===== PDF PAGE 1 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT December 19, 2022 OPERATING ACCOUNT $ 1,125,050.72 FUNDED BY: pec GENERAL FUND $ 552,456.16 SEWER FUND $ 116,661.51 WATER FUND $ 197,963.63 CAPITAL PROJECTS FUND $ 244,168.79 MOTOR FUEL TAX FUND $ 7,514.42 ROOSEVELT/FABYAN TIF FUND $ 1,496.00 MISCELLANEOUS DEPOSITS FUND $ 4,125.00 COMMUTER PARKING FUND $ 665.21 APPROVED BY THE CITY COUNCIL ON: DATE: AL NWA_— SIGNATURE: ===== PDF PAGE 2 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: by DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------~' ‘VENDOR---- -~----~--~-~! DEPT-DIV 2 2——==---= DESCRIPTION------ SALES TAX AMOUNT 105100 94448 12/07/22 15655 CHICAGO MOTORS, INC 010613 BILL OF SALE # 1221130 0.00 34,000.00 105100 94449 12/19/22 12617 ACCURATE OFFICE SUPPLY 010510 NOV 2022 0.00 108.62 105100 94449 12/19/22 12617 ACCURATE OFFICE SUPPLY 063447 NOV 2022 0.00 108.62 105100 94449 12/19/22 12617 ACCURATE OFFICE SUPPLY 053443 NOV 2022 0.00 108.94 105100 94449 12/19/22 12617 ACCURATE OFFICE SUPPLY 011028 NOV 2022 0.00 310.59 TOTAL CHECK 0.00 636.77 105100 94450 12/19/22 5384 AIRGAS USA, LLC 010925 INVOICE #9992273557 DA 0.00 180.66 105100 94451 12/19/22 1914 ALEXANDER CHEMICAL CORPO 063448 INVOICE #56687 DATED 0 0.00 600.00 105100 94452 12/19/22 11546 ALL TYPES ELEVATORS, INC 063448 INVOICE #20113739 DATE 0.00 198.00 105100 94453 12/19/22 12722 ALLIED ASPHALT PAVING CO 083453 PURCHASE OF ASPHALT MA 0.00 670.01 105100 94454 12/19/22 6626 ALTORFER INDUSTRIES, INC 053443 INVOICE #P6AC0051277 D 0.00 133.17 105100 94454 12/19/22 6626 ALTORFER INDUSTRIES, INC 063447 INV P6AR0002749 12/22/ 0.00 -12.34 TOTAL CHECK 0.00 120.83 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 010208 INVOICE # 114Q-NCLD-KC 0.00 88.86 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 010208 INVOICE # 1QJJ-1NTH-6F 0.00 40.27 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1LYV-KXLY-7C 0.00 19.30 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 063448 INVOICE #1TTJ-PNTP-3QL 0.00 74.80 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 010921 INVOICE #1HX3-9MHR-FPR 0.00 161.83 105100 94455 12/19/22 15559 AMAZON CAPITAL SERVICES 011028 INV# 1YT3-94WR-1HH4, 1 0.00 59.98 TOTAL CHECK 0.00 445.04 105100 94456 12/19/22 13477 ANCEL, GLINK, DIAMOND, B 010207 HEARING OFFICER FOR AP 0.00 700.00 105100 94457 12/19/22 11707 ANDERSON LOCK 010207 INVOICE #1108079 DATED 0.00 1,221.25 105100 94458 12/19/22 12365 ANDY FRAIN SERVICES 010613 INVOICE # 330233 0.00 7,282.80 105100 94459 12/19/22 15137 APTIM ENVIRONMENTAL& INF 010207 PROFESSIONAL SERVICES 0.00 2,275.00 105100 94460 12/19/22 14969 AQUAFIX 053443 INVOICE #IN004550 DATE 0.00 1,996.89 105100 94461 12/19/22 12668 ARCO MECHANICAL EQUIPMEN 010921 INVOICE #20566 DATED 1 0.00 525.00 105100 94462 12/19/22 12076 ARMS, ROBYN 010613 SEMINAR IN SAN DIEGO, 0.00 585.27 105100 94463 12/19/22 3829 ATLAS BOBCAT, INC. 053443 INVOICE #BT9645 DATED 0.00 345.76 105100 94463 12/19/22 3829 ATLAS BOBCAT, INC. 053443 INVOICE #BT9671 DATED 0.00 127.17 105100 94463 12/19/22 3829 ATLAS BOBCAT, INC. 053443 INVOICE #BT9642 DATED 0.00 136.23 TOTAL CHECK 0.00 609.16 105100 94464 12/19/22 14896 AURORA TRUCK CENTER 010925 INVOICE #247232 DATED 0.00 145.00 105100 94465 12/19/22 1800 B & F CONSTRUCTION CODE 011029 INV# 60574, 12/1/2022; 0.00 14,806.25 105100 94465 12/19/22 1800 B & F CONSTRUCTION CODE 011029 INV# 60547, 11/28/2022 0.00 175.00 0.00 14,981.25 TOTAL CHECK ===== PDF PAGE 3 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 2 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G452' and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------~------ ‘VENDOR---- --------- DEPT-DIV = ----- DESCRIPTION------ SALES TAX AMOUNT 105100 94466 12/19/22 15653 BLUE TO GOLD, LLC. 010613 INVOICE # LOM-23-IGS00 0.00 495.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 010110 PROFESSIONAL SERVICES 0.00 250.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 010110 PROFESSIONAL SERVICES 0.00 1,680.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 010501 PROFESSIONAL SERVICES 0.00 336.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 010613 PROFESSIONAL SERVICES 0.00 651.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 011028 PROFESSIONAL SERVICES 0.00 1,475.14 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 011029 PROFESSIONAL SERVICES 0.00 84.00 105100 94467 12/19/22 7994 BOND, DICKSON & ASSOC., 083453 PROFESSIONAL SERVICES 0.00 441.00 TOTAL CHECK 0.00 4,917.14 105100 94468 12/19/22 4392 BONNELL INDUSTRIES 010925 INVOICE #0207158-IN DA 0.00 2,072.89 105100 94469 12/19/22 14784 BRADEN BUSINESS SYSTEMS 010613 INVOICE # 822422 0.00 63.00 105100 94469 12/19/22 14784 BRADEN BUSINESS SYSTEMS 011030 INV# 824358, 12/13/202 0.00 52.00 TOTAL CHECK 0.00 115.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010921 T-SHIRTS SILK SCREENED 0.00 194.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010924 T-SHIRTS SILK SCREENED 0.00 770.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010925 T-SHIRTS SILK SCREENED 0.00 409.50 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 063447 T-SHIRTS SILK SCREENED 0.00 424.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 063448 T-SHIRTS SILK SCREENED 0.00 63.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010921 SWEATSHIRTS SILK SCREE 0.00 200.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010924 SWEATSHIRTS SILK SCREE 0.00 568.25 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 010925 SWEATSHIRTS SILK SCREE 0.00 117.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 063447 SWEATSHIRTS SILK SCREE 0.00 363.00 105100 94470 12/19/22 15283 BRAND IT ON APPAREL CO 063448 SWEATSHIRTS SILK SCREE 0.00 85.50 TOTAL CHECK 0.00 3,194.25 105100 94471 12/19/22 11977 MERLE BURLEIGH 010208 2022 BLANKET FOR MONTH 0.00 950.00 105100 94472 12/19/22 6441 CANON BUSINESS SOLUTIONS 010924 INVOICE #6002265815 DA 0.00 152.40 105100 94472 12/19/22 6441 CANON BUSINESS SOLUTIONS 063448 INVOICE #6002584762 DA 0.00 104.03 TOTAL CHECK 0.00 256.43 105100 94473 12/19/22 13021 CASE LOTS, INC 010921 INVOICE #14810 DATED 1 0.00 439.00 105100 94474 12/19/22 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 20-R-00 0.00 1,225.00 105100 94474 12/19/22 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 20-R-00 0.00 1,200.00 105100 94474 12/19/22 1843 CEMETERY MANAGEMENT, INC 010923 RESOLUTION NO. 20-R-00 0.00 2,450.00 TOTAL CHECK 0.00 4,875.00 105100 94475 12/19/22 15636 CENTENNIAL COUSELING CEN 010613 STATEMENT DATE: 12 02 0.00 600.00 105100 94476 12/19/22 15628 CHALLENGE MANAGEMENT DBA 010207 QUOTE DATED 10-17-22 - 0.00 8,993.00 105100 94476 12/19/22 15628 CHALLENGE MANAGEMENT DBA 010207 QUOTE DATED 10-17-22 - 0.00 1,617.00 TOTAL CHECK 0.00 10,610.00 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 13.65 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 12.05 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 18.20 ===== PDF PAGE 4 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 3 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR-—-- --------- DEPT-DIV = =-----! DESCRIPTION------ SALES TAX AMOUNT 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 12.80 105100 94477 12/19/22 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 15.25 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 13.65 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 12.05 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 18.20 105100 94477 12/19/22 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 12.80 TOTAL CHECK 0.00 128.65 105100 94478 12/19/22 15549 CIVICPLUS 010110 SUPPLEMENT #139 0.00 1,598.99 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 010613 RESOLUTION NO. 22-R-00 0.00 140.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 010921 RESOLUTION NO. 22-R-00 0.00 625.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 053440 RESOLUTION NO. 22-R-00 0.00 260.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 053443 RESOLUTION NO. 22-R-00 0.00 580.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 063447 RESOLUTION NO. 22-R-00 0.00 1,120.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 063448 RESOLUTION NO. 22-R-00 0.00 905.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 083453 RESOLUTION NO. 22-R-00 0.00 12,845.00 105100 94479 12/19/22 12131 CLASSIC LANDSCAPE, LTD. 433476 RESOLUTION NO. 22-R-00 0.00 530.00 TOTAL CHECK 0.00 17,005.00 105100 94480 12/19/22 3223 COLLEGE OF DUPAGE 010613 BILL # 14647 0.00 3,735.60 105100 94481 12/19/22 13257 COMCAST CABLE 010503 12/5-1/4/23 0.00 469.90 105100 94482 12/19/22 151 COMED 163458 10/27-11/29/22 0.00 5,460.34 105100 94482 12/19/22 151 COMED 163458 10/31-12/1/22 0.00 2,054.08 TOTAL CHECK 0.00 7,514.42 105100 94483 12/19/22 13783 CONRAD POLYGRAPH, INC 010501 INVOICE 5295 DATED 10/ 0.00 360.00 105100 94484 12/19/22 11805 CONSTELLATION NEWENERGY, 053443 10/11-11/16/22 0.00 1,897.02 105100 94484 12/19/22 11805 CONSTELLATION NEWENERGY, 063448 10/11-11/16/22 0.00 5,416.90 105100 94484 12/19/22 11805 CONSTELLATION NEWENERGY, 063447 10/11-11/16/22 0.00 15,388.88 105100 94484 12/19/22 11805 CONSTELLATION NEWENERGY, 053440 10/11-11/16/22 0.00 295.63 TOTAL CHECK 0.00 22,998.43 105100 94485 12/19/22 2810 CORE & MAIN, LP 053443 INVOICE #R63464 DATED 0.00 362.00 105100 94485 12/19/22 2810 CORE & MAIN, LP 053443 INVOICE #R975349 DATED 0.00 603.80 TOTAL CHECK 0.00 965.80 105100 94486 12/19/22 15654 DAVIS, WILLIAM C 0100 REFUND PARKING CITATIO 0.00 50.00 105100 94487 12/19/22 15102 DAY, KIEL 010924 REIMBURSEMENT TO KIEL 0.00 45.00 105100 94487 12/19/22 15102 DAY, KIEL 010924 GENERAL STANDARDS EXAM 0.00 24.00 105100 94487 12/19/22 15102 DAY, KIEL 010924 OPERATOR LICENSE FEE 0.00 45.00 TOTAL CHECK 0.00 114.00 105100 94488 12/19/22 2390 DELUXE TOWING 010613 INVOICE # 94408 0.00 150.00 105100 94489 12/19/22 871 DUPAGE COUNTY ANIMAL CON 010613 INVOICE # 17937 0.00 75.00 105100 94490 12/19/22 554 DUPAGE COUNTY RECORDER 011029 LIENS & JUDGEMENTS 0.00 1,276.00 ===== PDF PAGE 5 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 4 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G452‘ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- -----~---! DEPT-DIV 2 = === = DESCRIPTION------ SALES TAX AMOUNT 105100 94491 12/19/22 8973 ENGINEERING RESOURCE ASS 083453 RESOLUTION NO. 21-R-00 0.00 2,083.46 105100 94491 12/19/22 8973 ENGINEERING RESOURCE ASS 083453 PROPOSAL DATED 3/8/22- 0.00 3,670.45 TOTAL CHECK 0.00 5,753.91 105100 94493 12/19/22 362 1ST AYD CORPORATION 010924 WASH & WAX CONCENTRAT 0.00 286.52 105100 94493 12/19/22 362 1ST AYD CORPORATION 010924 FLOOR SOAP & RUST PEN 0.00 290.36 105100 94493 12/19/22 362 1ST AYD CORPORATION 010924 GEL LUBE AND TOWELS 0.00 297.74 105100 94493 12/19/22 362 1ST AYD CORPORATION 010924 FLUID FILM RUST METAL 0.00 270.93 TOTAL CHECK 0.00 1,145.55 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010210 DEC 2022 0.00 577.45 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010501 DEC 2022 0.00 94.64 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010502 DEC 2022 0.00 203.35 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010613 DEC 2022 0.00 2,051.44 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010614 DEC 2022 0.00 62.67 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010921 DEC 2022 0.00 241.72 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 010924 DEC 2022 0.00 331.25 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 011028 DEC 2022 0.00 228.93 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 011029 DEC 2022 0.00 366.42 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 011030 DEC 2022 0.00 254.51 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 053443 DEC 2022 0.00 434.84 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 063447 DEC 2022 0.00 776.96 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 063448 DEC 2022 0.00 725.82 105100 94494 12/19/22 15657 FIRST COMMUNICATIONS, LL 433476 DEC 2022 0.00 44.76 TOTAL CHECK 0.00 6,394.76 105100 94495 12/19/22 4554 FLEET SAFETY SUPPLY 010925 INVOICE #80019 DATED 1 0.00 565.31 105100 94496 12/19/22 3491 FLOLO CORPORATION 063447 INVOICE #103090 DATED 0.00 5,520.00 105100 94496 12/19/22 3491 FLOLO CORPORATION 063448 INVOICE #456155 DATED 0.00 156.47 TOTAL CHECK 0.00 5,676.47 105100 94497 12/19/22 14509 G SNOW & SONS 063447 INVOICE #12217 DATED 1 0.00 4,300.00 105100 94498 12/19/22 15084 GAS DEPOT 01 3,999 GALS RFG AND 3,9 0.00 11,380.47 105100 94498 12/19/22 15084 GAS DEPOT o1 3,999 GALS RFG AND 3,9 0.00 18,363.33 TOTAL CHECK 0.00 29,743.80 105100 94499 12/19/22 15660 GINKGO CHALK 011030 INV# 112204, 12/9/2022 0.00 105.00 105100 94500 12/19/22 15587 GIOVANNI ARELLANO DBA FI 010208 INVOICE# 47 0.00 100.00 105100 94501 12/19/22 5050 GORDON FLESCH COMPANY, I 011029 INV# IN13957578, 11/02 0.00 525.00 105100 94502 12/19/22 14755 GOVTEMPSUSA 010502 J. GUTIERREZ FINANCE D 0.00 687.47 105100 94502 12/19/22 14755 GOVTEMPSUSA 053443 J. GUTIERREZ FINANCE D 0.00 687.47 105100 94502 12/19/22 14755 GOVTEMPSUSA 063447 J. GUTIERREZ FINANCE D 0.00 687.47 TOTAL CHECK 0.00 2,062.41 105100 94503 12/19/22 2013 GRAINGER 010921 SLOAN PARTS 0.00 104.76 105100 94503 12/19/22 2013 GRAINGER 010921 SLOAN PARTS 0.00 285.34 ===== PDF PAGE 6 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G452'’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR<-<<-- -<--------! DEPT-DIV 2 2 === == DESCRIPTION------ SALES TAX AMOUNT 105100 94503 12/19/22 2013 GRAINGER 010921 FILTERS 0.00 150.16 105100 94503 12/19/22 2013 GRAINGER 053443 CLOTH RAGS 0.00 173.08 105100 94503 12/19/22 2013 GRAINGER 010207 CH HALLWAY 0.00 271.42 TOTAL CHECK 0.00 984.76 105100 94504 12/19/22 11471 GROOT INDUSTRIES, INC 010926 SOLID WASTE DISPOSAL A 0.00 136.00 105100 94505 12/19/22 561 HAGGERTY FORD 010925 STOCK 0.00 98.40 105100 94505 12/19/22 561 HAGGERTY FORD 010925 743 0.00 196.68 105100 94505 12/19/22 561 HAGGERTY FORD 010925 333 0.00 176.94 105100 94505 12/19/22 561 HAGGERTY FORD 010925 333 0.00 146.96 105100 94505 12/19/22 561 HAGGERTY FORD 010925 333 0.00 179.95 TOTAL CHECK 0.00 798.93 105100 94506 12/19/22 11307 HEALTHSMART 010501 ANNUAL FLEX ADMIN FEES 0.00 9 110.50 105100 94507 12/19/22 9904 VICTORIA HYNES 010504 REIMBURSEMENT FOR ESRI 0.00 349.00 105100 94508 12/19/22 6162 OFFICE OF THE STATE FIRE 010921 INVOICE #9670850 DATED 0.00 280.00 105100 94509 12/19/22 11973 ILLINOIS TACTICAL OFFICE 010613 INVOICE # 03486 0.00 130.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010210 ANNUAL INSURANCE PREMI 0.00 3,600.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010510 ANNUAL INSURANCE PREMI 0.00 3,600.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010613 ANNUAL INSURANCE PREMI 0.00 191,528.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010921 ANNUAL INSURANCE PREMI 0.00 14,400.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010924 ANNUAL INSURANCE PREMI 0.00 31,200.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 010925 ANNUAL INSURANCE PREMI 0.00 4,800.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 011028 ANNUAL INSURANCE PREMI 0.00 1,600.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 011029 ANNUAL INSURANCE PREMI 0.00 1,600.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 011030 ANNUAL INSURANCE PREMI 0.00 1,700.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 053443 ANNUAL INSURANCE PREMI 0.00 96,000.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 063447 ANNUAL INSURANCE PREMI 0.00 91,200.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 063448 ANNUAL INSURANCE PREMI 0.00 33,600.00 105100 94510 12/19/22 15662 IML RISK MANAGEMENT ASSO 083453 ANNUAL INSURANCE PREMI 0.00 4,800.00 TOTAL CHECK 0.00 479,628.00 105100 94511 12/19/22 15656 JIM JOLLY SALES, INC. 063447 INVOICE #JJS30624 DATE 0.00 650.48 105100 94512 12/19/22 12391 KANE, MCKENNA & ASSOC, I 173454 INV# 19029, 10/31/2022 0.00 131.25 105100 94513 12/19/22 12643 KIMBALL MIDWEST 010924 INVOICE #100465004 DAT 0.00 278.00 105100 94513 12/19/22 12643 KIMBALL MIDWEST 010924 INVOICE #100466174 DAT 0.00 271.60 105100 94513 12/19/22 12643 KIMBALL MIDWEST 010924 INVOICE #100475438 DAT 0.00 224.70 105100 94513 12/19/22 12643 KIMBALL MIDWEST 010924 INVOICE #100497426 DAT 0.00 263.58 TOTAL CHECK 0.00 1,037.88 105100 94514 12/19/22 14376 KLEIN, THORPE & JENKINS, 010207 4999-002 0.00 2,696.20 105100 94514 12/19/22 14376 KLEIN, THORPE & JENKINS, 173454 4999-005 0.00 1,364.75 105100 94514 12/19/22 14376 KLEIN, THORPE & JENKINS, 011028 4999-006 0.00 79.50 105100 94514 12/19/22 14376 KLEIN, THORPE & JENKINS, 011028 4999-007 0.00 291.50 0.00 4,431.95 TOTAL CHECK ===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT --------------' ‘VENDOR---- --------~! DEPT-DIV 2 2 = =-=-= DESCRIPTION------ SALES TAX AMOUNT 105100 94515 12/19/22 14695 LANDSCAPE MATERIAL & FIR 010924 INVOICE #002341 DATED 0.00 723.68 105100 94516 12/19/22 2298 LANGUAGE LINE SERVICES, 010613 INVOICE # 10689669 0.00 720.40 105100 94517 12/19/22 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 6954323-2022 0.00 201.25 105100 94517 12/19/22 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 1088361-2022 0.00 301.55 TOTAL CHECK 0.00 502.80 105100 94518 12/19/22 11273 LIFT WORKS INC. 063448 INVOICE #179710-1 DATE 0.00 1,083.50 105100 94518 12/19/22 11273 LIFT WORKS INC. 063448 INVOICE #179710A-1 DAT 0.00 148.50 TOTAL CHECK 0.00 1,232.00 105100 94519 12/19/22 14295 MACCARB, INC 063448 RESOLUTION NO. 21-R-00 0.00 2,493.75 105100 94520 12/19/22 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 12236 0.00 2,649.50 105100 94520 12/19/22 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 12234 0.00 2,801.25 105100 94520 12/19/22 8248 MARQUARDT & BELMONTE P.C 011029 INV# 12235, 12/1/2022; 0.00 1,134.00 TOTAL CHECK 0.00 6,584.75 105100 94521 12/19/22 12678 MATOCHA ASSOCIATES 083453 RESOLUTION NO. 22-R-00 0.00 7,262.00 105100 94522 12/19/22 13587 MAZZ, INC 010613 INVOICE # 96371 0.00 411.59 105100 94523 12/19/22 231 MC MASTER-CARR SUPPLY CO 063448 INVOICE #86201378 DATE 0.00 303.65 105100 94523 12/19/22 231 MC MASTER-CARR SUPPLY CO 010924 XMAS DECOR 0.00 226.84 TOTAL CHECK 0.00 530.49 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #701823 DATED 0.00 5,367.55 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #702742 DATED 0.00 2,330.74 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #702743 DATED 0.00 2,582.53 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #702877 DATED 0.00 132.05 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #702882 DATED 0.00 1,467.32 105100 94524 12/19/22 5000 MEADE, INC 083453 INVOICE #702883 DATED 0.00 2,624.12 TOTAL CHECK 0.00 14,504.31 105100 94525 12/19/22 6601 MENARDS 010207 INVOICE #62285 DATED 1 0.00 721.13 105100 94525 12/19/22 6601 MENARDS 010921 INVOICE #62528 DATED 1 0.00 585.79 105100 94525 12/19/22 6601 MENARDS 010613 NOV 2022 0.00 266.64 105100 94525 12/19/22 6601 MENARDS 010924 NOV 2022 0.00 1,066.37 105100 94525 12/19/22 6601 MENARDS 010921 NOV 2022 0.00 332.74 105100 94525 12/19/22 6601 MENARDS 010924 NOV 2022 0.00 51.98 105100 94525 12/19/22 6601 MENARDS 010207 NOV 2022 0.00 1,142.08 105100 94525 12/19/22 6601 MENARDS 053443 NOV 2022 0.00 33.47 105100 94525 12/19/22 6601 MENARDS 063447 NOV 2022 0.00 285.17 105100 94525 12/19/22 6601 MENARDS 053443 NOV 2022 0.00 239.22 105100 94525 12/19/22 6601 MENARDS 083453 NOV 2022 0.00 30.88 TOTAL CHECK 0.00 4,755.47 105100 94526 12/19/22 12958 MILAM, RON 010924 REIMBURSEMENT TO RON M 0.00 24.00 105100 94526 12/19/22 12958 MILAM, RON 010924 RIGHTS OF WAY EXAM FEE 0.00 12.00 105100 94526 12/19/22 12958 MILAM, RON 010924 APPLICATOR LICENSE FEE 0.00 60.00 ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: vs DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------- DEPT-DIV = ----- DESCRIPTION------ SALES TAX AMOUNT TOTAL CHECK 0.00 96.00 105100 94527 12/19/22 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 21-R-00 0.00 5,337.19 105100 94527 12/19/22 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 21-R-00 0.00 5,509.50 105100 94527 12/19/22 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 21-R-00 0.00 5,328.35 TOTAL CHECK 0.00 16,175.04 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 010925 NOV 2022 0.00 4.00 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 053443 NOV 2022 0.00 85.43 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 010921 NOV 2022 0.00 116.45 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 063447 NOV 2022 0.00 33.05 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 053443 NOV 2022 0.00 6.63 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 063448 NOV 2022 0.00 61.86 105100 94528 12/19/22 244 MURPHY ACE HARDWARE 2400 010207 NOV 2022 0.00 58.10 TOTAL CHECK 0.00 365.52 105100 94529 12/19/22 14986 NALCO WATER PRETREATMENT 063448 INVOICE #2677166 DATED 0.00 243.13 105100 94530 12/19/22 4735 NAPA AUTO PARTS 053443 797 0.00 294.44 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010925 STOCK 0.00 47.00 105100 94530 12/19/22 4735 NAPA AUTO PARTS 053443 RADIATOR CAP 0.00 5.43 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010925 STOCK 0.00 62.67 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010925 793 0.00 21.96 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010925 333 0.00 112.60 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010924 RUSTPROOF 0.00 171.65 105100 94530 12/19/22 4735 NAPA AUTO PARTS 010925 STOCK 0.00 86.52 105100 94530 12/19/22 4735 NAPA AUTO PARTS 053443 TANK HEATER 0.00 156.01 105100 94530 12/19/22 4735 NAPA AUTO PARTS 053443 LIFT STATION 4 0.00 136.81 TOTAL CHECK 0.00 1,095.09 105100 94531 12/19/22 15625 NAPLETON AUTOWERKS OF ST 010925 INVOICE #443550 DATED 0.00 484.07 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/5-11/3/22 0.00 225.71 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 443.64 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 634.27 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 88.33 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 79.40 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 1,198.43 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 10/4-11/3/22 0.00 139.02 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 053443 11/1-12/2/22 0.00 69.82 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 053443 11/1-12/2/22 0.00 72.91 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 11/3-12/5/22 0.00 836.62 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 11/3-12/5/22 0.00 407.07 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 053443 11/4-12/6/22 0.00 186.09 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 063447 11/3-12/5/22 0.00 208.31 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 11/3-12/5/22 0.00 227.30 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 11/2-12/3/22 0.00 850.62 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 11/3-12/5/22 0.00 201.54 105100 94532 12/19/22 250 NORTHERN ILLINOIS GAS 010921 CREDIT 0.00 -225.71 TOTAL CHECK 0.00 5,643.37 105100 94533 12/19/22 4303 NORTH EAST MULTI-REGIONA 010613 INVOICE # 315259 0.00 800.00 ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 8 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- ---------! DEPT-DIV = = === = DESCRIPTION------ SALES TAX AMOUNT 105100 94534 12/19/22 11024 OLSSON ROOFING COMPANY, 063448 2022 ROOFING INSPECTIO 0.00 900.00 105100 94535 12/19/22 14044 OZINGA READY MIX CONCRET 083453 INVOICE #ARI00502498 D 0.00 790.75 105100 94536 12/19/22 3739 PADDOCK PUBLICATIONS 083453 INVOICE #235438 DATED 0.00 100.05 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE: 1898727858 0.00 37.50 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE # 11014397 0.00 61.31 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE # 10946741 0.00 175.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE # 10757742 0.00 125.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #10805488 0.00 125.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #10818003 0.00 17.60 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #000036 0.00 275.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #000035 0.00 275.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #172A811C-0001 0.00 324.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE #000033 0.00 200.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE# UPV3XUL2MNRJ 0.00 16.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE# UPEPONRNX6QW 0.00 16.00 105100 94537 12/19/22 15518 PECK, DANIEL 010208 INVOICE# UPRGTTFHFPNG 0.00 16.00 TOTAL CHECK 0.00 1,663.41 105100 94538 12/19/22 15470 PEERLESS NETWORK 010210 12/15-1/14/23 0.00 1,166.77 105100 94538 12/19/22 15470 PEERLESS NETWORK 010501 12/15-1/14/23 0.00 191.23 105100 94538 12/19/22 15470 PEERLESS NETWORK 010502 12/15-1/14/23 0.00 410.89 105100 94538 12/19/22 15470 PEERLESS NETWORK 010613 12/15-1/14/23 0.00 4,145.06 105100 94538 12/19/22 15470 PEERLESS NETWORK 010614 12/15-1/14/23 0.00 126.63 105100 94538 12/19/22 15470 PEERLESS NETWORK 010924 12/15-1/14/23 0.00 669.31 105100 94538 12/19/22 15470 PEERLESS NETWORK 011028 12/15-1/14/23 0.00 462.57 105100 94538 12/19/22 15470 PEERLESS NETWORK 011029 12/15-1/14/23 0.00 740.37 105100 94538 12/19/22 15470 PEERLESS NETWORK 011030 12/15-1/14/23 0.00 514.26 105100 94538 12/19/22 15470 PEERLESS NETWORK 053443 12/15-1/14/23 0.00 878.63 105100 94538 12/19/22 15470 PEERLESS NETWORK 063447 12/15-1/14/23 0.00 1,569.90 105100 94538 12/19/22 15470 PEERLESS NETWORK 063448 12/15-1/14/23 0.00 1,466.53 105100 94538 12/19/22 15470 PEERLESS NETWORK 433476 12/15-1/14/23 0.00 90.45 105100 94538 12/19/22 15470 PEERLESS NETWORK 010921 12/15-1/14/23 0.00 488.40 TOTAL CHECK 0.00 12,921.00 105100 94539 12/19/22 12671 PEOPLE MADE VISIBLE, INC 010208 INVOICE #: 17 0.00 6,000.00 105100 94540 12/19/22 15077 PETROCHOICE 010925 INVOICE #51062157 DATE 0.00 1,391.05 105100 94541 12/19/22 13590 PHALEN CONSULTING, INC 011030 NOVEMBER 2022 OPERATIN 0.00 7,350.00 105100 94541 12/19/22 13590 PHALEN CONSULTING, INC 011030 DECEMBER 2022 OPERATIN 0.00 7,350.00 TOTAL CHECK 0.00 14,700.00 105100 94542 12/19/22 14816 PIT STOP 010207 INV# 0005163235, 11/25 0.00 761.52 105100 94543 12/19/22 14172 PLANET DEPOS, LLC 011028 INV# 545911, 12/6/2022 0.00 295.00 105100 94544 12/19/22 3714 POMP'S TIRE SERVICE, INC 010925 796 0.00 274.43 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 14:06: SELECTION CRITERIA: transact.batch=’G452’ 51 ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 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 TOTAL CHECK 94545 94545 94545 94546 94547 94547 94547 94547 94547 94547 94547 94547 94547 94547 94547 94547 94547 94547 94548 94548 94549 94550 94551 94551 94551 94552 94553 94553 94554 94555 94555 94555 94555 94555 94555 ISSUE DT 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 12/19/22 1053 1053 1053 14829 492 492 492 492 492 492 492 492 492 492 492 492 492 492 11970 11970 10927 15658 13908 13908 13908 11440 4774 4774 14324 6029 6029 6029 6029 6029 6029 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND RANDALL PRESSURE SYSTEMS RANDALL PRESSURE SYSTEMS RANDALL PRESSURE SYSTEMS RAPID TRANSPORT TOWING, INC. INC. INC. INC. INC. INC. INC. INC. INC. INC. INC. INC. INC. INC. RAY O/HERRON, RAY O’HERRON, RAY O/HERRON, RAY O/HERRON, RAY O/HERRON, RAY O/HERRON, RAY O/ HERRON, RAY O/HERRON, RAY O/ HERRON, RAY O/ HERRON, RAY O’HERRON, RAY O’HERRON, RAY O/HERRON, RAY O/HERRON, REGIONAL TRUCK EQUIPMENT REGIONAL TRUCK EQUIPMENT ROWELL CHEMICAL CORP. RTO PROPERTY LLC RUSH TRUCK CENTERS OF IL RUSH TRUCK CENTERS OF IL RUSH TRUCK CENTERS OF IL RUSSO POWER EQUIPMENT SAFETY LANE INSPECTIONS, SAFETY LANE INSPECTIONS, SCHROEDER & SCHROEDER, I THE SHERWIN WILLIAMS COM THE SHERWIN WILLIAMS COM THE SHERWIN WILLIAMS COM THE SHERWIN WILLIAMS COM THE SHERWIN WILLIAMS COM THE SHERWIN WILLIAMS COM DEPT-DIV 010925 010925 010925 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010925 010925 063448 28 010925 010925 010925 010925 010925 063447 083453 010207 010207 010207 010207 010207 010207 and transact.check_no between ‘94448’ and ‘94580’ STOCK INVOICE #I-50648-0 DAT CREDIT STOCK INVOICE # 4225 INVOICE # 2235814 INVOICE # 2237039 INVOICE # 2236934 INVOICE # 2236689 INVOICE # 2237588 INVOICE # 2237186 INVOICE # 2237187 INVOICE # 2237189 INVOICE # 2237191 INVOICE # 2237995 INVOICE # 2237994 INVOICE # 2237988 INVOICE # 2237938 INVOICE # 2237996 751 STOCK RESOLUTION NO. 21-R-00 LOI REFUND FOR 253 N O INVOICE #3030251260 DA INVOICE #3030348658 DA INVOICE #3030282894 DA INVOICE #SPI20025891 D INVOICE #22131 DATED 1 UNIT #750 RESOLUTION NO. 22-R-00 INVOICE #1486-6 DATED INV 0757-2 11/15/22 INVOICE #0408-2 DATED INVOICE #0754-9 DATED INV 0756-4 11/15/22 INVOICE #0796-0 DATED SALES TAX oooo SSCCCOCCOROCOOCOO Oo ° .00 -00 .00 -00 -00 -00 .00 00 .00 .00 -00 -00 -00 -00 -00 -00 -00 .00 00 .00 -00 0.00 0.00 ° o e000 ooo COCCD00O oO -00 .00 .00 -00 -00 -00 -00 -00 .00 .00 -00 -00 -00 -00 -00 -00 00 .00 PAGE NUMBER: ACCTPA21 AMOUNT 196. 309. -309. 196. 440. 25. 58. 139. -98 96. 49. 65. 27. 119. 42. 209. 243. 69. -48 224 233 1,605. 8. 19. 28. 6,461. 1,500. 259. 244. 197. 700. 343. 65. 44. 109. 110,231. 1,694. -456. 18. 277. -68. 104. 1,570. 80 80 80 80 00 00 00 99 47 99 99 99 00 00 97 00 99 85 47 92 39 91 00 08 00 82 90 24 50 00 50 50 03 80 00 92 00 96 11 9 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV = =§ ----=! DESCRIPTION------ SALES TAX AMOUNT 105100 94556 12/19/22 12827 SIGN A RAMA 010208 INVOICE: 3467 0.00 45.00 105100 94556 12/19/22 12827 SIGN A RAMA 010208 INVOICE: 3555 0.00 95.34 105100 94556 12/19/22 12827 SIGN A RAMA 010208 INVOICE: 3539 0.00 222.00 TOTAL CHECK 0.00 362.34 105100 94557 12/19/22 13512 SOTO, ROBERTO 28 622 LINCOLN 0.00 2,625.00 105100 94558 12/19/22 15263 STEFAN, NICOLETTE 011030 REIMBURSEMENT FOR PURC 0.00 82.08 105100 94558 12/19/22 15263 STEFAN, NICOLETTE 011030 REIMBURSEMENT FOR PURC 0.00 6.64 105100 94558 12/19/22 15263 STEFAN, NICOLETTE 011030 REIMBURSEMENT FOR PURC 0.00 70.20 TOTAL CHECK 0.00 158.92 105100 94559 12/19/22 1762 SUBURBAN LABORATORIES, I 063447 INVOICE #209185 DATED 0.00 952.05 105100 94560 12/19/22 11730 TECHNIVISTA, INC. 010208 INVOICE# WC221108 0.00 1,417.00 105100 94561 12/19/22 9209 THIRD MILLENNIUM ASSOCIA 053443 UTILITY BILLING PROCES 0.00 595.73 105100 94561 12/19/22 9209 THIRD MILLENNIUM ASSOCIA 063447 UTILITY BILLING PROCES 0.00 595.73 TOTAL CHECK 0.00 1,191.46 105100 94562 12/19/22 12102 THOMAS ENGINEERING GROUP 083453 RESOLUTION NO. 17-R-00 0.00 57,598.58 105100 94562 12/19/22 12102 THOMAS ENGINEERING GROUP 083453 RESOLUTION NO. 21-R-00 0.00 2,662.82 TOTAL CHECK 0.00 60,261.40 105100 94563 12/19/22 14758 THORNTONS 010207 SALES TAX REIMBURSEMEN 0.00 26,425.56 105100 94563 12/19/22 14758 THORNTONS 083453 SALES TAX REIMBURSEMEN 0.00 25,734.13 TOTAL CHECK 0.00 52,159.69 105100 94564 12/19/22 15072 TOSCAS LAW GROUP 010613 STATEMENT DATE: 12 12 0.00 300.00 105100 94565 12/19/22 3349 TRAFFIC CONTROL AND PROT 083453 MISC SIGN 0.00 114.00 105100 94565 12/19/22 3349 TRAFFIC CONTROL AND PROT 083453 INVOICE #113261 DATED 0.00 329.85 105100 94565 12/19/22 3349 TRAFFIC CONTROL AND PROT 083453 INVOICE #113303 DATED 0.00 300.00 TOTAL CHECK 0.00 743.85 105100 94566 12/19/22 2027 TRANS UNION CORPORATION 010613 INVOICE # 11200279 0.00 130.81 105100 94567 12/19/22 1341 TURNER JUNCTION PRINTING 010510 INV 22084 12/1/22 0.00 147.91 105100 94567 12/19/22 1341 TURNER JUNCTION PRINTING 011028 INV 22084 12/1/22 0.00 277.77 105100 94567 12/19/22 1341 TURNER JUNCTION PRINTING 053443 INV 22084 12/1/22 0.00 147.91 105100 94567 12/19/22 1341 TURNER JUNCTION PRINTING 063447 INV 22084 12/1/22 0.00 147.91 TOTAL CHECK 0.00 721.50 105100 94568 12/19/22 14383 ULTRA STROBE COMMUNICATI 010613 INVOICE # 082305 0.00 736.00 105100 94569 12/19/22 4322 US POSTMASTER 010208 WINTER NEWSLLETER POST 0.00 2,500.00 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 063447 BROMOCRESOL 0.00 107.27 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 053443 INVOICE #171038 DATED 0.00 347.46 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 053443 INVOICE #184501 DATED 0.00 514.75 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 063448 RED CUBITAINER 0.00 177.00 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 063448 ERIOCHROME 0.00 113562 ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: may DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:06:51 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G452’ and transact.check_no between ‘94448’ and ‘94580’ ACCOUNTING PERIOD: 12/22 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------- DEPT-DIV ----- DESCRIPTION------ SALES TAX AMOUNT 105100 94570 12/19/22 4406 U.S.A. BLUEBOOK 063448 CREDIT 0.00 -42.16 TOTAL CHECK 0.00 1,217.94 105100 94571 12/19/22 15619 V3 CONSTRUCTION GROUP, L 053440 RESOLUTION NO. 22-R-00 0.00 7,011.00 105100 94572 12/19/22 12077 ROSAURA VALENCIA 010613 INVOICE # 3410183171 0.00 51.52 105100 94573 12/19/22 15659 VASCOR, LTD. 0100 ’ REFUND OF BUSINESS REG 0.00 30.00 105100 94574 12/19/22 4207 VERIZON WIRELESS 053443 12/10-1/9/23 0.00 1,112.42 105100 94575 12/19/22 4207 VERIZON WIRELESS 010613 12/7-1/6/23 0.00 1,541.15 105100 94575 12/19/22 4207 VERIZON WIRELESS 010614 12/7-1/6/23 0.00 76.02 105100 94575 12/19/22 4207 VERIZON WIRELESS 010210 12/7-1/6/23 0.00 38.01 105100 94575 12/19/22 4207 VERIZON WIRELESS 010504 12/7-1/6/23 0.00 38.01 105100 94575 12/19/22 4207 VERIZON WIRELESS 010502 12/7-1/6/23 0.00 38.01 TOTAL CHECK 0.00 1,731.20 105100 94576 12/19/22 4823 WATER PRODUCTS AURORA 063447 INVOICE #0313349 DATED 0.00 1,261.72 105100 94576 12/19/22 4823 WATER PRODUCTS AURORA 053443 INVOICE #0313469 DATED 0.00 300.00 TOTAL CHECK 0.00 1,561.72 105100 94577 12/19/22 3519 WEST CHICAGO LIBRARY DIS 0100 20.8% OF PPRT RECEIVED 0.00 61,651.68 105100 94578 12/19/22 15211 WEST CHICAGO PRINTING 053443 WATER BILLING CARDS 0.00 325.35 105100 94578 12/19/22 15211 WEST CHICAGO PRINTING 063447 WATER BILLING CARDS 0.00 325.35 TOTAL CHECK 0.00 650.70 105100 94579 12/19/22 15222 WETT CAR WASH, LLC 010613 REPORT GENERATED: 10 3 0.00 60.00 105100 94580 12/19/22 15548 WEX BANK 010613 INVOICE # 85588201 0.00 548.26 TOTAL CASH ACCOUNT 0.00 1,124,675.72 TOTAL FUND 0.00 1,124,675.72 0.00 1,124,675.72 TOTAL REPORT ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] 12/15/22 CITY OF WEST CHICAGO PAGE 1 EFT REPORT VOUCHER NUM DATE VENDOR ALT # NAME TCACCOUNT AMOUNT V94492 12/19/2022 15649 FIFTH THIRD BANK 22 0310000027 375.00 TOTAL BANK 47 - FIFTH THIRD BANK 375.00 TOTAL REPORT 375.00 RUN DATE 12/15/22 TIME 13:57:47 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT -----~' TTITLE------ ------------ ‘-VENDOR------------ ol 131100 INVENTORY-DIESEL 15084 GAS DEPOT o1 131200 INVENTORY-GASOLI 15084 GAS DEPOT TOTAL GENERAL FUND 0100 311000 PERS PROP REPL T 3519 WEST CHICAGO LIBRARY 0100 348200 BUSINESS REGISTR 15659 VASCOR, LTD. 0100 352000 ‘CC’ FINES PD AT 15654 DAVIS, WILLIAM C TOTAL GENERAL FUND REVENUES 010110 4012 CORP COUNSEL-SAL 7994 BOND, DICKSON & ASSOC 010110 4100 LEGAL FEES 7994 BOND, DICKSON & ASSOC 010110 4211 PRINTING & BINDI 15549 CIVICPLUS TOTAL CITY COUNCIL-OPERATIONS 010207 4225 OTHER CONTRACTUA 11707 ANDERSON LOCK 010207 4225 OTHER CONTRACTUA 14816 PIT STOP 010207 4225 OTHER CONTRACTUA 15628 CHALLENGE MANAGEMENT 010207 4225 OTHER CONTRACTUA 15628 CHALLENGE MANAGEMENT 010207 4225 OTHER CONTRACTUA 2013 GRAINGER 010207 4225 OTHER CONTRACTUA 244 MURPHY ACE HARDWARE 2 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6029 THE SHERWIN WILLIAMS 010207 4225 OTHER CONTRACTUA 6601 MENARDS 010207 4225 OTHER CONTRACTUA 6601 MENARDS 010207 4236 LAKESHORE RECYCL 13477 ANCEL, GLINK, DIAMOND 010207 4236 LAKESHORE RECYCL 14376 KLEIN, THORPE & JENKI 010207 4236 LAKESHORE RECYCL 15137 APTIM ENVIRONMENTAL& 010207 4375 SALES TAX REBATE 14758 THORNTONS TOTAL CITY ADMIN-SPECIAL PROJ 010208 4107 NEWSLETTER PREPA 4322 US POSTMASTER 010208 4112 MEMBERSHIPS/DUES 15518 PECK, DANIEL 010208 4112 MEMBERSHIPS/DUES 15518 PECK, DANIEL 010208 4112 MEMBERSHIPS/DUES 15518 PECK, DANIEL 010208 4212 ADVERTISING 12827 SIGN A RAMA 010208 4212 ADVERTISING 12827 SIGN A RAMA 010208 4212 ADVERTISING 12827 SIGN A RAMA 010208 4212 ADVERTISING 15518 PECK, DANIEL 010208 4212 ADVERTISING 15518 PECK, DANIEL 010208 4212 ADVERTISING 15518 PECK, DANIEL 010208 4212 ADVERTISING 15518 PECK, DANIEL RUN DATE 12/15/2022 TIME 13:47:54 CASH REQUIREMENTS BILL LIST 00100101-01 00100101-01 00100220-01 00100208-01 00100111-01 00100137-01 00100137-01 00100126-01 00100188-01 00100200-01 00099810-01 00099811-01 00100184-01 00100184-02 00100184-03 00100184-04 00100184-05 00100184-06 00100046-01 00100141-01 00100124-01 00100123-01 00100213-01 00100134-01 00100131-01 00100131-02 00100131-03 00100140-01 00100140-02 00100140-03 00100127-01 00100127-02 00100127-03 00100127-04 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 110119 G452 110118 G452 JULY-DEC 22 G452 BUSINESS REFG452 137000196 G452 NOV 2022 G452 NOV 2022 G452 248372 G452 1108079 G452 0005163235 G452 CG202576 G452 CG202577 G452 9521431958 G452 NOV 2022 G452 1486-6 G452 0408-2 G452 0754-9 G452 0796-0 G452 0757-2 G452 0756-4 G452 NOV 2022 G452 62285 G452 3478113 G452 230102 G452 573622 G452 SALES TAX G452 WINTER 22/23G452 UPV3XUL2MNRJG452 UPEPONRNX6QWG452 UPRGTTFHFPNGG452 3467 G452 3555 G452 3539 G452 11014397 G452 10946741 G452 10757742 G452 10805488 G452 COO G0 G00 0 SSOSDDDDDCDCOGCACCGCCOCGCD Oo ° COCO COCOCCOCO PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/22 SALES TAX 0.00 0. 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 1 AMOUNT 18363 11380 29743 61651. 30. 50. 61731. 250 1680 1598 3528. 1221. -52 .00 1617. +42 -10 +03 -00 277. +96 -80 -00 08 721. 700. -20 -00 -56 761 8993 271 58 1694 18 104 -456 -68 1142 2696 2275 26425 48452 2500 16 222 61 175 125 125. .33 47 -80 68 00 00 68 .00 -00 -99 99 25 00 92 13 00 37 -00 16. 16. 00 45. 95. .00 31 -00 -00 00 00 00 34 00 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’ 20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010208 4212 010208 4212 010208 4212 010208 4212 010208 4212 010208 4212 010208 4225 010208 4225 010208 4600 010208 4600 010208 4628 010208 4646 ADVERTISING ADVERTISING ADVERTISING ADVERTISING ADVERTISING ADVERTISING OTHER CONTRACTUA OTHER CONTRACTUA COMPUTER/OFFICE COMPUTER/OFFICE GALLERY 200 ARTS PROGRAMMING TOTAL CITY ADMIN-MARKET/COMM 010210 4202 010210 4202 010210 4202 010210 4300 TOTAL CITY ADMIN-ADMIN 010501 4053 010501 4100 010501 4108 010501 4202 010501 4202 TOTAL ADMIN SERVICES-HR 010502 4202 010502 4202 010502 4202 010502 4225 TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR IRMA GENERAL INS HEALTH/DENTAL/LI LEGAL FEES EMPLOYMENT EXAMS TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA TOTAL ADMIN SERVICES-ACCTG 010503 4109 TOTAL ADMIN SERVICES-IT 4110 4202 010504 010504 TOTAL ADMIN SERVICES-GIS 010510 4300 010510 4600 010510 4600 NETWORK CHARGES TRAINING & TUITI TELEPHONE & ALAR IRMA GENERAL INS COMPUTER/OFFICE COMPUTER/OFFICE RUN DATE 12/15/2022 TIME 13:47:54 15518 15518 15518 15518 15518 15587 11730 11977 15559 15559 12671 15518 15470 15657 4207 15662 11307 7994 13783 15470 15657 15470 15657 4207 14755 13257 9904 4207 15662 12617 1341 ---VENDOR----. PECK, DANIEL PECK, DANIEL PECK, DANIEL PECK, DANIEL PECK, DANIEL GIOVANNI ARELLANO DBA TECHNIVISTA, INC. MERLE BURLEIGH AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC PEOPLE MADE VISIBLE, PECK, DANIEL PEERLESS NETWORK FIRST COMMUNICATIONS, VERIZON WIRELESS IML RISK MANAGEMENT A HEALTHSMART BOND, DICKSON & ASSOC CONRAD POLYGRAPH, INC PEERLESS NETWORK FIRST COMMUNICATIONS, PEERLESS NETWORK FIRST COMMUNICATIONS, VERIZON WIRELESS GOVTEMPSUSA COMCAST CABLE VICTORIA HYNES VERIZON WIRELESS IML RISK MANAGEMENT A ACCURATE OFFICE SUPPL TURNER JUNCTION PRINT CASH REQUIREMENTS BILL LIST 0.’S 00100127-05 00100128-01 00100129-01 00100130-01 00100138-01 00100133-01 00100135-01 00097867-01 00100136-01 00100136-02 00100132-01 00100139-01 00100219-01 00099344-01 00100137-01 00100122-01 00100142-01 00100212-01 00100219-01 00100105-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 10818003 G452 000035 G452 172A811C-000G452 000033 G452 000036 G452 47 G452 WC221108 G452 DEC 2022 G452 114QNCLDKCTCG452 1QJJ1NTH6FYQG452 17 G452 1898727858 G452 1210244 G452 00116020 G452 980505522-00G452 23 PREMIUM G452 F1122032 G452 NOV 2022 G452 5295 G452 1210244 G452 00116020 G452 1210244 G452 00116020 G452 980505522-00G452 4087205 G452 877120038038G452 ESRI MIDWESTG452 980505522-00G452 23 PREMIUM G452 NOV 2022 G452 22084 G452 29000 09 GDODDDDOCGCOODO o 90000 0 o Oo SeC00 000 0 CO oO PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12 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 2 /22 AMOUNT 17. 275. 324. 200. 275. 100. 1417. 950. 88 40. 6000 37. 13121. 1166. S70. 38. 3600. 5382. 110. 336 360 191. 94. 1092. 410. 203 38. 687. 1339. 469 469. 349. 38. 387. 3600 108. 147. 60 00 00 00 00 00 00 00 - 86 27 -00 50 88 77 45 01 00 23 50 -00 00 23 64 37 89 235 ol 47 72 +90 90 00 01 o1 -00 62 91 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 12/15/22 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV TOTAL ADMIN SERVICES-ADMIN 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 4100 4100 4100 4100 4110 4110 4110 4110 4111 4202 4202 4202 4216 4225 4225 4225 4225 4225 4225 4231 4300 4423 4502 4600 4607 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4615 4640 4650 4650 4650 4650 LEGAL FEES LEGAL FEES LEGAL FEES LEGAL FEES TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI OFFICER TRAINING TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR GROUNDS MAINTENA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA RECEPTION SUPPOR IRMA GENERAL INS RADIO/RADAR EQUI COPIER FEES COMPUTER/OFFICE GAS & OIL UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/ SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY CRIME PREVENTION MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO RUN DATE 12/15/2022 TIME 13:47:54 15072 7994 8248 8248 11973 15653 3223 4303 12076 15470 15657 2298 12131 10042 10042 15636 2027 4207 871 12365 15662 14383 14784 15559 15548 13587 492 492 492 492 492 492 492 492 492 492 492 492 492 492 12077 14829 15222 2390 6601 TOSCAS LAW GROUP BOND, DICKSON & ASSOC MARQUARDT & BELMONTE MARQUARDT & BELMONTE ILLINOIS TACTICAL OFF BLUE TO GOLD, LLC. COLLEGE OF DUPAGE NORTH EAST MULTI-REGI ARMS, ROBYN PEERLESS NETWORK FIRST COMMUNICATIONS, LANGUAGE LINE SERVICE CLASSIC LANDSCAPE, LT LEXISNEXIS RISK DATA LEXISNEXIS RISK DATA CENTENNIAL COUSELING TRANS UNION CORPORATI VERIZON WIRELESS DUPAGE COUNTY ANIMAL ANDY FRAIN SERVICES IML RISK MANAGEMENT A ULTRA STROBE COMMUNIC BRADEN BUSINESS SYSTE AMAZON CAPITAL SERVIC WEX BANK MAZZ, INC RAY O’HERRON, INC. RAY O’HERRON, INC. RAY O'HERRON, INC. RAY O'HERRON, INC. RAY O’HERRON, INC. RAY O'HERRON, INC. RAY O’HERRON, INC. RAY O'HERRON, INC. RAY O'HERRON, INC. RAY O'HERRON, INC. RAY O’HERRON, INC. RAY O'HERRON, INC. RAY O'HERRON, INC. RAY O’'HERRON, INC. ROSAURA VALENCIA RAPID TRANSPORT TOWIN WETT CAR WASH, LLC DELUXE TOWING MENARDS CASH REQUIREMENTS BILL LIST 00100183-01 00100137-01 00100169-01 00100169-02 00100113-01 00100107-01 00100173-01 00100106-01 00100216-01 00100108-01 00098350-01 00100118-01 00100167-01 00100116-01 00100112-01 00100114-01 00100119-01 00100219-01 00100115-01 00100109-01 00100168-01 00100100-01 00100171-01 00100099-01 00100110-01 00100110-02 00100110-03 00100117-01 00100117-02 00100117-03 00100117-04 00100170-01 00100182-01 00100182-02 00100182-03 00100182-04 00100182-05 00100172-01 00100214-01 00100104-01 00100120-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH RED LIGHTS G452 NOV 2022 G452 12236 G452 12234 G452 03486 G452 LOM231IGS0008G452 14647 G452 315259 G452 SPECIAL EVENG452 1210244 G452 00116020 G452 10689669 G452 160068 G452 1088361-2022G452 6954323-2022G452 4 SESSIONS G452 11200279 G452 980505522-00G452 17937 G452 330233 G452 23 PREMIUM G452 082305 G452 822422 G452 1LYVKXLY7CX7G452 85588201 G452 96371 G452 2235814 G452 2237039 G452 2236934 G452 2236689 G452 2237186 G452 2237187 G452 2237189 G452 2237191 G452 2237588 G452 2237995 G452 2237994 G452 2237988 G452 2237938 G452 2237996 G452 3410183171 G452 4225 G452 OCT 2022 G452 94408 G452 NOV 2022 G452 ° SSSSTSOSDSDDDDDODDDDDDDDDD DODO OCOCO OOOO OOOO COO OCOOCCOOO 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 -00 -00 .00 3 12/22 AMOUNT 3856.53 300.00 651.00 2649.50 2801.25 130.00 495.00 3735.60 800.00 585.27 4145.06 2051.44 720.40 140.00 301.55 201.25 600.00 130.81 1541.15 75.00 7282.80 191528.00 736.00 63.00 19.30 548.26 411.59 25.00 58.00 139.99 224.98 49.99 65.99 27.99 119.00 96.47 42.00 209.97 243.00 69.99 233.48 $1.52 440.00 60.00 150.00 266.64 ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 PAGE NUMBER: 4 CITY OF WEST CHICAGO ACCTPAY1 SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV TOTAL POLICE-OPERATIONS 010614 4202 TELEPHONE & ALAR 010614 4202 TELEPHONE & ALAR 010614 4225 OTHER CONTRACTUA TOTAL POLICE-ESDA 010921 4202 TELEPHONE & ALAR 010921 4202 TELEPHONE & ALAR 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4203 HEATING GAS 010921 4216 GROUNDS MAINTENA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4225 OTHER CONTRACTUA 010921 4300 IRMA GENERAL INS 010921 4615 UNIFORMS/SAFETY 010921 4615 UNIFORMS/SAFETY 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO 010921 4650 MISCELLANEOUS CO TOTAL PUBLIC WORKS-MUN PROP 010923 4216 GROUNDS MAINTENA RUN DATE 12/15/2022 TIME 13:47:54 15470 15657 4207 15470 15657 250 250 250 250 250 250 250 250 250 250 250 250 250 12131 12380 12380 12380 12380 12380 12380 12380 12380 12668 6162 15662 15283 15283 13021 15559 2013 2013 2013 244 6601 6601 1843 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/22 INVOICE BATCH SALES TAX AMOUNT 0.00 225217.24 PEERLESS NETWORK 1210244 G452 0.00 126.63 FIRST COMMUNICATIONS, 00116020 G452 0.00 62.67 VERIZON WIRELESS 980505522-00G452 0.00 76.02 0.00 265.32 PEERLESS NETWORK 1210244 G452 0.00 488.40 FIRST COMMUNICATIONS, 00116020 G452 0.00 241.72 NORTHERN ILLINOIS GAS 90438546419 G452 0.00 836.62 NORTHERN ILLINOIS GAS 90929110006 G452 0.00 407.07 NORTHERN ILLINOIS GAS 98305797148 G452 0.00 225.71 NORTHERN ILLINOIS GAS 70273900004 G452 0.00 443.64 NORTHERN ILLINOIS GAS 29768238163 G452 0.00 634.27 NORTHERN ILLINOIS GAS 67002015880 G452 0.00 88.33 NORTHERN ILLINOIS GAS 79729110001 G452 0.00 79.40 NORTHERN ILLINOIS GAS 94708900009 G452 0.00 1198 .43 NORTHERN ILLINOIS GAS 15936245792 G452 0.00 139.02 NORTHERN ILLINOIS GAS 26355600334 G452 0.00 227.30 NORTHERN ILLINOIS GAS 04739367748 G452 0.00 850.62 NORTHERN ILLINOIS GAS 70711556723 G452 0.00 201.54 NORTHERN ILLINOIS GAS 98305797148 G452 0.00 -225.71 CLASSIC LANDSCAPE, LT 00098350-01 160068 G452 0.00 625.00 CINTAS CORPORATION 00097978-02 4137681982 G452 0.00 13.65 CINTAS CORPORATION 00097978-02 4139019431 G452 0.00 13.65 CINTAS CORPORATION 00097978-03 4139019485 G452 0.00 12.05 CINTAS CORPORATION 00097978-03 4137681939 G452 0.00 12.05 CINTAS CORPORATION 00097978-04 4137681941 G452 0.00 18.20 CINTAS CORPORATION 00097978-04 4139019464 G452 0.00 18.20 CINTAS CORPORATION 00097978-05 4139019484 G452 0.00 12.80 CINTAS CORPORATION 00097978-05 4137681956 G452 0.00 12.80 ARCO MECHANICAL EQUIP 00100148-01 20566 G452 0.00 525.00 OFFICE OF THE STATE F 00100162-01 9670850 G452 0.00 280.00 IML RISK MANAGEMENT A 00100219-01 23 PREMIUM G452 0.00 14400.00 BRAND IT ON APPAREL C 00099105-01 1458 G452 0.00 194.00 BRAND IT ON APPAREL C 00099106-01 1458 G452 0.00 200.00 CASE LOTS, INC 00100178-01 14810 G452 0.00 439.00 AMAZON CAPITAL SERVIC 00100181-02 1HX39MHRFPR9G452 0.00 161.83 GRAINGER 9505768243 G452 0.00 285.34 GRAINGER 9508882579 G452 0.00 150.16 GRAINGER 9505768227 G452 0.00 104.76 MURPHY ACE HARDWARE 2 NOV 2022 G452 0.00 116.45 MENARDS NOV 2022 G452 0.00 332.74 MENARDS 00100177-01 62528 G452 0.00 585.79 0.00 24349.83 CEMETERY MANAGEMENT, 00098103-01 00-19379 G452 0.00 2450.00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 12/15/22 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’ 20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010923 010923 ACCOUNT 4216 4216 GROUNDS MAINTENA GROUNDS MAINTENA TOTAL PUBLIC WORKS-CEMETERIES 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 010924 TOTAL PUBLIC WORKS-R & B 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 010925 4110 4110 4110 4110 4110 4110 4202 4202 4300 4600 4604 4615 4615 4650 4650 4650 4650 4650 4650 4650 4650 4650 4650 4650 4650 4300 4400 4400 4400 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 4603 TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TELEPHONE & ALAR TELEPHONE & ALAR IRMA GENERAL INS COMPUTER/OFFICE TOOLS & EQUIPMEN UNIFORMS/SAFETY UNIFORMS/SAFETY MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO IRMA GENERAL INS 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 12/15/2022 TIME 13:47:54 1843 1843 12958 12958 12958 15102 15102 15102 15470 15657 15662 6441 6601 15283 15283 12643 12643 12643 12643 14695 231 362 362 362 362 4735 6601 15662 14896 3714 4774 1053 1053 1053 11440 11970 11970 13908 13908 13908 15077 15625 244 CEMETERY MANAGEMENT, CEMETERY MANAGEMENT, MILAM, RON MILAM, RON MILAM, RON DAY, KIEL DAY, KIEL DAY, KIEL PEERLESS NETWORK FIRST COMMUNICATIONS, IML RISK MANAGEMENT A CANON BUSINESS SOLUTI MENARDS BRAND IT ON APPAREL C BRAND IT ON APPAREL C KIMBALL MIDWEST KIMBALL MIDWEST KIMBALL MIDWEST KIMBALL MIDWEST LANDSCAPE MATERIAL & MC MASTER-CARR SUPPLY 1ST AYD CORPORATION 1ST AYD CORPORATION 1ST AYD CORPORATION 1ST AYD CORPORATION NAPA AUTO PARTS MENARDS IML RISK MANAGEMENT A AURORA TRUCK CENTER POMP’S TIRE SERVICE, SAFETY LANE INSPECTIO RANDALL PRESSURE SYST RANDALL PRESSURE SYST RANDALL PRESSURE SYST RUSSO POWER EQUIPMENT REGIONAL TRUCK EQUIPM REGIONAL TRUCK EQUIPM RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF PETROCHOICE NAPLETON AUTOWERKS OF MURPHY ACE HARDWARE 2 CASH REQUIREMENTS BILL LIST 00098103-01 00098103-01 00099666-01 00099666-02 00099666-03 00099559-01 00099559-02 00099559-03 00100219-01 00100175-01 00099105-01 00099106-01 00100179-01 00100179-02 00100179-03 00100179-04 00100144-01 00100219-01 00100149-01 00100192-01 00100152-01 00100191-01 00100166-01 00100196-01 00100196-02 00100190-01 00100150-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 00-19399 G452 00-19402 G452 REIMBURSEMENG4 52 REIMBURSEMENG452 REIMBURSEMENG452 REIMBURSEMENG4 52 REIMBURSEMENG4 52 REIMBURSEMENG4 52 1210244 G452 00116020 G452 23 PREMIUM G452 6002265815 G452 NOV 2022 G452 1458 G452 1458 G452 100465004 G452 100466174 G452 100475438 G452 100497426 G452 002341 G452 88611917 G452 PSI574504 G452 PS1I574505 G452 PSI574506 G452 PSI574507 G452 4496-198441 G452 NOV 2022 G452 23 PREMIUM G452 247232 G452 2130000666 G452 22131 G452 I-50647-0 G452 I-50736-0 G452 I-50648-0 G452 SPI20025891 G452 275176 G452 275177 G452 3030251260 G452 3030348658 G452 3030282894 G452 51062157 G452 443550 G452 NOV 2022 G452 SSOKDDDDDDDCODDCOOODOOCOOO0O000 oO oo SSSDDDDDDOCOCOOCOGCDO 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 -00 -00 .00 .00 00 -00 -00 .00 00 -00 -00 .00 00 .00 .00 5 12/22 AMOUNT 1225 1200. 4875. 24. 00 60. -00 24. 4s. 669. 331. 31200. 12 45 152 51 568 278 271 224 263 286 290 171 1066 38325. 4800. 145. 43 -50 -80 -309. 309. 24 «47 ASP 259. -00 97% -05 -07 -00 274 65 196 343 244 1391 484 00 00 00 00 00 00 00 31 25 00 -40 98 770. +25 -00 -60 -70 -58 723. 226. -52 -36 297. 270. -65 oct) 00 68 84 74 93 16 00 00 80 80 92 08 82 ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4603 010925 4615 010925 4615 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 PARTS FOR VEHICL UNIFORMS/SAFETY UNIFORMS/SAFETY TOTAL PUBLIC WORKS-MAINT GAR 010926 4210 TOTAL MOTOR FUEL TAX 011028 4100 011028 4100 011028 4100 011028 4202 011028 4202 011028 4223 011028 4300 011028 4600 011028 4600 011028 4600 TOTAL COM DEV-PLANNING 011029 4100 011029 4100 011029 4113 011029 4120 011029 4202 011029 4202 011029 4222 011029 4300 011029 4802 REFUSE DISPOSAL LEGAL FEES LEGAL FEES LEGAL FEES TELEPHONE & ALAR TELEPHONE & ALAR LEGAL REPORTER F IRMA GENERAL INS COMPUTER/OFFICE COMPUTER/OFFICE COMPUTER/OFFICE LEGAL FEES LEGAL FEES ENFORCEMENT & IN PLAN REVIEW TELEPHONE & ALAR TELEPHONE & ALAR FILING FEES IRMA GENERAL INS OFFICE EQUIPMENT TOTAL COM DEV-BUILDING & CODE 4202 4202 011030 011030 TELEPHONE & ALAR TELEPHONE & ALAR RUN DATE 12/15/2022 TIME 13:47:54 4392 4554 4735 4735 4735 4735 4735 5384 561 561 561 561 561 15283 15283 11471 14376 14376 7994 15470 15657 14172 15662 12617 1341 15559 7994 8248 1800 1800 15470 15657 554 15662 5050 15470 15657 --VENDOR--—. BONNELL INDUSTRIES FLEET SAFETY SUPPLY NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS AIRGAS USA, LLC HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD BRAND IT ON APPAREL C BRAND IT ON APPAREL C GROOT INDUSTRIES, INC KLEIN, THORPE & JENKI KLEIN, THORPE & JENKI BOND, DICKSON & ASSOC PEERLESS NETWORK FIRST COMMUNICATIONS, PLANET DEPOS, LLC IML RISK MANAGEMENT A ACCURATE OFFICE SUPPL TURNER JUNCTION PRINT AMAZON CAPITAL SERVIC BOND, DICKSON & ASSOC MARQUARDT & BELMONTE B & F CONSTRUCTION CO B & F CONSTRUCTION CO PEERLESS NETWORK FIRST COMMUNICATIONS, DUPAGE COUNTY RECORDE IML RISK MANAGEMENT A GORDON FLESCH COMPANY PEERLESS NETWORK FIRST COMMUNICATIONS, CASH REQUIREMENTS BILL LIST P.O.’S 00100189-01 00100151-01 00100153-01 00099105-01 00099106-01 00097958-01 00100124-03 00100124-04 00100137-01 00100199-01 00100219-01 00100105-01 00100203-01 00100137-01 00100202-01 00100204-01 00100205-01 00100219-01 00100201-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 0207158-IN G452 80019 G452 4496-198464 G452 4496-197823 G452 4496-197957 G452 4496-197246 G452 4496-197783 G452 9992273557 G452 10328 G452 10323 G452 10311 G452 52680 G452 10309 G452 1458 G452 1458 G452 1591 G452 230104 G452 230105 G452 NOV 2022 G452 1210244 G452 00116020 G452 545911 G452 23 PREMIUM G452 NOV 2022 G452 22084 G452 1YT3 94WR1HH4G452 NOV 2022 G452 12235 G452 60574 G452 60547 G452 1210244 G452 00116020 G452 NOV 2022 G452 23 PREMIUM G452 IN13957578 G452 1210244 G452 00116020 G452 Co 09 09 GBAOR0DR0DRDDeCOOCCOOOO oO SCORD00D00D00R0 GG CODD CCCOC0O 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 -00 00 -00 .00 -00 .00 -00 -00 -00 -00 -00 6 12/22 AMOUNT 2072 62 180 196 176 146 179 12908. 136 136. th}5 291. 1475. 57 228. 295. -00 Eoo) 277. 59. 462 1600 310 5080 84 1134 14806 175 740 366 20707. 514 254 -89 565. 86. 21. 112. 47. 67 -66 -68 -94 -96 -95 98. 409. LE 31 52 96 60 00 40 50 00 42 -00 00 50 50 14 93 00 77 98 98 -00 -00 .25 -00 37 42 1276. 1600. 52s. 00 00 00 04 +26 ~52 ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:47:53 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/22 SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV INVOICE BATCH SALES TAX AMOUNT 011030 4225 OTHER CONTRACTUA 13590 PHALEN CONSULTING, IN 00100198-01 117 G452 0.00 7350.00 011030 4225 OTHER CONTRACTUA 13590 PHALEN CONSULTING, IN 00100198-02 118 G452 0.00 7350.00 011030 4300 IRMA GENERAL INS 15662 IML RISK MANAGEMENT A 00100219-01 23 PREMIUM G452 0.00 1700.00 011030 4502 COPIER FEES 14784 BRADEN BUSINESS SYSTE 00100210-01 824358 G452 0.00 52.00 011030 4680 SPECIAL EVENTS 15263 STEFAN, NICOLETTE 00100211-01 FROSTY FEST G452 0.00 82.08 011030 4680 SPECIAL EVENTS 15263 STEFAN, NICOLETTE 00100211-02 FROSTY FEST G452 0.00 6.64 011030 4680 SPECIAL EVENTS 15263 STEFAN, NICOLETTE 00100211-03 FROSTY FEST G452 0.00 70.20 011030 4680 SPECIAL EVENTS 15660 GINKGO CHALK 00100209-01 112204 G452 0.00 105.00 TOTAL COM DEV-MUSEUM 0.00 17484.69 0.00 518456.16 TOTAL FUND RUN DATE 12/15/2022 TIME 13:47:54 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: ab DATE: 12/07/22 CITY OF WEST CHICAGO ACCTPA21 TIME: 12:43:29 CHECK REGISTER - BY FUND SELECTION CRITERIA: transact.check_no=' 94448’ ACCOUNTING PERIOD: 12/22 FUND - 01 - GENERAL FUND CASH ACCT CHECK NO ISSUE DT ----------- ‘VENDOR----------~- DEPT-DIV ACCNT ----DESCRIPTION---- SALES TAX AMOUNT 105100 94448 12/07/22 15655 CHICAGO MOTORS, INC 010613 4644 BILL OF SALE # 1221 0.00 34,000.00 TOTAL CASH ACCOUNT 0.00 34,000.00 TOTAL FUND 0.00 34,000.00 TOTAL REPORT 0.00 34,000.00 ===== PDF PAGE 22 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000' PAYMENT TYPE: ALL FUND - 05 - SEWER FUND DEPT-DIV ACCOUNT 053440 4204 053440 4216 053440 4806 TOTAL SEWER-SSA#2 053443 4202 053443 4202 053443 4202 053443 4203 053443 4203 053443 4203 053443 4204 053443 4216 053443 4225 053443 4225 053443 4300 053443 4600 053443 4600 053443 4603 053443 4603 053443 4603 053443 4603 053443 4604 053443 4604 053443 4626 053443 4630 053443 4630 053443 4630 053443 4630 053443 4630 053443 4630 053443 4639 053443 4639 053443 4639 053443 4650 053443 4650 053443 4650 053443 4650 ELECTRIC GROUNDS MAINTENA OTHER CAPITAL OU TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR HEATING GAS HEATING GAS HEATING GAS ELECTRIC GROUNDS MAINTENA OTHER CONTRACTUA OTHER CONTRACTUA IRMA GENERAL INS COMPUTER/OFFICE COMPUTER/OFFICE PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL TOOLS & EQUIPMEN TOOLS & EQUIPMEN CHEMICALS PARTS-LIFT STATI PARTS-LIFT STATI PARTS-LIFT STATI PARTS-LIFT STATI PARTS-LIFT STATI PARTS-LIFT STATI PARTS-MAINS PARTS-MAINS PARTS-MAINS MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TOTAL SEWER-SANITARY COLLECTION TOTAL FUND RUN DATE 12/15/2022 TIME 13:47:54 15470 15657 4207 250 250 250 11805 12131 14755 9209 15662 12617 1341 3829 3829 3829 4735 4406 4823 14969 244 4406 4735 4735 4735 6626 2810 2810 6601 15211 2013 244 6601 CONSTELLATION NEWENER CLASSIC LANDSCAPE, LT V3 CONSTRUCTION GROUP PEERLESS NETWORK FIRST COMMUNICATIONS, VERIZON WIRELESS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS CONSTELLATION NEWENER CLASSIC LANDSCAPE, LT GOVTEMPSUSA THIRD MILLENNIUM ASSO IML RISK MANAGEMENT A ACCURATE OFFICE SUPPL TURNER JUNCTION PRINT ATLAS BOBCAT, INC. ATLAS BOBCAT, INC. ATLAS BOBCAT, INC. NAPA AUTO PARTS U.S.A. BLUEBOOK WATER PRODUCTS AURORA AQUAFIX MURPHY ACE HARDWARE 2 U.S.A. BLUEBOOK NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS ALTORFER INDUSTRIES, CORE & MAIN, LP CORE & MAIN, LP MENARDS WEST CHICAGO PRINTING GRAINGER MURPHY ACE HARDWARE 2 MENARDS CASH REQUIREMENTS BILL LIST P.0.'S 00098350-01 00099640-01 00098350-01 00100142-01 00100218-01 00100219-01 00100105-01 00100197-01 00100197-02 00100197-03 00100174-01 00100187-01 00100161-01 00100174-02 00100158-01 00100180-01 00100180-02 00100215-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 201384589-84G452 160068 G452 2 G452 1210244 G452 00116020 G452 342030672-00G452 39388900001 G452 75591010006 G452 75949900007 G452 201384589-84G452 160068 G452 4087205 G452 28464 G452 23 PREMIUM G452 NOV 2022 G452 22084 G452 BT9645 G452 BT9671 G452 BT9642 G452 4496-197078 G452 171038 G452 0313469 G452 IN004550 G452 NOV 2022 G452 184501 G452 4496-197735 G452 4496-198723 G452 4496-198858 G452 P6AC0051277 G452 R63464 G452 R975349 G452 NOV 2022 G452 PGM-14682 G452 9517959764 G452 NOV 2022 G452 NOV 2022 G452 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/22 SALES TAX 0.00 0.00 0.00 0.00 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 SSOSDSTDDDDDDDDDODODODOD OOO COCO OOCOOD ° -00 0.00 8 AMOUNT 295.63 260.00 7011.00 7566.63 878.63 434.84 1112.42 69.82 72.91 186.09 1897.02 580.00 687.47 595.73 96000.00 108.94 147.91 345.76 127.17 136.23 294.44 347.46 300.00 1996.89 6.63 514.75 5.43 156.01 136.81 133/017 362.00 603.80 239.22 325.35 173.08 85.43 33.47 109094.88 116661.51 ===== PDF PAGE 23 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’ 20221219 00:00:00.000' PAYMENT TYPE: ALL 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 4202 4202 4203 4204 4207 4211 4216 4225 4225 4300 4400 4418 4420 4600 4600 4615 4615 4620 4621 4622 4625 4650 4650 TELEPHONE & ALAR TELEPHONE & ALAR HEATING GAS ELECTRIC LAB SERVICES PRINTING & BINDI GROUNDS MAINTENA OTHER CONTRACTUA OTHER CONTRACTUA IRMA GENERAL INS VEHICLE REPAIR DISTRIB SYSTEM R PUMP STATION REP COMPUTER/OFFICE COMPUTER/OFFICE UNIFORMS/SAFETY UNIFORMS/SAFETY PARTS & EQUIPMEN PARTS & EQUIPMEN PARTS & EQUIP-PU LAB SUPPLIES MISCELLANEOUS CO MISCELLANEOUS CO TOTAL WATER-PRODUCTION/DIST 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 063448 4202 4202 4204 4216 4225 4225 4300 4401 4502 4503 4503 4600 4615 4615 4625 4625 4625 4625 4626 4626 4626 4626 4626 TELEPHONE & ALAR TELEPHONE & ALAR ELECTRIC GROUNDS MAINTENA OTHER CONTRACTUA OTHER CONTRACTUA IRMA GENERAL INS BUILDING REPAIR COPIER FEES EQUIPMENT RENTAL EQUIPMENT RENTAL COMPUTER/OFFICE UNIFORMS/SAFETY UNIFORMS/SAFETY LAB SUPPLIES LAB SUPPLIES LAB SUPPLIES LAB SUPPLIES CHEMICALS CHEMICALS CHEMICALS CHEMICALS CHEMICALS RUN DATE 12/15/2022 TIME 13:47:54 15470 15657 250 11805 1762 15211 12131 14755 9209 15662 4774 14509 3491 12617 1341 15283 15283 6626 4823 15656 4406 244 6601 15470 15657 11805 121321 11546 12380 15662 11024 6441 11273 11273 15559 15283 15283 14986 4406 4406 4406 10925 10925 10925 10927 14295 PEERLESS NETWORK FIRST COMMUNICATIONS, NORTHERN ILLINOIS GAS CONSTELLATION NEWENER SUBURBAN LABORATORIES WEST CHICAGO PRINTING CLASSIC LANDSCAPE, LT GOVTEMPSUSA THIRD MILLENNIUM ASSO IML RISK MANAGEMENT A SAFETY LANE INSPECTIO G SNOW & SONS FLOLO CORPORATION ACCURATE OFFICE SUPPL TURNER JUNCTION PRINT BRAND IT ON APPAREL C BRAND IT ON APPAREL C ALTORFER INDUSTRIES, WATER PRODUCTS AURORA JIM JOLLY SALES, INC. U.S.A. BLUEBOOK MURPHY ACE HARDWARE 2 MENARDS PEERLESS NETWORK FIRST COMMUNICATIONS, CONSTELLATION NEWENER CLASSIC LANDSCAPE, LT ALL TYPES ELEVATORS, CINTAS CORPORATION IML RISK MANAGEMENT A OLSSON ROOFING COMPAN CANON BUSINESS SOLUTI LIFT WORKS INC. LIFT WORKS INC. AMAZON CAPITAL SERVIC BRAND IT ON APPAREL C BRAND IT ON APPAREL C NALCO WATER PRETREATM U.S.A. BLUEBOOK U.S.A. BLUEBOOK U.S.A. BLUEBOOK MISSISSIPPI LIME COMP MISSISSIPPI LIME COMP MISSISSIPPI LIME COMP ROWELL CHEMICAL CORP. MACCARB, INC CASH REQUIREMENTS BILL LIST 00100165-01 00100215-01 00098350-01 00100142-01 00100218-01 00100219-01 00100192-02 00100160-01 00100159-01 00100105-01 00099105-01 00099106-01 00100158-02 00100157-01 00100146-01 00098350-01 00100194-01 00097978-01 00100219-01 00099775-01 00100186-01 00100154-01 00100195-01 00100181-01 00099105-01 00099106-01 00100155-01 00097840-01 00097840-01 00097840-01 00097841-01 00097839-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 1210244 G452 00116020 G452 14656900009 G452 201384589-84G452 209185 G452 PGM-14682 G452 160068 G452 4087205 G452 28464 G452 23 PREMIUM G452 22131 G452 12217 G452 103090 G452 NOV 2022 G452 22084 G452 1458 G452 1458 G452 P6AR0002749 G452 0313349 G452 JIS30624 G452 173610 G452 NOV 2022 G452 NOV 2022 G452 1210244 G452 00116020 G452 201384589-84G452 160068 G452 20113739 G452 413694248 G452 23 PREMIUM G452 22003348 G452 6002584762 G452 179710-1 G452 179710A-1 G452 1TTJPNTP3QLXG452 1458 G452 1458 G452 2677166 G452 179613 G452 181131 G452 180330 G452 1643278 G452 1644432 G452 1645809 G452 1378164 G452 INV105023 G452 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/22 SALES TAX 0.00 0.00 -00 00 00 .00 -00 -00 -00 -00 -00 .00 -00 -00 .00 -00 -00 -00 -00 -00 -00 -00 -00 SODDDDCDOODCOCOOCOOOCCOCD -00 .00 -00 -00 00 00 00 -00 -00 -00 -00 -00 -00 -00 -00 00 -00 -00 -00 -00 -00 -00 -00 -00 SSSOSDSCDCDDDODDOCOCCCOOCOO0NDO oOo 9 AMOUNT 1569.90 776.96 208.31 15388.88 952.05 325.35 1120.00 687.47 595.73 91200.00 44.00 4300.00 5520.00 108.62 147.91 424.00 363.00 -12.34 1261.72 650.48 107.27 33.05 285.17 126057.53 1466.53 725.82 5416.90 905.00 198.00 15.25 33600.00 900.00 104.03 1083.50 148.50 74.80 63.00 85.50 243.13 177.00 113.62 -42.16 5337.19 5509.50 5328.35 6461.91 2493.75 ===== PDF PAGE 24 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13: 47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 06 - WATER FUND DEPT-DIV 063448 063448 063448 063448 063448 4626 4642 4642 4650 4650 socco' TITLE------ ------------VENDOR------------ CHEMICALS 1914 PARTS - WTP OPER 231 PARTS - WTP OPER 3491 FLOLO CORPORATION MISCELLANEOUS CO 15649 FIFTH THIRD BANK MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 TOTAL WATER-TREATMENT PLANT OP TOTAL FUND RUN DATE 12/15/2022 TIME 13:47:54 CASH REQUIREMENTS BILL LIST P.0.'S INVOICE ALEXANDER CHEMICAL CO 00100145-01 56687 MC MASTER-CARR SUPPLY 00100164-01 86201378 00100193-01 456155 00100147-01 5181 NOV 2022 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM BATCH G452 G452 G452 G452 G452 coooo oo PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/22 SALES TAX -00 .00 00 .00 -00 00 -00 10 AMOUNT 600.00 303.65 156.47 375.00 61.86 71906.10 197963 .63 ===== PDF PAGE 25 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13:47:53 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’20221219 00:00:00.000' PAYMENT TYPE: ALL FUND - 08 - CAPITAL PROJECTS FUND DEPT-DIV ACCOUNT 083453 4100 083453 4225 083453 4225 083453 4227 083453 4227 083453 4227 083453 4227 083453 4227 083453 4227 083453 4300 083453 4375 083453 4643 083453 4643 083453 4672 083453 4807 083453 4807 083453 4818 083453 4842 083453 4863 083453 4871 083453 4872 083453 4872 083453 4872 TOTAL CAPITAL PROJECTS TOTAL FUND LEGAL FEES OTHER CONTRACTUA OTHER CONTRACTUA STREET LIGHT MAI STREET LIGHT MAI STREET LIGHT MAI STREET LIGHT MAI STREET LIGHT MAI STREET LIGHT MAI IRMA GENERAL INS SALES TAX REBATE STORM SEWER REPA STORM SEWER REPA BIT PATCH-HOT STREET IMPROVEME STREET IMPROVEME 200 MAIN ST RENO PAVEMENT REJUVEN SIDEWALK REMOVAL ROW MAINTENANCE ROW MATERIALS ROW MATERIALS ROW MATERIALS RUN DATE 12/15/2022 TIME 13:47:54 --VENDOR-- BOND, DICKSON & ASSOC THOMAS ENGINEERING GR THOMAS ENGINEERING GR MEADE, INC MEADE, INC MEADE, INC MEADE, INC MEADE, INC MEADE, INC IML RISK MANAGEMENT A THORNTONS OZINGA READY MIX CONC MENARDS ALLIED ASPHALT PAVING PADDOCK PUBLICATIONS ENGINEERING RESOURCE MATOCHA ASSOCIATES ENGINEERING RESOURCE SCHROEDER & SCHROEDER CLASSIC LANDSCAPE, LT TRAFFIC CONTROL AND P TRAFFIC CONTROL AND P TRAFFIC CONTROL AND P CASH REQUIREMENTS BILL LIST P.0.’S 00100137-01 00096987-01 00097975-01 00100176-01 00100176-02 00100176-03 00100176-04 00100176-05 00100176-06 00100219-01 00100213-01 00100163-01 00098640-01 00100156-01 00095905-01 00098858-01 00098361-02 00099883-01 00098350-01 00100185-01 00100185-02 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE NOV 2022 22-358 22-397 701823 702742 702743 702877 702882 702883 23 PREMIUM SALES TAX ARI00502498 NOV 2022 244770 235438 W2104900.10 5-A W2205800.03 7501 160068 113194 113261 113303 BATCH G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 G452 SOSDDDDDDDCOCOCOCOCOOCOOCOCCO”O ° 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 11 12/22 AMOUNT 441. 2662. 57598. 5367. 2330. 2582. 132. -32 1467 2624. 4800. 25734. 790. 30. 670. 100. 2083. 7262. 3670. 110231. 12845. 114. 329. 300. 244168. 244168. 00 82 58 55 74 53 os 12 00 13 75 88 o1 os 46 00 45 50 00 00 85 00 79 79 ===== PDF PAGE 26 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 12 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:47:53 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/22 SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000' PAYMENT TYPE: ALL FUND - 16 - MOTOR FUEL TAX FUND DEPT-DIV --VENDOR--- Ss INVOICE BATCH SALES TAX AMOUNT 163458 4204 ELECTRIC 151 COMED 8403114034 G452 0.00 5460.34 163458 4204 ELECTRIC 151 COMED 0187077032 G452 0.00 2054.08 TOTAL MFT-PAYROLL 0.00 7514.42 0.00 7514.42 TOTAL FUND RUN DATE 12/15/2022 TIME 13:47:54 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 27 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 13 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:47:53 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/22 SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 17 - ROOSEVELT/FABYAN TIF DEPT-DIV ACCOUNT ------' TITLE------ ------------ ‘VENDOR------------ P.0.'S INVOICE BATCH SALES TAX AMOUNT 173454 4100 LEGAL FEES 14376 KLEIN, THORPE & JENKI 00100124-02 230103 G452 0.00 1364.75 173454 4225 OTHER CONTRACTUA 12391 KANE, MCKENNA & ASSOC 00100206-01 19029 G452 0.00 131.25 TOTAL 0.00 1496.00 TOTAL FUND 0.00 1496.00 RUN DATE 12/15/2022 TIME 13:47:54 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 28 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 14 DATE: 12/15/22 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:47:53 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/22 SELECTION CRITERIA: payable.due_date='20221219 00:00:00.000’ PAYMENT TYPE: ALL FUND - 28 - MISCELLANEOUS DEPOSITSIN DEPT-DIV ACCOUNT --- P.0.’S INVOICE BATCH SALES TAX AMOUNT 28 224500 MISCELLANEOUS DE 13512 SOTO, ROBERTO 00100217-01 622 LINCOLN G452 0.00 2625.00 28 224500 MISCELLANEOUS DE 15658 RTO PROPERTY LLC 00100207-01 253 N OAK G452 0.00 1500.00 TOTAL MISCELLANEOUS DEPOSITSIN 0.00 4125.00 0.00 4125.00 TOTAL FUND RUN DATE 12/15/2022 TIME 13:47:54 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 29 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 12/15/22 TIME: 13: 47:53 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='’20221219 00:00:00.000' PAYMENT TYPE: ALL FUND - 43 - COMMUTER PARKING FUND DEPT-DIV 433476 433476 433476 ACCOUNT ------' TITLE------ --- 4202 TELEPHONE & ALAR 4202 TELEPHONE & ALAR 4216 GROUNDS MAINTENA TOTAL COMMUTER PARKING FUND TOTAL FUND TOTAL CHECK TRANSACTIONS TOTAL EFT TRANSACTIONS TOTAL REPORT RUN DATE 12/15/2022 TIME 13:47:54 15470 15657 12131 PEERLESS NETWORK FIRST COMMUNICATIONS, CLASSIC LANDSCAPE, LT 00098350-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE 1210244 00116020 160068 BATCH G452 G452 G452 ooo PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 .00 -00 -00 -00 -00 -00 15 12/22 AMOUNT 90. 76 44 530. 665. 665 1090675. 375. 1091050. 45 00 21 aaa 72 00 72