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11-21-19 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 1 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-011010-523000 TELEPHONE 1285 11-20-19 RONALD STEVEN SCEARCE 44.95 --------------- Total for ACCOUNT 100-4-011010-523000 44.95 100-4-011010-550000 TRAVEL 1285 11-20-19 RONALD STEVEN SCEARCE 290.58 100-4-011010-550000 TRAVEL 182316 11-21-19 KIM'S KITCHEN 120.00 --------------- Total for ACCOUNT 100-4-011010-550000 410.58 100-4-011010-565900 MPO-TRANSPORTATION S 182342 11-21-19 WEST PIEDMONT PLAN. DIST. COMM 957.20 --------------- Total for ACCOUNT 100-4-011010-565900 957.20 --------------- Total for DEPARTMENT BOARD OF SUPERVISO 1412.73 =============== 100-4-012100-523000 TELEPHONE 182293 11-21-19 COMCAST 73.84 --------------- Total for ACCOUNT 100-4-012100-523000 73.84 100-4-012100-550000 TRAVEL EXPENSES 1281 11-20-19 DAVID MICHAEL SMITHERMAN 315.55 --------------- Total for ACCOUNT 100-4-012100-550000 315.55 --------------- Total for DEPARTMENT COUNTY ADMINISTRAT 389.39 =============== 100-4-012210-315000 LEGAL SERVICES 182292 11-21-19 CLEMENT & WHEATLEY 585.00 --------------- Total for ACCOUNT 100-4-012210-315000 585.00 --------------- Total for DEPARTMENT COUNTY ATTORNEY 585.00 =============== 100-4-012220-554100 EDUCATIONAL BENEFITS 1283 11-20-19 MARK WAYNE MOORE 400.00 --------------- Total for ACCOUNT 100-4-012220-554100 400.00 --------------- Total for DEPARTMENT HUMAN RESOURCES 400.00 =============== PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 2 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-012310-605100 LAND-USE EXPENSES 182276 11-21-19 BMS DIRECT INC. 1279.51 --------------- Total for ACCOUNT 100-4-012310-605100 1279.51 --------------- Total for DEPARTMENT COMMISSIONER OF RE 1279.51 =============== 100-4-012410-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 6.53 --------------- Total for ACCOUNT 100-4-012410-600100 6.53 --------------- Total for DEPARTMENT TREASURER 6.53 =============== 100-4-012520-600800 FUEL 182322 11-21-19 MANSFIELD OIL COMPANY 1347.51 --------------- Total for ACCOUNT 100-4-012520-600800 1347.51 --------------- Total for DEPARTMENT FLEET MANAGEMENT 1347.51 =============== 100-4-013100-550000 TRAVEL EXPENSES 1286 11-20-19 SANDRA LEE GILBERT 144.42 --------------- Total for ACCOUNT 100-4-013100-550000 144.42 --------------- Total for DEPARTMENT ELECTORAL BOARD/RE 144.42 =============== 100-4-021100-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 26.12 --------------- Total for ACCOUNT 100-4-021100-600100 26.12 --------------- Total for DEPARTMENT CIRCUIT COURT 26.12 =============== 100-4-021600-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 13.06 --------------- Total for ACCOUNT 100-4-021600-600100 13.06 --------------- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 3 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== Total for DEPARTMENT CLERK OF COURT 13.06 =============== 100-4-031200-316500 OSHA/VOSH STANDARDS 182296 11-21-19 CURTIS BAY ENERGY 137.32 --------------- Total for ACCOUNT 100-4-031200-316500 137.32 100-4-031200-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 142.32 100-4-031200-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 91.24 --------------- Total for ACCOUNT 100-4-031200-511000 233.56 100-4-031200-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 28.49 --------------- Total for ACCOUNT 100-4-031200-600100 28.49 100-4-031200-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 7990.57 --------------- Total for ACCOUNT 100-4-031200-600800 7990.57 100-4-031200-603000 SVC COSTS-PARTS 182297 11-21-19 DANVILLE COLLISION CENTER 252.40 --------------- Total for ACCOUNT 100-4-031200-603000 252.40 100-4-031200-603100 SVC COSTS-LABOR CHAR 182297 11-21-19 DANVILLE COLLISION CENTER 710.40 --------------- Total for ACCOUNT 100-4-031200-603100 710.40 100-4-031200-604500 CANINE PROGRAM 182284 11-21-19 CHERRYSTONE VETERINARY HOSPITAL 47.00 100-4-031200-604500 CANINE PROGRAM 182284 11-21-19 CHERRYSTONE VETERINARY HOSPITAL 87.00 --------------- Total for ACCOUNT 100-4-031200-604500 134.00 --------------- Total for DEPARTMENT SHERIFF'S DEPARTME 9486.74 =============== 100-4-032200-331000 DRY HYDRANT MAINTENA 182275 11-21-19 BLAIRS FIRE & RESCUE 666.00 --------------- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 4 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== Total for ACCOUNT 100-4-032200-331000 666.00 100-4-032200-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 140.75 --------------- Total for ACCOUNT 100-4-032200-511000 140.75 100-4-032200-530600 LINE OF DUTY INSURAN 182318 11-21-19 LAUREL GROVE FIRE & RESCUE 450.00 100-4-032200-530600 LINE OF DUTY INSURAN 182314 11-21-19 KEELING VFD 330.00 --------------- Total for ACCOUNT 100-4-032200-530600 780.00 100-4-032200-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 216.49 --------------- Total for ACCOUNT 100-4-032200-600800 216.49 100-4-032200-813000 EMS BACKUP TRANSPORT 182328 11-21-19 MT. HERMON FIRE & RESCUE 1800.00 100-4-032200-813000 EMS BACKUP TRANSPORT 182302 11-21-19 DELTA RESPONSE TEAM 66500.00 100-4-032200-813000 EMS BACKUP TRANSPORT 182283 11-21-19 CHATHAM RESCUE SQUAD 1800.00 --------------- Total for ACCOUNT 100-4-032200-813000 70100.00 --------------- Total for DEPARTMENT VOLUNTEER FIRE & R 71903.24 =============== 100-4-032212-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 501.36 --------------- Total for ACCOUNT 100-4-032212-600800 501.36 --------------- Total for DEPARTMENT CHATHAM RESCUE SQU 501.36 =============== 100-4-032213-512000 HEATING FUELS 182300 11-21-19 DAVENPORT ENERGY 398.72 --------------- Total for ACCOUNT 100-4-032213-512000 398.72 100-4-032213-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 118.98 --------------- Total for ACCOUNT 100-4-032213-600800 118.98 --------------- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 5 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== Total for DEPARTMENT COOL BRANCH RESCUE 517.70 =============== 100-4-032217-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 384.68 --------------- Total for ACCOUNT 100-4-032217-511000 384.68 --------------- Total for DEPARTMENT DRY FORK VFD 384.68 =============== 100-4-032221-512000 HEATING FUELS 182300 11-21-19 DAVENPORT ENERGY 197.54 --------------- Total for ACCOUNT 100-4-032221-512000 197.54 --------------- Total for DEPARTMENT CHATHAM VFD 197.54 =============== 100-4-032222-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 193.63 --------------- Total for ACCOUNT 100-4-032222-600800 193.63 --------------- Total for DEPARTMENT GRETNA VFD 193.63 =============== 100-4-032223-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 234.88 100-4-032223-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 1006.61 --------------- Total for ACCOUNT 100-4-032223-511000 1241.49 100-4-032223-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 262.78 --------------- Total for ACCOUNT 100-4-032223-600800 262.78 --------------- Total for DEPARTMENT RINGGOLD VOL FIRE 1504.27 =============== 100-4-032224-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 17.70 --------------- Total for ACCOUNT 100-4-032224-511000 17.70 --------------- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 6 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== Total for DEPARTMENT KENTUCK VFD 17.70 =============== 100-4-032225-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 1220.16 --------------- Total for ACCOUNT 100-4-032225-511000 1220.16 100-4-032225-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 772.82 100-4-032225-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 918.91- --------------- Total for ACCOUNT 100-4-032225-600800 146.09- --------------- Total for DEPARTMENT TUNSTALL VOL FIRE 1074.07 =============== 100-4-032227-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 689.39 --------------- Total for ACCOUNT 100-4-032227-511000 689.39 --------------- Total for DEPARTMENT MOUNT CROSS VOL FI 689.39 =============== 100-4-032229-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 522.82 100-4-032229-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 621.66- --------------- Total for ACCOUNT 100-4-032229-600800 98.84- --------------- Total for DEPARTMENT RICEVILLE-JAVA VFD 98.84- =============== 100-4-032230-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 289.01 --------------- Total for ACCOUNT 100-4-032230-511000 289.01 100-4-032230-600800 FUELS-VEHICLE 182309 11-21-19 HARDY PETROLEUM 168.01 --------------- Total for ACCOUNT 100-4-032230-600800 168.01 --------------- Total for DEPARTMENT BACHELORS HALL VFD 457.02 =============== PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 7 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-032231-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 162.54 --------------- Total for ACCOUNT 100-4-032231-600800 162.54 --------------- Total for DEPARTMENT HURT VFD 162.54 =============== 100-4-032232-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 200.09 100-4-032232-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 237.92- --------------- Total for ACCOUNT 100-4-032232-600800 37.83- --------------- Total for DEPARTMENT CLIMAX VFD 37.83- =============== 100-4-032233-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 1026.38 --------------- Total for ACCOUNT 100-4-032233-511000 1026.38 100-4-032233-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 394.11 --------------- Total for ACCOUNT 100-4-032233-600800 394.11 --------------- Total for DEPARTMENT MOUNT HERMON VOL F 1420.49 =============== 100-4-032234-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 1010.04 --------------- Total for ACCOUNT 100-4-032234-511000 1010.04 100-4-032234-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 618.48 --------------- Total for ACCOUNT 100-4-032234-600800 618.48 --------------- Total for DEPARTMENT BLAIRS FIRE AND RE 1628.52 =============== 100-4-032235-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 511.60 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 8 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== --------------- Total for ACCOUNT 100-4-032235-511000 511.60 --------------- Total for DEPARTMENT CALLANDS VOL FIRE 511.60 =============== 100-4-032236-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 470.24 --------------- Total for ACCOUNT 100-4-032236-511000 470.24 --------------- Total for DEPARTMENT LAUREL GROVE VOL F 470.24 =============== 100-4-032237-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 873.81 --------------- Total for ACCOUNT 100-4-032237-511000 873.81 100-4-032237-512000 HEATING FUELS 182309 11-21-19 HARDY PETROLEUM 340.85 --------------- Total for ACCOUNT 100-4-032237-512000 340.85 100-4-032237-600800 FUELS-VEHICLE 182309 11-21-19 HARDY PETROLEUM 955.15 100-4-032237-600800 FUELS-VEHICLE 182309 11-21-19 HARDY PETROLEUM 248.29 --------------- Total for ACCOUNT 100-4-032237-600800 1203.44 --------------- Total for DEPARTMENT BROSVILLE COMMUNIT 2418.10 =============== 100-4-032238-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 75.46 100-4-032238-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 106.55 --------------- Total for ACCOUNT 100-4-032238-511000 182.01 100-4-032238-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 22.42 --------------- Total for ACCOUNT 100-4-032238-600800 22.42 --------------- Total for DEPARTMENT CASCADE VFD 204.43 =============== PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 9 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-032239-512000 HEATING FUELS 182300 11-21-19 DAVENPORT ENERGY 214.33 --------------- Total for ACCOUNT 100-4-032239-512000 214.33 100-4-032239-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 242.23 100-4-032239-600800 FUELS-VEHICLE 182300 11-21-19 DAVENPORT ENERGY 288.02- --------------- Total for ACCOUNT 100-4-032239-600800 45.79- --------------- Total for DEPARTMENT COOL BRANCH VFD 168.54 =============== 100-4-032242-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 122.82 --------------- Total for ACCOUNT 100-4-032242-511000 122.82 100-4-032242-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 34.61 --------------- Total for ACCOUNT 100-4-032242-600800 34.61 --------------- Total for DEPARTMENT KEELING VFD 157.43 =============== 100-4-033100-311000 PROFESSIONAL HEALTH 182334 11-21-19 SOVAH HEALTH 273.59 100-4-033100-311000 PROFESSIONAL HEALTH 182272 11-21-19 ANTHEM HEALTH PLANS OF VIRGINIA IN 1243.25 --------------- Total for ACCOUNT 100-4-033100-311000 1516.84 100-4-033100-600400 MEDICAL SUPPLIES 182325 11-21-19 MCKESSON MEDICAL-SURGICAL 803.56 --------------- Total for ACCOUNT 100-4-033100-600400 803.56 --------------- Total for DEPARTMENT CORRECTIONS & DETE 2320.40 =============== 100-4-033300-318200 EMP CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 960.00 100-4-033300-318200 EMP CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 1162.50 100-4-033300-318200 EMP CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 922.50 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 10 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-033300-318200 EMP CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 885.00 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 672.00 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 657.50 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 281.00 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 100.50 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 238.00 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 735.00 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 322.50 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 555.50 100-4-033300-318200 EMP CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 100.50 --------------- Total for ACCOUNT 100-4-033300-318200 7592.50 100-4-033300-318300 OUTREACH CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 75.00 100-4-033300-318300 OUTREACH CHARGES 182346 11-21-19 YOUTH CONNECT OF VIRGINIA INC. 525.00 100-4-033300-318300 OUTREACH CHARGES 182312 11-21-19 INTERCEPT HEALTH SERVICES INC. 54.00 --------------- Total for ACCOUNT 100-4-033300-318300 654.00 100-4-033300-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 6.53 100-4-033300-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 13.06 100-4-033300-600100 OFFICE SUPPLIES 182294 11-21-19 COMMONWEALTH DOCUMENT MANAGEMENT 54.00 --------------- Total for ACCOUNT 100-4-033300-600100 73.59 --------------- Total for DEPARTMENT COURT SERVICES UNI 8320.09 =============== 100-4-035110-360000 ADVERTISING 182343 11-21-19 WHITE OAK FILMS 125.00 --------------- Total for ACCOUNT 100-4-035110-360000 125.00 100-4-035110-584900 VET EXPENSE-SPAY/NEU 182282 11-21-19 CHATHAM ANIMAL CLINIC 745.49 100-4-035110-584900 VET EXPENSE-SPAY/NEU 182270 11-21-19 ANIMAL MEDICAL CENTER 40.00 --------------- Total for ACCOUNT 100-4-035110-584900 785.49 100-4-035110-584910 VETERINARY EXPENSE 182282 11-21-19 CHATHAM ANIMAL CLINIC 917.82 --------------- Total for ACCOUNT 100-4-035110-584910 917.82 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 11 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-035110-602300 RETAIL EXPENSES 182315 11-21-19 KG GRAPHICS 992.52 --------------- Total for ACCOUNT 100-4-035110-602300 992.52 --------------- Total for DEPARTMENT PET CENTER 2820.83 =============== 100-4-035300-311000 PROFESSIONAL HEALTH 182340 11-21-19 TREASURER OF VIRGINIA 20.00 --------------- Total for ACCOUNT 100-4-035300-311000 20.00 --------------- Total for DEPARTMENT MEDICAL EXAMINER 20.00 =============== 100-4-035500-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 64.20 100-4-035500-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 78.92 100-4-035500-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 353.57 100-4-035500-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 387.07 100-4-035500-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 431.76 --------------- Total for ACCOUNT 100-4-035500-511000 1315.52 100-4-035500-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 19.59 --------------- Total for ACCOUNT 100-4-035500-600100 19.59 100-4-035500-810800 CAPITAL LEASES 182344 11-21-19 WILLIAM H ROGERS JR 550.00 --------------- Total for ACCOUNT 100-4-035500-810800 550.00 --------------- Total for DEPARTMENT EMERGENCY MANAGEME 1885.11 =============== 100-4-043100-332000 SVC CONTRACT-OFFICE 182303 11-21-19 DODSON PEST CONTROL 729.60 --------------- Total for ACCOUNT 100-4-043100-332000 729.60 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 635.50 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 15.10 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 38.48 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 12 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 35.89 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 185.08 100-4-043100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 66.33 --------------- Total for ACCOUNT 100-4-043100-511000 976.38 100-4-043100-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 21.96 100-4-043100-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 10.98 --------------- Total for ACCOUNT 100-4-043100-600100 32.94 100-4-043100-600710 HISTORICAL LOCATION 182305 11-21-19 ELITE FABRICATION LLC 852.37 --------------- Total for ACCOUNT 100-4-043100-600710 852.37 --------------- Total for DEPARTMENT BUILDING & GROUNDS 2591.29 =============== 100-4-053500-542000 RENT 182268 11-21-19 ANCIENT FREE & ACCEPTED MASONS OF 550.00 --------------- Total for ACCOUNT 100-4-053500-542000 550.00 100-4-053500-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 13.06 --------------- Total for ACCOUNT 100-4-053500-600100 13.06 100-4-053500-700300 COMP SVC ACT POOL-PR 182338 11-21-19 THE MADELINE CENTRE 8397.50 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 3360.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 8880.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 3570.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 9090.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 9090.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 9300.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 9300.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 5100.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 5100.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 9300.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 5100.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182336 11-21-19 THE HUGHES CENTER 5100.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182335 11-21-19 SPRINGBROOK BEHAVIORAL HEALTH SYST 1498.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 687.50 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 13 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 82.50 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 646.25 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 357.50 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 1200.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 250.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 250.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 510.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 210.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 270.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 1350.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 750.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 1200.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 720.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 1000.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 195.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 1125.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 480.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 262.50 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 540.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 665.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 945.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 960.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 300.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 600.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 120.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 195.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 2209.80 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 390.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 630.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 300.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 420.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 490.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182321 11-21-19 LIFE PUSH LLC 402.50 100-4-053500-700300 COMP SVC ACT POOL-PR 182310 11-21-19 HAVENWOOD ACADEMY INC 2220.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 400.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 600.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 600.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 400.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 400.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 1000.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 200.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 1000.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 400.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182298 11-21-19 DANVILLE-PITTSYLVANIA 400.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 640.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 400.00 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 14 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 3042.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2834.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2652.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 1404.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2210.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2565.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 4275.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2418.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2756.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 2730.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 160.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 3042.00 100-4-053500-700300 COMP SVC ACT POOL-PR 182280 11-21-19 CENTER FOR PEDIATRIC THERAPIES INC 5700.00 --------------- Total for ACCOUNT 100-4-053500-700300 191547.05 --------------- Total for DEPARTMENT COMP POLICY MANAGE 192110.11 =============== 100-4-071100-130000 PART-TIME SALARIES A 182307 11-21-19 FLOSSIE ROYAL 40.00 100-4-071100-130000 PART-TIME SALARIES A 182304 11-21-19 EDNA COMBS 30.00 --------------- Total for ACCOUNT 100-4-071100-130000 70.00 100-4-071100-542000 RENT 182295 11-21-19 CURL'S RENTALS INC. 300.00 --------------- Total for ACCOUNT 100-4-071100-542000 300.00 --------------- Total for DEPARTMENT RECREATIONAL DEPAR 370.00 =============== 100-4-073100-317200 EMPLOYMENT CONT - JA 182332 11-21-19 SKJ SQUEAKY KLEAN 190.00 --------------- Total for ACCOUNT 100-4-073100-317200 190.00 100-4-073100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 161.38 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 15 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-073100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 79.65 100-4-073100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 127.44 100-4-073100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 158.08 100-4-073100-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 718.27 --------------- Total for ACCOUNT 100-4-073100-511000 1244.82 100-4-073100-523000 TELEPHONE 182281 11-21-19 CENTURYLINK 137.75 --------------- Total for ACCOUNT 100-4-073100-523000 137.75 100-4-073100-600100 OFFICE SUPPLIES 1284 11-20-19 MELINDA LESLIE DOSS 53.08 --------------- Total for ACCOUNT 100-4-073100-600100 53.08 100-4-073100-600800 FUELS-VEHICLE 1287 11-20-19 VANESSA RENEE MONTGOMERY 124.70 100-4-073100-600800 FUELS-VEHICLE 1282 11-20-19 DEBRA MITCHELL THOMPSON 16.24 100-4-073100-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 197.79 --------------- Total for ACCOUNT 100-4-073100-600800 338.73 --------------- Total for DEPARTMENT LIBRARY 1964.38 =============== 100-4-081200-568700 ODAF CONTRIBUTION 182330 11-21-19 OLDE DOMINION AGRICULTURAL FOUNDAT 39000.00 --------------- Total for ACCOUNT 100-4-081200-568700 39000.00 --------------- Total for DEPARTMENT COMMUNITY & INDUST 39000.00 =============== 100-4-081400-315000 LEGAL SERVICES 182308 11-21-19 GUYNN, WADDELL, CARROLL & LOCKABY 665.00 100-4-081400-315000 LEGAL SERVICES 182308 11-21-19 GUYNN, WADDELL, CARROLL & LOCKABY 76.79 --------------- Total for ACCOUNT 100-4-081400-315000 741.79 100-4-081400-600100 OFFICE SUPPLIES 182327 11-21-19 MOUNTAIN PARK SPRING WATER INC 30.57 --------------- Total for ACCOUNT 100-4-081400-600100 30.57 --------------- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 16 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== Total for DEPARTMENT COMMUNITY DEVELOPM 772.36 =============== 100-4-082510-316300 PROFESSIONAL SERVICE 182290 11-21-19 CITY OF DANVILLE OFFICE OF 5000.00 --------------- Total for ACCOUNT 100-4-082510-316300 5000.00 100-4-082510-556000 PROSPECT VISITS 182311 11-21-19 INSTITUTE FOR ADVANCED LEARNING 454.60 --------------- Total for ACCOUNT 100-4-082510-556000 454.60 --------------- Total for DEPARTMENT ECONOMIC DEVELOPME 5454.60 =============== 100-4-091200-331300 HURRICANE MICHAEL RE 182342 11-21-19 WEST PIEDMONT PLAN. DIST. COMM 165.00 --------------- Total for ACCOUNT 100-4-091200-331300 165.00 --------------- Total for DEPARTMENT NON-DEPARTMENTAL 165.00 =============== 100-4-092100-583100 REAL ESTATE TAXES 7006323 11-21-19 WILLIAM G SMOOT PEGGY C SMOOT 568.09 100-4-092100-583100 REAL ESTATE TAXES 7006320 11-21-19 WENDY MARTIN 148.63 100-4-092100-583100 REAL ESTATE TAXES 7006319 11-21-19 VIJAY SAGAR MAHANGOE 201.40 100-4-092100-583100 REAL ESTATE TAXES 7006318 11-21-19 PAUL D PARSONS ELIZABETH L PARSONS 60.00 100-4-092100-583100 REAL ESTATE TAXES 7006315 11-21-19 EDWARD W SALMONS 10.30 100-4-092100-583100 REAL ESTATE TAXES 7006311 11-20-19 HANNAH ROGERS ORGAIN 307.68 100-4-092100-583100 REAL ESTATE TAXES 7006310 11-20-19 GARY WAYNE CLARK SYLVIA M CLARK 159.51 100-4-092100-583100 REAL ESTATE TAXES 7006306 11-20-19 22 STARS INC 12.00 --------------- Total for ACCOUNT 100-4-092100-583100 1467.61 100-4-092100-583200 PERSONAL PROPERTY TA 7006317 11-21-19 MICHAEL SCOTT JONES 38.75 100-4-092100-583200 PERSONAL PROPERTY TA 7006316 11-21-19 FOSTER FUELS INC 1740.69 100-4-092100-583200 PERSONAL PROPERTY TA 7006313 11-21-19 BARBARA J DEANE SWANSON 94.93 100-4-092100-583200 PERSONAL PROPERTY TA 7006308 11-20-19 DESHAVUS LAMAR CLARK 59.44 100-4-092100-583200 PERSONAL PROPERTY TA 7006307 11-20-19 BRANDON KEITH EDWARDS CHASITY KAY 16.89 --------------- Total for ACCOUNT 100-4-092100-583200 1950.70 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 17 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 100-4-092100-583800 SOLID WASTE FEE REFU 7006322 11-21-19 WILLIAM F WYATT STACEY D WYATT 120.00 100-4-092100-583800 SOLID WASTE FEE REFU 7006321 11-21-19 WILLARD C VICKS 62.00 100-4-092100-583800 SOLID WASTE FEE REFU 7006314 11-21-19 E ALAN DALTON PATRICIA P DALTON 60.00 100-4-092100-583800 SOLID WASTE FEE REFU 7006312 11-20-19 KENNETH A POWELL JANET D POWELL 60.00 100-4-092100-583800 SOLID WASTE FEE REFU 7006309 11-20-19 DOUGLAS S SOYARS KATHY G SOYARS 60.00 --------------- Total for ACCOUNT 100-4-092100-583800 362.00 --------------- Total for DEPARTMENT REFUNDS 3780.31 =============== 100-4-095100-916210 LEASE PURCHASE-SERVE 182301 11-21-19 DELL FINANCIAL SERVICES 53053.13 --------------- Total for ACCOUNT 100-4-095100-916210 53053.13 --------------- Total for DEPARTMENT DEBT & INTEREST SE 53053.13 =============== Total for FUND 100 414164.44 =============== 201-4-053100-600800 FUELS-VEHICLE-5408 182322 11-21-19 MANSFIELD OIL COMPANY 169.57 --------------- Total for ACCOUNT 201-4-053100-600800 169.57 --------------- Total for DEPARTMENT SOCIAL SERVICES AD 169.57 =============== Total for FUND 201 169.57 =============== 250-4-021900-521000 POSTAGE 182341 11-21-19 U.S. POSTAL SERVICE 76.00 --------------- Total for ACCOUNT 250-4-021900-521000 76.00 --------------- Total for DEPARTMENT VICTIM WITNESS 76.00 =============== 250-4-031775-523000 TELEPHONE 182293 11-21-19 COMCAST 36.92 250-4-031775-523000 TELEPHONE 182273 11-21-19 AT & T 91.82 --------------- Total for ACCOUNT 250-4-031775-523000 128.74 --------------- Total for DEPARTMENT E911 PSAP WIRELESS 128.74 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 18 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== =============== 250-4-073300-601200 BOOKS AND SUBSCRIPTI 182326 11-21-19 MIDWEST TAPE 229.41 250-4-073300-601200 BOOKS AND SUBSCRIPTI 182326 11-21-19 MIDWEST TAPE 111.97 250-4-073300-601200 BOOKS AND SUBSCRIPTI 182326 11-21-19 MIDWEST TAPE 42.33 250-4-073300-601200 BOOKS AND SUBSCRIPTI 182326 11-21-19 MIDWEST TAPE 10.29 --------------- Total for ACCOUNT 250-4-073300-601200 394.00 --------------- Total for DEPARTMENT STATE LIBRARY GRAN 394.00 =============== 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 50.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 50.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 50.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 200.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 50.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182339 11-21-19 TOWN AND COUNTRY 50.00 250-4-094501-584900 VET EXPENSE-SPAY/NEU 182269 11-21-19 ANGELS OF ASSISI 5080.00 --------------- Total for ACCOUNT 250-4-094501-584900 5530.00 --------------- Total for DEPARTMENT ROPER FOUNDATION G 5530.00 =============== 250-4-094503-360000 ADVERTISING 182345 11-21-19 WOMACK PUBLISHING COMPANY, INC. 300.00 250-4-094503-360000 ADVERTISING 182315 11-21-19 KG GRAPHICS 67.50 --------------- Total for ACCOUNT 250-4-094503-360000 367.50 --------------- Total for DEPARTMENT PETCO FOUNDATION G 367.50 =============== Total for FUND 250 6496.24 =============== 251-4-353160-360000 ADVERTISING 182323 11-21-19 MARTINSVILLE BULLETIN 455.00 251-4-353160-360000 ADVERTISING 182274 11-21-19 BB&T 100.00 --------------- Total for ACCOUNT 251-4-353160-360000 555.00 251-4-353160-521000 POSTAGE 182274 11-21-19 BB&T 29.40 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 19 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== --------------- Total for ACCOUNT 251-4-353160-521000 29.40 251-4-353160-600100 OFFICE SUPPLIES 182274 11-21-19 BB&T 333.18 --------------- Total for ACCOUNT 251-4-353160-600100 333.18 251-4-353160-600200 FOOD SUPPLIES/FOOD S 182274 11-21-19 BB&T 111.53 --------------- Total for ACCOUNT 251-4-353160-600200 111.53 251-4-353160-601200 BOOKS & SUBSCRIPTION 182274 11-21-19 BB&T 89.99 --------------- Total for ACCOUNT 251-4-353160-601200 89.99 --------------- Total for DEPARTMENT WIA ADMINISTRATIVE 1119.10 =============== 251-4-353851-601400 OTHER OPERATING ACTI 182329 11-21-19 O. F. NEWMAN AND SON 2.50 251-4-353851-601400 OTHER OPERATING ACTI 182324 11-21-19 MARTINSVILLE HENRY COUNTY CHAMBER 9.50 251-4-353851-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 8.61 251-4-353851-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 7.80 251-4-353851-601400 OTHER OPERATING ACTI 182274 11-21-19 BB&T 13.25 --------------- Total for ACCOUNT 251-4-353851-601400 41.66 --------------- Total for DEPARTMENT WIA DISLOCATED WOR 41.66 =============== 251-4-353853-601400 OTHER OPERATING ACTI 182329 11-21-19 O. F. NEWMAN AND SON 17.50 251-4-353853-601400 OTHER OPERATING ACTI 182324 11-21-19 MARTINSVILLE HENRY COUNTY CHAMBER 66.50 251-4-353853-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 60.24 251-4-353853-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 54.61 251-4-353853-601400 OTHER OPERATING ACTI 182274 11-21-19 BB&T 93.99 --------------- Total for ACCOUNT 251-4-353853-601400 292.84 --------------- Total for DEPARTMENT WIA ADULT PROGRAM 292.84 =============== PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 20 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 251-4-353855-601400 OTHER OPERATING ACTI 182329 11-21-19 O. F. NEWMAN AND SON 27.50 251-4-353855-601400 OTHER OPERATING ACTI 182324 11-21-19 MARTINSVILLE HENRY COUNTY CHAMBER 104.50 251-4-353855-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 94.65 251-4-353855-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 85.81 251-4-353855-601400 OTHER OPERATING ACTI 182274 11-21-19 BB&T 98.38 --------------- Total for ACCOUNT 251-4-353855-601400 410.84 --------------- Total for DEPARTMENT WIA YOUTH: OUT OF 410.84 =============== 251-4-353856-601400 OTHER OPERATING ACTI 182329 11-21-19 O. F. NEWMAN AND SON 2.50 251-4-353856-601400 OTHER OPERATING ACTI 182324 11-21-19 MARTINSVILLE HENRY COUNTY CHAMBER 9.50 251-4-353856-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 8.59 251-4-353856-601400 OTHER OPERATING ACTI 182306 11-21-19 FIRST PIEDMONT CORPORATION 7.79 251-4-353856-601400 OTHER OPERATING ACTI 182274 11-21-19 BB&T 8.90 --------------- Total for ACCOUNT 251-4-353856-601400 37.28 --------------- Total for DEPARTMENT WIA YOUTH: IN SCHO 37.28 =============== Total for FUND 251 1901.72 =============== 310-4-094150-819189 WAYSIDE PARK IMPROVE 182337 11-21-19 THE LAW OFFICE OF JESSICA A. 1000.00 --------------- Total for ACCOUNT 310-4-094150-819189 1000.00 --------------- Total for DEPARTMENT COMMUNITY & INDUST 1000.00 =============== Total for FUND 310 1000.00 =============== 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 26.36 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 69.06 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 43.55 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 77.24 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 66.69 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 123.84 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 93.99 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 44.60 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 116.23 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 122.38 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 21 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 100.37 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 50.81 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 167.56 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 18.38 520-4-042300-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 152.01 --------------- Total for ACCOUNT 520-4-042300-511000 1273.07 520-4-042300-524000 INTERNET SERVICES 182293 11-21-19 COMCAST 107.75 520-4-042300-524000 INTERNET SERVICES 182293 11-21-19 COMCAST 107.75 --------------- Total for ACCOUNT 520-4-042300-524000 215.50 520-4-042300-542000 RENT OF PROPERTY 182291 11-21-19 CLAUDE S. WHITEHEAD JR. 50.00 520-4-042300-542000 RENT OF PROPERTY 182277 11-21-19 CARL F. ADAMS 50.00 520-4-042300-542000 RENT OF PROPERTY 182271 11-21-19 ANN WOOD 250.00 --------------- Total for ACCOUNT 520-4-042300-542000 350.00 520-4-042300-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 140.79 520-4-042300-600800 FUELS-VEHICLE 182322 11-21-19 MANSFIELD OIL COMPANY 8778.00 --------------- Total for ACCOUNT 520-4-042300-600800 8918.79 520-4-042300-603900 TIRES 182333 11-21-19 SNIDER FLEET SOLUTIONS 1164.50 --------------- Total for ACCOUNT 520-4-042300-603900 1164.50 --------------- Total for DEPARTMENT SOLID WASTE COLLEC 11921.86 =============== 520-4-042400-316300 CONSULTING - ENGINEE 182317 11-21-19 LABELLA ASSOCIATES D.P.C. P.C. 2340.00 520-4-042400-316300 CONSULTING - ENGINEE 182317 11-21-19 LABELLA ASSOCIATES D.P.C. P.C. 9439.10 --------------- Total for ACCOUNT 520-4-042400-316300 11779.10 520-4-042400-316800 GROUND WATER MONITOR 182317 11-21-19 LABELLA ASSOCIATES D.P.C. P.C. 38005.00 --------------- Total for ACCOUNT 520-4-042400-316800 38005.00 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 10:55:28 21 NOV 2019 PAGE 22 FOR MONTH ENDING: 11/21/19 =================================================================================================================================== CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE =================================================================================================================================== 520-4-042400-331000 REPAIRS AND MAINT 182300 11-21-19 DAVENPORT ENERGY 85.00 --------------- Total for ACCOUNT 520-4-042400-331000 85.00 520-4-042400-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 231.85 520-4-042400-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 555.88 520-4-042400-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 261.73 520-4-042400-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 245.73 520-4-042400-511000 ELECTRICITY 182289 11-21-19 CITY OF DANVILLE 30.98 --------------- Total for ACCOUNT 520-4-042400-511000 1326.17 520-4-042400-600800 FUELS - VEHICLE 182313 11-21-19 JAMES RIVER SOLUTIONS 1649.83 --------------- Total for ACCOUNT 520-4-042400-600800 1649.83 520-4-042400-603200 ENGINE ACCESSORIES 182278 11-21-19 CARTER MACHINERY CO. INC. 1605.96 --------------- Total for ACCOUNT 520-4-042400-603200 1605.96 --------------- Total for DEPARTMENT SOLID WASTE DISPOS 54451.06 =============== 520-4-094110-813010 NEW COMPACTOR SITE 182331 11-21-19 SCS ENGINEERS 316.50 520-4-094110-813010 NEW COMPACTOR SITE 182331 11-21-19 SCS ENGINEERS 705.30 520-4-094110-813010 NEW COMPACTOR SITE 182331 11-21-19 SCS ENGINEERS 627.80 520-4-094110-813010 NEW COMPACTOR SITE 182331 11-21-19 SCS ENGINE 0363125 1332.60 --------------- Total for ACCOUNT 520-4-094110-813010 2982.20 --------------- Total for DEPARTMENT SOLID WASTE - CAPI 2982.20 =============== Total for FUND 520 69355.12 =============== Grand total for ALL FUNDS 493087.09 ===============