===== PDF PAGE 6 ===== [Extraction: OCR (rendered-page OCR)] CITY OF WEST CHICAGO CORPORATE DISBURSEMENT REPORT December 2, 2024 OPERATING ACCOUNT $ 675,186.40 FUNDED BY: int ennnnnnnnnnnnnnmnnnnnnn: GENERAL FUND $ 219,559.32 CAPITAL EQUIPMENT REPLACEMENT FUND $ 71.99 SEWER FUND $ 160,319.28 WATER FUND $ 49,885.56 CAPITAL PROJECTS FUND $ 241,231.40 MOTOR FUEL TAX FUND $ 212.26 MISCELLANEOUS DEPOSITS FUND $ 3,000.00 COMMUTER PARKING FUND $ 906.59 APPROVED BY THE CITY COUNCIL ON: DATE: SIGNATURE: ===== PDF PAGE 7 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 1 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV = =---- DESCRIPTION------ SALES TAX AMOUNT 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 010203 MANAGED IT SERVICES SA 0.00 5,739.33 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 053443 MANAGED IT SERVICES SA 0.00 5,739.33 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 063448 MANAGED IT SERVICES SA 0.00 5,739.34 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 010203 SAAS DATTO BACKUP INVO 0.00 1,115.00 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 053443 SAAS DATTO BACKUP INVO 0.00 1,115.00 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 063448 SAAS DATTO BACKUP INVO 0.00 1,115.00 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 010203 INVOICE 11942 ON 11/15 0.00 616.67 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC 053443 INVOICE 11942 ON 11/15 0.00 616.67 105100 99608 12/02/24 14400 7 LAYER SOLUTIONS INC ‘063448 INVOICE 11942 ON 11/15 0.00 616.66 TOTAL CHECK 0.00 22,413.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010613 RESOLUTION NO. 24-R-00 0.00 61.67 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010921 RESOLUTION NO. 24-R-00 0.00 391.68 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010923 RESOLUTION NO. 24-R-00 0.00 1,025.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053440 RESOLUTION NO. 24-R-00 0.00 241.66 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053443 RESOLUTION NO. 24-R-00 0.00 425.03 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063447 RESOLUTION NO. 24-R-00 0.00 655.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063448 RESOLUTION NO. 24-R-00 0.00 935.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 083453 RESOLUTION NO. 24-R-00 0.00 10,006.63 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 433476. RESOLUTION NO. 24-R-00 0.00 200.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010613 RESOLUTION NO. 24-R-00 0.00 399.98 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010921 RESOLUTION NO. 24-R-00 0.00 749.97 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053443 RESOLUTION NO. 24-R-00 0.00 375.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063447 RESOLUTION NO. 24-R-00 0.00 900.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063448 RESOLUTION NO. 24-R-00 0.00 499.90 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 083453 RESOLUTION NO. 24-R-00 0.00 3 875.15 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010613 RESOLUTION NO. 24-R-00 0.00 50.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010921 RESOLUTION NO. 24-R-00 0.00 157.50 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010923 RESOLUTION NO. 24-R-00 0.00 423.33 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053440 RESOLUTION NO. 24-R-00 0.00 100.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053443 RESOLUTION NO. 24-R-00 0.00 141.67 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063447 RESOLUTION NO. 24-R-00 0.00 265.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063448 RESOLUTION NO. 24-R-00 0.00 386.67 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 083453 RESOLUTION NO. 24-R-00 0.00 3,249.17 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 433476 RESOLUTION NO. 24-R-00 0.00 83.33 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010613 RESOLUTION NO. 24-R-00 0.00 50.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010921 RESOLUTION NO. 24-R-00 0.00 157.50 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 010923 RESOLUTION NO. 24-R-00 0.00 423.33 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053440 RESOLUTION NO. 24-R-00 0.00 100.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 053443 RESOLUTION NO. 24-R-00 0.00 141.67 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063447 RESOLUTION NO. 24-R-00 0.00 265.00 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 063448 RESOLUTION NO. 24-R-00 0.00 386.67 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 083453 RESOLUTION NO. 24-R-00 0.00 3,249.17 105100 99610 12/02/24 15893 ADDLAWN LANDSCAPING INC 433476 RESOLUTION NO. 24-R-00 0.00 83.33 TOTAL CHECK 0.00 30,455.01 105100 99611 12/02/24 14897 ADVANCED AUTOMATION & CO 053443 INVOICE #24-4775 DATED 0.00 1,182.85 105100 99611 12/02/24 14897 ADVANCED AUTOMATION & CO 063448 INVOICE #24-4776 DATED 0.00 960.00 TOTAL CHECK 0.00 2,142.85 105100 99612 12/02/24 5384 AIRGAS USA LLC 010925 INVOICE #9154444177 DA 0.00 698.98 ===== PDF PAGE 8 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 2 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV 2s ===== DESCRIPTION------ SALES TAX AMOUNT 105100 99613 12/02/24 12722 ALLIED ASPHALT PAVING CO 083453 PURCHASE OF ASPHALT MA 0.00 813.32 105100 99613 12/02/24 12722 ALLIED ASPHALT PAVING CO 083453 PURCHASE OF ASPHALT MA 0.00 10,121.50 TOTAL CHECK 0.00 10,934.82 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010613 INVOICE # 1GJC-P7NG-1) 0.00 34.99 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010203 INVOICE # IGDT-LG6K-3H 0.00 9.99 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 011030 INV# 19KY-1G63-JDDF, 1 0.00 78.11 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 011030 INV# 1LD6T-WFCJ-4TKM, 1 0.00 27.43 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 011028 1C19-LRQY-7RNW, 11/14/ 0.00 17.99 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 043439 INVOICE #1VMD-11TK-D7R 0.00 71.99 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010925 INVOICE #1GVD-XKCL-LNH 0.00 382.04 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010910 INVOICE #17L1-9HR7-CYJ 0.00 9.92 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 063448 INVOICE #17L1-9HR7-CYJ 0.00 9.49 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010208 INVOICE: 1NT$-V6NH-QGX 0.00 1,299.00 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010110 INVOICE #1MK4-PW49-GI6 0.00 129.99 105100 99614 12/02/24 15559 AMAZON CAPITAL SERVICES 010921 INVOICE #1MGM-QT7N-9PX 0.00 92.33 TOTAL CHECK 0.00 2,163.27 105100 99615 12/02/24 12365 ANDY FRAIN SERVICES 010613 INVOICE # 367156 0.00 6,464.44 105100 99616 12/02/24 13068 AT & T 010203 11/12-12/11/24 0.00 120.40 105100 99617 12/02/24 13068 AT & T 010613 11/14-12/13/24 0.00 94.23 105100 99618 12/02/24 13107 AT & T MOBILITY 063447 10/8-11/7/24 0.00 189.92 105100 99619 12/02/24 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS293818 0.00 15,224.05 105100 99619 12/02/24 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS294192 0.00 14,696.65 105100 99619 12/02/24 13584 AXON ENTERPRISES INC 010613 INVOICE # INUS293697 0.00 2,952.92 TOTAL CHECK 0.00 32,873.62 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 20159, 11/14/2024 0.00 525.00 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 20151, 11/14/2024 0.00 675.00 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 66739, 11/5/2024; 0.00 905.00 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 66748, 11/7/2024; 0.00 1,200.00 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 66893, 11/15/2024 0.00 275.00 105100 99620 12/02/24 1800 B & F CONSTRUCTION CODE 011029 INV# 66902, 11/15/2024 0.00 15,250.44 TOTAL CHECK 0.00 18,830.44 105100 99621 12/02/24 11977 MERLE BURLEIGH 010208 BLANKET PO 0.00 1,050.00 105100 99622 12/02/24 6441 CANON BUSINESS SOLUTIONS 063448 INVOICE #6009884551 DA 0.00 34.47 105100 99622 12/02/24 6441 CANON BUSINESS SOLUTIONS 010924 INVOICE #6009822744 DA 0.00 141.95 TOTAL CHECK 0.00 176.42 105100 99623 12/02/24 15969 CARRILLO, MIGUEL 28 LOI REFUND FOR 521 E S 0.00 1,500.00 105100 99624 12/02/24 13021 CASE LOTS INC 010921 INVOICE #28100 DATED 1 0.00 489.70 105100 99624 12/02/24 13021 CASE LOTS INC 010921 INVOICE #27780 DATED 0.00 486.50 TOTAL CHECK 0.00 976.20 105100 99625 12/02/24 1843 CEMETERY MANAGEMENT INC. 010923 RESOLUTION NO. 24-R-00 0.00 807.50 ===== PDF PAGE 9 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 3 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV === DESCRIPTION------ SALES TAX AMOUNT 105100 99625 12/02/24 1843 CEMETERY MANAGEMENT INC. 010923 CEMETERY SEXTON SERVIC 0.00 1,175.00 105100 99625 12/02/24 1843 CEMETERY MANAGEMENT INC. 010923 CEMETERY SEXTON SERVIC 0.00 25.00 105100 99625 12/02/24 1843 CEMETERY MANAGEMENT INC. 010923 CEMETERY SEXTON SERVIC 0.00 392.50 TOTAL CHECK 0.00 2,400.00 105100 99626 12/02/24 9682 CERTIFIED LABORATORIES D 010924 INVOICE #8842425 DATED 0.00 198.45 105100 99627 12/02/24 12319 CHICAGO METRO AGENCY FOR 01 FY 2025 LOCAL CONTRIBU 0.00 1,173.08 105100 99628 12/02/24 12380 CINTAS CORPORATION 063448 BI-WEEKLY CARPET RUNNE 0.00 25.20 105100 99628 12/02/24 12380 CINTAS CORPORATION 010921 135 W GRANDLAKE 0.00 17.46 105100 99628 12/02/24 12380 CINTAS CORPORATION 010921 475 MAIN ST 0.00 37.36 105100 99628 12/02/24 12380 CINTAS CORPORATION 010921 325 SPENCER 0.00 19.61 105100 99628 12/02/24 12380 CINTAS CORPORATION 010921 412 BLAKELY 0.00 14.90 TOTAL CHECK 0.00 114.53 105100 99629 12/02/24 3223 COLLEGE OF DUPAGE 010613 BILL # 16794 0.00 4,696.00 105100 99629 12/02/24 3223 COLLEGE OF DUPAGE 010613 BILL # 16794 0.00 149.00 TOTAL CHECK 0.00 4,845.00 105100 99630 12/02/24 13089 COMCAST 010203 11/15-12/14/24 0.00 1,414.42 105100 99631 12/02/24 13257 COMCAST CABLE 010921 11/20-12/19/24 0.00 131.90 105100 99631 12/02/24 13257 COMCAST CABLE 010614 11/19-12/18/24 0.00 91.90 TOTAL CHECK 0.00 223.80 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/16-11/14/24 0.00 18.13 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/16-11/14/24 0.00 15.83 105100 99632 12/02/24 152 COMMONWEALTH EDISON 163458 10/16-11/14/24 0.00 57.18 105100 99632 12/02/24 152 COMMONWEALTH EDISON 163458 10/16-11/14/24 0.00 73.64 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/16-11/14/24 0.00 25.58 105100 99632 12/02/24 152 COMMONWEALTH EDISON 433476 10/16-11/14/24 0.00 179.93 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/16-11/14/24 0.00 400.15 105100 99632 12/02/24 152 COMMONWEALTH EDISON 163458 10/16-11/14/24 0.00 21.93 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/16-11/14/24 0.00 14.59 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010208 10/15-11/13/24 0.00 103.47 105100 99632 12/02/24 152 COMMONWEALTH EDISON 053443 10/15-11/13/24 0.00 432.68 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/15-11/13/24 0.00 113.45 105100 99632 12/02/24 152 COMMONWEALTH EDISON 011029 11/8-11/11/24 0.00 2.43 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010921 10/15-11/13/24 0.00 60.50 105100 99632 12/02/24 152 COMMONWEALTH EDISON 011029 11/8-11/13/24 0.00 829.91 105100 99632 12/02/24 152 COMMONWEALTH EDISON 163458 10/15-11/13/24 0.00 59.51 105100 99632 12/02/24 152 COMMONWEALTH EDISON 010614 10/15-11/13/24 0.00 67.22 TOTAL CHECK 0.00 2,476.13 105100 99633 12/02/24 152 COMMONWEALTH EDISON 083453 8/26-9/13/24 0.00 1,803.92 105100 99633 12/02/24 152 COMMONWEALTH EDISON 083453 10/14-11/6/24 0.00 923.19 TOTAL CHECK 0.00 2,727.11 105100 99634 12/02/24 5511 CDW GOVERNMENT INC 010203 QUOTE PDDX393 ON 10/14 0.00 5,837.94 105100 99635 12/02/24 15712 CONSTRUCTION INC. 083453 RESOLUTION NO. 23-R-00 0.00 55,993.75 ===== PDF PAGE 10 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 4 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV = ----- DESCRIPTION------ SALES TAX AMOUNT 105100 99635 12/02/24 15712 CONSTRUCTION INC. 083453 RESOLUTION NO. 24-R-00 0.00 21,600.00 TOTAL CHECK 0.00 77,593.75 105100 99636 12/02/24 2810 CORE & MAIN LP 063447 GUIDEBAR 0.00 259.50 105100 99637 12/02/24 2390 DELUXE TOWING 010613 INVOICE # 97147 0.00 165.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8417 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #wW8418 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8421 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8422 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8423 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 063448 INVOICE #W8424 DATED 1 0.00 422.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8429 DATED 1 0.00 126.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8742 DATED 1 0.00 280.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8743 DATED 1 0.00 280.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 063448 INVOICE #W8744 DATED 1 0.00 730.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8859 DATED 1 0.00 422.00 105100 99638 12/02/24 5166 DETECTION SYSTEMS 010921 INVOICE #W8862 DATED 1 0.00 126.00 TOTAL CHECK 0.00 3,016.00 105100 99639 12/02/24 15812 DONATE NILMARI DBA HAPPY 011030 INV# INV3913, 8/30/202 0.00 1,750.00 105100 99640 12/02/24 554 DUPAGE COUNTY RECORDER 011029 ocT 2024 0.00 513.00 105100 99641 12/02/24 10714 DUPAGE CTY DIV OF TRANSP 083453 INVOICE #5575 DATED 11 0.00 160.61 105100 99641 12/02/24 10714 DUPAGE CTY DIV OF TRANSP 083453 INVOICE #5576 DATED 11 0.00 223.51 TOTAL CHECK 0.00 384.12 105100 99642 12/02/24 11433 DUPAGE TOPSOIL INC. 063447 PULVERIZED TOPSOIL TO 0.00 780.00 105100 99643 12/02/24 9839 EJ EQUIPMENT INC. 053443 INVOICE #P49009 DATED 0.00 485.00 105100 99644 12/02/24 362 1sT AYD CORPORATION 010921 SHOP STOCK 0.00 250.45 105100 99645 12/02/24 15817 FIRST-CITIZENS BANK & TR 010613 INVOICE # 45932468 0.00 239.05 105100 99646 12/02/24 4554 FLEET SAFETY SUPPLY 010925 INVOICE #84012 DATED 1 0.00 390.19 105100 99646 12/02/24 4554 FLEET SAFETY SUPPLY 010925 INVOICE #84031 DATED 1 0.00 336.49 TOTAL CHECK 0.00 726.68 105100 99647 12/02/24 14354 GARCIA, MIGUEL 28 LOI REFUND FOR 421 E F 0.00 1,500.00 105100 99648 12/02/24 2013 GRAINGER 010921 INVOICE #9302321147 DA 0.00 935.14 105100 99648 12/02/24 2013 GRAINGER 010921 INVOICE #9307170762 DA 0.00 366.52 105100 99648 12/02/24 2013 GRAINGER 010921 CH SIGNS 0.00 120.00 105100 99648 12/02/24 2013 GRAINGER 010921 INVOICE #9297136245 DA 0.00 1,832.57 105100 99648 12/02/24 2013 GRAINGER 053443 WELL 10 GARGAE DOOR 0.00 9.54 TOTAL CHECK 0.00 3,263.77 105100 99649 12/02/24 561 HAGGERTY FORD 010925 450 0.00 121.00 105100 99649 12/02/24 561 HAGGERTY FORD 010925 385 0.00 184.95 ===== PDF PAGE 11 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 5 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV 2 ====- DESCRIPTION-~-~-~ SALES TAX AMOUNT 105100 99649 12/02/24 561 HAGGERTY FORD 010925 352 0.00 280.42 105100 99649 12/02/24 561 HAGGERTY FORD 010925 350 0.00 280.42 105100 99649 12/02/24 561 HAGGERTY FORD 010925 INVOICE #17054 DATED 1 0.00 831.08 105100 99649 12/02/24 561 HAGGERTY FORD 010925 316 0.00 89.01 105100 99649 12/02/24 561 HAGGERTY FORD 010925 742 0.00 67.98 105100 99649 12/02/24 561 HAGGERTY FORD 010925 742 0.00 36.11 105100 99649 12/02/24 561 HAGGERTY FORD 063447 656 0.00 119.90 105100 99649 12/02/24 561 HAGGERTY FORD 010925 353 0.00 247.40 TOTAL CHECK 0.00 2,258.27 105100 99650 12/02/24 15023 HELM LLC 010925 QUOTE DATED 10-14-24 - 0.00 3,350.00 105100 99651 12/02/24 13701 HENDERSON TRUCK EQUIP-IL 010925 INVOICE #408407 DATED 0.00 66.02 105100 99652 12/02/24 13835 HOERR CONSTRUCTION INC 053443 RESOLUTION NO. 24-R-00 0.00 131,821.02 105100 99653 12/02/24 15970 HPA BORROWER 2020-D TL L 0100 REFUND FOR OVERPAYMENT 0.00 90.00 105100 99654 12/02/24 11973 ILLINOIS TACTICAL OFFICE 010613 INVOICE #08921 0.00 350.00 105100 99655 12/02/24 5957 INTOXIMETERS INC 010613 INVOICE # 772892 0.00 1,024.00 105100 99656 12/02/24 5703 INVENTORY TRADING CO DBA 010613 INVOICE # 303236 0.00 222.00 105100 99657 12/02/24 2084 JEWEL-OSCO 010201 HOLIDAY GIFT CARDS 0.00 3,990.00 105100 99658 12/02/24 15968 KIETZMAN, TIMOTHY D 0100 DOCKET # 24-2695 0.00 50.00 105100 99659 12/02/24 12643 KIMBALL MIDWEST 010925 INVOICE #102763518 DAT 0.00 479,31 105100 99659 12/02/24 12643 KIMBALL MIDWEST 010925 INVOICE #102766262 DAT 0.00 271.95 105100 99659 12/02/24 12643 KIMBALL MIDWEST 010924 INVOICE #102792216 DAT 0.00 173.35 105100 99659 12/02/24 12643 KIMBALL MIDWEST 010921 INVOICE #102792672 DAT 0.00 251.35 105100 99659 12/02/24 12643 KIMBALL MIDWEST 010921 INVOICE #102792820 DAT 0.00 438.40 TOTAL CHECK 0.00 1,614.36 105100 99660 12/02/24 14376 KLEIN THORPE & JENKINS L 010207 4999-002 0.00 3,298.11 105100 99661 12/02/24 665 KRAMER TREE SPECIALISTS 063447 INVOICE #21371 DATED 1 0.00 187.00 105100 99661 12/02/24 665 KRAMER TREE SPECIALISTS 010922 RESOLUTION NO. 23-R-00 0.00 14,239.75 TOTAL CHECK 0.00 14,426.75 105100 99662 12/02/24 15249 KRK MECHANICAL INC 063448 QUOTE DATED 10-29-24 - 0.00 3,480.00 105100 99663 12/02/24 15824 TVG-MGT HOLDINGS LP 010207 FINANCE DEPT ASSISTANC 0.00 4,375.28 105100 99664 12/02/24 11129 MOE FUNDS o1 JAN 2025 MOE FUNDS 0.00 41,258.03 105100 99664 12/02/24 11129 MOE FUNDS 053443 JAN 2025 MOE FUNDS 0.00 9,474.07 105100 99664 12/02/24 11129 MOE FUNDS 063447 JAN 2025 MOE FUNDS 0.00 9,474.07 105100 99664 12/02/24 11129 MOE FUNDS 083453 JAN 2025 MOE FUNDS 0.00 916.83 TOTAL CHECK 0.00 61,123.00 105100 99665 12/02/24 10925 MISSISSIPPI LIME COMPANY 063448 RESOLUTION NO. 23-R-00 0.00 8,021.32 ===== PDF PAGE 12 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 6 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV ss ====- DESCRIPTION------ SALES TAX AMOUNT 105100 99666 12/02/24 12775 N.A.R. TOWING 010613 INVOICE # 51007 0.00 240.00 105100 99666 12/02/24 12775 N.A.R. TOWING 010613 INVOICE # 49988 0.00 165.00 TOTAL CHECK 0.00 405.00 105100 99667 12/02/24 4735 NAPA AUTO PARTS 010925 367 0.00 133.76 105100 99667 12/02/24 4735 NAPA AUTO PARTS 010925 PPE 0.00 25.22 105100 99667 12/02/24 4735 NAPA AUTO PARTS 063447 GASKET SEAL 0.00 9.34 105100 99667 12/02/24 4735 NAPA AUTO PARTS 010925 STOCK 0.00 239.90 105100 99667 12/02/24 4735 NAPA AUTO PARTS 063447 INVOICE #266444 DATED 0.00 420.32 105100 99667 12/02/24 4735 NAPA AUTO PARTS 063447 661 0.00 63.69 105100 99667 12/02/24 4735 NAPA AUTO PARTS 063447 660 0.00 63.69 105100 99667 12/02/24 4735 NAPA AUTO PARTS 010925 317 0.00 176.33 105100 99667 12/02/24 4735 NAPA AUTO PARTS 010925 316 0.00 242.52 105100 99667 12/02/24 4735 NAPA AUTO PARTS 063447 656 0.00 107.75 TOTAL CHECK 0.00 1,452.52 105100 99668 12/02/24 250 NORTHERN ILLINOIS GAS 053443 10/3-11/4/24 0.00 58.17 105100 99668 12/02/24 250 NORTHERN ILLINOIS GAS 063447 10/3-11/4/24 0.00 52.76 105100 99668 12/02/24 250 NORTHERN ILLINOIS GAS 010921 10/3-11/4/24 0.00 269.86 TOTAL CHECK 0.00 380.79 105100 99669 12/02/24 14044 OZINGA READY MIX CONCRET 083453 INVOICE #ARI02448819 D 0.00 746.26 105100 99670 12/02/24 15112 PACE SUBURBAN BUS 011028 INV# 644345, 11/13/202 0.00 177.47 105100 99671 12/02/24 3739 PADDOCK PUBLICATIONS 083453 INVOICE #313344 DATED 0.00 218.50 105100 99671 12/02/24 3739 PADDOCK PUBLICATIONS 083453 INVOICE #313344 DATED 0.00 117.30 105100 99671 12/02/24 3739 PADDOCK PUBLICATIONS 011028 INV# 310854, 10/28/202 0.00 531.30 TOTAL CHECK 0.00 867.10 105100 99672 12/02/24 15547 PARTNERS AND PAWS VETERI 010613 INVOICE # 141982 0.00 99.55 105100 99673 12/02/24 14816 PIT STOP 010207 INV# LR5952385, 11/15/ 0.00 1,701.80 105100 99674 12/02/24 14172 PLANET DEPOS LLC 011028 INV# 711982, 11/14/202 0.00 1,943.94 105100 99675 12/02/24 3714 POMP'S TIRE SERVICE INC. 010925 787 0.00 69.50 105100 99675 12/02/24 3714 POMP'S TIRE SERVICE INC. 010925 796 0.00 69.50 105100 99675 12/02/24 3714 POMP'S TIRE SERVICE INC. 010925 INVOICE #411136186 DAT 0.00 586.00 105100 99675 12/02/24 3714 POMP'S TIRE SERVICE INC. 010925 INVOICE #411136404 DAT 0.00 512.48 TOTAL CHECK 0.00 1,237.48 105100 99676 12/02/24 4450 RESERVE ACCOUNT 011030 POSTAGE FOR FROSTY FES 0.00 123.00 105100 99677. 12/02/24 15860 SCARPINITI PETE 010613 INVOICE # 127349 0.00 1,250.00 105100 99678 12/02/24 15443 PROSAFETY INC. 083453 INVOICE #2/907920 DATE 0.00 306.00 105100 99679 12/02/24 14420 QUALITY LOGO PRODUCTS IN 010613 ORDER CONFIRMATION # 6 0.00 410.13 105100 99680 12/02/24 492 RAY O'HERRON INC 010613 INVOICE # 2377296 0.00 64.78 ===== PDF PAGE 13 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 7 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 ~- OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV 2 ==--- DESCRIPTION------ SALES TAX AMOUNT 105100 99680 12/02/24 492 RAY O'HERRON INC 010613 INVOICE # 2377341 0.00 15.84 105100 99680 12/02/24 492 RAY O'HERRON INC 010613 INVOICE # 2377930 0.00 154.63 105100 99680 12/02/24 492 RAY O'HERRON INC 010613 INVOICE # 2377931 0.00 32.39 105100 99680 12/02/24 492 RAY O'HERRON INC 010613 INVOICE # 2378280 0.00 21.09 TOTAL CHECK 0.00 288.73 105100 99681 12/02/24 11970 REGIONAL TRUCK EQUIPMENT 010925 732: 0.00 136.02 105100 99681 12/02/24 11970 REGIONAL TRUCK EQUIPMENT 010925 INVOICE #281778 DATED 0.00 537.50 105100 99681 12/02/24 11970 REGIONAL TRUCK EQUIPMENT 010925 INV 281765 9/27/24 CRE 0.00 -222.87 TOTAL CHECK 0.00 450.65 105100 99682 12/02/24 13445 RESOURCE CONSULTING INC 083453 135 W GRANDLAKE BLVD I 0.00 2,360.00 105100 99683 12/02/24 15558 REVOLUTION BRANDING INC. 010208 INVOICE: 63569 0.00 11,194.25 105100 99684 12/02/24 12229 RIN GROUP INC 053443 PROPOSAL DATED 08-23-2 0.00 6,545.53 105100 99685 12/02/24 14952 RME AUDIO VIDEO INC 011030 INV# 644, 1/1/2024; FR 0.00 787.50 105100 99686 12/02/24 14960 RNOW INC 010925 INVOICE #2024-72759 DA 0.00 934.83 105100 99687 12/02/24 10927 ROWELL CHEMICAL CORP. 063448 RESOLUTION NO. 23-R-00 0.00 7,929.19 105100 99688 12/02/24 12827 SIGN A RAMA 010208 INVOICE: 5407 0.00 4,387.50 105100 99689 12/02/24 15895 SRSD CONSULTING LLC 010207 LEADERSHIP DEVELOPMENT 0.00 5,500.00 105100 99690 12/02/24 4095 STANDARD EQUIPMENT COMPA 010925 INVOICE #P00506 DATED 0.00 336.75 105100 99691 12/02/24 15573 SUE KLEIN WACHTER DBA 011030 INV# 09302024; FROSTY 0.00 500.00 105100 99692 12/02/24 14837 SUNBELT RENTALS INC 063448 INVOICE #161110236-000 0.00 2,526.82 105100 99693 12/02/24 12138 THE FUN ONES 011030 INV# 84129; FROSTY FES 0.00 608.50 105100 99694 12/02/24 9209 THIRD MILLENNIUM ASSOCIA 053443 UB PROCESSING AND MAIL 0.00 1,314.39 105100 99694 12/02/24 9209 THIRD MILLENNIUM ASSOCIA 063447 UB PROCESSING AND MAIL 0.00 1,314.39 TOTAL CHECK 0.00 2,628.78 105100 99695 12/02/24 12102 THOMAS ENGINEERING GROUP 083453 RESOLUTION NO. 17-R-00 0.00 123,636.29 105100 99696 12/02/24 15072 TOSCAS LAW GROUP LLC 010613 STATEMENT DATE: 11 20 0.00 695.00 105100 99696 12/02/24 15072 TOSCAS LAW GROUP LLC 011029 CONDUCT ADMINISTRATIVE 0.00 695.00 105100 99696 12/02/24 15072 TOSCAS LAW GROUP LLC 010613 STATEMENT DATE: 11 21 0.00 695.00 TOTAL CHECK : 0.00 2,085.00 105100 99697 12/02/24 11587 TOTAL PARKING SOLUTIONS 433476 INVOICE #107033 DATED 0.00 360.00 105100 99698 12/02/24 3349 TRAFFIC CONTROL AND PROT 083453 SINGLE ARROW SIGN 0.00 104.40 105100 99698 12/02/24 3349 TRAFFIC CONTROL AND PROT 083453 SIGNS 0.00 198.80 105100 99698 12/02/24 3349 TRAFFIC CONTROL AND PROT 083453 SIGNS 0.00 273.80 105100 99698 12/02/24 3349 TRAFFIC CONTROL AND PROT 083453 INVOICE #9315 DATED 11 0.00 333.30 ===== PDF PAGE 14 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 8 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPA21 TIME: 14:56:10 CHECK REGISTER - DISBURSEMENT FUND SELECTION CRITERIA: transact.batch='G499' and transact.ck_date='20241202 00:00:00.000' ACCOUNTING PERIOD: 11/24 FUND - 40 - OPERATING FUND CASH ACCT CHECK NO ISSUE DT VENDOR NAME DEPT-DIV 2s ==--- DESCRIPTION------ SALES TAX AMOUNT TOTAL CHECK 0.00 910.30 105100 99699 12/02/24 15951 TRIAD TECHNOLOGIES LLC 010925 INVOICE #62030377 DATE 0.00 222.34 105100 99699 12/02/24 15951 TRIAD TECHNOLOGIES LLC 010925 INVOICE #62037735 DATE 0.00 359.08 TOTAL CHECK 0.00 581.42 105100 99700 12/02/24 286 TS SPECIALTIES INC 010925 INVOICE #35916 DATED 1 0.00 198.95 105100 99701 12/02/24 4322 US POSTMASTER 010208 USPS MARKETING MAIL P 0.00 350.00 105100 99702 12/02/24 15644 VICKY S CAMPBELL DBA RES 011030 INVOICE DATED 9/9/2024 0.00 575.00 105100 99703 12/02/24 15971 VITUCCI, ROCCO 010201 2024 SUMMER SAFETY SUG 0.00 100.00 105100 99704 12/02/24 13109 WATER RESOURCES INC 063447 INVOICE #37702 DATED 1 0.00 940.50 105100 99705 12/02/24 14940 WAYTEK, INC 010925 INVOICE #3791002 DATED 0.00 309.28 105100 99706 12/02/24 546 WEST SIDE TRACTOR SALES 010925 INVOICE #N60781 DATED 0.00 591.00 105100 99707 12/02/24 12135 WEST SUBURBAN LIVING MAG 010208 INV: 14886 0.00 200.00 105100 99708 12/02/24 12628 WINDY CITY LIGHTS INC IN 011030 INV# 7781, 11/13/2024; 0.00 1,878.08 105100 99709 12/02/24 15025 ZOOS ARE US INC 011030 INV# 3229, 12/4/2024; 0.00 1,410.00 TOTAL CASH ACCOUNT 0.00 675,186.40 TOTAL FUND 0.00 675,186.40 TOTAL REPORT 0.00 675,186.40 ===== PDF PAGE 15 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT 01 140000 01 140000 TOTAL GENERAL FUND 0100 345300 0100 354500 PREPAID EXPENDIT PREPAID EXPENDIT RENTAL INSPECTIO ADJUDICATON FINE TOTAL GENERAL FUND REVENUES 010110 4600 COMPUTER/OFFICE TOTAL CITY COUNCIL-OPERATIONS 4674 4680 010201 010201 TOTAL CITY ADMIN - HR 010203 4105 010203 4109 010203 4109 010203 4125 010203 4225 010203 4806 010203 4812 TOTAL CITY ADMIN - IT 010207 4225 010207 4225 010207 4225 010207 4236 SAFETY BUDGET SPECIAL EVENTS CONSULTANTS NETWORK CHARGES NETWORK CHARGES SOFTWARE MAINTEN OTHER CONTRACTUA OTHER CAPITAL OU MIS REPLACEMENT OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA LAKESHORE RECYCL TOTAL CITY ADMIN-SPECIAL PROJ 010208 4112 010208 4112 010208 4204 010208 4212 010208 4225 010208 4225 010208 4680 MEMBERSHIPS/DUES MEMBERSHIPS/DUES ELECTRIC ADVERTISING OTHER CONTRACTUA OTHER CONTRACTUA SPECIAL EVENTS TOTAL CITY ADMIN-MARKET/COMM 010613 4100 010613 4100 010613 4110 010613 4110 010613 4110 010613 4216 010613 4216 LEGAL FEES LEGAL FEES TRAINING & TUITI TRAINING & TUITI TRAINING & TUITI GROUNDS MAINTENA GROUNDS MAINTENA 15559 15971 2084 14400 13068 13089 14400 14400 5511 15559 14816 15824 15895 14376 15559 4322 152 12827 11977 15558 12135 15072 15072 11973 3223 3223 15893 15893 ----VENDOR-- MOE FUNDS CHICAGO METRO AGENCY HPA BORROWER 2020-D T KIETZMAN, TIMOTHY D AMAZON CAPITAL SERVIC VITUCCI, ROCCO JEWEL-OSCO 7 LAYER SOLUTIONS INC AT&T COMCAST 7 LAYER SOLUTIONS INC 7 LAYER SOLUTIONS INC CDW GOVERNMENT INC AMAZON CAPITAL SERVIC PIT STOP TVG-MGT HOLDINGS LP SRSD CONSULTING LLC KLEIN THORPE & JENKIN AMAZON CAPITAL SERVIC US POSTMASTER COMMONWEALTH EDISON SIGN A RAMA MERLE BURLEIGH REVOLUTION BRANDING I WEST SUBURBAN LIVING TOSCAS LAW GROUP LLC TOSCAS LAW GROUP LLC ILLINOIS TACTICAL OFF COLLEGE OF DUPAGE COLLEGE OF DUPAGE ADDLAWN LANDSCAPING I ADDLAWN LANDSCAPING I 00105028-02 00105093-01 00105096-01 00105027-02 00105098-01 00105020-02 00103214-01 00105029-01 00103213-01 00104835-01 00105027-01 00105075-01 00105073-01 00103856-01 00105043-01 00105099-01 00105100-01 00105032-01 00102978-01 00105031-01 00105101-01 00105024-01 00105094-01 00105025-01 00105018-01 00105018-02 00103827-01 00103827-01 INVOICE JAN 2025 CONTRIBUTION SANDPIPER TR 24-2695 IMK4PW49G369 UMMER SAFETY HOLIDAY GC 11856 111338329 900006701 11942 11919 AB4V88F IGDTLG6K3HXN LR5952385 36162 8964451-0008 245682 INT4V6NHQGXH 2025_ PERMIT 9831782222 5407 DEC 2024 63569 14886 MIN HEARINGS MIN_HEARINGS 08921 16794 16794 202402691 202403170 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 11/24 CONTROL # SALES TAX G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 G499 eoooo000 Oo See000°0oO CG ceCooo Oo eCo0o0C0oo FoF oo Go fo oOo oo eo oo -00 -00 -00 -00 -00 -00 -00 1 AMOUNT 41258 -03 1173. 42431. 90. 50. 140. 129. 129. 100. 3990. 4090. 5739. 120. 1414. 616. T1153. 5837. 9. 14853. 1701. 4375. 5500. 3298. 14875. 1299. 350. 103. 4387. 1050. 11194. 200. 18584. 695. 695. 350. 4696. 149. 61. 50. 08 11 00 00 00 99 ===== PDF PAGE 16 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 010613 TOTAL POLICE-OPER. 010614 010614 TOTAL POLICE-ESDA 010910 TOTAL PUBLIC WORK 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 010921 ACCOUNT 4216 4216 4225 4230 4232 4502 4600 4601 4615 4615 4615 4615 4615 4615 4640 4644 4644 4644 4644 4650 4650 4650 ATIONS 4202 4202 4600 S-ADMIN 4202 4203 4204 4204 4204 4204 4204 4204 4204 4216 4216 4216 4216 4225 4225 4225 4225 4225 4225 GROUNDS MAINTENA GROUNDS MAINTENA OTHER CONTRACTUA GRAFFITI REMOVAL CROSSING GUARD-C COPIER FEES COMPUTER/OFFICE FIELD EQUIPMENT UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY UNIFORMS/SAFETY CRIME PREVENTION DRUG ASSET FORFE DRUG ASSET FORFE DRUG ASSET FORFE DRUG ASSET FORFE MISCELLANEOUS CO MISCELLANEOUS CO MISCELLANEOUS CO TELEPHONE & ALAR TELEPHONE & ALAR COMPUTER/OFFICE TELEPHONE & ALAR HEATING GAS ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC ELECTRIC GROUNDS MAINTENA GROUNDS MAINTENA GROUNDS MAINTENA GROUNDS MAINTENA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA OTHER CONTRACTUA 15559 13257 250 152 152 152 152 152 152 152 15893 15893 15893 15893 12380 12380 12380 12380 5166 5166 ADDLAWN LANDSCAPING I ADDLAWN LANDSCAPING I AT & T SCARPINITI PETE ANDY FRAIN SERVICES FIRST-CITIZENS BANK & AMAZON CAPITAL SERVIC INTOXIMETERS INC RAY O'HERRON INC RAY O'HERRON INC RAY O'HERRON INC RAY O'HERRON INC RAY O'HERRON INC INVENTORY TRADING CO QUALITY LOGO PRODUCTS AXON ENTERPRISES INC AXON ENTERPRISES INC AXON ENTERPRISES INC PARTNERS AND PAWS VET N.A.R. TOWING N.A.R. TOWING DELUXE TOWING COMCAST CABLE COMMONWEALTH EDISON AMAZON CAPITAL SERVIC COMCAST CABLE NORTHERN ILLINOIS GAS COMMONWEALTH COMMONWEALTH COMMONWEALTH COMMONWEALTH COMMONWEALTH COMMONWEALTH COMMONWEALTH CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION CINTAS CORPORATION DETECTION SYSTEMS DETECTION SYSTEMS EDISON EDISON EDISON EDISON EDISON EDISON EDISON ADDLAWN LANDSCAPING ADDLAWN LANDSCAPING ADDLAWN LANDSCAPING ADDLAWN LANDSCAPING HHHH 00103827-01 00103827-01 00105017-01 00105016-01 00105022-01 00105021-01 00105011-01 00105010-01 00105010-02 00105019-01 00105019-02 00105026-01 00105095-01 00104556-02 00105012-01 00105012-02 00105012-03 00105009-01 00105015-01 00105015-02 00105023-01 00105055-03 00103827-01 00103827-01 00103827-01 00103827-01 00103047-02 00103047-03 00103047-04 00103047-05 00105072-01 00105072-02 INVOICE 202403153 202401626 114559150 127349 367156 45932468 1GIJCP7NG1I7P 772892 2377296 2377341 2377930 2377931 2378280 303236 QSI-1152260 INUS293818 INUS294192 INUS293697 141982 51007 49988 97147 200380248712 8149196000 17L19HR7CYIT 200380104808 70273900004 2946479000 7321641222 6868407000 7593217000 1184452222 0583336000 0885107000 202402691 202401626 202403153 202403170 4211125142 4211125122 4211125060 4211125114 w8417 W8418 PAGE NUMBER: 2 ACCTPAYL ACCOUNTING PERIOD: 11/24 CONTROL # SALES TAX AMOUNT G499 0.00 50.00 G499 0.00 399.98 G499 0.00 94.23 G499 0.00 1250.00 G499 0.00 6464.44 G499 0.00 239.05 G499 0.00 34.99 G499 0.00 1024.00 G499 0.00 64.78 G499 0.00 15.84 G499 0.00 154.63 G499 0.00 32.39 G499 0.00 21.09 G499 0.00 222.00 G499 0.00 410.13 G499 0.00 15224.05 G499 0.00 14696.65 G499 0.00 2952.92 G499 0.00 99.55 G499 0.00 240.00 G499 0.00 165.00 G499 0.00 165.00 0.00 50717 .39 G499 0.00 91.90 G499 0.00 67.22 0.00 159.12 G499 0.00 9.92 0.00 9.92 G499 0.00 131.90 G499 0.00 269.86 G499 0.00 113.45 G499 0.00 60.50 G499 0.00 18.13 G499 0.00 15.83 G499 0.00 25.58 G499 0.00 400.15 G499 0.00 14.59 G499 0.00 391.68 G499 0.00 749.97 G499 0.00 157.50 G499 0.00 157.50 G499 0.00 17.46 G499 0.00 37.36 G499 0.00 19.61 G499 0.00 14.90 G499 0.00 126.00 G499 0.00 126.00 ===== PDF PAGE 17 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 3 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPAYL TIME: 10:07:41 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/24 SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ------ TITLE----- ------------ VENDOR------------ P.O.'S INVOICE CONTROL # SALES TAX AMOUNT 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-03 w8421 G499 0.00 126.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-04 w8422 G499 0.00 126.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-05 w8423 G499 0.00 126.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-07 w8429 G499 0.00 126.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-08 w8742 G499 0.00 280.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-09 w8743 G499 0.00 280.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-11 w8859 6499 0.00 422.00 010921 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-12 w8862 G499 0.00 126.00 010921 4650 MISCELLANEOUS CO 12643 KIMBALL MIDWEST 00105045-04 102792672 G499 0.00 251.35 010921 4650 MISCELLANEOUS CO 12643 KIMBALL MIDWEST 00105045-05 102792820 G499 0.00 438.40 010921 4650 MISCELLANEOUS CO 13021 CASE LOTS INC 00105035-01 27780 G499 0.00 486.50 010921 4650 MISCELLANEOUS CO 13021 CASE LOTS INC 00105063-01 28100 G499 0.00 489.70 010921 4650 MISCELLANEOUS CO 15559 AMAZON CAPITAL SERVIC 00105042-01 IMGMQT7N9PXX G499 0.00 92.33 010921 4650 MISCELLANEOUS CO 2013 GRAINGER 9285613585 G499 0.00 120.00 010921 4650 MISCELLANEOUS CO 2013 GRAINGER 00105041-01 9297136245 6499 0.00 1832.57 010921 4650 MISCELLANEOUS CO 2013 GRAINGER 00105066-01 9302321147 «G499 0.00 935.14 010921 4650 MISCELLANEOUS CO 2013 GRAINGER 00105066-02 9307170762 G499 0.00 366.52 010921 4650 MISCELLANEOUS CO 362 1ST AYD CORPORATION PSI742217 6499 0.00 250.45 TOTAL PUBLIC WORKS-MUN PROP 0.00 9722.93 010922 4214 BRUSH PICKUP 665 KRAMER TREE SPECIALIS 00102946-01 14583-7 G499 0.00 14239.75 TOTAL PUBLIC WORKS-FORESTRY 0.00 14239.75 010923 4209 INTERMENT 1843 CEMETERY MANAGEMENT I 00103157-01 00-20297 G499 0.00 1175.00 010923 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 G499 0.00 1025.00 010923 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 G499 0.00 423.33 010923 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 423.33 010923 4216 GROUNDS MAINTENA 1843 CEMETERY MANAGEMENT I 00103157-01 00-20297 6499 0.00 25.00 010923 4216 GROUNDS MAINTENA 1843 CEMETERY MANAGEMENT I 00103157-01 00-20303 G499 0.00 392.50 010923 4216 GROUNDS MAINTENA 1843 CEMETERY MANAGEMENT I 00104127-01 00-20303 G499 0.00 807.50 TOTAL PUBLIC WORKS-CEMETERIES 0.00 4271.66 010924 4600 COMPUTER/OFFICE 6441 CANON BUSINESS SOLUTI 00105054-01 6009822744 G499 0.00 141.95 010924 4650 MISCELLANEOUS CO 12643 KIMBALL MIDWEST 00105045-03 102792216 G499 0.00 173.35 010924 4650 MISCELLANEOUS CO 9682 CERTIFIED LABORATORIE 00105064-01 8842425 G499 0.00 198.45 TOTAL PUBLIC WORKS-R & B 0.00 513.75 010925 4400 VEHICLE REPAIR 286 TS SPECIALTIES INC 00105060-01 35916 G499 0.00 198.95 010925 4400 VEHICLE REPAIR 561 HAGGERTY FORD 68636 G499 0.00 184.95 010925 4603 PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM 282037 G499 0.00 136.02 010925 4603 PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM 00105038-01 281778 G499 0.00 537.50 010925 4603 PARTS FOR VEHICL 11970 REGIONAL TRUCK EQUIPM 00105038-02 281765 G499 0.00 -222.87 010925 4603 PARTS FOR VEHICL 12643 KIMBALL MIDWEST 00105045-01 102763518 6499 0.00 479.31 010925 4603 PARTS FOR VEHICL 12643 KIMBALL MIDWEST 00105045-02 102766262 G499 0.00 271.95 010925 4603 PARTS FOR VEHICL 13701 HENDERSON TRUCK EQUIP 00105036-01 408407 6499 0.00 66.02 010925 4603 PARTS FOR VEHICL 14940 WAYTEK, INC 00105057-01 3791002 G499 0.00 309.28 010925 4603 PARTS FOR VEHICL 14960 RNOW INC 00105056-01 2024-72759 G499 0.00 934.83 010925 4603 PARTS FOR VEHICL 15951 TRIAD TECHNOLOGIES LL 00105047-01 62030377 6499 0.00 222.34 010925 4603 PARTS FOR VEHICL 15951 TRIAD TECHNOLOGIES LL 00105047-03 62037735 G499 0.00 359.08 ===== PDF PAGE 18 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 4 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPAYL TIME: 10:07:41 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/24 SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - O1 - GENERAL FUND DEPT-DIV ACCOUNT ------ TITLE----- ------------ VENDOR----------~- P.O.'S INVOICE CONTROL # SALES TAX AMOUNT 010925 4603 PARTS FOR VEHICL 3714 POMP'S TIRE SERVICE I 640120586 G499 0.00 69.50 010925 4603 PARTS FOR VEHICL 3714 POMP'S TIRE SERVICE I 640120733 G499 0.00 69.50 010925 4603 PARTS FOR VEHICL 3714 POMP'S TIRE SERVICE I 00105070-01 411136186 G499 0.00 586.00 010925 4603 PARTS FOR VEHICL 3714 POMP'S TIRE SERVICE I 00105070-02 411136404 G499 0.00 512.48 010925 4603 PARTS FOR VEHICL 4095 STANDARD EQUIPMENT CO 00105058-01 P00506 G499 0.00 336.75 010925 4603 PARTS FOR VEHICL 4554 FLEET SAFETY SUPPLY 00105068-01 84012 G499 0.00 390.19 010925 4603 PARTS FOR VEHICL 4554 FLEET SAFETY SUPPLY 00105068-02 84031 G499 0.00 336.49 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 265386 G499 0.00 133.76 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 266045 G499 0.00 239.90 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 266216 6499 0.00 176.33 010925 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 266145 G499 0.00 212..52 010925 4603 PARTS FOR VEHICL 5384 AIRGAS USA LLC 00105059-01 9154444177 G499 0.00 698.98 010925 4603 PARTS FOR VEHICL 546 WEST SIDE TRACTOR SAL 00105046-01 N60781 G499 0.00 591.00 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16696 G499 0.00 280.42 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16584 G499 0.00 280.42 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 16971 G499 0.00 121.00 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 17068 G499 0.00 89.01 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 17055 G499 0.00 67.98 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 17076 G499 0.00 36.11 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 17096 G499 0.00 247.40 010925 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 00105067-01 17054 G499 0.00 831.08 010925 4604 TOOLS & EQUIPMEN 15023 HELM LLC 00104889-01 INVH38976 G499 0.00 3350.00 010925 4604 TOOLS & EQUIPMEN 15559 AMAZON CAPITAL SERVIC 00105055-02 1GVDXKCLLNHN G499 0.00 382.04 010925 4615 UNIFORMS/SAFETY 4735 NAPA AUTO PARTS 265512 G499 0.00 25.22 TOTAL PUBLIC WORKS-MAINT GAR 0.00 13541.44 011028 4200 LEGAL NOTICES 3739 PADDOCK PUBLICATIONS 00105083-01 310854 G499 0.00 531.30 011028 4223 LEGAL REPORTER F 14172 PLANET DEPOS LLC 00105080-01 711982 G499 0.00 1943.94 011028 4234 PARATRANSIT SERV 15112 PACE SUBURBAN BUS 00105081-01 644345 G499 0.00 177.47 011028 4600 COMPUTER/OFFICE 15559 AMAZON CAPITAL SERVIC 00105074-03 1C19LRQY7RNW G499 0.00 17.99 TOTAL COM DEV-PLANNING 0.00 2670.70 011029 4100 LEGAL FEES 15072 TOSCAS LAW GROUP LLC 00105079-01 E VIOLATIONS G499 0.00 695.00 011029 4113 ENFORCEMENT & IN 1800 B & F CONSTRUCTION CO 00105078-01 66902 G499 0.00 15250.44 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00105076-01 66739 G499 0.00 905.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00105076-02 66748 G499 0.00 1200.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00105076-03 66893 G499 0.00 275.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00105077-01 20159 G499 0.00 525.00 011029 4120 PLAN REVIEW 1800 B & F CONSTRUCTION CO 00105077-02 20151 G499 0.00 675.00 011029 4222 FILING FEES 554 DUPAGE COUNTY RECORDE OCT 2024 6499 0.00 513.00 011029 4225 OTHER CONTRACTUA 152 COMMONWEALTH EDISON 8912406332 G499 0.00 829.91 011029 4225 OTHER CONTRACTUA 152 COMMONWEALTH EDISON 5128733276 G499 0.00 2.43 TOTAL COM DEV-BUILDING & CODE 0.00 20870.78 011030 4680 SPECIAL EVENTS 12138 THE FUN ONES 00105087-01 84129 G499 0.00 608.50 011030 4680 SPECIAL EVENTS 12628 WINDY CITY LIGHTS INC 00105082-01 7781 6499 0.00 1878.08 011030 4680 SPECIAL EVENTS 14952 RME AUDIO VIDEO INC 00105089-01 644 G499 0.00 787.50 011030 4680 SPECIAL EVENTS 15025 ZOOS ARE US INC 00105088-01 3229 G499 0.00 1410.00 011030 4680 SPECIAL EVENTS 15559 AMAZON CAPITAL SERVIC 00105074-01 19KY1G63IDDF G499 0.00 78.11 011030 4680 SPECIAL EVENTS 15559 AMAZON CAPITAL SERVIC 00105074-02 1D6TWFCIJ4TKM G499 0.00 27.43 ===== PDF PAGE 19 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 5 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPAY1L TIME: 10:07:41 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/24 SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 01 - GENERAL FUND DEPT-DIV ACCOUNT ----VENDOR------------ P.O.'S INVOICE CONTROL # SALES TAX AMOUNT 011030 4680 SPECIAL EVENTS 15573 SUE KLEIN WACHTER DBA 00105085-01 09302024 G499 0.00 500.00 011030 4680 SPECIAL EVENTS 15644 VICKY S CAMPBELL DBA 00105084-01 FROSTY FEST G499 0.00 575.00 011030 4680 SPECIAL EVENTS 15812 DONATE NILMARI DBA HA 00105086-01 INV3913 G499 0.00 1750.00 011030 4680 SPECIAL EVENTS 4450 RESERVE ACCOUNT 00105090-01 FEST POSTAGE G499 0.00 123.00 TOTAL COM DEV-MUSEUM 0.00 7737.62 TOTAL FUND 0.00 219559.32 ===== PDF PAGE 20 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPAY1 PAGE NUMBER: TIME: 10:07:41 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/24 SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 04 - CAPITAL EQUIP. REPLACE DEPT-DIV ACCOUNT -~-~~~ TLTLEsssse ceeesresnee VENDOR-~~-~------- P.O.'S INVOICE CONTROL # SALES TAX 043439 4804 VEHICLES 15559 AMAZON CAPITAL SERVIC 00105055-01 1vmD11TKD7RC G499 0.00 TOTAL CAPITAL EQUIPMENT REPLACE 0.00 0.00 TOTAL FUND AMOUNT 71.99 71.99 71.99 ===== PDF PAGE 21 ===== [Extraction: OCR (rendered-page OCR)] PAGE NUMBER: 7 ACCTPAY1 ACCOUNTING PERIOD: 11/24 PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 05 - SEWER FUND DEPT-DIV ACCOUNT ------ TITLE----- ------------ VENDOR----~-------- P.0."S INVOICE CONTROL # SALES TAX AMOUNT 053440 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 6499 0.00 241.66 053440 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 100.00 053440 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 6499 0.00 100.00 TOTAL SEWER-SSA#2 0.00 441.66 053443 4053 HEALTH/DENTAL/LI 11129 MOE FUNDS JAN 2025 G499 0.00 9474.07 053443 4105 CONSULTANTS 14400 7 LAYER SOLUTIONS INC 00103214-01 11856 6499 0.00 5739.33 053443 4125 SOFTWARE MAINTEN 14400 7 LAYER SOLUTIONS INC 00105029-01 11942 G499 0.00 616.67 053443 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 95402863377 G499 0.00 58.17 053443 4204 ELECTRIC 152 COMMONWEALTH EDISON 1370507000 6499 0.00 432.68 053443 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 G499 0.00 425.03 053443 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 G499 0.00 141.67 053443 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 141.67 053443 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202401626 G499 0.00 375.00 053443 4225 OTHER CONTRACTUA 14400 7 LAYER SOLUTIONS INC 00103213-01 11919 G499 0.00 1115.00 053443 4225 OTHER CONTRACTUA 9209 THIRD MILLENNIUM ASSO 00105044-01 32126 G499 0.00 1314.39 053443 4402 LIFT STATION REP 14897 ADVANCED AUTOMATION & 00105051-01 24-4775 G499 0.00 1182.85 053443 4410 SEWER MAIN REPAI 12229 RIN GROUP INC 00104689-01 40040103 G499 0.00 6545.53 053443 4410 SEWER MAIN REPAI 13835 HOERR CONSTRUCTION IN 00104858-01 124-637 G499 0.00 131821.02 053443 4603 PARTS FOR VEHICL 9839 EJ EQUIPMENT INC. 00105052-01 P49009 G499 0.00 485.00 053443 4630 PARTS-LIFT STATI 2013 GRAINGER 9306805814 G499 0.00 9.54 TOTAL SEWER-SANITARY COLLECTION 0.00 159877 .62 TOTAL FUND 0.00 160319.28 ===== PDF PAGE 22 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION PAGE NUMBER: 8 DATE: 11/27/2024 CITY OF WEST CHICAGO ACCTPAY1 TIME: 10:07:41 CASH REQUIREMENTS BILL LIST ACCOUNTING PERIOD: 11/24 SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 06 - WATER FUND DEPT-DIV ACCOUNT ------ TITLE----- ------------ VENDOR------------ P.O.'S INVOICE CONTROL # SALES TAX AMOUNT 063447 4053 HEALTH/DENTAL/LI 11129 MOE FUNDS JAN 2025 G499 0.00 9474.07 063447 4202 TELEPHONE & ALAR 13107 AT & T MOBILITY 287240545187 G499 0.00 189.92 063447 4203 HEATING GAS 250 NORTHERN ILLINOIS GAS 61021010006 6499 0.00 52.76 063447 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 G499 0.00 655.00 063447 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202401626 G499 0.00 900.00 063447 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 265.00 063447 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 G499 0.00 265.00 063447 4225 OTHER CONTRACTUA 665 KRAMER TREE SPECIALIS 00105033-01 21371 G499 0.00 187.00 063447 4225 OTHER CONTRACTUA 9209 THIRD MILLENNIUM ASSO 00105044-01 32126 G499 0.00 1314.39 063447 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 265800 G499 0.00 63.69 063447 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 265799 G499 0.00 63.69 063447 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 266670 G499 0.00 107.75 063447 4603 PARTS FOR VEHICL 4735 NAPA AUTO PARTS 00105069-01 266444 G499 0.00 420.32 063447 4603 PARTS FOR VEHICL 561 HAGGERTY FORD 17105 G499 0.00 119.90 063447 4604 TOOLS & EQUIPMEN 2810 CORE & MAIN LP V867554 G499 0.00 259.50 063447 4621 PARTS & EQUIPMEN 11433 DUPAGE TOPSOIL INC. 00103541-01 058334 G499 0.00 780.00 063447 4621 PARTS & EQUIPMEN 13109 WATER RESOURCES INC 00105065-01 37702 G499 0.00 940.50 063447 4622 PARTS & EQUIP-PU 4735 NAPA AUTO PARTS 265808 G499 0.00 9.34 TOTAL WATER-PRODUCTION/DIST 0.00 16067 .83 063448 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 G499 0.00 935.00 063448 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 G499 0.00 386.67 063448 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 386.67 063448 4216 GROUNDS MAINTENA 15893 ADDLAWN LANDSCAPING I 00103827-01 202401626 G499 0.00 499.90 063448 4225 OTHER CONTRACTUA 12380 CINTAS CORPORATION 00103047-01 4211125195 6499 0.00 25.20 063448 4225 OTHER CONTRACTUA 14400 7 LAYER SOLUTIONS INC 00103213-01 11919 G499 0.00 1115.00 063448 4225 OTHER CONTRACTUA 14400 7 LAYER SOLUTIONS INC 00103214-01 11856 G499 0.00 5739.34 063448 4225 OTHER CONTRACTUA 14400 7 LAYER SOLUTIONS INC 00105029-01 11942 G499 0.00 616.66 063448 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-06 w8424 G499 0.00 422.00 063448 4225 OTHER CONTRACTUA 5166 DETECTION SYSTEMS 00105072-10 w8744 G499 0.00 730.00 063448 4430 WTP OPERATIONS R 14897 ADVANCED AUTOMATION & 00105051-02 24-4776 G499 0.00 960.00 063448 4430 WTP OPERATIONS R 15249 KRK MECHANICAL INC 00104994-01 10096 G499 0.00 3480.00 063448 4502 COPIER FEES 6441 CANON BUSINESS SOLUTI 00105040-01 6009884551 499 0.00 34.47 063448 4503 EQUIPMENT RENTAL 14837 SUNBELT RENTALS INC 00105050-01 1110236-0001 G499 0.00 2526.82 063448 4626 CHEMICALS 10925 MISSISSIPPI LIME COMP 00102864-01 cD39640 G499 0.00 8021.32 063448 4626 CHEMICALS 10927 ROWELL CHEMICAL CORP. 00102862-01 1415455 G499 0.00 7929.19 063448 4650 MISCELLANEOUS CO 15559 AMAZON CAPITAL SERVIC 00105055-03 17L19HR7CYIT G499 0.00 9.49 TOTAL WATER-TREATMENT PLANT OP 0.00 33817.73 TOTAL FUND 0.00 49885.56 ===== PDF PAGE 23 ===== [Extraction: OCR (rendered-page OCR)] PAGE NUMBER: 9 ACCTPAY1 ACCOUNTING PERIOD: 11/24 PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 08 - CAPITAL PROJECTS FUND DEPT-DIV ACCOUNT ------ TITLE----- ------------ VENDOR------------ P.O.'S INVOICE CONTROL # SALES TAX AMOUNT 083453 4053 HEALTH/DENTAL/LI 11129 MOE FUNDS JAN 2025 G499 0.00 916.83 083453 4225 OTHER CONTRACTUA 12102 THOMAS ENGINEERING GR 00103382-01 24-433 G499 0.00 123636.29 083453 4225 OTHER CONTRACTUA 13445 RESOURCE CONSULTING I 00104013-01 24-10011 G499 0.00 2360.00 083453 4643 STORM SEWER REPA 14044 OZINGA READY MIX CONC 00105034-01 ARI02448819 6499 0.00 746.26 083453 4672 BIT PATCH-HOT 12722 ALLIED ASPHALT PAVING 00104145-01 255398 G499 0.00 813.32 083453 4672 BIT PATCH-HOT 12722 ALLIED ASPHALT PAVING 00104145-01 255747 6499 0.00 10121.50 083453 4807 STREET IMPROVEME 3739 PADDOCK PUBLICATIONS 00105049-01 313344 G499 0.00 218.50 083453 4818 200 MAIN ST RENO 152 COMMONWEALTH EDISON 56153258919 6499 0.00 1803.92 083453 4818 200 MAIN ST RENO 152 COMMONWEALTH EDISON 56153258919 G499 0.00 923.19 083453 4818 200 MAIN ST RENO 15712 CONSTRUCTION INC. 00102341-01 413 G499 0.00 55993.75 083453 4818 200 MAIN ST RENO 15712 CONSTRUCTION INC. 00103707-01 413 G499 0.00 21600.00 083453 4870 FORESTRY - REMOV 3739 PADDOCK PUBLICATIONS 00105049-01 313344 G499 0.00 117.30 083453 4871 ROW MAINTENANCE 15893 ADDLAWN LANDSCAPING I 00103827-01 202402691 G499 0.00 10006 .63 083453 4871 ROW MAINTENANCE 15893 ADDLAWN LANDSCAPING I 00103827-01 202401626 6499 0.00 3875.15 083453 4871 ROW MAINTENANCE 15893 ADDLAWN LANDSCAPING I 00103827-01 202403153 G499 0.00 3249.17 083453 4871 ROW MAINTENANCE 15893 ADDLAWN LANDSCAPING I 00103827-01 202403170 G499 0.00 3249.17 083453 4872 ROW MATERIALS 10714 DUPAGE CTY DIV OF TRA 00105048-01 5575 G499 0.00 160.61 083453 4872 ROW MATERIALS 10714 DUPAGE CTY DIV OF TRA 00105048-02 5576 G499 0.00 223.51 083453 4872 ROW MATERIALS 15443 PROSAFETY INC. 00105053-01 2/907920 6499 0.00 306.00 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 9316 G499 0.00 104.40 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 9460 G499 0.00 198.80 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 9461 G499 0.00 273.80 083453 4872 ROW MATERIALS 3349 TRAFFIC CONTROL AND P 00105037-01 9315 G499 0.00 333.30 TOTAL CAPITAL PROJECTS 0.00 241231.40 TOTAL FUND 0.00 241231.40 ===== PDF PAGE 24 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 16 - MOTOR FUEL TAX FUND DEPT-DIV ACCOUNT 163458 4204 163458 4204 163458 4204 163458 4204 TOTAL MFT~PAYROLL TOTAL FUND ELECTRIC ELECTRIC ELECTRIC ELECTRIC COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON COMMONWEALTH EDISON INVOICE 378614000 8704833000 6202832222 2506186000 PAGE NUMBER: ACCTPAY1 10 ACCOUNTING PERIOD: 11/24 CONTROL # SALES TAX G499 G499 G499 G499 0.00 0.00 0.00 0.00 0.00 0.00 AMOUNT 59.51 21.93 57.18 73.64 212.26 212.26 ===== PDF PAGE 25 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 PAGE NUMBER: CITY OF WEST CHICAGO ACCTPAY1 CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 28 - MISCELLANEOUS DEPOSITSIN DEPT-DIV ACCOUNT 28 224500 MISCELLANEOUS DE 14354 28 224500 MISCELLANEOUS DE 15969 TOTAL MISCELLANEOUS DEPOSITSIN TOTAL FUND ----VENDOR-- GARCIA, MIGUEL CARRILLO, MIGUEL INVOICE CONTROL # SALES TAX 00105092-01 421 E FOREST G499 0.00 00105091-01 21 E STIMMEL G499 0.00 0.00 0.00 ACCOUNTING PERIOD: 11/24 AMOUNT 1500.00 1500.00 3000.00 3000.00 ===== PDF PAGE 26 ===== [Extraction: OCR (rendered-page OCR)] PENTAMATION DATE: 11/27/2024 TIME: 10:07:41 CITY OF WEST CHICAGO CASH REQUIREMENTS BILL LIST SELECTION CRITERIA: payable.due_date='20241202 00:00:00.000' PAYMENT TYPE: ALL FUND - 43 - COMMUTER PARKING FUND DEPT-DIV ACCOUNT 433476 4204 433476 4216 433476 4216 433476 4216 433476 4650 ELECTRIC 152 GROUNDS MAINTENA 15893 GROUNDS MAINTENA 15893 GROUNDS MAINTENA 15893 MISCELLANEOUS CO 11587 TOTAL COMMUTER PARKING FUND TOTAL FUND TOTAL CHECK TRANSACTIONS TOTAL EFT TRANSACTIONS TOTAL REPORT ----VENDOR-~- INVOICE COMMONWEALTH EDISON 2841869000 ADDLAWN LANDSCAPING I 00103827-01 202402691 ADDLAWN LANDSCAPING I 00103827-01 202403170 ADDLAWN LANDSCAPING I 00103827-01 202403153 TOTAL PARKING SOLUTIO 00105061-01 107033 PAGE NUMBER: ACCTPAY1 ACCOUNTING PERIOD: 11/24 CONTROL # SALES TAX G499 G499 G499 G499 G499 ooomUmUCODWUCOODUCOOCOCOOCOCOO -00 -00 -00 12 AMOUNT 179. 200. 83.33 «33 360.00 906. 906. 675186. 0. 675186. 83 93 00 59 59 40 00 40 ===== PDF PAGE 27 ===== [Extraction: OCR (rendered-page OCR)] ORDINANCE NO. 24-0-0046 AN ORDINANCE AMENDING THE CODE OF ORDINANCES OF THE CITY OF WEST CHICAGO - CHAPTER 3, SECTION 3-12 (C) INCREASING CLASS I (ESTRELLA DE MAR WEST CORP) LIVE ENTERTAINMENT LIQUOR LICENSE WHEREAS, the Illinois Liquor Control Act, 235ILCS 5/4-1 et seg., authorizes municipalities to determine the kind and classification of liquor licenses; and WHEREAS, the City Council of the City of West Chicago has determined that it is appropriate to amend the Class I Live Entertainment Liquor License category (Estrella de Mar West Corp) by increasing the number of licenses from 4 to 5. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF WEST CHICAGO, ILLINOIS, IN REGULAR SESSION ASSEMBLED AS FOLLOWS: SECTION 1. That Section 3-12 (c) “Records, number of licenses” is hereby amended as follows: "(c) There shall be no more than the following number of licenses issued for each class: ce eeeeneeeenees ClassI 5S... SECTION 2. That all ordinances and resolutions, or parts thereof, in conflict with the provisions of this Ordinance are, to the extent of such conflict, expressly repealed. SECTION 3. That this Ordinance shall be in full force and effect from and after its passage, approval and publication in pamphlet form as provided by law. PASSED this 2"4 day of December 2024. Alderman D. Beebe _ Alderman L. Chassee ee Alderman J. Sheahan ee Alderman H. Brown _ Alderman A. Hallett ee Alderman C. Dettmann _ Alderman M. Birch Ferguson Alderman S. Dimas _ Alderman J. Smith, Jr. _ Alderman C. Swiatek _ Alderman R. Stout _ Alderman J. Short _ Alderman J. Morano Alderman John F. Banas Ordinance 24-O-0046 Page 1 of 2 ===== PDF PAGE 28 ===== [Extraction: OCR (rendered-page OCR)] APPROVED as to form: City Attorney APPROVED this 2" day of December 2024. Mayor Ruben Pineda ATTEST: Valeria Perez, Executive Office Manager PUBLISHED: Ordinance 24-0-0046 Page 2 of 2