11-23-10 Warrant searchable
Transcription
11-23-10 Warrant searchable
VILLAGE OF BENSENVILLE WARRANT 10/39 November 23, 2010 I hereby certify that the attached warrants are in accord with the current budget as adopted by the Corporate Authorities of the Village of Bensenville, and that sufficient funds are available to promptly pay said warrants, all in accordance with the Village Code and Illinois ;]@ u~CASSADY GEMANAGER ?ftL TIMOTHY SLOTH DIRECTOR OF FINANCE Approved by the Board of Trustees on November 23, 2010, hereby authorizing the Director of Finance to disburse $3,960,974.84 the accounts indicated in the attached report. JOELLEN RIDDER VILLAGE CLERK FRANKSOTO VILLAGE PRESIDENT Page 1 of26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 -- -------- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER - DUE DATE ACCOUNT NO -------------------- ACCOUNT DESCRIPTION CHECK AMOUNT WfT/MANUAL CHECK# $20.00 0 110 General Fund DEPT 00 Default (Non-Departmental) 9 ANAANDRES 12/09/2010 OVER CHARGE VEHICLE STICKER 9178328 11 000000-42031 0 VEHICLE LICENSES Vendor Total: 20.00 3095 BENSENVILLE CREDIT UNION 12/12/2010 CREDIT UNION PR WH 3095 11 000000-213200 PAYROLL DEDUCT'N-CREDIT UNION $1,538.52 9001712 Vendor Total: 1,538.52 11506 CHASE BANK 111210 FEDERAL,SOCIAL SECURITY & MEDICARE WH 12/12/2010 11 000000-21201 0 PAYROLL DEDUCT'N-FED INC TX $27,452.31 111210 FEDERAL,SOCIAL SECURITY & MEDICARE WH 12/12/2010 11 000000-212020 PAYROLL DEDUCT'N-SOC SEC $21,711.21 9001709 111210 FEDERAL,SOCIAL SECURITY & MEDICARE WH 12/12/2010 11000000-212030 PAYROLL DEDUCT'N-MEDICARE $7,666.09 9001709 9001709 Vendor Total: 56,829.61 2779 CO-OP 90'S SELF-FUNDING DENTAL INS OCTOBER 2010 PREMIUM PPO 323548 20107541 11/30/2010 11 000000-214160 PAYROLL DEDUCT'N-DENTAL INS $7,019.00 0 Vendor Total: 7,019.00 2865 DAILY HERALD T4237948 LEGAL NOTICE-TEXT AMENDMENT 11/23/2010 11 000000-22611 0 DEPOSITS-CDC-PUBLIC HEARINGS $60.75 0 T4237949 LEGAL NOTICE-600 EAGLE 11/23/2010 11 000000-22611 0 DEPOSITS-CDC-PUBLIC HEARINGS $84.75 T4237950 LEGAL NOTICE-141 FOLEY 11/23/2010 11 000000-22611 0 DEPOSITS-CDC-PUBLIC HEARINGS $112.50 T4237951 LEGAL NOTICE-TEXT ADMENDMENT 11/23/2010 11000000-226110 DEPOSITS-CDC-PUBLIC HEARINGS $45.75 0 0 0 Vendor Total: 303.75 8528 FREEDMAN,ANSELMO AND LINDBERG 111210 WEGE DEDUCTION-07AR 01469 & 09SC03477 12/12/201 0 11000000-217500 PAYROLL DEDUCT'N-COURT ORO $168.04 9001710 111210 WEGE DEDUCTION-07AR 01469 & 09SC03477 12/12/2010 11000000-217500 PAYROLL DEDUCT'N-COURT ORO $184.40 9001710 Vendor Total: 352.44 3096 ICMARC RETIREMENT I.C.M.AWH 111210 12/12/2010 11000000-213100 PAYROLL DEDUCT'N-DEF COMP $5,191.93 9001713 VendorTotal: 5,191.93 3098 ILLINOIS DEPARTMENT OF REVENUE ILL STATE PR TAX WH 111210 12/12/2010 11000000-212040 PAYROLL DEDUCT'N-ST INC TX $7,413.85 9001711 VendorTotal: 7,413.85 9 JOHN COLLETTI REFUND FOR CITATION ON METRA-MACHINE I 124540 12/03/2010 11000000-444110 FINES-TRAFFIC $25.00 0 Vendor Total: 25.00 99 100235 MAGDALENA PEIRDOS BOND REFUND-332 MARSHALL 12/12/2010 11000000-426610 BUILDING PERMITS- DUPAGE $-21.00 Vendor Total: -21.00 0 Page 2 of26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER 13020 INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO - - CHECK-----wlt!MANlJAI AMOUNT CHECK# ACCOUNT DESCRIPTION STATE DISBURSEMENT UNIT 111210 CHILD SUPPORT PR WH 12/12/2010 11000000-217500 PAYROLL DEDUCT'N-COURT ORO 111210 CHILD SUPPORT PR WH 12/12/2010 11000000-217500 PAYROLL DEDUCT'N-COURT ORO $173.00 $427.73 9001707 9001707 Vendor Total: 600.73 9 T#010000037109 SUJATHA JAWOR REFUND 1/2 HOUR FIGURE SKATING 12/11/2010 11000000-437430 RINK REVENUE-FIGURE SKATING $5.50 0 Vendor Total: 5.50 11906 TREASURY DIRECT SAVING BONDS 111210 12/12/2010 11000000-213400 PAYROLL DEDUCT'N-SAVINGS BONDS $25.00 9001715 Vendor Total: 25.00 3100 VILLAGE OF BENSENVILLE POLICE PENSION PR WH 111210 12/12/2010 11000000-212140 PAYROLL DEDUCT'N-POL PENSION $8,841.16 9001714 VendorTotal: 8,841.16 00 Default (Non-Departmental) Total: 88,145.49 DEPT10 3302 Governance DUPAGE MAYORS AND MANAGERS OCTOBER CONF MTG - FRANK SOTO 6521 20107609 11/26/2010 11010010-522110 EXPENSE REIMBURSEMENT $15.00 0 Vendor Total: 15.00 405 SHILLLERSTROM TOAST/CONSERVATION FOUNDATION CONSERVATION FOUNDATION BENEFIT-TWO 111910 12/19/2010 11010010-522110 EXPENSE REIMBURSEMENT $300.00 128364 Vendor Total: 300.00 10 Governance Total: 315.00 DEPT 20 10249 Office of the Village Manager AL PIEMONTE FORD SALES, INC. 482563 WIRE ASY-VAN #6 20107408 11/03/2010 11020190-542410 R&M VEHICLES $43.19 0 482616 VALVE ASY-VAN #6 20107408 11/03/2010 11 020190-54241 0 R&M VEHICLES $132.39 0 483076 REMFG-SENSO & CORE-VAN #6 20107408 11/07/2010 11020190-542410 R&M VEHICLES $200.29 0 483077 HUB CAP-VAN #6 20107408 11/07/2010 11020190-542410 R&M VEHICLES $73.47 0 484322 STRAP ASY-VAN #6 20107408 11/20/2010 11020190-54241 0 R&M VEHICLES $59.68 0 484416 FUEL PUMP AND SENDER UNIT-VAN #6 20107408 11/21/2010 11020190-542410 R&M VEHICLES $376.09 0 Vendor Total: 885.11 337 3047 AMERICAN CAPITAL FINANCIAL SERVICES, INC PRINTER LEASE DUE 12/1 20107526 12/01/2010 11020180-548110 RENTAL & LEASE- EQUIPMENT $2,549.31 0 Vendor Total: 2,549.31 408 111710 ANDY RADETSKI ASSESSOR PAY 11/23/2010 11020130-532100 PROFESSIONAL SERVICES $400.00 Vendor Total: 400.00 12620 ARTHUR J. GALLAGHER RMS, INC. 128531 Page 3 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER PO NUMBER INVOICE DESCRIPTION , _________ RENEWAL -POLLUTION LEGAL LIAS 513971 . ~-- DUE DATE ACCOUNT NO --------- 20107580 - - - - -------------- 12/02/2010 11020150-549990 ---CHECK WtT/MANTJAL ACCOUNT DESCRIPTION AMOUNT ---------------------- --- OTHER CONTRACTUAL SERVICE CHECK# ------ $5, 191_00 0 VendorTotal: 5,191.00 282 287019244875-1010 AT & T MOBILITY ATT CELL PHONES-09/14-10/13 20107234 11/28/2010 11020180-541315 CELL PHONE SERVICE & EQUPMENT $3,080.96 0 Vendor Total: 3,080.96 11667 AVI SYSTEMS PROJECTION SCREEN REPLACE/BOARD/CDC 33124900 20107124 11/28/2010 11020170-572173 BROADCASTING - LOCAL CHANNEL $6,940.00 0 Vendor Total: 6,940.00 162 BAECORE GROUP INC MUNIS TRAINING,MODIFICATIONS,RESEARCH 130-17 20107665 08/26/2010 11 020180-531265 PROCESS EVALUATION SERVICES $14,595.00 0 Vendor Total: 14,595.00 2721 SEPT/OCT 2010 BENSENVILLE ELEM. SCHOOL DIST.#2 SEPT/OCT COMMUNITY NEWSLETTER 20107539 11/30/2010 11020170-572171 NEWSLETTER $1,165.19 0 VendorTotal: 1,165.19 97 BOND DICKSON & ASSOCIATES, P.C 12381 LEGAL SERVICE-MANAGEMENT SERVICE-GEl\ 11/30/2010 11020120-53311 0 LEGAL SERVICES-GEN'L MATIERS 12382 LEGAL SERVICE-POLICE 11/30/2010 12383 12384 LEGAL SERVICE-SSA-TIF LEGAL SERVICE-FINANCE 11/30/2010 11/30/2010 11020120-533210 11020120-53311 0 12385 LEGAL SERVICE-LEGISLATIVE 11/30/2010 11020120-533110 11020120-533110 LEGAL SERVICES-POLICE LEGAL SERVICES-TIF DIST MATTER LEGAL SERVICES-FINANCE 12386 12387 LEGAL SERVICE-COMMUNITY DEVELOPMENT 11/30/2010 11020120-533110 LEGAL SERVICES-COMM.DEVELOPMT LEGAL SERVICE-BARBA 11/30/2010 11 020120-533110 LEGAL SERVICES-GENERAL LEGAL SERVICES $1,377.25 $185.00 0 0 $1,905.50 $925.00 0 0 $14,689.00 $6,475.00 0 0 $6,234.50 0 Vendor Total: 31,791.25 11480 COW GOVERNMENT, INC. VLM2847 DISC DUPLICATOR 20107410 12/02/2010 11 020180-552135 MATERIAUSUPPLIES-EQUIPMENT $508.41 0 VLX5722 MEMOREX 1OOPK DVD-R 4. 7GB 16X 20107410 12/04/2010 11 020180-552135 MATERIAUSUPPLIES-EQUIPMENT $25.63 0 Vendor Total: 534.04 13197 CUSTOM COMMUNICATION SYSTEMS INC CCSI VOICEMAIL SYSTEM UPGRADE 022276 20106498 12/04/2010 11020180-541310 COMMUNICATION-PHONES (WIRED) $1,500.00 0 Vendor Total: 1,500.00 2865 563602-1010 DAILY HERALD SERVICE FROM 8/21-10/29/10 20107432 11/28/2010 11020110-525010 BOOKS/PAMPHLETS/PUBLICATIONS $26.00 0 Vendor Total: 26.00 350 8329 DIGITAL COPIER SUPERCENTER COPIER PRINTER SUPPORT-NOV 2010 20107529 12/01/2010 11020180-548110 RENTAL & LEASE- EQUIPMENT $1,361.32 0 Vendor Total: 1,361.32 12442 92246942 ENVIRONMENTAL SYSTEMS RESEARCH INSTITUE ESRI ARC GIS SUPPORT FOR 1 YEAR 20107246 11/24/2010 11020180-541180 OPER.INSURANCE/LIC.FEES $1,400.00 0 Page 4 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 ----- "-------- INVOICE NUMBER INVOICE DESCRIPTION --- ------ PO NUMBER - - ----------- ------ --- DUE DATE ACCOUNT NO - ------- -- --CHECK ACCOUNT DESCRIPTION AMOUNT -- -- ------ ------ -- Wff!MANUAL CHECK# ---------- Vendor Total: 1,400.00 4541 FELLER & SONS 334580 334582 SUPPLIES FOR BUDGET BOOKS 20107551 11/28/2010 11020110-551110 MATERIALS/SUPPLIES-ADMIN $642.40 0 LASER LABEL 20107551 11/27/2010 MATERIALS/SUPPLIES-ADMIN $17.12 0 334655 SUPPLIES FOR BUDGET BOOKS 20107473 11/28/2010 11020110-551110 11020110-551110 $43.16 0 MATERIALS/SUPPLIES-ADMIN Vendor Total: 702.68 9144 DR00803 FRONTLINE SOLUTION LLC FRONTLINE SOLUTIONS RMS SUPPORT-12/01/ 20107242 11/12/2010 11020180-541180 OPER.INSURANCE/LIC.FEES $5,300.00 0 Vendor Total: 5,300.00 3925 U-20100384 FULTON TECHNOLOGIES INC SIREN SYSTEM MAINTENANCE & SOFlWARE I 20104930 12/09/2010 11020190-542510 R&M COMMUNICATIONS SYSTEM $4,300.00 0 Vendor Total: 4,300.00 371 KYLE GRONERT 00156 BENSENVILLE NEWSLETTER-SPRING 20107623 05/31/2010 11020170-572171 NEWSLETTER $600.00 0 00172 BENSENVILLE NEWSLETTER-SUMMER 20107624 07/20/2010 11020170-572171 NEWSLETTER $600.00 0 Vendor Total: 1,200.00 391 LARSEN ENTERPRISE 12/15/2010 LEGAL SERVICE-SPECIAL ASSESSMENT 091010 11020120-533110 LEGAL SERV.SPECIAL ASSESSMNT $255.00 0 Vendor Total: 255.00 2729 1003201389-1010 MARATHON PETROLEUM COMPANY FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11020110-554110 $49.77 FUEUGAS/OIL 0 Vendor Total: 49.77 127 MARQUARDT & BELMONTE P.C. PROSECUTION & HEARINGS-OCT 2010 3564 20107522 11/30/2010 11020120-533210 LEGAL SERVICES-ADMIN TOW HEAR $4,853.98 0 Vendor Total: 4,853.98 11760 NORRIS, CHAD 11-1-2010 SERVICE FROM 11/01-11/03-CABLE DEPT 20107577 12/03/2010 11020170-572173 BROADCASTING -LOCAL CHANNEL $600.00 0 11-2-2010 SERVICE FROM 11/08-11/1 0-CABLE DEPT 20107578 12/10/2010 11020170-572173 BROADCASTING - LOCAL CHANNEL $600.00 0 Vendor Total: 1,200.00 9704 OFFICEMAX CONTRACT INC. 343399 OFFICE SUPPLIES 20107494 457455 CALCULATOR 20107511 577363 OFFICE SUPPLIES 20107612 11020190-551110 MATERIALS/SUPPLIES-ADMIN $145.38 0 12/04/2010 11020110-551110 MATERIALS/SUPPLIES-ADMIN 11020110-551110 MATERIALS/SUPPLIES-ADMIN $95.73 $65.24 0 12/10/2010 12/01/2010 0 Vendor Total: 306.35 358 2-11-010-0090 2-11-010-0090 VOORHEES ASSOCIATES LLC PROFESSION SRVS, ADVERTISING CHARGES 20107531 12/03/2010 11020130-5321 00 PROFESSIONAL SERVICES $5,323.19 0 PROFESSION SRVS, ADVERTISING CHARGES 20107531 12/03/2010 11 020130-541250 RECRUITMENT $1,998.20 0 Vendor Total: 7,321.39 Page EXPENDITURE APPROVAL LIST --- ~- -------- -- - ------- INVOICE NUMBER --------------- FOR CHECKS DATED: 11/23/2010 INVOICE DESCRIPTION ----- -- ---------·-· PO NUMBER ------------------------ -- DUE DATE ACCOUNT NO ---- --- ---- ------ --- of 26 --------- CHECK AMOUNT ACCOUNT DESCRIPTION 5 - - - - Wff/MANUAL CHECK# ------ --·· 20 Office of the Village Manager Total: 96,908.35 DEPT 30 12444 U1148771KK Finance AMERICAN MESSAGING PAGER SERVICE 11/1/10-01/31/11 20107415 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $306.24 0 Vendor Total: 306.24 2670 AT&T 6302380094-111 0 PHONE SERVICE FROM 11/07-12/06 20107617 12/07/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $85.47 0 6302385729-1110 PHONE SERVICE FROM 11/07-12/06 20107617 12/07/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $34.30 0 $34.30 $34.30 0 6302385731-1110 PHONE SERVICE FROM 11/07-12/06 20107617 12/07/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) 6302385738-1110 PHONE SERVICE FROM 11/07-12/06 20107617 12/07/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) 0 6303500417-1110 PHONE SERVICE FROM 11/01-11/30 20107538 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $58.86 0 6303500855-111 0 PHONE SERVICE FROM 11/01-11/30 20107538 12/0112010 11030110-541310 COMMUNICATION-PHONES (WIRED) $147.20 0 6303501887-1110 PHONE SERVICE FROM 11/01-11/30 11030110-541310 COMMUNICATION-PHONES (WIRED) $28.49 0 PHONE SERVICE FROM 11/01-11/30 20107538 20107538 12/01/2010 6303501889-1110 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $28.49 $28.49 0 6303502338-1110 6303502446-111 0 6303507928-111 0 6303509815-111 0 6305941436-1010 PHONE SERVICE FROM 11/01-11/30 20107538 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) PHONE SERVICE FROM 11/01-11/30 PHONE SERVICE FROM 11/01-11/30 20107538 20107538 12/01/2010 11030110-541310 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) COMMUNICATION-PHONES (WIRED) PHONE SERVICE FROM 11/01-11/30 20107538 20107537 12/01/2010 11/23/2010 11 03011 0-54131 0 11 030110-541310 20107537 11030110-541310 COMMUNICATION-PHONES (WIRED) COMMUNICATION-PHONES (WIRED) PHONE SERVICE FROM 09/25-10/24 PHONE SERVICE FROM 10/25-11124 COMMUNICATION-PHONES (WIRED) $28.49 $28.49 $701.33 $171.19 0 0 0 0 0 0 6305941440-1010 6305941440-111 0 PHONE SERVICE FROM 09/25-10/24 20107537 12/24/2010 11/23/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $170.58 $199.71 PHONE SERVICE FROM 10/25-11/24 20107537 12/24/2010 1103011 0-541310 COMMUNICATION-PHONES (WIRED) $199.01 0 6307662121-1110 6307662131-1110 PHONE SERVICE FROM 10/28-11/27 20107454 11030110-541310 11030110-541310 $58.95 0 20107454 12/01/2010 12/01/2010 COMMUNICATION-PHONES (WIRED) PHONE SERVICE FROM 10/28-11/27 COMMUNICATION-PHONES (WIRED) $102.55 0 6307663072-1110 PHONE SERVICE FROM 10/28-11/27 20107454 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $28.41 0 0 6305941436-111 0 0 6307663624-1110 PHONE SERVICE FROM 10/28-11/27 20107454 12/01/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $31.05 6308600858-111 0 PHONE SERVICE FROM 11/04-12/03 20107629 12/04/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $112.28 0 6308601542-111 0 PHONE SERVICE FROM 11/04-12/03 20107629 12/04/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $56.99 0 6308601801-1110 PHONE SERVICE FROM 11/04-12/03 20107629 12/04/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $28.30 0 6308602527-111 0 PHONE SERVICE FROM 11/04-12/03 20107629 12/04/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $58.86 0 Vendor Total: 2,456.09 13008 2027951-1010 AT&T LONG DISTANCE LONG DISTANCE PHONE SERVICE-09/20-10/20 20107583 11/21/2010 11030110-541310 COMMUNICATION-PHONES (WIRED) $308.00 0 Vendor Total: 308.00 2685 5866 F.L.STEGING AND ASSOC. CO. JANITORIAL SUPPLIES 20107457 12/03/2010 11030110-552125 MATERIALS/SUPPLIES-CLEANING $139.15 0 VendorTotal: 139.15 10180 1058493686 G & K SERVICES CLEANING FLOOR MAT-VILL HALL 20107483 12/03/2010 11030110-552125 MATERIALS/SUPPLIES-CLEANING $80.03 0 Page 6 of 26 EXPENDITURE APPROVAL LIST -- ------- -------- - - - -------------- INVOICE NUMBER INVOICE DESCRIPTION 1058496260 CLEANING FLOOR MAT-VILL HALL FOR CHECKS DATED: 11/23/2010 -------------- PO NUMBER ----------- ---- ----- ------- - - - - - · - - · 20107512 -------------- DUE DATE ACCOUNT NO 12/10/2010 - -- 11030110-552125 - -- CHECK AMOUNT ACCOUNT DESCRIPTION ----- ------ MATERIALS/SUPPLIES-CLEANING WfT/MANUAL CHECK# ------ $80.03 0 Vendor Total: 160.06 12843 PAYLOCITY PAYROLL FEES 57620089 12/12/2010 11030110-532310 PAYROLL SERVICES $300.18 9001708 VendorTotal: 300.18 30 Finance Total: 3,669.72 DEPT 40 11608 Police AFTERMATH,INCORPORATED BIOHAZARD-SO #302-INV#JC09-319 JC09-319 20107428 11/26/2010 11040110-542110 R&M BUILDING $95.00 0 Vendor Total: 95.00 10249 AL PIEMONTE FORD SALES, INC. INSPECT,REPLACE ENGINE ASSY-SO #305 C00593 20107112 11/20/2010 11040110-542410 R&M VEHICLES $4,190.58 0 VendorTotal: 4,190.58 12790 BENSENVILLE POLICE PENSION FUND VILLAGE POLICE PENSION CONTRIBUTION FY 2010 20107668 12/17/2010 11040110-512154 PENSION CONTRIBUTIONS-PO $587,576.97 0 Vendor Total: 587,576.97 12125 CITGO PETROLEUM CORPORATION FUEL PUCHASE FOR OCT 2010 546340 20107579 11/08/2010 11040110-554110 FUEUGAS/OIL $24.24 0 Vendor Total: 24.24 11185 CJC AUTO PARTS AIR PANEL-SO #323-INV #922973 922973 20107427 11/11/2010 11040110-542410 R&M VEHICLES $11.27 0 Vendor Total: 11.27 39 COMLINK TECHNOLOGIES RPR LIGHTS-SO #301-INV #14817 14817 20107431 11/10/2010 11040380-542510 R&M COMMUNICATIONS SYSTEM $475.00 0 Vendor Total: 475.00 2768 t1108666 COMMUNICATION REVOLVING FUND COMM SERV-SEP1 O-#T11 08666 20107630 10/30/2010 11040380-542100 MAINTENANCE AGREEMENTS $510.00 0 Vendor Total: 510.00 3917 280-16522 DUPAGE COUNTY ANIMAL CONTROL P/U STRAYS-INV #280-16522 20107433 10/01/2010 11 040340-54841 0 ANIMAL CONTROL SERVICES $770.00 0 Vendor Total: 770.00 3232 DUPAGE COUNTY TREASURER DATA PROC FEE-SEP1 0-INV #0542 0542 20107398 10/30/2010 11040380-542100 MAINTENANCE AGREEMENTS $250.00 0 Vendor Total: 250.00 2685 5847 F.L.STEGING AND ASSOC. CO. PPR TWLS/TRASH LINRS-INV #5847 20107423 11/10/2010 11040110-552125 MATERIALS/SUPPLIES-CLEANING $149.10 VendorTotal: 149.10 0 Page 7 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11123/2010 - INVOICE NUMBER INVOICE DESCRIPTION ---- 4075 PO NUMBER --- - ----------- - - - ---- DUE DATE ACCOUNT NO -~------------ -------· ACCOUNT DESCRIPTION CHECK AMOUNT Wff/MANUAL CHECK# ---- ------- ----- - GENORE INC. ADDTL EXTERIOR WORK ON 101B ---------------- BUILDING-CLEA~ 20107637 08/26/2010 11040341-577121 TEEN CENTER $426-00 0 Vendor Total: 426.00 12065 GRAND YORK CURRENCY 111610 ADDT'L PLATE STICKER FEES-A881027 & 96101 20107664 12/16/2010 11040110-54241 0 R&M VEHICLES $3150 0 C467185-2010 PLATE C5+8296 RENEWAL STKR-SQ 3326 20107663 12/16/2010 11 040110-542410 R&M VEHICLES $121-50 0 Vendor Total: 159.00 7665 HOME DEPOT BACK CLIPS/SET D LOAD/WOOD HANGERS/HJl 83398 20107424 10/27/2010 11040341-577121 TEEN CENTER $114_10 0 VendorTotal: 114.10 13222 K& D GUNS REPAIR PARTS-RIFLE-I NV #528 528 20104530 05/31/2010 11 040360-55111 0 MATERIALS/SUPPLIES-ADMIN $338_00 0 Vendor Total: 338.00 12719 LAW OFFICES OF JOHN Z TOSCAS 102010m RED LIGHT MAIL-INV #102010M 20107429 11119/2010 11040110-533100 LEGAL SERVICES $225_QQ 0 102110PR AD HRNG-PARKIORD-#102110PR 11/20/2010 $7QQ_QQ AD HRNG-RED LIGHT-INV#102110R 11040110-533100 11040110-533100 LEGAL SERVICES 102110R 20107582 20107434 LEGAL SERVICES $500.00 0 0 11/20/2010 Vendor Total: 1,425.00 2729 1003201389-1010 MARATHON PETROLEUM COMPANY FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11 040110-554110 FUEUGAS/OIL $823.20 0 Vendor Total: 823.20 12974 MUNICIPAL SYSTEMS INC 4668 PARK/ORO PRGM FEE-JUL 10-#4668 20107649 08/30/2010 11040110-542100 MAINTENANCE AGREEMENTS $429.75 4868 PARK/ORO PRGM FEE-SEP1 0-#4868 20107419 10/30/2010 11040110-542100 MAINTENANCE AGREEMENTS $1,171.25 0 0 Vendor Total: 1,601.00 306 13442 NATIONAL SHERIFFS' ASSOCIATION 20 NEIGHBORHOOD WATCH SIGNS 20107066 12/03/2010 11040341-574410 PREVENTION EDUCATION $302.00 0 Vendor Total: 302.00 8718 6219 NETWORK INTEGRATORS SERVICE FROM 11/10-12/10-DSL SERV TEEN C 20107425 12/10/2010 11040341-577121 TEEN CENTER $96.25 0 Vendor Total: 96.25 2673 NICOR 1817192834-0910 SERVICE FROM 09/08-10/08-302 W GREEN ST j 20107421 10/08/2010 11040341-577121 TEEN CENTER $35.02 0 1817192834-1010 SERVICE FROM 10/08-11/05-302 W GREEN ST j 20107653 11/07/2010 11040341-577121 TEEN CENTER $38.62 0 5745557955-0910 SERVICE FROM 09/08-10/08-302 W GREEN ST j 20107422 10/08/2010 11040341-577121 TEEN CENTER $35.38 0 5745557955-1010 SERVICE FROM 10/08-11/05-302 W GRREN ST l 20107652 11/07/2010 11040341-577121 TEEN CENTER $76.44 0 Vendor Total: 185.46 293 PETTY CASH -TEEN CENTER Page 8 of 26 EXPENDITURE APPROVAL LIST ---- FOR CHECKS DATED: 11/23/2010 ---------- ~--- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER 10-14-10 6-8-10 WATER/JUICE/PAPER PLATES/PLASTIC WARE DUE DATE ACCOUNT NO ~----------- --- CHECK AMOUNT ACCOUNT DESCRIPTION ----- -·--- WrrtMANUA[ CHECK# -------- 12/02/2010 11040341-577121 TEEN CENTER $14.35 0 BAKED MOSTACCOLI FOR END OF SCHOOL Yl 20104137 20104137 12/02/2010 11040341-577121 TEEN CENTER $45.27 0 8-10-10 WATER/GERM-X/SNAKES/TOILET PAPER 20104137 12/02/2010 11040341-577121 TEEN CENTER $128.08 9-9-10 WATER/JUICE/PLASTIC CUPS/MAGAZINES 20104137 12/02/2010 11040341-577121 TEEN CENTER $21.64 0 0 Vendor Total: 209.34 2629 PETTY CASH (P.O.) 10-19-10 CREAMER,SUGAR,CUPS & SOAP 12/04/2010 11 040360-55111 0 MATERIALS/SUPPLIES-ADMIN $23.45 0 10-28-10 CHIEFTS ASSOCIATION MTG.-KOSMAN & LUS 12/04/2010 11040110-522110 EXPENSE REIMBURSEMENT $40.00 0 10/19/10 HOMELAND SECURITY & EMERGENCY MANA( 12/04/2010 11040110-522110 $20.00 0 8/5/10 POSTAGE TO STATE ATTORNEY'S OFFICE 12/04/2010 11040110-540110 EXPENSE REIMBURSEMENT POSTAGE/DELIVERY SERVICESS $20.00 0 Vendor Total: 103.45 11033 RAY O'HERRON CO.-OAKBROOK TERRACE 0028244-IN 0028966-IN UNFRMS-SANBORN-INV #0028244-IN UNFRMS-IRVING-#0028966-IN 20107426 11/10/2010 11 040340-55481 0 0 11/24/2010 11 040340-55481 0 UNIFORMS - PURCHASE UNIFORMS - PURCHASE $81.95 20107646 $412.50 0028975-IN UNFRMS-HERRERA-#0028975-IN 20107647 11/07/2010 11 040340-55481 0 UNIFORMS - PURCHASE $260.70 0 0 Vendor Total: 755.15 2910 103110 S & M CAR WASH INC FUEL PURCHASE OCT 2010 20107543 11/30/2010 11040110-554110 $5,343.81 FUEUGAS/OIL 0 Vendor Total: 5,343.81 12364 303244 UEQ CORPORATION REFRIGERATOR FOR TEEN CENTER 20107667 12/17/2010 11040110-542110 $1,170.00 R&M BUILDING 0 Vendor Total: 1,170.00 6865 12348 VANGUARD SECURITY CO CHECK CAMERAS-I NV #12348 20107401 09/21/2010 11040110-542110 $541.75 R&M BUILDING 0 VendorTotal: 541.75 11240 585520014-1010 VERIZON WIRELESS INTERNET SERVICE TO SQUAD CARS-10/20-11 20107648 11124/2010 11 040380-5421 00 MAINTENANCE AGREEMENTS $582.80 0 Vendor Total: 582.80 8440 000179143 WHOLESALE DIRECT HANDLE ASSY-SQ #302-#000179143 20107656 08/07/2010 11040110-542410 $34.84 R&M VEHICLES 0 Vendor Total: 34.84 40 Police Total: 608,263.31 DEPT 50 3047 457099 Public Works 1ST AYD CORPORATION PUMACE HAND SOAP, BRAKE CLEANER & BAl 20107465 11/26/2010 11050490-552130 MATERIAUSUPPLIES-VEHICLES $137.21 0 Vendor Total: 137.21 3568 128594 A SPECIAL ELECTRIC SUPPLY LAMP BALLAST KIT HEAT SHRINK 20107303 11/24/2010 11050420-552670 MATERIAUSUPPLIES-ST LIGHTS $222.75 0 Page 9 of 26 EXPENDITURE APPROVAL LIST ----------- FOR CHECKS DATED: 11/23/2010 - ------ ----------- INVOICE NUMBER INVOICE DESCRIPTION 128617 TAYMAC WEATHERPROOF COVER,HEAVYWAI ---------- PO NUMBER -------- --- 20107469 ------------------- --- DUE DATE ACCOUNT NO ----- 11/17/2010 -- --- --- - - - - CHECK AMOUNT ACCOUNT DESCRIPTION --------- 11050420-552670 -- -- -------- ---- MATERIAUSUPPLIES-ST LIGHTS WIT/MANUAl CHECK# $95.53 0 Vendor Total: 318.28 10249 AL PIEMONTE FORD SALES, INC. HOSE ASY #732 480405 20106704 10/09/2010 11050420-542410 $273.84 R & M VEHICLES 0 Vendor Total: 273.84 401 CEO 1028-621353 FLUOR LAMPS 8' 20107532 11/26/2010 11 050440-54211 0 R&M BUILDING $214.32 0 1028-621670 EXIT LIGHT BULBS 20107532 12/02/2010 11 050440-54211 0 R&M BUILDING $105.00 0 Vendor Total: 319.32 2974 CINTAS FIRST AID & SAFETY OF75011709 FIRE EXT. INSPECTION 20107464 11/06/2010 11 050440-54211 0 R&M BUILDING $102.75 0 OF75011714 FIRE EXT. INSPECTION 20107464 11/06/2010 11 050440-54211 0 R&M BUILDING $39.75 0 Vendor Total: 142.50 12125 CITGO PETROLEUM CORPORATION 546340 FUEL PUCHASE FOR OCT 2010 20107579 11/08/2010 11 050420-55411 0 FUEUGAS/OIL $1,905.63 0 546340 FUEL PUCHASE FOR OCT 2010 20107579 11/08/2010 11 050430-55411 0 FUEUGAS/OIL $1,302.22 0 Vendor Total: 3,207.85 11185 CJC AUTO PARTS 659064 WIXFILTER 20107368 11/27/2010 11 050430-54231 0 R&M EQUIPMENT $63.79 0 924159 WINDSHLNF 20107368 11/27/2010 11 050490-552130 MATERIAUSUPPLIES-VEHICLES $59.70 0 Vendor Total: 123.49 2668 2208050044-1010 COMMONWEALTH EDISON SERVICE FROM 09/16-1 0/15-MASTER ACCOUN. 20107318 11/15/2010 11050420-541370 $7,327.56 ELECTRICITY 0 Vendor Total: 7,327.56 9327 FIRST TRANSIT INC 558780910 R-20-2010 DAB SERVICE-SEPT 2010 20105173 10/30/2010 11050118-549990 OTHER CONTRACTUAL SERVICE 558780910A DAB EXCESS FUEL-SEPT 2010 20107154 10/30/2010 11 050118-55411 0 FUEUGAS/OIL 558781010 R-20-2010 DAB SERVICE-OCT2010 20105173 11/30/2010 11050118-549990 OTHER CONTRACTUAL SERVICE 558781010A DAB EXCESS FUEL-OCT 201 0 20107154 11/30/2010 11050118-55411 0 FUEUGAS/OIL $21,631.02 0 $214.31 0 $21,631.62 0 $371.35 0 Vendor Total: 43,848.30 2841 9384716388 9388963614 GRAINGER LONG NOSE PLIER PADLOCK, TORPEDO LEVEL 20107460 12/01/2010 11 050420-55451 0 SMALL TOOLS & EQUIPMENT $73.98 0 20107458 12/05/2010 11050420-554510 SMALL TOOLS & EQUIPMENT $62.67 0 Vendor Total: 136.65 7665 HOME DEPOT 0127941/128114 OPEN CREDIT ON ACCOUNT 10/25/2010 11 050440-54211 0 R&M BUILDING $-95.15 0 0127941/128114 OPEN CREDIT ON ACCOUNT 11050440-542110 0 10 IN TOTE, VAC BELT HVR R&M BUILDING SMALL TOOLS & EQUIPMENT $-39.47 1564167 10/25/2010 12/05/2010 $20.94 0 20107493 11 050440-55451 0 Page 10 of EXPENDITURE APPROVAL LIST ------ FOR CHECKS DATED: 11/23/2010 ------------- - - -- ----- ----- CHECK AMOUNT INVOICE NUMBER INVOICE DESCRIPTION 2578706 C9 BULBS 20107481 12/04/2010 11 050430-549990 OTHER CONTRACTUAL SERVICE 4015376 ON SITE BOX 20107596 12/12/2010 11 050420-55451 0 SMALL TOOLS & EQUIPMENT PO NUMBER DUE DATE ACCOUNT NO ---- ---- ----- ACCOUNT DESCRIPTION --- 26 --- --- -- ----------------------------- Wff/MANUAL CHECK# --·---------- $35.46 0 $159.00 0 Vendor Total: 80.78 10934 10-10-0146 JULIE INC JULIE LOCATES FOR OCT 2010 20107490 11/30/2010 11 05011 0-52111 0 MEMBERSHIP DUES $79.62 0 Vendor Total: 79.62 3280 LOCAL VENDING SERVICE PW COFFEE SERVICE 9467 20107466 12/01/2010 11 05011 0-55111 0 MATERIALS/SUPPLIES-ADMIN $36.85 0 Vendor Total: 36.85 2912 1010-687198 MAHER LUMBER HARDWARE SYP UNDERLA YMENT 20107273 11/25/2010 11050420-552610 MATERIALS/SUPPLIES-ST MAINT $26.31 0 Vendor Total: 26.31 2729 MARATHON PETROLEUM COMPANY 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11 050420-55411 0 FUEUGAS/OIL $526.64 0 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11 050430-55411 0 FUEUGAS/OIL $238.38 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11 050440-55411 0 FUEUGAS/OIL $161.43 0 0 12050 MEADE ELECTRIC COMPANY INC Vendor Total: 926.45 648007 TRAFFIC SIGNAL MAINTENANCE 20105180 11/29/2010 11050421-542820 R&M TRAFFIC SIGNALS $1,153.31 0 VendorTotal: 1,153.31 11265 53178 56878 MENARDS-GLENDALE HEIGHTS C9 REPLACEMENT BULBS 20107486 12/04/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $20.79 0 HOLIDAY DECORATIONS 20107607 12/11/2010 11 050430-549990 OTHER CONTRACTUAL SERVICE $128.01 0 Vendor Total: 148.80 6509 MILLER INDUSTRIAL 417177 DUCK TAPE 20107280 11/21/2010 11050110-551110 MATERIALS/SUPPLIES-ADMIN $41.94 417429 PAINTING SUPPLIES 20107282 11/24/2010 11050420-554510 SMALL TOOLS & EQUIPMENT $34.40 0 417704 IMPULSE TOOLS 20107283 11/25/2010 11 050420-55451 0 SMALL TOOLS & EQUIPMENT $19.94 0 0 418096 TROD, DIE, SOCKET, FLAT WASHERS, HEX NU 20107350 11/27/2010 11 050420-55261 0 MATERIALS/SUPPLIES-ST MAINT $75.20 0 418096 TROD, DIE, SOCKET, FLAT WASHERS,HEX NU 20107350 11/27/2010 11050420-554510 SMALL TOOLS & EQUIPMENT $18.99 0 418320 FUSION SPRAY PAINT 20107378 11/28/2010 11 050440-54211 0 R&M BUILDING $35.94 0 418439 418439 DUCK TAPE,V160COAT & HAT HK SCHR,CLOTt 20107475 11/28/2010 11050110-551110 $9.98 0 DUCK TAPE,V160COAT & HAT HK SCHR,CLOTt 20107475 11/28/2010 11 050421-552615 MATERIALS/SUPPLIES-ADMIN PAINT $13.98 0 418483 DUCK TAPE AP 1.88X60YD ACE 20107475 11/29/2010 11 050421-552615 PAINT $27.96 0 418637 RED PAINT 20107476 12/01/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $29.95 0 419160 ROLLER FRAME, COUPLE CPVC 1/2 20107478 12/04/2010 11050420-552610 MATERIALS/SUPPLIES-ST MAINT $0.98 0 419160 419240 ROLLER FRAME, COUPLE CPVC 1/2 ELBOW PULL EMT, SEALANT MARINE 20107478 20107479 12/04/2010 11050421-552615 PAINT 12/04/2010 11050440-542110 R&M BUILDING $2.49 0 $14.57 0 Page 11 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 ------------------------- --------------- --------· --~ -------------- -· CHECK AMOUNT WIT/MANUAL CHECK# INVOICE NUMBER INVOICE DESCRIPTION 419515 GAS CANS, PUMP CHANNEL PLIER 20107474 12/05/2010 11 050440-54231 0 R&M EQUIPMENT $11.99 419515 GAS CANS, PUMP CHANNEL PLIER 20107474 12/05/2010 11 050440-55451 0 SMALL TOOLS & EQUIPMENT $29.98 0 419795 SINGLE CUT KEYS 20107488 12/08/2010 11 050440-54211 0 R&M BUILDING $2.98 0 PO NUMBER ---- ---~-- DUE DATE ACCOUNT NO ACCOUNT DESCRIPTION -------- ---------------- ----- --- ---- 0 Vendor Total: 371.27 9986 NAFISCO INC 99163 SIGNS 20107339 11/27/2010 11 050421-552660 MATERIALS/SUPPLIES-MAINT SIGNS $510.80 0 99166 ROLL STAINLESS STEEL BANDING 20107482 12/02/2010 11050421-552660 MATERIALS/SUPPLIES-MAINT SIGNS $37.65 0 Vendor Total: 548.45 10782 12949 NEAT CLEANING, INC. R-26-2010 20105177 11/29/2010 11 050440-549990 OTHER CONTRACTUAL SERVICE $965.00 0 Vendor Total: 965.00 6908 RKD CONSTRUCTION SUPPLIES & EQ 1/695050 ACRYLIC ADHESIVE DISPENSING NOZZLE 20107480 11/29/2010 11050420-552610 MATERIALS/SUPPLIES-ST MAINT $81.00 0 1/696950 REBAR 20107492 12/05/2010 11050420-552610 MATERIALS/SUPPLIES-ST MAINT $52.00 0 1/698340 MAPECEM QUICKPATCH 20107492 12/05/2010 11 050420-55261 0 MATERIALS/SUPPLIES-ST MAINT $16.00 1/699010 1/699110 SILICA SAND (100LB) 20107492 20107492 12/05/2010 11050420-552610 MATERIALS/SUPPLIES-ST MAINT 0 0 12/05/2010 11 050420-55261 0 MATERIALS/SUPPLIES-ST MAINT $7.50 $147.00 SONOLASTIC NP1 LIMESTONE 0 Vendor Total: 303.50 292 111210 RONJASKI REIM-CLASS B WATER OPERATOR TRAINING 20107619 12/12/2010 11050110-522110 EXPENSE REIMBURSEMENT $348.59 0 Vendor Total: 348.59 2997 SHEMIN NURSERIES, INCORPORATED 751996 CREDIT REF#INV 741927 752313 INVOICE 752313 30 PRN LOPPER COR BP 27" 20106957 09/24/2010 11 050430-542811 R&MROW 10/29/2010 11050430-554510 SMALL TOOLS & EQUIPMENT $-48.75 $41.25 0 0 VendorTotal: -7.50 384 SPRING GROVE NURSERY INC 1188 TREES-GINKGO,MAPLE,PEAR,LINDEN 20107074 11/27/2010 11 050430-542811 R&MROW 1188 TREES-GINKGO,MAPLE,PEAR,LINDEN 20107074 11/27/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $1,144.54 0 $485.46 0 Vendor Total: 1,630.00 4236 C60809 STANDARD EQUIPMENT CO. ELGIN GUTTER BRUSH 20107472 11/28/2010 11 050420-54231 0 R & M EQUIPMENT $219.20 0 Vendor Total: 219.20 10895 95022-00 TERMINAL SUPPLY CO HALOGEN MINI, MINI FUSE, CABLE 20107484 12/04/2010 11050490-552130 MATERIAUSUPPLIES-VEHICLES $98.30 0 Vendor Total: 98.30 8841 524198 524259 THE BREWER COMPANY PAINT ROLLERS HANDLES COVERS TRAY,BLJI YELLOW LATEX PAINT 20107309 20107379 11/24/2010 11/25/2010 11050420-552610 11050420-552610 MATERIALS/SUPPLIES-ST MAINT MATERIALS/SUPPLIES-ST MAINT $207.45 0 $98.40 0 Page 12 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER YELLOW LATEX PAINT, GLASS BEAD 524262 20107379 DUE DATE ACCOUNT NO 11/25/2010 11050420-552610 ACCOUNT DESCRIPTION MATERIALS/SUPPLIES-ST MAINT CHECK AMOUNT WfT/MANUAL CHECK# $138.15 0 Vendor Total: 444.00 11157 TRU-GREEN 017527 FALL APPLICATION-REDMOND PARK 20100035 11/17/201 0 11050430-549990 OTHER CONTRACTUAL SERVICE $400.00 0 022073 FALL APPLICATION-600JOHN ST 20100035 11/17/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $70.00 0 Vendor Total: 470.00 3027 VEHICLE FASTENERS 70371 CLAMPS -WASHERS - NUTS &BOLTS 20107276 11/21/2010 11050490-552130 MATERIAUSUPPLIES-VEHICLES $117.04 70456 CABLE TIES 20107549 12/01/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $200.00 70465 HOSE CLAMPS CABLE TIES 20107549 12/05/2010 11050430-549990 OTHER CONTRACTUAL SERVICE $160.00 0 70465 HOSE CLAMPS CABLE TIES 20107549 12/05/2010 11050490-552130 MATERIAUSUPPLIES-VEHICLES $88.00 0 0 0 Vendor Total: 565.04 9456 VILLA PARK MATERIAL COMPANY 90510 REDI MIX CONCRETE 20105435 11/18/2010 11050420-542810 R & M PAVEMENT $390.00 0 90794 REDI MIX CONCRETE 20105435 12/02/2010 11050420-542810 R&MPAVEMENT $444.00 0 Vendor Total: 834.00 3510 WENTWORTH TIRE-BENSENVILLE #717 TIRE REPAIR 492153 20107468 12/03/2010 11050420-542310 $60.49 R & M EQUIPMENT 0 Vendor Total: 60.49 385 WERNER INTERNATIONAL ENTERPRISES INC BULBS 6167 20107453 05/31/2010 11050420-552670 MATERIAUSUPPLIES-ST LIGHTS $99.89 0 Vendor Total: 99.89 50 Public Works Total: 65,237.35 DEPT 60 11009 36985 Community & Economic Develpmnt ATOMIC TRANSMISSIONS TRANSMISSION SERVICE #510 20107382 11/25/2010 11060640-542410 $235.00 R&M VEHICLES 0 Vendor Total: 235.00 13023 111610 BRK BRANDS, INC 102 SMOKE DETECTORS & 45 CARBON MONO: 20107650 12/16/2010 11060640-554950 $1,500.00 SMOKE/CO DETECTORS 0 Vendor Total: 1,500.00 2656 103010 HITCHCOCK, ROBERT PLAN REVIEWS & INSPECTIONS OCT 2010 20107535 11/29/2010 11060640-549990 OTHER CONTRACTUAL SERVICE $1,690.00 0 Vendor Total: 1,690.00 12683 M120 ILLINOIS FIRE INSPECTORS ASSOC. INSPECTOR MEMBERSHIP DUES 20107519 12/01/2010 11060640-521110 MEMBERSHIP DUES $95.00 0 Vendor Total: 95.00 2729 1003201389-1010 MARATHON PETROLEUM COMPANY FUEL PURCHASE FOR OCT 2010 20107540 11/30/201 0 11060640-55411 0 FUEUGAS/OIL $121.50 0 Page 13 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 ---·-- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER ---- --~-- DUE DATE ACCOUNT NO -- - - CHECK AMOUNT ACCOUNT DESCRIPTION - WfT/MANUAL CHECK# ---··--- Vendor Total: 121.50 8953 1000063076 MICROSYSTEMS, INC. STORAGE & VERIFICATION OF NEW BOXES & 20107509 11/30/2010 11060110-549990 OTHER CONTRACTUAL SERVICE $39.62 0 Vendor Total: 39.62 4639 120310 NWBOCA NWBOCA ANNUAL HOLIDAY MEETING-LIBERT 20107594 01/02/2011 11 060640-52151 0 TRAINING PROGRAMS/SESSIONS $40.00 0 Vendor Total: 40.00 2910 103110 S & M CAR WASH INC FUEL PURCHASE OCT 2010 20107543 11/30/2010 11 060640-55411 0 FUEUGAS/OIL $240.50 0 Vendor Total: 240.50 9227 8016951544 STAPLES BUSINESS INC CD SLEEVES 20107600 12/06/2010 11060110-551110 $40.67 MATERIALS/SUPPLIES-ADMIN 0 Vendor Total: 40.67 8582 4686 T.P.I. PLAN REVIEWS & INSPECTION OCT 2010 20107564 11/29/2010 11 060640-549990 OTHER CONTRACTUAL SERVICE $7,044.85 0 Vendor Total: 7,044.85 60 Community & Economic Develpmnt Total: 11,047.14 DEPT 70 11222 Recreation&Community Programng ALPHA BAKING COMPANY, INC. 0041243012 FOOD ITEMS FOR CONCESSIONS 20107574 09/30/2010 11070785-567810 FOOD ITEMS $58.32 0041253011 FOOD ITEMS FOR CONCESSIONS 20107574 10/10/2010 11 070785-56781 0 FOOD ITEMS $96.64 0 0 0041274013 FOOD ITEMS FOR CONCESSIONS 20107574 10/31/2010 11 070785-567810 FOOD ITEMS $221.45 0 0041288014 FOOD ITEMS FOR CONCESSIONS 20107516 11/14/2010 11070785-567810 FOOD ITEMS $77.40 0 0041295013 FOOD ITEMS FOR CONCESSIONS 20107574 11/21/2010 11070785-567810 FOOD ITEMS $106.90 0 0041302011 FOOD ITEMS FOR CONCESSIONS 20107450 11/28/2010 11070785-567810 FOOD ITEMS $184.70 0 0041308010 FOOD ITEMS FOR CONCESSIONS 20107516 12/04/2010 11070785-567810 FOOD ITEMS $83.20 0 0041313015 FOOD ITEMS FOR CONCESSIONS 20107517 12/09/2010 11070785-567810 FOOD ITEMS $124.20 0 041204606D FOOD ITEMS FOR CONCESSIONS 20107449 11/26/2010 11 070785-567810 FOOD ITEMS $59.00 0 Vendor Total: 1,011.81 3665 INVCST05611 0 AMERICAN RED CROSS CERTIFICATION FEE-LIFEGUARDS 20107503 11/28/2010 11 070760-52111 0 MEMBERSHIP DUES $14.00 0 VendorTotal: 14.00 9474 1505013 ANDERSON PEST SOLUTIONS PEST CONTROL SERVICE-EDGE II 20107447 12/02/2010 11 070785-549990 OTHER CONTRACTUAL SERVICE $64.74 0 Vendor Total: 64.74 11330 70727 AQUA PURE ENTERPRISES CHEMICALS FOR THE POOL 20107575 11/27/2010 11070760-554120 CHEMICALS $390.70 Vendor Total: 390.70 0 EXPENDITURE APPROVAL LIST Page 14 of 26 FOR CHECKS DATED: 11/23/2010 ------. INVOICE NUMBER INVOICE DESCRIPTION · - PO NUMBER ···------ DUE DATE ACCOUNT NO ACCOUNT DESCRIPTION CHECK AMOUNT WfT/MANUAL CHECK# $548.50 0 ---------- 11556 BAUM SIGN INC. REPAIR SOCCER FIELD SCOREBOARD B6903 20107576 11/25/2010 11 070720-54231 0 R & M EQUIPMENT Vendor Total: 548.50 11021 BELLA BREW COFFEE & BEVERAGE CO. 233088 HOT BEVERAGES FOR CONCESSIONS 20107571 11/28/2010 11070785-567810 FOOD ITEMS $691.61 0 233237 160Z COFFEE CUP- CONCESSIONS 20107448 12/04/2010 11070785-567810 FOOD ITEMS $172.00 0 Vendor Total: 863.61 7086 TOY STORY 3 WK#1 BUENA VISTA PICTURES DIST. MOVIE RENTAL FEE 'TOY STORY 3" WK#1 20107444 11/21/2010 11 070790-54 791 0 MOVIE RENTAL FEES $221.20 0 Vendor Total: 221.20 12681 CARDINAL FENCE & SUPPLY INC 210091 MATERIAL TO REPAIR FENCE-RD 20107518 11/19/2010 11070720-542800 R & M BLDGS & STRUCTURES $90.75 0 210092 MATERIAL TO REPAIR FENCE-RD 20107518 11/19/2010 11 070720-542800 R & M BLDGS & STRUCTURES $54.45 0 Vendor Total: 145.20 205 CHRIS PANOS FOODS CORPORATION 724497 FOOD ITEMS FOR CONCESSIONS 20107523 08/29/2010 11 070785-56781 0 FOOD ITEMS $60.28 738961A FOOD ITEMS FOR CONCESSIONS FOOD & PAPER GOODS-CONCESSIONS FOOD ITEMS & CLEANING SUPP-THEATRE 20107523 20107437 20107525 11/27/2010 11070785-567810 FOOD ITEMS $908.13 0 0 11/28/2010 12/04/2010 11070785-567810 11 070790-542112 FOOD ITEMS R & M BUILDING-CLEANING $179.45 $217.12 0 0 $406.19 $532.27 0 $28.78 0 739385 739927D 739927D FOOD ITEMS & CLEANING SUPP-THEATRE 20107525 12/04/2010 11 070790-56781 0 7400110 FOOD ITEMS FOR CONCESSIONS 20107524 12/04/2010 11 070785-56781 0 FOOD ITEMS FOOD ITEMS 740462 (2) CASES OF LIDS-CONCESSIONS 20107496 12/05/2010 11070785-567810 FOOD ITEMS 0 Vendor Total: 2,332.22 13176 769506643 CINTAS CORPORATION HAND TOWELS & TOILET PAPER-THEATRE 20107520 12/01/2010 11 070790-542112 R & M BUILDING-CLEANING $100.20 0 Vendor Total: 100.20 2974 0343682187 CINTAS FIRST AID & SAFETY AED PADS ADULT & PEDIATRIG-POOL 20107502 12/02/2010 11070760-551110 MATERIALS/SUPPLIES-ADMIN $184.90 0 Vendor Total: 184.90 7585 COCA COLA BOTTLING COMPANY 0328252330 BEVERAGES FOR SUNDAE'S TOO 0328252821 PRICE ADJ REF DOC#03282528219 20107507 12/01/2010 11070790-567810 FOOD ITEMS $205.50 0 11/05/2010 11070785-567810 FOOD ITEMS $-75.50 0 Vendor Total: 130.00 2668 1354115022-0810 COMMONWEALTH EDISON SERVICE FROM 08/02-08/31-REDMOND 20107497 09/30/2010 11070720-541370 ELECTRICITY $40.45 0 0 0 0 1354115022-0910 SERVICE FROM 08/31-1 0/01-REDMOND 20107498 10/01/2010 11070720-541370 ELECTRICITY $14.96 1354115022-1010 SERVICE FROM 10/01-11/01- REDMOND SERVICE FROM 09/30-10/29L-BANDSHELL 20107501 20107024 10/31/2010 11070720-541370 11070720-541370 ELECTRICITY $14.96 ELECTRICITY $21.88 1453018053-1010 11/28/2010 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 --------·-- PO NUMBER - - - Page 15 of 26 CHECK ... WIT/MANUAL AMOUNT CHECK# INVOICE NUMBER INVOICE DESCRIPTION 4514125014-1010 SERVICE FROM 09/29-10/29- REDMOND 20107500 11/28/2010 11070720-541370 ELECTRICITY $170.97 0 7982551018-1010 SERVICE FROM 09/29-10/29-GYMNASIUM 20107499 11/28/2010 11070720-541370 ELECTRICITY $80.91 0 DUE DATE ACCOUNT NO -------- ACCOUNT DESCRIPTION ·-- Vendor Total: 344.13 2865 10/01-10/31/10 DAILY HERALD OCT 2010 SHOWTIMES ADS-THEATRE 20107542 11/30/2010 11070790-541145 ADVERTISING $279.93 0 Vendor Total: 279.93 4541 FELLER & SONS 334661 OFFICE SUPPLIES - REDMOND R.C. 20107441 12/01/2010 11 070720-55111 0 MATERIALS/SUPPLIES-ADMIN $34.86 0 334713 OFFICE SUUPLIES- REDMOND R.C. 20107442 12/04/2010 11 070720-55111 0 MATERIALS/SUPPLIES-ADMIN $32.72 0 Vendor Total: 67.58 136 FERRELLGAS 1035604807 REFILL PROPANE GAS - EDGE II 20107436 12/02/2010 11 070740-541385 GAS-PROPANE $138.00 0 1035604810 REFILL PROPANE GAS - EDGE I 20107435 12/02/2010 11 070740-541385 GAS-PROPANE $115.26 0 1035716512 REFILL PROPANE GAS - EDGE II 20107495 12/09/2010 11 0707 40-541385 GAS-PROPANE $136.57 0 Vendor Total: 389.83 10180 1058493696 G & K SERVICES CLEANING FLOOR MATS-THEATRE 20107513 12/03/2010 11 070790-542112 R & M BUILDING-CLEANING $103.24 0 Vendor Total: 103.24 9695 222086 GOLD MEDAL-CHICAGO FOOD ITEMS-CONCESSIONS-EDGE 20107568 12/03/2010 11 070785-56781 0 FOOD ITEMS $501.14 0 VendorTotal: 501.14 13115 HERSHEY CREAMERY COMPANY INVE0005423910 ICE CREAM FOR SUNDAE'S TOO 20107589 11/26/2010 11070790-567810 FOOD ITEMS $279.40 0 Vendor Total: 279.40 7665 HOME DEPOT 0127941/128114 OPEN CREDIT ON ACCOUNT 10/25/2010 11070790-542110 R&M BUILDING $-3.94 0127941/128114 OPEN CREDIT ON ACCOUNT 10/25/2010 11 070790-54211 0 R&M BUILDING $-1.63 0 0127941/128114 OPEN CREDIT ON ACCOUNT 10/25/2010 11 070790-542112 R & M BUILDING-CLEANING $-9.53 0 0127941/128114 OPEN CREDIT ON ACCOUNT 9020182 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 9090141 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 9114275 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 0 10/25/2010 11 070790-542112 R & M BUILDING-CLEANING $-3.94 0 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $99.70 0 20107560 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $284.87 0 20107560 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $99.70 0 20107560 9200038 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 20107560 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $299.10 0 9584497 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 20107560 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $79.76 0 9590850 SUPPLIES & CHRISTMAS LIGHTS-HOLIDAY MA 20107560 11/27/2010 11070720-571120 HOLIDAY DECORATIONS $189.43 0 Vendor Total: 1,033.52 290 37905 HOVING PIT STOP INC. PORTABLE RESTROOMS-HALLOWEEN 20107204 12/01/2010 11070110-577018 HALLOWEEN/OCTOBERFEST $280.00 0 Page 16 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO CHECK AMOUNT ACCOUNT DESCRIPTION WfflMANUAL CHECK# ------------------ - - - - - - - Vendor Total: 280.00 7664 00040298 ICE SKATING INSTITUTE lSI SKATER MEMBERSHIPS-EDGE 20107559 11/30/2010 11070740-557481 ICE SHOW COSTUMES-PURCHASE $507.00 0 Vendor Total: 507.00 7925 JORSON & CARLSON CO., INC. 0229805 ICE SCRAPER KNIFE - EDGE II 20107445 11/25/2010 11070740-542610 R&MOLYMPIA $25.50 0 0230751 ICE SCRAPER KNIFE - EDGE II 20107446 12/02/2010 11 070740-54261 0 R&MOLYMPIA $25.50 0 Vendor Total: 51.00 12098 LIONS GATE ENTERTAINMENT THE EXPENDABLES W MOVIE RENTAL-"THE EXPENDABLES" WK#1 20106967 10/30/2010 11070790-547910 MOVIE RENTAL FEES $146.30 0 Vendor Total: 146.30 2729 1003201389-1010 MARATHON PETROLEUM COMPANY FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 11070720-554110 FUEUGAS/OIL $249.03 0 Vendor Total: 249.03 345 MEGWEARINC (80) T-SHIRTS FOR POOL STAFF 10134 20107528 11/09/2010 11 070760-55481 0 UNIFORMS-PURCHASE $410.00 0 Vendor Total: 410.00 6509 MILLER INDUSTRIAL REPAIR GYMNASIUM BLDG ROOF 418164 20107443 11/27/2010 11070720-542800 R & M SLOGS & STRUCTURES $81.98 0 Vendor Total: 81.98 5630 110210 MONTY'S BANQUETS SENIOR'S MONTHLY LUNCHEON-NOV 2010 20107553 12/24/2010 11070110-577125 SENIOR CITIZEN PROGRAMS $2,295.00 0 Vendor Total: 2,295.00 403 202244 MUSKY TALES INC KEYSTONE FISH DELIVERY -FISHING DERBY 20107534 08/09/2010 11070110-577013 LIBERTY FEST (3 & 4 JULY) $1,314.00 0 Vendor Total: 1,314.00 2673 5174580021-1010 NICOR SERVICE FROM 06/30-10/28-GYMNASIUM 20107439 11/27/2010 11070720-541370 ELECTRICITY $42.36 0 Vendor Total: 42.36 7130 CASE 39WK#1 PARAMOUNT PICTURES MOVIE RENTAL FEE "CASE 39" WK #1 20107506 12/04/2010 11070790-547910 MOVIE RENTAL FEES $150.00 0 Vendor Total: 150.00 8248 PARODY PRODUCTIONS ARTIST DRAWING-HOLIDAY MAGIC 2010 5083 20107563 12/20/2010 11070110-577019 TREE LIGHTING $300.00 0 Vendor Total: 300.00 11407 301989 PROGUARD SPORTS, INC. INVENTORY PRO-SHOP 20107202 11/27/2010 11070784-557830 INVENTORY STOCK COGS $220.57 0 Page 17 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 ----------- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER - --- - - - -CHECK ---- DUE DATE ACCOUNT NO ACCOUNT DESCRIPTION AMOUNT -- -·------- . WrfiMANUAL CHECK# ----------- Vendor Total: 220.57 2997 SHEMIN NURSERIES, INCORPORATED BLUE GRASS SOD - REDMOND PARK 754460 20107324 11/26/2010 11 070720-552110 MATERIALS/SUPPLIES-OPERATONS $276.00 0 Vendor Total: 276.00 10357 TECHNICOLOR 85412986 DELIVERY SERVICE-"TOY STORY 3" 20107514 11/24/2010 11070790-540110 POSTAGE/DELIVERY SERVICESS $23.11 0 85414569 MARKETING SERVICES "CASE 39" 20107515 12/01/2010 11070790-540110 POSTAGE/DELIVERY SERVICESS $6.90 0 Vendor Total: 30.01 11331 THE LIFEGUARD STORE INV030816 TRAINING SUPPLIES-POOL 20107452 11/28/2010 11 070760-552125 MATERIALS/SUPPLIES-CLEANING $224.25 INV030825 UNIFORMS- AQUATIC CENTER STAFF 20107451 11/28/2010 11 070760-55481 0 UNIFORMS-PURCHASE $192.00 0 ORD027758 UNIFORMS FOR POOL STAFF 20107209 11/24/2010 11070760-554810 UNIFORMS-PURCHASE $1,267.50 0 0 Vendor Total: 1,683.75 3016 THOMPSON RENTAL STATION, INC. 455119 TABLES & CHAIRS RENTAL-REDMOND-GE SPE 20107440 11/24/2010 11070720-552110 MATERIALS/SUPPLIES-OPERATONS $223.20 0 456220 (40)CORN STALK-HALLOWEEN FEST 20107392 11/21/2010 11070110-577018 HALLOWEEN/OCTOBERFEST $290.00 0 Vendor Total: 513.20 11047 THYSSENKRUPP ELEVATOR 670264 ELEVATOR MAINTENACE-EDGE II 20107572 12/01/2010 11070740-542310 R&M EQUIPMENT $639.89 0 670265 ELEVATOR MAINTENANCE-EDGE I 20107573 12/01/2010 11 0707 40-54231 0 R&M EQUIPMENT $600.00 0 Vendor Total: 1,239.89 6781 TODCO MATERIAL HANDLING CO. REPAIR OLYMPIA 2500- EDGE 37995 20107557 10/3112010 11 0707 40-54261 0 R&MOLYMPIA $298.52 0 Vendor Total: 298.52 9749 TOWN & COUNTRY DIST 0361245 BEER FOR THE BLUE LINE BAR-EDGE 20107569 11/07/2010 11070785-567810 FOOD ITEMS $352.25 0 0367371 BEER FOR THE BLUE LINE BAR 20107570 12/05/2010 11070785-567810 FOOD ITEMS $796.25 0 Vendor Total: 1,148.50 6022 OCT 2010 YOUR FRIENDLY SHOPPER HALLOWEEN FEST ADVERTISING 20107554 11/29/2010 11070110-577018 HALLOWEEN/OCTOBERFEST $297.50 0 Vendor Total: 297.50 70 Recreation&Community Programng Total: 20,540.46 110 General Fund Total: 894,126.82 310 Capital Improvements Fund Default (Non-Departmental) A LAMP CONCRETE CONTRACTORS INC 7478 DEPT 00 13307R 5% RETAINAGE FROM PAYMENT#2 20107179 12/04/2010 31 000000-23801 0 AP- RETAINAGE $-4,990.25 Vendor Total: -4,990.25 0 Page 18 of EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 -- - INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO - ------------- CHECK-VV~/MANUAL ACCOUNT DESCRIPTION - 26 AMOUNT CHECK# ------------- ------- 00 Default (Non-Departmental) Total: -4,990.25 DEPT 80 7478 Capital Improvements A LAMP CONCRETE CONTRACTORS INC R-60-2010 A lAMP CONCRETE 13307 20107179 12/04/2010 31 08081 0-596000 CAPITAL OUTlAY-IMPROVEMENTS $324,035.93 0 Vendor Total: 324,035.93 2865 T4239267 T4239268 DAILY HERALD NOTICE PUBLIC HEARING-SSA 3-9 & ORDINAN NOTICE PUBLIC HEARING-ORDINANCE #80-20· 20107631 12/05/2010 31080840-578372 REDEVL PROJS & OTHER EXP - SSA $40.50 0 20107631 12/05/2010 31 080840-5 78372 REDEVL PROJS & OTHER EXP - SSA $343.50 0 Vendor Total: 384.00 5210 026041 O'HARE AUTO BODY SOC VAN CONVERSION FOR ESDA FUFF/DETI 20106884 12/01/2010 31 080800-595000 CAPITAL OUTlAY-FLEET $550.00 0 Vendor Total: 550.00 80 Capital Improvements Total: 324,969.93 310 Capital Improvements Fund Total: 319,979.68 371 TIF #1 -Towne Center Debt Service AMALGAMATED BANK OF CHICAGO 310 SERRIES 2002D-BOND PRINCIPAL & INT. 12/01. 1853681007 SERRIES 2002D-BOND PRINCIPAL & INT. 12/01. 1853681007 REGISTRAR & AGENT FEES-01/01/10-06/30/10 1853681 007CT DEPT 90 20107620 20107620 12/31/2010 12/31/2010 37190920-715100 37190920-716100 DEBT SERVICE - PRINCIPAL DEBT SERVICE - INTEREST 07/30/2010 37190920-717100 DEBT SERVICE - FEES $865,000.00 9001717 $24,220.00 9001717 128363 $200.00 Vendor Total: 889,420.00 90 Debt Service Total: 889,420.00 371 TIF #1 -Towne Center Total: 889,420.00 376 TIF #7 - Irving Park & Church Debt Service AMALGAMATED BANK OF CHICAGO 310 SERIES 2003C-BOND PRINCIPAL & INT. 12/01/1 1853709005 SERIES 2003C-BOND PRINCIPAL & INT. 12/01/1 1853709005 DEPT 90 20107620 12/31/2010 37690920-715100 DEBT SERVICE- PRINCIPAL 20107620 12/31/2010 37690920-716100 DEBT SERVICE - INTEREST $105,000.00 9001717 $9,522.50 9001717 Vendor Total: 114,522.50 90 Debt Service Total: 114,522.50 376 TIF #7- Irving Park & Church Total: 114,522.50 410 Debt Service Fund Debt Service AMALGAMATED BANK OF CHICAGO 310 1853717005 SERIES 2003D-BOND PRINCIPAL & INT. 12/01/1 SERIES 2003D-BOND PRINCIPAL & INT. 12/01/1 1853717005 SERIES 2004B-BOND PRINCIPAL & INT. 12/01/1 1853779000 DEPT 90 20107620 12/31/2010 41090920-715100 DEBT SERVICE - PRINCIPAL $185,000.00 9001717 20107620 12/31/2010 41090920-716100 DEBT SERVICE - INTEREST 9001717 20107620 12/31/2010 41090920-716100 DEBT SERVICE - INTEREST $13,548.75 $235,147.00 9001717 Page 19 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 ·~-------- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER ~---- ---- DUE DATE ACCOUNT NO CHECK AMOUNT ACCOUNT DESCRIPTION WfT/MANlJAL CHECK# ----------- Vendor Total: 433,695.75 9765 THE BANK OF NEW YORK MELLON BENSEN2004D-1210 2004D-BOND PRINC. & INT. DEC.1, 2010 20107641 12/31/2010 41090920-715100 DEBT SERVICE- PRINCIPAL $180,000.00 9001716 BENSEN2004D-1210 2004D-BOND PRINC. & INT. DEC.1, 2010 20107641 12/31/2010 41090920-716100 DEBT SERVICE - INTEREST $73,696.88 9001716 Vendor Total: 253,696.88 90 Debt Service Total: 687,392.63 410 Debt Service Fund Total: 687,392.63 510 Utility Fund (H20/Sewer/Storm) Finance BENSENVILLE POSTMASTER 2622 DEPT 30 113010 UTILITY BILLING FOR NOV 2010 12/30/2010 51 030250-54011 0 POSTAGE/DELIVERY SERVICES $1,951.84 0 Vendor Total: 1,951.84 30 Finance Total: 1,951.84 DEPT 50 3628 Public Works ADDISON BUILDING MATERIAL CO. 663382 LINERS 33 GAL.SAE WRENCH SET,BLACKSMil 20107240 11/13/2010 51050110-551110 OFFICE SUPPLIES $54.34 0 663382 LINERS 33 GAL.SAE WRENCH SET,BLACKSMil 20107240 11/13/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $56.04 0 663862 FOAM SEALANT,UNDERCOAT SPRAY,COMB V'v 20107240 11/18/2010 51 050550-54231 0 R&M MATERIALS & EQUIPMENT $18.51 0 663862 FOAM SEALANT,UNDERCOAT SPRAY,COMB V'v 20107240 11/18/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $44.97 0 664294 GREEN POST DRIVE 20107279 11/22/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $52.37 0 665553 BLACK PRIMER,COMP WRENCH MAPP GAS,36 20107470 12/05/2010 51 050540-55261 0 GRAVEUASPHALT $14.64 0 665553 BLACK PRIMER,COMP WRENCH MAPP GAS,36 20107470 12/05/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $38.68 0 665687 PAINT & SUPPLIES 20107471 12/08/2010 51050110-542110 R&M BUILDINGS $125.39 0 Vendor Total: 404.94 5371 70225-00 APCOVALVE TREADED END SINGLE BODY COMBINATION A 20106552 10/09/2010 51050110-542110 R&M BUILDINGS $1,730.00 0 Vendor Total: 1,730.00 2717 BAXTER & WOODMAN, IN CORPORATED 0153533 PRETREATMENT COMPLIANCE MONITORING 20106934 11/27/2010 51050570-536511 ENG SVC- ENVIRONMENTAL $1 '175.88 0 0153533 PRETREATMENT COMPLIANCE MONITORING 20106934 11/27/2010 51050577-536511 ENG SVC- ENVIRONMENTAL $8,630.93 0 0153534 NONCOMPL Y-ALLOWELD 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $609.15 0 0153535 NONCOMPLY-COATINGS APPS 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $275.00 0 0153536 NONCOMPLY--EXCELL ELECTRONICS 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $30.00 0 0153537 NONCOMPL Y-GENERAL ELECTRO 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $335.00 0 0153538 NONCOMPL Y-FORTUNE FISH 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $245.00 0 0153539 NONCOMPLY-SIGNATURE BRANDS 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $30.00 0 0153540 NONCOMPL Y-PIE PIPER 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $485.00 0 0153541 NONCOMPL Y-KERRY INGREDIENTS 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $215.00 0 Page 20 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 -~- INVOICE NUMBER _________ , .... __ ~- --- PO NUMBER INVOICE DESCRIPTION ---·-·-····- - ----- --- - - - - - - -- -- --- DUE DATE ACCOUNT NO - ------- - - --· ---- - - - - - - - - ------- ---- --------- ---- CHECK ACCOUNT DESCRIPTION --- - - - - - - - - - - --------------- - AMOUNT WfT/MANUAL CHECK# --------- 0153542 NONCOMPL Y-RYDER TRANSPORTATION 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $290.00 0 0153543 NONCOMPLY-CHICAGO WHITE METAL 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $395.00 0 0 0153544 NONCOMPLY-CHICAGO SPECIALTY BAKERS 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $445.00 0153545 NONCOMPLY -MALCOLM MEATS 20102202 11/27/2010 51 050577-5321 00 PROFESSIONAL SERVICES $245.00 0 0153546 NONCOMPLY-VIE DE FRANCE 20102202 11/27/2010 51050577-532100 PROFESSIONAL SERVICES $75.00 0 Vendor Total: 13,480.96 12125 CITGO PETROLEUM CORPORATION 546340 FUEL PUCHASE FOR OCT 2010 20107579 11/08/2010 51 050540-55411 0 FUEUGAS/OIL $282.89 0 546340 FUEL PUCHASE FOR OCT 2010 20107579 11/08/2010 51 050550-55411 0 FUEUGAS/OIL $282.89 0 546340 FUEL PUCHASE FOR OCT 2010 20107579 11/08/2010 51050577-554110 FUEUGAS/OIL $282.89 0 Vendor Total: 848.67 11185 CJC AUTO PARTS LIGHT BAR BULB 924345 20107485 12/01/2010 51 050540-54241 0 $5.98 R&M VEHICLES 0 Vendor Total: 5.98 5295 DUPAGE WATER COMMISSION 8916 OPERATION, MAINT. & FIXED COST-OCT 2010 20107552 11/30/2010 51050110-545510 DUPG WATER COMM-FIXED EXP 8916 OPERATION, MAINT. & FIXED COST-OCT 2010 20107552 11/30/2010 51050110-545520 DUPG WTR COMM-WATER PURCH $16,282.91 0 $125,140.24 0 Vendor Total: 141,423.15 2841 9381829705 GRAINGER DUCKTAPE,CABLETIES, ELECTRIC TAPE,SANil 20107459 11/27/2010 51050110-551110 OFFICE SUPPLIES $31.78 0 VendorTotal: 31.78 3436 GRAPHIC CONTROL CORPORATION INK TIPS KA4621 20107467 12/04/2010 51050110-551110 OFFICE SUPPLIES $86.87 0 Vendor Total: 86.87 7665 HOME DEPOT 8021260 SHOP TOWELS, ALUMINUM QT ,TIRE BUCKET, 20107489 12/08/2010 51050110-551110 OFFICE SUPPLIES $97.86 0 8021260 SHOP TOWELS, ALUMINUM QT ,TIRE BUCKET, 20107489 12/08/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $40.36 0 Vendor Total: 138.22 10934 10-10-0146 JULIE INC JULIE LOCATES FOR OCT 2010 20107490 11/30/2010 51050110-521110 MEMBERSHIP DUES $79.63 0 Vendor Total: 79.63 338 LINDAHL BROTHERS INC 55689 DEBRIS HAULING 20107171 11/25/2010 51 050540-579990 DISPOSAL CHARGES $3,075.00 0 55779 DEBRIS HAULING 20107171 11/30/2010 51 050540-5 79990 DISPOSAL CHARGES $3,975.00 0 Vendor Total: 7,050.00 3280 9467 LOCAL VENDING SERVICE PW COFFEE SERVICE 20107466 12/01/2010 51050110-551110 OFFICE SUPPLIES $36.85 Vendor Total: 36.85 0 Page 21 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED:- 11/23/2010 ---- INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER - 3000 ~----~ DUE DATE ACCOUNT NO ----------- ------ ---· -------- CHECK AMOUNT ACCOUNT DESCRIPTION WIT/MANUAl CHECK# -------- M.E. SIMPSON COMPANY, INC. 20498 LEAK LOCATION-4N420 BRIAR LANE 20106472 11/25/2010 51050540-549990 OTHER CONTRACTUAL SERVICES $225.00 0 20498A LEAK LOCATION-4N420 BRIAR LANE 20107326 11/25/2010 51 050540-549990 OTHER CONTRACTUAL SERVICES $650.00 0 20526 LEAK LOCATION-1206 ELMHURST ST 20107326 11/29/2010 51050540-549990 OTHER CONTRACTUAL SERVICES $350.00 0 Vendor Total: 1,225.00 2912 MAHER LUMBER HARDWARE 1011-688628 FIR PLYWOOD, DOUG FIR,BTR SPF 20107461 12/05/2010 51 050540-55261 0 GRAVEUASPHALT $214.91 0 1011-688632 FIR PLYWOOD, DOUG FIR,BTR SPF 20107461 12/05/2010 51 050540-55261 0 GRAVEUASPHALT $15.40 0 1011-688633 RETURN REF 1011-688628 12/05/2010 51 050540-55261 0 GRAVEUASPHALT $-11.10 0 1011-688662 RETURN REF 1011-688628 11/05/2010 51 050540-55261 0 GRAVEUASPHALT $-45.38 0 1011-688663 DOUG FIR 12/05/2010 51 050540-55261 0 GRAVEUASPHALT $57.92 0 20107462 Vendor Total: 231.75 2729 MARATHON PETROLEUM COMPANY 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 51 050540-55411 0 FUEUGAS/OIL $249.33 0 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 51 050550-55411 0 FUEUGAS/OIL $249.33 0 1003201389-1010 FUEL PURCHASE FOR OCT 2010 20107540 11/30/2010 51050577-554110 FUEUGAS/OIL $249.33 0 Vendor Total: 747.99 2916 MCCANN 01274079 LIMESTONE SWIVEL CAULK GUN 20107463 12/01/2010 51 050540-55261 0 GRAVEUASPHALT 01274079 LIMESTONE SWIVEL CAULK GUN 20107463 12/01/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $107.77 0 $16.70 0 Vendor Total: 124.47 6509 MILLER INDUSTRIAL 417962 COMPARTMENT BOX, BOX STRGE FLIP,EXT.C< 20107305 11/26/2010 51050110-551110 OFFICE SUPPLIES $100.13 0 417962 COMPARTMENT BOX, BOX STRGE FLIP,EXT.C< 20107305 11/26/2010 51050540-554510 SMALL TOOLS & EQUIPMENT $83.39 0 418342 MAGLITE LED, WIRE, PRUNER, SCREWDRIVEF 20107376 11/28/2010 51 050540-552520 WATER MAIN PARTS $12.99 0 418342 MAGLITE LED, WIRE, PRUNER, SCREWDRIVEF 20107376 11/28/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $43.46 0 418411 KEY STEM 4WAY,CARWAX,RUB COMPOUND,A 20107377 11/28/2010 51050540-542410 R&M VEHICLES $14.56 0 418411 KEY STEM 4WAY,CARWAX,RUB COMPOUND,A 20107377 11/28/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $18.33 0 419006 COUPLE SHOVEL STEELWOOL MARKER 20107477 12/03/2010 51 050540-55261 0 GRAVEUASPHALT $15.22 0 419006 COUPLE SHOVEL STEELWOOL MARKER 20107477 12/03/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $33.98 0 Vendor Total: 322.06 2673 NICOR 6864 780000-1 01 0 SERVICE FROM 09/24-10/26-605 W. MAIN ST 20107455 11/25/2010 51050550-541370 ELECTRICITY/GAS $56.13 0 7194780000-1010 SERVICE FROM 09/24-1 0/25-20N CHURCH 20107456 11/26/2010 51050550-541370 ELECTRICITY/GAS $109.08 0 Vendor Total: 165.21 8756 ORANGE CRUSH LLC 388271 DEBRIS HAULING 20107336 11/24/2010 51050540-579990 DISPOSAL CHARGES $180.00 389156 MOD SURFACE & REC BINDER 20107336 12/04/2010 51050540-579990 DISPOSAL CHARGES $370.00 0 389156A MOD SURFACE & RECBINDER 20107337 12/04/2010 51050540-552610 GRAVEUASPHALT $614.83 0 0 Page EXPENDITURE APPROVAL LIST 22 of 26 FOR CHECKS DATED: 11/23/2010 ---------------- PO NUMBER INVOICE NUMBER INVOICE DESCRIPTION 389271 MOD SURFACE 20107337 12/05/2010 51050540-552610 GRAVEUASPHALT 389331 EMULSION 5 GAL 20107337 12/05/2010 51 050540-55261 0 GRAVEUASPHALT -- ----- ---- DUE DATE ACCOUNT NO -------~------ --~---- -- ----- --- CHECK AMOUNT ACCOUNT DESCRIPTION ----------------------- ---- WfT/MAN LiAI CHECK# --------- - $163.20 0 $70.00 0 Vendor Total: 1,398.03 4352 PATTEN INDUSTRIES, INC. 3499000 GENERATOR SERVICE@ 130 N. CHURCH 20107550 08/13/2010 51 050550-5421 00 MAINTENANCE AGREEMENTS $116.00 0 3499000 GENERATOR SERVICE@ 130 N. CHURCH 20107550 08/13/2010 51050110-542110 R&M BUILDINGS $501.55 0 Vendor Total: 617.55 292 111210 RON JASKI REIM-CLASS B WATER OPERATOR TRAINING 20107619 12/12/2010 51050110-521510 EDUC/SEMRS/MTGS/TRNG $360.00 0 Vendor Total: 360.00 8166 RUSSO POWER EQUIPMENT 854031 12V AMBER SURFACE MOUNT LED 20107290 11/25/2010 51050540-542410 R&M VEHICLES $45.99 854031 863791 12V AMBER SURFACE MOUNT LED PRICE ADJ REF INV#863771 AND 799279 20107290 11/25/2010 51 050540-55451 0 SMALL TOOLS & EQUIPMENT $46.66 0 11/10/2010 51050110-551110 OFFICE SUPPLIES $-38.40 0 0 Vendor Total: 54.25 2910 103110 S & M CAR WASH INC FUEL PURCHASE OCT 2010 20107543 11/30/2010 51050577-554110 FUEUGAS/OIL $211.66 0 Vendor Total: 211.66 4413 PS1146251 SAUBER MFG. CO. #823 SAFETY TEST AND CRAIN REPAIR 20106220 11/28/2010 51 050540-54231 0 R&M MATERIALS & EQUIPMENT $1,690.50 0 Vendor Total: 1,690.50 3008 SUBURBAN LABORATORIES INC. 2831 PRETREATMENT-KERRY GROUP 20107545 08/26/2010 51 050577-54351 0 LABORATORY TESTING $427.98 0 3108 PRETREATMENT-GENERAL ELECTRO 20107547 08/19/2010 51050577-543510 LABORATORY TESTING $813.63 0 4566 PRETREATMENT-WASTE MANAGEMENT NW 20107545 11125/2010 51 050577-54351 0 LABORATORY TESTING $56.30 0 4619 PRETREATMENT-DOUMAK 20107545 11/11/2010 51 050577-54351 0 LABORATORY TESTING $427.98 0 4677 DISINFECTANT BY PROD/COLIFORM 20107546 11/04/2010 51 050550-54351 0 LABORATORY TESTING $435.00 0 4864 PRETREATMENT-CORFU FOODS 20107544 11/30/2010 51050577-543510 LABORATORY TESTING $568.86 0 4868 PRETREATMENT-KERRY GROUP 20107544 11/18/2010 51 050577-54351 0 LABORATORY TESTING $428.48 0 4869 PRETREATMENT-CHICAGO SPECIALTY BAKEF 20107544 11/11/2010 51050577-543510 LABORATORY TESTING $560.46 0 4870 PRETREATMENT-EXCELL ELECTRONICS CORI 20107544 11/11/2010 51050577-543510 LABORATORY TESTING $805.23 0 4920 4921 PRETREATMENT-EM LIN COSMETICS PRETREATMENT-VIE DE FRANCE YAMAZAKI 20107548 11/18/2010 51050577-543510 LABORATORY TESTING $543.66 0 11/18/2010 51 050577-54351 0 LABORATORY TESTING CREDIT ON ACCOUNT 11/08/2010 51 050550-54351 0 LABORATORY TESTING $560.46 $-42.75 0 86191CM 95869CM CREDIT ON ACCOUNT 12/08/2010 51 050550-54351 0 LABORATORY TESTING $-180.00 0 20107548 0 Vendor Total: 5,405.29 7676 127935 TERRACE PNT & WLLCVRNG, INC. SANDING SPONGE, FOAM PRO PAINT 20107355 11/27/2010 51050110-542110 R&M BUILDINGS $44.31 0 Page 23 of 26 EXPENDITURE APPROVAL LIST FOR- CHECKS DATED: 11/23/2010 ------~- INVOICE NUMBER INVOICE DESCRIPTION --------- PO NUMBER ---- -- DUE DATE ACCOUNT NO CHECK AMOUNT ACCOUNT DESCRIPTION WfT/MANUAL CHECK# Vendor Total: 44.31 13205 201010003 UNITED WATER NACO LLC FIX CONTRACT FEE-11/01/10-11/30/10 20105470 12/01/2010 51050570-549990 OTHER CONTRACTUAL SERVICES $89,201.14 0 VendorTotal: 89,201.14 6491 USABLUEBOOK 263571 HACH DPD 5ML 1OOOPK 20107375 11/24/2010 51050550-542310 R&M MATERIALS & EQUIPMENT 263571 HACH DPD 5ML 1OOOPK 20107375 11/24/2010 51050110-551110 OFFICE SUPPLIES $112.93 0 $41.53 0 Vendor Total: 154.46 3510 491883 WENTWORTH TIRE-BENSENVILLE TIRE PLUG 20107277 11/24/2010 51050540-542410 R&M VEHICLES $54.00 0 Vendor Total: 54.00 3045 ZIEBELL WATER SERVICE 210281-000 VALVE BOX W/LID,VALVE BOX EXTENSION 20107238 11/27/2010 51050540-552520 WATER MAIN PARTS $319.00 0 210349-000 SSB CAP W/MEGA,PIPE END CAP TAPT 2" 20107238 11/19/2010 51050540-552520 WATER MAIN PARTS $257.72 0 210400-000 WATER MAIN PARTS 20107238 11/24/2010 51050540-552520 WATER MAIN PARTS $777.72 0 21 0400-000A WATER MAIN PARTS 20106008 11/24/2010 51050540-554510 SMALL TOOLS & EQUIPMENT $271.84 0 Vendor Total: 1,626.28 50 Public Works Total: 268,951.00 DEPT 80 7478 13307 Capital Improvements A LAMP CONCRETE CONTRACTORS INC R-60-2010A LAMP CONCRETE 20107179 12/04/2010 51080860-596000 CAPITAL CONSTRUCTION $310,705.07 0 Vendor Total: 310,705.07 80 Capital Improvements Total: 310,705.07 510 Utility Fund (H20/Sewer/Storm) Total: 581,607.91 570 Recycling & Refuse Fund DEPT 20 Office of the Village Manager ALLIED WASTE SERVICES #722 8087 10062-1010 REFUSE DISPOSAL-OCT 2010 20107562 11/30/2010 57020580-579990 DISPOSAL CHARGES $129,194.30 0 Vendor Total: 129,194.30 20 Office of the Village Manager Total: 129,194.30 570 Recycling & Refuse Fund Total: 129,194.30 590 Rental Property Debt Service DEPT 90 9765 THE BANK OF NEW YORK MELLON BENSEN08B-121 0 CERT 08B-BOND PRINC. & INT. DEC.1, 2010 20107641 12/31/2010 59090920-715100 RP DEBT SERV -SER 2008B-PRINC $250,000.00 9001716 BENSEN08B-121 0 CERT 08B-BOND PRINC. & INT. DEC.1, 2010 20107641 12/31/2010 59090920-716100 RP DEBT SERV-SER08B-INTEREST $89,130.00 9001716 Vendor Total: 339,130.00 90 Debt Service Total: 339,130.00 Page 24 of26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO CHECK AMOUNT ACCOUNT DESCRIPTION WfT/MANUAL CHECK# 590 Rental Property Total: 339,130.00 750 Escrows and Deposits Default (Non-Departmental) AB BERG INC 99 DEPT 00 1362-13650 BOND REFUND 11/23/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $42.00 0 Vendor Total: 42.00 99 1138-11238 ADT SECURITY SERVICES BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $258.00 0 Vendor Total: 258.00 99 1284-17258 AT&T BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 Vendor Total: 300.00 99 1075-16376 CANO LORENZO BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $37.00 0 Vendor Total: 37.00 99 1011-16368 CHARLES D PALMER BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 Vendor Total: 300.00 99 1256-17197 CUSTOMIZED PROTECTION BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 Vendor Total: 300.00 99 1276-200960 GAIL G FEMALI BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 1272-16870 GARCIA, VALENTE BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $79.00 0 Vendor Total: 79.00 99 100431 GENERAL LIGHTING AND ELECTRIC BOND REFUND-1202 NORDIC ST 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 1076-204219 GERHARD KALLUS BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $79.00 0 Vendor Total: 79.00 99 1147-16865 GLOBAL DEVELOPMENT BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $24.00 Vendor Total: 24.00 99 J ANDERSON CONSTRUCTION INC 0 Page 25 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO 1363-17110 CHECK AMOUNT ACCOUNT DESCRIPTION PERFORMANCE BD ROW WIT/MANUAL CHECK# $300.00 Vendor Total: 300.00 99 1237-15292 JAMES F DURANTE BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $79.00 0 Vendor Total: 79.00 99 1223-202421 KELLY WILLIAMS BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 1399-201238 LARRY CUNNINGHAM BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 1257-17257 LOU DIDONNA BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 MAGDALENA PEIRDOS BOND REFUND-332 MARSHALL 100235 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 1096-16360 MARCO A FLORES BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $174.00 0 Vendor Total: 174.00 99 MOHAMMED T KHALIDI 091045 BOND REFUND-422 E PINE 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $200.00 0 091169 BOND REFUND-422 E PINE 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $200.00 0 Vendor Total: 400.00 99 1369-17126 MORNING DEW EXTERIOR INC BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 PATRICIA CONSEMIUS BOND REFUND-416 S CENTER 090888 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $100.00 0 Vendor Total: 100.00 99 PEAK CONSTRUCTION 1219-16864 BOND REFUND 12/12/2010 7 5000000-226283 DEPOSTIS-PERFORMANCE BD ROW $792.00 0 1279-16864 BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 1285-16864 BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 Vendor Total: 1,392.00 99 1319-16989 PERKS BAR & GRILLE BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 Vendor Total: 300.00 0 Page 26 of 26 EXPENDITURE APPROVAL LIST FOR CHECKS DATED: 11/23/2010 INVOICE NUMBER 99 1232-11135 INVOICE DESCRIPTION PO NUMBER DUE DATE ACCOUNT NO ACCOUNT DESCRIPTION ------ CHECK AMOUNT WfT/MANUAL CHECK# $79.00 0 ROBERT HOUDE BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW Vendor Total: 79.00 99 1071-16369 SURE LIGHT SIGN COMPANY BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 0 Vendor Total: 300.00 99 1268-16866 US PAVING INC BOND REFUND 12/12/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $58.00 0 Vendor Total: 58.00 99 1168-16666 UNITED FIRE PROTECTION BOND REFUND 12/02/2010 75000000-226283 DEPOSTIS-PERFORMANCE BD ROW $300.00 Vendor Total: 300.00 00 Default (Non-Departmental) Total: 5,601.00 750 Escrows and Deposits Total: 5,601.00 CHECK TOTAL: 1,848,716.29 WIRE/MANUAL TOTAL: 2,112,258.55 EXPENDITURE TOTAL: 3,960,974.84 0
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