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HomeMy WebLinkAbout4. Bills 05/03/2011Mount Prospc Village of Mount Prospect Mount Prospect, Illinois INTEROFFICE MEMORANDUM TO: VILLAGE PRESIDENT AND BOARD OF TRUSTEES FINANCE COMMISSION FROM: FINANCE DIRECTOR DATE: APRIL 29, 2011 SUBJECT: MONTHLY FINANCIAL REPORT — MARCH 2011 Attached hereto are the cash position and investment statements of the Village for the month ended March 31, 2011. 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 (page 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 February 28 were $24.6 million. During March, cash receipts totaled $7,652,160.14. In addition investment income for the month was $3,347.74. Reductions to cash and cash equivalents during March totaled $7,331,306.95. Of this amount, payments to vendors were $5,381,124.98, employee payroll and related expenses were $1,950,181.97. There was also a net increase in cash due to year -end adjustments of $154,813.65. Cash and cash equivalents at March 31 increased to $25.1 million. Monthly Financial Report - March 2011 April 29, 2011 Page 2 There were no funds held in investments during the month of March. Funds were held in cash money market accounts that currently earn competitive rates of interest. Total cash and investments for Governmental and Enterprise Funds at February 28 were $24,644,703.29. Cash and investments at March 31 totaled $25,123,717.87. This is an increase of $479,014.58 for the month. The increase is primarily due to the receipt of the first installment of 2010 property taxes. Trust and Agency Funds - Cash and cash equivalents at February 28 were $7.2 million. During March, cash receipts totaled $888,031.61. In addition investment income for the month was $27,803.15. There was also a net decrease in cash due to investment activities of $1,327,349.25. Reductions to cash and cash equivalents during March totaled $756,439.09. Of this amount, payments to vendors were $191,083.10 employee payroll and related expenses were $494,537.23, and payments related to the flexible spending program totaled $55,116.70. There were also other adjustments totaling $15,702.06. Cash and cash equivalents at March 31 were $6.0 million. Total investments at March 31 were $84,591,262.57, an increase of $3,463,803.72 from February 28. There were investment income of $2,136,454.47 and a net transfer in totaling $1,327,349.25 that accounted for the change. Total cash and investments for Trust and Agency Funds at February 28 were $88,338,472.50. Cash and investments at March 31 totaled $90,634,322.64. This is an increase of $2,295,850.14 from the prior month. Summary of Cash Activity by Fund Type (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 February 28 totaled $5,252,630.58. During March, cash receipts totaled $3,985,558.81 and investment income was $2,795.14. Significant cash receipts included property taxes, sales taxes and vehicle stickers. The initial receipts of the first installment of 2010 Property taxes were seen during March. A total of $1,997,740.36 was received in the General Fund during the month. This represents roughly 21.3% of the total budget. Sales tax revenues for the month totaled $1,087,301. Of this amount, $970,858 was generated from the 1% state portion while $116,443 was generated from the .25% home rule portion. Sales taxes received in' March are for December sales. There is a normal three -month lag in getting this distribution from the state. Monthly Financial Report — March 2011 April 29, 2011 Page 3 Vehicle Stickers went on sale February 1 for the 2011 -2012 license period. Total receipts for March were $301,194. The total budget for this line item is $1,405,000. We are at 38.9% of the total budget. A majority of the sticker sales will occur in April with the April 30 deadline required. Disbursements from the General Fund for March included payments to vendors of $1,694,129.55, payments for employee wages and benefits of $1,567,157.59 and other adjustments of $11,023.51. Cash and cash equivalents at March 31 were $5,968,673.88. There were no investments in the General Fund at March 31. Statement of Investments (page 3) 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 - Investments for the governmental and agency funds are typically made up of Certificates of Deposit. At March 31 there were no CD's placed at any bank. This is due to the extremely low interest rates being offered. Money instead has been placed in interest bearing money market accounts 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. CD's (if any) held in the Escrow Deposit Fund will generally 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 securities. The funds are managed by three investment management firms, Capital Gains, Segall Bryant and Mesirow Financial. Segall Bryant holds approximately half of the fixed income investments for the two pension funds while Capital Gains and Mesirow manage the balance of fixed income investments for these two funds. Each manager maintains a small portion of their portfolio 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. Monthly Financial Report — March 2011 April 29, 2011 Page 4 Maturity Purchase Financial Investment Date Date Institution Description POLICE PENSION FUND (070) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments FIRE PENSION FUND (071) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments CUSIP/ Interest Market Acct # Rate % Value Various Various 21,428,522.01 Various Various 21,703,513.74 43,132,035.75 Various Various Various Various TOTAL TRUST AND AGENCY FUND INVESTMENTS " Assets are restricted in purpose and do not represent discretionary assets of the government. 21,428,475.81 20,030,751.01 41,459,226.82 $ 84,591,262.57 Investment of the Village's pension funds is governed by an Investment Policy adopted by each Pension Board. The policy was last amended in 2011. Conclusion This cash position report is intended to provide a snapshot of the Village's cash position as of a particular month end date. With this information we are now able to analyze trend information to help in cash management duties, maximizing investment earnings while ensuring availability of funds to meet the Village's commitments. David O. Erb Finance Director WACCTUreasurer's Report\201 1 \Monthly Financial Report\Monthly Cash Position Report - March 2010.doc VILLAGE OF MOUNT PROSPECT Preliminary Cash and Investment Position Report - All Funds For the Month Ended March, 2011 GOVERNMENTAL AND ENTERPRISE FUNDS Cash and Cash Equivalents Investments Balance at February 28, 2011 $ 24,644,703.29 $ - Cash receipts 7,652,160.14 Investment income 3,347.74 Transfers from investments to cash - Transfers to investments from cash - Interfund activity - Disbursements: Accounts payable (5,381,124.98) Payroll (1,950,181.97) Other 154,813.65 Balance at March 31, 2011 $ 25,123,717.87 Total Cash and Investments $ 24,644,703.29 7,652,160.14 3,347.74 (5,381,124.98) (1,950,181.97) 154.813.65 $ - $ 25,123, 717.87 TRUST AND AGENCY FUNDS * Cash and Cash Equivalents Balance at February 28, 2011 $ 7,211,013.65 Investments Total Cash and Investments $ 81,127,458.85 $ 88,338,472.50 Cash receipts 888,031.61 888,031.61 Investment income (loss) 27,803.15 2,136,454.47 2,164,257.62 Transfers from investments to cash 572,298.24 (572,298.24) - Transfers to investments from cash (1,899,647.49) 1,899,647.49 - Interfund activity - Disbursements Accounts payable (191,083.10) (191,083.10) Payroll (494,537.23) (494,537.23) Flex spending (55,116.70) (55,116.70) 2010 Adjustments (15,702.06) (15,702.06) Balance at March 31, 2011 $ 6,043,060.07 $ 84,591,262.57 $ 90,634,322.64 * Assets are restricted in purpose and do not represent discretionary assets of the government 1 2 V LO O V rn W O O W q N LO r o r W N V 0 r N O O W r tf) OHO W r W r r V N O J D) LI') W V Q r N O _ O r r N r r M W D) N (D N V' O F- LO O r N M 0 N V M r D) O) LO V N T LO V r (D (fl co 7 LO M o co F- W In Ln W `-� Lf') W r LO N co r N LO r N r T �t V W LL r g (f1 fRl tO L'7 O LO D) O u) >- V ON N N '7 et U) Z ' W 0 O LO clj r co W ~CD O r� O O Lr) V Z Nrs- OD W a �� LL W N r N_ N O Q Z W Vi Q V O O V O) r M M W N LO r u) 0 Z N (D O N CI' 0 u) co "r Lo W r r N W to r r LO V W r r 'R LO N r r Q Z W Z (D O O D1 V o Cl) W LI) D) (D O F a () O O M W N O v Ln O LO W N N O J co LO r N M W cf) LO V Cl) co N D N r N r W z Z W r LO W O V .- r r LO M W r m UI co M _2 LL CL Ln - '�' ,- v c 0 0 v; (n W V V v) F- (2 N r r (D M O W fb > co O r . Cl) N ^ r O (D V r M x r W W r r 5 m C7 w z V V o — Cl) M LO J Z V LO LO LO W O o O co w W N N 0 O Z Q t» cn u r v) CD 0 W N fD N N c)"T J Z O W 6 v� Z W W m ul O rl v Lo L W W O� m W I- U M N N r (D V to V* W Z > m v r- n m u) to F- o W a N cD W ( V O— C ( ( ( d C- co �2 — co N V O D) co m M UJ x (n U') V O O o LO co V r r W h o0 n -a U z W CD F L LL L LO m F u- M N N V r V 7 :3 U N w (n Z W O a o F e» w u Nw a w m t O U x F r r o rn Lp m w O C) W D) W o < r o c6 o (D o (D 0 Z � � v v LMD E = z a -z a)) w W w E Q U > L n LL Q L' W .- a m ai z (» (n w w W D O V v i i m cc) > Of 0 V r V r n d E CO Z V co r n ` N oo V LL N T m r > Us 6r a I O L O r N 0 0 O O p r (,� lA (p M M J W co V V 1 I-- w O V W '7 M Uz0 LI) - rn v IT r N W w N 2 WM U) L>J u- 6) (D r` u) V m CO N N EPr to U 0 W V u) O W W Z LD W LD In lD Lo W OJ C O co LO . . . M r tT M Ln W co u') m N r ti J (D Ln r Q N O cN-- W W cD O w L 000 w N LA V (D L1) (D ( to w d fA Z LO co r u) L6 LU (7 es vs a a � C m W O F- O z Z w a o 5 J � N 42 n w C N > E a o o Y N Z w a C N N (1 m aL N C W U E A O E C N N N N U F a C C = N N N m ..+ C O a a o E C C C C Z p p E y N s �, U w m w w E E E W a rnC O)u c 5 Q m Q i E d C a T m m f N „ C J U) C L N O D C1 W .� 2 F N C C m rn m m m a > 5 9 o rn w L. > 6 7 Q m UmU UHF �N000 W !V ?U�:2 O F O F- 2 VILLAGE OF MOUNT PROSPECT STATEMENT OF INVESTMENTS As of March 31, 2011 GOVERNMENTAL AND ENTERPRISE FUNDS Maturity Purchase Financial Investment CUSIP/ Date Date Institution Description Acct # _ As of March 31, 2011, there were no certificates of deposit held by the Governmental and Enterprise Funds. Weighted Avg Yield * Assets are restricted in purpose and do not represent discretionary assets of the government. Interest Market Value 3 TRUST AND AGENCY FUNDS Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted Date Date Institution Description Acct # Rate % Value Avg Yield POLICE PENSION FUND (070) Various Various Wells Fargo Wells Fargo Investments Various Various 21,428,522.01 Various Various Various Mutual Fund Investments Various Various 21,703,513.74 43,132,035.75 FIRE PENSION FUND (071) Various Various Wells Fargo Wells Fargo Investments Various Various 21,428,475.81 Various Various Various Mutual Fund Investments Various Various 20,030,751.01 41,459,226.82 TOTAL TRUST AND AGENCY FUND INVESTMENTS $84,591,262.57 * Assets are restricted in purpose and do not represent discretionary assets of the government. Interest Market Value 3 VILLAGE OF MOUNT PROSPECT List of Bills April 14 -April 27, 2011 Fund Vendor Description Amount 001- General Fund Acs Government Systems, Inc. Firehouse Training 4/14 - Chris Onjack $ 100.00 Active Alarm Company, Inc. Fire Alarm Monitoring 79.50 Aerex Pest Control Services, Inc. Annual Pest Control 30.00 Aerex Pest Control Services, Inc. Annual Pest Control 35.00 Aerex Pest Control Services, Inc. Annual Pest Control 40.00 Aerex Pest Control Services, Inc. Annual Pest Control 30.00 Aerex Pest Control Services, Inc. Annual Pest Control 30.00 Aerex Pest Control Services, Inc. Annual Pest Control 30.00 Air One Equipment, Inc. 1044FSW Faceshield White 183.00 Air One Equipment, Inc. Hem Patch 70.00 Airgas North Central Oxygen and Cylinder Rental 176.20 Airgas North Central Oxygen & Cylinder Rental 65.64 Airgas North Central Oxygen & Cylinder Rental 319.58 Airgas North Central Oxygen & Cylinder Rental 84.95 Alexian Brothers Medical Center Pre - employment testing Yousif 69.00 Alexian Brothers Medical Center Pre - employment Testing Seth Westberg 158.00 American Future Systems, Inc. Subscription Renewal 255.60 American Landscaping Inc. Grounds Maintenance Service 6,212.50 American Landscaping Inc. Shrub /Flower Replacement 830.00 American Public Works Assoc. Open House Supplies 715.00 ARC Disposal Company Refuse Disposal Program 2,515.87 Armor Systems Corporation Commission for March, 2011 26.67 Association of Police Social Workers Membership dues for Kimberly Sheagren 40.00 Association of Police Social Workers Membership dues for Nina Persino 40.00 AT&T Service 4/7/11 - 5/6/11 633.65 AT&T Service 4/10/11 - 5/9/11 2,337.06 AT & T AT & T Long Distance 3/1/11- 3/31/11 887.00 Basic Fire Protection Inc. Extinguisher Repair 79.55 Bedco Mechanical 2011 HVAC Maintenance 357.95 Bedco Mechanical Building Maintenance HVAC Repairs 4,657.60 Beth Ellen Clem Ballet Recital Camera Work 300.00 Burrell, Steve Reimburse expenses 99.95 Busse's Flowers & Gifts Floral Arrangement/ Ricker, Ruth 63.50 Busse's Flowers & Gifts Memorial flowers 88.50 Cathleen A. McVeigh- Cushing Edit of April Library Life 350.00 CDW Government, Inc. Smartnet renewals 1,670.00 CDW Government, Inc. DVI -D to DVI -I adapters 44.04 Century Cleaners Uniform Cleaning 8.90 Century Cleaners Uniform Cleaning 13.35 Century Cleaners Uniform Cleaning 24.48 Century Cleaners Uniform Cleaning 15.57 Century Cleaners Uniform Cleaning 1335 Century Cleaners Uniform Cleaning 22.25 Century Cleaners Uniform Cleaning 24.48 Century Cleaners Uniform Cleaning 8.90 Chicago Comm. Service, Inc. Maintenance agreement May, June, July, 2011 1,923.30 Chicago Metro Chapter Apwa Training 70.00 Chicago Metro Chapter Apwa Training 170.00 Chicago Tribune Chicago Tribune Subscription 4/22/11- 7/21/11 74.75 CL Graphics, Inc. Spring Newsletter 2011 printing 9,813.00 CL Graphics, Inc. Spring Newsletter 2011 mailing 350.00 Commonwealth Edison Electrical Service Delivery 22.46 Commonwealth Edison Electrical Service Delivery 21.97 Commonwealth Edison Electrical Service Delivery 21.97 Cook County Recorder of Deeds Replenish CCRD On Line Account 1,000.00 Costar Realty Information, Inc. ED Site Software 454.58 DJ.'s Scuba Locker Repaired Yellow Mustange Suit & Boots 50.00 David G. Eterno Adjudication legal fees 375.00 Davidsmeyer Bus Service, Inc. Transportation to Marriott - Mentor program 287.00 Deborah Dennison Leafblad Ballet Recital Camera Work 300.00 DupageTopsoil Inc. Semi Pulverized Topsoil Delivered 765.00 Dupage Topsoil Inc. Semi Pulverized Topsoil Delivered 255.00 Edith Gomez Refund Vehicle License #16444 36.00 Elizabeth A. Pope 4/14/11 Payroll Checks 923.08 Experian Background checks - March, 2011 77.48 Fifth Third Bank March /April Statement 447.00 Page 1 of 7 VILLAGE OF MOUNT PROSPECT List of Bills April 14 - April 27, 2011 Fund Vendor Description Amount Fire Pension Fund 4/14/11 Payroll Checks 21,217.28 Foster Coach Sales Inc. 10" Trumpet 99.14 Frank Tolgyesi Reimburse expenses 40.00 Gall's, Inc. Flex cuffs 123.99 Garelli Wong & Associates, Inc. Jasman Mahone 3/28/11- 4/1/11 826.50 Garvey's Office Products Office Supplies 47.76 Gierman and Associates, Inc. Bond fee for Notary Renewal - Carol Baldini 30.00 Gil Hebard Guns, Inc. Ammunition 12,600.00 Grainger Inc. Coat Rack, Single Holds 36 Garments 296.82 Grainger Inc. Light Pole Banners 183.50 Heart Printing Inc. Sympathy cards & envelopes 297.50 Henricksen & Company, Inc. Maintenance and repair supplies 105.00 Henricksen & Company, Inc. Building Maintenance 75.00 Homer Tree Care, Inc. Parkway Tree Removal 1,288.00 Howard Elder Flag Repair /Purchase 74.22 Howard Elder Flag Repair /Purchase 472.97 ID Network, Inc. Annual service maintenance for Palm Livescan System 10,047.00 Illinois American Water Company Service 3/9/11- 4/11/11 271.12 Illinois Department of Revenue 4/14/11 Manual Check Andler 38.85 Illinois Fire Inspectors Association Residential Fire Sprinkler Summit- W. Schroeder, 6/3/11 20.00 Illinois Municipal League Subscription 15.00 Illinois State Police Fingerprinting fees for Liquor Licenses 34.25 Illinois State Police Background Check Parmar and Sprow 68.50 Illinois State Toll Hwy Authority Indiana toll charges 7.06 Initial Tropical Plants Inc. Annual Service /Maintenance 1,135.80 Inlander Brothers Inc Custodial Supplies 339.66 Inlander Brothers Inc Custodial Supplies 1,051.05 Inlander Brothers Inc Custodial Supplies 196.06 Inlander Brothers Inc Custodial Supplies 325.94 Inlander Brothers Inc Custodial Supplies 42.61 Internal Revenue Service 4/14/11 Manual Check Andler 297.59 International Code Council, Inc. Governmental Membership Dues for William Schroeder 225.00 International Union of Operating Engineers 4/14/11 Payroll Checks 471.75 International Union of Operating Engineers 4/14/11 Payroll Checks 1,051.15 Irvana Wilks Mayors cellular bill 45.00 J.G. Uniforms, Inc. Uniform supplies: R. LaBarbera 100.67 Jeffrey Schmitz Reimburse expenses 38.25 John Dahlberg Reimburse expenses 242.59 John Rivard Clothing Allowance 150.00 Journal & Topics Newspapers Newspaper Renewal 28.00 Journal & Topics Newspapers Subscription 3/1/2011- 3/1/2012 28.00 Journal & Topics Newspapers Subscription renewal 28.00 Journal & Topics Newspapers Legal Notices for Planning & Zoning 126.96 Journal & Topics Newspapers Legal Notices for Planning & Zoning 126.96 Journal & Topics Newspapers Legal Notices for Planning & Zoning 138.00 Journal & Topics Newspapers Legal Notices for Planning & Zoning 138.00 1QH- Normal Development, LLC. Lodging for Training conference 352.80 JQH- Normal Development, LLC. Lodging for Training conference 352.80 Judith Balazs CDL Reimbursement 30.00 June Kerstein Reimb March 2011 Food Exp & April 2011 Phone Bill 64.84 Kathleen W. Bono,csr,ltd. court reporter liquor hearing 179.00 Kenneth Miller Refund Overpayment vehicle License 24.00 Kim J Kidd Refund Duplicate Vehicle License 36.00 Kone, Inc. Elevator Maintenance 289.00 Kramer Tree Specialists Grounds Maintenance 520.00 Kramer Tree Specialists Grounds Maintenance 520.00 Kramer Tree Specialists Grounds Maintenance 520.00 L & B Business Services Inc. 3 LITHXL -055F Lithium STD Battery 22.50 Lab Safety Supply Rainsuit Pants for Employee "Go Kit" 69.05 Lab Safety Supply Rainsuit Coat for Employee "Go Kit" 33.19 Lands' End Business Outfitters Fleece Pullover for Employee "Go Kit" 43.95 Landscape Forms, Inc. Street furniture and materials 1,884.60 Larry Heinrich Clothing Allowance 150.00 Lechner and Sons Uniform Rental & Cleaning 113.74 Lechner and Sons Uniform Rental & Cleaning 113.74 Lexisnexis Risk Data Management Inc. Background checks - March, 2011 104.75 login /iacp Net Quarterly payment for IACP Net 275.00 Page 2 of 7 VILLAGE OF MOUNT PROSPECT List of Bills April 14 -April 27, 2011 Fund Vendor Description Amount Logsdon Stationers Office Supplies 127.84 Margaret Evans Reimburse Exp: Traffic Crash Investigation 1 & 2 309.00 Mark Weger Reimburse training expenses 35.00 Mary Kay Tixier Refund Vehicle License 36.00 Matt Lawrie Clothing Allowance 137.65 McDonald's Corporation Prisoner meals - March, 2011 296.80 Menards Lobby Broom & Dust Pan 17.99 Menards Plated Round Rods 6FT 13.92 Menards Small Tools 27.52 Metro Federal Credit Union 4/14/11 Payroll Checks 2,357.40 Metropolitan Alliance - Police 4/14/11 Payroll Checks 1,190.50 Metropolitan Fire Chiefs Assoc Registration/ Wisniewski Annual Symposium 40.00 Metropolitan Mayors Caucus 2011 Metropolitan Mayors Caucus Gala 200.00 Meyer Laboratory, Inc. Custodial Supplies (17.74) Meyer Laboratory, Inc. Custodial Supplies 84.27 Michael Meister Reimburse expenses 79.00 Michael Wagner & Sons, Inc. Maintenance and repair supplies 28.68 Mount Prospect Historical Soc. 2011 Budget Allocation - May 2011 3,333.33 Neenah Foundry Company Tree Grates (235.00) Neenah Foundry Company Tree Grates 6,264.28 Neopost USA Inc. Postage Machine Replenishment - 04/15/11 3,000.00 Nextel Communications [4] air cards 159.96 Nextel Communications Wireless cards /service 239.94 Nick Licari Clothing Allowance 150.00 Nite Lite Signs & Balloons Inc. Equipment Rental 425.00 Northeastern III. Pub. Safety Trng. Registration/ Redlin Tactics/ Strategy I April & May 400.00 Northeastern III. Pub. Safety Trng. Training registration 450.00 Northern Illinois Emergency Management Consortium Membership/ Malcolm 2011 30.00 Northern Illinois Police Alarm System Language Line 43.00 Northshore University Healthsystem Pre - employment testing 816.00 Northshore University Healthsystem Pre - employment testing 17.00 Northwest Electrical Supply Maintenance and repair supplies 37.97 Northwest Electrical Supply Maintenance and repair supplies 140.14 Northwest Police Academy Seminar registration 100.00 Northwest Suburban United Way 4/14/11 Payroll Checks 248.28 Old Town School of Folk Music Deposit for Downtown Block Party Entertainment 750.00 Overhead Garage Door, Inc. Building Maintenance 258.70 Pacific Telemanagement Services Service 5/1/11 - 5/31/11 78.00 Paddock Publications, Inc. Bid Notice 27.00 Paddock Publications, Inc. Bid Notice 29.70 Paddock Publications, Inc. Bid Notice 31.05 Paddock Publications, Inc. Bid Notice 37.80 Petty Cash Petty Cash 2011 82.10 Police Pension Fund 4/14/11 Payroll Checks 26,671.50 Powell Tree Care, Inc. Stump Removal 9,126.40 Powell Tree Care, Inc. Stump Removal 5,912.24 Powell Tree Care, Inc. Stump Removal 3,016.77 Proforma Customized Graphics Misc. Supplies 128.22 Reed Tyler Refund Overpayment Police Ticket #P3907793 10.00 Richard Geerling Refund Overpayment Vehicle License 24.00 Richard Reichart Consultation/ Lambel 500.00 Robert Etchingham Reimburse expenses fortraining 24.00 Robert M. Foss Pencils 264.66 Sandra M. Clark Reimbursement 15.43 Sandra M. Clark Reimbursement 150.00 Schweizer Emblem Company Insignia patches 225.00 Sound Incorporated Monthly Fee for Telephone Support 828.83 Sound Incorporated Maintenance Contract for Phone /Server Connections 72.00 Stanley Security Solutions, Inc. Office Supplies 44.67 Staples Contract & Commercial, Inc. Training supplies 29.99 Staples Contract & Commercial, Inc. Office Supplies 17.49 Steve Olson Re -issue Stale Dated Check #1856 35.00 Stevens & Associates, Inc. Course registration for G. Sill 499.00 Sumitomo Electric Carbide Refund Vehicle License 36.00 Symbolarts, LLC. Uniform badges 1,940.00 Symbolarts, LLC. Badges 280.00 T.P.I. Building Inspections 13,032.00 Page 3 of 7 Fund Tammie Shteyn Third Millennium Assoc.inc. Thomas A. Clinger Thompson Elevator Inspections Thompson Elevator Inspections Thompson Elevator Inspections Timothy Ryan Tweedie, Bart United Healthcare United Healthcare USA Bluebook USA Bluebook USA Mobility Wireless, Inc. Village of Mount Prospect Village of Mount Prospect Village of Mount Prospect Village of Mount Prospect Village of Mount Prospect Virginia Huber Vision Internet Providers, Inc. Von Briesen & Roper,s.c. Warehouse Direct Warehouse Direct Warehouse Direct Warehouse Direct Warehouse Direct West Publishing Corporation Wide Open West William J. Cooney William W. Stenzel W ISCTF Worldpoint Ecc, Inc. Total: 001- General Fund 002 - Debt Service Fund Illinois EPA Total: 002 - Debt Service Fund Vendor 020 - Capital Improvement Fund Active Transportation Alliance, NFP Laurus Technologies, Inc. New World Systems Corporation New World Systems Corporation Total: 020 - Capital Improvement Fund 021- Series 2009 Construction Fund Advanced Communications, Inc. Dell Marketing L.P. Total: 021 - Series 2009 Construction Fund 022 - Downtown Redevelopment Construction Fund Cook County Government Total: 022 - Downtown Redevelopment Construction Fund 023 - Street Improvement Construction Fund Christopher B. Burke Engineering Ltd Desman, Inc. Total: 023 - Street Improvement Construciton Fund 040 - Refuse Disposal Fund ARC Disposal Company AT &T AT &T Schaefer Systems International, Inc. Standard Equipment Company Total: 040 - Refuse Disposal Fund VILLAGE OF MOUNT PROSPECT List of Bills April 14 - April 27, 2011 Mentor Program Supplies 2nd vehicle sticker mailing Videotaped Retirement Party for Retirees Elevator Inspections Elevator Inspections Elevator Inspections Reimburse expenses Reimburse training expenses Administration Fees - February Administration Fees - March Engineering supplies Engineering supplies Pager rental /service 4/14/11 Payroll Checks 4/14/11 Payroll Checks April Pension Payroll EFT's April Penson Payroll Checks Service 2/25/11 - 4/1/11 Refund Vehicle License programming & graphic production Professional Services 2/16/11 & 2/28/11 CLI Badge P/S Laser #92365 Office Supplies Tape, Envelopes, Scissors, Clock Other Credit for Return 5392 Ave Refill Name Tags Office Supplies Office supplies Subscription renewal Internet service from WOW Reimbursement TSR data analysis 4/14/11 Payroll Checks AED Course Completio Card, CPR Mask Trainer L17- 0856/2011 Bike Plan - February Expenses PF1 Server Replacement ERP - Installation Services and Travel Time ERP - Travel Expenses (CD Trip 2/28 -3/4) A/V Systems for the EOC Computer for the EOC The Return of Surplus Incremental Revenues Engineering Services Parking Lot Improvements Refuse Disposal Program Service 4/10/11 - 5/9/11 AT & T Long Distance 3/1/11- 3/31/11 Recycling Carts Sweeper Broom Replacement Page 4 of 7 Amount 90.92 2,089.59 500.00 150.00 225.00 111.00 109.32 24.00 696.75 700.75 (7.95) 197.43 25.56 24,526.70 13,189.86 490.22 413.67 5.00 36.00 83.65 195.00 41.54 193.05 (26.80) 192.19 8.59 357.48 72.99 1,040.42 5,000.00 542.48 282.65 $ 237,897.98 $ 19,644.42 $ 19,644.42 $ 1,353.44 35,252.86 8,970.00 910.09 $ 46,486.39 $ 41,178.55 2,123.61 $ 43,302.16 $ 1,098,255.00 $ 1,098,255.00 $ 3,334.95 3,100.00 $ 6,434.95 $ 197,251.26 12.70 4.93 6,981.00 1,305.00 $ 205,554.89 VILLAGE OF MOUNT PROSPECT List of Bills April 14 - April 27, 2011 Fund Vendor Description Amount 041- Motor Fuel Tax Fund Cook County Government Traffic Signal Maintenance $ 2,740.50 Gewalt Hamilton Assoc. Engineering Services 4,500.00 Gewalt Hamilton Assoc. Pedestrian Signal Improvement Project 8,291.00 Commonwealth Edison Electrical Service Delivery 13,976.40 Meade Electric Co. Inc. 2011 Traffic Signal Maintenance 1,976.00 V3 Companies Engineering Services 4,500.00 Total: 041- Motor Fuel Tax Fund $ 35,983.90 050 - Water and Sewer Fund 1stAyd Corp. Maintenance & Repair Supplies $ 920.29 Abbott Rubber Co., Inc. Small Tools 30.00 Addison Building Material Co. Maintenance & Repair Supplies 116.44 Addison Building Material Co. Maintenance & Repair Supplies 7.47 Addison Building Material Co. Wire Band 9/16 x 1- 1/16'; 3/4 Barb Poly Insert 3.36 Addison Building Material Co. Maintenance & Repair Supplies 92.32 Addison Building Material Co. Maintenance & Repair Supplies 87.52 Alexian Brothers Medical Center DOT Drug/Acohol Screen 490.00 Alpha Terra Science Inc Training 1,750.00 American Water Works Assoc. Training Supplies 52.50 American Water Works Assoc. Membership Renewal 75.00 American Waterworks Assoc. Training 100.00 AT&T Service 4/10/10 - 5/9/11 413.82 AT & T Service 4/10/11 - 5/9/11 526.90 AT & T Service 4/10/11 - 5/9/11 847.98 AT & T AT & T Long Distance 3/1/11- 3/31/11 328.78 Badger Meter Inc Connect Software Agreement 989.04 Bank of New York Mellon JAWA - March 2011 323,777.00 Barnes Group Hydrant Repair Supplies and Materials 260.93 Burns & Mcdonnell Engineering Co. Professional Services 1,708.80 Burns & Mcdonnell Engineering Co. Professional Services 2,275.00 Century Cleaners Uniform Cleaning 8.90 Century Cleaners Uniform Cleaning 13.35 Century Cleaners Uniform Cleaning 24.47 Century Cleaners Uniform Cleaning 15.58 Century Cleaners Uniform Cleaning 13.35 Century Cleaners Uniform Cleaning 22.25 Century Cleaners Uniform Cleaning 24.47 Century Cleaners Uniform Cleaning 8.90 Corrpro Companies, Inc. Tank Design Engineering 4,200.00 DJK Contractors, Inc. Equipment Maintenance and Repair 327.50 Exelon Corporation Electrical Service Delivery 443.08 Exelon Corporation Electrical Service Delivery 4,769.10 Federal Express Corp Shipping Charges 75.74 Federal Express Corp Shipping Charges 27.46 HBK Water Meter Service Water Meter Install /Bldg Inspection /Meter Testing 119.00 HBK Water Meter Service Water Meter Install /Bldg Inspection /Meter Testing 1,500.20 HBK Water Meter Service Water Meter Install /Bldg Inspection /Meter Testing 1,945.20 Julie, Inc. Annual Service Charge forJulie Locate Tickets 6,085.98 Lechner and Sons Uniform Rental & Cleaning 113.75 Lechner and Sons Uniform Rental & Cleaning 113.75 Leonard J Tomaszewski Refund Final Water Bill #50301 10.95 Martam Construction Excavation and removal of fire hydrant 2,200.00 Martam Construction Contractual Hauling 2,810.40 Meyer Laboratory, Inc. Custodial Supplies (2.47) Meyer Laboratory, Inc. Custodial Supplies 11.73 National Power Rodding Corp. Sewer Maintenance 3,500.00 Paddock Publications, Inc. Bid Notice 78.30 Paddock Publications, Inc. Bid Notice 60.75 Paddock Publications, Inc. Bid Notice 98.55 Paddock Publications, Inc. Bid Notice 86.40 Proforma Customized Graphics Misc. Supplies 128.21 Redwood Apartment Partners Refund Final Water Bill #920007 10.95 Shelby Mazursky Open House Posters 195.00 Staples Contract & Commercial, Inc. Office Supplies 118.10 Suburban Laboratories, Inc. Annual [EPA- Required Water Sample Testing 124.50 Suburban Laboratories, Inc. Annual IEPA- Required Water Sample Testing 192.75 Page 5 of 7 VILLAGE OF MOUNT PROSPECT List of Bills April 14 -April 27, 2011 Fund Vendor Description Amount Tank Industry Consultants, Inc. Professional Services 2,726.10 Tank Industry Consultants, Inc. Professional Services 1,677.60 Third Millennium Assoc.inc. March 2011 Utility Billing 1,228.19 Tnemec Co. Inc Hydrant Supplies 159.31 Wachovia Mortgage Refund Overpayment Water #559401 40.16 Total: 050 - Water and Sewer Fund $ 370,160.66 052 - Parking System Revenue Fund Commonwealth Edison Electrical Service Delivery $ 135.01 Commonwealth Edison Electrical Service Delivery 381.46 Village of Mount Prospect Service 2/28/11- 4/1/11 25.07 Total: 052 - Parking System Revenue Fund $ 541.54 Fund: 060 - Vehicle Maintenance Fund American Public Works Assoc. Training $ 175.00 Arlington Heights Ford Rear brake pads 99.94 Arlington Heights Ford Rear brake pads 49.97 Arlington Heights Ford Oil cooler lines 227.47 Arlington Heights Ford 321 master window switch. 50.16 AT&T Service 4/10/11 - 5/9/11 31.79 AT&T AT & T Long Distance 3/1/11- 3/31/11 12.31 Barnes Group Bolts 50.11 Busse Car Wash, Inc. Car washes 1,072.50 Catching Fluidpower Vehicle Maintenance Supplies 106.13 Certified Fleet Services, Inc. Vehicle Maintenance Supplies 2,249.26 Certified Fleet Services, Inc. Vehicle Maintenance Supplies 49.52 Hoskins Chevrolet, Inc. Vehicle Maintenance Supplies 549.50 Hoskins Chevrolet, Inc. P -5 door hinge kit 97.50 Interstate Battery Vehicle Maintenance Supplies 539.70 Just Tires Vehicle Maintenance Supplies 203.00 Just Tires Vehicle Maintenance Supplies 1,218.00 Just Tires Vehicle Maintenance Supplies 566.00 Mccann Industries, Inc. Vehicle Maintenance Supplies 80.22 Municipal Fleet Managers Assoc Registration Fee 75.00 Municipal Fleet Managers Assoc Training 40.00 Napa - Heights Automotive Supply Cabin filter for 2732 21.57 Napa - Heights Automotive Supply 530 rear work light bulbs 109.20 Napa - Heights Automotive Supply Oil filters 34.24 Napa - Heights Automotive Supply Fuel filters 41.04 Napa - Heights Automotive Supply Oil filters & gaskets 155.88 Napa - Heights Automotive Supply 2732 fuel line connector 6.57 Napa - Heights Automotive Supply Brake cleaner and lube 256.71 Napa - Heights Automotive Supply 6 qts oil 19.74 Napa- Heights Automotive Supply A/C dye -R134 22.95 Overhead Material Handling II., Inc. Equipment Maintenance 345.80 Pomp's Tire Service, Inc. 6 new International tires 2,643.06 Pomp's Tire Service, Inc. Equipment Maintenance 30.00 Prairie International Truck Sales 2723 antenna 15.53 Precision Service & Parts OEM Impala wiper blades 58.52 Precision Service & Parts Vehicle Maintenance Supplies 106.24 Precision Service & Parts 2713 OEM oxygen sensor 38.00 Precision Service & Parts Vehicle Maintenance Supplies 229.92 Precision Service & Parts Vehicle Maintenance Supplies 43.40 Precision Service & Parts Vehicle Maintenance Supplies 243.63 Precision Service & Parts Vehicle Maintenance Supplies 557.10 Precision Service & Parts Vehicle Maintenance Supplies 153.73 Rayco Sign Supply Equipment Maintenance Supplies 89.50 Ronco Industrial Supply Portable fuel tank pump 205.97 Solvent Systems Int'I. Inc. Equipment 185.64 Terrace Supply Company Helium gas purchase 94.30 Wholesale Direct Inc. Tools 37.48 Wholesale Direct Inc. Vehicle Maintenance Supplies 94.85 Zeigler Chevrolet - Schaumburg LLC Vehicle Maintenance Supplies 48.75 Total: 060 - Vehicle Maintenance Fund $ 13,432.40 061- Vehicle Replacement Fund EJ Equipment New Vehicles $ 10,682.80 Page 6 of 7 VILLAGE OF MOUNT PROSPECT List of Bills April 14 -April 27, 2011 Fund Vendor Lindco Equipment Sales, Inc. Total: 061- Vehicle Replacement Fund 062 - Computer Replacement Fund Dell Marketing L.P. Laurus Technologies, Inc. Total: 062 - Computer Replacement Fund 063 - Risk Management Fund Gab Robins N.a., Inc. - Citibank Graybar Electric Co. Graybar Electric Co. Intergovernmental Per.ben.coop Parkside Auto Body Inc State Farm Mutual Automobile Insurance Company Total: 063 - Risk Management Fund 070 - Police Pension Fund Village of Mount Prospect Village of Mount Prospect Total: 070 - Police Pension Fund 071- Fire Pension Fund Capital Gains Inc. Village of Mount Prospect Village of Mount Prospect Total: 071- Fire Pension Fund 072 - Flexcomp Escrow Fund Guardian Total: 072 - Flexcomp Escrow Fund 073 - Escrow Deposit Fund Brian Dirsmith Duane Blanton Plumbing Sewer & Drainage Inc Flush Sewer & Drainage Inc Flush Sewer & Drainage Inc Frank W Whitecotton Hansen's Landscaping Ibbotson Heating Co J & 5 Plumbing Inc JNL Climate Control Inc Kirk Sneeden Luis & Olga Garay Matthew Savard Mount Prospect Public Library MT Prospect Heating & A/C Co Inc Plumb -Rite PLMG Sewer & Drain Inc Plumg -Rite PLMG Sewer & Drain Inc Ruth L Cram Steve Haynes Third District Circuit Court Third District Circuit Court Third District Circuit Court Third District Circuit Court TJM Sewer Wayne Gordon Total: 073 - Escrow Deposit Fund Grand Total: Description $ Amount New Vehicles $ 485.19 Refund Escrow Permit # 11 -0235 $ 11,167.99 Replacement Websense Server $ 4,017.88 PF1 Server Replacement 5,936.01 Refund Escrow Permit # 11 -0313 $ 9,953.89 Liability Claims - April $ 16,222.05 Streetlight Knockdown - Report 11 -02167 194.44 Credit (4.44) IPBC - April 2011 462,578.97 Repair #T -40 695.60 Auto Liability Claim #13 -E19 -402 2,425.39 $ 482,112.01 April Pension Payroll ETF's $ 34,423.84 April Police Pension Payroll 17,033.88 $ 51,457.72 Investment Management Services $ 2,159.00 April Pension Payroll ETF's 34,728.65 April Fire Pension Payroll 11,083.59 $ 47,971.24 Emp Dental Plan May 2011 $ 7,947.91 $ 7,947.91 Refund Escrow Permit # 11 -0235 $ 125.00 Refund Escrow Permit # 10 -2821 125.00 Refund Escrow Permit # 11 -0331 125.00 Refund Escrow Permit # 11 -0313 75.00 Refund Escrow Permit # 11 -0024 150.00 Refund Escrow Permit # 09 -2110 150.00 Refund Escrow Permit# 11 -0359 125.00 Refund escrow Permit # 10 -2919 125.00 Refund Escrow Permit# 10 -2888 75.00 Refund Escrow Permit# 10 -1607 325.00 Refund Escrow Permit# 11 -0343 125.00 Refund Escrow Permit# 11 -0194 125.00 PPRT 3Rd Allocation of 2011 9,960.98 Refund Escrow Permit# 11 -0298 25.00 Refund Escrow Permit# 11 -0318 125.00 Refund Escrow Permit# 10 -2820 125.00 Refund Escrow Permit # 11 -0329 75.00 Refund Escrow Permit # 10 -2652 200.00 Bond Check 4/14/11 1,400.00 Bond Check 4/19/11 1,470.00 Bond Check 4/21/11 1,110.00 Bond Check 4/26/11 5,520.00 Refund Escrow Permit # 11 -0324 125.00 Refund Escrow Permit # 10 -0916 800.00 $ 22,585.98 Page 7 of 7 $ 2,710,891.03