11-09-22 PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 1
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-011010-550000 TRAVEL 1837 11-09-22 TIMOTHY WAYNE DUDLEY 350.00
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Total for ACCOUNT 100-4-011010-550000 350.00
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Total for DEPARTMENT BOARD OF SUPERVISO 350.00
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100-4-012100-565600 MARKETING 195092 11-09-22 WKBY RADIO STATION 200.00
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Total for ACCOUNT 100-4-012100-565600 200.00
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Total for DEPARTMENT COUNTY ADMINISTRAT 200.00
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100-4-012310-554000 TRAINING AND EDUCATI 195039 11-09-22 COR CENTRAL DISTRICT DEPUTIES 50.00
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Total for ACCOUNT 100-4-012310-554000 50.00
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Total for DEPARTMENT COMMISSIONER OF RE 50.00
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100-4-012510-316300 COMPUTER CONSULTANTS 195081 11-09-22 SYCOM TECHNOLOGIES LLC 475.00
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Total for ACCOUNT 100-4-012510-316300 475.00
100-4-012510-523000 TELEPHONE 195053 11-09-22 GCR COMPANY 1250.00
100-4-012510-523000 TELEPHONE 195053 11-09-22 GCR COMPANY 250.00
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Total for ACCOUNT 100-4-012510-523000 1500.00
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Total for DEPARTMENT INFORMATION TECHNO 1975.00
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100-4-012515-584100 SOFTWARE-SUPPORT EXP 195081 11-09-22 SYCOM TECHNOLOGIES LLC 2643.84
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Total for ACCOUNT 100-4-012515-584100 2643.84
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Total for DEPARTMENT INFORMATION MANAGE 2643.84
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PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 2
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-013100-521000 POSTAGE 195027 11-09-22 ALBERTA GREENE 27.90
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Total for ACCOUNT 100-4-013100-521000 27.90
100-4-013100-600110 ELECTION SUPPLIES 195076 11-09-22 QUILL CORPORATION 50.42
100-4-013100-600110 ELECTION SUPPLIES 195076 11-09-22 QUILL CORPORATION 80.52
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Total for ACCOUNT 100-4-013100-600110 130.94
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Total for DEPARTMENT ELECTORAL BOARD/RE 158.84
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100-4-021100-600200 MEALS FOR JURORS 1835 11-09-22 MARK WAYNE SCARCE 122.65
100-4-021100-600200 MEALS FOR JURORS 195070 11-09-22 O'KELLYS 106.88
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Total for ACCOUNT 100-4-021100-600200 229.53
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Total for DEPARTMENT CIRCUIT COURT 229.53
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100-4-031200-317000 WRECKER SERVICE 195047 11-09-22 DIESEL ENGINE & EQUIPMENT REPAIR 330.00
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Total for ACCOUNT 100-4-031200-317000 330.00
100-4-031200-523000 TELEPHONE 195090 11-09-22 VERIZON 341.52
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Total for ACCOUNT 100-4-031200-523000 341.52
100-4-031200-600900 VEHICLE-SUPPLIES 195051 11-09-22 ENTERPRISE FM TRUST 2383.08
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Total for ACCOUNT 100-4-031200-600900 2383.08
100-4-031200-603000 SVC COSTS-PARTS 195075 11-09-22 PERKINS TIRE & AUTO, INC. 53.50
100-4-031200-603000 SVC COSTS-PARTS 195066 11-09-22 LOFTIS TIRE COMPANY 118.84
100-4-031200-603000 SVC COSTS-PARTS 195051 11-09-22 ENTERPRISE FM TRUST 9367.21
100-4-031200-603000 SVC COSTS-PARTS 195047 11-09-22 DIESEL ENGINE & EQUIPMENT REPAIR 1485.42
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Total for ACCOUNT 100-4-031200-603000 11024.97
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 3
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-031200-603100 SVC COSTS-LABOR CHAR 195075 11-09-22 PERKINS TIRE & AUTO, INC. 27.00
100-4-031200-603100 SVC COSTS-LABOR CHAR 195051 11-09-22 ENTERPRISE FM TRUST 3628.10
100-4-031200-603100 SVC COSTS-LABOR CHAR 195047 11-09-22 DIESEL ENGINE & EQUIPMENT REPAIR 435.00
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Total for ACCOUNT 100-4-031200-603100 4090.10
100-4-031200-603110 FLEET MAINTENANCE 195051 11-09-22 ENTERPRISE FM TRUST 426.00
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Total for ACCOUNT 100-4-031200-603110 426.00
100-4-031200-810520 CAP OUTLAY-VEHICLES 195051 11-09-22 ENTERPRISE FM TRUST 11502.61
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Total for ACCOUNT 100-4-031200-810520 11502.61
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Total for DEPARTMENT SHERIFF'S DEPARTME 30098.28
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100-4-032200-511000 ELECTRICITY 195048 11-09-22 DOMINION ENERGY VIRGINIA 174.56
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Total for ACCOUNT 100-4-032200-511000 174.56
100-4-032200-554000 TRAINING & SAFETY 1832 11-09-22 AUSTIN JAMES SIGMON 824.49
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Total for ACCOUNT 100-4-032200-554000 824.49
100-4-032200-605200 MEDICAL EQUIPMENT SU 195035 11-09-22 BOUND TREE MEDICAL LLC 643.98
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Total for ACCOUNT 100-4-032200-605200 643.98
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Total for DEPARTMENT PUBLIC SAFETY 1643.03
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100-4-032221-511000 ELECTRICITY 195048 11-09-22 DOMINION ENERGY VIRGINIA 609.17
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Total for ACCOUNT 100-4-032221-511000 609.17
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Total for DEPARTMENT CHATHAM VFD 609.17
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PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 4
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-032225-600800 FUELS-VEHICLE 195044 11-09-22 DAVENPORT ENERGY 942.09
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Total for ACCOUNT 100-4-032225-600800 942.09
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Total for DEPARTMENT TUNSTALL VOL FIRE 942.09
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100-4-032234-512000 HEATING FUELS 195044 11-09-22 DAVENPORT ENERGY 144.16
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Total for ACCOUNT 100-4-032234-512000 144.16
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Total for DEPARTMENT BLAIRS FIRE AND RE 144.16
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100-4-032235-512000 HEATING FUELS 195044 11-09-22 DAVENPORT ENERGY 145.17
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Total for ACCOUNT 100-4-032235-512000 145.17
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Total for DEPARTMENT CALLANDS VOL FIRE 145.17
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100-4-032237-512000 HEATING FUELS 195058 11-09-22 HARDY PETROLEUM 115.29
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Total for ACCOUNT 100-4-032237-512000 115.29
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Total for DEPARTMENT BROSVILLE COMMUNIT 115.29
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100-4-032238-512000 HEATING FUELS 195058 11-09-22 HARDY PETROLEUM 263.84
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Total for ACCOUNT 100-4-032238-512000 263.84
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Total for DEPARTMENT CASCADE VFD 263.84
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100-4-032240-511000 ELECTRICITY 195037 11-09-22 CITY OF DANVILLE 239.87
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Total for ACCOUNT 100-4-032240-511000 239.87
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Total for DEPARTMENT RIVERBEND VFD 239.87
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PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 5
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 14388.60-
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 188.09
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 2515.05-
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 2226.66-
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 5058.42
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 1026.33
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 2574.79-
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 468.85
100-4-033100-311000 PROFESSIONAL HEALTH 195030 11-09-22 ANTHEM HEALTH PLANS OF VIRGINIA IN 18693.38
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Total for ACCOUNT 100-4-033100-311000 3729.97
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Total for DEPARTMENT CORRECTIONS & DETE 3729.97
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100-4-034000-603110 FLEET MAINTENANCE 195051 11-09-22 ENTERPRISE FM TRUST 6.00
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Total for ACCOUNT 100-4-034000-603110 6.00
100-4-034000-810520 CAP OUTLAY-VEHICLES 195051 11-09-22 ENTERPRISE FM TRUST 856.93
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Total for ACCOUNT 100-4-034000-810520 856.93
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Total for DEPARTMENT BUILDING INSPECTIO 862.93
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100-4-035100-603000 SVC COSTS-PARTS 195051 11-09-22 ENTERPRISE FM TRUST 79.00
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Total for ACCOUNT 100-4-035100-603000 79.00
100-4-035100-603110 FLEET MAINTENANCE 195051 11-09-22 ENTERPRISE FM TRUST 10.00
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Total for ACCOUNT 100-4-035100-603110 10.00
100-4-035100-810520 CAP OUTLAY-VEHICLES 195051 11-09-22 ENTERPRISE FM TRUST 1719.14
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Total for ACCOUNT 100-4-035100-810520 1719.14
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Total for DEPARTMENT ANIMAL CONTROL 1808.14
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 6
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-035110-584900 VET EXPENSE-SPAY/NEU 195036 11-09-22 CHATHAM ANIMAL CLINIC 756.30
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Total for ACCOUNT 100-4-035110-584900 756.30
100-4-035110-584910 VETERINARY EXPENSE 195043 11-09-22 DANVILLE FAMILY VET 25.20-
100-4-035110-584910 VETERINARY EXPENSE 195043 11-09-22 DANVILLE FAMILY VET 126.00
100-4-035110-584910 VETERINARY EXPENSE 195036 11-09-22 CHATHAM ANIMAL CLINIC 1253.14
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Total for ACCOUNT 100-4-035110-584910 1353.94
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Total for DEPARTMENT PET CENTER 2110.24
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100-4-035500-511000 ELECTRICITY 195048 11-09-22 DOMINION ENERGY VIRGINIA 620.34
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Total for ACCOUNT 100-4-035500-511000 620.34
100-4-035500-550000 TRAVEL EXPENSES 1836 11-09-22 TABATHA LEE POWELL 70.00
100-4-035500-550000 TRAVEL EXPENSES 1834 11-09-22 GLENNA GREESON CALDWELL 87.50
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Total for ACCOUNT 100-4-035500-550000 157.50
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Total for DEPARTMENT EMERGENCY MANAGEME 777.84
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100-4-043100-331000 REPAIRS AND MAINT 195041 11-09-22 CRIDER CONTRACTING LLC 1798.00
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Total for ACCOUNT 100-4-043100-331000 1798.00
100-4-043100-511000 ELECTRICITY 195048 11-09-22 DOMINION ENERGY VIRGINIA 125.86
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Total for ACCOUNT 100-4-043100-511000 125.86
100-4-043100-512000 HEATING FUELS 195044 11-09-22 DAVENPORT ENERGY 447.19
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Total for ACCOUNT 100-4-043100-512000 447.19
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 7
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-043100-523000 TELEPHONE-CENTRAL SW 195079 11-09-22 RIVERSTREET NETWORKS 25.88
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Total for ACCOUNT 100-4-043100-523000 25.88
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Total for DEPARTMENT BUILDING & GROUNDS 2396.93
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100-4-053500-700300 COMP SVC ACT POOL-PR 195082 11-09-22 THE HUGHES CENTER 4400.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195078 11-09-22 RESTORATIVE YOUTH SERVICES 645.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195074 11-09-22 PATHFINDERS RESOURCES INC 1050.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 935.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1020.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1997.50
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 297.50
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1600.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1600.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 701.25
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 786.25
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1610.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1235.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1260.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1400.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1050.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1275.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 701.25
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 1300.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 977.50
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 840.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195065 11-09-22 LIFE PUSH LLC 840.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195063 11-09-22 JOHN LESTER 521.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195061 11-09-22 INTERCEPT HEALTH SERVICES 2807.36
100-4-053500-700300 COMP SVC ACT POOL-PR 195061 11-09-22 INTERCEPT HEALTH SERVICES 2807.36
100-4-053500-700300 COMP SVC ACT POOL-PR 195061 11-09-22 INTERCEPT HEALTH SERVICES 2807.36
100-4-053500-700300 COMP SVC ACT POOL-PR 195061 11-09-22 INTERCEPT HEALTH SERVICES 2807.36
100-4-053500-700300 COMP SVC ACT POOL-PR 195060 11-09-22 HUMANKIND 1167.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195060 11-09-22 HUMANKIND 4955.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195060 11-09-22 HUMANKIND 5790.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195055 11-09-22 GRACE WEBER 772.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195054 11-09-22 GIFT OF HOPE 7161.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195054 11-09-22 GIFT OF HOPE 4620.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195054 11-09-22 GIFT OF HOPE 3927.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195032 11-09-22 BEGINNING TODAY YOUTH SERVICES LLC 5940.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3600.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 300.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3667.31
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 8
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3600.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3667.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3667.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3667.31
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 3745.00
100-4-053500-700300 COMP SVC ACT POOL-PR 195028 11-09-22 ALLIANCE HUMAN SERVICES 4744.00
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Total for ACCOUNT 100-4-053500-700300 104262.86
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Total for DEPARTMENT COMP POLICY MANAGE 104262.86
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100-4-071100-130000 PART-TIME SALARIES A 195071 11-09-22 OFF DUTY MANAGEMENT INC 432.00
100-4-071100-130000 PART-TIME SALARIES A 195042 11-09-22 DANIEL J BOOKER 170.00
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Total for ACCOUNT 100-4-071100-130000 602.00
100-4-071100-569700 UMPIRE/REFEREE FEES 195084 11-09-22 TONY REESE 135.00
100-4-071100-569700 UMPIRE/REFEREE FEES 195077 11-09-22 RANDY L ECHOLS 135.00
100-4-071100-569700 UMPIRE/REFEREE FEES 195050 11-09-22 ELVIN D. DYER 135.00
100-4-071100-569700 UMPIRE/REFEREE FEES 195049 11-09-22 EARNEST E WILLIAMS 135.00
100-4-071100-569700 UMPIRE/REFEREE FEES 195045 11-09-22 DAVID A MARTIN 135.00
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Total for ACCOUNT 100-4-071100-569700 675.00
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Total for DEPARTMENT RECREATIONAL DEPAR 1277.00
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100-4-073100-317200 EMPLOYMENT CONT - JA 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 1710.00
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Total for ACCOUNT 100-4-073100-317200 1710.00
100-4-073100-513000 WATER AND SEWER SERV 195085 11-09-22 TOWN OF GRETNA 119.53
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Total for ACCOUNT 100-4-073100-513000 119.53
100-4-073100-523000 TELEPHONE 195079 11-09-22 RIVERSTREET NETWORKS 120.09
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Total for ACCOUNT 100-4-073100-523000 120.09
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 9
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-073100-524000 INTERNET SERVICES 195079 11-09-22 RIVERSTREET NETWORKS 44.00
100-4-073100-524000 INTERNET SERVICES 195053 11-09-22 GCR COMPANY 2340.00
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Total for ACCOUNT 100-4-073100-524000 2384.00
100-4-073100-550000 TRAVEL 1833 11-09-22 CAMMIE ELAINE JOHNSON 32.50
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Total for ACCOUNT 100-4-073100-550000 32.50
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 50.00
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 80.00
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 80.00
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 80.00
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 80.00
100-4-073100-600700 BUILDING MAINTENANCE 195046 11-09-22 DERRICK'S CLEANING SERVICE INC 200.00
100-4-073100-600700 BUILDING MAINTENANCE 195038 11-09-22 CM SPECTRUM PAINTING & WALLCOVERIN 2050.00
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Total for ACCOUNT 100-4-073100-600700 2620.00
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Total for DEPARTMENT LIBRARY 6986.12
===============
100-4-081400-315000 LEGAL SERVICES 195057 11-09-22 GUYNN, WADDELL, CARROLL & LOCKABY 700.00
100-4-081400-315000 LEGAL SERVICES 195057 11-09-22 GUYNN, WADDELL, CARROLL & LOCKABY 66.50
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Total for ACCOUNT 100-4-081400-315000 766.50
100-4-081400-603110 FLEET MAINTENANCE 195051 11-09-22 ENTERPRISE FM TRUST 6.00
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Total for ACCOUNT 100-4-081400-603110 6.00
100-4-081400-810520 CAP OUTLAY-VEHICLES 195051 11-09-22 ENTERPRISE FM TRUST 897.39
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Total for ACCOUNT 100-4-081400-810520 897.39
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Total for DEPARTMENT COMMUNITY DEVELOPM 1669.89
===============
100-4-092100-583100 REAL ESTATE TAXES 7011865 11-07-22 JIMMY L LIFE TENANT PHILLIPS JEFFE 975.88
100-4-092100-583100 REAL ESTATE TAXES 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 329.75
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 10
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
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100-4-092100-583100 REAL ESTATE TAXES 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 379.77
100-4-092100-583100 REAL ESTATE TAXES 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 395.69
100-4-092100-583100 REAL ESTATE TAXES 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 425.31
100-4-092100-583100 REAL ESTATE TAXES 7011862 11-07-22 GEORGE STEVEN STONE KAREN B STONE 837.62
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Total for ACCOUNT 100-4-092100-583100 3344.02
100-4-092100-583200 PERSONAL PROPERTY TA 7011866 11-07-22 JIMMY LEON PHILLIPS 123.52
100-4-092100-583200 PERSONAL PROPERTY TA 7011861 11-07-22 GEORGE STEVE STONE 160.20
100-4-092100-583200 PERSONAL PROPERTY TA 7011856 11-07-22 ANN MARIE T BARBOUR 40.75
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Total for ACCOUNT 100-4-092100-583200 324.47
100-4-092100-583410 SECURITY DEPOSITS-CC 195073 11-09-22 PAMELA DANIELS 100.00
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Total for ACCOUNT 100-4-092100-583410 100.00
100-4-092100-583800 SOLID WASTE FEE REFU 7011880 11-07-22 THOMAS OAKES MARTIN FRANCIS MELVIN 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011879 11-07-22 SEAN PATRICK RODGERS 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011878 11-07-22 SAMMY R SCHOONOVER DONNA J SCHOONO 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011877 11-07-22 RAMSEY W YEATTS BECKY C YEATTS 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011876 11-07-22 PAULA MARTIN SMITH 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011875 11-07-22 PATRICK A BILLINGS WANDA M BILLING 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011874 11-07-22 MERCED V II HERNANDEZ VICKI C HERN 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011873 11-07-22 MARTI L PERRY 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011872 11-07-22 MARK W GORE CATHRYN S GORE 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011871 11-07-22 MALLOREE MIKELL PONTZIUS DANE ANDR 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011870 11-07-22 KEITH A EDWARDS HEATHER M EDWARDS 122.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011869 11-07-22 JONATHAN R MOTLEY LAURA HOPKINS MO 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011868 11-07-22 JOAN CARTER COFFLIN 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011867 11-07-22 JO ANN ADAMS SYLVIA SHARON RAY 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 128.75
100-4-092100-583800 SOLID WASTE FEE REFU 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 147.80
100-4-092100-583800 SOLID WASTE FEE REFU 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 146.00
100-4-092100-583800 SOLID WASTE FEE REFU 7011864 11-07-22 JAMES BRANDON THOMAS A BRANDON 158.00
100-4-092100-583800 SOLID WASTE FEE REFU 7011863 11-07-22 GEORGINA NESMITH 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011860 11-07-22 FALLON M PHILLIPS 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011859 11-07-22 ELIZABETH BROWN MARSHALL WESLEY TR 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011858 11-07-22 DANNY L HALL ASHLEY T HALL 62.50
100-4-092100-583800 SOLID WASTE FEE REFU 7011857 11-07-22 CHRISTOPHER WOODY 122.50
---------------
Total for ACCOUNT 100-4-092100-583800 1888.05
---------------
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 11
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
Total for DEPARTMENT REFUNDS 5656.54
===============
Total for FUND 100 171346.57
===============
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195056 11-09-22 GRETNA ANIMAL CLINIC P.C. 1900.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 575.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 78.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 150.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 50.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 225.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 150.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 375.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 375.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195043 11-09-22 DANVILLE FAMILY VET 75.00
245-4-035200-584900 VET EXPENSE-SPAY/NEU 195036 11-09-22 CHATHAM ANIMAL CLINIC 175.00
---------------
Total for ACCOUNT 245-4-035200-584900 4653.00
---------------
Total for DEPARTMENT PET CENTER EXPENSE 4653.00
===============
Total for FUND 245 4653.00
===============
250-4-031775-523000 TELEPHONE 195090 11-09-22 VERIZON 1520.80
250-4-031775-523000 TELEPHONE 195079 11-09-22 RIVERSTREET NETWORKS 66.64
250-4-031775-523000 TELEPHONE 195079 11-09-22 RIVERSTREET NETWORKS 51.89
250-4-031775-523000 TELEPHONE 195079 11-09-22 RIVERSTREET NETWORKS 51.89
250-4-031775-523000 TELEPHONE 195079 11-09-22 RIVERSTREET NETWORKS 66.64
---------------
Total for ACCOUNT 250-4-031775-523000 1757.86
---------------
Total for DEPARTMENT E911 PSAP WIRELESS 1757.86
===============
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195068 11-09-22 MIDWEST TAPE 80.99
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 12
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195068 11-09-22 MIDWEST TAPE 119.97
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195068 11-09-22 MIDWEST TAPE 335.09
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195068 11-09-22 MIDWEST TAPE 34.99
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195068 11-09-22 MIDWEST TAPE 89.98
250-4-073300-601200 BOOKS AND SUBSCRIPTI 195052 11-09-22 FINDAWAY WORLD LLC 61.74
---------------
Total for ACCOUNT 250-4-073300-601200 722.76
---------------
Total for DEPARTMENT STATE LIBRARY GRAN 722.76
===============
250-4-094505-584920 EMERGENCY MEDICAL 195043 11-09-22 DANVILLE FAMILY VET 208.11
250-4-094505-584920 EMERGENCY MEDICAL 195036 11-09-22 CHATHAM ANIMAL CLINIC 216.55
---------------
Total for ACCOUNT 250-4-094505-584920 424.66
---------------
Total for DEPARTMENT BISSELL PET FOUNDA 424.66
===============
Total for FUND 250 2905.28
===============
251-4-353160-521000 POSTAGE 195087 11-09-22 TRUIST BANK 41.70
---------------
Total for ACCOUNT 251-4-353160-521000 41.70
251-4-353160-600100 OFFICE SUPPLIES 195087 11-09-22 TRUIST BANK 51.92
251-4-353160-600100 OFFICE SUPPLIES 195069 11-09-22 MOUNTAIN PARK SPRING WATER INC 21.73
251-4-353160-600100 OFFICE SUPPLIES 195031 11-09-22 BASSETT OFFICE SUPPLY 838.00
---------------
Total for ACCOUNT 251-4-353160-600100 911.65
251-4-353160-600200 FOOD SUPPLIES/FOOD S 195087 11-09-22 TRUIST BANK 34.30
---------------
Total for ACCOUNT 251-4-353160-600200 34.30
251-4-353160-601200 BOOKS & SUBSCRIPTION 195026 11-09-22 ACT INC 87.50
---------------
Total for ACCOUNT 251-4-353160-601200 87.50
251-4-353160-601400 OTHER OPERATING ACTI 195087 11-09-22 TRUIST BANK 1396.83
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 13
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
---------------
Total for ACCOUNT 251-4-353160-601400 1396.83
---------------
Total for DEPARTMENT WIA ADMINISTRATIVE 2471.98
===============
251-4-353665-601400 UNRESTRICTED NON-WIO 195091 11-09-22 VIRGINIA LEE LEADBETTER-BOLTE 500.00
251-4-353665-601400 UNRESTRICTED NON-WIO 195087 11-09-22 TRUIST BANK 3975.58
---------------
Total for ACCOUNT 251-4-353665-601400 4475.58
---------------
Total for DEPARTMENT UNRESTRICTED NON-W 4475.58
===============
251-4-353851-601400 OTHER OPERATING ACTI 195087 11-09-22 TRUIST BANK 46.39
251-4-353851-601400 OTHER OPERATING ACTI 195034 11-09-22 BLUE RIDGE SPRINGS INC 1.46
---------------
Total for ACCOUNT 251-4-353851-601400 47.85
---------------
Total for DEPARTMENT WIA DISLOCATED WOR 47.85
===============
251-4-353853-601400 OTHER OPERATING ACTI 195087 11-09-22 TRUIST BANK 291.33
251-4-353853-601400 OTHER OPERATING ACTI 195034 11-09-22 BLUE RIDGE SPRINGS INC 10.22
---------------
Total for ACCOUNT 251-4-353853-601400 301.55
---------------
Total for DEPARTMENT WIA ADULT PROGRAM 301.55
===============
251-4-353855-601400 OTHER OPERATING ACTI 195087 11-09-22 TRUIST BANK 504.25
251-4-353855-601400 OTHER OPERATING ACTI 195034 11-09-22 BLUE RIDGE SPRINGS INC 16.06
---------------
Total for ACCOUNT 251-4-353855-601400 520.31
---------------
Total for DEPARTMENT WIA YOUTH: OUT OF 520.31
===============
251-4-353856-601400 OTHER OPERATING ACTI 195087 11-09-22 TRUIST BANK 56.33
251-4-353856-601400 OTHER OPERATING ACTI 195034 11-09-22 BLUE RIDGE SPRINGS INC 1.46
---------------
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 14
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
Total for ACCOUNT 251-4-353856-601400 57.79
---------------
Total for DEPARTMENT WIA YOUTH: IN SCHO 57.79
===============
251-4-353886-589900 ADMINISTRATIVE SUPPO 195087 11-09-22 TRUIST BANK 324.70
---------------
Total for ACCOUNT 251-4-353886-589900 324.70
---------------
Total for DEPARTMENT HARVEST FOUNDATION 324.70
===============
251-4-353890-316300 CONTRACT SERVICES-SE 195088 11-09-22 UNIVERSAL PROTECTION SERVICE LP 3362.31
---------------
Total for ACCOUNT 251-4-353890-316300 3362.31
251-4-353890-316310 CONTRACT SERVICES-SE 195088 11-09-22 UNIVERSAL PROTECTION SERVICE LP 4331.96
---------------
Total for ACCOUNT 251-4-353890-316310 4331.96
---------------
Total for DEPARTMENT WOIA-COMPREHENSIVE 7694.27
===============
Total for FUND 251 15894.03
===============
501-4-043220-316220 WATER SAMPLES/TESTIN 195072 11-09-22 PACE ANALYTICAL SERVICES INC. 1545.38
---------------
Total for ACCOUNT 501-4-043220-316220 1545.38
501-4-043220-514100 PURCHASED WATER 195059 11-09-22 HENRY COUNTY PUBLIC SERVICE AUTHOR 6974.74
---------------
Total for ACCOUNT 501-4-043220-514100 6974.74
501-4-043220-523000 TELEPHONE 195090 11-09-22 VERIZON 149.99
501-4-043220-523000 TELEPHONE 195090 11-09-22 VERIZON 57.39
---------------
Total for ACCOUNT 501-4-043220-523000 207.38
---------------
Total for DEPARTMENT PCSA-WATER DEPARTM 8727.50
===============
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 15
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
501-4-043221-331900 MAINTENANCE SEWER LI 195040 11-09-22 CREWS CONSTRUCTION CO INC. 10350.00
---------------
Total for ACCOUNT 501-4-043221-331900 10350.00
501-4-043221-523000 TELEPHONE 195090 11-09-22 VERIZON 80.75
501-4-043221-523000 TELEPHONE 195090 11-09-22 VERIZON 30.89
---------------
Total for ACCOUNT 501-4-043221-523000 111.64
---------------
Total for DEPARTMENT PCSA-SEWER DEPARTM 10461.64
===============
Total for FUND 501 19189.14
===============
520-4-042300-331100 SVC CONTRACT-GREEN B 195083 11-09-22 THOMPSON TRUCKING INC 968.00
520-4-042300-331100 SVC CONTRACT-GREEN B 195083 11-09-22 THOMPSON TRUCKING INC 1028.50
520-4-042300-331100 SVC CONTRACT-GREEN B 195083 11-09-22 THOMPSON TRUCKING INC 3297.25
---------------
Total for ACCOUNT 520-4-042300-331100 5293.75
520-4-042300-511000 ELECTRICITY 195048 11-09-22 DOMINION ENERGY VIRGINIA 75.29
---------------
Total for ACCOUNT 520-4-042300-511000 75.29
520-4-042300-524000 INTERNET SERVICES 195093 11-09-22 ZITO MEDIA 92.48
520-4-042300-524000 INTERNET SERVICES 195079 11-09-22 RIVERSTREET NETWORKS 100.00
---------------
Total for ACCOUNT 520-4-042300-524000 192.48
520-4-042300-600800 FUELS-VEHICLE 195067 11-09-22 MANSFIELD OIL COMPANY 5447.05
---------------
Total for ACCOUNT 520-4-042300-600800 5447.05
520-4-042300-604300 GRAVEL/ROCK 195080 11-09-22 SOUTHSIDE MATERIALS, LLC 6641.48
---------------
Total for ACCOUNT 520-4-042300-604300 6641.48
---------------
Total for DEPARTMENT SOLID WASTE COLLEC 17650.05
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 16
FOR MONTH ENDING: 11/09/2022
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GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
===============
520-4-042400-316300 CONSULTING - ENGINEE 195064 11-09-22 LABELLA ASSOCIATES D.P.C. P.C. 3763.75
520-4-042400-316300 CONSULTING - ENGINEE 195064 11-09-22 LABELLA ASSOCIATES D.P.C. P.C. 246.75
---------------
Total for ACCOUNT 520-4-042400-316300 4010.50
520-4-042400-316700 GAS MONITORING 195064 11-09-22 LABELLA ASSOCIATES D.P.C. P.C. 1925.00
---------------
Total for ACCOUNT 520-4-042400-316700 1925.00
520-4-042400-316800 GROUND WATER MONITOR 195064 11-09-22 LABELLA ASSOCIATES D.P.C. P.C. 16650.00
---------------
Total for ACCOUNT 520-4-042400-316800 16650.00
520-4-042400-512000 HEATING FUELS 195044 11-09-22 DAVENPORT ENERGY 255.40
---------------
Total for ACCOUNT 520-4-042400-512000 255.40
520-4-042400-581000 DUES AND MEMBERSHIPS 195089 11-09-22 VA DEPARTMENT OF MOTOR VEHICLES 90.00
---------------
Total for ACCOUNT 520-4-042400-581000 90.00
520-4-042400-600800 FUELS - VEHICLE 195062 11-09-22 JAMES RIVER SOLUTIONS 6261.94
520-4-042400-600800 FUELS - VEHICLE 195062 11-09-22 JAMES RIVER SOLUTIONS 3226.90
---------------
Total for ACCOUNT 520-4-042400-600800 9488.84
520-4-042400-604300 GRAVELS/ROCK 195080 11-09-22 SOUTHSIDE MATERIALS, LLC 4850.94
---------------
Total for ACCOUNT 520-4-042400-604300 4850.94
---------------
Total for DEPARTMENT SOLID WASTE DISPOS 37270.68
===============
520-4-094110-812500 LANDFILL EQUIPMENT/T 195029 11-09-22 AMERICAN SCALE COMPANY LLC 3500.00
---------------
Total for ACCOUNT 520-4-094110-812500 3500.00
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 17
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================
---------------
Total for DEPARTMENT SOLID WASTE - CAPI 3500.00
===============
520-4-094120-813900 LANDFILL CLOSURE 195033 11-09-22 BKS SEEDING INC. 25000.00
---------------
Total for ACCOUNT 520-4-094120-813900 25000.00
---------------
Total for DEPARTMENT LANDFILL - CAPITAL 25000.00
===============
520-4-094151-821200 LANDFILL CONSTRUCTIO 195080 11-09-22 SOUTHSIDE MATERIALS, LLC 12388.64
---------------
Total for ACCOUNT 520-4-094151-821200 12388.64
---------------
Total for DEPARTMENT LEASE REVENUE BOND 12388.64
===============
Total for FUND 520 95809.37
===============
604-4-012530-523000 TELEPHONE 195086 11-09-22 TREASURER OF VIRGINIA 375.19
---------------
Total for ACCOUNT 604-4-012530-523000 375.19
---------------
Total for DEPARTMENT CENTRAL PURCHASING 375.19
===============
Total for FUND 604 375.19
===============
713-4-092000-583900 TREAS CKS - REFUNDS 7011881 11-09-22 SARAH LEAV 67 815.00
---------------
Total for ACCOUNT 713-4-092000-583900 815.00
---------------
Total for DEPARTMENT TREAS CLEARING EXP 815.00
===============
Total for FUND 713 815.00
===============
Grand total for ALL FUNDS 310987.58
===============
PITTSYLVANIA COUNTY
AP3191 MONTH-END DISBURSEMENTS SUMMARY 16:25:50 09 NOV 2022 PAGE 18
FOR MONTH ENDING: 11/09/2022
===================================================================================================================================
CHECK CHECK VOID
GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE
===================================================================================================================================