EX-99.1 3 a03-6533_1ex99d1.htm EX-99.1

Exhibit 99.1

 

IN THE UNITED STATES BANKRUPTCY COURT

NORTHERN DISTRICT OF ILLINOIS EASTERN DIVISION

 

IN RE:

 

CHAPTER 11

Eagle Food Centers, Inc., ET AL.

 

CASE NUMBER : 03-15299

DEBTORS

 

Jointly Administered

 

 

Hon. Pamela S. Hollis

 

 

MONTHLY OPERATING REPORT FOR THE PERIOD
OCTOBER

 

 

DEBTOR’S ADDRESS:

 

Eagle Food Centers Inc.

 

 

P.O. Box 6700

 

 

Rock Island, IL 61204-6700

 

 

 

 

 

 

DEBTOR’S ATTORNEYS:

 

John W. Butler, Jr. (ARDC No. 06209373)

 

 

George N. Panagakis (ARDC No. 06205271)

 

 

Ron E. Meisler (ARDC No. 06270262)

 

 

SKADDEN, ARPS, SLATE, MEAGHER, & FLOM (ILLINOIS)

 

 

333 West Wacker Drive

 

 

Chicago, Illinois 60606

 

 

312.407.0700  (telephone)

 

 

312.407.0411 (facsimile)

 

 

Attorneys for the Debtors and Debtors In Possession

 

 

 

 

 

 

REPORT PREPARER:

 

Eagle Food Centers Inc.

 

 

I declare under penalty of perjury that the information contained in this monthly operating report (including attached schedules) is true and correct to the best of my knowledge, information and belief.

 

 

Dated:

12/22/2003

 

DEBTOR-IN-POSSESSION

 

 

 

Print Name/Title:

Randall D. McMurray, V.P., Controller, Acting CFO

 

 

 

 

 

Signature:

/s/ Randall D. McMurray

 

 

 

 

Address:

P.O. Box 6700

 

Rock Island, IL 61204-6700

 

 

 

Phone:

(309) 787-7700

 

1



 

EAGLE FOOD CENTERS INC.

Table of Contents

 

I.

Financial Review *

 

A.

Consolidated Income Statement

 

B.

Consolidated Balance Sheet

 

C.

Consolidated Cash Flow Statement

 

 

 

II.

Segment Mix Review

 

A.

Sales by Segment

 

B.

Sales% by Segment

 

C.

Gross Profit% by Segment

 

 

 

III.

Inventory by Segment  (N/A)

 

 

 

IV.

Cash Receipts and Disbursements

 

A.

Schedule of Cash Disbursements-Checks and Wires

 

B.

Weekly Cash Position

 

 

 

V.

Co-Debtors’ Disbursements

 


* BOGO’s Inc. Financial Statements have not been filed

 

2



 

EAGLE FOOD CENTERS INC.

Profit and Loss Statement

 

 

 

Actual
PERIOD 9, 2003

 

Actual
PERIOD 9, 2002

 

YTD-Actual
PERIOD 9, 2003

 

YTD-Actual
PERIOD 9, 2002

 

 

 

 

 

 

 

 

 

 

 

GROSS SALES

 

$

4,519

 

48,876

 

380,359

 

514,429

 

SALES DISCOUNT

 

(114

)

(3,518

)

(33,317

)

(39,483

)

NET SALES

 

4,405

 

45,358

 

347,042

 

474,946

 

GROSS PROFIT

 

(2,200

)

13,469

 

94,234

 

138,102

 

 

 

 

 

 

 

 

 

 

 

WAREHOUSE ALLOWANCES

 

(134

)

928

 

3,768

 

10,023

 

 

 

 

 

 

 

 

 

 

 

PROMOTIONS

 

 

(48

)

4

 

(376

)

GROSS MARGIN

 

(2,333

)

14,349

 

98,006

 

147,749

 

 

 

 

 

 

 

 

 

 

 

WAREHOUSE/DISTRIBUTION

 

567

 

1,432

 

12,284

 

14,384

 

NET MARGIN

 

(2,901

)

12,916

 

85,722

 

133,365

 

 

 

 

 

 

 

 

 

 

 

WAGES

 

1,377

 

5,048

 

40,849

 

50,945

 

BENEFITS

 

911

 

1,910

 

16,121

 

20,105

 

PAYROLL TAXES

 

203

 

432

 

4,348

 

4,817

 

PROMOTIONS

 

 

0

 

4

 

13

 

COMP & LIAB INSURANCE

 

267

 

266

 

2,944

 

3,103

 

WRAPPING SUPPLIES

 

399

 

279

 

2,592

 

3,227

 

OPERATING SUPPLIES

 

7

 

108

 

679

 

753

 

BAD CHECKS

 

24

 

14

 

156

 

185

 

CASH&CPN (OVER)/SHORT

 

(9

)

2

 

47

 

85

 

UTILITIES

 

155

 

525

 

5,330

 

6,181

 

MAINTENANCE & REPAIRS

 

134

 

396

 

2,889

 

3,771

 

OUTSIDE SERVICES

 

109

 

428

 

3,142

 

4,060

 

SECURITY

 

9

 

42

 

250

 

377

 

TELEPHONE

 

13

 

26

 

166

 

204

 

RECYCLING INCOME

 

 

(56

)

(190

)

(364

)

OTHER

 

(15

)

(80

)

(578

)

(731

)

CONTROLLABLE EXPENSES

 

3,583

 

9,339

 

78,748

 

96,729

 

CONTRIBUTION MARGIN

 

(6,483

)

3,577

 

6,974

 

36,637

 

ADVERTISING

 

98

 

677

 

4,498

 

7,906

 

CO-OP ADVERTISING

 

 

(613

)

(1,566

)

(6,133

)

BUILDING RENT

 

9

 

1,299

 

10,655

 

12,776

 

BUILDING TAX/INSURANCE/CAM

 

(213

)

281

 

2,445

 

3,299

 

DEPRECIATION/AMORT

 

172

 

609

 

4,890

 

6,238

 

EQUIPMENT RENT

 

 

5

 

26

 

49

 

IN-STORE PROCESSOR

 

43

 

108

 

437

 

1,050

 

PER PROP TAX & LICENSE

 

(0

)

9

 

136

 

224

 

PREOPENING EXPENSE

 

 

13

 

1

 

315

 

NONCONTROLLABLE EXP

 

108

 

2,387

 

21,521

 

25,724

 

CONTRIBUTION TO OVERHEAD

 

(6,592

)

1,190

 

(14,547

)

10,912

 

G&A/NONOP EXPENSE

 

9,333

 

1,880

 

33,241

 

22,574

 

PRE-TAX PROFIT/(LOSS)

 

(15,924

)

(690

)

(47,788

)

(11,662

)

 

 

 

 

 

 

 

 

 

 

LIAB INS - CURRENT CHG

 

1

 

54

 

83

 

225

 

W/C - CURRENT CHG

 

 

215

 

290

 

524

 

LIAB INS - ALLOC

 

106

 

(19

)

982

 

686

 

W/C INS - ALLOC

 

160

 

(92

)

1,465

 

1,184

 

LIAB INS - PRIOR CHG

 

 

66

 

16

 

181

 

W/C INS - PRIOR CHG

 

 

43

 

109

 

304

 

 

 

 

 

 

 

 

 

 

 

TOTAL INSURANCE

 

267

 

266

 

2,944

 

3,103

 

 

 

 

 

 

 

 

 

 

 

VACATION

 

(15

)

454

 

3,521

 

4,318

 

SICK LEAVE

 

152

 

102

 

1,082

 

999

 

HEALTH & WELFARE

 

651

 

1,041

 

8,754

 

11,698

 

PENSION

 

121

 

245

 

2,112

 

2,346

 

HOLIDAY PAY

 

0

 

69

 

653

 

745

 

 

 

 

 

 

 

 

 

 

 

TOTAL BENEFITS

 

911

 

1,910

 

16,121

 

20,105

 

 

Note: BOGO’s results of operations for the periods represented are consolidated into these financial statements.

 

3



 

EAGLE FOOD CENTERS INC.

Cash Flow Statement

 

($ in 000’s)

 

Actual
PERIOD 9, 2003

 

Actual
PERIOD 9, 2002

 

YTD-Actual
PERIOD 9, 2003

 

YTD-Actual
PERIOD 9, 2002

 

 

 

 

 

 

 

 

 

 

 

NET EARNINGS

 

$

(15,924

)

$

(690

)

$

(47,788

)

$

(11,662

)

NON-CASH EXPENSES

 

 

 

 

 

 

 

 

 

DEPRECIATION & AMORTIZATION

 

466

 

1,305

 

9,586

 

13,261

 

GAIN ON EXTINGUISHMENT OF DEBT

 

0

 

 

 

0

 

(860

)

DEFERRED CHARGES & OTHER

 

62

 

241

 

4,784

 

1,077

 

EARNINGS AND NON-CASH CHARGES

 

(15,396

)

856

 

(33,418

)

1,816

 

 

 

 

 

 

 

 

 

 

 

WORKING CAPITAL CHANGES

 

 

 

 

 

 

 

 

 

INVENTORIES

 

7,890

 

(42

)

46,666

 

11,527

 

ACCOUNTS PAYABLE

 

(2,365

)

3,539

 

3,527

 

(7,791

)

ACCRUED LIABILITIES

 

(6,322

)

(2,759

)

(12,815

)

(4,673

)

ACCOUNTS RECEIVABLE & PREPAID EXPENSES

 

3,598

 

(1,189

)

1,995

 

2,796

 

OTHER WORKING CAPITAL CHAMGES

 

4,366

 

(146

)

10,132

 

(935

)

WORKING CAPITAL CHANGES

 

7,167

 

(597

)

49,505

 

924

 

 

 

 

 

 

 

 

 

 

 

CASH PROVIDED BY OPERATING ACTIVITIES

 

(8,229

)

259

 

16,087

 

2,740

 

 

 

 

 

 

 

 

 

 

 

CAPITAL EXPENDITURES - NET

 

 

 

(508

)

1,724

 

(4,427

)

PROCEEDS FROM DISPOSITION

 

9,887

 

301

 

67,177

 

703

 

INVESTING ACTIVITIES

 

9,887

 

(207

)

68,901

 

(3,724

)

 

 

 

 

 

 

 

 

 

 

FINANCING ACTIVITIES - DEBT REPAYMENT

 

(2,004

)

(127

)

(33,504

)

(1,469

)

LINE OF CREDIT BORROWING/(REPAYMENT)

 

(1,276

)

3,049

 

(25,135

)

(1,571

)

 

 

 

 

 

 

 

 

 

 

INCREASE (DECREASE) IN CASH

 

(1,623

)

2,974

 

26,349

 

(4,024

)

CASH AT BEGINNING OF PERIOD

 

31,864

 

(2,330

)

3,892

 

4,668

 

CASH AT END OF PERIOD

 

$

30,241

 

$

644

 

$

30,241

 

$

644

 

 

Note: BOGO’s results of operations for the periods represented are consolidated into these financial statements.

 

4



 

EAGLE FOOD CENTERS INC.

Balance Sheet

 

 

 

Actual
PERIOD 9, 2003

 

Actual
FYE 2002

 

Actual Talon
PERIOD 9, 2003

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Talon Assets

 

Talon%

 

Current assets:

 

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

$

30,241

 

$

3,892

 

$

269

 

1

%

Marketable securities

 

8,306

 

8,840

 

8,306

 

100

%

Accounts receivable

 

8,625

 

7,246

 

100

 

1

%

Inventories

 

0

 

46,666

 

 

 

 

 

Prepaid expenses, supplies, other

 

2,604

 

5,823

 

 

 

 

 

Total current assets

 

49,776

 

72,467

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Property & equipment (net)

 

17,715

 

95,340

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Other Assets:

 

 

 

 

 

 

 

 

 

Deferred Software (net)

 

1,631

 

3,029

 

 

 

 

 

Goodwill (net)

 

0

 

0

 

 

 

 

 

Property held for resale (net)

 

0

 

3,152

 

 

 

 

 

Other

 

673

 

1,120

 

58

 

9

%

Total other assets

 

2,304

 

7,301

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Assets

 

$

69,795

 

$

175,108

 

 

 

 

 

 

 

 

 

 

 

 

Talon Liabilities

 

Talon%

 

Current Liabilities:

 

 

 

 

 

 

 

 

 

Accounts payable

 

$

22,543

 

$

19,016

 

$

295

 

1

%

Payroll and associate benefits

 

6,929

 

14,336

 

0

 

 

 

Accrued liabilities

 

15,721

 

11,963

 

8,800

 

56

%

Reserve for closed stores

 

9,556

 

64

 

 

 

 

 

Accrued taxes

 

1,990

 

5,436

 

 

 

 

 

Revolving credit agreement

 

0

 

25,135

 

 

 

 

 

Senior Notes

 

64,076

 

0

 

 

 

 

 

Current portion of long-term debt

 

0

 

900

 

 

 

 

 

Total current liabilities

 

120,815

 

76,850

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Long-term debt:

 

 

 

 

 

 

 

 

 

Senior Notes

 

0

 

63,318

 

 

 

 

 

Capital lease obligations

 

0

 

32,303

 

 

 

 

 

Revolving credit Agreement

 

0

 

0

 

 

 

 

 

Other

 

0

 

301

 

 

 

 

 

Total long-term debt

 

0

 

95,922

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Other liabilities:

 

 

 

 

 

 

 

 

 

Reserve for closed stores

 

930

 

910

 

 

 

 

 

Other deferred liabilities

 

1,718

 

7,466

 

 

 

 

 

Total other liabilities

 

2,648

 

8,376

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total liabilities

 

123,463

 

181,148

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Shareholders’ equity:

 

 

 

 

 

 

 

 

 

Common Stock

 

134

 

134

 

 

 

 

 

Capital in excess of par value

 

53,081

 

53,081

 

 

 

 

 

Other

 

(4,540

)

(4,700

)

 

 

 

 

Accumulated deficit

 

(102,343

)

(54,555

)

 

 

 

 

Total shareholders’ equity

 

$

(53,668

)

$

(6,040

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total liabilities equity

 

$

69,795

 

$

175,108

 

 

 

 

 

 

Note: BOGO’s results of operations for the periods represented are consolidated into these financial statements.

 

 

5



 

EAGLE FOOD CENTERS INC.

Segment Mix Review

 

 

 

Actual
PERIOD 9, 2003

 

Actual
PERIOD 9, 2002

 

YTD-Actual
PERIOD 9, 2003

 

YTD-Actual
PERIOD 9, 2002

 

 

 

 

 

 

 

 

 

 

 

SALES

 

 

 

 

 

 

 

 

 

GROCERY

 

1,643,089

 

18,207,099

 

127,881,910

 

179,608,177

 

LIQUOR

 

209,580

 

2,108,869

 

17,108,536

 

21,854,181

 

DAIRY

 

299,377

 

4,521,324

 

33,300,284

 

45,960,713

 

FROZEN FOOD

 

353,507

 

3,587,137

 

27,619,191

 

38,030,053

 

MEAT

 

633,032

 

5,697,320

 

51,484,925

 

64,396,138

 

FISH

 

53,261

 

357,626

 

3,253,904

 

4,179,914

 

PRODUCE

 

163,522

 

3,300,482

 

29,534,005

 

40,578,850

 

FLORAL

 

3,865

 

283,678

 

3,376,451

 

4,780,313

 

HBC

 

824,422

 

3,107,438

 

21,366,211

 

32,514,807

 

CIGARETTE

 

42,422

 

330,677

 

2,241,704

 

3,673,289

 

PHARMACY

 

80

 

1,196,243

 

9,500,224

 

11,518,347

 

DELI

 

111,531

 

1,497,688

 

11,701,482

 

16,155,095

 

BAKERY

 

67,566

 

1,162,004

 

8,672,856

 

11,695,666

 

TOTAL SALES

 

$

4,405,254

 

$

45,357,585

 

$

347,041,683

 

$

474,945,543

 

 

 

 

 

 

 

 

 

 

 

SALES%

 

 

 

 

 

 

 

 

 

GROCERY

 

37.30

%

40.14

%

36.85

%

37.82

%

LIQUOR

 

4.76

%

4.65

%

4.93

%

4.60

%

DAIRY

 

6.80

%

9.97

%

9.60

%

9.68

%

FROZEN FOOD

 

8.02

%

7.91

%

7.96

%

8.01

%

MEAT

 

14.37

%

12.56

%

14.84

%

13.56

%

FISH

 

1.21

%

0.79

%

0.94

%

0.88

%

PRODUCE

 

3.71

%

7.28

%

8.51

%

8.54

%

FLORAL

 

0.09

%

0.63

%

0.97

%

1.01

%

HBC

 

18.71

%

6.85

%

6.16

%

6.85

%

CIGARETTE

 

0.96

%

0.73

%

0.65

%

0.77

%

PHARMACY

 

0.00

%

2.64

%

2.74

%

2.43

%

DELI

 

2.53

%

3.30

%

3.37

%

3.40

%

BAKERY

 

1.53

%

2.56

%

2.50

%

2.46

%

 

 

 

 

 

 

 

 

 

 

GROSS PROFIT%

 

 

 

 

 

 

 

 

 

GROCERY

 

(38.95

)

23.35

 

21.87

 

23.19

 

LIQUOR

 

(23.86

)

11.51

 

13.41

 

12.57

 

DAIRY

 

(7.92

)

36.11

 

33.44

 

33.93

 

FROZEN FOOD

 

10.18

 

34.41

 

34.38

 

32.81

 

MEAT

 

7.61

 

34.57

 

27.36

 

29.69

 

FISH

 

(11.45

)

28.52

 

26.37

 

30.54

 

PRODUCE

 

0.13

 

42.87

 

40.60

 

43.17

 

FLORAL

 

(158.17

)

36.01

 

29.65

 

28.23

 

HBC

 

(186.27

)

24.79

 

14.06

 

26.24

 

CIGARETTE

 

(58.88

)

23.30

 

13.47

 

16.18

 

PHARMACY

 

100.00

 

15.92

 

9.83

 

18.69

 

DELI

 

4.37

 

52.85

 

53.70

 

52.30

 

BAKERY

 

(3.69

)

59.41

 

56.32

 

56.76

 

TOTAL GROSS PROFIT%

 

(49.93

)

29.70

 

27.15

 

29.08

 

 

6



 

EAGLE FOOD CENTERS INC.

Disbursements-Checks

 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

712001

 

03-Sep-03

 

711.89

 

06-Oct-03

 

FOSTER, CAROL & ADRIANS AUTO CENTER

 

Check

 

General

712084

 

04-Sep-03

 

82.40

 

06-Oct-03

 

SMITH, DUANE E JR

 

Check

 

Professional Fees

712812

 

15-Sep-03

 

2,377.42

 

06-Oct-03

 

NOONEY, AUSTIN

 

Check

 

Reorganization Expense

712844

 

16-Sep-03

 

35.00

 

06-Oct-03

 

CITY OF BLOOMINGTON

 

Check

 

General

713204

 

22-Sep-03

 

2,436.50

 

06-Oct-03

 

INTEGRITY CLEANING SYSTEM

 

Check

 

Maintenance and Repairs

713324

 

25-Sep-03

 

12,547.73

 

06-Oct-03

 

COMMONWEALTH EDISON

 

Check

 

Utility

713351

 

25-Sep-03

 

646.63

 

06-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

713368

 

25-Sep-03

 

45.92

 

06-Oct-03

 

FINCH, RUTH

 

Check

 

Payroll or Benefit related

713399

 

27-Sep-03

 

435.20

 

06-Oct-03

 

ACM DISTRIBUTING

 

Check

 

Inventory related

713400

 

27-Sep-03

 

201.57

 

06-Oct-03

 

AERIAL BOUQUETS

 

Check

 

Inventory related

713404

 

27-Sep-03

 

293.40

 

06-Oct-03

 

ALTONA CO

 

Check

 

Inventory related

713425

 

27-Sep-03

 

2,003.54

 

06-Oct-03

 

BOSWELL DISTRIBUTING CO

 

Check

 

Inventory related

713431

 

27-Sep-03

 

3,792.52

 

06-Oct-03

 

CHICAGO BAKING CO

 

Check

 

Inventory related

713434

 

27-Sep-03

 

180.00

 

06-Oct-03

 

CITY OF LASALLE

 

Check

 

Inventory related

713436

 

27-Sep-03

 

66.80

 

06-Oct-03

 

COLONIAL ICE CREAM INC

 

Check

 

Inventory related

713442

 

27-Sep-03

 

387.32

 

06-Oct-03

 

DRESS FOR SUCCESS CLEANERS INC

 

Check

 

Inventory related

713447

 

27-Sep-03

 

174.07

 

06-Oct-03

 

GIBSON GREETINGS INC

 

Check

 

Inventory related

713467

 

27-Sep-03

 

1,542.39

 

06-Oct-03

 

JOHNSON BROTHERS LIQUOR CO- WOODRIDGE

 

Check

 

Inventory related

713472

 

27-Sep-03

 

433.35

 

06-Oct-03

 

MAMA BOSSO PIZZA

 

Check

 

Inventory related

713473

 

27-Sep-03

 

652.20

 

06-Oct-03

 

MARETA RAVIOLA

 

Check

 

Inventory related

713479

 

27-Sep-03

 

288.42

 

06-Oct-03

 

OLD DUTCH FOODS INC

 

Check

 

Inventory related

713482

 

27-Sep-03

 

1,266.66

 

06-Oct-03

 

PEPPERIDGE FARM INC

 

Check

 

Inventory related

713486

 

27-Sep-03

 

354.03

 

06-Oct-03

 

PIEMONTE BAKERY

 

Check

 

Inventory related

713487

 

27-Sep-03

 

100.20

 

06-Oct-03

 

PINTO BEAN MEXICAN FOODS

 

Check

 

Inventory related

713488

 

27-Sep-03

 

300.00

 

06-Oct-03

 

PRAIRIE  WASTE SERVICE

 

Check

 

Inventory related

713489

 

27-Sep-03

 

104.00

 

06-Oct-03

 

RA-JAC DISTRIBUTING CO

 

Check

 

Inventory related

713491

 

27-Sep-03

 

2,156.00

 

06-Oct-03

 

ROCK VALLEY DISPOSAL

 

Check

 

Inventory related

713496

 

27-Sep-03

 

1,889.00

 

06-Oct-03

 

RUG DOCTOR

 

Check

 

Inventory related

713500

 

27-Sep-03

 

474.75

 

06-Oct-03

 

TANKS PREPARED FOODS INC

 

Check

 

Inventory related

713507

 

27-Sep-03

 

1,796.73

 

06-Oct-03

 

WINDY CITY PIZZA DISTRIBUTORS

 

Check

 

Inventory related

713524

 

29-Sep-03

 

8,385.75

 

06-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

713526

 

29-Sep-03

 

8,314.98

 

06-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713527

 

29-Sep-03

 

729.00

 

06-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

713533

 

29-Sep-03

 

98.84

 

06-Oct-03

 

HOBART CORP (SPRINGFIELD)

 

Check

 

Maintenance and Repairs

713547

 

29-Sep-03

 

309.04

 

06-Oct-03

 

MIKE LARSON

 

Check

 

General

713551

 

29-Sep-03

 

1,675.13

 

06-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

713557

 

29-Sep-03

 

3,561.34

 

06-Oct-03

 

PITNEY BOWES CREDIT CORPORATION

 

Check

 

General

713559

 

29-Sep-03

 

1,293.25

 

06-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

713563

 

29-Sep-03

 

2,846.88

 

06-Oct-03

 

STAR COURIER ADVANTAGE

 

Check

 

Advertising

713565

 

29-Sep-03

 

1,888.24

 

06-Oct-03

 

TWIN STATES PUB TIMES REPUBLIC

 

Check

 

Advertising

713570

 

30-Sep-03

 

13,066.30

 

06-Oct-03

 

CITY OF NAPERVILLE

 

Check

 

Utility

713573

 

30-Sep-03

 

5,084.04

 

06-Oct-03

 

COMMERCIAL NEWS

 

Check

 

Advertising

713574

 

30-Sep-03

 

2,720.00

 

06-Oct-03

 

DAILY CHRONICLE

 

Check

 

Advertising

713575

 

30-Sep-03

 

2,918.00

 

06-Oct-03

 

DAILY TIMES

 

Check

 

Advertising

713579

 

30-Sep-03

 

138,425.34

 

06-Oct-03

 

FIRST UNION  NATIONAL BANK

 

Check

 

Real Estate related

713580

 

30-Sep-03

 

339.60

 

06-Oct-03

 

FOX METRO WATER RECLAIM DIST

 

Check

 

Utility

713581

 

30-Sep-03

 

4,074.55

 

06-Oct-03

 

FREEPORT JOURNAL STANDARD

 

Check

 

Advertising

713582

 

30-Sep-03

 

357.90

 

06-Oct-03

 

HAGERTY & SON INC

 

Check

 

General

713588

 

30-Sep-03

 

793.50

 

06-Oct-03

 

ILLINOIS SECURITY SERVICES INC

 

Check

 

Security

713589

 

30-Sep-03

 

1,229.50

 

06-Oct-03

 

INTEGRITY CLEANING SYSTEM

 

Check

 

Maintenance and Repairs

713591

 

30-Sep-03

 

6,118.62

 

06-Oct-03

 

JACKSONVILLE JOURNAL COURIER

 

Check

 

Advertising

713592

 

30-Sep-03

 

2,452.84

 

06-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

713593

 

30-Sep-03

 

6,870.65

 

06-Oct-03

 

KANKAKEE DAILY JOURNAL

 

Check

 

Advertising

713597

 

30-Sep-03

 

523.00

 

06-Oct-03

 

MEDICAL SECURITY CARD CO

 

Check

 

General

713599

 

30-Sep-03

 

1,393.20

 

06-Oct-03

 

MORRIS PUBLISHING CO

 

Check

 

General

713601

 

30-Sep-03

 

2,338.27

 

06-Oct-03

 

PAIN ENTERPRISES INC

 

Check

 

Operating Supplies

713604

 

30-Sep-03

 

4,694.38

 

06-Oct-03

 

REGISTER MAIL

 

Check

 

Advertising

713606

 

30-Sep-03

 

1,995.80

 

06-Oct-03

 

ROCK VALLEY PUBLISHING LLC

 

Check

 

General

713608

 

30-Sep-03

 

6,908.88

 

06-Oct-03

 

SAUK VALLEY NEWSPAPERS

 

Check

 

Advertising

713611

 

30-Sep-03

 

975.57

 

06-Oct-03

 

SOUTHERN WINE AND SPIRITS

 

Check

 

Inventory related

713624

 

29-Sep-03

 

88,985.98

 

06-Oct-03

 

AMERICAN BOTTLING CO(SELECT)

 

Check

 

Inventory related

713626

 

29-Sep-03

 

122,481.19

 

06-Oct-03

 

OCAMPO DIXON LLC

 

Check

 

Real Estate related

713627

 

29-Sep-03

 

105,931.06

 

06-Oct-03

 

OCAMPO MORRIS LLC

 

Check

 

Real Estate related

713635

 

01-Oct-03

 

751.71

 

06-Oct-03

 

CITY OF ROCKFORD WATER

 

Check

 

Utility

713637

 

01-Oct-03

 

1,548.39

 

06-Oct-03

 

CORPORATE EXPRESS

 

Check

 

Operating Supplies

713642

 

01-Oct-03

 

44.34

 

06-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713649

 

01-Oct-03

 

1,909.00

 

06-Oct-03

 

ILLINOIS SECURITY SERVICES INC

 

Check

 

Security

713651

 

01-Oct-03

 

8,483.51

 

06-Oct-03

 

JACKSONVILLE JOURNAL COURIER

 

Check

 

Advertising

713653

 

01-Oct-03

 

2,880.70

 

06-Oct-03

 

KEEBLER CO

 

Check

 

Inventory related

713657

 

01-Oct-03

 

1,426.75

 

06-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

713669

 

01-Oct-03

 

250.00

 

06-Oct-03

 

PRIDHAM ELECTRONICS INC

 

Check

 

General

713670

 

01-Oct-03

 

311.12

 

06-Oct-03

 

PRINCETON MUNICIPAL UTILITIES

 

Check

 

Utility

713671

 

01-Oct-03

 

13,750.00

 

06-Oct-03

 

RANGER PARTNERS XXV  LLC

 

Check

 

Real Estate related

713672

 

01-Oct-03

 

18,786.32

 

06-Oct-03

 

RD HOBSON ASSOCIATES LP

 

Check

 

Real Estate related

713677

 

01-Oct-03

 

66,189.44

 

06-Oct-03

 

RRS INVESTMENTS

 

Check

 

Real Estate related

713678

 

01-Oct-03

 

1,499.34

 

06-Oct-03

 

SOUTHERN WINE AND SPIRITS

 

Check

 

Inventory related

713680

 

01-Oct-03

 

165.43

 

06-Oct-03

 

TRI STATE ADJUSTMENTS

 

Check

 

Payroll or Benefit related

713683

 

01-Oct-03

 

206.00

 

06-Oct-03

 

UNION BEVERAGE COMPANY

 

Check

 

Inventory related

713685

 

01-Oct-03

 

787.57

 

06-Oct-03

 

UNITED PARCEL SERVICE

 

Check

 

General

713706

 

02-Oct-03

 

990.93

 

06-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

713707

 

02-Oct-03

 

2,724.12

 

06-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713713

 

02-Oct-03

 

8,544.75

 

06-Oct-03

 

HEARTLAND PRODUCE CO

 

Check

 

Inventory related

713716

 

02-Oct-03

 

8,061.04

 

06-Oct-03

 

ILLINOIS STATE DISBURSEMENT UNIT

 

Check

 

Payroll or Benefit related

713722

 

02-Oct-03

 

126.79

 

06-Oct-03

 

KINKOS INC

 

Check

 

General

713728

 

02-Oct-03

 

54,532.92

 

06-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

713739

 

02-Oct-03

 

3,800.00

 

06-Oct-03

 

ROCKFORD REGISTER STAR

 

Check

 

Advertising

713740

 

02-Oct-03

 

50.00

 

06-Oct-03

 

SEXTON FORD SALES

 

Check

 

General

713743

 

02-Oct-03

 

975.00

 

06-Oct-03

 

SOUTHERN WINE AND SPIRITS

 

Check

 

Inventory related

713745

 

02-Oct-03

 

879.33

 

06-Oct-03

 

SWISS VALLEY FARM

 

Check

 

Inventory related

713757

 

02-Oct-03

 

36.06

 

06-Oct-03

 

VILLAGE OF MILANIL

 

Check

 

Utility

713775

 

03-Oct-03

 

146,910.46

 

06-Oct-03

 

FBG SERVICE CORPORATION

 

Check

 

Outside Services

713782

 

03-Oct-03

 

18,777.92

 

06-Oct-03

 

JACOBSONS INC

 

Check

 

Real Estate related

713790

 

03-Oct-03

 

7,600.00

 

06-Oct-03

 

ROCKFORD REGISTER STAR

 

Check

 

Advertising

712508

 

10-Sep-03

 

45.00

 

07-Oct-03

 

JILLIAN BOURQUIN

 

Check

 

General

713274

 

24-Sep-03

 

38.75

 

07-Oct-03

 

BEHNING, KARL

 

Check

 

General

713392

 

26-Sep-03

 

128.00

 

07-Oct-03

 

MARIPOSA FARMS INC

 

Check

 

Inventory related

713437

 

27-Sep-03

 

59.40

 

07-Oct-03

 

CRAWFORD SAUSAGE CO INC

 

Check

 

Inventory related

 

7



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

713583

 

30-Sep-03

 

246.60

 

07-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

713628

 

01-Oct-03

 

3,305.90

 

07-Oct-03

 

ADT SECURITY SERVICES

 

Check

 

Security

713634

 

01-Oct-03

 

9,135.88

 

07-Oct-03

 

CITY OF ROCK FALLS IL

 

Check

 

Utility

713644

 

01-Oct-03

 

402.96

 

07-Oct-03

 

GOLD KIST INC

 

Check

 

Inventory related

713645

 

01-Oct-03

 

423.75

 

07-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

713652

 

01-Oct-03

 

5,414.73

 

07-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

713654

 

01-Oct-03

 

8,059.20

 

07-Oct-03

 

MADISON CORP GROUP INC

 

Check

 

Real Estate related

713658

 

01-Oct-03

 

132.17

 

07-Oct-03

 

MORRISON, CHARLES R

 

Check

 

Payroll or Benefit related

713659

 

01-Oct-03

 

189.75

 

07-Oct-03

 

MUELLER DISTRIBUTING CO

 

Check

 

Inventory related

713663

 

01-Oct-03

 

227.19

 

07-Oct-03

 

OSI EDUCATION SERVICES INC

 

Check

 

Payroll or Benefit related

713666

 

01-Oct-03

 

22,446.25

 

07-Oct-03

 

PEOPLES BANK TRUST 169

 

Check

 

Real Estate related

713667

 

01-Oct-03

 

1,627.63

 

07-Oct-03

 

PEPSI COLA BOTTLING COMPANY OF DUBUQUE

 

Check

 

Inventory related

713689

 

01-Oct-03

 

971.05

 

07-Oct-03

 

XEROX CORP

 

Check

 

Equipment Rental

713691

 

02-Oct-03

 

1,870.44

 

07-Oct-03

 

BAKER DIST CO INC

 

Check

 

Inventory related

713697

 

02-Oct-03

 

10,847.25

 

07-Oct-03

 

CAPITAL CITY FRUIT INC

 

Check

 

Inventory related

713698

 

02-Oct-03

 

61.15

 

07-Oct-03

 

CBE GROUP

 

Check

 

Payroll or Benefit related-Inactive

713702

 

02-Oct-03

 

105.30

 

07-Oct-03

 

DES MOINES REGISTER

 

Check

 

General

713709

 

02-Oct-03

 

3,993.84

 

07-Oct-03

 

FRESH EXPRESS FARMS MIDWEST

 

Check

 

Inventory related

713715

 

02-Oct-03

 

3,591.16

 

07-Oct-03

 

HILLANDALE FARMS OF IOWA INC

 

Check

 

Inventory related

713719

 

02-Oct-03

 

9,823.19

 

07-Oct-03

 

JOSHEN PAPER & PACKAGING

 

Check

 

Operating Supplies

713724

 

02-Oct-03

 

268.00

 

07-Oct-03

 

LIGHTING MAINTENANCE INC

 

Check

 

Maintenance and Repairs

713726

 

02-Oct-03

 

14,477.00

 

07-Oct-03

 

LOCKTON COMPANIES

 

Check

 

Insurance

713732

 

02-Oct-03

 

657.65

 

07-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

713755

 

02-Oct-03

 

1,723.44

 

07-Oct-03

 

USF PROCESSORS

 

Check

 

General

713756

 

02-Oct-03

 

248.56

 

07-Oct-03

 

VERIZON

 

Check

 

Utility

713760

 

02-Oct-03

 

2,133.17

 

07-Oct-03

 

XEROX CORP

 

Check

 

Equipment Rental

713768

 

03-Oct-03

 

10,420.25

 

07-Oct-03

 

CAPITAL CITY FRUIT INC

 

Check

 

Inventory related

713772

 

03-Oct-03

 

3,235.34

 

07-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

713773

 

03-Oct-03

 

2,899.67

 

07-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713779

 

03-Oct-03

 

480.44

 

07-Oct-03

 

HILLANDALE FARMS OF IOWA INC

 

Check

 

Inventory related

713780

 

03-Oct-03

 

7,639.09

 

07-Oct-03

 

HUSSMANN REFRIGERATION

 

Check

 

Maintenance and Repairs

713792

 

03-Oct-03

 

28.94

 

07-Oct-03

 

SOUTHERN WINE AND SPIRITS

 

Check

 

Inventory related

713852

 

04-Oct-03

 

5,512.52

 

07-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

713886

 

03-Oct-03

 

140,648.02

 

07-Oct-03

 

RD HOBSON ASSOCIATES LP

 

Check

 

Real Estate related

710674

 

14-Aug-03

 

785.50

 

08-Oct-03

 

OCAMPO

 

Check

 

Real Estate related

712885

 

17-Sep-03

 

75.00

 

08-Oct-03

 

ALL SEASONS WILD ANIMAL CONTROL

 

Check

 

General

713045

 

20-Sep-03

 

24.48

 

08-Oct-03

 

ALS MARKET

 

Check

 

Inventory related

713369

 

25-Sep-03

 

18,913.20

 

08-Oct-03

 

FLOATING SWIMWEAR INC

 

Check

 

Inventory related

713426

 

27-Sep-03

 

186.65

 

08-Oct-03

 

BREAD BASKET

 

Check

 

Inventory related

713428

 

27-Sep-03

 

4,958.28

 

08-Oct-03

 

C J VITNER CO

 

Check

 

Inventory related

713469

 

27-Sep-03

 

687.32

 

08-Oct-03

 

KITCHEN COOKED POTATO CHIPS

 

Check

 

Inventory related

713483

 

27-Sep-03

 

290.00

 

08-Oct-03

 

PERSONAL OPTICS

 

Check

 

Inventory related

713503

 

27-Sep-03

 

2,120.43

 

08-Oct-03

 

TURANO BAKING CO

 

Check

 

Inventory related

713515

 

29-Sep-03

 

2,382.81

 

08-Oct-03

 

COMMERCIAL REFRIGERATION

 

Check

 

Maintenance and Repairs

713517

 

29-Sep-03

 

1,225.62

 

08-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

713519

 

29-Sep-03

 

44.00

 

08-Oct-03

 

DEBENEDETTO, ELIZABETH

 

Check

 

General

713531

 

29-Sep-03

 

150.75

 

08-Oct-03

 

HENSCHEN, PAM

 

Check

 

General

713534

 

29-Sep-03

 

451.42

 

08-Oct-03

 

HOBART CORP (WOODDALE)

 

Check

 

Maintenance and Repairs

713566

 

29-Sep-03

 

4,704.00

 

08-Oct-03

 

UNIFRUTTI OF AMERICA INC

 

Check

 

Inventory related

713571

 

30-Sep-03

 

183.00

 

08-Oct-03

 

CITY OF WATSEKA

 

Check

 

Utility

713576

 

30-Sep-03

 

494.30

 

08-Oct-03

 

DECATUR WATER DEPARTMENT

 

Check

 

Utility

713585

 

30-Sep-03

 

11,656.00

 

08-Oct-03

 

HERALD & REVIEW

 

Check

 

Advertising

713586

 

30-Sep-03

 

179.85

 

08-Oct-03

 

HILL, THOMAS C

 

Check

 

Payroll or Benefit related

713598

 

30-Sep-03

 

16,736.98

 

08-Oct-03

 

MOLINE DISPATCH PUBLISHING CO

 

Check

 

Advertising

713605

 

30-Sep-03

 

164.67

 

08-Oct-03

 

REHRIG INTERNATIONAL

 

Check

 

General

713612

 

30-Sep-03

 

1,840.00

 

08-Oct-03

 

TIMES PRESS PUBLISHING CO

 

Check

 

Advertising

713630

 

01-Oct-03

 

17,443.89

 

08-Oct-03

 

AMERITECH SAGINAW

 

Check

 

Utility

713631

 

01-Oct-03

 

11,008.37

 

08-Oct-03

 

CENTRAL ILLINOIS LIGHT CO

 

Check

 

Utility

713638

 

01-Oct-03

 

457.50

 

08-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

713641

 

01-Oct-03

 

880.00

 

08-Oct-03

 

DON KOEHLER PLUMBING & HEATING

 

Check

 

General

713647

 

01-Oct-03

 

520.76

 

08-Oct-03

 

ILLINOIS AMERICAN WATER

 

Check

 

Utility

713650

 

01-Oct-03

 

686.72

 

08-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

713660

 

01-Oct-03

 

1,940.00

 

08-Oct-03

 

MUZAK CHICAGO

 

Check

 

Outside Services

713675

 

01-Oct-03

 

1,800.05

 

08-Oct-03

 

ROCK RIVER WATER RECLAMATION

 

Check

 

Utility

713676

 

01-Oct-03

 

7,557.32

 

08-Oct-03

 

ROSINA FOOD PRODUCTS INC

 

Check

 

Inventory related

713692

 

02-Oct-03

 

833.64

 

08-Oct-03

 

BAKER MILLER MARKOFF & KRASNY

 

Check

 

Payroll or Benefit related

713696

 

02-Oct-03

 

560.06

 

08-Oct-03

 

BOWMAN, HEINTZ, BOSCIA & VICIAN

 

Check

 

General

713700

 

02-Oct-03

 

1,031.27

 

08-Oct-03

 

COLLECTION SERV CNTR

 

Check

 

Payroll or Benefit related

713710

 

02-Oct-03

 

47.00

 

08-Oct-03

 

GENESIS OCCUPATIONAL HEALTH

 

Check

 

Outside Services

713712

 

02-Oct-03

 

150.00

 

08-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

713717

 

02-Oct-03

 

5,847.02

 

08-Oct-03

 

INTERNATIONAL OUTSOURCING SERVICES LLC

 

Check

 

Coupon Processing

713718

 

02-Oct-03

 

4,240.00

 

08-Oct-03

 

JACK KELLER CO

 

Check

 

Inventory related

713730

 

02-Oct-03

 

288.34

 

08-Oct-03

 

QWEST

 

Check

 

Utility

713738

 

02-Oct-03

 

177.03

 

08-Oct-03

 

RICHARD A BOWERS

 

Check

 

General

713741

 

02-Oct-03

 

388.28

 

08-Oct-03

 

SHARKEY TRANSPORTATION INC

 

Check

 

Inventory related

713746

 

02-Oct-03

 

57.46

 

08-Oct-03

 

THE FAMILY CREDIT UNION

 

Check

 

Payroll or Benefit related

713764

 

03-Oct-03

 

16,489.44

 

08-Oct-03

 

ET  VIDEO

 

Check

 

Inventory related

713769

 

03-Oct-03

 

72.86

 

08-Oct-03

 

COMMUNITY PLUMBING & HEATING INC

 

Check

 

General

713771

 

03-Oct-03

 

274.46

 

08-Oct-03

 

EAGLE PRINTING CO

 

Check

 

General

713777

 

03-Oct-03

 

2,637.30

 

08-Oct-03

 

FRESH EXPRESS FARMS MIDWEST

 

Check

 

Inventory related

713787

 

03-Oct-03

 

714.75

 

08-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

713788

 

03-Oct-03

 

24,129.38

 

08-Oct-03

 

MONTGOMERY ASSOCIATES 86

 

Check

 

Real Estate related

713791

 

03-Oct-03

 

1,582.59

 

08-Oct-03

 

SBC

 

Check

 

Utility

713833

 

04-Oct-03

 

2,476.00

 

08-Oct-03

 

CITY OF DUBUQUE SOLID WASTE COLLECTION

 

Check

 

Inventory related

713844

 

04-Oct-03

 

6,478.83

 

08-Oct-03

 

IBC WONDER BREAD

 

Check

 

Inventory related

713845

 

04-Oct-03

 

260.30

 

08-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

713846

 

04-Oct-03

 

309.52

 

08-Oct-03

 

INTERSTATE  BRANDS CORP

 

Check

 

Inventory related

713847

 

04-Oct-03

 

469.46

 

08-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

713854

 

04-Oct-03

 

1,708.02

 

08-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

713859

 

04-Oct-03

 

1,958.68

 

08-Oct-03

 

KITCHEN COOKED POTATO CHPS

 

Check

 

Inventory related

713891

 

06-Oct-03

 

41.25

 

08-Oct-03

 

BROWN, DOUG

 

Check

 

General

713921

 

06-Oct-03

 

4,018.30

 

08-Oct-03

 

HILLANDALE FARMS OF IOWA INC

 

Check

 

Inventory related

713941

 

06-Oct-03

 

19,414.76

 

08-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

713959

 

06-Oct-03

 

1,654.16

 

08-Oct-03

 

SWISS VALLEY FARM

 

Check

 

Inventory related

713371

 

25-Sep-03

 

125.46

 

09-Oct-03

 

MIURA BOILER WEST INC

 

Check

 

General

713478

 

27-Sep-03

 

74.24

 

09-Oct-03

 

NORTH SHORE DAIRY

 

Check

 

Inventory related

 

8



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

713520

 

29-Sep-03

 

23.50

 

09-Oct-03

 

DOWNERS GROVE SANITARY DIST

 

Check

 

Utility

713544

 

29-Sep-03

 

73.20

 

09-Oct-03

 

MELINS LOCK & KEY

 

Check

 

General

713562

 

29-Sep-03

 

45.00

 

09-Oct-03

 

SHICK, CHUCK

 

Check

 

General

713595

 

30-Sep-03

 

281.48

 

09-Oct-03

 

LAW OFFICES OF PAUL D LAWENT

 

Check

 

Payroll or Benefit related

713629

 

01-Oct-03

 

23,427.00

 

09-Oct-03

 

AMERICAN 1ST FED. CR. UN.

 

Check

 

Payroll or Benefit related

713636

 

01-Oct-03

 

37,456.50

 

09-Oct-03

 

COMMONWEALTH EDISON

 

Check

 

Utility

713662

 

01-Oct-03

 

2,481.00

 

09-Oct-03

 

OBERLANDER ALARM SYSTEMS

 

Check

 

General

713665

 

01-Oct-03

 

99,780.45

 

09-Oct-03

 

PAUL SADE

 

Check

 

Real Estate related

713679

 

01-Oct-03

 

21,718.54

 

09-Oct-03

 

SOUTHGATE PARTNERS

 

Check

 

Real Estate related

713686

 

01-Oct-03

 

1,973.57

 

09-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

713687

 

01-Oct-03

 

1,020.84

 

09-Oct-03

 

WENDY SINTON, TRUSTEE

 

Check

 

Real Estate related

713690

 

02-Oct-03

 

15,058.71

 

09-Oct-03

 

AMERITECH SAGINAW

 

Check

 

Utility

713721

 

02-Oct-03

 

177.71

 

09-Oct-03

 

KELLI D WALKER

 

Check

 

Payroll or Benefit related

713727

 

02-Oct-03

 

81.40

 

09-Oct-03

 

MATTHEWS DISTRIBUTING COMPANY

 

Check

 

Inventory related

713742

 

02-Oct-03

 

350.60

 

09-Oct-03

 

SIMPSON & CYBAK

 

Check

 

Payroll or Benefit related

713744

 

02-Oct-03

 

1,671.30

 

09-Oct-03

 

SPRINGFIELD PEPSI COLA BOTTLING CO

 

Check

 

Inventory related

713765

 

03-Oct-03

 

58,898.17

 

09-Oct-03

 

ACCENT ENERGY ILLINOIS LLC

 

Check

 

Utility

713776

 

03-Oct-03

 

88.00

 

09-Oct-03

 

FJ MURPHY & SON INC

 

Check

 

General

713783

 

03-Oct-03

 

6,800.00

 

09-Oct-03

 

KATZ SALES INC

 

Check

 

Inventory related

713789

 

03-Oct-03

 

317.80

 

09-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

713793

 

03-Oct-03

 

8,361.80

 

09-Oct-03

 

THE PANTAGRAPH

 

Check

 

Advertising

713797

 

04-Oct-03

 

963.90

 

09-Oct-03

 

ALPHA BAKING CO INC

 

Check

 

Inventory related

713801

 

04-Oct-03

 

28,758.01

 

09-Oct-03

 

AMERICAN BOTTLING CO(MID-CON)

 

Check

 

Inventory related

713810

 

04-Oct-03

 

107.35

 

09-Oct-03

 

BREAD BASKET

 

Check

 

Inventory related

713832

 

04-Oct-03

 

900.00

 

09-Oct-03

 

CITY OF CLINTON 1

 

Check

 

Inventory related

713836

 

04-Oct-03

 

331.74

 

09-Oct-03

 

DANNERS FREMONT HOUSE BAKERY

 

Check

 

Inventory related

713837

 

04-Oct-03

 

86.96

 

09-Oct-03

 

DECOPAC

 

Check

 

Inventory related

713838

 

04-Oct-03

 

454.41

 

09-Oct-03

 

EL MILAGRO INCORP

 

Check

 

Inventory related

713861

 

04-Oct-03

 

78.40

 

09-Oct-03

 

MAMA BOSSO PIZZA

 

Check

 

Inventory related

713873

 

04-Oct-03

 

32.00

 

09-Oct-03

 

R & B DISTRIBUTING

 

Check

 

Inventory related

713876

 

04-Oct-03

 

1,847.27

 

09-Oct-03

 

ROYAL CROWN BOTTLING CHICAGO

 

Check

 

Inventory related

713877

 

04-Oct-03

 

1,439.55

 

09-Oct-03

 

ROYAL CROWN BOTTLING SPRINGFLD

 

Check

 

Inventory related

713892

 

06-Oct-03

 

103.50

 

09-Oct-03

 

CAMPBELL, MICHAEL

 

Check

 

General

713899

 

06-Oct-03

 

605.47

 

09-Oct-03

 

CITY OF GALESBURG

 

Check

 

Utility

713906

 

06-Oct-03

 

529.52

 

09-Oct-03

 

CYBORG SYSTEMS INC

 

Check

 

Maintenance and Repairs

713916

 

06-Oct-03

 

2,705.90

 

09-Oct-03

 

FRESH EXPRESS FARMS MIDWEST

 

Check

 

Inventory related

713917

 

06-Oct-03

 

186.26

 

09-Oct-03

 

GALLATIN RIVER COMMUNICATIONS

 

Check

 

Utility

713920

 

06-Oct-03

 

9,677.50

 

09-Oct-03

 

HEARTLAND PRODUCE CO

 

Check

 

Inventory related

713923

 

06-Oct-03

 

1,326.43

 

09-Oct-03

 

HUSSMANN REFRIGERATION

 

Check

 

Maintenance and Repairs

713924

 

06-Oct-03

 

5,871.63

 

09-Oct-03

 

HUSSMANN-CRYSTAL REFRIGERATION

 

Check

 

Maintenance and Repairs

713932

 

06-Oct-03

 

133.50

 

09-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

713933

 

06-Oct-03

 

3,026.81

 

09-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

713934

 

06-Oct-03

 

143.94

 

09-Oct-03

 

K&K HARDWARE & BUILDING

 

Check

 

General

713939

 

06-Oct-03

 

17,466.17

 

09-Oct-03

 

MCI

 

Check

 

Utility

713944

 

06-Oct-03

 

210.00

 

09-Oct-03

 

NATIONAL BY-PRODUCTS INC

 

Check

 

Outside Services

713955

 

06-Oct-03

 

79.18

 

09-Oct-03

 

RK DIXON CO

 

Check

 

General

713956

 

06-Oct-03

 

40.00

 

09-Oct-03

 

ROUNTREE, THOMAS

 

Check

 

General

713957

 

06-Oct-03

 

459.93

 

09-Oct-03

 

SBC

 

Check

 

Utility

713993

 

08-Oct-03

 

42.50

 

09-Oct-03

 

DAYTON, SUSAN M

 

Check

 

General

713994

 

08-Oct-03

 

59,013.97

 

09-Oct-03

 

DEERE HARVESTER CREDIT UNION

 

Check

 

Payroll or Benefit related

712944

 

17-Sep-03

 

140.00

 

10-Oct-03

 

ZUMMALLEN, DENISE

 

Check

 

General

713138

 

20-Sep-03

 

4,597.50

 

10-Oct-03

 

ONYX WASTE SERVICES INC

 

Check

 

Inventory related

713313

 

24-Sep-03

 

72.93

 

10-Oct-03

 

SCHRAMM, JON

 

Check

 

General

713569

 

30-Sep-03

 

3,234.92

 

10-Oct-03

 

BUREAU COUNTY REPUBLICAN

 

Check

 

Advertising

713590

 

30-Sep-03

 

107.00

 

10-Oct-03

 

IOWA CITY PRESS CITIZEN

 

Check

 

General

713602

 

30-Sep-03

 

1,706.84

 

10-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

713648

 

01-Oct-03

 

17,755.10

 

10-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

713655

 

01-Oct-03

 

29,597.66

 

10-Oct-03

 

MEADOWDALE SHOPPING CTR INC

 

Check

 

Real Estate related

713664

 

01-Oct-03

 

1,152.20

 

10-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

713668

 

01-Oct-03

 

581.61

 

10-Oct-03

 

PRECISION PLUMBING

 

Check

 

General

713681

 

01-Oct-03

 

2,041.66

 

10-Oct-03

 

TRUST U W ETHEL NEWMAN

 

Check

 

Real Estate related

713694

 

02-Oct-03

 

548.54

 

10-Oct-03

 

BLATT, HASENMILLER, LEIBSKER,MOORE & PELLETTIERI

 

Check

 

Payroll or Benefit related

713695

 

02-Oct-03

 

189.15

 

10-Oct-03

 

BLITT AND GAINES, PC

 

Check

 

Payroll or Benefit related

713708

 

02-Oct-03

 

204.75

 

10-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

713731

 

02-Oct-03

 

55.00

 

10-Oct-03

 

RANDALL YOHN CLERK

 

Check

 

Payroll or Benefit related

713737

 

02-Oct-03

 

191.88

 

10-Oct-03

 

RETAILERS NATIONAL BANK

 

Check

 

Payroll or Benefit related

713766

 

03-Oct-03

 

114.00

 

10-Oct-03

 

ANDREWS KOEHLER & PASSARELLI PC

 

Check

 

General

713774

 

03-Oct-03

 

610.11

 

10-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

713778

 

03-Oct-03

 

61.89

 

10-Oct-03

 

HERALD & REVIEW

 

Check

 

Advertising

713796

 

04-Oct-03

 

195.82

 

10-Oct-03

 

AIRGAS NORTH CENTRAL

 

Check

 

Inventory related

713802

 

04-Oct-03

 

850.00

 

10-Oct-03

 

AMERIGAS PROPANE

 

Check

 

Inventory related

713804

 

04-Oct-03

 

2,854.48

 

10-Oct-03

 

ARCHWAY COOKIES INC

 

Check

 

Inventory related

713806

 

04-Oct-03

 

177.20

 

10-Oct-03

 

BILL DORAN CO

 

Check

 

Inventory related

713808

 

04-Oct-03

 

514.87

 

10-Oct-03

 

BONNETT WHOLESALE FLORIST

 

Check

 

Inventory related

713812

 

04-Oct-03

 

3,488.86

 

10-Oct-03

 

C J VITNER CO

 

Check

 

Inventory related

713835

 

04-Oct-03

 

456.50

 

10-Oct-03

 

D&M PRODUCTS

 

Check

 

Inventory related

713839

 

04-Oct-03

 

455.70

 

10-Oct-03

 

FISHER FOOD PRODUCTS CO

 

Check

 

Inventory related

713855

 

04-Oct-03

 

1,764.55

 

10-Oct-03

 

JAYS FOODS

 

Check

 

Inventory related

713857

 

04-Oct-03

 

155.90

 

10-Oct-03

 

KENNICOTT BROTHERS CO

 

Check

 

Inventory related

713860

 

04-Oct-03

 

589.12

 

10-Oct-03

 

LEWIS BAKERIES INC

 

Check

 

Inventory related

713862

 

04-Oct-03

 

366.00

 

10-Oct-03

 

MARETA RAVIOLA

 

Check

 

Inventory related

713863

 

04-Oct-03

 

181.80

 

10-Oct-03

 

MARIAS

 

Check

 

Inventory related

713864

 

04-Oct-03

 

2,911.25

 

10-Oct-03

 

MILANO BAKING

 

Check

 

Inventory related

713869

 

04-Oct-03

 

375.00

 

10-Oct-03

 

PERSONAL OPTICS

 

Check

 

Inventory related

713870

 

04-Oct-03

 

65.35

 

10-Oct-03

 

PHILS EGGS

 

Check

 

Inventory related

713874

 

04-Oct-03

 

1,368.00

 

10-Oct-03

 

RAMIREZ DISTRIBUTION

 

Check

 

Inventory related

713883

 

04-Oct-03

 

641.08

 

10-Oct-03

 

WHITEYS ICE CREAM MFG INC

 

Check

 

Inventory related

713884

 

04-Oct-03

 

752.64

 

10-Oct-03

 

WINDY CITY PIZZA DISTRIBUTORS

 

Check

 

Inventory related

713889

 

06-Oct-03

 

8,249.95

 

10-Oct-03

 

ALLIANT UTILITY

 

Check

 

Utility

713890

 

06-Oct-03

 

515.12

 

10-Oct-03

 

ANDY ELIAKIS

 

Check

 

General

713895

 

06-Oct-03

 

101.16

 

10-Oct-03

 

CHEP EQUIPMENT POOLING SYSTEMS

 

Check

 

General

713900

 

06-Oct-03

 

603.92

 

10-Oct-03

 

CITY OF KEWANEE IL 1

 

Check

 

Utility

713915

 

06-Oct-03

 

806.45

 

10-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

713925

 

06-Oct-03

 

23,178.81

 

10-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

713926

 

06-Oct-03

 

621.56

 

10-Oct-03

 

IMAGISTICS INTERNATIONAL INC

 

Check

 

Operating Supplies

713928

 

06-Oct-03

 

4,832.75

 

10-Oct-03

 

JACK KELLER CO

 

Check

 

Inventory related

 

9



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

713935

 

06-Oct-03

 

4,440.00

 

10-Oct-03

 

KATZ SALES INC

 

Check

 

Inventory related

713936

 

06-Oct-03

 

420.00

 

10-Oct-03

 

LAMORE ELECTRIC INC

 

Check

 

General

713940

 

06-Oct-03

 

880.67

 

10-Oct-03

 

MCI WORLDCOM

 

Check

 

Utility

713942

 

06-Oct-03

 

448.00

 

10-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

713943

 

06-Oct-03

 

325.55

 

10-Oct-03

 

MUELLER DISTRIBUTING CO

 

Check

 

Inventory related

713948

 

06-Oct-03

 

762.74

 

10-Oct-03

 

PEPSI COLA

 

Check

 

Inventory related

713952

 

06-Oct-03

 

243.57

 

10-Oct-03

 

RE COOPER CORP

 

Check

 

General

713953

 

06-Oct-03

 

560.05

 

10-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

713960

 

06-Oct-03

 

1,000.00

 

10-Oct-03

 

TOTAL RETAIL SERVICES INC

 

Check

 

Outside Services

713964

 

06-Oct-03

 

566.24

 

10-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

713965

 

06-Oct-03

 

153.23

 

10-Oct-03

 

WATER & SEWER DEPT

 

Check

 

Utility

713967

 

07-Oct-03

 

266.28

 

10-Oct-03

 

BAKER DIST CO INC

 

Check

 

Inventory related

713971

 

07-Oct-03

 

511.69

 

10-Oct-03

 

HILLANDALE FARMS OF IOWA INC

 

Check

 

Inventory related

713975

 

07-Oct-03

 

422.50

 

10-Oct-03

 

MECHANICAL INC

 

Check

 

General

713978

 

07-Oct-03

 

15,795.86

 

10-Oct-03

 

SHULLSBURG CREAMERY INC

 

Check

 

Inventory related

714010

 

08-Oct-03

 

120.70

 

10-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

714026

 

08-Oct-03

 

288.00

 

10-Oct-03

 

SEABURY & SMITH

 

Check

 

General

714029

 

08-Oct-03

 

611.95

 

10-Oct-03

 

SWISS VALLEY FARM

 

Check

 

Inventory related

712838

 

15-Sep-03

 

49.50

 

14-Oct-03

 

ZURAWSKI, JOHN

 

Check

 

General

713297

 

24-Sep-03

 

48.25

 

14-Oct-03

 

KAMMERER, JEREMY

 

Check

 

General

713545

 

29-Sep-03

 

144.25

 

14-Oct-03

 

MERZ, MARTY

 

Check

 

General

713625

 

29-Sep-03

 

169,712.63

 

14-Oct-03

 

GREAT OAKS LLC

 

Check

 

Real Estate related

713632

 

01-Oct-03

 

1,020.83

 

14-Oct-03

 

CHRISTOPHER WILSON, TRUSTEE

 

Check

 

Real Estate related

713639

 

01-Oct-03

 

849.46

 

14-Oct-03

 

CRYSTAL GATE ASSOCIATES

 

Check

 

Real Estate related

713699

 

02-Oct-03

 

3,525.25

 

14-Oct-03

 

CHAUFFEURS TEAMSTERS HELPERS

 

Check

 

Payroll or Benefit related

713701

 

02-Oct-03

 

515.70

 

14-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

713714

 

02-Oct-03

 

26.60

 

14-Oct-03

 

HILL, THOMAS

 

Check

 

General

713750

 

02-Oct-03

 

56.68

 

14-Oct-03

 

UFCW LOCAL 700

 

Check

 

Payroll or Benefit related

713754

 

02-Oct-03

 

74.02

 

14-Oct-03

 

UNITED FOOD & COMMERCIAL 550R

 

Check

 

Payroll or Benefit related

713761

 

03-Oct-03

 

2,610.00

 

14-Oct-03

 

CITY OF PERU IL 1

 

Check

 

Inventory related

713770

 

03-Oct-03

 

368.85

 

14-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

713785

 

03-Oct-03

 

84.00

 

14-Oct-03

 

LIGHTING MAINTENANCE INC

 

Check

 

Maintenance and Repairs

713795

 

04-Oct-03

 

65.30

 

14-Oct-03

 

ACM DISTRIBUTING

 

Check

 

Inventory related

713799

 

04-Oct-03

 

396.90

 

14-Oct-03

 

ALTONA CO

 

Check

 

Inventory related

713805

 

04-Oct-03

 

79.25

 

14-Oct-03

 

BALTIC BAKERY

 

Check

 

Inventory related

713807

 

04-Oct-03

 

2,478.57

 

14-Oct-03

 

BOB EVANS FARMS INC

 

Check

 

Inventory related

713809

 

04-Oct-03

 

786.82

 

14-Oct-03

 

BOSWELL DISTRIBUTING CO

 

Check

 

Inventory related

713811

 

04-Oct-03

 

475.00

 

14-Oct-03

 

BUSTER SANITATION SERVICE

 

Check

 

Inventory related

713830

 

04-Oct-03

 

2,154.01

 

14-Oct-03

 

CHICAGO BAKING CO

 

Check

 

Inventory related

713834

 

04-Oct-03

 

12.23

 

14-Oct-03

 

CRAWFORD SAUSAGE CO INC

 

Check

 

Inventory related

713840

 

04-Oct-03

 

2,422.73

 

14-Oct-03

 

GIBSON GREETINGS INC

 

Check

 

Inventory related

713856

 

04-Oct-03

 

1,632.50

 

14-Oct-03

 

JOHNSON BROTHERS LIQUOR CO- WOODRIDGE

 

Check

 

Inventory related

713858

 

04-Oct-03

 

781.44

 

14-Oct-03

 

KITCHEN COOKED POTATO CHIPS

 

Check

 

Inventory related

713865

 

04-Oct-03

 

705.00

 

14-Oct-03

 

NU WAY DISPOSAL SERVICE

 

Check

 

Inventory related

713866

 

04-Oct-03

 

596.52

 

14-Oct-03

 

OLD DUTCH FOODS INC

 

Check

 

Inventory related

713868

 

04-Oct-03

 

3,424.46

 

14-Oct-03

 

PEPPERIDGE FARM INC

 

Check

 

Inventory related

713872

 

04-Oct-03

 

400.64

 

14-Oct-03

 

PINTO BEAN MEXICAN FOODS

 

Check

 

Inventory related

713878

 

04-Oct-03

 

2,563.12

 

14-Oct-03

 

RUG DOCTOR

 

Check

 

Inventory related

713880

 

04-Oct-03

 

356.75

 

14-Oct-03

 

TOTAL MARKETING DISTRIBUTOR

 

Check

 

Inventory related

713881

 

04-Oct-03

 

216.53

 

14-Oct-03

 

TRI SNACKS DISTRIBUTING

 

Check

 

Inventory related

713882

 

04-Oct-03

 

1,912.56

 

14-Oct-03

 

TURANO BAKING CO

 

Check

 

Inventory related

713885

 

03-Oct-03

 

4,200.00

 

14-Oct-03

 

INFOWERKS DATA SERVICES INC

 

Check

 

General

713894

 

06-Oct-03

 

2,739.62

 

14-Oct-03

 

CENTRAL ILLINOIS LIGHT CO

 

Check

 

Utility

713897

 

06-Oct-03

 

1,183.00

 

14-Oct-03

 

CITY OF DEKALB

 

Check

 

Utility

713903

 

06-Oct-03

 

2,412.82

 

14-Oct-03

 

COMMERCIAL REFRIGERATION

 

Check

 

Maintenance and Repairs

713904

 

06-Oct-03

 

3,624.11

 

14-Oct-03

 

COMMONWEALTH EDISON

 

Check

 

Utility

713905

 

06-Oct-03

 

2,663.80

 

14-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

713909

 

06-Oct-03

 

50.00

 

14-Oct-03

 

DURKIN, CHRIS

 

Check

 

General

713912

 

06-Oct-03

 

3,099.76

 

14-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

713914

 

06-Oct-03

 

5,239.56

 

14-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713918

 

06-Oct-03

 

603.08

 

14-Oct-03

 

GARRATT CALLAHAN CO

 

Check

 

General

713919

 

06-Oct-03

 

1,120.55

 

14-Oct-03

 

GENERAL REFRIGERATION

 

Check

 

Maintenance and Repairs

713922

 

06-Oct-03

 

134.00

 

14-Oct-03

 

HUBER, DAVID

 

Check

 

General

713929

 

06-Oct-03

 

142.90

 

14-Oct-03

 

JAMES K GHRER

 

Check

 

General

713937

 

06-Oct-03

 

125.16

 

14-Oct-03

 

LIGHTING MAINTENANCE INC

 

Check

 

Maintenance and Repairs

713938

 

06-Oct-03

 

75.00

 

14-Oct-03

 

MATTHEW P EDWARDS

 

Check

 

General

713945

 

06-Oct-03

 

230.55

 

14-Oct-03

 

ONYX WASTE SERVICES, INC

 

Check

 

General

713947

 

06-Oct-03

 

207.93

 

14-Oct-03

 

PARKER, JENNIFER

 

Check

 

General

713949

 

06-Oct-03

 

5,036.30

 

14-Oct-03

 

QS/1 DATA SYSTEMS

 

Check

 

General

713950

 

06-Oct-03

 

9.76

 

14-Oct-03

 

QWEST

 

Check

 

Utility

713951

 

06-Oct-03

 

957.07

 

14-Oct-03

 

QWEST

 

Check

 

Utility

713961

 

06-Oct-03

 

168.74

 

14-Oct-03

 

VERIZON

 

Check

 

Utility

713962

 

06-Oct-03

 

350.00

 

14-Oct-03

 

VERNARD GILLMAN

 

Check

 

General

713963

 

06-Oct-03

 

2,049.70

 

14-Oct-03

 

WASHINGTON INVENTORY SERVICE

 

Check

 

Outside Services

713968

 

07-Oct-03

 

2,883.53

 

14-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

713969

 

07-Oct-03

 

1,344.48

 

14-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713970

 

07-Oct-03

 

130.80

 

14-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

713972

 

07-Oct-03

 

1,147.17

 

14-Oct-03

 

HUSSMANN-CRYSTAL REFRIGERATION

 

Check

 

Maintenance and Repairs

713973

 

07-Oct-03

 

552.00

 

14-Oct-03

 

ILLINOIS SECURITY SERVICES INC

 

Check

 

Security

713974

 

07-Oct-03

 

1,228.57

 

14-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

713979

 

07-Oct-03

 

45.95

 

14-Oct-03

 

UNION BEVERAGE COMPANY

 

Check

 

Inventory related

713981

 

08-Oct-03

 

12,996.00

 

14-Oct-03

 

AMERICAN 1ST FED. CR. UN.

 

Check

 

Payroll or Benefit related

713983

 

08-Oct-03

 

325.42

 

14-Oct-03

 

AQUILA

 

Check

 

Utility

713984

 

08-Oct-03

 

20.50

 

14-Oct-03

 

BEGOLKA, DANIEL

 

Check

 

General

713985

 

08-Oct-03

 

110.25

 

14-Oct-03

 

BINDER, HARVEY

 

Check

 

General

713988

 

08-Oct-03

 

483.28

 

14-Oct-03

 

CITY OF EAST MOLINE IL

 

Check

 

Utility

713989

 

08-Oct-03

 

50.00

 

14-Oct-03

 

CITY OF GALESBURG

 

Check

 

Utility

713990

 

08-Oct-03

 

3,827.56

 

14-Oct-03

 

CITY OF MOLINE CITY CLERK

 

Check

 

Utility

713996

 

08-Oct-03

 

335.20

 

14-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

713999

 

08-Oct-03

 

3,749.90

 

14-Oct-03

 

FRESH EXPRESS FARMS MIDWEST

 

Check

 

Inventory related

714000

 

08-Oct-03

 

33.25

 

14-Oct-03

 

GREEN, BRIAN

 

Check

 

General

714001

 

08-Oct-03

 

112.25

 

14-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

714009

 

08-Oct-03

 

435.00

 

14-Oct-03

 

LOWRY & HARDYMAN

 

Check

 

General

714011

 

08-Oct-03

 

192.93

 

14-Oct-03

 

MIKE LARSON

 

Check

 

General

714012

 

08-Oct-03

 

875.25

 

14-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

714014

 

08-Oct-03

 

132.17

 

14-Oct-03

 

MORRISON, CHARLES R

 

Check

 

Payroll or Benefit related

 

10



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

714016

 

08-Oct-03

 

7,081.50

 

14-Oct-03

 

NATIONAL BY-PRODUCTS INC

 

Check

 

Outside Services

714018

 

08-Oct-03

 

81.00

 

14-Oct-03

 

OLSON, WILLIAM

 

Check

 

General

714019

 

08-Oct-03

 

539.52

 

14-Oct-03

 

ONYX WASTE SERVICES, INC

 

Check

 

General

714020

 

08-Oct-03

 

60.00

 

14-Oct-03

 

POLIC, BARB

 

Check

 

General

714023

 

08-Oct-03

 

571.30

 

14-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

714025

 

08-Oct-03

 

116.79

 

14-Oct-03

 

ROCHELLE DISPOSAL SERVICE

 

Check

 

General

714027

 

08-Oct-03

 

132.00

 

14-Oct-03

 

SECURITY MASTER INC

 

Check

 

General

714028

 

08-Oct-03

 

601.10

 

14-Oct-03

 

SOUTHERN WINE AND SPIRITS

 

Check

 

Inventory related

714030

 

08-Oct-03

 

13.00

 

14-Oct-03

 

TREASURER STATE OF IOWA

 

Check

 

General

714032

 

08-Oct-03

 

81.04

 

14-Oct-03

 

UFCW LOCAL 700

 

Check

 

Payroll or Benefit related

714041

 

08-Oct-03

 

2,629.45

 

14-Oct-03

 

UNITED FOOD & COMMERCIAL 550R

 

Check

 

Payroll or Benefit related

714042

 

08-Oct-03

 

2,727.97

 

14-Oct-03

 

VALLEY FAIR LC

 

Check

 

Real Estate related

714044

 

08-Oct-03

 

54.27

 

14-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

714047

 

09-Oct-03

 

407.11

 

14-Oct-03

 

BECKER & BECKER INC

 

Check

 

General

714053

 

09-Oct-03

 

754.00

 

14-Oct-03

 

DAVIS BROWN KOEHN SHORS

 

Check

 

General

714056

 

09-Oct-03

 

1,022.50

 

14-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

714057

 

09-Oct-03

 

1,276.32

 

14-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

714059

 

09-Oct-03

 

31.81

 

14-Oct-03

 

GALLATIN RIVER COMMUNICATIONS

 

Check

 

Utility

714063

 

09-Oct-03

 

3,297.27

 

14-Oct-03

 

HUSSMANN REFRIGERATION

 

Check

 

Maintenance and Repairs

714064

 

09-Oct-03

 

5,030.97

 

14-Oct-03

 

ILLINOIS STATE DISBURSEMENT UNIT

 

Check

 

Payroll or Benefit related

714070

 

09-Oct-03

 

5,397.12

 

14-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

714072

 

09-Oct-03

 

350.00

 

14-Oct-03

 

MURPHYS CONTAINER SERVICE

 

Check

 

General

714075

 

09-Oct-03

 

8,102.08

 

14-Oct-03

 

PRUDENTIAL GROUP LIFE & DISABILITY INSURANCE

 

Check

 

Payroll or Benefit related

714079

 

09-Oct-03

 

192.43

 

14-Oct-03

 

SBC

 

Check

 

Utility

714080

 

09-Oct-03

 

1,273.43

 

14-Oct-03

 

SWISS VALLEY FARM

 

Check

 

Inventory related

714081

 

09-Oct-03

 

1,943.75

 

14-Oct-03

 

THE AD GROUP

 

Check

 

General

714082

 

09-Oct-03

 

3,000.00

 

14-Oct-03

 

U S POSTAL SERVICE

 

Check

 

Postage

714107

 

10-Oct-03

 

6,068.60

 

14-Oct-03

 

ROCKFORD REGISTER STAR

 

Check

 

Advertising

714145

 

11-Oct-03

 

2,882.16

 

14-Oct-03

 

IBC WONDER BREAD

 

Check

 

Inventory related

714146

 

11-Oct-03

 

27.84

 

14-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

714147

 

11-Oct-03

 

85.85

 

14-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

714148

 

11-Oct-03

 

451.33

 

14-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

714152

 

11-Oct-03

 

4,209.08

 

14-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

714153

 

11-Oct-03

 

1,340.92

 

14-Oct-03

 

INTERSTATE BRANDS CORP

 

Check

 

Inventory related

713610

 

30-Sep-03

 

309.97

 

15-Oct-03

 

SCOTT COUNTY SHERIFF

 

Check

 

Payroll or Benefit related

713674

 

01-Oct-03

 

14,668.15

 

15-Oct-03

 

RETAIL CLERKS UNION LOCAL 431

 

Check

 

Payroll or Benefit related

713682

 

01-Oct-03

 

2,927.44

 

15-Oct-03

 

UFCW LOCAL  536

 

Check

 

Payroll or Benefit related

713684

 

01-Oct-03

 

445.29

 

15-Oct-03

 

UNITED FOOD & COMMERCIAL 543

 

Check

 

Payroll or Benefit related

713725

 

02-Oct-03

 

992.37

 

15-Oct-03

 

LOCAL 881

 

Check

 

Payroll or Benefit related

713734

 

02-Oct-03

 

3,931.29

 

15-Oct-03

 

RETAIL CLERKS UNION 881

 

Check

 

Payroll or Benefit related

713736

 

02-Oct-03

 

274.65

 

15-Oct-03

 

RETAIL CLERKS UNION LOCAL 431

 

Check

 

Payroll or Benefit related

713748

 

02-Oct-03

 

175.80

 

15-Oct-03

 

UFCW LOCAL  536

 

Check

 

Payroll or Benefit related

713749

 

02-Oct-03

 

5,502.33

 

15-Oct-03

 

UFCW LOCAL 431

 

Check

 

Payroll or Benefit related

713767

 

03-Oct-03

 

125.00

 

15-Oct-03

 

BETTENDORF N&S LOCK

 

Check

 

Maintenance and Repairs

713831

 

04-Oct-03

 

4,084.40

 

15-Oct-03

 

CITY OF BETTENDORF

 

Check

 

Inventory related

713875

 

04-Oct-03

 

575.00

 

15-Oct-03

 

ROCK VALLEY DISPOSAL

 

Check

 

Inventory related

713907

 

06-Oct-03

 

260.51

 

15-Oct-03

 

DAVE SHUMAKER

 

Check

 

General

713946

 

06-Oct-03

 

1,686.80

 

15-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

713976

 

07-Oct-03

 

129.50

 

15-Oct-03

 

MUELLER DISTRIBUTING CO

 

Check

 

Inventory related

713986

 

08-Oct-03

 

92,988.40

 

15-Oct-03

 

CENTRAL  STATES  FUNDS

 

Check

 

Payroll or Benefit related

713987

 

08-Oct-03

 

68,558.00

 

15-Oct-03

 

CENTRAL STATES FUNDS

 

Check

 

Payroll or Benefit related

713998

 

08-Oct-03

 

5,050.00

 

15-Oct-03

 

FEDERAL RESERVE BANK

 

Check

 

Payroll or Benefit related

714004

 

08-Oct-03

 

50.33

 

15-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

714006

 

08-Oct-03

 

1,538.74

 

15-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

714015

 

08-Oct-03

 

1,078.95

 

15-Oct-03

 

MUELLER DISTRIBUTING CO

 

Check

 

Inventory related

714033

 

08-Oct-03

 

67,328.00

 

15-Oct-03

 

UFCW MIDWEST HEALTH

 

Check

 

Payroll or Benefit related

714034

 

08-Oct-03

 

61,194.13

 

15-Oct-03

 

UFCW MIDWEST HEALTHFUND

 

Check

 

Payroll or Benefit related

714035

 

08-Oct-03

 

639,405.86

 

15-Oct-03

 

UFCW MIDWEST HEALTHFUND

 

Check

 

Payroll or Benefit related

714036

 

08-Oct-03

 

6,032.00

 

15-Oct-03

 

UFCW MIDWEST HEALTHIL

 

Check

 

Payroll or Benefit related

714037

 

08-Oct-03

 

184,434.78

 

15-Oct-03

 

UFCW MIDWEST PENSION

 

Check

 

Payroll or Benefit related

714038

 

08-Oct-03

 

5,175.40

 

15-Oct-03

 

UFCW MIDWEST PENSION FUND

 

Check

 

Payroll or Benefit related

714043

 

08-Oct-03

 

477.40

 

15-Oct-03

 

VILLAGE OF NEW LENOXIL

 

Check

 

Utility

714046

 

09-Oct-03

 

150.81

 

15-Oct-03

 

BAKER DIST CO INC

 

Check

 

Inventory related

714049

 

09-Oct-03

 

393.27

 

15-Oct-03

 

COLLECTION SERV CNTR

 

Check

 

Payroll or Benefit related

714050

 

09-Oct-03

 

1,205.72

 

15-Oct-03

 

CORPORATE EXPRESS

 

Check

 

Operating Supplies

714054

 

09-Oct-03

 

1,680.00

 

15-Oct-03

 

DOYLE SIGNS

 

Check

 

Maintenance and Repairs

714061

 

09-Oct-03

 

139.38

 

15-Oct-03

 

HOBART CORP (GRIFFITH)

 

Check

 

Maintenance and Repairs

714067

 

09-Oct-03

 

3,582.60

 

15-Oct-03

 

JACK KELLER CO

 

Check

 

Inventory related

714069

 

09-Oct-03

 

10,664.75

 

15-Oct-03

 

JOSHEN PAPER & PACKAGING

 

Check

 

Operating Supplies

714078

 

09-Oct-03

 

177.03

 

15-Oct-03

 

RICHARD A BOWERS

 

Check

 

General

714085

 

09-Oct-03

 

365.90

 

15-Oct-03

 

UNITED PARCEL SERVICE

 

Check

 

General

714088

 

10-Oct-03

 

611.70

 

15-Oct-03

 

BAKER DIST CO INC

 

Check

 

Inventory related

714093

 

10-Oct-03

 

91.00

 

15-Oct-03

 

CONES REPAIR SERVICE

 

Check

 

Maintenance and Repairs

714095

 

10-Oct-03

 

1,085.63

 

15-Oct-03

 

EARTHGRAINS  CO

 

Check

 

Inventory related

714097

 

10-Oct-03

 

623.38

 

15-Oct-03

 

HILLANDALE FARMS OF IOWA INC

 

Check

 

Inventory related

714098

 

10-Oct-03

 

1,884.14

 

15-Oct-03

 

HUSSMANN REFRIGERATION

 

Check

 

Maintenance and Repairs

714099

 

10-Oct-03

 

1,524.69

 

15-Oct-03

 

HUSSMANN-CRYSTAL REFRIGERATION

 

Check

 

Maintenance and Repairs

714100

 

10-Oct-03

 

319.15

 

15-Oct-03

 

ILLINOIS STATE TOLL HIGHWAY

 

Check

 

Transportation costs

714101

 

10-Oct-03

 

1,520.00

 

15-Oct-03

 

JOHN EACH

 

Check

 

Maintenance and Repairs

714185

 

13-Oct-03

 

20.33

 

15-Oct-03

 

BETTENDORF N&S LOCK

 

Check

 

Maintenance and Repairs

714224

 

13-Oct-03

 

1,441.96

 

15-Oct-03

 

PER MAR SECURITY

 

Check

 

Security

714232

 

13-Oct-03

 

1,929.89

 

15-Oct-03

 

SWISS VALLEY FARM

 

Check

 

Inventory related

712383

 

08-Sep-03

 

1,390.99

 

16-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

712679

 

13-Sep-03

 

66.00

 

16-Oct-03

 

CHUCKS CHEESE CO

 

Check

 

Inventory related

713432

 

27-Sep-03

 

184.80

 

16-Oct-03

 

CHUCKS CHEESE CO

 

Check

 

Inventory related

713693

 

02-Oct-03

 

445.14

 

16-Oct-03

 

BLATT HASENMILLER LEIBSKER & MOORE

 

Check

 

General

713733

 

02-Oct-03

 

5,647.49

 

16-Oct-03

 

RETAIL CLERKS LOCAL 254

 

Check

 

Payroll or Benefit related

713735

 

02-Oct-03

 

6,587.62

 

16-Oct-03

 

RETAIL CLERKS UNION LOCAL 1453

 

Check

 

Payroll or Benefit related

713747

 

02-Oct-03

 

85.90

 

16-Oct-03

 

UFCW ACTIVE BALLOT CLUB

 

Check

 

Payroll or Benefit related

713752

 

02-Oct-03

 

4,595.31

 

16-Oct-03

 

UFCW MEAT CUTTERS LOCAL

 

Check

 

Payroll or Benefit related

713753

 

02-Oct-03

 

31,213.85

 

16-Oct-03

 

UNITED FOOD & COMMERCIAL 1540

 

Check

 

Payroll or Benefit related

713759

 

02-Oct-03

 

567.49

 

16-Oct-03

 

WOODS & BATES

 

Check

 

Payroll or Benefit related

713781

 

03-Oct-03

 

316.00

 

16-Oct-03

 

INTEGRITY CLEANING SYSTEM

 

Check

 

Maintenance and Repairs

713879

 

04-Oct-03

 

165.25

 

16-Oct-03

 

TANKS PREPARED FOODS INC

 

Check

 

Inventory related

713887

 

06-Oct-03

 

358.00

 

16-Oct-03

 

CITY OF DECATUR

 

Check

 

General

713898

 

06-Oct-03

 

91.00

 

16-Oct-03

 

CITY OF FREEPORT TREASURER

 

Check

 

General

 

11



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

713901

 

06-Oct-03

 

90.00

 

16-Oct-03

 

CITY OF ST CHARLES

 

Check

 

Utility

713908

 

06-Oct-03

 

413.87

 

16-Oct-03

 

DECATUR WATER DEPARTMENT

 

Check

 

Utility

713930

 

06-Oct-03

 

1,960.21

 

16-Oct-03

 

JLL CONSULTANTS INC

 

Check

 

General

713992

 

08-Oct-03

 

168.95

 

16-Oct-03

 

CRABB, MICHAEL

 

Check

 

General

713995

 

08-Oct-03

 

641.81

 

16-Oct-03

 

DUNN, WARD

 

Check

 

General

714002

 

08-Oct-03

 

71.00

 

16-Oct-03

 

HENSCHEN, PAM

 

Check

 

General

714005

 

08-Oct-03

 

1,113.87

 

16-Oct-03

 

INDIANA UFCW PENSION PLAN  1

 

Check

 

General

714008

 

08-Oct-03

 

3,169.50

 

16-Oct-03

 

JUDGE & DOLPH LTD

 

Check

 

Inventory related

714013

 

08-Oct-03

 

4.45

 

16-Oct-03

 

MONTGOMERY WATER DEPT

 

Check

 

Utility

714021

 

08-Oct-03

 

13,867.00

 

16-Oct-03

 

PRODUCE WEST INC

 

Check

 

Inventory related

714022

 

08-Oct-03

 

21.35

 

16-Oct-03

 

QUAD CITIES TAS INC

 

Check

 

General

714024

 

08-Oct-03

 

565.75

 

16-Oct-03

 

RICHARD KOZUCH

 

Check

 

General

714045

 

09-Oct-03

 

808.00

 

16-Oct-03

 

AMERICAN DISPOSAL SERVICES

 

Check

 

General

714058

 

09-Oct-03

 

123.48

 

16-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

714062

 

09-Oct-03

 

161.75

 

16-Oct-03

 

HOBART CORP (SPRINGFIELD)

 

Check

 

Maintenance and Repairs

714066

 

09-Oct-03

 

7,035.42

 

16-Oct-03

 

INTERNATIONAL DATA

 

Check

 

General

714068

 

09-Oct-03

 

7,244.04

 

16-Oct-03

 

JACKSONVILLE JOURNAL COURIER

 

Check

 

Advertising

714083

 

09-Oct-03

 

2,744.00

 

16-Oct-03

 

UNIFRUTTI OF AMERICA INC

 

Check

 

Inventory related

714084

 

09-Oct-03

 

7,829.84

 

16-Oct-03

 

UNITED ARMORED SERVICES

 

Check

 

Pass-through

714086

 

09-Oct-03

 

565.05

 

16-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

714094

 

10-Oct-03

 

2,221.72

 

16-Oct-03

 

EARTHGRAINS

 

Check

 

Inventory related

714096

 

10-Oct-03

 

697.80

 

16-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

714104

 

10-Oct-03

 

521.00

 

16-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

714106

 

10-Oct-03

 

2,512.00

 

16-Oct-03

 

PRAIRIE WASTE SERVICE

 

Check

 

Outside Services

714108

 

10-Oct-03

 

1,980.41

 

16-Oct-03

 

SBC GLOBAL SERVICES INC

 

Check

 

General

714111

 

10-Oct-03

 

3,842.17

 

16-Oct-03

 

THE PANTAGRAPH

 

Check

 

Advertising

714182

 

13-Oct-03

 

17,360.00

 

16-Oct-03

 

ACI WORLDWIDE INC.

 

Check

 

Maintenance and Repairs

714187

 

13-Oct-03

 

2,441.50

 

16-Oct-03

 

CAPITAL CITY FRUIT INC

 

Check

 

Inventory related

714192

 

13-Oct-03

 

703.26

 

16-Oct-03

 

CONES REPAIR SERVICE

 

Check

 

Maintenance and Repairs

714200

 

13-Oct-03

 

1,537.87

 

16-Oct-03

 

EQUISERVE

 

Check

 

General

714201

 

13-Oct-03

 

3,332.07

 

16-Oct-03

 

FRESH EXPRESS FARMS MIDWEST

 

Check

 

Inventory related

714202

 

13-Oct-03

 

402.49

 

16-Oct-03

 

GALLATIN RIVER COMMUNICATIONS

 

Check

 

Utility

714216

 

13-Oct-03

 

21.06

 

16-Oct-03

 

KANKAKEE DAILY JOURNAL

 

Check

 

Advertising

714217

 

13-Oct-03

 

150.00

 

16-Oct-03

 

LIGHTING MAINTENANCE INC

 

Check

 

Maintenance and Repairs

714219

 

13-Oct-03

 

11,917.00

 

16-Oct-03

 

MERRILL COMMUNICATIONS LLC

 

Check

 

General

714225

 

13-Oct-03

 

716.75

 

16-Oct-03

 

REDI CUT FOODS

 

Check

 

Inventory related

714226

 

13-Oct-03

 

174.00

 

16-Oct-03

 

RGIS INVENTORY SPECIALIST

 

Check

 

General

714227

 

13-Oct-03

 

675.85

 

16-Oct-03

 

SBC

 

Check

 

Utility

714229

 

13-Oct-03

 

975.78

 

16-Oct-03

 

SIGNATURE LAWN LTD

 

Check

 

General

714231

 

13-Oct-03

 

733.50

 

16-Oct-03

 

STANTON GROUP

 

Check

 

General

714239

 

13-Oct-03

 

125.00

 

16-Oct-03

 

VERNARD GILLMAN

 

Check

 

General

714270

 

15-Oct-03

 

74,094.03

 

16-Oct-03

 

DEERE HARVESTER CREDIT UNION

 

Check

 

Payroll or Benefit related

709295

 

30-Jul-03

 

623.28

 

17-Oct-03

 

COLLISON, MARIANNE & STRIETER MOTOR CO

 

Check

 

General

713729

 

02-Oct-03

 

96.00

 

17-Oct-03

 

NATIONAL DRIVE

 

Check

 

Payroll or Benefit related

713786

 

03-Oct-03

 

10,000.00

 

17-Oct-03

 

LISTON & LAFAKIS PC

 

Check

 

General

713871

 

04-Oct-03

 

353.59

 

17-Oct-03

 

PIEMONTE BAKERY

 

Check

 

Inventory related

713902

 

06-Oct-03

 

657.00

 

17-Oct-03

 

CITY TREASURER CITY OF AURORA

 

Check

 

General

713931

 

06-Oct-03

 

300.00

 

17-Oct-03

 

JOHANNES BUS SERVICE INC

 

Check

 

General

713982

 

08-Oct-03

 

168.00

 

17-Oct-03

 

ANDREWS KOEHLER & PASSARELLI PC

 

Check

 

General

713991

 

08-Oct-03

 

18,268.45

 

17-Oct-03

 

CITY OF PERU

 

Check

 

Utility

714017

 

08-Oct-03

 

20,810.00

 

17-Oct-03

 

NATIONAL PENSION FND

 

Check

 

Payroll or Benefit related

714031

 

08-Oct-03

 

138.50

 

17-Oct-03

 

UFCW INTL UNION

 

Check

 

Payroll or Benefit related

714039

 

08-Oct-03

 

1,395.60

 

17-Oct-03

 

UFCW PENSION

 

Check

 

Payroll or Benefit related

714040

 

08-Oct-03

 

20,420.00

 

17-Oct-03

 

UFCW PENSION FUND

 

Check

 

Payroll or Benefit related

714051

 

09-Oct-03

 

21.34

 

17-Oct-03

 

CREDITORS PROTECTION SERVICE

 

Check

 

General

714052

 

09-Oct-03

 

328.11

 

17-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

714060

 

09-Oct-03

 

2,332.75

 

17-Oct-03

 

GENERAL REFRIGERATION

 

Check

 

Maintenance and Repairs

714065

 

09-Oct-03

 

146.95

 

17-Oct-03

 

IMAGISTICS INTERNATIONAL INC

 

Check

 

Operating Supplies

714071

 

09-Oct-03

 

2,016.85

 

17-Oct-03

 

MORING DISPOSAL INC

 

Check

 

General

714074

 

09-Oct-03

 

1,852.67

 

17-Oct-03

 

PRAIRIE WASTE SERVICE

 

Check

 

Outside Services

714089

 

10-Oct-03

 

48.13

 

17-Oct-03

 

BECKER & BECKER INC

 

Check

 

General

714090

 

10-Oct-03

 

55.50

 

17-Oct-03

 

BINDER, HARVEY

 

Check

 

General

714092

 

10-Oct-03

 

1,444.43

 

17-Oct-03

 

CITY OF ROCK ISLAND IL

 

Check

 

Utility

714110

 

10-Oct-03

 

364.00

 

17-Oct-03

 

SPRINGFIELD PEPSI COLA BOTTLING CO

 

Check

 

Inventory related

714112

 

10-Oct-03

 

190.00

 

17-Oct-03

 

WEPPLER PLUMBING & HEATING

 

Check

 

General

714188

 

13-Oct-03

 

397.62

 

17-Oct-03

 

CHEP EQUIPMENT POOLING SYSTEMS

 

Check

 

General

714195

 

13-Oct-03

 

1,865.00

 

17-Oct-03

 

DAILY HERALD

 

Check

 

General

714204

 

13-Oct-03

 

94.00

 

17-Oct-03

 

GENESIS OCCUPATIONAL HEALTH

 

Check

 

Outside Services

714206

 

13-Oct-03

 

75.00

 

17-Oct-03

 

HAMENDE SEWER CLEANING

 

Check

 

General

714209

 

13-Oct-03

 

65.50

 

17-Oct-03

 

HOBART CORP (SPRINGFIELD)

 

Check

 

Maintenance and Repairs

714212

 

13-Oct-03

 

1,840.00

 

17-Oct-03

 

ILLINOIS SECURITY SERVICES INC

 

Check

 

Security

714213

 

13-Oct-03

 

125.36

 

17-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

714214

 

13-Oct-03

 

4,403.00

 

17-Oct-03

 

JACK KELLER CO

 

Check

 

Inventory related

714220

 

13-Oct-03

 

550.00

 

17-Oct-03

 

MONTEREY MUSHROOMS INC

 

Check

 

Inventory related

714230

 

13-Oct-03

 

4,391.95

 

17-Oct-03

 

STANLEY ACCESS TECHNOLOGIES

 

Check

 

Maintenance and Repairs

714268

 

15-Oct-03

 

74,387.50

 

17-Oct-03

 

CRYSTAL GATE ASSOCIATES

 

Check

 

Real Estate related

714273

 

15-Oct-03

 

139.05

 

17-Oct-03

 

DUNN, WARD

 

Check

 

General

714283

 

15-Oct-03

 

53,473.92

 

17-Oct-03

 

JACOBSONS INC

 

Check

 

Real Estate related

714297

 

15-Oct-03

 

3,277.02

 

17-Oct-03

 

ROCKFORD REGISTER STAR

 

Check

 

Advertising

712621

 

12-Sep-03

 

311.68

 

20-Oct-03

 

KLINKHAMMER, RICK & DUEHR AUTO BODY

 

Check

 

General

713784

 

03-Oct-03

 

19,191.66

 

20-Oct-03

 

KIN PROPERTIES, INC.

 

Check

 

Real Estate related

713980

 

08-Oct-03

 

16,811.07

 

20-Oct-03

 

AFLAC

 

Check

 

Payroll or Benefit related

714003

 

08-Oct-03

 

394.17

 

20-Oct-03

 

HOBART CORP  (PEORIA)

 

Check

 

Maintenance and Repairs

714048

 

09-Oct-03

 

498.65

 

20-Oct-03

 

CITY OF BELVIDERE 1

 

Check

 

Utility

714073

 

09-Oct-03

 

723.11

 

20-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

714076

 

09-Oct-03

 

30.96

 

20-Oct-03

 

QWEST

 

Check

 

Utility

714077

 

09-Oct-03

 

165.00

 

20-Oct-03

 

RANDALL YOHN CLERK

 

Check

 

Payroll or Benefit related

714087

 

10-Oct-03

 

167.58

 

20-Oct-03

 

AQUILA

 

Check

 

Utility

714091

 

10-Oct-03

 

587.79

 

20-Oct-03

 

BROWNING FERRIS INDUSTRIES

 

Check

 

General

714102

 

10-Oct-03

 

99.00

 

20-Oct-03

 

KEMPHER, BARBARA

 

Check

 

General

714105

 

10-Oct-03

 

9.80

 

20-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

714109

 

10-Oct-03

 

47.25

 

20-Oct-03

 

SMOLENSKI, REBECCA

 

Check

 

General

714183

 

13-Oct-03

 

132.00

 

20-Oct-03

 

AFLAC

 

Check

 

Payroll or Benefit related

714189

 

13-Oct-03

 

1,890.00

 

20-Oct-03

 

CITY OF AURORA

 

Check

 

Utility

714191

 

13-Oct-03

 

562.00

 

20-Oct-03

 

CITY OF ROCKFORD IL

 

Check

 

General

714193

 

13-Oct-03

 

393.95

 

20-Oct-03

 

CONSUMERS ILLINOIS WATER

 

Check

 

General

 

12



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

714196

 

13-Oct-03

 

86.29

 

20-Oct-03

 

DAVE SHUMAKER

 

Check

 

General

714203

 

13-Oct-03

 

751.70

 

20-Oct-03

 

GARY ANDERSON

 

Check

 

General

714207

 

13-Oct-03

 

1,488.23

 

20-Oct-03

 

HOBART CORP  (PEORIA)

 

Check

 

Maintenance and Repairs

714218

 

13-Oct-03

 

150.00

 

20-Oct-03

 

MATTHEW P EDWARDS

 

Check

 

General

714221

 

13-Oct-03

 

318.03

 

20-Oct-03

 

MONTGOMERY WATER DEPT

 

Check

 

Utility

714233

 

13-Oct-03

 

35.00

 

20-Oct-03

 

TOOHEY, MIKE

 

Check

 

General

714236

 

13-Oct-03

 

21.20

 

20-Oct-03

 

TWIN STATES PUB TIMES REPUBLIC

 

Check

 

Advertising

714240

 

13-Oct-03

 

583.00

 

20-Oct-03

 

WASHINGTON INVENTORY SERVICE

 

Check

 

Outside Services

714288

 

15-Oct-03

 

183.96

 

20-Oct-03

 

MIKE LARSON

 

Check

 

General

714290

 

15-Oct-03

 

83.38

 

20-Oct-03

 

MORRISON, CHARLES R

 

Check

 

Payroll or Benefit related

714309

 

16-Oct-03

 

3,992.52

 

20-Oct-03

 

ILLINOIS STATE DISBURSEMENT UNIT

 

Check

 

Payroll or Benefit related

714316

 

16-Oct-03

 

2,229.98

 

20-Oct-03

 

UNITED FOOD & COMMMERCIAL WORK

 

Check

 

Payroll or Benefit related

714317

 

16-Oct-03

 

259,948.00

 

20-Oct-03

 

UNITED FOOD & COMMMERCIAL WORK

 

Check

 

Payroll or Benefit related

713893

 

06-Oct-03

 

9,277.05

 

21-Oct-03

 

CAPITAL CITY FRUIT INC

 

Check

 

Inventory related

713958

 

06-Oct-03

 

701.49

 

21-Oct-03

 

STERN, WILLIAM

 

Check

 

General

714184

 

13-Oct-03

 

69.85

 

21-Oct-03

 

AM NEWS

 

Check

 

General

714211

 

13-Oct-03

 

50.33

 

21-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

714222

 

13-Oct-03

 

4,174.28

 

21-Oct-03

 

MORRIS WATER DEPT

 

Check

 

Utility

714238

 

13-Oct-03

 

5.92

 

21-Oct-03

 

UNITED PARCEL SERVICE

 

Check

 

General

714313

 

16-Oct-03

 

525.95

 

21-Oct-03

 

RICHARD A BOWERS

 

Check

 

General

714338

 

17-Oct-03

 

248.01

 

21-Oct-03

 

XEROX CORP

 

Check

 

Equipment Rental

713403

 

27-Sep-03

 

43.73

 

22-Oct-03

 

ALS MARKET

 

Check

 

Inventory related

713643

 

01-Oct-03

 

509.51

 

22-Oct-03

 

GKP IOWA LLC

 

Check

 

Real Estate related

713711

 

02-Oct-03

 

152.06

 

22-Oct-03

 

GLASSHOPPER LTD

 

Check

 

General

713798

 

04-Oct-03

 

124.90

 

22-Oct-03

 

ALS MARKET

 

Check

 

Inventory related

713896

 

06-Oct-03

 

98.00

 

22-Oct-03

 

CITY COLLECTOR CITY OF JOLIET

 

Check

 

General

714007

 

08-Oct-03

 

44.88

 

22-Oct-03

 

JILLIAN BOURQUIN

 

Check

 

General

714186

 

13-Oct-03

 

42.00

 

22-Oct-03

 

BOONE COUNTY TREASURER

 

Check

 

General

714234

 

13-Oct-03

 

5,369.58

 

22-Oct-03

 

TOTAL RETAIL SERVICES INC

 

Check

 

Outside Services

714276

 

15-Oct-03

 

45.48

 

22-Oct-03

 

FRED J WAGNER JR

 

Check

 

Payroll or Benefit related

714277

 

15-Oct-03

 

1,041.67

 

22-Oct-03

 

GKP IOWA LLC

 

Check

 

Real Estate related

714293

 

15-Oct-03

 

126.50

 

22-Oct-03

 

OWENS, HAROLD

 

Check

 

General

713751

 

02-Oct-03

 

11.30

 

23-Oct-03

 

UFCW LOCAL 881 ABC

 

Check

 

Payroll or Benefit related

713758

 

02-Oct-03

 

270.78

 

23-Oct-03

 

WILLIAMS, AL HENRY

 

Check

 

Payroll or Benefit related

713888

 

06-Oct-03

 

7,904.26

 

23-Oct-03

 

ACCENT ENERGY ILLINOIS LLC

 

Check

 

Utility

714141

 

11-Oct-03

 

2,178.30

 

23-Oct-03

 

DIXON FISHERIES INC

 

Check

 

Inventory related

714208

 

13-Oct-03

 

813.95

 

23-Oct-03

 

HOBART CORP (GRIFFITH)

 

Check

 

Maintenance and Repairs

714210

 

13-Oct-03

 

450.79

 

23-Oct-03

 

HOBART CORP (WOODDALE)

 

Check

 

Maintenance and Repairs

714228

 

13-Oct-03

 

5,143.65

 

23-Oct-03

 

SIDCOR WESTMONT ASSOCIATES LP

 

Check

 

Real Estate related

714235

 

13-Oct-03

 

1,460.00

 

23-Oct-03

 

TOWN OF NORMAL IL

 

Check

 

General

714264

 

15-Oct-03

 

24,062.00

 

23-Oct-03

 

AMERICAN 1ST FED. CR. UN.

 

Check

 

Payroll or Benefit related

714265

 

15-Oct-03

 

88.50

 

23-Oct-03

 

BONEBRIGHT, JAMES

 

Check

 

General

714267

 

15-Oct-03

 

90.26

 

23-Oct-03

 

COLLIE, KEVIN

 

Check

 

General

714300

 

15-Oct-03

 

638.52

 

23-Oct-03

 

UFCW LOCAL 546

 

Check

 

Payroll or Benefit related

714304

 

16-Oct-03

 

553.92

 

23-Oct-03

 

COLLECTION SERV CNTR

 

Check

 

Payroll or Benefit related

714440

 

22-Oct-03

 

80,736.77

 

23-Oct-03

 

FOLEY & LARDNER

 

Check

 

Professional Fees

713997

 

08-Oct-03

 

35.00

 

24-Oct-03

 

ENERSON, JULIE

 

Check

 

General

714194

 

13-Oct-03

 

534.02

 

24-Oct-03

 

CROWDER CORP

 

Check

 

Maintenance and Repairs

714303

 

16-Oct-03

 

643.19

 

24-Oct-03

 

CHAPMAN, RICK

 

Check

 

General

714396

 

20-Oct-03

 

1,358.40

 

24-Oct-03

 

JOSHEN PAPER & PACKAGING

 

Check

 

Operating Supplies

714406

 

20-Oct-03

 

5,036.39

 

24-Oct-03

 

WATTS, SUSAN

 

Check

 

Payroll or Benefit related

714435

 

22-Oct-03

 

67,485.21

 

24-Oct-03

 

DEERE HARVESTER CREDIT UNION

 

Check

 

Payroll or Benefit related

714472

 

22-Oct-03

 

24,649.61

 

24-Oct-03

 

SNYDER, SCHWARZ, PARK & NELSON PC

 

Check

 

Professional fees

713513

 

29-Sep-03

 

143.45

 

27-Oct-03

 

CIRIVELLO, JILL

 

Check

 

General

713977

 

07-Oct-03

 

1,963.15

 

27-Oct-03

 

PARAMOUNT DISTRIBUTING CO

 

Check

 

Inventory related

714103

 

10-Oct-03

 

350.00

 

27-Oct-03

 

LASALLE COUNTY GLASS & MIRROR INC

 

Check

 

General

714118

 

11-Oct-03

 

7,051.91

 

27-Oct-03

 

AMERICAN BOTTLING CO(MID-CON)

 

Check

 

Inventory related

714121

 

11-Oct-03

 

3,767.02

 

27-Oct-03

 

AMERICAN BOTTLING CO(SELECT)

 

Check

 

Inventory related

714247

 

14-Oct-03

 

805.00

 

27-Oct-03

 

ILLINOIS DEPARTMENT OF REVENU

 

Check

 

Pass-through

714274

 

15-Oct-03

 

55.50

 

27-Oct-03

 

FARRAR, JOHN

 

Check

 

General

714298

 

15-Oct-03

 

1,551.42

 

27-Oct-03

 

SBC

 

Check

 

Utility

714312

 

16-Oct-03

 

443.83

 

27-Oct-03

 

LAMENDOLA, CHRIS & AUTO REHAB CRASH

 

Check

 

General

714402

 

20-Oct-03

 

1,043.25

 

27-Oct-03

 

SBC

 

Check

 

Utility

714407

 

21-Oct-03

 

492.16

 

27-Oct-03

 

ABENDROTH AND RUSSELL PC

 

Check

 

Payroll or Benefit related

714409

 

21-Oct-03

 

149.54

 

27-Oct-03

 

ANDERSON, KYLE

 

Check

 

Payroll or Benefit related

714413

 

21-Oct-03

 

4,926.39

 

27-Oct-03

 

INTERNATIONAL OUTSOURCING SERVICES LLC

 

Check

 

Coupon Processing

714422

 

21-Oct-03

 

38.47

 

27-Oct-03

 

SBC

 

Check

 

Utility

714426

 

22-Oct-03

 

8,015.00

 

27-Oct-03

 

AMERICAN 1ST FED. CR. UN.

 

Check

 

Payroll or Benefit related

714429

 

22-Oct-03

 

45.00

 

27-Oct-03

 

BRZOSTOWSKI, ANTHONY

 

Check

 

Payroll or Benefit related

714436

 

22-Oct-03

 

37.50

 

27-Oct-03

 

DIGGS, DENNIS

 

Check

 

Payroll or Benefit related

714438

 

22-Oct-03

 

3,799.40

 

27-Oct-03

 

DOCUMENT DESTRUCTION AND RECYCLING SERVICES

 

Check

 

General

714456

 

22-Oct-03

 

30.00

 

27-Oct-03

 

JONES, RICHARD

 

Check

 

Payroll or Benefit related

714462

 

22-Oct-03

 

37.50

 

27-Oct-03

 

MESSINO, LYNETTE

 

Check

 

Payroll or Benefit related

714464

 

22-Oct-03

 

83.39

 

27-Oct-03

 

MORRISON, CHARLES R

 

Check

 

Payroll or Benefit related

714470

 

22-Oct-03

 

31.25

 

27-Oct-03

 

RUSSELL SISSEL

 

Check

 

General

714481

 

23-Oct-03

 

177.73

 

27-Oct-03

 

AQUILA

 

Check

 

Utility

714486

 

23-Oct-03

 

482.14

 

27-Oct-03

 

CITY OF DUBUQUE WATER DEPT

 

Check

 

Utility

714499

 

23-Oct-03

 

6,381.89

 

27-Oct-03

 

ILLINOIS STATE DISBURSEMENT UNIT

 

Check

 

Payroll or Benefit related

714507

 

23-Oct-03

 

18,651.97

 

27-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

714516

 

23-Oct-03

 

60.00

 

27-Oct-03

 

ROUNTREE, THOMAS

 

Check

 

General

714537

 

24-Oct-03

 

52,630.35

 

27-Oct-03

 

FBG SERVICE CORPORATION

 

Check

 

Outside Services

710574

 

13-Aug-03

 

501.24

 

28-Oct-03

 

EUHUS, AIMEE & NAPERVILLE COLLISION

 

Check

 

Customer Practices

714352

 

18-Oct-03

 

600.00

 

28-Oct-03

 

CITY OF CLINTON 1

 

Check

 

Inventory related

714385

 

20-Oct-03

 

113.00

 

28-Oct-03

 

DIVISION OF PROPERTY VALUATION

 

Check

 

Taxes/Licenses

714449

 

22-Oct-03

 

37.50

 

28-Oct-03

 

HERSHMAN, TERESA

 

Check

 

Payroll or Benefit related

714465

 

22-Oct-03

 

90.00

 

28-Oct-03

 

MUENSTER, JEFFREY F

 

Check

 

Payroll or Benefit related

714468

 

22-Oct-03

 

362.00

 

28-Oct-03

 

PRAIRIE WASTE SERVICE

 

Check

 

Outside Services

714471

 

22-Oct-03

 

25.00

 

28-Oct-03

 

SAGEL, JACQUELINE

 

Check

 

Payroll or Benefit related

714513

 

23-Oct-03

 

2,449.23

 

28-Oct-03

 

PRAIRIE WASTE SERVICE

 

Check

 

Outside Services

714520

 

23-Oct-03

 

6,000.00

 

28-Oct-03

 

U S POSTAL SERVICE

 

Check

 

Postage

714522

 

23-Oct-03

 

775.86

 

28-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

714525

 

24-Oct-03

 

329.56

 

28-Oct-03

 

BOB MURPHY

 

Check

 

General

714530

 

24-Oct-03

 

97.10

 

28-Oct-03

 

CITY CLERKS OFFICE

 

Check

 

General

714556

 

24-Oct-03

 

352.08

 

28-Oct-03

 

ONYX WASTE SERVICES, INC

 

Check

 

General

714559

 

24-Oct-03

 

1,545.70

 

28-Oct-03

 

RGIS INVENTORY SPECIALIST

 

Check

 

General

714565

 

24-Oct-03

 

53.50

 

28-Oct-03

 

TROPHY KING & PRO SHOP

 

Check

 

General

 

13



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

714180

 

11-Oct-03

 

446.93

 

29-Oct-03

 

WHITEYS ICE CREAM MFG INC

 

Check

 

Inventory related

714258

 

14-Oct-03

 

3,369.74

 

29-Oct-03

 

QWEST

 

Check

 

Utility

714380

 

18-Oct-03

 

393.21

 

29-Oct-03

 

WHITEYS ICE CREAM MFG INC

 

Check

 

Inventory related

714381

 

20-Oct-03

 

100.00

 

29-Oct-03

 

AUGUSTANA COLLEGE

 

Check

 

General

714410

 

21-Oct-03

 

541.37

 

29-Oct-03

 

BOWMAN, HEINTZ, BOSCIA & VICIAN

 

Check

 

General

714417

 

21-Oct-03

 

46.38

 

29-Oct-03

 

NATIONWIDE CASSEL LP

 

Check

 

Payroll or Benefit related

714421

 

21-Oct-03

 

86.41

 

29-Oct-03

 

RETAILERS NATIONAL BANK

 

Check

 

Payroll or Benefit related

714430

 

22-Oct-03

 

25.00

 

29-Oct-03

 

CASTIGLIONE, SARAH

 

Check

 

Payroll or Benefit related

714437

 

22-Oct-03

 

25.00

 

29-Oct-03

 

DIMARCO, STEPHEN

 

Check

 

Payroll or Benefit related

714444

 

22-Oct-03

 

20.00

 

29-Oct-03

 

GRIFFIN, DAWN

 

Check

 

General

714445

 

22-Oct-03

 

95.00

 

29-Oct-03

 

HALL, MAYNARD

 

Check

 

Payroll or Benefit related

714451

 

22-Oct-03

 

540.90

 

29-Oct-03

 

HOFFMAN, KATHLEEN M

 

Check

 

General

714452

 

22-Oct-03

 

37.50

 

29-Oct-03

 

HOWARTH, MONICA

 

Check

 

Payroll or Benefit related

714453

 

22-Oct-03

 

7,247.43

 

29-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

714454

 

22-Oct-03

 

3,288.30

 

29-Oct-03

 

INTERNATIONAL OUTSOURCING SERVICES LLC

 

Check

 

Coupon Processing

714455

 

22-Oct-03

 

175.83

 

29-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

714460

 

22-Oct-03

 

42.50

 

29-Oct-03

 

MC CONNELL, CHRISTINE

 

Check

 

Payroll or Benefit related

714461

 

22-Oct-03

 

35.00

 

29-Oct-03

 

MEISEL, RONALD

 

Check

 

Payroll or Benefit related

714463

 

22-Oct-03

 

37.50

 

29-Oct-03

 

MILLER, ROBYN

 

Check

 

General

714466

 

22-Oct-03

 

25.00

 

29-Oct-03

 

NICOLINE, CLYDE

 

Check

 

General

714467

 

22-Oct-03

 

20.00

 

29-Oct-03

 

PENIX, MARILYN

 

Check

 

Payroll or Benefit related

714469

 

22-Oct-03

 

9,359.41

 

29-Oct-03

 

RETAIL CLERKS UNION LOCAL 431

 

Check

 

Payroll or Benefit related

714473

 

22-Oct-03

 

55.00

 

29-Oct-03

 

STOHR, PAULINE

 

Check

 

Payroll or Benefit related

714477

 

22-Oct-03

 

30.00

 

29-Oct-03

 

WALTER, VICTORIA

 

Check

 

General

714479

 

22-Oct-03

 

5,431.84

 

29-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

714485

 

23-Oct-03

 

398.08

 

29-Oct-03

 

CITY OF  BETTENDORF

 

Check

 

Utility

714490

 

23-Oct-03

 

143.00

 

29-Oct-03

 

CITY OF ROCK ISLAND IL

 

Check

 

Utility

714491

 

23-Oct-03

 

1,011.74

 

29-Oct-03

 

COLLECTION SERV CNTR

 

Check

 

Payroll or Benefit related

714493

 

23-Oct-03

 

333.87

 

29-Oct-03

 

CONSUMERS ILLINOIS WATER CO

 

Check

 

Utility

714494

 

23-Oct-03

 

35.00

 

29-Oct-03

 

DETTMANN, JAMES

 

Check

 

General

714495

 

23-Oct-03

 

14,193.35

 

29-Oct-03

 

GENESEO MUNICIPAL UTILITIES

 

Check

 

Utility

714500

 

23-Oct-03

 

1,324.95

 

29-Oct-03

 

INTERNAL REVENUE SERVICE KANSAS

 

Check

 

Payroll or Benefit related

714501

 

23-Oct-03

 

463.79

 

29-Oct-03

 

IOWA AMERICAN WATER CO

 

Check

 

Utility

714502

 

23-Oct-03

 

25.00

 

29-Oct-03

 

KAMP, SUE

 

Check

 

General

714510

 

23-Oct-03

 

675.00

 

29-Oct-03

 

OBERLANDER COMMUNICATIONS

 

Check

 

General

714511

 

23-Oct-03

 

25.00

 

29-Oct-03

 

OLALDE, PETE

 

Check

 

General

714512

 

23-Oct-03

 

25.00

 

29-Oct-03

 

PILCHER, BOB

 

Check

 

General

714515

 

23-Oct-03

 

177.03

 

29-Oct-03

 

RICHARD A BOWERS

 

Check

 

General

714521

 

23-Oct-03

 

282.32

 

29-Oct-03

 

UNITED PARCEL SERVICE

 

Check

 

General

714529

 

24-Oct-03

 

438.99

 

29-Oct-03

 

CITY CLERK

 

Check

 

Utility

714541

 

24-Oct-03

 

59.94

 

29-Oct-03

 

HAMPTON INN

 

Check

 

General

714564

 

24-Oct-03

 

1,526.06

 

29-Oct-03

 

TOTAL RETAIL SERVICES INC

 

Check

 

Outside Services

714566

 

24-Oct-03

 

921.68

 

29-Oct-03

 

WASTE MANAGEMENT

 

Check

 

Outside Services

714569

 

24-Oct-03

 

2,846.75

 

29-Oct-03

 

XEROX CORP

 

Check

 

Equipment Rental

714610

 

27-Oct-03

 

339.73

 

29-Oct-03

 

CITY OF DUBUQUE WATER DEPT

 

Check

 

Utility

714613

 

27-Oct-03

 

347.02

 

29-Oct-03

 

DILLON, TIMOTHY

 

Check

 

Payroll or Benefit related

714626

 

27-Oct-03

 

1,191.00

 

29-Oct-03

 

PER MAR SECURITY

 

Check

 

Security

714629

 

27-Oct-03

 

110.87

 

29-Oct-03

 

SHELL, JAMES

 

Check

 

Payroll or Benefit related

712159

 

05-Sep-03

 

1,228.72

 

30-Oct-03

 

MORAN, LAURA

 

Check

 

General

714241

 

14-Oct-03

 

458.85

 

30-Oct-03

 

ACCENT ENERGY ILLINOIS LLC

 

Check

 

Utility

714250

 

14-Oct-03

 

9,514.39

 

30-Oct-03

 

MIDAMERICAN ENERGY

 

Check

 

Utility

714405

 

20-Oct-03

 

300.00

 

30-Oct-03

 

VERNARD GILLMAN

 

Check

 

General

714425

 

22-Oct-03

 

169.67

 

30-Oct-03

 

ALLIANT UTILITY

 

Check

 

Utility

714428

 

22-Oct-03

 

1,331.22

 

30-Oct-03

 

BROWNING FERRIS INDUSTRIES

 

Check

 

General

714431

 

22-Oct-03

 

43,131.56

 

30-Oct-03

 

COMMONWEALTH EDISON

 

Check

 

Utility

714433

 

22-Oct-03

 

756.23

 

30-Oct-03

 

DEANS TRANSFER SERVICE INC

 

Check

 

General

714439

 

22-Oct-03

 

605.82

 

30-Oct-03

 

DUCKETT DISPOSAL

 

Check

 

General

714448

 

22-Oct-03

 

32.50

 

30-Oct-03

 

HEILMAN, INGRID

 

Check

 

Payroll or Benefit related

714459

 

22-Oct-03

 

82.50

 

30-Oct-03

 

MARCOUX, EUGENE

 

Check

 

Payroll or Benefit related

714480

 

23-Oct-03

 

30,026.09

 

30-Oct-03

 

ALLIANT UTILITY

 

Check

 

Utility

714483

 

23-Oct-03

 

27.50

 

30-Oct-03

 

BORLAND, FORREST

 

Check

 

General

714487

 

23-Oct-03

 

872.26

 

30-Oct-03

 

CITY OF ELGIN WATER DEPT

 

Check

 

Utility

714492

 

23-Oct-03

 

9,243.54

 

30-Oct-03

 

COMMONWEALTH EDISON

 

Check

 

Utility

714503

 

23-Oct-03

 

10.00

 

30-Oct-03

 

LAKANEN, STEVEN

 

Check

 

General

714504

 

23-Oct-03

 

12.50

 

30-Oct-03

 

LAWSON, LARRY

 

Check

 

Payroll or Benefit related

714508

 

23-Oct-03

 

80.58

 

30-Oct-03

 

MONTGOMERY WATER DEPT

 

Check

 

Utility

714509

 

23-Oct-03

 

580.34

 

30-Oct-03

 

NICOR

 

Check

 

Utility

714523

 

24-Oct-03

 

328.14

 

30-Oct-03

 

ANDY ELIAKIS

 

Check

 

General

714535

 

24-Oct-03

 

236.60

 

30-Oct-03

 

DUNN, WARD

 

Check

 

General

714539

 

24-Oct-03

 

357.56

 

30-Oct-03

 

GARY ANDERSON

 

Check

 

General

714546

 

24-Oct-03

 

157.09

 

30-Oct-03

 

JAMES K GHRER

 

Check

 

General

714560

 

24-Oct-03

 

1,179.34

 

30-Oct-03

 

ROBERT  KELLY

 

Check

 

Payroll or Benefit related

714608

 

27-Oct-03

 

1.94

 

30-Oct-03

 

AT&T

 

Check

 

Utility

714616

 

27-Oct-03

 

311.95

 

30-Oct-03

 

DUCKETT DISPOSAL

 

Check

 

General

714632

 

27-Oct-03

 

125.00

 

30-Oct-03

 

VERNARD GILLMAN

 

Check

 

General

714638

 

28-Oct-03

 

87.63

 

30-Oct-03

 

FLATLEY, PATRICK

 

Check

 

General

714205

 

13-Oct-03

 

100.00

 

31-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

714246

 

14-Oct-03

 

200.00

 

31-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

714254

 

14-Oct-03

 

207.66

 

31-Oct-03

 

MUNICIPAL UTILITIES

 

Check

 

Utility

714256

 

14-Oct-03

 

211.91

 

31-Oct-03

 

PARKINSON, JASON

 

Check

 

Payroll or Benefit related

714278

 

15-Oct-03

 

505.20

 

31-Oct-03

 

HAMBURG DISTRIBUTING CO

 

Check

 

Inventory related

714280

 

15-Oct-03

 

1,345.49

 

31-Oct-03

 

HOBART CORP

 

Check

 

Maintenance and Repairs

714327

 

17-Oct-03

 

161.33

 

31-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

714390

 

20-Oct-03

 

126.00

 

31-Oct-03

 

ELECTRIC REFRIGERATION INC

 

Check

 

Maintenance and Repairs

714392

 

20-Oct-03

 

26,857.46

 

31-Oct-03

 

GLACIER WATER SERVICES

 

Check

 

Inventory related

714398

 

20-Oct-03

 

150.00

 

31-Oct-03

 

MATTHEW P EDWARDS

 

Check

 

General

714416

 

21-Oct-03

 

121.38

 

31-Oct-03

 

MITCHELL, GARRETT

 

Check

 

Payroll or Benefit related

714427

 

22-Oct-03

 

40.00

 

31-Oct-03

 

BOLAND, KATHERINE

 

Check

 

Payroll or Benefit related

714442

 

22-Oct-03

 

286.80

 

31-Oct-03

 

GILLS FREEPORT DISPOSAL INC

 

Check

 

General

714443

 

22-Oct-03

 

27.50

 

31-Oct-03

 

GOODRICH, RONALD

 

Check

 

Payroll or Benefit related

714476

 

22-Oct-03

 

45.00

 

31-Oct-03

 

WALKER, MARLA

 

Check

 

General

714489

 

23-Oct-03

 

278.65

 

31-Oct-03

 

CITY OF JOLIET

 

Check

 

Utility

714506

 

23-Oct-03

 

220.00

 

31-Oct-03

 

LUCAS, MARY

 

Check

 

General

714519

 

23-Oct-03

 

437.02

 

31-Oct-03

 

TOWN OF NORMAL

 

Check

 

Utility

714527

 

24-Oct-03

 

72.50

 

31-Oct-03

 

BROWN, NANCY

 

Check

 

General

714528

 

24-Oct-03

 

570.76

 

31-Oct-03

 

BUSTER SANITATION SERVICE

 

Check

 

General

 

14



 

Check Number

 

Check Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

714533

 

24-Oct-03

 

30.00

 

31-Oct-03

 

COVEY, DENNY

 

Check

 

Payroll or Benefit related

714540

 

24-Oct-03

 

45.00

 

31-Oct-03

 

GLOECKNER, MARYANN

 

Check

 

Payroll or Benefit related

714545

 

24-Oct-03

 

15,591.51

 

31-Oct-03

 

ILLINOIS POWER CO

 

Check

 

Utility

714548

 

24-Oct-03

 

37.50

 

31-Oct-03

 

JOHNSTON, DEBRA

 

Check

 

Payroll or Benefit related

714550

 

24-Oct-03

 

35.00

 

31-Oct-03

 

LINDER, DAVID

 

Check

 

Payroll or Benefit related

714553

 

24-Oct-03

 

50.00

 

31-Oct-03

 

MUZAK CHICAGO

 

Check

 

Outside Services

714602

 

25-Oct-03

 

310.81

 

31-Oct-03

 

ROYAL CROWN BOTTLING CHICAGO

 

Check

 

Inventory related

714607

 

25-Oct-03

 

263.73

 

31-Oct-03

 

WHITEYS ICE CREAM MFG INC

 

Check

 

Inventory related

714614

 

27-Oct-03

 

181.19

 

31-Oct-03

 

DON KOEHLER PLUMBING & HEATING

 

Check

 

General

714624

 

27-Oct-03

 

75.00

 

31-Oct-03

 

MATTHEW P EDWARDS

 

Check

 

General

714627

 

27-Oct-03

 

620.60

 

31-Oct-03

 

PRAIRIE WASTE SERVICE

 

Check

 

Outside Services

 

 

 

 

4,884,970.49

 

 

 

 

 

 

 

 

 

15



 

EAGLE FOOD CENTERS INC.

Disbursements-Wires

 

Ref. No.

 

Wire Date

 

Amount

 

Cleared Date

 

Name

 

Payment Method

 

Group

10009424

 

06-Oct-03

 

27,517.22

 

06-Oct-03

 

BLUE CROSS BLUE SHIELD

 

Wire

 

Payroll or Benefit related

10009425

 

06-Oct-03

 

17,105.71

 

06-Oct-03

 

CENTRAL GROCERS COOPERATIVE, INC

 

Wire

 

Inventory related

10009426

 

06-Oct-03

 

9,168.87

 

06-Oct-03

 

CERTIFIED GROCERS MIDWEST  INC

 

Wire

 

Inventory related

10009427

 

06-Oct-03

 

87,558.20

 

06-Oct-03

 

INTEGRATED PAYMENT SYSTEM

 

Wire

 

Pass-through & Inventory Purchases

10009428

 

06-Oct-03

 

111,794.90

 

06-Oct-03

 

NEBRASKA BEEF LTD

 

Wire

 

Inventory related

10009429

 

06-Oct-03

 

7,612.50

 

06-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009430

 

06-Oct-03

 

21,800.08

 

06-Oct-03

 

WESTERN UNION

 

Wire

 

Pass-through

10009434

 

07-Oct-03

 

251,222.24

 

06-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009431

 

07-Oct-03

 

50,187.38

 

07-Oct-03

 

AFFILIATED FOODS MIDWEST

 

Wire

 

Inventory related

10009432

 

07-Oct-03

 

13,962.49

 

07-Oct-03

 

GOLD KIST INC

 

Wire

 

Inventory related

10009433

 

07-Oct-03

 

32,058.54

 

07-Oct-03

 

INTEGRATED PAYMENT SYSTEM

 

Wire

 

Pass-through & Inventory Purchases

10009435

 

07-Oct-03

 

1,400.00

 

07-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009436

 

07-Oct-03

 

43,218.00

 

07-Oct-03

 

ILLINOIS DEPARTMENT OF REVENU

 

Wire

 

Pass-through

10009437

 

07-Oct-03

 

2,101.34

 

07-Oct-03

 

STATE OF IA DEPT OF COMMERCE

 

Wire

 

Inventory related

10009438

 

07-Oct-03

 

49,038.98

 

07-Oct-03

 

WESTERN UNION

 

Wire

 

Pass-through

10009441

 

08-Oct-03

 

26,208.45

 

07-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009439

 

08-Oct-03

 

12,843.88

 

08-Oct-03

 

INTEGRATED PAYMENT SYSTEM

 

Wire

 

Pass-through & Inventory Purchases

10009440

 

08-Oct-03

 

20,332.86

 

08-Oct-03

 

LOGAN & COMPANY INC

 

Wire

 

Professional Fees

10009442

 

08-Oct-03

 

500.00

 

08-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009443

 

08-Oct-03

 

50,264.29

 

08-Oct-03

 

ILLINOIS STATE LOTTERY

 

Wire

 

Lottery

10009444

 

08-Oct-03

 

35,263.55

 

08-Oct-03

 

WESTERN UNION

 

Wire

 

Pass-through

10009448

 

09-Oct-03

 

202,266.84

 

08-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009445

 

09-Oct-03

 

15,137.90

 

09-Oct-03

 

ALCOA EMPLOYEES CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009446

 

09-Oct-03

 

6,919.00

 

09-Oct-03

 

DUPACO COMMUNITY CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009447

 

09-Oct-03

 

366,417.51

 

09-Oct-03

 

NAVISTAR FINANCIAL CORPORATION

 

Wire

 

Lease Payment-Trailers

10009449

 

09-Oct-03

 

12,703.97

 

09-Oct-03

 

WESTERN UNION

 

Wire

 

Pass-through

10009454

 

10-Oct-03

 

126,407.54

 

09-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009450

 

10-Oct-03

 

59,794.61

 

10-Oct-03

 

AFFILIATED FOODS MIDWEST

 

Wire

 

Inventory related

10009451

 

10-Oct-03

 

370.86

 

10-Oct-03

 

INTEGRATED PAYMENT SYSTEM

 

Wire

 

Pass-through & Inventory Purchases

10009455

 

10-Oct-03

 

22,579.92

 

10-Oct-03

 

STRONG FUNDS - 401K

 

Wire

 

Payroll or Benefit related

10009456

 

10-Oct-03

 

700.00

 

10-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009457

 

10-Oct-03

 

1,887.41

 

10-Oct-03

 

ILLINOIS STATE LOTTERY

 

Wire

 

Lottery

10009458

 

10-Oct-03

 

49,319.35

 

10-Oct-03

 

ILLINOIS WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009459

 

10-Oct-03

 

297,502.17

 

10-Oct-03

 

ILLINOIS WITHHOLDING TAX-BOGO

 

Wire

 

Payroll or Benefit related

10009460

 

10-Oct-03

 

36,772.00

 

10-Oct-03

 

IOWA WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009461

 

10-Oct-03

 

2,449.75

 

10-Oct-03

 

STATE OF IA DEPT OF COMMERCE

 

Wire

 

Inventory related

10009465

 

14-Oct-03

 

100,826.45

 

13-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009462

 

14-Oct-03

 

1,291.36

 

14-Oct-03

 

AFLAC INSURANCE

 

Wire

 

Payroll or Benefit related

10009463

 

14-Oct-03

 

19,365.84

 

14-Oct-03

 

BLUE CROSS BLUE SHIELD

 

Wire

 

Payroll or Benefit related

10009464

 

14-Oct-03

 

22,095.94

 

14-Oct-03

 

NEBRASKA BEEF LTD

 

Wire

 

Inventory related

10009466

 

14-Oct-03

 

14,747.53

 

14-Oct-03

 

RJO

 

Wire

 

Inventory related

10009467

 

14-Oct-03

 

4,725.00

 

14-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009471

 

15-Oct-03

 

720,639.98

 

14-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009470

 

15-Oct-03

 

1,504.19

 

15-Oct-03

 

GEORGE WESTON BAKERIES INC

 

Wire

 

Inventory related

10009472

 

15-Oct-03

 

43,218.00

 

15-Oct-03

 

ILLINOIS DEPARTMENT OF REVENU

 

Wire

 

Pass-through

10009473

 

15-Oct-03

 

9,889.70

 

15-Oct-03

 

ILLINOIS STATE LOTTERY

 

Wire

 

Lottery

10009474

 

15-Oct-03

 

297.46

 

15-Oct-03

 

WISCONSIN WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009477

 

16-Oct-03

 

186,506.47

 

15-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009475

 

16-Oct-03

 

19,973.15

 

16-Oct-03

 

ALCOA EMPLOYEES CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009476

 

16-Oct-03

 

4,571.00

 

16-Oct-03

 

DUPACO COMMUNITY CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009479

 

17-Oct-03

 

399,433.00

 

16-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009478

 

17-Oct-03

 

300,205.91

 

17-Oct-03

 

EDS

 

Wire

 

Outside Services-EDS

10009480

 

17-Oct-03

 

24,973.19

 

17-Oct-03

 

SITRICK AND COMPANY INC

 

Wire

 

Professional Fees

10009481

 

17-Oct-03

 

29,960.20

 

17-Oct-03

 

STRONG FUNDS - 401K

 

Wire

 

Payroll or Benefit related

10009482

 

17-Oct-03

 

250.00

 

17-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009483

 

17-Oct-03

 

379,415.54

 

17-Oct-03

 

FEDERAL PAYROLL TAX-EAGLE

 

Wire

 

Payroll or Benefit related

10009484

 

17-Oct-03

 

27,219.16

 

17-Oct-03

 

ILLINOIS WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009488

 

20-Oct-03

 

287,718.17

 

17-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009485

 

20-Oct-03

 

1,661.78

 

20-Oct-03

 

AFLAC INSURANCE

 

Wire

 

Payroll or Benefit related

10009486

 

20-Oct-03

 

15,714.35

 

20-Oct-03

 

BLUE CROSS BLUE SHIELD

 

Wire

 

Payroll or Benefit related

10009487

 

20-Oct-03

 

17,000.00

 

20-Oct-03

 

OCAMPO BELVIDERE

 

Wire

 

Real Estate related

10009489

 

20-Oct-03

 

43.34

 

20-Oct-03

 

INDIANA WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009490

 

20-Oct-03

 

2,350.00

 

20-Oct-03

 

UNITED ARMORED SERVICES

 

Wire

 

Pass-through

10009491

 

21-Oct-03

 

374,535.89

 

20-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009492

 

22-Oct-03

 

88,881.96

 

21-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009495

 

23-Oct-03

 

179,961.19

 

22-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009493

 

23-Oct-03

 

39,438.65

 

23-Oct-03

 

ALCOA EMPLOYEES CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009496

 

23-Oct-03

 

20,078.00

 

23-Oct-03

 

DUPACO COMMUNITY CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009497

 

23-Oct-03

 

15.00

 

23-Oct-03

 

ILLINOIS STATE LOTTERY

 

Wire

 

Lottery

10009505

 

24-Oct-03

 

112,388.17

 

23-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009498

 

24-Oct-03

 

208,128.68

 

24-Oct-03

 

HURON CONSULTING GROUP, LLC

 

Wire

 

Professional Fees

10009499

 

24-Oct-03

 

615,823.00

 

24-Oct-03

 

SKADDEN, ARPS, SLATE, MEAGHER & FLOM LLP

 

Wire

 

Professional Fees

10009500

 

24-Oct-03

 

457,677.22

 

24-Oct-03

 

FEDERAL PAYROLL TAX-EAGLE

 

Wire

 

Payroll or Benefit related

10009501

 

24-Oct-03

 

33,313.68

 

24-Oct-03

 

ILLINOIS WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009502

 

24-Oct-03

 

11,053.00

 

24-Oct-03

 

IOWA WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

10009506

 

24-Oct-03

 

24,605.43

 

24-Oct-03

 

STRONG FUNDS - 401K

 

Wire

 

Payroll or Benefit related

10009507

 

24-Oct-03

 

40,000.00

 

24-Oct-03

 

MONTGOMERY ASSOCIATES 86

 

Wire

 

Real Estate related

10009510

 

27-Oct-03

 

47,196.45

 

24-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009508

 

27-Oct-03

 

3,242.65

 

27-Oct-03

 

AFLAC INSURANCE

 

Wire

 

Payroll or Benefit related

10009509

 

27-Oct-03

 

7,088.42

 

27-Oct-03

 

BLUE CROSS BLUE SHIELD

 

Wire

 

Payroll or Benefit related

10009511

 

28-Oct-03

 

229,884.53

 

27-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009512

 

29-Oct-03

 

105,458.82

 

28-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009513

 

29-Oct-03

 

15.00

 

29-Oct-03

 

ILLINOIS STATE LOTTERY

 

Wire

 

Lottery

10009516

 

30-Oct-03

 

189,892.96

 

29-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009514

 

30-Oct-03

 

13,866.80

 

30-Oct-03

 

ALCOA EMPLOYEES CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009515

 

30-Oct-03

 

2,875.00

 

30-Oct-03

 

DUPACO COMMUNITY CREDIT UNION

 

Wire

 

Payroll or Benefit related

10009517

 

31-Oct-03

 

130,769.86

 

30-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009523

 

31-Oct-03

 

42,014.82

 

30-Oct-03

 

PAYROLL CHECKS CLEARED BANK

 

Wire

 

Payroll or Benefit related

10009518

 

31-Oct-03

 

22,572.03

 

31-Oct-03

 

STRONG FUNDS - 401K

 

Wire

 

Payroll or Benefit related

10009519

 

31-Oct-03

 

196,211.09

 

31-Oct-03

 

FEDERAL PAYROLL TAX-EAGLE

 

Wire

 

Payroll or Benefit related

10009520

 

31-Oct-03

 

69.13

 

31-Oct-03

 

FUTA 940-BOGO

 

Wire

 

Payroll or Benefit related

10009521

 

31-Oct-03

 

13,651.61

 

31-Oct-03

 

FUTA 940-EAGLE

 

Wire

 

Payroll or Benefit related

10009522

 

31-Oct-03

 

7,000.00

 

31-Oct-03

 

ILLINOIS DEPARTMENT OF REVENU

 

Wire

 

Pass-through

10009524

 

31-Oct-03

 

376.33

 

31-Oct-03

 

WISCONSIN WITHHOLDING TAX

 

Wire

 

Payroll or Benefit related

 

 

 

 

$

7,926,070.39

 

 

 

 

 

 

 

 

 

16



 

EAGLE FOOD CENTERS INC.

Weekly Cash Position

 

WEEK ENDING:

 

10/10/2003

 

10/17/2003

 

10/24/2003

 

10/31/2003

 

 

 

 

 

 

 

 

 

 

 

GENERAL ACCT AVAIL. BALANCE

 

512,329

 

80,000

 

1,666,492

 

692,891

 

DEPOSITS:

 

 

 

 

 

 

 

 

 

MILAN OFFICE DEPOSIT

 

223

 

 

7

 

27

 

CONGRESS WIRE IN

 

7,024,650

 

536,918

 

1,288,545

 

862,848

 

DBQ BANK & TRUST (ATM Surcharge)

 

103

 

 

 

 

EFUNDS (DLY SETTLE)

 

 

 

 

 

COINSTAR WIRE IN

 

 

 

 

 

McKESSON

 

 

 

 

 

GREAT LAKES SCRIP WIRE IN

 

103

 

 

 

 

PROCEEDS from SALE of ASSETS

 

 

 

 

 

OTHER

 

 

 

 

 

DEPOSITS PRIOR TO WITHDRAWLS:

 

7,025,080

 

536,918

 

1,288,552

 

862,874

 

 

 

 

 

 

 

 

 

 

 

DISBURSEMENTS:

 

 

 

 

 

 

 

 

 

ALCOA A/P 438100

 

1,996,195

 

1,961,848

 

558,515

 

335,401

 

ALCOA AFTERNOON ADJ. A/P 438100

 

 

32,822

 

168

 

 

FED. TAX ACH

 

297,502

 

379,416

 

457,677

 

196,211

 

PAYROLL ACCT.

 

706,932

 

1,594,298

 

802,964

 

698,021

 

PAYROLL ACCT. (ALCOA 438130)

 

 

 

 

 

PREV. DAY PAYROLL (ALCOA 438130)

 

 

 

 

 

ZBA ACCTS

 

345,836

 

95,700

 

55,002

 

21,112

 

ALCOA PAYROLL DEPOSITS

 

15,138

 

19,973

 

39,439

 

13,867

 

401K

 

22,580

 

29,960

 

24,605

 

22,572

 

AIG INSURANCE

 

 

 

 

 

 

AFLAC INSURANCE

 

 

 

1,291

 

1,662

 

3,243

 

BARILLA AMERICA, INC.

 

 

 

 

 

 

BEAR STEARNS SECURITIES

 

 

 

 

 

 

BLUE CROSS BLUE SHEILD

 

27,517

 

19,366

 

15,714

 

7,088

 

BUNGE FOODS

 

 

 

 

 

 

 

 

CAMPBELL SOUP COMPANY

 

 

 

 

 

 

 

 

CARL BUDDIG & COMPANY

 

 

 

 

 

 

 

 

CERTIFIED GROCERS MIDWEST

 

9,169

 

 

 

 

 

 

 

CONAGRA REFRIGERATED FOODS

 

 

 

 

 

 

 

 

 

DEPOSIT CORRECTION DEBITS

 

 

 

 

 

 

 

 

 

DEPOSIT SLIP CHARGE

 

 

 

 

 

 

 

 

 

DEL MONTE CORPORATION

 

 

 

 

 

 

 

 

 

DLM FOODS

 

 

 

 

 

 

 

 

 

DOLE PACKAGED FOODS

 

 

 

 

 

 

 

 

 

DUPACO COMMUNITY C U

 

6,919

 

4,571

 

20,078

 

2,875

 

EDS

 

 

 

300,206

 

 

 

 

 

EDY’S ICE CREAM

 

 

 

 

 

 

 

 

 

FLEMING TOPEKA GMD

 

 

 

 

 

 

 

 

 

FOOD MARKETING GROUP

 

 

 

 

 

 

 

 

 

FRITO LAY

 

 

 

 

 

 

 

 

 

GENERAL MILLS

 

 

 

 

 

 

 

 

 

GOLD KIST FOODS

 

13,962

 

 

 

 

 

 

 

HEINZ NORTH AMERICA

 

 

 

 

 

 

 

 

 

HERSHEY FOODS

 

 

 

 

 

 

 

 

 

HORMEL FINANCIAL SERVICES

 

 

 

 

 

 

 

 

 

H P HOOD, INC.

 

 

 

 

 

 

 

 

 

IBP INC.

 

 

 

 

 

 

 

 

 

INTEGRATED PAYMENT SYSTEMS

 

132,831

 

 

 

 

 

 

 

INTERNATIONAL MULTIFOODS

 

 

 

 

 

 

 

 

 

JEFFERIES & COMPANY

 

 

 

 

 

 

 

 

 

J M SMUCKER COMPANY

 

 

 

 

 

 

 

 

 

JOHN MORRELL & COMPANY

 

 

 

 

 

 

 

 

 

KEHE FOOD

 

 

 

 

 

 

 

 

 

KELLOGG COMPANY

 

 

 

 

 

 

 

 

 

KIMBERLY-CLARK CORPORATION

 

 

 

 

 

 

 

 

 

KRAFT FOODS PIZZA

 

 

 

 

 

 

 

 

 

KRAFT GENERAL FOODS

 

 

 

 

 

 

 

 

 

KRAKUS FOODS INT’L.

 

 

 

 

 

 

 

 

 

 

17



 

WEEK ENDING:

 

10/10/2003

 

10/17/2003

 

10/24/2003

 

10/31/2003

 

LAND-O-LAKES INC.

 

 

 

 

 

 

 

 

 

MALT-O-MEAL

 

 

 

 

 

 

 

 

 

McCORMICK & COMPANY

 

 

 

 

 

 

 

 

 

McKESSON DRUG COMPANY

 

 

 

 

 

 

 

 

 

MINUTE MAID

 

 

 

 

 

 

 

 

 

MISC FINANCE

 

386,750

 

24,973

 

208,129

 

40,000

 

MISC WHSE & DSD VENDORS

 

127,088

 

1,504

 

 

 

 

 

M&M MARS

 

 

 

 

 

 

 

 

 

MORTON SALT COMPANY

 

 

 

 

 

 

 

 

 

MPS SERVICE CHARGE

 

 

 

 

 

30,978

 

 

 

NABISCO BISCUIT

 

 

 

 

 

 

 

 

 

NATIONAL BEEF PACKING

 

 

 

 

 

 

 

 

 

NEBRASKA BEEF

 

111,795

 

22,095.94

 

 

 

 

 

NESTLE FROZEN / BRANDS / USA

 

 

 

 

 

 

 

 

 

NESTLE HANDHELD FOODS

 

 

 

 

 

 

 

 

 

NESTLE PETCARE

 

 

 

 

 

 

 

 

 

NESTLE WATERS CANADA

 

 

 

 

 

 

 

 

 

NESTLE WATERS NORTH AMERICA

 

 

 

 

 

 

 

 

 

OCEAN SPRAY CRANBERRIES

 

 

 

 

 

 

 

 

 

PACKERLAND PACKING

 

 

 

 

 

 

 

 

 

PACT IV

 

 

 

 

 

 

 

 

 

PATRICK CUDAHY INC.

 

 

 

 

 

 

 

 

 

PINNACLE FOODS

 

 

 

 

 

 

 

 

 

PROCTER & GAMBLE

 

 

 

 

 

 

 

 

 

QUAKER FOODS

 

 

 

 

 

 

 

 

 

RJO

 

 

 

14,748

 

 

 

 

 

ROSS PRODUCTS

 

 

 

 

 

 

 

 

 

SALOMON SMITH BARNEY

 

 

 

 

 

 

 

 

 

SAV-RX

 

 

 

 

 

 

 

 

 

S C JOHNSON

 

 

 

 

 

 

 

 

 

SERVICE CHARGE

 

 

 

 

 

7,691

 

 

 

SHASTA (NEW BEVCO)

 

 

 

 

 

 

 

 

SKADDEN,ARPS,SLATE,MEAGHER,&FLOM

 

 

 

 

 

615,823

 

 

 

SOLO CUP COMPANY

 

 

 

 

 

 

 

 

 

STAMPS ON CONSIGNMENT

 

 

 

 

 

 

 

 

 

STORE RENT

 

 

 

17,000

 

 

 

 

 

SUPERVALUE, INC.

 

 

 

 

 

 

 

 

 

STERN BROTHERS & COMPANY

 

 

 

 

 

 

 

 

 

SWIFT & COMPANY

 

 

 

 

 

 

 

 

 

TYSON FOODS

 

 

 

 

 

 

 

 

 

UNILEVER BESTFOODS

 

 

 

 

 

 

 

 

 

UNITED ARMORED

 

10,213

 

4,975

 

2,350

 

 

 

USA BOUQUET COMPANY

 

 

 

 

 

 

 

 

 

US BANK

 

 

 

 

 

 

 

 

 

VICTORY

 

 

 

 

 

 

 

 

 

 

18



 

WEEK ENDING:

 

10/10/2003

 

10/17/2003

 

10/24/2003

 

10/31/2003

 

OTHER

 

 

 

 

 

 

 

 

TOTAL DISBURSMENTS:

 

4,210,427

 

4,524,747

 

2,840,795

 

1,340,390

 

 

 

 

 

 

 

 

 

 

 

EST’D CASH BALANCE:

 

255,897

 

96,895

 

228,394

 

400,878

 

 

 

 

 

 

 

 

 

 

 

DAILY COLLECTED BALANCE

 

515,773

 

135,852

 

1,666,492

 

732,025

 

 

 

 

 

 

 

 

 

 

 

SAVINGS ACCOUNT INFORMATION

 

 

 

 

 

 

 

 

 

TRANS. <TO> FROM SAVINGS ACCT

 

 

775,000

 

 

 

INTEREST

 

 

 

 

 

 

 

16,935

 

SAVINGS ACCOUNT BALANCE

 

34,512,382

 

34,420,166

 

32,736,424

 

32,103,359

 

 

 

 

 

 

 

 

 

 

 

LESS CASH REMITTED TODAY

 

 

 

 

 

 

 

 

 

WELLS FARGO:

 

 

 

 

 

 

 

 

 

CASH DEPOSIT

 

 

 

 

 

CHECKS & FOOD STAMPS

 

4,814

 

56,782

 

2,128

 

 

CPC CHECKS

 

2,259,634

 

1,341,300

 

649,912

 

72,326

 

COINSTAR ACH

 

27,310

 

12,898

 

25,948

 

 

CASH CONCENTRATION (ACH)

 

962,774

 

522,996

 

278,102

 

84,136

 

BANKCARD ACH

 

497,378

 

387,506

 

137,952

 

2

 

ADJ. TO SETTLEMENT (OFFSET)

 

 

 

10,112

 

 

BANKCARD NET SETTLEMENT

 

(8,494

)

(4,224

)

(1,390

)

(362

)

DEBIT CARD MERCHANT ACH

 

473,580

 

309,166

 

93,262

 

 

AMERICAN EXPRESS ACH

 

13,720

 

9,496

 

7,506

 

699

 

PROCEEDS from SALE of ASSETS

 

2,447,511

 

1,520,435

 

 

706,256

 

DISCOVER ACH

 

 

 

 

 

 

TOTAL WELLS FARGO WIRE:

 

6,678,227

 

4,156,354

 

1,203,531

 

863,058

 

 

 

 

 

 

 

 

 

 

 

TO FIRST UNION NATIONAL BANK:

 

 

 

 

 

 

 

 

 

LAKESIDE

 

354,263

 

116,839

 

97,259

 

 

SNYDER, SCHWARZ

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

TOTAL CASH REMITTED TODAY:

 

(7,032,490

)

(4,273,194

)

(1,300,790

)

(863,058

)

 

 

 

 

 

 

 

 

 

 

FEES CHARGED TO LOAN

 

 

 

12,245

 

229

 

LOAN BALANCE BEFORE BORROWING:

 

 

 

 

 

 

 

 

ADDITIONAL BORROWING THIS REPORT:

 

7,024,650

 

4,273,194

 

1,288,545

 

862,848

 

LOAN BALANCE TODAY:

 

 

 

 

19

 

 

19



 

EAGLE FOOD CENTERS, INC.

BOGO’s Disbursements

October Monthly Operating Report

EAGLE FOOD CENTERS, INC.

BOGO’S Inc. Disbursements

 

BOGO’s Inc. October Disbursements

 

Payables

 

 

 

 

 

 

 

 

 

Payables

 

Purchase Invoices

 

Purchase Invoices USD

 

28-Oct-03

 

129.62

 

Payables

 

Purchase Invoices

 

Purchase Invoices USD

 

21-Oct-03

 

409.80

 

 

 

 

 

 

 

 

 

 

 

Total Disbursements

 

 

 

 

 

 

 

539.42

 

 

20