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HomeMy WebLinkAbout3. Financial Report 04/03/2012Village of Mount Prospect Mount Prospect, Illinois INTEROFFICE MEMORANDUM TO: VILLAGE PRESIDENT AND BOARD OF TRUSTEES FINANCE COMMISSION FROM: FINANCE DIRECTOR DATE: MARCH 19, 2012 SUBJECT: MONTHLY FINANCIAL REPORT — FEBRUARY 2012 Attached hereto are the cash position and investment statements of the Village for the month ended February 29, 2012. These statements provide a snapshot of the Village's cash position as of the month end date noted and are intended to supplement the budget revenue and expenditure summary and listing of bills you receive. The first statement presents the Village's cash position broken down by governmental and enterprise funds and trust and agency funds. The second statement presents the Village's cash position by fund type. The third statement presents the list of investments again broken down by governmental and enterprise funds and trust and agency funds. It is important to note that although we have included the trust and agency funds in the cash position report, these funds are not accessible for Village operations. They are restricted for pension and escrow funding only. Please read the summary that follows for further detail on the cash position of the Village. Cash and Investment Position Report — All Funds (page 1) This report provides a detail 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 /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 accounts for the accumulation of monies for debt service payments. Governmental and Enterprise Funds - Cash and cash equivalents at January 31 were $23.6 million. During February, cash receipts totaled $6,063,038.06. In addition investment income for the month was $2,050.31. Reductions in cash and cash equivalents during February totaled $4,899,341.31. Of this amount, payments to vendors were $3,546,073.87, employee payroll and related expenses were $1,350,166.06 and other disbursements totaled $3,101.39. There was also a net increase in cash due to interfund activity of $39,080.56. Cash and cash equivalents at February 29 were $24.9 million. Monthly Financial Report — February 2012 March 19, 2012 Page 2 There were no funds held in investments during the month of February. Funds were held in cash money market accounts that currently earn competitive rates of interest. Total cash and investments for Governmental and Enterprise Funds at January 31 were $23,647,433.62. Cash and investments at February 29 totaled $24,852,261.24. This is an increase of $1,204,827.62. Trust and Agency Funds - Cash and cash equivalents at January 31 were $7.2 million. During February, cash receipts totaled $854,855.36. Investment income for the month was $228,446.14. There was also a net increase in cash due to investment activities of $766,538.75. Reductions in cash and cash equivalents during February totaled $665,264.07. Of this amount, payments to vendors were $121,573.80, employee payroll related expenses were $500,299.78 and payments related to the flexible spending program totaled $43,221.24. Other expenses totaled $169.25. There was also a net decrease in cash due to interfund activity of $39,080.56. Cash and cash equivalents at February 29 were $8.4 million. Total investments at February 29 were $81.298,112.98, a decrease of $953,096.33 from January 31. There were unrealized investment losses of $186,557.58 and a transfer to cash of $766,538.75 that accounted for the change. Total cash and investments for Trust and Agency Funds at January 31 were $89,496,287.32. Cash and investments at February 29 totaled $89,688,686.61. This is an increase for the month of $192,399.29. Summary of Cash Activity by Fund Type (page 2) This report provides a breakdown of the cash activity for the month broken down by fund type. This breakdown is useful in identifying where the activity (receipts and disbursements) is occurring. There are times during the year when activity in certain funds such as the capital improvement and special revenue funds is higher than normal. This will distort the financial picture of some of the other components of the governmental funds such as the General Fund which tends to be more level and predictable in terms of spending and receipt of revenue. Each month the report will provide detail explanation on 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. Each of these is highlighted below. General Fund — Cash and cash equivalents at January 31 totaled $5,427,334.89. During February, cash receipts totaled $3,427,446.63 and investment income was $1,614.98. Significant cash receipts included sales and income taxes, and telecommunication taxes. The initial receipts of the first installment of 2011 Property taxes were seen during February. A total of $1,592,523 was received in the General Fund during the month. This represents roughly 13.5% of the total budget. For comparison, the Village did not begin receiving the 2010 first installment property tax until March. Sales tax revenues for the month totaled $1,011,611. Of this amount, $907,301 was generated from the 1% state portion while $104,310 was generated from the .25% home rule portion. Sales taxes received in February are for November sales as there is a normal three -month lag in getting this distribution from the state. H xACCT1Treasurer's Repo t\20121Monthly Cash Position Report - February 2012.docx Monthly Financial Report — February 2012 March 19, 2012 Page 3 Vehicle Stickers went on sale February 7 for the 2012 -2013 license period. Total receipts for February were $267,752. The total budget for this line item is $1,405,000. We are at 19.1 % of the total budget. A majority of the sticker sales will occur in March and April with the April 30 deadline required. Disbursements from the General Fund for February included payments to vendors of $1,168,042.81 and payments for employee wages and benefits of $1,178,073.53. Other disbursements totaled $3,411.97. Cash and cash equivalents at February 29 were $6,004,648.6. There were no investments in the General Fund at February 29. Statement of Investments (page 3) This report provides a breakdown of investments by governmental and enterprise funds and trust and agency funds. The report also provides a fund -by fund breakdown of the investments. Government and Enterprise Funds - Investments for the governmental and agency funds are typically made up of Certificates of Deposit. At February 29 there were no CD's placed at any bank. This is due to the extremely low interest rates being offered. Money instead has been placed in interest bearing money market accounts Trust and Agency Funds — The investments for the trust and agency funds are made up of certificates of deposits, fixed income investments and equity mutual funds. CD's (if any) held in the Escrow Deposit Fund will generally have maturities of between 30 and 120 days. Most of the reserves for this fund are invested in the more liquid money market account due to the nature of the deposit. Escrow refunds are processed two times per month. Investments for the Police and Firefighter Pension Funds consist of various fixed income securities as well as equity mutual fund accounts. Wells Fargo is the third -party holder of the fixed income securities. The funds are managed by three investment management firms, Galliard, Segall Bryant and Mesirow Financial. Segall Bryant holds approximately half of the fixed income investments for the two pension funds while Galliard and Mesirow manage the balance of fixed income investments for these two funds. Each manager maintains a small portion of their portfolio in cash to help facilitate liquidity and trading. Investments in equities consist of mutual funds spread across various sectors (small, mid and large -cap stocks) as well as investment philosophies (value, core and growth). The pension funds also have a small portion of their portfolio invested in international stocks. Each year the investment mix is evaluated for optimal diversification to meet the pension funds investment policy goals and objectives. Below is a breakdown of how the pension fund portfolios are invested. HAACURTreasurer's Report\2012\Monthly Cash Position Report - February 2012.docx Monthly Financial Report — February 2012 March 19, 2012 Page 4 Maturity Purchase Financial Investment Date Date Institution Description POLICE PENSION FUND (070) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments FIRE PENSION FUND (071) Various Various Wells Fargo Various Various Various Wells Fargo Investments Mutual Fund Investments TOTAL TRUST AND AGENCY FUND INVESTMENTS CUSIP/ Interest Market Acct # Rate % Value Various Various 22,154,917.66 Various Various 19,594,330.50 41,749,248.16 Various Various 19,507,868.98 Various Various 20,040,995.84 39,548,864.82 $ 81,298,112.98 investment of the Village's pension funds is governed by an Investment Policy adopted by each Pension Board. Conclusion As mentioned earlier, this cash position report is intended to provide a snapshot of the Village's cash position as of a particular month end date. Over time, this report will be able to provide trend information to help in cash management duties, maximizing investment earnings while ensuring availability of funds to meet the Village's commitments. The cash position report will continue to be provided to the Village Board and Finance Commission on a monthly basis. David O. Erb Finance Director HAACC RTreasurer's Report\20121Monthly Cash Position Report - February 2012.docx VILLAGE OF MOUNT PROSPECT Preliminary Cash and Investment Position Report - All Funds For the Month Ended February 29, 2012 GOVERNMENTAL AND EN TERPRISE FUNDS Balance at January 31, 2012 Cash receipts Investment income Transfers from investments to cash Transfers to investments from cash Interfund activity Disbursements: Accounts payable Payroll Other Balance at February 29, 2012 Cash and Cash Equivalents Investments $ 23,647,433.62 $ - 6,063,038.06 2,050.31 39,080.56 (3,546,073.87) (1,350,166.05) (3,101.39) Total Cash and Investments $ 23,647,433.62 6,063,038.06 2,050.31 39,080.56 (3,546,073.87) (1,350,166.05) (3,101.39) $ 24,852,261.24 $ - $ 24,852,261.24 TRUST AND AGENCY FUNDS * Disbursements: Accounts payable (121,573.80) (121,573.80) Payroll (500,299.78) (500,299.78) Flex spending (43,221.24) (43,221.24) Other (169.25) (169.25) Balance at February 29, 2012 $ 8,390,573.63 $ 81,298,112.98 $ 89,688,686.61 * Assets are restricted in purpose and do not represent discretionary assets of the government. 1 Cash and Cash Total Cash and Equivalents Investments Investments Balance at January 31, 2012 $ 7,245,078.01 $ 82,251,209.31 $ 89,496,287.32 Cash receipts 854,855.36 854,855.36 Investment income (loss) 228,446.14 (186,557.58) 41,888.56 Transfers from investments to cash 4,019,052.40 (4,019,052.40) - Transfers to investments from cash (3,252,513.65) 3,252,513.65 - Interfund activity (39,080.56) (39,080.56) Disbursements: Accounts payable (121,573.80) (121,573.80) Payroll (500,299.78) (500,299.78) Flex spending (43,221.24) (43,221.24) Other (169.25) (169.25) Balance at February 29, 2012 $ 8,390,573.63 $ 81,298,112.98 $ 89,688,686.61 * Assets are restricted in purpose and do not represent discretionary assets of the government. 1 N VILLAGE OF MOUNT PROSPECT Summary of Cash Activity by Fund Type For the Month Ended February 29, 2012 GOVERN AND ENTERPRISE FUNDS TRUST AND AGENCY FUNDS' INVESTMENTS Certificates of deposit - Wells Fargo investments - 41,662,786.64 41,662,786.64 Mutual fund investments - 39,635,326.34 - 39,635,326.34 Total investments - _ - - - 81,298,112.98 - 81,298,112.98 TOTAL CASH AND INVESTMENTS $ 6,004,648.60 $ 2,420,842.30 $ 272,910.98 $ 3,767,979.61 $ 2,613,024.14 $ 9 ,772,855.61 $ 24,852,261.24 $ 88,415,806.00 $ 1,272,880.61 $114,540,947.85 Assets are restricted in purpose and do not represent discretionary assets of the government. SPECIAL CAPITAL TOTAL GOVT. FIRE AND OTHER TRUST REVENUE DEBT SERVICE PROJECTS ENTERPRISE INTERNAL AND ENTERPRISE POLICE AND AGENCY GENERAL FUND FUNDS FUNDS FUNDS FUNDS SERVICE FUNDS FUNDS PENSIONS FUNDS TOTAL CASH &CASH EQUIVALENTS Beginning balance $ 5,427,334.89 $ 2,671,521.63 $ (21,899.00) $ 3,312,625.29 $ 2,463,481.81 $ 9,794,369.00 $ 23,647,433.62 $ 5,946,101.36 $ 1,298,976.65 $ 30,892,511.63 Cash receipts 3,427,446.63 405,134.37 295,537.98 851,804.85 937,915.25 145,198.98 6,063,038.06 796,394.03 58,461.33 6,917,893.42 Investment income 1,614.98 0.82 - - 1.96 432.55 2,050.31 228,338.19 107.95 230,496.45 Transfers from investments - - - - - 4,019,052.40 - 4,019,052.40 Transfers to investments - - - (3,252,513.65) (3,252,513.65) Interfund (502,219.59) 7,989.16 - - (163,317.22) 696,628.21 39,080.56 (34,250.73) (4,829.83) (0.00) Disbursements - other (3,411.97) - 310.58 (3,101.39) - (169.25) (3,270.64) Disbursements - flexible spending - - - - (43,221.24) (43,221.24) Disbursements - payroll (1,178,073.53) (15,378.82) (103,263.32) (53,450.38) (1,350,166.05) (500,299.78) (1,850,465.83) Disbursements - accounts payable (1,168,042.81) _ (648,424.86) (728.00) (396,450.53) (521,794.34) _ (810,633.33) (3,546,073.87) (85,128.80) (36,445.00) (3,667,647.67) Ending balance 6,004,648.60 _ 2,420,842.30 272,910.98 3,767,979.61 2,613,024.14 &i ,772,855.61 24,852,261.24 7,117,693.02 1,272,880.61 33,242,834.87 INVESTMENTS Certificates of deposit - Wells Fargo investments - 41,662,786.64 41,662,786.64 Mutual fund investments - 39,635,326.34 - 39,635,326.34 Total investments - _ - - - 81,298,112.98 - 81,298,112.98 TOTAL CASH AND INVESTMENTS $ 6,004,648.60 $ 2,420,842.30 $ 272,910.98 $ 3,767,979.61 $ 2,613,024.14 $ 9 ,772,855.61 $ 24,852,261.24 $ 88,415,806.00 $ 1,272,880.61 $114,540,947.85 Assets are restricted in purpose and do not represent discretionary assets of the government. VILLAGE OF MOUNT PROSPECT STATEMENT OF INVESTMENTS As of February 29, 2012 GOVERNMENTAL AND ENTERPRISE FUNDS Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted Date Date Institution Description Acct # Rate % Value Avg Yield As of February 29, 2012, there were no certificates of deposit held by the Governmental and Enterprise Funds. TRUST AND AGENCY FUNDS * Maturity Purchase Financial Investment CUSIP/ Interest Market Weighted Date Date Institution Description Acct # Rate % Value Avg Yield POLICE PENSION FUND (070) Various Various Wells Fargo Wells Fargo Investments Various Various 22,154,917.66 Various Various Various Mutual Fund Investments Various Various 19,594,330.50 41,749,248.16 FIRE PENSION FUND (071) Various Various Wells Fargo Wells Fargo Investments Various Various 19,507,868.98 Various Various Various Mutual Fund Investments Various Various 20,040,995.84 39,548,864.82 TOTAL TRUST AND AGENCY FUND INVESTMENTS $81,298,112.98 * Assets are restricted in purpose and do not represent discretionary assets of the government. 3 VILLAGE OF MOUNT PROSPECT BUDGET REVENUE EXPENDITURE SUMMARIES February 01— February 29, 2012 Account Classification Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 001- General Fund REVENUE Property Taxes 12,206,500.00 .00 12,206,500.00 1,592,522.93 .00 1,592,522.93 10,613,977.07 13 136,165.54 Other Taxes 7,603,000.00 .00 7,603,000.00 205,721.72 .00 305,502.61 7,297,497.39 4 733,154.03 Licenses, Permits & Fees 2,495,000.00 .00 2,495,000.00 450,175.00 .00 514,753.56 1,980,246.44 21 390,896.76 Intergovernmental Revenue 16,731,619.00 .00 16,731,619.00 64,380.57 .00 116,870.44 16,614,748.56 1 87,523.34 Charges For Services 1,518,125.00 .00 1,518,125.00 100,578.38 .00 156,178.93 1,361,946.07 10 241,441.61 Fines & Forfeits 507,000.00 .00 507,000.00 15,905.00 .00 37,209.56 469,790.44 7 64,342.49 Investment Income 25,000.00 .00 25,000.00 1,719.81 .00 3,582.03 21,417.97 14 6,025.84 Reimbursements 169,500.00 .00 169,500.00 13,972.28 .00 26,654.74 142,845.26 16 20,659.53 Other Revenue 290,738.00 .00 290,738.00 42,260.68 .00 103,380.10 187,357.90 36 68,082.41 Other Financing Sources 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 REVENUE TOTALS $ 41,547,482.00 $0.00 $41,547,482.00 $2,487,236.37 $0.00 $2,856,654.90 $38,690,827.10 7% $1,748,291.55 Fund 001- General Fund Totals $41,547,482.00 $0.00 $41,547,482.00 $2,487,236.37 $0.00 $2,856,654.90 $38,690,827.10 $1,748,291.55 r M Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 002 - Debt Service Fund REVENUE Property Taxes 1,749,000.00 .00 1,749,000.00 224,456.40 .00 224,456.40 1,524,543.60 13 23,078.94 Other Taxes 613,354.00 .00 613,354.00 .00 .00 .00 613,354.00 0 .00 Intergovernmental Revenue 47,258.00 .00 47,258.00 .00 .00 .00 47,258.00 0 OA Investment Income 600.00 .00 600.00 .00 .00 .00 600.00 0 .00 Other Financing Sources .00 .00 .00 .00 .00 8,210.00 (8,210.00) + ++ .00 REVENUE TOTALS $2,410,212.00 $0.00 $2,410,212.00 $224,456.40 $0.00 $232,666.40 $2,177,545.60 10% $23,076.94 Fund 002 - Debt Service Fund Totals $2,410,212.00 $0.00 $2,410,212.00 $224,456.40 $0.00 $232,666.40 $2,177,545.60 $23,078.94 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 020 - Capital Improvement Fund REVENUE Other Taxes 1,115,000.00 .00 1,115,000.00 .00 .00 .00 1,115,000.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ 00 Investment Income 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 15,000.00 .00 15,000.00 .00 .00 .00 15,000.00 0 .00 Other Financing Sources 937,000.00 .00 937,000.00 .00 .00 .00 937,000.00 0 .00 REVENUE TOTALS $2,068,000.00 $0.00 $2,068,000.00 $0.00 $0.00 $0.00 $2,068,000.00 0% $0.00 Fund 020 - Capital Improvement Fund Totals $2,068,000.00 $0.00 $2,068,000.00 $0.00 $0.00 $0.00 $2,068,000.00 $0.00 w 0. Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 021- Series 2009 Construction Fund REVENUE Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue .00 .00 .00 .00 .00 .00 .00 ... 00 Other Financing Sources .00 .00 .00 .00 . . 00 .00 + + .00 REVENUE TOTALS $0.00 $0.00 $0.00 $0.00 $0. $ 0.00 $ ... $ 0.00 Fund 021 - Series 2009 Construction Fund Totals $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 022 - Downtown Redevelopment Construct REVENUE 2,604,000.00 .00 2,604,000.00 460,213.23 .00 460,213.23 2,143,786.77 18 51,554.80 Property Taxes 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Investment Income .00 .00 .00 .00 .00 .00 ... .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Other Financing Sources REVENUE TOTALS .00 $2,605,000.00 $0.00 $2,605,000.00 $460,213.23 $0.00 $460,213.23 $2,144,786.77 18% $51,554.80 Fund 022 -Downtown Redevelopment Construct Totals $2,605,000.00 $0.00 $2,605,000.00 $460,213.23 $0.00 $460,213.23 $2,144,786.77 $51,554.80 cn all Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - Yl'D % used/ Account Classiflcatlon Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 023 - Street Improvement Construc Fund REVENUE Other Taxes 1,550,000.00 .00 1,550,000.00 25,323.17 .00 25,323.17 1,524,676.83 2 55,036.28 Licenses, Permits & Fees .00 .00 .00 .00 .00 .00 .00 + ++ .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Reimbursements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 5,000.00 .00 5,000.00 .00 .00 .00 5,000.00 0 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 ... .00 REVENUE TOTALS $1,555,500.00 $0.00 $1,555,500.00 $25,323.17 $ $ $ 1,530,176.83 2% $55,036.28 Fund 023 - Street Improvement: Construc Fund Totals $1,555,500.00 $0.00 $1,555,500.00 $25,323.17 $0.00 $25,323.17 $1,530,176.83 $55,036.28 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD °/a used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 024 - Flood Control Construction Fund REVENUE Other Taxes 601,646.00 .00 601,646.00 .00 .00 .00 601,646.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Charges For Services 7,500.00 .00 7,500.00 .00 .00 .00 7,500.00 0 571.00 Investment Income .00 .00 .00 .00 .00 .00 .00 ... .00 Reimbursements 56,500.00 .00 56,500.00 .00 .00 56,521.31 (21.31) 100 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $665,646.00 $0.00 $665,646.00 $0.00 $0.00 $56,521.31 $609,124.69 8% $571.00 Fund 024 - Flood Control Construction Fund Totals $665,646.00 $0.00 $665,646.00 $0.00 $0.00 $56,521.31 $609,124.69 $571.00 v Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classiflcation Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 040 - Refuse Disposal Fund REVENUE Property Taxes 1,807,,000.00 .00 1,807,000.00 231,547.48 .00 231,547,48 1,575,452.52 13 23,024,54 Charges For Services 2,258,,000.00 .00 2,258,000.00 257,566.53 .00 312,136,94 1,945,863.06 14 362,984.64 Fines & Forfeits 21,500.00 .00 21,500.00 3,276.51 .00 6,162.99 15,337.01 29 4,652.48 Investment Income 1 000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Other Revenue 381,,650.00 .00 381,650.00 12,423.98 .00 12,448.98 369,201,02 3 11.25 REVENUE TOTALS $4,469,,150.00 $0.00 $4,469,150.00 $504,814.50 $0. $ 562,2 9 6.39 $3,906,853.61 13% $390,672.91 Fund 040 - Refuse Disposal Fund Totals $4,469 $0.00 $4,469,150.00 $504,814.50 $0.00 $562,296.39 $3,906,853.61 $390,672.91 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 041- Motor Fuel Tax Fund REVENUE Intergovernmental Revenue 1,690,000.00 .00 1,690,000.00 109,555.84 .00 109,555.84 1,580,444.16 6 131,087.77 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Reimbursements 20,500.00 .00 20,500.00 .00 .00 4,932.51 15,567.49 24 4,959.51 REVENUE TOTALS $1,711,000.00 $0.00 $1,711,000.00 $109,555.84 $0.00 $114,488.35 $1,596,511.65 7% $136,047.28 Fund 041 - Motor Fuel Tax Fund Totals $1,711,000.00 $0.00 $1,711,000.00 $109,555.84 $0.00 $114,488.35 $1,596,511.65 $136,047.28 w 0 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YfD YfD Budget - YfD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 042 - Cmmty Development Block Grant REVENUE Intergovernmental Revenue 353,543.00 .00 353,543.00 .00 .00 .00 353,543.00 0 .00 Investment Income .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Revenue 60,000.00 .00 60,000.00 .00 .00 .00 60,000.0 0 22,20 REVENUE TOTALS $413,543.00 $0.00 $413,543.00 $0.00 $0. $0.0 $ 0% $ 2 2, 206.50 Fund 042 - Cmmty Development Block Grant Totals $413,543.00 $0.00 $413,543.00 $0.00 $0.00 $0.00 $413,543.00 $22,206.50 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 043 - Asset Seizure Fund REVENUE Fines & Forfeits 3 .00 3,000.00 .00 .00 .00 3,000.00 0 453.76 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 REVENUE TOTALS $3,500.00 $0.00 $3,500.00 $0.00 $0.00 $0.00 $3,500.00 0% $453.76 Fund 043 - Asset Seizure Fund Totals $3,500.00 $0.00 $3,500.00 $0.00 $0.00 $0.00 $3,500.00 $453.76 r r r N Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 044 - DEA Shared Funds Fund REVENUE Fines & Forfeits 2,500.00 .00 2,500.00 .00 .00 .00 2,500.00 0 .00 Investment Income 500.00 .00 500.00 .82 .00 1.72 498.28 0 9.46 REVENUE TOTALS $3,000.00 $0.00 $3,000.00 $0.82 $0. $1.72 $2, 998.28 0 0 $9,46 Fund 044 - DEA Sheared Funds Fund Totals $3,000.00 $0.00 $3,000.00 $0.82 $0.00 $1.72 $2,998.28 $9.46 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 045 - DUI Fine Fund REVENUE Fines & Forfeits 9,000.00 .00 9,000.00 .00 .00 .00 9,000.00 0 963.79 Investment Income 500.00 .0 0 500.00 .00 .00 .00 500.00 0 .00 REVENUE TOTALS $9,500.00 $ 0. 0 0 $9,500.00 $0.00 $0.00 $0.00 $9,500.00 0% $963.79 Fund 045 - DUI Fine Fund Totals $9,500.00 $0.00 $9,500.00 $0.00 $0.00 $0.00 $9,500.00 $963.79 r w r Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account ClasslFlcatlon Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 046 - Foreign Fire Tax Board Fund REVENUE Other Taxes 55,000.00 .00 55,000.00 .00 .00 .00 55,000.00 0 .00 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ . REVENUE TOTALS $55,,500.00 $0.00 $55,500.00 $0.00 $0.00 $0.00 $55,500.00 0% $0.00 Fund 046 - Foreign Fire Tax Board Fund Totals $55,,500.00 $0.00 $55,500.00 $0.00 $0.00 $0.00 $55,500.00 $0.00 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classificatlon Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prlor Year YTD Fund 048 - Business District Fund REVENUE Other Taxes .00 .00 .0 0 9,105.25 .00 9,105.25 (9,105.25) + ++ .00 REVENUE TOTALS $0.00 $ 0.00 $0.00 $9,105.25 $0.00 $9,105.25 ($9,105.25) + ++ $0.00 Fund 048 - Business District Fund Totals $0.00 $0.00 $0.00 $9,105.25 $0.00 $9,105.25 ($9,105.25) $0.00 r N r 0) Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 050 - Water and Sewer Fund REVENUE Property Taxes 1,516,,000.00 .00 1,516,000.00 203,049.80 .00 203,049.80 1,312,950.20 13 17,937.13 Licenses, Permits & Fees 15,000.00 .00 15,000.00 1,000.00 .00 1,550.00 13,450.00 10 2,910.00 Charges For Services 9,937,,000.00 .00 9,937,000.00 746,869.47 .00 1,450,951.28 8,486,048.72 15 1,407,664.56 Fines & Forfeits 120,000.00 .00 120,000.00 9,396.51 .00 17,891.32 102,108.68 15 21,161.15 Investment Income 3,000.00 .00 3,000.00 1.96 .00 4.05 2,995.95 0 4.88 Reimbursements 1,1000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Other Revenue 35,,000.00 .00 35,000.00 .00 .00 324.05 34,675.95 1 23,085.52 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 ++•+ 00 REVENUE TOTALS $11,627,,000.00 $0.00 $11,627,000.00 $960,317.74 $0.00 $1,673,770.50 $9,953,229.50 14% $1,472,763.24 Fund 050 - Water and Sewer Fund Totals $11,627,000.00 $0.00 $11,627,000.00 $960,317.74 $0.00 $1,673,770.50 $9,953,229.50 $1,472,763.24 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 051 - Village Parking System Fund REVENUE Other Taxes 45,000.00 .00 45,000.00 .00 .00 .00 45,000.00 0 .00 Charges For Services 105,000.00 .00 105,000.00 10,195.45 .00 25,063.05 79,936.95 24 18,309.95 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Revenue 6,600.00 .00 6,600.00 .00 .00 .00 6,600.00 0 .00 Other Financing Sources .00 .00 .00 .00 .00 .00 .00 + ++ .00 REVENUE TOTALS $157,100.00 $0.00 $157,100.00 $10,195.45 $0.00 $25,063.05 $132,036.95 16% $18,309.95 Fund 051 - Village Parking System Fund Totals $157,100.00 $0.00 $157,100.00 $10,195.45 $0.00 $25,063.05 $132,036.95 $18,309.95 F1 J Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget- YTD % used/ Account Classlflcatlon Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 052 - Parking System Revenue Fund REVENUE Other Taxes 55,000,00 .00 55,000.00 .00 .00 .00 55,000.00 0 .00 Intergovernmental Revenue .00 .00 .00 .00 .00 .00 .00 ... .00 Charges For Services 108,,000.00 .00 108,000.00 10,524.35 .00 18,070.35 89,929.65 17 15,214.45 Investment Income 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Revenue ,00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Financing Sources .00 .00 .00 .00 .0 . .00 + ++ . REVENUE TOTALS $163,,500.00 $0.00 $163,500.00 $10,524.35 $0.00 $18,070.35 $145,429.65 11% $15,214. Fund 052 - Parking System Revenue Fund Totals $163,,500.00 $0.00 $163,500.00 $10,524.35 $0.00 $18,070.35 $145,429.65 $15,214.45 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 060 - Vehicle Maintenance Fund REVENUE Charges For Services 2,010,205.00 .00 2,010,205.00 167,517.07 .00 335,034.14 1,675,170.86 17 317,133.68 Investment Income 500.00 .00 500.00 26.24 .00 54.14 445.86 11 64.25 Other Revenue 500.00 .00 500.00 797.96 .00 797.96 (297.96) 160 158.75 REVENUE TOTALS $2,011,205.00 $0.00 $2,011,205.00 $168,341.27 $0.00 $335,886.24 $1,675,318.76 17% $317,356.68 Fund 060 - Vehicle Maintenance Fund Totals $2,011,205.00 $0.00 $2,011,205.00 $168,341.27 $0.00 $335,886.24 $1,675,318.76 $317,356.68 r kD N O Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YfD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 061 - Vehicle Replacement Fund REVENUE Charges For Services 1,183,.800.00 .00 1,183,800.00 98,649.99 .00 197,299.98 986,500.02 17 116,266.68 Flnes & Forfeits 24,000.00 .00 24,000.00 .00 .00 .00 24,000.00 0 .00 Investment Income 50,000.00 .00 10,000.00 262.16 .00 542.14 9,457.86 5 642.62 Other Revenue .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Financing Sources 50,000.00 .00 50,000.00 .00 . . 00 5 0 1 REVENUE TOTALS $1,267,800.00 $0.00 $1,267,800.00 $98,912.15 $0.00 $197, $1, 069,957. 88 16% $1 2 9, 859.30 Fund 061 - Vehicle Replacement Fund Totals $1,267,.800.00 $0.00 $1,267,800.00 $98,912.15 $0.00 $197,842.12 $1,069,957.88 $129,859.30 Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 062 - Computer Replacement Fund REVENUE Charges For Services .00 .00 .00 .00 .00 .00 .00 + ++ 38,653.50 Investment Income 1,000.00 .00 1,000.00 39.32 .00 81.34 918.66 8 96.42 REVENUE TOTALS $1,000.00 $0.00 $1,000.00 $39.32 $0.00 $81.34 $918.66 8% $38,749.92 Fund 062 -Computer Replacement Fund Totals $1,000.00 $0.00 $1,000.00 $39.32 $0.00 $81.34 $918.66 $38,749.92 N r N N Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget rransactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 063 - Risk Management Fund REVENUE Charges For Services 5,271,967.00 .00 5,271,967.00 494,710.77 .00 933,585.98 4,338,381.02 18 869,138.73 Investment Income 2,000.00 .00 2,000.00 104.83 .00 216.86 1,783.14 11 257.03 Reimbursements 6,000.00 .00 6,000.00 .00 .00 .00 6,000.00 0 .00 Other Revenue 1,160,392.00 .00 1,160,392.00 92,810.22 .00 179,546.40 9 80,845.60 1 5 14 8,96 8. 69 REVENUE TOTALS $6,440,359.00 $0.00 $6,440,359.00 $587,625.82 $0.00 $1,113 , $5,327,009.7 17% $1, Fund 063 - Risk Management Fund Totals $6,440,359.00 $0.00 $6,440,359.00 $587,625.82 $0.00 $1,113,349.24 $5,327,009.76 $1,018,364.45 Revenue Budget by Account Classification Report Account Classification Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 070 - Police Pension Fund REVENUE Charges For Services .00 .00 .00 .00 .00 .00 .00 ... .00 Investment Income 2,622,500.00 .00 2,622,500.00 9,906.84 .00 230,629.17 2,391,870.83 9 37,532.22 Other Revenue 3,24 .00 3,244,500.00 395,096.30 .00 475,365.15 2,769,134.85 15 154,379.84 REVENUE TOTALS $5,867,000.00 $0.00 $5,867,000. $405,003.14 $0.00 $705,994.32 $5,161,005.68 12% $191,912.06 Fund 070 - Police Pension Fund Totals $5,867,000.00 $0.00 $5,867,000.00 $405,003.14 $0.00 $705,994.32 $5,161,005.68 $191,912.06 N W N �P Revenue Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget rransactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 071 - Fire Pension Fund REVENUE Investment Income 2,531,000.00 .00 2,531,000.00 23,547.14 .00 209,195.14 2,321,804.86 8 6,327.19 Other Revenue 2,841,300.00 .00 2,841,300.00 334,956.51 .00 410,243.76 2,431,056.24 14 131,923.66 REVENUE TOTALS $5,372,300.00 $0.00 $5,372,300.00 $35 8,503.65 $0.00 $619,438.90 $4,752,861.10 12% $138,250.85 Fund 071- Fire Pension Fund Totals $5,372,300.00 $0.00 $5,372,300.00 $358,503.65 $0.00 $619,438.90 $4,752,861.10 $138,250.85 Grand Totals $90,424,297.00 $0.00 $90,424,297.00 $6,420,168.47 $0.00 $9,006,766.78 $81,417,530.22 $5,769,667.17 Expense Budget by Account Classification Report Account Classification Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 001- General Fund EXPENSE Personal Services, Scheduled Salaries & Wages 22,938,376.00 (2,800.00) 22,935,576.00 1,625,995.48 .00 2,563,403.27 20,372,172.73 11 2,710,276.85 Employee Benefits 10,472,944.00 .00 10,472,944.00 1,181,056.47 .00 1,601,216.87 8,871,727.13 15 964,289.51 Other Employee Costs 379,154.00 866.00 380,020.00 18,686.40 7,777.17 47,835.86 324,406.97 15 44,854.70 Pension Benefits 46,005.00 .00 46,005.00 3,833.63 .00 7,667.26 38,337.74 17 7,643.60 Contractual Services 6,372,180.00 3,005.00 6,375,185.00 393,535.95 681,469.04 885,827.45 4,807,888.51 25 860,942.34 Utilities 263,151.00 .00 263,151.00 4,914.24 .00 9,900.17 253,250.83 4 7,123.35 Insurance 159,712.00 .00 159,712.00 13,332.60 .00 27,312.02 132,399.98 17 53,078.02 Commodities & Supplies 628,472.00 (1,071.00) 627,401.00 35,038.79 53,336.11 48,316.13 525,748.76 16 53,006.37 Other Expenditures 11,000.00 .00 11,000.00 .00 .00 .00 11,000.00 0 .00 Building Improvements 10,000.00 .00 10,000.00 1,168.00 1,119.65 1,168.00 7,712.35 23 .00 Office Equipment 51,612.00 .00 51,612.00 .00 .00 .00 51,612.00 0 .00 Other Equipment 140,493.00 .00 140,493.00 2,433.95 7,644.00 4,686.28 128,162.72 9 7,046.49 Distribution Systems .00 .00 .00 .00 .00 .00 .00 + ++ .00 Infrastructure 74,383.00 .00 74,383.00 .00 .00 440.00 73,943.00 1 .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 ... 00 EXPENSE TOTALS $41,547,482.00 $0.00 $41,547,482.00 $3,279,995.51 $751,345.97 $5,197,773.31 $35,598,362.72 14% $4,708,261.23 Fund 001- General Fund Totals $41,547,482.00 $0.00 $41,547,482.00 $3,279,995.51 $751,345.97 $5,197,773.31 $35,598,362.72 $4,708,261.23 r M Expense Budget by Account Classification Report - Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 002 - Debt Service Fund EXPENSE Contractual Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Expenditures .00 .00 .00 .00 .00 ,00 .00 + ++ .00 Bond Principal 1,479,,732.00 .00 1,479,732.00 .00 .00 18,377.95 1,461,354.05 1 .00 Interest Expense 928,,179.00 .00 928,179.00 .00 .00 1,266.47 926,912.53 0 .00 Bank & Fiscal Fees 1,,284.00 .00 1,284.00 428.00 ,00 1,837.22 (553.22) 143 1,584.00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ 00 Other Financing Uses .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $2,409,1 $0.00 $2,409,195.00 $428.00 $0.00 $21,481.64 $2,387,713.36 1% $1,584.00 Fund 002 - Debt Service Fund Totals $2,409,195.00 $0.00 $2,409,195.00 $428.00 $0.00 $21,481.64 $2,387,713.36 $1,584.00 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 020 - Capital Improvement Fund EXPENSE Contractual Services 218,000.00 .00 218,000.00 14,427.61 212,068.17 17,677.61 (11,745.78) 105 6,861.95 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Land Inprovements .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements 387,500.00 .00 387,500.00 500.00 51,993.35 83,145.00 252,361.65 35 115.00 Office Equipment .00 .00 .00 .00 .00 .00 .00 ... .00 Motor Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Equipment 1,210,500.00 .00 1,210,500.00 .00 .00 .00 1,210,500.00 0 .00 Infrastructure 360,000.00 .00 360,000.00 .00 118,927.44 .00 241,072.56 33 .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $2,176,000.00 $ 0.00 $2,176,000.00 $14,927.61 $382,988.96 $100,822.61 $1,692,188.43 22% $6,976.95 Fund 020 - Capital Improvement Fund Totals $2,176,000.00 $0.00 $2,176,000.00 $14,927.61 $382,988.96 $100,822.61 $1,692,188.43 $6,976.95 w Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 021- Series 2009 Construction Fund EXPENSE Contractual Services 00 .00 .00 .00 .00 .00 .00 + ++ 00 Building Improvements .00 .00 .00 .00 .00 .00 100 + ++ .00 Office Equipment .00 .00 .00 .00 .00 .00 ,00 + ++ 00 Other Equipment .00 .00 .00 .00 00 .00 .0 + ++ 747.00 EXPENSE TOTALS $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 + ++ $ 747.00 Fund 021- Series 2009 Construction Fund Totals $0.00 $0.00 $0,00 $0.00 $0.00 $0.00 $0.00 $747.00 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 022 - Downtown Redevelopment Construct EXPENSE Contractual Services 88,000.00 .00 88,000.00 .00 56,995.60 .00 31,004.40 65 .00 Utilities .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Expenditures 2,660,000.00 .00 2,660,000.00 7,000.00 .00 7,000.00 2,653,000.00 0 00 Infrastructure .00 .00 .00 .00 .00 .00 .00 + ++ .00 Bond Principal .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interest Expense .00 .00 .00 .00 .00 .00 .00 + ++ .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ 00 EXPENSE TOTALS $2,748,000.00 $0.00 $2,748,000.00 $7,000.00 $56,995.60 $7,000.00 $2,684,004.40 2% $0.00 Fund 022 -Downtown Redevelopment Construct Totals $2,748,000.00 $0.00 $2,748,000.00 $7,000.00 $56,995.60 $7,000.00 $2,684,004.40 $0.00 cn R Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 023 -Street Improvement Construc Fund EXPENSE Contractual Services 20,000.00 .00 20,000.00 .00 .00 .00 20,000.00 0 .00 Infrastructure 1,197,000.00 .00 1,197,000.00 .00 125,225.21 .00 1,071,774.79 10 35,004.58 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $1,217,000.00 $0.00 $1,217,000.00 $0.00 $125,225.21 $0.00 $1,091,774.79 10% $35,004.58 Fund 023 - Street Improvement Construc Fund Totals $1,217,000.00 $0.00 $1,217,000.00 $0.00 $125,225.21 $0.00 $1,091,774.79 $35,004.58 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 024 - Flood Control Construction Fund EXPENSE Contractual Services .00 .00 .00 .00 .00 .00 .00 + ++ .00 Other Expenditures 5,150.00 .00 5,150.00 .00 .00 .00 5,150.00 0 .00 Other Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Infrastructure 675,000.00 .00 675,000.00 252.52 .00 252.52 674,747.48 0 .00 EXPENSE TOTALS $680,150.00 $0.00 $680,150.00 $252.52 $0.00 $252.52 $679,897.48 0% $0.00 Fund 024 - Flood Control Construction Fund Totals $680,150.00 $0.00 $680,150.00 $252.52 $0.00 $252.52 $679,897.48 $0.00 A w Expense Budget by Account Classification Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 040 - Refuse Disposal Fund EXPENSE Personal Services, Scheduled Salaries & Wages 237,856.00 .00 237,856.00 19,033.58 .00 27,431.64 210,424.36 12 22,720.90 Employee Benefits 86,851.00 .00 86,851.00 6,789.49 .00 11,401.77 75,449.23 13 11,453.12 Other Employee Costs 1,200.00 .00 1,200.00 .00 .00 .00 1,200.00 0 .00 Contractual Services 4,022,673.00 .00 4,022,673.00 320,607.99 .00 515,889.65 3,506,783.35 13 446,491.50 Utilities 572.00 .00 572.00 16.25 .00 36.55 535.45 6 23.01 Insurance 27,331.00 .00 27,331.00 2,277.58 .00 4,555.16 22,775.84 17 4,195.84 Commodities & Supplies 33,737.00 .00 33,737.00 7,628.59 .00 7,927.59 25,809.41 23 .0 EXPENSE TOTALS $4,410,220.00 $0.00 $4,410,220.00 :356,353.48 $0.00 $567,242.36 $3,842,977.64 13% $484,884.37 Fund 040 - Refuse Disposal Fund Totals $4,410,220.00 $0.00 $4,410,220.00 $356,353.48 $0.00 $567,242.36 $3,842,977.64 $484,884.37 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 041- Motor Fuel Tax Fund EXPENSE Contractual Services 186,302.00 .00 186,302.00 3,229.88 75,752.08 3,229.88 107,320.04 42 1,976.00 Utilities 150,000.00 .00 150,000.00 13,862.29 .00 13,862.29 136,137.71 9 22,671.15 Commodities & Supplies 200,000.00 .00 200,000.00 78,938.57 85,550.43 114,173.31 276.26 100 171,259.65 Infrastructure 1,044,000.00 .00 1,044,000.00 444.00 16,716.48 444.00 1,026,839.52 2 .00 EXPENSE TOTALS $1,580,302.00 $0.00 $1,580,302.00 $96,474.74 $178,018.99 $131,709.48 $1,270,573.53 20% $195,906.80 Fund 041- Motor Fuel Tax Fund Totals $1,580,302.00 $0.00 $1,580,302.00 $96,474.74 $178,018.99 $131,709.48 $1,270,573.53 $195,906.80 w F1 0 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classiflcation Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 042 - Cmmty Development Block Grant EXPENSE Personal Services, Scheduled Salaries & Wages 65,019.00 .00 65,019.00 4,361.14 25.00 6,649.62 58,344.38 10 6,744.09 Employee Benefits 29,838.00 .00 29,838.00 2,335.65 .00 4,249.90 25,588.10 14 3,524.21 Other Employee Costs 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 253.56 Contractual Services 107,186.00 .00 107,186.00 282.56 .00 2,159.73 105,026.27 2 1,075.05 Commodities & Supplies 500.00 .00 500.00 .00 .00 .00 500.00 0 56.99 Other Expenditures 160,000.00 .00 160,000.00 12,890.00 .00 12,890.00 147,110.00 8 19,535.00 Land Inprovements .00 .00 .00 .00 .00 .00 .00 ... .00 Building Improvements 00 .00 .00 .00 .00 .00 .00 + ++ .00 Infrastructure 50,000.00 .00 50,000.00 .00 .00 .00 50,00 0 . EXPENSE TOTALS $413,543.00 $0.00 $413,543.00 $19,869.35 $25.00 $25,949.25 $387,568.75 6% $31,18 Fund 042 - Cmmty Development Block Grant Totals $413,543.00 $0.00 $413,543.00 $19,869.35 $25.00 $25,949.25 $387,568.75 $31,188.90 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 043 - Asset Seizure Fund EXPENSE Other Employee Casts 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Contractual Services 1,500.00 .00 1,500.00 .00 .00 .00 1,500.00 0 .00 Other Equipment 1,000.00 .00 1,000.00 79.75 .00 4,139.35 (3,139.35) 414 .00 EXPENSE TOTALS $3,500.00 $0.00 $3,500.00 $79.75 $0.00 $4,139.35 ($639.35) 118% $0.00 Fund 043 - Asset Seizure Fund Totals $3,500.00 $0.00 $3,500.00 $79.75 $0.00 $4,139.35 ($639.35) $0.00 r r N Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 044 - DEA Shared Funds Fund EXPENSE Contractual Services 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Building Improvements 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Other Equipment 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 EXPENSE TOTALS $3,000.00 $0.00 $3,000.00 $0.00 $0.00 $0.00 $3,000.00 0% $0.00 Fund 044 - DEA Shared Funds Fund Totals $3,000.00 $0.00 $3,000.00 $0.00 $0.00 $0.00 $3,000.00 $0.00 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 045 - DUI Fine Fund EXPENSE Other Employee Costs 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Other Equipment 7,500.00 .00 7,500.00 136.65 .00 1,880.65 5,619.35 25 .00 Interfund Transfers 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 EXPENSE TOTALS $ 9,500.00 $0.00 $9,500.00 $136.65 $0.00 $1,880.65 $7,619.35 20% $0.00 Fund 045 - DUI Fine Fund Totals $9,500.00 $0.00 $9,500.00 $136.65 $0.00 $1,880.65 $7,619.35 $0.00 r w r Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 046 - Foreign Fire Tax Board Fund EXPENSE Contractual Services 10,000.00 .00 10,000.00 .00 .00 1,974.26 8,025.74 20 2 Insurance 500.00 .00 500.00 .00 .00 .00 500.00 0 41721 Commodities & Supplies 3,000.00 .00 3,000.00 .00 .00 .00 3,000.00 0 .00 Other Equipment 15,000.00 .00 15,000.00 .00 .00 .00 15,000.00 0 .0 EXPENSE TOTALS $28,500.00 $0.00 $28,500.00 $0.00 $0.00 $1,974.26 $26,525.74 7% $2,949.74 Fund 046 - Foreign Fire Tax Board Fund Totals $28,500.00 $0.00 $28,500.00 $0.00 $0.00 $1,974.26 $26,525.74 $2,949.74 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 050 - Water and Sewer Fund EXPENSE Personal Services, Scheduled Salaries & Wages 1,856,769.00 .00 1,856,769.00 142,441.07 .00 210,927.76 1,645,841.24 11 204,935.68 Employee Benefits 684,136.00 .00 684,136.00 58,562.15 .00 116,151.77 567,984.23 17 100,057.51 Other Employee Costs 35,941.00 .00 35,941.00 1,371.66 509.50 6,471.66 28,959.84 19 3,927.50 Contractual Services 5,924,961.00 .00 5,924,961.00 428,291.06 210,636.36 542,020.70 5,172,303.94 13 486,298.02 Utilities 198,006.00 .00 198,006.00 8,366.89 .00 11,121.28 186,884.72 6 13,089.33 Insurance 70,098.00 .00 70,098.00 5,841.50 .00 11,683.00 58,415.00 17 12,806.32 Commodities & Supplies 312,616.00 .00 312,616.00 6,646.09 40,192.43 7,954.57 264,469.00 15 18,878.57 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ 00 Office Equipment 6,544.00 .00 6,544.00 .00 .00 .00 6,544.00 0 .00 Other Equipment 1,004,503.00 .00 1,004,503.00 57,090.00 37,883.60 57,090.00 909,529.40 9 7,812.68 Distribution Systems 1,883,600.00 .00 1,883,600.00 3,474.00 67,081.12 3,474.00 1,813,044.88 4 10,565.76 Infrastructure 30,000.00 .00 30,000.00 .00 .00 .00 30,000.00 0 .00 Bond Principal .00 .00 .00 .00 .00 .00 .00 ... .00 Interest Expense .00 .00 .00 .00 .00 .00 .00 ... .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 + ++ .00 EXPENSE TOTALS $12,007,174.00 $0.00 $12,007,174.00 $712,084.42 $356,303.01 $966,894.74 $10,683,976.25 11% $858,371.37 Fund 050 - Water and Sewer Fund Totals $12,007,174.00 $0.00 $12,007,174.00 $712,084.42 $356,303.01 $966,894.74 $10,683,976.25 $858,371.37 F- Ul rn Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 051- Village Parking System Fund EXPENSE Personal Services, Scheduled Salaries & Wages 21,729.00 .00 21,729.00 1,717.71 .00 2,526.50 19,202.50 12 1,834.56 Employee Benefits 6,265.00 .00 6,265.00 507.78 .00 879.34 5,385.66 14 1,294.66 Contractual Services 94,796.00 .00 94,796.00 9,568.10 24,784.63 13,945.10 56,066.27 41 13,677.19 Insurance 812.00 .00 812.00 67.67 .00 135.34 676.66 17 125.84 Commodities & Supplies 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Expenditures .00 .00 .00 .00 .00 .00 100 + ++ .00 Building Improvements 6,800.00 .00 6,800.00 .00 .00 .00 6,800.00 0 1,955.00 Infrastructure 50,000.00 .00 50,000.00 .00 5,000.00 .00 45,000.00 10 .00 Interfund Transfers .00 .00 .00 .00 .0 .00 .00 + ++ . EXPENSE TOTALS $180,902.00 $0.00 $180,902.00 $11,861.26 $29,784.63 $17,486.28 $133,631.09 26% $18,887.25 Fund 051- Village Parking System Fund Totals $180,902.00 $0.00 $180,902.00 $11,861.26 $29,784.63 $17,486.28 $133,631.09 $18,887.25 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 052 - Parking System Revenue Fund EXPENSE Personal Services, Scheduled Salaries & Wages 41,031.00 .00 41,031.00 3,033.35 .00 4,712.26 36,318.74 11 4,142.96 Employee Benefits 17,443.00 .00 17,443.00 1,363.79 .00 2,496.94 14,946.06 14 1,586.15 Contractual Services 112,063.00 .00 112,063.00 7,274.40 6,380.97 10,293.06 95,388.97 15 8,971.65 Utilities 10,317.00 .00 10,317.00 313.08 .00 313.08 10,003.92 3 1,350.73 Insurance 1,138.00 .00 1,138.00 94.83 .00 189.66 948.34 17 168.50 Commodities & Supplies 9,586.00 .00 9,586.00 1,700.00 .00 1,856.60 7,729.40 19 64.66 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Building Improvements 25,000.00 .00 25,000.00 .00 .00 .00 25,000.00 0 .00 Infrastructure .00 .00 .00 .00 34,062.22 .00 (34,062.22) ... .00 Interfund Transfers .00 .00 .00 .00 .00 .00 .00 ... .00 EXPENSE TOTALS $216,578.00 $0.00 $216,578.00 $13,779.45 $40,443.19 $19,861.60 $156,273.21 28% $16,284.65 Fund 052 - Parking System Revenue Fund Totals $216,578.00 $0.00 $216,578.00 $13,779.45 $40,443.19 $19,861.60 $156,273.21 $16,284.65 00 Expense Budget by Account Classification Report - Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month WD WD Budget - WD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD Fund 060 - Vehicle Maintenance Fund EXPENSE Personal Services, Scheduled Salaries & Wages 936,,976.00 .00 936,976.00 77,884.09 .00 113,504.52 823,471.48 12 113,664.67 Employee Beneflts 367,,789.00 .00 367,789.00 30,639.81 .00 51,646.50 316,142.50 14 48,435.42 Other Employee Costs 2,,315.00 .00 2,315.00 120.00 .00 120.00 2,195.00 5 .00 Contractual Services 95,738.00 .00 95,738.00 4,795.00 .00 5,895.63 89,842.37 6 13,649.70 Utilities 993.00 .00 993.00 40.62 .00 91.36 901.64 9 57.55 Commodities & Supplies 603,,349.00 .00 603,349.00 85,016.35 203,575.38 130,789.98 268,983,64 55 118,769.74 Other Expenditures .00 .00 .00 .00 .00 .00 .00 + ++ .00 Office Equipment 545.00 .00 545.00 .00 .00 .00 545.00 0 .00 Other Equipment 3, ,500.00 .00 3,500.00 .00 00 483.50 3,016.50 14 2,600.70 EXPENSE TOTALS $2,011,205.00 $0.00 $2,011,205.00 $198,495.87 $203,575. $302, $ 1,505,098. 1 3 25% $297,177.78 Fund 060 - Vehicle Maintenance Fund Totals $2,011,,205.00 $0.00 $2,011,205.00 $198,495.87 $203,575.38 $302,531.49 $1,505,098.13 $297,177.78 Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fun 1- Vehicle Replacement Fund EXPENSE Other Expenditures .00 .00 .00 .00 .00 .00 .00 ... .00 Motor Equipment 1,321,800.00 .00 1,321,800.00 2,896.00 171,237.88 4,367.00 1,146,195.12 13 2,741.46 Interfund Transfers .00 .00 .00 .00 .00 .00 100 ... . EXPENSE TOTALS $1,321, $0.00 $1, $2, 896.00 $171,237.88 $4, 367.00 $1,1 13% $2,741.46 Fund 061 - Vehicle Replacement Fund Totals $1,321,800.00 $0.00 $1,321,800.00 $2,896.00 $171,237.88 $4,367.00 $1,146,195.12 $2,741.46 N O Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget 'Fransactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 062 - Computer Replacement Fund EXPENSE Office Equlpment 233,300.00 .00 233,900.00 19,982.48 .00 19,982.48 213,917.52 9 5,498.59 EXPENSE TOTALS $233, $0.00 $233,900.00 $19,982.48 $0.00 $19,982.48 $213,917.52 9% $5,498.59 Fund 062 - Computer Replacement Fund Totals $233,900.00 $0.00 $233,900.00 $19,982.48 $0.00 $19,982.48 $213,917.52 $5,498.59 Expense Budget by Account Classification Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Recd Prior Year YTD f una 063 - Risk Management Fund EXPENSE Contractual Services 13,500.00 .00 13,500.00 3,300.00 .00 3,300.00 10,200.00 24 500.00 Insurance 6,831,455.00 .00 6,831,455.00 666,217.34 4,881.55 1,347,762.07 5,478,811.38 20 1,222,362.19 Other Equipment .00 .00 .00 .00 .00 .00 .00 + ++ .00 Infrastructure .00 .00 . 00 .00 . . 00 .00 + ++ .00 EXPENSE TOTALS $ $ 0. 0 0 $6,844,955.00 $6 69,517. 3 4 $ 4,881.55 $ $5,489,011.38 20% $1,222,862.19 Fund 063 - Risk Management Fund Totals $6,844,955.00 $0.00 $6,844,955.00 $669,517.34 $4,881.55 $1,351,062.07 $5,489,011.38 $1,222,862.19 N r N N Expense Budget by Account Classification Report Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Account Classification Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 070 - Police Pension Fund EXPENSE Pension Benefits 3,646,470.00 .00 3,646,470.00 301,716.81 .00 605,436.16 3,041,033.84 17 594,019.36 Contractual Services 125,500.00 .00 125,500.00 .00 .00 10,363.15 115,136.85 8 10,610.16 Insurance 10,000.00 .00 10,000.00 .00 .00 .00 10,000.00 0 .00 Commodities & Supplies 500.00 .00 500.00 .00 .00 .00 500.00 0 .00 Other Expenditures 12,000.00 .00 12,000.00 27.12 .00 777.12 11,222.88 6 275.00 Office Equipment .00 .00 .00 .00 . 00 .00 .00 + ++ .00 EXPENSE TOTALS $3,794,470.00 $0.00 $3,794,470.00 $301,743.93 $0.00 $616,576.43 $3,177,893.57 16% $604,904.52 Fund 070 - Police Pension Fund Totals $3,794,470.00 $0.00 $3,794,470.00 $301,743.93 $0.00 $616,576.43 $3,177,893.57 $604,904.52 Expense Budget by Account Classification Report Account Classification Through 02/29/12 Prior Fiscal Year Activity Included Adopted Budget Amended Current Month YTD YTD Budget - YTD % used/ Budget Amendments Budget Transactions Encumbrances Transactions Transactions Rec'd Prior Year YTD Fund 071 - Fire Pension Fund EXPENSE Pension Benefits 3,647,069.00 .00 3,647,069.00 303,586.29 .00 607,172.58 3,039,896.42 17 590,580.40 Contractual Services 124,000.00 .00 124,000.00 1,116.25 .00 11,177.88 112,822.12 9 14,785.55 Insurance 11,000.00 .00 11,000.00 .00 .00 .00 11,000.00 0 .00 Commodities & Supplies 1,000.00 .00 1,000.00 .00 .00 .00 1,000.00 0 .00 Other Expenditures 12,000.00 .00 12,000.00 .00 .00 .00 12,000.00 0 .00 EXPENSE TOTALS $3,795,069.00 $0.00 $3,795,069.00 $304,702.54 $0.00 $618,350.46 $3,176,718.54 16% $605,365.95 Fund 071- Fire Pension Fund Totals $3,795,069.00 $0.00 $3,795,069.00 $304,702.54 $0.00 $618,350.46 $3,176,718.54 $605,365.95 Grand Totals $87,632,445.00 $0.00 $87,632,445.00 $6,010,580.90 $2,300,825.37 $9,977,337.98 $75,354,281.65 $9,099,597.33 N W VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Fund Vendor Name Invoice Description Amount 001 General Fund ACS State & Local Government Solutions Illinois State Disbursement Unit $ 2,899.36 Active Alarm Company, Inc. Monitoring of alarms for Fire Station 12 - first quarter 300.00 Monitoring of alarms for 10 S. Pine -first quarter 79.50 Monitoring of alarms for storage shed at 1591 W. Algonquin Rd 85.50 2nd qtr alarm monitoring at the CCC - Invoice 80960 73.50 Addison Building Material Co. Forestry Equipment and Supplies 38.42 ADT Security Services, Inc. Equipment Maintenance and Repair 3,161.88 Airgas North Central Oxygen & Cylinder Rental 255.47 Oxygen & Cylinder Rental 110.27 Aramark Uniform Services, Inc. Cleaning and rental of Public Works empolyee uniforms 59.24 Armstrong Medical Industries Inc. Infant Disposable Mask and Other Supplies 190.30 AT & T Long Distance Service 2/1/12 - 2/29/12 1,179.69 Service 3/10/12 - 4/9/12 2,981.30 Service 3/7/12 - 4/6/12 731.44 B & H Photo /video Video Equipment 1,593.95 Bedco Mechanical Bi- monthly services to all HVAC equipment in all buildings 2,033.32 Besse Medical Supply Invoice 12010449088 - Medical Supplies 250.78 Boivin, Michael Reimbursement Youth Commission Meeting 2/1/12 21.94 Bright Electrical Supply Co. Maintenance and repair supplies 432.11 Brzostowski, Jerry CDL Reimbursement 30.00 Case Lots, Inc. Custodial supplies to be used in all buildings 1,153.30 Replace trash receptacles for Public Works and cleaning supplies 305.00 CDW Government, Inc. Equipment maintenance supplies 67.14 Equipment maintenance supplies 197.96 Equipment maintenance supplies 78.02 Equipment maintenance supplies 196.85 Backup Tapes 588.55 Equipment maintenance supplies 21.80 Century Cleaners Uniform Cleaning 22.62 Uniform Cleaning 18.63 Uniform Cleaning 22.25 Uniform Cleaning 11.90 Uniform Cleaning 33.53 Uniform Cleaning 6.50 Uniform Cleaning 18.63 Uniform Cleaning 17.80 Chicago Office Technology Group Copier overage - Invoice 099880 46.06 CL Graphics, Inc. Printing - entrepreneur postcard plain 178.43 Reprints of Emergency Preparedness Newsletter Inserts 637.00 Shipping for Emergency Preparedness Inserts 17.92 Clark, Sandra M. Travel and Meeting Expenses 60.00 Travel and Meeting Expenses 5.00 Commonwealth Edison Electrical Service Delivery 239.16 Electrical Service Delivery 26.52 Electrical Service Delivery 100.21 Crystal Maintenance Services Corp. Cleaning services for all buildings in January 6,163.62 Cleaning services at all buildings for April 6,163.62 CVS Pharmacy, Inc. Prisoner supplies 8.18 Dorsey, Sean Travel and Meeting Expenses 101.58 Drawing Board Printing Inc. Mayor's sympathy cards 115.43 Eterno, David G. Legal billing 213.00 Federal Express Corp Shipping Services 28.10 Fire Pension Fund Fire Pension 21,462.17 Flory, James M Shelf & Brackets 88.85 Folgers Flag & Decorating, Inc. Flag/banner parts 667.40 Garcia, Rafaela $150 Yearly Clothing Allowance 150.00 Gary J. Klein Celestial celebration music 2012 1,400.00 Gawlik, Nora Food Purchase for the Youth Commission Meeting 3/7/12 32.91 Glenn Stearns Chapter 13 Trustee Garnishment 200.00 Government Mangement Information Sciences GMIS Conference 425.00 Graybar Electric Co. Streetlight Supplies 295.91 Home Depot U.S.A., Inc. Maintenance Repair and Supplies 697.41 Homer Tree Care, Inc. Tree Removal 1,113.00 Tree Removal 9,700.40 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 17,413.02 IL Chapter, American Planning Association Illinois APA 2012 Planning Intership Ad 25.00 Page 1 of 7 Fund Vendor Name ILGISA Illinois American Water Company Illinois Department of Revenue Illinois Dept.of Agriculture Illinois Environmental Health Assc. Illinois Fire Service Admin. Professionals Internal Revenue Service International Association of Fire Chiefs International Union of Operating Engineers Interstate Battery J.G. Uniforms, Inc. Journal & Topics Newspapers Kane, Julie K Kapuscinski, Christopher Kathleen W. Bono,csr,ltd. Kerstein, June Kidd, Daniel Kone, Inc. Landscape Forms, Inc. Laner Muchin Leib, Jason Lindco Equipment Sales, Inc. Lorman Education Services McDonald's Corporation Meade Electric Co. Inc. Menards Metro Federal Credit Union Metropolitan Alliance - Police Metropolitan Ind., Inc. Michael Wagner & Sons, Inc. Micro Tech Systems, Inc. Miller, Ruth Mobile Print Inc. Morgan, Nancy Mount Prospect Historical Soc. Mount Prospect Public Library Municipal Emergency Services, Inc. Nationwide Mutual Insurance Company Nextel Communications Nexus Office Systems, Inc. North Suburban Association of Chiefs of Police Northwest Electrical Supply Northwest Police Academy Northwest Suburban United Way Novak & Parker Inc. VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Invoice Description Long Range Planner Job Advertisement ILGISA Membership Service 2/9/12 - 3/9/10 IL State Withholding Truck scales certification 2012 North Chapter Annual Educational Conference 2012 North Chapter Annual Educational Conference 2012 North Chapter Annual Educational Conference 2012 North Chapter Annual Educational Conference 2012 North Chapter Annual Educational Conference 2012 Membership -1. Hernandez Membership/ Heredia IFSAP 2012 Annual Membership Federal Withholding OPFED - Federal Withholding Registration/ Malcolm Fire Rescue International 2012 Aug 1-4 IUOE PW Membership Dues Equipment Maintenance and Repair Body armor: F. Cornejo Body armor: T. Janowick Legal Notices for Planning Division Legal Notices for Planning Division Reimburse J. Kane for registering notary commission with County Rebate TransReal Estate Tax Legal billing Reimb Phone March 2012 Reimburse training expenses Elevator maintenance for Fire Station 14 Other Equipment Legal Service February CDL Reimbursement Snow Plow Blades Education Services Prisoner meals - February, 2012 Traffic Signal Maintenance Speaker Wire, Wall Plate and Surge Protector Electronic Surge Protector Maintenance and repair supplies Maintenance and repair supplies MP Fire Local 4119 Dues MP Police Association Dues Inspection and repair to ejector pump at teh Village Hall Maintenance and repair supplies Maintenance and repair supplies Equipment Maintenance and Repair Equipment maintenance supplies Refund Vehicle License Fee Mailing labels Printing - Sister Cities - potluck postcard Printed Envelopes Mailing labels Printing- Irish posters & rackcards Reimburse N. Morgan for Advisory dinner & Calendar for C. Lively April 2012 Budget Allocation Fiber Optic Charges for Village Hall 10/16/11- 1/15/12 Fiber Optic Charges for CC Center 10/16/11- 1/15/12 TNT Tool Nationwide 457 (flat percent) Air cards Wireless cards for 2/7 thru 3/8/12 PW - Staples 2/29/12 2012 Membership: M. Semkiu 2012 Membership: J. Dahlberg Street light supplies Seminar registration United Way Bosch Evolution Dishwasher Page 2 of 7 Amount 100.00 50.00 292.10 39,713.08 400.00 50.00 50.00 50.00 80.00 80.00 40.00 55.00 55.00 190,443.25 481.26 595.00 564.63 399.80 677.00 760.00 126.96 126.96 10.00 750.00 596.00 39.95 100.00 289.00 6,280.00 1,207.50 30.00 135.53 149.00 208.54 223.46 31.85 11.97 13.76 52.17 2,357.40 1,198.50 6,871.00 197.26 99.82 203.70 311.85 36.00 70.81 38.80 498.58 66.92 220.40 41.84 3,333.33 1,759.14 830.50 256.78 13,241.47 159.96 239.94 23.50 50.00 50.00 1,128.55 100.00 249.75 848.00 VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Fund Vendor Name Invoice Description Amount Overhead Garage Door, Inc. Overhead door repair 2,078.29 Parent Petroleum, Inc. Street Sweeper Supplies 742.63 Petty Cash Petty Cash 166.74 EWS Consultants, Inc. Petty Cash 1/14/12 - 3/14/12 502.52 Gewalt Hamilton Assoc. PETTY - CASH FIRE DEPARTMENT 99.50 Police Pension Fund Police Pension 28,296.48 Pope, Elizabeth A. Garnishment 92308 Proforma Customized Graphics Open House Supplies 49.07 Open House Supplies 279.14 Sign Making Materials 117.60 Prosafety, Inc. Replacement hard hats for all PW employees 434.50 Randolph, Daniel Travel and Meeting Expenses 256.85 Red Wing Shoe Store Safety Shoe Allowance 152.99 Rossbach, John CDL Reimbursement 30.00 Secretary of State 2012 License Plate Sticker Renewal - S -27 - G516401 99.00 Shred First Inc. Shredder bags 172.50 Signs By Tomorrow Banners (3) - irish fest (1- garage, 2 train fence) 661.00 Sound Incorporated Phone Support 828.83 April Maint. contract for ip phones, switches & servers 72.00 Standard Equipment Company 4502 sweeper OEM hyd filters and breather filters 426.39 Street Sweeper Supplies 1.42 Street Sweeper Supplies 607.61 State of Illinois Internet Access 1,182.70 Steinweg, Delanie Food Purchase for the Youth Commission Meeting 1/4/12 30.32 Suburban Accents Inc Decals for PW hard hats 75.00 15" We Care Decal 30.00 Systems Forms, Inc. Building Inspection Forms 419.54 T.P.I. Building Inspections 12,803.50 Building Inspections 794.50 Building Inspections 13,210.00 Building Inspection 11,400.00 The Dearborn Inn Lodging for training course: Medicolegal Investigation of Death 441.18 Thompson Elevator Inspections Elevator Inspections 111.00 Elevator Inspections 225.00 Elevator Inspections 37.00 Elevator Inspections 37.00 Traffic Control & Protection Inc Sign Making Material 5,742.50 Trees R Us Inc Parkway Tree Trimming 4,388.90 Trezise, Robert Refund Escrow Permit # 11 -2612 50.00 United States Alliance Fire Protection, Inc. Building Maintenance and Repair 606.00 UPS Store #707 Shipping Services 10.48 VCG Uniform Uniform supplies 224.70 Village of Mount Prospect Flex - Parking 12,028.44 Service 1/31/12 - 2/29/12 5.00 Warehouse Direct Office Supplies 987.87 Clock 22.91 Coffee & Coffee Cups for Meetings 55.90 Coffee Maker 239.00 Office Supplies - Magic Markers 6.26 Office Supplies 180.18 West Publishing Corporation Subscription renewals 442.08 Wide Open West WOW Internet Service 59.50 Wilks, Irvana 2012 Springfield NWMC 534.16 W ISCTF Garnishment 542.48 Wisniewski, Donald Reimbursement for camera purchase 76.27 Worldpoint Ecc, Inc. Training CPR Cards 432.96 Wulbecker, Jeffrey Clothing Allowance 34.94 001 General Fund Total $ 471,311.33 020 Capital Improvement Fund American Building Services Improvements to Public Buildings $ 3,202.60 Bright Electrical Supply Co. Dimming ballast for stock 1,216.25 Business Office Systems, Inc. Replacement Furniture 9,872.02 Combined Roofing Services LLC Building Maintenance Repair 7,410.00 EWS Consultants, Inc. Design /Consultation Services 1,000.00 Gewalt Hamilton Assoc. Kensington Road Phase II Reconstruction 6,139.28 Kensington Road Phase II Reconstruction 2,560.48 Page 3 of 7 VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Fund Vendor Name Invoice Description Amount Ronco Industrial Supply Clothing lockers for all PW employees 12,948.00 020 Capital Improvement Fund Total $ 44,348.63 040 Refuse Disposal Fund AT&T Long Distance Service 2/1/12 - 2/29/12 $ 6.56 Service 3/10/12 - 4/9/12 16.29 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 18.30 Illinois Department of Revenue IL State Withholding 447.64 Internal Revenue Service Federal Withholding 2,939.03 International Union of Operating Engineers IUOE PW Membership Dues 60.52 Nationwide Mutual Insurance Company Nationwide 457 (flat percent) 44.99 Northwest Suburban United Way United Way 3.00 Proforma Customized Graphics Open House Supplies 12.02 Open House Supplies 68.41 Standard Equipment Company Street Sweeper Brooms 488.81 Village of Mount Prospect Flex - Parking 67.49 040 Refuse Disposal Fund Total $ 4,173.06 041 Motor Fuel Tax Fund Commonwealth Edison Electrical Service Delivery $ 11,166.68 Electrical Service Delivery 52.59 Morton Salt, Inc Road salt for snow and ice control stock 2,560.18 Road salt for ice and snow control 2,565.61 041 Motor Fuel Tax Fund Total $ 16,345.06 042 Community Development Block Grant ICMA Retirement Trust - 457 ICMA 457 (flat percent) $ 112.50 Illinois Department of Revenue IL State Withholding 94.00 Internal Revenue Service Federal Withholding 557.07 Village of Mount Prospect Flex - Parking 126.04 042 Community Development Block Grant Total $ 889.61 043 Asset Seizure Fund Cash Operations $ 500.00 043 Asset Seizure Fund Total $ 500.00 045 DUI Fine Fund I Got HIt LLC Crash data retrieval system $ 2,283.00 045 DUI Fine Fund Total $ 2,283.00 050 Water and Sewer Fund Addison Building Material Co. Building Maintenance and Repair $ 11.29 Aramark Uniform Services, Inc. Cleaning and rental of Public Works empolyee uniforms 59.24 AT&T Long Distance Service 2/1/12 - 2/29/12 437.79 Service 3/10/12 - 4/9/12 617.47 Service 3/10/12 - 4/9/12 1,087.22 Service 3/10/12 - 4/9/12 484.07 Atlas Reality Refund Final Utility Bill 25.82 Badger Meter Inc Water Meters 773.10 Water Meter Repair Parts 193.28 Bank of New York Mellon JAWA March 2012 299,122.00 Burkhard, Daniel G Refund Final Utility Bill Acct #896002 57.58 Century Cleaners Uniform Cleaning 22.63 Uniform Cleaning 18.62 Uniform Cleaning 22.25 Uniform Cleaning 11.90 Uniform Cleaning 33.52 Uniform Cleaning 6.50 Uniform Cleaning 18.62 Uniform Cleaning 17.80 Chicago Title Insurance Professional Service 750.00 Exelon Corporation Electrical Service Delivery 1,769.83 Electrical Service Delivery 774.14 Electrical Service Delivery 213.61 Electrical Service Delivery 66.48 Electrical Service Delivery 89.38 Electrical Service Delivery 156.25 Page 4 of 7 VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Fund Vendor Name Invoice Description Amount Federal Express Corp Shipping Expenses 163.37 Fluid Conservation Systems, Inc. Repair Maintenance and Supplies 690.00 Repair Maintenance Supplies 1,065.00 HD Supply Waterworks, Ltd. Repair Maintenance & Supplies 1,679.70 ICMA Retirement Trust - 457 ICMA 457 (flat percent) 1,120.20 Illinois Department of Revenue IL State Withholding 3,321.68 Internal Revenue Service Federal Withholding 19,922.40 International Union of Operating Engineers IUOE PW Membership Dues 486.08 Kaminski, Robert Refund Final Water Bill Acct#974902 22.48 L & B Business Services Inc. Repair Maintenance and Supplies 67.90 Mount Prospect Paint, Inc. Building Maintenance and Repair 110.98 Nationwide Mutual Insurance Company Nationwide 457 (flat percent) 258.88 Nexus Office Systems, Inc. PW - Staples 2/29/12 23.50 Northwest Suburban United Way United Way 23.00 Proforma Customized Graphics Open House Supplies 36.91 Open House Supplies 209.95 Prosafety, Inc. Replacement hard hats for all PW employees 434.50 Ronco Industrial Supply Supply Maintenance and Repair 40.91 Suburban Accents Inc Decals for PW hard hats 75.00 Suburban Laboratories, Inc. Annual IEPA- Required Water Sample Testing 262.00 Annual IEPA- Required Water Sample Testing 228.50 USA Bluebook Repair Maintenance Supplies 80.94 Village of Mount Prospect Flex - Parking 754.56 Water Environment Federation Membership Dues 103.00 Ziebell Water Service Products Hydrant Maintenance and Repair 170.00 Repair Maintenance and Supplies 2,747.60 050 Water and Sewer Fund Total $ 340,939.43 051 Village Parking System Fund Crystal Maintenance Services Corp. Cleaning services for all buildings in January $ 2,015.86 Cleaning services at all buildings for April 2,015.86 Illinois Department of Revenue IL State Withholding 35.95 Internal Revenue Service Federal Withholding 215.68 International Union of Operating Engineers IUOE PW Membership Dues 9.68 Nationwide Mutual Insurance Company Nationwide 457 (flat percent) 21.95 Petty Cash Petty Cash 1/14/12 - 3/14/12 5.00 Village of Mount Prospect Flex - Parking 23.50 051 Village Parking System Fund Total $ 4,343.48 052 Parking System Revenue Fund Crystal Maintenance Services Corp. Cleaning services for all buildings in January $ 290.52 Cleaning services at all buildings for April 290.52 Illinois Department of Revenue IL State Withholding 58.44 Internal Revenue Service Federal Withholding 326.23 International Union of Operating Engineers IUOE PW Membership Dues 6.47 Nationwide Mutual Insurance Company Nationwide 457 (flat percent) 14.69 Petty Cash Petty Cash 1/14/12 - 3/14/12 2.00 Village of Mount Prospect Flex - Parking 78.21 Service 2/1/12 - 2/29/12 19.04 052 Parking System Revenue Fund Total $ 1,086.12 060 Vehicle Maintenance Fund ACS State & Local Government Solutions Illinois State Disbursement Unit $ 480.24 Addison Building Material Co. Vehicle Maintenance Supplies 93.27 Vehicle Maintenance Supplies 35.72 Airgas North Central Equipment Maintenance & Repair 102.91 Alpha Prime Communications Professional Services 149.90 Arlington Heights Ford Squad trans seal 15.55 P -10 Trunk lock cylinder 61.35 Equipment Maintenance and Repair 128.65 Equipment Maintenance and Repair 116.95 AT&T Long Distance Service 2/1/12 - 2/29/12 16.37 Service 3/10/12 - 4/9/12 40.72 Atlas Bobcat Inc. Vehicle Maintenance Supplies 776.42 Chicago International Truck Equipment Maintenance and Repair 243.87 Vehicle Maintenance Supplies 165.67 Chicago Parts & Sound Llc Vehicle Maintenance Supplies (278.91) Pace 5 of 7 Fund Vendor Name Cylinders, Inc. EJ Equipment Grainger Inc. Grossinger Chevrolet ICMA Retirement Trust - 457 Illinois Department of Revenue Internal Revenue Service International Union of Operating Engineers Jeffrey S. Siegmund Just Tires Mcmaster -carr Supply Co. MPC Communications & Lighting MSC Industrial Supply Co. Napa- Heights Automotive Supply Nationwide Mutual Insurance Company Northwest Suburban United Way Petroliance, LLC. Pomp's Tire Service, Inc. Precision Service & Parts Pro Finish Ronco Industrial Supply Solvent Systems Int'I. Inc. Standard Equipment Company Tri -state Electronic Corp Village of Mount Prospect World Fuel Services, Inc. 060 Vehicle Maintenance Fund Total 061 Vehicle Replacement Fund Lindco Equipment Sales, Inc. Napco Steel, Inc. Ultra Strobe Communications, Inc. 061 Vehicle Replacement Fund Total VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Invoice 525 Transmission filter Air, oil and fuel filters for Ambulances Air, oil and fuel filters for Ambulances Squad oil filters, front brake pads /rotors 4542 Brake rotors & fuel filters Squad A/C electric blend door motor Equipment Maintenance and Repair Vehicle Maintenance Supplies Vehicle Maintenance Supplies Vehicle Maintenance Supplies 2751 Drivers lower cushion seat cover 2715 Lug nuts 2715 Lug nuts 2715 Lower seat pad and cover for drivers seat 2715 Oil cooler lines and connectors 4526 am /fm speaker 2715 Door hinge kit ICMA 457 (flat percent) IL State Withholding Federal Withholding IUOE PW Membership Dues Equipment Maintenance and Repair Equipment Maintenance & Repair Vehicle Maintenance Supplies Equipment Maintenance & Repair Vehicle Maintenance Supplies Vehicle Maintenance Supplies Vehicle Maintenance Supplies 2750 Rear door lift cylinders Sway bar links Small eq spark plugs 2715 Lug nuts 2 Light connectors for 2738, 2750 303 Pinion seal 4542 Brake pads 4542 Front wheel seals Spotlight Bulb R -53 Rototiller belt Anti -seize Nationwide 457 (flat percent) United Way Vehicle Maintenance Supplies Dismount & mount 5 truck tires 4564 Dismount & mount 3 new tires P -37 OEM Cooling fan & module, oil filters, air filters Wiper blades Squad spark plugs, boots GM coolant Squad Belt Vehicle Maintenance Steam Cleaner Vehicle Maintenance Supplies Vehicle Maintenance Supplies Vehicle Maintenance Supplies Parts washer rental Vehicle Maintenance Supplies Vehicle Maintenance Supplies Flex - Parking 8,500 gallon UL fuel 6002 gallon diesel fuel Motor Equipment for Public Works Vehicle New trucks 4517, 4522 quick link plow hitches New trucks 4517, 4522 steel to build plow frames P -5 conversion Amount 37.46 500.00 51.33 311.36 420.98 49.12 585.00 162.23 137.08 66.78 259.95 23.10 10.50 375.26 115.57 26.96 99.94 661.50 1,707.29 10,014.32 294.57 485.00 3,178.31 812.00 162.50 19.51 310.00 38.22 60.98 62.98 15.92 19.20 9.98 16.94 105.76 22.98 48.99 10.97 45.36 210.00 12.69 228.20 124.00 116.00 507.49 29.26 113.90 67.74 18.48 473.50 237.05 111.67 14.45 185.64 127.29 14.26 531.66 29,479.79 21,514.18 $ 77,601.83 $ (485.19) 1,300.00 716.20 2,097.21 $ 3,628.22 Dear F of 7 VILLAGE OF MOUNT PROSPECT List of Bills March 15 - March 28, 2012 Fund Vendor Name Invoice Description Amount 063 Risk Management Fund Cannon Cochran Management Services, Inc. Claims & Administration Fee 1St Quarter 2012 $ 3,375.00 063 Risk Management Fund Total $ 3,375.00 070 Police Pension Fund Internal Revenue Service Federal Withholding $ 36,007.14 070 Police Pension Fund Total $ 36,007.14 071 Fire Pension Fund Internal Revenue Service Federal Withholding $ 34,795.45 071 Fire Pension Fund Total $ 34,795.45 073 Escrow Deposit Fund All State Roofing Inc Refund Escrow Permit # 12 -0011 $ 125.00 American Landscaping Inc. Return Donation Block Party 2012 1,000.00 American Sign Factory LLC Refund Escrow Permit # 12 -0133 125.00 Anderson, Gail Refund Escrow Permit # 11 -2296 125.00 Better Built Lumber & Supply Inc Refund Escrow Permit # 11 -1292 275.00 Blue Water Plumbing Refund Escrow Permit # 11 -1487 25.00 Casto Lifestyle Randhurst Shopping Center LLC Refund Escrow Permit # 12 -0037 225.00 Hebenstreit, Calvin Refund Escrow Permit # 12 -0192 125.00 Ibbotson Heating Co Refund Escrow Permit # 12 -0163 75.00 JIRSA Construction Refund Escrow Permit # 11 -2623 250.00 Kessler, Thomas 1 Refund Escrow Permit # 12 -0103 350.00 Langbehn, Steven A Refund Escrow Permit # 11 -0129 75.00 Norb & Sons Electric Refund Escrow Permit # 12 -0162 125.00 Penner, Arnie Refund Escrow Permit # 12 -0183 75.00 Rainbow Signs Inc Refund Escrow Permit # 10 -0857 75.00 Randhurst Crossing LLC Refund Escrow Permit # 11 -2672 75.00 Rick's Sewer & Drainage Refund Escrow Permit # 12 -0172 125.00 Smejkal, Mark Refund Escrow Permit # 12 -0196 125.00 Third District Circuit Court Bond Check 3/15/12 1,340.00 Bond Check 3/20/12 2,810.00 Bond Check 3/22/12 1,600.00 Bond Check 3/27/12 2,710.00 Windsor Sign System Refund Escrow Permit # 12 -0161 125.00 073 Escrow Deposit Fund Total $ 11,960.00 Grand Total $ 1,053,587.36 D- 7 of 7