===== PDF PAGE 1 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT September 16, 2024 OPERATING ACCOUNT $ 550,914.43 FUNDED BY: secsecseeteeentenseeoneonte GENERAL FUND $ 143,532.25 CAPITAL EQUIPMENT REPLACEMENT FUND = $ 5,122.85 SEWER FUND $ 283,117.33 WATER FUND $ 82,759.65 CAPITAL PROJECTS FUND $ 21,786.68 MOTOR FUEL TAX FUND $ 7,742.45 MISCELLANEOUS DEPOSITS FUND $ 6,500.00 COMMUTER PARKING FUND $ 353.22 APPROVED BY THE CITY COUNCIL ON: DATE: SIGNATURE; ===== PDF PAGE 2 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 1 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494’ and transact.ck_date=’20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- ~-------- DEPT-DIV 22 === == DESCRIPTION------ SALES TAX AMOUNT 105100 99052 09/16/24 15716 ABC BUSINESS FORMS INC D 010208 INVOICE: 287577 0.00 354.00 105100 99053 09/16/24 12617 ACCURATE OFFICE SUPPLY 010510 AUG 2024 0.00 113.46 105100 99053 09/16/24 12617 ACCURATE OFFICE SUPPLY 063447 AUG 2024 0.00 113.46 105100 99053 09/16/24 12617 ACCURATE OFFICE SUPPLY 053443 AUG 2024 0.00 113.81 105100 99053 09/16/24 12617 ACCURATE OFFICE SUPPLY 010921 AUG 2024 0.00 234.39 TOTAL CHECK 0.00 575.12 105100 99054 09/16/24 15732 AL WARREN OIL CO. INC. 01 4600 GALS RFG & 2500 G 0.00 7,527.00 105100 99054 09/16/24 15732 AL WARREN OIL CO. INC. ol 4600 GALS RFG & 2500 G 0.00 13,566.32 TOTAL CHECK 0.00 21,093.32 105100 99055 09/16/24 11546 ALL TYPES ELEVATORS INC. 063448 INVOICE #20148840 DATE 0.00 206.00 105100 99056 09/16/24 12722 ALLIED ASPHALT PAVING CO 083453 PURCHASE OF ASPHALT MA 0.00 151.28 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 053443 INVOICE #1KYC-C6PL-DCH 0.00 61.08 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 053443 INVOICE #1Y3K-4RY7-9D1 0.00 38.67 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 063448 INVOICE #1FDV-QVX9-1GY 0.00 57.58 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 16LY-WNVM-FP 0.00 156.42 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1XFW-P3RG-F4 0.00 47.88 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 011029 INV# 1Y3K-4RY7-6WYF, 8 0.00 273.90 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 011030 INV# 1NVN-LGYN-3NVL, 8 0.00 136.00 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 011030 INV# 13NK-TGXH-41MK, 9 0.00 14.99 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 011028 INV# 11MT-9KLP-4KR4, 8 0.00 25.33 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 011028 INV# 1T64-9WNJ-4DFQ, 8 0.00 109.00 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 164R-C3FL-TT 0.00 74.97 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010925 INVOICE #1RCK-76LH-4H1 0.00 109.99 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1GLM-7JJX-4X 0.00 240.89 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1RQF-MK6P-DK 0.00 8.59 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1L99-GR17-DR 0.00 197.98 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1461-KVRR-KY 0.00 136.40 105100 99057 09/16/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1MCR-XMK1-L3 0.00 136.40 TOTAL CHECK 0.00 1,826.07 105100 99058 09/16/24 13986 APPLIED CONCEPTS INC STA 010613 INVOICE # 443426 0.00 188.94 105100 99058 09/16/24 13986 APPLIED CONCEPTS INC STA 010613 INVOICE # 443309 0.00 935.04 TOTAL CHECK 0.00 1,123.98 105100 99059 09/16/24 14134 AREA DUPAGE TOWING 010613 INVOICE CALL # 40912 0.00 165.00 105100 99060 09/16/24 15350 AT&T 010613 INVOICE # 523654 0.00 1,600.00 105100 99061 09/16/24 3829 ATLAS BOBCAT INC 053443 INVOICE #HT6468 DATED 0.00 258.46 105100 99062 09/16/24 15935 AVILES JOSEFINA 010502 MILEAGE, PARKING, TOLL 0.00 102.53 105100 99063 09/16/24 5774 AWWA SOURCE WATER PROTEC 063447 ORDER #7002243684 DATE 0.00 83.00 105100 99064 09/16/24 1800 B & F CONSTRUCTION CODE 011029 #65859, 9/3/2024; INSP 0.00 15,250.44 105100 99064 09/16/24 1800 B & F CONSTRUCTION CODE 011029 #65404, 7/24/2024; PLA 0.00 425.00 105100 99064 09/16/24 1800 B & F CONSTRUCTION CODE 011029 #65703, 8/19/2024; PLA 0.00 560.00 ===== PDF PAGE 3 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 2 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494’ and transact.ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------- DEPT-DIV = ----- DESCRIPTION------ SALES TAX AMOUNT 105100 99064 09/16/24 1800 B & F CONSTRUCTION CODE 011029 #65769, 8/22/2024; PLA 0.00 1,475.00 TOTAL CHECK 0.00 17,710.44 105100 99065 09/16/24 12591 BALL HORTICULTURAL COMPA 011028 PER AGREEMENT 2018-R-0 0.00 4,666.70 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 010110 PROFESSIONAL SERVICES 0.00 250.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 010110 PROFESSIONAL SERVICES 0.00 966.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 010613 PROFESSIONAL SERVICES 0.00 819.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 011028 PROFESSIONAL SERVICES 0.00 1,113.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 011029 PROFESSIONAL SERVICES 0.00 2,289.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 063447 PROFESSIONAL SERVICES 0.00 714.00 105100 99066 09/16/24 7994 BOND DICKSON & CONWAY 083453 PROFESSIONAL SERVICES 0.00 1,407.00 TOTAL CHECK 0.00 7,558.00 105100 99067 09/16/24 11977 MERLE BURLEIGH 010208 BLANKET PO 0.00 1,050.00 105100 99068 09/16/24 13021 CASE LOTS INC 010921 INVOICE #26186 DATED 0 0.00 494.40 105100 99069 09/16/24 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 24-R-00 0.00 1,325.00 105100 99070 09/16/24 15555 CHRISSE, KELLEY 011028 REIMBURSEMENT FOR PURC 0.00 610.00 105100 99071 09/16/24 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 20.95 105100 99071 09/16/24 12380 CINTAS CORPORATION 010921 135 W GRANDLAKE 0.00 17.04 105100 99071 09/16/24 12380 CINTAS CORPORATION 010921 475 MAIN ST 0.00 36.45 105100 99071 09/16/24 12380 CINTAS CORPORATION 010921 325 SPENCER 0.00 19.13 105100 99071 09/16/24 12380 CINTAS CORPORATION 010921 412 BLAKELY 0.00 14.53 TOTAL CHECK 0.00 108.10 105100 99072 09/16/24 15549 CIVICPLUS 010110 SUPPLEMENT #142 -— ZONI 0.00 251.74 105100 99072 09/16/24 15549 CIVICPLUS 010110 SUPPLEMENT #142 0.00 2,017.55 TOTAL CHECK 0.00 2,269.29 105100 99073 09/16/24 13778 CMRS-FP 010613 REPLENISH POSTAGE METE 0.00 2,000.00 105100 99074 09/16/24 13257 COMCAST CABLE 010203 9/5-10/4/24 0.00 544.85 105100 99074 09/16/24 13257 COMCAST CABLE 010925 8/27-9/26/24 0.00 201.44 105100 99074 09/16/24 13257 COMCAST CABLE 063448 8/25-9/24/24 0.00 268.85 TOTAL CHECK 0.00 1,015.14 105100 99075 09/16/24 151 COMED 163458 7/18-8/16/24 0.00 1,611.03 105100 99075 09/16/24 151 COMED 163458 7/30-8/28/24 0.00 6,131.42 TOTAL CHECK 0.00 7,742.45 105100 99076 09/16/24 9719 CRYSTAL MAINTENANCE SVCS 010921 RESOLUTION NO. 23-R-00 0.00 3,785.00 105100 99076 09/16/24 9719 CRYSTAL MAINTENANCE SVCS 063448 RESOLUTION NO. 23-R-00 0.00 1,890.00 105100 99076 09/16/24 9719 CRYSTAL MAINTENANCE SVCS 433476 RESOLUTION NO. 23-R-00 0.00 285.00 TOTAL CHECK 0.00 5,960.00 105100 99077 09/16/24 9919 DOOR SYSTEMS INC. 083453 PROPOSAL #DF7324-1-1 D 0.00 15,860.00 105100 99078 09/16/24 14286 DYNEGY ENERGY SERVICES 053443 6/14-7/21/24 0.00 3,667.07 ===== PDF PAGE 4 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 3 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='’G494’ and transact.ck_date='’20240916 00:00:00.000' ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- --------- DEPT-DIV = ==--- DESCRIPTION------ SALES TAX AMOUNT 105100 99078 09/16/24 14286 DYNEGY ENERGY SERVICES 063448 6/14-7/21/24 0.00 16,933.85 105100 99078 09/16/24 14286 DYNEGY ENERGY SERVICES 063447 6/14-7/21/24 0.00 37,438.70 105100 99078 09/16/24 14286 DYNEGY ENERGY SERVICES 053440 6/14-7/21/24 0.00 1,178.42 TOTAL CHECK 0.00 59,218.04 105100 99079 09/16/24 3597 FEDEX CORPORATION 063448 DELIVERY FEES 0.00 50.30 105100 99080 09/16/24 15926 FENCESCREEN LLC 010613 QUOTE: Q-94872 0.00 1,587.84 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010210 9/6-10/5/24 0.00 318.18 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010201 9/6-10/5/24 0.00 52.15 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010502 9/6-10/5/24 0.00 112.05 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010613 9/6-10/5/24 0.00 1,130.38 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010614 9/6-10/5/24 0.00 34.53 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010921 9/6-10/5/24 0.00 133.19 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 010924 9/6-10/5/24 0.00 182.52 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 011028 9/6-10/5/24 0.00 126.15 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 011029 9/6-10/5/24 0.00 201.90 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 011030 9/6-10/5/24 0.00 140.24 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 053443 9/6-10/5/24 0.00 239.61 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 063447 9/6-10/5/24 0.00 428.14 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 063448 9/6-10/5/24 0.00 399.93 105100 99082 09/16/24 15657 FIRST COMMUNICATIONS LLC 433476 9/6-10/5/24 0.00 24.67 TOTAL CHECK 0.00 3,523.64 105100 99083 09/16/24 3491 FLOLO CORPORATION 063447 INVOICE #105153 DATED 0.00 1,277.09 105100 99084 09/16/24 15933 FRANKEL FRED 28 LOI REFUND FOR 201 WN 0.00 3,000.00 105100 99085 09/16/24 14924 FULTON SIREN SERVICES 010614 INVOICE # 2765 0.00 508.95 105100 99086 09/16/24 2013 GRAINGER 010921 INVOICE #9210847688 DA 0.00 378.00 105100 99086 09/16/24 2013 GRAINGER 010921 CH FRONT DOOR 0.00 44.38 105100 99086 09/16/24 2013 GRAINGER 010924 OFFICE SUPPLIES 0.00 81.20 105100 99086 09/16/24 2013 GRAINGER 063447 BOOSTER 0.00 81.13 TOTAL CHECK 0.00 584.71 105100 99087 09/16/24 15910 H&H ELECTRIC COMPANY 083453 INVOICE #C1780F09 DATE 0.00 3,721.45 105100 99088 09/16/24 561 HAGGERTY FORD 010925 INVOICE #16126 DATED 0 0.00 407.71 105100 99088 09/16/24 561 HAGGERTY FORD 010925 INVOICE #66953 DATED 0 0.00 445.36 105100 99088 09/16/24 561 HAGGERTY FORD 010925 INVOICE #16283 DATED 0 0.00 479.80 105100 99088 09/16/24 561 HAGGERTY FORD 063447 660 0.00 135.95 105100 99088 09/16/24 561 HAGGERTY FORD 010925 CREDIT 0.00 -49.68 105100 99088 09/16/24 561 HAGGERTY FORD 010925 313 0.00 50.45 105100 99088 09/16/24 561 HAGGERTY FORD 010925 383 0.00 38.94 105100 99088 09/16/24 561 HAGGERTY FORD 010925 383 0.00 10.82 105100 99088 09/16/24 561 HAGGERTY FORD 063447 652 0.00 195.85 105100 99088 09/16/24 561 HAGGERTY FORD 010925 383 0.00 265.59 TOTAL CHECK 0.00 1,980.79 105100 99089 09/16/24 15853 HOLSTEIN’S GARAGE INC 010925 INVOICE #3063 DATED 04 0.00 45.00 ===== PDF PAGE 5 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 4 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494’ and transact.ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT ---~----------- VENDOR---- --------~! DEPT-DIV 2 2 =-====! DESCRIPTION------ SALES TAX AMOUNT 105100 99089 09/16/24 15853 HOLSTEIN’S GARAGE INC 053443 INVOICE #3063 DATED 04 0.00 45.00 TOTAL CHECK 0.00 90.00 105100 99090 09/16/24 7985 ILLINOIS CITY/COUNTY MAN 010208 20242025ILCMA MEMBERSH 0.00 190.00 105100 99091 09/16/24 15203 ILLINOIS PHLEBOTOMY SERV 010613 INVOICE # 2009 0.00 425.00 105100 99091 09/16/24 15203 ILLINOIS PHLEBOTOMY SERV 010613 INVOICE # 2063 0.00 850.00 TOTAL CHECK 0.00 1,275.00 105100 99092 09/16/24 3420 ILLINOIS SECRETARY OF ST 010613 CONFIDENTIAL PLATES 0.00 151.00 105100 99093 09/16/24 15932 JASON R HELVEY DBA 011030 5K ENTERTAINMENT 0.00 750.00 105100 99094 09/16/24 12643 KIMBALL MIDWEST 010924 INVOICE #102552585 DAT 0.00 215.76 105100 99095 09/16/24 14376 KLEIN THORPE & JENKINS L 010207 4999-002 0.00 13,233.75 105100 99096 09/16/24 2298 LANGUAGE LINE SERVICES I 010613 INVOICE # 11382258 0.00 801.71 105100 99097 09/16/24 15937 LAUREN JUSTEN 28 REFUND FOR STORMWATER 0.00 2,000.00 105100 99098 09/16/24 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 6954323-2024 0.00 221.88 105100 99098 09/16/24 10042 LEXISNEXIS RISK DATA MAN 010613 INVOICE # 1088361-2024 0.00 167.65 TOTAL CHECK 0.00 389.53 105100 99099 09/16/24 14295 MACCARB INC 063448 RESOLUTION NO. 23-R-00 0.00 5,649.00 105100 99100 09/16/24 8248 MARQUARDT & BELMONTE P.C 011029 #709, 8/30/2024; ADJUD 0.00 997.35 105100 99100 09/16/24 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE # 712 0.00 3,555.00 105100 99100 09/16/24 8248 MARQUARDT & BELMONTE P.C 010613 INVOICE #710 0.00 4,815.00 TOTAL CHECK 0.00 9,367.35 105100 99101 09/16/24 15785 MATTHEW GILLIAM 010208 INVOICE: 5136 0.00 300.00 105100 99102 09/16/24 15824 TVG-MGT HOLDINGS LP 010207 FINANCE DEPT TEMPORARY 0.00 3,359.72 105100 99103 09/16/24 11009 MIDWEST GANG INVESTIGATO 010613 INVOICE #1005 0.00 70.00 105100 99104 09/16/24 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 23-R-00 0.00 8,214.84 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 010925 AUG 2024 0.00 9.97 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 010925 AUG 2024 0.00 23.38 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 010921 AUG 2024 0.00 26.98 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 010924 AUG 2024 0.00 104.68 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 010614 AUG 2024 0.00 8.98 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 053443 AUG 2024 0.00 9.45 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 433476 AUG 2024 0.00 18.47 105100 99105 09/16/24 244 MURPHY ACE HARDWARE 2400 063447 AUG 2024 0.00 76.78 TOTAL CHECK 0.00 278.69 105100 99106 09/16/24 4735 NAPA AUTO PARTS 063447 660 0.00 276.60 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 367 0.00 257.85 ===== PDF PAGE 6 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 5 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494’ and transact.ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VVENDOR---- --------- DEPT-DIV = ---=-=! DESCRIPTION------ SALES TAX AMOUNT 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 367 0.00 228.48 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 382 0.00 288.71 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 90.68 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 355 0.00 152.04 105100 99106 09/16/24 4735 NAPA AUTO PARTS 010925 INVOICE #258736 DATED 0.00 486.33 TOTAL CHECK 0.00 1,780.69 105100 99107 09/16/24 15625 NAPLETON AUTOWERKS OF ST 010925 INVOICE #5011550 DATED 0.00 37.00 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/1-8/30/24 0.00 54.96 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/1-8/30/24 0.00 56.48 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 063447 7/29-8/28/24 0.00 158.38 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/2-9/3/24 0.00 44.41 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/1-8/30/24 0.00 56.48 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/5-9/4/24 0.00 48.15 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/6-9/5/24 0.00 152.25 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/5-9/2/24 0.00 168.02 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 053443 8/2-9/3/24 0.00 54.48 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 063447 8/5-9/4/24 0.00 44.39 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 063448 8/2-9/3/24 0.00 141.55 105100 99108 09/16/24 250 NORTHERN ILLINOIS GAS 010921 8/2-9/3/24 0.00 142.22 TOTAL CHECK 0.00 1,121.77 105100 99109 09/16/24 250 NORTHERN ILLINOIS GAS 053443 7/3-8/5/24 0.00 140.95 105100 99110 09/16/24 12149 NIKKI GILES 010510 MILEAGE REIMBURSEMENT 0.00 294.87 105100 99111 09/16/24 4303 NORTH EAST MULTI-REGIONA 010613 INVOICE # 360588 0.00 150.00 105100 99112 09/16/24 14739 ON TARGET EAST 010924 INVOICE #1197 DATED 08 0.00 450.00 105100 99112 09/16/24 14739 ON TARGET EAST 010924 INVOICE #1198 DATED 08 0.00 450.00 TOTAL CHECK 0.00 900.00 105100 99113 09/16/24 3739 PADDOCK PUBLICATIONS 011028 INV# 301968, 8/25/2024 0.00 370.30 105100 99114 09/16/24 14816 PIT STOP 010207 #LR5836737, 8/25/2024; 0.00 1,522.80 105100 99115 09/16/24 7242 POLACH APPRAISAL GROUP I 010207 VALUATION OF VARIOUS P 0.00 5,750.00 105100 99115 09/16/24 7242 POLACH APPRAISAL GROUP I 010207 APPRAISAL REPORT FOR 1 0.00 3,000.00 TOTAL CHECK 0.00 8,750.00 105100 99116 09/16/24 3714 POMP’S TIRE SERVICE INC. 010925 763 0.00 67.00 105100 99117 09/16/24 4450 RESERVE ACCOUNT 010510 POSTAGE REQUIRED FOR A 0.00 125.38 105100 99117 09/16/24 4450 RESERVE ACCOUNT 053443 POSTAGE REQUIRED FOR A 0.00 50.15 105100 99117 09/16/24 4450 RESERVE ACCOUNT 063447 POSTAGE REQUIRED FOR A 0.00 50.15 105100 99117 09/16/24 4450 RESERVE ACCOUNT 433476 POSTAGE REQUIRED FOR A 0.00 25.08 TOTAL CHECK 0.00 250.76 105100 99118 09/16/24 492 RAY O’HERRON INC 010613 INVOICE # 2364489 0.00 170.99 105100 99118 09/16/24 492 RAY O’HERRON INC 010613 INVOICE # 2363463 0.00 177.68 105100 99118 09/16/24 492 RAY O’HERRON INC 010613 INVOICE # 2363460 0.00 336.37 ===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 CITY OF WEST CHICAGO TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494’ and transact.ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- ‘VENDOR---- ---------! DEPT-DIV = ----= DESCRIPTION------ 105100 99118 09/16/24 492 RAY O’HERRON INC 010613 INVOICE # 2361732 105100 99118 09/16/24 492 RAY O’HERRON INC 010613 INVOICE # 2362322 TOTAL CHECK 105100 99119 09/16/24 11970 REGIONAL TRUCK EQUIPMENT 063447 INVOICE #281625 DATED 105100 99119 09/16/24 11970 REGIONAL TRUCK EQUIPMENT 063447 INVOICE #281629 DATED 105100 99119 09/16/24 11970 REGIONAL TRUCK EQUIPMENT 010925 INVOICE #281650 DATED 105100 99119 09/16/24 11970 REGIONAL TRUCK EQUIPMENT 010925 INVOICE #281651 DATED TOTAL CHECK 105100 99120 09/16/24 10350 RHOMAR INDUSTRIES, INC. 083453 INVOICE #106713 DATED 105100 99121 09/16/24 13908 RUSH TRUCK CENTERS OF IL 043439 INVOICE #3038265218 DA 105100 99121 09/16/24 13908 RUSH TRUCK CENTERS OF IL 010925 INVOICE #3038439776 DA 105100 99121 09/16/24 13908 RUSH TRUCK CENTERS OF IL 010925 INVOICE #3038502014 DA TOTAL CHECK 105100 99122 09/16/24 4774 SAFETY LANE INSPECTIONS 010925 INVOICE #23547 DATED 0 105100 99122 09/16/24 4774 SAFETY LANE INSPECTIONS 053443 INVOICE #23547 DATED 0 105100 99122 09/16/24 4774 SAFETY LANE INSPECTIONS 063447 INVOICE #23547 DATED 0 TOTAL CHECK 105100 99123 09/16/24 6029 THE SHERWIN WILLIAMS COM 010921 INVOICE #0437-1 DATED 105100 99123 09/16/24 6029 THE SHERWIN WILLIAMS COM 010921 INVOICE #2179-6 DATED TOTAL CHECK 105100 99124 09/16/24 15895 SRSD CONSULTING LLC 010207 LEADERSHIP DEVELOPMENT 105100 99125 09/16/24 4095 STANDARD EQUIPMENT COMPA 053443 INVOICE #P52012 DATED 105100 99126 09/16/24 1762 SUBURBAN LABORATORIES IN 063448 INVOICE #228043 DATED 105100 99127 09/16/24 3349 TRAFFIC CONTROL AND PROT 063447 INVOICE #R32186 DATED 105100 99127 09/16/24 3349 TRAFFIC CONTROL AND PROT 083453 PAINT GLASS BEADS TOTAL CHECK 105100 99128 09/16/24 2027 TRANS UNION CORPORATION 010613 INVOICE # 08400204 105100 99129 09/16/24 13310 ULINE 010924 INVOICE #181848349 DAT 105100 99130 09/16/24 15413 ULTIMATE RENTAL SERVICES 011030 INV# 022866, 9/3/2024; 105100 99131 09/16/24 14383 ULTRA STROBE COMMUNICATI 010613 INVOICE # 085519 105100 99132 09/16/24 15612 UNIFIRST FIRST AID CORP 010921 INVOICE #2104507 DATED 105100 99133 09/16/24 4985 THE UPS STORE 010613 DELIVERY FEES 105100 99134 09/16/24 4207 VERIZON WIRELESS 053443 9/10-10/9/24 105100 99135 09/16/24 4207 VERIZON WIRELESS 010613 9/7-10/6/24 105100 99135 09/16/24 4207 VERIZON WIRELESS 010614 9/7-10/6/24 SALES TAX 209090 C000 G0 eGGCe00G0 CoCo coo 00 -00 .00 -00 -00 -00 -00 -00 -00 -00 -00 .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 NUM ACCTPA21 IBER: AMOUNT 500. 155. 1,341. 2,298. 3,006. 1,902. 2,298. 9,505. 453 592 953 263. 88. 220. -00 571 132. 143. 276. 4,750. 742 509. 1,819. -60 193 2,012. 100. 325. 1,804 305. 1,630. 25. 1,311. 1,503. 38. 32 68 04 39 56 29 39 63 35 .85 93. 56 1,640. 90 31 00 00 00 93 97 90 00 +61 03 20 80 00 91 -00 00 89 83 85 4s o1 6 ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494' and transact.ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VENDOR---- ---------! DEPT-DIV 2 === == DESCRIPTION-----— SALES TAX AMOUNT 105100 99135 09/16/24 4207 VERIZON WIRELESS 010210 9/7-10/6/24 0.00 38.01 105100 99135 09/16/24 4207 VERIZON WIRELESS 010204 9/7-10/6/24 0.00 38.01 105100 99135 09/16/24 4207 VERIZON WIRELESS 010502 9/7-10/6/24 0.00 38.01 105100 99135 09/16/24 4207 VERIZON WIRELESS 010614 9/7-10/6/24 0.00 76.02 105100 99135 09/16/24 4207 VERIZON WIRELESS 010613 9/7-10/6/24 0.00 72.02 TOTAL CHECK 0.00 1,803.53 105100 99136 09/16/24 4823 WATER PRODUCTS AURORA 053443 INVOICE #0324554 DATED 0.00 2,527.51 105100 99136 09/16/24 4823 WATER PRODUCTS AURORA 053443 PLUG 0.00 236.21 105100 99136 09/16/24 4823 WATER PRODUCTS AURORA 053443 PLUG 0.00 26.10 TOTAL CHECK 0.00 2,789.82 105100 99138 09/16/24 15690 WEBLINX INC. 010208 INVOICE: 34097 0.00 573.75 105100 99139 09/16/24 15211 WEST CHICAGO PRINTING 010110 BUSINESS CARDS 0.00 86.67 105100 99139 09/16/24 15211 WEST CHICAGO PRINTING 010502 BUSINESS CARDS 0.00 86.67 105100 99139 09/16/24 15211 WEST CHICAGO PRINTING 010910 BUSINESS CARDS 0.00 86.66 TOTAL CHECK 0.00 260.00 105100 99140 09/16/24 546 WEST SIDE TRACTOR SALES 043439 TAG #3151563 - JD 78" 0.00 2,360.00 105100 99140 09/16/24 546 WEST SIDE TRACTOR SALES 043439 TAG #3151917 - JD 78" 0.00 2,170.00 TOTAL CHECK 0.00 4,530.00 105100 99141 09/16/24 15548 WEX BANK 010613 INVOICE # 99396893 0.00 98.37 105100 99142 09/16/24 15934 WILSON KELLY 28 LOI REFUND FOR 320 E S 0.00 1,500.00 105100 Vv99081 09/16/24 15649 FIFTH THIRD BANK 011030 STATEMENT DATE 8/15/20 0.00 2,797.47 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010208 SOCIALPILOT 0.00 50.00 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010201 JEWEL ITALIAN ICE FOR 0.00 68.79 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010203 ZOOM ACCOUNT 0.00 121.98 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010110 KINDRED - AUGUST COFFE 0.00 47.60 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010210 AMERICAN AIRLINES TICK 0.00 235.94 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010210 ICMA CONFERENCE ACCOM 0.00 1,684.71 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010208 BEGINNING OF JULY FACE 0.00 7.06 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010208 END OF JULY FACEBOOK A 0.00 129.61 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010204 GIS TRAINING ACCOMODAT 0.00 362.44 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010203 INSIGHT - POWER BI PRO 0.00 9.44 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010203 INSIGHT - MICROSOFT EN 0.00 10.20 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010208 CONSTANT CONTACT 0.00 81.00 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010613 CREDIT CARD ENDING 519 0.00 890.38 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010613 CREDIT CARD ENDING 519 0.00 1.98 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010613 CREDIT CARD ENDING 519 0.00 100.00 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010613 CREDIT CARD ENDING 519 0.00 621.50 105100 v99081 09/16/24 15649 FIFTH THIRD BANK 010613 CREDIT CARD ENDING 517 0.00 1.98 TOTAL CHECK 0.00 7,222.08 105100 V99137 09/16/24 15061 WCWWA 053443 INVOICE #82024WC 0.00 271,747.15 TOTAL CASH ACCOUNT 0.00 550,914.43 0.00 550,914.43 TOTAL FUND ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 8 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPA21 TIME: 10:57:39 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G494' and transact .ck_date='20240916 00:00:00.000’ ACCOUNTING PERIOD: 9/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT -------------- VVENDOR---- --------- DEPT-DIV 2 =-===-= DESCRIPTION------ SALES TAX AMOUNT TOTAL REPORT 0.00 550,914.43 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08:45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ol 131100 o1 131200 TOTAL GENERAL FUND 010110 4012 010110 4100 010110 4211 010110 4211 010110 4600 010110 4650 INVENTORY-DIESEL INVENTORY-GASOLI CORP COUNSEL-SAL LEGAL FEES PRINTING & BINDI PRINTING & BINDI COMPUTER/OFFICE MISCELLANEOUS CO TOTAL CITY COUNCIL-OPERATIONS 4202 4680 010201 010201 TOTAL CITY ADMIN - HR 010203 4109 010203 4125 010203 4125 010203 4125 TOTAL CITY ADMIN - IT 4110 4202 010204 010204 TOTAL CITY ADMIN - GIS 010207 4225 010207 4225 010207 4225 010207 4225 010207 4225 010207 4236 TELEPHONE & ALAR SPECIAL EVENTS NETWORK CHARGES SOFTWARE MAINTEN SOFTWARE MAINTEN SOFTWARE MAINTEN TRAINING & TUITI TELEPHONE & ALAR OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA LAKESHORE RECYCL TOTAL CITY ADMIN-SPECIAL PROJ 010208 4112 010208 4212 010208 4212 010208 4212 010208 4212 010208 4225 010208 4225 010208 4225 010208 4225 MEMBERSHIPS/DUES ADVERTISING ADVERTISING ADVERTISING ADVERTISING OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA RUN DATE 09/12/2024 TIME 08:45:15 15732 15732 7994 7994 15549 15549 15211 15649 15657 15649 13257 15649 15649 15649 15649 4207 14816 15824 15895 7242 7242 14376 7985 15649 15649 15716 15785 11977 15649 15649 15690 AL WARREN OIL CO. INC AL WARREN OIL CO. INC BOND DICKSON & CONWAY BOND DICKSON & CONWAY CIVICPLUS CIVICPLUS WEST CHICAGO PRINTING FIFTH THIRD BANK FIRST COMMUNICATIONS FIFTH THIRD BANK COMCAST CABLE FIFTH THIRD BANK FIFTH THIRD BANK FIFTH THIRD BANK FIFTH THIRD BANK VERIZON WIRELESS PIT STOP TVG-MGT HOLDINGS LP SRSD CONSULTING LLC POLACH APPRAISAL GROU POLACH APPRAISAL GROU KLEIN THORPE & JENKIN ILLINOIS CITY/COUNTY FIFTH THIRD BANK FIFTH THIRD BANK ABC BUSINESS FORMS IN MATTHEW GILLIAM MERLE BURLEIGH FIFTH THIRD BANK FIFTH THIRD BANK WEBLINX INC. CASH REQUIREMENTS BILL LIST P.0.'S 00104610-01 00104610-01 00104570-01 00104570-01 00104567-01 00104567-02 00104569-01 00104571-04 00104571-02 00104571-03 00104571-10 00104571-11 00104571-09 00104550-01 00104613-01 00103856-01 00104566-01 00104566-02 00104565-01 00104606-01 00104571-07 00104571-08 00104605-01 00104607-01 00102978-01 00104571-01 00104571-12 00104604-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH W1681434 G494 W1681433 G494 AUG 2024 G494 AUG 2024 G494 314128 G494 314144 G494 PGM-15568 G494 5140 G494 116020 G494 5140 G494 877120038038G494 5140 G494 5140 G494 5140 G494 5140 G494 980505522-00G494 LR5836737 G494 35988 G494 78964451-000G494 16307 G494 16311 G494 244046 G494 PECK, DANIELG494 5140 G494 5140 G494 287577 G494 5136 G494 SEPT 2024 G494 5140 G494 5140 G494 34097 G494 ecooCocCceo oOo CC000 0 8CO 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 0.00 eCSCC00O oO ° [eRe Ro RoR-RoRoRono) -00 -00 -00 .00 .00 .00 .00 -00 -00 -00 00 -00 -00 -00 -00 -00 -00 1 9/24 AMOUNT 7527. 13566. 21093 250 966 251 86 3619 52 68 120 544. 121. «44 10. 686 362 38 400. 1522 4750 3000 13233 31616 190. -06 129. -00 300. 1050. 50. .00 75 354 81 573 00 32 -32 .00 .00 -74 2017. -67 47. 55 60 56 15 .79 94 85 98 20 +47 +44 -01 45 .80 3359. .00 5750. .00 75 72 00 +27 00 61 00 00 00 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08: 45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV TOTAL CITY ADMIN-MARKET/COMM 010210 010210 010210 010210 4110 4110 4202 4202 TOTAL CITY ADMIN-ADMIN 010502 010502 010502 010502 4110 4202 4202 4600 TRAINING & TUITI TRAINING & TUITI TELEPHONE & ALAR TELEPHONE & ALAR TRAINING & TUITI TELEPHONE & ALAR TELEPHONE & ALAR COMPUTER/OFFICE TOTAL ADMIN SERVICES-ACCTG 010510 010510 010510 4110 4600 4613 TRAINING & TUITI COMPUTER/OFFICE POSTAGE 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 4100 4100 4100 4110 4110 4110 4202 4202 4202 4202 4202 4225 4225 4225 4225 4225 4225 4225 4423 4423 4423 4423 4600 4601 4601 4601 LEGAL FEES LEGAL FEES LEGAL FEES TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA RADIO/RADAR EQUI RADIO/RADAR EQUI RADIO/RADAR EQUI RADIO/RADAR EQUI COMPUTER/OFFICE FIELD EQUIPMENT FIELD EQUIPMENT FIELD EQUIPMENT RUN DATE 09/12/2024 TIME 08:45:16 15649 15649 15657 4207 15935 15657 4207 15211 12149 12617 4450 7994 8248 8248 11009 15649 4303 15649 15649 15657 2298 4207 10042 10042 15203 15203 15350 2027 4207 13986 13986 14383 15559 15559 15559 15559 15559 FIFTH THIRD BANK FIFTH THIRD BANK FIRST COMMUNICATIONS VERIZON WIRELESS AVILES JOSEFINA FIRST COMMUNICATIONS VERIZON WIRELESS WEST CHICAGO PRINTING NIKKI GILES ACCURATE OFFICE SUPPL RESERVE ACCOUNT BOND DICKSON & CONWAY MARQUARDT & BELMONTE MARQUARDT & BELMONTE MIDWEST GANG INVESTIG FIFTH THIRD BANK NORTH EAST MULTI-REGI FIFTH THIRD BANK FIFTH THIRD BANK FIRST COMMUNICATIONS LANGUAGE LINE SERVICE VERIZON WIRELESS LEXISNEXIS RISK DATA LEXISNEXIS RISK DATA ILLINOIS PHLEBOTOMY S ILLINOIS PHLEBOTOMY S AT&T TRANS UNION CORPORATI VERIZON WIRELESS APPLIED CONCEPTS INC APPLIED CONCEPTS INC ULTRA STROBE COMMUNIC AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC CASH REQUIREMENTS BILL LIST 00104571-05 00104571-06 00104542-01 00104569-01 00104614-01 00104561-01 00104570-01 00104555-01 00104555-02 00104530-01 00104529-01 00104534-01 00104529-01 00104529-02 00104544-01 00104543-01 00104608-01 00104603-01 00104603-02 00104526-01 00104602-01 00104527-01 00104527-02 00104531-01 00104532-02 00104532-01 00104532-03 00104532-04 00104536-01 PAGE NUMBER: 2 ACCTPAY1 ACCOUNTING PERIOD: 9/24 INVOICE BATCH SALES TAX AMOUNT 0.00 2735.42 5140 G494 0.00 235.94 5140 G494 0.00 1684.71 116020 G494 0.00 318.18 980505522-00G494 0.00 38.01 0.00 2276.84 CONFERENCE RG494 0.00 102.53 116020 G494 0.00 112.05 980505522-00G494 0.00 38.01 PGM-15568 G494 0.00 86.67 0.00 339.26 REIMBURSEMENG4 94 0.00 294.87 AUG 2024 G494 0.00 113.46 POSTAGE REFIG494 0.00 125.38 0.00 533.71 AUG 2024 G494 0.00 819.00 712 G494 0.00 3555.00 710 G494 0.00 4815.00 1005 G494 0.00 70.00 5199 G494 0.00 890.38 360588 G494 0.00 150.00 5199 G494 0.00 1.98 5173 G494 0.00 1.98 116020 G494 0.00 1130.38 11382258 G494 0.00 801.71 980505522-00G494 0.00 72.02 6954323-2024G494 0.00 221.88 1088361-2024G494 0.00 167.65 2009 G494 0.00 425.00 2063 G494 0.00 850.00 523654 G494 0.00 1600.00 08400204 G494 0.00 100.00 980505522-00G494 0.00 1503.45 443426 G494 0.00 188.94 443309 G494 0.00 935.04 085519 G494 0.00 305.00 1L99GR17DRG4G494 0.00 197.98 1RQFMK6 PDKMLG4 94 0.00 8.59 1461KVRRKYMDG4 94 0.00 136.40 1MCRXMK1L3FVG494 0.00 136.40 1GLM7JJX4XCQG494 0.00 240.89 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08:45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date=’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT 010613 4601 010613 4601 010613 4601 010613 4607 010613 4613 010613 4613 010613 4615 010613 4615 010613 4615 010613 4615 010613 4615 010613 4616 010613 4640 010613 4650 010613 4650 010613 4650 TOTAL POLICE-OPERATIONS 010614 4202 010614 4202 010614 4225 010614 4225 010614 4604 TOTAL POLICE-ESDA 010910 4600 TOTAL PUBLIC WORKS-ADMIN 010921 4202 010921 4203 010921 4219 010921 4225 010921 4225 010921 4225 010921 4225 010921 4615 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 010921 4650 FIELD EQUIPMENT FIELD EQUIPMENT FIELD EQUIPMENT GAS & OIL POSTAGE POSTAGE UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS /SAFETY UNIFORMS/SAFETY VEHICLE LICENSE CRIME PREVENTION MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TELEPHONE & ALAR TELEPHONE & ALAR OTHER CONTRACTUA OTHER CONTRACTUA TOOLS & EQUIPMEN COMPUTER/OFFICE TELEPHONE & ALAR HEATING GAS CONTRACT JANITOR OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA UNIFORMS/SAFETY MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TOTAL PUBLIC WORKS-MUN PROP RUN DATE 09/12/2024 TIME 08:45:16 15559 15559 15926 15548 13778 4985 492 492 492 492 492 3420 15649 14134 15559 15649 15657 4207 14924 4207 244 15211 15657 250 9719 12380 12380 12380 12380 15612 12617 13021 2013 2013 244 6029 6029 AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC FENCESCREEN LLC WEX BANK CMRS-FP THE UPS STORE RAY O’HERRON INC RAY O’HERRON INC RAY O’HERRON INC RAY O’HERRON INC RAY O'HERRON INC ILLINOIS SECRETARY OF FIFTH THIRD BANK AREA DUPAGE TOWING AMAZON CAPITAL SERVIC FIFTH THIRD BANK FIRST COMMUNICATIONS VERIZON WIRELESS FULTON SIREN SERVICES VERIZON WIRELESS MURPHY ACE HARDWARE 2 WEST CHICAGO PRINTING FIRST COMMUNICATIONS NORTHERN ILLINOIS GAS CRYSTAL MAINTENANCE S CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION UNIFIRST FIRST AID CO ACCURATE OFFICE SUPPL CASE LOTS INC GRAINGER GRAINGER MURPHY ACE HARDWARE 2 THE SHERWIN WILLIAMS THE SHERWIN WILLIAMS CASH REQUIREMENTS BILL LIST 00104545-01 00104601-01 00104451-01 00104533-01 00104546-01 00104525-01 00104528-01 00104537-01 00104537-02 00104609-01 00104538-01 00104529-01 00104557-01 00104545-02 00104529-01 00104535-01 00104569-01 00102947-01 00103047-02 00103047-03 00103047-04 00103047-05 00104589-01 00104588-01 00104587-01 00104593-01 00104593-02 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 16LYWNVMFP3 PG494 164RC3FLTTMMG4 94 INV-91973 G494 99396893 G494 600047166 G494 1Z6149E00370G494 2361732 G494 2362322 G494 2363463 G494 2363460 G494 2364489 G494 1C4PJMCB8EW1G494 5199 G494 40912 G494 1XFWP3RGF4GQG494 5199 G494 116020 G494 980505522-00G494 2765 G494 980505522-00G494 AUG 2024 G494 PGM-15568 G494 116020 G494 04739367748 G494 31980 G494 4202451888 G494 4202451848 G494 4202451851 G494 4202451857 G494 2104507 G494 AUG 2024 G494 26186 G494 9206524622 G494 9210847688 G494 AUG 2024 G494 0437-1 G494 2179-6 G494 oO SPS90D0DRDDDDDDCCOCOOO ecoooo oo SSCDDDODOODOOOCCOO 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 3 9/24 AMOUNT 156. 74. 1587. 98. 2000. 25. 500. 155. 177. 336 25694. 34 508 8 666. 86. 86. 133 142 3785. 17. 36 14 234 44 378 26 132 7233 42 97 84 37 00 83 32 68 68 .37 170. 151. 100. 16S. 47. 621. 99 00 00 00 88 50 52 -53 76. -95 38. 98 02 o1 49 66 66 19 +22 00 04 45 19. 53 1630. .39 494. -38 -00 -98 +93 143. 13 89 40 97 -50 ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 4 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 9/24 SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ------ TITLE------ ------------ ‘VENDOR-----~------ P.0.’S INVOICE BATCH SALES TAX AMOUNT 010923 4209 INTERMENT 1843 CEMETERY MANAGEMENT I 00104127-01 00-20180 G494 0.00 1325.00 TOTAL PUBLIC WORKS-CEMETERIES 0.00 1325.00 010924 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G494 0.00 182.52 010924 4225 OTHER CONTRACTUA 14739 ON TARGET EAST 00104598-01 1197 G494 0.00 450.00 010924 4225 OTHER CONTRACTUA 14739 ON TARGET EAST 00104598-02 1198 G494 0.00 450.00 010924 4600 COMPUTER/OFFICE 13310 ULINE 00104581-01 181848349 G494 0.00 325.91 010924 4600 COMPUTER/OFFICE 2013 GRAINGER 9211250619 G494 0.00 81.20 010924 4650 MISCELLANEOUS CO 12643 KIMBALL MIDWEST 00104599-01 102552585 G494 0.00 215.76 010924 4650 MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 AUG 2024 G494 0.00 104.68 TOTAL PUBLIC WORKS-R & B 0.00 1810.07 010925 4202 TELEPHONE & ALAR 13257 COMCAST CABLE 877120038024G494 0.00 201.44 010925 4400 VEHICLE REPAIR 15853 HOLSTEIN’S GARAGE INC 00104573-01 3063 G494 0.00 45.00 010925 4400 VEHICLE REPAIR 3714 POMP’S TIRE SERVICE I 640118662 G494 0.00 67.00 010925 4400 VEHICLE REPAIR 4774 SAFETY LANE INSPECTIO 00104574-01 23547 G494 0.00 263.00 010925 4400 VEHICLE REPAIR 561 HAGGERTY FORD 00104596-02 66953 G494 0.00 445.36 010925 4603 PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM 00104595-03 281650 G494 0.00 1902.29 010925 4603 PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM 00104595-04 281651 G494 0.00 2298.39 010925 4603 PARTS FOR VEHICL 13908 RUSH TRUCK CENTERS OF 00104594-02 3038439776 G494 0.00 93.90 010925 4603 PARTS FOR VEHICL 13908 RUSH TRUCK CENTERS OF 00104594-03 3038502014 G494 0.00 953.56 010925 4603 PARTS FOR VEHICL 15625 NAPLETON AUTOWERKS OF 00104572-01 5011550 G494 0.00 37.00 010925 4603 PARTS FOR VEHICL 244 MURPHY ACE HARDWARE 2 AUG 2024 G494 0.00 9.97 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-258733 G494 0.00 257.85 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-258735 G494 0.00 228.48 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-259229 G494 0.00 288.71 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-259327 G494 0.00 90.68 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 4496-259574 G494 0.00 152.04 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 00104592-01 4496-258736 G494 0.00 486.33 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16249 G494 0.00 265.59 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD CM16165 G494 0.00 -49.68 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16182 G494 0.00 50.45 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16234 G494 0.00 38.94 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16257 G494 0.00 10.82 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 00104596-01 16126 G494 0.00 407.71 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 00104596-03 16283 G494 0.00 479.80 010925 4604 TOOLS & EQUIPMEN 15559 AMAZON CAPITAL SERVIC 00104600-01 1RCK76LH4H1PG494 0.00 109.99 010925 4615 UNIFORMS/ SAFETY 244 MURPHY ACE HARDWARE 2 AUG 2024 G494 0.00 23.38 TOTAL PUBLIC WORKS-MAINT GAR 0.00 9158.00 011028 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 00104570-01 AUG 2024 G494 0.00 1113.00 011028 4110 TRAINING & TUITI 15555 CHRISSE, KELLEY 00104562-01 109695 G494 0.00 610.00 011028 4200 LEGAL NOTICES 3739 PADDOCK PUBLICATIONS 00104553-01 301968 G494 0.00 370.30 011028 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G494 0.00 126.15 011028 4375 SALES TAX REBATE 12591 BALL HORTICULTURAL CO 00104548-01 2018-R-0051 G494 0.00 4666.70 011028 4600 COMPUTER/OFFICE 15559 AMAZON CAPITAL SERVIC 00104551-04 11MT9KLP4KR4G494 0.00 25.33 RUN DATE 09/12/2024 TIME 08:45:16 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08:45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 011028 4600 TOTAL COM DEV-PLANNING 011029 4100 011029 4100 011029 4113 011029 4120 011029 4120 011029 4120 011029 4202 011029 4615 COMPUTER/OFFICE LEGAL FEES LEGAL FEES ENFORCEMENT & IN PLAN REVIEW PLAN REVIEW PLAN REVIEW TELEPHONE & ALAR UNIFORMS/SAFETY TOTAL COM DEV-BUILDING & CODE 011030 4202 011030 4680 011030 4680 011030 4680 011030 4680 011030 4680 TOTAL COM DEV-MUSEUM TOTAL FUND TELEPHONE & ALAR SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS SPECIAL EVENTS RUN DATE 09/12/2024 TIME 08:45:16 7994 8248 1800 1800 1800 1800 15657 15559 15657 15413 15559 15559 15649 15932 AMAZON CAPITAL SERVIC BOND DICKSON & CONWAY MARQUARDT & BELMONTE B & F CONSTRUCTION CO B & F CONSTRUCTION CO B & F CONSTRUCTION CO B & F CONSTRUCTION CO FIRST COMMUNICATIONS AMAZON CAPITAL SERVIC FIRST COMMUNICATIONS ULTIMATE RENTAL SERVI AMAZON CAPITAL SERVIC AMAZON CAPITAL SERVIC FIFTH THIRD BANK JASON R HELVEY DBA CASH REQUIREMENTS BILL LIST 00104551-05 00104570-01 00104560-01 00104558-01 00104554-01 00104554-02 00104554-03 00104551-01 00104552-01 00104551-02 00104551-03 00104549-01 00104563-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH 1T649WNJ4DFQG4 94 AUG 2024 G494 709 G494 65859 G494 65404 G494 65703 G494 65769 G494 116020 G494 1Y3K4RY76WYFG494 116020 G494 022866 G494 1NVNLGYN3NVLG4 94 13NKTGXH41MKG4 94 5157 G494 202409211 G494 Oo. ° oO e0000000 ocoo0000 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 5 9/24 AMOUNT 109. 7020. 2289. 997. -44 -00 560. -00 +90 -90 15250 425 1475 201 273 21472. 140. 1804. 136. 14. 2797. 750. 5642. 143532 00 48 00 35 00 59 24 00 00 99 47 00 70 .25 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST PAGE NUMBER: CITY OF WEST CHICAGO ACCTPAY1 SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 04 - CAPITAL EQUIP. REPLACE DEPT-DIV ACCOUNT ------ TITLE------ ------- 043439 4804 VEHICLES 13908 043439 4804 VEHICLES 546 043439 4804 VEHICLES 546 TOTAL CAPITAL EQUIPMENT REPLACE TOTAL FUND RUN DATE 09/12/2024 TIME 08:45:16 ----- VENDOR------------ P.0.’S INVOICE BATCH SALES TAX RUSH TRUCK CENTERS OF 00104594-01 3038265218 G494 0.00 WEST SIDE TRACTOR SAL 00104356-01 B07170 G494 0.00 WEST SIDE TRACTOR SAL 00104356-02 B07170 G494 0.00 0.00 0.00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ACCOUNTING PERIOD: 9/24 AMOUNT 592. 2360. 2170. 5122 5122 85 00 00 -85 -85 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 7 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 9/24 SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 05 - SEWER FUND DEPT-DIV ACCOUNT -~-----' TITLE------ ------------ ‘VENDOR-----------— P.0.'S INVOICE BATCH SALES TAX AMOUNT 053440 4204 ELECTRIC 14286 DYNEGY ENERGY SERVICE 400001690223G494 0.00 1178.42 TOTAL SEWER-SSA#2 0.00 1178.42 053443 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G494 0.00 239.61 053443 4202 TELEPHONE & ALAR 4207 VERIZON WIRELESS 342030672-00G494 0.00 1311.85 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 39388900001 G494 0.00 54.96 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75591010006 G494 0.00 56.48 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 13427902948 G494 0.00 44.41 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 03056642063 G494 0.00 56.48 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 66121929971 G494 0.00 48.15 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 75949900007 G494 0.00 152.25 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 59620987475 G494 0.00 168.02 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 30453010008 G494 0.00 54.48 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 59620987475 G494 0.00 140.95 053443 4204 ELECTRIC 14286 DYNEGY ENERGY SERVICE 400001690223G494 0.00 3667.07 053443 4235 WASTEWATER TREAT 15061 WCWWA 00104568-01 82024WC G494 0.00 271747.15 053443 4400 VEHICLE REPAIR 15853 HOLSTEIN’S GARAGE INC 00104573-01 3063 G494 0.00 45.00 053443 4400 VEHICLE REPAIR 4774 SAFETY LANE INSPECTIO 00104574-01 23547 G494 0.00 88.00 053443 4600 COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL AUG 2024 G494 0.00 113.81 053443 4603 PARTS FOR VEHICL 15559 AMAZON CAPITAL SERVIC 00104600-02 1KYCC6PLDCH4G494 0.00 61.08 053443 4603 PARTS FOR VEHICL 15559 AMAZON CAPITAL SERVIC 00104600-03 1Y¥3K4RY79D10G494 0.00 38.67 053443 4603 PARTS FOR VEHICL 3829 ATLAS BOBCAT INC 00104591-01 HT6468 G494 0.00 258.46 053443 4603 PARTS FOR VEHICL 4095 STANDARD EQUIPMENT CO 00104584-01 P52012 G494 0.00 742.61 053443 4613 POSTAGE 4450 RESERVE ACCOUNT 00104561-01 POSTAGE REFIG494 0.00 50.15 053443 4639 PARTS-MAINS 4823 WATER PRODUCTS AURORA 0324610 G494 0.00 236.21 053443 4639 PARTS-MAINS 4823 WATER PRODUCTS AURORA 0324644 G494 0.00 26.10 053443 4639 PARTS-MAINS 4823 WATER PRODUCTS AURORA 00104597-01 0324554 G494 0.00 2527.51 053443 4650 MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 AUG 2024 G494 0.00 9.45 TOTAL SEWER-SANITARY COLLECTION 0.00 281938.91 TOTAL FUND 0.00 283117.33 RUN DATE 09/12/2024 TIME 08:45:16 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08:45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 06 - WATER FUND DEPT-DIV ACCOUNT 063447 4100 063447 4112 063447 4202 063447 4203 063447 4203 063447 4204 063447 4400 063447 4400 063447 4418 063447 4420 063447 4600 063447 4603 063447 4603 063447 4603 063447 4603 063447 4613 063447 4622 063447 4650 TOTAL WATER-PRODUCTION/DIST 063448 4202 063448 4203 063448 4204 063448 4207 063448 4207 063448 4219 063448 4225 063448 4225 063448 4225 063448 4600 063448 4626 063448 4626 ------' TITLE------ ------------VENDOR------------ LEGAL FEES 7994 BOND DICKSON & CONWAY MEMBERSHIPS/DUES 5774 AWWA SOURCE WATER PRO TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS HEATING GAS 250 NORTHERN ILLINOIS GAS HEATING GAS 250 NORTHERN ILLINOIS GAS ELECTRIC 14286 DYNEGY ENERGY SERVICE VEHICLE REPAIR 4774 SAFETY LANE INSPECTIO VEHICLE REPAIR 561 HAGGERTY FORD DISTRIB SYSTEM R 3349 TRAFFIC CONTROL AND P PUMP STATION REP 3491 FLOLO CORPORATION COMPUTER/OFFICE 12617 ACCURATE OFFICE SUPPL PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM PARTS FOR VEHICL 4735 NAPA AUTO PARTS PARTS FOR VEHICL 561 HAGGERTY FORD POSTAGE 4450 RESERVE ACCOUNT PARTS & EQUIP-PU 2013 GRAINGER MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS HEATING GAS 250 NORTHERN ILLINOIS GAS ELECTRIC 14286 DYNEGY ENERGY SERVICE LAB SERVICES 1762 SUBURBAN LABORATORIES LAB SERVICES 3597 FEDEX CORPORATION CONTRACT JANITOR 9719 CRYSTAL MAINTENANCE S OTHER CONTRACTUA 11546 ALL TYPES ELEVATORS I OTHER CONTRACTUA 12380 CINTAS CORPORATION OTHER CONTRACTUA 13257 COMCAST CABLE COMPUTER/OFFICE 15559 AMAZON CAPITAL SERVIC CHEMICALS 10925 MISSISSIPPI LIME COMP CHEMICALS 14295 MACCARB INC TOTAL WATER-TREATMENT PLANT OP TOTAL FUND RUN DATE 09/12/2024 TIME 08:45:16 CASH REQUIREMENTS BILL LIST 00104570-01 00104577-01 00104574-01 00104576-01 00104585-01 00104595-01 00104595-02 00104561-01 00104580-01 00102947-01 00104579-01 00103047-01 00104600-04 00102864-01 00102863-01 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM INVOICE BATCH AUG 2024 G494 7002243684 G494 116020 G494 96104010002 G494 14656900009 G494 400001690223G494 23547 G494 66790 G494 R32186 G494 105153 G494 AUG 2024 G494 281625 G494 281629 G494 4496-258523 G494 16265 G494 POSTAGE REFIG494 9220549043 G494 AUG 2024 G494 116020 G494 92163563122 G494 400001690223G494 228043 G494 8-596-47441 G494 31980 G494 20148840 G494 4202451949 G494 877120038036G494 1FDVQVX91GYLG494 1744079 G494 INV202334 G494 SOS SPS9DDDDDDD00G G09 CGAODDDCODCODCCOCCOCODO ° 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 8 9/24 AMOUNT 714 83 158 113 81 48417. 399. 141. 85 16933 509. 50. 1890. 206. 20. 85 57. 8214. 5649. 268 34341. 82759. -00 -00 428. 38 44. 37438. 220. 135. 1819. 1277. +46 2298. 3006. 276. 195. 50. -13 76. 14 39 70 00 95 20 09 39 56 60 85 15 78 77 93 55 03 30 00 00 95 58 84 00 88 65 ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM DATE: 09/12/24 TIME: 08: 45:15 CITY OF WEST CHICAGO SELECTION CRITERIA: payable.due_date='20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 08 - CAPITAL PROJECTS FUND DEPT-DIV 083453 083453 083453 083453 083453 083453 ACCOUNT ------' TITLE------ ------------ VENDOR------------ 4100 LEGAL FEES 7994 BOND DICKSON & CONWAY 4226 TRAFFIC SIGNAL M 15910 H&H ELECTRIC COMPANY 4672 BIT PATCH-HOT 12722 ALLIED ASPHALT PAVING 4801 BUILDING/GROUNDS 9919 DOOR SYSTEMS INC. 4868 CRACK FILLING PR 3349 TRAFFIC CONTROL AND P 4872 ROW MATERIALS 10350 RHOMAR INDUSTRIES, IN TOTAL CAPITAL PROJECTS TOTAL FUND RUN DATE 09/12/2024 TIME 08:45:16 CASH REQUIREMENTS BILL LIST P.0.’S 00104570-01 00104575-01 00104145-01 00104242-01 00104583-01 INVOICE AUG 2024 C1780F09 253765 943314 7481 106713 PAGE NUMBER: 9 ACCTPAY1 ACCOUNTING PERIOD: 9/24 BATCH SALES TAX AMOUNT G494 0.00 1407.00 G494 0.00 3721.45 G494 0.00 151.28 G494 0.00 15860.00 G494 0.00 193.60 G494 0.00 453.35 0.00 21786.68 0.00 21786 .68 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 10 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 9/24 SELECTION CRITERIA: payable.due_date='20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 16 - MOTOR FUEL TAX FUND DEPT-DIV ACCOUNT ------' TITLE------ ------------ ‘VENDOR-----~------- P.O.'S INVOICE BATCH SALES TAX AMOUNT 163458 4204 ELECTRIC 151 COMED 4726769000 G494 0.00 1611.03 163458 4204 ELECTRIC 151 COMED 7688378000 G494 0.00 6131.42 0.00 7742.45 TOTAL MFT-PAYROLL TOTAL FUND 0.00 7742.45 RUN DATE 09/12/2024 TIME 08:45:16 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000' PAYMENT TYPE: ALL FUND - 28 - MISCELLANEOUS DEPOSITSIN DEPT-DIV ACCOUNT ------' TITLE------ ------------ VENDOR--------- 28 224500 MISCELLANEOUS DE 15933 FRANKEL FRED 28 224500 MISCELLANEOUS DE 15934 WILSON KELLY 28 224500 MISCELLANEOUS DE 15937 LAUREN JUSTEN TOTAL MISCELLANEOUS DEPOSITSIN TOTAL FUND RUN DATE 09/12/2024 TIME 08:45:16 P.0.'S INVOICE BATCH SALES TAX 00104582-01 201 W NORTH G494 0.00 00104559-01 320 E STIMMEG494 0.00 00104611-02 200 E WILSONG494 0.00 0.00 0.00 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM ACCOUNTING PERIOD: 9/24 AMOUNT 3000 1500 2000 6500 6500 -00 -00 -00 -00 -00 ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION - FINANCIAL MANAGEMENT SYSTEM PAGE NUMBER: 12 DATE: 09/12/24 CITY OF WEST CHICAGO ACCTPAY1 TIME: 08:45:15 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 9/24 SELECTION CRITERIA: payable.due_date='’20240916 00:00:00.000’ PAYMENT TYPE: ALL FUND - 43 - COMMUTER PARKING FUND DEPT-DIV ACCOUNT ------ TITLE------ ------------ ‘VENDOR------~------ P.O.’S INVOICE BATCH SALES TAX AMOUNT 433476 4202 TELEPHONE & ALAR 15657 FIRST COMMUNICATIONS 116020 G494 0.00 24.67 433476 4219 CONTRACT JANITOR 9719 CRYSTAL MAINTENANCE S 00102947-01 31980 G494 0.00 285.00 433476 4613 POSTAGE 4450 RESERVE ACCOUNT 00104561-01 POSTAGE REFIG494 0.00 25.08 433476 4650 MISCELLANEOUS CO 244 MURPHY ACE HARDWARE 2 AUG 2024 G494 0.00 18.47 TOTAL COMMUTER PARKING FUND 0.00 353.22 TOTAL FUND 0.00 353.22 TOTAL CHECK TRANSACTIONS 0.00 271945.20 TOTAL EFT TRANSACTIONS 0.00 278969.23 TOTAL REPORT 0.00 550914 .43 RUN DATE 09/12/2024 TIME 08:45:16 PENTAMATION - FINANCIAL MANAGEMENT SYSTEM