HomeMy WebLinkAbout3. BILLS & FINANCIAL REPORT 08/18/2009
Mount Prospect
INTEROFFICE MEMORANDUM
Village of Mount Prospect
Mount Prospect, Illinois
TO: VILLAGE PRESIDENT AND BOARD OF TRUSTEES
FINANCE COMMISSION
FROM: FINANCE DIRECTOR
DATE: AUGUST 14, 2009
SUBJECT: MONTHLY FINANCIAL REPORT - JULY 2009
Attached hereto are the cash position and investment statements of the Village for the month ended
July 31,2009. These statements provide a snapshot of the Village's cash position as of the month
end date noted and are intended to supplement the budget revenue and expenditure summary and
listing of bills you currently receive. The first statement presents the Village's cash position broken
down by governmental and enterprise funds and trust and agency funds. The second statement
presents the Village's cash position by fund type. The third statement presents the list of
investments again broken down by governmental and enterprise funds and trust and agency funds.
It is important to note that although we have included the trust and agency funds in the cash
position report, these are not funds accessible for Village operations. They are restricted for
pension and escrow funding only.
Please read the summary that follows for further detail on the cash position of the Village.
Cash and Investment Position Report - All Funds (paQe 1)
This report provides a detailed summary of cash and investments for the Village broken out by
governmental and enterprise funds and trust and agency funds. Governmental funds include the
General Fund, Special Revenue Funds, Debt Service Funds, Capital Project Funds and Internal
Service Funds. The Enterprise Funds consist of the Water and Sewer Fund and two (2) Parking
Funds.
Trust funds include the Village's two public safety pensions (Police and Firefighters') while the
agency funds include the Escrow Deposit, Flexcomp Escrow, Special Service Area and Library
Bonds Escrow Funds. The Escrow Deposit Fund accounts for refundable deposits held by the
Village to ensure completion of public improvements. The Flexcomp Escrow Fund accounts for
employee payroll deductions pursuant to a Section 125 flexible compensation plan. The Special
Service Area Fund and Library Bonds Escrow Fund account for the accumulation of monies for debt
service payments.
Governmental and Enterprise Funds - Cash and cash equivalents at June 30 were $23.9 million.
During July, cash receipts totaled $3,684,395.69. In addition investment income for the month was
$15,855.48 and inflows due to Interfund activity generated $10,700.00. Reductions in cash and
cash equivalents during July totaled $6,713,972.32. Of this amount, payments to vendors were
$4,621,532.84, employee payroll and related expenses were $2,089,758.92 and other
disbursements were $2,680.56. There was also a net increase in cash due to investment activities
of $2,496,588.52. Cash and cash equivalents at July 31 were $23.4 million.
Monthly Financial Report - July 2009
August 14, 2009
Page 2
Total investments at June 30 were $13.1 million. During the month, investments decreased
$2,496,588.52 as a result of fewer CD's being placed. Four CD's matured and just two were
purchased due to the low interest rates being offered. Total investments at July 31 were
$10,580,630.74,
Total cash and investments for Governmental and Enterprise Funds at June 30 were
$37,016,865.09. Cash and investments at July 30 totaled $34,013,843.94. This is a decrease of
$3,003,021.15 for the month.
Trust and Agency Funds - Cash and cash equivalents at June 30 were $4.5 million. During July,
cash receipts totaled $274,911.80. In addition investment income for the month was $135,883.06
and outflows due to Interfund activity totaled $10,700.00. There was also a net increase in cash
due to investment activities of $1,090,638.29. Reductions in cash and cash equivalents during July
totaled $615,826.12. Of this amount, payments to vendors were $186,188.36, employee payroll
and related expenses were $405,983.98, payments related to the flexible spending program totaled
$23,108.78 and other disbursements were $545.00. Cash and cash equivalents at July 31 were
$5.4 million.
Total investments at July 31 were $70,613,146.46, a decrease of $842,095.42 from June 30, 2009.
There were investment gains of $248,542.87 and a transfer to cash of $1,090,638.29 that
accounted for the change.
Total cash and investments for Trust and Agency Funds at June 30 were $75,998,999.92. Cash
and investments at July 31 totaled $76,031,811.53. This is an increase from the balance at June
30 of $32,811.61.
Summary of Cash Activity by Fund Type (paae 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 June 30 totaled $4,399,893.09. During July, cash
receipts totaled $2,140,880.08 and investment income was $5,988.83. Significant cash receipts
included sales and income taxes and telecommunication taxes.
Sales tax revenues for the month totaled $801,809. Of this amount, $722,387 was generated
from the 1 % state portion while $79,422 was generated from the .25% home rule portion. The
state portion showed a decrease of 16.0% from last year same time. The home rule portion fell
by a lesser amount, 28.8%. The difference in the change from prior year is due to the tax being
assessed on a different set of goods. Sales taxes received in July are for April sales as there is
a three-month lag in getting this distribution from the state.
H:\ACCT\Treasurer's Report\2009\Monthly Financial Report\Monthly Cash Position Report - July 2009.doc
Monthly Financial Report - July 2009
August 14,2009
Page 3
Income tax receipts in July totaled $365,907. Income tax receipts compared to last year are
down 20.1 % for the month and 14.6% for the year. We have adjusted the year-end estimate for
income taxes downward as a result. The new year-end estimate is $5,007,000, down from the
$5,424,000 originally budgeted.
Telecommunication tax receipts for July reflect April activity. Total receipts during July were
$301,740. This is 41.9% over July 2008. For the year, telecommunication taxes are ahead by
13.7%. This year-end estimate for this revenue was also adjusted based on activity to date.
We estimate that the total receipts for 2009 will exceed the budget by $266,000.
Disbursements from the General Fund for July included payments to vendors of $1,793,530.12 and
payments for employee wages and benefits of $1,691 ,755.32. Interfund transfers of $477,451.77
for health premiums and vehicle lease and maintenance payments were also made during July.
Cash and cash equivalents at July 31 were $3,580,157.91. In addition, investments consisting of
certificates of deposit were $2,068,555.68 bringing total cash and investments for the General Fund
to $5,648,713.59.
Statement of Investments (pages 3-4)
This report provides a breakdown of investments by governmental and enterprise funds and trust
and agency funds. The report also provides a fund-by fund breakdown of the investments.
Government and Enterprise Funds - The investments for the governmental and agency funds are
made up solely of certificates of deposit. Certificates of deposit have maturities of between 30 and
120 days and are currently placed with two different banks, Harris and Citibank. Below is a
breakdown of where the monies are placed.
Harris CDs
CitibanklPMA CDs
Market
Value
4,843,085.74
5,737,545.00
$ 10,580,630.74
Representing
Total Portfolio
45.773%
54.227%
100.000%
The portfolio weighted average return is 0.91 %. The portfolio return remains low on the types of
investments available to municipalities, typically certificate of deposits, money market accounts and
short-term treasuries.
Investment of the Village's general funds is governed by the Village Investment Policy. The policy
was last amended in November 2007.
Trust and Agency Funds - The investments for the trust and agency funds are made up of
certificates of deposits, fixed income investments and equity mutual funds. Certificates of deposit
held in the Escrow Deposit Fund have maturities of between 30 and 120 days. Most of the reserves
for this fund are invested in the more liquid money market account due to the nature of the deposit.
Escrow refunds are processed two times per month.
Investments for the Police and Firefighter Pension Funds consist of various fixed income securities
as well as equity mutual fund accounts. Wells Fargo is the third-party holder of the fixed income
H:\ACCT\Treasurer's Report\2009\Monthly Financial Report\Monthly Cash Position Report - July 2009.doc
Monthly Financial Report - July 2009
August14,2009
Page 4
securities. The funds are managed by two investment management firms. Capital Gains and
Segall Bryant each hold approximately one-half of the total fixed income securities. They also
maintain a portion of these assets in cash to help facilitate liquidity and trading.
Investments in equities consist of mutual funds spread across various sectors (small, mid and large-
cap stocks) as well as investment philosophies (value, core and growth). The pension funds also
have a small portion of their portfolio invested in international stocks. Each year the investment mix
is evaluated for optimal diversification to meet the pension funds investment policy goals and
objectives. Below is a breakdown of how the pension fund portfolios are invested.
Maturity Purchase Financial Investment CUSIP/ Interest Market
Date Date Institution Description Acct # Rate % Value
POLICE PENSION FUND (710)
Various Various Wells Fargo Wells Fargo Investments Various Various 20,119,335.90
Various Various Various Mutual Fund Investments Various Various 14,857,106.09
34,976,441.99
FIRE PENSION FUND (720)
Various Various Wells Fargo Wells Fargo Investments Various Various 21,691,467.77
Various Various Various Mutual Fund Investments Various Various 13,945,236.70
35,636,704.47
TOTAL TRUST AND AGENCY FUND INVESTMENTS $ 70,613,146.46
Investment of the Village's pension funds is governed by an Investment Policy adopted by each
Pension Board. The policy was last amended in 2007.
Conclusion
As mentioned earlier, this cash position report is intended to provide a snapshot of the Village's
cash position as of a particular month end date. Over time, this report will be able to provide trend
information to help in cash management duties, maximizing investment earnings while ensuring
availability of funds to meet the Village's commitments. The cash position report will be provided to
the Village Board and Finance Commission on a monthly basis moving forward.
~c7 CL-
David O. Erb
Finance Director
H:\ACCT\Treasurer's Report\2009\Monthly Financial Report\Monthly Cash Position Report - July 2009.doc
VILLAGE OF MOUNT PROSPECT
Preliminary Cash and Investment Position Report - All Funds
For the Month Ended July 31, 2009
GOVERNMENTAL AND ENTERPRISE FUNDS
Cash and Cash Total Cash and
Equivalents Investments Investments
Balance at June 30, 2009 $ 23,939,645.83 $ 13,077,219.26 $ 37,016,865.09
Cash receipts 3,684,395.69 3,684,395.69
Investment income 15,855.48 15,855.48
Transfers from investments to cash 5,229,613.35 (5,229,613.35)
Transfers to investments from cash (2,733,024.83) 2,733,024.83
Interfund activity 10,700.00 10,700.00
Disbursements:
Accounts payable (4,621,532.84 ) (4,621,532.84)
Payroll (2,089,758.92) (2,089,758.92)
Other (2,680.56) (2,680.56)
Balance at July 31, 2009 $ 23,433,213.20 $ 10,580,630.74 $ 34,013,843.94
TRUST AND AGENCY FUNDS *
Cash and Cash Total Cash and
Equivalents Investments Investments
Balance at June 30, 2009 $ 4,543,758.04 $ 71,455,241.88 $ 75,998,999.92
Cash receipts 274,911.80 274,911.80
Investment income (loss) 135,883.06 248,542.87 384,425.93
Transfers from investments to cash 1,991,895.29 (1,991,895.29)
Transfers to investments from cash (901,257.00) 901,257.00
Interfund activity (10,700.00) (10,700.00)
Disbursements:
Accounts payable (186,188.36) (186,188.36)
Payroll (405,983.98) (405,983.98)
Flex spending (23,108.78) (23,108.78)
Other (545.00) (545.00)
Balance at July 31, 2009 $ 5,418,665.07 $ 70,613,146.46 $ 76,031,811.53
* Assets are restricted in purpose and do not represent discretionary assets of the government.
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VILLAGE OF MOUNT PROSPECT
STATEMENT OF INVESTMENTS
As of July 31, 2009
GOVERNMENTAL AND ENTERPRISE FUNDS
Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted
Date Date Institution Description Acct # Rate % Value Avg Yield
GENERAL FUND (001)
08/11/09 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 512,584.62 1,691.53
09/08/09 06/09/09 Harris Certificate of Deposit 6900200546 0.650% 505,030.46 3,282.70
09/08/09 07/07/09 Harris Certificate of Deposit 6900214015 0.410% 500,940.60 2,053.86
10/13/09 06/09/09 Harris Certificate of Deposit 6900221843 1.030% 550,000.00 5,665.00
2,068,555.68 12,693.08
Weighted Average Return 0.614%
REFUSE DISPOSAL FUND (030)
08/11109 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 102,516.92 338.31
09/08/09 07/07/09 Harris Certificate of Deposit 6900214015 0.410% 250,4 70.30 1,026.93
10/13/09 06/09/09 Harris Certificate of Deposit 6900221843 1.030% 100,000.00 1,030.00
452,987.22 2,395.23
Weighted Average Return 0.529%
CAPITAL IMPROVEMENT FUND (510)
08/11109 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 51,258.46 169.15
51,258.46 169.15
Weighted Average Return 0.330%
SERIES 2009 CONSTRUCTION FUND (528)
09/16/09 04/30/09 Citibank/PMA Certificate of Deposit 132426 0.960% 1,567,942.00 15,052.24
10/21109 04/30/09 Citibank/PMA Certificate of Deposit 132425 1.160% 1,687,941.00 19,580.12
11/18/09 04/30/09 Citibank/PMA Certificate of Deposit 132424 1.280% 248,200.00 3,176.96
11118/09 04/30/09 Citibank/PMA Certificate of Deposit 132423 1.280% 248,200.00 3,176.96
11118/09 04/30/09 Citibank/PMA Certificate of Deposit 132422 1.260% 1,071,542.00 13,501.43
12/16/09 04/30/09 Citibank/PMA Certificate of Deposit 132418 1.541% 245,200.00 3,778.53
12/16/09 04/30/09 Citibank/PMA Certificate of Deposit 132419 1.490% 245,400.00 3,656.46
12/16/09 04/30/09 Citibank/PMA Certificate of Deposit 132420 1.402% 245,600.00 3,443.31
12/16/09 04/30/09 Citibank/PMA Certificate of Deposit 132421 1.370% 177,520.00 2,432.02
5,737,545.00 67,798.04
Weighted Average Return 1.182%
WATER AND SEWER FUND (610)
08/11109 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 205,033.84 676.61
10/13/09 06/09/09 Harris Certificate of Deposit 6900221843 1.030% 150,000.00 1,545.00
355,033.84 2,221.61
Weighted Average Return 0.626%
VEHICLE MAINTENANCE FUND (660)
08/11109 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 51,258.45 169.15
51,258.45 169.15
Weighted Average Return 0.330%
VEHICLE REPLACEMENT FUND (670)
08/11109 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 51,258.45 169.15
09/08/09 07/07/09 Harris Certificate of Deposit 6900214015 0.410% 500,940.60 2,053.86
09/08/09 06/09/09 Harris Certificate of Deposit 6900200546 0.650% 505,030.45 3,282.70
10/13/09 06/09/09 Harris Certificate of Deposit 6900221843 1.030% 50,000.00 515.00
1,107,229.50 6,020.71
Weighted Average Return 0.544%
3
VILLAGE OF MOUNT PROSPECT
STATEMENT OF INVESTMENTS
As of July 31, 2009
GOVERNMENTAL AND ENTERPRISE FUNDS (continued)
Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted
Date Date Institution Description Acct# Rate % Value Avg Yield
RISK MANAGEMENT FUND (690)
08/11/09 07/07/09 Harris Certificate of Deposit 6900156783 0.330% 256,292.29 845.76
09/08/09 07/07/09 Harris Certificate of Deposit 6900214015 0.410% 250,4 70.30 1,026.93
10/13/09 06/09/09 Harris Certificate of Deposit 6900221843 1.030% 250,000.00 2,575.00
756,762.59 4,447.69
Weighted Average Return 0.588%
GOVERNMENTAL AND ENTERPRISE FUNDS Market Representing Weighted
SUMMARY BY TYPE OF INVESTMENTIINSTITUTION: Value Total Portfolio Avg Yield
Harris CDs 4,843,085.74 45.773% 28,116.64
Citibank/PMA CDs 5,737,545.00 54.227% 67,798.04
$ 10,580,630.74 100.000% 95,914.67
Portfolio Weighted Average Return
0.907%
TRUST AND AGENCY FUNDS *
Maturity Purchase Financial
Date Date Institution
POLICE PENSION FUND (710)
Various Various Wells Fargo
Various Various Various
Investment
Description
CUSIP/
Acct#
Interest
Rate %
Market
Value
Weighted
Avg Yield
Wells Fargo Investments
Mutual Fund Investments
Various
Various
Various
Various
20,119,335.90
14,857,106.09
34,976,441.99
FIRE PENSION FUND (720)
Various Various Wells Fargo
Various Various Various
Wells Fargo Investments
Mutual Fund Investments
Various
Various
Various
Various
21,691,467.77
13,945,236.70
35,636,704.47
TOTAL TRUST AND AGENCY FUND INVESTMENTS
$ 70,613,146.46
* Assets are restricted in purpose and do not represent discretionary assets of the government.
4
VILLAGE OF MOUNT PROSPECT
BUDGET REVENUE
&
EXPENDITURE SUMMARIES
July 1 - July 31, 2009
08/12/2009
09:44:40
VILLAGE OF MOUNT PROSPECT
Budget Revenue Summary
01/01/09 - 07/31/09
Cur Mo
Received
REVENUE BY CLASSIFICATION
PROPERTY TAXES
OTHER TAXES
LICENSES, PERMITS & FEES
INTERGOVERMENT REV.
CHARGES FOR SERVICE
FINES AND FORFEITS
INVESTMENT INCOME
REIMBURSEMENTS
OTHER REVENUE
OTHER FINANCING SOURCES
Total All Funds
54,304
910,743
99,122
1,348,097
1,576,690
56,932
398,029
5,584
289,205
120
4,738,826
REVENUE BY FUND
GENERAL FUND
REFUSE DISPOSAL FUND
MOTOR FUEL TAX FUND
LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRNT
ASSET SEIZURE FUND
DEA SHARED FUNDS FUND
DUI FINE FUND
FOREIGN FIRE TAX BOARD FUND
SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
SERIES 2009 B&I, FD/PW
SERIES 1999 B&I, TIF
SERIES 1998A B&I, FLOOD
SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
SERIES 2000 B&I, FLOOD CONTROL
SERIES 2002B B&I, FLOOD
CAPITAL IMPROVEMENT FUND
SERIES 2009 CONST FUND
DOWNTOWN REDEVLPMNT CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST FUND
WATER AND SEWER FUND
VILLAGE PARKING SYSTEM FUND
PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
VEHICLE REPLACEMENT FUND
COMPUTER REPLACEMENT FUND
RISK MANAGEMENT FUND
POLICE PENSION FUND
FIRE PENSION FUND
SSA #6 GEORGE/ALBERT B&I
GENERAL FIXED ASSETS ACCT GP
Total All Funds
2,184,338
126,529
84,687
o
29,068
7
7
4,118
8,241
1
1,435
3,440
2,308
o
o
o
79,422
o
o
76,068
7,296
-1,338
100,071
720
724,855
9,944
11,450
138,173
80,795
16,471
503,731
277,255
269,734
o
o
4,738,826
1
Y-T-D
Received
6,679,493
5,616,088
2,331,265
6,941,103
11,804,912
283,018
3,130,144
139,986
3,029,971
10,117,610
50,073,590
17,755,012
2,127,574
770,342
o
105,512
1,690
46
10,735
8,294
7
181,006
432,650
242,495
o
o
11
297,745
o
o
297,466
9,898,241
947,262
434,963
8,955
5,574,909
70,369
72,995
967,967
810,071
115,656
3,798,117
2,672,203
2,471,291
6
o
50,073,590
7 Months
5 Months
2009
Budget
13,678,000
15,803,000
3,857,000
18,986,414
22,435,567
730,000
6,839,000
401,000
5,958,952
12,623,000
101,311,933
41,460,000
4,166,000
1,812,000
o
785,604
12,000
2,000
21,000
41,000
o
385,000
918,000
o
o
o
o
1,250,000
o
o
1,374,810
12,784,000
2,675,000
1,530,000
108,500
11,983,000
161,000
161,000
1,671,682
1,159,700
220,281
6,683,556
4,966,500
4,980,300
o
o
101,311,933
58.3%
41.6%
Unreceived
Balance
6,998,507
10,186,912
1,525,735
12,045,311
10,630,655
446,982
3,708,856
261,014
2,928,981
2,505,390
51,238,343
23,704,988
2,038,426
1,041,658
o
680,092
10,310
1,954
10,265
32,706
-7
203,994
485,350
-242,495
o
o
-11
952,255
o
o
1,077,344
2,885,759
1,727,738
1,095,037
99,545
6,408,091
90,631
88,005
703,715
349,629
104,625
2,885,439
2,294,297
2,509,009
-6
o
51,238,343
Completed
Remaining
Unreceived
Percent
51.2
64.5
39.6
63.4
47.4
61.2
54.2
65.1
49.2
19.8
50.6
57.2
48.9
57.5
86.6
85.9
97.7
48.9
79.8
53.0
52.9
76.2
78.4
22.6
64.6
71.6
91. 7
53.5
56.3
54.7
42.1
30.1
47.5
43.2
46.2
50.4
50.6
08/12/2009
09:45:13
FRRBRR03
SUM021
7 Months
5 Months
58.3%
41.6%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/09 - 07/31/09
Cur Mo
Received
GENERAL FUND
40 PROPERTY TAXES
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
43 INTERGOVERMENT REV.
44 CHARGES FOR SERVICE
45 FINES AND FORFEITS
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
40,905
639,745
96,702
1,237,392
99,839
48,934
4,090
2,460
14,151
120
TOTAL GENERAL FUND
2,184,338
REFUSE DISPOSAL FUND
40 PROPERTY TAXES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
48 OTHER REVENUE
6,317
108,964
383
10,865
TOTAL REFUSE DISPOSAL FUND
126,529
MOTOR FUEL TAX FUND
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
47 REIMBURSEMENTS
81,638
129
2,920
TOTAL MOTOR FUEL TAX FUND
84,687
LAW ENFORCEMENT BLOCK GRANT
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
TOTAL LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRNT
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
48 OTHER REVENUE
29,067
1
o
TOTAL COMMUNITY DEVELPMNT BLOCK GRNT
29,068
ASSET SEIZURE FUND
45 FINES AND FORFEITS
46 INVESTMENT INCOME
TOTAL ASSET SEIZURE FUND
DEA SHARED FUNDS FUND
45 FINES AND FORFEITS
46 INVESTMENT INCOME
Y-T-D
Received
4,994,256
2,905,217
2,312,860
6,128,044
869,024
258,918
47,317
129,896
108,859
621
17,755,012
830,002
1,225,182
7,431
64,959
2,127,574
761,929
692
7,721
770,342
o
o
o
32,380
16
73,116
105,512
o
7
1,589
101
7
1,690
o
7
2009
Budget
10,637,000
7,594,000
3,775,000
16,250,500
1,590,500
699,000
402,000
329,000
183,000
o
41,460,000
1,750,000
2,230,000
35,000
151,000
4,166,000
1,736,000
16,000
60,000
1,812,000
o
o
o
745,604
o
40,000
785,604
10,000
2,000
12,000
o
46
1,000
1,000
Unreceived
Balance
5,642,744
4,688,783
1,462,140
10,122,456
721,476
440,082
354,683
199,104
74,141
-621
23,704,988
919,998
1,004,818
27,569
86,041
2,038,426
974,071
15,308
52,279
1,041,658
o
o
o
713,224
-16
-33,116
680,092
8,411
1,899
10,310
1,000
954
Completed
Remaining
Unreceived
Percent
53.0
61. 7
38.7
62.3
45.4
63.0
88.2
60.5
40.5
57.2
52.6
45.1
78.8
57.0
48.9
56.1
95.7
87.1
57.5
o
o
o
95.7
-82.8
86.6
84.1
95.0
85.9
100.0
95.4
08/12/2009
09:45:13
FRRBRR03
SUM021
7 Months
5 Months
58.3%
Completed
Remaining
41. 6%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/09 - 07/31/09
Cur Mo
Received
Y-T-D
Received
2009
Budget
Unreceived
Balance
Unreceived
Percent
97.7
TOTAL DEA SHARED FUNDS FUND
DUI FINE FUND
45 FINES AND FORFEITS
46 INVESTMENT INCOME
4,118
o
TOTAL DUI FINE FUND
4,118
FOREIGN FIRE TAX BOARD FUND
41 OTHER TAXES
46 INVESTMENT INCOME
8,240
1
TOTAL FOREIGN FIRE TAX BOARD FUND
8,241
SERIES 1987A B&I, PW FACILITY
40 PROPERTY TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
7
46
2,000
20,000
1,000
21,000
40,000
1,000
41,000
o
7
7
10,731
4
10,735
8,270
24
8,294
o
1
1
1,954
9,269
996
46.3
99.6
10,265
48.9
31,730
976
79.3
97.6
32,706
79.8
o
o
o
-7
o
-7
1,417 180,813 381,000 200,187 52.5
18 193 4,000 3,807 95.2
0 0 0 0
1,435 181,006 385,000 203,994 53.0
TOTAL SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
3,393
47
o
TOTAL SERIES 2003 B&I, VILLAGE HALL
3,440
SERIES 2009 B&I, FD/PW
40 PROPERTY TAXES
46 INVESTMENT INCOME
2,272
36
TOTAL SERIES 2009 B&I, FO/PW
2,308
SERIES 1999 B&I, TIF
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1999 B&I, TIF
SERIES 1998A B&I, FLOOD
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 1998A B&I, FLOOD
432,149
501
o
432,650
242,273
222
242,495
o
o
o
o
o
o
910,000
8,000
o
918,000
o
o
o
o
o
o
477,851
7,499
o
52.5
93.7
485,350
52.9
o
o
-242,273
-222
o
-242,495
o
o
o
o
o
o
o
o
o
o
o
o
08/12/2009
09:45:13
FRRBRR03
SUM021
7 Months
5 Months
58.3%
41.6%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/09 - 07/31/09
Cur Mo
Received
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
79,422
o
TOTAL IEPA FLOOD CONTROL LOANS B&I
79,422
SERIES 2000 B&I, FLOOD CONTROL
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SERIES 2000 B&I, FLOOD CONTROL
SERIES 2002B B&I, FLOOD
41 OTHER TAXES
49 OTHER FINANCING SOURCES
TOTAL SERIES 2002B B&I, FLOOD
CAPITAL IMPROVEMENT FUND
41 OTHER TAXES
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
73,068
o
135
o
2,865
o
TOTAL CAPITAL IMPROVEMENT FUND
76,068
SERIES 2009 CONST FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
7,296
o
o
TOTAL SERIES 2009 CONST FUND
7,296
DOWNTOWN REDEVLPMNT CONST
41 OTHER TAXES
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
-1,490
152
o
o
o
TOTAL DOWNTOWN REDEVLPMNT CONST
-1,338
STREET IMPROVEMENT CONST FUND
41 OTHER TAXES
46 INVESTMENT INCOME
100,054
17
Y-T-D
Received
o
o
o
297,745
o
297,745
o
o
o
o
o
o
273,925
18,750
1,926
o
2,865
o
297,466
26,252
o
9,871,989
9,898,241
944,309
1,201
1,752
o
o
947,262
425,815
892
2009
Budget
o
11
11
1,250,000
o
1,250,000
o
o
o
o
o
o
1,150,000
206,810
18,000
o
o
o
1,374,810
220,000
1,000
12,563,000
12,784,000
2,640,000
35,000
o
o
o
2,675,000
1,520,000
10,000
Unreceived
Balance
o
o
o
952,255
o
952,255
o
o
o
o
o
o
876,075
188,060
16,074
o
-2,865
o
1,077,344
193,748
1,000
2,691,011
2,885,759
1,695,691
33,799
-1,752
o
o
1,727,738
1,094,185
9,108
Completed
Remaining
Unreceived
Percent
o
-11
-11
76.2
76.2
o
o
o
o
o
o
76.2
90.9
89.3
78.4
88.1
100.0
21. 4
22.6
64.2
96.6
64.6
72.0
91.1
08/12/2009
09:45:13
FRRBRR03
SUM021
7 Months
5 Months
58.3%
41. 6%
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/09 - 07/31/09
Cur Mo
Received
48 OTHER REVENUE
TOTAL STREET IMPROVEMENT CONST FUND
100,071
FLOOD CONTROL CONST FUND
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
o
720
o
o
TOTAL FLOOD CONTROL CONST FUND
720
WATER AND SEWER FUND
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
5,350
1,700
716,106
701
o
998
o
TOTAL WATER AND SEWER FUND
724,855
VILLAGE PARKING SYSTEM FUND
41 OTHER TAXES
42 LICENSES, PERMITS & FEES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
2,859
o
7,079
6
TOTAL VILLAGE PARKING SYSTEM FUND
9,944
PARKING SYSTEM REVENUE FUND
41 OTHER TAXES
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
3,495
7,951
4
TOTAL PARKING SYSTEM REVENUE FUND
11,450
VEHICLE MAINTENANCE FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
48 OTHER REVENUE
138,060
113
o
TOTAL VEHICLE MAINTENANCE FUND
138,173
VEHICLE REPLACEMENT FUND
44 CHARGES FOR SERVICE
45 FINES AND FORFEITS
46 INVESTMENT INCOME
48 OTHER REVENUE
49 OTHER FINANCING SOURCES
75,132
3,880
1,783
o
o
Y-T-D
Received
o
8,256
434,963
o
8,785
o
170
8,955
736,987
9,620
4,799,271
15,489
o
13,542
o
5,574,909
10,719
o
59,583
67
70,369
13,101
59,811
83
72,995
966,400
1,275
292
967,967
525,932
11,780
27,359
o
245,000
2009
Budget
1,530,000
o
60,000
47,500
1,000
108,500
1,509,000
16,000
10,236,000
195,000
2,000
25,000
o
11,983,000
45,000
6,000
108,000
2,000
161,000
55,000
105,000
1,000
161,000
1,656,682
15,000
o
1,671,682
899,700
o
200,000
o
60,000
Unreceived
Balance
o
-8,256
1,095,037
o
51,215
47,500
830
99,545
772,013
6,380
5,436,729
179,511
2,000
11,458
o
6,408,091
34,281
6,000
48,417
1,933
90,631
41,899
45,189
917
88,005
690,282
13,725
-292
703,715
373,768
-11,780
172,641
o
-185,000
Completed
Remaining
Unreceived
Percent
71.6
85.4
100.0
83.0
91. 7
51.2
39.9
53.1
92.1
100.0
45.8
53.5
76.2
100.0
44.8
96.7
56.3
76.2
43.0
91. 7
54.7
41.7
91.5
42.1
41.5
86.3
-308.3
08/12/2009
09:45:13
FRRBRR03
SUM 021
7 Months
5 Months
58.3%
41. 6%
Completed
Remaining
Budget
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/09 - 07/31/09
Cur Mo
Received
Y-T-D
Received
2009
Budget
Unreceived
Balance
Unreceived
Percent
TOTAL VEHICLE REPLACEMENT FUND
80,795
30.1
COMPUTER REPLACEMENT FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
16,274
197
TOTAL COMPUTER REPLACEMENT FUND
16,471
RISK MANAGEMENT FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
810,071
113,915
1,741
115,656
1,159,700
195,281
25,000
220,281
349,629
81,366
23,259
41. 7
93.0
104,625
47.5
407,285 3,185,794 5,414,404 2,228,610 41.2
869 11,322 90,000 78,678 87.4
204 617 10,000 9,383 93.8
95,373 600,384 1,169,152 568,768 48.6
503,731 3,798,117 6,683,556 2,885,439 43.2
TOTAL RISK MANAGEMENT FUND
POLICE PENSION FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
185,630
91,625
TOTAL POLICE PENSION FUND
277,255
FIRE PENSION FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
196,406
73,328
TOTAL FIRE PENSION FUND
269,734
SSA #6 GEORGE/ALBERT B&I
46 INVESTMENT INCOME
TOTAL SSA #6 GEORGE/ALBERT B&I
GENERAL FIXED ASSETS ACCT GP
47 REIMBURSEMENTS
49 OTHER FINANCING SOURCES
TOTAL GENERAL FIXED ASSETS ACCT GP
MOUNT PROSPECT LIBRARY FUND
49 OTHER FINANCING SOURCES
TOTAL MOUNT PROSPECT LIBRARY FUND
1,548,843
1,123,360
2,672,203
1,436,953
1,034,338
2,471,291
o
o
o
o
o
o
o
2,693,000
2,273,500
4,966,500
2,864,000
2,116,300
4,980,300
6
6
o
o
o
o
9,450,626
o
9,450,626
1,144,157
1,150,140
42.5
50.6
2,294,297
46.2
1,427,047
1,081,962
49.8
51.1
2,509,009
50.4
o
-6
o
-6
o
o
o
o
o
o
9,450,626 100.0
9,450,626 100.0
08/12/2009
09:43:30
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/09 - 07/31/09
Cur Mo
Expended
Y-T-D
Expended
2009
Budget
58.3%
41. 6%
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
EXPENDITURE BY FUND
GENERAL FUND
REFUSE DISPOSAL FUND
MOTOR FUEL TAX FUND
LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRNT
ASSET SEIZURE FUND
DEA SHARED FUNDS FUND
DUI FINE FUND
FOREIGN FIRE TAX BOARD FUND
SERIES 1987A B&I, PW FACILITY
SERIES 2001 B&I, VILLAGE HALL
SERIES 2003 B&I, VILLAGE HALL
SERIES 2009 B&I, FD/PW
SERIES 1999 B&I, TIF
SERIES 1996A B&I, FLOOD
SERIES 1998A B&I, FLOOD
SERIES 1998C B&I, TIF
IEPA FLOOD CONTROL LOANS B&I
SERIES 2000 B&I, FLOOD CONTROL
CAPITAL IMPROVEMENT FUND
SERIES 2009 CONST FUND
DOWNTOWN REDEVLPMNT CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST FUND
WATER AND SEWER FUND
VILLAGE PARKING SYSTEM FUND
PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
3,127,619
639,089
22,011
525,312
1,406,613
45,924
556,689
94,834
45,761
52,491
632,586
45,395
26,322
110,774
235,868
594,697
16,909
2,735
o
o
8,181,629
4,032,615
337,758
99,889
o
247,345
921
o
o
o
o
o
o
o
o
o
o
o
19,644
o
o
647,186
53,828
354,815
o
1,069,700
5,510
11,983
178,030
15,389,913
5,245,589
223,165
3,561,972
9,153,172
259,934
4,064,290
894,161
143,918
53,326
1,785,235
129,623
1,101,675
440,220
311,761
2,707,742
265,053
344,092
1,050
o
46,075,891
23,001,949
2,262,660
1,348,252
o
354,418
7,416
o
853
8,237
o
83,320
200,553
o
o
o
o
o
326,322
o
105,814
2,228,023
175,785
1,010,152
510,048
4,780,360
41,550
74,137
930,316
26,976,217
9,732,355
526,619
5,985,000
19,097,242
657,765
6,962,783
1,887,744
1,920,250
62,800
11,008,906
503,564
2,535,500
3,127,373
2,337,040
4,935,000
1,225,219
678,783
1,200
o
100,161,360
41,954,900
4,196,092
2,113,102
o
810,604
2,000
1,000
1,500
15,500
o
381,340
910,508
o
o
o
o
o
613,354
o
1,544,850
12,784,000
1,925,650
2,856,600
235,000
12,515,305
131,484
143,903
1,671,682
11,586,304
4,486,766
303,454
2,423,028
9,944,070
397,831
2,898,493
993,583
1,776,332
9,474
9,223,671
373,941
1,433,825
2,687,153
2,025,279
2,227,258
960,166
334,691
150
o
54,085,469
18,952,951
1,933,432
764,850
o
456,186
-5,416
1,000
647
7,263
o
298,020
709,955
o
o
o
o
o
287,032
o
1,439,036
10,555,977
1,749,865
1,846,448
-275,048
7,734,945
89,934
69,766
741,366
43.0
46.1
57.6
40.5
52.1
60.5
41. 6
52.6
92.5
15.1
83.8
74.3
56.5
85.9
86.7
45.1
78.4
49.3
12.5
54.0
45.2
46.1
36.2
56.3
-270.8
100.0
43.1
46.9
78.2
78.0
46.8
93.2
82.6
90.9
64.6
-117.0
61. 8
68.4
48.5
44.3
08/12/2009
09:43:30
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3%
41.6%
Completed
Remaining
Cur Mo Y-T-D 2009 Unexpended Unexpended
Expended Expended Budget Balance Percent
VEHICLE REPLACEMENT FUND 26,322 1,101,675 2,535,500 1,433,825 56.5
COMPUTER REPLACEMENT FUND 45,000 116,613 188,150 71,537 38.0
RISK MANAGEMENT FUND 528,986 3,870,363 6,684,336 2,813,973 42.1
POLICE PENSION FUND 264,495 1,799,243 2,993,500 1,194,257 39.9
FIRE PENSION FUND 257,602 1,737,832 2,951,500 1,213,668 41.1
SSA #6 GEORGE/ALBERT B&I 0 0 0 0
GENERAL FIXED ASSETS ACCT GP 0 0 0 0
GENERAL LONG-TERM DEBT ACCT GP 0 0 0 0
Total All Funds 8,181,629 46,075,891 100,161,360 54,085,469 54.0
08/12/2009
09,45,43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
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
Y-T-D
Expended
2009
Budget
o
o
o
o
o
o
o
o
o
o
o
o
1
58.3% Completed
41.6% Remaining
o
o
o
o
o
o
o
o
o
o
o
o
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
PUBLIC REPRESENTATION
Cur Mo
Expended
PROGRAM TOTALS
02 MAYOR AND BOARD OF TRUSTEES
03 ADVISORY BOARDS & COMMISSIONS
12,494
543
Totals
13,037
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
3,139
549
4
8,494
19
832
Totals
13,037
SOURCE OF FUNDS
001 GENERAL FUND
13,037
Totals
13,037
?
Y-T-D
Expended
92,884
2,960
95,844
19,897
3,498
923
68,156
132
3,238
95,844
95,844
95,844
2009
Budget
129,856
7,448
137,304
33,967
5,955
8,900
83,132
500
4,850
137,304
137,304
137,304
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
36,972
4,488
41,460
14,070
2,457
7,977
14,976
368
1,612
41,460
41,460
41,460
28.5
60.3
30.2
41.4
41.3
89.6
18.0
73.6
33.2
30.2
30.2
30.2
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
VILLAGE MANAGER'S OFFICE
Cur Mo
Expended
PROGRAM TOTALS
01 VILLAGE MANAGER'S OFFICE
02 LEGAL SERVICES
03 HUMAN RESOURCES
04 INFORMATION TECHNOLOGY
05 PUBLIC INFORMATION
59,933
74,626
29,548
87,647
24,279
Totals
276,033
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
111,589
34,488
1,166
128,033
545
212
o
o
Totals
276,033
SOURCE OF FUNDS
001 GENERAL FUND
276,033
Totals
276,033
3
Y-T-D
Expended
348,032
452,342
163,656
503,216
165,560
1,632,806
582,100
202,147
16,838
823,398
3,635
4,469
219
o
1,632,806
1,632,806
1,632,806
2009
Budget
58.3%
41.6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
558,634
560,750
373,141
1,105,852
276,839
2,875,216
1,024,771
342,016
44,700
1,418,824
9,860
14,315
19,130
1,600
2,875,216
2,875,216
2,875,216
210,602
108,408
209,485
602,636
111,279
1,242,410
442,671
139,869
27,862
595,426
6,225
9,846
18,911
1,600
1,242,410
1,242,410
1,242,410
37.7
19.3
56.1
54.5
40.2
43.2
43.2
40.9
62.3
42.0
63.1
68.8
98.9
100.0
43.2
43.2
43.2
08/12/2009 7 Months 58.3% Completed
09:45:43 VILLAGE OF MOUNT PROSPECT 5 Months 4l.6% Remaining
FRRDBROl
SUM031 Department Budget Expenditure Summary
01/01/09 - 07/31/09
Cur Mo Y-T-D 2009 Unexpended Unexpended
TV SERVICES DIVISION Expended Expended Budget Balance Percent
PROGRAM TOTALS
02 CABLE TV OPERATIONS 15,512 90,381 141,989 51,608 36.3
04 INTERGOVERNMENTAL PROGRAMMING 4,556 27,830 49,424 21, 594 43.7
Totals 20,068 118,211 191,413 73,202 38.2
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 14,851 67,507 111,064 43,557 39.2
51 EMPLOYEE BENEFITS 4,203 24,809 41,653 16,844 40.4
52 OTHER EMPLOYEE COSTS 0 1,229 2,900 1,671 57.6
54 CONTRACTUAL SERVICES 888 11,305 18,936 7,631 40.3
55 UTILITIES 126 883 1,600 717 44.8
57 COMMODITIES & SUPPLIES 0 6,246 5,760 -486 -8.4
67 OTHER EQUIPMENT 0 6,232 9,500 3,268 34.4
Totals 20,068 118,211 191,413 73,202 38.2
SOURCE OF FUNDS
001 GENERAL FUND 20,068 118,211 191,413 73,202 38.2
Totals 20,068 118,211 191,413 73,202 38.2
4
08/12/2009 7 Months 58.3% Completed
09:45:43 VILLAGE OF MOUNT PROSPECT 5 Months 41.6% Remaining
FRRDBROl
SUM031 Department Budget Expenditure Sununary
01/01/09 - 07/31/09
Cur Mo Y-T-D 2009 Unexpended Unexpended
VILLAGE CLERK'S OFFICE Expended Expended Budget Balance Percent
PROGRAM TOTALS
02 VILLAGE CLERK'S OFFICE 24,034 118,065 217,076 99,011 45.6
Totals 24,034 118,065 217,076 99,011 45.6
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 13,846 73,615 123,762 50,147 40.5
51 EMPLOYEE BENEFITS 4,340 26,488 44,900 18,412 41.0
52 OTHER EMPLOYEE COSTS 0 1,087 2,580 1,493 57.9
54 CONTRACTUAL SERVICES 5,884 14,675 39,331 24,656 62.7
55 UTILITIES 63 441 1,700 1,259 74.1
57 COMMODITIES & SUPPLIES -99 1,759 4,803 3,044 63.4
Totals 24,034 118,065 217,076 99,011 45.6
SOURCE OF FUNDS
001 GENERAL FUND 24,034 118,065 217,076 99,011 45.6
Totals 24,034 118,065 217,076 99,011 45.6
5
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
FINANCE DEPARTMENT
Cur Mo
Expended
PROGRAM TOTALS
01 FINANCE ADMINISTRATION
02 ACCOUNTING
05 INSURANCE PROGRAMS
06 CUSTOMER SERVICE
07 CASH MANAGEMENT
24,464
51,792
28,153
47,592
3,124
Totals
155,125
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
94,263
28,893
786
11,006
375
19,503
299
o
Totals
155,125
SOURCE,OF FUNDS
001 GENERAL FUND
155,125
Totals
155,125
Y-T-D
Expended
205,053
275,380
181,129
239,742
16,360
917,664
479,595
172,251
4,854
107,304
2,439
136,522
14,269
430
917,664
917,664
917,664
6
2009
Budget
58,3%
41,6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
357,182
479,410
311,373
418,917
27,913
1,594,795
831,555
295,308
11,900
189,454
6,520
234,038
25,020
1,000
1,594,795
1,594,795
1,594,795
152,129
204,030
130,244
179,175
11,553
677,131
351,960
123,057
7,046
82,150
4,081
97,516
10,751
570
677,131
677,131
677,131
42,6
42,6
41.8
42,8
41.4
42.5
42.3
41.7
59.2
43.4
62.6
41.7
43.0
57.0
42.5
42.5
42.5
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
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
32,466
27,381
8,783
93,023
58,161
12,758
Totals
232,572
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
158,978
49,735
378
16,998
1,129
5,354
o
Totals
232,572
SOURCE OF FUNDS
001 GENERAL FUND
550 DOWNTOWN REDEVLPMNT CONST
232,572
o
Totals
232,572
Y-T-D
Expended
164,314
175,274
55,557
494,036
296,640
71,780
1,257,601
793,854
296,965
13,131
135,675
6,852
11,124
o
1,257,601
1,256,601
1,000
1,257,601
7
2009
Budget
285,081
367,504
148,732
995,627
580,743
127,033
2,504,720
1,390,145
511,065
35,808
496,195
19,274
22,633
29,600
2,504,720
2,503,720
1,000
2,504,720
58.3%
41.6%
Unexpended
Balance
120,767
192,230
93,175
501,591
284,103
55,253
1,247,119
596,291
214,100
22,677
360,520
12,422
11,509
29,600
1,247,119
1,247,119
1,247,119
Completed
Remaining
Unexpended
Percent
42.4
52.3
62.6
50.4
48.9
43.5
49.8
42.9
41. 9
63.3
72.7
64.4
50.9
100.0
49.8
49.8
o
49.8
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
COMMUNITY DEVELOPMENT - CDBG
Cur Mo
Expended
PROGRAM TOTALS
04 CDBG ADMINISTRATION
05 CDBG COMMUNITY PROGRAMS
06 ACCESSIBLTY & NEIGHBRHD IMPRV
07 CDBG RESIDENTIAL REHAB
10,513
n,375
126,972
78,485
Totals
247,345
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
62 LAND IMPROVEMENTS
69 INFRASTRUCTURE
6,516
2,101
61
33,210
o
25,994
52,491
126,972
Totals
247,345
SOURCE OF FUNDS
070 COMMUNITY DEVELPMNT BLOCK GRNT
247,345
Totals
247,345
8
Y-T-D
Expended
53,159
31,375
130,269
139,615
354,418
32,797
12,590
553
44,249
105
81,364
52,491
130,269
354,418
354,418
354,418
2009
Budget
95,604
80,000
380,000
255,000
810,604
61,473
22,064
2,165
148,925
977
195,000
o
380,000
810,604
810,604
810,604
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
42,445
48,625
249,731
115,385
456,186
28,676
9,474
1,612
104,676
872
113,636
-52,491
249,731
456,186
456,186
456,186
44.4
60.8
65.7
45.2
56.3
46.6
42.9
74.5
70.3
89.3
58.3
65.7
56.3
56.3
56.3
08/12/2009 7 Months 58.3% Completed
09:45:43 VILLAGE OF MOUNT PROSPECT 5 Months 41.6% Remaining
FRRDBROl
SUM031 Department Budget Expenditure Summary
01/01/09 - 07/31/09
Cur Mo Y-T-D 2009 Unexpended Unexpended
HUMAN SERVICES Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 HUMAN SERVICES ADMINISTRATION 16,546 92,367 200,270 107,903 53.9
02 SOCIAL SERVICES 37,878 2l4,521 366,097 151,576 41.4
03 NURSING/HEALTH SERVICES 20,208 106,349 195,471 89,122 45.6
04 SENIOR CITIZEN LEIS ACTIVITIES 3,096 16,064 42,596 26,532 62.3
05 COMMUNITY CONNECTIONS CENTER 28,129 92,933 405,857 312,924 77.1
Totals 105,857 522,234 1,210,291 688,057 56.9
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 65,825 304,764 677,842 373,078 55.0
51 EMPLOYEE BENEFITS 21,549 124,876 238,166 113,290 47.6
52 OTHER EMPLOYEE COSTS 220 1,420 10,700 9,280 86.7
54 CONTRACTUAL SERVICES 7,277 41,000 138,968 97,968 70.5
55 UTILITIES 746 4,371 15,200 10,829 7l.2
57 COMMODITIES & SUPPLIES 764 6,656 56,750 50,094 88.3
64 BUILDING IMPROVEMENTS 9,081 30,458 43,470 13,012 29.9
65 OFFICE EQUIPMENT 395 8,689 29,195 20,506 70.2
Totals 105,857 522,234 1,210,291 688,057 56.9
SOURCE OF FUNDS
001 GENERAL FUND 105,857 522,234 1,210,291 688,057 56.9
Totals 105,857 522,234 1,210,291 688,057 56.9
9
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
POLICE
Cur Mo
Expended
PROGRAM TOTALS
01 POLICE ADMINISTRATION
02 PATROL & TRAFFIC ENFORCEMENT
03 CRIME PREVTN & PUBLIC SERVICES
04 INVESTIGATIVE & JUVENILE PRGM
05 CROSSING GUARDS
06 EQUIPMENT MAINTENANCE
162,927
948,494
27,213
140,037
280
56,762
Totals
1,335,713
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
80 INTERFUND TRANSFERS
1,040,372
172,053
4,855
99,045
2,947
10,218
o
6,223
o
Totals
1,335,713
SOURCE OF FUNDS
001 GENERAL FUND
060 LAW ENFORCEMENT BLOCK GRANT
080 ASSET SEIZURE FUND
085 DEA SHARED FUNDS FUND
086 DUI FINE FUND
1,334,792
o
921
o
o
Totals
1,335,713
10
Y-T-D
Expended
1,735,638
5,000,219
141,606
746,975
18,409
417,429
8,060,276
5,310,753
1,785,384
88,316
770,431
18,375
68,083
3,172
15,762
o
8,060,276
8,052,007
o
7,416
o
853
8,060,276
2009
Budget
3,306,324
8,780,279
252,788
1,305,331
30,410
712,890
14,388,022
9,322,355
3,402,707
156,500
1,303,890
38,400
122,420
17,550
24,200
o
14,388,022
14,383,522
o
2,000
1,000
1,500
14,388,022
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
1,570,686
3,780,060
111,182
558,356
12,001
295,461
6,327,746
4,011,602
1,617,323
68,184
533,459
20,025
54,337
14,378
8,438
o
6,327,746
6,331,515
o
-5,416
1,000
647
6,327,746
47.5
43.1
44.0
42.8
39.5
41.4
44.0
43.0
47.5
43.6
40.9
52.1
44.4
81.9
34.9
44.0
44.0
-270.8
100.0
43.1
44.0
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
FIRE
Cur Mo
Expended
PROGRAM TOTALS
01 FIRE ADMINISTRATION
02 FIRE DEPARTMENT OPERATIONS
03 FIRE TRAINING ACADEMY
04 FIRE PREVENTION
05 FIRE COMMUNICATIONS
06 EQUIPMENT MAINTENANCE
07 EMERGENCY PREPAREDNESS PRGM
08 PAID-ON-CALL PROGRAM
10 FOREIGN FIRE INSURANCE
138,718
831,124
2,276
66,084
4,260
25,998
6,253
1,727
o
Totals
1,076,440
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
879,292
127,013
8,968
o
43,548
2,380
8,692
o
o
6,547
Totals
1,076,440
SOURCE OF FUNDS
001 GENERAL FUND
095 FOREIGN FIRE TAX BOARD FUND
1,076,440
o
Totals
1,076,440
Y-T-D
Expended
1,296,418
4,395,717
4,512
335,198
30,444
179,272
56,298
11,827
8,237
6,317,923
4,327,185
1,488,354
58,356
473
279,436
16,026
90,411
3,887
199
53,596
6,317,923
6,309,686
8,237
6,317,923
2009
Budget
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
2,525,746
7,549,623
14,131
594,865
59,300
548,839
49,579
36,948
15,500
11,394,531
7,479,511
2,920,735
157,505
500
475,065
42,000
174,975
3,800
2,150
138,290
11,394,531
11,379,031
15,500
11,394,531
1,229,328
3,153,906
9,619
259,667
28,856
369,567
-6,719
25,121
7,263
5,076,608
3,152,326
1,432,381
99,149
27
195,629
25,974
84,564
-87
1,951
84,694
5,076,608
5,069,345
7,263
5,076,608
48.7
41.8
68.1
43.7
48.7
67.3
-13.6
68.0
46.9
44.6
42.1
49.0
62.9
5.4
41. 2
61. 8
48.3
-2.3
90.7
61. 2
44.6
44.5
46.9
44.6
08/12/2009 7 Months 58.3% Completed
09:45:43 VILLAGE OF MOUNT PROSPECT 5 Months 41.6% Remaining
FRRDBROl
SUM031 Department Budget Expenditure Summary
01/01/09 - 07/31/09
Cur Mo Y-T-D 2009 Unexpended Unexpended
PUBLIC WORKS - ADMINISTRATION Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 PUBLIC WORKS ADMINISTRATION 118,988 787,025 1,390,732 603,707 43.4
Totals 118,988 787,025 1,390,732 603,707 43.4
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 25,145 132,872 256,740 123,868 48.2
51 EMPLOYEE BENEFITS 12,919 83,229 145,597 62,368 42.8
52 OTHER EMPLOYEE COSTS 2,838 15,694 30,802 15,108 49.0
54 CONTRACTUAL SERVICES 76,085 536,027 920,101 384,074 41. 7
55 UTILITIES 1,260 8,171 20,837 12,666 60.8
57 COMMODITIES & SUPPLIES 741 10,777 14,909 4,132 27.7
65 OFFICE EQUIPMENT 0 0 1,123 1,123 100.0
67 OTHER EQUIPMENT 0 255 623 368 59.1
Totals 118,988 787,025 1,390,732 603,707 43.4
SOURCE OF FUNDS
001 GENERAL FUND 118,988 787,025 1,390,732 603,707 43.4
Totals 118,988 787,025 1,390,732 603,707 43.4
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
PUBLIC WORKS - STREETS/BLDGS
Cur Mo
Expended
PROGRAM TOTALS
01 STREET DIVISION ADMINISTRATION
02 MAINTENANCE - PUBLIC BUILDINGS
04 STREET MAINTENANCE
05 SNOW REMOVAL
06 LEAF REMOVAL
07 STORM SEWER & BASIN MAINT
08 MAINTENANCE OF STATE HIGHWAYS
09 TRAFFIC SIGN MAINTENANCE
10 VILLAGE PARKING LOT MAINT
11 PARKING LOT MAINTENANCE
12 FLOOD CONTROL
13 STORM EVENT
15,033
96,913
98,347
15,335
o
22,171
3,136
17,759
5,510
11,983
o
o
Totals
286,187
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
144,061
36,357
38,232
6,904
133
5,174
o
o
o
55,326
Totals
286,187
SOURCE OF FUNDS
001 GENERAL FUND
050 MOTOR FUEL TAX FUND
620 VILLAGE PARKING SYSTEM FUND
630 PARKING SYSTEM REVENUE FUND
268,694
o
5,510
11,983
Totals
286,187
13
Y-T-D
Expended
90,586
510,736
222,630
579,376
o
104,659
30,906
67,101
41,550
74,137
o
o
1,721,681
820,143
228,592
331,276
15,962
932
267,050
o
o
o
57,726
1,721,681
1,412,667
193,327
41,550
74,137
1,721,681
2009
Budget
58.3%
41.6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
153,041
1,009,924
557,674
660,832
o
189,420
81,210
128,034
131,484
143,903
o
o
3,055,522
1,277,373
367,460
720,879
84,230
1,598
400,056
o
13,056
5,870
185,000
3,055,522
2,480,703
299,432
131,484
143,903
3,055,522
62,455
499,188
335,044
81,456
o
84,761
50,304
60,933
89,934
69,766
o
o
1,333,841
457,230
138,868
389,603
68,268
666
133,006
o
13,056
5,870
127,274
1,333,841
1,068,036
106,105
89,934
69,766
1,333,841
40.8
49.4
60.1
12.3
44.7
61. 9
47.6
68.4
48.5
43.7
35.8
37.8
54.0
81. 0
41. 7
33.2
100.0
100.0
68.8
43.7
43.1
35.4
68.4
48.5
43.7
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Swmnary
01/01/09 - 07/31/09
PUBLIC WORKS - FORESTRY/GRNDS
Cur Mo
Expended
PROGRAM TOTALS
01 FORESTRY DIVISION ADMIN
02 MAINTENANCE OF GROUNDS
03 FORESTRY PROGRAM
04 PUBLIC GROUNDS BEAUTIFICATION
24,635
59,801
89,760
6,138
Totals
180,334
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
67 OTHER EQUIPMENT
90,196
23,598
564
62,213
3,763
o
Totals
180,334
SOURCE OF FUNDS
001 GENERAL FUND
690 RISK MANAGEMENT FUND
180,334
o
Totals
180,334
14
Y-T-D
Expended
133,505
264,235
479,392
50,445
927,577
431,911
134,956
1,701
306,577
33,707
18,725
927,577
927,577
o
927,577
2009
Budget
226,515
537,937
1,188,133
102,986
2,055,571
748,292
232,023
3,662
942,738
74,549
54,307
2,055,571
2,044,071
11,500
2,055,571
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
93,010
273,702
708,741
52,541
1,127,994
316,381
97,067
1,961
636,161
40,842
35,582
1,127,994
1,116,494
11,500
1,127,994
41.1
50.9
59.7
51. 0
54.9
42.3
41. 8
53.5
67.5
54.8
65.5
54.9
54.6
100.0
54.9
08/12/2009
09:45:43
FRRDBROl
SUM031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3%
41. 6%
Completed
Remaining
Cur Mo Y-T-D 2009 Unexpended Unexpended
PUBLIC WORKS - ENGINEERING Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 ENGINEERING SERVICES 96 , 129 488,143 830,223 342,080 41.2
05 TRAFFIC CNTRL & STREET LGHTNG 116,086 297,199 721,493 424,294 58.8
Totals 212,215 785,342 1,551,716 766,374 49.4
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 86,251 415,381 683,255 267,874 39.2
51 EMPLOYEE BENEFITS 20,769 118,279 197,263 78,984 40.0
52 OTHER EMPLOYEE COSTS 0 2,782 5,552 2,770 49.9
54 CONTRACTUAL SERVICES 4,874 47,826 156,907 109,081 69.5
55 UTILITIES 17,489 107,359 225,000 117,641 52.3
57 COMMODITIES & SUPPLIES 1,556 9,242 32,855 23,613 71. 9
65 OFFICE EQUIPMENT 0 0 546 546 100.0
67 OTHER EQUIPMENT 0 0 1,638 1,638 100.0
69 INFRASTRUCTURE 81,276 84,473 248,700 164,227 66.0
Totals 212,215 785,342 1,551,716 766,374 49.4
SOURCE OF FUNDS
001 GENERAL FUND 112,326 596,242 1,066,146 469,904 44.1
050 MOTOR FUEL TAX FUND 99,889 189,100 485,570 296,470 61.1
Totals 212,215 785,342 1,551,716 766,374 49.4
15
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
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
116,507
27,198
17,236
57,910
144,813
42,584
41,055
55,819
29,945
240,050
296,583
Totals
1,069,700
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
211,269
61,536
2,171
431,504
11,853
5,856
11,790
o
o
97,853
235,868
Totals
1,069,700
SOURCE OF FUNDS
610 WATER AND SEWER FUND
1,069,700
Totals
1,069,700
16
Y-T-D
Expended
733,855
107,820
48,586
294,281
510,435
182,608
168,365
390,730
222,575
396,245
1,724,860
4,780,360
972,854
354,876
14,608
2,653,713
74,670
40,994
69,128
o
301
287,455
311,761
4,780,360
4,780,360
4,780,360
2009
Budget
58.3%
41.6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
1,425,582
203,986
101,058
1,030,137
1,092,408
392,170
390,778
669,823
1,115,863
2,315,500
3,778,000
12,515,305
1,874,948
637,578
49,430
6,052,354
190,944
70,276
236,365
o
7,575
1,058,795
2,337,040
12,515,305
12,515,305
12,515,305
691,727
96,166
52,472
735,856
581,973
209,562
222,413
279,093
893,288
1,919,255
2,053,140
7,734,945
902,094
282,702
34,822
3,398,641
116,274
29,282
167,237
o
7,274
771,340
2,025,279
7,734,945
7,734,945
7,734,945
48.5
47.1
51.9
71.4
53.3
53.4
56.9
41.7
80.1
82.9
54.3
61.8
48.1
44.3
70.4
56.2
60.9
41.7
70.8
96.0
72.9
86.7
61.8
61.8
61.8
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
PUBLIC WORKS - REFUSE DISPOSAL
Cur Mo
Expended
PROGRAM TOTALS
01 REFUSE DISPOSAL PROGRAM
02 REFUSE LEAF REMOVAL PROGRAM
323,067
14,691
Totals
337,758
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
20,312
6,015
o
309,195
25
2,211
o
Totals
337,758
SOURCE OF FUNDS
030 REFUSE DISPOSAL FUND
337,758
Totals
337,758
17
Y-T-D
Expended
2,182,427
80,233
2,262,660
104,403
35,892
o
2,101,133
177
15,479
5,576
2,262,660
2,262,660
2,262,660
2009
Budget
3,981,744
214,348
4,196,092
244,027
71,799
1,200
3,819,121
610
26,535
32,800
4,196,092
4,196,092
4,196,092
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
1,799,317
134,115
1,933,432
139,624
35,907
1,200
1,717,988
433
11,056
27,224
1,933,432
1,933,432
1,933,432
45.2
62.6
46.1
57.2
50.0
100.0
45.0
71.0
41. 7
83.0
46.1
46.1
46.1
08/12/2009 7 Months 58.3% Completed
09:45:43 VILLAGE OF MOUNT PROSPECT 5 Months 41.6% Remaining
FRRDBROl
SUM031 Department Budget Expenditure Swmnary
01/01/09 - 07/31/09
Cur Mo Y-T-D 2009 Unexpended Unexpended
PUBLIC WORKS - VEHICLE MAINT Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 VEHICLE MAINTENANCE ADMIN 17,910 97,431 189,625 92,194 48.6
02 VEHICLE MAINTENANCE PROGRAM 160,120 832,885 1,482,057 649,172 43.8
Totals 178,030 930,316 1,671,682 741,366 44.3
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES 100,090 455,157 737,906 282,749 38.3
51 EMPLOYEE BENEFITS 25,846 144,160 239,272 95,112 39.8
52 OTHER EMPLOYEE COSTS 0 1,673 2,315 642 27.7
54 CONTRACTUAL SERVICES 11,481 66,147 88,017 21,870 24.8
55 UTILITIES 63 441 1,090 649 59.5
57 COMMODITIES & SUPPLIES 40,399 261,289 599,037 337,748 56.4
59 OTHER EXPENDITURES 0 0 0 0
65 OFFICE EQUIPMENT 0 0 545 545 100.0
67 OTHER EQUIPMENT 151 1,449 3,500 2,051 58.6
Totals 178,030 930,316 1,671,682 741,366 44.3
SOURCE OF FUNDS
660 VEHICLE MAINTENANCE FUND 178,030 930,316 1,671,682 741,366 44.3
Totals 178,030 930,316 1,671,682 741,366 44.3
18
08/12/2009
09:45:43
FRRDBROl
SUM031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3%
41.6%
Completed
Remaining
Totals
Cur Mo Y-T-D 2009 Unexpended Unexpended
Expended Expended Budget Balance Percent
17,627 86,365 138,700 52,335 37.7
91,420 120,551 182,009 61,458 33.8
1,302 20,345 110,774 90,429 81. 6
166 1,465 2,897 1,432 49.4
110,515 228,726 434,380 205,654 47.3
COMMUNITY SERVICE PROGRAMS
PROGRAM TOTALS
02 COMMUNITY GROUPS & MISC
03 4TH OF JULY & CIVIC EVENTS, ETC
04 HOLIDAY DECORATIONS
05 BLOOD DONOR PROGRAM
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
54 CONTRACTUAL SERVICES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
Totals
61,624 65,125 97,231 32,106 33.0
7,125 8,243 16,794 8,551 50.9
36,627 124,326 249,685 125,359 50.2
5,139 31,032 62,670 31,638 50.5
0 0 8,000 8,000 100.0
110,515 228,726 434,380 205,654 47.3
SOURCE OF FUNDS
001 GENERAL FUND
110,515
228,726
228,726
434,380
205,654
47.3
Totals
110,515
434,380
205,654
47.3
19
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
CAPITAL IMPROVEMENT PROJECTS
Cur Mo
Expended
PROGRAM TOTALS
01 VILLAGE IMPROVEMENTS & EQUIP
02 COMMUNITY IMPROVEMENT PROJECTS
03 DOWNTOWN REDEVELOPMENT CONST
04 FLOOD CONTROL PROJECTS
06 STREET IMPROVEMENT PROJECTS
09 MOTOR EQUIPMENT REPLACEMENT
10 COMPUTER REPLACEMENT
11 STATION 14
12 EMERGENCY OPERATION CENTER
13 PUBLIC WORKS EXPANSION
o
o
53,828
o
354,815
26,322
45,000
390,259
150,862
106,065
Totals
1,127,151
EXPENDITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
59 OTHER EXPENDITURES
62 LAND IMPROVEMENTS
64 BUILDING IMPROVEMENTS
65 OFFICE EQUIPMENT
66 MOBILE EQUIPMENT
67 OTHER EQUIPMENT
69 INFRASTRUCTURE
71 BOND PRINCIPAL
72 INTEREST EXPENSE
80 INTERFUND TRANSFERS
81,434
19,767
o
623,505
45,000
26,322
o
331,123
o
o
o
Totals
1,127,151
SOURCE OF FUNDS
050 MOTOR FUEL TAX FUND
510 CAPITAL IMPROVEMENT FUND
528 SERIES 2009 CONST FUND
550 DOWNTOWN REDEVLPMNT CONST
560 STREET IMPROVEMENT CONST FUND
590 FLOOD CONTROL CONST FUND
630 PARKING SYSTEM REVENUE FUND
670 VEHICLE REPLACEMENT FUND
680 COMPUTER REPLACEMENT FUND
o
o
647,186
53,828
354,815
o
o
26,322
45,000
Totals
1,127,151
20
Y-T-D
Expended
96,819
8,995
174,785
510,048
1,975,977
1,101,675
116,613
1,386,309
448,667
393,047
6,212,935
688,348
62,554
835
1,750,890
116,613
1,101,675
56,746
2,435,274
o
o
o
6,212,935
965,825
105,814
2,228,023
174,785
1,010,152
510,048
o
1,101,675
116,613
6,212,935
2009
Budget
1,463,850
216,000
1,924,650
235,000
4,184,700
2,535,500
188,150
8,378,000
2,034,000
2,237,000
23,396,850
1,814,720
1,717,250
62,800
10,948,580
395,150
2,535,500
1,801,550
4,121,300
o
o
o
23,396,850
1,328,100
1,544,850
12,784,000
1,924,650
2,856,600
235,000
o
2,535,500
188,150
23,396,850
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
1,367,031
207,005
1,749,865
-275,048
2,208,723
1,433,825
71,537
6,991,691
1,585,333
1,843,953
17,183,915
1,126,372
1,654,696
61,965
9,197,690
278,537
1,433,825
1,744,804
1,686,026
o
o
o
17,183,915
362,275
1,439,036
10,555,977
1,749,865
1,846,448
-275,048
o
1,433,825
71,537
17,183,915
93.4
95.8
90.9
-117.0
52.8
56.5
38.0
83.5
77.9
82.4
73.4
62.1
96.4
98.7
84.0
70.5
56.5
96.9
40.9
73.4
27.3
93.2
82.6
90.9
64.6
-117.0
56.5
38.0
73.4
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
DEBT SERVICE
Cur Mo
Expended
PROGRAM TOTALS
02 DEBT SERVICE - PROPERTY TAXES
03 DEBT SERVICE - TAX INCREMENT
04 DEBT SERVICE - H/R SALES TAX 1
06 SPECIAL SERVICE AREA B & I
o
o
19,644
o
Totals
19,644
EXPENDITURE CLASSIFICATION
59 OTHER EXPENDITURES
71 BOND PRINCIPAL
72 INTEREST EXPENSE
73 BANK AND FISCAL FEES
80 INTERFUND TRANSFERS
o
16,909
2,735
o
o
Totals
19,644
SOURCE OF FUNDS
140 SERIES 1987A B&I, PW FACILITY
180 SERIES 2001 B&I, VILLAGE HALL
190 SERIES 2003 B&I, VILLAGE HALL
195 SERIES 2009 B&I, FD/PW
290 SERIES 1999 B&I, TIF
340 SERIES 1996A B&I, FLOOD
350 SERIES 1998A B&I, FLOOD
360 SERIES 1998C B&I, TIF
380 IEPA FLOOD CONTROL LOANS B&I
390 SERIES 2000 B&I, FLOOD CONTROL
830 SSA #6 GEORGE/ALBERT B&I
o
o
o
o
o
o
o
o
19,644
o
o
Totals
19,644
21
Y-T-D
Expended
283,873
o
326,322
o
610,195
o
265,053
344,092
1,050
o
610,195
o
83,320
200,553
o
o
o
o
o
326,322
o
o
610,195
2009
Budget
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
1,291,848
o
613,354
o
1,905,202
o
1,225,219
678,783
1,200
o
1,905,202
o
381,340
910,508
o
o
o
o
o
613,354
o
o
1,905,202
1,007,975
o
287,032
o
1,295,007
o
960,166
334,691
150
o
1,295,007
o
298,020
709,955
o
o
o
o
o
287,032
o
o
1,295,007
78.0
46.8
68.0
78.4
49.3
12.5
68.0
78.2
78.0
46.8
68.0
08/12/2009
09:45:43
FRRDBROl
SUM031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3%
41. 6%
Completed
Remaining
Totals
Cur Mo Y-T-D 2009 Unexpended Unexpended
Expended Expended Budget Balance Percent
3,800 26,594 46,500 19,906 42.8
264,495 1,799,243 2,993,500 1,194,257 39.9
257,602 1,737,832 2,951,500 1,213,668 41.1
525,897 3,563,669 5,991,500 2,427,831 40.5
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
525,312 3,561,499 5,984,500 2,423,001 40.5
585 2,170 5,000 2,830 56.6
0 0 2,000 2,000 100.0
525,897 3,563,669 5,991,500 2,427,831 40.5
SOURCE OF FUNDS
001 GENERAL FUND
710 POLICE PENSION FUND
720 FIRE PENSION FUND
Totals
3,800 26,594 46,500 19,906 42.8
264,495 1,799,243 2,993,500 1,194,257 39.9
257,602 1,737,832 2,951,500 1,213,668 41.1
525,897 3,563,669 5,991,500 2,427,831 40.5
22
08/12/2009
09:45:43
FRRDBROl
SUM03l
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3'0
41.6'0
Completed
Remaining
Totals
Cur Mo Y-T-D 2009 Unexpended Unexpended
Expended Expended Budget Balance Percent
96,470 992,452 967,700 -24,752 -2.6
432,516 2,877,911 5,705,136 2,827,225 49.6
528,986 3,870,363 6,672,836 2,802,473 42.0
RISK MANAGEMENT
PROGRAM TOTALS
01 CASUALTY & PROPERTY INSURANCE
02 MEDICAL INSURANCE
EXPENDITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
56 INSURANCE
67 OTHER EQUIPMENT
Totals
0 0 15,000 15,000 100.0
528,986 3,870,363 6,630,336 2,759,973 41.6
0 0 27,500 27,500 100.0
528,986 3,870,363 6,672,836 2,802,473 42.0
SOURCE OF FUNDS
690 RISK MANAGEMENT FUND
Totals
528,986
528,986
3,870,363
6,672,836
2,802,473
42.0
3,870,363
6,672,836
2,802,473
42.0
23
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
NON-DEPARTMENTAL
Cur Mo
Expended
Y-T-D
Expended
2009
Budget
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 CONTINGENCIES
o
o
Totals
o
o
EXPENDITURE CLASSIFICATION
80 INTERFUND TRANSFERS
o
o
Totals
o
o
SOURCE OF FUNDS
001 GENERAL FUND
o
o
Totals
o
o
24
58.3% Completed
41.6% Remaining
o
o
o
o
o
o
o
o
o
o
o
o
08/12/2009
09:45:43
FRRDBROl
SUM031
7 Months
5 Months
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
CAPITAL FIXED ASSETS
Cur Mo
Expended
PROGRAM TOTALS
00 CAPITAL FIXED ASSETS
Totals
EXPENDITURE CLASSIFICATION
59 OTHER EXPENDITURES
Totals
SOURCE OF FUNDS
910 GENERAL FIXED ASSETS ACCT GP
Totals
25
Y-T-D
Expended
2009
Budget
o
o
o
o
o
o
o
o
o
o
o
o
58.3%
41. 6%
Completed
Remaining
Unexpended Unexpended
Balance Percent
o
o
o
o
o
o
o
o
o
o
o
o
08/12/2009
09:45:43
FRRDBROl
SUM031
VILLAGE OF MOUNT PROSPECT
Department Budget Expenditure Summary
01/01/09 - 07/31/09
7 Months
5 Months
58.3%
41.6%
Completed
Remaining
Cur Mo Y-T-D 2009 Unexpended Unexpended
MOUNT PROSPECT LIBRARY Expended Expended Budget Balance Percent
PROGRAM TOTALS
02 LIBRARY SERVICES 0 0 9,450,626 9,450,626 100.0
Totals 0 0 9,450,626 9,450,626 100.0
EXPENDITURE CLASSIFICATION
90 COMPONENT UNIT EXPENDITURES
o
o
9,450,626
9,450,626 100.0
9,450,626 100.0
Totals
o
o
9,450,626
SOURCE OF FUNDS
950 MOUNT PROSPECT LIBRARY FUND
o
o
9,450,626
9,450,626 100.0
Totals
o
o
9,450,626
9,450,626 100.0
26
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42
RUN: TUESDAY AUG1l2009 13:22
RELEASE 10 :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 3D 2009 TO AUGUST 12 2009
DEPT
VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
001
11451 A STARS & STRIPES FLAG CORPORATION BANNER MATERIALS 2059.80
11660 ABERNETHY, JANET EMPLOYEE RECOGNITION REIMB EXP 10.00
01227 AIR ONE EQUIPMENT, INC. 1 Rescue Air Pack MSA for Engi 2200.00
SHIPPING FEE 10. DO
VARIOUS FIREFIGHTER PLUS GLOVE 515.00
-------------
2725. DO
01246 AIRGAS NORTH CENTRAL OXYGEN TANK SUPPLIES 197.08
01335 ALEXIAN BROTHERS CORPORATE HEALTH SERVICES RANDOM DOT DRUNG SCREENING 490.00
PRE-EMPLOYMENT PHYS: Y. NUNEZ 104.00
PRE-EMPLOYMENT PHSY: A. VALDEZ 104.00
PRE-EMPLOYMENT PHYS: K. SHEAGREN 104.00
-------------
802.00
11665 ANDERSON, CAROLINE REBATE 6 SQ OF PUBLIC WALK 294.00
11257 ANGAROLA, MICHAEL REIMB EXP 7/21/09-7/23/09 24.00
02108 ARLINGTON POWER EQUIPMENT REPLACEMENT TRIMMER LINE AND S 501.34
CREDIT 0.02-
-------------
501.32
01124 ARTHUR CLESEN, INC. 75 - 20 GALLON GATOR BAGS 1111.5 0
04215 AUTUMN TREE CARE EXPERTS FERTILIZATION OF SELECTED TREE 96.64
11670 BAHENA, ALFONSO REFUND OVER PYMT P#3889712 18.00
02599 BAYMONT INNS & SUITES A.LIETZO\'I-CRIMINAL ST. GANG CO 239.40
06287 BEDCO MECHANICAL 2009 MAINTENANCE CONTRACT FOR 128 7.5 5
02686 BEN MEADOWS COMPANY, INC. CLOTHING ALLOWANCE-D. RANDOLPH 47.7I
10708 BILL HUFFMAN LANDSCAPE SERVICE RETAINER RELEASE 4/24/08 150.00
RETAINER RELEASE 5/09/08 848.75
-------------
998.75
08618 BLUE CROSS/BLUE SHIELD REFUND WRONG DATE OF SERVICE 306.53
05339 BOUND TREE MEDICAL, LLC AED CABINET / SURFACE MOUNT/ALAR 188.10
01014 CADE INDUSTRIES CUSTODIAL SUPPLIES FOR THE MON 3286.50
05707 CASH DONATION PUBLIC WORKS PICNIC 500.00
01049 COW GOVERNMENT / INC BLUETOOTH CAR KIT T305 118.37
HP LJ 5500 TONER - BLACK - COW 199.00
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42
RUN: TUESDAY AUG1l2009 13:22
RELEASE 10 :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
- - - - - - -... - - - -..... - - -......... --.............................. -.......... -.................................................................... --.....................................................................................................................................................
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
............................................. -...................................... --...................................................................................................................... -............................................................................................-
HP LJ 5500 TONER - YELLOW - CD 298.00
HP LJ 5500 TONER - MAGENTA - C 298.00
HP LJ 5500 TONER - CYAN - COW 298.00
SHIPPING 14.99
ET SUPPLIES 7.57
-------------
1233.93
01077 CHICAGO COMMUNICATIONS LLC 1 VRM REPAIR 580.00
11663 CHLOPEK, CHRIS REBATE 4 SQ PUBLIC WALK 192.00
01097 CINTAS CORP REPLACEMENT SWEATSHIRT - 124.98
07281 CL GRAPHICS, INC. VILLAGE BOARD CITIZENS GUIDE 551.31
EXPERIENCE MT. PROSPECT-PRINT 250.00
EXPERIENCE MT. PROSPECT-MAIL 196.20
SPANISH COMM.GUIDE PRINTIGN 385.55
SPANISH COMM GUIDE LAYOUT&DESI 410.00
-------------
1793.06
03800 CLARK, SANDRA M. CLOTHING ALLOWANCE 6/27/09 55.53
11664 CONNOLL Y, MI KE REBATE 8 SQ PUBLIC WALK 392.00
00309 COONEY, WILLIAM J. REIMB EXP- ICSC CONFERENCE05/09 113 4.3 3
11403 COSTAR REALTY INFORMATION, INC ED SITE SOFTWARE 435.00
01200 CRAIN'S CHICAGO BUSINESS 2009-2010 SUBSCRIPTION 97.95
06745 CROWN TROPHY RIBBONS FOR FINE ARTS FESTIVAL 47.40
05503 CRYSTAL MAINTENANCE SERVICES CORP. 2009 CUSTODIAL CONTRACT - PUBL 8882.83
01218 DAHLBERG, JOHN REIMB EXP 7/23,28,29,30&8/3/09 457.13
03916 DECATUR ELECTRONICS, INC. RADAR REPAIRS & LABOR 206.45
RADAR REPAIR, LABOR, CERTIF. 906.15
--..---------..
1112.60
11650 DIGHE, VIKAS REFUND-OVERCHARGED FOR NEW CAR 27.00
09653 ETERNO, DAVID G. PROFESSIONAL SERV JULY 2009 375.00
01377 FEDERAL EXPRESS CORP COURIER SERVICES 2009 34.56
FED EX SHIPPING-PLANNING DIV. 14.09
----...--------
48.65
00331 FIGOLAH, MI CHAEL REIMB EXP LUNCH MEETING7/20/09 110 . 62
11667 FIORITO, MATTHEW REBATE 12 SQ PUBLIC WALK 588.00
REBATE 13 LINFT CURB & GUTTER 97.50
-------------
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42
RUN: TUESDAY AUG1l2009 13:22
RELEASE 10 :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
-----------------------------------------------------------------------------------------------------------------------------------
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
-... -... - - - - -... - - - - -... - -... -..................... -... -... -............... -...... -...... -... - -...... -... -... -............ -...... - - - - - - -... - - - -........................... -... - - - - - - -...... -... - - - - - -...... - - - - - - -......... - - -...... - - -... -...... -... --......
685.50
05334 FIRST SECURITY SYSTEMS, INC. SERVICE TO REPAIR - SOUTH STAI 242.50
01432 FOX VALLEY SYSTEMS INC. 3 CASES-EASY MARKER PAINT 146.78
01461 GALL'S, INC. SUSPENDERS FOR ARSON GEAR 23.18
09198 GE CAPITAL CD ADMIN 7/15/09-8/14/09 192.74
CD BUILDING 7/15/09-8/14/09 192.74
CD HOUSING 7/15/09-8/14/09 192.74
CD HEALTH 7/15/09-8/14/09 192.74
-------------
770.96
11649 GPS INTELLIGENCE LLC AIRTIME FEES - ONE YEAR 360.00
01522 GRAINGER INC. 4A260 CONNECTOR BODY-AMBULANCE 38.07
08725 GREAT LAKES IPM INC. GYPSY MOTH LURE AND VAPORTAPE 53.20
10386 GUZIEL, FRAN MARKETING CONSULTING-JULY09 1877.50
08638 HELM, MARTHA REIMB EXP 7/27 /09S0USA CONCERT 83.70
10322 HIGHWAY TECHNOLOGIES, INC. BARRICADE RENTAL 210.56
325 TYPE I FLASHING BARRICADES 2000.00
-------------
2210.56
01610 HOME DEPOT CREDIT SERVICES CCC-KITCHEN CABINETS&COUNTER 138 8.5 0
10719 HORIBA INTERNATIONAL CORPORATION ET SUPPLIES 158.43
09425 HSBC BUSINESS SOLUTIONS GATORADE- LIONS CARNIVAR 65.94
WIPES, COFFEE, FILTERS 49.18
15 BAGS OF CANDY-4TH OF JULY 163.35
REFRESHMENTS-CHILD SAFETY 45.97
4TH OF JULY PARADE SUPPLIES 359.14
4TH OF JULY PARADE SUPPLIES 89.97
BLOCK PARTY SUPPLIES 195.37
CLOSED SESSION MEETING-FOOD 11.28
COFFEE SUPPLIES 23.98
WATER FOR WELLNESS LUNCH 5.93
---...---------
1010.11
06690 ILLINOIS AMERICAN WATER CO. SERV 7/1/09 - 8/3/09 229.76
07430 ILLINOIS ENVIRONMENTAL HEALTH ASSC. 09 FOOD SAFETY CONF. -C. SCHERBAU 50.00
09FOOO SAFETY CONF.-R.GARCIA 50.00
----_.....------
100.00
01743 INTERNATIONAL ASSOCIATION OF FIRE CHIEFS MEMBERSHIP 09-10 TRUTY,CHRIS 204.00
07694 INTERNATIONAL CODE COUNCIL SUBSCRI PT IONS /VALENT I NE 180.00
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42
RUN: TUESDAY AUG1l2009 13:22
RELEASE I D :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
-----------------------------------------------------------------------------------------------------------------------------------
DEPT
VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
................ -.............. -.................................. -.... - --................................. -............................ -............................................ -...... -.. -..................... -......................................
01753 I PELRA REGISTRATION-J.MALCOLM 9/18/09 55.00
09563 IRS BALANCE DUE 2ND QUARTER 941 454.43
01783 JOURNAL & TOPICS NEWSPAPERS JULY AD-BLOCK PARTY 2009 288.90
AD-JULY INV#I29526 288.90
BLOCK PARTY SPECIAL SEC#I29527 735.00
-------------
1312.80
10528 KAST, RYAN EMPLOYEE RECOGNITION-REIMB EXP 10.00
01818 KERSTEIN, JUNE REIMB EXP JUNE09 & JULY09 105.77
09911 LAMINATOR WAREHOUSE 2 - Rolls of Laminate Film 213.88
01861 LANDS I END BUSINESS OUTFITTERS CLOTHING EXP BUILDING DEPT. 493.44
08631 LECHNER AND SONS 2009 UNIFORM RENTAL AND CLEANI 243.56
10450 LEXISNEXIS PRE-EMPLOYMENT BACKGROUND CK 56.20
09606 LIETZOW, ANTHONY REIMB EXP 7/21/09-7/23/09 84.00
11641 LIVING BLUES MAGAZINE QUARTER PAGE AD-BLUES FEST 392.00
01918 LUNDSTROM I S NURSERY, INC. 2009 LANDSCAPE MAINTENANCE CON 2464.98
CREEK BANK RAKING & WEED WHIP 380.00
2009 TURF MOWING CONTRACT 3529.94
-------------
6374.92
09238 LYONS, PATRICK REIMB EXP. 6/29/09-7/1/09 201.58
10857 MABAS DIVISION 3 MABAS DIV. 3 COMPANY DRILLS 1545.24
10527 MCINTOSH PHOTOGRAPHY PHOTOGRAPHY SER-ART&BLUES FEST 350.00
PHOTOGRAPHY SERV-4TH JULY 125.00
PHOTOGRAPHY SERV- BLOCK PARTY 200.00
-------------
675.00
05709 MEADE ELECTRIC CO. INC. PARTS&LABOR EMERGENCY VEHICLE 497.58
06719 METEORLOGIX ANNUAL RENTAL OF WEATHER 819.29
ANNUAL RENTAL OF WEATHER 50.71
-----....._-----
870.00
00395 MICHALIK, JOEL CLOTHING ALLOWANCE 7/09 200.00
02046 MOBILE PRINT INC. EXPERIENCE MT PROSPECT POSTERS 189.15
BLOCK PARTY POSTERS 348.80
MEMO PADS-DAVE ERB 30.07
1500 ARREST JACKETS 698.40
-------------
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42
RUN: TUESDAY AUG112009 13:22
RELEASE I D :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
-- -- --- - - ------ -- - --- ---- -- --... -... --- - - ---- -- --...... ---- --------- -- - --- - - --- ----- -- - - - -...... -------......... - -...... ----- - ---- -... ---- --... ---... - --... --_..._-
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- -... - - - -... -......... - -............ -.................. -......... -........................... - - - - - - -...... -............ - -................................................ -- -..................... -......... -............................................................ -............ -......... -..........................................-
1266.42
02072 MOUNT PROSPECT PUBLIC LIBRARY REIMB.EXP FRENCH NIGHT 7/14/09 78.75
COMPUTER EQUI PMENT 1103.71
FIBER O. INSTALL VILL. INTERNET 2791.86
-------------
3974.32
11102 MOUNT PROSPECT/PROSPECT HEIGHTS ROTARY CLUB APRIL-JUNE09 MEMBERSHIP 143.00
02087 MUNICIPAL CLERKS OF ILLINOIS MEMBERSHIP 10/1/09-9/30/10 85.00
02148 NEOPOST INC. MONEY ENTERED POSTAGE MACHINE 3000.00
11375 NETZEL, CHARLES REBATE 14 SQ OF PUBLIC WALK 686.00
23 LIN FEET OF CURB 172 .5 0
-------------
858.50
04191 NEW PIG CORPORATION Chemical Suppliess for Inciden 1007.70
02155 NEXTEL COMMUNICATIONS SERV 6/18/09-7 /l7 /09 718.25
SERV 6/18/09-7 /l7 /09 156.02
SERV 6/18/09-7/l7 /09 136.80
SERV 6/18/09-7 /l7 /09 685.18
SERV 6/18/09-7 /l7 /09 25.57
SERV 6/18/09-7 /l7 /09 287.46
SERV 6/18/09-7 /l7 /09 1128.60
SERV 6/18/09-7 /l7 /09 240.00
SERV 6/18/09-7 /l7 /09 261.80
SERV 6/18/09-7 /l7 /09 461.72
SERV 6/18/09-7 /l7 /09 22.71
SERV 6/18/09-7 /l7 /09 330.83
-------------
4454.94
05256 NICOR ACCT#97-78-90-2800-4 26.38
ACCT#03- 35-77-9926-5 26.38
ACCT#6076140000-5 934.45
ACCT# 3 0 4 8 3 4 0 000- 5 144.63
ACCT#8861879971-7 1259.43
ACCT#69022600000-6 171. 44
ACCT#2907270000-7 48.72
-------------
2611.43
02170 NORTH EAST MULTI REGIONAL TRNG REGISTER c.cHARAK&J. ZIOLKOWSKI 550.00
05843 NORTHSHORE OMEGA VACCINATION-J. DAHLBERG 70.00
02189 NORTHWEST CENTRAL DISPATCH SYS SEPTEMBER 09 MEMBER ASSESSMENT 39558.70
SEPTEMBER 09 MEMBER ASSESSMENT 9889.68
-...-----------
49448.38
05124 NORTHWESTERN UNIVERSITY CTR FOR PUBLIC SAFETY REGISTER R. SMITH & S. SULLIVAN 3000.00
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY AUG1l2009 13:22 PAGE
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- - - - - - -- - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
11504 O'NElL, PAIGE REIMB OTAINING CDL 50.00
10476 PACIFIC TELEMANAGEMENT PAY PHONE SERV AUGUST 2009 78.00
07863 PACON CORPORATION SIGN MATERIALS 225.00
SIGN MATERIALS 489.00
SIGN MATERIALS 73.38
-------------
78 7.3 8
02301 PETTY CASH - FINANCE DEPT. MISCELLANEOUS PETTY CASH 07/09 7.92
MISCELLANEOUS PETTY CASH 07/09 14.64
MISCELLANEOUS PETTY CASH 07/09 12.16
MISCELLANEOUS PETTY CASH 07/09 100.00
MISCELLANEOUS PETTY CASH 07/09 34.43
MISCELLANEOUS PETTY CASH 07/09 22.80
MISCELLANEOUS PETTY CASH 07/09 233.52
MISCELLANEOUS PETTY CASH 07/09 15.00
MISCELLANEOUS PETTY CASH 07/09 21.99
MISCELLANEOUS PETTY CASH 07/09 42.71
MISCELLANEOUS PETTY CASH 07/09 14.00
MISCELLANEOUS PETTY CASH 07/09 2.91
-------------
522.08
11446 PHOTODON, LLC Toughbook Screen Protectors 61.70
10258 POWELL TREE CARE, INC. 2009 PARKWAY TREE REMOVAL CONT 20031.50
2009 PARKWAY TREE REMOVAL CONT 6486.50
-------------
26518.00
06148 PREClSlON MIDWEST SPECTRA PREClSlON #LL400 LASER 132 6.2 5
06592 PRO-TECH SECURITY SALES TRAINING SUPPLIES 110.00
02536 PROFORMA CUSTOMIZED GRAPHICS REPLACEMENT NAME BADGES - PW S 118.00
10271 RANDALL INDUSTRIES, INC. PARADE RENTALS 1l12.40
02444 RIVER TRAILS PARK DISTRICT 144 DODGEBALL SHIRTS 492.48
07964 RMS BUSINESS SYSTEMS, INC. 2 CISCO POE3560G 24PORT SWITCH 8716.00
11472 RYAN, ELISE RElMB OBTAINING CDL 50.00
00425 RZEPECKI, ROBERT L. REIMB EXP 7/25/09-7/29/09 728.04
11659 SANTEE, JOHN C. REFUND OVER PYMT BUSINESS L. 10.00
10445 SCHERBAUM, CHERYL REIMB CLOTHING ALLOWANCE 7/23 150.00
10717 SCHNEIDER, ELIZABETH REIMB OBTAINING CDL 50.00
11640 SIERRO, LUPE REFUND OVER PYMT P#3887245 2.00
05975 SIGNS BY TOMORROW LIGHT POLE BANNERS 2000.00
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42
RUN: TUESDAY AUG1l2009 ]]: 22
RELEASE 10 :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
-----------------------------------------------------------------------------------------------------------------------------------
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
- - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --
LIGHT POLE BANNERS 2653.90
-------------
4653.90
10715 SIMMONS, BRIAN REIMB EXP 7/31/09 209.91
11666 SKOPIS, ALEX REBATE 8 SQ PUBLIC WALK 392.00
11639 SOFIANOS, THERESA M. REFUND OVER PYMT P#3888845 10.00
02583 SOUND INCORPORATED VOICE MAlL ANNUAL MAINTENANCE 15.36
VOICE MAlL ANNUAL MAINTENANCE 53.76
VOICE MAIL ANNUAL MAINTENANCE 46.08
VOICE MAlL ANNUAL MAINTENANCE 49.92
VOICE MAlL ANNUAL MAINTENANCE 53.76
VOICE MAlL ANNUAL MAINTENANCE 184.32
VOICE MAIL ANNUAL MAINTENANCE 53.76
VOICE MAlL ANNUAL MAINTENANCE 69.12
VOICE MAlL ANNUAL MAINTENANCE 124.80
VOICE MAlL ANNUAL MAINTENANCE 36.48
VOICE MAlL ANNUAL MAINTENANCE 36.48
VOICE MAlL ANNUAL MAINTENANCE 174.72
VOICE MAIL ANNUAL MAINTENANCE 675.84
VOICE MAlL ANNUAL MAINTENANCE 345.60
-------------
1920.00
04951 SUBURBAN ACCENTS INC. GRAPHICS- 3DAYS CANCER WALK 650.00
11644 SULLIVAN, DAN REBATE 3 SQ OF PUBLIC WALK 147.00
07187 SUPERIOR WIRELESS 10 CELL PHONE HOLSTERS 90.00
11658 SUTLAN, SHEIKH REFUND OVER PYMT P#3889049 10.00
09903 S YMBOLART S, LLC UNIFORM BADGES INV#01l5894- IN 140.00
UNIFORM BADGES INV#01l5825- IN 350.00
UNIFORM BADGES INV#0l15509- IN 310.00
-------------
800.00
09668 T.P.1. PLUMBING INSPECTIONS 405.00
BUILDING INSPECTIONS 4662.00
-------------
5067.00
01238 THE DAVEY TREE EXPERTS COMPANY REMOVE/TREAT GYPSY MOTH EGG 2543.00
113 64 THE GUTHRIE PARTNERS WEB SITE REDESIGN&EBLASTS 1356.67
04014 THE UPS STORE VISION INTERNET CONTRACT 28.74
11662 THOMAS CURTIS REIMB OBTAINING CDL 50.00
02691 THOMPSON ELEVATOR INSPECTIONS 25 SEMI -ANNUAL ELEVATOR INSP. 925.00
11652 TODAY'S UNIFORMS REPLACEMENT DAMAGED UNIFORM 55.99
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42
RUN: TUESDAY AUG112009 13: 22
RELEASE 10 :
PAGE
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
-----------------------------------------------------------------------------------------------------------------------------------
DEPT VENDOR NBR
VENDOR NAME
INVOICE DESCRIPTION
AMOUNT
...... -.... - - -.. - -............ -.................... - -............ -.......... -.. - -...... -........ -.......... - -.. -........ -.... - -.... - -.... - - -.... -........ - - -.............. - -................ - - -....................................
04276 TRUGREEN-CHEMLAWN WEED CONTROL -HIST .BUILDING 30.00
11277 TYGRIS VENDOR FINANCE, INC POLICE ADMIN 8/09 467.29
POLICE INVEST 8/09 321.91
FIRE DEPT 8/09 456.90
CLERKS 8/09 830.73
CD ADMIN 8/09 16.80
CD BUILDING 8/09 16.80
CD HOUSING INSPECTION 8/09 16.80
CD HEALTH INSPECTION 8/09 16.80
-------------
2144.03
08526 ULTIMATE PLUMBING SUPPLY CCC-PLUMBING SUPPLIES 1332.30
CCC-PLUMBING SUPPLIES 59.84
-------------
1392.14
07526 UNITED PARCEL SERVICE MISCELLANEOUS SHIPPING CHARGES 15.91
SHIPPING CHARGES-EQUIP REPAIRS 35.04
-------------
50.95
11668 UNITED STATES FIRE PROTECTION, INC CCC: FIRE SUPPRESSION SYSTEM 7600.00
02756 UNITED STATES POSTAL SERVICE EMS CARDS JULY09 35.58
EMS CARDS JULY09 3.81
EMS CARDS JUL YO 9 3.81
PUBLIC INFORMATION JULY09 94.16
-------------
137.36
04025 UNIVERSITY OF ILLINOIS - GAR REGISTER CLASS -FRANK RAUS 250.00
10531 VCG UNIFORM BIKE UNIT UNIFORM SUPPLIES 673.90
BIKE UNIT UNIFORM SUPPLIES 886.80
Various Uniforms 1495.20
17 PEER JURY SHIRTS 344.00
-------------
3399.90
11669 VENIT, STEVEN REFUND OVER PYMT P#3889399 10.00
09527 VILLAGE CYCLESPORT BICYCLE EQUIPMENT 219.46
02802 VILLAGE OF ARLINGTON HEIGHTS Registration/ Schmitt July 6 F 450.00
02810 VILLAGE OF MOUNT PROSPECT EMERGENCY FOOD PANTRY 780.00
05700 VILLAGE PROFILE AD-MT PROSPECT CHAMBER OF COMM 2995.00
11657 VISION INTERNET PROVIDERS, INC WEB SITE PROJECT 1ST INSTALL 12750.00
02835 WAREHOUSE DIRECT TONER CATRIDGES PHOTO PRINTER 130.26
CERTIFICATES & HOLDERS 67.31
SUPPLIES 352.72
lEPORT: APBOARDRPT GENERATED: 15 APR 09 11:42
RUN: TUESOAY AUG1l2009 13:22
RELEASE 10 :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
PAGE
DEPT
VENDOR NBR
INVOICE DESCRIPTION
----- -- -.... - ---.. -- ---.. ---...... -- -- -- -- --.......... --- --- -----.. ---.. -- --- ------------ ---.. --.. ---.. --- ------.......... ------ ------........ -- --- -- --.... ---..
AMOUNT
VENDOR NAME
..................... --........................................................................................................................................ --...................................................................................... --......
PHOTO PAPER
1 DATE STAMP
LIFTER EASY FLOW INV#3BB29B-0
22B41PAPER LETTER INV#3BB29B-0
CREDIT C3B829B-O
LIFTER EASY FLOW INV#3B9307-1
LIFTER E.F &PAPER INV#389307-0
3 AVERY DIVIDERR INV#385379-0
10BOXES PAPER INV#387475-0
CERTIFICATE&HOLDER #38799B-0
. CREDIT INV#387998-0
CERTIFICATE&HOLER #38B739-0
OFFICE SUPPLIES INV#406656-0
OFFICE SUPPLIES INV#3B4939-0
OFFICE SUPPLY#399144-0/399623
05476 WGN FLAG & DECORATING CO.
02876 WILKS, IRVANA
06001 WINKLER'S TREE SERVICE
112 94 WPS MEDICARE
00464 WULBECKER, JEFFREY
11646 WORBIA, ANITA
11645 ZAOCHA, MIKE
4TH JULY PARADE DECORATIONS
PHONE SERV 7/16-B/15/09
2009 PARKWAY TRIMMING CONTRACT
REFUND DUPLICATE PYMT
CLOTHING ALLOWANCE 7/14&7/24
REBATE 4SQ OF PUBLIC WALK
REBATE 12 SQ OF PUBLIC WALK
TOTAL
30
02016
JULY 2009 COLLECTIONS
JULY 2009 COLLECTIONS
JULY 2009 COLLECTIONS
JULY 2009 COLLECTIONS
JULY 2009 COLLECTIONS
ARC DISPOSAL COMPANY
11655
REFUND CREDIT BALANCE REFUSE
CATTAPAN, PETER
11654
REFUND CREDIT BALANCE REFUSE
DALE I RACHEL
11656
REFUND CREDIT BALANCE REFUSE
OVIGIAN, JOSEPH
098B7
SCHAEFER SYSTEMS INTERNATIONAL, INC.
125 - 95 GALLON BLUE RECYCLING
FREIGHT
69.98
35.96
25.44
132.08
132.08-
15.90
593.1B
79.95
279.50
15.04
15.04-
21.12
258.67
15B .11
1190.00
3278.10
1727.17
45.00
B973.72
341.00
67.73
196.00
5B8.00
233028.B3
97578.11
49394.71
35539.90
70B1.47
15B3.53
191177.72
12.50
12.50
12.50
5796.00
B05.00
50
TOTAL 197B16.22
6601.00
~EPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY AUGll2009 13:22 PAGE 10
RELEASE I D :
VILLAGE OF MOUNT PROSPECT
LI ST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
................ - -............ --............................................. --_................. --............................................................................................................................................ --...............................
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRI PTION AMOUNT
'....... --..... -....... -........ --.................. --.......................................... --............................................ --.......... ---....................... --.........................................................................
10103 CIVILTECH ENGINEERING, INC. CONTRACT FOR ENGINEERING 7846.99
04355 COOK COUNTY TREASURER TRAFFIC SIGNAL MAINT 4/1-6130 2840.50
11377 GAFFNEY I S PROTECTIVE MAl NT. INC CONSTRUCTION CONTRACT FOR THE 81185.24
07373 H & H ELECTRIC CO. SIDEWALK REPLACEMENT TRAFFIC L 2118.60
05709 MEADE ELECTRIC CO. INC. 2009 TRAFFIC SIGNAL MAINTENANC 2325.30
TOTAL 96316.63
70
01377 FEDERAL EXPRESS CORP FED EX SHIPPING-PLANNING DIV. 18.40
09198 GE CAPITAL CDBG 7/15/09-8/14/09 192.74
01796 K.A.M. CONSTRUCTION SINGLE FAMILY REHAB-616N.WILLE 13367.40
11277 TYGRIS VENDOR FINANCE, INC CDBG 8/09 16.80
TOTAL 13595.34
85
06592 PRO-TECH SECURITY SALES TRAINING SUPPLIES 7350.00
TOTAL 7350.00
10
01227 AIR ONE EQUIPMENT, INC. 1 Breathing Air Compressor W/F 42611.00
3 - Thermal Imaging Cameras 22522.33
-------------
65133 .33
04434 GEWALT HAMILTON ASSOCIATES, INC. KENSINGTON RD IMPROVEMENT PY#l 27798.75
06420 GRAYBAR ELECTRIC CO. ELECTRICAL PARTS/LIGHTING 1829.26
ELECTRICAL PARTS/LIGHTING 1049.04
40 I HAPCO LIGHT POLE (4) 2275.00
40 I HAPCO LIGHT POLE (4) 5965.00
-------------
11l18.30
10134 MR. DAVID I S FLOORING INTERNATIONAL,LTD REMOVAL, FLOOR PREP. AND INSTA 3347.s0
09216 UTILITY DYNAMICS CORP. INSTALL STREETLIGHT BASE/FOUND 3890.00
TOTAL 11l287.88
18
01227 AIR ONE EQUIPMENT, INC. 1 Breathing Air compressor W/F 42611.00
10321 BRUSSEAU DESIGN GROUP, LLC. RTPD SOFTBALL FIELD CD PHASE 122.50
CONSTRUCTION OBSERVATION SERV 430.70
------------..
553.20
REPORT: APBOARDRPT
DEPT
VENDOR NBR
11496
11255
06406
550
07730
01620
07267
01918
01965
11661
560
09218
i90
01918
01965
jl0
01543
02451
GENERATED: 15 APR 09 11:42
RUN: TUESDAY AUG1l2009 13: 22
RELEASE 1 D :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
VENDOR NAME
INVOICE DESCRIPTION
HORIGAN URBAN FOREST PRODUCTS, INC
MIL1 AND KILN DRY RECLAIMED AS
LEOPARDO COMPANIES, INC
EOC - Construction
Fire Station 14 - Construction
Modifications at Public Works
SRBL ARCHITECHTS, LTD.
Archi tectural Services for Fir
Architectural Services for Pub
Archi tectural Services for the
PAGE 11
AMOUNT
215.00
129937.00
312930.00
89336.00
532203.00
9849.78
5014.23
7462.00
TOTAL 597908.21
22326.01
ADVANCED PAVEMENT TECHNOLOGIES
CLEAN BRICK PAVERS FOR FEST 09
2009 BRICK PAVER SEALING CONTR
AMERICAN LANDSCAPING INC.
TRIANGLE PARKING&BUSSE LANDSCA
LPS PAVEMENT CO.
BRICK REPAIRS TRIANGLE PARKING
LUNDSTROM I S NURSERY, INC.
2009 LANDSCAPE MAINTENANCE CON
MARTAM CONSTRUCTION
REPAIRS TRIANGLE PARKING
TMA AFFINITY CORPORATION
LEGAL & FINANCING
TOTAL 63912.65
16778.19
KLOA, INC.
ENGINEERING SERVIST POST STUDY
ENGINEERING SERV2ND POST STUDY
3050.10
15370.31
18420.41
4605.00
9665.00
530 5.0 5
9139.00
24067.78
18544.19
TOTAL 42611. 97
42611.97
LUNDSTROM I S NURSERY, INC.
60 HOURS AND $80.00 PER HOUR
MARTAM CONSTRUCTION
2009 BACKYARD DRAINAGE PROGRAM
TOTAL 153405.00
148905.00
AMERICAN BACKFLOW PREVENTION INC.
TESTING&REPAIR BACKFLOW516E NW
BADGER METER INC
HBRASS FLANGE ASSY NUT&BOLTS
CREDIT#42680
4500.00
285.00
349.59
212.85-
136.74
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY AUGl12009 13:22 PAGE 12
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTEO TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
.................. -- -...................................................... --......................................................................................................................................................................................... ---..........................................................................................
OEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
................................... --......... --..... -----......................... --................................... -- --...... --........................................ ---..... -_............ --..... -- --................................................................................................................
05773 BAXTER & WOODMAN, INC. ENGINEERING SERVICES FOR 2009 19679.20
ENGINEERING SERVICES FOR 2009 19679.20
ENGINEERING SERV-411 N .MAPLE S 840.00
-------------
40198.40
02938 BOWMAN DISTRIBUUQN CENTER BUILDING MATERIALS 281.48
11648 BRANDENBURG, WILLIAM REFUND FINAL UTILITY BILL 208.20
11655 CATTAPAN, PETER REFUND CREDIT BALANCE WATER 42.12
REFUND CREDIT BALANCE SEWER 23.59
-------------
65.71
05005 CDS OFFICE TECHNOLOGIES PANASONIC TOUGHBOOK 30 RUGGEDI 4130.00
01049 CDW GOVERNMENT, INC MS OFFICE PRO LICENSE FOR PW - 301.34
11654 DALE, RACHEL REFUND CREDIT BALANCE WATER 4.68
REFUND CREDIT BALANCE SEWER 11. 51
-------------
16.19
01313 DUPAGE TOPSOIL INC. 4 SEMI LOADS OF PULVERIZED TOP 972.00
01522 GRAINGER INFARED THERMOMETER 113.00
THERMOSTAT FOR ELEVATED TANK 64.74
-------------
177.74
01522 GRAINGER INC. REPLACEMENT DEHUMIDIFIER 328.59
01819 KI EFT BROTHERS INC. 1 - 48" X 32" FLAT BOTTOM VALV 489.00
08631 LECHNER AND SONS REPLACEMENT RAINGEAR 984.79
2009 UNIFORM RENTAL AND CLEAN I 243.56
-...----...------
122 B.3 5
11653 LORD, ROBERT J. REFUND CREDIT BALANCE WA&SW 61.90
01918 LUNDSTROM I S NURSERY, INC. 2009 TURF MOWING CONTRACT 381. 90
02155 NEXTEL COMMUNICATIONS SERV 6118 /09- 7/17/09 587.71
SERV 6/18/09-7/17/09 42.52
.....-----------
630.23
05256 NICOR ACCT#94- 32-26-0000-1 76.24
ACCT# 7 5- 53- 27 -0000-4 77 . 84
ACCT#63-01-96-0000-4 76.24
---..---------
230.32
11656 OVIGIAN, JOSEPH REFUND CREDIT BALANCE WATER 42.12
REFUND CREDIT BALANCE SEWER 23.59
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY AUGl12009 13:22 PAGE 13
RELEASE I D :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
.. -................................................................................ --............................................ -................................................................................................................................
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
............................................ --........................ --........ --.......... ---............................ --.................................. --.......................... --.................. --...... -- --.......... --........
-------------
65.71
02256 PADDOCK PUBLICATIONS PUBLICATION OF BID NOTICES 158.60
02287 PEERLESS-MIDWEST LABOR AND MATEIRALS TO REPAIR 2910.00
LABOR AND MATEIRALS TO REPAIR 590.00
REPLACE PUMPS/BACKFLOW 4100.00
-..-----------
7600.00
04954 PRO MIX AUDIO AND LIGHTING ELECTRICAL SUPPLIES 196.75
11623 R.A. MANCINI, INC EMERGENCY REPAIRS-411N .MAPLE 9450.00
2009 SPOT RELAY PROJECT 26509.19
2009 SPOT RELAY PROJECT 26509.81
-..-----------
62469.00
02655 SUBURBAN LABORATORIES, INC. ANNUAL CONTRACT FOR WATER SAMP 181.50
02660 SUBURBAN PRINTING TREE TRIMMING GREEN DOOR HANG 310.00
EMERALD ASH BORER BROCHURES 230.00
WA SHUTOFF DOOR HANG& INK&TYPE 113.00
WATER SHUT OFF DOOR HANG&TYPE 109.00
-------------
762.00
11647 TAMAS, LIVIU REFUND FINAL UTILITY BILL 396.16
02756 UNITED STATES POSTAL SERVICE PERMIT 699-WATER JULY09 2206.34
DB 8 93 VID TECH CONTROL SYSTEM REPAIRS 330.00
02914 ZIEBELL WATER SERVICE PRODUCTS 1 - 5 1/4 MUELLER HYDRANT 415.80
3/4 FLANGES AND ADAPTERS 1337.21
2 - 5' BORY A423 MUELLER FIRE 4519.90
2 - 5.5' BURY A423 MUELLER FIR 4593.90
-------------
10866.81
TOTAL 135355.96
i20
02301 PETTY CASH - FINANCE DEPT. MISCELLANEOUS PETTY CASH 07/09 24.00
TOTAL 24.00
i30
05503 CRYSTAL MAINTENANCE SERVICES CORP. 2009 CUSTODIAL CONTRACT - PUBL 317 .17
05256 NICOR ACCT#24-06-16-0000- 3 27 .37
02301 PETTY CASH - FINANCE DEPT. MISCELLANEOUS PETTY CASH 07/09 20.00
02754 UNION PACIFIC RAILROAD LAND LEASE JULY 09 2650.43
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY AUGl12009 13:22 PAGE 14
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
.......... --........................................... ---......................................................... --.... --................... -- -- --........................................ --.................. --.................... --.......... --........ --..
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
..................................... -- --.. ---........................ -_........... --.... -- -- --................ --............ --................................. ---............................................................................ -- --..................
TOTAL : 3014.97
660
02184 ABBOTT RUBBER CO., INC. FUEL HOSE FOR FIRE VEHICLE #51 25.43
11199 ALL PRODUCTS AUTOMOTIVE, INC WIPER BLADES REPLACEMENTS - PO 398.20
09676 AMERICAN MESSAGING MESSAGE SERVICES THROUGH 7/31/ 184.52
02070 ARLINGTON HEIGHTS FORD REPAIR ENGINE&AIR COMP. #523 506.96
REPLACEMENT SOLENOID #319 50.23
REAR WI PER # P-13 16.46
POWER WINDOW SWITCHES- POLICE V 193.12
-------------
766.77
10240 AURORA TRI STATE FIRE PROTECTION CO., INC. 10 FIRE EXTINGUISHER BRACKETS 80.00
09289 BEACON SSI, INC. REPAIR OF FUEL PUMP# 1 175.48
(30) REPLACEMENT FUEL KEYS 266. 67
-----...-------
442.15
02940 BRAKE ALIGN PARTS & SERVICES FRONT CALIPERS FOR FIRE VEHICL 700.00
01045 CATCHING FLUIDPOWER #S-12 CTX-S ELBOW FOR #4528 5.97
01236 DAVE & JIM I S AUTO BODY, INC. A/C RECHARGE - VEHICLE #523 93.50
REPAIRS TO DOOR/FENDER - VEHIC 622.20
WHEEL ALIGNMENT - VEHICLE #S- 3 35.00
A/C RECHARGE- VEHICLE#515 80.00
-.._----------
830.70
01352 ENGINEMASTERS, INC. 6" PUMP AIR FILTERS 63.50
08154 GLOBAL EMERGENCY PRODUCTS FUEL TANK AND STRAPS FOR FIRE 981.65
01616 HOSKINS CHEVROLET, INC. HINGE KITS FOR VEHICLE #2722 86.06
01750 INTERSTATE BATTERY BATTERIES INV#130050455 73.95
BATTERIES INV#130050363 575.70
BATTERIES INV#l30050344 75.90
BATTERIES INV#l10101204 379.80
BATTERIES INV#l10101445 263.85
----------...--
1369.20
02486 JOHN SAKASH COMPANY, INC. REPAIR OF WINCH ROPE - VEHICLE 60.00
01879 LEACH ENTERPRISES, INC. FRONT AND REAR BRAKES FOR FIRE 2250.98
02018 MIDWAY TRUCK PARTS 6-TURN SIGNAL VEHICLE#516 37.32
2-STEP LIGHT VEHICLE#515 46.82
-------------
84.14
REPORT: APBOARDRPT GENERATED: 15 APR 09 11: 42 RUN: TUESDAY AUGII2009 13: 22 PAGE 15
RELEASE ID :
VILLAGE OF MOUNT PROS PECT
LI ST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
---- -- -- ----- -- -- -------- -------... -----------... -- - - ------- --... --- -------... -.. ---- ----- ---.... -.. - -.... -.. -.. -.... --... -- ----- -----.. ------------- ---
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
..... -...... --......................... --........... --.......... ---........................ - --.... -....................... -.. -........................... -....... -....................... -.. -.. -.............................. -_...... --...................
02023 MIDWEST LUBE, INC. I5-BLANKING PLUGS 14.40
04416 MSC INDUSTRIAL SUPPLY CO. COUNTER SINK BIT 67.65
113 67 NAPA OF DES PLAINES INV#309660 MISC. VEHICLE REPAIR 199.57
MISe. VEHICLE REPAIR&PARTS 7/09 696.40
---_..--------
895.97
02107 NAPA-HEIGHTS AUTOMOTIVE SUPPLY MISC VEHICLE REPAIR&PARTS 7/09 162.48
CREDIT INV#135420 11.49-
----------..-..
150.99
02155 NEXTEL COMMUNICATIONS SERV 6/18/09-7/17/09 351.64
SERV 6/18/09-7/17/09 25.57
-..-...---------
377.21
09423 RONCO INDUSTRIAL SUPPLY MISC VEHICLE REPAIR&PARTS 7/09 98.00
MISC VEHICLE REPAIR&PARTS 7/09 50.00
MISC VEHICLE REPAIR&PARTS 7/09 95.22
CREDIT# 1508 955-0 1 61.50-
CREDIT# 1509003-000 1-0 1 8.63-
MISC VEHICLE REPAIR&PARTS 7/09 70.13
MISC VEHICLE REPAIR&PARTS 7/09 87.02
MISC VEHICLE REPAIR&PARTS 7/09 107.53
MISC VEHICLE REPAIR&PARTS 7/09 272.00
-------------
709.77
09122 TAYLOR MADE AMBULANCES DOOR SWITCHES-AMBULANCE#521 100.95
04472 TEXOR PETROLEUM CO 07/31/09 FUEL PURCHASED 19538.78
02870 WHOLESALE DIRECT INC. HALOGEN BULBS FIRE VEHICLES 368.80
PRE-EMP POWER SUPPLY #503 462.12
-------------
830.92
TOTAL 31015.91
570
05007 LANDMARK FORD 8 FORD CROWN VICTORIA INTERCEP 155419.00
11241 ULTRA STROBE COMMUNICATIONS, INC SQUAD CONVERSION P-21 4275.34
8LIGHT BARS SQUAD P=CONVERSION 9160.00
-------------
13435.34
TOTAL 168854.34
i80
05005 CDS OFFICE TECHNOLOGIES PANASONIC TOUGHBOOK 30 RUGGED I 4130.00
01049 COW GOVERNMENT, INC HP LJ P3005DN PRINTER - COW # 855.00
SHIPPING 14.99
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42 RUN: TUESDAY AUGl12009 13:22 PAGE 16
RELEASE I D :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
... -........... -................. --................. --......... --..................................................................................................... --........................................... -- --.................................................
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
.. --.......... - --......................................................................... --.. --.. --.... --....... --............. --................................................................................. --.......................................--
-------------
869.99
TOT AL 4999.99
690
01335 ALEXIAN BROTHERS CORPORATE HEALTH SERVICES B .EISEN-DOI: 2/2/09 ELBOW 314.38
A.BRAGAGNOLO DOI:2/20/09 BACK 95.27
G.REBECCA- 001 :7/13/09 ELBOW 142.24
---------....---
551.89
08161 ARLINGTON RIDGE PATHOLOGY, S. C. R.NAVA-SOI: 6/3/09 122.00
01460 ARTHUR J. GALLAGHER RMS, INC. AUDIT -EXCESS WORKERS I COMP 2572.00
10051 CCMSI W/C REIMBURSEMENT 7/29/09 20353.87
01102 GAB ROBINS N.A., INC - CITIBANK PYMT OF INS CLAIMS 7/30/09 16504.71
01737 INTERGOVERNMENTAL PER.BEN.COOP CLAIMS ADMIN-MEDICAL 7/09 37614.96
HMO MEDICAL 7/09 125040.85
LIFE INSURANCE 7/09 2829.00
PPO MEDICAL CLAIMS 7/09 266722 .15
-------------
432206.96
02192 NORTHWEST COMMUNITY HOSPITAL ERIC MERTES-DOl: 7 /5/09 319.60
MICHAEL ANGAROLA 001:7/16/09 127 . 68
-----....._-----
447.28
11643 PARKSIDE AUTO BODY INC REPAIR P- 33 FRONT END DAMAGE 1263.87
TOTAL 474022.58
710
01460 ARTHUR J. GALLAGHER RMS,INC. INSURANCE 8/1/09-8/01/10 9061.00
09677 INSPE ASSOCIATES LTD. MEDICAL EXP-C.SCHMIDT 1386.00
07263 RICHARD REIMER & ASSOC., LLC. INV#2192-12080 04/09 LEGAL EXP 2802.67
INV#2192-12151 05/09 LEGAL EXP 659.94
INV#2192-12248 06/09 LEGAL EXP 3462.31
INV#2192-12351 7/09 LEGAL EXP 3341.2 8
-------..--..--
10266.20
08650 WILLIAM C. MALIK, M.D. MEDICAL EXPENSE 1350.00
TOTAL 22063.20
120
01460 ARTHUR J. GALLAGHER RMS, INC. INSURANCE 8/1/09-8/1/10 10378.00
TOTAL 10378.00
REPORT: APBOARDRPT GENERATED: 15 APR 09 11 :42
RUN: TUESDAY AUGl12009 13:22
RELEASE 10 :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
DEPT VENDOR NBR
INVOICE DESCRIPTION
VENDOR NAME
790
11601 GENOVESE, JOSEPH REPLACE CHECK#13015700
01791 K-PLUS ENVIRONMENTAL, INC. GOLF PLAZA II
01719 NCPERS GROUP LIFE PREMIUM -AUGUST 2009
09942 RANDOLPH, W. DICKSON AND/OR EYDIE REISSUE CK#77257 1/3/2007
08337 RICK I S SEWER AND DRAINAGE REFUND BOND-NON VILLAGE ADORES
02689 THIRD DISTRICT CIRCUIT COORT BOND MONEY 7/30/09
BOND MONEY 8/4/09
BOND MONEY 8/6/09
BOND MONEY 8/11/09
02886
WISC. INCOME TAX JULY09
WISCONSIN DEPARTMENT OF REVENUE
TOTAL
GRAND TOTAL
PAGE 17
AMOUNT
200.00
780.00
704.00
4000.00
125.00
1725.00
237 5.0 0
1055.00
3468.00
8623.00
446.93
14878.93
2381840.61
REPORT: APBOARDRPT GENERATED: 15 APR 09 11:42
RUN: TUESDAY AUG1l2009 13: 22
RELEASE ID :
PAGE 18
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM JULY 30 2009 TO AUGUST 12 2009
- - - - -.... --.................................. --...... --...... --............ --.... --...... --........................................................................................................................................................
SUMMARY BY FUND
....................... -_................ --........ --...................................................................................... ---- --........ --................ --.. --.......... -- --...................................................
001 GENERAL FUND 233028.83
030 REFUSE DISPOSAL FUND 197816.22
050 MOTOR FUEL TAX FUND 96316.63
070 COMMUNITY DEVELPMNT BLOCK GRNT 13595.34
085 DEA SHARED FUNDS FUND 7350.00
510 CAPITAL IMPROVEMENT FUND 11l287.88
528 SERIES 2009 CONST FUND 597908.21
550 DOWNTOWN REDEVLPMNT CONST 63912.65
560 STREET IMPROVEMENT CONST FUND 42611. 97
590 FLOOD CONTROL CONST FUND 153405.00
610 WATER AND SEWER FUND 135 355 . 96
620 VILLAGE PARKING SYSTEM FUND 24.00
630 PARKING SYSTEM REVENUE FUND 3014.97
660 VEHICLE MAINTENANCE FUND 31015.91
670 VEHICLE REPLACEMENT FUND 168854.34
680 COMPUTER REPLACEMENT FUND 4999.99
690 RISK MANAGEMENT FUND 474022.58
710 POLICE PENSION FUND 22063.20
720 FIRE PENSION FUND 10378.00
790 ESCROW DEPOSIT FUND 14878.93
-.....-----------
TOTAL : 2381840.61
REPORT: APBOARDRPT
GENERATED: 15 APR 09 11: 42
RUN: TUESDAY AUG1l2009 13:22
PAGE
REPORT PARAMETERS
ORGANIZATION NO. : 001
STARTING CHECK DATE : 07/30/09
ENDING CHECK DATE : 08/12/09
STARTING BANK
ENDING BANK
SEGMENT NUMBER TO SORT BY : 01
STARTING ACCOUNT SEGMENT NUMBER: ALL
ENDING ACCOUNT SEGMENT NUMBER : ALL
RELEASE LEVEL
.. .......::7..., ""'. ...""'......... · · ""'~t""""'..
List of Escrow Checks Presented to the Board of Trustees
08/12/09 To 08/12/09
EMR025
Paid to
Permit #
091386
091327
091470
082571
090070
081800
081180
090858
091470
091274
091403
BEAUTIFUL STONES CONTRACTOR INC
BENJAMIN VARGA
CHAVEZ, CLEMENTE
CHLOPEK, DIANE
CHYNEK, MIROSLAW
COWELL, GEOFFREY
DEMETER, ANDRAS
DURO PAVE CONSTRUCTION
EXSTINK INC
FOUR SEASONS INC
GENESIS CONSTRUCTION INC
090156
091211
081195
082182
081495
090469
091350
091049
091437
091219
091134
091430
090415
090947
090263
090887
090767
060458
091525
091136
090727
091410
GERLACH, LILLIAN
HOLLOWAY, ROBERT
KEY SAC GROUP
MARTIN, TRACY
MCGUIGAN, PATRICIA
MILLER, MELVIN R
MUELLER, JOHN P
NELSON, WENDY
NEON NEON DESIGN CORP
PAVEWORKS INC
PETERSON, TODD
PIOTROWSKI, DONNA
RUANE, TIMOTHY G
SPERLING, RICHARD E
STAVOE, RONALD
SWIDERSKI, JOSEPH M
TOKAR, ADOLPH
VALEX INTERNATIONAL INC
VEGA, JOSE
WOZNIAK, ALICE J
Z-BEST LANDSCAPING
*** TOTAL NUMBER OF CHECKS 33
Check #
13016332
13016333
13016334
13016335
13016336
13016337
13016338
13016339
13016340
13016341
13016342
Amount
200.00
200.00
400.00
150.00
325.00
150.00
1,225.00
500.00
125.00
75.00
125.00
200.00 *
250.00
150.00
75.00
500.00
100.00
125.00
200.00
200.00
200.00
125.00
150.00
200.00
450.00
200.00
200.00
100.00
325.00
200.00
125.00
225.00
250.00
125.00
13016343
13016344
13016345
13016346
13016347
13016348
13016349
13016350
13016351
13016352
13016353
13016354
13016355
13016356
13016357
13016358
13016359
13016360
13016361
13016362
13016363
13016364
7,950.00