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HomeMy WebLinkAbout3. Monthly Financial Report & Bills 04/16/2013Village of Mount Prospect Mount Prospect, Illinois INTEROFFICE MEMORANDUM TO: VILLAGE PRESIDENT AND BOARD OF TRUSTEES FINANCE COMMISSION FROM: FINANCE DIRECTOR DATE: APRIL 12, 2013 SUBJECT: MONTHLY FINANCIAL REPORT — MARCH 2013 Attached hereto are the cash position and investment statements of the Village for the month ended March 31, 2013. 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 $31.9 million. During March, cash receipts totaled $10,489,955. In addition investment income for the month was $2,930. Reductions to cash and cash equivalents during March totaled $4,518,472. Of this amount, payments to vendors were $3,147,410 and employee payroll related expenses were $1,371,062. There was a net increase to cash from other disbursements totaling $6,857 due to voided checks. There was also a net increase in cash due to interfund activity of $15,337. Cash and cash equivalents at March 31 increased to $37.9 million. Monthly Financial Report — March 2013 April 12, 2013 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 $31,873,688. Cash and investments at March 31 totaled $37,870,295. This is an increase of $5,996,607 for the month. The increase is primarily due to the receipt of the first installment of 2012 property taxes. Trust and Agency Funds - Cash and cash equivalents at February 28 were $5.3 million. During March, cash receipts totaled $2,041,607. In addition investment income for the month was $67,104. There was a net decrease in cash due to investment activities of $262,494, and a net decrease in cash due to interfund activity of $15,337. Reductions to cash and cash equivalents during March totaled $873,394. Of this amount, payments to vendors were $315,997, employee payroll and related expenses were $527,014, and payments related to the flexible spending program totaled $30,383. There were also other adjustments totaling $474. Cash and cash equivalents at March 31 were $6.3 million. Total investments at March 31 were $96,504,319, an increase of $3,370,569 from February 28. There were investment income of $3,108,075 and a net transfer -in totaling $262,494 that accounted for the change. Total cash and investments for Trust and Agency Funds at February 28 were $98,460,819. Cash and investments at March 31 totaled $102,788,402. This is an increase of $4,327,583 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 $6,568,850. During March, cash receipts totaled $5,631,341 and investment income was $1,525. Significant cash receipts include property taxes, sales and income taxes and vehicle stickers. Receipts of Property taxes related to the 2012 levy continued coming in during March. A total of $4,649,507 was received in the General Fund during the month. Approximately 49% of the total budget for property taxes has been received during February and March. H:WCCTUreasurer's Report\20131Monthly Cash Position Report - March 2013.docx Monthly Financial Report — March 2013 April 12, 2013 Page 3 Sales tax revenues for the month totaled $1,084,067. Of this amount, $965,425 was generated from the 1% state portion while $118,642 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. Vehicle Stickers went on sale February 1 for the 2013 -2014 license period. Total receipts for March were $264,611. The total budget for this line item is $1,385,000. As of the end of we are at $544,115 or 39.3% 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 $1,252,429, payments for employee wages and benefits of $1,201,797 and other disbursements of $39,555. There was also a net decrease in cash due to interfund transactions totaling $677,357. Cash and cash equivalents at March 31 were $9,030,578. 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 February 28 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, Galliard, Segall Bryant and Mesirow Financial. Segall Bryant holds approximately half of the fixed income investments for the two pension funds while Galliard 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. Equity investments are managed by Sawyer Falduto Asset Management. Below is a breakdown of how the pension fund portfolios are invested. H:\ACCT\Treasurer's Report\2013 \Monthly Cash Position Report - March 2013.docx Monthly Financial Report — March 2013 April 12, 2013 Page 4 Maturity Purchase Financial Investment CUSIP/ Interest Date Date Institution Description Acct # Rate % POLICE PENSION FUND (070) Various Various Wells Fargo Various Various Various FIRE PENSION FUND (071) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments Wells Fargo Investments Mutual Fund Investments TOTAL TRUST AND AGENCY FUND INVESTMENTS Various Various Various Various Various Various Various Various Market Value 23,566,685.44 25,450,986.44 49,017,671.88 21,300,526.21 26,186,120.82 47,486,647.03 $ 96,504,318.91 Investment of the Village's pension funds is governed by an Investment Policy adopted by each Pension Board. 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. David O. Erb Finance Director H:\ACCT\Treasurer's Report\2013 \Monthly Cash Position Report - March 2013.docx VILLAGE OF MOUNT PROSPECT Preliminary Cash and Investment Position Report - All Funds For the Month Ended March 31, 2013 GOVERNMENTAL AND ENTERPRISE FUNDS Balance at February 28, 2013 Cash receipts Investment income Transfers from investments to cash Transfers to investments from cash Interfund activity Disbursements: Accounts payable Payroll Other Balance at March 31, 2013 Cash and Cash Total Cash and Equivalents Investments Investments $ 31,873,687.57 $ - $ 31,873,687.57 10,489,955.28 10,489,955.28 2,930.35 2,930.35 15,336.99 15,336.99 (3,147,409.91) (3,147,409.91) (1,371,062.68) (1,371,062.68) 6,857.22 6,857.22 $ 37,870,294.82 $ - $ 37,870,294.82 TRUST AND AGENCY FUNDS * Disbursements: Accounts payable Payroll Flex spending Other (315,997.01) (527,014.01) (30,382.75) (473.96) Balance at March 31, 2013 Total Cash and Investments $ 98,460,819.42 2,041,607.18 3,175,180.13 (15,336.99) (315,997.01) (527,014.01) (30,382.75) (473.96) $ 6,284,083.10 $ 96,504,318.91 $ 102,788,402.01 * Assets are restricted in purpose and do not represent discretionary assets of the government. 1 Cash and Cash Equivalents Investments Balance at February 28, 2013 $ 5,327,069.61 $ 93,133,749.81 Cash receipts 2,041,607.18 Investment income (loss) 67,104.81 3,108,075.32 Transfers from investments to cash 2,696,830.05 (2,696,830.05) Transfers to investments from cash (2,959,323.83) 2,959,323.83 Interfund activity (15,336.99) Disbursements: Accounts payable Payroll Flex spending Other (315,997.01) (527,014.01) (30,382.75) (473.96) Balance at March 31, 2013 Total Cash and Investments $ 98,460,819.42 2,041,607.18 3,175,180.13 (15,336.99) (315,997.01) (527,014.01) (30,382.75) (473.96) $ 6,284,083.10 $ 96,504,318.91 $ 102,788,402.01 * Assets are restricted in purpose and do not represent discretionary assets of the government. 1 N VILLAGE OF MOUNT PROSPECT Summary of Cash Activity by Fund Type For the Month Ended March 31, 2013 GOVERNMENTAL AND ENTERPRISE FUNDS TRUST AND AGENCY FUNDS * * Assets are restricted in purpose and do not represent discretionary assets of the government SPECIAL CAPITAL TOTAL GOVT. FIRE AND OTHER TRUST REVENUE DEBT SERVICE PROJECTS ENTERPRISE INTERNAL AND ENTERPRISE POLICE AND AGENCY GENERAL FUND FUNDS FUNDS FUNDS FUNDS SERVICE FUNDS FUNDS PENSIONS FUNDS TOTAL CASH & CASH EQUIVALENTS Beginning balance $ 6,568,850.14 $ 3,326,501.71 $ 265,739.98 $ 7,825,649.35 $ 4,436,777.90 $ 9,450,168.49 $ 31,873,687.57 $ 3,684,889.24 $ 1,642,180.37 $ 37,200,757.18 Cash receipts 5,631,341.45 1,023,148.29 713,148.50 1,196,624.23 1,757,444.23 168,248.58 10,489,955.28 1,928,023.99 113,583.19 12,531,562.46 Investment income 1,525.36 73.08 5.34 495.57 82.43 748.57 2,930.35 66,952.16 152.63 70,035.16 Transfers from investments - - - - - - - 2,696,830.05 - 2,696,830.05 Transfers to investments - - - - - - - (2,959,323.83) - (2,959,323.83) Interfund (677,357.07) 29,495.34 - 46,043.00 (167,452.53) 784,608.25 15,336.99 6,632.59 (21,969.58) (0.00) Disbursements - other (39,555.45) - - - 137.67 46,275.00 6,857.22 - (473.96) 6,383.26 Disbursements - flexible spending - - - - - - (30,382.75) (30,382.75) Disbursements - payroll (1,201,797.40) (14,393.45) - (103,065.11) (51,806.72) (1,371,062.68) (527,014.01) - (1,898,076.69) Disbursements - accounts payable (1,252,429.03) (501,244.89) - (102,322.76) (540,652.73) (750,760.50) (3,147,409.91) (96,420.51) (219,576.50) (3,463,406.92) Ending balance 9,030,578.00 3,863,580.08 978,893.82 8,966,489.39 5,383,271.86 9,647,481.67 37,870,294.82 4,800,569.70 1,483,513.40 44,154,377.92 INVESTMENTS Certificates of deposit - - Wells Fargo investments - - - - 44,867,211.65 - 44,867,211.65 Mutual fund investments - 51,637,107.26 51,637,107.26 Total investments - - - 96,504,318.91 96,504,318.91 TOTAL CASH AND INVESTMENTS $ 9,030,578.00 $ 3,863,580.08 $ 978,893.82 $ 8,966,489.39 $ 5,383,271.88 $ 9,647,481.67 $ 37,870,294.82 $101,304,888.61 $ 1,483,513.40 $140,658,896.83 * Assets are restricted in purpose and do not represent discretionary assets of the government VILLAGE OF MOUNT PROSPECT STATEMENT OF INVESTMENTS As of March 31, 2013 GOVERNMENTAL AND ENTERPRISE FUNDS Maturity Purchase Financial Investment CUSIP/ Interest Market Date Date Institution Description Acct # Rate % Value As of March 31, 2013, there were no certificates of deposit held by the Governmental and Enterprise Funds. TRUST AND AGENCY FUNDS * Maturity Purchase Financial Investment CUSIP/ Interest Market Date Date Institution Description Acct # Rate % Value POLICE PENSION FUND (070) Various Various Wells Fargo Wells Fargo Investments Various Various 23,566,685.44 Various Various Various Mutual Fund Investments Various Various 25,450,986.44 49,017,671.88 FIRE PENSION FUND (071) Various Various Wells Fargo Wells Fargo Investments Various Various 21,300,526.21 Various Various Various Mutual Fund Investments Various Various 26,186,120.82 47,486,647.03 TOTAL TRUST AND AGENCY FUND INVESTMENTS $96,504,318.91 * Assets are restricted in purpose and do not represent discretionary assets of the government. 3 VILLAGE OF MOUNT PROSPECT BUDGET REVENUE EXPENDITURE SUMMARIES March 01— March 31, 2013 Revenue Budget by Account Classification Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions En Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Rec'd Prior Year YTD Fund 001- General Fund REVENUE Property Taxes 12,853,668.00 .00 12,853,668.00 4,649,506.85 .00 6,301,416.33 6,552,251.67 49 6,004,567.09 Other Taxes 8,043,000.00 .00 8,043,000.00 304,463.06 .00 588,678.60 7,454,321.40 7 587,562.05 Licenses, Permits & Fees 2,704,000.00 .00 2,704,000.00 448,566.32 .00 978,068.12 1,725,931.88 36 843,174.28 Intergovernmental Revenue 17,690,630.00 .00 17,690,630.00 122,755.11 .00 255,149.07 17,435,480.93 1 230,754.72 Charges For Services 1,493,000.00 .00 1,493,000.00 5,200.96 .00 295,747.68 1,197,252.32 20 263,622.33 Fines & Forfeits 480,000.00 .00 480,000.00 13,729.03 .00 131,581.38 348,418.62 27 55,379.01 Investment Income 35,000.00 .00 35,000.00 1,675.40 .00 4,562.51 30,437.49 13 5,886.56 Reimbursements 230,500.00 .00 230,500.00 28,996.16 .00 49,815.98 180,684.02 22 63,110.19 Other Revenue 792,200.00 .00 792,200.00 16,311.30 .00 74,849.00 717,351.00 9 89,909.26 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $44,321,998.00 $0.00 $44,321,998.00 $5,591,204.19 $0.00 $8,679,868.67 $35,642,129.33 20% $8,143,965.49 Fund 001- General Fund Totals $44,321,998.00 $0.00 $44,321,998.00 $5,591,204.19 $0.00 $8,679,868.67 $35,642,129.33 $8,143,965.49 r N Revenue Budget by Account Classification Report Account Classificati Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions En Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Rec'd Prior Year YTD Fund 002 - Debt Service Fund REVENUE Property Taxes Other Taxes Intergovernmental Revenue Investment Income Other Financing Sources 1,745,400.00 .00 1,745,400.00 642,397.09 .00 870,796.58 874,603.42 50 845,754.12 613,356.00 .00 613,356.00 .00 .00 .00 613,356.00 0 .00 47,258.00 .00 47,258.00 .00 .00 .00 47,258.00 0 .00 600.00 .00 600.00 5.34 .00 6.93 593.07 1 .00 .00 .00 .00 .00 .00 .00 . + ++ 8,210.00 REVENUE TOTALS $2,406,614.00 $0.00 $2,406,614.00 $642,402.43 $0.00 $870,803.51 $1, 535,810.49 36% $853,964.12 Fund 002 - Debt Service Fund Totals $2,406,614.00 $0.00 $2,406,614.00 $642,402.43 $0.00 $870,803.51 $1,535,810.49 $853,964.12 Revenue Budget by Account Classification w Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classiflcation Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 020 - Capital Improvement Fund REVENUE Other Taxes 1,135,000.00 .00 1,135,000.00 .00 .00 .00 1,135,000.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ 11,941.00 Investment Income 500.00 .00 500.00 82.32 .00 147.98 352.02 30 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 5,000.00 .00 5,000.00 1,450.00 .00 191,890.00 (186,890.00) 3838 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $1,140,500.00 $0.00 $1,140,500.00 $1,532.32 $0.00 $192,037.98 $948,462.02 17% $11,941.00 Fund 020 - Capital Improvement Fund Totals $1,140,500.00 $0.00 $1,140,500.00 $1,532.32 $0.00 $192,037.98 $948,462.02 $11,941.00 w ,p Account Classification Fund 021 - Series 2009 Construction Fund REVENUE Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income .00 .00 .00 1.40 .00 2.64 (2.64) + ++ .00 Other Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Other Financing Sources . 00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $0.00 $0.00 $0.00 $1.40 $0.00 $2.64 ($2.64) + ++ $0.0 Fund 021 - Series 2009 Construction Fund Totals $0.00 $0.00 $0.00 $1.40 $0.00 $2.64 ($2.64) $0.00 Account Classification Fund 022 - Downtown Redevelopment Construct REVENUE Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Property Taxes 2,681,000.00 .00 2,681,000.00 878,970.47 .00 1,304,858.78 1,376,141.22 49 1,339,391.93 Investment Income 1,000.00 .00 1,000.00 55.71 .00 102.68 897.32 10 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $2,682,000.00 $0.00 $2,682,000.00 $879,026.18 $0.00 $1,304,961.46 $1,377,038.54 49% $1,339,391.93 Fund 022 - Downtown Redevelopment Construct Totals $2,682,000.00 $0.00 $2,682,000.00 $879,026.18 $0.00 $1,304,961.46 $1,377,038.54 $1,339,391.93 L" ON Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classiflcatlon Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 023 - Street Improvement Construc Fund REVENUE Other Taxes 1,545,000.00 .00 1,545,000.00 27,773.74 .00 58,251.96 1,486,748.04 4 50,630.53 Licenses, Permits & Fees .00 .00 .00 .00 .00 .00 .00 + ++ .00 Intergovernmental Revenue .00 .00 .00 3,611.52 .00 3,611.52 (3,611.52) ... .00 Investment Income 500.00 .00 500.00 7.22 .00 9.86 490.14 2 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 5,000.00 .00 5,000.00 .00 .00 20.00 4,980.00 0 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 . + ++ .00 REVENUE TOTALS $1,550,500.00 $0.00 $1,550,500.00 $31,392.48 $0.00 $61,893.34 $1,488,606.6 4% $ 50,630.53 Fund 023 - Street Improvement Construc Fund Totals $1,550,500.00 $0.00 $1,550,500.00 $31,392.48 $0.00 $61,893.34 $1,488,606.66 $50,630.53 Revenue Budget by Account Classification v Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account C l as sifi c ation Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 024 - Flood Control Construction Fund REVENUE Other Taxes 621,644.00 .00 621,644.00 .00 .00 .00 621,644.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Charges For Services 7,500.00 .00 7,500.00 .00 .00 .00 7,500.00 0 .00 Investment Income .00 .00 .00 348.92 .00 980.70 (980.70) + ++ .00 Reimbursements 56,500.00 .00 56,500.00 .00 .00 .00 56,500.00 0 56,521.31 Other Financing Sources . 00 .00 .00 .00 .00 .00 .00 +++ .00 REVENUE TOTALS $ 685,644.00 $0.00 $685,644.00 $348.92 $0.00 $980.70 $684,663.30 0% $56,521.31 Fund 024 - Flood Control Construction Fund Totals $685,644.00 $0.00 $685,644.00 $348.92 $0.00 $980.70 $684,663.30 $56,521.31 v . Revenue Budget by Account Classification Report Account Classification Fund 040 - Refuse Disposal Fund REVENUE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Property Taxes 1,857,000.00 .00 1,857,000.00 684,147.71 .00 927,349.08 929,650.92 50 872,408.89 Charges For Services 2,190,000.00 .00 2,190,000.00 242,179.79 .00 512,489.85 1,677,510.15 23 478,401.27 Fines & Forfeits 45,000.00 .00 45,000.00 1,732.50 .00 3,012.67 41,987.33 7 10,617.99 Investment Income 500.00 .00 500.00 39.59 .00 79.15 420.85 16 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 366,000.00 .00 366,000.00 15,490.20 .00 29,364.99 336,635.01 8 30,751.11 REVENUE TOTALS $4,458,500.00 $0.00 $4,458,500.00 $943,589.79 $0.00 $1,472,295.74 $2,986,204.26 33% $1,392,179.2 Fund 040 - Refuse Disposal Fund Totals $4,458,500.00 $0.00 $4,458,500.00 $943,589.79 $0.00 $1,472,295.74 $2,986,204.26 $1,392,179.26 Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 041 - Motor Fuel Tax Fund REVENUE Intergovernmental Revenue 1,690,000.00 .00 1,690,000.00 92,470.71 .00 201,294.11 1,488,705.89 12 221,211.06 Investment Income 100.00 .00 100.00 19.64 .00 34.16 65.84 34 .00 Reimbursements 15,000.00 .00 15,000.00 .00 .00 .00 15,000.00 0 .00 REVENUE TOTALS $1,705,100.00 $0.00 $1,705,100.00 $92,490.35 $0.00 $201,328.27 $1,503,771.73 12% $221,211.06 Fund 041- Motor Fuel Tax Fund Totals $1,705,100.00 $0.00 $1,705,100.00 $92,490.35 $0.00 $201,328.27 $1,503,771.73 $221,211.06 r 0 Revenue Budget by Account Classification Report Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Rec'd Prior Year YTD un - CMMty Development Block ran -- REVENUE Intergovernmental Revenue 230,203.00 170,206.00 400,409.00 .00 .00 .00 400,409.00 0 15,994.79 Investment Income .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 60,000.00 .00 60,000.00 .00 .00 7,16 52,832.00 12 .00 REVENUE TOTALS $290,203.00 $170,206.00 $460,409.00 $0.00 $0.00 $7,168.00 $453,241.00 2% $1 5,994.79 Fund 042 - Cmmty Development Block Grant Totals $290,203.00 $170,206.00 $460,409.00 $0.00 $0.00 $7,168.00 $453,241.00 $15,994.79 Account Classification Fund 043 - Asset Seizure Fund REVENUE Fines & Forfeits Investment Income r r Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD 3,000.00 .00 3,000.00 1,711.13 .00 4,238.27 (1,238.27) 141 414.47 100.00 .00 100.00 1.40 .00 2.64 97.36 3 .00 REVENUE TOTALS $3,100.00 $0.00 $3,100.00 $1,712.53 $0.00 $4,240.91 ($1,140.91) 137% $414.47 Fund 043 - Asset Seizure Fund Totals $3,100.00 $0.00 $3,100.00 $1,712.53 $0.00 $4,240.91 ($1,140.91) $414.47 N Revenue Budget by Account Classification i Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 044 - DEA Shared Funds Fund REVENUE Fines & Forfeits 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Investment Income 100.00 .00 100.00 .87 . 2.52 97.48 3 2.57 REVENUE TOTALS $1,100.00 $0.00 $1,100.00 $0.87 $0.00 $2.52 $1,097.48 0% $2.57 Fund 044 - DEA Shared Funds Fund Totals $1,100.00 $0.00 $1,100.00 $0.87 $0.00 $2.52 $1,097.48 $2.57 Revenue Budget by Account Classification Report Account Classification Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 045 - DUI Fine Fund REVENUE Fines & Forfeits 20,000.00 .00 20,000.00 .00 .00 .00 20,000.00 0 .00 Investment Income 100.00 .00 100.00 .00 .00 .00 100.00 0 .00 REVENUE TOTALS $20,100.00 $0.00 $20,100.00 $0.00 $0.00 $0.00 $20,100.00 0% $0.00 Fund 045 - DUI Fine Fund Totals $20,100.00 $0.00 $20,100.00 $0.00 $0.00 $0.00 $20,100.00 $0.00 r-� w r Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classlflcation Budget Amendments Budget Transa E ncu m brances Transactions Transactions Rec'd Prior Year YTD Fund 046 - Foreign Fire Tax Board Fund REVENUE Other Taxes 55,000.00 .00 55,000.00 .00 .00 .00 55,000.00 0 .00 Investment Income .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue .00 .00 .00 .00 .00 45.00 (45.00) + ++ .00 Other Financing Sources .00 .00 .00 .00 . . 00 .00 ... .00 REVENUE TOTALS $55,000.00 $ 0.00 $55,000.00 $0.00 $0.00 $45.00 $54,955.00 0% $0.00 Fund 046 - Foreign Fire Tax Board Fund Totals $55,000.00 $0.00 $55,000.00 $0.00 $0.00 $45.00 $54,955.00 $0.00 Account Classification Fund 047 - Justice Assistance Grant Fund Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD REVENUE Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income .00 .00 .00 .00 .00 .00 .00 ... .00 REVENUE TOTALS $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 + ++ $0.00 Fund 047 - Justice Assistance Grant Fund Totals $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 r U1 r rn Revenue Budget by Account Classification Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Recd Prior Year YTD Fund 048 - Business District Fund REVENUE Other Taxes 671,000.00 .00 671,000.00 30,143.90 .00 70,764.25 600,235.75 11 17,586.25 Investment Income .00 .00 .00 11.58 .00 20.61 ( + ++ . REVENUE TOTALS $671,000.00 $0.00 $671,000.00 $30,155.48 $0.00 $70,784.86 $600,215.14 11% $17,586.25 Fund 048 - Business District Fund Totals $671,000.00 $0.00 $671,000.00 $30,155.48 $0.00 $70,784.86 $600,215.14 $17,586.25 Revenue Budget by Account Classification Report Account Classification Fund 050 - Water and Sewer Fund REVENUE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Property Taxes 1,516,000.00 .00 1,516,000.00 587,152.22 .00 785,223.97 730,776.03 52 776,955.43 Licenses, Permits & Fees 16,000.00 .00 16,000.00 1,560.00 .00 4,640.00 11,360.00 29 3,230.00 Charges For Services 10,534,000.00 .00 10,534,000.00 845,005.24 .00 3,066,663.90 7,467,336.10 29 2,174,746.00 Fines & Forfeits 125,000.00 .00 125,000.00 10,869.03 .00 28,488.64 96,511.36 23 26,748.19 Investment Income 3,000.00 .00 3,000.00 77.51 .00 167.28 2,832.72 6 6.14 Reimbursements 1,000.00 .00 1,000.00 3,656.26 .00 5,571.68 (4,571.68) 557 .00 Other Revenue 25,000.00 .00 25,000.00 (666.00) .00 392.48 24,607.52 2 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $12,220,000.00 $0.00 $12,220,000.00 $1,447,654.26 $0.00 $3,891,147.95 $8,328,852.05 32% $2,981,685.76 Fund 050 - Water and Sewer Fund Totals $12,220,000.00 $0.00 $12,220,000.00 $1,447,654.26 $0.00 $3,891,147.95 $8,328,852.05 $2,981,685.76 r r OD Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 051- Village Parking System Fund REVENUE Other Taxes 10,000.00 .00 10,000.00 .00 .00 .00 10,000.00 0 .00 Charges For Services 109,000.00 .00 109,000.00 12,528.60 .00 34,021.00 74,979.00 31 32,921.30 Investment Income 500.00 .00 500.00 3.30 .00 6.40 493.60 1 .00 Other Revenue 6,600.00 .00 6,600.00 550.00 .00 1,650.00 4,950.00 25 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 . ... . REVENUE TOTALS $126,100.00 $0.00 $126,100.00 $13,081.90 $0.00 $ $ 90, 42 2.60 28% $ 3 2, 921.30 Fund 051- Village Parking System Fund Totals $126,100.00 $0.00 $126,100.00 $13,081.90 $0.00 $35,677.40 $90,422.60 $32,921.30 Revenue Budget by Account Classification �.' Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 052 - Parking System Revenue Fund REVENUE Other Taxes 90,000.00 .00 90,000.00 .00 .00 .00 90,000.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Charges For Services 110,000.00 .00 110,000.00 8,657.95 .00 26,391.28 83,608.72 24 26,358.60 Investment Income 500.00 .00 500.00 1.62 .00 1.62 498.38 0 .00 Other Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $200,500.00 $0.00 $200,500.00 $8,659.57 $0.00 $26,392.90 $174,107.10 13% $26,358.60 Fund 052 - Parking System Revenue Fund Totals $200,500.00 $0.00 $200,500.00 $8,659.57 $0.00 $26,392.90 $174,107.10 $26,358.60 r N O Revenue Budget by Account Classification Report Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Recd Prior Year YTO Fund 060 - Vehicle Maintenance Fund REVENUE Charges For Services 2,193,313.00 .00 2,193,313.00 182,776.10 .00 548,328.30 1,644,984.70 25 502,551.21 Investment Income .00 .00 .00 47.14 .00 121.82 (121.82) + ++ 82.15 Other Revenue .00 .00 .00 138.40 .00 13 (138.40) + ++ 797.96 REVENUE TOTALS $2,193,313.00 $0.00 $2,193,313.00 $182,961.64 $0.00 $548, $1,644,724. 25% $ 503,431.32 Fund 060 - Vehicle Maintenance Fund Totals $2,193,313.00 $0.00 $2,193,313.00 $182,961.64 $0.00 $548,588.52 $1,644,724.48 $503,431.32 Revenue Budget by Account Classification Report A Classification Fund 061 - Vehicle Replacement Fund REVENUE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Charges For Services 1,396,600.00 .00 1,396,600.00 116,383.34 .00 349,150.02 1,047,449.98 25 295,949.97 Fines & Forfeits 12,750.00 .00 12,750.00 .00 .00 .00 12,750.00 0 .00 Investment Income 3,500.00 .00 3,500.00 502.37 .00 1,337.44 2,162.56 38 821.85 Other Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Other Financing Sources 50,000.00 .00 50,000.00 2,688.57 .00 7,925.97 42,074.03 16 .00 REVENUE TOTALS $1,462,850.00 $0.00 $1,462,850.00 $119,574.28 $0.00 $358,413.43 $1,104,436.57 25% $296,771.82 Fund 061- Vehicle Replacement Fund Totals $1,462,850.00 $0.00 $1,462,850.00 $119,574.28 $0.00 $358,413.43 $1,104,436.57 $296,771.82 N r N N Revenue Budget by Account Classification Report Account Classiflcation Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Rec'd Prior Year YTD Fund 062 - Computer Replacement Fund REVENUE Charges For Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income 1,000.00 .00 1,000.00 61.94 .00 175.12 824.88 18 123.32 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $1,000.00 $0.00 $1,000.00 $61.94 $0.00 $175.12 $824.88 18% $123.32 Fund 062 - Computer Replacement Fund Totals $1,000.00 $0.00 $1,000.00 $61.94 $0.00 $175.12 $824.88 $123.32 Revenue Budget by Account Classification Report Account Classification Fund 063 - Risk Management Fund REVENUE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Charges For Services 6,213,501.00 .00 6,213,501.00 490,208.62 .00 1,534,826.64 4,678,674.36 25 1,305,836.62 Investment Income 2,000.00 .00 2,000.00 137.12 .00 411.22 1,588.78 21 328.73 Reimbursements 2,000.00 .00 2,000.00 .00 .00 .00 2,000.00 0 .00 Other Revenue 1 .00 1,452,000.00 127,032.16 .00 336,773.81 1,115,226.19 23 282,612.19 REVENUE TOTALS $7,669,501.00 $0.00 $7,669,501.00 $617,377.90 $0.00 $1,872,011.67 $5,797,489.33 24% $1,588,777.54 Fund 063 - Risk Management Fund Totals $7,669,501.00 $0.00 $7,669,501.00 $617,377.90 $0.00 $1,872,011.67 $5,797,489.33 $1,588,777.54 N W N dP Revenue Budget by Account Classification V Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 070 - Police Pension Fund REVENUE Charges For Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income 2,274,500.00 .00 2,274,500.00 955,270.90 .00 2,367,008.03 (92,508.03) 104 3,056,863.23 Other Revenue 3,416,221.00 .00 3,416,221.00 1,041,675.69 .00 1, 1, 9 1 5,828.92 44 1,474,801.74 REVENUE TOTALS $5,690,721.00 $0.00 $5,690,721.00 $1,996,946.59 $0.00 $3,8 $1, 823,320.89 6 8% $ 4,531,664.97 Fund 070 - Police Pension Fund Totals $5,690,721.00 $0.00 $5,690,721.00 $1,996,946.59 $0.00 $3,867,400.11 $1,823,320.89 $4,531,664.97 Revenue Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 071 - Fire Pension Fund REVENUE Investment Income 2,255,000.00 .00 2,255,000.00 2,242,069.56 .00 2,247,727.92 7,272.08 100 3,064,370.65 Other Revenue 2,932,247.00 .00 2,932,247.00 929,992.06 .00 1,319,996.62 1,612,250.38 45 1,267,505.93 REVENUE TOTALS $5,187,247.00 $0.00 $5,187,247.00 $3,172,061.62 $0.00 $3,567,724.54 $1,619,522.46 69% $4,331,876.58 Fund 071- Fire Pension Fund Totals $5,187,247.00 $0.00 $5,187,247.00 $3,172,061.62 $0.00 $3,567,724.54 $1,619,522.46 $4,331,876.58 Grand Totals $94,742,591.00 070,206.00 $94,912,797.00 $15,772,236.64 $0.00 $27,033,945.24 $67,878,851.76 $26,397,413.99 N Ln Expense Budget by Account Classification r Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 001- General Fund EXPENSE Personal Services, Scheduled Salaries & Wages 23,392,721.00 .00 23,392,721.00 1,729,273.15 .00 5,114,951.14 18,277,769.86 22 5,147,911.88 Employee Benefits 11,668,453.00 .00 11,668,453.00 2,448,109.13 .00 4,207,439.38 7,461,013.62 36 3,966,784.29 Other Employee Costs 370,429.00 .00 370,429.00 25,362.71 10,415.75 69,650.22 290,363.03 22 64,254.83 Pension Benefits 46,151.00 .00 46,151.00 3,845.81 .00 11,537.43 34,613.57 25 11,500.89 Contractual Services 6,820,106.00 12,000.00 6,832,106.00 548,531.60 652,788.86 1,501,610.38 4,677,706.76 32 1,329,920.17 Utilities 254,847.00 850.00 255,697.00 16,818.49 .00 33,217.77 222,479.23 13 23,092.45 Insurance 344,875.00 .00 344,875.00 28,751.85 .00 86,257.80 258,617.20 25 40,738.14 Commodities & Supplies 608,056.00 .00 608,056.00 45,660.23 46,811.06 100,283.91 460,961.03 24 101,458.58 Other Expenditures 11,000.00 .00 11,000.00 .00 .00 .00 11,000.00 0 .00 Building Improvements 10,000.00 .00 10,000.00 9.94 2,573.93 3,166.54 4,259.53 57 3,153.65 Office Equipment 40,356.00 .00 40,356.00 1,119.96 .00 1,119.96 39,236.04 3 .00 Other Equipment 153,614.00 (2,000.00) 151,614.00 4,456.38 5,899.09 6,864.95 138,849.96 8 13,236.35 Distribution Systems 95,000.00 .00 95,000.00 .00 .00 .00 95,000.00 0 .00 Infrastructure 506,390.00 .00 506,390.00 57,217.60 158,162.35 83,263.65 264,964.00 48 440.00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 ... .00 EXPENSE TOTALS $44,321,998.00 $10,850.00 $44,332,848.00 $4,909,156.85 $876,651.04 $11,219,363.13 $32,236,833.83 27% $10,702,491.23 Fund 001 - General Fund Totals $44,321,998.00 $10,850.00 $44,332,848.00 $4,909,156.85 $876,651.04 $11,219,363.13 $32,236,833.83 $10,702,491.23 r N Expense Budget by Account Classification Report Account Classification Fund 002 - Debt Service Fund EXPENSE Contractual Services Other Expenditures Bond Principal Interest Expense Bank & Fiscal Fees Interfund Transfers Other Financing Uses Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year Y E .00 .00 .00 .00 .00 .00 .00 + ++ .00 .00 .00 .00 .00 .00 .00 .00 ... .00 1,512,311.00 .00 1,512,311.00 (48,532.68) .00 19,000.64 1,493,310.36 1 18,377.95 891,882.00 .00 891,882.00 (9,720.11) .00 643.78 891,238.22 0 1,266.47 1,284.00 .00 1,284.00 .00 .00 428.00 856.00 33 1,837.22 .00 .00 .00 .00 .00 .00 .00 + ++ .00 .00 .00 .00 .00 .00 .00 .0 + ++ . EXPENSE TOTALS $2,405,477.00 $0.00 $2,405,477.00 ($58,252.79) $0.00 $20,072.42 $2,38 1% $21, 481.64 Fund 002 - Debt Service Fund Totals $2,405,477.00 ($0.00) $2,405,477.00 ($58,252.79) ($0.00) $20,072.42 $2,385,404.58 $21,481.64 Expense Budget by Account Classification Report Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Bu Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Recd Prior Year YTD Fund 020 - Capital Improvement Fund EXPENSE Contractual Services .00 .00 .00 130.00 (347.01) 19,132.60 (18,785.59) + ++ 29,177.61 Other Expenditures .00 .00 .00 .00 .00 .00 .00 ... .00 Land Improvements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements 915,500.00 455,500.00 1,371,000.00 35,090.05 618,292.45 54,000.64 698,706.91 49 31,796.56 Office Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Motor Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Equipment 389,247.00 14,455.00 403,702.00 10,603.91 13,010.75 31,811.73 358,879.52 11 .00 Infrastructure 370,000.00 166,000.00 536,000.00 977.50 22,702.01 1,558.75 511,739.24 5 8,699.76 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 ... .00 EXPENSE TOTALS $1,674,747.00 $635,955.00 $2,310,702.00 $46,801.46 $653,658.20 $106,503.72 $1,550,540.08 33% $69,673.93 Fund 020 - Capital Improvement Fund Totals $1,674,747.00 $635,955.00 $2,310,702.00 $46,801.46 $653,658.20 $106,503.72 $1,550,540.08 $69,673.93 W Account Classification Fund 021 - Series 2009 Construction Fund EXPENSE Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Contractual Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment .00 .00 .00 .00 .00 .00 .00 ... .00 Other Equipment .00 .00 .00 .00 .00 .00 .00 + ++ . EXPENSE TOTALS $0.00 $0.00 $0.00 $0. $0.00 $0. $0.00 ... $0.00 Fund 021 - Series 2009 Construction Fund Totals ($0.00) ($0.00) ($0.00) ($0.00) ($0.00) ($0.00) ($0.00) ($0.00) Account Classification Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 022 - Downtown Redevelopment Construct EXPENSE Contractual Services 202,990.00 .00 202,990.00 .00 56,950.00 .00 146,040.00 28 .00 Utilities .00 .00 .00 .00 .00 .00 .00 ... .00 Other Expenditures 2,741,531.00 .00 2,741,531.00 .00 .00 3,642.20 2,737,888.80 0 7,000.00 Infrastructure 348,000.00 .00 348,000.00 .00 .00 .00 348,000.00 0 .00 Bond Principal .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interest Expense .00 .00 .00 .00 .00 .00 .00 ... .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 ... .00 EXPENSE TOTALS $3,292,521.00 $0.00 $3,292,521.00 $0.00 $56,950.00 $3,642.20 $3,231,928.80 2% $7,000.00 Fund 022 - Downtown Redevelopment Construct Totals $3,292,521.00 ($0.00) $3,292,521.00 ($0.00) $56,950.00 $3,642.20 $3,231,928.80 $7,000.00 cn t• Account Classification Fund 023 - Street Improvement Construc EXPENSE Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Contractual Services 30,000.00 .00 30,000.00 .00 19,779.00 .00 10,221.00 66 .00 Infrastructure 1,465,500.00 70,350.00 1,535,850.00 9,107.68 11,835.94 9,107.68 1,514,906.38 1 .00 Interfund Transfers .00 .00 .00 .00 .00 .00 . + ++ .00 EXPENSE TOTALS $1,495,500.00 $70,350.00 $1,565,850.00 $9,107.68 $31,614.94 $9,107.68 $1,525,127.38 3% $ 0.00 Fund 023 - Street Improvement Construc Fund Totals $1,495,500.00 $70,350.00 $1,565,850.00 $9,107.68 $31,614.94 $9,107.68 $1,525,127.38 ($0.00) Expense Budget by Account Classification Report Account Classification Fund 024 - Flood Control Construction Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Contractual Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Utilities 2,000.00 .00 2,000.00 .00 .00 .00 2,000.00 0 .00 Other Expenditures 5,150.00 .00 5,150.00 .00 .00 .00 5,150.00 0 .00 Other Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Infrastructure 750,000.00 2,598,800.00 3,348,800.00 55,831.35 53,444.27 55,914.65 3,239,441.08 3 252.52 EXPENSE TOTALS $757,150.00 $2,598,800.00 $3,355,950.00 $55,831.35 $53,444.27 $55,914.65 $3,246,591.08 3% $252.52 Fund 024 - Flood Control Construction Fund Totals $757,150.00 $2,598,800.00 $3,355,950.00 $55,831.35 $53,444.27 $55,914.65 $3,246,591.08 $252.52 J Expense Budget by Account Classification Report Account Classification Fund 040 - Refuse Disposal Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Personal Services, Scheduled Salaries & Wages 230,728.00 .00 230,728.00 19,212.23 .00 53,447.16 177,280.84 23 52,857.33 Employee Benefits 91,728.00 .00 91,728.00 8,027.38 .00 22,609.58 69,118.42 25 21,410.89 Other Employee Costs 1,200.00 .00 1,200.00 .00 .00 .00 1,200.00 0 .00 Contractual Services 4,092,058.00 .00 4,092,058.00 327,715.51 .00 872,974.61 3,219,083.39 21 852,979.85 Utilities 429.00 .00 429.00 35.81 .00 63.28 365.72 15 78.73 Insurance 28,239.00 .00 28,239.00 2,353.25 .00 7,059.75 21,179.25 25 6,832.74 Commodities & Supplies 30,387.00 .00 30,387.00 .00 3,504.80 63 1.70 26,25 14 8,4 96.83 EXPENSE TOTALS $4,474,769.00 $0.00 $4,474,769.00 $357,344.18 $3,504.80 $956,786.08 $3,514, 21% $ 9 42, 656.37 Fund 040 - Refuse Disposal Fund Totals $4,474,769.00 ($0.00) $4,474,769.00 $357,344.18 $3,504.80 $956,786.08 $3,514,478.12 $942,656.37 Expense Budget by Account Classification Report Account Classification Fund 041 - Motor Fuel Tax Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Contractual Services 186,302.00 .00 186,302.00 1,254.52 60,925.48 2,868.52 122,508.00 34 3,229.88 Utilities 150,000.00 .00 150,000.00 15,902.42 .00 27,369.01 122,630.99 18 31,940.72 Commodities & Supplies 263,064.00 .00 263,064.00 31,246.82 56,335.55 145,533.35 61,195.10 77 131,577.43 Infrastructure 1,165,000.00 66,000.00 1,231,000.00 .00 .00 .00 1,231,000.00 0 444.00 EXPENSE TOTALS $1,764,366.00 $66,000.00 $1,830,366.00 $48,403.76 $117,261.03 $175,770.88 $1,537,334.09 16% $167,192.03 Fund 041- Motor Fuel Tax Fund Totals $1,764,366.00 $66,000.00 $1,830,366.00 $48,403.76 $117,261.03 $175,770.88 $1,537,334.09 $167,192.03 0 F- 0 Expense Budget by Account Classification Account Classification Fund 042 - Cmmty Development Block Grant EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Personal Services, Scheduled Salaries & Wages 47,094.00 .00 47,094.00 3,214.93 .00 9,323.33 37,770.67 20 13,336.72 Employee Benefits 25,198.00 .00 25,198.00 1,987.33 .00 5,907.24 19,290.76 23 7,029.65 Other Employee Costs 1,000.00 .00 1,000.00 342.50 .00 342.50 657.50 34 .00 Contractual Services 92,411.00 10,206.00 102,617.00 267.38 .00 1,467.09 101,149.91 1 22,678.83 Commodities & Supplies 500.00 .00 500.00 52.38 .00 111.37 388.63 22 9.26 Other Expenditures 94,000.00 160,000.00 254,000.00 33,449.60 .00 33,529.60 220,470.40 13 13,255.40 Land Improvements .00 .00 .00 .00 .00 .00 .00 ... .00 Building Improvements .00 .00 .00 .00 .00 .00 .00 ... .00 Infrastructure 30,000.00 .00 30,000.00 .00 .00 .00 30,000.00 0 .00 EXPENSE TOTALS $290,203.00 $170,206.00 $460,409.00 $39,314.12 $0.00 $50,681.13 $409,727.87 11% $5 6,309.86 Fund 042 - Cmmty Development Block Grant Totals $290,203.00 $170,206.00 $460,409.00 $39,314.12 ($0.00) $50,681.13 $409,727.87 $56,309.86 Expense Budget by Account Classification Report Account Classification Fund 043 - Asset Seizure Fund EXPENSE Other Employee Costs Contractual Services Other Equipment Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 1,500.00 .00 1,500.00 .00 .00 .00 1,500.00 0 500.00 15,000.00 .00 15,000.00 .00 .00 3,915.00 11,085.00 26 4,139.35 EXPENSE TOTALS $17,500.00 $0.00 $17,500.00 $0.00 $0.00 $3,915.00 $13,585.00 22% $4,639.35 Fund 043 - Asset Seizure Fund Totals $17,500.00 ($0.00) $17,500.00 ($0.00) ($0.00) $3,915.00 $13,585.00 $4,639.35 F- r N Account Classification Fund 044 - DEA Shared EXPENSE Contractual Services Building improvements Other Equipment Fund Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 .00 .00 .00 .00 .00 .00 .00 + ++ .00 4,000.00 .00 4,000.00 . . 00 .00 4,000.00 0 .00 EXPENSE TOTALS $5,000.00 $0.00 $5,000.00 $0.00 $0. $ 0.00 $5,000.00 0% $0.00 Fund 044 - DEA Shared Funds Fund Totals $5,000.00 ($0.00) $5,000.00 ($0.00) ($0.00) ($0.00) $5,000.00 ($0.00) Expense Budget by Account Classification M Account Classification Adopted Budget Amended Current Month YTD Budget Amendments Budget Transactions Encumbrances Through 03/31/13 Prior Fiscal Year Activity Included YTD Budget - YTD % used/ Transactions Transactions Rec'd Prior Year YTD Fund 045 - DUI Fine Fund EXPENSE Other Employee Costs Contractual Services Other Equipment Interfund Transfers 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 .00 .00 .00 .00 .00 .00 .00 + ++ .00 10,000.00 .00 10,000.00 1,585.00 .00 1,585.00 8,415.00 16 4,163.65 .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $11,000.00 $0.00 $11,000.00 $1,585.00 $0.00 $1,585.00 $9,415.00 14% $4,163.65 Fund 045 - DUI Fine Fund Totals $11,000.00 ($0.00) $11,000.00 $1,585.00 ($0.00) $1,585.00 $9,415.00 $4,163.65 r w r Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classlflcation Budget Amendments Budget Transactions Encumbrances Transactions Transactions Redd Prior Year YTD Fund 046 - Foreign Fire Tax Board Fund EXPENSE Contractual Services 10,000.00 .00 10,000.00 .00 .00 2,938.44 7,061.56 29 1,974.26 Insurance 500.00 .00 500.00 .00 .00 .00 500.00 0 417.54 Commodities & Supplies 3,000.00 .00 3,000.00 904.50 .00 904.50 2,095.50 30 .00 Other Equipment 15,000.00 .00 15,000.00 187.00 .00 187.00 14,81 1 . EXPENSE TOTALS $28,500.00 $0.00 $28,500.00 $1,091.50 $0.00 $4,029.94 $24,47 14% $2,39 Fund 046 - Foreign Fire Tax Board Fund Totals $28,500.00 ($0.00) $28,500.00 $1,091.50 ($0.00) $4,029.94 $24,470.06 $2,391.80 Expense Budget by Account Classification Report Account Classification Fund 047 - Justice Assistance Grant Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Commodities & Supplies .00 .00 .00 .00 .00 .00 .00 ... .00 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment .00 836.00 836.00 .00 .00 .00 836.00 0 .00 Other Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interfund Transfers . 00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $0. $ 836.00 $836.00 $0.00 $0.00 $0.00 $836.00 0% $0.00 Fund 047 - Justice Assistance Grant Fund Totals ($0.00) $836.00 $836.00 ($0.00) ($0,00) ($0.00) $836.00 ($0.00) r to F- 0) Expense Budget by Account Classification Report Through 03/31/13 L iw � l j Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 048 - Business District Fund EXPENSE Bond Principal .00 .00 .00 .00 .00 .00 .00 ... .00 Interest Expense 496,521.00 .00 496,521.00 .00 .00 .00 496,521.00 0 .00 EXPENSE TOTALS $496,521.00 $0.00 $496,521.00 $0.00 $0.00 $0.00 $496,521.00 0% $0.00 Fund 048 - Business District Fund Totals $496,521.00 ($0.00) $496,521.00 ($0.00) ($0.00) ($0.00) $496,521.00 ($0.00) Expense Budget by Account Classification Report Account Classification Fund 050 -Water and Sewer Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Personal Services, Scheduled Salaries & Wages 1,864,275.00 .00 1,864,275.00 152,373.31 .00 457,869.23 1,406,405.77 25 414,350.16 Employee Benefits 734,286.00 .00 734,286.00 65,690.92 .00 190,067.49 544,218.51 26 182,873.49 Other Employee Costs 35,941.00 .00 35,941.00 1,173.35 2,913.75 3,777.70 29,249.55 19 8,151.11 Contractual Services 7,331,906.00 .00 7,331,906.00 516,259.85 390,518.33 1,195,945.63 5,745,442.04 22 966,405.09 Utilities 168,560.00 .00 168,560.00 14,151.50 .00 19,109.11 149,450.89 11 24,133.44 Insurance 79,383.00 .00 79,383.00 6,615.25 .00 19,845.75 59,537.25 25 17,524.50 Commodities & Supplies 297,963.00 .00 297,963.00 5,345.08 60,921.14 19,544.04 217,497.82 27 26,825.53 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment 7,104.00 .00 7,104.00 .00 .00 .00 7,104.00 0 .00 Other Equipment 464,503.00 1,370,720.00 1,835,223.00 2,775.00 247,110.02 5,979.19 1,582,133.79 14 58,281.00 Distribution Systems 1,825,000.00 585,685.00 2,410,685.00 17,705.98 411,174.59 19,860.19 1,979,650.22 18 5,699.00 Infrastructure 34,000.00 .00 34,000.00 .00 .00 .00 34,000.00 0 .00 Bond Principal .00 .00 .00 .00 .00 .00 .00 +++ .00 Interest Expense .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $12,8 42, 9 21. 0 0 $1,956,405.00 $14,799,326.00 $782,090.24 $1,112,637.83 $1,931,998.33 $11,754,689.84 21% $1,704,243.32 Fund 050 -Water and Sewer Fund Totals $12,842,921.00 $1,956,405.00 $14,799,326.00 $782,090.24 $1,112,637.83 $1,931,998.33 $11,754,689.84 $1,704,243.32 r r OD Expense Budget by Account Classification 1 Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classifica Budget Amendments Budget Transactions E n c u m b r ances Transactions Transactions Recd Prior Year YTD Fund 051- Village Parking System Fund EXPENSE Personal Services, Scheduled Salaries & Wages 21,875.00 .00 21,875.00 1,814.20 .00 5,643.17 16,231.83 26 4,999.45 Employee Benefits 9,860.00 .00 9,860.00 741.98 .00 2,259.53 7,600.47 23 1,532.65 Contractual Services 92,657.00 .00 92,657.00 7,947.05 16,857.41 23,489.35 52,310.24 44 23,513.20 Insurance 1,158.00 .00 1,158.00 96.50 .00 289.50 868.50 25 203.01 Commodities & Supplies 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements 6,800.00 .00 6,800.00 .00 .00 .00 6,800.00 0 .00 Infrastructure 163,500.00 .00 163,500.00 .00 6,750.00 .00 156,750.00 4 .00 Interfund Transfers .00 .00 .00 .00 .00 .00 . ... .00 EXPENSE TOTALS $296,350.00 $0.00 $296,350.00 $10,599.73 $23,607.41 $31,681.55 $2 19% $30,248.31 Fund 051- Village Parking System Fund Totals $296,350.00 ($0.00) $296,350.00 $10,599.73 $23,607.41 $31,681.55 $241,061.04 $30,248.31 Expense Budget by Account Classification IVIL Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 052 - Parking System Revenue Fund EXPENSE Personal Services, Scheduled Salaries & Wages 41,661.00 .00 41,661.00 3,234.68 .00 9,787.15 31,873.85 23 9,339.13 Employee Benefits 21,357.00 .00 21,357.00 1,625.46 .00 4,897.50 16,459.50 23 4,166.25 Contractual Services 110,944.00 .00 110,944.00 6,348.81 2,406.93 18,569.81 89,967.26 19 18,560.25 Utilities 10,317.00 .00 10,317.00 1,075.04 .00 1,459.41 8,857.59 14 857.82 Insurance 1,387.00 .00 1,387.00 115.58 .00 346.74 1,040.26 25 284.49 Commodities & Supplies 9,586.00 .00 9,586.00 80.00 .00 1,780.00 7,806.00 19 1,856.60 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements 100,000.00 .00 100,000.00 .00 .00 .00 100,000.00 0 .00 Infrastructure .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $295,252.00 $0.00 $295,252.00 $12,479.57 $2,406.93 $36,840.61 $256,004.46 13% $35,064.54 Fund 052 - Parking System Revenue Fund Totals $295,252.00 ($0.00) $295,252.00 $12,479.57 $2,406.93 $36,840.61 $256,004.46 $35,064.54 r �o N O Account Classification Fund 060 - Vehicle Maintenance Fund EXPENSE Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Personal Services, Scheduled Salaries & Wages 954,042.00 .00 954,042.00 75,518.82 .00 210,543.66 743,498.34 22 222,847.44 Employee Benefits 392,115.00 .00 392,115.00 32,068.36 .00 90,362.21 301,752.79 23 88,769.64 Other Employee Costs 2,315.00 .00 2,315.00 .00 .00 120.00 2,195.00 5 120.00 Contractual Services 95,738.00 .00 95,738.00 8,069.77 25,416.24 13,875.39 56,446.37 41 13,937.99 Utilities 3,010.00 .00 3,010.00 322.28 .00 785.81 2,224.19 26 196.78 Commodities & Supplies 687,039.00 .00 687,039.00 48,618.44 249,852.61 164,496.33 272,690.06 60 150,091.45 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment 545.00 .00 545.00 .00 .00 .00 545.00 0 .00 Other Equipment 18,500.00 .00 18,500.00 .00 .00 .00 18,500.00 0 483.50 EXPENSE TOTALS $2,153,304.00 $0.00 $2,153,304.00 $164,597.67 $275,2 $ $1,397,851.75 35% $476,446.80 Fund 060 - Vehicle Maintenance Fund Totals $2,153,304.00 ($0.00) $2,153,304.00 $164,597.67 $275,268.85 $480,183.40 $1,397,851.75 $476,446.80 Expense Budget by Account Classification Report Account Classification Fund 061 - Vehicle Replacement Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Motor Equipment 664,000.00 360,900.00 1,024,900.00 630.77 328,171.44 14,446.05 682,282.51 33 6,335.89 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $664,000.00 $360,900.00 $1,024,900.00 $630.77 $328,171.44 $14,446.05 $682,282.51 33% $6,335.89 Fund 061- Vehicle Replacement Fund Totals $664,000.00 $360,900.00 $1,024,900.00 $630.77 $328,171.44 $14,446.05 $682,282.51 $6,335.89 N r N N Expense Budget by Account Classification Report Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 062 - Computer Replacement Fund EXPENSE Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment 246,200.00 .00 246,200.00 22,497.57 13,734.65 23,232.22 209,233.13 15 19,982.48 EXPENSE TOTALS $246,200.00 $0.00 $246,200.00 $22,497 $1 3, 7 34.65 $ 23,232.22 $209,233.13 15% $19,982.48 Fund 062 - Computer Replacement Fund Totals $246,200.00 ($0.00) $246,200.00 $22,497.57 $13,734.65 $23,232.22 $209,233.13 $19,982.48 Expense Budget by Account Classification Report Account Classification Fund 063 - Risk Management Fund EXPENSE Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Contractual Services 22,500.00 .00 22,500.00 .00 .00 3,950.00 18,550.00 18 11,000.00 Insurance 7,641,862.00 .00 7,641,862.00 472,641.33 1,393.36 1,963,004.97 5,677,463.67 26 1,892,793.95 Other Equipment 2,000.00 .00 2,000.00 .00 .00 .00 2,000.00 0 .00 Infrastructure .00 .00 .00 .00 .00 .00 .00 ... .00 EXPENSE TOTALS $7,666,362.00 $0.00 $7,666,362.00 $472,641.33 $1,393.36 $1,966,954.97 $5,698,013.67 26% $1,903,793.95 Fund 063 - Risk Management Fund Totals $7,666,362.00 ($0.00) $7,666,362.00 $472,641.33 $1,393.36 $1,966,954.97 $5,698,013.67 $1,903,793.95 N W N Expense Budget by Account Classification Report Account Classification Fund 070 - Police Pension EXPENSE Pension Benefits Contractual Services Insurance Commodities & Supplies Other Expenditures Office Equipment Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTC 3,847,666.00 100 3,847,666.00 318,061.46 .00 956,212.02 2,891,453.98 25 907,152.97 121,250.00 .00 121,250.00 1,121.63 .00 3,025.39 118,224.61 2 11,442.25 12,000.00 .00 12,000.00 .00 .00 .00 12,000.00 0 .00 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 12,000.00 .00 12,000.00 .00 .00 520.00 11,480.00 4 902.12 .00 .00 .00 .00 .00 . 00 .00 + ++ .00 EXPENSE TOTALS $3,993,416.00 $0.00 $3,993,416.00 $319,18 $ 0.00 $959,757.41 $3,033,658.59 24% $919,497.34 Fund 070 - Police Pension Fund Totals $3,993,416.00 ($0.00) $3,993,416.00 $319,183.09 ($0.00) $959,757.41 $3,033,658.59 $919,497.34 Expense Budget by Account Classification Report Account Classification Fund 071- Fire Pension Fund EXPENSE Pension Benefits Contractual Services Insurance Commodities & Suppiles Other Expenditures Through 03/31/13 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD 3,799,991.00 .00 3,799,991.00 320,336.48 .00 961,034.80 2,838,956.20 25 910,758.87 124,500.00 .00 124,500.00 19,787.36 .00 21,693.13 102,806.87 17 12,423.04 11,500.00 .00 11,500.00 .00 .00 .00 11,500.00 0 .00 1,000.00 .00 1,000.00 .00 .00 32.22 967.78 3 .00 12,000.00 .00 12,000.00 .00 .00 295.00 11,705.00 2 875.00 EXPENSE TOTALS $3,9 4 8,9 91.00 $0.00 $3,948,991.00 $340,123.84 $0.00 $983,055.15 $2,965,935.85 25% $924,056.91 Fund 071- Fire Pension Fund Totals $3,948,991.00 ($0.00) $3,948,991.00 $340,123.84 ($0.00) $983,055.15 $2,965,935.85 $924,056.91 Grand Totals $93,142,048.00 $5,870,302.00 $99,012,350.00 $7,535,226.92 $3,550,304.75 $19,035,521.52 $76,426,523.73 $17,997,921.92 N U1 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount 001 General Fund A & 1 Sewer Service Triple basin cleaning at Village Hall $ 330.00 Equipment Maintenance and Repair 305.00 Cleaning of sewer triple basins at Fire Station 14 305.00 Cleaning of sewer triple basins at Police & Fire Building 305.00 Cleaning of sewer triple basins at Public Works 505.00 ACS State & Local Government Solutions Illinois State Disbursement Unit 3,379.60 ADT Security Services, Inc. Quarterly billing for fire alarm system monitoring at 10 S. Pine 90.00 Qtrly billing for fire alarm system monitoring at 1015. Maple 90.00 Qtrly billing fire alarm system monitoring @ 1591 S Algonquin Rd 90.00 Aladtec Inc. Web -based FD Personnel Management Subscription 2,495.00 Alexian Brothers Medical Center OSHA Required Review of Respirator Questionnaire 24.00 Amer Reprographics Co LIc Equipment Maintenance 62.00 Anderson Pest Solutions Payment for pest control training 120.00 Professional Services 48.00 Andres Medical Billing, Ltd. Ambulance Billing- March 2013 4,924.63 Aramark Uniform Services, Inc. Uniform cleaning and rental for all public works employees 108.89 Uniform cleaning and rental for all public works employees 111.54 Uniform rental and cleaning for all public works employees 112.87 ARC Disposal Company Debris Disposal 1,354.76 Armor Systems Corporation Commission - February, 2013 13.33 AT&T Service 2/16/13 - 4/15/13 1,533.23 Service 3/16/13 - 4/15/13 341.04 Bald Eagle Window Cleaning Equipment Maintenance and Repair 1,705.00 Bedco Mechanical Bi- monthly service to all HVAC units per the HVAC Maintenance Co 2,033.32 BMK Veterinary Associates Fees for stray dogs - February/March, 2013 301.10 Bonnell Industries Inc. Snow Plow Blades 304.00 Bright Electrical Supply Co. Maintenance and repair supplies 121.50 Maintenance and repair supplies 165.69 Maintenance and repair supplies 398.40 Busse's Flowers & Gifts Kathy Janonis 60.00 Capital One National Association Costco Purchase 2/26/13 - 3/22/13 709.97 Case Lots, Inc. Custodial Supplies 250.80 Maintenance and repair supplies 372.00 Custodial supplies used at all buildings 1,982.35 CDW Government, Inc. Equipment maintenance supplies 25.28 MS Access for PW 122.77 Add'I Websense Lics 537.50 Office Supplies 52.00 Office Supplies 37.66 Central Service Center Equipment maintenance: radar repair 118.30 Equipment maintenance: radar repair 114.30 Equipment maintenance: radar repair 154.45 Equipment maintenance: radar repair 123.25 Century Cleaners Uniform Cleaning 6.73 Uniform Cleaning 6.68 Uniform Cleaning 11.18 Uniform Cleaning 20.13 Uniform Cleaning 7.18 Uniform Cleaning 18.63 Uniform Cleaning 16.40 Uniform Cleaning 26.70 Uniform Cleaning 32.53 Uniform Cleaning 14.90 Uniform Cleaning 22.25 Chem -wise Ecological Pest Mgmt Inc Equipment Maintenance and Repair 215.00 Pest control applied at Public Works 185.01 Equipment Maintenance and Repair 185.01 Chicago Comm. Service, Inc. Radio maintenance - May, 2013 641.10 Chicago Metro Chapter Apwa Meeting Expense 60.00 Chicago Office Technology Group Color Copier Overage 09/12 -12/12 43.05 Overage Usage 06/12 -12/12 1,357.19 Child Care Resource and Referral Network Course registration for C. Huizar 25.00 Clark, Sandra M. Meeting Expenses 65.00 Clifford -Wald & Co., Inc. -A KIP Company Engineering Supplies 181.20 Commonwealth Edison Electrical Service Delivery 25.78 Electrical Service Delivery 15.75 Electrical Service Delivery 25.78 Electrical Service Delivery 25.78 Crystal Maintenance Services Corp. Monthly bill for janitorial services at 10 buildings 6,657.01 D.1.'s Scuba Locker Quarry Dive Fees for Schmitt & Wnek (4/2/13 Dive Class) 60.00 Scuba Tank Rentals for Wnek & Schmitt (ERDI Class) 56.00 Page 1 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Dahm, Patricia Refund 2013 Spring Planting Program 150.00 De Lage Landen Financial Services, Inc. 3/1/13 - 3/31/13 Lease 1,311.00 4/1/13 - 4/31/13 Lease 1,311.00 Discount Media Products, LLC Disc Duplicator & Printer 1,925.00 Dreisilker Electric Motors, Inc. Maintenance and repair supplies 153.12 Eisen, Barry Safety Shoes Reimbursement 174.39 El Metennani, Maura Professional Services 3,120.00 Elgin Community College Fire Prev Principles Registration for L. Miller (3/18- 22/13) 275.00 ERC Wiping Products Inc. Drying towels for rigs 158.00 Eterno, David G. Legal 601.50 Everbank Commercial Finance, Inc. Copy Machine Usage 4/24/13 451.02 Experian Background checks - Feb /March, 2013 78.68 Federal Express Corp Fidelity 3/8;3/11;3/12;3 /13;3/14 45.70 Shipping Charges (1 Package to Sensit Technologies) 23.87 Fidelity 3/15;3/18;3/19;3 /20;3/21 47.76 Fidelity shipments 3/22;3/25;3/26;3 /27;3/28/13 33.10 Fire Pension Fund Fire Pension 21,335.46 Frank, Anthony Refund Overpayment Police Ticket # P3924002 50.00 Garelli Wong & Associates, Inc. Julie DeMaria wk. end 1/27/13 617.40 Julie DeMaria & Linda Fry wk. end 2/17/13 1,598.63 Julie DeMaria & Linda Fry wk. ending 3/17/13 1,659.27 Garvey's Office Products Office Supplies 129.52 GE Capital Period 3/15/13 - 4/14/13 853.11 Gliner, Joseph Reimburse training expenses 24.00 Grainger Inc. Equipment Maintenance and Repair 30.65 Great Lakes Snow Systems, Inc. Monthly bill for 2013 Snow Removal Contract 6,625.00 Final monthly bill for snow removal 6,625.00 Guardian Emp. Dental Plan April 2013 8,749.68 Healy Asphalt Company,llc. Asphalt patching material used for street patching 1,021.44 Asphalt patching material used for street patching 1,041.92 Homer Tree Care, Inc. Tree Removal 12,294.05 Tree Removal 608.00 Tree Removals 1,543.00 IACE Qtrly. Mtg. Registration - Garcia, Scherbaum, Hernandez, Panek 140.00 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 17,364.28 ILEETA Conference registration & membership: J. Garris 407.00 Illinois American Water Company Private Fire Service April 12013 33.84 Illinois Department of Revenue IL State Withholding 34,931.55 Illinois Fire Chiefs Educ. & Research Foundation IFCA Annual Symposium Reg. for J. Malcolm (May 22 -24, 2013) 125.00 IMRF IMRF 195,724.45 Industrial Systems, Ltd Liquid de -icer used for snow and ice control 3,916.00 Liquid de -icer used for snow and ice control 1,168.00 Internal Revenue Service Federal Withholding 162,734.58 International Association of Fire Chiefs FRI Registration for J. Malcolm (August 13 -17, 2013) 615.00 International Council of Shopping Centers Membership Dues - WJC 270.00 International Union of Operating Engineers IUOE PW Membership Dues 578.24 J and N Enterprises, Inc. Sensit Meter Repair 130.19 Jackson- hirsh,Inc. Office Supplies 125.88 Janonis, Michael E. YOTI trial prep 183.99 Jarquin, Carlos Lopez Refund Overpayment Police Ticket #C58357 5.00 Journal & Topics Newspapers Legal notice 144.48 Journal of Light Construction 1 Yr. Subscription 14.99 Kerstein, June Reimburse Food Expense March 2013 23.56 Kidd, Daniel Reissue Reimbursement AP Check #774211 80.00 Konica Minolta Business Solutions USA Inc Annual maintenance agreement for Records' microfilm reader 820.00 Kramer Tree Specialists Tree Trimming 3,920.00 Tree Trimming 9,324.00 L & B Business Services Inc. Maintenance and repair supplies 17.97 Lands' End Business Outfitters 2012 Invoice - Credit (23.50) Laner Muchin Legal 3,504.00 Lexisnexis Risk Data Management Inc. Background checks - March, 2013 107.00 Linda S. Pieczynski, Attorney At Law, P.C. Subscription renewal: Roll Call News 70.00 Lindco Equipment Sales, Inc. Plow blade hinges, bolts and nots for Flink plows 447.74 2753 Plow controller 1,343.91 Maev, Nevelina Refund Vehicle License Fee 36.00 Martam Construction Contractual Hauling 6,382.56 Mazursky, Shelby Printing Expenses 89.50 Printing Expense 195.00 McDonald's Corporation Prisoner meals - February, 2013 340.88 Menards Maintenance and repair supplies 34.98 Shelves for Investigations 55.98 Page 2 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Metro Federal Credit Union MP Fire Local 4119 Dues 2,278.82 Metropolitan Alliance - Police MP Police Association Dues 1,321.00 Metropolitan Fire Chiefs Assoc Spring Symposium Registration for D. Wisniewski (3/13/13) 60.00 Meyer Laboratory, Inc. Cleaning supplies to be used in all buildings 407.14 Michael Wagner & Sons, Inc. Maintenance and repair supplies 53.89 Michalik, Joel COL Reimbursement 30.00 Engineering Equipment 30.45 Microsystems Inc. Records Mgmt (Off -Site Storage of Incident Reports) 155.00 Mobile Print Inc. Kast pads 17.95 Note Sheets - Moder 17.94 Memo Pads - Nell 17.94 Office Supplies 33.56 Printing Expense 33.56 Business Cards - Moder 33.56 Nell cards 33.57 Moore Landscapes, Inc. Landscaping Maintenance 2,523.12 Morgan, Dean Safety Shoe Reimbursement 156.97 Morton Suggestion Co. CPU public relations supplies 469.00 Mount Prospect Paint, Inc. Maintenance and repair supplies 247.72 Maintenance and repair supplies 89.90 Mount Prospect Public Library Fiber Optic For Village Hall 1/6/13- 4/15/13 1,759.89 Fiber Optic For CC Center 1/16/13- 4/15/13 768.18 National Notary Assoc. Membership - Claire Wheatley 52.00 Nationwide Mutual Insurance Company Nationwide 457 (flat amount) 12,987.95 NCPERS Group Life Ins. IMRF Life Insurance 667.20 Neopost USA Inc. Postage Machine Replenishment 03/29 3,000.00 NICOR Natural Gas Consumption 423.42 Natural Gas Consumption 67.37 Natural Gas Consumption 82.01 Natural Gas Consumption 101.96 North East Multi Regional Trng Annual training membership 7,650.00 Course registration for S. Burrell 50.00 Northshore University Healthsystem Medical exam: J. Kanupke 96.00 Pre - employment physical: M. Witkowska 860.00 Northwest Central Dispatch System May 2013 - Member Assessment 55,401.84 Northwest Suburban United Way United Way 252.10 Overhead Garage Door, Inc. Repair Overhead Door 314.00 Pacific Telemanagement Services Service 4/1/13 - 4/30/13 78.00 Paddock Publications, Inc. Bid Notice 48.60 Petty Cash Petty Cash 132.75 Petty Cash - Public Works 129.21 Pitney Bowes E -Z Seal Solution for Folding/Stuffing Machine 71.99 Police Pension Fund Police Pension 29,512.15 Quill Corporation Office Supplies 26.96 Reliance Standard Life Insurance Co. Short Term Disability 597.72 Secretary of State H352208 - 526 - 2013 License Plate Sticker Renewal 101.00 6329272 - S32 - 2013 License Plate Sticker Renewal 101.00 Signs By Tomorrow Special Events Supplies 285.10 Sill, Gregory Reimburse expenses: Dry cleaning 60.00 Simmons, Brian Reimbursement for training 880.00 Southern WI Northern IL Fire Rescue Association Annual Membership (April 1, 2013 -April 30, 2014) 25.00 Standard Equipment Company 4504 Drain plug 56.46 State of Illinois Internet Service 1,175.00 Steiner Electric Company Street light supplies 247.12 Stephen A. Laser Assoc.,p.c. Pre - employment testing: M. Witkowska 550.00 T.P.I. Building Inspections 18,624.50 The Betty Mills Company, Inc. Floor Squeegees 226.02 The File Mart 2012 Expense - Tabs 83.58 The Ups Store Legal mailing 22.89 TLO, LLC Background checks - March, 2013 111.50 Traffic Control & Protection Inc Sign stock supplies to make new signs throughout the year 8,399.25 U.S. Bank Equipment Finance, Inc. Usage 4/16/2013 -1700 W Central Road 167.50 Copy Machines - Usage 4/20/13 1,362.28 Usage 4/22/13 -1601 West Golf Road 138.78 Page 3 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount University of Wisconsin System Course Fee - WMS 1,195.00 VCG Uniform Uniform supplies 164.80 Verizon Wireless Services LLC Verizon Wireless Feb 20 - Mar 19 6,388.35 Veterans of Foreign Wars Post 1337 Memorial Day Parade 1,100.00 Village of Mount Prospect Flex - Parking 9,201.18 Warehouse Direct Office Supplies 259.82 Office Supplies 232.90 Office Supplies 8.96 Office Supplies 477.44 Office Supplies 192.80 Office Supplies 75.41 Toner cartridge 170.56 Office Supplies 100.83 Office Supplies 49.46 Admin. office equipment 135.00 Office equipment 8.73 Office Supplies (75.01) Wisconsin Department of Revenue WI State Withholding 391.43 WISCTF Garnishment 542.48 Zaerzadeh, Ali White Cotton Gloves 206.35 001 General Fund Total $ 732,978.68 020 Capital Improvement Fund Business Office Systems, Inc. Building Improvements $ 310.05 Flooring Resources Corp. Building Improvements 2,076.47 Frostline, Inc. New Projector screens for Board Room 2,005.00 Northwest Central 9 -1 -1 System Motorola Subscriber Financing - April 2013 10,603.91 020 Capital Improvement Fund Total $ 14,995.43 022 Downtown Redevelopment Construction Fund Moore Landscapes, Inc. Landscaping Maintenance $ 6,261.08 022 Downtown Redevelopment Construction Fund Total $ 6,261.08 023 Street Improvement Construction Fund Illinois State Treasurer Traffic Improvements $ 9,107.68 023 Street Improvement Construction Fund Total $ 9,107.68 024 Flood Control Construction Fund Constellation NewEnergy, Inc. Electrical Service Delivery $ 116.01 Electrical Service Delivery 50.78 024 Flood Control Construction Fund Total $ 166.79 040 Refuse Disposal Fund AT&T Service 2/16/13 - 4/15/13 $ 8.53 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 17.57 Illinois Department of Revenue IL State Withholding 374.78 IMRF IMRF 3,428.81 Internal Revenue Service Federal Withholding 2,499.00 International Union of Operating Engineers IUOE PW Membership Dues 61.98 Nationwide Mutual Insurance Company Nationwide 457 (flat amount) 44.99 NCPERS Group Life Ins. IMRF Life Insurance 8.00 Northwest Suburban United Way United Way 3.85 Reliance Standard Life Insurance Co. Short Term Disability 23.66 Village of Mount Prospect Flex - Parking 34.16 040 Refuse Disposal Fund Total $ 6,505.33 041 Motor Fuel Tax Fund Commonwealth Edison Electrical Service Delivery $ 45.56 Constellation NewEnergy, Inc. Electrical Service Delivery 2,622.52 Vehicle Maintenance Supplies 96.38 Electrical Service Delivery 132.88 Electrical Service Delivery 37.99 Electrical Service Delivery 189.20 Electrical Service Delivery 78.10 Electrical Service Delivery 86.86 Electrical Service Delivery 121.41 Electrical Service Delivery 131.81 Electrical Service Delivery 280.41 Electrical Service Delivery 145.20 Electrical Service Delivery 137.14 Electrical Service Delivery 157.71 Page 4 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Industrial Systems, Ltd Liquid de -icer used for snow and ice control 790.00 Morton Salt, Inc Road salt for snow and ice control 1,196.67 Road salt used for snow and ice control 13,034.16 041 Motor Fuel Tax Fund Total $ 19,284.00 042 Community Development Block Grant GE Capital Period 3/15/13 - 4/14/13 $ 213.27 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 112.51 Illinois Department of Revenue IL State Withholding 65.63 IMRF IMRF 553.30 Internal Revenue Service Federal Withholding 423.92 Reliance Standard Life Insurance Co. Short Term Disability 34.76 Saewert, Janet CDBG CAPER printing expense 186.18 Village of Mount Prospect Flex - Parking 56.25 042 Community Development Block Grant Total $ 1,645.82 050 Water and Sewer Fund Addison Building Material Co. Supply Maintenance and Repair $ 37.21 Supply Maintenance and Repair 54.42 Supply Maintenance and Repair 117.99 Supply Maintenance and Repair (51.09) American Building Services Equipment Maintenance 841.50 American Water Works Assoc. Equipment maintenance supplies 317.00 Training Supplies 368.00 American Waterworks Assoc. Training Expense 200.00 Training Expense 50.00 Aramark Uniform Services, Inc. Uniform cleaning and rental for all public works employees 108.90 Uniform cleaning and rental for all public works employees 111.55 Uniform rental and cleaning for all public works employees 112.87 AT&T Service 2/16/13 - 4/15/13 569.36 Breitzman, lames Cellular Telephone Supplies 127.51 Burns & Mcdonnell Engineering Co. Sewer Contractual Services 4,446.00 Century Cleaners Uniform Cleaning 6.72 Uniform Cleaning 6.67 Uniform Cleaning 11.17 Uniform Cleaning 20.12 Uniform Cleaning 7.17 Uniform Cleaning 18.62 Uniform Cleaning 16.40 Uniform Cleaning 26.70 Uniform Cleaning 32.52 Uniform Cleaning 14.90 Uniform Cleaning 22.25 Edward Graham Utility Refund -18 N Lancaster St 2.20 Errol Oztekin Utility Refund -108 N Kenilworth Ave 137.67 Federal Express Corp Shipping Charges 56.29 Fed'I Home Loan Mort Corp Utility Refund - 925 Country Ln 1.80 Fed'I Home Loan Mortgage Utility Refund - 311 Eastwood Ave 19.46 Garvey's Office Products Office Supplies 129.52 HBK Water Meter Service Water Meter and Building Inspection Services 131.00 Water Meter and Building Inspection Services 131.00 Water Meter and Building Inspection Services 167.00 Water Meter and Building Inspection Services 131.00 Water Meter and Building Inspection Services 131.00 Water Meter and Building Inspection Services 123.00 Water Meter and Building Inspection Services 165.00 Water Meter and Building Inspection Services 131.00 Water Meter and Building Inspection Services 131.00 Highway Technologies, Inc. Purchase of emergency barricades with lights 1,124.50 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 1,202.71 Illinois Department of Revenue IL State Withholding 2,910.21 IMRF IMRF 26,507.73 Internal Revenue Service Federal Withholding 17,913.06 International Union of Operating Engineers IUOE PW Membership Dues 493.36 J.F. New & Associates, Inc. Professional Services 1,695.00 Jennie Dornseifer Utility Refund -1436 Picadilly Cir 43.39 Jjs Global Ventures Inc Equipment Maintenance and Repair 126.45 Lands' End Business Outfitters Replacement Shirts for PW Staff 763.75 Lee Jensen Sales Co. Inc. Repair Maintenance Supplies 1,885.00 Lindco Equipment Sales, Inc. Plow blade hinges, bolts and nots for Flink plows 465.26 Martam Construction Contractual Hauling 2,279.98 Metrics AMI Consulting Group, Inc. Professional Services 2,000.00 Microsystems Inc. Records Management 6,322.22 Moore Landscapes, Inc. Landscaping Maintenance 560.69 Page 5 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Nationwide Mutual Insurance Company Nationwide 457 (flat amount) American Messaging 358.89 NCPERS Group Life Ins. IMRF Life Insurance 526 Mirror cover 57.60 NICOR Natural Gas Consumption 10.86 122.20 Vehicle Maintenance Supplies Natural Gas Consumption 105.72 22.86 Natural Gas Consumption Equipment Maintenance and Repair 209.56 Northwest Suburban United Way United Way 323.00 8.00 Paddock Publications, Inc. Bid Notice Atlas Bobcat Inc. 89.10 Reliance Standard Life Insurance Co. Short Term Disability Equipment Maintenance and Repair 16.52 Salvatore Bartolini Utility Refund - 1406 Linneman Rd 8.00 Sarah Olszewski Utility Refund - 117 Stevenson Ln 5.33 Steve Tziforos Utility Refund - 218 S Wille St 60.25 Steve Welter Utility Refund - 503 N Main St 42.52 Suburban Laboratories, Inc. Annual IEPA- Required Water Sample Testing 153.50 Annual IEPA- Required Water Sample Testing 108.50 Third Millennium Assoc.inc. March 2013 Utility Billing 2,383.23 March 2013 Utility Billing (Refuse Only) 786.15 U.S. Bank Equipment Finance, Inc. Usage 4/16/2013 -1700 W Central Road 167.50 Copy Machines - Usage 4/20/13 137.50 Verizon Wireless Services LLC Verizon Wireless Feb 20 - Mar 19 579.57 Village of Mount Prospect Flex - Parking 633.77 Warehouse Direct Office Supplies 477.44 Ziebell Water Service Products Hydrant Maintenance and Repair 54.00 Repair Maintenance Supplies 975.00 050 Water and Sewer Fund Total $ 83,015.56 051 Village Parking System Fund Chem -wise Ecological Pest Mgmt Inc Pest control applied at Public Works $ 29.99 Equipment Maintenance and Repair 29.99 Crystal Maintenance Services Corp. Monthly bill for janitorial services at 10 buildings 1,844.16 Illinois Department of Revenue IL State Withholding 29.50 IMRF IMRF 314.27 Internal Revenue Service Federal Withholding 182.49 International Union of Operating Engineers IUOE PW Membership Dues 9.92 Nationwide Mutual Insurance Company Nationwide 457 (flat amount) 21.95 NCPERS Group Life Ins. IMRF Life Insurance 1.92 Village of Mount Prospect Flex - Parking 13.50 051 Village Parking System Fund Total $ 2,477.69 052 Parking System Revenue Fund Constellation NewEnergy, Inc. Electrical Service Delivery $ 235.97 Electrical Service Delivery 105.44 Crystal Maintenance Services Corp. Monthly bill for janitorial services at 30 buildings 263.83 Illinois Department of Revenue IL State Withholding 54.94 IMRF IMRF 558.22 Internal Revenue Service Federal Withholding 327.74 International Union of Operating Engineers IUOE PW Membership Dues 6.61 Nationwide Mutual Insurance Company Nationwide 457 (flat amount) 14.67 NCPERS Group Life Ins. IMRF Life Insurance 1.28 NICOR Natural Gas Consumption 250.22 Union Pacific Railroad Add'I Land Lease for Dec. 2012 181.82 February Land Lease 3,015.38 Village of Mount Prospect Flex - Parking 61.10 052 Parking System Revenue Fund Total $ 5,077.22 060 Vehicle Maintenance Fund Acme Truck Brake & Supply Co. Vehicle Maintenance Supplies $ 34.70 American Messaging Pager rental 69.81 Arlington Heights Ford 526 Mirror cover 12.98 P -5 trim plate 10.86 Vehicle Maintenance Supplies (12.98) Amb rear axle gaskets 22.86 Equipment Maintenance and Repair 49.71 Arlington Power Equipment Vehicle Maintenance Supplies 323.00 AT & T Service 2/16/13 - 4/15/13 21.33 Atlas Bobcat Inc. Vehicle Maintenance Supplies 117.52 Bridgestone Retail Operations, LLC. Equipment Maintenance and Repair 66.00 Page 6 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Chicago International Truck 4513 Turn signal switch 105.53 Turn signal switch 102.53 Fuel Filters 29.96 4512 Turn signal lights 108.54 544 air compressor 350.84 4512 air seat valve 69.39 4512 air valve 31.41 4522 fuel and oil filters 47.69 Vehicle Maintenance Supplies (465.50) Chicago Parts & Sound Llc Vehicle Maintenance Supplies (144.00) 3 Squad batteries 291.48 Squad headlight connectors 38.32 Squad brake rotors and pads 230.94 P -1 window motor 131.83 Fleetpride, Inc. Vehicle Maintenance Supplies 39.50 Foster Coach Sales Inc. 526 Drivers mirror panel 88.15 Garvey's Office Products Office Supplies 111.18 Getz Fire Equipment Co. Vehicle Maintenance Supplies 499.20 Global Emergency Products 530 passenger mirror 136.45 530 Rear marker light 67.09 515 Latch 42.40 518 Replace both steering gear boxes with new ones 5,358.00 Equipment Maintenance and Repair 87.24 Grossinger Chevrolet P -42 coolant hoses 31.88 ICMA Retirement Trust -457 ICMA 457 (flat percent) 523.58 Illinois Department of Revenue IL State Withholding 1,536.32 IMRF IMRF 13,475.63 Inland Power Group Inc. Vehicle Maintenance Supplies (16.13) Allison OEM transmission filters 327.32 Internal Revenue Service Federal Withholding 9,260.25 International Union of Operating Engineers IUOE PW Membership Dues 261.22 Interstate Battery Truck Batteries 423.80 Just Tires Vehicle Maintenance Supplies 223.00 Vehicle Maintenance Supplies 97.92 Leach Enterprises, Inc. Vehicle Maintenance Supplies 185.70 Vehicle Maintenance Supplies 171.70 Lindco Equipment Sales, Inc. Vehicle Maintenance Supplies 328.75 Vehicle Maintenance Supplies 345.78 Lund Industries, Inc. Vehicle Maintenance Supplies 256.00 Vehicle Maintenance Supplies 192.00 Vehicle Maintenance Supplies 155.36 Vehicle Maintenance Supplies 155.36 Mazursky, Shelby Vehicle Maintenance Supplies 420.00 Mcmaster -carr Supply Co. Sandblaster Media 71.46 Morton Grove Automotive Fire Safety Trailer - Rebuild jack motor 125.00 Police alternator rebuild 185.00 Napa- Heights Automotive Supply Vehicle Maintenance Supplies 207.48 Vehicle Maintenance Supplies (207.48) 526 wiper blades 33.08 Oil filters 12.48 Fuel Filters 21.24 Fuel Filters 21.24 2720 Door shocks 120.13 2720 Door support 29.88 Amb axle seals 90.68 Nationwide Mutual Insurance Company Nationwide 457 (flat amount) 70.00 NCPERS Group Life Ins. IMRF Life Insurance 48.00 Northwest Suburban United Way United Way 3.85 Pomp's Tire Service, Inc. Vehicle Maintenance Supplies 643.51 4516 tire repair 142.00 Vehicle Maintenance Supplies 294.88 Prairie International Truck Sales OEM Oil and fuel filters 368.40 OEM oil filters 221.92 OEM fuel filters and gaskets 161.03 Page 7 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Precision Service & Parts Amb brake pads 57.73 P -5 front brake pads 59.95 1 -30 brake pads and rotors 342.73 1 -30 and stock -brake pads and rotors 207.55 2707 Rear wiper motor 177.37 Squad brake pads and rotors 241.40 Vehicle Maintenance Supplies (3S.00) P -1 window motor 102.27 Oil filters and brake pads 158.44 2749 Headlight switch 97.30 T -39 belt tensioner 37.75 T -39 AC condenser 251.53 T -39 seal kit 41.60 Quill Corporation Office Supplies 107.82 R.A. Adams Enterprises Vehicle Maintenance Supplies 39.40 Runnion Equipment Co 4558 annual OSHA inspection and repairs needed 1,251.18 Terrace Supply Company Torch and welding gas 263.14 Vehicle Maintenance Supplies 39.15 Vehicle Maintenance Supplies 463.23 Vehicle Maintenance Supplies 122.65 The Standard Companies Vehicle Maintenance Supplies 382.10 Vehicle Maintenance Program Inc. Vehicle Maintenance Supplies 272.50 Vehicle Service Profits, LLC Vehicle Gas 188.26 Verizon Wireless Services LLC Verizon Wireless Feb 20 - Mar 19 348.61 Village of Mount Prospect Flex - Parking 271.67 Warehouse Direct Office Supplies 238.72 West Side Tractor Sales Loader bucket skid shoes 499.17 Williams, Harvey Vehicle Maintenance Supplies 38.78 Winter Equipment Company Inc Vehicle Maintenance Supplies 369.52 060 Vehicle Maintenance Fund Total $ 45,729.70 061 Vehicle Replacement Fund Bonnell Industries Inc. Equipment Public Works Vehicles $ 345.00 Liebovich Bros, Inc. Equipment for Public Works Vehicles 486.14 Ziebart Equipment for Public Works Vehicles 450.00 061 Vehicle Replacement Fund Total $ 1,281.14 063 Risk Management Fund International Union of Operating Engineers PW Insurance - June 2013 $ 42,750.00 The Cima Companies, Inc. Volunteer Insurance Renewal 7/1/13 - 7/1/14 2,245.00 063 Risk Management Fund Total $ 44,995.00 070 Police Pension Fund Reimer & Karlson LLC Quarterly Retainer Fee April -June 2013 $ 750.00 William C. Malik, M.d. Medical Examinations - Joseph Favia 650.00 070 Police Pension Fund Total $ 1,400.00 071 Fire Pension Fund Werderitch, Randall C. 2013 15t Quarter Admin Assistance Fee $ 300.00 071 Fire Pension Fund Total $ 300.00 073 Escrow Deposit Fund Adams Roofing Refund Escrow Permit # 12 -1927 $ 125.00 American Deck Builders Inc Refund Escrow Permit # 12 -2203 125.00 Bradford and Kent Builders Refund Escrow Permit # 12 -2004 150.00 Caldrone, Robert F Refund Escrow Permit # 13 -0226 125.00 Capps Plumbing and Sewer Inc Refund Escrow Permit # 12 -1924 75.00 Refund Escrow Permit # 13 -0216 12S.00 Refund Escrow Permit # 13 -0287 125.00 Refund Escrow Permit # 13 -0304 125.00 Chicagoland Total Basement Finishing Refund Escrow Permit # 12 -0313 100.00 Chitulescu, Constantin Refund Escrow Permit # 12 -2211 125.00 Clover Signs Refund Escrow Permit # 13 -0045 125.00 Dower, John L Refund Escrow Permit # 12 -2244 125.00 Doyle Signs Inc Refund Escrow Permit # 12 -2271 125.00 Dreammaker Bath & Kitchen Refund Escrow Permit# 13 -0043 250.00 Fernandez, Jorge Refund Escrow Permit # 13 -0310 125.00 Feze Roofing Refund Escrow Permit # 12 -0094 125.00 Flush Sewer & Drainage Refund Escrow Permit # 13 -0194 125.00 Fricke, Mark Refund Escrow Permit # 12 -0403 200.00 Friestedt, Julie L Refund Escrow Permit # 13 -0180 125.00 Great Degrees Refund Escrow Permit # 13 -0217 125.00 Guigova, Dessislava Refund Escrow Permit # 13 -0168 125.00 Harney, Roger James Refund Escrow Permit # 13 -0227 125.00 Page 8 of 9 VILLAGE OF MOUNT PROSPECT List of Bills March 28 - April 10, 2013 Fund Vendor Name Invoice Description Amount Hofert, Daniel C Refund Escrow Permit # 11 -2203 75.00 Hyundai Plumbing Refund Escrow Permit # 13 -0224 75.00 Ibbotson Heating Company Refund Escrow Permit # 13 -0178 125.00 IC Signs & Graphics Refund Escrow Permit # 12 -1805 125.00 Illinois State Police Seized Assets I.S.P #122053 4,460.00 Insurance Services Construction Inc Refund Escrow Permit # 11 -1468 250.00 K & D Market Leaders Refund Escrow Permit # 12 -0704 175.00 Larson, John Refund Escrow Permit # 13 -0230 125.00 Michael's Roofing & Exteriors LLC Refund Escrow Permit # 12 -0294 125.00 Miro, Douglas Refund Escrow Permit # 13 -0297 125.00 Mr Mighty Electric Refund Escrow Permit # 11 -1239 75.00 Mugnaini, John Refund Escrow Permit # 13 -0239 125.00 North Shore Electric Inc Refund Escrow Permit # 13 -0242 75.00 Rays Heating & A/C Refund Escrow Permit # 13 -0295 125.00 Regal Roofing Service Refund Escrow Permit # 13 -0221 125.00 Refund Escrow Permit # 13 -0271 125.00 Ro Pro Electric Inc Refund Escrow Permit # 12 -0221 125.00 SB Signs & Apparel Refund Escrow Permit # 13 -0002 125.00 Solar Services Inc Refund Escrow Permit # 12 -0243 150.00 Splinter, Brian Refund Escrow Permit # 12 -0908 25.00 Starlight Home Improvement Inc Re -issue Refund Escrow Check #772008 125.00 The Home Depot Refund Escrow Permit # 12 -0142 125.00 The Sign Palace Inc Refund Escrow Permit # 12 -0631 125.00 Third District Circuit Court Bond Check 3/28/13 610.00 Bond Check 4/2/13 760.00 Bond Check 4/4/13 1,475.00 Bond Check 4/9/13 1,890.00 US Water Proofing Inc Refund Escrow Permit # 12 -0291 125.00 Village Sewer & Plumbing Refund Escrow Permit # 13 -0252 125.00 Watertight Exteriors Refund Escrow Permit # 12 -0198 125.00 073 Escrow Deposit Fund Total $ 15,120.00 Grand Total $ 990,341.12 Page 9 of 9