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HomeMy WebLinkAbout3. FINANCIAL REPORT AND BILLS 11/17/2009 Mount Prospect INTEROFFICE MEMORANDUM Village of Mount Prospect Mount Prospect, Illinois TO: VILLAGE PRESIDENT AND BOARD OF TRUSTEES FINANCE COMMISSION FROM: FINANCE DIRECTOR DATE: NOVEMBER 13, 2009 SUBJECT: MONTHLY FINANCIAL REPORT - OCTOBER 2009 Attached hereto are the cash position and investment statements of the Village for the month ended October 31, 2009. These statements provide a snapshot of the Village's cash position as of the month end date noted and are intended to supplement the budget revenue and expenditure summary and listing of bills you receive. The first statement presents the Village's cash position broken down by governmental and enterprise funds and trust and agency funds. The second statement presents the Village's cash position by fund type. The third statement presents the list of investments again broken down by governmental and enterprise funds and trust and agency funds. It is important to note that although we have included the trust and agency funds in the cash position report, these are not funds accessible for Village operations. They are restricted for pension and escrow funding only. Please read the summary that follows for further detail on the cash position of the Village. Cash and Investment Position Report - All Funds (paQe 1) This report provides a detailed summary of cash and investments for the Village broken out by governmental and enterprise funds and trust and agency funds. Governmental funds include the General Fund, Special Revenue Funds, Debt Service Funds, Capital Project Funds and Internal Service Funds. The Enterprise Funds consist of the Water and Sewer Fund and two (2) Parking Funds. Trust funds include the Village's two public safety pensions (Police and Firefighters') while the agency funds include the Escrow Deposit, Flexcomp Escrow, Special Service Area and Library Bonds Escrow Funds. The Escrow Deposit Fund accounts for refundable deposits held by the Village to ensure completion of public improvements. The Flexcomp Escrow Fund accounts for employee payroll deductions pursuant to a Section 125 flexible compensation plan. The Special Service Area Fund and Library Bonds Escrow Fund account for the accumulation of monies for debt service payments. Governmental and Enterprise Funds - Cash and cash equivalents at September 30 were $23.2 million. During October, cash receipts totaled $3,711,322.38. In addition investment income for the month was $19,126.83. Reductions in cash and cash equivalents during October totaled $6,805,535.29. Of this amount, payments to vendors were $5,494,819.85, employee payroll and related expenses were $1,310,193.74 and other disbursements were $521.70. There was also a net increase in cash due to investment activities of $1,683,706.86 and inflows due to interfund activity of $2,626.00. Cash and cash equivalents at October 31 were $21.8 million. Monthly Financial Report - October 2009 November 13, 2009 Page 2 Total investments at September 30 were $6.5 million. During the month, investments decreased $1,683.706.86. This was due to several CD's maturing where proceeds were not reinvested. Total investments at October 31 were $4.8 million. Total cash and investments for Governmental and Enterprise Funds at September 30 were $29,688,163.04. Cash and investments at October 31 totaled $26,615,702.96. This is a decrease of $3,072,460.08 for the month. The drawdown is the result of the delay in property taxes that are typically received during October. Trust and Agency Funds - Cash and cash equivalents at September 30 were $5.3 million. During October, cash receipts totaled $202,806.56. In addition investment income for the month was $88,068.87 and outflows due to interfund activity totaled $2,626.00. There was also a net increase in cash due to investment activities of $1 ,418,815.20. Reductions in cash and cash equivalents during September totaled $598,573.92. Of this amount, payments to vendors were $172,061.60, employee payroll and related expenses were $407,028.35, payments related to the flexible spending program totaled $19,083.97 and other disbursements were $400.00. Cash and cash equivalents at October 31 were $6.5 million. Total investments at October 31 were $74,415,659.25, a decrease of $492,782.24 from September 30,2009. There were investment gains of $926,032.96 and a transfer out to cash of $1,418,815.20 that accounted for the change. Total cash and investments for Trust and Agency Funds at September 30 were $80,257,224.17. Cash and investments at October 31 totaled $80,872,932.64. This is an increase from the balance at September 30 of $615,708.47. Summary of Cash Activitv bv Fund Tvpe (page 2) This report provides a breakdown of the cash activity for the month broken down by fund type. This breakdown is useful in identifying where the activity (receipts and disbursements) is occurring. There are times during the year when activity in certain funds such as the capital improvement and special revenue funds is higher than normal. This will distort the financial picture of some of the other components of the governmental funds such as the General Fund which tends to be more level and predictable in terms of spending and receipt of revenue. Each month the report will provide further explanation on the activity of the General Fund, the Village's primary operating fund. The report will also provide additional information on fund types that experienced higher than normal activity for the month. Activity for the General Fund is highlighted below. General Fund - Cash and cash equivalents at September 30 totaled $2,569,958.27. During October, cash receipts totaled $1,981,149.03 and investment income was $5,495.41. Significant cash receipts included sales and income taxes and telecommunication taxes. Sales tax revenues for the month totaled $822,202. Of this amount, $739,282 was generated from the 1 % state portion while $82,920 was generated from the .25% home rule portion. Sales taxes received in October are for July sales as there is a normal three-month lag in getting this distribution from the state. Monthly Financial Report - October 2009 November 13, 2009 Page 3 Income taxes received in October were actually scheduled to be received in August. Receipts for the month were $271,192. The state continues to run two months behind in remitting income taxes to municipalities. The states financial condition is not permitting a more timely payment. In addition to the delay in receipts, the per capita amount was lowered to $77.00. Based on our budget projections of $92.00 the Village will receive $844,000 less than originally anticipated. Telecommunication tax receipts for October reflect July activity . Total receipts during October were $254,448. This revenue continues to be the lone bright spot exceeding prior year receipts by 9%. Disbursements from the General Fund for October included payments to vendors of $1,269,914.56 and payments for employee wages and benefits of $1,044,569.12. Interfund transfers of $454,733.68 for health premiums and vehicle lease and maintenance payments were also made during October. Cash and cash equivalents at October 31 were $1,783,268.64. In addition, investments consisting of certificates of deposit totaling $1,064,979.44 bring total cash and investments for the General Fund to $2,848,248.08. Statement of Investments (paQes 3-4) This report provides a breakdown of investments by governmental and enterprise funds and trust and agency funds. The report also provides a fund-by fund breakdown of the investments. Government and Enterprise Funds - The investments for the governmental and agency funds are made up solely of certificates of deposit. Certificates of deposit have maturities of between 30 and 120 days and are currently placed with two different banks, Harris and Citibank. Below is a breakdown of where the monies are placed. Harris CDs Citibank/PMA CDs Market Value 2,335,174.66 2,481,662.00 $ 4,816,836.66 Representing Total Portfolio 48.479% 51.521% 100.000% The portfolio weighted average return is 0.785%. The portfolio return remains low on the types of investments available to municipalities, typically certificate of deposits, money market accounts and short-term treasuries. Investment of the Village's general funds is governed by the Village Investment Policy. The policy was last amended in November 2007. Trust and Agency Funds - The investments for the trust and agency funds are made up of certificates of deposits, fixed income investments and equity mutual funds. Certificates of deposit held in the Escrow Deposit Fund have maturities of between 30 and 120 days. Most of the reserves for this fund are invested in the more liquid money market account due to the nature of the deposit. Escrow refunds are processed two times per month. Investments for the Police and Firefighter Pension Funds consist of various fixed income securities as well as equity mutual fund accounts. Wells Fargo is the third-party holder of the fixed income Monthly Financial Report - October 2009 November 13, 2009 Page 4 securities. The funds are managed by two investment management firms. Capital Gains and Segall Bryant each hold approximately one-half of the total fixed income securities. They also maintain a portion of these assets in cash to help facilitate liquidity and trading. Investments in equities consist of mutual funds spread across various sectors (small, mid and large- cap stocks) as well as investment philosophies (value, core and growth). The pension funds also have a small portion of their portfolio invested in international stocks. Each year the investment mix is evaluated for optimal diversification to meet the pension funds investment policy goals and objectives. Below is a breakdown of how the pension fund portfolios are invested. Maturity Purchase Financial Investment CUSJPI Interest Market Date Date Institution Description Acc! # Rate % Value POLICE PENSION FUND (710) Various Various Wells Fargo Wells Fargo Investments Various Various 19,850,544.40 Various Various Various Mutual Fund Investments Various Various 17,595,340.43 37,445,884.83 FIRE PENSION FUND (720) Various Various Wells Fargo Wells Fargo Investments Various Various 21,393,867.05 Various Various Various Mutual Fund Investments Various Various 16,674,907.37 38,068,774.42 TOT AL TRUST AND AGENCY FUND INVESTMENTS $ 75,514,659.25 Investment of the Village's pension funds is governed by an Investment Policy adopted by each Pension Board. The policy was last amended in 2007. Conclusion As mentioned earlier, this cash position report is intended to provide a snapshot of the Village's cash position as of a particular month end date. Over time, this report will be able to provide trend information to help in cash management duties, maximizing investment earnings while ensuring availability of funds to meet the Village's commitments. /" , c:t/~~/ ,.C):i ~-'PC' l......_........,,/' (...-r ," David O. Erb Finance Director VILLAGE OF MOUNT PROSPECT Preliminary Cash and Investment Position Report - All Funds For the Month Ended October 31,2009 GOVERNMENTAL AND ENTERPRISE FUNDS Cash and Cash Total Cash and Equivalents Investments Investments Balance at September 30, 2009 $ 23,187,619.52 $ 6,500,543.52 $ 29,688,163.04 Cash receipts 3,711,322.38 3,711,322.38 Investment income 19,126.83 19,126.83 Transfers from investments to cash 4,018,881.52 (4,018,881.52) Transfers to investments from cash (2,335,174.66) 2,335,174.66 Interfund activity 2,626.00 2,626.00 Disbursements: Accounts payable (5,494,819.85) (5,494,819.85) Payroll (1,310,193.74) (1,310,193.74) Other (521.70) (521.70) Balance at October 31,2009 $ 21,798,866.30 $ 4,816,836.66 $ 26,615,702.96 TRUST AND AGENCY FUNDS * Cash and Cash Total Cash and Equivalents Investments Investments Balance at September 30, 2009 $ 5,348,782.68 $ 74,908,441.49 $ 80,257,224.17 Cash receipts 202,806.56 202,806.56 Investment income (loss) 88,068.87 926,032.96 1,014,101.83 Transfers from investments to cash 2,216,935.20 (2,216,935.20) Transfers to investments from cash (798,120.00) 798,120.00 Interfund activity (2,626.00) (2,626.00) Disbursements: Accounts payable (172,061.60) (172,061.60) Payroll (407,028.35) (407,028.35) Flex spending (19,083.97) (19,083.97) Other (400.00) (400.00) Balance at October 31, 2009 $ 6,457,273.39 $ 74,415,659.25 $ 80,872,932.64 * Assets are restricted in purpose and do not represent discretionary assets of the government. 1 I- o W a.. 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III I- Z W ::E I- III W > ~ C Z <( X III <( o ...J <( I- VILLAGE OF MOUNT PROSPECT STATEMENT OF INVESTMENTS As of October 31, 2009 GOVERNMENTAL AND ENTERPRISE FUNDS Maturity Purchase Financial Investment CDSIP/ Interest Market Weighted Date Date Institution Description Acct# Rate % Value Avg Yield GENERAL FUND (00l) 11/17/09 10113/09 Harris Certificate of Deposit 6900221843 0.200% 551,940.00 1,103.88 11117/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 513,039.44 1,026.08 1,064,97944 2,129.96 Weighted Average Return 0.200% REFUSE DISPOSAL FUND (030) 11117/09 10113/09 Harris Certificate of Deposit 6900221843 0.200% 100,352.72 200.71 11117/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 102,607.92 205.22 202,960.64 405.92 Weighted Average Return 0.200% CAPITAL IMPROVEMENT FUND (510) 11117/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 51,303.95 102.61 51,303.95 102.61 Weighted Average Return 0.200% SERIES 2009 CONSTRUCTION FUND (528) 11118/09 04/30/09 CitibankIPMA Certificate of Deposit 132424 1.280% 248,200.00 3,176.96 11118/09 04/30/09 CitibankIPMA Certificate of Deposit 132423 1.280% 248,200.00 3,176.96 11118/09 04/30/09 CitibankIPMA Certificate of Deposit 132422 1.260% 1,071,542.00 13,501.43 12/16/09 04/30/09 CitibankIPMA Certificate of Deposit 132418 1.541% 245,200.00 3,778.53 12/ I 6/09 04/30/09 CitibankIPMA Certificate of Deposit 1324 I 9 1.490% 245,400.00 3,656.46 12/ I 6/09 04/30/09 CitibankIPMA Certificate of Deposit 132420 1.402% 245,600.00 3,443.31 12/16/09 04/30/09 CitibankIPMA Certificate of Deposit 132421 1.370% 177,520.00 2,432.02 2,481,662.00 33,165.68 Weighted Average Return 1.336% WATER AND SEWER FUND (610) 11117/09 10113/09 Harris Certificate of Deposit 6900221843 0.200% 150,529.09 301.06 11/17/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 205,215.77 41043 355,744.86 711.49 Weighted Average Return 0.200% VEHICLE MAINTENANCE FUND (660) 11117/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 51,303.94 102.61 51,303.94 102.61 Weighted Average Return 0.200% VEHICLE REPLACEMENT FUND (670) 11117/09 10113/09 Harris Certificate of Deposit 6900221843 0.200% 50,176.36 100.35 11117/09 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 51,303.94 102.61 101,480.30 202.96 Weighted Average Return 0.200% 3 VILLAGE OF MOUNT PROSPECT STATEMENT OF INVESTMENTS As of October 31, 2009 GOVERNMENTAL AND ENTERPRISE FUNDS (continued) Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted Date Date Institution Description Acct # Rate % Value Avg Yield RISK MANAGEMENT FUND (690) I 1117/09 10113/09 Harris Certificate of Deposit 6900221843 0.200% 250,881.81 501.76 11/17109 10/15/09 Harris Certificate of Deposit 6900156783 0.200% 256,519.72 513.04 507,401.53 1,014.80 Weighted Average Return 0.200% GOVERNMENTAL AND ENTERPRISE FUNDS Market Representing Weighted SUMMARY BY TYPE OF INVESTMENT/INSTITUTION: Value Total Portfolio Avg Yield Harris CDs 2,335, I 74.66 48.479% 4,670.35 Citibank/PMA CDs 2,48 I ,662.00 51.52 I % 33,165.68 $ 4,816,836.66 100.000% 37,836.03 Portfolio Weighted Average Return 0.785% TRUST AND AGENCY FUNDS * Maturity Purchase Financial Date Date Institution POLICE PENSION FUND (710) Various Various Wells Fargo Various Various Various Investment Description CUSIP/ Acct # Interest Rate % Market Value Weighted Avg Yield Wells Fargo Investments Mutual Fund Investments Various Various Various Various 19,850,544.40 17,595,340.43 37,445,884.83 FIRE PENSION FUND (720) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments Various Various Various Various 21,393,867.05 16,674,907.37 38,068,774.42 $ 75,514,659.25 TOTAL TRUST AND AGENCY FUND INVESTMENTS * Assets are restricted in purpose and do not represent discretionary assets of the government. 4 VILLAGE OF MOUNT PROSPECT BUDGET REVENUE & EXPENDITURE SUMMARIES January 1 - October 31, 2009 11/11/2009 13:37:31 VILLAGE OF MOUNT PROSPECT Budget Revenue Summary 01/01/09 - 10/31/09 Cur Mo Received REVENUE BY CLASSIFICATION PROPERTY TAXES OTHER TAXES LICENSES, PERMITS & FEES INTERGOVERMENT REV. CHARGES FOR SERVICE FINES AND FORFEITS INVESTMENT INCOME REIMBURSEMENTS OTHER REVENUE OTHER FINANCING SOURCES Total All Funds 16,498 841,106 126,845 1,519,769 1,853,294 57,306 1,068,521 51,112 224,449 -254 5,758,646 REVENUE BY FUND GENERAL FUND REFUSE DISPOSAL FUND MOTOR FUEL TAX FUND LAW ENFORCEMENT BLOCK GRANT COMMUNITY DEVELPMNT BLOCK GRNT ASSET SEIZURE FUND DEA SHARED FUNDS FUND DUI FINE FUND FOREIGN FIRE TAX BOARD FUND SERIES 1987A B&I, PW FACILITY SERIES 2001 B&I, VILLAGE HALL SERIES 2003 B&I, VILLAGE HALL SERIES 2009 B&I, FD/PW SERIES 1999 B&I, TIF SERIES 1998A B&I, FLOOD SERIES 1998C B&I, TIF IEPA FLOOD CONTROL LOANS B&I SERIES 2000 B&I, FLOOD CONTROL SERIES 2002B B&I, FLOOD CAPITAL IMPROVEMENT FUND SERIES 2009 CONST FUND DOWNTOWN REDEVLPMNT CONST STREET IMPROVEMENT CONST FUND FLOOD CONTROL CONST FUND WATER AND SEWER FUND VILLAGE PARKING SYSTEM FUND PARKING SYSTEM REVENUE FUND VEHICLE MAINTENANCE FUND VEHICLE REPLACEMENT FUND COMPUTER REPLACEMENT FUND RISK MANAGEMENT FUND POLICE PENSION FUND FIRE PENSION FUND SSA #6 GEORGE/ALBERT B&I GENERAL FIXED ASSETS ACCT GP Total All Funds 2,068,824 234,154 121,502 o 256,513 4 5 o 1 o 382 899 13 o o o 82,934 o o 76,337 4,472 1,523 107,741 2,030 855,274 12,913 14,390 157,033 80,067 16,414 500,552 1,067,211 97,458 o o 5,758,646 1 Y-T-D Received 6,838,009 8,193,223 3,170,348 10,743,214 17,390,508 438,841 9,088,162 246,380 3,710,123 10,233,442 70,052,250 24,166,025 2,790,325 1,142,412 o 376,792 3,066 64 12,944 29,076 8 185,273 442,780 244,086 o o o 555,514 o o 536,279 9,915,446 958,848 771,342 75,998 8,055,963 106,513 113,987 1,571,224 1,164,809 164,958 5,265,068 6,056,433 5,347,011 6 o 70,052,250 10 Months ( 2 Months ( 2009 Budget 13,570,000 14,761,000 3,857,000 18,579,514 22,435,567 730,000 6,501,000 401,000 5,958,952 12,623,000 99,417,033 40,153,100 4,166,000 1,812,000 o 785,604 12,000 2,000 21,000 41,000 o 385,000 918,000 o o o o 1,054,000 o o 1,178,810 12,784,000 2,675,000 1,334,000 108,500 11,983,000 161,000 161,000 1,671,682 1,159,700 220,281 6,683,556 4,966,500 4,980,300 o o 99,417,033 83.3% ) Completed 16.6% ) Remaining Unreceived Balance 6,731,991 6,567,777 686,652 7,836,300 5,045,059 291,159 -2,587,162 154,620 2,248,829 2,389,558 29,364,783 15,987,075 1,375,675 669,588 o 408,812 8,934 1,936 8,056 11,924 -8 199,727 475,220 -244,086 o o o 498,486 o o 642,531 2,868,554 1,716,152 562,658 32,502 3,927,037 54,487 47,013 100,458 -5,109 55,323 1,418,488 -1,089,933 -366,711 -6 o 29,364,783 Unreceived Percent 49.6 44.5 17.8 42.2 22.5 39.9 -39.8 38.6 37.7 18.9 29.5 39.8 33.0 37.0 52.0 74.5 96.8 38.4 29.1 51. 9 51.8 47.3 54.5 22.4 64.2 42.2 30.0 32.8 33.8 29.2 6.0 -0.4 25.1 21.2 -21.9 -7.4 29.5 11/11/2009 13:38:27 10 Months ( 2 Months ( 83.3% ) Completed 16.6% ) Remaining FRRBRR03 SUM021 Budget VILLAGE OF MOUNT PROSPECT Revenue by Category within Fund Summary 01/01/09 - 10/31/09 Cur Mo Received GENERAL FUND 40 PROPERTY TAXES 41 OTHER TAXES 42 LICENSES, PERMITS & FEES 43 INTERGOVERMENT REV. 44 CHARGES FOR SERVICE 45 FINES AND FORFEITS 46 INVESTMENT INCOME 47 REIMBURSEMENTS 48 OTHER REVENUE 49 OTHER FINANCING SOURCES 13,296 564,159 123,045 1,144,172 102,293 55,626 3,769 48,822 13,642 o TOTAL GENERAL FUND 2,068,824 REFUSE DISPOSAL FUND 40 PROPERTY TAXES 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 48 OTHER REVENUE 1,952 232,111 91 o TOTAL REFUSE DISPOSAL FUND 234,154 MOTOR FUEL TAX FUND 43 INTERGOVERMENT REV. 46 INVESTMENT INCOME 47 REIMBURSEMENTS 119,087 125 2,290 TOTAL MOTOR FUEL TAX FUND 121,502 LAW ENFORCEMENT BLOCK GRANT 43 INTERGOVERMENT REV. 46 INVESTMENT INCOME TOTAL LAW ENFORCEMENT BLOCK GRANT COMMUNITY DEVELPMNT BLOCK GRNT 43 INTERGOVElli~ENT REV. 46 INVESTMENT INCOME 48 OTHER REVENUE 256,510 3 o TOTAL COMMUNITY DEVELPMNT BLOCK GRNT 256,513 ASSET SEIZURE FUND 45 FINES AND FORFEITS 46 INVESTMENT INCOME TOTAL ASSET SEIZURE FUND DEA SHARED FUNDS FUND 45 FINES AND FORFEITS 46 INVESTMENT INCOME 1 Y-T-D Received 5,115,533 4,581,534 3,079,500 9,305,303 1,248,061 403,645 58,817 232,252 140,635 745 24,166,025 851,478 1,844,083 7,994 86,770 2,790,325 1,130,270 1,072 11,070 1,142,412 o o o 288,891 19 87,882 376,792 o 4 2,949 117 4 3,066 o 5 2009 Budget 10,529,000 7,140,000 3,775,000 15,843,600 1,590,500 699,000 64,000 329,000 183,000 o 40,153,100 1,750,000 2,230,000 35,000 151,000 4,166,000 1,736,000 16,000 60,000 1,812,000 o o o 745,604 o 40,000 785,604 10,000 2,000 12,000 o 64 1,000 1,000 o o o Unreceived Balance 5,413,467 2,558,466 695,500 6,538,297 342,439 295,355 5,183 96,748 42,365 -745 15,987,075 898,522 385,917 27,006 64,230 1,375,675 605,730 14,928 48,930 669,588 456,713 -19 -47,882 408,812 7,051 1,883 8,934 1,000 936 Unreceived Percent 51. 4 35.8 18.4 41.3 21. 5 42.3 8.1 29.4 23.2 39.8 51.3 17.3 77.2 42.5 33.0 34.9 93.3 81. 6 37.0 o o o 61.3 -119.7 52.0 70.5 94.2 74.5 100.0 93.6 11/11/2009 13:38:27 FRRBRR03 SUM021 10 Months ( 2 Months ( 83.3% ) Completed 16.6% ) Remaining Budget VILLAGE OF MOUNT PROSPECT Revenue by Category within Fund Summary 01/01/09 - 10/31/09 Cur Mo Received Y-T-D Received 2009 Budget Unreceived Balance Unreceived Percent 5 64 2,000 1,936 96.8 TOTAL DEA SHARED FUNDS FUND DUI FINE FUND 45 FINES AND FORFEITS 46 INVESTMENT INCOME TOTAL DUI FINE FUND FOREIGN FIRE TAX BOARD FUND 41 OTHER TAXES 46 INVESTMENT INCOME TOTAL FOREIGN FIRE TAX BOARD FUND SERIES 1987A B&I, PW FACILITY 40 PROPERTY TAXES 46 INVESTMENT INCOME TOTAL SERIES 1987A B&I, PW FACILITY SERIES 2001 B&I, VILLAGE HALL 40 PROPERTY TAXES 46 INVESTMENT INCOME 49 OTHER FINANCING SOURCES TOTAL SERIES 2001 B&I, VILLAGE HALL SERIES 2003 B&I, VILLAGE HALL 40 PROPERTY TAXES 46 INVESTMENT INCOME 49 OTHER FINANCING SOURCES TOTAL SERIES 2003 B&I, VILLAGE HALL SERIES 2009 B&I, FD/PW 40 PROPERTY TAXES 46 INVESTMENT INCOME TOTAL SERIES 2009 B&I, FD/PW SERIES 1999 B&I, TIF 41 OTHER TAXES 46 INVESTMENT INCOME TOTAL SERIES 1999 B&I, TIF SERIES 1998A B&I, FLOOD 41 OTHER TAXES 46 INVESTMENT INCOME TOTAL SERIES 1998A B&I, FLOOD 2 o o 12, 939 5 20,000 1,000 21,000 7,061 995 35.3 99.5 8,056 38.4 o 12,944 o 1 29,049 27 40,000 1,000 27.4 97.3 10,951 973 1 29,076 41,000 11,924 29.1 o o o 8 o o o -8 o 8 o -8 371 185,036 381,000 195,964 51.4 11 237 4,000 3,763 94.1 0 0 0 0 382 185,273 385,000 199,727 51.9 878 442,174 910,000 467,826 51.4 21 606 8,000 7,394 92 .4 0 0 0 0 899 442,780 918,000 475,220 51.8 1 12 243,788 298 -243,788 -298 o o 13 244,086 o -244,086 o o o o o o o o o o o o o o o o o o o o o o o o 11/11/2009 13:38:27 FRRBRR03 SUM021 Budget VILLAGE OF MOUNT PROSPECT Revenue by Category within Fund Summary 01/01/09 - 10/31/09 10 Months ( 2 Months ( 83.3% ) Completed 16.6% } Remaining SERIES 1998C B&I, TIF 41 OTHER TAXES 46 INVESTMENT INCOME Cur Mo Y-T-D 2009 Unreceived Unreceived Received Received Budget Balance Percent 0 0 0 0 0 0 0 0 0 0 0 0 TOTAL SERIES 1998C B&I, TIF IEPA FLOOD CONTROL LOANS B&I 41 OTHER TAXES 46 INVESTMENT INCOME 82,920 14 555,472 42 1,054,000 o 498,528 -42 47.3 TOTAL IEPA FLOOD CONTROL LOANS B&I 82,934 555,514 1,054,000 498,486 47.3 SERIES 2000 B&I, FLOOD CONTROL 41 OTHER TAXES 46 INVESTMENT INCOME o o o o o o o o TOTAL SERIES 2000 B&I, FLOOD CONTROL o o o o SERIES 2002B B&I, FLOOD 41 OTHER TAXES 49 OTHER FINANCING SOURCES o o o o o o o o TOTAL SERIES 2002B B&I, FLOOD o o o o CAPITAL IMPROVEMENT FUND 41 OTHER TAXES 43 INTERGOVERMENT REV. 46 INVESTMENT INCOME 47 REIMBURSEMENTS 48 OTHER REVENUE 49 OTHER FINANCING SOURCES 76,287 511,034 954,000 442,966 46.4 0 18,750 206,810 188,060 90.9 50 2,180 18,000 15,820 87.9 0 0 0 0 0 4,315 0 -4,315 0 0 0 0 76,337 536,279 1,178,810 642,531 54.5 TOTAL CAPITAL IMPROVEMENT FUND SERIES 2009 CONST FUND 46 INVESTMENT INCOME 48 OTHER REVENUE 49 OTHER FINANCING SOURCES 4,472 43,457 220,000 176,543 80.2 0 0 1,000 1,000 100.0 0 9,871,989 12,563,000 2,691,011 21.4 4,472 9,915,446 12,784,000 2,868,554 22.4 TOTAL SERIES 2009 CONST FUND DOWNTOWN REDEVLPMNT CONST 41 OTHER TAXES 46 INVESTMENT INCOME 47 REIMBURSEMENTS 48 OTHER REVENUE 49 OTHER FINANCING SOURCES TOTAL DOWNTOWN REDEVLPMNT CONST 1,493 955,639 2,640,000 1,684,361 63.8 30 1,457 35,000 33,543 95.8 0 1,752 0 -1,752 0 0 0 0 0 0 0 0 1,523 958,848 2,675,000 1,716,152 64.2 STREET IMPROVEMENT CONST FUND 41 OTHER TAXES 46 INVESTMENT INCOME 107,741 o 762,194 892 1,324,000 10,000 561,806 9,108 42.4 91.1 3 11/11/2009 13:38:27 FRRBRR03 SUM02l 10 Months ( 2 Months ( 83.3% ) Completed 16.6% ) Remaining Budget VILLAGE OF MOUNT PROSPECT Revenue by Category within Fund Summary 01/01/09 - 10/31/09 Cur Mo Received 48 OTHER REVENUE TOTAL STREET IMPROVEMENT CONST FUND 107,741 FLOOD CONTROL CONST FUND 41 OTHER TAXES 42 LICENSES, PERMITS & FEES 43 INTERGOVERMENT REV. 46 INVESTMENT INCOME o 2,030 o o TOTAL FLOOD CONTROL CONST FUND 2,030 WATER AND SEWER FUND 41 OTHER TAXES 42 LICENSES, PERMITS & FEES 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 47 REIMBURSEMENTS 48 OTHER REVENUE 49 OTHER FINANCING SOURCES 1,872 1,770 843,229 118 o 8,285 o TOTAL WATER AND SEWER FUND 855,274 VILLAGE PARKING SYSTEM FUND 41 OTHER TAXES 42 LICENSES, PERMITS & FEES 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 2,985 o 9,925 3 TOTAL VILLAGE PARKING SYSTEM FUND 12,913 PARKING SYSTEM REVENUE FUND 41 OTHER TAXES 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 3,649 10,741 o TOTAL PARKING SYSTEM REVENUE FUND 14,390 VEHICLE MAINTENANCE FUND 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 48 OTHER REVENUE 156,939 94 o TOTAL VEHICLE MAINTENANCE FUND 157,033 VEHICLE REPLACEMENT FUND 44 CHARGES FOR SERVICE 45 FINES AND FORFEITS 46 INVESTMENT INCOME 48 OTHER REVENUE 49 OTHER FINANCING SOURCES 75,132 1,680 829 2,680 -254 4 Y-T-D Received o 8,256 771,342 o 75,828 o 170 75,998 753,863 15,020 7,242,916 16,311 o 27,853 o 8,055,963 19,997 o 86,442 74 106,513 24,441 89,460 86 113,987 1,569,361 1,571 292 1,571,224 751,332 19,308 30,781 2,680 360,708 2009 Budget 1,334,000 o 60,000 47,500 1,000 108,500 1,509,000 16,000 10,236,000 195,000 2,000 25,000 o 11,983,000 45,000 6,000 108,000 2,000 161,000 55,000 105,000 1,000 161,000 1,656,682 15,000 o 1,671,682 899,700 o 200,000 o 60,000 Unreceived Balance o -8,256 562,658 o -15,828 47,500 830 32,502 755,137 980 2,993,084 178,689 2,000 -2,853 o 3,927,037 25,003 6,000 21,558 1,926 54,487 30,559 15,540 914 47,013 87,321 13,429 -292 100,458 148,368 -19,308 169,219 -2,680 -300,708 Unreceived Percent 42.2 -26.4 100.0 83.0 30.0 50.0 6.1 29.2 91.6 100.0 -11. 4 32.8 55.6 100.0 20.0 96 .3 33.8 55.6 14.8 91.4 29.2 5.3 89.5 6.0 16.5 84.6 -501.2 11/11/2009 13,38,27 10 Months ( 2 Months ( 83.3% ) Completed 16.6% ) Remaining FRRBRR03 SUM021 Budget VILLAGE OF MOUNT PROSPECT Revenue by Category within Fund Summary 01/01/09 - 10/31/09 Cur Mo Received Y-T-D Received 2009 Budget Unreceived Balance Unreceived Percent TOTAL VEHICLE REPLACEMENT FUND 80,067 -0.4 COMPUTER REPLACEMENT FUND 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 16,274 140 TOTAL COMPUTER REPLACEMENT FUND 16,414 RISK MANAGEMENT FUND 44 CHARGES FOR SERVICE 46 INVESTMENT INCOME 47 REIMBURSEMENTS 48 OTHER REVENUE 1,164,809 162,734 2,224 164,958 1,159,700 195,281 25,000 220,281 -5,109 32,547 22,776 16.7 91.1 55,323 25.1 406,650 4,396,119 5,414,404 1,018,285 18.8 477 13,237 90,000 76,763 85.3 0 1,306 10,000 8,694 86.9 93,425 854,406 1,169,152 314,746 26.9 500,552 5,265,068 6,683,556 1,418,488 21.2 TOTAL RISK MANAGEMENT FUND POLICE PENSION FUND 46 INVESTMENT INCOME 48 OTHER REVENUE 1,005,800 61,411 TOTAL POLICE PENSION FUND 1,067,211 FIRE PENSION FUND 46 INVESTMENT INCOME 48 OTHER REVENUE 52,452 45,006 TOTAL FIRE PENSION FUND 97,458 SSA #6 GEORGE/ALBERT B&I 46 INVESTMENT INCOME TOTAL SSA #6 GEORGE/ALBERT B&I GENERAL FIXED ASSETS ACCT GP 47 REIMBURSEMENTS 49 OTHER FINANCING SOURCES TOTAL GENERAL FIXED ASSETS ACCT GP MOUNT PROSPECT LIBRARY FUND 49 OTHER FINANCING SOURCES TOTAL MOUNT PROSPECT LIBRARY FUND 5 4,742,329 1,314,104 6,056,433 4,164,081 1,182,930 5,347,011 o o o o o o o 2,693,000 2,273,500 4,966,500 2,864,000 2,116,300 4,980,300 6 6 o o o o 9,450,626 o 9,450,626 -2,049,329 -76.1 959,396 42.2 -1,089,933 -21. 9 -1,300,081 -45.4 933,370 44.1 -366,711 -7.4 o -6 o -6 o o o o o o 9,450,626 100.0 9,450,626 100.0 11/11/2009 13,36:39 10 Months ( 2 Months ( VILLAGE OF MOUNT PROSPECT Budget Expenditure Summary 01/01/09 - 10/31/09 Cur Mo Expended EXPENDITURE BY CLASSIFICATION PERSONAL SERVICES EMPLOYEE BENEFITS OTHER EMPLOYEE COSTS PENSION BENEFITS CONTRACTUAL SERVICES UTILITIES INSURANCE COMMODITIES & SUPPLIES OTHER EXPENDITURES LAND IMPROVEMENTS BUILDING IMPROVEMENTS OFFICE EQUIPMENT MOBILE EQUIPMENT OTHER EQUIPMENT DISTRIBUTION SYSTEMS INFRASTRUCTURE BOND PRINCIPAL INTEREST EXPENSE BANK AND FISCAL FEES INTERFUND TRANSFERS Total All Funds 1,960,233 490,744 33,306 506,816 1,482,098 31,030 630,903 129,108 55,027 8,891 1,575,572 7,247 142,830 127,597 460,447 164,158 140,208 28,421 o o 7,974,636 EXPENDITURE BY FUND GENERAL FUND REFUSE DISPOSAL FUND MOTOR FUEL TAX FUND LAW ENFORCEMENT BLOCK GRANT COMMUNITY DEVELPMNT BLOCK GRNT ASSET SEIZURE FUND DEA SHARED FUNDS FUND DUI FINE FUND FOREIGN FIRE TAX BOARD FUND SERIES 1987A B&I, PW FACILITY SERIES 2001 B&I, VILLAGE HALL SERIES 2003 B&I, VILLAGE HALL SERIES 2009 B&I, FD/PW SERIES 1999 B&I, TIF SERIES 1996A B&I, FLOOD SERIES 1998A B&I, FLOOD SERIES 1998C B&I, TIF IEPA FLOOD CONTROL LOANS B&I SERIES 2000 B&I, FLOOD CONTROL CAPITAL IMPROVEMENT FUND SERIES 2009 CONST FUND DOWNTOWN REDEVLPMNT CONST STREET IMPROVEMENT CONST FUND FLOOD CONTROL CONST FUND WATER AND SEWER FUND VILLAGE PARKING SYSTEM FUND PARKING SYSTEM REVENUE FUND VEHICLE MAINTENANCE FUND 2,811,772 346,113 68,752 o 147,028 o 1,800 1,000 540 o o o o o o o o 168,629 o 190,912 1,582,995 37,254 12,740 3,025 1,188,494 4,749 22,430 130,461 Y-T-D Expended 21,484,143 6,747,741 319,138 5,096,962 13,778,281 408,478 5,685,605 1,255,011 231,915 67,029 4,471,167 188,704 1,446,048 708,804 1,536,786 3,489,898 405,261 372,514 1,050 o 67,694,535 31,860,298 3,266,939 1,615,577 o 611,190 7,416 12,721 7,443 8,821 o 83,320 200,553 o o o o o 494,952 o 442,916 5,026,708 298,332 1,214,696 668,478 8,256,861 59,235 124,102 1,384,039 2009 Budget 26,908,556 9,451,590 476,814 5,985,000 18,987,350 646,765 6,956,783 1,823,795 1,920,250 112,800 11,008,906 487,521 2,535,500 3,051,023 2,337,040 4,889,416 1,225,219 678,783 1,200 o 99,484,311 40,919,620 4,194,247 2,113,102 o 876,710 2,000 1,000 1,500 15,500 o 381,340 910,508 o o o o o 613,354 o 1,544,850 12,784,000 1,925,650 2,856,600 235,000 12,508,845 131,101 143,648 1,972,750 83.3~ ) Completed 16.6~ ) Remaining Unexpended Balance 5,424,413 2,703,849 157,676 888,038 5,209,069 238,287 1,271,178 568,784 1,688,335 45,771 6,537,739 298,817 1,089,452 2,342,219 800,254 1,399,518 819,958 306,269 150 o 31,789,776 9,059,322 927,308 497,525 o 265,520 -5,416 -11,721 -5,943 6,679 o 298,020 709,955 o o o o o 118,402 o 1,101,934 7,757,292 1,627,318 1,641,904 -433,478 4,251,984 71,866 19,546 588,711 Unexpended Percent 20.2 28.6 33.1 14.8 27.4 36.8 18.3 31.2 87.9 40.6 59.4 61.3 43.0 76.8 34.2 28.6 66.9 45.1 12.5 32.0 22.1 22.1 23.5 30.3 -270.8 **** * -396.2 43.1 78.2 78.0 19.3 71.3 60.7 84.5 57.5 -184.5 34.0 54.8 13.6 29.8 11/11/2009 13:36:39 VILLAGE OF MOUNT PROSPECT Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months ( 83.3% ) Completed 16.6% } Remaining Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent VEHICLE REPLACEMENT FUND 142,830 1,446,048 2,535,500 1,089,452 43.0 COMPUTER REPLACEMENT FUND 6,936 130,197 188,150 57,953 30.8 RISK MANAGEMENT FUND 603,700 5,413,565 6,684,336 1,270,771 19.0 POLICE PENSION FUND 255,282 2,572,379 2,993,500 421,121 14.1 FIRE PENSION FUND 247,194 2,487,749 2,951,500 463,751 15.7 SSA #6 GEORGE/ALBERT B&I 0 0 0 0 GENERAL FIXED ASSETS ACCT GP 0 0 0 0 GENERAL LONG-TERM DEBT ACCT GP 0 0 0 0 Total All Funds 7,974,636 67,694,535 99,484,311 31,789,776 32.0 ? 11/11/2009 13,39,06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 NON-DEPARTMENTAL Cur Mo Expended 2009 Budget Unexpended Unexpended Balance Percent Y-T-D Expended PROGRAM TOTALS 00 ADMINISTRATION o o Totals o o EXPENDITURE CLASSIFICATION 72 INTEREST EXPENSE o o Totals o o SOURCE OF FUNDS 930 GENERAL LONG-TERM DEBT ACCT GP o o Totals o o 1 83.3% ) Completed 16.6% ) Remaining o o o o o o o o o o o o 11/11/2009 13:39:06 FRRDBROl SUM on VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 3,716 105,884 125,105 19,221 15.4 350 3,996 7,412 3,416 46.1 4,066 109,880 132,517 22,637 17.1 PUBLIC REPRESENTATION PROGRAM TOTALS 02 MAYOR AND BOARD OF TRUSTEES 03 ADVISORY BOARDS & COMMISSIONS EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES Totals 2,786 28,258 33,967 5,709 16.8 469 4,905 5,848 943 16.1 67 1,240 4,900 3,660 74.7 620 71,862 82,452 10,590 12.8 16 269 500 231 46.2 108 3,346 4,850 1,504 31.0 4,066 109,880 132,517 22,637 17.1 SOURCE OF FUNDS 001 GENERAL FUND 4,066 109,880 109,880 132,517 22,637 17.1 Totals 4,066 132,517 22,637 17.1 2 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 41,006 474,524 555,758 81,234 14 .6 53,910 683,684 560,750 -122,934 -21.9 22,474 228,259 357,765 129,506 36.2 85,322 758,975 1,083,204 324,229 29.9 32,745 245,114 274,604 29,490 10.7 235,457 2,390,556 2,832,081 441,525 15.6 VILLAGE MANAGER'S OFFICE PROGRAM TOTALS 01 VILLAGE MANAGER'S OFFICE 02 LEGAL SERVICES 03 HUMAN RESOURCES 04 INFORMATION TECHNOLOGY 05 PUBLIC INFORMATION EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT Totals 74,293 817,230 1,023,225 205,995 20.1 24,831 278,447 333,606 55,159 16.5 561 20,363 31,350 10,987 35.0 134,841 1,254,081 1,402,049 147,968 10.6 532 5,942 9,360 3,418 36.5 399 6,698 14,161 7,463 52.7 0 7,795 18,330 10,535 57.5 0 0 0 0 235,457 2,390,556 2,832,081 441,525 15.6 SOURCE OF FUNDS 001 GENERAL FUND 235,457 2,390,556 2,832,081 441,525 15.6 Totals 235,457 2,390,556 2,832,081 441,525 15.6 3 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 9,427 120,657 137,725 17,068 12.4 4,928 39,356 45,869 6,513 14 .2 14,355 160,013 183,594 23,581 12.8 TV SERVICES DIVISION PROGRAM TOTALS 02 CABLE TV OPERATIONS 04 INTERGOVERNMENTAL PROGRAMMING EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 67 OTHER EQUIPMENT Totals 8,048 94,260 111,064 16,804 15.1 3,025 34,267 40,234 5,967 14.8 0 1,229 700 -529 -75.6 2,776 15,226 16,936 1,710 10.1 104 1,742 1,600 -142 -8.9 402 6,915 4,560 -2,355 -51.6 0 6,374 8,500 2,126 25.0 14,355 160,013 183,594 23,581 12.8 SOURCE OF FUNDS 001 GENERAL FUND 14,355 160,013 183,594 23,581 12.8 Totals 14,355 160,013 183,594 23,581 12.8 4 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining VILLAGE CLERK'S OFFICE Cur Mo Expended Y-T-D Expended 2009 Budget Unexpended Unexpended Balance Percent PROGRAM TOTALS 02 VILLAGE CLERK'S OFFICE 13,603 162,911 209,032 46,121 22.1 Totals 13,603 162,911 209,032 46,121 22.1 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES Totals 9,231 103,423 123,762 20,339 16.4 3,293 36,715 43,481 6,766 15.6 0 1,262 1,280 18 1.4 921 17,373 35,350 17,977 50.9 52 900 1,700 800 47.1 106 3,238 3,459 221 6.4 13,603 162,911 209,032 46,121 22.1 SOURCE OF FUNDS 001 GENERAL FUND 13,603 162,911 209,032 209,032 46,121 22.1 Totals 13,603 162,911 46,121 22.1 5 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Cur Mo Y-T-D 2009 Unexpended Unexpended FINANCE DEPARTMENT Expended Expended Budget Balance Percent PROGRAM TOTALS 01 FINANCE ADMINISTRATION 25,419 287,313 340,438 53,125 15.6 02 ACCOUNTING 35,819 383,479 473,813 90,334 19.1 05 INSURANCE PROGRAMS 24,917 252,382 304,841 52,459 17.2 06 CUSTOMER SERVICE 28,020 329,575 414,206 84,631 20.4 07 CASH MANAGEMENT 2,130 22,753 27,736 4,983 18.0 Totals 116,305 1,275,502 1,561,034 285,532 18.3 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 56 INSURANCE 57 COMMODITIES & SUPPLIES 65 OFFICE EQUIPMENT Totals 62,769 672,180 830,440 158,260 19.1 21,832 238,454 286,084 47,630 16.6 57 5,340 5,650 310 5.5 10,882 147,068 182,954 35,886 19.6 335 4,571 6,020 1,449 24.1 19,003 190,032 228,038 38,006 16.7 1,427 17,427 21,418 3,991 18.6 0 430 430 0 116,305 1,275,502 1,561,034 285,532 18.3 SOURCE OF FUNDS 001 GENERAL FUND 116,305 1,275,502 1,561,034 285,532 18.3 Totals 116,305 1,275,502 1,561,034 285,532 18.3 6 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 18,476 217,852 284,017 66,165 23.3 19,419 241,750 364,137 122,387 33.6 7,948 81,093 145,583 64,490 44.3 57,385 691,103 963,494 272,391 28.3 40,310 418,549 556,063 137,514 24.7 8,809 103,223 126,146 22,923 18.2 152,347 1,753,570 2,439,440 685,870 28.1 COMMUNITY DEVELOPMENT PROGRAM TOTALS 01 COMMUNITY DEVELOPMENT ADMIN 02 PLANNING & ZONING 03 ECONOMIC DEVELOPMENT 05 BUILDING INSPECTIONS 06 HOUSING INSPECTIONS 07 HEALTH INSPECTIONS EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 65 OFFICE EQUI PMENT Totals 100,221 1,102,560 1,390,145 287,585 20.7 37,135 410,172 495,454 85,282 17.2 380 19,985 35,808 15,823 44.2 11,636 193,686 454,126 260,440 57.3 1,061 12,022 19,274 7,252 37.6 1,914 15,145 22,633 7,488 33.1 0 0 22,000 22,000 100.0 152,347 1,753,570 2,439,440 685,870 28.1 SOURCE OF FUNDS 001 GENERAL FUND 550 DOWNTOWN REDEVLPMNT CONST 152,347 o 1,752,570 1,000 2,438,440 1,000 685,870 o 28.1 Totals 152,347 1,753,570 2,439,440 685,870 28.1 7 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 6,269 73,004 94,894 21,890 23.1 7,775 40,525 95,000 54,475 57.3 104,622 296,714 381,816 85,102 22.3 28,362 200,947 305,000 104,053 34.1 0 0 0 0 147,028 611,190 876,710 265,520 30.3 COMMUNITY DEVELOPMENT - CDBG PROGRAM TOTALS 04 CDBG ADMINISTRATION 05 CDBG COMMUNITY PROGRAMS 06 ACCESSIBLTY & NEIGHBRHD IMPRV 07 CDBG RESIDENTIAL REHAB 08 {Dept/Prog Not Found} EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 57 COMMODITIES & SUPPLIES 59 OTHER EXPENDITURES 62 LAND IMPROVEMENTS 69 INFRASTRUCTURE Totals 4,344 49,429 61,473 12,044 19.6 1,601 17,389 21,354 3,965 18.6 295 1,028 2,165 1,137 52.5 4,529 47,966 163,925 115,959 70.7 0 202 977 775 79.3 31,637 145,971 195,000 49,029 25.1 0 52,491 50,000 -2,491 -5.0 104,622 296,714 381,816 85,102 22.3 147,028 611,190 876,710 265,520 30.3 SOURCE OF FUNDS 070 COMMUNITY DEVELPMNT BLOCK GRNT 147,028 611,190 876,710 265,520 30.3 Totals 147,028 611,190 876,710 265,520 30.3 8 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Cur Mo Y-T-D 2009 Unexpended Unexpended HUMAN SERVICES Expended Expended Budget Balance Percent PROGRAM TOTALS 01 HUMAN SERVICES ADMINISTRATION 11,790 128,287 194,547 66,260 34.1 02 SOCIAL SERVICES 28,443 299,199 362,971 63,772 17.6 03 NURSING/HEALTH SERVICES 16,165 160,703 193,244 32,541 16.8 04 SENIOR CITIZEN LEIS ACTIVITIES 3,466 23,610 41,962 18,352 43.7 05 COMMUNITY CONNECTIONS CENTER 21,737 207,943 381,101 173,158 45.4 Totals 81,601 819,742 1,173,825 354,083 30.2 EXPENDITURE CLASSIFICATION Totals 51,850 456,510 677,842 221,332 32.7 15,102 160,285 208,444 48,159 23.1 696 2,408 9,370 6,962 74.3 9,209 67,511 137,067 69,556 50.7 1,265 8,289 15,200 6,911 45.5 1,767 20,434 53,537 33,103 61. 8 1,712 62,536 43,470 -19,066 -43.9 0 41,769 28,895 -12,874 -44.6 81,601 819,742 1,173,825 354,083 30.2 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 64 BUILDING IMPROVEMENTS 65 OFFICE EQUIPMENT SOURCE OF FUNDS 001 GENERAL FUND 81,601 819,742 1,173,825 354,083 30.2 Totals 81,601 819,742 1,173,825 354,083 30.2 9 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 POLICE Cur Mo Expended PROGRAM TOTALS 01 POLICE ADMINISTRATION 02 PATROL & TRAFFIC ENFORCEMENT 03 CRIME PREVTN & PUBLIC SERVICES 04 INVESTIGATIVE & JUVENILE PRGM 05 CROSSING GUARDS 06 EQUIPMENT MAINTENANCE 137,985 664,039 18,218 102,022 3,041 54,928 Totals 980,233 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT 80 INTERFUND TRANSFERS 695,871 141,516 15,512 110,576 2,678 10,595 311 3,174 o Totals 980,233 SOURCE OF FUNDS 001 GENERAL FUND 060 LAW ENFORCEMENT BLOCK GRANT 080 ASSET SEIZURE FUND 085 DEA SHARED FUNDS FUND 086 DUI FINE FUND 977,433 o o 1,800 1,000 Totals 980,233 10 Y-T-D Expended 2,212,427 6,976,433 200,364 1,041,657 24,468 578,813 11,034,162 7,438,619 2,221,220 131,761 1,075,346 31,568 95,425 3,883 36,340 o 11,034,162 11,006,582 o 7,416 12,721 7,443 11,034,162 2009 Budget 3,264,099 8,678,721 250,585 1,278,316 30,410 692,290 14,194,421 9,292,355 3,310,006 151,000 1,259,990 37,400 111,420 14,050 18,200 o 14,194,421 14,189,921 o 2,000 1,000 1,500 14,194,421 83.3% ) Completed 16.6% } Remaining Unexpended Balance 1,051,672 1,702,288 50,221 236,659 5,942 113,477 3,160,259 1,853,736 1,088,786 19,239 184,644 5,832 15,995 10,167 -18,140 o 3,160,259 Unexpended Percent 32.2 19.6 20.0 18.5 19.5 16.4 22.3 19.9 32.9 12.7 14.7 15.6 14.4 72 .4 -99.7 22.3 3,183,339 22.4 o -5,416 -270.8 -11,721 ****.* 3,160,259 -5,943 -396.2 22.3 11/11/2009 13,39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 FIRE Cur Mo Expended PROGRAM TOTALS 01 FIRE ADMINISTRATION 02 FIRE DEPARTMENT OPERATIONS 03 FIRE TRAINING ACADEMY 04 FIRE PREVENTION 05 FIRE COMMUNICATIONS 06 EQUIPMENT MAINTENANCE 07 EMERGENCY PREPAREDNESS PRGM 08 PAID-ON-CALL PROGRAM 10 FOREIGN FIRE INSURANCE 73,832 541,543 1,650 45,839 2,267 38,779 3,873 1,718 540 Totals 710,041 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 53 PENSION BENEFITS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 64 BUILDING IMPROVEMENTS 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT 538,569 103,084 7,850 540 49,651 2,221 5,977 o o 2,149 Totals 710,041 SOURCE OF FUNDS 001 GENERAL FUND 095 FOREIGN FIRE TAX BOARD FUND 709,501 540 Totals 710,041 11 Y-T-D Expended 1,543,882 6,079,444 6,375 469,377 43,569 387,856 71,156 19,570 8,821 8,630,050 5,999,982 1,792,946 82,707 1,013 576,319 27,987 83,468 3,887 199 61,542 8,630,050 8,621,229 8,821 8,630,050 2009 Budget 2,502,438 7,461,805 14,131 570,607 59,300 465,349 27,579 36,948 15,500 11,153,657 7,308,165 2,801,338 148,880 500 664,814 42,000 71,720 3,800 o 112,440 11,153,657 11,138,157 15,500 11,153,657 83.3% ) Completed 16.6% ) Remaining Unexpended Balance 958,556 1,382,361 7,756 101,230 15,731 77,493 -43,577 17,378 6,679 2,523,607 1,308,183 1,008,392 66,173 -513 88,495 14,013 -11,748 -87 -199 50,898 2,523,607 2,516,928 6,679 2,523,607 Unexpended Percent 38.3 18.5 54.9 17.7 26.5 16.7 -158.0 47.0 43.1 22.6 17 .9 36.0 44.4 -102.6 13.3 33.4 -16.4 -2.3 45.3 22.6 22.6 43.1 22.6 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining PUBLIC WORKS - ADMINISTRATION Cur Mo Expended Y-T-D Expended 2009 Budget Unexpended Unexpended Balance Percent PROGRAM TOTALS 01 PUBLIC WORKS ADMINISTRATION 109,149 1,125,011 1,377,962 252,951 18.4 Totals 109,149 1,125,011 1,377,962 252,951 18.4 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT Totals 16,542 191,789 256,740 64,951 25.3 10,749 117,461 143,468 26,007 18.1 2,805 21,715 24,552 2,837 11.6 76,780 766,473 917,501 151,028 16.5 1,131 14,738 20,837 6,099 29.3 1,142 12,580 14,609 2,029 13.9 0 0 0 0 0 255 255 0 109,149 1,125,011 1,377,962 252,951 18.4 SOURCE OF FUNDS 001 GENERAL FUND 109,149 1,125,011 1,377,962 252,951 18.4 Totals 109,149 1,125,011 1,377,962 252,951 18.4 12 11/11/2009 13,39,06 FRRDBRO 1 SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 PUBLIC WORKS - STREETS/BLDGS Cur Mo Expended PROGRAM TOTALS 01 STREET DIVISION ADMINISTRATION 02 MAINTENANCE - PUBLIC BUILDINGS 04 STREET MAINTENANCE 05 SNOW REMOVAL 06 LEAF REMOVAL 07 STORM SEWER & BASIN MAINT 08 MAINTENANCE OF STATE HIGHWAYS 09 TRAFFIC SIGN MAINTENANCE 10 VILLAGE PARKING LOT MAINT 11 PARKING LOT MAINTENANCE 12 FLOOD CONTROL 13 STORM EVENT 10,103 66,245 96,505 10,504 o 5,789 9,916 7,103 4,749 22,430 o o Totals 233,344 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 54 CONTRACTUAL SERVICES 55 UTILITIES 56 INSURANCE 57 COMMODITIES & SUPPLIES 59 OTHER EXPENDITURES 64 BUILDING IMPROVEMENTS 67 OTHER EQUIPMENT 69 INFRASTRUCTURE 70,667 23,263 93,624 4,327 133 13,869 o o o 27,461 Totals 233,344 SOURCE OF FUNDS 001 GENERAL FUND 050 MOTOR FUEL TAX FUND 620 VILLAGE PARKING SYSTEM FUND 630 PARKING SYSTEM REVENUE FUND 153,717 52,448 4,749 22,430 Totals 233,344 13 Y-T-D Expended 127,402 715,739 452,623 614,191 o 132,866 48,702 92,353 59,235 124,102 o o 2,367,213 1,059,504 302,292 548,803 24,849 1,332 296,983 o o o 133,450 2,367,213 1,891,117 292,759, 59,235 124,102 2,367,213 2009 Budget 152,331 998,576 507,336 651,319 o 183,714 69,195 119,889 131,101 143,648 o o 2,957,109 1,277,373 358,165 702,477 79,230 1,598 387,610 o 13,056 o 137,600 2,957,109 2,382,928 299,432 131,101 143,648 2,957,109 83.3% ) Completed 16.6% ) Remaining Unexpended Balance 24,929 282,837 54,713 37,128 o 50,848 20,493 27,536 71,866 19,546 o o 589,896 217,869 55,873 153,674 54,381 266 90,627 o 13,056 o 4,150 589,896 491,811 6,673 71,866 19,546 589,896 Unexpended Percent 16.4 28.3 10.8 5.7 27.7 29.6 23.0 54.8 13 .6 19.9 17.1 15.6 21. 9 68.6 16.6 23.4 100.0 3.0 19.9 20.6 2.2 54.8 13 .6 19.9 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 16,841 184,118 225,096 40,978 18.2 41,961 379,750 483,348 103,598 21.4 95,531 776,736 1,033,313 256,577 24.8 4,057 59,560 78,707 19,147 24.3 158,390 1,400,164 1,820,464 420,300 23.1 PUBLIC WORKS - FORESTRY/GRNDS PROGRAM TOTALS 01 FORESTRY DIVISION ADMIN 02 MAINTENANCE OF GROUNDS 03 FORESTRY PROGRAM 04 PUBLIC GROUNDS BEAUTIFICATION EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 57 COMMODITIES & SUPPLIES 67 OTHER EQUIPMENT Totals 53,608 599,336 748,292 148,956 19.9 16,748 186,220 225,495 39,275 17.4 1,565 3,665 3,662 -3 -0.1 80,739 550,947 768,695 217,748 28.3 5,730 43,496 55,364 11,868 21.4 0 16,500 18,956 2,456 13 .0 158,390 1,400,164 1,820,464 420,300 23.1 SOURCE OF FUNDS 001 GENERAL FUND 690 RISK MANAGEMENT FUND 158,390 o 1,400,164 o 1,808,964 11,500 408,800 11,500 22.6 100.0 Totals 158,390 1,400,164 1,820,464 420,300 23.1 14 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 58,744 678,129 815,514 137,385 16.8 27,207 504,083 708,712 204,629 28.9 85,951 1,182,212 1,524,226 342,014 22.4 PUBLIC WORKS - ENGINEERING PROGRAM TOTALS 01 ENGINEERING SERVICES 05 TRAFFIC CNTRL & STREET LGHTNG EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT 69 INFRASTRUCTURE Totals 49,951 574,680 683,255 108,575 15.9 14,536 163,157 192,224 29,067 15.1 413 3,559 4,552 993 21.8 6,408 75, 115 145,267 70,152 48.3 4,296 159,811 221,000 61,189 27.7 149 18,296 27,355 9,059 33.1 0 0 546 546 100.0 0 1,326 1,327 1 0.1 10,198 186,268 248,700 62,432 25.1 85,951 1,182,212 1,524,226 342,014 22.4 SOURCE OF FUNDS 001 GENERAL FUND 050 MOTOR FUEL TAX FUND 69,647 16,304 825,219 356,993 1,038,656 485,570 213,437 128,577 20.5 26.5 Totals 85,951 1,182,212 1,524,226 342,014 22.4 15 11/11/2009 10 Months ( 83.3% ) Completed 13:39:06 VILLAGE OF MOUNT PROSPEC--T 2 Months 16.6% ) Remaining FRRDBROl SUMon Department Budget Expenditure Summary 01/01/09 - 10/31/09 Cur Mo Y-T-D 2009 Unexpended Unexpended PUBLIC WORKS - WATER/SEWER Expended Expended Budget Balance Percent PROGRAM TOTALS 01 WATER & SEWER DIVISION ADMIN 97,401 1,034,202 1,421,679 387,477 27.3 02 MAINTENANCE OF BUILDINGS 20,066 220,392 202,567 -17,825 -8.8 03 MAINTENANCE OF GROUNDS 10,693 75,571 107,453 31,882 29.7 04 WATER SUPPLY MAINT & REPAIR 49,864 437,364 1,026,376 589,012 57.4 05 WATER DISTRBT MAINT & REPAIR 68,638 671,630 1,100,921 429,291 39.0 06 WATER VALVE!HYDRNT MAINT & REP 26,301 280,667 390,041 109,374 28.0 07 WATER METER MAINT & REPL 34,877 247,298 382,538 135,240 35.4 08 EQUIPMENT MAINTENANCE 55,819 558,186 669,823 111,637 16.7 09 SANITARY SEWER MAINT & REPAIR 33,279 344,843 1,113,947 769,104 69.0 10 WATER & SEWER SYSTEM IMPROV 503,314 1,743,439 2,315,500 572,061 24.7 12 LAKE MICHIGAN WATER SUPPLY 288,242 2,643,269 3,778,000 1,134,731 30.0 Totals 1,188,494 8,256,861 12,508,845 4,251,984 34.0 EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 142,826 1,419,620 1,874,948 455,328 24.3 51 EMPLOYEE BENEFITS 47,555 500,806 620,618 119,812 19.3 52 OTHER EMPLOYEE COSTS 2,915 20,078 49,430 29,352 59.4 54 CONTRACTUAL SERVICES 471,139 4,149,884 6,056,104 1,906,220 31.5 55 UTILITIES 12,939 114,606 190,944 76,338 40.0 56 INSURANCE 5,856 58,563 70,276 11,713 16.7 57 COMMODITIES & SUPPLIES 26,120 135,136 243,115 107,979 44.4 59 OTHER EXPENDITURES 0 0 0 0 65 OFFICE EQUIPMENT 0 4,431 7,575 3,144 41. 5 67 OTHER EQUIPMENT 18,697 316,951 1,058,795 741,844 70.1 68 DISTRIBUTION SYSTEMS 460,447 1,536,786 2,337,040 800,254 34.2 Totals 1,188,494 8,256,861 12,508,845 4,251,984 34.0 SOURCE OF FUNDS 610 WATER AND SEWER FUND 1,188,494 8,256,861 12,508,845 4,251,984 34.0 Totals 1,188,494 8,256,861 12,508,845 4,251,984 34.0 16 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 320,929 3,140,770 3,980,963 840,193 21.1 25,184 126,169 213,284 87,115 40.8 346,113 3,266,939 4,194,247 927,308 22.1 PUBLIC WORKS - REFUSE DISPOSAL PROGRAM TOTALS 01 REFUSE DISPOSAL PROGRAM 02 REFUSE LEAF REMOVAL PROGRAM EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 56 INSURANCE 57 COMMODITIES & SUPPLIES Totals 18,368 153,541 244,027 90,486 37.1 5,316 50,867 69,954 19,087 27.3 0 199 1,200 1,001 83.4 309,941 3,016,884 3,819,121 802,237 21. 0 21 338 610 272 44.6 2,211 22,113 26,535 4,422 16.7 10,256 22,997 32,800 9,803 29.9 346,113 3,266,939 4,194,247 927,308 22.1 SOURCE OF FUNDS 030 REFUSE DISPOSAL FUND 346,113 3,266,939 4,194,247 927,308 22.1 Totals 346,113 3,266,939 4,194,247 927,308 22.1 17 11/11/2009 13,39,06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 12,467 135,980 190,315 54,335 28.6 11 7,994 1,248,059 1,782,435 534,376 30.0 130,461 1,384,039 1,972,750 588,711 29.8 PUBLIC WORKS - VEHICLE MAINT PROGRAM TOTALS 01 VEHICLE MAINTENANCE ADMIN 02 VEHICLE MAINTENANCE PROGRAM EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 52 OTHER EMPLOYEE COSTS 54 CONTRACTUAL SERVICES 55 UTILITIES 57 COMMODITIES & SUPPLIES 59 OTHER EXPENDITURES 65 OFFICE EQUIPMENT 67 OTHER EQUIPMENT Totals 59,693 646,054 874,252 228,198 26.1 20,515 221,729 279,094 57,365 20.6 190 2,599 2,315 -284 -12.3 4,243 82,489 118,417 35,928 30.3 52 846 1,090 244 22.4 45,768 428,873 693,537 264,664 38.2 0 0 0 0 0 0 545 545 100.0 0 1,449 3,500 2,051 58.6 130,461 1,384,039 1,972,750 588,711 29.8 SOURCE OF FUNDS 660 VEHICLE MAINTENANCE FUND 130,461 1,384,039 1,972,750 588,711 29.8 Totals 130,461 1,384,039 1,972,750 588,711 29.8 18 11/11/2009 13,39,06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 8,183 106,997 148,900 41,903 28.1 2,970 150,048 168,509 18,461 11.0 1,018 22,572 85,703 63,131 73.7 230 2,194 2,897 703 24.3 12,401 281,811 406,009 124,198 30.6 COMMUNITY SERVICE PROGRAMS PROGRAM TOTALS 02 COMMUNITY GROUPS & MISC 03 4TH OF JULY & CIVIC EVENTS,ETC 04 HOLIDAY DECORATIONS 05 BLOOD DONOR PROGRAM EXPENDITURE CLASSIFICATION 50 PERSONAL SERVICES 51 EMPLOYEE BENEFITS 54 CONTRACTUAL SERVICES 57 COMMODITIES & SUPPLIES 59 OTHER EXPENDITURES Totals 596 77 ,168 97,231 20,063 20.6 174 10,409 16,723 6,314 37.8 8,252 149,882 225,385 75,503 33.5 3,379 44,352 58,670 14,318 24.4 0 0 8,000 8,000 100.0 12,401 281,811 406,009 124,198 30.6 SOURCE OF FUNDS 001 GENERAL FUND 12,401 281,811 406,009 124,198 30.6 Totals 12,401 281,811 406,009 124,198 30.6 19 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 CAPITAL IMPROVEMENT PROJECTS Cur Mo Expended PROGRAM TOTALS 01 VILLAGE IMPROVEMENTS & EQUIP 02 COMMUNITY IMPROVEMENT PROJECTS 03 DOWNTOWN REDEVELOPMENT CONST 04 FLOOD CONTROL PROJECTS 06 STREET IMPROVEMENT PROJECTS 09 MOTOR EQUIPMENT REPLACEMENT 10 COMPUTER REPLACEMENT 11 STATION 14 12 EMERGENCY OPERATION CENTER 13 PUBLIC WORKS EXPANSION 164,757 11,420 37,254 3,025 27,475 142,830 6,936 791,295 313 , 183 478,517 Totals 1,976,692 EXPENDITURE CLASSIFICATION 54 CONTRACTUAL SERVICES 59 OTHER EXPENDITURES 62 LAND IMPROVEMENTS 64 BUILDING IMPROVEMENTS 65 OFFICE EQUIPMENT 66 MOBILE EQUIPMENT 67 OTHER EQUIPMENT 69 INFRASTRUCTURE 71 BOND PRINCIPAL 72 INTEREST EXPENSE 80 INTERFUND TRANSFERS 95,331 23,390 8,891 1,573,860 6,936 142,830 103,577 21,877 o o o Totals 1,976,692 SOURCE OF FUNDS 050 MOTOR FUEL TAX FUND 510 CAPITAL IMPROVEMENT FUND 528 SERIES 2009 CONST FUND 550 DOWNTOWN REDEVLPMNT CONST 560 STREET IMPROVEMENT CONST FUND 590 FLOOD CONTROL CONST FUND 630 PARKING SYSTEM REVENUE FUND 670 VEHICLE REPLACEMENT FUND 680 COMPUTER REPLACEMENT FUND o 190,912 1,582,995 37,254 12,740 3,025 o 142,830 6,936 1,976,692 Totals 20 Y-T-D Expended 331,387 40,235 297,332 668,478 2,251,815 1,446,048 130,197 2,799,737 1,035,470 1,191,501 10,192,200 969,196 85,944 14,538 4,404,744 130,197 1,446,048 268,067 2,873,466 o o o 10,192,200 965,825 442,916 5,026,708 297,332 1,214,696 668,478 o 1,446,048 130,197 10,192,200 2009 Budget 1,463,850 216,000 1,924,650 235,000 4,184,700 2,535,500 188,150 8,378,000 2,034,000 2,237,000 23,396,850 1,814,720 1,717,250 62,800 10,948,580 395,150 2,535,500 1,801,550 4,121,300 o o o 23,396,850 1,328,100 1,544,850 12,784,000 1,924,650 2,856,600 235,000 o 2,535,500 188,150 23,396,850 83.3% ) Completed 16.6% ) Remaining Unexpended Unexpended Balance Percent 1,132,463 175,765 1,627,318 -433,478 1,932,885 1,089,452 57,953 5,578,263 998,530 1,045,499 13,204,650 845,524 1,631,306 48,262 6,543,836 264,953 1,089,452 1,533,483 1,247,834 o o o 13,204,650 362,275 1,101,934 7,757,292 1,627,318 1,641,904 -433,478 o 1,089,452 57,953 13,204,650 77.4 81.4 84.6 -184.5 46.2 43.0 30.8 66.6 49.1 46.7 56.4 46.6 95.0 76.9 59.8 67.1 43.0 85.1 30.3 56.4 27.3 71.3 60.7 84.6 57.5 -184.5 43.0 30.8 56.4 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 DEBT SERVICE Cur Mo Expended PROGRAM TOTALS 02 DEBT SERVICE - PROPERTY TAXES 03 DEBT SERVICE - TAX INCREMENT 04 DEBT SERVICE - H/R SALES TAX 1 06 SPECIAL SERVICE AREA B & I o o 168,629 o Totals 168,629 EXPENDITURE CLASSIFICATION 59 OTHER EXPENDITURES 71 BOND PRINCIPAL 72 INTEREST EXPENSE 73 BANK AND FISCAL FEES 80 INTERFUND TRANSFERS o 140,208 28,421 o o Totals 168,629 SOURCE OF FUNDS 140 SERIES 1987A B&I, PW FACILITY 180 SERIES 2001 B&I, VILLAGE HALL 190 SERIES 2003 B&I, VILLAGE HALL 195 SERIES 2009 B&I, FD/PW 290 SERIES 1999 B&I, TIF 340 SERIES 1996A B&I, FLOOD 350 SERIES 1998A B&I, FLOOD 360 SERIES 1998C B&I, TIF 380 IEPA FLOOD CONTROL LOANS B&I 390 SERIES 2000 B&I, FLOOD CONTROL 830 SSA #6 GEORGE/ALBERT B&I o o o o o o o o 168,629 o o Totals 168,629 21 Y-T-D Expended 283,873 o 494,952 o 778,825 o 405,261 372,514 1,050 o 778,825 o 83,320 200,553 o o o o o 494,952 o o 778,825 2009 Budget 83.3% ) Completed 16.6% ) Remaining Unexpended Unexpended Balance Percent 1,291,848 o 613,354 o 1,905,202 o 1,225,219 678,783 1,200 o 1,905,202 o 381,340 910,508 o o o o o 613,354 o o 1,905,202 1,007,975 o 118,402 o 1,126,377 o 819,958 306,269 150 o 1,126,377 o 298,020 709,955 o o o o o 118,402 o o 1,126,377 78.0 19.3 59.1 66.9 45.1 12.5 59.1 78.2 78 .0 19.3 59.1 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 Unexpended Unexpended Expended Expended Budget Balance Percent 3,800 37,991 46,500 8,509 18.3 255,282 2,572,379 2,993,500 421,121 14 .1 247,194 2,487,749 2,951,500 463,751 15.7 506,276 5,098,119 5,991,500 893,381 14.9 RETIREE PENSIONS PROGRAM TOTALS 01 MISCELLANEOUS PENSIONS 02 POLICE PENSIONS 03 FIRE PENSIONS EXPENDITURE CLASSIFICATION 53 PENSION BENEFITS 54 CONTRACTUAL SERVICES 57 COMMODITIES & SUPPLIES Totals 506,276 5,095,949 5,984,500 888,551 14.8 0 2,170 5,000 2,830 56.6 0 0 2,000 2,000 100.0 506,276 5,098,119 5,991,500 893,381 14.9 SOURCE OF FUNDS 001 GENERAL FUND 710 POLICE PENSION FUND 720 FIRE PENSION FUND Totals 3,800 37,991 46,500 8,509 18.3 255,282 2,572,379 2,993,500 421,121 14 .1 247,194 2,487,749 2,951,500 463,751 15.7 506,276 5,098,119 5,991,500 893,381 14.9 22 11/11/2009 13:39:06 FRRDBROl SUM031 VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 10 Months ( 2 Months 83.3% ) Completed 16.6% ) Remaining Totals Cur Mo Y-T-D 2009 unexpended Unexpended Expended Expended Budget Balance Percent 171,512 1,239,112 967,700 -271,412 -28.0 432,188 4,174,453 5,705,136 1,530,683 26.8 603,700 5,413,565 6,672,836 1,259,271 18.9 RISK MANAGEMENT PROGRAM TOTALS 01 CASUALTY & PROPERTY INSURANCE 02 MEDICAL INSURANCE EXPENDITURE CLASSIFICATION 54 CONTRACTUAL SERVICES 56 INSURANCE 67 OTHER EQUIPMENT Totals 0 0 15,000 15,000 100.0 603,700 5,413,565 6,630,336 1,216,771 18.4 0 0 27,500 27,500 100.0 603,700 5,413,565 6,672,836 1,259,271 18.9 SOURCE OF FUNDS 690 RISK MANAGEMENT FUND 603,700 5,413,565 6,672,836 1,259,271 18.9 Totals 603,700 5,413,565 6,672,836 1,259,271 18.9 23 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 NON-DEPARTMENTAL Cur Mo Expended 2009 Budget Unexpended Unexpended Balance Percent Y-T-D Expended PROGRAM TOTALS 01 CONTINGENCIES o o Totals o o EXPENDITURE CLASSIFICATION 80 INTERFUND TRANSFERS o o Totals o o SOURCE OF FUNDS 001 GENERAL FUND o o Totals o o 24 83.3% ) Completed 16.6% ) Remaining o o o o o o o o o o o o 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 CAPITAL FIXED ASSETS Cur Mo Expended o o PROGRAM TOTALS 00 CAPITAL FIXED ASSETS Totals EXPENDITURE CLASSIFICATION 59 OTHER EXPENDITURES Totals SOURCE OF FUNDS 910 GENERAL FIXED ASSETS ACCT GP Totals 25 Y-T-D Expended 2009 Budget o o o o o o o o o o o o 83.3% ) Completed 16.6% ) Remaining Unexpended Unexpended Balance Percent o o o o o o o o o o 11/11/2009 13:39:06 FRRDBROl SUM031 10 Months ( 2 Months VILLAGE OF MOUNT PROSPECT Department Budget Expenditure Summary 01/01/09 - 10/31/09 MOUNT PROSPECT LIBRARY Cur Mo Expended Y-T-D Expended Unexpended Unexpended Balance Percent PROGRAM TOTALS 02 LIBRARY SERVICES o Totals o EXPENDITURE CLASSIFICATION 90 COMPONENT UNIT EXPENDITURES o Totals o SOURCE OF FUNDS 950 MOUNT PROSPECT LIBRARY FUND o Totals o 26 2009 Budget o 9,450,626 o 9,450,626 o 9,450,626 o 9,450,626 o 9,450,626 o 9,450,626 83.3% ) Completed 16.6% ) Remaining 9,450,626 100.0 9,450,626 100.0 9,450,626 100.0 9,450,626 100.0 9,450,626 100.0 9,450,626100.0 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVl02009 14:58 RELEASE I D : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT 001 07921 ACCOMANDO, JOE VOLUNTEER DRIVE JULY,AUG&SEPT 35.00 01071 ADDISON BUILDING MATERIAL CO. #629134 MISC.HARDWARE & SUPPLY 75.58 #629990 MISC.HARDWARE & SUPPLY 16.15 #630556 MISC.HARDWARE & SUPPLY 39.58 ------------- 131.31 01227 AIR ONE EQUIPMENT, INC. FIT TEST KIT & SENSITIVITY S. 151.00 01246 AIRGAS NORTH CENTRAL OXYGEN SUPPLIES 167.63 OXYGEN SUPPLIES 155.83 ------------- 323.46 08110 AMBIUS ANNUAL SERVICE/MAINTENANCE CON 805.80 OVERAGE PO#S008995 135.00 ------------- 940.80 02012 AMERICAN ASSOC.OF CODE ENFORCEMENT MEMBERSHIP 2010 -BOB ROELS 75.00 09676 AMERICAN MESSAGING OPEN Purchase Order 2009 pagin 732.96 01752 AMERICAN SOCIETY SANITARY ENG. MEMBERSHIP DOES 2010 85.00 02848 ARTHUR WEILER, INC. F.08 PLANTING RETAINER RELEASE 2394.97 02270 AT&T SERVICE 10/16 - 11/15/09 3.41 SERVICE 10/16 - 11/15/09 11.37 SERVICE 10/16 - 11/15/09 2.27 SERVICE 10/16 - 11/15/09 3.41 SERVICE 10/16 - 11/15/09 22.73 SERVICE 10/16 - 11/15/09 11.37 SERVICE 10/16 - 11/15/09 43.20 SERVICE 10/16 - 11/15/09 11.37 SERVICE 10/16 - 11/15/09 17.05 SERVICE 10/16 - 11/15/09 29.55 SERVICE 10/16 - 11/15/09 9.09 SERVICE 10/16 - 11/15/09 9.09 SERVICE 10/16 - 11/15/09 40.92 SERVICE 10/16 - 11/15/09 230.76 SERVICE 10/16 - 11/15/09 226.21 SERVICE 10/16 - 11/15/09 145.50 SERVICE 10/16-11/15/09 331.81 ------------- 1149.11 02270 AT&T LONG DISTANCE LONG DISTANCE SERVICE 10/09 0.06 02472 BAHNMAIER, IRENE VOLUNTEER DRIVE JULY, AUG&SEPT 28.00 11624 BECKER-KRISTUFEK, KRISTINE VOLUNTEER DRIVE JULY, AUG&SEPT 3.50 05600 BENCIC, CHARLES VOLUNTEER DRIVE JULY, AUG&SEPT 42.00 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOVI02009 14: 58 RELEASE I D : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT 07142 BENNETT / CHARLES VOLUNTEER DRIVE JULY I AUG&SEPT 31.50 02757 BESSE MEDICAL SUPPLY MISC. MEDICAL SUPPLIES 85.73 08618 BLUE CROSS/BLUE SHIELD REFUND OVER PAYMENT BY BLUE C 80.94 09346 BOSS DIAGWIN ANNUAL MAINTENANCE2009 2940.00 05339 BOUND TREE MEDICAL, LLC 1 Cric Simulator,2 Cric 975.70 11455 BRIGGS I ART VOLUNTEER DRIVE JULY / AUG&SEPT 94.50 07930 BROGAN, KIRSTEN VOLUNTEER DRIVE JULY, AUG&SEPT 31.50 11850 BURDETTE, ADAM REFUND OVER PYMT #C0050768 10.00 01049 CDW GOVERNMENT, INC 3COM 8PT SWITCH - CDW # 104029 296.00 TRIPP LITE RS-232 SURGE PROTEC 34.00 SHIPPING 10.08 OTHER SUPPLIES 122.46 HP LJ 9040 TONER - CDW # 271.27 HP LJ 9040 TONER - CDW # 234.73 CAT 6 KEYSTONE JACK - CDW # 11 28.80 SHIPPING 14.99 ------------- 1012.33 01077 CHICAGO COMMUNICATIONS LLC PORTABLE RADIO REPAIR BAD DISP 565.00 08975 CHICAGO OFFICE TECHNOLOGY GROUP CREDIT 155.34- OVERAGE INV#894691 748.27 OVERAGE INV#894691 61.65 CREDIT 264.26- OVERAGE INV#894691 0.50 10/21/09 THROUGH 12/31/09 20.63 10/21/09 THROUGH 12/31/09 243.07 10/21/09 THROUGH 12/31/09 110.90 10/21/09 THROUGH 12/31/09 233.40 10/21/09 THROUGH 12/31/09 155.39 10/21/09 THROUGH 12/31/09 101.87 1/1/10 - 1/21/2010 10.57 1/1/10 - 1/21/2010 124.50 1/1/10 - 1/21/2010 56.80 1/1/10 - 1/21/2010 119.55 1/1/10 - 1/21/2010 79.59 1/1/10 - 1/21/2010 52.18 ------------- 1699.27 06670 CLARTON, FRANK & JOAN VOLUNTEER DRIVE JULY,AUG&SEPT 24.50 09422 COLACICCO, CAROL VOLUNTEER DRIVE JULY, AUG&SEPT 49.00 01147 COMMONWEALTH EDISON ACCT#O 190 154011 21.84 01183 COOK COUNTY RECORDER OF DEEDS 108 S.MAIN ST 418.00 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOVI02009 14:58 RELEASE I D : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT 11403 COSTAR REALTY INFORMATION, INC ED SITE SOFTWARE 435.00 01218 DAHLBERG, JOHN REIMB EXP 10/18/09-10/30/09 146.51 11625 DIAN, JOAN VOLUNTEER DRIVE JULY,AUG&SEPT 42.00 01276 DIRTBUSTERS AUTO DETAILING, INC. HAND WAX & WASH - 18 SQUADS 600.00 HAND WASH & WAX -REMOVE PAINT 211.0 0 ------------- 811.00 10102 DOWLING, JOAN & ED VOLUNTEER DRIVE JULY, AUG&SEPT 42.00 01329 EL-DINARY, SAID & PHYLLIS VOLUNTEER DRIVER JULY, AUG&SEPT 45.50 10393 EXPERTPAY PAYROLL FOR - 110509 3207.52 11212 FDC DIGITAL IMAGING SOLUTIONS SERVICE AND MAINTENANCE AGREEM 59.00 01377 FEDERAL EXPRESS CORP FED EX 9/21,9128,10/2/09 105.56 FED EX SHIPPING-PLANNING DIV. 39.02 ------------- 144.58 09487 FELLOW, MICHAEL REIMB PURCHASE SAFETY SHOES 16.20 00102 FIRE PENSION FUND PAYROLL FOR - 110509 21335.59 00334 FLOYD, BRIAN REIMB EXP 10/5/09-10/9/09 40.00 11844 GALANOS, ELIZABETH REFUND VEHICLE LICENSE 36.00 09198 GE CAPITAL SERVICE 10/15/09 - 11/14/09 192.74 SERVICE 10/15/09 - 11/14/09 192.74 SERVICE 10/15/09 - 11/14/09 192.74 SERVICE 10/15/09 - 11/14/09 192.74 ------------- 770.96 01522 GRAINGER INC. EMPLOYEE "GO KIT" SUPPLIES 41.09 10386 GUZIEL, FRAN MARKETING CONSULTING 2949.00 07929 HANAFEE, JOE VOLUNTEER DRIVER JULY, AUG&SEPT 10.50 09205 HEALTH ENDEAVORS MED I CAL EXAMS - ANNUAL 8640.00 MEDICAL SERV-SCHLENBECKER, N. 168.00 ------------- 8808.00 09113 HEALY ASPHALT COMPANY,LLC. #20294MB PATCHING&PAVING 10/09 197.88 #20534MB PATCHING&PAVING 10/09 227.97 ------------- 425.85 11516 HEARTLAND ANIMAL SHELTER NFP STRAY INTAKE FEES#09-18781 20.00 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOV102009 14:58 RELEASE ID : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 -- - -.. - - ~.. -----.. -- ----.. --- -- ------ ---------- ---- --- --.. ----.... -- -- --.. ------ --............ -- --........ -----.. -- -- ----- -- ----------- ----.. --- -----.... DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT -.......... -.......... --.......................... --.................................................................................................................................................................... --.............................. -.... 04360 HOLTZ, RAY VOLUNTEER DRIVER JULY, AUG&SEPT 42.00 01610 HOME DEPOT CREDIT SERVICES PAINT & BRUSHES 35.93 OPEN HOUSE/ DRYWALL 7.96 ------------- 43.89 09425 HSBC BUSINESS SOLUTIONS REFRESHMENT S 19.97 REPRINTS 2.34 BOARD MEETING SUPPLIES 52.74 REFRESHMENTS 143.99 REFRESHMENTS 84.84 OFFICE SUPPLIES 33.27 ------------- 337.15 10257 ICMA 401A PLAN PAYROLL FOR - 110509 3019.16 00107 ICMA RETIREMENT TRUST - 457 PAYROLL FOR - 110509 21045.43 07367 ILLINOIS CENTURY NETWORK COMMUNICATION CHARGES 310.00 00108 ILLINOIS DEPARTMENT OF REVENUE PAYROLL FOR - 110509 24494.60 01681 ILLINOIS FIRE CHIEFS ASSOC. Registration/Wisniewski Sept 2 250.00 Registration/East, James 125.00 Registration/Skindingsrude, La 500.00 Registration/Hunt, Woj ci k, Peter 625.00 ------------- 1500.00 04993 ILLINOIS STATE TOLL HIGHWAY AUTHORITY PERIOD 7/l/09 - 9/30/09 23.75 PERIOD 7/l/09 - 9/30/09 0.80 ------------- 24.55 10295 ILLINOIS STUDENT ASSISTANCE COMMISSION PAYROLL FOR - 110509 205.41 07433 IMAGETEC LP ID#90133770128 INV#52838534 356.00 10#90133759827 INV#52849366 275.00 10#90133770126 INV#52849319 275.00 ID#90133759828 INV#52838581 356.00 10#90133770131 INV#52843925 390.00 ------------- 1652.00 09562 IMRF PAYROLL FOR - 110509 411.63 PAYROLL FOR - 110509 38792.38 PAYROLL FOR - 110509 19636.18 ------------- 58840.19 09832 INTERNATIONAL UNION OF OPERATING ENGINEERS PAYROLL FOR - 110509 938.72 LARRY HEINRICH I S 10/8/09PAYROL 6.93 LARRY HEINRICH I S 11/5/09PAYROL 6.93 PAYROLL FOR - 110509 270.27 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOVI02009 14:58 RELEASE I D : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION 09563 IRS PAYROLL FOR - 110509 00354 JANOWICK, TIMOTHY REIMB EXP 11/20/09 10442 JEWEL OSCO #3476 HOLIDAY GIFT BOARDS&COMMISSJON 01794 KALE UNIFORMS, INC. BODY ARMOR- J. JUHL 11861 KEELEY CONSTRUCTION REFUND BUILDING PERTMIT 06995 KGI LANDSCAPING F08 PLANTING RETAINER RELEASE 01849 KUSTOM SIGNALS, INC. RADAR UNIT REPAIR 01861 LANDS I END BUSINESS OUTFITTERS CLOTHING EXPENSE BUILDING DEPT 00374 LAWRIE, MATT REIMB CLOTHING ALLOWANCE 08631 LECHNER AND SONS 2009 UNIFORM RENTAL AND CLEANI 05744 LICARI, NICK REIMB EXP 10/12/09-10/13/09 01897 LIFE ASSIST 2 Wrist Restraint and 2 Ankle OVERAGE 00379 LINDELOF, CHARLES M. REIMB EXP PE CR HR COURSE 07923 LINSKEY, BARBARA & ED VOLUNTEER DRIVER JULY,AUG&SEPT 11857 LUCE, ROY REBATE 11 SQUARES PUBLIC WALK 01915 LUNDIN, RAY VOLUNTEER DRIVER JULY,AUG&SEPT 09163 MAALA, MARIO VOLUNTEER DRIVER JULY, AUG&SEPT 11854 MARNAT INC REFUND OVER PYMT FOOD&BEV. TAX 11233 MAY, LANA VOLUNTEER DRIVER JULY, AOG&SEPT 05021 MENARDS #40884 MISC. TOOLS&HARDWARE S #45361 MISC. TOOLS&HARDWARE S #45382 MISC. TOOLS&HARDWARE S 06719 METEORLOGIX ANNUAL RENTAL OF WEATHER ANNUAL RENTAL OF WEATHER 00116 METRO FEDERAL CREDIT UNION PAYROLL FOR - 110509 PAGE AMOUNT 122 2.8 5 184784.19 250.00 1059.47 626.99 2445.00 152 6.15 131.0 0 32.73 200.00 243.56 190.00 101.00 0.42 101.42 165.00 35.00 539.00 63.00 42.00 8782.00 21.00 13.17 19.96 49.76 82.89 826.33 51.14 877.47 249 3.4 8 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOV102009 14:58 RELEASE 1D : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 ----------------------------------------------------------------------------------------------------------------------------------- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - - - - - - - - - - - - - - -- - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - -- 00117 METROPOLITAN ALLIANCE - POLICE PAYROLL FOR - 110509 1039.00 08574 MIKE GRECO LANDSCAPING, INC F08 PLANTING RETAINER RELEASE 540.00 10777 MILEWSKI, DANIEL REIMB EXP 11/4/09 30.80 11331 MOORE LANDSCAPES, INC HANGING BASKET MAINTENANCE #2 87.95 08025 MORTON SUGGESTION CO. 1000 JAR OPENERS 512.86 09912 MOUNT PROSPECT PAINT/INC. #3031-30398803 MISC.PAINTING S 39.99 #3031-30383921 MISC.PAINTING S 39.99 ------------- 79.98 11102 MOUNT PROSPECT/PROSPECT HEIGHTS ROTARY CLUB 3RD QUARTER MEMBERSHIP DUES 152.00 ROTARY MAGAZINE 3.00 MEMBERSHIP-FIGOLAH, MICHAEL 155.00 ------------- 310.00 07791 MURPHY, WILLIAM VOLUNTEER DRIVER JULY/AUG&SEPT 17 . 50 02117 NATIONAL CRIME PREVENTION COUNCIL 1000 MCGRUFF POLICE COLORING B 350.23 1000SPANISH POLICE COLORING BK 350.23 ------------- 700.46 04661 NATIONAL POWER RODDING CORP. GROUT OF STORM SEWER LINE AND 1589.70 GROUT OF STORM SEWER LINE AND 1106.30 ------------- 2696.00 00123 NATIONWIDE MUTUAL INSURANCE COMPANY PAYROLL FOR - 110509 16387.10 04581 NELS J. JOHNSON TREE EXPERTS CONTRACTUAL REMOVAL OF PRIVATE 1280.00 02148 NEOPOST INC. MONEY ENTERED INTO POSTAGE M. 3000.00 02155 NEXTEL COMMUNICATIONS SERVICE 9/18/09 - 10/17/09 728.30 SERVICE 9/18/09 - 10/17/09 148.37 SERVICE 9/18/09 - 10/17/09 136.53 SERVICE 9/18/09 - 10/17/09 694.98 SERVICE 9/18/09 - 10/17/09 25.78 SERVICE 9/18/09 - 10/17/09 223.61 SERVICE 9/18/09 - 10/17/09 1177.72 SERVICE 9/18/09 - 10/17/09 240.00 SERVICE 9/18/09 - 10/17/09 260.42 SERVICE 9/18/09 - 10/17/09 445.46 SERVICE 9/18/09 - 10/17/09 22.70 SERVICE 9/18/09 - 10/17/09 329.86 SERVICE 9/18/09 - 10/17/09 27. 44 ------------- 4461.17 02170 NORTH EAST MULTI REGIONAL TRNG REGISTER J.JUHL&A.LIETZOW 10/2 100.00 REGISTER W.RYAN&R.NAVA 10120 800.00 REPORT: APBOARDRPT GENERPJED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 RELEASE I D : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT ----------------------------------------------------------------------------------------------------------------------------------- REGISTER- E. SZMERGALSKI &T . GRI FF 190. DO ------------- 1090.00 02182 NORTHERN ILLINOIS POLICE ALARM SYSTEM LANGUAGE LINE-SEPT 09 26.60 02189 NORTHWEST CENTRAL DISPATCH SYS DECEMBER2009 MEMBER ASSESSMENT 39558.70 DECEMBER2009 MEMBER ASSESSMENT 9889.68 ------------- 49448.38 02193 NORTHWEST ELECTRICAL SUPPLY #944152 MISC. ELECTRICAL SUPPLY 27.79 #939061 MISC. ELECTRICAL SUPPLY 102.82 #944231 MISC.ELECTRICAL SUPPLY 30.80 ------------- 161.41 02196 NORTHWEST MUNICIPAL CONFERENCE REGISTRATION-NELSON, NINA 70.00 04140 NOTARY PUBLIC ASSOCIATION NOTARY- L.THOMAS & C.BRATU 90.00 02204 NOVAK & PARKER INC. LABOR & TRIP CHARGES 156.50 10476 PACIFIC TELEMANAGEMENT SERVICES PAY PHONE SERVICE NOVEMBER 09 78. DO 11159 PJ I S CAMERA & PHOTO CORP. 1 NIKON CAMERA FOR CPU 649.95 00124 POLICE PENSION FUND PAYROLL FOR - 110509 27640.07 07927 POORE, MURI EL VOLUNTEER DRIVER JULY, AUG&SEPT 45.50 04921 POPE, ELIZABETH A. PAYROLL FOR - 110509 923.08 02339 PRCHAL, ARLENE & PAUL VOLUNTEER DRIVER JULY, AUG&SEPT 49.00 04954 PRO MIX AUDIO AND LIGHTING I FENDER PD250 PASSPORT SYSTEM 846.75 10983 RIVARD I JOHN RElMB EXP 10/12/09-10/13/09 190.00 07964 RMS TECHNOLOGY SOLUTIONS CISCO 3560G 24-PORT POE SWITCH 3805.00 7X24X4 SMARTNET FOR 3560G 554.00 Cisco 3560G 24 port PoE switch 3805.00 SMARTNET FOR 356DG 554.00 CONFIG FOR 3560G 37D.00 INSTALLATION / CONFIGURATION F 370.00 ------------- 9458.00 11849 ROYSTER, JASON L REFUND OVER PYMT #C49773 30.00 02479 RYDIN SIGN AND DECAL 2010-2011 VEHICLE LICENSES 5289.00 2010 BUSINESS LICENSES 894.25 FREl GHT 68.36 ------------- 6251.61 08609 SAN FILIPPO LANDSCAPE INC. F08 PLANTING RETAINER RELEASE 935.35 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 RELEASE 10 : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - - - - - - - -.. -.... -.. -.. -... - -.... - - - -.. - - - - -.. - -.. - - - - - - -.. - - - -.... - -.. - - - - - - - -.. - - - - - - - - - - -.. - -........ - -- - - - - - - - - - - - - - - - -.. - - - - - - - - - - - - - - - - - - - -.. -...... -.. -... -- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT .. - - -.. -.... - - -.. - - - - - - -- - - - - - - - - - - - - -.... -.. - - - - -.. - - - - - - - - - -.. - - - - - - - - - - - - - -......... - - - -.... -.... -...... -.... -... - - - - - - - - -.... - - - - - - - - - -....... - - - - - - - -.. - - - - - - -- 11853 SCHLENBECKER, NICOLAS REIMB EXP PARAMEDIC TEXT BOOK 273 .57 09779 SCHROEDER, WILLIAM REIMB EXP 10/12/09-10/13/09 339.66 REIMB EXP 10/20/09 42.19 ------------- 381.85 06671 SHEEHAN, DOT & JACK VOLUNTEER DRIVER JULY, AUG&SEPT 45.50 05019 SILL, GREGORY REIMB EXP 10/28/09 75. DO 02587 SOUTHERN KANE COUNTY TRNG ASSC Registration/Phenegar, Dane 295.00 02155 SPRINT CELL PHONE SERV PROJECT SHIELD 51.99 02627 STEINER ELECTRIC CO. ANNUAL MAINTENANCE AND FLUID 1988.82 118 45 STROBE, ROB REBATE 2 SQUARE OF PUBLIC WALK 98. DO 10992 STROUD SAFETY APPAREL VELCRO ON SHOULDERS, STRIPES 405. DO 04951 SUBURBAN ACCENTS INC. #15902 GRAPHICS&LETTERING 275.00 09668 T. P. I. MEETING DETAIL 147 . DO BUILDING INSPECTIONS 3948. DO ------------- 4095.00 09751 TAYLOR, JEFFREY REIMB EXP 10/14 & 10/26-10/30 48.00 02691 THOMPSON ELEVATOR INSPECTIONS 66 SEMI ANNUAL INSPECTIONS 2479.00 1 NEW CONSTRUCTION ELEVATOR 75. DO 33 SEMI -ANNUAL INSPECTIONS 1221.0 0 ------------- 3775. DO 118 62 TIME STRIPING INC ET SUPPLIES 218.44 11261 TUCKER, TOM REIMB EXP 10/16/09 35.00 02756 UNITED STATES POSTAL SERVICE EMS CARDS OCT 09 29.41 SISTER CITIES OCT 09 65.36 PUBLIC INFORMATION OCT 09 113.9 5 ----------.....- 208.72 00127 UNITED WAY PAYROLL FOR - 110509 392.02 10531 VCG UNIFORM Various Uniform & Footwear 359.70 11535 VH BLACKINTON & CO. INC. BADGE REPAIR OFCR.ADDANTE 29.00 02802 VILLAGE OF ARLINGTON HEIGHTS Registration/09 Ghawal y, Micha 375.00 118 63 VILLAGE OF LOMBARD POLICE DEPARTMENT REGISTER-M. JOLIE&B. TWEEDIE 400.00 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 RELEASE ID : PAGE VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - -- 00128 VILLAGE OF MOUNT PROSPECT PAYROLL FOR - 110509 21995.65 PAYROLL FOR - 110509 11843.54 ------------- 33839.19 04314 VILLAGE OF MOUNT PROSPECT - PAYROLL WIRES PAYROLL FOR - 110509 343.86 02815 VISIBLE COMPUTER SUPPLY CORP. YR END TAX FORMS&ENVELOPES 265.69 02835 WAREHOUSE DIRECT SUPPLIES 254.46 SUPPLIES 296.75 SUPPLIES 194.27 TONER CARTRIDGE 154.25 ------------- 899.73 11851 WILLIAMS, CHARLES REFUND OVER PYMT #P3887881 18.00 05746 WISCTF PAYROLL FOR - 110509 542.48 TOTAL 549964.44 030 02270 AT&T SERVICE 10/16 - 11/15/09 4.55 05021 MENARDS #45712 MISC.TOOLS&HARDWARE S 54.44 #45743 MISC.TOOLS&HARDWARE S 33.99 ------------- 88.43 TOTAL 92.98 050 01147 COMMONWEALTH EDISON ACCT#06820-61025 4461.51 ACCT#06851-51062 13860.20 ------------- 18321. 71 04355 COOK COUNTY TREASURER TRAFFIC SIGNAL MAINT. 7/H/30 2949.75 05709 MEADE ELECTRIC CO. INC. 2009 TRAFFIC SIGNAL MAINTENANC 1832.00 05211 STATE TREASURER TRAFFIC SIGNAL MAINT 7/09-9/09 5466.51 TOT AL 28569.97 070 09381 ARCO CONSTROCTION SINGLE F. REHAB-624 KENSINGTON 35055.00 01090 CHILDREN'S ADVOCACY CENTER OF NW COOK COUNTY 3RD QUARTER 2009 1000.00 01183 COOK COUNTY RECORDER OF DEEDS 910 N.PROSPECT &501 S.WILLIAM 104.00 09198 GE CAPITAL SERVICE 10/15/09 - 11/14/09 192.74 10223 HIGHER UP MINISTRIES 3RD QUARTER 09 JOB TRAINING PG 1375.00 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOVI02009 14:58 PAGE 10 RELEASE I D : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - - - - - - - - - - - - - - - - - - - -- - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - -- - -- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOONT - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- 06945 JOURNEY'S FROM PADS TO HOPE 3RD QUARTER 2009 1000.00 07502 LYONS & PINNER ELECTRIC COMPANIES CONSTRUCTION CONTRACT FOR 45212.77 02420 RESOURCES FOR COMMUNITY LIVING RCL- 3RD QUARTER 2009 1000.00 11846 SHEAGREN, KIMBERLY REIMB EXP SUPPLIES 41.56 REIMB EXP PIZZA FOR PLANNING M 137.19 ------------- I7 8.7 5 11580 VIKING PLUMBING SERVICES, LLC CDBG ER REPAIR-7 N. ELM ST 9900.00 TOTAL 95018.26 095 07852 COMCAST SERVICE 2009 144.50 SERVICE 2010 2157.84 ------------- 2302.34 TOTAL 2302.34 510 08107 ERB I DAVID REIMB EXP OCT09 & NOV09 163.13 04434 GEWALT HAMILTON ASSOCIATES I INC. PAYMT#4 KENSINGTON RD IMPROV. 8588.00 11331 MOORE LANDSCAPES, INC HANGING BASKETS 3757.85 11788 PLANTE & MORAN, PLLC CONSULTING SERV9/1/09- 10/15/09 22500.00 TOT AL 35008.98 528 10321 BRUSSEAU DESIGN GROUP, LLC. OBSERVATION SERV-RTPD SOFTB.F 52.50 06406 SRBL ARCHlTECHTS, LTD. Archi tectural Services for Fir 9976.92 Architectural Services for Pub 4999.50 Architectural Services for the 7462.00 ------------- 22438.42 TOTAL 22490.92 550 01620 AMERICAN LANDSCAPING INC. NORTHWEST HWY - ROUTE14 3363.00 11786 AMERICAST CONCRETE PRODUCTS CORP. 22 - HEAVY WHEEL STOPS FOR 2409.00 11848 WRB I LLC LEGAL & FINANCING COSTS 5250.00 TOT AL 11022.00 560 04493 A LAMP CONCRETE 2009 STREET RESURFACING CONTRA 286340.76 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 PAGE 11 RELEASE 10 : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - -- - -- -- - -- - - --- - - - - - -- - - ---------- -- - - -- - - - -- --- ---- ------ --- - - - - --- - - -- - - - - - --- ----- - -- -- -- - - - - - - - - - - --- - - - - - - - - - - ----- -- - - -- - --- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - -- - --- -- - -- - -- - - - -- - ---- ----- ---- -- -- -- -- - - -- -- --------- - -- -- - - -- - - - - -- - -- - - -- - -- --- - -- - - - - - -- - - - -- - - -- - - - - - - --- - ----- -- ---- -- --- 02756 UNITED STATES POSTAL SERVICE TRAFFIC INFORMATION OCT 09 724.09 TOT AL 287064.85 590 01620 AMERICAN LANDSCAPING INC. CREEK BANK REGRADING AT VARIOU 4300.00 04661 NATIONAL POWER RODDING CORP. EMERGENCY REAPIRS GROUT STORM 4400.00 TOT AL 8700.00 610 01071 ADDISON BUILDING MATERIAL CO. #630589 MISC.HARDWARE & SUPPLY 183.84 #630867 MISC.HARDWARE & SUPPLY 80.95 #631236 MISC.HARDWARE & SUPPLY 74.33 #631806 MISC.HARDWARE & SUPPLY 18.87 #629403 MISC . HARDWARE & SUPPLY 2.81 #629875 MISC. HARDWARE & SUPPLY 26.04 #629883 MISC.HARDWARE & SUPPLY 9.98 #630197 MISC . HARDWARE & SUPPLY 32.62 #630231 MISC. HARDWARE & SUPPLY 10.75 ------------- 440.19 01620 AMERICAN LANDSCAPING INC. 2009 PARKWAY RESTORATION CONTR 398 6.6 5 2009 PARKWAY RESTORATION CONTR 2346.95 ------------- 6333.60 02270 AT&T SERVICE 10/16 - 11/15/09 303.51 02938 BOWMAN DISTRIBUTION CENTER #1309994001 MISC.HARDWARE 124.30 08975 CHICAGO OFFICE TECHNOLOGY GROUP 10/21/09 THROUGH 12/31/09 101.87 1/1/10 - 1/21/2010 52.18 ------------- 154.05 01147 COMMONWEALTH EDISON ACCT#05040 140000 39.80 ACCT#0123132132 28.31 ACCT#0984158009 28.06 ACCT#0753122039 42.58 ACCT#0300069050 287.50 ACCT#O 981004004 31.57 ACCT#OO 18021059 29.10 ACCT#1074086017 2216.01 ACCT#O 1440350 12 32.81 ACCT#4475624003 25.94 ACCT#0774017015 489.06 ACCT#02280 61 023 2084.43 ACCT#O 1440700 11 42.25 ACCT#0630089039 234.66 ------------- 5612.08 09050 ELAN TECHNOLOGIES INC. SANITARY SEWER FLOW MONITORING 1202.50 SANITARY SEWER FLOW MONITORING 620.49 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14: 58 RELEASE I D : PAGE 12 VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --- SANITARY SEWER FLOW MONITORING 582.01 ------------- 2405.00 11830 ELSTER ELECTRICITY LLC REPAIR AMR-METER READ DEVICE 804.68 08021 GRISWOLD INDUSTRIES ANNUAL CHECK OF CONTROL VALVES 1000.00 BALANCE OF PO#S009434 598.08 ------------- 1598.08 01544 HBK WATER METER SERVICE WATER METER TESTING SERVICES 119.00 WATER METER TESTING SERVICES 238.00 WATER METER INSTALLATION SERVI 119.00 BUILDING INSPECTION SERVICES 2201.20 ------------- 2677,20 11856 HSBC BANK USA REFUND FINAL UTILITY BILL 49.52 08631 LECHNER AND SONS 2009 UNIFORM RENTAL AND CLEAN I 243.56 118 55 LEE, JONG H & YUK SO REFUND FINAL WATER BILL 16.31 07590 LlFCO CONSTRUCTION 2009 WE GO PARK SPOT RELAY PRO 102897.90 01965 MARTAM CONSTRUCTION REPLACE SEWER- 201 S. WE-GO 2592.67 CONCRETE RESTORATION REPAIR 14875.00 PROSPECT MEADOWS WATERMAIN 68040.00 ------------- 85507.67 09912 MOUNT PROSPECT PAINT, INC. #3031- 30376451 MISC. PAINTING S 74.10 02155 NEXTEL COMMUNICATIONS SERVICE 9/18/09 - 10/17/09 590.85 SERVICE 9/18/09 - 10/17/09 42.50 ------------- 633.35 02287 PEERLESS MIDWEST INC LABOR AND EQUIPMENT TO INSTAL 740.00 LABOR AND EQUIPMENT TO INSTAL 1434.48 ------------- 217 4.4 8 08184 SNAP ON INDUSTRIAL REPALACEMT FLEX SOCKET &ADAPTER 550.06 02756 UNITED STATES POSTAL SERVICE PERMIT 699-WATER OCT 09 2051.86 02914 ZIEBELL WATER SERVICE PRODUCTS INV#206679-Q005"XI0 1 FIRE HORSE 764.00 INV#205575-000 PIPES & VALVE 4267.43 ------------- 5031.43 TOTAL 219682.93 530 01147 COMMONWEALTH EDISON ACCT#4 4 75 7 67003 168.80 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 PAGE 13 RELEASE 10 : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - --- -- -- - - - ---- - - - - ----- - - -- - -- - - - --- - -------- - --- ------ - -- - - - - - --- - - ------- - --- - -- -- - - - - - -- - - - - - - - - - - - - --- --- ------ - - --- - - ---- - - -- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- ACCT#44 75 77 0000 118.38 ------------- 287.18 02754 UNION PACIFIC RAILROAD LAND LEASE OCTOBER 2009 3580.32 TOT AL 3867.50 660 01071 ADDISON BUILDING MATERIAL CO. #630772 MISC. HARDWARE & SUPPLY 18.42 02070 ARLINGTON HEIGHTS FORD CREDIT#502169 100.00- INV#502141 VEHICLE REPAIR/PART 146.22 INV#502307 VEHICLE REPAIR/PART 210.46 INV#503503 VEHICLE REPAIR/PART 8.25 CREDIT#502952 95.74- CREDIT#502954 100.00- CREDIT#502948 95.74- INV#C02090 VEHICLE REPAIR/PART 112.95 INV#499442 VEHICLE REPAIR/PART 12.75 INV#500262 VEHICLE REPAIR/PART 111.7 6 CREDIT#501770 100.67- CREDIT#50 177 4 30.24- INV#501775 VEHICLE REPAIR/PART 93.06 INV#501486 VEHICLE REPAIR/PART 752.94 INV#501544 VEHICLE REPAIR/PART 122.17 INV#501903 VEHICLE REPAIR/PART 557.82 INV#501808 VEHICLE REPAIR/PART 91. 72 ------------- 1697.71 02270 AT&T SERVICE 10/16 - 11/15/09 11.37 09289 BEACON SSI,INC. REPAIR OF FUEL MONITOR&D. TANK 330.31 02938 BOWMAN DISTRIBUTION CENTER #1069936001 MISC.HARDWARE 432.36 #1308419001 MISC.HARDWARE 342.28 ------------- 774.64 09166 CYLINDERS I INC. REPAIR (2) UNDERBODY CYLINDERS 686.00 01750 INTERSTATE BATTERY #110103327 REPLACEMENT BATTERY 545.70 #130051023 REPLACEMENT BATTERY 563.70 #130051024 REPLACEMENT BATTERY 563.80 ------------- 1673.20 06691 JUST TIRES 2 TRAILER TIRES 127.24 11752 K&K SALES & SERVICES INC INV#1669REPAIR OF VEHICLE LIFT 890.00 INV#1670REPAIR OF VEHICLE LIFT 225.00 ------------- 11l5.00 01879 LEACH ENTERPRISES, INC. REAR AXLE PINION SEAL-FIRE#516 31.61 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 PAGE 14 RELEASE 10 : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - -- - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- 01914 LOND INDUSTRIES, INC. #62202 REPLACEMENT ARM REST 131.4 8 #62199 PO VEHICLE REPLACE LAMP 53.55 ------------- 185.03 02155 NEXTEL COMMUNICATIONS SERVICE 9/18/09 - 10/17/09 351.33 SERVICE 9/18/09 - 10/17/09 25.55 ------------- 376.88 02585 SOURCE NORTH AMERICA BREAKWAY HOSE FOR PUMP#4 85.00 02684 TERRACE SUPPLY COMPANY #570570 GAS CYLINDERS REFILL&S 41.90 #S82743Z GAS CYLINDERS REFILL 28.07 #581414 GAS CYLINDERS REFILL&S 228.50 ------------- 298.47 TOTAL 7410.88 670 01071 ADDISON BUILDING MATERIAL CO. #629984 MIse.HARDWARE & SUPPLY 3.40 #630261 MISC. HARDWARE & SUPPLY 13.61 #630668 MIse . HARDWARE & SUPPLY 22.17 #630978 MIse.HARDWARE & SUPPLY 6.00 ------------- 45.18 06642 BRISTOL HOSE & FITTING NEW HYDRAULIC LINES#4528 313.69 01045 CATCHING FLUIDPOWER HYDRAULIC PARTS 4 VEHICLE#4528 180.19 01431 FOSTER COACH SALES INC. PARTS & LABOR #524 4210.00 06403 LINDCO EQUIPMENT SALES, INC. PRE-WET SYSTEM FOR VEHICLE #45 2609.05 04951 SUBURBAN ACCENTS INC. #15915 GRAPHIeS&LETTER P-15 475.00 11241 ULTRA STROBE COMMUNICATIONS, INC INV#52B1 SQUAD EQUIPMENT 3497.63 INV#5520 SQUAD EQUIPMENT 50.00 INV#5279 SQUAD EQUIPMENT 2874.63 INV#S282 SQUAD EQUIPMENT 330.00 INV#S397 SQUAD EQUIPMENT 4220.00 INV#S280 SQUAD EQUIPMENT 4396.46 INV#5290 SQUAD EQUIPMENT 240.00 INV#5310 SQUAD EQUIPMENT 157.70 INV#5309 SQUAD EQUIPMENT 97.50 INV#5379 SQUAD EQUIPMENT 1300.00 INV#5313 SQUAD EQUIPMENT 258.62 INV#5329 SQUAD EQUIPMENT 831.20 ------------- 18253.74 02913 Z I EBART UNDERCOATING OF #4528 400.00 TOTAL 26486.85 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOV102009 14: 58 RELEASE I D : PAGE 15 VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 - - - -- -- - -- - -- - - - - -- - ---- - - -- - -- - - - - - -- - -- - --- -- - -- - - -- - -- - - - - - - - - ---- ---- ---- - -- - - - - - - - - -- ---- - -- - - ---- - - - ----- - --- -- - - - - - - -- - - - --- DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT - - - - -- -- - -- --- - - ---- - - - - - ---- - -- - - -- -- - --- - - ----- ----- - -- -- -- - - - --- - - - -- - - - - - - -- - - - - - -- ------- - - - - - - --- - - ---- -- - -- - - - - --- - ~ - -- - - - -- 680 01049 CDW GOVERNMENT, INC WESTERN DIGITAL 320 GB SATA HD 49.00 08146 DELL MARKETING L. P. POWEREDGE R7lO SERVER W/ X5550 9970.72 TOTAL 10019.72 690 03991 ALLSTAR AUTO GLASS REPAIR TO WINDSHIELD V#2744 259.00 10010 BURKHARDT, GAIL REIMB EXP LIABILITY INSURANCE 99.00 10072 CANNON COCHRAN MANAGEMENT SERVICES, INC. 4TH QUARTER 2009-CLAIMS&ADMIN 3875.00 01236 DAVE & JIM'S AUTO BODY, INC. REPAIR S-26 REPORT#09-17882 320.15 01102 GAB ROBINS N.A., INC - CITIBANK PAYMENT OF INS CLAIMS 10/21/09 283.48 PAYMENT OF INS CLAIMS 10/30/09 1535.64 ------------- 1819.12 TOTAL 6372.27 710 01027 CAPITAL GAINS INC. POLICE PENSION - SEPT09 1982.00 POLICE PENSION - OCT09 1898.00 ------------- 3880.00 04890 SEGALL BRYANT & HAMILL POLICE PENSION JULY-SEPT 09 7542.07 TOTAL 11422.07 720 01027 CAPITAL GAINS INC. FIRE PENSION - SEPT09 2210.00 FIRE PENSION - OCT09 2170.00 ------------- 4380.00 04890 SEGALL BRYANT & HAMILL FIRE PENSION JULY-SEPT 09 7633.31 118 60 WERDERITCH, RANDY 3RD Q ADMIN.ASSISTANCE FEE 300.00 TOTAL 12313.31 770 08178 GUARDIAN EMP DENTAL PLAN NOVEMBER 09 7823.97 TOT AL 7823.97 190 11852 DECANCQ, RICHARD REFUND REMOVAL ELM TREE 26.31 11843 GRA YBEAL I DA VI 0 REFUND REMOVAL ELM TREE 26.31 01719 NCPERS GROUP LIFE PREMIUM NOVEMBER 2009 688.00 PREMINUM NOVEMBER09 16.00 REPORT: mOARDRPT GENERATED: 15 APR 09 11:42 DEPT VENDOR NBR 02689 RUN: TUESDAY NOVI02009 14:58 RELEASE I D : VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 VENDOR NAME INVOICE DESCRIPTION THIRD DISTRICT CIRCUIT COORT BOND MONEY 10/29/09 BOND MONEY 11/3/09 BOND MONEY 11/5/09 BOND MONEY 111lO!09 TOTAL GRAND TOTAL PAGE 16 AMOUNT 704.00 800.00 2785.00 1375.00 815.00 5835.00 6591.62 1352225.86 REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY NOV102009 14:58 RELEASE ID : PAGE 17 VILLAGE OF MOUNT PROSPECT LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES FROM OCTOBER 29 2009 TO NOVEMBER 11 2009 ----------------------------------------------------------------------------------------------------------------------------------- SUMMARY BY FUND - -- - - -- -- - --- - -- - --- - - -- -- --- - -- - ------- - ---- -- - - ------ - - - - -- - -- - - - ---- - - - -- - - --- ---- - - - - - - ---- - -- - - --- - - - - -- -- - -- - - - - - -------- - --- 001 GENERAL FUND 549964.44 030 REFUSE DISPOSAL FUND 92.98 050 MOTOR FUEL TAX FUND 28569.97 070 COMMUNITY DEVELPMNT BLOCK GRNT 95018.26 095 FOREIGN FIRE TAX BOARD FUND 2302.34 510 CAPITAL IMPROVEMENT FUND 35008.98 528 SERIES 2009 CONST FUND 22490.92 550 DOWNTOWN REDEVLPMNT CONST 11022.00 560 STREET IMPROVEMENT CONST FUND 287064.85 590 FLOOD CONTROL CONST FUND 8700.00 610 WATER AND SEWER FUND 219682.93 630 PARKING SYSTEM REVENUE FUND 3867.50 660 VEHICLE MAINTENANCE FUND 7410.88 670 VEHICLE REPLACEMENT FUND 26486.85 680 COMPUTER REPLACEMENT FUND 10019.72 690 RISK MANAGEMENT FUND 6372.27 710 POLICE PENSION FUND 11422.07 720 FIRE PENSION FUND 12313 .31 770 FLEXCOMP ESCROW FUND 7823.97 790 ESCROW DEPOSIT FUND 6591.62 -------------- TOTAL : 1352225.86 REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY NOVI02009 14:58 PAGE REPORT PARAMETERS ORGANIZATION NO. : 001 STARTING CHECK DATE : 10/29/09 ENDING CHECK DATE : 11/11/09 STARTING BANK ENDING BANK SEGMENT NUMBER TO SORT BY : 01 STARTING ACCOUNT SEGMENT NUMBER: ALL ENDING ACCOUNT SEGMENT NUMBER : ALL RELEASE LEVEL Village of Mount Prospect List of Escrow Checks Presented to the Board of Trustees 11/11/09 To 11/11/09 11./l.U/U,", EMR025 Paid to Permit # 091513 A PETES SEWER AND DRAIN A-1 CONTRACTORS INC 091784 ALL TEMP HEATING & AIC 092215 092280 092048 091095 092081 ALLEN, THOMAS P ALZAK ARCHITECTURES AMERICAN NATIONAL SPRINKLER ARMSTRONG ELECTRIC ASSOCIATED HEATING GROUP INC 082334 BATH FITTER 082101 092192 090888 082290 091552 091878 092071 BERGER, MARIAN BISHOP PLUMBING INC BROGAN DEVELOPMENT INC CABINETS PLUS CAPPS PLUMBING & SEWER CARRENO CONCRETE & LANDSCAPING CEDAR CREEK CORPORATION 091528 CHANGING SEASONS 092141 CNC GRAPHICS INC 082610 082094 092093 COMFORT MASTERS HTG & COOLING LLC DAGRES, GEORGE DAHME MECHANICAL IND. 082240 DANLEY LUMBER 090568 092249 082190 092200 DESMOND LANDSCAPE DONE RITE SEALCOATING INC DRAINMASTER SEWER DURAN CONCRETE INC 092047 EDMISTON, CHARLENE M 092200 082594 EXPERT PLUMBING F & F CEMENT CONSTRUCTION 091577 092251 FILIPPI, KAREN E. 082651 FORTIS CONCRETE CO INC 092077 FOUR SEASONS INC 082518 092025 GEHRKE, KENNETH 091951 091298 091149 GIRARDIN, SUZANNE GONZALEZ CONCRETE HANSEN'S LANDSCAPING 092066 HAUT, STEVEN A 091543 082256 HELWIG, JOHN & JOYCE HENGLER, DOLORES 082741 HOME DEPOT 090238 !'age 1 Check # 13018255 Amount 125.00 13018256 200.00 13018257 125.00 75.00 200.00 375.00 125.00 125.00 25.00 150.00 500.00 13018258 13018259 13018260 13018261 13018262 13018263 13018264 13018265 13018266 13018267 750.00 375.00 500.00 150.00 200.00 75.00 125.00 125.00 150.00 75.00 225.00 200.00 500.00 125.00 150.00 375.00 125.00 200.00 150.00 350.00 * 13018268 13018269 13018270 13018271 13018272 13018273 13018274 13018275 13018276 13018277 13018278 13018279 13018280 13018281 13018282 13018283 13018284 13018285 325.00 13018286 200.00 13018287 125.00 13018288 125.00 250.00 * 13018289 13018290 13018291 13018292 13018293 13018294 13018295 13018296 75.00 200.00 150.00 200.00 200.00 525.00 200.00 75.00 village of Mount Prospect List of Escrow Checks Presented to the Board of Trustees 11/11/09 To 11/11/09 J.....l../ .LVI UJ EMR025 Paid to Permit # 092113 090569 091482 090941 082062 092279 092351 HOME IMPROVEMENTS SERVICES,INC J & K HOME IMPROVEMENT J S HOME REMODELING KEELEY CONSTRUCTION KNAGA I, GEORGE LATTNER, PAUL D LOPEZ, RICHARD & NANCY MARTINSON GROUP 092019 MAXI-ROOTER 082189 082217 MCKENNA, DAMIAN 082597 090991 MENDEZ CONSTRUCTION 091383 091792 091924 092065 MIDWEST CONSTRUCTION CO OF CHGO INC 081888 082542 081576 092248 091818 091849 MR ROOTER OF COOK COUNTY MURPHY PAVING & SEALCOATING INC MURPHY, DANIEL NIECZYPEROWICZ, ANDREW NITTI, DOMENICO NORTH SHORE MGMT GROUP 090550 092291 091768 NOT HACKER, KAREN PERMA SEAL BASEMENT SYSTM 091797 PLANICA, GEORGE 060562 082428 082284 092171 082264 071753 091412 091428 PROFESSIONAL PAVING & CONCRETE R SIWEK COMPANY INC RAULAND BORG CORP ROCKY'S BLACKTOP ROSE, JOHN ROUSKE, LISA RYAN CONSTRUCTION INC S&S ELECTRICAL SERVICES 092369 SAMPLE JR., WILLIAM 091127 092270 091770 091825 092222 091556 SHAFFER, JAMES SMORCZEWSKI, LISA STAVROPOULOS, NICHOLAS STRAIGHT UP ELECTRIC TEDESCO, ROBERT page L Check # 13018297 13018298 13018299 13018300 13018301 13018302 13018303 13018304 13018305 13018306 Amount 200.00 125.00 225.00 1,000.00 75.00 200.00 125.00 1,000.00 125.00 125.00 250.00 * 13018307 13018308 150.00 200.00 350.00 * 13018309 13018310 150.00 200.00 200.00 150.00 700.00 * 13018311 13018312 13018313 13018314 13018316 13018315 13018317 13018318 13018319 13018320 13018321 13018322 800.00 125.00 500.00 125.00 200.00 150.00 1,125.00 125.00 75.00 125.00 200.00 * 13018323 13018324 13018325 13018326 13018327 13018328 13018329 13018330 13018331 13018332 13018333 13018334 13018335 13018336 13018337 300.00 200.00 75.00 200.00 500.00 1,250.00 500.00 350.00 125.00 75.00 200.00 200.00 500.00 125.00 125.00 . llllU/U~ EMR025 Village of Mount Prospect List of Escrow Checks Presented to the Board of Trustees 11/11/09 To 11/11/09 Page 3 Paid to THOMPSON, CARL Permit # Check # 082533 13018338 061380 13018339 092163 13018340 091341 13018341 082820 13018342 082820 13018343 090964 13018344 090813 13018345 092244 13018346 082570 13018347 092108 13018348 091793 13018349 082770 13018350 Amount 125.00 THYGESEN COMPANY 300.00 U S WATERPROOFING 125.00 150.00 125.00 VICTORIA HILLS BUILDING OWNERS A. VILLAGE SEWER & PLUMBING 375.00 125.00 625.00 * VILLAGE SEWER & PLUMBING INC 125.00 125.00 250.00 * WALLY BLANTON 450.00 75.00 WARNER, NANCY T WATER WORKS INC 75.00 WIRELESS CONSTRUCTION 400.00 *** TOTAL NUMBER OF CHECKS 96 23,900.00