===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT March 18, 2024 OPERATING ACCOUNT $ 817,304.46 FUNDED BY: anna GENERAL FUND $ 208,407.27 CAPITAL EQUIPMENT REPLACEMENT FUND $ 6,147.45 SEWER FUND $ 342,894.92 WATER FUND $ 39,552.31 CAPITAL PROJECTS FUND $ 201,710.35 MOTOR FUEL TAX FUND $ 8,558.19 ROOSEVELT/FABYAN TIF FUND $ 147.00 MISCELLANEOUS DEPOSITS FUND $ 4,500.00 COMMUTER PARKING FUND $ 5,386.97 APPROVED BY THE CITY COUNCIL ON: DATE: SIGNATURE: ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 14:26 SELECTION CRITERIA: transact.batch='G482’ ACCOUNTING PERIOD: 03/14/24 247 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 TOTAL CHECK 105100 105100 105100 105100 105100 105100 105100 105100 TOTAL CHECK 105100 97811 97811 97811 97811 97811 97811 97811 97811 97812 97812 97813 97814 97815 97815 97815 97815 97815 97815 97815 97815 97815 97815 97815 97816 97817 97818 97818 97818 97819 97820 97820 97820 97820 97820 97820 97820 97821 ISSUE DT 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 03/18/24 12617 12617 12617 12617 12617 12617 12617 12617 15732 15732 1914 11546 15559 15559 15559 15559 15559 15559 15559 15559 15559 15559 15559 12365 13986 13836 13836 13836 5774 1800 1800 1800 1800 1800 1800 1800 7994 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY ACCURATE OFFICE SUPPLY INC. INC. AL WARREN OIL CO. AL WARREN OIL CO. ALEXANDER CHEMICAL CORPO ALL TYPES ELEVATORS INC. AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES AMAZON CAPITAL SERVICES ANDY FRAIN SERVICES APPLIED CONCEPTS INC STA ARLINGTON POWER EQUIPMEN ARLINGTON POWER EQUIPMEN ARLINGTON POWER EQUIPMEN AWWA SOURCE WATER PROTEC CONSTRUCTION CODE CONSTRUCTION CODE CONSTRUCTION CODE CONSTRUCTION CODE CONSTRUCTION CODE CONSTRUCTION CODE CONSTRUCTION CODE Do WDWWDww RRR yy yy BOND DICKSON & CONWAY DEPT-DIV 011028 010510 063447 053443 010613 010510 053443 063447 o1 o1 063448 063448 011030 010207 010203 010910 053443 063448 010203 010203 010613 010613 010110 010613 010613 043439 043439 043439 063447 011029 011029 011029 011029 011029 011029 011029 010110 and transact.ck_date=’ 20240318 00:00:00.000’ FEB 2024 FEB 2024 FEB 2024 FEB 2024 FEB 2024 INVOICE # 610575 INVOICE # 610575 INVOICE # 610575 2681 GALS RFG & 897.7 2681 GALS RFG & 897.7 2024 DELIVERY OF HYDRO INVOICE #20138331 DATE INV# 1PDW-LTXD-7GHC; 2 FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q FEB 16: 1M1D-MMQN-CT6Q INVOICE # 17CV-HQ7Q-3L INVOICE # 13LR-KLHW-3L INVOICE #1MDK-WKLT-DCH INVOICE # 354446 SALES ORDER # 294011 MODEL #70.2013 - VENTR PART #70.8142 - UNIVER FREIGHT INBOUND INVOICE #S0133497 DATE #64020, 3/1/2024; PLAN INV# 64017, 3/1/2024; #63934, 2/20/2024; PLA #63936, 2/20/2024; PLA #63949, 2/22/2024; PLA #63971, 2/23/2024; PLA #63976, 2/26/2024; PLA PROFESSIONAL SERVICES SALES TAX eoocococnd o coo CSOOCSCCCCOCDCCDO Oo o cooo oO ecoooeoece oo ° -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 PAGE NUMBER: ACCTPA21 AMOUNT 111. 20. 20. 20. -33 99 106. 107. 521. 27 106 3,036. 86 -87 8,566 11,602 4,756 206. 52. 457. 49. 51. 25. 25. -97 1,236. - 83 .89 35. 2,085. 25 113 6,078. 4,625. 5,499. 448. 200. 6,147. 900. 375. 15,250. 375. 475. 1,300. 1,090. 375. 19,240. 250. 26 51 $1 57 99 o1 17 o1 -60 00 90 65 69 82 91 91 60 44 61 20 00 10 35 00 45 00 00 43 00 00 00 00 00 43 00 1 ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 2 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G482’ and transact .ck_date=’20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- ---------! DEPT-DIV = =----= DESCRIPTION------ SALES TAX AMOUNT 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 010110 PROFESSIONAL SERVICES 0.00 2,070.40 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 010613 PROFESSIONAL SERVICES 0.00 84.00 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 011028 PROFESSIONAL SERVICES 0.00 4,410.00 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 011029 PROFESSIONAL SERVICES 0.00 2,646.00 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 083453 PROFESSIONAL SERVICES 0.00 1,365.00 105100 97821 03/18/24 7994 BOND DICKSON & CONWAY 173454 PROFESSIONAL SERVICES 0.00 147.00 TOTAL CHECK 0.00 10,972.40 105100 97822 03/18/24 1843 CEMETERY MANAGEMENT INC. 010923 CEMETERY SEXTON SERVIC 0.00 600.00 105100 97822 03/18/24 1843 CEMETERY MANAGEMENT INC. 010923 CEMETERY SEXTON SERVIC 0.00 625.00 TOTAL CHECK 0.00 1,225.00 105100 97824 03/18/24 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 16.78 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 16.50 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 25.03 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 18.54 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 14.08 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4172348173 DA 0.00 16.50 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4172348098 DA 0.00 14.08 105100 97824 03/18/24 12380 CINTAS CORPORATION 063448 INVOICE #4172348197 DA 0.00 16.78 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4172348097 DA 0.00 25.03 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4172348152 DA 0.00 18.54 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4173790001 DA 0.00 16.50 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4173789945 DA 0.00 14.08 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4173790028 DA 0.00 18.54 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 INVOICE #4173789982 DA 0.00 25.03 105100 97824 03/18/24 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 16.78 105100 97824 03/18/24 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 16.78 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 16.50 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 25.03 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 18.54 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 14.08 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 16.50 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 25.03 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 18.54 105100 97824 03/18/24 12380 CINTAS CORPORATION 010921 BI-WEEKLY CARPET RUNNE 0.00 14.08 TOTAL CHECK 0.00 437.87 105100 97825 03/18/24 13778 CMRS-FP 010613 REPLENISH POSTAGE METE 0.00 2,000.00 105100 97826 03/18/24 5124 COLTHARP’S SALES & SERVI 010922 BLADES & CHAINS 0.00 128.01 105100 97827 03/18/24 13257 COMCAST CABLE 010203 3/5-4/4/24 0.00 544.85 105100 97828 03/18/24 151 COMED 163458 1/26-3/4/24 0.00 6,012.92 105100 97829 03/18/24 152 COMMONWEALTH EDISON 163458 1/17-2/21/24 0.00 22.16 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 32.58 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010614 1/16-2/20/24 0.00 474.44 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 13.64 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010208 1/16-2/20/24 0.00 116.34 105100 97829 03/18/24 152 COMMONWEALTH EDISON 163458 1/17-2/21/24 0.00 75.50 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 3 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G482’ and transact.ck_date='’20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VVENDOR---- ---------! DEPT-DIV = -----! DESCRIPTION------ SALES TAX AMOUNT 105100 97829 03/18/24 152 COMMONWEALTH EDISON 163458 1/17-2/21/24 0.00 94.06 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 22.61 105100 97829 03/18/24 152 COMMONWEALTH EDISON 433476 1/17-2/21/24 0.00 1,428.15 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 593.41 105100 97829 03/18/24 152 COMMONWEALTH EDISON 053443 1/16-2/20/24 0.00 688.47 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/16-2/20/24 0.00 182.18 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 1.61 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/17-2/21/24 0.00 14.98 105100 97829 03/18/24 152 COMMONWEALTH EDISON 010921 1/16-2/20/24 0.00 224.45 TOTAL CHECK 0.00 3,984.58 105100 97830 03/18/24 5511 CDW GOVERNMENT INC 010203 QUOTE NRXT148 DATE 0.00 8,268.00 105100 97830 03/18/24 5511 CDW GOVERNMENT INC 010203 QUOTE NSKW540 DELL MIC 0.00 12,815.60 TOTAL CHECK 0.00 21,083.60 105100 97831 03/18/24 15712 CONSTRUCTION INC. 083453 RESOLUTION NO. 23-R-00 0.00 118,858.57 105100 97832 03/18/24 2810 CORE & MAIN LP 053443 LID 0.00 76.00 105100 97833 03/18/24 9719 CRYSTAL MAINTENANCE SVCS 010921 RESOLUTION NO. 23-R-00 0.00 3,785.00 105100 97833 03/18/24 9719 CRYSTAL MAINTENANCE SVCS 063448 RESOLUTION NO. 23-R-00 0.00 1,890.00 105100 97833 03/18/24 9719 CRYSTAL MAINTENANCE SVCS 433476 RESOLUTION NO. 23-R-00 0.00 285.00 TOTAL CHECK 0.00 5,960.00 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 010613 FY 23 INV: 733184 0.00 165.00 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 433476 FY 23 INV: 733184 0.00 1,741.00 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 063448 INV: 723170 0.00 2,021.25 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 433476 INV: 723170 0.00 1,608.75 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 010203 INV 723170 7/14/23 0.00 412.50 105100 97834 03/18/24 12060 CURRENT TECHNOLOGIES COR 010203 INV 13846 7/28/23 0.00 9,630.05 TOTAL CHECK 0.00 15,578.55 105100 97835 03/18/24 15518 DANIEL PECK 010208 META BILLING REPORT: 2 0.00 40.00 105100 97835 03/18/24 15518 DANIEL PECK 010208 META BILLING REPORT: 1 0.00 199.19 105100 97835 03/18/24 15518 DANIEL PECK 010208 INV: 1709459336 0.00 81.00 TOTAL CHECK 0.00 320.19 105100 97836 03/18/24 9919 DOOR SYSTEMS INC. 063448 INVOICE #936575 DATED 0.00 4,400.00 105100 97837 03/18/24 892 DUPAGE COUNTY TREASURER 010613 INVOICE # JV145 0.00 217.89 105100 97838 03/18/24 5330 ESRI INC. 010204 BUILDING WEB APPS WITH 0.00 1,920.00 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010210 3/6-4/5/24 0.00 310.52 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010201 3/6-4/5/24 0.00 50.89 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010502 3/6-4/5/24 0.00 109.35 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010613 3/6-4/5/24 0.00 1,103.15 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010614 3/6-4/5/24 0.00 33.70 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010921 3/6-4/5/24 0.00 129.98 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 010924 3/6-4/5/24 0.00 178.13 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 011028 3/6-4/5/24 0.00 123.11 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 011029 3/6-4/5/24 0.00 197.04 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 4 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G482’ and transact.ck_date='’20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- ---------! DEPT-DIV 2 2 === = DESCRIPTION------— SALES TAX AMOUNT 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 011030 3/6-4/5/24 0.00 136.86 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 053443 3/6-4/5/24 0.00 233.84 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 063447 3/6-4/5/24 0.00 417.81 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 063448 3/6-4/5/24 0.00 390.30 105100 97839 03/18/24 15657 FIRST COMMUNICATIONS LLC 433476 3/6-4/5/24 0.00 24.07 TOTAL CHECK 0.00 3,438.75 105100 97840 03/18/24 15784 FIRST TOUCH WINDOW TINT 010613 INVOICE # 406 0.00 680.40 105100 97841 03/18/24 15650 FLOCK GROUP INC DBA FLOC 010613 INVOICE # INV-34671 0.00 35,000.00 105100 97842 03/18/24 15858 GONZALEZ COMPANIES LLC 163458 RESOLUTION NO. 23-R-00 0.00 2,353.55 105100 97843 03/18/24 2013 GRAINGER 063447 CLOTH RAG 0.00 225.12 105100 97844 03/18/24 1685 HACH COMPANY 063448 INVOICE #13931700 DATE 0.00 230.00 105100 97845 03/18/24 561 HAGGERTY FORD 010925 310 0.00 16.39 105100 97845 03/18/24 561 HAGGERTY FORD 010925 STOCK 0.00 32.78 105100 97845 03/18/24 561 HAGGERTY FORD 010925 354 0.00 55.00 105100 97845 03/18/24 561 HAGGERTY FORD 063447 641 0.00 76.23 105100 97845 03/18/24 561 HAGGERTY FORD 010925 382 0.00 32.21 105100 97845 03/18/24 561 HAGGERTY FORD 010925 317 0.00 113.30 105100 97845 03/18/24 561 HAGGERTY FORD 010925 STOCK 0.00 65.56 105100 97845 03/18/24 561 HAGGERTY FORD 010925 752 0.00 10.00 105100 97845 03/18/24 561 HAGGERTY FORD 010925 310 0.00 113.30 105100 97845 03/18/24 561 HAGGERTY FORD 010925 316 0.00 62.04 TOTAL CHECK 0.00 576.81 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #392936 DATED 0.00 502.52 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #392939 DATED 0.00 1,322.88 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INV 365809 11/9/22 0.00 -946.05 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #393805 DATED 0.00 524.32 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #395188 DATED 0.00 1,781.80 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 063447 INVOICE #365882 DATED 0.00 447.34 105100 97846 03/18/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #368707 DATED 0.00 111.39 TOTAL CHECK 0.00 3,744.20 105100 97847 03/18/24 12058 IDEOA 010613 INVOICE # 0000324 0.00 650.00 105100 97848 03/18/24 3420 ILLINOIS SECRETARY OF ST 010613 RENEW CONFIDENTIAL PLA 0.00 151.00 105100 97849 03/18/24 2298 LANGUAGE LINE SERVICES I 010613 INVOICE # 11235752 0.00 525.21 105100 97850 03/18/24 11415 LAYNE CHRISTENSEN COMPAN 063447 INVOICE #2657781 DATED 0.00 1,107.00 105100 97851 03/18/24 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 6954323-2024 0.00 221.88 105100 97851 03/18/24 10042 LEXISNEXIS RISK DATA MAN 010613 INV 1088361-20240229 2 0.00 178.40 TOTAL CHECK 0.00 400.28 105100 97852 03/18/24 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 277 0.00 3,382.99 105100 97852 03/18/24 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 275 0.00 2,415.00 ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G482’ and transact.ck_date='20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV 2 2 === DESCRIPTION------ SALES TAX AMOUNT 105100 97852 03/18/24 8248 MARQUARDT & BELMONTE P.C 011029 INV# 276, 2/29/2024; A 0.00 1,410.00 TOTAL CHECK 0.00 7,207.99 105100 97853 03/18/24 231 MC MASTER-CARR SUPPLY CO 063448 INVOICE #22212286 DATE 0.00 598.07 105100 97854 03/18/24 6601 MENARDS 010921 INVOICE #90995 DATED 0 0.00 435.41 105100 97854 03/18/24 6601 MENARDS 010921 INVOICE #91450 DATED 0 0.00 430.81 105100 97854 03/18/24 6601 MENARDS 010613 FEB 2024 0.00 53.88 105100 97854 03/18/24 6601 MENARDS 010924 FEB 2024 0.00 12.97 105100 97854 03/18/24 6601 MENARDS 010921 FEB 2024 0.00 855.61 105100 97854 03/18/24 6601 MENARDS 010924 FEB 2024 0.00 287.28 105100 97854 03/18/24 6601 MENARDS 053443 FEB 2024 0.00 245.71 105100 97854 03/18/24 6601 MENARDS 063448 FEB 2024 0.00 52.65 105100 97854 03/18/24 6601 MENARDS 063448 FEB 2024 0.00 42.90 105100 97854 03/18/24 6601 MENARDS 063447 FEB 2024 0.00 77.73 105100 97854 03/18/24 6601 MENARDS 063448 FEB 2024 0.00 56.33 TOTAL CHECK 0.00 2,551.28 105100 97855 03/18/24 2263 METROPOLITAN INDUSTRIES 053443 INVOICE #INV059418 DAT 0.00 1,013.90 105100 97856 03/18/24 15824 TVG-MGT HOLDINGS LP 010207 FINANCE DEPT TEMPORARY 0.00 1,569.75 105100 97857 03/18/24 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 23-R-00 0.00 8,066.48 105100 97857 03/18/24 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 23-R-00 0.00 7,853.61 TOTAL CHECK 0.00 15,920.09 105100 97858 03/18/24 5366 MONROE TRUCK EQUIPMENT I 010925 INVOICE #35813 DATED 0 0.00 1,358.93 105100 97859 03/18/24 5750 MOTION INDUSTRIES INC 010921 INV IL32-00867088 11/1 0.00 -36.52 105100 97859 03/18/24 5750 MOTION INDUSTRIES INC 063448 QUOTE #IL32-0000585138 0.00 240.12 TOTAL CHECK 0.00 203.60 105100 97860 03/18/24 244 MURPHY ACE HARDWARE 2400 010921 JAN 2023 0.00 35.97 105100 97860 03/18/24 244 MURPHY ACE HARDWARE 2400 010924 JAN 2023 0.00 14.38 105100 97860 03/18/24 244 MURPHY ACE HARDWARE 2400 053443 JAN 2023 0.00 28.95 TOTAL CHECK 0.00 79.30 105100 97861 03/18/24 14986 NALCO CO LLC DBA NALCO W 063448 INVOICE #6660246132 DA 0.00 315.59 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 TOOLS 0.00 66.47 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 19.62 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 59.64 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 787 0.00 23.22 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 880 0.00 251.28 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 354 0.00 81.58 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 361 0.00 18.76 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 192.96 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 822 0.00 63.50 105100 97862 03/18/24 4735 NAPA AUTO PARTS 063447 WINDSHIELD WASHER 0.00 23.55 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 759 0.00 25.17 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 124.78 105100 97862 03/18/24 4735 NAPA AUTO PARTS 063447 653 0.00 148.12 ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G482’ and transact.ck_date='20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- -------~-~! DEPT-DIV 2 === = DESCRIPTION— SALES TAX AMOUNT 105100 97862 03/18/24 4735 NAPA AUTO PARTS 010925 310 0.00 143.37 105100 97862 03/18/24 4735 NAPA AUTO PARTS 053443 BATTERY 0.00 130.12 TOTAL CHECK 0.00 1,372.14 105100 97863 03/18/24 14661 NEXTREQUEST CO. 010210 INVOICE # 293342 0.00 9,092.25 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 1/31-3/1/24 0.00 53.01 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 063447 1/29-2/27/24 0.00 150.16 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 063448 2/1-3/4/24 0.00 497.54 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/1-3/4/24 0.00 444.41 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 1/31-3/1/24 0.00 68.45 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/7-3/5/24 0.00 40.64 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 010921 2/1-3/4/24 0.00 554.25 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 010921 2/2-3/5/24 0.00 662.65 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/5-3/6/24 0.00 152.89 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/3-3/3/24 0.00 146.32 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/1-3/5/24 0.00 55.32 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 2/2-3/6/24 0.00 51.45 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 063447 2/2-3/5/24 0.00 106.26 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 063447 2/2-3/5/24 0.00 115.90 105100 97864 03/18/24 250 NORTHERN ILLINOIS GAS 053443 1/31-3/1/24 0.00 50.72 TOTAL CHECK 0.00 3,149.97 105100 97865 03/18/24 4303 NORTH EAST MULTI-REGIONA 010613 INVOICE # 347854 0.00 300.00 105100 97865 03/18/24 4303 NORTH EAST MULTI-REGIONA 010613 INVOICE # 347649 0.00 325.00 TOTAL CHECK 0.00 625.00 105100 97866 03/18/24 15345 PETERSON, YOLANDA 28 LOI REFUND FOR 124 MAI 0.00 3,000.00 105100 97866 03/18/24 15345 PETERSON, YOLANDA 011029 FACADE GRANT REIMBURSE 0.00 2,300.00 105100 97866 03/18/24 15345 PETERSON, YOLANDA 011029 FACADE GRANT REIMBURSE 0.00 3,115.00 TOTAL CHECK 0.00 8,415.00 105100 97867 03/18/24 14816 PIT STOP 010207 INV# LR5626479, 2/25/2 0.00 1,267.80 105100 97868 03/18/24 11873 POLLARDWATER . COMEAST 063447 INVOICE #0252898 DATED 0.00 633.75 105100 97869 03/18/24 4450 RESERVE ACCOUNT 010510 POSTAGE REFILL 0.00 300.00 105100 97869 03/18/24 4450 RESERVE ACCOUNT 053443 POSTAGE REFILL 0.00 300.00 105100 97869 03/18/24 4450 RESERVE ACCOUNT 063447 POSTAGE REFILL 0.00 300.00 105100 97869 03/18/24 4450 RESERVE ACCOUNT 433476 POSTAGE REFILL 0.00 300.00 TOTAL CHECK 0.00 1,200.00 105100 97870 03/18/24 492 RAY O’HERRON INC 010613 INVOICE # 2329092 0.00 151.39 105100 97870 03/18/24 492 RAY O’HERRON INC 010613 INVOICE # 2328864 0.00 188.00 TOTAL CHECK 0.00 339.39 105100 97871 03/18/24 11970 REGIONAL TRUCK EQUIPMENT 010925 INVOICE #280872 DATED 0.00 1,692.49 105100 97872 03/18/24 14960 RNOW INC 010925 INVOICE #2024-69363 DA 0.00 893.41 105100 97873 03/18/24 11249 SIEVERT ELECTRIC SVC 053443 INVOICE #10003164 DATE 0.00 500.00 ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:26:47 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch=’G482’ and transact.ck_date='20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- --------- DEPT-DIV 2 === == DESCRIPTION-----— SALES TAX AMOUNT 105100 97874 03/18/24 1762 SUBURBAN LABORATORIES IN 063447 INVOICE #223001 DATED 0.00 697.00 105100 97874 03/18/24 1762 SUBURBAN LABORATORIES IN 063448 INVOICE #223001 DATED 0.00 166.85 TOTAL CHECK 0.00 863.85 105100 97875 03/18/24 10996 SUPERIOR ASPHALT MATERIA 083453 INVOICE #20240046 DATE 0.00 1,101.18 105100 97875 03/18/24 10996 SUPERIOR ASPHALT MATERIA 083453 INVOICE #20240047 DATE 0.00 1,148.01 TOTAL CHECK 0.00 2,249.19 105100 97876 03/18/24 15861 TERRA INFO HOLDINGS LLC 28 LOI REFUND FOR 1112 LI 0.00 1,500.00 105100 97877 03/18/24 12102 THOMAS ENGINEERING GROUP 083453 RESOLUTION NO. 17-R-00 0.00 78,300.54 105100 97878 03/18/24 15457 T-MOBILE USA INC 010613 INVOICE # 9562126685 0.00 75.00 105100 97879 03/18/24 15072 TOSCAS LAW GROUP LLC 010613 STATEMENT DATE: 03 04 0.00 320.00 105100 97880 03/18/24 3349 TRAFFIC CONTROL AND PROT 083453 WASHER 0.00 75.00 105100 97880 03/18/24 3349 TRAFFIC CONTROL AND PROT 083453 MISC SIGN 0.00 183.25 TOTAL CHECK 0.00 258.25 105100 97881 03/18/24 2027 TRANS UNION CORPORATION 010613 INVOICE # 02400212 0.00 100.00 105100 97882 03/18/24 14915 TRITON ELECTRONICS, INC 010613 INVOICE # 7670 0.00 1,880.00 105100 97883 03/18/24 4985 THE UPS STORE 010925 DELIVERY FEES 0.00 13.47 105100 97884 03/18/24 4207 VERIZON WIRELESS 053443 3/10-4/9/24 0.00 2,808.85 105100 97885 03/18/24 4207 VERIZON WIRELESS 010613 3/7-4/6/24 0.00 1,541.23 105100 97885 03/18/24 4207 VERIZON WIRELESS 010614 3/7-4/6/24 0.00 76.02 105100 97885 03/18/24 4207 VERIZON WIRELESS 010210 3/7-4/6/24 0.00 38.01 105100 97885 03/18/24 4207 VERIZON WIRELESS 010204 3/7-4/6/24 0.00 38.01 105100 97885 03/18/24 4207 VERIZON WIRELESS 010502 3/7-4/6/24 0.00 38.01 TOTAL CHECK 0.00 1,731.28 105100 97886 03/18/24 15702 VERIZON WIRELESS SRVICES 010613 INVOICE # 9022347597 0.00 130.00 105100 97888 03/18/24 11115 WELCH BROTHERS INC. 083453 OFFSET CONE 0.00 186.00 105100 97888 03/18/24 11115 WELCH BROTHERS INC. 083453 EZ STICK ROLL 0.00 200.00 105100 97888 03/18/24 11115 WELCH BROTHERS INC. 083453 REBAR 0.00 292.80 TOTAL CHECK 0.00 678.80 105100 97889 03/18/24 15211 WEST CHICAGO PRINTING 010613 INVOICE # PGM-15492 0.00 394.50 105100 97889 03/18/24 15211 WEST CHICAGO PRINTING 010613 INVOICE # PGM-15494 0.00 1,749.00 TOTAL CHECK 0.00 2,143.50 105100 97890 03/18/24 546 WEST SIDE TRACTOR SALES 010925 INVOICE #N49655 DATED 0.00 529.70 105100 97891 03/18/24 15548 WEX BANK 010613 INVOICE #: 95604888 0.00 469.00 105100 97892 03/18/24 11177 WILKENS ANDERSON CO. 063448 #42672-08 - BUFFER SOL 0.00 295.26 105100 97892 03/18/24 11177 WILKENS ANDERSON CO. 063448 INVOICE #E1451-67 - ED 0.00 664.92 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 14:26:47 CITY OF WEST CHICAGO CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G482' and transact.ck_date='20240318 00:00:00.000’ ACCOUNTING PERIOD: 12/23 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO 105100 97892 105100 97892 TOTAL CHECK 105100 97893 105100 V97887 TOTAL CASH ACCOUNT TOTAL FUND TOTAL REPORT ISSUE DT 03/18/24 03/18/24 03/18/24 03/18/24 11177 11177 12628 15061 WILKENS ANDERSON CO. WILKENS ANDERSON CO. DEPT-DIV 063448 063448 WINDY CITY LIGHTS INC IN 011030 WCWWA 053443 #S8400-67 - SULFURIC A ESTIMATED SHIPPING INV# 7427, 3/13/2024; INVOICE # 22024WC SALES TAX ooo .00 .00 .00 .00 -00 -00 -00 .00 PAGE NUMBER: ACCTPA21 AMOUNT 1,054. -00 2,121. 107 26,513. 335,652. 817,304. 817,304. 817,304. 32 50 35 40 46 46 46 8 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT 01 131100 INVENTORY-DIESEL 15732 01 131200 INVENTORY-GASOLI 15732 TOTAL GENERAL FUND 010110 4012 CORP COUNSEL-SAL 7994 010110 4100 LEGAL FEES 7994 010110 4720 OTHER CHARGES 15559 TOTAL CITY COUNCIL-OPERATIONS 010201 4202 TELEPHONE & ALAR 15657 TOTAL CITY ADMIN - HR 010203 4109 NETWORK CHARGES 13257 010203 4125 SOFTWARE MAINTEN 5511 010203 4600 COMPUTER/OFFICE 15559 010203 4806 OTHER CAPITAL OU 12060 010203 4806 OTHER CAPITAL OU 12060 010203 4812 MIS REPLACEMENT 15559 010203 4812 MIS REPLACEMENT 15559 010203 4812 MIS REPLACEMENT 5511 TOTAL CITY ADMIN - IT 010204 4110 TRAINING & TUITI 5330 010204 4202 TELEPHONE & ALAR 4207 TOTAL CITY ADMIN - GIS 010207 4225 OTHER CONTRACTUA 14816 010207 4225 OTHER CONTRACTUA 15559 010207 4225 OTHER CONTRACTUA 15824 TOTAL CITY ADMIN-SPECIAL PROJ 010208 4204 ELECTRIC 152 010208 4212 ADVERTISING 15518 010208 4212 ADVERTISING 15518 010208 4225 OTHER CONTRACTUA 15518 TOTAL CITY ADMIN-MARKET/COMM 010210 4125 SOFTWARE MAINTEN 14661 010210 4202 TELEPHONE & ALAR 15657 010210 4202 TELEPHONE & ALAR 4207 TOTAL CITY ADMIN-ADMIN RUN DATE 03/14/2024 TIME 09:46:36 AL WARREN OIL CO. INC AL WARREN OIL CO. INC BOND DICKSON & CONWAY BOND DICKSON & CONWAY AMAZON CAPITAL SERVIC FIRST COMMUNICATIONS COMCAST CABLE CDW GOVERNMENT INC AMAZON CAPITAL SERVIC CURRENT TECHNOLOGIES CURRENT TECHNOLOGIES AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC CDW GOVERNMENT INC ESRI INC. VERIZON WIRELESS PIT STOP AMAZON CAPITAL SERVIC TVG-MGT HOLDINGS LP COMMONWEALTH EDISON DANIEL PECK DANIEL PECK DANIEL PECK NEXTREQUEST CO. FIRST COMMUNICATIONS VERIZON WIRELESS 00103401-01 00103401-01 00103399-01 00103399-01 00103400-01 00103250-01 00103330-01 00103345-02 00103346-02 00103330-01 00103330-01 00103206-01 00103380-02 00103358-01 00103330-01 00103407-01 00103390-01 00103390-02 00103390-03 00103344-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH W1634140 G482 W1634139 G482 FEB 2024 G482 FEB 2024 G482 1MDKWKLTDCHJG4 82 00116020 G482 877120038038G482 PT22885 G482 1KT9ITMVVP7LCG4 82 13846 G482 723170 G482 1T9XPLDGF6TMG4 82 13XG499FDKPQG4 82 PQ58308 G482 171017272219G482 980505522-00G482 LR5626479 G482 1M1DMMQNCT6QG4 82 35379 G482 9831782222 G482 REIMBURSEMENG4 82 REIMBURSEMENG4 82 REIMBURSEMENG4 82 293342 G482 00116020 G482 980505522-00G482 o C0 0 GeC0RDR0R000O oO oo PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/23 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 0.00 C00 0 C000 0 ° -00 -00 -00 00 00 .00 00 .00 -00 -00 1 AMOUNT 3036 8566 11602 250. 2070. 35. 2355. 50. 50. 544 8268 412 25 1236 12815 32983 1920. O21 38 1958 1267 457 1569 3295 116 199 40. 81. 436. 9092. 310. 38. 9440. 01 86 .87 00 40 44 84 89 89 .85 .00 49. 9630. .50 197 60 -60 69 05 26 00 O21 .80 -65 .75 -20 .34 .19 00 00 53 25 52 o1 78 ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 03/14/24 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010502 4202 010502 4202 TELEPHONE & ALAR TELEPHONE & ALAR TOTAL ADMIN SERVICES-ACCTG 010510 4600 010510 4600 010510 4613 COMPUTER/OFFICE COMPUTER/OFFICE POSTAGE TOTAL ADMIN SERVICES-ADMIN 010613 4100 010613 4100 010613 4100 010613 4100 010613 4110 010613 4110 010613 4110 010613 4125 010613 4125 010613 4125 010613 4202 010613 4202 010613 4211 010613 4211 010613 4211 010613 4211 010613 4225 010613 4225 010613 4225 010613 4225 010613 4225 010613 4225 010613 4232 010613 4423 010613 4423 010613 4600 010613 4601 010613 4607 010613 4613 010613 4615 010613 4615 010613 4616 010613 4640 TOTAL POLICE-OPERATIONS 010614 4202 LEGAL FEES LEGAL FEES LEGAL FEES LEGAL FEES TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI SOFTWARE MAINTEN SOFTWARE MAINTEN SOFTWARE MAINTEN TELEPHONE & ALAR TELEPHONE & ALAR PRINTING & BINDI PRINTING & BINDI PRINTING & BINDI PRINTING & BINDI OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA CROSSING GUARD-C RADIO/RADAR EQUI RADIO/RADAR EQUI COMPUTER/OFFICE FIELD EQUIPMENT GAS & OIL POSTAGE UNIFORMS/SAFETY UNIFORMS/SAFETY VEHICLE LICENSE CRIME PREVENTION TELEPHONE & ALAR RUN DATE 03/14/2024 TIME 09:46:36 15657 4207 12617 12617 4450 15072 7994 8248 8248 12058 4303 4303 12060 15650 892 15657 2298 15211 15211 15559 15559 10042 10042 15457 15702 2027 4207 12365 13986 14915 6601 15784 15548 13778 492 492 3420 12617 152 FIRST COMMUNICATIONS VERIZON WIRELESS ACCURATE OFFICE SUPPL ACCURATE OFFICE SUPPL RESERVE ACCOUNT TOSCAS LAW GROUP LLC BOND DICKSON & CONWAY MARQUARDT & BELMONTE MARQUARDT & BELMONTE IDEOA NORTH EAST MULTI-REGI NORTH EAST MULTI-REGI CURRENT TECHNOLOGIES FLOCK GROUP INC DBA F DUPAGE COUNTY TREASUR FIRST COMMUNICATIONS LANGUAGE LINE SERVICE WEST CHICAGO PRINTING WEST CHICAGO PRINTING AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC LEXISNEXIS RISK DATA LEXISNEXIS RISK DATA T-MOBILE USA INC VERIZON WIRELESS SRVI TRANS UNION CORPORATI VERIZON WIRELESS ANDY FRAIN SERVICES APPLIED CONCEPTS INC TRITON ELECTRONICS, I MENARDS FIRST TOUCH WINDOW TI WEX BANK CMRS-FP RAY O'HERRON INC RAY O’HERRON INC ILLINOIS SECRETARY OF ACCURATE OFFICE SUPPL COMMONWEALTH EDISON P.O.'S 00103343-01 00103405-01 00103334-01 00103399-01 00103340-01 00103340-02 00103329-01 00103377-01 00103377-02 00103347-01 00103352-01 00103337-01 00103333-01 00103378-01 00103404-01 00103331-01 00103331-02 00103336-01 00103353-02 00103379-01 00103338-01 00103360-01 00103402-01 00102886-01 00103332-01 00103361-01 00103335-01 00103341-01 00103339-01 00103354-01 00103351-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE 00116020 G482 980505522-00G482 FEB 2024 G482 610575 G482 POSTAGE REFIG482 RED LIGHT VIG482 FEB 2024 G482 277 G482 275 G482 0000324 G482 347854 G482 347649 G482 733184 G482 INV-34671 G482 gvi4s5 G482 00116020 G482 11235752 G482 PGM-15492 G482 PGM-15494 G482 17CVHQ7Q3LVMG4 82 13LRKLHW3LVJG482 6954323-2024G482 1088361-2024G482 9562126685 G482 9022347597 G482 02400212 G482 980505522-00G482 354446 G482 434153 G482 7670 G482 FEB 2024 G482 406 G482 95604888 G482 600047166 G482 2328864 G482 2329092 G482 2010 TAURUS G482 FEB 2024 G482 8149196000 G482 BATCH ooo SOSTSOSCDDCDCDDDDDOCOCDCOCOOCOCOOCOOCOOCOOCO 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 2 12/23 AMOUNT 109. 38. 147. 20. -99 300. 106 427 320. -00 99 -00 -00 -00 -00 -00 35000. -89 -15 +21 -50 84 3382 2415 650 300 325 165 217 1103 525 394 1749. 113. .89 221. 178. 75. 130. 100. 1541. 6078. 4625. 1880. -88 680. 469. 2000. 188. 151. 151. -33 53 27 65306. 474 35 o1 36 51 00 -50 00 00 00 83 88 40 00 00 00 23 20 00 00 40 00 00 00 39 00 17 44 ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND ACCOUNT DEPT-DIV 010614 4202 010614 4225 TOTAL POLICE-ESDA 010910 TOTAL PUBLIC WORKS-ADMIN 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 4600 4202 4203 4203 4204 4204 4204 4204 4204 4204 4204 4204 4219 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4225 4650 4650 4650 4650 4650 --TITLE- TELEPHONE & ALAR OTHER CONTRACTUA COMPUTER/OFFICE TELEPHONE & ALAR HEATING GAS HEATING GAS ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC CONTRACT JANITOR OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER OTHER CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA CONTRACTUA MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TOTAL PUBLIC WORKS-MUN PROP RUN DATE 03/14/2024 TIME 09:46:36 15657 4207 15559 15657 250 250 152 152 152 152 152 152 152 152 9719 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 12380 244 5750 6601 6601 6601 FIRST C ‘OMMUNI CATIONS VERIZON WIRELESS AMAZON CAPITAL SERVIC 00103330-01 FIRST C ‘OMMUNI CATIONS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS COMMONW: COMMONW: COMMONW: COMMONW: COMMONW: COMMONW: COMMONW: COMMONW: CRYSTAL CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS CINTAS MURPHY MOTION MENARDS MENARDS MENARDS EALTH EDISON EALTH EDISON EALTH EDISON EALTH EDISON EALTH EDISON EALTH EDISON EALTH EDISON EALTH EDISON MAINTENANCE S CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION CORPORATION ACE HARDWARE 2 INDUSTRIES INC 00102947-01 00100596-02 00100596-02 00100596-02 00100596-03 00100596-03 00100596-03 00100596-04 00100596-04 00100596-04 00100596-05 00100596-05 00100596-05 00103367-02 00103367-03 00103367-05 00103367-06 00103367-07 00103367-08 00103367-09 00103367-10 00103298-03 00103234-01 00103286-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE 00116020 BATCH G482 980505522-00G482 1KC4CRCR4TRKG482 00116020 70273900004 04739367748 7593217000 6468407000 1184452222 0583336000 2946479000 6615107000 0885107000 7321641222 31542 4170924247 4168090801 4169520669 4169520579 4168090837 4170924137 4170924187 4168090809 4169520713 4169520611 4168090853 4170924148 4172348173 4172348098 4172348097 4172348152 4173790001 4173789945 4173790028 4173789982 JAN 2023 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 G482 IL32-0086708G482 FEB 2024 90995 91450 G482 G482 G482 oo SO SSDDSPDDDDDDCDDODODOODCOCOCOCCOCOCC COC 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 12/23 AMOUNT 33 584 51. 51. 129. .65 .25 64 .58 61 41 .18 61 98 45 3785. -50 -50 -50 -03 -03 -03 54 54 54 -08 -08 -08 -50 662 554 13 32 22 593 182 14 224 16 16 16 25 25 25 18 18 18 14 14 14 16 14. 2s. 18. 16. 14. 18. 25. 35. 36. -61 435. 430. 855 8309. -70 76. 02 16 82 82 98 00 08 03 54 50 08 54 03 97 52 41 81 37 ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 4604 TOOLS & EQUIPMEN 010922 TOTAL PUBLIC WORKS-FORESTRY 4209 4217 INTERMENT CEMETERY SEXTON 010923 010923 TOTAL PUBLIC WORKS-CEMETERIES 010924 4202 TELEPHONE & ALAR 010924 4604 TOOLS & EQUIPMEN 010924 4650 MISCELLANEOUS CO 010924 4650 MISCELLANEOUS CO TOTAL PUBLIC WORKS-R & B 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4603 PARTS FOR VEHICL 010925 4604 TOOLS & EQUIPMEN 010925 4650 MISCELLANEOUS CO RUN DATE 03/14/2024 TIME 09:46:36 1843 1843 15657 6601 244 6601 11970 13701 13701 13701 13701 13701 13701 14960 4735 4735 4735 4735 4735 4735 4735 4735 4735 4735 4735 5366 546 561 561 561 561 561 561 561 561 561 4735 4985 ---VENDOR------------ P.O.’S COLTHARP’S SALES & SE CEMETERY MANAGEMENT I 00103157-01 CEMETERY MANAGEMENT I 00103157-01 FIRST COMMUNICATIONS MENARDS MURPHY ACE HARDWARE 2 MENARDS REGIONAL TRUCK EQUIPM 00103392-01 HENDERSON TRUCK EQUIP 00103368-02 HENDERSON TRUCK EQUIP 00103369-01 HENDERSON TRUCK EQUIP 00103369-02 HENDERSON TRUCK EQUIP 00103369-03 HENDERSON TRUCK EQUIP 00103369-04 HENDERSON TRUCK EQUIP 00103369-05 RNOW INC 00103393-01 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 MONROE TRUCK EQUIPMEN 00103395-01 WEST SIDE TRACTOR SAL 00103391-01 HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD HAGGERTY FORD NAPA AUTO PARTS THE UPS STORE PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 51646 G482 00-19954 G482 00-19948 G482 00116020 G482 FEB 2024 G482 JAN 2023 G482 FEB 2024 G482 280872 G482 368707 G482 392936 G482 392939 G482 393805 G482 395188 G482 365809 G482 2024-69363 G482 4496-241685 G482 4496-241916 G482 4496-241965 G482 4496-242061 G482 4496-242062 G482 4496-242272 G482 4496-242322 G482 4496-242324 G482 4496-242614 G482 4496-242449 G482 4496-242451 G482 35813 G482 N49655 G482 14366 G482 14386 G482 14426 G482 14455 G482 14451 G482 14522 G482 14293 G482 14294 G482 14356 G482 4496-240609 G482 1Z6149E00387G482 ° SSOCOCOCOCDDDDDDCODDCOODODDODCDOCODDODOO00G0 G0 COCO PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 12/23 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 AMOUNT 128 128. 625. 600. 1225. 178. 12. 38 287. 14 492. 1692. 111. 502. 1322. 524. 1781. -946. 41 19. 59. 22 251. 81. 18. 192. 63. .37 25. 124. 1358. 529. 32. .30 65. 10. .30 04 .39 78 55. -47 «47 893 23 143 113 113 62 16 32 66 13 O21 01 00 00 00 13 97 28 76 49 39 52 88 32 80 05 62 64 28 58 76 96 50 17 78 93 70 21 56 00 00 ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ’20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ------TITLE-- INVOICE BATCH SALES TAX AMOUNT TOTAL PUBLIC WORKS-MAINT GAR 0.00 9355.79 011028 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 00103399-01 FEB 2024 G482 0.00 4410.00 011028 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 00116020 G482 0.00 123.11 011028 4600 COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL FEB 2024 G482 0.00 111.26 TOTAL COM DEV-PLANNING 0.00 4644.37 011029 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 00103399-01 FEB 2024 G482 0.00 2646.00 011029 4100 LEGAL FEES 8248 MARQUARDT & BELMONTE 00103365-01 276 G482 0.00 1410.00 011029 4113 ENFORCEMENT & IN 1800 B & F CONSTRUCTION CO 00103356-01 64017 G482 0.00 15250.43 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-01 63934 G482 0.00 375.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-02 63936 G482 0.00 475.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-03 63949 G482 0.00 1300.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-04 63971 G482 0.00 1090.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-05 63976 G482 0.00 375.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00103357-06 64020 G482 0.00 375.00 011029 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 00116020 G482 0.00 197.04 011029 4813 FACADE PROGRAM 15345 PETERSON, YOLANDA 00103366-01 2023-R-0034 G482 0.00 3115.00 011029 4813 FACADE PROGRAM 15345 PETERSON, YOLANDA 00103366-02 2023-R-0035 G482 0.00 2300.00 TOTAL COM DEV-BUILDING & CODE 0.00 28908 .47 011030 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 00116020 G482 0.00 136.86 011030 4680 SPECIAL EVENTS 12628 WINDY CITY LIGHTS INC 00103406-01 7427 G482 0.00 26513 .35 011030 4680 SPECIAL EVENTS 15559 AMAZON CAPITAL SERVIC 00103359-01 1PDWLTXD7GHCG482 0.00 52.90 TOTAL COM DEV-MUSEUM 0.00 26703.11 TOTAL FUND 0.00 208407.27 RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 6 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 04 - CAPITAL EQUIP. REPLACE DEPT-DIV ACCOUNT --VENDOR--— .0.'S INVOICE BATCH SALES TAX AMOUNT 043439 4804 VEHICLES 13836 ARLINGTON POWER EQUIP 00103164-01 183739 G482 0.00 5499.10 043439 4804 VEHICLES 13836 ARLINGTON POWER EQUIP 00103164-02 183739 G482 0.00 448.35 043439 4804 VEHICLES 13836 ARLINGTON POWER EQUIP 00103164-03 183739 G482 0.00 200.00 TOTAL CAPITAL EQUIPMENT REPLACE 0.00 6147.45 0.00 6147.45 TOTAL FUND RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 22 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between '20240317 00:00:00.000’ and ’20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 05 - SEWER FUND DEPT-DIV -- P.0.’S INVOICE BATCH SALES TAX AMOUNT 053443 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 00116020 G482 0.00 233.84 053443 4202 TELEPHONE & ALAR 4207 VERIZON WIRELESS 342030672-00G482 0.00 2808.85 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75949900007 G482 0.00 152.89 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 59620987475 G482 0.00 146.32 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 30453010008 G482 0.00 55.32 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 95402863377 G482 0.00 51.45 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 39388900001 G482 0.00 50.72 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75591010006 G482 0.00 53.01 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 13427902948 G482 0.00 444.41 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 03056642063 G482 0.00 68.45 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 66121929971 G482 0.00 40.64 053443 4204 ELECTRIC 152 COMMONWEALTH EDISON 1370507000 G482 0.00 688.47 053443 4235 WASTEWATER TREAT 15061 WCWWA 00103342-01 22024WC G482 0.00 335652.40 053443 4410 SEWER MAIN REPAI 11249 SIEVERT ELECTRIC SVC 00103375-01 10003164 G482 0.00 500.00 053443 4600 COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL FEB 2024 G482 0.00 20.57 053443 4600 COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL 00103343-01 610575 G482 0.00 106.99 053443 4600 COMPUTER/OFFICE 15559 AMAZON CAPITAL SERVIC 00103330-01 1KC4CRCR4TRXG482 0.00 25.91 053443 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-243403 G482 0.00 130.12 053443 4613 POSTAGE 4450 RESERVE ACCOUNT 00103405-01 POSTAGE REFIG482 0.00 300.00 053443 4630 PARTS-LIFT STATI 2263 METROPOLITAN INDUSTRI 00103396-01 INV059418 G482 0.00 1013.90 053443 4639 PARTS-MAINS 2810 CORE & MAIN LP U408508 G482 0.00 76.00 053443 4650 MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 JAN 2023 G482 0.00 28.95 053443 4650 MISCELLANEOUS CO 6601 MENARDS FEB 2024 G482 0.00 245.71 TOTAL SEWER-SANITARY COLLECTION 0.00 342894.92 0.00 342894.92 TOTAL FUND RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 23 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ’20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 06 - WATER FUND DEPT-DIV ACCOUNT 063447 4202 063447 4203 063447 4203 063447 4203 063447 4207 063447 4225 063447 4420 063447 4600 063447 4600 063447 4603 063447 4603 063447 4603 063447 4603 063447 4604 063447 4613 063447 4650 063447 4650 TELEPHONE & ALAR HEATING GAS HEATING GAS HEATING GAS LAB SERVICES OTHER CONTRACTUA PUMP STATION REP COMPUTER/OFFICE COMPUTER/OFFICE PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL PARTS FOR VEHICL TOOLS & EQUIPMEN POSTAGE MISCELLANEOUS CO MISCELLANEOUS CO TOTAL WATER-PRODUCTION/DIST 063448 4202 063448 4203 063448 4207 063448 4219 063448 4225 063448 4225 063448 4225 063448 4225 063448 4225 063448 4225 063448 4225 063448 4600 063448 4604 063448 4624 063448 4625 063448 4625 063448 4625 063448 4625 063448 4625 063448 4626 063448 4626 063448 4626 063448 4642 063448 4642 063448 4650 063448 4806 TELEPHONE & ALAR HEATING GAS LAB SERVICES CONTRACT JANITOR OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA COMPUTER/OFFICE TOOLS & EQUIPMEN PARTS-BUILDING R LAB SUPPLIES LAB SUPPLIES LAB SUPPLIES LAB SUPPLIES LAB SUPPLIES CHEMICALS CHEMICALS CHEMICALS PARTS - WTP OPER PARTS - WTP OPER MISCELLANEOUS CO OTHER CAPITAL OU TOTAL WATER-TREATMENT PLANT OP RUN DATE 03/14/2024 TIME 09:46:36 15657 250 250 250 1762 5774 11415 12617 12617 13701 4735 4735 561 11873 4450 2013 6601 15657 250 1762 9719 11546 12380 12380 12380 12380 14986 9919 15559 6601 231 11177 11177 11177 11177 1685 10925 10925 1914 5750 6601 6601 12060 ~-VENDOR----- FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS NORTHERN ILLINOIS GAS SUBURBAN LABORATORIES AWWA SOURCE WATER PRO LAYNE CHRISTENSEN COM ACCURATE OFFICE SUPPL ACCURATE OFFICE SUPPL HENDERSON TRUCK EQUIP NAPA AUTO PARTS NAPA AUTO PARTS HAGGERTY FORD POLLARDWATER . COMEAST RESERVE ACCOUNT GRAINGER MENARDS FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS SUBURBAN LABORATORIES CRYSTAL MAINTENANCE S ALL TYPES ELEVATORS I CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION NALCO CO LLC DBA NALC DOOR SYSTEMS INC. AMAZON CAPITAL SERVIC MENARDS MC MASTER-CARR SUPPLY WILKENS ANDERSON CO. WILKENS ANDERSON CO. WILKENS ANDERSON CO. WILKENS ANDERSON CO. HACH COMPANY MISSISSIPPI LIME COMP MISSISSIPPI LIME COMP ALEXANDER CHEMICAL CO MOTION INDUSTRIES INC MENARDS MENARDS CURRENT TECHNOLOGIES 00103397-01 00103387-01 00103373-01 00103343-01 00103368-01 00103376-01 00103405-01 00103397-01 00102947-01 00103398-01 00100596-01 00100596-01 00100596-01 00103367-04 00103383-01 00103394-01 00103330-01 00103386-01 00103107-01 00103107-03 00103107-04 00103107-05 00103385-01 00102864-01 00102864-01 00102860-01 00103298-01 00103346-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE 00116020 G482 96104010002 G482 61021010006 G482 14656900009 G482 223001 G482 $0133497 G482 2657781 G482 FEB 2024 G482 610575 G482 365882 G482 4496-242338 G482 4496-242466 G482 14281 G482 0252898 G482 POSTAGE REFIG482 9022820873 G482 FEB 2024 G482 00116020 G482 92163563122 G482 223001 G482 31542 G482 20138331 G482 4169520778 G482 4170924299 G482 4168090950 G482 4172348197 G482 6660246132 G482 936575 G482 1KC4CRCR4TRXG482 FEB 2024 G482 22212286 G482 $1207561.001G482 $1207561.001G482 $1207561.001G482 $1207561.001G482 13931700 G482 1714829 G482 1715680 G482 78457 G482 IL32-0087605G482 FEB 2024 G482 FEB 2024 G482 723170 G482 BATCH eCOCOCOCODDC OOOO OOCCO SSOCSCDDDDDDDCOCODCDODDOOCOOGOOGDO 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 8 12/23 AMOUNT 417 5553 390. 497. 166. 1890. 206. 16. 16. 16. 16. 315. 4400. 25. 42. 598. 295. 664. 32 107. 230. 8066. -61 1054 7853 4756. 240. $2. 56. 2021. 33998. 81 150. 106. 115. 697. 900. 1107. 20. 107. 447. 23. 148. 76. 633. 300. 225. 77. 16 26 90 00 00 00 51 o1 34 55 12 23 75 00 12 73 49 30 54 85 00 00 78 78 78 78 59 00 91 90 07 26 92 00 00 48 60 12 65 33 25 82 ===== PDF PAGE 24 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 9 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 06 - WATER FUND iS INVOICE BATCH SALES TAX AMOUNT DEPT-DIV TOTAL FUND 0.00 39552.31 RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 25 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 08 - CAPITAL PROJECTS FUND DEPT-DIV Ss INVOICE BATCH SALES TAX AMOUNT 083453 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 00103399-01 FEB 2024 G482 0.00 1365.00 083453 4225 OTHER CONTRACTUA 12102 THOMAS ENGINEERING GR 00103382-01 24-031 G482 0.00 78300.54 083453 4643 STORM SEWER REPA 11115 WELCH BROTHERS INC. 3263244 G482 0.00 186.00 083453 4643 STORM SEWER REPA 11115 WELCH BROTHERS INC. 3263898 G482 0.00 200.00 083453 4643 STORM SEWER REPA 11115 WELCH BROTHERS INC. 3263899 G482 0.00 292.80 083453 4671 BIT PATCH-COLD 10996 SUPERIOR ASPHALT MATE 00103370-01 20240046 G482 0.00 1101.18 083453 4671 BIT PATCH-COLD 10996 SUPERIOR ASPHALT MATE 00103370-02 20240047 G482 0.00 1148.01 083453 4818 200 MAIN ST RENO 15712 CONSTRUCTION INC. 00100917-01 261 G482 0.00 118858.57 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 118144 G482 0.00 75.00 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 118160 G482 0.00 183.25 TOTAL CAPITAL PROJECTS 0.00 201710.35 0.00 201710.35 TOTAL FUND RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 26 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 03/14/24 TIME: 09 2:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000' PAYMENT TYPE: ALL FUND - 16 - MOTOR FUEL TAX FUND DEPT-DIV 163458 163458 163458 163458 163458 ACCOUNT ------ TITLE------ ------------ VENDOR------------ 4204 ELECTRIC 151 COMED 4204 ELECTRIC 152 COMMONWEALTH EDISON 4204 ELECTRIC 152 COMMONWEALTH EDISON 4204 ELECTRIC 152 COMMONWEALTH EDISON 4807 STREET IMPROVEME 15858 TOTAL MFT-PAYROLL TOTAL FUND RUN DATE 03/14/2024 TIME 09:46:36 JS INVOICE 7688378000 6202832222 2506186000 8704833000 GONZALEZ COMPANIES LL 00103381-01 18224 (01) PENTAMATION - FINANCIAL MANAGEMENT SYSTEM BATCH G482 G482 G482 G482 G482 oooco ° PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 .00 00 00 -00 .00 11 12/23 AMOUNT 6012 94 22 2353 8558. 8558 +92 75. -06 -16 55 50 19 .19 ===== PDF PAGE 27 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 12 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 17 - ROOSEVELT/FABYAN TIF DEPT-DIV ACCOUNT Ss INVOICE BATCH SALES TAX AMOUNT 173454 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 00103399-01 FEB 2024 G482 0.00 147.00 TOTAL 0.00 147.00 TOTAL FUND 0.00 147.00 RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 28 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 13 DATE: 03/14/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 09:46:35 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 12/23 SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and '20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 28 - MISCELLANEOUS DEPOSITSIN DEPT-DIV -- P.O0.'S INVOICE BATCH SALES TAX AMOUNT 28 224500 MISCELLANEOUS DE 15345 PETERSON, YOLANDA 00103366-03 124 MAIN G482 0.00 3000.00 28 224500 MISCELLANEOUS DE 15861 TERRA INFO HOLDINGS L 00103355-01 1112 LILLIANG482 0.00 1500.00 TOTAL MISCELLANEOUS DEPOSITSIN 0.00 4500.00 0.00 4500.00 TOTAL FUND RUN DATE 03/14/2024 TIME 09:46:36 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 29 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: TIME: 03/14/24 09:46:35 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date between ‘20240317 00:00:00.000’ and ‘20240318 00:00:00.000’ PAYMENT TYPE: ALL FUND - 43 - COMMUTER PARKING FUND DEPT-D 433476 433476 433476 433476 433476 433476 TOTAL TOTAL TOTAL TOTAL TOTAL IV ACCOUNT 4202 4204 4219 4225 4225 4613 TELEPHONE & ALAR ELECTRIC CONTRACT JANITOR OTHER CONTRACTUA OTHER CONTRACTUA POSTAGE COMMUTER PARKING FUND FUND CHECK TRANSACTIONS EFT TRANSACTIONS REPORT RUN DATE 03/14/2024 TIME 09:46:36 15657 152 9719 12060 12060 4450 FIRST COMMUNICATIONS COMMONWEALTH EDISON P.O.‘S INVOICE BATCH 00116020 G482 2841869000 G482 CRYSTAL MAINTENANCE S 00102947-01 31542 G482 CURRENT TECHNOLOGIES CURRENT TECHNOLOGIES RESERVE ACCOUNT 00103346-01 723170 G482 00103347-01 733184 G482 00103405-01 POSTAGE REFIG482 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM o o00000 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: SALES TAX -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 -00 14 12/23 AMOUNT 24 1428 1608 1741 5386 5386 481652 335652 817304 07 15 285. -75 -00 300. 00 00 97 97 06 40 +46