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05/22/14PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 1 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE \/ENDOR NAME INVOICE AMOUNT DATE 100-4-011010-360000 ADVERTISING 152636 OS-22-14 WOMACK PUBLISHING COMPANY, INC. 53.00 100-4-011010-360000 AD�7ERTISING 152636 OS-22-14 WOMACX PUBLISHING COMPANY, INC. 1158.05 100-4-011010-360000 ADVERTISING 152636 05-22-14 WOMACK PUBLISHING COMPANY, INC. 79.50 --------------- Total for ACCOUNT 100-4-011010-360000 1290.55 100-4-011010-523000 TELEPHONE 152590 OS-22-14 JERRY A. HAGERMAN 44.95 100-4-011010-523000 TELEPHONE 152590 05-22-14 JERRY A. HAGERMAN 44.95 --------------- TOtal for ACCOUNT 100-4-011010-523000 89.90 100-4-011010-550000 TRAVEL 152590 05-22-14 JERRY A. HAGERMAN 222.88 100-4-011010-550000 TRAVEL 152590 05-22-14 JERRY A. HAGERMAN 162.40 100-4-011010-550000 TRAVEL 152561 05-22-14 BUSINESS CARD 187.71 --------------- Total for ACCOUNT 100-4-011010-550000 572.99 --- — — -------- Total for DEPARTMENT BOARD OF SUPERV250 1953.44 -------------- --------------- 100-4-012100-550000 TRAVEL EXPENSES 152561 OS-22-14 BUSINESS CARD 13.82 --------------- Total for ACCOUNT 100-4-012100-550000 13.82 --------------- Total for DEPARTMENT COUNTY ADMINISTRAT 13.82 --------------- --------------- 100-4-012310-332000 SVC CONTRACT-OFFICE 152561 05-22-14 BUSINESS CARD 163.89 --------------- Total for ACCOUNT 100-4-012310-332000 163.89 100-4-012310-600300 FURNZTURE & FIXTURES 152572 OS-22-14 DELL MARKETING L.P C/0 DELL USA L. 1419.83 --------------- Total for ACCOUNT 100-4-012310-600300 1419.83 --------------- Total for DEPARTMENT CONIDi2SSI0NER OF RE 1583.72 --------------- 100-4-012320-600100 OFFICE SUPPLIES 152561 OS-22-14 BUSINESS CARD 56.12 --------------- AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 2 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE Total for ACCOUNT 100-4-012320-600100 56.12 --------------- Total for DEPARTMENT REASSESSMENT 56.12 --------------- --------------- 100-4-012410-332000 SVC CONTRACT-OFF EQU 152571 OS-22-14 DE LAGE FINANCIAL SERVICES 109.32 100-4-012410-332000 SVC CONTRACT-OFF EQU 152561 OS-22-14 BUSINESS CARD 131.11 ------ — ------- Total for ACCOUNT 100-4-012410-332000 240.43 100-4-012410-550000 TRAVEL 152561 05-22-14 BUSINESS CARD 8.37 --------------- Total for ACCOUNT 100-4-012410-550000 8.37 100-4-012410-554000 TRAINING & EDUCATION 152561 05-22-14 BUSINESS CARD 100-4-012410-554000 TRAINING & EDUCATION 152561 OS-22-14 BUSINESS CARD Total for ACCOUNT 100-4-012410-554000 Total for DEPARTMENT TREASURER 235.00 350.00 --------------- 585.00 --------------- 833.80 --------------- --------------- 100-4-012510-584100 SOFTWARE-SUPPORT EXP 152561 05-22-14 BUSINESS CARD 49.99 --------------- Total for ACCOUNT 100-4-012510-584100 49.99 Total for DEPARTMENT ZNFORMATION TECHNO 49.99 --------------- --° ----------- 100-4-012520-600800 FUEL 152561 05-22-14 BUSINESS CARD 124.00 --------------- Total for ACCOUNT 100-4-012520-600800 124.00 100-4-012520-603100 SVC COSTS-LABOR 152591 OS-22-14 KEN & LISA'S TIRES, INC. Total for ACCOUNT 100-4-012520-603100 Total for DEPARTMENT FLEET MANAGEMENT 85.00 --------------- 85.00 --------------- 209.00 --------------- --------------- AP3191 PITTSYLVANIA COUNPY MONPH-END DISBURSEMENTS SUI+II�IARY 08:36:51 23 MAY 2014 PAGE 3 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-012530-550000 TRA�/EL 152561 OS-22-14 BUSINESS CARD 128.00 --------------- Total for ACCOUNT 100-4-012530-550000 128.00 --------------- Total for DEPARTMENT CENTRAL PURCHASING 128.00 --------------- --------------- 100-4-021500-600500 COPIER LEASE 152571 05-22-14 DE LAGE FINANCIAL SERVICES 147.59 Total for ACCOUNT 100-4-021500-600500 147.59 Total for DEPARTMENT JWENILE & DOMESTI 147.59 --------------- --------------- 100-4-021600-350000 PRINTING 100-4-021600-521000 POSTAGE 152636 OS-22-14 WOMACK PUBLISHING COMPANY, INC. 22.30 --------------- Total for ACCOUNT 100-4-021600-350000 22.30 152632 OS-22-14 UPS Total for ACCOUNT 100-4-021600-521000 Total for DEPARTMENT CLERK OF COURT 47.36 47.36 ------- — ------ 69.66 --------------- --------------- 100-4-022100-601200 BOOKS AND SUBSCRIPTI 152581 OS-22-14 GEORGETOWN LAW OJA 85.00 --------------- Total for ACCOUNT 100-4-022100-601200 85.00 Total for DEPARTMENT COMMONWEALTH ATTOR 85.00 --------------- --------------- 100-4-031200-350000 PRINTING 152575 OS-22-14 DOCUSYSTEMS CO INC. 83.29 100-4-031200-350000 PRINTZNG 152575 OS-22-14 DOCUSYSTEMS CO INC. 102.50 Total for ACCOUNT 100-4-031200-350000 185.79 100-4-031200-521000 POSTAGE 152614 OS-22-14 PITNEY BOWES 502.05 ---------- — --- Total for ACCOUNT 100-4-031200-521000 502.05 AP3191 PITTSYLVANZA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 4 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUI�IDER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-031200-550000 TRAVEL 152561 OS-22-14 BUSINESS CARD 474.50 --------------- Total for ACCOUNT 100-4-031200-550000 474.50 100-4-031200-553000 SUBSISTENCE AND LODG 152561 05-22-14 BUSINESS CARD 1785.85 --------------- Total for ACCOUNT 100-4-031200-553000 1785.85 100-4-031200-554000 TRAINING AND EDUCATI 152629 OS-22-14 TRAINING FORCE USA 597.00 100-4-031200-554000 TRAINING AND EDUCATI 152568 OS-22-14 COMPLETE TACTICAL 450.00 100-4-031200-554000 TRAINING AND EDUCATI 152561 OS-22-14 BUSINESS CARD 900.00 100-4-031200-554000 TRAINING AND EDUCATI 152560 05-22-14 BENCHMARK PROFESSIONAL 737.50 --------------- Total for ACCOUNT 100-4-031200-554000 2684.50 100-4-031200-584100 SOFTWARE SUPPORT EXP 152561 OS-22-14 BUSINESS CARD 132.67 ------------- Total for ACCOUNT 100-4-031200-584100 132.67 100-4-031200-588100 ACCREDITATION 152561 OS-22-14 BUSINESS CARD 164.98 ------------- Total for ACCOUNT 100-4-031200-588100 164.98 100-4-031200-600100 OFFICE SUPPLIES 152603 05-22-14 MOUNTAIN PARK SPRING WATER INC 66.00 100-4-031200-600100 OFFICE SUPPLIES 152603 OS-22-14 MOUN'PAIN PARK SPRING WATER INC 66.00 100-4-031200-600100 OFFICE SUPPLIES 152561 OS-22-14 BUSINESS CARD 375.60 --------------- Total for ACCOUNT 100-4-031200-600100 507.60 100-4-031200-600500 RENTAL/COPIER LEASE 152571 05-22-14 DE LAGE FINANCIAL SERVICES 280.62 --------------- Total for ACCOUNT 100-4-031200-600500 280.62 100-4-031200-600800 FUELS-VEHICLE 152635 05-22-14 VINCENT SHORTER GARAGE 42.90 100-4-031200-600800 FUELS-VEHICLE 152561 OS-22-14 BUSINESS CARD 134.26 Total for ACCOUNT 100-4-031200-600800 177.16 AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 5 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-031200-600900 VEHICLE-SUPPLIES 152595 OS-22-14 LOFTIS TIRE COMPANY 467.04 100-4-031200-600900 VEHICLE-SUPPLIES 152595 OS-22-14 LOFTIS TIRE COMPANY 240.19 100-4-031200-600900 VEHICLE-SUPPLIES 152561 05-22-14 BUSZNESS CARD 26.97 --------------- Total for ACCOUNT 100-4-031200-600900 734.20 100-4-031200-601000 POLICE SUPPLIES 152561 05-22-14 BUSZNESS CARD 177.20 --------------- Total for ACCOUNT 100-4-031200-601000 177.20 100-4-031200-601100 LTNIFORMS 152561 05-22-14 BUSZNESS CARD Total for ACCOUNT 100-4-031200-601100 100-4-031200-602100 COMPUTER SUPPLIES 152561 05-22-14 BUSINESS CARD Total for ACCOUNT 100-4-031200-602100 100-4-031200-603100 SVC COSTS-LABOR CHP.R 152635 OS-22-14 VINCENT SHORTER GARAGE 100-4-031200-603100 SVC COSTS-LABOR CHAR 152635 05-22-14 VINCENT SHORTER GARAGE 100-4-031200-603100 SVC COSTS-LABOR CHAR 152635 OS-22-14 VINCENT SHORTER GARAGE 100-4-031200-603100 SVC COSTS-LABOR CHAR 152635 05-22-14 VINCENT SHORTER GARAGE 100-4-031200-603100 SVC COSTS-LABOR CHAR 152611 OS-22-14 PERKINS TIRE & SERVICE CENTER INC. 100-4-031200-603100 SVC COSTS-LABOR CHAR 152595 OS-22-14 LOFTIS TIRE COMPANY 100-4-031200-603100 SVC COSTS-LABOR CHAR 152595 OS-22-14 LOFTIS TIRE COMPANY Total for ACCOUNT 100-4-031200-603100 117.00 --------------- 117.00 158.36 --------------- 158.36 16.00 16.00 16.00 24.00 20.00 99.95 24.00 --------------- 215.95 100-4-031200-604500 CANINE PROGRAM 152561 05-22-14 BUSINESS CARD 157.94 --------------- Total for ACCOUNT 100-4-031200-604500 157.94 --------------- Total for DEPARTMENT SHERIFF'S DEPARTME 8456.37 --------------- --------------- 100-4-031700-602200 CAMERA SUPPLIES 152561 OS-22-14 BUSZNESS CARD 115.81 Total for ACCOUNT 100-4-031700-602200 115.81 AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUNA7ARY 08:36:51 23 MAY 2014 PAGE 6 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUNffiER DATE VENDOR NAME ZNVOICE AMOUNT DATE --------------- Total for DEPARTMENT FIRE MARSHALL 115.81 --------------- --------------- 100-4-032200-511000 ELECTRICITY 152599 05-22-14 MECKLENBURG ELECTRIC C0. 193.05 --------------- Total for ACCOUNT 100-4-032200-511000 193.05 100-4-032200-523000 TELEPHONE 152631 OS-22-14 TUNSTALL FIRE & RESCUE 36.92 100-4-032200-523000 TELEPHONE 152619 OS-22-14 RINGGOLD RESCUE 33.55 --------------- Total for ACCOUNT 100-4-032200-523000 70.47 100-4-032200-566200 MATCHING CONTRIBUTIO 152592 05-22-14 KENTUCK VFD 1500.00 --------------- Total for ACCOUNT 100-4-032200-566200 1500.00 100-4-032200-566310 EMS SUPPLIES/TRANS/1 152619 OS-22-14 RINGGOLD RESCUE 349.81 100-4-032200-566310 EMS SUPPLIES/TRANS/1 152567 05-22-14 CONIDIONWEALTH HOME HEALTH CARE 6.00 100-4-032200-566310 EMS SUPPLIES/TRANS/1 152567 OS-22-14 CONRHONWEALTH HOME HEALTH CARE 21.00 100-4-032200-566310 EMS SUPPLIES/TRANS/1 152567 05-22-14 COhII+lONWEALTH HOME HEALTH CARE 9.00 100-4-032200-566310 EMS SUPPLIES/TRANS/1 152556 OS-22-14 AIRGAS USA LLC 154.76 --------------- Total for ACCOUNT 100-4-032200-566310 540.57 100-4-032200-600800 FUELS-VEHICLE 100-4-032200-600800 FUELS-VEHICLE 100-4-032200-600800 FUELS-VEHZCLE 100-4-032200-600800 FUELS-VEHICLE 152577 OS-22-14 EXXONMOBIL-BUSINESS CARD 152577 OS-22-14 EXXONMOBIL-BUSINESS CARD 152577 05-22-14 EXXONMOBIL-BUSSNESS CARD 152569 OS-22-14 COOL BRANCH VOL. FIRE DEPT. Total for ACCOUNT 100-4-032200-600800 225.37 233.32 115.85 127.32 --------------- 701.86 100-4-032200-810300 CONIMUNICATIONS EQUIP 152604 OS-22-14 MT CROSS VFD 4485.00 100-4-032200-810300 COMMUNICATIONS EQUIP 152592 OS-22-14 KENTUCK VFD 4485.00 — ------------- Total for ACCOUNT 100-4-032200-810300 8970.00 Total for DEPARTMENT VOLUNTEER FIRE & R 11975.95 --------------- --------------- AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUI�7P.RY 08:36:51 23 MAY 2014 PAGE 7 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 100-4-033100-331000 REPAIRS AND MAINT 152628 OS-22-14 TIGHTSQUEEZE HARDWARE 152628 OS-22-14 TIGHTSQUEEZE HARDWARE 152616 05-22-14 QUALITY CONTROL EXT. CO. INC. 152616 OS-22-14 QUALITY CONTROL EXT. C0. INC. 152582 OS-22-14 GOLDSTAR PRODUCTS INC. 152573 05-22-14 DIAMOND PAPER COMPANY 152562 05-22-14 CARDINAL LAUNDRY EQUIPMENT CO., IN 152561 05-22-14 BUSINESS CARD Total for ACCOUNT 100-4-033100-331000 100-4-033100-513000 WATER AND SEWER SERV 152603 OS-22-14 MOUNTAIN PARK SPRING WATER INC 100-4-033100-513000 WATER AND SEWER SERV 152603 OS-22-14 MOUNTAIN PARK SPRING WATER INC 100-4-033100-513000 WATER AND SEWER SERV 152584 OS-22-14 HANDY JOHN 100-4-033100-513000 WATER AND SEWER SERV 152584 OS-22-14 HANDY JOHN 100-4-033100-513000 WATER AND SEWER SERV 152565 OS-22-14 CHEMSEARCH 100-4-033100-513000 WATER AND SEWER SERV 152565 05-22-14 CHEMSEARCH Total for ACCOUNT 100-4-033100-513000 53.93 2.69 100.00 1272.83 1743.63 130.45 46.70 626.58 --------------- 3976.81 30.30 96.30 70.00 350.00 280.00 280.00 --------------- 1106.60 100-4-033100-554000 TRAINING AND EDUCATI 152633 05-22-14 UPTODATE 1218.00 100-4-033100-554000 TRAINING AND EDUCATI 152608 05-22-14 OLD DOMINION K-9 325.00 100-4-033100-554000 TRAINING AND EDUCATI 152561 05-22-14 BUSINESS CARD 654.49 --------------- Total for ACCOUNT 100-4-033100-554000 2197.49 100-4-033100-555000 EXTRADITION OF PRISO 152561 OS-22-14 BUSINESS CARD 28.17 --------------- Total for ACCOUNT 100-4-033100-555000 28.17 100-4-033100-600100 OFFICE SUPPLIES 152575 OS-22-14 DOCUSYSTEMS CO INC. 95.00 100-4-033100-600100 OFFZCE SUPPLIES 152575 05-22-14 DOCUSYSTEMS CO INC. 95.00 --------------- Total for ACCOUNT 100-4-033100-600100 190.00 100-4-033100-600200 FOOD SUPPLIES 152561 OS-22-14 BUSINESS CARD 39.42 Total for ACCOUNT 100-4-033100-600200 39.42 100-4-033100-600210 KITCHEN SUPPLIES 152561 05-22-14 BUSINESS CARD 26.85 AP3191 PITTSYLVANIA COUNTY MONTH-END DISSURSEMENTS SUNII+IARY 08:36:51 23 MAY 2014 PAGE 8 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLZES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600400 MEDICAL SUPPLIES 100-4-033100-600510 COPZER LEASE --------------- Total for ACCOUNT 100-4-033100-600210 26.85 152602 05-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDIC'ni, 152602 OS-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDICAL 152602 05-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDICAL 152602 OS-22-14 MOORE MEDICAL Total for ACCOUNT 100-4-033100-600400 21.75 85.83 17.09 44.07 17.09- 24.16 1072.77 41.67- 13.89- --------------- 1193.02 152571 OS-22-14 DE LAGE FZNANCIAL SERVICES 258.84 --------------- Total for ACCOUNT 100-4-033100-600510 258.84 100-4-033100-600700 BUILDING MAINTENANCE 152561 OS-22-14 BUSINESS CARD 46.12 --------------- Total for ACCOUNT 100-4-033100-600700 46.12 100-4-033100-601000 POLICE SUPPLIES 152601 05-22-14 MIKE SZELC 368.21 100-4-033100-601000 POLZCE SUPPLIES 152576 OS-22-14 DOMINION DOOR & HARDWARE 480.00 100-4-033100-601000 POLICE SUPPLIES 152561 05-22-14 BUSINESS CARD 755.95 --------------- Total for ACCOUNT 100-4-033100-601000 1604.16 100-4-033100-602600 PERSONAL SUPPLIES-IN 152561 OS-22-14 BUSINESS CARD 436.00 --------------- Total for ACCOUNT 100-4-033100-602600 436.00 --------------- Total for DEPARTMENT CORRECTIONS & DETE 11103.48 --------------- --------------- 100-4-035300-311000 PROFESSZONAL HEALTH 152630 05-22-14 TREASURER OF VIRGINIA Total for ACCOUNT 100-4-035300-311000 20.00 --------------- 20.00 --------- — ---- PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 9 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NONIDER DATE NENDOR NAME INVOICE AMOUNT DATE Total for DEPARTMENT MEDICAL EXAMINER 20.00 --------------- --------------- 100-4-035500-511000 ELECTRICITY 152599 OS-22-14 MECKLENSURG ELECTRIC C0. 283.75 100-4-035500-511000 ELECTRICITY 152599 05-22-14 MECKLENBURG ELECTRIC C0. 53.60 --------------- Total for ACCOUNT 100-4-035500-511000 337.35 100-4-035500-554000 TRAINING & EDUCATION 152593 05-22-14 LAKEITA M. COLEMAN 28.58 100-4-035500-554000 TRAINING & EDUCATION 152561 05-22-14 BUSINESS CARD 135.00 --------------- Total for ACCOUNT 100-4-035500-554000 163.58 100-4-035500-554100 CERT-TRAINING 152561 OS-22-14 BUSINESS CARD 313.82 ------------- — Total for ACCOUNT 100-4-035500-554100 313.82 100-4-035500-567900 LOCAL EMERGENCY PLAN 152561 05-22-14 BUSINESS CARD 283.67 --------------- Total for ACCOUNT 100-4-035500-567900 283.67 100-4-035500-583999 EMERGENCY CONTINGENC 152561 OS-22-14 BUSINESS CARD 20.00 --------------- Total for ACCOUNT 100-4-035500-583999 20.00 100-4-035500-602100 COMPUTER SUPPLIES 152623 OS-22-14 SOUTHERN COMPUTER WAREHOUSE 283.59 100-4-035500-602100 COMPUTER SUPPLIES 152561 05-22-14 BUSINESS CARD 121.13 --------------- Total for ACCOUNT 100-4-035500-602100 404.72 100-4-035500-810800 CAPITAL LEASES 152570 OS-22-14 CROWN CASTLE INTERNATIONAL 2249.83 --------------- Total for ACCOUNT 100-4-035500-810800 2249.83 --------------- Total for DEPARTMENT E911 TELEPHONE SYS 3772.97 --------------- --------------- 100-4-043100-331000 REPAIRS AND MAINT 152561 05-22-14 BUSINESS CARD 467.20 AP3191 PZTTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 10 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NL7MBER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-043100-360000 ADVERTISING 100-4-043100-370000 UNIFORMS 100-4-043100-511000 ELECTRICITY Total for ACCOUNT 100-4-043100-331000 152636 05-22-14 WOMACK PUBLISHING COMPANY, INC. Total for ACCOUNT 100-4-043100-360000 152566 OS-22-14 CZNTAS CORPORATION - #524 Total for ACCOUNT 100-4-043100-370000 152599 05-22-14 MECKLENBURG ELECTRIC CO. Total for ACCOUNT 100-4-043100-511000 100-4-043100-523000 TELEPHONE-CENTRAL SW 152634 OS-22-14 VERIZON Total for ACCOUNT 100-4-043100-523000 --------------- 467.20 169.60 --------------- 169.60 71.40 --------------- 71.40 18.21 --------------- 18.21 83.49 --------------- 83.49 100-4-043100-600500 JANITORIAL SUPPLIES 152573 05-22-14 DIAMOND PAPER COMPANY 5.26- 100-4-043100-600500 JANITORIAL SUPPLIES 152573 05-22-14 DIAMOND PAPER COMPANY 826.31 100-4-043100-600500 JANITORIAL SUPPLIES 152573 OS-22-14 DIAMOND PAPER COMPANY 338.00 ------- — ------ Total for ACCOUNT 100-4-043100-600500 1159.05 --------------- Total for DEPARTMENT BUILDING & GROUNDS 1968.95 --------------- --------------- 100-4-053500-360000 ADVERTISING 152636 OS-22-14 WOMACK PUBLISHZNG COMPANY, ZNC. 180.20 --------------- Total for ACCOUNT 100-4-053500-360000 180.20 --------------- Total for DEPARTMENT COMP POLICY MANAGE 180.20 --------------- -------------- 100-4-071100-601400 RECREATION RELATED S 152636 OS-22-14 WOMACK PUBLISHING COMPANY, INC. 190.80 100-4-071100-601400 RECREATION RELATED S 152612 OS-22-14 PIEDMONT PRINTING AND GRAPHICS 209.00 ---------- — --- Total for ACCOUNT 100-4-071100-601400 399.80 AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 11 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUI�IDER DATE VENDOR NAME ZNVOZCE AMOUNT DATE 100-4-071100-810200 CAPITAL OUTLAY-EQUIP 152589 OS-22-14 JAMES RIVER EQUIPMENT 189.00 --------------- Total for ACCOUNT 100-4-071100-810200 189.00 Total for DEPARTMENT RECREATIONAL DEPAR 588.80 --------------- --------------- 100-4-073100-317200 EMPLOYMENT CONT - JA 152624 05-22-14 SQUEAKY KLEAN JANITORIAL SERVICE 240.00 100-4-073100-317200 EMPLOYMENT CONT - JA 152624 OS-22-14 SQUEAKY KLEAN JANITORIAL SERVICE 175.00 --------------- Total for ACCOUNT 100-4-073100-317200 415.00 100-4-073100-511000 ELECTRICITY 152599 05-22-14 MECKLENBURG ELECTRIC CO. 566.19 --------------- Total for ACCOUNT 100-4-073100-511000 566.19 100-4-073100-521000 POSTAGE 152561 05-22-14 BUSINESS CARD 15.99 --------------- Total for ACCOUNT 100-4-073100-521000 15.99 100-4-073100-554000 TRAINZNG AND EDUCATI 152561 OS-22-14 BUSINESS CARD 260.00 --------------- Total for ACCOUNT 100-4-073100-554000 260.00 100-4-073100-600100 OFFICE SUPPLIES 152603 OS-22-14 MOUNTAIN PARK SPRING WATER INC 8.48 100-4-073100-600100 OFFICE SUPPLIES 152580 05-22-14 GECRB/AMAZON 7.48 --------------- Total for ACCOUNT 100-4-073100-600100 15.96 100-4-073100-600500 JANITORIAL SUPPLIES 152573 OS-22-14 DIAMOND PAPER COMPANY 111.16 100-4-073100-600500 JANITORIAL SUPPLIES 152573 05-22-14 DIAMOND PAPER COMPANY 164.72 --------------- Total for ACCOUNT 100-4-073100-600500 275.88 100-4-073100-600700 BUILDING MAINPENANCE 152628 05-22-14 TIGHTSQUEEZE HARDWARE 6.96 100-4-073100-600700 BUILDING MAINTENANCE 152596 OS-22-14 LOWE'S 441.27 100-4-073100-600700 SUILDING MAINTENANCE 152578 OS-22-14 FOUR SEASONS PEST CONTROL 22.00 AP3191 ---------------------------------- ---------------------------------- GENERAL LEDGER ACCOUNT ---------------------------------- ---------------------------------- PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 06:36:51 23 MAY 2014 PAGE 12 FOR MONTH ENDING: 5/22/14 ------------------------------------------------------------------------------------------- ------------------------------------------------------------------------------------------- CHECK CHECK VOID NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE ------------------------------------------------------------------------------------------- ------------------------------------------------------------------------------------------- 100-4-073100-600700 SUILDING MAINTENANCE 152561 05-22-14 BUSINESS CARD 42.21 --------------- Total for ACCOUNT 100-4-073100-600700 512.44 100-4-073100-600800 FUELS-�)EHICLE 152621 05-22-14 SAMUEL COLE 11.70 100-4-073100-600800 FUELS-VEHICLE 152605 OS-22-14 MYRNA HERNDON 43.68 Total for ACCOUNT 100-4-073100-600800 55.38 100-4-073100-601200 BOOKS AND SUBSCRIPTI 152583 OS-22-14 GREY HOUSE PUBLISHING 278.00 ----------- — -- Total for ACCOUNT 100-4-073100-601200 278.00 100-4-073100-602100 COMPUTER SUPPLZES 152596 05-22-14 LOWE'S 3.74 100-4-073100-602100 COMPUTER SUPPLIES 152561 OS-22-14 BUSINESS CARD 1884.14 --------------- Total for ACCOUNT 100-4-073100-602100 1887.88 100-4-073100-603000 SERVICE COSTS-PARTS 152574 OS-22-14 DIESEL ENGINE & EQUIPMENT REPAIR 128.91 --------------- Total for ACCOUNT 100-4-073100-603000 128.91 100-4-073100-603100 SERVICE COSTS-LASOR 152574 05-22-14 DIESEL ENGINE & EQUIPMENT REPAIR 100-4-073100-603100 SERVICE COSTS-LABOR 152574 OS-22-14 DIESEL ENGINE & EQUIPMENT REPAIR Total for ACCOUNT 100-4-073100-603100 Total for DEPARTMENT LIBRARY 100-4-081400-360000 ADVERTISING 152636 05-22-14 WOMACK PUBLISHING COMPANY, INC. Total for ACCOUNT 100-4-081400-360000 300.00 75.00 --------------- 375.00 --------------- 4786.63 --------------- --------------- 510.80 ------------- 510.80 100-4-081400-554000 TRAINING & EDUCATION 152561 05-22-14 BUSINESS CARD 365.00 ------------- Total for ACCOUNT 100-4-081400-554000 365.00 --------------- Total for DEPARTMENT ZONING 875.80 AP3191 PITTSYLVANIA COUNPY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 13 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NONIDER DATE VENDOR NAME INVOICE AMOUNT DATE 100-4-082500-550000 TRAVEL 152561 05-22-14 BUSINESS CARD 1378.36 --------------- Total for ACCOUNT 100-4-082500-550000 1378.36 --------------- Total for DEPARTMENT AGRICULTURAL ECONO 1378.36 --------------- --------------- 100-4-091200-584000 AWARDS AND CERTIFICA 152609 05-22-14 PAT WOODSON Total for ACCOUNT 100-4-091200-584000 Total for DEPARTMENT NON-DEPARTMENTAL Total for FUND 100 250-4-021900-521000 POSTAGE 250-4-021900-550000 TRAVEL EXPENSES 152615 05-22-14 PURCHASE POWER Total for ACCOUNT 250-4-021900-521000 152561 OS-22-14 BUSINESS CARD Total for ACCOUNT 250-4-021900-550000 250-4-021900-553000 SUSSISTENCE & LODGIN 152561 OS-22-14 BUSINESS CARD Total for ACCOUNT 250-4-021900-553000 250-4-021900-810200 FURNITURE & FIXTURES 152561 OS-22-14 BUSINESS CARD Total for ACCOUNT 250-4-021900-810200 Total for DEPARTMENT VICTIM WITNESS 250-4-032400-554000 TRAINING-FIRE FIGHTI 152620 OS-22-14 RIVERBEND VFD 75.50 --------------- 75.50 --------------- 75.50 --------------- --------------- 50428.96 --------------- --------------- 208.99 ----------- — -- 208.99 35.00 --------------- 35.00 356.70 356.70 231.65 --------------- 231.65 832.34 --------------- --------------- 755.00 --------------- AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 14 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUhffiER DATE VENDOR NAME INVOICE AMOUNT DATE Total for ACCOUNT 250-4-032400-554000 755.00 250-4-032400-810400 FIRE FIGHT EQUIP & S 152620 OS-22-14 RIVERBEND VFD 854.61 250-4-032400-810400 FIRE FIGHT EQUIP & S 152604 OS-22-14 MT CROSS VFD 6888.50 Total for ACCOUNT 250-4-032400-810400 7743.11 250-4-032400-810500 CAPZTAL OLTPLAY-FIRE 152620 OS-22-14 RIVERBEND VFD 685.00 250-4-032400-810500 CAPITAL OUTLAY-FIRE 152618 OS-22-14 RINGGOLD FIRE & RESCUE 8451.62 250-4-032400-810500 CAPITAL OUTLAY-FIRE 152604 05-22-14 MT CROSS VFD 553.62 ----------- — — Total for ACCOUNT 250-4-032400-810500 9690.24 250-4-032400-810600 PERSONAL (FIRE) PROT 152620 05-22-14 RIVERBEND VFD 1157.01 250-4-032400-810600 PERSONAL (FIRE) PROT 152604 05-22-14 MT CROSS VFD 1871.63 ------------ Total for ACCOUNT 250-4-032400-810600 3028.64 Total for DEPARTMENT VA FIRE PROGRAM GR 21216.99 --------------- --------------- 250-4-073300-600100 OFFICE SUPPLZES 152580 05-22-14 GECRS/AMAZON 62.88- --------------- Total fOr ACCOUNT 250-4-073300-600100 62.88- 250-4-073300-600300 FURNITURE & FIXTURES 152561 05-22-14 BUSINESS CARD 947.69 ------------ Total for ACCOUNT 250-4-073300-600300 947.69 250-4-073300-601200 BOOKS AND SUBSCRIPTI 152600 OS-22-14 MIDWEST TAPE 250-4-073300-601200 SOOKS AND SUBSCRIPTI 152587 OS-22-14 INGRAM 250-4-073300-601200 BOOKS AND SUBSCRIPTI 152587 05-22-14 INGRAM 250-4-073300-601200 BOOKS AND SUBSCRIPTS 152580 05-22-14 GECRB/AMAZON 250-4-073300-601200 BOOKS AND SUBSCRIPTI 152564 05-22-14 CENTER POINT LARGE PRINT 250-4-073300-601200 BOOKS AND SUBSCRIPTI 152558 OS-22-14 BAKER & TAYLOR Total for ACCOUNT 250-4-073300-601200 1104.12 28.48 47.15 19.30 1064.16 2760.08 -- — ----------- 5023.29 250-4-073300-602100 COMPUTER SUPPLZES 152561 OS-22-14 BUSINESS CARD 133.48 PITTSYLVANIA COUNTY AP3191 MONTH-END DISBURSEMENTS SUMMP.RY 08:36:51 23 MAY 2014 PAGE 15 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUI�IDER DATE VENDOR NAME INVOICE AMOUNT DATE ------------- Total for ACCOUNT 250-4-073300-602100 133.48 --------------- Total for DEPARTMENT STATE LIBRARY GRAN 6041.58 --------------- --------------- 250-4-082600-550000 TRAVEL EXPENSES 152594 05-22-14 LINDA R. MILLS 33.60 --------------- Total for ACCOUNT 250-4-082600-550000 33.60 --------------- Total for DEPARTMENT LITTER CONTROL GRA 33.60 --------------- --------------- Total for FUND 250 28124.51 -------------- -------------- 251-4-353160-316000 CONSULTANTS - OTHER 152597 05-22-14 MALLARD & MALLARD CPAS LLC 3600.00 --------------- Total for ACCOUNT 251-4-353160-316000 3600.00 ---------- — --- Total for DEPARTMENT WIA ADMINISTRATIVE 3600.00 --------------- --------------- 251-4-353851-571400 OTHER PURCHASED SERV 152598 05-22-14 MARTINSVILLE HENRY COUNTY CHAMBER 2669.41 --------------- Total for ACCOUNT 251-4-353851-571400 2669.41 251-4-353851-571600 OTHER PURCHASED SERV 152610 05-22-14 PATRICK COUNTY PUBLIC SCHOOLS 5267.40 ---- — --------- Total for ACCOUNT 251-4-353851-571600 5267.40 251-4-353851-601400 OTHER OPERATING ACTI 152598 OS-22-14 MARTINSVILLE HENRY COUNTY CHAMBER 229.10 ------------ Total for ACCOUNT 251-4-353851-601400 229.10 --------------- Total for DEPARTMENT WIA DISLOCATED WOR 8165.91 --------------- --------------- 251-4-353853-571400 OTHER PURCHASED SERV 152598 OS-22-14 MARTINSVILLE HENRY COUNTY CFiAMBER 1942.08 --------------- Total for ACCOUNT 251-4-353853-571400 1942.08 AP3191 PITTSYLVANIA COUNPY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 16 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOSJNT NUMBER DATE VENDOR NAME INVOICE AMOUNT DATE 251-4-353853-571600 OTHER PURCHASED SERV 152610 05-22-14 PATRICK COUNTY PUBLIC SCHOOLS Total for ACCOUNT 251-4-353853-571600 251-4-353853-601400 OTHER OPERATING ACTI 152598 05-22-14 MARTINSVILLE HENRY COUNTY CHANIDER Total for ACCOUNT 251-4-353853-601400 Total for DEPARTMENT WIA ADULT PROGRAM 4026.54 --------------- 4026.54 229.10 229.10 --------------- 6197.72 --------------- -------------- 251-4-353856-601400 OTHER OPERATING ACTI 152557 05-22-14 AMERISTAFF INC. 368.37 --------------- Total for ACCOUNT 251-4-353856-601400 368.37 Total for DEPARTMENT WIA YOUTH: IN SCHO 368.37 --------------- --------------- 251-4-353870-601400 UNOBLZGATED 152626 OS-22-14 THE LAUNCH PLACE 2500.00 --------------- Total for ACCOUNT 251-4-353870-601400 2500.00 Total for DEPARTMENT RAPID RESPONSE-DIS 2500.00 --------------- --------------- Total for FUND 251 20832.00 --------------- --------------- 260-4-021800-601200 BOOKS AND SUBSCRIPTZ 152627 05-22-14 THOMSON REUTERS-WEST 260-4-021800-601200 BOOKS AND SUBSCRIPTI 152627 OS-22-14 THOMSON REUTERS-WEST 260-4-021800-601200 BOOKS AND SUBSCRIPTI 152627 OS-22-14 THOMSON REUTERS-WEST Total for ACCOUNT 260-4-021800-601200 Total for DEPARTMENT LAW LIBRARY Total for FUND 260 1002.20 1002.20 1002.20 --------------- 3006.60 --------------- 3006.60 ------ ° °----- --------------- 3006.60 --------------- -------------- 265-4-073310-601200 MEMORIAL BOOKS EXPEN 152580 OS-22-14 GECRB/AMAZON 285.39 AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUhID7ARY 08:36:51 23 MAY 2014 PAGE 17 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUPQBER DATE VENDOR NAME INVOICE AMOUNT DATE 265-4-073310-601200 MEMORZAL SOOKS EXPEN 152561 OS-22-14 BUSINESS CARD 574.51 ------------- Total for ACCOUNT 265-4-073310-601200 859.90 --------------- Total for DEPARTMENT MEMORIALS AND GIFT 859.90 --------------- --------------- Total for FUND 265 859.90 --------------- --------------- 311-4-033400-586100 ADULT BASIC EDUCATIO 152579 05-22-14 FRANKLIN COUNTY HIGH SCHOOL 126.00 --------------- Total for ACCOUNT 311-4-033400-586100 126.00 --------------- Total for DEPARTMENT JAIL INMATE MANAGE 126.00 --------------- --------------- Total for FUND 311 126.00 --------------- --------------- 520-4-042300-370000 UNIFORM RENTALS 152566 05-22-14 CINTAS CORPORATION -#524 Total for ACCOUNT 520-4-042300-370000 520-4-042300-603400 DRIVE TRAIN REPAIRS 152613 OS-22-14 PIEDMONT TRUCK CENTER Total for ACCOUNT 520-4-042300-603400 520-4-042300-603900 TIRES 152595 OS-22-14 LOFTZS TIRE COMPANY Total for ACCOUNT 520-4-042300-603900 98.71 --------------- 98.71 723.63 --------------- 723.63 2913.68 --------------- 2913.68 520-4-042300-604600 TOOLS EXPENSE-COUNTY 152622 05-22-14 SNAP-ON-TOOLS 83.00 520-4-042300-604600 TOOLS EXPENSE-COUNTY 152561 OS-22-14 BUSINESS CARD 52.64 --------------- Total for ACCOUNT 520-4-042300-604600 135.64 ------------- Total for DEPARTMENT SOLID WASTE COLLEC 3871.66 --------------- --------------- 520-4-042400-331000 REPAIRS AND MAINT 152617 OS-22-14 REY CHEM CO. INC 824.90 --------------- AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 18 FOR MONTH ENDING: 5/22/14 ----------------------------------------------------------------------------------------------------------------------------------- ----------------------------------------------------------------------------------------------------------------------------------- CHECK CHECK VOID GENERAL LEDGER ACCOUNT NUhIDER DATE VENDOR NAME INVOICE AMOUNT DATE ---------------------------------------------------------------------------------------------------------------------------------- ----------------------------------------------------------------------------------------------------------------------------------- Total for ACCOUNT 520-4-042400-331000 824.90 520-4-042400-370000 UNIFORM RENTALS 152566 OS-22-14 CINTAS CORPORATION -#524 98.70 Total for ACCOUNT 520-4-042400-370000 98.70 520-4-042400-580000 MISCELLANEOUS 152622 OS-22-14 SNAP-ON-TOOLS 269.95 520-4-042400-580000 MISCELLANEOUS 152561 05-22-14 BUSINESS CARD 115.81 Total for ACCOUNT 520-4-042400-580000 385.76 520-4-042400-600700 BUILDING MAINT SUPPL 152585 OS-22-14 HODNETT SEPTIC TANK CLEANING 350.00 520-4-042400-600700 BUILDING MAINT SUPPL 152566 OS-22-14 CINTAS CORPORATION -#524 189.99 ------------- — Total for ACCOUNT 520-4-042400-600700 539.99 520-4-042400-603800 HYDRAULZC PARTS AND 152563 OS-22-14 CARTER MACHINERY C0. INC. 210.22 --------------- Total for ACCOUNT 520-4-042400-603800 210.22 --------------- Total for DEPARTMENT SOLID WASTE DISPOS 2059.57 --------------- --------------- 520-4-094110-813300 COMPACTOR SITE IMPRO 152561 05-22-14 BUSINESS CARD 560.91 520-4-094120-813900 LANDFILL CLOSURE 520-4-094120-613900 LANDFILL CLOSURE 520-4-094120-813900 LANDFILL CLOSURE 520-4-094120-613900 LANDFILL CLOSURE 520-4-094120-813900 LANDFILL CLOSURE 520-4-094120-813900 LANDFILL CLOSURE 520-4-094120-813900 LANDFILL CLOSURE --------- — ---- Total for ACCOUNT 520-4-094110-813300 560.91 Total for DEPARTMENT SOLID WASTE - CAPI 560.91 --------------- --------------- 152588 05-22-14 J&J EQUIPMENT RENTALS INC. 152588 05-22-14 J&J EQUIPMENT RENTALS INC. 152588 OS-22-14 J&J EQUIPMENT RENTALS INC. 152588 OS-22-14 J&J EQUIPMENT RENTALS INC. 152588 05-22-14 J&J EQUIPMENT RENTALS INC. 152588 05-22-14 J&J EQUIPMENT RENTALS INC. 152588 05-22-14 J&J EQUIPMENT RENTALS INC. Total for ACCOUNT 520-4-094120-813900 1060.00 300.00 600.00 600.00 600.00 600.00 1200.00 --------------- 4960.00 ----- — -------- AP3191 PITTSYLVANIA COUNTY MONTH-END DISBURSEMENTS SUMMARY 08:36:51 23 MAY 2014 PAGE 19 FOR MONTH ENDING: 5/22/14 CHECK CHECK VOID GENERAL LEDGER ACCOUNP NiIMBER DATE VENDOR NAME INVOICE AMOUNT DATE 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFZCE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLZES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES 604-4-012530-600100 OFFICE SUPPLIES Total for DEPARTMENT LANDFILL - CAPITAL Total for FUND 520 152625 05-22-14 STAPLES ADVANTAGE 152625 05-22-14 STAPLES ADVANTAGE 152607 05-22-14 OFFZCE PLUS 152606 05-22-14 OFFICE DEPOT 152606 OS-22-14 OFFICE DEPOT 152606 OS-22-14 OFFICE DEPOT 152606 OS-22-14 OFFICE DEPOT 152586 OS-22-14 INDEPENDENT STATIONERS INC 152586 05-22-14 INDEPENDENT STATIONERS INC 152575 OS-22-14 DOCUSYSTEMS CO INC. 152575 05-22-14 DOCUSYSTEMS CO ZNC. 152575 OS-22-14 DOCUSYSTEMS CO INC. 152561 OS-22-14 BUSINESS CARD 152561 OS-22-14 BUSINESS CARD 152559 05-22-14 BASSETT OF 883458-0 Total for ACCOUNT 604-4-012530-600100 Total for DEPARTMENT CENTRAL PURCHASING Total for FUND 604 Grand total for ALL FUNDS 4960.00 --------------- --------------- 11452.14 --------------- --------------- 212.65 13.69 176.34 300.27 600.78 201.59 9.35 66.46 30.98 519.38 200.33 98.60 2998.64 39.97 59.90 --------------- 5528.93 --------------- 5528.93 --------------- --------------- 5528.93 --------------- --------------- 120359.04 --------------- ---------------