HomeMy WebLinkAbout3. BILLS & FINANCIALS 6/19/07
VILLAGE OF MOUNT PROSPECT
CASH POSITION
June 01 - 13, 2007
Cash & Invstmt Receipts Disbursements Disbursements Cash & Invstmt
Balance 06/01/07 Per Attached Per Attached Balance
06/01/07 06/13/07 List of Bills List of Bills 06/13/07
General Fund 8,999,734 1,650,765 580,041 10,070,458
Soecial Revenue Funds
Refuse Disposal Fund 1,669,603 84,628 319,908 1,434,323
Motor Fuel Tax Fund 735,873 146,659 211,934 670,598
Local Law Enforcement Block Grant Fund 767 767
Community Development Blk Grant Fund 70,785 1,666 69,119
Asset Seizure Fund 79,812 500 79,312
DEA Shared Funds 50,160 50,160
DUI Fine Fund 38,929 1,682 520 40,091
Foreign Fire Tax Board Fund 52,906 52,906
Debt Service Funds 1,693,162 111,292 118,404 1,686,050
Caoital Proiects Funds
Capital Improvement Fund 802,008 6,579 9,864 798,723
Downtown Redevelopment Const Fund 1,997,001 1,203 1,995,798
Street Improvement Construction Fund 1,755,279 114,216 9,490 1,860,005
Flood Control Construction Fund 640,099 1,000 639,099
Enterorise Funds
Water & Sewer Fund 4,584,538 331,074 408,737 4,506,875
Village Parking System Fund 80,368 4,180 92 84,456
Parking System Revenue Fund (13,906) 3,455 402 (10,853)
Internal Service Funds
Vehicle Maintenance Fund 466,218 7,735 458,483
Vehicle Replacement Fund 6,418,161 51 ,362 6,366,799
Computer Replacement Fund 753,198 753,198
Risk Management Fund 2,658,015 27,563 426,834 2,258,744
Trust & Aaency Funds
Police Pension Fund 40,627,616 29,513 5,033 40,652,096
Fire Pension Fund 40,559,050 25,011 3,267 40,580,794
Flexcomp Trust Fund 23,233 10,653 19,173 14,713
Escrow Deposit Fund 1,622,438 211,386 13,254 22,400 1,798,170
116,365,047 2,758,656 2,190,419 22,400 116,910,884
TOTAL DISBURSEMENTS PER ATTACHED LISTS OF BILLS
2,212,819
REPORT: A~BOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
001
09656 ACCURINT - ACCOUNTI1037332 BACKGROUND CHECKS 65.35
01071 ADDISON BUILDING MATERIAL CO. HARDWARE & BUILDING SUPPLIES 62.25
HARDWARE & BUILDING SUPPLIES 73.43
HARDWARE & BUILDING SUPPLIES 15.29
HARDWARE & BUILDING SUPPLIES 15.54
HARDWARE & BUILDING SUPPLIES 167.23
-------------
333.74
05205 AIRGAS NORTH CENTRAL OXYGEN RENTAL 131.11
08573 ALAN O.AMOS & ASSOC., P.C. REAL ESTATE TAX VOID 330.00
09619 ALANIZ LANDSCAPING GROUP SPRING 2007 TREE PRANTING 9405.00
SPRING 2007 TREE PRANTING 4264.00
--------- ----
13669.00
01335 ALEXIAN BROTHERS CORPORATE HEALTH SERVI CES PRE - EMPLOYMENT HEALTH SCREENIN 228.00
PRE - EMPLOYMENT HEALTH SCREENIN 272.00
PRE-EMPLOYMENT DT/PHYSICALS 532.00
INV#232257 PRE-EMPLOY PHYSICAL 228.00
-------------
1260.00
10170 AMERA-CHEM, INC. DRUG IDENTIFICATION BIBLE 41.95
01620 AMERICAN LANDSCAPING INC. RETAINING WALL REPAIRS 300.00
CUT LAWN & SPRAYED WEEDS 357.00
-------------
657.00
08824 AMERICAN NATIONAL SKYLINE, INC. ANNUAL WINDOW CLEANING CONTRAC 1285.00
09544 ANDRES MEDICAL BILLING,LTD AMBULANCE COLLECT I ON FEES 5688.73
08911 APPLIED CONTROLS, INC. SERVI CE AND MAINTENANCE AGREEM 1980.00
02001 ARAMARK UNI FORM SERVI CES , INC. OPEN PURCHASE ORDER/ Uniform 52.96
02070 ARLINGTON HEIGHTS FORD DEDUCTIBLE FOR REPAIR #503 100.00
REPAIR KIT 10.68
..-......._-------
11 D.6 8
01124 ARTHUR CLESEN, INC. 6 - 27" ALUMINUM HANDLES 218.19
6 - 47" WOODEN HANDLES 226.50
---...---....-....-
444.69
09252 ASSOCIATED BAG COMPANY ET SUPPLIES 204.49
02270 AT&T SERVICE 18.00
SERVICE 60.01
REPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
PAGE
DEPT VENDOR NBR
.... - -.. --......" --.......... --.................................................. --............ --.......................... --.......... --........-.. --.......................... ---.......... --............................ --..............
AMOUNT
VENDOR NAME
INVOICE DESCRIPTION
.......... ---...... --.................................................... --.......... --...................................................................... --.......................................................................... --.. --........
02270
05044
01555
00435
10173
02823
08576
08573
10181
SERVICE
SERVICE
SERVICE
SERVICE
SERVI CE
SERVICE
SERVICE
SERVICE
SERVI CE
SERVI CE
SERVICE
SERVI CE
SERVICE
SERVICE
SERVI CE
SERVICE
AT&T LONG DISTANCE
SERVICE
SERVICE
SERVICE
SERVI CE
SERVI CE
SERVI CE
SERVI CE
SERVI CE
SERVICE
SERVI CE
SERVI CE
SERVICE
SERVI CE
SERVI CE
SERVICE
SERVI CE
A VI S RENT A CAR SYSTEM
TAC UNIT LEASE-MAY 2007
B . HANEY & SONS, INC.
65 YARDS OF MULCH DELIVERED
FRT.
BEACH, JUSTIN
REIMBURSE EXPENSES
BEVERLY, CHRISTOPHER
REIMBURSEMENT
BILL'S POWER EQUIPMENT & REPAIR
REPAIR PARTS
BIO-TRON INC
ANNUAL PREVENTATIVE MAINT.
BOARINI. BARBARA & MATTHEW
REAL ESTATE TAX REBATE
BONDAR, MlHAIL
RE - INSPECTION REFUND
12.00
18.00
120.02
60.01
228.04
60.01
90.02
156.03
48.01
48.01
216.04
1218.23
1194.23
768.15
228.68
290.83
4834.32
0.29
0.98
0.20
0.29
1.96
0.98
3.72
0.98
1.47
2.54
0.78
0.78
3.52
19.85
19.46
12.51
70.31
769.99
815.00
40.00
855.00
20.00
119.3 5
23.70
300.00
1010.00
50.00
REPORT:AP~OARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
~ - - - - - -. - - - -- - - -.. -.. -.... -...... -.... - --...... -............ -.. -.............. - -...................... -.. - -.................. -.............. --.............................. --....................................................
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
............ --.............. --.................................................... --.............................................................................................................. -- --.... --..............................................
05339 BOUND TREE MEDICAL, LLC 1 Manniquin Case 175 .12
01014 CAnE INDUSTRIES CUSTODIAL SUPPLIES 2764.0 0
ADDITIONAL CHARGES 79.50
REPLACMENT RIBBED MATS - VARIO 182 9.2 5
ADDT I L RIBBED FLOOR MAT /FRT 298.75
-------------
4971.50
10175 CARDOZA, ADAM REIMBURSEMENT 91.79
01056 CENTRAL CONTINENTAL BAKERY CAKE AND COOKIES 117.63
05375 CENTURY CLEANERS UNI FORM CLEANING 267.77
01060 CENTURY TILE DEEP CLEANING CARPET FOAM 31.68
10187 CHICAGO'S NORTH SUBURBS CVB SNOW VISIONS LODGING EVENT 805.76
07281 CL GRAPHI CS, INC. INVI42938,42960 ,43019,43016 732 .00
03800 CLARK, SANDRA M. REIMBURSEMENT 37.42
08865 CLOSED CIRCUIT INNOVATIONS, INC. IVACS MAINTENANCE 427.00
01147 COMMONWEALTH EDISON MALES/SPECIAL EVENT LIGHTING 178.27
04543 CORPORATE EXPRESS OFFI CE SUPPLI ES 45.52
MISC. OFFICE SUPPLIES 220.70
--------..-..--
266.22
08573 DAGGETT, MARY B. REAL ESTATE TAX REBATE 548.00
10182 DASH MEDI CAL GLOVES DI SPOSABLE GLOVES 674.10
09758 DAVIS, LAURA REIMBURSE EXPENSES 120.00
09837 DISPLAYS2GO DPORTABLE TABLETOP DDISPLAY BO 518.00
FRT. 12.43
----- -------..
530.43
01287 DOOR SYSTEMS, INC. REPAIRS TO WEST DOOR - PUBLIC 2596.53
01828 EL METENNANI, MAURA REIMBURSEMENT 69.00
05843 ENH OMEGA PHYS I CALS 446.00
PHYSICAL R KADZIELAWSKI 487.00
-------------
933.00
08107 ERB, DAVID REIMBURSE TRAVEL & MEETINGS 326.00
01374 FAWLEY'S INC. HELMET SHIELDS ID TAGS 349.00
01377 FEDERAL EXPRESS CORP MOREL CASE 68.62
IEPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
. _ _ _ a _. _ _........ _................ _ _ __.... __.......................................................................... __................................................................................ __............ __ __........................
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
---.. ---.... -.. -------.. ----- ----- --- --- -----------.. --..- ---.. --.. ---- -----......... -.---- ---...... ---.---...... ------ ----- -..-..._..... ---- ---- --- ---- --_.....
FEDEX PICK UP 310.85
DELIVERY TO KTJ 19.70
... ----.. --- -.._-
399 .17
06311 FEDERAL SIGNAL-EMERG.PROD. SPEAKER W!O BRKT 123.55
01394 FIRE ENGINEERING SUBSCRIPTION 100.00
00102 FIRE PENSION FUND PAYROLL FOR - 060707 23390.72
05334 FIRST SECURITY SYSTEMS, INC. SERVICE TO STROBE CIRCUIT - 230.06
08573 FISHER, JAMES REAL ESTATE TAX REBATE 1080.00
10183 FORESIGHT RECONSTRUCTION, INC. PROFESS I ONAL SERVI CES 6301.01
01430 FORREST KEELING NURSERY ARBOR DAY SEEDLINGS (600 PCS) 405.12
01431 FOSTER COACH SALES INC. REPAIR PARTS FOR 1523 97.40
01461 GALL'S, INC. DISPOSABLE EMERGENCY BLANKETS 462.09
08154 GLOBAL EMERGENCY PRODUCTS ROCKER STYLE SWITCHES 231.84
05519 GRAPHIC ENTERPRISES K & E 3036 PLAN COPIER - 36.12
06420 GRAYBAR ELECTRIC CO. REPLACEMENT TRANSFORMERS AND 952.90
09205 HEALTH ENDEAVORS PRE- EMPLOYMENT WILEY, JEFFERY 802.00
09113 HEALY ASPHALT COMPANY,LLC. PATCHING AND PAVING SUPPLIES 644.94
08948 HEART PRINTING INC. CRIME FREE HOUSING BOOKS 689.40
CRIME FREE HOUSING BOOKS 594.50
CULVERS COUPONS FOR PHS 128.00
----......._-----
1411.90
01610 HOME DEPOT CREDIT SERVICES HARDWARE & BUILDING SUPPLIES 13.11
HARDWARE & BUILDING SUPPLIES 168.94
-.....---...------
182.05
09425 HSBC BUSINESS SOLUTIONS INV#39071 75.95
INV#025957 29.34
INV#010004 17.22
INV#001239, 008491, 039987 32.99
INV'001239, 008491, 039987 19.99
INVI001239, 008491, 039987 27.99
INV#14835!014678 47.51
INVI068090 16.31
-------------
267.30
00107 ICMA RETIREMENT TRUST - 457 PAYROLL FOR - 060707 19579.48
lEPORT: AP?OARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID ;
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEFT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
- ~ - - - - -. - - - - - - - - - - - - - - - - -. - ~...... -.. - -.. - - - - -.. -.. - -.. -- - - - -.. - - - - - - - - -.. -.. - - - - - - -.. -.. - - - - - -- --.. -...... -- -.. - - - - - - -.. - - -.. - -.... - - - - - -- - - - -...... -...... -..
10161 IDOA & ICPA 2007 TRAINING CONFERENCE REG I STER - ROSCOP & OLLECH 450.00
06690 ILLINOIS AMERICAN WATER CO. SERVICE AT 2000 KENSINGTON RD 211.32
07367 ILLINOIS CENTURY NETWORK INTERNET SERVICES 310.00
01671 ILLINOIS CPA SOCIETY DUES - CAROL WIDMER 255.00
00108 ILLINOIS DEPARTMENT OF REVENUE PAYROLL FOR - 060707 24568.15
01657 ILLINOIS LANDSCAPE CONTRACTORS ASSOC. CLT TRAINING SESSION FEE - MIC 35.00
01701 ILLINOIS PAPER CO. 40 CARTONS PAPER 1097.00
09898 ILLINOIS PUBLIC SAFETY AGENCY NETWORK PIMS CHARGE 1380.00
07763 ILLINOIS STATE CHAPTER SISTER CITIES STATE CHAPTER MEMBERSHIP 35.00
01122 ILLINOIS STATE DISBURSEMENT UNIT PAYROLL FOR - 060707 357.69
PAYROLL FOR - 060707 969.24
PAYROLL FOR - 060707 116.31
PAYROLL FOR - 060707 442.31
PAYROLL FOR . 060707 520.75
PAYROLL FOR - 060707 200.00
PAYROLL FOR - 060707 300.00
-------------
2906.30
01712 ILLINOIS STATE POLICE FINGERPRINGING (NEW HIRE) 44.00
07433 IMAGETEC L P STAPLES FOR COPIERS 325.50
07433 IMAGETEC LP ID#90133759827 275.00
ID #90133759828 356.00
ID#90133770128 356.00
ID# 90133770 131 ,90133770126 115.00
ID#90133770131,90133770126 275.00
MONTHLY LEASE PAYMENT FOR TOSH 236.00
ID #90133643910 320.35
COPIER LEASE PAYMENT FOR FEB-D 586.13
OPEN PURCHASE ORDER/ Copier Le 320.35
ID #90133627542 169.00
-------------
3008.83
09562 IMRF PAYROLL FOR . 060707 433.58
PAYROLL FOR . 060707 38410.71
PAYROLL FOR - 060707 18290.77
---- --..------
57135.06
01725 INLAND DIESEL, INC. REPAIR POWER PROBLEM #516 2651.07
07694 INTERNATIONAL CODE COUNCIL ASSOCIATE MEMBERSHIP 35.00
09832 INTERNATIONAL UNION OF OPERATING ENGINEERS PAYROLL FOR - 060707 776.17
PAYROLL FOR . 060707 242.55
REPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
PAGE
DEPT VENDOR NBR
- ~ - -. - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
AMOUNT
09563
00353
02408
10185
01794
09810
10123
01838
01872
08631
01897
01918
06479
01965
01990
05021
VENDOR. NAME
INVOICE DESCRIPTION
IRS
PAYROLL FOR - 060707
JANONIS, MICHAEL E.
LUNCH MEETING
LUNCH MEET ING
JOlIN E. REID AND ASSOCIATES
PRE-EMPLOYMENT TESTING
1 SPECIFIC APPLICANT/ElLEY J.
JUNIUS, MI CHAEL
REIMBURSEMENT
KALE UNIFORMS, INC.
UNIFORM SUPPLIES
BODY ARMOR
KARLSTEDT LANDSCAPE, INC.
REPLACEMENT SHRUBS
KLEICH, MARIA K.
REBATE FOR 5 SQUARES OF PUBLI C
KRAMER TREE SPECIALISTS
2007 TREE REMOVAL CONTRACT
LATTOF ARLINGTON HEIGHTS
REPAIR PARTS FOR APRIL & MAY
LECHNER AND SONS
2007 UNIFORM RENTAL AND CLEANI
2007 UNIFORM RENTAL AND CLEANI
LIFE ASSIST
Zoll EKG Paper, Yellow Blanket
LUNDSTROM'S NURSERY, INC.
LANDSCAPING MAINTENANCE THROOG
TURF MOWING AT VARIOUS LOCATIO
REPLACEMENT SHRUBS
M & B LANDSCAPING
REMOVE AND REPLACE RETAINING W
MARTAM CONSTRUCTION
CONTRACTUAL HAULING
CONTRACTUAL HAULING
CONTRACTUAL HAULING
MCMASTER-CARR SUPPLY CO.
CANTILEVER STORAGE RACK FOR
MENARDS
4' CHAIR GUIDES
MISC. HARDWARE SUPPLIES
1018.72
195728.04
37.26
86.08
123.34
175.00
175.00
350.00
108.75
123.00
1350.00
1473.00
1030.00
235.00
6755.00
811. 96
228.27
114.14
342.41
489.94
6690.56
4513.8 5
173 7.2 5
12941. 66
4462 . 50
980.00
408.05
50.00
1438.05
832.93
39.96
41.21
81.17
REPORT: A~BOARDRPT
GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
01996 MERCOMMBE I INC. CAT6 CABLE (3 SPOOLSl 169.39
CAT6 CABLE (3 SPOOLS 1 284.00
~...................... -
453.39
00116 METRO FEDERAL CREDIT UNION PAYROLL FOR - 060707 2310.00
00117 METROPOLITAN ALLIANCE - POLICE PAYROLL FOR - 060707 742.50
02046 MOBILE PRINT INC. Annual Inspections Forms 8 1/2 411.2 8
BUSINESS CARDS MORGAN & PERSIN 52.38
BUSINESS CARDS I MEMO PADS 78.57
----..... ..------
542.23
02058 MORTON GROVE AUTOMOTIVE 2 - ALTERNATOR REBUILDS mo 250.00
02067 MOUNT PROSPECT HISTORICAL SOC. BUDGET ALLOCATION FOR MAY 07 3333.33
2007 BUDGET ALLOCATION-JUNE 3333.33
-------------
6666.66
02135 NATIONAL SAFETY COUNCIL ANNUAL MEMBERSHIP FEE 285.00
00123 NATIONWIDE MUTUAL INSURANCE COMPANY PAYROLL FOR - 060707 17250.79
08566 NEVERS I REGINALD REFUND OVERPAYMENT 24.00
09783 NEWSCLIP NEWSCLIP SERVICE 137 . 00
02155 NEXTEL COMMUNI CATIONS ACCT#157600518 1161.84
ACCT#157600518 208.37
ACCT#157600518 774.86
ACCT#157600518 30.36
ACCT#157600518 239.90
ACCT#l57600518 1396.49
ACCT#157600518 120.00
ACCT#157600518 727.91
ACCT#157600518 221.49
ACCT#157600518 582 .26
ACCT#157600518 96.59
ACCT#157600518 466.53
ACCT#157600518 99.99
NEW PHONE#847-875-1419 29.07
-----.... -- ----
6155.66
08517 NI CHOLS I GREG REIMBURSEMENT 125.00
02170 NORTH EAST MULTI REGIONAL TRNG REGISTRATION 125.00
09168 NORTHCENTER CAMERA FILM PROCESSING 12.18
02182 NORTHERN ILLINOIS POLICE ALARM SYSTEM ANNUAL NIPAS MEETING 88.00
02189 NORTHWEST CENTRAL DISPATCH SYS SERVICES RENDERED 39390.57
\EPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE
VI LLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
. -. - - - -............................ - - -.. --.........................................-................................................................................................................................ --................................
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
....................... --.............. --...................................................................................................................... --...................................................... --....................................
SERVICES RENDERED 9847.60
-._----------
49238.17
10164 NORTHWEST SUBURBAN UNITED WAY COMMUNITY CELEBRATION 60.00
10163 ON TIME INC. UNIFORM EMBLEMS 582.85
08930 OTIS ELEVATOR COMPANY ELEVATOR MAINTENANCE AGREEMENT 2233.77
02256 PADDOCK PUBLICATIONS SUBSCRIPTION 49.50
10177 PANCRATZ I JOlIN REIMBURSEMENT 119.3 5
10176 PETRAS, JUSTINE REIMBURSEMENT 47.91
02301 PETTY CASH - FINANCE DEPT. MISCELLANEOUS 50.00
MISCELLANEOUS 46.90
MISCELLANEOUS 54.00
MISCELLANEOUS 23.22
MISCELLANEOUS 24.12
MISCELLANEOUS 7.91
MISCELLANEOUS 15.00
MISCELLANEOUS 32.00
MISCELLANEOUS 29.35
MI SCELLANEOUS 7.60
MISCELLANEOUS 25.00
MISCELLANEOUS 35.28
MISCELLANEOUS 149.47
-------------
499.85
00124 POLICE PENSION FUND PAYROLL FOR - 060707 26430.09
04921 POPE, ELIZABETH A. PAYROLL FOR - 060707 923.08
02358 PRO-SAFETY, INC 2 CASES - EARPLUGS 39.90
SLUSH BOOTS - VARIOUS SIZES 103.50
.. ..-----------
143.40
02536 PROFORMA CUSTOMIZED GRAPHICS OPEN HOUSE GIVE-HAYS 191.10
02399 REBEL'S TROPHIES I INC. NAMEPLATE FOR BOARD ROOM 235.48
RESOLUTION PLAQUE 50.00
--------- ----
285.48
09423 RONCO INDUSTRIAL SUPPLY I' X 10' AND l' X 8' WOV-N-WIR 280.00
02524 SEARS COMMERCIAL ONE TOOLS AND HARDWARE SUPPLIES 25.65
THERMOMETER W/LASER POINTER 66.24
.. ----.. ------..
91.89
02525 SECRETARY OF STATE TITLE AND PLATES 150.00
PLATE STICKER RENEWAL 78.00
REPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
09267 SECURE ECO SHRED SHREDDING
10165 SHERATON GREENSBORO HOTEL AT FOUR SEASONS LODGING FOR S. BURRELL
02559 SIRCHIE FINGER PRINT LABORATOR ET SUPPLIES
10179 SOLANKI, GIDION BUILDING REFUND-PERMIT 06-629
09165 STAPLES BUSINESS ADVANTAGE SUPPLI ES
PRINTER CARTRIDGES
SUPPLIES
02627
STEINER ELECTRIC COMPANY
REPLACEMENT BALASTS
09915
SUPER WAREHOUSE GOV
REPLACEMENT HP 5500DTN PRINTER
HIGH GLOSS PLOTTER PAPER #Q143
04532 TAYLOR RENTAL CENTER 12 STANTION WHITE LINE DIVIDER
02722 TRI -STATE ELECTRONIC CORP STREETLIGHT REPAIR SUPPLIES
06509 TRITON COLLEGE REGISTRATION FEE FOR JIM PICAR
05686 ULINE INC. ET SUPPLIES
00127 UNI TED WAY PAYROLL FOR - 060707
04025 UNIVERSITY OF ILLINOIS REGISTER A TEEVAN
00128 VILLAGE OF MOUNT PROSPECT PAYROLL FOR - 060707
04314 VILLAGE OF MOUNT PROSPECT - PAYROLL WIRES PAYROLL FOR - 060707
02814 VILLAREAL, JOEL REIMBURSEMENT
09893 VOLER CORPORATION CAR SEAT ORGANIZER
SHIPPING
02835
WAREHOUSE DIRECT
SUPPLIES
10178
WILLIAMS, JOAN
REBATE FOR 5 SQ OF PUBLIC WALK
05746
WISCTF
PAYROLL FOR - 060707
09315
WORKPLUS OCCUPATIONAL HEALTH - RHC
MICHAEL DEE/RYAN RIVARD
10171
ZINGER , DAVID
REIMBURSEMENT
PAGE
AMOUNT
228.00
357.75
351.80
196.01
25.00
258.58
28.50
190.23
477.31
574.72
487.00
342.00
829.00
123.20
30.00
350 .00
105.70
314.3 5
412 9.2 8
23915.69
2395.86
50.00
23.96
6.95
30.91
172.91
235.00
542.48
230.00
108.75
REPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39 RUN: THURSDAY JUN142007 15:26 PAGE 10
RELEASE I D :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
-.- - - ----.. ---- -- - -----.._-- -..- --..--- --.. -.. --- ---.. --.. ---- -- .--.-.. --.. -.......- --...---- -..- ------ --.. --.. -._-----.. -- --- -._----- .._--_...._--_........_-
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- --.. ----...... -----........ ---..-.. --.... -- --- --.. -.-........ -- --.... --- ---.... -- ..--- ---------- ----- ---.. -- -...... -- ---- ---- -------..--.... ---.._-_..-- ------ --..
TOTAL : 580040.51
l30
Olon ADDISON BUILDING MATERIAL CO. HARDWARE & BUILDING SUPPLIES 102.57
02016 ARC DISPOSAL C(XolPANY MAY COLLECTIONS 77254.96
MAY COLLECTIONS 13728.23
MAY COLLECTIONS 46164.54
MAY COLLECTIONS 31021. 23
MAY COLLECTIONS 5396.54
MAY COLLECTIONS 2323.19
MAY COLLECTIONS 37422.00
---...... ------..
213310.69
02270 AT&T SERVI CE 24.00
02270 AT&T LONG DISTANCE SERVI CE 0.39
02155 NEXTEL COMMUNICATIONS ACCTm7600518 92.12
02536 PROFORMA CUSTOMI ZED GRAPHI CS OPEN HOUSE GIVE-A-WAYS 39.84
09887 SCHAEFER SYSTEMS INTERNATIONAL, INC. RECYCLING CARTS 2205.00
09635 WELLS FARGO BANK TIPPING FEES 97667.78
FIXED COSTS 6465.94
-........-----....-
104133. n
TOTAL 319908.33
)50
02167 ARROW ROAD CONSTRUCTION 2007 STREET RESURFACING PROJEC 192833.49
10103 CIVILTECH ENGINEERING, INC. 2007 PEDESTRIAL SIGNAL IMPROVE 935.53
2007 PEDESTRIAL SIGNAL IMPROVE 13415.58
------..------
14351.11
01148 COMMONWEALTH EDI SON STREET & TRAFFIC LIGHTING 3749.87
05709 MEADE ELECTRI C CO. INC. 2007 TRAFFIC SIGNAL MAINTENANC 1000.00
TOTAL 211934.47
170
09573 SLOAN, CLARE TUITION REIMBURSEMENT 1666.00
TOTAL 1666.00
80
09425 HSBC BUSINESS SOLUTIONS INVN039987 499.98
TOTAL 499.98
86
EPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39 RUN: THURSDAY JUN142007 15:26 PAGE 11
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
- - - - - - -. - - - -. -.. - - - - -. - -. - - -. - - - - - - - - - - - - - - - - - --- - - - - - - - - - - - - - - - - - -.. - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - --- - - - - - - - - - - - - - - --
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
08049 KARA COMPANY INC. BATTERIES 520.00
TOTAL 520.00
80
06752 ILLINOIS EPA IEPA LOAN L17.1087 #5 42047.57
P & I DUE 6/3/07 16205.22
IEPA LOAN Ll7-0857 #1 46075.74
P & I DUE 6/10/07 14074.99
-------------
118403.52
TOTAL 118403.52
10
05007 LANDMARK FORD (11) 2007 FORD CROWN VICTORIA 7752.00
10156 MERIDIAN IT INC. INV#M4355- IN 750.00
06406 SRBL ARCHITECHTS, LTD. FACILITY STUDY 1211. 90
09028 ZIEBART TIDY CAR UNDERCOAT UNDERSIDE OF CAR 150.00
TOTAL 9863.90
50
09619 ALANIZ LANDSCAPING GROUP SPRING 2007 TREE PRANTING 600.00
09788 KARLSTEDT LANDSCAPE, INC. SUMMER, FALL AND WINTER URN 603.00
TOTAL 1203.00
50
02167 ARROW ROAD CONSTRUCTION CURB & GUTTER INSTALLATION 9490.00
TOTAL 9490.00
10
10180 HARDERS I STEPHEN & LORETTA FLOOD PREVENTION REBATE 1000.00
TOTAL 1000.00
lO
01071 ADDISON BUILDING MATERIAL CO. HARDWARE & BUILDING SUPPLIES 7.55
HARDWARE & BUILDING SUPPLIES 520.46
- - --- -- -_.- --
528.01
01335 ALEX IAN BROTHERS CORPORATE HEALTH SERVICES PRE-EMPLOYMENT HEALTH SCREENIN 272.00
01620 AMERICAN LANDSCAPING INC. PARKWAY RESTORATION AT VARIOUS 2508.91
PARKWAY RESTORATION AT VARIOUS 1420.14
- ---- --- -----
3929.05
02270 AT&T SERVICE 1622 .66
SERVICE 1602.29
IE PORT : APBOARDRPT GENERATED: 09 AUG 06 16:39 RUN: THURSDAY JUN142007 15:26 PAGE 12
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
.~ -. - -............. ----- -- -- ------- --..... -- -- ----.. - --.. ------.. -- --------------------..-.... --- --.. --.......... -- ---.. ---- ----- ---.. ---- -------- ----...... ---
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
...................................................... --.......................................................... .......-............ --...... -_........ --................................................................................... -- --...................
SERVI CE 300.29
-------- --......
3525.24
02270 AT&T LONG DISTANCE SERVICE 26.09
09852 BANK OF NEW YORK WATER 174498.00
POWER 9784.00
0& M 36460.00
FIXED 83355.00
-------------
304097.00
04572 BIGUS, BOB REIMBURSEMENT 10.00
06476 BURNS & MCDONNELL ENGINEERING DISINFECTION BIPRODUCTS PHASE 46363.92
DISINFECTION BIPPRODUCT 2167.92
-------------
48531.84
09682 CE DESIGN, LTD. PROFESSIONAL SERVICES FOR PROS 2581.43
05375 CENTURY CLEANERS UNIFORM CLEANING 267.76
05434 CORRPRO COMPANIES I INC. ANNUAL INSPECTION OF CATHODIC 2000.00
ADD r L CHARGE 70.00
----------- -.
2070.00
08319 CRESCENT ELECTRIC SUPPLY CO 80 OW HEATER - ELEVATED TANK 309.15
01283 DIXON ENGINEERING PROFESSIONAL SERVICES - TANK 2760.00
08567 DRAKONTAIDIS I ANTONI OS REFUND FINAL UTILITY BILL 50.61
01313 DUPAGE TOPSOI L INC. 3 LOADS OF PULVERIZED TOPSOIL 720.00
06045 EARTH INC. 2 - LOADS OF PULVERIZED TOPSOI 470.00
01323 EAST JORDAN IRONWORKS 6 - 2' MANHOLE ADJUSTING RINGS 660.00
08425 FARNSWORTH GROUP GENERATOR STUDY 8242.77
01377 FEDERAL EXPRESS CORP COURIER SERVICES 2007 162.13
08567 FINN, MARY REFUND FINAL UTILITY BILL 5.68
01522 GRAINGER INC. RECHARGEABLE BATTERIES AND CHA 232.92
01559 HANSEN INFORMATION TECHNOLOGY TRAVEL EXPENSES FOR GIS/GEO 4002.67
10174 HANSON, KRYSTAL REIMBURSEMENT 59.65
01544 HBK WATER METER SERVI CE 2007 CONTRACT FOR WATER METER 268.68
2007 CONTRACT FOR WATER METER 633.31
2007 CONTRACT FOR WATER METER 261.51
2007 CONTRACT FOR WATER METER 390.95
EPORT: Af'~OARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15: 26
RELEASE ID :
PAGE 13
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- - - - - -. - - - -- - - - - - - - - - - -. - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - --
2007 CONTRACT FOR WATER METER 921.53
2007 CONTRACT FOR WATER METER 380.52
.--- -._--- ---
2856.50
09883 lID WATERWORKS, LTD. 3 - 280359 MAIN VALVE REAIR KI 684.45
07433 IMAGETEC LP MONTHLY LEASE PAYMENT FOR TOSH 236.00
01819 KIEFT BROTHERS INC. MANHOLES RISERS 150.00
08631 LECHNER AND SONS 2007 UNIFORM RENTAL AND CLEANI 228.27
2007 UNIFORM RENTAL AND CLEANI 114.13
-------------
342.40
01918 LUNDSTROM I S NURSERY, INC. TURF MOWING AT VARIOUS LOCATIO 685.35
01965 MARTAM CONSTRUCTION CONTRACTUAL HAULING 1566.31
08567 MILLER, STEVEN REFUND FINAL UTILITY BILL 139.06
02155 NEXTEL COMMUNICATIONS ACCT#157600518 596.50
ACCT#157600518 34.00
------ -------
630.50
08567 NGUYEN, THANH V. REFUND FINAL UTILITY BILL 10.00
05256 NI COR SERVI CE 296.68
02358 PRO- SAFETY, INC SLUSH BOOTS - VARIOUS SIZES 103.50
02536 PROFORMA CUSTOMIZED GRAPHICS OPEN HOUSE GIVE. HAYS 148.68
OPEN HOUSE GIVE-HAYS 48.19
------- ------
196.87
09475 SHARP, LUKE REIMBURSEMENT 46.00
10172 SKOWERA, JEFF REIMBURSEMENT 80.24
07139 STRADA CONSTRUCTION CO. 2007 CONCRETE RESTORATION PROJ 16613.47
09915 SUPER WAREHOUSE GOV REPLACEMENT HP 5500DTN PRINTER 487.00
02839 WATER ENVIRONMENT FEDERATION ANNUAL MEMBERSHIP FEE - LUKE S 99.00
TOTAL 408737.33
!O
10184 DITANTO, TONY MR. REFUND METRA PARKING 52.00
10186 EVERS, DEBBIE REFUND METRA PARKING CARD MONI 30.00
02301 PETTY CASH - FINANCE DEPT. MISCELLANEOUS 10.00
REPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142001 15:26
RELEASE ID :
PAGE 14
VILLAGE OF MOUNT PROSPECf
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2001 TO JUNE 13 2007
- - - - - - -.. -.. -......... -.. --........................................................ --................................................... --..............................................................................................................
DEFT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
...................... --.................................... --.......................... --................................. -......................................................................... ---........................................................
TOTAL : 92.00
630
01147 COMMONWEALTH EDISON MALES/SPECIAL EVENT LIGHTING 300.31
05256 NI COR SERVI CE 101.25
TOTAL 401.56
560
01187 AETNA TRUCK PARTS GROTE LIGHTING MODULE 194.80
09676 AMERICAN MESSAGING PAGER MESSAGING SERVICE 53.53
02108 ARLINGTON POWER EQUI PMENT STIHL OIL FILTER CAP 6.30
02270 AT&T SERVICE 60.04
02270 AT&T LONG DISTANCE SERVI CE 0.98
06468 BP GASOLINE 58.03
03958 CHICAGO INTERNATIONAL TRUCK REPLACE FUEL INJECfION PUMP 3015.46
08705 GENUINE PARTS COMPANY -NAPA AUTOMOTIVE REPAIR PARTS 530.80
02486 JOlIN SAKASH COMPANY I INC. REPAIR ROPE 100.00
06691 JUST TIRES E RANGE TIRES & STATE TIRE FEE 493.36
GOODYEAR TIRES 263.56
-------------
756.92
01872 LATTOF ARLINGTON HEIGHTS PARTS & SERVICE 672.67
PARTS & SERVICE 14.83
------------ ..
687.50
02155 NEXTEL COMMUNICATIONS ACCT#157600518 385.92
07663 PRAIRIE INTERNATIONAL TRUCK SALES FUEL SHUT OFF SOLENOID 129.58
02424 REX RADIATOR & WELDING CO,INC. CLEAN INSIDE OF FUEL TANK 248.00
09423 RONCO INDUSTRIAL SUPPLY GRIT BORE POLISHER 166.05
02524 SEARS COMMERCIAL ONE TOOLS AND HARDWARE SUPPLI ES 46.08
08184 SNAP ON INDUSTR IAL SNAP ON SCANNER UPDATE 698.00
02581 SOLVENT SYSTEMS INT r L. INC. GREASE GATOR 200.00
02684 TERRACE SUPPLY COMPANY RENTAL OF WELDING CYLINDERS FO 14.40
HEL242 HELIUM CLINDERS 278.28
-------------
292.68
,EPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39 RUN: THURSDAY JUN142007 15:26 PAGE 15
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
. ~ ~ - - -- - - - -- - - - - - - - - - - -. - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
. - - - - __ __ - ____ __ ____ _________ - - w_ _ _ _ ____ _ _ _ ___ _ __ _w _ _ ____ ____________ __ ___ _____ ___ ____ ___ __ __ _ ________________ _ _ _ __ _ __ _ _._ _____ ____
02769 UPTOWN AUTO SUPPLY MOTORCRAFT WATER PUMP 68.19
02870 WHOLESALE DIRECT INC. FREIGHT CHARGE 36.60
TOTAL 7735.46
;70
04579 CUSTOM VEHICLE SYSTEMS, INC. INSTALL POLICE EMERGENCY LIGHT 1969.90
INSTALL POLICE EMERGENCY LIGHT 1412.40
---- - - -------
3382.30
05007 LANDMARK FORD (11) 2007 FORD CROWN VICTORIA 34884.00
01872 LATTOF ARLINGTON HEIGHTS PARTS & SERVICE 116.32
01914 LUND INDUSTRIES, INC. PUBLIC SAFETY LIGHT BAR 1756.00
07663 PRAIRIE INTERNATIONAL TRUCK SALES EXTENDED WARRANTY FOR NEW 2007 380.00
EXTENDED WARRANTY FOR NEW 2007 mo.oo
-- ----- ------
1560.00
02569 R.G. SMITH EQUIPMENT CO. F - 5 ROOT UNDERBODY 10 I SCRAPER 6274.00
F-5 ROOT UNDERBODY HYDRAULIC 1019.00
- ----- --- ----
7293.00
02870 WHOLESALE DIRECT INC. 6 - LL839J CODE 3 PSE 39' AMBE 2220.00
09028 ZIEBART TIDY CAR UNDERCOAT UNDERSIDE OF CAR 150.00
TOTAL 51361.62
90
10072 CANNON COCHRAN MANAGEMENT SERVlCES,INC. CLAIMS ADMIN -GENERAL DATA CONV 2250.00
CLAIMS ADMIN -GENERAL CLAIMS RU 14525.00
-------------
16775.00
01737 INTERGOVERNMENTAL PER. BEN. COOP INSURANCE FOR JUNE 36777 .28
INSURANCE FOR JUNE 119126.90
INSURANCE FOR JUNE 2162.99
INSURANCE FOR JUNE 250189.71
--------- - ---
408256.88
05024 JULIANO, JAMES REFUND OF MEDICAL PREMIUM 1286.83
08625 KALAPODIS, MR. REPLACEMENT OF MAl LBOX 125.00
02192 NORTHWEST COMMUNITY HOSPITAL EXPOSURE BLOOD TESTING 144.00
EXPOSURE BLOOD TESTING 121.00
-------------
265.00
10166 TZAVOS, WILLIAM REPLACEMENT OF MAILBOX 125.00
:EPORT: APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE 16
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
-.- ..--.-.. ..... --.. .----.-- ------- --.. -- -_.- - - --- - -----------.. ---- -- --- __a _________.... ______ ____ ______________ ________ ______ ___ ____.__
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
.. -- - --... -- ---- ----- ------- --- --- --- -- --- ---.. --- ___a ___ - __ __.. ___ ______________ _.___ ______ ___.. __.. ___ __________ ___.. ___.. __ ___.. __ ____ _..
TOTAL :
426833.71
10
01027 CAPITAL GAINS INC.
POLICE PENSION 1798 .63
WITHOLDING FOR REFUND OF CONTR 483.90
REFUND OF CONTRIBUTIONS 1935.58
POLl CE PENS I ON - BANK CHARGES 814.92
TOTAL 5033.03
FIRE PENSION 2336.58
FIRE PENSION-BANK CHARGES 930.74
TOTAL 3267.32
FLEX COMP 523.36
FLEX COMP 182.32
FLEX COMP 3157.49
FLEX COMP 522 .56
FLEX COMP 110 .00
FLEX COMP 145.90
FLEX COMP 139 .21
FLEX COMP 432.25
FLEX COMP 228.00
FLEX COMP 482.00
EMP . DENTAL PLAN 6211.05
FLEX COMP 272.88
FLEX COMP 99.98
FLEX COMP 100.00
FLEX COMP 116.12
FLEX COMP 416.66
FLEX COMP 338.92
FLEX COMP 2000.00
09563 IRS
09302 SIENKIEWICZ, ZACHARY
09635 WELLS FARGO BANK
20
01027 CAPITAL GAINS INC.
0963 5 WELLS FARGO BANK
70
02513 ABERNETHY, JANET T.
04203 ADDANTE, ANTHONY
00372 ANDLER, GLEN
02667 BEHUN, DAVID
10081 BRATU, CATHY
00308 CONNOLLY, JUDY
01219 DAHLBERG, JOlIN K.
00321 DRAFFONE, RICHARD
00330 FELTEN, BARBARA
01418 FLORY, JAMES M.
08178 GUARDIAN
08928 HERMANN, JAMES
00349 HOSKINSON I THOMAS
01625 HUEMANN I ANTHONY
01722 INGEBRIGTSEN I JAMES
10020 JAROG, LYNN
10087 JAROSZ I DOREEN
05117 KUHAR, JIM
REPORT~ APBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
PAGE 17
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
01908 LUBASH, DOUGLAS D.
02033 MILLER, DAVID L.
06040 REDLIN, RON
02450 ROELS, ROBERT J.
02473 RUMORE, CINDY JO
02508 SCHULTZ, WALTER
00429 SEMKIU, MI CHAEL J.
10090 SIWAK, FRANK
02631 STEPHENSON, MI CHAEL R.
02644 STRAHL, DAVID
02710 TRACY, RICHARD L.
10093 WIDMER, CAROL
02901 WULBECKER, JEFFREY A.
FLEX COMP 525.23
FLEX COMP 183.00
FLEX COMP 416.42
FLEX COMP 152.84
FLEX COMP 150.81
FLEX COMP 79.30
FLEX COMP 357.00
FLEX COMP 121.93
FLEX COMP 45.00
FLEX COMP 583.63
FLEX COMP 778 . 94
FLEX COMP 160.00
FLEX COMP 140.00
TOTAL 19172.80
OVERPAYMENT 5.00
OVERPAYMENT 10.00
OVERPAYMENT 5.00
OVERPAYMENT 5.00
PREMIUM FOR JUNE 684.00
BOND MONEY 1100.00
BOND MONEY 4200.00
BOND MONEY 4850.00
BOND MONEY 2395.00
-. -----------
12545.00
TOTAL 13254.00
GRAND TOTAL 2190418.54
790
08572 DAY AND NIGHT LIMOUSINE
08572 HOLODENKO, GERTRUD
08572 KROMELIS, VIRGINIJUS
08572 MAJERCZYK, PAULINA
01719 NCPERS GROUP LI FE
02689 THIRD DISTRICT CIRCUIT COURT
REPORT: I\PBOARDRPT GENERATED: 09 AUG 06 16:39
RUN: THURSDAY JUN142007 15:26
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JUNE 01 2007 TO JUNE 13 2007
SUMMAR Y BY FUND
001 GENERAL FUND 580040.51
030 REFUSE DISPOSAL FUND 319908.33
050 MOTOR FUEL TAX FUND 211934.47
070 COMMUNITY DEVELPMNT BLOCK GRNT 1666.00
080 ASSET SEIZURE FUND 499.98
086 DUI FINE FUND 520 . 00
380 IEPA FLOOD CONTROL LOANS B&I 118403.52
510 CAPITAL IMPROVEMENT FUND 9863.90
550 DOWNTOWN REDEVLPMNT CONST 1203.00
560 STREET IMPROVEMENT CONST FUND 9490.00
590 FLOOD CONTROL CONST FUND 1000.00
610 WATER AND SEWER FUND 408737.33
620 VILLAGE PARKING SYSTEM FUND 92.00
630 PARKING SYSTEM REVENUE FUND 401.56
660 VERI CLE MAINTENANCE FUND 7735.46
670 VERI CLE REPLACEMENT FUND 51361.62
690 RISK MANAGEMENT FUND 426833.71
710 POLICE PENSION FUND 5033.03
720 FIRE PENSION FUND 3267.32
770 FLEXCOMP ESCROW FUND 19172.80
790 ESCROW DEPOSIT FUND 13254.00
--------------
TOTAL : 2190418.54
PAGE 18
<6/14/07
~MR025
Village of Mount Prospect
List of Escrow Checks Presented to the Board of Trustees
06/01/07 To 06/13/07
Paid to
3D BRICK PAVING CO
AHMED, AYED
ALL AMERICAN HVAC CO
ALTRA CONSTRUCTION
ANDERSON, JAMES W
BA VONE, ANTHONY & CAROLYN
BEKAS, NICK
BENNETT, WILLIAM & NANCY
BRIGHTON CONSTRUCTION
CAVANAUGH, MIKE
CHAMPION WINDOW COMPANY OF CHICAGO
CIOLEK, LUCYNA
CONLIN, C
DE NICOLO, ANTOINETTE
DELUCA, SAM
DERINGER, E
DISCOVERY HOMES LLC
EFRAINS BRICKPAVING & LANDSCAPING
ERCK, WALTER
F & F CEMENT CONSTRUCTION
FCE INC
FORTIS CONCRETE CO
FOUR SEASON'S INC
GERVASI, RALPH A
HEARTLAND LUXURY BATH SYSTEMS,INC
HEMMERLIGHT INC
JUSICK, SHARON
KIMBREL, RAY C
KOCH, HERBERT
MACINO, DOMINIC
MAHMOOD, ROGER
MALISZEWSKI, JACK
MAREK K CONCRETE SPEC INC
MICLEA AND VRABIE, MARIA AND FLORIN
MIKOLAJCZYK, BEATA
MIRO, DOUGLAS
MITRO POULOS , PAUL A
Permit #
070746
Check #
Amount
80474
200.00
070651
80475
125.00
070858
80476
125.00
070930
80477
200.00
070934
80478
200.00
070937
80479
200.00
070944
80480
200.00
070947
80481
200.00
1,000.00 *
070988
80482
500.00
070966
80483
200.00
070786
80484
200.00
052285A
80485
175.00
070808
80486
200.00
051491A
80487
150.00
070200
80488
500.00
071059
80489
200.00
070485
80490
200.00
070458
80491
75.00
070085
80492
250.00
070731
80493
200.00
061344
80494
500.00
070745
80495
200.00
070588
80496
200.00
070974
80497
200.00
070975
80498
200.00
400.00 *
071016
80499
200.00
070602
80500
200.00
070958
80501
75.00
070916
80502
200.00
070343
80503
200.00
070922
80504
75.00
070598
80505
200.00
070788
80506
200.00
071096
80507
125.00
070519
80508
200.00
071018
80509
200.00
070969
80510
200.00
070874
80511
200.00
070757
80512
200.00
070666
80513
200.00
070880
80514
200.00
070873
80515
150.00
Page
1
06/14/97 Village of Mount Prospect Page 2
EMR025.
List of Escrow Checks Presented to the Board of Trustees
06/01/07 To 06/13/07
Paid to Permit # Check # Amount
MOLINARE CONSTRUCTION 070740 80516 200.00
NICHOLAS, CRAIG P 061682 80517 450.00
OSOWSKI, RONALD H 070689 80518 200.00
PAOLINI, JOHN 070967 80519 200.00
PARENTI & AFFAELLI 063006 80520 500.00
PAWLIS, PATRICK/DAWN 070360 80521 200.00
QUALITY BLACKTOP INC 071032 80522 200.00
RICK'S SEWER & DRAINAGE 070425 80523 125.00
070448 80524 125.00
070802 80525 125.00
375.00 *
SEARLES, DAVID 070902 80526 200.00
SOLANS, ENRIC P 070917 80527 200.00
SOLARZ, SANDRA 070794 80528 200.00
TRAVIOLA, BRADFORD A 061401 80529 300.00
VARGHESE, JERSON T 070557 80530 200.00
VOTZMEYER, LISA & RAYMOND 070398 80531 200.00
WALTERS, WILLIAM 070387 80532 200.00
WIDALSKI, KRZYSZTOF 070722 80533 200.00
ZANDER, JOSEPH & ELIZABETH 052224A 80534 9,750.00
*** TOTAL NUMBER OF CHECKS 61 22,400.00
VILLAGE OF MOUNT PROSPECT
BUDGET REVENUE
&
EXPENDITURE SUMMARIES
May 1 - May 30, 2007
06/12/2007
11:18:53
VILLAGE OF MOUNT PROSPECT
Budget Revenue Summary
01/01/07 05/31/07
Cur Mo
Received
REVENUE BY CLASSIFICATION
PROPERTY TAXES
OTHER TAXES
LICENSES, PERMITS & FEES
INTERGOVERMENT REV.
CHARGES FOR SERVICE
FINES AND FORFEITS
INVESTMENT INCOME
REIMBURSEMENTS
OTHER REVENUE
OTHER FINANCING SOURCES
Total All Funds
25,777
958,916
521,516
1,400,382
2,040,443
96,083
-166,717
19,578
201,815
o
5,097,793
REVENUE BY FUND
GENERAL FUND
REFUSE DISPOSAL FUND
MOTOR FUEL TAX FUND
LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRNT
ASSET SEIZURE FUND
DEA SHARED FUNDS FUND
DUI FINE FUND
FOREIGN FIRE TAX BOARD FUND
SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
SERIES 2002B B&I, PUBLIC BLDGS
SERIES 2002A B&I, TIF
SERIES 1999 B&I, TIF
SERIES 1996A B&I, FLOOD
SERIES 1998A B&I, FLOOD
SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
SERIES 2000 B&I, FLOOD CONTROL
SERIES 2002B B&I, FLOOD
SERIES 1998A B&I, STREET IMP.
SERIES 2002B B&I, STREET IMP.
CAPITAL IMPROVEMENT FUND
SERIES 2003 PROJECT FUND
DOWNTOWN REDEVLPMNT CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST FUND
WATER AND SEWER FUND
VILLAGE PARKING SYSTEM FUND
PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
VEHICLE REPLACEMENT FUND
COMPUTER REPLACEMENT FUND
RISK MANAGEMENT FUND
POLICE PENSION FUND
FIRE PENSION FUND
2,933,383
294,495
139,695
9
11,316
1,205
136
2,391
214
2,336
1,854
3,125
o
o
6,870
173
3,558
675
41,182
51,926
o
o
o
3,712
o
12,052
130,490
2,825
695,363
10,852
10,072
157,388
114,183
21,232
671,254
-94,406
-133,286
1
Y-T-D
Received
5,205,611
5,535,283
1,968,721
4,049,843
8,367,936
181,918
2,048,779
146,145
2,250,149
o
29,754,385
12,647,779
1,929,267
577,678
28
67,360
6,664
667
8,767
1,055
209,260
196,563
304,710
o
o
572,063
50,555
23,713
47,962
246,099
213,481
2
o
o
27,498
o
656,894
677,246
13,702
4,232,624
43,005
41,927
630,461
475,521
81,937
2,693,339
1,569,999
1,504,429
5 Months
7 Months
2007
Budget
13,374,952
15,384,659
2,954,888
16,480,809
21,409,733
553,000
5,501,950
271,240
4,972,704
60,000
80,963,935
38,420,223
4,300,751
1,628,750
1,000
549,809
2,600
2,500
20,350
51,500
1,000
394,500
926,250
o
o
1,076,500
o
49,367
88,507
582,933
735,250
o
o
o
262,800
o
1,220,052
1,711,100
32,000
11,149,100
96,738
111,100
1,573,353
1,093,626
189,547
6,473,939
4,125,500
4,093,290
41.6%
58.3%
Unreceived
Balance
8,169,341
9,849,376
986,167
12,430,966
13,041,797
371,082
3,453,171
125,095
2,722,555
60,000
51,209,550
25,772,444
2,371,484
1,051,072
972
482,449
-4,064
1,833
11,583
50,445
-208,260
197,937
621,540
o
o
504,437
-50,555
25,654
40,545
336,834
521,769
-2
o
o
235,302
o
563,158
1,033,854
18,298
6,916,476
53,733
69,173
942,892
618,105
107,610
3,780,600
2,555,501
2,588,861
Completed
Remaining
Unreceived
Percent
61.1
64.0
33.4
75.4
60.9
67.1
62.8
46.1
54.7
100.0
63.2
67.1
55.1
64.5
97.2
87.7
-156.3
73.3
56.9
98.0
**** *
50.2
67.1
46.9
52.0
45.8
57.8
71.0
89.5
46.2
60.4
57.2
62.0
55.5
62.3
59.9
56.5
56.8
58.4
61. 9
63.2
06/12/2007
11:18:53
VILLAGE OF MOUNT PROSPECT
Budget Revenue Summary
01/01/07 05/31/07
5 Months
7 Months
41.6%
58.3%
Completed
Remaining
Cur Mo Y-T-D 2007 Unreceived Unreceived
Received Received Budget Balance Percent
ESCROW DEPOSIT FUND 0 0 0 0
SSA #6 GEORGE/ALBERT B&I 71 347 0 -347
SERIES 2002 LIBRARY BND ESCROW 1,448 1,783 0 -1,783
GENERAL FIXED ASSETS ACCT GP 0 0 0 0
Total All Funds 5,097,793 29,754,385 80,963,935 51,209,550 63.2
2
06/12/2007 5 Months 41.6% Completed
11:19:28 7 Months 58.3% Remaining
FRRBRR03 VILLAGE OF MOUNT PROSPECT
SUM 021 Budget Revenue by Category within Fund Swmnary
01/01/07 05/31/07
Cur Mo Y-T-D 2007 Unreceived Unreceived
Received Received Budget Balance Percent
GENERAL FUND
40 PROPERTY TAXES 17,417 3,555,552 10,050,926 6,495,374 64.6
41 OTHER TAXES 730,534 2,382,651 8,447,000 6,064,349 71.8
42 LICENSES, PERMITS & FEES 519,494 1,959,456 2,935,250 975,794 33.2
43 INTERGOVERMENT REV. 1,266,689 3,464,739 14,162,700 10,697,961 75.5
44 CHARGES FOR SERVICE 234,370 736,766 1,551,507 814,741 52.5
45 FINES AND FORFEITS 92,883 168,547 531,000 362,453 68.3
46 INVESTMENT INCOME 43,994 222,093 397,000 174,907 44.1
47 REIMBURSEMENTS 19,578 105,510 189,740 84,230 44.4
48 OTHER REVENUE 8,424 52,465 155,100 102,635 66.2
49 OTHER FINANCING SOURCES 0 0 0 0
TOTAL GENERAL FUND 2,933,383 12,647,779 38,420,223 25,772,444 67.1
REFUSE DISPOSAL FUND
40 PROPERTY TAXES 4,653 949,884 2,016,276 1,066,392 52.9
44 CHARGES FOR SERVICE 282,539 943,753 2,211,475 1,267,722 57.3
46 INVESTMENT INCOME 7,303 35,523 72,000 36,477 50.7
48 OTHER REVENUE 0 107 1,000 893 89.3
TOTAL REFUSE DISPOSAL FUND 294,495 1,929,267 4,300,751 2,371,484 55.1
MOTOR FUEL TAX FUND
43 INTERGOVERMENT REV. 133,692 544,768 1,587,500 1,042,732 65.7
46 INVESTMENT INCOME 6,003 30,972 34,750 3,778 10.9
47 REIMBURSEMENTS 0 1,938 6,500 4,562 70.2
TOTAL MOTOR FUEL TAX FUND 139,695 577,678 1,628,750 1,051,072 64.5
LAW ENFORCEMENT BLOCK GRANT
43 INTERGOVERMENT REV. 0 0 1,000 1,000 100.0
46 INVESTMENT INCOME 9 28 0 -28
TOTAL LAW ENFORCEMENT BLOCK GRANT 9 28 1,000 972 97.2
COMMUNITY DEVELPMNT BLOCK GRNT
43 INTERGOVERMENT REV. 1 40,336 489,809 449,473 91.8
46 INVESTMENT INCOME 284 620 0 -620
48 OTHER REVENUE 11,031 26,404 60,000 33,596 56.0
TOTAL COMMUNITY DEVELPMNT BLOCK GRNT 11,316 67,360 549,809 482,449 87.7
ASSET SEIZURE FUND
45 FINES AND FORFEITS 900 5,159 1,000 -4,159 -415.9
46 INVESTMENT INCOME 305 1,505 1,600 95 5.9
TOTAL ASSET SEIZURE FUND 1,205 6,664 2,600 -4,064 -156.3
DEA SHARED FUNDS FUND
45 FINES AND FORFEITS 0 0 1,000 1,000 100.0
46 INVESTMENT INCOME 136 667 1,500 833 55.5
1
06/12/2007
11,19,28
FRRBRR03
SUM 021
5 Months
7 Months
41.6%
58.3%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/07 05/31/07
Cur Mo
Received
TOTAL DEA SHARED FUNDS FUND
136
DUI FINE FUND
45 FINES AND FORFEITS
46 INVESTMENT INCOME
2,300
91
TOTAL DUI FINE FUND
2,391
FOREIGN FIRE TAX BOARD FUND
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
o
214
o
TOTAL FOREIGN FIRE TAX BOARD FUND
214
SERIES 1987A B&I, PW FACILITY
40 PROPERTY TAXES
46 INVESTMENT INCOME
1,287
1,049
TOTAL SERIES 1987A B&I, PW FACILITY
2,336
SERIES 2001 B&I, VILLAGE HALL
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
951
903
o
TOTAL SERIES 2001 B&I, VILLAGE HALL
1,854
SERIES 2003 B&I, VILLAGE HALL
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
1,469
1,656
o
TOTAL SERIES 2003 B&I, VILLAGE HALL
3,125
SERIES 2002B B&I, PUBLIC BLDGS
40 PROPERTY TAXES
46 INVESTMENT INCOME
TOTAL SERIES 2002B B&I, PUBLIC BLDGS
SERIES 2002A B&I, TIF
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 2002A B&I, TIF
SERIES 1999 B&I, TIF
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
2,948
3,922
o
2
Y-T-D
Received
667
8,212
555
8,767
1,055
o
1,055
206,377
2,883
209,260
194,098
2,465
o
196,563
299,700
5,010
o
304,710
o
o
o
o
o
o
558,821
13,242
o
2007
Budget
2,500
20,000
350
20,350
o
46,500
5,000
o
51,500
1,000
o
1,000
390,500
4,000
o
394,500
916,250
10,000
o
926,250
o
o
o
o
o
o
1,053,500
23,000
o
o
o
o
o
o
o
Unreceived
Balance
1,833
11,788
-205
11,583
46,500
3,945
o
50,445
-205,377
-2,883
-208,260
196,402
1,535
o
197,937
616,550
4,990
o
621,540
494,679
9,758
o
Completed
Remaining
Unreceived
Percent
73.3
58.9
-58.6
56.9
100.0
78.9
98.0
****.*
****.*
50.3
38.4
50.2
67.3
49.9
67.1
o
o
o
o
o
o
47.0
42.4
06/12/2007
11,19,28
FRRBRR03
SUM 021
5 Months
7 Months
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/07 - 05/31/07
Cur Mo
Received
Y-T-D
Received
2007
Budget
Unreceived
Balance
41.6%
58.3%
Completed
Remaining
Unreceived
Percent
TOTAL SERIES 1999 B&I, TIF
6,870
46.9
SERIES 1996A B&I, FLOOD
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1996A B&I, FLOOD
SERIES 1998A B&I, FLOOD
41 OTHER TAXES
46 INVESTMENT INCOME
3,449
109
TOTAL SERIES 1998A B&I, FLOOD
3,558
SERIES 1998C B&I, TIF
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
41 OTHER TAXES
46 INVESTMENT INCOME
40,971
211
TOTAL IEPA FLOOD CONTROL LOANS B&I
41,182
SERIES 2000 B&I, FLOOD CONTROL
41 OTHER TAXES
46 INVESTMENT INCOME
51,167
759
TOTAL SERIES 2000 B&I, FLOOD CONTROL
51,926
SERIES 2002B B&I, FLOOD
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 2002B B&I, FLOOD
SERIES 1998A B&I, STREET IMP.
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1998A B&I, STREET IMP.
SERIES 2002B B&I, STREET IMP.
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 2002B B&I, STREET IMP.
o
173
173
244
431
675
3
572,063
49,975
580
50,555
23,396
317
23,713
46,311
1,651
47,962
244,742
1,357
246,099
211,800
1,681
213,481
o
o
o
o
o
o
o
o
o
1,076,500
504,437
o
o
-49,975
-580
-50,555
49,067
300
49,367
87,307
1,200
88,507
582,933
o
582,933
728,000
7,250
735,250
o
2
2
o
o
o
o
o
o
o
25,671
-17
25,654
40,996
-451
40,545
338,191
-1,357
o
o
336,834
516,200
5,569
521,769
o
o
o
o
o
o
o
52.3
-5.7
52.0
47.0
-37.6
45.8
58.0
57.8
70.9
76.8
71.0
o
-2
-2
o
o
o
o
o
o
06/12/2007
11,19,28
FRRBRR03
SUM 021
5 Months
7 Months
41.6%
58.3%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/07 05/31/07
Cur Mo
Received
CAPITAL IMPROVEMENT FUND
43
46
47
48
49
INTERGOVERMENT REV.
INVESTMENT INCOME
REIMBURSEMENTS
OTHER REVENUE
OTHER FINANCING SOURCES
o
3,712
o
o
o
TOTAL CAPITAL IMPROVEMENT FUND
3,712
SERIES 2003 PROJECT FUND
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL SERIES 2003 PROJECT FUND
DOWNTOWN REDEVLPMNT CONST
41 OTHER TAXES
46 INVESTMENT INCOME
47 REIMBURSEMENTS
49 OTHER FINANCING SOURCES
3,267
8,785
o
o
TOTAL DOWNTOWN REDEVLPMNT CONST
12,052
STREET IMPROVEMENT CONST FUND
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
46 INVESTMENT INCOME
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
123,083
o
7,407
o
o
TOTAL STREET IMPROVEMENT CONST FUND
130,490
FLOOD CONTROL CONST FUND
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
o
2,825
o
TOTAL FLOOD CONTROL CONST FUND
2,825
WATER AND SEWER FUND
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
4 8 OTHER REVENUE
49 OTHER FINANCING SOURCES
3,253
1,270
666,191
21,330
o
3,319
o
TOTAL WATER AND SEWER FUND
695,363
4
Y-T-D
Received
o
19,686
o
7,812
o
27,498
o
o
o
619,318
37,576
o
o
656,894
646,300
o
30,946
o
o
677,246
o
13,702
o
13,702
751,969
5,640
3,361,342
94,021
1,083
18,569
o
4,232,624
2007
Budget
239,800
8,500
o
14,500
o
262,800
o
o
o
1,167,552
52,500
o
o
1,220,052
1,688,700
o
22,400
o
o
1,711,100
o
32,000
o
32,000
1,534,100
12,000
9,420,000
168,000
o
15,000
o
11,149,100
Unreceived
Balance
239,800
-11,186
o
6,688
o
235,302
o
o
o
548,234
14,924
o
o
563,158
1,042,400
o
-8,546
o
o
1,033,854
o
18,298
o
18,298
782,131
6,360
6,058,658
73,979
-1,083
-3,569
o
6,916,476
Completed
Remaining
Unreceived
Percent
100.0
-131.6
46.1
89.5
o
o
o
47.0
28.4
46.2
61. 7
-38.2
60.4
57.2
57.2
51. 0
53.0
64.3
44.0
-23.8
62.0
06/12/2007
11:19:28
FRRBRR03
SUM 021
5 Months
7 Months
41.6%
58.3%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/07 05/31/07
Cur Mo
Received
VILLAGE PARKING SYSTEM FUND
42 LICENSES, PERMITS & FEES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
752
9,787
313
o
TOTAL VILLAGE PARKING SYSTEM FUND
10,852
PARKING SYSTEM REVENUE FUND
42 LICENSES, PERMITS & FEES
43 INTERGOVERMENT REV.
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
4 8 OTHER REVENUE
49 OTHER FINANCING SOURCES
o
o
10,072
o
o
o
TOTAL PARKING SYSTEM REVENUE FUND
10,072
VEHICLE MAINTENANCE FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
4 8 OTHER REVENUE
155,595
1,793
o
TOTAL VEHICLE MAINTENANCE FUND
157,388
VEHICLE REPLACEMENT FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
84,963
29,220
o
o
TOTAL VEHICLE REPLACEMENT FUND
114,183
COMPUTER REPLACEMENT FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
17,872
3,360
TOTAL COMPUTER REPLACEMENT FUND
21,232
RISK MANAGEMENT FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
579,054
9,751
o
82,449
TOTAL RISK MANAGEMENT FUND
671,254
POLICE PENSION FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
-146,591
52,185
TOTAL POLICE PENSION FUND
-94,406
5
Y-T-D
Received
3,625
37,912
1,468
o
43,005
o
o
41,927
o
o
o
41,927
622,379
8,082
o
630,461
339,852
135,669
o
o
475,521
66,316
15,621
81,937
2,217,689
43,378
37,614
394,658
2,693,339
659,686
910,313
1,569,999
2007
Budget
7,638
88,500
600
o
96,738
o
o
110,000
1,100
o
o
111,100
1,555,953
17,400
o
1,573,353
849,626
184,000
o
60,000
1,093,626
159,547
30,000
189,547
5,463,125
92,000
75,000
843,814
6,473,939
2,131,000
1,994,500
4,125,500
Unreceived
Balance
4,013
50,588
-868
o
53,733
o
o
68,073
1,100
o
o
69,173
933,574
9,318
o
942,892
509,774
48,331
o
60,000
618,105
93,231
14,379
107,610
3,245,436
48,622
37,386
449,156
3,780,600
1,471,314
1,084,187
2,555,501
Completed
Remaining
Unreceived
Percent
52.5
57.2
-144.7
55.5
61. 9
100.0
62.3
60.0
53.6
59.9
60.0
26.3
100.0
56.5
58.4
47.9
56.8
59.4
52.9
49.8
53.2
58.4
69.0
54.4
61. 9
06/12/2007
11:19:28
FRRBRR03
SUM 021
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/07 - 05/31/07
5 Months
7 Months
41.6%
58.3%
Completed
Remaining
FIRE PENSION FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
Cur Mo Y-T-D 2007 Unreceived Unreceived
Received Received Budget Balance Percent
-177,693 664,608 2,204,500 1,539,892 69.9
44,407 839,821 1,888,790 1,048,969 55.5
-133,286 1,504,429 4,093,290 2,588,861 63.2
TOTAL FIRE PENSION FUND
ESCROW DEPOSIT FUND
46 INVESTMENT INCOME
o
o
o
o
TOTAL ESCROW DEPOSIT FUND
o
o
o
o
SSA #6 GEORGE/ALBERT B&I
41 OTHER TAXES
46 INVESTMENT INCOME
o
71
o
347
o
o
o
-347
TOTAL SSA #6 GEORGE/ALBERT B&I
71
347
o
-347
SERIES 2002 LIBRARY BND ESCROW
46 INVESTMENT INCOME
1,448
1,783
o
-1,783
TOTAL SERIES 2002 LIBRARY BND ESCROW
1,448
1,783
o
-1,783
GENERAL FIXED ASSETS ACCT GP
47 REIMBURSEMENTS
49 OTHER FINANCING SOURCES
o
o
o
o
o
o
o
o
TOTAL GENERAL FIXED ASSETS ACCT GP
o
o
o
o
MOUNT PROSPECT LIBRARY FUND
49 OTHER FINANCING SOURCES
o
o
8,572,028
8,572,028 100.0
TOTAL MOUNT PROSPECT LIBRARY FUND
o
o
8,572,028
8,572,028 100.0
6
.06/12/2007
11:17:18
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/07 05/31/07
Cur Mo
Expended
Y-T-D
Expended
2007
Budget
41. 6%-
58.3%
Unexpended
Balance
Completed
Remaining
Unexpended
Percent
EXPENDITURE BY CLASSIFICATION
PERSONAL SERVICES
EMPLOYEE BENEFITS
OTHER EMPLOYEE COSTS
PENSION BENEFITS
CONTRACTUAL SERVICES
UTILITIES
INSURANCE
COMMODITIES & SUPPLIES
OTHER EXPENDITURES
LAND IMPROVEMENTS
BUILDING IMPROVEMENTS
OFFICE EQUIPMENT
MOBILE EQUIPMENT
OTHER EQUIPMENT
DISTRIBUTION SYSTEMS
INFRASTRUCTURE
BOND PRINCIPAL
INTEREST EXPENSE
BANK AND FISCAL FEES
INTERFUND TRANSFERS
Total All Funds
1,809,331
589,464
38,517
447,692
1,514,129
18,279
597,719
151,198
28,170
o
23,319
34,446
198,983
43,286
302,822
617,712
o
353,837
300
o
6,769,204
EXPENDITURE BY FUND
GENERAL FUND
REFUSE DISPOSAL FUND
MOTOR FUEL TAX FUND
LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRNT
ASSET SEIZURE FUND
DEA SHARED FUNDS FUND
DUI FINE FUND
FOREIGN FIRE TAX BOARD FUND
SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
SERIES 2002B B&I, PUBLIC BLDGS
SERIES 2002A B&I, TIF
SERIES 1999 B&I, TIF
SERIES 1996A B&I, FLOOD
SERIES 1998A B&I, FLOOD
SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
SERIES 2000 B&I, FLOOD CONTROL
SERIES 2002B B&I, FLOOD
SERIES 1998A B&I, STREET IMP.
SERIES 2002B B&I, STREET IMP.
CAPITAL IMPROVEMENT FUND
SERIES 2003 PROJECT FUND
DOWNTOWN REDEVLPMNT CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST FUND
2,883,799
357,124
670,877
670
49,594
669
o
2,000
o
o
91,883
215,797
o
o
o
o
1,398
3,988
o
41,071
o
o
o
70,647
o
12,865
10,007
o
1
9,527,469
2,551,302
147,444
2,152,378
5,397,501
129,831
3,064,108
664,811
64,543
o
25,110
41,462
334,863
103,197
491,451
943,014
244,359
797,338
1,200
o
26,681,381
13,517,916
1,474,463
1,188,109
670
79,629
1,622
o
5,612
682
405,000
91,883
216,097
o
o
73,050
o
1,398
3,988
188,275
41,371
o
o
o
151,179
o
86,272
10,007
o
24,621,815
9,104,278
457,138
5,131,797
16,317,762
745,159
7,174,552
1,578,257
1,978,000
50,000
318,220
371,035
1,566,810
1,418,958
2,134,134
4,596,585
2,874,195
1,329,033
3,000
o
81,770,728
38,192,984
4,029,607
1,764,301
1,000
752,309
1,000
1,000
1,000
10,473
405,000
383,765
896,594
o
o
916,100
o
67,795
153,575
613,356
727,743
o
o
o
1,026,993
o
2,455,187
2,258,907
244,000
15,094,346
6,552,976
309,694
2,979,419
10,920,261
615,328
4,110,444
913,446
1,913,457
50,000
293,110
329,573
1,231,947
1,315,761
1,642,683
3,653,571
2,629,836
531,695
1,800
o
55,089,347
24,675,068
2,555,144
576,192
330
672,680
-622
1,000
-4,612
9,791
o
291,882
680,497
o
o
843,050
o
66,397
149,587
425,081
686,372
o
o
o
875,814
o
2,368,915
2,248,900
244,000
61. 3
72 .0
67.7
58.1
66.9
82.6
57.3
57.9
96.7
100.0
92.1
88.8
78.6
92.7
77.0
79.5
91.5
40.0
60.0
67.4
64.6
63.4
32.7
33.0
89.4
-62.2
100.0
-461.2
93.5
76.1
75.9
92.0
97.9
97.4
69.3
94.3
85.3
96.5
99.6
100.0
06/12/2007
11,17:18
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/07 - 05/31/07
Cur Mo
Expended
Y-T-D
Expended
2007
Budget
41. 6%
58.3%
Unexpended
Balance
Completed
Remaining
Unexpended
Percent
WATER AND SEWER FUND
VILLAGE PARKING SYSTEM FUND
PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
VEHICLE REPLACEMENT FUND
COMPUTER REPLACEMENT FUND
RISK MANAGEMENT FUND
POLICE PENSION FUND
FIRE PENSION FUND
SSA #6 GEORGE/ALBERT B&I
GENERAL FIXED ASSETS ACCT GP
GENERAL LONG-TERM DEBT ACCT GP
Total All Funds
1,057,340
6,769
10,649
111,093
163,028
30,424
533,531
214,864
229,117
o
o
o
6,769,204
2
3,253,009
34,305
53,452
547,376
278,093
30,424
2,813,331
1,021,905
1,112,263
o
o
o
26,681,381
11,675,919
123,154
156,448
1,578,353
1,406,810
249,050
6,585,214
2,465,133
2,627,958
o
o
o
81,770,728
8,422,910
88,849
102,996
1,030,977
1,128,717
218,626
3,771,883
1,443,228
1,515,695
o
o
o
55,089,347
72.1
72.1
65.8
65.3
80.2
87.8
57.3
58.5
57.7
67.4
. 06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
NON-DEPARTMENTAL
Cur Mo
Expended
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
00 ADMINISTRATION
Totals
EXPENDITURE CLASSIFICATION
72 INTEREST EXPENSE
Totals
SOURCE OF FUNDS
930 GENERAL LONG-TERM DEBT ACCT GP
Totals
1
Y-T-D
Expended
2007
Budget
o
o
o
o
o
o
o
o
o
o
o
o
41.6% Completed
58.3% Remaining
o
o
o
o
o
o
o
o
o
o
o
o
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
PUBLIC REPRESENTATION
Cur Mo
Expended
PROGRAM TOTALS
02 MAYOR AND BOARD OF TRUSTEES
03 ADVISORY BOARDS & COMMISSIONS
42,451
912
Totals
43,363
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
2,683
512
o
40,114
o
54
Totals
43,363
SOURCE OF FUNDS
001 GENERAL FUND
43,363
Totals
43,363
2
Y-T-D
Expended
72,459
10,064
82,523
17,810
3,125
o
60,811
77
700
82,523
82,523
82,523
2007
Budget
111,270
17,010
128,280
35,466
6,361
3,000
77,353
500
5,600
128,280
128,280
128,280
41. 6%
58.3%
Unexpended
Balance
38,811
6,946
45,757
17,656
3,236
3,000
16,542
423
4,900
45,757
45,757
45,757
Completed
Remaining
Unexpended
Percent
34.9
40.8
35.7
49.8
50.9
100.0
21.4
84.6
87.5
35.7
35.7
35.7
'06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
VILLAGE MANAGER'S OFFICE
Cur Mo
Expended
PROGRAM TOTALS
01 VILLAGE MANAGER'S OFFICE
02 LEGAL SERVICES
03 PERSONNEL SERVICES
04 INFORMATION TECHNOLOGY
05 PUBLIC INFORMATION
37,224
63,081
27,708
103,499
6,823
Totals
238,335
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
63,803
24,186
5,192
142,659
476
1,142
877
o
Totals
238,335
SOURCE OF FUNDS
001 GENERAL FUND
238,335
Totals
238,335
3
Y-T-D
Expended
238,537
190,286
99,524
319,085
43,410
890,842
363,383
112,303
14,647
393,725
1,824
3,261
1,699
o
890,842
890,842
890,842
2007
Budget
509,550
630,750
287,303
921,335
143,372
2,492,310
898,539
281,625
46,400
1,215,596
10,145
11,485
26,920
1,600
2,492,310
2,492,310
2,492,310
41.6%
58.3%
Unexpended
Balance
271,013
440,464
187,779
602,250
99,962
1,601,468
535,156
169,322
31,753
821,871
8,321
8,224
25,221
1,600
1,601,468
1,601,468
1,601,468
Completed
Remaining
Unexpended
Percent
53.2
69.8
65.4
65.4
69.7
64.3
59.6
60.1
68.4
67.6
82.0
71.6
93.7
100.0
64.3
64.3
64.3
06/12/2007 5 Months 41. 6% Completed
11,20,02 VILLAGE OF MOUNT PROSPECT 7 Months 58.3% Remaining
FRRDBROl
SUM 031 Department Budget Expenditure Sununary
01/01/07 05/31/07
Cur Mo Y-T-D 2007 Unexpended Unexpended
TV SERVICES DIVISION Expended Expended Budget Balance Percent
PROGRAM TOTALS
02 CABLE TV OPERATIONS 9,941 47,783 130,245 82,462 63.3
04 INTERGOVERNMENTAL PROGRAMMING 3,133 15,400 48,322 32,922 68.1
Totals 13,074 63,183 178,567 115,384 64.6
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 7,204 38,790 102,484 63,694 62.2
51 EMPLOYEE BENEFITS 3,619 16,121 41,133 25,012 60.8
52 OTHER EMPLOYEE COSTS 0 535 2,650 2,115 79.8
54 CONTRACTUAL SERVICES 941 3,373 13,150 9,777 74.3
55 UTILITIES 2 630 1,600 970 60.6
57 COMMODITIES & SUPPLIES 1,308 2,681 7,050 4,369 62.0
67 OTHER EQUIPMENT 0 1,053 10,500 9,447 90.0
Totals 13,074 63,183 178,567 115,384 64.6
SOURCE OF FUNDS
001 GENERAL FUND 13,074 63,183 178,567 115,384 64.6
Totals 13,074 63,183 178,567 115,384 64.6
4
06(12(2007 5 Months 41.6% Completed
11,20,02 VILLAGE OF MOUNT PROSPECT 7 Months 58.3% Remaining
FRRDBROl
SUM 031 Department Budget Expenditure Summary
01/01/07 05/31/07
Cur Mo Y-T-D 2007 Unexpended Unexpended
VILLAGE CLERK'S OFFICE Expended Expended Budget Balance Percent
PROGRAM TOTALS
02 VILLAGE CLERK'S OFFICE 18,291 79,938 205,188 125,250 61. 0
Totals 18,291 79,938 205,188 125,250 61.0
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 8,608 47,574 113,075 65,501 57.9
51 EMPLOYEE BENEFITS 3,916 17,888 43,977 26,089 59.3
52 OTHER EMPLOYEE COSTS 35 105 2,625 2,520 96 .0
54 CONTRACTUAL SERVICES 5,654 13,103 38,748 25,645 66.2
55 UTILITIES 1 143 1,650 1,507 91.3
57 COMMODITIES & SUPPLIES 77 1,125 5,113 3,988 78.0
Totals 18,291 79,938 205,188 125,250 61. 0
SOURCE OF FUNDS
001 GENERAL FUND 18,291 79,938 205,188 125,250 61. 0
Totals 18,291 79,938 205,188 125,250 61.0
5
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
FINANCE DEPARTMENT
Cur Mo
Expended
PROGRAM TOTALS
01 FINANCE ADMINISTRATION
02 ACCOUNTING
04 DUPLICATING SERVICES
05 INSURANCE PROGRAMS
06 CUSTOMER SERVICES
07 CASH MANAGEMENT
26,355
37,496
o
50,741
29,982
2,776
Totals
147,350
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
61,227
26,276
578
13,384
3
45,061
821
o
Totals
147,350
SOURCE OF FUNDS
001 GENERAL FUND
147,350
Totals
147,350
6
Y-T-D
Expended
135,607
182,303
o
208,683
160,852
13,695
701,140
309,292
116,078
3,061
85,921
979
180,242
5,267
300
701,140
701,140
701,140
2007
Budget
301,287
444,679
o
521,445
409,237
49,732
1,726,380
796,825
295,144
10,640
137,776
5,150
450,605
24,240
6,000
1,726,380
1,726,380
1,726,380
41.6%
58.3%
Unexpended
Balance
165,680
262,376
o
312,762
248,385
36,037
1,025,240
487,533
179,066
7,579
51,855
4,171
270,363
18,973
5,700
1,025,240
1,025,240
1,025,240
Completed
Remaining
Unexpended
Percent
55.0
59.0
60.0
60.7
72 .5
59.4
61.2
60.7
71.2
37.6
81.0
60.0
78.3
95.0
59.4
59.4
59.4
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
COMMUNITY DEVELOPMENT
Cur Mo
Expended
PROGRAM TOTALS
01 COMMUNITY DEVELOPMENT ADMIN
02 PLANNING & ZONING
03 ECONOMIC DEVELOPMENT
05 BUILDING INSPECTIONS
06 HOUSING INSPECTIONS
07 HEALTH INSPECTIONS
18,763
20,701
8,015
66,157
40,490
9,931
Totals
164,057
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
95,928
45,218
2,396
18,770
1,146
599
o
Totals
164,057
SOURCE OF FUNDS
001 GENERAL FUND
550 DOWNTOWN REDEVLPMNT CONST
164,057
o
Totals
164,057
7
Y-T-D
Expended
94,171
101,679
41,322
304,907
165,567
48,310
755,956
477,627
196,704
10,278
59,853
4,590
6,904
o
755,956
755,056
900
755,956
2007
Budget
41.6%
58.3%
Completed
Remaining
Unexpended Unexpended
Balance Percent
240,629
265,580
109,436
812,491
490,180
128,318
2,046,634
1,255,645
497,667
30,563
212,484
18,555
18,720
13,000
2,046,634
2,045,734
900
2,046,634
146,458
163,901
68,114
507,584
324,613
80,008
1,290,678
778,018
300,963
20,285
152,631
13,965
11,816
13,000
1,290,678
1,290,678
o
1,290,678
60.9
61. 7
62.2
62.5
66.2
62.4
63.1
62.0
60.5
66.4
71. 8
75.3
63.1
100.0
63.1
63.1
63.1
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
COMMUNITY DEVELOPMENT - CDBG
Cur Mo
Expended
PROGRAM TOTALS
04 CDBG ADMINISTRATION
05 CDBG COMMUNITY PROGRAMS
06 ACCESSIBLTY & NEIGHBRHD IMPRV
07 CDBG RESIDENTIAL REHAB
6,298
15,126
o
28,170
Totals
49,594
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
64 BUILDING IMPROVEMENTS
69 INFRASTRUCTURE
4,000
1,907
20
15,497
o
28,170
o
o
Totals
49,594
SOURCE OF FUNDS
070 COMMUNITY DEVELPMNT BLOCK GRNT
49,594
Totals
49,594
8
Y-T-D
Expended
31,518
15,126
o
32,985
79,629
20,800
8,441
868
16,535
o
32,985
o
o
79,629
79,629
79,629
2007
Budget
83,309
134,000
310,000
225,000
752,309
52,004
20,697
6,020
147,639
949
190,000
o
335,000
752,309
752,309
752,309
41.6%
58.3%
Unexpended
Balance
51,791
118,874
310,000
192,015
672,680
31,204
12,256
5,152
131,104
949
157,015
o
335,000
672,680
672,680
672,680
Completed
Remaining
Unexpended
Percent
62.2
88.7
100.0
85.3
89.4
60.0
59.2
85.6
88.8
100.0
82.6
100.0
89.4
89.4
89.4
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
HUMAN SERVICES
Cur Mo
Expended
PROGRAM TOTALS
01 HUMAN SERVICES ADMINISTRATION
02 SOCIAL SERVICES
03 NURSING/HEALTH SERVICES
04 SENIOR CTR. LEISURE ACTIVITIES
05 YOUTH ACTIVITIES
15,430
27,058
13,235
2,392
o
Totals
58,115
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
36,110
14,624
o
4,403
173
805
2,000
Totals
58,115
SOURCE OF FUNDS
001 GENERAL FUND
58,115
Totals
58,115
9
Y-T-D
Expended
70,374
137,174
67,401
11,461
o
286,410
192,734
66,380
894
19,969
1,544
2,889
2,000
286,410
286,410
286,410
2007
Budget
176,277
342,827
191,981
44,922
o
756,007
478,186
171,605
3,900
53,601
8,000
37,215
3,500
756,007
756,007
756,007
41.6%
58.3%
Unexpended
Balance
105,903
205,653
124,580
33,461
o
469,597
285,452
105,225
3,006
33,632
6,456
34,326
1,500
469,597
469,597
469,597
Completed
Remaining
Unexpended
Percent
60.1
60.0
64.9
74.5
62.1
59.7
61.3
77.1
62.7
80.7
92.2
42.9
62.1
62.1
62.1
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
POLICE
Cur Mo
Expended
PROGRAM TOTALS
01 POLICE ADMINISTRATION
02 PATROL & TRAFFIC ENFORCEMENT
03 CRIME PREVTN & PUBLIC SERVICES
04 INVESTIGATIVE & JUVENILE PRGM
05 CROSSING GUARDS
06 EQUIPMENT MAINTENANCE
99,502
667,917
26,707
97,434
2,310
74,156
Totals
968,026
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
642,059
174,812
9,171
125,772
1,374
9,868
848
4,122
Totals
968,026
SOURCE OF FUNDS
001 GENERAL FUND
060 LAW ENFORCEMENT BLOCK GRANT
080 ASSET SEIZURE FUND
085 DEA SHARED FUNDS FUND
086 DUI FINE FUND
964,687
670
669
o
2,000
Totals
968,026
10
Y-T-D
Expended
686,823
3,146,775
106,233
463,330
12,709
311,178
4,727,048
3,263,552
728,232
57,687
605,155
11,762
44,723
6,630
9,307
4,727,048
4,719,144
670
1,622
o
5,612
4,727,048
2007
Budget
2,945,090
8,218,329
342,746
1,205,678
29,380
811,753
13,552,976
8,592,849
3,185,309
123,000
1,427,145
49,200
115,423
14,000
46,050
13,552,976
13,548,976
1,000
1,000
1,000
1,000
13,552,976
41.6%
58.3%
Unexpended
Balance
2,258,267
5,071,554
236,513
742,348
16,671
500,575
8,825,928
5,329,297
2,457,077
65,313
821,990
37,438
70,700
7,370
36,743
8,825,928
8,829,832
330
-622
1,000
- 4 , 612
8,825,928
Completed
Remaining
Unexpended
Percent
76.7
61. 7
69.0
61. 6
56.7
61. 7
65.1
62.0
77.1
53.1
57.6
76.1
61.3
52.6
79.8
65.1
65.2
33.0
-62.2
100.0
-461.2
65.1
.06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
FIRE
Cur Mo
Expended
PROGRAM TOTALS
01 FIRE ADMINISTRATION
02 FIRE DEPARTMENT OPERATIONS
03 FIRE TRAINING ACADEMY
04 FIRE PREVENTION
05 FIRE COMMUNICATIONS
06 EQUIPMENT MAINTENANCE
07 EMERGENCY PREPARDENESS PRGM
08 PAID-ON-CALL PROGRAM
09 EMERGENCY ASSISTANCE PROGRAM
10 FOREIGN FIRE INSURANCE
76,898
537,722
3,642
43,148
1,071
42,436
4,945
1,593
o
o
Totals
711.455
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
53 PENSION BENEFITS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
64 BUILDING IMPROVEMENTS
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
496,399
133,268
18,023
o
35,096
958
14,841
103
o
12,767
Totals
711.455
SOURCE OF FUNDS
001 GENERAL FUND
095 FOREIGN FIRE TAX BOARD FUND
711,455
o
Totals
711.455
11
Y-T-D
Expended
388,715
2,718,331
14,546
204,363
23,355
193,307
9,355
8,532
o
682
3.561.186
2,665,241
548,958
40,271
473
199,291
19,765
60,308
586
o
26,293
3.561.186
3,560,504
682
3.561.186
2007
Budget
2,256,288
6,929,243
21,731
547,561
64,500
505,633
37,885
35,748
o
10,473
10.409.062
6,833,619
2,691,797
151,640
473
459,819
43,200
131,039
4,000
4,000
89,475
10.409.062
10,398,589
10,473
10.409.062
41.6%
58.3%
Unexpended
Balance
1,867,573
4,210,912
7,185
343,198
41,145
312,326
28,530
27,216
o
9,791
6.847.876
4,168,378
2,142,839
111,369
o
260,528
23,435
70,731
3,414
4,000
63,182
6.847.876
6,838,085
9,791
6.847.876
Completed
Remaining
Unexpended
Percent
82.8
60.8
33.1
62.7
63.8
61. 8
75.3
76.1
93.5
65.8
61. 0
79.6
73.4
56.7
54.2
54.0
85.4
100.0
70.6
65.8
65.8
93.5
65.8
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
PUBLIC WORKS - ADMINISTRATION
Cur Mo
Expended
PROGRAM TOTALS
01 PUBLIC WORKS ADMINSTRATION
115,893
Totals
115,893
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OTHER EQUI PMENT
17,282
12,566
1,640
80,097
316
3,992
o
o
Totals
115,893
SOURCE OF FUNDS
001 GENERAL FUND
115,893
Totals
115,893
12
Y-T-D
Expended
507,495
507,495
97,676
55,076
7,110
334,872
5,718
6,815
o
228
507,495
507,495
507,495
2007
Budget
1,259,759
1,259,759
237,193
135,476
30,095
821,835
18,990
14,475
1,090
605
1,259,759
1,259,759
1,259,759
41. 6%
58.3%
Unexpended
Balance
752,264
752,264
139,517
80,400
22,985
486,963
13,272
7,660
1,090
377
752,264
752,264
752,264
Completed
Remaining
Unexpended
Percent
59.7
59.7
58.8
59.3
76.4
59.3
69.9
52.9
100.0
62.3
59.7
59.7
59.7
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
PUBLIC WORKS - STREETS/BLDGS
Cur Mo
Expended
PROGRAM TOTALS
01 STREET DIVISION ADMINISTRATION
02 MAINTENANCE - PUBLIC BUILDINGS
04 STREET MAINTENANCE
05 SNOW REMOVAL
06 LEAF REMOVAL
07 STORM SEWER & BASIN MAINT
08 MAINTENANCE OF STATE HIGHWAYS
09 TRAFFIC SIGN MAINTENANCE
10 VILLAGE PARKING LOT MAINT
11 PARKING LOT MAINTENANCE
12 FLOOD CONTROL
9,616
82,028
25,353
56,499
o
11,597
2,097
11,811
6,769
10,649
o
Totals
216,419
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
64 BUILDING IMPROVEMENTS
67 OTHER EQUIPMENT
69 INFRASTRUCTURE
80 INTERFUND TRANSFERS
89,034
31,816
48,372
1,526
317
45,119
o
o
o
235
o
Totals
216,419
SOURCE OF FUNDS
001 GENERAL FUND
050 MOTOR FUEL TAX FUND
620 VILLAGE PARKING SYSTEM FUND
630 PARKING SYSTEM REVENUE FUND
168,377
30,624
6,769
10,649
Totals
216,419
13
Y-T-D
Expended
59,396
327,539
92,264
473,221
o
60,717
30,329
44,505
34,305
53,452
o
1,175,728
558,965
161,194
188,727
5,255
1,269
260,083
o
o
o
235
o
1,175,728
889,865
198,106
34,305
53,452
1,175,728
2007
Budget
146,860
1,002,815
514,141
445,928
o
178,890
70,548
119,916
123,154
156,448
o
2,758,700
1,108,580
354,511
696,035
134,644
3,172
300,993
o
6,365
19,400
135,000
o
2,758,700
2,255,928
223,170
123,154
156,448
2,758,700
41.6%
58.3%
Unexpended
Balance
87,464
675,276
421,877
-27,293
o
118,173
40,219
75,411
88,849
102,996
o
1,582,972
549,615
193,317
507,308
129,389
1,903
40,910
o
6,365
19,400
134,765
o
1,582,972
1,366,063
25,064
88,849
102,996
1,582,972
Completed
Remaining
Unexpended
Percent
59.6
67.3
82.1
-6.1
66.1
57.0
62.9
72.1
65.8
57.4
49.6
54.5
72 .9
96.1
60.0
13 .6
100.0
100.0
99.8
57.4
60.6
11. 2
72 .1
65.8
57.4
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
PUBLIC WORKS - FORESTRY/GRNDS
Cur Mo
Expended
PROGRAM TOTALS
01 FORESTRY DIVISION ADMIN
02 MAINTENANCE OF GROUND
03 FORESTRY PROGRAM
04 PUBLIC GROUNDS BEAUTIFICATION
16,560
55,626
84,651
3,094
Totals
159,931
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
67 OTHER EQUIPMENT
56,437
20,725
60
70,222
3,437
9,050
Totals
159,931
SOURCE OF FUNDS
001 GENERAL FUND
690 RISK MANAGEMENT FUND
159,931
o
Totals
159,931
14
Y-T-D
Expended
83,244
162,988
279,856
12,916
539,004
259,520
87,677
456
170,627
7,209
13,515
539,004
539,004
o
539,004
2007
Budget
216,107
543,385
946,789
95,998
1,802,279
697,162
228,406
3,555
764,291
70,470
38,395
1,802,279
1,789,016
13 , 263
1,802,279
41.6%
58.3%
Unexpended
Balance
132,863
380,397
666,933
83,082
1,263,275
437,642
140,729
3,099
593,664
63,261
24,880
1,263,275
1,250,012
13,263
1,263,275
Completed
Remaining
Unexpended
Percent
61.5
70.0
70.4
86.5
70.1
62.8
61.6
87.2
77.7
89.8
64.8
70.1
69.9
100.0
70.1
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
PUBLIC WORKS - ENGINEERING
Cur Mo
Expended
PROGRAM TOTALS
01 ENGINEERING SERVICES
05 TRAFFIC CNTRL & STREET LGHTNG
60,990
30,474
Totals
91,464
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
69 INFRASTRUCTURE
47,800
16,797
o
13,433
11,614
1,820
o
o
o
Totals
91,464
SOURCE OF FUNDS
001 GENERAL FUND
050 MOTOR FUEL TAX FUND
71,505
19,959
91,464
Totals
15
Y-T-D
Expended
298,654
122,231
420,885
244,712
76,472
562
31,245
55,816
12,078
o
o
o
420,885
367,185
53,700
420,885
2007
Budget
768,027
526,180
1,294,207
622,116
191,927
5,390
146,669
249,000
26,985
530
1,590
50,000
1,294,207
1,010,867
283,340
1,294,207
41.6%
58.3%
Unexpended
Balance
469,373
403,949
873,322
377,404
115,455
4,828
115,424
193,184
14,907
530
1,590
50,000
873,322
643,682
229,640
873,322
Completed
Remaining
Unexpended
Percent
61.1
76.8
67.5
60.7
60.2
89.6
78.7
77.6
55.2
100.0
100.0
100.0
67.5
63.7
81. 0
67.5
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
PUBLIC WORKS - WATER/SEWER
Cur Mo
Expended
PROGRAM TOTALS
01 WATER & SEWER DIVISION ADMIN
02 MAINTENANCE OF BUILDINGS
03 MAINTENANCE OF GROUNDS
04 WATER SUPPLY MAINT & REPAIR
05 WATER DISTRBT MAINT & REPAIR
06 WATER VALVE/HYDRNT MAINT & REP
07 WATER METER MAINT & REPL
08 EQUIPMENT MAINTENANCE
09 SANITARY SEWER MAINT & REPAIR
10 WATER & SEWER SYSTEM IMPROV
12 LAKE MICHIGAN WATER SUPPLY
132,077
12,987
3,750
67,030
71,126
31,177
28,988
60,609
61,596
318,340
269,660
Totals
1,057,340
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
68 DISTRIBUTION SYSTEMS
71 BOND PRINCIPAL
120,834
53,801
1,272
523,827
689
13,566
25,635
o
297
14,597
302,822
o
Totals
1,057,340
SOURCE OF FUNDS
610 WATER AND SEWER FUND
1,057,340
Totals
1,057,340
16
Y-T-D
Expended
577,848
64,451
20,890
219,741
228,568
123,137
140,330
242,437
160,071
493,496
982,040
3,253,009
646,996
241,301
10,840
1,686,899
21,120
54,266
53,900
o
409
45,827
491,451
o
3,253,009
3,253,009
3,253,009
2007
Budget
1,468,391
193,622
102,407
945,024
1,443,752
364,297
355,821
606,091
524,861
2,223,348
3,448,305
11,675,919
1,783,337
633,956
33,625
5,738,343
202,875
135,664
205,285
o
7,415
801,285
2,134,134
o
11,675,919
11,675,919
11,675,919
41.6%
58.3%
Unexpended
Balance
890,543
129,171
81,517
725,283
1,215,184
241,160
215,491
363,654
364,790
1,729,852
2,466,265
8,422,910
1,136,341
392,655
22,785
4,051,444
181,755
81,398
151,385
o
7,006
755,458
1,642,683
o
8,422,910
8,422,910
8,422,910
Completed
Remaining
Unexpended
Percent
60.6
66.7
79.6
76.7
84.2
66.2
60.6
60.0
69.5
77.8
71.5
72.1
63.7
61. 9
67.8
70.6
89.6
60.0
73.7
94.5
94.3
77.0
72.1
72 .1
72.1
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
PUBLIC WORKS - REFUSE DISPOSAL
Cur Mo
Expended
PROGRAM TOTALS
01 REFUSE DISPOSAL PROGRAM
02 REFUSE LEAF REMOVAL PROGRAM
347,332
9,792
Totals
357,124
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
13,199
5,439
o
332,341
o
5,266
879
Totals
357,124
SOURCE OF FUNDS
030 REFUSE DISPOSAL FUND
357,124
Totals
357,124
17
Y-T-D
Expended
1,424,178
50,285
1,474,463
67,738
24,090
o
1,357,127
165
21,064
4,279
1,474,463
1,474,463
1,474,463
2007
Budget
3,825,838
203,769
4,029,607
230,544
71,446
1,785
3,654,352
590
52,660
18,230
4,029,607
4,029,607
4,029,607
41.6%
58.3%
Unexpended
Balance
2,401,660
153,484
2,555,144
162,806
47,356
1,785
2,297,225
425
31,596
13,951
2,555,144
2,555,144
2,555,144
Completed
Remaining
Unexpended
Percent
62.8
75.3
63.4
70.6
66.3
100.0
62.9
72.0
60.0
76.5
63.4
63.4
63.4
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
PUBLIC WORKS - VEHICLE MAINT
Cur Mo
Expended
PROGRAM TOTALS
01 VEHICLE DIVISION ADMINSTRATION
02 VEHICLE MAINTENANCE PROGRAM
13,780
97,313
Totals
111,093
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
46,204
19,785
130
4,168
1
40,305
o
o
500
Totals
111,093
SOURCE OF FUNDS
660 VEHICLE MAINTENANCE FUND
111,093
Totals
111,093
18
Y-T-D
Expended
71,059
476,317
547,376
252,390
90,404
130
19,740
443
183,769
o
o
500
547,376
547,376
547,376
2007
Budget
185,783
1,392,570
1,578,353
695,541
237,031
2,250
78,151
1,060
555,370
o
530
8,420
1,578,353
1,578,353
1,578,353
41.6%
58.3%
Unexpended
Balance
114,724
916,253
1,030,977
443,151
146,627
2,120
58,411
617
371,601
o
530
7,920
1,030,977
1,030,977
1,030,977
Completed
Remaining
Unexpended
Percent
61. 8
65.8
65.3
63.7
61. 9
94.2
74.7
58.2
66.9
100.0
94.1
65.3
65.3
65.3
.06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
COMMUNITY SERVICE PROGRAMS
Cur Mo
Expended
PROGRAM TOTALS
02 COMMUNITY GROUPS & MISC
03 4TH OF JULY & CIVIC EVENTS,ETC
04 HOLIDAY DECORATIONS
05 BLOOD DONOR PROGRAM
3,167
1,719
551
218
Totals
5,655
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
520
197
4,442
o
496
o
Totals
5,655
SOURCE OF FUNDS
001 GENERAL FUND
5,655
Totals
5,655
19
Y-T-D
Expended
38,642
1,824
15,577
1,028
57,071
2,669
858
44,882
o
8,751
-89
57,071
57,071
57,071
2007
Budget
126,100
136,685
87,178
2,887
352,850
88,650
16,210
208,875
o
29,115
10,000
352,850
352,850
352,850
41. 6%
58.3%
Completed
Remaining
Unexpended Unexpended
Balance Percent
87,458
134,861
71,601
1,859
295,779
85,981
15,352
163,993
o
20,364
10,089
295,779
295,779
295,779
69.4
98.7
82.1
64.4
83.8
97.0
94.7
78.5
69.9
100.9
83.8
83.8
83.8
06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
CAPITAL IMPROVEMENT PROJECTS
Cur Mo
Expended
PROGRAM TOTALS
01 VILLAGE IMPROVEMENTS & EQUIP
02 COMMUNITY IMPROVEMENT PROJECTS
03 DOWNTOWN REDEVELOPMENT CONST
04 FLOOD CONTROL PROJECTS
06 STREET IMPROVEMENT PROJECTS
09 MOTOR EQUIPMENT REPLACEMENT
10 COMPUTER REPLACEMENT
70,647
o
12,865
o
630,301
163,028
30,424
Totals
907,265
EXPENDITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
55 UTILITIES
59 OTHER EXPENDITURES
62 LAND IMPROVEMENTS
64 BUILDING IMPROVEMENTS
65 OFFICE EQUIPMENT
66 MOBILE EQUIPMENT
67 OTHER EQUIPMENT
69 INFRASTRUCTURE
72 INTEREST EXPENSE
80 INTERFUND TRANSFERS
34,915
o
o
o
23,216
30,424
198,983
2,250
617,477
o
o
Totals
907,265
SOURCE OF FUNDS
050 MOTOR FUEL TAX FUND
510 CAPITAL IMPROVEMENT FUND
526 SERIES 2003 PROJECT FUND
550 DOWNTOWN REDEVLPMNT CONST
560 STREET IMPROVEMENT CONST FUND
590 FLOOD CONTROL CONST FUND
630 PARKING SYSTEM REVENUE FUND
670 VEHICLE REPLACEMENT FUND
680 COMPUTER REPLACEMENT FUND
620,294
70,647
o
12,865
10,007
o
o
163,028
30,424
Totals
907,265
20
Y-T-D
Expended
151,179
o
85,372
o
946,310
278,093
30,424
1,491,378
98,832
o
31,647
o
24,524
30,424
334,863
6,474
942,779
21,835
o
1,491,378
936,303
151,179
o
85,372
10,007
o
o
278,093
30,424
1,491,378
2007
Budget
891,993
60,000
2,454,287
244,000
3,591,698
1,406,810
249,050
8,897,838
386,100
o
1,778,000
50,000
307,855
294,050
1,566,810
396,138
4,076,585
42,300
o
8,897,838
1,257,791
1,026,993
o
2,454,287
2,258,907
244,000
o
1,406,810
249,050
8,897,838
41. 6%
58.3%
Unexpended
Balance
740,814
60,000
2,368,915
244,000
2,645,388
1,128,717
218,626
7,406,460
287,268
o
1,746,353
50,000
283,331
263,626
1,231,947
389,664
3,133,806
20,465
o
7,406,460
321,488
875,814
o
2,368,915
2,248,900
244,000
o
1,128,717
218,626
7,406,460
Completed
Remaining
Unexpended
Percent
83.1
100.0
96.5
100.0
73.7
80.2
87.8
83.2
74.4
98.2
100.0
92 .0
89.7
78.6
98.4
76.9
48.4
83.2
25.6
85.3
96.5
99.6
100.0
80.2
87.8
83.2
.06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
DEBT SERVICE
Cur Mo
Expended
PROGRAM TOTALS
02 DEBT SERVICE - PROPERTY TAXES
03 DEBT SERVICE - TAX INCREMENT
04 DEBT SERVICE - H/R SALES TAX 1
05 DEBT SERVICE - H/R SALES TAX 2
06 SPECIAL SERVICE AREA B & I
307,680
3,988
42,469
o
o
Totals
354,137
EXPENDITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
71 BOND PRINCIPAL
72 INTEREST EXPENSE
73 BANK AND FISCAL FEES
80 INTERFUND TRANSFERS
SOURCE OF FUNDS
140
180
190
200
230
290
340
350
360
380
390
400
430
440
830
o
o
353,837
300
o
Totals
354,137
SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
SERIES 2002B B&I, PUBLIC BLDGS
SERIES 2002A B&I, TIF
SERIES 1999 B&I, TIF
SERIES 1996A B&I, FLOOD
SERIES 1998A B&I, FLOOD
SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
SERIES 2000 B&I, FLOOD CONTROL
SERIES 2002B B&I, FLOOD
SERIES 1998A B&I, STREET IMP.
SERIES 2002B B&I, STREET IMP.
SSA #6 GEORGE/ALBERT B&I
o
91,883
215,797
o
o
o
o
1,398
3,988
o
41,071
o
o
o
o
Totals
354,137
21
Y-T-D
Expended
712,980
77,038
231,044
o
o
1,021,062
o
244,359
775,503
1,200
o
1,021,062
405,000
91,883
216,097
o
o
73,050
o
1,398
3,988
188,275
41,371
o
o
o
o
1,021,062
2007
Budget
1,685,359
1,069,675
1,408,894
o
o
4,163,928
o
2,874,195
1,286,733
3,000
o
4,163,928
405,000
383,765
896,594
o
o
916,100
o
67,795
153,575
613,356
727,743
o
o
o
o
4,163,928
41.6%
58.3%
Unexpended
Balance
972,379
992,637
1,177,850
o
o
3,142,866
o
2,629,836
511,230
1,800
o
3,142,866
o
291,882
680,497
o
o
843,050
o
66,397
149,587
425,081
686,372
o
o
o
o
3,142,866
Completed
Remaining
Unexpended
Percent
57.7
92.8
83.6
75.5
91.5
39.7
60.0
75.5
76.1
75.9
92.0
97.9
97.4
69.3
94.3
75.5
06/12/2007
11,20,02
FRRDBROl
SUM 031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
5 Months
7 Months
41.6%
58.3%
Completed
Remaining
Totals
Cur Mo Y-T-D 2007 Unexpended Unexpended
Expended Expended Budget Balance Percent
3,711 18,556 44,533 25,977 58.3
214,864 1,021,905 2,465,133 1,443,228 58.5
229,117 1,112,263 2,627,958 1,515,695 57.7
447,692 2,152,724 5,137,624 2,984,900 58.1
RETIREE PENSIONS
PROGRAM TOTALS
01 MISCELLANEOUS PENSIONS
02 POLICE PENSIONS
03 FIRE PENSIONS
EXPENDITURE CLASSIFICATION
53 PENSION BENEFITS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
Totals
447,692 2,151,905 5,131,324 2,979,419 58.1
0 750 5,800 5,050 87.1
0 69 500 431 86.2
447,692 2,152,724 5,137,624 2,984,900 58.1
SOURCE OF FUNDS
001 GENERAL FUND
710 POLICE PENSION FUND
720 FIRE PENSION FUND
Totals
3,711 18,556 44,533 25,977 58.3
214,864 1,021,905 2,465,133 1,443,228 58.5
229,117 1,112,263 2,627,958 1,515,695 57.7
447,692 2,152,724 5,137,624 2,984,900 58.1
22
.06/12/2007
11,20,02
FRRDBROl
SUM 031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 05/31/07
5 Months
7 Months
41.6%
58.3%
Completed
Remaining
Totals
Cur Mo Y-T-D 2007 Unexpended Unexpended
Expended Expended Budget Balance Percent
122,700 700,799 1,360,353 659,554 48.5
410,831 2,112,532 5,211,598 3,099,066 59.5
533,531 2,813,331 6,571,951 3,758,620 57.2
RISK MANAGEMENT
PROGRAM TOTALS
01 CASUALTY & PROPERTY INSURANCE
02 MEDICAL INSURANCE
EXPENDITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
56 INSURANCE
67 OTHER EQUI PMENT
Totals
22 6,064 34,000 27,936 82.2
533,509 2,807,267 6,532,451 3,725,184 57.0
0 0 5,500 5,500 100.0
533,531 2,813,331 6,571,951 3,758,620 57.2
SOURCE OF FUNDS
690 RISK MANAGEMENT FUND
533,531
2,813,331
6,571,951
3,758,620
57.2
Totals
533,531
2,813,331
6,571,951
3,758,620
57.2
23
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
NON-DEPARTMENTAL
Cur Mo
Expended
PROGRAM TOTALS
01 CONTINGENCIES
Totals
EXPENDITURE CLASSIFICATION
80 INTERFUND TRANSFERS
Totals
SOURCE OF FUNDS
001 GENERAL FUND
560 STREET IMPROVEMENT CONST FUND
670 VEHICLE REPLACEMENT FUND
Totals
24
Y-T-D
Expended
2007
Budget
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
41.6%
58.3%
Completed .
Remaining
Unexpended Unexpended
Balance Percent
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
o
· 06/12/2007
11,20,02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
CAPITAL FIXED ASSETS
Cur Mo
Expended
Unexpended
Percent
PROGRAM TOTALS
00 CAPITAL FIXED ASSETS
Totals
EXPENDITURE CLASSIFICATION
59 OTHER EXPENDITURES
Totals
SOURCE OF FUNDS
910 GENERAL FIXED ASSETS ACCT GP
Totals
25
Y-T-D
Expended
2007
Budget
o
o
o
o
o
o
o
o
o
o
o
o
41.6%
58.3%
Unexpended
Balance
o
o
o
o
o
o
Completed
Remaining
o
o
o
o
o
o
06/12/2007
11:20:02
FRRDBROl
SUM 031
5 Months
7 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/07 - 05/31/07
MOUNT PROSPECT LIBRARY
Cur Mo
Expended
Unexpended
Balance
Unexpended
Percent
PROGRAM TOTALS
02 LIBRARY SERVICES
Totals
EXPENDITURE CLASSIFICATION
90 COMPONENT UNIT EXPENDITURES
Totals
SOURCE OF FUNDS
950 MOUNT PROSPECT LIBRARY FUND
Totals
26
Y-T-D
Expended
o
o
o
o
o
o
2007
Budget
o
8,572,028
o
8,572,028
o
8,572,028
o
8,572,028
o
8,572,028
o
8,572,028
41.6%
58.3%
Completed .
Remaining
8,572,028 100.0
8,572,028 100.0
8,572,028 100.0
8,572,028 100.0
8,572,028 100.0
8,572,028 100.0