HomeMy WebLinkAbout3. BILLS 11/04/03VILLAGE OF MOUNT PROSPECT
CASH POSITION
29-Oct-03
General Fund
Special Revenue Funds
Refuse Disposal Fund
Motor Fuel Tax Fund
Local Law Enforcement Block Grant Fund
Community Development BIk Grant Fund
Asset Seizure Fund
DEA Shared Funds
DUI Fine Fund
Debt Service Funds
Capital Proiects Funds
Capital Improvement Fund
Series 2001 Project Fund
Series 2003 Fund
Downtown Redevelopment Const Fund
Street Improvement Construction Fund
Flood Control Construction Fund
Enterprise Funds
Water & Sewer Fund
Parking System Revenue Fund
Internal Service Funds
Vehicle Maintenance Fund
Vehicle Replacement Fund
Computer Replacement Fund
Risk Management Fund
Trust & Agency Funds
Police Pension Fund
Fire Pension Fund
Flexcomp Trust Fund
Escrow Deposit Fund
Cash & Invstmt Receipts Disbursements Other
Balance 10/16103 Per Attached Credits/
10116/03 10/29/03 List of Bills Debits
10,196,949 533,175 436,023
2,628,470
1,277,119
950
(30,289)
48,865
75,814
19,773
3,679,901
2,097,494
541
9,616,167
627,538
1,854,458
1,466,203
4,404,491
417,576
422,567
5,020,505
515,500
1,554,129
31,932,487
33,644,105
22,967
1,257,946
210,126 25
9,316
15,105 18,193
1,300
105,209
18,930
101,230
385,823
6,177
155
83,269
38,869
84,070
72,411
29,717
300
3,616
3,226
9,785
196,045
12,260
77,064
566
26,317
8,759
40,189
32,535
21,224
Cash & Invstmt
Balance
10/29/03
10,294,101
2,838,571
1,267,803
950
(33,377)
48,865
75,814
21,073
3,784,810
2,093,878
(2,685)
9,616,167
636,683
1,759,643
1,453,943
4,713,250
423,187
396,425
5,103,774
515,500
1,584,239
31,976,368
33,683,981
22,967
1,266,439
112,762,246 1,685,566 895,443 113,542,369
REPORT: APBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY OCT292003 17:95 PAGE
RELEASE ID :
VILLAGE OF 14OUNT PROSPECT
LIST OF HILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DE~T VENDOR MEN VENDOR NA~IE INVOICE DESCRIPTION
001
02919 303 T~I 155 SENIOR TAXI RIDES 434.00
07750 A.W. ZENGELER, INC 2003 UNIFORM RENATAL AND CLEAN 357.66
02513 ABERNETNY, JANET T. REIMEUNSRMENT FOR MEXTEL 200.00
02955 ACME TRUCK BRAKE & SUPPLY CO. ROTORS AND PADS BRAKE PARTS 346.30
01227 AIR ONE EQUIPMENT, INC. Hazmat Equipment Meter, Cylind 382.00
OVERSIZE/HAZARD HANDLG 26.00
408.00
01246 AIRGAS NORTH CENTRAL OXYGEN 86.45
01335 ALEXIAN BROIHERS MEDICAL CENTR CPR CARDS I44.00
01561 .~MERICAN CHARGE SERVICE 114 SENIOR TAXI RIDES 308.80
04948 L~ERICAN PLANNING ASSOCIATION MEMBER DUES 390.00
MEMBER DUES 390.00
780.00
07803 AMERICAN SAFETYAND RESCUE NFPARESCUE ROPE,& RESCUE SUPP 540.00
NFPA RESCUE ROPE,& RESCUE SUPP 20.00
560.00
01833 ANDERSON LOCK C~PANY DOOR HOLDERS AND FILLERS 44.36
02001 ARA~LAPJ< UNIFORM SERVICES, INC. UNIFORM RENTAL 58.32
05736 ARCH WIRELESS PAGER SERVICE 445.52
85044 AVIS RENT A CAR SYSTEM TAC UNIT LRASE SEPT/2003 788.49
02617 BEARING DISTRIBUTORS, INC. REPLACRMENT BEARINGS AND DALE 277.72
REPLACEMENT BEARINGS AND ROLLE I232.60
ESTIMATED FREIGHT 20.00
ESTIMATED FREIGHT 20.00-
1510.32
06267 BEDCO MECHANICAL BI-MONTHLY RVAC SERVICES 1200.50
ADDITIONAL CHARGES 270.00
1470.50
02757 BESSE MEDICAL SUPPLY SUPPLIES 7744.79
07667 BIKE MASHBAR BIKE HELMETS 170.00
02849 BISHOP PL~BING COMPANY REFUND PEANIT FEE 33.00
REPORT: APBOARDRPT GENE~TED: 31 JUL 02 07:58 RUN: WEDNESDAY 0CT292003 17:05 PAGE 2
RELEASE iD :
VILLAGE OF MO'u~T PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FR~ OCTOBER 16 2003 TO OCTOBER 29 2003
DEFT VENDOR NBR VENDOR NAME IR~OICE DESCRIPTION AMOUNT
06683 BRAGAGNOLO, AL
06408 BUSINESS & LEGAL REPORTS, INC.
01026 CANNON FIRE PR~ECT!ON
01049 CDW GOVER~14ENT, INC
01056 CENTRAL CONTINENTAL BAKERY
01066 CHARTERHOUSE PUBLISHING CO.
08150 CLARK, DEBORAH
01118 CLERK OF THE CIRCUIT COURT
01148 CO~O~mALTH EDISON
01153 CO}~UNITY CAB CO.
01183 COOK COUNTY RECORDER OF DEEDS
06916 COP PEDALERS
04543 CORPORATE EXPRESS
01298 DRAWING BOARD INC.
06343 EDDiNGTON, RICHARD
01331 ELGIN COMMUNITY COLLEGE
01350 ENDEAVOR PLUS
01355 ENVIRONMENTAL RESOURCES TRNG
01369 FAiRVIEW PRINTING SERVICE
REIMHURSEM£NT FOR CDL RENEWAL
1 BOOK OF CHEMICAL LIST ON CD-
SHIPPING & HANDLING
ANNUAL FIRE P~P TESTS AT PUBL
ANNUAL FiRE PUMP TESTS AT PUBL
NP LJ 4500 DRUM KIT HPS-C4195A
SHIPPING CHARGE
WINDOWS SERVER LICENSE FOR GUS
ViLLAGE/SCHOOL PLANNING MEETIN
2004 TIME & PAY HARDCARDS
REFUND
PAYROLL FOR - 101603
PAYROLL FOR - 101603
~NICIPA5 STREET LIGHTS 224305
238 SENIOR TAXI RIDES
RECORDING
POLICE BICYCLE PROGRAM TRAININ
FUJi POLICE PACRAGE BICYCLES
OFFICE SUPPLIES
TYVEK IMPRINT ENVELOPES
REIMBURSE EXPENSES
REGIST~ATION-M.COTTEN
MEDICAL EXAMS
PRE-EMPLOYMENT PHYSICAL
ILLINOIS BACKFLOW PREVENTION
i500 ANNUAL iNSPECTION FOP.MS
50.00
295.00
25.08
320.08
6i .oo
415.00
I100.00
75.00
6.49
629.00
710.49
i3.40
51.23
52.00
700.00
300.00
1000.00
9195.49
596,10
586.00
1770.00
t198.00
2968,00
156.0i
464.61
93.00
298.00
5640.00
677.00
6317.00
95.00
263.00
REPORT: %PBOARDRPT GENERATED: 3! JUL 02 07:58 RUN: wEDNEs6~Y OCT292003 17:05 PAGE 3
~ RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DER ~ENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
01377 FEDERAL EXPRESS CORP OVERNIGHT DELIVERY i1.64
00331 FIGOLAH, MICHAEL ADVANCE-OCT 21-24,2003 211.92
08145 FIORENZO, MIKE REBATE FOR 5 SQUARES OF PUBLIC 368.00
00102 FIRE PENSION FUND PAYROLL FOR - 101603 14408.09
01414 FLINK C~XPANY 022995 LIGHT BAR BOX SS S/N 57 327.00
00337 FOWLE, LAURA CLOTHING ALLOWANCE 47.60
01461 GALL'S, INC. BIKE PATROL GEAR D.OLLECH 318.98
UNIFORM SAMPLES 74.97
HOLSTER FOR D.OLLECH 78.98
MONADNOCK BATONS 273.94
746.87
01477 GENER~ DNVICES 2 SPLIT/ PAK BATTERY SETS 330.57
08154 GLOBAL EMERGENCY VEHICLES DOOR PANEL REGULATOR 220.58
06530 GOLATZ, JESSIE a. OVERPAYMENT 21.00
01522 GEA!NGER INC. BATTERIES FOR 18 VOLT DRILL i44.64
01558 HANSEN ASSOCIATES MONTHLY SERVICE AGREEMENT I96.78
MONTHLY SERVICE AGREEMENT 200.00
MONTHLY SERVICE AGREEMENT !79.50
576.28
01559 HANSEN INFORMATION TECHNOLOGY AW-0i ~ANSEN VERSION 7.X 7515.15
08096 HILL, CHRISTOPHER PLAQUES FOR FIRE STATION 435.60
00106 ICMA RETIREMENT TRUST - 401 PAYROLL FOR - 101603 400.00
ICMA 401 PLAN R EDDtNGTON 346.87
746.87
00107 tCMA RETti{EMENT TRUST - 457 PAYROLL FOR - 101603 16679.46
07368 IEEE MLXBERSHtP-J.MIDDLETON 99.00
06443 IIMC ANNUAL MEMBERSHIP 230.00
06690 ILLINOISANERICANMATER CO. SERVICE 206.66
07367 ILLINOIS CENTURY NETWORK MONTHLY INTERKET FEES 430.00
00108 ILLINOIS DEPARTMENT OF REVENUE PAYROLL FOR - 101603 18622.17
VOID PR FOR - 101603 !6.04-
PAYROLL FOR - 101703 16.04
18622.!7
REPORT: APBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY ~T292003 17:05 PAGE 4
RELD. SE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FRO~OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NAME iNVOICE DESCRIPTION AMOUNT
01680 ILLINOIS FIRE & POLICE COM. ASSOC.
0i68I ILLINOIS FIRE CHIEFS ASSOC.
00109 ILLINOIS ~NIC!PAL RETIREMENT
01122 ILLINOIS STATE DISBURSEMENT UNIT
01712 ILLINOIS STATE POLICE
07433 IF~AGETEC L P
08169 INFINITY UNLIMITED iNC.
01725 INLAND DETROIT DEISEL-ALL!SON
01747 ISA
00353 JANONIS, MICHAEL E.
08171 JBL & ASSOCIATES
00356 JONES, DANIEL G.
01783 JOURNAL & TOPICS NEWSPAPERS
01794 ~LE UNIFORMS, INC.
01826 KLEIN, GARY
01827 KLEIn, THORPE AND JENKINS,LTD.
FALL SEMINAR 390.00
FALL SLqINAR 415.00
J.ARNDT-S~INAR 25.00-
FALL S~INAR 210.00
990.00
~GISTR~.TION-FIGOLAH 140.00
PAYROLL FOR - 101603 437.00
PAYROLL FOR - 101603 357.69
PAYROLL FOR - 101603 t95.50
PAYROLL FOR - 101603 116.31
PAYDLL FOR - 101603 520.75
1190.25
FINGERPRINTING 190.00
STAPLES FOR THE COPIERS 88.08
STAPLES FOR THE COFIERS 88.07
ADMiN.COPY ~CHINE INSTALLMENT 869.10
1045.25
9 HAND HELD ~ADIOS 336.51
i SET EXHAUST GASKETS 24.92
AD 137.50
LUNCH/~G 55.79
LUNCH MEETING 40.98
96.77
INSPECTIONAL SUPPLIES 235.50
REtBURS~ENT 25.01
AD-LEGALS 125.50
CLOTHING SUPPLIES 217.50
UNtFO~ SUPPLIES 6.90
CLOTHING SUPPLIES CSO VARGAS 37.95
262.35
UNIFO~ EXPENSES 33.63
LEGAL SERVICES 578.60
LEGAL SERVICES 16040.13
16618.73
REPORT: APBOARDRPT GEMERATED: 3i J~JL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 5
RELEASE iD :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
08164 KOVACH, BRADFORD
07256 KRAFT PAPER SALES CO., INC.
08158 KRUPPE, HERBERT
08149 LAWRENCE, PATRICIA
08165 LESTER, DEBR~
01897 LIFE ASSIST
00379 LINDELOF, CHA~ES M.
01914 LUND INDUSTRIES, INC.
01918 LUNDSTROM'S NURSERY
01941 ~LCOL~, JOHN
06004 MCDONALD'S CORPORATION
01985 MCGINTY BROS.
05021 MENARDS
06719 METEORLOG!X
00116 METRO FEDE~L CREDIT UNION
00117 METROPOLITAN ALLIANCE - POLICE
01058 MEYER-CENTURY LABS, INC
00395 MICHALIW, JOEL
02022 MID~EST HOMICIDE INVEST. ASSN.
02028 MIGHTY MITES AWARDS & SONS
00396 MILLER, JANES
REAL ESTATE TRANSFER TAX REBAT
CUPS/FOLD TOWELS
REAL ESTATE TRANSFER TAX REBAT
R/E T~SFER TAX REPJND
REAL ESTATE TRANSFER
Pen Lights and ambualance Supp
PEN LIGHTS AND AMBULANCNE SUPP
CLOTHING ALLOWANCE
REIMBURSEMENT FOR P.E. LICENSE
INSTALL ANTI THEFT LOCK
TURF MOWING AT VARIOUS LOCATtO
REFRESHMENTS
PKISONER MEALS
REMOVAL NORWAY ~PLE
STORAGE CABINETS
CONFERENCE TABLE
RENTAL OF WEATHER MONITORING
PAYROLL FOR - 101603
PAYROLL FOR - 101603
BLAST
WATER FLAKES BOWL CLEANER
MEDIC IMPRESSIONS DISINFECTANT
FREIGHT
MBLTI WaSH ~FC-820
WATER LAKES NEUTRAL CLEANER
REIMBURSEMENT FOR RENEWAL OF
2004 MEMBERSHIP RENEWAL
RIBBONS POSTER CONTEST
FIRE STATION PHOTO BOARD
790.00
430.50
334.00
2100.00
15.00
397.00
I2.02
409.02
147.22
60.00
207.22
244.95
3876.14
118.18
212.70
915.00
23.74
39.98
63.72
276.00
1225.00
614.00
83.60
71.52
65.90
31.68
88.08
85.00
425.78
60.00
28.00
402.40
46.53
REPORT: AREOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 6
RELEASE ID :
ViL~GE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR N~RE INVOICE DESCRIPTION AMOU~
08153 MOtSE, 5RIAN REIMBURSE EXPENSES 719.20
02107 NAPA-HEIGHTS AUTOMOTIVE SUPPLY REPAIR PARTS 262.05
02135 NATIONAL SAFETY COUNCIL RENTAL OF TRAINING FIL~ 65.00
00123 NATIO~{tDE PAYROLL FOR - 101603 15629.88
07593 NCJTC REGISTER T.JANOWICK 495.00
05823 ~JEDLO, KEVIN PERSONAL TRAINING 3000.00
02145 NELSON, WILLIAM REIMBURSE EXPENSES 24.00
02155 NEXTEL CO~9~UNICATiONS ACCT #136720519 148.30
ACCT #157600518 531.83
ACCT ~6840105tl 811.47
ACCT 9684010511 120.00
ACCT 9684920512 429.15
ACCT #741030517 71.51
ACCT 0741330510 214.53
ACCT 0982210515 t46.26
2473.05
02170 NORTH EAST MULTI REGIONAL T~{G REGISTRATION 350.00
05793 NONTHER~ ILLINOIS ALLIANCE LANGUAGE LINE 41.80
02193 NORTH~ST ELECTRICAL SUPPLY Replacement Lenses/Apparatus 300.30
05002 NORTHWEST POLICE ACAD~Y REGISTRATION 100.00
05124 NORTH~STE~ UNIVERSITY REGISTRATION 500.00
01209 N~TR!TION ACTION SUBSCRIPTION RENEWAL 20.00
08144 NYTKO, JERZY REBATE FOR 11 SQUARES OF PUBLI 440.00
07039 O.C.TANNER RECOGNITION CO. WASHINGTON STATE TAXES 15.27
02227 OAKTON CO,UNITY COLLEGE REG!STRTION 196.80
02229 OFFICE DEPOT COVER REPORT/CLARK PROJECT 21.14
DRUM KIT TONER 174.09
195.23
02256 PADDOCK PUBLICATIONS SUBSCRIPTION RENEWAL SERVICE 249.60
AD FOR E~IRO~ENTAL HEALTH 600.00
849.60
02256 PADDOCK PUBLICATIONS, INC. AD 35.64
PUBLICATION OF BID NOTICE 29.04
GENERATED: 31 JUL 02 07:58 RUN: ~DNESDAY OCT292003 17:05 PAGE 7
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER i6 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION AMOUNT
64.68
02285 PEDE~EN & HOUPT FOR SERVICES 166.25
02303 PETTY CASH - FIRE DEPT.
MRETINGS,TBAINING SUPPLIES
MEETINGS,TRAINiNG SUPPLIES
MEETINGS,TRAINiNG SUPPLIES
MEETINGS,T~AINING SUPPLIES
MEETINGS,TRAINING SUPPLIES
26.95
10.49
42.43
58.70
15.00
153.57
02312 PIKE & FISCHER, INC
FOOD PROTECTION REPORT 154.00
00124 POLICE PENSION FUND
PAYROLL FOR - 101603 22545.46
04921 POPE, ELIZABETH A.
PAYROLL FOR - 101603 923.08
06148 PRECISION MIDWEST
REPAIR/CALIB~TION OF LASERPLA 595.53
06661 PRIME OFFICE PROD.
SUPPLIES 452.I8
SUPPLIES 266.91
SUPPLIES 98.00
817.09
04417 QUALITY BLACKTOP INC.
ASPHALT RESTORATION CONTRACT 2 540.89
02395 RAYMAR HYDRAULIC REPAIR SERVIC
101-1003-009 CHAR-LYNN HYDRAUL 706.96
101-1008-009 CHAR-LYNN HYDRAUL 368.04
ESTIMATED FREIGHT 25.00
ESTAMATED~REIGNT 25.00-
1075.00
03910 REAL ESTATE INDEX INC.
TITLE SEARCH-917 HILUS! 80.00
02408 REID AND ASSOCIATES, JOHN E.
PRE-EMPLOYMENT TESTING 175.00
08142 RIESING, THOMAS
REBATE FOR 4 SQUARES OF PUBLIC 258.00
02008 ROGER MEYER & SON
HAULING AND DISPOSAL OF SMEEPI
HAULING AND DISPOSAL OF SMEEPI
1503.09
1937.50
3440.59
02465 ROTARY LUNCH CLUB OF MOUNT PROSPECT
MEMBERSHIP/PIOOLAH
ROTARY DUES
ROTARY DUES
ROTARY DUES
ROTARY DUES
DUES JULY-SEPT 2003
I82.50
44.50
3.00
132.00
3.00
182.50
547.50
02468 ROUTE 12 RENTAL CO., INC. 2 BLADES FOR K-i2 SAW I07.64
REPORT: APBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 8
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NANE INVOICE DESCRIPTION AMOUNT
05486 SAFETY SOURCE
04673 SAM BERNARDINO COUNTY CHILD SUPPORT PAYMENTS
08170 SANDWICH FIRE DEPARTMENT
08168 SCUBA.COM
00125 SEIU LOCAL 73
03010 SOUND Q PRODUCTIONS
05720 SPECNT, CHERYL
04139 STAMARD & ASSOCIATES
02618 STARS & STRIPES FLAG CO.
07139 STRADA CONSTRUCTION CO.
02691 THOMPSON ELEVATOR INSPECTIONS
04276 TRUGREEN-CHEMLAWN
08160 TUCCIO'S FRESH ITALIAN KITCHEN
05479 ULTIMATE OFFICE INC.
02756 UNITED STATES POSTAL SERVICE
00127 UNITED WAY
07860 UPS
02769 UPTOI~ AUTO SUPPLY
00128 VILLAGE OF MOUNT PROSPECT
04314 VILLAGE OF MOUNT PROSPECT - PAYROLL WIRES
SAFETY SHOE PURCHASE - DAVE R! 85.00
PAYROLL FOR - 101603 115.38
REGIST~TION 350.00
SCUBA GEAR-QUOTATION 1493.I0
PAYROLL FOR - 101603 669.60
SOUND EQUIPMENT FOR OPEN HOUSE 600.00
REIMBURSE EXPENSES 27.60
TESTING-B. MOISE 375.00
~4PLO~ENT TESTING 750.00
1125.00
REPLAC~4ENT US FLAGS 1680.20
2003 SHARED COST SIDEWALK PROG 19365.30
SERVICE CONTRACT 3150.00
TREATMENT OF BROADLEAF WEEDS A 3200.00
APPLICATiON OF BROADLEAF HERE! 2425.00
APPLICATION OF BROADLEAF HERBI 2022.00
7647.00
CO~t~NDERS ASSESSMENT LUNCH 79.t5
LETTER LABEL SPRIPS 58.I5
POSTAGE BY PHONE 3000.00
PAYROLL FOE - 101603 434.05
SHIPPING CHGS 65.31
4 BATTERIES AMBULANCE 281.56
PAYROLL FOR - 101203 595.85
PAYROLL FOR - 101603 16919.83
SERVICE I2.45
17528.13
PAYROLL FOR - 101203 254.17
PAYROLL FOR - 101603 141141.47
PAYROLL FOR - 101603 14918.02
PAYROLL FOR - 101603 13728.26
VOID PR FOR - 101603 108.39-
VOiD PR FOR - 101603 27.38-
VOID PR FOR - 101603 25.20-
PAYROLL FOR - 101703 108.39
REPORT: A~PBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: ~DNEsDAY OCT292003 17:05
RELEASE ID :
-. VILLAGE OF MOUNT PROSPECT
PAGE 9
050
O7O
02821 VON RRIESEN & ROPER, S.C. FEE FOR S.RYNECKI
08163 WALGREEN MONITORING REFUND
02832 WAI/~ART COt{~UNITY BRC FELT PADS
PHOTO SUPP
06001 WINKLER'S TREE SERVICE 2003 PARKWAY TREE TRICING
05746 WISCTF PAYROLL FOR - 101603
06598 ZALETEL, ANDY ADViCE-ATTEND ESRI
08143 ZEITLER, JOANNE REBATE FOR 4 SQUARES OF PUBLIC
02916 ZIOLKOWSKI, JOSEPH REIMBURSE EXPENSES
TOTAL
O30
PAYROLL FOR - 101703
PAYROLL FOR - 101703
27.38
25.20
170041.92
9355.00
30.00
46.42
45.33
91.75
33!1.76
542.48
105.00
160.00
30.00
436022.98
01533 GROOT RECYCLING AND WASTE
DISPOSAL OF WHITE GOODS
TOTAL
25.00
25.00
01302 ALDRIDGE ELECTRIC, INC.
04952 CIOREA GROUP INC.
05709 MEADE ELECTRIC CO. INC.
ROUTINE MAINTENANCE OF TRAFFIC
CONSTRUCTION ENGINEERING
REPLACE TEAFFIC SIGNAL LOOPS a
TO1AL
560.00
620.09
8136.00
9316.09
01114 CLAYGROUND, INC.
01183 COOK COUNTY RECORDER OF DEEDS
01827 KLEIN, THORPE AND JENKINS,LTD.
03918 REAL ESTATE INDEX INC.
02420 RESOURCES FOR CO~UNITY LIVING
07139 ST~ADA CONSTRUCTION CO.
ACTIVITY #156
RECORDING
CDBG LEGAL SERVICES
LITGEN TITLE SEARCH
ACTIVITY #157
2003 CDBG SIDEWALK PROGRAM
2003 CDBG SIDEWALK ?ROGP~tM
TOTAL
1500.00
i31.00
i85.20
80.00
1250.00
6541.97
8504.55
15046.52
18192.72
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FKO~ OCTOBER !6 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NANE INVOICE DESCRIPTION k~OUNT
REPORT: APBOARDRPT GENERATED: 31 ~JL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 10
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PkESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VEMDOR NBR VENDOR NAME I~OICE DESCRIPTION AMOUNT
180
510
525
550
56O
59O
610
07306 BANK ONE SERVICES
TOTAL :
300,00
300.00
04952 CIORBA GROUP INC. ENGINEERING SERVICE 729,60
CONSTRUCTION ENGINEERING 2480.38
3209.98
01253 DES ?LAINES GLASS COMPANY GLASS & REGLAZING PELLA WINDOW 406.00
TOTAL : 36t5.98
07800 MAGNOM FITNESS SYSTEMS
06163 SZABO'S MASONRY SEALING
Physical Equipment for Station
BRICK STAINING & REPAIRS
TOTAL
2646.24
580.00
3226.24
01620 AMERICAN LANDSCAPING !NC.
PLANTS FOR STREETSCAPE
TOTAL
9784.68
9784.68
02167 ARROW ROAD CONSTRUCTION
2003 STREET RESURFACING CONTRA.
2002 STREET RESURFACING PR~RA
TOTAL
135321.58
60723.83
196045.41
196045.4I
07307 REIDESIGNE
02726 TRU LINK FENCE
WELLER CREEK LANDSCAPE
INSTALLATION OF 3 RAIL STOCKAD
TOTAL
10270.00
1990.00
12260.00
07750 A.W. ZENGELER, INC
04391 ALEXkNDER CHEMICAL
01620 AMERICAN LANDSCAPING INC.
01833 ANDERSON LOCK COMPANY
02451 BADGER METER INC
2003 UNIFORM RENATAL AND CLEAN
ANNUAL RENTAL OF CHLORINE CYLI
PARKWAY RESTO~TION
REPLACE ACCESS DOORS TO STATIO
REPLACE ACCESS DOORS TO STATIO
ADDITIONAL CHARGES
2003 WATER METER AND AMR READI
357.66
90.00
9974.40
2464.78
500.00
10.63
2975.41
8920.54
REPORt: APHOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY OCT292003 !7:05
RELEASE ID :
'. VILLAGE OF MOUNT PROSPECT
PAGE 1t
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FR~ OCTOBER 16 2003 TO OCTOBER 29 2003
D~T VENDOR NBR VENDOR N~ME INVOICE DESCRIPTION MOUNT
01188 CORNERSTONE
01313 DUPAGE TOPSOIL INC.
04545 EI2~HURST APT. PARTNERS
08166 FUGEL, HOWARD
01559 HANSEN INFORMATION TECHNOLOGY
01544 HBK WATER METER SERVICE
01787 JULIE, INC.
08167 JUSI, THOMAS
07376 K.VAN DOURGONDEIN & SUNS
06994 LEE JENSEN SALES CO. INC.
01918 LUNDSTROM'S NURSERY
00403 O'DONOV~, ROOERICK
04417 QUALITY BLACKTOP INC.
02962 REDWOOD APT. PARTNERS
02000 ROGER MEYER & SON
1000 PCS WATER MARKER FLAGS - 230.07
1000 PCS SEWER MARKER FLAGS - 153.38
1000 PCS "CLEAR" FLAGS - WHITE 153.38
SHIPPING 50.00
ADDITIONAL SHIPPING C~RGES 3.90
590.73
2 SEMI LOADS OF PULVERIZED TOP
2 SEMI LOADS OF PULVERIZED TOP
REFUND
REFUND
AW'01 NANSEN VERSION 7.X
WATER METER INSTALLATION SERVI
WATER METER TEST & REPAIR SERV
BACKFLOW PREVENTION PROGR~LM
WATER METER READING SERVICES
SEWER INSPECTIONS
J.U.L.I.E. MONTHLY SERVICES CH
REFUND
I000 - DUTCH ~ASTER DAFFOFIL B
500 - MOUNT HOOD DAFFODIL BULB
i00 - BARRETT BRO~INU DAFFODI
100 - ICE FOLLIES DAFFODIL BUL
ESTIMATED FREIGHT
MULTI-QUIP 2" SUBMERSIBLE PUMP
2" NOSE - 00' LENGHT
TURF MOWING AT VARIOUS LOCATIO
CLOTHING ALLOWANCE
ASPHALT RESTORATION CONTRACT 2
ASPHALT RESTORATION CONTRACT 2
REFUND
HAULING AND DISPOSAL OF SWEEPI
I97.00
183.00
380.00
141.10
83.87
751.52
2956.00
115.40
415.I0
569.10
2645.00
6700.60
311,40
33.6i
410.00
232.50
245.00
135.00
214.20
i236.70
1216.00
80.00
1296,00
134.12
300.00
540.89
540.89
1081.78
33.20
3000.00
REPORT: APBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 12
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER I6 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NME INVOICE DESCRIPTION kMOUNT
HAULING AND DISPOSAL OF SWHEPI 2216.i7
5216.17
02655 SUBURBAN LABORATORIES, INC.
07126 WOODARD & CURRAN INC.
WATER S~PLE ANALYSIS 60.00
SUPPLEMENTAL CONTRACT FOR SCAD 36395.20
TOTAL 77064.01
630
660
02754 UNION PACIFIC RAILROAD
02806 VILLAGE OF MOUNT PROSPECT
02796 ALPHA PRIME
07624 ALTEtNATIVE ENERGY SOLUTIONS, LTD
01162 COMPUTERIZED FLEET ANALYSIS
01276 DIRTBUSTERS AUTOMOTIVE
01289 DOUGLAS TRUCK PARTS
01436 FREDRIKSEN & SONS
02486 JOHN SAKASH COMPANY, INC.
06691 JUST TIRES
02018 MIDWAY TRUCK PARTS
04416 MSC INDUSTRIAL SUPPLY CO.
02374 PARTS PLUS OF PROSPECT HEIGHTS
APPLICATION FEE
SERVICE
TOTAL
20 - 0580379B46 3/4" RUBBER HO
2 - MUF8253 ANTENNA WHIP
GENERAL GENERATOR SERVICE AND
REGISTRATION FOR SAL CASTELLAN
CLEAN AND W~X EXTERIOR - SHAMP
WIPER AND LED LIGHT SUPLIES
RECHARGE/REPAIRS TO 20# EXTING
SWAGE NEW THIMBLE EYE ONTO 3/8
P225-~0R!6 GOODYEAR EAGLE RSA
STATE TIRE FEE
11R22.5 GOODYEAR G159 "N" RAN
i1R22.5 GOODYEAR G164 "N" ~AN
STATE TIRE FEE
(6) Pl13407 DONALDSON AIR FILT
(10) 92120 GROTE 2" GRO~ET
660383324 6" POLY CASTER ASSSM
07096509 PRESSURE WASHER SPRAY
33076456 PRESSURE WASHER WAND
ESTIMATED FREIGHT
AUTOMOTIVE REPAIR PARTS FOR
545.00
20.75
565.75
30.00
27.50
57.50
907.00
670.00
74.95
249.70
94.15
30.00
741.84
30.00
619.41
444.04
12.50
1847.79
136.86
15.20
152.06
162.20
61.65
22.50
!4.02
260.37
244.22
REPORt: A~BOANDRPT GENERATED: 31 JUL 02 07:58 RUN: ~DNESDAY OCT292003 17:00 PAGE !3
RELEASE ID :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR NAME INVOICE DESCRIPTION A~OUNT
690
710
02395 RAYMAR NYD~ULIC REPAIR SENVIC
02524 SEARS
02684 TERRACE SUPPLY COMPANY
04472 TEXOR PETROLE~ CO
720
79O
02769 UPTO~ AUTO SUPPLY
101-1008-009 CHAR-LYNN NYDRAUL
WRENCH SET AND UTILITY CASE
GAS CYLINDER RENTAL
UNLEADES GASOLINE
7002 GALLONS PR~.DIESEL F~RL
AC DELCO REPAIR PARTS
TOTAL
607.28
207.92
6.00
10650.93
8796.62
19447.55
1460.t5
26316.64
08161 ARLINGTON RIDGE PATHOLOGY, S.C.
01102 ClTIt~NK, N.A.
05706 CUNNINGN~, TIMOTHY
01451 GAB ROBINS RISK MANAGEMENT
08148 HAY GROUP, INC.
02192 NORTHWEST CO'UNITY HOSPITAL
PRISONER BILL FOR EXPOSURE
INS C~IMS-GAN
REIMBURSEMENT
LIABILITY CLAIMS
CONSULTING SERVICES
ACCIDENT SAM BAAS
PRISONER BILL
TOTAL
52.00
2805.05
236.02
1952.20
2856.00
467.00
391.00
858.00
8759.27
01027 CAPITAL GAINS INC.
07379 GOY, KATELEEN
00128 VILLAGE OF MOUNT PROSPECT
04314 VILLAGE OF MOUNT PROSPECT - PAYROLL WIRES
INVESTMENT ADVISOR FEES
PAYROLL FOE - 101003
PAYROLL FOR - 101003
PAYROLL FOR - 101003
TOTAL
2085.00
28O0.0O
15185.46
20418.24
40188.70
01027 CAPITAL GAINS INC.
00128 VILLAGE OF MOUNT PROSPECT
04314 VILLAGE OF MOUNT PROSPECT - PAYROLL WIRES
INVES?MEMT ADVISOR FEES
PAYROLL FOR - 101103
PAYROLL FOR - 101103
TOTAL
2723.00
13206.81
16605.68
32535.49
08159 BAGINSKI, WALLY
02849 BISHOP PLUMBING COMPANY
REFUND
RE.ND
400.00
100.00
REPORT: APBOA~RPT GENERATED: 3i JUL 02 07:58 RUN: WEDNESDAY OCT292003 17:05 PAGE 14
RELEASE iD :
VILLAGE OF MOUNT PROSPECT
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER i6 2003 TO OCTOBER 29 2003
DEPT VENDOR NBR VENDOR N~E tA~OICE DESCRIPTION AMOUNT
08157 J B EXTERIORS REFUND 1000.00
08162 M & V AUTO BODY INC. OVERPAYMENT 54.00
01719 NCPERS GROUP LIFE PREMIL~M FOR NOVEMBER 2003 336.00
02689 THIRD DISTRICT CIRCUIT COURT BOND MONEY 875.00
BOND MONEY 2735.00
BOND MONEY 1050.00
BOND MONEY 5174.00
9834.00
00128 VILLAGE OF MOUNT PROSPECT PAYROLL FOR - 101203 3477.12
DISBURS~ENT 6017.50
9494.62
08156 ZEUG, KAREN OVERPAYME~ 5.00
TOTAL : 21223.62
GRAND TOTAL : 895442.58
REPO~T:,APBOARDRPT GENERATED: 31 JUL 02 07:58 RUN: WEDNESDAY 0CT292003 17:05
~ELRASE ID :
VILLAGE OF MOUNT PROSPECT
PAGE 15
LIST OF BILLS PRESENTED TO THE BOARD OF TRUSTEES
FROM OCTOBER 16 2003 TO OCTOBER 29 2003
...............................................................................................................
S~RY BY FUND
001 GENERAL FUND 436022.98
030 REFUSE DISPOSAL FUND 25.00
050 MOTOR FUEL TAX FUND 9316.09
070 CO~UNITY DEVELPMNT BLOCK GRNT 18192.72
180 SERIES 200I B&I, VILLAGE HALL 300.00
510 CAPITAL IMPROVEMENT FUND 3615.98
525 SERIES 2001 PROJECT FUND 3226.24
550 DOIPITOWN REDEVLP~T CONST 9784.68
560 STREET IMPROVEMENT CONST FUND 196045.4t
590 FLOOD CONTROL CONST FUND 12260.00
610 WATER AND SEWER FUND 77064.01
630 PARKING SYSTE~ ~VENUE FUND 565.75
660 VEHICLE MAINTENANCE FUND 26316.64
690 RISK~NAGL~ENT FUND 8759.27
710 POLICE PENSION ~UND 40188.70
720 FIRE PENSION FUND 32535.49
790 ESCROW DEPOSIT FUND 21223.62
TOTAL: 895442.58