===== PDF PAGE 5 ===== [Extraction: OCR (rendered-page OCR)] City of West Chicago Regular City Council Meeting November 6, 2023 Page 2 5. City Council Meeting Minutes of October 16, 2023. Alderman Morano made a motion, seconded by Alderman Swiatek, to approve the minutes of October 16, 2023. Voting Aye by Roll Call: Chassee, Beebe, Dimas, Stout, Birch Ferguson, Brown, Morano, Hallett, Sheahan, Dettmann, Swiatek, and Short. Motion carried. 6. Corporate Disbursement Report. Alderman Dimas made a motion, seconded by Alderman Stout to approve the November 6, 2023, Corporate Disbursement Report in the amount of $3, 188,451.84. Voting Aye by Roll Call Vote: Chassee, Beebe, Dimas, Stout, Birch Ferguson, Brown, Morano, Hallett, Sheahan, Dettmann, Swiatek, and Short. Motion carried. 7. Consent Agenda: None 8. Reports by Committees: None 9. Unfinished Business: None 10. New Business: None 11. Correspondence and Announcements Upcoming Meetings November 7, 2023 Plan Commission/ZBA November 13, 2023 Development Committee November 20, 2023 Public Affairs Committee 12. Mayor’s Comments. Mayor Pineda mentioned that the Veterans’ Day event is this Saturday, November 11" at the American Legion. At 7:40 p.m., Alderman Chassee made a motion, seconded by Alderman Stout to adjourn the meeting. All Aldermen voted aye by Voice Vote. Respectfully submitted, Michael Guttman City Administrator ===== PDF PAGE 6 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT November 20, 2023 OPERATING ACCOUNT $ 511,744.67 FUNDED BY, nnn nnn anne ennnnne: GENERAL FUND $ 205,067.66 CAPITAL EQUIPMENT REPLACEMENT FUND $ 473.84 SEWER FUND $ 27,586.61 WATER FUND $ 119,473.76 CAPITAL PROJECTS FUND $ 153,939.21 MOTOR FUEL TAX FUND $ 3,825.66 COMMUTER PARKING FUND $ 1,377.93 APPROVED BY THE CITY COUNCIL ON: DATE: SIGNATURE: ===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 1 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G474’ and transact.ck_date=’20231120 00:00:00.000° ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV = ----- DESCRIPTION------ SALES TAX AMOUNT 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 053443 APPLICATION DEVELOPMEN 0.00 616.66 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 063448 APPLICATION DEVELOPMEN 0.00 616.67 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 010203 APPLICATION DEVELOPMEN 0.00 616.67 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 053443 MANAGED IT SERVICES 0.00 5,539.83 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 063448 MANAGED IT SERVICES 0.00 5,539.83 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 010203 MANAGED IT SERVICES 0.00 5,539.84 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 053443 SAAS - DATTO BACKUP 0.00 1,115.00 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 063448 SAAS - DATTO BACKUP 0.00 1,115.00 105100 96978 11/20/23 14400 7 LAYER SOLUTIONS INC 010203 DATTO BACKUP 0.00 1,115.00 TOTAL CHECK 0.00 21,814.50 105100 96979 11/20/23 12343 A ZOO TO YOU INC. 011030 INV# 2916; FROSTY FEST 0.00 1,135.00 105100 96980 11/20/23 12617 ACCURATE OFFICE SUPPLY 011028 ocT 2023 0.00 20.58 105100 96980 11/20/23 12617 ACCURATE OFFICE SUPPLY 010510 ocT 2023 0.00 179.72 105100 96980 11/20/23 12617 ACCURATE OFFICE SUPPLY 063447 OCcT 2023 0.00 179.72 105100 96980 11/20/23 12617 ACCURATE OFFICE SUPPLY 053443 OcT 2023 0.00 180.25 TOTAL CHECK 0.00 560.27 105100 96981 11/20/23 14897 ADVANCED AUTOMATION & CO 053443 INVOICE #23-4145 DATED 0.00 1,912.16 105100 96981 11/20/23 14897 ADVANCED AUTOMATION & CO 063447 INVOICE #23-4145 DATED 0.00 690.00 105100 96981 11/20/23 14897 ADVANCED AUTOMATION & CO 063448 INVOICE #23-4147 DATED 0.00 230.00 105100 96981 11/20/23 14897 ADVANCED AUTOMATION & CO 063447 INVOICE #23-4149 DATED 0.00 4,275.00 TOTAL CHECK 0.00 7,107.16 105100 96982 11/20/23 1914 ALEXANDER CHEMICAL CORPO 063448 RESOLUTION NO. 22-R-00 0.00 10,201.60 105100 96982 11/20/23 1914 ALEXANDER CHEMICAL CORPO 063448 RESOLUTION NO. 22-R-00 0.00 2,679.60 TOTAL CHECK 0.00 12,881.20 105100 96983 11/20/23 11546 ALL TYPES ELEVATORS INC. 063448 INVOICE #20131280 DATE 0.00 206.00 105100 96984 11/20/23 12722 ALLIED ASPHALT PAVING CO 083453 PURCHASE OF ASPHALT MA 0.00 259.29 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010921 INVOICE #1XFW-HR3F-194 0.00 9.99 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010921 INVOICE #1VQX-17KL-DQ6 0.00 77.88 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010921 INVOICE #1XNH-6CV9-Q9Y 0.00 52.48 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 053443 INVOICE #1QY3-F1XD-9HK 0.00 192.90 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 053443 INVOICE #1334-46YK-67T 0.00 275.00 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 063447 INVOICE #1334-46YK-67T 0.00 274.99 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010110 INVOICE # 1VJ9-MYKJ-7R 0.00 6.69 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1VXC-CGFP-M6 0.00 623.69 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1GWV-VVNT-49 0.00 65.98 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1GWV-VVNT-49 0.00 332.10 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1GWV-VVNT-49 0.00 351.24 105100 96985 11/20/23 15559 AMAZON CAPITAL SERVICES 011028 INV# 1VWQ-GDNH-4RH7, 1 0.00 133.50 TOTAL CHECK 0.00 2,396.44 105100 96986 11/20/23 15811 ANARGYROS KEREAKES DBA 010613 INVOICE # W.CHICAGOPD. 0.00 19,500.00 105100 96987 11/20/23 12076 ROBYN ARMS 010613 TC # 5166 9312 9774 78 0.00 57.24 105100 96988 11/20/23 3829 ATLAS BOBCAT INC 053443 INVOICE #HT3335 DATED 0.00 962.80 ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 2 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER ~ DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G474’ and transact. ck_date=’ 20231120 00:00:00.000' ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------~-----~-- ‘VENDOR---- -~-------- DEPT-DIV — -----~! DESCRIPTION--~--- SALES TAX AMOUNT 105100 96988 11/20/23 3829 ATLAS BOBCAT INC 053443 INVOICE #HT3333 DATED 0.00 874.60 105100 96988 11/20/23 3829 ATLAS BOBCAT INC 053443 INVOICE #HT3334 DATED 0.00 874.60 TOTAL CHECK 0.00 2,712.00 105100 96989 11/20/23 5774 AWWA SOURCE WATER PROTEC 010910 INVOICE #S0131222 DATE 0.00 83.00 105100 96990 11/20/23 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS199326 0.00 14,696.65 105100 96990 11/20/23 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS198913 0.00 1,476.46 105100 96990 11/20/23 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS199300 0.00 15,224.05 TOTAL CHECK 0.00 31,397.16 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 18463, 11/3/2023; 0.00 250.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 18462. 11/3/2023; 0.00 275.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63027, 10/23/2023 0.00 2,216.25 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63053, 10/26/2023 0.00 375.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63058, 10/26/2023 0.00 480.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63110, 11/01/2023 0.00 1,015.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63160, 11/06/2023 0.00 475.00 105100 96991 11/20/23 1800 B & F CONSTRUCTION CODE 011029 INV# 63097, 11/1/2023; 0.00 14,806.25 TOTAL CHECK 0.00 19,892.50 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 010110 PROFESSIONAL SERVICES 0.00 250.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 010110 PROFESSIONAL SERVICES 0.00 4,929.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 010201 PROFESSIONAL SERVICES 0.00 420.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 010613 PROFESSIONAL SERVICES 0.00 336.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 011028 PROFESSIONAL SERVICES 0.00 5,397.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 011029 PROFESSIONAL SERVICES 0.00 5,544.00 105100 96992 11/20/23 7994 BOND DICKSON & ASSOC PC 083453 PROFESSIONAL SERVICES 0.00 210.00 TOTAL CHECK 0.00 17,086.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 1,225.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 850.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 1,200.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 850.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 2,450.00 105100 96993 11/20/23 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 20-R-00 0.00 400.00 TOTAL CHECK 0.00 6,975.00 105100 96994 11/20/23 15636 CENTENNIAL COUNSELING CE 010613 STATEMENT DATE: 11 04 0.00 900.00 105100 96995 11/20/23 15271 EXSTREAM CLEAN LLC 010613 INVOICE # INV-2223 0.00 675.00 105100 96996 11/20/23 15549 CIVICPLUS 010110 ADMINISTRATIVE SUPPORT 0.00 418.95 105100 96997 11/20/23 15753 CIVIL & ENVIRONMENTAL CO 010207 RESOLUTION NO. 23-R-00 0.00 6,265.66 105100 96998 11/20/23 13257 COMCAST CABLE 010203 11/5-12/4/23 0.00 544.85 105100 96999 11/20/23 152 COMMONWEALTH EDISON 163458 10/11-11/9/23 0.00 59.66 105100 96999 11/20/23 152 COMMONWEALTH EDISON 010921 10/11-11/9/23 0.00 0.49 105100 96999 11/20/23 152 COMMONWEALTH EDISON 010614 10/11-11/9/23 0.00 112.43 105100 96999 11/20/23 152 COMMONWEALTH EDISON 010208 10/11-11/9/23 0.00 118.24 ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 11/16/23 14:00: 07 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G474’ and transact.ck_date='’20231120 00:00:00.000 ACCOUNTING PERIOD: 11/23 ~ FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 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 105100 105100 105100 105100 96999 96999 96999 96999 96999 96999 96999 96999 96999 96999 96999 96999 96999 97000 97001 97002 97003 97004 97005 97006 97007 97008 97009 97010 97011 97012 97012 97012 97012 97012 97012 97012 97012 97012 97012 97012 97012 97012 ISSUE DT 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 11/20/23 152 152 152 152 152 L52 152 152 152 152 152 152 152 15712 2810 15518 15812 871 554 10714 11996 12858 12080 15624 3597 15657 15657 15657 15657 15657 15657 15657 15657 15657 15657 15657 15657 15657 COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON CONSTR CORE & DANIEL DONATE DUPAGE DUPAGE DUPAGE DUPAGE EAGLE UCTION INC. MAIN LP PECK NILMARI COUNTY ANIMAL CON COUNTY RECORDER CTY DIV OF TRANSP JUVENILE OFFICERS ENGRAVING INC ENGINEERING ENTERPRISES EXCEL FEDEX FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST FIRST ELECTRIC INC. CORPORATION COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS COMMUNICATIONS LLC LLC LLC LLC LLC LLC LLC LLC LLC LLC LLC LLC LLC DEPT-DIV 053443 010921 010921 010921 010921 010921 163458 163458 010921 433476 010921 163458 010921 083453 063447 010208 011030 010613 011029 083453 010613 010613 063448 063448 053443 010210 010201 010502 010613 010614 010921 010924 011028 011029 011030 053443 063447 063448 10/11-11/9/23 10/11-11/9/23 10/11-11/9/23 10/11-11/9/23 10/12-11/10/23 10/12-11/10/23 10-12-11/10/23 10/12-11/10/23 10/12-11/10/23 10/12-11/10/23 10/12-11/10/23 10/12-11/10/23 10/12-11/10/23 RESOLUTION NO. 23-R-00 GASKETS INVOICE: 1699002310 INV# INV3588, 10/6/202 INVOICE # 21913 OcT 2023 INVOICE #5336 DATED 11 INVOICE # 72 INVOICE # 2023-7742 RES. NO. 23-R-0068 - P RESOLUTION NO. 22-R-00 DELIVERY FEES 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 10/6-11/5/23 SS9DDDDDDOBGOCCCO ° ° eeCCDDCOCDCCOCON0 -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 552. 110. 212 126. 19... 13. 65. 78. 23. 617. 441. 19. +03 2,404. 32 13 132,853 218. 81 1,050 775. 1,083. 160. 80 174 3,045. 67,112. 31 308. +58 -68 1,096. +49 129. LIT 122. 195: 136. 232. 415. 387. 50 108 33 92 81 04 ol 87 64 10 70 56 66 42 70 43 00 .00 00 00 00 61 -00 +22 00 28 85 61 38 19 03 35 83 02 40 24 90 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 4 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G474’ and transact.ck_date=’20231120 00:00:00.000’ ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT ----~---------- VENDOR---- ---------| DEPT-DIV — ----- DESCRIPTION--~---- SALES TAX AMOUNT 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 433476 10/6-11/5/23 0.00 23.93 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010210 11/6-12/5/23 0.00 308.77 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010201 11/6-12/5/23 0.00 50.61 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010502 11/6-12/5/23 0.00 108.74 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010613 11/6-12/5/23 0.00 1,096.95 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010614 11/6-12/5/23 0.00 33.51 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010921 11/6-12/5/23 0.00 129 ..25 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 010924 11/6-12/5/23 0.00 177.13 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 011028 11/6-12/5/23 0.00 122.42 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 011029 11/6-12/5/23 0.00 195.93 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 011030 11/6-12/5/23 0.00 136.09 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 053443 11/6-12/5/23 0.00 232.52 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 063447 11/6-12/5/23 0.00 415.46 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 063448 11/6-12/5/23 0.00 388.11 105100 97012 11/20/23 15657 FIRST COMMUNICATIONS LLC 433476 11/6-12/5/23 0.00 23.94 TOTAL CHECK 0.00 6,837.06 105100 97013 11/20/23 4554 FLEET SAFETY SUPPLY 043439 INVOICE #81875 DATED 1 0.00 473.84 105100 97014 11/20/23 15751 FRANCISCO J LOZANO 010613 PROPOSAL # WESTCHICAGO 0.00 6,150.00 105100 97015 11/20/23 15454 GAGNEPAIN FRANCIS J 011030 FROSTY FEST ICE DEMO 0.00 675.00 105100 97016 11/20/23 14755 GOVTEMPSUSA 010207 FINANCE DEPARTMENT TEM 0.00 1,592.50 105100 97016 11/20/23 14755 GOVTEMPSUSA 010502 FINANCE DEPARTMENT TEM 0.00 907.64 105100 97016 11/20/23 14755 GOVTEMPSUSA 053443 FINANCE DEPARTMENT TEM 0.00 907.64 105100 97016 11/20/23 14755 GOVTEMPSUSA 063447 FINANCE DEPARTMENT TEM 0.00 907.65 TOTAL CHECK 0.00 4,315.43 105100 97017 11/20/23 10649 GRAF TREE CARE 010922 RESOLUTION NO. 23-R-00 0.00 1,250.00 105100 97018 11/20/23 2013 GRAINGER 010921 STREETS AED 0.00 117.13 105100 97018 11/20/23 2013 GRAINGER 010921 PD COMP 0.00 54.58 105100 97018 11/20/23 2013 GRAINGER 010921 BLAKELEY DOOR 0.00 103.02 105100 97018 11/20/23 2013 GRAINGER 083453 INVOICE #9877082090 DA 0.00 418.09 105100 97018 11/20/23 2013 GRAINGER 063447 INVOICE #9878565598 DA 0.00 874.37 TOTAL CHECK 0.00 1,567.19 105100 97019 11/20/23 12995 GREAT AMERICA LEASING CO 010613 INVOICE # 35287539 0.00 219.20 105100 97020 11/20/23 13294 GROOT INDUSTRIES INC. 163458 REFUSE DISPOSAL FROM S 0.00 2,307.92 105100 97021 11/20/23 561 HAGGERTY FORD 063447 640 0.00 77.77 105100 97021 11/20/23 561 HAGGERTY FORD 010925 743 0.00 12.35 105100 97021 11/20/23 561 HAGGERTY FORD 010925 STOCK 0.00 115.52 105100 97021 11/20/23 561 HAGGERTY FORD 010925 355 0.00 83.27 TOTAL CHECK 0.00 288.91 105100 97022 11/20/23 15706 HR GREEN 163458 RESOLUTION NO. 22-R-00 0.00 1,294.92 105100 97023 11/20/23 12008 ILLINOIS SECTION AWWA 063447 INVOICE #200084417 DAT 0.00 85.00 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G474' and transact.ck_date=’20231120 00:00:00.000’ ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------~ VENDOR---- --------- DEPT-DIV = ----— DESCRIPTION-----— SALES TAX AMOUNT 105100 97024 11/20/23 15643 J.J. KELLER & ASSOCIATES 010924 INVOICE #9108522578 DA 0.00 250.00 105100 97024 11/20/23 15643 J.J. KELLER & ASSOCIATES 010925 INVOICE #9108522578 DA 0.00 250.00 TOTAL CHECK 0.00 500.00 105100 97025 11/20/23 12956 JERRY’S WELDING & FABRIC 010925 INVOICE #23719 DATED 1 0.00 50.00 105100 97026 11/20/23 14866 JUDE VICKERY 063447 INVOICE #13799 DATED 1 0.00 400.00 105100 97027 11/20/23 12639 KIESLER’S POLICE SUPPLY 010613 INVICE # IN225760 0.00 464.59 105100 97027 11/20/23 12639 KIESLER’S POLICE SUPPLY 010613 INVOICE # IN225723 0.00 700.35 TOTAL CHECK 0.00 1,164.94 105100 97028 11/20/23 12643 KIMBALL MIDWEST 083453 INVOICE #101590428 DAT 0.00 113.70 105100 97029 11/20/23 15699 KLUBER INC 433476 PROFESSIONAL ARCHITECT 0.00 712.50 105100 97029 11/20/23 15699 KLUBER INC 083453 PROFESSIONAL ARCHITECT 0.00 603.75 105100 97029 11/20/23 15699 KLUBER INC 083453 PROFESSIONAL ARCHITECT 0.00 1,451.25 TOTAL CHECK 0.00 2,767.50 105100 97030 11/20/23 2298 LANGUAGE LINE SERVICES I 010613 INVOICE # 11141214 0.00 505.69 105100 97031 11/20/23 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 6954323-2023 0.00 211.31 105100 97031 11/20/23 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 1088361-2023 0.00 206.55 TOTAL CHECK 0.00 417.86 105100 97032 11/20/23 14295 MACCARB INC 063448 RESOLUTION NO. 22-R-00 0.00 6,543.75 105100 97032 11/20/23 14295 MACCARB INC 063447 INVOICE #INV156032 DAT 0.00 31.76 TOTAL CHECK 0.00 6,575.51 105100 97033 11/20/23 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 12708 0.00 3,798.03 105100 97033 11/20/23 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 12706 0.00 3,825.63 105100 97033 11/20/23 8248 MARQUARDT & BELMONTE P.C 011029 INV# 12707, 10/31/2023 0.00 1,184.63 TOTAL CHECK 0.00 8,808.29 105100 97034 11/20/23 12678 MATOCHA ASSOCIATES 083453 RESOLUTION NO. 23-R-00 0.00 6,627.50 105100 97034 11/20/23 12678 MATOCHA ASSOCIATES 083453 RESOLUTION NO. 23-R-00 0.00 4,668.00 105100 97034 11/20/23 12678 MATOCHA ASSOCIATES 083453 RESOLUTION NO. 23-R-00 0.00 4,302.00 TOTAL CHECK 0.00 15,597.50 105100 97035 11/20/23 15785 MATTHEW GILLIAM 010208 INVOICE: 5111 0.00 375.00 105100 97036 11/20/23 5000 MEADE INC 083453 2023 TRAFFIC SIGNAL MA 0.00 412.52 105100 97036 11/20/23 5000 MEADE INC 083453 INVOICE #706647 DATED 0.00 752.52 TOTAL CHECK 0.00 1,165.04 105100 97037 11/20/23 6601 MENARDS 010613 OcT 2023 0.00 6.98 105100 97037 11/20/23 6601 MENARDS 010924 OCT 2023 0.00 1,116.35 105100 97037 11/20/23 6601 MENARDS 010613 OcT 2023 0.00 193.46 105100 97037 11/20/23 6601 MENARDS 010925 OcT 2023 0.00 54.99 105100 97037 11/20/23 6601 MENARDS 010613 OCT 2023 0.00 209.98 105100 97037 11/20/23 6601 MENARDS 010921 OCT 2023 0.00 325.39 105100 97037 11/20/23 6601 MENARDS 010924 OcT 2023 0.00 448.39 ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G474’ and transact.ck_date=’20231120 00:00:00.000' ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------~ VVENDOR---- ---------! DEPT-DIV 202 === == DESCRIPTION------ SALES TAX AMOUNT 105100 97037 11/20/23 6601 MENARDS 053443 OCT 2023 0.00 100.84 105100 97037 11/20/23 6601 MENARDS 053443 OcT 2023 0.00 129.45 105100 97037 11/20/23 6601 MENARDS 063448 OcT 2023 0.00 81.63 105100 97037 11/20/23 6601 MENARDS 063448 OcT 2023 0.00 164.19 105100 97037 11/20/23 6601 MENARDS 063447 ocT 2023 0.00 68.44 105100 97037 11/20/23 6601 MENARDS 063447 OcT 2023 0.00 291.22 105100 97037 11/20/23 6601 MENARDS 053443 ocT 2023 0.00 TLiwkD 105100 97037 11/20/23 6601 MENARDS 063447 ocT 2023 0.00 294.92 105100 97037 11/20/23 6601 MENARDS 063447 OocT 2023 0.00 18.93 105100 97037 11/20/23 6601 MENARDS 083453 OcT 2023 0.00 60.95 105100 97037 11/20/23 6601 MENARDS 063447 INV 84061 10/16/23 0.00 649.50 TOTAL CHECK 0.00 4,286.80 105100 97038 11/20/23 2263 METROPOLITAN INDUSTRIES 053443 INVOICE #INV056000 DAT 0.00 1,351.19 105100 97039 11/20/23 11700 METROPOLITAN MAYORS CAUC 010110 2023-2024 CAUCUS DUES 0.00 1,152.63 105100 97040 11/20/23 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 22-R-00 0.00 6,465.61 105100 97041 11/20/23 5750 MOTION INDUSTRIES INC 010921 INVOICE #IL32-00865964 0.00 36.52 105100 97041 11/20/23 5750 MOTION INDUSTRIES INC 010921 INVOICE #IL32-00866118 0.00 23.70 TOTAL CHECK 0.00 60.22 105100 97042 11/20/23 244 MURPHY ACE HARDWARE 2400 010921 ocT 2023 0.00 30.37 105100 97042 11/20/23 244 MURPHY ACE HARDWARE 2400 063447 OCT 2023 0.00 58.48 105100 97042 11/20/23 244 MURPHY ACE HARDWARE 2400 010924 OcT 2023 0.00 14.38 TOTAL CHECK 0.00 103.23 105100 97043 11/20/23 14986 NALCO CO LLC DBA NALCO W 063448 INVOICE #6660219754 DA 0.00 286.90 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 787 0.00 55.45 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 STOCK 0.00 94.93 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 CREDIT 0.00 -234.00 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 743 0.00 32.74 105100 97044 11/20/23 4735 NAPA AUTO PARTS 053443 770 0.00 62.69 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 306 0.00 31.05 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 355 0.00 148.12 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 344 0.00 203.89 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 STOCK 0.00 80.97 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 STOCK 0.00 97.39 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 344 0.00 19.96 105100 97044 11/20/23 4735 NAPA AUTO PARTS 010925 INVOICE #4496-231243 D 0.00 809.52 TOTAL CHECK 0.00 1,402.71 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/5-11/3/23 0.00 178.44 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/3-11/1/23 0.00 S799 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 063447 10/4-11/2/23 0.00 85.80 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 063448 10/3-11/1/23 0.00 276.09 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/4-11/2/23 0.00 180.10 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/2-10/31/23 0.00 60.37 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/2-10/31/23 0.00 61.82 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/3-11/1/23 0.00 194.67 ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G474’ and transact.ck_date='20231120 00:00:00.000’ ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------- DEPT-DIV 2 === == DESCRIPTION------ SALES TAX AMOUNT 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/4-11/2/23 0.00 53.81 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 010921 10/3-11/1/23 0.00 238.24 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 053443 10/4-11/2/23 0.00 94.37 105100 97045 11/20/23 250 NORTHERN ILLINOIS GAS 063447 10/4-11/2/23 0.00 57.97 TOTAL CHECK 0.00 1,539.67 105100 97046 11/20/23 4303 NORTH EAST MULTI-REGIONA 010613 INVOICE # 338860 0.00 35.00 105100 97047 11/20/23 14569 ORKIN 010921 INVOICE #0143050221304 0.00 175.00 105100 97047 11/20/23 14569 ORKIN 063448 INVOICE #0143050221304 0.00 70.00 TOTAL CHECK 0.00 245.00 105100 97048 11/20/23 14044 OZINGA READY MIX CONCRET 083453 INVOICE #ARI00816135 D 0.00 761.50 105100 97049 11/20/23 15112 PACE SUBURBAN BUS 010207 INV# 627563, 10/31/202 0.00 SLS27 105100 97050 11/20/23 3739 PADDOCK PUBLICATIONS 053442 2024 PROPOSED BUDGET 0.00 27.60 105100 97050 11/20/23 3739 PADDOCK PUBLICATIONS 011028 INV# 268873, 10/29/202 0.00 204.70 TOTAL CHECK 0.00 23230 105100 97051 11/20/23 13590 PHALEN CONSULTING INC 011030 INV# 128, 11/6/2023; N 0.00 7,350.00 105100 97052 11/20/23 14816 PIT STOP 010207 INV# LR5484629, 9/25/2 0.00 889.80 105100 97052 11/20/23 14816 PIT STOP 010207 INV# LR5508034, 10/25/ 0.00 889.80 TOTAL CHECK 0.00 1,779.60 105100 97053 11/20/23 3714 POMP’S TIRE SERVICE INC. 010925 SCRAP TIRE 0.00 108.00 105100 97053 11/20/23 3714 POMP’S TIRE SERVICE INC. 010925 SCRAP TIRES 0.00 84.00 105100 97053 11/20/23 3714 POMP’S TIRE SERVICE INC. 053443 770 0.00 116.00 105100 97053 11/20/23 3714 POMP’S TIRE SERVICE INC. 053443 INVOICE #411064592 DAT 0.00 1,389.00 TOTAL CHECK 0.00 1,697.00 105100 97054 11/20/23 492 RAY O’HERRON INC 010613 INVOICE # 2305057 0.00 160.23 105100 97054 11/20/23 492 RAY O’HERRON INC 010613 INVOICE # 2306089 0.00 159.32 TOTAL CHECK 0.00 319.55 105100 97055 11/20/23 11970 REGIONAL TRUCK EQUIPMENT 010925 INVOICE #278376 DATED 0.00 330.00 105100 97056 11/20/23 14952 RME AUDIO VIDEO INC 011030 INV# 529, 1/19/2023; F 0.00 787.50 105100 97057 11/20/23 13908 RUSH TRUCK CENTERS OF IL 010925 INVOICE #3034779951 DA 0.00 236.08 105100 97057 11/20/23 13908 RUSH TRUCK CENTERS OF IL 010925 INVOICE #3034851573 DA 0.00 352.56 TOTAL CHECK 0.00 588.64 105100 97058 11/20/23 4774 SAFETY LANE INSPECTIONS 010925 INVOICE #22958 DATED 1 0.00 44.00 105100 97059 11/20/23 15810 SHARON HUND 05 11/20/23 AP REFUND - # 0.00 131.53 105100 97060 11/20/23 12827 SIGN A RAMA 010208 INVOICE: 4429 0.00 546.00 105100 97060 11/20/23 12827 SIGN A RAMA 010208 INVOICE: 4424 0.00 116.52 105100 97060 11/20/23 12827 SIGN A RAMA 010208 INVOICE: 4413 0.00 1,401.63 105100 97060 11/20/23 12827 SIGN A RAMA 010208 INVOICE: 4351 0.00 341.25 ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 8 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G474' and transact.ck_date=’20231120 00:00:00.000’ ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VVENDOR---- ---------! DEPT-DIV 2 = === = DESCRIPTION--~---- SALES TAX AMOUNT 105100 97060 11/20/23 12827 SIGN A RAMA 010208 INVOICE: 4211 0.00 45.00 TOTAL CHECK 0.00 2,450.40 105100 97061 11/20/23 1320 STEINER ELECTRIC 053443 LS REPAIRS 0.00 227.88 105100 97061 11/20/23 1320 STEINER ELECTRIC 053443 BUTT SPLICE 0.00 69.09 105100 97061 11/20/23 1320 STEINER ELECTRIC 053443 BUTT SPLICE 0.00 152.55 105100 97061 11/20/23 1320 STEINER ELECTRIC 053443 BUTT SPLICE 0.00 52.18 TOTAL CHECK 0.00 501.70 105100 97062 11/20/23 11974 STREICHER’S - WISCONSIN 010613 QUOTE: Q354488 0.00 18,427.08 105100 97063 11/20/23 11516 SUBURBAN FAMILY MAGAZINE 011030 INV# 10216, 11/1/2023; 0.00 310.00 105100 97064 11/20/23 15573 SUE KLEIN WACHTER DBA 011030 FROSTY FEST ENTERTAINM 0.00 687.50 105100 97065 11/20/23 12768 SUNSHINE FARM II 011030 FROSTY FEST HORSE DRAW 0.00 312250. 105100 97066 11/20/23 15807 TAYLOR BRANDON 010924 REIMBURSEMENT TO BRAND 0.00 50.00 105100 97067 11/20/23 12138 THE FUN ONES 011030 INV# 80237; FROSTY FES 0.00 801.00 105100 97068 11/20/23 9209 THIRD MILLENNIUM ASSOCIA 053443 INV# 30647 11/7/202 0.00 1,223.38 105100 97068 11/20/23 9209 THIRD MILLENNIUM ASSOCIA 063447 INV# 30647 11/7/202 0.00 1,223.38 TOTAL CHECK 0.00 2,446.76 105100 97069 11/20/23 12102 THOMAS ENGINEERING GROUP 053443 RESOLUTION NO. 22-R-00 0.00 5,817.08 105100 97070 11/20/23 11355 TKB ASSOCIATES INC 011029 INV# 15135, 10/18/2023 0.00 8,779.65 105100 97071 11/20/23 15072 TOSCAS LAW GROUP LLC 010613 STATEMENT DATE: 10 30 0.00 300.00 105100 97071 11/20/23 15072 TOSCAS LAW GROUP LLC 010613 STATEMENT DATE: 11 13 0.00 300.00 TOTAL CHECK 0.00 600.00 105100 97072 11/20/23 11210 TAPCO 083453 INVOICE #1749659 DATED 0.00 25.00 105100 97073 11/20/23 3349 TRAFFIC CONTROL AND PROT 083453 TRAFFIC DOES NOT STOP 0.00 85.70 105100 97073 11/20/23 3349 TRAFFIC CONTROL AND PROT 083453 MISC SIGN 0.00 173.40 TOTAL CHECK 0.00 259.10 105100 97074 11/20/23 2027 TRANS UNION CORPORATION 010613 INVOICE # 10300220 0.00 100.00 105100 97075 11/20/23 15413 ULTIMATE RENTAL SERVICES 011030 ORDER NO. 021628; FROS 0.00 3,548.00 105100 97076 11/20/23 14383 ULTRA STROBE COMMUNICATI 010613 INVOICE # 084067 0.00 140.00 105100 97077 11/20/23 15612 UNIFIRST FIRST AID CORP 010613 INVOICE # G102994 0.00 92.35 105100 97077 11/20/23 15612 UNIFIRST FIRST AID CORP 010613 INVOICE # G102715 0.00 62.44 TOTAL CHECK 0.00 154.79 105100 97078 11/20/23 4406 U.S.A. BLUEBOOK 053443 LS FLOATS 0.00 107.95 105100 97079 11/20/23 4207 VERIZON WIRELESS 053443 11/10-12/9/23 0.00 1,174.31 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 9 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:00:07 CHECK REGISTER - DISBURSEMENT FUND z SELECTION CRITERIA: transact.batch=’G474’ and transact.ck_date=’20231120 00:00:00.000’ ACCOUNTING PERIOD: 11/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT ------~-------- VENDOR----— ---------! DEPT-DIV 2 = === =| DESCRIPTION-~—---- SALES TAX AMOUNT 105100 97080 11/20/23 4207 VERIZON WIRELESS 010613 11/7-12/6/23 0.00 1,541.17 105100 97080 11/20/23 4207 VERIZON WIRELESS 010614 11/7-12/6/23 0.00 76.02 105100 97080 11/20/23 4207 VERIZON WIRELESS 010210 11/7-12/6/23 0.00 38.01 105100 97080 11/20/23 4207 VERIZON WIRELESS 010204 11/7-12/6/23 0.00 38.01 105100 97080 11/20/23 4207 VERIZON WIRELESS 010502 11/7-12/6/23 0.00 38.01 TOTAL CHECK 0.00 1,731.22 105100 97081 11/20/23 15644 VICKY S CAMPBELL DBA RES 011030 INV DATED 9/13/2023; F 0.00 600.00 105100 97082 11/20/23 6793 W.A. MANAGEMENT INC. 011029 INV# INV-26758, 11/2/2 0.00 170.52 105100 97082 11/20/23 6793 W.A. MANAGEMENT INC. 011029 INV# INV-26759, 11/2/2 0.00 170.52 105100 97082 11/20/23 6793 W.A. MANAGEMENT INC. 011029 INV# INV-26757, 11/2/2 0.00 170.52 105100 97082 11/20/23 6793 W.A. MANAGEMENT INC. 011029 INV# INV-26760, 11/2/2 0.00 85.86 105100 97082 11/20/23 6793 W.A. MANAGEMENT INC. 011029 INV# INV-26761, 11/2/2 0.00 448.44 TOTAL CHECK 0.00 1,045.86 105100 97083 11/20/23 4823 WATER PRODUCTS AURORA 063447 STATIONARY RD 0.00 100.00 105100 97083 11/20/23 4823 WATER PRODUCTS AURORA 063447 INVOICE #0318568 DATED 0.00 1,950.00 105100 97083 11/20/23 4823 WATER PRODUCTS AURORA 063447 INVOICE #0319369 DATED 0.00 420.00 TOTAL CHECK 0.00 2,470.00 105100 97084 11/20/23 546 WEST SIDE TRACTOR SALES 010925 INVOICE #N45087 DATED 0.00 431.39 105100 97085 11/20/23 15222 WETT CAR WASH LLC 010613 REPORT GENERATE DATE: 0.00 102.00 105100 97086 11/20/23 15548 WEX BANK 010613 INVOICE # 92993604 0.00 365.72 TOTAL CASH ACCOUNT 0.00 511,744.67 TOTAL FUND 0.00 511,744.67 TOTAL REPORT 0.00 511,744.67 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’ 20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT 010110 4012 010110 4100 010110 4112 010110 4211 010110 4600 TOTAL CITY COUNCIL-OPERATIONS 010201 4100 010201 4202 010201 4202 TOTAL CITY ADMIN - HR 010203 4109 010203 4225 010203 4225 010203 4225 TOTAL CITY ADMIN - IT 010204 4202 TOTAL CITY ADMIN - GIS 010207 4225 010207 4225 010207 4225 010207 4225 010207 4234 TOTAL CITY ADMIN-SPECIAL PROJ 010208 4112 010208 4204 010208 4212 010208 4212 010208 4212 010208 4212 010208 4212 010208 4212 TOTAL CITY ADMIN-MARKET/COMM 010210 4202 010210 4202 010210 4202 TOTAL CITY ADMIN-ADMIN CORP COUNSEL-SAL 7994 LEGAL FEES 7994 MEMBERSHIPS/DUES 11700 PRINTING & BINDI 15549 COMPUTER/OFFICE 15559 LEGAL FEES 7994 TELEPHONE & ALAR 15657 TELEPHONE & ALAR 15657 NETWORK CHARGES 13257 OTHER CONTRACTUA 14400 OTHER CONTRACTUA 14400 OTHER CONTRACTUA 14400 TELEPHONE & ALAR 4207 OTHER CONTRACTUA 14755 OTHER CONTRACTUA 14816 OTHER CONTRACTUA 14816 OTHER CONTRACTUA 15753 PARATRANSIT SERV 15112 MEMBERSHIPS/DUES 15518 ELECTRIC 152 ADVERTISING 12827 ADVERTISING 12827 ADVERTISING 12827 ADVERTISING 12827 ADVERTISING 12827 ADVERTISING 15785 TELEPHONE & ALAR 15657 TELEPHONE & ALAR 15657 TELEPHONE & ALAR 4207 RUN DATE 11/16/2023 TIME 13:45:05 BOND DICKSON & ASSOC BOND DICKSON & ASSOC METROPOLITAN MAYORS C CIVICPLUS AMAZON CAPITAL SERVIC BOND DICKSON & ASSOC FIRST COMMUNICATIONS FIRST COMMUNICATIONS COMCAST CABLE 7 LAYER SOLUTIONS INC 7 LAYER SOLUTIONS INC 7 LAYER SOLUTIONS INC VERIZON WIRELESS GOVTEMPSUSA PIT STOP PIT STOP CIVIL & ENVIRONMENTAL PACE SUBURBAN BUS DANIEL PECK COMMONWEALTH EDISON SIGN A RAMA SIGN A RAMA SIGN A RAMA SIGN A RAMA SIGN A RAMA MATTHEW GILLIAM FIRST COMMUNICATIONS FIRST COMMUNICATIONS VERIZON WIRELESS CASH REQUIREMENTS BILL LIST 00102596-01 00102596-01 00102595-01 00102601-01 00102532-01 00102596-01 00100425-02 00100426-02 00100427-02 00102537-01 00102560-01 00102575-01 00101796-01 00102561-01 00102599-01 00102597-01 00102597-02 00102597-03 00102597-04 00102597-05 00102598-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH OCT 2023 G474 OCT 2023 G474 2023-47 G474 283099 G474 1VJ9MYKJ7R1DG474 OCT 2023 G474 116020 G474 116020 G474 877120038038G474 10270 G474 10274 G474 10240 G474 980505522-00G474 4282295 G474 LR5508034 G474 LR5484629 G474 380146 G474 627563 G474 1699002310 G474 1557048086 G474 4429 G474 INV-4424 G474 INV-4413 G474 INV-4351 G474 INV-4211 G474 5111 G474 116020 G474 116020 G474 980505522-00G474 oooco ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 00 .00 00 00 0.00 SCSCCOO0 0 GG © C000 0 oo ScCceCoeCeCCO Oo o ooo 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 11/23 AMOUNT 250 1152 418 6757. 420. 50. .58 50 521 544 5539 7816 38 38. 1592. 889. 889. -66 +27 6265 513 10151 81. -24 00 116. -63 «25 .00 375. 118 546 1401 341 45 3024 308. 308. O21 38 655 -00 4929. 63 IS -69 00 27 00 61 19 »85 1115. 616. 84 00 67 -36 -O1 ol 50 80 80 03 00 52 00 -64 77 61 aD ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 11/16/23 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND ACCOUNT DEPT-DIV 010502 4202 010502 4202 010502 4202 010502 4225 --TITLE-- TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA TOTAL ADMIN SERVICES-ACCTG 010510 4600 COMPUTER/OFFICE 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 4100 4100 4100 4100 4100 4110 4110 4110 4202 4202 4202 4225 4225 4225 4225 4225 4225 4230 4423 4423 4502 4600 4601 4601 4601 4607 4615 4615 4615 4617 4617 4618 4618 4629 4640 4640 4640 LEGAL LEGAL LEGAL LEGAL FEES LEGAL FEES TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA GRAFFITI REMOVAL RADIO/RADAR EQUI RADIO/RADAR EQUI COPIER FEES COMPUTER/OFFICE FIELD EQUIPMENT FIELD EQUIPMENT FIELD EQUIPMENT GAS & OIL UNIFORMS /SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY FIRST AID SUPPLI FIRST AID SUPPLI AMMUNITION/FIREA AMMUNITION/FIREA CERT SUPPLIES CRIME PREVENTION CRIME PREVENTION CRIME PREVENTION FEES FEES FEES RUN DATE 11/16/2023 TIME 13:45:05 15657 15657 4207 14755 12617 15072 15072 7994 8248 8248 11996 15811 4303 15657 15657 2298 10042 10042 15636 2027 4207 871 15271 14383 15559 12995 15559 11974 15559 6601 15548 12858 492 492 15612 15612 12639 12639 15559 12076 15751 6601 FIRST COMMUNICATIONS FIRST COMMUNICATIONS VERIZON WIRELESS GOVTEMPSUSA ACCURATE OFFICE SUPPL TOSCAS LAW GROUP LLC TOSCAS LAW GROUP LLC BOND DICKSON & ASSOC MARQUARDT & BELMONTE MARQUARDT & BELMONTE DUPAGE JUVENILE OFFIC ANARGYROS KEREAKES DB NORTH EAST MULTI-REGI FIRST COMMUNICATIONS FIRST COMMUNICATIONS LANGUAGE LINE SERVICE LEXISNEXIS RISK DATA LEXISNEXIS RISK DATA CENTENNIAL COUNSELING TRANS UNION CORPORATI VERIZON WIRELESS DUPAGE COUNTY ANIMAL EXSTREAM CLEAN LLC ULTRA STROBE COMMUNIC AMAZON CAPITAL SERVIC GREAT AMERICA LEASING AMAZON CAPITAL SERVIC STREICHER’S - WISCONS AMAZON CAPITAL SERVIC MENARDS WEX BANK EAGLE ENGRAVING INC RAY O'HERRON INC RAY O’HERRON INC UNIFIRST FIRST AID CO UNIFIRST FIRST AID CO KIESLER’S POLICE SUPP KIESLER’S POLICE SUPP AMAZON CAPITAL SERVIC ROBYN ARMS FRANCISCO J LOZANO MENARDS CASH REQUIREMENTS BILL LIST 00102537-01 00102528-01 00102577-01 00102596-01 00102545-01 00102545-02 00102542-01 00102550-01 00102544-01 00102539-01 00102541-01 00102541-02 00102548-01 00102543-01 00102552-01 00102546-01 00102551-01 00102578-01 00102579-01 00102553-01 00101996-01 00102553-01 00102533-01 00102534-01 00102538-01 00102576-01 00102540-01 00102547-01 00102530-01 00102530-02 00102553-01 00102529-01 00101692-01 PAGE NUMBER: 2 ACCTPAY1 ACCOUNTING PERIOD: 11/23 INVOICE BATCH SALES TAX AMOUNT 116020 G474 0.00 108.74 116020 G474 0.00 108.68 980505522-00G474 0.00 38.01 4282295 G474 0.00 907.64 0.00 1163.07 OcT 2023 G474 0.00 179.72 0.00 179.72 RED LIGHTS G474 0.00 300.00 RED LIGHT VIG474 0.00 300.00 ocT 2023 G474 0.00 336.00 12708 G474 0.00 3798.03 12706 G474 0.00 3825.63 72 G474 0.00 80.00 W.CHICAGOPD.G474 0.00 19500.00 338860 G474 0.00 35.00 116020 G474 0.00 1096.38 116020 G474 0.00 1096.95 11141214 G474 0.00 505.69 6954323-2023G474 0.00 211.31 1088361-2023G474 0.00 206.55 COUNSELING G474 0.00 900.00 1030220 G474 0.00 100.00 980505522-00G6474 0.00 1541.17 21913 G474 0.00 775.00 INV-2223 G474 0.00 675.00 084067 G474 0.00 140.00 1VXCCGFPM6JMG474 0.00 623.69 35287539 G474 0.00 219.20 1GWVVVNT49NQG474 0.00 65.98 11664563 G474 0.00 18427.08 1GWVVVNT4 9NQG474 0.00 332.10 OcT 2023 G474 0.00 209.98 92993604 G474 0.00 365.72 2023-7742 G474 0.00 174.22 2305057 G474 0.00 160.23 2306089 G474 0.00 159.32 G102715 G474 0.00 62.44 G102994 G474 0.00 92.35 IN225760 G474 0.00 464.59 IN225723 G474 0.00 700.35 1LGWVVVNT49NQG474 0.00 351.24 TRUNK OR TREG474 0.00 57.24 WCPD-1111202G6474 0.00 6150.00 OcT 2023 G474 0.00 193.46 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010613 4644 010613 4644 010613 4644 010613 4650 010613 4650 TOTAL POLICE-OPERATIONS 010614 4202 010614 4202 010614 4202 010614 4225 TOTAL POLICE-ESDA 010910 4112 TOTAL PUBLIC WORKS-ADMIN 010921 4202 010921 4202 010921 4203 010921 4204 010921 4204 010921 4204 010921 4204 010921 4204 010921 4204 010921 4204 010921 4204 010921 4204 010921 4225 010921 4615 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 DRUG ASSET FORFE DRUG ASSET FORFE DRUG ASSET FORFE MISCELLANEOUS CO MISCELLANEOUS CO TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA MEMBERSHIPS/DUES TELEPHONE & ALAR TELEPHONE & ALAR HEATING GAS ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC OTHER CONTRACTUA UNIFORMS/SAFETY MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TOTAL PUBLIC WORKS-MUN PROP 010922 4225 OTHER CONTRACTUA TOTAL PUBLIC WORKS-FORESTRY RUN DATE 11/16/2023 TIME 13:45:05 13584 13584 13584 15222 6601 152 15657 15657 4207 5774 15657 15657 250 152 152 152 152 152 152 152 152 152 14569 2013 15559 15559 15559 2013 2013 244 5750 5750 6601 10649 -VENDOR-: AXON ENTERPRISES INC AXON ENTERPRISES INC AXON ENTERPRISES INC WETT CAR WASH LLC MENARDS COMMONWEALTH EDISON FIRST COMMUNICATIONS FIRST COMMUNICATIONS VERIZON WIRELESS AWWA SOURCE WATER PRO FIRST COMMUNICATIONS FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON ORKIN GRAINGER AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC GRAINGER GRAINGER MURPHY ACE HARDWARE 2 MOTION INDUSTRIES INC MOTION INDUSTRIES INC MENARDS GRAF TREE CARE CASH REQUIREMENTS BILL LIST P.0.’S 00102531-01 00102531-02 00102531-03 00102536-01 00102604-01 00102602-01 00102610-01 00102610-02 00102610-03 00102609-01 00102609-02 00101186-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH INUS198913 G474 INUS199300 G474 INUS199326 G474 OCT 2023 G474 OocT 2023 G474 6755350046 G474 116020 G474 116020 G474 980505522-00G474 $0131222 G474 116020 G474 116020 G474 04739367748 G474 6755139109 G474 6755223080 G474 6123152005 G474 6755232169 G474 1323005242 G474 6755368020 G474 9356418015 G474 6755352013 G474 1995013076 G474 014305022130G474 9879814755 G474 1XFWHR3F1947G474 1VQX17KLDQ6KG474 1XNH6CV9Q9TFG474 9880938627 G474 9883759061 G474 OocT 2023 G474 IL32-0086596G474 IL32-0086611G474 OcT 2023 G474 19516 G474 COCO © COCCOO oo ° SSDDDDDDGCOCOCOOOCOCGCO0d0 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 0.00 -00 -00 3 11/23 AMOUNT 1476 14696 102 95738. 112 33 255. 83 83 129 13 13 23 32 117 54 103 36 23 2283 1250. 1250 -46 15224. -65 -00 -98 os 04 +43 SL 33... 76. 49 02 45 -00 -00 9 129. 238. 19: -87 441. .03 -70 +49 110. -12 126. 175. 25 24 ol 66 81 04 00 .13 99 77. 52. -58 02 30. +52 -70 325. 88 48 37 39 +47 00 -00 ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT - -TITLE-- 010923 4209 INTERMENT 010923 4209 INTERMENT 010923 4209 INTERMENT 010923 4216 GROUNDS MAINTENA 010923 4216 GROUNDS MAINTENA 010923 4217 CEMETERY SEXTON TOTAL PUBLIC WORKS-CEMETERIES 010924 4110 TRAINING & TUITI 010924 4110 TRAINING & TUITI 010924 4202 TELEPHONE & ALAR 010924 4202 TELEPHONE & ALAR 010924 4604 TOOLS & EQUIPMEN 010924 4650 MISCELLANEOUS CO 010924 4650 MISCELLANEOUS CO TOTAL PUBLIC WORKS-R & B 010925 4110 TRAINING & TUITI 010925 4400 VEHICLE REPAIR 010925 4400 VEHICLE REPAIR 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 TOTAL PUBLIC WORKS-MAINT GAR 011028 4100 LEGAL FEES 011028 4200 LEGAL NOTICES 011028 4202 TELEPHONE & ALAR RUN DATE 11/16/2023 TIME 13:45:05 1843 1843 1843 1843 1843 1843 15643 15807 15657 15657 244 6601 6601 15643 12956 4774 11970 13908 13908 3714 3714 4735 4735 4735 4735 4735 4735 4735 4735 4735 4735 4735 546 561 561 561 6601 7994 3739 15657 -VENDOR-- CEMETERY MANAGEMENT CEMETERY MANAGEMENT CEMETERY MANAGEMENT CEMETERY MANAGEMENT CEMETERY MANAGEMENT CEMETERY MANAGEMENT HHHHHH J.J. KELLER & ASSOCIA TAYLOR BRANDON FIRST COMMUNICATIONS FIRST COMMUNICATIONS MURPHY ACE HARDWARE 2 MENARDS MENARDS J.J. KELLER & ASSOCIA JERRY'S WELDING & FAB SAFETY LANE INSPECTIO REGIONAL TRUCK EQUIPM RUSH TRUCK CENTERS OF RUSH TRUCK CENTERS OF POMP’S TIRE SERVICE I POMP’S TIRE SERVICE I NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS NAPA AUTO PARTS WEST SIDE TRACTOR SAL HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD MENARDS BOND DICKSON & ASSOC PADDOCK PUBLICATIONS FIRST COMMUNICATIONS CASH REQUIREMENTS BILL LIST P.0.4S 00100651-01 00100651-01 00100651-01 00100651-01 00100651-01 00100651-01 00102622-01 00102460-01 00102622-01 00102616-01 00102618-01 00102625-01 00102624-01 00102624-02 00102605-01 00102607-01 00102596-01 00102557-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 00-19791 G474 00-19797 G474 00-19804 G474 00-19798 G474 00-19774 G474 00-19793 G474 9108522578 G474 CDL REIMBURSG474 116020 G474 116020 G474 OcT 2023 G474 OcT 2023 G474 ocT 2023 G474 9108522578 G474 23719 G474 22958 G474 278376 G474 3034779951 G474 3034851573 G474 2130005008 G474 640111853 G474 4496-232448 G474 4496-232356 G474 4496-232363 G474 4496-232520 G474 4496-230186 G474 4496-231712 G474 4496-232026 G474 4496-232219 G474 4496-231655 G474 4496-231772 G474 4496-231243 G474 N45087 G474 13250 G474 13316 G474 13225 G474 OocT 2023 G474 ocT 2023 G474 268873 G474 116020 G474 o ecco00ce ecooac0no PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX .00 .00 -00 -00 00 .00 00 -00 -00 -00 -00 -00 00 .00 0.00 SSOTDDDDDDGDCOOCOCOCCOCOCCOSO ooo 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 11/23 AMOUNT 850 400 6975 250. 50. -03 177. -38 «39 35 177 14 448 1116 2233. 250. -00 -00 330. 236. 352. .00 00 -89 -97 239 19. -234. 74 31. 148. 45 -93 809. 431. 115. +27 12. 99 50 44 108 84 203 80 97 32 55 94 83 54 3492. 5397. 70 35 204 122 -00 850. 00 -00 2450. 1225. 1200. 00 00 00 -00 00 00 13 28 00 00 08 56 96 00 05 12 52 39 52 35 18 00 ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’ 20231120 00:00:00.000 PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 011028 4202 011028 4600 011028 4600 TOTAL COM DEV-PLANNING 011029 4100 011029 4100 011029 4113 011029 4120 011029 4120 011029 4120 011029 4120 011029 4120 011029 4120 011029 4120 011029 4202 011029 4202 011029 4205 011029 4205 011029 4205 011029 4205 011029 4205 011029 4222 011029 4224 TELEPHONE & ALAR COMPUTER/OFFICE COMPUTER/OFFICE LEGAL FEES LEGAL FEES ENFORCEMENT & IN PLAN REVIEW PLAN REVIEW PLAN REVIEW PLAN REVIEW PLAN REVIEW PLAN REVIEW PLAN REVIEW TELEPHONE & ALAR TELEPHONE & ALAR WEED CUTTING WEED CUTTING WEED CUTTING WEED CUTTING WEED CUTTING FILING FEES MICROFICHE EXPEN TOTAL COM DEV-BUILDING & CODE 011030 4202 011030 4202 011030 4225 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 TOTAL COM DEV-MUSEUM TOTAL FUND TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS RUN DATE 11/16/2023 TIME 13:45:05 15657 12617 15559 7994 8248 1800 1800 1800 1800 1800 1800 1800 1800 15657 15657 6793 6793 6793 6793 6793 554 11355 15657 15657 13590 11516 12138 12343 12768 14952 15413 15454 15573 15644 15812 FIRST COMMUNICATIONS ACCURATE OFFICE SUPPL AMAZON CAPITAL SERVIC BOND DICKSON & ASSOC MARQUARDT & BELMONTE B CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO CONSTRUCTION CO COMMUNICATIONS COMMUNICATIONS MANAGEMENT INC. MANAGEMENT INC. MANAGEMENT INC. MANAGEMENT INC. .A. MANAGEMENT INC. DUPAGE COUNTY RECORDE TKB ASSOCIATES INC HAART DAA yay ZSSL Sy www POPP PAAR RR RRR mm FIRST COMMUNICATIONS FIRST COMMUNICATIONS PHALEN CONSULTING INC SUBURBAN FAMILY MAGAZ THE FUN ONES A ZOO TO YOU INC. SUNSHINE FARM II RME AUDIO VIDEO INC ULTIMATE RENTAL SERVI GAGNEPAIN FRANCIS J SUE KLEIN WACHTER DBA VICKY S CAMPBELL DBA DONATE NILMARI CASH REQUIREMENTS BILL LIST 00102562-01 00102596-01 00102558-01 00102556-01 00102554-01 00102554-02 00102554-03 00102554-04 00102554-05 00102555-01 00102555-02 00102564-01 00102564-02 00102564-03 00102564-04 00102564-05 00102559-01 00102563-01 00102569-01 00102566-01 00102565-01 00102572-01 00102568-01 00102567-01 00102571-01 00102570-01 00102573-01 00102574-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 116020 G474 OcT 2023 G474 1VWOGDNH4RH7G474 OCT 2023 G474 12707 G474 63097 G474 63027 G474 63053 G474 63058 G474 63110 G474 63160 G474 18463 G474 18462 G474 116020 G474 116020 G474 INV-26758 G474 INV-26759 G474 INV-26757 G474 INV-26760 G474 INV-26761 G474 OcT 2023 G474 15135 G474 116020 G474 116020 G474 128 G474 10216 G474 80237 G474 2916 G474 FROSTY FEST G474 529 G474 021628 G474 FROSTY FEST G474 10022023 G474 FROSTY FEST G474 INV3588 G474 SSSCODDDDDGDOOCCOOO0N0 oo SSDDDDRGPAOOCO0O oOo ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 11/23 SALES TAX 0.00 oO. 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 5 AMOUNT 122. 20. 133. 6000. 5544. 1184. 14806. 2216. 375. 480. 1015. 475. 250. 275. 195. 195. 170. 170. 170. - 86 448. 00 8779. 85 1083 37921. 136. 136. 7350. 310. 801. 1135. 1312. -50 3548. 675. 687. 600. 1050. 787 18528. 205067 42 58 50 55 00 63 25 25 00 00 00 00 00 00 83 93 52 52 52 44 65 40 02 09 00 00 00 00 50 00 00 50 00 00 61 66 ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:45:04 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/23 SELECTION CRITERIA: payable.due_date='’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 04 - CAPITAL EQUIP. REPLACE DEPT-DIV ACCOUNT ------' TITLE------ ------------ ‘VENDOR------------ P.0.'S INVOICE BATCH SALES TAX AMOUNT 043439 4804 VEHICLES 4554 FLEET SAFETY SUPPLY 00102619-01 81875 G474 0.00 473.84 TOTAL CAPITAL EQUIPMENT REPLACE 0.00 473.84 TOTAL FUND 0.00 473.84 RUN DATE 11/16/2023 TIME 13:45:05 PENTAMATION — FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 22 ===== [Extraction: OCR (rendered-page OCR)] PAGE NUMBER: 7 ACCTPAY1 ACCOUNTING PERIOD: 11/23 PENTAMATION — FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date=’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 05 - SEWER FUND DEPT-DIV ACCOUNT INVOICE BATCH SALES TAX AMOUNT 0s 224601 UNADJUSTED CREDI 15810 SHARON HUND 00102549-01 225 INDIANWOG474 0.00 L31.,./53 TOTAL SEWER FUND 0.00 131.53 053442 4211 PRINTING & BINDI 3739 PADDOCK PUBLICATIONS 00102600-01 269665 G474 0.00 27.60 TOTAL SEWER-WWTR TREATMENT 0.00 27.60 053443 4105 CONSULTANTS 14400 7 LAYER SOLUTIONS INC 00100427-01 10240 G474 0.00 5539.83 053443 4125 SOFTWARE MAINTEN 14400 7 LAYER SOLUTIONS INC 00100426-01 10274 G474 0.00 616.66 053443 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G474 0.00 232.40 053443 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G474 0.00 232.52 053443 4202 TELEPHONE & ALAR 4207 VERIZON WIRELESS 342030672-00G474 0.00 1174.31 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 95402863377 G474 0.00 94.37 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75949900007 G474 0.00 178.44 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 30453010008 G474 0.00 57.99 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 59620987475 G474 0.00 180.10 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 39388900001 G474 0.00 60.37 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75591010006 G474 0.00 61.82 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 13427902948 G474 0.00 194.67 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 66121929971 G474 0.00 53.81 053443 4204 ELECTRIC 152 COMMONWEALTH EDISON 6755351043 G474 0.00 552.92 053443 4225 OTHER CONTRACTUA 14400 7 LAYER SOLUTIONS INC 00100425-01 10270 G474 0.00 1115.00 053443 4225 OTHER CONTRACTUA 14755 GOVTEMPSUSA 00102537-01 4282295 G474 0.00 907.64 053443 4225 OTHER CONTRACTUA 9209 THIRD MILLENNIUM ASSO 00102594-01 30647 G474 0.00 1223.38 053443 4400 VEHICLE REPAIR 3714 POMP’S TIRE SERVICE I 2130005007 G474 0.00 116.00 053443 4600 COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL ocT 2023 G474 0.00 180.25 053443 4600 COMPUTER/OFFICE 15559 AMAZON CAPITAL SERVIC 00102610-05 133446YK67T1G474 0.00 275.00 053443 4603 PARTS FOR VEHICL 3714 POMP’S TIRE SERVICE I 00102623-01 411064592 G474 0.00 1389.00 053443 4603 PARTS FOR VEHICL 3829 ATLAS BOBCAT INC 00102608-01 HT3335 G474 0.00 962.80 053443 4603 PARTS FOR VEHICL 3829 ATLAS BOBCAT INC 00102608-02 HT3333 G474 0.00 874.60 053443 4603 PARTS FOR VEHICL 3829 ATLAS BOBCAT INC 00102608-03 HT3334 G474 0.00 874.60 053443 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-231888 G474 0.00 62.69 053443 4613 POSTAGE 3597 FEDEX CORPORATION 8-297-00912 G474 0.00 31.85 053443 4630 PARTS-LIFT STATI 1320 STEINER ELECTRIC S007457100.0G474 0.00 227.88 053443 4630 PARTS-LIFT STATI 1320 STEINER ELECTRIC S007457675.0G474 0.00 69.09 053443 4630 PARTS-LIFT STATI 1320 STEINER ELECTRIC S007457675.0G474 0.00 152.55: 053443 4630 PARTS-LIFT STATI 1320 STEINER ELECTRIC S007459707.0G474 0.00 52.18 053443 4630 PARTS-LIFT STATI 14897 ADVANCED AUTOMATION & 00102611-01 23-4145 G474 0.00 1912.16 053443 4630 PARTS-LIFT STATI 15559 AMAZON CAPITAL SERVIC 00102610-04 10Y3F1XD9HKMG474 0.00 192..90 053443 4630 PARTS-LIFT STATI 2263 METROPOLITAN INDUSTRI 00102591-01 INV056000 G474 0.00 1351.19 053443 4630 PARTS-LIFT STATI 4406 U.S.A. BLUEBOOK INV00168602 G474 0.00 107.95 053443 4630 PARTS-LIFT STATI 6601 MENARDS OCT 2023 G474 0.00 T0L9 053443 4630 PARTS-LIFT STATI 6601 MENARDS OCT 2023 G474 0.00 100.84 053443 4650 MISCELLANEOUS CO 6601 MENARDS OcT 2023 G474 0.00 129.45 053443 4806 OTHER CAPITAL OU 12102 THOMAS ENGINEERING GR 00099731-01 23-482 G474 0.00 5817.08 TOTAL SEWER-SANITARY COLLECTION 0.00 27427.48 RUN DATE 11/16/2023 TIME 13:45:05 PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 23 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 8 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:45:04 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/23 SELECTION CRITERIA: payable.due_date=’ 20231120 00:00:00.000' PAYMENT TYPE: ALL FUND - 05 - SEWER FUND AS INVOICE BATCH SALES TAX AMOUNT DEPT-DIV ACCOUNT - TOTAL FUND 0.00 27586.61 RUN DATE 11/16/2023 TIME 13:45:05 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 24 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20231120 00:00:00.000' PAYMENT TYPE: ALL FUND - 06 - WATER FUND DEPT-DIV ACCOUNT - --TITLE--. 063447 4110 TRAINING & TUITI 063447 4202 TELEPHONE & ALAR 063447 4202 TELEPHONE & ALAR 063447 4203 HEATING GAS 063447 4203 HEATING GAS 063447 4225 OTHER CONTRACTUA 063447 4225 OTHER CONTRACTUA 063447 4418 DISTRIB SYSTEM R 063447 4420 PUMP STATION REP 063447 4420 PUMP STATION REP 063447 4600 COMPUTER/OFFICE 063447 4600 COMPUTER/OFFICE 063447 4603 PARTS FOR VEHICL 063447 4603 PARTS FOR VEHICL 063447 4604 TOOLS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4621 PARTS & EQUIPMEN 063447 4622 PARTS & EQUIP-PU 063447 4622 PARTS & EQUIP-PU 063447 4650 MISCELLANEOUS CO TOTAL WATER-PRODUCTION/DIST 063448 4202 TELEPHONE & ALAR 063448 4202 TELEPHONE & ALAR 063448 4203 HEATING GAS 063448 4210 REFUSE DISPOSAL 063448 4225 OTHER CONTRACTUA 063448 4225 OTHER CONTRACTUA 063448 4225 OTHER CONTRACTUA 063448 4225 OTHER CONTRACTUA 063448 4225 OTHER CONTRACTUA 063448 4225 OTHER CONTRACTUA 063448 4430 WTP OPERATIONS R 063448 4604 TOOLS & EQUIPMEN 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4626 CHEMICALS 063448 4650 MISCELLANEOUS CO 063448 4806 OTHER CAPITAL OU TOTAL WATER-TREATMENT PLANT OP RUN DATE 11/16/2023 TIME 13:45:05 12008 15657 15657 250 250 14755 9209 14866 14897 14897 12617 15559 561 6601 2013 14295 2810 4823 4823 4823 6601 6601 244 6601 6601 15657 15657 250 12080 11546 14400 14400 14400 14569 14986 14897 6601 10925 14295 1914 1914 6601 15624 -VENDOR--- ILLINOIS SECTION AWWA FIRST COMMUNICATIONS FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS GOVTEMPSUSA THIRD MILLENNIUM ASSO JUDE VICKERY ADVANCED AUTOMATION & ADVANCED AUTOMATION & ACCURATE OFFICE SUPPL AMAZON CAPITAL SERVIC HAGGERTY FORD MENARDS GRAINGER MACCARB INC CORE & MAIN LP WATER PRODUCTS AURORA WATER PRODUCTS AURORA WATER PRODUCTS AURORA MENARDS MENARDS MURPHY ACE HARDWARE 2 MENARDS MENARDS FIRST COMMUNICATIONS FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS ENGINEERING ENTERPRIS ALL TYPES ELEVATORS I 7 LAYER SOLUTIONS INC 7 LAYER SOLUTIONS INC 7 LAYER SOLUTIONS INC ORKIN NALCO CO LLC DBA NALC ADVANCED AUTOMATION & MENARDS MISSISSIPPI LIME COMP MACCARB INC ALEXANDER CHEMICAL CO ALEXANDER CHEMICAL CO MENARDS: EXCEL ELECTRIC INC. CASH REQUIREMENTS BILL LIST P.O.'S 00102583-01 00102537-01 00102594-01 00102590-01 00102611-01 00102611-03 00102610-05 00102613-02 00102584-01 00102626-01 00102626-02 00102509-02 00102582-01 00102581-01 00100425-01 00100426-01 00100427-01 00102602-01 00102580-01 00102611-02 00100398-01 00100402-01 00100399-01 00100401-01 00099742-01 PENTAMATION — FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 200084417 G474 116020 G474 116020 G474 14656900009 G474 61021010006 G474 4282295 G474 30647 G474 13799 G474 23-4145 G474 23-4149 G474 OCT 2023 G474 133446YK67T1G474 13237 G474 OCT 2023 G474 9878565598 G474 INV156032 G474 T703815 G474 0319443 G474 0318568 G474 0319369 G474 OcT 2023 G474 84061 G474 OCT 2023 G474 OcT 2023 G474 ocT 2023 G474 116020 G474 116020 G474 92163563122 G474 78440 G474 20131280 G474 10270 G474 10274 G474 10240 G474 014305022130G474 6660219754 G474 23-4147 G474 ocT 2023 G474 1698229 G474 INV154042 G474 70113 G474 74481 G474 ocT 2023 G474 5 G474 SSODDDDDCOOCDDOCOCOCCOCCOGCoe ° CSCODDDDADDDOGCOOOCC)D ° 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 9 11/23 AMOUNT 85. 415. 415. 85. 57... 907. «38 1223 400. 690. 4275. 179. 274. 77. 18. 874. 31, 218. 100. 1950. 420. 392) 649. -48 291. 68. 294 58 14063. 388 81 67112 105410. 00 46 24 80 97 65 00 00 00 72 99 77 93 37 76 00 00 00 00 50 22 44 60 whl 387. 276. 3045. 206. 1115. 616. 5539; 70. 286. 230. 164. 6465. 6543. 10201. 2679. -63 28 90 09 00 00 00 67 83 00 90 00 19 61 75 60 60 16 ===== PDF PAGE 25 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION — FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:45:04 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/23 SELECTION CRITERIA: payable.due_date=’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 06 - WATER FUND ‘Ss INVOICE BATCH SALES TAX AMOUNT DEPT-DIV ACCOUNT TOTAL FUND 0.00 119473 .76 RUN DATE 11/16/2023 TIME 13:45:05 PENTAMATION -— FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 26 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 11 DATE: 11/16/23 CITY OF WEST CHICAGO ACCTPAY1 TIME: 13:45:04 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/23 SELECTION CRITERIA: payable.due_date=’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 08 - CAPITAL PROJECTS FUND DEPT-DIV ACCOUNT - --TITLE-: INVOICE BATCH SALES TAX AMOUNT 083453 4100 LEGAL FEES 7994 BOND DICKSON & ASSOC 00102596-01 OCT 2023 G474 0.00 210.00 083453 4226 TRAFFIC SIGNAL M 5000 MEADE INC 00100485-01 706238 G474 0.00 412.52 083453 4227 STREET LIGHT MAI 5000 MEADE INC 00102588-01 706647 G474 0.00 752.52 083453 4612 STREET LIGHT MAT 2013 GRAINGER 00102613-01 9877082090 G474 0.00 418.09 083453 4643 STORM SEWER REPA 14044 OZINGA READY MIX CONC 00102606-01 ARI00816135 G474 0.00 761.50 083453 4672 BIT PATCH-HOT 12722 ALLIED ASPHALT PAVING 00101582-01 249710 G474 0.00 259.29 083453 4801 BUILDING/GROUNDS 15699 KLUBER INC 00100778-01 8701 G474 0.00 603.75 083453 4801 BUILDING/GROUNDS 15699 KLUBER INC 00100780-01 8702 G474 0.00 1451.25 083453 4818 200 MAIN ST RENO 12678 MATOCHA ASSOCIATES 00100891-01 5-A G474 0.00 6627.50 083453 4818 200 MAIN ST RENO 12678 MATOCHA ASSOCIATES 00100891-01 6-A G474 0.00 4668.00 083453 4818 200 MAIN ST RENO 12678 MATOCHA ASSOCIATES 00100891-01 7-A G474 0.00 4302.00 083453 4818 200 MAIN ST RENO 15712 CONSTRUCTION INC. 00100917-01 209 G474 0.00 132853 .43 083453 4872 ROW MATERIALS 10714 DUPAGE CTY DIV OF TRA 00102614-01 5336 G474 0.00 160.61 083453 4872 ROW MATERIALS 11210 TAPCO 00102612-01 1749659 G474 0.00 25.00 083453 4872 ROW MATERIALS 12643 KIMBALL MIDWEST 00102587-01 101590428 G474 0.00 113.70 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 117010 G474 0.00 85.70 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 117020 G474 0.00 173.40 083453 4872 ROW MATERIALS 6601 MENARDS OcT 2023 G474 0.00 60.95 TOTAL CAPITAL PROJECTS 0.00 153939.21 TOTAL FUND 0.00 153939.21 RUN DATE 11/16/2023 TIME 13:45:05 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 27 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION —- FINANCIAL MANAGEMENT SYSTEM DATE: 11/16/23 TIME: 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - 16 - MOTOR FUEL TAX FUND DEPT-DIV 163458 163458 163458 163458 163458 163458 ACCOUNT 4204 4204 4204 4204 4210 4807 TOTAL MFT-PAYROLL TOTAL FUND --TITLE-: ELECTRIC ELECTRIC ELECTRIC ELECTRIC REFUSE DISPOSAL STREET IMPROVEME RUN DATE 11/16/2023 TIME 13:45:05 152 152 152 152 13294 15706 COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON GROOT INDUSTRIES INC. HR GREEN CASH REQUIREMENTS BILL LIST INVOICE 3630091014 0423168236 0115114139 6503601005 00102333-01 2229 00100820-01 3-168426 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM BATCH G474 G474 G474 G474 G474 G474 ooocceo ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX 00 .00 .00 .00 .00 -00 .00 -00 11/23 AMOUNT 19. 59, -64 78. 2307. 1294. 65 3825 3825. 42 66 10 92 92 -66 66 ===== PDF PAGE 28 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 11/16/23 13:45:04 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’20231120 00:00:00.000’ PAYMENT TYPE: ALL FUND - DEPT-D: 433476 433476 433476 433476 TOTAL TOTAL TOTAL TOTAL TOTAL 43 - COMMUTER PARKING FUND Iv ACCOUNT ------' UT ene mmnaimacne! VENDOR------------ 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 4204 ELECTRIC 152 COMMONWEALTH EDISON 4801 BUILDING/GROUNDS 15699 KLUBER INC COMMUTER PARKING FUND FUND CHECK TRANSACTIONS EFT TRANSACTIONS REPORT RUN DATE 11/16/2023 TIME 13:45:05 CASH REQUIREMENTS BILL LIST P.0.'S INVOICE BATCH 116020 G474 116020 G474 9188799009 G474 00100776-01 8703 G474 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM o e000 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 11/23 SALES TAX 00 -00 -00 .00 .00 -00 00 -00 .00 13 AMOUNT 23 23 617 712 1377 1377 511744. Oo. 511744 94 #93 56 -50 -93 i938 67 00 67