.00 # 16795 15.50 0.00 # 16796 68.75 0.00 # 16797 26.80 0.00 # 16798 88.36 0.00 # 16799 39.10 0.00 Ending Balance Page 544 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Lost And Damaged Books library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Room Use Fees library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16799 36.10 0.00 # 16799 16.00 0.00 # 16799 3.10 0.00 # 16799 98.80 0.00 # 16799 3.00 0.00 # 16799 1.00 0.00 # 16800 8.60 0.00 # 16801 44.35 0.00 # 16946 21.38 0.00 # 16946 23.55 0.00 # 16946 5.00 0.00 # 16946 1.10 0.00 # 16946 37.50 0.00 # 16946 1.60 0.00 # 16946 240.00 0.00 # 16947 14.95 0.00 # 16947 30.15 0.00 # 16947 10.00 0.00 # 16947 2.50 0.00 # 16947 4.30 0.00 # 16948 7.00 0.00 Ending Balance Page 545 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Lost And Damaged Books library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Lost And Damaged Books library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Staff Sales library Cash Receipts Batch 28126-04-2012 113 Copy Machines library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16949 18.10 0.00 # 16949 22.30 0.00 # 16949 7.00 0.00 # 16949 2.00 0.00 # 16949 29.95 0.00 # 16949 52.00 0.00 # 16949 0.90 0.00 # 16950 46.80 0.00 # 16951 22.90 0.00 # 16952 32.30 0.00 # 16952 27.50 0.00 # 16952 24.00 0.00 # 16952 19.00 0.00 # 16952 5.00 0.00 # 16952 7.50 0.00 # 16952 3.50 0.00 # 16952 86.22 0.00 # 16953 71.00 0.00 # 16954 37.70 0.00 # 16954 34.95 0.00 # 16954 7.20 0.00 Ending Balance Page 546 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Room Use Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16954 4.50 0.00 # 16954 2.00 0.00 # 16954 6.40 0.00 # 16955 2.50 0.00 # 17216 3.60 0.00 # 17217 21.60 0.00 # 17217 16.10 0.00 # 17217 16.00 0.00 # 17217 35.00 0.00 # 17217 3.00 0.00 # 17217 40.00 0.00 # 17218 78.85 0.00 # 17219 16.75 0.00 # 17219 15.85 0.00 # 17219 8.00 0.00 # 17219 4.00 0.00 # 17219 0.80 0.00 # 17220 6.05 0.00 # 17220 5.20 0.00 # 17220 5.00 0.00 # 17220 0.40 0.00 Ending Balance Page 547 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 185 Lost And Damaged Books library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Lost And Damaged Books library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Non- Resident Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Staff Sales library Cash Receipts Batch 28132-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 17220 5.00 0.00 # 17220 3.00 0.00 # 17220 0.90 0.00 # 17221 3.10 0.00 # 17222 28.70 0.00 # 17222 26.70 0.00 # 17222 4.00 0.00 # 17222 1.80 0.00 # 17222 26.00 0.00 # 17222 50.50 0.00 # 17223 46.00 0.00 # 17224 49.25 0.00 # 17225 40.60 0.00 # 17225 18.30 0.00 # 17225 12.00 0.00 # 17225 2.30 0.00 # 17225 19.95 0.00 # 17225 9.50 0.00 # 17225 63.00 0.00 # 17225 1.50 0.00 # 17225 14.99 0.00 Ending Balance Page 548 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Copy Machines library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Fax Fee library Cash Receipts Batch 28135-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 17226 27.07 0.00 # 17226 26.50 0.00 # 17226 9.00 0.00 # 17226 16.75 0.00 # 17226 79.50 0.00 # 17226 2.30 0.00 # 17227 9.10 0.00 # 17229 116.65 0.00 # 17230 13.10 0.00 # 17231 18.00 0.00 # 17231 14.70 0.00 # 17231 6.00 0.00 # 17231 28.00 0.00 # 17231 0.60 0.00 # 17356 54.80 0.00 # 17356 11.05 0.00 # 17356 4.00 0.00 # 17356 6.30 0.00 # 17356 5.50 0.00 # 17356 0.60 0.00 # 17357 13.90 0.00 Ending Balance Page 549 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Fax Fee library Cash Receipts Batch 28135-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Fax Fee library Cash Receipts Batch 28135-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Room Use Fees library Cash Receipts Batch 28135-04-2012 213 Staff Sales library Cash Receipts Batch 28135-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 17358 90.40 0.00 # 17359 34.15 0.00 # 17359 55.00 0.00 # 17359 7.00 0.00 # 17359 2.20 0.00 # 17359 1.50 0.00 # 17359 3.60 0.00 # 17360 28.90 0.00 # 17361 31.80 0.00 # 17361 72.30 0.00 # 17361 52.50 0.00 # 17362 29.05 0.00 # 17363 18.40 0.00 # 17364 23.80 0.00 # 17364 37.05 0.00 # 17364 10.20 0.00 # 17364 9.30 0.00 # 17364 77.50 0.00 # 17364 3.08 0.00 # 17364 20.00 0.00 # 17364 36.90 0.00 Ending Balance Page 550 Account Number 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 GL GL GL GL GL GL GL 924-000-110201 Description 12 12 12 12 12 12 12 228 229 229 233 239 254 259 Budget Beginning Balance library mp's 4-5-12 account fees/library account fees/library library mp's 4/12/12 library mp's 4/18/12 library mp's 4/26/12 library mp's 4/30/12 924-000-110200 Totals: Equity In Pooled Cash 0.00 0.00 10,904.08 Debit This Period Credit This Period 0.00 0.00 0.00 0.00 0.00 0.00 0.00 346.80 40.00 7.95 890.19 2,363.83 2,051.33 4,432.71 4,649.42 10,132.81 4/3/2012 4/5/2012 4/12/2012 4/12/2012 PR AP AP AP 12 12 12 12 19 35 77 80 Computer Checks Batch 2012 04 00007 AP Manual Cks 3533-3536, 04/02/2012 AP Manual Cks 3526-3535, 04/12/2012 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 0.00 0.00 0.00 28,945.66 346.80 890.19 11,104.02 4/18/2012 4/18/2012 4/26/2012 4/26/2012 AP PR AP AP 12 12 12 12 122 123 188 189 AP Manual Cks 3532-4248, 04/18/2012 Computer Checks Batch 2012 04 00008 AP Manual Cks 3545-3557, 04/25/2012 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 0.00 0.00 0.00 6,778.65 28,378.23 2,051.33 24,223.20 4/30/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/30/2012 AP GL GL GL GL GL GL GL GL PR 12 12 12 12 12 12 12 12 12 12 216 226 228 233 234 239 240 254 259 261 AP Manual Cks 3528-3555, 04/30/2012 ppe 3/31/12 library mp's 4-5-12 library mp's 4/12/12 a/p 4/13/12 library mp's 4/18/12 ppe 4/14/12 library mp's 4/26/12 library mp's 4/30/12 Computer Checks Batch 2012 05 00009 0.00 28,945.66 346.80 890.19 11,104.02 6,778.65 28,378.23 2,051.33 4,432.71 0.00 4,432.71 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 28,886.81 Ending Balance 5,420.69 924-000-110201 Totals: Cash - Escrow Acct 0.00 0.00 0.00 82,927.59 136,037.60 -53,110.01 924-000-110202 924-000-110202 Totals: Iptip / Gift Fund 0.00 0.00 0.00 0.00 0.00 0.00 924-000-114100 14.51 0.00 14.51 0.00 4/12/2012 CR 924-000-114200 12 74 Edowment Int (141.00) library Cash Receipts Batch 28123-04-2012 924-000-114100 Totals: Goldsmith Endowment Fund GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16789 0.00 0.00 17,142.07 17,156.58 Page 551 Account Number 4/12/2012 CR 924-000-114300 4/12/2012 CR 924-000-114500 Description 12 # 12 74 Endowment Int(143.00) library Cash Receipts Batch 28123-04-2012 0.00 0.00 # 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 4/2/2012 4/2/2012 4/2/2012 GL GL GL GL GL 12 12 12 12 12 7,013.05 16789 924-000-114300 Totals: Iptip CR Beginning Balance 16789 924-000-114200 Totals: Adult Endowment Fund 4/12/2012 924-000-114600 74 Endowment Int (142) library Cash Receipts Batch 28123-04-2012 Budget 0.00 0.00 67,051.40 74 Interest (145) library # 16789 Cash Receipts Batch 28123-04-2012 121 Gifts & Memorials (145) library # 16975 Cash Receipts Batch 28131-04-2012 121 Personal Property Repl Tx library # 16976 Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library # 16976 Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library # 16977 Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library # 16978 Cash Receipts Batch 28131-04-2012 187 Gifts & Memorials (145) library # 17239 Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library # 17240 Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library # 17241 Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library # 17242 Cash Receipts Batch 28134-04-2012 215 Gifts & Memorials (145) library # 17370 Cash Receipts Batch 28137-04-2012 215 Gifts & Memorials (145) library # 17371 Cash Receipts Batch 28137-04-2012 226 ppe 3/31/12 234 a/p 4/13/12 239 library mp's 4/18/12 240 ppe 4/14/12 244 wire transfer of funds from e pay to general fund 924-000-114500 Totals: Capital Maintenance GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 108,705.06 Debit This Period Credit This Period 5.94 0.00 5.94 0.00 56.76 0.00 56.76 0.00 136.60 0.00 125.00 0.00 3,910.04 0.00 1,300.00 0.00 600.00 0.00 185.00 0.00 125.00 0.00 5,650.00 0.00 250.00 0.00 305.00 0.00 75.00 0.00 200.00 0.00 0.00 0.00 0.00 0.00 3,000.00 28,945.66 11,104.02 4,414.82 28,378.23 0.00 15,861.64 72,842.73 Ending Balance 7,018.99 67,108.16 51,723.97 Page 552 Account Number 4/12/2012 CR Description 12 74 Interest - Capital Dev library Cash Receipts Batch 28123-04-2012 Budget # Beginning Balance 16789 Debit This Period Credit This Period 277.00 0.00 Ending Balance 924-000-114600 Totals: Technology 0.00 0.00 289,184.38 277.00 0.00 289,461.38 924-000-114601 924-000-114601 Totals: Expansion And Renovation 0.00 0.00 38,021.54 0.00 0.00 38,021.54 924-000-114602 924-000-114602 Totals: Dirksen Center Purchase 0.00 0.00 0.00 0.00 0.00 0.00 924-000-114603 924-000-114603 Totals: 21st Century Library Fund 0.00 0.00 0.00 0.00 0.00 0.00 924-000-114700 924-000-114700 Totals: 21st Century Iptip 0.00 0.00 0.00 0.00 0.00 0.00 924-000-114800 70.91 0.00 70.91 0.00 4/12/2012 CR 924-000-114900 12 74 Interest (148) library Cash Receipts Batch 28123-04-2012 # 16789 924-000-114800 Totals: E Pay Iptip 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 33 Fax Fee E Pay library Cash Receipts Batch 28122-04-2012 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 33 Non Resident Fees E Pay library Cash Receipts Batch 28122-04-2012 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 33 Printing Fess E Pay library Cash Receipts Batch 28122-04-2012 74 Interest E Pay library Cash Receipts Batch 28123-04-2012 76 Printing Fess E Pay library Cash Receipts Batch 28125-04-2012 76 Misc E Pay library Cash Receipts Batch 28125-04-2012 76 Friends Book Sale E Pay library Cash Receipts Batch 28125-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 0.00 0.00 85,585.28 # 16648 16.00 0.00 # 16648 5.00 0.00 # 16649 15.00 0.00 # 16649 63.00 0.00 # 16650 11.70 0.00 # 16650 10.00 0.00 # 16789 0.31 0.00 # 16802 1.50 0.00 # 16803 1.00 0.00 # 16804 30.00 0.00 85,656.19 Page 553 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 76 Adult Fines E Pay(149) library Cash Receipts Batch 28125-04-2012 76 Non Resident Fees E Pay library Cash Receipts Batch 28125-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 120 Misc E Pay library Cash Receipts Batch 28127-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 120 Fax Fee E Pay library Cash Receipts Batch 28127-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 186 Staff Purchase E Pay library Cash Receipts Batch 28133-04-2012 186 Printing Fess E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 214 Adult Fines E Pay(149) library Cash Receipts Batch 28136-04-2012 214 Friends Book Sale E Pay library Cash Receipts Batch 28136-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16805 5.90 0.00 # 16806 63.00 0.00 # 16971 46.30 0.00 # 16971 6.00 0.00 # 16972 1.50 0.00 # 16973 10.75 0.00 # 16973 1.00 0.00 # 16973 3.00 0.00 # 16974 1.00 0.00 # 16974 25.00 0.00 # 17232 2.60 0.00 # 17232 2.00 0.00 # 17233 5.00 0.00 # 17234 8.60 0.00 # 17235 3.70 0.00 # 17235 19.73 0.00 # 17236 5.00 0.00 # 17237 2.00 0.00 # 17238 7.00 0.00 # 17366 2.80 0.00 # 17366 5.20 0.00 Ending Balance Page 554 Account Number Description Budget 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/2/2012 4/2/2012 GL GL 12 12 214 Friends Book Sale E Pay library Cash Receipts Batch 28136-04-2012 214 Room Use Fee E Pay library Cash Receipts Batch 28136-04-2012 214 Adult Fines E Pay(149) library Cash Receipts Batch 28136-04-2012 232 library account fees 232 library account fees 4/2/2012 GL 12 244 wire transfer of funds from e pay to general fund Beginning Balance Debit This Period Credit This Period # 17367 1.00 0.00 # 17367 20.00 0.00 # 17368 11.00 0.00 0.00 0.00 20.73 0.33 0.00 3,000.00 Ending Balance 924-000-114900 Totals: Certificates Of Deposit 0.00 0.00 4,225.94 412.59 3,021.06 1,617.47 924-000-120600 924-000-120600 Totals: 21st Century Library Fund 0.00 0.00 0.00 0.00 0.00 0.00 924-000-122408 924-000-122408 Totals: Jubain Memorial Endowment 0.00 0.00 0.00 0.00 0.00 0.00 924-000-122409 132.38 0.00 4/12/2012 CR 12 74 Endowment Int (224.09) library Cash Receipts Batch 28123-04-2012 # 16789 924-000-122409 Totals: Property Taxes Receivable 0.00 0.00 156,374.74 132.38 0.00 156,507.12 924-000-130500 924-000-130500 Totals: Other Receivables 0.00 0.00 1,048,325.00 0.00 0.00 1,048,325.00 924-000-132000 924-000-132000 Totals: Receivable From Dirksen C 0.00 0.00 34,646.88 0.00 0.00 34,646.88 924-000-139500 924-000-139500 Totals: Due From General Fund 0.00 0.00 0.00 0.00 0.00 0.00 924-000-140100 924-000-140100 Totals: Land 0.00 0.00 0.00 0.00 0.00 0.00 924-000-150100 924-000-150100 Totals: Land Improvements 0.00 0.00 86,079.86 0.00 0.00 86,079.86 924-000-150200 924-000-150200 Totals: Buildings 0.00 0.00 0.00 0.00 0.00 0.00 924-000-150500 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 555 Account Number Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance 924-000-150500 Totals: Building Improvements 0.00 0.00 2,646,095.78 0.00 0.00 2,646,095.78 924-000-150600 924-000-150600 Totals: Electronics & Office Equip 0.00 0.00 0.00 0.00 0.00 0.00 924-000-151000 924-000-151000 Totals: Machinery And Equipment 0.00 0.00 609,792.51 0.00 0.00 609,792.51 924-000-151500 924-000-151500 Totals: Library Books 0.00 0.00 0.00 0.00 0.00 0.00 924-000-151600 924-000-151600 Totals: Accum Deprec - Land Impro 0.00 0.00 1,885,595.82 0.00 0.00 1,885,595.82 924-000-155200 924-000-155200 Totals: Accum Deprec - Buildings 0.00 0.00 0.00 0.00 0.00 0.00 924-000-155500 924-000-155500 Totals: Accum Deprec - Build Impr 0.00 0.00 -838,336.00 0.00 0.00 -838,336.00 924-000-155600 924-000-155600 Totals: Accum Deprec - Electronics 0.00 0.00 0.00 0.00 0.00 0.00 924-000-156000 924-000-156000 Totals: Accum Deprec - Books 0.00 0.00 -373,032.00 0.00 0.00 -373,032.00 924-000-156100 924-000-156100 Totals: Accum Deprec - Mach & Equ 0.00 0.00 -1,386,700.00 0.00 0.00 -1,386,700.00 924-000-156500 924-000-156500 Totals: Accum Deprec - Vehicles 0.00 0.00 0.00 0.00 0.00 0.00 924-000-157000 924-000-157000 Totals: 0.00 0.00 0.00 0.00 0.00 0.00 4,496,800.39 104,408.74 222,034.20 4,379,174.93 924-000 ASSETS Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 556 Account Number Description ASSETS Totals: LIABILITIES 924-000-211000 924-000-219000 Accrued Wages 924-000-211000 Totals: Accounts Payable Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 4,496,800.39 104,408.74 222,034.20 4,379,174.93 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4/3/2012 4/12/2012 AP AP 12 12 34 AP Invoice Batch 00001-04-2012 80 AP Computer Cks 106582-106754, 04/13/2012 Ck# 0 0.00 11,104.02 11,104.02 0.00 4/19/2012 4/26/2012 AP AP 12 12 131 AP Invoice Batch 00006-04-2012 189 AP Computer Cks 106790-106964, 04/27/2012 Ck# 0 0.00 24,223.20 24,223.20 0.00 4/30/2012 AP 12 222 AP Invoice Batch 00008-04-2012 0.00 29,315.67 924-000-219000 Totals: Deferred Tax Revenue 0.00 0.00 0.00 35,327.22 64,642.89 -29,315.67 924-000-219400 924-000-219400 Totals: Due To Accounts Payable I 0.00 0.00 -1,048,325.00 0.00 0.00 -1,048,325.00 924-000-220677 924-000-220677 Totals: Due To Payroll Imprest Fu 0.00 0.00 0.00 0.00 0.00 0.00 924-000-220688 924-000-220688 Totals: Note Payable/dirksen Cntr 0.00 0.00 0.00 0.00 0.00 0.00 924-000-235300 924-000-235300 Totals: Reserved For Capital Proj 0.00 0.00 0.00 0.00 0.00 0.00 924-000-290400 924-000-290400 Totals: 0.00 -333,991.50 0.00 0.00 -333,991.50 0.00 -1,382,316.50 35,327.22 64,642.89 -1,411,632.17 924-000 LIABILITIES Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 557 Account Number Description LIABILITIES Totals: FUND BALANCE 924-000-390100 Fund Balance Beg Year 924-000-390100 Totals: 924-000 FUND BALANCE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -1,382,316.50 35,327.22 64,642.89 -1,411,632.17 0.00 -2,972,350.24 0.00 0.00 -2,972,350.24 0.00 -2,972,350.24 0.00 0.00 -2,972,350.24 0.00 Page 558 Account Number Description FUND BALANCE Totals: REVENUE 924-924 924-924-410100 924-924-412000 4/18/2012 CR Real Estate Tax 924-924-410100 Totals: Replacement P/p Tax - Sta 12 924-924-412000 Totals: City-other 924-924-438300 Beginning Balance Debit This Period Credit This Period Ending Balance 0.00 -2,972,350.24 0.00 0.00 -2,972,350.24 -1,048,440.39 0.00 0.00 -1,048,440.39 0.00 3,910.04 1,048,325.00 Var: -115.39 121 Personal Property Repl Tx library Cash Receipts Batch 28131-04-2012 924-924-437900 Budget # 1,048,325.00 95,338.00 16976 95,338.00 0.00 -69,057.56 0.00 3,910.04 -72,967.60 924-924-437900 Totals: Soi Literacy Grant Reimbu 0.00 0.00 0.00 0.00 0.00 0.00 924-924-438300 Totals: Other Grants 0.00 0.00 0.00 0.00 0.00 0.00 924-924-438700 924-924-438700 Totals: Inter Generational Grant 0.00 0.00 -1,850.00 0.00 0.00 -1,850.00 924-924-438800 924-924-438800 Totals: Per Capita Grant 0.00 34,400.00 0.00 0.00 0.00 0.00 924-924-445000 924-924-445000 Totals: Premiums 34,400.00 0.00 -34,646.88 0.00 0.00 -34,646.88 924-924-450500 924-924-450500 Totals: Friends Book Sale 0.00 7,500.00 0.00 0.00 0.00 0.00 924-924-457001 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 Var: 22,370.40 Var: -1,850.00 Var: -246.88 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 32 Friends Book Sale library Cash Receipts Batch 28121-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16641 0.00 29.00 # 16643 0.00 26.20 # 16646 0.00 39.15 # 16791 0.00 59.65 # 16792 0.00 24.20 # 16793 0.00 21.20 Page 559 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 75 Friends Book Sale library Cash Receipts Batch 28124-04-2012 76 Friends Book Sale E Pay library Cash Receipts Batch 28125-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 113 Friends Book Sale library Cash Receipts Batch 28126-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 120 Friends Book Sale E Pay library Cash Receipts Batch 28127-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 185 Friends Book Sale library Cash Receipts Batch 28132-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16795 0.00 45.00 # 16799 0.00 36.10 # 16804 0.00 30.00 # 16946 0.00 23.55 # 16947 0.00 30.15 # 16949 0.00 22.30 # 16952 0.00 27.50 # 16954 0.00 34.95 # 16971 0.00 6.00 # 16973 0.00 3.00 # 16974 0.00 25.00 # 17217 0.00 16.10 # 17219 0.00 15.85 # 17220 0.00 5.20 # 17222 0.00 26.70 # 17225 0.00 18.30 # 17226 0.00 26.50 # 17231 0.00 14.70 # 17356 0.00 11.05 # 17359 0.00 55.00 # 17361 0.00 72.30 Ending Balance Page 560 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 924-924-457002 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 924-924-457003 Cash Receipts Batch 28135-04-2012 213 Friends Book Sale library Cash Receipts Batch 28135-04-2012 214 Friends Book Sale E Pay library Cash Receipts Batch 28136-04-2012 214 Friends Book Sale E Pay library Cash Receipts Batch 28136-04-2012 924-924-457001 Totals: Copy Machines 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period 17364 0.00 37.05 # 17366 0.00 5.20 # 17367 0.00 1.00 0.00 787.90 7,500.00 3,400.00 -10,560.44 # 16642 0.00 67.45 # 16798 0.00 88.36 # 16953 0.00 71.00 # 17229 0.00 116.65 0.00 343.46 Var: -94.91 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 32 Printing Fees library Cash Receipts Batch 28121-04-2012 33 Printing Fess E Pay library Cash Receipts Batch 28122-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Beginning Balance # Var: -3,848.34 32 Copy Machines library Cash Receipts Batch 28121-04-2012 75 Copy Machines library Cash Receipts Batch 28124-04-2012 113 Copy Machines library Cash Receipts Batch 28126-04-2012 185 Copy Machines library Cash Receipts Batch 28132-04-2012 924-924-457002 Totals: Printing Fees (library) 4/5/2012 Budget 3,400.00 5,000.00 -3,151.45 # 16640 0.00 40.60 # 16641 0.00 0.70 # 16643 0.00 9.50 # 16646 0.00 2.00 # 16647 0.00 55.57 # 16650 0.00 10.00 # 16791 0.00 1.40 # 16792 0.00 1.20 # 16793 0.00 9.80 # 16795 0.00 15.50 # 16796 0.00 68.75 Ending Balance -11,348.34 -3,494.91 Page 561 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 75 Printing Fees library Cash Receipts Batch 28124-04-2012 76 Printing Fess E Pay library Cash Receipts Batch 28125-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 113 Printing Fees library Cash Receipts Batch 28126-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 185 Printing Fees library Cash Receipts Batch 28132-04-2012 186 Printing Fess E Pay library Cash Receipts Batch 28133-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Printing Fees library GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16799 0.00 1.00 # 16801 0.00 44.35 # 16802 0.00 1.50 # 16946 0.00 1.60 # 16947 0.00 4.30 # 16949 0.00 0.90 # 16950 0.00 46.80 # 16952 0.00 3.50 # 16954 0.00 6.40 # 17217 0.00 3.00 # 17218 0.00 78.85 # 17219 0.00 0.80 # 17220 0.00 0.90 # 17222 0.00 50.50 # 17223 0.00 46.00 # 17225 0.00 1.50 # 17226 0.00 2.30 # 17231 0.00 0.60 # 17236 0.00 5.00 # 17356 0.00 0.60 # 17358 0.00 90.40 Ending Balance Page 562 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Budget Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 213 Printing Fees library Cash Receipts Batch 28135-04-2012 Beginning Balance Debit This Period Credit This Period # 17359 0.00 3.60 # 17362 0.00 29.05 # 17364 0.00 3.08 Ending Balance 924-924-457003 Totals: Microfilm Rental Var: -1,305.34 5,000.00 30.00 -5,663.79 0.00 641.55 -6,305.34 924-924-457004 924-924-457004 Totals: Non-resident Fees Var: 30.00 30.00 6,500.00 0.00 0.00 0.00 0.00 924-924-457005 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/26/2012 CR 12 924-924-457006 32 Non- Resident Fees library Cash Receipts Batch 28121-04-2012 32 Non- Resident Fees library Cash Receipts Batch 28121-04-2012 33 Non Resident Fees E Pay library Cash Receipts Batch 28122-04-2012 75 Non- Resident Fees library Cash Receipts Batch 28124-04-2012 76 Non Resident Fees E Pay library Cash Receipts Batch 28125-04-2012 185 Non- Resident Fees library Cash Receipts Batch 28132-04-2012 924-924-457005 Totals: Books - Lost And Damaged 4/5/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 16641 0.00 126.00 # 16646 0.00 63.00 # 16649 0.00 63.00 # 16792 0.00 63.00 # 16806 0.00 63.00 # 17225 0.00 63.00 0.00 441.00 Var: 57.42 32 Lost And Damaged Books library Cash Receipts Batch 28121-04-2012 75 Lost And Damaged Books library Cash Receipts Batch 28124-04-2012 113 Lost And Damaged Books library Cash Receipts Batch 28126-04-2012 113 Lost And Damaged Books library Cash Receipts Batch 28126-04-2012 185 Lost And Damaged Books library Cash Receipts Batch 28132-04-2012 185 Lost And Damaged Books library Cash Receipts Batch 28132-04-2012 924-924-457006 Totals: # 6,500.00 2,700.00 -6,001.58 # 16643 0.00 36.90 # 16799 0.00 98.80 # 16949 0.00 29.95 # 16952 0.00 5.00 # 17220 0.00 5.00 # 17225 0.00 19.95 0.00 195.60 Var: 1,146.89 2,700.00 -1,357.51 -6,442.58 -1,553.11 Page 563 Account Number Description 924-924-457007 Budget Room Use Fees 4/12/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Beginning Balance Debit This Period Credit This Period Ending Balance 750.00 75 Room Use Fees library Cash Receipts Batch 28124-04-2012 113 Room Use Fees library Cash Receipts Batch 28126-04-2012 185 Room Use Fees library Cash Receipts Batch 28132-04-2012 213 Room Use Fees library Cash Receipts Batch 28135-04-2012 214 Room Use Fee E Pay library Cash Receipts Batch 28136-04-2012 # 16792 0.00 20.00 # 16946 0.00 240.00 # 17217 0.00 40.00 # 17364 0.00 20.00 # 17367 0.00 20.00 924-924-457007 Totals: Book Rental Fee Var: -1,768.55 750.00 2,200.00 -2,178.55 0.00 340.00 -2,518.55 924-924-457008 924-924-457008 Totals: Staff Sales Var: 1,111.95 2,200.00 2,000.00 -1,088.05 0.00 0.00 -1,088.05 924-924-457009 4/5/2012 CR 12 4/5/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 924-924-457010 32 Staff Sales library Cash Receipts Batch 28121-04-2012 32 Staff Sales library Cash Receipts Batch 28121-04-2012 113 Staff Sales library Cash Receipts Batch 28126-04-2012 185 Staff Sales library Cash Receipts Batch 28132-04-2012 186 Staff Purchase E Pay library Cash Receipts Batch 28133-04-2012 213 Staff Sales library Cash Receipts Batch 28135-04-2012 924-924-457009 Totals: Fax Fee 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 16643 0.00 35.30 # 16646 0.00 9.58 # 16952 0.00 86.22 # 17225 0.00 14.99 # 17235 0.00 19.73 # 17364 0.00 36.90 0.00 202.72 Var: 14.78 32 Fax Fee library Cash Receipts Batch 28121-04-2012 32 Fax Fee library Cash Receipts Batch 28121-04-2012 32 Fax Fee library Cash Receipts Batch 28121-04-2012 33 Fax Fee E Pay library Cash Receipts Batch 28122-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 2,000.00 3,000.00 -1,782.50 # 16641 0.00 6.00 # 16643 0.00 12.50 # 16646 0.00 13.00 # 16648 0.00 5.00 # 16791 0.00 17.00 -1,985.22 Page 564 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 75 Fax Fee library Cash Receipts Batch 28124-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 113 Fax Fee library Cash Receipts Batch 28126-04-2012 120 Fax Fee E Pay library Cash Receipts Batch 28127-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 185 Fax Fee library Cash Receipts Batch 28132-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 186 Fax Fee E Pay library Cash Receipts Batch 28133-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16792 0.00 2.00 # 16793 0.00 15.00 # 16795 0.00 7.00 # 16799 0.00 16.00 # 16946 0.00 5.00 # 16947 0.00 10.00 # 16949 0.00 7.00 # 16952 0.00 24.00 # 16954 0.00 7.20 # 16973 0.00 1.00 # 17217 0.00 16.00 # 17219 0.00 8.00 # 17220 0.00 5.00 # 17222 0.00 4.00 # 17225 0.00 12.00 # 17226 0.00 9.00 # 17231 0.00 6.00 # 17232 0.00 2.00 # 17233 0.00 5.00 # 17237 0.00 2.00 # 17238 0.00 7.00 Ending Balance Page 565 Account Number Description 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 924-924-465001 213 Fax Fee library Cash Receipts Batch 28135-04-2012 213 Fax Fee library Cash Receipts Batch 28135-04-2012 213 Fax Fee library Cash Receipts Batch 28135-04-2012 924-924-457010 Totals: Library Fines - Adult Dep 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 Budget GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period # 17356 0.00 4.00 # 17359 0.00 7.00 # 17364 0.00 10.20 0.00 244.90 Var: 235.50 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 32 Library Fines -Adult Dept library Cash Receipts Batch 28121-04-2012 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 33 Adult Fines E Pay(149) library Cash Receipts Batch 28122-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Cash Receipts Batch 28124-04-2012 75 Library Fines -Adult Dept library Beginning Balance 3,000.00 15,500.00 -2,519.60 # 16641 0.00 8.20 # 16643 0.00 77.27 # 16644 0.00 1.00 # 16645 0.00 10.30 # 16646 0.00 69.20 # 16648 0.00 16.00 # 16649 0.00 15.00 # 16650 0.00 11.70 # 16790 0.00 22.70 # 16791 0.00 25.60 # 16792 0.00 38.00 # 16793 0.00 32.80 # 16794 0.00 40.00 # 16795 0.00 30.95 # 16797 0.00 26.80 # 16799 0.00 39.10 # 16800 0.00 8.60 Ending Balance -2,764.50 Page 566 Account Number Description 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 Cash Receipts Batch 28124-04-2012 76 Adult Fines E Pay(149) library Cash Receipts Batch 28125-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 113 Library Fines -Adult Dept library Cash Receipts Batch 28126-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 120 Adult Fines E Pay(149) library Cash Receipts Batch 28127-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Budget Beginning Balance Debit This Period Credit This Period # 16805 0.00 5.90 # 16946 0.00 21.38 # 16947 0.00 14.95 # 16948 0.00 7.00 # 16949 0.00 18.10 # 16951 0.00 22.90 # 16952 0.00 32.30 # 16954 0.00 37.70 # 16955 0.00 2.50 # 16971 0.00 46.30 # 16973 0.00 10.75 # 16974 0.00 1.00 # 17216 0.00 3.60 # 17217 0.00 21.60 # 17219 0.00 16.75 # 17220 0.00 6.05 # 17221 0.00 3.10 # 17222 0.00 28.70 # 17224 0.00 49.25 # 17225 0.00 40.60 # 17226 0.00 27.07 Ending Balance Page 567 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 924-924-465002 Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 185 Library Fines -Adult Dept library Cash Receipts Batch 28132-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 186 Adult Fines E Pay(149) library Cash Receipts Batch 28133-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 213 Library Fines -Adult Dept library Cash Receipts Batch 28135-04-2012 214 Adult Fines E Pay(149) library Cash Receipts Batch 28136-04-2012 214 Adult Fines E Pay(149) library Cash Receipts Batch 28136-04-2012 924-924-465001 Totals: Library Fines - Junior De 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 Budget GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period # 17227 0.00 9.10 # 17230 0.00 13.10 # 17231 0.00 18.00 # 17232 0.00 2.60 # 17234 0.00 8.60 # 17235 0.00 3.70 # 17356 0.00 54.80 # 17357 0.00 13.90 # 17359 0.00 34.15 # 17360 0.00 28.90 # 17361 0.00 31.80 # 17363 0.00 18.40 # 17364 0.00 23.80 # 17366 0.00 2.80 # 17368 0.00 11.00 0.00 1,165.37 Var: -847.03 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 32 Library Fine/ Junior Dept library Cash Receipts Batch 28121-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 Beginning Balance 15,500.00 2,100.00 -15,181.66 # 16641 0.00 7.40 # 16643 0.00 5.00 # 16646 0.00 28.20 # 16791 0.00 20.70 Ending Balance -16,347.03 Page 568 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 924-924-490100 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 924-924-490102 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 75 Library Fine/ Junior Dept library Cash Receipts Batch 28124-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 113 Library Fine/ Junior Dept library Cash Receipts Batch 28126-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 185 Library Fine/ Junior Dept library Cash Receipts Batch 28132-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 213 Library Fine/ Junior Dept library Cash Receipts Batch 28135-04-2012 924-924-465002 Totals: Interest Earnings 4/12/2012 Budget 924-924-490100 Totals: Endowment Interest GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period # 16792 0.00 1.00 # 16793 0.00 5.00 # 16795 0.00 26.00 # 16799 0.00 3.10 # 16946 0.00 1.10 # 16949 0.00 2.00 # 16952 0.00 19.00 # 16954 0.00 4.50 # 17220 0.00 0.40 # 17222 0.00 1.80 # 17225 0.00 2.30 # 17226 0.00 16.75 # 17356 0.00 6.30 # 17359 0.00 2.20 # 17364 0.00 9.30 0.00 162.05 Var: 458.66 74 Interest (145) library Cash Receipts Batch 28123-04-2012 74 Interest (148) library Cash Receipts Batch 28123-04-2012 74 Interest E Pay library Cash Receipts Batch 28123-04-2012 Beginning Balance 2,100.00 500.00 -1,479.29 # 16789 0.00 136.60 # 16789 0.00 70.91 # 16789 0.00 0.31 0.00 207.82 Var: -3,662.16 500.00 350.00 -3,954.34 Ending Balance -1,641.34 -4,162.16 Page 569 Account Number Description 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 924-924-490111 4/12/2012 CR 74 Edowment Int (141.00) library Cash Receipts Batch 28123-04-2012 74 Endowment Int (224.09) library Cash Receipts Batch 28123-04-2012 74 Endowment Int(143.00) library Cash Receipts Batch 28123-04-2012 74 Endowment Int (142) library Cash Receipts Batch 28123-04-2012 924-924-490102 Totals: Interest Earnings Capital 12 Budget 924-924-491000 924-924-490111 Totals: Rental Of Municipal Prope 924-924-491100 Debit This Period Credit This Period # 16789 0.00 14.51 # 16789 0.00 132.38 # 16789 0.00 56.76 # 16789 0.00 5.94 0.00 209.59 0.00 277.00 Var: -2,221.09 74 Interest - Capital Dev library Cash Receipts Batch 28123-04-2012 Beginning Balance # 350.00 300.00 -2,361.50 16789 -2,571.09 300.00 0.00 -1,967.33 0.00 277.00 -2,244.33 924-924-491000 Totals: Refund On Insurance Premi 0.00 0.00 0.00 0.00 0.00 0.00 924-924-491100 Totals: Maintenance - Dirksen Fou 0.00 0.00 0.00 0.00 0.00 0.00 924-924-495001 924-924-495001 Totals: Jail Service Donations 0.00 0.00 0.00 0.00 0.00 0.00 924-924-495100 924-924-495100 Totals: Capital Development 0.00 0.00 0.00 0.00 0.00 0.00 924-924-498800 924-924-498800 Totals: Insurance Recoveries 0.00 0.00 0.00 0.00 0.00 0.00 924-924-499100 924-924-499100 Totals: Gifts And Memorials 0.00 12,000.00 0.00 0.00 0.00 0.00 924-924-499200 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 Var: -1,944.33 Ending Balance 121 Gifts & Memorials (145) library Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library Cash Receipts Batch 28131-04-2012 121 Gifts & Memorials (145) library Cash Receipts Batch 28131-04-2012 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) # 16975 0.00 125.00 # 16976 0.00 1,300.00 # 16977 0.00 600.00 # 16978 0.00 185.00 Page 570 Account Number Description 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 187 Gifts & Memorials (145) library Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library Cash Receipts Batch 28134-04-2012 187 Gifts & Memorials (145) library Cash Receipts Batch 28134-04-2012 215 Gifts & Memorials (145) library Cash Receipts Batch 28137-04-2012 215 Gifts & Memorials (145) library Cash Receipts Batch 28137-04-2012 924-924-499300 924-924-499200 Totals: Iptip / Gift Fund 924-924-499800 924-924-499300 Totals: Miscellaneous Receipts 4/5/2012 CR 12 4/5/2012 CR 12 4/5/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/12/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 Budget GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Debit This Period Credit This Period # 17239 0.00 125.00 # 17240 0.00 5,650.00 # 17241 0.00 250.00 # 17242 0.00 305.00 # 17370 0.00 75.00 # 17371 0.00 200.00 Var: -28,500.85 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 32 Miscellaneous Receipts library Cash Receipts Batch 28121-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 75 Miscellaneous Receipts library Cash Receipts Batch 28124-04-2012 76 Misc E Pay library Cash Receipts Batch 28125-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 Beginning Balance Ending Balance 12,000.00 0.00 -31,685.85 0.00 8,815.00 -40,500.85 0.00 4,000.00 0.00 0.00 0.00 0.00 # 16641 0.00 1.50 # 16643 0.00 4.50 # 16646 0.00 3.50 # 16791 0.00 10.65 # 16792 0.00 57.00 # 16793 0.00 26.50 # 16795 0.00 4.50 # 16799 0.00 3.00 # 16803 0.00 1.00 # 16946 0.00 37.50 # 16947 0.00 2.50 # 16949 0.00 52.00 Page 571 Account Number Description 4/18/2012 CR 12 4/18/2012 CR 12 4/18/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/26/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 4/30/2012 CR 12 Budget 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 113 Miscellaneous Receipts library Cash Receipts Batch 28126-04-2012 120 Misc E Pay library Cash Receipts Batch 28127-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 185 Miscellaneous Receipts library Cash Receipts Batch 28132-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 213 Miscellaneous Receipts library Cash Receipts Batch 28135-04-2012 924-924-499800 Totals: 924-924 REVENUE Totals: GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Beginning Balance Debit This Period Credit This Period # 16952 0.00 7.50 # 16954 0.00 2.00 # 16972 0.00 1.50 # 17217 0.00 35.00 # 17219 0.00 4.00 # 17220 0.00 3.00 # 17222 0.00 26.00 # 17225 0.00 9.50 # 17226 0.00 79.50 # 17231 0.00 28.00 # 17356 0.00 5.50 # 17359 0.00 1.50 # 17361 0.00 52.50 # 17364 0.00 77.50 Var: -10,596.12 Ending Balance 4,000.00 -14,058.97 0.00 537.15 -14,596.12 1,245,893.00 -1,258,987.24 0.00 18,481.15 -1,277,468.39 Page 572 Account Number EXPENSE 924-924 924-924-511600 Description Budget Beginning Balance Debit This Period Credit This Period Ending Balance REVENUE Totals: 1,245,893.00 -1,258,987.24 0.00 18,481.15 -1,277,468.39 Salary: All Personnel 525,000.00 4/3/2012 PR 12 19 Computer Checks Batch 2012 04 00007 17,764.54 0.00 4/18/2012 4/30/2012 PR PR 12 12 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 15,061.48 19,419.88 0.00 0.00 52,245.90 0.00 1,650.28 2,943.53 1,938.18 0.00 0.00 0.00 6,531.99 0.00 710.48 0.00 710.48 0.00 2,061.83 2,218.76 45.44 0.00 0.00 0.00 4,326.03 0.00 1,316.99 1,283.34 1,312.42 0.00 0.00 0.00 3,912.75 0.00 308.02 300.14 306.94 0.00 0.00 0.00 915.10 0.00 2,773.62 2,790.12 0.00 0.00 924-924-515500 4/3/2012 4/18/2012 4/30/2012 PR PR PR 924-924-515600 4/18/2012 PR 924-924-515800 4/3/2012 4/18/2012 4/30/2012 PR PR PR 924-924-517000 4/3/2012 4/18/2012 4/30/2012 PR PR PR 924-924-517001 4/3/2012 4/18/2012 4/30/2012 PR PR PR 924-924-517401 4/3/2012 4/18/2012 PR PR 924-924-511600 Totals: Vacation Pay 12 12 12 24,762.01 Var: -20,728.67 0.00 0.00 20,018.19 Var: -18,685.37 0.00 32,741.00 14,359.34 Var: 1,062.37 32,741.00 7,658.00 27,765.88 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 924-924-517001 Totals: Imrf 12 12 0.00 0.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 924-924-517000 Totals: Medicare/city Share 1.45% 12 12 12 Var: -31,294.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 924-924-515800 Totals: Oasdi/city Share 6.2% 12 12 12 396,802.82 123 Computer Checks Batch 2012 04 00008 924-924-515600 Totals: Sick Pay 12 12 12 525,000.00 0.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 924-924-515500 Totals: Holiday Pay 12 Var: 75,951.28 Var: 248.58 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 7,658.00 58,855.00 6,494.32 449,048.72 31,294.00 20,728.67 18,685.37 31,678.63 7,409.42 Page 573 Account Number 4/30/2012 PR 924-924-518000 4/3/2012 4/18/2012 4/30/2012 PR PR PR Description 12 Var: -2,364.90 924-924-518000 Totals: Workers Comp Insurance Var: 5,817.20 924-924-518300 Totals: Office Supplies Var: 967.00 924-924-520200 AP 924-924-520300 12 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 924-924-520302 AP 12 4/19/2012 AP 12 4/26/2012 AP 12 924-924-520303 4/30/2012 AP 12 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 2,793.57 0.00 8,357.31 0.00 3,070.38 3,070.38 3,070.38 0.00 0.00 0.00 Ending Balance 61,219.90 9,211.14 0.00 66,512.80 5,200.00 7,000.00 4,233.00 0.00 0.00 4,233.00 360.70 0.00 360.70 0.00 Ck# 3532 27.57 0.00 Ck# 106836 25.19 0.00 Ck# 106874 167.68 0.00 Ck# 106881 105.82 0.00 Ck# 107075 11.00 0.00 337.26 0.00 257.58 0.00 350.87 0.00 345.13 0.00 953.58 0.00 186.75 0.00 Var: 0.88 Var: -1,871.55 222 10446 - Neece Office Equipment bulb Credit This Period 57,301.66 7,000.00 8,000.00 8,000.00 10,300.00 7,290.60 7,661.86 34 11351 - Konica Minolta Business Solutions Ck# 106673 USA Inc. copier 131 10752 - Konica Minolta Premier Finance Ck# 106878 copier 188 10752 - Konica Minolta Premier Finance Ck# 3553 copier 924-924-520302 Totals: Reader-printer - Supplies Debit This Period 72,330.00 5,200.00 Var: -651.30 122 10687 - VISA - Business paper for circ applications 131 10153 - Demco Educational Corp stamp 131 10349 - KAPCO book covers 131 10378 - Library Store color coding dots & labels 222 10085 - Brodart Co labels 924-924-520300 Totals: Copy Machine - Rental And 4/3/2012 52,862.59 77 10615 - Staples Advantage Ck# 3531 paper, toner, correction tape, rubber bands, tape 924-924-520200 Totals: Library Supplies 4/18/2012 58,855.00 72,330.00 19 Computer Checks Batch 2012 04 00007 123 Computer Checks Batch 2012 04 00008 261 Computer Checks Batch 2012 05 00009 924-924-518300 4/12/2012 Beginning Balance 261 Computer Checks Batch 2012 05 00009 924-924-517401 Totals: Group Insurance 12 12 12 Budget Ck# 107156 10,300.00 500.00 11,217.97 7,651.30 7,999.12 12,171.55 Page 574 Account Number 924-924-520400 Description 924-924-520303 Totals: Postage 4/12/2012 AP 12 4/18/2012 AP 12 4/26/2012 AP 12 4/26/2012 AP 12 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 500.00 2,400.00 292.43 186.75 0.00 479.18 Ck# 3529 43.96 0.00 Ck# 3532 13.60 0.00 Ck# 3546 180.00 0.00 Ck# 3557 11.85 0.00 Var: 20.82 77 10514 - Postmaster annual fund mailing 122 10687 - VISA - Business postage 188 10514 - Postmaster 20 sheets of stamps 188 10469 - Lori Parkin postage 924-924-520400 Totals: Oclc Cataloging Var: -668.88 2,400.00 5,250.00 2,819.47 249.41 0.00 3,068.88 924-924-520600 924-924-520600 Totals: Adult * Books - Fiction Var: 476.00 5,250.00 23,960.00 4,774.00 0.00 0.00 4,774.00 924-924-523301 Ck# 106594 60.59 0.00 Ck# 106594 147.25 0.00 Ck# 106594 260.98 0.00 Ck# 106594 58.29 0.00 Ck# 106639 19.46 0.00 Ck# 106662 95.87 0.00 Ck# 4248 34.88 0.00 Ck# 106805 0.00 14.24 Ck# 106805 0.00 14.09 Ck# 106805 78.10 0.00 Ck# 106805 126.60 0.00 Ck# 106805 256.74 0.00 Ck# 106805 15.87 0.00 4/3/2012 AP 12 4/3/2012 AP 12 4/3/2012 AP 12 4/3/2012 AP 12 4/3/2012 AP 12 4/3/2012 AP 12 4/18/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 34 10043 - Baker & Taylor Books a-book-f 34 10043 - Baker & Taylor Books a-book-f 34 10043 - Baker & Taylor Books a-book-f 34 10043 - Baker & Taylor Books a-book-f 34 10215 - Gale Group a-book-f 34 10326 - Inspirational Distributor a-book-f 122 10020 - Amazon a-book-f 131 10043 - Baker & Taylor Books credit memo a-book-f 131 10043 - Baker & Taylor Books credit memo a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 575 Account Number Description 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 924-924-523302 a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10043 - Baker & Taylor Books a-book-f 131 10326 - Inspirational Distributor a-book-f 222 10043 - Baker & Taylor Books a-book-f 222 10043 - Baker & Taylor Books a-book-f 222 10215 - Gale Group a-book-f 222 10326 - Inspirational Distributor a-book-f 222 11099 - OverDrive overdrive a-book-f 924-924-523301 Totals: Children's * Books - Fict 4/3/2012 AP 12 4/3/2012 AP 12 4/18/2012 AP 12 4/18/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget Debit This Period Credit This Period Ck# 106805 14.71 0.00 Ck# 106805 90.63 0.00 Ck# 106805 1,379.96 0.00 Ck# 106805 31.68 0.00 Ck# 106869 63.43 0.00 Ck# 107067 492.69 0.00 Ck# 107067 89.04 0.00 Ck# 107114 19.46 0.00 Ck# 107133 78.03 0.00 Ck# 107170 446.00 0.00 3,860.26 28.33 147.81 0.00 8.50 0.00 201.63 0.00 930.40 0.00 73.11 0.00 506.55 0.00 208.35 0.00 34.85 0.00 1,500.00 0.00 Var: 0.96 34 10043 - Baker & Taylor Books Ck# 106594 c-book-f 34 11273 - Abbey Cook Ck# 106617 c-book-f 122 10687 - VISA - Business Ck# 3532 c-book-f 122 10020 - Amazon Ck# 4248 c-book-f 131 10043 - Baker & Taylor Books Ck# 106805 c-book-f 131 10043 - Baker & Taylor Books Ck# 106805 c-book-f 131 11411 - ABDO-Spotlight-Magic Wagon Ck# 106791 c-book-f 222 10043 - Baker & Taylor Books Ck# 107067 c-book-f 222 11099 - OverDrive Ck# 107170 overdrive c-book-f GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 23,960.00 12,400.00 Beginning Balance 20,127.11 Ending Balance 23,959.04 Page 576 Account Number 924-924-523304 Description 924-924-523302 Totals: Large Print Books 4/3/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 924-924-523401 34 10215 lp-f 131 10043 lp-f 131 10215 lp-f 131 10874 lp-f 222 10043 lp-f 222 10043 lp-f 222 10215 lp-f 222 10215 lp-f 222 10215 lp-f AP 12 4/3/2012 AP 12 4/18/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Beginning Balance Debit This Period Credit This Period Ending Balance 12,400.00 6,000.00 8,745.91 3,611.20 0.00 12,357.11 Gale Group Ck# 106639 21.25 0.00 Baker & Taylor Books Ck# 106805 16.91 0.00 Gale Group Ck# 106852 118.11 0.00 Center Point Large Print Ck# 106814 71.41 0.00 Baker & Taylor Books Ck# 107067 159.94 0.00 Baker & Taylor Books Ck# 107067 16.91 0.00 Gale Group Ck# 107114 599.65 0.00 Gale Group Ck# 107114 45.03 0.00 Gale Group Ck# 107114 55.14 0.00 1,104.35 0.00 1,256.42 0.00 93.35 0.00 105.22 0.00 300.04 0.00 254.57 0.00 115.93 0.00 330.17 0.00 1,244.01 0.00 1,082.40 0.00 924-924-523304 Totals: Adult * Books - Non-fict 4/3/2012 Var: 42.89 Budget Var: 57.48 34 10043 - Baker & Taylor Books Ck# 106594 a-book-nf 34 11526 - American Library AssociationCk# 106585 a-book-nf 122 10687 - VISA - Business Ck# 3532 a-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 a-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 a-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 a-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 a-book-nf 222 10043 - Baker & Taylor Books Ck# 107067 a-book-nf 222 10043 - Baker & Taylor Books Ck# 107067 a-book-nf GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) 6,000.00 27,500.00 4,838.17 5,942.52 Page 577 Account Number Description 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 924-924-523402 222 10687 - VISA - Business a-book-nf 222 11099 - OverDrive overdrive a-book-nf 222 11466 - InfoGroup a-book-nf 924-924-523401 Totals: Children's * Books - Non- 4/3/2012 AP 12 4/3/2012 AP 12 4/18/2012 AP 12 4/18/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/19/2012 AP 12 4/26/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 4/30/2012 AP 12 Budget Debit This Period Credit This Period Ck# 107230 200.00 0.00 Ck# 107170 1,800.00 0.00 Ck# 107132 335.00 0.00 7,117.11 0.00 177.93 0.00 74.62 0.00 50.42 0.00 654.31 0.00 16.07 0.00 560.76 0.00 4.95 0.00 168.60 0.00 24.00 0.00 54.08 0.00 122.44 0.00 96.00 0.00 18.95 0.00 Var: 3.49 27,500.00 10,875.00 Beginning Balance 20,379.40 34 10395 - Marshall Cavendish Corp Ck# 106683 c-book-nf 34 11567 - Bearport Publishing Ck# 106599 c-book-nf 122 10687 - VISA - Business Ck# 3532 c-book-nf 122 10020 - Amazon Ck# 4248 c-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 c-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 c-book-nf 131 10043 - Baker & Taylor Books Ck# 106805 c-book-nf 131 11411 - ABDO-Spotlight-Magic Wagon Ck# 106791 c-book-nf 188 10469 - Lori Parkin Ck# 3557 c-book-nf 222 10043 - Baker & Taylor Books Ck# 107067 c-book-nf 222 10043 - Baker & Taylor Books Ck# 107067 c-book-nf 222 11099 - OverDrive Ck# 107170 overdrive c-book-nf 222 11851 - The Childrens World Ck# 107215 c-book-nf Ending Balance 27,496.51 924-924-523402 Totals: Large Print Books Var: 24.19 10,875.00 1,000.00 8,827.68 2,023.13 0.00 10,850.81 924-924-523404 924-924-523404 Totals: Rental Book Purchase Var: 40.01 1,000.00 2,200.00 959.99 0.00 0.00 959.99 924-924-523500 GL - Detailed Trial Balance (05/29/2012 - 9:35 AM) Page 578 Account Number 924-924-523501 Description 924-924-523500 Totals: Adult * Periodicals 4/19/2012 AP 12 4/19/2012 AP 12 4/30/2012 AP 12 Var: 673.23 Budget Beginning Balance Debit This Period Credit This Period Ending Balance 2,200.00 6,700.00 1,526.77 0.00 0.00 1,526.77 7.50 0.00 25.49 0.00 169.95 0.00 131 11769 - Wolper Information Services Ck# 106962 magazine 131 11769 - Wolper Information Services Ck# 106962 magazine 222 11865 - SBS Ck# 107198 magazine renewal 924-924-523501 Totals: Children's * Periodicals Var: 1,592.36 6,700.00 475.00 4,904.70 202.94 0.00 5,107.64 924-924-523502 924-924-523502