===== PDF PAGE 1 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT June 3, 2019 OPERATING ACCOUNT $ 1,114,777.46 FUNDED BY, enn GENERAL FUND $ 183,493.81 CAPITAL EQUIPMENT REPLACEMENT FUND $ 11,596.11 SEWER FUND $ 608,252.83 WATER FUND $ 283,089.33 CAPITAL PROJECTS FUND $ 4,744.99 DOWNTOWN TIF SPECIAL PROJECTS FUND $ 10,235.32 MISCELLANEOUS DEPOSITS $ 11,250.00 COMMUTER PARKING FUND $ 2,115.07 APPROVED BY THE CITY COUNCIL ON: vate _G/2H/F_, wi NYS SIGNATURE: ===== PDF PAGE 2 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 1 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G367' and transact.ck_date='20190603 00:00:00.000' ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV 2 === DESCRIPTION------ SALES TAX AMOUNT 105100 84975 06/03/19 13837 A LAMP CONCRETE CONTRACT 28 REFUND OF LARGE HYDRAN 0.00 750.00 105100 84976 06/03/19 14771 AHW, LLC 010925 INVOICE #1901565 DATED 0.00 62.86 105100 84976 06/03/19 14771 AHW, LLC 010925 INVOICE #1902853 DATED 0.00 152.19 TOTAL CHECK 0.00 215.05 105100 84977 06/03/19 5384 AIRGAS USA, LLC 010925 CYLINDER RENTAL INVOIC 0.00 104.96 105100 84978 06/03/19 15090 ALBOR, JAIME 28 LETTER OF INTENT REFUN 0.00 1,500.00 105100 84979 06/03/19 14601 ALICE TRAINING INSTITUTE 010613 PROFORMA INVOICE #E-84 0.00 1,390.00 105100 84980 06/03/19 11546 ALL TYPES ELEVATORS, INC 063448 INVOICE #9841544 DATED 0.00 192.00 105100 84981 06/03/19 12722 ALLIED ASPHALT PAVING CO 083453 HOT MIX ASPHALT FOR ST 0.00 178.61 105100 84982 06/03/19 13673 AMERICAN RED CROSS - HEA 010613 INVOICE 322190036 0.00 110.00 105100 84983 06/03/19 11707 ANDERSON LOCK 010921 INVOICE #1006625 DATED 0.00 420.54 105100 84984 06/03/19 12365 ANDY FRAIN SERVICES 010613 INVOICE #273288 0.00 8,828.95 105100 84984 06/03/19 12365 ANDY FRAIN SERVICES 010613 INVOICE #273286 0.00 4,163.20 TOTAL CHECK 0.00 12,992.15 105100 84985 06/03/19 14969 AQUAFIX 053443 INVOICE #27601 DATED 0 0.00 1,498.75 105100 84986 06/03/19 14134 AREA DUPAGE TOWING 010613 INVOICE #20198 0.00 683.00 105100 84987 06/03/19 13068 AT&T 010613 Svc 5/14-6/13/19 0.00 66.66 105100 84987 06/03/19 13068 ATE&T 010503 svc 5/7-6/6/19 0.00 56.40 TOTAL CHECK 0.00 123.06 105100 84988 06/03/19 13107 AT & T MOBILITY 063447 Svc 4/8-5/7/19 0.00 190.82 105100 84989 06/03/19 3400 AT&T 053443 svc 5/10-6/9/19 0.00 545.24 105100 84989 06/03/19 3400 AT&T 063448 svc 5/16-6/15/19 0.00 258.74 105100 84989 06/03/19 3400 AT&T 010921 svc 5/16-6/15/19 0.00 204.06 105100 84989 06/03/19 3400 AT&T 053443 svc 5/16-6/15/19 0.00 204.07 105100 84989 06/03/19 3400 AT&T 063447 SVC 5/16-6/15/19 0.00 204.07 TOTAL CHECK 0.00 1,416.18 105100 84990 06/03/19 3829 ATLAS BOBCAT, INC. 010925 INVOICE #BR7633 DATED 0.00 54.08 105100 84990 06/03/19 3829 ATLAS BOBCAT, INC. 053443 INVOICE #BR7674 DATED 0.00 43.96 TOTAL CHECK 0.00 98.04 105100 84991 06/03/19 14896 AURORA TRUCK CENTER 053443 INVOICE #225991 DATED 0.00 2,170.06 105100 84992 06/03/19 1800 B & F CONSTRUCTION CODE 011029 INSPECTIONS/PROPERTY M 0.00 14,375.00 105100 84992 06/03/19 1800 B & F CONSTRUCTION CODE 011029 PLAN REVIEW FOR 193 W 0.00 425.00 105100 84992 06/03/19 1800 B & F CONSTRUCTION CODE 011029 APRIL MISCELLANEOUS PL 0.00 750.00 TOTAL CHECK 0.00 15,550.00 ===== PDF PAGE 3 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 2 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact .batch='G367' and transact.ck_date=’20190603 00:00:00.000’ ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT ---~----------- ‘VENDOR---— --~------- DEPT-DIV 2 = === = DESCRIPTION------ SALES TAX AMOUNT 105100 84993 06/03/19 14709 BAYCI, BETHANY 093454 REIMBURSEMENT FOR PAYM 0.00 570.00 105100 84993 06/03/19 14709 BAYCI, BETHANY 093454 REIMBURSEMENT FOR PAYM 0.00 60.46 105100 84993 06/03/19 14709 BAYCI, BETHANY 093454 REIMBURSEMENT FOR PURC 0.00 129.27 TOTAL CHECK 0.00 759.73 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 010110 PROFESSIONAL SERVICES 0.00 250.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 010110 PROFESSIONAL SERVICES 0.00 2,827.20 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 010613 PROFESSIONAL SERVICES 0.00 40.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 011028 PROFESSIONAL SERVICES 0.00 6,780.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 011029 PROFESSIONAL SERVICES 0.00 900.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 053443 PROFESSIONAL SERVICES 0.00 140.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 063447 PROFESSIONAL SERVICES 0.00 15,340.00 105100 84994 06/03/19 7994 BOND, DICKSON & ASSOC., 083453 PROFESSIONAL SERVICES 0.00 540.00 TOTAL CHECK 0.00 26,817.20 105100 84995 06/03/19 14784 BRADEN BUSINESS SYSTEMS 011030 KYOCERA MITA MUSEUM CO 0.00 89.64 105100 84995 06/03/19 14784 BRADEN BUSINESS SYSTEMS 010613 INVOICE #560492 0.00 41.00 TOTAL CHECK 0.00 130.64 105100 84996 06/03/19 11977 MERLE BURLEIGH 010208 WEEKLY WEBSITE COLUMN/ 0.00 800.00 105100 84997 06/03/19 6441 CANON BUSINESS SOLUTIONS 063448 INVOICE #4029128014 DA 0.00 50.42 105100 84997 06/03/19 6441 CANON BUSINESS SOLUTIONS 010924 INVOICE #4029128573 DA 0.00 50.44 105100 84997 06/03/19 6441 CANON BUSINESS SOLUTIONS 063448 INVOICE #4029237328 DA 0.00 225.12 TOTAL CHECK 0.00 325.98 105100 84998 06/03/19 15099 CARRASCO XIMENA 0100 REFUND FINGERPRINTING 0.00 25.00 105100 84999 06/03/19 13021 CASE LOTS, INC 010921 INVOICE #8938 DATED 04 0.00 446.40 105100 84999 06/03/19 13021 CASE LOTS, INC 010921 INVOICE #8644 DATED 04 0.00 277.05 105100 84999 06/03/19 13021 CASE LOTS, INC 010921 INVOICE #8818 DATED 04 0.00 292.50 TOTAL CHECK 0.00 1,015.95 105100 85000 06/03/19 15004 CECCHIN PLUMBING & HEATI 053443 RESOLUTION NO. 18-R-00 0.00 286,974.00 105100 85001 06/03/19 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 19-R-00 0.00 1,000.00 105100 85001 06/03/19 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 19-R-00 0.00 1,225.00 105100 85001 06/03/19 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 19-R-00 0.00 1,225.00 105100 85001 06/03/19 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 19-R-00 0.00 1,225.00 TOTAL CHECK 0.00 4,675.00 105100 85002 06/03/19 15091 CHARLESTON, NEAL 28 LETTER OF INTENT REFUN 0.00 1,500.00 105100 85003 06/03/19 15095 CHAVEZ, JUAN MUNOZ 28 LETTER OF INTENT REFUN 0.00 1,500.00 105100 85004 06/03/19 12361 CI TECHNOLOGIES, INC 010613 INVOICE #9076 0.00 1,248.48 105100 85005 06/03/19 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 17.80 105100 85005 06/03/19 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 19.25 105100 85005 06/03/19 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 9.48 105100 85005 06/03/19 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 13.43 105100 85005 06/03/19 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 15.05 ===== PDF PAGE 4 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 3 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G367' and transact.ck_date=’20190603 00:00:00.000' ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT --------------) VVENDOR---- --------- DEPT-DIV = -----! DESCRIPTION--. SALES TAX AMOUNT TOTAL CHECK 0.00 75.03, 105100 85006 06/03/19 3223 COLLEGE OF DUPAGE 010613 INVOICE #10152 0.00 195.00 105100 85007 06/03/19 13089 COMCAST 010503 svc 5/15-6/14/19 0.00 995.00 105100 85008 06/03/19 13257 COMCAST CABLE 010921 Svc 5/20-6/19/19 0.00 212.13 105100 85008 06/03/19 13257 COMCAST CABLE 010614 svc 5/19-6/18/19 0.00 86.90 105100 85008 06/03/19 13257 COMCAST CABLE 010925 Svc 5/27-6/26/19 0.00 205.03 TOTAL CHECK 0.00 504.06 105100 85009 06/03/19 151 COMED 010926 Svc 4/18-5/17/19 0.00 2,049.92 105100 85010 06/03/19 152 COMMONWEALTH EDISON 010208 Svc 4/15-5/14/19 0.00 79.44 105100 85010 06/03/19 152 COMMONWEALTH EDISON 433476 Svc 4/15-5/14/19 0.00 1,386.07 105100 85010 06/03/19 152 COMMONWEALTH EDISON 010926 Svc 4/15-5/14/19 0.00 628.68 105100 85010 06/03/19 152 COMMONWEALTH EDISON 053443 sve 4/15-5/14/19 0.00 355.36 105100 85010 06/03/19 152 COMMONWEALTH EDISON 010921 sve 4/15-5/14/19 0.00 196.27 105100 85010 06/03/19 152 COMMONWEALTH EDISON 010926 svc 4/15-5/14/19 0.00 86.19 TOTAL CHECK 0.00 2,732.01 105100 85011 06/03/19 2810 CORE & MAIN, LP 063447 INVOICE #K446802 DATED 0.00 1,943.14 105100 85011 06/03/19 2810 CORE & MAIN, LP 063447 INVOICE #K493912 DATED 0.00 315.00 105100 85011 06/03/19 2810 CORE & MAIN, LP 053443 #KTH-50X 2" - 2" TRASH 0.00 512.50 105100 85011 06/03/19 2810 CORE & MAIN, LP 063447 #KTH-50X 2" - 2" TRASH 0.00 512.50 TOTAL CHECK 0.00 3,283.14 105100 85012 06/03/19 2805 CRAWFORD, MURPHY & TILLY 063447 RESOLUTION NO. 18-R-00 0.00 7,773.46 105100 85012 06/03/19 2805 CRAWFORD, MURPHY & TILLY 063447 INVOICE #0203596 DATED 0.00 1,982.50 TOTAL CHECK 0.00 9,755.96 105100 85013 06/03/19 14794 CYCLESAFE 433476 INVOICE #5140 DATED 04 0.00 464.00 105100 85013 06/03/19 14794 CYCLESAFE 433476 INVOICE #5146 DATED 05 0.00 265.00 TOTAL CHECK 0.00 729.00 105100 85014 06/03/19 5166 DETECTION SYSTEMS 010921 INVOICE #A22930 DATED 0.00 336.00 105100 85015 06/03/19 14236 DEVELOPMENTAL SERVICES C 010613 INVOICE #123058 0.00 311.13 105100 85016 06/03/19 2609 DON MC CUE CHEVROLET 010925 INVOICE #415312 DATED 0.00 448.71 105100 85016 06/03/19 2609 DON MC CUE CHEVROLET 010925 BOLT/STOCK 0.00 231.70 105100 85016 06/03/19 2609 DON MC CUE CHEVROLET 010925 MOUNT # 324 PARTS 0.00 211.22 105100 85016 06/03/19 2609 DON MC CUE CHEVROLET 010925 SPRING #324 PARTS 0.00 65.13 TOTAL CHECK 0.00 956.76 105100 85017 06/03/19 14740 DONOHUE & ASSOCIATES, IN 053445 RESOLUTION NO. 18-R-00 0.00 171,172.59 105100 85018 06/03/19 10714 DUPAGE CTY DIV OF TRANSP 083453 INVOICE #4267 DATED 04 0.00 415.66 105100 85019 06/03/19 14286 DYNEGY ENERGY SERVICES 053440 Svc 4/18-5/16/19 0.00 251.08 105100 85019 06/03/19 14286 DYNEGY ENERGY SERVICES 053443 Svc 4/18-5/16/19 0.00 4,886.51 105100 85019 06/03/19 14286 DYNEGY ENERGY SERVICES 063447 Svc 4/18-5/16/19 0.00 29,947.17 ===== PDF PAGE 5 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 05/30/19 15:16: 54 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact .batch='G367' and transact.ck_date='20190603 00:00:00.000' ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 TOTAL CHECK 105100 105100 105100 TOTAL CHECK 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 85019 85020 85020 85020 85021 85021 85022 85023 85024 85025 85025 85026 85027 85027 85028 85029 85030 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 85031 ISSUE DT 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 13958 13958 13958 14725 14725 15089 15097 15087 3597 3597 362 15078 15078 12920 3174 10649 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 2013 DYNEGY ENERGY SERVICES ELITE DOCUMENT SOLUTIONS ELITE DOCUMENT SOLUTIONS ELITE DOCUMENT SOLUTIONS ELLIOTT ELECTRIC ELLIOTT ELECTRIC EZ MAIL, LLC FASTERPAST AERIAL VIDEO FCX PERFORMANCE FEDEX CORPORATION FEDEX CORPORATION 1ST AYD CORPORATION FORCE AMERICA DISTRIBUTI FORCE AMERICA DISTRIBUTI FULLER, JACOB STEVE GOTTLIEB GRAF TREE CARE GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER GRAINGER DEPT-DIV 063448 010924 053443 063447 063447 063447 010613 010208 063448 063447 083453 010924 010925 010925 010613 010614 063447 063447 010924 063447 010921 063448 010921 010925 010924 063448 063448 083453 063447 063447 053443 010921 063448 010924 010921 seas] DESCRIPTION------ Svc 4/18-5/16/19 INVOICE #6434 DATED 05 INVOICE #6411 DATED 04 INVOICE #6411 DATED 04 INVOICE #23168 DATED 0 INVOICE #23169 DATED 0 INVOICE #301 AERIAL VIDEO PRODUCED INVOICE #4368640 DATED DELIVERY FEES DELIVERY FEES’ COVERALL AEROSOL INTE INVOICE #IN001-1338776 INVOICE #IN001-1333364 PER DIEM @ SRO CONFERE REIMBURSEMENT FOR ESDA INVOICE #11960 DATED 0 #T516-S-M - SAFETY VES #T516-L-XL - SAFETY VE #T516-L-XL - SAFETY VE CITY IMPRINTED LOGO CITY IMPRINTED LOGO CREATE CITY LOGO CREATE CITY LOGO #T516-2XL-3XL - SAFETY #T516-2XL-3XL — SAFETY CITY IMPRINTED LOGO INVOICE #9175717116 DA INVOICE #9168909050 DA INVOICE #9168909050 DA INVOICE #9157769705 DA MAY CHARGES MAY CHARGES MAY CHARGES MAY CHARGES SALES TAX eoo00 cof coo o 000 0 ooo ° (ooo RoR Ro Ro RoR -B-N-R- RoR ono) 00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 00 -00 00 00 -00 -00 -00 00 00 00 -00 00 -00 00 -00 00 -00 -00 -00 -00 -00 00 -00 PAGE NUMBER: ACCTPA21 AMOUNT 11,925. 47,009. 351. 59 2,024 2,944 14 90 97 -50 S59, 470. 49 96 30 920. 00 30 242. 1,500. 284 43 83 00 00 60 -72 39. 56 100. 58. 66 s UT 4s 104 184 84 08 51 -00 85. 174 29 -00 160. 189. . 55 -32 -68 -63 oF 142. 184 44 60 24 41 18 31. -80 75 327. -67 51 -85 -38 86. 463 157 552 904 -65 20 25 06 14 50 00 21 4 ===== PDF PAGE 6 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G367' and transact .ck_date=’20190603 00:00:00.000' ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- ---------| DEPT-DIV 2 2 ==-=== DESCRIPTION------ SALES TAX AMOUNT 105100 85031 06/03/19 2013 GRAINGER 063448 MAY CHARGES 0.00 104.13 105100 85031 06/03/19 2013 GRAINGER 083453 MAY CHARGES 0.00 274.50 105100 85031 06/03/19 2013 GRAINGER 063447 MAY CHARGES 0.00 177.60 105100 85031 06/03/19 2013 GRAINGER 093454 MAY CHARGES 0.00 220.14 TOTAL CHECK 0.00 4,090.78 105100 85032 06/03/19 11333 GRAYBAR ELECTRIC CO., IN 083453 INVOICE #9309568405 DA 0.00 114.86 105100 85032 06/03/19 11333 GRAYBAR ELECTRIC CO., IN 083453 INVOICE #9309588643 DA 0.00 390.56 105100 85032 06/03/19 11333 GRAYBAR ELECTRIC CO., IN 083453 INVOICE #9309588644 DA 0.00 207.54 TOTAL CHECK 0.00 712.96 105100 85033 06/03/19 13294 GROOT INDUSTRIES, INC.- 010926 SOLID WASTE DISPOSAL A 0.00 3,818.36 105100 85034 06/03/19 1685 HACH COMPANY 063448 INVOICE #11455745 DATE 0.00 1,467.04 105100 85035 06/03/19 561 HAGGERTY FORD 010925 RESTOCK-WEATHERSTRIP 0.00 87.45 105100 85035 06/03/19 561 HAGGERTY FORD 010925 INVOICE #164099 DATED 0.00 385.99 105100 85035 06/03/19 561 HAGGERTY FORD 010925 WEATHERSTRIP #785 PAR 0.00 111.33 105100 85035 06/03/19 561 HAGGERTY FORD 063447 FRONT END ALIGN#629 0.00 69.95 105100 85035 06/03/19 561 HAGGERTY FORD 063447 WIRE ASY #641 PARTS 0.00 44.78 105100 85035 06/03/19 561 HAGGERTY FORD 010925 SWOTCJ ASU #352 PARTS 0.00 46.60 105100 85035 06/03/19 561 HAGGERTY FORD 010925 COIL #681 PARTS 0.00 127.58 105100 85035 06/03/19 561 HAGGERTY FORD 010925 BRACKET # 352 PARTS 0.00 49.17 TOTAL CHECK 0.00 922.85 105100 85036 06/03/19 14818 HAWK FORD 053443 INVOICE #15303 DATED 0 0.00 246.95 105100 85036 06/03/19 14818 HAWK FORD 010925 INVOICE #15335 DATED 0 0.00 55.87 105100 85036 06/03/19 14818 HAWK FORD 010925 INVOICE #14704 DATED 0 0.00 135.74 TOTAL CHECK 0.00 438.56 105100 85037 06/03/19 12241 HEINZ BROTHERS GREENHOUS 093454 DOWNTOWN PLANTERS - PL 0.00 1,620.00 105100 85038 06/03/19 14211 HIPSKIND TSG 010503 DATA SERVICES AGREEMEN 0.00 6,079.20 105100 85039 06/03/19 9376 ILLINI POWER PRODUCTS 053443 INVOICE #SWO021708-1 D 0.00 3,703.57 105100 85040 06/03/19 12736 ILLINOIS CENTRAL RAILROA 010924 INVOICE #9500198440 DA 0.00 1,295.36 105100 85041 06/03/19 12008 ILLINOIS SECTION AWWA 053443 INVOICE #200041201 DAT 0.00 96.00 105100 85041 06/03/19 12008 ILLINOIS SECTION AWWA 053443 INVOICE #200041273 DAT 0.00 60.00 TOTAL CHECK 0.00 156.00 105100 85042 06/03/19 11973 ILLINOIS TACTICAL OFFICE 010613 INVOICE #7201 0.00 715.00 105100 85043 06/03/19 15010 INDEPENDANT MECHANICAL I 063447 RESOLUTION NO. 18-R-00 0.00 158,305.50 105100 85044 06/03/19 592 IRMA 010613 IRMA DEDUCTIBLE BILL A 0.00 428.01 105100 85044 06/03/19 592 IRMA 063447 IRMA DEDUCTIBLE BILL A 0.00 830.86 105100 85044 06/03/19 592 IRMA 010924 INVOICE #IVC0011157 DA 0.00 90.00 TOTAL CHECK 0.00 1,348.87 105100 85045 06/03/19 14348 ITOUCH BIOMETRICS, LLC 010613 INVOICE #3588 0.00 600.00 ===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G367' and transact.ck_date='20190603 00:00:00.000’ ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -DEPT-DIV 2 2 ==-=== DESCRIPTION------ SALES TAX AMOUNT 105100 85046 06/03/19 13744 JAROS, THOMAS KURT 28 LETTER OF INTENT REFUN 0.00 1,500.00 105100 85047 06/03/19 11134 JUST SAFETY, LTD. 063447 FIRST AID SERVICES 0.00 104.70 105100 85048 06/03/19 10989 KATHLEEN W. BONO, CSR 063447 INVOICE 8155 ARB COURT 0.00 86.68 105100 85048 06/03/19 10989 KATHLEEN W. BONO, CSR 010501 INVOICE 8155 ARB COURT 0.00 86.66 105100 85048 06/03/19 10989 KATHLEEN W. BONO, CSR 053443 INVOICE 8155 ARB COURT 0.00 86.66 TOTAL CHECK 0.00 260.00 105100 85049 06/03/19 14966 KENNY CONSTRUCTION COMPA 28 REFUND OF TWO LARGE HY 0.00 1,500.00 105100 85050 06/03/19 12643 KIMBALL MIDWEST 010925 INVOICE #7102469 DATED 0.00 74.05 105100 85050 06/03/19 12643 KIMBALL MIDWEST 010925 INVOICE #7058996 DATED 0.00 209.77 105100 85050 06/03/19 12643 KIMBALL MIDWEST 010925 INVOICE #7059097 DATED 0.00 225.53 TOTAL CHECK 0.00 509.35 105100 85051 06/03/19 14968 KNICKERBOCKER ROOFING AN 053445 RESOLUTION NO. 18-R-00 0.00 122,151.89 105100 85051 06/03/19 14968 KNICKERBOCKER ROOFING AN 053445 CHANGE ORDER #1 & FINA 0.00 1,560.00 TOTAL CHECK 0.00 123,711.89 105100 85052 06/03/19 665 KRAMER TREE SPECIALISTS 093454 SPECIAL BLENDED ENHANC 0.00 520.00 105100 85053 06/03/19 14701 LAFARGE FOX RIVER DECORA 093454 SIDEWALK PAVERS FOR MA 0.00 298.78 105100 85054 06/03/19 11415 LAYNE CHRISTENSEN COMPAN 063447 INVOICE #1580429 DATED 0.00 6,530.00 105100 85054 06/03/19 11415 LAYNE CHRISTENSEN COMPAN 063447 INVOICE #1580430 DATED 0.00 8,600.00 TOTAL CHECK 0.00 15,130.00 105100 85055 06/03/19 9701 MICHAEL LEVATO 010613 PER DIEM @ SRO CONFERN 0.00 184.00 105100 85056 06/03/19 15093 LOPEZ, JIMMIE 0100 REFUND ADMIN TOW FEE 0.00 575.00 105100 85057 06/03/19 14440 M & K TRUCK CENTERS 010925 INVOICE #777250CS DATE 0.00 197.86 105100 85058 06/03/19 14295 MACCARB, INC 063448 RESOLUTION NO. 18-R-00 0.00 2,535.00 105100 85059 06/03/19 231 MC MASTER-CARR SUPPLY CO 010921 FLUORESCENT LIGHTINF 0.00 93.47 105100 85059 06/03/19 231 MC MASTER-CARR SUPPLY CO 010921 LAMINATED STEEL BODY 0.00 91.36 105100 85059 06/03/19 231 MC MASTER-CARR SUPPLY CO 083453 DISPOSABLE BATTERIES 0.00 198.41 TOTAL CHECK 0.00 383.24 105100 85060 06/03/19 5000 MEADE ELECTRIC COMPANY, 083453 INVOICE #687780 DATED 0.00 367.50 105100 85060 06/03/19 5000 MEADE ELECTRIC COMPANY, 083453 INVOICE #688175 DATED 0.00 270.80 TOTAL CHECK 0.00 638.30 105100 85061 06/03/19 14271 MEXICAN CULTURAL CENTER- 093454 PER 2019 MID FUNDING A 0.00 3,500.00 105100 85062 06/03/19 11129 MOE FUNDS 010501 MOE FUNDS - JULY 2019 0.00 35,512.10 105100 85062 06/03/19 11129 MOE FUNDS 053443 MOE FUNDS - JULY 2019 0.00 8,468.27 105100 85062 06/03/19 11129 MOE FUNDS 063447 MOE FUNDS - JULY 2019 0.00 8,468.27 105100 85062 06/03/19 11129 MOE FUNDS 083453 MOE FUNDS - JULY 2019 0.00 819.51 ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact .batch='G367' and transact .ck_date='20190603 00:00:00.000° ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT --~------------ ‘VENDOR---- --------- DEPT-DIV 22 ==== =! DESCRIPTION------ SALES TAX AMOUNT 105100 85062 06/03/19 11129 MOE FUNDS 093454 MOE FUNDS - JULY 2019 0.00 1,365.85 TOTAL CHECK 0.00 54,634.00 105100 85063 06/03/19 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 18-R-00 0.00 4,703.39 105100 85063 06/03/19 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 18-R-00 0.00 4,746.98 105100 85063 06/03/19 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 18-R-00 0.00 4,673.07 TOTAL CHECK 0.00 14,123.44 105100 85064 06/03/19 5750 MOTION INDUSTRIES INC 010921 INVOICE #IL32-681756 D 0.00 218.54 105100 85064 06/03/19 5750 MOTION INDUSTRIES INC 010921 INVOICE #IL32-681916 D 0.00 85.153 TOTAL CHECK 0.00 304.07 105100 85065 06/03/19 14986 NALCO WATER PRETREATMENT 063448 INVOICE #2332658 DATED 0.00 204.32 105100 85066 06/03/19 4735 NAPA AUTO PARTS 010925 INVOICE #4496-067677 D 0.00 563.59 105100 85066 06/03/19 4735 NAPA AUTO PARTS 010925 INVOICE #4496-067407 D 0.00 800.51 105100 85066 06/03/19 4735 NAPA AUTO PARTS 010925 INVOICE #4496-066907 D 0.00 351.07 105100 85066 06/03/19 4735 NAPA AUTO PARTS 010925 MAY CHARGES 0.00 1,417.28 105100 85066 06/03/19 4735 NAPA AUTO PARTS 063447 MAY CHARGES 0.00 350.14 105100 85066 06/03/19 4735 NAPA AUTO PARTS 053443 MAY CHARGES 0.00 245.73 TOTAL CHECK 0.00 3,728.32 105100 85067 06/03/19 13501 NATIONAL LAW ENFORCEMENT 010613 INVOICE #171211 0.00 47.60 105100 85067 06/03/19 13501 NATIONAL LAW ENFORCEMENT 010613 INVOICE #176274 0.00 42.00 TOTAL CHECK 0.00 89.60 105100 85068 06/03/19 250 NORTHERN ILLINOIS GAS 010921 SCV 05/3-5/2/19 0.00 279.53 105100 85069 06/03/19 11423 OLIN CORPORATION 063448 RESOLUTION NO. 18-R-00 0.00 3,461.74 105100 85070 06/03/19 5353 PATRICK ENGINEERING, INC 010207 PROFESSIONAL SERVICES 0.00 23,648.50 105100 85071 06/03/19 15077 PETROCHOICE 010925 INVOICE #10922875 DATE 0.00 498.93 105100 85072 06/03/19 3714 POMP’S TIRE SERVICE, INC 010925 INVOICE #640070050 DAT 0.00 551.72 105100 85073 06/03/19 1053 RANDALL PRESSURE SYSTEMS 010925 PARTS 0.00 74.76 105100 85073 06/03/19 1053 RANDALL PRESSURE SYSTEMS 010925 PARTS 0.00 182.71 TOTAL CHECK 0.00 257.47 105100 85074 06/03/19 492 RAY O’HERRON, INC. 010613 INVOICE #1927675-IN 0.00 191.98 105100 85074 06/03/19 492 RAY O’HERRON, INC. 010613 INVOICE #1927676-IN 0.00 161.99 105100 85074 06/03/19 492 RAY O’HERRON, INC. 010613 INVOICE #1928580-IN 0.00 137.99 105100 85074 06/03/19 492 RAY O’HERRON, INC. 010613 INVOICE #1928581-IN 0.00 174.98 105100 85074 06/03/19 492 RAY O’HERRON, INC. 010613 INVOICE #1928582-IN 0.00 17.98 TOTAL CHECK 0.00 684.92 105100 85075 06/03/19 4362 RELIABLE HIGH PERFORMANC 010924 HIGH-VISIBILITY JACKET 0.00 29.99 105100 85076 06/03/19 11653 ROSEMARY MACKEY 010208 REIMBURSEMENT FOR LAMI 0.00 140.55 105100 85077 06/03/19 13908 RUSH TRUCK CENTERS OF IL 053443 INVOICE #3014757609 DA 0.00 209.72 ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 15:16: 54 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact .batch='G367' and transact.ck_date='’20190603 00:00:00.000' ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 85077 85077 85077 85077 85078 85078 85078 85078 85079 85080 85081 85081 85081 85081 85081 85082 85082 85083 85084 85085 85086 85087 85088 85088 85088 85089 85090 85090 85090 85090 85090 85090 85090 ISSUE DT 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 06/03/19 13908 13908 13908 13908 14365 14365 14365 14365 15100 14110 4774 4774 4774 4774 4774 12827 12827 11868 15096 13066 14733 1762 5706 5706 5706 15094 15072 15072 15072 15072 15072 15072 15072 RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSSO POWER EQUIPMENT RUSSO POWER EQUIPMENT RUSSO POWER EQUIPMENT RUSSO POWER EQUIPMENT RYNN, MACKENZIE SAFELITE FULFILLMENT, IL IL IL IL IN SAFETY SAFETY SAFETY SAFETY SAFETY SIGN A LANE INSPECTIONS, LANE INSPECTIONS, LANE LANE LANE INSPECTIONS, INSPECTIONS, INSPECTIONS, RAMA SIGN A RAMA MICHAEL SMURAWSKI SPEED POWDER COATINGS, I ST. CHARLES CHRYSLER STERICYCLE ENVIRONMENTAL SUBURBAN LABORATORIES, I SUPERIOR POWER WASHING I SUPERIOR POWER WASHING I SUPERIOR POWER WASHING I THE KITCHEN TABLE WC TOSCAS TOSCAS TOSCAS TOSCAS TOSCAS TOSCAS TOSCAS LAW LAW LAW LAW LAW LAW LAW GROUP GROUP GROUP GROUP GROUP GROUP GROUP DEPT-DIV 053443 053443 053443 010925 010922 010925 010925 010925 063447 010925 010925 010925 053443 010925 010925 093454 010208 010613 093454 010925 010613 063447 010613 010613 010613 0900 010613 010613 010613 011029 011029 010613 010613 INVOICE #3014871596 DA INVOICE #3014757215 DA INVOICE #3014921162 DA INVOICE #3014989891 DA INVOICE #5747286 DATED INVOICE #5687458 DATED INVOICE #5696092 DATED INVOICE #5696093 DATED REIMBURSEMENT TO MAC R INVOICE # 05/15/19 UNIT #721 UNIT #617 UNIT #560 UNIT #720 UNIT #793 2019 BLOOMING FEST SIG STREET SIGNS FOR CN/AI PER DIEM @ SRO CONFERE INVOICE #3196 DATED 05 INVOICE #121530 DATED INVOICE #505625 INVOICE #165056 DATED INVOICE #3065 INVOICE #3063 INVOICE #3064 BLOOMING FEST VENDOR R CONDUCT ADMIN HEARINGS CONDUCT ADMIN HEARINGS CONDUCT ADMIN HEARINGS CONDUCT ADMINISTRATIVE CONDUCT ADMINISTRATIVE CONDUCT ADMIN HEARINGS COUNDUCT ADMIN HEARING SALES TAX © C0000 ce000 ° eoo0000 00 00 -00 .00 00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 00 -00 -00 0.00 0.00 0.00 ©cc0oo oO ° eoo0000nd -00 -00 -00 00 -00 -00 00 -00 00 -00 -00 00 00 00 00 -00 -00 -00 PAGE NUMBER: ACCTPA21 AMOUNT S51. 669. 200. 84. +76 1,716 135 2,193 SO. 557. 37. 37. -00 37. -00 -00 37 55 203 S71. 184 1,050. 132). 531. 484. 330 290 950 75 150 64 92 82 66 -38 890. -66 1,161. -50 45 o1 00 OF 00 00 00 -25 110... 481. 00 25 -00 00 00 26 7S 00 330. -00 -00 00 +00 00 650. 650. 675. 675. 400. 700. 3,900. 00 00 00 00 00 00 00 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 9 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact .batch='G367' and transact.ck_date='’20190603 00:00:00.000° ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV 2 ==--= DESCRIPTION------ SALES TAX AMOUNT 105100 85091 06/03/19 3349 TRAFFIC CONTROL AND PROT 083453 ALUM DRIV RIVET 0.00 200.00 105100 85091 06/03/19 3349 TRAFFIC CONTROL AND PROT 083453 STAINLESS STEEL BANDI 0.00 263.40 TOTAL CHECK 0.00 463.40 105100 85092 06/03/19 14663 TRANSCHICAGO TRUCK GROUP 053443 INVOICE #2101387 DATED 0.00 43.67 105100 85093 06/03/19 5254 TREDROC TIRE SERVICES 053443 INVOICE #7420028744 DA 0.00 273.90 105100 85094 06/03/19 286 TS SPECIALTIES, INC. 053443 WORK ORDER #15683 DATE 0.00 280.80 105100 85095 06/03/19 13310 ULINE 093454 2019 BLOOMING FEST FIR 0.00 454.57 105100 85096 06/03/19 14383 ULTRA STROBE COMMUNICATI 043439 INVOICE #075715 INCLUD 0.00 8,797.55 105100 85096 06/03/19 14383 ULTRA STROBE COMMUNICATI 010613 INVOICE #075722 0.00 150.00 105100 85096 06/03/19 14383 ULTRA STROBE COMMUNICATI 043439 INVOICE #075741 0.00 2,798.56 TOTAL CHECK 0.00 11,746.11 105100 85097 06/03/19 4985 THE UPS STORE 010613 SHIPPING FEES 0.00 31.96 105100 85098 06/03/19 4322 US POSTMASTER 010208 2019 POSTAGE FOR QUART 0.00 2,000.00 105100 85099 06/03/19 4406 U.S.A. BLUEBOOK 063447 BUSHING 0.00 99.47 105100 85100 06/03/19 10577 UTILITIES AUTOMATION SVC 063448 INVOICE #2019005 DATED 0.00 1,268.75 105100 85101 06/03/19 14843 VERIZON CONNECT FLEET US 010925 VEHICLE TRACKING SUBSC 0.00 544.00 105100 85102 06/03/19 6793 W.A. MANAGEMENT, INC. 011029 LOT CUTTING AT 121 NO 0.00 72.00 105100 85103 06/03/19 15092 WALID & RADWAN MOURAD 28 LETTER OF INTENT REFUN 0.00 3,000.00 105100 85104 06/03/19 14940 WAYTEK, INC 010925 INVOICE #2808986 DATED 0.00 45.86 105100 85104 06/03/19 14940 WAYTEK, INC 010925 INVOICE #2812965 DATED 0.00 86.63 TOTAL CHECK 0.00 132.49 105100 85105 06/03/19 3519 WEST CHICAGO LIBRARY DIS 0100 20.8% OF PPRT RECEIVED 0.00 25,955.28 105100 85106 06/03/19 308 WEST CHICAGO PRINTING 010208 500 PRINT BUTTERFLY MA 0.00 389.00 105100 85107 06/03/19 11177 WILKENS ANDERSON CO. 063448 INVOICE #S1183105.003 0.00 400.34 105100 85107 06/03/19 11177 WILKENS ANDERSON CO. 063448 INVOICE #S1183105.004 0.00 66.66 TOTAL CHECK 0.00 467.00 105100 85108 06/03/19 14665 ZOHO CORPORATION 010503 MANAGE ENGINE FIREWALL 0.00 719.00 105100 85108 06/03/19 14665 ZOHO CORPORATION 010503 MANAGE ENGINE EXCHANGE 0.00 945.00 105100 85108 06/03/19 14665 ZOHO CORPORATION 010503 MANAGE ENGINE ADAUDIT 0.00 1,228.00 105100 85108 06/03/19 14665 ZOHO CORPORATION 010503 MANAGE ENGINE ADAUDIT 0.00 645.00 TOTAL CHECK 0.00 3,537.00 TOTAL CASH ACCOUNT 0.00 1,114,777.46 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPA21 TIME: 15:16:54 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G367' and transact .ck_date='’20190603 00:00:00.000° ACCOUNTING PERIOD: 5/19 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------=' DEPT-DIV 2 ==--= DESCRIPTION--— SALES TAX AMOUNT TOTAL FUND 0.00 1,114,777.46 TOTAL REPORT 0.00 1,114,777.46 ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14:42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT 0100 311000 PERS PROP REPL T 3519 0100 355000 POLICE TOWING CH 15093 0100 358400 FINGER PRINTING 15099 TOTAL GENERAL FUND REVENUES 010110 4012 CORP COUNSEL-SAL 7994 010110 4100 LEGAL FEES 7994 TOTAL CITY COUNCIL-OPERATIONS 010207 4225 OTHER CONTRACTUA 5353 TOTAL CITY ADMIN-SPECIAL PROJ 010208 4107 NEWSLETTER PREPA 4322 010208 4204 ELECTRIC 152 010208 4212 ADVERTISING 11653 010208 4212 ADVERTISING 12827 010208 4212 ADVERTISING 15097 010208 4225 OTHER CONTRACTUA 11977 010208 4646 ARTS PROGRAMMING 308 TOTAL CITY ADMIN-MARKET/COMM 010501 4053 HEALTH/DENTAL/LI 11129 010501 4100 LEGAL FEES 10989 TOTAL ADMIN SERVICES-HR 010503 4109 NETWORK CHARGES 13068 010503 4109 NETWORK CHARGES 13089 010503 4125 SOFTWARE MAINTEN 14665 010503 4125 SOFTWARE MAINTEN 14665 010503 4125 SOFTWARE MAINTEN 14665 010503 4125 SOFTWARE MAINTEN 14665 010503 4225 OTHER CONTRACTUA 14211 TOTAL ADMIN SERVICES-IT 010613 4100 LEGAL FEES 15072 010613 4100 LEGAL FEES 15072 010613 4100 LEGAL FEES 15072 010613 4100 LEGAL FEES 15072 010613 4100 LEGAL FEES 15072 010613 4100 LEGAL FEES 7994 010613 4110 TRAINING & TUITI 11973 010613 4110 TRAINING & TUITI 14601 010613 4110 TRAINING & TUITI 3223 RUN DATE 05/30/2019 TIME 14:42:59 WEST CHICAGO LIBRARY LOPEZ, JIMMIE CARRASCO XIMENA BOND, DICKSON & ASSOC BOND, DICKSON & ASSOC PATRICK ENGINEERING, US POSTMASTER COMMONWEALTH EDISON ROSEMARY MACKEY SIGN A RAMA FASTERPAST AERIAL VID MERLE BURLEIGH WEST CHICAGO PRINTING MOE FUNDS KATHLEEN W. BONO, CSR AT&T COMCAST ZOHO CORPORATION ZOHO CORPORATION ZOHO CORPORATION ZOHO CORPORATION HIPSKIND TSG TOSCAS LAW GROUP TOSCAS LAW GROUP TOSCAS LAW GROUP TOSCAS LAW GROUP TOSCAS LAW GROUP BOND, DICKSON & ASSOC ILLINOIS TACTICAL OFF ALICE TRAINING INSTIT COLLEGE OF DUPAGE CASH REQUIREMENTS BILL LIST 00091518-01 00091547-01 00091581-01 00091602-01 00091602-01 00091603-01 00091043-01 00091606-01 00091604-01 00091609-01 00090459-01 00091608-01 00091600-01 00091521-01 00091521-02 00091521-03 00091521-04 00091517-01 00091538-01 00091538-02 00091549-01 00091549-02 00091586-01 00091602-01 00091580-01 00091589-01 00091539-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE JAN-JUN-19 G367 REFUND TOW CG367 REFUND FINGEG367 APRIL-19 APRIL-19 G367 G367 21653-008-30G367 NEWLETTER MAG367 VARIOUS G367 REIMB G367 5941 G367 161 G367 JUNE-19 G367 42590 G367 JULY 2019 G367 8155 G367 111338329 G367 900006701 G367 2226639 G367 2226639 G367 2226639 G367 2226639 G367 128035 G367 LOC ORDI VIOG367 LOC ORDIN VIG367 TOW/SZ/PARK G367 REDLT-INHOUSG367 ADM HEAR G367 APRIL-19 G367 7201 G367 E-8492 G367 10152 G367 BATCH ecCco0C000 0 oo ooo ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 -00 -00 -00 00 -00 -00 -00 -00 .00 -00 00 00 00 -00 -00 0.00 ° Oo G000000 0 ec00000000 00 -00 -00 -00 -00 -00 -00 00 -00 -00 -00 -00 00 00 -00 -00 -00 -00 -00 iL 5/19 AMOUNT 25955 25 26555 250 2827 3077 23648 23648 2000 140 389 5018 35512 86 35598 56 1228 645 6079 10667 -28 575... 00 -00 28 00 +20 -20 -50 -50 -00 Ti« ~55 110. 1500. 800. 44 00 00 00 -00 -99 -10 -66 76 -40 995. 719. 945. 00 00 00 -00 -00 +20 -60 650. 650. 700 400 715 1390 00 00 00 00 150. 40. 00 00 -00 -00 195. 00 ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14:42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000’ PAYMENT TYPE: CHECKS ONLY FUND - 01 - GENERAL FUND DEPT-DIV 010613 4111 010613 4111 010613 4111 010613 4125 010613 4225 010613 4225 010613 4230 010613 4230 010613 4230 010613 4231 010613 4232 010613 4301 010613 4423 010613 4425 010613 4502 010613 4502 010613 4601 010613 4601 010613 4613 010613 4615 010613 4615 010613 4615 010613 4615 010613 4615 010613 4618 010613 4629 010613 4650 TOTAL POLICE-OPERATIONS 010614 010614 4202 4650 TOTAL POLICE-ESDA 010921 4202 010921 4203 010921 4204 010921 4225 010921 4225 010921 4225 010921 4225 010921 4225 010921 4225 010921 4615 010921 4615 010921 4615 010921 4650 010921 4650 ACCOUNT OFFICER TRAINING OFFICER TRAINING OFFICER TRAINING SOFTWARE MAINTEN OTHER CONTRACTUA OTHER CONTRACTUA GRAFFITI REMOVAL GRAFFITI REMOVAL GRAFFITI REMOVAL RECEPTION SUPPOR CROSSING GUARD-C OTHER INSURANCE RADIO/RADAR EQUI HARDWARE MAINTEN COPIER FEES COPIER FEES FIELD EQUIPMENT FIELD EQUIPMENT POSTAGE UNIFORMS /SAFETY UNIFORMS /SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY AMMUNITION/FIREA CERT SUPPLIES MISCELLANEOUS CO TELEPHONE & ALAR MISCELLANEOUS CO TELEPHONE & ALAR HEATING GAS ELECTRIC OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/ SAFETY MISCELLANEOUS CO MISCELLANEOUS CO RUN DATE 05/30/2019 TIME 14:42:59 11868 12920 9701 12361 13068 14733 5706 5706 5706 12365 12365 592 14383 14348 14784 15089 13501 13501 4985 492 492 492 492 492 14236 13673 14134 13257 3174 5166 250 152 12380 12380 12380 12380 13257 3400 2013 2013 2013 11707 13021 MICHAEL SMURAWSKI FULLER, JACOB MICHAEL LEVATO CI TECHNOLOGIES, INC AT&T STERICYCLE ENVIRONMEN SUPERIOR POWER WASHIN SUPERIOR POWER WASHIN SUPERIOR POWER WASHIN ANDY FRAIN SERVICES ANDY FRAIN SERVICES IRMA ULTRA STROBE COMMUNIC ITOUCH BIOMETRICS, LL BRADEN BUSINESS SYSTE EZ MAIL, LLC NATIONAL LAW ENFORCEM NATIONAL LAW ENFORCEM THE UPS STORE RAY O'HERRON, INC. RAY O’HERRON, INC. RAY O’HERRON, INC. RAY O'HERRON, INC. RAY O'HERRON, INC. DEVELOPMENTAL SERVICE AMERICAN RED CROSS - AREA DUPAGE TOWING COMCAST CABLE STEVE GOTTLIEB DETECTION SYSTEMS NORTHERN ILLINOIS GAS COMMONWEALTH EDISON CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION COMCAST CABLE AT&T GRAINGER GRAINGER GRAINGER ANDERSON LOCK CASE LOTS, INC CASH REQUIREMENTS BILL LIST 00091583-01 00091584-01 00091582-01 00091554-01 00091585-01 00091553-01 00091553-02 00091587-01 00091544-01 00091544-02 00091601-01 00091542-02 00091548-01 00091540-01 00091537-01 00091552-01 00091552-02 00091541-01 00091541-02 00091546-01 00091546-02 00091546-03 00091556-01 00091543-01 00091588-01 00091578-01 00091442-01 00090488-02 00090488-03 00090488-04 00090488-05 00091381-04 00091381-05 00091441-01 00091439-01 PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM INVOICE REIMB PER DIG367 REIMB PER DIG367 REIMB PER DIG367 9076 G367 114559150 G367 505625 G367 3063 G367 3064 G367 3065 G367 273288 G367 273286 G367 SALES0017510G367 075722 G367 3588 G367 560492 G367 301 G367 171211 G367 176274 G367 3286 G367 1927676-IN G367 1927675-IN G367 1928580 G367 1928581 G367 1928582 G367 123058 G367 22190036 G367 19-1211246 G367 877120038024G367 REIMB BATTERG367 A22930 G367 04739367748 G367 VARIOUS G367 344180581 G367 344180579 G367 344180578 G367 344180580 G367 877120038010G367 VARIOUS G367 VARIOUS G367 9171800650 G367 9171800650 G367 1006625 G367 8644 G367 BATCH SSDDDDDCODOCOCOCOOCOOOCCOCOCOOOD oo PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 .00 -00 -00 00 -00 -00 -00 -00 -00 -00 -00 00 -00 -00 00 -00 00 -00 -00 -00 -00 00 -00 -00 -00 -00 -00 00 0.00 ° eSCODDDDDCCCOOOD -00 -00 00 -00 -00 -00 -00 -00 -00 .00 -00 -00 -00 -00 -00 2 5/19 AMOUNT 184 184. 184. -48 -66 531. 330. -00 -00 -95 +20 428. 150. 600. 41. -00 47. -00 31. -99 191. 1376 -98 +98 311. 110.< 683. 1248 66 290 330 8828 4163 242 42 161 174 L. 24602. 86 85 172. 336. 279. «27 -43 19. Lig 48 «13 -06 +21 32 24. 420. 277. 196 13 212 204 86 44 -00 00 00 26 00 01 00 00 00 60 96 98 99 13 00 00 17 -90 +29 19 00 53 25 80 63 54 os ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14: 42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000’ PAYMENT TYPE: CHECKS ONLY FUND - 01 - GENERAL FUND DEPT-DIV 010921 010921 010921 010921 010921 010921 010921 ACCOUNT 4650 4650 4650 4650 4650 4650 4650 MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TOTAL PUBLIC WORKS-MUN PROP 010922 4604 TOOLS & EQUIPMEN TOTAL PUBLIC WORKS-FORESTRY 010923 010923 010923 010923 4209 4216 4216 4216 INTERMENT GROUNDS MAINTENA GROUNDS MAINTENA GROUNDS MAINTENA TOTAL PUBLIC WORKS-CEMETERIES 010924 010924 010924 010924 010924 010924 010924 010924 010924 4110 4225 4600 4600 4615 4615 4615 4650 4650 TOTAL PUBLIC WORKS-R & B 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 4202 4400 4400 4400 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 TRAINING & TUITI OTHER CONTRACTUA COMPUTER/OFFICE COMPUTER/OFFICE UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY MISCELLANEOUS CO MISCELLANEOUS CO TELEPHONE & ALAR VEHICLE REPAIR VEHICLE REPAIR VEHICLE REPAIR PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL RUN DATE 05/30/2019 TIME 14:43:00 13021 13021 2013 231 231 5750 5750 14365 1843 1843 1843 1843 592 12736 13958 6441 2013 2013 4362 2013 362 13257 14110 4774 4774 1053 1053 12643 12643 12643 13066 13908 14365 14365 14365 14440 14771 CASE LOTS, INC CASE LOTS, INC GRAINGER MC MASTER-CARR SUPPLY MC MASTER-CARR SUPPLY MOTION INDUSTRIES INC MOTION INDUSTRIES INC RUSSO POWER EQUIPMENT CEMETERY MANAGEMENT, CEMETERY MANAGEMENT, CEMETERY MANAGEMENT, CEMETERY MANAGEMENT, IRMA ILLINOIS CENTRAL RAIL ELITE DOCUMENT SOLUTI CANON BUSINESS SOLUTI GRAINGER GRAINGER RELIABLE HIGH PERFORM GRAINGER 1ST AYD CORPORATION COMCAST CABLE SAFELITE FULFILLMENT, SAFETY LANE INSPECTIO SAFETY LANE INSPECTIO RANDALL PRESSURE SYST RANDALL PRESSURE SYST KIMBALL MIDWEST KIMBALL MIDWEST KIMBALL MIDWEST ST. CHARLES CHRYSLER RUSH TRUCK CENTERS OF RUSSO POWER EQUIPMENT RUSSO POWER EQUIPMENT RUSSO POWER EQUIPMENT M & K TRUCK CENTERS AHW, LLC CASH REQUIREMENTS BILL LIST 00091439-02 00091489-01 00091440-01 00091440-02 00091564-01 00090623-01 00090623-01 00090623-01 00090623-01 00091575-01 00091477-01 00091565-01 00091483-02 00091381-02 00091381-03 00089984-01 00091550-01 00091559-02 00091559-03 00091436-01 00091436-02 00091468-01 00091429-01 00091576-01 00091561-01 00091561-02 00091561-03 00091433-01 00091562-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 8818 G367 8938 G367 VARIOUS G367 95121807 G367 93266325 G367 IL32-681756 G367 IL32681916 G367 5747266 G367 00-17794 G367 0017793 G367 00-17790 G367 00-17779 G367 Ivc0011157 G367 9500198440 G367 6434 G367 4029128573 G367 9171800650 G367 9173847956 G367 206790 G367 VARIOUS G367 PSI276948 G367 877120038024G367 04782-030676G367 18519 G367 18519 G367 I-26714-0 G367 I-26045-0 G367 7058996 G367 7059097 G367 7102469 G367 121530CHW G367 3014989891 G367 5687458 G367 5696092 G367 5696093 G367 777250CS G367 1901565 G367 ooo0000 oo oO o eco00 ecococ0c0eo ° ecseoeCCOCOO OOOO OCDO PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 -00 -00 -00 -00 -00 -00 -00 .00 .00 -00 00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 00 -00 -00 00 -00 00 00 -00 00 -00 -00 .00 00 -00 -00 -00 5/19 AMOUNT 292. .40 51 91. 93. 218, 85. 446 904 4273 135. 1355 1000 4675. 90. 1295. 351. 501. 189. 142. 29. -38 -08 100 2240. 205 557 182 74 74 132 84 197 62 50 36 47 54 53 -O21 38 38 -00 1225. 1225. 1225. 00 00 00 00 00 36 97 44 25. 06 99 77 03 297 37. 5S... -71 76 209. 225. -05 -00 -66 890. -66 1161. -86 - 86 00 00 77 53 45 01 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14:42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ------' TITLE. 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4615 UNIFORMS/SAFETY 010925 4650 MISCELLANEOUS CO TOTAL PUBLIC WORKS-MAINT GAR 010926 4204 ELECTRIC 010926 4204 ELECTRIC 010926 4204 ELECTRIC 010926 4210 TOTAL MOTOR FUEL TAX REFUSE DISPOSAL 011028 4100 LEGAL FEES TOTAL COM DEV-PLANNING 011029 4100 LEGAL FEES 011029 4100 LEGAL FEES 011029 4100 LEGAL FEES 011029 4113 ENFORCEMENT & IN 011029 4120 PLAN REVIEW 011029 4120 PLAN REVIEW RUN DATE 05/30/2019 TIME 14:43:00 14771 14818 14818 14940 14940 15077 15078 15078 2609 2609 2609 2609 3714 3829 4735 4735 4735 4735 4774 4774 5384 561 561 561 561 561 561 2013 14843 151 152 152 13294 7994 15072 15072 7994 1800 1800 1800 AHW, LLC HAWK FORD HAWK FORD WAYTEK, INC WAYTEK, INC PETROCHOICE FORCE AMERICA DISTRIB FORCE AMERICA DISTRIB DON MC CUE CHEVROLET DON MC CUE CHEVROLET DON MC CUE CHEVROLET DON MC CUE CHEVROLET POMP’S TIRE SERVICE, ATLAS BOBCAT, INC. NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS SAFETY LANE INSPECTIO SAFETY LANE INSPECTIO AIRGAS USA, LLC HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD GRAINGER VERIZON CONNECT FLEET COMED COMMONWEALTH EDISON COMMONWEALTH EDISON GROOT INDUSTRIES, INC BOND, DICKSON & ASSOC TOSCAS LAW GROUP TOSCAS LAW GROUP BOND, DICKSON & ASSOC B & F CONSTRUCTION CO B & F CONSTRUCTION CO B & F CONSTRUCTION CO CASH REQUIREMENTS BILL LIST 00091562-02 00091427-01 00091494-02 00091445-01 00091445-02 00091495-01 00091466-01 00091481-01 00091568-01 00091474-01 00091570-01 00091435-01 00091437-01 00091485-01 00091469-01 00091469-02 00091472-01 00091486-01 00091381-05 00090569-01 00090495-01 00091602-01 00091532-01 00091532-02 00091602-01 00091526-01 00091527-01 00091528-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 1902853 G367 341 G367 15335 G367 2808986 G367 2812965 G367 10922875 G367 1IN0011333364G367 IN001-133877G367 415349CVW G367 415313CVW G367 415288CVW G367 415312CVW G367 640070050 G367 BR7633 G367 MAY CHARGES G367 4496-067407 G367 4496-066907 G367 4496-067677 G367 18444 G367 18444 G367 961450570 G367 164179 G367 164173 G367 164195 G367 164191 G367 164115 G367 164099 G367 9171800650 G367 IN3343252 G367 0923084066 G367 0423168236 G367 VARIOUS G367 15654716 G367 APRIL-19 G367 MUN/BLDVIO G367 MUN/BLD VIO G367 APRIL-19 G367 51293 G367 51275 G367 11327 G367 SSPCODDOC OOOO OCOOCOCOCCOOO OO OOOO OOD eco0o0 0 oo oO eooocne PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 -00 -00 -00 -00 -00 -00 00 -00 00 -00 -00 -00 -00 -00 -00 -00 00 00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 00 00 00 -00 00 .00 -00 -00 .00 .00 -00 -00 -00 4 5/19 AMOUNT 152 45 231 211 551 104 385 544 11504 2049. 86. 628. 3818. 6583 6780. 6780. 675. 675. 900. 14375. 425. 750. «19 135< DS: 45. 86. 498. -66 58. 65. -70 ~22 448. ~72 54. 1417. 800. 351. 563. 37. 37. -96 46. 127. 87. 49. LiL. +99 41. -00 74 87 86 63 93 BL 13 71 08 28 51 07 59 00 00 60 58 45 12 33 37 17 92 19 68 36 «15 00 00 00 00 00 00 00 00 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 CITY OF WEST CHICAGO TIME: 14:42:58 CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date=’20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ------' TITLE------ ------------' ‘VENDOR------------ P.0.'S INVOICE 011029 4205 WEED CUTTING 6793 W.A. MANAGEMENT, INC. 00091536-01 19561 TOTAL COM DEV-BUILDING & CODE 011030 4502 COPIER FEES 14784 BRADEN BUSINESS SYSTE 00091530-01 562230 TOTAL COM DEV-MUSEUM TOTAL FUND RUN DATE 05/30/2019 TIME 14:43:00 BATCH G367 G367 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 5/19 SALES TAX 0.00 0.00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM 5 AMOUNT 72.00 17872 .00 89.64 89.64 183493 .81 ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 CITY OF WEST CHICAGO TIME: 14:42:58 CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date=’20190603 00:00:00.000’ PAYMENT TYPE: CHECKS ONLY FUND - 04 - CAPITAL EQUIP. REPLACE DEPT-DIV ACCOUNT 4-sn=~! TITLE------ -----------— VENDOR-~——----—— P.0.'S INVOICE 043439 4804 VEHICLES 14383 ULTRA STROBE COMMUNIC 00091542-01 075715 043439 4804 VEHICLES 14383 ULTRA STROBE COMMUNIC 00091551-01 075741 TOTAL CAPITAL EQUIPMENT REPLACE TOTAL FUND RUN DATE 05/30/2019 TIME 14:43:00 PAGE NUMBER: ACCTPAY1 6 ACCOUNTING PERIOD: 5/19 BATCH SALES TAX G367 0.00 G367 0.00 0.00 0.00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM AMOUNT 8797.55 2798.56 11596.11 11596.11 ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14: 42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 05 - SEWER FUND DEPT-DIV 053440 ACCOUNT 4204 ELECTRIC TOTAL SEWER-SSA#2 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 053443 4053 HEALTH/DENTAL/LI 4100 LEGAL FEES 4100 LEGAL FEES 4110 TRAINING & TUITI 4110 TRAINING & TUITI 4202 TELEPHONE & ALAR 4204 ELECTRIC 4204 ELECTRIC 4225 OTHER CONTRACTUA 4400 VEHICLE REPAIR 4400 VEHICLE REPAIR 4400 VEHICLE REPAIR 4400 VEHICLE REPAIR 4402 LIFT STATION REP 4600 COMPUTER/OFFICE 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4603 PARTS FOR VEHICL 4604 TOOLS & EQUIPMEN 4626 CHEMICALS 4639 PARTS-MAINS 4806 OTHER CAPITAL OU TOTAL SEWER-SANITARY COLLECTION 053445 053445 053445 4806 OTHER CAPITAL OU 4806 OTHER CAPITAL OU 4806 OTHER CAPITAL OU TOTAL SEWER PLANT EQUIP REPLACE TOTAL FUND RUN DATE 05/30/2019 TIME 14:43:00 11129 10989 7994 12008 12008 3400 14286 152 3400 14896 286 4774 5254 9376 13958 13908 13908 13908 13908 14663 14818 3829 4735 2013 14969 2810 15004 14740 14968 14968 DYNEGY ENERGY SERVICE MOE FUNDS KATHLEEN W. BONO, CSR BOND, DICKSON & ASSOC ILLINOIS SECTION AWWA ILLINOIS SECTION AWWA AT&T DYNEGY ENERGY SERVICE COMMONWEALTH EDISON AT&T AURORA TRUCK CENTER TS SPECIALTIES, INC. SAFETY LANE INSPECTIO TREDROC TIRE SERVICES ILLINI POWER PRODUCTS ELITE DOCUMENT SOLUTI RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF TRANSCHICAGO TRUCK GR HAWK FORD ATLAS BOBCAT, INC. NAPA AUTO PARTS GRAINGER AQUAFIX CORE & MAIN, LP CECCHIN PLUMBING & HE DONOHUE & ASSOCIATES, KNICKERBOCKER ROOFING KNICKERBOCKER ROOFING CASH REQUIREMENTS BILL LIST 00091600-01 00091602-01 00091493-01 00091493-02 00091484-01 00091480-01 00091559-01 00091577-01 00091595-01 00091444-01 00091465-01 00091465-02 00091492-01 00091492-02 00091428-01 00091494-01 00091570-02 00091443-01 00091572-01 00091383-01 00090171-01 00088692-01 00089660-01 00091557-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE GMCCOW1000 JULY 2019 8155 APRIL-19 200041201 200041273 VARIOUS GMCCOW1000 VARIOUS VARIOUS 225991 15683 18519 7420028744 S$WO021708-1 6411 3014757609 30147577215 3014871596 3014921162 210387 15303 BR7674 MAY CHARGES 9157769705 27601 K512076 67968 PAY APL#5 20112857 20112857 BATCH. G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 G367 0. SESDCODDCODDODCC ODDO OCOCOCCOCOOCOO oO ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX 00 -00 -00 00 -00 -00 00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 00 -00 -00 -00 00 -00 -00 -00 -00 -00 0.00 oo -00 -00 00 00 7 5/19 AMOUNT 251. 251. 8468. 66 86 140. -00 00 545. sok. ~36 204. 2170. 280. 37s +90 -57 59. 209. 669. 551. 200. 67 246. 43. +73 552. 1498. 512. 286974. 96 60 4886 355 273 3703 43 245 313117. 171172. 122151. 1560. 294884 608252 08 08 27 00 24 07 06 80 00 50 72 92 64 82 95 96 67 75 50 00 27 59 89 00 -48 -83 ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14: 42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 06 - WATER FUND DEPT-DIV 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 063447 ACCOUNT 4053 4100 4100 4110 4202 4204 4207 4225 4301 4400 4418 4420 4420 4420 4420 4420 4600 4603 4603 4615 4615 4615 4615 4615 4621 4621 4621 4622 4650 4806 4806 4806 TOTAL WATER-PRODUCTION/DIST 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 4202 4204 4225 4225 4430 4430 4502 4502 4615 4615 4615 4624 4625 4625 oo TITLE------ ---------~--VENDOR---------~-- HEALTH/DENTAL/LI 11129 MOE FUNDS LEGAL FEES 10989 KATHLEEN W. BONO, CSR LEGAL FEES 7994 BOND, DICKSON & ASSOC TRAINING & TUITI 15100 RYNN, MACKENZIE TELEPHONE & ALAR 13107 AT & T MOBILITY ELECTRIC 14286 DYNEGY ENERGY SERVICE LAB SERVICES 1762 SUBURBAN LABORATORIES OTHER CONTRACTUA 3400 AT&T OTHER INSURANCE 592 IRMA VEHICLE REPAIR 561 HAGGERTY FORD DISTRIB SYSTEM R 2805 CRAWFORD, MURPHY & TI PUMP STATION REP 10649 GRAF TREE CARE PUMP STATION REP 11415 LAYNE CHRISTENSEN COM PUMP STATION REP 11415 LAYNE CHRISTENSEN COM PUMP STATION REP 14725 ELLIOTT ELECTRIC PUMP STATION REP 14725 ELLIOTT ELECTRIC COMPUTER/OFFICE 13958 ELITE DOCUMENT SOLUTI PARTS FOR VEHICL 4735 NAPA AUTO PARTS PARTS FOR VEHICL 561 HAGGERTY FORD UNIFORMS/SAFETY 11134 JUST SAFETY, LTD. UNIFORMS/SAFETY 2013 GRAINGER UNIFORMS/SAFETY 2013 GRAINGER UNIFORMS/SAFETY 2013 GRAINGER UNIFORMS/SAFETY 2013 GRAINGER PARTS & EQUIPMEN 2810 CORE & MAIN, LP PARTS & EQUIPMEN 2810 CORE & MAIN, LP PARTS & EQUIPMEN 2810 CORE & MAIN, LP PARTS & EQUIP-PU 4406 U.S.A. BLUEBOOK MISCELLANEOUS CO 2013 GRAINGER OTHER CAPITAL OU 15010 INDEPENDANT MECHANICA OTHER CAPITAL OU 2805 CRAWFORD, MURPHY & TI OTHER CAPITAL OU 3597 FEDEX CORPORATION TELEPHONE & ALAR 3400 AT&T ELECTRIC 14286 DYNEGY ENERGY SERVICE OTHER CONTRACTUA 11546 ALL TYPES ELEVATORS, OTHER CONTRACTUA 12380 CINTAS CORPORATION WIP OPERATIONS R 10577 UTILITIES AUTOMATION WIP OPERATIONS R 15087 FCX PERFORMANCE COPIER FEES 6441 CANON BUSINESS SOLUTI COPIER FEES 6441 CANON BUSINESS SOLUTI UNIFORMS/SAFETY 2013 GRAINGER UNIFORMS/SAFETY 2013 GRAINGER UNIFORMS/SAFETY 2013 GRAINGER PARTS-BUILDING R 2013 GRAINGER LAB SUPPLIES 11177 WILKENS ANDERSON CO. LAB SUPPLIES 11177 WILKENS ANDERSON CO. RUN DATE 05/30/2019 TIME 14:43:00 CASH REQUIREMENTS BILL LIST 00091600-01 00091602-01 00091598-01 00091431-01 00091601-01 00091594-01 00091432-01 00091571-01 00091571-02 00091567-01 00091567-02 00091444-01 00091381-01 00091381-02 00091563-02 00091383-01 00091430-01 00091434-01 00091563-02 00090278-01 00090290-01 00091558-01 00090488-01 00091476-01 00091473-01 00091483-01 00091496-01 00091381-03 00091381-04 00091381-04 00091569-01 00091569-02 PAGE NUMBER: 8 ACCTPAY1 ACCOUNTING PERIOD: 5/19 INVOICE BATCH SALES TAX AMOUNT JULY 2019 G367 0.00 8468.27 8155 G367 0.00 86.68 APRIL-19 G367 0.00 15340.00 REIMB CDL TEG367 0.00 50.00 287240545118G367 0.00 190.82 GMCCOW1000 G367 0.00 29947.17 165056 G367 0.00 484.75 VARIOUS G367 0.00 204.07 SALES0017510G367 0.00 830.86 Q09744 G367 0.00 69.95 0203596 G367 0.00 1982.50 11960 G367 0.00 174.00 1580429 G367 0.00 6530.00 1580430 G367 0.00 8600.00 23168 G367 0.00 2024.30 23169 G367 0.00 920.00 6411 G367 0.00 59.49 MAY CHARGES G367 0.00 350.14 164126 G367 0.00 44.78 32663 G367 0.00 104.70 VARIOUS G367 0.00 177.60 9171800650 G367 0.00 160.20 9171800650 G367 0.00 184.55 9168909050 G367 0.00 157.75 K512076 G367 0.00 512.50 K446802 G367 0.00 1943.14 K493912 G367 0.00 315.00 886374 G367 0.00 99.47 9168909050 G367 0.00 327.00 56480 G367 0.00 158305.50 0203593 G367 0.00 7773.46 6-552-24366 G367 0.00 43.72 0.00 246462 .37 VARIOUS G367 0.00 258.74 GMCCOW1000 G367 0.00 11925.14 9841544 G367 0.00 192.00 344180582 G367 0.00 15.05 2019005 G367 0.00 1268.75 4368640 G367 0.00 284.60 4029128014 G367 0.00 50.42 4029237328 G367 0.00 225.12 9173847956 G367 0.00 18.14 9173847956 G367 0.00 31.50 9171800650 G367 0.00 60.68 VARIOUS G367 0.00 -65.85 S1183105.003G367 0.00 400.34 $1183105.004G367 0.00 66.66 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 TIME: 14:42:58 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000’ PAYMENT TYPE: CHECKS ONLY FUND - 06 - WATER FUND DEPT-DIV ACCOUNT -----— TITLE------ ---~--------- 063448 4625 LAB SUPPLIES 063448 4625 LAB SUPPLIES 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4642 PARTS - WTP OPER TOTAL WATER-TREATMENT PLANT OP TOTAL FUND RUN DATE 05/30/2019 TIME 14:43:00 14986 1685 10925 10925 10925 11423 14295 2013 NALCO WATER PRETREATM HACH COMPANY MISSISSIPPI LIME COMP MISSISSIPPI LIME COMP MISSISSIPPI LIME COMP OLIN CORPORATION MACCARB, GRAINGER INC CASH REQUIREMENTS BILL LIST 00091471-01 00091573-01 00090631-01 00090631-01 00090631-01 00090622-01 00090632-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE 2332658 11455745 1433585 1432220 1432907 2682504 104A-003211 VARIOUS BATCH G367 G367 G367 G367 G367 G367 G367 G367 eooo000000 ° ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 9 5/19 AMOUNT 204 4703 4673 104 36626. 283089 -32 1467. «39 4746. 07 3461. 2535. oh3 04 98 74 00 96 +33 ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPAY1 TIME: 14:42:58 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 5/19 SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000’ PAYMENT TYPE: CHECKS ONLY FUND - 08 — CAPITAL PROJECTS FUND DEPT-DIV ACCOUNT ------' TITLE------ -—----------— ‘VENDOR------------ F..0. "8: INVOICE BATCH SALES TAX AMOUNT 083453 4053 HEALTH/DENTAL/LI 11129 MOE FUNDS JULY 2019 G367 0.00 819.51 083453 4100 LEGAL FEES 7994 BOND, DICKSON & ASSOC 00091602-01 APRIL-19 G367 0.00 540.00 083453 4226 TRAFFIC SIGNAL M 5000 MEADE ELECTRIC COMPAN 00091490-01 687780 G367 0.00 367.50 083453 4227 STREET LIGHT MAI 5000 MEADE ELECTRIC COMPAN 00091574-01 688175 G367 0.00 270.80 083453 4412 MATERIALS 11333 GRAYBAR ELECTRIC CO., 00091438-01 9309568405 G367 0.00 114.86 083453 4412 MATERIALS 11333, GRAYBAR ELECTRIC CO., 00091438-02 9309588643 G367 0.00 390.56 083453 4412 MATERIALS 11333 GRAYBAR ELECTRIC CO., 00091438-03 9309588644 G367 0.00 207.54 083453 4412 MATERIALS 2013 GRAINGER VARIOUS G367 0.00 274.50 083453 4412 MATERIALS 2013 GRAINGER 00091563-01 9175717116 G367 0.00 463.80 083453 4672 BIT PATCH-HOT 12722 ALLIED ASPHALT PAVING 00091299-01 221792 G367 0.00 178.61 083453 4807 STREET IMPROVEME 3597 FEDEX CORPORATION 6-559-99590 G367 0.00 39.84 083453 4872 ROW MATERIALS 10714 DUPAGE CTY DIV OF TRA 00091475-01 4267 G367 0.00 415.66 083453 4872 ROW MATERIALS 231 MC MASTER-CARR SUPPLY 93515375 G367 0.00 198.41 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 10085 G367 0.00 200.00 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 100930 G367 0.00 263.40 TOTAL CAPITAL PROJECTS 0.00 4744.99 TOTAL FUND 0.00 4744.99 RUN DATE 05/30/2019 TIME 14:43:00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 22 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 11 DATE: 05/30/19 CITY OF WEST CHICAGO ACCTPAY1 TIME: 14:42:58 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 5/19 SELECTION CRITERIA: payable.due_date='’20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 09 - DOWNTOWN TIF SPEC PROJ DEPT-DIV ACCOUNT ------' TITLE------ ------------ ‘VENDOR------------ B..0.. INVOICE BATCH SALES TAX AMOUNT 0900 389000 OTHER MISCELLANE 15094 THE KITCHEN TABLE WC 00091534-01 VENDOR REF G367 0.00 75.00 TOTAL DOWNTOWN SPEC PROJ REV 0.00 75.00 093454 4053 HEALTH/DENTAL/LI 11129 MOE FUNDS JULY 2019 G367 0.00 1365.85 093454 4680 SPECIAL EVENTS 12827 SIGN A RAMA 00091535-01 BLOMFEST SIGG367 0.00 371.25 093454 4680 SPECIAL EVENTS 13310 ULINE 00091533-01 108558003 G367 0.00 454.57 093454 4680 SPECIAL EVENTS 14271 MEXICAN CULTURAL CENT 00091531-01 MID FUNDING G367 0.00 3500.00 093454 4680 SPECIAL EVENTS 14709 BAYCI, BETHANY 00091529-01 REIMB G367 0.00 570.00 093454 4680 SPECIAL EVENTS 14709 BAYCI, BETHANY 00091529-02 REIMB G367 0.00 60.46 093454 4680 SPECIAL EVENTS 14709 BAYCI, BETHANY 00091529-03 REIMB G367 0.00 129.27 093454 4801 BUILDING/GROUNDS 14701 LAFARGE FOX RIVER DEC 00091449-01 710460213 G367 0.00 298.78 093454 4801 BUILDING/GROUNDS 15096 SPEED POWDER COATINGS 00091560-01 3196 G367 0.00 1050.00 093454 4815 STREETSCAPE PROG 12241 HEINZ BROTHERS GREENH 00091607-01 204412002 G367 0.00 1620.00 093454 4815 STREETSCAPE PROG 2013 GRAINGER VARIOUS G367 0.00 220.14 093454 4815 STREETSCAPE PROG 665 KRAMER TREE SPECIALIS 00091488-01 83330 G367 0.00 520.00 TOTAL DOWNTOWN TIF 0.00 10160.32 TOTAL FUND 0.00 10235.32 RUN DATE 05/30/2019 TIME 14:43:00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 23 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 05/30/19 14: 42:58 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 28 - MISCELLANEOUS DEPOSITSIN DEPT-DIV 28 28 28 28 28 28 28 ACCOUNT ------ TITLE------ ------------ ‘VENDOR------~------ P.O.’S 224500 MISCELLANEOUS DE 13744 JAROS, THOMAS KURT 00091524-01 224500 MISCELLANEOUS DE 13837 A LAMP CONCRETE CONTR 00091520-01 224500 MISCELLANEOUS DE 14966 KENNY CONSTRUCTION CO 00091519-01 224500 MISCELLANEOUS DE 15090 ALBOR, JAIME 00091522-01 224500 MISCELLANEOUS DE 15091 CHARLESTON, NEAL 00091523-01 224500 MISCELLANEOUS DE 15092 WALID & RADWAN MOURAD 00091525-01 224500 MISCELLANEOUS DE 15095 CHAVEZ, JUAN MUNOZ 00091579-01 TOTAL MISCELLANEOUS DEPOSITSIN TOTAL FUND RUN DATE 05/30/2019 TIME 14:43: 00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: INVOICE BATCH SALES TAX 228 N OAKWOOG367 0.00 HYDRANT MTR G367 0.00 HYDRANT MTR G367 0.00 317 VINE G367 0.00 307 WOODSIDEG367 0.00 601 W ROOSEVG367 0.00 439 CHURCH G367 0.00 0.00 0.00 12 5/19 AMOUNT 1500. -00 -00 1500. 1500. -00 1500. 750 1500 3000 11250 11250. 00 00 00 00 -00 00 ===== PDF PAGE 24 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 05/30/19 CITY OF WEST CHICAGO TIME: 14:42:58 CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20190603 00:00:00.000' PAYMENT TYPE: CHECKS ONLY FUND - 43 - COMMUTER PARKING FUND DEPT-DIV ACCOUNT ------ TITLE------ ----~-~~---— -VENDOR------------ P.0.'S INVOICE 433476 4204 ELECTRIC 152 COMMONWEALTH EDISON VARIOUS 433476 4650 MISCELLANEOUS CO 14794 CYCLESAFE 00091478-01 5140 433476 4650 MISCELLANEOUS CO 14794 CYCLESAFE 00091491-01 5146 TOTAL COMMUTER PARKING FUND TOTAL FUND TOTAL CHECK TRANSACTIONS TOTAL EFT TRANSACTIONS TOTAL REPORT PAGE NUMBER: 13 ACCTPAY1 ACCOUNTING PERIOD: 5/19 BATCH SALES TAX AMOUNT G367 0.00 1386.07 G367 0.00 464.00 G367 0.00 265.00 0.00 2115.07 0.00 2115.07 0.00 1114777.46 0.00 0.00 0.00 1114777.46 RUN DATE 05/30/2019 TIME 14:43:00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM