City Council Packet 2020 04-14-20
AGENDA
CITY COUNCIL MEETING
Tuesday, April 14, 2020
7:00 p.m.
City Hall Council Chambers
800 Game Farm Road, Yorkville, IL
Call to Order:
Pledge of Allegiance:
Roll Call by Clerk: WARD I WARD II WARD III WARD IV
Ken Koch Jackie Milschewski Chris Funkhouser Seaver Tarulis
Dan Transier Arden Joe Plocher Joel Frieders Jason Peterson
Establishment of Quorum:
Amendments to Agenda:
Presentations:
Public Hearings:
1. Gas N Wash – Proposed Special Service Area 2020-1
Citizen Comments on Agenda Items:
Consent Agenda:
Minutes for Approval:
1. Minutes of the Regular City Council – March 10, 2020
2. Minutes of the Regular City Council – March 24, 2020
Bill Payments for Approval from the Current Bill List:
Payments total these amounts:
$ 519,061.26 (vendors)
$ 604,544.08 (payroll period ending 3/20/20 and 4/3/20)
$ 1,123,605.34 (total)
Mayor’s Report:
1. CC 2020-16 2019 Year End Report
2. CC 2020-17 Ordinance Granting Emergency Powers to the Mayor of the United City of Yorkville
3. CC 2020-18 Resolution Authorizing the Disposal of Personal Property Owned by the City (City Owned
Police Vehicles)
United City of Yorkville
800 Game Farm Road
Yorkville, Illinois 60560
Telephone: 630-553-4350
www.yorkville.il.us
City Council Agenda
April 14, 2020
Page 2
Public Works Committee Report:
1. PW 2020-19 Public Works Facility
Economic Development Committee Report:
Public Safety Committee Report:
Administration Committee Report:
Please note: Items placed on this section of the agenda are due to the cancellation of the April 15th
Administration Committee meeting.
1. CC 2020-19 Budget Report for February and March 2020
2. CC 2020-20 Treasurer’s Report for March 2020
3. CC 2020-21 Cash Statement for January and February 2020
Park Board:
Planning and Zoning Commission:
City Council Report:
City Clerk’s Report:
Community and Liaison Report:
Staff Report:
Mayor’s Report (cont’d):
4. CC 2020-22 Ordinance Approving the 2020-2021 Fiscal Budget
Additional Business:
Citizen Comments:
Executive Session:
Adjournment:
COMMITTEES, MEMBERS AND RESPONSIBILITIES
ADMINISTRATION: May 20, 2020 – 6:00 p.m. – City Hall Conference Room
Committee Departments Liaisons
Chairman: Alderman Funkhouser Finance Library
Vice-Chairman: Alderman Transier Administration
Committee: Alderman Plocher
Committee: Alderman Peterson
City Council Agenda
April 14, 2020
Page 3
COMMITTEES, MEMBERS AND RESPONSIBILITIES cont’d:
ECONOMIC DEVELOPMENT: May 5, 2020 – 6:00 p.m. – City Hall Conference Room
Committee Departments Liaisons
Chairman: Alderman Milschewski Community Development Planning & Zoning Commission
Vice-Chairman: Alderman Peterson Building Safety & Zoning Kendall Co. Plan Commission
Committee: Alderman Koch
Committee: Alderman Frieders
PUBLIC SAFETY: May 7, 2020 – 6:00 p.m. – City Hall Conference Room
Committee Departments Liaisons
Chairman: Alderman Tarulis Police School District
Vice-Chairman: Alderman Frieders
Committee: Alderman Milschewski
Committee: Alderman Transier
PUBLIC WORKS: April 21, 2020 – 6:00 p.m. – City Hall Conference Room
Committee Departments Liaisons
Chairman: Alderman Plocher Public Works Park Board
Vice-Chairman: Alderman Koch Engineering YBSD
Committee: Alderman Funkhouser Parks and Recreation
Committee: Alderman Tarulis
UNITED CITY OF YORKVILLE
WORKSHEET
CITY COUNCIL
Tuesday, April 14, 2020
7:00 PM
CITY COUNCIL CHAMBERS
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AMENDMENTS TO AGENDA:
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PUBLIC HEARINGS:
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1. Gas N Wash – Proposed Special Service Area 2020-1
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CITIZEN COMMENTS ON AGENDA ITEMS:
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MINUTES FOR APPROVAL:
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1. Minutes of the Regular City Council – March 10, 2020
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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2. Minutes of the Regular City Council – March 24, 2020
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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BILLS FOR PAYMENT:
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□ Approved ________
□ As presented
□ As amended
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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MAYOR’S REPORT:
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1. CC 2020-16 2019 Year End Report
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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2. CC 2020-17 Ordinance Granting Emergency Powers to the Mayor of the United City of Yorkville
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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3. CC 2020-18 Resolution Authorizing the Disposal of Personal Property Owned by the City (City Owned
Police Vehicles)
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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PUBLIC WORKS COMMITTEE REPORT:
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1. PW 2020-19 Public Works Facility
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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ADMINISTRATION COMMITTEE REPORT:
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1. CC 2020-19 Budget Report for February and March 2020
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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2. CC 2020-20 Treasurer’s Report for March 2020
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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3. CC 2020-21 Cash Statement for January and February 2020
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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MAYOR’S REPORT (CONT’D):
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4. CC 2020-22 Ordinance Approving the 2020-2021 Fiscal Budget
□ Approved: Y ______ N ______ □ Subject to __________________________________________
□ Removed ________________________________________________________________________
□ Notes _____________________________________________________________________________
_____________________________________________________________________________________
_____________________________________________________________________________________
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ADDITIONAL BUSINESS:
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CITIZEN COMMENTS:
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
See attached memo.
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Agenda Item Number
Public Hearing #1
Tracking Number
Gas N Wash (Waterpark Way) – Proposed Dormant SSA
City Council – April 14, 2020
CC 03-24-20
Moved forward to CC public hearing.
PW 2020-21
Public Hearing for proposed dormant Special Service Area for Gas N Wash on
Waterpark Way
Jason Engberg, AICP Community Development
Name Department
Project Summary
Lenny’s Gas N Wash is constructing a gas station with convenience store and accessory
car wash at the northeast corner of State Route 47 (Bridge Street) and Waterpark Way commonly
known as 4100 North Bridge Street. The Gas N Wash will be a full-service gas station for
personal vehicles and semi-trucks with two (2) potential fast food establishments within the
convenience store. The approximately 5-acre property has been subdivided from the original 72-
acre O’Keefe Property which was annexed in 2006.
Per Article 6. Long Term Maintenance of the approved Stormwater Ordinance, a
condition of approval for any new storm water management facility is the establishment of a
long-term funding source in the form of a dormant (back-up) Special Service Area should the
entity having primary responsibility of the property fail to adequately maintain the facility. In
this regard, the property owner was required to grant an easement for the City’s perpetual access
to the storm water basin should future maintenance by the City be required. This request is to
establish the mechanism in which the City would have to charge the property owner for
maintenance undertaken by the City should they fail to maintain the basin.
Proposed Dormant Special Service Area
As mentioned above, the attached draft ordinance for dormant Special Service Area
(SSA) prepared by the City Attorney establishes a backup mechanism for payment for future and
continued maintenance, repair and reconstruction of the storm water basin in the event the
property owner fails to do so. The proposed Special Service Area will consist only of the subject
property and shall cover costs related to:
(1) the cleaning and dredging of the storm water detention and retention ponds and
basins, drainage swales and ditches;
(2) the maintenance and care, including erosion control of the property surrounding such
detention and retention ponds and basins, drainage swales and ditches;
(3) the maintenance, repair and replacement of storm sewers, drain tile, pipes and other
conduit, and appurtenant structures; and
(4) the administrative costs incurred by the City in connection with the above in the event
the Owners or their association, if any, fail to satisfactorily undertake the aforesaid ongoing
maintenance, repair and reconstruction in compliance with the ordinances of the City and the
Yorkville City Code.
Should the property owner fail to maintain the basin, the subject property will be levied a
tax not to exceed $1.10 for every $100.00 of equalized assessed value of the property to be
collected via real estate taxes.
Memorandum
To: Public Works Committee
From: Jason Engberg, Senior Planner
CC: Bart Olson, City Administrator
Krysti J. Barksdale-Noble, Community Development Director
Brad Sanderson, EEI, City Engineer
Date: March 10, 2020
Subject: Lenny’s Gas N Wash (Waterpark Way) – 4100 N Bridge St
Proposing Ordinance - Proposed Dormant SSA
Staff Comments/Recommendation
The next step in the process is for the City Council to consider the attached ordinance
proposing the Special Service Area (SSA). This is tentatively scheduled for the March 24, 2020
City Council meeting. A public hearing notice will then be published in the March 27, 2020
edition of the Beacon Newspaper, and a public hearing will be conducted by the City Council on
April 14, 2020. After the required 60-day waiting period at the close of the public hearing, the
City Council will make a final determination on the proposed SSA at the June 23, 2020 meeting.
The property owner has been notified of the proposed process and public hearing before
the City Council for the consideration of the establishment of the dormant Special Service Area.
Staff is recommending approval of the proposed backup funding mechanism as it is a
requirement of the current Stormwater Ordinance. Staff will be available to answer any questions
at Tuesday night’s meeting.
Attachments:
1. Public Hearing Notice
2. Draft Ordinance Establishing Dormant SSA Public Hearing
3. Draft Ordinance Establishing Dormant SSA
Notice of Hearing
United City of Yorkville, Illinois
Special Service Area Number 2020-1
Notice is Hereby Given that on April 14, 2020, at 7:00 p.m. in the City Hall building at
800 Game Farm Road, Yorkville, Illinois, a hearing will be held by the United City of
Yorkville (the “City”) to consider forming a special service area to be called Special
Service Area 2020-1 consisting of the following described real property legally described
as:
THAT PART OF THE WEST HALF OF SECTION 9, TOWNSHIP 37 NORTH,
RANGE 7 EAST OF THE THIRD PRINCIPAL MERIDIAN, IN KENDALL COUNTY,
ILLINOIS, DESCRIBED AS FOLLOWS: BEGINNING AT THE NORTHWEST
CORNER OF LOT 3 IN O’KEEFE SUBDIVISION UNIT ONE, RECORDED AS
DOCUMENT 200800012915, THENCE NORTH 87 DEGREES 00 MINUTES 59
SECONDS EAST ALONG THE NORTH LINE OF SAID LOT 3 55.01 FEET;
THENCE SOUTH 47 DEGREES 30 MINUTES 51 SECONDS EAST ALONG THE
NORTH LINE OF SAID LOT 3 70.14 FEET TO THE NORTH RIGHT OF WAY OF
ROSEWINKEL STREET; THENCE NORTH 87 DEGREES 00 MINUTES 59
SECONDS EAST ALONG SAID RIGHT OF WAY 108.35 FEET TO A CURVE,
CONCAVE TO THE NORTHWEST, HAVING A RADIUS OF 315.00 FEET, A
CHORD OF 285.32 FEET AND A CHORD BEARING OF NORTH 60 DEGREES 05
MINUTES 15 SECONDS EAST; THENCE ALONG SAID CURVE AND SAID RIGHT
OF WAY 296.10 FEET TO A CURVE, CONCAVE TO THE SOUTHEAST, HAVING
A RADIUS OF 385.00 FEET, A CHORD OF 82.31 FEET, AND A CHORD BEARING
OF NORTH 39 DEGREES 17 MINUTES 42 SECONDS EAST; THENCE ALONG
SAID CURVE AND SAID RIGHT OF WAY 82.47 FEET; THENCE NORTH 02
DEGREES 02 MINUTES 41 SECONDS WEST 324.93 FEET; THENCE SOUTH 87
DEGREES 00 MINUTES 59 SECONDS WEST 520.01 FEET TO THE WEST RIGHT
OF WAY OF ROUTE 47; THENCE SOUTH 02 DEGREES 02 MINUTES 41
SECONDS EAST ALONG SAID RIGHT OF WAY 465.06 FEET TO THE POINT OF
BEGINNING.
Permanent Tax Index Number: 02-09-100-003
Lot Number: 1
Common Address: 4100 North Bridge Street, Illinois 60560
The approximate location is the northeast corner of State Route 47 (Bridge Street)
and Waterpark Way.
The general purpose of the formation of the Special Service Area 2020-1 is to provide
special governmental services serving the Special Service Area that may include:
(1) the cleaning and dredging of storm water detention and retention
ponds and basins, drainage swales and ditches;
(2) the maintenance and care, including erosion control of the property
surrounding such detention and retention ponds and basins, drainage
swales and ditches;
(3) the maintenance, repair and replacement of storm sewers, drain tile,
pipes and other conduit, and appurtenant structures;
(4) the administrative costs incurred by the City in connection with the
above (collectively, the “Services”) within the Special Service Area.
All interested persons, including all persons owing taxable real property located within
Special Service Number 2020-1 will be given an opportunity to be heard and file written
objections regarding the formation of and the boundaries of the Special Service Area and
may object to the formation of the area and the levy of taxes affecting said area.
It is proposed that to pay for such Services the City shall levy an annual tax not to exceed
$1.10 for every $100.00 of equalized assessed value of the property in the Special Service
Area to pay the annual cost of providing such Services. The proposed amount of the tax
levy for the initial year for which taxes will be levied within the special service area will
not exceed $1.10 for every $100.00 of equalized assessed value. No City Special Service
Area bonds will be issued.
At the hearing, all interested persons affected by the formation of such Special Service
Area, including all persons owning taxable real estate therein, will be given an
opportunity to be heard. The hearing may be adjourned by the Mayor and City Council
without notice other than a motion to be entered upon the minutes of its meeting fixing
the time and place of its adjournment.
If a petition signed by at least 51% of the electors residing within the Special Service
Area and by at least 51% of the owners of record of the land included within the
boundaries of the Special Service Area is filed with the City Clerk within sixty (60) days
following the final adjournment of the public hearing objecting to the creation of the
Special Service Area or the levy of an annual tax in the area, no such area may be
created, or no such levy may be made within the next two years.
Dated this 27th day of March 2020.
Lisa Pickering
City Clerk
Ordinance No. 2020-____
Page 1
Ordinance No. 2020-___
AN ORDINANCE PROPOSING THE ESTABLISHMENT OF
SPECIAL SERVICE AREA NUMBER 2020-1
IN THE UNITED CITY OF YORKVILLE, KENDALL COUNTY, ILLINOIS
AND PROVIDING FOR OTHER PROCEDURES IN CONNECTION THEREWITH
(Lot #1 – 4100 North Bridge Street)
BE IT ORDAINED, by the Mayor and City Council of the United City of Yorkville,
Kendall County, Illinois, as follows:
Section 1: Authority. The United City of Yorkville, Kendall County, Illinois (the “City”)
is a duly organized and validly existing non home-rule municipality authorized pursuant to Article
VII, Section 7(6) of the Constitution of the State of Illinois, and pursuant to the provisions of the
Illinois Special Service Area Tax Law, 35 ILCS 200/27-5 et seq. (the “Tax Law”), to levy taxes in
order to pay for the provision of special services to areas within the boundaries of the City.
Section 2: Findings. The Mayor and City Council of the City finds as follows:
A. That the owner of record (the “Owner”) of the real property legally described in Exhibit
A, attached hereto and made a part hereof (the “Subject Territory”), has developed the
Subject Territory and there must be a backup mechanism for payment of any and all
costs of continued maintenance, repair and reconstruction of all storm water detention
and retention within the Subject Territory, all as hereinafter described; and,
B. That it is in the public interest that the Mayor and City Council of the City consider the
creation of a special service area for the Subject Territory; and,
C. That the proposed special service area is a single lot; and,
D. The municipal services to be provided in the event the special service area is established
are in addition to the municipal service provided to the City as a whole and the proposed
special service area will benefit from the special municipal services to be provided.
Section 3: Proposal. The City agrees to proceed to consider the establishment of a special
service area for the Subject Territory as Special Service Area 2020-1 for the purpose of payment
of the costs of the maintenance of all storm water detention and retention. In the event the Owner
has failed to do so, including (1) the cleaning and dredging of storm water detention and retention
ponds and basins, drainage swales and ditches; (2) the maintenance and care, including erosion
control of the property surrounding such detention and retention ponds and basins, drainage swales
and ditches; (3) the maintenance, repair and replacement of storm sewers, drain tile, pipes and
other conduit, and appurtenant structures; and (4) the administrative costs incurred by the City in
connection with the above (collectively the “Services”) within the Special Service Area in the
event the Owner of the Subject Territory fails to satisfactorily undertake the aforesaid ongoing
maintenance, repair and replacement in compliance with the ordinances of the City and the
Yorkville City Code.
Section 4: Public Hearing. A public hearing shall be held on April 14, 2020 at 7:00 p.m.
at the City municipal building at 800 Game Farm Road, Yorkville, Illinois, to consider the creation
of the United City of Yorkville Special Service Area Number 2020-1 in the Subject Territory.
Ordinance No. 2020-____
Page 2
At the hearing, the following method of payment of the special City services to be provided
within the proposed special service area will be considered: the levy of a tax by the City on each
parcel of property in the proposed special service area, sufficient to produce revenues to provide
special municipal services to the proposed special service area; the proposed rate of taxes for the
initial year shall not exceed $1.10 for every $100.00 of equalized assessed value and the maximum
rate of such taxes to be extended in any year within the proposed special service area shall not
exceed $ 1.10 for every $100.00 of equalized assessed value.
Section 5: Notice of Public Hearing. Notice of hearing shall be published at least once
not less than fifteen (15) days prior to the public hearing specified in Section 5 above, in a
newspaper of general circulation in the City. In addition, notice shall be given by depositing the
notice in the United States mail addressed to the person or persons in whose name the general taxes
for the last preceding year were paid on said the Subject Territory. This notice shall be mailed not
less than ten (10) days prior to the time set for the public hearing. In the event taxes for the last
preceding year were not paid, the notice shall be sent to the person last listed on the tax rolls prior
to that year as the taxpayer of record. The notice shall be in substantially the form set forth in
Exhibit B attached hereto and made a part of this Ordinance.
Section 6: Effective Date. This Ordinance shall be in full force and effect from and after
its passage and approval in the manner provided by law.
Passed by the City Council of the United City of Yorkville, Kendall County, Illinois this
_____ day of ____________________, 2020.
__________________________________
Mayor
KEN KOCH ________ DAN TRANSIER ________
JACKIE MILSCHEWSKI ________ ARDEN JOE PLOCHER ________
CHRIS FUNKHOUSER ________ JOEL FRIEDERS ________
SEAVER TARULIS ________ JASON PETERSON ________
Approved by me, as Mayor of the United City of Yorkville, Kendall County, Illinois, this
_____ day of ____________________, 2020.
___________________________________
City Clerk
Ordinance No. 2020-____
Page 1
Ordinance No. 2020-_____
AN ORDINANCE ESTABLISHING SPECIAL SERVICE AREA NUMBER 2020-1
IN THE UNITED CITY OF YORKVILLE, KENDALL COUNTY, ILLINOIS
(Lot #1 – 4100 North Bridge Street)
WHEREAS, the United City of Yorkville, Kendall County, Illinois (the “City”) is
a duly organized and validly existing non home-rule municipality authorized pursuant to
Article VII of the Constitution of the State of Illinois; and,
WHEREAS, pursuant to the provisions of Section 7(6) of Article VII of the 1970
Constitution of the State of Illinois, the City is authorized to create special service areas in
and for the City that are further established “in the manner provided by law;” and,
WHEREAS, pursuant to the provisions of the Illinois Special Service Area Tax
Law, (35 ILCS 200/27-5 et seq.) and the Property Tax Code (35 ILCS 200/1-1 et seq.) the
City may establish special service areas to levy taxes in order to pay for the provision of
special services to areas within the boundaries of the City; and,
WHEREAS, the owner of record (the “Owner”) of the real property hereinafter
described (the “Subject Territory”) that has been developed with gas station, accessory car
and convenience store that by City ordinance must provide for a backup mechanism for
payment of any and all costs of continued maintenance, repair and reconstruction of the
storm water detention area serving the Subject Territory; and,
WHEREAS, it is in the public interest that a special service area be established for
the Subject Territory for the purposes set forth herein and to be known as Special Service
Area 2020-1.
NOW, THEREFORE, BE IT ORDAINED by the Mayor and City Council of the
United City of Yorkville, Kendall County, Illinois, as follows:
Section 1: Establishment. That it is in the public interest that Special Service Area
2020-1 is hereby established as a special service area for the purposes set forth herein and
consisting of the Subject Territory that is legally described and that contains the Property
Index Number as stated in Exhibit A, attached hereto and made a part hereof by this
reference.
Section 2: Area. That said Subject Territory area is a single lot and is totally within
the corporate limits of the City and an accurate map of the property within Special Service
Area 2020-1 is attached hereto and made a part hereof as Exhibit B.
Section 3: Purpose. That said Subject Territory will benefit specifically from the
municipal services to be provided and that such services are in addition to those municipal
services provided to the City as a whole, and unique and in the best interests of Special
Service Area 2020-1. The City’s levy of special taxes against said Subject Territory shall
Ordinance No. 2020-____
Page 2
be to provide a backup mechanism for payment of any and all costs of continued
maintenance, repair and reconstruction of the storm water systems in the event that the
Owner has failed to do so. The special governmental services for the Special Service Area
may include:
(1) the cleaning and dredging of storm water detention and retention ponds and
basins, drainage swales and ditches;
(2) the maintenance and care, including erosion control of the property
surrounding such detention and retention ponds and basins, drainage swales
and ditches;
(3) the maintenance, repair and replacement of storm sewers, drain tile, pipes
and other conduit, and appurtenant structures; and,
(4) the administrative costs incurred by the City in connection with the above
(collectively, the “Services”) within the Special Service Area.
Section 5: Hearing. That a public hearing was held on the 14th day of April, 2020
at 7:00 p.m. at the City municipal building at 800 Game Farm Road, Yorkville, Illinois, to
consider the creation of Special Service Area 2020-1 in the Area and to consider the levy
of an annual tax as further described in Section 7.
Section 6: Notice. Notice of the public hearing, attached hereto as Exhibit C, was
published at least once not less than fifteen (15) days prior to the public hearing specified
in Section 5 above, in a newspaper of general circulation in the City. In addition, notice
was given by depositing the notice in the United States mail addressed to the person or
persons in whose name the general taxes for the last preceding year were paid on the
Subject Territory within the proposed special service area. This notice was mailed not less
than ten (10) days prior to the time set for the public hearing. In the event taxes for the last
preceding year were not paid, the notice shall be sent to the person last listed on the tax
rolls prior to that year as the taxpayer of record.
Section 7: Objectors. That the Owner and all taxpayers of record owning taxable
real property located within Special Service Area 2020-1, were heard at the public hearing
held on April 14, 2020. That no objections were filed with the City Clerk within sixty (60)
days following the final adjournment of the public hearing objecting to the creation of the
Special Service Area 2020-1 or the levy of an annual tax in Special Service Area 2020-1.
Section 7: Tax. That there shall be levied in such years as the corporate authorities
may hereafter determine to be appropriate, a direct annual tax that in the initial year shall
not exceed $1.10 for every $100.00 of equalized assessed value of property in Special
Service Area 2020-1 and the maximum rate of such taxes to be extended in any year within
the Area shall not exceed $1.10 for every $100.00 of equalized assessed value to pay the
annual cost of providing the special services described above that shall be in addition to all
other taxes permitted by law.
Ordinance No. 2020-____
Page 3
Section 8: Recording. The City Clerk shall file within 30 days of the adoption of
this ordinance a certified copy of this ordinance, including Exhibits A, B and C with the
County Clerk of Kendall County and with the Kendall County Recorder’s Office.
Section 9: This Ordinance shall be in full force and effect upon its passage,
approval, and publication in pamphlet form as provided by law.
Passed by the City Council of the United City of Yorkville, Kendall County,
Illinois this _____ day of ____________________, 2020.
__________________________________
Mayor
KEN KOCH ________ DAN TRANSIER ________
JACKIE MILSCHEWSKI ________ ARDEN JOE PLOCHER ________
CHRIS FUNKHOUSER ________ JOEL FRIEDERS ________
SEAVER TARULIS ________ JASON PETERSON ________
Approved by me, as Mayor of the United City of Yorkville, Kendall County,
Illinois, this _____ day of ____________________, 2020.
___________________________________
City Clerk
N Bridge StW a t e r p a r k W a y
Source: Esri, DigitalGlobe, GeoEye, Earthstar Geographics, CNES/Airbus DS, USDA, USGS,
AeroGRID , IGN, and the GIS User Community
GAS N WASH SSA LOCATION
¯
800 Game Farm Road, Yorkville, IL | April 8, 2020 | (I:)//Community Development/Gas N Wash Aerial
Gas N WashDormant SSABoundary
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Minutes #1
Tracking Number
Minutes of the Regular City Council – March 10, 2020
City Council – April 14, 2020
Majority
Approval
Approval of Minutes
Lisa Pickering Administration
Name Department
DRAFT
MINUTES OF THE REGULAR MEETING OF THE CITY COUNCIL
OF THE UNITED CITY OF YORKVILLE, KENDALL COUNTY, ILLINOIS,
HELD IN THE CITY COUNCIL CHAMBERS,
800 GAME FARM ROAD ON
TUESDAY, MARCH 10, 2020
Mayor Purcell called the meeting to order at 7:01 p.m. and led the Council in the Pledge of Allegiance.
ROLL CALL
City Clerk Pickering called the roll.
Ward I Koch Present
Transier Present
Ward II Milschewski Present
Plocher Present
Ward III Funkhouser Present
Frieders Present
Ward IV Tarulis Present
Peterson Absent
Staff present: City Administrator Olson, City Clerk Pickering, Chief of Police Jensen, Deputy Chief of
Police Mikolasek, Deputy Chief of Police Pfizenmaier, Public Works Director Dhuse, Community
Development Director Barksdale-Noble, Finance Director Fredrickson, Parks and Recreation Director
Evans, Assistant City Administrator Willrett, Building Code Official Ratos, Purchasing Manager Parker,
Attorney Orr, and EEI Engineer Sanderson.
QUORUM
A quorum was established.
AMENDMENTS TO THE AGENDA
None.
ANNOUNCEMENT
St. Patrick’s Day Event
Alderman Frieders announced that a St. Patrick’s Day event would be held in downtown Yorkville on
Saturday, March 14th. Events will include a 5k run starting at 9:00 a.m. and an Irish parade starting at
11:00 a.m. Live Irish music and food specials will be available at the businesses located downtown
throughout the day.
PRESENTATIONS
Recognition for Life Saving Efforts
Yorkville police officer Kyle Borowski and Kendall County Sheriff’s deputy Jason Larsen, as well as Kendall
County public safety dispatcher Lindsay Ingram, and Bristol Kendall Fire Department Lieutenant Nate King, and
firefighter/paramedics Jen Lynd, Chris Chasten, Randy Roberts and Alex Dunn were recognized for their life saving
efforts in saving the life of Yorkville resident, Mr. Joe Martinez. Mr. Martinez was present, and he thanked those
who saved his life.
PUBLIC HEARINGS
None.
CITIZEN COMMENTS ON AGENDA ITEMS
Mike Rennels, programming manager of Fox Valley Television (FVTV) which is the public access arm of
the Southwest Fox Valley Cable and Telecommunications Consortium, said that the cable consortium was
formed in 2002 by Yorkville and four other communities and has provided public access programming
since 2003. He encouraged the City Council to appoint a representative to the board and become more
involved in the consortium. He mentioned that the last time a Yorkville representative had served on the
board was 2014. He asked the City Council to consider remaining in the cable consortium.
Fred Wade spoke in support of the cable consortium and FVTV. He mentioned that while attending
Waubonsee Community College, he had worked as an intern at FVTV and he was later part of the team
that has recorded Yorkville City Council meetings. He said that FVTV has great value because of its’
promotion of community and its’ ability to teach future workers about real world communication in
media.
CONSENT AGENDA
None.
The Minutes of the Regular Meeting of the City Council – March 10, 2020 – Page 2 of 4
MINUTES FOR APPROVAL
Mayor Purcell entertained a motion to approve the minutes of the regular City Council meeting of
February 25, 2020 as presented. So moved by Alderman Transier; seconded by Alderman Koch.
Motion unanimously approved by a viva voce vote.
BILLS FOR PAYMENT
Mayor Purcell entertained a motion to approve the bill list in the amount of $371,925.05 (vendors);
$309,610.26 (payroll period ending 02/21/20); for a total of $681,535.31. So moved by Alderman
Milschewski; seconded by Alderman Frieders.
Motion approved by a roll call vote. Ayes-7 Nays-0
Milschewski-aye, Funkhouser-aye, Tarulis-aye, Transier-aye,
Plocher-aye, Frieders-aye, Koch-aye
REPORTS
MAYOR’S REPORT
Resolution Authorizing Notice of the Termination of its Participation in the
Southwest Fox Valley Cable and Telecommunications Consortium
(Cable Consortium Exit Notice)
(CC 2020-10)
Mayor Purcell stated he would like to discuss this agenda item. Administrator Olson said that the North
Aurora materials are in the packet. After the meeting packet was posted, Yorkville received North
Aurora’s formal withdrawal notice from the consortium. Administrator Olson said they would like to
have this item on the next City Council agenda for continued discussion and consideration. Per the
bylaws of the organization, the City has ninety days to decide if we would like to continue with the
consortium. Mayor Purcell said the city’s contribution is approximately $100,000 of which we get back
roughly $35,000; resulting in a net contribution of approximately $65,000 a year.
Discussion took place regarding the importance of transparency and the value that FVTV provides by
videotaping city council meetings for viewing by the public. It was discussed that the city has not had a
representative on the consortium board for over six years and that we might be responding too quickly to
leave the consortium when other options have not been explored. There is a concern if we leave the cable
consortium that the money we save will not go back into transparency. A few ideas that were discussed
included the possibility of having the cable consortium meeting held in Yorkville, of having FVTV start
videotaping committee meetings, as well as having them tag the City on their own Facebook page. The
benefits of the education aspect of the FVTV public access studio and programming were seen as
positives factors of remaining a member of the consortium.
A discussion took place about not being ready to make any decision yet. The elected officials would like
to see what options the city has first before making a decision to leave the consortium. It was mentioned
that we need to do our due diligence on how this could affect the consortium as well as the city.
Mayor Purcell said this would be on the next agenda.
PUBLIC WORKS COMMITTEE REPORT
No report.
ECONOMIC DEVELOPMENT COMMITTEE REPORT
AARP Grant Report
(EDC 2020-20)
Alderman Milschewski made a motion to authorize staff to apply for the AARP Community Challenge
2020 grant program; seconded by Alderman Frieders.
Director Noble mentioned that staff would like to apply for a $10,000 grant and there is not a financial
match required by the city. The grant is open to government entities and community organizations that
want to improve livable areas for residents. It was also mentioned that the city’s long-time minute taker
was responsible for bringing this grant to the attention of the city staff.
Motion approved by a roll call vote. Ayes-7 Nays-0
Tarulis-aye, Transier-aye, Plocher-aye, Frieders-aye,
Koch-aye, Milschewski-aye, Funkhouser-aye
The Minutes of the Regular Meeting of the City Council – March 10, 2020 – Page 3 of 4
PUBLIC SAFETY COMMITTEE REPORT
No report.
ADMINISTRATION COMMITTEE REPORT
Ordinance 2020-15 Amending the City Code (Elected Officials Salary Increase)
(ADM 2020-15)
Alderman Funkhouser made a motion to approve an Ordinance Amending the City Code (Elected
Officials Salary Increase) and authorize the Mayor and City Clerk to execute; seconded by Alderman
Milschewski.
It was mentioned that elected officials not only spend time attending city meetings, but they also spend a
significant amount of time reading packet materials in preparation for city meetings. It was brought up that
elected official salaries are significantly higher in some of the other communities and that Yorkville elected
officials have not received a salary increase in fourteen years. It was noted that the increase would not go
into effect until 2023.
Motion approved by a roll call vote. Ayes-6 Nays-1
Transier-aye, Plocher-aye, Frieders-aye, Koch-nay,
Milschewski-aye, Funkhouser-aye, Tarulis-aye
Public Works Space Needs Analysis
(ADM 2020-18)
Alderman Funkhouser made a motion to authorize staff to issue a request for qualifications for the
analysis of the Public Works and Parks maintenance facilities; seconded by Alderman Frieders.
Mayor Purcell asked Administrator Olson to give an overview of the space needs analysis. Administrator
Olson discussed that there are generally three components of the space needs analysis. With the space
needs analysis, the intent is to utilize as much as possible of the previous municipal facilities master plan
that was done in 2005 and the building conditions assessment that was done in 2017. The consultant will
then take that information and give the City a site evaluation of the existing public works and parks
departments sites, along with the land adjacent to both sites, as well as the eight acres of vacant land at
Kendall Marketplace. Additionally, the consultant will give the City a cost estimate of a few different
options, along with letting the city know if there is a way to limit the cost anywhere.
It was questioned if the proposal comes back and is under $25,000, could the contract be approved by the
Mayor or staff without coming back to the City Council for approval. Administrator Olson confirmed
that contracts under $25,000 could be approved without further council action. It was further mentioned
that the elected officials would like to see the proposals and they asked if this could be brought back to
City Council to discuss after the proposals are received before any final decisions are made. Mayor
Purcell commented that he has the authority to move forward on this without City Council approval, but
that he would like to get the City Council’s feedback on this item.
Motion approved by a roll call vote. Ayes-7 Nays-0
Plocher-aye, Frieders-aye, Koch-aye, Milschewski-aye,
Funkhouser-aye, Tarulis-aye, Transier-aye
PARK BOARD
No report.
PLANNING AND ZONING COMMISSION
No report.
CITY COUNCIL REPORT
No report.
CITY CLERK’S REPORT
No report.
COMMUNITY & LIAISON REPORT
National Suicide Prevention + Action Month
Proclamation Project
Alderman Frieders reported that the National Suicide Prevention + Action Month Proclamation project
currently has forty-five communities, two counties, and fourteen states that have agreed to issue
proclamations for a potential impact of reaching 1.8 million people across the country.
STAFF REPORT
No report.
The Minutes of the Regular Meeting of the City Council – March 10, 2020 – Page 4 of 4
PRESENTATIONS (CONT’D)
Fiscal Year 2021 Budget Presentation
(CC 2020-11)
City Administrator Olson gave a PowerPoint presentation on the fiscal year 2020 budget (see attached).
He said a public hearing on the budget is scheduled to be held at the March 24th meeting. The budget
needs to be approved by April 30, 2020.
ADDITIONAL BUSINESS
Census
Alderman Milschewski mentioned that this is a census year and she asked if any outreach was going to be
done. Administrator Olson said that the City is planning on doing a public outreach push for the last two
weeks of March. He noted that the online census forms would be available by April 1st.
CITIZEN COMMENTS
Old Jail
Johanna Byram and Lisa Wolancevich with the Yorkville Historic Preservation Society were present to
give an update on the Old Jail. Ms. Byram shared that on February 28th the Illinois State Preservation
Office Advisory Council unanimously approved the old Kendall County Sheriff’s Residence and Jail for a
nomination to the National Register of Historic Places. The nomination will now go to Washington, DC
for final approval. Ms. Byram mentioned that during her research she found copies of Yorkville’s old
Sanborn maps on the Library of Congress website. Sanborn maps were produced from the early 1800s
through 1960. For anyone interested in viewing the old Sanborn maps, the Library of Congress has
scanned copies of the Yorkville Sanborn maps from February 1886, November 1892, February 1898, and
September 1905. The maps are viewable on the Library of Congress website.
EXECUTIVE SESSION
None.
ADJOURNMENT
Mayor Purcell entertained a motion to adjourn the City Council meeting. So moved by Alderman
Frieders; seconded by Alderman Koch.
Motion unanimously approved by a viva voce vote.
Meeting adjourned at 8:31p.m.
Minutes submitted by:
Lisa Pickering,
City Clerk, City of Yorkville, Illinois
Have a question or comment about this agenda item?
Call us Monday-Friday, 8:00am to 4:30pm at 630-553-4350, email us at agendas@yorkville.il.us, post at www.facebook.com/CityofYorkville,
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Minutes #2
Tracking Number
Minutes of the Regular City Council – March 24, 2020
City Council – April 14, 2020
Majority
Approval
Approval of Minutes
Lisa Pickering Administration
Name Department
DRAFT
MINUTES OF THE REGULAR MEETING OF THE CITY COUNCIL
OF THE UNITED CITY OF YORKVILLE, KENDALL COUNTY, ILLINOIS,
HELD IN THE CITY COUNCIL CHAMBERS,
800 GAME FARM ROAD ON
TUESDAY, MARCH 24, 2020
Mayor Purcell called the meeting to order at 7:05 p.m. and led the Council in the Pledge of Allegiance.
ROLL CALL
City Clerk Pickering called the roll.
Ward I Koch Present (electronic attendance)
Transier Present
Ward II Milschewski Present
Plocher Present
Ward III Funkhouser Present
Frieders Present (electronic attendance)
Ward IV Tarulis Absent
Peterson Present (electronic attendance)
Staff in attendance at city hall: City Administrator Olson, Chief of Police Jensen, Public Works Director
Dhuse, and Attorney Orr.
Staff in attendance electronically: City Clerk Pickering, Community Development Director Barksdale-
Noble, Finance Director Fredrickson, Parks and Recreation Director Evans, Assistant City Administrator
Willrett, and EEI Engineer Sanderson.
Clerk’s Note: Due to COVID-19, requirements of the Open Meetings Act have been temporarily
suspended by Governor Pritzker via Executive Order 2020-07, which suspends certain provisions of the
Open Meetings Act, 5 ILCS 120. Specifically, (1) the requirement in 5 ILCS 120/2.01 that “members of
a public body must be physically present” is suspended; and (2) the conditions in 5 ILCS 120/7 limiting
when remote participation is permitted are suspended.
Members of the public were able to attend this meeting in person while practicing social distancing as
well as being able to access the meeting remotely via Zoom which allowed for video, audio and
telephonic participation. Information was posted on the city’s website on the agenda, minutes and
packets webpage as well as social media with instructions regarding remote meeting access and a link was
included for the public to participate in the meeting remotely: https://us04web.zoom.us/j/140324395.
Telephonic participation was also offered. The Zoom meeting ID was 140 324 0395.
QUORUM
A quorum was established.
AMENDMENTS TO THE AGENDA
None.
PRESENTATIONS
None.
PUBLIC HEARINGS
Proposed Fiscal Year 2020-2021 Budget
Mayor Purcell opened the public hearing for the proposed fiscal year 2020-2021 budget to begin May 1,
2020. He asked if anyone wished to comment on the proposed budget. Upon hearing no public
comments, Mayor Purcell then closed the public hearing.
CITIZEN COMMENTS ON AGENDA ITEMS
None.
CONSENT AGENDA (as recommended by Mayor Purcell)
1. Bills for Payment - $1,172,099.87
2. Ordinance 2020-16 Amending the Regulations for the Liquor Licenses (Off-Premise Package
Sales) – authorize the Mayor and City Clerk to execute (CC 2020-12)
3. Fox Hill and Sunflower Estates SSA Maintenance and Management Services – Request for
Proposals – authorize staff to issue a request for proposals (PW 2020-18)
The Minutes of the Regular Meeting of the City Council – March 24, 2020 – Page 2 of 6
CONSENT AGENDA (cont’d)
4. Ordinance 2020-17 Proposing the Establishment of Special Service Area Number 2020-1 and
Providing for Other Procedures in Connection Therewith (Lot #1 - 4100 North Bridge Street)
(Gas N Wash Backup SSA) – authorize the Mayor and City Clerk to execute (PW 2020-21)
5. Ordinance 2020-18 Amending the Code of Ordinances Regulating On-Street Parking (South
Main Street) – authorize the Mayor and City Clerk to execute (PW 2020-22)
6. Timber Glenn Subdivision (Lot 5 and 6 Sanitary Sewer Replacement) – Acceptance of Public
Improvements – accept the public improvements as described in the Bill of Sale for ownership
and maintenance by the city subject to verification that the developer has no outstanding debt
owed to the City for this project and subject to receipt of a signed Bill of Sale (PW 2020-26)
7. Treasurer’s Report for February 2020 (ADM 2020-20)
8. Water, Sewer, and Road Infrastructure Fee Renewal (ADM 2020-24)
a. Ordinance 2020-19 Amending the Infrastructure Maintenance Fee for Water and
Sanitary Sewer Service – authorize the Mayor and City Clerk to execute
b. Ordinance 2020-20 Amending the Termination Date of the Motor Vehicle Tax –
authorize the Mayor and City Clerk to execute
9. Resolution 2020-11 Authorizing the Purchase of Two Police SUVs From Morrow Brothers Ford,
Greenfield, Illinois in the Amount Not to Exceed $150,000 From the FY21 Budget – authorize
the Mayor and City Clerk to execute (ADM 2020-25)
10. Ordinance 2020-21 Amending the Zoning Ordinance Regarding Commercial Signage on
Alternative Energy Systems (Wind) – authorize the Mayor and City Clerk to execute
(PZC 2020-05 and EDC 2020-19)
Mayor Purcell entertained a motion to approve the consent agenda as presented. So moved by Alderman
Milschewski; seconded by Alderman Peterson.
Motion approved by a roll call vote. Ayes-7 Nays-0
Milschewski-aye, Funkhouser-aye, Transier-aye, Plocher-aye,
Frieders-aye, Peterson-aye, Koch-aye
MINUTES FOR APPROVAL
None.
REPORTS
MAYOR’S REPORT
Comments from Mayor Purcell
Mayor Purcell mentioned that he appreciates the patience of everyone who has contacted him with phone
calls and questions recently. He said that many things have changed in the two weeks that have passed
since the last meeting when the proposed fiscal year 2020-2021 budget was presented. Mayor Purcell
mentioned that he thinks that the staff and community have come together very well in trying to navigate
the COVID-19 crisis.
Ordinance 2020-22 Granting Emergency Powers to the Mayor
of the United City of Yorkville
(CC 2020-13)
Mayor Purcell entertained a motion to approve an Ordinance Granting Emergency Powers to the Mayor
of the United City of Yorkville and authorize the Mayor and City Clerk to execute. So moved by
Alderman Milschewski; seconded by Alderman Plocher.
Discussion took place on what this ordinance means for residents and businesses within the community
and it was questioned if this ordinance was necessary. Mayor Purcell responded that approval of this
ordinance was not absolutely necessary; however, if the COVID-19 situation continues to worsen, this
ordinance would allow the Mayor the authority to enact stricter measures within the community without
having to call a special City Council meeting. It was questioned about the provision in the ordinance that
gives additional spending authority to the Mayor if a new budget is not approved by the City Council by
April 30, 2020. Attorney Orr responded that this ordinance granting emergency powers is only in effect
until the next regular meeting of the City Council and is a precautionary measure in case disaster should
strike.
Motion approved by a roll call vote. Ayes-7 Nays-0
Funkhouser-aye, Transier-aye, Plocher-aye, Frieders-aye,
Peterson-aye, Koch-aye, Milschewski-aye
The Minutes of the Regular Meeting of the City Council – March 24, 2020 – Page 3 of 6
2020 Road to Better Roads Program –
Additional Work Contract
(CC 2020-14)
Mayor Purcell entertained a motion to authorize staff to approve additional street work on Greenbriar
Road in the amount not to exceed $163,472.25 with Geneva Construction Co. and authorize the Mayor to
execute contingent on the Mayor’s review and approval. So moved by Alderman Milschewski; seconded
by Alderman Transier.
Mayor Purcell explained that he wants the city to be able to do the proposed road projects; however, with
everything that has occurred during the past two weeks, he has not had a chance to discuss with staff how
the financial impact of COVID-19 is going to affect the city’s cash flow and budget. He wants to make
sure the city will have the funding to meet the financial obligations of these contracts.
It was mentioned that while it would be nice to move forward with the projects that the city has been
planning and working toward, the city council needs to be thinking in realistic terms of what the city can
afford in light of the financial impact residents, businesses, and the community will be facing.
Motion approved by a roll call vote. Ayes-7 Nays-0
Transier-aye, Plocher-aye, Frieders-aye, Peterson-aye,
Koch-aye, Milschewski-aye, Funkhouser-aye
PUBLIC WORKS COMMITTEE REPORT
Road to Better Roads Program – Contract Award
(PW 2020-23)
Alderman Plocher made a motion to accept bid and award contract to Geneva Construction, Co., in an
amount not to exceed $737.441.07 contingent on the approval of the Mayor; seconded by Alderman
Frieders.
Motion approved by a roll call vote. Ayes-7 Nays-0
Transier-aye, Plocher-aye, Frieders-aye, Peterson-aye,
Koch-aye, Milschewski-aye, Funkhouser-aye
Ordinance 2020-23 Authorizing the Acquisition of Equipment for the
Upgrade of the Blackberry Creek North Lift Station
(PW 2020-27)
Alderman Plocher made a motion to approve an Ordinance Authorizing the Acquisition of Equipment for
the Upgrade of the Blackberry Creek North Lift Station and authorize the Mayor and City Clerk to
execute; seconded by Alderman Milschewski.
Motion approved by a roll call vote. Ayes-7 Nays-0
Plocher-aye, Frieders-aye, Peterson-aye, Koch-aye,
Milschewski-aye, Funkhouser-aye, Transier-aye
ECONOMIC DEVELOPMENT COMMITTEE REPORT
No report.
PUBLIC SAFETY COMMITTEE REPORT
No report.
ADMINISTRATION COMMITTEE REPORT
Insurance Renewals for FY 2021
(ADM 2020-23)
Alderman Funkhouser made a motion to approve a contract for the renewal of existing HMO and PPO
plans with Blue Cross Blue Shield; to approve a contract with MetLife for the dental plan; to approve a
contract with Lincoln Financial for life insurance; to approve employee HRA card amounts in the same
amounts as FY 2020 and to authorize non-union employee contribution percentages in the amounts of
10.5% for HMO coverage and 12.5% for PPO coverage and with union employee contribution rates in the
amounts as authorized by the Police Department and Public Works union contracts; seconded by
Alderman Milschewski.
Motion approved by a roll call vote. Ayes-7 Nays-0
Frieders-aye, Peterson-aye, Koch-aye, Milschewski-aye,
Funkhouser-aye, Transier-aye, Plocher-aye
The Minutes of the Regular Meeting of the City Council – March 24, 2020 – Page 4 of 6
Progressive Energy – Audit of City Facilities and Municipal Aggregation
(ADM 2020-26)
Resolution 2020-12 Authorizing Participation Progressive Energy Group (PEG)
and Authorizing the City Administrator to Approve a
Contract with the Lowest Cost Electricity Provider
by Rate Classification for a Period up to 60 Months
Ordinance 2020-24 Authorizing Renewal of Aggregation Program for Electrical Load
Alderman Funkhouser made a motion to approve a Resolution Authorizing Participation Progressive
Energy Group (PEG) and Authorizing the City Administrator to Approve a Contract with the Lowest Cost
Electricity Provider by Rate Classification for a Period up to 60 Months and authorize the Mayor and City
Clerk to execute and to approve an Ordinance Authorizing Renewal of Aggregation Program for
Electrical Load and authorize the Mayor and City Clerk to execute; seconded by Alderman Milschewski.
Administrator Olson said that Chris Childress from Progressive Energy was in attendance electronically
to answer any broker questions the City Council might have. Administrator Olson said there are two
components up for consideration. The first component is bidding out the city’s own electrical supply
accounts in the hope of procuring lower rates and the second component is to return to a traditional
electric aggregation program for residential accounts citywide.
It was questioned if this is the best time to enter into a contract for a length of 60 months when we do not
know what effect the global pandemic will have on electric rates. Administrator Olson explained that the
proposed resolution is authorizing rates for a period up to 60 months. This would allow staff the
flexibility to choose a length of time less than 60 months after the rates are submitted if a shorter time
frame would provide more benefit to the city and residents. Mr. Childress said the future price of
electricity is actually lower than the current price of electricity. The farther you go out, the cheaper
electricity becomes. Mr. Childress mentioned that he is more concerned with the effect of oil prices on
the cost of electricity. He explained that with oil prices being so low right now, more companies are
shutting off fracking. Fracking drives a lot of electric throughout the nation, so if fracking is shut down,
it will put upward pressure on natural gas which will in turn drive electric prices up.
Motion approved by a roll call vote. Ayes-7 Nays-0
Peterson-aye, Koch-aye, Milschewski-aye, Funkhouser-aye,
Transier-aye, Plocher-aye, Frieders-aye
Resolution 2020-13 Authorizing Notice of the Termination of its Participation in the
Southwest Fox Valley Cable and Telecommunication Consortium
(CC 2020-27)
Alderman Funkhouser made a motion to approve a Resolution Authorizing Notice of the Termination of
its Participation in the Southwest Fox Valley Cable and Telecommunication Consortium and authorize
the Mayor and City Clerk to execute; seconded by Alderman Plocher.
It was asked if there were any alternative options yet for the council to consider. Mayor Purcell said that
while there were not any alternatives yet, in looking at the budget, membership in the consortium costs
the city approximately $65,000 per year. In light of what the city is facing with the pandemic, he feels
that the $65,000 could be very useful for other items in the budget. For any agency that would like to
leave the consortium, the agreement requires that a notice to leave occur a minimum of ninety days prior
to the end of the consortium’s fiscal year. The end of the consortium’s fiscal year is June 30th, which
means the city needs to give notice by March 30th. The City Council will not be holding another meeting
between now and March 30th. Mayor Purcell said that if this resolution is approved at tonight’s meeting,
notification to the consortium could be given and the city could then look at other options. If this
resolution is not approved tonight, the city will be locked in for another year. A final decision on whether
to leave the consortium this year would return to the City Council for a vote.
Discussion took place that recognized that the city may be facing financial concerns; however, the
consortium offers services that are still beneficial to the city. One of the benefits to the city is the
transparency provided to the public through the recording of City Council meetings that are shown on
public access television. It was asked if the city knew yet if there would be an increase in the amount of
money that the city would need to contribute, due to North Aurora leaving the consortium. Administrator
Olson said that contribution amounts are something the remaining members of the consortium still need
to discuss.
Motion approved by a roll call vote. Ayes-5 Nays-3
Koch-aye, Milschewski-aye, Funkhouser-nay, Transier-aye,
Plocher-nay, Frieders-nay, Peterson-aye, Mayor Purcell-aye
The Minutes of the Regular Meeting of the City Council – March 24, 2020 – Page 5 of 6
PARK BOARD
No report.
PLANNING AND ZONING COMMISSION
No report.
CITY COUNCIL REPORT
Disaster Distress Hotline
Alderman Frieders read the following statement on the stress being faced by people due to the pandemic
and the help that is available if anyone needs to reach out:
“During the stress and uncertainty of this global pandemic, everyone is handling and reacting to things
differently. And while we're all in our separate spaces practicing social distancing in an effort to flatten
this curve, it's important to pay attention to what you are feeling and to try and share or emote that with
someone you trust. Call 1-800-985-5990 or text TalkWithUs to 66746 to connect with a trained crisis
counselor at the SAMHSA DISASTER DISTRESS HOTLINE. While all of my travel and educational
events I had planned for this month and next month is now canceled, Hope For The Day has pivoted
towards offering our in person presentations as live digital education programs during the quarantine.
Between myself and those on my education team at Hope For The Day, we are here to get the
conversation started, so please reach out to me at joel@hftd.org or info@hftd.org to set something up.
We’re all in this together.”
CITY CLERK’S REPORT
No report.
COMMUNITY & LIAISON REPORT
No report.
STAFF REPORT
No report.
MAYOR’S REPORT (CONT’D)
Proposed Fiscal Year 2020-2021 Budget
(CC 2020-15)
Mayor Purcell said that he would be looking at the proposed budget along with the City Administrator
and other department heads to see if there are projects that could be delayed.
It was suggested that the budget be looked at to see if there was anything that the city could do to offer
some type of help to local businesses that are struggling due to COVID-19. Suggestions were made that
the city could look at waiving all or some of the license or permit fees; late penalties, adjudication fines;
and hotel taxes. It was also suggested that some of the big picture items may need to be deferred.
The proposed budget will be on the next City Council agenda for continued discussion.
ADDITIONAL BUSINESS
None.
CITIZEN COMMENTS
Southwest Fox Valley Cable and Telecommunications Consortium
Mike Rennels, programming manager of Fox Valley Television (FVTV) which is the public access arm of
the Southwest Fox Valley Cable and Telecommunications Consortium, spoke in support of the city
remaining in the consortium. He mentioned that FVTV operates two full channels – one is a government
access channel and the other is a public access channel. In addition to the transparency that the
government channel provides to residents, the public access channel is also helpful for residents who take
advantage of the training offered to gain experience in producing and airing programs. Much of the
programming that is shown on the public access channel is about the local community. Mr. Rennels
encouraged the council members to contact him with any questions they might have about the services the
consortium and FVTV offer to residents and the community.
Darren Crawford, resident, spoke in favor of Yorkville remaining in the consortium. He feels that the
consortium provides a great resource to the community.
EXECUTIVE SESSION
None.
ADJOURNMENT
The Minutes of the Regular Meeting of the City Council – March 24, 2020 – Page 6 of 6
Mayor Purcell entertained a motion to adjourn the City Council meeting. So moved by Alderman
Milschewski; seconded by Alderman Plocher.
Motion unanimously approved by a viva voce vote.
Meeting adjourned at 8:01 p.m.
Minutes submitted by:
Lisa Pickering,
City Clerk, City of Yorkville, Illinois
Have a question or comment about this agenda item?
Call us Monday-Friday, 8:00am to 4:30pm at 630-553-4350, email us at agendas@yorkville.il.us, post at www.facebook.com/CityofYorkville,
tweet us at @CityofYorkville, and/or contact any of your elected officials at http://www.yorkville.il.us/320/City-Council
Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Bills for Payment
Tracking Number
Bills for Payment
City Council – April 14, 2020
Majority
Approval
Amy Simmons Finance
Name Department
01-110 ADMINISTRATION11-111 FOX HILL SSA25-225 PARKS & REC CAPITAL82-820 LIBRARY OPERATIONS01-120 FINANCE12-112 SUNFLOWER ESTATES42-420 DEBT SERVICE84-840 LIBRARY CAPITAL01-210 POLICE15-155 MOTOR FUEL TAX(MFT) 51-510 WATER OPERATIONS87-870 COUNTRYSIDE TIF 01-220 COMMUNITY DEVELOPMENT23-216 MUNICIPAL BUILDING52-520 SEWER OPERATIONS88-880 DOWNTOWN TIF01-410 STREET OPERATIONS23-230 CITY-WIDE CAPITAL72-720 LAND CASH89-890 DOWNTOWN TIF II01-540 HEALTH & SANITATION25-205 POLICE CAPITAL79-790 PARKS DEPARTMENT90-XXX DEVELOPER ESCROW01-640 ADMINISTRATIVE SERVICES25-215 PUBLIC WORKS CAPITAL79-795 RECREATION DEPARTMENT95-XXX ESCROW DEPOSITDATE: 03/27/20UNITED CITY OF YORKVILLEPAGE: 1TIME: 14:20:48MANUAL CHECK REGISTERID: AP225000.WOWCHECK # VENDOR # INVOICE ITEMCHECKINVOICE #DATE# DESCRIPTION DATE ACCOUNT # ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 131169 KCRKENDALL COUNTY RECORDER'S03/27/2025268-A03/27/20 01 FINAL PLAT OF RAINTREE VILLAGE 90-152-00-00-0011102.0002 UNIT 4 1ST RESUBDIVISION** COMMENT **INVOICE TOTAL:102.00 *CHECK TOTAL:102.00 131170 KCRKENDALL COUNTY RECORDER'S03/27/2025268-B03/27/20 01 ADDITIONAL CHARGE FOR INVOICE 90-152-00-00-001127.0002 #25268 DUE TO MULTIPLE PIN** COMMENT **03 NUMBERS ON THE DOCUMENT** COMMENT **04 BEING RECORDED** COMMENT **INVOICE TOTAL:27.00 *CHECK TOTAL:27.00TOTAL AMOUNT PAID:129.00Page 1 of 42
01-110 ADMINISTRATION 11-111 FOX HILL SSA 25-225 PARKS & REC CAPITAL 82-820 LIBRARY OPERATIONS 01-120 FINANCE 12-112 SUNFLOWER ESTATES 42-420 DEBT SERVICE 84-840 LIBRARY CAPITAL 01-210 POLICE 15-155 MOTOR FUEL TAX(MFT) 51-510 WATER OPERATIONS 87-870 COUNTRYSIDE TIF 01-220 COMMUNITY DEVELOPMENT 23-216 MUNICIPAL BUILDING 52-520 SEWER OPERATIONS 88-880 DOWNTOWN TIF 01-410 STREET OPERATIONS 23-230 CITY-WIDE CAPITAL 72-720 LAND CASH 89-890 DOWNTOWN TIF II 01-540 HEALTH & SANITATION 25-205 POLICE CAPITAL 79-790 PARKS DEPARTMENT 90-XXX DEVELOPER ESCROW 01-640 ADMINISTRATIVE SERVICES 25-215 PUBLIC WORKS CAPITAL 79-795 RECREATION DEPARTMENT 95-XXX ESCROW DEPOSIT DATE: 03/31/20 UNITED CITY OF YORKVILLE TIME: 13:19:12 CHECK REGISTERPRG ID: AP215000.WOW CHECK DATE: 03/31/20CHECK # VENDOR # INVOICE INVOICE ITEM NUMBER DATE # DESCRIPTION ACCOUNT # ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 530137 NATIONAU NATIONAL AUTO FLEET GROUP F08111 03/19/20 01 NEW FORD F350 TRUCK 52-520-60-00-6070 35,792.40 INVOICE TOTAL: 35,792.40 * CHECK TOTAL: 35,792.40 TOTAL AMOUNT PAID: 35,792.40Page 2 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532520 ADVAAUTO ADVANCED AUTOMATION & CONTROLS20-3316 03/24/20 01 WELL 4 FLOW METER CALIBRARTION 51-510-54-00-5445 690.00INVOICE TOTAL:690.00 *20-331703/24/20 01 WELL 4 STARTER MOTOR PROJECT 51-510-60-00-60601,035.00INVOICE TOTAL:1,035.00 *CHECK TOTAL:1,725.00 532521 ALLAROUN ALL AROUND SEAMLESS GUTTERS235503/11/20 01 FURNISHED AND INSTALLED79-790-54-00-54951,199.0002 ALUMINUM SEAMLESS GUTTERS** COMMENT **INVOICE TOTAL:1,199.00 *CHECK TOTAL:1,199.00 532522 ALLSTAR ALL STAR SPORTS INSTRUCTION20200403/11/20 01 WINTER II SESSION INSTRUCTION 79-795-54-00-54621,763.20INVOICE TOTAL:1,763.20 *CHECK TOTAL:1,763.20 532523 ALTORFER ALTORFER INDUSTRIES, INCP53C016546103/09/20 01 RETAINER,PIN, TIP52-520-56-00-5628283.15INVOICE TOTAL:283.15 *CHECK TOTAL:283.15 532524 AMPERAGE AMPERAGE ELECTRICAL SUPPLY INC1023452-IN03/03/20 01 VINYL TAPE01-410-56-00-564256.40INVOICE TOTAL:56.40 *Page 3 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532524 AMPERAGE AMPERAGE ELECTRICAL SUPPLY INC1024514-in 03/05/20 01 HOLOPHANES 01-410-56-00-5642 60.69INVOICE TOTAL:60.69 *1025834-IN03/09/20 01 BULBS01-410-56-00-564259.40INVOICE TOTAL:59.40 *1025855-IN03/06/20 01 BULBS01-410-56-00-5642148.50INVOICE TOTAL:148.50 *1026657-IN03/11/20 01 BULBS & BALLAST FOR CITY HALL 23-216-56-00-5656308.28INVOICE TOTAL:308.28 *1027429-IN03/12/20 01 BULBS FOR CITY HALL23-216-56-00-5656116.64INVOICE TOTAL:116.64 *CHECK TOTAL:749.91 532525 ANIRI ANIRI LLC123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-5462754.1902 REBATE** COMMENT **INVOICE TOTAL:754.19 *CHECK TOTAL:754.19 532526 ARNESON ARNESON OIL COMPANY28280602/29/20 01 FUEL HOSE01-410-56-00-562879.99INVOICE TOTAL:79.99 *28283903/03/20 01 MAR 2020 DIESEL FUEL01-410-56-00-5695447.85INVOICE TOTAL:447.85 *28326303/09/20 01 MAR 2020 DIESEL FUEL51-510-56-00-5695251.26INVOICE TOTAL:251.26 *CHECK TOTAL:779.10Page 4 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532527 ATTINTER AT&T7682073504 03/10/20 01 03/10-04/09 ROUTER 01-110-54-00-5440 471.16INVOICE TOTAL:471.16 *CHECK TOTAL:471.16 532528 BATTERYS BATTERY SERVICE CORPORATION005979503/13/20 01 BATTERY01-410-56-00-562894.95INVOICE TOTAL:94.95 *006001703/20/20 01 BATTERY01-410-56-00-562894.95INVOICE TOTAL:94.95 *CHECK TOTAL:189.90 532529 BOOMBAH BOOMBAH123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-54921,797.5902 REBATE** COMMENT **INVOICE TOTAL:1,797.59 *CHECK TOTAL:1,797.59D001581 BROWND DAVID BROWN04012004/01/20 01 MAR 2020 MOBILE EMAIL51-510-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532530 CAMBRIA CAMBRIA SALES COMPANY INC.4147003/05/20 01 GARBAGE BAGS, TOILET PAPER, 01-110-56-00-5610309.09Page 5 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532530 CAMBRIA CAMBRIA SALES COMPANY INC.41470 03/05/20 02 URINAL BLOCK, AIR FRESHNER ** COMMENT **INVOICE TOTAL:309.09 *4149903/13/20 01 TOILET TISSUE01-110-56-00-561071.38INVOICE TOTAL:71.38 *4150903/16/20 01 TOILET BOWL CLEANER, SOAP 01-110-56-00-5610207.16INVOICE TOTAL:207.16 *4152503/20/20 01 PAPER TOWEL52-520-56-00-5620240.02INVOICE TOTAL:240.02 *CHECK TOTAL:827.65 532531 COMED COMMONWEALTH EDISON0091033126-012003/24/20 01 12/31-01/31 RT34 & AUTUMN CRK 23-216-54-00-548277.10INVOICE TOTAL:77.10 *0091033126-022003/25/20 01 01/31-03/02 RT34 & AUTUMN CRK 23-216-54-00-548269.82INVOICE TOTAL:69.82 *0091033126-081903/12/20 01 08/10-09/03 AUTUMN CRK & RT34 23-216-54-00-548214.55INVOICE TOTAL:14.55 *0091033126-091903/17/20 01 09/03-10/02 AUTUMN CRK & RT34 23-216-54-00-548262.07INVOICE TOTAL:62.07 *0091033126-101903/18/20 01 10/02-10/28 AUTUMN CRK & RT34 23-216-54-00-548255.19INVOICE TOTAL:55.19 *0091033126-111903/19/20 01 10/28-11/26 AUTUMN CRK & RT34 23-216-54-00-548265.84INVOICE TOTAL:65.84 *0091033126-121903/20/20 01 11/26-12/31 RT34 & AUTUMN CRK 23-216-54-00-548282.27INVOICE TOTAL:82.27 *Page 6 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532531 COMED COMMONWEALTH EDISON1613010022-0220 03/16/20 01 02/13-03/13 BALLFIELD 79-795-54-00-5480 244.31INVOICE TOTAL:244.31 *1977008102-022003/13/20 01 02/13-03/13 GALENA RD PARK 79-795-54-00-548063.02INVOICE TOTAL:63.02 *6963019021-022003/16/20 01 02/13-03/13 RT47 & ROSENWINKLE 23-216-54-00-548233.14INVOICE TOTAL:33.14 *7090039005-022003/11/20 01 02/11-03/11 CANNONBALL & RT34 23-216-54-00-548219.88INVOICE TOTAL:19.88 *CHECK TOTAL:787.19 532532 CONARDR RYAN CONARD04012004/01/20 01 FEB 2020 MOBILE EMAIL51-510-54-00-544018.6002 REIMBURSEMENT** COMMENT **03 MAR 2020 MOBILE EMAIL51-510-54-00-544045.0004 REIMBURSEMENT** COMMENT **INVOICE TOTAL:63.60 *CHECK TOTAL:63.60 532533 CONSTELL CONSTELLATION NEW ENERGY1704746780103/24/20 01 028/21-03/23 POPLAR LITE23-216-54-00-54824,515.93INVOICE TOTAL:4,515.93 *CHECK TOTAL:4,515.93 532534 COREMAIN CORE & MAIN LPM01318203/06/20 01 32 100CF METERS51-510-56-00-56643,840.00INVOICE TOTAL:3,840.00 *Page 7 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532534 COREMAIN CORE & MAIN LPM015704 03/06/20 01 65 METER CPLG 51-510-56-00-5664 495.50INVOICE TOTAL:495.50 *M01573903/06/20 01 15 METER CPLG51-510-56-00-5664148.65INVOICE TOTAL:148.65 *M03487603/10/20 01 RETURNED METER CREDIT51-510-56-00-5664-3,404.00INVOICE TOTAL:-3,404.00 *M06839303/17/20 01 54 510M METERS51-510-56-00-56647,062.84INVOICE TOTAL:7,062.84 *CHECK TOTAL:8,142.99 532535 DELAGE DLL FINANCIAL SERVICES INC6732902203/18/20 01 APR 2020 COPIER LEASE01-110-54-00-5485113.4602 APR 2020 COPIER LEASE79-795-54-00-548594.5503 APR 2020 COPIER LEASE79-790-54-00-548594.5504 APR 2020 COPIER LEASE52-520-54-00-548544.6605 APR 2020 COPIER LEASE51-510-54-00-548544.6706 APR 2020 COPIER LEASE01-410-54-00-548544.6707 APR 2020 COPIER LEASE01-120-54-00-548575.6408 APR 2020 COPIER LEASE01-220-54-00-5485189.1009 APR 2020 COPIER LEASE01-210-54-00-5485299.10INVOICE TOTAL:1,000.40 *6732905303/18/20 01 MAY 2020 SHARED PRINT01-000-14-00-1400112.3302 SERVICES-ADMIN** COMMENT **03 MAY 2020 SHARED PRINT01-000-14-00-140037.4404 SERVICES-FINANCE** COMMENT **05 MAY 2020 SHARED PRINT01-000-14-00-1400112.3306 SERVICES-POLICE** COMMENT **07 MAY 2020 SHARED PRINT51-000-14-00-140050.18Page 8 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532535 DELAGE DLL FINANCIAL SERVICES INC67329053 03/18/20 08 SERVICES ** COMMENT **09 MAY 2020 SHARED PRINT52-000-14-00-140012.3610 SERVICES** COMMENT **11 MAY 2020 SHARED PRINT01-000-14-00-140012.3612 SERVICES-STREETS** COMMENT **INVOICE TOTAL:337.00 *CHECK TOTAL:1,337.40D001582 DHUSEE DHUSE, ERIC04012004/01/20 01 MAR 2020 MOBILE EMAIL01-410-54-00-544015.0002 REIMBURSEMENT** COMMENT **03 MAR 2020 MOBILE EMAIL51-510-54-00-544015.0004 REIMBURSEMENT** COMMENT **05 MAR 2020 MOBILE EMAIL52-520-54-00-544015.0006 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001583 DJIDICK KAYLA DJIDIC001903/24/20 01 ZUMBA CLASS INSTRUCTION79-795-54-00-5462121.50INVOICE TOTAL:121.50 *DIRECT DEPOSIT TOTAL:121.50D001584 DLKDLK, LLC21003/31/20 01 MARCH 2020 ECONOMIC01-640-54-00-54869,425.0002 DEVELOPMENT HOURS** COMMENT **INVOICE TOTAL:9,425.00 *22003/31/20 01 JAN 2020 - MAR 2020 BANKED 01-640-54-00-548613,050.00Page 9 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001584 DLK DLK, LLC220 03/31/20 02 ECONOMIC DEVELOPMENT HOURS ** COMMENT **INVOICE TOTAL:13,050.00 *DIRECT DEPOSIT TOTAL:22,475.00 532536 DOORS DOORS BY RUSS, INC.20103403/06/20 01 CLAMPED AND REPLACED BROKEN 23-216-54-00-5446654.0002 TORSION SPRINGS** COMMENT **INVOICE TOTAL:654.00 *CHECK TOTAL:654.00 532537 DYNEGY DYNEGY ENERGY SERVICES26697932003103/25/20 01 02/18-03/17 2702 MILL RD51-510-54-00-54806,981.30INVOICE TOTAL:6,981.30 *CHECK TOTAL:6,981.30 532538 ECOECO CLEAN MAINTENANCE INC864103/30/20 01 MAR 2020 OFFICE CLEANING01-110-54-00-54881,005.0002 MAR 2020 OFFICE CLEANING01-210-54-00-54881,005.0003 MAR 2020 OFFICE CLEANING79-795-54-00-5488525.0004 MAR 2020 OFFICE CLEANING79-790-54-00-5488135.0005 MAR 2020 OFFICE CLEANING01-410-54-00-548865.0006 MAR 2020 OFFICE CLEANING51-510-54-00-548865.0007 MAR 2020 OFFICE CLEANING52-520-54-00-548865.00INVOICE TOTAL:2,865.00 *CHECK TOTAL:2,865.00 532539 EEIENGINEERING ENTERPRISES, INC.Page 10 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532539 EEI ENGINEERING ENTERPRISES, INC.68691 03/31/20 01 NORTH RT47 IMPROVEMENTS 01-640-54-00-5465 480.75INVOICE TOTAL:480.75 *6869203/31/20 01 RT71 IMPROVEMENTS01-640-54-00-5465104.00INVOICE TOTAL:104.00 *6869303/31/20 01 TRAFFIC CONTROL SIGNAGE AND 01-640-54-00-5465306.0002 MARKINGS** COMMENT **INVOICE TOTAL:306.00 *6869503/31/20 01 UTILITY PERMIT REVIEWS01-640-54-00-5465410.25INVOICE TOTAL:410.25 *6869603/31/20 01 GRANDE RESERVE-AVANTI01-640-54-00-5465416.00INVOICE TOTAL:416.00 *CHECK TOTAL:1,717.00 532540 EEIENGINEERING ENTERPRISES, INC.6869703/31/20 01 RT71 SANITARY SEWER AND WATER 52-520-60-00-606645.9002 MAIN REPLACEMENT** COMMENT **03 RT71 SANITARY SEWER AND WATER 51-510-60-00-6066183.6004 MAIN REPLACEMENT** COMMENT **INVOICE TOTAL:229.50 *CHECK TOTAL:229.50 532541 EEIENGINEERING ENTERPRISES, INC.6869803/31/20 01 METRONET90-132-00-00-01111,053.00INVOICE TOTAL:1,053.00 *6869903/31/20 01 BLACKBERRY WOODS-PHASE B01-640-54-00-5465405.50INVOICE TOTAL:405.50 *Page 11 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532541 EEI ENGINEERING ENTERPRISES, INC.68700 03/31/20 01 SUB-REGIONAL WATER 51-510-54-00-5465 1,352.0002 COORDINATION** COMMENT **INVOICE TOTAL:1,352.00 *6870103/31/20 01 KENDALL MARKETPLACE01-640-54-00-5465521.0002 RESIDENTIAL** COMMENT **INVOICE TOTAL:521.00 *6870203/31/20 01 GRANDE RESERVE-UNIT 2301-640-54-00-5465565.50INVOICE TOTAL:565.50 *6870303/31/20 01 HOLIDAY INN EXPRESS & SUITES 90-108-00-00-011138.25INVOICE TOTAL:38.25 *6870403/31/20 01 FOX RD JURISDICTIONAL TRANSFER 01-640-54-00-5465312.00INVOICE TOTAL:312.00 *6870503/31/20 01 GRANDE RESERVE-UNIT 801-640-54-00-54651,287.00INVOICE TOTAL:1,287.00 *6870603/31/20 01 TIMBER GLENN SUBDIVISION90-114-00-00-01111,104.25INVOICE TOTAL:1,104.25 *6870703/31/20 01 FOUNTAIN VILLAGE-COMPLETION 23-230-60-00-602372.5002 OF IMPROVEMENTS** COMMENT **INVOICE TOTAL:72.50 *6870803/31/20 01 EAST ORANGE ST WATER MAIN 51-510-60-00-6025229.5002 REPLACEMENT** COMMENT **INVOICE TOTAL:229.50 *6870903/31/20 01 STORM WATER BASIN INSPECTIONS 01-640-54-00-54653,390.75INVOICE TOTAL:3,390.75 *6871003/31/20 01 RESTORE CHURCH90-121-00-00-011194.00INVOICE TOTAL:94.00 *Page 12 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532541 EEI ENGINEERING ENTERPRISES, INC.68711 03/31/20 01 WELLS #8 & 9 WATER TREATMENT 51-510-60-00-6081 499.2002 PLANT CATION EXCHANGE MEDIA ** COMMENT ** 03 REPLACEMENT** COMMENT **INVOICE TOTAL:499.20 *6871203/31/20 01 2019 ROAD PROGRAM23-230-60-00-602537.25INVOICE TOTAL:37.25 *6871303/31/20 01 MUNICIPAL ENGINEERING SERVICES 01-640-54-00-54651,900.00INVOICE TOTAL:1,900.00 *6871403/31/20 01 YBSD COORDINATION01-640-54-00-54651,040.00INVOICE TOTAL:1,040.00 *6871503/31/20 01 ORA-CLEAN PERMITTING - WATER 51-510-54-00-5465238.7502 TREATMENT PLANTS** COMMENT **INVOICE TOTAL:238.75 *CHECK TOTAL:14,140.45 532542 EEIENGINEERING ENTERPRISES, INC.6871603/31/20 01 ELIZABETH ST WATER MAIN51-510-60-00-602511,842.2402 IMPROVEMENTS** COMMENT **INVOICE TOTAL:11,842.24 *CHECK TOTAL:11,842.24 532543 EEIENGINEERING ENTERPRISES, INC.6871703/31/20 01 GAS-N-WASH90-144-00-00-01117,467.00INVOICE TOTAL:7,467.00 *6871803/31/20 01 FY2021 BUDGET01-640-54-00-54653,765.00INVOICE TOTAL:3,765.00 *Page 13 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532543 EEI ENGINEERING ENTERPRISES, INC.68719 03/31/20 01 GRANDE RESERVE UNITS 26 & 27 90-147-00-00-0111 3,020.75INVOICE TOTAL:3,020.75 *6872003/31/20 01 132 COMMERCIAL DR-MORTON90-140-00-00-011176.5002 BUILDINGS** COMMENT **INVOICE TOTAL:76.50 *6872103/31/20 01 2020 ROAD PROGRAM23-230-60-00-60253,192.80INVOICE TOTAL:3,192.80 *6872203/31/20 01 RAINTREE VILLAGE UNIT 4 - 90-152-00-00-011149.2502 RESUBDIVISION** COMMENT **INVOICE TOTAL:49.25 *6872303/31/20 01 CITY OF YORKVILLE-GENERAL 01-640-54-00-54655,697.00INVOICE TOTAL:5,697.00 *6872403/31/20 01 KENDALL MARKETPLACE LOT 52 90-154-00-00-01111,336.75INVOICE TOTAL:1,336.75 *6872503/31/20 01 BRENART EYE CARE BUILDING 90-155-00-00-01113,033.5002 ADDITION** COMMENT **INVOICE TOTAL:3,033.50 *6872603/31/20 01 POPEYES LOT 4 MENARDS COMMONS 90-156-00-00-0111432.00INVOICE TOTAL:432.00 *6872703/31/20 01 GRANDE RESERVE UNIT 23-ENG 01-640-54-00-5465500.0002 INSPECTIONS** COMMENT **INVOICE TOTAL:500.00 *6872803/31/20 01 GRANDE RESERVE UNIT 8-ENG 01-640-54-00-5465200.0002 INSPECTIONS** COMMENT **INVOICE TOTAL:200.00 *Page 14 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532543 EEI ENGINEERING ENTERPRISES, INC.68729 03/31/20 01 CALEDONIA PHASE 1-ENG 01-640-54-00-5465 500.0002 INSPECTIONS** COMMENT **INVOICE TOTAL:500.00 *6873003/31/20 01 BLACKBERRY WOODS PHASE B-ENG 01-640-54-00-5465300.0002 INSPECTIONS** COMMENT **INVOICE TOTAL:300.00 *6873103/31/20 01 AUTUMN CREEK-ENG INSPECTIONS 01-640-54-00-5465600.00INVOICE TOTAL:600.00 *6873203/31/20 01 COUNTRY HILL-ENG INSPECTIONS 01-640-54-00-5465100.00INVOICE TOTAL:100.00 *6873303/31/20 01 PRESTWICK-ENG INSPECTIONS 01-640-54-00-5465200.00INVOICE TOTAL:200.00 *6873403/31/20 01 GRANDE RESERVE UNIT 3-ENG 01-640-54-00-5465400.0002 INSPECTIONS** COMMENT **INVOICE TOTAL:400.00 *CHECK TOTAL:30,870.55 532544 EJEQUIP EJ EQUIPMENTP2226003/13/20 01 2 STEEL BROOMS01-410-56-00-5628635.4302 UNLOADER VALVE, MOUNTING52-520-56-00-56281,207.5703 BRACKETS, CLAMPS, BUSHING** COMMENT **INVOICE TOTAL:1,843.00 *CHECK TOTAL:1,843.00 532545 ELEVATOR ELEVATOR INSPECTION SERVICE9120903/02/20 01 02/18/20 ELEVATOR INSPECTION 23-216-54-00-544675.00Page 15 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532545 ELEVATOR ELEVATOR INSPECTION SERVICE91209 03/02/20 02 AT 102 E VAN EMMON ** COMMENT **INVOICE TOTAL:75.00 *9124603/02/20 01 02/20/20 ELEVATOR INSPECTION 23-216-54-00-544675.0002 AT 800 GAME FARM RD** COMMENT **INVOICE TOTAL:75.00 *CHECK TOTAL:150.00D001585 EVANST TIM EVANS04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544022.5002 REIMBURSEMENT** COMMENT **03 MAR 2020 MOBILE EMAIL79-795-54-00-544022.5004 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532546 FARMFLEE BLAIN'S FARM & FLEET4164-D.BROWN03/12/20 01 BELT, PANTS51-510-56-00-560098.97INVOICE TOTAL:98.97 *5041-M.SENG03/20/20 01 PANTS01-410-56-00-560042.29INVOICE TOTAL:42.29 *CHECK TOTAL:141.26 532547 FLATSOS RAQUEL HERRERA1453903/12/20 01 2 NEW TIRES01-410-54-00-5490198.20INVOICE TOTAL:198.20 *1456803/17/20 01 4 NEW TIRES01-410-54-00-5490425.72INVOICE TOTAL:425.72 *CHECK TOTAL:623.92Page 16 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532548 FLEEPRID FLEETPRIDE47760679 03/13/20 01 TRAILER CABLE, BRACKET 01-410-56-00-5628 119.14INVOICE TOTAL:119.14 *CHECK TOTAL:119.14 532549 FOXVALLE FOX VALLEY TROPHY & AWARDS3651403/11/20 01 202 SPRING SOCCER MEDALS79-795-56-00-5606937.50INVOICE TOTAL:937.50 *CHECK TOTAL:937.50 532550 FOXVALSA FOX VALLEY SANDBLASTING4179001/29/20 01 SANDBLAST TRAILER79-790-54-00-5495900.00INVOICE TOTAL:900.00 *CHECK TOTAL:900.00D001586 FREDRICR ROB FREDRICKSON04012004/01/20 01 MAR 2020 MOBILE EMAIL01-120-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532551 FVFSFOX VALLEY FIRE & SAFETYIN0034555703/21/20 01 MINIMUM BILLING FOR FIRE23-216-54-00-544630.0002 EXTINGUISHER ANNUAL SERVICE AT ** COMMENT **03 185 WOLF STREET** COMMENT **INVOICE TOTAL:30.00 *IN0034555803/21/20 01 ABC FIRE EXTINGUISHER ANNUAL 23-216-54-00-5446277.00Page 17 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532551 FVFS FOX VALLEY FIRE & SAFETYIN00345558 03/21/20 03 SERVICE AT 201 W HYDRAULIC ** COMMENT **INVOICE TOTAL:277.00 *CHECK TOTAL:307.00D001587 GALAUNEJ JAKE GALAUNER04012004/01/20 01 MAR 2020 MOBILE EMAIL79-795-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001588 GARCIAL LUIS GARCIA04012004/01/20 01 MAR 2020 MOBILE EMAIL51-510-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532552 GLATFELT GLATFELTER UNDERWRITING SRVS.9399119-404/01/20 01 LIABILITY INS INSTALLMENT #4 01-000-14-00-14009,901.5902 LIABILITY INS INSTALLMENT #4-P 01-000-14-00-14001,940.8803 LIABILITY INS INSTALLMENT #4-L 01-000-14-00-1400918.6904 LIABILITY INS INSTALLMENT #4 51-000-14-00-14001,096.4405 LIABILITY INS INSTALLMENT #4 52-000-14-00-1400531.40INVOICE TOTAL:14,389.00 *CHECK TOTAL:14,389.00 532553 HACHHACH COMPANY1187366703/10/20 01 CHEMICALS51-510-56-00-563838.44INVOICE TOTAL:38.44 *CHECK TOTAL:38.44Page 18 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001589 HARMANR RHIANNON HARMON040120 04/01/20 01 MAR 2020 MOBILE EMAIL 79-795-54-00-5440 45.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001590 HENNED DURK HENNE04012004/01/20 01 MAR 2020 MOBILE EMAIL01-410-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001591 HERNANDA ADAM HERNANDEZ04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532554 HERNANDN NOAH HERNANDEZ04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *CHECK TOTAL:45.00D001592 HORNERR RYAN HORNER04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00Page 19 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001593 HOULEA ANTHONY HOULE040120 04/01/20 01 MAR 2020 MOBILE EMAIL 79-790-54-00-5440 45.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532555 HOUSEAL HOUSEAL LAVIGNE ASSOCIATES454503/25/20 01 FEB 2020 PROFESSIONAL01-220-54-00-54623,162.5002 CONSULTING SERVICES** COMMENT **INVOICE TOTAL:3,162.50 *CHECK TOTAL:3,162.50 532556 ILTREASU STATE OF ILLINOIS TREASURER9104/01/20 01 RT47 EXPANSION PYMT #9115-155-60-00-60796,148.8902 RT47 EXPANSION PYMT #9151-510-60-00-60793,780.9803 RT47 EXPANSION PYMT #9152-520-60-00-60791,873.4804 RT47 EXPANSION PYMT #9188-880-60-00-6079624.01INVOICE TOTAL:12,427.36 *CHECK TOTAL:12,427.36 532557 INLAND INLAND CONTINENTAL PROPERTY123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-549250,981.2702 REBATE** COMMENT **INVOICE TOTAL:50,981.27 *CHECK TOTAL:50,981.27 532558 IPRFILLINOIS PUBLIC RISK FUND6220303/16/20 01 MAY 2020 WORK COMP INS01-000-14-00-140010,695.71Page 20 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532558 IPRF ILLINOIS PUBLIC RISK FUND62203 03/16/20 02 MAY 2020 WORK COMP INS-P 01-000-14-00-1400 2,096.5303 MAY 2020 WORK COMP INS-L01-000-14-00-1400992.3704 MAY 2020 WORK COMP INS51-000-14-00-14001,184.3705 MAY 2020 WORK COMP INS52-000-14-00-1400574.02INVOICE TOTAL:15,543.00 *CHECK TOTAL:15,543.00 532559 ITRON ITRON48262104/11/18 01 MAY 2018 HOSTING SERICES51-510-54-00-5462577.28INVOICE TOTAL:577.28 *49919410/12/18 01 NOV 2018 HOSTING SERVICES 51-510-54-00-5462577.27INVOICE TOTAL:577.27 *55016403/12/20 01 APR 2020 HOSTING SERVICES 51-510-54-00-5462624.39INVOICE TOTAL:624.39 *CHECK TOTAL:1,778.94D001594 JACKSONJ JAMIE JACKSON04012004/01/20 01 MAR 2020 MOBILE EMAIL52-520-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001595 JOHNGEOR GEORGE JOHNSON04012004/01/20 01 MAR 2020 MOBILE EMAIL51-510-54-00-544022.5002 REIMBURSEMENT** COMMENT **03 MAR 2020 MOBILE EMAIL52-520-54-00-544022.50Page 21 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001595 JOHNGEOR GEORGE JOHNSON040120 04/01/20 04 REIMBURSEMENT ** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532560 JUSTSAFE JUST SAFETY, LTD3425003/12/20 01 FIRST AID SUPPLIES79-790-56-00-562059.60INVOICE TOTAL:59.60 *CHECK TOTAL:59.60 532561 KCSHERIF KENDALL CO. SHERIFF'S OFFICEFEB 2020-DUPAGE03/12/20 01 DUPAGE COUNTY FTA BOND FEE 01-000-24-00-241270.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:70.00 *CHECK TOTAL:70.00 532562 KENDCROS KENDALL CROSSING, LLCAMU REBATE-02/20 03/16/20 01 NCG AMUSMENT TAX REBATE-FEB 20 01-640-54-00-54392,029.65INVOICE TOTAL:2,029.65 *CHECK TOTAL:2,029.65D001596 KLEEFISG GLENN KLEEFISCH04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00Page 22 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532563 LAWSON LAWSON PRODUCTS937467650 03/16/20 01 O RINGS, NUTS, WASHERS, 01-410-56-00-5620 157.9402 SCREWS, CONNECTORS, COUPLER, ** COMMENT **03 HEAT SEALS** COMMENT **04 O RINGS, NUTS, WASHERS,51-510-56-00-5620157.9305 SCREWS, CONNECTORS, COUPLER, ** COMMENT **06 HEAT SEALS** COMMENT **07 O RINGS, NUTS, WASHERS,52-520-56-00-5620157.9308 SCREWS, CONNECTORS, COUPLER, ** COMMENT **09 HEAT SEALS** COMMENT **INVOICE TOTAL:473.80 *CHECK TOTAL:473.80 532564 LEADONLI LEADS ONLINE LLC25488903/15/20 01 LEADS ON LINE TOTAL TRACK 01-000-14-00-14002,238.0002 INVESTIGATION SYSTEM SERVICE ** COMMENT **03 PACKAGE RENEWAL FOR** COMMENT **04 05/01/20-04/30/21** COMMENT **INVOICE TOTAL:2,238.00 *CHECK TOTAL:2,238.00 532565 LINCOLNF LINCOLN FINANCIAL GROUP405983427103/20/20 01 APR 2020 LIFE INS01-110-52-00-5222116.9802 APR 2020 LIFE INS-EO01-110-52-00-52226.8303 APR 2020 LIFE INS01-120-52-00-522220.4904 APR 2020 LIFE INS01-210-52-00-5222398.7305 APR 2020 LIFE INS01-220-52-00-522234.9706 APR 2020 LIFE INS01-410-52-00-5222152.2407 APR 2020 LIFE INS79-790-52-00-522248.3708 APR 2020 LIFE INS79-795-52-00-522264.3309 APR 2020 LIFE INS51-510-52-00-522256.96Page 23 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532565 LINCOLNF LINCOLN FINANCIAL GROUP4059834271 03/20/20 10 APR 2020 LIFE INS 52-520-52-00-5222 93.3711 APR 2020 LIFE INS82-820-52-00-522228.94INVOICE TOTAL:1,022.21 *CHECK TOTAL:1,022.21 532566 MENINC MENARDS INC123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-549256,524.1502 REBATE** COMMENT **INVOICE TOTAL:56,524.15 *CHECK TOTAL:56,524.15 532567 MENLAND MENARDS - YORKVILLE7761803/09/20 01 PAINT ROLLERS01-410-56-00-562011.07INVOICE TOTAL:11.07 *7763303/09/20 01 TAPER PUNCH, SOCKETS, TOW 79-790-56-00-5630121.1302 STRAP, ADAPTERS, WRENCH, NUT ** COMMENT **03 DRIVER** COMMENT **INVOICE TOTAL:121.13 *7765803/09/20 01 UTILITY KNIFE, HOOK BLADES 51-510-56-00-56204.68INVOICE TOTAL:4.68 *7766603/09/20 01 BULB79-790-56-00-564033.97INVOICE TOTAL:33.97 *7766703/09/20 01 TAPCON BIT, TAPCON HEX79-790-56-00-564020.43INVOICE TOTAL:20.43 *7773103/10/20 01 COUPLING, GFCI51-510-56-00-562022.73INVOICE TOTAL:22.73 *Page 24 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532567 MENLAND MENARDS - YORKVILLE77763 03/10/20 01 SOCKET 79-790-56-00-5630 13.49INVOICE TOTAL:13.49 *7776703/10/20 01 PAINT THINNER01-410-56-00-562011.98INVOICE TOTAL:11.98 *7782003/11/20 01 TRAILER PAINT01-410-56-00-562834.98INVOICE TOTAL:34.98 *7783703/11/20 01 BULBS01-410-56-00-562817.64INVOICE TOTAL:17.64 *7785303/11/20 01 BLADES, WIRE PULL LUBE,01-410-56-00-562859.7302 ELECTRICAL TAPE** COMMENT **INVOICE TOTAL:59.73 *7786103/11/20 01 BULBS23-216-56-00-565659.97INVOICE TOTAL:59.97 *7786303/25/20 01 PEX ADAPTER51-510-56-00-56202.19INVOICE TOTAL:2.19 *77869-2003/11/20 01 RATCHET52-520-56-00-562025.76INVOICE TOTAL:25.76 *7793703/12/20 01 SAW BLADE01-410-56-00-562012.99INVOICE TOTAL:12.99 *7793903/12/20 01 HOSE CLAMP, COUPLING, TUBING, 79-790-56-00-564028.3002 BOARD** COMMENT **INVOICE TOTAL:28.30 *7796503/12/20 01 QUICK LINKS, SNAP SPRING EYE 23-216-56-00-56567.66INVOICE TOTAL:7.66 *Page 25 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532567 MENLAND MENARDS - YORKVILLE78099 03/13/20 01 MURIATIC ACID 51-510-56-00-5638 3.99INVOICE TOTAL:3.99 *7811003/13/20 01 SPRING SNAPS79-790-56-00-56406.16INVOICE TOTAL:6.16 *7839803/16/20 01 SAW BLADES, CONTRACTOR BAGS 79-790-56-00-562089.91INVOICE TOTAL:89.91 *7840203/16/20 01 DRILL COMBO, DRILL BIT, NUTS, 52-520-56-00-562033.3602 WASHERS, DRILLBLOCK. WRENCH ** COMMENT **INVOICE TOTAL:33.36 *7840403/16/20 01 PAINT BRUSH01-410-56-00-56209.98INVOICE TOTAL:9.98 *7842503/16/20 01 CLEANER01-410-56-00-56408.93INVOICE TOTAL:8.93 *7844003/16/20 01 CORD GRIP CONNECTOR01-410-56-00-56202.98INVOICE TOTAL:2.98 *7851603/17/20 01 CLOROX79-790-56-00-5620 COVID-1923.57INVOICE TOTAL:23.57 *7853003/17/20 01 ROD CLAMPS01-410-56-00-56425.56INVOICE TOTAL:5.56 *7854703/17/20 01 INSTANT WATERSTOP01-410-56-00-56427.29INVOICE TOTAL:7.29 *7855503/17/20 01 400W BULB01-410-56-00-564227.99INVOICE TOTAL:27.99 *7862403/18/20 01 SCREWDRIVER, BULBS52-520-56-00-561354.95INVOICE TOTAL:54.95 *Page 26 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532567 MENLAND MENARDS - YORKVILLE78639 03/18/20 01 TANK SPRAYER, MEASURING CUPS, 23-216-56-00-5656 COVID-19 131.10INVOICE TOTAL:131.10 *7866003/18/20 01 TABLE SET FOR LIFT STATION 52-520-56-00-5610 COVID-1979.99INVOICE TOTAL:79.99 *78670-2003/18/20 01 BACKPACK TANK SPRAYER, PAPER 79-790-56-00-5620 COVID-19229.1502 TOWELS, TERRY TOWELS, LAUNDRY ** COMMENT **03 SOAP, GAIN, ZEP** COMMENT **INVOICE TOTAL:229.15 *7871903/19/20 01 SHARPIE MARKER, BRUSHES, ELBOW 51-510-56-00-563841.8602 TUBE CUTTER, COPPER PIPE, CLR ** COMMENT **03 REMOVER, COUPLING, ADAPTER** COMMENT **INVOICE TOTAL:41.86 *CHECK TOTAL:1,245.47 532568 MIDWSALT MIDWEST SALTP45104803/11/20 01 BULK ROCK SALT51-510-56-00-56382,650.13INVOICE TOTAL:2,650.13 *P45109703/17/20 01 BULK ROCK SALT51-510-56-00-56382,709.63INVOICE TOTAL:2,709.63 *P45118003/23/20 01 BULK ROCK SALT51-510-56-00-56382,485.91INVOICE TOTAL:2,485.91 *CHECK TOTAL:7,845.67 532569 MUNCOLLE MUNICIPAL COLLECTION SERVICES01635802/29/20 01 COMMISSION ON COLLECTIONS 01-210-54-00-5467183.78INVOICE TOTAL:183.78 *Page 27 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532569 MUNCOLLE MUNICIPAL COLLECTION SERVICES016359 02/29/20 01 COMMISSION ON COLLECTIONS 01-210-54-00-5467 70.02INVOICE TOTAL:70.02 *CHECK TOTAL:253.80D001597 NELCONT TYLER NELSON04012004/01/20 01 MAR 2020 MOBILE EMAIL79-795-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532570 NEMRT NORTH EAST MULTI-REGIONAL27161703/16/20 01 BREATH ANALYSIS FOR ALCOHOL 01-210-54-00-5412125.0002 TRAINING-FISHER** COMMENT **INVOICE TOTAL:125.00 *CHECK TOTAL:125.00 532571 NICOR NICOR GAS16-00-27-3553 4-0220 03/13/20 01 02/11-03/13 1301 CAROLYN CT 01-110-54-00-548038.39INVOICE TOTAL:38.39 *31-61-67-2493 1-0220 03/12/20 01 02/09-03/12 276 WINDHAM CR 01-110-54-00-548038.86INVOICE TOTAL:38.86 *40-52-64-8356 1-0220 03/09/20 01 02/04-03/06 102 E VAN EMMON 01-110-54-00-5480369.40INVOICE TOTAL:369.40 *45-12-25-4081 3-0220 03/13/20 01 02/009-03/12 201 W HYDRAULIC 01-110-54-00-5480190.50INVOICE TOTAL:190.50 *Page 28 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532571 NICOR NICOR GAS46-69-47-6727 1-0220 03/10/20 01 02/07-03/08 1975 N BRIDGE ST 01-110-54-00-5480 118.14INVOICE TOTAL:118.14 *61-60-41-1000 9-0220 03/09/20 01 02/02-03/03 610 TOWER LANE 01-110-54-00-5480677.98INVOICE TOTAL:677.98 *62-37-86-4779 6-0220 03/10/20 01 02/07-03/08 185 WOLF STREET 01-110-54-00-5480324.76INVOICE TOTAL:324.76 *66-70-44-6942 9-0220 03/10/20 01 02/0-03/08 1908 RAINTREE RD 01-110-54-00-5480124.20INVOICE TOTAL:124.20 *80-56-05-1157 0-0220 03/10/20 01 02/07-03/08 2512 ROSEMONT RD 01-110-54-00-548054.51INVOICE TOTAL:54.51 *CHECK TOTAL:1,936.74 532572 OMALLEY O'MALLEY WELDING & FABRICATING1920003/05/20 01 TUBE01-410-56-00-562035.00INVOICE TOTAL:35.00 *1920203/06/20 01 PLASMA CUTTING: DRAW, PROGRAM 01-410-56-00-5640105.0002 AND 2 LIGHT BRACKETS** COMMENT **INVOICE TOTAL:105.00 *CHECK TOTAL:140.00 532573 PFPETT P.F. PETTIBONE & CO.17840402/28/20 01 CITY ID-SCOTT79-790-54-00-546212.0002 CITY ID-CONARD51-510-54-00-543012.00INVOICE TOTAL:24.00 *CHECK TOTAL:24.00Page 29 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532574 PURCELLJ JOHN PURCELL040120 04/01/20 01 MAR 2020 MOBILE EMAIL 01-110-54-00-5440 45.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *CHECK TOTAL:45.00 532575 R0001975 RYAN HOMES3112 LAUREN03/13/20 01 REFUND PERMIT 20190133 FEES 01-000-42-00-42101,338.0002 REFUND PERMIT 20190133 FEES 23-000-42-00-4218150.0003 REFUND PERMIT 20190133 FEES 25-000-42-00-4215300.0004 REFUND PERMIT 20190133 FEES 25-000-42-00-4218100.0005 REFUND PERMIT 20190133 FEES 25-000-42-00-4219700.0006 REFUND PERMIT 20190133 FEES 42-000-42-00-420825.0007 REFUND PERMIT 20190133 FEES 51-000-44-00-4430550.0008 REFUND PERMIT 20190133 FEES 52-000-44-00-4455200.0009 REFUND PERMIT 20190133 FEES 52-000-44-00-44561,800.0010 REFUND PERMIT 20190133 FEES 72-000-47-00-47061,006.6811 REFUND PERMIT 20190133 FEES 84-000-42-00-4214500.0012 REFUND PERMIT 20190133 FEES 95-000-24-00-2452300.0013 REFUND PERMIT 20190133 FEES 95-000-24-00-24534,392.0714 REFUND PERMIT 20190133 FEES 25-000-42-00-422050.0015 REFUND PERMIT 20190133 FEES 51-000-44-00-44502,660.00INVOICE TOTAL:14,071.75 *4248 MILLBROOK03/13/20 01 REFUND PERMIT 20190644 FEES 01-000-42-00-42101,200.2002 REFUND PERMIT 20190644 FEES 51-000-44-00-4430550.0003 REFUND PERMIT 20190644 FEES 52-000-44-00-4456300.0004 REFUND PERMIT 20190644 FEES 52-000-44-00-4455200.0005 REFUND PERMIT 20190644 FEES 42-000-42-00-420825.0006 REFUND PERMIT 20190644 FEES 01-000-42-00-421035.0007 REFUND PERMIT 20190644 FEES 25-000-42-00-4219700.0008 REFUND PERMIT 20190644 FEES 25-000-42-00-4215300.0009 REFUND PERMIT 20190644 FEES 84-000-42-00-4214500.00Page 30 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532575 R0001975 RYAN HOMES4248 MILLBROOK 03/13/20 10 REFUND PERMIT 20190644 FEES 25-000-42-00-4220 50.0011 REFUND PERMIT 20190644 FEES 25-000-42-00-4218100.0012 REFUND PERMIT 20190644 FEES 95-000-24-00-2456182.7013 REFUND PERMIT 20190644 FEES 23-000-42-00-42222,000.0014 REFUND PERMIT 20190644 FEES 01-000-42-00-4210135.00INVOICE TOTAL:6,277.90 *4433 E MILLBROOK CR 03/13/20 01 REFUND PERMIT 20190022 FEES 01-000-24-00-24151,310.2002 REFUND PERMIT 20190022 FEES 51-000-44-00-4430550.0003 REFUND PERMIT 20190022 FEES 52-000-44-00-4456300.0004 REFUND PERMIT 20190022 FEES 52-000-44-00-4455200.0005 REFUND PERMIT 20190022 FEES 42-000-42-00-420825.0006 REFUND PERMIT 20190022 FEES 25-000-42-00-4219700.0007 REFUND PERMIT 20190022 FEES 25-000-42-00-4215300.0008 REFUND PERMIT 20190022 FEES 84-000-42-00-4214500.0009 REFUND PERMIT 20190022 FEES 25-000-42-00-422050.0010 REFUND PERMIT 20190022 FEES 25-000-42-00-4218100.0011 REFUND PERMIT 20190022 FEES 95-000-24-00-2456182.7012 REFUND PERMIT 20190022 FEES 23-000-42-00-42222,000.0013 REFUND PERMIT 20190022 FEES 01-000-42-00-4210135.00INVOICE TOTAL:6,352.90 *CHECK TOTAL:26,702.55 532576 R0002208 HARI DEVELOPMENT YORKVILLE LLC123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-54921,081.5202 REBATES** COMMENT **INVOICE TOTAL:1,081.52 *CHECK TOTAL:1,081.52 532577 R0002335 LARISSA TOUTANT032120-TOUTANT03/17/20 01 03/21/20 BEECHER RENTAL01-000-48-00-482045.00Page 31 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532577 R0002335 LARISSA TOUTANT032120-TOUTANT 03/17/20 02 REFUND DUE TO CANCELLATION ** COMMENT **03 03/21/20 BEECHER DEPOSIT01-000-24-00-241050.0004 REFUND DUE TO CANCELLATION** COMMENT **INVOICE TOTAL:95.00 *CHECK TOTAL:95.00 532578 R0002336 ADAM WEST031720-RFND03/17/20 01 REFUND OVERPAYMENT ON FINAL 01-000-13-00-1371230.7002 BILL FOR ACCT #01025910256-02 ** COMMENT **INVOICE TOTAL:230.70 *CHECK TOTAL:230.70 532579 R0002337 ABBY PROPERTIES20200048-RFND03/13/20 01 PUBLIC HEARING SIGN REFUND 01-000-42-00-421050.00INVOICE TOTAL:50.00 *CHECK TOTAL:50.00 532580 R0002338 ANDREW KOMPERDA17828003/17/20 01 CLASS CANCELLATION REFUND 79-000-44-00-4403 COVID-1984.00INVOICE TOTAL:84.00 *CHECK TOTAL:84.00 532581 R0002339 JANEL REINHART17822303/16/20 01 CLASS CANCELLATION REFUND 79-000-44-00-4403 COVID-1935.00INVOICE TOTAL:35.00 *CHECK TOTAL:35.00Page 32 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532582 RASMUSSA AMBER RASMUSSEN032420-REIMB. 03/24/20 01 DOLLAR TREE-HAND SANITIZER, 01-210-56-00-5620 COVID-19 109.8402 CLOROX WIPES** COMMENT **INVOICE TOTAL:109.84 *CHECK TOTAL:109.84D001598 RATOSP PETE RATOS04012004/01/20 01 MAR 2020 MOBILE EMAIL01-220-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001599 REDMONST STEVE REDMON04012004/01/20 01 MAR 2020 MOBILE EMAIL79-795-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001600 ROSBOROS SHAY REMUS04012004/01/20 01 MAR 2020 MOBILE EMAIL79-795-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532583 RUSHTRCK RUSH TRUCK CENTER301841850602/21/20 01 MUFFLER CLAMP, PIPE SHIELD 01-410-56-00-562874.38INVOICE TOTAL:74.38 *CHECK TOTAL:74.38Page 33 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532584 SAFESUPP EMERGENT SAFETY SUPPLY1902693950 03/11/20 01 COVERALLS 52-520-56-00-5620 COVID-19 361.07INVOICE TOTAL:361.07 *CHECK TOTAL:361.07D001601 SCODROP PETER SCODRO04012004/01/20 01 MAR 2020 MOBILE EMAIL51-510-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001602 SCOTTTR TREVOR SCOTT031920-F&F03/19/20 01 STEEL-TOE BOOTS79-790-56-00-5600119.9902 JEANS79-790-56-00-560058.60INVOICE TOTAL:178.59 *DIRECT DEPOSIT TOTAL:178.59 532585 SEBIS SEBIS DIRECT2953603/12/20 01 FEB 2020 UTILITY BILLING01-120-54-00-5430350.0902 FEB 2020 UTILITY BILLING51-510-54-00-5430469.0803 FEB 2020 UTILITY BILLING52-520-54-00-5430218.8104 FEB 2020 UTILITY BILLING79-795-54-00-5426257.88INVOICE TOTAL:1,295.86 *CHECK TOTAL:1,295.86D001603 SENGM MATT SENG04012004/01/20 01 MAR 2020 MOBILE EMAIL01-410-54-00-544045.00Page 34 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001603 SENGM MATT SENG040120 04/01/20 02 REIMBURSEMENT ** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001604 SLEEZERJ JOHN SLEEZER04012004/01/20 01 MAR 2020 MOBILE EMAIL01-410-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001605 SLEEZERS SCOTT SLEEZER04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001606 SMITHD DOUG SMITH04012004/01/20 01 MAR 2020 MOBILE EMAIL79-790-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001607 SOELKET TOM SOELKE04012004/01/20 01 MAR 2020 MOBILE EMAIL52-520-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *Page 35 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------D001607 SOELKET TOM SOELKE040620-REIMB 04/06/20 01 REIMBURSEMENT FOR LICENSE 52-520-60-00-6070 233.5002 PLATES FOR NEW TRUCK** COMMENT **INVOICE TOTAL:233.50 *DIRECT DEPOSIT TOTAL:278.50D001608 STEFFANG GEORGE A STEFFENS04012004/01/20 01 MAR 2020 MOBILE EMAIL52-520-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532586 SUPERIOR SUPERIOR ASPHALT MATERIALS LLC2020012603/16/20 01 ASPHALT23-230-56-00-56321,540.00INVOICE TOTAL:1,540.00 *2020012903/17/20 01 ASPHALT23-230-56-00-56321,456.00INVOICE TOTAL:1,456.00 *CHECK TOTAL:2,996.00 532587 TRAFLOG TRAFFIC LOGIX CORPORATIONSIN0719203/05/20 01 WEB DIRECTOR ANNUAL SERVICE 01-410-54-00-54622,400.0002 FEE RENEWAL** COMMENT **INVOICE TOTAL:2,400.00 *CHECK TOTAL:2,400.00 532588 UMBBANK UMB BANK123119-STREBATE03/17/20 01 NOV 2019-JAN 2020 SALES TAX 01-640-54-00-5492124,418.99Page 36 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532588 UMBBANK UMB BANK123119-STREBATE 03/17/20 02 REBATE ** COMMENT **INVOICE TOTAL:124,418.99 *CHECK TOTAL:124,418.99 532589 VITOSH CHRISTINE M. VITOSH197803/27/20 01 KMP PUD AGREEMENT90-154-00-00-0011421.6702 TEXT AMENDMENT FOR01-220-54-00-546246.8503 ALTERNATIVE ENERGY SYSTEMS** COMMENT **INVOICE TOTAL:468.52 *CHECK TOTAL:468.52 532590 WATERSYS WATER SOLUTIONS UNLIMITED, INC3494303/13/20 01 CHEMICALS51-510-56-00-56383,480.17INVOICE TOTAL:3,480.17 *CHECK TOTAL:3,480.17D001609 WEBERR ROBERT WEBER04012004/01/20 01 MAR 2020 MOBILE EMAIL01-410-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00 532591 WELDSTAR WELDSTAR0181457412/07/19 01 OXYGEN, ACETYLENE, CYL TRUCK, 79-790-56-00-5630600.3602 PERFORMER EDGE KIT** COMMENT **INVOICE TOTAL:600.36 *CHECK TOTAL:600.36Page 37 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532592 WEX WEX BANK64690596 03/31/20 01 MARCH 2020 GASOLINE 01-210-56-00-5695 4,300.6302 MARCH 2020 GASOLINE51-510-56-00-5695462.4903 MARCH 2020 GASOLINE01-220-56-00-5695132.9804 MARCH 2020 GASOLINE01-410-56-00-5695465.6405 MARCH 2020 GASOLINE52-520-56-00-5695473.52INVOICE TOTAL:5,835.26 *CHECK TOTAL:5,835.26 532593 WILKINSO WILKINSON EXCAVATING, INC.1310003/26/20 01 ENGINEER'S PAYMENT ESTIMATE 23-230-60-00-60235,435.9002 #5 FOUNTAIN VILLAGE COMPLETION ** COMMENT **03 OF IMPROVEMENTS** COMMENT **INVOICE TOTAL:5,435.90 *CHECK TOTAL:5,435.90D001610 WILLRETE ERIN WILLRETT04012004/01/20 01 MAR 2020 MOBILE EMAIL01-110-54-00-544045.0002 REIMBURSEMENT** COMMENT **INVOICE TOTAL:45.00 *DIRECT DEPOSIT TOTAL:45.00D001611 YBSDYORKVILLE BRISTOL2020.00604/01/20 01 APR 2020 KANDFILL EXPENSE 51-510-54-00-544510,943.23INVOICE TOTAL:10,943.23 *DIRECT DEPOSIT TOTAL:10,943.23 532594 YOUNGM MARLYS J. YOUNGPage 38 of 42
01-110ADMINISTRATION11-111FOXHILLSSA25-225PARKS&RECCAPITAL82-820LIBRARYOPERATIONS01-120FINANCE12-112SUNFLOWERESTATES42-420DEBTSERVICE84-840LIBRARYCAPITAL01-210POLICE15-155MOTORFUELTAX(MFT)51-510WATEROPERATIONS87-870COUNTRYSIDETIF01-220COMMUNITYDEVELOPMENT23-216MUNICIPALBUILDING52-520SEWEROPERATIONS88-880DOWNTOWNTIF01-410STREETOPERATIONS23-230CITY-WIDECAPITAL72-720LANDCASH89-890DOWNTOWNTIFII01-540HEALTH&SANITATION25-205POLICECAPITAL79-790PARKSDEPARTMENT90-XXXDEVELOPERESCROW01-640ADMINISTRATIVESERVICES25-215PUBLICWORKSCAPITAL79-795RECREATIONDEPARTMENT95-XXXESCROWDEPOSITDATE: 04/07/20TIME: 08:43:40UNITED CITY OF YORKVILLE&+(&.5(*,67(5ID: AP211001.W0WINVOICES DUE ON/BEFORE 04/14/2020CHECK # VENDOR # INVOICE ITEMINVOICE # DATE # DESCRIPTION ACCOUNT # PROJECT CODE ITEM AMT------------------------------------------------------------------------------------------------------------------------------------ 532594 YOUNGM MARLYS J. YOUNG031120 03/29/20 01 MENARDS FINAL PLAT 90-146-00-00-0011 11.0502 KMP AMENDMENT & FINAL PLAT 90-154-00-00-001182.8803 TEXT AMENDMENT FOR01-220-54-00-546211.0504 ALTERNATIVE ENERGY SYSTEMS** COMMENT **05 CONFIRMATION OF FINAL PLAT 01-220-54-00-54625.5206 APPROVAL FOR RAINTREE VILLAGE ** COMMENT **INVOICE TOTAL:110.50 *CHECK TOTAL:110.50447,973.0435,166.82TOTAL CHECKS PAID:TOTAL ',5(&7DEPOSITS PAID:TOTAL AMOUNT PAID:483,139.86Page 39 of 42
REGULAR OVERTIME TOTAL IMRF FICA TOTALSMAYOR & LIQ. COM.908.34$ -$ 908.34$ -$ 69.49$ 977.83$ ALDERMAN4,000.00 - 4,000.00 - 306.00 4,306.00 ADMINISTRATION20,110.10 - 20,110.10 2,246.29 1,484.24 23,840.63 FINANCE11,203.46 - 11,203.46 1,251.42 829.74 13,284.62 POLICE118,071.50 2,323.74 120,395.24 723.73 8,798.02 129,916.99 COMMUNITY DEV.19,119.70 - 19,119.70 2,135.67 1,402.33 22,657.70 STREETS17,117.82 292.10 17,409.92 1,875.44 1,268.92 20,554.28 WATER16,944.35 236.65 17,181.00 1,919.11 1,262.75 20,362.86 SEWER9,569.70 - 9,569.70 1,068.93 691.63 11,330.26 PARKS20,382.86 - 20,382.86 2,233.87 1,481.60 24,098.33 RECREATION18,501.29 - 18,501.29 1,511.74 1,376.38 21,389.41 LIBRARY17,231.30 - 17,231.30 1,176.64 1,287.02 19,694.96 TOTALS273,160.42$ 2,852.49$ 276,012.91$ 16,142.84$ 20,258.12$ 312,413.87$ TOTAL PAYROLL312,413.87$ UNITED CITY OF YORKVILLEPAYROLL SUMMARYMarch 20, 2020Page 40 of 42
REGULAR OVERTIME TOTAL IMRF FICA TOTALSADMINISTRATION20,860.09$ -$ 20,860.09 2,338.44$ 1,547.35$ 24,745.88$ FINANCE10,703.46 - 10,703.46 1,212.32 802.96 12,718.74$ POLICE112,296.28 321.95 112,618.23 723.73 8,226.04 121,568.00$ COMMUNITY DEV.19,119.69 - 19,119.69 2,169.17 1,425.29 22,714.15$ STREETS16,071.03 48.68 16,119.71 1,773.77 1,170.23 19,063.71$ WATER16,277.75 - 16,277.75 1,834.97 1,194.68 19,307.40$ SEWER8,903.11 - 8,903.11 994.47 640.44 10,538.02$ PARKS21,063.64 - 21,063.64 2,357.94 1,541.32 24,962.90$ RECREATION14,125.65 - 14,125.65 1,520.12 1,047.37 16,693.14$ LIBRARY17,319.63 - 17,319.63 1,193.40 1,305.24 19,818.27$ TOTALS256,740.33$ 370.63$ 257,110.96$ 16,118.33$ 18,900.92$ 292,130.21$ TOTAL PAYROLL292,130.21$ UNITED CITY OF YORKVILLEPAYROLL SUMMARYApril 3, 2020Page 41 of 42
ACCOUNTS PAYABLE DATE
Clerk's Check #131169- Kendall County Recorder (Page 1)03/27/2020 102.00$
Clerk's Check #131170- Kendall County Recorder (Page 1)03/27/2020 27.00
Manual City Check Register (Page 2)03/31/2020 35,792.40
City Check Register (Pages 3 - 39)04/14/2020 483,139.86
SUB-TOTAL: $519,061.26
Bi - Weekly (Page 40)03/20/2020 312,413.87$
Bi - Weekly (Page 41)04/03/2020 292,130.21
SUB-TOTAL: 604,544.08$
TOTAL DISBURSEMENTS:1,123,605.34$
UNITED CITY OF YORKVILLE
BILL LIST SUMMARY
Tuesday, April 14, 2020
PAYROLL
Page 42 of 42
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Mayor’s Report #1
Tracking Number
CC 2020-16
2019 Year End Report
City Council – April 14, 2020
Please see attached.
Erin Willrett Administration
Name Department
2019
Department
Annual Reports
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Administration Department 2019
• 153 FOIA requests
were processed
• Participated in
National Suicide
Prevention
Awareness + Action
Month Proclamation
Project (NSPAMP)
• Participated in the
National Mayor’s
Challenge for Water
Conservation
• Distributed the 2019
City Survey, the
results will be
analyzed in 2020
The Old Jail (111 W. Madison Street) was sold to KCJ Restoration.
Highlighted
Accomplishments
Shared Services
The City Council approved an intergovernmental
agreement with Oswego for the sharing of
governmental affairs services (Metra lobbyist – Fletcher,
O’Brien, Kasper & Nottage, P.C.). Agreement
contemplates Montgomery joining in Spring 2020.
At a Glance
Secured $100,000,000 in state funding for Kendall
County Metra Extension
On October 29th, BNSF Railway announced that six new
industrial locations have been awarded Certified Sites
designation. One of those sites is in Yorkville, IL!
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Administration Department 2019
Clerks License Issued 2019
Liquor 82
Solicitor 40
Video Gaming 15
Amusement Devices 10
Raffle 8
Massage Establishment 4
Mobile Food Vendor 5
Tobacco 1
Pawnbroker 1
Tattoo License –
Microblading only 2
Website and Social Media 2019
Facebook Followers 5,684
Twitter Followers 1,623
Website Visits 216,544
ITB the Purchase of Sports Uniforms and Equipment
ITB the Printing and Distribution of the Parks and
Recreation Program Catalog
ITB the Sale of a 7 City Vehicles
ITB the Construction of the Public Works Material
Storage Shed
ITB the Downtown Hill Landscaping Project
RFP Joint Purchase for Radios, Accessories and Licenses
RFP for the Design and Purchase of Playgrounds for
Multiple Parks
RFP for the Purchase of Athletic Uniforms and
Equipment
RFP for Enterprise Resources Planning Software
RFP for the Downtown Hill Landscaping and Sign
Project
RFQ for the Facility Master Plan
RFI for Document Scanning
RFI for Speed Signs
RFI for Fence Repair
RFI for Grass Seed & Fertilizer
RFI for Public Works Utility Truck & Truck Lift
RFI for Police Radio Purchase
RFI for Vehicle Leasing
By the Numbers
2019 Invitation to Bid (ITB)/Request for Proposals
(RFP)/Qualifications (RFQ)/Request for Information (RFI)
Operating with 77 Full-Time Employees, there was 96 in
2008 and 73 in 2005
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Community Development Department 2019
The City Council approved the
Neighborhood Design Manual for
the vintage homes located within
the historic downtown area.
Highlighted
Accomplishments
Approval of a developer incentive agreement for the Raintree Village subdivision
requiring pre-payment of certain development fees, infrastructure improvement
fees and permits a fee lock extension for 5 years (CalAtlantic/Lennar). Results in
the first new homes constructed in the subdivision since the recession.
• 178 new housing starts in
2019
• New Businesses
a. Holiday Inn Express
b. Planet Fitness
c. Cedarhurst Assisted
Living
d. Parma Pizza
e. Martini Banquet Hall
f. Flight Team
g. Roadhouse 47
h. Paradise Cove
i. Burnt Barrel Social
j. Arby’s
k. Luxe Kitchen Interiors
l. Chicago Title
m. United Investors
n. Mathers Recovery
o. Edwards Yorkville Sleep
Center
p. Dhuse Chiropractic
q. Spirit Halloween
r. Razor Sharp Barber Shop
s. DLH Food Service
t. Thai Tanium
Performance LLC
u. Critter Care
v. Little Learners
w. Mutual of Omaha
x. No. 1 China Buffet
y. Smokey’s BBQ
z. Target (renovation)
aa. WLK Enterprises
bb. Yorkville Produce
cc. Space Center
dd. Reflections Gallery
ee. Baird & Warner
ff. Johnny’s Towing
At a Glance
The City Council approved the
Downtown Overlay District consisting of
a Streetscape Masterplan and Form-
Based Code.
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Community Development Department 2019
By the Numbers
The update to the city’s Building Code from the 2009
series of the International Code to the 2018 series was
approved. The 2018 International Codes represent the
most current comprehensive building standards
available for the construction community.
Initiated the Unified Development Ordinance
(UDO) project to modernize and consolidate the
various existing City ordinances into a cohesive,
single-reference, graphic-based document and a
web-based smart code.
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Finance Department 2019
• The City’s bond rating
was upgraded from
Fitch Ratings AA- to AA
in July 2019.
• Enterprise Resource
Software (ERP)
Request for Proposal
took place in early
2019 to look at other
options to replace the
City’s existing financial
software. Staff is
continuing to review
options for the city’s
software.
Fund balance percentage at end of Fiscal Year 19 was
43%, for an approximate total of $6.9m. For the Fiscal
Year End 20, we are projecting that it will be at 40%
and over $6.5m.
Highlighted
Accomplishments At a Glance
The City was awarded the Certificate of Achievement for Excellence in Financial
Reporting by the Government Finance Officers Association (8th year in a row)
Certificate of Achievement for Excellence in Financial Reporting
Fund Balance
Coordinated the issuance of
the Windett Ridge Special
Service Area (SSA) refunding
bonds in the amount of $5.2
million in March 2019. This
refunding will save residents
of the Windett Ridge
subdivision over $1.2 million
in interest over the next 14
years.
SSA Refunding
Loan Refunding
Partnered with First National
Bank to issue a loan
refunding the note payable
for the 185 Wolf Street
building. The resulting loan
reduced total interest costs
by $63,000 over the
remaining life of the loan.
Credit Card Rebate
The City’s credit card rebate
program generated $21,250
in FY 19; for a total of
$77,750 since the program
began in FY 15
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Finance Department 2019
By the Numbers
Staff Changes and Milestones
Rachel Wright has been with the
City for 15 years. Thank you for
your service!
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Parks and Recreation Department 2019
• 34 city wide special events were
hosted including Hometown
Days, Cruise nights, Yorktober
Fest, and the Yorkville Holiday
Celebration.
• Installed new roof at the Town
Square gazebo.
• Installed more than 800 yards of
safety surfacing at all
playground locations
• Installed new soccer field at
Caledonia Park.
• Adult Kickball League was
created.
In 2019, the Yorkville Parks and Recreation Department took over the
coordination and overall operations of the Yorkville Youth Baseball
Softball Association’s In-House Leagues. Nearly 900 players participated
between the Spring and Fall Leagues earning over $185,000 in new
revenue. The leagues spanned over an 8-month period starting in March
with the Spring League and ending in October with the Fall League. A
total of 14 Yorkville fields were utilized for the league with an average of
8 fields prepped daily for practices and games throughout the week.
Highlighted
Accomplishments
Scarecrow Walk
Staff created a new Scarecrow Walk along the wooded
trail on the eastern end of Riverfront Park. This gained a
lot of traction as several families visited the park to see
the creative scarecrows along the trail. We plan to
expand in 2020 and invite local businesses and
organizations to create and submit scarecrows.
At a Glance
Yorkville Youth Baseball/Softball
NEW!
2019 Holiday
Celebration
Tree
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Parks and Recreation Department 2019
v
Parks and Recreation Programs 2017 2018 2019
Parker’s Playtime Preschool and
Ready, Set, Go Enrollment
100 103 104
Total Youth Athletic League
Participation
1,366 1,331 2206
% of programs at minimum
registration capacity
77% 79% 76%
Total Number of Special Events 21 34 32
Number of Adults in Sports Leagues 468 345 520
Total Program Participation 2,728 3,370 4,712
Number of Volunteer Hours 6,500 7,250 13,500
By the Numbers
Staff Changes and Milestones
Thank you for your service!
Tim Evans (Left) – 15 Years
Steve Redmon (Center) – 5 Years
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Police Department 2019
Butter Burgers and Badges
• 1 new squad car was
purchased
• Numerous tours of the
Police Department
were held for scouts
and school groups.
• Chief Rich Hart and
Deputy Chief Terry
Klingel retired from the
department.
• Behr Pfizenmaier was
promoted to Deputy
Chief, Pat McMahon
and Mitchell Carlyle
were promoted to
Sergeant
Pet Adoption
Shop with a Cop
YPD has partnered with Kendall County Animal Control to host a dog at
the police department every other Wednesday to help find the dog a
home. YPD staff will post a variety of photos and funny videos on our
Facebook page to attract interest in not only the visiting dog, but other
animals that are up for adoption at Kendall County Animal Control. This
year we have hosted seven dogs, and out of those seven, six have found
homes.
Highlighted
Accomplishments
The Yorkville Police Department participated in
Shop with a Cop at the Yorkville Target. Our
partners for this event included Old Second Bank,
the Yorkville Citizens Police Academy and the
Yorkville Target. Twenty children from the
community were provided a gift card and were able
to Shop with a Cop for Christmas.
At a Glance
The police department partnered with Yorkville
Culvers in the Butter Burgers and Badges fundraising
event for Special Olympics. The Yorkville location
collected over $883 in donations from this
fundraiser and shared a ton of fun and smiles with
the community.
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Police Department 2019
Staff Changes and Milestones
Police Department Operations 2017 2018 2019
Training Hours *6 new officers attended a 560-hour
basic law enforcement academy
2,457 2,180 3,331*
Number of Sworn Officers 30 full-time
5 part-time
26 full-time
3 part-time
31 full-time
3 part-time
Number of Calls for Service 11,952 10,201 13,626
Total Arrests 593 612 662
DUI Arrests 41 37 19
Patrol Miles Driven *March 11 – December 31 247,183 279,987 196,241*
Officer Kuehlem
have been with the
department for 5
years.
Thank you for your
service!
Sergeant Jeleniewski,
Sergeant McMahon
and Deputy Chief
Mikalosek have been
with the department
for 15 years.
Thank you for your
service!
Sergeant McMahon DC Mikalosek Sergeant Jeleniewski
Chief Rich Hart retired in August with 27 years of
service. Thank you for your service!
Chief Jim Jensen was sworn in on August 13th.
Welcome to Yorkville!
By the Numbers
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Public Works Department 2019
• 24 trees were purchased
to plant throughout the
city on parkways, parks,
and other city
properties.
• There were 206 new
meter installations in
2019.
• Ordered 1 new dump
truck, it will be delivered
in 2020.
• 15,000 gallons of brine
was used in winter
operations.
• Used 1,600 tons of salt
during the winter
season.
Highlighted
Accomplishments
Mill Road Resurfacing Completed
The City partnered with Kendall County to resurface Mill Road.
At a Glance
Construction Projects
Road to Better Roads • Expansion of Route 34
west will be completed
in 2020
• Expansion of Route 34
east is completed
• Planning for Route 47
north has begun and is
funded
• Planning for Route 71
expansion has begun
State Route
Construction
Over 5,700 lane miles of roadway were
salted and over 11,000 miles were driven
by our large dump trucks. If we were to
add in the mileage of all the pickup trucks
that plowed, our total would easily be over
20,000 miles driven last year while
completing snow removal operations.
Hi the pot holes on Kennedy are just awful. I live in Mill Crossing so I drive on Kennedy everyday & have to dodge
them constantly. They are extremely bad between the rail road tracks & Galena. Can the city please check that area?
Thank you!!
Public Works Department 2019
Public Works Operations 2017 2018 2019
Lane Miles of Streets Swept 480 360 250
Miles of Right of Way Mowed 72 116 75
Gallons of Water Treated 563,178,000 620,123,000 592,829,200
Cubic Yards of Leaves Collected through
Public Works Collection
6,000 1,770 1,110
Lane Miles of Street resurfaced 4.7 6.0 2.17
Feet of Sewer Lines Relined/Replaced 4,180 3,655 205
Miles of Cleaned Sewer Mains 18.9 19.6 3.6
Number of Cleaned Storm Sewers, Inlets and
Catch Basins
216 214 283
By the Numbers
Staff Milestones
Bob Weber has been with the
department for 15 years. Thank
you for your service!
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Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
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Type of Vote Required:
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Agenda Item Notes:
Reviewed By:
Legal
Finance
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Parks and Recreation
Agenda Item Number
Mayor’s Report #2
Tracking Number
CC 2020-17
Ordinance Granting Emergency Powers to the Mayor of the United City of Yorkville
City Council – April 14, 2020
Majority
Approval
Please see attached.
Mayor John Purcell
Name Department
Ordinance No. 2020-____
Page 1
Ordinance No. 2020-_____
AN ORDINANCE GRANTING EMERGENCY POWERS TO THE
MAYOR OF THE UNITED CITY OF YORKVILLE
WHEREAS, the United City of Yorkville, Kendall County, Illinois (the “City”) is a duly
organized and validly existing non home-rule municipality created in accordance with the
Constitution of the State of Illinois of 1970 and the laws of the State; and
WHEREAS, the United States Centers for Disease Control (CDC), the United States
Department of Health and Human Services (HHS), and the World Health Organization (WHO)
have each determined that SARS-CoV-2 virus causes the COVID-19 respiratory disease which is
a new strain of coronavirus that had not been previously identified in humans and is easily spread
from person to person causing serious illness or death; and
WHEREAS, on January 31, 2020, the Secretary of HHS declared a public health
emergency for the entire United States of America concerning COVID-19; on March 9, 2020,
Governor Pritzker issued a disaster proclamation concerning the spread of COVID-19 in Illinois;
and on March 13, 2020 President Trump declared a national emergency concerning the COVID-
19 pandemic; and
WHEREAS, the Illinois Department of Public Health has now confirmed localized
community person-to-person transmission of COVID-19 in Illinois, significantly increases the
risk of exposure and infection to Illinois’ general public and creating an extreme public health
risk in the City and throughout the State. As has been experienced around the world, the SARS-
CoV-2 virus has the potential to infect large numbers of people in a short amount of time,
placing extreme burdens on the health care system and the economy; and
WHEREAS, in order to prevent the spread of COVID-19 in the City, and to protect the
residents of the City from disease and death, the Mayor and City Council deem it to be in the
best interest of the City’s residents, business owners, City officials and City staff to declare a
State of Emergency and authorize the Mayor to undertake the actions hereinafter set forth
deemed necessary to respond to this emergency; and
Ordinance No. 2020-____
Page 2
WHEREAS, the Illinois Municipal Code, 65 ILCS 5/11-1-6, provides for the declaration
of a state of emergency and the grant of extraordinary authority to the Mayor by ordinance
passed by the City Council; and
WHEREAS, the Illinois Emergency Management Agency Act, 20 ILCS 3305/11, further
provides for emergency local disaster declaration by the principal executive officer or his or her
interim emergency successors, which is the Mayor in the case of the City.
NOW, THEREFORE, BE IT ORDAINED, by the Mayor and City Council of the
United City of Yorkville, Kendall County, Illinois, as follows:
Section 1. – RECITALS
The foregoing recitals shall be and are hereby incorporated as findings of fact as if said
recitals were fully set forth herein.
Section 2. – LOCAL STATE OF EMERGENCY
It is hereby found that the declaration of the Department of Health and Human Services
and the proclamation of the Governor of the State of Illinois of the existence of a pending
disaster collectively affirm there exists a State of Emergency in the City.
Section 3. – ORDERS AUTHORIZED
In the interest of public safety and welfare and to address the issues caused by the
emergency, the Mayor is authorized to take the following actions during the State of Emergency:
1) Take all actions reasonably necessary to respond to the emergency;
2) Approve previously appropriated expenditures of the City for the purpose of
continuing the operations of the City;
3) In the event the State of Emergency extends beyond the current fiscal year and a new
budget has not been approved, the Mayor shall be authorized to approved new
spending by the City during the existence of this State of Emergency;
4) Order the closing of all retail liquor stores, including taverns and private clubs or
portions thereof wherein the consumption of intoxicating liquor and beer is permitted;
5) Order the discontinuance of the sale of alcoholic liquor by any wholesaler or retailer;
Ordinance No. 2020-____
Page 3
6) Order the discontinuance of selling, distributing or giving away gasoline or other
liquid flammable or combustible products in any container other than a gasoline tank
properly affixed to a motor vehicle;
7) Order the discontinuance of selling, distributing, dispensing or giving away of any
firearms or ammunition of any character whatsoever;
8) Take any and all actions authorized by the Illinois Emergency Management Agency
Act, 20 ILCS 3305/1 et seq., and in particular those set out in Section 10 “Local
Disaster Declarations” as may be made applicable to the City;
9) Suspend collective bargaining agreement terms other than compensation;
10) Authorize the delay or suspension of City programs or services, application deadlines,
penalty or late payment provisions associated with payment of City fees, adjudication
hearings, code enforcement, and zoning provisions;
11) Implement such emergency procedures as may be necessary for the preservation of
the health and safety of City employees;
12) Execute contracts for the purchase of goods and services to respond to and recover
from the COVID-19 pandemic;
13) Implement alternative staffing, protocols, and procedures for the City’s Police
Department and Public Works Department;
14) Order a general curfew applicable to such geographical areas of the City or to the
City as a whole, as deemed necessary in the interest of the public safety and welfare.
15) Cooperate and coordinate with all emergency operations of the County of Kendall,
State of Illinois and all other local governments to best utilize the resources of all
governments and agencies in the area to respond to the state of emergency.
Section 4. – DURATION
This Ordinance shall be in full force and effect until the first to occur, a declaration that
the State of Emergency no longer exists or the first regular meeting of the City Council after the
state of emergency has been declared. This Ordinance may be reinstated by the City Council at
any regular meeting so long as the state of emergency remains.
Ordinance No. 2020-____
Page 4
Section 5. – NOTICE
A copy of this Ordinance shall be posted at City Hall, Police Department, Yorkville
Public Library and at the Parks and Recreation offices.
Section 6. This ordinance shall be in full force and effect upon its passage, approval, and
publication as provided by law.
Passed by the City Council of the United City of Yorkville, Kendall County, Illinois this
____ day of __________________, A.D. 2020.
______________________________
CITY CLERK
KEN KOCH _________ DAN TRANSIER _________
JACKIE MILSCHEWSKI _________ ARDEN JOE PLOCHER _________
CHRIS FUNKHOUSER _________ JOEL FRIEDERS _________
SEAVER TARULIS _________ JASON PETERSON _________
APPROVED by me, as Mayor of the United City of Yorkville, Kendall County, Illinois
this ____ day of __________________, A.D. 2020.
______________________________
MAYOR
Attest:
______________________________
CITY CLERK
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Synopsis:
Council Action Previously Taken:
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Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
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Agenda Item Number
Mayor’s Report #3
Tracking Number
CC 2020-18
Fleet Surplus Disposal Request – Police Department SUVs
City Council – April 14, 2020
N/A
Majority
Approval
See Attached Memo
Carri Parker, Purchasing Manager Administration
Name Department
Summary
Authorizing the Disposal of Surplus Property Owned by the United City of Yorkville.
Background
During the budgeting process, staff evaluates its department fleet based on the Fleet Replacement
Policy. Staff uses the Vehicle Replacement Evaluation Form to determine if a vehicle should continue
its service within the said department or be repurposed or replaced/dispose of. Once the determination is
reached to replace or dispose of the vehicle, it is up to the City Council to approve such action.
Squad M4 - 2003 GMC Yukon VIN #1GKEK13ZX3J341537
This vehicle is a 2003 GMC Yukon (4WD) with 124,445 miles. The vehicle was previously a police
seizure and is currently assigned to investigations. Due to its age, mileage and reliability this vehicle is
not authorized to leave the city. In fiscal year 2020, the vehicle maintenance costs for this vehicle totaled
$1,660.76. Should the vehicle remain in the PD fleet, it would require costly additional repairs. In
accordance with the Fleet Replacement Policy, this vehicle is classified as a high priority replacement
with a score of 39.
Squad M12 - 2013 Chevrolet Tahoe VIN #1GNLC2E07DR342448
This vehicle is a 2013 Chevrolet Tahoe (2WD) with 140,780 miles. The vehicle was originally
purchased for $26,935.00 in 2013. This vehicle spent the majority of its time as a patrol vehicle, until
being assigned to administrative duty last summer. Due to its age, mileage and reliability this vehicle
will not be authorized to leave the city. In fiscal year 2020, the vehicle maintenance costs for this vehicle
totaled $616.48. Should the vehicle remain in the PD fleet, it would require costly additional repairs. In
accordance with the Fleet Replacement Policy, this vehicle is classified as a high priority replacement
with a score of 28.
Recommendation
It is the staff recommendation to send two police squads (2003 GMC Yukon VIN#
1GKEK13ZX3J341537 and 2013 Chevrolet Tahoe VIN# 1GNLC2E07DR342448) to a public auction
upon the approval of the surplus disposal.
Memorandum
To: City Council
From: Carri Parker, Purchasing Manager
CC: Bart Olson, City Administrator
Date: April 14, 2020
Subject: Surplus Request for Disposal of Police Vehicles
Attachments
Resolution
Exhibit A - Vehicle Replacement Evaluation Form – 2003 GMC Yukon (M4)
Exhibit B - Vehicle Replacement Evaluation Form – 2013 Chevrolet Tahoe (M12)
Resolution No. 2020-____
Page 1
Resolution No. 2020-___
A RESOLUTION OF THE UNITED CITY OF YORKVILLE, ILLINOIS,
AUTHORIZING THE DISPOSAL OF PERSONAL PROPERTY
OWNED BY THE CITY
(City Owned Police Vehicles)
WHEREAS, the United City of Yorkville (the “City”) is a duly organized and
validly existing non home-rule municipality created in accordance with the Constitution of
the State of Illinois of 1970 and the laws of the State; and,
WHEREAS, in the opinion of a majority of the Mayor and City Council (the
“Corporate Authorities”) of the United City of Yorkville it is no longer necessary, useful to
or in the best interests of the United City of Yorkville to retain ownership of the personal
property hereinafter described; and,
WHEREAS, police squad car (2003 GMC Yukon VIN# 1GKEK13ZX3J341537
and 2013 Chevrolet Tahoe VIN# 1GNLC2E07DR342448) have been found to have serious
mechanical issues which would mandate costly repairs and therefore should be disposed
of; and
WHEREAS, it has further been determined that the disposal should be made in
any manner deemed to be in the best interest of the City.
NOW, THEREFORE, BE IT RESOLVED by the Mayor and City Council of the
United City of Yorkville, Kendall County, Illinois:
Section 1: The foregoing recitals are hereby incorporated in this Resolution as
findings of the Corporate Authorities.
Section 2: Pursuant to said Section 11-76-4 of the Illinois Municipal Code (65
ILCS 5/11-76-4), the City Administrator is hereby authorized and directed to proceed with
the disposal of the vehicles through a public auction as deemed to be in the best interest of
the City, disclaiming all warranties and representations of any kind or nature, whether oral
or written, express or implied.
Section 3: That this Resolution shall be in full force and effect from and after its
passage and approval as provided by law.
Resolution No. 2020-____
Page 2
Passed by the City Council of the United City of Yorkville, Kendall County,
Illinois this ____ day of __________________, A.D. 2020.
______________________________
CITY CLERK
KEN KOCH _________ DAN TRANSIER _________
JACKIE MILSCHEWSKI _________ ARDEN JOE PLOCHER _________
CHRIS FUNKHOUSER _________ JOEL FRIEDERS _________
SEAVER TARULIS _________ JASON PETERSON _________
APPROVED by me, as Mayor of the United City of Yorkville, Kendall County,
Illinois this ____ day of __________________, A.D. 2020.
______________________________
MAYOR
Vehicle #Year
Make Model
Miles Hours
Original $in (date)
Under 18 points Condition I
Life Expectancy 18 - 22 points Condition II
Type of Service 23 - 27 points Condition III
Department 28+ points Condition IV
FACTOR POINTS VEHICLE
SCORE
AGE 1 17
1
1
1
2
3
4
5
1
2
3
4
5
1
2
3
4
5
1
2
3
4
5
TOTAL 39
Insert Picture 1 (front view)Insert Picture 2 (drivers side view)
Insert Picture 3 (rear view)Insert Picture 4 (passenger side view)
12
3
5
1
1
Each year of chronological age
Each 10,000 miles of usage
Each 700 hours of usage (priority over miles on heavy duty and off-road equipment)
Standard sedans and light pickups
MILES / HOURS
TYPE OF SERVICE
Standard vehicles with the occasional off-road usage
RELIABILITY
(PM work is not
included)
MAINTENANCE
AND REPAIR COSTS
(Accident Repairs not
included)
CONDITION
124,445
GMC
Vehicles that pull trailers, haul heavy loads, has continued off-road usage, and police administration
Any vehicle involved in snow removal
Police emergency response vehicles
United City of Yorkville
Evaluation Form
Vehicle Replacement Guideline
M4
Yukon
2003
n/a
0.00
Sale /Auction / Estimated Trade-in $
In shop one time within a three month time period, no major breakdowns or road calls
In shop one time within a three month time period, 1 breakdown or road call within a three month period
Previous accident damage, poor paint, bad interior, drive train that is damaged or inoperative, major damage from add-on
equipment
DESCRIPTION
Maintenance costs (cumulative total) are ≤ 60% of purchase cost
Maintenance costs (cumulative total) are ≥ 61% of purchase cost
Good drive train and minor body imperfections (road chips, scratches)
Imperfections in body & paint, paint fading & dents, interior fair (no rips, tears, burns), and a good drive train
Noticeable imperfections in body and paint surface, some minor rust, minor damage from add-on equipment, worn interior (one or
more rips, tears, burns), and a weak or noisy drive train
Previous accident damage, poor paint and body condition, rust (holes), bad interior (tears, rips, cracked dash), major damage from
add-on equipment, and one drive train component bad
In shop more than twice within a one month time period, no major breakdown or road call
In shop more than once within one month time period, two or more breakdowns/road calls within the same time period
In shop more than twice monthly, two or more breakdowns within one month time period
Maintenance costs (cumulative total) are ≤ 10% of purchase cost
Maintenance costs (cumulative total) are ≤ 25% of purchase cost
Maintenance costs (cumulative total) are ≤ 45% of purchase cost
VIN#1GKEK13ZX3J341537
YPD
admin
FY 2020
Replacement Point Range:
High priority replacement
Qualifies for replacement
Good
Excellent
Vehicle #Year
Make Model
Miles Hours
Original $in (date)
Under 18 points Condition I
Life Expectancy 18 - 22 points Condition II
Type of Service 23 - 27 points Condition III
Department 28+ points Condition IV
FACTOR POINTS VEHICLE
SCORE
AGE 1 7
1
1
1
2
3
4
5
1
2
3
4
5
1
2
3
4
5
1
2
3
4
5
TOTAL 28
Replacement Point Range:
High priority replacement
Qualifies for replacement
Good
Excellent
VIN #1GNLC2E07DR342448
YPD
Training
In shop one time within a three month time period, no major breakdowns or road calls
In shop one time within a three month time period, 1 breakdown or road call within a three month period
Previous accident damage, poor paint, bad interior, drive train that is damaged or inoperative, major damage from add-on
equipment
DESCRIPTION
Maintenance costs (cumulative total) are ≤ 60% of purchase cost
Maintenance costs (cumulative total) are ≥ 61% of purchase cost
Good drive train and minor body imperfections (road chips, scratches)
Imperfections in body & paint, paint fading & dents, interior fair (no rips, tears, burns), and a good drive train
Noticeable imperfections in body and paint surface, some minor rust, minor damage from add-on equipment, worn interior (one or
more rips, tears, burns), and a weak or noisy drive train
Previous accident damage, poor paint and body condition, rust (holes), bad interior (tears, rips, cracked dash), major damage from
add-on equipment, and one drive train component bad
In shop more than twice within a one month time period, no major breakdown or road call
In shop more than once within one month time period, two or more breakdowns/road calls within the same time period
In shop more than twice monthly, two or more breakdowns within one month time period
Maintenance costs (cumulative total) are ≤ 10% of purchase cost
Maintenance costs (cumulative total) are ≤ 25% of purchase cost
Maintenance costs (cumulative total) are ≤ 45% of purchase cost
140,780
Chevrolet
Vehicles that pull trailers, haul heavy loads, has continued off-road usage, and police administration
Any vehicle involved in snow removal
Police emergency response vehicles
United City of Yorkville
Evaluation Form
Vehicle Replacement Guideline
M12
Tahoe
2013
n/a
26,935.00
Sale /Auction / Estimated Trade-in $
14
2
3
1
1
Each year of chronological age
Each 10,000 miles of usage
Each 700 hours of usage (priority over miles on heavy duty and off-road equipment)
Standard sedans and light pickups
MILES / HOURS
TYPE OF SERVICE
Standard vehicles with the occasional off-road usage
RELIABILITY
(PM work is not
included)
MAINTENANCE
AND REPAIR COSTS
(Accident Repairs not
included)
CONDITION
Insert Picture 1 (front view)Insert Picture 2 (drivers side view)
Insert Picture 3 (rear view)Insert Picture 4 (passenger side view)
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Public Works Committee #1
Tracking Number
PW 2020-19
Public Works Facility
City Council – April 14, 2020
Please see attached.
Bart Olson Administration
Name Department
Summary
Review of the status of the Public Works Building RFQ
Background
This item was last discussed at the March 10th City Council meeting. At that meeting, the City
Council approved the release of the RFQ for an architect firm to conduct a study of Public Works
building. That RFQ was scheduled to be released to the public in mid-March, but instead has been
indefinitely held due to the COVID-19 pandemic. The Mayor and staff intend to monitor economic and
budget conditions and revisit this study at some point in the future.
Recommendation
This is an informational item.
Memorandum
To: City Council
From: Bart Olson, City Administrator
CC:
Date: April 9, 2020
Subject: Public Works Building RFQ
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Administration Committee #1
Tracking Number
CC 2020-19
Budget Report for February and March 2020
City Council – April 14, 2020
Informational
None
Monthly budget reports and income statements.
Rob Fredrickson Finance
Name Department
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetGENERAL FUND REVENUESTaxes01-000-40-00-4000 PROPERTY TAXES 175,386 902,168 37,170 76,386 843,095 66,786 22,753 - - - 2,123,744 2,119,323 100.21%01-000-40-00-4010PROPERTY TAXES-POLICE PENSION91,517 470,757 19,396 39,858 439,932 34,849 11,873 - - - 1,108,182 1,105,927 100.20%01-000-40-00-4030 MUNICIPAL SALES TAX 211,897 254,112 259,358 286,263 283,951 285,760 276,827 269,341 276,086 262,560 2,666,156 3,151,800 84.59%01-000-40-00-4035 NON-HOME RULE SALES TAX 157,270 190,346 197,361 219,798 221,795 218,207 214,424 204,750 202,173 202,523 2,028,648 2,432,700 83.39%01-000-40-00-4040 ELECTRIC UTILITY TAX - 158,190 - - 189,005 - - 192,577 - - 539,772 710,000 76.02%01-000-40-00-4041 NATURAL GAS UTILITY TAX 24,573 17,974 12,690 11,782 12,412 9,388 14,511 18,605 54,810 31,149 207,896 250,000 83.16%01-000-40-00-4043 EXCISE TAX 32,276 24,012 23,137 19,316 19,510 22,013 22,611 20,840 22,280 26,777 232,771 313,625 74.22%01-000-40-00-4044 TELEPHONE UTILITY TAX 695 695 695 695 695 695 695 695 695 695 6,950 8,340 83.33%01-000-40-00-4045 CABLE FRANCHISE FEES 63,971 - 11,482 64,747 - 11,477 64,065 - 12,231 64,721 292,693 290,000 100.93%01-000-40-00-4050 HOTEL TAX1,549 11,536 8,915 8,921 8,279 7,750 7,870 6,412 5,230 3,770 70,232 80,000 87.79%01-000-40-00-4055 VIDEO GAMING TAX14,990 12,175 12,553 11,174 11,226 10,380 9,768 11,202 12,199 12,009 117,675 140,000 84.05%01-000-40-00-4060 AMUSEMENT TAX4,592 3,970 46,423 70,253 54,390 3,593 2,814 3,890 4,995 3,370 198,289 205,000 96.73%01-000-40-00-4065 ADMISSIONS TAX- - - - - 146,143 - - - - 146,143 140,000 104.39%01-000-40-00-4070BDD TAX - KENDALL MARKETPLACE13,637 27,998 28,219 30,088 30,809 27,948 26,263 28,773 31,207 31,164 276,107 382,500 72.18%01-000-40-00-4071 BDD TAX - DOWNTOWN 15,863 3,411 - 25 27 1,081 2,035 4,592 6,301 2,732 36,066 35,000 103.04%01-000-40-00-4072 BDD TAX - COUNTRYSIDE 562 974 1,046 902 1,033 1,102 657 560 714 996 8,546 10,000 85.46%01-000-40-00-4075 AUTO RENTAL TAX - 2,462 1,422 1,307 1,571 1,902 1,968 1,579 1,527 1,283 15,021 14,500 103.59%Intergovernmental01-000-41-00-4100 STATE INCOME TAX 381,988 119,293 178,400 127,883 113,183 201,938 131,796 124,542 174,077 179,347 1,732,448 1,916,366 90.40%01-000-41-00-4105 LOCAL USE TAX 45,940 52,226 49,432 49,646 50,470 51,886 49,709 55,674 61,127 57,267 523,377 602,966 86.80%01-000-41-00-4110 ROAD & BRIDGE TAX 10,903 56,778 2,155 4,298 51,602 4,208 1,256 - - - 131,199 130,000 100.92%01-000-41-00-4120 PERSONAL PROPERTY TAX 4,406 - 2,602 312 - 4,529 - 752 2,750 - 15,352 17,000 90.31%01-000-41-00-4160 FEDERAL GRANTS- 266 - 1,223 524 923 1,478 - 1,740 2,275 8,429 15,000 56.19%01-000-41-00-4168STATE GRANT - TRF SIGNAL MAINT- - - - - - - - - - - 21,000 0.00%01-000-41-00-4170 STATE GRANTS - - - - - 11,639 - - - - 11,639 - 0.00%01-000-41-00-4182 MISC INTERGOVERNMENTAL - - - 1,861 - - - - - - 1,861 900 206.72%Licenses & Permits01-000-42-00-4200 LIQUOR LICENSES 450 1,611 4,725 1,277 604 2,135 700 - 1,848 822 14,171 56,000 25.31%01-000-42-00-4205 OTHER LICENSES & PERMITS 1,777 1,474 10 105 1,004 523 113 1,746 385 711 7,849 7,500 104.65%01-000-42-00-4210 BUILDING PERMITS 46,319 35,573 54,939 40,056 31,210 40,277 51,998 19,371 18,524 24,199 362,465 350,000 103.56%Fines & Forfeits01-000-43-00-4310 CIRCUIT COURT FINES2,839 4,464 3,729 2,869 2,141 3,664 2,765 2,953 2,104 3,725 31,253 45,000 69.45%01-000-43-00-4320ADMINISTRATIVE ADJUDICATION1,471 2,283 2,514 2,117 1,371 1,635 1,235 901 3,460 3,700 20,686 30,000 68.95%01-000-43-00-4323 OFFENDER REGISTRATION FEES 35 25 - 35 140 35 - - 10 (85) 195 400 48.75%01-000-43-00-4325 POLICE TOWS 2,500 2,000 4,500 2,500 4,000 - - - - - 15,500 50,000 31.00%Charges for Service01-000-44-00-4400 GARBAGE SURCHARGE 873 209,119 632 209,561 65 211,416 11 212,426 (1,614) 212,606 1,055,094 1,224,875 86.14%01-000-44-00-4405 UB COLLECTION FEES 16,638 12,183 323 15,343 12,029 28,547 15,995 7,142 16,964 15,848 141,012 165,000 85.46%01-000-44-00-4407 LATE PENALTIES - GARBAGE 2 3,833 35 3,673 33 4,815 12 4,889 4 3,647 20,942 21,000 99.72%01-000-44-00-4415 ADMINISTRATIVE CHARGEBACK 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 170,697 204,836 83.33%01-000-44-00-4474 POLICE SPECIAL DETAIL - - - 900 488 - - - 2,715 - 4,103 500 820.50%Investment Earnings01-000-45-00-4500 INVESTMENT EARNINGS11,033 10,274 11,953 12,134 11,351 12,156 10,664 8,647 6,643 6,515 101,369 80,000 126.71%01-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 39,952 - - 39,952 - 0.00%Reimbursements01-000-46-00-4604 REIMB - ENGINEERING EXPENSES- - - - - - 7,453 - 3,582 - 11,035 25,000 44.14%01-000-46-00-4680 REIMB - LIABILITY INSURANCE- - - 3,852 500 - 873 - - - 5,226 10,000 52.26%01-000-46-00-4685 REIMB - CABLE CONSORTIUM- 12,052 - - - - - 11,647 - - 23,699 35,000 67.71%UNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 20201
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202001-000-46-00-4690 REIMB - MISCELLANEOUS5,133 257 708 504 817 355 5,390 7,565 276 19,753 40,757 5,000 815.14%Miscellaneous01-000-48-00-4820 RENTAL INCOME500 680 455 780 545 775 545 500 635 590 6,005 7,000 85.79%01-000-48-00-4850 MISCELLANEOUS INCOME- 18,210 0 (50) - 1 - 1 1,503 (38) 19,628 13,000 150.98%Other Financing Uses01-000-49-00-4916TRANSFER FROM CW MUNICIPAL BLDG- - - - - - - - - - - 47,180 0.00%TOTAL REVENUES: GENERAL FUND 1,358,656 2,640,449 994,046 1,339,463 2,416,873 1,447,603 978,197 1,279,591 944,253 1,191,702 14,590,832 16,469,238 88.59%ADMINISTRATION EXPENDITURESSalaries & Wages01-110-50-00-5001 SALARIES - MAYOR 725 563 825 825 825 825 960 825 725 825 7,923 11,000 72.03%01-110-50-00-5002 SALARIES - LIQUOR COMM 83 48 83 83 83 83 83 83 83 83 798 1,000 79.85%01-110-50-00-5003 SALARIES - CITY CLERK 500 100 - - - - - - - - 600 - 0.00%01-110-50-00-5005 SALARIES - ALDERMAN 4,000 3,674 3,800 3,700 4,000 3,900 4,880 3,800 3,100 3,900 38,754 50,000 77.51%01-110-50-00-5010 SALARIES - ADMINISTRATION 61,298 40,270 39,479 39,479 39,479 39,479 60,727 39,511 41,492 40,848 442,062 538,095 82.15%Benefits01-110-52-00-5212RETIREMENT PLAN CONTRIBUTION5,560 3,655 3,584 3,584 3,584 3,584 5,509 3,587 4,643 4,571 41,859 49,367 84.79%01-110-52-00-5214 FICA CONTRIBUTION 4,959 3,297 3,261 3,253 3,276 2,658 3,729 2,447 3,369 3,392 33,642 41,686 80.70%01-110-52-00-5216 GROUP HEALTH INSURANCE 20,352 11,060 8,186 8,941 8,055 8,087 8,119 8,087 8,401 4,098 93,386 120,064 77.78%01-110-52-00-5222 GROUP LIFE INSURANCE 43 29 36 36 36 36 36 36 36 36 357 428 83.34%01-110-52-00-5223 GROUP DENTAL INSURANCE 1,309 654 654 654 654 654 654 654 654 654 7,198 7,853 91.66%01-110-52-00-5224 VISION INSURANCE 188 94 94 94 94 94 94 94 94 94 1,036 1,130 91.65%Contractual Services01-110-54-00-5412 TRAINING & CONFERENCES 934 1,782 75 2,099 3,340 615 860 489 709 2,194 13,097 17,000 77.04%01-110-54-00-5415 TRAVEL & LODGING 1,671 97 58 4,370 1,346 972 2,251 97 - - 10,862 10,000 108.62%01-110-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 6,518 543 1,420 1,940 - 10,421 3,767 276.63%01-110-54-00-5426 PUBLISHING & ADVERTISING - - - - 263 - - 1,779 - - 2,042 5,000 40.84%01-110-54-00-5430 PRINTING & DUPLICATION - 167 124 109 119 185 270 575 350 582 2,482 3,250 76.37%01-110-54-00-5440 TELECOMMUNICATIONS 471 1,036 1,485 1,582 1,582 622 1,609 1,609 1,705 1,699 13,400 19,000 70.52%01-110-54-00-5448 FILING FEES - - - - 500 - (447) - - - 53 500 10.60%01-110-54-00-5451 CODIFICATION - - - - - 1,523 - - 500 - 2,023 5,000 40.46%01-110-54-00-5452 POSTAGE & SHIPPING 57 87 98 78 147 121 531 151 482 106 1,859 3,000 61.96%01-110-54-00-5460 DUES & SUBSCRIPTIONS 8,778 358 - 1,739 2,303 - 65 1,670 230 5,300 20,442 20,000 102.21%01-110-54-00-5462 PROFESSIONAL SERVICES100 201 685 714 327 674 475 1,300 831 232 5,538 12,000 46.15%01-110-54-00-5480 UTILITIES- 517 1,925 2,420 1,562 1,282 2,237 2,804 3,634 3,661 20,041 20,787 96.41%01-110-54-00-5485 RENTAL & LEASE PURCHASE113 112 226 113 564 226 226 226 226 226 2,258 3,000 75.26%01-110-54-00-5488 OFFICE CLEANING- 1,005 1,005 1,005 1,005 1,005 - 460 1,005 - 6,490 11,757 55.20%Supplies01-110-56-00-5610 OFFICE SUPPLIES140 1,118 447 359 495 1,176 720 279 908 483 6,125 10,000 61.25%TOTAL EXPENDITURES: ADMINISTRATION111,281 69,926 66,132 75,236 73,640 74,318 94,131 71,982 75,119 72,984 784,747 964,684 81.35%FINANCE EXPENDITURESSalaries & Wages01-120-50-00-5010 SALARIES & WAGES31,356 26,476 21,731 21,907 21,907 22,907 32,745 21,907 21,807 21,907 244,650 301,372 81.18%Benefits01-120-52-00-5212RETIREMENT PLAN CONTRIBUTION2,854 2,412 1,982 1,998 1,998 2,089 2,980 1,998 2,453 2,464 23,230 27,649 84.02%01-120-52-00-5214 FICA CONTRIBUTION 2,353 1,984 1,621 1,635 1,635 1,711 2,280 931 1,625 1,633 17,409 21,574 80.69%01-120-52-00-5216 GROUP HEALTH INSURANCE 8,601 3,777 4,195 4,064 4,881 4,027 4,023 4,182 4,327 6,185 48,263 64,351 75.00%01-120-52-00-5222 GROUP LIFE INSURANCE 20 20 20 20 20 20 20 20 20 20 205 246 83.29%01-120-52-00-5223 DENTAL INSURANCE 865 433 433 433 433 433 433 433 433 433 4,760 5,192 91.67%01-120-52-00-5224 VISION INSURANCE 118 59 59 59 59 59 59 59 59 59 648 707 91.72%2
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020Contractual Services01-120-54-00-5412 TRAINING & CONFERENCES 507 - - - - 325 120 32 - 305 1,289 3,500 36.83%01-120-54-00-5414 AUDITING SERVICES - - - - 28,600 - 2,000 - - - 30,600 34,100 89.74%01-120-54-00-5415 TRAVEL & LODGING 83 47 - 26 - - - - - - 156 1,000 15.63%01-120-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 480 1,420 - - 1,900 1,900 100.00%01-120-54-00-5430 PRINTING & DUPLICATING 76 56 502 36 40 457 252 56 368 82 1,925 3,500 54.99%01-120-54-00-5440 TELECOMMUNICATIONS - 68 68 68 68 68 68 68 68 68 608 1,250 48.60%01-120-54-00-5452 POSTAGE & SHIPPING 93 68 5 166 79 86 89 140 74 69 868 1,200 72.34%01-120-54-00-5460 DUES & SUBSCRIPTIONS 90 272 - 289 - - - - 170 - 821 1,500 54.73%01-120-54-00-5462 PROFESSIONAL SERVICES 1,696 1,689 1,884 2,506 6,363 7,705 2,576 3,208 20,038 1,804 49,468 60,000 82.45%01-120-54-00-5485 RENTAL & LEASE PURCHASE 150 37 113 150 264 113 187 113 113 113 1,353 2,200 61.51%Supplies01-120-56-00-5610 OFFICE SUPPLIES - 47 - - - 248 - 21 344 478 1,138 2,500 45.54%TOTAL EXPENDITURES: FINANCE48,863 37,446 32,614 33,357 66,345 40,248 48,312 34,588 51,898 35,618 429,291 533,741 80.43%POLICE EXPENDITURESSalaries & Wages01-210-50-00-5008 SALARIES - POLICE OFFICERS197,516 154,254 163,080 128,295 134,835 139,503 221,235 137,706 156,486 142,869 1,575,779 1,924,224 81.89%01-210-50-00-5011SALARIES - POLICE CHIEF & DEPUTIES49,255 31,564 28,803 30,553 118,413 28,546 42,819 28,546 28,546 28,546 415,589 396,159 104.90%01-210-50-00-5012 SALARIES - SERGEANTS 59,662 43,434 39,050 40,888 40,006 38,097 61,662 40,573 41,526 40,765 445,663 644,811 69.12%01-210-50-00-5013 SALARIES - POLICE CLERKS 18,878 12,846 12,846 12,913 12,958 12,958 19,438 12,958 12,958 12,958 141,712 175,554 80.72%01-210-50-00-5014 SALARIES - CROSSING GUARD 4,892 508 - 626 3,099 3,464 4,873 3,035 1,609 3,300 25,405 27,500 92.38%01-210-50-00-5015 PART-TIME SALARIES 6,741 5,188 4,333 4,946 6,523 4,234 8,235 4,918 4,757 4,662 54,535 70,000 77.91%01-210-50-00-5020 OVERTIME 10,944 10,963 19,011 10,081 9,380 4,039 5,868 13,365 9,039 6,081 98,770 111,000 88.98%Benefits01-210-52-00-5212RETIREMENT PLAN CONTRIBUTION1,710 1,164 1,164 1,170 1,174 1,174 1,761 1,174 1,447 1,447 13,386 16,106 83.11%01-210-52-00-5213 EMPLOYER CONTRI - POL PEN 91,517 470,757 19,396 39,858 439,932 34,849 15,175 - - - 1,111,484 1,111,484 100.00%01-210-52-00-5214 FICA CONTRIBUTION 25,763 18,985 19,651 16,761 21,308 16,870 27,002 17,655 18,926 17,499 200,420 245,951 81.49%01-210-52-00-5216 GROUP HEALTH INSURANCE 105,320 47,144 55,304 43,178 46,778 49,562 46,679 50,324 54,038 49,677 548,004 741,025 73.95%01-210-52-00-5222 GROUP LIFE INSURANCE 202 246 209 207 290 118 213 213 213 213 2,121 2,748 77.19%01-210-52-00-5223 DENTAL INSURANCE 7,452 3,365 4,033 3,120 3,547 3,985 3,659 3,659 3,659 3,734 40,214 50,770 79.21%01-210-52-00-5224 VISION INSURANCE 1,042 472 581 445 498 564 518 518 518 531 5,688 7,080 80.34%Contractual Services01-210-54-00-5410 TUITION REIMBURSEMENT - 1,206 - - - 2,412 1,206 (244) 2,658 1,206 8,444 17,272 48.89%01-210-54-00-5411 POLICE COMMISSION405 1,185 406 - 515 531 395 140 395 429 4,401 4,000 110.03%01-210-54-00-5412 TRAINING & CONFERENCES249 1,420 1,239 1,645 4,423 1,660 455 (497) 2,170 1,929 14,693 21,000 69.97%01-210-54-00-5415 TRAVEL & LODGING- 57 - - - 57 460 458 852 123 2,006 10,000 20.06%01-210-54-00-5422VEHICLE & EQUIPMENT CHARGEBACK2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 20,027 24,032 83.33%01-210-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 1,189 - - 14,525 - 15,714 16,000 98.21%01-210-54-00-5430 PRINTING & DUPLICATING - 465 1,928 532 251 129 163 569 76 440 4,553 4,500 101.18%01-210-54-00-5440 TELECOMMUNICATIONS - 2,062 3,711 3,829 3,861 2,079 3,763 3,752 3,860 3,881 30,798 40,000 77.00%01-210-54-00-5452 POSTAGE & SHIPPING 46 76 57 114 82 93 95 75 163 80 882 1,600 55.09%01-210-54-00-5460 DUES & SUBSCRIPTIONS 8,278 615 - 340 1,360 - 585 770 895 50 12,893 9,000 143.26%01-210-54-00-5462 PROFESSIONAL SERVICES 14,562 - 652 376 675 660 369 497 663 638 19,092 30,000 63.64%01-210-54-00-5467 ADJUDICATION SERVICES - 5,610 322 1,951 520 (103) 2,039 448 1,611 1,321 13,719 20,000 68.60%01-210-54-00-5469 NEW WORLD LIVE SCAN - - - - - - - - - - - 2,000 0.00%01-210-54-00-5472 KENDALL CO. JUVE PROBATION- - - - - - - - - - - 4,000 0.00%01-210-54-00-5485 RENTAL & LEASE PURCHASE299 207 506 394 1,030 411 411 411 411 411 4,494 7,150 62.86%01-210-54-00-5488 OFFICE CLEANING- 1,005 1,005 1,005 1,005 1,005 - 460 1,005 - 6,490 11,758 55.19%3
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202001-210-54-00-5495OUTSIDE REPAIR & MAINTENANCE1,931 3,675 4,063 4,484 3,951 5,190 5,755 807 2,898 3,678 36,434 60,000 60.72%Supplies01-210-56-00-5600 WEARING APPAREL 2,128 4,041 6,086 1,717 3,516 2,201 292 - 1,446 1,175 22,602 15,000 150.68%01-210-56-00-5610 OFFICE SUPPLIES - 127 203 35 268 36 206 82 172 107 1,237 4,500 27.48%01-210-56-00-5620 OPERATING SUPPLIES 40 537 906 477 356 364 1,273 468 272 771 5,465 16,000 34.15%01-210-56-00-5635COMPUTER EQUIPMENT & SOFTWARE3,441 - 105 - - 90 105 1,878 (2,851) - 2,768 12,500 22.14%01-210-56-00-5650 COMMUNITY SERVICES - - 1,310 - 50 49 - - - - 1,409 1,500 93.93%01-210-56-00-5690 BALLISTIC VESTS - - - 2,103 - - - - 1,343 - 3,446 6,000 57.43%01-210-56-00-5695 GASOLINE 4,488 34 3,975 5,820 4,490 4,670 3,736 4,482 5,069 6,124 42,888 63,000 68.08%01-210-56-00-5696 AMMUNITION - - - - - - - - - - - 10,000 0.00%TOTAL EXPENDITURES: POLICE 618,764 825,216 395,936 359,867 867,096 362,688 482,447 331,201 373,359 336,649 4,953,223 5,935,224 83.45%COMMUNITY DEVELOPMENT EXPENDITURESSalaries & Wages01-220-50-00-5010 SALARIES & WAGES 57,405 41,735 38,102 38,102 38,102 38,102 57,208 38,239 38,989 40,179 426,162 520,619 81.86%Benefits01-220-52-00-5212RETIREMENT PLAN CONTRIBUTION5,228 3,808 3,479 3,479 3,479 3,479 5,210 3,492 4,389 4,521 40,565 47,763 84.93%01-220-52-00-5214 FICA CONTRIBUTION 4,288 3,095 2,817 2,817 2,817 2,817 4,256 2,828 2,885 2,976 31,598 38,317 82.46%01-220-52-00-5216 GROUP HEALTH INSURANCE 14,880 7,126 7,475 7,903 6,875 6,127 8,406 6,479 9,518 11,034 85,822 90,471 94.86%01-220-52-00-5222 GROUP LIFE INSURANCE 36 56 21 37 37 37 37 37 35 35 369 429 86.01%01-220-52-00-5223 DENTAL INSURANCE 1,175 588 588 588 588 588 588 588 588 588 6,464 6,603 97.90%01-220-52-00-5224 VISION INSURANCE 180 90 90 90 90 90 90 90 90 90 991 1,009 98.18%Contractual Services01-220-54-00-5412 TRAINING & CONFERENCES 350 410 - - 350 - 195 - 900 - 2,205 7,300 30.21%01-220-54-00-5415 TRAVEL & LODGING - - - 35 - - - - 5 - 40 6,500 0.61%01-220-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 1,695 1,420 - - 3,115 4,120 75.61%01-220-54-00-5426 PUBLISHING & ADVERTISING - - 691 161 147 - 247 492 - 137 1,876 2,500 75.05%01-220-54-00-5430 PRINTING & DUPLICATING - 121 128 117 102 93 103 106 49 87 907 1,500 60.45%01-220-54-00-5440 TELECOMMUNICATIONS - 79 263 358 217 264 267 267 267 266 2,246 4,000 56.15%01-220-54-00-5452 POSTAGE & SHIPPING 53 28 33 55 26 19 25 27 22 23 311 1,000 31.06%01-220-54-00-5459 INSPECTIONS - - 3,610 10,500 - 6,120 5,120 5,200 2,680 4,900 38,130 125,000 30.50%01-220-54-00-5460 DUES & SUBSCRIPTIONS 1,089 135 - 526 793 - - 555 - 575 3,674 2,750 133.59%01-220-54-00-5462 PROFESSIONAL SERVICES - 74 12,793 167 77 14,872 303 3,060 1,102 788 33,234 62,500 53.17%01-220-54-00-5485 RENTAL & LEASE PURCHASE189 - 189 189 378 189 189 189 189 189 1,891 3,150 60.03%Supplies01-220-56-00-5610 OFFICE SUPPLIES- 46 24 112 - - - 115 350 46 693 1,500 46.21%01-220-56-00-5620 OPERATING SUPPLIES- 653 1,024 - 448 66 591 1 465 462 3,710 3,750 98.92%01-220-56-00-5695 GASOLINE- 380 308 523 356 319 355 319 176 272 3,009 2,405 125.12%TOTAL EXPENDITURES: COMMUNITY DEVELP84,873 58,422 71,636 65,760 54,882 73,183 84,884 63,504 62,698 67,168 687,011 933,186 73.62%PUBLIC WORKS - STREET OPERATIONS EXPENDITURESSalaries & Wages01-410-50-00-5010 SALARIES & WAGES39,406 27,822 25,953 26,066 26,066 26,066 42,161 31,662 31,662 31,662 308,528 402,421 76.67%01-410-50-00-5015 PART-TIME SALARIES240 1,995 2,880 2,000 160 - - - 2,055 1,050 10,380 12,500 83.04%01-410-50-00-5020 OVERTIME- 819 - - 25 236 6,976 1,128 6,154 5,841 21,178 20,000 105.89%Benefits01-410-52-00-5212RETIREMENT PLAN CONTRIBUTION3,570 2,595 2,351 2,362 2,364 2,383 4,452 2,971 4,224 4,189 31,461 38,754 81.18%01-410-52-00-5214 FICA CONTRIBUTION 2,917 2,236 2,099 2,040 1,901 1,905 3,639 2,373 2,904 2,804 24,817 31,902 77.79%01-410-52-00-5216 GROUP HEALTH INSURANCE 14,862 8,341 7,637 8,895 8,001 9,863 9,639 10,583 9,794 11,973 99,587 114,394 87.06%01-410-52-00-5222 GROUP LIFE INSURANCE 25 30 30 30 30 30 36 36 36 36 318 437 72.86%01-410-52-00-5223 DENTAL INSURANCE 1,003 539 539 539 539 683 683 683 683 683 6,573 7,363 89.27%4
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202001-410-52-00-5224 VISION INSURNCE140 76 76 76 76 96 96 96 96 96 923 1,065 86.63%Contractual Services01-410-54-00-5412 TRAINING & CONFERENCES2,147 276 - - - - - - - - 2,423 3,000 80.77%01-410-54-00-5415 TRAVEL & LODGING- 127 - - - 622 - - - - 750 2,000 37.48%01-410-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - - - 7,395 - 7,395 6,733 109.83%01-410-54-00-5435 TRAFFIC SIGNAL MAINTENANCE - 54 8,407 7,242 1,302 420 300 703 53 1,979 20,461 30,000 68.20%01-410-54-00-5440 TELECOMMUNICATIONS - 274 258 274 274 274 274 274 274 366 2,541 3,750 67.76%01-410-54-00-5455 MOSQUITO CONTROL - - - - - - - - - - - 6,281 0.00%01-410-54-00-5458 TREE & STUMP MAINTENANCE - - - - 375 - 4,237 - - 479 5,091 15,000 33.94%01-410-54-00-5462 PROFESSIONAL SERVICES - 1 100 411 496 1,971 736 332 86 1,161 5,296 6,825 77.59%01-410-54-00-5483 JULIE SERVICES - - - - - - - - - 1,557 1,557 3,000 51.91%01-410-54-00-5485 RENTAL & LEASE PURCHASE 675 77 171 200 1,020 695 227 221 133 142 3,562 6,000 59.37%01-410-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 406 1,051 38.63%01-410-54-00-5490VEHICLE MAINTENANCE SERVICES45 7,095 3,282 576 139 1,365 8,262 22,619 11,567 5,380 60,331 65,000 92.82%Supplies01-410-56-00-5600 WEARING APPAREL - - - 231 - - 838 416 256 278 2,019 5,100 39.60%01-410-56-00-5618 SALT & CALCIUM CHLORIDE - - - - - - - - - 11,359 11,359 157,500 7.21%01-410-56-00-5619 SIGNS - - - - - - - - - - - - 0.00%01-410-56-00-5620 OPERATING SUPPLIES 151 58 89 390 577 759 279 323 4,264 311 7,200 23,000 31.30%01-410-56-00-5628VEHICLE MAINTENANCE SUPPLIES- 2,241 1,354 1,413 787 1,495 2,707 2,610 5,332 3,177 21,116 30,000 70.39%01-410-56-00-5630 SMALL TOOLS & EQUIPMENT - - 625 278 190 - 203 789 8,322 2,959 13,366 18,500 72.25%01-410-56-00-5640 REPAIR & MAINTENANCE 129 - 713 3,195 796 647 1,053 77 2,403 534 9,547 25,000 38.19%01-410-56-00-5642 STREET LIGHTING SUPLIES - 582 941 4,611 974 18,279 1,857 399 1,729 - 29,372 17,000 172.78%01-410-56-00-5665 JULIE SUPPLIES - - - - - - - - - 381 381 1,200 31.76%01-410-56-00-5695 GASOLINE 91 1,322 1,691 1,622 858 1,928 1,335 1,721 1,800 2,432 14,800 24,043 61.56%TOTAL EXP: PUBLIC WORKS - STREET OPS 65,400 56,627 59,260 62,514 47,017 69,781 89,989 80,032 101,288 90,828 722,736 1,078,819 66.99%PW - HEALTH & SANITATION EXPENDITURESContractual Services01-540-54-00-5441 GARBAGE SRVCS - SR SUBSIDY - - 2,884 2,875 2,892 2,846 2,934 2,948 - 5,897 23,276 34,081 68.30%01-540-54-00-5442 GARBAGE SERVICES- - 101,576 102,342 102,467 102,805 103,098 103,465 - 207,500 823,255 1,200,294 68.59%01-540-54-00-5443 LEAF PICKUP- - 600 - - - - - 5,040 - 5,640 7,000 80.57%TOTAL EXPENDITURES: HEALTH & SANITATION- - 105,060 105,217 105,359 105,651 106,032 106,414 5,040 213,397 852,170 1,241,375 68.65%ADMINISTRATIVE SERVICES EXPENDITURESSalaries & Wages01-640-50-00-5092 POLICE SPECIAL DETAIL WAGES- - - 900 488 - - - 2,715 - 4,103 500 820.50%Benefits01-640-52-00-5230 UNEMPLOYMENT INSURANCE2,766 - 2,766 - - 2,766 - - - 5,351 13,650 15,000 91.00%01-640-52-00-5231 LIABILITY INSURANCE69,817 24,635 26,085 23,585 23,585 23,586 14,241 12,796 54,107 24,254 296,690 316,374 93.78%01-640-52-00-5240 RETIREES - GROUP HEALTH INS9,382 5,230 183 3,777 9,605 (632) 734 3,767 3,262 1,710 37,018 47,796 77.45%01-640-52-00-5241 RETIREES - DENTAL INSURANCE911 187 37 32 331 182 32 182 182 103 2,179 449 485.21%01-640-52-00-5242 RETIREES - VISION INSURANCE162 18 7 1 52 26 1 26 26 15 334 80 417.56%Contractual Services01-640-54-00-5418 PURCHASING SERVICES- - - - - 13,851 - 12,934 - - 26,785 50,465 53.08%01-640-54-00-5423 IDOR ADMINISTRATION FEE3,113 3,652 3,672 4,023 4,074 4,005 3,929 1,515 1,518 3,880 33,382 44,689 74.70%01-640-54-00-5427GC HOUSING RENTAL ASSISTANCE1,268 634 634 634 634 634 634 769 769 769 7,379 7,800 94.60%01-640-54-00-5428 UTILITY TAX REBATE - - - 4,430 - - - - - - 4,430 14,375 30.82%01-640-54-00-5432FACILITY MANAGEMENT SERVICES- - - - - 15,399 - 13,186 - - 28,585 57,425 49.78%01-640-54-00-5439 AMUSEMENT TAX REBATE - 3,970 4,604 - 4,895 2,815 2,444 2,717 3,882 4,894 30,221 60,000 50.37%5
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202001-640-54-00-5449 KENCOM11,653 1,146 1,146 1,146 1,146 1,146 1,146 1,153 81,558 1,153 102,391 126,109 81.19%01-640-54-00-5450 INFORMATION TECH SRVCS16,651 13,897 19,336 31,810 1,281 16,560 11,369 20,639 38,863 3,732 174,139 255,000 68.29%01-640-54-00-5456 CORPORATE COUNSEL- 8,744 4,730 6,499 6,440 6,730 5,106 - 10,003 5,451 53,702 115,000 46.70%01-640-54-00-5461 LITIGATION COUNSEL- - 6,699 8,069 5,668 4,652 3,316 698 3,535 10,368 43,005 120,000 35.84%01-640-54-00-5462 PROFESSIONAL SERVICES523 3,500 - - - 14,631 - 14,000 - - 32,654 38,670 84.44%01-640-54-00-5463 SPECIAL COUNSEL- - 13,858 - 360 5,424 - 15,395 1,077 - 36,114 25,000 144.46%01-640-54-00-5465 ENGINEERING SERVICES- - 22,124 28,518 24,199 22,201 18,929 21,502 24,458 14,486 176,417 390,000 45.24%01-640-54-00-5473 KENDALL AREA TRANSIT- - - - - - - 11,775 - - 11,775 25,000 47.10%01-640-54-00-5475 CABLE CONSORTIUM FEE- - - - - 25,899 - 25,627 - - 51,526 96,000 53.67%01-640-54-00-5481 HOTEL TAX REBATES- 29 7,128 8,023 8,029 7,451 6,975 7,083 - 5,771 50,490 72,000 70.12%01-640-54-00-5486 ECONOMIC DEVELOPMENT1,370 9,425 15,950 9,425 9,425 26,100 9,425 9,425 19,575 9,425 119,545 146,000 81.88%01-640-54-00-5491 CITY PROPERTY TAX REBATE- - - - 1,258 - - - - - 1,258 1,500 83.88%01-640-54-00-5492 SALES TAX REBATES- - - - 223,284 - - 844 215,363 - 439,491 912,900 48.14%01-640-54-00-5493 BUSINESS DISTRICT REBATES29,461 31,735 28,680 30,395 31,231 29,529 28,375 33,245 37,458 34,194 314,304 421,088 74.64%01-640-54-00-5494 ADMISSIONS TAX REBATE- - - - - 146,143 - - - - 146,143 140,000 104.39%01-640-54-00-5499 BAD DEBT- - - - - - - - - - - 2,000 0.00%Supplies01-640-56-00-5625 REIMBURSEABLE REPAIRS- - - - - - - 5,226 - - 5,226 15,000 34.84%Other Financing Uses01-640-99-00-9923TRANSFER TO CITY-WIDE CAPITAL- - - - - 125,000 20,833 20,833 20,833 20,833 208,333 250,000 83.33%01-640-99-00-9942 TRANSFER TO DEBT SERVICE 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 266,149 319,379 83.33%01-640-99-00-9952 TRANSFER TO SEWER 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 479,192 575,030 83.33%01-640-99-00-9979TRANSFER TO PARKS & RECREATION117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 1,175,823 1,410,988 83.33%01-640-99-00-9982 TRANSFER TO LIBRARY OPS 5,588 1,830 2,002 1,830 1,830 2,002 911 993 4,197 2,214 23,396 25,003 93.57%TOTAL EXPENDITURES: ADMIN SERVICES 344,782 300,747 351,756 355,212 549,931 688,216 320,517 428,449 715,497 340,720 4,395,827 6,096,620 72.10%TOTAL FUND REVENUES 1,358,656 2,640,449 994,046 1,339,463 2,416,873 1,447,603 978,197 1,279,591 944,253 1,191,702 14,590,832 16,469,238 88.59%TOTAL FUND EXPENDITURES 1,273,965 1,348,383 1,082,394 1,057,163 1,764,270 1,414,085 1,226,312 1,116,169 1,384,899 1,157,365 12,825,005 16,783,649 76.41%FUND SURPLUS (DEFICIT) 84,691 1,292,066 (88,349) 282,300 652,603 33,518 (248,115) 163,422 (440,646) 34,337 1,765,827 (314,411) FOX HILL SSA REVENUES11-000-40-00-4000 PROPERTY TAXES 1,142 5,793 200 370 5,526 351 0 - - - 13,382 13,381 100.01%TOTAL REVENUES: FOX HILL SSA 1,142 5,793 200 370 5,526 351 0 - - - 13,382 13,381 100.01%FOX HILL SSA EXPENDITURES11-111-54-00-5462 PROFESSIONAL SERVICES- - 496 298 - - - - 1,488 - 2,282 2,977 76.66%11-111-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 1,861 905 603 302 380 2,110 460 - 6,620 28,000 23.64%TOTAL FUND REVENUES 1,142 5,793 200 370 5,526 351 0 - - - 13,382 13,381 100.01%TOTAL FUND EXPENDITURES - - 2,357 1,202 603 302 380 2,110 1,948 - 8,902 30,977 28.74%FUND SURPLUS (DEFICIT) 1,142 5,793 (2,158) (832) 4,923 50 (380) (2,110) (1,948) - 4,479 (17,596) SUNFLOWER SSA REVENUES12-000-40-00-4000 PROPERTY TAXES 1,284 7,632 294 322 7,892 561 155 - - - 18,140 18,140 100.00%TOTAL REVENUES: SUNFLOWER SSA 1,284 7,632 294 322 7,892 561 155 - - - 18,140 18,140 100.00%SUNFLOWER SSA EXPENDITURES12-112-54-00-5416 POND MAINTENANCE - - - - - - - - - - - 5,000 0.00%12-112-54-00-5462 PROFESSIONAL SERVICES - - 496 204 - - - - 1,488 - 2,189 2,977 73.52%6
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202012-112-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 3,779 855 570 285 402 - - 2,184 8,075 6,000 134.59%TOTAL FUND REVENUES 1,284 7,632 294 322 7,892 561 155 - - - 18,140 18,140 100.00%TOTAL FUND EXPENDITURES - - 4,275 1,059 570 285 402 - 1,488 2,184 10,264 13,977 73.43%FUND SURPLUS (DEFICIT) 1,284 7,632 (3,981) (737) 7,322 276 (247) - (1,488) (2,184) 7,876 4,163 MOTOR FUEL TAX REVENUES15-000-41-00-4112 MOTOR FUEL TAX 42,104 38,586 35,176 43,968 63,256 68,709 63,044 70,990 83,501 59,169 568,503 484,084 117.44%15-000-41-00-4113 MFT HIGH GROWTH - - - - - - - 11,825 - - 11,825 41,000 28.84%15-000-45-00-4500 INVESTMENT EARNINGS 1,360 1,366 1,067 522 588 692 711 717 707 718 8,448 9,820 86.03%15-000-46-00-4690 REIMB - MISCELLANOUS - - - 26,717 - - - - - - 26,717 - 0.00%TOTAL REVENUES: MOTOR FUEL TAX43,464 39,952 36,243 71,208 63,844 69,401 63,756 83,532 84,207 59,887 615,494 534,904 115.07%MOTOR FUEL TAX EXPENDITURESCapital Outlay15-155-56-00-5618 SALT - - - - - - - 66,927 - 31,003 97,930 97,930 100.00%15-155-60-00-6004 BASELINE ROAD BRIDGE REPAIRS- - - - - - - - - - - 25,000 0.00%15-155-60-00-6025ROADS TO BETTER ROADS PROGRAM- - 467,703 - - - - 75,866 - - 543,569 620,000 87.67%15-155-60-00-6079 ROUTE 47 EXPANSION 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 61,489 73,788 83.33%TOTAL FUND REVENUES 43,464 39,952 36,243 71,208 63,844 69,401 63,756 83,532 84,207 59,887 615,494 534,904 115.07%TOTAL FUND EXPENDITURES 6,149 6,149 473,852 6,149 6,149 6,149 6,149 148,942 6,149 37,152 702,988 816,718 86.07%FUND SURPLUS (DEFICIT) 37,315 33,803 (437,609) 65,059 57,695 63,252 57,607 (65,410) 78,058 22,735 (87,495) (281,814) CITY-WIDE CAPITAL REVENUESLicenses & Permits23-000-42-00-4214 DEVELOPMENT FEES - 835 1,335 - 500 1,250 774 1,000 100 - 5,794 5,000 115.88%23-000-42-00-4218DEVELOPMENT FEES - MUNICIPAL BLDG3,259 4,268 6,177 2,059 1,050 3,668 3,034 750 300 1,050 25,615 47,180 54.29%23-000-42-00-4222 ROAD CONTRIBUTION FEE 20,000 6,000 14,000 6,000 6,000 14,000 12,000 2,000 2,000 6,000 88,000 100,000 88.00%Charges for Service23-000-44-00-4440 ROAD INFRASTRUCTURE FEES 610 126,579 718 128,276 81 129,716 105 129,054 257 130,205 645,602 746,500 86.48%Investment Earnings23-000-45-00-4500 INVESTMENT EARNINGS 1,308 1,272 1,313 1,198 1,065 1,277 787 771 765 719 10,475 7,500 139.67%23-000-45-00-4550 GAIN ON INVESTMENT - - - - - - - 50,351 - - 50,351 - 0.00%Reimbursements23-000-46-00-4614 REIMB - BLACKBERRY WOODS - - 2,350 - - - - - - - 2,350 7,549 31.13%23-000-46-00-4612 MILL ROAD IMPROVEMENTS - - 2,359 10,712 199 392 - - 415 - 14,077 2,926,300 0.48%23-000-46-00-4621 REIMB - FOUNTAIN VILLAGE - - 93 - - 1,710 165 - - - 1,968 - 0.00%23-000-46-00-4636 REIMB. - RAINTREE VILLAGE- - - - - - - - 2,165 - 2,165 - 0.00%23-000-46-00-4690 REIMB - MISCELLANEOUS- 83,700 - - - - 6,255 - - - 89,955 80,000 112.44%Other Financing Sources23-000-48-00-4845 DONATIONS- - - - - - - - - - - 2,000 0.00%23-000-49-00-4901 TRANSFER FROM GENERAL- - - - - 125,000 20,833 20,833 20,833 20,833 208,333 250,000 83.33%TOTAL REVENUES: CITY-WIDE CAPITAL 25,177 222,653 28,344 148,246 8,895 277,014 43,953 204,759 26,836 158,808 1,144,685 4,172,029 27.44%7
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020CW MUNICIPAL BUILDING EXPENDITURES23-216-54-00-5446PROPERTY & BLDG MAINT SERVICES576 8,966 4,053 26,013 5,590 28,106 4,561 4,017 835 1,887 84,604 225,000 37.60%23-216-54-00-5482 STREET LIGHTING - 6,888 3,748 7,262 7,410 7,916 8,281 11,690 4,234 10,827 68,257 102,820 66.38%23-216-56-00-5619 SIGNS - - - 763 - 448 - 116 4,169 - 5,496 15,000 36.64%23-216-56-00-5626 HANGING BASKETS - - 427 - - - - - - - 427 2,000 21.35%23-216-56-00-5656PROPERTY & BLDG MAINT SUPPLIES180 5 3 1,778 3,764 1,270 - - 251 1,792 9,043 25,000 36.17%23-216-60-00-6003 MATERIALS STORAGE BUILDING - - - - - 62,239 121,641 41,579 - 1,064 226,523 250,000 90.61%23-216-60-00-6020 BUILDINGS & STRUCTURES - - - - - - - - - - - 41,250 0.00%23-216-99-00-9901 TRANSFER TO GENERAL - - - - - - - - - - - 47,180 0.00%CITY-WIDE CAPITAL EXPENDITURESContractual Services23-230-54-00-5462 PROFESSIONAL SERVICES - - - - - - - - - - - 5,000 0.00%23-230-54-00-5498 PAYING AGENT FEES - - - 475 - - - - - - 475 475 100.00%23-230-54-00-5499 BAD DEBT - - - - - - - - - - - 1,500 0.00%23-230-60-00-6032 ASPHALT PATCHING - 1,680 553 3,444 - - 3,756 - 2,084 - 11,517 35,000 32.90%23-230-56-00-5637SIDEWALK CONSTRUCTION SUPPLIES- - - 932 - 1,365 415 - - - 2,712 5,000 54.24%Capital Outlay23-230-60-00-6012 MILL ROAD IMPROVEMENTS - - 2,359 27,712 392 145,957 - 8,330 415 1,384 186,548 3,105,000 6.01%23-230-60-00-6014BLACKBERRY WOODS SUBDIVISION- - 2,350 - - - - - - - 2,350 7,549 31.13%23-230-60-00-6016US34 (CENTER/ELDAMAIN RD) PROJECT- - 62,924 33,644 - - - - - - 96,568 110,226 87.61%23-230-60-00-6021PAVILION RD STREAMBANK STABILIZATION- - - - - - - - - - 137,500 0.00%23-230-60-00-6023 FOUNTAIN VILLAGE SUBDIVISION - - 93 - - 1,710 165 - - - 1,968 - 0.00%23-230-60-00-6025ROAD TO BETTER ROADS PROGRAM- - 14,148 32,933 9,858 224 1,471 3,902 8,780 4,092 75,407 80,000 94.26%23-230-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 594 201 335 - 19,031 618 150 - 20,929 22,500 93.02%23-230-60-00-6036RAINTREE VILLAGE IMPROVEMENTS- - - - - - - - 2,165 - 2,165 - 0.00%23-230-60-00-6058RT71 ( RT47/ORCHARD RD) PROJECT- - - - - - - - - - - 30,333 0.00%23-230-60-00-6059US RT34(IL47/ORCHARD RD)PROJECT- - 16,722 2,120 - - - - - - 18,842 90,981 20.71%23-230-60-00-6094 ITEP KENNEDY RD BIKE TRAIL - - - - - - - - - - - 32,000 0.00%2014A Bond- 23-230-78-00-8000 PRINCIPAL PAYMENT - - - - - - 195,000 - - 195,000 195,000 100.00%23-230-78-00-8050 INTEREST PAYMENT 63,594 - - - - - 63,594 - - 127,188 127,188 100.00%23-230-99-00-9951 TRANSFER TO WATER 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 87,422 104,906 83.33%TOTAL FUND REVENUES 25,177 222,653 28,344 148,246 8,895 277,014 43,953 204,759 26,836 158,808 1,144,685 4,172,029 27.44%TOTAL FUND EXPENDITURES 73,091 26,281 116,717 146,019 36,091 257,975 426,656 78,994 31,826 29,788 1,223,438 4,798,408 25.50%FUND SURPLUS (DEFICIT) (47,914) 196,372 (88,373) 2,227 (27,196) 19,039 (382,703) 125,765 (4,989) 129,020 (78,753) (626,379) VEHICLE & EQUIPMENT REVENUELicenses & Permits25-000-42-00-4215DEVELOPMENT FEES - POLICE CAPITAL6,300 3,000 4,800 1,650 57,900 2,400 4,350 1,500 900 3,000 85,800 30,000 286.00%25-000-42-00-4217 WEATHER WARNING SIREN FEES 109 217 326 54 - 54 217 163 54 217 1,411 - 0.00%25-000-42-00-4218 ENGINEERING CAPITAL FEE 1,900 1,000 1,600 400 1,000 800 1,450 400 300 1,000 9,850 10,000 98.50%25-000-42-00-4219DEVELOPMENT FEES - PW CAPITAL14,900 7,000 11,200 3,950 171,700 5,600 10,150 3,700 2,100 7,000 237,300 64,500 367.91%25-000-42-00-4220DEVELOPMENT FEES - PARK CAPITAL1,000 500 800 250 500 400 725 200 150 500 5,025 5,000 100.50%Fines & Forfeits25-000-43-00-4315 DUI FINES854 1,029 1,361 489 - 200 350 400 - 550 5,233 8,000 65.42%25-000-43-00-4316 ELECTRONIC CITATION FEES76 76 100 62 72 64 64 70 58 44 686 650 105.59%8
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020Charges for Service25-000-44-00-4418 MOWING INCOME - - 338 - - 338 1,539 - - - 2,215 2,000 110.74%25-000-44-00-4420 POLICE CHARGEBACK 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 20,027 24,032 83.33%25-000-44-00-4425COMPUTER REPLACEMENT CHARGEBACKS- - - - - 15,271 5,203 7,825 38,421 - 66,720 60,336 110.58%Investment Earnings25-000-45-00-4522 INVESTMENT EARNINGS - PARKS 86 93 93 87 92 87 88 92 95 89 901 850 106.06%25-000-45-00-4550 GAIN ON INVESTMENT - - - - - - - 1,149 - - 1,149 - 0.00%Miscellaneous25-000-48-00-4852 MISC INCOME - PD CAPITAL - 412 - - - - - - 412 - 0.00%25-000-48-00-4854 MISC INCOME - PW CAPITAL - 99 - - - - - - 99 2,000 4.93%25-000-49-00-4906 LOAN ISSUANCE - - - - - - 548,273 - - 548,273 - 0.00%25-000-49-00-4910SALE OF CAPITAL ASSETS-GEN GOV- - - - - - - 450 - 450 - 0.00%25-000-49-00-4920 SALE OF CAPITAL ASSETS-PD - - - - - - - 1,000 1,588 2,588 - 0.00%25-000-49-00-4921 SALE OF CAPITAL ASSETS-PW - - - - - - - - - 400 400 - 0.00%25-000-49-00-4922 SALE OF CAPITAL ASSETS-PARKS - - - - - - - 450 - 450 - 0.00%TOTAL REVENUES: VEHICLE & EQUIPMENT 27,227 15,428 22,620 8,945 233,267 27,217 574,411 19,402 45,669 14,803 988,988 207,368 476.92%VEHICLE & EQUIPMENT EXPENDITURESPOLICE CAPITAL EXPENDITURESContractual Services25-205-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - 448 - 3,841 129 - - - 4,418 8,750 50.49%Capital Outlay25-205-60-00-6060 EQUIPMENT - - - - - - - - - - - 5,000 0.00%25-205-60-00-6070 VEHICLES - - - - - - 5,170 3,937 - 45,410 54,517 64,000 85.18%TOTAL EXPENDITURES: POLICE CAPITAL - - - 448 - 3,841 5,299 3,937 - 45,410 58,935 77,750 75.80%GENERAL GOVERNMENT CAPITAL EXPENDITURESContractual Services25-212-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - 15,271 7,008 6,020 - 38,421 66,720 60,336 110.58%TOTAL EXPENDITURES: GENERAL GOVERNMENT - - - - - 15,271 7,008 6,020 - 38,421 66,720 60,336 110.58%PUBLIC WORKS CAPITAL EXPENDITURESContractual Services25-215-54-00-5448 FILING FEES - - - - - - 295 285 - - 580 750 77.35%Supplies25-215-56-00-5620 OPERATING SUPPLIES- - - - - - - - - - - 2,000 0.00%Capital Outlay25-215-60-00-6060 EQUIPMENT- - - - - - - - - - - 7,000 0.00%25-215-60-00-6070 VEHICLES- - - - - 99,189 - - 99,189 201,000 49.35%185 Wolf Street Building25-215-92-00-8000 PRINCIPAL PAYMENT3,604 3,622 3,640 3,657 3,675 3,693 - 4,241 4,148 4,160 34,441 44,429 77.52%25-215-92-00-8050 INTEREST PAYMENT2,689 2,672 2,654 2,636 2,619 2,601 - 1,542 1,635 1,623 20,670 31,095 66.47%25-215-99-00-9960 PAYMENT TO FISCAL AGENTPA- - - - - - 531,617 - - - 531,617 - 0.00%TOTAL EXPENDITURES: PW CAPITAL 6,294 6,294 6,294 6,294 6,294 6,294 531,912 105,257 5,783 5,783 686,497 286,274 239.80%PARK & RECREATION CAPITAL EXPENDITURESContractual Services25-225-54-00-5495 OUTSDE REPAIR & MAINTENANCE - - - - - - 8 2 - - 10 5,000 0.20%Capital Outlay25-225-60-00-6010 PARK IMPROVEMENTS - - - - - - - - 2,050 31,486 33,536 - 0.00%25-225-60-00-6020 BUILDINGS & STRUCTURES - - - - - - 5,622 1,782 - - 7,404 20,000 37.02%25-225-60-00-6060 EQUIPMENT - - - - - - - - - - - 50,000 0.00%9
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202025-225-60-00-6070 VEHICLES- - - - - 67,958 - - - 67,958 70,000 97.08%185 Wolf Street Building25-225-92-00-8000 PRINCIPAL PAYMENT113 113 114 115 115 116 - 133 130 130 1,079 1,392 77.52%25-225-92-00-8050 INTEREST PAYMENT84 84 83 83 82 81 - 48 51 51 648 974 66.49%25-225-99-00-9960 PAYMENT TO FISCAL AGENTPA- - - - - - 16,656 - - - 16,656 - 0.00%TOTAL EXPENDITURES: PARK & REC CAPITAL197 197 197 197 197 68,155 22,286 1,965 2,231 31,668 127,290 147,366 86.38%TOTAL FUND REVENUES 27,227 15,428 22,620 8,945 233,267 27,217 574,411 19,402 45,669 14,803 988,988 207,368 476.92%TOTAL FUND EXPENDITURES 6,491 6,491 6,491 6,939 6,491 93,561 566,504 117,180 8,014 121,282 939,442 571,726 164.32%FUND SURPLUS (DEFICIT) 20,736 8,937 16,129 2,006 226,776 (66,344) 7,907 (97,778) 37,655 (106,479) 49,546 (364,358) DEBT SERVICE REVENUES42-000-42-00-4208RECAPTURE FEES-WATER & SEWER550 1,373 2,621 1,248 250 475 763 150 175 300 7,905 4,646 170.14%42-000-49-00-4901 TRANSFER FROM GENERAL 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 266,149 319,379 83.33%TOTAL REVENUES: DEBT SERVICE 27,165 27,988 29,236 27,863 26,865 27,090 27,377 26,765 26,790 26,915 274,054 324,025 84.58%DEBT SERVICE EXPENDITURES42-420-54-00-5498 PAYING AGENT FEES - - - 475 - - - - - - 475 475 100.00%2014B Refunding Bond42-420-79-00-8000 PRINCIPAL PAYMENT - - - - - - - 290,000 - - 290,000 290,000 100.00%42-420-79-00-8050 INTEREST PAYMENT - 16,775 - - - - - 16,775 - - 33,550 33,550 100.00%TOTAL FUND REVENUES 27,165 27,988 29,236 27,863 26,865 27,090 27,377 26,765 26,790 26,915 274,054 324,025 84.58%TOTAL FUND EXPENDITURES - 16,775 - 475 - - - 306,775 - - 324,025 324,025 100.00%FUND SURPLUS (DEFICIT)27,165 11,213 29,236 27,388 26,865 27,090 27,377 (280,010) 26,790 26,915 (49,971) - WATER FUND REVENUESCharges for Service51-000-44-00-4424 WATER SALES5,750 500,906 5,125 562,150 2,751 548,019 1,874 478,270 1,088 432,381 2,538,314 3,228,300 78.63%51-000-44-00-4425 BULK WATER SALES- - - - - - 12,650 - - - 12,650 5,000 253.00%51-000-44-00-4426 LATE PENALTIES - WATER32 17,673 194 17,541 185 23,680 46 24,668 31 18,893 102,944 110,000 93.59%51-000-44-00-4430 WATER METER SALES17,755 15,527 14,238 7,038 4,878 11,178 24,878 3,313 4,753 7,353 110,914 60,000 184.86%51-000-44-00-4440 WATER INFRASTRUCTURE FEE610 130,388 481 132,068 69 132,957 110 133,549 (691) 133,968 663,510 768,000 86.39%51-000-44-00-4450 WATER CONNECTION FEES35,220 28,045 39,670 21,139 16,720 32,100 38,950 18,500 12,360 28,780 271,484 230,000 118.04%Investment Earnings51-000-45-00-4500 INVESTMENT EARNINGS1,619 1,574 1,625 2,305 2,013 2,488 2,706 2,535 1,964 1,637 20,464 23,851 85.80%51-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 6,693 - - 6,693 - 0.00%Miscellaneous51-000-46-00-4690 REIMB - MISCELLANEOUS- - - - - - 0 1,309 - 342 1,651 - 0.00%51-000-48-00-4820 RENTAL INCOME 10,982 8,082 8,082 8,082 8,082 8,894 8,124 8,124 8,124 8,208 84,786 95,749 88.55%51-000-48-00-4850 MISCELLANEOUS INCOME515 309 - - - - - - 82 - 906 250 362.23%Other Financing Sources51-000-49-00-4910 SALES OF CAPITAL ASSETS- - - - - - - 900 - - 900 - 0.00%51-000-49-00-4923TRANSFER FROM CITY-WIDE CAPITAL8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 87,422 104,906 83.33%51-000-49-00-4952 TRANSFER FROM SEWER 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 61,563 73,875 83.33%TOTAL REVENUES: WATER FUND 87,382 717,403 84,315 765,223 49,597 774,215 104,237 692,759 42,609 646,460 3,964,200 4,699,931 84.35%WATER OPERATIONS EXPENSESSalaries & Wages51-510-50-00-5010 SALARIES & WAGES 39,899 27,910 28,083 29,302 29,590 30,873 46,450 29,072 29,072 29,131 319,383 477,935 66.83%51-510-50-00-5015 PART-TIME SALARIES 1,440 1,335 1,250 280 - - - - - - 4,305 30,000 14.35%10
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202051-510-50-00-5020 OVERTIME631 376 916 1,043 562 365 554 311 292 1,461 6,511 12,000 54.26%Benefits51-510-52-00-5212RETIREMENT PLAN CONTRIBUTION3,686 2,576 2,641 2,763 2,745 2,844 4,272 2,676 3,297 3,434 30,933 44,948 68.82%51-510-52-00-5214 FICA CONTRIBUTION 3,086 2,155 2,201 2,235 2,206 2,290 3,480 2,159 2,159 2,251 24,222 37,702 64.25%51-510-52-00-5216 GROUP HEALTH INSURANCE 14,894 7,041 7,520 7,810 7,153 5,124 5,225 8,645 7,096 7,783 78,291 137,566 56.91%51-510-52-00-5222 GROUP LIFE INSURANCE 36 36 36 36 36 35 28 31 37 37 349 560 62.25%51-510-52-00-5223 DENTAL INSURANCE 1,126 563 563 563 563 491 491 566 528 528 5,984 9,354 63.97%51-510-52-00-5224 VISION INSURANCE 165 83 83 83 83 73 73 86 79 79 885 1,344 65.87%51-510-52-00-5230 UNEMPLOYMENT INSURANCE 272 - 272 - - 272 - - - 527 1,344 2,000 67.19%51-510-52-00-5231 LIABILITY INSURANCE 6,464 2,184 2,184 2,184 2,184 2,184 1,087 1,185 5,009 2,246 26,909 29,590 90.94%Contractual Services51-510-54-00-5401 ADMINISTRATIVE CHARGEBACK9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 98,859 118,631 83.33%51-510-54-00-5412 TRAINING & CONFERENCES2,400 312 - - 322 - 100 - 108 - 3,242 6,500 49.88%51-510-54-00-5415 TRAVEL & LODGING- 127 - - - 622 6 - - - 755 2,000 37.76%51-510-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 480 1,420 7,043 - 8,943 10,408 85.93%51-510-54-00-5426 PUBLISHING & ADVERTISING - - - - 449 - - - - - 449 500 89.80%51-510-54-00-5429 WATER SAMPLES - 50 3,465 2,172 - - - 300 4,947 3,416 14,350 8,000 179.37%51-510-54-00-5430 PRINTING & DUPLICATING 101 1 618 1 1 538 78 15 466 19 1,840 3,250 56.63%51-510-54-00-5440 TELECOMMUNICATIONS - 2,892 3,117 3,519 3,344 820 3,494 3,521 3,883 3,909 28,499 35,000 81.43%51-510-54-00-5445 TREATMENT FACILITY SERVICES 15,617 - 27,630 18,651 13,665 12,868 2,280 23,537 37,718 3,198 155,164 145,000 107.01%51-510-54-00-5448 FILING FEES 530 298 - 53 212 - 318 255 134 134 1,934 3,000 64.47%51-510-54-00-5452 POSTAGE & SHIPPING 2,536 516 2,542 627 2,577 96 3,388 59 3,172 571 16,084 19,000 84.65%51-510-54-00-5460 DUES & SUBSCRIPTIONS567 729 - - - - - - 350 - 1,646 1,800 91.43%51-510-54-00-5462 PROFESSIONAL SERVICES4,823 6,287 12,010 9,943 9,379 8,973 5,183 2,954 3,928 4,719 68,199 65,000 104.92%51-510-54-00-5465 ENGINEERING SERVICES- - 9,602 208 6,259 3,026 543 - 1,357 - 20,994 37,500 55.98%51-510-54-00-5480 UTILITIES- 15,520 22,676 24,456 25,079 22,203 17,453 22,263 26,991 24,533 201,174 303,709 66.24%51-510-54-00-5483 JULIE SERVICES- - - - - - - - - 1,557 1,557 3,000 51.91%51-510-54-00-5485 RENTAL & LEASE PURCHASE45 99 241 45 338 144 144 196 144 144 1,538 1,700 90.46%51-510-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 406 1,051 38.63%51-510-54-00-5490VEHICLE MAINTENANCE SERVICES- - 1,540 102 1,904 2,217 2,626 - - 740 9,129 12,000 76.08%51-510-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - - - 3,975 6,100 - - - 10,075 25,000 40.30%51-510-54-00-5498 PAYING AGENT FEES - - 349 475 - 475 - - - - 1,299 1,750 74.25%51-510-54-00-5499 BAD DEBT - - - - - - - - - - - 10,000 0.00%Supplies51-510-56-00-5600 WEARING APPAREL - 81 - 231 175 236 1,013 418 221 4 2,379 5,100 46.65%51-510-56-00-5620 OPERATING SUPPLIES 126 153 98 299 607 329 174 193 4,197 129 6,305 10,500 60.05%51-510-56-00-5628VEHICLE MAINTENANCE SUPPLIES- 307 106 - 12 14 11 30 811 20 1,310 2,500 52.39%51-510-56-00-5630 SMALL TOOLS & EQUIPMENT 24 56 4 178 45 - 183 162 26 100 778 4,000 19.45%51-510-56-00-5638 TREATMENT FACILITY SUPPLIES 7,019 6,136 10,888 19,339 15,478 14,913 11,344 15,144 13,253 15,072 128,586 218,438 58.87%51-510-56-00-5640 REPAIR & MAINTENANCE - 608 993 1,561 140 598 1,297 1,119 - 569 6,884 27,500 25.03%51-510-56-00-5664 METERS & PARTS 1,876 6,711 20,199 19,097 11,671 23,486 6,090 11,726 10,530 17,566 128,953 100,000 128.95%51-510-56-00-5665 JULIE SUPPLIES - 21 48 340 44 198 5,023 - 778 827 7,279 1,200 606.61%51-510-56-00-5695 GASOLINE 91 1,322 1,691 1,622 858 1,928 1,335 1,721 1,800 2,432 14,800 24,043 61.56%Capital Outlay51-510-60-00-6022 WELL REHABILITATIONS - - 84 7,541 171 - - - - - 7,796 165,000 4.72%51-510-60-00-6025ROAD TO BETTER ROADS PROGRAM- - - 221,417 11,386 126,336 183,028 50,867 2,817 5,100 600,950 569,000 105.62%51-510-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 26 9 15 - 796 27 7 - 881 - 0.00%51-510-60-00-6059 US34 (IL RT47/ORCHARD) PROJECT - - 3,972 504 - - - - - - 4,475 21,608 20.71%51-510-60-00-6060 EQUIPMENT - - - - 616 3,596 713 3,078 616 1,847 10,464 400,000 2.62%11
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202051-510-60-00-6066RTE 71 WATERMAIN REPLACEMENT- - - - - 2,377 586 - 5,850 - 8,813 42,166 20.90%51-510-60-00-6079 ROUTE 47 EXPANSION 3,781 3,781 3,781 3,781 3,781 - 3,781 3,781 3,781 3,781 34,029 45,372 75.00%51-510-60-00-6081CATION EXCHANGE MEDIA REPLACEMENT- - - - - 3,781 3,994 - 3,931 998 12,704 185,000 6.87%2015A Bond51-510-77-00-8000 PRINCIPAL PAYMENT - - - - - - 290,483 - - - 290,483 290,483 100.00%51-510-77-00-8050 INTEREST PAYMENT 75,893 - - - - - 75,893 - - - 151,787 151,787 100.00%2016 Refunding Bond 51-510-85-00-8000 PRINCIPAL PAYMENT - - - - - - - 1,470,000 - - 1,470,000 1,470,000 100.00%51-510-85-00-8050 INTEREST PAYMENT - 88,225 - - - - - 88,225 - - 176,450 176,450 100.00%IEPA Loan L17-15630051-510-89-00-8000 PRINCIPAL PAYMENT - - - 51,887 - - - - - 52,536 104,423 104,423 100.00%51-510-89-00-8050 INTEREST PAYMENT - - - 10,628 - - - - - 9,979 20,607 20,607 100.00%2014C Refunding Bond51-510-94-00-8000 PRINCIPAL PAYMENT - - - - - - - 125,000 - - 125,000 125,000 100.00%51-510-94-00-8050 INTEREST PAYMENT - 11,375 - - - - - 11,375 - - 22,750 22,750 100.00%TOTAL FUND REVENUES87,382 717,403 84,315 765,223 49,597 774,215 104,237 692,759 42,609 646,460 3,964,200 4,699,931 84.35%TOTAL FUND EXPENSES197,015 199,818 181,381 454,934 163,602 288,249 699,480 1,892,019 196,378 211,263 4,484,139 5,779,725 77.58%FUND SURPLUS (DEFICIT)(109,633) 517,586 (97,066) 310,289 (114,005) 485,965 (595,244) (1,199,260) (153,769) 435,198 (519,939) (1,079,794) SEWER FUND REVENUESCharges for Service52-000-44-00-4435 SEWER MAINTENANCE FEES666 163,928 542 165,360 (90) 166,419 80 167,340 (1,272) 167,972 830,946 979,200 84.86%52-000-44-00-4440 SEWER INFRASTRUCTURE FEE(220) 62,291 842 64,219 30 64,942 55 64,509 94 65,250 322,013 370,000 87.03%52-000-44-00-4455 SW CONNECTION FEES - OPS7,400 8,500 5,700 11,900 4,700 3,100 18,200 1,500 900 2,900 64,800 23,300 278.11%52-000-44-00-4456 SW CONNECTION FEES - CAPITAL21,600 14,400 16,200 5,400 10,800 5,400 15,300 9,000 3,600 12,600 114,300 180,000 63.50%52-000-44-00-4462 LATE PENALTIES - SEWER4 2,699 21 2,510 28 3,223 12 3,535 7 2,551 14,591 15,000 97.27%52-000-44-00-4465 RIVER CROSSING FEES300 - - 150 - - - 150 - - 600 - 0.00%Investment Earnings52-000-45-00-4500 INVESTMENT EARNINGS598 582 600 830 769 938 803 823 486 590 7,018 7,149 98.17%52-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 31,459 - - 31,459 - 0.00%Other Financing Sources52-000-46-00-4690 REIMB - MISCELLANEOUS- - - - - - - 1,309 2,652 - 3,961 - 0.00%52-000-46-00-4850 MISCELANEOUS INCOME309 111 - - - - - - - - 420 - 0.00%52-000-49-00-4901 TRANSFER FROM GENERAL47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 479,192 575,030 83.33%TOTAL REVENUES: SEWER FUND78,577 300,429 71,825 298,290 64,156 291,942 82,369 327,544 54,385 299,782 1,869,299 2,149,679 86.96%SEWER OPERATIONS EXPENSESSalaries & Wages52-520-50-00-5010 SALARIES & WAGES16,419 13,672 11,211 11,867 12,522 13,894 22,873 16,021 17,689 18,516 154,685 265,446 58.27%52-520-50-00-5015 PART-TIME SALARIES1,360 1,520 1,440 1,120 - - - - - - 5,440 5,000 108.80%52-520-50-00-5020 OVERTIME47 - - - - 31 107 63 - 32 280 500 55.96%Benefits52-520-52-00-5212RETIREMENT PLAN CONTRIBUTION1,505 1,239 1,016 1,075 1,135 1,262 2,014 1,457 1,976 2,072 14,750 24,399 60.45%52-520-52-00-5214 FICA CONTRIBUTION 1,304 1,090 897 929 898 1,005 1,692 1,158 1,275 1,340 11,588 19,031 60.89%52-520-52-00-5216 GROUP HEALTH INSURANCE 9,127 4,430 4,349 5,434 4,083 5,010 6,216 6,291 6,872 7,659 59,471 98,202 60.56%52-520-52-00-5222 GROUP LIFE INSURANCE 16 16 16 16 16 16 16 26 26 26 190 314 60.52%52-520-52-00-5223 DENTAL INSURANCE 639 320 320 320 320 392 467 467 467 467 4,177 6,433 64.93%52-520-52-00-5224 VISION INSURANCE 88 44 44 44 44 54 66 66 66 66 581 879 66.11%52-520-52-00-5230 UNEMPLOYMENT INSURANCE 143 - 143 - - 143 - - - 277 707 750 94.25%52-520-52-00-5231 LIABILITY INSURANCE 3,133 1,058 1,058 1,058 1,058 1,058 527 574 2,428 1,088 13,042 14,052 92.81%12
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020Contractual Services52-520-54-00-5401 ADMINISTRATIVE CHARGEBACK 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 35,580 42,696 83.33%52-520-54-00-5412 TRAINING & CONFERENCES 707 276 150 - - 240 62 - 45 - 1,480 2,500 59.18%52-520-54-00-5415 TRAVEL & LODGING 2 130 - - - 637 92 95 - 182 1,139 2,000 56.93%52-520-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - - - 5,176 - 5,176 8,258 62.68%52-520-54-00-5430 PRINTING & DUPLICATING 47 1 289 1 - 308 38 2 218 10 915 1,500 61.01%52-520-54-00-5440 TELECOMMUNICATIONS - 636 684 707 662 227 680 680 725 720 5,722 9,000 63.58%52-520-54-00-5444 LIFT STATION SERVICES 93 138 - 1,185 149 - - 358 8,298 - 10,220 75,000 13.63%52-520-54-00-5462 PROFESSIONAL SERVICES 1,060 1,022 1,177 1,518 1,665 1,291 1,917 2,251 1,152 2,207 15,260 43,000 35.49%52-520-54-00-5480 UTILITIES - 1,937 1,488 1,628 1,418 1,465 1,632 2,234 2,729 2,880 17,412 22,472 77.48%52-520-54-00-5483 JULIE SERVICES - - - - - - - - - 1,557 1,557 3,000 51.91%52-520-54-00-5485 RENTAL & LEASE PURCHASE 45 12 106 135 224 106 57 155 124 106 1,069 1,000 106.91%52-520-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 406 759 53.48%52-520-54-00-5490VEHICLE MAINTENANCE SERVICES1,240 - - - 37 - - - 296 3,823 5,396 10,000 53.96%52-520-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - - 4,000 - 1,060 - - - 5,060 16,000 31.62%52-520-54-00-5498 PAYING AGENT FEES - - - - - - - - 589 - 589 750 78.47%52-520-54-00-5499 BAD DEBT - - - - - - - - - - - 3,000 0.00%Supplies52-520-56-00-5600 WEARING APPAREL - 384 67 291 - - - 102 240 54 1,137 3,980 28.58%52-520-56-00-5610 OFFICE SUPPLIES - - - 17 253 479 - 225 26 207 1,207 1,000 120.70%52-520-56-00-5613 LIFT STATION MAINTENANCE - 104 1,223 1,171 1,193 27 1,315 - 1,462 244 6,739 8,000 84.24%52-520-56-00-5620 OPERATING SUPPLIES 248 37 156 241 973 419 591 64 3,763 450 6,941 9,000 77.12%52-520-56-00-5628VEHICLE MAINTENANCE SUPPLIES(105) 165 - 39 6 99 100 338 1,250 369 2,261 10,000 22.61%52-520-56-00-5630 SMALL TOOLS & EQUIPMENT 59 19 87 152 25 - 520 97 - - 958 2,000 47.92%52-520-56-00-5640 REPAIR & MAINTENANCE - - - 861 - - 450 1,624 - 66 3,001 5,000 60.03%52-520-56-00-5665 JULIE SUPPLIES - - - - - - - - - 381 381 1,200 31.76%52-520-56-00-5695 GASOLINE 91 1,327 1,695 1,627 863 1,936 1,341 1,721 1,806 2,438 14,846 22,470 66.07%Capital Outlay52-520-60-00-6001 SCADA SYSTEM - - - - - - - - - - - 67,000 0.00%52-520-60-00-6025ROAD TO BETTER ROADS PROGRAM- - 7,268 - 36,203 1,652 12,669 1,378 268 - 59,437 137,000 43.38%52-520-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 40 13 22 - 1,378 41 10 - 1,505 - 0.00%52-520-60-00-6059 US34 (IL RT47/ORCHARD) PROJECT - - 209 27 - - - - - - 236 11,373 2.07%52-520-60-00-6066RTE 71 SEWER MAIN REPLACEMENT- - - - - 3,565 103 - 8,511 - 12,180 63,000 19.33%52-520-60-00-6070 VEHICLES - - - - - - - - - - - 50,000 0.00%52-520-60-00-6079 ROUTE 47 EXPANSION 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 18,735 22,488 83.31%Developer Commitments - Lennar52-520-75-00-7500LENNAR-RAINTREE SW RECAPTURE- - - - - - - - - - - 30,721 0.00%2003 IRBB Debt Certificates52-520-90-00-8000 PRINCIPAL PAYMENT- - - - - - - - 135,000 - 135,000 135,000 100.00%52-520-90-00-8050 INTEREST PAYMENT - - 14,834 - - - - - 14,834 - 29,668 29,668 100.00%2011 Refunding Bond52-520-92-00-8000 PRINCIPAL PAYMENT- - - - - - - 845,000 - - 845,000 845,000 100.00%52-520-92-00-8050 INTEREST PAYMENT - 144,557 - - - - - 144,557 - - 289,114 289,114 100.00%IEPA Loan L17-11530052-520-96-00-8000 PRINCIPAL PAYMENT- - - 52,832 - - - - - - 52,832 52,832 100.00%52-520-96-00-8050 INTEREST PAYMENT - - - 693 - - - - - - 693 693 100.04%13
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020Other Financing Uses52-520-99-00-9951 TRANSFER TO WATER 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 61,563 73,875 83.33%TOTAL FUND REVENUES 78,577 300,429 71,825 298,290 64,156 291,942 82,369 327,544 54,385 299,782 1,869,299 2,149,679 86.96%TOTAL FUND EXPENSES 48,856 185,788 61,621 96,652 79,420 46,971 69,571 1,038,647 228,973 58,826 1,915,325 2,546,355 75.22%FUND SURPLUS (DEFICIT) 29,721 114,641 10,204 201,638 (15,264) 244,971 12,798 (711,104) (174,588) 240,956 (46,026) (396,676) LAND CASH REVENUES72-000-47-00-4701 WHITE OAK - - - 1,406 - - - - - - 1,406 - 0.00%72-000-47-00-4703 AUTUMN CREEK 3,003 - - - 3,003 - - - - - 6,006 6,606 90.91%72-000-47-00-4704 BLACKBERRY WOODS 568 - - - - - - - - - 568 15,909 3.57%72-000-47-00-4706 CALEDONIA 1,007 1,007 - - 2,013 - 5,033 - 1,007 3,020 13,087 16,341 80.09%72-000-47-00-4708 COUNTRY HILLS1,538 - - 769 - - - 769 - - 3,076 8,000 38.45%72-000-47-00-4724 KENDALL MARKETPLACE- - - - - 324 162 - - - 486 2,024 24.00%72-000-47-00-4736 BRIARWOOD- 2,205 4,410 2,205 - - - - - - 8,820 9,555 92.31%72-000-48-00-4850 MISCELLANEOUS INCOME- 20 - - - - - - - - 20 - 0.00%TOTAL REVENUES: LAND CASH 6,116 3,231 4,410 4,380 5,016 324 5,195 769 1,007 3,020 33,468 58,435 57.27%LAND CASH EXPENDITURES72-720-54-00-5485 RENTAL & LEASE PURCHASE- - - 5,035 - - - - - - 5,035 4,850 103.81%72-720-60-00-6043 BRISTOL BAY REGIONAL PARK- - - - - - - - - - - 25,000 0.00%72-720-60-00-6045 RIVERFRONT PARK- - - - - - - - - - - 50,000 0.00%72-720-60-00-6049 RAINTREE PARK C- - - - - - - - 84 - 84 - 0.00%72-720-60-00-6067BLACKBERRY CREEK NATURE PRESERVE- - - - - - - - - - - 25,000 0.00%TOTAL FUND REVENUES 6,116 3,231 4,410 4,380 5,016 324 5,195 769 1,007 3,020 33,468 58,435 57.27%TOTAL FUND EXPENDITURES - - - 5,035 - - - - 84 - 5,118 104,850 4.88%FUND SURPLUS (DEFICIT) 6,116 3,231 4,410 (655) 5,016 324 5,195 769 923 3,020 28,350 (46,415) PARK & RECREATION REVENUESCharges for Service79-000-44-00-4402 SPECIAL EVENTS 22,750 3,262 32,843 5,162 1,351 3,937 8,133 3,292 5,387 4,795 90,912 90,000 101.01%79-000-44-00-4403 CHILD DEVELOPMENT 14,922 1,844 4,713 15,229 12,638 13,260 13,031 14,416 12,540 14,633 117,226 145,000 80.85%79-000-44-00-4404 ATHLETICS AND FITNESS 37,922 42,374 50,606 16,216 24,525 27,772 7,648 4,420 51,066 87,113 349,661 365,000 95.80%79-000-44-00-4441 CONCESSION REVENUE 5,681 18,224 6,206 2,195 4,348 5,742 - - - - 42,396 32,000 132.49%Investment Earnings79-000-45-00-4500 INVESTMENT EARNINGS126 103 110 109 105 88 120 110 107 111 1,087 1,500 72.44%Reimbursements79-000-46-00-4690 REIMB - MISCELLANEOUS- - 830 - - - 2,845 5,377 4,928 166 14,147 - 0.00%Miscellaneous79-000-48-00-4820 RENTAL INCOME48,650 950 750 750 350 350 750 1,000 800 1,200 55,550 54,500 101.93%79-000-48-00-4825 PARK RENTALS2,838 2,715 7,435 1,559 2,525 924 - 171 111 - 18,279 15,000 121.86%79-000-48-00-4843 HOMETOWN DAYS6,775 740 1,885 6,685 101,137 7,056 - - - - 124,278 108,000 115.07%79-000-48-00-4846 SPONSORSHIPS & DONATIONS5,419 6,440 1,155 1,450 - 1,005 719 525 300 300 17,312 20,000 86.56%79-000-48-00-4850 MISCELLANEOUS INCOME1,182 1,876 360 1,172 54 20 - - 134 414 5,212 3,000 173.72%Other Financing Sources79-000-49-00-4901 TRANSFER FROM GENERAL117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 1,175,823 1,410,988 83.33%TOTAL REVENUES: PARK & RECREATION263,846 196,109 224,475 168,109 264,616 177,735 150,828 146,893 192,956 226,315 2,011,882 2,244,988 89.62%14
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020PARKS DEPARTMENT EXPENDITURESSalaries & Wages79-790-50-00-5010 SALARIES & WAGES 64,605 46,935 40,129 38,309 40,855 42,261 63,193 40,187 39,776 38,612 454,862 552,859 82.27%79-790-50-00-5015 PART-TIME SALARIES 6,796 6,841 7,142 6,784 5,915 4,732 4,589 2,091 2,176 1,967 49,032 51,000 96.14%79-790-50-00-5020 OVERTIME 73 318 1,549 - 774 651 110 192 - - 3,667 5,000 73.33%Benefits79-790-52-00-5212RETIREMENT PLAN CONTRIBUTION6,057 4,431 3,885 3,602 3,928 4,029 5,937 3,787 4,617 4,517 44,790 52,725 84.95%79-790-52-00-5214 FICA CONTRIBUTION 5,328 3,998 3,595 3,302 3,489 3,483 5,033 3,096 3,075 2,973 37,371 44,715 83.57%79-790-52-00-5216 GROUP HEALTH INSURANCE 29,685 13,216 17,510 11,076 12,345 14,256 10,634 10,743 11,111 10,556 141,131 153,747 91.79%79-790-52-00-5222 GROUP LIFE INSURANCE 54 54 54 48 48 48 69 48 48 - 472 645 73.18%79-790-52-00-5223 DENTAL INSURANCE 1,918 905 905 793 868 1,018 868 868 868 868 9,880 10,866 90.93%79-790-52-00-5224 VISION INSURANCE 270 128 128 108 121 147 121 121 121 121 1,388 1,537 90.32%Contractual Services79-790-54-00-5412 TRAINING & CONFERENCES 2,400 - - - - - - 704 - 385 3,489 7,000 49.84%79-790-54-00-5415 TRAVEL & LODGING - - - - - - - - - - - 3,000 0.00%79-790-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 5,689 178 - 2,342 - 8,209 3,262 251.65%79-790-54-00-5440 TELECOMMUNICATIONS - 627 712 685 668 655 722 725 680 684 6,156 6,500 94.71%79-790-54-00-5462 PROFESSIONAL SERVICES - 203 117 231 92 192 1,274 (22) 73 1,738 3,898 9,400 41.46%79-790-54-00-5466 LEGAL SERVICES - - 43 194 - - 108 - - 247 591 3,000 19.71%79-790-54-00-5485 RENTAL & LEASE PURCHASE 95 - 95 651 189 95 95 95 95 95 1,502 2,500 60.07%79-790-54-00-5488 OFFICE CLEANING - 254 254 254 254 254 - 123 135 - 1,528 2,876 53.13%79-790-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 7,164 8,752 1,595 25 560 4,250 4,400 1,892 28,638 50,000 57.28%Supplies79-790-56-00-5600 WEARING APPAREL 305 584 25 - 58 651 618 119 265 95 2,720 6,220 43.72%79-790-56-00-5620 OPERATING SUPPLIES 115 2,806 2,554 411 2,619 399 2,439 1,716 5,714 808 19,580 25,000 78.32%79-790-56-00-5630 SMALL TOOLS & EQUIPMENT - 50 412 307 370 361 127 766 102 178 2,673 6,000 44.56%79-790-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - 2,000 - - - - - 2,000 2,000 100.00%79-790-56-00-5640 REPAIR & MAINTENANCE - 6,897 5,734 3,860 15,999 12,681 16,555 14,521 13,393 8,114 97,754 126,000 77.58%79-790-56-00-5695 GASOLINE - 1,523 1,984 2,627 1,697 - 2,870 1,477 746 1,277 14,202 25,410 55.89%TOTAL EXPENDITURES: PARKS DEPT 117,698 89,770 93,991 81,994 93,885 91,625 116,099 85,608 89,735 75,127 935,532 1,151,262 81.26%RECREATION DEPARTMENT EXPENDITURESSalaries & Wages79-795-50-00-5010 SALARIES & WAGES 40,742 31,071 28,135 27,764 27,014 27,764 41,146 28,046 27,068 27,068 305,817 359,002 85.19%79-795-50-00-5015 PART-TIME SALARIES 1,559 1,150 1,569 1,295 3,908 1,763 1,231 531 187 80 13,274 41,000 32.38%79-795-50-00-5045 CONCESSION WAGES 2,436 3,201 1,972 371 1,458 1,677 751 - - - 11,866 15,000 79.10%79-795-50-00-5046 PRE-SCHOOL WAGES 4,141 20 20 317 1,753 4,606 6,515 3,864 2,267 4,847 28,349 40,000 70.87%79-795-50-00-5052 INSTRUCTORS WAGES4,051 3,443 2,391 1,071 2,003 2,953 3,007 1,753 2,584 5,268 28,524 40,000 71.31%Benefits79-795-52-00-5212RETIREMENT PLAN CONTRIBUTION3,833 2,904 2,620 2,522 2,454 2,522 3,735 2,548 3,032 3,032 29,201 37,514 77.84%79-795-52-00-5214 FICA CONTRIBUTION 3,977 2,903 2,535 2,285 2,692 2,893 3,956 2,544 2,384 2,778 28,947 36,761 78.74%79-795-52-00-5216 GROUP HEALTH INSURANCE 14,969 7,469 6,976 7,269 8,791 9,690 6,968 7,376 6,596 8,070 84,173 101,795 82.69%79-795-52-00-5222 GROUP LIFE INSURANCE 37 37 37 37 37 37 37 37 67 12 373 440 84.69%79-795-52-00-5223 DENTAL INSURANCE 1,090 545 545 545 545 545 545 545 694 582 6,181 6,539 94.52%79-795-52-00-5224 VISION INSURANCE 158 79 79 79 79 79 79 97 85 85 899 948 94.82%Contractual Services79-795-54-00-5410 TUITION RIMBURSEMENT - - - - - - - - - - - 9,648 0.00%79-795-54-00-5412 TRAINING & CONFERENCES - 710 2,355 - 60 - - 250 - 310 3,685 5,000 73.70%79-795-54-00-5415 TRAVEL & LODGING- - - - - - - 515 - 330 845 3,000 28.18%79-795-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 1,874 1,827 2,145 - - 5,847 5,888 99.30%15
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202079-795-54-00-5426 PUBLISHING & ADVERTISING- - 255 3,352 11,813 397 30 15,207 551 223 31,829 55,000 57.87%79-795-54-00-5440 TELECOMMUNICATIONS- 676 823 829 846 549 867 860 850 834 7,134 8,000 89.18%79-795-54-00-5447 SCHOLARSHIPS- - - - - - - - - - - 2,500 0.00%79-795-54-00-5452 POSTAGE & SHIPPING792 176 248 237 250 341 89 63 294 285 2,774 3,500 79.24%79-795-54-00-5460 DUES & SUBSCRIPTIONS- - - - 675 - 1,464 - 199 - 2,338 3,000 77.93%79-795-54-00-5462 PROFESSIONAL SERVICES6,131 9,848 18,530 18,743 10,143 13,329 9,607 4,459 4,200 12,773 107,764 100,000 107.76%79-795-54-00-5480 UTILITIES- 406 954 1,110 813 852 2,427 1,677 954 933 10,126 14,292 70.85%79-795-54-00-5485 RENTAL & LEASE PURCHASE135 60 95 95 249 95 95 95 155 95 1,167 3,000 38.89%79-795-54-00-5488 OFFICE CLEANING- 525 525 525 525 525 - 394 525 - 3,544 3,992 88.78%79-795-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 67 1,045 15 72 67 - 30 67 1,363 3,000 45.43%Supplies79-795-56-00-5602 HOMETOWN DAYS SUPPLIES 10,800 - - 51,544 49,835 4,348 10,835 - - - 127,363 100,000 127.36%79-795-56-00-5606 PROGRAM SUPPLIES 8,633 12,424 22,832 8,549 13,214 4,748 11,121 8,599 2,089 11,738 103,948 160,000 64.97%79-795-56-00-5607 CONCESSION SUPPLIES 114 2,693 5,640 2,117 741 2,561 746 183 - - 14,796 18,000 82.20%79-795-56-00-5610 OFFICE SUPPLIES - - - - 613 528 - 73 - 158 1,371 3,000 45.72%79-795-56-00-5620 OPERATING SUPPLIES - - 1,950 2,170 2,434 1,613 2,828 511 40 36 11,582 15,000 77.22%79-795-56-00-5640 REPAIR & MAINTENANCE 36 60 6 77 147 32 32 208 - 163 761 2,000 38.03%79-795-56-00-5695 GASOLINE - - 39 - - - - - - - 39 1,000 3.94%TOTAL EXPENDITURES: RECREATION DEPT103,632 80,398 101,199 133,948 143,108 86,392 110,003 82,580 54,851 79,767 975,878 1,197,819 81.47%TOTAL FUND REVENUES263,846 196,109 224,475 168,109 264,616 177,735 150,828 146,893 192,956 226,315 2,011,882 2,244,988 89.62%TOTAL FUND EXPENDITURES221,330 170,167 195,190 215,942 236,993 178,017 226,103 168,188 144,586 154,893 1,911,410 2,349,081 81.37%FUND SURPLUS (DEFICIT)42,516 25,941 29,285 (47,833) 27,623 (282) (75,275) (21,295) 48,370 71,422 100,472 (104,093) LIBRARY OPERATIONS REVENUESTaxes82-000-40-00-4000 PROPERTY TAXES 58,036 298,555 12,300 25,236 278,962 22,101 7,528 - - - 702,716 699,220 100.50%82-000-40-00-4083 PROPERTY TAXES-DEBT SERVICE65,634 337,641 13,910 28,540 315,483 24,994 8,513 - - - 794,715 793,028 100.21%Intergovernmental82-000-41-00-4120 PERSONAL PROPERTY TAX1,460 - 862 103 - 1,501 - 249 911 - 5,088 5,250 96.90%82-000-41-00-4170 STATE GRANTS- - - - 21,151 - - - - - 21,151 20,000 105.76%Fines & Forfeits82-000-43-00-4330 LIBRARY FINES434 712 492 1,669 279 1,168 231 394 572 1,146 7,097 8,500 83.49%Charges for Service82-000-44-00-4401 LIBRARY SUBSCRIPTION CARDS1,193 882 880 990 966 475 435 188 264 901 7,175 8,000 89.68%82-000-44-00-4422 COPY FEES294 322 441 399 264 361 245 228 309 367 3,230 3,750 86.12%82-000-44-00-4439 PROGRAM FEES- 15 20 23 - - - - 6 - 64 - 0.00%Investment Earnings82-000-45-00-4500 INVESTMENT EARNINGS735 680 817 1,079 1,377 1,394 1,358 1,657 1,478 1,350 11,925 10,000 119.25%82-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 3,882 - - 3,882 - 0.00%Miscellaneous82-000-48-00-4820 RENTAL INCOME200 - - 175 - 325 200 200 50 125 1,275 2,000 63.75%82-000-48-00-4850 MISCELLANEOUS INCOME1,981 370 52 - - 27 - 41 22 28 2,522 2,000 126.08%Other Financing Sources82-000-49-00-4901 TRANSFER FROM GENERAL5,588 1,830 2,002 1,830 1,830 2,002 911 993 4,197 2,214 23,396 25,003 93.57%TOTAL REVENUES: LIBRARY 135,555 641,006 31,777 60,044 620,311 54,348 19,421 7,831 7,810 6,131 1,584,234 1,576,751 100.47%LIBRARY OPERATIONS EXPENDITURESSalaries & Wages82-820-50-00-5010 SALARIES & WAGES30,988 21,451 20,903 20,903 20,902 20,903 31,710 21,068 21,068 21,068 230,963 278,394 82.96%82-820-50-00-5015 PART-TIME SALARIES19,549 12,675 12,560 12,752 12,651 13,938 18,442 12,266 10,973 12,956 138,762 196,000 70.80%16
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 2020Benefits82-820-52-00-5212RETIREMENT PLAN CONTRIBUTION2,821 1,957 1,907 1,907 1,907 1,907 2,886 1,922 2,370 2,370 21,957 25,541 85.97%82-820-52-00-5214 FICA CONTRIBUTION 3,804 2,552 2,501 2,516 2,508 2,607 3,774 2,492 2,400 2,552 27,706 35,544 77.95%82-820-52-00-5216 GROUP HEALTH INSURANCE 11,099 5,301 5,112 5,461 5,158 5,034 7,401 5,353 6,837 6,074 62,831 81,184 77.39%82-820-52-00-5222 GROUP LIFE INSURANCE 31 31 31 31 31 31 31 31 29 29 305 387 78.69%82-820-52-00-5223 DENTAL INSURANCE 1,165 582 582 582 582 582 582 582 582 582 6,405 6,987 91.67%82-820-52-00-5224 VISION INSURANCE 169 84 84 84 84 84 84 84 84 84 928 1,012 91.66%82-820-52-00-5230 UNEMPLOYMENT INSURANCE 172 - 172 - - 172 - - - 333 849 750 113.22%82-820-52-00-5231 LIABILITY INSURANCE 5,416 1,830 1,830 1,830 1,830 1,830 911 993 4,197 1,882 22,547 24,253 92.96%Contractual Services82-820-54-00-5412 TRAINING & CONFERENCES- - - - - - 163 - 305 - 468 2,000 23.38%82-820-54-00-5415 TRAVEL & LODGING- - - - - - 120 - - 1,415 1,535 1,500 102.36%82-820-54-00-5426 PUBLISHING & ADVERTISING- - - 485 (52) 55 - - - - 488 2,000 24.41%82-820-54-00-5440 TELECOMMUNICATIONS- 832 - 842 - 422 421 708 - - 3,225 6,000 53.74%82-820-54-00-5452 POSTAGE & SHIPPING- 45 9 8 20 20 27 16 183 18 346 750 46.17%82-820-54-00-5460 DUES & SUBSCRIPTIONS1,533 13 13 - 119 1,650 1,481 1,500 313 2,877 9,499 11,000 86.36%82-820-54-00-5462 PROFESSIONAL SERVICES4,059 1,983 1,181 3,384 1,339 2,750 4,091 1,784 455 2,613 23,639 40,000 59.10%82-820-54-00-5466 LEGAL SERVICES- - - 630 - - - - - - 630 3,000 21.00%82-820-54-00-5468 AUTOMATION2,249 - - 3,804 - 4,299 - 47 3,549 614 14,561 20,000 72.80%82-820-54-00-5480 UTILITIES- - 559 774 - 825 759 1,368 - 3,377 7,662 11,130 68.84%82-820-54-00-5495OUTSIDE REPAIR & MAINTENANCE248 4,921 7,359 1,343 2,640 9,527 1,553 9,387 5,437 18,145 60,560 50,000 121.12%82-820-54-00-5498 PAYING AGENT FEES - 1,100 - 589 - - - - - - 1,689 1,700 99.32%Supplies82-820-56-00-5610 OFFICE SUPPLIES - 112 437 500 528 1,011 1,691 278 634 262 5,453 8,000 68.16%82-820-56-00-5620 OPERATING SUPPLIES - 309 23 408 - - 1,256 - 360 229 2,586 3,000 86.19%82-820-56-00-5621 CUSTODIAL SUPPLIES - 1,397 - 120 918 100 49 1,166 205 2,156 6,111 8,000 76.38%82-820-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - - - - - - - 2,000 0.00%82-820-56-00-5671 LIBRARY PROGRAMMING - 22 61 - 376 131 178 71 50 - 888 1,000 88.84%82-820-56-00-5675 EMPLOYEE RECOGNITION - - - - 70 - - - 20 - 90 200 45.22%82-820-56-00-5685 DVD'S - - - - - - - - - - - 500 0.00%82-820-56-00-5686 BOOKS - - - 273 - 22 - 396 - - 691 1,500 46.09%2006 Bond82-820-84-00-8000 PRINCIPAL PAYMENT- - - - - - - 50,000 - - 50,000 50,000 100.00%82-820-84-00-8050 INTEREST PAYMENT- 11,306 - - - - - 11,306 - - 22,613 22,613 100.00%2013 Refunding Bond82-820-99-00-8000 PRINCIPAL PAYMENT- - - - - - - 585,000 - - 585,000 585,000 100.00%82-820-99-00-8050 INTEREST PAYMENT- 69,700 - - - - - 69,700 - - 139,400 139,400 100.00%TOTAL FUND REVENUES135,555 641,006 31,777 60,044 620,311 54,348 19,421 7,831 7,810 6,131 1,584,234 1,576,751 100.47%TOTAL FUND EXPENDITURES83,303 138,204 55,325 59,226 51,613 67,898 77,610 777,518 60,052 79,637 1,450,386 1,620,345 89.51%FUND SURPLUS (DEFICIT)52,251 502,802 (23,548) 818 568,697 (13,550) (58,189) (769,687) (52,242) (73,505) 133,848 (43,594) LIBRARY CAPITAL REVENUES84-000-42-00-4214 DEVELOPMENT FEES9,800 4,400 7,300 2,800 59,900 3,750 6,375 1,550 1,250 4,000 101,125 50,000 202.25%84-000-45-00-4500 INVESTMENT EARNINGS62 50 56 62 60 57 69 67 71 57 612 100 611.79%84-000-48-00-4850 MISCELLANEOUS INCOME- 29 - - - - - - - - 29 - 0.00%TOTAL REVENUES: LIBRARY CAPITAL9,862 4,479 7,356 2,862 59,960 3,807 6,444 1,617 1,321 4,057 101,766 50,100 203.12%LIBRARY CAPITAL EXPENDITURES84-840-54-00-5460 E-BOOK SUBSCRIPTIONS- - - - - - - - - 3,000 3,000 3,500 85.71%17
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202084-840-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - - - - - - - 15,000 0.00%84-840-56-00-5683 AUDIO BOOKS - 157 233 95 240 375 587 478 874 38 3,077 3,500 87.90%84-840-56-00-5684 COMPACT DISCS & OTHER MUSIC - - 343 100 - - - - - - 443 500 88.53%84-840-56-00-5685 DVD'S - 127 119 246 313 222 362 88 236 349 2,063 3,000 68.75%84-840-56-00-5686 BOOKS - 1,958 3,713 2,427 2,364 2,941 6,475 1,713 12,176 3,832 37,599 50,000 75.20%TOTAL FUND REVENUES 9,862 4,479 7,356 2,862 59,960 3,807 6,444 1,617 1,321 4,057 101,766 50,100 203.12%TOTAL FUND EXPENDITURES - 2,241 4,408 2,867 2,918 3,538 7,424 2,279 13,286 7,220 46,181 75,500 61.17%FUND SURPLUS (DEFICIT) 9,862 2,238 2,948 (5) 57,042 269 (980) (662) (11,965) (3,163) 55,585 (25,400) COUNTRYSIDE TIF REVENUES87-000-40-00-4000 PROPERTY TAXES96 64,536 619 31,741 62,981 2,624 41,287 - - - 203,884 232,318 87.76%87-000-48-00-4850 MISCELLANEOUS INCOME0 0 - - - - - - - - 0 - 0.00%TOTAL REVENUES: COUNTRYSIDE TIF96 64,536 619 31,741 62,981 2,624 41,287 - - - 203,884 232,318 87.76%COUNTRYSIDE TIF EXPENDITURESContractual Services87-870-54-00-5401 ADMINISTRATIVE CHARGEBACK939 939 939 939 939 939 939 939 939 939 9,386 11,263 83.33%87-870-54-00-5425 TIF INCENTIVE PAYOUT- - - - - - - - 700,000 - 700,000 700,000 100.00%87-870-54-00-5462 PROFESSIONAL SERVICES- - - 129 - - 436 15 462 398 1,440 2,000 72.00%87-870-54-00-5498 PAYING AGENT FEES- - 126 - - - - 535 - - 661 700 94.38%2015A Bond87-870-77-00-8000 PRINCIPAL PAYMENT - - - - - - 104,517 - - - 104,517 104,517 100.00%87-870-77-00-8050 INTEREST PAYMENT 27,307 - - - - - 27,307 - - - 54,613 54,613 100.00%2014 Refunding Bond87-870-93-00-8050 INTEREST PAYMENT 25,358 - - - - - 25,358 - - - 50,715 50,715 100.00%TOTAL FUND REVENUES96 64,536 619 31,741 62,981 2,624 41,287 - - - 203,884 232,318 87.76%TOTAL FUND EXPENDITURES53,603 939 1,064 1,068 939 939 158,555 1,489 701,401 1,336 921,332 923,808 99.73%FUND SURPLUS (DEFICIT)(53,507) 63,598 (445) 30,674 62,042 1,686 (117,269) (1,489) (701,401) (1,336) (717,447) (691,490) DOWNTOWN TIF REVENUES88-000-40-00-4000 PROPERTY TAXES8,667 30,817 406 2,477 25,571 6,172 1,648 - - - 75,759 80,000 94.70%88-000-48-00-4850 MISCELLANEOUS INCOME- 17 - - - - - - - - 17 - 0.00%TOTAL REVENUES: DOWNTOWN TIF 8,667 30,835 406 2,477 25,571 6,172 1,648 - - - 75,776 80,000 94.72%DOWNTOWN TIF EXPENDITURESContractual Services88-880-54-00-5401 ADMINISTRATIVE CHARGEBACK2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 26,872 32,246 83.33%88-880-54-00-5425 TIF INCENTIVE PAYOUT- - - - - - - - 25,597 - 25,597 20,000 127.98%88-880-54-00-5462 PROFESSIONAL SERVICES- - - - - - 274 15 - - 290 1,000 28.97%88-880-54-00-5466 LEGAL SERVICES- 527 43 - 108 204 484 - 323 - 1,688 15,000 11.25%88-880-54-00-5470 FACADE REHAB PROGRAM- - - - - - - - - - - 25,000 0.00%Capital Outlay88-880-60-00-6000 PROJECT COSTS- - - 104 - 312 690 1,323 312 - 2,741 27,500 9.97%88-880-60-00-6015 DOWNTOWN HILL- - - - - - - - - - - 50,000 0.00%88-880-60-00-6048DOWNTOWN STREETSCAPE IMPROV- - - - - - - - - - - 30,000 0.00%18
% of Fiscal Year8%17%25%33%42%50%58%67%75%83%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTIONMay-19June-19July-19August-19 September-19 October-19 November-19 December-19 January-20 February-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended February 29, 202088-880-60-00-6079 ROUTE 47 EXPANSION624 624 624 624 624 624 624 624 624 624 6,240 7,488 83.33%FNBO Loan - 102 E Van Emmon Building88-880-81-00-8000 PRINCIPAL PAYMENT - 200,000 - - - - - - - - 200,000 200,000 100.00%88-880-81-00-8050 INTEREST PAYMENT - 18,250 - - - - - - - - 18,250 18,250 100.00%TOTAL FUND REVENUES8,667 30,835 406 2,477 25,571 6,172 1,648 - - - 75,776 80,000 94.72%TOTAL FUND EXPENDITURES3,311 222,088 3,354 3,415 3,419 3,827 4,759 4,650 29,542 3,311 281,677 426,484 66.05%FUND SURPLUS (DEFICIT)5,356 (191,253) (2,948) (939) 22,153 2,345 (3,111) (4,650) (29,542) (3,311) (205,900) (346,484) DOWNTOWN TIF II REVENUES89-000-40-00-4000 PROPERTY TAXES2,001 9,875 271 373 9,711 1,940 0 - - - 24,171 - 0.00%TOTAL REVENUES: DOWNTOWN TIF II2,001 9,875 271 373 9,711 1,940 0 - - - 24,171 - 0.00%DOWNTOWN TIF II EXPENDITURES89-890-54-00-5425 TIF INCENTIVE PAYOUT- - - - - - 30,000 50,000 - - 80,000 - 0.00%89-890-54-00-5462 PROFESSIONAL SERVICES- - - - 1,753 - 4 15 - - 1,773 - 0.00%89-890-54-00-5466 LEGAL SERVICES- - 753 1,387 4,375 538 452 - 3,393 2,469 13,365 10,000 133.65%89-890-54-00-5470 FACADE REHAB PROGRAM- - - - - - - - - - - 25,000 0.00%TOTAL FUND REVENUES2,001 9,875 271 373 9,711 1,940 0 - - - 24,171 - 0.00%TOTAL FUND EXPENDITURES- - 753 1,387 6,128 538 30,456 50,015 3,393 2,469 95,138 35,000 271.82%FUND SURPLUS (DEFICIT)2,001 9,875 (481) (1,013) 3,583 1,402 (30,455) (50,015) (3,393) (2,469) (70,967) (35,000) 19
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
GENERAL FUND (01) REVENUES
Property Taxes -$ 3,231,926$ 100.2% 3,225,250$ 3,149,635$ 2.61%
Municipal Sales Tax 262,560 2,666,156 84.6% 3,151,800 2,569,577 3.76%
Non-Home Rule Sales Tax 202,523 2,028,648 83.4% 2,432,700 1,980,149 2.45%
Electric Utility Tax - 539,772 76.0% 710,000 553,411 -2.46%
Natural Gas Tax 31,149 207,896 83.2% 250,000 208,089 -0.09%
Excise (Telecommunication) Tax 26,777 232,771 74.2% 313,625 275,488 -15.51%
Cable Franchise Fees 64,721 292,693 100.9% 290,000 283,004 3.42%
Hotel Tax 3,770 70,232 87.8% 80,000 69,493 1.06%
Video Gaming Tax 12,009 117,675 84.1% 140,000 119,309 -1.37%
Amusement Tax 3,370 198,289 96.7% 205,000 200,179 -0.94%
State Income Tax 179,347 1,732,448 90.4% 1,916,366 1,548,863 11.85%
Local Use Tax 57,267 523,377 86.8% 602,966 453,802 15.33%
Road & Bridge Tax - 131,199 100.9% 130,000 128,668 1.97%
Building Permits 24,199 362,465 103.6% 350,000 414,327 -12.52%
Garbage Surcharge 212,606 1,055,094$ 86.1% 1,224,875 998,795 5.64%
Investment Earnings 6,515 141,320$ 176.7% 80,000$ 71,137 98.66%
MOTOR FUEL TAX FUND (15) REVENUES
Motor Fuel Tax 63,044$ 354,844$ 73.3% 484,084$ 285,387$ 24.34%
WATER FUND (51) REVENUES
Water Sales 432,381$ 2,538,314$ 78.6% 3,228,300$ 2,706,650$ -6.22%
Water Infrastructure Fees 133,968 663,510 86.4% 768,000 642,965 3.20%
Late Penalties 18,893 102,944 93.6% 110,000 90,750 13.44%
Water Connection Fees 28,780 271,484 118.0% 230,000 310,500 -12.57%
Water Meter Sales 7,353 110,914 184.9% 60,000 142,180 -21.99%
SEWER FUND (52) REVENUES
Sewer Maintenance Fees 167,972$ 830,946$ 84.9% 979,200$ 804,924$ 3.23%
Sewer Infrastructure Fees 65,250 322,013 87.0% 370,000 310,528 3.70%
Sewer Connection Fees 15,500 179,100 91.8% 195,000 378 47280.95%
PARKS & RECREATION (79) REVENUES
Special Events 4,795$ 90,912$ 101.0% 90,000$ 89,352$ 1.75%
Child Development 14,633 117,226 80.8% 145,000 122,007 -3.92%
Athletics & Fitness 87,113 349,661 95.8% 365,000 299,045 16.93%
Rental Income 1,200 55,550 101.9% 54,500 52,508 5.79%
Hometown Days - 124,278 115.1% 108,000 118,141 5.19%
*February represents 83% of fiscal year 2020
UNITED CITY OF YORKVILLE
MONTHLY ANALYSIS OF MAJOR REVENUES
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
20
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
GENERAL FUND (01)
Revenues
Local Taxes
Property Taxes -$ 3,231,926$ 100.2% 3,225,250$ 3,149,635$ 2.61%
Municipal Sales Tax 262,560 2,666,156 84.6% 3,151,800 2,569,577 3.76%
Non-Home Rule Sales Tax 202,523 2,028,648 83.4% 2,432,700 1,980,149 2.45%
Electric Utility Tax - 539,772 76.0% 710,000 553,411 -2.46%
Natural Gas Tax 31,149 207,896 83.2% 250,000 208,089 -0.09%
Excise (Telecommunication) Tax 26,777 232,771 74.2% 313,625 275,488 -15.51%
Telephone Utility Tax 695 6,950 83.3%8,340 6,950 0.00%
Cable Franchise Fees 64,721 292,693 100.9% 290,000 283,004 3.42%
Hotel Tax 3,770 70,232 87.8% 80,000 69,493 1.06%
Video Gaming Tax 12,009 117,675 84.1% 140,000 119,309 -1.37%
Amusement Tax 3,370 198,289 96.7% 205,000 200,179 -0.94%
Admissions Tax - 146,143 104.4% 140,000 148,133 -1.34%
Business District Tax 34,892 320,718 75.0% 427,500 340,417 -5.79%
Auto Rental Tax 1,283 15,021 103.6% 14,500 13,557 10.80%
Total Taxes 643,749$ 10,074,890$ 88.5% 11,388,715$ 9,917,391$ 1.59%
Intergovernmental
State Income Tax 179,347$ 1,732,448$ 90.4% 1,916,366$ 1,548,863$ 11.85%
Local Use Tax 57,267 523,377 86.8% 602,966 453,802 15.33%
Road & Bridge Tax - 131,199 100.9% 130,000 128,668 1.97%
Personal Property Replacement Tax - 15,352 90.3% 17,000 10,591 44.96%
Other Intergovernmental 2,275 21,928 59.4% 36,900 17,730 23.68%
Total Intergovernmental 238,889$ 2,424,305$ 89.7% 2,703,232$ 2,159,654$ 12.25%
Licenses & Permits
Liquor Licenses 822$ 14,171$ 25.3% 56,000$ 7,795$ 81.80%
Building Permits 24,199 362,465 103.6% 350,000 414,327 -12.52%
Other Licenses & Permits 711 7,849 104.7%7,500 6,622 18.53%
Total Licenses & Permits 25,732$ 384,486$ 93.0% 413,500$ 428,744$ -10.32%
Fines & Forfeits
Circuit Court Fines 3,725$ 31,253$ 69.5% 45,000$ 34,040$ -8.19%
Administrative Adjudication 3,700 20,686 69.0% 30,000 19,440 6.41%
Police Tows - 15,500 31.0% 50,000 32,709 -52.61%
Other Fines & Forfeits (85) 195 48.8%400 335 -41.79%
Total Fines & Forfeits 7,340$ 67,634$ 53.9% 125,400$ 86,524$ -21.83%
Charges for Services
^Garbage Surcharge 212,606$ 1,055,094$ 86.1% 1,224,875$ 998,795$ 5.64%
^Late PMT Penalties - Garbage 3,647 20,942 99.7% 21,000 17,793 17.70%
^UB Collection Fees 15,848 141,012 85.5% 165,000 140,596 0.30%
Administrative Chargebacks 17,070 170,697 83.3% 204,836 161,989 5.38%
Other Services - 4,103 820.5%500 - 0.00%
Total Charges for Services 249,171$ 1,391,847$ 86.1% 1,616,211$ 1,319,173$ 5.51%
Investment Earnings 6,515$ 141,320$ 176.7% 80,000$ 71,137$ 98.66%
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
21
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
GENERAL FUND (01) (continued)
Reimbursements/Miscellaneous/Transfers In
Reimb - Engineering & Legal Expenses -$ 11,035$ 44.1% 25,000$ 155$ 7019.14%
Other Reimbursements 19,753 69,681 139.4% 50,000 41,191 69.17%
Rental Income 590 6,005 85.8%7,000 5,845 2.74%
Miscellaneous Income & Transfers In (38) 19,628 32.6% 60,180 8,332 0.00%
Total Miscellaneous 20,306$ 106,349$ 74.8% 142,180$ 55,523$ 91.54%
Total Revenues and Transfers 1,191,702$ 14,590,832$ 88.6% 16,469,238$ 14,038,146$ 3.94%
Expenditures
Administration 72,984$ 784,747$ 81.3%964,684$ 776,689$ 1.04%
50 Salaries 45,657 490,137 81.7% 600,095 486,453 0.76%
52 Benefits 12,845 177,478 80.5% 220,528 186,510 -4.84%
54 Contractual Services 13,999 111,007 82.8% 134,061 97,813 13.49%
56 Supplies 483 6,125 61.2% 10,000 5,913 3.58%
Finance 35,618$ 429,291$ 80.4%533,741$ 396,490$ 8.27%
50 Salaries 21,907 244,650 81.2% 301,372 232,041 5.43%
52 Benefits 10,793 94,515 78.9% 119,719 97,310 -2.87%
54 Contractual Services 2,440 88,987 80.8% 110,150 66,292 34.24%
56 Supplies 478 1,138 45.5%2,500 847 34.40%
Police 336,649$ 4,953,223$ 83.5%5,935,224$ 4,608,244$ 7.49%
Salaries 233,100 2,658,683 82.1% 3,238,248 2,429,810 9.42%
Overtime 6,081 98,770 89.0% 111,000 82,664 19.48%
52 Benefits 73,102 1,921,318 88.3% 2,175,164 1,774,999 8.24%
54 Contractual Services 16,189 194,639 68.9% 282,312 253,279 -23.15%
56 Supplies 8,178 79,813 62.1% 128,500 67,492 18.26%
Community Development 67,168$ 687,011$ 73.6%933,186$ 707,667$ -2.92%
50 Salaries 40,179 426,162 81.9% 520,619 390,925 9.01%
52 Benefits 19,244 165,809 89.8% 184,592 146,059 13.52%
54 Contractual Services 6,965 87,628 39.8% 220,320 163,270 -46.33%
56 Supplies 780 7,412 96.8%7,655 7,413 -0.01%
PW - Street Ops & Sanitation 304,225$ 1,574,906$ 67.9%2,320,194$ 1,538,367$ 2.38%
Salaries 32,712 318,908 76.9% 414,921 330,531 -3.52%
Overtime 5,841 21,178 105.9% 20,000 19,427 0.00%
52 Benefits 19,781 163,678 84.4% 193,915 172,418 -5.07%
54 Contractual Services 224,461 961,982 69.2% 1,390,015 913,144 5.35%
56 Supplies 21,431 109,161 36.2% 301,343 102,847 6.14%
Administrative Services 340,720$ 4,395,827$ 72.1%6,096,620$ 4,754,990$ -7.55%
50 Salaries - 4,103 820.5%500 - 0.00%
52 Benefits 31,434 349,870 92.1% 379,699 322,704 8.42%
54 Contractual Services 94,122 1,883,735 60.4% 3,121,021 1,908,447 -1.29%
56 Supplies - 5,226 34.8% 15,000 - 0.00%
99 Transfers Out 215,164 2,152,893 83.4% 2,580,400 2,523,839 -14.70%
Total Expenditures and Transfers 1,157,365$ 12,825,005$ 76.4% 16,783,649$ 12,782,447$ 0.33%
Surplus(Deficit)34,337$ 1,765,827$ (314,411)$ 1,255,699$
^modified accruals basis
*February represents 83% of fiscal year 2020
50
50
22
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
WATER FUND (51)
Revenues
^ Water Sales 432,381$ 2,538,314$ 78.6% 3,228,300$ 2,706,650$ -6.22%
^ Water Infrastructure Fees 133,968 663,510 86.4% 768,000 642,965 3.20%
^ Late Penalties 18,893 102,944 93.6% 110,000 90,750 13.44%
Water Connection Fees 28,780 271,484 118.0% 230,000 310,500 -12.57%
Bulk Water Sales - 12,650 253.0% 5,000 2,800 351.79%
Water Meter Sales 7,353 110,914 184.9% 60,000 142,180 -21.99%
Total Charges for Services 621,375$ 3,699,816$ 84.1% 4,401,300$ 3,895,845$ -5.03%
BUILD Program -$ -$ 0.0% -$ 27,465$ -100.00%
Investment Earnings 1,637$ 27,158$ 113.9% 23,851$ 16,108$ 68.60%
Reimbursements/Miscellaneous/Transfers In
Reimbursements 342$ 1,651$ 0.0%-$ 15,753$ -89.52%
Rental Income 8,208 84,786 88.6% 95,749 49,933 69.80%
Miscellaneous Income & Transfers In 14,898 150,790 84.2% 179,031 118,909 26.81%
Total Miscellaneous 23,448$ 237,227$ 86.3% 274,780$ 184,595$ 28.51%
Total Revenues and Transfers 646,460$ 3,964,200$ 84.3% 4,699,931$ 4,124,013$ -3.88%
Expenses
Water Operations
Salaries 29,131$ 323,688$ 63.7% 507,935$ 328,594$ -1.49%
Overtime 1,461 6,511 54.3% 12,000 9,259 -29.68%
52 Benefits 16,885 168,916 64.2% 263,064 183,416 -7.91%
54 Contractual Services 52,826 646,136 79.4% 813,799 586,380 10.19%
56 Supplies 36,719 297,276 75.6% 393,281 251,685 18.11%
60 Capital Outlay 11,726$ 680,112$ 1,428,146$ 498,045$ 36.56%
Well Rehabilitations - 7,796 4.7% 165,000
Road to Better Roads Program 5,100 600,950 105.6% 569,000
Whispering Meadows Subdivision - 881 0.0%-
US 34 Project (IL Rte 47 to Orchard)- 4,475 20.7% 21,608
Route 71 Watermain Replacement - 8,813 20.9% 42,166
Route 47 Expansion 3,781 37,810 83.3% 45,372
Cation Exhange Media Replacement 998 8,923 4.8% 185,000
Vehicles & Equipment 1,847 10,464 2.6% 400,000
Debt Service 62,515$ 2,361,500$ 2,361,500$ 1,532,844$ 54.06%
2015A Bond - 442,270 100.0% 442,270
2016 Refunding Bond - 1,646,450 100.0% 1,646,450
IEPA Loan L17-156300 62,515 125,030 100.0% 125,030
2014C Refunding Bond - 147,750 100.0% 147,750
Total Expenses 211,263$ 4,484,139$ 77.6% 5,779,725$ 3,390,223$ 32.27%
Surplus(Deficit)435,198$ (519,939)$ (1,079,794)$ 733,790$
^modified accruals basis
*February represents 83% of fiscal year 2020
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENSES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
Charges for Services
89
50
6025
6059
6022
6066
6081
6079
6070
77
85
6034
94
23
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
SEWER FUND (52)
Revenues
^Sewer Maintenance Fees 167,972$ 830,946$ 84.9% 979,200$ 804,924$ 3.23%
^Sewer Infrastructure Fees 65,250 322,013 87.0% 370,000 310,528 3.70%
River Crossing Fees - 600 0.0% - 12,781 -95.31%
^Late Penalties 2,551 14,591 62.6% 23,300 133,178 -89.04%
Sewer Connection Fees 15,500 179,100 91.8% 195,000 378 47280.95%
Total Charges for Services 251,273$ 1,347,250$ 85.9% 1,567,500$ 1,261,789$ 6.77%
BUILD Program -$ -$ 0.0% -$ 18,000$ -100.00%
Investment Earnings 590$ 38,477$ 538.2% 7,149$ 8,574$ 348.77%
Reimbursements/Miscellaneous/Transfers In
Miscellaneous Income & Transfers In 47,919 483,572 84.1% 575,030 715,284 -32.39%
Total Miscellaneous 47,919$ 483,572$ 84.1% 575,030$ 715,284$ -32.39%
Total Revenues and Transfers 299,782$ 1,869,299$ 87.0% 2,149,679$ 2,003,647$ -6.71%
Expenses
Sewer Operations
Salaries 18,516$ 160,125$ 59.2% 270,446$ 174,074$ -8.01%
Overtime 32 280 56.0%500 - 0.00%
52 Benefits 12,995 104,506 63.7% 164,060 88,466 18.13%
54 Contractual Services 15,043 106,980 44.4% 240,935 109,732 -2.51%
56 Supplies 4,210 37,473 59.8% 62,650 47,661 -21.38%
75 Developer Commitment - Lennar(Raintree)- - 0.0% 30,721 - 0.00%
60 Capital Outlay 1,873$ 92,092$ 350,861$ 212,069$ -56.57%
SCADA - - 0.0% 67,000
Road to Better Roads Program - 59,437 43.4% 137,000
Whispering Meadows Subdidvision - 1,505 0.0%-
US 34 Project (IL Rte 47 to Orchard)- 236 2.1% 11,373
Route 71 Sewer Main Replacement - 12,180 19.3%63,000
Vehicles - - 0.0%50,000
Route 47 Expansion 1,873 18,735 83.3% 22,488
Debt Service -$ 1,352,307$ 1,352,307$ 1,880,265$ -28.08%
2003 IRBB Debt Certificates - 164,668 100.0% 164,668
2011 Refunding Bond - 1,134,114 100.0% 1,134,114
IEPA Loan L17-115300 - 53,525 100.0% 53,525
99 Transfers Out 6,156$ 61,563$ 83.3% 73,875$ 64,729$ -4.89%
Total Expenses and Transfers 58,826$ 1,915,325$ 75.2% 2,546,355$ 2,576,996$ -25.68%
Surplus(Deficit)240,956$ (46,026)$ (396,676)$ (573,349)$
^modified accruals basis
*February represents 83% of fiscal year 2020
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENSES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
6070
Charges for Services
50
6001
6059
6066
6025
6034
6079
90
92
96
24
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
PARKS & RECREATION FUND (79)
Revenues
Charges for Services
Special Events 4,795$ 90,912$ 101.0% 90,000$ 89,352$ 1.75%
Child Development 14,633 117,226 80.8% 145,000 122,007 -3.92%
Athletics & Fitness 87,113 349,661 95.8% 365,000 299,045 16.93%
Concession Revenue - 42,396 132.5% 32,000 25,069 69.12%
Total Charges for Services 106,541$ 600,195$ 95.0% 632,000$ 535,473$ 12.09%
Investment Earnings 111$ 1,087$ 72.4%1,500$ 1,252$ -13.21%
Reimbursements/Miscellaneous/Transfers In
Reimbursements 166$ 14,147$ 0.0%-$ 23,137$ -38.86%
Rental Income 1,200 55,550 101.9% 54,500 52,508 5.79%
Park Rentals - 18,279 121.9% 15,000 15,368 18.94%
Hometown Days - 124,278 115.1% 108,000 118,141 5.19%
Sponsorships & Donations 300 17,312 86.6% 20,000 12,391 39.72%
Miscellaneous Income & Transfers In 117,996 1,181,035 83.5% 1,413,988 1,064,722 10.92%
Total Miscellaneous 119,663$ 1,410,600$ 87.5% 1,611,488$ 1,286,267$ 9.67%
Total Revenues and Transfers 226,315$ 2,011,882$ 89.6% 2,244,988$ 1,822,992$ 10.36%
Expenditures
Parks Department 75,127$ 935,532$ 81.3%1,151,262$ 812,189$ 15.19%
Salaries 40,579 503,894 83.4% 603,859 445,680 13.06%
Overtime - 3,667 73.3%5,000 4,169 -12.05%
52 Benefits 19,035 235,032 88.9% 264,235 207,715 13.15%
54 Contractual Services 5,041 54,011 61.7% 87,538 51,860 4.15%
56 Supplies 10,472 138,929 72.9% 190,630 102,765 35.19%
Recreation Department 79,767$ 975,878$ 81.5%1,197,819$ 850,868$ 14.69%
50 Salaries 37,263 387,829 78.3% 495,002 358,988 8.03%
52 Benefits 14,560 149,774 81.4% 183,997 140,557 6.56%
54 Contractual Services 15,850 178,415 81.2% 219,820 140,273 27.19%
56 Hometown Days - 124,197 124.2% 100,000 110,986 11.90%
56 Supplies 12,094 135,663 68.2% 199,000 100,064 35.58%
Total Expenditures 154,893$ 1,911,410$ 81.4% 2,349,081$ 1,663,057$ 14.93%
Surplus(Deficit)71,422$ 100,472$ (104,093)$ 159,935$
*February represents 83% of fiscal year 2020
YORKVILLE PARKS & RECREATION
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
50
25
February YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
LIBRARY OPERATIONS FUND (82)
Revenues
Property Taxes -$ 1,497,431$ 100.3%1,492,248$ 1,457,087$ 2.77%
Intergovernmental
Personal Property Replacement Tax -$ 5,088$ 96.9%5,250$ 3,510$ 44.96%
State Grants - 21,151 105.8%20,000 25,211 -16.10%
Total Intergovernmental -$ 26,239$ 103.9%25,250$ 28,721$ -8.64%
Library Fines 1,146$ 7,097$ 83.5%8,500$ 7,557$ -6.09%
Charges for Services
Library Subscription Cards 901$ 7,175$ 89.7%8,000$ 8,062$ -11.00%
Copy Fees 367 3,230 86.1%3,750 3,436 -6.00%
Program Fees - 64 0.0%- 1 6285.00%
Total Charges for Services 1,268$ 10,468$ 89.1%11,750$ 11,499$ -8.96%
Investment Earnings 1,350$ 15,807$ 158.1%10,000$ 9,957$ 58.75%
Reimbursements/Miscellaneous/Transfers In
Miscellaneous Reimbursements -$ -$ 0.0%-$ -$ 0.00%
Rental Income 125 1,275 63.8%2,000 1,175 8.51%
DVD Rental Income - - 0.0%- 1,133 -100.00%
Miscellaneous Income 28 2,522 126.1%2,000 509 395.35%
Transfer In 2,214 23,396 93.6%25,003 22,396 4.47%
Total Miscellaneous & Transfers 2,367$ 27,192$ 93.8%29,003$ 25,212$ 7.85%
Total Revenues and Transfers 6,131$ 1,584,234$ 100.5%1,576,751$ 1,540,033$ 2.87%
Expenditures
Library Operations 79,637$ 1,450,386$ 89.5%1,620,345$ 1,395,221$ 3.95%
50 Salaries 34,024 369,725 77.9%474,394 357,860 3.32%
52 Benefits 13,906 143,527 81.7%175,658 142,888 0.45%
54 Contractual Services 29,060 124,302 83.4%149,080 84,360 47.35%
56 Supplies 2,647 15,819 65.4%24,200 18,013 -12.18%
99 Debt Service - 797,013 100.0%797,013 792,100 0.62%
Total Expenditures and Transfers 79,637$ 1,450,386$ 89.5% 1,620,345$ 1,395,221$ 3.95%
Surplus(Deficit)(73,505)$ 133,848$ (43,594)$ 144,812$
*February represents 83% of fiscal year 2020
YORKVILLE PUBLIC LIBRARY
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended February 29, 2020 *
Fiscal Year 2019
For the Month Ended February 28, 2019
26
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 1TIME: 12:15:25 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-110-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190525MB 05/14/2019 05 ICSC - PUBLIC INSTITUTION DUE FIRST NATIONAL BANK 900073 052519-B.OLSON-B 100.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 100.00 0.0002 AP-190611B 06/05/2019 15 05/07 EDC MEETING MINUTES MARLYS J. YOUNG 530075 050719 79.50 AP-190625B 06/19/2019 21 05/15/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 530419 051519 65.50 06/19/2019 22 05/21/19 PW MEETING MINUTES MARLYS J. YOUNG 530419 052119 55.75 _________________________________ TOTAL PERIOD 02 ACTIVITY 200.75 0.0003 AP-190709 07/01/2019 09 06/04/19 EDC MEETING MINUTES MARLYS J. YOUNG 530533 060419 60.00 AP-190723 07/17/2019 25 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 530590 053119 113.00 07/17/2019 26 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 395.50 07/17/2019 27 06/18/19 PW MEETING MINUTES MARLYS J. YOUNG 530662 061819 59.25 07/17/2019 28 07/19/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 530662 061919 57.50 _________________________________ TOTAL PERIOD 03 ACTIVITY 685.25 0.0004 AP-190813 08/06/2019 33 SOLICITOR BACKGROUND CHECKS ILLINOIS STATE POLIC 530728 063019 395.50 08/06/2019 34 06/13/19 UDO ADVISORY MEETING MARLYS J. YOUNG 530815 061319 62.00 08/06/2019 35 07/02/19 EDC MEETING MINUTES MARLYS J. YOUNG 530815 070219 45.75 08/06/2019 36 07/03/19 PUBLIC SAFETY MEETING MARLYS J. YOUNG 530815 070319 50.00 08/06/2019 37 07/16/19 PW MEETING MINUTES MARLYS J. YOUNG 530815 071619 48.00 AP-190827 08/20/2019 20 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 530853 073119 113.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 714.25 0.0005 AP-190910 09/04/2019 18 BACKGROUND CHECK ILLINOIS STATE POLIC 530946 073119 28.25 09/04/2019 19 08/06/19 EDC MEETING MINUTES MARLYS J. YOUNG 531008 080619 115.00 AP-190924 09/17/2019 16 08/20/19 JOINT KENDALL MARLYS J. YOUNG 531094 082019 60.00 09/17/2019 17 08/21/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531094 082119 58.00 09/17/2019 18 09/03/19 EDC MEETING MINUTES MARLYS J. YOUNG 531094 090319 65.75 _________________________________ TOTAL PERIOD 05 ACTIVITY 327.00 0.0006 AP-191008 09/30/2019 16 ANNUAL COBRA FEE FLEX BENEFIT SERVICE 531130 082819 100.00 09/30/2019 17 JAN - AUG 2019 COBRA FLEX BENEFIT SERVICE 531130 082819 297.00 09/30/2019 18 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531146 083119 56.50 AP-191022 10/15/2019 31 COBRA SERVICES FLEX BENEFIT SERVICE 531246 093019 22.00 10/15/2019 32 SAFETY DEPOSIT BOX RENTAL OLD SECOND BANK - YO 531326 2049-092319 82.50 10/15/2019 33 09/18/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531327 09/18/19 55.75 AP-191025M 10/15/2019 07 CNA SURETY-NOTARY -OSLON FIRST NATIONAL BANK 900080 102519-B.OLSEM 60.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 673.75 0.0007 AP-191112 11/04/2019 38 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531384 093019 56.50 11/04/2019 39 SOL & MOBILE BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 226.00 11/04/2019 40 10/1/19 EDC MEETING MINUTES MARLYS J. YOUNG 531475 100119 48.75 11/04/2019 41 10/15/19 PW MEETING MINUTES MARLYS J. YOUNG 531475 101519 38.75 11/04/2019 42 09/11/19 PUBLIC SAFETY MEETING MARLYS J. YOUNG 531475 1091119 25.00 AP-191125M 11/14/2019 11 CNA SURETY-OVERCHARGE CREDIT FIRST NATIONAL BANK 900081 112519-B.OLSEM 30.00 AP-191126 11/19/2019 24 OCT 2019 COBRA FLEX BENEFIT SERVICE 531498 121797 50.00 11/19/2019 25 10/16/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531543 101619 60.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 505.00 30.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 2TIME: 12:15:25 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-110-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191210 12/03/2019 17 LIQUOR BACKGROUND CHECK ILLINOIS STATE POLIC 531580 103119 56.50 12/03/2019 18 SOLICITOR BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 141.25 12/03/2019 19 CITY SURVEY TO NON-UB SEBIS DIRECT 531619 28789 625.00 12/03/2019 20 11/05 EDC MEETING MINUTES MARLYS J. YOUNG 531830 110519 57.00 12/03/2019 21 11/07 PUBLIC SAFETY MEETING MARLYS J. YOUNG 531830 110719 64.25 AP-191220M 12/16/2019 17 NOV 2019 COBRA FLEX BENEFIT SERVICE 531865 122047 50.00 12/16/2019 18 PUBLIC HEARING FOR TAX LEVY & CHRISTINE M. VITOSH 531920 CMV 1970 182.02 12/16/2019 19 11/14/19 UDO MEETING MINUTES MARLYS J. YOUNG 531930 111419-UDO 30.00 12/16/2019 20 11/19/19 PW MEETING MINUTES MARLYS J. YOUNG 531930 111919 38.25 12/16/2019 21 11/20/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531930 112019 55.50 _________________________________ TOTAL PERIOD 08 ACTIVITY 1,299.77 0.0009 AP-200114 01/07/2020 17 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531976 113019 84.75 01/07/2020 18 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 28.25 01/07/2020 19 12/03/19 EDC MEETING MINUTES MARLYS J. YOUNG 532019 120319 53.75 AP-200128 01/22/2020 23 DEC 2019 COBRA PART FLEX BENEFIT SERVICE 532057 122362 50.00 01/22/2020 24 2020 PUBLIC OFFICIAL BOND MESIROW INSURANCE SE 532082 1269685 500.00 01/22/2020 25 01/02/20 PUBLIC SAFETY MEETING MARLYS J. YOUNG 532133 010220 53.20 01/22/2020 26 01/07/20 EDC MEETING MINUTES MARLYS J. YOUNG 532133 010720 60.76 _________________________________ TOTAL PERIOD 09 ACTIVITY 830.71 0.0010 AP-200225 02/19/2020 24 JAN 2020 COBRA FLEX BENEFIT SERVICE 532269 122852 50.00 02/19/2020 25 SOLICITOR BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 141.25 02/19/2020 26 01/21/20 PW MEETING MINUTES MARLYS J. YOUNG 532328 012120 40.75 _________________________________ TOTAL PERIOD 10 ACTIVITY 232.00 0.00 YTD BUDGET 10,000.00 TOTAL ACCOUNT ACTIVITY 5,568.48 30.00 ANNUAL REVISED BUDGET 12,000.00 ENDING BALANCE 5,538.48_____________________________________________________________________________________________________________________________________________________01-120-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 GJ-190530FE 06/03/2019 02 Analysis Charge Partial Refund 25.05 GJ-190531FE 05/21/2019 01 UB CC Fees - Apr 2019 523.95 05/21/2019 07 UB Paymentus Fees - Apr 2019 1,197.25 _________________________________ TOTAL PERIOD 01 ACTIVITY 1,721.20 25.0502 AP-190625B 06/19/2019 37 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 174.64 GJ-190630FE 06/24/2019 01 UB CC Fees - May 2019 676.28 06/24/2019 07 UB Paymentus Fees - May 2019 837.85 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,688.77 0.0003 GJ-190731FE 08/02/2019 01 UB CC Fees - June 2019 591.10 08/02/2019 07 UB Paymentus Fees - June 2019 1,292.70 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,883.80 0.0004 AP-190813 08/06/2019 56 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 78.76 08/06/2019 57 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 174.23 GJ-190831FE 08/29/2019 01 UB CC Fees - July 2019 1,123.03 08/29/2019 07 UB Paymentus Fees - July 2019 759.94
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 3TIME: 12:15:26 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-120-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________04 GJ-190831FE 08/29/2019 13 FNBO Analysis Charge-July 2019 373.15 GJ-191014FE 10/14/2019 02 CR UB CC Fees - Jul 2019 3.12 _________________________________ TOTAL PERIOD 04 ACTIVITY 2,509.11 3.1205 AP-190910 09/04/2019 30 PREPARATION OF GASB#75 MWM CONSULTING GROUP 530974 270864 4,000.00 GJ-190930FE 09/25/2019 01 UB CC Fees - Aug 2019 789.85 09/25/2019 07 UB Paymentus Fees - Aug 2019 1,305.10 09/25/2019 13 FNBO Analysis Charge-Aug 2019 268.19 _________________________________ TOTAL PERIOD 05 ACTIVITY 6,363.14 0.0006 AP-191008 09/30/2019 33 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 79.27 AP-191022 10/15/2019 50 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 179.68 10/15/2019 51 PREPARATION OF THE ACTUARIAL MWM CONSULTING GROUP 531279 271015 6,200.00 GJ-191029FE 11/07/2019 02 UB CC Fees - Sept 2019 3.20 GJ-191029RV 11/07/2019 01 REVERSE GJ-191029FE 3.20 GJ-191030FE 11/07/2019 01 UB CC Fees - Sept 2019 3.20 GJ-191031FE 10/18/2019 01 UB CC Fees-Sept 2019 213.31 10/18/2019 07 UB Paymentus Fees-Sept 2019 802.69 10/18/2019 13 FNBO Analysis Charge-Sept 2019 233.12 _________________________________ TOTAL PERIOD 06 ACTIVITY 7,711.27 6.4007 AP-191126 11/19/2019 48 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 81.42 11/19/2019 49 PUBLIC OFFICIAL BOND-FINANCE MESIROW INSURANCE SE 531512 1215575 500.00 GJ-191130FE 11/26/2019 01 UB CC Fees - Oct 2019 368.32 11/26/2019 07 UB Paymentus Fees - Oct 2019 1,339.75 11/26/2019 13 FNBO Analysis Chrg - Oct 2019 286.17 _________________________________ TOTAL PERIOD 07 ACTIVITY 2,575.66 0.0008 AP-191220M 12/16/2019 46 SERVER MIGRATION - REINSTALL HARRIS COMPUTER SYST 531866 XT00006947 1,100.00 12/16/2019 47 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 186.62 AP-191224M 12/12/2019 14 GFOA-FY19 CAFR AWARD FEE FIRST NATIONAL BANK 900082 122419-R/FREDRICKSON 530.00 GJ-191231FE 12/30/2019 01 UB CC Fees - Nov 2019 290.05 12/30/2019 07 UB Paymentus Fees - Nov 2019 849.99 12/30/2019 13 FNBO Analysis Charge-Nov 2019 251.13 _________________________________ TOTAL PERIOD 08 ACTIVITY 3,207.79 0.0009 AP-200114 01/07/2020 28 MSI ANNUAL MAINTENANCE HARRIS COMPUTER SYST 531972 MN00004047 18,170.01 AP-200128 01/22/2020 53 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 82.49 GJ-200131FE 01/29/2020 01 UB CC Fees - Dec 2019 285.32 01/29/2020 07 UB Paymentus Fees - Dec 2019 1,207.20 01/29/2020 13 FNBO Analysis Charge-Dec 2019 292.72 GJ-200210CR 02/10/2020 02 CR GJ-200131FE 0.02 _________________________________ TOTAL PERIOD 09 ACTIVITY 20,037.74 0.0210 AP-200225 02/19/2020 49 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 187.90 GJ-200229FE 02/26/2020 01 UB CC Fees - Jan 2020 179.23 02/26/2020 07 UB Paymentus Fees - Jan 2020 1,144.80 02/26/2020 13 Analysis Charge - Jan 2020 291.95 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,803.88 0.00 YTD BUDGET 50,000.00 TOTAL ACCOUNT ACTIVITY 49,502.36 34.59 ANNUAL REVISED BUDGET 60,000.00 ENDING BALANCE 49,467.77
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 4TIME: 12:15:27 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-210-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190514B 05/07/2019 24 LAW ENFORCEMENT MANUAL UPDATE LEXIPOL LLC 529815 28427 11,967.00 AP-190525MB 05/14/2019 10 ELINEUP-SOFTWARE MAINTENANCE FIRST NATIONAL BANK 900073 052519-N.DECKER-B 600.00 GJ-90520PRE 05/21/2019 26 ID Ntwrk-Live Scan Renewal 1,995.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 14,562.00 0.0003 AP-190723 07/17/2019 60 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 28.25 AP-190725M 07/22/2019 19 SHRED-IT-MAY ON SITE SHREDDING FIRST NATIONAL BANK 900077 072519-N.DECKER 176.73 07/22/2019 20 ACCURINT-MAY 2019 SEARCHES FIRST NATIONAL BANK 900077 072519-N.DECKER 147.25 07/22/2019 21 IL CHIEFS ASSOCIATION-JOB FIRST NATIONAL BANK 900077 072519-R.WRIGHT 50.00 07/22/2019 22 THE BLUE LINE-JOB POSTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 250.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 652.23 0.0004 AP-190825M 08/15/2019 30 SHRED-IT-JUNE 6 ON-SITE FIRST NATIONAL BANK 900078 082519-N.DECKER 177.50 08/15/2019 31 ACCURRINT-JUNE 2019 SEARCHES FIRST NATIONAL BANK 900078 082519-N.DECKER 198.50 _________________________________ TOTAL PERIOD 04 ACTIVITY 376.00 0.0005 AP-190925M 09/16/2019 30 SHRED IT-7/8/19 ON SITE FIRST NATIONAL BANK 900079 092519-N.DECKER 176.73 09/16/2019 31 ACCURINT-JULY 2019 SEARCHES FIRST NATIONAL BANK 900079 092519-N.DECKER 150.00 09/16/2019 32 SHRED-IT-08/01/19 ON SITE FIRST NATIONAL BANK 900079 092519-N.DECKER 175.96 09/16/2019 33 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900079 092519-R.WRIGHT 172.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 674.69 0.0006 AP-191008 09/30/2019 44 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 56.00 09/30/2019 45 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 28.25 AP-191022 10/15/2019 56 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531246 093019 28.00 AP-191025M 10/15/2019 34 IACP-ANNUAL FIRST NATIONAL BANK 900080 102519-B.PFIZENMAIER 190.00 10/15/2019 35 SHRED IT-AUG 2019 ON SITE FIRST NATIONAL BANK 900080 102519-N.DECKER 175.96 10/15/2019 36 ACCURINT-AUG 2019 SEARCHES FIRST NATIONAL BANK 900080 102519-N.DECKER 181.50 _________________________________ TOTAL PERIOD 06 ACTIVITY 659.71 0.0007 AP-191125M 11/14/2019 34 SHREDIT-SEPT 2019 SHREDDING FIRST NATIONAL BANK 900081 112519-N.DECKER 175.96 11/14/2019 35 ACCURINT-SEPT 2019 SEARCHES FIRST NATIONAL BANK 900081 112519-N.DECKER 150.00 11/14/2019 36 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 368.96 0.0008 AP-191224M 12/12/2019 27 SHREDIT-OCT 2019 ONSITE FIRST NATIONAL BANK 900082 122419-N.DECKER 175.19 12/12/2019 28 ACCURTINT-OCT 2019 SEARCHES FIRST NATIONAL BANK 900082 122419-N.DECKER 321.50 _________________________________ TOTAL PERIOD 08 ACTIVITY 496.69 0.0009 AP-200125M 01/17/2020 30 SHRED IT-NOV 2019 ON SITE FIRST NATIONAL BANK 900083 012520-N.DECKER 476.63 01/17/2020 31 ACCURINT-NOV 2019 SEARCHES FIRST NATIONAL BANK 900083 012520-N.DECKER 186.50 GJ-200212RC 02/12/2020 01 RC Critcal Reach Inv#20-622 400.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,063.13 0.0010 GJ-200221 02/21/2020 01 Yearly Bassett License Fee 300.00 AP-20025M 02/12/2020 33 SHRED IT-JAN 2020 ON SITE FIRST NATIONAL BANK 900084 022520-N.DECKER 188.27 02/12/2020 34 ACCURINT-DEC 2019 SEARCHES FIRST NATIONAL BANK 900084 022520-N.DECKER 150.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 638.27 0.00 YTD BUDGET 25,000.00 TOTAL ACCOUNT ACTIVITY 19,491.68 0.00 ANNUAL REVISED BUDGET 30,000.00 ENDING BALANCE 19,491.68
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 5TIME: 12:15:28 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-220-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 70 REMAINING BALANCE DUE FOR FARR ASSOCIATES 530342 2017021-11 16.21 06/19/2019 71 05/08/19 P&Z MEETING MINUTES MARLYS J. YOUNG 530419 050819 4.67 GJ-90816RC2 08/19/2019 01 RC Adobe Inv#062519-J.Engberg 52.99 _________________________________ TOTAL PERIOD 02 ACTIVITY 73.87 0.0003 AP-190709 07/01/2019 41 MAY 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 530463 4204 240.00 AP-190723 07/17/2019 77 UDO SMART CODE LICENSE FEE & ENCODE PLUS, LLC 530571 1530 7,750.00 AP-190725M 07/22/2019 51 IWORDQ-SOFTWARE MANAGEMENT FIRST NATIONAL BANK 900077 072519-K.BARKSDALE 4,750.00 GJ-90816RC3 08/19/2019 01 RC Adobe Inv#072519-J.Engberg 52.99 _________________________________ TOTAL PERIOD 03 ACTIVITY 12,792.99 0.0004 AP-190825M 08/15/2019 66 ADOBE-MONTHLY CREATIVE CLOUD FIRST NATIONAL BANK 900078 082519-J.ENGBERG 52.99 AP-190827 08/20/2019 73 TEXT AMENDMENT FOR ACCESSORY CHRISTINE M. VITOSH 530893 1958 79.78 08/20/2019 74 TEXT AMENDMENT FOR ACCESSORY MARLYS J. YOUNG 530896 071019 17.06 08/20/2019 75 PLANNING & ZONING COMMISSION MARLYS J. YOUNG 530896 071019 17.06 _________________________________ TOTAL PERIOD 04 ACTIVITY 166.89 0.0005 AP-190924 09/17/2019 62 BUILDING CODE UPDDATE MARLYS J. YOUNG 531094 081419 17.78 09/17/2019 63 08/14/19 P&Z MEETING MINUTES MARLYS J. YOUNG 531094 081419 5.93 GJ-20203RC2 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 05 ACTIVITY 76.70 0.0006 AP-191008 09/30/2019 57 ADVANCED 180 ENCODE PLUS ENCODE PLUS, LLC 531128 1604 12,375.00 09/30/2019 58 AUG 2019 PROFESSIONAL HOUSEAL LAVIGNE ASSO 531145 4310 2,187.50 09/30/2019 59 BUILDING CODE UPDATE PUBLIC CHRISTINE M. VITOSH 531199 1960 125.39 AP-191022 10/15/2019 63 09/11/19 PLANNING & ZONING MARLYS J. YOUNG 531327 091119 14.34 AP-191025M 10/15/2019 70 SHAW MEDIA-DOWNTOWN HILL FIRST NATIONAL BANK 900080 102519-L.PICKERING 117.18 GJ-20203RC3 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 06 ACTIVITY 14,872.40 0.0007 AP-191112 11/04/2019 100 SEPT 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 531382 4313 240.15 11/04/2019 101 10/09/19 P&Z MEETING MINUTES MARLYS J. YOUNG 531475 100919 3.12 11/04/2019 102 10/09/19 P&Z MEETING-TEXT MARLYS J. YOUNG 531475 100919 6.25 GJ-20203RC4 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 07 ACTIVITY 302.51 0.0008 AP-191210 12/03/2019 48 OCT 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 531578 4376 2,721.40 AP-191220M 12/16/2019 75 TEXT AMENDMENT FOR ADULT-USE CHRISTINE M. VITOSH 531920 1971 285.16 GJ-20203RC5 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 08 ACTIVITY 3,059.55 0.0009 AP-200128 01/22/2020 83 NOV 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 532065 4405 1,036.55 01/22/2020 84 DEC 2019 CAR WASHES PARADISE CAR WASH 532096 224046 12.00 GJ-20203RC6 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,101.54 0.0010 AP-200211 02/04/2020 48 DEC 2019 PROFESSIONAL HOUSEAL LAVIGNE ASSO 532171 4419 648.75
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 6TIME: 12:15:28 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-220-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________10 AP-200225 02/19/2020 62 TEXT AMENDMENT TO ZONING CHRISTINE M. VITOSH 532320 1973 69.20 02/19/2020 63 TEXT AMENDMENT TO ZONING MARLYS J. YOUNG 532328 010820 16.75 AP-20025M 02/12/2020 61 ADOBE CREATIVE CLOUD MONTHLY FIRST NATIONAL BANK 900084 022520-J.ENGBERG 52.99 _________________________________ TOTAL PERIOD 10 ACTIVITY 787.69 0.00 YTD BUDGET 52,083.34 TOTAL ACCOUNT ACTIVITY 33,234.14 0.00 ANNUAL REVISED BUDGET 62,500.00 ENDING BALANCE 33,234.14_____________________________________________________________________________________________________________________________________________________01-410-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 78 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 1.37 _________________________________ TOTAL PERIOD 02 ACTIVITY 1.37 0.0003 AP-190723 07/17/2019 85 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 56.50 07/17/2019 86 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 0.99 AP-190725M 07/22/2019 58 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 100.49 0.0004 AP-190813 08/06/2019 94 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 1.12 AP-190825M 08/15/2019 71 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 136.00 AP-190827 08/20/2019 85 3 BLADES SHARPENED BOB'S SHARPENING & R 530828 081219 24.00 08/20/2019 86 STORM SEWER TELEVISING & INNOVATIVE UNDERGROU 530857 1321 250.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 411.12 0.0005 AP-190910 09/04/2019 67 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 1.47 09/04/2019 68 DUMPING FEES FOR REMOVING PLANO CLEAN FILL 530983 686 405.00 AP-190924 09/17/2019 69 AUG 2019 DUMPING PLANO CLEAN FILL 531065 687 90.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 496.47 0.0006 AP-191008 09/30/2019 71 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 28.00 09/30/2019 72 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 2.00 09/30/2019 73 GUARDRAIL REPAIR @ FOX & NORTHERN CONTRACTING 531171 8089 1,941.14 _________________________________ TOTAL PERIOD 06 ACTIVITY 1,971.14 0.0007 AP-191112 11/04/2019 117 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 2.61 AP-191125M 11/14/2019 64 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 366.85 11/14/2019 65 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 366.85 _________________________________ TOTAL PERIOD 07 ACTIVITY 736.31 0.0008 AP-191210 12/03/2019 59 SCALE-WEIGHT GROUND EFFECTS INC. 531575 424140-000 80.00 AP-191220M 12/16/2019 83 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 2.43 12/16/2019 84 2020 IGLOO ANNUAL MAINTENANCE KENDALL COUNTY HIGHW 531879 112219-IGLOO 250.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 332.43 0.0009 AP-200125M 01/17/2020 55 GROUND FIRST NATIONAL BANK 900083 012520-K.GREGORY 84.00 AP-200128 01/22/2020 90 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 1.74 _________________________________ TOTAL PERIOD 09 ACTIVITY 85.74 0.0010 AP-200211 02/04/2020 63 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 2.15
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 7TIME: 12:15:29 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-410-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________10 AP-20025M 02/12/2020 68 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 69 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 70 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 71 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900084 022520-R.WRIGHT 58.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,160.70 0.00 YTD BUDGET 5,687.50 TOTAL ACCOUNT ACTIVITY 5,295.77 0.00 ANNUAL REVISED BUDGET 6,825.00 ENDING BALANCE 5,295.77_____________________________________________________________________________________________________________________________________________________01-640-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190528B 05/21/2019 61 2018 DRAINAGE DISTRICT FEES KENDALL COUNTY COLLE 529899 2018DDF 522.92 _________________________________ TOTAL PERIOD 01 ACTIVITY 522.92 0.0002 AP-190611B 06/05/2019 73 05/01/19 SHARED SERVICES FOR VILLAGE OF OSWEGO 530051 485-B 3,500.00 _________________________________ TOTAL PERIOD 02 ACTIVITY 3,500.00 0.0006 AP-191022 10/15/2019 103 SHARED SERVICES LOBBYING VILLAGE OF OSWEGO 531286 605 14,630.83 _________________________________ TOTAL PERIOD 06 ACTIVITY 14,630.83 0.0008 AP-191220M 12/16/2019 124 AUG-NOV 2019 METRA LOBBYIST VILLAGE OF OSWEGO 531898 646 14,000.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 14,000.00 0.00 YTD BUDGET 32,225.00 TOTAL ACCOUNT ACTIVITY 32,653.75 0.00 ANNUAL REVISED BUDGET 38,670.00 ENDING BALANCE 32,653.75_____________________________________________________________________________________________________________________________________________________11-111-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0003 AP-190709 07/01/2019 82 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-05 248.07 07/01/2019 83 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-06 248.06 _________________________________ TOTAL PERIOD 03 ACTIVITY 496.13 0.0004 AP-190813 08/06/2019 169 FOX HILL SUBDIVISION RESIDENT AURORA FASTPRINT, IN 530680 22994 297.69 _________________________________ TOTAL PERIOD 04 ACTIVITY 297.69 0.0009 AP-200114 01/07/2020 122 JULY 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-07 248.07 01/07/2020 123 AUG 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-08 248.06 01/07/2020 124 SEPT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-09 248.07 01/07/2020 125 OCT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-10 248.07 01/07/2020 126 NOV 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-11 248.06 01/07/2020 127 DEC 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-12 248.06 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,488.39 0.00 YTD BUDGET 2,480.84 TOTAL ACCOUNT ACTIVITY 2,282.21 0.00 ANNUAL REVISED BUDGET 2,977.00 ENDING BALANCE 2,282.21_____________________________________________________________________________________________________________________________________________________12-112-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0003 AP-190709 07/01/2019 85 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-05 248.06 07/01/2019 86 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-06 248.07 _________________________________ TOTAL PERIOD 03 ACTIVITY 496.13 0.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 8TIME: 12:15:31 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________12-112-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________04 AP-190813 08/06/2019 172 SUNFLOWER SUBDIVISION AURORA FASTPRINT, IN 530680 22995 204.19 _________________________________ TOTAL PERIOD 04 ACTIVITY 204.19 0.0009 AP-200114 01/07/2020 129 JULY 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-07 248.06 01/07/2020 130 AUG 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-08 248.07 01/07/2020 131 SEPT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-09 248.06 01/07/2020 132 OCT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-10 248.06 01/07/2020 133 NOV 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-11 248.07 01/07/2020 134 DEC 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-12 248.07 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,488.39 0.00 YTD BUDGET 2,480.84 TOTAL ACCOUNT ACTIVITY 2,188.71 0.00 ANNUAL REVISED BUDGET 2,977.00 ENDING BALANCE 2,188.71_____________________________________________________________________________________________________________________________________________________23-230-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 4,166.68 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 5,000.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________25-205-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________25-225-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190528B 05/21/2019 77 ANNUAL SOFTWARE SUPPORT SENSUS USA, INC 529935 ZA19006900 1,949.94 GJ-190530FE 06/03/2019 04 Analysis Charge Partial Refund 33.57 GJ-190531FE 05/21/2019 03 UB CC Fees - Apr 2019 701.97 05/21/2019 09 UB Paymentus Fees - Apr 2019 1,604.02 GJ-90930RC3 09/30/2019 01 RC Itron Inv#517001 600.37 _________________________________ TOTAL PERIOD 01 ACTIVITY 4,856.30 33.5702 AP-190611B 06/05/2019 94 MAY 2019 WATER SYSTEM INTERIM BAXTER & WOODMAN 530016 0206281-B 3,394.80 06/05/2019 95 JUNE 2019 HOSTING SERVICES ITRON 530039 519904 600.37 AP-190625B 06/19/2019 125 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 263.55 GJ-190630FE 06/24/2019 03 UB CC Fees - May 2019 906.05 06/24/2019 09 UB Paymentus Fees - May 2019 1,122.52 _________________________________ TOTAL PERIOD 02 ACTIVITY 6,287.29 0.0003 AP-190709 07/01/2019 106 JULY 2019 HOSTING SERVICES ITRON 530467 523190 600.37 AP-190723 07/17/2019 200 JUNE 2019 WATER SYSTEM BAXTER & WOODMAN 530125 0206905 8,486.00 AP-190725M 07/22/2019 85 APWA-JOB POSTING FIRST NATIONAL BANK 900077 072519-E.DHUSE 400.00 GJ-190731FE 08/02/2019 03 UB CC Fees - June 2019 791.94
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 9TIME: 12:15:39 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 GJ-190731FE 08/02/2019 09 UB Paymentus Fees - June 2019 1,731.91 _________________________________ TOTAL PERIOD 03 ACTIVITY 12,010.22 0.0004 AP-190813 08/06/2019 224 06/17-07/11 WATER SYSTEM BAXTER & WOODMAN 530682 0207517 5,942.25 08/06/2019 225 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 118.86 08/06/2019 226 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 262.94 08/06/2019 227 AUG 2019 HOSTING SERVICES ITRON 530734 526199 600.37 GJ-190831FE 08/29/2019 03 UB CC Fees - July 2019 1,504.58 08/29/2019 09 UB Paymentus Fees - July 2019 1,018.13 08/29/2019 15 FNBO Analysis Charge-July 2019 499.94 GJ-191014FE 10/14/2019 04 CR UB CC Fees - Jul 2019 4.18 _________________________________ TOTAL PERIOD 04 ACTIVITY 9,947.07 4.1805 AP-190910 09/04/2019 171 JULY 2019 WATER SYSTEMS BAXTER & WOODMAN 530903 0208010 5,612.30 09/04/2019 172 SEPT 2019 HOSTING FEES ITRON 530952 529179 600.37 AP-190925M 09/16/2019 108 AWWA-JOB POSTING FIRST NATIONAL BANK 900079 092519-A.SIMMONS 449.00 GJ-190930FE 09/25/2019 03 UB CC Fees - Aug 2019 1,058.21 09/25/2019 09 UB Paymentus Fees - Aug 2019 1,748.51 09/25/2019 15 FNBO Analysis Charge-Aug 2019 359.30 GJ-200205RC 02/05/2020 02 RC AWWA Job Post-092519-A.Smmn 449.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 9,827.69 449.0006 AP-191008 09/30/2019 173 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 531125 67502 1,221.00 09/30/2019 174 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 119.63 09/30/2019 175 OCT 2019 HOSTING SERVICES ITRON 531151 532209 600.37 AP-191022 10/15/2019 138 SEPT 2019 WATER SYSTEM BAXTER & WOODMAN 531217 0208717 5,046.50 10/15/2019 139 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 271.16 10/15/2019 140 SEPT 2019 DUMPING PLANO CLEAN FILL 531291 698 45.00 GJ-191029FE 11/07/2019 04 UB CC Fees - Sept 2019 4.30 GJ-191029RV 11/07/2019 03 REVERSE GJ-191029FE 4.30 GJ-191030FE 11/07/2019 03 UB CC Fees - Sept 2019 4.30 GJ-191031FE 10/18/2019 03 UB CC Fees-Sept 2019 285.77 10/18/2019 09 UB Paymentus Fees-Sept 2019 1,075.41 10/18/2019 15 FNBO Analysis Charge-Sept 2019 312.33 _________________________________ TOTAL PERIOD 06 ACTIVITY 8,981.47 8.6007 AP-112519R 11/25/2019 01 JUNE 2019 WATER SYSTEM BAXTER & WOODMAN 530125 0206905 8,486.00 AP-112519VD 11/25/2019 01 JUNE 2019 WATER SY:VOID 530543 BAXTER & WOODMAN 530125 0206905 8,486.00 AP-191112 11/04/2019 221 TROUBLESHOOT RADIO ADVANCED AUTOMATION 531329 19-3212 670.00 11/04/2019 222 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 11/04/2019 223 NOV 2019 HOSTING SERVICES ITRON 531394 535269 600.38 11/04/2019 224 BENCH TESTED WATER METER WATER SERVICES CO. 531465 29859 25.00 AP-191125M 11/14/2019 102 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 430.65 11/14/2019 103 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 430.65 11/14/2019 104 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 79.50 AP-191126 11/19/2019 138 12/17/18 & 12/26/18 BAXTER & WOODMAN 531481 0204128-B 72.50 11/19/2019 139 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 122.86 11/19/2019 140 REIMBURSEMENT FOR CDL LICENSE GEORGE JOHNSON 1436 CDL REIMB 51.13
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 10TIME: 12:15:39 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________07 GJ-191130FE 11/26/2019 03 UB CC Fees - Oct 2019 493.45 11/26/2019 09 UB Paymentus Fees - Oct 2019 1,794.95 11/26/2019 15 FNBO Analysis Chrg - Oct 2019 383.39 _________________________________ TOTAL PERIOD 07 ACTIVITY 13,668.71 8,486.0008 AP-191210 12/03/2019 126 BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 141.25 12/03/2019 127 DEC 2019 HOSTING SERVICES ITRON 531586 537984 624.39 AP-191220M 12/16/2019 189 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 281.63 AP-191224M 12/12/2019 96 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900082 122419-R.WRIGHT 43.00 GJ-191231FE 12/30/2019 03 UB CC Fees - Nov 2019 388.58 12/30/2019 09 UB Paymentus Fees - Nov 2019 1,138.79 12/30/2019 15 FNBO Analysis Charge-Nov 2019 336.45 _________________________________ TOTAL PERIOD 08 ACTIVITY 2,954.09 0.0009 AP-200114 01/07/2020 158 JAN 2020 HOSTING SERVICES ITRON 531982 541237 624.39 AP-200128 01/22/2020 204 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 532051 68154 712.00 01/22/2020 205 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 124.49 01/22/2020 206 BENCH TESTED WATER METERS WATER SERVICES CO. 532125 29926 50.00 01/22/2020 207 BENCH TESTED WATER METER WATER SERVICES CO. 532125 30169 25.00 GJ-200131FE 01/29/2020 03 UB CC Fees - Dec 2019 382.24 01/29/2020 09 UB Paymentus Fees - Dec 2019 1,617.35 01/29/2020 15 FNBO Analysis Charge-Dec 2019 392.16 _________________________________ TOTAL PERIOD 09 ACTIVITY 3,927.63 0.0010 AP-200211 02/04/2020 162 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 532159 68313 98.50 02/04/2020 163 FEB 2020 HOSTING SERVICES ITRON 532176 543971 624.39 AP-200225 02/19/2020 127 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 283.58 02/19/2020 128 APPLICANT BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 113.00 02/19/2020 129 2 BENCH TESTED WATER METERS WATER SERVICES CO. 532322 30441 50.00 GJ-200229FE 02/26/2020 03 UB CC Fees - Jan 2020 240.14 02/26/2020 09 UB Paymentus Fees - Jan 2020 1,533.75 02/26/2020 15 Analysis Charge - Jan 2020 391.14 AP-20025M 02/12/2020 114 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 115 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 116 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 117 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 93.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 4,719.45 0.00 YTD BUDGET 54,166.68 TOTAL ACCOUNT ACTIVITY 77,179.92 8,981.35 ANNUAL REVISED BUDGET 65,000.00 ENDING BALANCE 68,198.57_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 GJ-190530FE 06/03/2019 06 Analysis Charge Partial Refund 15.66 GJ-190531FE 05/21/2019 05 UB CC Fees - Apr 2019 327.45 05/21/2019 11 UB Paymentus Fees - Apr 2019 748.23 _________________________________ TOTAL PERIOD 01 ACTIVITY 1,075.68 15.6602 AP-190625B 06/19/2019 150 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 76.06
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 11TIME: 12:15:43 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________02 AP-190625B 06/19/2019 151 JUL - SEPT 2019 ALARM WIRE WIZARD OF ILLIN 530416 31967 138.00 GJ-190630FE 06/24/2019 05 UB CC Fees - May 2019 422.65 06/24/2019 11 UB Paymentus Fees - May 2019 523.63 GJ-90816RC2 08/19/2019 10 RC Wire Whiz Inv#31967 138.00 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,160.34 138.0003 GJ-190731FE 08/02/2019 05 UB CC Fees - June 2019 369.42 08/02/2019 11 UB Paymentus Fees - June 2019 807.89 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,177.31 0.0004 AP-190813 08/06/2019 275 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 34.30 08/06/2019 276 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 75.88 GJ-190831FE 08/29/2019 05 UB CC Fees - July 2019 701.85 08/29/2019 11 UB Paymentus Fees - July 2019 474.93 08/29/2019 17 FNBO Analysis Charge-July 2019 233.21 GJ-191014FE 10/14/2019 06 CR UB CC Fees - Jul 2019 1.95 _________________________________ TOTAL PERIOD 04 ACTIVITY 1,520.17 1.9505 AP-190910 09/04/2019 207 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 1.46 AP-190925M 09/16/2019 121 CORRO-TECH-RELACE SENSOR FIRST NATIONAL BANK 900079 092519-T.SOELKE 186.42 GJ-190930FE 09/25/2019 05 UB CC Fees - Aug 2019 493.63 09/25/2019 11 UB Paymentus Fees - Aug 2019 815.64 09/25/2019 17 FNBO Analysis Charge-Aug 2019 167.61 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,664.76 0.0006 AP-191008 09/30/2019 218 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 34.52 AP-191022 10/15/2019 179 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 78.25 AP-191025M 10/15/2019 109 APWA- FIRST NATIONAL BANK 900080 102519-E.DHUSE 400.00 GJ-191028FE 11/07/2019 01 Adjust GJ-191029FE 0.20 GJ-191029FE 11/07/2019 06 UB CC Fees - Sept 2019 2.20 GJ-191029RV 11/07/2019 05 REVERSE GJ-191029FE 2.00 GJ-191030FE 11/07/2019 05 UB CC Fees - Sept 2019 2.00 GJ-191031FE 10/18/2019 05 UB CC Fees-Sept 2019 133.31 10/18/2019 11 UB Paymentus Fees-Sept 2019 501.65 10/18/2019 17 FNBO Analysis Charge-Sept 2019 145.69 _________________________________ TOTAL PERIOD 06 ACTIVITY 1,295.62 4.2007 AP-191112 11/04/2019 272 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 AP-191125M 11/14/2019 116 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 287.10 11/14/2019 117 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 287.10 11/14/2019 118 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 21.50 11/14/2019 119 UPS-1 PKG TO C-T INDUSTRIAL FIRST NATIONAL BANK 900081 112519-T.SOELKE 11.20 AP-191126 11/19/2019 168 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 35.46 GJ-191130FE 11/26/2019 05 UB CC Fees - Oct 2019 230.19 11/26/2019 11 UB Paymentus Fees - Oct 2019 837.30 11/26/2019 17 FNBO Analysis Chrg - Oct 2019 178.84 _________________________________ TOTAL PERIOD 07 ACTIVITY 1,916.94 0.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 12TIME: 12:15:43 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191220M 12/16/2019 230 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 81.27 AP-191224M 12/12/2019 107 CORRO-3 YEAR MAINTENANCE FIRST NATIONAL BANK 900082 122419-T.SOELKE 1,300.00 GJ-191231FE 12/30/2019 05 UB CC Fees - Nov 2019 181.26 12/30/2019 11 UB Paymentus Fees - Nov 2019 531.22 12/30/2019 17 FNBO Analysis Charge-Nov 2019 156.94 _________________________________ TOTAL PERIOD 08 ACTIVITY 2,250.69 0.0009 AP-200128 01/22/2020 250 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 35.93 GJ-200131FE 01/29/2020 05 UB CC Fees - Dec 2019 178.31 01/29/2020 11 UB Paymentus Fees - Dec 2019 754.45 01/29/2020 17 FNBO Analysis Charge-Dec 2019 182.94 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,151.63 0.0010 AP-200211 02/04/2020 208 OIL CHANGE SAFETY-KLEEN 532218 82114634 253.99 AP-200225 02/19/2020 157 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 81.83 GJ-200229FE 02/26/2020 05 UB CC Fees - Jan 2020 112.02 02/26/2020 11 UB Paymentus Fees - Jan 2020 715.45 02/26/2020 17 Analysis Charge - Jan 2020 182.46 AP-20025M 02/12/2020 123 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 02/12/2020 124 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 02/12/2020 125 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 _________________________________ TOTAL PERIOD 10 ACTIVITY 2,207.05 0.00 YTD BUDGET 35,833.34 TOTAL ACCOUNT ACTIVITY 15,420.19 159.81 ANNUAL REVISED BUDGET 43,000.00 ENDING BALANCE 15,260.38_____________________________________________________________________________________________________________________________________________________79-790-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 169 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 129.36 06/19/2019 170 05/09/19 PARK BOARK MEETING MARLYS J. YOUNG 530419 050919 73.25 _________________________________ TOTAL PERIOD 02 ACTIVITY 202.61 0.0003 AP-190723 07/17/2019 262 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 28.25 07/17/2019 263 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 45.63 AP-190725M 07/22/2019 101 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 116.88 0.0004 AP-190813 08/06/2019 312 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 88.13 AP-190825M 08/15/2019 121 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 58.00 AP-190827 08/20/2019 198 7/11/19 PARK BOARD MEETING MARLYS J. YOUNG 530896 071119-PR 85.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 231.13 0.0005 AP-190910 09/04/2019 242 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 91.71 _________________________________ TOTAL PERIOD 05 ACTIVITY 91.71 0.0006 AP-191008 09/30/2019 245 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 28.00 09/30/2019 246 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 28.25 09/30/2019 247 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 81.23 09/30/2019 248 CITY ID-JACKSON P.F. PETTIBONE & CO. 531176 177508 11.90
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 13TIME: 12:15:47 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-790-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191025M 10/15/2019 126 PHYSICIANS CARE-DRUG FIRST NATIONAL BANK 900080 102519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 192.38 0.0007 AP-191112 11/04/2019 316 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 11/04/2019 317 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 80.99 11/04/2019 318 09/12/19 PARK BOARD MEETING MARLYS J. YOUNG 531475 091219 83.75 AP-191125M 11/14/2019 128 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 510.40 11/14/2019 129 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 510.40 11/14/2019 130 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 58.00 AP-191126 11/19/2019 188 8/1/19-10/31/19 MANAGED PRINT IMPACT NETWORKING, L 531504 1598932 1.92 _________________________________ TOTAL PERIOD 07 ACTIVITY 1,273.71 0.0008 AP-191220M 12/16/2019 254 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 99.32 GJ-191220RC 12/19/2019 02 RC 1/2 Marlys Yound Inv 121.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 99.32 121.0009 AP-200114 01/07/2020 220 11/14/19 PARK BOARD MEETING MARLYS J. YOUNG 532019 111419-PK 38.38 AP-200128 01/22/2020 288 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 34.53 _________________________________ TOTAL PERIOD 09 ACTIVITY 72.91 0.0010 AP-200211 02/04/2020 248 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 102.52 02/04/2020 249 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 102.52 AP-200225 02/19/2020 182 11/01-01/31 PRINTER CHARGES IMPACT NETWORKING, L 532279 1685880 1.72 AP-20025M 02/12/2020 148 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 02/12/2020 149 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 02/12/2020 150 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,737.96 0.00 YTD BUDGET 7,833.34 TOTAL ACCOUNT ACTIVITY 4,018.61 121.00 ANNUAL REVISED BUDGET 9,400.00 ENDING BALANCE 3,897.61_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190514B 05/07/2019 81 SUMMER & FALL 2019 USSSA HERB WIEGEL 529824 44 789.25 AP-190528B 05/21/2019 114 UMPIRE JUAN DANIEL AVILA 529869 050419 70.00 05/21/2019 115 UMPIRE MATT BENJAMIN 529871 050919 80.00 05/21/2019 116 UMPIRE DWAYNE F BEYER 529872 050919 80.00 05/21/2019 117 UMPIRE REBEKAH BOHYER 529874 5/3-5/13 40.00 05/21/2019 118 UMPIRE DONALD CZEPIEL 529879 5/3-5/13 55.00 05/21/2019 119 UMPIRE SARA R. EBNER 529884 5/3-5/13 140.00 05/21/2019 120 UMPIRE JOHN ELENBAAS 529885 050419 105.00 05/21/2019 121 UMPIRE JAMIE ELENBAAS 529886 050919 35.00 05/21/2019 122 UMPIRE CONNER FOX 529888 5/3-5/13 65.00 05/21/2019 123 UMPIRE RICARDO GANTE 529891 051119 70.00 05/21/2019 124 UMPIRE JOSHUA HAVERNICK 529892 5/3-5/13 40.00 05/21/2019 125 UMPIRE ANDREW HETTINGER 529893 5/3-5/13 55.00 05/21/2019 126 UMPIRE MICHAEL HILKER 529894 5/3-5/13 20.00 05/21/2019 127 UMPIRE JAREK DANIEL HOTWANG 529895 5/3-5/13 55.00 05/21/2019 128 UMPIRE TY KUKIELKA 529902 5/3-5/13 110.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 14TIME: 12:15:48 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 AP-190528B 05/21/2019 129 UMPIRE JOESEPH KWIATKOWSKI 529903 5/3-5/13 55.00 05/21/2019 130 UMPIRE MATTHEW J. LAWLESS 529904 050619 35.00 05/21/2019 131 UMPIRE OWEN LINDSTRAND 529907 5/3-5/13 100.00 05/21/2019 132 UMPIRE JACOB LIPSCOMB 529908 5/3-5/13 110.00 05/21/2019 133 UMPIRE JORDAN LONG 529909 5/3-5/13 35.00 05/21/2019 134 UMPIRE RAMIRO RENE MARTINEZ 529911 5/3-5/13 20.00 05/21/2019 135 UMPIRE DAVID TYLER MCCURDY 529912 5/3-5/13 140.00 05/21/2019 136 UMPIRE KYLE DEAN MCCURDY 529913 5/3-5/13 115.00 05/21/2019 137 UMPIRE ALEXIS MEYER 529915 5/3-5/13 20.00 05/21/2019 138 UMPIRE BRAD NEMSICK 529918 5/3-5/13 55.00 05/21/2019 139 2019 BASEBALL SCHEDULING FEE MARK PAWLOWSKI 529924 050919 195.00 05/21/2019 140 UMPIRE ROBERT L. RIETZ JR. 529931 050919 80.00 05/21/2019 141 UMPIRE KURTIS TYLER RYAN 529933 5/3-5/13 20.00 05/21/2019 142 UMPIRE TY JAMES SILAS 529937 05/3-05/13 260.00 05/21/2019 143 UMPIRE BEN STEMMET 529938 05/3-05/13 85.00 05/21/2019 144 UMPIRE ZANE STRIKE 529939 05/3-05/13 65.00 05/21/2019 145 UMPIRE PAUL TAEUBER 529940 051119 105.00 05/21/2019 146 UMPIRE NATHANIEL TAGGART 529941 5/3-5/13 55.00 05/21/2019 147 UMPIRE CHRISTOPHER D. TUTTL 529942 05/3-05/13 125.00 05/21/2019 148 UMPIRE JAEDON VAUGHN 529944 05/3-05/13 70.00 05/21/2019 149 UMPIRE IVAN WESTCOTT 529948 05/3-05/13 165.00 05/21/2019 150 UMPIRE HERB WIEGEL 529949 050919 80.00 05/21/2019 151 UMPIRE ALEXANDER VINCENZO W 529950 05/3-05/13 20.00 AP-190528PR 05/28/2019 01 UMPIRE REBEKAH BOHYER 529955 5/14-5/28 25.00 05/28/2019 02 UMPIRE JOSLYN T. BULLINGTON 529982 5/14-5/28 75.00 05/28/2019 03 UMPIRE CONNER FOX 529957 5/14-5/28 60.00 05/28/2019 04 UMPIRE SAM GOLINSKI 529958 5/14-5/28 55.00 05/28/2019 05 UMPIRE JOSHUA HAVERNICK 529959 5/14-5/28 45.00 05/28/2019 06 UMPIRE GEORGE A. JACOBO 529960 5/14-5/28 70.00 05/28/2019 07 UMPIRE ZACHARY STEVEN KAUS 5/14-5/28 20.00 05/28/2019 08 UMPIRE TY KUKIELKA 529962 5/14-5/28 95.00 05/28/2019 09 UMPIRE OWEN LINDSTRAND 529983 5/14-5/28 85.00 05/28/2019 10 UMPIRE JACOB LIPSCOMB 529964 5/14-5/28 55.00 05/28/2019 11 UMPIRE JORDAN LONG 529965 5/14-5/28 70.00 05/28/2019 12 UMPIRE RAMIRO RENE MARTINEZ 529966 5/14-5/28 25.00 05/28/2019 13 UMPIRE DAVID TYLER MCCURDY 529984 5/14-5/28 160.00 05/28/2019 14 UMPIRE KYLE DEAN MCCURDY 529985 5/14-5/28 150.00 05/28/2019 15 UMPIRE ALEXIS MEYER 529986 5/14-5/28 85.00 05/28/2019 16 UMPIRE ROBERT J. PAVLIK 529970 5/14-5/28 55.00 05/28/2019 17 UMPIRE MATTHEW L. RAMEY 529971 5/14-5/28 35.00 05/28/2019 18 UMPIRE KURTIS TYLER RYAN 529987 5/14-5/28 40.00 05/28/2019 19 UMPIRE JONATHAN SCHWEITZER 5/14-5/28 20.00 05/28/2019 20 UMPIRE TY JAMES SILAS 529988 5/14-5/28 90.00 05/28/2019 21 UMPIRE BEN STEMMET 529975 5/14-5/28 60.00 05/28/2019 22 UMPIRE ZANE STRIKE 529976 5/14-5/28 80.00 05/28/2019 23 UMPIRE CHRISTOPHER D. TUTTL 529977 5/14-5/28 40.00 05/28/2019 24 UMPRIE JAEDON VAUGHN 529989 5/14-5/28 40.00 05/28/2019 25 UMPIRE IVAN WESTCOTT 529990 5/14-5/28 50.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 15TIME: 12:15:48 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 AP-190528PR 05/28/2019 26 UMPIRE ALEXANDER VINCENZO W 529980 5/14-5/28 40.00 05/28/2019 27 UMPIRE ROYAL WOOLFOLK 5/14-5/28 55.00 AP-190528VD 05/29/2019 01 UMPIRE :VOID 529961 ZACHARY STEVEN KAUS 5/14-5/28 20.00 05/29/2019 02 UMPIRE :VOID 529973 JONATHAN SCHWEITZER 5/14-5/28 20.00 05/29/2019 03 UMPIRE :VOID 529981 ROYAL WOOLFOLK 5/14-5/28 55.00 AP-190529PR 05/29/2019 01 UMPIRE JOSLYN T. BULLINGTON 529982 5/14-5/28 40.00 05/29/2019 02 UMPIRE OWEN LINDSTRAND 529983 5/14-5/28 60.00 05/29/2019 03 UMPIRE DAVID TYLER MCCURDY 529984 5/14-5/28 90.00 05/29/2019 04 UMPIRE KYLE DEAN MCCURDY 529985 5/14-5/28 110.00 05/29/2019 05 UMPIRE ALEXIS MEYER 529986 5/14-5/28 60.00 05/29/2019 06 UMPIRE KURTIS TYLER RYAN 529987 5/14-5/28 20.00 05/29/2019 07 UMPIRE TY JAMES SILAS 529988 5/14-5/28 55.00 05/29/2019 08 UMPRIE JAEDON VAUGHN 529989 5/14-5/28 20.00 05/29/2019 09 UMPIRE IVAN WESTCOTT 529990 5/14-5/28 50.00 GJ-190531FE 05/21/2019 13 PR CC Fees - Apr 2019 997.07 AP-90528VD2 05/29/2019 01 UMPIRE :VOID 529956 JOSLYN T. BULLINGTON 529982 5/14-5/28 75.00 05/29/2019 02 UMPIRE :VOID 529963 OWEN LINDSTRAND 529983 5/14-5/28 85.00 05/29/2019 03 UMPIRE :VOID 529967 DAVID TYLER MCCURDY 529984 5/14-5/28 160.00 05/29/2019 04 UMPIRE :VOID 529968 KYLE DEAN MCCURDY 529985 5/14-5/28 150.00 05/29/2019 05 UMPIRE :VOID 529969 ALEXIS MEYER 529986 5/14-5/28 85.00 05/29/2019 06 UMPIRE :VOID 529972 KURTIS TYLER RYAN 529987 5/14-5/28 40.00 05/29/2019 07 UMPIRE :VOID 529974 TY JAMES SILAS 529988 5/14-5/28 90.00 05/29/2019 08 UMPRIE :VOID 529978 JAEDON VAUGHN 529989 5/14-5/28 40.00 05/29/2019 09 UMPIRE :VOID 529979 IVAN WESTCOTT 529990 5/14-5/28 50.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 7,001.32 870.0002 AP-190611B 06/05/2019 155 UMPIRE JUAN DANIEL AVILA 530015 051819 70.00 06/05/2019 156 UMPIRE MATT BENJAMIN 530017 051619 80.00 06/05/2019 157 UMPIRE DWAYNE F BEYER 530018 051619 80.00 06/05/2019 158 UMPIRE DWAYNE F BEYER 530018 052319 120.00 06/05/2019 159 UMPIRE JAMIE ELENBAAS 530024 051319 35.00 06/05/2019 160 UMPIRE JAMIE ELENBAAS 530024 051819 70.00 06/05/2019 161 UMPIRE MATTHEW J. LAWLESS 530043 051819 70.00 06/05/2019 162 BASEBALL UMPIRE ASSIGNING FEE CYNTHIA O'LEARY YORKVILLE IN HOUSE 2 1,300.00 06/05/2019 163 BASEBALL TOURNAMENT UMPIRE CYNTHIA O'LEARY 530050 YORKVILLE REC 2019 250.00 06/05/2019 164 UMPIRE ROBERT L. RIETZ JR. 530063 051619 80.00 06/05/2019 165 UMPIRE ROBERT L. RIETZ JR. 530063 052319 40.00 06/05/2019 166 UMPIRE HERB WIEGEL 530072 051619 80.00 06/05/2019 167 UMPIRE HERB WIEGEL 530072 052319 160.00 AP-190619M 06/18/2019 01 UMPIRE RAIUMUNDO FONSECA 530078 WOOD BAT 2019 300.00 06/18/2019 02 UMPIRE SAM GOLINSKI 530079 WOOD BAT 2019 150.00 06/18/2019 03 UMPIRE ANDREW HETTINGER 530080 WOOD BAT 2019 100.00 06/18/2019 04 UMPIRE KENNETH ISHAM 530081 WOOD BAT 2019 100.00 06/18/2019 05 UMPIRE MIKE KALISH 530082 WOOD BAT 2019 150.00 06/18/2019 06 UMPIRE JACOB LIPSCOMB 530083 WOOD BAT 2019 350.00 06/18/2019 07 UMPIRE JACK MODAFF 530084 WOOD BAT 2019 250.00 06/18/2019 08 SCHEDULING OF OFFICIALS CYNTHIA O'LEARY 530085 WOOD BAT 2019 255.00 06/18/2019 09 UMPIRE ROBERT J. PAVLIK 530086 WOOD BAT 2019 50.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 16TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________02 AP-190619M 06/18/2019 10 UMPIRE ROBERT L. RIETZ JR. 530087 WOOD BAT 2019 50.00 06/18/2019 11 UMPIRE COLE RUNDLE 530088 WOOD BAT 2019 100.00 06/18/2019 12 UMPIRE MARK RUNYON 530089 WOOD BAT 2019 350.00 06/18/2019 13 UMPIRE VANCE SCHMIDT 530090 WOOD BAT 2019 100.00 06/18/2019 14 UMPIRE NATHANIEL TAGGART 530091 WOOD BAT 2019 50.00 06/18/2019 15 UMPIRE JAMES A. TIETZ 530092 WOOD BAT 2019 300.00 AP-190625B 06/19/2019 194 UMPIRE MATT BENJAMIN 530318 053019 80.00 06/19/2019 195 UMPIRE MATT BENJAMIN 530318 060619 80.00 06/19/2019 196 UMPIRE DWAYNE F BEYER 530319 053019 80.00 06/19/2019 197 UMPIRE DWAYNE F BEYER 530319 060619 80.00 06/19/2019 198 UMPIRE REBEKAH BOHYER 530320 INV 5/29-6/9 85.00 06/19/2019 199 UMPIRE ANTHONY BOULE 530322 INV 5/29-6/9 40.00 06/19/2019 200 UMPIRE JOSLYN T. BULLINGTON 530325 INV 5/29-6/9 20.00 06/19/2019 201 UMPIRE HUMBERTO B. ARROYO 530326 INV 5/29-6/9 60.00 06/19/2019 202 UMPIRE JACOB CARLSON 530330 INV 5/29-6/9 20.00 06/19/2019 203 STRONG FITNESS CLASS KAYLA DJIDIC 530336 0001 175.00 06/19/2019 204 UMPIRE SARA R. EBNER 530339 INV 5/29-6/9 20.00 06/19/2019 205 UMPIRE GARY R FORD JR 530346 INV 5/29-6/9 55.00 06/19/2019 206 UMPIRE SAM GOLINSKI 530347 INV 5/29-6/9 55.00 06/19/2019 207 UMPIRE JOSHUA HAVERNICK 530349 INV 5/29-6/9 80.00 06/19/2019 208 UMPIRE ANDREW HETTINGER 530351 INV 5/29-6/9 165.00 06/19/2019 209 UMPIRE MICHAEL HILKER 530352 INV 5/29-6/9 20.00 06/19/2019 210 UMPIRE JAREK DANIEL HOTWANG 530353 INV 5/29-6/9 55.00 06/19/2019 211 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 129.36 06/19/2019 212 UMPIRE GEORGE A. JACOBO 530360 INV 5/29-6/9 35.00 06/19/2019 213 UMPIRE ZACHARY STEVEN KAUS 530361 INV 5/29-6/9 190.00 06/19/2019 214 UMPIRE TY KUKIELKA 530364 INV 5/29-6/9 35.00 06/19/2019 215 UMPIRE OWEN LINDSTRAND 530365 INV 5/29-6/9 125.00 06/19/2019 216 UMPIRE JORDAN LONG 530366 INV 5/29-6/9 20.00 06/19/2019 217 UMPIRE DAVID TYLER MCCURDY 530369 INV 5/29-6/9 105.00 06/19/2019 218 UMPIRE KYLE DEAN MCCURDY 530370 INV 5/29-6/9 90.00 06/19/2019 219 UMPIRE ALEXIS MEYER 530372 INV 5/29-6/9 95.00 06/19/2019 220 UMPIRE JOSHUA CALEB MEYERS 530373 INV 5/29-6/9 70.00 06/19/2019 221 UMPIRE MICHAEL T. MILLER 530375 060219 70.00 06/19/2019 222 UMPIRE HANNAH MONTELAURO 530376 INV 5/29-6/9 70.00 06/19/2019 223 UMPIRE MATTHEW L. RAMEY 530389 INV 5/29-6/9 35.00 06/19/2019 224 UMPIRE ROBERT L. RIETZ JR. 530391 053019 80.00 06/19/2019 225 UMPIRE ROBERT L. RIETZ JR. 530391 060619 80.00 06/19/2019 226 UMPIRE MARK RUNYON 530392 INV 5/29-6/9 60.00 06/19/2019 227 UMPIRE KURTIS TYLER RYAN 530393 INV 5/29-6/9 45.00 06/19/2019 228 UMPIRE JONATHAN SCHWEITZER 530394 INV 5/29-6/9 65.00 06/19/2019 229 UMPIRE KEVIN SERIO JR 530395 INV 5/29-6/9 55.00 06/19/2019 230 UMPIRE TY JAMES SILAS 530396 INV 5/29-6/9 70.00 06/19/2019 231 UMPIRE BEN STEMMET 530400 INV 5/29-6/9 60.00 06/19/2019 232 UMPIRE ZANE STRIKE 530403 INV 5/29-6/9 80.00 06/19/2019 233 UMPIRE CHRISTOPHER D. TUTTL 530405 INV 5/29-6/9 65.00 06/19/2019 234 UMPRIE JAEDON VAUGHN 530408 INV 5/29-6/9 40.00 06/19/2019 235 UMPIRE WILLIAM WEEKS 530410 INV 5/29-6/9 55.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 17TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________02 AP-190625B 06/19/2019 236 UMPIRE IVAN WESTCOTT 530412 INV 5/29-6/9 140.00 06/19/2019 237 UMPIRE HERB WIEGEL 530414 053019 80.00 06/19/2019 238 UMPIRE HERB WIEGEL 530414 060619 80.00 06/19/2019 239 UMPIRE ALEXANDER VINCENZO W 530415 INV 5/29-6/9 20.00 06/19/2019 240 UMPIRE DAVID WOLLNIK 530417 INV 5/29-6/9 60.00 GJ-190630FE 06/24/2019 13 PR CC Fees - May 2019 1,383.81 _________________________________ TOTAL PERIOD 02 ACTIVITY 9,848.17 0.0003 AP-072919VD 07/29/2019 01 SUMMER 2019 TOT RO:VOID 530630 ROCK 'N' KIDS, INC. YRKSU19 329.00 AP-190709 07/01/2019 191 UMPIRE ALJO AMORELLI 530429 061319 40.00 07/01/2019 192 UMPIRE ALJO AMORELLI 530429 062019 60.00 07/01/2019 193 UMPIRE MATT BENJAMIN 530435 062019 80.00 07/01/2019 194 UMPIRE DWAYNE F BEYER 530436 061319 100.00 07/01/2019 195 UMPIRE DWAYNE F BEYER 530436 062019 80.00 07/01/2019 196 UMPIRE REBEKAH BOHYER 530438 JUN 10-23 110.00 07/01/2019 197 UMPIRE ANTHONY BOULE 530439 JUN 10-23 80.00 07/01/2019 198 CHICAGO WHITE SOX SUMMER CAMP ROCLAB ATHLETIC INST 530441 8953 950.00 07/01/2019 199 UMPIRE GARY M. DIETER 530445 061219 75.00 07/01/2019 200 UMPUIRE GARY M. DIETER 530445 061919 50.00 07/01/2019 201 UMPIRE SARA R. EBNER 530448 JUN 10-23 35.00 07/01/2019 202 UMPIRE GARY R FORD JR 530452 061219 50.00 07/01/2019 203 UMPIRE COLIN GLASS 530454 JUN 10-23 40.00 07/01/2019 204 UMPIRE JOSHUA HAVERNICK 530457 JUN 10-23 80.00 07/01/2019 205 UMPIRE ANDREW HETTINGER 530460 JUN 10-23 110.00 07/01/2019 206 UMPIRE MICHAEL HILKER 530461 JUN 10-23 35.00 07/01/2019 207 UMPIRE GEORGE A. JACOBO 530468 JUN 10-23 70.00 07/01/2019 208 UMPIRE ZACHARY STEVEN KAUS 530472 JUN 10-23 85.00 07/01/2019 209 UMPIRE TY KUKIELKA 530474 JUN 10-23 105.00 07/01/2019 210 UMPIRE OWEN LINDSTRAND 530476 JUN 10-23 20.00 07/01/2019 211 UMPIRE DAVID TYLER MCCURDY 530478 JUN 10-23 110.00 07/01/2019 212 UMPIRE KYLE DEAN MCCURDY 530479 JUN 10-23 130.00 07/01/2019 213 UMPIRE JOSHUA CALEB MEYERS 530482 JUN 10-23 35.00 07/01/2019 214 UMPIRE MICHAEL T. MILLER 530484 060919 35.00 07/01/2019 215 UMPIRE JACK MODAFF 530485 JUN 10-23 55.00 07/01/2019 216 UMPIRE HANNAH MONTELAURO 530486 JUN 10-23 105.00 07/01/2019 217 UMPIRE ROBERT MOSER 530487 061219 50.00 07/01/2019 218 UMPIRE MARTY MUNNS 530489 061319 75.00 07/01/2019 219 UMPIRE MARTY MUNNS 530489 061919 75.00 07/01/2019 220 UMPIRE BRAD NEMSICK 530490 JUN 10-23 55.00 07/01/2019 221 UMPIRE STEVE PEARSON 530495 JUN 10-23 120.00 07/01/2019 222 UMPIRE MATTHEW L. RAMEY 530501 JUN 10-23 35.00 07/01/2019 223 UMPIRE GRANT RIEHLE-MOELLER 530502 061219 50.00 07/01/2019 224 UMPIRE GRANT RIEHLE-MOELLER 530502 061919 75.00 07/01/2019 225 UMPIRE BENJAMIN RIETZ 530503 061319 40.00 07/01/2019 226 UMPIRE BENJAMIN RIETZ 530503 062019 60.00 07/01/2019 227 UMPIRE ROBERT L. RIETZ JR. 530504 061319 60.00 07/01/2019 228 UMPIRE ROBERT L. RIETZ JR. 530504 062019 40.00 07/01/2019 229 UMPIRE ROBERT L. RIETZ JR. 530504 JUN 10-23 60.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 18TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190709 07/01/2019 230 UMPIRE MARK RUNYON 530505 JUN 10-23 55.00 07/01/2019 231 UMPIRE KURTIS TYLER RYAN 530506 JUN 10-23 85.00 07/01/2019 232 UMPIRE JONATHAN SCHWEITZER 530507 JUN 10-23 40.00 07/01/2019 233 ASHI CHILD AND BABYSITTING SECOND CHANCE CARDIA 530508 19-006-292 315.00 07/01/2019 234 UMPIRE KEVIN SERIO JR 530509 JUN 10-23 25.00 07/01/2019 235 UMPIRE TY JAMES SILAS 530511 JUN 10-23 105.00 07/01/2019 236 UMPIRE BEN STEMMET 530512 JUN 10-23 70.00 07/01/2019 237 UMPIRE ZANE STRIKE 530513 JUN 10-23 195.00 07/01/2019 238 UMPIRE JAMES A. TIETZ 530515 JUN 10-23 115.00 07/01/2019 239 UMPIRE CHRISTOPHER D. TUTTL 530517 JUN 10-23 45.00 07/01/2019 240 UMPIRE JOE VASCIK 530520 061919 50.00 07/01/2019 241 UMPRIE JAEDON VAUGHN 530521 JUN 10-23 185.00 07/01/2019 242 UMPIRE BOB VELA 530522 JUN 10-23 60.00 07/01/2019 243 UMPIRE WILLIAM WEEKS 530523 061919 50.00 07/01/2019 244 UMPIRE WILLIAM WEEKS 530523 JUN 10-23 55.00 07/01/2019 245 UMPIRE IVAN WESTCOTT 530524 JUN 10-23 35.00 07/01/2019 246 UMPIRE HERB WIEGEL 530526 061319 80.00 07/01/2019 247 UMPIRE DAVID WOLNIK 530528 JUN 10-23 110.00 AP-190723 07/17/2019 293 UMPIRE ALJO AMORELLI 530538 062719 80.00 07/17/2019 294 YOUTH PERSONAL TRAINING FRANK E. BADUS 530544 PLF62419 192.00 07/17/2019 295 UMPIRE MATT BENJAMIN 530546 062719 80.00 07/17/2019 296 UMPIRE DWAYNE F BEYER 530548 062719 80.00 07/17/2019 297 UMPIRE REBEKAH BOHYER 530549 JUNE 24-JULY 7 80.00 07/17/2019 298 UMPIRE ANTHONY BOULE 530550 JUNE 24-JULY 7 80.00 07/17/2019 299 UMPIRE HUMBERTO B. ARROYO 530552 JUNE 24-JULY 7 170.00 07/17/2019 300 REFEREE GARY M. DIETER 530562 062619 75.00 07/17/2019 301 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530563 0002 220.50 07/17/2019 302 UMPIRE RAIUMUNDO FONSECA 530576 JUNE 24-JULY 7 60.00 07/17/2019 303 UMPIRE ANDREW GOLINSKI 530578 JUNE 24-JULY 7 20.00 07/17/2019 304 UMPIRE SAM GOLINSKI 530579 JUNE 24-JULY 7 55.00 07/17/2019 305 UMPIRE ALLEN R. GOSS 530581 JUNE 24-JULY 7 110.00 07/17/2019 306 UMPIRE ANDREW HETTINGER 530586 JUNE 24-JULY 7 60.00 07/17/2019 307 UMPIRE JAREK DANIEL HOTWANG 530587 JUNE 24-JULY 7 55.00 07/17/2019 308 UMPIRE WILLIAM HRUBES 530588 JUNE 24-JULY 7 55.00 07/17/2019 309 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 310.75 07/17/2019 310 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 45.63 07/17/2019 311 UMPIRE MATTHEW J. LAWLESS 530599 062619 50.00 07/17/2019 312 UMPIRE JOSHUA S LINDHOLM 530601 JUNE 24-JULY 7 55.00 07/17/2019 313 UMPIRE JACOB LIPSCOMB 530602 JUNE 24-JULY 7 55.00 07/17/2019 314 UMPIRE KYLE DEAN MCCURDY 530603 JUNE 24-JULY 7 40.00 07/17/2019 315 UMPIRE MICHAEL T. MILLER 530606 062319 35.00 07/17/2019 316 UMPIRE JACK MODAFF 530607 JUNE 24-JULY 7 330.00 07/17/2019 317 UMPIRE HANNAH MONTELAURO 530608 JUNE 24-JULY 7 40.00 07/17/2019 318 UMPIRE ROBERT MOSER 530609 062619 75.00 07/17/2019 319 UMPIRE JON MUEHLBAUER 530610 JUNE 24-JULY 7 55.00 07/17/2019 320 UMPIRE MARTY MUNNS 530611 062619 75.00 07/17/2019 321 UMPIRE BRAD NEMSICK 530613 JUNE 24-JULY 7 110.00 07/17/2019 322 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY 530616 SUMMER YOUTH BK 2019 300.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 19TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190723 07/17/2019 323 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY YORKVILLE IN HOUSE 2 1,600.00 07/17/2019 324 UMPIRE GRANT RIEHLE-MOELLER 530627 062619 75.00 07/17/2019 325 UMPIRE BENJAMIN RIETZ 530628 062719 80.00 07/17/2019 326 UMPIRE ROBERT L. RIETZ JR. 530629 062719 80.00 07/17/2019 327 UMPIRE ROBERT L. RIETZ JR. 530629 JUNE 24-JULY 7 110.00 07/17/2019 328 SUMMER 2019 TOT ROCK CLASSES ROCK 'N' KIDS, INC. YRKSU19 329.00 07/17/2019 329 UMPIRE KURTIS TYLER RYAN 530632 JUNE 24-JULY 7 60.00 07/17/2019 330 UMPIRE KEVIN SERIO JR 530636 JUNE 24-JULY 7 25.00 07/17/2019 331 UMPIRE TY JAMES SILAS 530638 JUNE 24-JULY 7 25.00 07/17/2019 332 UMPIRE TIM SIPES 530639 JUNE 24-JULY 7 55.00 07/17/2019 333 UMPIRE BEN STEMMET 530642 JUNE 24-JULY 7 35.00 07/17/2019 334 UMPIRE ZANE STRIKE 530644 JUNE 24-JULY 7 40.00 07/17/2019 335 UMPIRE JAMES A. TIETZ 530646 JUNE 24-JULY 7 110.00 07/17/2019 336 UMPIRE CHRISTOPHER D. TUTTL 530649 JUNE 24-JULY 7 35.00 07/17/2019 337 UMPRIE JAEDON VAUGHN 530652 JUNE 24-JULY 7 20.00 07/17/2019 338 UMPIRE BOB VELA 530653 JUNE 24-JULY 7 110.00 07/17/2019 339 UMPIRE WILLIAM WEEKS 530654 JUNE 24-JULY 7 115.00 07/17/2019 340 UMPIRE IVAN WESTCOTT 530656 JUNE 24-JULY 7 70.00 07/17/2019 341 UMPIRE DAVID WOLNIK 530657 JUNE 24-JULY 7 55.00 07/17/2019 342 UMPIRE ROYAL WOOLFOLK 530658 JUNE 24-JULY 7 55.00 07/17/2019 343 UMPIRE JOEL WYETH 530661 JUNE 24-JULY 7 60.00 AP-190725M 07/22/2019 126 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 86.00 07/22/2019 127 LISA LOMBARDI COACHING-JUNE FIRST NATIONAL BANK 900077 072519-S.REDMON 87.50 07/22/2019 128 VERMONT SYSTEMS-REC TRAC FIRST NATIONAL BANK 900077 072519-S.REDMON 5,250.00 07/22/2019 129 ARCHERY PLACE-MAY ARCHERY FIRST NATIONAL BANK 900077 072519-T.NELSON 120.00 07/22/2019 130 ARCHERY PLACE-JUNE ARCHERY FIRST NATIONAL BANK 900077 072519-T.NELSON 80.00 GJ-190731FE 08/02/2019 13 PR CC Fees - June 2019 1,847.95 CR-P190709 07/09/2019 90 172725 1,847.95 07/09/2019 91 172731 1,847.95 _________________________________ TOTAL PERIOD 03 ACTIVITY 20,707.28 2,176.9504 AP-190813 08/06/2019 337 SUMMER I 2019 SPORTS CLASS ALL STAR SPORTS INST 530666 194052 9,930.00 08/06/2019 338 UMPIRE ALJO AMORELLI 530671 071119 120.00 08/06/2019 339 UMPIRE ALJO AMORELLI 530671 071819 120.00 08/06/2019 340 UMPIRE ALJO AMORELLI 530671 072519 80.00 08/06/2019 341 UMPIRE MATT BENJAMIN 530685 071819 100.00 08/06/2019 342 UMPIRE MATT BENJAMIN 530685 072519 80.00 08/06/2019 343 UMPIRE DWAYNE F BEYER 530686 071119 120.00 08/06/2019 344 UMPIRE DWAYNE F BEYER 530686 071819 80.00 08/06/2019 345 UMPIRE DWAYNE F BEYER 530686 072519 80.00 08/06/2019 346 UMPIRE REBEKAH BOHYER 530688 JULY 8-JULY 28 25.00 08/06/2019 347 RUGBY CAMP INSTRUCTION WAUBONSEE VALLEY RUG 530693 1001 472.50 08/06/2019 348 UMPIRE GARY M. DIETER 530699 071019 75.00 08/06/2019 349 UMPIRE GARY M. DIETER 530699 071719 75.00 08/06/2019 350 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530700 0003 168.00 08/06/2019 351 UMPIRE SARA R. EBNER 530704 JULY 8-JULY 28 100.00 08/06/2019 352 UMPIRE GARY R FORD JR 530716 071019 50.00 08/06/2019 353 UMPIRE ANDREW HETTINGER 530725 JULY 8-JULY 28 120.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 20TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________04 AP-190813 08/06/2019 354 BACKGROUND CHECKS ILLINOIS STATE POLIC 530728 063019 56.50 08/06/2019 355 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 88.12 08/06/2019 356 SPACE ADVENTURE CAMP JMC VENTURES, LLC 530735 071719 105.00 08/06/2019 357 JULY MAGIC CLASS GARY KANTOR 530737 JULY 2019 75.00 08/06/2019 358 UMPIRE MATTHEW J. LAWLESS 530133 071719 50.00 08/06/2019 359 UMPIRE STEPHEN LINDSTROM 530744 071719 50.00 08/06/2019 360 UMPIRE MICHAEL T. MILLER 530757 072119 140.00 08/06/2019 361 UMPIRE JACK MODAFF 530758 JULY 8-JULY 28 60.00 08/06/2019 362 UMPIRE ROBERT MOSER 530760 071019 75.00 08/06/2019 363 UMPIRE MARTY MUNNS 530762 071019 50.00 08/06/2019 364 UMPIRE MARTY MUNNS 530762 071719 75.00 08/06/2019 365 UMPIRE GRANT RIEHLE-MOELLER 530786 071019 50.00 08/06/2019 366 UMPIRE GRANT RIEHLE-MOELLER 530786 071719 50.00 08/06/2019 367 UMPIRE BENJAMIN RIETZ 530787 071119 120.00 08/06/2019 368 UMPIRE BENJAMIN RIETZ 530787 071819 80.00 08/06/2019 369 UMPIRE BENJAMIN RIETZ 530787 072519 80.00 08/06/2019 370 UMPIRE ROBERT L. RIETZ JR. 530788 071119 40.00 08/06/2019 371 UMPIRE ROBERT L. RIETZ JR. 530788 071819 40.00 08/06/2019 372 UMPIRE TY JAMES SILAS 530792 JULY 8-JULY 28 50.00 08/06/2019 373 UMPIRE WILLIAM WEEKS 530802 JULY 8-JULY 28 180.00 08/06/2019 374 UMPIRE DAVID WOLNIK 530808 JULY 8-JULY 28 60.00 AP-190825M 08/15/2019 155 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 215.00 08/15/2019 156 PETITE PALETTE-YOUTUBE VIDEO FIRST NATIONAL BANK 900078 082519-S.REDMON 650.00 08/15/2019 157 ROC'N'KIDS-SUMMER TOT ROCK FIRST NATIONAL BANK 900078 082519-S.REDMON 329.00 08/15/2019 158 LISA LOMBARDI-THRILLS & FIRST NATIONAL BANK 900078 082519-S.REDMON 170.10 08/15/2019 159 ARCHERY PLACE-JULY 2019 FIRST NATIONAL BANK 900078 082519-T.NELSON 575.00 AP-190827 08/20/2019 223 JUNE 26-30 SOCCER CAMP 5 STAR SOCCER CAMPS 530817 062519 1,200.00 08/20/2019 224 UMPIRE ANDREW HETTINGER 530852 JUL29-AUG11 60.00 08/20/2019 225 UMPIRE OWEN LINDSTRAND 530862 JUL29-AUG11 75.00 GJ-190831FE 08/29/2019 19 PR CC Fees - July 2019 2,098.55 _________________________________ TOTAL PERIOD 04 ACTIVITY 18,742.77 0.0005 AP-190910 09/04/2019 262 UMPIRE ALJO AMORELLI 530898 080819 160.00 09/04/2019 263 UMPIRE ALJO AMORELLI 530898 081519 160.00 09/04/2019 264 UMPIRE ALJO AMORELLI 530898 082219 80.00 09/04/2019 265 UMPIRE DWAYNE F BEYER 530905 080819 160.00 09/04/2019 266 UMPIRE DWAYNE F BEYER 530905 081519 160.00 09/04/2019 267 UMPIRE DWAYNE F BEYER 530905 082219 80.00 09/04/2019 268 UMPIRE REBEKAH BOHYER 530906 AUG 12-AUG 25 70.00 09/04/2019 269 UMPIRE ANTHONY BOULE 530907 AUG 12-AUG 25 115.00 09/04/2019 270 UMPIRE JOSLYN T. BULLINGTON 530908 AUG 12-AUG 25 20.00 09/04/2019 271 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530920 0004 112.00 09/04/2019 272 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530920 0005 185.50 09/04/2019 273 UMPIRE JOHN ELENBAAS 530930 082419 35.00 09/04/2019 274 UMPIRE GARY R FORD JR 530933 AUG 12-AUG 25 55.00 09/04/2019 275 UMPIRE RICARDO GANTE 530936 082419 70.00 09/04/2019 276 UMPIRE ANDREW GOLINSKI 530938 AUG 12-AUG 25 105.00 09/04/2019 277 UMPIRE SAM GOLINSKI 530939 AUG 12-AUG 25 110.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 21TIME: 12:15:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________05 AP-190910 09/04/2019 278 2019 MENS FALL SOFTBALL BIG DAWG ATHLETICS L 530941 25 220.00 09/04/2019 279 UMPIRE ANDREW HETTINGER 530944 AUG 12-AUG 25 110.00 09/04/2019 280 UMPIRE JAREK DANIEL HOTWANG 530945 AUG 12-AUG 25 110.00 09/04/2019 281 BACKGROUND CHECKS ILLINOIS STATE POLIC 530946 073119 847.50 09/04/2019 282 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 91.71 09/04/2019 283 UMPIRE JOESEPH KWIATKOWSKI 530956 082519 70.00 09/04/2019 284 UMPIRE JACOB LIPSCOMB 530961 AU 12-AUG 25 110.00 09/04/2019 285 UMPIRE DAVID TYLER MCCURDY 530963 AUG 12-AUG 25 35.00 09/04/2019 286 UMPIRE KYLE DEAN MCCURDY 530964 AUG 12-AUG 25 90.00 09/04/2019 287 UMPIRE JACK MODAFF 530972 AUG 12-AUG 25 110.00 09/04/2019 288 UMPIRE BENJAMIN RIETZ 530991 082219 80.00 09/04/2019 289 UMPIRE ROBERT L. RIETZ JR. 530992 082219 80.00 09/04/2019 290 UMPIRE TY JAMES SILAS 530993 AUG 12-AUG 25 95.00 09/04/2019 291 UMPIRE ZANE STRIKE 530995 AUG 12-AUG 25 90.00 09/04/2019 292 UMPIRE NATHANIEL TAGGART 530996 AUG 12-AUG 25 165.00 09/04/2019 293 UMPIRE CHRISTOPHER D. TUTTL 530999 AUG 12-AUG 25 55.00 09/04/2019 294 UMPRIE JAEDON VAUGHN 531001 AUG 12-AUG 25 85.00 09/04/2019 295 UMPIRE WILLIAM WEEKS 531002 AUG 12-AUG 25 55.00 09/04/2019 296 UMPIRE HERB WIEGEL 531004 080819 120.00 09/04/2019 297 UMPIRE HERB WIEGEL 531004 081519 120.00 09/04/2019 298 UMPIRE HERB WIEGEL 531004 082219 120.00 09/04/2019 299 UMPIRE ALEXANDER VINCENZO W 531005 AUG 12-AUG 25 60.00 AP-190924 09/17/2019 192 SUMMER II SESSION SPORTS ALL STAR SPORTS INST 531011 195144 910.00 09/17/2019 193 UMPIRE REBEKAH BOHYER 531019 AUG 26-SEPT 8 25.00 09/17/2019 194 UMPIRE JOSLYN T. BULLINGTON 531021 AUG 26-SEPT 8 20.00 09/17/2019 195 SUMMER JUNIOR CAMPS CHAD JOHANSEN GOLF A 531023 2039 1,858.00 09/17/2019 196 UMPIRE RICARDO GANTE 531036 090719 70.00 09/17/2019 197 UMPIRE ANDREW GOLINSKI 531037 AUG 26-SEPT 8 70.00 09/17/2019 198 UMPIRE DEVIN HERNANDEZ 531040 090719 105.00 09/17/2019 199 UMPIRE JAREK DANIEL HOTWANG 531041 AUG 26-SEPT 8 110.00 09/17/2019 200 UMPIRE MARK A. HUTH 531042 AUG 26-SEPT 8 110.00 09/17/2019 201 UMPIRE JOESEPH KWIATKOWSKI 531051 090819 70.00 09/17/2019 202 UMPIRE KYLE DEAN MCCURDY 531053 AUG 26-SEPT 8 35.00 09/17/2019 203 UMPIRE TY JAMES SILAS 531077 AUG 26-SEPT 8 25.00 09/17/2019 204 UMPIRE ZANE STRIKE 531081 AUG 26-SEPT 8 55.00 09/17/2019 205 UMPIRE JAEDON VAUGHN 531086 AUG 26-SEPT 8 20.00 09/17/2019 206 UMPIRE ALEXANDER VINCENZO W 531091 AUG 26-SEPT 8 20.00 09/17/2019 207 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1370 0006 371.00 AP-190925M 09/16/2019 173 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900079 092519-R.WRIGHT 172.00 09/16/2019 174 ADVANCED DISPOSAL-DUMPSTER FIRST NATIONAL BANK 900079 092519-S.REDMON 149.90 09/16/2019 175 ARCHERY PLACE-AUGUST ARCHERY FIRST NATIONAL BANK 900079 092519-T.NELSON 80.00 GJ-190930FE 09/25/2019 19 PR CC Fees - Aug 2019 1,270.05 _________________________________ TOTAL PERIOD 05 ACTIVITY 10,142.66 0.0006 AP-191008 09/30/2019 269 UMPIRE ALJO AMORELLI 531097 091219 80.00 09/30/2019 270 UMPIRE ALJO AMORELLI 531097 091919 80.00 09/30/2019 271 UMPIRE DIEGO BARRERA 531101 091419 105.00 09/30/2019 272 UMPIRE DWAYNE F BEYER 531103 091219 100.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 22TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191008 09/30/2019 273 UMPIRE DWAYNE F BEYER 531103 091919 160.00 09/30/2019 274 UMPIRE REBEKAH BOHYER 531105 SEPT 9 - SEPT 22 35.00 09/30/2019 275 UMPIRE ANTHONY BOULE 531106 SEPT 9 - SEPT 22 35.00 09/30/2019 276 UMPIRE RYAN BUCK 531107 SEPT 9 - SEPT 22 100.00 09/30/2019 277 UMPIRE JOSLYN T. BULLINGTON 531108 SEPT 9 - SEPT 22 120.00 09/30/2019 278 UMPIRE DONALD CZEPIEL 531116 SEPT 9 - SEPT 22 55.00 09/30/2019 279 UMPIRE SARA R. EBNER 531120 SEPT 9 - SEPT 22 160.00 09/30/2019 280 UMPIRE JOHN ELENBAAS 531126 091419 70.00 09/30/2019 281 UMPIRE ANDREW GOLINSKI 531136 SEPT 9 - SEPT 22 140.00 09/30/2019 282 UMPIRE ALLEN R. GOSS 531137 SEPT 9 - SEPT 22 220.00 09/30/2019 283 UMPIRE ANDREW HETTINGER 531144 SEPT 9 - SEPT 22 280.00 09/30/2019 284 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 536.75 09/30/2019 285 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 81.24 09/30/2019 286 UMPIRE COLLIN JANUSZ 531152 AUG 26 - SEPT 8 40.00 09/30/2019 287 UMPIRE COLLIN JANUSZ 531152 SEPT 9 - SEPT 22 40.00 09/30/2019 288 UMPIRE DAVID TYLER MCCURDY 531158 SEPT 9 - SEPT 22 105.00 09/30/2019 289 UMPIRE KYLE DEAN MCCURDY 531159 SEPT 9 - SEPT 22 165.00 09/30/2019 290 UMPIRE JACK MODAFF 531165 SEPT 9 - SEPT 22 110.00 09/30/2019 291 UMPIRE MARK PAWLOWSKI 531173 091219 80.00 09/30/2019 292 UMPIRE MARK PAWLOWSKI 531173 091919 80.00 09/30/2019 293 UMPIRE ROBERT L. RIETZ JR. 531185 091219 60.00 09/30/2019 294 UMPIRE MARK RUNYON 531186 SEPT 9 - SEPT 22 295.00 09/30/2019 295 UMPIRE TY JAMES SILAS 531188 SEPT 9 - SEPT 22 95.00 09/30/2019 296 UMPIRE ZANE STRIKE 531190 SEPT 9 - SEPT 22 160.00 09/30/2019 297 UMPIRE NATHANIEL TAGGART 531191 SEPT 9 - SEPT 22 110.00 09/30/2019 298 UMPIRE JAMES A. TIETZ 531193 SEPT 9 - SEPT 22 110.00 09/30/2019 299 UMPIRE CHRISTOPHER D. TUTTL 531196 SEPT 9 - SEPT 22 90.00 09/30/2019 300 UMPIRE JAEDON VAUGHN 531198 SEPT 9 - SEPT 22 170.00 09/30/2019 301 UMPIRE WILLIAM WEEKS 531200 SEPT 9 - SEPT 22 110.00 09/30/2019 302 UMPIRE HERB WIEGEL 531201 091219 120.00 09/30/2019 303 UMPIRE HERB WIEGEL 531201 091919 120.00 09/30/2019 304 UMPIRE ALEXANDER VINCENZO W 531203 SEPT 9 - SEPT 22 40.00 09/30/2019 305 09/16-10/21 ZUMBINI CLASS RACHEL WIXON 531205 FALL I 336.00 09/30/2019 306 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1375 0007 297.50 AP-191022 10/15/2019 227 FALL 2019 CLASS INSTRUCTION ALL STAR SPORTS INST 531208 196185 1,334.00 10/15/2019 228 UMPIRE ALJO AMORELLI 531210 092619 160.00 10/15/2019 229 UMPIRE ALJO AMORELLI 531210 100319 80.00 10/15/2019 230 UMPIRE JUAN DANIEL AVILA 531216 092519 35.00 10/15/2019 231 UMPIRE DWAYNE F BEYER 531221 092619 20.00 10/15/2019 232 UMPIRE DWAYNE F BEYER 531221 100319 80.00 10/15/2019 233 REFEREE REBEKAH BOHYER 531222 SEPT 23-OCT 7 35.00 10/15/2019 234 UMPIRE ANTHONY BOULE 531223 SEPT 23-OCT 7 70.00 10/15/2019 235 UMPIRE RYAN BUCK 531224 SEPT 23-OCT 7 135.00 10/15/2019 236 UMPIRE JOSLYN T. BULLINGTON 531225 SEPT 23-OCT 7 35.00 10/15/2019 237 UMPIRE SARA R. EBNER 531238 SEPT 23-OCT 7 70.00 10/15/2019 238 UMPIRE JAMIE ELENBAAS 531240 100519 70.00 10/15/2019 239 UMPIRE ANDREW GOLINSKI 531250 SEPT 23-OCT 7 105.00 10/15/2019 240 UMPIRE SAM GOLINSKI 531251 SEPT 23-OCT 7 205.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 23TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191022 10/15/2019 241 UMPIRE ALLEN R. GOSS 531252 SEPT 23-OCT 7 110.00 10/15/2019 242 UMPIRE HALLE HARPER 531255 SEPT 23-OCT 7 40.00 10/15/2019 243 FALL YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 531257 515-0925-19 150.00 10/15/2019 244 UMPIRE DEVIN HERNANDEZ 531258 092119 70.00 10/15/2019 245 UMPIRE ANDREW HETTINGER 531259 SEPT 23-OCT 7 150.00 10/15/2019 246 UMPIRE COLLIN JANUSZ 531264 SEPT 23-OCT 7 100.00 10/15/2019 247 UMPIRE MATTHEW J. LAWLESS 531268 100519 105.00 10/15/2019 248 UMPIRE KYLE DEAN MCCURDY 531271 SEPT 23-OCT 7 70.00 10/15/2019 249 UMPIRE MICHAEL T. MILLER 531276 091519 70.00 10/15/2019 250 UMPIRE MICHAEL T. MILLER 531276 100619 105.00 10/15/2019 251 UMPIRE JACK MODAFF 531277 SEPT 23-OCT 7 100.00 10/15/2019 252 UMPIRE BRUCE MORRICK 531278 SEPT 23-OCT 7 55.00 10/15/2019 253 UMPIRE BRAD NEMSICK 531281 SEPT 23-OCT 7 55.00 10/15/2019 254 ASSIGNING FEE FOR BASEBALL CYNTHIA O'LEARY 531285 ARBITER RENEWAL 133.00 10/15/2019 255 FALL SOCCER OFFICIAL ASSIGNING CYNTHIA O'LEARY 531285 REC FALL SOCCER 2019 200.00 10/15/2019 256 FALL TRAVEL OFFICIAL ASSIGNING CYNTHIA O'LEARY 531285 YORKVILLE REC FALL 2 520.00 10/15/2019 257 UMPIRE MARK PAWLOWSKI 531288 100319 80.00 10/15/2019 258 UMPIRE CARL W. PETERSON 531289 SEPT 23-OCT 7 110.00 10/15/2019 259 UMPIRE ROBERT L. RIETZ JR. 531300 092619 140.00 10/15/2019 260 UMPIRE ROBERT L. RIETZ JR. 531300 100319 80.00 10/15/2019 261 9/11-10/16 MUSIC CLASSES ROCK 'N' KIDS, INC. 531301 YRKFI19 210.00 10/15/2019 262 UMPIRE EDWIN A RUNDLE 531302 SEPT 23-OCT 7 50.00 10/15/2019 263 BABYSITTING CLASS INSTRUCTION SECOND CHANCE CARDIA 531303 19-009-467 94.50 10/15/2019 264 UMPIRE TY JAMES SILAS 531306 SEPT 23-OCT 7 20.00 10/15/2019 265 UMPIRE JASON J. STANISZEWSK 531308 SEPT 23-OCT 7 50.00 10/15/2019 266 UMPIRE MARK STREIDER 531310 SEPT 23-OCT 7 100.00 10/15/2019 267 UMPIRE ZANE STRIKE 531311 SEPT 23-OCT 7 185.00 10/15/2019 268 UMPIRE PAUL TAEUBER 531312 092119 105.00 10/15/2019 269 UMPIRE NATHANIEL TAGGART 531313 SEPT 23-OCT 7 110.00 10/15/2019 270 UMPIRE JAMES A. TIETZ 531314 SEPT 23-OCT 7 55.00 10/15/2019 271 UMPIRE CHRISTOPHER D. TUTTL 531316 SEPT 23-OCT 7 170.00 10/15/2019 272 UMPIRE JAEDON VAUGHN 531318 SEPT 23-OCT 7 85.00 10/15/2019 273 UMPIRE HERB WIEGEL 531322 092619 120.00 10/15/2019 274 UMPIRE HERB WIEGEL 531322 100419 120.00 10/15/2019 275 UMPIRE ALEXANDER VINCENZO W 531323 SEPT 23-OCT 7 125.00 10/15/2019 276 UMPIRE DAVID WOLLNIK 531324 SEPT 23-OCT 7 100.00 10/15/2019 277 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1403 0008 239.50 AP-191025M 10/15/2019 157 PHYSICIANS CARE-DRUG FIRST NATIONAL BANK 900080 102519-R.WRIGHT 129.00 10/15/2019 158 LOMBARDI COACHING-WHACK A FIRST NATIONAL BANK 900080 102519-S.REDMON 17.50 GJ-191031FE 10/18/2019 19 PR CC Fees - Sept 2019 1,275.23 _________________________________ TOTAL PERIOD 06 ACTIVITY 13,329.22 0.0007 AP-191112 11/04/2019 361 UMPIRE ALJO AMORELLI 531331 101019 60.00 11/04/2019 362 UMPIRE ANGEL AVELLANES 531338 101219 70.00 11/04/2019 363 UMPIRE JUAN DANIEL AVILA 531339 101019 35.00 11/04/2019 364 UMPIRE DWAYNE F BEYER 531341 101019 60.00 11/04/2019 365 UMPIRE RYAN BUCK 531344 OCT 7-OCT 27 165.00 11/04/2019 366 UMPIRE HUMBERTO B. ARROYO 531345 OCT 7-OCT 27 100.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 24TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________07 AP-191112 11/04/2019 367 UMPIRE DONALD CZEPIEL 531353 OCT 7-OCT 27 55.00 11/04/2019 368 UMPIRE SARA R. EBNER 531361 OCT 7-OCT 27 20.00 11/04/2019 369 UMPIRE GARY R FORD JR 531368 OCT 7-OCT 27 100.00 11/04/2019 370 09/26-10/10 YOGA INSTRUCTION TAYLOR GODFREY 531372 001 75.00 11/04/2019 371 10/17-11/21 YOGA CLASS TAYLOR GODFREY 531372 002 150.00 11/04/2019 372 UMPIRE ANDREW GOLINSKI 531373 OCT 7-OCT 27 70.00 11/04/2019 373 UMPIRE SAM GOLINSKI 531374 OCT 7-OCT 27 400.00 11/04/2019 374 UMPIRE ALLEN R. GOSS 531375 OCT 7-OCT 27 270.00 11/04/2019 375 UMPIRE HALLE HARPER 531377 OCT 7-OCT 27 20.00 11/04/2019 376 UMPIRE ANDREW HETTINGER 531380 OCT 7-OCT 27 270.00 11/04/2019 377 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 84.75 11/04/2019 378 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 81.00 11/04/2019 379 UMPIRE COLLIN JANUSZ 531395 OCT 7-OCT 27 60.00 11/04/2019 380 UMPIRE MATTHEW J. LAWLESS 530133 101219 70.00 11/04/2019 381 UMPIRE DAVID TYLER MCCURDY 531404 OCT 7-OCT 27 125.00 11/04/2019 382 UMPIRE KYLE DEAN MCCURDY 531405 OCT 7-OCT 27 155.00 11/04/2019 383 UMPIRE JACK MODAFF 531411 OCT 7-OCT 27 255.00 11/04/2019 384 UMPIRE BRAD NEMSICK 531416 OCT 7-OCT 27 5.00 11/04/2019 385 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY 531422 YORKVILLE IN HOUSE F 1,800.00 11/04/2019 386 UMPIRE MARK PAWLOWSKI 531424 101019 60.00 11/04/2019 387 UMPIRE ROBERT L. RIETZ JR. 531445 101019 60.00 11/04/2019 388 UMPIRE ROBERT L. RIETZ JR. 531445 101319 105.00 11/04/2019 389 UMPIRE EDWIN A RUNDLE 531446 OCT 7-OCT 27 355.00 11/04/2019 390 UMPIRE MARK RUNYON 531447 OCT 7-OCT 27 110.00 11/04/2019 391 UMPIRE TY JAMES SILAS 531450 OCT 7-OCT 27 35.00 11/04/2019 392 UMPIRE TIM SIPES 531451 OCT 7-OCT 27 100.00 11/04/2019 393 UMPIRE ZANE STRIKE 531454 OCT 7-OCT 27 65.00 11/04/2019 394 UMPIRE NATHANIEL TAGGART 531455 OCT 7-OCT 27 220.00 11/04/2019 395 UMPIRE TOMAS THOMPSON 531456 SEPT 23-OCT 7 55.00 11/04/2019 396 UMPIRE JAMES A. TIETZ 531457 OCT 7-OCT 27 100.00 11/04/2019 397 UMPIRE CHRISTOPHER D. TUTTL 531459 OCT 7-OCT 27 80.00 11/04/2019 398 UMPIRE JAEDON VAUGHN 531462 OCT 7-OCT 27 100.00 11/04/2019 399 UMPIRE WILLIAM WEEKS 531466 OCT 7-OCT 27 110.00 11/04/2019 400 UMPIRE HERB WIEGEL 531471 101019 120.00 11/04/2019 401 FALL LEAGUE SCHEDULING OF HERB WIEGEL 531471 62 552.00 11/04/2019 402 UMPIRE ALEXANDER VINCENZO W 531472 OCT 7-OCT 27 40.00 11/04/2019 403 10/7-10/24 ZUMBA CLASS KAYLA DJIDIC 1408 0009 336.00 AP-191125M 11/14/2019 163 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 129.00 11/14/2019 164 ROCK-N-KIDS-KID ROCK CLASS FIRST NATIONAL BANK 900081 112519-S.REDMON 210.00 11/14/2019 165 ARCHERY PLACE-OCT 2019 ARCHERY FIRST NATIONAL BANK 900081 112519-T.NELSON 80.00 AP-191126 11/19/2019 196 UMPIRE JOESEPH KWIATKOWSKI 531508 102719 105.00 11/19/2019 197 10/28-12/2 ZUMBINI INSTRUCTION RACHEL WIXON 531544 FALL 3 119.90 11/19/2019 198 10/28-12/2 ZUMBINI BUNDLES RACHEL WIXON 531544 FALL 4 70.00 11/19/2019 199 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1435 0010 171.00 GJ-191130FE 11/26/2019 19 PR CC Fees - Oct 2019 1,563.32 _________________________________ TOTAL PERIOD 07 ACTIVITY 9,606.97 0.0008 AP-191210 12/03/2019 224 BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 56.50
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 25TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191210 12/03/2019 225 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1442 0011 325.00 AP-191220M 12/16/2019 285 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 531835 2019.12.06 75.00 12/16/2019 286 FALL II 2019 INSTRUCTION ALL STAR SPORTS INST 531836 197206 2,279.00 12/16/2019 287 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 531869 515-1202-19 225.00 12/16/2019 288 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 99.32 12/16/2019 289 DEC 2019 MAGIC CLASS GARY KANTOR 531878 DEC 2019 15.00 12/16/2019 290 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1471 0012 212.50 GJ-191220RC 12/19/2019 01 RC 1/2 Marlys Yound Inv 121.00 AP-191224M 12/12/2019 148 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900082 122419-R.WRIGHT 43.00 12/12/2019 149 ROCK'N'KIDS-KID ROCK CLASS FIRST NATIONAL BANK 900082 122419-S.REDMON 210.00 GJ-191231FE 12/30/2019 19 PR CC Fees - Nov 2019 798.06 _________________________________ TOTAL PERIOD 08 ACTIVITY 4,459.38 0.0009 AP-200114 01/07/2020 246 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 395.50 01/07/2020 247 11/14/19 PARK BOARD MEETING MARLYS J. YOUNG 532019 111419-PK 38.37 01/07/2020 248 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1478 0013 232.50 AP-200117R 01/17/2020 01 REFEREE MATTHEW J. LAWLESS 530133 042019 35.00 01/17/2020 02 REFEREE MATTHEW J. LAWLESS 530133 071719 50.00 01/17/2020 03 REFEREE MATTHEW J. LAWLESS 530133 101219 70.00 AP-200117VD 01/17/2020 01 UMPIRE :VOID 529739 MATTHEW J. LAWLESS 530133 042019 35.00 01/17/2020 02 UMPIRE :VOID 530740 MATTHEW J. LAWLESS 530133 071719 50.00 01/17/2020 03 UMPIRE :VOID 531401 MATTHEW J. LAWLESS 530133 101219 70.00 AP-200125M 01/17/2020 131 ARCHERY PLACE-NOV 2019 FIRST NATIONAL BANK 900083 012520-T.NELSON 80.00 AP-200128 01/22/2020 339 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 532021 2020.01.10 125.00 01/22/2020 340 YOUTH EMPOWERMENT CLASS FRANK E. BADUS 532028 1092020 576.00 01/22/2020 341 REFEREE JAMES BAUMANN 532029 011120 168.00 01/22/2020 342 REFEREE BRENDA BOOK 532032 011120 100.00 01/22/2020 343 REFEREE GARY R FORD JR 532058 011120 175.00 01/22/2020 344 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 532063 515-0108-20 125.00 01/22/2020 345 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 34.54 01/22/2020 346 REFEREE ROBERT MOSER 532084 011120 118.00 01/22/2020 347 REFEREE MARTY MUNNS 532086 011120 50.00 01/22/2020 348 DJ SERVICES FOR MOTHER/SON RAUL LOPEZ 532097 022120 200.00 01/22/2020 349 REFEREE PAUL J. RICHTER 532105 011120 75.00 01/22/2020 350 REFEREE ROBERT L. RIETZ JR. 532106 011120 75.00 01/22/2020 351 REFEREE JASON J. STANISZEWSK 532115 012020 100.00 01/22/2020 352 REFEREE GARY TRUAX 532122 011120 175.00 01/22/2020 353 REFEREE WILLIAM WEEKS 532126 011120 140.00 01/22/2020 354 REFEREE DAVID WOLLNIK 532128 011120 70.00 01/22/2020 355 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1507 0014 370.50 GJ-200131FE 01/29/2020 19 PR CC Fees - Dec 2019 776.78 CR-P200103 01/03/2020 17 176081 20.00 01/03/2020 18 176082 20.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 4,375.19 175.0010 AP-200211 02/04/2020 277 REFEREE JAMES BAUMANN 532143 012520 235.00 02/04/2020 278 REFEREE JAMES BAUMANN 532143 012520-2 25.00 02/04/2020 279 REFEREE DAVID BEEBE 532144 011820 75.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 26TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________10 AP-200211 02/04/2020 280 REFEREE MIKE BLACKBURN 532146 012520 50.00 02/04/2020 281 REFEREE BRENDA BOOK 532147 011820 75.00 02/04/2020 282 REFEREE GARY M. DIETER 532157 011820 50.00 02/04/2020 283 REFEREE GARY R FORD JR 532167 011820 200.00 02/04/2020 284 REFEREE GARY R FORD JR 532167 012520 75.00 02/04/2020 285 REFEREE MICHAEL LYONS 532186 012520 118.00 02/04/2020 286 REFEREE ROBERT MOSER 532195 011820 100.00 02/04/2020 287 REFEREE ROBERT MOSER 532195 012520 25.00 02/04/2020 288 REFEREE MARTY MUNNS 532196 011820 118.00 02/04/2020 289 REFEREE GRANT RIEHLE-MOELLER 532215 011820 200.00 02/04/2020 290 REFEREE GRANT RIEHLE-MOELLER 532215 012520 168.00 02/04/2020 291 REFEREE ROBERT L. RIETZ JR. 532216 011820 235.00 02/04/2020 292 REFEREE ROBERT L. RIETZ JR. 532216 012620 100.00 02/04/2020 293 REFEREE GARY TRUAX 532222 011820 75.00 02/04/2020 294 REFEREE GARY TRUAX 532222 012520 100.00 02/04/2020 295 REFEREE WILLIAM WEEKS 532227 011820 75.00 02/04/2020 296 REFEREE WILLIAM WEEKS 532227 012520 75.00 02/04/2020 297 REFEREE KIRK WINKLER 532229 011820 93.00 02/04/2020 298 REFEREE KIRK WINKLER 532229 012520 200.00 02/04/2020 299 REFEREE DAVID WOLLNIK 532230 012520 125.00 02/04/2020 300 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1513 0015 323.50 AP-200225 02/19/2020 215 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 532234 2020.02.07 125.00 02/19/2020 216 WINTER I SPORTS CLASS ALL STAR SPORTS INST 532235 201005 1,680.00 02/19/2020 217 REFEREE JERRY BALDWIN 532244 020120 75.00 02/19/2020 218 REFEREE JAMES BAUMANN 532245 020820 150.00 02/19/2020 219 REFEREE MIKE BLACKBURN 532249 020120 100.00 02/19/2020 220 REFEREE BRENDA BOOK 532250 020120 140.00 02/19/2020 221 REFEREE STEVEN ELROD 532263 020820 87.00 02/19/2020 222 REFEREE GARY R FORD JR 532270 020120 118.00 02/19/2020 223 REFEREE RAYMOND HAYEN 532274 020820 100.00 02/19/2020 224 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 532275 515-0205-20 125.00 02/19/2020 225 REFEREE TOM HUELS 532276 020820 193.00 02/19/2020 226 COACHES BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 141.25 02/19/2020 227 FEB 2020 MAGIC CLASS GARY KANTOR 532283 FEB 2020 45.00 02/19/2020 228 REFEREE MICHAEL LYONS 532286 020820 175.00 02/19/2020 229 REFEREE ROBERT MOSER 532294 020120 118.00 02/19/2020 230 REFEREE ROBERT MOSER 532294 020820 50.00 02/19/2020 231 REFEREE MARTY MUNNS 532295 020120 75.00 02/19/2020 232 01/11-03/07 ASSIGNING FEE FOR CYNTHIA O'LEARY 532299 RE BASKETBALL 2019 2,595.00 02/19/2020 233 REFEREE EDVINAS PRESNIAKOVAS 532302 020820 100.00 02/19/2020 234 REFEREE GRANT RIEHLE-MOELLER 532314 020120 175.00 02/19/2020 235 REFEREE GRANT RIEHLE-MOELLER 532314 020820 131.00 02/19/2020 236 REFEREE JASON J. STANISZEWSK 532315 020120 100.00 02/19/2020 237 REFEREE GARY TRUAX 532317 020120 75.00 02/19/2020 238 REFEREE WILLIAM WEEKS 532323 020120 95.00 02/19/2020 239 REFEREE WILLIAM WEEKS 532323 020820 210.00 02/19/2020 240 REFEREE KIRK WINKLER 532325 020120 25.00 02/19/2020 241 REFEREE KIRK WINKLER 532325 020120-2 25.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 27TIME: 12:15:50 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________10 AP-200225 02/19/2020 242 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1541 0016 378.50 GJ-200229FE 02/26/2020 19 PR CC Fees - Jan 2020 2,113.30 AP-20025M 02/12/2020 187 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 172.00 02/12/2020 188 ARCHERY PLACE-CAMP INSTRUCTION FIRST NATIONAL BANK 900084 022520-T.NELSON 165.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 12,772.55 0.00 YTD BUDGET 83,333.34 TOTAL ACCOUNT ACTIVITY 110,985.51 3,221.95 ANNUAL REVISED BUDGET 100,000.00 ENDING BALANCE 107,763.56_____________________________________________________________________________________________________________________________________________________82-820-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190513B 05/06/2019 07 MAY 2019 COPIER LEASE DLL FINANCIAL SERVIC 104704 63218016 194.48 05/06/2019 08 MAINTENANCE CONTRACT CHARGE SOUND INCORPORATED 104709 R161038 929.52 05/06/2019 09 06/278/19-06/26/20 ANNUAL TODAY'S BUSINESS SOL 104711 9268 2,644.00 AP-190528B 05/21/2019 162 JUN 2019 COPIER LEASE DLL FINANCIAL SERVIC 529882 63564126 194.48 GJ-90520PRE 05/21/2019 54 Sound Inc May 2019 Srvc Agrmnt 97.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 4,059.48 0.0002 AP-190610B 06/04/2019 03 07/01/20-06/30/21 CATEGORY 1 E-RATE FUND SERVICES 104722 299 350.00 06/04/2019 04 MAY 2019 ON SITE IT SUPPORT LLOYD WARBER 104724 10453 720.00 06/04/2019 05 JUNE - AUG SILVER SERVICE SOUND INCORPORATED 104726 R161625 291.00 06/04/2019 06 05/01-07/31 ELEVATOR THYSSENKRUPP ELEVATO 104727 3004582070 542.22 06/04/2019 07 05/13/19 MEETING MINUTES MARLYS J. YOUNG 104729 051319 79.50 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,982.72 0.0003 AP-190708 07/01/2019 04 JULY 2019 COPIER LEASE DLL FINANCIAL SERVIC 104732 63957683 194.48 07/01/2019 05 JUNE 2019 ON SITE IT SUPPORT LLOYD WARBER 104733 10454 720.00 07/01/2019 06 ANNUAL FEE RENEWAL FOR WEBLINX INCORPORATED 104740 27527 200.00 AP-190723 07/17/2019 360 06/10/19 MEETING MINUTES MARLYS J. YOUNG 530662 061019 66.25 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,180.73 0.0004 AP-190812 08/05/2019 03 AUG 2019 COPIER LEASE DLL FINANCIAL SERVIC 104744 64205724 194.48 08/05/2019 04 2019 ANNUAL INSPECTIONS GREAT LAKES PLUMBING 104746 18861 450.00 08/05/2019 05 04/15-07/14 COPIER OVERAGES IMPACT NETWORKING, L 104747 1496722 139.51 08/05/2019 06 AUG-OCT 2019 MAINTENANCE SOUND INCORPORATED 104756 R162440 929.52 08/05/2019 07 2ND QTR COST FOR FAX TBS CONSTRUCTION 104757 072919-7 43.52 08/05/2019 08 047/08/19 MEETING MINUTES MARLYS J. YOUNG 104761 070819 61.25 AP-190813 08/06/2019 402 JULY 2019 ON-SITE IT SUPPORT LLOYD WARBER 530745 10460 1,110.00 AP-190825M 08/15/2019 199 LIBERTY MUTUAL-SURETY BOND FIRST NATIONAL BANK 900078 082519-A.SIMMONS 456.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 3,384.28 0.0005 AP-190909 09/04/2019 02 SEPT 2019 COPIER LEASE DLL FINANCIAL SERVIC 104764 64641516 194.48 09/04/2019 03 SEPT - NOV 2019 SILVER SERVICE SOUND INCORPORATED 104767 R162857 291.00 09/04/2019 04 AUG-OCT 2019 ELEVATOR THYSSENKRUPP ELEVATO 104771 3004743624 542.22 09/04/2019 05 08/12/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 104772 081219 63.25 AP-190924 09/17/2019 230 OCT 2019 COPIER LEASE DLL FINANCIAL SERVIC 531029 64951484 194.48 AP-190925M 09/16/2019 236 NOTARY SERVICE-NOTARY FIRST NATIONAL BANK 900079 092519-E.TOPPER 53.95 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,339.38 0.00
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 28TIME: 12:15:52 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________82-820-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191014 10/01/2019 07 AUG 2019 ON-SITE IT SUPPORT LLOYD WARBER 104779 10461 720.00 10/01/2019 08 SEPT 2019 ON SITE IT SUPPORT LLOYD WARBER 104779 10462 1,320.00 10/01/2019 09 09/09/19 MEETING MINUTES MARLYS J. YOUNG 104788 090919 57.50 AP-191022 10/15/2019 291 09/23/19 MEETING MINUTES MARLYS J. YOUNG 531327 092319 84.50 GJ-191105RC 11/05/2019 01 RC Lbty Mtul Inv#102519-Grgry 568.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 2,750.00 0.0007 AP-191112 11/04/2019 414 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 56.50 11/04/2019 415 10/7/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 531475 100719 60.00 11/04/2019 416 10/10/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 531475 101019 57.00 11/04/2019 417 10/14/19 LIBRARY MEETING MARLYS J. YOUNG 531475 101419 83.75 AP-191118 11/13/2019 11 NOV 2019 COPIER LEASE DLL FINANCIAL SERVIC 104794 65382182 194.48 11/13/2019 12 07/15-10/14 COPIER CHARGES IMPACT NETWORKING, L 104799 1582222 114.88 11/13/2019 13 OCT 2019 ON SITE IT SUPPORT LLOYD WARBER 104800 10463 840.00 11/13/2019 14 11/1/19-1/31/20 CCTV & ACCESS SOUND INCORPORATED 104804 R164737 929.52 11/13/2019 15 JULY-SEPT 2019 COST FOR FAXES TODAY'S BUSINESS SOL 104806 100719-154 14.40 11/13/2019 16 SIMPLE SCAN SYSTEM ANNUAL TODAY'S BUSINESS SOL 104806 9921 795.00 AP-191125M 11/14/2019 222 ADS-NOV 2019-OCT 2019 FIRST NATIONAL BANK 900081 112519-A.SIMMONS 357.48 11/14/2019 223 CONSTANT CONTACT-12 MONTH FIRST NATIONAL BANK 900081 112519-E.TOPPER 588.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 4,091.01 0.0008 AP-191209 12/03/2019 02 NOV 2019 ON SITE IT SUPPORT LLOYD WARBER 104812 10464 720.00 12/03/2019 03 DEC 2019-FEB 2020 TELEPHONE & SOUND INCORPORATED 104817 R165323 291.00 12/03/2019 04 ANNUAL INSPECTION WITNESSING THYSSENKRUPP ELEVATO 104818 120119 421.00 12/03/2019 05 CHARGE FOR APR-JUN FAXES TODAY'S BUSINESS SOL 104819 072919-7 43.52 12/03/2019 06 11/04/19 MEETING MINUTES MARLYS J. YOUNG 104820 110419 56.75 12/03/2019 07 11/18/19 MEETING MINUTES MARLYS J. YOUNG 104820 111819 57.00 AP-191220M 12/16/2019 305 JAN 2020 COPIER LEASE DLL FINANCIAL SERVIC 531852 66123991 194.48 _________________________________ TOTAL PERIOD 08 ACTIVITY 1,783.75 0.0009 AP-200113 01/07/2020 02 ANNUAL TOWER MAINTENANCE TODAY'S BUSINESS SOL 104831 10030 325.00 AP-200114 01/07/2020 259 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 28.25 AP-200128 01/22/2020 367 12/09/19 MEETING MINUTES MARLYS J. YOUNG 532133 120919 63.25 01/22/2020 368 12/30/19 MEETING MINUTES MARLYS J. YOUNG 532133 123019 38.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 454.50 0.0010 AP-200210 02/04/2020 03 FEB 2020 COPIER LEASE DLL FINANCIAL SERVIC 104837 66513850 194.48 02/04/2020 04 10/15-01/14 COPIER CHARGES IMPACT NETWORKING, L 104841 1667690 129.58 02/04/2020 05 JAN 2020 ON SITE IT SUPPORT LLOYD WARBER 104842 10469 720.00 02/04/2020 06 02/01/20-04/30/20 MAINTENANCE SOUND INCORPORATED 104849 R167226 929.52 02/04/2020 07 ELEVATOR REPAIR THYSSENKRUPP ELEVATO 104850 6000371727 382.00 02/04/2020 08 01/13/20 MEETING MINUTES MARLYS J. YOUNG 104851 011320 65.50 AP-200225 02/19/2020 251 EMPLOYEE BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 28.25 AP-20025M 02/12/2020 219 SMITHEREEN-DEC 2019 PEST FIRST NATIONAL BANK 900084 022520-E.TOPPER 78.00 02/12/2020 220 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 86.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 2,613.33 0.00 YTD BUDGET 33,333.34 TOTAL ACCOUNT ACTIVITY 23,639.18 0.00 ANNUAL REVISED BUDGET 40,000.00 ENDING BALANCE 23,639.18
DATE: 03/05/2020 UNITED CITY OF YORKVILLE PAGE: 29TIME: 12:15:54 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 10PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________87-870-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0004 AP-190827 08/20/2019 239 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1341 15985 129.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 129.00 0.0007 AP-191112 11/04/2019 420 TIF COMPTROLLER LAUTERBACH & AMEN, L 531400 40326 270.00 AP-191125M 11/14/2019 233 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 AP-191126 11/19/2019 209 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1437 16065 161.25 _________________________________ TOTAL PERIOD 07 ACTIVITY 435.65 0.0008 AP-191220M 12/16/2019 308 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.0009 AP-200114 01/07/2020 261 COUNTRYSIDE TIFF MATTERS KATHLEEN FIELD ORR & 1493 16089 86.00 AP-200128 01/22/2020 370 COUNTRYSDIE TIF MATTERS KATHLEEN FIELD ORR & 1509 16117 376.25 _________________________________ TOTAL PERIOD 09 ACTIVITY 462.25 0.0010 AP-200225 02/19/2020 254 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1543 16146 397.75 _________________________________ TOTAL PERIOD 10 ACTIVITY 397.75 0.00 YTD BUDGET 1,666.68 TOTAL ACCOUNT ACTIVITY 1,439.90 0.00 ANNUAL REVISED BUDGET 2,000.00 ENDING BALANCE 1,439.90_____________________________________________________________________________________________________________________________________________________88-880-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0007 AP-191112 11/04/2019 423 TIF COMPTROLLER LAUTERBACH & AMEN, L 531400 40326 270.00 AP-191125M 11/14/2019 235 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 _________________________________ TOTAL PERIOD 07 ACTIVITY 274.40 0.0008 AP-191220M 12/16/2019 311 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.00 YTD BUDGET 833.34 TOTAL ACCOUNT ACTIVITY 289.65 0.00 ANNUAL REVISED BUDGET 1,000.00 ENDING BALANCE 289.65_____________________________________________________________________________________________________________________________________________________89-890-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0005 AP-190923M 09/23/2019 03 CLOSING COSTS FOR OLD JAIL LAKESHORE TITLE AGEN 530118 092319-CLOSING 1,753.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,753.00 0.0007 AP-191125M 11/14/2019 237 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 _________________________________ TOTAL PERIOD 07 ACTIVITY 4.40 0.0008 AP-191220M 12/16/2019 314 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 1,772.65 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 1,772.65 GRAND TOTAL 372,414.01 0.00 TOTAL DIFFERENCE 372,414.01 0.00
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetGENERAL FUND REVENUESTaxes01-000-40-00-4000 PROPERTY TAXES 175,386 902,168 37,170 76,386 843,095 66,786 22,753 - - - - 2,123,744 2,119,323 100.21%01-000-40-00-4010PROPERTY TAXES-POLICE PENSION91,517 470,757 19,396 39,858 439,932 34,849 11,873 - - - - 1,108,182 1,105,927 100.20%01-000-40-00-4030 MUNICIPAL SALES TAX 211,897 254,112 259,358 286,263 283,951 285,760 276,827 269,341 276,086 262,560 295,837 2,961,993 3,151,800 93.98%01-000-40-00-4035 NON-HOME RULE SALES TAX 157,270 190,346 197,361 219,798 221,795 218,207 214,424 204,750 202,173 202,523 223,922 2,252,570 2,432,700 92.60%01-000-40-00-4040 ELECTRIC UTILITY TAX - 158,190 - - 189,005 - - 192,577 - - 168,553 708,325 710,000 99.76%01-000-40-00-4041 NATURAL GAS UTILITY TAX 24,573 17,974 12,690 11,782 12,412 9,388 14,511 18,605 54,810 31,149 29,252 237,148 250,000 94.86%01-000-40-00-4043 EXCISE TAX 32,276 24,012 23,137 19,316 19,510 22,013 22,611 20,840 22,280 26,777 23,696 256,468 313,625 81.78%01-000-40-00-4044 TELEPHONE UTILITY TAX 695 695 695 695 695 695 695 695 695 695 695 7,645 8,340 91.66%01-000-40-00-4045 CABLE FRANCHISE FEES 63,971 - 11,482 64,747 - 11,477 64,065 - 12,231 64,721 - 292,693 290,000 100.93%01-000-40-00-4050 HOTEL TAX1,549 11,536 8,915 8,921 8,279 7,750 7,870 6,412 5,230 3,770 4,135 74,367 80,000 92.96%01-000-40-00-4055 VIDEO GAMING TAX14,990 12,175 12,553 11,174 11,226 10,380 9,768 11,202 12,199 12,009 8,959 126,634 140,000 90.45%01-000-40-00-4060 AMUSEMENT TAX4,592 3,970 46,423 70,253 54,390 3,593 2,814 3,890 4,995 3,370 2,165 200,455 205,000 97.78%01-000-40-00-4065 ADMISSIONS TAX- - - - - 146,143 - - - - - 146,143 140,000 104.39%01-000-40-00-4070BDD TAX - KENDALL MARKETPLACE13,637 27,998 28,219 30,088 30,809 27,948 26,263 28,773 31,207 31,164 43,247 319,354 382,500 83.49%01-000-40-00-4071 BDD TAX - DOWNTOWN 15,863 3,411 - 25 27 1,081 2,035 4,592 6,301 2,732 1,545 37,611 35,000 107.46%01-000-40-00-4072 BDD TAX - COUNTRYSIDE 562 974 1,046 902 1,033 1,102 657 560 714 996 1,640 10,186 10,000 101.86%01-000-40-00-4075 AUTO RENTAL TAX - 2,462 1,422 1,307 1,571 1,902 1,968 1,579 1,527 1,283 1,684 16,705 14,500 115.21%Intergovernmental01-000-41-00-4100 STATE INCOME TAX 381,988 119,293 178,400 127,883 113,183 201,938 131,796 124,542 174,077 179,347 133,363 1,865,810 1,916,366 97.36%01-000-41-00-4105 LOCAL USE TAX 45,940 52,226 49,432 49,646 50,470 51,886 49,709 55,674 61,127 57,267 78,579 601,956 602,966 99.83%01-000-41-00-4106CANNABIS EXCISE TAX - - - - - - - - - - 1,337 1,337 - 0.00%01-000-41-00-4110ROAD & BRIDGE TAX 10,903 56,778 2,155 4,298 51,602 4,208 1,256 - - - - 131,199 130,000 100.92%01-000-41-00-4120 PERSONAL PROPERTY TAX4,406 - 2,602 312 - 4,529 - 752 2,750 - 547 15,899 17,000 93.52%01-000-41-00-4160 FEDERAL GRANTS- 266 - 1,223 524 923 1,478 - 1,740 2,275 3,015 11,444 15,000 76.29%01-000-41-00-4168STATE GRANT - TRF SIGNAL MAINT- - - - - - - - - - - - 21,000 0.00%01-000-41-00-4170 STATE GRANTS - - - - - 11,639 - - - - - 11,639 - 0.00%01-000-41-00-4182 MISC INTERGOVERNMENTAL - - - 1,861 - - - - - - - 1,861 900 206.72%Licenses & Permits01-000-42-00-4200 LIQUOR LICENSES 450 1,611 4,725 1,277 604 2,135 700 - 1,848 822 22,300 36,471 56,000 65.13%01-000-42-00-4205 OTHER LICENSES & PERMITS 1,777 1,474 10 105 1,004 523 113 1,746 385 711 1,113 8,962 7,500 119.49%01-000-42-00-4210 BUILDING PERMITS 46,319 35,573 54,939 40,056 31,210 40,277 51,998 19,371 18,524 24,199 40,764 403,229 350,000 115.21%Fines & Forfeits01-000-43-00-4310 CIRCUIT COURT FINES 2,839 4,464 3,729 2,869 2,141 3,664 2,765 2,953 2,104 3,725 3,266 34,519 45,000 76.71%01-000-43-00-4320ADMINISTRATIVE ADJUDICATION1,471 2,283 2,514 2,117 1,371 1,635 1,235 901 3,460 3,700 1,135 21,821 30,000 72.74%01-000-43-00-4323 OFFENDER REGISTRATION FEES 35 25 - 35 140 35 - - 10 (85) 60 255 400 63.75%01-000-43-00-4325 POLICE TOWS 2,500 2,000 4,500 2,500 4,000 - - - - - - 15,500 50,000 31.00%Charges for Service01-000-44-00-4400 GARBAGE SURCHARGE 873 209,119 632 209,561 65 211,416 11 212,426 (1,614) 212,606 270 1,055,364 1,224,875 86.16%01-000-44-00-4405 UB COLLECTION FEES 16,638 12,183 323 15,343 12,029 28,547 15,995 7,142 16,964 15,848 17,120 158,133 165,000 95.84%01-000-44-00-4407 LATE PENALTIES - GARBAGE 2 3,833 35 3,673 33 4,815 12 4,889 4 3,647 9 20,950 21,000 99.76%01-000-44-00-4415 ADMINISTRATIVE CHARGEBACK 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 17,070 187,766 204,836 91.67%01-000-44-00-4474 POLICE SPECIAL DETAIL - - - 900 488 - - - 2,715 - 1,512 5,615 500 1122.90%Investment Earnings01-000-45-00-4500 INVESTMENT EARNINGS11,033 10,274 11,953 12,134 11,351 12,156 10,664 8,647 6,643 6,515 4,054 105,423 80,000 131.78%01-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 39,952 - - - 39,952 - 0.00%Reimbursements01-000-46-00-4604 REIMB - ENGINEERING EXPENSES- - - - - - 7,453 - 3,582 - 459 11,494 25,000 45.97%01-000-46-00-4680 REIMB - LIABILITY INSURANCE- - - 3,852 500 - 873 - - - - 5,226 10,000 52.26%01-000-46-00-4685 REIMB - CABLE CONSORTIUM- 12,052 - - - - - 11,647 - - - 23,699 35,000 67.71%01-000-46-00-4690 REIMB - MISCELLANEOUS5,133 257 708 504 817 355 5,390 7,565 276 19,753 558 41,315 5,000 826.29%Miscellaneous01-000-48-00-4820 RENTAL INCOME500 680 455 780 545 775 545 500 635 590 60 6,065 7,000 86.64%UNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 20201
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202001-000-48-00-4850 MISCELLANEOUS INCOME- 18,210 0 (50) - 1 - 1 1,503 (38) 7 19,635 13,000 151.04%Other Financing Uses01-000-49-00-4916TRANSFER FROM CW MUNICIPAL BLDG- - - - - - - - - - - - 47,180 0.00%TOTAL REVENUES: GENERAL FUND 1,358,656 2,640,449 994,046 1,339,463 2,416,873 1,447,603 978,197 1,279,591 944,253 1,191,702 1,131,930 15,722,762 16,469,238 95.47%ADMINISTRATION EXPENDITURESSalaries & Wages01-110-50-00-5001 SALARIES - MAYOR 725 563 825 825 825 825 960 825 725 825 825 8,748 11,000 79.53%01-110-50-00-5002 SALARIES - LIQUOR COMM 83 48 83 83 83 83 83 83 83 83 83 882 1,000 88.18%01-110-50-00-5003 SALARIES - CITY CLERK 500 100 - - - - - - - - - 600 - 0.00%01-110-50-00-5005 SALARIES - ALDERMAN 4,000 3,674 3,800 3,700 4,000 3,900 4,880 3,800 3,100 3,900 4,000 42,754 50,000 85.51%01-110-50-00-5010 SALARIES - ADMINISTRATION 61,298 40,270 39,479 39,479 39,479 39,479 60,727 39,511 41,492 40,848 39,720 481,782 538,095 89.53%Benefits01-110-52-00-5212RETIREMENT PLAN CONTRIBUTION5,560 3,655 3,584 3,584 3,584 3,584 5,509 3,587 4,643 4,571 4,445 46,305 49,367 93.80%01-110-52-00-5214 FICA CONTRIBUTION 4,959 3,297 3,261 3,253 3,276 2,658 3,729 2,447 3,369 3,392 3,311 36,954 41,686 88.65%01-110-52-00-5216 GROUP HEALTH INSURANCE 20,352 11,060 8,186 8,941 8,055 8,087 8,119 8,087 8,401 4,098 8,605 101,991 120,064 84.95%01-110-52-00-5222 GROUP LIFE INSURANCE 43 29 36 36 36 36 36 36 36 36 36 392 428 91.68%01-110-52-00-5223 GROUP DENTAL INSURANCE 1,309 654 654 654 654 654 654 654 654 654 654 7,853 7,853 100.00%01-110-52-00-5224 VISION INSURANCE 188 94 94 94 94 94 94 94 94 94 94 1,130 1,130 99.98%Contractual Services01-110-54-00-5412 TRAINING & CONFERENCES 934 1,782 75 2,099 3,340 615 860 489 709 2,194 (378) 12,719 17,000 74.82%01-110-54-00-5415 TRAVEL & LODGING 1,671 97 58 4,370 1,346 972 2,251 97 - - 1,634 12,496 10,000 124.96%01-110-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 6,518 543 1,420 1,940 - - 10,421 3,767 276.63%01-110-54-00-5426 PUBLISHING & ADVERTISING - - - - 263 - - 1,779 - - 90 2,132 5,000 42.63%01-110-54-00-5430 PRINTING & DUPLICATION - 167 124 109 119 185 270 575 350 582 405 2,887 3,250 88.82%01-110-54-00-5440 TELECOMMUNICATIONS 471 1,036 1,485 1,582 1,582 622 1,609 1,609 1,705 1,699 3,582 16,982 19,000 89.38%01-110-54-00-5448 FILING FEES - - - - 500 - (447) - - - - 53 500 10.60%01-110-54-00-5451 CODIFICATION - - - - - 1,523 - - 500 - - 2,023 5,000 40.46%01-110-54-00-5452 POSTAGE & SHIPPING 57 87 98 78 147 121 531 151 482 106 133 1,991 3,000 66.37%01-110-54-00-5460 DUES & SUBSCRIPTIONS 8,778 358 - 1,739 2,303 - 65 1,670 230 5,300 - 20,442 20,000 102.21%01-110-54-00-5462 PROFESSIONAL SERVICES100 201 685 714 327 674 475 1,300 831 232 264 5,802 12,000 48.35%01-110-54-00-5480 UTILITIES- 517 1,925 2,420 1,562 1,282 2,237 2,804 3,634 3,661 1,818 21,859 20,787 105.16%01-110-54-00-5485 RENTAL & LEASE PURCHASE113 112 226 113 564 226 226 226 226 226 226 2,484 3,000 82.79%01-110-54-00-5488 OFFICE CLEANING- 1,005 1,005 1,005 1,005 1,005 - 460 1,005 - 2,978 9,468 11,757 80.53%Supplies01-110-56-00-5610 OFFICE SUPPLIES140 1,118 447 359 495 1,176 720 279 908 483 592 6,717 10,000 67.17%TOTAL EXPENDITURES: ADMINISTRATION111,281 69,926 66,132 75,236 73,640 74,318 94,131 71,982 75,119 72,984 73,118 857,865 964,684 88.93%FINANCE EXPENDITURESSalaries & Wages01-120-50-00-5010 SALARIES & WAGES31,356 26,476 21,731 21,907 21,907 22,907 32,745 21,907 21,807 21,907 21,907 266,557 301,372 88.45%Benefits01-120-52-00-5212RETIREMENT PLAN CONTRIBUTION2,854 2,412 1,982 1,998 1,998 2,089 2,980 1,998 2,453 2,464 2,464 25,694 27,649 92.93%01-120-52-00-5214 FICA CONTRIBUTION 2,353 1,984 1,621 1,635 1,635 1,711 2,280 931 1,625 1,633 1,633 19,042 21,574 88.26%01-120-52-00-5216 GROUP HEALTH INSURANCE 8,601 3,777 4,195 4,064 4,881 4,027 4,023 4,182 4,327 6,185 5,535 53,798 64,351 83.60%01-120-52-00-5222 GROUP LIFE INSURANCE 20 20 20 20 20 20 20 20 20 20 20 225 246 91.62%01-120-52-00-5223 DENTAL INSURANCE 865 433 433 433 433 433 433 433 433 433 433 5,192 5,192 100.01%01-120-52-00-5224 VISION INSURANCE 118 59 59 59 59 59 59 59 59 59 59 707 707 100.06%Contractual Services01-120-54-00-5412 TRAINING & CONFERENCES 507 - - - - 325 120 32 - 305 25 1,314 3,500 37.54%01-120-54-00-5414 AUDITING SERVICES - - - - 28,600 - 2,000 - - - - 30,600 34,100 89.74%01-120-54-00-5415 TRAVEL & LODGING83 47 - 26 - - - - - - - 156 1,000 15.63%01-120-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 480 1,420 - - - 1,900 1,900 100.00%01-120-54-00-5430 PRINTING & DUPLICATING 76 56 502 36 40 457 252 56 368 82 409 2,334 3,500 66.68%01-120-54-00-5440 TELECOMMUNICATIONS - 68 68 68 68 68 68 68 68 68 68 675 1,250 54.00%2
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202001-120-54-00-5452 POSTAGE & SHIPPING93 68 5 166 79 86 89 140 74 69 74 942 1,200 78.49%01-120-54-00-5460 DUES & SUBSCRIPTIONS90 272 - 289 - - - - 170 - 250 1,071 1,500 71.40%01-120-54-00-5462 PROFESSIONAL SERVICES1,696 1,689 1,884 2,506 6,363 7,705 2,576 3,208 20,038 1,804 1,682 51,150 60,000 85.25%01-120-54-00-5485 RENTAL & LEASE PURCHASE150 37 113 150 264 113 187 113 113 113 113 1,466 2,200 66.65%Supplies01-120-56-00-5610 OFFICE SUPPLIES- 47 - - - 248 - 21 344 478 242 1,381 2,500 55.22%TOTAL EXPENDITURES: FINANCE48,863 37,446 32,614 33,357 66,345 40,248 48,312 34,588 51,898 35,618 34,913 464,204 533,741 86.97%POLICE EXPENDITURESSalaries & Wages01-210-50-00-5008 SALARIES - POLICE OFFICERS197,516 154,254 163,080 128,295 134,835 139,503 221,235 137,706 156,486 142,869 145,148 1,720,927 1,924,224 89.43%01-210-50-00-5011SALARIES - POLICE CHIEF & DEPUTIES49,255 31,564 28,803 30,553 118,413 28,546 42,819 28,546 28,546 28,546 28,546 444,134 396,159 112.11%01-210-50-00-5012 SALARIES - SERGEANTS 59,662 43,434 39,050 40,888 40,006 38,097 61,662 40,573 41,526 40,765 41,528 487,192 644,811 75.56%01-210-50-00-5013 SALARIES - POLICE CLERKS 18,878 12,846 12,846 12,913 12,958 12,958 19,438 12,958 12,958 12,958 12,958 154,671 175,554 88.10%01-210-50-00-5014 SALARIES - CROSSING GUARD 4,892 508 - 626 3,099 3,464 4,873 3,035 1,609 3,300 3,273 28,678 27,500 104.28%01-210-50-00-5015 PART-TIME SALARIES 6,741 5,188 4,333 4,946 6,523 4,234 8,235 4,918 4,757 4,662 5,883 60,418 70,000 86.31%01-210-50-00-5020 OVERTIME 10,944 10,963 19,011 10,081 9,380 4,039 5,868 13,365 9,039 6,081 3,060 101,830 111,000 91.74%Benefits01-210-52-00-5212RETIREMENT PLAN CONTRIBUTION1,710 1,164 1,164 1,170 1,174 1,174 1,761 1,174 1,447 1,447 1,447 14,833 16,106 92.10%01-210-52-00-5213 EMPLOYER CONTRI - POL PEN 91,517 470,757 19,396 39,858 439,932 34,849 15,175 - - - - 1,111,484 1,111,484 100.00%01-210-52-00-5214 FICA CONTRIBUTION 25,763 18,985 19,651 16,761 21,308 16,870 27,002 17,655 18,926 17,499 17,705 218,125 245,951 88.69%01-210-52-00-5216 GROUP HEALTH INSURANCE 105,320 47,144 55,304 43,178 46,778 49,562 46,679 50,324 54,038 49,677 56,146 604,150 741,025 81.53%01-210-52-00-5222 GROUP LIFE INSURANCE 202 246 209 207 290 118 213 213 213 213 218 2,339 2,748 85.12%01-210-52-00-5223 DENTAL INSURANCE 7,452 3,365 4,033 3,120 3,547 3,985 3,659 3,659 3,659 3,734 3,697 43,911 50,770 86.49%01-210-52-00-5224 VISION INSURANCE 1,042 472 581 445 498 564 518 518 518 531 524 6,212 7,080 87.74%Contractual Services01-210-54-00-5410 TUITION REIMBURSEMENT - 1,206 - - - 2,412 1,206 (244) 2,658 1,206 - 8,444 17,272 48.89%01-210-54-00-5411 POLICE COMMISSION405 1,185 406 - 515 531 395 140 395 429 - 4,401 4,000 110.03%01-210-54-00-5412 TRAINING & CONFERENCES249 1,420 1,239 1,645 4,423 1,660 455 (497) 2,170 1,929 2,504 17,197 21,000 81.89%01-210-54-00-5415 TRAVEL & LODGING- 57 - - - 57 460 458 852 123 279 2,286 10,000 22.86%01-210-54-00-5422VEHICLE & EQUIPMENT CHARGEBACK2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 22,029 24,032 91.67%01-210-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 1,189 - - 14,525 - - 15,714 16,000 98.21%01-210-54-00-5430 PRINTING & DUPLICATING - 465 1,928 532 251 129 163 569 76 440 86 4,639 4,500 103.08%01-210-54-00-5440 TELECOMMUNICATIONS - 2,062 3,711 3,829 3,861 2,079 3,763 3,752 3,860 3,881 6,516 37,314 40,000 93.28%01-210-54-00-5452 POSTAGE & SHIPPING 46 76 57 114 82 93 95 75 163 80 87 969 1,600 60.53%01-210-54-00-5460 DUES & SUBSCRIPTIONS 8,278 615 - 340 1,360 - 585 770 895 50 - 12,893 9,000 143.26%01-210-54-00-5462 PROFESSIONAL SERVICES 14,562 - 652 376 675 660 369 497 663 638 2,796 21,887 30,000 72.96%01-210-54-00-5467 ADJUDICATION SERVICES - 5,610 322 1,951 520 (103) 2,039 448 1,611 1,321 1,589 15,308 20,000 76.54%01-210-54-00-5469 NEW WORLD LIVE SCAN - - - - - - - - - - - - 2,000 0.00%01-210-54-00-5472 KENDALL CO. JUVE PROBATION- - - - - - - - - - - - 4,000 0.00%01-210-54-00-5485 RENTAL & LEASE PURCHASE299 207 506 394 1,030 411 411 411 411 411 411 4,906 7,150 68.61%01-210-54-00-5488 OFFICE CLEANING- 1,005 1,005 1,005 1,005 1,005 - 460 1,005 - 2,978 9,468 11,758 80.52%01-210-54-00-5495OUTSIDE REPAIR & MAINTENANCE1,931 3,675 4,063 4,484 3,951 5,190 5,755 807 2,898 3,678 1,797 38,231 60,000 63.72%Supplies01-210-56-00-5600 WEARING APPAREL 2,128 4,041 6,086 1,717 3,516 2,201 292 - 1,446 1,175 86 22,687 15,000 151.25%01-210-56-00-5610 OFFICE SUPPLIES - 127 203 35 268 36 206 82 172 107 772 2,009 4,500 44.64%01-210-56-00-5620 OPERATING SUPPLIES 40 537 906 477 356 364 1,273 468 272 771 211 5,676 16,000 35.47%01-210-56-00-5635COMPUTER EQUIPMENT & SOFTWARE3,441 - 105 - - 90 105 1,878 (2,851) - - 2,768 12,500 22.14%01-210-56-00-5650 COMMUNITY SERVICES - - 1,310 - 50 49 - - - - - 1,409 1,500 93.93%01-210-56-00-5690 BALLISTIC VESTS - - - 2,103 - - - - 1,343 - - 3,446 6,000 57.43%01-210-56-00-5695 GASOLINE 4,488 34 3,975 5,820 4,490 4,670 3,736 4,482 5,069 6,124 4,909 47,797 63,000 75.87%01-210-56-00-5696 AMMUNITION - - - - - - - - - - - - 10,000 0.00%TOTAL EXPENDITURES: POLICE 618,764 825,216 395,936 359,867 867,096 362,688 482,447 331,201 373,359 336,649 347,158 5,300,380 5,935,224 89.30%3
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020COMMUNITY DEVELOPMENT EXPENDITURESSalaries & Wages01-220-50-00-5010 SALARIES & WAGES 57,405 41,735 38,102 38,102 38,102 38,102 57,208 38,239 38,989 40,179 38,239 464,401 520,619 89.20%Benefits01-220-52-00-5212RETIREMENT PLAN CONTRIBUTION5,228 3,808 3,479 3,479 3,479 3,479 5,210 3,492 4,389 4,521 4,305 44,870 47,763 93.94%01-220-52-00-5214 FICA CONTRIBUTION 4,288 3,095 2,817 2,817 2,817 2,817 4,256 2,828 2,885 2,976 2,828 34,425 38,317 89.84%01-220-52-00-5216 GROUP HEALTH INSURANCE 14,880 7,126 7,475 7,903 6,875 6,127 8,406 6,479 9,518 11,034 7,935 93,758 90,471 103.63%01-220-52-00-5222 GROUP LIFE INSURANCE 36 56 21 37 37 37 37 37 35 35 35 404 429 94.16%01-220-52-00-5223 DENTAL INSURANCE 1,175 588 588 588 588 588 588 588 588 588 588 7,052 6,603 106.80%01-220-52-00-5224 VISION INSURANCE 180 90 90 90 90 90 90 90 90 90 90 1,081 1,009 107.11%Contractual Services01-220-54-00-5412 TRAINING & CONFERENCES 350 410 - - 350 - 195 - 900 - - 2,205 7,300 30.21%01-220-54-00-5415 TRAVEL & LODGING - - - 35 - - - - 5 - - 40 6,500 0.61%01-220-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 1,695 1,420 - - - 3,115 4,120 75.61%01-220-54-00-5426 PUBLISHING & ADVERTISING - - 691 161 147 - 247 492 - 137 294 2,170 2,500 86.80%01-220-54-00-5430 PRINTING & DUPLICATING - 121 128 117 102 93 103 106 49 87 87 993 1,500 66.22%01-220-54-00-5440 TELECOMMUNICATIONS - 79 263 358 217 264 267 267 267 266 266 2,512 4,000 62.79%01-220-54-00-5452 POSTAGE & SHIPPING 53 28 33 55 26 19 25 27 22 23 12 323 1,000 32.26%01-220-54-00-5459 INSPECTIONS - - 3,610 10,500 - 6,120 5,120 5,200 2,680 4,900 - 38,130 125,000 30.50%01-220-54-00-5460 DUES & SUBSCRIPTIONS 1,089 135 - 526 793 - - 555 - 39 100 3,237 2,750 117.72%01-220-54-00-5462 PROFESSIONAL SERVICES - 74 12,793 167 77 14,872 303 3,060 1,102 788 6,271 39,505 62,500 63.21%01-220-54-00-5485 RENTAL & LEASE PURCHASE189 - 189 189 378 189 189 189 189 189 189 2,080 3,150 66.03%Supplies01-220-56-00-5610 OFFICE SUPPLIES- 46 24 112 - - - 115 350 46 121 815 1,500 54.31%01-220-56-00-5620 OPERATING SUPPLIES- 653 1,024 - 448 66 591 1 465 462 (170) 3,540 3,750 94.39%01-220-56-00-5695 GASOLINE- 380 308 523 356 319 355 319 176 272 240 3,249 2,405 135.10%TOTAL EXPENDITURES: COMMUNITY DEVELP84,873 58,422 71,636 65,760 54,882 73,183 84,884 63,504 62,698 66,632 61,429 747,904 933,186 80.15%PUBLIC WORKS - STREET OPERATIONS EXPENDITURESSalaries & Wages01-410-50-00-5010 SALARIES & WAGES39,406 27,822 25,953 26,066 26,066 26,066 42,161 31,662 31,662 31,662 32,329 340,857 402,421 84.70%01-410-50-00-5015 PART-TIME SALARIES240 1,995 2,880 2,000 160 - - - 2,055 1,050 1,045 11,425 12,500 91.40%01-410-50-00-5020 OVERTIME- 819 - - 25 236 6,976 1,128 6,154 5,841 343 21,521 20,000 107.61%Benefits01-410-52-00-5212RETIREMENT PLAN CONTRIBUTION3,570 2,595 2,351 2,362 2,364 2,383 4,452 2,971 4,224 4,189 3,649 35,110 38,754 90.60%01-410-52-00-5214 FICA CONTRIBUTION 2,917 2,236 2,099 2,040 1,901 1,905 3,639 2,373 2,904 2,804 2,454 27,270 31,902 85.48%01-410-52-00-5216 GROUP HEALTH INSURANCE 14,862 8,341 7,637 8,895 8,001 9,863 9,639 10,583 9,794 11,973 9,701 109,288 114,394 95.54%01-410-52-00-5222 GROUP LIFE INSURANCE 25 30 30 30 30 30 36 36 36 36 36 355 437 81.19%01-410-52-00-5223 DENTAL INSURANCE 1,003 539 539 539 539 683 683 683 683 683 683 7,256 7,363 98.54%01-410-52-00-5224 VISION INSURNCE 140 76 76 76 76 96 96 96 96 96 96 1,018 1,065 95.63%Contractual Services01-410-54-00-5412 TRAINING & CONFERENCES 2,147 276 - - - - - - - - - 2,423 3,000 80.77%01-410-54-00-5415 TRAVEL & LODGING - 127 - - - 622 - - - - - 750 2,000 37.48%01-410-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - - - 7,395 - - 7,395 6,733 109.83%01-410-54-00-5435 TRAFFIC SIGNAL MAINTENANCE - 54 8,407 7,242 1,302 420 300 703 53 1,979 3,193 23,654 30,000 78.85%01-410-54-00-5440 TELECOMMUNICATIONS - 274 258 274 274 274 274 274 274 366 274 2,815 3,750 75.06%01-410-54-00-5455 MOSQUITO CONTROL - - - - - - - - - - - - 6,281 0.00%01-410-54-00-5458 TREE & STUMP MAINTENANCE - - - - 375 - 4,237 - - 479 - 5,091 15,000 33.94%01-410-54-00-5462 PROFESSIONAL SERVICES - 1 100 411 496 1,971 736 332 86 1,161 1,417 6,713 6,825 98.36%01-410-54-00-5483 JULIE SERVICES - - - - - - - - - 1,557 - 1,557 3,000 51.91%01-410-54-00-5485 RENTAL & LEASE PURCHASE 675 77 171 200 1,020 695 227 221 133 142 240 3,802 6,000 63.37%01-410-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 192 598 1,051 56.87%01-410-54-00-5490VEHICLE MAINTENANCE SERVICES45 7,095 3,282 576 139 1,365 8,262 22,619 11,567 5,380 3,291 63,622 65,000 97.88%4
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Supplies01-410-56-00-5600 WEARING APPAREL - - - 231 - - 838 416 256 278 79 2,098 5,100 41.15%01-410-56-00-5618 SALT & CALCIUM CHLORIDE - - - - - - - - - 11,359 51,591 62,951 157,500 39.97%01-410-56-00-5619 SIGNS - - - - - - - - - - - - - 0.00%01-410-56-00-5620 OPERATING SUPPLIES 151 58 89 390 577 759 279 323 4,264 311 129 7,329 23,000 31.87%01-410-56-00-5628VEHICLE MAINTENANCE SUPPLIES- 2,241 1,354 1,413 787 1,495 2,707 2,610 5,332 3,177 4,720 25,836 30,000 86.12%01-410-56-00-5630 SMALL TOOLS & EQUIPMENT - - 625 278 190 - 203 789 8,322 2,959 84 13,450 18,500 72.70%01-410-56-00-5640 REPAIR & MAINTENANCE 129 - 713 3,195 796 647 1,053 77 2,403 534 73 9,620 25,000 38.48%01-410-56-00-5642 STREET LIGHTING SUPLIES - 582 941 4,611 974 18,279 1,857 399 1,729 - 15,607 44,979 17,000 264.58%01-410-56-00-5665 JULIE SUPPLIES - - - - - - - - - 381 - 381 1,200 31.76%01-410-56-00-5695 GASOLINE 91 1,322 1,691 1,622 858 1,928 1,335 1,721 1,800 2,432 2,572 17,372 24,043 72.25%TOTAL EXP: PUBLIC WORKS - STREET OPS 65,400 56,627 59,260 62,514 47,017 69,781 89,989 80,032 101,288 90,828 133,800 856,536 1,078,819 79.40%PW - HEALTH & SANITATION EXPENDITURESContractual Services01-540-54-00-5441 GARBAGE SRVCS - SR SUBSIDY- - 2,884 2,875 2,892 2,846 2,934 2,948 - 5,897 2,985 26,261 34,081 77.05%01-540-54-00-5442 GARBAGE SERVICES- - 101,576 102,342 102,467 102,805 103,098 103,465 - 207,500 104,064 927,319 1,200,294 77.26%01-540-54-00-5443 LEAF PICKUP- - 600 - - - - - 5,040 - - 5,640 7,000 80.57%TOTAL EXPENDITURES: HEALTH & SANITATION- - 105,060 105,217 105,359 105,651 106,032 106,414 5,040 213,397 107,050 959,220 1,241,375 77.27%ADMINISTRATIVE SERVICES EXPENDITURESSalaries & Wages01-640-50-00-5092 POLICE SPECIAL DETAIL WAGES- - - 900 488 - - - 2,715 - 1,512 5,615 500 1122.90%Benefits01-640-52-00-5230 UNEMPLOYMENT INSURANCE2,766 - 2,766 - - 2,766 - - - 5,351 - 13,650 15,000 91.00%01-640-52-00-5231 LIABILITY INSURANCE69,817 24,635 26,085 23,585 23,585 23,586 14,241 12,796 54,107 24,254 12,792 309,482 316,374 97.82%01-640-52-00-5240 RETIREES - GROUP HEALTH INS9,382 5,230 183 3,777 9,605 (632) 734 3,767 3,262 1,710 6,619 43,637 47,796 91.30%01-640-52-00-5241 RETIREES - DENTAL INSURANCE911 187 37 32 331 182 32 182 182 103 187 2,366 449 526.86%01-640-52-00-5242 RETIREES - VISION INSURANCE162 18 7 1 52 26 1 26 26 15 32 366 80 457.64%Contractual Services01-640-54-00-5418 PURCHASING SERVICES- - - - - 13,851 - 12,934 - - 13,779 40,565 50,465 80.38%01-640-54-00-5423 IDOR ADMINISTRATION FEE3,113 3,652 3,672 4,023 4,074 4,005 3,929 1,515 1,518 3,880 4,423 37,805 44,689 84.60%01-640-54-00-5427GC HOUSING RENTAL ASSISTANCE1,268 634 634 634 634 634 634 769 769 769 769 8,148 7,800 104.46%01-640-54-00-5428 UTILITY TAX REBATE - - - 4,430 - - - - - - - 4,430 14,375 30.82%01-640-54-00-5432FACILITY MANAGEMENT SERVICES- - - - - 15,399 - 13,186 - - 15,546 44,131 57,425 76.85%01-640-54-00-5439 AMUSEMENT TAX REBATE - 3,970 4,604 - 4,895 2,815 2,444 2,717 3,882 4,894 3,214 33,435 60,000 55.73%01-640-54-00-5449 KENCOM 11,653 1,146 1,146 1,146 1,146 1,146 1,146 1,153 81,558 1,153 1,153 103,545 126,109 82.11%01-640-54-00-5450 INFORMATION TECH SRVCS 16,651 13,897 19,336 31,810 1,281 16,560 11,369 20,639 38,863 3,732 17,600 191,738 255,000 75.19%01-640-54-00-5456 CORPORATE COUNSEL - 8,744 4,730 6,499 6,440 6,730 5,106 - 10,003 5,451 10,350 64,051 115,000 55.70%01-640-54-00-5461 LITIGATION COUNSEL - - 6,699 8,069 5,668 4,652 3,316 698 3,535 10,368 8,769 51,773 120,000 43.14%01-640-54-00-5462 PROFESSIONAL SERVICES 523 3,500 - - - 14,631 - 14,000 - - 7,418 40,072 38,670 103.63%01-640-54-00-5463 SPECIAL COUNSEL - - 13,858 - 360 5,424 - 15,395 1,077 - 2,103 38,217 25,000 152.87%01-640-54-00-5465 ENGINEERING SERVICES- - 22,124 28,518 24,199 22,201 18,929 21,502 24,458 14,486 9,358 185,774 390,000 47.63%01-640-54-00-5473 KENDALL AREA TRANSIT- - - - - - - 11,775 - - - 11,775 25,000 47.10%01-640-54-00-5475 CABLE CONSORTIUM FEE- - - - - 25,899 - 25,627 - - - 51,526 96,000 53.67%01-640-54-00-5481 HOTEL TAX REBATES- 29 7,128 8,023 8,029 7,451 6,975 7,083 - 5,771 8,100 58,590 72,000 81.37%01-640-54-00-5486 ECONOMIC DEVELOPMENT1,370 9,425 15,950 9,425 9,425 26,100 9,425 9,425 19,575 9,425 9,425 128,970 146,000 88.34%01-640-54-00-5491 CITY PROPERTY TAX REBATE- - - - 1,258 - - - - - - 1,258 1,500 83.88%01-640-54-00-5492 SALES TAX REBATES- - - - 223,284 - - 844 215,363 - 995 440,486 912,900 48.25%01-640-54-00-5493 BUSINESS DISTRICT REBATES29,461 31,735 28,680 30,395 31,231 29,529 28,375 33,245 37,458 34,194 45,504 359,808 421,088 85.45%01-640-54-00-5494 ADMISSIONS TAX REBATE- - - - - 146,143 - - - - - 146,143 140,000 104.39%01-640-54-00-5499 BAD DEBT- - - - - - - - - - - - 2,000 0.00%Supplies01-640-56-00-5625 REIMBURSEABLE REPAIRS- - - - - - - 5,226 - - - 5,226 15,000 34.84%5
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Other Financing Uses01-640-99-00-9923TRANSFER TO CITY-WIDE CAPITAL- - - - - 125,000 20,833 20,833 20,833 20,833 20,833 229,167 250,000 91.67%01-640-99-00-9942 TRANSFER TO DEBT SERVICE 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 292,764 319,379 91.67%01-640-99-00-9952 TRANSFER TO SEWER 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 527,111 575,030 91.67%01-640-99-00-9979TRANSFER TO PARKS & RECREATION117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 1,293,406 1,410,988 91.67%01-640-99-00-9982 TRANSFER TO LIBRARY OPS 5,588 1,830 2,002 1,830 1,830 2,002 911 993 4,197 2,214 992 24,388 25,003 97.54%TOTAL EXPENDITURES: ADMIN SERVICES 344,782 300,747 351,756 355,212 549,931 688,216 320,517 428,449 715,497 340,720 393,590 4,789,417 6,096,620 78.56%TOTAL FUND REVENUES 1,358,656 2,640,449 994,046 1,339,463 2,416,873 1,447,603 978,197 1,279,591 944,253 1,191,702 1,131,930 15,722,762 16,469,238 95.47%TOTAL FUND EXPENDITURES 1,273,965 1,348,383 1,082,394 1,057,163 1,764,270 1,414,085 1,226,312 1,116,169 1,384,899 1,156,828 1,151,057 13,975,525 16,783,649 83.27%FUND SURPLUS (DEFICIT) 84,691 1,292,066 (88,349) 282,300 652,603 33,518 (248,115) 163,422 (440,646) 34,873 (19,127) 1,747,236 (314,411) FOX HILL SSA REVENUES11-000-40-00-4000 PROPERTY TAXES 1,142 5,793 200 370 5,526 351 0 - - - - 13,382 13,381 100.01%TOTAL REVENUES: FOX HILL SSA 1,142 5,793 200 370 5,526 351 0 - - - - 13,382 13,381 100.01%FOX HILL SSA EXPENDITURES11-111-54-00-5462 PROFESSIONAL SERVICES- - 496 298 - - - - 1,488 - - 2,282 2,977 76.66%11-111-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 1,861 905 603 302 380 2,110 460 - 402 7,022 28,000 25.08%TOTAL FUND REVENUES 1,142 5,793 200 370 5,526 351 0 - - - - 13,382 13,381 100.01%TOTAL FUND EXPENDITURES - - 2,357 1,202 603 302 380 2,110 1,948 - 402 9,304 30,977 30.04%FUND SURPLUS (DEFICIT) 1,142 5,793 (2,158) (832) 4,923 50 (380) (2,110) (1,948) - (402) 4,077 (17,596) SUNFLOWER SSA REVENUES12-000-40-00-4000 PROPERTY TAXES 1,284 7,632 294 322 7,892 561 155 - - - - 18,140 18,140 100.00%TOTAL REVENUES: SUNFLOWER SSA 1,284 7,632 294 322 7,892 561 155 - - - - 18,140 18,140 100.00%SUNFLOWER SSA EXPENDITURES12-112-54-00-5416POND MAINTENANCE - - - - - - - - - - - - 5,000 0.00%12-112-54-00-5462 PROFESSIONAL SERVICES- - 496 204 - - - - 1,488 - - 2,189 2,977 73.52%12-112-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 3,779 855 570 285 402 - - 2,184 380 8,455 6,000 140.92%TOTAL FUND REVENUES 1,284 7,632 294 322 7,892 561 155 - - - - 18,140 18,140 100.00%TOTAL FUND EXPENDITURES - - 4,275 1,059 570 285 402 - 1,488 2,184 380 10,644 13,977 76.15%FUND SURPLUS (DEFICIT) 1,284 7,632 (3,981) (737) 7,322 276 (247) - (1,488) (2,184) (380) 7,496 4,163 MOTOR FUEL TAX REVENUES15-000-41-00-4112 MOTOR FUEL TAX 42,104 38,586 35,176 43,968 63,256 68,709 63,044 70,990 83,501 59,169 58,533 627,036 484,084 129.53%15-000-41-00-4113 MFT HIGH GROWTH - - - - - - - 11,825 - - - 11,825 41,000 28.84%15-000-45-00-4500 INVESTMENT EARNINGS 1,360 1,366 1,067 522 588 692 711 717 707 718 595 9,043 9,820 92.09%15-000-46-00-4690 REIMB - MISCELLANOUS - - - 26,717 - - - - - - - 26,717 - 0.00%TOTAL REVENUES: MOTOR FUEL TAX43,464 39,952 36,243 71,208 63,844 69,401 63,756 83,532 84,207 59,887 59,128 674,621 534,904 126.12%MOTOR FUEL TAX EXPENDITURESCapital Outlay15-155-56-00-5618 SALT - - - - - - - 66,927 - 31,003 - 97,930 97,930 100.00%15-155-60-00-6004 BASELINE ROAD BRIDGE REPAIRS- - - - - - - - - - - - 25,000 0.00%6
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202015-155-60-00-6025ROADS TO BETTER ROADS PROGRAM- - 467,703 - - - - 75,866 - - - 543,569 620,000 87.67%15-155-60-00-6079 ROUTE 47 EXPANSION 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 6,149 67,638 73,788 91.67%TOTAL FUND REVENUES 43,464 39,952 36,243 71,208 63,844 69,401 63,756 83,532 84,207 59,887 59,128 674,621 534,904 126.12%TOTAL FUND EXPENDITURES 6,149 6,149 473,852 6,149 6,149 6,149 6,149 148,942 6,149 37,152 6,149 709,137 816,718 86.83%FUND SURPLUS (DEFICIT) 37,315 33,803 (437,609) 65,059 57,695 63,252 57,607 (65,410) 78,058 22,735 52,979 (34,516) (281,814) CITY-WIDE CAPITAL REVENUESLicenses & Permits23-000-42-00-4214 DEVELOPMENT FEES - 835 1,335 - 500 1,250 774 1,000 100 - 500 6,294 5,000 125.88%23-000-42-00-4218DEVELOPMENT FEES - MUNICIPAL BLDG3,259 4,268 6,177 2,059 1,050 3,668 3,034 750 300 1,050 5,427 31,042 47,180 65.79%23-000-42-00-4222 ROAD CONTRIBUTION FEE 20,000 6,000 14,000 6,000 6,000 14,000 12,000 2,000 2,000 6,000 22,000 110,000 100,000 110.00%Charges for Service23-000-44-00-4440 ROAD INFRASTRUCTURE FEES 610 126,579 718 128,276 81 129,716 105 129,054 257 130,205 480 646,082 746,500 86.55%Investment Earnings23-000-45-00-4500 INVESTMENT EARNINGS 1,308 1,272 1,313 1,198 1,065 1,277 787 771 765 719 228 10,703 7,500 142.70%23-000-45-00-4550 GAIN ON INVESTMENT - - - - - - - 50,351 - - - 50,351 - 0.00%Reimbursements23-000-46-00-4614 REIMB - BLACKBERRY WOODS - - 2,350 - - - - - - - - 2,350 7,549 31.13%23-000-46-00-4612 MILL ROAD IMPROVEMENTS - - 2,359 10,712 199 392 - - 415 - - 14,077 2,926,300 0.48%23-000-46-00-4621 REIMB - FOUNTAIN VILLAGE- - 93 - - 1,710 165 - - - - 1,968 - 0.00%23-000-46-00-4636 REIMB. - RAINTREE VILLAGE- - - - - - - - 2,165 - - 2,165 - 0.00%23-000-46-00-4690 REIMB - MISCELLANEOUS- 83,700 - - - - 6,255 - - - - 89,955 80,000 112.44%Other Financing Sources23-000-48-00-4845 DONATIONS- - - - - - - - - - - - 2,000 0.00%23-000-49-00-4901 TRANSFER FROM GENERAL- - - - - 125,000 20,833 20,833 20,833 20,833 20,833 229,167 250,000 91.67%TOTAL REVENUES: CITY-WIDE CAPITAL 25,177 222,653 28,344 148,246 8,895 277,014 43,953 204,759 26,836 158,808 49,468 1,194,153 4,172,029 28.62%CW MUNICIPAL BUILDING EXPENDITURES23-216-54-00-5446PROPERTY & BLDG MAINT SERVICES576 8,966 4,053 26,013 5,590 28,106 4,561 4,017 835 1,887 916 85,519 225,000 38.01%23-216-54-00-5482 STREET LIGHTING - 6,888 3,748 7,262 7,410 7,916 8,281 11,690 4,234 10,827 9,251 77,508 102,820 75.38%23-216-56-00-5619 SIGNS- - - 763 - 448 - 116 4,169 - 1,586 7,082 15,000 47.22%23-216-56-00-5626 HANGING BASKETS- - 427 - - - - - - - - 427 2,000 21.35%23-216-56-00-5656PROPERTY & BLDG MAINT SUPPLIES180 5 3 1,778 3,764 1,270 - - 251 1,792 29 9,072 25,000 36.29%23-216-60-00-6003 MATERIALS STORAGE BUILDING - - - - - 62,239 121,641 41,579 - 1,064 9,140 235,663 250,000 94.27%23-216-60-00-6020 BUILDINGS & STRUCTURES - - - - - - - - - - - - 41,250 0.00%23-216-99-00-9901 TRANSFER TO GENERAL - - - - - - - - - - - - 47,180 0.00%CITY-WIDE CAPITAL EXPENDITURESContractual Services23-230-54-00-5462 PROFESSIONAL SERVICES - - - - - - - - - - - - 5,000 0.00%23-230-54-00-5498 PAYING AGENT FEES - - - 475 - - - - - - - 475 475 100.00%23-230-54-00-5499 BAD DEBT - - - - - - - - - - - - 1,500 0.00%23-230-60-00-6032 ASPHALT PATCHING - 1,680 553 3,444 - - 3,756 - 2,084 - 1,722 13,239 35,000 37.82%23-230-56-00-5637SIDEWALK CONSTRUCTION SUPPLIES- - - 932 - 1,365 415 - - - - 2,712 5,000 54.24%Capital Outlay23-230-60-00-6012 MILL ROAD IMPROVEMENTS - - 2,359 27,712 392 145,957 - 8,330 415 1,384 - 186,548 3,105,000 6.01%23-230-60-00-6014BLACKBERRY WOODS SUBDIVISION- - 2,350 - - - - - - - - 2,350 7,549 31.13%23-230-60-00-6016US34 (CENTER/ELDAMAIN RD) PROJECT- - 62,924 33,644 - - - - - - - 96,568 110,226 87.61%23-230-60-00-6021PAVILION RD STREAMBANK STABILIZATION- - - - - - - - - - - 137,500 0.00%23-230-60-00-6023 FOUNTAIN VILLAGE SUBDIVISION - - 93 - - 1,710 165 - - - - 1,968 - 0.00%23-230-60-00-6025ROAD TO BETTER ROADS PROGRAM- - 14,148 32,933 9,858 224 1,471 3,902 8,780 4,092 14,368 89,775 80,000 112.22%23-230-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 594 201 335 - 19,031 618 150 - - 20,929 22,500 93.02%23-230-60-00-6036RAINTREE VILLAGE IMPROVEMENTS- - - - - - - - 2,165 - - 2,165 - 0.00%7
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202023-230-60-00-6058RT71 ( RT47/ORCHARD RD) PROJECT- - - - - - - - - - - - 30,333 0.00%23-230-60-00-6059US RT34(IL47/ORCHARD RD)PROJECT- - 16,722 2,120 - - - - - - - 18,842 90,981 20.71%23-230-60-00-6094 ITEP KENNEDY RD BIKE TRAIL - - - - - - - - - - - - 32,000 0.00%2014A Bond- 23-230-78-00-8000 PRINCIPAL PAYMENT - - - - - - 195,000 - - - 195,000 195,000 100.00%23-230-78-00-8050 INTEREST PAYMENT 63,594 - - - - - 63,594 - - - 127,188 127,188 100.00%23-230-99-00-9951 TRANSFER TO WATER 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 96,164 104,906 91.67%TOTAL FUND REVENUES 25,177 222,653 28,344 148,246 8,895 277,014 43,953 204,759 26,836 158,808 49,468 1,194,153 4,172,029 28.62%TOTAL FUND EXPENDITURES 73,091 26,281 116,717 146,019 36,091 257,975 426,656 78,994 31,826 29,788 45,754 1,269,193 4,798,408 26.45%FUND SURPLUS (DEFICIT) (47,914) 196,372 (88,373) 2,227 (27,196) 19,039 (382,703) 125,765 (4,989) 129,020 3,714 (75,040) (626,379) VEHICLE & EQUIPMENT REVENUELicenses & Permits25-000-42-00-4215DEVELOPMENT FEES - POLICE CAPITAL6,300 3,000 4,800 1,650 57,900 2,400 4,350 1,500 900 3,000 4,200 90,000 30,000 300.00%25-000-42-00-4217 WEATHER WARNING SIREN FEES 109 217 326 54 - 54 217 163 54 217 72 1,482 - 0.00%25-000-42-00-4218 ENGINEERING CAPITAL FEE 1,900 1,000 1,600 400 1,000 800 1,450 400 300 1,000 1,300 11,150 10,000 111.50%25-000-42-00-4219DEVELOPMENT FEES - PW CAPITAL14,900 7,000 11,200 3,950 171,700 5,600 10,150 3,700 2,100 7,000 9,800 247,100 64,500 383.10%25-000-42-00-4220DEVELOPMENT FEES - PARK CAPITAL1,000 500 800 250 500 400 725 200 150 500 650 5,675 5,000 113.50%Fines & Forfeits25-000-43-00-4315 DUI FINES 854 1,029 1,361 489 - 200 350 400 - 550 700 5,933 8,000 74.17%25-000-43-00-4316 ELECTRONIC CITATION FEES 76 76 100 62 72 64 64 70 58 44 70 756 650 116.36%Charges for Service25-000-44-00-4418 MOWING INCOME - - 338 - - 338 1,539 - - - - 2,215 2,000 110.74%25-000-44-00-4420 POLICE CHARGEBACK 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 2,003 22,029 24,032 91.67%25-000-44-00-4425COMPUTER REPLACEMENT CHARGEBACKS- - - - - 15,271 5,203 7,825 38,421 - - 66,720 60,336 110.58%Investment Earnings25-000-45-00-4522 INVESTMENT EARNINGS - PARKS 86 93 93 87 92 87 88 92 95 89 89 990 850 116.50%25-000-45-00-4550 GAIN ON INVESTMENT - - - - - - - 1,149 - - - 1,149 - 0.00%Miscellaneous25-000-48-00-4852 MISC INCOME - PD CAPITAL - 412 - - - - - - - 412 - 0.00%25-000-48-00-4854 MISC INCOME - PW CAPITAL - 99 - - - - - - - 99 2,000 4.93%25-000-49-00-4906 LOAN ISSUANCE - - - - - - 548,273 - - - 548,273 - 0.00%25-000-49-00-4910SALE OF CAPITAL ASSETS-GEN GOV- - - - - - - 450 - - 450 - 0.00%25-000-49-00-4920 SALE OF CAPITAL ASSETS-PD - - - - - - - 1,000 1,588 1,930 4,518 - 0.00%25-000-49-00-4921 SALE OF CAPITAL ASSETS-PW - - - - - - - - - 400 - 400 - 0.00%25-000-49-00-4922 SALE OF CAPITAL ASSETS-PARKS - - - - - - - 450 - - 450 - 0.00%TOTAL REVENUES: VEHICLE & EQUIPMENT 27,227 15,428 22,620 8,945 233,267 27,217 574,411 19,402 45,669 14,803 20,813 1,009,801 207,368 486.96%VEHICLE & EQUIPMENT EXPENDITURESPOLICE CAPITAL EXPENDITURESContractual Services25-205-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - 448 - 3,841 129 - - - - 4,418 8,750 50.49%Capital Outlay25-205-60-00-6060 EQUIPMENT - - - - - - - - - - - - 5,000 0.00%25-205-60-00-6070 VEHICLES - - - - - - 5,170 3,937 - 45,410 690 55,207 64,000 86.26%TOTAL EXPENDITURES: POLICE CAPITAL - - - 448 - 3,841 5,299 3,937 - 45,410 690 59,625 77,750 76.69%GENERAL GOVERNMENT CAPITAL EXPENDITURESContractual Services25-212-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - 15,271 7,008 6,020 - 38,421 - 66,720 60,336 110.58%TOTAL EXPENDITURES: GENERAL GOVERNMENT - - - - - 15,271 7,008 6,020 - 38,421 - 66,720 60,336 110.58%PUBLIC WORKS CAPITAL EXPENDITURESContractual Services25-215-54-00-5448 FILING FEES - - - - - - 295 285 - - - 580 750 77.35%8
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Supplies25-215-56-00-5620 OPERATING SUPPLIES - - - - - - - - - - - - 2,000 0.00%Capital Outlay25-215-60-00-6060 EQUIPMENT - - - - - - - - - - - - 7,000 0.00%25-215-60-00-6070 VEHICLES- - - - - 99,189 - - - 99,189 201,000 49.35%185 Wolf Street Building25-215-92-00-8000 PRINCIPAL PAYMENT 3,604 3,622 3,640 3,657 3,675 3,693 - 4,241 4,148 4,160 4,278 38,718 44,429 87.15%25-215-92-00-8050 INTEREST PAYMENT 2,689 2,672 2,654 2,636 2,619 2,601 - 1,542 1,635 1,623 1,505 22,175 31,095 71.32%25-215-99-00-9960 PAYMENT TO FISCAL AGENTPA- - - - - - 531,617 - - - - 531,617 - 0.00%TOTAL EXPENDITURES: PW CAPITAL 6,294 6,294 6,294 6,294 6,294 6,294 531,912 105,257 5,783 5,783 5,783 692,280 286,274 241.82%PARK & RECREATION CAPITAL EXPENDITURESContractual Services25-225-54-00-5495 OUTSDE REPAIR & MAINTENANCE - - - - - - 8 2 - - - 10 5,000 0.20%Capital Outlay25-225-60-00-6010 PARK IMPROVEMENTS - - - - - - - - 2,050 31,486 - 33,536 - 0.00%25-225-60-00-6020 BUILDINGS & STRUCTURES - - - - - - 5,622 1,782 - - - 7,404 20,000 37.02%25-225-60-00-6060 EQUIPMENT - - - - - - - - - - - - 50,000 0.00%25-225-60-00-6070 VEHICLES - - - - - 67,958 - - - - 67,958 70,000 97.08%185 Wolf Street Building25-225-92-00-8000PRINCIPAL PAYMENT113 113 114 115 115 116 - 133 130 130 134 1,213 1,392 87.15%25-225-92-00-8050 INTEREST PAYMENT84 84 83 83 82 81 - 48 51 51 47 695 974 71.33%25-225-99-00-9960 PAYMENT TO FISCAL AGENTPA- - - - - - 16,656 - - - - 16,656 - 0.00%TOTAL EXPENDITURES: PARK & REC CAPITAL197 197 197 197 197 68,155 22,286 1,965 2,231 31,668 181 127,472 147,366 86.50%TOTAL FUND REVENUES 27,227 15,428 22,620 8,945 233,267 27,217 574,411 19,402 45,669 14,803 20,813 1,009,801 207,368 486.96%TOTAL FUND EXPENDITURES 6,491 6,491 6,491 6,939 6,491 93,561 566,504 117,180 8,014 121,282 6,654 946,096 571,726 165.48%FUND SURPLUS (DEFICIT) 20,736 8,937 16,129 2,006 226,776 (66,344) 7,907 (97,778) 37,655 (106,479) 14,159 63,705 (364,358) DEBT SERVICE REVENUES42-000-42-00-4208RECAPTURE FEES-WATER & SEWER550 1,373 2,621 1,248 250 475 763 150 175 300 425 8,330 4,646 179.28%42-000-49-00-4901 TRANSFER FROM GENERAL 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 26,615 292,764 319,379 91.67%TOTAL REVENUES: DEBT SERVICE 27,165 27,988 29,236 27,863 26,865 27,090 27,377 26,765 26,790 26,915 27,040 301,094 324,025 92.92%DEBT SERVICE EXPENDITURES42-420-54-00-5498 PAYING AGENT FEES - - - 475 - - - - - - - 475 475 100.00%2014B Refunding Bond42-420-79-00-8000 PRINCIPAL PAYMENT - - - - - - - 290,000 - - - 290,000 290,000 100.00%42-420-79-00-8050 INTEREST PAYMENT - 16,775 - - - - - 16,775 - - - 33,550 33,550 100.00%TOTAL FUND REVENUES 27,165 27,988 29,236 27,863 26,865 27,090 27,377 26,765 26,790 26,915 27,040 301,094 324,025 92.92%TOTAL FUND EXPENDITURES - 16,775 - 475 - - - 306,775 - - - 324,025 324,025 100.00%FUND SURPLUS (DEFICIT)27,165 11,213 29,236 27,388 26,865 27,090 27,377 (280,010) 26,790 26,915 27,040 (22,931) - WATER FUND REVENUESCharges for Service51-000-44-00-4424 WATER SALES5,750 500,906 5,125 562,150 2,751 548,019 1,874 478,270 1,088 432,381 5,408 2,543,722 3,228,300 78.79%51-000-44-00-4425 BULK WATER SALES- - - - - - 12,650 - - - - 12,650 5,000 253.00%51-000-44-00-4426 LATE PENALTIES - WATER32 17,673 194 17,541 185 23,680 46 24,668 31 18,893 66 103,009 110,000 93.64%51-000-44-00-4430 WATER METER SALES17,755 15,527 14,238 7,038 4,878 11,178 24,878 3,313 4,753 7,353 16,013 126,928 60,000 211.55%51-000-44-00-4440 WATER INFRASTRUCTURE FEE610 130,388 481 132,068 69 132,957 110 133,549 (691) 133,968 475 663,985 768,000 86.46%51-000-44-00-4450 WATER CONNECTION FEES35,220 28,045 39,670 21,139 16,720 32,100 38,950 18,500 12,360 28,780 30,614 302,098 230,000 131.35%Investment Earnings51-000-45-00-4500 INVESTMENT EARNINGS1,619 1,574 1,625 2,305 2,013 2,488 2,706 2,535 1,964 1,637 607 21,071 23,851 88.34%51-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 6,693 - - - 6,693 - 0.00%9
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Miscellaneous51-000-46-00-4690 REIMB - MISCELLANEOUS - - - - - - 0 1,309 - 342 - 1,651 - 0.00%51-000-48-00-4820 RENTAL INCOME 10,982 8,082 8,082 8,082 8,082 8,894 8,124 8,124 8,124 8,208 8,208 92,994 95,749 97.12%51-000-48-00-4850 MISCELLANEOUS INCOME 515 309 - - - - - - 82 - 77 983 250 393.03%Other Financing Sources51-000-49-00-4910 SALES OF CAPITAL ASSETS - - - - - - - 900 - - - 900 - 0.00%51-000-49-00-4923TRANSFER FROM CITY-WIDE CAPITAL8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 8,742 96,164 104,906 91.67%51-000-49-00-4952 TRANSFER FROM SEWER 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 67,719 73,875 91.67%TOTAL REVENUES: WATER FUND 87,382 717,403 84,315 765,223 49,597 774,215 104,237 692,759 42,609 646,460 76,366 4,040,566 4,699,931 85.97%WATER OPERATIONS EXPENSESSalaries & Wages51-510-50-00-5010 SALARIES & WAGES 39,899 27,910 28,083 29,302 29,590 30,873 46,450 29,072 29,072 29,131 33,055 352,439 477,935 73.74%51-510-50-00-5015 PART-TIME SALARIES 1,440 1,335 1,250 280 - - - - - - - 4,305 30,000 14.35%51-510-50-00-5020 OVERTIME 631 376 916 1,043 562 365 554 311 292 1,461 1,029 7,540 12,000 62.83%Benefits51-510-52-00-5212RETIREMENT PLAN CONTRIBUTION3,686 2,576 2,641 2,763 2,745 2,844 4,272 2,676 3,297 3,434 3,824 34,757 44,948 77.33%51-510-52-00-5214 FICA CONTRIBUTION 3,086 2,155 2,201 2,235 2,206 2,290 3,480 2,159 2,159 2,251 2,515 26,737 37,702 70.92%51-510-52-00-5216 GROUP HEALTH INSURANCE 14,894 7,041 7,520 7,810 7,153 5,124 5,225 8,645 7,096 7,783 10,145 88,436 137,566 64.29%51-510-52-00-5222 GROUP LIFE INSURANCE 36 36 36 36 36 35 28 31 37 37 37 385 560 68.77%51-510-52-00-5223 DENTAL INSURANCE 1,126 563 563 563 563 491 491 566 528 528 673 6,657 9,354 71.16%51-510-52-00-5224 VISION INSURANCE 165 83 83 83 83 73 73 86 79 79 99 984 1,344 73.23%51-510-52-00-5230 UNEMPLOYMENT INSURANCE 272 - 272 - - 272 - - - 527 - 1,344 2,000 67.19%51-510-52-00-5231 LIABILITY INSURANCE 6,464 2,184 2,184 2,184 2,184 2,184 1,087 1,185 5,009 2,246 1,184 28,093 29,590 94.94%Contractual Services51-510-54-00-5401 ADMINISTRATIVE CHARGEBACK9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 9,886 108,745 118,631 91.67%51-510-54-00-5412 TRAINING & CONFERENCES2,400 312 - - 322 - 100 - 108 - - 3,242 6,500 49.88%51-510-54-00-5415 TRAVEL & LODGING- 127 - - - 622 6 - - - 13 768 2,000 38.42%51-510-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - 480 1,420 7,043 - - 8,943 10,408 85.93%51-510-54-00-5426 PUBLISHING & ADVERTISING - - - - 449 - - - - - - 449 500 89.80%51-510-54-00-5429 WATER SAMPLES - 50 3,465 2,172 - - - 300 4,947 3,416 1,232 15,582 8,000 194.77%51-510-54-00-5430 PRINTING & DUPLICATING 101 1 618 1 1 538 78 15 466 19 502 2,342 3,250 72.06%51-510-54-00-5440 TELECOMMUNICATIONS - 2,892 3,117 3,519 3,344 820 3,494 3,521 3,883 3,909 8,772 37,272 35,000 106.49%51-510-54-00-5445 TREATMENT FACILITY SERVICES 15,617 - 27,630 18,651 13,665 12,868 2,280 23,537 37,718 3,198 27,693 182,857 145,000 126.11%51-510-54-00-5448 FILING FEES 530 298 - 53 212 - 318 255 134 134 - 1,934 3,000 64.47%51-510-54-00-5452 POSTAGE & SHIPPING 2,536 516 2,542 627 2,577 96 3,388 59 3,172 571 2,583 18,667 19,000 98.25%51-510-54-00-5460 DUES & SUBSCRIPTIONS567 729 - - - - - - 350 - - 1,646 1,800 91.43%51-510-54-00-5462 PROFESSIONAL SERVICES4,823 6,287 12,010 9,943 9,379 8,973 5,183 2,954 3,928 4,719 3,300 71,498 65,000 110.00%51-510-54-00-5465 ENGINEERING SERVICES- - 9,602 208 6,259 3,026 543 - 1,357 - 595 21,589 37,500 57.57%51-510-54-00-5480 UTILITIES- 15,520 22,676 24,456 25,079 22,203 17,453 22,263 26,991 24,533 25,823 226,997 303,709 74.74%51-510-54-00-5483 JULIE SERVICES- - - - - - - - - 1,557 - 1,557 3,000 51.91%51-510-54-00-5485 RENTAL & LEASE PURCHASE45 99 241 45 338 144 144 196 144 144 196 1,734 1,700 101.98%51-510-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 192 598 1,051 56.87%51-510-54-00-5490VEHICLE MAINTENANCE SERVICES- - 1,540 102 1,904 2,217 2,626 - - 740 - 9,129 12,000 76.08%51-510-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - - - 3,975 6,100 - - - - 10,075 25,000 40.30%51-510-54-00-5498 PAYING AGENT FEES - - 349 475 - 475 - - - - - 1,299 1,750 74.25%51-510-54-00-5499 BAD DEBT - - - - - - - - - - - - 10,000 0.00%Supplies51-510-56-00-5600 WEARING APPAREL - 81 - 231 175 236 1,013 418 221 4 395 2,774 5,100 54.39%51-510-56-00-5620 OPERATING SUPPLIES 126 153 98 299 607 329 174 193 4,197 129 918 7,223 10,500 68.79%51-510-56-00-5628VEHICLE MAINTENANCE SUPPLIES- 307 106 - 12 14 11 30 811 20 - 1,310 2,500 52.39%51-510-56-00-5630 SMALL TOOLS & EQUIPMENT 24 56 4 178 45 - 183 162 26 100 84 862 4,000 21.55%51-510-56-00-5638 TREATMENT FACILITY SUPPLIES 7,019 6,136 10,888 19,339 15,478 14,913 11,344 15,144 13,253 15,072 11,332 139,918 218,438 64.05%51-510-56-00-5640 REPAIR & MAINTENANCE - 608 993 1,561 140 598 1,297 1,119 - 569 1,197 8,082 27,500 29.39%10
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202051-510-56-00-5664METERS & PARTS 1,876 6,711 20,199 19,097 11,671 23,486 6,090 11,726 10,530 17,566 18,999 147,952 100,000 147.95%51-510-56-00-5665 JULIE SUPPLIES - 21 48 340 44 198 5,023 - 778 827 - 7,279 1,200 606.61%51-510-56-00-5695 GASOLINE 91 1,322 1,691 1,622 858 1,928 1,335 1,721 1,800 2,432 1,345 16,145 24,043 67.15%Capital Outlay51-510-60-00-6022 WELL REHABILITATIONS - - 84 7,541 171 - - - - - - 7,796 165,000 4.72%51-510-60-00-6025ROAD TO BETTER ROADS PROGRAM- - - 221,417 11,386 126,336 183,028 50,867 2,817 5,100 4,428 605,379 569,000 106.39%51-510-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 26 9 15 - 796 27 7 - - 881 - 0.00%51-510-60-00-6059 US34 (IL RT47/ORCHARD) PROJECT - - 3,972 504 - - - - - - - 4,475 21,608 20.71%51-510-60-00-6060 EQUIPMENT - - - - 616 3,596 713 3,078 616 1,847 13,355 23,818 400,000 5.95%51-510-60-00-6066RTE 71 WATERMAIN REPLACEMENT- - - - - 2,377 586 - 5,850 - - 8,813 42,166 20.90%51-510-60-00-6079 ROUTE 47 EXPANSION 3,781 3,781 3,781 3,781 3,781 - 3,781 3,781 3,781 3,781 3,781 37,810 45,372 83.33%51-510-60-00-6081CATION EXCHANGE MEDIA REPLACEMENT- - - - - 3,781 3,994 - 3,931 998 3,494 16,199 185,000 8.76%2015A Bond51-510-77-00-8000 PRINCIPAL PAYMENT - - - - - - 290,483 - - - - 290,483 290,483 100.00%51-510-77-00-8050 INTEREST PAYMENT 75,893 - - - - - 75,893 - - - - 151,787 151,787 100.00%2016 Refunding Bond 51-510-85-00-8000 PRINCIPAL PAYMENT - - - - - - - 1,470,000 - - - 1,470,000 1,470,000 100.00%51-510-85-00-8050 INTEREST PAYMENT - 88,225 - - - - - 88,225 - - - 176,450 176,450 100.00%IEPA Loan L17-15630051-510-89-00-8000 PRINCIPAL PAYMENT - - - 51,887 - - - - - 52,536 - 104,423 104,423 100.00%51-510-89-00-8050 INTEREST PAYMENT - - - 10,628 - - - - - 9,979 - 20,607 20,607 100.00%2014C Refunding Bond51-510-94-00-8000 PRINCIPAL PAYMENT - - - - - - - 125,000 - - - 125,000 125,000 100.00%51-510-94-00-8050 INTEREST PAYMENT - 11,375 - - - - - 11,375 - - - 22,750 22,750 100.00%TOTAL FUND REVENUES87,382 717,403 84,315 765,223 49,597 774,215 104,237 692,759 42,609 646,460 76,366 4,040,566 4,699,931 85.97%TOTAL FUND EXPENSES197,015 199,818 181,381 454,934 163,602 288,249 699,480 1,892,019 196,378 211,263 192,675 4,676,815 5,779,725 80.92%FUND SURPLUS (DEFICIT)(109,633) 517,586 (97,066) 310,289 (114,005) 485,965 (595,244) (1,199,260) (153,769) 435,198 (116,309) (636,248) (1,079,794) SEWER FUND REVENUESCharges for Service52-000-44-00-4435 SEWER MAINTENANCE FEES666 163,928 542 165,360 (90) 166,419 80 167,340 (1,272) 167,972 444 831,390 979,200 84.91%52-000-44-00-4440 SEWER INFRASTRUCTURE FEE(220) 62,291 842 64,219 30 64,942 55 64,509 94 65,250 333 322,345 370,000 87.12%52-000-44-00-4455 SW CONNECTION FEES - OPS7,400 8,500 5,700 11,900 4,700 3,100 18,200 1,500 900 2,900 7,400 72,200 23,300 309.87%52-000-44-00-4456 SW CONNECTION FEES - CAPITAL21,600 14,400 16,200 5,400 10,800 5,400 15,300 9,000 3,600 12,600 7,200 121,500 180,000 67.50%52-000-44-00-4462 LATE PENALTIES - SEWER4 2,699 21 2,510 28 3,223 12 3,535 7 2,551 13 14,604 15,000 97.36%52-000-44-00-4465 RIVER CROSSING FEES300 - - 150 - - - 150 - - - 600 - 0.00%Investment Earnings52-000-45-00-4500 INVESTMENT EARNINGS598 582 600 830 769 938 803 823 486 590 228 7,246 7,149 101.35%52-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 31,459 - - - 31,459 - 0.00%Other Financing Sources52-000-46-00-4690 REIMB - MISCELLANEOUS- - - - - - - 1,309 2,652 - - 3,961 - 0.00%52-000-46-00-4850 MISCELANEOUS INCOME309 111 - - - - - - - - - 420 - 0.00%52-000-49-00-4901 TRANSFER FROM GENERAL47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 47,919 527,111 575,030 91.67%TOTAL REVENUES: SEWER FUND78,577 300,429 71,825 298,290 64,156 291,942 82,369 327,544 54,385 299,782 63,536 1,932,835 2,149,679 89.91%SEWER OPERATIONS EXPENSESSalaries & Wages52-520-50-00-5010 SALARIES & WAGES16,419 13,672 11,211 11,867 12,522 13,894 22,873 16,021 17,689 18,516 19,735 174,420 265,446 65.71%52-520-50-00-5015 PART-TIME SALARIES1,360 1,520 1,440 1,120 - - - - - - - 5,440 5,000 108.80%52-520-50-00-5020 OVERTIME47 - - - - 31 107 63 - 32 - 280 500 55.96%Benefits52-520-52-00-5212RETIREMENT PLAN CONTRIBUTION1,505 1,239 1,016 1,075 1,135 1,262 2,014 1,457 1,976 2,072 2,204 16,954 24,399 69.49%52-520-52-00-5214 FICA CONTRIBUTION 1,304 1,090 897 929 898 1,005 1,692 1,158 1,275 1,340 1,429 13,017 19,031 68.40%52-520-52-00-5216 GROUP HEALTH INSURANCE 9,127 4,430 4,349 5,434 4,083 5,010 6,216 6,291 6,872 7,659 7,002 66,473 98,202 67.69%11
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202052-520-52-00-5222 GROUP LIFE INSURANCE16 16 16 16 16 16 16 26 26 26 26 216 314 68.85%52-520-52-00-5223 DENTAL INSURANCE639 320 320 320 320 392 467 467 467 467 467 4,644 6,433 72.18%52-520-52-00-5224 VISION INSURANCE88 44 44 44 44 54 66 66 66 66 66 647 879 73.65%52-520-52-00-5230 UNEMPLOYMENT INSURANCE143 - 143 - - 143 - - - 277 - 707 750 94.25%52-520-52-00-5231 LIABILITY INSURANCE3,133 1,058 1,058 1,058 1,058 1,058 527 574 2,428 1,088 574 13,616 14,052 96.90%Contractual Services52-520-54-00-5401 ADMINISTRATIVE CHARGEBACK3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 3,558 39,138 42,696 91.67%52-520-54-00-5412 TRAINING & CONFERENCES707 276 150 - - 240 62 - 45 - - 1,480 2,500 59.18%52-520-54-00-5415 TRAVEL & LODGING2 130 - - - 637 92 95 - 182 - 1,139 2,000 56.93%52-520-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - - - - 5,176 - - 5,176 8,258 62.68%52-520-54-00-5430 PRINTING & DUPLICATING 47 1 289 1 - 308 38 2 218 10 237 1,152 1,500 76.79%52-520-54-00-5440 TELECOMMUNICATIONS - 636 684 707 662 227 680 680 725 720 1,303 7,025 9,000 78.06%52-520-54-00-5444 LIFT STATION SERVICES 93 138 - 1,185 149 - - 358 8,298 - - 10,220 75,000 13.63%52-520-54-00-5462 PROFESSIONAL SERVICES 1,060 1,022 1,177 1,518 1,665 1,291 1,917 2,251 1,152 2,207 1,004 16,265 43,000 37.82%52-520-54-00-5480 UTILITIES - 1,937 1,488 1,628 1,418 1,465 1,632 2,234 2,729 2,880 2,429 19,841 22,472 88.29%52-520-54-00-5483 JULIE SERVICES - - - - - - - - - 1,557 - 1,557 3,000 51.91%52-520-54-00-5485 RENTAL & LEASE PURCHASE 45 12 106 135 224 106 57 155 124 106 155 1,224 1,000 122.43%52-520-54-00-5488 OFFICE CLEANING- 65 65 65 65 65 - 16 65 - 192 598 759 78.74%52-520-54-00-5490VEHICLE MAINTENANCE SERVICES1,240 - - - 37 - - - 296 3,823 - 5,396 10,000 53.96%52-520-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - - - 4,000 - 1,060 - - - 2,742 7,802 16,000 48.76%52-520-54-00-5498 PAYING AGENT FEES - - - - - - - - 589 - - 589 750 78.47%52-520-54-00-5499 BAD DEBT - - - - - - - - - - - - 3,000 0.00%Supplies52-520-56-00-5600 WEARING APPAREL - 384 67 291 - - - 102 240 54 132 1,269 3,980 31.89%52-520-56-00-5610 OFFICE SUPPLIES - - - 17 253 479 - 225 26 207 106 1,313 1,000 131.30%52-520-56-00-5613 LIFT STATION MAINTENANCE - 104 1,223 1,171 1,193 27 1,315 - 1,462 244 1,028 7,768 8,000 97.09%52-520-56-00-5620 OPERATING SUPPLIES 248 37 156 241 973 419 591 64 3,763 450 648 7,589 9,000 84.32%52-520-56-00-5628VEHICLE MAINTENANCE SUPPLIES(105) 165 - 39 6 99 100 338 1,250 369 269 2,530 10,000 25.30%52-520-56-00-5630 SMALL TOOLS & EQUIPMENT 59 19 87 152 25 - 520 97 - - 155 1,114 2,000 55.69%52-520-56-00-5640 REPAIR & MAINTENANCE - - - 861 - - 450 1,624 - 66 - 3,001 5,000 60.03%52-520-56-00-5665 JULIE SUPPLIES - - - - - - - - - 381 - 381 1,200 31.76%52-520-56-00-5695 GASOLINE 91 1,327 1,695 1,627 863 1,936 1,341 1,721 1,806 2,438 745 15,591 22,470 69.38%Capital Outlay52-520-60-00-6001 SCADA SYSTEM - - - - - - - - - - - - 67,000 0.00%52-520-60-00-6025ROAD TO BETTER ROADS PROGRAM- - 7,268 - 36,203 1,652 12,669 1,378 268 - 373 59,810 137,000 43.66%52-520-60-00-6034WHISPERING MEADOWS SUBDIVISION- - 40 13 22 - 1,378 41 10 - - 1,505 - 0.00%52-520-60-00-6059 US34 (IL RT47/ORCHARD) PROJECT - - 209 27 - - - - - - - 236 11,373 2.07%52-520-60-00-6066RTE 71 SEWER MAIN REPLACEMENT- - - - - 3,565 103 - 8,511 - - 12,180 63,000 19.33%52-520-60-00-6070 VEHICLES - - - - - - - - - - 35,792 35,792 50,000 71.58%52-520-60-00-6079 ROUTE 47 EXPANSION 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 1,873 20,608 22,488 91.64%Developer Commitments - Lennar52-520-75-00-7500LENNAR-RAINTREE SW RECAPTURE- - - - - - - - - - - - 30,721 0.00%2003 IRBB Debt Certificates52-520-90-00-8000 PRINCIPAL PAYMENT - - - - - - - - 135,000 - - 135,000 135,000 100.00%52-520-90-00-8050 INTEREST PAYMENT - - 14,834 - - - - - 14,834 - - 29,668 29,668 100.00%2011 Refunding Bond52-520-92-00-8000 PRINCIPAL PAYMENT - - - - - - - 845,000 - - - 845,000 845,000 100.00%52-520-92-00-8050 INTEREST PAYMENT - 144,557 - - - - - 144,557 - - - 289,114 289,114 100.00%IEPA Loan L17-11530052-520-96-00-8000 PRINCIPAL PAYMENT - - - 52,832 - - - - - - - 52,832 52,832 100.00%52-520-96-00-8050 INTEREST PAYMENT - - - 693 - - - - - - - 693 693 100.04%12
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Other Financing Uses52-520-99-00-9951 TRANSFER TO WATER 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 6,156 67,719 73,875 91.67%TOTAL FUND REVENUES 78,577 300,429 71,825 298,290 64,156 291,942 82,369 327,544 54,385 299,782 63,536 1,932,835 2,149,679 89.91%TOTAL FUND EXPENSES 48,856 185,788 61,621 96,652 79,420 46,971 69,571 1,038,647 228,973 58,826 90,400 2,005,725 2,546,355 78.77%FUND SURPLUS (DEFICIT) 29,721 114,641 10,204 201,638 (15,264) 244,971 12,798 (711,104) (174,588) 240,956 (26,864) (72,890) (396,676) LAND CASH REVENUES72-000-47-00-4701 WHITE OAK - - - 1,406 - - - - - - 1,406 2,812 - 0.00%72-000-47-00-4703 AUTUMN CREEK 3,003 - - - 3,003 - - - - - - 6,006 6,606 90.91%72-000-47-00-4704 BLACKBERRY WOODS 568 - - - - - - - - - - 568 15,909 3.57%72-000-47-00-4706 CALEDONIA1,007 1,007 - - 2,013 - 5,033 - 1,007 3,020 1,007 14,094 16,341 86.25%72-000-47-00-4708 COUNTRY HILLS1,538 - - 769 - - - 769 - - - 3,076 8,000 38.45%72-000-47-00-4724 KENDALL MARKETPLACE- - - - - 324 162 - - - - 486 2,024 24.00%72-000-47-00-4736 BRIARWOOD- 2,205 4,410 2,205 - - - - - - - 8,820 9,555 92.31%72-000-48-00-4850 MISCELLANEOUS INCOME- 20 - - - - - - - - - 20 - 0.00%TOTAL REVENUES: LAND CASH 6,116 3,231 4,410 4,380 5,016 324 5,195 769 1,007 3,020 2,413 35,881 58,435 61.40%LAND CASH EXPENDITURES72-720-54-00-5485 RENTAL & LEASE PURCHASE- - - 5,035 - - - - - - - 5,035 4,850 103.81%72-720-60-00-6043 BRISTOL BAY REGIONAL PARK- - - - - - - - - - - - 25,000 0.00%72-720-60-00-6045 RIVERFRONT PARK- - - - - - - - - - - - 50,000 0.00%72-720-60-00-6049 RAINTREE PARK C- - - - - - - - 84 - - 84 - 0.00%72-720-60-00-6067BLACKBERRY CREEK NATURE PRESERVE- - - - - - - - - - - - 25,000 0.00%TOTAL FUND REVENUES 6,116 3,231 4,410 4,380 5,016 324 5,195 769 1,007 3,020 2,413 35,881 58,435 61.40%TOTAL FUND EXPENDITURES - - - 5,035 - - - - 84 - - 5,118 104,850 4.88%FUND SURPLUS (DEFICIT) 6,116 3,231 4,410 (655) 5,016 324 5,195 769 923 3,020 2,413 30,762 (46,415) PARK & RECREATION REVENUESCharges for Service79-000-44-00-4402 SPECIAL EVENTS 22,750 3,262 32,843 5,162 1,351 3,937 8,133 3,292 5,387 4,795 1,191 92,103 90,000 102.34%79-000-44-00-4403 CHILD DEVELOPMENT 14,922 1,844 4,713 15,229 12,638 13,260 13,031 14,416 12,540 14,633 10,936 128,162 145,000 88.39%79-000-44-00-4404 ATHLETICS AND FITNESS 37,922 42,374 50,606 16,216 24,525 27,772 7,648 4,420 51,066 87,113 7,988 357,649 365,000 97.99%79-000-44-00-4441 CONCESSION REVENUE 5,681 18,224 6,206 2,195 4,348 5,742 - - - - - 42,396 32,000 132.49%Investment Earnings79-000-45-00-4500 INVESTMENT EARNINGS126 103 110 109 105 88 120 110 107 111 121 1,207 1,500 80.48%Reimbursements79-000-46-00-4690 REIMB - MISCELLANEOUS- - 830 - - - 2,845 5,377 4,928 166 - 14,147 - 0.00%Miscellaneous79-000-48-00-4820 RENTAL INCOME48,650 950 750 750 350 350 750 1,000 800 1,200 - 55,550 54,500 101.93%79-000-48-00-4825 PARK RENTALS2,838 2,715 7,435 1,559 2,525 924 - 171 111 - 135 18,414 15,000 122.76%79-000-48-00-4843 HOMETOWN DAYS6,775 740 1,885 6,685 101,137 7,056 - - - - - 124,278 108,000 115.07%79-000-48-00-4846 SPONSORSHIPS & DONATIONS5,419 6,440 1,155 1,450 - 1,005 719 525 300 300 300 17,612 20,000 88.06%79-000-48-00-4850 MISCELLANEOUS INCOME1,182 1,876 360 1,172 54 20 - - 134 414 234 5,446 3,000 181.52%Other Financing Sources79-000-49-00-4901 TRANSFER FROM GENERAL117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 117,582 1,293,406 1,410,988 91.67%TOTAL REVENUES: PARK & RECREATION263,846 196,109 224,475 168,109 264,616 177,735 150,828 146,893 192,956 226,315 138,487 2,150,369 2,244,988 95.79%PARKS DEPARTMENT EXPENDITURESSalaries & Wages79-790-50-00-5010 SALARIES & WAGES64,605 46,935 40,129 38,309 40,855 42,261 63,193 40,187 39,776 38,612 38,682 493,544 552,859 89.27%79-790-50-00-5015 PART-TIME SALARIES6,796 6,841 7,142 6,784 5,915 4,732 4,589 2,091 2,176 1,967 1,874 50,906 51,000 99.82%79-790-50-00-5020 OVERTIME73 318 1,549 - 774 651 110 192 - - - 3,667 5,000 73.33%13
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020Benefits79-790-52-00-5212RETIREMENT PLAN CONTRIBUTION6,057 4,431 3,885 3,602 3,928 4,029 5,937 3,787 4,617 4,517 4,455 49,245 52,725 93.40%79-790-52-00-5214 FICA CONTRIBUTION 5,328 3,998 3,595 3,302 3,489 3,483 5,033 3,096 3,075 2,973 2,955 40,325 44,715 90.18%79-790-52-00-5216 GROUP HEALTH INSURANCE 29,685 13,216 17,510 11,076 12,345 14,256 10,634 10,743 11,111 10,556 11,997 153,128 153,747 99.60%79-790-52-00-5222 GROUP LIFE INSURANCE 54 54 54 48 48 48 69 48 48 - 48 520 645 80.68%79-790-52-00-5223 DENTAL INSURANCE 1,918 905 905 793 868 1,018 868 868 868 868 868 10,748 10,866 98.91%79-790-52-00-5224 VISION INSURANCE 270 128 128 108 121 147 121 121 121 121 121 1,510 1,537 98.22%Contractual Services79-790-54-00-5412 TRAINING & CONFERENCES 2,400 - - - - - - 704 - 385 760 4,249 7,000 60.69%79-790-54-00-5415 TRAVEL & LODGING - - - - - - - - - - - - 3,000 0.00%79-790-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 5,689 178 - 2,342 - - 8,209 3,262 251.65%79-790-54-00-5440 TELECOMMUNICATIONS - 627 712 685 668 655 722 725 680 684 763 6,920 6,500 106.45%79-790-54-00-5462 PROFESSIONAL SERVICES - 203 117 231 92 192 1,274 (22) 73 1,738 1,316 5,214 9,400 55.47%79-790-54-00-5466 LEGAL SERVICES - - 43 194 - - 108 - - 247 - 591 3,000 19.71%79-790-54-00-5485 RENTAL & LEASE PURCHASE 95 - 95 651 189 95 95 95 95 95 95 1,596 2,500 63.85%79-790-54-00-5488 OFFICE CLEANING - 254 254 254 254 254 - 123 135 - 396 1,924 2,876 66.91%79-790-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 7,164 8,752 1,595 25 560 4,250 4,400 1,892 1,812 30,450 50,000 60.90%Supplies79-790-56-00-5600 WEARING APPAREL 305 584 25 - 58 651 618 119 265 95 - 2,720 6,220 43.72%79-790-56-00-5620 OPERATING SUPPLIES 115 2,806 2,554 411 2,619 399 2,439 1,716 5,714 808 2,724 22,304 25,000 89.22%79-790-56-00-5630 SMALL TOOLS & EQUIPMENT - 50 412 307 370 361 127 766 102 178 164 2,838 6,000 47.29%79-790-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - 2,000 - - - - - - 2,000 2,000 100.00%79-790-56-00-5640 REPAIR & MAINTENANCE - 6,897 5,734 3,860 15,999 12,681 16,555 14,521 13,393 8,114 3,665 101,420 126,000 80.49%79-790-56-00-5695 GASOLINE - 1,523 1,984 2,627 1,697 - 2,870 1,477 746 1,277 2,549 16,751 25,410 65.92%TOTAL EXPENDITURES: PARKS DEPT 117,698 89,770 93,991 81,994 93,885 91,625 116,099 85,608 89,735 75,127 75,246 1,010,778 1,151,262 87.80%RECREATION DEPARTMENT EXPENDITURESSalaries & Wages79-795-50-00-5010 SALARIES & WAGES 40,742 31,071 28,135 27,764 27,014 27,764 41,146 28,046 27,068 27,068 27,068 332,885 359,002 92.72%79-795-50-00-5015 PART-TIME SALARIES 1,559 1,150 1,569 1,295 3,908 1,763 1,231 531 187 80 830 14,104 41,000 34.40%79-795-50-00-5045 CONCESSION WAGES 2,436 3,201 1,972 371 1,458 1,677 751 - - - - 11,866 15,000 79.10%79-795-50-00-5046 PRE-SCHOOL WAGES 4,141 20 20 317 1,753 4,606 6,515 3,864 2,267 4,847 4,739 33,087 40,000 82.72%79-795-50-00-5052 INSTRUCTORS WAGES4,051 3,443 2,391 1,071 2,003 2,953 3,007 1,753 2,584 5,268 4,032 32,556 40,000 81.39%Benefits79-795-52-00-5212RETIREMENT PLAN CONTRIBUTION3,833 2,904 2,620 2,522 2,454 2,522 3,735 2,548 3,032 3,032 3,032 32,233 37,514 85.92%79-795-52-00-5214 FICA CONTRIBUTION 3,977 2,903 2,535 2,285 2,692 2,893 3,956 2,544 2,384 2,778 2,733 31,680 36,761 86.18%79-795-52-00-5216 GROUP HEALTH INSURANCE 14,969 7,469 6,976 7,269 8,791 9,690 6,968 7,376 6,596 8,070 10,481 94,654 101,795 92.99%79-795-52-00-5222 GROUP LIFE INSURANCE 37 37 37 37 37 37 37 37 67 12 38 411 440 93.35%79-795-52-00-5223 DENTAL INSURANCE 1,090 545 545 545 545 545 545 545 694 582 582 6,763 6,539 103.43%79-795-52-00-5224 VISION INSURANCE 158 79 79 79 79 79 79 97 85 85 85 984 948 103.79%Contractual Services79-795-54-00-5410 TUITION RIMBURSEMENT - - - - - - - - - - - - 9,648 0.00%79-795-54-00-5412 TRAINING & CONFERENCES - 710 2,355 - 60 - - 250 - 310 68 3,753 5,000 75.05%79-795-54-00-5415 TRAVEL & LODGING- - - - - - - 515 - 330 2 847 3,000 28.23%79-795-54-00-5424COMPUTER REPLACEMENT CHARGEBACK- - - - - 1,874 1,827 2,145 - - - 5,847 5,888 99.30%79-795-54-00-5426 PUBLISHING & ADVERTISING - - 255 3,352 11,813 397 30 15,207 551 223 861 32,690 55,000 59.44%79-795-54-00-5440 TELECOMMUNICATIONS - 676 823 829 846 549 867 860 850 834 1,234 8,368 8,000 104.60%79-795-54-00-5447 SCHOLARSHIPS - - - - - - - - - - - - 2,500 0.00%79-795-54-00-5452 POSTAGE & SHIPPING 792 176 248 237 250 341 89 63 294 285 240 3,013 3,500 86.09%79-795-54-00-5460 DUES & SUBSCRIPTIONS - - - - 675 - 1,464 - 199 - - 2,338 3,000 77.93%79-795-54-00-5462 PROFESSIONAL SERVICES 6,131 9,848 18,530 18,743 10,143 13,329 9,607 4,459 4,200 12,773 9,936 117,700 100,000 117.70%79-795-54-00-5480 UTILITIES - 406 954 1,110 813 852 2,427 1,677 954 933 789 10,915 14,292 76.37%79-795-54-00-5485 RENTAL & LEASE PURCHASE135 60 95 95 249 95 95 95 155 95 95 1,261 3,000 42.04%79-795-54-00-5488 OFFICE CLEANING- 525 525 525 525 525 - 394 525 - 1,566 5,110 3,992 128.01%14
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202079-795-54-00-5495OUTSIDE REPAIR & MAINTENANCE- - 67 1,045 15 72 67 - 30 67 13 1,376 3,000 45.86%Supplies79-795-56-00-5602 HOMETOWN DAYS SUPPLIES 10,800 - - 51,544 49,835 4,348 10,835 - - - - 127,363 100,000 127.36%79-795-56-00-5606 PROGRAM SUPPLIES 8,633 12,424 22,832 8,549 13,214 4,748 11,121 8,599 2,089 11,738 2,733 106,680 160,000 66.68%79-795-56-00-5607 CONCESSION SUPPLIES 114 2,693 5,640 2,117 741 2,561 746 183 - - 100 14,896 18,000 82.75%79-795-56-00-5610 OFFICE SUPPLIES - - - - 613 528 - 73 - 158 - 1,371 3,000 45.72%79-795-56-00-5620 OPERATING SUPPLIES - - 1,950 2,170 2,434 1,613 2,828 511 40 36 - 11,582 15,000 77.22%79-795-56-00-5640 REPAIR & MAINTENANCE 36 60 6 77 147 32 32 208 - 163 182 943 2,000 47.13%79-795-56-00-5695 GASOLINE - - 39 - - - - - - - - 39 1,000 3.94%TOTAL EXPENDITURES: RECREATION DEPT103,632 80,398 101,199 133,948 143,108 86,392 110,003 82,580 54,851 79,767 71,436 1,047,314 1,197,819 87.44%TOTAL FUND REVENUES263,846 196,109 224,475 168,109 264,616 177,735 150,828 146,893 192,956 226,315 138,487 2,150,369 2,244,988 95.79%TOTAL FUND EXPENDITURES221,330 170,167 195,190 215,942 236,993 178,017 226,103 168,188 144,586 154,893 146,682 2,058,092 2,349,081 87.61%FUND SURPLUS (DEFICIT)42,516 25,941 29,285 (47,833) 27,623 (282) (75,275) (21,295) 48,370 71,422 (8,195) 92,276 (104,093) LIBRARY OPERATIONS REVENUESTaxes82-000-40-00-4000 PROPERTY TAXES 58,036 298,555 12,300 25,236 278,962 22,101 7,528 - - - - 702,716 699,220 100.50%82-000-40-00-4083 PROPERTY TAXES-DEBT SERVICE65,634 337,641 13,910 28,540 315,483 24,994 8,513 - - - - 794,715 793,028 100.21%Intergovernmental82-000-41-00-4120 PERSONAL PROPERTY TAX1,460 - 862 103 - 1,501 - 249 911 - 181 5,269 5,250 100.36%82-000-41-00-4170 STATE GRANTS- - - - 21,151 - - - - - - 21,151 20,000 105.76%Fines & Forfeits82-000-43-00-4330 LIBRARY FINES434 712 492 1,669 279 1,168 231 394 572 1,146 367 7,464 8,500 87.81%Charges for Service82-000-44-00-4401 LIBRARY SUBSCRIPTION CARDS1,193 882 880 990 966 475 435 188 264 901 383 7,558 8,000 94.47%82-000-44-00-4422 COPY FEES294 322 441 399 264 361 245 228 309 367 353 3,582 3,750 95.52%82-000-44-00-4439 PROGRAM FEES- 15 20 23 - - - - 6 - - 64 - 0.00%Investment Earnings82-000-45-00-4500 INVESTMENT EARNINGS735 680 817 1,079 1,377 1,394 1,358 1,657 1,478 1,350 389 12,314 10,000 123.14%82-000-45-00-4550 GAIN ON INVESTMENT- - - - - - - 3,882 - - - 3,882 - 0.00%Miscellaneous82-000-48-00-4820 RENTAL INCOME200 - - 175 - 325 200 200 50 125 75 1,350 2,000 67.50%82-000-48-00-4850 MISCELLANEOUS INCOME1,981 370 52 - - 27 - 41 22 28 2 2,524 2,000 126.18%Other Financing Sources82-000-49-00-4901 TRANSFER FROM GENERAL5,588 1,830 2,002 1,830 1,830 2,002 911 993 4,197 2,214 992 24,388 25,003 97.54%TOTAL REVENUES: LIBRARY 135,555 641,006 31,777 60,044 620,311 54,348 19,421 7,831 7,810 6,131 2,742 1,586,976 1,576,751 100.65%LIBRARY OPERATIONS EXPENDITURESSalaries & Wages82-820-50-00-5010 SALARIES & WAGES30,988 21,451 20,903 20,903 20,902 20,903 31,710 21,068 21,068 21,068 21,068 252,031 278,394 90.53%82-820-50-00-5015 PART-TIME SALARIES19,549 12,675 12,560 12,752 12,651 13,938 18,442 12,266 10,973 12,956 12,743 151,505 196,000 77.30%Benefits82-820-52-00-5212RETIREMENT PLAN CONTRIBUTION2,821 1,957 1,907 1,907 1,907 1,907 2,886 1,922 2,370 2,370 2,370 24,327 25,541 95.25%82-820-52-00-5214 FICA CONTRIBUTION 3,804 2,552 2,501 2,516 2,508 2,607 3,774 2,492 2,400 2,552 2,536 30,242 35,544 85.08%82-820-52-00-5216 GROUP HEALTH INSURANCE 11,099 5,301 5,112 5,461 5,158 5,034 7,401 5,353 6,837 6,074 7,832 70,663 81,184 87.04%82-820-52-00-5222 GROUP LIFE INSURANCE 31 31 31 31 31 31 31 31 29 29 29 333 387 86.17%82-820-52-00-5223 DENTAL INSURANCE 1,165 582 582 582 582 582 582 582 582 582 582 6,987 6,987 100.01%82-820-52-00-5224 VISION INSURANCE 169 84 84 84 84 84 84 84 84 84 84 1,012 1,012 100.00%82-820-52-00-5230 UNEMPLOYMENT INSURANCE 172 - 172 - - 172 - - - 333 - 849 750 113.22%82-820-52-00-5231 LIABILITY INSURANCE 5,416 1,830 1,830 1,830 1,830 1,830 911 993 4,197 1,882 992 23,539 24,253 97.06%Contractual Services82-820-54-00-5412 TRAINING & CONFERENCES- - - - - - 163 - 305 - - 468 2,000 23.38%82-820-54-00-5415 TRAVEL & LODGING- - - - - - 120 - - 1,415 196 1,732 1,500 115.46%82-820-54-00-5426 PUBLISHING & ADVERTISING- - - 485 (52) 55 - - - - - 488 2,000 24.41%15
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 202082-820-54-00-5440 TELECOMMUNICATIONS- 832 - 842 - 422 421 708 - - 690 3,914 6,000 65.24%82-820-54-00-5452 POSTAGE & SHIPPING- 45 9 8 20 20 27 16 183 18 14 360 750 48.06%82-820-54-00-5460 DUES & SUBSCRIPTIONS1,533 13 13 - 119 1,650 1,481 1,500 313 2,877 230 9,729 11,000 88.45%82-820-54-00-5462 PROFESSIONAL SERVICES4,059 1,983 1,181 3,384 1,339 2,750 4,091 1,784 455 2,613 3,946 27,585 40,000 68.96%82-820-54-00-5466 LEGAL SERVICES- - - 630 - - - - - - - 630 3,000 21.00%82-820-54-00-5468 AUTOMATION2,249 - - 3,804 - 4,299 - 47 3,549 614 - 14,561 20,000 72.80%82-820-54-00-5480 UTILITIES- - 559 774 - 825 759 1,368 - 3,377 1,448 9,110 11,130 81.85%82-820-54-00-5495OUTSIDE REPAIR & MAINTENANCE248 4,921 7,359 1,343 2,640 9,527 1,553 9,387 5,437 18,145 295 60,855 50,000 121.71%82-820-54-00-5498 PAYING AGENT FEES - 1,100 - 589 - - - - - - - 1,689 1,700 99.32%Supplies82-820-56-00-5610 OFFICE SUPPLIES - 112 437 500 528 1,011 1,691 278 634 262 2,016 7,469 8,000 93.36%82-820-56-00-5620 OPERATING SUPPLIES - 309 23 408 - - 1,256 - 360 229 104 2,689 3,000 89.65%82-820-56-00-5621 CUSTODIAL SUPPLIES - 1,397 - 120 918 100 49 1,166 205 2,156 - 6,111 8,000 76.38%82-820-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - - - - - - - - 2,000 0.00%82-820-56-00-5671 LIBRARY PROGRAMMING - 22 61 - 376 131 178 71 50 - 15 903 1,000 90.34%82-820-56-00-5675 EMPLOYEE RECOGNITION - - - - 70 - - - 20 - 110 200 200 100.13%82-820-56-00-5685 DVD'S - - - - - - - - - - - - 500 0.00%82-820-56-00-5686 BOOKS- - - 273 - 22 - 396 - - - 691 1,500 46.09%2006 Bond82-820-84-00-8000 PRINCIPAL PAYMENT- - - - - - - 50,000 - - - 50,000 50,000 100.00%82-820-84-00-8050 INTEREST PAYMENT- 11,306 - - - - - 11,306 - - - 22,613 22,613 100.00%2013 Refunding Bond82-820-99-00-8000 PRINCIPAL PAYMENT- - - - - - - 585,000 - - - 585,000 585,000 100.00%82-820-99-00-8050 INTEREST PAYMENT- 69,700 - - - - - 69,700 - - - 139,400 139,400 100.00%TOTAL FUND REVENUES135,555 641,006 31,777 60,044 620,311 54,348 19,421 7,831 7,810 6,131 2,742 1,586,976 1,576,751 100.65%TOTAL FUND EXPENDITURES83,303 138,204 55,325 59,226 51,613 67,898 77,610 777,518 60,052 79,637 57,301 1,507,687 1,620,345 93.05%FUND SURPLUS (DEFICIT)52,251 502,802 (23,548) 818 568,697 (13,550) (58,189) (769,687) (52,242) (73,505) (54,559) 79,289 (43,594) LIBRARY CAPITAL REVENUES84-000-42-00-4214 DEVELOPMENT FEES9,800 4,400 7,300 2,800 59,900 3,750 6,375 1,550 1,250 4,000 7,000 108,125 50,000 216.25%84-000-45-00-4500 INVESTMENT EARNINGS62 50 56 62 60 57 69 67 71 57 30 642 100 642.22%84-000-48-00-4850 MISCELLANEOUS INCOME- 29 - - - - - - - - - 29 - 0.00%TOTAL REVENUES: LIBRARY CAPITAL9,862 4,479 7,356 2,862 59,960 3,807 6,444 1,617 1,321 4,057 7,030 108,796 50,100 217.16%LIBRARY CAPITAL EXPENDITURES84-840-54-00-5460 E-BOOK SUBSCRIPTIONS- - - - - - - - - 3,000 - 3,000 3,500 85.71%84-840-56-00-5635COMPUTER EQUIPMENT & SOFTWARE- - - - - - - - - - 1,626 1,626 15,000 10.84%84-840-56-00-5683 AUDIO BOOKS - 157 233 95 240 375 587 478 874 38 474 3,550 3,500 101.43%84-840-56-00-5684 COMPACT DISCS & OTHER MUSIC - - 343 100 - - - - - - 285 727 500 145.49%84-840-56-00-5685 DVD'S - 127 119 246 313 222 362 88 236 349 209 2,272 3,000 75.72%84-840-56-00-5686 BOOKS- 1,958 3,713 2,427 2,364 2,941 6,475 1,713 12,176 3,832 4,001 41,600 50,000 83.20%TOTAL FUND REVENUES9,862 4,479 7,356 2,862 59,960 3,807 6,444 1,617 1,321 4,057 7,030 108,796 50,100 217.16%TOTAL FUND EXPENDITURES- 2,241 4,408 2,867 2,918 3,538 7,424 2,279 13,286 7,220 6,595 52,776 75,500 69.90%FUND SURPLUS (DEFICIT)9,862 2,238 2,948 (5) 57,042 269 (980) (662) (11,965) (3,163) 435 56,020 (25,400) COUNTRYSIDE TIF REVENUES87-000-40-00-4000 PROPERTY TAXES96 64,536 619 31,741 62,981 2,624 41,287 - - - - 203,884 232,318 87.76%87-000-48-00-4850 MISCELLANEOUS INCOME0 0 - - - - - - - - - 0 - 0.00%TOTAL REVENUES: COUNTRYSIDE TIF96 64,536 619 31,741 62,981 2,624 41,287 - - - - 203,884 232,318 87.76%16
% of Fiscal Year8% 17% 25% 33% 42% 50% 58% 67% 75% 83% 92%Year-to-Date FISCAL YEAR 2020 ACCOUNT NUMBER DESCRIPTION May-19 June-19 July-19 August-19 September-19 October-19 November-19 December-19 January-20 February-20 March-20Totals BUDGET % of BudgetUNITED CITY OF YORKVILLEFISCAL YEAR 2020 BUDGET REPORTFor the Month Ended March 31, 2020COUNTRYSIDE TIF EXPENDITURESContractual Services87-870-54-00-5401 ADMINISTRATIVE CHARGEBACK 939 939 939 939 939 939 939 939 939 939 939 10,324 11,263 91.67%87-870-54-00-5425 TIF INCENTIVE PAYOUT - - - - - - - - 700,000 - - 700,000 700,000 100.00%87-870-54-00-5462 PROFESSIONAL SERVICES - - - 129 - - 436 15 462 398 - 1,440 2,000 72.00%87-870-54-00-5498 PAYING AGENT FEES - - 126 - - - - 535 - - - 661 700 94.38%2015A Bond87-870-77-00-8000 PRINCIPAL PAYMENT - - - - - - 104,517 - - - 104,517 104,517 100.00%87-870-77-00-8050 INTEREST PAYMENT 27,307 - - - - - 27,307 - - - 54,613 54,613 100.00%2014 Refunding Bond87-870-93-00-8050 INTEREST PAYMENT 25,358 - - - - - 25,358 - - - 50,715 50,715 100.00%TOTAL FUND REVENUES 96 64,536 619 31,741 62,981 2,624 41,287 - - - - 203,884 232,318 87.76%TOTAL FUND EXPENDITURES53,603 939 1,064 1,068 939 939 158,555 1,489 701,401 1,336 939 922,270 923,808 99.83%FUND SURPLUS (DEFICIT)(53,507) 63,598 (445) 30,674 62,042 1,686 (117,269) (1,489) (701,401) (1,336) (939) (718,386) (691,490) DOWNTOWN TIF REVENUES88-000-40-00-4000 PROPERTY TAXES8,667 30,817 406 2,477 25,571 6,172 1,648 - - - - 75,759 80,000 94.70%88-000-48-00-4850 MISCELLANEOUS INCOME- 17 - - - - - - - - - 17 - 0.00%TOTAL REVENUES: DOWNTOWN TIF 8,667 30,835 406 2,477 25,571 6,172 1,648 - - - - 75,776 80,000 94.72%DOWNTOWN TIF EXPENDITURESContractual Services88-880-54-00-5401 ADMINISTRATIVE CHARGEBACK2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 2,687 29,559 32,246 91.67%88-880-54-00-5425 TIF INCENTIVE PAYOUT- - - - - - - - 25,597 - - 25,597 20,000 127.98%88-880-54-00-5462 PROFESSIONAL SERVICES- - - - - - 274 15 - - - 290 1,000 28.97%88-880-54-00-5466 LEGAL SERVICES- 527 43 - 108 204 484 - 323 - - 1,688 15,000 11.25%88-880-54-00-5470 FACADE REHAB PROGRAM- - - - - - - - - - - 25,000 0.00%Capital Outlay88-880-60-00-6000 PROJECT COSTS- - - 104 - 312 690 1,323 312 - 2,741 27,500 9.97%88-880-60-00-6015 DOWNTOWN HILL- - - - - - - - - - - 50,000 0.00%88-880-60-00-6048DOWNTOWN STREETSCAPE IMPROV- - - - - - - - - - - 30,000 0.00%88-880-60-00-6079 ROUTE 47 EXPANSION 624 624 624 624 624 624 624 624 624 624 624 6,864 7,488 91.67%FNBO Loan - 102 E Van Emmon Building88-880-81-00-8000 PRINCIPAL PAYMENT - 200,000 - - - - - - - - 200,000 200,000 100.00%88-880-81-00-8050 INTEREST PAYMENT - 18,250 - - - - - - - - 18,250 18,250 100.00%TOTAL FUND REVENUES 8,667 30,835 406 2,477 25,571 6,172 1,648 - - - - 75,776 80,000 94.72%TOTAL FUND EXPENDITURES 3,311 222,088 3,354 3,415 3,419 3,827 4,759 4,650 29,542 3,311 3,311 284,988 426,484 66.82%FUND SURPLUS (DEFICIT) 5,356 (191,253) (2,948) (939) 22,153 2,345 (3,111) (4,650) (29,542) (3,311) (3,311) (209,212) (346,484) DOWNTOWN TIF II REVENUES89-000-40-00-4000 PROPERTY TAXES 2,001 9,875 271 373 9,711 1,940 0 - - - - 24,171 - 0.00%TOTAL REVENUES: DOWNTOWN TIF II2,001 9,875 271 373 9,711 1,940 0 - - - - 24,171 - 0.00%DOWNTOWN TIF II EXPENDITURES89-890-54-00-5425 TIF INCENTIVE PAYOUT- - - - - - 30,000 50,000 - - - 80,000 - 0.00%89-890-54-00-5462 PROFESSIONAL SERVICES- - - - 1,753 - 4 15 - - - 1,773 - 0.00%89-890-54-00-5466 LEGAL SERVICES- - 753 1,387 4,375 538 452 - 3,393 2,469 97 13,462 10,000 134.62%89-890-54-00-5470 FACADE REHAB PROGRAM- - - - - - - - - - - - 25,000 0.00%TOTAL FUND REVENUES2,001 9,875 271 373 9,711 1,940 0 - - - - 24,171 - 0.00%TOTAL FUND EXPENDITURES- - 753 1,387 6,128 538 30,456 50,015 3,393 2,469 97 95,234 35,000 272.10%FUND SURPLUS (DEFICIT)2,001 9,875 (481) (1,013) 3,583 1,402 (30,455) (50,015) (3,393) (2,469) (97) (71,063) (35,000) 17
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
GENERAL FUND (01) REVENUES
Property Taxes -$ 3,231,926$ 100.2% 3,225,250$ 3,149,635$ 2.61%
Municipal Sales Tax 295,837 2,961,993 94.0% 3,151,800 2,856,819 3.68%
Non-Home Rule Sales Tax 223,922 2,252,570 92.6% 2,432,700 2,206,041 2.11%
Electric Utility Tax 168,553 708,325 99.8% 710,000 725,325 -2.34%
Natural Gas Tax 29,252 237,148 94.9% 250,000 243,360 -2.55%
Excise (Telecommunication) Tax 23,696 256,468 81.8% 313,625 302,671 -15.27%
Cable Franchise Fees - 292,693 100.9% 290,000 283,004 3.42%
Hotel Tax 4,135 74,367 93.0% 80,000 73,880 0.66%
Video Gaming Tax 8,959 126,634 90.5% 140,000 130,999 -3.33%
Amusement Tax 2,165 200,455 97.8% 205,000 202,738 -1.13%
State Income Tax 133,363 1,865,810 97.4% 1,916,366 1,663,191 12.18%
Local Use Tax 78,579 601,956 99.8% 602,966 522,547 15.20%
Road & Bridge Tax - 131,199 100.9% 130,000 128,668 1.97%
Building Permits 40,764 403,229 115.2% 350,000 443,742 -9.13%
Garbage Surcharge 270 1,055,364$ 86.2% 1,224,875 998,854 5.66%
Investment Earnings 4,054 145,375$ 181.7% 80,000$ 80,886 79.73%
MOTOR FUEL TAX FUND (15) REVENUES
Motor Fuel Tax 63,044$ 354,844$ 73.3% 484,084$ 285,387$ 24.34%
WATER FUND (51) REVENUES
Water Sales 5,408$ 2,543,722$ 78.8% 3,228,300$ 2,707,398$ -6.05%
Water Infrastructure Fees 475 663,985 86.5% 768,000 642,843 3.29%
Late Penalties 66 103,009 93.6% 110,000 90,819 13.42%
Water Connection Fees 30,614 302,098 131.3% 230,000 341,260 -11.48%
Water Meter Sales 16,013 126,928 211.5% 60,000 150,240 -15.52%
SEWER FUND (52) REVENUES
Sewer Maintenance Fees 444$ 831,390$ 84.9% 979,200$ 804,705$ 3.32%
Sewer Infrastructure Fees 333 322,345 87.1% 370,000 310,441 3.83%
Sewer Connection Fees 14,600 193,700 99.3% 195,000 153,178 26.45%
PARKS & RECREATION (79) REVENUES
Special Events 1,191$ 92,103$ 102.3% 90,000$ 92,433$ -0.36%
Child Development 10,936 128,162 88.4% 145,000 132,967 -3.61%
Athletics & Fitness 7,988 357,649 98.0% 365,000 314,257 13.81%
Rental Income 0 55,550 101.9% 54,500 52,858 5.09%
Hometown Days - 124,278 115.1% 108,000 118,141 5.19%
*March represents 92% of fiscal year 2020
UNITED CITY OF YORKVILLE
MONTHLY ANALYSIS OF MAJOR REVENUES
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
18
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
GENERAL FUND (01)
Revenues
Local Taxes
Property Taxes -$ 3,231,926$ 100.2% 3,225,250$ 3,149,635$ 2.61%
Municipal Sales Tax 295,837 2,961,993 94.0% 3,151,800 2,856,819 3.68%
Non-Home Rule Sales Tax 223,922 2,252,570 92.6% 2,432,700 2,206,041 2.11%
Electric Utility Tax 168,553 708,325 99.8% 710,000 725,325 -2.34%
Natural Gas Tax 29,252 237,148 94.9% 250,000 243,360 -2.55%
Excise (Telecommunication) Tax 23,696 256,468 81.8% 313,625 302,671 -15.27%
Telephone Utility Tax 695 7,645 91.7%8,340 7,645 0.00%
Cable Franchise Fees - 292,693 100.9% 290,000 283,004 3.42%
Hotel Tax 4,135 74,367 93.0% 80,000 73,880 0.66%
Video Gaming Tax 8,959 126,634 90.5% 140,000 130,999 -3.33%
Amusement Tax 2,165 200,455 97.8% 205,000 202,738 -1.13%
Admissions Tax - 146,143 104.4% 140,000 148,133 -1.34%
Business District Tax 46,433 367,151 85.9% 427,500 390,780 -6.05%
Auto Rental Tax 1,684 16,705 115.2% 14,500 13,568 23.12%
Total Taxes 805,333$ 10,880,224$ 95.5% 11,388,715$ 10,734,598$ 1.36%
Intergovernmental
State Income Tax 133,363$ 1,865,810$ 97.4% 1,916,366$ 1,663,191$ 12.18%
Local Use Tax 78,579 601,956 99.8% 602,966 522,547 15.20%
Cannabis Exise Tax 1,337 1,337 0.0%- - 0.00%
Road & Bridge Tax - 131,199 100.9% 130,000 128,668 1.97%
Personal Property Replacement Tax 547 15,899 93.5% 17,000 11,320 40.45%
Other Intergovernmental 3,015 24,944 67.6% 36,900 39,139 -36.27%
Total Intergovernmental 216,839$ 2,641,144$ 97.7% 2,703,232$ 2,364,865$ 11.68%
Licenses & Permits
Liquor Licenses 22,300$ 36,471$ 65.1% 56,000$ 51,016$ -28.51%
Building Permits 40,764 403,229 115.2% 350,000 443,742 -9.13%
Other Licenses & Permits 1,113 8,962 119.5%7,500 8,399 6.70%
Total Licenses & Permits 64,177$ 448,663$ 108.5% 413,500$ 503,157$ -10.83%
Fines & Forfeits
Circuit Court Fines 3,266$ 34,519$ 76.7% 45,000$ 36,685$ -5.90%
Administrative Adjudication 1,135 21,821 72.7% 30,000 21,162 3.12%
Police Tows - 15,500 31.0% 50,000 34,209 -54.69%
Other Fines & Forfeits 60 255 63.8%400 405 -37.04%
Total Fines & Forfeits 4,461$ 72,096$ 57.5% 125,400$ 92,461$ -22.03%
Charges for Services
^Garbage Surcharge 270$ 1,055,364$ 86.2% 1,224,875$ 998,854$ 5.66%
^Late PMT Penalties - Garbage 9 20,950 99.8% 21,000 17,799 17.71%
^UB Collection Fees 17,120 158,133 95.8% 165,000 156,564 1.00%
Administrative Chargebacks 17,070 187,766 91.7% 204,836 178,188 5.38%
Other Services 1,512 5,615 1122.9%500 - 0.00%
Total Charges for Services 35,981$ 1,427,828$ 88.3% 1,616,211$ 1,351,405$ 5.66%
Investment Earnings 4,054$ 145,375$ 181.7% 80,000$ 80,886$ 79.73%
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
19
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
GENERAL FUND (01) (continued)
Reimbursements/Miscellaneous/Transfers In
Reimb - Engineering & Legal Expenses 459$ 11,494$ 46.0% 25,000$ 155$ 7315.27%
Other Reimbursements 558 70,239 140.5% 50,000 41,450 69.45%
Rental Income 60 6,065 86.6%7,000 6,520 -6.98%
Miscellaneous Income & Transfers In 7 19,635 32.6% 60,180 8,332 0.00%
Total Miscellaneous 1,083$ 107,432$ 75.6% 142,180$ 56,457$ 90.29%
Total Revenues and Transfers 1,131,930$ 15,722,762$ 95.5% 16,469,238$ 15,183,829$ 3.55%
Expenditures
Administration 73,118$ 857,865$ 88.9%964,684$ 856,192$ 0.20%
50 Salaries 44,629 534,766 89.1% 600,095 529,953 0.91%
52 Benefits 17,145 194,624 88.3% 220,528 207,595 -6.25%
54 Contractual Services 10,751 121,758 90.8% 134,061 112,176 8.54%
56 Supplies 592 6,717 67.2% 10,000 6,468 3.85%
Finance 34,913$ 464,204$ 87.0%533,741$ 445,075$ 4.30%
50 Salaries 21,907 266,557 88.4% 301,372 252,505 5.57%
52 Benefits 10,143 104,658 87.4% 119,719 106,809 -2.01%
54 Contractual Services 2,621 91,608 83.2% 110,150 84,851 7.96%
56 Supplies 242 1,381 55.2%2,500 910 51.71%
Police 347,158$ 5,300,380$ 89.3%5,935,224$ 4,973,839$ 6.57%
Salaries 237,336 2,896,019 89.4% 3,238,248 2,677,254 8.17%
Overtime 3,060 101,830 91.7% 111,000 85,609 18.95%
52 Benefits 79,737 2,001,055 92.0% 2,175,164 1,858,822 7.65%
54 Contractual Services 21,046 215,685 76.4% 282,312 278,358 -22.52%
56 Supplies 5,978 85,791 66.8% 128,500 73,796 16.25%
Community Development 61,429$ 747,904$ 80.1%933,186$ 760,055$ -1.60%
50 Salaries 38,239 464,401 89.2% 520,619 427,781 8.56%
52 Benefits 15,781 181,590 98.4% 184,592 159,647 13.74%
54 Contractual Services 7,218 94,310 42.8% 220,320 164,912 -42.81%
56 Supplies 191 7,603 99.3%7,655 7,715 -1.45%
PW - Street Ops & Sanitation 240,849$ 1,815,756$ 78.3%2,320,194$ 1,711,514$ 6.09%
Salaries 33,374 352,282 84.9% 414,921 359,666 -2.05%
Overtime 343 21,521 107.6% 20,000 23,048 0.00%
52 Benefits 16,620 180,297 93.0% 193,915 188,266 -4.23%
54 Contractual Services 115,657 1,077,639 77.5% 1,390,015 1,026,688 4.96%
56 Supplies 74,856 184,017 61.1% 301,343 113,846 61.64%
Administrative Services 393,590$ 4,789,417$ 78.6%6,096,620$ 5,473,242$ -12.49%
50 Salaries 1,512 5,615 1122.9%500 - 0.00%
52 Benefits 19,630 369,501 97.3% 379,699 334,013 10.62%
54 Contractual Services 158,505 2,042,241 65.4% 3,121,021 2,362,645 -13.56%
56 Supplies - 5,226 34.8% 15,000 - 0.00%
99 Transfers Out 213,942 2,366,835 91.7% 2,580,400 2,776,584 -14.76%
Total Expenditures and Transfers 1,151,057$ 13,975,525$ 83.3% 16,783,649$ 14,219,917$ -1.72%
Surplus(Deficit)(19,127)$ 1,747,236$ (314,411)$ 963,912$
^modified accruals basis
*March represents 92% of fiscal year 2020
50
50
20
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
WATER FUND (51)
Revenues
^ Water Sales 5,408$ 2,543,722$ 78.8% 3,228,300$ 2,707,398$ -6.05%
^ Water Infrastructure Fees 475 663,985 86.5% 768,000 642,843 3.29%
^ Late Penalties 66 103,009 93.6% 110,000 90,819 13.42%
Water Connection Fees 30,614 302,098 131.3% 230,000 341,260 -11.48%
Bulk Water Sales - 12,650 253.0% 5,000 2,800 351.79%
Water Meter Sales 16,013 126,928 211.5% 60,000 150,240 -15.52%
Total Charges for Services 52,576$ 3,752,392$ 85.3% 4,401,300$ 3,935,360$ -4.65%
BUILD Program -$ -$ 0.0% -$ 27,465$ -100.00%
Investment Earnings 607$ 27,765$ 116.4% 23,851$ 17,631$ 57.48%
Reimbursements/Miscellaneous/Transfers In
Reimbursements -$ 1,651$ 0.0%-$ 15,753$ -89.52%
Rental Income 8,208 92,994 97.1% 95,749 57,299 62.30%
Miscellaneous Income & Transfers In 14,975 165,765 92.6% 179,031 130,984 26.55%
Total Miscellaneous 23,183$ 260,410$ 94.8% 274,780$ 204,036$ 27.63%
Total Revenues and Transfers 76,366$ 4,040,566$ 86.0% 4,699,931$ 4,184,492$ -3.44%
Expenses
Water Operations
Salaries 33,055$ 356,744$ 70.2% 507,935$ 354,468$ 0.64%
Overtime 1,029 7,540 62.8% 12,000 9,661 -21.95%
52 Benefits 18,477 187,393 71.2% 263,064 197,136 -4.94%
54 Contractual Services 80,787 726,923 89.3% 813,799 638,977 13.76%
56 Supplies 34,269 331,545 84.3% 393,281 287,633 15.27%
60 Capital Outlay 25,059$ 705,170$ 1,428,146$ 506,121$ 39.33%
Well Rehabilitations - 7,796 4.7% 165,000
Road to Better Roads Program 4,428 605,379 106.4% 569,000
Whispering Meadows Subdivision - 881 0.0%-
US 34 Project (IL Rte 47 to Orchard)- 4,475 20.7% 21,608
Route 71 Watermain Replacement - 8,813 20.9% 42,166
Route 47 Expansion 3,781 41,591 91.7% 45,372
Cation Exhange Media Replacement 3,494 12,418 6.7% 185,000
Vehicles & Equipment 13,355 23,818 6.0% 400,000
Debt Service -$ 2,361,500$ 2,361,500$ 1,532,844$ 54.06%
2015A Bond - 442,270 100.0% 442,270
2016 Refunding Bond - 1,646,450 100.0% 1,646,450
IEPA Loan L17-156300 - 125,030 100.0% 125,030
2014C Refunding Bond - 147,750 100.0% 147,750
Total Expenses 192,675$ 4,676,815$ 80.9% 5,779,725$ 3,526,840$ 32.61%
Surplus(Deficit)(116,309)$ (636,248)$ (1,079,794)$ 657,652$
^modified accruals basis
*March represents 92% of fiscal year 2020
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENSES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
Charges for Services
89
50
6025
6059
6022
6066
6081
6079
6070
77
85
6034
94
21
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
SEWER FUND (52)
Revenues
^Sewer Maintenance Fees 444$ 831,390$ 84.9% 979,200$ 804,705$ 3.32%
^Sewer Infrastructure Fees 333 322,345 87.1% 370,000 310,441 3.83%
River Crossing Fees - 600 0.0% - 378 58.73%
^Late Penalties 13 14,604 62.7% 23,300 12,793 14.16%
Sewer Connection Fees 14,600 193,700 99.3% 195,000 153,178 26.45%
Total Charges for Services 15,389$ 1,362,639$ 86.9% 1,567,500$ 1,281,495$ 6.33%
BUILD Program -$ -$ 0.0% -$ 18,000$ -100.00%
Investment Earnings 228$ 38,705$ 541.4% 7,149$ 9,135$ 323.70%
Reimbursements/Miscellaneous/Transfers In
Miscellaneous Income & Transfers In 47,919 531,491 92.4% 575,030 786,666 -32.44%
Total Miscellaneous 47,919$ 531,491$ 92.4% 575,030$ 786,666$ -32.44%
Total Revenues and Transfers 63,536$ 1,932,835$ 89.9% 2,149,679$ 2,095,296$ -7.75%
Expenses
Sewer Operations
Salaries 19,735$ 179,860$ 66.5% 270,446$ 185,349$ -2.96%
Overtime - 280 56.0%500 176 0.00%
52 Benefits 11,768 116,274 70.9% 164,060 94,114 23.55%
54 Contractual Services 11,620 118,600 49.2% 240,935 120,050 -1.21%
56 Supplies 3,083 40,556 64.7% 62,650 52,828 -23.23%
75 Developer Commitment - Lennar(Raintree)- - 0.0% 30,721 - 0.00%
60 Capital Outlay 38,038$ 130,130$ 350,861$ 213,942$ -39.18%
SCADA - - 0.0% 67,000
Road to Better Roads Program 373 59,810 43.7% 137,000
Whispering Meadows Subdidvision - 1,505 0.0%-
US 34 Project (IL Rte 47 to Orchard)- 236 2.1% 11,373
Route 71 Sewer Main Replacement - 12,180 19.3% 63,000
Vehicles 35,792 35,792 71.6% 50,000
Route 47 Expansion 1,873 20,608 91.6% 22,488
Debt Service -$ 1,352,307$ 1,352,307$ 1,880,265$ -28.08%
2003 IRBB Debt Certificates - 164,668 100.0% 164,668
2011 Refunding Bond - 1,134,114 100.0% 1,134,114
IEPA Loan L17-115300 - 53,525 100.0% 53,525
99 Transfers Out 6,156$ 67,719$ 91.7% 73,875$ 71,202$ -4.89%
Total Expenses and Transfers 90,400$ 2,005,725$ 78.8% 2,546,355$ 2,617,926$ -23.38%
Surplus(Deficit)(26,864)$ (72,890)$ (396,676)$ (522,630)$
^modified accruals basis
*March represents 92% of fiscal year 2020
UNITED CITY OF YORKVILLE
STATEMENT OF REVENUES, EXPENSES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
6070
Charges for Services
50
6001
6059
6066
6025
6034
6079
90
92
96
22
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
PARKS & RECREATION FUND (79)
Revenues
Charges for Services
Special Events 1,191$ 92,103$ 102.3% 90,000$ 92,433$ -0.36%
Child Development 10,936 128,162 88.4% 145,000 132,967 -3.61%
Athletics & Fitness 7,988 357,649 98.0% 365,000 314,257 13.81%
Concession Revenue - 42,396 132.5% 32,000 25,069 69.12%
Total Charges for Services 20,115$ 620,310$ 98.2% 632,000$ 564,726$ 9.84%
Investment Earnings 121$ 1,207$ 80.5%1,500$ 1,397$ -13.59%
Reimbursements/Miscellaneous/Transfers In
Reimbursements -$ 14,147$ 0.0%-$ 23,137$ -38.86%
Rental Income - 55,550 101.9% 54,500 52,858 5.09%
Park Rentals 135 18,414 122.8% 15,000 15,588 18.13%
Hometown Days - 124,278 115.1% 108,000 118,141 5.19%
Sponsorships & Donations 300 17,612 88.1% 20,000 14,277 23.36%
Miscellaneous Income & Transfers In 117,816 1,298,851 91.9% 1,413,988 1,171,997 10.82%
Total Miscellaneous 118,251$ 1,528,851$ 94.9% 1,611,488$ 1,395,998$ 9.52%
Total Revenues and Transfers 138,487$ 2,150,369$ 95.8% 2,244,988$ 1,962,121$ 9.59%
Expenditures
Parks Department 75,246$ 1,010,778$ 87.8%1,151,262$ 892,532$ 13.25%
Salaries 40,556 544,450 90.2% 603,859 485,733 12.09%
Overtime - 3,667 73.3%5,000 4,169 -12.05%
52 Benefits 20,445 255,477 96.7% 264,235 225,938 13.07%
54 Contractual Services 5,142 59,153 67.6% 87,538 53,499 10.57%
56 Supplies 9,102 148,032 77.7% 190,630 123,193 20.16%
Recreation Department 71,436$ 1,047,314$ 87.4%1,197,819$ 919,085$ 13.95%
50 Salaries 36,669 424,498 85.8% 495,002 396,662 7.02%
52 Benefits 16,951 166,724 90.6% 183,997 155,718 7.07%
54 Contractual Services 14,802 193,217 87.9% 219,820 153,377 25.98%
56 Hometown Days - 124,197 124.2% 100,000 110,986 11.90%
56 Supplies 3,015 138,678 69.7% 199,000 102,342 35.50%
Total Expenditures 146,682$ 2,058,092$ 87.6% 2,349,081$ 1,811,617$ 13.61%
Surplus(Deficit)(8,195)$ 92,276$ (104,093)$ 150,504$
*March represents 92% of fiscal year 2020
YORKVILLE PARKS & RECREATION
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
50
23
March YTD % of FY 2020
Actual Actual Budget Budget YTD Actual % Change
LIBRARY OPERATIONS FUND (82)
Revenues
Property Taxes -$ 1,497,431$ 100.3% 1,492,248$ 1,457,087$ 2.77%
Intergovernmental
Personal Property Replacement Tax 181$ 5,269$ 100.4%5,250$ 3,751$ 40.45%
State Grants - 21,151 105.8% 20,000 25,211 -16.10%
Total Intergovernmental 181$ 26,420$ 104.6% 25,250$ 28,962$ -8.78%
Library Fines 367$ 7,464$ 87.8%8,500$ 7,943$ -6.04%
Charges for Services
Library Subscription Cards 383$ 7,558$ 94.5%8,000$ 8,698$ -13.11%
Copy Fees 353 3,582 95.5%3,750 3,977 -9.92%
Program Fees - 64 0.0%- 1 6285.00%
Total Charges for Services 736$ 11,204$ 95.4% 11,750$ 12,676$ -11.61%
Investment Earnings 389$ 16,196$ 162.0% 10,000$ 10,728$ 50.96%
Reimbursements/Miscellaneous/Transfers In
Miscellaneous Reimbursements -$ -$ 0.0%-$ -$ 0.00%
Rental Income 75 1,350 67.5%2,000 1,350 0.00%
DVD Rental Income - - 0.0%- 1,133 -100.00%
Miscellaneous Income 2 2,524 126.2%2,000 509 395.74%
Transfer In 992 24,388 97.5% 25,003 23,496 3.80%
Total Miscellaneous & Transfers 1,069$ 28,262$ 97.4% 29,003$ 26,488$ 6.70%
Total Revenues and Transfers 2,742$ 1,586,976$ 100.6% 1,576,751$ 1,543,884$ 2.79%
Expenditures
Library Operations 57,301$ 1,507,687$ 93.0%1,620,345$ 1,446,054$ 4.26%
50 Salaries 33,811 403,536 85.1% 474,394 391,116 3.18%
52 Benefits 14,426 157,953 89.9% 175,658 154,257 2.40%
54 Contractual Services 6,819 131,121 88.0% 149,080 89,595 46.35%
56 Supplies 2,245 18,064 74.6% 24,200 18,986 -4.86%
99 Debt Service - 797,013 100.0% 797,013 792,100 0.62%
Total Expenditures and Transfers 57,301$ 1,507,687$ 93.0% 1,620,345$ 1,446,054$ 4.26%
Surplus(Deficit)(54,559)$ 79,289$ (43,594)$ 97,831$
*March represents 92% of fiscal year 2020
YORKVILLE PUBLIC LIBRARY
STATEMENT OF REVENUES, EXPENDITURES AND TRANSFERS
For the Month Ended March 31, 2020 *
Fiscal Year 2019
For the Month Ended March 31, 2019
24
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 1TIME: 12:18:35 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-110-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190525MB 05/14/2019 05 ICSC - PUBLIC INSTITUTION DUE FIRST NATIONAL BANK 900073 052519-B.OLSON-B 100.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 100.00 0.0002 AP-190611B 06/05/2019 15 05/07 EDC MEETING MINUTES MARLYS J. YOUNG 530075 050719 79.50 AP-190625B 06/19/2019 21 05/15/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 530419 051519 65.50 06/19/2019 22 05/21/19 PW MEETING MINUTES MARLYS J. YOUNG 530419 052119 55.75 _________________________________ TOTAL PERIOD 02 ACTIVITY 200.75 0.0003 AP-190709 07/01/2019 09 06/04/19 EDC MEETING MINUTES MARLYS J. YOUNG 530533 060419 60.00 AP-190723 07/17/2019 25 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 530590 053119 113.00 07/17/2019 26 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 395.50 07/17/2019 27 06/18/19 PW MEETING MINUTES MARLYS J. YOUNG 530662 061819 59.25 07/17/2019 28 07/19/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 530662 061919 57.50 _________________________________ TOTAL PERIOD 03 ACTIVITY 685.25 0.0004 AP-190813 08/06/2019 33 SOLICITOR BACKGROUND CHECKS ILLINOIS STATE POLIC 530728 063019 395.50 08/06/2019 34 06/13/19 UDO ADVISORY MEETING MARLYS J. YOUNG 530815 061319 62.00 08/06/2019 35 07/02/19 EDC MEETING MINUTES MARLYS J. YOUNG 530815 070219 45.75 08/06/2019 36 07/03/19 PUBLIC SAFETY MEETING MARLYS J. YOUNG 530815 070319 50.00 08/06/2019 37 07/16/19 PW MEETING MINUTES MARLYS J. YOUNG 530815 071619 48.00 AP-190827 08/20/2019 20 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 530853 073119 113.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 714.25 0.0005 AP-190910 09/04/2019 18 BACKGROUND CHECK ILLINOIS STATE POLIC 530946 073119 28.25 09/04/2019 19 08/06/19 EDC MEETING MINUTES MARLYS J. YOUNG 531008 080619 115.00 AP-190924 09/17/2019 16 08/20/19 JOINT KENDALL MARLYS J. YOUNG 531094 082019 60.00 09/17/2019 17 08/21/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531094 082119 58.00 09/17/2019 18 09/03/19 EDC MEETING MINUTES MARLYS J. YOUNG 531094 090319 65.75 _________________________________ TOTAL PERIOD 05 ACTIVITY 327.00 0.0006 AP-191008 09/30/2019 16 ANNUAL COBRA FEE FLEX BENEFIT SERVICE 531130 082819 100.00 09/30/2019 17 JAN - AUG 2019 COBRA FLEX BENEFIT SERVICE 531130 082819 297.00 09/30/2019 18 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531146 083119 56.50 AP-191022 10/15/2019 31 COBRA SERVICES FLEX BENEFIT SERVICE 531246 093019 22.00 10/15/2019 32 SAFETY DEPOSIT BOX RENTAL OLD SECOND BANK - YO 531326 2049-092319 82.50 10/15/2019 33 09/18/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531327 09/18/19 55.75 AP-191025M 10/15/2019 07 CNA SURETY-NOTARY -OSLON FIRST NATIONAL BANK 900080 102519-B.OLSEM 60.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 673.75 0.0007 AP-191112 11/04/2019 38 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531384 093019 56.50 11/04/2019 39 SOL & MOBILE BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 226.00 11/04/2019 40 10/1/19 EDC MEETING MINUTES MARLYS J. YOUNG 531475 100119 48.75 11/04/2019 41 10/15/19 PW MEETING MINUTES MARLYS J. YOUNG 531475 101519 38.75 11/04/2019 42 09/11/19 PUBLIC SAFETY MEETING MARLYS J. YOUNG 531475 1091119 25.00 AP-191125M 11/14/2019 11 CNA SURETY-OVERCHARGE CREDIT FIRST NATIONAL BANK 900081 112519-B.OLSEM 30.00 AP-191126 11/19/2019 24 OCT 2019 COBRA FLEX BENEFIT SERVICE 531498 121797 50.00 11/19/2019 25 10/16/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531543 101619 60.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 505.00 30.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 2TIME: 12:18:35 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-110-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191210 12/03/2019 17 LIQUOR BACKGROUND CHECK ILLINOIS STATE POLIC 531580 103119 56.50 12/03/2019 18 SOLICITOR BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 141.25 12/03/2019 19 CITY SURVEY TO NON-UB SEBIS DIRECT 531619 28789 625.00 12/03/2019 20 11/05 EDC MEETING MINUTES MARLYS J. YOUNG 531830 110519 57.00 12/03/2019 21 11/07 PUBLIC SAFETY MEETING MARLYS J. YOUNG 531830 110719 64.25 AP-191220M 12/16/2019 17 NOV 2019 COBRA FLEX BENEFIT SERVICE 531865 122047 50.00 12/16/2019 18 PUBLIC HEARING FOR TAX LEVY & CHRISTINE M. VITOSH 531920 CMV 1970 182.02 12/16/2019 19 11/14/19 UDO MEETING MINUTES MARLYS J. YOUNG 531930 111419-UDO 30.00 12/16/2019 20 11/19/19 PW MEETING MINUTES MARLYS J. YOUNG 531930 111919 38.25 12/16/2019 21 11/20/19 ADMIN MEETING MINUTES MARLYS J. YOUNG 531930 112019 55.50 _________________________________ TOTAL PERIOD 08 ACTIVITY 1,299.77 0.0009 AP-200114 01/07/2020 17 LIQUOR LICENSE BACKGROUND ILLINOIS STATE POLIC 531976 113019 84.75 01/07/2020 18 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 28.25 01/07/2020 19 12/03/19 EDC MEETING MINUTES MARLYS J. YOUNG 532019 120319 53.75 AP-200128 01/22/2020 23 DEC 2019 COBRA PART FLEX BENEFIT SERVICE 532057 122362 50.00 01/22/2020 24 2020 PUBLIC OFFICIAL BOND MESIROW INSURANCE SE 532082 1269685 500.00 01/22/2020 25 01/02/20 PUBLIC SAFETY MEETING MARLYS J. YOUNG 532133 010220 53.20 01/22/2020 26 01/07/20 EDC MEETING MINUTES MARLYS J. YOUNG 532133 010720 60.76 _________________________________ TOTAL PERIOD 09 ACTIVITY 830.71 0.0010 AP-200225 02/19/2020 24 JAN 2020 COBRA FLEX BENEFIT SERVICE 532269 122852 50.00 02/19/2020 25 SOLICITOR BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 141.25 02/19/2020 26 01/21/20 PW MEETING MINUTES MARLYS J. YOUNG 532328 012120 40.75 _________________________________ TOTAL PERIOD 10 ACTIVITY 232.00 0.0011 AP-200310 03/02/2020 75 02/04/2020 EDC MEETING MINUTES MARLYS J. YOUNG 532422 020420 53.25 03/02/2020 76 02/18/20 PW MEETING MINUTES MARLYS J. YOUNG 532422 021820 41.44 AP-200324 03/18/2020 26 FEB'20 - COBRA PART FLEX BENEFIT SERVICE 532461 123098 50.00 03/18/2020 27 02/19/20 ADMIN MEETING MINUTES MARLYS J. YOUNG 532518 021920 68.25 03/18/2020 28 03/03/20 EDC MEETING MINUTES MARLYS J. YOUNG 532518 030320 50.96 _________________________________ TOTAL PERIOD 11 ACTIVITY 263.90 0.00 YTD BUDGET 11,000.00 TOTAL ACCOUNT ACTIVITY 5,832.38 30.00 ANNUAL REVISED BUDGET 12,000.00 ENDING BALANCE 5,802.38_____________________________________________________________________________________________________________________________________________________01-120-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 GJ-190530FE 06/03/2019 02 Analysis Charge Partial Refund 25.05 GJ-190531FE 05/21/2019 01 UB CC Fees - Apr 2019 523.95 05/21/2019 07 UB Paymentus Fees - Apr 2019 1,197.25 _________________________________ TOTAL PERIOD 01 ACTIVITY 1,721.20 25.0502 AP-190625B 06/19/2019 37 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 174.64 GJ-190630FE 06/24/2019 01 UB CC Fees - May 2019 676.28 06/24/2019 07 UB Paymentus Fees - May 2019 837.85 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,688.77 0.0003 GJ-190731FE 08/02/2019 01 UB CC Fees - June 2019 591.10
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 3TIME: 12:18:37 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-120-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 GJ-190731FE 08/02/2019 07 UB Paymentus Fees - June 2019 1,292.70 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,883.80 0.0004 AP-190813 08/06/2019 56 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 78.76 08/06/2019 57 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 174.23 GJ-190831FE 08/29/2019 01 UB CC Fees - July 2019 1,123.03 08/29/2019 07 UB Paymentus Fees - July 2019 759.94 08/29/2019 13 FNBO Analysis Charge-July 2019 373.15 GJ-191014FE 10/14/2019 02 CR UB CC Fees - Jul 2019 3.12 _________________________________ TOTAL PERIOD 04 ACTIVITY 2,509.11 3.1205 AP-190910 09/04/2019 30 PREPARATION OF GASB#75 MWM CONSULTING GROUP 530974 270864 4,000.00 GJ-190930FE 09/25/2019 01 UB CC Fees - Aug 2019 789.85 09/25/2019 07 UB Paymentus Fees - Aug 2019 1,305.10 09/25/2019 13 FNBO Analysis Charge-Aug 2019 268.19 _________________________________ TOTAL PERIOD 05 ACTIVITY 6,363.14 0.0006 AP-191008 09/30/2019 33 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 79.27 AP-191022 10/15/2019 50 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 179.68 10/15/2019 51 PREPARATION OF THE ACTUARIAL MWM CONSULTING GROUP 531279 271015 6,200.00 GJ-191029FE 11/07/2019 02 UB CC Fees - Sept 2019 3.20 GJ-191029RV 11/07/2019 01 REVERSE GJ-191029FE 3.20 GJ-191030FE 11/07/2019 01 UB CC Fees - Sept 2019 3.20 GJ-191031FE 10/18/2019 01 UB CC Fees-Sept 2019 213.31 10/18/2019 07 UB Paymentus Fees-Sept 2019 802.69 10/18/2019 13 FNBO Analysis Charge-Sept 2019 233.12 _________________________________ TOTAL PERIOD 06 ACTIVITY 7,711.27 6.4007 AP-191126 11/19/2019 48 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 81.42 11/19/2019 49 PUBLIC OFFICIAL BOND-FINANCE MESIROW INSURANCE SE 531512 1215575 500.00 GJ-191130FE 11/26/2019 01 UB CC Fees - Oct 2019 368.32 11/26/2019 07 UB Paymentus Fees - Oct 2019 1,339.75 11/26/2019 13 FNBO Analysis Chrg - Oct 2019 286.17 _________________________________ TOTAL PERIOD 07 ACTIVITY 2,575.66 0.0008 AP-191220M 12/16/2019 46 SERVER MIGRATION - REINSTALL HARRIS COMPUTER SYST 531866 XT00006947 1,100.00 12/16/2019 47 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 186.62 AP-191224M 12/12/2019 14 GFOA-FY19 CAFR AWARD FEE FIRST NATIONAL BANK 900082 122419-R/FREDRICKSON 530.00 GJ-191231FE 12/30/2019 01 UB CC Fees - Nov 2019 290.05 12/30/2019 07 UB Paymentus Fees - Nov 2019 849.99 12/30/2019 13 FNBO Analysis Charge-Nov 2019 251.13 _________________________________ TOTAL PERIOD 08 ACTIVITY 3,207.79 0.0009 AP-200114 01/07/2020 28 MSI ANNUAL MAINTENANCE HARRIS COMPUTER SYST 531972 MN00004047 18,170.01 AP-200128 01/22/2020 53 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 82.49 GJ-200131FE 01/29/2020 01 UB CC Fees - Dec 2019 285.32 01/29/2020 07 UB Paymentus Fees - Dec 2019 1,207.20 01/29/2020 13 FNBO Analysis Charge-Dec 2019 292.72
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 4TIME: 12:18:37 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-120-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________09 GJ-200210CR 02/10/2020 02 CR GJ-200131FE 0.02 _________________________________ TOTAL PERIOD 09 ACTIVITY 20,037.74 0.0210 AP-200225 02/19/2020 49 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 187.90 GJ-200229FE 02/26/2020 01 UB CC Fees - Jan 2020 179.23 02/26/2020 07 UB Paymentus Fees - Jan 2020 1,144.80 02/26/2020 13 Analysis Charge - Jan 2020 291.95 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,803.88 0.0011 AP-200310 03/02/2020 92 2019 CONTINUING DISCLOSURE SPEER FINANCIAL, INC 532409 D11/19-42 923.75 AP-200324 03/18/2020 46 MYGOVHUB FEES - FEB 2020 HARRIS COMPUTER SYST 532466 XT00007159 80.95 GJ-200330FE 03/19/2020 01 UB CC Fees - Feb 2020 238.82 03/19/2020 07 UB Paymentus Fees - Feb 2020 128.01 03/19/2020 13 FNBO ANalysis Charge-Feb 2020 310.38 _________________________________ TOTAL PERIOD 11 ACTIVITY 1,681.91 0.00 YTD BUDGET 55,000.00 TOTAL ACCOUNT ACTIVITY 51,184.27 34.59 ANNUAL REVISED BUDGET 60,000.00 ENDING BALANCE 51,149.68_____________________________________________________________________________________________________________________________________________________01-210-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190514B 05/07/2019 24 LAW ENFORCEMENT MANUAL UPDATE LEXIPOL LLC 529815 28427 11,967.00 AP-190525MB 05/14/2019 10 ELINEUP-SOFTWARE MAINTENANCE FIRST NATIONAL BANK 900073 052519-N.DECKER-B 600.00 GJ-90520PRE 05/21/2019 26 ID Ntwrk-Live Scan Renewal 1,995.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 14,562.00 0.0003 AP-190723 07/17/2019 60 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 28.25 AP-190725M 07/22/2019 19 SHRED-IT-MAY ON SITE SHREDDING FIRST NATIONAL BANK 900077 072519-N.DECKER 176.73 07/22/2019 20 ACCURINT-MAY 2019 SEARCHES FIRST NATIONAL BANK 900077 072519-N.DECKER 147.25 07/22/2019 21 IL CHIEFS ASSOCIATION-JOB FIRST NATIONAL BANK 900077 072519-R.WRIGHT 50.00 07/22/2019 22 THE BLUE LINE-JOB POSTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 250.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 652.23 0.0004 AP-190825M 08/15/2019 30 SHRED-IT-JUNE 6 ON-SITE FIRST NATIONAL BANK 900078 082519-N.DECKER 177.50 08/15/2019 31 ACCURRINT-JUNE 2019 SEARCHES FIRST NATIONAL BANK 900078 082519-N.DECKER 198.50 _________________________________ TOTAL PERIOD 04 ACTIVITY 376.00 0.0005 AP-190925M 09/16/2019 30 SHRED IT-7/8/19 ON SITE FIRST NATIONAL BANK 900079 092519-N.DECKER 176.73 09/16/2019 31 ACCURINT-JULY 2019 SEARCHES FIRST NATIONAL BANK 900079 092519-N.DECKER 150.00 09/16/2019 32 SHRED-IT-08/01/19 ON SITE FIRST NATIONAL BANK 900079 092519-N.DECKER 175.96 09/16/2019 33 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900079 092519-R.WRIGHT 172.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 674.69 0.0006 AP-191008 09/30/2019 44 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 56.00 09/30/2019 45 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 28.25 AP-191022 10/15/2019 56 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531246 093019 28.00 AP-191025M 10/15/2019 34 IACP-ANNUAL FIRST NATIONAL BANK 900080 102519-B.PFIZENMAIER 190.00 10/15/2019 35 SHRED IT-AUG 2019 ON SITE FIRST NATIONAL BANK 900080 102519-N.DECKER 175.96 10/15/2019 36 ACCURINT-AUG 2019 SEARCHES FIRST NATIONAL BANK 900080 102519-N.DECKER 181.50 _________________________________ TOTAL PERIOD 06 ACTIVITY 659.71 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 5TIME: 12:18:40 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-210-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________07 AP-191125M 11/14/2019 34 SHREDIT-SEPT 2019 SHREDDING FIRST NATIONAL BANK 900081 112519-N.DECKER 175.96 11/14/2019 35 ACCURINT-SEPT 2019 SEARCHES FIRST NATIONAL BANK 900081 112519-N.DECKER 150.00 11/14/2019 36 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 368.96 0.0008 AP-191224M 12/12/2019 27 SHREDIT-OCT 2019 ONSITE FIRST NATIONAL BANK 900082 122419-N.DECKER 175.19 12/12/2019 28 ACCURTINT-OCT 2019 SEARCHES FIRST NATIONAL BANK 900082 122419-N.DECKER 321.50 _________________________________ TOTAL PERIOD 08 ACTIVITY 496.69 0.0009 AP-200125M 01/17/2020 30 SHRED IT-NOV 2019 ON SITE FIRST NATIONAL BANK 900083 012520-N.DECKER 476.63 01/17/2020 31 ACCURINT-NOV 2019 SEARCHES FIRST NATIONAL BANK 900083 012520-N.DECKER 186.50 GJ-200212RC 02/12/2020 01 RC Critcal Reach Inv#20-622 400.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,063.13 0.0010 GJ-200221 02/21/2020 01 Yearly Bassett License Fee 300.00 AP-20025M 02/12/2020 33 SHRED IT-JAN 2020 ON SITE FIRST NATIONAL BANK 900084 022520-N.DECKER 188.27 02/12/2020 34 ACCURINT-DEC 2019 SEARCHES FIRST NATIONAL BANK 900084 022520-N.DECKER 150.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 638.27 0.0011 AP-200310 03/02/2020 108 LIVE SCAN ANNUAL SERVICE ID NETWORKS 532365 275873 1,995.00 03/02/2020 109 1/8 OF CELLBRITE INVOICE FOR KENDALL CO. SHERIFF' 532376 YOR-CELL20 462.50 AP-200325M 03/18/2020 27 SHREDIT-FEB 2020 SHREDDING FIRST NATIONAL BANK 900085 032520-N.DECKER 188.27 03/18/2020 28 ACCURINT-JAN 2020 SEARCHES FIRST NATIONAL BANK 900085 032520-N.DECKER 150.00 _________________________________ TOTAL PERIOD 11 ACTIVITY 2,795.77 0.00 YTD BUDGET 27,500.00 TOTAL ACCOUNT ACTIVITY 22,287.45 0.00 ANNUAL REVISED BUDGET 30,000.00 ENDING BALANCE 22,287.45_____________________________________________________________________________________________________________________________________________________01-220-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 70 REMAINING BALANCE DUE FOR FARR ASSOCIATES 530342 2017021-11 16.21 06/19/2019 71 05/08/19 P&Z MEETING MINUTES MARLYS J. YOUNG 530419 050819 4.67 GJ-90816RC2 08/19/2019 01 RC Adobe Inv#062519-J.Engberg 52.99 _________________________________ TOTAL PERIOD 02 ACTIVITY 73.87 0.0003 AP-190709 07/01/2019 41 MAY 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 530463 4204 240.00 AP-190723 07/17/2019 77 UDO SMART CODE LICENSE FEE & ENCODE PLUS, LLC 530571 1530 7,750.00 AP-190725M 07/22/2019 51 IWORDQ-SOFTWARE MANAGEMENT FIRST NATIONAL BANK 900077 072519-K.BARKSDALE 4,750.00 GJ-90816RC3 08/19/2019 01 RC Adobe Inv#072519-J.Engberg 52.99 _________________________________ TOTAL PERIOD 03 ACTIVITY 12,792.99 0.0004 AP-190825M 08/15/2019 66 ADOBE-MONTHLY CREATIVE CLOUD FIRST NATIONAL BANK 900078 082519-J.ENGBERG 52.99 AP-190827 08/20/2019 73 TEXT AMENDMENT FOR ACCESSORY CHRISTINE M. VITOSH 530893 1958 79.78 08/20/2019 74 TEXT AMENDMENT FOR ACCESSORY MARLYS J. YOUNG 530896 071019 17.06 08/20/2019 75 PLANNING & ZONING COMMISSION MARLYS J. YOUNG 530896 071019 17.06 _________________________________ TOTAL PERIOD 04 ACTIVITY 166.89 0.0005 AP-190924 09/17/2019 62 BUILDING CODE UPDDATE MARLYS J. YOUNG 531094 081419 17.78 09/17/2019 63 08/14/19 P&Z MEETING MINUTES MARLYS J. YOUNG 531094 081419 5.93
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 6TIME: 12:18:43 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-220-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________05 GJ-20203RC2 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 05 ACTIVITY 76.70 0.0006 AP-191008 09/30/2019 57 ADVANCED 180 ENCODE PLUS ENCODE PLUS, LLC 531128 1604 12,375.00 09/30/2019 58 AUG 2019 PROFESSIONAL HOUSEAL LAVIGNE ASSO 531145 4310 2,187.50 09/30/2019 59 BUILDING CODE UPDATE PUBLIC CHRISTINE M. VITOSH 531199 1960 125.39 AP-191022 10/15/2019 63 09/11/19 PLANNING & ZONING MARLYS J. YOUNG 531327 091119 14.34 AP-191025M 10/15/2019 70 SHAW MEDIA-DOWNTOWN HILL FIRST NATIONAL BANK 900080 102519-L.PICKERING 117.18 GJ-20203RC3 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 06 ACTIVITY 14,872.40 0.0007 AP-191112 11/04/2019 100 SEPT 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 531382 4313 240.15 11/04/2019 101 10/09/19 P&Z MEETING MINUTES MARLYS J. YOUNG 531475 100919 3.12 11/04/2019 102 10/09/19 P&Z MEETING-TEXT MARLYS J. YOUNG 531475 100919 6.25 GJ-20203RC4 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 07 ACTIVITY 302.51 0.0008 AP-191210 12/03/2019 48 OCT 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 531578 4376 2,721.40 AP-191220M 12/16/2019 75 TEXT AMENDMENT FOR ADULT-USE CHRISTINE M. VITOSH 531920 1971 285.16 GJ-20203RC5 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 08 ACTIVITY 3,059.55 0.0009 AP-200128 01/22/2020 83 NOV 2019 CONSULTING SERVICES HOUSEAL LAVIGNE ASSO 532065 4405 1,036.55 01/22/2020 84 DEC 2019 CAR WASHES PARADISE CAR WASH 532096 224046 12.00 GJ-20203RC6 02/03/2020 01 RC Adobe Mnthly Cloud License 52.99 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,101.54 0.0010 AP-200211 02/04/2020 48 DEC 2019 PROFESSIONAL HOUSEAL LAVIGNE ASSO 532171 4419 648.75 AP-200225 02/19/2020 62 TEXT AMENDMENT TO ZONING CHRISTINE M. VITOSH 532320 1973 69.20 02/19/2020 63 TEXT AMENDMENT TO ZONING MARLYS J. YOUNG 532328 010820 16.75 AP-20025M 02/12/2020 61 ADOBE CREATIVE CLOUD MONTHLY FIRST NATIONAL BANK 900084 022520-J.ENGBERG 52.99 _________________________________ TOTAL PERIOD 10 ACTIVITY 787.69 0.0011 AP-200304C 03/12/2020 01 JURISDICTIONAL BOUNDARY LINE KENDALL COUNTY RECOR 131168 24253 67.00 AP-200310 03/02/2020 125 JAN 2020 PROFESSIONAL HOUSEAL LAVIGNE ASSO 532363 4501 5,880.00 03/02/2020 126 TEXT AMENDMENT FOR MARLYS J. YOUNG 532422 021220 24.75 03/02/2020 127 7821 RT71 SPECIAL USE 1.5 MARLYS J. YOUNG 532422 021220 24.75 AP-200324 03/18/2020 72 FEB 2020 CAR WASHES PARADISE CAR WASH 532499 224078 12.00 03/18/2020 73 PUBLIC HEARING FOR AMENDMENT CHRISTINE M. VITOSH 532510 1976 212.58 AP-200325M 03/18/2020 46 ADOBE-CHARGED TAX CREDIT FIRST NATIONAL BANK 900085 032520-J.ENGBERG 3.31 03/18/2020 47 ADOBE-MONTHLY CREATIVE CLOUD FIRST NATIONAL BANK 900085 032520-J.ENGBERG 52.99 _________________________________ TOTAL PERIOD 11 ACTIVITY 6,274.07 3.31 YTD BUDGET 57,291.67 TOTAL ACCOUNT ACTIVITY 39,508.21 3.31 ANNUAL REVISED BUDGET 62,500.00 ENDING BALANCE 39,504.90_____________________________________________________________________________________________________________________________________________________01-410-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 78 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 1.37 _________________________________ TOTAL PERIOD 02 ACTIVITY 1.37 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 7TIME: 12:18:45 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-410-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190723 07/17/2019 85 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 56.50 07/17/2019 86 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 0.99 AP-190725M 07/22/2019 58 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 100.49 0.0004 AP-190813 08/06/2019 94 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 1.12 AP-190825M 08/15/2019 71 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 136.00 AP-190827 08/20/2019 85 3 BLADES SHARPENED BOB'S SHARPENING & R 530828 081219 24.00 08/20/2019 86 STORM SEWER TELEVISING & INNOVATIVE UNDERGROU 530857 1321 250.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 411.12 0.0005 AP-190910 09/04/2019 67 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 1.47 09/04/2019 68 DUMPING FEES FOR REMOVING PLANO CLEAN FILL 530983 686 405.00 AP-190924 09/17/2019 69 AUG 2019 DUMPING PLANO CLEAN FILL 531065 687 90.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 496.47 0.0006 AP-191008 09/30/2019 71 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 28.00 09/30/2019 72 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 2.00 09/30/2019 73 GUARDRAIL REPAIR @ FOX & NORTHERN CONTRACTING 531171 8089 1,941.14 _________________________________ TOTAL PERIOD 06 ACTIVITY 1,971.14 0.0007 AP-191112 11/04/2019 117 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 2.61 AP-191125M 11/14/2019 64 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 366.85 11/14/2019 65 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 366.85 _________________________________ TOTAL PERIOD 07 ACTIVITY 736.31 0.0008 AP-191210 12/03/2019 59 SCALE-WEIGHT GROUND EFFECTS INC. 531575 424140-000 80.00 AP-191220M 12/16/2019 83 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 2.43 12/16/2019 84 2020 IGLOO ANNUAL MAINTENANCE KENDALL COUNTY HIGHW 531879 112219-IGLOO 250.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 332.43 0.0009 AP-200125M 01/17/2020 55 GROUND FIRST NATIONAL BANK 900083 012520-K.GREGORY 84.00 AP-200128 01/22/2020 90 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 1.74 _________________________________ TOTAL PERIOD 09 ACTIVITY 85.74 0.0010 AP-200211 02/04/2020 63 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 2.15 AP-20025M 02/12/2020 68 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 69 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 70 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 366.85 02/12/2020 71 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900084 022520-R.WRIGHT 58.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,160.70 0.0011 AP-200324 03/18/2020 81 01/29-02/28 COPIER CHARGES IMPACT NETWORKING, L 532471 1718250 5.25 03/18/2020 82 500 MAILBOX DAMAGE WORKSHEETS ANNETTE M. POWELL 532476 20-03053 100.80 03/18/2020 83 DOT RANDOM MANAGEMENT FEE MIDWEST OCCUPATIONAL 532491 208935 100.00 03/18/2020 84 DESIGN RAILS FOR BID FOR O'MALLEY WELDING & F 532497 19199 400.00 AP-200325M 03/18/2020 51 MINER INV#100520-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 405.59 03/18/2020 52 MINER INV#100484-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 405.59 _________________________________ TOTAL PERIOD 11 ACTIVITY 1,417.23 0.00 YTD BUDGET 6,256.25 TOTAL ACCOUNT ACTIVITY 6,713.00 0.00 ANNUAL REVISED BUDGET 6,825.00 ENDING BALANCE 6,713.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 8TIME: 12:18:48 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________01-640-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190528B 05/21/2019 61 2018 DRAINAGE DISTRICT FEES KENDALL COUNTY COLLE 529899 2018DDF 522.92 _________________________________ TOTAL PERIOD 01 ACTIVITY 522.92 0.0002 AP-190611B 06/05/2019 73 05/01/19 SHARED SERVICES FOR VILLAGE OF OSWEGO 530051 485-B 3,500.00 _________________________________ TOTAL PERIOD 02 ACTIVITY 3,500.00 0.0006 AP-191022 10/15/2019 103 SHARED SERVICES LOBBYING VILLAGE OF OSWEGO 531286 605 14,630.83 _________________________________ TOTAL PERIOD 06 ACTIVITY 14,630.83 0.0008 AP-191220M 12/16/2019 124 AUG-NOV 2019 METRA LOBBYIST VILLAGE OF OSWEGO 531898 646 14,000.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 14,000.00 0.0011 AP-200310 03/02/2020 179 METRA LOBBYIST DEC 2019 & JAN VILLAGE OF OSWEGO 532393 739 7,418.34 _________________________________ TOTAL PERIOD 11 ACTIVITY 7,418.34 0.00 YTD BUDGET 35,447.50 TOTAL ACCOUNT ACTIVITY 40,072.09 0.00 ANNUAL REVISED BUDGET 38,670.00 ENDING BALANCE 40,072.09_____________________________________________________________________________________________________________________________________________________11-111-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0003 AP-190709 07/01/2019 82 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-05 248.07 07/01/2019 83 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-06 248.06 _________________________________ TOTAL PERIOD 03 ACTIVITY 496.13 0.0004 AP-190813 08/06/2019 169 FOX HILL SUBDIVISION RESIDENT AURORA FASTPRINT, IN 530680 22994 297.69 _________________________________ TOTAL PERIOD 04 ACTIVITY 297.69 0.0009 AP-200114 01/07/2020 122 JULY 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-07 248.07 01/07/2020 123 AUG 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-08 248.06 01/07/2020 124 SEPT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-09 248.07 01/07/2020 125 OCT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-10 248.07 01/07/2020 126 NOV 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-11 248.06 01/07/2020 127 DEC 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-12 248.06 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,488.39 0.00 YTD BUDGET 2,728.92 TOTAL ACCOUNT ACTIVITY 2,282.21 0.00 ANNUAL REVISED BUDGET 2,977.00 ENDING BALANCE 2,282.21_____________________________________________________________________________________________________________________________________________________12-112-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0003 AP-190709 07/01/2019 85 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-05 248.06 07/01/2019 86 GROUNDS MANAGEMENT SERVICES BAUM PROPERTY MANAGE 530434 19-06 248.07 _________________________________ TOTAL PERIOD 03 ACTIVITY 496.13 0.0004 AP-190813 08/06/2019 172 SUNFLOWER SUBDIVISION AURORA FASTPRINT, IN 530680 22995 204.19 _________________________________ TOTAL PERIOD 04 ACTIVITY 204.19 0.0009 AP-200114 01/07/2020 129 JULY 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-07 248.06 01/07/2020 130 AUG 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-08 248.07
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 9TIME: 12:18:52 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________12-112-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________09 AP-200114 01/07/2020 131 SEPT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-09 248.06 01/07/2020 132 OCT 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-10 248.06 01/07/2020 133 NOV 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-11 248.07 01/07/2020 134 DEC 2019 MANAGEMENT SERVICES REAL MANAGE 532010 19-12 248.07 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,488.39 0.00 YTD BUDGET 2,728.92 TOTAL ACCOUNT ACTIVITY 2,188.71 0.00 ANNUAL REVISED BUDGET 2,977.00 ENDING BALANCE 2,188.71_____________________________________________________________________________________________________________________________________________________23-230-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 4,583.34 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 5,000.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________25-205-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________25-225-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 0.00 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 0.00_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190528B 05/21/2019 77 ANNUAL SOFTWARE SUPPORT SENSUS USA, INC 529935 ZA19006900 1,949.94 GJ-190530FE 06/03/2019 04 Analysis Charge Partial Refund 33.57 GJ-190531FE 05/21/2019 03 UB CC Fees - Apr 2019 701.97 05/21/2019 09 UB Paymentus Fees - Apr 2019 1,604.02 GJ-90930RC3 09/30/2019 01 RC Itron Inv#517001 600.37 _________________________________ TOTAL PERIOD 01 ACTIVITY 4,856.30 33.5702 AP-190611B 06/05/2019 94 MAY 2019 WATER SYSTEM INTERIM BAXTER & WOODMAN 530016 0206281-B 3,394.80 06/05/2019 95 JUNE 2019 HOSTING SERVICES ITRON 530039 519904 600.37 AP-190625B 06/19/2019 125 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 263.55 GJ-190630FE 06/24/2019 03 UB CC Fees - May 2019 906.05 06/24/2019 09 UB Paymentus Fees - May 2019 1,122.52 _________________________________ TOTAL PERIOD 02 ACTIVITY 6,287.29 0.0003 AP-190709 07/01/2019 106 JULY 2019 HOSTING SERVICES ITRON 530467 523190 600.37 AP-190723 07/17/2019 200 JUNE 2019 WATER SYSTEM BAXTER & WOODMAN 530125 0206905 8,486.00 AP-190725M 07/22/2019 85 APWA-JOB POSTING FIRST NATIONAL BANK 900077 072519-E.DHUSE 400.00 GJ-190731FE 08/02/2019 03 UB CC Fees - June 2019 791.94 08/02/2019 09 UB Paymentus Fees - June 2019 1,731.91 _________________________________ TOTAL PERIOD 03 ACTIVITY 12,010.22 0.0004 AP-190813 08/06/2019 224 06/17-07/11 WATER SYSTEM BAXTER & WOODMAN 530682 0207517 5,942.25 08/06/2019 225 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 118.86
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 10TIME: 12:19:20 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________04 AP-190813 08/06/2019 226 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 262.94 08/06/2019 227 AUG 2019 HOSTING SERVICES ITRON 530734 526199 600.37 GJ-190831FE 08/29/2019 03 UB CC Fees - July 2019 1,504.58 08/29/2019 09 UB Paymentus Fees - July 2019 1,018.13 08/29/2019 15 FNBO Analysis Charge-July 2019 499.94 GJ-191014FE 10/14/2019 04 CR UB CC Fees - Jul 2019 4.18 _________________________________ TOTAL PERIOD 04 ACTIVITY 9,947.07 4.1805 AP-190910 09/04/2019 171 JULY 2019 WATER SYSTEMS BAXTER & WOODMAN 530903 0208010 5,612.30 09/04/2019 172 SEPT 2019 HOSTING FEES ITRON 530952 529179 600.37 AP-190925M 09/16/2019 108 AWWA-JOB POSTING FIRST NATIONAL BANK 900079 092519-A.SIMMONS 449.00 GJ-190930FE 09/25/2019 03 UB CC Fees - Aug 2019 1,058.21 09/25/2019 09 UB Paymentus Fees - Aug 2019 1,748.51 09/25/2019 15 FNBO Analysis Charge-Aug 2019 359.30 GJ-200205RC 02/05/2020 02 RC AWWA Job Post-092519-A.Smmn 449.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 9,827.69 449.0006 AP-191008 09/30/2019 173 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 531125 67502 1,221.00 09/30/2019 174 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 119.63 09/30/2019 175 OCT 2019 HOSTING SERVICES ITRON 531151 532209 600.37 AP-191022 10/15/2019 138 SEPT 2019 WATER SYSTEM BAXTER & WOODMAN 531217 0208717 5,046.50 10/15/2019 139 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 271.16 10/15/2019 140 SEPT 2019 DUMPING PLANO CLEAN FILL 531291 698 45.00 GJ-191029FE 11/07/2019 04 UB CC Fees - Sept 2019 4.30 GJ-191029RV 11/07/2019 03 REVERSE GJ-191029FE 4.30 GJ-191030FE 11/07/2019 03 UB CC Fees - Sept 2019 4.30 GJ-191031FE 10/18/2019 03 UB CC Fees-Sept 2019 285.77 10/18/2019 09 UB Paymentus Fees-Sept 2019 1,075.41 10/18/2019 15 FNBO Analysis Charge-Sept 2019 312.33 _________________________________ TOTAL PERIOD 06 ACTIVITY 8,981.47 8.6007 AP-112519R 11/25/2019 01 JUNE 2019 WATER SYSTEM BAXTER & WOODMAN 530125 0206905 8,486.00 AP-112519VD 11/25/2019 01 JUNE 2019 WATER SY:VOID 530543 BAXTER & WOODMAN 530125 0206905 8,486.00 AP-191112 11/04/2019 221 TROUBLESHOOT RADIO ADVANCED AUTOMATION 531329 19-3212 670.00 11/04/2019 222 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 11/04/2019 223 NOV 2019 HOSTING SERVICES ITRON 531394 535269 600.38 11/04/2019 224 BENCH TESTED WATER METER WATER SERVICES CO. 531465 29859 25.00 AP-191125M 11/14/2019 102 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 430.65 11/14/2019 103 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 430.65 11/14/2019 104 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 79.50 AP-191126 11/19/2019 138 12/17/18 & 12/26/18 BAXTER & WOODMAN 531481 0204128-B 72.50 11/19/2019 139 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 122.86 11/19/2019 140 REIMBURSEMENT FOR CDL LICENSE GEORGE JOHNSON 1436 CDL REIMB 51.13 GJ-191130FE 11/26/2019 03 UB CC Fees - Oct 2019 493.45 11/26/2019 09 UB Paymentus Fees - Oct 2019 1,794.95 11/26/2019 15 FNBO Analysis Chrg - Oct 2019 383.39 _________________________________ TOTAL PERIOD 07 ACTIVITY 13,668.71 8,486.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 11TIME: 12:19:20 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________51-510-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191210 12/03/2019 126 BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 141.25 12/03/2019 127 DEC 2019 HOSTING SERVICES ITRON 531586 537984 624.39 AP-191220M 12/16/2019 189 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 281.63 AP-191224M 12/12/2019 96 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900082 122419-R.WRIGHT 43.00 GJ-191231FE 12/30/2019 03 UB CC Fees - Nov 2019 388.58 12/30/2019 09 UB Paymentus Fees - Nov 2019 1,138.79 12/30/2019 15 FNBO Analysis Charge-Nov 2019 336.45 _________________________________ TOTAL PERIOD 08 ACTIVITY 2,954.09 0.0009 AP-200114 01/07/2020 158 JAN 2020 HOSTING SERVICES ITRON 531982 541237 624.39 AP-200128 01/22/2020 204 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 532051 68154 712.00 01/22/2020 205 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 124.49 01/22/2020 206 BENCH TESTED WATER METERS WATER SERVICES CO. 532125 29926 50.00 01/22/2020 207 BENCH TESTED WATER METER WATER SERVICES CO. 532125 30169 25.00 GJ-200131FE 01/29/2020 03 UB CC Fees - Dec 2019 382.24 01/29/2020 09 UB Paymentus Fees - Dec 2019 1,617.35 01/29/2020 15 FNBO Analysis Charge-Dec 2019 392.16 _________________________________ TOTAL PERIOD 09 ACTIVITY 3,927.63 0.0010 AP-200211 02/04/2020 162 WATER WORKS SYSTEM OPERATIONS ENGINEERING ENTERPRI 532159 68313 98.50 02/04/2020 163 FEB 2020 HOSTING SERVICES ITRON 532176 543971 624.39 AP-200225 02/19/2020 127 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 283.58 02/19/2020 128 APPLICANT BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 113.00 02/19/2020 129 2 BENCH TESTED WATER METERS WATER SERVICES CO. 532322 30441 50.00 GJ-200229FE 02/26/2020 03 UB CC Fees - Jan 2020 240.14 02/26/2020 09 UB Paymentus Fees - Jan 2020 1,533.75 02/26/2020 15 Analysis Charge - Jan 2020 391.14 AP-20025M 02/12/2020 114 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 115 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 116 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 430.65 02/12/2020 117 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 93.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 4,719.45 0.0011 AP-200310 03/02/2020 209 MAR 2020 HOSTING SERVICES ITRON 532372 546691 624.39 AP-200324 03/18/2020 179 LEAK LOCATION SERVICES AT 304 ASSOCIATED TECHNICAL 532428 32374 733.00 03/18/2020 180 MYGOVHUB FEES - FEB 2020 HARRIS COMPUTER SYST 532466 XT00007159 122.16 03/18/2020 181 DOT RANDOM MANAGEMENT FEE MIDWEST OCCUPATIONAL 532491 208935 60.00 AP-200325M 03/18/2020 78 MINER INV#100520-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 404.83 03/18/2020 79 MINER INV#100484-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 404.83 03/18/2020 80 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900085 032520-R.WRIGHT 43.00 GJ-200330FE 03/19/2020 03 UB CC Fees - Feb 2020 319.97 03/19/2020 09 UB Paymentus Fees - Feb 2020 171.50 03/19/2020 15 FNBO ANalysis Charge-Feb 2020 415.83 _________________________________ TOTAL PERIOD 11 ACTIVITY 3,299.51 0.00 YTD BUDGET 59,583.34 TOTAL ACCOUNT ACTIVITY 80,479.43 8,981.35 ANNUAL REVISED BUDGET 65,000.00 ENDING BALANCE 71,498.08_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 12TIME: 12:19:32 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 GJ-190530FE 06/03/2019 06 Analysis Charge Partial Refund 15.66 GJ-190531FE 05/21/2019 05 UB CC Fees - Apr 2019 327.45 05/21/2019 11 UB Paymentus Fees - Apr 2019 748.23 _________________________________ TOTAL PERIOD 01 ACTIVITY 1,075.68 15.6602 AP-190625B 06/19/2019 150 MYGOVHUB FEES - MAY 2019 HARRIS COMPUTER SYST 530348 XT00006855 76.06 06/19/2019 151 JUL - SEPT 2019 ALARM WIRE WIZARD OF ILLIN 530416 31967 138.00 GJ-190630FE 06/24/2019 05 UB CC Fees - May 2019 422.65 06/24/2019 11 UB Paymentus Fees - May 2019 523.63 GJ-90816RC2 08/19/2019 10 RC Wire Whiz Inv#31967 138.00 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,160.34 138.0003 GJ-190731FE 08/02/2019 05 UB CC Fees - June 2019 369.42 08/02/2019 11 UB Paymentus Fees - June 2019 807.89 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,177.31 0.0004 AP-190813 08/06/2019 275 MYGOVHUB FEES - JUNE 2019 HARRIS COMPUTER SYST 530723 XT00006916 34.30 08/06/2019 276 MYGOVHUB FEES - JULY 2019 HARRIS COMPUTER SYST 530723 XT00006930 75.88 GJ-190831FE 08/29/2019 05 UB CC Fees - July 2019 701.85 08/29/2019 11 UB Paymentus Fees - July 2019 474.93 08/29/2019 17 FNBO Analysis Charge-July 2019 233.21 GJ-191014FE 10/14/2019 06 CR UB CC Fees - Jul 2019 1.95 _________________________________ TOTAL PERIOD 04 ACTIVITY 1,520.17 1.9505 AP-190910 09/04/2019 207 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 1.46 AP-190925M 09/16/2019 121 CORRO-TECH-RELACE SENSOR FIRST NATIONAL BANK 900079 092519-T.SOELKE 186.42 GJ-190930FE 09/25/2019 05 UB CC Fees - Aug 2019 493.63 09/25/2019 11 UB Paymentus Fees - Aug 2019 815.64 09/25/2019 17 FNBO Analysis Charge-Aug 2019 167.61 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,664.76 0.0006 AP-191008 09/30/2019 218 AUG 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531141 XT00006936 34.52 AP-191022 10/15/2019 179 SEPT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531256 XT00006970 78.25 AP-191025M 10/15/2019 109 APWA- FIRST NATIONAL BANK 900080 102519-E.DHUSE 400.00 GJ-191028FE 11/07/2019 01 Adjust GJ-191029FE 0.20 GJ-191029FE 11/07/2019 06 UB CC Fees - Sept 2019 2.20 GJ-191029RV 11/07/2019 05 REVERSE GJ-191029FE 2.00 GJ-191030FE 11/07/2019 05 UB CC Fees - Sept 2019 2.00 GJ-191031FE 10/18/2019 05 UB CC Fees-Sept 2019 133.31 10/18/2019 11 UB Paymentus Fees-Sept 2019 501.65 10/18/2019 17 FNBO Analysis Charge-Sept 2019 145.69 _________________________________ TOTAL PERIOD 06 ACTIVITY 1,295.62 4.2007 AP-191112 11/04/2019 272 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 AP-191125M 11/14/2019 116 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 287.10 11/14/2019 117 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 287.10 11/14/2019 118 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 21.50 11/14/2019 119 UPS-1 PKG TO C-T INDUSTRIAL FIRST NATIONAL BANK 900081 112519-T.SOELKE 11.20
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 13TIME: 12:19:32 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________52-520-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________07 AP-191126 11/19/2019 168 OCT 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531500 XT00006991 35.46 GJ-191130FE 11/26/2019 05 UB CC Fees - Oct 2019 230.19 11/26/2019 11 UB Paymentus Fees - Oct 2019 837.30 11/26/2019 17 FNBO Analysis Chrg - Oct 2019 178.84 _________________________________ TOTAL PERIOD 07 ACTIVITY 1,916.94 0.0008 AP-191220M 12/16/2019 230 NOV 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 531867 XT00007042 81.27 AP-191224M 12/12/2019 107 CORRO-3 YEAR MAINTENANCE FIRST NATIONAL BANK 900082 122419-T.SOELKE 1,300.00 GJ-191231FE 12/30/2019 05 UB CC Fees - Nov 2019 181.26 12/30/2019 11 UB Paymentus Fees - Nov 2019 531.22 12/30/2019 17 FNBO Analysis Charge-Nov 2019 156.94 _________________________________ TOTAL PERIOD 08 ACTIVITY 2,250.69 0.0009 AP-200128 01/22/2020 250 DEC 2019 MYGOVHUB FEES HARRIS COMPUTER SYST 532061 XT00007096 35.93 GJ-200131FE 01/29/2020 05 UB CC Fees - Dec 2019 178.31 01/29/2020 11 UB Paymentus Fees - Dec 2019 754.45 01/29/2020 17 FNBO Analysis Charge-Dec 2019 182.94 _________________________________ TOTAL PERIOD 09 ACTIVITY 1,151.63 0.0010 AP-200211 02/04/2020 208 OIL CHANGE SAFETY-KLEEN 532218 82114634 253.99 AP-200225 02/19/2020 157 MYGOVHUB FEES-JAN 2020 HARRIS COMPUTER SYST 532273 XT00007132 81.83 GJ-200229FE 02/26/2020 05 UB CC Fees - Jan 2020 112.02 02/26/2020 11 UB Paymentus Fees - Jan 2020 715.45 02/26/2020 17 Analysis Charge - Jan 2020 182.46 AP-20025M 02/12/2020 123 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 02/12/2020 124 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 02/12/2020 125 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 287.10 _________________________________ TOTAL PERIOD 10 ACTIVITY 2,207.05 0.0011 AP-200324 03/18/2020 225 MYGOVHUB FEES - FEB 2020 HARRIS COMPUTER SYST 532466 XT00007159 35.25 03/18/2020 226 DOT RANDOM MANAGEMENT FEE MIDWEST OCCUPATIONAL 532491 208935 40.00 AP-200325M 03/18/2020 88 MINER INV#100520-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 252.92 03/18/2020 89 MINER INV#100484-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 252.92 GJ-200330FE 03/19/2020 05 UB CC Fees - Feb 2020 149.26 03/19/2020 11 UB Paymentus Fees - Feb 2020 79.99 03/19/2020 17 FNBO ANalysis Charge-Feb 2020 193.97 _________________________________ TOTAL PERIOD 11 ACTIVITY 1,004.31 0.00 YTD BUDGET 39,416.67 TOTAL ACCOUNT ACTIVITY 16,424.50 159.81 ANNUAL REVISED BUDGET 43,000.00 ENDING BALANCE 16,264.69_____________________________________________________________________________________________________________________________________________________79-790-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0002 AP-190625B 06/19/2019 169 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 129.36 06/19/2019 170 05/09/19 PARK BOARK MEETING MARLYS J. YOUNG 530419 050919 73.25 _________________________________ TOTAL PERIOD 02 ACTIVITY 202.61 0.0003 AP-190723 07/17/2019 262 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 28.25 07/17/2019 263 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 45.63
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 14TIME: 12:19:46 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-790-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190725M 07/22/2019 101 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 03 ACTIVITY 116.88 0.0004 AP-190813 08/06/2019 312 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 88.13 AP-190825M 08/15/2019 121 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 58.00 AP-190827 08/20/2019 198 7/11/19 PARK BOARD MEETING MARLYS J. YOUNG 530896 071119-PR 85.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 231.13 0.0005 AP-190910 09/04/2019 242 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 91.71 _________________________________ TOTAL PERIOD 05 ACTIVITY 91.71 0.0006 AP-191008 09/30/2019 245 COBRA PACKET ISSUED FLEX BENEFIT SERVICE 531130 082819 28.00 09/30/2019 246 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 28.25 09/30/2019 247 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 81.23 09/30/2019 248 CITY ID-JACKSON P.F. PETTIBONE & CO. 531176 177508 11.90 AP-191025M 10/15/2019 126 PHYSICIANS CARE-DRUG FIRST NATIONAL BANK 900080 102519-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 192.38 0.0007 AP-191112 11/04/2019 316 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 28.25 11/04/2019 317 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 80.99 11/04/2019 318 09/12/19 PARK BOARD MEETING MARLYS J. YOUNG 531475 091219 83.75 AP-191125M 11/14/2019 128 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 510.40 11/14/2019 129 MINER ELECTRIC-MANAGED FIRST NATIONAL BANK 900081 112519-K.GREGORY 510.40 11/14/2019 130 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 58.00 AP-191126 11/19/2019 188 8/1/19-10/31/19 MANAGED PRINT IMPACT NETWORKING, L 531504 1598932 1.92 _________________________________ TOTAL PERIOD 07 ACTIVITY 1,273.71 0.0008 AP-191220M 12/16/2019 254 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 99.32 GJ-191220RC 12/19/2019 02 RC 1/2 Marlys Yound Inv 121.00 _________________________________ TOTAL PERIOD 08 ACTIVITY 99.32 121.0009 AP-200114 01/07/2020 220 11/14/19 PARK BOARD MEETING MARLYS J. YOUNG 532019 111419-PK 38.38 AP-200128 01/22/2020 288 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 34.53 _________________________________ TOTAL PERIOD 09 ACTIVITY 72.91 0.0010 AP-200211 02/04/2020 248 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 102.52 02/04/2020 249 12/29-01/28 COPIER CHARGES IMPACT NETWORKING, L 532174 1679900 102.52 AP-200225 02/19/2020 182 11/01-01/31 PRINTER CHARGES IMPACT NETWORKING, L 532279 1685880 1.72 AP-20025M 02/12/2020 148 MINER INV#100442-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 02/12/2020 149 MINER INV#100404-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 02/12/2020 150 MINER INV#100366-MANAGED FIRST NATIONAL BANK 900084 022520-K.GREGORY 510.40 _________________________________ TOTAL PERIOD 10 ACTIVITY 1,737.96 0.0011 AP-200310 03/02/2020 271 01/16/2020 PARK BOARD MEETING MARLYS J. YOUNG 532422 011620 30.00 AP-200324 03/18/2020 256 01/29-02/28 COPIER CHARGES IMPACT NETWORKING, L 532471 1718250 82.79 03/18/2020 257 DOT RANDOM MANAGEMENT FEE MIDWEST OCCUPATIONAL 532491 208935 140.00 AP-200325M 03/18/2020 103 MINER INV#100520-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 531.66 03/18/2020 104 MINER INV#100484-TWO WAY FIRST NATIONAL BANK 900085 032520-K.GREGORY 531.66 _________________________________ TOTAL PERIOD 11 ACTIVITY 1,316.11 0.00 YTD BUDGET 8,616.67 TOTAL ACCOUNT ACTIVITY 5,334.72 121.00 ANNUAL REVISED BUDGET 9,400.00 ENDING BALANCE 5,213.72
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 15TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190514B 05/07/2019 81 SUMMER & FALL 2019 USSSA HERB WIEGEL 529824 44 789.25 AP-190528B 05/21/2019 114 UMPIRE JUAN DANIEL AVILA 529869 050419 70.00 05/21/2019 115 UMPIRE MATT BENJAMIN 529871 050919 80.00 05/21/2019 116 UMPIRE DWAYNE F BEYER 529872 050919 80.00 05/21/2019 117 UMPIRE REBEKAH BOHYER 529874 5/3-5/13 40.00 05/21/2019 118 UMPIRE DONALD CZEPIEL 529879 5/3-5/13 55.00 05/21/2019 119 UMPIRE SARA R. EBNER 529884 5/3-5/13 140.00 05/21/2019 120 UMPIRE JOHN ELENBAAS 529885 050419 105.00 05/21/2019 121 UMPIRE JAMIE ELENBAAS 529886 050919 35.00 05/21/2019 122 UMPIRE CONNER FOX 529888 5/3-5/13 65.00 05/21/2019 123 UMPIRE RICARDO GANTE 529891 051119 70.00 05/21/2019 124 UMPIRE JOSHUA HAVERNICK 529892 5/3-5/13 40.00 05/21/2019 125 UMPIRE ANDREW HETTINGER 529893 5/3-5/13 55.00 05/21/2019 126 UMPIRE MICHAEL HILKER 529894 5/3-5/13 20.00 05/21/2019 127 UMPIRE JAREK DANIEL HOTWANG 529895 5/3-5/13 55.00 05/21/2019 128 UMPIRE TY KUKIELKA 529902 5/3-5/13 110.00 05/21/2019 129 UMPIRE JOESEPH KWIATKOWSKI 529903 5/3-5/13 55.00 05/21/2019 130 UMPIRE MATTHEW J. LAWLESS 529904 050619 35.00 05/21/2019 131 UMPIRE OWEN LINDSTRAND 529907 5/3-5/13 100.00 05/21/2019 132 UMPIRE JACOB LIPSCOMB 529908 5/3-5/13 110.00 05/21/2019 133 UMPIRE JORDAN LONG 529909 5/3-5/13 35.00 05/21/2019 134 UMPIRE RAMIRO RENE MARTINEZ 529911 5/3-5/13 20.00 05/21/2019 135 UMPIRE DAVID TYLER MCCURDY 529912 5/3-5/13 140.00 05/21/2019 136 UMPIRE KYLE DEAN MCCURDY 529913 5/3-5/13 115.00 05/21/2019 137 UMPIRE ALEXIS MEYER 529915 5/3-5/13 20.00 05/21/2019 138 UMPIRE BRAD NEMSICK 529918 5/3-5/13 55.00 05/21/2019 139 2019 BASEBALL SCHEDULING FEE MARK PAWLOWSKI 529924 050919 195.00 05/21/2019 140 UMPIRE ROBERT L. RIETZ JR. 529931 050919 80.00 05/21/2019 141 UMPIRE KURTIS TYLER RYAN 529933 5/3-5/13 20.00 05/21/2019 142 UMPIRE TY JAMES SILAS 529937 05/3-05/13 260.00 05/21/2019 143 UMPIRE BEN STEMMET 529938 05/3-05/13 85.00 05/21/2019 144 UMPIRE ZANE STRIKE 529939 05/3-05/13 65.00 05/21/2019 145 UMPIRE PAUL TAEUBER 529940 051119 105.00 05/21/2019 146 UMPIRE NATHANIEL TAGGART 529941 5/3-5/13 55.00 05/21/2019 147 UMPIRE CHRISTOPHER D. TUTTL 529942 05/3-05/13 125.00 05/21/2019 148 UMPIRE JAEDON VAUGHN 529944 05/3-05/13 70.00 05/21/2019 149 UMPIRE IVAN WESTCOTT 529948 05/3-05/13 165.00 05/21/2019 150 UMPIRE HERB WIEGEL 529949 050919 80.00 05/21/2019 151 UMPIRE ALEXANDER VINCENZO W 529950 05/3-05/13 20.00 AP-190528PR 05/28/2019 01 UMPIRE REBEKAH BOHYER 529955 5/14-5/28 25.00 05/28/2019 02 UMPIRE JOSLYN T. BULLINGTON 529982 5/14-5/28 75.00 05/28/2019 03 UMPIRE CONNER FOX 529957 5/14-5/28 60.00 05/28/2019 04 UMPIRE SAM GOLINSKI 529958 5/14-5/28 55.00 05/28/2019 05 UMPIRE JOSHUA HAVERNICK 529959 5/14-5/28 45.00 05/28/2019 06 UMPIRE GEORGE A. JACOBO 529960 5/14-5/28 70.00 05/28/2019 07 UMPIRE ZACHARY STEVEN KAUS 5/14-5/28 20.00 05/28/2019 08 UMPIRE TY KUKIELKA 529962 5/14-5/28 95.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 16TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 AP-190528PR 05/28/2019 09 UMPIRE OWEN LINDSTRAND 529983 5/14-5/28 85.00 05/28/2019 10 UMPIRE JACOB LIPSCOMB 529964 5/14-5/28 55.00 05/28/2019 11 UMPIRE JORDAN LONG 529965 5/14-5/28 70.00 05/28/2019 12 UMPIRE RAMIRO RENE MARTINEZ 529966 5/14-5/28 25.00 05/28/2019 13 UMPIRE DAVID TYLER MCCURDY 529984 5/14-5/28 160.00 05/28/2019 14 UMPIRE KYLE DEAN MCCURDY 529985 5/14-5/28 150.00 05/28/2019 15 UMPIRE ALEXIS MEYER 529986 5/14-5/28 85.00 05/28/2019 16 UMPIRE ROBERT J. PAVLIK 529970 5/14-5/28 55.00 05/28/2019 17 UMPIRE MATTHEW L. RAMEY 529971 5/14-5/28 35.00 05/28/2019 18 UMPIRE KURTIS TYLER RYAN 529987 5/14-5/28 40.00 05/28/2019 19 UMPIRE JONATHAN SCHWEITZER 5/14-5/28 20.00 05/28/2019 20 UMPIRE TY JAMES SILAS 529988 5/14-5/28 90.00 05/28/2019 21 UMPIRE BEN STEMMET 529975 5/14-5/28 60.00 05/28/2019 22 UMPIRE ZANE STRIKE 529976 5/14-5/28 80.00 05/28/2019 23 UMPIRE CHRISTOPHER D. TUTTL 529977 5/14-5/28 40.00 05/28/2019 24 UMPRIE JAEDON VAUGHN 529989 5/14-5/28 40.00 05/28/2019 25 UMPIRE IVAN WESTCOTT 529990 5/14-5/28 50.00 05/28/2019 26 UMPIRE ALEXANDER VINCENZO W 529980 5/14-5/28 40.00 05/28/2019 27 UMPIRE ROYAL WOOLFOLK 5/14-5/28 55.00 AP-190528VD 05/29/2019 01 UMPIRE :VOID 529961 ZACHARY STEVEN KAUS 5/14-5/28 20.00 05/29/2019 02 UMPIRE :VOID 529973 JONATHAN SCHWEITZER 5/14-5/28 20.00 05/29/2019 03 UMPIRE :VOID 529981 ROYAL WOOLFOLK 5/14-5/28 55.00 AP-190529PR 05/29/2019 01 UMPIRE JOSLYN T. BULLINGTON 529982 5/14-5/28 40.00 05/29/2019 02 UMPIRE OWEN LINDSTRAND 529983 5/14-5/28 60.00 05/29/2019 03 UMPIRE DAVID TYLER MCCURDY 529984 5/14-5/28 90.00 05/29/2019 04 UMPIRE KYLE DEAN MCCURDY 529985 5/14-5/28 110.00 05/29/2019 05 UMPIRE ALEXIS MEYER 529986 5/14-5/28 60.00 05/29/2019 06 UMPIRE KURTIS TYLER RYAN 529987 5/14-5/28 20.00 05/29/2019 07 UMPIRE TY JAMES SILAS 529988 5/14-5/28 55.00 05/29/2019 08 UMPRIE JAEDON VAUGHN 529989 5/14-5/28 20.00 05/29/2019 09 UMPIRE IVAN WESTCOTT 529990 5/14-5/28 50.00 GJ-190531FE 05/21/2019 13 PR CC Fees - Apr 2019 997.07 AP-90528VD2 05/29/2019 01 UMPIRE :VOID 529956 JOSLYN T. BULLINGTON 529982 5/14-5/28 75.00 05/29/2019 02 UMPIRE :VOID 529963 OWEN LINDSTRAND 529983 5/14-5/28 85.00 05/29/2019 03 UMPIRE :VOID 529967 DAVID TYLER MCCURDY 529984 5/14-5/28 160.00 05/29/2019 04 UMPIRE :VOID 529968 KYLE DEAN MCCURDY 529985 5/14-5/28 150.00 05/29/2019 05 UMPIRE :VOID 529969 ALEXIS MEYER 529986 5/14-5/28 85.00 05/29/2019 06 UMPIRE :VOID 529972 KURTIS TYLER RYAN 529987 5/14-5/28 40.00 05/29/2019 07 UMPIRE :VOID 529974 TY JAMES SILAS 529988 5/14-5/28 90.00 05/29/2019 08 UMPRIE :VOID 529978 JAEDON VAUGHN 529989 5/14-5/28 40.00 05/29/2019 09 UMPIRE :VOID 529979 IVAN WESTCOTT 529990 5/14-5/28 50.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 7,001.32 870.0002 AP-190611B 06/05/2019 155 UMPIRE JUAN DANIEL AVILA 530015 051819 70.00 06/05/2019 156 UMPIRE MATT BENJAMIN 530017 051619 80.00 06/05/2019 157 UMPIRE DWAYNE F BEYER 530018 051619 80.00 06/05/2019 158 UMPIRE DWAYNE F BEYER 530018 052319 120.00 06/05/2019 159 UMPIRE JAMIE ELENBAAS 530024 051319 35.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 17TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________02 AP-190611B 06/05/2019 160 UMPIRE JAMIE ELENBAAS 530024 051819 70.00 06/05/2019 161 UMPIRE MATTHEW J. LAWLESS 530043 051819 70.00 06/05/2019 162 BASEBALL UMPIRE ASSIGNING FEE CYNTHIA O'LEARY YORKVILLE IN HOUSE 2 1,300.00 06/05/2019 163 BASEBALL TOURNAMENT UMPIRE CYNTHIA O'LEARY 530050 YORKVILLE REC 2019 250.00 06/05/2019 164 UMPIRE ROBERT L. RIETZ JR. 530063 051619 80.00 06/05/2019 165 UMPIRE ROBERT L. RIETZ JR. 530063 052319 40.00 06/05/2019 166 UMPIRE HERB WIEGEL 530072 051619 80.00 06/05/2019 167 UMPIRE HERB WIEGEL 530072 052319 160.00 AP-190619M 06/18/2019 01 UMPIRE RAIUMUNDO FONSECA 530078 WOOD BAT 2019 300.00 06/18/2019 02 UMPIRE SAM GOLINSKI 530079 WOOD BAT 2019 150.00 06/18/2019 03 UMPIRE ANDREW HETTINGER 530080 WOOD BAT 2019 100.00 06/18/2019 04 UMPIRE KENNETH ISHAM 530081 WOOD BAT 2019 100.00 06/18/2019 05 UMPIRE MIKE KALISH 530082 WOOD BAT 2019 150.00 06/18/2019 06 UMPIRE JACOB LIPSCOMB 530083 WOOD BAT 2019 350.00 06/18/2019 07 UMPIRE JACK MODAFF 530084 WOOD BAT 2019 250.00 06/18/2019 08 SCHEDULING OF OFFICIALS CYNTHIA O'LEARY 530085 WOOD BAT 2019 255.00 06/18/2019 09 UMPIRE ROBERT J. PAVLIK 530086 WOOD BAT 2019 50.00 06/18/2019 10 UMPIRE ROBERT L. RIETZ JR. 530087 WOOD BAT 2019 50.00 06/18/2019 11 UMPIRE COLE RUNDLE 530088 WOOD BAT 2019 100.00 06/18/2019 12 UMPIRE MARK RUNYON 530089 WOOD BAT 2019 350.00 06/18/2019 13 UMPIRE VANCE SCHMIDT 530090 WOOD BAT 2019 100.00 06/18/2019 14 UMPIRE NATHANIEL TAGGART 530091 WOOD BAT 2019 50.00 06/18/2019 15 UMPIRE JAMES A. TIETZ 530092 WOOD BAT 2019 300.00 AP-190625B 06/19/2019 194 UMPIRE MATT BENJAMIN 530318 053019 80.00 06/19/2019 195 UMPIRE MATT BENJAMIN 530318 060619 80.00 06/19/2019 196 UMPIRE DWAYNE F BEYER 530319 053019 80.00 06/19/2019 197 UMPIRE DWAYNE F BEYER 530319 060619 80.00 06/19/2019 198 UMPIRE REBEKAH BOHYER 530320 INV 5/29-6/9 85.00 06/19/2019 199 UMPIRE ANTHONY BOULE 530322 INV 5/29-6/9 40.00 06/19/2019 200 UMPIRE JOSLYN T. BULLINGTON 530325 INV 5/29-6/9 20.00 06/19/2019 201 UMPIRE HUMBERTO B. ARROYO 530326 INV 5/29-6/9 60.00 06/19/2019 202 UMPIRE JACOB CARLSON 530330 INV 5/29-6/9 20.00 06/19/2019 203 STRONG FITNESS CLASS KAYLA DJIDIC 530336 0001 175.00 06/19/2019 204 UMPIRE SARA R. EBNER 530339 INV 5/29-6/9 20.00 06/19/2019 205 UMPIRE GARY R FORD JR 530346 INV 5/29-6/9 55.00 06/19/2019 206 UMPIRE SAM GOLINSKI 530347 INV 5/29-6/9 55.00 06/19/2019 207 UMPIRE JOSHUA HAVERNICK 530349 INV 5/29-6/9 80.00 06/19/2019 208 UMPIRE ANDREW HETTINGER 530351 INV 5/29-6/9 165.00 06/19/2019 209 UMPIRE MICHAEL HILKER 530352 INV 5/29-6/9 20.00 06/19/2019 210 UMPIRE JAREK DANIEL HOTWANG 530353 INV 5/29-6/9 55.00 06/19/2019 211 MAY 2019 COPIER CHARGES IMPACT NETWORKING, L 530354 1447604 129.36 06/19/2019 212 UMPIRE GEORGE A. JACOBO 530360 INV 5/29-6/9 35.00 06/19/2019 213 UMPIRE ZACHARY STEVEN KAUS 530361 INV 5/29-6/9 190.00 06/19/2019 214 UMPIRE TY KUKIELKA 530364 INV 5/29-6/9 35.00 06/19/2019 215 UMPIRE OWEN LINDSTRAND 530365 INV 5/29-6/9 125.00 06/19/2019 216 UMPIRE JORDAN LONG 530366 INV 5/29-6/9 20.00 06/19/2019 217 UMPIRE DAVID TYLER MCCURDY 530369 INV 5/29-6/9 105.00 06/19/2019 218 UMPIRE KYLE DEAN MCCURDY 530370 INV 5/29-6/9 90.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 18TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________02 AP-190625B 06/19/2019 219 UMPIRE ALEXIS MEYER 530372 INV 5/29-6/9 95.00 06/19/2019 220 UMPIRE JOSHUA CALEB MEYERS 530373 INV 5/29-6/9 70.00 06/19/2019 221 UMPIRE MICHAEL T. MILLER 530375 060219 70.00 06/19/2019 222 UMPIRE HANNAH MONTELAURO 530376 INV 5/29-6/9 70.00 06/19/2019 223 UMPIRE MATTHEW L. RAMEY 530389 INV 5/29-6/9 35.00 06/19/2019 224 UMPIRE ROBERT L. RIETZ JR. 530391 053019 80.00 06/19/2019 225 UMPIRE ROBERT L. RIETZ JR. 530391 060619 80.00 06/19/2019 226 UMPIRE MARK RUNYON 530392 INV 5/29-6/9 60.00 06/19/2019 227 UMPIRE KURTIS TYLER RYAN 530393 INV 5/29-6/9 45.00 06/19/2019 228 UMPIRE JONATHAN SCHWEITZER 530394 INV 5/29-6/9 65.00 06/19/2019 229 UMPIRE KEVIN SERIO JR 530395 INV 5/29-6/9 55.00 06/19/2019 230 UMPIRE TY JAMES SILAS 530396 INV 5/29-6/9 70.00 06/19/2019 231 UMPIRE BEN STEMMET 530400 INV 5/29-6/9 60.00 06/19/2019 232 UMPIRE ZANE STRIKE 530403 INV 5/29-6/9 80.00 06/19/2019 233 UMPIRE CHRISTOPHER D. TUTTL 530405 INV 5/29-6/9 65.00 06/19/2019 234 UMPRIE JAEDON VAUGHN 530408 INV 5/29-6/9 40.00 06/19/2019 235 UMPIRE WILLIAM WEEKS 530410 INV 5/29-6/9 55.00 06/19/2019 236 UMPIRE IVAN WESTCOTT 530412 INV 5/29-6/9 140.00 06/19/2019 237 UMPIRE HERB WIEGEL 530414 053019 80.00 06/19/2019 238 UMPIRE HERB WIEGEL 530414 060619 80.00 06/19/2019 239 UMPIRE ALEXANDER VINCENZO W 530415 INV 5/29-6/9 20.00 06/19/2019 240 UMPIRE DAVID WOLLNIK 530417 INV 5/29-6/9 60.00 GJ-190630FE 06/24/2019 13 PR CC Fees - May 2019 1,383.81 _________________________________ TOTAL PERIOD 02 ACTIVITY 9,848.17 0.0003 AP-072919VD 07/29/2019 01 SUMMER 2019 TOT RO:VOID 530630 ROCK 'N' KIDS, INC. YRKSU19 329.00 AP-190709 07/01/2019 191 UMPIRE ALJO AMORELLI 530429 061319 40.00 07/01/2019 192 UMPIRE ALJO AMORELLI 530429 062019 60.00 07/01/2019 193 UMPIRE MATT BENJAMIN 530435 062019 80.00 07/01/2019 194 UMPIRE DWAYNE F BEYER 530436 061319 100.00 07/01/2019 195 UMPIRE DWAYNE F BEYER 530436 062019 80.00 07/01/2019 196 UMPIRE REBEKAH BOHYER 530438 JUN 10-23 110.00 07/01/2019 197 UMPIRE ANTHONY BOULE 530439 JUN 10-23 80.00 07/01/2019 198 CHICAGO WHITE SOX SUMMER CAMP ROCLAB ATHLETIC INST 530441 8953 950.00 07/01/2019 199 UMPIRE GARY M. DIETER 530445 061219 75.00 07/01/2019 200 UMPUIRE GARY M. DIETER 530445 061919 50.00 07/01/2019 201 UMPIRE SARA R. EBNER 530448 JUN 10-23 35.00 07/01/2019 202 UMPIRE GARY R FORD JR 530452 061219 50.00 07/01/2019 203 UMPIRE COLIN GLASS 530454 JUN 10-23 40.00 07/01/2019 204 UMPIRE JOSHUA HAVERNICK 530457 JUN 10-23 80.00 07/01/2019 205 UMPIRE ANDREW HETTINGER 530460 JUN 10-23 110.00 07/01/2019 206 UMPIRE MICHAEL HILKER 530461 JUN 10-23 35.00 07/01/2019 207 UMPIRE GEORGE A. JACOBO 530468 JUN 10-23 70.00 07/01/2019 208 UMPIRE ZACHARY STEVEN KAUS 530472 JUN 10-23 85.00 07/01/2019 209 UMPIRE TY KUKIELKA 530474 JUN 10-23 105.00 07/01/2019 210 UMPIRE OWEN LINDSTRAND 530476 JUN 10-23 20.00 07/01/2019 211 UMPIRE DAVID TYLER MCCURDY 530478 JUN 10-23 110.00 07/01/2019 212 UMPIRE KYLE DEAN MCCURDY 530479 JUN 10-23 130.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 19TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190709 07/01/2019 213 UMPIRE JOSHUA CALEB MEYERS 530482 JUN 10-23 35.00 07/01/2019 214 UMPIRE MICHAEL T. MILLER 530484 060919 35.00 07/01/2019 215 UMPIRE JACK MODAFF 530485 JUN 10-23 55.00 07/01/2019 216 UMPIRE HANNAH MONTELAURO 530486 JUN 10-23 105.00 07/01/2019 217 UMPIRE ROBERT MOSER 530487 061219 50.00 07/01/2019 218 UMPIRE MARTY MUNNS 530489 061319 75.00 07/01/2019 219 UMPIRE MARTY MUNNS 530489 061919 75.00 07/01/2019 220 UMPIRE BRAD NEMSICK 530490 JUN 10-23 55.00 07/01/2019 221 UMPIRE STEVE PEARSON 530495 JUN 10-23 120.00 07/01/2019 222 UMPIRE MATTHEW L. RAMEY 530501 JUN 10-23 35.00 07/01/2019 223 UMPIRE GRANT RIEHLE-MOELLER 530502 061219 50.00 07/01/2019 224 UMPIRE GRANT RIEHLE-MOELLER 530502 061919 75.00 07/01/2019 225 UMPIRE BENJAMIN RIETZ 530503 061319 40.00 07/01/2019 226 UMPIRE BENJAMIN RIETZ 530503 062019 60.00 07/01/2019 227 UMPIRE ROBERT L. RIETZ JR. 530504 061319 60.00 07/01/2019 228 UMPIRE ROBERT L. RIETZ JR. 530504 062019 40.00 07/01/2019 229 UMPIRE ROBERT L. RIETZ JR. 530504 JUN 10-23 60.00 07/01/2019 230 UMPIRE MARK RUNYON 530505 JUN 10-23 55.00 07/01/2019 231 UMPIRE KURTIS TYLER RYAN 530506 JUN 10-23 85.00 07/01/2019 232 UMPIRE JONATHAN SCHWEITZER 530507 JUN 10-23 40.00 07/01/2019 233 ASHI CHILD AND BABYSITTING SECOND CHANCE CARDIA 530508 19-006-292 315.00 07/01/2019 234 UMPIRE KEVIN SERIO JR 530509 JUN 10-23 25.00 07/01/2019 235 UMPIRE TY JAMES SILAS 530511 JUN 10-23 105.00 07/01/2019 236 UMPIRE BEN STEMMET 530512 JUN 10-23 70.00 07/01/2019 237 UMPIRE ZANE STRIKE 530513 JUN 10-23 195.00 07/01/2019 238 UMPIRE JAMES A. TIETZ 530515 JUN 10-23 115.00 07/01/2019 239 UMPIRE CHRISTOPHER D. TUTTL 530517 JUN 10-23 45.00 07/01/2019 240 UMPIRE JOE VASCIK 530520 061919 50.00 07/01/2019 241 UMPRIE JAEDON VAUGHN 530521 JUN 10-23 185.00 07/01/2019 242 UMPIRE BOB VELA 530522 JUN 10-23 60.00 07/01/2019 243 UMPIRE WILLIAM WEEKS 530523 061919 50.00 07/01/2019 244 UMPIRE WILLIAM WEEKS 530523 JUN 10-23 55.00 07/01/2019 245 UMPIRE IVAN WESTCOTT 530524 JUN 10-23 35.00 07/01/2019 246 UMPIRE HERB WIEGEL 530526 061319 80.00 07/01/2019 247 UMPIRE DAVID WOLNIK 530528 JUN 10-23 110.00 AP-190723 07/17/2019 293 UMPIRE ALJO AMORELLI 530538 062719 80.00 07/17/2019 294 YOUTH PERSONAL TRAINING FRANK E. BADUS 530544 PLF62419 192.00 07/17/2019 295 UMPIRE MATT BENJAMIN 530546 062719 80.00 07/17/2019 296 UMPIRE DWAYNE F BEYER 530548 062719 80.00 07/17/2019 297 UMPIRE REBEKAH BOHYER 530549 JUNE 24-JULY 7 80.00 07/17/2019 298 UMPIRE ANTHONY BOULE 530550 JUNE 24-JULY 7 80.00 07/17/2019 299 UMPIRE HUMBERTO B. ARROYO 530552 JUNE 24-JULY 7 170.00 07/17/2019 300 REFEREE GARY M. DIETER 530562 062619 75.00 07/17/2019 301 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530563 0002 220.50 07/17/2019 302 UMPIRE RAIUMUNDO FONSECA 530576 JUNE 24-JULY 7 60.00 07/17/2019 303 UMPIRE ANDREW GOLINSKI 530578 JUNE 24-JULY 7 20.00 07/17/2019 304 UMPIRE SAM GOLINSKI 530579 JUNE 24-JULY 7 55.00 07/17/2019 305 UMPIRE ALLEN R. GOSS 530581 JUNE 24-JULY 7 110.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 20TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190723 07/17/2019 306 UMPIRE ANDREW HETTINGER 530586 JUNE 24-JULY 7 60.00 07/17/2019 307 UMPIRE JAREK DANIEL HOTWANG 530587 JUNE 24-JULY 7 55.00 07/17/2019 308 UMPIRE WILLIAM HRUBES 530588 JUNE 24-JULY 7 55.00 07/17/2019 309 BACKGROUND CHECKS ILLINOIS STATE POLIC 530591 053119 310.75 07/17/2019 310 5/29-6/28 COPIER CHARGES IMPACT NETWORKING, L 530594 1475388 45.63 07/17/2019 311 UMPIRE MATTHEW J. LAWLESS 530599 062619 50.00 07/17/2019 312 UMPIRE JOSHUA S LINDHOLM 530601 JUNE 24-JULY 7 55.00 07/17/2019 313 UMPIRE JACOB LIPSCOMB 530602 JUNE 24-JULY 7 55.00 07/17/2019 314 UMPIRE KYLE DEAN MCCURDY 530603 JUNE 24-JULY 7 40.00 07/17/2019 315 UMPIRE MICHAEL T. MILLER 530606 062319 35.00 07/17/2019 316 UMPIRE JACK MODAFF 530607 JUNE 24-JULY 7 330.00 07/17/2019 317 UMPIRE HANNAH MONTELAURO 530608 JUNE 24-JULY 7 40.00 07/17/2019 318 UMPIRE ROBERT MOSER 530609 062619 75.00 07/17/2019 319 UMPIRE JON MUEHLBAUER 530610 JUNE 24-JULY 7 55.00 07/17/2019 320 UMPIRE MARTY MUNNS 530611 062619 75.00 07/17/2019 321 UMPIRE BRAD NEMSICK 530613 JUNE 24-JULY 7 110.00 07/17/2019 322 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY 530616 SUMMER YOUTH BK 2019 300.00 07/17/2019 323 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY YORKVILLE IN HOUSE 2 1,600.00 07/17/2019 324 UMPIRE GRANT RIEHLE-MOELLER 530627 062619 75.00 07/17/2019 325 UMPIRE BENJAMIN RIETZ 530628 062719 80.00 07/17/2019 326 UMPIRE ROBERT L. RIETZ JR. 530629 062719 80.00 07/17/2019 327 UMPIRE ROBERT L. RIETZ JR. 530629 JUNE 24-JULY 7 110.00 07/17/2019 328 SUMMER 2019 TOT ROCK CLASSES ROCK 'N' KIDS, INC. YRKSU19 329.00 07/17/2019 329 UMPIRE KURTIS TYLER RYAN 530632 JUNE 24-JULY 7 60.00 07/17/2019 330 UMPIRE KEVIN SERIO JR 530636 JUNE 24-JULY 7 25.00 07/17/2019 331 UMPIRE TY JAMES SILAS 530638 JUNE 24-JULY 7 25.00 07/17/2019 332 UMPIRE TIM SIPES 530639 JUNE 24-JULY 7 55.00 07/17/2019 333 UMPIRE BEN STEMMET 530642 JUNE 24-JULY 7 35.00 07/17/2019 334 UMPIRE ZANE STRIKE 530644 JUNE 24-JULY 7 40.00 07/17/2019 335 UMPIRE JAMES A. TIETZ 530646 JUNE 24-JULY 7 110.00 07/17/2019 336 UMPIRE CHRISTOPHER D. TUTTL 530649 JUNE 24-JULY 7 35.00 07/17/2019 337 UMPRIE JAEDON VAUGHN 530652 JUNE 24-JULY 7 20.00 07/17/2019 338 UMPIRE BOB VELA 530653 JUNE 24-JULY 7 110.00 07/17/2019 339 UMPIRE WILLIAM WEEKS 530654 JUNE 24-JULY 7 115.00 07/17/2019 340 UMPIRE IVAN WESTCOTT 530656 JUNE 24-JULY 7 70.00 07/17/2019 341 UMPIRE DAVID WOLNIK 530657 JUNE 24-JULY 7 55.00 07/17/2019 342 UMPIRE ROYAL WOOLFOLK 530658 JUNE 24-JULY 7 55.00 07/17/2019 343 UMPIRE JOEL WYETH 530661 JUNE 24-JULY 7 60.00 AP-190725M 07/22/2019 126 PHYSICIANS CARE-DRUG TESTING FIRST NATIONAL BANK 900077 072519-R.WRIGHT 86.00 07/22/2019 127 LISA LOMBARDI COACHING-JUNE FIRST NATIONAL BANK 900077 072519-S.REDMON 87.50 07/22/2019 128 VERMONT SYSTEMS-REC TRAC FIRST NATIONAL BANK 900077 072519-S.REDMON 5,250.00 07/22/2019 129 ARCHERY PLACE-MAY ARCHERY FIRST NATIONAL BANK 900077 072519-T.NELSON 120.00 07/22/2019 130 ARCHERY PLACE-JUNE ARCHERY FIRST NATIONAL BANK 900077 072519-T.NELSON 80.00 GJ-190731FE 08/02/2019 13 PR CC Fees - June 2019 1,847.95 CR-P190709 07/09/2019 90 172725 1,847.95 07/09/2019 91 172731 1,847.95 _________________________________ TOTAL PERIOD 03 ACTIVITY 20,707.28 2,176.95
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 21TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________04 AP-190813 08/06/2019 337 SUMMER I 2019 SPORTS CLASS ALL STAR SPORTS INST 530666 194052 9,930.00 08/06/2019 338 UMPIRE ALJO AMORELLI 530671 071119 120.00 08/06/2019 339 UMPIRE ALJO AMORELLI 530671 071819 120.00 08/06/2019 340 UMPIRE ALJO AMORELLI 530671 072519 80.00 08/06/2019 341 UMPIRE MATT BENJAMIN 530685 071819 100.00 08/06/2019 342 UMPIRE MATT BENJAMIN 530685 072519 80.00 08/06/2019 343 UMPIRE DWAYNE F BEYER 530686 071119 120.00 08/06/2019 344 UMPIRE DWAYNE F BEYER 530686 071819 80.00 08/06/2019 345 UMPIRE DWAYNE F BEYER 530686 072519 80.00 08/06/2019 346 UMPIRE REBEKAH BOHYER 530688 JULY 8-JULY 28 25.00 08/06/2019 347 RUGBY CAMP INSTRUCTION WAUBONSEE VALLEY RUG 530693 1001 472.50 08/06/2019 348 UMPIRE GARY M. DIETER 530699 071019 75.00 08/06/2019 349 UMPIRE GARY M. DIETER 530699 071719 75.00 08/06/2019 350 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530700 0003 168.00 08/06/2019 351 UMPIRE SARA R. EBNER 530704 JULY 8-JULY 28 100.00 08/06/2019 352 UMPIRE GARY R FORD JR 530716 071019 50.00 08/06/2019 353 UMPIRE ANDREW HETTINGER 530725 JULY 8-JULY 28 120.00 08/06/2019 354 BACKGROUND CHECKS ILLINOIS STATE POLIC 530728 063019 56.50 08/06/2019 355 06/29-07/28 COPIER CHARGES IMPACT NETWORKING, L 530731 1500632 88.12 08/06/2019 356 SPACE ADVENTURE CAMP JMC VENTURES, LLC 530735 071719 105.00 08/06/2019 357 JULY MAGIC CLASS GARY KANTOR 530737 JULY 2019 75.00 08/06/2019 358 UMPIRE MATTHEW J. LAWLESS 530133 071719 50.00 08/06/2019 359 UMPIRE STEPHEN LINDSTROM 530744 071719 50.00 08/06/2019 360 UMPIRE MICHAEL T. MILLER 530757 072119 140.00 08/06/2019 361 UMPIRE JACK MODAFF 530758 JULY 8-JULY 28 60.00 08/06/2019 362 UMPIRE ROBERT MOSER 530760 071019 75.00 08/06/2019 363 UMPIRE MARTY MUNNS 530762 071019 50.00 08/06/2019 364 UMPIRE MARTY MUNNS 530762 071719 75.00 08/06/2019 365 UMPIRE GRANT RIEHLE-MOELLER 530786 071019 50.00 08/06/2019 366 UMPIRE GRANT RIEHLE-MOELLER 530786 071719 50.00 08/06/2019 367 UMPIRE BENJAMIN RIETZ 530787 071119 120.00 08/06/2019 368 UMPIRE BENJAMIN RIETZ 530787 071819 80.00 08/06/2019 369 UMPIRE BENJAMIN RIETZ 530787 072519 80.00 08/06/2019 370 UMPIRE ROBERT L. RIETZ JR. 530788 071119 40.00 08/06/2019 371 UMPIRE ROBERT L. RIETZ JR. 530788 071819 40.00 08/06/2019 372 UMPIRE TY JAMES SILAS 530792 JULY 8-JULY 28 50.00 08/06/2019 373 UMPIRE WILLIAM WEEKS 530802 JULY 8-JULY 28 180.00 08/06/2019 374 UMPIRE DAVID WOLNIK 530808 JULY 8-JULY 28 60.00 AP-190825M 08/15/2019 155 PHYSICIANS CARE-DRUG TESTS FIRST NATIONAL BANK 900078 082519-R.WRIGHT 215.00 08/15/2019 156 PETITE PALETTE-YOUTUBE VIDEO FIRST NATIONAL BANK 900078 082519-S.REDMON 650.00 08/15/2019 157 ROC'N'KIDS-SUMMER TOT ROCK FIRST NATIONAL BANK 900078 082519-S.REDMON 329.00 08/15/2019 158 LISA LOMBARDI-THRILLS & FIRST NATIONAL BANK 900078 082519-S.REDMON 170.10 08/15/2019 159 ARCHERY PLACE-JULY 2019 FIRST NATIONAL BANK 900078 082519-T.NELSON 575.00 AP-190827 08/20/2019 223 JUNE 26-30 SOCCER CAMP 5 STAR SOCCER CAMPS 530817 062519 1,200.00 08/20/2019 224 UMPIRE ANDREW HETTINGER 530852 JUL29-AUG11 60.00 08/20/2019 225 UMPIRE OWEN LINDSTRAND 530862 JUL29-AUG11 75.00 GJ-190831FE 08/29/2019 19 PR CC Fees - July 2019 2,098.55 _________________________________ TOTAL PERIOD 04 ACTIVITY 18,742.77 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 22TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________05 AP-190910 09/04/2019 262 UMPIRE ALJO AMORELLI 530898 080819 160.00 09/04/2019 263 UMPIRE ALJO AMORELLI 530898 081519 160.00 09/04/2019 264 UMPIRE ALJO AMORELLI 530898 082219 80.00 09/04/2019 265 UMPIRE DWAYNE F BEYER 530905 080819 160.00 09/04/2019 266 UMPIRE DWAYNE F BEYER 530905 081519 160.00 09/04/2019 267 UMPIRE DWAYNE F BEYER 530905 082219 80.00 09/04/2019 268 UMPIRE REBEKAH BOHYER 530906 AUG 12-AUG 25 70.00 09/04/2019 269 UMPIRE ANTHONY BOULE 530907 AUG 12-AUG 25 115.00 09/04/2019 270 UMPIRE JOSLYN T. BULLINGTON 530908 AUG 12-AUG 25 20.00 09/04/2019 271 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530920 0004 112.00 09/04/2019 272 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 530920 0005 185.50 09/04/2019 273 UMPIRE JOHN ELENBAAS 530930 082419 35.00 09/04/2019 274 UMPIRE GARY R FORD JR 530933 AUG 12-AUG 25 55.00 09/04/2019 275 UMPIRE RICARDO GANTE 530936 082419 70.00 09/04/2019 276 UMPIRE ANDREW GOLINSKI 530938 AUG 12-AUG 25 105.00 09/04/2019 277 UMPIRE SAM GOLINSKI 530939 AUG 12-AUG 25 110.00 09/04/2019 278 2019 MENS FALL SOFTBALL BIG DAWG ATHLETICS L 530941 25 220.00 09/04/2019 279 UMPIRE ANDREW HETTINGER 530944 AUG 12-AUG 25 110.00 09/04/2019 280 UMPIRE JAREK DANIEL HOTWANG 530945 AUG 12-AUG 25 110.00 09/04/2019 281 BACKGROUND CHECKS ILLINOIS STATE POLIC 530946 073119 847.50 09/04/2019 282 7/29-8/28 COPY CHARGES IMPACT NETWORKING, L 530949 1531533 91.71 09/04/2019 283 UMPIRE JOESEPH KWIATKOWSKI 530956 082519 70.00 09/04/2019 284 UMPIRE JACOB LIPSCOMB 530961 AU 12-AUG 25 110.00 09/04/2019 285 UMPIRE DAVID TYLER MCCURDY 530963 AUG 12-AUG 25 35.00 09/04/2019 286 UMPIRE KYLE DEAN MCCURDY 530964 AUG 12-AUG 25 90.00 09/04/2019 287 UMPIRE JACK MODAFF 530972 AUG 12-AUG 25 110.00 09/04/2019 288 UMPIRE BENJAMIN RIETZ 530991 082219 80.00 09/04/2019 289 UMPIRE ROBERT L. RIETZ JR. 530992 082219 80.00 09/04/2019 290 UMPIRE TY JAMES SILAS 530993 AUG 12-AUG 25 95.00 09/04/2019 291 UMPIRE ZANE STRIKE 530995 AUG 12-AUG 25 90.00 09/04/2019 292 UMPIRE NATHANIEL TAGGART 530996 AUG 12-AUG 25 165.00 09/04/2019 293 UMPIRE CHRISTOPHER D. TUTTL 530999 AUG 12-AUG 25 55.00 09/04/2019 294 UMPRIE JAEDON VAUGHN 531001 AUG 12-AUG 25 85.00 09/04/2019 295 UMPIRE WILLIAM WEEKS 531002 AUG 12-AUG 25 55.00 09/04/2019 296 UMPIRE HERB WIEGEL 531004 080819 120.00 09/04/2019 297 UMPIRE HERB WIEGEL 531004 081519 120.00 09/04/2019 298 UMPIRE HERB WIEGEL 531004 082219 120.00 09/04/2019 299 UMPIRE ALEXANDER VINCENZO W 531005 AUG 12-AUG 25 60.00 AP-190924 09/17/2019 192 SUMMER II SESSION SPORTS ALL STAR SPORTS INST 531011 195144 910.00 09/17/2019 193 UMPIRE REBEKAH BOHYER 531019 AUG 26-SEPT 8 25.00 09/17/2019 194 UMPIRE JOSLYN T. BULLINGTON 531021 AUG 26-SEPT 8 20.00 09/17/2019 195 SUMMER JUNIOR CAMPS CHAD JOHANSEN GOLF A 531023 2039 1,858.00 09/17/2019 196 UMPIRE RICARDO GANTE 531036 090719 70.00 09/17/2019 197 UMPIRE ANDREW GOLINSKI 531037 AUG 26-SEPT 8 70.00 09/17/2019 198 UMPIRE DEVIN HERNANDEZ 531040 090719 105.00 09/17/2019 199 UMPIRE JAREK DANIEL HOTWANG 531041 AUG 26-SEPT 8 110.00 09/17/2019 200 UMPIRE MARK A. HUTH 531042 AUG 26-SEPT 8 110.00 09/17/2019 201 UMPIRE JOESEPH KWIATKOWSKI 531051 090819 70.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 23TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________05 AP-190924 09/17/2019 202 UMPIRE KYLE DEAN MCCURDY 531053 AUG 26-SEPT 8 35.00 09/17/2019 203 UMPIRE TY JAMES SILAS 531077 AUG 26-SEPT 8 25.00 09/17/2019 204 UMPIRE ZANE STRIKE 531081 AUG 26-SEPT 8 55.00 09/17/2019 205 UMPIRE JAEDON VAUGHN 531086 AUG 26-SEPT 8 20.00 09/17/2019 206 UMPIRE ALEXANDER VINCENZO W 531091 AUG 26-SEPT 8 20.00 09/17/2019 207 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1370 0006 371.00 AP-190925M 09/16/2019 173 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900079 092519-R.WRIGHT 172.00 09/16/2019 174 ADVANCED DISPOSAL-DUMPSTER FIRST NATIONAL BANK 900079 092519-S.REDMON 149.90 09/16/2019 175 ARCHERY PLACE-AUGUST ARCHERY FIRST NATIONAL BANK 900079 092519-T.NELSON 80.00 GJ-190930FE 09/25/2019 19 PR CC Fees - Aug 2019 1,270.05 _________________________________ TOTAL PERIOD 05 ACTIVITY 10,142.66 0.0006 AP-191008 09/30/2019 269 UMPIRE ALJO AMORELLI 531097 091219 80.00 09/30/2019 270 UMPIRE ALJO AMORELLI 531097 091919 80.00 09/30/2019 271 UMPIRE DIEGO BARRERA 531101 091419 105.00 09/30/2019 272 UMPIRE DWAYNE F BEYER 531103 091219 100.00 09/30/2019 273 UMPIRE DWAYNE F BEYER 531103 091919 160.00 09/30/2019 274 UMPIRE REBEKAH BOHYER 531105 SEPT 9 - SEPT 22 35.00 09/30/2019 275 UMPIRE ANTHONY BOULE 531106 SEPT 9 - SEPT 22 35.00 09/30/2019 276 UMPIRE RYAN BUCK 531107 SEPT 9 - SEPT 22 100.00 09/30/2019 277 UMPIRE JOSLYN T. BULLINGTON 531108 SEPT 9 - SEPT 22 120.00 09/30/2019 278 UMPIRE DONALD CZEPIEL 531116 SEPT 9 - SEPT 22 55.00 09/30/2019 279 UMPIRE SARA R. EBNER 531120 SEPT 9 - SEPT 22 160.00 09/30/2019 280 UMPIRE JOHN ELENBAAS 531126 091419 70.00 09/30/2019 281 UMPIRE ANDREW GOLINSKI 531136 SEPT 9 - SEPT 22 140.00 09/30/2019 282 UMPIRE ALLEN R. GOSS 531137 SEPT 9 - SEPT 22 220.00 09/30/2019 283 UMPIRE ANDREW HETTINGER 531144 SEPT 9 - SEPT 22 280.00 09/30/2019 284 BACKGROUND CHECKS ILLINOIS STATE POLIC 531147 083119 536.75 09/30/2019 285 08/29-09/28 COPIER CHARGES IMPACT NETWORKING, L 531149 1560208 81.24 09/30/2019 286 UMPIRE COLLIN JANUSZ 531152 AUG 26 - SEPT 8 40.00 09/30/2019 287 UMPIRE COLLIN JANUSZ 531152 SEPT 9 - SEPT 22 40.00 09/30/2019 288 UMPIRE DAVID TYLER MCCURDY 531158 SEPT 9 - SEPT 22 105.00 09/30/2019 289 UMPIRE KYLE DEAN MCCURDY 531159 SEPT 9 - SEPT 22 165.00 09/30/2019 290 UMPIRE JACK MODAFF 531165 SEPT 9 - SEPT 22 110.00 09/30/2019 291 UMPIRE MARK PAWLOWSKI 531173 091219 80.00 09/30/2019 292 UMPIRE MARK PAWLOWSKI 531173 091919 80.00 09/30/2019 293 UMPIRE ROBERT L. RIETZ JR. 531185 091219 60.00 09/30/2019 294 UMPIRE MARK RUNYON 531186 SEPT 9 - SEPT 22 295.00 09/30/2019 295 UMPIRE TY JAMES SILAS 531188 SEPT 9 - SEPT 22 95.00 09/30/2019 296 UMPIRE ZANE STRIKE 531190 SEPT 9 - SEPT 22 160.00 09/30/2019 297 UMPIRE NATHANIEL TAGGART 531191 SEPT 9 - SEPT 22 110.00 09/30/2019 298 UMPIRE JAMES A. TIETZ 531193 SEPT 9 - SEPT 22 110.00 09/30/2019 299 UMPIRE CHRISTOPHER D. TUTTL 531196 SEPT 9 - SEPT 22 90.00 09/30/2019 300 UMPIRE JAEDON VAUGHN 531198 SEPT 9 - SEPT 22 170.00 09/30/2019 301 UMPIRE WILLIAM WEEKS 531200 SEPT 9 - SEPT 22 110.00 09/30/2019 302 UMPIRE HERB WIEGEL 531201 091219 120.00 09/30/2019 303 UMPIRE HERB WIEGEL 531201 091919 120.00 09/30/2019 304 UMPIRE ALEXANDER VINCENZO W 531203 SEPT 9 - SEPT 22 40.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 24TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191008 09/30/2019 305 09/16-10/21 ZUMBINI CLASS RACHEL WIXON 531205 FALL I 336.00 09/30/2019 306 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1375 0007 297.50 AP-191022 10/15/2019 227 FALL 2019 CLASS INSTRUCTION ALL STAR SPORTS INST 531208 196185 1,334.00 10/15/2019 228 UMPIRE ALJO AMORELLI 531210 092619 160.00 10/15/2019 229 UMPIRE ALJO AMORELLI 531210 100319 80.00 10/15/2019 230 UMPIRE JUAN DANIEL AVILA 531216 092519 35.00 10/15/2019 231 UMPIRE DWAYNE F BEYER 531221 092619 20.00 10/15/2019 232 UMPIRE DWAYNE F BEYER 531221 100319 80.00 10/15/2019 233 REFEREE REBEKAH BOHYER 531222 SEPT 23-OCT 7 35.00 10/15/2019 234 UMPIRE ANTHONY BOULE 531223 SEPT 23-OCT 7 70.00 10/15/2019 235 UMPIRE RYAN BUCK 531224 SEPT 23-OCT 7 135.00 10/15/2019 236 UMPIRE JOSLYN T. BULLINGTON 531225 SEPT 23-OCT 7 35.00 10/15/2019 237 UMPIRE SARA R. EBNER 531238 SEPT 23-OCT 7 70.00 10/15/2019 238 UMPIRE JAMIE ELENBAAS 531240 100519 70.00 10/15/2019 239 UMPIRE ANDREW GOLINSKI 531250 SEPT 23-OCT 7 105.00 10/15/2019 240 UMPIRE SAM GOLINSKI 531251 SEPT 23-OCT 7 205.00 10/15/2019 241 UMPIRE ALLEN R. GOSS 531252 SEPT 23-OCT 7 110.00 10/15/2019 242 UMPIRE HALLE HARPER 531255 SEPT 23-OCT 7 40.00 10/15/2019 243 FALL YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 531257 515-0925-19 150.00 10/15/2019 244 UMPIRE DEVIN HERNANDEZ 531258 092119 70.00 10/15/2019 245 UMPIRE ANDREW HETTINGER 531259 SEPT 23-OCT 7 150.00 10/15/2019 246 UMPIRE COLLIN JANUSZ 531264 SEPT 23-OCT 7 100.00 10/15/2019 247 UMPIRE MATTHEW J. LAWLESS 531268 100519 105.00 10/15/2019 248 UMPIRE KYLE DEAN MCCURDY 531271 SEPT 23-OCT 7 70.00 10/15/2019 249 UMPIRE MICHAEL T. MILLER 531276 091519 70.00 10/15/2019 250 UMPIRE MICHAEL T. MILLER 531276 100619 105.00 10/15/2019 251 UMPIRE JACK MODAFF 531277 SEPT 23-OCT 7 100.00 10/15/2019 252 UMPIRE BRUCE MORRICK 531278 SEPT 23-OCT 7 55.00 10/15/2019 253 UMPIRE BRAD NEMSICK 531281 SEPT 23-OCT 7 55.00 10/15/2019 254 ASSIGNING FEE FOR BASEBALL CYNTHIA O'LEARY 531285 ARBITER RENEWAL 133.00 10/15/2019 255 FALL SOCCER OFFICIAL ASSIGNING CYNTHIA O'LEARY 531285 REC FALL SOCCER 2019 200.00 10/15/2019 256 FALL TRAVEL OFFICIAL ASSIGNING CYNTHIA O'LEARY 531285 YORKVILLE REC FALL 2 520.00 10/15/2019 257 UMPIRE MARK PAWLOWSKI 531288 100319 80.00 10/15/2019 258 UMPIRE CARL W. PETERSON 531289 SEPT 23-OCT 7 110.00 10/15/2019 259 UMPIRE ROBERT L. RIETZ JR. 531300 092619 140.00 10/15/2019 260 UMPIRE ROBERT L. RIETZ JR. 531300 100319 80.00 10/15/2019 261 9/11-10/16 MUSIC CLASSES ROCK 'N' KIDS, INC. 531301 YRKFI19 210.00 10/15/2019 262 UMPIRE EDWIN A RUNDLE 531302 SEPT 23-OCT 7 50.00 10/15/2019 263 BABYSITTING CLASS INSTRUCTION SECOND CHANCE CARDIA 531303 19-009-467 94.50 10/15/2019 264 UMPIRE TY JAMES SILAS 531306 SEPT 23-OCT 7 20.00 10/15/2019 265 UMPIRE JASON J. STANISZEWSK 531308 SEPT 23-OCT 7 50.00 10/15/2019 266 UMPIRE MARK STREIDER 531310 SEPT 23-OCT 7 100.00 10/15/2019 267 UMPIRE ZANE STRIKE 531311 SEPT 23-OCT 7 185.00 10/15/2019 268 UMPIRE PAUL TAEUBER 531312 092119 105.00 10/15/2019 269 UMPIRE NATHANIEL TAGGART 531313 SEPT 23-OCT 7 110.00 10/15/2019 270 UMPIRE JAMES A. TIETZ 531314 SEPT 23-OCT 7 55.00 10/15/2019 271 UMPIRE CHRISTOPHER D. TUTTL 531316 SEPT 23-OCT 7 170.00 10/15/2019 272 UMPIRE JAEDON VAUGHN 531318 SEPT 23-OCT 7 85.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 25TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________06 AP-191022 10/15/2019 273 UMPIRE HERB WIEGEL 531322 092619 120.00 10/15/2019 274 UMPIRE HERB WIEGEL 531322 100419 120.00 10/15/2019 275 UMPIRE ALEXANDER VINCENZO W 531323 SEPT 23-OCT 7 125.00 10/15/2019 276 UMPIRE DAVID WOLLNIK 531324 SEPT 23-OCT 7 100.00 10/15/2019 277 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1403 0008 239.50 AP-191025M 10/15/2019 157 PHYSICIANS CARE-DRUG FIRST NATIONAL BANK 900080 102519-R.WRIGHT 129.00 10/15/2019 158 LOMBARDI COACHING-WHACK A FIRST NATIONAL BANK 900080 102519-S.REDMON 17.50 GJ-191031FE 10/18/2019 19 PR CC Fees - Sept 2019 1,275.23 _________________________________ TOTAL PERIOD 06 ACTIVITY 13,329.22 0.0007 AP-191112 11/04/2019 361 UMPIRE ALJO AMORELLI 531331 101019 60.00 11/04/2019 362 UMPIRE ANGEL AVELLANES 531338 101219 70.00 11/04/2019 363 UMPIRE JUAN DANIEL AVILA 531339 101019 35.00 11/04/2019 364 UMPIRE DWAYNE F BEYER 531341 101019 60.00 11/04/2019 365 UMPIRE RYAN BUCK 531344 OCT 7-OCT 27 165.00 11/04/2019 366 UMPIRE HUMBERTO B. ARROYO 531345 OCT 7-OCT 27 100.00 11/04/2019 367 UMPIRE DONALD CZEPIEL 531353 OCT 7-OCT 27 55.00 11/04/2019 368 UMPIRE SARA R. EBNER 531361 OCT 7-OCT 27 20.00 11/04/2019 369 UMPIRE GARY R FORD JR 531368 OCT 7-OCT 27 100.00 11/04/2019 370 09/26-10/10 YOGA INSTRUCTION TAYLOR GODFREY 531372 001 75.00 11/04/2019 371 10/17-11/21 YOGA CLASS TAYLOR GODFREY 531372 002 150.00 11/04/2019 372 UMPIRE ANDREW GOLINSKI 531373 OCT 7-OCT 27 70.00 11/04/2019 373 UMPIRE SAM GOLINSKI 531374 OCT 7-OCT 27 400.00 11/04/2019 374 UMPIRE ALLEN R. GOSS 531375 OCT 7-OCT 27 270.00 11/04/2019 375 UMPIRE HALLE HARPER 531377 OCT 7-OCT 27 20.00 11/04/2019 376 UMPIRE ANDREW HETTINGER 531380 OCT 7-OCT 27 270.00 11/04/2019 377 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 84.75 11/04/2019 378 9/29-10/28 COPIER CHARGES IMPACT NETWORKING, L 531388 1594603 81.00 11/04/2019 379 UMPIRE COLLIN JANUSZ 531395 OCT 7-OCT 27 60.00 11/04/2019 380 UMPIRE MATTHEW J. LAWLESS 530133 101219 70.00 11/04/2019 381 UMPIRE DAVID TYLER MCCURDY 531404 OCT 7-OCT 27 125.00 11/04/2019 382 UMPIRE KYLE DEAN MCCURDY 531405 OCT 7-OCT 27 155.00 11/04/2019 383 UMPIRE JACK MODAFF 531411 OCT 7-OCT 27 255.00 11/04/2019 384 UMPIRE BRAD NEMSICK 531416 OCT 7-OCT 27 5.00 11/04/2019 385 ASSIGNING FEE FOR OFFICIALS CYNTHIA O'LEARY 531422 YORKVILLE IN HOUSE F 1,800.00 11/04/2019 386 UMPIRE MARK PAWLOWSKI 531424 101019 60.00 11/04/2019 387 UMPIRE ROBERT L. RIETZ JR. 531445 101019 60.00 11/04/2019 388 UMPIRE ROBERT L. RIETZ JR. 531445 101319 105.00 11/04/2019 389 UMPIRE EDWIN A RUNDLE 531446 OCT 7-OCT 27 355.00 11/04/2019 390 UMPIRE MARK RUNYON 531447 OCT 7-OCT 27 110.00 11/04/2019 391 UMPIRE TY JAMES SILAS 531450 OCT 7-OCT 27 35.00 11/04/2019 392 UMPIRE TIM SIPES 531451 OCT 7-OCT 27 100.00 11/04/2019 393 UMPIRE ZANE STRIKE 531454 OCT 7-OCT 27 65.00 11/04/2019 394 UMPIRE NATHANIEL TAGGART 531455 OCT 7-OCT 27 220.00 11/04/2019 395 UMPIRE TOMAS THOMPSON 531456 SEPT 23-OCT 7 55.00 11/04/2019 396 UMPIRE JAMES A. TIETZ 531457 OCT 7-OCT 27 100.00 11/04/2019 397 UMPIRE CHRISTOPHER D. TUTTL 531459 OCT 7-OCT 27 80.00 11/04/2019 398 UMPIRE JAEDON VAUGHN 531462 OCT 7-OCT 27 100.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 26TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________07 AP-191112 11/04/2019 399 UMPIRE WILLIAM WEEKS 531466 OCT 7-OCT 27 110.00 11/04/2019 400 UMPIRE HERB WIEGEL 531471 101019 120.00 11/04/2019 401 FALL LEAGUE SCHEDULING OF HERB WIEGEL 531471 62 552.00 11/04/2019 402 UMPIRE ALEXANDER VINCENZO W 531472 OCT 7-OCT 27 40.00 11/04/2019 403 10/7-10/24 ZUMBA CLASS KAYLA DJIDIC 1408 0009 336.00 AP-191125M 11/14/2019 163 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900081 112519-R.WRIGHT 129.00 11/14/2019 164 ROCK-N-KIDS-KID ROCK CLASS FIRST NATIONAL BANK 900081 112519-S.REDMON 210.00 11/14/2019 165 ARCHERY PLACE-OCT 2019 ARCHERY FIRST NATIONAL BANK 900081 112519-T.NELSON 80.00 AP-191126 11/19/2019 196 UMPIRE JOESEPH KWIATKOWSKI 531508 102719 105.00 11/19/2019 197 10/28-12/2 ZUMBINI INSTRUCTION RACHEL WIXON 531544 FALL 3 119.90 11/19/2019 198 10/28-12/2 ZUMBINI BUNDLES RACHEL WIXON 531544 FALL 4 70.00 11/19/2019 199 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1435 0010 171.00 GJ-191130FE 11/26/2019 19 PR CC Fees - Oct 2019 1,563.32 _________________________________ TOTAL PERIOD 07 ACTIVITY 9,606.97 0.0008 AP-191210 12/03/2019 224 BACKGROUND CHECK ILLINOIS STATE POLIC 531581 103119 56.50 12/03/2019 225 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1442 0011 325.00 AP-191220M 12/16/2019 285 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 531835 2019.12.06 75.00 12/16/2019 286 FALL II 2019 INSTRUCTION ALL STAR SPORTS INST 531836 197206 2,279.00 12/16/2019 287 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 531869 515-1202-19 225.00 12/16/2019 288 10/29-11/28 COPIER CHARGES IMPACT NETWORKING, L 531872 1636850 99.32 12/16/2019 289 DEC 2019 MAGIC CLASS GARY KANTOR 531878 DEC 2019 15.00 12/16/2019 290 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1471 0012 212.50 GJ-191220RC 12/19/2019 01 RC 1/2 Marlys Yound Inv 121.00 AP-191224M 12/12/2019 148 PHYSICIANS CARE-DRUG SCREEN FIRST NATIONAL BANK 900082 122419-R.WRIGHT 43.00 12/12/2019 149 ROCK'N'KIDS-KID ROCK CLASS FIRST NATIONAL BANK 900082 122419-S.REDMON 210.00 GJ-191231FE 12/30/2019 19 PR CC Fees - Nov 2019 798.06 _________________________________ TOTAL PERIOD 08 ACTIVITY 4,459.38 0.0009 AP-200114 01/07/2020 246 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 395.50 01/07/2020 247 11/14/19 PARK BOARD MEETING MARLYS J. YOUNG 532019 111419-PK 38.37 01/07/2020 248 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1478 0013 232.50 AP-200117R 01/17/2020 01 REFEREE MATTHEW J. LAWLESS 530133 042019 35.00 01/17/2020 02 REFEREE MATTHEW J. LAWLESS 530133 071719 50.00 01/17/2020 03 REFEREE MATTHEW J. LAWLESS 530133 101219 70.00 AP-200117VD 01/17/2020 01 UMPIRE :VOID 529739 MATTHEW J. LAWLESS 530133 042019 35.00 01/17/2020 02 UMPIRE :VOID 530740 MATTHEW J. LAWLESS 530133 071719 50.00 01/17/2020 03 UMPIRE :VOID 531401 MATTHEW J. LAWLESS 530133 101219 70.00 AP-200125M 01/17/2020 131 ARCHERY PLACE-NOV 2019 FIRST NATIONAL BANK 900083 012520-T.NELSON 80.00 AP-200128 01/22/2020 339 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 532021 2020.01.10 125.00 01/22/2020 340 YOUTH EMPOWERMENT CLASS FRANK E. BADUS 532028 1092020 576.00 01/22/2020 341 REFEREE JAMES BAUMANN 532029 011120 168.00 01/22/2020 342 REFEREE BRENDA BOOK 532032 011120 100.00 01/22/2020 343 REFEREE GARY R FORD JR 532058 011120 175.00 01/22/2020 344 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 532063 515-0108-20 125.00 01/22/2020 345 11/29-12/28 COPIER CHARGES IMPACT NETWORKING, L 532068 1652609 34.54 01/22/2020 346 REFEREE ROBERT MOSER 532084 011120 118.00 01/22/2020 347 REFEREE MARTY MUNNS 532086 011120 50.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 27TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________09 AP-200128 01/22/2020 348 DJ SERVICES FOR MOTHER/SON RAUL LOPEZ 532097 022120 200.00 01/22/2020 349 REFEREE PAUL J. RICHTER 532105 011120 75.00 01/22/2020 350 REFEREE ROBERT L. RIETZ JR. 532106 011120 75.00 01/22/2020 351 REFEREE JASON J. STANISZEWSK 532115 012020 100.00 01/22/2020 352 REFEREE GARY TRUAX 532122 011120 175.00 01/22/2020 353 REFEREE WILLIAM WEEKS 532126 011120 140.00 01/22/2020 354 REFEREE DAVID WOLLNIK 532128 011120 70.00 01/22/2020 355 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1507 0014 370.50 GJ-200131FE 01/29/2020 19 PR CC Fees - Dec 2019 776.78 CR-P200103 01/03/2020 17 176081 20.00 01/03/2020 18 176082 20.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 4,375.19 175.0010 AP-200211 02/04/2020 277 REFEREE JAMES BAUMANN 532143 012520 235.00 02/04/2020 278 REFEREE JAMES BAUMANN 532143 012520-2 25.00 02/04/2020 279 REFEREE DAVID BEEBE 532144 011820 75.00 02/04/2020 280 REFEREE MIKE BLACKBURN 532146 012520 50.00 02/04/2020 281 REFEREE BRENDA BOOK 532147 011820 75.00 02/04/2020 282 REFEREE GARY M. DIETER 532157 011820 50.00 02/04/2020 283 REFEREE GARY R FORD JR 532167 011820 200.00 02/04/2020 284 REFEREE GARY R FORD JR 532167 012520 75.00 02/04/2020 285 REFEREE MICHAEL LYONS 532186 012520 118.00 02/04/2020 286 REFEREE ROBERT MOSER 532195 011820 100.00 02/04/2020 287 REFEREE ROBERT MOSER 532195 012520 25.00 02/04/2020 288 REFEREE MARTY MUNNS 532196 011820 118.00 02/04/2020 289 REFEREE GRANT RIEHLE-MOELLER 532215 011820 200.00 02/04/2020 290 REFEREE GRANT RIEHLE-MOELLER 532215 012520 168.00 02/04/2020 291 REFEREE ROBERT L. RIETZ JR. 532216 011820 235.00 02/04/2020 292 REFEREE ROBERT L. RIETZ JR. 532216 012620 100.00 02/04/2020 293 REFEREE GARY TRUAX 532222 011820 75.00 02/04/2020 294 REFEREE GARY TRUAX 532222 012520 100.00 02/04/2020 295 REFEREE WILLIAM WEEKS 532227 011820 75.00 02/04/2020 296 REFEREE WILLIAM WEEKS 532227 012520 75.00 02/04/2020 297 REFEREE KIRK WINKLER 532229 011820 93.00 02/04/2020 298 REFEREE KIRK WINKLER 532229 012520 200.00 02/04/2020 299 REFEREE DAVID WOLLNIK 532230 012520 125.00 02/04/2020 300 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1513 0015 323.50 AP-200225 02/19/2020 215 YOGA CLASS INSTRUCTION DANIEL J. SHANAHAN 532234 2020.02.07 125.00 02/19/2020 216 WINTER I SPORTS CLASS ALL STAR SPORTS INST 532235 201005 1,680.00 02/19/2020 217 REFEREE JERRY BALDWIN 532244 020120 75.00 02/19/2020 218 REFEREE JAMES BAUMANN 532245 020820 150.00 02/19/2020 219 REFEREE MIKE BLACKBURN 532249 020120 100.00 02/19/2020 220 REFEREE BRENDA BOOK 532250 020120 140.00 02/19/2020 221 REFEREE STEVEN ELROD 532263 020820 87.00 02/19/2020 222 REFEREE GARY R FORD JR 532270 020120 118.00 02/19/2020 223 REFEREE RAYMOND HAYEN 532274 020820 100.00 02/19/2020 224 YOGA CLASS INSTRUCTION ELIZABETH J HERIAUD 532275 515-0205-20 125.00 02/19/2020 225 REFEREE TOM HUELS 532276 020820 193.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 28TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________10 AP-200225 02/19/2020 226 COACHES BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 141.25 02/19/2020 227 FEB 2020 MAGIC CLASS GARY KANTOR 532283 FEB 2020 45.00 02/19/2020 228 REFEREE MICHAEL LYONS 532286 020820 175.00 02/19/2020 229 REFEREE ROBERT MOSER 532294 020120 118.00 02/19/2020 230 REFEREE ROBERT MOSER 532294 020820 50.00 02/19/2020 231 REFEREE MARTY MUNNS 532295 020120 75.00 02/19/2020 232 01/11-03/07 ASSIGNING FEE FOR CYNTHIA O'LEARY 532299 RE BASKETBALL 2019 2,595.00 02/19/2020 233 REFEREE EDVINAS PRESNIAKOVAS 532302 020820 100.00 02/19/2020 234 REFEREE GRANT RIEHLE-MOELLER 532314 020120 175.00 02/19/2020 235 REFEREE GRANT RIEHLE-MOELLER 532314 020820 131.00 02/19/2020 236 REFEREE JASON J. STANISZEWSK 532315 020120 100.00 02/19/2020 237 REFEREE GARY TRUAX 532317 020120 75.00 02/19/2020 238 REFEREE WILLIAM WEEKS 532323 020120 95.00 02/19/2020 239 REFEREE WILLIAM WEEKS 532323 020820 210.00 02/19/2020 240 REFEREE KIRK WINKLER 532325 020120 25.00 02/19/2020 241 REFEREE KIRK WINKLER 532325 020120-2 25.00 02/19/2020 242 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1541 0016 378.50 GJ-200229FE 02/26/2020 19 PR CC Fees - Jan 2020 2,113.30 AP-20025M 02/12/2020 187 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 172.00 02/12/2020 188 ARCHERY PLACE-CAMP INSTRUCTION FIRST NATIONAL BANK 900084 022520-T.NELSON 165.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 12,772.55 0.0011 AP-200310 03/02/2020 297 YOUTH EMPOWERMENT CLASS FRANK E. BADUS 532334 2192020 472.00 03/02/2020 298 REFEREE JERRY BALDWIN 532335 022220 87.00 03/02/2020 299 REFEREE JAMES BAUMANN 532337 022220 260.00 03/02/2020 300 REFEREE DAVID BEEBE 532338 021520 106.00 03/02/2020 301 REFEREE DAVID BEEBE 532338 022220 50.00 03/02/2020 302 REFEREE DAVID BEEBE 532338 022220-2 50.00 03/02/2020 303 REFEREE MIKE BLACKBURN 532340 022220 87.00 03/02/2020 304 REFEREE BRENDA BOOK 532341 021520 140.00 03/02/2020 305 REFEREE GARY M. DIETER 532349 021520 87.00 03/02/2020 306 REFEREE GARY R FORD JR 532357 021520 118.00 03/02/2020 307 REFEREE GARY R FORD JR 532357 022220 200.00 03/02/2020 308 REFEREE TOM HUELS 532364 021520 150.00 03/02/2020 309 REFEREE KENNETH ISHAM 532371 021520 120.00 03/02/2020 310 REFEREE JOHN LEPACEK 532380 022220 75.00 03/02/2020 311 REFEREE MICHAEL LYONS 532383 022220 50.00 03/02/2020 312 REFEREE GRANT RIEHLE-MOELLER 532403 021520 100.00 03/02/2020 313 REFEREE ROBERT L. RIETZ JR. 532404 022220 200.00 03/02/2020 314 REFEREE JASON J. STANISZEWSK 532410 021520 75.00 03/02/2020 315 REFEREE GARY TRUAX 532414 021520 150.00 03/02/2020 316 REFEREE JOE VASCIK 532416 022220 75.00 03/02/2020 317 REFEREE WILLIAM WEEKS 532418 022220 106.00 03/02/2020 318 REFEREE KIRK WINKLER 532419 021520 150.00 03/02/2020 319 REFEREE DAVID WOLLNIK 532420 022220 106.00 03/02/2020 320 01/16/2020 PARK BOARD MEETING MARLYS J. YOUNG 532422 011620 30.00 03/02/2020 321 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1548 0017 370.50 AP-200324 03/18/2020 282 REFEREE JERRY BALDWIN 532431 030720 112.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 29TIME: 12:19:49 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________79-795-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________11 AP-200324 03/18/2020 283 REFEREE DAVID BEEBE 532434 030720 50.00 03/18/2020 284 REFEREE GARY M. DIETER 532446 030620 93.00 03/18/2020 285 REFEREE RAIUMUNDO FONSECA 532462 022920 118.00 03/18/2020 286 REFEREE GARY R FORD JR 532463 022920 175.00 03/18/2020 287 REFEREE GARY R FORD JR 532463 030720 100.00 03/18/2020 288 REFEREE TOM HUELS 532469 022920 100.00 03/18/2020 289 01/29-02/28 COPIER CHARGES IMPACT NETWORKING, L 532471 1718250 82.79 03/18/2020 290 REFEREE KENNETH ISHAM 532474 022920 168.00 03/18/2020 291 REFEREE JOESEPH KWIATKOWSKI 532477 030620 50.00 03/18/2020 292 REFEREE JOESEPH KWIATKOWSKI 532477 030720 25.00 03/18/2020 293 REFEREE ROBERT MOSER 532493 030620 75.00 03/18/2020 294 REFEREE ROBERT MOSER 532493 030720 100.00 03/18/2020 295 REFEREE GRANT RIEHLE-MOELLER 532501 022920 50.00 03/18/2020 296 REFEREE GRANT RIEHLE-MOELLER 532501 030620 93.00 03/18/2020 297 REFEREE GRANT RIEHLE-MOELLER 532501 030720 137.00 03/18/2020 298 REFEREE JASON J. STANISZEWSK 532504 030720 165.00 03/18/2020 299 REFEREE GARY TRUAX 532508 022920 75.00 03/18/2020 300 REFEREE WILLIAM WEEKS 532511 022920 50.00 03/18/2020 301 REFEREE KIRK WINKLER 532515 022920 150.00 03/18/2020 302 REFEREE KIRK WINKLER 532515 030620 75.00 03/18/2020 303 REFEREE KIRK WINKLER 532515 030720 25.00 03/18/2020 304 REFEREE KIRK WINKLER 532515 030720-2 100.00 03/18/2020 305 REFEREE DAVID WOLLNIK 532516 022920 175.00 03/18/2020 306 REFEREE JAMES BAUMANN 1576 022920 215.00 03/18/2020 307 ZUMBA CLASS INSTRUCTION KAYLA DJIDIC 1577 0018 308.50 AP-200325M 03/18/2020 134 ROCK'N'KIDS-TOT ROCK CLASS FIRST NATIONAL BANK 900085 032520-S.REDMON 245.00 03/18/2020 135 ARCHERY PLACE-JAN 2020 ARCHERY FIRST NATIONAL BANK 900085 032520-T.NELSON 240.00 GJ-200330FE 03/19/2020 19 PR Credit Card Fees - Feb 2020 3,169.51 _________________________________ TOTAL PERIOD 11 ACTIVITY 9,936.30 0.00 YTD BUDGET 91,666.67 TOTAL ACCOUNT ACTIVITY 120,921.81 3,221.95 ANNUAL REVISED BUDGET 100,000.00 ENDING BALANCE 117,699.86_____________________________________________________________________________________________________________________________________________________82-820-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.00 AP-190513B 05/06/2019 07 MAY 2019 COPIER LEASE DLL FINANCIAL SERVIC 104704 63218016 194.48 05/06/2019 08 MAINTENANCE CONTRACT CHARGE SOUND INCORPORATED 104709 R161038 929.52 05/06/2019 09 06/278/19-06/26/20 ANNUAL TODAY'S BUSINESS SOL 104711 9268 2,644.00 AP-190528B 05/21/2019 162 JUN 2019 COPIER LEASE DLL FINANCIAL SERVIC 529882 63564126 194.48 GJ-90520PRE 05/21/2019 54 Sound Inc May 2019 Srvc Agrmnt 97.00 _________________________________ TOTAL PERIOD 01 ACTIVITY 4,059.48 0.0002 AP-190610B 06/04/2019 03 07/01/20-06/30/21 CATEGORY 1 E-RATE FUND SERVICES 104722 299 350.00 06/04/2019 04 MAY 2019 ON SITE IT SUPPORT LLOYD WARBER 104724 10453 720.00 06/04/2019 05 JUNE - AUG SILVER SERVICE SOUND INCORPORATED 104726 R161625 291.00 06/04/2019 06 05/01-07/31 ELEVATOR THYSSENKRUPP ELEVATO 104727 3004582070 542.22 06/04/2019 07 05/13/19 MEETING MINUTES MARLYS J. YOUNG 104729 051319 79.50 _________________________________ TOTAL PERIOD 02 ACTIVITY 1,982.72 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 30TIME: 12:19:55 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________82-820-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________03 AP-190708 07/01/2019 04 JULY 2019 COPIER LEASE DLL FINANCIAL SERVIC 104732 63957683 194.48 07/01/2019 05 JUNE 2019 ON SITE IT SUPPORT LLOYD WARBER 104733 10454 720.00 07/01/2019 06 ANNUAL FEE RENEWAL FOR WEBLINX INCORPORATED 104740 27527 200.00 AP-190723 07/17/2019 360 06/10/19 MEETING MINUTES MARLYS J. YOUNG 530662 061019 66.25 _________________________________ TOTAL PERIOD 03 ACTIVITY 1,180.73 0.0004 AP-190812 08/05/2019 03 AUG 2019 COPIER LEASE DLL FINANCIAL SERVIC 104744 64205724 194.48 08/05/2019 04 2019 ANNUAL INSPECTIONS GREAT LAKES PLUMBING 104746 18861 450.00 08/05/2019 05 04/15-07/14 COPIER OVERAGES IMPACT NETWORKING, L 104747 1496722 139.51 08/05/2019 06 AUG-OCT 2019 MAINTENANCE SOUND INCORPORATED 104756 R162440 929.52 08/05/2019 07 2ND QTR COST FOR FAX TBS CONSTRUCTION 104757 072919-7 43.52 08/05/2019 08 047/08/19 MEETING MINUTES MARLYS J. YOUNG 104761 070819 61.25 AP-190813 08/06/2019 402 JULY 2019 ON-SITE IT SUPPORT LLOYD WARBER 530745 10460 1,110.00 AP-190825M 08/15/2019 199 LIBERTY MUTUAL-SURETY BOND FIRST NATIONAL BANK 900078 082519-A.SIMMONS 456.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 3,384.28 0.0005 AP-190909 09/04/2019 02 SEPT 2019 COPIER LEASE DLL FINANCIAL SERVIC 104764 64641516 194.48 09/04/2019 03 SEPT - NOV 2019 SILVER SERVICE SOUND INCORPORATED 104767 R162857 291.00 09/04/2019 04 AUG-OCT 2019 ELEVATOR THYSSENKRUPP ELEVATO 104771 3004743624 542.22 09/04/2019 05 08/12/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 104772 081219 63.25 AP-190924 09/17/2019 230 OCT 2019 COPIER LEASE DLL FINANCIAL SERVIC 531029 64951484 194.48 AP-190925M 09/16/2019 236 NOTARY SERVICE-NOTARY FIRST NATIONAL BANK 900079 092519-E.TOPPER 53.95 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,339.38 0.0006 AP-191014 10/01/2019 07 AUG 2019 ON-SITE IT SUPPORT LLOYD WARBER 104779 10461 720.00 10/01/2019 08 SEPT 2019 ON SITE IT SUPPORT LLOYD WARBER 104779 10462 1,320.00 10/01/2019 09 09/09/19 MEETING MINUTES MARLYS J. YOUNG 104788 090919 57.50 AP-191022 10/15/2019 291 09/23/19 MEETING MINUTES MARLYS J. YOUNG 531327 092319 84.50 GJ-191105RC 11/05/2019 01 RC Lbty Mtul Inv#102519-Grgry 568.00 _________________________________ TOTAL PERIOD 06 ACTIVITY 2,750.00 0.0007 AP-191112 11/04/2019 414 BACKGROUND CHECKS ILLINOIS STATE POLIC 531385 093019 56.50 11/04/2019 415 10/7/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 531475 100719 60.00 11/04/2019 416 10/10/19 LIBRARY BOARD MEETING MARLYS J. YOUNG 531475 101019 57.00 11/04/2019 417 10/14/19 LIBRARY MEETING MARLYS J. YOUNG 531475 101419 83.75 AP-191118 11/13/2019 11 NOV 2019 COPIER LEASE DLL FINANCIAL SERVIC 104794 65382182 194.48 11/13/2019 12 07/15-10/14 COPIER CHARGES IMPACT NETWORKING, L 104799 1582222 114.88 11/13/2019 13 OCT 2019 ON SITE IT SUPPORT LLOYD WARBER 104800 10463 840.00 11/13/2019 14 11/1/19-1/31/20 CCTV & ACCESS SOUND INCORPORATED 104804 R164737 929.52 11/13/2019 15 JULY-SEPT 2019 COST FOR FAXES TODAY'S BUSINESS SOL 104806 100719-154 14.40 11/13/2019 16 SIMPLE SCAN SYSTEM ANNUAL TODAY'S BUSINESS SOL 104806 9921 795.00 AP-191125M 11/14/2019 222 ADS-NOV 2019-OCT 2019 FIRST NATIONAL BANK 900081 112519-A.SIMMONS 357.48 11/14/2019 223 CONSTANT CONTACT-12 MONTH FIRST NATIONAL BANK 900081 112519-E.TOPPER 588.00 _________________________________ TOTAL PERIOD 07 ACTIVITY 4,091.01 0.0008 AP-191209 12/03/2019 02 NOV 2019 ON SITE IT SUPPORT LLOYD WARBER 104812 10464 720.00 12/03/2019 03 DEC 2019-FEB 2020 TELEPHONE & SOUND INCORPORATED 104817 R165323 291.00 12/03/2019 04 ANNUAL INSPECTION WITNESSING THYSSENKRUPP ELEVATO 104818 120119 421.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 31TIME: 12:19:55 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________82-820-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191209 12/03/2019 05 CHARGE FOR APR-JUN FAXES TODAY'S BUSINESS SOL 104819 072919-7 43.52 12/03/2019 06 11/04/19 MEETING MINUTES MARLYS J. YOUNG 104820 110419 56.75 12/03/2019 07 11/18/19 MEETING MINUTES MARLYS J. YOUNG 104820 111819 57.00 AP-191220M 12/16/2019 305 JAN 2020 COPIER LEASE DLL FINANCIAL SERVIC 531852 66123991 194.48 _________________________________ TOTAL PERIOD 08 ACTIVITY 1,783.75 0.0009 AP-200113 01/07/2020 02 ANNUAL TOWER MAINTENANCE TODAY'S BUSINESS SOL 104831 10030 325.00 AP-200114 01/07/2020 259 BACKGROUND CHECKS ILLINOIS STATE POLIC 531977 113019 28.25 AP-200128 01/22/2020 367 12/09/19 MEETING MINUTES MARLYS J. YOUNG 532133 120919 63.25 01/22/2020 368 12/30/19 MEETING MINUTES MARLYS J. YOUNG 532133 123019 38.00 _________________________________ TOTAL PERIOD 09 ACTIVITY 454.50 0.0010 AP-200210 02/04/2020 03 FEB 2020 COPIER LEASE DLL FINANCIAL SERVIC 104837 66513850 194.48 02/04/2020 04 10/15-01/14 COPIER CHARGES IMPACT NETWORKING, L 104841 1667690 129.58 02/04/2020 05 JAN 2020 ON SITE IT SUPPORT LLOYD WARBER 104842 10469 720.00 02/04/2020 06 02/01/20-04/30/20 MAINTENANCE SOUND INCORPORATED 104849 R167226 929.52 02/04/2020 07 ELEVATOR REPAIR THYSSENKRUPP ELEVATO 104850 6000371727 382.00 02/04/2020 08 01/13/20 MEETING MINUTES MARLYS J. YOUNG 104851 011320 65.50 AP-200225 02/19/2020 251 EMPLOYEE BACKBROUND CHECKS ILLINOIS STATE POLIC 532277 123119 28.25 AP-20025M 02/12/2020 219 SMITHEREEN-DEC 2019 PEST FIRST NATIONAL BANK 900084 022520-E.TOPPER 78.00 02/12/2020 220 PHYSICIANS CARE-DRUG SCREENS FIRST NATIONAL BANK 900084 022520-R.WRIGHT 86.00 _________________________________ TOTAL PERIOD 10 ACTIVITY 2,613.33 0.0011 AP-200309 03/02/2020 04 DEC 2019 COPIER LEASE DLL FINANCIAL SERVIC 104854 65685648 194.48 03/02/2020 05 MAR 2020 COPIER LEASE DLL FINANCIAL SERVIC 104854 66897470 194.48 03/02/2020 06 DEC 2019 ONSITE IT SUPPORT LLOYD WARBER 104858 10468 720.00 03/02/2020 07 FEB 2020 ONSITE IT SUPPORT LLOYD WARBER 104858 10474 720.00 03/02/2020 08 MAR-APR 2020 PHONE & VOICE SOUND INCORPORATED 104862 R167731 194.00 03/02/2020 09 FEB-APR 2020 ELEVATOR THYSSENKRUPP ELEVATO 104863 3005060162 560.01 03/02/2020 10 02/10/20 MEETING MINUTES MARLYS J. YOUNG 104865 021020 68.25 AP-200324 03/18/2020 317 FEB 24 LIBRARY MEETING MINUTES MARLYS J. YOUNG 532518 022420 65.00 AP-200325M 03/18/2020 167 ADS-ANNUAL ALARM MONITORING FIRST NATIONAL BANK 900085 032520-A.SIMMONS 1,108.56 03/18/2020 168 SMITHEREEN-JAN 2020 PEST FIRST NATIONAL BANK 900085 032520-E.TOPPER 78.00 03/18/2020 169 PHYSICIANS CARE-DRUG SCREENING FIRST NATIONAL BANK 900085 032520-R.WRIGHT 43.00 _________________________________ TOTAL PERIOD 11 ACTIVITY 3,945.78 0.00 YTD BUDGET 36,666.67 TOTAL ACCOUNT ACTIVITY 27,584.96 0.00 ANNUAL REVISED BUDGET 40,000.00 ENDING BALANCE 27,584.96_____________________________________________________________________________________________________________________________________________________87-870-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0004 AP-190827 08/20/2019 239 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1341 15985 129.00 _________________________________ TOTAL PERIOD 04 ACTIVITY 129.00 0.0007 AP-191112 11/04/2019 420 TIF COMPTROLLER LAUTERBACH & AMEN, L 531400 40326 270.00 AP-191125M 11/14/2019 233 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 AP-191126 11/19/2019 209 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1437 16065 161.25 _________________________________ TOTAL PERIOD 07 ACTIVITY 435.65 0.00
DATE: 04/06/2020 UNITED CITY OF YORKVILLE PAGE: 32TIME: 12:19:59 GENERAL LEDGER ACTIVITY REPORTID: GL440000.WOW FOR FISCAL YEAR 2020 ACTIVITY THROUGH FISCAL PERIOD 11PER. JOURNAL # ENTRY DATE ITEM TRANSACTION DESCRIPTION VENDOR CHECK INVOICE DEBIT CREDIT_____________________________________________________________________________________________________________________________________________________87-870-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________08 AP-191220M 12/16/2019 308 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.0009 AP-200114 01/07/2020 261 COUNTRYSIDE TIFF MATTERS KATHLEEN FIELD ORR & 1493 16089 86.00 AP-200128 01/22/2020 370 COUNTRYSDIE TIF MATTERS KATHLEEN FIELD ORR & 1509 16117 376.25 _________________________________ TOTAL PERIOD 09 ACTIVITY 462.25 0.0010 AP-200225 02/19/2020 254 COUNTRYSIDE TIF MATTERS KATHLEEN FIELD ORR & 1543 16146 397.75 _________________________________ TOTAL PERIOD 10 ACTIVITY 397.75 0.00 YTD BUDGET 1,833.34 TOTAL ACCOUNT ACTIVITY 1,439.90 0.00 ANNUAL REVISED BUDGET 2,000.00 ENDING BALANCE 1,439.90_____________________________________________________________________________________________________________________________________________________88-880-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0007 AP-191112 11/04/2019 423 TIF COMPTROLLER LAUTERBACH & AMEN, L 531400 40326 270.00 AP-191125M 11/14/2019 235 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 _________________________________ TOTAL PERIOD 07 ACTIVITY 274.40 0.0008 AP-191220M 12/16/2019 311 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.00 YTD BUDGET 916.67 TOTAL ACCOUNT ACTIVITY 289.65 0.00 ANNUAL REVISED BUDGET 1,000.00 ENDING BALANCE 289.65_____________________________________________________________________________________________________________________________________________________89-890-54-00-5462 (E) PROFESSIONAL SERVICES_____________________________________________________________________________________________________________________________________________________01 05/01/2019 BEGINNING BALANCE 0.0005 AP-190923M 09/23/2019 03 CLOSING COSTS FOR OLD JAIL LAKESHORE TITLE AGEN 530118 092319-CLOSING 1,753.00 _________________________________ TOTAL PERIOD 05 ACTIVITY 1,753.00 0.0007 AP-191125M 11/14/2019 237 YORKVILLE POST-JRB PACKET FIRST NATIONAL BANK 900081 112519-R.FREDRICKSON 4.40 _________________________________ TOTAL PERIOD 07 ACTIVITY 4.40 0.0008 AP-191220M 12/16/2019 314 11/12/19 JOINT REVIEW BOARD MARLYS J. YOUNG 531930 111219 15.25 _________________________________ TOTAL PERIOD 08 ACTIVITY 15.25 0.00 YTD BUDGET 0.00 TOTAL ACCOUNT ACTIVITY 1,772.65 0.00 ANNUAL REVISED BUDGET 0.00 ENDING BALANCE 1,772.65 GRAND TOTAL 411,763.93 0.00 TOTAL DIFFERENCE 411,763.93 0.00
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Administration Committee #2
Tracking Number
CC 2020-20
Treasurer’s Report for March 2020
City Council – April 14, 2020
Majority
Approval
Rob Fredrickson Finance
Name Department
Beginning Fund Balance March Revenues YTD Revenues Revenue Budget % of Budget March Expenses YTD Expenses Expense Budget % of Budget Projected Ending Fund Balance General Fund01 - General 6,879,823$ 1,131,930$ 15,722,762$ 16,469,238$ 95% 1,181,201$ 14,005,669$ 16,783,649$ 83% 8,596,915$ Special Revenue Funds15 - Motor Fuel Tax 635,382 59,128 674,621 534,904 126% 6,149 709,137 816,718 87% 600,866 79 - Parks and Recreation 452,914 138,487 2,150,369 2,244,988 96% 146,682 2,058,092 2,349,081 88% 545,190 72 - Land Cash 211,832 2,413 35,881 58,435 61% - 5,118 104,850 5% 242,594 87 - Countryside TIF (422,459) - 203,884 232,318 88% 939 922,270 923,808 100% (1,140,845) 88 - Downtown TIF (1,024,518) - 75,776 80,000 95% 3,311 284,988 426,484 67% (1,233,730) 89 - Downtown TIF II (2,736) - 24,171 - 0% 97 95,234 35,000 272% (73,799) 11 - Fox Hill SSA 10,485 - 13,382 13,381 100% 402 9,304 30,977 30% 14,562 12 - Sunflower SSA (22,626) - 18,140 18,140 100% 380 10,644 13,977 76% (15,130) Debt Service Fund42 - Debt Service - 27,040 301,094 324,025 93% - 324,025 324,025 100% (22,931) Capital Project Funds25 - Vehicle & Equipment 496,042 20,813 1,009,801 207,368 487% 6,654 946,096 571,726 165% 559,747 23 - City-Wide Capital 629,429 49,468 1,194,153 4,172,029 29% 45,754 1,269,193 4,798,408 26% 554,389 Enterprise Funds *51 - Water 3,533,027 76,366 4,040,566 4,699,931 86% 192,675 4,676,815 5,779,725 81% 2,896,779 *52 - Sewer 1,110,251 63,536 1,932,835 2,149,679 90% 90,400 2,005,725 2,546,355 79% 1,037,361 Library Funds82 - Library Operations 554,271 2,742 1,586,976 1,576,751 101% 57,301 1,507,687 1,620,345 93% 633,560 84 - Library Capital 83,260 7,030 108,796 50,100 217% 6,595 52,776 75,500 70% 139,280 Total Funds 13,124,377$ 1,578,952$ 29,093,207$ 32,831,287$ 89% 1,738,540$ 28,882,774$ 37,200,628$ 78% 13,334,810$ * Fund Balance EquivalencyRob Fredrickson, Finance Director/TreasurerUNITED CITY OF YORKVILLE TREASURER'S REPORT - for the month ending March 31, 2020Cash BasisAs Treasurer of the United City of Yorkville, I hereby attest, to the best of my knowledge, that the information contained in this Treasurer's Report is accurate as of the date detailed herein. Further information is available in the Finance Department.
Have a question or comment about this agenda item?
Call us Monday-Friday, 8:00am to 4:30pm at 630-553-4350, email us at agendas@yorkville.il.us, post at www.facebook.com/CityofYorkville,
tweet us at @CityofYorkville, and/or contact any of your elected officials at http://www.yorkville.il.us/320/City-Council
Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Administration Committee #3
Tracking Number
CC 2020-21
Cash Statement for January and February 2020
City Council – April 14, 2020
Informational
None
Rob Fredrickson Finance
Name Department
First National West Suburban Associated Illinois Trust Illinois Funds Old Second Grand Totals Restricted at IMET General Fund01 - General 2,937,629$ 156,082$ 2,882,821$ 100,622$ 384,902$ -$ 6,462,056$ 42,464$ Special Revenue Funds15 - Motor Fuel Tax - - - - 508,811 - 508,811 - 72 - Land Cash237,142 - - - - - 237,142 - 87 - Countryside TIF(1,138,570) - - - - - (1,138,570) - 88 - Downtown TIF(1,227,124) - - - - - (1,227,124) - 89 - Downtown TIF II(71,234) - - - - - (71,234) - 11 - Fox Hill SSA14,964 - - - - - 14,964 - 12 - Sunflower SSA(12,566) - - - - - (12,566) - Debt Service Fund42 - Debt Service(76,886) - - - - - (76,886) - Capital Project Funds23 - City-Wide Capital62,116 95,810 694,036 - - - 851,962 53,517 25 - Police Capital94,809 - - - - - 94,809 - 25 - General Gov Capital40,920 - - - - - 40,920 - 25 - Public Works Capital184,342 - - - - - 184,342 - Enterprise Funds51 - Water51,905 510,172 1,447,752 - - - 2,009,829 7,114 52 - Sewer- 173,417 528,525 - - - 701,942 33,437 Agency Funds90 - Developer Escrow 179,242 - - - - - 179,242 - 95 - Escrow Deposit(1,533) 425,420 - - - - 423,887 - Total City Funds1,275,156$ 1,360,901$ 5,553,135$ 100,622$ 893,713$ -$ 9,183,526$ 136,532$ Distribution %13.89% 14.82% 60.47%1.10%9.73%Library Funds82 - Library Operations54$ -$ -$ -$ 235,779$ 574,495$ 810,328$ 4,126$ 84 - Library Capital1,250 - - - - 138,924 140,174 - Library Totals 1,304$ -$ -$ -$ 235,779$ 713,419$ 950,501$ 4,126$ Distribution %0.14%24.81% 75.06%Park and Recreation Funds79 - Parks and Recreation 522,420$ -$ -$ -$ -$ -$ 522,420$ -$ 25 - Park & Rec Capital423,555 - - - - - 423,555 1,221 Park & Rec Totals 945,975$ -$ -$ -$ -$ -$ 945,975$ 1,221$ Distribution % 100.00%UNITED CITY OF YORKVILLECASH AND INVESTMENT SUMMARY - as of January 31, 2020Cash Summary 1
FinancialAccrued Type of Investment Institution FDIC # Interest Rate Original Cost Maturity Date Interest to Date Value at Maturity FundCertificate of Deposit (CD) Sonabank 57968 2.49% 243,800$ 6/17/2020 3,774$ 249,868$ General (01)Certificate of Deposit (CD) Bank of China 33653 1.98% 247,500 2/24/2020 2,094 249,917 General (01)Certificate of Deposit (CD) CIBC Bank 33306 1.78% 247,800 3/30/2020 1,486 249,995 General (01)Certificate of Deposit (CD)Pacific Western Bank24045 1.72% 247,800 4/24/2020 1,144 249,929 General (01)986,900$ 8,499$ 999,709$ UNITED CITY OF YORKVILLECASH AND INVESTMENT SUMMARY - as of January 31, 2020Investments Summary Investment Totals2
First National West Suburban Associated Illinois Trust Illinois Funds Old Second Grand Totals Restricted at IMET General Fund01 - General 2,775,165$ 129,817$ 2,889,725$ 100,757$ 396,787$ -$ 6,292,251$ 42,464$ Special Revenue Funds15 - Motor Fuel Tax - - - - 531,546 - 531,546 - 72 - Land Cash240,162 - - - - - 240,162 - 87 - Countryside TIF(1,139,906) - - - - - (1,139,906) - 88 - Downtown TIF(1,230,435) - - - - - (1,230,435) - 89 - Downtown TIF II(73,702) - - - - - (73,702) - 11 - Fox Hill SSA14,964 - - - - - 14,964 - 12 - Sunflower SSA(14,750) - - - - - (14,750) - Debt Service Fund42 - Debt Service(49,971) - - - - - (49,971) - Capital Project Funds23 - City-Wide Capital146,614 79,687 694,755 - - - 921,056 53,517 25 - Police Capital55,212 - - - - - 55,212 - 25 - General Gov Capital2,499 - - - - - 2,499 - 25 - Public Works Capital186,959 - - - - - 186,959 - Enterprise Funds51 - Water316,041 424,322 1,449,252 - - - 2,189,615 7,114 52 - Sewer159,723 144,235 529,073 - - - 833,031 33,437 Agency Funds90 - Developer Escrow 184,460 - - - - - 184,460 - 95 - Escrow Deposit57,986 353,831 - - - - 411,817 - Total City Funds1,631,020$ 1,131,892$ 5,562,806$ 100,757$ 928,333$ -$ 9,354,807$ 136,532$ Distribution %17.44% 12.10% 59.46%1.08%9.92%Library Funds82 - Library Operations54$ -$ -$ -$ 236,089$ 499,885$ 736,028$ 4,126$ 84 - Library Capital4,000 - - - - 133,010 137,010 - Library Totals 4,054$ -$ -$ -$ 236,089$ 632,895$ 873,038$ 4,126$ Distribution %0.46%27.04% 72.49%Park and Recreation Funds79 - Parks and Recreation 593,390$ -$ -$ -$ -$ -$ 593,390$ -$ 25 - Park & Rec Capital442,476 - - - - - 442,476 1,221 Park & Rec Totals 1,035,866$ -$ -$ -$ -$ -$ 1,035,866$ 1,221$ Distribution % 100.00%UNITED CITY OF YORKVILLECASH AND INVESTMENT SUMMARY - as of February 29, 2020Cash Summary 1
FinancialAccrued Type of Investment Institution FDIC # Interest Rate Original Cost Maturity Date Interest to Date Value at Maturity FundCertificate of Deposit (CD) Sonabank 57968 2.49% 243,800$ 6/17/2020 4,256$ 249,868$ General (01)Certificate of Deposit (CD) CIBC Bank 33306 1.78% 247,800 3/30/2020 1,837 249,995 General (01)Certificate of Deposit (CD)Pacific Western Bank24045 1.72% 247,800 4/24/2020 1,483 249,929 General (01)Certificate of Deposit (CD)Western Alliance Bank57512 1.62% 246,000 2/25/2021 33 249,917 General (01)985,400$ 7,609$ 999,709$ UNITED CITY OF YORKVILLECASH AND INVESTMENT SUMMARY - as of February 29, 2020Investments Summary Investment Totals2
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Agenda Item Summary Memo
Title:
Meeting and Date:
Synopsis:
Council Action Previously Taken:
Date of Action: Action Taken:
Item Number:
Type of Vote Required:
Council Action Requested:
Submitted by:
Agenda Item Notes:
Reviewed By:
Legal
Finance
Engineer
City Administrator
Human Resources
Community Development
Police
Public Works
Parks and Recreation
Agenda Item Number
Mayor’s Report #4
Tracking Number
CC 2020-22
Proposed Fiscal Year 2020-2021 Budget
City Council – April 14, 2020
CC 03-24-20 Public Hearing
Majority
Approval
Please see attached.
Bart Olson Administration
Name Department
Summary
A review of potential budget updates for the FY 21 budget proposal, due to the COVID-19
pandemic and likely national recession.
Background
The City Council last discussed the FY 21 budget proposal at the March 24th City Council
meeting. At that meeting, the City Council hosted a remote/virtual meeting that included a budget
public hearing and a brief discussion of budget impacts as it related to the then-beginning COVID-19
pandemic. Since that meeting, staff has been discussing and researching various potential impacts to
revenue streams and to identify potential budget cuts or deferrals. Because we do not yet know the
timing of the current wide impacts to tourism, travel, hospitality, business, manufacturing, and retail
sectors of our local and national economy, exact proposals are limited.
Important concepts
1. What will be the size and length of the economic downturn? What will be the timing and shape
of the recovery?
2. Income tax filings have been delayed by the state from April to July. Late penalties are being
waived, giving people less incentive to file on time. This will delay the observation of the
economic downturn on state income tax payments, causing less accurate LGDF estimates.
3. Sales tax submittals to the state by bars and restaurants is being deferred in timing and amount.
Certain bars and restaurants may now pay only a portion of their obligation of state sales tax for
February, March, and April consumer sales through August 2020.
4. One report that miles driven in the Chicagoland region after the stay-at-home order was issued is
67% less miles than normal. Since MFT is based on a per gallon flat rate, the relationship
between miles driven and gas taxes received by the City should be linear, i.e. 67% less.
5. The City’s utility bills (water, sewer, sanitary district, garbage, and road infrastructure fee) were
due on April 6th for usage that occurred in December and January. The City staff was
monitoring payment counts and amounts received and can report that neither figure was outside
of normal expectations. The “late” bills are due April 20th, and staff will monitor whether those
figures are outside expectations. The next full utility bill cycle will cause bills to be due June 5th.
Memorandum
To: City Council
From: Bart Olson, City Administrator
CC:
Date: April 6, 2020
Subject: FY 21 Budget Updates – Pandemic and Recession
6. A number of the City’s capital funds are dependent upon impact fees. Fortunately, the City has
been extremely conservative in new housing start estimates and does not depend on these
revenues for ongoing operational expenditures. The Mayor and staff have been polling local and
national home builders and all remain optimistic for the construction season.
7. The State of Illinois is one of the least financially prepared states for a major recession or
depression. The State has already begun sweeping different funds and delaying payments to
non-health and non-medical organizations. Members of both political parties in Illinois in the
past have discussed slashing state revenue sharing with municipalities. While no specific
proposal is on the table at this time, one could easily imagine a scenario where municipal-related
state funds are swept, and state revenue sharing is significantly reduced.
8. The City’s cash position and cash flow, even in extreme circumstances and with no affirmative
action by the City is ok through 2020. The City’s cash position and cash flow, in extreme
circumstances and with no affirmative action by the City will enter crisis territory in mid-2021
before being untenable by the end of 2021. The City’s valley of cashflow will occur in
December 2020 and December 2021, when most of the City’s bond payments are made.
Important Dates
9. When the curve is flattened
10. When different sectors of the economy are able to restart
11. Early May 2020 – when the sales tax monthly report for February consumer sales will be
released, and when the sales tax reporting deferral will be seen
12. Mid May 2020 – when the MFT monthly report for March consumer sales will be released
13. Early June 2020 – when the sales tax monthly report for March consumer sales will be released
from the state, and the first with potentially lower sales and reporting deferrals
14. Early July 2020 – when the sales tax monthly report for April consumer sales will be released
from the state
15. July 1, 2020 – when the first, partial online sales tax methodology change goes into effect
statewide, resulting in modest (relative) sales tax revenue increases for municipalities
16. July 2020 – when income taxes are due to the state
17. September 2020 – when the first sales tax monthly report will be released that could possibly the
first sales tax monthly report with no deferrals
18. August 2020 – no action has been taken by Kendall County to implement this date yet, but the
current discussion for property tax payment dates would push the first payment out to August
2020
19. November 2020 – state referendum on progressive income tax
20. December 2020 – large bond payments are due, representing a valley of cashflow
21. January 1, 2021 – when the second, full online sales tax methodology change goes into effect
statewide, resulting in potentially significant (relative) sales tax revenue increases for
municipalities
22. February 2021 – when abatement ordinances on alternate revenue bonds are due to the County
23. December 2021 – large bond payments are due, representing a valley for cashflow
Revenues – Summary
With limited information available, Staff currently projects that General Fund revenues may
decrease in aggregate between $1M to $2M over the course of FY 21. This is a conservative estimate
and will depend on how long the stay at home order is in effect and the severity of the anticipated
recession. For sales taxes, we have assumed a broad reduction in retail sales for local restaurants, bars
and other “non-essential” businesses thru April. For the General Fund, as well as the City’s other
operating and capital funds (Water, Sewer, Parks & Recreation, City-Wide Capital, Library), the
primary concerns are explained in greater detail below; but for the most part, can be summarized as
follows:
- the State cutting or delaying various tax remittances
- the County delaying property tax distributions and the impact of a potential recession on the
local real estate market
- delays and non-payments of various utility billing charges
- limited investment opportunities in a low interest rate environment
- the impact on the building and development community should a prolonged recession occur
- the duration of social distancing, as many revenue streams are dependent upon people freely
engaging in various activities in a public setting
Revenues - Highest concern
24. Municipal and NHR Sales Tax – account for approximately one-third of all General Fund
revenues and can be highly volatile. Restaurants and bars generate ~14% of all municipal sales
tax receipts. Could see potential losses from proposed FY 21 amounts of over $750,000, based
on current anecdotal sales information and the stay-at-home order being issued through the end
of April.
Revenues - High concern
25. Income Tax – could possibly decline by $200,000 or more due to sharp increases in
unemployment levels and lower corporate profits should a recession occur. The State is also
likely to either cut or delay payments, due to their own budgetary issues.
26. Local Use Tax – decline could be marginal, due to the prevalence of on-line sales. However, the
State is also likely to either cut or delay payments.
27. Motor Fuel Tax – may decline by over $100,000 from decreased demand, as a result of high
unemployment and more people working remotely. The State also likely to either cut or delay
payments.
28. Water Sales, Infrastructure Fees and Late Penalties – water sales may decline due to shrinking
usage or wet weather. May adversely impact cash flow due to customers paying late or not at all.
Late penalties may also vary, depending on whether or not fees are waived.
29. Sewer Maintenance Fees and Infrastructure Fees – similar to water infrastructure fees, may
adversely impact cash flow due to customers paying late or not at all.
30. Child Development and Athletics & Fitness – may result in substantial refunds and season
cancellations depending on how long the shelter in place order lasts and the willingness of
residents to reengage in public activities.
31. Library Property Taxes – account for ~95% of all Library revenues. Any substantial delays in
payments or remittance may result in serious operational and cash flow issues for the Library.
32. TIF Property Taxes – any substantial delays in payments or remittance would add continued
pressure to the General Fund, which directly offsets the negative cash position of the three TIF
Funds. In future fiscal years, a potential decline in property values would further inhibit the TIF
districts ability to eliminate its negative equity position.
Revenues - Medium concern
33. Corporate Property Taxes – may be delayed by the County. This, coupled with delayed
remittance of state taxes, would put a strain on operational cash flow. In future fiscal years, this
revenue stream may continue to decline, as more and more funds are diverted away to cover the
City’s contribution to the Police Pension Fund.
34. Building Permits, Connection & Development Fees – the impact on permit revenue from the
pandemic and recession that is anticipated to follow, remains to be seen. Staff will continue to
provide updates regarding these revenue streams as information becomes available.
35. Amusement, Video Gaming & Hotel Taxes – the impact on these revenue streams are wholly
dependent on the longevity of the COVID-19 pandemic and the shelter in place order from the
Governor. Hotel tax receipts will have limited impact on the City budget, as 90% of all proceeds
received are remitted to the AACVB.
36. Investment Earnings – are expected decline sharply City-wide in the upcoming fiscal year, due to
potentially declining revenues and an extremely low interest rate environment.
37. MFT High Growth Earnings – similar situation to the other state taxes mentioned above, these
proceeds could swept or delayed by the State.
Revenues - Low or no concern
38. These revenue streams are comprised of pass-through items (such as business district or
admission taxes), various reimbursements from developers and other sources, and all other
revenues not previously identified – with minimal, individual impact on the overall budget.
Expenditures under consideration
The Mayor and staff have preliminarily discussed many potential cuts and project deferrals
throughout the budget that have varying implementation difficulty levels and impacts to services and the
organization. Some of these items are contemporary ideas, and some are rehashed ideas from the City’s
last financial crisis discussions around 2010. The aggregate value of these concepts is several millions
of dollars. No specific proposal is made to implement these items at this time; they are provided as
reference materials for future discussions.
Expenditures - Easy to implement
39. Delay the proposed new PW employee - $100,000 annually through FY 25
40. Delay the FY 22 Police Commander - $150,000 annually beginning in FY 22 and annually
through FY 25
41. Implement a hiring freeze/review process whenever a vacancy occurs. The City has one
anticipated retirement in the police department at the end of FY 20, and the Chief and the Mayor
have proposed leaving that position vacant going forward - $85,000 annually through FY 25 for
police retirement vacancy; TBD for all other employees
42. Cutback or reduce new budget proposals
a. New sidewalk program – gross annual spend proposed at $125,000
b. Pavement striping – gross annual spend proposed at $62,000
c. Public Works building RFQ - $30,000
d. Police building RFQ - $30,000
e. E-ticketing software - $26,500
f. Office chairs - $10,000
g. Buy one less police vehicle per year - $65,000 potential savings per vehicle
h. Bulk water dispenser - $20,000
i. Enterprise Resource Program (ERP) - gross budget spend in FY 21 and FY 22 proposed
at $475,000
j. Cable consortium participation – net annual spend in FY 21 proposed at $65,000
Expenditures - Medium difficulty to implement
43. Compensation and benefits
a. The City implemented a one-week furlough during the last recession. A one-week
furlough based on current staff counts and compensation would yield more than $100,000
in savings. This assumes that all employees, including union employees (subject to
negotiation), would take a one-week furlough.
b. The City froze salaries for a year or two during the last recession, depending on the group
of employees. A 0% raise for current non-union employees would yield more than
$100,000 in savings annually and compounded compared to the FY 21 budget proposal.
c. The elected official compensation ordinance just approved by City Council doesn’t take
effect until FY 24, but the annual value is $30,000 over prior compensation levels.
44. Cutback, reduce, defer
a. Police pension contributions, currently at 100% funding target but legally required only
at 90% funding target - $195,000 difference in FY 21
b. Greenbriar Road RTBR supplemental project - $200,000 in FY 21
c. 2021 RTBR program - $1,700,000 in FY 22
d. Staff training, organization wide - $100,000 annual
e. Staff membership in professional organizations – TBD
f. Ask for all consultants, vendors, and partners to reduce contract value - TBD
g. Mosquito control - $6,000 annual
h. Library liability insurance - $25,000 annual
i. Tuition reimbursement for currently enrolled employees - $15,000 annual in five year
budget proposal
j. Minute taking change - $4,000 annual
k. Snow plow blades - $14,000 in FY 21
l. Playground replacements - $200,000 in FY 21
m. Parks equipment and mowers - $70,000 in FY 21
n. Sanitary sewer crawler camera - $65,000 in FY 21
o. Hot water unit for vactor truck - $15,000 in FY 21
p. Public Works mowers - $31,000 in FY 21
q. Elizabeth St watermain replacement - $600,000 in FY 21
r. Water fund capital including vehicles, Appletree Ct watermain, Well #7 electrical work,
SCADA upgrades, water tower painting, Orange and Olsen watermain engineering work,
and pressuring sensing valve program - $100,000 in FY 21
Expenditures - High difficulty to implement or high impact to organization and services
45. Compensation and benefits
a. Reduce health insurance benefits – TBD
b. Change health insurance carrier – would have been $100,000 difference in FY 21 if
implemented, value in FY 22 is TBD
c. Move to self insurance – Value TBD, but risk to City would increase
d. Furloughs of 20% (turning a 40 hour work week into a 32 hour work week) for all
employees, including union employees (bargained) - $1,500,000 annual and compounded
e. Progressive salary cuts of 5% for employees paid less than $60,000 annually, 10% for
employees between $60,000 and $100,000 annually, and 15% for employees above
$100,000 - $900,000 annually and compounded
f. Salary freeze for all union employees (must be negotiated) - $100,000 annually and
compounded
46. Waves of staff layoffs – The City’s peak full-time employment count prior to the last recession
was 96 actual employees, with 105 budgeted. During the recession and afterwards, the City
reduced employment counts through a variety of methods and had a low-count of 71 full-time
employees. The City’s current employment count as of April is 77. Layoffs would have varying
service impacts and cost savings, and specific layoffs would only be discussed in executive
session.
47. Sell assets
a. The Van Emmon Activity Center was worth $1.2m prior to the pandemic.
b. The 8 acres at Kendall Marketplace was worth $400,000 prior to the pandemic.
48. Categorical last resorts
a. Refinance, restructure, and/or renegotiate all bond payments to delay and reduce
imminent bond payment amounts.
b. Renegotiate all developer obligations and payments to reduce imminent payment
amounts.
c. Restructure developer fees and deposits to reduce City’s financial burden. This would
have the impact of increasing costs to developers and builders.
d. Revenue enhancements. There are many options for raising tax and fee amounts, and
creating new taxes but these would only help the organization and would burden the
public.
Recommendation
This is an informational item. Staff requests feedback on the content within. The budget
proposal and ordinance is drafted only to address the original FY 21 budget proposal and the budget
amendments specifically listed in Director Fredrickson’s amendment spreadsheet.
Summary
Review of proposed changes to the Fiscal Year 2021 draft budget.
Background
This item was last discussed at the March 24th City Council meeting, when a Public Hearing was held for the FY
21 proposed budget. Since that meeting, staff has made several revisions to the Proposed FY 21 budget as
identified below:
Budget Adjustment #1
This adjustment decreases City-wide group health insurance expenditures by $21,033 in FY 21, as the City’s
broker, Alliant-Mesirow, was able to negotiate an additional 1% reduction in health insurance premiums (from -
5.29% to -6.28%). Projected health insurance costs for FY 22 thru FY 25 were also decreased, thus increasing
operational fund balance between ~$30,000 to $36,000 per year. In addition, retiree health insurance premiums
were added to the FY 21 proposed (01) General Fund budget that were previously omitted.
Budget Adjustment #2
This adjustment modifies the operational transfer from the General Fund to the (79) Parks & Recreation Fund as a
result of the decrease in health insurance premiums mentioned above; thus increasing estimated fund balance in
the General Fund by approximately $5,000 to $7,000 per annum thru FY 25.
Budget Adjustment #3
This adjustment reduces the police capital chargeback from the General Fund by $20,000, from $150,000 to
$130,000. This will allow the police department to purchase two new squads (estimated at $65,000 each,
including build out) without any excess proceeds remaining in the (25) Vehicle & Equipment Fund; thereby
increasing estimated fund balance in the General Fund by $20,000.
Budget Adjustment #4
This adjustment marginally decreases the various administrative chargebacks from the (51) Water, (52) Sewer and
(87 & 88) TIF Funds to the General Fund, as a result of the reduction in health insurance premiums mentioned in
Budget Adjustment #1.
Memorandum
To: City Council
From: Rob Fredrickson, Finance Director
Date: April 8, 2020
Subject: Fiscal Year 2021 Budget Revisions
Budget Adjustment #5
This adjustment alters the timing of budgetary expenditures related to the construction of Raintree Park C, which
is fully funded by developer proceeds received from CalAtlantic (Lennar) last fall. These developer proceeds,
totaling $93,000, were recorded as a liability on the balance sheet of the Vehicle & Equipment Fund; and will be
reclassified as revenues in order to offset expenditures from the project as they are incurred.
Budget Adjustment #6
This adjustment modifies the timing of budgetary expenditures related to the construction of a boat launch at
Riverfront Park. Of the $20,000 initially budgeted in FY 20, expenditures of $7,404 were actually incurred in the
current fiscal year; with the balance of $12,596 anticipated to be spent in FY 21.
Budget Adjustment #7
This adjustment revises the timing of budgetary expenditures in the (72) Land Cash Fund related to the
acquisition and installation of playground equipment at Caledonia and Riverfront Parks. Staff has been notified
by the vendor that the equipment will not be ready for delivery until later on this summer, so FY 20 budgetary
amounts will need to be carried over into FY 21. Furthermore, budgetary estimates have been revised for Beecher
Center Park, reducing that line item by $10,000, from $105,000 to $95,000.
Budget Adjustment #8
This adjustment increases engineering services in the (23) City-Wide Capital Fund by $10,000, in order to finance
engineering costs related to the City’s pavement striping program (currently funded out of the (15) Motor Fuel
Tax Fund at $62,000). Like the Road to Better Roads program, engineering costs related to the pavement striping
program are non-MFT eligible expenses, and as such would need to be funded by the City-Wide Capital Fund.
Recommendation
Staff recommends that the adjustments presented above, and on Exhibit A, be incorporated into the FY 21
proposed budget. A budget ordinance, incorporating these changes, has also been included for your review and
consideration.
Fiscal Year Fund Dept Account Number Description Original Amount Revised Amount Effect on Fund
Balance Notes
Budget Adjustment # 1
Administration 01-110-52-00-5216 Group Health Insurance 100,142 97,664 2,478 Proposed by Management
Finance 01-120-52-00-5216 Group Health Insurance 58,979 57,566 1,413
Police 01-210-52-00-5216 Group Health Insurance 656,733 648,780 7,953
Community Dvlp 01-220-52-00-5216 Group Health Insurance 95,834 93,545 2,289
Streets 01-410-52-00-5216 Group Health Insurance 136,263 134,105 2,158
Admin Srvcs 01-640-52-00-5240 Group Health Insurance 33,790 39,066 (5,276)Retiree insurance premium omitted.
Water Water 51-510-52-00-5216 Group Health Insurance 109,259 107,430 1,829
Sewer Sewer 52-520-52-00-5216 Group Health Insurance 80,306 79,026 1,280
Parks 79-790-52-00-5216 Group Health Insurance 157,762 155,338 2,424
Recreation 79-795-52-00-5216 Group Health Insurance 105,633 103,025 2,608
Library Library Operations 82-820-52-00-5216 Group Health Insurance 78,641 76,764 1,877
$21,033
Administration 01-110-52-00-5216 Group Health Insurance 108,153 105,477 2,676
Finance 01-120-52-00-5216 Group Health Insurance 63,697 62,171 1,526
Police 01-210-52-00-5216 Group Health Insurance 744,229 735,640 8,589
Community Dvlp 01-220-52-00-5216 Group Health Insurance 103,501 101,029 2,472
Streets 01-410-52-00-5216 Group Health Insurance 147,164 144,833 2,331
Admin Srvcs 01-640-52-00-5240 Group Health Insurance 39,946 38,962 984
Water Water 51-510-52-00-5216 Group Health Insurance 118,000 116,024 1,976
Sewer Sewer 52-520-52-00-5216 Group Health Insurance 86,730 85,348 1,382
Parks 79-790-52-00-5216 Group Health Insurance 170,383 167,765 2,618
Recreation 79-795-52-00-5216 Group Health Insurance 114,084 111,267 2,817
Library Library Operations 82-820-52-00-5216 Group Health Insurance 84,932 82,905 2,027
$29,398
2021
General
Fiscal Year Subtotal
Fiscal Year Subtotal
Parks & Recreation
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
2022
General
Parks & Recreation
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
1
Fiscal Year Fund Dept Account Number Description Original Amount Revised Amount Effect on Fund
Balance Notes
Administration 01-110-52-00-5216 Group Health Insurance 116,805 113,915 2,890
Finance 01-120-52-00-5216 Group Health Insurance 68,793 67,145 1,648
Police 01-210-52-00-5216 Group Health Insurance 803,767 794,491 9,276
Community Dvlp 01-220-52-00-5216 Group Health Insurance 111,781 109,111 2,670
Streets 01-410-52-00-5216 Group Health Insurance 158,937 156,420 2,517
Water Water 51-510-52-00-5216 Group Health Insurance 127,440 125,306 2,134
Sewer Sewer 52-520-52-00-5216 Group Health Insurance 93,668 92,176 1,492
Parks 79-790-52-00-5216 Group Health Insurance 184,014 181,186 2,828
Recreation 79-795-52-00-5216 Group Health Insurance 123,211 120,168 3,043
Library Library Operations 82-820-52-00-5216 Group Health Insurance 91,727 89,537 2,190
$ 30,688
Administration 01-110-52-00-5216 Group Health Insurance 126,149 123,028 3,121
Finance 01-120-52-00-5216 Group Health Insurance 74,296 72,517 1,779
Police 01-210-52-00-5216 Group Health Insurance 868,068 858,050 10,018
Community Dvlp 01-220-52-00-5216 Group Health Insurance 120,723 117,840 2,883
Streets 01-410-52-00-5216 Group Health Insurance 171,652 168,934 2,718
Water Water 51-510-52-00-5216 Group Health Insurance 137,635 135,330 2,305
Sewer Sewer 52-520-52-00-5216 Group Health Insurance 101,161 99,550 1,611
Parks 79-790-52-00-5216 Group Health Insurance 198,735 195,681 3,054
Recreation 79-795-52-00-5216 Group Health Insurance 133,068 129,781 3,287
Library Library Operations 82-820-52-00-5216 Group Health Insurance 99,065 96,700 2,365
$ 33,141
Administration 01-110-52-00-5216 Group Health Insurance 136,241 132,870 3,371
Finance 01-120-52-00-5216 Group Health Insurance 80,240 78,318 1,922
Police 01-210-52-00-5216 Group Health Insurance 937,513 926,694 10,819
Community Dvlp 01-220-52-00-5216 Group Health Insurance 130,381 127,267 3,114
Streets 01-410-52-00-5216 Group Health Insurance 185,384 182,449 2,935
Water Water 51-510-52-00-5216 Group Health Insurance 148,646 146,156 2,490
Sewer Sewer 52-520-52-00-5216 Group Health Insurance 109,254 107,514 1,740
Parks 79-790-52-00-5216 Group Health Insurance 214,634 211,335 3,299
Recreation 79-795-52-00-5216 Group Health Insurance 143,713 140,163 3,550
Library Library Operations 82-820-52-00-5216 Group Health Insurance 106,990 104,436 2,554
$ 35,794
150,054$
Budget Adjustment # 2
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
Health Insurance adjusted to reflect the further
decrease in premiums from 5.29% to 6.28% from
Blue Cross Blue Shield; and increase in non-union
employee contributions from 9% to 10.5% (HMO)
and 11% to 12.5% (PPO).
2023
General
Parks & Recreation
2024
General
Parks & Recreation
2025
General
Parks & Recreation
Net Effect on Fund Balance
Fiscal Year Subtotal
Fiscal Year Subtotal
Fiscal Year Subtotal
2
Fiscal Year Fund Dept Account Number Description Original Amount Revised Amount Effect on Fund
Balance Notes
General Admin Srvcs 01-640-99-00-9979 Transfer to Parks & Rec 1,314,316 1,309,284 5,032 Proposed by Management
Park & Recreation Park & Recreation 79-000-49-00-4901 Transfer from General 1,314,316 1,309,284 (5,032)
General Admin Srvcs 01-640-99-00-9979 Transfer to Parks & Rec 1,720,865 1,715,430 5,435
Park & Recreation Park & Recreation 79-000-49-00-4901 Transfer from General 1,720,865 1,715,430 (5,435)
General Admin Srvcs 01-640-99-00-9979 Transfer to Parks & Rec 1,801,347 1,795,476 5,871
Park & Recreation Park & Recreation 79-000-49-00-4901 Transfer from General 1,801,347 1,795,476 (5,871)
General Admin Srvcs 01-640-99-00-9979 Transfer to Parks & Rec 1,857,801 1,851,460 6,341
Park & Recreation Park & Recreation 79-000-49-00-4901 Transfer from General 1,857,801 1,851,460 (6,341)
General Admin Srvcs 01-640-99-00-9979 Transfer to Parks & Rec 1,925,348 1,918,499 6,849
Park & Recreation Park & Recreation 79-000-49-00-4901 Transfer from General 1,925,348 1,918,499 (6,849)
-$
Budget Adjustment # 3
General Police 01-640-99-00-9979 Transfer to Parks & Rec 63,844 43,844 20,000 Proposed by Management
Vehicle & Equip Revenue 25-000-44-00-4420 Police Chargeback 63,844 43,844 (20,000)
Vehicle & Equip Police Capital 25-205-60-00-6070 Vehicles 150,000 130,000 20,000
20,000$
Budget Adjustment # 4
General Revenue 01-000-44-00-4415 Administrative Chargeback 215,089 213,896 (1,193)Proposed by Management
Water Water 51-510-54-00-5401 Administrative Chargeback 124,903 124,225 678
Sewer Sewer 52-520-54-00-5401 Administrative Chargeback 44,953 44,709 244
Countryside TIF Countryside TIF 87-870-54-00-5401 Administrative Chargeback 11,562 11,475 87
Downtown TIF Downtown TIF 88-880-54-00-5401 Administrative Chargeback 33,671 33,487 184
$-
General Revenue 01-000-44-00-4415 Administrative Chargeback 221,542 220,313 (1,229)
Water Water 51-510-54-00-5401 Administrative Chargeback 128,650 127,952 698
Sewer Sewer 52-520-54-00-5401 Administrative Chargeback 46,302 46,050 252
Countryside TIF Countryside TIF 87-870-54-00-5401 Administrative Chargeback 11,909 11,819 90
Downtown TIF Downtown TIF 88-880-54-00-5401 Administrative Chargeback 34,681 34,492 189
$-
General Revenue 01-000-44-00-4415 Administrative Chargeback 228,188 226,924 (1,264)
Water Water 51-510-54-00-5401 Administrative Chargeback 132,510 131,791 719
2021 Revised due to Health Insurance adjustment above -
reduction in personnel cost in chargeback matrix.
2022
Fiscal Year Subtotal
2021
Net Effect on Fund Balance
Fiscal Year Subtotal
2023
2024
2025
2021
2022
Revised due to Health Insurance adjustment above -
reduction in personnel cost in chargeback matrix.
Net Effect on Fund Balance
Adjust General Fund Transfer to Parks &
Recreation Fund to target Fund Balance at 0% of
expenditures.
Adjust Police Capital chargeback to fund 2 new
squads (including build out).
3
Fiscal Year Fund Dept Account Number Description Original Amount Revised Amount Effect on Fund
Balance Notes
Sewer Sewer 52-520-54-00-5401 Administrative Chargeback 47,691 47,432 259
Countryside TIF Countryside TIF 87-870-54-00-5401 Administrative Chargeback 12,266 12,174 92
Downtown TIF Downtown TIF 88-880-54-00-5401 Administrative Chargeback 35,721 35,527 194
$ -
General Revenue 01-000-44-00-4415 Administrative Chargeback 235,034 233,732 (1,302)
Water Water 51-510-54-00-5401 Administrative Chargeback 136,485 135,745 740
Sewer Sewer 52-520-54-00-5401 Administrative Chargeback 49,122 48,855 267
Countryside TIF Countryside TIF 87-870-54-00-5401 Administrative Chargeback 12,634 12,539 95
Downtown TIF Downtown TIF 88-880-54-00-5401 Administrative Chargeback 36,793 36,593 200
$ -
General Revenue 01-000-44-00-4415 Administrative Chargeback 242,086 240,744 (1,342)
Water Water 51-510-54-00-5401 Administrative Chargeback 140,580 139,817 763
Sewer Sewer 52-520-54-00-5401 Administrative Chargeback 50,596 50,321 275
Countryside TIF Countryside TIF 87-870-54-00-5401 Administrative Chargeback 13,013 12,915 98
Downtown TIF Downtown TIF 88-880-54-00-5401 Administrative Chargeback 37,897 37,691 206
$ -
-$
Budget Adjustment # 5
Vehicle & Equip Park & Rec Capital 25-225-60-00-6010 Park Improvements 50,000 33,536 16,464 Proposed by Management
Vehicle & Equip Park & Rec Capital 25-000-46-00-4692 Misc Reimb - Park Capital 50,000 33,536 (16,464)
Vehicle & Equip Park & Rec Capital 25-225-60-00-6010 Park Improvements 43,000 59,464 (16,464)
Vehicle & Equip Park & Rec Capital 25-000-46-00-4692 Misc Reimb - Park Capital 43,000 59,464 16,464
-$
Budget Adjustment # 6
2020 Vehicle & Equip Park & Rec Capital 25-225-60-00-6020 Buildings & Structures 10,000 7,404 2,596 Proposed by Management
2021 Vehicle & Equip Park & Rec Capital 25-225-60-00-6020 Buildings & Structures 10,000 12,596 (2,596)
-$
Fiscal Year Subtotal
2024
Fiscal Year Subtotal
Net Effect on Fund Balance
Net Effect on Fund Balance
2023
2025 Revised due to Health Insurance adjustment above -
reduction in personnel cost in chargeback matrix.
Revised due to Health Insurance adjustment above -
reduction in personnel cost in chargeback matrix.
2020
2021
Adjust the timing of expenditures for Raintree Park
C - funded in full by a developer contribution from
CalAtlantic(Lennar).
Boat Launch expenditures from FY 2020 carried
over into FY 20213
Net Effect on Fund Balance
Revised due to Health Insurance adjustment above -
reduction in personnel cost in chargeback matrix.
Fiscal Year Subtotal
4
Fiscal Year Fund Dept Account Number Description Original Amount Revised Amount Effect on Fund
Balance Notes
Budget Adjustment # 7
72-720-60-00-6029 Caledonia Park 60,000 - 60,000 Proposed by Management
72-720-60-00-6047 Autumn Creek 40,000 - 40,000
72-720-60-00-6013 Beecher Center Park 105,000 95,000 10,000
72-720-60-00-6029 Caledonia Park 25,000 85,000 (60,000)
72-720-60-00-6047 Autumn Creek 10,000 50,000 (40,000)
10,000$
Budget Adjustment # 8
Proposed by Management
(10,000)$
2020 Land Cash
Net Effect on Fund Balance
Land Cash
Carryover FY 2020 budget amounts for Caledonia
& Autumn Creek Parks in FY 2021. Budget
estimate for Beecher Center Park revised, from
$105,000 to $95,000.2021 Land Cash Land Cash
2021 City-Wide Capital City-Wide Capital 23-230-54-00-5465 Engineering Services - 10,000 (10,000)
Net Effect on Fund Balance
Engineering (Non-MFT eligible) for Pavement
Striping budgeted out of MFT.
5
FY 2020FY 2021FY 2022FY 2023FY 2024 FY 2025ProjectedProposedProjectedProjectedProjectedProjectedTotalsGeneral34,85422,784 23,608 25,55827,668134,472 Fox Hill SSASunflower SSAMotor Fuel TaxCity-Wide Capital(10,000) (10,000) Vehicle & Equipment2,596 (2,596) - Debt ServiceWater2,507 2,674 2,853 3,045 3,253 14,332Sewer1,524 1,634 1,751 1,878 2,015 8,802Land Cash100,000 (90,000) 10,000Parks & Recreation- - - - - - Library Ops1,8772,027 2,190 2,365 2,554 11,013Library CapitalCountryside TIF87 90 92 95 98 462Downtown TIF184 189 194 200 206 973Downtown TIF IIEntity-Wide Total102,596 (61,563) 29,398 30,688 33,141 35,794 170,054 Overall Effect of Proposed Budget Adjustments on Fund Balance/Fund Balance Equivalent6
FY 2020FY 2021FY 2022FY 2023FY 2024 FY 2025ProjectedProposedProjectedProjectedProjectedProjectedGeneral7,287,159 7,322,013 6,636,974 5,496,597 4,404,479 3,023,893 Fox Hill SSA5,678 (15,614) (36,084)(27,298)(15,704) 129 Sunflower SSA(18,667) (18,630) (16,526)(12,246)(7,238) (71) Motor Fuel Tax648,924 345,323 159,463 50,543 (5,331) (44,123) City-Wide Capital371,437 78,960 (47,551)38,179 15,643 (13,167) Vehicle & Equipment137,651 450 450 450 450 450 Debt Service- - --- - Water3,003,158 1,827,113 1,308,776 970,141 2,181,220 3,577,368 Sewer1,075,504 606,819 604,060 808,277 1,337,074 1,690,512 Land Cash245,673 39,244 (14,547)3,978 3,312 2,340 Countryside TIF(1,141,344) (1,209,865) (1,146,800)(1,004,960)(854,982) (695,114) Downtown TIF (1,242,840) (1,472,892) (1,694,177)(1,705,306)(1,715,705) (1,728,592) Downtown TIF II(68,565) (66,065) (63,565)(43,565) (23,565) (2,109) Adjusted City-Wide Total10,303,768 7,436,856 5,690,473 4,574,790 5,319,653 5,811,516City Fund Balance/Fund Balance Equivalent - Adjusted7
FY 2020FY 2021FY 2022FY 2023FY 2024 FY 2025ProjectedProposedProjectedProjectedProjectedProjectedVehicle & Equipment330,333 264,563 261,389 258,215 255,041 251,867 Parks & Recreation369,462 - -- -- Adjusted Entity-Wide Total699,795 264,563 261,389 258,215 255,041 251,867Parks & Recreation Fund Balance Adjusted8
FY 2020FY 2021FY 2022FY 2023FY 2024 FY 2025ProjectedProposedProjectedProjectedProjectedProjectedLibrary574,688 557,653 526,658 481,374 421,437 347,383 Library Capital129,485 104,48579,23553,985 28,735 17,125 Adjusted Entity-Wide Total704,173 662,138 605,893 535,359 450,172 364,508Library Fund Balance Adjusted9
Ordinance No. 2020-____
Page 1
ORDINANCE NO. 2020-_____
ORDINANCE APPROVING THE 2020-2021 FISCAL BUDGET
FOR THE UNITED CITY OF YORKVILLE
WHEREAS, the Mayor and City Council of the UNITED CITY OF YORKVILLE
have duly held all Public Hearings, allowed public input, and have duly considered
formation of a budget for the 2020-2021 Fiscal Year; and
WHEREAS, a tentative budget was duly announced and available for examination at
the City offices of the UNITED CITY OF YORKVILLE; and
WHEREAS, the Mayor and City Council of the UNITED CITY OF YORKVILLE
deem it in the best interest of the City for the orderly operation thereof to pass and
approve the 2020-2021 Fiscal Year Budget being submitted on April 14, 2020 at its
regular City Council Meeting:
NOW, THEREFORE, BE IT ORDAINED, by the Mayor and City Council of the
United City of Yorkville, Kendall County, Illinois that the 2020-2021 Budget totaling
$33,879,561 including the amounts of $16,898,632 General Fund, $1,117,462 Motor Fuel
Tax Fund, $651,794 Vehicle & Equipment Fund, $2,286,552 Sewer Fund, $5,828,132
Water Fund, $1,628,147 City-Wide Capital Fund, $323,225 Debt Service Fund, $240,287
Land Cash Fund, $2,556,762 Parks & Recreation Fund, $1,664,378 Library Operations
Fund, $75,500 Library Capital Fund, $222,486 Countryside TIF Fund, $306,052
Downtown TIF Fund, $22,500 Downtown TIF II Fund, $20,326 Sunflower SSA Fund,
and $37,326 Fox Hill SSA Fund is hereby adopted for the 2020-2021 Fiscal Year, as
presented.
Passed by the City Council of the United City of Yorkville, Kendall County,
Illinois this ______ day of _____________________, 2020.
______________________________
City Clerk
Ordinance No. 2020-____
Page 2
KEN KOCH ________ DAN TRANSIER ________
JACKIE MILSCHEWSKI ________ ARDEN JOE PLOCHER ________
CHRIS FUNKHOUSER ________ JOEL FRIEDERS ________
SEAVER TARULIS ________ JASON PETERSON ________
Approved by me, as Mayor of the United City of Yorkville, Kendall County,
Illinois, this ______ day of _____________________, 2020.
______________________________
Mayor
United City of Yorkville, Illinois
Fiscal Year 2021 Budget
May 1, 2020 to April 30, 2021
Elected Officials
Mayor: John Purcell
1st Ward Alderman: Dan Transier
1st Ward Alderman: Ken Koch
2nd Ward Alderman: Jackie Milschewski
2nd Ward Alderman: Joe Plocher
3rd Ward Alderman: Joel Frieders
3rd Ward Alderman: Chris Funkhouser
4th Ward Alderman: Seaver Tarulis
4th Ward Alderman: Jason Peterson
Administration
City Administrator: Bart Olson
Director of Finance / Treasurer: Rob Fredrickson
Director of Public Works: Eric Dhuse
Chief of Police: Jim Jensen
Director of Community Development: Krysti Barksdale-Noble
Director of Parks & Recreation: Tim Evans
Library Director: Elisa Topper
City Clerk: Lisa Pickering
TABLE OF CONTENTS
Budget Summary
Budget Memorandum _______________________________________________________ 1
City Council Goals Sheet ___________________________________________________ 47
IML Fact Sheet – Sales Tax _________________________________________________ 48
Purchasing Manager Report _________________________________________________ 52
Revenues by Category ______________________________________________________ 54
Expenditures by Category ___________________________________________________ 55
Fund Balance History ______________________________________________________ 56
Revenue Budget Summary __________________________________________________ 57
Expenditure Budget Summary _______________________________________________ 58
Fund Balance Summary ____________________________________________________ 59
General Fund
General (01) Fund Summary _________________________________________________ 60
Revenue Detail ___________________________________________________________ 61
Administration____________________________________________________________ 63
Finance _________________________________________________________________ 65
Police ___________________________________________________________________ 67
Community Development ___________________________________________________ 70
Public Works _____________________________________________________________ 72
Administrative Services ____________________________________________________ 74
Other Budgetary Funds
Fox Hill SSA (11) Fund ____________________________________________________ 77
Sunflower SSA (12) Fund ___________________________________________________ 79
Motor Fuel Tax (15) Fund ___________________________________________________ 81
City-Wide Capital (23) Fund ________________________________________________ 83
Vehicle & Equipment (25) Fund ______________________________________________ 87
Debt Service (42) Fund _____________________________________________________ 90
Water (51) Fund __________________________________________________________ 92
Sewer (52) Fund __________________________________________________________ 96
Land Cash (72) Fund _______________________________________________________ 99
Parks & Recreation (79) Fund _______________________________________________ 102
Library Operations (82) Fund _______________________________________________ 106
Library Capital (84) Fund __________________________________________________ 109
Countryside TIF (87) _____________________________________________________ 111
Downtown TIF (88) Fund __________________________________________________ 113
Downtown TIF II (89) Fund ________________________________________________ 115
Miscellaneous
Consolidated Budget Sheets ________________________________________________ 117
Budgeted Cash Flow Estimations ____________________________________________ 120
Allocated Insurance Expenditures - Aggregated _________________________________ 122
Property Tax Overview ____________________________________________________ 122
Aggregated Salary & Benefit Information _____________________________________ 123
Aggregate Capital Projects >$500,000 ________________________________________ 124
Purpose:
Please accept this report and budget spreadsheet as proposal for the FY 21 budget. The budget
proposed for approval by the City Council is for expenses and revenues scheduled to be spent and
collected, respectively, between May 1, 2020 and April 30, 2021.
Background and “the big picture”:
The City Council last discussed a comprehensive budget proposal in April 2019 when we
approved the FY 20 budget, with additional information for FY 21, FY 22, FY 23, and FY 24. This
approval represented the eighth five-year budget for the City, and we return to a five-year budget again
this year.
Last year’s budget discussion focused the stabilization of several funds within the budget, despite
large increases in new capital projects. With continued revenue growth across most funds, controlled
expenditures in departments, and major projects deferred by timing and the mayoral transition, the
City’s overall budget outlook for FY 20 is more solid than last year’s budget proposal.
In this year’s budget proposal, budget stability continues, and capital project and vehicle funding
has increased substantially. Increases in the motor fuel tax, better than expected performance in state
revenues, and some strategic budget decisions (outlined below) have allowed us to resolve some long-
term issues with road, sidewalk, and vehicle funding. Further, there several significant revenue sources
for FY 22 and beyond that are not included in this five-year budget, due to our conservative budgeting
philosophy. We’ve proposed no increases in water rates, sewer rates, and fees for FY 21. The property
tax levy approved by City Council in December 2019 increased property taxes only by the new
construction amount in the City for the third year after multiple years of property tax reductions.
With another year of a better than expected General Fund and aggregate City budget fund
balance, and a significant increase in capital projects and purchases, the five-year budget outlook is
similar to last year’s budget proposal:
Memorandum
To: City Council
From: Bart Olson, City Administrator
CC:
Date:
Department Heads
March 5, 2020
Subject: FY 21 budget narrative
1
(2,000,000)
(1,500,000)
(1,000,000)
(500,000)
-
500,000
1,000,000
FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
General Fund -Surplus(Deficit) Comparison
FY 20 Budget FY 21 Budget
-
1,000,000
2,000,000
3,000,000
4,000,000
5,000,000
6,000,000
7,000,000
8,000,000
FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
General Fund -Fund Balance
FY 20 Budget FY 21 Budget
2
In short, we are well positioned for FY 21 and beyond, and we are positioned to make decisions
on project deferrals or operational cuts with months or years of advance notice.
(4,000,000)
(3,000,000)
(2,000,000)
(1,000,000)
-
1,000,000
2,000,000
FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Aggregate City Budget -Surplus(Deficit) Comparison
FY 20 Budget FY 21 Budget
-
2,000,000
4,000,000
6,000,000
8,000,000
10,000,000
12,000,000
14,000,000
FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Aggregate City Budget -Fund Balance Comparison
FY 20 Budget FY 21 Budget
3
Changes in budgeting
Last year’s budget narrative memo included a fiscal snapshot of each of the General Fund, Water
Fund, Sewer Fund, and aggregated budget and highlight of significant capital improvements. We return
to that format this year, as there are only a few modest changes to the budget from last year.
There are no significant changes in budget format from last year to this year.
4
Year-by-year summary, FY 20 projections
The General Fund outlook for FY 20 has significantly improved since the FY 20 budget was
approved in April 2019. We expect expenditures to be under approved budget amounts, and revenues to
be over approved budget amounts. On the revenue side, sales taxes are tracking higher than expected,
state income tax distributions have been much higher than the IML expected due to some one-time
payments, the South Dakota v. Wayfair Supreme Court decision has resulted in a better than expected
bump in use taxes, building permit revenue continues to be fairly robust, and investment earnings
continue to outperform initial budgeted estimates. On the expenditure side, outsourced inspections have
decreased as a result of a modest decline in total inspections and a conscious effort by the Community
Development Department staff to use in-house staff for inspections where possible, salt expenditures are
down because of a mild winter 1 and in spite of poor per ton salt prices from the 2019 state salt bid, and
each department is generally controlling expenditures. The approved General Fund deficit of $314,000
is expected to come in at a $400,000 surplus. As a result, fund balance is expected to increase to 44%,
which is higher than our fund balance policy minimum of 30%. While that number is weighed down by
negative fund balances in the Countryside and Downtown TIF Funds, we are optimistic those fund
deficits will be turned around through City Council action within our five-year budget window.
The outlook for the Water Fund is positive, despite the first year of below average water sales
revenue, three straight years of water rate freezes, and another year of significant increases in capital
projects in the fund. Some deferred capital expenses related to the large Well 7 standby generator also
have helped the FY 21 budget, as outlined in the small picture section of this memo. We are
recommending a fourth straight year of water rate freezes but recommend the City Council fund some
significant capital projects and hedge against future water rate increases by implementing an inflationary
increase in FY 22.
The outlook for the Sewer Fund is positive and stable, thanks to some modest increases in
revenue, a recoup of an investment loss from the IMET fund in FY 15, and a deferment of the
Countryside pump station painting project into FY 21. As discussed in prior years, the City is drawing
down fund balance in this fund for a few years before building up fund balance ~4 years into the future
through growth projections.
In addition to the funds outlined above, a group of other funds show significant improvement in
FY 20. The City-Wide Capital fund shows around $400,000 in improvement because of the delay of the
Mill Road project, the recoup of the IMET investment loss, and deferring the municipal facilities master
plan. The Vehicle and Equipment Fund shows around $300,000 in improvement because of the
refinancing of the Betzweiser loan and the approval of the Raintree Village annexation agreement
amendment in Summer 2020. The Downtown TIF #1 fund is $100,000 better off due to the delayed
consideration of the downtown façade improvement program, the courthouse hill landscaping project,
and a few other downtown improvements. Finally, the MFT Fund shows improvement of more than
$300,000 because of the passage of the state capital bill and the increase in the motor fuel tax.
Because of the above, the aggregate budget outlook for the City has significantly improved over
the course of the last several budget cycles. Over the next two fiscal years the general fund should
continue to have strong revenues and controlled operational expenditures. Capital projects throughout
1 As of March 4th (knocking on wood).
5
the budget continue to come in under budget estimates and/or are deferred slightly due to construction
timelines. We expect an aggregate budget improvement from a $4,000,000 deficit to a $1,400,000
deficit, and a fund balance in excess of $10,000,000.
The FY 20 project list changed significantly from the budget proposal. The Grande Reserve
developer has not negotiated for full rehab of Mill Road, and that project has been delayed. The
Pavillion Road streambank stabilization project was determined as not immediately needed because
erosion of the streambank has been less severe than expected. The Well #7 rehab was delayed, and the
standby generator has been more expensive than anticipated, so staff will be recommending a different
solution at a reduced cost. However, many projects have continued as expected. Road to Better Roads,
the Route 34 eastern and western expansion, Route 71 expansion, Autumn Creek park north, and
Raintree Park C were constructed as expected. The City continues to monitor regional water supply
initiatives and has funding for land acquisition in subsequent fiscal years, if needed.
6
Year-by-year summary, FY 21 proposed
General Fund
Surplus (Deficit) $0
Fund Balance 43%
Notes
1) Variable merit and COLA increases for staff
2) One new streets employee
Water Fund
Surplus (Deficit) ($1,178,552)
Fund Balance 31%
Notes
1) No water rate increases, approx. 5% growth assumed from new construction or
increase in sales volume
Sewer Fund
Surplus (Deficit) ($470,209)
Fund Balance 26%
Notes
1) No sewer rate increases, approx. 3% growth assumed from new construction
Aggregate Budget
Surplus (Deficit) ($2,806,068)
Fund Balance $7,397,700
Notes
1) Continued deficits and negative fund balance in the TIF Funds add additional strain
to the General Fund
Capital Projects List
Road to Better Roads, sidewalk replacements, pavement striping, Route 34 eastern &
western expansion completed, Rte. 71 (eastern portion) ongoing, Rte. 71 water/sewer main
replacement continues, Kennedy Road bike trail wraps up, Elizabeth Street watermain
improvements completed, watermain work begins on Appletree Court and Orange & Olsen
Streets, Beaver Street standby generator installed, cat-ion media exchange at water treatment
plants begins, Sewer SCADA system continues, Caledonia Park installed, new equipment for
Autumn Creek park, sitting area for the Blackberry Creek Nature Preserve, Beecher Park
improvements, Caledonia park playground, Raintree Park C park redevelopment projects
completed.
7
Year-by-year summary, FY 22 projections
General Fund
Surplus (Deficit) ($707,823)
Fund Balance 37%
Notes
1) Undetermined merit increases for staff
2) One new police commander
Water Fund
Surplus (Deficit) ($521,011)
Fund Balance 24%
Notes
1) Water sales increase approx. 5% - could be volume sales increase, new housing starts,
or inflationary increase
Sewer Fund
Surplus (Deficit) ($4,393)
Fund Balance 26%
Notes
1) Sewer maintenance fee increases approx. 3% - could be new housing starts or
inflationary increase
Aggregate Budget
Surplus (Deficit) ($1,773,754)
Fund Balance $5,623,946
Notes
1) Fund balance in the General, Water and Sewer Funds decline. Countryside TIF turns
a surplus, but deficit position of TIF funds continues to put a strain on the General
Fund
Capital Projects List
Road to Better Roads, pavement striping, Mill Road rehab and realignment, sidewalk
replacements, Rte. 71 (eastern portion) culminates, South Central water tower repainting, Well
#7 rehab occurs, water main improvements finished on Appletree Court and Orange & Olsen
Streets, watermain work begins on Colton Street, cat-ion media exchange at water treatment
plants continue, Sewer SCADA system work wraps up, park improvements installed at Prestwick
and Beecher Park.
8
Year-by-year summary, FY 23 projections
General Fund
Surplus (Deficit) ($1,163,985)
Fund Balance 29%
Notes
1) Undetermined merit increases for staff
Water Fund
Surplus (Deficit) ($341,488)
Fund Balance 18%
Notes
1) Water sales increase approx. 5% - could be volume sales increase, new housing starts,
or inflationary increase
Sewer Fund
Surplus (Deficit) $202,466
Fund Balance 32%
Notes
1) Sewer maintenance fee increase approx. 3% - could be new housing starts or
inflationary increase
Aggregate Budget
Surplus (Deficit) ($1,144,181)
Fund Balance $4,479,765
Notes
1) Fund balance in the General and Water Funds continue to decline. Sewer Fund has a
moderate surplus. Countryside TIF turns a solid surplus, as a full year of new
construction increment hits the property tax rolls. TIF’s begin to level off, but
accumulated deficit position of TIF funds continues to put a strain on the General
Fund. Aggregate cash flow could be tight at times in FY 23, before easing over the
course of FY 24.
Capital Projects List
Road to Better Roads, pavement striping, sidewalk replacements, north central water
tower repainting, Well #4 rehab occurs, watermain work completed on Colton Street, Main
Street watermain improvements begin, SSES rehab program begins, cat-ion media exchange
completed.
9
Year-by-year summary, FY 24 and FY 25 projections
General Fund FY 24 FY 25
Surplus (Deficit) ($1,117,676) ($1,408,254)
Fund Balance 23% 15%
Notes
1) Undetermined merit increases for staff
Water Fund
Surplus (Deficit) $1,208,034 $1,392,895
Fund Balance 54% 89%
Notes
1) Water sales increase approx 5% - could be volume sales increase, new housing starts,
or inflationary increase
Sewer Fund
Surplus (Deficit) $526,919 $351,423
Fund Balance 56% 65%
Notes
1) Sewer maintenance fees increase approx. 3% - could be new housing starts or
inflationary increases
Aggregate Budget
Surplus (Deficit) $714,087 $458,623
Fund Balance $5,193,852 $5,652,475
Notes
1) Fund balance in the General Fund continues to decline. Water and Sewer Funds
rebound sharply with strong surpluses. TIF Funds continue to generate a net surplus,
but accumulated deficit position of TIF Funds continues to put a strain on the General
Fund. Aggregate cash flow position improved from FY 23.
Capital Projects List
Road to Better Roads, pavement striping, sidewalk replacements, Route 47 north
roadway project slated to begin (includes roadway improvements in Bristol Bay subdivision,
land acquisition related to regional water supply issues, complete water improvements on Main,
Morgan and East Fox Streets, SSES rehab program continues, 202 River Road sanitary work
finishes.
10
Items to note – big picture
Items to note - City Council goals
The City Council goals from the Fall 2019 meeting are attached as a reference. This budget
proposal contains a significant amount of new capital to address these goals, as outlined by the Mayor
after the goal setting session. Of note, the five-year budget has new funding for:
1) $475,000 for implementation of an ERP system in FY 21 and FY 22 (Goal 1)
2) $60,000 for space needs analysis for a PW and Police facility (Goal 2)
3) $125,000 for sidewalks (Goal 4)
4) $150,000 for police vehicles (Goal 6a)
5) $400,000 for Public Works vehicles and equipment (Goal 6a)
6) $80,000 for contingencies in all departments (Goal 6b)
7) $155,000 for Parks Dept vehicles and equipment (Goal 6a)
8) $145,000 for Playground replacement (Goal 13)
Additionally, the Road to Better Roads project budgets in each of the MFT, Water, and City-Wide funds
has increased from last year’s budget proposals. Further, there are various budget proposals (continuing
or slightly modified) for water planning (Goal 5), and the Metra extension (Goal 10). Additionally,
proposals for goals that do not impact the budget can be discussed by committees throughout 2020.
Items to note – LGDF cuts and referendum
The Governor’s budget address for the state fiscal year beginning July 1, 2020 proposes to sweep
an additional 5% of LGDF until the November general election, when Illinois residents will be voting on
a graduated income tax proposal. The Governor’s proposal, although not yet vetted by the legislature, is
to sweep that 5% of LGDF permanently if the graduated income tax referendum fails or to return that
money plus another ~7.5% of LGDF if the graduated income tax referendum is approved. For
Yorkville, this is a potential annual swing of around $250,000 annually. For purposes of conservative
budgeting, we have assumed the graduated income tax referendum will fail. If the graduated income tax
referendum is approved, we will revisit the budget.
11
Items to note – unplanned revenues
The budget proposal’s first unplanned revenue relates to sales taxes. In July 2018, the Supreme
Court ruled on a case called South Dakota v. Wayfair, which significantly changed the rules of origin-
based sales taxes in the country and how online sales taxes are collected. As a result of this ruling, the
Illinois legislature changed their state-level sales tax methodology to make more online retailers
responsible for collecting sales taxes from online purchases (prior to, individual residents were
responsible to self-report online purchases and remit use tax), to make locally imposed sales taxes, like
the City’s non-home rule sales tax, applicable to online purchases (currently not imposed on any online
purchases), and to change the methodology from most online purchases from state level (City gets a per
capita cut of online sales thru use taxes) to destination based (City gets online sales taxes from
Yorkville residents’ online purchases). These changes are being implemented in phases, with one
modest phase having occurred January 1, 2020, another modest phase occurring July 1, 2020, and a
major phase occurring January 1, 2021. The IML has phrased some of these changes as resulting in
“significant increases” in sales taxes for municipalities – however, no one has been able to come up with
City-specific estimates (sales tax FAQ attached). Staff has outlined some rudimentary figures based on
our sales tax figures in the small picture section of the budget, but the end result for this budget proposal
is that we assume only a linear 2% growth rate in sales taxes within a five year budget. We propose to
revisit this figure in April 2021, when the January 2021 consumer sales tax report is released to the City.
The budget proposal’s second unplanned revenue relates to cannabis sales taxes. While the City
does not have a cannabis dispensary planned at a specific location, nor has any cannabis dispensary
operator applied for a Yorkville-specific site location at the state level, we think there is a good chance
that a Yorkville specific cannabis dispensary could be sited in the next five years. Between the normal
sales tax, the City’s non-home rule sales tax, and the City’s cannabis sales taxes, the annual revenue
from a dispensary could be north of $400,000 annually. In fact, North Aurora, which is home to one of
the first dispensaries in the region, expects their annual sales taxes to increase by more than $600,000 in
the upcoming year. None of that revenue is planned in the five-year budget proposal. If a dispensary is
ever sited in Yorkville, we would revisit the budget after approvals.
The budget proposal’s third unplanned revenue relates to the state capital bill. There are several
state level taxes and proposals (motor fuel taxes, cannabis revenue, casino proposals, etc.) that could be
implemented that will result in a more traditional capital budget package in the upcoming year. The
state has indicated that they would sell a large bond to have funds for supplemental MFT appropriations,
similar to what was done after the 2009 state capital bill. During the 2009 era, the City received $70,000
increments for several years in a row. We expect that the current disbursements would be for larger
amounts and more frequent. For conservative budgeting purposes we have assumed only $5,000 in
revenue for FY 21 and only $70,000 increments in FY 22 and beyond. We will revisit this revenue
source after the state firms up the capital bond.
12
Items to note – Parks and Recreation 15% fund balance
Since the early 2000s, the City has had a separate bank account for the Parks and Recreation
operating fund (Fund 79). Because the Parks and Recreation department paid its bills directly, using
separate checks, their bank account was required to have a cash reserve in order to prevent checks from
bouncing. In 2015, City staff pegged the amount of cash reserves needed in the bank account to prevent
cash flow issues at around 15% and pegged the entire Parks and Recreation budget at that reserve
amount. In other words, no matter how well or poor the Parks and Recreation budget does in one year,
the General Fund transfer into the Parks and Recreation budget is calibrated the following year to keep
the fund balance at exactly 15%. Prior to this decision, the Parks and Recreation was given a set amount
of funding via a General Fund transfer every year; when the Parks and Recreation budget was in surplus
at the end of the year, the surplus amount was rolled into their fund balance for future use, and the
opposite occurred when the budget was in deficit.
This 15% fund balance target no longer serves any real purpose. While the City tracks this fund
balance and shows it in the audit, it has historically not been referenced formally or informally as part of
the General Fund reserves – meaning, the City has never claimed to have $4,000,000 in General Fund
reserves plus $200,000 in Parks and Recreation reserves for a total reserve of $4.2m. Along these lines,
the City does not need to have a separate bank account for Parks and Recreation – in fact, the City
consolidated all Park & Recreation check writing activities back in 2015, whereby all Parks &
Recreation checks are written on City check stock and then reimbursed via ACH transfer from the Parks
& Recreation bank account to the City’s bank account. The proposal as shown later in the memo in the
expenditure line item in the General Fund for a transfer to the Parks and Recreation Fund, and in the
revenue line-item in the Parks and Recreation Fund for a transfer from the General Fund, is to liquidate
this 15% fund balance and use it on one-time capital expenditures throughout the budget. This results in
the General Fund transfer to the Parks and Recreation Fund decreasing substantially in FY 21, the Parks
and Recreation fund running a deficit in FY 21, and then running the fund balance at 0% future budget
years. This is the same concept as all the departments in the General Fund (none have their own
separate fund balance). By liquidating this fund balance, we free up around $340,000 for new parks
vehicles, new police vehicles, parks equipment, and road funding in FY 21. Doing so will not impact
the general fund reserves, nor will it pose a cashflow issue for the Parks and Recreation fund. We would
simply close the bank account and consolidate the funds into the City’s main bank account.
13
Items to note – Capital Projects, Road to Better Roads
The City Council’s main focus for capital projects has been pavement rehabilitation via the Road
to Better Roads program. Since the first year of the program in summer 2013, we have spent almost $7.0
million (thru FYE 19) between pavement, water, and sewer projects. In summer 2020, we are proposing
over $1.7 million in Road to Better Roads projects.
Out of our annual Road to Better Roads budget, ~$1.1 million is allocated to pavement
improvements. As has been our past practice, in FY 21, construction expenditures will be coded out of
the MFT fund (~$782,000) and City-wide capital (~$215,000), with engineering costs ($97,500)
budgeted in the City-Wide Capital Fund. The annual funding target for road replacement is north of
$2,000,000, and the City will make progress towards that funding goal with the additional Motor Fuel
Taxes from the State capital bill and a retirement of debt service from historical in-town road program.
Still, the City will have to look at a long-term funding plan for this project in the future.
Items to note – Countryside TIF
In last year’s budget proposal, we showed the Countryside TIF fund balance at a negative
$430,000 in FY 24, which assumed successful completion of the Holiday Inn Express and Opal
Banquets and some conservative estimates of the building containing Flight Bottle Shoppe and Burnt
Barrel, and the multi-tenant building at the east end of the property. All those buildings except the Opal
have been completed, and property taxes were greater than debt service payments (as expected in FY 19
and FY 20). However, the property owner of the NCG Theater property secured a significant property
assessment reduction in FY 20, which will put the five-year budget proposal in this fund and the long-
term sustainability of the TIF in question. In FY 24, we now show a fund balance deficit of $855,000
and cannot say with certainty that the fund will not end in with negative equity in FY 30. However, we
have conservatively estimated property taxes for FY 25 and beyond through modest growth assumptions
and have not budgeted for development of the last vacant out lot in Kendall Crossing.
14
Items to note – Public Works vehicle purchases
In Fall 2019, the City Council authorized the purchase of a new large dump truck, which was the
first new truck since the recession. Concurrent with that purchase, the City Council authorized the rehab
of two large trucks in the fleet. This puts the City’s fleet of large dump trucks at 9 total: 1 new incoming
(2019), 1 almost new (2016), 2 rehabbed (2006 and 2008), and 5 older trucks (2004, 2006, 2007, 2007,
and 2008). The FY 20 budget was initially amended to included funding for a new dump truck chassis
and the refurbishing of two existing trucks, for a total of $200,000. The cab body for the new truck was
slated to be budgeted in FY 21. Recently staff was informed that the refurbished trucks will not be
ready until the Fall, but the cab body originally scheduled for FY 21 is ready now. As a result, the two
vehicles will be swapped in the budget, with the new cab body being funded in FY 20 and refurbished
trucks to be funded in the subsequent fiscal year.
Within this five-year budget proposal, we have an annual appropriation of $120,000 in FY 22
and beyond. This annual appropriation can result in one new large truck every two years, or we
could issue a bond and buy five new large trucks. In that scenario, the City could buy a modular type
large dump truck, which would allow quick changes via a hook-lift system between a dump body, a salt
spreader, and a leaf vacuum (which would significantly increase fall leaf capacity), three normal-style
large dump trucks, and a bucket truck, which would allow us to replace all streetlights in town (the
current bucket truck cannot replace bridge lights or any traffic signals). No specific proposal on either
the list of trucks or the financing method is proposed for the budget, but staff felt it was important to
identify funding in this budget proposal given the City Council’s goals.
15
Items to note – Capital Projects
The City’s Capital Improvement Plan is attached for your use. Some of these projects are wholly
within the City’s control (road, water and sewer improvements), some are within the State’s control
(Route 71 expansion, Route 47 expansion, US Rte. 34) and others are dependent upon a variety of
factors (water projects related to new wells and/or treatment plants). The biggest discussion the City is
faced with is how to balance the maintenance needs of existing infrastructure against the concerns by
residents against higher taxes and fees both in the present and future.
An outline of the proposed yearly capital projects is included in the year-by-year summaries
above. In general, capital budgets went down in FY 19, due to the completion of the large Countryside
infrastructure project and the Riverfront & Bristol Bay park projects in previous fiscal years. In FY 20,
capital budgets were expected to rise again due to the Mill Road ($3.1M) improvement project, which
did not come to fruition in FY 20. The increase in FY 21 is primarily due to a large increase in road
spending, sidewalk spending, equipment and vehicle purchases.
Items to note – Capital Projects, unfunded
1) East Washington Street water main replacement (Water Fund)
a. 80+ year water main in the area of E Washington Street from Rt 47 to Mill St. Replacement
would improve fire protection and water quality. This project is not shown in the five-year
budget proposal, but is expected to be funded sometime beyond 2025, per the City’s Capital
Improvement Plan (CIP).
b. Cost estimate - $474,000
2) Building maintenance issues
a. The City completed a building conditions study in 2017. The study looked at 40+ buildings
and structures owned by the City and recommended maintenance schedules. EMG’s reports
-
1,000,000
2,000,000
3,000,000
4,000,000
5,000,000
6,000,000
7,000,000
8,000,000
Actual Actual Projected Proposed
FY 2018 FY 2019 FY 2020 FY 2021
Capital Budget Comparison -Fiscal Years 2018 -2021
16
include an assessment of all City-owned buildings, structures and parking facilities. An
equipment inventory and five-year funding targets for each building was also completed.
b. Cost estimate – Based on the EMG reports and a conservative estimate of which buildings
the City will likely keep maintaining, the annual recommended maintenance expenditures are
approximately $600,000.
3) Baseline Road
a. One of the worst rated roads in the City. The City has been monitoring the condition of the
deck of the bridge for the past year and has spent modest amounts patching, milling, and
resurfacing parts of the roadway. In the event the bridge inspection comes back unfavorable,
the City would proceed forward with closing the road. With the Route 47 north expansion
project funded by the State, the cost of the bridge replacement will be heavily subsidized by
the state 4-10 years from now.
b. Cost estimate - $672,000
4) Well No. 6 and Water Treatment Plant
a. Once the City reaches a population of 27,000, we will need an extra well and water treatment
plant to keep adequate water supply and pressure throughout town. The City has planned for
this well and treatment facility to be sited at the Bristol Bay water tower but would need to
update the plans for the facility (it would mimic the Grande Reserve facility). Further, this
actual project will be the first major water system improvement contemplated after the City’s
comprehensive water system study and regional water supply study was completed. The City
could eliminate this project if water consumption decreases, or the City has an alternate
supply source lined up.
b. Cost estimate - $5,075,000 for Well 6 and the Treatment Plant
5) East Alley water main and sewer main replacement (TIF)
a. Replacement would improve fire protection and water quality. This project is not shown
in the five-year budget proposal, but is expected to be funded sometime beyond 2025, per
the City’s Capital Improvement Plan (CIP). From a strategic perspective, this project
should occur simultaneous with any redevelopment of the FS property.
b. Cost estimate - $672,000
6) Radio-Read Retrofit
a. Replaces old, potentially inaccurate, meters that are read by hand with radio read meters.
Accuracy will be greatly improved and read times will be dramatically lowered
b. Cost estimate - $1,000,000 (spread out over several fiscal years)
17
Items to note – Previously unfunded capital projects taken off the above list
There are several projects that were listed in the unfunded capital projects section of last year’s
budget proposal that we are funding in this year’s budget proposal. First, the extension of Bristol Bay
Rd to Route 47 is funded in the latter years of the budget through the $250,000 expenditure for Route 47
north expansion. The State’s funding of the Route 47 expansion means they will engineer, bid, and
construct this extension for the City – the City will simply have to pay the invoice when complete. Of
note, the Route 47 expansion does not cover the Bertram Drive extension to Route 47, which is longer
than the Bristol Bay Rd extension. We anticipate that extension to be completed at the same time and to
be funded in next year’s budget proposal.
Second, the City has continued to fund major water and sewer projects throughout town. Main
work near Morgan St, E Fox St, Appletree Court, and S Main estimated at more than $1.5M and
previously unfunded, is included in the five-year budget proposal with only inflationary rate increases
discussed across every fund. A backup generator at the Well 7 water treatment plant scheduled for FY
20 and anticipated to cost ~$500,000 has turned out to be much more expensive than planned. As noted
in the small picture section, we plan on shelving that project and pivoting towards a more robust standby
generator solution at the Beaver Street pump station (previously unfunded) which will serve the same
purpose and can likely be completed for less than $500,000.
Finally, the City has a few pre-recession era water and sewer recapture commitments that we
anticipate coming due within the five-year budgets. These previously unfunded commitments can be
satisfied through use of a robust fund balance in both the water and sewer funds in FY 24 and 25.
Items to note – Water fund and infrastructure fees
Water fund revenues have beat expectations the last four years, but we anticipate a shortfall in
FY 20 due to usage. We budgeted a 5% year over year increase last year but did not adjust rates from
the year prior. One year of water revenue shortfall does not significantly impact the budget, as the five-
year budget proposal still shows significant fund balance in FY 25. However, multiple years of revenue
shortfalls may necessitate a larger rate increase. In the meantime, we propose no rate or fee increases
for FY 21. For FY 22 and beyond, we anticipate the discussion on rate and fee increases to occur in
Summer 2020 and will be coupled with survey data on rates and fees in other towns as a comparison.
As a general concept a 2% increase in rates and fees could generate around $100,000 in funds for
vehicles, equipment, and capital projects.
Items to note – IMET Loss on Investment in FY 15
In December the City received a disbursement of $133,486, as a result of the IRS settling its
priority tax claim with the Overall Receiver (i.e. law firm responsible for collection and recovery
efforts). This brings the total amount of recovered proceeds to $177,925(56%). IMET has informed the
City that as of January 23, 2020 the Overall Receiver had cash balances on hand of $2.376M, and
expects that a further distribution will take as the Overall Receivership Estate is wound down.
18
Items to note- Building Inspection Load
In the FY 20 budget proposal, outsourced inspection costs had increased dramatically between
FY 19 and FY 20. With a modest slowdown in new housing starts, less inspections overall, and the
training of Gina Hastings, Property Maintenance Inspector to do some building inspections, the
outsourced inspection line-item is expected to be under budget for FY 20 and we propose to reduce the
budget amount further in the FY 21 budget. The comparison to other neighboring communities
regarding inspections conducted in 2019 is below. Yorkville ranked in the middle of the pack for total
inspections and average inspections per day.
City or
Village
Full
–
Time
Part
Time
# Insp
2019
Avg
per/Inspector
Avg
Inspections
Per
Day/Per
Inspector
Outsourced
Inspections
Inspections
Requiring
IL Plumb
License
Oswego 5 0 10,871 2173 8.3 5 744
Montgomery 2 0 1,712 714.5 2.75 283 283
Kendall
County 1 0 1,210 1,102 4.24 108 103
Sugar Grove 1 1 1,495 996 3.83 0 23.9
Yorkville 2 0 5,034
1,334 PR
2,165 BC
44 GH
5.13 PR
8.33 BC
0.17 GH
1491
Consultant 769
Plainfield 4 0 10,405 2601 10 0 3,238
Items to note – engineering department cost analysis
We have been reviewing engineering department costs since choosing to outsource in 2011.
Using EEI continues to be less expensive for the City than in-house staff. Engineering costs in FY 18
with EEI were approximately $87,000 less than in FY 10 with in-house staff. That calculation is based
upon:
1) In FY 09, our engineering department had 5 employees and the cost of the department was
$618,640 (adjusted for inflation).
2) In FY 19, our outsourced costs were $420,275
a. $242,438 for routine engineering
b. $177,837 for subdivision inspections
On a related note, EEI billed out about $270,000 last year to developers that was reimbursed to
the City, and an additional $414,095 in gross project expenses for capital projects (net $273,875) that the
City would not have been able to complete with in-house staff.
19
Items to note – Sewer Fund
The FY 20 budget proposal included a drawdown of fund balance to ~20% through FY 21, with
a buildup of fund balance in FY 23 in anticipation of payment on historical developer commitments. A
similar concept has been carried over into the FY 21 budget proposal; with fund balance projected to
decline to ~27%, before rebounding in FY 23 and ultimately reaching 65% by FY 25.
Items to note – WINF, SINF, RINF Sunsets
All three infrastructure fees were created in the middle of the recession to offset long-term debt
service payments. While the City has made major strides to fund capital projects in every fund and
some debt service has been retired, there are still several high cost projects set to be completed in the
five-year budget and there are still large debt service payments within the five-year budget and beyond.
Each fee will continue to be looked at annually, especially if the City Council continues to put a one-
year sunset on each fee. Within a five-year period, we anticipate that there is a small chance the SINF
can be phased out (growth dependent), and a smaller chance that either the WINF (regional water supply
issues get pushed out into the future) or RINF can phased out (general fund revenues significantly
outperform expectations, road contribution impact fees significantly increase).
Items to note – Purchasing Manager savings report
The United City of Yorkville (City) and the Village of Oswego (Village) have entered into an
intergovernmental agreement regarding joint employment of a Purchasing Manager. The Purchasing
Manager works for both municipalities streamlining and managing the purchasing of both communities.
In addition, the Purchasing Manager is intended to find cost savings by combining volume or similar
services. The City’s first purchasing manager served between March 2017 and April 2018, and the
City’s second purchasing manager, Carri Parker, was hired in July 2018. In the first year of this shared
employee, both Oswego and Yorkville were successful in generating cost savings in excess of the
position’s salary. In the second year of the position, both Oswego and Yorkville are poised to have
saved tens of thousands of dollars annually and have both accomplished many specialized studies and
projects. In the third year of the position, the Purchasing Manager has been tasked with procurement
code modernization in both towns and has centralized RFQ/RFP drafting and administration. We have
attached a purchasing manager savings report to this memo. Because of the amount of research projects
in this second year of the position, both municipalities are in line to reap major cost savings in the next
few years as decisions are made to fund individual projects.
20
Items to note – Bond Ratings and refinancing
The City was upgraded one notch from to AA- to AA, by Fitch Ratings this past July. Standard
& Poor’s has rated the City’s debt at AA since 2016; with both rating agencies presenting a stable
outlook. A higher bond rating allows the City to issue and refinance debt at a lower rate of interest.
This is crucial as we continue to plan for future capital projects. Upgrades are based on several factors
including a favorable economic outlook, budgetary flexibility (increasing revenues and/or decreasing
expenditures/expenses), and relatively high fund balance (reserves) levels. To maintain its bond ratings,
the City will need to continue to keep spending within or just slightly above projected revenues allowing
the City to be able to adapt to changing economic conditions. Increased revenue, reserves and overall
economic expansion within the City may help to improve our ratings even further.
In 2017 Congress made changes to the tax law, stating that tax-exempt bonds can only be
refunded on a current basis (i.e. within 90 days of the call date). Assuming this provision holds, the next
opportunity to refinance City issued debt will be the 2011 bonds in late 2021. Nonetheless, last
November the City was able to refinance a loan it had taken out in 2008 for the acquisition of the 185
Wolf Street building. This new loan reduced the rate of interest by over 2%, from 5.83% to 3.60%; and
will save the City approximately $63,000 over the next nine years.
Items to note – Property taxes
For fiscal years 2015 through 2018, the City unofficially adopted a plan to reduce its tax levy by
2% in FY 15, followed by a 1% each year through FY 18. In reality, property taxes decreased at a rate
quicker than we initially expected as follows: 3% in FY 15; 1.66% in FY 16; and 1.68% in FY 17.
After holding the levy flat (0%) in 2016 (FY 18), over the next three years (FY 19 thru 21) Council
decided to increase the levy by EAV growth generated from new construction only, resulting in nominal
increases of approximately 2%. Property owners who see their EAV unchanged from year to year
should pay relatively the same share of City taxes as the year prior. The property tax budget
assumptions within this proposal assume modest increases (2%) each year in the future.
Along with this approval, the City Council also permitted separating the City and Library levies
for the fourth year in a row. In the past when the levies were joined, property tax growth was determined
in different ways for the City and the Library. This resulted in the Library’s levy amount growing at a
much higher rate than that of the City. Essentially, this reduced the amount available to the City as the
Library’s increase had to be accounted for within the City’s PTELL maximum.
21
Items to note- Downtown TIF #1 and #2
City staff approached the school district, county, fire protection district, Kendall Township, and
community college district in fall 2017 with a request to extend the Downtown TIF 1. The City was
successful in receiving letters of support from Waubonsee Community College and the Bristol Kendall
Fire Protection District, but the Kendall County Board narrowly voted down the letter of support in late
2017. Informal discussions with individuals on the Kendall County Board and the School Board have
occurred throughout the past year, and we anticipate formal discussions coming back online in the next
few months. The City has met with the school district and township after the County vote but has
instead put a priority on the creation of the Downtown’s TIF #2, which was approved in April 2018.
The City was successful in finding a buyer for the old jail (Downtown TIF 2) in Summer 2019.
The purchase and TIF agreement took months to negotiate and took up a large amount of staff time. The
environmental and roof issues on the building were remedied in Fall 2019, and the property is expected
to continue construction in 2020.
The City has struck out with grants for landscaping on courthouse hill, and the City Council has
been opposed to funding a downtown façade improvement program, so both initiatives have been
shelved as of Spring 2020. No further projects are proposed in the five-year budget. Because TIF #1 is
still incurring loan payments on the 102 E Van Emmon building, and TIF #2 is not generating any
significant increment, we do not propose any significant publicly funded projects at this time. There is a
possibility that significant projects would be proposed by private developers in the next year.
22
The small picture – items to note in the General Fund
Please accept the following information as discussion on individual line-items within the budget.
These individual line-items may change between now and the date of approval based on City Council
direction or staff recommendation (due to new information). Revenues are listed as “R#”, and
expenditures are listed as “E#”.
R1) Property Taxes – Corporate Levy 01-000-40-00-4000
a. The FY 21 levy amount will decrease by about 1%, as more money was diverted away from
the corporate levy to help fund the increase in the levy for the police pension fund. Between
FY 22 and FY 25, we project increases of around 2% per annum, which is the equivalent to a
modest levy increase of “new construction only” and more money to the police pension line-
item every year. As a reminder, this line item does not include police pension, library
operations or library debt service taxes.
R2) Property Taxes – Police Pension 01-000-40-00-4010
a. After increasing by ~$147,000 in FY 20, the actuarial determined contribution will increase
again by $119,120 (10.7%) in FY 21. This is due to several factors including: a shortening
amortization period, as each year we get closer to 2040; normal costs continue to increase;
changes in actuarial assumptions pertaining to mortality; and retirement and termination rates
based on the most recent experience study conducted by the Illinois Department of Insurance.
On a positive note, the percent funded has increased from 45.6% at the end of FY 2018 to
47.1% at the end of FY 19, an increase of 11.8%. Fund assets increased by 14.5% as a direct
result of increased contributions and positive investment returns. The investment return for
FY 19 was 8.02% (money-weighted rate of return was 7.56%), which exceeded the assumed
rate of return (7.0%) and last year’s actual return of 5.46%. In addition, the Fund achieved
an important milestone in the Fall of 2018, as total Pension Fund assets exceeded $10
million. This is significant because, pursuant to State Statute, the Fund was able to reallocate
the percentage of assets invested in equities to 65% of the total portfolio (45% was the
previous statutory limit for funds under $10 million). This reallocation of resources into
equities, in conjunction with positive market timing, yielded positive results for the Fund in
FY 19; as the equity side of the portfolio yielded a net return of 11.4%. In general, although
riskier, equities tend to yield a higher rate of return than fixed income securities; and staff is
hopeful that this revised asset allocation structure will aid the Fund in continuing to
maximize its investment returns in future fiscal periods. FY 21 will represent the seventh
year in a row that the City will meet its actuarial determined contribution. Future years
funding amounts are estimates only and will be analyzed each year by the City’s actuary.
R3) Municipal Sales Tax 01-000-40-00-4030
R4) Non-Home Rule Sales Tax 01-000-40-00-4035
a. After increasing by about 2.3% last year, sales tax is currently estimated to increase by 4 to
5% in FY 20. We are projecting annual sales tax growth at 2% going forward, however this
matter will be revisited soon as online sales tax changes as a result of US Supreme Court
rulings and state legislation are likely to result in an increase in sales tax revenues in FY 22
and FY 23, as referenced in the Items to Note section above. The first online sales tax
change is scheduled to take place in July 1, 2020, and will result in modest, but unquantified,
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increases in sales tax revenues. The second online sales tax change is scheduled to take place
in January 1, 2021, and will result in significant revenue increases, as more purchases will be
subject to sales tax collection and most online purchases by Yorkville residents will be
subject to the City’s locally imposed 1% non-home rule sales tax. Accurate estimates for
revenue increases are highly speculative, as the general amount online purchases of Yorkville
residents vs. physical purchases made in Yorkville by anyone. Variables included in the
discussion are: nationally, online sales seem to represent a 10 to 15% total share of all
purchases made; online sales are growing at a rate of 10 to 15% percent per year, which is 3
to 4x the growth rate of in-person purchases; younger people shop online more often than
older people; the population of Yorkville is younger than the state and national population.
The change in the municipal sales tax in FY 22 or FY 23 could be north of $100,000
annually, and the non-home rule sales tax impact could be above $300,000. Rather than try
to write these extremely rudimentary estimates into the budget, we propose to assume no
change in sales tax and to revisit this revenue stream in Fall 2020 and Spring 2021 after sales
tax figures are known.
R5) Electric Utility Tax 01-000-40-00-4040
R6) Natural Gas Utility Tax 01-000-40-00-4041
a. These revenue line-item represents the City’s locally imposed tax on electricity usage and
natural gas usages, respectively. Both amounts are variable based on total usage which
means this line-item is dependent upon seasonal weather patterns. For budgeting purposes,
we have projected these amounts to be flat over the entire budget proposal.
R7) Excise Tax 01-000-40-00-4043
a. This line-item was formerly called the Telecommunications Tax and represents a 5% tax on
landline and cell phone usage. The amounts in this line-item have fallen in recent years,
matching the decline in overall land-line phone usage. Of note, the tax in this line-item only
applies to the phone portion of a cell phone bill, and not the data portion.
R8) Cable Franchise Fees 01-000-40-00-4045
a. This line-item represents franchise fees received from Comcast, AT&T and Metronet. Total
revenues are projected to be flat due to overall growth in new homes offset by a trend away
from video services.
R9) Hotel Tax 01-000-40-00-4050
Hotel tax revenues have been holding steady over the past few years with the continued
success of the Hampton Inn. The City’s hotel tax rate is 3%, which is well below the allowed
maximum of 5%. An additional $53,000 could be raised for tourism purposes if the rates
were set at maximum levels. We have assumed no increase in total revenues, even with the
opening of the Holiday Inn Express in December 2019, but this amount will be revisited after
several months of hotel tax reports.
R10) Video Gaming Tax 01-000-40-00-4055
a. The budgeted amount represents the amount of revenue expected to be generated from the
video gaming machines at 14 establishments throughout the City.
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R11) Amusement Tax 01-000-40-00-4060
a. This is the 3% tax charged on all amusement devices and tickets within the City. The
maximum amount allowable under law for this tax is 5%. An additional $140,000 could be
raised for corporate purposes if the rates were set at maximum levels. Most of this line-item
is generated by Raging Waves, which has a large percentage of out-of-town visitors. The
second largest contributor to this amount is NCG Movie Theater, although this amount
currently has no net impact on the budget, as we are rebating 100% of the amusement tax to
the movie theater developer until we rebate $200,000 total. We expect that figure to be
reached by the end of FY 22. At that point, the rebate drops to 50% thru February of 2024.
R12) Admissions Tax 01-000-40-00-4065
a. This is the 2.75% admissions tax charged at Raging Waves, authorized by their annexation
agreement. This amount is remitted to Raging Waves to offset their on-site infrastructure
costs.
R13) Business District Tax – Kendall Mrkt 01-000-40-00-4070
a. This line item represents the additional 0.5% general merchandise sales tax applicable to the
Kendall Marketplace Business District. These proceeds are rebated in full (out of Admin
Services) to pay debt service on the Kendall Marketplace bonds.
R14) Business District Tax – Downtown 01-000-40-00-4071
a. This line item represents the additional 1.0% general merchandise sales tax applicable to the
Downtown Business District. These proceeds are rebated in full (out of Admin Services) to
Imperial Investments, pursuant to their development agreement with the City.
R15) Business District Tax – Countryside 01-000-40-00-4072
a. This line item represents the additional 1.0% general merchandise sales tax applicable to the
Countryside Business District. These proceeds are rebated in full (out of Admin Services) to
Kendall Crossing LLC, pursuant to their development agreement with the City.
R16) State Income Tax 01-000-41-00-4100
a. Income tax is expected to finish FY 20 around $2.04M, which is a 3.7% increase over FY 19
amounts. The IML per capita projection for FY 21 is $105, which is lower than the FY 20
estimate of $107. The reduction in the base estimates is primarily due to a spike of one-time
state revenues observed in FY 20. While the IML recognizes that the state’s economic
climate could devolve, the FY 20 observed figures have been better than expected. On top of
those base level estimates described above, the Governor’s budget address for the state fiscal
year beginning July 1 proposes to sweep an additional 5% of LGDF until the November
general election, when Illinois residents will be voting on a graduated income tax proposal.
The Governor’s proposal, although not yet vetted by the legislature, is to sweep that 5% of
LGDF permanently if the graduated income tax referendum fails or to return that money plus
another ~7.5% of LGDF if the graduated income tax referendum is approved. For Yorkville,
this is a potential annual swing of around $250,000 annually. For purposes of conservative
budgeting, we have assumed the graduated income tax referendum will fail. Further
complicating this estimate, the 2020 decennial census should be complete by the end of
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calendar year 2020, and we expect to receive updated population estimates by mid-2021;
thus, we are estimating a bump in revenues in FY 22 and a 2% annual growth rate thereafter.
R17) Local Use Tax 01-000-41-00-4105
a. Use tax is currently on pace to increase 10% between FY 19 and FY 20. Much of this is
driven by the additional proceeds generated from on-line sales (because of the Supreme
Court decision in the Wayfair v. South Dakota case). Some of this increase will be rolled
back after January 1, 2021 when some online sales taxes collected as use tax will be
reclassified by the state as municipal sales taxes. The IML is projecting $35 per capita for
FY 21 and this amount does not consider any decrease from the online sales tax switch on
January 1, 2021. Since this tax is currently and will be based on our population, we also
assume a bump in revenues in FY 22 from the decennial census and a 3% growth thereafter.
R18) Cannabis Excise Tax 01-000-41-00-4106
a. This line-item represents an 8% share of the State’s cannabis taxes, which must be used to
fund crime prevention programs, training, and drug interdiction efforts.
R19) Building Permits 01-000-42-00-4210
a. Revenue figures within this line-item are budgeted at $400,000 and $350,000 which will help
offset personnel and contractual costs associated with conducting inspection activities. If
during the year, all those costs are met, any excess building permit revenue would be
transferred into the City-Wide Capital Fund for the use of one-time capital expenses. This
prevents us from using one-time revenues for operating costs in the future.
R20) Garbage Surcharge 01-000-44-00-4400
a. This line-item represents all revenue the City receives from residents for garbage services.
Increases in this line-item reflect contractual rate changes only, and there is no material net
impact within the budget as the cost of service is generally matched by revenues. The City’s
current garbage contract runs through FY 22.
R21) Administrative Chargeback 01-000-44-00-4415
a. This revenue represents that the General Fund will be reimbursed from the Water, Sewer, and
TIF funds for a portion of personnel costs. This is according to the time that employees
whose salaries come out of the General Fund spend on water, sewer, and TIF related issues.
Exact percentages and employee info can be found attached to this memo.
R22) Investment Earnings 01-000-45-00-4500
a. This line item consists of interest income earned from FDIC insured certificates of deposit
(i.e. CD’s), in addition to having cash on account with the First National, Illinois Funds,
Illinois Trust and Associated Bank. Despite declining interest rates, investment earnings are
expected to increase by over 30% in comparison to last fiscal year due to more cash being
available for investment within the General Fund, as a direct result of increased fund balance.
R23) Reimbursement – Engineering Expenses 01-000-46-00-4604
a. Revenue figures within this line-item will offset the line item for engineering expenses in
order to net out the engineering services to equal the $240,000 contract amount.
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R24) Reimbursement – Cable Consortium 01-000-46-00-4685
a. The City Council will review an agenda item to withdraw from the cable consortium at the
March 10th City Council meeting. This agenda item is being done due to budget
considerations and the fact that North Aurora recently withdrew from the consortium, leaving
only Yorkville, Plano, and Sandwich. If the City processes withdrawal from the consortium
in March, the reimbursement amount will be far less than the amount shown in the FY 21
column. For purposes of conservative budgeting, we have shown the financial impact of the
cable consortium withdrawal beginning in FY 22 (i.e. no impact in FY 21).
R25) Miscellaneous Income 01-000-48-00-4850
a. This revenue line-item primarily represents rebate money earned from simply using City
issued credit cards to make purchases. Approximately $13,000 is expected to be earned in FY
20. The City’s credit card program was implemented by the Finance Department, in
partnership with the First National Bank of Omaha, in FY 15. Over the last five fiscal years
the credit card revenue sharing program has generated over $75,000.
E1) Salaries – All Departments Multiple #’s
a. We are proposing a 3% COLA or bargaining agreement approved increases and appropriate
step increases for all non-union and union employees. We have budgeted for reasonable, but
undetermined, salary increases in FY 22 through FY 25.
E2) Health Insurance – All Departments Multiple #’s
a. For FY 21, we are pleased to announce that health and dental insurance rates will decrease by
5% and 10%, respectively, pursuant to renewal information we recently received from the
City’s broker, Alliant/Mesirow. Actual year-end figures may fluctuate based on employees
changing health plans and/or actual amounts incurred on the HRA plan. For FY 22 thru FY
25, we are assuming an annual 8% increase in health insurance and a 5% increase in dental
costs.
E3) IMRF – All Departments Multiple #’s
a. The City’s employer rate increased by 23% in 2020, from 9.06% to 11.17%, due primarily to
negative stock market returns in 2018. As a result, IMRF related expenditures have
increased in all departments. While the IMRF fund is very well funded compared to other
State-wide pension systems, we are budgeting conservative increases in the employer
contribution rates each year for FY 21 through FY 25 IMRF rates are expected to go down in
2021 due to strong returns in the stock market throughout 2019. The preliminary 2021 rate
will be available this April and staff will revise projections accordingly in the subsequent
budget year.
E4) Tuition Reimbursement – All Departments Multiple #’s
a. Per the City’s tuition reimbursement policy, any approved degree programs are shown in the
appropriate departmental budget. Currently, Deputy Chief Pfizenmaier and Sergeant Stroup
(Police Department) are both enrolled in bachelor’s degree programs at University of
Arizona (online) and Aurora University. Officer Goldsmith (Police Department) is pursuing
his master’s degree at Aurora University.
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E5) Training and Travel – All Departments Multiple #’s
a. The same training and conference levels are proposed as last year. Department heads have
been asked to budget for attendance at one national level or state conference per year to keep
up to date with the latest trends in management and government. Increases in individual line-
items reflect this request of the department heads.
E6) Commodity Assumptions – All Departments Multiple #’s
a. Graduated increases in gasoline, electricity, natural gas, and simple contractual services are
not based on any estimate of the details of the line-item, except where specifically noted in
this budget section. From a conservative budgeting principle, we are purposefully trying to
overestimate costs to hedge on unanticipated price increases on those items that are subject to
market fluctuations. You may also notice some rather sharp increases in the
telecommunication line item in some departments. Staff was recently informed that the State
is now requiring Call One to apply several State telecommunication taxes. Staff is currently
reviewing the situation and looking for alternatives.
E7) Professional Services – All Departments Multiple #’s
a. Professional services expenditures vary in each department and can be for a variety of
services. For each department, we’ve included a brief sampling of the expenses coded out of
this line-item. Full expense reports for this or any line-item can be obtained from the
Finance Department at any time.
b. Administration – Expenses for the minute taker, safe deposit box and background checks.
c. Finance – GFOA CAFR award fee, utility billing processing and credit card fees, bank fees,
police pension and OPEB actuarial fees, and the annual accounting software maintenance
agreement.
d. Police – Expenses for onsite shredding, CAPERS annual fee, LEADS on-line, Live Scan,
Pace scheduler and WatchGuard. To replace Lexipol department officials will be
implementing Power DMS, a policy and procedure management system. The cost for this
program is significantly less than Lexipol.
e. Community Development – Access to iWorQ (code enforcement and permit management
software), consultant work related to the subdivision control ordinance (UDO), annual fees
for ESRI GIS and Adobe Professional, and expenses for the minute taker.
f. Street Operations – copier charges, parkway tree trimming, annual cloud storage fees for
solar speed signs and CDL license renewal.
g. Water Operations – Electronic meter reading services, utility billing processing and credit
card fees, emergency leak detection, and BSI backflow monitoring.
h. Sewer Operations – Sewer cleaning, alarm monitoring, utility billing processing and credit
card fees, and manhole repair.
i. Parks – background checks and copy charges.
j. Recreation – Referees and umpires, recreation class instructors, graphic design, web track
maintenance agreement, pest control, background checks, and park board minute taker fees.
k. Library – Plumbing Inspection, Sound Maintenance, background checks, copy charges, pest
control, copier charges, IT services and minute taker fees.
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E8) Salaries – Mayor 01-110-50-00-5001
E9) Salaries – Liquor Commissioner 01-110-50-00-5002
E10) Salaries – Alderman 01-110-50-00-5005
a. These line-items assume the elected official’s salary proposal as discussed at the February
2020 Administration Committee meeting are approved by the City Council at some point
before August 2020. The current proposal assumes no change in elected officials’ salaries
until May 2023.
E11) Codification 01-110-54-00-5451
a. The City’s current codifier was purchased by a larger company in 2020. The City must
either move its codification services to the larger company or choose a different vendor.
Either of those options are likely to result in an increase in codification costs to the City.
E12) Dues and Subscriptions (Administration) 01-110-54-00-5460
a. The slight increase in dues is a result of the membership dues for CMAP and inflationary /
population increases for a variety of other organizations.
E13) Office Supplies (Administration) 01-110-56-00-5610
a. The City Hall Conference Room tables and chairs are passed their useful life span and are
falling apart. The increase in this line item is to fund new tables and chairs for this room
only.
E14) Auditing Services (Finance) 01-120-54-00-5414
a. The City went out to RFP in 2017 and awarded a five-year contract to Lauterbach and Amen
which will expire in FY 22.
E15) Professional Services (Finance) 01-120-54-00-5462
a. The increase in FY 21 is due to the City’s anticipated implementation of a new ERP.
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E16) Salaries – Police Officers 01-210-50-00-5008
E17) Salaries – Police Chief and Deputies 01-210-50-00-5011
E18) Salaries – Sergeants 01-210-50-00-5012
a. The City currently has 32 sworn officers budgeted in FY 21, which is the same amount of
sworn officers that the City had in FY 20. While the City Council had approved a five-year
budget that brought the number of sworn officers up to 37 by FY 24, Mayor Purcell and
Chief Jensen have recommended we leave the sworn officer count at 32 in FY 21. Further,
the staff recommendation is to hire a new Commander position in FY 22, bringing our sworn
officer staffing up to 33. The commander position would be between a Sergeant and a
Deputy Chief on the pay scale. We have included a regional staffing analysis for your use:
Municipality Population* Total Full-
Time Officers Officers per 1,000
Batavia 26,425 41 1.55
Carpentersville 38,380 59 1.46
East Dundee 3,239 13 3.70
Elburn 5,782 10 1.38
Elgin 112,767 184 1.63
Geneva 21,941 37 1.64
North Aurora 17,542 30 1.60
Sleepy Hollow 3,333 7 2.10
St. Charles 32,780 57 1.68
Sugar Grove 9,830 11 1.12
West Chicago 27,219 43 1.69
West Dundee 7,365 21 2.72
Average 25,550 43 1.94
Midwest (10,000-24,999)** 6,761,176 11,494 1.70
National (10,000-25,000)** 25,660,537 58,891 2.30
Yorkville (FY 20) 19,022 31 1.63
*Based off 2016 U.S. Census population estimate
** Only agencies that participate in FBI Uniform Crime Reporting
E19) Police Commission 01-210-54-00-5411
a. Sergeant testing will occur in FY 21 and 24. Patrol officer testing will occur in FY 21, 23,
and 25.
E20) Vehicle and Equipment Chargeback 01-210-54-00-5422
a. This line-item represents the gap between police impact fees and the amount of expenditures
related to police-car purchases.
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E21) Inspections 01-220-54-00-5459
a. A relative decrease in permits in FY 20 has resulted in less outsourced inspection costs.
These costs will continue to be monitored throughout the construction season for
opportunities to move these services in-house.
E22) Professional Services 01-220-54-00-5462
a. The FY 21 column for this line-item contains the remainder of the UDO project, which was
authorized by City Council in February 2019.
E23) Vehicle Maintenance Services 01-220-54-00-5490
a. Prior to FY 21, all vehicle maintenance costs for Community Development vehicles were
coded out of the Streets budget. Since the Community Development Department has bought
a few of their own vehicles, we propose to code the maintenance costs out of the proper
budget.
E24) Salaries – Streets 01-410-50-00-5010
a. A new public works position has been budgeted in the Streets department for FY 21, with a
prorated start date of August 1st. This new position would either be supervisory or
administrative in nature; or these funds could be reallocated to the Administrative Services
department for a potential shared services position with a nearby municipality related to
building maintenance.
E25) Vehicle & Equipment Chargeback 01-410-54-00-5422
a. This line-item represents the gap between public works impact fees and the amount of
expenditures related to public works vehicle purchases.
E26) Mosquito Control 01-410-54-00-5455
a. The line-item expense for mosquito control represents treatment of storm sewer inlets only.
E27) Salt and Calcium Chloride 01-410-56-00-5618
a. For ease of administration and due to an increase in MFT funds, we are coding salt out of the
MFT Fund going forward. A mild winter season has caused us to use less salt than average,
but prices received during the 2019 bid were higher than historical averages.
E28) Operating Supplies 01-410-56-00-5620
a. This line item decreases in FY 21 because we have moved all expenditures related to street
lights into the City-Wide Capital Fund.
E29) Vehicle Maintenance Supplies 01-410-56-00-5628
a. This line-item is increasing between FY 20 and FY 21 due to the proposed purchase of
hydraulic brine pumps. These pumps will cost ~$12,000 and will allow us to apply brine at
higher rates and with more control than the current electric pumps.
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E30) Garbage Services – Senior Subsidies 01-540-54-00-5441
a. This line item represents the total amount of the current senior garbage subsidy. The subsidy
is 20% for all seniors and 50% for all seniors on the Circuit Breaker program. Currently, we
have 753 senior accounts and 37 circuit breaker senior programs.
E31) Purchasing Services 01-640-54-00-5418
a. This line-item represents the Purchasing Manager shared with the Village of Oswego. The
original term of the intergovernmental agreement expires in FY 21, but we recommend
continuing this position through FY 25.
E32) IDOR Administration Fee 01-640-54-00-5423
a. This line-item represents the amount of the City’s sales locally imposed sales taxes that are
being swept by the State of Illinois.
E33) GC Housing Rental Assistance Program 01-640-54-00-5427
a. This line-item represents the City’s cost to run the housing assistance program for the GC
Housing development, as approved in Ordinance 2016-21. The estimated maximum annual
liability for this program is $12,000, and the actual numbers can fluctuate by a few thousand
dollars per year, depending on the recipients’ income levels. We have conservatively
estimated 10% to 15% increases each year after FY 21.
E34) Utility Tax Rebate 01-640-54-00-5428
a. This line-item represents the electric and natural gas utility taxes rebated to Wrigley as part
of the Skittles factory expansion. The project was given a permanent certificate of
occupancy in early 2017 and the first rebate occurred in FY 18 and the last rebate will occur
in FY 22. The $14,375 in this line-item represents the maximum amount that the City would
rebate annually.
E35) Facility Management Services 01-640-54-00-5432
a. This line-item represents the Facility Services Manager shared with the Village of Oswego.
We propose to keep this position in place through FY 25.
E36) Amusement Tax Rebate 01-640-54-00-5439
a. As part of the Countryside redevelopment project incentives, the City is refunding a portion
of the amusement tax to the Movie Theater developer. This amount should equal the amount
of amusement tax generated by the Movie Theater up to $200,000. We expect that this
incentive will be satisfied by the end of FY 22. All further proceeds will be rebated at 50%.
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E37) KenCom 01-640-54-00-5449
a. This line-item represents the City’s contributions to KenCom, based on the
intergovernmental agreement for annual funding, the intergovernmental agreement for New
World software usage, the City’s purchase of a T1 line through Comcast for a direct
connection into Kendall County, and the KenCom budget. This line-item is estimated by
staff in February of each year for the upcoming FY budget, but the actual dollar amounts are
not finalized until the end of each calendar year. On top of the base cost estimates, we are
proposing to purchase an e-citation module for our KenCom New World computer system.
This will cut down on report entry times for officers, will allow us to run reports/analysis
with less effort, and will allow our Community Development staff to utilize the system for
some of the property maintenance and zoning violation tickets.
E38) Information Technology Services 01-640-54-00-5450
a. This line-item covers our base level IT contract, some annual special projects, all Microsoft
Office licensing, and various other licenses for network components. This line-item also
includes the purchase and implementation of a full ERP in FY 21 and FY 22. The General
Fund and this line-item are expected to absorb about 70% of the cost of the ERP, and the
remaining costs have been apportioned out to the other funds.
E39) Professional Services 01-640-54-00-5462
a. The cost of the lobbyist contract, currently shared with Oswego and Montgomery, is
proposed to be paid out of the Water Fund starting in FY 21, as most of the work is expected
to occur on water projects. However, we propose to add a federal lobbyist for both Metra
and water issues, propose to split the cost of the federal lobbyist with regional partners, and
split the Yorkville share of those costs between the General Fund and the Water Fund.
E40) Engineering Services 01-640-54-00-5465
a. This is the gross cost of all EEI expenses which are not related to capital projects. It includes
$240,000 of contract-related expenses, $125,000 worth of subdivision-infrastructure
inspection related expenses, and $25,000 in reimbursable development work. For reasons
explained in the Items to Note section, we still recommend the City outsource its engineering
work for the foreseeable future.
E41) Economic Development 01-640-54-00-5486
a. The City re-authorized the economic development consulting contract with Lynn Dubajic of
DLK, LLC in December 2018. This contract is set at $145 per hour at 15 hours per week
plus quarterly travel charges and hourly overages, which makes up most of this line item of
$160,000.
E42) Sales Tax Rebate 01-640-54-00-5492
a. This line item represents the 50% share of rebated sales tax to developers, pursuant to past
economic incentive agreements entered into with the City. Sales tax rebate growth is pegged
to overall sales tax growth, as mentioned above.
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E43) Business District Rebate 01-640-54-00-5493
a. Currently, this expenditure line-item corresponds with the revenue line-items of the same
amount, as this tax is rebated 100% to the developers of the Kendall Marketplace, Kendall
Crossing and the downtown business district.
E44) Admissions Tax Rebate 01-640-54-00-5494
a. Currently, this expenditure line-item corresponds with a revenue line-item of the same
amount, as this tax is rebated 100% to Raging Waves. This rebate is set to expire in FY 22
but is in the process of being extended through FY 27 via an annexation agreement
amendment.
E45) Contingency 01-640-70-00-7799
a. This line-item represents the Mayor’s request to identify funding for various unplanned
expenditures throughout the year. At time of budget, no specific projects or purchases are
planned for this line-item.
E46) Transfer to Debt Service 01-640-99-00-9942
a. This line-item represents the amount the general fund covers of the 2014B bond, which
initially financed a streets rehab program from the mid-2000s and will be retired in FY 23.
The property taxes on the 2014B bond were completely abated in the 2017 tax levy cycle
(FY 19 budget).
E47) Transfer to Sewer 01-640-99-00-9952
a. This line-item represents the City’s transfer of non-home rule sales tax dollars being
transferred into the sewer fund to pay for a portion of the yearly debt service on the 2011
refinancing bond. As authorized in the FY 19 budget, the Sewer Fund transfer is reduced in
FY 19 thru FY 22 to cover some General Fund operating and capital expenditures and to
offset the General Fund deficit.
E48) Transfer to Parks and Recreation 01-640-99-00-9979
a. This line-item represents the City’s operational transfer to fund Parks and Recreation
expenses. The decrease in FY 21 is due to the City’s liquidation of the Parks and Recreation
fund balance, as described above.
E49) Transfer to Library Operations 01-640-99-00-9982
a. This line-item transfer covers liability and unemployment insurance for the Library.
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The small picture – all other funds
Fox Hill SSA (11)
R1) Property Taxes 11-000-40-00-4000
a. The FY 21 revenue figure of $16,034 reflects a ~$73 per home per year tax amount, which
was the tax levy ordinance approved by City Council in December 2019. Because of the
proposed sealcoating and trail maintenance discussed below, the property taxes will need to
be roughly $92 in FY 22 and will need to be increased around $20 per year through FY 25.
This spending plan and revenue projection will be reviewed by the City Council during the
2020 tax levy discussion. Of note, the long-term debt on past projects and the negative fund
equity will not be cleared until FY 25.
E1) Professional Services 11-111-54-00-5462
a. This line-item reflects half of the HOA management contract with Baum Property
Management that was approved by the City Council for the Sunflower Estates and Fox Hill
subdivision. This contract expires in April 2020 and will be revisited by City Council in
March/April.
E2) Outside Repair and Maintenance 11-111-54-00-5417
a. The FY 21 amount reflects our best estimate for the annual maintenance contract for mowing
and landscaping, and the re-installation of the subdivision entrance sign. That project is
being offset by funds given to the City by IDOT for the Route 34 project in FY 17. The FY
22 column contains money for crack sealing and sealcoating the trails in the subdivision. We
propose to do this project through a modest deficit spend in FY 22, with repayment coming
from property taxes expected in FY 23-25.
Sunflower SSA (12)
R1) Property Taxes 12-000-40-00-4000
a. The FY 21 revenue figures reflect the $17 levy per home that was discussed by the City
Council during the levy approved in December 2019. Because of the proposed tree trimming
in the subdivision, the FY 22 levy is roughly $194 per home, and the levy will need to be
increased around $20 per year for each year until FY 25. Of note, the long-term debt on past
projects and the negative fund equity is not projected to be cleared until FY 25.
E1) Pond Maintenance 12-112-54-00-5416
a. In FY 21 and beyond, the City is budgeting for annual algae treatments and basin monitoring.
E2) Professional Services 12-112-54-00-5462
a. This line-item reflects half of the HOA management contract with Baum Property
Management that was approved by the City Council for the Sunflower Estates and Fox Hill
subdivision. This contract expires in April 2020 and will be revisited by City Council in
March/April.
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E3) Outside Repair and Maintenance 12-112-54-00-5495
a. This line-item reflects our best estimate for the annual maintenance contract for mowing and
landscaping the subdivision entrances. Also, a new proposal for tree trimming and
maintenance is shown in the FY 21 column for $5,000. This amount and project repeats
annually and will generally include all trees in common areas of the subdivision and will
allow us to replace trees as needed.
Motor Fuel Tax Fund (15)
R1) Motor Fuel Tax 15-000-41-00-4112
a. The FY 20 revenue figures reflect the City’s share of the state’s motor fuel tax increase as
part of the 2019 Illinois budget. The City is receiving roughly 65% more motor fuel taxes
than FY 19. We have projected this amount to continue, as the state’s motor fuel tax change
included an inflationary increase each year, along with a bump from the decennial census.
R2) MFT High Growth 15-000-41-00-4113
R3) Rebuild Illinois 15-000-41-00-4115
a. The MFT High Growth line item represented a supplemental MFT appropriation that was
created soon after the State’s 2009 capital bill. With the passage of the 2019 capital plan,
the state has decreased high growth funding by 75% but plans on issuing new capital bonds
in 2020/2021; the proceeds of which will be disseminated to local governments as a
supplemental MFT appropriation (i.e. Rebuild Illinois) similar to the Illinois Jobs Now
program from the last decade. The actual bond issuance and revenue figures are dependent
on a number of legislative packages that are still not finalized, and so we have conservatively
estimated the figures for FY 21 and beyond.
E2) Salt 15-155-56-00-5618
a. Staff proposes to fund all salt purchases for FY 21 out of the MFT fund. In FY 20, no salt
expenditures were planned out of the MFT fund, but the unexpected increase in the price of
salt in Fall 2019 resulted in the overage being covered by the MFT fund.
E3) Baseline Road Bridge Repairs 15-155-60-00-6004
a. Original estimates on the bridge repair in FY 16 came in much higher than expected, so staff
recommended closure of the bridge instead. This item was pushed along through the
remainder of FY 16, FY 17, FY 18, and FY 19 because ongoing bridge inspections have not
justified total closure of the bridge. Per the Bridge Inspection Report completed in 2018, the
superstructure (surface) is in poor condition, while the substructure is in good condition. The
2018 report did not indicate an immediate need to close the bridge based on structural/safety
concerns. Inspections are scheduled once every two years, per IDOT policy, and the next
inspection will occur in summer 2020. If the inspection comes back with an issue, we would
recommend proceeding forward with bridge closure. Until then, we recommend leaving the
bridge as-is until the State expands Route 47 in the area, which is funded for full construction
in the state’s most recent multi-year plan and could occur in the next 4-10 years.
36
E4) Road to Better Roads 15-155-60-00-6004
a. In the FY 20 budget proposal, staff proposes to again code all 2020 planned Road to Better
Roads in the MFT fund as it easier to complete paperwork for pavement projects than other
Public Works operational line-items. The increase is due to the increase in the motor fuel tax
revenue line-item above.
City-Wide Capital Fund (23)
E1) Sidewalk Replacement Program 23-230-60-00-6041
a. This line item contains a City-wide sidewalk replacement program, per City Council goal and
mayoral initiative. Sidewalks can be chosen on a worst-first basis, as there is no value
advantage to a replacing a sidewalk at certain times in its lifespan. Specific areas of town for
sidewalk replacements in 2020 have not yet been chosen.
E2) Route 71 (Rt 47- Rt 126) Project 23-230-60-00-6058
a. This line-item represents a portion of the City’s local share of costs for the Route 71
expansion project. This project began in FY 19, and we expect the invoices to be paid by the
City through FY 22.
E3) US 34 (IL 47 / Orchard Rd) Project 23-230-60-00-6059
a. This line-item represents a portion of the City’s local share of costs for the Route 34 eastern
expansion project. This project began in FY 18 and we expect the invoices to be paid by the
City through FY 21. The funds budgeted are based on the IDOT approved bids but do not
consider any possible change orders.
E4) Kennedy Rd Bike Trail 23-230-60-00-6094
a. This line item contains the final gross expenses from the construction of the trail. Pursuant to
the commitment made by the Push for the Path group in 2012, the City’s estimated local
share in the amount of $217,000 was covered entirely through private donations and grant
funding.
E5) Principal Payment 23-230-81-00-8000
E6) Interest Payment 23-230-81-00-8050
a. This line-item contains the debt service for a 20-year bond associated with the Game Farm
Road project.
Vehicle and Equipment (25)
R1) Police Chargeback 25-000-44-00-4420
R2) Public Works Chargeback 25-000-44-00-4421
R3) Parks & Recreation Chargeback 25-000-44-00-4427
a. As discussed in the general fund line-item narrative, these line-items represent transfers from
the general fund (police & public works) and parks and recreation fund to cover the gap
between vehicle purchases and available funds in the respective departments.
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E1) Vehicles 25-205-60-00-6070
a. This line-item currently covers two police SUVs planned for replacement in FY 21, 22, 24
and 25, and three police SUVs in FY 23.
E2) Equipment (Public Works) 25-215-60-00-6060
a. This line-item includes plows and lights for two vehicles being purchased in the water fund, a
new bobcat replacement program, and a couple stand-behind mowers for various facility and
right-of-way mowing throughout the year.
E3) Vehicles (Public Works) 25-215-60-00-6070
a. This line-item includes the payment for the refurbishment of two current plow trucks
(authorized by City Council in Fall 2019). The FY 22 through FY 25 annual amounts
represent the purchase of either half of a large truck, or the debt service payment on a
purchase of multiple vehicles as described in the items to note section above.
E4) Principal Payment (PW 185 Wolf Street bldg.) 25-215-92-00-8000
E5) Interest Payment (PW 185 Wolf Street bldg.) 25-215-92-00-8050
a. These line-items cover the annual purchase installment payments to the property seller for
the Public Works south building. The final payment will not occur until November 2028.
E6) Park Improvements 25-225-60-00-6010
a. This line-item represents park improvements to the Grande Reserve parks and the Raintree
Village park sites, the latter as dictated in the Raintree Village annexation agreement
amendment approved by City Council in 2019.
E7) Beecher Center Park 25-225-60-00-6013
a. A full Beecher Center playground replacement is scheduled for FY 21 and FY 22. This
playground was proposed to be wrapped into the greater OSLAD grant project, but the City's
OSLAD grant application was not successful. Staff anticipates purchasing the playground in
FY 21 and installing it in FY 22. Any remaining funds from the playground replacement will
be dedicated to Price and/or Purcell Park playground repairs.
E8) Buildings and Structures (Parks) 25-225-60-00-6020
a. The amount in the FY 21 column for this line-item includes funds for the Riverfront Park
boat launch project. The state permit for the project has been received, but due to receiving
the permit in the winter months, this project will be completed in FY 21.
E9) Vehicles (Parks Capital) 25-225-60-00-6070
a. This line-item represents a combination of Parks vehicles or equipment, with exact purchases
to be determined. This amount is a mayoral initiative.
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Debt Service Fund (42)
R1) Property Taxes - 2014B Bond 42-000-40-00-4000
a. The City fully abated the property taxes on this bond in December 2016 for the FY 18
budget, and FY 21 represents the fourth straight year the City has fully abated the property
taxes. This debt will be fully retired in FY 23.
Water Fund (51)
R1) Water Sales 51-000-44-00-4424
a. As discussed in the Items to Note section above, the annual revenue projections for water
sales have fallen below expectations for the first time since FY 16. However, the shortage is
sustainable over the five-year budget after revenue projections for FY 22 and FY 25 are
recalibrated. We propose no increase in water rates in FY 21 but have a 5% water revenue
annual growth figure which can come from usage, City growth, and/or inflationary rate
increases in future budget years.
R2) Water Infrastructure Fees 51-000-44-00-4440
a. No change is proposed for the Water Infrastructure Fee for FY 21. It is currently set at $8.25
per month through the end of FY 20 and will need to be reauthorized for FY 21.
R3) Water Connection Fees 51-000-44-00-4450
a. For FY 21, we expect 100 new housing starts, which should net approximately $2,300 in
revenue per home. Each subdivision has its own water connection fee amount, depending on
when the subdivision was annexed.
R4) Rental Income 51-000-48-00-4820
a. This line-item contains rental and lease fees from various cellular and internet antennas on
City water towers.
E1) Professional Service 51-510-54-00-5462
a. This line-item contains costs for normal, annual professional services (~$55,000), a portion
of the cost of the ERP system (~$62,000), and the costs associated with the City’s federal
(pending) and state level lobbyists (~$38,000).
E2) Outside Repair and Maintenance 51-510-54-00-5495
a. The increase between FY 20 and FY 21 is due to a new program for annual exterior
inspections of the City’s water towers and annual maintenance of pressure reducing valves
(PRV).
E3) Land Acquisition 51-510-60-00-6011
a. This line-item represents the potential acquisition of land for a Fox River water plant, either
Yorkville-alone or regionally.
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E4) Water Tower Painting 51-510-60-00-6015
a. This line-item contains repainting the south-central water tower in FY 22 and repainting the
north-central water tower in FY 23.
E5) Well Rehabilitations 51-510-60-00-6022
a. The City is planning to rehab two wells in this budget proposal; Well 7 in FY 22 and Well 4
in FY 23.
E6) Road to Better Roads Program 51-510-60-00-6025
a. The line item expenditure represents the dollar amount we can fund for water infrastructure
as part of the program through FY 25.
E7) Equipment 51-510-60-00-6060
a. The large expense planned for FY 20 is the City’s Well #7 standby generator. This project
was in design stage with staff in Fall 2019 when it was discovered that the project would
have to be much larger and more expensive than previously thought. Staff is pivoting away
from the Well #7 generator and towards an option at the Beaver St pump station. Additional
information will be provided to the Public Works Committee in the near future.
E8) Route 71 Watermain Relocation 51-510-60-00-6066
a. This line-item contains the water-related local project costs for the Route 71 expansion
project.
E9) Vehicles (Water Dept) 51-510-60-00-6070
a. The amounts in FY 21 and FY 23 represent replacement one-ton pickup trucks.
E10) Route 47 Expansion 51-510-60-00-6079
a. This line-item represents all water related utility costs associated with the Route 47
expansion project. These amounts are scheduled in equal annual payments for 10 years. By
April 2020 the City will have made 91 of its 120 payments.
E11) Cation Exchange Media Replacement 51-510-60-00-6081
a. The City’s water treatment facilities contain cation exchange units that are necessary to keep
potable water within radium compliance. The media (resin) within the units has a useful life
and typically needs to be replaced every 10-15 years to remain effective. The City’s water
treatment plants were all constructed in the mid-2000’s and the media is reaching the end of
its useful life. Within this line-item, we’ve budgeted for full replacement of all media Water
Treatment Plant 7 in FY 22 and Water Treatment Plants 3 and 4 in FY 23.
E12) 2015A Bond Principal 51-510-77-00-8000
E13) 2015A Bond Interest 51-510-77-00-8050
a. These two line-items represent the debt service payments associated with the Countryside
water main project.
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Sewer Fund (52)
R1) Sewer Maintenance Fees 52-000-44-00-4435
a. Residential growth has been more than expected, which means this revenue line-item is
beating expectations despite no change in the sewer rates. Accordingly, we have budgeted
for annual revenue growth of ~3%.
R2) Sewer Infrastructure Fee 52-000-44-00-4440
a. No change in the sewer infrastructure fee is proposed in FY 21. It is currently $4 per unit per
month through April 2020. The fee will need to be reauthorized in FY 21.
R3) Transfers from General Fund 52-000-49-00-4901
This line-item represents the non-home rule sales tax transfers from the general fund, used to
offset portions of the 2011 Refunding Bond.
E1) Lift Station Services 52-520-54-00-5444
a. The increase in this line-item seen in FY 20 is for repainting the interior of the Countryside
Lift Station and some equipment upgrades to the Blackberry Creek lift station. The
Countryside repainting is an operational/maintenance issue as the corrosive nature of the
sewer gases in the lift-station require special paint and more frequent applications. The
Blackberry project is needed due to end-of-life equipment. Neither of these projects is
expected to be complete in FY 20, and so the funds for the projects have been moved into FY
21.
E2) Professional Services 52-520-54-00-5462
a. The increase in this line-item is due to the ERP project.
E3) Scada System 52-520-60-00-6001
a. This project was authorized in the FY 19 budget proposal and began in FY 20. The City has
SCADA systems on its water facilities, which allows for remote monitoring and control of
industrial facilities. Installing a sewer SCADA system on our sewer lift stations and pump
stations will improve safety and prevent backups. This project is expected to be complete in
FY 22.
E4) Road to Better Roads Program 52-520-60-00-6025
a. The line item expenditure represents the dollar amount we can fund for sewer infrastructure
as part of the program through FY 25.
E5) Equipment (Sewer Dept) 52-520-60-00-6060
a. This line-item contains a new hot water unit for the vacuum truck and a new pipe crawler
camera for inspecting sanitary mains.
E6) Route 71 Expansion 52-520-60-00-6066
a. This line-item represents sewer related local project costs for the Route 71 expansion project.
We anticipate this project to be complete in FY 22.
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E7) Vehicles 52-520-60-00-6070
a. We have a one-ton pickup truck planned for replacement in FY 22.
E8) Route 47 Expansion 52-520-60-00-6079
a. This line-item represents all sewer related utility costs associated with the Route 47
expansion project. These amounts are scheduled in equal annual payments for 10 years. By
April 2020 the City will have made 91 of its 120 payments.
Land Cash Fund (72)
R1) All Revenue Line-items with subdivision names (Various account numbers)
a. All active subdivisions with parks land-cash fees to be paid at time of building permit are
represented here.
E1) Beecher Center Park 72-720-60-00-6013
a. While the Beecher Center Park is at the end of its useful lifespan, we have a full playground
equipment replacement funded for FY 21. Installation is expected to occur in FY 22.
E2) Blackberry Woods Park 72-720-60-00-6014
a. This project was shelved due to the rapid deterioration of Beecher Park playground. It will
be revisited in future budget proposals.
E3) Caledonia Park 72-720-60-00-6029
a. The City has already received around $30,000 in Parks land-cash fees at the beginning of
2019, and we expect the subdivision to continue building out in 2020. Accordingly, we
expect to have playground equipment purchased in FY 20 and for the park to be completed in
FY 21.
E4) Prestwick 72-720-60-00-6040
a. The developer has front funded a modest number of parks land-cash fees, and the first new
houses in several years began construction in 2018. Accordingly, we plan to install
playground equipment in the park in FY 22.
E5) Grande Reserve Park 72-720-60-00-6046
a. The City received funds from the Grande Reserve developer from the annexation agreement
amendment approved by City Council in 2019. As a result, this project is now being coded
out of the Parks Capital budget.
E6) Autumn Creek 72-720-60-00-6047
a. This line-item represents playground installation on the northern portion of the subdivision,
just north of Kennedy Road. The payments on this equipment will close out in FY 21.
E7) Raintree Park C 72-720-60-00-6049
a. The City received funds from the Raintree Village developer from the annexation agreement
amendment approved by City Council in 2019. As a result, this project is now being coded
out of the Parks Capital budget.
42
E8) Blackberry Creek Nature Preserve 72-720-60-00-6067
a. Blackberry Creek Nature Preserve was part of a land match from the OSLAD Grant program.
The City is obligated to do some small development features, such as creating a mowed path,
interpretive signage and possibly a small parking lot adjacent to well #8 or pave to connect
the trail at well #8. This project was anticipated in FY 19, but staff schedules were shifted to
other projects. We anticipate completing this project in FY 22.
E9) Bristol Bay 72-720-60-00-6070
a. This project was shelved due to the rapid deterioration of Beecher Park playground. It will
be revisited in future budget proposals.
Parks and Recreation Fund (79)
R1) Special Events 79-000-44-00-4402
a. This line-item represents all special events run by the Parks and Recreation staff throughout
the year, except for Hometown Days which has its own revenue line-item.
R2) Child Development 79-000-44-00-4403
a. This line-item represents a variety of child-focused programs ran by the Parks and Recreation
Department, including Preschool and Ready, Set, Go. (2yr. Old Preschool)
R3) Athletics and Fitness 79-000-44-00-4404
a. This line-item represents all athletic programming including Baseball/Softball Leagues,
Soccer Leagues, Basketball Leagues, sports camps and classes, and adult fitness classes held
at the Van Emmon Activity Center.
R4) Rental Income 79-000-48-00-4820
a. This line-item includes rental revenue from the leased buildings on Hydraulic in Riverfront
Park, and the cell tower lease at Wheaton Woods Park.
R5) Park Rentals 79-000-48-00-4825
a. The revenue generated by this line item is primarily from baseball and soccer field rentals for
tournaments, daily field usage and individual park rentals.
R6) Hometown Days 79-000-48-00-4843
a. In FY 21 Hometown Days has been adjusted to break even due to the expansion of the event
over recent years and the uncertainty weather can bring to the overall revenue of the festival.
We continue to collaborate with community groups and businesses including the Friday
Night Christian Bands sponsored by Cross Lutheran, Used Book Sale hosted by the Yorkville
Public Library, the Jr. Women’s Craft Show, Thursday Night Senior Services Big Band and
BBQ fundraiser and several other community organizations and businesses that volunteered
their time to make the festival a well-rounded and successful community event.
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R7) Transfer from General Fund 79-000-490-00-4901
a. As referenced in the Items to Note section above, the staff proposes liquidating the fund
balance in the Parks and Rec operating budget. This one-time maneuver and discontinuance
of the 15% fund balance policy results in a modest decrease in the transfer in FY 21, before
returning to historical levels in FY 22.
E1) Outside Repair and Maintenance (Parks) 79-790-54-00-5495
a. For FY 20, staff replaced the backstops on Beecher Field 5 and purchased a new utility
vehicle as part of the Department taking on the in-house recreation youth baseball & softball
league. Additional expenditures are used to repair park maintenance equipment, playground
equipment and athletic league field maintenance, which will include clay, turface, chalk,
paint, mounds and other items needed to run a successful youth sports league.
E2) Program Supplies (Recreation) 79-795-56-00-5606
a. This contains most of the expenses related to the Department running a year-round special
events, sports leagues, preschool, camps and recreation program schedule. Expenses include
sports league equipment, band fees, signage, preschool curriculum needs etc.
Countryside TIF Fund (87)
R1) Property Taxes 87-000-40-00-4000
a. In FY 20, the movie theater paid its fifth full year of property taxes and Lighthouse Academy
paid its fourth full year of property taxes, and the remaining outlots at 520 W Kendall and the
building that contains Flight and Burnt Barrel paid their first property taxes. Together, these
revenues were greater than the debt service payments in the fund for the fifth year in a row.
However, the incentive payment to the Holiday Inn Express was paid in FY 20, and the
movie theater secured a significant property assessment reduction in FY 20, which will put
the five-year budget proposal in this fund and the long-term sustainability of the TIF in
question. The Hacienda Real building, the last remaining vacant lot in the TIF, and the Opal
Banquet Facility have not paid any significant property taxes as of FY 20. For purposes of
the five-year budget proposal, we assume the Hacienda Real property and the Opal will be
substantially complete in 2020 and will start to pay full property taxes in 2022 (FY 23). We
have made no budget assumption that the final vacant out lot in Kendall Crossing will be
developed, but we think there is development potential for the final lot to be developed soon.
Downtown TIF Fund (88)
R1) Property Taxes 88-880-40-00-4000
a. Several properties were taken out of the Downtown TIF #1 in FY 19, but many of them were
not generating any increment and did not impact the property taxes received in FY 20. For
conservative budgeting purposes, we’ve kept the revenue projections level.
E1) TIF Incentive Payout 88-880-54-00-5425
a. Based on historical payouts, we’ve set the FY 21figure at ~$27,000. This could change
dramatically if the TIF improves.
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E2) Legal Services 88-880-54-00-5466
a. This line item represents any legal services used by the City in relation to TIF projects or
incentive agreements.
E3) Project Costs 88-880-60-00-6000
a. This line-item is for minor City-initiated projects within the TIF districts.
E4) Route 47 Expansion 88-880-60-00-6079
a. This line-item represents various improvements within the TIF district associated with the
Route 47 expansion project. These amounts are scheduled in equal annual payments to be
made over a 10-year period. By April 2020the City will have made 91 of its 120 payments.
E5) Principal Payment 88-880-81-00-8000
E6) Interest Payment 88-880-81-00-8050
a. These line-items represent the short-term debt service payments on the downtown bank
building purchase. The City’s first debt service payment occurs in FY 19 and the debt should
be retired in FY 22.
Downtown TIF II Fund (89)
R1) Property Taxes 89-000-40-00-4000
a. The FY 20 column represents the total increment for all properties in Downtown TIF 2. We
have estimated inflationary growth in FY 21 and beyond, plus successful completion of the
old jail redevelopment.
E1) Project Costs 89-890-54-00-5425
a. The only project receiving TIF incentives as of FY 21 is the old jail redevelopment. The
dollar amounts in the columns in the five-year budget proposal reflect the agreement
approved by City Council in Summer 2019.
E2) Legal Services 89-890-54-00-5466
a. This line-item represents all legal costs incurred during the creation of the TIF.
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Cash Flow – Surplus (Deficit)
This section of the budget shows the surpluses and deficits for every fund in the entire budget
and can be used to see the City’s “overall budget” performance. The total at the bottom of the column
for each fiscal year is the basis for whether the City’s overall budget is running a surplus or deficit.
The FY 20 total projected budget deficit being significantly better than the FY 20 adopted budget
surplus is a result of better than expected revenues across a few funds, tight management control of
expenditures in all operating funds, and some deferred capital projects. The five-year total budget
outlook is similar to last year’s budget proposal.
Cash Flow – Fund Balance
This section of the budget is directly related to the “Cash Flow – Surplus (Deficit)” section
above. Fund balance, by definition, is the accumulated surplus of the City since its founding, and
therefore these amounts represent the approximate amount of projected cash the City should expect to
have on hand at the end of each fiscal year.
As we discussed in the big picture narrative, we expect fund balance in the General Fund to stay
above 30% through FY 22. The Water Fund is highly variable for the next three years but is expected to
be in strong position in FY 24 and beyond due to retirement of debt within the fund. As discussed
throughout this budget proposal, the sewer fund runs modest deficits in FY 21 due to the previous
budget proposal’s decision to decrease the general fund transfer into the fund. Both enterprise funds are
expected to be in strong positions by FY 25.
The total at the bottom of each column represents the City’s overall aggregate fund
balance. The past few years has benchmarked severe fiscal problems at $4M in aggregate fund balance.
Fortunately, years of conservative budget principles have helped the aggregate fund balance along. Last
year, we showed one year at $4.4M in aggregate fund balance, and that remains true this year. FY 24
and FY 25 show positive fiscal performance too.
Allocated Items – Aggregated
This section carries forward from last year, and contains aggregate costs from all departments,
including liability insurance, employee health, dental and vision insurance, property taxes, non-abated
property taxes, building permit revenue, employee salaries, other capital projects in excess of $500,000,
etc.
46
Number Goals Score
1 Automation & Technology 68
2 Municipal Building Needs and Planning 67
3 RTBR Funding 53
4 Pedestrian traffic 40
5 Water Planning 36
6 tie Vehicles 31
6 tie Budget Performance 31
8 Downtown and Riverfront Planning 23
9 Southside Development 21
10 Metra Extension 20
11 Manufacturing and Industrial 18
12 Staffing (Police and Others)17
13 Parks and rec capital 16
14 Route 47 Crossings 14
15 School Safety (Exterior and Traffic) 13
16 Revenue Growth 11
17 Expand Economic Development Efforts 8
18 Quiet Zones 5
City Council Goals, post October 2019 meeting
47
Illinois Passes 21st
Century Sales Tax Law
ILLINOIS MUNICIPAL LEAGUE
FACT SHEET
DEFINITIONS
Remote Online Retailer = A retailer
who makes sales to Illinois residents for
use or consumption in Illinois, but does
not have a physical presence in Illinois.
Marketplaces = A space where third
party sellers can sell their products
online.
Marketplace Facilitators = Companies
that provide marketplaces for third-party
retailers (Examples: Amazon, Walmart,
eBay, etc.).
Certified Service Providers = Agents
certified by the state to perform the
remote retailer’s sales and use tax
functions online.
On June 28, 2019, Governor JB Pritzker signed legislation that
will change the way Retailers’ Occupation Taxes (ROT, aka
sales taxes) and Use Taxes are collected in the state of Illinois.
This concept and proposal was developed by the Illinois Retail
Merchants Association (IRMA) in consultation and partnership
with the Illinois Municipal League (IML).
After the spring session, it became clear that there were significant drafting errors in the legislation that would
need to be fixed during the fall veto session in order to be implemented as intended. The General Assembly
passed SB 119 (Sen. Steans, D-Chicago/Rep. Zalewski, D-Riverside), which addresses the drafting errors; IML
supported this legislation.
WHERE WE BEGAN IN 2018
On June 21, 2018, the United States Supreme Court (USSC)
overturned prior precedent in National Bellas Hess and Quill in
South Dakota v. Wayfair. The court ruled that individual states have
the authority to implement laws that require remote retailers to
collect and remit taxes to the state where the purchaser lives.
In May 2018, Illinois enacted legislation that allowed for the
required collection of the state’s Use Tax (P.A. 100-0587). The
legislation required remote retailers (who make 200 or more annual
transactions or $100,000 or more in annual gross receipts) to collect
Use Tax on purchases made for use or consumption in Illinois.
More information about the Use Tax can be found via this link.
WHAT WAS MISSING?
While the required collection of the state’s Use Tax on certain
remote sellers was a step in the right direction, Use Tax fails to
fully level the playing field between brick-and-mortar retailers and
their online counterparts. It also does not allow municipalities to
collect any locally-imposed sales taxes on products being used or
consumed in their communities.
IML has been a leader at the federal and state levels advocating for the required
collection and remittance of the state and locally-imposed sales taxes instead of Use Tax.
Most recently, IML filed HB 270 (Rep. Murphy, R-Springfield) and SB 2049 (Sen. Castro,
D-Elgin), which would have required remote retailers to collect the state and local sales
taxes on any purchase based on the delivery address or destination.
500 East Capitol Avenue | PO Box 5180 | Springfield, IL 62705-5180 | Ph: 217.525.1220 | Fx: 217.525.7438 | www.iml.org
11/14/19
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Illinois Municipal League | Online Sales Tax
LEVELING THE PLAYING FIELD FOR ILLINOIS RETAILERS
The amended “Leveling the Playing Field for Illinois Retail Act” was passed by the General Assembly on
November 14, 2019, to require both Remote Retailers and Marketplace Facilitators to collect and remit the state
and locally-imposed Retailers’ Occupation Tax (ROT, aka sales tax) for the jurisdictions where the product is
delivered (its destination) starting January 1, 2021.
LEVELING THE PLAYING FIELD FOR ILLINOIS RETAIL ACT
Under Current
Law
Starting
January 1,
2020
Starting
January 1,
2021
Municipal
Revenue Impact
State Revenue
Impact
Remote Retailer
(no physical
nexus)
Meets sales
thresholds of
200 annual
transactions
or $100,000 in
annual gross
receipts
Use Tax Use Tax ROT at
destination
Significant
Increase
Improved
state sales tax
compliance and
locally-imposed
sales taxes
collected where
applicable
Significant
increase
Marketplace
Sales by non-IL
Retailers
(approx. 96% of
IL Marketplace
transactions)
Marketplaces
who meet sales
threshold of 200
annual sales or
$100,000 annual
gross receipts
Use Tax, low
compliance Use Tax ROT at
destination
Significant
Increase due
to improved
compliance and
locally-imposed
sales taxes
collected where
applicable
Significant
increase
Marketplace
Sales by IL-
based retailer
(approx. 4% of
IL Marketplace
transactions)
ROT at origin,
low compliance Use Tax ROT at
destination
Increased due
to increased
compliance
Significant
increase
IL retailer
shipping to IL
customer from
IL warehouse
ROT at origin ROT at origin ROT at origin No Change No Change
Brick-and-
Mortar Retailer ROT at origin ROT at origin ROT at origin No Change No Change
49
Illinois Municipal League | Online Sales Tax
The law requires Remote Retailers (who either meet a threshold of 200 transactions annually or $100,000
in annual gross receipts) from Illinois residents to collect both state and locally-imposed sales taxes starting
January 1, 2021. The local rate would be determined by the delivery destination or pick-up location. To assist in
the collection of locally-imposed sales taxes, Remote Retailers are authorized to allow Certified Service Providers
(CSP) to collect and remit state and local sales taxes on behalf of the retailer.
Starting on January 1, 2020, Marketplace Facilitators, like Amazon, will be required to collect Use Tax on
marketplace sales. On January 1, 2021, Marketplace Facilitators, who meet certain sales thresholds, will be required
to collect state and locally-imposed sales taxes on marketplace sales.
Retailers that have a physical presence in Illinois, who do not sell through a marketplace, will see no change in
how their sales tax is collected. For example, if a community has a local retailer that ships products to Illinois
customers, that sales tax will still be origin-based, determined as the origin of the sale (the local retailer’s
location). For Illinois retailers who sell through a marketplace, the Marketplace Facilitator will collect the sales tax
based on destination (the shipped-to location of the purchaser or the pick up location) starting January 1, 2021.
This new law eventually requires that sales made in Marketplaces or by Remote Retailers be taxed at the same
rate (including both state and local sales taxes) as brick-and-mortar businesses, therefore leveling the playing field
for retailers and ensuring municipal governments have the revenues necessary to address their local needs.
MUNICIPAL IMPACT OF LEVELING THE PLAYING FIELD
This new law provides the ability for increased compliance with the collection of state sales tax, which means
increased revenues, of which municipal governments receive a share. The law also provides that any locally-
imposed sales taxes will be collected on Marketplace and Remote Retailer sales.
The Illinois Retail Merchants Association (IRMA) estimates that this new law could generate $465 million annually
in additional sales tax revenue. The state could receive $380 million per state fiscal year and local governments
could receive $85 million per state fiscal year, according to those estimates. These revenue estimates do not
include the expanded revenues that locally-imposed sales taxes could generate from Remote Retailers and
Marketplace sales.
FREQUENTLY ASKED QUESTIONS
Q: Does this legislation require the collection of locally-imposed sales tax on all online purchases?
A: Starting on January 1, 2021, this proposal requires the collection of state and locally-imposed sales
tax, instead of the state use tax, on all purchases made in a Marketplace (like Amazon) when the
Marketplace Faciltator meets the 200 annual sales or $100,000 in annual gross receipts threshold. If a
Remote Retailer makes the sale, they have to meet the same thresholds to be required to collect the
state and locally-imposed sales tax.
A person who makes a purchase from a Remote Retailer, who does not meet this threshold and does
not collect taxes, is still required to pay the state Use Tax on their purchase when filing their state
income tax.
It should be noted that if a Remote Retailer asks a CSP to collect sales taxes for Illinois purchases and
is under the threshold, sales taxes could still be collected under this law, not the Use Tax.
50
Illinois Municipal League | Online Sales Tax
Q: How does a retailer establish a presence in a marketplace setting?
A: Retailers will typically enter into an agreement with a Marketplace Facilitator (like Amazon) to sell
their goods in an online Marketplace. In exchange for marketing their products in the Marketplace, the
Facilitator receives compensation from the retailer.
Q: How does a Certified Service Provider (CSP) differ from a Marketplace?
A: Essentially, CSPs are tax software companies that work with states to provide tax collection services
to retailers. They operate nationwide and currently aid in the collection of sales tax in 26 states.
More information about CSPs is available via this link.
Q: Are sites like Craigslist or Facebook Marketplace marketplaces?
A: No, for a company to be considered a Marketplace they have to process the transaction. Craigslist
and Facebook Marketplace only provide opportunities to advertise a product, but do not offer the
opportunity to process the sale.
Q: How will the Marketplaces and CSPs know which sales tax rates to collect?
A: They will receive the tax rate information from the Illinois Department of Revenue. They will then use
the shipping address to determine the rate of tax to be assessed on a transaction.
Q: Is there any sales tax benefit for a brick-and-mortar retailer to convert to a marketplace?
A: Under this legislation, no. The proposal would treat a resident of a municipality that goes to the local
store versus a resident of the community ordering the same product and having it shipped to their
home equally if the retailer meets the sales threshold by requiring the state and locally-imposed sales
tax rates for that community be collected.
Q: What does my municipality have to do under this proposal?
A: The legislation does not require municipalities to do anything differently. Municipalities should
continue to regularly report any changes to their locally-imposed sales tax rate and municipal
boundaries to ensure the appropriate taxes are being collected on online purchases.
Q: Have marketplace laws worked anywhere else?
A: Marketplace laws are currently in effect in more than 26 other states and Washington, D.C. and
they have been very successful. Pennsylvania, for example, is on track to raise around $200 million
from their marketplace laws this year. New York is estimating $390 million in revenues from their
marketplace law.
Q: Will my Use Tax revenues decline?
A: While your Use Tax revenue distribution will decline, your Retailer Occupation Tax (ROT, aka sales tax)
revenues are likely to increase sufficiently to more than cover the loss in Use Tax revenues.
51
Date Range:5/1/2019 through3/1/2020Fiscal Year MunicipalityDepartment Research/ AnalysisGeneral CommunicationMeetings NegotiationsDocument Development/ ReviewTotal Project TimePurchasing Manager CostDepartment Head CostSalary Cost Savings/ Expense ($) Total Budget Proposal Amount Revenue Received Project Cost Savings/ Expense ($) Total Cost Savings/ Expense ($) 2020 YorkvilleFinance54.52.5 15.518.5 $ 949.01 $ 1,529.98 $ (580.97) $500.00$447.39 $ 1,824.00 $ 1,771.39 $ 1,190.42 Police50.537.75 42.5 632.5169.25 $ 8,682.18 $ 12,953.75 $ (4,271.57) $65,000.00 $63,760.00 $ 10,392.50 $ 9,152.50 $ 4,880.93 Public Works4351.543 561203.5 $ 10,439.14 $ 17,964.20 $ (7,525.06) $652,000.00 $294,000.00 $ 2,650.00 $ (355,350.00) $ (362,875.06)Administration124.5107.5 81.5 4.5100418 $ 21,442.55 $ 34,711.38 $ (13,268.83) $101,682.84 $1,682.84 $ - $ (100,000.00) $ (113,268.83)Community Development55.580624.5 $ 1,256.80 $ 2,326.20 $ (1,069.40) $67,405.43$0.00 $ - $ (67,405.43) $ (68,474.83)Parks & Recreation9112.5 110.534 $ 1,744.13 $ 2,843.06 $ (1,098.93) $210,302.00 $106,260.00 $ - $ (104,042.00) $ (105,140.93)Yorkville Total237217.75 180 17.5215.5867.75 $ 44,513.81 $ 72,328.57 $ (27,814.76)$1,096,890.27 $466,150.23 $ 14,866.50 $ (615,873.54) $ (643,688.30)Shared ServicesFinance 7.5 6 5.5 0 6 25 $ 1,282.45 $ 2,067.54 $ (785.09) $0.00 $0.00 $ - $ - $ (785.09)Public Works11.750024.75 $ 243.67 $ 447.09 $ (203.42) $0.00$0.00 $ - $ - $ (203.42)Administration45.57450.5 031201 $ 10,310.89 $ 13,378.92 $ (3,068.03) $0.00$0.00 $ - $ - $ (3,068.03)Shared Services Total5481.75 56 039230.75 $ 11,837.00 $ 15,893.54 $ (4,056.54)$0.00$0.00 $ - $ - $ (4,056.54)2020 Total291299.5 236 17.5254.51098.5 $ 56,350.81 $ 88,222.11 $ (31,871.30)$1,096,890.27 $466,150.23 $ 14,866.50 $ (615,873.54) $ (647,744.84)Grand Total291299.5 236 17.5254.51098.5 $ 56,350.81 $ 88,222.11 $ (31,871.30)$1,096,890.27 $466,150.23 $ 14,866.50 $ (615,873.54) $ (647,744.84)Purchasing Manager Performance Analysis52
Municipality Fiscal Year DepartmentDescriptionWork Type (Research, ITB/RFP, Quotes, Purchase, General, Contract/PSA, Surplus, unknown)Project Status (Open, On Hold, Ongoing, Closed or Complete)Hours Spent on Research /AnalysisHours Spent on General Communication (Phone calls or emails)Hours Spent on MeetingsHours Spent on NegotiationsHours Spent on Document Development /ReviewTotal Hours Spent on ProjectformulaPM Hourly Rate PM Cost per Project formula2 DH Hourly Rate DH Cost Per Project Salary Cost Savings/ Expense ($) Salary Cost Savings/ Expense (%) Budget Proposal Amount Revenue Received Project Cost Savings/ Expense ($) Project Cost Savings/ Expense (%) Total Cost Savings/ Expense ($) Shared Services 2019 Administration Office Supply Analysis (Village and City) Quotes Complete 10.00 16.00 7.50 1.00 3.50 38.00 bothadministration2019 49.80 $ 1,892.55 Shared ServicesAdministration2019 $ 64.62 $ 2,455.68 $ (563.13) -23% $ - $ - $ - $ - 0% $ (563.13)Shared Services 2020 Administration Annual Safety Grant Purcahses (Village and City) Research Complete 2.50 1.00 0.00 0.00 1.00 4.50 bothadministration2020 51.30 $ 230.84 Shared ServicesAdministration2020 $ 66.56 $ 299.53 $ (68.69) -23% $ - $ - $ - $ - 0% $ (68.69)Shared Services 2020 Administration Equipment - PPE Inventory (Village and City) Research Open 10.00 3.00 1.00 0.00 0.00 14.00 bothadministration2020 51.30 $ 718.17 Shared ServicesAdministration2020 $ 66.56 $ 931.86 $ (213.69) -23% $ - $ - $ - $ - 0% $ (213.69)Shared Services 2020 Administration GIS Consortium (Village and City) Research Complete 3.50 2.00 4.00 0.00 0.00 9.50 bothadministration2020 51.30 $ 487.33 Shared ServicesAdministration2020 $ 66.56 $ 632.34 $ (145.01) -23% $ - $ - $ - $ - 0% $ (145.01)Shared Services 2020 Administration Janitorial Supplies RFP (Village and City) ITB/RFP On Hold 1.00 0.50 0.00 0.00 2.00 3.50 bothadministration2020 51.30 $ 179.54 Shared ServicesAdministration2020 $ 66.56 $ 232.97 $ (53.42) -23% $ - $ - $ - $ - 0% $ (53.42)Shared Services 2020 Administration JOC Program (Village and City) Research On Hold 2.00 2.00 4.50 0.00 0.00 8.50 bothadministration2020 51.30 $ 436.03 Shared ServicesAdministration2020 $ 66.56 $ 565.78 $ (129.74) -23% $ - $ - $ - $ - 0% $ (129.74)Shared Services 2020 Administration Joint Copier Paper RFP (Local Agencies, County and City) ITB/RFP Open 3.00 5.50 3.00 0.00 5.00 16.50 bothadministration2020 51.30 $ 846.42 Shared ServicesAdministration2020 $ 66.56 $ 1,098.27 $ (251.85) -23% $ - $ - $ - $ - 0% $ (251.85)Shared Services 2020 AdministrationJoint Purchase of Radios, Accessories and Licenses RFP (KENCOM Agencies - Oswego, Yorkville, Montgomery, Plano, and County)ITB/RFP Complete 3.50 14.00 13.00 0.00 11.50 42.00 bothadministration2020 51.30 $ 2,154.51 Shared ServicesAdministration2020 $ 66.56 $ 2,795.59 $ (641.08) -23% $ - $ - $ - $ - 0% $ (641.08)Shared Services 2020 Administration Leaf Disposal RFP (Village, City, & Township Highway) ITB/RFP Open 3.00 2.50 1.00 0.00 7.50 14.00 bothadministration2020 51.30 $ 718.17 Shared ServicesAdministration2020 $ 66.56 $ 931.86 $ (213.69) -23% $ - $ - $ - $ - 0% $ (213.69)Shared Services 2020 AdministrationParking Lot Resurfacing RFP (Village, City, County, Township Highway & Township Admin.)ITB/RFP Open 1.00 2.50 0.00 0.00 2.00 5.50 bothadministration2020 51.30 $ 282.14 Shared ServicesAdministration2020 $ 66.56 $ 366.09 $ (83.95) -23% $ - $ - $ - $ - 0% $ (83.95)Shared Services 2020 Administration Sales Calls (Village and City) General Ongoing 15.00 38.50 24.00 0.00 0.00 77.50 bothadministration2020 51.30 $ 3,975.59 Shared ServicesAdministration2020 $ 66.56 $ 5,158.54 $ (1,182.95) -23% $ - $ - $ - $ - 0% $ (1,182.95)Shared Services 2020 AdministrationSealcoating RFP (Village, City, County, Township Highway & Township Admin.)ITB/RFP Open 1.00 2.50 0.00 0.00 2.00 5.50 bothadministration2020 51.30 $ 282.14 Shared ServicesAdministration2020 $ 66.56 $ 366.09 $ (83.95) -23% $ - $ - $ - $ - 0% $ (83.95)Shared Services 2020 Finance CS2 Solar Energy Savings Research On Hold 7.50 6.00 5.50 0.00 6.00 25.00 bothadministration2020 51.30 $ 1,282.45 yorkvilleFinance2020 $ 82.70 $ 2,067.54 $ (785.09) -38% $ - $ - $ - $ - 0% $ (785.09)Shared Services 2020 Public Works Water Tower Cleaning ITB (Village and City) ITB/RFP On Hold 1.00 1.75 0.00 0.00 2.00 4.75 bothadministration2020 51.30 $ 243.67 oswegoPublic Works2020 $ 94.12 $ 447.09 $ (203.42) -45% $ - $ - $ - $ - 0% $ (203.42)Yorkville2019 Administration City Hall Conference Room FurnitureQuotesClosed6.005.504.500.500.0016.50bothadministration2019 49.80 $ 821.76 YorkvilleAdministration2019 $ 80.62 $ 1,330.28 $ (508.51) -38% $ 1,600.00 $ 1,360.00 $ - $ (240.00) -15% $ (748.51)Yorkville2019 Administration Dry Erase BoardsQuotesClosed0.500.500.000.001.002.00bothadministration2019 49.80 $ 99.61 YorkvilleAdministration2019 $ 80.62 $ 161.25 $ (61.64) -38% $ - $ - $ - $ - 0% $ (61.64)Yorkville2019 Administration Janitorial Services RFPITB/RFPComplete2.000.503.000.001.006.50bothadministration2019 49.80 $ 323.73 YorkvilleAdministration2019 $ 80.62 $ 524.05 $ (200.32) -38% $ 31,140.00 $ 35,808.00 $ - $ 4,668.00 15% $ 4,467.68 Yorkville2019 Administration Old Jail RFP ITB/RFPComplete1.500.501.500.001.505.00bothadministration2019 49.80 $ 249.02 YorkvilleAdministration2019 $ 80.62 $ 403.11 $ (154.10) -38% $ - $ - $ - $ - 0% $ (154.10)Yorkville2019 Administration Vendor Analysis – Hardware/Tools/SuppliesResearchComplete7.500.500.500.001.009.50bothadministration2019 49.80 $ 473.14 YorkvilleAdministration2019 $ 80.62 $ 765.92 $ (292.78) -38% $ - $ - $ - $ - 0% $ (292.78)Yorkville2019Community DevelopmentUDO RFPITB/RFPComplete2.000.500.000.002.004.50bothadministration2019 49.80 $ 224.12 YorkvilleCommunity Development2019 $ 92.18 $ 414.82 $ (190.70) -46% $ - $ - $ - $ - 0% $ (190.70)Yorkville2019Finance Copier RFP ITB/RFPComplete0.001.500.000.503.005.00bothadministration2019 49.80 $ 249.02 YorkvilleFinance2019 $ 80.29 $ 401.46 $ (152.44) -38% $ 15,720.00 $ 12,004.80 $ - $ (3,715.20) -24% $ (3,867.64)Yorkville2019 Parks & Recreation Parks and Recreation Facility Plan RFQITB/RFPClosed3.000.001.000.004.508.50bothadministration2019 49.80 $ 423.33 YorkvilleParks & Recreation2019 $ 81.18 $ 690.06 $ (266.73) -39% $ - $ - $ - $ - 0% $ (266.73)Yorkville2019 Parks & Recreation Program Catalog ITBITB/RFPComplete4.501.002.501.003.0012.00bothadministration2019 49.80 $ 597.65 YorkvilleParks & Recreation2019 $ 81.18 $ 974.21 $ (376.56) -39% $ 58,000.00 $ 34,820.43 $ - $ (23,179.57) -40% $ (23,556.13)Yorkville2019 Parks & Recreation Youth Baseball & Softball League Uniforms and Equipment ITBITB/RFPComplete6.5012.001.000.006.0025.50bothadministration2019 49.80 $ 1,270.00 YorkvilleParks & Recreation2019 $ 81.18 $ 2,070.19 $ (800.19) -39% $ 35,000.00 $ 23,920.35 $ - $ (11,079.65) -32% $ (11,879.84)Yorkville2019Police Fiber Back-up (Metronet/Comcast)QuotesComplete3.504.506.500.000.0014.50bothadministration2019 49.80 $ 722.16 YorkvillePolice2019 $ 74.31 $ 1,077.45 $ (355.30) -33% $ - $ - $ - $ - 0% $ (355.30)Yorkville2019Police Pole Mounted Speed Sign PurchaseQuotesComplete3.002.502.001.003.0011.50bothadministration2019 49.80 $ 572.74 YorkvillePolice2019 $ 74.31 $ 854.53 $ (281.79) -33% $ 15,889.00 $ 15,889.00 $ - $ - 0% $ (281.79)Yorkville2019Police Police Department Radio PurchaseQuotesComplete2.001.002.501.001.007.50bothadministration2019 49.80 $ 373.53 YorkvillePolice2019 $ 74.31 $ 557.30 $ (183.77) -33% $ 22,888.00 $ 22,888.00 $ - $ - 0% $ (183.77)Yorkville2019Police Shipping Container PurchaseQuotesComplete2.001.501.002.501.008.00bothadministration2019 49.80 $ 398.43 YorkvillePolice2019 $ 74.31 $ 594.46 $ (196.03) -33% $ 10,990.00 $ 10,990.00 $ - $ - 0% $ (196.03)Yorkville2019 Public Works Calcium Chloride Liquid PurchaseQuotesComplete1.501.000.000.501.004.00bothadministration2019 49.80 $ 199.22 YorkvillePublic Works2019 $ 85.71 $ 342.82 $ (143.60) -42% $ 7,600.00 $ 7,600.00 $ - $ - 0% $ (143.60)Yorkville2019 Public Works Calcium Chloride Storage Container PurchaseQuotesComplete2.002.000.000.501.005.50bothadministration2019 49.80 $ 273.92 YorkvillePublic Works2019 $ 85.71 $ 471.38 $ (197.46) -42% $ 6,200.00 $ 6,196.99 $ - $ (3.01) 0% $ (200.47)Yorkville2019 Public Works FCC License - Public Works DepartmentQuotesComplete1.001.500.500.000.503.50bothadministration2019 49.80 $ 174.31 YorkvillePublic Works2019 $ 85.71 $ 299.97 $ (125.65) -42% $ 900.00 $ 900.00 $ - $ - 0% $ (125.65)Yorkville2019 Public Works Layne PSA DevelopmentContract/PSAClosed0.000.000.500.001.001.50bothadministration2019 49.80 $ 74.71 YorkvillePublic Works2019 $ 85.71 $ 128.56 $ (53.85) -42% $ - $ - $ - $ - 0% $ (53.85)Yorkville2019 Public Works Naturalized Pond Maintenance QuotesQuotesComplete1.500.500.000.001.003.00bothadministration2019 49.80 $ 149.41 YorkvillePublic Works2019 $ 85.71 $ 257.12 $ (107.70) -42% $ 5,000.00 $ 1,825.00 $ - $ (3,175.00) -64% $ (3,282.70)Yorkville2019 Public Works Public Works Department Radio PurchaseITB/RFPComplete5.506.002.001.5011.0026.00bothadministration2019 49.80 $ 1,294.90 YorkvillePublic Works2019 $ 85.71 $ 2,228.33 $ (933.43) -42% $ 30,000.00 $ 16,315.00 $ - $ (13,685.00) -46% $ (14,618.43)Yorkville2020 Administration Amazon Business AccountContract/PSAComplete4.0023.004.001.001.0033.00bothadministration2020 51.30 $ 1,692.83 YorkvilleAdministration2020 $ 83.04 $ 2,740.37 $ (1,047.54) -38% $ - $ - $ - $ - 0% $ (1,047.54)Yorkville2020 Administration Codification ServicesQuotesOpen6.004.0012.001.006.5029.50bothadministration2020 51.30 $ 1,513.29 YorkvilleAdministration2020 $ 83.04 $ 2,449.73 $ (936.44) -38% $ - $ - $ - $ - 0% $ (936.44)Yorkville2020 Administration Enterprise Resource Planning (ERP) System RFPITB/RFPOn Hold42.005.505.500.0024.0077.00bothadministration2020 51.30 $ 3,949.94 YorkvilleAdministration2020 $ 83.04 $ 6,394.20 $ (2,444.26) -38% $ - $ - $ - $ - 0% $ (2,444.26)Yorkville2020 Administration Facilities Master Plan RFQ ITB/RFPClosed3.506.5024.500.0022.0056.50bothadministration2020 51.30 $ 2,898.33 YorkvilleAdministration2020 $ 83.04 $ 4,691.85 $ (1,793.51) -38% $ 100,000.00 $ - $ - $ (100,000.00) -100% $ (101,793.51)Yorkville2020 Administration File Cabinets PurchaseQuotesComplete0.000.500.000.000.000.50bothadministration2020 51.30 $ 25.65 YorkvilleAdministration2020 $ 83.04 $ 41.52 $ (15.87) -38% $ 1,682.84 $ 1,682.84 $ - $ - 0% $ (15.87)Yorkville2020 Administration Fleet - Enterprise Leasing ProgramResearchOn Hold10.0026.0018.000.0015.0069.00bothadministration2020 51.30 $ 3,539.56 YorkvilleAdministration2020 $ 83.04 $ 5,729.87 $ (2,190.31) -38% $ - $ - $ - $ - 0% $ (2,190.31)Yorkville2020 Administration Fleet - Maintenance Analysis - Other DepartmentsResearchComplete1.007.001.000.002.0011.00bothadministration2020 51.30 $ 564.28 YorkvilleAdministration2020 $ 83.04 $ 913.46 $ (349.18) -38% $ - $ - $ - $ - 0% $ (349.18)Yorkville2020 Administration Fleet Replacement Policy & FormsResearchComplete38.0014.005.001.0015.0073.00bothadministration2020 51.30 $ 3,744.75 YorkvilleAdministration2020 $ 83.04 $ 6,062.03 $ (2,317.28) -38% $ - $ - $ - $ - 0% $ (2,317.28)Yorkville2020 Administration Fuel Card ProgramContract/PSAComplete2.503.003.500.002.0011.00bothadministration2020 51.30 $ 564.28 YorkvilleAdministration2020 $ 83.04 $ 913.46 $ (349.18) -38% $ - $ - $ - $ - 0% $ (349.18)Yorkville2020 Administration Grantfinder ProgramResearchOngoing2.001.001.000.000.004.00bothadministration2020 51.30 $ 205.19 YorkvilleAdministration2020 $ 83.04 $ 332.17 $ (126.97) -38% $ - $ - $ - $ - 0% $ (126.97)Yorkville2020 Administration Internet RFPITB/RFPOn Hold3.001.501.000.001.507.00bothadministration2020 51.30 $ 359.09 YorkvilleAdministration2020 $ 83.04 $ 581.29 $ (222.21) -38% $ - $ - $ - $ - 0% $ (222.21)Yorkville2020 Administration KiosksResearchOn Hold1.000.000.500.000.001.50bothadministration2020 51.30 $ 76.95 YorkvilleAdministration2020 $ 83.04 $ 124.56 $ (47.62) -38% $ - $ - $ - $ - 0% $ (47.62)Yorkville2020 Administration Land Use RFQITB/RFPOn Hold2.000.000.000.000.002.00bothadministration2020 51.30 $ 102.60 YorkvilleAdministration2020 $ 83.04 $ 166.08 $ (63.49) -38% $ - $ - $ - $ - 0% $ (63.49)Yorkville2020 Administration Monitor PurchaseQuotesComplete1.000.500.000.500.502.50bothadministration2020 51.30 $ 128.24 YorkvilleAdministration2020 $ 83.04 $ 207.60 $ (79.36) -38% $ - $ - $ - $ - 0% $ (79.36)Yorkville2020 Administration Office Supply PurchasePurchaseOngoing2.001.000.001.000.004.00bothadministration2020 51.30 $ 205.19 YorkvilleAdministration2020 $ 83.04 $ 332.17 $ (126.97) -38% $ - $ - $ - $ - 0% $ (126.97)Yorkville2020 Administration Postage Machine Contract ReviewContract/PSAComplete1.000.500.000.001.002.50bothadministration2020 51.30 $ 128.24 YorkvilleAdministration2020 $ 83.04 $ 207.60 $ (79.36) -38% $ - $ - $ - $ - 0% $ (79.36)Yorkville2020 Administration Procurement Code & Procurement Policies and Procedures ManualResearchOn Hold3.0011.504.500.007.0026.00bothadministration2020 51.30 $ 1,333.75 YorkvilleAdministration2020 $ 83.04 $ 2,159.08 $ (825.33) -38% $ - $ - $ - $ - 0% $ (825.33)Yorkville2020 Administration Telecommunications RFPITB/RFPOn Hold2.001.501.000.001.506.00bothadministration2020 51.30 $ 307.79 YorkvilleAdministration2020 $ 83.04 $ 498.25 $ (190.46) -38% $ - $ - $ - $ - 0% $ (190.46)Yorkville2020 Administration Vendor Registry ContractContract/PSAOn Hold0.500.500.000.001.002.00bothadministration2020 51.30 $ 102.60 YorkvilleAdministration2020 $ 83.04 $ 166.08 $ (63.49) -38% $ - $ - $ - $ - 0% $ (63.49)Yorkville2020Community DevelopmentBuilding Department Scanning ProjectQuotesOn Hold1.502.504.000.002.0010.00bothadministration2020 51.30 $ 512.98 YorkvilleCommunity Development2020 $ 94.95 $ 949.47 $ (436.49) -46% $ - $ - $ - $ - 0% $ (436.49)Yorkville2020Community DevelopmentDowntown Hill Landscaping ProjectITB/RFPOn Hold2.001.504.000.003.5011.00bothadministration2020 51.30 $ 564.28 YorkvilleCommunity Development2020 $ 94.95 $ 1,044.42 $ (480.14) -46% $ 50,000.00 $ - $ - $ (50,000.00) -100% $ (50,480.14)Yorkville2020Community DevelopmentFox Industrial Park Entrance SignQuotesComplete1.501.000.000.000.503.00bothadministration2020 51.30 $ 153.89 YorkvilleCommunity Development2020 $ 94.95 $ 284.84 $ (130.95) -46% $ 14,905.43 $ - $ - $ (14,905.43) -100% $ (15,036.38)Yorkville2020Community DevelopmentTactical Urbanism ProjectQuotesOn Hold0.000.500.000.000.000.50bothadministration2020 51.30 $ 25.65 YorkvilleCommunity Development2020 $ 94.95 $ 47.47 $ (21.82) -46% $ 2,500.00 $ - $ - $ (2,500.00) -100% $ (2,521.82)Yorkville2020Finance Call One Contract RenewalContract/PSAComplete0.001.501.000.001.003.50bothadministration2020 51.30 $ 179.54 YorkvilleFinance2020 $ 82.70 $ 289.46 $ (109.91) -38% $ - $ - $ - $ - 0% $ (109.91)Yorkville2020Finance Cellphone BuybackQuotesComplete1.000.500.000.000.502.00bothadministration2020 51.30 $ 102.60 YorkvilleFinance2020 $ 82.70 $ 165.40 $ (62.81) -38% $ - $ - $ 1,824.00 $ 1,824.00 0% $ 1,761.19 Yorkville2020Finance Equipment - Library Vaccum PurchasePurchaseComplete1.001.000.000.500.503.00bothadministration2020 51.30 $ 153.89 YorkvilleFinance2020 $ 82.70 $ 248.10 $ (94.21) -38% $ - $ - $ - $ - 0% $ (94.21)Yorkville2020Finance Folding Machine PurchaseQuotesComplete1.000.500.500.500.503.00bothadministration2020 51.30 $ 153.89 YorkvilleFinance2020 $ 82.70 $ 248.10 $ (94.21) -38% $ 500.00 $ 447.39 $ - $ (52.61) -11% $ (146.82)Yorkville2020Finance IGA Spreadsheet TrackingResearchOn Hold1.000.500.500.000.502.50bothadministration2020 51.30 $ 128.24 YorkvilleFinance2020 $ 82.70 $ 206.75 $ (78.51) -38% $ - $ - $ - $ - 0% $ (78.51)Yorkville2020Finance Managed Printing ServicesContract/PSAComplete0.000.000.000.001.001.00bothadministration2020 51.30 $ 51.30 YorkvilleFinance2020 $ 82.70 $ 82.70 $ (31.40) -38% $ - $ - $ - $ - 0% $ (31.40)Yorkville2020Finance Surplus - Equipment (Folding Machine)SurplusOpen1.000.500.500.001.503.50bothadministration2020 51.30 $ 179.54 YorkvilleFinance2020 $ 82.70 $ 289.46 $ (109.91) -38% $ - $ - $ - $ - 0% $ (109.91)Yorkville2020 Parks & RecreationAthletic Uniforms and Equipment Purchase for the 2020 Baseball & Softball League ITB/RFPComplete1.001.500.000.003.506.00bothadministration2020 51.30 $ 307.79 YorkvilleParks & Recreation2020 $ 83.62 $ 501.72 $ (193.93) -39% $ - $ - $ - $ - 0% $ (193.93)Yorkville2020 Parks & Recreation Autumn Creek & Caledonia Park Playground RFPsITB/RFPOpen2.502.001.000.003.008.50bothadministration2020 51.30 $ 436.03 YorkvilleParks & Recreation2020 $ 83.62 $ 710.77 $ (274.73) -39% $ 102,000.00 $ - $ - $ (102,000.00) -100% $ (102,274.73)Yorkville2020 Parks & Recreation Equipment -Kubota PurchasePurchaseComplete1.000.500.000.001.002.50bothadministration2020 51.30 $ 128.24 YorkvilleParks & Recreation2020 $ 83.62 $ 209.05 $ (80.80) -39% $ - $ - $ - $ - 0% $ (80.80)Yorkville2020 Parks & Recreation Fleet - Van Repair/Paint InquiryQuotesClosed0.000.500.500.000.001.00bothadministration2020 51.30 $ 51.30 YorkvilleParks & Recreation2020 $ 83.62 $ 83.62 $ (32.32) -39% $ - $ - $ - $ - 0% $ (32.32)Yorkville2020 Parks & Recreation Fleet - Vehicle Purchase - PRQuotesComplete1.002.500.000.501.505.50bothadministration2020 51.30 $ 282.14 YorkvilleParks & Recreation2020 $ 83.62 $ 459.91 $ (177.77) -39% $ 70,000.00 $ 67,958.00 $ - $ (2,042.00) -3% $ (2,219.77)Yorkville2020 Parks & Recreation Raintree Park C Shelter PurchaseITB/RFPComplete2.001.501.000.500.005.00bothadministration2020 51.30 $ 256.49 YorkvilleParks & Recreation2020 $ 83.62 $ 418.10 $ (161.61) -39% $ 29,002.00 $ 29,002.00 $ - $ - 0% $ (161.61)Yorkville2020 Parks & Recreation Seed & Fertilizer QuotesQuotesComplete1.502.000.000.001.004.50bothadministration2020 51.30 $ 230.84 YorkvilleParks & Recreation2020 $ 83.62 $ 376.29 $ (145.45) -39% $ 9,300.00 $ 9,300.00 $ - $ - 0% $ (145.45)Yorkville2020 Parks & Recreation TruGreen Contract RenewalContract/PSAComplete0.000.500.000.000.501.00bothadministration2020 51.30 $ 51.30 YorkvilleParks & Recreation2020 $ 83.62 $ 83.62 $ (32.32) -39% $ - $ - $ - $ - 0% $ (32.32)Yorkville2020Police COPS Hiring GrantResearchComplete2.005.006.000.001.0014.00bothadministration2020 51.30 $ 718.17 YorkvillePolice2020 $ 76.54 $ 1,071.51 $ (353.34) -33% $ - $ - $ - $ - 0% $ (353.34)Yorkville2020Police Fleet - Maintenance Analysis - Police DepartmentResearchComplete32.002.005.000.0012.0051.00bothadministration2020 51.30 $ 2,616.20 YorkvillePolice2020 $ 76.54 $ 3,903.35 $ (1,287.15) -33% $ - $ - $ - $ - 0% $ (1,287.15)Yorkville2020Police Fleet - Vehicle Purchase - PDITB/RFPOpen1.001.000.500.001.003.50bothadministration2020 51.30 $ 179.54 YorkvillePolice2020 $ 76.54 $ 267.88 $ (88.33) -33% $ 65,000.00 $ 63,760.00 $ - $ (1,240.00) -2% $ (1,328.33)Yorkville2020Police Police Department Facilities Analysis RFQITB/RFPOpen2.000.000.000.000.002.00bothadministration2020 51.30 $ 102.60 YorkvillePolice2020 $ 76.54 $ 153.07 $ (50.48) -33% $ - $ - $ - $ - 0% $ (50.48)Yorkville2020Police Surplus - City Vehicles - 2006 Impala (0558)SurplusComplete0.502.001.500.501.005.50bothadministration2020 51.30 $ 282.14 YorkvillePolice2020 $ 76.54 $ 420.95 $ (138.81) -33% $ - $ - $ 400.00 $ 400.00 0% $ 261.19 Yorkville2020Police Surplus - City Vehicles - 2011 Crown Victoria (2003)SurplusComplete0.501.751.000.501.004.75bothadministration2020 51.30 $ 243.67 YorkvillePolice2020 $ 76.54 $ 363.55 $ (119.88) -33% $ - $ - $ 550.00 $ 550.00 0% $ 430.12 Yorkville2020Police Surplus - City Vehicles - 2012 Impala (3024)SurplusComplete2.503.002.001.503.0012.00bothadministration2020 51.30 $ 615.58 YorkvillePolice2020 $ 76.54 $ 918.43 $ (302.86) -33% $ - $ - $ - $ - 0% $ (302.86)Yorkville2020Police Surplus - City Vehicles - 2013 Tahoe (7658)SurplusComplete1.003.503.500.003.0011.00bothadministration2020 51.30 $ 564.28 YorkvillePolice2020 $ 76.54 $ 841.90 $ (277.62) -33% $ - $ - $ 6,068.00 $ 6,068.00 0% $ 5,790.38 Yorkville2020Police Surplus - Equipment (Cameras)SurplusComplete1.003.002.000.501.007.50bothadministration2020 51.30 $ 384.73 YorkvillePolice2020 $ 76.54 $ 574.02 $ (189.29) -33% $ - $ - $ 112.50 $ 112.50 0% $ (76.79)Yorkville2020Police Surplus - Equipment (Laptops)SurplusComplete1.001.002.000.501.506.00bothadministration2020 51.30 $ 307.79 YorkvillePolice2020 $ 76.54 $ 459.22 $ (151.43) -33% $ - $ - $ - $ - 0% $ (151.43)Yorkville2020Police Surplus - Equipment (Radios)SurplusComplete4.0012.008.002.004.0030.00bothadministration2020 51.30 $ 1,538.94 YorkvillePolice2020 $ 76.54 $ 2,296.09 $ (757.15) -33% $ - $ - $ 1,674.00 $ 1,674.00 0% $ 916.85 Yorkville2020Police Surplus - Equipment (Tasers)SurplusComplete1.002.502.000.502.008.00bothadministration2020 51.30 $ 410.38 YorkvillePolice2020 $ 76.54 $ 612.29 $ (201.91) -33% $ - $ - $ - $ - 0% $ (201.91)Yorkville2020Police Surplus - Equipment SurplusSurplusComplete2.001.009.000.002.0014.00bothadministration2020 51.30 $ 718.17 YorkvillePolice2020 $ 76.54 $ 1,071.51 $ (353.34) -33% $ - $ - $ 1,588.00 $ 1,588.00 0% $ 1,234.66 Yorkville2020 Public Works 2020 Road Program BidITB/RFPComplete0.001.001.000.000.502.50bothadministration2020 51.30 $ 128.24 YorkvillePublic Works2020 $ 88.28 $ 220.69 $ (92.45) -42% $ - $ - $ - $ - 0% $ (92.45)Yorkville2020 Public Works Barricade ResearchQuotesComplete1.000.500.500.000.502.50bothadministration2020 51.30 $ 128.24 YorkvillePublic Works2020 $ 88.28 $ 220.69 $ (92.45) -42% $ - $ - $ - $ - 0% $ (92.45)Yorkville2020 Public Works Countryside Lift Station Basement PaintingITB/RFPOpen2.005.002.000.004.5013.50bothadministration2020 51.30 $ 692.52 YorkvillePublic Works2020 $ 88.28 $ 1,191.73 $ (499.21) -42% $ 75,000.00 $ - $ - $ (75,000.00) -100% $ (75,499.21)Yorkville2020 Public Works Downtown Fence/Railing ITB/RFPOn Hold0.000.500.000.000.000.50bothadministration2020 51.30 $ 25.65 YorkvillePublic Works2020 $ 88.28 $ 44.14 $ (18.49) -42% $ - $ - $ - $ - 0% $ (18.49)Yorkville2020 Public Works EEI Sealed Bid Process DevelopmentResearchComplete1.001.001.500.001.004.50bothadministration2020 51.30 $ 230.84 YorkvillePublic Works2020 $ 88.28 $ 397.24 $ (166.40) -42% $ - $ - $ - $ - 0% $ (166.40)Yorkville2020 Public Works Elizabeth Street BidITB/RFPOpen0.001.000.000.000.501.50bothadministration2020 51.30 $ 76.95 YorkvillePublic Works2020 $ 88.28 $ 132.41 $ (55.47) -42% $ - $ - $ - $ - 0% $ (55.47)Yorkville2020 Public Works Equipment - Salt Spreader PurchasePurchaseComplete1.000.500.500.001.003.00bothadministration2020 51.30 $ 153.89 YorkvillePublic Works2020 $ 88.28 $ 264.83 $ (110.93) -42% $ - $ - $ - $ - 0% $ (110.93)Yorkville2020 Public Works Equipment -Sonetic Headset PurchasePurchaseComplete0.500.500.500.000.502.00bothadministration2020 51.30 $ 102.60 YorkvillePublic Works2020 $ 88.28 $ 176.55 $ (73.96) -42% $ - $ - $ - $ - 0% $ (73.96)Yorkville2020 Public Works Equipment -Truck LiftPurchaseComplete1.000.500.500.000.502.50bothadministration2020 51.30 $ 128.24 YorkvillePublic Works2020 $ 88.28 $ 220.69 $ (92.45) -42% $ - $ - $ - $ - 0% $ (92.45)Yorkville2020 Public Works Fleet - Hydraulic truck lift (2 post) & Toolbox with toolsPurchaseOpen2.502.500.000.000.005.00bothadministration2020 51.30 $ 256.49 YorkvillePublic Works2020 $ 88.28 $ 441.38 $ (184.89) -42% $ 10,000.00 $ - $ - $ (10,000.00) -100% $ (10,184.89)Yorkville2020 Public Works Fleet - One Ton Utility Truck PurchasePurchaseOpen4.006.001.000.002.5013.50bothadministration2020 51.30 $ 692.52 YorkvillePublic Works2020 $ 88.28 $ 1,191.73 $ (499.21) -42% $ 57,000.00 $ - $ - $ (57,000.00) -100% $ (57,499.21)Yorkville2020 Public Works Fleet - Two Rehab Chassis, Plows and Salt Spreaders PurchasePurchaseComplete2.001.502.000.502.508.50bothadministration2020 51.30 $ 436.03 YorkvillePublic Works2020 $ 88.28 $ 750.35 $ (314.31) -42% $ - $ - $ - $ - 0% $ (314.31)Yorkville2020 Public Works Fox Hill and Sunflower Estates SSA Maintenance RFPITB/RFPOpen3.002.000.000.004.009.00bothadministration2020 51.30 $ 461.68 YorkvillePublic Works2020 $ 88.28 $ 794.49 $ (332.80) -42% $ - $ - $ - $ - 0% $ (332.80)Yorkville2020 Public Works Fox Hill and Sunflower Estates SSA Management RFPITB/RFPOpen1.000.500.000.002.003.50bothadministration2020 51.30 $ 179.54 YorkvillePublic Works2020 $ 88.28 $ 308.97 $ (129.42) -42% $ - $ - $ - $ - 0% $ (129.42)Yorkville2020 Public Works Fuel Station ITBITB/RFPOn Hold1.501.501.000.003.007.00bothadministration2020 51.30 $ 359.09 YorkvillePublic Works2020 $ 88.28 $ 617.93 $ (258.85) -42% $ 55,000.00 $ - $ - $ (55,000.00) -100% $ (55,258.85)Yorkville2020 Public Works LED Street Lighting Project ResearchResearchOn Hold2.001.003.500.000.006.50bothadministration2020 51.30 $ 333.44 YorkvillePublic Works2020 $ 88.28 $ 573.79 $ (240.36) -42% $ - $ - $ - $ - 0% $ (240.36)Yorkville2020 Public Works Materials Storage Shed ITBITB/RFPComplete1.501.503.500.002.509.00bothadministration2020 51.30 $ 461.68 YorkvillePublic Works2020 $ 88.28 $ 794.49 $ (332.80) -42% $ 400,000.00 $ 250,000.00 $ - $ (150,000.00) -38% $ (150,332.80)Yorkville2020 Public Works Public Works Facilities Analysis RFQITB/RFPOn Hold5.006.0011.000.0018.0040.00bothadministration2020 51.30 $ 2,051.92 YorkvillePublic Works2020 $ 88.28 $ 3,531.05 $ (1,479.13) -42% $ - $ - $ - $ - 0% $ (1,479.13)Yorkville2020 Public Works Raintree Street Lighting ProjectITB/RFPOpen2.005.002.000.004.5013.50bothadministration2020 51.30 $ 692.52 YorkvillePublic Works2020 $ 88.28 $ 1,191.73 $ (499.21) -42% $ - $ - $ - $ - 0% $ (499.21)Yorkville2020 Public Works SCADA SystemITB/RFPOn Hold0.000.500.000.000.000.50bothadministration2020 51.30 $ 25.65 YorkvillePublic Works2020 $ 88.28 $ 44.14 $ (18.49) -42% $ 10,000.00 $ - $ - $ (10,000.00) -100% $ (10,018.49)Yorkville2020 Public Works Service ContractsContract/PSAOpen3.005.003.000.004.0015.00bothadministration2020 51.30 $ 769.47 YorkvillePublic Works2020 $ 88.28 $ 1,324.14 $ (554.67) -42% $ - $ - $ - $ - 0% $ (554.67)Yorkville2020 Public Works Snow Removal Services RFPITB/RFPOn Hold2.000.501.000.002.005.50bothadministration2020 51.30 $ 282.14 YorkvillePublic Works2020 $ 88.28 $ 485.52 $ (203.38) -42% $ - $ - $ - $ - 0% $ (203.38)Yorkville2020 Public Works Surplus - City Vehicles - 2003 Ford (2303)SurplusComplete0.501.751.000.501.004.75bothadministration2020 51.30 $ 243.67 YorkvillePublic Works2020 $ 88.28 $ 419.31 $ (175.65) -42% $ - $ - $ 400.00 $ 400.00 0% $ 224.35 Yorkville2020 Public Works Surplus - City Vehicles - 5 vehiclesSurplusComplete4.503.007.004.002.5021.00bothadministration2020 51.30 $ 1,077.26 YorkvillePublic Works2020 $ 88.28 $ 1,853.80 $ (776.54) -42% $ - $ - $ 2,250.00 $ 2,250.00 0% $ 1,473.46 Yorkville2020 Public Works Water Tower Painting ITBITB/RFPOn Hold1.001.750.000.002.004.75bothadministration2020 51.30 $ 243.67 YorkvillePublic Works2020 $ 88.28 $ 419.31 $ (175.65) -42% $ - $ - $ - $ - 0% $ (175.65)Yorkville2020 Public Works Well 4 Autotransformer PurchaseITB/RFPComplete1.001.000.500.001.504.00bothadministration2020 51.30 $ 205.19 YorkvillePublic Works2020 $ 88.28 $ 353.10 $ (147.91) -42% $ 45,000.00 $ 44,000.00 $ - $ (1,000.00) -2% $ (1,147.91)TOTALS356.50358.50272.5027.50301.501316.50 $ 67,208.05 $ 105,225.04 $ (38,016.99) -36% $ 1,337,817.27 $ 656,667.80 $ 14,866.50 $ (666,282.97) -51% $ (704,299.96)53
Other
Inter-Licenses &Fines &Charges Investment Reimb-Miscel-Land Financing Fund
FUND Taxes governmental Permits Forfeits for Services Earnings ursements laneous Cash Sources Total
General Fund 11,640,828 2,770,234 474,500 113,000 1,703,239 89,878 88,000 20,000 - 35,000 16,934,679
Special Revenue Funds
Motor Fuel Tax - 809,598 - - - 4,263 - - - - 813,861
Parks and Recreation - - - - 650,000 1,300 - 226,716 - 1,314,316 2,192,332
Land Cash - - - - - - - - 33,858 - 33,858
Countryside TIF 153,965 - - - - - - - - - 153,965
Downtown TIF 76,000 - - - - - - - - - 76,000
Downtown TIF II 25,000 - - - - - - - - - 25,000
Fox Hill SSA 16,034 - - - - - - - - - 16,034
Sunflower SSA 20,363 - - - - - - - - - 20,363
Debt Service Fund - - 8,000 - - - - - - 315,225 323,225
Capital Project Funds
Vehicle & Equipment - - 109,500 8,800 289,059 1,000 43,000 1,000 - - 452,359
City-Wide Capital - - 141,000 - 780,000 1,098 151,572 2,000 - 260,000 1,335,670
Enterprise Funds
Water - - - - 4,350,250 22,557 - 100,260 - 179,020 4,652,087
Sewer - - - - 1,635,650 7,473 - - - 174,744 1,817,867
Library Funds
Library Operations 1,562,000 25,250 - 8,500 12,300 8,959 - 3,750 - 26,584 1,647,343
Library Capital - - 50,000 - - 500 - - - - 50,500
TOTAL REVENUES 13,494,190 3,605,082 783,000 130,300 9,420,498 137,028 282,572 353,726 33,858 2,304,889 30,545,143
United City of Yorkville
Revenues by Category
Fiscal Year 2021
54
Other
Contractual Capital Developer Debt Financing Fund
FUND Salaries Benefits Services Supplies Outlay Contingency Commitments Service Uses Total
General Fund 5,457,149 3,396,428 5,624,652 285,581 - 80,000 - - 2,090,869 16,934,679
Special Revenue Funds
Motor Fuel Tax - - - 175,000 942,462 - - - - 1,117,462
Parks and Recreation 1,172,012 490,032 392,565 507,185 - - - - - 2,561,794
Land Cash - - 5,287 - 145,000 - - - - 150,287
Countryside TIF - - 14,262 - - - - 208,311 - 222,573
Downtown TIF - - 76,548 - 17,488 - - 212,200 - 306,236
Downtown TIF II - - 22,500 - - - - - - 22,500
Fox Hill SSA - - 37,326 - - - - - - 37,326
Sunflower SSA - - 20,326 - - - - - - 20,326
Debt Service Fund - - 475 - - - - 322,750 - 323,225
Capital Project Funds
Vehicle & Equipment - - 11,100 6,664 563,400 - - 71,570 - 652,734
City-Wide Capital - - 250,964 127,000 779,950 - - 321,338 138,895 1,618,147
Enterprise Funds
Water 509,530 242,997 1,079,661 359,273 1,333,243 - - 2,305,935 - 5,830,639
Sewer 256,061 149,064 234,411 68,256 204,361 - - 1,300,798 75,125 2,288,076
Library Funds
Library Operations 479,742 181,677 152,448 25,300 - - - 827,088 - 1,666,255
Library Capital - - 3,500 72,000 - - - - - 75,500
TOTAL EXPENDITURES 7,874,494 4,460,198 7,926,025 1,626,259 3,985,904 80,000 - 5,569,990 2,304,889 33,827,759
United City of Yorkville
Expenditures by Category
Fiscal Year 2021
55
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
FUND Actual Actual Budget Projected Budget Projected Projected Projected Projected
General Fund 6,496,373 6,879,823 5,468,778 7,287,159 7,287,159 6,579,336 5,415,351 4,297,675 2,889,421
Special Revenue Funds
Motor Fuel Tax 698,493 635,382 428,536 648,924 345,323 159,463 50,543 (5,331) (44,123)
Parks and Recreation 473,852 452,914 312,946 369,462 - - - - -
Land Cash (278,204) 211,832 62,362 145,673 29,244 (24,547) (6,022) (6,688) (7,660)
Countryside TIF (459,819) (422,459) (1,077,343) (1,141,344) (1,209,952) (1,146,977) (1,005,229) (855,346) (695,576)
Downtown TIF (681,305) (1,024,518) (1,194,280) (1,242,840) (1,473,076) (1,694,550) (1,705,873) (1,716,472) (1,729,565)
Downtown TIF II - (2,736) (10,000) (68,565) (66,065) (63,565) (43,565) (23,565) (2,109)
Fox Hill SSA 6,556 10,485 9,954 5,678 (15,614) (36,084) (27,298) (15,704) 129
Sunflower SSA (21,251) (22,626) (28,236) (18,667) (18,630) (16,526) (12,246) (7,238) (71)
Debt Service Fund - - - - - - - - -
Capital Project Funds
Vehicle & Equipment 357,246 496,042 263,801 465,388 265,013 261,839 258,665 255,491 252,317
City-Wide Capital 388,897 629,429 (30,817) 371,437 88,960 (37,551) 48,179 25,643 (3,167)
Enterprise Funds *
Water 2,584,259 3,533,027 1,952,155 3,003,158 1,824,606 1,303,595 962,107 2,170,141 3,563,036
Sewer 1,411,053 1,110,251 705,765 1,075,504 605,295 600,902 803,368 1,330,287 1,681,710
Library Funds
Library Operations 510,355 554,271 474,039 574,688 555,776 522,754 475,280 412,978 336,370
Library Capital 58,443 83,260 31,274 129,485 104,485 79,235 53,985 28,735 17,125
Totals 11,544,948 13,124,377 7,368,934 11,605,140 8,322,524 6,487,324 5,267,245 5,890,606 6,257,837
*Fund Balance Equivalent
United City of Yorkville
Fund Balance History
Fiscal Years 2018 - 2025
56
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
FUND Actual Actual Budget Projected Budget Projected Projected Projected Projected
General Fund 15,502,203 16,422,323 16,469,238 16,844,855 16,934,679 17,306,469 17,612,291 17,906,815 18,203,891
Special Revenue Funds
Motor Fuel Tax 504,253 546,082 534,904 728,829 813,861 903,928 919,125 935,126 952,208
Parks and Recreation 1,997,807 2,169,060 2,244,988 2,293,466 2,192,332 2,600,874 2,683,428 2,742,037 2,811,826
Land Cash 135,200 867,591 58,435 38,876 33,858 25,760 24,354 5,454 5,454
Countryside TIF 198,294 198,918 232,318 203,884 153,965 286,900 365,501 374,639 384,005
Downtown TIF 876,186 78,434 80,000 75,759 76,000 78,000 80,000 80,000 80,000
Downtown TIF II - - - 24,171 25,000 33,000 33,000 39,000 39,560
Fox Hill SSA 9,366 13,381 13,381 13,382 16,034 20,012 24,432 28,852 33,272
Sunflower SSA 13,480 15,639 18,140 18,140 20,363 22,586 24,926 27,266 29,606
Debt Service Fund 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
Capital Project Funds
Vehicle & Equipment 441,978 491,695 207,368 1,066,126 452,359 456,431 554,114 404,456 404,155
City-Wide Capital 2,799,288 2,858,794 4,172,029 1,541,100 1,335,670 4,078,364 1,033,712 1,038,379 1,293,000
Enterprise Funds
Water 4,868,202 4,797,761 4,699,931 4,649,405 4,652,087 4,815,621 4,988,998 5,194,137 5,404,952
Sewer 2,849,832 2,423,306 2,149,679 2,234,550 1,817,867 2,265,564 2,714,415 2,899,947 2,945,937
Library Funds
Library Operations 1,479,794 1,548,772 1,576,751 1,590,113 1,647,343 1,683,548 1,714,326 1,758,100 1,780,537
Library Capital 100,537 105,192 50,100 113,725 50,500 50,250 50,250 50,250 50,250
TOTAL REVENUES 32,097,695 32,861,673 32,831,287 31,760,406 30,545,143 34,956,682 33,152,947 33,484,458 34,418,653
United City of Yorkville
Revenue Budget Summary - All Funds
Fiscal Years 2018 - 2025
57
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
FUND Actual Actual Budget Projected Budget Projected Projected Projected Projected
General Fund 15,219,914 16,038,880 16,783,649 16,437,519 16,934,679 18,014,292 18,776,276 19,024,491 19,612,145
Special Revenue Funds
Motor Fuel Tax 597,982 609,195 816,718 715,287 1,117,462 1,089,788 1,028,045 991,000 991,000
Parks and Recreation 1,969,832 2,189,999 2,349,081 2,376,918 2,561,794 2,600,874 2,683,428 2,742,037 2,811,826
Land Cash 663,720 377,555 104,850 105,035 150,287 79,551 5,829 6,120 6,426
Countryside TIF 162,360 161,559 923,808 922,769 222,573 223,925 223,753 224,756 224,235
Downtown TIF 1,655,046 421,646 426,484 294,081 306,236 299,474 91,323 90,599 93,093
Downtown TIF II - 2,736 35,000 90,000 22,500 30,500 13,000 19,000 18,104
Fox Hill SSA 17,552 9,453 30,977 18,189 37,326 40,482 15,646 17,258 17,439
Sunflower SSA 18,957 17,013 13,977 14,181 20,326 20,482 20,646 22,258 22,439
Debt Service Fund 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
Capital Project Funds
Vehicle & Equipment 355,138 352,900 571,726 1,096,780 652,734 459,605 557,288 407,630 407,329
City-Wide Capital 3,765,921 2,618,264 4,798,408 1,799,092 1,618,147 4,204,875 947,982 1,060,915 1,321,810
Enterprise Funds
Water 5,110,084 3,848,997 5,779,725 5,179,274 5,830,639 5,336,632 5,330,486 3,986,103 4,012,057
Sewer 2,816,811 2,724,110 2,546,355 2,269,297 2,288,076 2,269,957 2,511,949 2,373,028 2,594,514
Library Fund
Library Operations 1,458,497 1,504,857 1,620,345 1,569,696 1,666,255 1,716,570 1,761,800 1,820,402 1,857,145
Library Capital 61,999 80,375 75,500 67,500 75,500 75,500 75,500 75,500 61,860
TOTAL EXPENDITURES 34,195,088 31,282,264 37,200,628 33,279,643 33,827,759 36,791,882 34,373,026 32,861,097 34,051,422
United City of Yorkville
Expenditure Budget Summary - All Funds
Fiscal Years 2018 - 2025
58
Beginning Budgeted Budgeted Surplus Ending
FUND Fund Balance Revenues Expenditures (Deficit)Fund Balance
General Fund 7,287,159 16,934,679 16,934,679 - 7,287,159
Special Revenue Funds
Motor Fuel Tax 648,924 813,861 1,117,462 (303,601) 345,323
Parks and Recreation 369,462 2,192,332 2,561,794 (369,462) -
Land Cash 145,673 33,858 150,287 (116,429) 29,244
Countryside TIF (1,141,344) 153,965 222,573 (68,608) (1,209,952)
Downtown TIF (1,242,840) 76,000 306,236 (230,236) (1,473,076)
Downtown TIF II (68,565) 25,000 22,500 2,500 (66,065)
Fox Hill SSA 5,678 16,034 37,326 (21,292) (15,614)
Sunflower SSA (18,667) 20,363 20,326 37 (18,630)
Debt Service Fund - 323,225 323,225 - -
Capital Project Funds
Vehicle & Equipment 465,388 452,359 652,734 (200,375) 265,013
City-Wide Capital 371,437 1,335,670 1,618,147 (282,477) 88,960
Enterprise Funds *
Water 3,003,158 4,652,087 5,830,639 (1,178,552) 1,824,606
Sewer 1,075,504 1,817,867 2,288,076 (470,209) 605,295
Library Funds
Library Operations 574,688 1,647,343 1,666,255 (18,912) 555,776
Library Capital 129,485 50,500 75,500 (25,000) 104,485
Totals 11,605,140 30,545,143 33,827,759 (3,282,616) 8,322,524
*Fund Balance Equivalent
United City of Yorkville
Fiscal Year 2021 Budget
Fund Balance Summary
59
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Taxes10,962,693 11,232,397 11,388,715 11,424,909 11,640,828 11,835,084 12,027,100 12,221,913 12,419,563 Intergovernmental2,296,435 2,725,393 2,703,232 2,873,570 2,770,234 3,003,526 3,071,979 3,140,262 3,211,114 Licenses & Permits364,499 552,416 413,500 500,000 474,500 424,500 424,500 424,500 424,500 Fines & Forfeits123,617 100,726 125,400 80,250 113,000 113,000 113,000 113,000 113,000 Charges for Service1,508,994 1,598,662 1,616,211 1,664,939 1,703,239 1,742,133 1,788,682 1,836,628 1,886,013 Investment Earnings49,018 90,321 80,000 159,952 89,878 81,226 80,030 63,512 42,701 Reimbursements85,579 66,824 75,000 85,035 88,000 52,000 52,000 52,000 52,000 Miscellaneous19,243 25,667 20,000 21,200 20,000 20,000 20,000 20,000 20,000 Other Financing Sources92,125 29,917 47,180 35,000 35,000 35,000 35,000 35,000 35,000 Total Revenue15,502,203 16,422,323 16,469,238 16,844,855 16,934,679 17,306,469 17,612,291 17,906,815 18,203,891 ExpendituresSalaries4,522,164 4,726,744 5,206,755 5,255,703 5,457,149 5,730,958 5,893,722 6,091,669 6,264,344 Benefits2,905,833 2,901,328 3,273,617 3,156,402 3,396,428 3,616,645 3,789,419 3,977,137 4,169,778 Contractual Services4,780,199 5,038,155 5,270,379 5,093,110 5,624,652 5,503,468 5,520,997 5,496,606 5,565,951 Supplies231,954 332,370 452,498 370,563 285,581 270,662 274,460 285,153 288,153 Contingency- - - - 80,000 50,000 50,000 50,000 50,000 Other Financing Uses2,779,764 3,040,283 2,580,400 2,561,741 2,090,869 2,842,559 3,247,678 3,123,926 3,273,919 Total Expenditures15,219,914 16,038,880 16,783,649 16,437,519 16,934,679 18,014,292 18,776,276 19,024,491 19,612,145 Surplus (Deficit)282,289 383,443 (314,411) 407,336 - (707,823) (1,163,985) (1,117,676) (1,408,254) Ending Fund Balance6,496,373 6,879,823 5,468,778 7,287,159 7,287,159 6,579,336 5,415,351 4,297,675 2,889,421 42.68% 42.89% 32.58% 44.33% 43.03% 36.52% 28.84% 22.59% 14.73%GENERAL FUND (01)The General Fund is the City’s primary operating fund. It accounts for major tax revenue used to support administrative and public safety functions. $0$2,000$4,000$6,000$8,000ThousandsFund Balance60
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected Projected
01-000-40-00-4000 PROPERTY TAXES - CORPORATE LEVY 2,129,984 2,191,159 2,119,323 2,123,744 2,107,099 2,144,661 2,187,478 2,229,964 2,271,943
01-000-40-00-4010 PROPERTY TAXES - POLICE PENSION 963,908 958,476 1,105,927 1,108,182 1,230,604 1,268,042 1,300,225 1,332,739 1,365,760
01-000-40-00-4030 MUNICIPAL SALES TAX 3,002,133 3,070,663 3,151,800 3,220,000 3,284,400 3,350,088 3,417,090 3,485,432 3,555,141
01-000-40-00-4035 NON-HOME RULE SALES TAX 2,325,623 2,358,568 2,432,700 2,445,000 2,493,900 2,543,778 2,594,654 2,646,547 2,699,478
01-000-40-00-4040 ELECTRIC UTILITY TAX 702,111 730,949 710,000 715,000 715,000 715,000 715,000 715,000 715,000
01-000-40-00-4041 NATURAL GAS UTILITY TAX 251,555 277,380 250,000 265,000 265,000 265,000 265,000 265,000 265,000
01-000-40-00-4043 EXCISE TAX 334,595 329,742 313,625 255,000 246,075 237,462 229,151 221,131 213,391
01-000-40-00-4044 TELEPHONE UTILITY TAX 8,340 8,340 8,340 8,340 8,340 8,340 8,340 8,340 8,340
01-000-40-00-4045 CABLE FRANCHISE FEES 290,669 301,100 290,000 300,000 300,000 300,000 300,000 300,000 300,000
01-000-40-00-4050 HOTEL TAX 79,602 77,563 80,000 80,000 80,000 80,000 80,000 80,000 80,000
01-000-40-00-4055 VIDEO GAMING TAX 119,733 145,734 140,000 140,000 140,000 140,000 140,000 140,000 140,000
01-000-40-00-4060 AMUSEMENT TAX 199,974 208,315 205,000 205,000 205,000 205,000 205,000 205,000 205,000
01-000-40-00-4065 ADMISSIONS TAX 130,766 148,133 140,000 146,143 145,000 145,000 145,000 145,000 145,000
01-000-40-00-4070 BUSINESS DISTRICT TAX - KENDALL MRKT 374,631 362,874 382,500 358,000 365,160 372,463 379,912 387,510 395,260
01-000-40-00-4071 BUSINESS DISTRICT TAX - DOWNTOWN 24,663 37,075 35,000 30,000 30,000 35,000 35,000 35,000 35,000
01-000-40-00-4072 BUSINESS DISTRICT TAX - COUNTRYSIDE 9,865 10,436 10,000 10,000 10,000 10,000 10,000 10,000 10,000
01-000-40-00-4075 AUTO RENTAL TAX 14,541 15,890 14,500 15,500 15,250 15,250 15,250 15,250 15,250
01-000-41-00-4100 STATE INCOME TAX 1,640,291 1,966,699 1,916,366 2,040,110 1,897,310 2,064,786 2,106,082 2,148,203 2,191,167
01-000-41-00-4105 LOCAL USE TAX 474,797 578,328 602,966 640,090 675,281 740,185 762,391 785,263 808,820
01-000-41-00-4106 CANNABIS EXCISE TAX - - - 618 15,218 16,680 17,181 17,696 18,227
01-000-41-00-4110 ROAD & BRIDGE TAX 131,612 128,668 130,000 131,199 130,000 130,000 135,000 135,000 140,000
01-000-41-00-4120 PERSONAL PROPERTY TAX 14,932 16,154 17,000 16,500 16,500 16,500 16,500 16,500 16,500
01-000-41-00-4160 FEDERAL GRANTS 11,716 13,553 15,000 13,000 14,925 14,375 13,825 16,600 15,400
01-000-41-00-4168 22,201 18,695 21,000 18,553 20,000 20,000 20,000 20,000 20,000
01-000-41-00-4170 STATE GRANTS - 2,413 - 11,639 - - - - -
01-000-41-00-4182 MISC INTERGOVERNMENTAL 886 883 900 1,861 1,000 1,000 1,000 1,000 1,000
01-000-42-00-4200 LIQUOR LICENSES 56,465 65,819 56,000 65,000 65,000 65,000 65,000 65,000 65,000
01-000-42-00-4205 OTHER LICENSES & PERMITS 9,472 10,395 7,500 10,000 9,500 9,500 9,500 9,500 9,500
01-000-42-00-4210 BUILDING PERMITS 298,562 476,202 350,000 425,000 400,000 350,000 350,000 350,000 350,000
01-000-43-00-4310 CIRCUIT COURT FINES 44,597 37,822 45,000 35,000 40,000 40,000 40,000 40,000 40,000
01-000-43-00-4320 ADMINISTRATIVE ADJUDICATION 27,250 26,275 30,000 25,000 27,500 27,500 27,500 27,500 27,500
01-000-43-00-4323 OFFENDER REGISTRATION FEES 695 420 400 250 500 500 500 500 500
01-000-43-00-4325 POLICE TOWS 51,075 36,209 50,000 20,000 45,000 45,000 45,000 45,000 45,000
01-000-44-00-4400 GARBAGE SURCHARGE 1,135,035 1,203,851 1,224,875 1,266,000 1,297,650 1,330,091 1,369,994 1,411,094 1,453,427
01-000-44-00-4405 UB COLLECTION FEES 163,782 178,775 165,000 165,000 165,000 165,000 165,000 165,000 165,000
01-000-44-00-4407 LATE PENALTIES - GARBAGE 21,213 21,649 21,000 25,000 25,000 25,000 25,000 25,000 25,000
01-000-44-00-4415 ADMINISTRATIVE CHARGEBACK 188,064 194,387 204,836 204,836 215,089 221,542 228,188 235,034 242,086
01-000-44-00-4474 POLICE SPECIAL DETAIL 900 - 500 4,103 500 500 500 500 500
01-000-45-00-4500 40,479 90,321 80,000 120,000 89,878 81,226 80,030 63,512 42,701
GENERAL FUND - 01
Description
INVESTMENT EARNINGS
STATE GRANTS - TRAFFIC SIGNAL MAINTENANCE
61
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
01-000-45-00-4550 GAIN ON INVESTMENT 8,539 - - 39,952 - - - - -
01-000-46-00-4604 REIMB - ENGINEERING EXPENSES 1,154 - 25,000 11,035 25,000 25,000 25,000 25,000 25,000
01-000-46-00-4680 REIMB - LIABILITY INSURANCE 11,582 2,809 10,000 15,000 15,000 15,000 15,000 15,000 15,000
01-000-46-00-4685 REIMB - CABLE CONSORTIUM 35,217 36,358 35,000 36,000 36,000 - - - -
01-000-46-00-4690 REIMB - MISCELLANEOUS 37,626 27,657 5,000 23,000 12,000 12,000 12,000 12,000 12,000
01-000-48-00-4820 RENTAL INCOME 7,100 7,435 7,000 7,000 7,000 7,000 7,000 7,000 7,000
01-000-48-00-4850 MISCELLANEOUS INCOME 12,143 18,232 13,000 14,200 13,000 13,000 13,000 13,000 13,000
01-000-49-00-4916 TRANSFER FROM CW MUNICIPAL BUILDING 92,125 29,917 47,180 35,000 35,000 35,000 35,000 35,000 35,000
Revenue 15,502,203 16,422,323 16,469,238 16,844,855 16,934,679 17,306,469 17,612,291 17,906,815 18,203,891
62
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 518,618 573,048 600,095 592,100 611,747 628,254 645,257 693,070 711,108
Benefits 201,497 216,185 220,528 221,195 214,050 226,385 240,417 255,180 269,298
Contractual Services 131,910 135,229 134,061 143,032 150,031 157,938 165,036 159,234 165,875
Supplies 8,832 10,280 10,000 10,000 19,000 10,000 10,000 10,000 10,000
Total Administration 860,857 934,742 964,684 966,327 994,828 1,022,577 1,060,710 1,117,484 1,156,281
ADMINISTRATION DEPARTMENT
The Administration Department includes both elected official and management expenditures. The executive and legislative branches consist of the Mayor and an eight member City
Council. The city administrator is hired by the Mayor with the consent of the City Council. City staff report to the city administrator. It is the role of the city administrator to direct
staff in the daily administration of City services.
$0
$200
$400
$600
$800
$1,000
$1,200
$1,400
Thousands63
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Administration
01-110-50-00-5001 SALARIES - MAYOR 9,970 9,570 11,000 10,000 10,500 10,500 10,500 18,000 18,000
01-110-50-00-5002 SALARIES - LIQUOR COMM 1,000 1,000 1,000 1,000 1,000 1,000 1,000 1,000 1,000
01-110-50-00-5003 SALARIES - CITY CLERK 7,035 7,087 - 600 - - - - -
01-110-50-00-5004 SALARIES - CITY TREASURER 1,000 1,000 - - - - - - -
01-110-50-00-5005 SALARIES - ALDERMAN 48,225 46,825 50,000 49,000 50,000 50,000 50,000 72,800 72,800
01-110-50-00-5010 SALARIES - ADMINISTRATION 451,388 507,566 538,095 531,500 550,247 566,754 583,757 601,270 619,308
01-110-52-00-5212 RETIREMENT PLAN CONTRIBUTION 48,542 51,208 49,367 53,000 62,251 64,893 68,533 72,152 74,317
01-110-52-00-5214 FICA CONTRIBUTION 35,304 38,889 41,686 41,686 43,010 44,300 45,629 46,998 48,408
01-110-52-00-5216 GROUP HEALTH INSURANCE 109,134 116,611 120,064 117,098 100,142 108,153 116,805 126,149 136,241
01-110-52-00-5222 GROUP LIFE INSURANCE 543 494 428 428 428 432 436 440 444
01-110-52-00-5223 DENTAL INSURANCE 7,013 7,853 7,853 7,853 7,089 7,443 7,815 8,206 8,616
01-110-52-00-5224 VISION INSURANCE 961 1,130 1,130 1,130 1,130 1,164 1,199 1,235 1,272
01-110-54-00-5410 TUITION REIMBURSEMENT 5,110 12,864 - - - - - - -
01-110-54-00-5412 TRAINING & CONFERENCES 16,060 10,167 17,000 17,000 16,000 17,000 17,000 17,000 17,000
01-110-54-00-5415 TRAVEL & LODGING 11,408 6,952 10,000 10,000 10,000 10,000 10,000 10,000 10,000
01-110-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 2,081 3,767 3,767 - 3,634 8,334 - 3,970
01-110-54-00-5426 PUBLISHING & ADVERTISING 2,547 2,269 5,000 5,000 4,000 5,000 5,000 5,000 5,000
01-110-54-00-5430 PRINTING & DUPLICATING 4,139 2,456 3,250 3,250 3,250 3,250 3,250 3,250 3,250
01-110-54-00-5440 TELECOMMUNICATIONS 17,634 17,788 19,000 19,000 22,300 22,300 22,300 22,300 22,300
01-110-54-00-5448 FILING FEES 51 183 500 500 500 500 500 500 500
01-110-54-00-5451 CODIFICATION 2,864 7,808 5,000 5,000 10,000 10,000 10,000 10,000 10,000
01-110-54-00-5452 POSTAGE & SHIPPING 1,802 1,518 3,000 3,000 3,000 3,000 3,000 3,000 3,000
01-110-54-00-5460 DUES & SUBSCRIPTIONS 19,620 21,775 20,000 20,000 22,000 22,000 22,000 22,000 22,000
01-110-54-00-5462 PROFESSIONAL SERVICES 10,451 6,791 12,000 12,000 12,000 12,000 12,000 12,000 12,000
01-110-54-00-5480 UTILITIES 26,800 29,317 20,787 30,000 31,800 33,708 35,730 37,874 40,146
01-110-54-00-5485 RENTAL & LEASE PURCHASE 2,102 1,844 3,000 3,000 3,000 3,000 3,000 3,000 3,000
01-110-54-00-5488 OFFICE CLEANING 11,322 11,416 11,757 11,515 12,181 12,546 12,922 13,310 13,709
01-110-56-00-5610 OFFICE SUPPLIES 8,832 10,280 10,000 10,000 19,000 10,000 10,000 10,000 10,000
860,857 934,742 964,684 966,327 994,828 1,022,577 1,060,710 1,117,484 1,156,281
64
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 251,587 271,575 301,372 293,000 324,856 334,602 344,640 354,979 365,628
Benefits 106,348 112,499 119,719 110,903 124,708 131,942 140,177 148,841 157,124
Contractual Services 84,202 88,505 110,150 105,900 111,857 116,416 120,576 120,638 120,703
Supplies 1,898 1,345 2,500 2,500 2,500 2,500 2,500 2,500 2,500
Total Finance 444,035 473,924 533,741 512,303 563,921 585,460 607,893 626,958 645,955
FINANCE DEPARTMENT
The Finance Department is responsible for the accounting, internal controls, external reporting and auditing of all financial transactions. The Finance Department is in charge of
preparing for the annual audit, utility billing, receivables, payables, treasury management and payroll and works with administration in the preparation of the annual budget. Personnel
are budgeted in the General and Water Funds.
$0
$100
$200
$300
$400
$500
$600
$700
Thousands65
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Finance
01-120-50-00-5010 SALARIES & WAGES 251,587 271,575 301,372 293,000 324,856 334,602 344,640 354,979 365,628
01-120-52-00-5212 RETIREMENT PLAN CONTRIBUTION 27,110 27,428 27,649 29,500 36,752 38,312 40,461 42,597 43,875
01-120-52-00-5214 FICA CONTRIBUTION 18,776 19,526 21,574 21,574 23,420 24,123 24,847 25,592 26,360
01-120-52-00-5216 GROUP HEALTH INSURANCE 54,102 59,400 64,351 53,684 58,979 63,697 68,793 74,296 80,240
01-120-52-00-5222 GROUP LIFE INSURANCE 334 246 246 246 246 248 250 253 256
01-120-52-00-5223 DENTAL INSURANCE 5,319 5,192 5,192 5,192 4,604 4,834 5,076 5,330 5,597
01-120-52-00-5224 VISION INSURANCE 707 707 707 707 707 728 750 773 796
01-120-54-00-5412 TRAINING & CONFERENCES 3,515 2,432 3,500 3,500 3,500 3,500 3,500 3,500 3,500
01-120-54-00-5414 AUDITING SERVICES 29,000 29,800 34,100 30,600 31,400 35,900 40,000 40,000 40,000
01-120-54-00-5415 TRAVEL & LODGING 446 160 1,000 500 600 600 600 600 600
01-120-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - - 1,900 1,900 1,957 2,016 2,076 2,138 2,203
01-120-54-00-5430 PRINTING & DUPLICATING 2,989 2,804 3,500 3,500 3,500 3,500 3,500 3,500 3,500
01-120-54-00-5440 TELECOMMUNICATIONS 1,104 1,165 1,250 1,000 1,000 1,000 1,000 1,000 1,000
01-120-54-00-5452 POSTAGE & SHIPPING 897 991 1,200 1,200 1,200 1,200 1,200 1,200 1,200
01-120-54-00-5460 DUES & SUBSCRIPTIONS 985 1,165 1,500 1,500 1,500 1,500 1,500 1,500 1,500
01-120-54-00-5462 PROFESSIONAL SERVICES 43,325 48,322 60,000 60,000 65,000 65,000 65,000 65,000 65,000
01-120-54-00-5485 RENTAL & LEASE PURCHASE 1,941 1,666 2,200 2,200 2,200 2,200 2,200 2,200 2,200
01-120-56-00-5610 OFFICE SUPPLIES 1,898 1,345 2,500 2,500 2,500 2,500 2,500 2,500 2,500
444,035 473,924 533,741 512,303 563,921 585,460 607,893 626,958 645,955
66
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 2,911,083 3,000,199 3,349,248 3,441,000 3,434,608 3,650,576 3,753,763 3,860,046 3,969,517
Benefits 1,915,338 1,878,152 2,175,164 2,069,887 2,213,060 2,360,162 2,463,740 2,572,773 2,687,348
Contractual Services 354,356 288,525 294,812 278,897 331,025 360,534 434,577 356,445 344,612
Supplies 102,776 184,259 116,000 114,750 113,480 115,537 117,751 126,781 128,035
Total Police 5,283,553 5,351,135 5,935,224 5,904,534 6,092,173 6,486,809 6,769,831 6,916,045 7,129,512
POLICE DEPARTMENT
The mission of the Yorkville Police Department is to work in partnership with the community to protect life and property, assist neighborhoods with solving their problems and enhance
the quality of life in our City.
$0
$1,000
$2,000
$3,000
$4,000
$5,000
$6,000
$7,000
$8,000
Thousands67
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Police
01-210-50-00-5008 SALARIES - POLICE OFFICERS 1,652,672 1,683,202 1,924,224 1,890,000 1,981,203 2,040,639 2,101,858 2,164,914 2,229,861
01-210-50-00-5011 SALARIES - COMMAND STAFF 365,716 445,280 396,159 474,500 394,401 525,493 541,258 557,496 574,221
01-210-50-00-5012 SALARIES - SERGEANTS 588,265 552,940 644,811 700,000 664,437 684,370 704,901 726,048 747,829
01-210-50-00-5013 SALARIES - POLICE CLERKS 141,996 162,466 175,554 170,000 183,567 189,074 194,746 200,588 206,606
01-210-50-00-5014 SALARIES - CROSSING GUARD 24,855 29,460 27,500 30,000 30,000 30,000 30,000 30,000 30,000
01-210-50-00-5015 PART-TIME SALARIES 39,961 34,390 70,000 65,500 70,000 70,000 70,000 70,000 70,000
01-210-50-00-5020 OVERTIME 97,618 92,461 111,000 111,000 111,000 111,000 111,000 111,000 111,000
01-210-52-00-5212 RETIREMENT PLAN CONTRIBUTION 15,192 16,262 16,106 17,000 20,767 21,649 22,863 24,071 24,793
01-210-52-00-5213 966,211 963,361 1,111,484 1,111,484 1,230,604 1,268,042 1,300,225 1,332,739 1,365,760
01-210-52-00-5214 FICA CONTRIBUTION 215,493 219,536 245,951 258,000 253,963 270,705 278,826 287,191 295,807
01-210-52-00-5216 GROUP HEALTH INSURANCE 659,332 624,253 741,025 629,898 656,733 744,229 803,767 868,068 937,513
01-210-52-00-5222 GROUP LIFE INSURANCE 3,620 2,281 2,748 2,562 2,714 2,825 2,853 2,882 2,911
01-210-52-00-5223 DENTAL INSURANCE 48,896 46,051 50,770 44,632 41,677 45,669 47,952 50,350 52,868
01-210-52-00-5224 VISION INSURANCE 6,594 6,408 7,080 6,311 6,602 7,043 7,254 7,472 7,696
01-210-54-00-5410 TUITION REIMBURSEMENT 8,442 10,050 17,272 15,000 15,000 17,654 6,800 - -
01-210-54-00-5411 POLICE COMMISSION 13,844 9,846 4,000 4,000 17,250 4,000 6,000 17,250 6,000
01-210-54-00-5412 TRAINING & CONFERENCE 16,862 27,103 21,000 19,000 25,500 25,500 25,500 25,500 25,500
01-210-54-00-5415 TRAVEL & LODGING 7,541 1,713 10,000 5,000 10,000 10,000 10,000 10,000 10,000
01-210-54-00-5422 VEHICLE & EQUIPMENT CHARGEBACK 130,208 77,158 24,032 24,032 63,844 99,950 164,950 99,950 99,950
01-210-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 6,115 16,000 16,000 - 3,634 21,155 3,185 2,203
01-210-54-00-5430 PRINTING & DUPLICATING 5,713 3,402 4,500 4,750 5,000 5,000 5,000 5,000 5,000
01-210-54-00-5440 TELECOMMUNICATIONS 34,985 42,738 40,000 41,000 42,000 42,000 42,000 42,000 42,000
01-210-54-00-5452 POSTAGE & SHIPPING 944 1,187 1,600 1,100 1,200 1,200 1,200 1,200 1,200
01-210-54-00-5460 DUES & SUBSCRIPTIONS 5,985 10,490 9,000 13,000 10,700 10,700 10,700 10,700 10,700
01-210-54-00-5462 PROFESSIONAL SERVICES 41,679 21,328 42,500 42,500 36,750 36,750 36,750 36,750 36,750
01-210-54-00-5467 ADJUDICATION SERVICES 12,871 12,925 20,000 20,000 20,000 20,000 20,000 20,000 20,000
01-210-54-00-5469 NEW WORLD & LIVE SCAN 1,995 - 2,000 2,000 2,000 2,000 2,000 2,000 2,000
01-210-54-00-5472 KENDALL CO JUVE PROBATION 3,584 3,717 4,000 4,000 4,000 4,000 4,000 4,000 4,000
01-210-54-00-5484 MDT - ALERTS FEE 6,660 - - - - - - - -
01-210-54-00-5485 RENTAL & LEASE PURCHASE 5,362 5,702 7,150 6,000 5,600 5,600 5,600 5,600 5,600
01-210-54-00-5488 OFFICE CLEANING 11,323 11,416 11,758 11,515 12,181 12,546 12,922 13,310 13,709
01-210-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 46,358 43,635 60,000 50,000 60,000 60,000 60,000 60,000 60,000
01-210-56-00-5600 WEARING APPAREL 12,312 29,110 15,000 25,000 15,000 15,000 15,000 15,000 15,000
01-210-56-00-5610 OFFICE SUPPLIES 2,669 2,665 4,500 3,250 4,500 4,500 4,500 4,500 4,500
01-210-56-00-5620 OPERATING SUPPLIES 13,029 79,069 16,000 10,000 16,500 16,500 16,500 16,500 16,500
01-210-56-00-5650 COMMUNITY SERVICES 1,883 1,446 1,500 1,500 1,500 1,500 1,500 1,500 1,500
EMPLOYER CONTRIBUTION - POLICE PENSION
68
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
01-210-56-00-5690 BALLISTIC VESTS 4,149 7,350 6,000 6,000 3,850 2,750 1,650 7,200 4,800
01-210-56-00-5695 GASOLINE 58,739 54,704 63,000 59,000 63,130 66,287 69,601 73,081 76,735
01-210-56-00-5696 AMMUNITION 9,995 9,915 10,000 10,000 9,000 9,000 9,000 9,000 9,000
5,283,553 5,351,135 5,935,224 5,904,534 6,092,173 6,486,809 6,769,831 6,916,045 7,129,512
69
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 427,777 467,435 520,619 510,000 535,995 552,075 568,637 585,696 603,267
Benefits 151,538 166,052 184,592 192,379 204,057 215,846 229,273 243,398 256,878
Contractual Services 44,147 227,722 220,320 170,320 194,700 112,700 121,606 115,972 114,700
Supplies 6,431 7,836 7,655 9,400 9,691 9,913 10,146 10,391 10,648
Total Community Development 629,893 869,045 933,186 882,099 944,443 890,534 929,662 955,457 985,493
COMMUNITY DEVELOPMENT DEPARTMENT
The primary focus of the Community Development Department is to ensure that all existing and new construction is consistent with the overall development goals of the City which
entails short and long-range planning, administration of zoning regulations, building permits issuance and code enforcement. The department also provides staff support to the City
Council, Plan Commission, Zoning Board of Appeals and Park Board and assists in the review of all development plans proposed within the United City of Yorkville.
$0
$200
$400
$600
$800
$1,000
$1,200
Thousands70
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Community Development
01-220-50-00-5010 SALARIES & WAGES 408,213 465,031 520,619 510,000 535,995 552,075 568,637 585,696 603,267
01-220-50-00-5015 PART-TIME SALARIES 19,564 2,404 - - - - - - -
01-220-52-00-5212 RETIREMENT PLAN CONTRIBUTION 43,851 46,722 47,763 51,000 60,639 63,213 66,758 70,284 72,392
01-220-52-00-5214 FICA CONTRIBUTION 31,813 34,486 38,317 38,317 39,552 40,739 41,961 43,220 44,517
01-220-52-00-5216 GROUP HEALTH INSURANCE 69,021 77,686 90,471 94,490 95,834 103,501 111,781 120,723 130,381
01-220-52-00-5222 GROUP LIFE INSURANCE 491 375 429 439 446 450 455 460 465
01-220-52-00-5223 DENTAL INSURANCE 5,590 5,893 6,603 7,052 6,505 6,830 7,172 7,531 7,908
01-220-52-00-5224 VISION INSURANCE 772 890 1,009 1,081 1,081 1,113 1,146 1,180 1,215
01-220-54-00-5412 TRAINING & CONFERENCES 4,876 4,645 7,300 7,300 7,300 7,300 7,300 7,300 7,300
01-220-54-00-5415 TRAVEL & LODGING 7,677 4,713 6,500 6,500 6,500 6,500 6,500 6,500 6,500
01-220-54-00-5422 VEHICLE & EQUIPMENT CHARGEBACK - 44,985 - - - - - - -
01-220-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - - 4,120 4,120 - - 6,906 1,272 -
01-220-54-00-5426 PUBLISHING & ADVERTISING 2,169 3,433 2,500 2,500 2,500 2,500 2,500 2,500 2,500
01-220-54-00-5430 PRINTING & DUPLICATING 1,367 1,254 1,500 1,500 1,500 1,500 1,500 1,500 1,500
01-220-54-00-5440 TELECOMMUNICATIONS 4,098 3,914 4,000 4,000 4,000 4,000 4,000 4,000 4,000
01-220-54-00-5452 POSTAGE & SHIPPING 591 687 1,000 1,000 500 1,000 1,000 1,000 1,000
01-220-54-00-5459 INSPECTIONS 1,785 102,073 125,000 75,000 70,000 75,000 75,000 75,000 75,000
01-220-54-00-5460 DUES & SUBSCRIPTIONS 2,141 2,876 2,750 2,750 2,750 2,750 2,750 2,750 2,750
01-220-54-00-5462 PROFESSIONAL SERVICES 16,311 56,442 62,500 62,500 92,500 4,000 6,000 6,000 6,000
01-220-54-00-5485 RENTAL & LEASE PURCHASE 3,132 2,700 3,150 3,150 3,150 3,150 3,150 3,150 3,150
01-220-54-00-5490 VEHICLE MAINTENANCE SERVICES - - - - 4,000 5,000 5,000 5,000 5,000
01-220-56-00-5610 OFFICE SUPPLIES 1,707 1,132 1,500 1,500 1,500 1,500 1,500 1,500 1,500
01-220-56-00-5620 OPERATING SUPPLIES 2,699 4,411 3,750 3,750 3,750 3,750 3,750 3,750 3,750
01-220-56-00-5695 GASOLINE 2,025 2,293 2,405 4,150 4,441 4,663 4,896 5,141 5,398
629,893 869,045 933,186 882,099 944,443 890,534 929,662 955,457 985,493
71
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 395,459 414,487 434,921 415,500 549,443 564,951 580,925 597,378 614,324
Benefits 196,203 192,711 193,915 190,730 247,576 262,664 279,649 297,612 315,237
Contractual Services 1,239,831 1,344,900 1,390,015 1,414,039 1,591,767 1,604,944 1,665,458 1,685,563 1,728,552
Supplies 97,088 125,841 301,343 218,913 125,910 117,712 119,063 120,481 121,970
Total Public Works 1,928,581 2,077,939 2,320,194 2,239,182 2,514,696 2,550,271 2,645,095 2,701,034 2,780,083
PUBLIC WORKS DEPARTMENT - STREET OPERATIONS / HEALTH & SANITATION
The Public Works Department is an integral part of the United City of Yorkville. We provide high quality drinking water, efficient disposal of sanitary waste and maintain a
comprehensive road and storm sewer network to ensure the safety and quality of life for the citizens of Yorkville.
$0
$500
$1,000
$1,500
$2,000
$2,500
$3,000
Thousands72
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Public Works - Street Operations
01-410-50-00-5010 SALARIES & WAGES 360,757 378,009 402,421 383,000 516,943 532,451 548,425 564,878 581,824
01-410-50-00-5015 PART-TIME SALARIES 8,550 13,430 12,500 12,500 12,500 12,500 12,500 12,500 12,500
01-410-50-00-5020 OVERTIME 26,152 23,048 20,000 20,000 20,000 20,000 20,000 20,000 20,000
01-410-52-00-5212 RETIREMENT PLAN CONTRIBUTION 41,337 40,023 38,754 40,000 60,746 63,256 66,733 70,185 72,219
01-410-52-00-5214 FICA CONTRIBUTION 29,271 30,330 31,902 31,902 40,268 41,476 42,720 44,002 45,322
01-410-52-00-5216 GROUP HEALTH INSURANCE 116,109 113,502 114,394 110,163 136,263 147,164 158,937 171,652 185,384
01-410-52-00-5222 GROUP LIFE INSURANCE 594 428 437 391 499 504 509 514 519
01-410-52-00-5223 DENTAL INSURANCE 7,827 7,363 7,363 7,256 8,474 8,898 9,343 9,810 10,301
01-410-52-00-5224 VISION INSURANCE 1,065 1,065 1,065 1,018 1,326 1,366 1,407 1,449 1,492
01-410-54-00-5412 TRAINING & CONFERENCES 2,603 1,476 3,000 3,000 4,500 4,500 4,500 4,500 4,500
01-410-54-00-5415 TRAVEL & LODGING 706 950 2,000 2,000 2,500 2,500 2,500 2,500 2,500
01-410-54-00-5422 VEHICLE & EQUIPMENT CHARGEBACK - - - - 142,551 119,646 133,646 119,646 119,646
01-410-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 316 6,733 6,733 - 1,618 7,624 - -
01-410-54-00-5435 TRAFFIC SIGNAL MAINTENANCE 8,795 6,201 30,000 30,000 20,000 20,000 20,000 20,000 20,000
01-410-54-00-5440 TELECOMMUNICATIONS 3,433 3,725 3,750 3,750 7,600 7,600 7,600 7,600 7,600
01-410-54-00-5455 MOSQUITO CONTROL 7,142 - 6,281 - 6,300 6,615 6,946 7,293 7,658
01-410-54-00-5458 TREE & STUMP MAINTENANCE 5,725 10,245 15,000 10,000 13,000 13,000 13,000 13,000 13,000
01-410-54-00-5462 PROFESSIONAL SERVICES 3,489 5,758 6,825 6,825 9,225 9,225 9,225 9,225 9,225
01-410-54-00-5483 JULIE SERVICES - 2,190 3,000 3,000 3,000 3,000 3,000 3,000 3,000
01-410-54-00-5485 RENTAL & LEASE PURCHASE 1,238 2,124 6,000 6,000 6,000 6,000 6,000 6,000 6,000
01-410-54-00-5488 OFFICE CLEANING 1,164 1,020 1,051 731 788 812 836 861 887
01-410-54-00-5490 VEHICLE MAINTENANCE SERVICES 64,919 105,158 65,000 65,000 65,000 65,000 65,000 65,000 65,000
01-410-56-00-5600 WEARING APPAREL 6,632 3,584 5,100 5,100 5,000 5,000 5,000 5,000 5,000
01-410-56-00-5618 SALT & CALCIUM CHLORIDE - - 157,500 57,070 - - - - -
01-410-56-00-5620 OPERATING SUPPLIES 18,832 37,460 40,000 58,000 19,450 22,000 22,000 22,000 22,000
01-410-56-00-5628 VEHICLE MAINTENANCE SUPPLIES 27,125 32,735 30,000 30,000 42,000 30,000 30,000 30,000 30,000
01-410-56-00-5630 SMALL TOOLS & EQUIPMENT 3,288 1,613 18,500 18,500 7,500 7,500 7,500 7,500 7,500
01-410-56-00-5640 REPAIR & MAINTENANCE 19,339 29,897 25,000 25,000 24,000 25,000 25,000 25,000 25,000
01-410-56-00-5665 JULIE SUPPLIES - 380 1,200 1,200 2,234 1,200 1,200 1,200 1,200
01-410-56-00-5695 GASOLINE 21,872 20,172 24,043 24,043 25,726 27,012 28,363 29,781 31,270
787,964 872,202 1,078,819 962,182 1,203,393 1,204,843 1,259,514 1,274,096 1,310,547
Public Works - Health & Sanitation
01-540-54-00-5441 GARBAGE SERVICES - SENIOR SUBSIDY 31,147 32,799 34,081 35,000 35,875 36,772 37,875 39,011 40,181
01-540-54-00-5442 GARBAGE SERVICES 1,105,630 1,166,218 1,200,294 1,236,000 1,268,428 1,301,656 1,340,706 1,380,927 1,422,355
01-540-54-00-5443 LEAF PICKUP 3,840 6,720 7,000 6,000 7,000 7,000 7,000 7,000 7,000
1,140,617 1,205,737 1,241,375 1,277,000 1,311,303 1,345,428 1,385,581 1,426,938 1,469,536
1,928,581 2,077,939 2,320,194 2,239,182 2,514,696 2,550,271 2,645,095 2,701,034 2,780,083 Total Public Works
73
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Expenditures
Salaries 17,640 - 500 4,103 500 500 500 500 500
Benefits 334,909 335,729 379,699 371,308 392,977 419,646 436,163 459,333 483,893
Contractual Services 2,925,753 2,953,274 3,121,021 2,980,922 3,245,272 3,150,936 3,013,744 3,058,754 3,091,509
Supplies 14,929 2,809 15,000 15,000 15,000 15,000 15,000 15,000 15,000
Contingency - - - - 80,000 50,000 50,000 50,000 50,000
Other Financing Uses 2,779,764 3,040,283 2,580,400 2,561,741 2,090,869 2,842,559 3,247,678 3,123,926 3,273,919
Total Admin Services & Transfers 6,072,995 6,332,095 6,096,620 5,933,074 5,824,618 6,478,641 6,763,085 6,707,513 6,914,821
ADMINISTRATIVE SERVICES DEPARTMENT
The Administrative Services Department accounts for General Fund expenditures that are shared by all departments and cannot be easily classified in one department or the
other. These expenditures include such items as tax rebates, bad debt, information technology, shared services, engineering services, corporate legal expenditures and interfund
transfers.
$5,200
$5,400
$5,600
$5,800
$6,000
$6,200
$6,400
$6,600
$6,800
$7,000
Thousands74
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Administrative Services
01-640-50-00-5016 SALARIES - SPECIAL CENSUS 16,740 - - - - - - - -
01-640-50-00-5092 POLICE SPECIAL DETAIL WAGES 900 - 500 4,103 500 500 500 500 500
01-640-52-00-5214 FICA CONTRIBUTION - SPECIAL CENSUS 1,281 - - - - - - - -
01-640-52-00-5230 UNEMPLOYMENT INSURANCE 6,402 16,317 15,000 15,000 15,000 15,000 15,000 15,000 15,000
01-640-52-00-5231 LIABILITY INSURANCE 294,582 298,408 316,374 312,440 343,684 364,305 386,163 409,333 433,893
01-640-52-00-5240 RETIREES - GROUP HEALTH INSURANCE 31,857 20,877 47,796 42,356 33,790 39,946 35,000 35,000 35,000
01-640-52-00-5241 RETIREES - DENTAL INSURANCE 554 86 449 1,314 423 333 - - -
01-640-52-00-5242 RETIREES - VISION INSURANCE 233 41 80 198 80 62 - - -
01-640-54-00-5418 PURCHASING SERVICES 54,535 42,953 50,465 53,750 59,664 64,187 65,349 66,207 71,330
01-640-54-00-5423 IDOR ADMINISTRATION FEE 51,945 45,372 44,689 46,220 47,047 47,998 48,869 49,759 50,669
01-640-54-00-5427 GC HOUSING RENTAL ASSISTANCE 1,034 6,555 7,800 8,148 9,843 10,827 11,910 13,101 14,411
01-640-54-00-5428 UTILITY TAX REBATE 14,375 3,305 14,375 14,375 14,375 14,375 - - -
01-640-54-00-5432 FACILITY MANAGEMENT SERVICES 1,072 53,471 57,425 57,425 64,443 65,510 68,686 74,158 75,521
01-640-54-00-5439 AMUSEMENT TAX REBATE 47,723 44,548 60,000 46,000 46,000 37,500 25,000 20,833 -
01-640-54-00-5449 KENCOM 119,698 106,287 126,109 105,858 154,350 145,928 161,021 175,423 193,465
01-640-54-00-5450 INFORMATION TECHNOLOGY SERVICES 203,809 203,631 255,000 240,033 392,681 382,500 225,000 225,000 225,000
01-640-54-00-5456 CORPORATE COUNSEL 99,701 134,248 115,000 85,000 110,000 110,000 110,000 110,000 110,000
01-640-54-00-5461 LITIGATION COUNSEL 188,411 78,469 120,000 60,000 110,000 110,000 110,000 110,000 110,000
01-640-54-00-5462 PROFESSIONAL SERVICES - 21,042 38,670 38,670 8,250 8,250 8,250 8,250 8,250
01-640-54-00-5463 SPECIAL COUNSEL 9,511 55,901 25,000 50,000 25,000 25,000 25,000 25,000 25,000
01-640-54-00-5465 ENGINEERING SERVICES 379,663 385,933 390,000 390,000 390,000 390,000 390,000 390,000 390,000
01-640-54-00-5473 KENDALL AREA TRANSIT 23,550 23,550 25,000 23,550 25,000 25,000 25,000 25,000 25,000
01-640-54-00-5475 CABLE CONSORTIUM FEE 96,010 101,403 96,000 104,000 105,000 - - - -
01-640-54-00-5478 SPECIAL CENSUS 3,349 - - - - - - - -
01-640-54-00-5481 HOTEL TAX REBATE 71,642 69,807 72,000 72,000 72,000 72,000 72,000 72,000 72,000
01-640-54-00-5486 ECONOMIC DEVELOPMENT 145,989 161,950 146,000 157,970 160,000 160,000 160,000 160,000 160,000
01-640-54-00-5491 CITY PROPERTY TAX REBATE 1,233 1,233 1,500 1,258 1,300 1,350 1,350 1,400 1,400
01-640-54-00-5492 SALES TAX REBATE 879,122 862,920 912,900 888,982 906,762 924,897 943,395 962,263 981,508
01-640-54-00-5493 BUSINESS DISTRICT REBATE 401,611 402,177 421,088 390,040 397,057 409,114 416,414 423,860 431,455
01-640-54-00-5494 ADMISSIONS TAX REBATE 130,766 148,133 140,000 146,143 145,000 145,000 145,000 145,000 145,000
01-640-54-00-5499 BAD DEBT 1,004 386 2,000 1,500 1,500 1,500 1,500 1,500 1,500
01-640-56-00-5625 REIMBURSABLE REPAIRS 14,929 2,809 15,000 15,000 15,000 15,000 15,000 15,000 15,000
01-640-70-00-7799 CONTINGENCY - - - - 80,000 50,000 50,000 50,000 50,000
01-640-99-00-9915 TRANSFER TO MOTOR FUEL TAX 268 - - - - - - - -
01-640-99-00-9923 TRANSFER TO CITY-WIDE CAPITAL - 569,725 250,000 235,663 260,000 185,436 100,000 100,000 178,400
01-640-99-00-9942 TRANSFER TO DEBT SERVICE 309,972 315,781 319,379 315,825 315,225 321,375 322,075 - -
75
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
01-640-99-00-9952 TRANSFER TO SEWER 1,137,166 856,583 575,030 575,030 174,744 586,749 994,479 1,134,606 1,136,806
01-640-99-00-9979 TRANSFER TO PARKS & RECREATION 1,308,583 1,274,699 1,410,988 1,410,988 1,314,316 1,720,865 1,801,347 1,857,801 1,925,348
01-640-99-00-9982 TRANSFER TO LIBRARY OPERATIONS 23,775 23,495 25,003 24,235 26,584 28,134 29,777 31,519 33,365
6,072,995 6,332,095 6,096,620 5,933,074 5,824,618 6,478,641 6,763,085 6,707,513 6,914,821
Expenditures 15,219,914 16,038,880 16,783,649 16,437,519 16,934,679 18,014,292 18,776,276 19,024,491 19,612,145
Surplus(Deficit)282,289 383,443 (314,411) 407,336 - (707,823) (1,163,985) (1,117,676) (1,408,254)
Fund Balance 6,496,373 6,879,823 5,468,778 7,287,159 7,287,159 6,579,336 5,415,351 4,297,675 2,889,421
42.68%42.89%32.58%44.33%43.03%36.52%28.84%22.59%14.73%
76
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Taxes 9,366 13,381 13,381 13,382 16,034 20,012 24,432 28,852 33,272
Total Revenue 9,366 13,381 13,381 13,382 16,034 20,012 24,432 28,852 33,272
Expenditures
Contractual Services 17,552 9,453 30,977 18,189 37,326 40,482 15,646 17,258 17,439
Total Expenditures 17,552 9,453 30,977 18,189 37,326 40,482 15,646 17,258 17,439
Surplus (Deficit)(8,186) 3,928 (17,596) (4,807) (21,292) (20,470) 8,786 11,594 15,833
Ending Fund Balance 6,556 10,485 9,954 5,678 (15,614) (36,084) (27,298) (15,704) 129
37.35%110.92%32.13%31.22%-41.83%-89.14%-174.47%-91.00%0.74%
Fox Hill SSA Fund (11)
This fund was created for the purpose of maintaining the common areas of the Fox Hill Estates (SSA 2004-201) subdivision. All money for the fund is derived from property taxes levied on
homeowners in the subdivision.
-534.828
-2374.704
270.222
-1131.924 -1068.555
($3,000)
($2,500)
($2,000)
($1,500)
($1,000)
($500)
$0
$500
ThousandsFund Balance
($40)
($20)
$0
$20
ThousandsFund Balance
77
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Fox Hill SSA - 11
11-000-40-00-4000 PROPERTY TAXES 9,366 13,381 13,381 13,382 16,034 20,012 24,432 28,852 33,272
Revenue 9,366 13,381 13,381 13,382 16,034 20,012 24,432 28,852 33,272
11-111-54-00-5462 PROFESSIONAL SERVICES 2,138 2,835 2,977 3,275 3,126 3,282 3,446 3,618 3,799
11-111-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 15,414 6,618 28,000 14,914 34,200 37,200 12,200 13,640 13,640
Expenditures 17,552 9,453 30,977 18,189 37,326 40,482 15,646 17,258 17,439
Surplus(Deficit)(8,186) 3,928 (17,596) (4,807) (21,292) (20,470) 8,786 11,594 15,833
Fund Balance 6,556 10,485 9,954 5,678 (15,614) (36,084) (27,298) (15,704) 129
37.35%110.92%32.13%31.22%-41.83%-89.14%-174.47%-91.00%0.74%
78
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Taxes 13,480 15,639 18,140 18,140 20,363 22,586 24,926 27,266 29,606
Total Revenue 13,480 15,639 18,140 18,140 20,363 22,586 24,926 27,266 29,606
Expenditures
Contractual Services 18,957 17,013 13,977 14,181 20,326 20,482 20,646 22,258 22,439
Total Expenditures 18,957 17,013 13,977 14,181 20,326 20,482 20,646 22,258 22,439
Surplus (Deficit)(5,477) (1,374) 4,163 3,959 37 2,104 4,280 5,008 7,167
Ending Fund Balance (21,251) (22,626) (28,236) (18,667) (18,630) (16,526) (12,246) (7,238) (71)
-112.10%-132.99%-202.02%-131.63%-91.66%-80.69%-59.31%-32.52%-0.32%
This fund was created for the purpose of maintaining the common areas of the Sunflower Estates (SSA 2006-119) subdivision. All money for the fund is derived from property taxes levied on
homeowners in the subdivision.
Sunflower SSA Fund (12)
($30)
($20)
($10)
$0
ThousandsFund Balance
79
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Sunflower SSA - 12
12-000-40-00-4000 PROPERTY TAXES 13,480 15,639 18,140 18,140 20,363 22,586 24,926 27,266 29,606
Revenue 13,480 15,639 18,140 18,140 20,363 22,586 24,926 27,266 29,606
12-112-54-00-5416 POND MAINTENANCE 5,095 1,525 5,000 5,000 5,000 5,000 5,000 5,000 5,000
12-112-54-00-5462 PROFESSIONAL SERVICES 2,138 2,835 2,977 3,181 3,126 3,282 3,446 3,618 3,799
12-112-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 11,724 12,653 6,000 6,000 12,200 12,200 12,200 13,640 13,640
Expenditures 18,957 17,013 13,977 14,181 20,326 20,482 20,646 22,258 22,439
Surplus(Deficit)(5,477) (1,374) 4,163 3,959 37 2,104 4,280 5,008 7,167
Fund Balance (21,251) (22,626) (28,236) (18,667) (18,630) (16,526) (12,246) (7,238) (71)
-112.10%-132.99%-202.02%-131.63%-91.66%-80.69%-59.31%-32.52%-0.32%
80
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Intergovernmental 495,510 530,471 525,084 691,862 809,598 901,959 918,378 935,126 952,208
Investment Earnings 8,475 15,511 9,820 10,250 4,263 1,969 747 - -
Reimbursements - 100 - 26,717 - - - - -
Other Financing Sources 268 - - - - - - - -
Total Revenue 504,253 546,082 534,904 728,829 813,861 903,928 919,125 935,126 952,208
Expenditures
Contractual Services 98,120 95,684 - - - - - - -
Supplies 126,075 84,453 97,930 97,930 175,000 175,000 175,000 175,000 175,000
Capital Outlay 373,787 429,058 718,788 617,357 942,462 914,788 853,045 816,000 816,000
Total Expenditures 597,982 609,195 816,718 715,287 1,117,462 1,089,788 1,028,045 991,000 991,000
Surplus (Deficit)(93,729) (63,113) (281,814) 13,542 (303,601) (185,860) (108,920) (55,874) (38,792)
Ending Fund Balance 698,493 635,382 428,536 648,924 345,323 159,463 50,543 (5,331) (44,123)
Motor Fuel Tax Fund (15)
The Motor Fuel Tax Fund is used to maintain existing and construct new City owned roadways, alleys and parking lots. The fund also purchases materials used in the maintenance and operation of
those facilities.
($200)
$0
$200
$400
$600
$800
ThousandsFund Balance
81
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Motor Fuel Tax - 15
15-000-41-00-4112 MOTOR FUEL TAX 454,449 482,866 484,084 680,037 793,598 820,959 837,378 854,126 871,208
15-000-41-00-4113 MFT HIGH GROWTH 41,061 47,605 41,000 11,825 11,000 11,000 11,000 11,000 11,000
15-000-41-00-4115 REBUILD ILLINOIS - - - - 5,000 70,000 70,000 70,000 70,000
15-000-45-00-4500 8,475 15,511 9,820 10,250 4,263 1,969 747 - -
15-000-46-00-4690 REIMB - MISCELLANEOUS - 100 - 26,717 - - - - -
15-000-49-00-4901 TRANSFER FROM GENERAL 268 - - - - - - - -
Revenue 504,253 546,082 534,904 728,829 813,861 903,928 919,125 935,126 952,208
15-155-54-00-5438 SALT STORAGE 7,750 - - - - - - - -
15-155-54-00-5482 STREET LIGHTING 90,370 95,684 - - - - - - -
15-155-56-00-5618 SALT 84,015 84,453 97,930 97,930 175,000 175,000 175,000 175,000 175,000
15-155-56-00-5619 SIGNS 9,171 - - - - - - - -
15-155-56-00-5632 ASPHALT PATCHING 21,653 - - - - - - - -
15-155-56-00-5642 STREET LIGHTING SUPPLIES 11,236 - - - - - - - -
15-155-60-00-6004 BASELINE ROAD BRIDGE REPAIRS - - 25,000 - 25,000 25,000 - - -
15-155-60-00-6025 ROAD TO BETTER ROADS PROGRAM 300,000 355,271 620,000 543,569 781,674 754,000 754,000 754,000 754,000
15-550-60-00-6028 PAVEMENT STRIPING PROGRAM - - - - 62,000 62,000 62,000 62,000 62,000
15-155-60-00-6079 ROUTE 47 EXPANSION 73,787 73,787 73,788 73,788 73,788 73,788 37,045 - -
Expenditures 597,982 609,195 816,718 715,287 1,117,462 1,089,788 1,028,045 991,000 991,000
Surplus(Deficit)(93,729) (63,113) (281,814) 13,542 (303,601) (185,860) (108,920) (55,874) (38,792)
Fund Balance 698,493 635,382 428,536 648,924 345,323 159,463 50,543 (5,331) (44,123)
INVESTMENT EARNINGS
82
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Intergovernmental206,028 32,878 - - - - - - - Licenses & Permits448,616 300,743 152,180 151,000 141,000 141,000 141,000 141,000 141,000 Charges for Service731,535 752,262 746,500 772,000 780,000 785,000 790,000 795,000 800,000 Investment Earnings21,033 34,012 7,500 63,351 1,098 - 712 379 - Reimbursements373,768 1,169,174 3,013,849 319,086 151,572 2,964,928 - - 171,600 Miscellaneous- - 2,000 - 2,000 2,000 2,000 2,000 2,000 Other Financing Sources1,018,308 569,725 250,000 235,663 260,000 185,436 100,000 100,000 178,400 Total Revenue2,799,288 2,858,794 4,172,029 1,541,100 1,335,670 4,078,364 1,033,712 1,038,379 1,293,000 ExpendituresContractual Services339,391 135,926 334,795 229,795 250,964 197,503 204,435 211,783 219,571 Supplies18,945 56,337 82,000 58,427 127,000 127,000 127,000 127,000 127,000 Capital Outlay2,846,631 1,923,491 3,907,339 1,048,776 779,950 3,425,476 158,000 269,467 519,467 Debt Service403,588 407,563 322,188 322,188 321,338 315,338 319,338 313,038 316,738 Other Financing Uses157,366 94,947 152,086 139,906 138,895 139,558 139,209 139,627 139,034 Total Expenditures3,765,921 2,618,264 4,798,408 1,799,092 1,618,147 4,204,875 947,982 1,060,915 1,321,810 Surplus (Deficit)(966,633) 240,530 (626,379) (257,992) (282,477) (126,511) 85,730 (22,536) (28,810) Ending Fund Balance388,897 629,429 (30,817) 371,437 88,960 (37,551) 48,179 25,643 (3,167) City-Wide Capital Fund (23)The City-Wide Capital Fund is used to maintain existing and construct new public and municipal infrastructure, and to fund other improvements that benefit the public. ($200)$0$200$400$600$800ThousandsFund Balance83
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
City-Wide Capital - 23
23-000-41-00-4161 FEDERAL GRANTS - ITEP DOWNTOWN 540 - - - - - - - -
23-000-41-00-4169 FEDERAL GRANTS -MILL STREET LAFO (1,306) - - - - - - - -
23-000-41-00-4178 FEDERAL GRANTS - ITEP KENNEDY RD TRAIL 223,344 - - - - - - - -
23-000-41-00-4188 (16,550) 32,878 - - - - - - -
23-000-42-00-4210 BUILDING PERMITS 139,758 1,499 - - - - - - -
23-000-42-00-4214 DEVELOPMENT FEES - CW CAPITAL 6,929 5,512 5,000 6,000 6,000 6,000 6,000 6,000 6,000
23-000-42-00-4216 BUILD PROGRAM PERMITS 95,804 1,815 - - - - - - -
23-000-42-00-4218 DEVELOPMENT FEES - MUNICIPAL BLDG 92,125 29,917 47,180 35,000 35,000 35,000 35,000 35,000 35,000
23-000-42-00-4222 ROAD CONTRIBUTION FEE 114,000 262,000 100,000 110,000 100,000 100,000 100,000 100,000 100,000
23-000-44-00-4440 ROAD INFRASTRUCTURE FEE 731,535 752,262 746,500 772,000 780,000 785,000 790,000 795,000 800,000
23-000-45-00-4500 10,271 34,012 7,500 13,000 1,098 - 712 379 -
23-000-45-00-4550 GAIN ON INVESTMENT 10,762 - - 50,351 - - - - -
23-000-46-00-4607 REIMB - BLACKBERRY WOODS 7,797 4,125 7,549 7,549 10,973 - - - -
23-000-46-00-4608 REIMB - KENNEDY ROAD IMPROVEMENTS 160,000 - - - - - - - -
23-000-46-00-4612 REIMB - MILL ROAD IMPROVEMENTS - 195,781 2,926,300 19,306 - 2,926,330 - - -
23-000-46-00-4618 REIMB - BRISTOL BAY ANNEX - - - - - - - - 171,600
23-000-46-00-4621 REIMB - FOUNTAIN VILLAGE 19,346 99,284 - 82,231 38,599 38,598 - - -
23-000-46-00-4624 REIMB - WHISPERING MEADOWS 2,762 797,238 - - - - - - -
23-000-46-00-4636 REIMB - RAINTREE VILLAGE - - - 210,000 70,000 - - - -
23-000-46-00-4660 REIMB - PUSH FOR THE PATH 182,033 - - - 26,523 - - - -
23-000-46-00-4690 REIMB - MISCELLANEOUS 1,830 72,746 80,000 - 5,477 - - - -
23-000-48-00-4845 DONATIONS - - 2,000 - 2,000 2,000 2,000 2,000 2,000
23-000-49-00-4923 TRANSFER FROM GENERAL - 569,725 250,000 235,663 260,000 185,436 100,000 100,000 178,400
23-000-49-00-4951 TRANSFER FROM WATER 1,018,308 - - - - - - - -
Revenue 2,799,288 2,858,794 4,172,029 1,541,100 1,335,670 4,078,364 1,033,712 1,038,379 1,293,000
City-Wide - Building & Grounds Expenditures
23-216-54-00-5405 BUILD PROGRAM 9,956 - - - - - - - -
23-216-54-00-5446 PROPERTY & BLDG MAINT SERVICES 193,257 71,157 225,000 120,000 135,000 75,000 75,000 75,000 75,000
23-216-56-00-5626 HANGING BASKETS - 1,496 2,000 427 2,000 2,000 2,000 2,000 2,000
23-216-56-00-5656 PROPERTY & BLDG MAINT SUPPLIES 17,997 36,642 25,000 18,000 25,000 25,000 25,000 25,000 25,000
23-216-60-00-6003 MATERIALS STORAGE BUILDING - - 250,000 235,663 - - - - -
23-216-60-00-6013 BEECHER CENTER - 320,386 - - - - - - -
23-216-60-00-6020 BUILDINGS & STRUCTURES - - 41,250 - - - - - -
23-216-99-00-9901 TRANSFER TO GENERAL 92,125 29,917 47,180 35,000 35,000 35,000 35,000 35,000 35,000
313,335 459,598 590,430 409,090 197,000 137,000 137,000 137,000 137,000
INVESTMENT EARNINGS
STATE GRANTS - EDP WRIGLEY (RTE 47)
84
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
City-Wide Capital Expenditures
23-230-54-00-5405 BUILD PROGRAM 85,848 1,815 - - - - - -
23-230-54-00-5462 PROFESSIONAL SERVICES 5,318 2,360 5,000 5,000 5,000 5,000 5,000 5,000 5,000
23-230-54-00-5465 ENGINEERING SERVICES 35,063 58,195 - - - - - - -
23-230-54-00-5482 STREET LIGHTING - - 102,820 102,820 108,989 115,528 122,460 129,808 137,596
23-230-54-00-5497 PROPERTY TAX PAYMENT 8,054 1,239 - - - - - - -
23-230-54-00-5498 PAYING AGENT FEES 475 475 475 475 475 475 475 475 475
23-230-54-00-5499 BAD DEBT 1,420 685 1,500 1,500 1,500 1,500 1,500 1,500 1,500
23-230-56-00-5619 SIGNS - - 15,000 15,000 15,000 15,000 15,000 15,000 15,000
23-230-56-00-5632 ASPHALT PATCHING - - 35,000 20,000 35,000 35,000 35,000 35,000 35,000
23-230-56-00-5637 SIDEWALK CONSTRUCTION SUPPLIES 948 18,199 5,000 5,000 5,000 5,000 5,000 5,000 5,000
23-230-56-00-5642 STREET LIGHTING & OTHER SUPPLIES - - - - 45,000 45,000 45,000 45,000 45,000
23-230-60-00-6009 WRIGLEY (RTE 47) EXPANSION - 32,878 - - - - - - -
23-230-60-00-6012 MILL ROAD IMPROVEMENTS - 195,781 3,105,000 200,000 - 3,175,000 - - -
23-230-60-00-6014 BLACKBERRY WOODS 7,797 4,125 7,549 7,549 10,973 - - - -
23-230-60-00-6016 US 34 (CENTER / ELDAMAIN RD) PROJECT 19,500 127,534 110,226 100,000 110,000 - - - -
23-230-60-00-6019 BRISTOL BAY ACCESS ROAD 40,754 - - - - - - - -
23-230-60-00-6021 PAVILLION ROAD STREAMBANK STABILIZATION - 260 137,500 - - - - - -
23-230-60-00-6023 FOUNTAIN VILLAGE SUBDIVISION 19,346 99,284 - 82,231 38,599 38,598 - - -
23-230-60-00-6025 ROAD TO BETTER ROADS PROGRAM 761,759 69,633 80,000 98,000 312,500 96,000 96,000 96,000 96,000
23-230-60-00-6034 WHISPERING MEADOWS SUBDIVISION 2,762 974,071 22,500 8,000 - - - - -
23-230-60-00-6036 RAINTREE VILLAGE IMPROVEMENTS - - - 210,000 70,000 - - - -
23-230-60-00-6041 SIDEWALK REPLACEMENT PROGRAM - - - - 125,000 62,000 62,000 62,000 62,000
23-230-60-00-6048 DOWNTOWN STREETSCAPE IMPROVEMENT 675 - - - - - - - -
23-230-60-00-6058 ROUTE 71 (RTE 47 / RTE 126) PROJECT - 8,351 30,333 30,333 53,878 53,878 - - -
23-230-60-00-6059 US 34 (IL 47 / ORCHARD RD) PROJECT 78,682 84,854 90,981 77,000 27,000 - - - -
23-230-60-00-6063 ROUTE 47 (RTE 30 / WATER PARK WAY)- - - - - - - 111,467 111,467
23-230-60-00-6073 GAME FARM ROAD PROJECT 328,913 - - - - - - - -
23-230-60-00-6082 COUNTRYSIDE PKY IMPROVEMENTS 561,550 - - - - - - - -
23-230-60-00-6084 CENTER & COUNTRYSIDE IMPROVEMENTS 227,760 - - - - - - - -
23-230-60-00-6086 KENNEDY ROAD IMPROVEMENTS 391,763 404 - - - - - - -
23-230-60-00-6094 KENNEDY ROAD BIKE TRAIL 405,370 5,930 32,000 - 32,000 - - - -
23-230-60-00-6098 BRISTOL BAY SUBDIVISION - - - - - - - - 250,000
2014A Bond
23-230-78-00-8000 PRINCIPAL PAYMENT 190,000 190,000 195,000 195,000 200,000 200,000 210,000 210,000 220,000
23-230-78-00-8050 INTEREST PAYMENT 138,588 132,888 127,188 127,188 121,338 115,338 109,338 103,038 96,738
85
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Kendall County Loan - River Road Bridge
23-230-97-00-8000 PRINCIPAL PAYMENT 75,000 84,675 - - - - - - -
23-230-99-00-9951 TRANSFER TO WATER 65,241 65,030 104,906 104,906 103,895 104,558 104,209 104,627 104,034
3,452,586 2,158,666 4,207,978 1,390,002 1,421,147 4,067,875 810,982 923,915 1,184,810
Expenditures 3,765,921 2,618,264 4,798,408 1,799,092 1,618,147 4,204,875 947,982 1,060,915 1,321,810
Surplus(Deficit)(966,633) 240,530 (626,379) (257,992) (282,477) (126,511) 85,730 (22,536) (28,810)
Fund Balance 388,897 629,429 (30,817) 371,437 88,960 (37,551) 48,179 25,643 (3,167)
86
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Licenses & Permits 229,575 243,142 109,500 361,911 109,500 109,500 109,500 109,500 109,500
Fines & Forfeits 8,730 8,640 8,650 8,325 8,800 8,800 8,800 8,800 8,800
Charges for Service 201,102 232,472 86,368 91,530 289,059 286,131 433,814 284,156 283,855
Investment Earnings 596 862 850 2,199 1,000 1,000 1,000 1,000 1,000
Reimbursements - - - 50,000 43,000 50,000 - - -
Miscellaneous 1,975 511 2,000 - 1,000 1,000 1,000 1,000 1,000
Other Financing Sources - 6,068 - 552,161 - - - - -
Total Revenue 441,978 491,695 207,368 1,066,126 452,359 456,431 554,114 404,456 404,155
Police Capital Expenditures
Contractual Services 18,485 5,013 8,750 8,750 8,750 8,750 8,750 8,750 8,750
Capital Outlay 182,317 150,707 69,000 64,000 150,000 130,000 195,000 130,000 130,000
Sub-Total Expenditures 200,802 155,720 77,750 72,750 158,750 138,750 203,750 138,750 138,750
General Government Capital Expenditures
Supplies - 18,162 60,336 65,283 5,664 14,535 83,218 12,560 12,259
Capital Outlay - 44,985 - - - - - - -
Sub-Total Expenditures - 63,147 60,336 65,283 5,664 14,535 83,218 12,560 12,259
Public Works Capital Expenditures
Contractual Services 34,464 3,504 750 750 750 750 750 750 750
Supplies - - 2,000 - 1,000 1,000 1,000 1,000 1,000
Capital Outlay 20,821 41,932 208,000 208,000 230,000 126,000 140,000 126,000 126,000
Debt Service 70,815 72,778 75,524 66,677 69,396 69,396 69,396 69,396 69,396
Other Financing Uses - - - 531,617 - - - - -
Sub-Total Expenditures 126,100 118,214 286,274 807,044 301,146 197,146 211,146 197,146 197,146
Parks & Rec Capital Expenditures
Contractual Services 850 - 5,000 5,000 1,600 1,600 1,600 1,600 1,600
Capital Outlay 25,167 13,539 140,000 127,958 183,400 105,400 55,400 55,400 55,400
Debt Service 2,219 2,280 2,366 2,089 2,174 2,174 2,174 2,174 2,174
Other Financing Uses - - - 16,656 - - - - -
Sub-Total Expenditures 28,236 15,819 147,366 151,703 187,174 109,174 59,174 59,174 59,174
Total Expenditures 355,138 352,900 571,726 1,096,780 652,734 459,605 557,288 407,630 407,329
Surplus (Deficit)86,840 138,795 (364,358) (30,654) (200,375) (3,174) (3,174) (3,174) (3,174)
Police Capital Fund Balance - - - 56,106 - - - - -
General Government Fund Balance - - - 450 450 450 450 450 450
Public Works Capital Fund Balance 37,930 91,907 6,435 81,095 - - - - -
Parks & Rec Capital Fund Balance 319,316 404,135 257,366 327,737 264,563 261,389 258,215 255,041 251,867
Ending Fund Balance 357,246 496,042 263,801 465,388 265,013 261,839 258,665 255,491 252,317
This fund was created in Fiscal Year 2014, consolidating the Police Capital, Public Works Capital and Park & Recreation Capital funds. The General Government function was added in Fiscal
Year 2019 to account for administrative vehicle and City-wide computer purchases. This fund primarily derives its revenue from monies collected from building permits and development fees, in
addition to functional chargebacks. The revenue is primarily used to purchase vehicles and equipment for use in the operations of the Police, General Government, Public Works and Parks &
Recreation Departments.
Vehicle and Equipment Fund (25)
$0
$200
$400
$600
ThousandsFund Balance
87
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Vehicle & Equipment - 25
25-000-42-00-4215 DEVELOPMENT FEES - POLICE CAPITAL 51,511 63,225 30,000 92,500 30,000 30,000 30,000 30,000 30,000
25-000-42-00-4216 BUILD PROGRAM PERMITS 44,935 2,720 - - - - - - -
25-000-42-00-4217 WEATHER WARNING SIREN FEES 224 217 - 1,411 - - - - -
25-000-42-00-4218 ENGINEERING CAPITAL FEE 11,000 19,550 10,000 12,000 10,000 10,000 10,000 10,000 10,000
25-000-42-00-4219 DEVELOPMENT FEES - PW CAPITAL 116,205 147,655 64,500 250,000 64,500 64,500 64,500 64,500 64,500
25-000-42-00-4220 DEVELOPMENT FEES - PARK CAPITAL 5,700 9,775 5,000 6,000 5,000 5,000 5,000 5,000 5,000
25-000-43-00-4315 8,130 7,994 8,000 7,500 8,000 8,000 8,000 8,000 8,000
25-000-43-00-4316 600 646 650 825 800 800 800 800 800
25-000-44-00-4418 MOWING INCOME 894 2,167 2,000 2,215 2,000 2,000 2,000 2,000 2,000
25-000-44-00-4419 COMMUNITY DEVELOPMENT CHARGEBACK - 44,985 - - - - - - -
25-000-44-00-4420 POLICE CHARGEBACK 130,208 77,158 24,032 24,032 63,844 99,950 164,950 99,950 99,950
25-000-44-00-4421 PUBLIC WORKS CHARGEBACK - - - - 142,551 119,646 133,646 119,646 119,646
25-000-44-00-4427 PARKS & RECREATION CHARGEBACK 70,000 90,000 - - 75,000 50,000 50,000 50,000 50,000
25-000-44-00-4428 COMPUTER REPLACEMENT CHARGEBACK - 18,162 60,336 65,283 5,664 14,535 83,218 12,560 12,259
25-000-45-00-4522 350 862 850 1,050 1,000 1,000 1,000 1,000 1,000
25-000-45-00-4550 GAIN ON INVESTMENT 246 - - 1,149 - - - - -
25-000-46-00-4692 MISCELLANEOUS REIMB - PARK CAPITAL - - - 50,000 43,000 50,000 - - -
25-000-48-00-4852 MISCELLANEOUS INCOME - POLICE CAPITAL 214 412 - - - - - - -
25-000-48-00-4854 MISCELLANEOUS INCOME - PW CAPITAL 1,761 99 2,000 - 1,000 1,000 1,000 1,000 1,000
25-000-48-00-4855 MISCELLANEOUS INCOME - PARK CAPITAL - - - - - - - - -
25-000-49-00-4906 LOAN ISSUANCE - - - 548,273 - - - - -
25-000-49-00-4910 SALE OF CAPITAL ASSETS - GEN GOV - - - 450 - - - - -
25-000-49-00-4920 SALE OF CAPITAL ASSETS - POLICE CAPITAL - 6,068 - 2,588 - - - - -
25-000-49-00-4921 SALE OF CAPITAL ASSETS - PW CAPITAL - - - 400 - - - - -
25-000-49-00-4922 SALE OF CAPITAL ASSETS - PARK CAPITAL - - - 450 - - - - -
Revenue 441,978 491,695 207,368 1,066,126 452,359 456,431 554,114 404,456 404,155
Police Capital
25-205-54-00-5405 BUILD PROGRAM 9,915 - - - - - - - -
25-205-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 8,570 5,013 8,750 8,750 8,750 8,750 8,750 8,750 8,750
25-205-60-00-6060 EQUIPMENT 28,278 - 5,000 - - - - - -
25-205-60-00-6070 154,039 150,707 64,000 64,000 150,000 130,000 195,000 130,000 130,000
200,802 155,720 77,750 72,750 158,750 138,750 203,750 138,750 138,750
General Government Capital
25-212-56-00-5635 COMPUTER EQUIPMENT & SOFTWARE - 18,162 60,336 65,283 5,664 14,535 83,218 12,560 12,259
25-212-60-00-6070 - 44,985 - - - - - - -
- 63,147 60,336 65,283 5,664 14,535 83,218 12,560 12,259
Public Works Capital
INVESTMENT EARNINGS - PARK CAPITAL
DUI FINES
VEHICLES
VEHICLES
ELECTRONIC CITATION FEES
88
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
25-215-54-00-5405 BUILD PROGRAM 34,170 2,720 - - - - - - -
25-215-54-00-5448 FILING FEES 294 784 750 750 750 750 750 750 750
25-215-56-00-5620 OPERATING SUPPLIES - - 2,000 - 1,000 1,000 1,000 1,000 1,000
25-215-60-00-6060 EQUIPMENT - 8,435 7,000 7,000 130,000 6,000 20,000 6,000 6,000
25-215-60-00-6070 20,821 33,497 201,000 201,000 100,000 120,000 120,000 120,000 120,000
185 Wolf Street Building
25-215-92-00-8000 PRINCIPAL PAYMENT 43,303 43,922 44,429 42,853 51,612 53,527 53,527 55,514 57,544
25-215-92-00-8050 INTEREST PAYMENT 27,512 28,856 31,095 23,824 17,784 15,869 15,869 13,882 11,852
25-215-99-00-9960 PAYMENT TO ESCROW AGENT - - - 531,617 - - - - -
126,100 118,214 286,274 807,044 301,146 197,146 211,146 197,146 197,146
Parks & Recreation Capital
25-225-54-00-5405 BUILD PROGRAM 850 - - - - - - - -
25-225-54-00-5495 OUTSIDE REPAIR & MAINTENANCE - - 5,000 5,000 1,600 1,600 1,600 1,600 1,600
25-225-60-00-6010 PARK IMPROVEMENTS - - - 50,000 43,000 50,000 - - -
25-225-60-00-6013 BEECHER CENTER PARK - - - - 50,000 - - - -
25-225-60-00-6020 BUILDING & STRUCTURES - - 20,000 10,000 10,000 - - - -
25-225-60-00-6060 EQUIPMENT 5,264 13,539 50,000 - 10,400 5,400 5,400 5,400 5,400
25-225-60-00-6070 VEHICLES 19,903 - 70,000 67,958 70,000 50,000 50,000 50,000 50,000
185 Wolf Street Building
25-225-92-00-8000 PRINCIPAL PAYMENT 1,357 1,376 1,392 1,343 1,617 1,677 1,677 1,739 1,803
25-225-92-00-8050 INTEREST PAYMENT 862 904 974 746 557 497 497 435 371
25-225-99-00-9960 PAYMENT TO ESCROW AGENT - - - 16,656 - - - - -
28,236 15,819 147,366 151,703 187,174 109,174 59,174 59,174 59,174
Expenditures 355,138 352,900 571,726 1,096,780 652,734 459,605 557,288 407,630 407,329
Surplus(Deficit)86,840 138,795 (364,358) (30,654) (200,375) (3,174) (3,174) (3,174) (3,174)
- - - 56,106 - - - - -
- - - 450 450 450 450 450 450
37,930 91,907 6,435 81,095 - - - - -
319,316 404,135 257,366 327,737 264,563 261,389 258,215 255,041 251,867
Fund Balance 357,246 496,042 263,801 465,388 265,013 261,839 258,665 255,491 252,317
VEHICLES
Fund Balance - Public Works Capital
Fund Balance - Police Capital
Fund Balance - Parks & Rec Capital
Fund Balance - General Government
89
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Licenses & Permits 11,303 8,944 4,646 8,200 8,000 8,000 8,000 - -
Other Financing Sources 309,972 315,781 319,379 315,825 315,225 321,375 322,075 - -
Total Revenue 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
Expenditures
Contractual Services 1,525 475 475 475 475 475 475 - -
Debt Service 319,750 324,250 323,550 323,550 322,750 328,900 329,600 - -
Total Expenditures 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
Surplus (Deficit)- - - - - - - - -
Ending Fund Balance - - - - - - - - -
Debt Service Fund (42)
The Debt Service Fund accumulates monies for payment of the 2014B bonds, which refinanced the 2005A bonds. The 2005A bonds were originally issued to finance road improvement projects.
$0
$0
$0
$0
$0
$0
ThousandsFund Balance
90
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Debt Service - 42
42-000-42-00-4208 RECAPTURE FEES - WATER & SEWER 10,253 8,944 4,646 8,200 8,000 8,000 8,000 - -
42-000-42-00-4216 BUILD PROGRAM PERMITS 1,050 - - - - - - - -
42-000-49-00-4901 TRANSFER FROM GENERAL 309,972 315,781 319,379 315,825 315,225 321,375 322,075 - -
Revenue 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
42-420-54-00-5405 BUILD PROGRAM 1,050 - - - - - - - -
42-420-54-00-5498 PAYING AGENT FEES 475 475 475 475 475 475 475 - -
2014B Refunding Bond
42-420-79-00-8000 PRINCIPAL PAYMENT 275,000 285,000 290,000 290,000 295,000 310,000 320,000 - -
42-420-79-00-8050 INTEREST PAYMENT 44,750 39,250 33,550 33,550 27,750 18,900 9,600 - -
Expenditures 321,275 324,725 324,025 324,025 323,225 329,375 330,075 - -
Surplus(Deficit)- - - - - - - - -
Fund Balance - - - - - - - - -
91
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Licenses & Permits 165,755 27,465 - - - - - - -
Charges for Service 4,489,995 4,529,887 4,401,300 4,337,650 4,350,250 4,518,263 4,694,427 4,879,148 5,072,855
Investment Earnings 11,727 19,100 23,851 31,193 22,557 16,125 14,255 32,108 52,693
Reimbursements 388 15,659 - 3,000 - - - - -
Miscellaneous 61,221 62,943 95,999 97,881 100,260 101,000 102,457 104,129 105,845
Other Financing Sources 139,116 142,707 178,781 179,681 179,020 180,233 177,859 178,752 173,559
Total Revenue 4,868,202 4,797,761 4,699,931 4,649,405 4,652,087 4,815,621 4,988,998 5,194,137 5,404,952
Expenses
Salaries 412,773 392,273 519,935 418,000 509,530 513,256 527,394 541,956 556,955
Benefits 246,029 202,514 263,064 212,184 242,997 256,208 272,261 289,223 305,943
Contractual Services 872,119 805,723 813,799 871,820 1,079,661 988,753 969,869 985,464 1,001,704
Supplies 327,921 332,310 393,281 370,300 359,273 363,342 373,949 385,087 396,782
Capital Outlay 889,684 583,333 1,428,146 945,470 1,333,243 1,399,243 1,532,905 1,070,000 1,048,000
Debt Service 1,343,250 1,532,844 2,361,500 2,361,500 2,305,935 1,815,830 1,654,108 714,373 702,673
Other Financing Uses 1,018,308 - - - - - - - -
Total Expenses 5,110,084 3,848,997 5,779,725 5,179,274 5,830,639 5,336,632 5,330,486 3,986,103 4,012,057
Surplus (Deficit)(241,882) 948,764 (1,079,794) (529,869) (1,178,552) (521,011) (341,488) 1,208,034 1,392,895
Ending Fund Balance Equivalent 2,584,259 3,533,027 1,952,155 3,003,158 1,824,606 1,303,595 962,107 2,170,141 3,563,036
50.57%91.79%33.78%57.98%31.29%24.43%18.05%54.44%88.81%
The Water Fund is an enterprise fund which is comprised of both a capital and operational budget. The capital portion is used for the improvement and expansion of water infrastructure, while the
operational side is used to service and maintain City water systems.
Water Fund (51)
$0
$1,000
$2,000
$3,000
$4,000
ThousandsFund Balance Equivalent
92
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Water - 51
51-000-42-00-4216 BUILD PROGRAM PERMITS 165,755 27,465 - - - - - - -
51-000-44-00-4424 WATER SALES 3,094,564 3,117,978 3,228,300 2,980,000 3,129,000 3,285,450 3,449,723 3,622,209 3,803,319
51-000-44-00-4425 BULK WATER SALES 4,250 550 5,000 12,650 5,000 5,000 5,000 5,000 5,000
51-000-44-00-4426 LATE PENALTIES - WATER 116,805 111,720 110,000 125,000 131,250 137,813 144,704 151,939 159,536
51-000-44-00-4430 WATER METER SALES 127,345 157,475 60,000 125,000 60,000 60,000 60,000 60,000 60,000
51-000-44-00-4440 WATER INFRASTRUCTURE FEE 749,613 775,984 768,000 795,000 795,000 800,000 805,000 810,000 815,000
51-000-44-00-4450 WATER CONNECTION FEES 397,418 366,180 230,000 300,000 230,000 230,000 230,000 230,000 230,000
51-000-45-00-4500 10,296 19,100 23,851 24,500 22,557 16,125 14,255 32,108 52,693
51-000-45-00-4550 GAIN ON INVESTMENT 1,431 - - 6,693 - - - - -
51-000-46-00-4690 REIMB - MISCELLANEOUS 388 15,659 - 3,000 - - - - -
51-000-48-00-4820 RENTAL INCOME 61,082 61,798 95,749 97,500 100,010 100,750 102,207 103,879 105,595
51-000-48-00-4850 MISCELLANEOUS INCOME 139 1,145 250 381 250 250 250 250 250
51-000-49-00-4910 SALE OF CAPITAL ASSETS - - - 900 - - - - -
51-000-49-00-4923 TRANSFER FROM CITY-WIDE CAPITAL 65,241 65,032 104,906 104,906 103,895 104,558 104,209 104,627 104,034
51-000-49-00-4952 TRANSFER FROM SEWER 73,875 77,675 73,875 73,875 75,125 75,675 73,650 74,125 69,525
Revenue 4,868,202 4,797,761 4,699,931 4,649,405 4,652,087 4,815,621 4,988,998 5,194,137 5,404,952
Water Operations
51-510-50-00-5010 SALARIES & WAGES 394,263 375,615 477,935 395,000 457,530 471,256 485,394 499,956 514,955
51-510-50-00-5015 PART-TIME SALARIES 11,532 5,328 30,000 11,000 30,000 30,000 30,000 30,000 30,000
51-510-50-00-5020 OVERTIME 6,978 11,330 12,000 12,000 22,000 12,000 12,000 12,000 12,000
51-510-52-00-5212 RETIREMENT PLAN CONTRIBUTION 42,915 39,059 44,948 45,000 54,251 55,333 58,394 61,435 63,235
51-510-52-00-5214 FICA CONTRIBUTION 30,192 28,530 37,702 32,000 37,576 38,703 39,864 41,060 42,292
51-510-52-00-5216 GROUP HEALTH INSURANCE 134,779 97,544 137,566 96,530 109,259 118,000 127,440 137,635 148,646
51-510-52-00-5222 GROUP LIFE INSURANCE 705 458 560 489 543 548 553 559 565
51-510-52-00-5223 DENTAL INSURANCE 8,808 7,033 9,354 6,985 7,278 7,642 8,024 8,425 8,846
51-510-52-00-5224 VISION INSURANCE 1,218 1,034 1,344 1,034 1,129 1,163 1,198 1,234 1,271
51-510-52-00-5230 UNEMPLOYMENT INSURANCE 671 1,559 2,000 2,000 2,000 2,000 2,000 2,000 2,000
51-510-52-00-5231 LIABILITY INSURANCE 26,741 27,297 29,590 28,146 30,961 32,819 34,788 36,875 39,088
51-510-54-00-5401 ADMINISTRATIVE CHARGEBACK 108,154 111,629 118,631 118,631 124,903 128,650 132,510 136,485 140,580
51-510-54-00-5405 BUILD PROGRAM 165,755 27,465 - - - - - - -
51-510-54-00-5412 TRAINING & CONFERENCES 2,515 2,251 6,500 6,500 9,200 8,200 8,200 8,200 8,200
51-510-54-00-5415 TRAVEL & LODGING 732 1,278 2,000 2,000 4,000 3,000 3,000 3,000 3,000
51-510-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 316 10,408 10,408 - - 11,797 - -
51-510-54-00-5426 PUBLISHING & ADVERTISING 932 1,359 500 500 500 500 500 500 500
51-510-54-00-5429 WATER SAMPLES 5,894 5,192 8,000 8,000 8,000 8,000 10,000 8,000 8,000
51-510-54-00-5430 PRINTING & DUPLICATING 2,814 2,698 3,250 3,250 3,250 3,250 3,250 3,250 3,250
51-510-54-00-5440 TELECOMMUNICATIONS 33,832 32,084 35,000 40,000 40,000 40,000 40,000 40,000 40,000
51-510-54-00-5445 TREATMENT FACILITY SERVICES 136,286 179,222 145,000 200,000 255,000 230,000 230,000 210,000 200,000
INVESTMENT EARNINGS
93
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
51-510-54-00-5448 FILING FEES 1,901 2,696 3,000 3,000 3,000 3,000 3,000 3,000 3,000
51-510-54-00-5452 POSTAGE & SHIPPING 17,723 15,815 19,000 19,000 19,000 19,000 19,000 19,000 19,000
51-510-54-00-5460 DUES & SUBSCRIPTIONS 1,169 478 1,800 1,800 2,500 2,500 2,500 2,500 2,500
51-510-54-00-5462 PROFESSIONAL SERVICES 36,863 96,790 65,000 85,000 155,000 148,750 92,500 92,500 92,500
51-510-54-00-5465 ENGINEERING SERVICES 39,975 17,271 37,500 28,000 85,000 5,000 5,000 30,000 30,000
51-510-54-00-5480 UTILITIES 279,411 284,677 303,709 292,000 309,520 328,091 347,776 368,643 390,762
51-510-54-00-5483 JULIE SERVICES 5,954 2,190 3,000 3,000 3,000 3,000 3,000 3,000 3,000
51-510-54-00-5485 RENTAL & LEASE PURCHASE 929 1,040 1,700 1,700 1,700 1,700 1,700 1,700 1,700
51-510-54-00-5488 OFFICE CLEANING 1,164 1,020 1,051 731 788 812 836 861 887
51-510-54-00-5490 VEHICLE MAINTENANCE SERVICES 5,930 12,403 12,000 12,000 12,000 12,000 12,000 12,000 12,000
51-510-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 15,023 2,421 25,000 25,000 32,000 32,000 32,000 32,000 32,000
51-510-54-00-5498 PAYING AGENT FEES 1,888 1,888 1,750 1,300 1,300 1,300 1,300 825 825
51-510-54-00-5499 BAD DEBT 7,275 3,540 10,000 10,000 10,000 10,000 10,000 10,000 10,000
51-510-56-00-5600 WEARING APPAREL 6,837 2,026 5,100 5,100 5,000 5,000 5,000 5,000 5,000
51-510-56-00-5620 OPERATING SUPPLIES 3,366 5,793 10,500 10,500 16,000 11,000 11,000 11,000 11,000
51-510-56-00-5628 VEHICLE MAINTENANCE SUPPLIES 2,416 1,547 2,500 2,500 2,500 2,500 2,500 2,500 2,500
51-510-56-00-5630 SMALL TOOLS & EQUIPMENT 1,365 583 4,000 4,000 4,000 4,000 4,000 4,000 4,000
51-510-56-00-5638 TREATMENT FACILITY SUPPLIES 159,093 158,763 218,438 170,000 178,500 187,425 196,796 206,636 216,968
51-510-56-00-5640 REPAIR & MAINTENANCE 15,183 5,942 27,500 27,500 27,500 27,500 27,500 27,500 27,500
51-510-56-00-5664 METERS & PARTS 117,151 136,571 100,000 127,500 100,000 100,000 100,000 100,000 100,000
51-510-56-00-5665 JULIE SUPPLIES 693 380 1,200 1,200 2,233 1,200 1,200 1,200 1,200
51-510-56-00-5695 GASOLINE 21,817 20,705 24,043 22,000 23,540 24,717 25,953 27,251 28,614
51-510-60-00-6011 PROPERTY ACQUISITION - - - - - - - 200,000 200,000
51-510-60-00-6015 WATER TOWER PAINTING - - - - 18,000 495,000 477,000 - -
51-510-60-00-6022 WELL REHABILITATIONS 264,985 119,204 165,000 7,796 - 176,000 187,000 - -
51-510-60-00-6025 ROAD TO BETTER ROADS PROGRAM 272,423 15,564 569,000 635,000 634,000 483,000 548,000 863,000 841,000
51-510-60-00-6034 WHISPERING MEADOWS SUBDIVISION 115 42,560 - 750 - - - - -
51-510-60-00-6059 US 34 (IL 47 / ORCHARD RD) PROJECT 26,676 14,939 21,608 17,000 7,700 - - - -
51-510-60-00-6060 EQUIPMENT 8,825 - 400,000 77,386 500,300 7,000 7,000 7,000 7,000
51-510-60-00-6066 RTE 71 WATERMAIN REPLACEMENT 44,904 288,136 42,166 42,166 12,871 12,871 - - -
51-510-60-00-6070 VEHICLES - 44,877 - - 90,000 - 100,000 - -
51-510-60-00-6079 ROUTE 47 EXPANSION 197,544 58,053 45,372 45,372 45,372 45,372 18,905 - -
51-510-60-00-6081 CATION EXCHANGE MEDIA REPLACEMENT - - 185,000 120,000 25,000 180,000 195,000 - -
51-510-60-00-6082 COUNTRYSIDE PKY IMPROVEMENTS 74,212 - - - - - - - -
2015A Bond
51-510-77-00-8000 PRINCIPAL PAYMENT 113,991 117,668 290,483 290,483 297,837 312,545 323,576 338,284 349,315
51-510-77-00-8050 INTEREST PAYMENT 161,055 156,496 151,787 151,787 140,167 128,254 115,752 102,809 89,278
94
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Debt Service - 2016 Refunding Bond
51-510-85-00-8000 PRINCIPAL PAYMENT 430,000 470,000 1,470,000 1,470,000 1,475,000 1,040,000 915,000 - -
51-510-85-00-8050 INTEREST PAYMENT 248,124 195,250 176,450 176,450 117,650 58,650 27,450 - -
Debt Service - 2003 Debt Certificates
51-510-86-00-8000 PRINCIPAL PAYMENT 100,000 300,000 - - - - - - -
51-510-86-00-8050 INTEREST EXPENSE 17,300 13,050 - - - - - - -
Debt Service - IEPA Loan L17-156300
51-510-89-00-8000 PRINCIPAL PAYMENT 99,361 101,860 104,423 104,423 107,050 109,743 112,503 115,333 118,235
51-510-89-00-8050 INTEREST EXPENSE 25,669 23,170 20,607 20,607 17,981 15,288 12,527 9,697 6,795
Debt Service - 2014C Refunding Bond
51-510-94-00-8000 PRINCIPAL PAYMENT 120,000 130,000 125,000 125,000 130,000 135,000 135,000 140,000 135,000
51-510-94-00-8050 INTEREST PAYMENT 27,750 25,350 22,750 22,750 20,250 16,350 12,300 8,250 4,050
51-510-99-00-9923 TRANSFER TO CITY-WIDE CAPITAL 1,018,308 - - - - - - - -
Expenses 5,110,084 3,848,997 5,779,725 5,179,274 5,830,639 5,336,632 5,330,486 3,986,103 4,012,057
Surplus(Deficit)(241,882) 948,764 (1,079,794) (529,869) (1,178,552) (521,011) (341,488) 1,208,034 1,392,895
Fund Balance Equiv 2,584,259 3,533,027 1,952,155 3,003,158 1,824,606 1,303,595 962,107 2,170,141 3,563,036
50.57%91.79%33.78%57.98%31.29%24.43%18.05%54.44%88.81%
95
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Licenses & Permits 93,000 18,000 - - - - - - -
Charges for Service 1,595,338 1,534,159 1,567,500 1,615,600 1,635,650 1,671,396 1,708,064 1,745,682 1,784,278
Investment Earnings 24,274 9,679 7,149 39,959 7,473 7,419 11,872 19,659 24,853
Reimbursements 54 4,885 - 3,961 - - - - -
Other Financing Sources 1,137,166 856,583 575,030 575,030 174,744 586,749 994,479 1,134,606 1,136,806
Total Revenue 2,849,832 2,423,306 2,149,679 2,234,550 1,817,867 2,265,564 2,714,415 2,899,947 2,945,937
Expenses
Salaries 224,215 192,724 270,946 205,940 256,061 263,578 271,320 279,295 287,509
Benefits 111,531 96,011 164,060 122,580 149,064 158,425 168,840 179,887 190,965
Contractual Services 221,111 145,994 240,935 182,007 234,411 181,863 182,558 176,603 179,805
Supplies 45,902 60,342 62,650 62,650 68,256 65,925 67,187 68,512 69,904
Capital Outlay 228,179 235,161 350,861 238,438 204,361 223,711 449,370 460,000 660,000
Developer Commitments 34,888 35,938 30,721 31,500 - - - - -
Debt Service 1,877,110 1,880,265 1,352,307 1,352,307 1,300,798 1,300,780 1,299,024 1,134,606 1,136,806
Other Financing Uses 73,875 77,675 73,875 73,875 75,125 75,675 73,650 74,125 69,525
Total Expenses 2,816,811 2,724,110 2,546,355 2,269,297 2,288,076 2,269,957 2,511,949 2,373,028 2,594,514
Surplus (Deficit)33,021 (300,804) (396,676) (34,747) (470,209) (4,393) 202,466 526,919 351,423
Ending Fund Balance Equivalent 1,411,053 1,110,251 705,765 1,075,504 605,295 600,902 803,368 1,330,287 1,681,710
50.09%40.76%27.72%47.39%26.45%26.47%31.98%56.06%64.82%
Sewer Fund (52)
The Sewer Fund is an enterprise fund which is comprised of both a capital and operational budget. The capital portion is used for improvement and expansion of the sanitary sewer infrastructure
while the operational side allows the City to service and maintain sanitary sewer systems.
$0
$500
$1,000
$1,500
$2,000
ThousandsFund Balance Equivalent
96
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Sewer - 52
52-000-42-00-4216 BUILD PROGRAM PERMITS 93,000 18,000 - - - - - - -
52-000-44-00-4435 SEWER MAINTENANCE FEES 910,828 970,506 979,200 995,000 1,024,850 1,055,596 1,087,264 1,119,882 1,153,478
52-000-44-00-4440 SEWER INFRASTRUCTURE FEE 363,038 375,560 370,000 385,000 390,000 395,000 400,000 405,000 410,000
52-000-44-00-4455 SW CONNECTION FEES - OPERATIONS 105,005 89,378 23,300 72,500 23,300 23,300 23,300 23,300 23,300
52-000-44-00-4456 SW CONNECTION FEES - CAPITAL 198,700 82,800 180,000 145,000 180,000 180,000 180,000 180,000 180,000
52-000-44-00-4462 LATE PENALTIES - SEWER 15,057 15,537 15,000 17,500 17,500 17,500 17,500 17,500 17,500
52-000-44-00-4465 RIVER CROSSING FEES 2,710 378 - 600 - - - - -
52-000-45-00-4500 17,550 9,679 7,149 8,500 7,473 7,419 11,872 19,659 24,853
52-000-45-00-4550 GAIN ON INVESTMENT 6,724 - - 31,459 - - - - -
52-000-46-00-4690 54 4,885 - 3,961 - - - - -
52-000-49-00-4901 TRANSFER FROM GENERAL 1,137,166 856,583 575,030 575,030 174,744 586,749 994,479 1,134,606 1,136,806
Revenue 2,849,832 2,423,306 2,149,679 2,234,550 1,817,867 2,265,564 2,714,415 2,899,947 2,945,937
Sewer Operations
52-520-50-00-5010 SALARIES & WAGES 223,926 192,436 265,446 200,000 250,561 258,078 265,820 273,795 282,009
52-520-50-00-5015 PART-TIME SALARIES - 112 5,000 5,440 5,000 5,000 5,000 5,000 5,000
52-520-50-00-5020 OVERTIME 289 176 500 500 500 500 500 500 500
52-520-52-00-5212 RETIREMENT PLAN CONTRIBUTION 24,177 19,737 24,399 21,000 28,403 29,607 31,266 32,915 33,901
52-520-52-00-5214 FICA CONTRIBUTION 16,847 14,273 19,031 16,000 18,509 19,064 19,636 20,225 20,832
52-520-52-00-5216 GROUP HEALTH INSURANCE 51,511 43,862 98,202 65,544 80,306 86,730 93,668 101,161 109,254
52-520-52-00-5222 GROUP LIFE INSURANCE 371 212 314 336 314 317 320 323 326
52-520-52-00-5223 DENTAL INSURANCE 4,239 3,367 6,433 4,644 5,021 5,272 5,536 5,813 6,104
52-520-52-00-5224 VISION INSURANCE 594 493 879 647 736 758 781 804 828
52-520-52-00-5230 UNEMPLOYMENT INSURANCE 353 820 750 750 750 750 750 750 750
52-520-52-00-5231 LIABILITY INSURANCE 13,439 13,247 14,052 13,659 15,025 15,927 16,883 17,896 18,970
52-520-54-00-5401 ADMINISTRATIVE CHARGEBACK 38,925 40,176 42,696 42,696 44,953 46,302 47,691 49,122 50,596
52-520-54-00-5405 BUILD PROGRAM 93,000 18,000 - - - - - - -
52-520-54-00-5412 TRAINING & CONFERENCES 1,180 277 2,500 2,500 3,500 3,400 3,400 3,400 3,400
52-520-54-00-5415 TRAVEL & LODGING 344 1,308 2,000 2,000 3,000 3,000 3,000 3,000 3,000
52-520-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 316 8,258 8,258 - - 9,017 - -
52-520-54-00-5430 PRINTING & DUPLICATING 1,307 1,286 1,500 1,500 1,500 1,500 1,500 1,500 1,500
52-520-54-00-5440 TELECOMMUNICATIONS 8,667 8,307 9,000 9,000 13,500 13,500 13,500 13,500 13,500
52-520-54-00-5444 LIFT STATION SERVICES 20,727 14,783 75,000 26,000 64,000 20,000 20,000 20,000 20,000
52-520-54-00-5462 PROFESSIONAL SERVICES 14,638 18,260 43,000 33,000 45,500 34,250 23,000 23,000 23,000
52-520-54-00-5480 UTILITIES 20,081 13,748 22,472 22,472 23,820 25,249 26,764 28,370 30,072
52-520-54-00-5483 JULIE SERVICES - 2,190 3,000 3,000 3,000 3,000 3,000 3,000 3,000
52-520-54-00-5485 RENTAL & LEASE PURCHASE 662 1,031 1,000 1,100 1,100 1,100 1,100 1,100 1,100
52-520-54-00-5488 OFFICE CLEANING 729 737 759 731 788 812 836 861 887
INVESTMENT EARNINGS
REIMB - MISCELLANEOUS
97
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
52-520-54-00-5490 VEHICLE MAINTENANCE SERVICES 1,643 12,605 10,000 10,000 10,000 10,000 10,000 10,000 10,000
52-520-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 15,072 11,030 16,000 16,000 16,000 16,000 16,000 16,000 16,000
52-520-54-00-5498 PAYING AGENT FEES 1,277 689 750 750 750 750 750 750 750
52-520-54-00-5499 BAD DEBT 2,859 1,251 3,000 3,000 3,000 3,000 3,000 3,000 3,000
52-520-56-00-5600 WEARING APPAREL 3,965 2,289 3,980 3,980 3,980 3,980 3,980 3,980 3,980
52-520-56-00-5610 OFFICE SUPPLIES 1,029 870 1,000 1,000 1,000 1,000 1,000 1,000 1,000
52-520-56-00-5613 LIFT STATION MAINTENANCE 8,006 19,361 8,000 8,000 8,000 8,000 8,000 8,000 8,000
52-520-56-00-5620 OPERATING SUPPLIES 4,516 5,332 9,000 9,000 12,000 9,500 9,500 9,500 9,500
52-520-56-00-5628 VEHICLE MAINTENANCE SUPPLIES 5,356 8,968 10,000 10,000 10,000 10,000 10,000 10,000 10,000
52-520-56-00-5630 SMALL TOOLS & EQUIPMENT 711 775 2,000 2,000 2,000 2,000 2,000 2,000 2,000
52-520-56-00-5640 REPAIR & MAINTENANCE 2,243 2,497 5,000 5,000 5,000 5,000 5,000 5,000 5,000
52-520-56-00-5665 JULIE SUPPLIES - 380 1,200 1,200 2,233 1,200 1,200 1,200 1,200
52-520-56-00-5695 GASOLINE 20,076 19,870 22,470 22,470 24,043 25,245 26,507 27,832 29,224
52-520-60-00-6001 SCADA SYSTEM - - 67,000 45,000 67,000 67,000 - - -
52-520-60-00-6025 ROAD TO BETTER ROADS PROGRAM 160,219 134,529 137,000 62,000 - - 440,000 460,000 660,000
52-520-60-00-6034 WHISPERING MEADOWS SUBDIVISION 172 73,554 - 300 - - - - -
52-520-60-00-6059 US 34 (IL 47 / ORCHARD RD) PROJECT 4,213 978 11,373 650 650 - - - -
52-520-60-00-6060 EQUIPMENT - - - - 80,000 - - - -
52-520-60-00-6066 RTE 71 SANITARY SEWER REPLACEMENT 4,560 574 63,000 63,000 34,223 34,223 - - -
52-520-60-00-6070 VEHICLES - - 50,000 45,000 - 100,000 - - -
52-520-60-00-6079 ROUTE 47 EXPANSION 59,015 25,526 22,488 22,488 22,488 22,488 9,370 - -
52-520-75-00-7500 LENNAR - RAINTREE SEWER RECAPTURE 34,888 35,938 30,721 31,500 - - - - -
Debt Service - 2004B Bond
52-520-84-00-8000 PRINCIPAL PAYMENT 435,000 455,000 - - - - - - -
52-520-84-00-8050 INTEREST EXPENSE 35,600 18,200 - - - - - - -
Debt Service - 2003A IRBB Debt Certificates
52-520-90-00-8000 PRINCIPAL PAYMENT 120,000 130,000 135,000 135,000 140,000 150,000 155,000 - -
52-520-90-00-8050 INTEREST EXPENSE 42,293 36,233 29,668 29,668 22,850 15,710 8,060 - -
Debt Service - 2011 Refunding Bond
52-520-92-00-8000 PRINCIPAL PAYMENT 780,000 810,000 845,000 845,000 885,000 920,000 960,000 1,000,000 1,045,000
52-520-92-00-8050 INTEREST EXPENSE 357,166 323,782 289,114 289,114 252,948 215,070 175,964 134,606 91,806
Debt Service - IEPA Loan L17-115300
52-520-96-00-8000 PRINCIPAL PAYMENT 100,952 103,619 52,832 52,832 - - - - -
52-520-96-00-8050 INTEREST EXPENSE 6,099 3,431 693 693 - - - - -
52-520-99-00-9951 TRANSFER TO WATER 73,875 77,675 73,875 73,875 75,125 75,675 73,650 74,125 69,525
Expenses 2,816,811 2,724,110 2,546,355 2,269,297 2,288,076 2,269,957 2,511,949 2,373,028 2,594,514
Surplus(Deficit)33,021 (300,804) (396,676) (34,747) (470,209) (4,393) 202,466 526,919 351,423
Fund Balance Equiv 1,411,053 1,110,251 705,765 1,075,504 605,295 600,902 803,368 1,330,287 1,681,710
50.09%40.76%27.72%47.39%26.45%26.47%31.98%56.06%64.82%
98
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Intergovernmental - 702,474 - - - - - - -
Licenses & Permits 1,505 - - - - - - - -
Reimbursements 5,701 - - - - - - - -
Land Cash Contributions 125,491 161,691 58,435 38,876 33,858 25,760 24,354 5,454 5,454
Miscellaneous - 3,426 - - - - - - -
Other Financing Sources 2,503 - - - - - - - -
Total Revenue 135,200 867,591 58,435 38,876 33,858 25,760 24,354 5,454 5,454
Expenditures
Contractual Services 1,505 4,795 4,850 5,035 5,287 5,551 5,829 6,120 6,426
Capital Outlay 662,215 372,760 100,000 100,000 145,000 74,000 - - -
Total Expenditures 663,720 377,555 104,850 105,035 150,287 79,551 5,829 6,120 6,426
Surplus (Deficit)(528,520) 490,036 (46,415) (66,159) (116,429) (53,791) 18,525 (666) (972)
Ending Fund Balance (278,204) 211,832 62,362 145,673 29,244 (24,547) (6,022) (6,688) (7,660)
Land-Cash funds are dedicated by developers through the contribution ordinance to serve the immediate and future needs of park and recreation of residents in new subdivisions. Land for park
development and cash spent on recreational facilities is often matched through grant funding to meet the community’s recreation needs at a lower cost to the City.
Land Cash Fund (72)
($400)
($200)
$0
$200
$400
ThousandsFund Balance
99
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Land Cash - 72
72-000-41-00-4175 OSLAD GRANT - RIVERFRONT PARK - 312,671 - - - - - - -
72-000-41-00-4186 OSLAD GRANT - BRISTOL BAY - 389,803 - - - - - - -
72-000-42-00-4216 BUILD PROGRAM PERMITS 1,505 - - - - - - - -
72-000-46-00-4655 REIMB - GRANDE RESERVE PARK 5,701 - - - - - - - -
72-000-47-00-4701 WHITE OAK - - - 1,406 1,406 1,406 - - -
72-000-47-00-4702 WHISPERING MEADOWS - - - - 4,699 4,699 4,699 - -
72-000-47-00-4703 AUTUMN CREEK - 3,003 6,606 6,006 - - - - -
72-000-47-00-4704 BLACKBERRY WOODS 17,614 10,795 15,909 568 1,932 1,932 1,932 1,932 1,932
72-000-47-00-4706 CALEDONIA 39,261 32,214 16,341 16,341 4,698 4,698 4,698 - -
72-000-47-00-4707 RIVER'S EDGE 671 - - - 671 - - - -
72-000-47-00-4708 COUNTRY HILLS 6,152 769 8,000 4,000 4,358 4,358 4,358 - -
72-000-47-00-4709 SALEK 3,213 - - - - - - - -
72-000-47-00-4711 FOX HIGHLANDS - - - - 3,298 - - - -
72-000-47-00-4722 GC HOUSING (ANTHONY'S PLACE)- 97,162 - - - - - - -
72-000-47-00-4723 WINDETT RIDGE 50,000 10,000 - - - - - - -
72-000-47-00-4724 KENDALL MARKETPLACE 162 1,133 2,024 1,000 2,752 - - - -
72-000-47-00-4725 HEARTLAND MEADOWS - - - - 3,522 3,522 3,522 3,522 3,522
72-000-47-00-4726 KENDALLWOOD ESTATES - - - - - - - - -
72-000-47-00-4727 CIMARRON RIDGE - - - - 1,377 - - - -
72-000-47-00-4736 BRIARWOOD 8,418 6,615 9,555 9,555 5,145 5,145 5,145 - -
72-000-48-00-4850 MISCELLANEOUS INCOME - 3,426 - - - - - - -
72-000-49-00-4910 SALE OF CAPITAL ASSETS 2,503 - - - - - - - -
Revenue 135,200 867,591 58,435 38,876 33,858 25,760 24,354 5,454 5,454
72-720-54-00-5405 BUILD PROGRAM 1,505 - - - - - - - -
72-720-54-00-5485 RENTAL & LEASE PURCHASE - 4,795 4,850 5,035 5,287 5,551 5,829 6,120 6,426
72-720-60-00-6010 PARK IMPROVEMENTS - 267,479 - - - - - - -
72-720-60-00-6013 BEECHER CENTER PARK - - - - 105,000 - - - -
72-720-60-00-6014 BLACKBERRY WOODS - - - - - - - - -
72-720-60-00-6029 CALEDONIA PARK - - - 60,000 25,000 - - - -
72-720-60-00-6040 PRESTWICK - - - - - 74,000 - - -
72-720-60-00-6043 BRISTOL BAY REGIONAL PARK 384,922 6,483 - - - - - - -
72-720-60-00-6045 RIVERFRONT PARK 276,616 41,228 - - - - - - -
72-720-60-00-6046 GRANDE RESERVE PARK 677 - 25,000 - - - - - -
72-720-60-00-6047 AUTUMN CREEK - - 50,000 40,000 10,000 - - - -
72-720-60-00-6049 RAINTREE PARK C - - 25,000 - - - - - -
100
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
72-720-60-00-6067 BLACKBERRY CREEK NATURE PRESERVE - - - - 5,000 - - - -
72-720-60-00-6069 WINDETT RIDGE PARK - 57,570 - - - - - - -
Expenditures 663,720 377,555 104,850 105,035 150,287 79,551 5,829 6,120 6,426
Surplus(Deficit)(528,520) 490,036 (46,415) (66,159) (116,429) (53,791) 18,525 (666) (972)
Fund Balance (278,204) 211,832 62,362 145,673 29,244 (24,547) (6,022) (6,688) (7,660)
101
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Intergovernmental - 81,815 - - - - - - -
Charges for Service 453,466 579,155 632,000 640,000 650,000 650,000 650,000 650,000 650,000
Investment Earnings 800 1,534 1,500 1,300 1,300 1,300 1,300 1,300 1,300
Reimbursements 174 23,137 - 14,000 - - - - -
Miscellaneous 234,784 208,720 200,500 227,178 226,716 228,709 230,781 232,936 235,178
Other Financing Sources 1,308,583 1,274,699 1,410,988 1,410,988 1,314,316 1,720,865 1,801,347 1,857,801 1,925,348
Total Revenue 1,997,807 2,169,060 2,244,988 2,293,466 2,192,332 2,600,874 2,683,428 2,742,037 2,811,826
Expenditures
Salaries 868,189 972,011 1,103,861 1,100,859 1,172,012 1,203,697 1,236,273 1,269,766 1,304,204
Benefits 390,010 393,482 448,232 445,759 490,032 511,815 544,758 579,610 613,928
Contractual Services 320,383 355,673 309,358 320,973 392,565 375,032 390,612 379,347 378,775
Supplies 391,250 468,833 487,630 509,327 507,185 510,330 511,785 513,314 514,919
Total Expenditures 1,969,832 2,189,999 2,349,081 2,376,918 2,561,794 2,600,874 2,683,428 2,742,037 2,811,826
Surplus (Deficit)27,975 (20,939) (104,093) (83,452) (369,462) - - - -
Ending Fund Balance 473,852 452,914 312,946 369,462 - - - - -
24.06%20.68%13.32%15.54%0.00%0.00%0.00%0.00%0.00%
Parks and Recreation Fund (79)
This fund accounts for the daily operations of the Parks and Recreation Department. Programs, classes, special events and maintenance of City wide park land and public facilities make up the day to
day operations. Programs and classes consist of a wide variety of options serving children through senior citizens. Special events range from Music Under the Stars to Home Town Days. City wide
maintenance consists of over two hundred acres at more than fifty sites including buildings, boulevards, parks, utility locations and natural areas.
$0
$200
$400
$600
ThousandsFund Balance
102
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Parks and Recreation - 79
79-000-41-00-4175 OSLAD GRANT - RIVERFRONT PARK - 81,815 - - - - - - -
79-000-44-00-4402 SPECIAL EVENTS 87,666 88,828 90,000 90,000 90,000 90,000 90,000 90,000 90,000
79-000-44-00-4403 CHILD DEVELOPMENT 141,046 143,949 145,000 135,000 145,000 145,000 145,000 145,000 145,000
79-000-44-00-4404 ATHLETICS & FITNESS 187,611 318,981 365,000 370,000 370,000 370,000 370,000 370,000 370,000
79-000-44-00-4441 CONCESSION REVENUE 37,143 27,397 32,000 45,000 45,000 45,000 45,000 45,000 45,000
79-000-45-00-4500 800 1,534 1,500 1,300 1,300 1,300 1,300 1,300 1,300
79-000-46-00-4690 REIMB - MISCELLANEOUS 174 23,137 - 14,000 - - - - -
79-000-48-00-4820 RENTAL INCOME 54,701 53,208 54,500 59,900 64,216 66,209 68,281 70,436 72,678
79-000-48-00-4825 PARK RENTALS 20,200 15,714 15,000 20,000 17,500 17,500 17,500 17,500 17,500
79-000-48-00-4843 HOMETOWN DAYS 128,156 118,141 108,000 124,278 120,000 120,000 120,000 120,000 120,000
79-000-48-00-4846 SPONSORSHIPS & DONATIONS 19,753 14,577 20,000 18,000 20,000 20,000 20,000 20,000 20,000
79-000-48-00-4850 MISCELLANEOUS INCOME 11,974 7,080 3,000 5,000 5,000 5,000 5,000 5,000 5,000
79-000-49-00-4901 TRANSFER FROM GENERAL 1,308,583 1,274,699 1,410,988 1,410,988 1,314,316 1,720,865 1,801,347 1,857,801 1,925,348
Revenue 1,997,807 2,169,060 2,244,988 2,293,466 2,192,332 2,600,874 2,683,428 2,742,037 2,811,826
Parks Department
79-790-50-00-5010 SALARIES & WAGES 459,025 485,017 552,859 552,859 601,936 619,994 638,594 657,752 677,485
79-790-50-00-5015 PART-TIME SALARIES 37,282 49,603 51,000 58,000 59,000 60,000 61,000 62,000 63,000
79-790-50-00-5020 OVERTIME 2,533 4,283 5,000 5,000 5,000 5,000 5,000 5,000 5,000
79-790-52-00-5212 RETIREMENT PLAN CONTRIBUTION 51,254 51,004 52,725 56,500 70,570 71,562 75,558 79,530 81,898
79-790-52-00-5214 FICA CONTRIBUTION 36,883 39,628 44,715 45,500 48,830 50,295 51,804 53,358 54,959
79-790-52-00-5216 GROUP HEALTH INSURANCE 131,162 130,395 153,747 157,370 157,762 170,383 184,014 198,735 214,634
79-790-52-00-5222 GROUP LIFE INSURANCE 896 570 645 624 645 651 658 665 672
79-790-52-00-5223 DENTAL INSURANCE 9,726 9,509 10,866 10,892 9,708 10,193 10,703 11,238 11,800
79-790-52-00-5224 VISION INSURANCE 1,313 1,354 1,537 1,529 1,537 1,583 1,630 1,679 1,729
79-790-54-00-5412 TRAINING & CONFERENCES 4,186 725 7,000 4,000 7,000 7,000 7,000 7,000 7,000
79-790-54-00-5415 TRAVEL & LODGING 248 1 3,000 - 3,000 3,000 3,000 3,000 3,000
79-790-54-00-5422 VEHICLE & EQUIPMENT CHARGEBACK 70,000 90,000 - - 75,000 50,000 50,000 50,000 50,000
79-790-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 5,218 3,262 8,209 875 - 8,209 957 985
79-790-54-00-5440 TELECOMMUNICATIONS 6,348 6,786 6,500 8,000 8,100 8,100 8,100 8,100 8,100
79-790-54-00-5462 PROFESSIONAL SERVICES 3,940 10,105 11,400 7,000 11,400 11,400 11,400 11,400 11,400
79-790-54-00-5466 LEGAL SERVICES 2,634 645 3,000 750 2,000 2,000 2,000 2,000 2,000
79-790-54-00-5485 RENTAL & LEASE PURCHASE 5,818 2,770 2,500 2,500 2,500 2,500 2,500 2,500 2,500
79-790-54-00-5488 OFFICE CLEANING 2,719 2,435 2,876 2,917 3,078 3,170 3,265 3,363 3,464
79-790-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 17,640 42,578 50,000 40,000 33,759 40,000 40,000 40,000 40,000
79-790-56-00-5600 WEARING APPAREL 8,647 4,905 6,220 6,220 6,220 6,220 6,220 6,220 6,220
79-790-56-00-5620 OPERATING SUPPLIES 31,213 40,658 25,000 25,000 25,000 25,000 25,000 25,000 25,000
79-790-56-00-5630 SMALL TOOLS & EQUIPMENT 5,965 5,801 6,000 6,000 6,000 6,000 6,000 6,000 6,000
79-790-56-00-5640 REPAIR & MAINTENANCE 60,544 58,771 71,000 70,000 71,000 71,000 71,000 71,000 71,000
INVESTMENT EARNINGS
103
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
79-790-56-00-5646 ATHLETIC FIELDS & EQUIPMENT 7,803 51,163 55,000 55,000 55,000 55,000 55,000 55,000 55,000
79-790-56-00-5695 GASOLINE 15,686 21,977 25,410 25,410 27,189 28,548 29,975 31,474 33,048
973,465 1,115,901 1,151,262 1,149,280 1,292,109 1,308,599 1,357,630 1,392,971 1,435,894
Recreation Department
79-795-50-00-5010 SALARIES & WAGES 290,580 338,230 359,002 368,000 387,576 399,203 411,179 423,514 436,219
79-795-50-00-5015 PART-TIME SALARIES 16,602 18,784 41,000 25,000 23,500 24,500 25,500 26,500 27,500
79-795-50-00-5045 CONCESSION WAGES 8,344 8,023 15,000 15,000 15,000 15,000 15,000 15,000 15,000
79-795-50-00-5046 PRE-SCHOOL WAGES 34,468 34,324 40,000 40,000 40,000 40,000 40,000 40,000 40,000
79-795-50-00-5052 INSTRUCTORS WAGES 19,355 33,747 40,000 37,000 40,000 40,000 40,000 40,000 40,000
79-795-52-00-5212 RETIREMENT PLAN CONTRIBUTION 31,208 34,687 37,514 37,514 49,493 45,709 48,272 50,822 52,346
79-795-52-00-5214 FICA CONTRIBUTION 27,561 32,343 36,761 34,000 37,543 38,669 39,829 41,024 42,255
79-795-52-00-5216 GROUP HEALTH INSURANCE 92,497 86,065 101,795 93,832 105,633 114,084 123,211 133,068 143,713
79-795-52-00-5222 GROUP LIFE INSURANCE 407 440 440 475 475 480 485 490 495
79-795-52-00-5223 DENTAL INSURANCE 6,235 6,539 6,539 6,539 6,744 7,081 7,435 7,807 8,197
79-795-52-00-5224 VISION INSURANCE 868 948 948 984 1,092 1,125 1,159 1,194 1,230
79-795-54-00-5410 TUITION REIMBURSEMENT - - 9,648 - - - - - -
79-795-54-00-5412 TRAINING & CONFERENCES 3,295 4,074 5,000 3,750 5,000 5,000 5,000 5,000 5,000
79-795-54-00-5415 TRAVEL & LODGING 542 35 3,000 2,000 3,000 3,000 3,000 3,000 3,000
79-795-54-00-5422 VEHICLE & EQUIPMENT CHARGEBACK - - - - - - - - -
79-795-54-00-5424 COMPUTER REPLACEMENT CHARGEBACK - 3,799 5,888 5,888 875 1,883 8,100 2,870 985
79-795-54-00-5426 PUBLISHING & ADVERTISING 52,825 55,361 55,000 56,000 55,000 55,000 55,000 55,000 55,000
79-795-54-00-5440 TELECOMMUNICATIONS 7,734 9,034 8,000 8,000 8,750 8,750 8,750 8,750 8,750
79-795-54-00-5447 SCHOLARSHIPS - - 2,500 500 2,500 2,500 2,500 2,500 2,500
79-795-54-00-5452 POSTAGE & SHIPPING 3,198 6,322 3,500 5,000 3,500 3,500 3,500 3,500 3,500
79-795-54-00-5460 DUES & SUBSCRIPTIONS 4,113 3,139 3,000 3,250 3,000 3,000 3,000 3,000 3,000
79-795-54-00-5462 PROFESSIONAL SERVICES 116,287 91,593 100,000 140,000 140,000 140,000 140,000 140,000 140,000
79-795-54-00-5480 UTILITIES 11,515 13,205 14,292 14,292 15,150 16,059 17,023 18,044 19,127
79-795-54-00-5485 RENTAL & LEASE PURCHASE 1,874 1,711 3,000 3,000 3,000 3,000 3,000 3,000 3,000
79-795-54-00-5488 OFFICE CLEANING 4,194 3,876 3,992 2,917 3,078 3,170 3,265 3,363 3,464
79-795-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 1,273 2,261 3,000 3,000 3,000 3,000 3,000 3,000 3,000
79-795-56-00-5602 HOMETOWN DAYS SUPPLIES 108,177 110,986 100,000 124,197 120,000 120,000 120,000 120,000 120,000
79-795-56-00-5606 PROGRAM SUPPLIES 119,317 139,495 160,000 160,000 158,241 160,000 160,000 160,000 160,000
79-795-56-00-5607 CONCESSION SUPPLIES 15,796 14,482 18,000 18,000 18,000 18,000 18,000 18,000 18,000
79-795-56-00-5610 OFFICE SUPPLIES 2,809 1,968 3,000 2,500 3,000 3,000 3,000 3,000 3,000
79-795-56-00-5620 OPERATING SUPPLIES 12,115 16,407 15,000 15,000 15,000 15,000 15,000 15,000 15,000
104
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
79-795-56-00-5640 REPAIR & MAINTENANCE 2,279 966 2,000 1,500 2,000 2,000 2,000 2,000 2,000
79-795-56-00-5695 GASOLINE 899 1,254 1,000 500 535 562 590 620 651
996,367 1,074,098 1,197,819 1,227,638 1,269,685 1,292,275 1,325,798 1,349,066 1,375,932
Expenditures 1,969,832 2,189,999 2,349,081 2,376,918 2,561,794 2,600,874 2,683,428 2,742,037 2,811,826
Surplus(Deficit)27,975 (20,939) (104,093) (83,452) (369,462) - - - -
Fund Balance 473,852 452,914 312,946 369,462 - - - - -
24.06%20.68%13.32%15.54%0.00%0.00%0.00%0.00%0.00%
105
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Taxes1,402,659 1,457,087 1,492,248 1,497,431 1,562,000 1,597,242 1,627,131 1,669,993 1,691,484 Intergovernmental18,086 30,564 25,250 26,401 25,250 25,250 25,250 25,250 25,250 Fines & Forfeits9,922 9,234 8,500 8,500 8,500 8,500 8,500 8,500 8,500 Charges for Service12,750 13,466 11,750 12,164 12,300 12,400 12,400 12,400 12,400 Investment Earnings5,423 11,463 10,000 17,382 8,959 8,272 7,518 6,688 5,788 Reimbursements691 - - - - - - - - Miscellaneous6,488 3,463 4,000 4,000 3,750 3,750 3,750 3,750 3,750 Other Financing Sources23,775 23,495 25,003 24,235 26,584 28,134 29,777 31,519 33,365 Total Revenue1,479,794 1,548,772 1,576,751 1,590,113 1,647,343 1,683,548 1,714,326 1,758,100 1,780,537 ExpendituresSalaries403,032 426,855 474,394 445,894 479,742 504,163 528,938 554,019 579,412 Benefits148,184 158,810 175,658 167,570 181,677 193,876 206,493 219,782 233,039 Contractual Services131,797 104,354 149,080 135,019 152,448 153,006 153,756 154,551 155,394 Supplies15,088 22,737 24,200 24,200 25,300 25,300 25,300 25,300 25,300 Debt Service760,396 792,101 797,013 797,013 827,088 840,225 847,313 866,750 864,000 Total Expenditures1,458,497 1,504,857 1,620,345 1,569,696 1,666,255 1,716,570 1,761,800 1,820,402 1,857,145 Surplus (Deficit)21,297 43,915 (43,594) 20,417 (18,912) (33,022) (47,474) (62,302) (76,608) Ending Fund Balance510,355 554,271 474,039 574,688 555,776 522,754 475,280 412,978 336,370 34.99% 36.83% 29.26% 36.61% 33.35% 30.45% 26.98% 22.69% 18.11%Operational Fund Balance %73.11% 77.76% 57.58% 74.38% 66.23% 59.65% 51.97% 43.30% 33.87%Library Operations Fund (82)The Yorkville Public Library provides the people of the community, from pre-school through maturity, with access to a collection of books and other materials which will serve their educational, cultural and recreational needs. The Library board and staff strive to provide the community an environment that promotes the love of reading.$0$200$400$600$800ThousandsFund Balance106
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Library Operations
82-000-40-00-4000 PROPERTY TAXES - LIBRARY OPS 644,025 669,065 699,220 702,716 739,047 761,218 784,055 807,577 831,804
82-000-40-00-4083 PROPERTY TAXES - DEBT SERVICE 758,634 788,022 793,028 794,715 822,953 836,024 843,076 862,416 859,680
82-000-41-00-4120 PERSONAL PROPERTY TAX 4,948 5,353 5,250 5,250 5,250 5,250 5,250 5,250 5,250
82-000-41-00-4170 STATE GRANTS 13,138 25,211 20,000 21,151 20,000 20,000 20,000 20,000 20,000
82-000-43-00-4330 LIBRARY FINES 9,922 9,234 8,500 8,500 8,500 8,500 8,500 8,500 8,500
82-000-44-00-4401 LIBRARY SUBSCRIPTION CARDS 8,040 9,185 8,000 8,300 8,500 8,500 8,500 8,500 8,500
82-000-44-00-4422 COPY FEES 3,853 3,980 3,750 3,800 3,800 3,900 3,900 3,900 3,900
82-000-44-00-4439 PROGRAM FEES 857 301 - 64 - - - - -
82-000-45-00-4500 4,593 11,463 10,000 13,500 8,959 8,272 7,518 6,688 5,788
82-000-45-00-4550 GAIN ON INVESTMENT 830 - - 3,882 - - - - -
82-000-46-00-4690 REIMB - MISCELLANEOUS 691 - - - - - - - -
82-000-48-00-4820 RENTAL INCOME 1,806 1,405 2,000 1,500 1,750 1,750 1,750 1,750 1,750
82-000-48-00-4824 DVD RENTAL INCOME 2,842 1,228 - - - - - - -
82-000-48-00-4850 MISCELLANEOUS INCOME 1,840 830 2,000 2,500 2,000 2,000 2,000 2,000 2,000
82-000-49-00-4901 TRANSFER FROM GENERAL 23,775 23,495 25,003 24,235 26,584 28,134 29,777 31,519 33,365
Revenue 1,479,794 1,548,772 1,576,751 1,590,113 1,647,343 1,683,548 1,714,326 1,758,100 1,780,537
82-820-50-00-5010 SALARIES & WAGES 213,880 261,231 278,394 278,394 289,742 298,434 307,387 316,609 326,107
82-820-50-00-5015 PART-TIME SALARIES 189,152 165,624 196,000 167,500 190,000 205,729 221,551 237,410 253,305
82-820-52-00-5212 RETIREMENT PLAN CONTRIBUTION 22,885 26,614 25,541 29,000 32,779 34,171 36,087 37,993 39,133
82-820-52-00-5214 FICA CONTRIBUTION 30,169 31,983 35,544 33,500 35,952 38,568 40,464 42,382 44,325
82-820-52-00-5216 GROUP HEALTH INSURANCE 65,658 68,695 81,184 72,474 78,641 84,932 91,727 99,065 106,990
82-820-52-00-5222 GROUP LIFE INSURANCE 388 351 387 362 387 391 395 399 403
82-820-52-00-5223 DENTAL INSURANCE 4,672 6,699 6,987 6,987 6,322 6,638 6,970 7,319 7,685
82-820-52-00-5224 VISION INSURANCE 637 973 1,012 1,012 1,012 1,042 1,073 1,105 1,138
82-820-52-00-5230 UNEMPLOYMENT INSURANCE 747 604 750 750 750 750 750 750 750
82-820-52-00-5231 LIABILITY INSURANCE 23,028 22,891 24,253 23,485 25,834 27,384 29,027 30,769 32,615
82-820-54-00-5412 TRAINING & CONFERENCES 308 1,374 2,000 1,200 3,000 3,000 3,000 3,000 3,000
82-820-54-00-5415 TRAVEL & LODGING 348 1,557 1,500 500 1,500 1,500 1,500 1,500 1,500
82-820-54-00-5426 PUBLISHING & ADVERTISING 100 3,019 2,000 1,000 2,500 2,500 2,500 2,500 2,500
82-820-54-00-5440 TELECOMMUNICATIONS 4,513 5,313 6,000 5,750 7,200 7,200 7,200 7,200 7,200
82-820-54-00-5452 POSTAGE & SHIPPING 582 655 750 750 750 600 600 600 600
82-820-54-00-5460 DUES & SUBSCRIPTIONS 8,911 9,602 11,000 11,000 11,000 11,000 11,000 11,000 11,000
82-820-54-00-5462 PROFESSIONAL SERVICES 24,151 24,213 40,000 35,000 40,000 40,000 40,000 40,000 40,000
82-820-54-00-5466 LEGAL SERVICES 2,100 2,205 3,000 2,000 3,000 3,000 3,000 3,000 3,000
82-820-54-00-5468 AUTOMATION 13,466 13,854 20,000 15,000 20,000 20,000 20,000 20,000 20,000
82-820-54-00-5480 UTILITIES 9,852 11,973 11,130 11,130 11,798 12,506 13,256 14,051 14,894
82-820-54-00-5495 OUTSIDE REPAIR & MAINTENANCE 65,777 28,900 50,000 50,000 50,000 50,000 50,000 50,000 50,000
82-820-54-00-5498 PAYING AGENT FEES 1,689 1,689 1,700 1,689 1,700 1,700 1,700 1,700 1,700
INVESTMENT EARNINGS
107
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
82-820-56-00-5610 OFFICE SUPPLIES 5,518 7,147 8,000 8,000 8,000 8,000 8,000 8,000 8,000
82-820-56-00-5620 LIBRARY OPERATING SUPPLIES 6,733 3,821 3,000 3,000 4,000 4,000 4,000 4,000 4,000
82-820-56-00-5621 CUSTODIAL SUPPLIES - 4,215 8,000 8,000 7,000 7,000 7,000 7,000 7,000
82-820-56-00-5635 COMPUTER EQUIPMENT & SOFTWARE - 1,199 2,000 1,000 2,000 2,000 2,000 2,000 2,000
82-820-56-00-5671 LIBRARY PROGRAMMING 820 1,737 1,000 2,000 2,000 2,000 2,000 2,000 2,000
82-820-56-00-5676 EMPLOYEE RECOGNITION 151 247 200 200 300 300 300 300 300
82-820-56-00-5684 COMPACT DISCS & OTHER MUSIC - - - - - - - - -
82-820-56-00-5685 DVD'S 499 56 500 500 500 500 500 500 500
82-820-56-00-5686 BOOKS 1,367 4,315 1,500 1,500 1,500 1,500 1,500 1,500 1,500
Debt Service - 2006 Bond
82-820-84-00-8000 PRINCIPAL PAYMENT 50,000 50,000 50,000 50,000 75,000 75,000 75,000 100,000 100,000
82-820-84-00-8050 INTEREST PAYMENT 27,363 24,988 22,613 22,613 20,238 16,675 13,113 9,550 4,800
Debt Service - 2013 Refunding Bond
82-820-99-00-8000 PRINCIPAL PAYMENT 520,000 565,000 585,000 585,000 610,000 645,000 675,000 700,000 730,000
82-820-99-00-8050 INTEREST PAYMENT 163,033 152,113 139,400 139,400 121,850 103,550 84,200 57,200 29,200
Expenditures 1,458,497 1,504,857 1,620,345 1,569,696 1,666,255 1,716,570 1,761,800 1,820,402 1,857,145
Surplus(Deficit)21,297 43,915 (43,594) 20,417 (18,912) (33,022) (47,474) (62,302) (76,608)
Fund Balance 510,355 554,271 474,039 574,688 555,776 522,754 475,280 412,978 336,370
34.99%36.83%29.26%36.61%33.35%30.45%26.98%22.69%18.11%
Operational Fund Balance %73.11%77.76%57.58%74.38%66.23%59.65%51.97%43.30%33.87%
108
.
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Licenses & Permits 100,484 103,100 50,000 113,000 50,000 50,000 50,000 50,000 50,000
Investment Earnings 16 257 100 725 500 250 250 250 250
Miscellaneous 37 1,835 - - - - - - -
Total Revenue 100,537 105,192 50,100 113,725 50,500 50,250 50,250 50,250 50,250
Expenditures
Contractual Services 3,425 3,213 3,500 3,000 3,500 3,500 3,500 3,500 3,500
Supplies 54,604 77,162 72,000 64,500 72,000 72,000 72,000 72,000 58,360
Capital Outlay 3,970 - - - - - - - -
Total Expenditures 61,999 80,375 75,500 67,500 75,500 75,500 75,500 75,500 61,860
Surplus (Deficit)38,538 24,817 (25,400) 46,225 (25,000) (25,250) (25,250) (25,250) (11,610)
Ending Fund Balance 58,443 83,260 31,274 129,485 104,485 79,235 53,985 28,735 17,125
Library Capital Fund (84)
The Library Capital Fund derives its revenue from monies collected from building permits. The revenue is used for Library building maintenance and associated capital, contractual and supply
purchases.
$0
$50
$100
$150
ThousandsFund Balance
109
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Library Capital
84-000-42-00-4214 DEVELOPMENT FEES 100,484 103,100 50,000 113,000 50,000 50,000 50,000 50,000 50,000
84-000-45-00-4500 16 257 100 725 500 250 250 250 250
84-000-48-00-4850 MISCELLANEOUS INCOME 37 1,835 - - - - - - -
Revenue 100,537 105,192 50,100 113,725 50,500 50,250 50,250 50,250 50,250
84-840-54-00-5460 E-BOOKS SUBSCRIPTION 3,425 3,213 3,500 3,000 3,500 3,500 3,500 3,500 3,500
84-840-56-00-5635 COMPUTER EQUIPMENT & SOFTWARE 7,367 14,897 15,000 7,500 15,000 15,000 15,000 15,000 15,000
84-840-56-00-5683 AUDIO BOOKS 3,531 3,877 3,500 3,500 3,500 3,500 3,500 3,500 3,500
84-840-56-00-5684 COMPACT DISCS & OTHER MUSIC 699 290 500 500 500 500 500 500 500
84-840-56-00-5685 DVD'S 1,903 3,425 3,000 3,000 3,000 3,000 3,000 3,000 3,000
84-840-56-00-5686 BOOKS 41,104 54,673 50,000 50,000 50,000 50,000 50,000 50,000 36,360
84-840-60-00-6020 BUILDINGS & STRUCTURES 3,970 - - - - - - - -
Expenditures 61,999 80,375 75,500 67,500 75,500 75,500 75,500 75,500 61,860
Surplus(Deficit)38,538 24,817 (25,400) 46,225 (25,000) (25,250) (25,250) (25,250) (11,610)
Fund Balance 58,443 83,260 31,274 129,485 104,485 79,235 53,985 28,735 17,125
INVESTMENT EARNINGS
110
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Taxes 198,294 198,918 232,318 203,884 153,965 286,900 365,501 374,639 384,005
Total Revenue 198,294 198,918 232,318 203,884 153,965 286,900 365,501 374,639 384,005
Expenditures
Contractual Services 12,691 12,208 713,963 712,924 14,262 14,609 14,966 15,334 15,713
Debt Service 149,669 149,351 209,845 209,845 208,311 209,316 208,787 209,422 208,522
Total Expenditures 162,360 161,559 923,808 922,769 222,573 223,925 223,753 224,756 224,235
Surplus (Deficit)35,934 37,359 (691,490) (718,885) (68,608) 62,975 141,748 149,883 159,770
Ending Fund Balance (459,819) (422,459) (1,077,343) (1,141,344) (1,209,952) (1,146,977) (1,005,229) (855,346) (695,576)
Countryside TIF Fund (87)
The Countryside TIF was created in February of 2005, with the intent of constructing a future retail development at Countryside Center. This TIF is located at the northwest corner of US Route 34
and IL Route 47.
($1,500)
($1,000)
($500)
$0
ThousandsFund Balance
111
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Countryside TIF
87-000-40-00-4000 PROPERTY TAXES 198,294 198,918 232,318 203,884 153,965 286,900 365,501 374,639 384,005
Revenue 198,294 198,918 232,318 203,884 153,965 286,900 365,501 374,639 384,005
87-870-54-00-5401 ADMINISTRATIVE CHARGEBACK 10,701 11,049 11,263 11,263 11,562 11,909 12,266 12,634 13,013
87-870-54-00-5425 TIF INCENTIVE PAYOUT - - 700,000 700,000 - - - - -
87-870-54-00-5462 PROFESSIONAL SERVICES 1,329 498 2,000 1,000 2,000 2,000 2,000 2,000 2,000
87-870-54-00-5498 PAYING AGENT FEES 661 661 700 661 700 700 700 700 700
2015A Bond
87-870-77-00-8000 PRINCIPAL PAYMENT 41,009 42,332 104,517 104,517 107,163 112,455 116,424 121,716 125,685
87-870-77-00-8050 INTEREST PAYMENT 57,945 56,304 54,613 54,613 50,433 46,146 41,648 36,991 32,122
Debt Service - 2014 Refunding Bond
87-870-93-00-8000 PRINCIPAL PAYMENT - - - - - - - - -
87-870-93-00-8050 INTEREST PAYMENT 50,715 50,715 50,715 50,715 50,715 50,715 50,715 50,715 50,715
Expenditures 162,360 161,559 923,808 922,769 222,573 223,925 223,753 224,756 224,235
Surplus(Deficit)35,934 37,359 (691,490) (718,885) (68,608) 62,975 141,748 149,883 159,770
Fund Balance (459,819) (422,459) (1,077,343) (1,141,344) (1,209,952) (1,146,977) (1,005,229) (855,346) (695,576)
112
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Taxes 76,186 78,417 80,000 75,759 76,000 78,000 80,000 80,000 80,000
Miscellaneous - 17 - - - - - - -
Other Financing Sources 800,000 - - - - - - - -
Total Revenue 876,186 78,434 80,000 75,759 76,000 78,000 80,000 80,000 80,000
Expenditures
Contractual Services 80,349 57,380 93,246 63,343 76,548 75,902 78,203 80,599 83,093
Capital Outlay 1,574,697 138,466 114,988 12,488 17,488 17,488 13,120 10,000 10,000
Debt Service - 225,800 218,250 218,250 212,200 206,084 - - -
Total Expenditures 1,655,046 421,646 426,484 294,081 306,236 299,474 91,323 90,599 93,093
Surplus (Deficit)(778,860) (343,212) (346,484) (218,322) (230,236) (221,474) (11,323) (10,599) (13,093)
Ending Fund Balance (681,305) (1,024,518) (1,194,280) (1,242,840) (1,473,076) (1,694,550) (1,705,873) (1,716,472) (1,729,565)
Downtown TIF Fund (88)
The Downtown TIF was created in 2006, in order to finance a mixed use development in the downtown area.
($2,000)
($1,500)
($1,000)
($500)
$0
ThousandsFund Balance
113
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Downtown TIF
88-000-40-00-4000 PROPERTY TAXES 76,186 78,417 80,000 75,759 76,000 78,000 80,000 80,000 80,000
88-000-48-00-4850 MISCELLANEOUS INCOME - 17 - - - - - - -
88-000-49-00-4905 LOAN PROCEEDS 800,000 - - - - - - - -
Revenue 876,186 78,434 80,000 75,759 76,000 78,000 80,000 80,000 80,000
88-880-54-00-5401 ADMINISTRATIVE CHARGEBACK 30,284 31,533 32,246 32,246 33,671 34,681 35,721 36,793 37,897
88-880-54-00-5425 TIF INCENTIVE PAYOUT 22,727 22,108 20,000 25,597 26,877 25,221 26,482 27,806 29,196
88-880-54-00-5462 PROFESSIONAL SERVICES 4,485 294 1,000 500 1,000 1,000 1,000 1,000 1,000
88-880-54-00-5466 LEGAL SERVICES 22,853 3,445 15,000 5,000 15,000 15,000 15,000 15,000 15,000
88-880-54-00-5470 FACADE REHAB PROGRAM - - 25,000 - - - - - -
88-880-60-00-6000 PROJECT COSTS 73,334 105,516 27,500 5,000 10,000 10,000 10,000 10,000 10,000
88-880-60-00-6011 PROPERTY ACQUISITION 1,164,449 - - - - - - - -
88-880-60-00-6015 DOWNTOWN HILL - - 50,000 - - - - - -
88-880-60-00-6045 RIVERFRONT PARK 329,494 - - - - - - - -
88-880-60-00-6048 DOWNTOWN STREETSCAPE IMPROVEMENT - 25,468 30,000 - - - - - -
88-880-60-00-6079 ROUTE 47 EXPANSION 7,420 7,482 7,488 7,488 7,488 7,488 3,120 - -
FNBO Loan - 102 E Van Emmon Building
88-880-81-00-8000 PRINCIPAL PAYMENT - 200,000 200,000 200,000 200,000 200,000 - - -
88-880-81-00-8050 INTEREST PAYMENT - 25,800 18,250 18,250 12,200 6,084 - - -
Expenditures 1,655,046 421,646 426,484 294,081 306,236 299,474 91,323 90,599 93,093
Surplus(Deficit)(778,860) (343,212) (346,484) (218,322) (230,236) (221,474) (11,323) (10,599) (13,093)
Fund Balance (681,305) (1,024,518) (1,194,280) (1,242,840) (1,473,076) (1,694,550) (1,705,873) (1,716,472) (1,729,565)
114
FY 2020 FY 2021
FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025
Actual Actual Budget Projected Budget Projected Projected Projected Projected
Revenue
Taxes - - - 24,171 25,000 33,000 33,000 39,000 39,560
Total Revenue - - - 24,171 25,000 33,000 33,000 39,000 39,560
Expenditures
Contractual Services - 2,736 35,000 90,000 22,500 30,500 13,000 19,000 18,104
Total Expenditures - 2,736 35,000 90,000 22,500 30,500 13,000 19,000 18,104
Surplus (Deficit)- (2,736) (35,000) (65,829) 2,500 2,500 20,000 20,000 21,456
Ending Fund Balance - (2,736) (10,000) (68,565) (66,065) (63,565) (43,565) (23,565) (2,109)
Downtown TIF Fund II (89)
The Downtown TIF II was created in 2018, in order to help promote downtown redevelopment and support the existing Downtown TIF.
($80)
($60)
($40)
($20)
$0
ThousandsFund Balance
115
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Downtown TIF II
89-000-40-00-4000 PROPERTY TAXES - - - 24,171 25,000 33,000 33,000 39,000 39,560
Revenue - - - 24,171 25,000 33,000 33,000 39,000 39,560
89-890-54-00-5425 TIF INCENTIVE PAYOUT - - - 80,000 17,500 25,500 8,000 14,000 13,104
89-890-54-00-5462 PROFESSIONAL SERVICES - 2,736 10,000 10,000 5,000 5,000 5,000 5,000 5,000
89-890-54-00-5470 FACADE REHAB PROGRAM - - 25,000 - - - - - -
Expenditures - 2,736 35,000 90,000 22,500 30,500 13,000 19,000 18,104
Surplus(Deficit)- (2,736) (35,000) (65,829) 2,500 2,500 20,000 20,000 21,456
Fund Balance - (2,736) (10,000) (68,565) (66,065) (63,565) (43,565) (23,565) (2,109)
116
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Taxes11,260,019 11,538,752 11,732,554 11,760,245 11,932,190 12,275,582 12,554,959 12,771,670 12,986,006 Intergovernmental2,997,973 3,991,216 3,228,316 3,565,432 3,579,832 3,905,485 3,990,357 4,075,388 4,163,322 Licenses & Permits1,307,703 1,140,935 674,826 1,015,111 728,000 678,000 678,000 670,000 670,000 Fines & Forfeits132,347 109,366 134,050 88,575 121,800 121,800 121,800 121,800 121,800 Charges for Service8,456,964 8,494,295 8,357,543 8,416,436 8,677,534 8,938,388 9,281,769 9,478,054 9,764,742 Investment Earnings114,527 168,623 128,320 304,705 125,269 106,739 107,616 115,658 120,247 Reimbursements465,490 1,256,642 3,088,849 437,799 239,572 3,016,928 52,000 52,000 223,600 Land Cash Contributions125,491 161,691 58,435 38,876 33,858 25,760 24,354 5,454 5,454 Miscellaneous82,439 92,564 119,999 119,081 123,260 124,000 125,457 127,129 128,845 Other Financing Sources3,499,458 1,920,781 1,370,370 1,876,254 963,989 1,308,793 1,629,413 1,448,358 1,523,765 Total Revenue28,442,411 28,874,865 28,893,262 27,622,514 26,525,304 30,501,475 28,565,725 28,865,511 29,707,781 ExpendituresSalaries5,159,152 5,311,741 5,997,636 5,879,643 6,222,740 6,507,792 6,692,436 6,912,920 7,108,808 Benefits3,263,393 3,199,853 3,700,741 3,491,166 3,788,489 4,031,278 4,230,520 4,446,247 4,666,686 Contractual Services6,496,468 6,334,059 7,561,896 7,290,379 7,375,912 7,069,088 7,036,124 7,040,525 7,139,745 Supplies750,797 865,812 1,090,359 959,870 1,016,110 1,002,929 1,018,596 1,041,752 1,057,839 Capital Outlay6,928,000 4,024,259 7,106,967 3,444,374 4,010,815 6,520,022 3,550,227 3,090,889 3,517,989 Contingency- - - - 80,000 50,000 50,000 50,000 50,000 Developer Commitment34,888 35,938 30,721 31,500 - - - - - Debt Service4,014,513 4,443,500 4,653,319 4,644,472 4,532,417 4,036,328 3,671,466 2,231,413 2,225,613 Other Financing Uses4,029,313 3,212,905 2,806,361 3,307,139 2,304,889 3,057,792 3,460,537 3,337,678 3,482,478 Total Expenditures30,676,524 27,428,067 32,948,000 29,048,543 29,331,372 32,275,229 29,709,906 28,151,424 29,249,158 Surplus (Deficit)(2,234,113) 1,446,798 (4,054,738) (1,426,029) (2,806,068) (1,773,754) (1,144,181) 714,087 458,623 Ending Fund Balance10,182,982 11,629,797 6,293,309 10,203,768 7,397,700 5,623,946 4,479,765 5,193,852 5,652,475 33.19% 42.40% 19.10% 35.13% 25.22% 17.42% 15.08% 18.45% 19.33%United City of Yorkville - Consolidated BudgetThe table and graph below present the City's funds in aggregate, similar to that of a private business (for illustrative purposes only). All budgeted funds are included except for the following: Park & Recreation Capital portion of Vehicle and Equipment (25); Library Operations (82); Library Capital (84); and Park & Recreation (79).$0$5,000$10,000$15,000ThousandsFund Balance117
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Taxes1,402,659 1,457,087 1,492,248 1,497,431 1,562,000 1,597,242 1,627,131 1,669,993 1,691,484 Intergovernmental18,086 30,564 25,250 26,401 25,250 25,250 25,250 25,250 25,250 Licenses & Permits100,484 103,100 50,000 113,000 50,000 50,000 50,000 50,000 50,000 Fines & Forfeits9,922 9,234 8,500 8,500 8,500 8,500 8,500 8,500 8,500 Charges for Service12,750 13,466 11,750 12,164 12,300 12,400 12,400 12,400 12,400 Investment Earnings5,439 11,720 10,100 18,107 9,459 8,522 7,768 6,938 6,038 Reimbursements691 - - - - - - - - Miscellaneous6,525 5,298 4,000 4,000 3,750 3,750 3,750 3,750 3,750 Other Financing Sources23,775 23,495 25,003 24,235 26,584 28,134 29,777 31,519 33,365 Total Revenue1,580,331 1,653,964 1,626,851 1,703,838 1,697,843 1,733,798 1,764,576 1,808,350 1,830,787 ExpendituresSalaries403,032 426,855 474,394 445,894 479,742 504,163 528,938 554,019 579,412 Benefits148,184 158,810 175,658 167,570 181,677 193,876 206,493 219,782 233,039 Contractual Services135,222 107,567 152,580 138,019 155,948 156,506 157,256 158,051 158,894 Supplies69,692 99,899 96,200 88,700 97,300 97,300 97,300 97,300 83,660 Capital Outlay3,970 - - - - - - - - Debt Service760,396 792,101 797,013 797,013 827,088 840,225 847,313 866,750 864,000 Total Expenditures1,520,496 1,585,232 1,695,845 1,637,196 1,741,755 1,792,070 1,837,300 1,895,902 1,919,005 Surplus (Deficit)59,835 68,732 (68,994) 66,642 (43,912) (58,272) (72,724) (87,552) (88,218) Ending Fund Balance568,798 637,531 505,313 704,173 660,261 601,989 529,265 441,713 353,495 37.41% 40.22% 29.80% 43.01% 37.91% 33.59% 28.81% 23.30% 18.42%Yorkville Public Library - Consolidated BudgetThe table and graph below present the Library's funds in aggregate, similar to that of a private business (for illustrative purposes only). All budgeted Library funds are included: Library Operations (82); and Library Capital (84).$0$200$400$600$800ThousandsFund Balance118
FY 2020FY 2021FY 2018 FY 2019 Adopted FY 2020 Proposed FY 2022 FY 2023 FY 2024 FY 2025Actual Actual Budget Projected Budget Projected Projected Projected ProjectedRevenue Intergovernmental- 81,815 - - - - - - - Charges for Service529,166 678,930 637,000 646,000 730,000 705,000 705,000 705,000 705,000 Investment Earnings1,396 2,396 2,350 3,499 2,300 2,300 2,300 2,300 2,300 Reimbursements174 23,137 - 64,000 43,000 50,000 - - - Miscellaneous234,784 208,720 200,500 227,178 226,716 228,709 230,781 232,936 235,178 Other Financing Sources1,308,583 1,274,699 1,410,988 1,428,094 1,314,316 1,720,865 1,801,347 1,857,801 1,925,348 Total Revenue2,074,103 2,269,697 2,250,838 2,368,771 2,316,332 2,706,874 2,739,428 2,798,037 2,867,826 ExpendituresSalaries868,189 972,011 1,103,861 1,100,859 1,172,012 1,203,697 1,236,273 1,269,766 1,304,204 Benefits390,010 393,482 448,232 445,759 490,032 511,815 544,758 579,610 613,928 Contractual Services321,233 355,673 314,358 325,973 394,165 376,632 392,212 380,947 380,375 Supplies391,250 468,833 487,630 509,327 507,185 510,330 511,785 513,314 514,919 Capital Outlay25,167 13,539 140,000 127,958 183,400 105,400 55,400 55,400 55,400 Debt Service2,219 2,280 2,366 2,089 2,174 2,174 2,174 2,174 2,174 Other Financing Uses- - - 16,656 - - - - - Total Expenditures1,998,068 2,205,818 2,496,447 2,528,621 2,748,968 2,710,048 2,742,602 2,801,211 2,871,000 Surplus (Deficit)76,035 63,879 (245,609) (159,850) (432,636) (3,174) (3,174) (3,174) (3,174) Ending Fund Balance793,168 857,049 570,312 697,199 264,563 261,389 258,215 255,041 251,867 39.70% 38.85% 22.84% 27.57% 9.62% 9.65% 9.41% 9.10% 8.77%Yorkville Parks and Recreation - Consolidated BudgetThe table and graph below present the Park & Recreation funds in aggregate, similar to that of a private business (for illustrative purposes only). All budgeted Park & Recreation funds are included: Parks & Recreation (79); and the Parks & Recreation Capital portion of Vehicle & Equipment Fund (25).$0$500$1,000ThousandsFund Balance119
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Cash Flow - Surplus(Deficit)
General 282,289 383,443 (314,411) 407,336 - (707,823) (1,163,985) (1,117,676) (1,408,254)
Fox Hill (8,186) 3,928 (17,596) (4,807) (21,292) (20,470) 8,786 11,594 15,833
Sunflower (5,477) (1,374) 4,163 3,959 37 2,104 4,280 5,008 7,167
Motor Fuel Tax (93,729) (63,113) (281,814) 13,542 (303,601) (185,860) (108,920) (55,874) (38,792)
City Wide Capital (966,633) 240,530 (626,379) (257,992) (282,477) (126,511) 85,730 (22,536) (28,810)
Vehicle & Equipment 37,930 53,977 (222,842) 45,744 (137,201) - - - -
Debt Service - - - - - - - - -
Water (241,882) 948,764 (1,079,794) (529,869) (1,178,552) (521,011) (341,488) 1,208,034 1,392,895
Sewer 33,021 (300,804) (396,676) (34,747) (470,209) (4,393) 202,466 526,919 351,423
Land Cash (528,520) 490,036 (46,415) (66,159) (116,429) (53,791) 18,525 (666) (972)
Countryside TIF 35,934 37,359 (691,490) (718,885) (68,608) 62,975 141,748 149,883 159,770
Downtown TIF (778,860) (343,212) (346,484) (218,322) (230,236) (221,474) (11,323) (10,599) (13,093)
Downtown TIF II - (2,736) (35,000) (65,829) 2,500 2,500 20,000 20,000 21,456
(2,234,113) 1,446,798 (4,054,738) (1,426,029) (2,806,068) (1,773,754) (1,144,181) 714,087 458,623
Cash Flow - Fund Balance
General 6,496,373 6,879,823 5,468,778 7,287,159 7,287,159 6,579,336 5,415,351 4,297,675 2,889,421
Fox Hill 6,556 10,485 9,954 5,678 (15,614) (36,084) (27,298) (15,704) 129
Sunflower (21,251) (22,626) (28,236) (18,667) (18,630) (16,526) (12,246) (7,238) (71)
Motor Fuel Tax 698,493 635,382 428,536 648,924 345,323 159,463 50,543 (5,331) (44,123)
City Wide Capital 388,897 629,429 (30,817) 371,437 88,960 (37,551) 48,179 25,643 (3,167)
Vehicle & Equipment 37,930 91,907 6,435 137,651 450 450 450 450 450
Debt Service - - - - - - - - -
Water 2,584,259 3,533,027 1,952,155 3,003,158 1,824,606 1,303,595 962,107 2,170,141 3,563,036
Sewer 1,411,053 1,110,251 705,765 1,075,504 605,295 600,902 803,368 1,330,287 1,681,710
Land Cash (278,204) 211,832 62,362 145,673 29,244 (24,547) (6,022) (6,688) (7,660)
Countryside TIF (459,819) (422,459) (1,077,343) (1,141,344) (1,209,952) (1,146,977) (1,005,229) (855,346) (695,576)
Downtown TIF (681,305) (1,024,518) (1,194,280) (1,242,840) (1,473,076) (1,694,550) (1,705,873) (1,716,472) (1,729,565)
Downtown TIF II - (2,736) (10,000) (68,565) (66,065) (63,565) (43,565) (23,565) (2,109)
10,182,982 11,629,797 6,293,309 10,203,768 7,397,700 5,623,946 4,479,765 5,193,852 5,652,475 Operating FundsCITY
Operating Funds120
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Cash Flow - Surplus(Deficit)
Vehicle & Equipment 48,910 84,818 (141,516) (76,398) (63,174) (3,174) (3,174) (3,174) (3,174)
Park & Rec 27,975 (20,939) (104,093) (83,452) (369,462) - - - -
76,885 63,879 (245,609) (159,850) (432,636) (3,174) (3,174) (3,174) (3,174)
Cash Flow - Fund Balance
Vehicle & Equipment 319,316 404,135 257,366 327,737 264,563 261,389 258,215 255,041 251,867
Park & Rec 473,852 452,914 312,946 369,462 - - - - -
793,168 857,049 570,312 697,199 264,563 261,389 258,215 255,041 251,867
Cash Flow - Surplus(Deficit)
Library Ops 21,297 43,915 (43,594) 20,417 (18,912) (33,022) (47,474) (62,302) (76,608)
Library Capital 38,538 24,817 (25,400) 46,225 (25,000) (25,250) (25,250) (25,250) (11,610)
59,835 68,732 (68,994) 66,642 (43,912) (58,272) (72,724) (87,552) (88,218)
Cash Flow - Fund Balance
Library Ops 510,355 554,271 474,039 574,688 555,776 522,754 475,280 412,978 336,370
Library Capital 58,443 83,260 31,274 129,485 104,485 79,235 53,985 28,735 17,125
568,798 637,531 505,313 704,173 660,261 601,989 529,265 441,713 353,495
Library
Park & Recreation
121
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Liability Insurance 357,790 361,843 384,269 377,730 415,504 440,435 466,861 494,873 524,566
Unemployment Ins 8,173 19,300 18,500 18,500 18,500 18,500 18,500 18,500 18,500
Health Insurance 1,449,504 1,370,195 1,669,411 1,460,965 1,534,701 1,695,887 1,823,416 1,966,487 2,121,006
Dental Insurance 104,207 98,886 111,422 102,359 97,523 104,195 109,056 114,510 120,237
Vision Insurance 14,325 14,070 15,779 14,639 15,420 16,105 16,524 17,020 17,529
Health Insurance 65,658 68,695 81,184 72,474 78,641 84,932 91,727 99,065 106,990
Dental Insurance 4,672 6,699 6,987 6,987 6,322 6,638 6,970 7,319 7,685
Vision Insurance 637 973 1,012 1,012 1,012 1,042 1,073 1,105 1,138
Corporate 2,129,984 2,191,159 2,119,323 2,123,744 2,107,099 2,144,661 2,187,478 2,229,964 2,271,943
Police Pension 963,908 958,476 1,105,927 1,108,182 1,230,604 1,268,042 1,300,225 1,332,739 1,365,760
Total City 3,093,892 3,149,635 3,225,250 3,231,926 3,337,703 3,412,703 3,487,703 3,562,703 3,637,703
2.30%1.80%2.40%2.61%3.27%2.25%2.20%2.15%2.11%
Library Operations 644,025 669,065 699,220 702,716 739,047 761,218 784,055 807,577 831,804
Library Debt Service 758,634 788,022 793,028 794,715 822,953 836,024 843,076 862,416 859,680
Total Library 1,402,659 1,457,087 1,492,248 1,497,431 1,562,000 1,597,242 1,627,131 1,669,993 1,691,484
Special Service Areas 22,846 29,020 31,521 31,522 36,397 42,598 49,358 56,118 62,878
-11.97%27.02%8.62%8.62%15.47%17.04%0.00%0.00%0.00%
Library
Library
Allocated Insurance Expenditures - Aggregated
Property Taxes
City
City
City
Library
122
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
TIF Districts 274,480 277,335 312,318 303,814 254,965 397,900 478,501 493,639 503,565
295.95%1.04%12.61%9.55%-16.08%56.06%0.00%0.00%0.00%
Road & Bridge Tax 131,612 128,668 130,000 131,199 130,000 130,000 135,000 135,000 140,000
-23.37%-2.24%1.04%1.97%-0.91%0.00%0.00%0.00%0.00%
Grand Total 4,925,489 5,041,745 5,191,337 5,195,892 5,321,065 5,580,443 5,777,693 5,917,453 6,035,630
1.43%2.36%2.97%3.06%2.41%4.87%3.53%2.42%2.00%
4,166,401 4,595,131 4,865,530 4,856,406 4,742,902 4,247,818 3,882,427 2,443,009 2,436,309
2,924,973 3,465,452 3,858,076 3,856,451 3,890,279 3,544,947 3,302,707 1,982,586 2,052,582
1,241,428 1,129,679 1,007,454 999,955 852,623 702,871 579,720 460,423 383,727
Building Permits Revenue 438,320 477,701 350,000 425,000 400,000 350,000 350,000 350,000 350,000
Salaries
Full Time 5,588,388 5,857,367 6,558,497 6,467,859 6,849,252 7,173,989 7,389,209 7,610,886 7,839,212
Overtime 134,470 131,298 149,000 152,603 159,000 149,000 149,000 149,000 149,000
Part Time 304,483 295,087 394,000 360,040 386,500 388,500 390,500 422,800 424,800
Total 6,027,341 6,283,752 7,101,497 6,980,502 7,394,752 7,711,489 7,928,709 8,182,686 8,413,012
Salaries
Full Time 213,880 261,231 278,394 278,394 289,742 298,434 307,387 316,609 326,107
Part Time 189,152 165,624 196,000 167,500 190,000 205,729 221,551 237,410 253,305
Total 403,032 426,855 474,394 445,894 479,742 504,163 528,938 554,019 579,412
Salaries
Full Time 5,802,268 6,118,598 6,836,891 6,746,253 7,138,994 7,472,423 7,696,596 7,927,495 8,165,319
Overtime 134,470 131,298 149,000 152,603 159,000 149,000 149,000 149,000 149,000
Part Time 493,635 460,711 590,000 527,540 576,500 594,229 612,051 660,210 678,105
Total 6,430,373 6,710,607 7,575,891 7,426,396 7,874,494 8,215,652 8,457,647 8,736,705 8,992,424
Interest
Principal
Aggregated Salary & Wage Information
City
Lib
Total
Total City Debt Service Payments
Property Taxes (continued)
123
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Benefits
IMRF 325,586 326,130 339,225 350,514 443,872 453,534 478,838 503,991 518,976
Police Pension 966,211 963,361 1,111,484 1,111,484 1,230,604 1,268,042 1,300,225 1,332,739 1,365,760
FICA 442,140 457,541 517,639 518,979 542,671 568,074 585,116 602,670 620,752
Total 1,733,937 1,747,032 1,968,348 1,980,977 2,217,147 2,289,650 2,364,179 2,439,400 2,505,488
Benefits
IMRF 22,885 26,614 25,541 29,000 32,779 34,171 36,087 37,993 39,133
FICA 30,169 31,983 35,544 33,500 35,952 38,568 40,464 42,382 44,325
Total 53,054 58,597 61,085 62,500 68,731 72,739 76,551 80,375 83,458
Benefits
IMRF 348,471 352,744 364,766 379,514 476,651 487,705 514,925 541,984 558,109
Police Pension 966,211 963,361 1,111,484 1,111,484 1,230,604 1,268,042 1,300,225 1,332,739 1,365,760
FICA 472,309 489,524 553,183 552,479 578,623 606,642 625,580 645,052 665,077
Total 1,786,991 1,805,629 2,029,433 2,043,477 2,285,878 2,362,389 2,440,730 2,519,775 2,588,946
337,766 164,848 149,136 149,136 149,136 149,136 68,440 - -
MFT 73,787 73,787 73,788 73,788 73,788 73,788 37,045 - -
Water 197,544 58,053 45,372 45,372 45,372 45,372 18,905 - -
Sewer 59,015 25,526 22,488 22,488 22,488 22,488 9,370 - -
Downtown TIF 7,420 7,482 7,488 7,488 7,488 7,488 3,120 - -
1,494,401 574,997 1,406,000 1,338,569 1,728,174 1,333,000 1,838,000 2,173,000 2,351,000
MFT 300,000 355,271 620,000 543,569 781,674 754,000 754,000 754,000 754,000
City-Wide Capital 761,759 69,633 80,000 98,000 312,500 96,000 96,000 96,000 96,000
Water 272,423 15,564 569,000 635,000 634,000 483,000 548,000 863,000 841,000
Sewer 160,219 134,529 137,000 62,000 - - 440,000 460,000 660,000
RTBR - Roads Only 1,061,759 424,904 700,000 641,569 1,094,174 850,000 850,000 850,000 850,000
- 195,781 3,105,000 200,000 - 3,175,000 - - -
City-Wide - 195,781 3,105,000 200,000 - 3,175,000 - - -
Road to Better Roads Program
Total
Mill Road
Route 47 Expansion Project
City
Selected Capital Projects - Aggregated > $500,000
Lib
Aggregated Benefit Information
124
FY 2018 FY 2019 FY 2020 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Account Number Actual Actual Adopted Projected Proposed Projected Projected Projected ProjectedDescription
Selected Capital Projects - Aggregated > $500,000 continued
635,762 - - - - - - - -
City-Wide 561,550 - - - - - - - -
Water 74,212 - - - - - - - -
264,985 119,204 165,000 7,796 - 176,000 187,000 - -
Water 264,985 119,204 165,000 7,796 - 176,000 187,000 - -
- - 185,000 120,000 25,000 180,000 195,000 - -
Water - - 185,000 120,000 25,000 180,000 195,000 - -
49,464 288,710 105,166 105,166 47,094 47,094 - - -
Water 44,904 288,136 42,166 42,166 12,871 12,871 - - -
Sewer 4,560 574 63,000 63,000 34,223 34,223 - - -
- - - - 18,000 495,000 477,000 - -
Water - - - - 18,000 495,000 477,000 - -
3,049 1,090,185 22,500 9,050 - - - - -
City-Wide 2,762 974,071 22,500 8,000 - - - - -
Water 115 42,560 - 750 - - - - -
Sewer 172 73,554 - 300 - - - - -
Water Tower Painting
Rte 71 Water/Sewer Main Replacement
Countryside Parkway
Whispering Meadows
Well Rehabs
Cation Exchange Media Repl
125