FY 2010-2011 PART 2 OF 3 - H.T.E.PREPARED --7/2014, 10:19-.'00 GENERAL LEDGER ...-.-VITY LISTING P— 391
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4001-415.27-05 Other Benefits & Deduc. / FICA
ACCOUNT TOTAL
101-4001-415.30-01
Contract
Services
Consultants
GM
00350
02/11
AP
08/13/iO
0088638
HDL COREN & CONE
16930 -IN
3RD QTR SALES TX
GM
01046
05/11
AP
10/21/10
0089587
HINDERLITER DE LLAMAS & A
17167 -IN
4TH QTR SALES TX
GM
00931
04/11
AP
10/25/10
0089497
GOVERNMENT FINANCE OFFICE
102510
REVIEW FINANCIAL RPTING
GM
01704
08/11
AP
01126111
0090665
HINDERLITER DE LLAMAS & A
17510 -IN
1ST QTR SALES TAX
GM
02558
11/11
AP
05/09/11
0092009
HINDERLITER DE LLAMAS & A
180791N
2ND QTR SALES TX
ACCOUNT TOTAL
101 - 4001-415.31-13
Contract
Services /
Administration
GM
00345
01/11
AJ
07/31/10
JE
01-041
JUL110 BANK CHARGES
GM
00345
01/11
AJ
07/31/10
JE
01-041
JUL110 DEBIT CRD BNK CHRG
GM
00590
02/11
AJ
08/31/10
JE
02-041
AUG110 BANK CHRGS
GM
00590
02/11
AJ
08/31/10
JE
02-041.
AUG110 DEBIT CRD BNK CHRG
GM
00782
03/11
AJ
09/30/10
JE
03-048
SEP110 BANK CHARGES
GM
00782
03/11
AJ
09/30/10
JE
03-048
SEP110 DEBIT CRD BNK CHRG
GM
01001-
05/11
AP
10/25/10
0089546
BANK OF NEW YORK MELLON
2521506428
ADMIN FEES,QE
GM
01047
04/11
AJ
10/31/10
JE
04-044-
OCT110 BANK CHRGS
GM
01047
04/11
AJ
10/31/10
JE
04-044
OCT110 DEBIT CRD BNK CHRG
GM
01252
05/11
AJ
11/30/10
JE
05-040
NOV110 BANK CHRGS
GM
01252
05/11
AJ
11/30/10
JE
05-040
NOV110 DEBIT CRD BNK CHRG
GM
01538
06111
AJ
12/31/10
JE
06-049
DEC110 BANK SVC CHRGS
GM
01538
06111
AJ
12/31/10
JE
06-049
DEC BANK CHRG/DEP SLIPS
GM
01538
06111
AJ
12/31/10
JE
06-049
DEC110 DEBIT CRD BNK CHRG
GM
01692
08/11
AP
01/01/11
0090590
BANK OF NEW YORK MELLON
2521523872
ADMN FEES Q/E 12/31
GM
01766
07/11
AJ
01/31/11
JE
07-047
JAN'll BANK CHARGES
GM
01766
07/11
AJ
01/31/11
JE
07-047
JAN'll DEBIT CRD BNK CHRG
GM
01983
08/11
AJ
02/28/11
JE
08-045
FEB111 BANK CHARGES
GM
01983
08/11
AJ
02/28/11
JE
08-045
FEB111 DEBIT CRD BNK dHRG
GM
02244
09/11
AJ
03/31/11
JE
09-067
MAR'll BANK CHARGES
GM
02244
09/11
AJ
03/31/11
JE
09-067
MAR'll DEBIT CRD BNK CHRG
GM
02435
11/11
AP
04/25/11
0091792
BANK OF NEW YORK MELLON
2521547502
ADMN FEES Q/E3/31
GM
02508
10/11
AJ
04/30/11
JE
10-039
APR'll BANK CHARGES
GM
02508
10/11
AJ
04/30/11
JE
10-039
APR'11 DEBIT CRD BNK CHRG
GM
0.2727
11/11
AJ
05/31/11
JE
11-038
MAY'll BANK CHARGES
GM
02727
11/11
AJ
05/51/11
JE
11-038
MAY'll BANK DEP SLIPS
975.00
975.00
580.00
975.00
1,201.38
4,706.38
2,007.91
150.39
1,841.84
110.38
1,829.58
126.00
2,393.34
11961.11
146.80
11836.91
172.98
1,890.48
54.19
179.19
2,564.34
2,038.86
122.90
2,056.83
181.07
1,990.27
190.44
5,036.49
2,206.34
239.69
2,003.99
57.53
00
.00
00
4,706.38
.00
PREPARED , 7/2014, 10:19:00 GENERAL LEDGER ..-.-'VITY LISTING P-- 992
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------- ----------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4001-415.31-13 Contract Services / Administration
GM 02727 11/11 AJ 05/31/11 JE 11-058. MAY'll DEBIT CRD BNK CHRG
GM 03015 12/11 AJ 06/30/11 JE 12-053 JUN111 BANK CHARGES
PM 03015 12/11 AJ 06/30/11 JE 12-053 JUN DEBIT CRD BNK CHRG
ACCOUNT TOTAL
101-4001-415.32-13
Professional Services
Auditors
Travel & Training
GM
00514
03/11
AP
08/31/10
0088847
LANCEs SOLL, &
LUNGHARD L
JUL110
12117
CSMFO LUNCHEON
YE AUDIT
00367
GM
00514
03/11
AP
08/31/10
0088847
LANCE, SOLL, &
LUNGHARD L
OCT CONF
LOCAL AGENCY INV FUND
12116
00522
YE AUDIT
AP
GM
00725
04/11
AP
09/30/10
0089226
LANCE, SOLL, &
LUNGHARD L
LAIF CONF OCT110
'GM
00751
12298
AP
FY 09/10 AUDIT
0089138
GM
01048
05/11
AP
10/29/10
0089602
LANCE, SOLL, &
LUNGHARD L
GM
00784
04/11
AP
12499
0089189
FY 9/10 AUDIT
GM
01362
06111
AP
10/29/10
0090204
LANCE, SOLL, &
LUNGHARD L
AP
10/21/10
0089503
MORTENSON, KURT T
12500
AUDIT FY09/10
GM
01386
06/11
AJ
12/31/10
AJE 06-026
FINANCING AUTH
ALLOCATION
GM
02558
11/11
AP
04/30/11
0092018
LANCE, SOLL, &
LUNGHARD L
1547
YEAR END PROCEDURES
ACCOUNT TOTAL
101-4001-415.32-14 Professional'Services / Consultant Services
ACCOUNT TOTAL
101-4001-415.44-01 Rental Services / Equipment rental
ACCOUNT TOTAL
101 - 4001-415.51-01
Services
& Supplies
Travel & Training
GM
00085
01/11
AP
07/12/.10
0088202
PALM SPRINGS, CITY OF
JUL110
CSMFO LUNCHEON
GM
00367
03/11
AP
08/23/10
0088894
STATE TREASURER'S OFFICE
OCT CONF
LOCAL AGENCY INV FUND
GM
00522
03/11
AP
09/08/10
0088760
FALCONER, JOHN
REIMB
LAIF CONF OCT110
'GM
00751
04/11
AP
10/07/10
0089138
LA QUINTA CHAMBER OF COMM
10710
MAYORS LUNCH
GM
00784
04/11
AP
10/07/10
0089189
DIEHL, EVANS & COMPANY, L
REGISTRATION
110 GOV TAX SEMINAR
GM
00931
04/11
AP
10/21/10
0089503
MORTENSON, KURT T
REIMB
LODGING-LAIF CONF
GM
00931
04/11
AP
10/21/10
0089493
FALCONER, JOHN
236.45
2,048.68
181.03
33,856.01
3,909.14
7,724.92
568.60
1,477.73
434.35
2,042.10
4,520.78
20,677.62
20.00
300.00
478.20
30.00
550.00
296.16
575.01
33,.856.01
.00
20,677.62
.00
.00
.00
.00
.00
00,
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------------------------------------------------------------------------------------------------------------------------------------
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00:61:01 'blOZIL
a3HVd3Hd
PREPARED
__7/2014, 10:19:00
GENERAL LEDGER ��,iVITY
LISTING
PAGE 994
PROGRAM
GM362LA
CITY OF
-----
LA QUINTA,
CALIFORNIA
- -----
FUND-101
- - - --
General
- --
Fund
-- - --- ------- - -------- ----
---- - ------- -- ------- ----- - -- ------
--- ---------------- -------- - ------
-------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
-----------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-4001-415.51-03
Services & Supplies
Mileage Reimbursement
GM
01335
06/11
AP
12/06/10 0090105
MANCILLA, SANDRA
89.00
REIMB
MILEAGE-GOV TAX
ACCOUNT TOTAL
89.00
89.00
.101-4001-415.53-01
Services & Supplies
Printing
.00
GM
00157
01/11
AP
07/13/10 0088323
MCDOWELL AWARDS
26.10
2010-2049
IAB NAME PLATES
GM
0,0286
02/11
AP
07/30/10 0088669
OFFICE DEPOT
60.97
526882947001
BCARDS-SPIRITOS
GM
00319
02/11
AP
07/30A0 0088605
ALTEC
240.86
58834
FORMS
GM
00319
02/11
AP
08/05/10 0088619
COACHELLA VALLEY PRINTING
535.33
70473
RECEIPT BOOKS
GM
00367
03/11
AP
08/12/10 0088782
ALTEC
365.15
59448
PURCHASE ORDERS
GM
00367
03/11
AP
08/12/10 0088782
ALTEC
184.54
59503
W-2/1099 MISC FORMS
GM
00514
03/11
AP
08/19/10 0088782
ALTEC
195.87
59943
EE TIME SHEETS
GM
00603
03/11
AP
09/09/10 0089053
MCDOWELL AWARDS
10.88
2010-2110
BADGE -ANDREA S
GM
01768
08/11
AP
01/26/11 0090811
ALTEC
215.40
68214
TIME SHEETS
GM
01768
08/11
AP
02/01/11 0090828
COACHELLA VALLEY PRINTING
172.83
71975
SHERIFF RECIEPT BK
GM
01768
08/11
AP
02/02/11 0090811
ALTEC
256.25
68665
PERSONNEL ACTION FORM
GM
01903
09/11
AP
02/11/11 0090970
ALTEC
242.04
69078
SUPPLIES -CHECKS
GM
02084
09/11
AP
03/04/11 0091171
COACHELLA VALLEY PRINTING
11039.53
72394
BUSINESS LIC PAPER
GM
02136
10/11
AP
03/21/11 0091389
COACHELLA VALLEY PRINTING
395.28
72419
RECEIPT BOOKS
GM
02081
09/11
AJ
03/31/11 AJE 09-040
RECLASS FINANCE INVOICES
184.54
GM
02728
12/11
AP
04/29/11 0092246
OFFICE DEPOT
60.97
562326233001
BCARDS-BLONDELL
GM
02997
12/11
AP
06/30/11 0092544
MCDOWELL AWARDS
11.96
2010-3342
NAME BADGES-DONAIS
ACCOUNT TOTAL
4,013.96 184.54
3,829.42
101-4001-415.53-03
Services & Supplies
Membership Dues
.00
GM
00725
04/11
AP
09/29/10 0089161
ASSOCIATION OF PUBLIC TRE
182.00
4621
MEMBERSHIP
GM
01046
05/11
AP
10/28/10 0089580
GOVERNMENT FINANCE OFFICE
225.00
300052617
MEMBERSHIP
PREPARED --7/2014, 10:19:00 GENERAL LEDGER m6ilVITY LISTING PAGE 995
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
----------------------------------------------------------------------- --------------------------------------------------------------
101-4001-415.53-03
Services & Supplies /
Membership Dues
GM
01048
05/11
AP
11/01/10 0089565
CSMFO
AP
07/10/10
0088622
DESERT
J FALCONER
MEMBERSHIP
GM
01092
05/11
AP
11/01/10 0089761
CSMFO
ADS
J FALCONER -
MEMBERSHIP
GM
01091
05/11
AP
11/12/10 0089565
CSMFO
SUN
PUBLISHING
CO
J FALCONER
MEMBERSHIP
GM
01366
06111
AP
12/01/10 0090232
SUNGARD PUBLIC SECTOR USE
GM
01793
08/11
2011LAQU
MEMBERSHIP
ACCOUNT TOTAL
101-4001-415.53-04 Services & Supplies / Subscriptions/Publication
GM 00350 02/11 AP 08/12/iO 0088638 HDL COREN & CONE
16152 -:IN ' CAFR REPORTS
GM 00736 04/11 AP 09/28/10 0089283 WALL STREET JOURNAL
12792047633 SUBSCRIPTION
ACCOUNT TOTAL
101-4001-415.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
1011-4001-415.55-01
Other Services /
Advertising
GM
OP157
01/11
GM
00353,
02/11
AP
07/10/10
0088622
DESERT
SUN
PUBLISHING
CO
00157
01/11
AP
07/15/10 0088350
3065
ADS
3139293401
GM
01092
05/11
AP
10/13/10
0089769
DESERT
SUN
PUBLISHING
CO
3139590775
RETURN CREDIT
GM
4341
02/11
ADS
07/23/10 0088510
STAPLES ADVANTAGE
GM
01793
08/11
AP
01/15/11
0090777
DESERT
SUN
PUBLISHING
CO
STAPLES ADVANTAGE
174
ADS
GM
03010
12/11
AP
06111111
0092610
DESERT
SUN
PUBLISHING
CO
2043
ADS
ACCOUNT TOTAL
101-4001-415.56-01
Services & Supplies /
Office Supplies
GM
OP157
01/11
AP
07/02/10 0088334
OFFICE DEPOT
524806344001
OFFICE SUPPLIES
GM
00157
01/11
AP
07/15/10 0088350
STAPLES ADVANTAGE
3139293401
OFFICE SUPPLIES
GM
00259
02/11
AP
07/23/10 0088510
STAPLES ADVANTAGE
3139590775
RETURN CREDIT
GM
00259
02/11
AP
07/23/10 0088510
STAPLES ADVANTAGE
3139590781
OFFICE SUPPLY
GM
00259
02/11
AP
07/23/10 0088510
STAPLES ADVANTAGE
110.00
110.00
195.00
822..00
890.00
395.28
1,285.28
288.88
254.02
800.16
184.30
1,527.36
26.43
82.02
78.99
12.44
110.00
110.00
57.04
712.00
.00
1,285.28
.00
.00
.00
1,527.36
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER At,11VITY
LISTING
PAGE 996
PROGRAM
GM362LA
CITY OF LA
--------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
----------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
XPP
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T 1 0 N
------------------- ----------------------------
DEBITS CREDITS
-----------------------------
BALANCE
101-4001-415.56-01
Services & Supplies
Office Supplies
3139590783
OFFICE SUPPLY
GM
00259
02/11
AP
07/24/10 0088510
STAPLES ADVANTAGE
11.65
3139756276
OFFICE SUPPLIES
GM
00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
49.61
3139807498
OFFICE SUPPLIES
GM
00286
02/11
AP
07/28/10 0088669
OFFICE DEPOT
14.25
527633370001
OFFICE SUPPLIES
GM
00286
02/11
AP
07/29/1*0 0088669
OFFICE DEPOT
3.61
527633370002
OFFICE SUPPLIES
Gm
00319
0�/il
AP
08/03/10 0088669
OFFICE DEPOT
35.54
528371996001
OFFICE SUPPLIES
GM
00286
02/11
AP
08/06/10 0088695
STAPLES ADVANTAGE
52.30
3140389519
OFFICE SUPPLIES
GM
00350
02/11
AP
08/11/10 0088695
STAPLES ADVANTAGE
111.72
3140604209
OFFICE SUPPLIES
GM
00437
03/11
AP
08126110 0088893
STAPLES ADVANTAGE
77.44
3141184469
OFFICE SUPPLIES
GM
00437
03/11
AP
08126110 0088893
STAPLES ADVANTAGE
34.96
3141184470
OFFICE SUPPLIES
GM
00624
03/11
AP
09/15/10 0089090
STAPLES ADVANTAGE
130.43
3142234556
OFFICE SUPPLIES
GM
00712
04/11
AP
09/21/10 0089266
STAPLES ADVANTAGE
92.77
3142520924 '
OFFICE SUPPLIES
GM
01062
05/11
AP
10/27/10 0089654
STAPLES ADVANTAGE
60.31
3144330379
OFFICE SUPPLIES
GM
01362
06111
AP
12/10/10 0090212
OFFICE DEPOT
6.02
544373160001
OFFICE SUPPLIES
GM
01362
06111
AP
12/10/10 0090229
STAPLES ADVANTAGE
71.08
3146565303
OFFICE SUPPLIES
GM
01457
07/11
AP
12/23/10 0090348
STAPLES ADVANTAGE
111.60
3147125146
OFFICE SUPPLIES
GM
01643
08/11
AP
01/26/11 0090714
STAPLES ADVANTAGE
31.45
3148784661
OFFICE SUPPLIES
GM
01703
08/11
AP
01126111 0090708
RIVERSIDE RUBBER STAMP &
40.93
11-63568
SUPPLIES -PAID STMP
GM
01768
08/11
AP
02/04/11 0090900
STAPLES ADVANTAGE
24.99
3149498229
OFFICE SUPPLIES
GM
01768
08/11
AP
02/04/11 0090900
STAPLES ADVANTAGE
5.96
3149498230
OFFICE SUPPLIES
GM
01903
09/11
AP
02/18/11 0091040
RIVERSIDE RUBBER STAMP &
9.47
11-63894
SUPPLIES -INK
GM
01903
09/11
AP
02/23/11 0091032
PATRICK & COMPANY
169.65
827090
DOG TAGS
GM
02045
09/11
AP
03/02/11 0091253
STAPLES ADVANTAGE
30.94
3150959222
OFFICE SUPPLIES
GM
02045
09/11
AP
03/04/11 0091226
OFFICE DEPOT
21.63
554557980001
OFFICE SUPPLIES
GM
02154
10/11
AP
03/22/11 0091502
STAPLES ADVANTAGE
78.62
3151810257
OFFICE SUPPLIES
PREPARED,
-..-7/2014, 10:19:00
GENERAL LEDGER m�,IVITY
LISTING
PAt7c 997
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
---------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
---------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
ANDING
APP NUMBER
------------------------------
PER.
CD
DATE NUMBER D
I -----------
E S C R I P T 1 0 N
---- I ----------- : ------------------------------------------------------------------------
DEBITS
CREDITS
BALANCE
101-4001-415.56-01
Services & Supplies
Office Supplies
GM 02081
09/11
AJ
03/31/11 AJE 09-040
RECLASS FINANCE INVOICES
169.65
GM 02302
10/11
AP
04/06/11 0091695
STAPLES ADVANTAGE
292.31
3152808781
OFFICE SUPPLIES
GM 02302
10/11
AP
04/07/11 0091668
OFFICE DEPOT
126.90
55830593001
OFFICE SUPPLIES
GM 02346
10/11
AP
04/16/11 0091695
STAPLES ADVANTAGE
43.05
3155342580
OFFICE SUPPLIES
GM 02616
11/11
AP
05/03/11 0092055
STAPLES ADVANTAGE
80.99
3154224941
OFFICE SUPPLIES
GM 02561
11/11
AP
05/10/11 0092055
STAPLES ADVANTAGE
102.30
3154501517
OFFICE SUPPLIES
GM 02728
12/11
AP
05/27/11 0092279
STAPLES ADVANTAGE.
187.01
3155161375
OFFICE SUPPLIES
GM 02728
12/11
AP
05/27/11 0092246
OFFICE DEPOT
38.05
566110426001
OFFICE SUPPLIES
GM 02735
12/11
AP
05/31/11 0092246
OFFICE DEPOT
188.09
566252048001
OFFICE SUPPLIES
GM 02863
12/11
AP
06/09/11 0092410
STAPLES ADVANTAGE
21.66
3155945555
OFFICE SUPPLIES
GM 02871
12/11
AP
06/15/11 0092410
STAPLES ADVANTAGE
173.98
3156191039
RETURN CREDIT
GM 03027
12/11
AP
06120111 0092738
SMART & FINAL
18.57
3583410137017
SUPPLIES
GM 02870
12/11
AP
06/21/11 0092426
CASH/PETTY CASH
21.20
06212011
PETTY CASH
GM 02955
12/11
AP
06/24/11 0092553
OFFICE DEPOT
53.22
569310890001
OFFICE SUPPLIES
GM 02987
12/11
AP
07/01/11 0092571
STAPLES ADVANTAGE
90.02
3156840156
OFFICE SUPPLIES
ACCOUNT TOTAL
2,740.18
400.67
2,339.51
101-4001-415.56-02
Services & Supplies
Operating Supplies
.00
GM 02081
09/11
AJ
03/31/11 AJE 09-040
RECLASS FINANCE INVOICES
354.19
ACCOUNT TOTAL
354.19
354.19
101-4001-415.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101.-4001-415.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
.00
.00
.00
.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER �u,IVITY LISTING PAGE 998
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------------------------------------------------- 7 --------------------------------- 7 ----------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
---------------------------------------------- m ---------------------------------------------- : ------------------------------------------
101-4001-415.71-03 Capital Purchases / Vehicles
101-4001-415.91-11
GM 00194 01/11 AJ
GM 00414 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06111 AJ
GM 01475 06111 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02243 09/11 AJ
GM 02521 10/11 AJ
GM 02589 11/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 02911 12/11 AJ
GM 03057 12/11 AJ
101-4001-415.91-12
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM ob786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06111 AJ
GM 01475 06111 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02243 09/11 AJ
GM 02521 10/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 03057 12/11 AJ
ACCOUNT TOTAL
Reimbursed -Gen Fund
07/50/10 JE 01-029
07/31/10 JE 01-051
08/31/10 JE 02-034
09/30/10 JE 03-035
09/30/10 AJE 03-050
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002.
12/31/10 AJE 06-042
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
03/31/11 AJE 09-066
04/30/11 JE 10-044
05/31/11,AJE 11-013
05/31/11 JE 11-044
06/30/11 JE 12-002
06/30/11 AJE 12-017
06/30/11 AJE 12-080
ACCOUNT TOTAL
Exp / Personnel
MONTHLY GF REIMB
CORR JUL110 GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MAR'll CIP ADMIN ACTIVITY
MONTHLY GF REIMB
REDUCE ADMIN (1771)
MONTHLY GF REIMB
MONTHLY GF REIMB
REVERSE REIMBURSEMENT
JUN'll CIP ADMIN ENTRIES
Reimbursed Gen Fund Exp
07/30/10 JE 01-029
08/31/10 JE 02-034
09/30/10 JE 03-035
09/30/10 AJE 03-050
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
12/31/10 AJE 06-042
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
03/31/11 AJE 09-066
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
06130111 AJE 12-080
/ Supplies/Service
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MAR'll CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
JUN'll CIP ADMIN ENTRIES
86.71
2.00
88.71
14,801.00
2,453.00,
17,254.00
17,254.00
3,060.76
17,254.00
17,254.00
17,254.00
2,781.48
17,254.00
17,254.00
17,254.00
1,884.74
17,254.00
17,254.00
17,254.00
2,663.22
217,438.20
250.00
250.00
250.00
61.95
250.00
250.00
250.00
19.52
250.00
250.00
250.00
5.91
250.00
250.00
250.00
12.29
.00
.00
.00
217,549.49CR
.00
ACCOUNT TOTAL 3,099.67 3,099.67CR
PREPARED L7/2014, 10:19:00 GENERAL LEDGER j%iiIVITY LISTING PAGE 999
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101-G eneral Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N -DEBITS CREDITS BALANCE
101-4001-415.92-11 Other Charges / Fleet Maint Program Chgs .00
ACCOUNT TOTAL .00
101-4002-4iS.10-01 Salaries & Wages / Permanent Full Time
ACCOUNT TOTAL
101-4002-415.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-4002-415.10-05 Salaries & Wages /.Temporary Agency Services
ACCOUNT TOTAL
101%-4002-415.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-4002-415.20-01 Employee Benefits / PERS-City Portion
ACCOUNT TOTAL
101-4002-415.20-02 Employee Benefits / PERS-Employee Portion
ACCOUNT TOTAL
1011-4002-415.20-03 Employee Benefits / PERS-Survivor Benefits
ACCOUNT TOTAL
101-4002-415.21-01 Insurance Benefits / Medical Insurance
ACCOUNT TOTAL
101-4002-415.21-02 Insurance Benefits'/ Vision Insurance
ACCOUNT TOTAL
.00
.00
-.00
.00
.00
.00
.00
.00
.00
.00.
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED L7/2014, 10:19:00 GENERAL'LEDGER mu,IVITY LISTING PAGE1000
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------- ; ---------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING.
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
101-4002-415.21-03 Insurance Benefits / Dental Insurance .00
ACCOUNT TOTAL .00
101-4002-415.21-05 Insurance Benefits / Life Insurance
ACCOUNT TOTAL
101-4002-415.21-06 Insurance Benefits / Flexible Compensation
ACCOUNT TOTAL
101-4002-415.21-07,Insurance Benefits / Long Term Disability
ACCOUNT TOTAL
101-4002-415.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-4002-415.25-01 Workers Comp Insurance / Workers Comp'Insurance
ACCOUNT TOTAL
101-4002-415.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-4002-415.27-03 Other Benefits & Deduc. / Medicare
ACCOUNT TOTAL
101-4002-415.30-01 Contract Services / Consultants
ACCOUNT TOTAL
101-4002-415.30-02 Contract Services / Professional
ACCOUNT TOTAL
.00
.00
.00'
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED —.17/2014, 10:19:00 GENERAL LEDGER mLeIVITY LISTING PAGE1001
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---- e -------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
. GROUP ACCTG r --- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------ m -------- --------------------------------------------
101-4002-415.30-03 Contract Services / Technical
ACCOUNT TOTAL
101-4002-415.41-22
Utilities / Telephone
GM
00017
01/11
AP -06/23/10
0087999
TELEPACIFIC COMMUNICATION
21135341-0
PHONE SVC
GM
00017
01/11
AP
06/23/10 0087999
TELEPACIFIC COMMUNICATION
21135341-0
PHONE SVC
GM
00017
01/11
AP
06/23/10 0087999
TELEPACIFIC COMMUNICATION
21135341-0
78106 FRANCIS HACK
GM
00017
01/11
AP
06/23/10 0087999
TELEPACIFIC COMMUNICATION
21135341-0
PHONE SVC
GM
00017
01/11
AP
06/23/10 0087999
TELEPACIFIC COMMUNICATION
21135341-0
PHONE SVC
GM
00017
01/11
AP
06125110 0088001
VERIZON COMMUNICATIONS
1160767123
INTERNET 6/25-7/24
GM
00085
01/11
AP
06/25/10 0088213
VERIZON CALIFORNIA
771-2109
WASH/EISEN 6/25-7/24
GM
00105
01/11
AP
07/01/10 0088245
VERIZON CALIFORNIA
771-0231
JUL-WASH/EISEN
GM
00105
01/11
AP
07/04/10 0088245
VERIZON CALIFORNIA
.
777-1222
DSL SVC 7/4-8/3
GM
00105
01/11
AP
07/10/10 0088246
VERIZON COMMUNICATIONS
1100796348
INTERNET 7/10-8/9
CR
00134
01/11
CR
07/19/10 0000661
JOHN FALCONER -P CALLS
MMENDOZA 07/19/10 01
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0
PHONE SVC
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0
PHONE SVC
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0 .
78106 FRANCIS HACK
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0
PHONE SVC
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0
PHONE SVC
GM
00299
02/11
AP
07/25/10 0088548
VERIZON COMMUNICATIONS
1160767123
INTERNET 7/25-8/24
GM
00299
02/11
AP
08/01/10 0088547
VERIZON CALIFORNIA
771-0231
AUG-WASH/EISEN
GM
00346
02/11
AP
08/04/10 0088589
VERIZON CALIFORNIA
777-1222
DSL SVC 8/4-9/3
CR
00294
02/11
CR
08/10/10 0001431
PHONE CALLS CHARGES -J FAL
MMENDOZA 08/10/10 01
GM
00391
02/11
AP
08/10/10 0088726
VERIZON COMMUNICATIONS
1100796348
INTERNET 8/10-9/
GM
00439
03/11
AP
08/23/10 0088749.
TELEPACIFIC COMMUNICATION
224408410
PHONE SVC
411.95
157.53
43.91
2,151.62
263.46
79.99
.38.45
38.14
127.57
79.95
410.74
755.95
43.87
2,148.36
263.22
79.99
38.80
127.59
79.95
410.79
5.00
5.00
.00
.00
00
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER ...-.-'VITY
-LISTING
P___002
PROGRAM.
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
--------------------------------------------------------------------------------------
FUND 101
General
Fund
; -----------------------------------------------
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER PER.
----------------------------
CD
DATE NUMBER D
; ---------------------------------------------------------------------------------------------------------
E -S C R I P T 1 0 N
DEBITS
CREDITS BALANCE
101-4002-415.41.-22
Utilities / Telephone
GM
00439
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
755.57
224408410
PHONE SVC
GM
00439
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
43.87
224408410
78106 FRANCIS HACK
GM
00439
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
2,148.36
224408410
PHONE SVC
GM
00459
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
265.72
224408410 -
PHONE SVC
GM
00522
03/11
AP
08/25/10 0088775
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 8/25-9/24
GM
00605
03/11
AP
09/01/10 0088950
VERiZON CALIFORNIA
58.80
771-0231
WASH/EISENHOWER
GM
00555
03/11
AP
09/03/10 0084908
US -YELLOW
297.00
1760360102
PHONE DIRECTORY
GM
00605
03/11
AP
09/04/10 0088950
VERIZON CALIFORNIA
127.59
777-1222
DSL SVC 9/4-10/3
GM
00627
03/11
AP
09/10/10 0088974
VERIZON COMMUNICATIONS
79.95
1100796348
INTERNET 9/10-10/9
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
461.86
231992490
PHONE SVC
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
757.97
231992490
PHONE SVC
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
45.12
231992490
78106 FRANCIS HACK
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
2,148.36
231992490
PHONE SVC
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
263.39
231992490
SR CENTER
GM
00751
04/11
AP
09/25/10 0089146
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 9/25-10/24
GM
00876
04/11
AP
10/01/10 0089366
VERIZON CALIFORNIA
38.62
771-0231
WASH/EISEN MEDIAN
GM
00876
04/11
AP
10/04/10 0089366
VERIZON CALIFORNIA
127.41
777-1222
DSL SVC 10/4-11/3
GM
00876
04/11
AP
10/10/10 0089367
VERIZON COMMUNICATIONS
79.95
1100796348
INTERNET 10/10-11/9
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
410.21
237748610
PHONE SVC
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
755.08
237748610
PHONE SVC
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
78106 FRANCIS HACK
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
2,146.54
237748610
PHONE SVC
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
263.04
237748610
PHONE SVC
GM
01081,
05/11
AP
10/25/10 0089694
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 10/25-11/24
GM
01097
05/11
AP
11/01/10 0089736
VERIZON CALIFORNIA
38.29
PREPARED
-.--7/2014, 10:19:00
GENERAL LEDGER m�,IVITY
LISTING
PAWtiO03
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING -
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER. D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-4002-415.41-22
Utilities / Telephone
771-0231
NOV-WASH/EISEN
GM
01097,
05/11
AP
11/04/10 0089736
VERIZON CALIFORNIA
127.42
777-1222
DSL SVC 11/4-12/3
GM
01097
05/11
AP
11/10/10 0089737
VERIZON COMMUNICATIONS
79.95
1100796348
INTERNET 11/10-12/9
GM
01265
06/li
AP
11/17/10 0090070
U.S. TELEPHONE DIRECTORY
242.00
UT46991
PH BOOK LISTING
GM
01253
06111
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
410.22
244332660
PHONE SVC
PM
01253
06/11
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
755.35
244332660
PHONE SVC
GM
01253
06111
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
78106 FRANCIS HACK
GM
01253
06111
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
2,146.54
244332660
PHONE SVC
GM
01253
06111
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
263.04
244332660
PHONE SVC
GM
01253
06111
AP
11/25/10 0089921
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 11/25-12/24
GM
01335
06111
AP
12/01/10 0090130
VERIZON CALIFORNIA
38.26
771-0231
DEC-WASH/EISEN
GM�01335
06111
AP
12/04/10 0090130
VERIZON CALIFORNIA
127.29
777-1222
DSL SVC 12/4-1/3
GM
01420
07/11
AP
12/10/10 0090273
VERIZON COMMUNICATIONS
79.95
1100796348
INTERNET 12/11-1/9
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
409.88
25116064-0
PHONE SVC
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
757.55
25116064-0
PHONE SVC
GM
01420
07/11
AP
12/23/10 10090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
78106 FRANCIS HACK
GM
01420.
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
2,144.28
25116064-0
PHONE SVC
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
262.74
25116064-0
SENIOR CENTER
GM
01547
07/11
AP
12/25/10 0090409
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 12/24-1/24
GM
01568
07/11
AP
01/01/11 0090440
VERIZON CALIFORNIA
39.69
771-0231
WASH/EISEN MEDIAN
GM
01568
07/11
AP
01/04/11 0090440
VERIZON CALIFORNIA
127.11
777-1222
DSL SVC 1/4-2/5
GM
0 * 1629
07/11
AP
01/10/11 0090582
VERIZON COMMUNICATIONS
79.95
1100796348
INTERNET 1/10-2/9
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
411.79
258077380
PHONE SVC
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
757.17
258077380
PHONE SVC
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
43.87
258077380
78106 FRANCIS HACK
PREPARED
--7/2014,
10:19:00
GENERAL LEDGER --.1VITY
LISTING
FmacL004
PROGRAM
GM362LA
CITY
------------------------------------------------------------------------------------------------------------------------------------
OF LA
QUINTA, CALIFORNIA
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-4002-415.41-22
Utilities / Telephone
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
2,149.92
258077380
PHONE SVC
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
264.47
258077380
PHONE SVC
GM
01692
08/11
AP
01/25/11 0090614
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 1/25-2/24
GM
01793
08/11
AP
02/01/11 0090806
VERIZON CALIFORNIA
39.25
771-0231
WASH/EISEN MEDIAN
GM
01793
08/11
AP
02/04/11 0090806
VERIZON CALIFORNIA
126.57
777-1222
DSL 2/4-3/3
GM
01909
09/11
AP
02/10/11 0090964
VERIZON COMMUNICATIONS
91.99
1100796348
INTERNET 2/10-3/9
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
411.79
265055680
PHONE SVC
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
757.50
265055680
PHONE SVC
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
78106 FRANCIS HK
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
2,149.92
265055680
PHONE SVC
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
265.72
265055680
SENIOR CENTER
GM
02003
09/11
AP
02/25/11 0091094
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 2/25-3/24
GM
02022
09/11
AP
03/01/11 0091146
VERIZON CALIFORNIA
39.25
771-0231
MAR WASH/EISEN
GM
02127
09/11
AP
03/04/11 0091295
VERIZON CALIFORNIA
126.57
777-1222
DSL SVC 3/4-4/3
GM
02127
09/11
AP
03/10/11 0091296
VERIZON COMMUNICATIONS
76.39
1100 796348
INTERNET 3/1-4/9
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
414.45
27291797-0
PHONE SVC
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
759.82
27291797-0
PHONE SVC
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
44.64
27291797-0
78106 FRANCIS HACK
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
2,176.87
27291797-0
PHONE SVC
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
267.84
27291797-0
SENIOR CENTER
GM
02225
10/11
AP
03/25/11 0091358
VERIZON COMMUNICATIONS
79.99
1160767123
INTERNET 3/25-4/24
GM
02306
10/11
AP
04/01/11 0091589
VERIZON CALIFORNIA
39.16
771-0231
WASH/EISEN MEDIAN
GM
O�288
10/11
AP
04/04/11 0091558
VERIZON CALIFORNIA
138.89
777-1222
DSL SVC 4/4-5/3
GM
02306
10/11
AP
04/10/11 0091590
VERIZON COMMUNICATIONS
79.99
1100796348
INTERNET 4/10-5/9
GM
02538
11/11
AP
04/23/11 0091917
TELEPACIFIC COMMUNICATION
382.38
PREPARED -7/2014, 10:19:00 GENERAL LEDGER _IVITY LISTING FAwcL005
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------- -------------------------------------------------------------- ----------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER . D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.41-22 Utilities / Telephone
280004610
GM 02538 11/11 AP 04/23/11 0091917
280004610
GM 02538 11/11 AP 04/23/11 0091917
280004610
GM 02538 11/11 AP 04/23/11 0091917
280004610
GM 02538 11/11 AP 04/23/11 0091917
280004610
GM 02538, 11/11 AP 04/25/11 0091921
1160767123
GM 02538 11/11 AP 05/01/11 0091920
771-0231
OM 02588 11/11 AP 05/04/11 0091956
777-1222
GM 02645 11/11 AP 05/10/11 0092112
1100796348
GM 02740 12/11 AP 05/25/11 0092161
1160767123
GM 02808 12/11 AP 06101111 0092341
7607770231
GM 02808 12/11 AP 06/04/11 0092341
777-1222
GM 02870 12/11 AP 06110111 0092447
1100796348
GM 02948 12/11 AP 06/23/11 0092487
29336686-0
ACCOUNT TOTAL
ADJ CREDIT
TELEPACIFIC COMMUNICATION
PHONE SVC
TELEPACIFIC COMMUNICATION
PHONE SVC
TELEPACIFIC COMMUNICATION
PHONE SVC
TELEPACIFIC COMMUNICATION
SENIOR CENTER
VERIZON COMMUNICATIONS
INTERNET 4/25-5/24
VERIZON CALIFORNIA
WASH/EISEN MEDIAN
VERIZON CALIFORNIA
DSL SVC 5/4-6/3
VERIZON COMMUNICATIONS
INTERNET 5/10-6/9
VERIZON COMMUNICATIONS
INTERNET 5/25-6/24
VERIZON CALIFORNIA
WASHINGTON
VERIZON CALIFORNIA
DSL SVC 6/4-7/3
VERIZON COMMUNICATIONS
INTERNET
TELEPACIFIC COMMUNICATION
PHONE
101* -4002-415.41-25
Utilities / Telephone -Mobile
GM
00085
01/11
AP
07/03/10 0088215
WIRELESS WATCHDOGS
86942
MOBILE PH 6/23-7/22
GM
00189
01/11
AP
07/13/10 0088393
VERIZON WIRELESS
887874555
MOBILE PH 6/14-7/13
GM
00229
02/11
AP
07/14/10 0088432
LIGHTSQUARED LP
1000085795
SATELLITE PH 7/14-8/13
GM
00189
01/11
AP
07/23/10 008839.8
WIRELESS WATCHDOGS
87511
MOBILE MAINT
GM
00189
01/11
AP
07/26/10 0088379
NEXTEL COMMUNICATIONS
916525027096
MOBILE PH 6/23-7/22
GM
00229
02/11
AP
08/01/10 0088440
USA MOBILITY WIRELESS, IN
T3393252H
PAGERS
GM
00367
03/11
AP
08/01/10 0088878
RIVERSIDE COUNTY INFORMAT
99900070001007
MRK MAINT
GM
ob346
02/11
AP
08/03/10 0088590
VERIZON WIRELESS
893624559
PC CARD 7/4-8/3
GM
00522
03/11
AP
08/03/10 0088777
WIRELESS WATCHDOGS
471.48
757.95
1,773.93
267.72
79.99
39.12
133.19
79.99
79.99
39.12
133.19
79.99
6,161.14
50,281.64 392.38
260.00
1,630.21
147.12
152.00
1,796.00
69.97
24.40
45.01
256.00
49,889.26
.00
PREPARED 7/2014, 10:19:00 GENERAL LEDGER ._.1VITY LISTING PmwcL006
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.41-25
Utilities / Telephone -Mobile
.
88619
PHONE SUPPLIES
GM
00299
02/11
AP
08/04/10 0088550
WIRELESS WATCHDOGS
39.13
87805
PHONE SUPPLIES
GM
00299
02/11
AP
08/05/10 0088550
WIRELESS WATCHDOGS
260.00
87834
MOBILE PH 7/23-8/22
GM
00346,
02/11
AP
08/09/10 0088591
WIRELESS WATCHDOGS
23.89
87928
PHONE SUPPLIES
GM
00391
02/11
AP
08/13/10 0088727
VERIZON WIRELESS
1,866.90
896833316
MOBILE PH
GM
00367
03/11
AP
08/19/10 0088916
WIRELESS WATCHDOGS
115.20
88141
PHONE SUPPLIES
GM
00439
03/11
AP
08126110 0088745
NEXTEL COMMUNICATIONS
2,973.87
916525027097
MOBILE PH 7/23-8/22
GM
00439
03/11
AP
08126110 0088752
WIRELESS WATCHDOGS
152.00
88337
MOBILE MAINT 8/14-9/13
OM
00439
03/11
AP
08/31/10 0088743
LIGHTSQUARED LP
146.84
1000085795
SATELLITE PH 8/14-9/13
GM
00522
03/11
AP
09/01/10 0088773
USA MOBILITY WIRELESS, IN
69.97
-
T3393252I
PAGERS
GM
00736
04/11
AP
09/01/10 0089255
RIVERSIDE COUNTY INFORMAT
24.40
99900070001008
MRK MAINT
GM
00605
03/11
AP
09/03/10 0088951
VERIZON WIRELESS
'45.01
902571431
PC CARDS
CR
00597
03/11
CR
09/13/10 0002788
LES JOHNSON -CELL PHONE
25.00
MMENDOZA 09/13/10 01
CR
00597
03/11
CR
09/15/10 0002885
JOHN FALCONER -CELL PHONE
5.00
MMENDOZA 09/13/10 01
GM
00713
03/11
AP
09/13/10 0089121
VERIZON WIRELESS
1,612.94
905765138
MOBILE PH 8/14-9/13
GM
00713
03/11
AP
09/14/10 0089112
LIGHTSQUARED LP
146.84
1000085795
SATELLITE PH 9/14 10/13
GM
00713
03/11
AP
09126/10 0089114
NEXTEL COMMUNICATIONS
1,643.21
916525027098
MOBILE PH 8/23-9/22
GM
OD751
04/11
AP
09/27/10 0089149
WIRELESS WATCHDOGS
156.00
89095
MOBILE MAINT
GM
00751
04/11
AP
09/29/10 0089149
WIRELESS WATCHDOGS
256.00
89216
MOBILE PH 9/23-10/22
GM
00837
04/11
AP
10/01/10 0089328
USA MOBILITY WIRELESS, IN
76.76
T3393252J
PAGERS
GM
01001
05/11
AP
10/01/10 0089639
RIVERSIDE COUNTY INFORMAT
24.40
99900070001009
MRK MAINT
GM
00876
04/11
AP
10/03/10 0089368
VERIZON WIRELESS
45.01
911466365
PC CARD 9/4-10/3
CR
00789
04/11
CR
10/04/10 0003951
J. FALCONER - CELL PHONE
5.00
KBLONDELL 10/04/10 01
GM
00914
04/11
AP*10/12/10
0089483
WIRELESS WATCHDOGS
58.68
89516
PHONE SUPPLIES
GM
OP931
04/11
AP
10/13/10 0089514
VERIZON WIRELESS
1,385.94
914672625
MOBILE PH 9/14-10/13
PREPARED
__7/2014, 10:19:00
GENERAL LEDGER __._rVITY
LISTING
Pmwci007
PROGRAM
GM362LA
CITY OF
-----------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------
PER.
CD
DATE NUMBER D
; ------------------------------------------------------------------------------------------------
E S C R I P T 1 0 N
DEBITS
CREDITS BALANCE
101-4002-415.41-25
Utilities / Telephone -Mobile
GM
01033
05/11
AP
10/14/10 0089525
LIGHTSQUARED LP
146.48
1000085795
SATELLITE PH 10/14-11/13
GM
01033
05/11
AP
10/22/10 0089540
WIRELESS WATCHDOGS
156.00
89855
MOBILE MAINT 10/14-11/13
GM
00931
04/11
AP
10/26/10 0089505
NEXTEL COMMUNICATIONS
1,803.42
916525027099
MOBILE PH 9/23-10/22
CR
00971
04/11
CR
10/27/10 0005155
CELL PHONE CALLS -J FALCON
10.00
MMENDOZA 10/27/10 01
GM
01097
05/11
AP
11/01/10 0089735
USA MOBILITY WIRELESS, IN
76.76
T3393252K
PAGERS
GM
01246
06111
AP
11/01/10 0090041
RIVERSIDE COUNTY INFORMAT
24.40
99900070001010
MRK MAINT
GM
01097
05/11
AP
11/03/10 0089738
VERIZON WIRELESS
45.01
920386988
PC CARD 10/4-11/3
GM
01097
05/11
AP
11/08/10 0089742
WIRELESS WATCHDOGS
256.00
90205
MOBILE PH 10/23-11/22
GM
01210
06111
AP
11/13/10 0089893
VERIZON WIRELESS
1,597.74
923590145
MOBILE PH 10/14-11/13
GM
01335
06/11
AP
11/14/10 0090104
LIGHTSQUARED LP
146.48
1000085795
SATELLITE PH 11/14-12/13
GM
01265
06111
AP
11/24/10 0090078
WIRELESS WATCHDOGS
44.76
90622
SUPPLIES
GM
01210
06111
AP
11/26/iO 008'9879
NEXTEL COMMUNICATIONS
1,741.24
916525027-100
MOBILE PH 10/23-11/22
GM
01264
06111
AP
11/29/10 0090078
WIRELESS WATCHDOGS
32.59
90675
SUPPLIES
GM
01037
05/11
AJ
11/30/10 AJE 05-009
RECLASS TO EMERGENCY SVCS
587.28
GM
01253
06111
AP
12/01/10 0089920
USA MOBILITY WIRELESS, IN
76.76
T3393252L
PAGERS
GM
01255
06111
AP
12/01/10 0089923
WIRELESS WATCHDOGS
156.00
90730
MOBILE 11/14-12/13
GM
01366
06111
AP
12/01/10 0090219
RIVERSIDE COUNTY INFORMAT
24.40
99900070001011
MRK MAINT
GM
01335
06111
AP
12/0t/10 0090151
VERIZON WIRELESS
45.01
929295455
PC CARD 11/4-12/3
CR
01293
06/11
CR
12/07/10 0007545
JOHN FALCONER
10.00
CASHVO 12/07/10 01
GM
01335
06/11
AP
12/10/10 0090133
WIRELESS WATCHDOGS
248.00
90999
MOBILE PH 11/23-12/22
GM
01420
07/11
AP
12/13/10 0090274
VERIZON WIRELESS
1,486.07
932490257
MOBILE PH 11/14-12/13
GM
01420
07/11
AP
12/14/10 0090262
LIGHT SOURCE
146.48
1000085795
SATELLITE PH 12/14-1/13
GM
01568
07/11
AP
12/14/10 0090428
LIGHTSQUARED LP
146.48
1000085795
SATELLITE PH 12/14-1/13
GM
01478
07/11
AP
12/17/10 0090363
WIRELESS WATCHDOGS
32.59
91217
SUPPLIES
GM
01420
07/11
AP
12/26/10 0090266
NEXTEL COMMUNICATIONS
2,624.85
916525027101
MOBILE PH 11/23-12/22
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER __..rVITY
LISTING
PAWCLOOB
PROGRAM
GM362LA
CITY.OF LA
--------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
----------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-4002-415.41-25
Utilities / Telephone -Mobile
CR
01451
06/11
CR
12/28/10 0008340
JOHN FALCONER PERS PHONE
.10.00
KBLONDELL 12/28/10 01
GM
01547
07/11
AP
12/29/10 0090413
WIRELESS WATCHDOGS
156.00
91449
MOBILE 12/14-1/13
GM
01237
06/11
AJ
12/31/10 AJE 06-001
RECL TELEPHONE EQUIPMENT
259.75
G'M
01547
07/11
AP
01/01/11 0090405
USA MOBILITY WIRELESS, IN
77.00
U3393252A
PAGERS
GM
04632
08/11
AP
01/01/11 0090706
RIVERSIDE COUNTY INFORMAT
24.40
99900070001012
MRK MAINT
GM
01547
07/11
AP
01/03/11 0090413
WIRELESS WATCHDOGS
248.00
91527
MOBILE PH 12/23-1/22
GM
01629
07/11
AP
01/03/11 0090583
VERIZON WIRELESS
45.01
9381818948
PC CARD 12/4-1/3
GM
01645
08/11
AP
01/10/11 0090731
WIRELESS WATCHDOGS
90.00
91752
SUPPLIES
GM
01549
07/11
AP
01/13/11 0090262
LIGHT SOURCE
146.48
1000085795
SATELLITE PH 12/14-1/15
GM
01629
07/11
AP
01/13/11 0090583
VERIZON WIRELESS
1,425.31
941375054
MOBILE PH 12/14-1/13
GM
01704
08/11
AP
01/25/11 0090731
WIRELESS WATCHDOGS
32.59
92108
SUPPLIES
GM
01692
08/11
AP
01/26/11 0090607
NEXTEL COMMUNICAfIONS
1,748.54
916525027102
MOBILE PH 12/23-1/22
GM
01480
07/11
AJ
01/31/11 AJE 07-003
RECLASS SATELLITE PHONE
146.48
GM
01573
07/11
AJ
01/31/11 AJE 07-009
RECLASS SATELLITE PHONE
146.48
GM
01692
08/11
AP
01/31/11 0090616
WIRELESS WATCHDOGS
156.00
92224
MOBILE MAINT 1/14-2/13
GM
01757
08/11
AP
01/31/11 0090763
WIRELESS WATCHDOGS
248.00
92286
MOBILE PH 1/23-2/22
GM
01757
08/11
AP
02/01/11 0090759
USA MOBILITY WIRELESS, IN
77.00
U3393252B
PAGERS
GM
01903
09/11
AP
02/01/11 0091039
RIVERSIDE COUNTY INFORMAT
24.40
99900070001101
MRK MAINT
GM
01841
08/11
AP
02/02/11 0090937
VERIZON WIRELESS
45.01
947050181
PC CARD 1/4-2/3
CR
01729
08/11
CR
02/03/11 0010717
CELL PHONE -LES JOHNSON
50.00
MMENDOZA- 02/03/11 01
GM
01841
08/11
AP
02/13/11 0090937
VERIZON WIRELESS
1,437.47
950237945
MOBILE PH 1/14-2/13
CR
01812
08/11
CR
02/14/11 0011654
PRSL PHONE CALLS -J FALCON
10.00
MMENDOZA 02/14/11 01
GM
0190�9
09/11
AP
02/21/11 0090967
WIRELESS WATCHDOGS
156.00
92829
MOBILE MAINT 2/14-3/13
GM
01909
09/11
AP
02/26/11 0090952
NEXTEL COMMUNICATIONS
1,731.32
916525027103
MOBILE PH 1/23-2/22
GM
02127
09/11
AP
03/01/11 0091294
USA MOBILITY WIRELESS, IN
77.00
U3393252C
PAGERS
GM
02154
10/11
AP
03/01/11 0091488
RIVERSIDE COUNTY INFORMAT
24.40
99900070001102
MRK MAINT
PREPARED
__7/2014,
10:1'9:00
GENERAL LEDGER __..;VITY
'LISTING
F#%wmL009
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND.101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
-----------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE- NUMBER
D E S C R I P T.I 0 N
DEBITS CREDITS
BALANCE
101-4002-415.41-25
Utilities / Telephone -Mobile
GM
02003
09/11
AP
03/02/11 0091095
WIRELESS WATCHDOGS
248.00
93059
MOBILE PH 2/23-3/22
GM
02022
09/11
AP
03/03/11 0091147
VERIZON WIRELESS
45.03
955920152
PC CARD 2/4-3/3
GM
02084
09/11
AP
03/03/11 0091271
WIRELESS WATCHDOGS
32.59
93095
SUPPLIES
GM
02177
10/11
AP
03/13/11 0091330
VERIZON WIRELESS
1,419.13
959132438
MOBILE PH 2/14-3/13
GM
02177
10/11
AP
03126111 0091317
NEXTEL COMMUNICATIONS
1,721.40
916525027104
MOBILE PH 2/23-3/22
CR
02201
09/11
CR
03/30/11 0016002
JOHN FALCONER - PHONE REI
10.00
KBLONDELL 03/30/11 01
GM
02288
10/11
AP
04/01/11 0091557
USA MOBILITY WIRELESS, IN
77.05
U3393252-6
PAGERS
GM
02346
10/11
AP
04/01/11 0091685
RIVERSIDE COUNTY INFORMAT
24.40
99900070001103
MAR -MRK MAINT
GM
02288
10/11
AP
04/03/11 0091559
VERIZON WIRELESS
45.01
964838797
PC CARD
GM
024'03
10/11
AP
04/04/11 0091742
WIRELESS WATCHDOGS
156.00
93821
MOBILE MAINT 3/14-4/13
GM
02403
10/11
AP
04/04/11 0091742
WIRELESS WATCHDOGS
248.00
93850
MOBILE MAINT 3/23-4/22
GM
02350
10/11
AP
04/06/11 0091716
WIRELESS WATCHDOGS
23.89
93906
SUPPLIES
GM
02403
10/11
AP
04/13/11 0091740
VERIZON WIRELESS
2,111.52
968048182
MOBILE PH 3/14-4/13
GM
02468
11/11
AP
04/26/11 0091767
NEXTEL COMMUNICATIONS
1,869.02
916525027105
MOBILE PH 3/23-4/22
GM
02588
11/11
AP
05/01/11 0091955
USA MOBILITY WIRELESS, IN
77.05
U3393252E
PAGERS
GM
02784
12/11
AP
05/01/11 0092265
RIVERSIDE COUNTY INFORMAT
24.40
70001104
MRK MAINT
GM
02588
11/11
AP
05/03/11 0091957
VERIZON WIRELESS
45.01
973744327
PC CARD 4/4-5/3
Gk
02538
11/11
AP
05/04/11 0091923
WIRELESS WATCHDOGS
164.00
94702
MAINT 4/14-5/13
GM
02588
11/11
AP
05/12/11 0091958
WIRELESS WATCHDOGS
248.*00
94917
MOBILE PH 4/23-5/22
GM
02645
11/11
AP
05/13/11 0092113.
VERIZON WIRELESS
1,603.37
976946691
MOBILE,PH 4/14-5/13
CR
02678
11/11
CR
05/26/11 0020487
JOHN FALCONER - PHONE CAL
10.00
KBLONDELL 05/26/11 01
GM
02702
12/11
AP
05/26/11 0092129
NEXTEL COMMUNICATIONS
1,766.32
916525027106
MOBILE PH 4/23-5/22
GM
02740
12/11
AP
06101111 0092159
USA MOBILITY WIRELESS, IN
77.05
U3393252F
PAGERS
GM
03021
12/11
AP
06101111 0092731
RIVERSIDE COUNTY INFORMAT
24.40
99900070001105
MAY -MRK MAINT
GM
02808
12/11
AP
06105111 0092342
VERIZON WIRELESS
45.01
PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER LISTING Pmw.�.010
PROGRAM GM562LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------- : -------------------------------------- r -------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG. —-TRANSACTION ---- % /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.41-25
Utilities / Telephone -Mobile
/ Postage Machine
GM
00353
02/11
370527835-1
PC CARD
GM
02808
12/11
AP
06106111 0092344
WIRELESS WATCHDOGS
LEASE
GM
00702
03/11
95551
MOBILE MAINT
GM
02870
12/11
AP
06/09/11 0092449
WIRELESS WATCHDOGS
RENT 6/30-9/30
GM
01713.
08/11
95706
MOBILE PHONES
GM
02916
12/11
AP
06/15/11-0092478
VERIZON WIRELESS
FOLDING MACHINE
GM
02136
10/11
77052781300001
MOBILE PHONES
CR
02846
12/11
CR
06116111 0021728
PERS PHONE USE -JOHN FALCO
DEC -MAR RENTAL
GM
02628
11/11
AP
MMENDOZA 06116111 01
GM
02948
12/11
AP
06/21/11 0092489
WIRELESS WATCHDOGS
LEASE 4/25-7/25
CR
02582
11/11
95978
SUPPLIES
GM
0-2948
12/11
AP
06/26/11 0092485
NEXTEL COMMUNICATIONS
LWEST 05/17/11 01
GM
03027
.
916525027-107
MOBILE PHONES
GM
02987
12/11
AP
07/01/11 0092563
RIVERSIDE COUNTY—INFORMAT
JAN -JUN FOLDING MACHINE
99900070001106
JUN -MRK MAINT
GM
03020
12/11
AP
07/03/11 0092652
VERIZON WIRELESS
991548792
PC CARD 6/4-7/3
ACCOUNT TOTAL
101-4002-415.43-16
Repair/Maintenance.Agrmts
/ Postage Machine
GM
00353
02/11
AP
07/13/10 0088674
PITNEY BOWES
CANON FINANCIAL SERVICES,
8504335JN10
LEASE
GM
00702
03/11
AP
09/13/10 0089072
PITNEY BOWES
07/02/10
0088071
INNOVATIVE DOCUMENT SOLUT
8504335SPID
RENT 6/30-9/30
GM
01713.
08/11
AP
01/21/11 0090698
PITNEY BOWES INC
02/11
AP
07/25/10
0088463
634702
FOLDING MACHINE
GM
02136
10/11
AP
03/13/11 0091475
PITNEY BOWES
GM
00437
03/11
AP
8504335MR11
DEC -MAR RENTAL
GM
02628
11/11
AP
05/06/11 0092025
MAILFINANCE
CONTRACT CHRG
H2483225
LEASE 4/25-7/25
CR
02582
11/11
CR
05/17/11 0019856
PRIORITY MAILING PROMOTIO
LWEST 05/17/11 01
GM
03027
12/11
AP
07/01/11 0092721
PITNEY BOWES INC
416461
JAN -JUN FOLDING MACHINE
ACCOUNT TOTAL
101-4002-415.43-19
Repair/Maintenance
Agrmts / Copiers
GM
ob023
01/11
AP
06/24/10
0088018
CANON FINANCIAL SERVICES,
10096326
AUG -CONTRACT CHRG
GM
00023
01/11
AP
07/02/10
0088071
INNOVATIVE DOCUMENT SOLUT
91883
SUPPLIES
GM
00275
02/11
AP
07/25/10
0088463
CANON FINANCIAL SERVICES,
10169875
SEP -CONTRACT CHRG
GM
00437
03/11
AP
08/24/10
0088798
CANON FINANCIAL SERVICES,
10243037
CONTRACT CHRG
176.00
248.00
11581.66
32.59
1,765.30
24.40
45.01
50,353.28
11650.00
11650.00
489.00
11650.00
931.07
489.00
6,859.07
3,696.52
225.00
3,696.52
3,696.52
5.00
1,436.47
11650.00
1,650.00
48,916.81
.00
5,209.07
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER _�VITY
LISTING
PAWC1011
PROGRAM
GM362LA
CITY OF LA
--------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
! -----------------------------------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-4002-415.43-19
Repair/Maintenance
Agrmts / Copiers
GM
00622
03/11
AP
09/01/10
0089028
INNOVATIVE DOCUMENT SOLUT
120.33
94317
CONTACT CHARGE
GM
00624
03/11
AP
09/01/10
0089028
INNOVATIVE DOCUMENT SOLUT
3,804.47
94575
JUN -AUG CONTRACT SVC
GM
00736
04/11
AP
09/24/10
00891'66
CANON FINANCIAL SERVICES,
3,696.52
10329112
CONTRACT CHRG
GM
01046
05/11
AP
10/24/10
0089554
CANON FINANCIAL SERVICES,
3,696.52
10402376
CONTRACT CHARGE
GM
01246
06111
AP
11/24/10
0089942
CANON FINANCIAL SERVICES,
3,696.52,
10539499
CONTRACT CHRG
GM
01366
06/11
AP
12/01/10
0090199
INNOVATIVE DOCUMENT SOLUT
62.80
97418
CONTRACT CHRG
GM
01366
06111
AP
12/01/10
0090199
INNOVATIVE DOCUMENT SOLUT
4,681.53
97735
CONTRACT CHRG
GM
01457
07/11
AP
12/25/10
0090287
CANON FINANCIAL SERVICES,
3,696.52
10644787
FEB -CONTRACT CHRG
GM
01787
08/11
AP
01/22/11
0090825
CANON FINANCIAL SERVICES,
3,696.52
10718328
CONTACT CHRG
GM
01903
09/11
AP
02/22/11
0090981
CANON FINANCIAL SERVICES,
3,696.52
10792526
APR -CONTRACT CHRG
GM
02084
09/11
AP
03/01/11
0091203
INNOVATIVE DOCUMENT SOLUT
83.56
100678
CONTRACT CHRG
GM
02154
10/11
AP
03/01/11
0091434
INNOVATIVE DOCUMENT SOLUT
6,989.04
100677
CONTRACT CHRG
GM
02424
11/11
AP
03/09/11
0091822
INNOVATIVE DOCUMENT SOLUT
129.30
100689
SUPPLIES
GM
02156
10/11
AP
03/24/11
0091378
CANON FINANCIAL SERVICES,
3,696.52
10867219
CONTRACT CHRG
GM
02251
10/11
AP
03/31/11
0091399
DESERT BUSINESS MACHINES
183.05
.AR89715
TYPEWRITER R&M
GM
02302
10/11
AP
04/08/11
0091645
INNOVATIVE DOCUMENT SOLUT
203.25
101789
SUPPLIES
GM
02435
11/11
AP
04/24/11
0091799
CANON FINANCIAL SERVICES,
3,696.52
10940348
CONTRACT CHRG
GM
02728
12/11
AP
06101111
0092219
INNOVATIVE DOCUMENT SOLUT
5,989.17
103461
CONTRACT CHRG
GM
02789
12/11
AP
06101111
0092219
INNOVATIVE DOCUMENT SOLUT
164.34
103462
CONTRACT CHARGE
ACCOUNT TOTAL
63,297.56
63,297.56
101-4002-415.43-22
Repair/Maintenance
Agrmts / Typewriters
.00
GM
01962
09/11
AP
02/25/11
0090991
DESERT BUSINESS MACHINES
915.24
AR88629
MAINT CONTRACT
ACCOUNT TOTAL
915.24
915.24
- i
PREPARED �-v.,.L7/2014, 10:19:00 GENERAL LEDGER ��,,VITY LISTING P/,---Jl2
PROGRAM GM562LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------------------------------- --------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP A:CtTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER ' D E S C R I P T 1 0 N DEBITS CREDITS 'BALANCE
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - --- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 7 - - - - - - - - - - - - - - - - - - -
101-4002-415.43-28 Repair/Maintenance Agrmts / Telephone Equipment
ACCOUNT TOTAL
101-4002-415.44-01 Rental Services / Equipment rental
ACCOUNT TOTAL
101-4002-415.51-01 Services & Supplies / Travel & Training
ACCOUNT TOTAL
101-4002-415.51-02 Services & Supplies / Vehicle Reimbursement
ACCOUNT TOTAL
101-4002-415.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-4002-415.51-31
Services
& Supplies
Postage
CR
00046
01/11
CR
07/07/10
0000296
USPS/REFUND POSTAGE OVRCH
DMARTIN
07/07/10 01
GM
00259
02/11
AP
07/17/10
0088489
ON-TRAC
67.18
6864810
OVERNIGHT
MAIL
GM
00275
02/11
AP
07/27/10
0088501
RESERVE ACCOUNT
4,000.00
11762499
CITY WIDE
POSTAGE
GM
00353
02/11
AP
07/31/10
0088671
ON-TRAC
13.36
6876821
OVERNIGHT
MAIL
GM
00353
02/11
AP
08/13/10
0088630
FEDEX
157.15
719013153
OVERNIGHT
MAIL
GM
00514
03/11
AP
08/21/10
0088863
ON-TRAC
88.14
6895201
OVERNIGHT
MAIL
GM
00514
03/11
AP
08/28/10
0088863
ON-TRAC
60.29
6900424
OVERNIGHT
MAIL
GM
00603
03/11
AP
09/04/10
0089067
ON-TRAC
6.72
6907625
OVERNIGHT
MAIL
GM
00603
03/11
AP
09/10/10
0089018
FEDEX
51.62
722094759
OVERNIGHT
MAIL
GM
00712
04/11
AP
09/18/10
0089239
ON-TRAC
90.54
6920854
OVERNIGHT
MAIL
GM
ob624
05/11
AP
09/21/10
0089079
RESERVE ACCOUNT
4,000.00
11762499
CITY WIDE
POSTAGE
GM
00914
04/11
AP
10/02/10
0089452
ON-TRAC
53.79
6932664
OVERNIGHT
MAIL
370.07
-.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
u,,,7/2014,
10:19:00
GENERAL LEDGER
--�VITY LISTING
PMUCA013
PROGRAM
GM362LA
CITY OF LA
--------------------------------------------------------------------------
QUINTA,
CALIFORNIA
w
FUND 101
General
Fund
----------------------------------------------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION
----
/ENDING
APP
NUMBER
---------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T 1 0 N
DEBITS CREDITS
BALANCE
101-4002-415.51-31
Services
& Supplies
Postage
GM
00914
04/11
AP
10/08/10
0089408
FEDEX
111.90
725241801
OVERNIGHT
MAIL
GN
OaO62
05/11
AP
10/23/10
0089618
ON-TRAC
85.21
6950938
OVERNIGHT
MAIL
GM
01092
05/11
AP
10/30/10
0089823
6N-TRAC
3.36
6957776
OVERNIGHT
MAIL
GM
01161
05/11
AP
11106110
0089823
ON-TRAC
71.09
6966330
OVERNIGHT
MAIL
GM
01161
05/11
AP
11/12/10
0089780
FEDEX
224.80
110212224
OVERNIGHT
MAIL
GM
01272
06111
AP
11/27/10
0090024
ON-TRAC '
56.82
6980658
OVERNIGHT
MAIL
GM
01366
06111
AP
12/04/10
0090213
ON-TRAC
12.98
6987023-
OVERNIGHT
MAIL
GM
01366
06111
AP
12/1'0/10
0090191
FEDEX
26.67
732273639
OVERNIGHT
MAIL
GM
01514
07/11
AP
12/18/10
0090325
ON-TRAC
50.07
7000124
OVERNIGHT
MAIL
GM
01514
07/11
AP
12/31/10
0090336
RESERVE ACCOUNT
4,000.00
11762499
CITY WIDE
POSTAGE
GM
01603
07/11
AP
01/01/11
0090517
ON-TRAC
30.24
7011299
OVERNIGT
MAIL
GM
01603
07/11
AP
01/14/11
0090473
FEDEX
111.70
736083595
OVERNIGHT
MAIL
GM
01787
08/11
AP
01/29/11
0090879
ON-TRAC
53.21
7033564
OVERNIGHT
MAIL
GM
01804
08/11
AP
02/05/11
0090879
ON-TRAC
33.17
7040249
OVERNIGHT
MAIL
GM
01962
09/11
AP
02/19/11
0091031
ON-TRAC
71.49'
7053142
OVERNIGHT
MAIL
GM
01962
09/11
AP
02/25/11
0091001
FEDEX
106.38
587461310
OVERNIGHT
MAIL
GM
02084
09/11
AP
03/05/11
0091228
ON-TRAC
34.20
7064526
OVERNIGHT
MAIL
GM
02084
09/11
AP
03/11/11
0091188
FEDEX
68.01
742843808
OVERNIGHT
MAIL
GM
02084
09/11
AP
03/16/11
0091240
RESERVE ACCOUNT
11000.00
11762449
CITY WIDE
POSTAGE
GM
02156
10/11
AP
03/19/11
0091470
ON-TRAC
129.64
7077308
OVERNIGHT
MAIL
GM
02351
10/11
AP
04/02/11
0091671
ON-TRAC
69.15
708834
OVERNIGHT
MAIL
GM
02558
11/11
AP
04/08/11
0091993
FEDEX
39.22
745494060
OVERNIGHT
MAIL
GM
02350
10/11
AP
04/14/11
0091707
US POSTMASTER
200.00
1504
PO BOX 1504 FEE
GM
02435
11/11
AP
04/16/11
0091844
ON-TRAC
65.70
7101626
OVERNIGHT
MAIL
GM
02628
11/11
AP
04/30/11
0092035
ON-TRAC
34.16
PREP�RED —.7/2014, 10:19:00 GENERAL LEDGER IVITY LISTING PAw=iOl4
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------- ----------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------------------- --------------------
101-4002-415.51-51
Services & Supplies
Postage
7112947
OVERNIGHT MAIL
GM
02557
.11/11
AP
05/12/11 0091240
RESERVE ACCOUNT
11000.00
11762499
CITY WIDE POSTAGE
GM
02561
11/11
AP
05/13/11 0091993
FEDEX
52.78
749441390
OVERNIGHT MAIL
GM
02755
12/11
AP
05/13/11 0092163-
TOTALFUNDS BY HASLER
4,000.00
25i8309
POSTAGE
CR
02639
11/11
CR
05/23/11 0020210
USPS/UNUSED METER POSTAGE
371.'84
DMARTIN 05/23/11 01
GM
02789
12/11
AP
05/28/11 0092249
ON-TRAC
68.48
7135341
OVERNIGHT MAIL
GM
02871
12/11
AP
06/04/11 0092394
ON-TRAC
48.54
7141809
OVERNIGHT MAIL
GM
02865
12/11
AP
06/10/11 0092371
FEDEX
24.61
752482054
OVERNIGHT MAIL
GM
02808
12/11
AP
06/13/11 0092340
TOTALFUNDS BY HASLER
8,494.50
8309
POSTAGE CATCH-UP
GM
02865
12/11
AP
06/13/11 0092397
PITNEY BOWES
1,650.00
8504355JNll
MAR-JUN,LEASE
GM
02842
12/11
AP
06116111 0092163
TOTALFUNDS BY HASLER
4,ObO.00
2518309
POSTAGE
GM
02878
12/11
AP
06/23/11 0092455
WELLS FARGO BUSINESS CARD
51.11
485620030080307
WELLS FARGO CREDIT CARD
GM
02881
12/11
AP
06/23/11 0092456
WELLS FARGO BUSINESS CARD
51.11
485620030080307
WELLS FARGO CREDIT CARD
GM
02884
12/11
AP
06/23/11 0092455
WELLS FARGO BUSINESS CARD
51.11
485620030080307
WELLS FARGO CREDIT CARD
GM
02998
12/11
AP
06125111 0092554
ON-TRAC
64.09
7159086
OVERNIGHT MAIL
GM
02941
12/11
AJ
06/30/11 JE 12-032.
POSTAGE 6110 BANK DEBIT
4,000.00
GM
03010
12/11
AP
07/01/11 0092627
WELLS FARGO BUSINESS CARD
245.77
3072
VISA CARD PYMT
GM
03031
12/11
AP
07/08/11 0092849
FEDEX
15.70
755395538
OVERNIGHT MAIL
ACCOUNT TOTAL
34,044.65
5,793.02
101-4002-415.53-01 Services & Supplies / Printing
ACCOUNT TOTAL
101-4002-415.53-03 Services & Supplies / Membership Dues
GM 00272 01/11 AJ 07/31/10 AJE 01-011 REVERSE PREPAID ITEMS 100.00
ACCOUNT TOTAL 100.00
28,251.63
.00
.00
.00
100.00
PREPARED L7/2014, 10:19:00 GENERAL LEDGER --.IVITY LISTING PAGE1015
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING.
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.53-04 Services'& Supplies / Subscriptions/Publication
ACCOUNT TOTAL
101-4002-415.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-4002-415.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
101-4002-415.56-01
Services & Supplies
Office Supplies'
GM
00023
01/11
AP
07/02/10 0088149
STAPLES ADVANTAGE
OFFICE
DEPOT
3138578170
OFFICE SUPPLIES
GM
01181
06111
AP
11/10/10 0090022
OFFICE DEPOT
AP
07/21/10 0088669
OFFICE
DEPOT
540601436001
OFFICE SUPPLIES
GM
01181
06/11
AP
11116110 0090022
OFFICE DEPOT
00286
02/11
AP
07/50/10 0088709
541293113001
OFFICE SUPPLIES
GN
01362
06111
AP
12/10/10 0090208
M -S CASH DRAWER LLC
DRY INK
GM
00350
09/11
10685549
SUPPLIES
GM
01632
08/11
AP
01/21/il 0090714
STAPLES ADVANTAGE
5140604208
OFFICE
SUPPLIES
GM
3148508309
OFFICE SUPPLIES
GM
02136
10/11
AP
03/18ill 0091502
STAPLES ADVANTAGE
530120026001
OFFICE
3151601078
OFFICE SUPPLIES
GM
02154
10/11
AP
03/23/11 0091502
STAPLES ADVANTAGE'
3151833718
OFFICE SUPPLIES
GM
02156
10/11
AP
03/23/11 0091453
M -S CASH DRAWER LLC
10691273
OFFICE SUPPLIES
GM
02154
10/11
AP
03/25/11 0091502
STAPLES ADVANTAGE
3151878278
RETURN CREDIT
ACCOUNT TOTAL
101-002-415.56-07
Services & Supplies
Copiers
GM
00275
02/11
AP
07/16/10 0088487
OFFICE
DEPOT
526289028001
OFFICE
SUPPLIES
GM
00350
02/11
AP
07/21/10 0088669
OFFICE
DEPOT
526899686001
OFFICE
SUPPLIES
GM
00286
02/11
AP
07/50/10 0088709
XEROX CORORATION
7405
111239478
JUL-8830
DRY INK
GM
00350
09/11
AP
08/11/10 0088695
STAPLES
ADVANTAGE
5140604208
OFFICE
SUPPLIES
GM
00514
03/ii
AP
08/17/10 0088861
OFFICE
DEPOT
530120026001
OFFICE
SUPPLIES'
GM
00514
03/11
AP
08/20/10 0088861
OFFICE
DEPOT
51.83
57.52
18.18
80.61
39.44
86.01
28.56
60.49
422.64
62.98
851.08
809.10
56.01
57.04
851.08
23.12
23.12
.00
.00
.00
.00
.00
.00
.00
399.52
.100
PREPARED
17/2014,
10:19:00
GENERAL LEDGER
--.'IVITY LISTING
PAGE1016
PROGRAM
GM362LA
CITY OF LA
- ------
QUINTA,
CALIFORNIA
----
FUND 101
-----------
General
- ------------------
Fund
-- ----- ---------- -- - - ----------
- ---- -------------- ----
---- ---------- ------ ---- ------------ --
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T 1 0 N
DEBITS
CREDITS BALANCE
101-4002-415.56-07
Services & Supplies
Copiers
530579594001
OFFICE SUPPLIES
GM
00581
03/11
AP
09/02/10 008889.3
STAPLES ADVANTAGE
56.01
3141761206
OFFICE SUPPL IES
GM
00725
04/11
AP
09/23/10 0089266
STAPLES ADVANTAGE
112.01
3142563070
OFFICE SUPPLIES
GM
00823
04/11
AP
09/29/10 0089249
PRINTING PLACE, THE
1,082.06
102177
ENVELOPES
GM
00846
04/11
AP
10/05/10 0089468
STAPLES ADVANTAGE
56.01
3143459'671
OFFICE SUPPLIES
GM
00860
04/11
AP
10/05/10 0089451
OFFICE DEPOT
11063.85
536268842001
OFFICE SUPPLIES
GM
01246
06/11
AP
11116110 0090022
OFFICE DEPOT
38.15
541219213001
OFFICE SUPPLIES
GM
01246
06111
AP
11/22/10 0090022
OFFICE DEPOT
765.97
541752712001
PAPER
GM
01265
06111
AP
11/22/10 0090031
PRINTING PLACE, THE
495.06
102554
DECALS
GM
01457
07/11
AP
12/17/10 0090348
STAPLES ADVANTAGE
84.01
3146872517
OFFICE SUPPLIES
GM
01457
07/11
AP
12/17/10 0090348
STAPLES ADVANTAGE
207.17
3146872318
OFFICE SUPPLIES
GM
01457
07/11
AP
12/18/10 0090348
STAPLES ADVANTAGE
84.01
3147054119
OFFICE SUPPLIES
GM
01457
07/11
AP
12/22/10 0090323
OFFICE DEPOT
92.66
545720946001
OFFICE SUPPLIES
GM
01457
07/11
AP
12/29/iC 0090348
STAPLES ADVANTAGE
24.63
3147275656
RETURN CREDIT
GM
01457
07/11
AP
12/29/10 0090348
STAPLES.ADVANTAGE
98.53
3147275655
RETURN CREDIT
GM
01568
07/11
AP
01/07/11 0090433
OFFICE DEPOT
1,014.04
547368321001
OFFICE SUPPLIES
GM
01802'
08/11
AP
02/03/11 0090900
STAPLES ADVANTAGE
56.01
3149472729
OFFICE SUPPLIES
GM
01878
09/11
AP
02/09/11 0091029
OFFICE DEPOT
851.08
551595204001
OFFICE SUPPLIES
GM
02136
10/11
AP
03/02/11 0091469
OFFICE DEPOT
75.89
5541(fB013001
OFFICE SUPPLIES
GM
02136
10/11
AP
03/08/11 0091469
OFFICE DEPOT
851.08
554820399001
OFFICE SUPPLIES
GM
02156
10/11
AP
03/15/11 0091502
STAPLES ADVANTAGE
308.03
3151508717
OFFICE SUPPLIES
GM
02156
10/11
AP
03/16/11 0091502
STAPLES ADVANTAGE
56.01
3151558581
OFFICE SUPPLIES
GM
02136.
10/11
AP
03/18/11 0091481
PRINTING PLACE, THC
636.19
110559
ENVELOPES
GM
02156
10/11
AP
03/24/11'0091481
PRINTING PLACE, THE
1,518.15
-
110558
LETTERHEAD
GM
02302
10/11
AP
03/26/11 0091695
STAPLES ADVANTAGE
56.01
3152073331
RETURN CREDIT
PREPARED ---17/2014,
10:19:00
GENERAL LEDGER _IVITY
LISTING
FAwtiO17
-PROGRAM GM362LA
-CITY OF LA QUINTA, CALIFORNIA
--------------------------------------
-----------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING
GROUP ACCTG ---- TRANSACTION ----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
.101-4002-415.56-07
Services & Supplies
Copiers
GM 02302 10/11 AP
03/26/11 0091695
STAPLES ADVANTAGE
56.01
3152073330
RETURN CREDIT
GM 02424 11/11 AP
04/11/11 0091842
OFFICE DEPOT
1,063.84
558767803001
OFFICE SUPPLIES
GM 02424 11/11 AP
04/15/11 0091852,
PRINTING PLACEv THE
582.90
110826
ENVELOPES
GM 02616 11/11 AP
05/12/11 0092055
STAPLES ADVANTAGE.
84.01
3154552070
OFFICE SUPPLIES
OM 02865 12/11 AP
06108111 0092393
OFFICE DEPOT
893.71
567241581001
PAPER
GM 02955 12/11 AP
06115111 0092571
STAPLES ADVANTAGE
56.01
'3156191032
OFFICE SUPPLIES
GM 03021 12/11 AP
06/28/11 0092718
OFFICE DEPOT
185.31
569678227001
OFFICE SUPPLIES
GM 03021 12/11 AP
07/02/11 0092741
STAPLES ADVANTAGE
112.01
315736-1484
OFFICE SUPPLIES
ACCOUNT TOTAL
15,168.53 235.18
14,933.35
101-4002-415;56-10
Services & Supplies /
Fax Machines
.00
ACCOUNT TOTAL
.00
101-4002-415.56-16
Services & Supplies /
Forms
.00
ACCOUNT TOTAL
.00
101-4002-415.56-19
Services & Supplies /
Stationary
.00
GM 00286 02/11 AP
08/05/10 0088677
PRINTING PLACE, THE
473.31
101696B
DECALS
GM 00490 03/11 AP
08/12/10 0088871
PRINTING PLACE, THE
650.16
101738
CAMPAIGN STICKERS
GM 00860 04/11 AP
10/15/10 0089460
PRINTING PLACE, THE
228.38
102322
FORMS -AL LIC APPS
ACCOUNT TOTAL
11351.85
11351.85
101-4002-415.56-22
Services & Supplies /
Computers
.00
ACCOUNT TOTAL
.00
101-4002-415.56-25
Services & Supplies /
Software
.00
ACCOUNT TOTAL
.00
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER __..VITY
LISTING
P___318
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------
FUND 101
General
Fund
r --------------------------------------
BEGINNING
GROUP
ACCTG
---- TRANSACTION
----
/ENDING
APP NUMBER PER.
------- ---------------
CD
DATE
--- --------------------------------
NUMBER
D E S C R I P T 1 0 N
---------- -----------
DEBITS CREDITS
------ ----------- ---- ---- - -------- ---
BALANCE
------------------
101-4002-415.56-27
Services
& Supplies
Coffee
.00
GM
00350
02/11
AP
06/17/10
0088631
FIRST CHOICE SERVICES
234.24
70005
COFFEE SUPPLIES
GM
00099
01/11
AP
07/14/10
0088290
FIRST CHOICE SERVICES
136.49
73048
COFFEE SUPPLIES
GM
00157
01/11
AP
07/14/10
0088290
FIRST CHOICE SERVICES
50.41
73052
COFFEE SUPPLIES
GM
00437
03/11
AP
08/02/10
0088908
US -YELLOW
297.00
1760360101
PHONE
GM
00353
02/11
AP
08/10/10
0088695
STAPLES ADVANTAGE
128.33
3140582087
OFFICE SUPPLIES
bM
00319
02/11
AP
08/11/10
0088631
FIRST CHOICE SERVICES
146.07
78665
COFFEE SUPPLIES
GM
00350
02/11
AP
08/11/10
0088631
FIRST CHOICE SERVICES
80.01
78664
'COFFEE SUPPLIES
GM
00555
03/11
AP
09/09/10
0088824
FIRST CHOICE SERVICES
243.81
85060
COFFEE SUPPLIES
GM
00581
05/11
AP
09/09/10
0088824
FIRST CHOICE SERVICES
112.33'
85061
COFFEE SUPPLIES
GM
01161
05/11
AP
09/09/10
0089783
FIRST CHOICE SERVICES
32.76
85059
COFFEE SUPPLIES
GM
00846
04/11
AP
10/02/10
0089468
STAPLES ADVANTAGE
128.33
3143430984
OFFICE SUPPLIES
GM
00823
04/11
AP
10/07/10
0089198
FIRST CHOICE SERVICES
257.28
90993
COFFEE SUPPLIES
GM
00846
04/11
AP
10/07/10
0089410
FIRST CHOICE SERVICES
44.00
944637
COFFEE SUPPLIES
GM
00846
04/11
AP
10/07/10
0089410
FIRST CHOICE SERVICES
98.77
90992
COFFEE SUPPLIES
GM
00846
04/11
AP
10/07/10
0089410
FIRST CHOICE SERVICES
199.16
90994
COFFEE SUPPLIES
CR
00863
04/11
CR
10/12/10
0004496
PUBLIC WORKS -MAJOR DICKSO
12.73
CASHVO 10/12/10 01
GM
01092
05/11
AP
11/04/10
0089783
FIRST CHOICE SERVICES
281.51
95393
COFFEE SUPPLIES
GM
01092
05/11
AP
11/04/10
0089783
FIRST CHOICE SERVICES
400.07
95392
COFFEE SUPPLIES
GM
01159
05/11
AP
11/09/10
0089841
STAPLES ADVANTAGE
128.33
3145168596
OFFICE SUPPLIES
GM
01265
06/11
AP
12106110
0089970
FIRST CHOICE SERVICES
201.16
101572
COFFEE SUPPLIES
GM
01265
06111
AP
12/06/10
0089970
FIRST CHOICE SERVICES
44.00
944787
COFFEE SUPPLIES
GM
01272
06111
AP
12/06/10
0089970
-FIRST CHOICE SERVICES
193.62
101573
COFFEE SUPPLIES
GM
01903
09/11
AP
12106110
0091002
FIRST CHOICE SERVICES
65.52
101571
COFFEE SUPPLY
GM
01265
06111
AP
12/07/10
0089970
FIRST CHOICE SERVICES
31.28
944793
COFFEE SUPPLIES
CR
01301
06111
CR
12/08/10
0007659
PUBLIC WORKS -MAJOR DICKEN
12.73
PREPARED
-.,.7/2014, 10:19:00
GENERAL LEDGER m�.�VITY
LISTING
PmwQA3l9
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
.
GROUP
ACCTG
----
TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101.-4002-415.56-27
Services
& Supplies
Coffee
CASHVO 12/08/10 01
GM
01457
07/11
AP
12/28/10
0090348
STAPLES ADVANTAGE
128.33
3147254090
OFFICE SUPPLIES
GM
01564
07/11
AP
01/05/11
0090474
FIRST CHOICE SERVICES
200.77
107694
COFFEE SUPPLIES
GM
01564
07/11
AP
01/05/11
0090474
FIRST CHOICE SERVICES
203.46
107693
COFFEE SUPPLIES
GM
01603
07/11
AP
01/11/11
0090474
FIRST CHOICE SERVICES
38.92
110620
COFFEE SUPPLIES
GM
01704
08/11
AP
02/02/11
0090659
FIRST CHOICE SERVICES
222.93
111898
COFFEE SUPPLIES
GM
01704
08/11
AP
02/02/11
0090659
FIRST CHOICE SERVICES
93.50
944924
COFFEE SUPPLIES
GM
01768
08/11
AP
02/02/11
0090844
FIRST CHOICE SERVICES
169.09
111899
COFFEE SUPPLIES
GM
01903
09/11
AP
02/24/11
0091046
STAPLES ADVANTAGE
101.74
3150358592
OFFICE SUPPLIES
GM
01962
09/11
AP
03/02/11
0091002
FIRST CHOICE SERVICES
329.99
944990
COFFEE SUPPLIES
GM
02077
09/11
AP
03/02/11
0091189
FIRST CHOICE SERVICES
179.42
944989
COFFEE SUPPLIES
GM
02198
10/11
AP
03/30/11
0091414
FIRST CHOICE SERVICES
152.26
945051
COFFEE
GM
02198
10/11
AP
03/30/11
0091414
FIRST CHOICE SERVICES
177.48
945053
COFFEE SUPPLIES
GM
02198
10/11
AP
03/30/11
0091414
FIRST CHOICE SERVICES
46.75
945052
COFFEE SUPPLIES
CR
02214
10/11
CR
04/01/11
0016130
PUBLIC WORKS -MAJOR DICKEN
12.73
CASHVO 04/01/11 01
GM
02316
10/11
AP
04/15/11
0091695
STAPLES ADVANTAGE
101.74
3153127413
OFFICE SUPPLIES
GM
02435
11/11
AP
04/28/11
0091813
FIRST CHOICE SERVICES
255.60
124203
COFFEE SUPPLIES
GM
02435
11/11
AP
04/28/11
0091813
FIRST CHOICE SERVICES
230.51
124204
COFFEE SUPPLIES
CR
02669
11/11
CR
05/25/11
0020328
PUBLIC WORKS - COFFEE
12.73
CASHVO 05/25/11 01
GM
02694
12/11
AP
05/25/11
0092204
FIRST CHOICE SERVICES
164.97
945243
COFFEE SUPPLIES
GM
02694
12/11
AP
05/25/11
0092204
FIRST CHOICE SERVICES
387.48
945241
COFFEE SUPPLIES
GM
02694
12/11
AP
05/25/11
0092204
FIRST CHOICE SERVICES
46.75
945242
COFFEE SUPPLIES
GM
03021
12/11
AP
06/21/11
0092741
STAPLES ADVANTAGE
118.04
3156467555
OFFICE SUPPLIES
GM
02997
12/11
AP
06/24/11
0092529
FIRST CHOICE SERVICES
.163.99
488243
COFFEE SUPPLIES
GM
02997
12/11
AP
06/24/11
0092529
FIRST CHOICE SERVICES
178.48
488244
COFFEE SUPPLIES
PREPARED --7/2014, 10:19:00 GENERAL LEDGER m�eaVITY LISTING Pmt.,c&020
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------- ----------------- -
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALA NCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.56-27 Services & Supplies / Coffee
50.92
7,175.76
.00
ACCOUNT TOTAL
7,226.68
101-4002-415.56-29
Services
& Supplies
Bottled Water
GM
00085
01/11
AP
07/02/10
0088191
DOLPHIN CAPITAL
CORP
266.44
2600689
WATER SVC
GIM
00105
01/11
AP
07/11/10
0088?23
DOLPHIN CAPITAL
CORP
53.29
2622683
WATER SVC
GM
09346
02/11
AP
08/02/10
0088562
DOLPHIN CAPITAL
CORP
266.44
2666877
WATER SVC
GM
00346
02/11
AP
08/11/10
0088562
DOLPHIN CAPITAL
CORP
53.29
2692114
WATER SVC
GM
00522
03/11
AP
09/01/10
0088759
DOLPHIN CAPITAL
CORP
266.44
2736538
WATER SVC
GM
00605
03/11
AP
09/10/10
0088928
DOLPHIN CAPITAL
CORP
53.29
2757856
WATER SVC
GM
00876
04/11
AP
10/02/10
0089345
DOLPHIN CAPITAL
CORP
266.44
2803469
WATER SVC
GM
00876
04/11
AP
10/11/10
0089345
DOLPHIN CAPITAL
CORP
53.29
2819940
WATER SVC
GM
01081
05/11
AP
11/01/10
0089680
DOLPHIN CAPITAL
CORP
266.44
2866046
WATER SVC
GM
01097
05/11
AP
11/10/10
0089704
DOLPHIN CAPITAL
CORP
53.29
2888702
WATER SVC
GM
01253
06111
AP
12/02/10
0089907
DOLPHIN CAPITAL
CORP
266.44
2931576
WATER SVC
GM
01368
06111
AP
12/11/10
0090143
DOLPHIN CAPITAL
CORP
53.29
2953456
-
WATER SVC
GM
01547
07/11
AP
01/02/11
0090375
DOLPHIN CAPITAL
CORP
266.44
2993979
WATER SVC
GM
01568
07/11
AP
01/11/11
0090420
DOLPHIN CAPITAL
CORP
53.29
3014388
WATER SVC
GM
01757
08/11
AP
01/30/11
0090744
DOLPHIN CAPITAL
CORP
266.44
3070664
WATER SVC
GM
01793
08/11
AP
02/08/11
0090779
DOLPHIN CAPITAL
CORP
53.29
3091489.
WATER SVC
GM
02003
09/11
AP
03/02/11
0091074
DOLPHIN CAPITAL
CORP
266.44
3131816
WATER SVC
GM
02225
10/11
AP
04/01/11
0091344
DOLPHIN CAPITAL
CORP
266.44
3188430
WATER SVC
GM
02022
09/11
AP
04/10/11
0091115
DOLPHIN CAPITAL
CORP
53.29
3151545
WATER SVC
GM
02306
10/11
AP
04/10/11
0091569
DOLPHIN CAPITAL
CORP
53.29
3206285
WATER SVC
GM
02538
11/11
AP
05/02/11
0091895
DOLPHIN CAPITAL
CORP
266.44
3424106
WATER COOLER
GM
02588
ll/.11
AP
05/11/11
0091932
DOLPHIN CAPITAL
CORP
53.29
3262075
WATER COOLER
50.92
7,175.76
.00
PREPARED 7/2014, 10:19:00 GENERAL LEDGER --.'VITY LISTING P#%,.,cL02l
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------- : -------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.56-29 Services & Supplies / Bottled Water
ACCOUNT TOTAL
3,517.03
3,517.03
101 -4002-415.56-30
Services & Supplies
Miscellaneous Kitchen
.00
GM
00367
03/11
AP
08/18/10 0088893
STAPLES ADVANTAGE
51.77
3140882525 *
OFFICE SUPPLIES
GM
00514
03/11
AP
09/01/10 0088893
STAPLES ADVANTAGE
34.00
3141711270
OFFICE SUPPLIES
GM
00846
04/11
AP
10/07/10 0089468
STAPLES ADVANTAGE
48.43
314507193
OFFICE SUPPLIES
GM
01181
06/11
AP
11/17/10 0090053
STAPLES ADVANTAGE
64.71
3145481701
OFFICE SUPPLIES
GM
01603
07/11
AP
12/31/10 0090531
SMART &.FINAL
70.15
10146915
CH TREE TRIMMING
GM
01603
07/11
AP
01/12/11 0090536
STAPLES ADVANTAGE
37.57
3148149873
OFFICE SUPPLIES
GM
01878
09/11
AP
02/15/11 0091046
STAPLES ADVANTAGE
86.29
2149999534
OFFICE SUPPLIES
GM
02136
10/11
AP
03/18/11 0091502
STAPLES ADVANTAGE
37.57
3151601077
OFFICE SUPPLIES
GM
02558
11/11
AP
05/05/11 0092055
STAPLES ADVANTAGE
16.48
3154271384
OFFICE SUPPLIES
GM
02645
11/11
AP
05/16/11 0092116
WAL MART COMMUNITY
29.95
4001H82THD
SUPPLIES
GM
02735
12/11
AP
05/27/11 0092279
STAPLES ADVANTAGE
37.57
3155161373
OFFICE SUPPLIES
GM
02955
12/11
AP
06/30/11 0092571
STAPLES ADVANTAGE
7.51
3156787015
OFFICE SUPPLIES
ACCOUNT TOTAL
522.00
522.00
101%-4002-415.56-55
Services & Supplies
Small Tools/Equipment
.00
ACCOUNT TOTAL
.00
101-4002-415.71-01
Capital Purchases / Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-4002-415.71-02
Capital Purchases Furniture
.00
ACCOUNT TOTAL
.00
1011-4002-415.71-03
Capital Purchases / Vehicles
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER --.1VITY LISTING PAtiLiO22
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------------------------------------------------- 7
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-4002-415.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-4002-415.71-04 Capital Purchases / Capital Leases
101-4002-415.91-12
GM
00414
01/11
AJ
GM
00414
01/11
AJ
GM
00415
01/11
AJ
GM
00572
02/11
AJ
GM
00716
03/11
AJ
GM
00929
04/11
AJ
GM
01187
05/11
AJ
GM
01239
06111
AJ
GM
016,38
07/11
AJ
GM
01717
08/11
AJ
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
02743
11/11
AJ
GM
02746
12/11
AJ
ACCOUNT TOTAL
Reimbursed Gen Fund
07/31/10 JE 01-051
07/31/10 JE 01-051
07/31/10 JE 01-052
08/31/10 JE 02-034
09/30/10 JE 03-035
10/31/10 JE 04-027.
11/30/10 JE 05-030
12/31/10 JE 06-002
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
ACCOUNT TOTAL
Exp / Supplies/Service
CORR JUL110 GF REIMB
CORR JUL110 GF REIMB
CORR GF REIMB JE 01-051
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
101-4002-415.92-11 Other Charges / Fleet Maint Program Chgs
ACCOUNT TOTAL
101-4002-491.95-10 Transfers
GM 00180 01/11 AJ 07/27/10
GM 00396 01/11 AJ 07/31/10
GM 00520 02/11 AJ 08/31/10
GM 00787 03/11 AJ 09/30/10
GM 00833 03/11 AJ 09/30/10*
GM 00999 04/11 AJ 10/31/10
GM 01189 05/11 AJ 11/30/10
GM 01476 06111 AJ 12/31/10
GM 01720 07/11 AJ 01/31/11
GM 01954 08/11 AJ 02/28/11
GM 01956 08/11 AJ 02/28/11
GM 01957 08/11 AJ 02/28/11
GM 02079 09/11 AJ 03/31/11
GM 02245 09/11 AJ 03/31/11
GM 02492 10/11 AJ 04/30/11
Out / Transfers Out
JE
01-022
GF CONTR TO POLICE FUND
JE
01-048
JUL110 CIP ACTIVITY
AJE
02-031
AUGUST110 CIP ACTIVITY
AJE
03-051
SEPT110 CIP ACTIVITY
AJE
03-053
TRANSFER COLMAQ GRANT
AJE
04-037
OCT110 CIP ACTIVITY
AJE
05-033
NOV110 CIP ACTIVITY
AJE
06-043
DEC110 CIP ACTIVITY
AJE
07-043
JAN'll CIP ACTIVITY
AJE
08-040
FEB'll SILVERROCK REVENUE
AJE
08-040
FEB'll SILVERROCK REVENUE
AJE
08-042
FEB'll CIP ACTIVITY
AJE
09-039
TRANS FIRE TAX TO CIV CTR
AJE
09-068
MARCHIll CIP ACTIVITY
AJE
10-037
APRIL'll CIP ACTIVITY
1,546.00
1,546.00
2,000.00
59,794.52
249,249.20
444,432.23
12,500.00
102,368.42
200,730.23
543,593.02
138,728.08
138,728.08
2,990,000.00
25,844.69
103,473.75
846.00
1,546.00
846.00
846.00
846.00
846.00
846.00
846.00
846.00
846.00
846.00
846.00
846.00
11,698.00
107,189.41
138,728.08
.00
.00
.00
.00
10,152.00CR
.00
.00
.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER __.1VITY LISTING PAt2t1023
PROGRAM GM362LA
CITY.OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-4002-491.95-10
Transfers Out
/ Transfers
Out
GM
02790
11/11
AJ
05/31/11
AJE
11-052
MAY'll
CIP ACTIVITY
182,728.21
GM
02929
12/11
AJ
06/30/11
AJE
12-020
COLMAC
GRANT
37,500.00
GM
03058
12/11
AJ
06/30/11
AJE
12-084
JUN111
CIP ACTIVITY
381,028.63
ACCOUNT
TOTAL
5,429,970.85 428,645.70
10leSO00-322.01-00
Non -Business
Licenses
Building
Permits
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
1,752.50
' BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
829.50
BP
00053
01/11
AJ
07/08/10
BP
BP
RECEIPTS
582.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
388.50
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
779.50
BP
00076
01/11
AJ
07/13/10
BP
BP
RECEIPTS
441.00
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
265.00
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
634.00
BP
60142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
401.50
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
90.00
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
336.50
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
126.00
tP
00160
01/11
AJ
07/22/10
BP
BP
RECEIPTS
756.50
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
3,709.50
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
317.00
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
949.00
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
369.00
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
814.50
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
1,280.22
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
284.50
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
265.00
BP
00269
02/11
AJ
08106110
BP
BP
RECEIPTS
713.00
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
63.00
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
915.50
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
388.50
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
382.00
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
451.50
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
517.00
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
464.50
BP
01)379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
189.00
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
349.50
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
189.00
BP
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
11031.50
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
72.00
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
54.00
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
338.50
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
666.00
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
569.00
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
45.00
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
54.00
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
1,454.00
BEGINNING
/ENDING
BALANCE
5,001,325.15
.00
PREPARED _-7/2014, 10:19:00 GENERAL LEDGER __..VITY LISTING P ... x024
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND.101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.01-00
Non -Business Licenses
Building Permits
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
306.00
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
72.00
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
11689.50
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
344.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
709.50
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
284.50
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
225.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
171.00
BP
00539
03/11
AJ
09/03/10
BP
BP
RECEIPTS
706.00
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
63.00
BP
00566
03/11
AJ
09/09/10
BP
BP
RECEIPTS
2,049.50
BP
00585
03/11
AJ
09/10/10
BP
BP
RECEIPTS
252.00
BP
00609
03/11
AJ
09/14/10
BP
BO
RECEIPTS
2,153.50
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
720.50
BP
00647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
11196.50
BP
00647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
63.00
BP
00653
03/11
AJ
09/20/10
BP
BP
RECEIPTS
306.00
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
3,822.50
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
17.00
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
2,031.00
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
304.00
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
144.00
BP
00696
93/11
AJ
09/24/10
BP
BP
RECEIPTS
382.00
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
901.00
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
117.00
BP
00730
03/11
AJ
09/28/10
BP
BP
RECEIPTS
819.00
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
6,807.00
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
1,415.50
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
271.50
BP
00755
04/11
AJ
10/01/10
BP
BP
RECEIPTS
2,321.00
BP
00790
04/11
AJ
10/04/10
BP
BP
RECEIPTS
252.00
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
744.50
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
72.00
BP
00811
04/11
AJ
10/07/10
BP
BP
RECEIPTS
495.50
BP
00811
04/11
AJ
10/07/10
BP
BP
RECEIPTS
90.00
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
162.00
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
81.00
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
575.50
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
721.50
BP
ODS70
04/11
AJ
10/13/10
BP
BP
RECEIPTS
902.00
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
1,878.50
BP
00906
04/11
AJ
10/20/10
BP
BP
RECEIPTS
13,713.00
BP
00949
04/11
AJ
10/22/10
BP
BP
RECEIPTS
72.00
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
2,179.00
BP
00965
04/11
AJ
10/26/10
BP
BP
RECEIPTS
382.00
BP
00972
04/11
AJ
10/27/10
BP
BP
RECEIPTS
460.00
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
222.00
BP
00988
04/11
AJ
10/29/10
BP
BP
RECEIPTS
364.00
GM
00917
04/11
AJ
10/31/10
JE 04-016
PRMT FEE/CNG/FIRE STN#32
909.00
BEGINNING
/ENDING
BALANCE
PREPARED _117/2014, 10:19:00 GENERAL LEDGER mueIVITY LISTING FAtxt1025
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
-101-5000-322.01-00
Non -Business Licenses
Building Permits'
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
BP'01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
BP
01126
05/11
AJ'11/15/10
BP
BP
RECEIPTS
BP
01133
05/11
AJ
11/16/10
BP
BP
RECEIPTS
BP
01133
05/11
AJ
11/16/10
BP
BP
RECEIPTS
BP
Oal42
05/11
AJ
11/17/10
BP
BP
RECEIPTS
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
BP
01149
'05/11
AJ
11/18/10
BP
BP
RECEIPTS
BP
01149
05/1.1
AJ
11/18/10
BP
BP
RECEIPTS
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
BP
01192.
05/11
AJ
11/22/10
BP
BP
RECEIPTS
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
CR
01198
05/11
CR
11/23/10
0006755
BP
& CK REQ OVPYMNT/MOSSM
KBLONDELL 11/23/10 01
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
GM
01168
05/11
AJ
11/29/10
AJE 05-016
PRMT FEES/FIRE STN #32
GM
01168
05/11
AJ
11/29/10
AJE 05-016
PRMT FEES/FIRE STN #32
BP
01218
05/11
AJ
11/29/10
BP
BP
RECEIPTS ,
GM
01272
06111
AP
11/29/10
0090015
MOSSMAN, ERIC F
1321
PERMIT REIMB
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
BP
01232
06111
AJ
12/0f/i.0
BP
BP
RECEIPTS
BP
01275
06/11
AJ
12/02/10
BP
BP
RECEIPTS
BP
01275
06111
AJ
12/02/10
BP
BP
RECEIPTS
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
BP
01287
06111
AJ
12106110
BP
BP
RECEIPTS
BP
01287
06111
AJ
12106110
BP
BP
RECEIPTS
BP
01302
06111
AJ
12/08/10
BP
BP
RECEIPTS
BP
01308
06111
AJ
12/09/10
BP
BP
RECEIPTS
BP
01308
06111
AJ
12/09/10
BP
BP
RECEIPTS
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
BP
01358
06111
AJ
12116110
BP
BP
RECEIPTS
BP
01358
06111
AJ
12116110
BP
BP
RECEIPTS
BP
01440
06/11
AJ
12/23/10
BP
BP
RECEIPTS
BP
0144.5
06111
AJ
12/27/10
BP
BP
RECEIPTS
BP
01452
06111
AJ
12/28/10
BP
BP
RECEIPTS
DEBITS CREDITS
69.28
11339.50
42.00
252.00
336.50
54.00
1,149.00
81.00
2,222.50
382.00
153.00
207.00
473.00
117.00
225.00
699.00
35.00
54.00
310.50
448.50
69.28
6,139.50
446.00
72.00
963.50
480.00
33,453.00
1,444.00
117.00
99.00
189.do
284.50
1,682.50
117.00
72.00
423.00
330.50
135.00
25.00
11905.50
2,207.50
1,367.50
243.00
270.00
81.00
45.00
50.00
BEGINNING
/ENDING
BALANCE
PREPARED ..,.7/2014, 10:19:00 GENERAL LEDGER __.�VITY LISTING P_-026
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5000-322.01-00
Non -Business Licenses
Building Permits
BP
01466
06111
AJ
12/30/10
BP
BP
RECEIPTS
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
GM
01514
07/11
AP
01/05/11
0090317
MCINTYRE POOLS & SPAS
10-1364
REFUND
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
BP
01501
07/11
AJ
01/06/11
BP
BP
RECEIPTS
BP
01506
07/11
AJ
01/07/11
BP
BP
RECEIPTS
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
BP
01543
07/11
AJ�
01/12/11
BP
BP
RECEIPTS
BP
01553
07/11
AJ
01/13/11
BP
BP
RECEIPTS
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
BP
0.1592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
BP
01609
07/11
AJ
01/20/11
BP
BP
RECEIPTS
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
BP
01659
07/11
AJ
01/26/11
BP
BP
RECEIPTS
BP
01666
07/11
AJ
01/27/11
BP
BP
RECEIPTS
BP
01673
07/11
AJ
01/28/11
BP
BP
RECEIPTS
BP
01679
07/11
AJ
01/31/11
BP
BP.RECEIPTS
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
PM
01701
08/11
AJ
02/03/11
JE 08-004
PRMT FEE/52685 VALLEJO
GM
01701
08/11
AJ
02/03/11
JE 08-004
PRMT FEE/52475 CARRANZA
BP
01735
08/11
AJ
02/04/11
BP
BP
RECEIPTS
BP
01744
08/11
AJ
02/07/11
BP
BP
RECEIPTS
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
BP
01807
08/11
AJ
02/11/11
BP
BP
RECEIPTS
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
BP
01827
08/11
AJ
02/16/11
BP
BP
RECEIPTS
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
BP
01861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
BP'01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
DEBITS CREDITS
207.00
134 '. 05
243.00
271.50
117.00
31950.50
616.50
954.50
11820.50
360.00
982.50
349.50
265.00
180.00
189.00
271.50
108.00
11233.00
983.00
443.00
81.00
144.00
99.00
1,847.00
63.00
63.00
54.00
72.00
414.50
851.50
699.00
23.00
45.00
261.00
117.00
45.00
51828.50
117.00
297.50
278.00
307.00
99.00
108.00
45.00
63.00
271.50
234.00
449.00
BEGINNING
/ENDING
BALANCE
PREPARED. -.,.7/2014, 10:19:00 GENERAL LEDGER __.�VITY LISTING P____027
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER - D E S C R I P t 1 0 N
101-5000-322.01-00
BP
0.1975
09/11
AJ
BP
01995
09/11
AJ
BP
01995
09/11
AJ
BP
02050
09/11
AJ
BP
02063
09/11
AJ
BP
02087
09/11
AJ
BP
02093
09/11
AJ
BP
02099
09/11
AJ
BP
02106
09/11
AJ
BP
02106
09/11
AJ
BP
02116
09/11
AJ
GM
02123
09/11
AJ
BP
02139
09/11
AJ
BP
02145
09/11
AJ
BP
02145
09/11
AJ
BP
02159
09/11
AJ
BP
02166
09/11
AJ
BP
02184
09/11
AJ
BP
02202
09/11
AJ
BP
02202
09/11
AJ
BP
02209
09/11
AJ
BP
02209
09/11
AJ
BP
02215
10/11
AJ
BP
02220
10/11
AJ
BP
02220
10/11
AJ
BP
02261
10/11
AJ
BP
02268
10/11
AJ
BP
02268
.10/11
AJ
tP
02330
10/11
AJ
BP
02336
10/11
AJ
BP
012336
10/11
AJ
BP
02342
10/11
AJ
BP
02362
10/11
AJ
BP
02368
10/11
AJ
GM
02316
10/11
AP
BP
02374
10/11
AJ
CR
02373
10/11
CR
Non -Business Licenses
03/04/11 BP
03/08/11 BP
03/08/11 BP
03/09/11 BP
03/11/11 BP
03/15/11 BP
03/16/11 BP
03/17/11 BP
03/18/11 BP
03/18/11 BP
03/21/11 BP
03/22/11 JE 09-044
03/22/11 BP
03/23/11 BP
03/23/11 BP
03/24/11 BP
03/25/11 BP
03/29/11 BP
03/30/11 BP
03/30/11 BP
03/31/11 BP
03/31/11 BP
04/01/11 BP
04/04/11 BP
04/04/11 BP
04/05/11 BP
04/06/11 BP
04/06/11 BP
04/12/11 BP
04/13/11 BP
04/13/11 BP
04/14/11 BP
04/18/11 BP
04/19/11 BP
04/19/11 0091655
11-383
04/20/11 BP
04/20/11 0017948
BP 02381 10/11 AJ 04/21/11 BP
BP 02381 10/11 AJ 04/21/11 BP
BP 02386 10/11 AJ 04/22/11 BP
BP 02398 10/11 AJ 04/26/11 BP
BP 02440 10/11 AJ 04/28/11 BP
BP 02446 10/11 AJ 04/29/11 BP
BP 02454 11/11 AJ 05/02/11 BP
BP 02454 11/11 AJ OS."02/11 BP
BP 02486 11/11 AJ 05/04/11 BP
BP 02486 11/11 AJ 05/04/11 BP
Building Permits
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
PRMT/77330 CALLE SONORA
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS'
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
LARA MASONRY
REFUND
BP RECEIPTS
BP & CK REQ/LUNAN, WAYNE
KBLONDELL 04/20/11 01
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
DEBITS CREDITS
4.50
15.00
351.00
258.00
450.00
362.50
108.00
117.00
382.00
414.00
2,130.50
328.00
72.00
549.50
356.50
4�8.00
877.50
797.50
122.00
42.00
441.50
1,657.50
1,203.00
524.00
99.00
349.50
207.00
414.50
171.00
45.00
15.00
252.00
99.00
718.50
998.50
899.00
4.50
171.00
2,144.50
661.00
41419.45
502.00
2,896.50
45.00
25.00
207.00
2,218.50
BEGINNING
/ENDING
BALANCE
PREPARED 17/2014, 10:19:00 GENERAL LEDGER m,,iIVITY LISTING PAGE1028
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5000-322.01-00
BP
02504
11/11
AJ
BP
02516
11/11
AJ
BP
02516
11/11
AJ
BP
02516
11/11
AJ
BP
02531
11/11
AJ
BP
02541
11/11
AJ
BP
02570
11/11
AJ
BP
02576.
11/11
AJ
BP
02576
11/11
AJ
BP
02583
11/11
AJ
BP
02611
11/11
AJ
BP
02631
11/11
AJ
CR
02630
11/11
CR
GM 02784 12/11 AP
BP 02640 11/11 AJ
BP 02663 11/11 AJ
BP 02670 11/11 AJ
BP 02670 11/11 AJ
BP 02679 11/11 AJ
BP 02699 11/11 AJ
BP 02699- 11/11 AJ
BP 02708 12/11 AJ
BP 02722 12/11' AJ
BP 02722 12/11 AJ
BP 02761 12/11 AJ
BP 02761 12/11 AJ
BP 02768 12/11 AJ
BP 02775 12/11 AJ
BP 02811 12/11 AJ
BP 02818 12/11 AJ
BP 02824 12/11 AJ
BP 02848 12/11 AJ
BP 02848 12/11 AJ
BP 02887 12/11 AJ
BP 02958 12/11 AJ
BP 02958 12/11 AJ
BP 02963 12/11 AJ
BP 02969 12/11 AJ
BP 02976 12/11 AJ
101-5000-522.02-00
BP 00026 01/11 AJ
BP OD026 01/11 AJ
BP 00040 01/11 AJ
Non -Business Licenses
05/06/11 BP
05/09/11 BP
05/09/11 BP
05/09/11 BP
05/10/11 BP
05/11/11 BP
05/13/11 BP
05/16/11 BP
05/16/11 BP
05/17/11 BP
05/19/11 BP
05/20/11 BP
05/20/11 0020100
05/20/11
11-521
05/23/11
05/24/11
05/25/11
05/25/11
05/26/11
05/27/11
05/27/11
06101111
06/03/11
06/03/11
06106111
06106111
06/07/11
06/08/11
06110111
06/13/11
06/14/11
06116111
06116111
06120111
06/23/11
06/23/11
06/24/11
06/27/11
06128111
0092281
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
BP
ACCOUNT TOTAL
Building Permits
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP & CK REQ/SUN VISTA
KBLONDELL 05/20/11 01
SUN VISTA DEVELOPMENT COR
PERMIT REFUND
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP -RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
Non -Business Licenses / Plumbing permits
07/01/10 BP BP'RECEIPTS
07/01/10 BP BP RECEIPTS
07/06/10 BP BP RECEIPTS
43.00
258.50
291.00
284.50
849.50
1,254.00
556.00
216.00
31918.00
271.50
63.00
634.00
727.00
,!�3. 00
1,780.50
786.50
2,508.00
109.00
997.00
252.00
11035.00
279.00
2,501.50
409.00
569.00
271.50
437.00
170.00
510.50
297.50
317.00
198.00
278.00
45.00
2,825.00
491.50
7,182.50
117.00
504.00
323.78 230,544.00 230,220.22CR
261.00
60.00
75.00
.00
PREPXRED -.--.7/2014, 10:19:00 GENERAL LEDGER .,-.IVITY LISTING Fmw�,029
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.02-00
Non -Business
Licenses Plumbing permits
BP
00047
01/11
AJ
07/07/10
BP
BP
RECEIPTS
18.00
BP
00059
01/11
AJ
07/09/10
BP
BP
RECEIPTS
30.75
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
33.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
84.00
BP
OD076
01/11
AJ
07/13/10
BP
BP
RECEIPTS
33.00
BP
00082
01/11
AJ
07/14/10
BP
BP
RECEIPTS
18.00
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
87.00
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
66.00
BP
00142
'01/11
AJ
07/20/10
BP
BP
RECEIPTS
82.50
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
33.00
BP
00160
01/11
AJ
07/22/10
BP
BP
RECEIPTS
133.50
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
273.00
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
18.00
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
43.50
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
130.50
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
87.00
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
36.00
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
268.50
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
39.00
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
18.00
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
66.00
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
22.50
BP
00269
02/11
AJ
08/06/10
BP
BP
RECEIPTS
55.50
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
57.00
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
42.00
BP
Q0322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
60.00
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
33.00
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
33.00
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
33.00
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
33.00
BP
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
27.00
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
42.00
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
66.00
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
36.00
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
124.50
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
72.00
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
83.25
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
18.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
45.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
33.00
BP
00539
03/11
AJ
09/03/10
BP
BP
RECEIPTS
108.00
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
18.00
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
30.00
BP
00566
03/11
AJ
09/09/10
BP
BP
RECEIPTS
267.00
BP
00585
03/11
AJ
09/10/10
BP
BP
RECEIPTS
87.00
BP
00598
03/11'
AJ
09/13/10
BP
BP
RECEIPTS
18.00
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
331.50
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
22.50
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
111.00
BEGINNING
/ENDING
BALANCE
PREPARED __7/2014, 10:19:00 GENERAL LEDGER __._'VITY LISTING PMW�4030
PROGIZAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5000-322.02-00 Non -Business
BP 00647 03/11 AJ 09/17/10 BP
BP 00653 03/11 AJ 09/20/10 BP
BP 00661 03/11 AJ 09/21/10 BP
BP 00661 03/11 AJ 09/21/10 BP
BP 00690 03/11 AJ 09/23/10 BP
BP 00690 03/11 AJ 09/23/10 BP
BP OJ)690 03/11 AJ 09/23/10 BP
BP 00696 03/11 AJ 09/24/10 BP
BP 00720 03/11 AJ 09/27/10 BP
BP 00720 03/11 AJ 09/27/10 BP
BP 00730 03/11 AJ 09/28/10 BP
BP 00740 03/11 AJ 09/29/10 BP
BP 00740 03/11 AJ 09/29/10 BP
BP 00746 03/11 AJ 09/30/10 BP
BP 00746 03/11 AJ 09/30/10 BP
BP 00755 04/11 AJ 10/01/10 BP
BP 00790 04/11 AJ 10/04/10 BP
BP 00797 04/11 AJ 10/05/10 BP
BP 00797 04/11 AJ 10/05/10 BP
BP 00811 04/11 AJ 10/07/10 BP
BP 00811 04/11 AJ 10/07/10 BP
BP 00864 04/11 AJ 10/12/10 BP
BP 00864 04/11 AJ 1'0/12/10 BP
BP 00870 04/11 AJ 10/13/10 BP
BP 00893 04/11 AJ 10/18/10 BP
BP 00906 04/11 AJ 10/20/10 BP
BP 00949 04/11 AJ 10/22/10 BP
BP 00959 04/11 AJ 10/25/10 BP
BP 00959 04/11 AJ 10/25/10 BP
BP 00965 04/11 AJ 10126110 BP
GM 00925 04/11 AJ 10/27/10 JE
BP 00972 04/11 AJ 10/27/10 BP
BP 00981 04/11 AJ 10/28/10 BP
BP 00988 04/11 AJ 10/29/10 BP
GM 00917 04/11 AJ 10/31/10 JE
BP 01010 05/11 AJ 11/01/10 BP
BP 01017 05/11 AJ 11/02/10 BP
BP 01017 05/11 AJ 11/02/10 BP
BP 01051 05/11 AJ 11/04/iO BP
BP 01076 05/11 AJ 11/08/10 BP
BP 01087 05/11 AJ 11/09/10 BP
BP 01087 05/11 AJ 11/09/10 BP
BP 01119 05/11 AJ 11/12/10 BP
BP 01119 05/11 AJ 11/12/10 BP
BP 01126 05/11 AJ 11/15/10 BP
BP 01126 05/11 AJ 11/15/10 BP
BP 01133 05/11 AJ 11116110 BP
BP 01142 05/11 AJ 11/17/10 BP
BP 01142 05/11 AJ 11/17/10 BP
DEBITS CREDITS
Licenses Plumbing permits
BP
RECEIPTS
126.75
BP
RECEIPTS
126.00
BP
RECEIPTS
621.75
BP
RECEIPTS
18.00
BP
RECEIPTS
423.75
BP
RECEIPTS
55.50
BP
RECEIPTS
36.00
BP
RECEIPTS
33.00
BP
RECEIPTS
90.00
BP
RECEIPTS
27.00
BP
RECEIPTS
123.00
BP
RECEIPTS
22.50
BP
RECEIPTS
110510.00
BP
RECEIPTS
307.50
BP
RECEIPTS
36.00
BP
RECEIPTS
396.00
BP
RECEIPTS
66.00
BP
RECEIPTS
106.50
BP
RECEIPTS
18.00
BP
RECEIPTS
70.50
BP
RECEIPTS
18.00
BP
RECEIPTS
33.00
BP
RECEIPTS
108.00
BP
RECEIPTS
105.00
BP
RECEIPTS
241.50
BP
RECEIPTS
51.00
BP
RECEIPTS
18.00
BP
RECEIPTS
18.00
BP
RECEIPTS
177.00
BP
RECEIPTS
33.00
04-023 PRMT FEES/52900 RAMIREZ
30.00
BP
RECEIPTS
49.50
BP
RECEIPTS
27.00
BP
RECEIPTS
27.00
04-016 PRMT FEE/CNG/FIRE STN#32
33.00
BP
RECEIPTS
30.00
BP
RECEIPTS
93.00
BP
RECEIPTS
36.00
BP
RECEIPTS
90.00
BP
RECEIPTS
39.00
BP
RECEIPTS
33.00
BP
RECEIPTS
18.00
BP
RECEIPTS
67.50
BP
RECEIPTS
18.00
BP
RECEIPTS
286.50
BP
RECEIPTS
33.00
BP
RECEIPTS
BP
RECEIPTS
.18.00
33.00
BP
RECEIPTS
27.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER --.1VITY LISTING PAWC1631
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101.General
Fund
BEGINNING
GROUP
ACCTG
/ENDING
APP
NUMBER
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0 N
16EBITS CREDITS BALANCE
101m5000m322.02m00
NonmBusiness Licenses
Plumbing
permits
BP
01149
05/11-
AJ
11/18/10
BP
BP
RECEIPTS
27.00
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
96.00
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
30.00
BP
01192
05/11
AJ
11/22/10
BP
BP
RECEIPTS
54.00
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
73.50
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
138.00
BP
01218
05/11
AJ
11/29/10
BP
BP
RECEIPTS
112.50
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
33.00
BP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
51193.00
BP
01275
06111
AJ
12/02/10
BP
BP
RECEIPTS
153.00
BP
01280
06/11
AJ
12/03/10
BP
BP
RECEIPTS
33.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
33.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
293.25
BP
01302
06111
AJ
12/08/10
BP
BP
RECEIPTS
157.50
BP
01308
06111
AJ
12/09/10
BP
BP
RECEIPTS
51.00
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
33.00
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
94.50
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
274.50
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
264.00
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
216.00
BP
01358
06111
AJ
12/16/10
BP
BP
RECEIPTS
27.00
0
01358
06111
AJ
12/16/10
BP
BP
RECEIPTS
33.00
BP
01440
06111
AJ
12/23/10
BP
BP
RECEIPTS
28.50
BP
04445
06111
AJ
12/27/10
BP
BP
RECEIPTS
30.00
BP
01452
06111
AJ
12/28/10
BP
BP
RECEIPTS
69.00
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
33.00
BP
01484
07/11
AJ
01/03/11
BP
IBP
RECEIPTS
45.00
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
33.00
GM
01514
07/11
AP
01/05/11
0090317
MCINTYRE
POOLS & SPAS
33.00
10-1364
REFUND
BP
01501
07/11
AJ
01/06/11
BP
BP
RECEIPTS
567.00
BP
01506
07/11
AJ
01/07/11
BP
BP
RECEIPTS
55.50
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
88.50
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
259.50
BP
01543
07/11
AJ
01/12/11
BP
BP
RECEIPTS
51.00
BP
01553
07/11
AJ
01/13/11
BP
BP
RECEIPTS
121.50
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
18.00
BP
01592
07/11.
AJ
01/18/11
BP
BP
RECEIPTS
33.00
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
18.00
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
42.00
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
28.50
BP
01609
07/11
AJ
01/20/11
BP
BP
RECEIPTS
73.50
BP
01615
07/11
AJ
01/21/11
BP
BP
RECEIPTS
18.00
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
72.00
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
30.00
BP
01650.
07/11
AJ
01/25/11
BP
BP
RECEIPTS
99.00
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
261.00
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
33.00
BP
01673
07/11
AJ
01/28/11
BP
BP
RECEIPTS
18.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __.1VITY LISTING PMUCLO32
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
J;ROUP ACCTG -----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.02-00
Non -Business
Licenses
Plumbing permits
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
27.00
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
279.75
BP
01735
08/11
AJ
02/04/11
BP
BP
RECEIPTS
36.00
BP
01744
08/11
AJ
02/07/11
BP
BP
RECEIPTS.
58.50
BP
01,751
08/11
AJ
02/08/11
BP
BP
RECEIPTS
18.00
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
61.50
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
54.00
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
33.00
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
85.50
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
18.00
BP
Oa827
08/11
AJ
02116111
BP
BP
RECEIPTS
18.00
BP
01827
08/11
AJ
02116111
BP
BP
RECEIPTS
45.00
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
735.75
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
33.00
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
33.00
BP
01*861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
30.00
GM
01842
08/11
AJ
02/24/11
JE
08-020
PRMT FEE/52791 MENDOZA
30.00
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
27.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
33.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
21.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
18.00
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
90.00
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
18.00
t. M
01961
09/11
AJ
03/07/11
JE
09-016
PRMT FEES 52390 AVE VILLA
30.00
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
114.00
BP
04995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
36.00
BP
02050
09/11
AJ
03/09/11
BP
BP
RECEIPTS
24.00
BP
02057
09/11
AJ
03/10/11
BP
BP
RECEIPTS
30.00
BP
02063
09/11
AJ
03/11/11
BP
BP
RECEIPTS
75.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
60.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
269.25
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
42.00
GM
02123
09/11
AJ
03/22/11
JE
09-044
PRMT/52050 AVE CARRANZA
50.00
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
60.00
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
36.00
BP
02145
09/11
AJ
03/23/11
BP.
BP
RECEIPTS
33.00
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
220.50
BP
02166
09/11
AJ
03/25/11
BP
BP
RECEIPTS
120.00
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
134.25
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
33.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
222.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
312.00
BP
02215
10/11
AJ
04/01/11
BP
BP
RECEIPTS
33.00
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
18.00
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
51.00
BP
02261
10/11
AJ
04/05/11
BP
BP
RECEIPTS
39.00
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
33.00
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
33.00
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
48.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .,-.-'VITY LISTING P___.D33
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322,02-00
Non -Business
Licenses Plumbino permits
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
30.00
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
33.00
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
18.00
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
42.00
BP
02368
10/11
AJ
04/19/11
BP
BP
RECEIPTS
72.00
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
99.00
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
225.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
27.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
267.00
BP
02386
10/11
AJ
04/22/11
BP
BP
RECEIPTS
99.00
BP
02391
10/11
AJ
04/25/11
BP
BP
RECEIPTS
30.00
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
466.50
BP
02430
10/11
AJ
04/27/11
BP
BP
RECEIPTS
30.00
BP
02440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
64.50
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
21.00
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
94.50
BP
02454
11/11
AJ
05/02/11
BP
BP
RECEIPTS
30.00
BP
02454
11/11
AJ
05/0-2/11
BP
BP
RECEIPTS
43.50
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
48.00
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
407.25
BP
02498
11/11
AJ
05/05/11
BP
BP
RECEIPTS
45.00
BP
02504
11/11
AJ
05106111
BP
BP
RECEIPTS
33.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
33.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
33.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
84.75
0
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
21.00
BP
02531
11/11
AJ
05/10/11
BP
BP
RECEIPTS
42.00
BP
0-2541
11/11
AJ
05/11/11
BP
BP
RECEIPTS
66.00
BP
02576
11/11
AJ
05116111
BP
BP
RECEIPTS
525.75
BP
02576
11/11
AJ
05116111
BP
BP
RECEIPTS
33.00
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
48.00
BP
02604
11/11
AJ
05/18/11
BP
BP
RECEIPTS
30.00
BP
02611
11/11
AJ
05/19/11
BP
BP
RECEIPTS
78.00
BP
02631
11/11
AJ
05/20/11
BP
BP
RECEIPTS
60.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
30.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
229.50
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
81.00
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
257.25
BP
02679
11/11
AJ
05126111
BP
BP
RECEIPTS
93.00
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
186.75
BP
02708
12/11
AJ
06101111
BP
BP
RECEIPTS
27.00
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
298.50
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
51.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
66.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
78.00
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
63.00
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
21.00
BP
02811
12/11
AJ
06110111
BP
BP
RECEIPTS
27.00
BP
02818
12/11
AJ
06/13/11
BP
BP
RECEIPTS
61.50
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .__._VITY LISTING P---.334
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------- 1 ----------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING.
GROUP ACCTG ---- TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
--- - ---- - ---------------------- ---- ------- ---------------- -- -- - ----- - ------------ ----- ---- ----- - --------------------------- ---- ------
101.-5000-322.02-00 Non -Business
BP 02824 12/11 AJ 06/14/11 BP
BP 02848 12/11 AJ 06116111 BP
BP 02848 12/11 AJ 06116111 BP
BP 02887 12/11 AJ 06/20/11 BP
BP 02958 12/11 AJ 06/23/11 BP
BP 02958 12/11 AJ 06/23/11 BP
BPI 02963 12/11 AJ 06/24/11 BP
BP 02976 12/11 AJ 06128111 BP
Licenses / Plumbing permits
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
ACCOUNT TOTAL
33.00
33.00
76.50
42.00
510.75
66.00
1,077.00
66.00
33.00 29,686.50
. 101-5000-322.03-00
Non -Business
Licenses / Mechanical Permits
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
251.50
BP
OD040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
33.00
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
73.00
BP
00053
01/11
AJ
07/08/10
BP
BP
RECEIPTS
66.50
BP
00059
01/11
AJ
07/09/10
BP
BP
RECEIPTS
21.50
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
26.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
46.00
BP
00076
01/11
AJ
07/13/10
BP
0
RECEIPTS
26.00
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
26.00
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
24.00
BP
00129
01/11
AJ
07/16/10
BP
BP
RECEIPTS
117.00
BP
00129
01/11
AJ
07/16/10
BP
BP
RECEIPTS
64.50
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
52.00
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
76.50
tP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
48.50
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
26.00
BP
00160
01/11
AJ
07/22/10
BP
BP
RECEIPTS
101.00
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
137.00
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
39.50
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
171.00
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
59.00
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
33.00
BP
00214.
01/11
AJ
07/29/10
BP
BP
RECEIPTS
59.00
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
155.00
BP
00220
01/11
AJ
07/30/10
BP
BP
RECEIPTS
33.00
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
84.00
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
33.00
BP
00246
02/11
AJ
08/03/10
BP
BP
RECEIPTS
123.50
BP
00246
02/11
AJ
08/03/10
BP
BP
RECEIPTS
33.00
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
52.00
BP
00269
02/11
AJ
08106110
BP
BP
RECEIPTS
64.00
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
158.50
BP
00303
02/11
AJ
08/11/10
BP
BP
RECEIPTS
117.00
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
30.50
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
106.50
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
118.00
29,653.50CR'
.00
PREPARED _-7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
.101-5000-322.03-00
Non -Business
Licenses Mechanical Permits
BP
00336
02/11
AJ
08/16/10
BP
BP
RECEIPTS
73.50
BP
OJ)372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
26.00
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
73.50
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
26.00
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
26.00
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
178.50
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
26.00
BP
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
71.00
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
178.00
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
33.00
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
72.50
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
33.00
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
40.50
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
42.00
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
33.00
BP
00483
02/11
AJ
08126110
BP
BP
RECEIPTS
149.50
BP
0,0483
02/11
AJ
08126110
BP
BP
RECEIPTS
33.00
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
262.00
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
50.00
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
92.00
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
33.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
24.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
26.00
BP
00539
03/11
AJ
09/03/10
BP
BP
RECEIPTS
71.50
BP
00548
03/11
AJ
09/07/10
BP
BP
RECEIPTS
135.00
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
198.00
BP
00566
03/11
AJ
09/09/10
BP
BP
RECEIPTS
282.50
BP
00585
03/11
AJ
09/10/10
BP
BP
RECEIPTS
74.50
BP
00598
03/11
AJ
09/13/10
BP
BP
RECEIPTS
33.00
tP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
224.50
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
33.00
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
81.00
BP
00647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
88.00
BP
00653
03/11
AJ
09/20/10
BP
BP
RECEIPTS
216.50
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
453.00
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
33.00
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
285.50
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
39.50
BP
00696
03/11
AJ
09/24/10
BP
BP
RECEIPTS
26.00
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
52.00
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
24.00
BP
00730
03/11
AJ
09/28/10
BP
BP
RECEIPTS
102.00
BP
00740.
03/11
AJ
09/29/10
BP
BP
RECEIPTS
33.00
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
654.00
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
152.50
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
37.00
BP
00755
04/11
AJ
10/01/10
BP
BP
RECEIPTS
333.50
BP
00790
04/11
AJ
10/04/10
BP
BP
RECEIPTS
165.00
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
52.50
BEGINNING
/ENDING
BALANCE
PREPARED __7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING P"--.336
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------
FUND 101
General
Fund
-------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0 N
DEBITS CREDITS BALANCE
101-5000-322.03-00
Non -Business Licenses
Mechanical
Permits
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
40.50
BP
00804
04/11
AJ
10106110
BP
BP
RECEIPTS
66.00
BP
00804
04/11
AJ
10106110
BP
BP
RECEIPTS
.24.00
BP
09811
04/11
AJ
10/07/10
BP
BP
RECEIPTS
94.00
BP
00817
04/11
AJ
10/08/10
BP
BP
RECEIPTS
69.00
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
42.50
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
59.00
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
71.50
BP
00870
04/11
AJ
10/13/10
BP
BP
RECEIPTS
93.00
BP
00880
04/11
AJ
10/14/10
BP
BP
RECEIPTS
66.00
BP
00887
04/11
AJ
10/15/10
BP
BP
RECEIPTS
33.00
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
173.00
BP
00899
04/11
AJ
10/19/10
BP
BP
RECEIPTS
99.00
BP
00906
04/11
AJ
10/20/10
BP
BP
RECEIPTS
85i0o
BP
00936
04/11
-AJ
10/21/10
BP
BP
RECEIPTS
24.00
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
99.00
BP
00965
04/11
AJ
10/26/10
BP
BP
RECEIPTS
92.00
BP
00972
04/11
AJ
10/27/10
BP
BP
RECEIPTS
77.00
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
33.00
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
42.50
BP
00988
04/11
AJ
10/29/10
BP
BP
RECEIPTS
45.50
GM
00917
04/11
AJ
10/31/10
JE 04-016
PRMT
FEES/52900 RAMIREZ
38.00
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
59.00
BP
01041
05/11
AJ
11/03/10
BP
BP
RECEIPTS
33.00
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
105.50
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
33.00
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
26.00
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
120.00
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
83.00
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
33.00
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
201.00
tP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
143.00
BP
01133
05/11
AJ
11/16/10
BP
BP
RECEIPTS*
51.00
BP
H142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
26.00
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
26.00
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
59.00
BP
01192
05/11
AJ
11/22/10
BP.
BP
RECEIPTS
59.00
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
107.50
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
249.50
BP
01218
05/11
AJ
11/29/10
SP
BP
RECEIPTS
69.50
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
92.00
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
33.00
BP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
3,287.50
BP
01275
06/11
AJ
12/02/10
BP
BP
RECEIPTS
107.00
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
26.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
92.00
BP
01287
06111
AJ
12106110
BP
BP
RECEIPTS
201.50
BP
01295
06/11
AJ
12/07/10
BP
BP
RECEIPTS
33.00
BP
01302.
06/11
AJ
12/08/10
BP
BP
RECEIPTS
33.00
PREPARED -.,-7/2014, 10:19:00 GENERAL LEDGER __._'VITY LISTING P-.337
PROGkAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5000-322.03-00
BP 01302 06111 AJ
BP 01308 06111 AJ
BP 01308 06111 AJ
BP 01315 06111 AJ
BP 01322 06111 AJ
BP OJ322 06111 AJ
BP -01331 06111 AJ
BP 01331 06111 AJ
BP 01352 06111 AJ
BP 01352 06111 AJ
BP 01358. 06111 AJ
BP 01358 06111 AJ
BP 01405 06111 AJ
BP 01412 06111 AJ
BP 01440 06111 AJ
BP 01452 06111 AJ
BP 01460 06111 AJ
BP 01484 07/11 AJ
BP 01484 07/11 AJ
BP 01484 07/11 AJ
GM Oa514 07/11 AP
GM 01514 07/11 AP
BP 01501 07/11 AJ
BP 01506 07/11 AJ
BP 01522 07/11 AJ
BP 01522 07/11 AJ
BP 01543 07/11 AJ
BP 01553 07/11 AJ
BP 01586 07/11 AJ
BP 01592 07/11 AJ
BP Oi592 07/11 AJ
tP 01599 07/11 AJ
BP 01609 07/11 AJ
BP 0-1621 07/11 AJ
BP 01650 07/11 AJ
GM 01626 07/11 AJ
GM 01626 07/11 AJ
BP 01659 07/11 AJ
BP 01659 07/11 AJ
BP 01666 07/11 AJ
BP 01724 08/11 AJ
BP 01744 08/11 AJ
BP 01762 08/11 AJ
BP 01762 08/11 AJ
BP 01813 08/11 AJ
BP 01834 08/11 AJ
BP 01848 08/11 AJ
Non -Business Licenses
12/08/10 BP
12/09/10 BP
12/09/10 BP
12/10/10 BP
12/15/10 BP
12/13/10 BP
12/14/10 BP
12/14/10 BP
12/15/10 BP
-12/15/10 BP
12/16/10 BP
12/16/10 BP
12/17/10 BP
12/20/10 BP
12/23/10 BP
12/28/10 BP
12/29/10 BP
01/03/11 BP
01/03/11 BP
01/03/11 BP
01/05/11 0090304
10-1359
01/05/11 0090317
10-1364
01/06/11 BP
01/07/11 BP
01/10/11 BP
01/10/11 BP
01/12/11 BP
01/13/11 BP
01/14/11 BP
01/18/11 BP
01/18/11 BP
01/19/11 BP
01/20/11 BP
01/24/11 BP
01/25/11 BP
01126111 JE 07-024
01/26/11 JE 07-024
01126111 BP
01/26/11 BP
01/27/11 BP
02/02/11 BP
02/07/11 BP
02/09/11 BP
02/09/11 BP
02/14/11 BP
02/17/11 BP
02/18/11 BP
Mechanical Permits
BP RECEIPTS
.BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
HYDES
REFUND
MCINTYRE POOLS
REFUND
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
PRMT FEE/52685
PRMT FEE/52475
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
BP RECEIPTS
& SPAS
VALLEJO
CARRANZA
DEBITS CREDITS
51.63
26.00
31.50
35.00
59.00
26.00
90.00
81.00
146.00
223.50
174.50
33.00
37.00
26.00
84.00
650.00
19.50
66.00
66.00
26.00
40.50
26.00
388.50
114.50
103.50
281.00
26.00
70.50
85.50
.26.00
40.50
19.50
33.00
52.00
78.00
40.50
40.50
215.50
26.00
33.00
236.00
26.00
37.00
68.50
30.50
574.50
26.00
BEGINNING*
/ENDING
BALANCE
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER --.�VITY LISTING
P--038
PROGRAM
GM362LA
CITY OF
--------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
r ---------------
BEGINNING
GROUP ACCTG
---- TRANSACTION
----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE ,
NUMBER D
E S C R I P T 1 0 N DEBITS
CREDITS
BALANCE
.101-5000-322.03-60
Nori-Business
Licenses
Mechanical Permits
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
92.00
BP
01861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
24.00
GM
01842
08/11
AJ
02/24/11
JE 08-020
PRMT FEE/77330 SONORA
40.50
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
37.00
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
51.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
26.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
66.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
26.00
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
47.50
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
51.00
BP
01989
09/11
AJ
03/07/11
BP
BP
RECEIPTS
66.00
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
74.00
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
37.00
BP
02050
09/11
AJ
03/09/11
BP
BP
RECEIPTS
87.50
BP
02063
09/11
AJ
03/11/11
BP
BP
RECEIPTS
26.00
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
51.00
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
33.00
BP
02099
09/11
AJ
03/17/11
BP
BP
RECEIPTS
64.50
BP
02099
09/11
AJ
03/17/11
BP
BP
RECEIPTS
66.50
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
52.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS.
201.50
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
31.50
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
94.50
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
31.50
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
121.00
BP
02139
09/11
Aj
03/22/11
BP
BP
RECEIPTS
40.50
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
35.00
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
59.00
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
77.50
BP
02166
09/11
AJ
03/25/11
BP
BP
RECEIPTS
78.00
BP
02,172
09/11
AJ
03/28/11
BP
BP
RECEIPTS
117.00
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
77.50
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
106.50
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
26.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
210.50
BP
02209
09/11
-AJ
03/31/11
BP
BP
RECEIPTS
147.50
BP
02215
10/11
AJ
04/01/11
BP
BP
RECEIPTS
86.00
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
57.00
BP
02261
10/11
AJ
04/05/11
BP
BP
RECEIPTS
66.50
BP
02268
10/11
AJ
04/06/il
BP
BP
RECEIPTS
24.00
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
59.00
BP
02324
10/11
AJ
04/11/11
BP
BP
RECEIPTS
138.00
BP
02324.
10/11
AJ
04/11/11
BP
BP
RECEIPTS
40.50
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
24.00
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
99.50
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
130.50
BP
02356
10/11
AJ
'04/15/11
BP
BP
RECEIPTS
40.50
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
47.50
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
64.50
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .._.JVITY *LISTING P___039
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
1;ROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.03-00
Non -Business Licenses
Mechanical Permits
BP
02368
10/11
AJ
04/19/11
BP
BP
RECEIPTS
60.50
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
52.00
GM
02317
10/11
AJ
04/21/11
JE 10-011
PRMT FEES/52681 MENDOZA.
40.50
GM
02317
10/11
AJ
04/21/11
JE 10-011
PRMT FEES/52050 CARRANZA
40.50
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
26.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
226.50
BP
02386
10/11
AJ
04/22/11
BP
BP
RECEIPTS
58.50
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
280.00
BP
02440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
90.50
BP
0.2446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
101.00
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
40.50
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
228.50
BP
02498
11/11
AJ
05/05/11
BP
BP
RECEIPTS
64.50
BP
02504
11/11
AJ
05106111
BP
BP
RECEIPTS
26.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
26.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
26.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
105.00
BP
02531
11/11
AJ
05/10/11
BP
BP
RECEIPTS
241.50
BP
02541
11/11
AJ
05/11/11
BP
BP
RECEIPTS
52.00
BP
02564
11/11
AJ
05/12/11
BP
BP
RECEIPTS
97.50
BP
02570
11/11
AJ
05/13/11
BP
BP
RECEIPTS
77.50
BP
02576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
346.00
BP
02576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
81.00
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
40.50
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
66.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
246.50
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
33.00
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
52.00
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
40.50
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
258.50
BP
02679
11/11
AJ
05126111
BP
'BP
RECEIPTS
118.00
BP
02679
11/11
AJ
05/26/11
BP
BP
RECEIPTS
40.50
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
63.00
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
123.00
BP
02708'
12/11
AJ
06/01/11
BP
BP
RECEIPTS
196.50
BP
02708
12/11
AJ
06101111
BP
BP
RECEIPTS
57.00
BP
02715
12/11
AJ
06102111
BP
BP
RECEIPTS
105.00
tP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
278.50
BP
02761�
12/11
AJ
06106111
BP
BP
RECEIPTS
52.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
81.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
66.50
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
59.00
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
40.50
BP
02796
12/11
AJ
06/09/11
BP
BP
RECEIPTS
33.00
BP
02811
12/11
AJ
-06/10/11
BP
BP
RECEIPTS
64.50
BP
02818
12/11
AJ
06/13/11
BP
BP
RECEIPTS
39.50
BP
02824
12/11
AJ
06/14/11
BP
BP
RECEIPTS
107.00
BP
02836
12/11
AJ
06/15/11
BP
BP
RECEIPTS
40.50
BP
02848
12/11
AJ
06116111
BP
BP
RECEIPTS
90.50
BEGINNING
/ENDING
BALANCE
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER ..-.I.VITY LISTING
P___040
PROGRAM
GM362LA
CITY OF LA
-----------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
-------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
-------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0 N DEBITS
------------------------------------------------------------------------------------
CREDITS
BALANCE
101-5000-322.03700
Non -Business Licenses
Mechanical'Permits
BP
02848
12/11
AJ
06116111
BP
BP
RECEIPTS
107.00
BP
02860
12/11
AJ
06/17/11
BP
BP
RECEIPTS
31.50
BP
02887
12/11
AJ
06/20/11
BP
BP
RECEIPTS
71.00
BP
02894
12/11
AJ
06121111
BP
BP
RECEIPTS
66.00
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
505.50
BP
02958
12/11
AJ '06/23/11
BP
BP
RECEIPTS
52.00
BP
02963
12/11
AJ
06/24/11
BP
BP
RECEIPTS
675.50
BP
02969
12/11
AJ
06/27/11
BP
BP
RECEIPTS
24.00
BP
02969
12/11
AJ
06/27/11
BP
BP
RECEIPTS
31.50
BP
02976
12/11
AJ
06128111
BP
BP
RECEIPTS
52.00
BP
02976
12/11
AJ
06/28/11
BP
BP
RECEIPTS
66.00
BP
02990
12/11
AJ
06/30/11
BP
BP
RECEIPTS
30.50
ACCOUNT TOTAL
77.63
29,278.00
29,200.37CR
101-5000-322.04-00
Non -Business Licenses
Electrical
Permits
.00
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
248.08
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
141.75
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
82.54
BP
00047
01/11
AJ
07/07/10
BP
BP
RECEIPTS
33.50
BP
00053
01/11
AJ
07/08/10
BP
BP
RECEIPTS
74.75
BP
00059
01/11
AJ
07/09/10
BP
BP
RECEIPTS
95.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
45.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
34.05
BP
00076
01/11
AJ
07/13/10
BP
BP
RECEIPTS
45.00
BP
OD120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
61.50
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
90.00
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
58.05
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
33.50
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
45.00
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
34.50
BP
00160
01/11
AJ
07/22/10
BP
BP
RECEIPTS
104.52
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
259.62
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
30.12
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
143.20
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
153.00
BP
00214
01/11
AJ
0/29/10
BP
BP
RECEIPTS
65.70
AP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
212.70
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
50.75
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
45.00
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
15.00
BP
00269
02/11
AJ
08/06/10
BP
BP
RECEIPTS
72.30
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
44.46
BP
00295
02/11
AJ
08/10/10
BP
BP
RECEIPTS
33.50
BP
00303
02/11
AJ
08/11/10
BP
BP
RECEIPTS
36.00
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
65.30
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
90.00
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
45.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER _.IVITY LISTING P____041
PROGRAM GM362LA
CITY -OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
. GROUP ACCTG --.--TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101%5000-322.04-00
Non -Business
Licenses Electrical Permits
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
63.68
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
45.00
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
34.50
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
45.00
BP
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
114.16
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
20.25
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
84.00
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
78.00
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
31.50
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
90.00
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
60.00
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
67.50
BP
00502
02/11
AJ
08/30/10'
BP
BP
RECEIPTS
207.42
BP
OJ)502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
88.80
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
50.75
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
91.50
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
41.17
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
41.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
87.35
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
45.00
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
18.00
BP
00539
03/11
AJ
09/03/10
BP
BP
RECEIPTS
108.85
BP
00548
03/11
AJ
09/07/10
BP
BP
RECEIPTS
116.25
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
15.75
BP
00566
.03/11
AJ
09/09/10
BP
-BP
RECEIPTS
355.69
BP
00585
03/11
AJ
09/10/10
BP
BP
RECEIPTS
35.25
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
284.94
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
80.08
BP
0,0647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
106.73
BP
00653
03/11
AJ
09/20/10
BP
BP
RECEIPTS
76.35
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
416.75
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
15.75
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
308.91
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
31.23
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
39.00
BP
00696
03/11
AJ
09/24/10
BP
BP
RECEIPTS
78-.50
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
90.00
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
45.00
-BP
00730
03/11
AJ
09/28/10
BP
BP
RECEIPTS
159.00
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
832.28
.AP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
211.20
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
27.41
BP
00755
04/11
AJ
10/01/10
BP
BP
RECEIPTS
540.00
BP
00790
04/11
AJ
10/04/10
BP
BP
RECEIPTS
24.00
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
123.64
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
16.50
BP
00811
04/11
AJ
10/07/1'0
BP
BP
RECEIPTS
110.75
BP
00811
04/11
AJ
10/07/10
BP
BP
RECEIPTS
15.75
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
45.00
BEGINNING
/ENDING
BALANCE
PREPARED ----7/20142 10:19:00 GENERAL LEDGER ..-.-rVITY LISTING P___042
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER , D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.04-00
Non -Business Licenses
Electrical Permits
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
96.45
BP
0870
04/11
AJ
10/13/10
BP
BP
RECEIPTS
99.85
BP
00880
04/11
AJ
10/14/10
BP
BP
RECEIPTS
30.00
BP
00693
04/11
AJ
10/18/10
BP
BP
RECEIPTS
231.53
BP
00906
04/11
AJ
10/20/10
BP
BP
RECEIPTS
45.00
BP
00949
04/11
AJ
10/22/10
BP
BP
RECEIPTS
19.50
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
49.25
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
310.45
BP
00965
04/11
AJ
10/26/10
BP
BP
RECEIPTS
.45.00
BP
00972
04/11
AJ
10/27/10
BP
BP
RECEIPTS
78.50
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
60.75
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
60.00
BP
00988
04/11.
AJ
10/29/10
BP
BP
RECEIPTS
63.12
GM
00917
04/11
AJ
10/31/10
JE 04-016
PRMT FEE/CNG/FIRE STN#32
33.50
BP
01010
05/11
AJ
11/01/10
BP
BP
RECEIPTS
33.00
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
29.67
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
30.00
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
31.50
BP
01051
05/11
AJ
11/04/10
BP
BP
RECEIPTS
60.00
BP
01051
05/11
AJ
11/04/10
BP
BP
RECEIPTS
15.75
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
138.95
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
45.00
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
30.00
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
46.50
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
66.50
BP
01119
05/11
AJ
11112110
BP
BP
RECEIPTS
117.70
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
15.75
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
280.76
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
45.00
BP
01133
05/11
AJ
11116110
BP
BP
RECEIPTS
15.75
BP
Oal42
05/11
AJ
11/17/10
BP
BP
RECEIPTS
45.00
BP
01142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
52.50
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
22.50
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
78.50
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
90.00
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
30.00
BP
01192
05/11
AJ
11/22/10
BP
BP
RECEIPTS
106.50
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
125.75
BP
01206
05/11
AJ
11/24/10.BP
BP
RECEIPTS
389.28
GM
01168
05/11
AJ
11/29/10
AJE 05-016
PRMT FEES/FIRE STN #32
47.75
BP
01218
05/11
AJ
11/29/10
BP
IBP
RECEIPTS
129.04
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
45.00
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
30.00
tP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
3,601.00
BP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
33.50
BP
01275
06111
AJ
12/02/10
BP
BP
RECEIPTS
100.20
BP
01275
06/11
AJ
12/02/10
BP
BP
RECEIPTS
30.00
BP
01280
06/11
AJ
12/03/10
BP
BP
RECEIPTS
45.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
45.00
BEGINNING
/ENDING
BALANCE
PREPARED .,,,7/2014, 10:19:00 GENERAL LEDGER __._VITY LISTING P� --- J43
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5000-322.04-00
Non -Business Licenses
Electrical Permits
BP
01287
06/11
AJ
12106110
BP
BP
RECEIPTS
BP
01308
06/11
AJ
12/09/10
BP
BP
RECEIPTS
BP
01308
06/11
AJ
12/09/10
BP
BP
RECEIPTS
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
BP
01322
06/11
AJ
12/13/10
BP
BP
RECEIPTS
BP
01351
06111
AJ
12/14/10
BP
BP
RECEIPTS
BP
01351
06111
AJ
12/14/10
BP
BP
RECEIPTS
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
BP
01358
06/11
AJ
12/16/10
BP
BP
RECEIPTS
BP
01358
06111
AJ
12116110
BP
BP
RECEIPTS
BP
01435
06111
AJ
12/22/10
BP
BP
RECEIPTS
BP
01440
06111
AJ
12/23/10
BP
BP
RECEIPTS
BP
01445
06111
AJ
12/27/10
BP
BP
RECEIPTS
BP
01452
86/11
AJ
12/28/10
BP
BP
RECEIPTS
BP
01466
06/11
AJ
12/30/10
BP
BP
RECEIPTS
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
BP
01484
07111
AJ
01/03/11
BP
BP
RECEIPTS
BP
01490
07/11
AJ
01/04/11
BP
BP
RECEIPTS
GM
01514
07/11
AP
01/05/11
0090317
MCINTYRE POOLS & SPAS
10-1364-
REFUND
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
BP
01506
07/11
AJ
01/07/11
BP
BP
RECEIPTS
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
BP
01532
07/11
AJ
01/11/11
BP
BP
RECEIPTS
BP
01543
07/11
AJ
01/12/11
BP
BP
RECEIPTS
BP
01553
07/11
AJ
01/13/11
BP
BP
RECEIPTS
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
bP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
BP
Oa592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
BP
01609
07/11
AJ
01/20/11
BP
BP
RECEIPTS
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
BP
01659
*07/11
AJ
01/26/11
BP
BP
RECEIPTS
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
BP
01666
07/11
AJ
01/27/11
BP
BP
RECEIPTS
BP
01673
07/11
AJ
01/28/11
BP
BP
RECEIPTS
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
BP
01735
08/11
AJ
02/04/11
BP
BP
RECEIPTS
BP
01744
08/11
AJ
02/07/11
BP
BP
RECEIPTS
BP
H751
08/11
AJ
02/08/11
BP
BP
RECEIPTS
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
DEBITS CREDITS
45.00
211.22
16.50
115.50
.45.00
81.35
19.50
266.01
275.72
167.63
40.35
60.75
30.00
17.45
15.75
40.50
33.00
45.00
45.00
60.00
558.61
45.00
116.84
253.92
30.00
60.75
196.05
33.50
23,.02
78.50
33.50
87.90
41.10
65.00
34.41
135.00
5 05.62
62.2.5
67.80
16.50
75.00
15.75
222.56
134.00
46.20
51.02
33.50
23.51
BEGINNING
/ENDING
BALANCE
PREP)kRED -..-7/2014, 10:19:00 GENERAL LEDGER __._VITY LISTING P_-044
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P
DEBITS CREDITS
101-5000-322.04-00
Non -Business Licenses
Electrical Permits
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
36.30
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
15.45
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
61.35
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
15.75
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
22.50
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
26.00
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
1,076.15
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
45.00
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
74.00
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
73.50
BP
01861
08/11
AJ
02/23/11
BP-
BP
RECEIPTS
23.25
BP
01881
08/11
AJ
02/24/11
BP
BP
RECEIPTS
33.50
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
44.40
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
22.50
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
45.00
BP
01928
09/11
AJ
03/01/11
BP
BP
RECEIPTS
33.00
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
66.00
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
33.00
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
165.30
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
71.75
BP
02050
09/11
AJ
05/09/11
BP
BP
RECEIPTS
32.53
BP
02057
09/11
AJ
03/10/11
BP
BP
RECEIPTS
22.50
BP
02063
09/11
AJ
03/11/11
BP
BP
RECEIPTS
108.50
BP
02069
09/11
AJ
03/14/11
BP
BP
RECEIPTS
16.50
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
15.75
BP
02099-
09/11
AJ
03/17/11
BP
BP
RECEIPTS
36.30
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
90.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
315.67
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
39.55
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
120.00
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
22.07
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
45.00
AP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
137.82
BP
02166
09/11
AJ
03/25/11
BP
BP
RECEIPTS
180.00
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
116.53
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
37.50
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
45.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
220.95
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
187.06
BP
02215
10/11
AJ
04/01/11
BP
BP
RECEIPTS
246.65
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
15.75
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
124.70
BP
02261
10/11
AJ
04/05/11
BP
BP
RECEIPTS
45.00
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
26.03
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
45.00
BP
02324
10/11
AJ
04/11/11
BP
BP
RECEIPTS
33.50
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
15.75
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
56.00
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
16.50
BEGINNING
/ENDING
BALANCE
PREPARED -...7/2014, 10:19:QO GENERAL LEDGER ._IVITY LISTING P___.045
PROGRAM GM362LA
CITY'OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.04-00
Non -Business
Licenses Electrical Permits
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
45.00
BP
02 342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
17.25
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
80.85
BP
02368
10/11
AJ
04/19/11
BP
BP
RECEIPTS
218.50
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
135.00
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
22.50
BP
02381
10/11
AJ
04/21/11
BP
BP'
RECEIPTS
45.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
286.02
BP
02386
10/11
AJ
04/22/11
BP
BP
RECEIPTS
87.41
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
599.38
BP
02440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
75.90
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
15.75
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
291.60
BP
02454
11/11
AJ
05/02/11
BP
BP
RECEIPTS
18.75
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
15.75
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
22.50
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
22.50
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
321.49
BP
02504
11/11
AJ
05/06/11
BP
BP
RECEIPTS
45.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
45.00
BP
02516
11/11
AJ
05/09/11
BP
BP.
RECEIPTS
45.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
226.20
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
45.00
BP
02531
11/11
AJ
05/10/11
BP
BP
RECEIPTS
105.71
BP
02541.
11/11
AJ
05/11/11
BP
BP
RECEIPTS
123.50
BP
02570
11/11
AJ
05/13/11
BP
BP
RECEIPTS
84.75
BP
02576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
605.20
BP
02_576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
45.00
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
22.50
BP
02604
11/11
AJ
05/18/11
BP
BP
RECEIPTS
22.50
BP
02611
11/11
AJ
05/19/11
BP
BP
RECEIPTS
113.30
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
141.16
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
22.50
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
106.65
UP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
45.00
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
287.53
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
33.50
BP
02679
11/11
AJ
05/26/11
BP
BP
RECEIPTS
151.50
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
30.75
BP
02699
11/11
AJ
05/27/11
BP*
BP
RECEIPTS
150.74
BP
02686
11/11
AJ
05/31/11
BP
BP
RECEIPTS
22.50
BP
02708
12/11
AJ
06101111
BP
BP
RECEIPTS
88.07
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
359.12
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
33.19
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
90.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
45.00
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
97.50
BP
02768.
12/11
AJ
06/07/11
BP
BP
RECEIPTS
15.75
UP
02775
12/11
AJ
06108111
BP
BP
RECEIPTS
16.50
BEGINNING
/ENDING
BALANCE
PREPARED __7/2014, 10:19:00 GENERAL LEDGER _.IVITY LISTING P___046
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND*101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------------------------------------------------
101-5000-322.04-00
Non -Business Licenses
/ Electrical Permits
BP
02775
12/11
AJ
06/08/11
BP
BP
RECEIPTS
33.00
BP
02811
12/11
AJ
06/10/11
BP
BP
RECEIPTS
81.30
BP
02818
12/11
AJ
06/13/11
BP
BP
RECEIPTS
86.78
BP
02824
12/11
AJ
06/14/11
BP
BP
RECEIPTS
45.00
BP
02824
12/11
AJ
06/14/11
BP
BP
RECEIPTS
30.00
BP
02836
12/11
AJ
06115111
BP
BP
RECEIPTS
45.00
BP
02848
12/11
AJ
06116111
BP
BP
RECEIPTS
45.00
BP
02848
12/11
AJ
06116111
BP
BP
RECEIPTS
60.75
BP
02860
12/11
AJ
06/17/11
BP
BP
RECEIPTS
33.50
BP
02860
12/11
AJ
06/17/11
BP
BP
RECEIPTS
30.00
BP
02887
12/11
AJ
06120111
BP
BP
RECEIPTS
31.50
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
370.02
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
90.00
BP
02963
12/11
AJ
06/24/11
BP
BP
RECEIPTS
843.28
BP
02969
12/11
AJ
06/27/11
BP
BP
RECEIPTS
68.25
BP
02976
12/11
AJ
06/28/11
BP
BP
RECEIPTS
-90.00
BP
02982
12/11
AJ
06/29/11
BP
BP
RECEIPTS
22.50
BP
02990
12/11
AJ
06/30/11
BP
BP
RECEIPTS
33.50
BP
02990
12/11
AJ
06/30/11
BP
BP
RECEIPTS
67.00
ACCOUNT TOTAL
45.00 32,278.78
101.-5000-322.06-00
Non -Business Licenses
Miscellaneous Permits
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
264.61
BP
00093
01/11
AJ
07/01/10
BP
BP
RECEIPTS
30.00
BP
00094
01/11
AJ
07/01/10
BP
REVR BP REC/POSTING ERROR
30.00
BP
00033
01/11
AJ
07/02/10
BP
BP
RECEIPTS
15.00
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
175.50
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
42.82
BP
00047
01/11
AJ
07/07/10
BP
BP
RECEIPTS
30.00
BP
00053
01/11
AJ
07/08/10
BP
BP
RECEIPTS
217.32
CE
00054
01/11
AJ
07/08/10
CE
CE
RECEIPTS
10.00
BP
00059
01/11
AJ
07/09/10
BP
BP
RECEIPTS
172.53
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
96.00
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
50.67
CE
00068
01/11
AJ
07/12/10
CE
CE
RECEIPTS
10.00
CE
00068
01/11
AJ
07/12/10
CE
CE
RECEIPTS
10.00
BP
00076
01/11
AJ
07/13/10
BP
BP
RECEIPTS
44.05
CE
00083
01/11
AJ
07/14/10
CE
CE
RECEIPTS
10.00
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
134.00
BP
00129
01/11
AJ
07/16/10
BP
BP
RECEIPTS
390.00
CE
00130
01/11
AJ
07/16/10
CE
CE
RECEIPTS
10.00
GM
00096
01/11
AJ
07/19/10
JE 01-014
PRMT FEE/52280 VELASCO
30.00
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
15.00
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
63.00
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
52.20
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
59.85
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
4.10
32,233.78CR
00
PREPARED ---7/2014, 10:19:00 GENERAL LEDGER ----IVITY LISTING P...---047
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
- - - - - - - -
FUND'101
- - - - - - -
General
- - - - - - - - - - - - -
Fund
- - - - - - - - - - - - -
- - - - -
- - - - - - - - - - - - - - - - - - - - - - - - - -
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - w - - - - - -
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
PER.
CD
DATE
NUMBER D
-------------
E S C
R I P T 1 0 N
DEBITS CREDITS BALANCE
--------
101m5000w322.06-00
Non-Bu'siness Licenses
Miscellaneous
Permits
BP
00160.
01/11
AJ
07/22/10
BP
BP
RECEIPTS
152.29
CE
00161
01/11
AJ
07/22/10
dE
CE
RECEIPTS
10.00
BP
00167
01/11
AJ
07/25/10
BP
BP
RECEIPTS
482.24
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
72.00
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
20.61
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
98.94
CE
00200
01/11
AJ
07/27/10
CE
CE
RECEIPTS.
20.00
CE
00200
01/11
AJ
07/27/10
CE
CE
RECEIPTS
10.00
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
302.50
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
105.88
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
222.59
CE
0221
01/11
AJ
07/30/10
CE
CE
RECEIPTS
10.00
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
35.49
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
162.31
CE
00240
02/11
AJ
08/02/10
CE
CE
RECEIPTS
10.00
BP
00246
02/11
AJ
08/03/10
BP
BP
RECEIPTS
100.00
CE
00248
02/11
AJ
08/03/10
CE
CE
RECEIPTS
30.00
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
35.00
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
15.00
CE
00254
02/11
AJ
08/04/10
CE
CE
RECEIPTS
10.00
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
45.00
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
72.00
BP
00269
02/11
AJ
08106110
BP
BP
RECEIPTS
362.20
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
45.00
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
4.10
BP
OB289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
113.51
BP
00295
02/11
AJ
08/10/10
BP
BP
RECEIPTS
72.00
CE
00297
02/11
AJ
08/10/10
CE'
CE
RECEIPTS
10.00
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
25.25
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
15.00
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
Z4.83
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
2.93
CE
00323
02/11
AJ
08/13/10
CE
CE
RECEIPTS
10.00
BP
00336
02/11
AJ
08116110
BP
BP
RECEIPTS
181.00
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
19.00
CE
00374
02/11
AJ
08/17/10
CE
CE
RECEIPTS
10.00
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
18.49
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
22.72
9P
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
93.99
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
4.68
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
3.51
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
25.51
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
46.22
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
63.00
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
34.00
BP
00483
02/11
AJ
08126110
BP
BP
RECEIPTS
15.00
BP
00483
02/11
AJ
08/26/10
BP
BP
RECEIPTS
45.00
CE
00485
02/11
AJ
08/26/10
CE
CE
RECEIPTS
10.00
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
45.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER __.1VITY LISTING P___048
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
. . GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5000-522.06-00 Non -Business Licenses
BP 00495 02/11 AJ 08/27/10 BP
BP 00502 02/11 AJ 08/30/10 BP
BP 00502 02/11 AJ 08/30/10 BP
BP 00509 02/11 AJ 08/31/10 BP
BP 00525 03/11 AJ 09/01/10 BP
BP 00532 03/11 AJ 09/02/10 BP
BP 00532 03/11 AJ 09/02/10 BP
BP 00532 03/11 AJ 09/02/10 BP
BP 00539 03/11 AJ 09/03/10 BP
BP 00548 03/11 AJ 09/07/10 BP
BP 00548 03/11 AJ 09/07/10 BP
CE 00550 03/11 AJ 09/07/10 CE
BP OP558 03/11 AJ 09/08/10 BP
BP 00558 03/11 AJ 09/08/10 BP
BP 00566 03/11 AJ 09/09/10 BP
BP 00566 03/11 AJ 09/09/10 BP
BP 00585 03/11 AJ 09/10/10 BP
BP 00598 03/11 AJ 09/13/10 BP
CE 00599 03/11 AJ 09/13/10 CE
BP 00609 03/11 AJ 09/14/10 BP
BP 00616 03/11 AJ 09/15/10 BP
BP 00616 03/11 AJ 09/15/10 BP
CE 00617 03/11 AJ 09/15/10 CE
BP 00647 03/11 AJ 09/17/10 BP
BP 00647 03/11 AJ 09/17/10 BP
BP 00655 03/11 AJ 09/20/10 BP
BP 00661 03/11 AJ 09/21/10 BP
BP OD661 03/11 AJ 09/21/10 BP
BP 00676 03/11 AJ 09/22/10 BP
BP 00690 03/11 AJ 09/23/10 BP
BP 00690 03/11 AJ 09/23/10 BP
BP 00696 03/11 AJ 09/24/10 BP
BP 00720 03/11 AJ 09/27/10 BP
BP 00720 03/11 AJ 09/27/10 BP
BP 00730 03/11 AJ 09/28/10 BP
CE 00732 03/11 AJ 09/28/10 CE
BP 00740 03/11 AJ 09/29/10 BP
CE 00741 03/11 AJ 09/29/10 CE
BP 00746 03/11 AJ 09/30/10 BP
BP 00746 .03/11 AJ 09/30/10 BP
0 00755 04/11 AJ 10/01/10 BP
BP 00790 04/11 AJ 10/04/10 BP
BP 00797 04/11 AJ 10/05/10 BP
BP 00797 04/11 AJ 10/05/10 BP
BP 00797 04/11 AJ 10/05/10 BP
BP 00804 04/11 AJ 10106110 BP
BP 00811 04/11 AJ 10/07/10 BP
BP 00811 04/11 AJ 10/07/10 BP
CE 00812 04/11 AJ 10/07/10 CE
DEBITS CREDITS
Miscellaneous Permits
BP
RECEIPTS
118.51
BP
RECEIPTS
175.94
BP
RECEIPTS
12.29
BP
RECEIPTS
9.36
BP
RECEIPTS
22.37
BP
RECEIPTS
46.12
BP
RECEIPTS
99.49
BP
RECEIPTS
11.11
BP
RECEIPTS
28.46
BP
RECEIPTS
630.00
BP
RECEIPTS
117.00
CE
RECEIPTS
20.00
BP
RECEIPTS
4.10
BP
RECEIPTS
86.00
BP
RECEIPTS
114.00
BP
RECEIPTS
215.61
BP
RECEIPTS
85.39
BP
RECEIPTS
15.00
CE
RECEIPTS
10.00
BP
RECEIPTS
156.98
BP
RECEIPTS
56.94
BP
RECEIPTS
45.00
CE
RECEIPTS
10.00
BP
RECEIPTS
142.10
BP
RECEIPTS
4.10
BP
RECEIPTS
45.00
BP
RECEIPTS
780.06
BP
RECEIPTS
73.il
BP
RECEIPTS
72.00
BP
RECEIPTS
135.90
BP
RECEIPTS
19.76
BP
RECEIPTS
412.00
BP
RECEIPTS
34.68
BP
RECEIPTS
15.00
BP
RECEIPTS
32.76
CE
RECEIPTS
10.00
BP
RECEIPTS
293.71
CE
RECEIPTS
10.00
BP
RECEIPTS
137.01
BP
RECEIPTS
17.65
BP
RECEIPTS
2.28
BP
RECEIPTS
16.38
BP
RECEIPTS
96.78
BP
RECEIPTS
97.50
BP
RECEIPTS
30.00
BP
RECEIPTS
1,856.00
BP
RECEIPTS
119.52
BP
RECEIPTS
5.85
CE
RECEIPTS
10.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ._IVITY LISTING P_-049
PROGRAM GM362LA
CITY OF LA QUINTA,' CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.06-00
Non -Business
Licenses
Miscellaneous Permits
BP
ObB17
04/11
AJ
10/08/10
BP
BP
RECEIPTS
162.00
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
15.00
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
5.27
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
-20.61
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
54.90
CE
00865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
10.00
BP
00870
04/11
AJ
10/13/10
BP
BP
RECEIPTS
261.26
CE
00872
04/11
AJ
10/13/10
CE
CE
RECEIPTS
10.00
BP
00880
04/11
AJ
10/14/10
BP
BP
RECEIPTS
96.00
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
31.00
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
122.10
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
63.00
BP
00906
04/11
AJ
10/20/10
BP
BP
RECEIPTS
81.38
BP
00936
04/11
AJ
10/21/10
BP
BP
RECEIPTS
45.00
BP
00949
04/11
AJ
10/22/10
BP
BP
RECEIPTS
15.00
Bp
ob949
04/11
AJ
10/22/10
BP
BP
RECEIPTS
128.00
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
81.00
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
281.65
BP
00965
04/11
AJ
10/26/10
BP
BP
RECEIPTS
323.00
CE
00967
04/11
AJ
10/26/10
CE
CE
RECEIPTS
10.00
GM
00925
04/11
AJ
10/27/10
JE
04-023
PRMT FEES/52900 RAMIREZ
72.00
BP
00972
04/11
AJ
10/27/10
BP
BP
RECEIPTS
216.00
GM
00954
04/11
AJ
10/28/10
JE
04-030
PRMT FEES/52685 VALLEJO
21.00
BP
00981
04/11
AJ
.10/28/10
BP
BP -RECEIPTS
.98
BP
00988
04/11
AJ
10/29/10
BP
BP
RECEIPTS
90.44
BP
00988
04/11
AJ
10/29/10
BP
BP
RECEIPTS
15.00
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
87.07
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
1.11
CE
01019
05/11
AJ
11/02/10
CE.
CE
RECEIPTS
10.00
CE
0.1019
05/11
AJ
11/02/10
CE
CE
RECEIPTS
10.00
GM
01004
05/11
AJ
11/03/10
JE
05-001
PRMT FEES/52685 VALLEJO
30.00
BP
01041
05/11
AJ
11/03/10
BP
BP
RECEIPTS
34.50
-BP
01041
05/11
AJ
11/03/10
BP
BP
RECEIPTS
45.00
BP
01057
05/11
AJ
11/05/10
BP
BP
RECEIPTS
90.00
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
143.76
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
10.00
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
15.00
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
30.00
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
72.00
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
61.82
CE
01121
05/11
AJ
11/12/10
CE
CE
RECEIPTS
20.00
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
169.46
13P
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
54.00
BP
01133
05/11
AJ
11116110
BP
BP
RECEIPTS
66.51
BP
Oa133
05/11
AJ
11116110
BP
BP
RECEIPTS
13.46
BP
01142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
144.00
BP
01142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
15.00
CE
01144
05/11
AJ
11/17/10
CE
CE
RECEIPTS
10.00
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
7.61
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER _VITY LISTING 3 50
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
.101-5000-322.06-00
Non -Business
Licenses
/ Miscellaneous
Permits
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
30.00
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS'
30.00
BO
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
2.28
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
1,459.00
BP
01192
05/11
AJ
11/22/10
BP
BP
RECEIPTS
126.00
BP
01192
05/11
AJ
11/22/10.BP
BP
RECEIPTS
75.00
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
133.00
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
22.72
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
921.12
GM
01168
05/11*
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
28.99
GM
01168
05/11
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
30.00
GM
01168,
05/11
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
4.68
BPi
01218
05/11
AJ
11/29/10
BP
BP
RECEIPTS
83.14
CE
01220
05/11
AJ
11/29/10
CE
CE
RECEIPTS
10.00
CE
01220
05/11
AJ
11/29/10
CE
CE
RECEIPTS
20.00.
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
16.63
BP
OJ232
06/11
AJ
12/01/10
BP
BP'RECEIPTS
1,491.53
BP
01275
06/11
AJ
12/02/10
BP
BP
RECEIPTS
110.42
BP
01275
06/11
AJ
12/02/10
BP
BP
RECEIPTS
7.61
BP.01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
6.44
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
115.00
BP
01287
06/11
AJ
12/06/10
BP
BP
RECEIPTS
30.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
132.36
CE
01289
06111
AJ
12106410
CE
CE
RECEIPTS
10.00
BP
01302
06/11
AJ
12/08/10
BP
BP
RECEIPTS
7.61
BP
01308
06/11
AJ
12/09/10
BP
BP
RECEIPTS
4.68
BP
01308
06111
AJ
12/09/10
BP
BP
RECEIPTS
120.51
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
508.68
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
54.00 -
BP
01322
06/11
AJ
12/13/10
BP
BP
RECEIPTS
231.31
CE
01324
06111
AJ
12/13/10
CE
CE
RECEIPTS
20.00
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
93.46
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
143.49
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
88.89
GM
01349
06111
AJ
12/16/10
JE
06-019
PRMT FEE/52685
AVE VALLEJ
33.00
BP
01358
06/11
AJ
12/16/10
BP
BP
RECEIPTS
15.80
BP
01358
06111
AJ
12/16/10
BP
BP
RECEIPTS
203.10'
BP
01405
06111
AJ
12/17/10
BP
BP
RECEIPTS
54.00
BP
01435
06111
AJ
12/22/10
BP
BP
RECEIPTS
54.00
BP
01440
06111
AJ
12/23/10
BP
BP
RECEIPTS
5.27
BP
01445
06111
AJ
12/27/10
BP
BP
RECEIPTS
15.00
BP
01445
06111
AJ
12/27/10
BP
BP
RECEIPTS
2.93
BP
01452
06111
AJ
12/28/10
BP
BP
RECEIPTS
57.00
BP
01460
06/11
AJ
12/i9/10
BP
BP
RECEIPTS
144.00
0
01466
06111
AJ
12/30/10
BP
BP
RECEIPTS
15.00
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
30.00
BP
04484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
15.00
CE
01485
07/11
AJ
01/03/11
CE
CE
RECEIPTS
20.00
BP
01490
07/11
AJ
01/04/11
BP
BP
RECEIPTS
117.00
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:100 GENERAL LEDGER-__.�VITY LISTING pMwQL05l
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER 'D E S*C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.06-00
Non�Business
Licenses
Miscellaneous
Permits
CE
01491
07/11
AJ
01/04/11
CE
CE
RECEIPTS
10.00
CE
01496
07/11
AJ
01/05/11
CE
CE
RECEIPTS
10.00
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
37.61
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
254.90
BP
01506
07/11
AJ
01/07/11
BP
BP
RECEIPTS
17.67
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
124.08
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
120.47
BP
01532
07/11
AJ
01/11/11
BP
BP
RECEIPTS
153.00
BP
01532.
07/11
AJ
01/11/11
BP
BP
-RECEIPTS
30.00
BP
01543
07/11
AJ
01/12/11
BP
BP
RECEIPTS
30.00
BP
01543
07/11
AJ
01/12/11
BP
BP
RECEIPTS
9.95
CE
01544
07/11
AJ
01/12/11
CE
CE
RECEIPTS
10.00
BP
01553
07/11
AJ
01/13/11
BP
BP
RECEIPTS
199.72
CE
01555
07/11
AJ
01/13/11
CE
CE
RECEIPTS
10.00
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
15.00
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
61.72
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
72.00
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
141.00
BP
OJ592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
5.85
CE
01593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
10.00
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
24.54
CE
01600
07/11
AJ
01/19/11
CE
CE
RECEIPTS
10.00
BP
01609
07/11
AJ
01/20/11
BP
BP
RECEIPTS
17.65
BP
01609,
07/11
AJ
01/20/11
BP
BP
RECEIPTS
30.00
BP
01615
07/11
AJ
01/21/11
BP
BP
RECEIPTS
272.00
BP.01615
07/11
AJ
01/21/11
BP
BP
RECEIPTS
45.00
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
3.51
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
81.00
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
78.00
CE
01622
07/11
AJ
01/24/11
CE
CE
RECEIPTS
10.00
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
48.00
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
93.00
GM
01626
07/11
AJ
01126111
JE
07-024
PRMT FEE/52475
CARRANZA
30.00
GM
01626
07/11
AJ
01/26/11
JE
07-024
PRMT FEE/52475
CARRANZA
54.00
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
276.75
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
16.89
CE
01660
07/11
AJ
01/26/11
CE
CE
RECEIPTS
10.00
BP
01666
07/11
AJ
01/27/11
BP
BP
RECEIPTS
5.26
BP
01673
07/11
AJ
01/28/11
BP
BP
RECEIPTS
117.00
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
54.00
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
54.00
BP
01688
08/11
AJ
02/01/11
BP
BP
RECEIPTS
135.00
CE
01689
08/11
AJ
02/01/11
CE
CE
RECEIPTS
20.00
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
303.06
GM
01701
08/11
AJ
02/03/11
JE
08-004
PRMT FEE/52685
VALLEJO
4.10
GM
01701
08/11
AJ
02/03/11
JE
08-004
PRMT FEE/52475
CARRANZA
4.10
GM
01701
08/11
AJ
02/03/11
JE
08-004
PRMT FEE/52475'SONORA
50.00
CE
01731
08/11
AJ
02/03/11
CE
CE
RECEIPTS
10.00
BP
04744
08/11
AJ
02/07/11
BP
BP
RECEIPTS
180.00
BEGINNING
/ENDING
BALANCE
PREPARED
-..-7/2014,
10:19:00
GENERAL
LEDGER ._._'VITY LISTING
P___.J52
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING -
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0
N DEBITS
CREDITS
BALANCE
101-5000-322.06-00
Non -Business Licenses
Miscellaneous
Permits
BP
01744
08/11
AJ
02/07/11
BP
BP
RECEIPTS
58.68
BP
01751
08/11
AJ
02/08/11
BP
BP
RECEIPTS
104.50
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
85.35
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
47.72
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
64.50
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
22.50
BP
01807
08/11
AJ
02/11/11
BP
BP
RECEIPTS
73.93
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
109.97
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
48.61
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
19,50
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
45.00
CE
01821
08/11
AJ
02115/11
CE
CE
RECEIPTS
10.00
BP
01827
08/11
AJ
02116111
BP
BP
RECEIPTS
117.00
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
453.79
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
88.61
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
71.60
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
45.00
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
236.85
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
75.44
BP
01861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
7.02
BP
OJ861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
72.00
BP
01881
08/11
AJ
02/24/11
BP
BP
RECEIPTS
49.00
CE
01883
08/11
AJ
02/24/11
CE
CE
RECEIPTS
10.00
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
2.93
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
73.50
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
15.00
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
153.00
CE
01946
09/11
AJ
03/02/11
CE
CE
RECEIPTS
10.00
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
11.12
CE
01967
09/11
AJ
03/03/11
CE
CE
RECEIPTS
10.00
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
15.00
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
19.50
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
.98
GM
01961
09/11
AJ
03/07/11
JE 09-016
PRMT FEES 52681
MENDOZA
43.00
GM
01961
09/11
AJ
03/07/11
JE 09-016
PRMT FEES 52475
CARRANZA
37.00
BP
0.1989
09/11
AJ
03/07/11
BP
BP
RECEIPTS
30.00
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
97.10
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
16.80
BP
02050
09/11
AJ
03/09/11
BP
BP
RECEIPTS
31.00
BP
02050
09/11
AJ
03/09/11
BP
BP
RECEIPTS
129.25
BP
02057
09/11
AJ
03/10/11
BP
BP
RECEIPTS
76.50
BP
02057
09/11
AJ
03/10/11
BP
BP
RECEIPTS
84.00
BP
02069
09/11
AJ
03/14/11
BP
BP
RECEIPTS
35.00
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
7.02
CE
02088
09/11
AJ
03/15/11
CE
CE
RECEIPTS
10.00
BP
02093
09/11
AJ
03/16/11
BP
BP
RECEIPTS
15.00
BP
02093
09/11
AJ
03/16/11
BP
BP
RECEIPTS
30.00
BP
02099
09/11
AJ
03/17/11
BP
BP
RECEIPTS
49.66
i:E
02101
09/11
AJ
03/17/11
CE
CE
RECEIPTS
10.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-'VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.06-00
Non -Business Licenses
/ Miscellaneous Permits
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
30.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
122.10
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
41.00
CE
02108
09/11
AJ
03/18/11
CE
CE
RECEIPTS
10.00
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
125.56
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
54.00
GM
02123
09/11
AJ
03/22/11
JE 09-044
PRMT/77330 CALLE SONORA
4.68
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
30.00
BP
012139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
423.00
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
81.00
CE
02140
09/11
AJ
03/22/11
CE
CE
RECEIPTS
20.00
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
48.49
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
43.00
CE
02146
09/11
AJ
03/23/11
CE
CE
RECEIPTS
20.00
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
57.04
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
30.00
BP
02166
09/11
AJ
03/25/11
BP
BP
RECEIPTS
45.00
GM
02134
09/11
AJ
03/28/11
JE 09-048
PRMT FEES/52050 CARRANZA
30.00
CE
02174
09/11
AJ
03/28/11
CE
CE
RECEIPTS
10.00
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
69.77
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
41.00
-BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
81.00
CE
0;2204
09/11
AJ
03/30/11
CE
CE
RECEIPTS
10.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
127.81
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
78.20
BP
02215
10/11
AJ
04/01/11
BP
BP
RECEIPTS
26.92
CE
02216
10/11
AJ
04/01/11
CE
CE
RECEIPTS
10.00
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
6.44
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
255.15
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
10.00
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
10.00
BP
02261
10/11
AJ
04/05/11
BP
BP
RECEIPTS
15.00
CE
02263
10/11
AJ
04/05/11
CE
CE
RECEIPTS
10.00
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
26.94
CE
02269
10/11
AJ
04/06/11
CE
CE
RECEIPTS
20.00
BP
02274
10/11
AJ
04/07/11
BP
BP
RECEIPTS
54.00
BP
02274
10/11
AJ
04/07/11
BP
BP
RECEIPTS
15.00
BP
02281
10/11
AJ
04/08/11
BP
BP
RECEIPTS
30.00
BP
02281
10/11
AJ
04/08/11
BP
BP
RECEIPTS
135.00
BP
02324
10/11
AJ
04/11/11
BP
BP
RECEIPTS
95.00
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
2.93
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
22.50
BP
02536
10/11
AJ
04/13/11
BP
BP
RECEIPTS
.98
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
15.00
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
72.00
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
21.44
CE
02344
10/11
AJ
04/14/11
CE
CE
RECEIPTS
10.00
CE
02357
10/11
AJ
04/15/11
CE
CE
RECEIPTS
10.00
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
15.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ...-.-VITY 'LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
P,.---954
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S
C R I P T 1 0
N
DEBITS CREDITS BALANCE
101-�5000-322.06-00
Non -Business Licenses
Miscellaneous
Permits
CE
02365'
10/11
AJ
04/18/11
CE
CE
RECEIPTS
20.00
BP
02368
10/11
AJ
04/19/11
BP
BP
RECEIPTS
189.26
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
19.00
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
22.50
GM
02317
10/11
AJ
04/21/11
JE 10-.011
PRMT
FEES/52681
MENDOZA
30.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
161.89
BP
02386
10/11
AJ
04/22/11
BP
BP
RECEIPTS
129.51
CE
02387
10/11
AJ
04/22/11
CE
CE
RECEIPTS
10.00
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
390.43
GM
02410
10/11
AJ
04/28/11
JE 10-015
PRMT
FEES/78186
MAIN ST
45.00
BP
0*2440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
30.87
BP
02440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
23.00
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
17.00
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
421.32
BP
02454
11/11.
AJ
05/02/11
BP
BP
RECEIPTS
62.93
BP
02454
11/11
AJ
05/02/11
BP
BP
RECEIPTS
35.00
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
106.00
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
22.50
CE
02462
11/11
AJ
05/03/11
CE
RECEIPTS
10.00
CE
02462
11/11
AJ
'05/03/11
CE
-CE
CE
RECEIPTS
20.00
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
289.09
GM
02480
117/11
AJ
05/05/11
JE 11-004
PRMT
FEE/52050
CARRANZA
72.00
BP
02498
11/11
AJ
05/05/11
BP
BP
RECEIPTS
160.00
BP
02504
11/11
AJ
05106111
BP
BP
RECEIPTS
160.00
CE
0.2505
11/11
AJ
05106111
CE
CE
RECEIPTS
20.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
15.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
15.00
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
100.22
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
53.50
BP
02531
11/11
AJ
05/10/11
BP
BP
RECEIPTS
96.52
BP
02541
11/11
AJ
05/11/11
BP
BP
RECEIPTS
15.00
CE
02543
11/11
AJ
05/11/11
CE
CE
RECEIPTS
10.00
BP
02564
11/11
AJ
05/12/11
BP
BP
RECEIPTS
276.00
BP
02570
11/11
AJ
05/13/11
BP
BP
RECEIPTS
66.54
BP
02576
11/11
AJ
05116111
BP
BP
RECEIPTS
387.08
CE
02577
11/11
AJ
05/16/11
CE
CE
RECEIPTS
10.00
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
493'.10
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
45.00
CE
02584
11/11
AJ
05/17/11
CE
CE
RECEIPTS
10.00
CE
02584
11/11
AJ
05/17/11
CE
CE
RECEIPTS
10.00
BP
02604
11/11
AJ
05/18/11
BP
BP
RECEIPTS
52.50
CE
02605
11/11
AJ
05/18/11
CE
CE
RECEIPTS
10.00
BP
02611
11/11
AJ
05/19/11
BP
BP
RECEIPTS
50.61
BP
02611
11/11
AJ
05/19/11
BP
BP
RECEIPTS
30.00
BP
02631
11/11
AJ
05/20/11
BP
BP
RECEIPTS
81.00.
BP
02631
11/11
AJ
05/20/11
BP
BP
RECEIPTS.
45.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
416.46
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
22.50
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
56.82
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER __.�VITY LISTING P---.355
PROGRAM GM362LA-
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------
FUND 101
General
Fund-
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
----------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0 N
DEBITS CREDITS BALANCE
----------------
101-50b0-322.06-00
Non-Bus'iness Licenses
Miscellaneous
Permits
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
45.00
GM
02648
11/11
AJ
05/25/11
JE 11-025
PRMT FEES/52050 CARRANZA
29.00
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
310.02
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
7.09
BP
02679
11/11
AJ
05126111
BP
BP
RECEIPTS
97.68
BP
02679
11/11
AJ
05/26/11
BP
BP
RECEIPTS
200.00
CE
02681
11/11
AJ
05/26/11
CE
CE
RECEIPTS
10.00
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
119.38
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
67.28
BP
02686
11/11
AJ
05/31/11
BP
BP
RECEIPTS
22.50
GM
02739
11/11
AJ
05131;ell
JE 11-042
RECL BP CR#18825 5/2/11
54.00
BP
02708
12/11
AJ
06/01/11
BP
BP
RECEIPTS
183.11
CE
0*2709
12/11
AJ
06/01/11
CE
CE
RECEIPTS
10.00
BP
02715
12/11
AJ
06/02/11
BP
BP
RECEIPTS
30.00
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
162.60
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
208.83
BP
02761
12/11
AJ.
06106111
BP
BP
RECEIPTS
45.00
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
15.00
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
442.50
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
119.00
BP
02775
12/11
AJ
06/08/11
BP
BP
RECEIPTS
3.51
BP
02775
12/11
AJ
06/08/11
BP
BP
RECEIPTS
198.00
BP
02796
12/11
AJ
06/09/11
BP
BP
RECEIPTS
580.00
CE
02798
12/11
AJ
06/09/11
CE
CE
RECEIPTS
10.00
BP
02811
12/11
AJ
06110111
BP
BP
RECEIPTS
16.83
CE
02812
12/11
AJ
06110111
CE
CE
RECEIPTS
10.00
BP
0.2818
12/11
AJ
06/13/11
BP
BP
RECEIPTS
35.47
CE
02819
12/11
AJ
06/13/11
CE
CE
RECEIPTS
.10.00
BP
02824
12/11
AJ
06/14/11
BP
BP
RECEIPTS
230.00
BP
02824
12/11
AJ
06/14/11
BP
BP
RECEIPTS
25.50
GM
02802
12/11
AJ
06/15/11
JE 12-005
PRMT FEE/53790 AVE MADERO
50.00
BP
02836
12/11
AJ
06/15/11
BP
BP
RECEIPTS
94.00
BP
02848
12/11
AJ
06116111
BP
BP
RECEIPTS
84.00
BP
02848
12/11
AJ
06/16/11
BP
BP
RECEIPTS
34.00
CE
02849
12/11
AJ
06116111
CE
CE
RECEIPTS
10.00
CE
02859
12/11
AJ
06/17/11
CE
CE
RECEIPTS
10.00
BP
02887
12/11
AJ
06120111
BP
BP
RECEIPTS
92.93
BP
02894
12/11
AJ
06/21/11
BP
BP
RECEIPTS
30.00
BP
02894
12/11
AJ
06/21/11
BP
BP
RECEIPTS
198.00
CE
02895
12/11
AJ
06/21/11
CE
CE
RECEIPTS
20.00
BP
02902
12/11
AJ
06/22/11
BP
BP
RECEIPTS
108.00
CE
02903
12/11
AJ
06/22/11
CE
CE
RECEIPTS
10.00
CE
02903
12/11
AJ
06/22/11
CE
CE
RECEIPTS
10.00
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
306.74
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
15.00
CE
02959
12/11
AJ
06/23/11
CE
CE
RECEIPTS
10.00
CE
02959
12/11
AJ
06/23/11
CE
CE
RECEIPTS
10.00
BP
02963
12/11
AJ'
06/24/11
BP
BP
RECEIPTS
403.64
BP
02969
12/11
AJ
06/27/11
BP
BP
RECEIPTS
7.61
PREPARED -.,.7/2014, 10:19:00
Miscellaneous
GENERAL LEDGER _VITY LISTING
.00
PA --- J56
PROGRAM GM362LA
01/11
AJ
07/01/10
CE
CITY OF LA QUINTA, CALIFORNIA
RECEIPTS
30.00
CE
00028
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
AJ
07/01/10
CE
BEGINNING
GROUP ACCTG ---- TRANSACTION ----
20.00
CE
00035
/ENDING
APP NUMBER PER. CD DATE NUMBER D
------------------------------------------------------------------------------------------------------------------------------------
E S
C R I P T 1 0 N DEBITS
CREDITS
BALANCE
101*-5000-322.06-00 Non -Business Licenses
Miscellaneous
Permits
01/11
AJ
CE 02971 12/11 AJ 06/27/11 CE
CE
RECEIPTS
10.00
10.00
BP 02976 12/11 AJ 06/28/11 BP
BP
RECEIPTS
371.00
07/02/10
BP 02976 12/11 AJ 06/28/11 BP
BP
RECEIPTS
30.00
CE
BP 02982 12/11 AJ 06/29/11 BP
BP
RECEIPTS
130.50
CE
CE 02984 12/11 AJ 06/29/11 CE
CE
RECEIPTS
10.00
00042
BP 02990 12/11 AJ 06/30/11 BP
BP
RECEIPTS
30.00
CE
BP 02990 12/11 AJ 06/30/11 BP
BP
RECEIPTS
30.00
01/11
ACCOUNT TOTAL
07/07/10
30.00
41,179.38
41,149.38CR
101-5000-322.08-00 Non -Business Licenses / Other
ACCOUNT TOTAL
.00
00
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
.00
CE
00028
01/11
AJ
07/01/10
CE
CE
RECEIPTS
30.00
CE
00028
01/11
AJ
07/01/10
CE
CE
RECEIPTS
20.00
CE
00035
01/11
AJ
07/02/10
CE
CE
RECEIPTS
20.00
CE
00035
01/11
AJ
07/02/10
CE
CE
RECEIPTS
10.00
CE
00035
01/11
AJ
07/02/10
CE
CE
RECEIPTS
100.00
CE
00042
01/11
AJ
07/06/10
CE
CE
RECEIPTS
60.00
CE
00042
01/11
AJ
07/06/10
CE
CE
RECEIPTS
140.00
CE
00048
01/11
AJ
07/07/10
CE
CE
RECEIPTS
10.00
CE
00048
01/11
AJ
07/07/10
CE
CE
RECEIPTS
30.00
CE
00048
01/11
AJ
07/07/10
CE
CE
-RECEIPTS
10.00
CE
00054
01/11
AJ
07/08/10
CE
CE
RECEIPTS
10.00
CE
OJ)054
01/11
AJ
07/08/10
CE
CE
RECEIPTS
60.00
CE
00060
01/11
AJ
07/09/10
CE
CE
RECEIPTS-
20.00
CE
00060
01/11
AJ
07/09/10
CE
CE
RECEIPTS
90.00
CE
0068
01/11
AJ
07/12/10
CE
CE
RECEIPTS
40.00
CE
00083
01/11
AJ
07/14/10
CE
CE
RECEIPTS
20.00
CE
00083
01/11
AJ
07/14/10
CE
CE
RECEIPTS
10.00�
CE
00122
01/11
AJ
07/15/10
CE
CE
RECEIPTS
20.00
CE
00130
01/11
AJ
07/16/10
CE
CE
RECEIPTS
10.00
CE
00130
01/11
AJ
07/16/10
CE
CE
RECEIPTS
40.00
CE
00130
01/11
AJ
07/16/10
CE
CE
RECEIPTS
60.00
CE
00137
01/11
AJ
07/19/10
CE
CE
RECEIPTS
10.00
CE
00137
01/11
AJ
07/19/10
CE
CE
RECEIPTS
70.00
CE
00144
01/11
AJ
07/20/10
CE -
CE
RECEIPTS
10.00
CE
00152
01/11
AJ
07/21/10
CE
CE
RECEIPTS
10.00
CE
00152
01/11
AJ
07/21/10
CE
CE
RECEIPTS
30.00
CE
00161
01/11
AJ
07/22/10
CE
CE
RECEIPTS
10.00
CE
00161
01/11
AJ
07/22/10
CE
CE
RECEIPTS
50.00
CE
00169
01/11
AJ
07/23/10
CE
CE
RECEIPTS
10.00
CE
00169
01/11
AJ
07/23/10
CE
CE
RECEIPTS
80.00
CE
00169
01/11
AJ
07/23/10
CE
CE
RECEIPTS
20.00
CE
00176
01/11
AJ
07/26/10
CE
CE
RECEIPTS
40.00
PREPARED --7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING Pk.. --.J57
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER - D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
CE
00200
01/11
AJ
07/27/10
CE
CE
RECEIPTS
10.00
CE
011209
'0 1/11
AJ
07/28/10
CE
CE
RECEIPTS
10.00
CE
00215
01/11
AJ
07/29/10
CE
CE
RECEIPTS
20.00
CE
00221
01/11
AJ
07/30/10
CE
CE
RECEIPTS
10.00
CE
00221
01/11
AJ
07/30/10
CE
CE
RECEIPTS
80.00
CE
00240
02/11
AJ
08/02/10
CE
CE
RECEIPTS
20.00
CE
00240
02/11
AJ
08/02/10
CE
CE
RECEIPTS
70.00
CE
00248
02/11
AJ
08/03/10
CE
CE
RECEIPTS
10.00
CE
00254
02/11
AJ
08/04/10
CE
CE
RECEIPTS
20.00
CE
00264'
02/11
AJ
08/05/10
CE
CE
RECEIPTS
10.00
CE
00264
02/11
AJ
08/05/10
CE
CE
RECEIPTS
30.00
CE
00264
02/11
AJ
08/05/10
CE
CE
RECEIPTS
10.00
CE
00264
02/11
AJ
08/05/10
CE
CE
RECEIPTS
10.00
CE
00270
02/11
AJ
08/06/10
CE
CE
RECEIPTS
140.00
CE
00270
02/11
AJ
08/06/10
CE
CE
RECEIPTS
10.00
CE
00290
02/11
AJ
08/09/10
CE
CE
RECEIPTS
40.00
CE
ob297
02/11
AJ
08/10/10
CE
CE
RECEIPTS
20.00
CE
00304
02/11
AJ
08/11/10
CE
CE
RECEIPTS
50.00
CE
00316
02/11
AJ
08/12/10
CE
CE
RECEIPTS
10.00
CE
00316
02/11
AJ
08/12/10
CE
CE
RECEIPTS
10.00
CE
00323
02/11
AJ
08/13/10
CE
CE
RECEIPTS
60.00
CE
00338
02/11
AJ
08/16/10
CE
CE
RECEIPTS
10.00
CE
00338
02/11
AJ
08/16/10
CE
CE
RECEIPTS
130.00
CE
00380
02/11
AJ
08/18/10
CE
CE
RECEIPTS
40.00
CE
00402
02/11
AJ
08/19/10
CE
CE
RECEIPTS
50.00
CE
00402
02/11
AJ
08/19/10
CE
CE
RECEIPTS
10.00
CE
00431
02/11
AJ
08/20/10 -CE
CE
RECEIPTS
110.00
CE
00431
02/11
AJ
08/20/10
CE
CE
RECEIPTS
30.00
CE
00460
02/11
AJ
08/23/10
CE
CE
RECEIPTS
10.00
CE
00460
02/11
AJ
08/23/10
CE
CE
RECEIPTS
70.00
CE
OJ)469
02/11
AJ
08/24/10
CE
CE
RECEIPTS
10.00
CE
00478
02/11
AJ
08/25/10
CE
CE
RECEIPTS
10.00
CE
00478
02/11
AJ
08/25/10
CE
CE
RECEIPtS
10.00
CE
00478
02/11
AJ
08/25/10
CE
CE
RECEIPTS
10.00
CE
00485
02/11
AJ
08/26/10
CE
CE
RECEIPTS
30.00
CE
00485
02/11
AJ
08/26/10
CE
CE
RECEIPTS
10.00
CE
00496
02/11
AJ
08/27/10
CE
CE
RECEIPTS
40.00
CE
00496
02/11
AJ
08/27/10
CE
CE
RECEIPTS
60.00
CE
00503
02/11
AJ
08/30/10
CE
CE
RECEIPTS
20.00
CE
00503
02/11
AJ
08/30/10
CE
CE
RECEIPTS
40.00
CE
00527
03/11
AJ
09/01/10
CE
CE
RECEIPTS
10.00
CE
00527
03/11
AJ
09/01/10
CE
CE
RECEIPTS
10.00
CE
00534
03/11
AJ
09/02/10
CE
CE
RECEIPTS
10.00
CE
00540
03/11
AJ
09/03/10
CE
CE
RECEIPTS
30.00
CE
00550
03/11
AJ
09/07/10
CE
CE
RECEIPTS
60.00
CE
00550
03/11
AJ
09/07/10
CE
CE
RECEIPTS
20.00
CE
00559
03/11
AJ
09/08/10
CE
CE
RECEIPTS
10.00
CE
00567
03/11
AJ
09/09/10
CE
CE
RECEIPTS
10.00
CE
00567
03/11
AJ
09/09/10
CE
CE
RECEIPTS
30.00
BEGINNING
/ENDING
BALANCE
PREPARED
-..-7/2014, 10:19:-00
GENERAL LEDGER --.-'VITY LISTING
P --ass
PROGRAM
GM562LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
----------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C
R I P T 1 0 N DEBITS
7 ---------------------------------------------
CREDITS
BALANCE
101-5000-322.09-01
Miscellaneous Permits
Garage
Sale Permits
CE
00587
03/11
AJ
09/10/10
CE
CE
RECEIPTS
20.00
CE
00587
05/11
AJ
09/10/10'
CE
CE
RECEIPTS
110.00
CE
00599
05/11
AJ
09/13/10
CE
CE
RECEIPTS
10.00
CE
01)611
03/11
AJ
09/14/10
CE
CE
RECEIPTS
20.00
CE
00611
03/11
AJ
09/14/10
CE
CE
RECEIPTS
10.00
CE
00617
03/11
AJ
09/15/10
CE
CE
RECEIPTS
10.00
CE
00642
03/11
AJ
09/16/10
CE
CE
RECEIPTS
120.00
CE
00642.
03/11
AJ
09/16/10
CE
CE
RECEIPTS
10.00
CE
00649
03/11
AJ
09/17/10
CE
CE
RECEIPTS
20.00
CE
00649
03/11
AJ
09/17/10
CE
CE
RECEIPTS
90.00
CE
00649
03/11
AJ
09/17/10
CE
CE
RECEIPTS
20.00
CE
00656
03/11
AJ
09/20/10
CE
CE
RECEIPTS
60.00
CE
00656
03/11
AJ
09/20/10
CE
CE
RECEIPTS
10.00
CE
00656
03/11
AJ
09/20/10
CE
CE
RECEIPTS
10.00
CE
00662
03/11
AJ
09/21/10
CE
CE
RECEIPTS
30.00
CE
00662
03/11
AJ
09/21/10
CE
CE
RECEIPTS
10.00
CE
00678
03/11
AJ
09/22/10
CE
CE
RECEIPTS
50.00
CE
00678
03/11
AJ
09/22/10
CE
CE
RECEIPTS
10.00
CE
ob6gi
03/11
AJ
09/23/10
CE
CE
RECEIPTS
10.00
CE
00691
03/11
AJ
09/23/10
CE
CE
RECEIPTS
80.00
CE
00691
03/11
AJ
09/23/10
CE
CE
RECEIPTS
20.00
CE
00697
03/11
AJ
09/24/10
CE
CE
RECEIPTS
10.00
CE
00697
03/11
AJ
09/24/10
CE
CE
RECEIPTS
100.00
CE
00722
03/11
AJ
09/27/10
CE
CE
RECEIPTS
50.00
CE
00722
03/11
AJ
09/27/10
CE
CE
RECEIPTS
80.00
CE
00732
03/11
AJ
09/28/10
CE
CE
RECEIPTS
10.00
CE
00732
03/11
AJ
09/28/10
CE
CE
RECEIPTS
10.00
CE
00732
03/11
AJ
09/28/10
CE
CE
RECEIPTS
10.00
CE
00732
03/11
AJ
09/28/10
CE
CE
RECEIPTS
10.00
CE
00741
03/11
AJ
09/29/10
CE
CE
RECEIPTS
20.00
CE
00741
03/11
AJ
09/29/10
CE
CE
RECEIPTS
20.00
CE
00748
03/11
AJ
09/30/10
CE
CE
RECEIPTS
10.00
CE
09748
03/11
AJ
09/30/10
CE
CE
RECEIPTS
10.00
CE
00748
03/11
AJ
09/30/10
CE
CE
RECEIPTS
20.00
CE
00757
04/11
AJ
10/01/10
CE
CE
RECEIPTS
10.00
CE
00757
04/11
AJ
10/01/10
CE
CE
RECEIPTS
70.00
CE
00792
04/11
-AJ
10/04/10
CE
CE
RECEIPTS
10.00
CE
00792
04/11
AJ
10/04/10
CE
CE
RECEIPTS
30.00
CE
00798
04/11
AJ
10/05/10
CE
CE
RECEIPTS
10.00
CE
00798
04/11
AJ
10/05/10
CE
CE
RECEIPTS
10.00
CE
00798
04/11
AJ
10/05/10
CE
CE
RECEIPTS
20.00
CE
00806
04/11
AJ
10106110
CE
CE
RECEIPTS
40.00
CE
00806
04/11
AJ
10106110
CE
CE
RECEIPTS
20.00
CE
00812
04/11
AJ
10/07/10
CE
CE
RECEIPTS
50.00
CE
00812
04/11
AJ
10/07/kC
CE
CE
RECEIPTS
10.00
CE
00812
04/11
AJ
10/07/10
CE
CE
RECEIPTS
30.00
CE
00818
04/11
AJ
10/08/10
CE
CE
RECEIPTS
20.00
CE
00818
04/11
AJ
10/08/10
CE
CE
RECEIPTS
90.00
CE
00858
04/11
AJ
10/11/10
CE
CE
RECEIPTS
30.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER --..VITY LISTING P..---359
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
CE
00858
04/11
AJ
10/11/10
CE
CE
RECEIPTS
30.00
CE
00858
04/11
AJ
10/11/10
CE
CE
RECEIPTS
80.00
CE
00865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
10.00
CE
00865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
20.00
CE
00872
04/11
AJ
10/13/10
CE
CE
RECEIPTS
30.00
CE
OD872
04/11
AJ
10/13/10
CE
CE
RECEIPTS
20.00
CE
00882
04/11
AJ
10/14/10
CE
CE
RECEIPTS
40.00
CE
00882
04/11
AJ
10/14/10
CE
CE
RECEIPTS
10.00
CE
00889
04/11
AJ
10/15/10
CE
CE
RECEIPTS
150.00
CE
00895
04/11
AJ
10/18/10
CE
CE
RECEIPTS
40.00
CE
00895
04/11
AJ
10/18/10
CE
CE
RECEIPTS
10.00
CE
00901
04/11
AJ
10/19/10
CE
CE
RECEIPTS
20.00
CE
00901
04/11
AJ
10/19/10
CE
CE
RECEIPTS
10.00
CE
00901
04/11
AJ
10/19/10
CE
CE
RECEIPTS
10.00
CE
00907
04/11
AJ
10/20/10
CE
CE
RECEIPTS
60.00
CE
00907
04/11
AJ
10/20/10
CE
CE
RECEIPTS
10.00
CE
00938
04/11
AJ
10/21/10
CE
CE
RECEIPTS
60.00
CE
00951
04/11
AJ
10/22/10
CE
CE
RECEIPTS
50.00
CE
00951
04/11
AJ
10/22/10
CE
CE
RECEIPTS
100.00
CE
00960
04/11
AJ
10/25/10
CE
CE
RECEIPTS
30.00
CE
obg6o
04/11
AJ
10/25/10
CE
CE
RECEIPTS
130.00
CE
00967
04/11
AJ
10126110
CE
CE
RECEIPTS
10.00
CE
00967
04/11
AJ
10/26/10
CE
CE
RECEIPTS
30.00
CE
00967
04/11
AJ
10/26/10
CE
CE
RECEIPTS
10.00
CE
00967
04/11
AJ
10/26/10
CE
CE
RECEIPTS
10.00
CE
00974
04/11
AJ
10/27/10
CE
CE
RECEIPTS
30.00
CE
00982
04/11
AJ
10/28/10
CE
CE
RECEIPTS
80.00
CE
00990
04/11
AJ
10/29/10
CE
CE
RECEIPTS
80.00
CE
00990
04/11
AJ
10/29/10
CE
CE
RECEIPTS
20.00
CE
01012
05/11
AJ
11/01/10
CE
CE
RECEIPTS
10.00
CE
01012
05/11
AJ
11/01/10
CE
CE
RECEIPTS
40.00
CE
01019
05/11
AJ
11/02/10
CE
CE
RECEIPTS
110.00
CE
01043
05/11
AJ
11/03/10
CE
CE
RECEIPTS
10.00
CE
01043
05/11
AJ
.11/03/10
CE
CE
RECEIPTS
30.00
CE
01043
05/11
AJ
11/03/10
CE
CE
RECEIPTS
10.00
CE
01043
05/11
AJ
11/03/10
CE
CE
RECEIPTS
20.00
CE
01053
05/11
AJ
11/04/10
CE
CE
RECEIPTS
70.00
CE
01053
05/11
AJ
11/04/10
CE
CE
RECEIPTS
10.00
CE
01058
05/11
AJ
11/05/10
CE
CE
RECEIPTS
10.00
CE
01058
05/11
AJ
11/05/10
-CE
CE
RECEIPTS
10.00
CE
01058
05/11
AJ
11/05/lff
CE
CE
RECEIPTS
150.00
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
30.00
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
40.00
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
100.00
CE
01088
05/11
AJ
11/09/10
CE
CE
RECEIPTS
10.00
CE
01088
05/11
AJ
11/09/10
CE
CE
RECEIPTS
30.00
CE
01088
05/11
AJ
11/09/10
CE
CE
RECEIPTS
10.00
tE
01114
05/11
AJ
11/10/10
CE
CE
RECEIPTS
10.00
CE
01114
05/11
AJ
11/10/10
CE
CE
RECEIPTS
40.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-'VITY LISTING P----360
PROGRAM GM362LA
CITY*OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.09-01
Miscellaneous
Permits / Garage Sale Permits
CE
01114
05/11
AJ
11/10/10
CE
CE
RECEIPTS
30.00
CE
01121
05/11
-AJ
11/12/10
CE
CE
RECEIPTS
30.00
CE
01121
05/11
AJ
11/12/10
CE
CE
RECEIPTS
180.00
CE
01121
05/11
AJ
11/12/10
CE
CE
RECEIPTS
20.00
CE
01128
05/11
AJ
11/15/10
CE
CE
RECEIPTS
10.00
CE
01128
05/11
AJ
11/15/10
CE
CE
RECEIPTS
40.00
CE
01128
05/11
AJ
11/15/10
CE
CE
RECEIPTS
10.00
CE
01135
05/11
AJ
11/16/10
CE
CE
RECEIPTS
60.00
CE
01144
0 5/11
AJ
11/17/10
CE
CE
RECEIPTS
20.00
CE
01144
05/11
AJ
11/17/10
CE
CE
RECEIPTS
10.00
CE
01151
05/11
AJ
11/18/10
CE
CE
RECEIPTS
50.00
CE
01151
05/11
AJ
11/18/10
CE
CE
RECEIPTS
10.00
CE
01151
05/11
AJ
11/18/10
CE
CE
RECEIPTS
40.00
CE
01157
05/11
AJ
11/19/10
CE
CE
RECEIPTS
130.00
CE
01194
05/11
AJ
11/22/10
CE
CE
RECEIPTS-
30.00
CE
01194
05/11
AJ
11/22/10
CE
CE
RECEIPTS
10.00
CE
01194
05/11
AJ
11/22/10
CE
CE
RECEIPTS
60.00
CE
01200
.05/11
AJ
11/23/10
CE
CE
RECEIPTS
10.00
CE
01200
05/11
AJ
11/23/10
CE
CE
RECEIPTS
50.00
CE
01207
05/11
AJ
11/24/10
CE
CE
RECEIPTS
40.00
CE
-01220
05/11
AJ
11/29/10
CE
CE
RECEIPTS
50.00
CE
01220
05/11
AJ
11/29/10
CE
CE
RECEIPTS
10.00
CE
01227
05/11
AJ
11/30/10
CE
CE
RECEIPTS
70.00
CE
01227
05/11
AJ
11/30/10
CE
CE
RECEIPTS
30.00
CE
01234
06111
AJ
12/01/10
CE
CE
RECEIPTS
40.00
CE
01234
06111
AJ
12/01/10
CE
CE
RECEIPTS
10.00
CE
01276
06/11
AJ
12/02/10
CE
CE
RECEIPTS
50.00
CE
01276
06111
AJ
12/02/10
CE
CE
RECEIPTS
100.00
CE
01282
06111
AJ
12/03/10
CE
CE
RECEIPTS
80.00
CE
01289
06/11
AJ
12106110
CE
CE
RECEIPTS
10.00
CE
01289
06111
AJ -12/06/10
CE
CE
RECEIPTS
30.00
CE
01289
06111
AJ
12106110
CE
CE
RECEIPTS
40.00
CE
01296
06/11
AJ
12/07/10
CE
CE
RECEIPTS
40.00
CE
01303
06/11
AJ
12/08/10
CE
CE
RECEIPTS
30.00
CE
01303
06111
AJ
12/08/10
CE
CE
RECEIPTS
30.00
CE
01310
06111
AJ
12/09/10
CE
CE
RECEIPTS
10.00
CE
01310
06111
AJ
12/09/10
CE
CE
RECEIPTS
70.00
CE
01310
06111
AJ
12/09/10
CE
CE
RECEIPTS
10.00
CE
01317
06111
AJ
12/10/10
CE
CE
RECEIPTS
40.00
CE
01317
06/11
AJ
12/10/10
CE
CE
RECEIPTS
220.00
CE
01317
06111
AJ
12/10/10
CE
CE
RECEIPTS
20.00
CE
01324
06111
AJ
12/13/10
CE
CE
RECEIPTS
10.00
CE
01332
06111
AJ
12/14/10
CE
CE
RECEIPTS
20.00
CE
01332
06/11
AJ
12/14/10
CE
CE
RECEIPTS
10.00
CE
01353
06111
AJ
12/15/10
CE
CE
RECEIPTS
20.00
CE
01359
06111
AJ
12116110
CE
CE
RECEIPTS
40.00
CE
01407
06/11
AJ
12/17/10
CE
CE
RECEIPTS
20.00
CE
01407
06111
AJ
12/17/10
CE
CE
RECEIPTS
110.00
CE
01414
06111
AJ
12/20/10
CE
CE
RECEIPTS
30.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER _rVITY LISTING
P-1061
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND*101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
CE
01414
06/11
AJ
12/20/10
CE
CE
RECEIPTS
30.00
CE
01454
06111
AJ
12/28/10
CE
CE
RECEIPTS
10.00
CE
01461
06111
AJ
12/29/10
CE
CE
RECEIPTS
10.00
CE
01468
06111
AJ
12/30/10
CE
CE
RECEIPTS
10.00
CE
01485
07/11
AJ
01/03/11
CE
CE
RECEIPTS
10.00
CE
01491
07/11
AJ
01/04/11
CE
CE
RECEIPTS
10.00
CE
01491
07/11
AJ
01/04/11
CE
CE
RECEIPTS
10.00
CE
01496
07/11
AJ
01/05/11
CE
CE
RECEIPTS
20.00
CE
01502
07/11
AJ
01106111
CE
CE
RECEIPTS
40.00
CE
01507
07/11
AJ
01/07/11
CE
CE
RECEIPTS
40.00
CE
01524
07/11
AJ
01/10/11
CE
CE
RECEIPTS
10.00
CE
01524
07/11
AJ
01/10/11
CE
CE
RECEIPTS
40.00
CE
01524
07/11
AJ
01/10/11
CE
CE
RECEIPTS
10.00
CE
01544
07/11
AJ
01/12/11
CE
CE
RECEIPTS
20.00
CE
01544
07/11
AJ
01/12/11
CE
CE
RECEIPTS
10.00
CE
01555
07/11
AJ
01/13/11
CE
CE
RECEIPTS
10.00
CE
01555
07/11
AJ
01/13/11
CE
CE
RECEIPTS
10.00
CE
01555
07/11
AJ
01/13/11
CE
CE
RECEIPTS
70.00
CE
01587
07/11
AJ
01/14/11
CE
CE
RECEIPTS
40.00
CE
01587
07/11
AJ
01/14/11
CE
CE
RECEIPTS
'70.00
CE
01593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
20.00
CE
01593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
40.00
CE
01593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
60.00
CE
01593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
20.00
CE
01600
07/11
AJ
01/19/li
CE
CE
RECEIPTS
70.00
CE
01600
07/11
AJ
01/19/11
CE
CE
RECEIPTS
10.00
CE
01610
07/11
AJ
01/20/11
CE
CE
RECEIPTS
30.00
CE
01610
07/11
AJ
01/20/11
CE
'CE
RECEIPTS
20.00
CE
01616
07/11
AJ
01/21/11
CE
CE
RECEIPTS
60.00
CE
01616
07/11
AJ
01/21/11
CE
CE
RECEIPTS
80.00
CE
01616
07/11
AJ
01/21/11
CE
CE
RECEIPTS
40.00
CE
01616
07/11
AJ
01/21/11
CE
CE
RECEIPTS
10.00
CE
01622
07/11
AJ
01/24/11
CE
CE
RECEIPTS
10.00
CE
01652
07/11
AJ
01/25/11
CE
CE
RECEIPTS
20.00
CE
01660
07/11
AJ
01126111
CE
CE
RECEIPTS
20.00
CE
01660
07/11
AJ
01/26/11
CE
CE
RECEIPTS
10.00
CE
01668
07/11
AJ
01/27/11
CE
CE
RECEIPTS
10.00
CE
01668
07/11
AJ
01/27/11
CE
CE
RECEIPTS
60.00
CE
01668
07/11
AJ
01/27/11
CE
CE
RECEIPTS
10.00
CE
01674
07/11
AJ
01/28/11
CE
CE
RECEIPTS
40.00
CE
01674
07/11
AJ
01/28/11
CE
CE
RECEIPTS
50.00
CE
01674
07/11
AJ
01/28/11
CE
CE
RECEIPTS
30.00
CE
01681
07/11
AJ
01/31/11
CE
CE
RECEIPTS
10.00
CE
01681
07/11
AJ
01/31/11
CE
CE
RECEIPTS
60.00
CE
01689
08/11
AJ
02/01/11
CE
CE
RECEIPTS
20.00
CE
01725
08/11
AJ
02/02/11
CE
CE
RECEIPTS
20.00
CE
01725
08/11
AJ
02/02/11
CE
CE
RECEIPTS
20.00
CE
01731
08/11
AJ
02/03/11
CE
CE
RECEIPTS
50.00
CE
01736
08/11
AJ
02/04/11
CE
CE
RECEIPTS
10.00
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER --.�VITY LISTING P----362
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T
DEBITS CREDITS
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
CE
01736
08/11
AJ
02/04/11
CE
CE
RECEIPTS
120.00
CE
01736
08/11
AJ
02/04/11
CE
CE
RECEIPTS
40.00
CE
01746
08/11
AJ
02/07/11
CE
CE
RECEIPTS
10.00
CE
01753
08/11
AJ
02/08/11
CE
CE
RECEIPTS
10.00
CE
01753
08/11
AJ
02/08/11
CE
CE
RECEIPTS
50.00
CE
01764
08/11
AJ
02/09/11
CE
CE
RECEIPTS
20.00
CE
01775
08/11
AJ
02/10/11
CE
CE
RECEIPTS
40.00
CE
01775
08/11
AJ
02/10/11
CE
CE
RECEIPTS
20.00
CE
01808
08/11
AJ
02/11/11
CE
CE
RECEIPTS
10.00
CE
01808
08/11
AJ
02/11/11
CE
CE
RECEIPTS
10.00
CE
01808
08/11
AJ
02/11/11
CE
CE
RECEIPTS
50.00
CE
01815
08/11
AJ
02/14/11
CE
CE
RECEIPTS
40.00
CE
01815
08/11
AJ
02/14/11
CE
CE
RECEIPTS
20.00
CE
01815
08/11
AJ
02/14/11
CE
CE
RECEIPTS
50.00
CE
01821
08/11
AJ
02/15/11
CE
CE
RECEIPTS
10.00
CE
01829
08/11
AJ
02/1,�/Il
CE
CE
RECEIPTS
40.00
CE
01829
08/11
AJ
02/16/11
CE
CE
RECEIPTS
20.00
CE
01836
08/11
AJ
02/17/11
CE
CE
RECEIPTS
40.00
CE
01836
08/11
AJ
02/17/11
CE
CE
RECEIPTS
10.00
CE
01836
08/11
AJ
02/17/11
CE
CE
RECEIPTS
20.00
CE
01850
08/11
AJ
02/18/11
CE
CE
RECEIPTS
120.00
CE
01850
08/11
AJ
02/18/11
CE
CE
RECEIPTS
10.00
CE
01862
08/11
AJ
02/23/11
CE
-CE
RECEIPTS
30.00
CE
01889
08/11
AJ
02/25/11
CE
CE
RECEIPTS
10.00
CE
01900
08/11
AJ
02/28/11
CE
CE
RECEIPTS
10.00
CE
01900
08/11
AJ
02/28/11
CE
CE
RECEIPTS
20.00
CE
01900
08/11
AJ
02/28/11
CE
CE
RECEIPTS
20.00
CE
01929
09/11
AJ
03/01/11
CE
CE
RECEIPTS
10.00
CE
01946
09/11
AJ
03/02/11*
CE
CE
RECEIPTS
20.00
CE
01946
09/11
AJ
03/02/11
CE
CE
RECEIPTS
10.00
CE
01967
09/11
AJ
03/03/11
CE
CE
RECEIPTS
60.00
CE
01967
09/11
AJ
03/03/11
CE
CE
RECEIPTS
30.00
CE
01976
09/11
AJ
03/04/11
CE.
CE
RECEIPTS
30.00
CE
01976
09/11
AJ
03/04/11
CE
CE
RECEIPTS
140.00
CE
01976
09/11
AJ
03;104/11
CE
CE
RECEIPTS
10.00
CE
01990
09/11
AJ
03/07/11
CE
CE
RECEIPTS
20.00
CE
01990
09/11
AJ
03/07/11.
CE
CE
RECEIPTS
10.00
CE
01997
09/11
AJ
03/08/11
CE
CE
RECEIPTS
40.00
CE
02052
09/11
AJ
03/09/11
CE
CE
RECEIPTS
40.00
CE
02052
09/11
AJ
03/09/11
CE
CE
RECEIPTS
30.00
CE
02058
09/11
AJ
03/10/11
CE
CE
RECEIPTS
30.00
CE
02058
09/11
AJ
03/10/11
CE
CE
RECEIPTS
30.00
CE
02065
09/11
AJ
03/11/11
CE
CE
RECEIPTS
10.00
CE
02065
09/11
AJ
03/11/11
CE
CE
RECEIPTS
90.00
CE
02071
09/11
AJ
03/14/11
CE
CE
RECEIPTS
10.00
CE
02071
09/11
AJ
03/14/11
CE
CE
RECEIPTS
30.00
CE
02071
09/11
AJ
03/14/11
CE
CE
RECEIPTS
60.00
CE
02088
09/11
AJ
03/15/11
CE
CE
RECEIPTS
20.00
CE
02088
09/11
AJ
03/15/11
CE
CE
RECEIPTS
10.00
BEGINNING
/ENDING
BALANCE
PREPARED --7/2014, 10:19:00 GENERAL LEDGER --..VITY LISTING P ----D63
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.09-01
MiscellaAeous
Permits Garage Sale Permits
CE
02094
09/11
AJ
03/16/il
CE
CE
RECEIPTS
20.00
CE
02094
09/11
AJ
03/16/11
CE
CE
RECEIPTS
20.00
CE
02101
09/11
AJ
03/17/11
CE
CE
RECEIPTS
20.00
CE
02101
09/11
AJ
03/17/11
CE
CE
RECEIPTS
20.00
CE
02108
09/11
AJ
03/18/11
CE
CE
RECEIPTS
30.00
CE
02108
09/11
AJ
03/18/11
CE
CE
RECEIPTS
150.00
CE
02108
09/11
AJ
03/18/11
CE
CE
RECEIPTS
10.00
CE.02118
09/11
AJ
03/21/11
CE
CE
RECEIPTS
50.00
CE
02140
09/11
AJ
03/22/11
CE
CE
RECEIPTS
10.00
CE
02140
09/11
AJ
03/22/11
CE
CE
RECEIPTS
20.00
CE
02146
09/11
AJ
03/23/11
CE
CE
RECEIPTS
50.00
CE
02146
09/11
AJ
03/23/11
CE
CE
RECEIPTS
30.00
CE
02160
09/11
AJ
03/24/11
CE
CE
RECEIPTS
10.00
CE
0'2160
09/11
AJ
03/24/11
CE
CE
RECEIPTS
10.00
CE
02168
09/11
AJ
03/25/11
CE
CE
RECEIPTS
140.00
CE
02168
09/11
AJ
03/25/11
CE
CE
RECEIPTS
60.00
CE
02174
09/11
AJ
03/28/11
CE
CE
RECEIPTS
10.00
CE
02174
09/11
AJ
03/28/11
CE
CE
RECEIPTS
10.00
CE
02185
09/11
AJ
03/29/11
CE
CE
RECEIPTS
30.00
CE
02185
09/11
AJ
03/29/11
CE
CE
RECEIPTS
10.00
CE
02204
09/1-1
AJ
03/30/11
CE
CE
RECEIPTS
30.00
CE
02204
09/11
AJ
03/30/11
CE
CE
RECEIPTS
50.00
CE
02210
09/11
AJ
03/31/11
CE
CE
RECEIPTS
60.00
CE
02210
09/11
AJ
03/31/11
CE
CE
RECEIPTS
30.00
CE
02216
10/11
AJ
04/01/11
CE
CE
RECEIPTS
100.00
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
10.00
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
40.00
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
10.00
CE
02263
10/11
AJ
04/05/11
CE
CE
RECEIPTS
10.00
CE
02263
10/11
AJ
04/05/11
CE
CE
RECEIPTS
40.00
CE
02269
10/11
AJ
04/06/11
CE
CE
RECEIPTS
10.00
CE
02269
10/11
AJ
04/06/11
CE
CE
RECEIPTS
10.00
CE
02269
10/11
AJ
04/06/11
CE
CE
RECEIPTS
50.00
CE
02269
10/11
AJ
04/06/11
CE
CE
RECEIPTS
10.00
CE
02276
10/11
AJ
04/07/11
CE
CE
RECEIPTS
20.00
CE
02276
10/11
AJ
04/07/11
CE
CE
RECEIPTS
110.00
CE
02282
10/11
AJ
04/08/11
CE
CE
RECEIPTS
20.00
CE
02282
10/11
AJ
04/08/11
CE
CE
RECEIPTS
130.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
10.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
20.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
60.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
10.00
CE
02331
10/11
AJ
04/12/11
CE
CE
RECEIPTS
10.00
CE
02331
10/11
AJ
04/12/11
CE
CE
RECEIPTS
30.00
CE
02337
10/11
AJ
04/13/11
CE
CE
RECEIPTS
40.00
CE
02337
10/11
AJ
04/13/11
CE
CE
RECEIPTS
20.00
CE
02344
10/11
AJ
04/14/11
CE
CE
RECEIPTS
110.00
CE
02344
10/11
AJ
04/14/11
CE
CE
RECEIPTS
10.00
CE
02357
10/11
AJ
04/15/11
CE
CE
RECEIPTS
200.00
BEGINNING
/ENDING
BALANCE
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .-IVITY LISTING P..---064
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ---- -
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
BEGINNING
/ENDING
BALANCE
------------------------------------------------------------------------------------ I - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
101-5000-322.09-01
Miscellaneous
Permits Garage Sale Permits
CE
02363
10/11
AJ
04/18/11
CE
CE
RECEIPTS
40.00
CE
02363
10/11
AJ
04/18/11
CE
CE
RECEIPTS
20.00
CE
02369
10/11
AJ
04/19/11
CE
CE
RECEIPTS
30.00
CE
02376
10/11
AJ
04/20/11
CE
CE
RECEIPTS
20.00
CE
02382
10/11
AJ
04/21/11
CE
CE
RECEIPTS
.40.00
CE
02382
10/11
AJ
04/21/11
CE
CE
RECEIPTS
10.00
CE
02387
10/11
AJ
04/22/11
CE
CE
RECEIPTS
10.00
CE
02387
10/11
AJ
04/22/11
CE
CE
RECEIPTS
.40.00
CE
02393
10/11
AJ
04/25/11
CE
CE
RECEIPTS
10.00
CE
02393
10/11
AJ
04/25/11
CE
CE
RECEIPTS
10.00
CE
02393
10/11
AJ
04/25/11
CE
CE
RECEIPTS
30.00
CE
02399
10/11
AJ
04/26/11
CE
CE
RECEIPTS
30.00
CE
02432
10/11
AJ
04/27/11
CE
CE
RECEIPTS
60.00
CE
02432
10/11
AJ
04/27/11
CE
CE
RECEIPTS
20.00
CE
02441
10/11
AJ
04/28/11
CE
CE
RECEIPTS
50.00
CE
012441
10/11
AJ
04/28/11
CE
CE
RECEIPTS
50.00
CE
02448
10/11
AJ
04/29/11
CE
CE
RECEIPTS
30.00
CE
02448
10/11
AJ
04/29/11
CE
CE
RECEIPTS
50.00
CE
02448
10/11
AJ
04/29/11
C E
CE
RECEIPTS
10.00
CE.02456
11/11
AJ
05/02/11
CE
CE
RECEIPTS
40.00
CE
02456
11/11
AJ
05/02/11
CE
CE
RECEIPTS
20.00
CE
02488
11/11
AJ
05/04/11
CE
CE
RECEIPTS
30.00
CE
02488
'11/11
AJ
05/04/11
CE
CE
RECEIPTS
10.00
CE
02499
11/11
AJ
05/05/11
CE
CE
RECEIPTS
60.00
CE
02499
11/11
AJ
05/05/11
CE
CE
RECEIPTS
20.00
CE
02505
11/11
AJ
05106111
CE
CE
RECEIPTS
80.00
CE
02518
11/11
AJ
05/09/11
CE
CE
RECEIPTS
40.00
CE
02518
11/11
AJ
05/09/11
CE
CE
RECEIPTS
10.00
CE
02518
11/11
AJ
05/09/11
CE
CE
RECEIPTS
100.00
CE
0;?533
11/11
AJ
05/10/11
CE
CE
RECEIPTS
20.00
CE
02533
11/11
AJ
05/10/11
CE
CE
RECEIPTS
10.00
CE
02533
11/11
AJ
05/10/11
CE
CE
RECEIPTS
20.00
CE
02543
11/11
AJ
05/11/11
CE
CE
RECEIPTS
10.00
CE
02565
11/11
AJ
05/12/11
CE
CE
RECEIPTS
20.00
CE,02565
11/11
AJ
05/12/11
CE
CE
RECEIPTS
10.00
CE
02571
11/11
AJ
05/13/11
CE
CE
RECEIPTS
130.00
CE
02577
11/11
AJ
05116111
CE
CE
RECEIPTS
40.00
CE
02605
11/11
AJ
05/18/11
CE
CE
RECEIPTS
10.00
CE
02605
11/11
AJ
05/18/11
CE
CE
RECEIPTS
40.00
CE
02605
11/11
AJ
05/18/11
CE
CE
RECEIPTS
40.00
CE
02613
11/11
AJ
05/19/11
CE
CE
RECEIPTS
50.00
CE
02613
11/11
AJ
05/19/11
CE
CE
RECEIPTS
30.00
CE
02632
11/11
AJ
05/20/11
CE
CE
RECEIPTS
20.00
CE
02632
11/11
AJ
05/20/11
CE
CE
RECEIPTS
20.00
CE
02632
11/11
AJ
05/20/11
CE
CE
RECEIPTS
10.00
CE
02632
11/11
AJ
05/20/11
CE
CE
RECEIPTS
60.00
CE
02641
11/11
AJ
05/23/11
CE
CE
RECEIPTS
70.00
CE
02641
11/11
AJ
05/23/11
CE
CE
RECEIPTS
10.00
CE
02641
11/11
AJ
05/23/11
CE
CE
RECEIPTS
50.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER -----VITY LISTING P..---065
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE * NUMBER D E S C R I P T 1 0 N
.101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits
DEBITS CREDITS
CE
02664
11/11
AJ
05/24/11
CE
CE
RECEIPTS
10.00
CE
02664
11/11
AJ
05/24/11
CE
CE
RECEIPTS
40.00
CE
02664
11/11
AJ
05/24/11
CE
CE
RECEIPTS
10.00
CE
02664
11/11
AJ
05/24/11
CE
CE
RECEIPTS
20.00
CE
02672
11/11
AJ
05/25/11
CE
CE
RECEIPTS
60.00
CE
02672
11/11
AJ
05/25/11
CE
CE
RECEIPTS
10.00
CE
02681
11/11
AJ
05/26/11
CE
CE
RECEIPTS
20.00
CE
02681
11/11
AJ
05/26/11
CE
CE
RECEIPTS
30.00
CE
02700
11/11
AJ
05/27/11
CE
CE
RECEIPTS
20.00
CE
02700
11/11
AJ
05/27/11
CE
CE
RECEIPTS
130.00
CE
02688
11/11
AJ
05/31/11
CE
CE
RECEIPTS
10.00
CE
02688
11/11
AJ
05/31/11
CE
CE
RECEIPTS
30.00
CE
02688
11/11
AJ
05/31/11
CE
CE
RECEIPTS
10.00
CE
02709
12/1-1
AJ
06/01/11
CE
CE
RECEIPTS
10.00
CE
02709
12/11
AJ
04�/01/11
CE
CE
RECEIPTS
30.00
CE
02709
12/11
AJ
06/01/11
CE
CE
RECEIPTS
10.00
CE
02717
12/11
AJ
06/02/11
CE
CE
RECEIPTS
50.00
CE
0*2717
12/11
AJ
06/02/11
CE
CE
RECEIPTS
40.00
CE
02724
12/11
AJ
06/03/11
CE
CE
RECEIPTS
20.00
CE
02724
12/11
AJ
06/03/11
CE
CE
RECEIPTS
90.00
CE
02763
12/11
AJ
06106111
CE
CE
RECEIPTS
40.00
CE
02763
12/11
AJ
06106111
CE
CE
RECEIPTS
30.00
CE
02763
12/11
AJ
06106111
CE
CE
RECEIPTS
60.00
CE
02770
12/11
AJ
06/07/11
CE
CE
RECEIPTS
40.00
CE
02770
12/11
AJ
06/07/11
CE
CE
RECEIPTS
20.00
CE
02777
12/11
AJ
06/08/11
CE
CE
RECEIPTS
20.00
CE
02777
12/11
AJ
06/08/11
CE
CE
RECEIPTS
20.00
CE
02798
12/11
AJ
06/09/11
CE
CE
RECEIPTS
30.00
CE
02798
12/11
AJ
06/09/11
CE
CE
RECEIPTS
50.00
CE
02798
12/11
AJ
06/09/11
CE
CE
RECEIPTS
10.00
CE
02812
12/11
AJ
06110111
CE
CE
RECEIPTS
210.00
CE
09812
12/11
AJ
06110111
CE
CE
RECEIPTS
10.00
CE
02819
12/11
AJ
06/13/11
CE
CE
RECEIPTS
40.00
CE
02819
12/11
AJ
06/13/11
CE
CE
RECEIPTS
10.00
CE
02825
12/11
AJ
06/14/11
CE
CE
RECEIPTS
20.00
CE
02825
12/11
AJ
06/14/11
CE
CE
RECEIPTS
30.00
CE
02838
12/11
AJ
06115111
CE
CE
RECEIPTS
10.00
CE
02838
12/11
AJ
06115111
CE
CE
RECEIPTS
10.00
CE
02849
12/11
AJ
06116111
CE
CE
RECEIPTS
60.00
CE
02849
12/11
AJ
06116111
CE
CE
RECEIPTS
30.00
CE
02859
12/11
AJ
06/17/11
CE
CE
RECEIPTS
20.00
CE
02859
12/11
AJ
06/17/11
CE
CE
RECEIPTS
10.00
CE
02859
12/11
AJ
06/17/11
CE
CE
RECEIPTS
40.00
CE
02889
12/11
AJ
06/20/11
CE
CE
RECEIPTS
90.00
CE
02895
12/11
AJ
06/21/11
CE
CE
RECEIPTS
30.00
CE
02895
12/11
AJ
06/21/11
CE
CE
RECEIPTS
10.00
CE
02903
12/11
AJ
06/22/11
CE
CE
RECEIPTS
20.00
CE
02903
12/11
AJ
06/22/11
CE
CE
RECEIPTS
10.00
CE
02959
12/11
AJ
06/23/11
CE
CE
RECEIPTS
50.00
BEGINNING
/ENDING
BALANCE
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER _.-VITY LISTING P..___066
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------ r -----------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------- * ------------------------------------- : --------------------
101-5000-322.09-01
Miscellaneous Permits
Garage Sale Permits
CE
02959
12/11
AJ
.06/23/11
CE
CE
RECEIPTS
70.00
CE
02965
12/11
AJ
06/24/11
CE
CE
RECEIPTS
40.00
CE
02965
12/11
AJ
06/24/11
CE
CE
RECEIPTS
130.00
CE
02971
12/11
AJ
06/27/11
CE
CE
RECEIPTS
10.00
CE
02971
12/11
AJ
06/27/11
CE
CE
RECEIPTS
30.00
CE
02977
12/11
AJ
06/28/11
CE
CE
RECEIPTS
10.00
CE
0.2984
12/11
AJ
06/29/11
CE
CE
RECEIPTS
10.00
GM
02940
12/11
AJ
06/30/11
JE 12-031
6/28 DEBIT CRD CUST RFND
10.00
CE
02991
12/11
AJ
06/30/11
CE
CE
RECEIPTS
20.00
ACCOUNT TOTAL
10.00 16,850.00
101-5000-322.10-00
Non -Business Licenses
Golf Cart Permits
CE
00599
03/11
AJ
09/13/10
CE
CE
RECEIPTS
20.00
CE
00872
04/11
AJ
10/13/10
CE
CE
RECEIPTS
20.00
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
20.00
CE
01317
06111
AJ
12/10/10
CE
CE
RECEIPTS
20.00
CE
01502
07/11
AJ
01106111
CE
CE
RECEIPTS
20.00
CE
0*1622
07/11
AJ
01/24/11
CE
CE
RECEIPTS
20.00
CE
01681
07/11
AJ
01/31/11
CE
CE
RECEIPTS
20.00
CE
01808
08/11
A4
02/11/11
CE
CE
RECEIPTS
20.00
CE
02065
09/11
AJ
03/11/11
CE
CE
RECEIPTS
20.00
CE
02221
10/11
AJ
04/04/11
CE
CE
RECEIPTS
20.00
CE
02462
11/11
AJ
05/03/11
CE
CE
RECEIPTS
26.00
CE
02825
12/11
AJ
06/14/11
CE
CE
RECEIPTS
20.00
ACCOUNT TOTAL
240.00
101-5000-322.15-00
Non -Business Licenses
Massage Permits
CE
00028
01/11
AJ
07/01/10
CE
CE
RECEIPTS
100.00
CE
00083
01/11
AJ
07/14/10
CE
CE
RECEIPTS
100.00
CE
OJ)137
01/11
AJ
07/19/10
CE
CE
RECEIPTS
100.00
CE
00144
01/11
AJ
07/20/10
CE
CE
RECEIPTS
10.00
CE
00161
01/11
AJ
07/22/10
CE
CE
RECEIPTS
250.00
CE
00200
01/11
AJ
07/27/10
CE
CE
RECEIPTS
20.00
CE
00248
02/11
AJ
08/03/10
CE
CE
RECEIPTS
150.00
CE
00316
02/11
AJ
08/12/10
CE
CE
RECEIPTS
200.00
CE
00323
02/11
AJ
08/13/10
CE
CE
RECEIPTS
100.00
CE
00338
02/11
AJ
08116110
CE
CE
RECEIPTS
100.00
CE
00380
02/11
AJ
08/18/10
CE
CE
RECEIPTS
150.00
CE
00460
02/11
AJ
08/23/10
CE
CE
RECEIPTS
100.00
CE
00503
02/11
AJ
08/30/10
CE
CE
RECEIPTS
150.00
CE
00511
02/11
AJ
08/31/10
CE
CE
RECEIPTS
100.00
CE
00527
03/11
AJ
09/01/10
CE
CE
RECEIPTS
100.00
CE
00559
03/11
AJ
09/08/10
CE
CE
RECEIPTS
150.00
CE
00611
03/11
AJ
09/14/10
CE
CE
RECEIPTS
100.00
CE
0,0617
03/11
AJ
09/15/10
CE
CE
I
RECEIPTS
100.00
16,840.00CR
.00
240.00CR
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER LISTING P___067
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.15-00
Non -Business Licenses
Massage Permits
CE
00656
03/11
AJ
09/20/10
CE
CE
RECEIPTS
200.00
CE
00656
03/11
AJ
09/20/10
CE
CE
RECEIPTS
100.00
CE
00678
03/11
AJ
09/22/10
CE
CE
RECEIPTS
200.00
CE
00691
03/11
AJ
09/23/10
CE
CE
RECEIPTS
25.00
CE
00697
03/11
AJ
09/24/10
CE
CE
RECEIPTS
25.00
CE
00722
03/11
AJ
09/27/10
CE
CE
RECEIPTS
100.00
CE
00741
03/11
AJ
09/29/10
CE
CE
RECEIPTS
250.00
CE
00757
04/11
AJ
10/01/10
CE
CE
RECEIPTS
110;00
CE
00792
04/11
AJ
10/04/10
CE
CE
RECEIPTS
100.00
CE
00818
04/11
AJ
10/08/10
CE
CE
RECEIPTS
150.00
CE
00865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
150.00
CE
00967
04/11
AJ
10126110
CE
CE
RECEIPTS
10.00
CE
00974
04/11
AJ
10/27/10
CE
CE
RECEIPTS
25.00
CE
00982
04/11
AJ
10/28/10
CE
CE
RECEIPTS
150.00
CE
00982
04/11
AJ
10/28/10
CE
CE
RECEIPTS
100.00
CE
00990
04/11
AJ
10/29/10
CE
CE
RECEIPTS
100.00
CE
01058
05/11
AJ
11/05/10
CE
CE
RECEIPTS
100.00
CE
01128
05/11
AJ
11/15/10
CE
CE
RECEIPTS
100.00
CE
01151
05/11
AJ
11/18/10
CE
CE
RECEIPTS
25.00
CE
01151
05/11
AJ
11/18/10
CE
CE
RECEIPTS
100.00
CE
01207
05/11
AJ
11/24/10
CE
CE
RECEIPTS
100.00
CE
01220
05/11
AJ
11/29/10
CE
CE
RECEIPTS
100.00
CE
01227
05/11
AJ
11/30/10
CE
CE
RECEIPTS
100.00
CE
01276
06111
AJ
12/02/10
CE
CE
RECEIPTS
100.00
CE
01289
06111
AJ
12/06/10
CE
CE
RECEIPTS
100.00
CE
01303
06111
AJ
12/08/10
CE
CE
RECEIPTS
150.00
CE
01310
06111
AJ
12/09/10
CE
CE
RECEIPTS
10.00
CE
01310
0611.1
AJ
12/09/10
CE
CE
RECEIPTS
100.00
CE
01332
06111
AJ
12/14/10
CE
CE
RECEIPTS
100.00
CE
01353
06111
AJ
12/15/10
CE
CE
RECEIPTS
100.00
CE
01353
06111
AJ
12/15/10
CE
CE
RECEIPTS
100.00
CE
01447
06111
AJ
12/27/10
CE
CE
RECEIPTS
100.00
CE
01491
07/11
AJ
01/04/11
CE
CE
RECEIPTS
250.00
CE
01534
07/11
AJ
01/11/11
CE
CE
RECEIPTS
150.00
CE
01544
07/11
AJ
01/12/11
CE
CE
RECEIPTS
100.00
CE
CJ593
07/11
AJ
01/18/11
CE
CE
RECEIPTS
100.00
CE
01600
07/11
AJ
01/19/11
CE
CE
RECEIPTS
10.00
CE
01622
07/11
AJ
01/24/11
CE
CE
RECEIPTS
10.00
CE
01652
07/11
AJ
01/25/11
CE
CE
RECEIPTS
125.00
CE
01652
07/11
AJ
01/25/11
CE
CE
RECEIPTS
150.00
CE
01681
07/11
AJ
01/31/11
CE
CE
RECEIPTS
100.00
CE
01731
08/11
AJ
02/03/11
CE
CE
RECEIPTS
10.00
CE
01746
08/11
AJ
02/07/11
CE
CE
RECEIPTS
100.00
CE
01764
08/11
AJ
02/09/11
CE
CE
RECEIPTS
100.00
CE
01764
08/11
AJ
02/09/11
CE
CE
RECEIPTS
10.00
CE
01775
08/11
AJ
02/10/11 -CE
CE
RECEIPTS
10.00
CE
01775
08/11
AJ
02/10/11
CE
CE
RECEIPTS
200.00
CE
01821
08/11
AJ
02/15/11
CE
CE
RECEIPTS
10.00
CE
01850
08/11
AJ
02/18/11
CE
CE
RECEIPTS
150.00
BEGINNING
/ENDING
BALANCE
PREPARED _-7/2014, 10:19:00 GENERAL LEDGER _._;VITY LISTING P___068
OROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-322.15-00
Non -Business
Licenses Massage Permits
CE
01862
08/11
AJ
02/23/11
CE
CE
RECEIPTS
100.00
CE
01929
09/11
AJ
03/01/11
CE
CE
RECEIPTS
10.00
CE
.02071
09/11
AJ
03/14/11
CE
CE
RECEIPTS
100.00
CE
02094
09/11
AJ
03116111
CE
CE
RECEIPTS
250.00
CE
02101
09/11
AJ
03/17/11
CE
CE
RECEIPTS
100.00
CE
02146
09/11
AJ
03/23/11
CE
CE
RECEIPTS
100.00
CE
02168
09/11
AJ
03/25/11
CE
CE
RECEIPTS
10.00
CE
02168
09/11
AJ
03/25/11
CE
CE
RECEIPTS
100.00
CE
02174
09/11
AJ
03/28/11
CE
CE
RECEIPTS
100.00
CE
02204
09/11
AJ
03/50/11
CE
CE
RECEIPTS
100.00
CE
02210
09/11
AJ
03/31/11
CE
CE
RECEIPTS
200.00
CE
02210
09/11
AJ
03/31/11
CE
CE
RECEIPTS
100.00
CE
02263
10/11
AJ
04/05/11
CE
CE
RECEIPTS
10.00
CE
02282
10/11
AJ
04/08/11
CE
CE
RECEIPTS
100.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
150.00
CE
02331
10/11
AJ
04/12/11
CE
CE
RECEIPTS
100.00
CE
02337
10/11
AJ
04/13/11
CE
CE
RECEIPTS
100.00
CE
02337
10/11
AJ
04/13/11
CE
CE
RECEIPTS
25.00
CE
02357
10/11
AJ
04/15/11
CE
CE
RECEIPTS
100.00
CE
02357
10/11
AJ
04/15/11
CE
CE
RECEIPTS
100.00
CE
02376
10/11
AJ
04/20/11
CE
CE
RECEIPTS
100.00
CE
02382
10/11
AJ
04/21/11
CE
CE
RECEIPTS
10.00
CE
02393
10/11
AJ
04/25/11
CE
CE
RECEIPTS
105.00
CE
012441
10/11
AJ
04/28/11
CE
CE
RECEIPTS
25.00
CE
02448
10/11
AJ
04/29/11
CE
CE
RECEIPTS
250.00
CE
02462
11/11
AJ
05/03/11
CE
CE
RECEIPTS
.10.00
CE
02488
11/11
AJ
05/04/11
CE
CE
RECEIPTS
100.00
CE
02518
11/11
AJ
05/09/11
CE
CE
RECEIPTS
200.00
CE
02672
11/11
AJ
05/25/11
CE
CE
RECEIPTS
110.00
CE
02700
11/11
AJ
05/27/11
CE
CE
RECEIPTS
100.00
CE
02763
12/11
AJ
06106111
CE
CE
RECEIPTS
100.0d
CE
02770
12/11
AJ
06/07/11
CE
CE
RECEIPTS
100.00
CE
M98
12/11
AJ
06/09/11
CE
CE
RECEIPTS
100.00
CE
02825
12/11
AJ
06/14/11
CE
CE
RECEIPTS
50.00
CE
02849
12/11
AJ
06116111
CE
CE
RECEIPTS
100.00
CE
02971
12/11
AJ
06/27/11
CE
CE
RECEIPTS
100.00
ACCOUNT TOTAL 10,460.00
101-5000-322.17-00
Non -Business
Licenses / Grading permits
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
30.00
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
15.00
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
15.00
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
30.00
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
22.50
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
15.00
BP
00566
03/11
AJ
09/09/10
BP
BP
RECEIPTS
15.00
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
30.00
BEGINNING
/ENDING
BALANCE
10,460.00CR
.00
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER _.JVITY 'LISTING
P_.___069
PROGRAM
GM362LA
CITY
-----------------------------------------------------------------------------------------------------------------------
OF LA
QUINTA, CALIFORNIA
;
FUND
101
General
Fund
-------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
--------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
6 ---------------------------------------------------------------------------------------------
E S
C R I P T 1 0 N DEBITS
CREDITS
BALANCE
101-5000-322.17-00
Non -Business Licenses
Grading
permits
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
15.00
BP
00647
03/11
AJ
09/17;110
BP
BP
RECEIPTS
15.00
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
45.00
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
30.00
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
60.00
BP
00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
45.00
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
15.00
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
15.00
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
15.00
BP
01218
05/11
AJ
11/29/10
BP
BP
RECEIPTS
15.00
BP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
540.00
BP
01287
06111
AJ
12/06/10
BP
BP
RECEIPTS
15.00
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
30.00
BP
01331
06/11
AJ
12/14/10
BP
BP
RECEIPTS
15.00
BP
01352.
06/11
AJ
12/15/10
BP
BP
RECEIPTS
55.50
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
45.00
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
15.00
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
15.00
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
15.00
BP
01834
08/11,
AJ
02/17/11
BP
BP
RECEIPTS
60.00
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
15.00
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
15.00
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
15.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
15.00
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
15.00
BP
012268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
15.00
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
15.00
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
30.00
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
15.00
BP
02570
11/11
AJ
05/13/11
BP
BP
RECEIPTS
15.00
BP
02576
11/11
AJ
05116111
BP
BP
RECEIPTS
30.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
15.00
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
15.00
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
30.00
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
30.00
BP
02818
12/11
AJ
06/13/11
BP
BP
RECEIPTS
15.00
BP
02958
12/11
AJ
06/23/11
BP
BP
RECEIPTS
30.00
BP
02963
12/11
AJ
06/24/11
BP
BP
RECEIPTS
60.00
ACCOUNT TOTAL
11638.00
1,638.00CR
101-5000-322.19-00 Non -Business Licenses / Hauling permits
ACCOUNT TOTAL
101-5000-322.20-00 Non -Business Licenses / Animal Licenses
OL 00029 01/11 AJ 07/01/10 OL OL RECEIPTS
22.00
.00
.00
.00
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER :VITY
LISTING
P___070
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING'
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business Licenses
Animal Licenses
OL
00036
01/11
AJ
07/02/10
OL
OL RECEIPTS
8.00
OL
00043
01/11
AJ
07/06/10
OL
OL RECEIPTS
204.00
OL
00049
01/11
AJ
07/07/10
OL
OL RECEIPTS
19.00
OL
00055
01/11
AJ
07/08/10
OL
OL RECEIPTS
202.00
OL
00069
01/11
AJ
07/12/10
OL
OL RECEIPTS
63.00'
OL
00078
01/11
AJ
07/13/10
OL
OL RECEIPTS
81.00
OL
00084
01/11
AJ
07/14/10
OL
OL RECEIPTS
152.00
OL
00123
01/11
AJ
07/15/10
OL
OL RECEIPTS
657.00
OL
00131
01/11
AJ
07/16/10
OL
OL RECEIPTS
8.00
OL
00138
01/11
AJ
07/19/10
OL
OL RECEIPTS
104.00
GM
00099
01/11
AP
07/19/10
0088304
HORTON, CAMMIE
16.00
AL#38313
REFUND
OL
OU145
01/11
AJ
07/20/10
OL
OL RECEIPTS
185.00
CR
00141
01/11
CR
07/20/10
0000699
CK REQ - DUPL PYMNT/HORTO
16.00
KBLONDELL 07/20/10 01
OL
00153
01/11
AJ
07/21/10
OL
OL RECEIPTS
45.00
OL
00162
01/11
AJ
07/22/10
OL
OL RECEIPTS
23.00
OL
00170
01/11
AJ
07/23/10
OL
OL RECEIPTS
24.00
OL
00177
01/11
AJ
07/26/10
OL
OL -RECEIPTS
54.00
OL
00203
01/11
AJ
07/27/10
OL
OL RECEIPTS
163.00
OL
00210
01/11
AJ
07/28/10
OL
OL RECEIPTS
77.00
CR
00207
01/11
CR
07/28/10
0000951
AL RNEW 10-10913/STEDMAN,
3.00
KBLONDELL 07/28/10 01
CR
00207
01/11
CR
07/28/10
0000964
NEW AL 1YR & CK REQ/WATER
4.00
KBLONDELL 07/28/10 01
GM
00274
02/11
AP
07/28/10
0088522
WATERMAN, GREGORY
4.00
AL#LQ381
REFUND
OL
0216
01/11
AJ
07/29/10
OL
OL RECEIPTS
203.00
OL
00222
01/11
AJ
07/30/10
OL
OL RECEIPTS
75.00
OL
00241
02/11
AJ
08/02/10
OL
OL RECEIPTS
487.00
OL
00249
02/11
AJ
08/03/10
OL
OL RECEIPTS
101.00
OL
00255
02/11
AJ
08/04/10
OL
OL RECEIPTS
211.00
OL
00265
02/11
AJ
08/05/10
OL
OL RECEIPTS
169.00
CR
00261
02/11
CR
08/05/10
0001295
AL RNEW 10-15290/HANNA, M
3.00
KBLONDELL 08/05/10 01
OL
00271
02/11
AJ
08/06/10
OL
OL RECEIPTS
8.00
OL
-00291
02/11
AJ
08/09/10
OL
OL RECEIPTS -
217.00
OL
00305
02/11
AJ
08/11/10
OL
OL RECEIPTS
94.50
GM
00319
02/11
AP
08/11/10
0088626
ELFINE, JAN
10,00
ANIMAL LIC
REFUND
OL
00317
02/11
AJ
08/12/10
OL
OL RECEIPTS
273.00
OL
0j)339
02/11
AJ
08/16/10
OL
OL RECEIPTS
19.00
OL
00375
02/11
AJ
08/17/10
OL
OL RECEIPTS
35.00
OL
00403
02/11
AJ
08/19/10
OL
OL RECEIPTS
262.00
CR
00399
02/11
CR
08/19/10
0001812
AL RNEW & OVPYMNT/IBAY, R
9.00
KBLONDELL 08/19/10 01
OL
00432
02/11
AJ
08/20/10
OL
OL RECEIPTS
95.00
OL
00461
02/11
AJ
08/23/10
OL
OL RECEIPTS
65.00
GM
00367
03/11
AP
08/23/10
0088831
IBAY, LISA
9.00
PREPARED
7/2014,
10:19:00
GENERAL LEDGER ___.JVITY
LISTING
P..--- 071
PROGRAM
GM362LA
CITY OF LA.QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business Licenses
Animal Licenses
AL#37666
REFUND
OL
00470
02/11
AJ
08/24/10
OL
OL RECEIPTS
52.00
OL
00479
02/11
AJ
08/25/10
OL
OL RECEIPTS
214.00
OL
00486
02/11
AJ
08/26/10
OL
OL RECEIPTS
132.00
OL
00504
02/11
AJ
08/30/10
OL
OL RECEIPTS
119.00
OL
00512
02/11
AJ
08/31/10
OL
OL RECEIPTS
184.00
CR
00508
02/11
CR
08/31/10
0002304
AL RNEW & CK REQ/JASKOLSK
4.00
KBLONDELL 08/31/10 01
GM
00514
03/11
AP
08/31/10
0088837
JASKOLSKI, ALISON
4.00
AL#37684
REFUND
OL
00528
03/11
AJ
09/01/10
OL
OL RECEIPTS
5.00
OL
00535
03/11
AJ
09/02/10
OL
OL RECEIPTS
5.00
OL
00541
03/11
AJ
09/03/10
OL
OL RECEIPTS
150.00
OL
00560
03/11
AJ
09/08/10
OL
OL RECEIPTS
263.00
OL
ODS68
03/11
AJ
09/09/10
OL
OL RECEIPTS
81.00
GM
00581
03/11
AP
09/09/10
0088889
SMITH, ANNE
26.00
AL#21934
REFUND
OL
00588
03/11
AJ
09/10/10
OL
OL RECEIPTS
120.00
GM
00581
03/11
AP
09/10/10
0088797
CANO, GISELLE
8.00
AL#614
REFUND
OL
00600
03/11
AJ
09/13/10
OL
OL RECEIPTS
100.00
OL
00612
03/11
AJ
09/14/10
OL
OL RECEIPTS
165.00
OL
00618
03/11
AJ
09/15/10
OL
OL RECEIPTS
97.00
CR
00615
03/11
CR
09/15/10
0002988
2 AL RNEW & CK REQ/LATTIM
10.00
KBLONDELL 09/15/10 01
GM
00622
03/11
AP
09/15/10
0089044
LATTIMER, JACQUELINE
10.00
ANIMAL LIC
REFUND
OL
00643
03/11
AJ
09/16/10
OL
OL RECEIPTS
34.00
GM
00622
03/11
AP
09116110
0089011
ELFINE, JAN
5.00
91610
REFUND
OL
00650
03/11
AJ
09/17/10
OL
OL RECEIPTS
89.00
OL
00657
03/11
AJ
09/20/10
OL
OL RECEIPTS
82.00
CR
00654
03/11
CR
09/20/10
0003176
NEW AL & CK REQ OVRPY/SMI
26.00
KBLONDELL 09/20/10 01
OL
00663
03/11
AJ
09/21/10
OL
OL RECEIPTS
240.00
OL
00679
03/11
AJ
09/22/10
OL
OL RECEIPTS
55.00
OL
00692
03/11
AJ
09/23/10
OL
OL RECEIPTS
180.00
OL
00698
03/11
AJ
09/24/10
OL
OL RECEIPTS
75'.00
GM
00712
04/11
AP
09/24/10
0089179
DARR, JAY
32.00
AL#20966
REFUND
OL
00723
03/11
AJ
09/27/10
OL
OL RECEIPTS
44.00
CR
00719
03/11
CR
09/27/10
0003507
AML LIC REFUND-DARR
32.00
MMENDOZA 09/27/10 01
OL
OD733
03/11
AJ
09/28/10
OL
OL RECEIPTS
249.00
OL
00742
03/11
AJ
09/29/10
OL
OL RECEIPTS
68.00
OL
00749
03/11
AJ
09/30/10
OL
OL RECEIPTS
38.00
OL
00758
04/11
AJ
10/01/10
OL
OL RECEIPTS,
75.00
OL
00793
04/11
AJ
10/04/10
OL
OL RECEIPTS
195.00
CR
00789
04/11
CR
10/04/10
0003948
AL RNEW & CK REQ/GUERRIER
4.00
PREPAREEi'-..-7/2014,
10:19:00
GENERAL LEDGER .__1'VITY
LISTING
P___072
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION
----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER - D
E S C R I P T 1 0 N
DEBITS
CREDITS
; -----------------------------
BALANCE
101-5000-322.20-00
Non -Business
Licenses
Animal Licenses
KBLONDELL 10/04/10 01
GM
00784
04/11
AP
10/04/10
0089205
GUERRIERO, THOMAS
4.00
AL#LQ635
REFUND
OL
00799
04/11
AJ
10/05/iD
OL
OL RECEIPTS
192.00
OL
00807
04/11
AJ
10106110
OL
OL RECEIPTS
298.00
OL
00813
04/11
AJ
10/07/10
OL
OL RECEIPTS
590.00
OL
00819
04/11
AJ
10/08/10
OL
OL RECEIPTS
89.00
OL
00859
04/11
AJ
10/11/10
OL
OL RECEIPTS
165.00
OL
00866
04/11
AJ
10/12/10
OL
OL RECEIPTS
181.00
OL
00873
04/11
AJ
10/15/10
OL
OL RECEIPTS
122.00
Ot
00883
04/11
AJ
10/14/10
OL
OL RECEIPTS
426.50.
CR
00879
04/11
CR
10/14/10
0004678
AL REFUND -VEVA CRIBBINS
8.00
MMENDOZA 10/14/10 01
GM
00860
04/11
AP
10/14/10
0089389
CRIBBINS, VEVA
8.00
AL#16204
REFUND
OL
00902
04/11
AJ
10/19/10
OL
OL RECEIPTS
156.00
OL
OU908
04/11
AJ
10/20/10
OL
OL RECEIPTS
197.00
OL
00939
04/11
AJ
10/21/10
OL
OL RECEIPTS
80.00
OL
00952
04/11
AJ
10/22/10
OL
OL RECEIPTS
137.00
OL
00961
04/11
AJ
10/25/10
OL
OL RECEIPTS
10.00
OL
00968
04/11
AJ
10126,410
OL
OL RECEIPTS
158.00
OL
00975
04/11
AJ
10/27/10
OL
OL RECEIPTS
253.00
CR
00971
04/11
CR
10/27/10
0005228
CK REQ-REFUND/RASCH, H.
27.00
KBLONDELL 10/27/10 01
GM
01062
05/11
AP
10/27/10
0089630
RASCH, HOWARD
27.00
AL#37659
REFUND
OL
00983
04/11
AJ
10/28/10
OL
OL RECEIPTS
165.00
OL
01013
05/11
AJ
11/01/10
OL
OL RECEIPTS
25.00
OL
01020
05/11
AJ
11/02/10
OL
OL RECEIPTS
256.00
OL
01044
05/11
AJ
11/03/10
OL
OL RECEIPTS
3.00
OL
01054
05/11
AJ
11/04/10
OL
OL RECEIPTS
279.00
GM
01161
05/11
AP
11106110
0089789
HAMMOND, CARMEN
8.00
AL-WASHOE
REFUND
OL
01089
05/11
AJ
11/09/10
OL
OL RECEIPTS
100.00
OL
01115
05/11
AJ
11/10/10
OL
OL RECEIPTS
266.00
OL
01129
05/11
AJ
11/15/10
OL
OL RECEIPTS
24.00
OL
01136
05/11
AJ
11116110
OL
OL RECEIPTS
403.00
CR
01132
05/11
CR
11116110
0006400
CK REQ - REFUND AL/HAMMON
8.00
KBLONDELL 11116110 01
OL
01145
05/11
AJ
11/17/10
OL
OL RECEIPTS
176.00
OL
01152
05/11
AJ
11/18/10
OL
OL RECEIPTS
336.00
OL
01158
05/11
AJ
11/19/10
OL
OL RECEIPTS
10.00
OL
01195
05/11
AJ
11/22/10
OL
OL RECEIPTS
16.00
OL
01208
05/11
AJ
11/24/10
OL
OL RECEIPTS
103.00
OL
01221
05/11
AJ
11/29/10
OL
OL RECEIPTS
27.00
OL
01228
05/11
AJ
11/30/10
OL
OL RECEIPTS
90.00
OL
01235
06111
AJ
12/01/10
OL
OL RECEIPTS'
7.00
OL
01277
06/11
AJ
12/02/10
OL
OL RECEIPTS
185.00
CR
01274
06111
CR
12/02/10
0007266
AL RNEW 2YR SR & CK RQ/SI
7.00
PREPARED
.,,,7/2014,
10:19�00.
GENERAL LEDGER _VITY
LISTING
PA J73
PROGRAM
GM362LA
CITY
OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP
-----------------------------------------------------------------
NUMBER
PER.
CD
'DATE
NUMBER D
E S C R I P T 1 0 N
--------------------------------------------------------------------
-DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business Licenses
Animal Licenses
KBLONDELL 12/02/10 01
6M
01272
06111
AP
12/03/10
0089946
CASTILLO SMITH, ORALIA
8.00
PENNY
REFUND
GM
01272
06111
AP
12/03/10
0090047
SILVA, AURORA
7.00
ROCKY
REFUND
OL
01297
06111
AJ
12/07A0
OL
OL RECEIPTS
75.00
GM
01272
06111
AP
12/07/10
0089965
ENGLHARD, KATHY
3.00
AL#A835353
REFUND
OL
01304
06/11
AJ
12/08/10
OL
OL RECEIPTS
369.00
CR
01301
06111
CR
12/08/10
0007652
NEW AL & CK REQ/ENGLHARD,
3.00
KBLONDELL 12/08/10 01
CR
01301
06/11
CR
12/08/10
0007713
CK RQ - AL REFND/LACROIX,
75.00
KBLONDELL 12/08/10 01
CR
01301
06111
CR
12/08/10
0007714
NEW AL & CK REQ/SMITH, 0
8.00
KBLONDELL 12/08/10 01
GM
01272
06/11
AP
12/08/10
0089998
LACROIX, CINDY
75.00
HARLEY
REFUND
OL
01311
06111
AJ,12/09/10
OL
OL RECEIPTS
91.00
OL
01318
06111
AJ
12/10/10
OL
OL RECEIPTS
191.00
OL
01325
06111
AJ
12/13/10
OL
OL RECEIPTS
99.00
OL
01333
06/11
AJ
12/14/10
OL
OL RECEIPTS
154.00
OL
01354
06/11
AJ
12/15/10
OL
OL RECEIPTS
284.00
OL
01360
06/11
AJ
12116110
OL
OL RECEIPTS
16.00
OL
01408
06111
AJ
12/17/10
OL
OL RECEIPTS
60.00
OL
01415
06/11
AJ
12/20/10
OL
OL RECEIPTS
109.00
OL
01431
06/11
AJ
12/21/10
OL
OL RECEIPTS
16.00
CR
01428
06111
CR
12/21/10
0008202
CK REQ - AML LIC RFND/DAN
7.00
KBLONDELL 12/21/10 01
GM
01366
06111
AP
12/21/10
0090179
DANIEL, LESLIE
7.00
BRIDGET
REFUND
OL
01436
06111
AJ
12/22/10
OL
OL RECEIPTS
21.00
CR
01434
06111
CR
12/22/10
0008228
AL RNEW & OVRPYMNT/LISBER
2.00
KBLONDELL .12/22/10 01
OL
01441
06111
AJ
12/23/10
OL
OL RECEIPTS
3.00
CR
01439
06111
CR
12/23/10
0008269
AL RNEW & CK RQ/WAGNER, L
3.00
KBLONDELL 12/23/10 01
OL
01448
06111
AJ
12/27/10
OL
OL RECEIPTS
24.00
GM
01514
07/11
AP
12/27/10
0090359
WAGNER, LINDSAY
3.00
AL#40125
REFUND
OL
01455
06111
AJ
12/28/10
OL
OL RECEIPTS
48.00
OL
01486
07/11
AJ
01/03/11
OL
OL RECEIPTS
14.00
OL
01492
07/11
AJ
01/04/11
OL
OL RECEIPTS
83.00
OL
01497
07/11
AJ
01/05/11
OL
OL RECEIPTS
171.00
OL
01503
07/11
AJ
01106111
OL
OL RECEIPTS
245.00
.CR
01500
07/11
CR
01/06/11
0008876
AL RNEW & CK REQ/MEADOR,
4.00
KBLONDELL 01106111 01
GM
01472
07/11
AP
01/07/11
0090179
DANIEL,*LESLIE
7.00
BRIDGET
REFUND
GM
01514
07/11
AP
01/07/11
0090318
MEADOR, ANNA
4.00
PREPARED
-.7/2014,
10:19:00
GENERAL LEDGER _VITY
LISTING
�JJ74
PROGRAM
GM362LA
CITY'OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION
----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business
Licenses
Animal Licenses
AL#803
REFUND
OL
01525
07/11
AJ
01/10/11
OL
OL RECEIPTS
420.00
CR
01521
07/11
CR
01/10/11
0009024
AML*LIC-ADAMS, CAROL
2.00
MMENDOZA 01/10/11 01
OL
01535
07/11
AJ
01/11/11
OL
OL RECEIPTS
222.00
OL
01545
07/11
AJ
01/12/11
OL
OL RECEIPTS
521.00
OL
01556
07/11
AJ
01/13/11
OL
OL RECEIPTS'
26.00
CR
015.52
07/11
CR
01/13/11
0009403
PENALTY - RIV CTY AML SHE
20.00
KBLONDELL 01/13/11 01
OL
01594
07/11
AJ
01/18/11
OL
OL RECEIPTS
72.00
OL
01601
07/11
AJ
01/19/11
OL
OL RECEIPTS
382.00
OL
01611
07/11
AJ
01/20/11
OL
OL RECEIPTS
227.00
OL
01617
07/11
AJ
01/21/11
OL
OL RECEIPTS
27.00
OL
01653
07/11
AJ
01/25/11
OL
OL RECEIPTS
306.00
CR
01649
07/11
CR
01/25/11
0009932
BL RNEW 11-14138/MARTINEZ
3.00
KBLONDELL 01/25/11 01
OL
01661
07/11
AJ
01/26/11
OL
OL RECEIPTS
99.00
OL
01669
07/11
AJ
01/27/11
OL
OL RECEIPTS
183.00
OL
01675
07/11
AJ
01/28/11
OL
OL RECEIPTS
16.00
OL
01682
07/11
AJ
01/31/11
OL
OL RECEIPTS
40.00
CR
01678
07/11
CR
01/31/11
0010192
AL RNEW 11-14064/PEREZ, M
8.00
KBLONDELL 01/31/11 01
OL.01690
08/11
AJ
02/01/11
OL
OL RECEIPTS
250.00
OL
01726
08/11
AJ
02/02/11
OL
OL RECEIPTS
169.00
OL
01732
08/11
AJ
02/03/11
OL
OL RECEIPTS
238.00
OL
01747
08/11
AJ
02/07/11
OL
OL RECEIPTS
28.00
OL
01765
08/11
AJ
02/09/11
OL
OL RECEIPTS
52.00
GM
01804
08/11
AP
02/09/11
0090822
BURRA, BONNIE
67.00
AL#837
REFUND
OL
01776
08/11
AJ
02/10/11
OL
OL RECEIPTS
432.00
CR
01772
08/11
CR
02/10/11
0011464
AL RNEW & CK REQ/ROEDER,
67.00
KBLONDELL 02/10/11 01
OL
01809
08/11
AJ
02/11/11
OL
OL RECEIPTS
99.00
OL
01816
08/11
AJ
02/14/11
OL
OL RECEIPTS
83.00
CR
01812
08/11
CR
02/14/11
0011659
*AmL LIC -ARTHUR, CHERYL
4.00
MMENDOZA 02/14/11 01
GM
01804
08/11
AP
02/14/11
0090816
ARTHUR, RICH & CHERY
4.00
AL#20730
REFUND
OL
01822
08/11
AJ
02/15/11
OL
OL RECEIPTS
217.00
OL
01830
0.8/11
AJ
02116111
OL
OL RECEIPTS
209.00
OL
01837
08/11
AJ
02/17/11
OL
OL RECEIPTS
125.00
CR
01833
08/11
CR
02/17/11
0012152
AL RNEW 11-14201/NORDQUIS
.8.00
KBLONDELL 02/17/11 01
CR
01833
08/11
CR
02/17/11
0012164
AL RNEW & OVPYMNT/WILLIAM
2.00
KBLONDELL 02/17/11 01
OL
01851
08/11
AJ
02/18/11
OL
OL RECEIPTS
40.00
OL
01857
08/11
AJ
02/22/11
OL
OL RECEIPTS
50.00
GM
01962
09/11
AP
02/22/11
0091022
MOODY, ROBERT
7.00
ANIMAL LIC
REFUND
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER __..VITY
LISTING.
PA_J75
PROGRAM
GM362LA
CITY -OF
---------------------------------------------------
LA QUINTAo CALIFORNIA
*
FUND 101
General
Fund
----------------------------------------------------------------------------------
BEGINNING
GROUP ACCTG
----
TRANSACTION
----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
--------
101-5000-322.20-00
Non -Business
Licenses
Animal Licenses
OL
01863
08/11
AJ
02/23/11
OL
OL RECEIPTS
98.00
CR
01860
08/11
CR
02/23/11
0012815
2 AL RNEW & CK REQ/MOODY,
-7.00
KBLONDELL 02/23/11 01
GM
01962
09/11
AP
02/23/11
0091033
PERDUE, ROBERT
3.00
ANIMAL LIC
REFUND
OL
01884
08/11
Ai
02/24/11
OL
OL RECEIPTS
328.00
CR
01880
08/11
CR
02/24/11
0012887
AL RNEW & CK REQ/PERDUE,
3.00
-
KBLONDELL 02/24/11 01
OL
01901
08/11
AJ
02/28/11
OL
OL RECEIPTS
210.00
OL
01930
09/11
AJ
03/01/11
OL
OL RECEIPTS
290.00
OL
01947
09/11
AJ
03/02/11
OL
OL RECEIPTS,
72.00
OL
01968
09/11
AJ
03/03/11
OL
OL RECEIPTS
375.00
CR
01964'
09/11
CR
03/03/11
0013350
AL RNEW 11-1632/PLOUFFE,
3.00
KBLONDELL 03/03/11 01
OL
01991
09/11
AJ
03/07/11
OL
OL RECEIPTS
23.00
CR
01988
09/11
CR
03/07/11
0013912
AL RNEW 11-13385/HILDEBRA
8.00
KBLONDELL 03/07/11 01
OL
01998
09/11
AJ
03/08/11
OL
OL RECEIPTS
201.00
OL
02053
09/11
AJ
03/09/11
OL
OL RECEIPTS
168.00
OL
02059
09/11
AJ
03/10/11
OL
OL RECEIPTS
630.00
OL
02072
09/11
AJ
03/14/11
OL
OL RECEIPTS
111.00
OL
02089
09/11
AJ
03/15/11
OL
OL RECEIPTS
439.00
CR
02086
09/11
CR
03/15/11
0014458
AL RNEW & OVRPYMNT/VAN SC
2.00
KBLONDELL 03/15/11 01
OL
02095
09/11
AJ
03/16/il
OL
OL RECEIPTS
494.5"0
OL
Q2102
09/11
AJ
03/17/11
OL
OL RECEIPTS
228.00
CR
02098.
09/11
CR
03/17/11
0014759
AL RNEW 11-14483/RHODES,
3.00
KBLONDELL 03/17/11 01
CR
02098
09/11
CR
03/17/11
0014782
CK REQ-REFUND/SPARKSo JEN
40.00
KBLONDELL 03/17/11 01
CR
.02098
09/11
CR
03/17/11
0014783
CK REQ - REFUND/HARLINGj
20.00
KBLONDELL 03/17/11 01
OL
02109
00/11
AJ
03/18/11
OL
OL RECEIPTS
8.00
OL
02119
09/11
AJ
03/21/11
OL
OL RECEIPTS
15.00
GM
02198
10/11
AP
03/21/11
0091425
HARLING, GINGER
20.00
MILEY
REFUND
GM
0;?198
10/11
AP
03/21/11
0091501
SPARKS, JENNIFER
40.00
ANIMAL TAG
REFUND
OL
02141
09/11
AJ
03/22/11
OL
OL RECEIPTS
86.00
OL
02147
09/11
AJ
03/23/11
OL
OL RECEIPTS
327.00
OL
02161
09/11
AJ
03/24/11
OL -
OL RECEIPTS
147.00
OL
02175
09/11
AJ
03/28/11
OL
OL RECEIPTS
10.00
CR
02171
09/11
CR
.03/28/11
0015565
AL RNEW 11-16692/DIERKS,
3.00
KBLONDELL 03/28/11 01
CR
02171
09/11
CR
03/28/11
0015583
AML LIC-BROWNo JAIME
8.00
MMENDOZA 03/28/11 01
OL
02186
09/11
AJ
03/29/11
OL
OL RECEIPTS
-182.00
CR
02183
09/11
CR
03/29/11
0015636
AL RNEW 11-11332/GILLEN,
3.00
KBLONDELL 03/29/11 01
PREPARED
10 7/2014,
10:19:00
GENERAL LEDGER WITY
'LISTING
PA0076
PROGRAM
GM362LA
tITY
OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND-101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP
----------------------------------------------------------------
NUMBER
PER.
CD
DATE'
NUMBER D
E.S C R I P T 1 0 N
; ---------------------------------------------------------------------
DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business Licenses
Animal Licenses
GM
02198
10/11
AP
03/29/11
0091374
BROWN, JAIME
8.00
AL#991
REFUND
OL
02205
09/11
AJ
03/30/11
OL
OL RECEIPTS
425.00
CR
02201
09/11
CR
03/30/11
0015714
AML LIC-CHRASTA, DEBRA
4.00
MMENDOZA 03/30/11 01
OL
02211
09/11
AJ
03/31/11
OL
OL RECEIPTS
80.00
GM
02198
10/11
AP
03/31/11
0091385
CHRASTKA, DEBRA
4.00
AL#39074
REFUND
OL
02264
10/11
AJ
04/05/11
OL
OL RECEIPTS
44.'00
OL
02270
10/11
AJ
04/06/11
OL
OL RECEIPTS
15.00
OL
02277
10/11
AJ
04/07/11
OL
OL RECEIPTS
150.00
OL
02283
10/11
AJ
04/08/11
OL
OL RECEIPTS
403.00
OL
02326
10/11
AJ
04/11/11
OL
OL RECEIPTS
106.00
OL
02332
10/11
AJ
04/12/11
OL
OL RECEIPTS
903.00
CR
02329
10/11
CR
04/12/11
0017019
2 AL RNEW & CK REQ/DIONNE
40.00
KBLONDELL 04/12/11 01
GM
02351
10/11
AP
04/12/11
0091620
DIONNE, DONALD
40.00
ANIMAL LIC
REFUND
OL
02338
10/11
AJ
04/13/11
OL
OL RECEIPTS
225.00
OL
02345
10/11
AJ
04/14/11
OL
OL RECEIPTS
354.00
OL
02358
10/11
AJ
04/15/11
OL
OL RECEIPTS
8.00
OL
02370
10/11
AJ
04/19/11
OL
OL RECEIPTS
325.00
OL
02377
10/11
AJ
04/20/11
OL
OL RECEIPTS
365.00
CR
02373
10/11
CR
04/20/11
0017950
CK REQ - REFUND/RINNANDER
83.00
KBLONDELL 04/20/11 01
OL
02383
10/11
AJ
04/21/11
OL
OL RECEIPTS
359.00
GM
02435
11/11
AP
04/22/11
0091857
RINNANDER, PAUL
83.00
ANIMAL LIC
REFUND
OL
02400*
10/11
AJ
04/26/11
OL
OL RECEIPTS
68.00
OL
02433
10/11
AJ
04/27/11
OL
OL RECEIPTS
241.00
OL
02442
10/11
AJ
04/28/11
OL
OL RECEIPTS
500.00
OL
02463
11/11
AJ
05/03/11
OL
OL RECEIPTS
275.00
OL
02489
11/11
AJ
05/04/11
OL
OL RECEIPTS
47.00
OL
02500
11/11
AJ
05/05/11
OL
OL RECEIPTS
134.00
OL
02519
11/11
AJ
05/09/11
OL
OL RECEIPTS
24.00
CR
02515
11/11
CR
05/09/11
0019443
AML LIC -WEBER, NANCY
4.00
MMENDOZA 05/09/11 01
OL
02534
11/11
AJ
05/10/11
OL
OL RECEIPTS
99.00
GM
0.2628
11/11
AP
05/10/11
0092067
WEBER, NANCY
4.00
AL#21421
REFUND
OL
02544
11/11
AJ
05/11/11
OL
OL RECEIPTS
277.00
OL
02566
11/11
AJ
05/12/11
OL
OL RECEIPTS
202.00
CR
02563
11/11
CR
05/12/11
0019673
NEW AL & CK REQ/GARTLAND,
8.00
KBLONDELL 05/12/11 01
CR
02563
11/11
CR
05/12/11
0019692
AL RNEW 11-14694/OLSEN, M
8.00
KBLONDELL 05/12/11 01
CR
02563
11/11
CR
05/12/11
0019691
2 AML LIC-BYREN, LINDA
4.00
MMENDOZA 05/12/11 01
GM
02628
11/11
AP
05/12/11
0091996
GARTLAND, KIMBERLY
8.00
PREPARED
__7/2014,
10:19:00
GENERAL LEDGER __VITY
LISTING
PA -J77
PROGRAM
GM362LA
.CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-322.20-00
Non -Business Licenses
Animal Licenses
CASSIDY
REFUND
OL
02578
11/11
AJ
05116111 OL
OL RECEIPTS
12.00
OL
02585
11/11
AJ
05/17/11 OL
OL RECEIPTS
129.00
CR
02582
11/11
CR
05/17/11 0019846
AL RNEW & CK REQ/HERRERA,
8.00
KBLONDELL 05/17/11 01
GM
02628
11/11
AP
05/17/11 0092007
HERRERA, MERCEDES
8.00
AL#1029
REFUND
.OL
02606
11/11
AJ
05/18/11 OL
OL RECEIPTS
171.00
OL
02614
11/11
AJ -05/19/11
OL
OL RECEIPTS
216.00
OL
02665
11/11
AJ
05/24/11 OL
OL RECEIPTS
213.00
OL
02673
11/11
AJ
05/25/11 OL
OL RECEIPTS
40.00
OL
02682
11/11
AJ
05126111 OL
OL RECEIPTS
210..00
OL
02701
11/11
AJ
05/27/11 OL
OL RECEIPTS
3.00
OL
02689
11/11
AJ
05/31/11 OL
OL RECEIPTS
7.00
OL
02710
12/11
AJ
06101111 OL
OL RECEIPTS
165.00
OL
02718
12/11
AJ
06/02/11 OL
OL RECEIPTS
124.00
OL
02725
12/11
AJ
06/03/11 OL
OL RECEIPTS
60.00
OL
02764
12/11
AJ
06106111 OL
OL RECEIPTS
237.00.
OL
02771
12/11
AJ
06/07/11 OL
OL RECEIPTS
261.00
CR
02767
12/11
CR
06/07/11 0021084
NEW AL 2YR & CK REQ/WILLI
4.00
KBLONDELL 06/07/11 01
CR
02767
12/11
CR
06/07/11 0021098
CK REQ AML LIC OVRPY/FLEM
127.00
KBLONDELL 06/07/11 01
CR
02767
12/11
CR
06/07/11 0021162
AL PEN OVRPY CK REQ/LAWRE
20.00
KBLONDELL 06/07/11 01
GM
02789
12/11
AP
06/07/11 0092206
FLEMING, DAVID
127.00
ANIMAL LIC
REFUND
GM
02789
12/11
AP
06/07/11 0092297
WILLIAMS, TIFFANY
4.00
ANIMAL LIC
REFUND
GM
02789
12/11
AP
06/07/11 0092227
LAWRENCE, LILY
20.00
ANIMAL LIC
REFUND
GM
02789
12/11
AP
06/07/11 0092176
BYRNE, LINDA
4.00
ANIMAL LIC
REFUND
OL
02778
12/11
AJ
06/08/11 OL
OL RECEIPTS
48.00
GM
02784
12/11
AP
06/08/11 0092173
BRAVO, ABIGAIL
4.00
AL#21023
REFUND
OL
02799
12/11
AJ
06/09/11 OL
OL RECEIPTS
114.00
OL
02813
12/11*
AJ
06110111 OL
OL RECEIPTS
106.00
OL
02820
12/11
AJ
06/13/11 OL
OL RECEIPTS
27.00
GM
02863
12/11
AP
06/13/11 0092387
LEE, LAVONDA
4.00
ANIMAL LIC
REFUND
OL
02826
12/11
AJ
06/14/11 OL
OL RECEIPTS
426.00
CR
02823
12/11
CR
06/14/11 0021523
AL RNEW & CK REQ/LEE, L
4.00
KBLONDELL 06/14/11 01
CR
02823
12/11
CR
06/14/11 0021554
AML LIC -ASTON, HARRY
2.00
MMENDOZA 06/14/11 01
OL
02839
12/11
AJ
06115111 OL
OL RECEIPTS
365.00
OL
02850
12/11
AJ
06116111 OL
OL RECEIPTS
190.00
OL
02861
12/11
AJ
06/17/11 OL
OL RECEIPTS
8.00
PREPARED -..-7/2014, 10:19:00
Non -Business Licenses
GENERAL LEDGER ._.-VITY LISTING
CR
Pb, J78
PROGRAM GM362LA
CR
07/23/10
0000843
DRIVEWAY PRMT/BRUNER, K
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------
RECLASS
FIRE REIMBURSEMEN
GM
00834
: -----------------------------------------------------------------------------------------------
FUND 101 General Fund
KBLONDELL 07/23/10 01
CR
01056
BEGINNING
GROUP ACCTG ---- TRANSACTION ---- -
11/05/10
0005911
GALATI ENT-DRWY PERMIT
/ENDING
APP NUMBER PER. CD DATE NUMBER D
------------------------------------------------------------------------------------------------------------------------------------
E S
C R I P T 1 0 N DEBITS
CREDITS
BALANCE
101-5000-322.20-00 Non -Business Licenses
/ Animal
Licenses
05/11
CR
OL 02890 12/11 AJ 06120111 OL
OL
RECEIPTS
8.00
FIRE SERVICE COST
OL 02904 12/11 AJ 06/22/11 OL
OL
RECEIPTS
217.00
KBLONDELL 11/29/10 01
OL 02960 12/11 AJ 06/23/11 OL
OL
RECEIPTS
275.00
01/11/11
OL 02972 12/11 AJ 06/27/11 OL
OL
RECEIPTS
80.00
DMARTIN
OL 02978 12/11 AJ 06/28/11 OL
OL
RECEIPTS
66.00
CR
OL 02985 12/11 AJ 06/29/11 OL
OL
RECEIPTS
117.00
0013006
OL 02992 12/11 AJ 06130111 OL
OL
RECEIPTS
223.00
AJE
ACCOUNT TOTAL
101-5000-322.21-00
Non -Business Licenses
Driveway permits
CR
00166
01/11
CR
07/23/10
0000843
DRIVEWAY PRMT/BRUNER, K
01-026
RECLASS
FIRE REIMBURSEMEN
GM
00834
03/11
KBLONDELL 07/23/10 01
CR
01056
05/11
CR
11/05/10
0005911
GALATI ENT-DRWY PERMIT
04/11
AJ
10/31/10
AJE
04-038
1ST QTR
MMENDOZA 11/05/10 01
CR
01216
05/11
CR
11/29/10
0006959
CORONEL ENT
2ND QTR
FIRE SERVICE COST
CR
02092
09/11
CR
KBLONDELL 11/29/10 01
CR
01531
07/11
CR
01/11/11
0009197
DRIVEWAY PRMT/GARCIA ROME
DMARTIN
03/16/11 01
GM
02546
KBLONDELL. 01/11/11 01
CR
01897
08/11
CR
02/28/11
0013006
DRWY PERMIT -TR CONSTRUCTI
11/11
AJ
05/31/11
AJE
11-034
RECLASS
MMENDOZA 02/28/11 01
CR
02062
09/11
CR
03/11/11
0014355
DRWY PERMIT
REVERSE
DEFERRED REVENUE
MMENDOZA 03/11/11 01
CR
02530
11/11
CR
05/10/11
0019453
DRIVEWAY PMT/MANLEY, P.-
KBLONDELL 05/10/11 01
CR
02575
11/11
CR
05116111
0019794
DRWY PRMT-GONZALES CONSTR
MMENDOZA 05116111 01
CR
012774
12/11
CR
06108111
0021182
DRIVEWAY PMT/J-Z CONCRETE
KBLONDELL 06108111 01
ACCOUNT TOTAL
101-5000-322.25-00 Non -Business Licenses / Plan check fee B & S
ACCOUNT TOTAL
101-5000-337.50-00
County Gov't
Revenue
/ Fire Service Credit Rev.
GM
00186
01/11
AJ
07/31/10
AJE
01-026
RECLASS
FIRE REIMBURSEMEN
GM
00834
03/11
AJ
09/30/10
AJE
03-054
REVERSE
RECEIVABLE
GM
0;021
04/11
AJ
10/31/10
AJE
04-038
1ST QTR
FIRE SERVICE COST
GM
01714
07/11
AJ
01/31/11
AJE
07-041
2ND QTR
FIRE SERVICE COST
CR
02092
09/11
CR
03/16/11
0014692
EOC REIMB/RVRSD CNTY FIRE
DMARTIN
03/16/11 01
GM
02546
10/11
AJ
04/30/11
AJE
10-046
FIRE SERVICE COST -3RD QTR
GM
02675
11/11
AJ
05/31/11
AJE
11-034
RECLASS
EOC REIMBURSEMENT
GM
02910
12/11
AJ
06/30/11
AJE
12-016
REVERSE
DEFERRED REVENUE
737.00
107,042.61
2,990,000.00
54,435.50
30.00
30.00
60.00
30.00
30.00
30.00
30.00
60.00
-30.00
330.00
107,042.61
1,133,724.49
11101,930.51
2,990,000.00
1,009,800.36
255,930.79
35,698.50CR
.00
330.00CR
.00
.00
.00
PREPARED
__7/2014,
10:19:00
CR
07/09/10
GENERAL LEDGER __VITY-LISTING
COPY FEES - B & S/DAVIS,
PA -379
PROGRAM
GM362LA
KBLONDELL 07/09/10 01
CR
00065
01/11
CR
07/12/10
CITY OF LA QUINTA, CALIFORNIA
COPY FEES /DIX, PAUL
---------------------------------------------------------------------------------
FUND 101
General
Fund
00075
01/11
CR
6 -----------------------------
---------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION----
KBLONDELL 07/13/10 01
CR
00166
/ENDING
APP NUMBER PER.
7 --- M-M-m-mm--Mmmmmm-mmmm--WWM-M-MMMMMMMMW-MM-MWWWWWWWMMWWMMMMMM-MMMMMMMMMMMMMMMMMMMMMMMMMMM-MMMMMMMMM
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS
CREDITS
--- wMwww_MMM
BALANCE
------
10lwSDOO-337.50-00
County Gov't
CR
Revenue
Fire Service Credit Rev.
CR
07/29/10
0001015
GM
05078
12/11
AJ
06/30/11
AJE
12-102
FIRE SVC COSTSw4TH QTR
CR
1,471,352.49
02/11
GM
03081
12/11
AJ
06/30/11
AJE
12-104
ADDIL ACCRUED REVENUE
96,703.54
KBLONDELL 08/24/10 01
CR
00482
02/11
CR
ACCOUNT
TOTAL
COPY FEES/ BROWNYARD
3,097,042.61
8,146,484.79
5,049,442.18CR
101-5000-337.50mlO
Fire Service
KBLONDELL 08/26/10 01
Credit
Rev. / Capital
02/11
CR
.00
GM
00516
02/11
AJ
08/31/10
AJE
02-028
RED UNEARNED REVENUEmFIRE
281,247.26
GM
00516
02/11
AJ
08/31/10
AJE
02wO28
RED UNEARNED REVENUE -TURF
101.17
GM
00516
02/11
AJ
08/31/10
AJE
02-028
RED UNEARNED REVENUEwMAD
3,742.41
GM
00820
03/11
AJ
09/30/10
AJE
03mO46
RED UNEARNED REVmMADISON
1,552.50
GM
01022
04/11
AJ
10/31/10
AJE
04wO4O
RED UNEARNED REV -GREENS
4,546.91
GM
01022
04/11
AJ
10/31/10
AJE
04-040
RED UNEARNED REVwMADISON
2,575.00
GM
01214
05/11
AJ
11/30/10
AJE
05-035
REDUCE UNEARNED - TURF
202.34
GM
01214
05/11
AJ
11/30/10
AJE
05-035
CORRECT UNEARNEDwMADISON
374.89
GM
01479
06/11
AJ
12/31/10
AJE
06-044
RED UNEARNED REV -TURF
39.77
GM
01479
06111
AJ
12/31/10
AJE
06-044
RED UNEARNED REVmTURF
2,921.28,
GM
01739
07/11
AJ
01/31/11
AJE
07-044
RED UNEARNED REV -TURF
41.11
GM
01739
07/11
AJ
01/31/11
AJE
07-044
RED UNEARNED REV -MADISON
322.98
GM
01980
08/11
AJ
02/28/11
AJE
09-044
RED UNEARNED REVENUE -TURF
191.64
GM
01981
09/11
AJ
03/31/11
AJE
09m017
REV UNEARNED REV -MADISON
15,936.00
GM
02246
09/11
AJ
03/31/11
AJE
09wO69
RED UNEARNED REV -TURF
25,343.52
GM
02675
11/11
AJ
05/31/11
AJE
11-034
RECLASS EOC REIMBURSEMENT
2,990,000.00
CR
02857
12/11
CR
06/17/11
0021855
FIRE STN COMPLETION/RVRS
290,157.00
DMARTIN 06/17/11 01
CR
02968
12/11
CR
04/27/11
0022262'
FIRE STA COMPLETION/RIVCO
399,891.00
LWEST 06/27/11 01
GM
03042
12/11
AJ
06/30/11
AJE
12-071
RED UNEARNED REV -TURF
31,993.49
GM
03061
12/11
AJ
06/30/11
AJE
12mO85
RED UNEARNED REVENUE TURF
14,241.68
ACCOUNT
TOTAL
16,412.06
41049,009.89
4,032,597.83CR
101-5000-341.50-00 General Government / Sales Maps/Copies/Public.
CR
00058
01/11
CR
07/09/10
0000417
COPY FEES - B & S/DAVIS,
KBLONDELL 07/09/10 01
CR
00065
01/11
CR
07/12/10
0000451
COPY FEES /DIX, PAUL
KBLONDELL 07/12/10 01
CR
00075
01/11
CR
07/13/10
0000485
COPY FEES
KBLONDELL 07/13/10 01
CR
00166
01/11
CR
07/23/10
0000850
COPIES -CODE COMPLIANCE
CASHVO 07/23/10 01
CR
00213
01/11
CR
07/29/10
0001015
COPY FEE/HEGGE
KBLONDELL 07/29/10 01
CR
09466
02/11
CR
08/24/10
0001926
JC REALTORS
KBLONDELL 08/24/10 01
CR
00482
02/11
CR
08/26/10
0002026
COPY FEES/ BROWNYARD
KBLONDELL 08/26/10 01
CR
00501
02/11
CR
08/30/10
0002191
COPY FEES/KREJSA
7.55
2.20
1.70
19.10
.95
6.00
2.80
6.45
00
PREPARED
-...-7/2014, 10:19:00
GENERAL LEDGER _.-VITY LISTING
P---.JBO
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
;----TRANSACTION
----
/ENDING
APP NUMBER
--------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T 1 0 N DEBITS
-----------------------------------------------------------------------------------------------
CREDITS
BALANCE
.101-5000-341.50-00
General Government
Sales Maps/Copies/Public.
KBLONDELL 08/30/10 01
CR
00524
03/11
CR
09/01/10
0002395
PUBLIC RECORD-KIMKIEWICZ
5.00
MMENDOZA 09/01/10 01
CR
00615
03/11
CR
09/15/10
0002981
COPY FEES / COLUMBUS PAC
18.05
KBLONDELL 09/15/10 01
CR
00615
03/11
CR
09/15/10
0002986
COPY FEES/KERSTEN, S
16.55
KBLONDELL 09/15/10 01
CR
00745
03/11
CR
09/30/10
0003791
COPY FEES/KERTSEN, D/
1.10
KBLONDELL 09/30/10 01
CR
00753
04/11
CR
10/01/10
0003875
COPY FEES/
4.75
KBLONDELL 10/01/10 01
CR
00855
04/11
CR
10/11/10
0004417
GLOBAL EQUITY BLDR
1.55
KBLONDELL 10/11/10 01
CR
00863
04/11
CR
10/12/10
0004514
COPY FEE/CTR FOR CONTR CO
45.00
KBLONDELL 10/12/10 01
CR
00958
04/11
CR
10/25/10
0005028
COPY FEE/LUNA, ROBERT
12.50
KBLONDELL 10/25/10 01
CR
01009
05/11
CR
11/01/10
0005417
COPY FEES
7.12
KBLONDELL 11/01/10 01
CR
01016
05/11
CR
11/02/10
0005687
AML REPORT COPIES
1.85
MMENDOZA 11/02/10 01
CR
01040
05/11
CR
11/03/10
0005763
COPIES
45.10
DMARTIN 11/03/10 01
CR
01141
05/11
CR
11/17/10
0006454
COPY FEE/VILLENEUVE, V
1.10
KBLONDELL .11/17/10 01
CR
01216
05/11
CR
.11/29/10
0006897
COPY FEE/DENNIS, B
1.55
KBLONDELL 11/29/10 01
CR
01231
06111
CR
12/01/10
0007173
GOODRICH, JEFF
12.80
KBLONDELL 12/01/10 01
CR
01357
06111
CR
12/16/10
0008071
JOB CARD -GEN AIR COND
15.00
MMENDOZA 12/16/10 01
CR
0.1404
06111
CR
12/17/10
0008101
COPIES/RECORDS-TILE & MAR
3.90
MMENDOZA 12/17/10 01
CR
01541
07/11
CR
01/12/11
0009304
JIM BUCKLEY & ASSOC
18.20
KBLONDELL 01/12/11 01
CR
01585
07/11
CR
01/14/11
0009452
COPY FEES/
4.70
KBLONDELL 01/14/11 01
CR
01687
08/11
CR
02/01/11
0010399
COPY FEES/LQ PALMS REALTY
7.60
KBLONDELL 02/01/11 01
CR
01743
08/11
CR
02/07/11
0010867
LEGACY VILLAS PERMITSo PL
98.60
MMENDOZA 02/07/11 01
CR
01772
08/11
CR
02/10/11
0011446
COPY FEE/LINSK, S.
8.65
KBLONDELL 02/10/11 01
CR
01819
08/11
CR
02/15/11
0011720
COPY FEES/SHARKEY
6.30
KBLONDELL 02/15/11 01
CR
01944
09/11
CR
03/02/11
0013321
COPY FEES/EALY, ROBIN
10.90
KBLONDELL 03/02/11 01
CR
01994
09/11
CR
03/08/11
0013961
COPY FEES /
3.80
KBLONDELL 03/08/11 01
PREPARED
-..-7/2014,
10:19:00
SMIP fees
GENERAL LEDGER .__VITY LISTING
00876
04/11
PROGRAM
GM362LA
0089343
DEPARTMENT OF CONSERVATIO
RECEIPTS
BP
00026
01/11
101910
CITY OF LA
QUINTAp CALIFORNIA
GM
01629
07/11
AP
01/25/11
0090562
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
RECEIPTS
BP
OCT -DEC
2010
MOTION/SEISMIC FEES
BEGINNING
GROUP
ACCTG
----
TRANSACTION
----
DEPARTMENT OF CONSERVATIO
AJ
07/07/10
/ENDING
APP NUMBER
---------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS
-CREDITS
--------------------
BALANCE
101-5000-341.50-00
DEPARTMENT OF CONSERVATIO
General Government./
01/11
Sales Maps/Copies/Public.
07/09/10
APR'11-JUN'll
BP
CR 02115
09/11
CR
03/21/11
0014890
COPY FEES/GASTINEAU
BP
1.95
RECEIPTS
BP
0j)066
01/11
AJ
07/12/10
KBLONDELL 03/21/11
01
RECEIPTS
tR 02201
09/11
CR
03/30/11
0015708
COPIES
15.40
MMENDOZA 03/30/11
01
CR 0-2267
10/11
CR
04/06/11
0016524
COPY FEE/GINSBERG
2-.00
KBLONDELL 04/06/11
01
CR 02273
10/11
CR
04/07/11
0016545
COPY FEES/GORDON, BRIAN
4.55
KBLONDELL 04/07/11
01
CR 02373
10/11
CR
04/20/11
0017947
COPY FEES/NELSON &
GRIFFI
3.45
KBLONDELL 04/20/11
01
CR 02397
10/11
CR
04/26/11
0018237
COPY FEES/TUTTLE
2.60
KBLONDELL 04/26/11
01
CR 02685
11/11
CR
05/31/11
0020578
COPY FEES/WILLIAMS
9.15
KBLONDELL 05/31/11
01
CR 02685
11/11
CR
05/31/11
0020590
COPY FEES/PEREZ, P
3.60
KBLONDELL 05/31/11
01
CR 02774
12/11
CR
06108111
0021208
COPIES-DAMONE DANIEL
1.10
MMENDOZA 06108111
01
CR 02968
12/11
CR
06/27/11
0022231
COPY FEES/
1.20
KBLONDELL 06/27/11
01
CR 02968
12/11
CR
06/27/11
0022268
JOB CARD
15.00
MMENDOZA 06/27/11
01
ACCOUNT TOTAL
101-5000-342.81-00
Charges
for Services
SMIP fees
GM
00876
04/11
AP
10/19/10
0089343
DEPARTMENT OF CONSERVATIO
RECEIPTS
BP
00026
01/11
101910
07/01/10
JUL-SEP MAPPING FEES
GM
01629
07/11
AP
01/25/11
0090562
DEPARTMENT OF CONSERVATIO
BP
BP
RECEIPTS
BP
OCT -DEC
2010
MOTION/SEISMIC FEES
GM
02288
10/11
AP
04/14/11
0091531
DEPARTMENT OF CONSERVATIO
AJ
07/07/10
BP
BP
JAN -MAR
BP
MOTION/SEISMIC FEES
GM
03020
12/11
AP
07/20/11
0092648
DEPARTMENT OF CONSERVATIO
00059
01/11
AJ
07/09/10
APR'11-JUN'll
BP
QTRLY FEES
ACCOUNT TOTAL
101-5000-342.82-00
Charges
for Services
Plan Check Fees
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
BP
00026
01/11
AJ
07/01/10
BP
BP
RECEIPTS
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
BP
00040
01/11
AJ
07/06/10
BP
BP
RECEIPTS
BP
00047
01/11
AJ
07/07/10
BP
BP
RECEIPTS
BP
00053
01/11
AJ
07/08/10
BP
BP
RECEIPTS
BP
00059
01/11
AJ
07/09/10
BP
BP
RECEIPTS
BP
00066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
BP
0j)066
01/11
AJ
07/12/10
BP
BP
RECEIPTS
458.42
41.31
74.05
28.07
50.71
194.14
1,521.28
15.00
87.63
631.82
4.50
495.53
124.75
331.18
547.69
458.42CR
00
194.14CR
.00
PREPARED ut/i7/2014, 10:19:00 GENERAL LEDGER .--VITY LISTING P� 182
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-342.82-00
Charges
for Services
Plan Check Fees
BP
00076,
01/11
AJ
07/13/10
BP
BP
RECEIPTS
312.65
BP
00082
01/11
AJ
07/14/10
BP
BP
RECEIPTS
4.50
BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
215.88
' BP
00120
01/11
AJ
07/15/10
BP
BP
RECEIPTS
82.05
BP
00129
01/11
AJ
07/16/10
BP
BP
RECEIPTS
29.25
BP
00129
01/11
AJ
07/16/10
BP
BP -RECEIPTS
266.13
BP
00135
01/11
AJ
07/19/10
BP
BP
RECEIPTS
464.10
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
315.25
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
12.13
BP
00142
01/11
AJ
07/20/10
BP
BP
RECEIPTS
93.60
BP
00150
01/11
AJ
07/21/10
BP
BP
RECEIPTS
244.73
BP
00150'
01/11
AJ
07/21/10
BP
BP
RECEIPTS
45.26
BP
00160
01/11
AJ
07/22/10
BP
BP
RECEIPTS
581.37
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
1,200.00
BP
00167
01/11
AJ
07/23/10
BP
BP
RECEIPTS
2,578.59
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
4.50
BP
00174
01/11
AJ
07/26/10
BP
BP
RECEIPTS
234.34
BP
00199
01/11
AJ
07/27/10
BP
BP
RECEIPTS
728.04
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
308.99
BP
00206
01/11
AJ
07/28/10
BP
BP
RECEIPTS
8.25
BP
00214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
561.36
BP
010214
01/11
AJ
07/29/10
BP
BP
RECEIPTS
510.59
BP
00220
01/11
AJ
07/30/10
BP
BP
RECEIPTS
8.25
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
219.99
BP
00238
02/11
AJ
08/02/10
BP
BP
RECEIPTS
1,673.11
BP
00246
02/11
AJ
08/03/10
BP
BP
RECEIPTS
26.38
BP
00246
02/11
AJ
08/03/10
BP
BP
RECEIPTS
122.00
BP
00253
02/11
AJ
08/04/10
BP
BP
RECEIPTS
212.25
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
755.63
BP
00262
02/11
AJ
08/05/10
BP
BP
RECEIPTS
3.75
BP
00269
02/11
AJ
08106110
BP
BP
RECEIPTS
1,238.40
BP
00269
02/11
AJ
08/06/10
BP
BP
RECEIPTS
250.00
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
40.95
BP
00289
02/11
AJ
08/09/10
BP
BP
RECEIPTS
695.19
BP
00303
02/11
AJ
08/11/10
BP
BP
RECEIPTS
29.25
BP
00314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
278.61
Bp
ob314
02/11
AJ
08/12/10
BP
BP
RECEIPTS
26.63
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
248.30
BP
00322
02/11
AJ
08/13/10
BP
BP
RECEIPTS
360.48
BP
00336
02/11
AJ
08/16/10
BP
BP
RECEIPTS
571.03
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
232.05
BP
00372
02/11
AJ
08/17/10
BP
BP
RECEIPTS
53.38
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
332.60
BP
00379
02/11
AJ
08/18/10
BP
BP
RECEIPTS
148.85
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
283.06
BP
00400
02/11
AJ
08/19/10
BP
BP
RECEIPTS
148.85
BP
00429
02/11
AJ
08/20/10
BP
BP
RECEIPTS
715.29
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
51.86
BP
00458
02/11
AJ
08/23/10
BP
BP
RECEIPTS
79.61
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----- I -------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-342.82-00
Charges
for Services
Plan
Check Fees
BP
00467
02/11
*AJ
08/24/10
BP
BP
RECEIPTS
8.25
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
259.17
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
318.61
BP
00467
02/11
AJ
08/24/10
BP
BP
RECEIPTS
40.95
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
10.13
BP
00476
02/11
AJ
08/25/10
BP
BP
RECEIPTS
28.88
BP
00483
02/11
AJ
08126110
BP
BP
RECEIPTS
8.25
BP
00483
02/11
AJ
08126110
BP
BP
RECEIPTS
446.23
BP
00483
02/11
AJ
08126110
BP
BP
RECEIPTS
37.56
BP
00495.
02/11
AJ
08/27/10
BP
BP
RECEIPTS
29.25
BP
00495
02/11
AJ
08/27/10
BP
BP
RECEIPTS
553.48
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
343.60
BP
00502
02/11
AJ
08/30/10
BP
BP
RECEIPTS
133.95
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
81.62
BP
00509
02/11
AJ
08/31/10
BP
BP
RECEIPTS
1,360.87
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
8.25
BP
00525
03/11
AJ
09/01/10
BP
BP
RECEIPTS
343.39
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
471.43
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
268.29
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
172.25
BP
00532
03/11
AJ
09/02/10
BP
BP
RECEIPTS
115.65
BP
00539
03/11
AJ
09/03/10
BP
BP
RECEIPTS
530.99
BP
00548
03/11
AJ
09/07/10
BP
BP
RECEIPTS
524.94
BP
OUS48
03/11
AJ
09/07/10
BP
BP
RECEIPTS
76.05
BP
00558
03/11
AJ
09/08/10
BP
SP
RECEIPTS
98.89
BP
00558
03/11
AJ
09/08/10
BP
BP
RECEIPTS
26.65
BP
00566
03/11
AJ
09/09/10
BP
BP
RECEIPTS
808.49
BP
00585
03/11
AJ
09/10/10
BP
BP
RECEIPTS-
225.99
BP
00598
03/11
AJ
09/13/10
BP
BP
RECEIPTS
8.25
BP
00598
03/11
AJ
09/13/10
BP
BP
RECEIPTS
4.50
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
1,360.03
BP
00609
03/11
AJ
09/14/10
BP
BP
RECEIPTS
13.88
BP
00616
03/11
AJ
09/15/10
BP
BP
RECEIPTS
536.35
BP
00647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
858.11
BP
00647
03/11
AJ
09/17/10
BP
BP
RECEIPTS
40.95
BP
00653
03/11
AJ
09/�0/10
BP
BP
RECEIPTS
338.63
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
2,141.75
BP
00661
03/11
AJ
09/21/10
BP
BP
RECEIPTS
27.74
BP
0676
03/11
AJ
09/22/10
BP
BP
RECEIPTS
46.80
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
1,574.71
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
229.17
BP
00690
03/11
AJ
09/23/10
BP
BP
RECEIPTS
56.18
BP
00696
03/11
AJ
09/24/10
BP
BP
RECEIPTS
379.30
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
643.66
BP
00720
03/11
AJ
09/27/10
BP
BP
RECEIPTS
100.05
BP
00730
03/11
AJ
09/28/10
BP
BP
RECEIPTS
628.35
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
8.25
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
5.63
BP
00740
03/11
AJ
09/29/10
BP
BP
RECEIPTS
11653.33
BEGINNING
/ENDING
BALANCE
PREPARED ..,.7/2014, 10:19:00 GENERAL LEDGER m%.ijLVITY -LISTING PAWhiO84
PROGRAM GN362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-342.82-00
Charges
for Services
Plan Check Fees
BP
00746
05/11
AJ
09/30/10
BP
BP
RECEIPTS
687.89
BP*00746
03/11
AJ
09/30/10
BP
BP
RECEIPTS
201.58
BP
00755
04/11
AJ
10/01/10
BP
BP
RECEIPTS
1,826.03
BP
00790
04/11
AJ
10/04/10
BP
BP
RECEIPTS
220.05
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
154.60
BP
00797
04/11
AJ
10/05/10
BP
BP
RECEIPTS
65.56
BP
00804
04/11
AJ
10106110
BP
BP
RECEIPTS
16.50
BP
00804
04/11
AJ
10106110
BP
BP
RECEIPTS
6.00
tP
00811
04/11
AJ
10/07/10
BP
BP
RECEIPTS
436.58
BP
00811
04/11
AJ
10/07/10
BP
BP
RECEIPTS -
66.94
BP
00817
04/11
AJ
10/08/10
BP
BP
RECEIPTS
17.25
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
115.93
BP
00856
04/11
AJ
10/11/10
BP
BP
RECEIPTS
52.65
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
408.33
BP
00864
04/11
AJ
10/12/10
BP
BP
RECEIPTS
572.97
BP
00870
04/11
AJ
10/13/10
BP
BP
RECEIPTS
754.37
BP
00880
04/11
AJ
10/14/10
BP
BP
RECEIPTS
71.40
CR
00879
04/11
CR
10/14/10
0004658
SHEA HOEMS
4,500.00
MMENDOZA 10/14/10 01
BP
00887
04/11
AJ
10/15/10
BP
BP
RECEIPTS
8.25
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
632.54
BP
00893
04/11
AJ
10/18/10
BP
BP
RECEIPTS
40.95
BP
00899
04/11
AJ
10/19/10
BP
BP
RECEIPTS
24.75
BP
00906
04/11
AJ
10/20/10
BP
BP
RECEIPTS
3,732.11
BP
00936
04/11
AJ
10/21/10
BP
BP
RECEIPTS
6.00
BP
OU949
04/11
AJ
10/22/10
BP
BP
RECEIPTS
56.18
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
52.65
BP
00959
04/11
AJ
10/25/10
BP
BP
RECEIPTS
8.44
BP
00959
04/11
AJ
10/25/10
BP
'BP
RECEIPTS
1,738.00
BP
00965
04/11
AJ
10/26/10
BP
BP
RECEIPTS
290.80
BP
00972
04/11
AJ
10/27/10
BP
BP
RECEIPTS
227.48
BP
00981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
174.49
BP
06981
04/11
AJ
10/28/10
BP
BP
RECEIPTS
10.63
BP
00988
04/11
AJ
10/29/10
BP
BP
RECEIPTS
270.51
GM
00917
04/11
AJ
10/31/10
JE 04-016
PRMT FEES/52900 RAMIREZ
9.50
GN
00917
04/11
AJ
10/31/10
JE 04-016-
PRMT FEE/CNG/FIRE STN#32
607.48
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
916.10
BP
01017
05/11
AJ
11/02/10
BP
BP
RECEIPTS
44.18
BP
01041
05/11
AJ
11/03/10
BP
BP
RECEIPTS
11000.00
BP
01041
05/11
AJ
11/03/10
BP
BP
RECEIPTS
8.25
BP
01051
05/11
AJ
11/04/10
BP
BP
RECEIPTS
30.00
BP
01051
05/11
AJ
11/04/10
BP
BP
RECEIPTS
3.94
BP
01057
05/11
AJ
11/05/10
BP
BP
RECEIPTS
58.50
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
265.60
BP
01076
05/11
AJ
11/08/10
BP
BP
RECEIPTS
8.25
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
244.73
BP
01087
05/11
AJ
11/09/10
BP
BP
RECEIPTS
4.50
BP
01112
05/11
AJ
11/10/10
BP
BP
RECEIPTS
69.23
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
813.91
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER AuiiVITY LISTING PAGE1085
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
BEGINNING
/ENDING
BALANCE
- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
101-5000-342.82�00
Charges
for
Services
Plan
Check Fees
BP
01119
05/11
AJ
11/12/10
BP
BP
RECEIPTS
65.40
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
8.25
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
886.70
BP
01126
05/11
AJ
11/15/10
BP
BP
RECEIPTS
303.55
BP
01133
05/11
AJ
11116110
BP
BP
RECEIPTS
161.59
BP
01133
05/11
AJ
11116110
BP
BP
RECEIPTS
134.55
BP
01142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
427.05
BP
01142
05/11
AJ
11/17/10
BP
BP
RECEIPTS
19.89
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
81.68
BP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
293.25
tP
01149
05/11
AJ
11/18/10
BP
BP
RECEIPTS
261.43
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
22.75
BP
01156
05/11
AJ
11/19/10
BP
BP
RECEIPTS
42.60
BP
01192
05/11
AJ
11/22/10
BP
BP
RECEIPTS
256.71
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
500.00
BP
01199
05/11
AJ
11/23/10
BP
BP
RECEIPTS
359.86
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
650.00
BP
01206
05/11
AJ
11/24/10
BP
BP
RECEIPTS
5,676.63
GM
01168
05/11
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
301.84
GM
-01168
05/11
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
7.50
GM
01168
05/11
AJ
11/29/10
AJE
05-016
PRMT FEES/FIRE
STN #32
46.80
BP
01218
05/11
AJ
11/29/10
BP
BP
RECEIPTS
704.05
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
354.50
BP
01225
05/11
AJ
11/30/10
BP
BP
RECEIPTS
8.25
BP
01232
06111
AJ
12/01/10
BP
BP
RECEIPTS
14,432.48
BP
01275
06111
AJ
12/02/10
BP
BP
RECEIPTS
1,028.66
BP
01275
06111
AJ
12/02/10
BP
BP
RECEIPTS
83.55
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
64.35
BP
01280
06111
AJ
12/03/10
BP
BP
RECEIPTS
148.85
BP
01287
06111
AJ
12106110
BP
BP
RECEIPTS
227.43
BP
01287
06111
AJ
12106110
BP
BP
RECEIPTS
770.14
BP
01295
06/11
AJ
12/07/10
BP
BP
RECEIPTS
8.25
BP
01302
06/11
AJ
12/08/10
BP
BP
RECEIPTS
8.25
BP
01302
06111
AJ
12/08/10
BP
BP
RECEIPTS
123.34
BP
01308
06/11
AJ
12/09/10
BP
BP
RECEIPTS
559.18
BP
01308
06/11
AJ
12/09/10
BP
BP
RECEIPTS
407.38
BP
01315
06111
AJ
12/10/10
BP
BP
RECEIPTS
293.48
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
243.65
BP
01322
06111
AJ
12/13/10
BP
BP
RECEIPTS
41.39
BP
01331
06111
AJ,12/14/10
BP
BP
RECEIPTS
11311.86
BP
01331
06111
AJ
12/14/10
BP
BP
RECEIPTS
625.69
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
528.43
BP
01352
06111
AJ
12/15/10
BP
BP
RECEIPTS
8.25
GM
01349
06/11
AJ
12116110
JE
06-019
PRMT FEE/52685
AVE VALLEJ
21.45
BP
01358
06111
AJ
12116110
BP
BP
RECEIPTS
184.04
BP
01358
06/11
AJ
12116110
BP
BP
RECEIPTS
269.79
BP
01405
06111
AJ
12/17/10
BP
BP
RECEIPTS
21.00
BP
01412
06111
AJ
12/20/10
BP
BP
RECEIPTS
162.50
BP
01429
06111
AJ
12/21/10
BP
BP
RECEIPTS
11350.00
PREPARED
-.7/2014,
10:19:00
GENERAL
LEDGER AuiiVITY LISTING
PAGE1086
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C
R I P T 1
0 N DEBITS
CREDITS
: --------------------------------
BALANCE
101-5000-342.82-00
Charges
for
Services
Plan
Check Fees
BP
01435
06111
AJ
12/22/10
BP
BP
RECEIPTS
1,750.00
BP
01440
06111
AJ
12/23/10
BP
BP
RECEIPTS
69.02
BP
01445
06111
AJ
12/27/10
BP
BP
RECEIPTS
3.94
BP
01445
06/11
AJ
12/27/10
BP
BP
RECEIPTS
29.25
BP
01452
06111
AJ
12/28/10
BP
BP
RECEIPTS
46.44
BP
01460
06111
AJ
12/29/10
BP
BP
RECEIPTS
51550.00
BP
01460
06111
AJ
12/29/10
BP
BP
RECEIPTS
16.50
BP
01466
06111
AJ
12/30/10
BP
BP
RECEIPTS
365.95
BP
01466
06111
AJ
12/30/10
BP
BP
RECEIPTS
1,750.00
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
183.95
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
21.39
BP
01484
07/11
AJ
01/03/11
BP
BP
RECEIPTS
202.48
tP
01490
07/11
AJ
01/04/11
BP
BP
RECEIPTS
76.05
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
76.05
BP
01501
07/11
AJ
01106111
BP
BP
RECEIPTS
988.12
BP
01506
07/11
AJ
01/07/11
BP
BP
RECEIPTS
454.49
BP
01522
07/11
AJ
01/10/il
BP
BP
RECEIPTS
197.65
BP
01522
07/11
AJ
01/10/11
BP
BP
RECEIPTS
346.69
BP
01532
07/11
AJ
01/11/11
BP
BP
RECEIPTS
99.45
BP
01543
07/11
AJ
01/12/11
BP
BP
RECEIPTS
268.44
BP
01553
07/11
AJ
01/13/11
BP
BP
RECEIPTS
774.20
BP
01586
07/11
AJ
01/14/11
BP
BP
RECEIPTS
284.17
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
198.25
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
14.63
BP
01592
07/11
AJ
01/18/11
BP
BP
RECEIPTS
74.74
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
105.00
BP
01599
07/11
AJ
01/19/11
BP
BP
RECEIPTS
145.14
BP
01609
07/11
AJ
01/20/11
BP
BP
RECEIPTS
437.86
BP
01615
07/11
AJ
01/21/11
BP
BP
RECEIPTS
4.50
BP
01615
07/11
AJ
01/21/11
BP
BP
RECEIPTS
29.25
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
54.90
BP
01621
07/11
AJ
01/24/11
BP
BP
RECEIPTS
52.65
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
598.65
BP
01650
07/11
AJ
01/25/11
BP
BP
RECEIPTS
40.95
GM
01626
07/11
AJ
01/26/11
JE
07-024
PRMT FEE/52685
VALLEJO
10.13
GM
01626
07/11
AJ
01/26/11
JE
07-024
PRMT FEE/52475
CARRANZA
10.13
BP
01659
07/11
AJ
01126111
BP
BP
RECEIPTS
872.06
BP
01659
07/11
AJ
01/26/11
BP
BP
RECEIPTS
183.71
BP
01666
07/11
AJ
01/27/11
BP
BP
RECEIPTS
77.85
BP
01673
07/11
AJ
01/28/11
BP
BP
RECEIPTS
102.23
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
117.45
BP
01679
07/11
AJ
01/31/11
BP
BP
RECEIPTS
3.94
BP
01688
08/11
AJ
02/01/11
BP
BP
RECEIPTS
40.95
BP
01724
08/11
AJ
02/02/11
BP
BP
RECEIPTS
664.38
GM
01701
08/11
AJ
02/03/11
JE
08-004
PRMT FEE/52685
VALLEJO
40.95
GM
01701
08/11
AJ
02/03/11
JE
08-004
PRMT FEE/52475
CARRANZA
40.95
BP
01735
08/11
AJ
02/04/11
BP
BP
RECEIPTS
55.65
BP
01744
08/11
AJ
02/07/11
BP
BP
RECEIPTS
72.31
BP
01751
08/11
AJ
02/08/11
BP
BP
RECEIPTS
4.50
PREPARED -..-7j2Ol4, 10:19:00 GENERAL LEDGER --VITY LISTING Pk -J87
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD 'DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
. 101-5000-342.82-00
Charges
for
Services
Plan Check Fees
BP
-01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
269.43
BP
04762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
583.99
BP
01762
08/11
AJ
02/09/11
BP
BP
RECEIPTS
266.89
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
59.76
BP
01773
08/11
AJ
02/10/11
BP
BP
RECEIPTS
5.63
BP
01807
08/11
AJ
02/11/11
BP
BP
RECEIPTS
29.25
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
193.37
BP
01813
08/11
AJ
02/14/11
BP
BP
RECEIPTS
128.03
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
10.51
BP
01820
08/11
AJ
02/15/11
BP
BP
RECEIPTS
11.00
BP
01827.
08/11
AJ
02/16/11
BP
BP
RECEIPTS
80.55
BP
01827
08/11
AJ
02116111
BP
BP
RECEIPTS
40.51
BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
2,994.06
* BP
01834
08/11
AJ
02/17/11
BP
BP
RECEIPTS
76.05
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
219.38
BP
01848
08/11
AJ
02/18/11
BP
BP
RECEIPTS
271.40
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
242.12
BP
01855
08/11
AJ
02/22/11
BP
BP
RECEIPTS
64.35
BP
01861
08/11
AJ
02/23111
BP
BP
RECEIPTS
1,134.51
BP
01861
08/11
AJ
02/23/11
BP
BP
RECEIPTS
46.80
GM
01842
08/11
AJ
02/24/11
JE
08-020
PRMT FEE/77330 SONORA
10.13.
BP
01881'
08/11
AJ
02/24111
BP
BP
RECEIPTS
70.00
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
56.35
BP
01888
08/11
AJ
02/25/11
BP
BP
RECEIPTS
134.21
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
202.48
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
11013.50
BP
01898
08/11
AJ
02/28/11
BP
BP
RECEIPTS
163.10
BP
01965
09/11
AJ
03/03/11
BP
BP
RECEIPTS
342.73
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
17.25
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
75.63
BP
01975
09/11
AJ
03/04/11
BP
BP
RECEIPTS
53.50
GM
01961
'09/11
AJ
03/07/11
JE
09-016
PRMT FEES 52681 MENDOZA
27.95
GM
01961
09/11
AJ
03/07/11
JE
09-016
PRMT FEES 52475 CARRANZA
24.05
BP
01989
09/11
AJ
03/07/11
BP
BP
RECEIPTS
16.50
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
243.62
BP
01995
09/11
AJ
03/08/11
BP
BP
RECEIPTS
203.89
BP
02050
09/11
AJ
03/09/11
BP
BP
RECEIPTS
328.51
BP
02057
09/11
AJ
03/10/11
BP
BP
RECEIPTS
11.26
BP
02063
09/11
AJ
03/11/11
BP
BP
RECEIPTS
279.64
BP
02069
09/11
AJ
03/14/11
BP
BP
RECEIPTS
26-.88
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
121.89
BP
02087
09/11
AJ
03/15/11
BP
BP
RECEIPTS
8.25
BP
02093
09/11
AJ
03116111
BP
BP
RECEIPTS
76.05
BP
02099
09/11
AJ
03/17/11
BP
BP
RECEIPTS
16.13
BP
02099
09/11
AJ
03/17/11
BP
BP
RECEIPTS
274.01
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
319.60
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
572.44
BP
02106
09/11
AJ
03/18/11
BP
BP
RECEIPTS
7.88
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
272.17
BEGINNING
/ENDING
BALANCE
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING PAL7CLO88
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
DEBITS CREDITS
101-5000-342.82-00
Charges
for
Services
Plan Check Fees
BP
02116
09/11
AJ
03/21/11
BP
BP
RECEIPTS
7.88
9M
02123
09/11
AJ
03/22/11
JE
09-044
PRMT/77330 CALLE SONORA
46.80
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
424.93
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
52.65
BP
02139
09/11
AJ
03/22/11
BP
BP
RECEIPTS
10.13
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
290.00
BP
02145
09/11
AJ
03/23/11
BP
BP
RECEIPTS
308.70
BP
02159
09/11
AJ
03/24/11
BP
BP
RECEIPTS
771.10
BP
02166
09/11
AJ
03/25/11
BP
BP
RECEIPTS
612.88
BP
02172
09/11
AJ
03/28/11
BP
BP
RECEIPTS
29.25
BP
02184
09/11
AJ
03/29/11
BP
BP
RECEIPTS
598.72
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
44.97
BP
02202
09/11
AJ
03/30/11
BP
BP
RECEIPTS
312.98
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
490.75
BP
02209
09/11
AJ
03/31/11
BP
BP
RECEIPTS
-293.61
BP
02215
10/11
AJ
04/01/11
BP
BP
RECEIPTS
391.02
BP
02220
10/11
AJ
04/04/11.
BP
BP
RECEIPTS
72.79
BP
02220
10/11
AJ
04/04/11
BP
BP
RECEIPTS
334.71
BP
02261
10/11
AJ
04/05/11
BP
BP
-RECEIPTS
172.18
BP
02268
10/11
AJ
04/06/11
BP
BP*
RECEIPTS
290.19
BP
02268
10/11
AJ
04/06/11
BP
BP
RECEIPTS
145.40
BP
02281
10/11
AJ
04/08/11
BP
BP
RECEIPTS
285.95
BP
02324
10/11
AJ
04/11/11
BP
BP
RECEIPTS
.34.51
BP
02324
10/11
AJ
04/11/11
BP
BP
RECEIPTS
10.13
BP
02330
10/11
AJ
04/12/11
BP
BP
RECEIPTS
37.69
BP
02330
'10/11
AJ
04/12/11
BP
BP
RECEIPTS
17.26
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
13.88
BP
02336
10/11
AJ
04/13/11
BP
BP
RECEIPTS
295.68
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
79.43
BP
02342
10/11
AJ
04/14/11
BP
BP
RECEIPTS
73.16
BP
02356
16/11
AJ
04/15/11
BP
BP
RECEIPTS
10.13
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
596.77
BP
02362
10/11
AJ
04/18/11
BP
BP
RECEIPTS
16.13
BP
0'2368
10/11
AJ
04/19/11
BP
BP
RECEIPTS
812.84
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
451.43
BP
02374
10/11
AJ
04/20/11
BP
BP
RECEIPTS
67.56
GM
02317
10/11
AJ
04/21/11
JE
10-011
PRMT FEES/52681 MENDOZA
10.13
GM
02317
10/11
AJ
04/21/11
JE
10-011
PRMT FEES/52050 CARRANZA
10.13
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
135.65
BP
02381
10/11
AJ
04/21/11
BP
BP
RECEIPTS
594.45
BP
02386
10/11
AJ
04/22/11
BP
BP
RECEIPTS
490.88
BP
02398
10/11
AJ
04/26/11
BP
BP
RECEIPTS
2,027.60
BP
02430
10/11
AJ
04/27/11
BP
BP
RECEIPTS
11000.00
BP
02440
10/11
AJ
04/28/11
BP
BP
RECEIPTS
436.54
BP
-02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
9.19
BP
02446
10/11
AJ
04/29/11
BP
BP
RECEIPTS
2,039.62
BP
02454
11/11
AJ
05/02/11
BP
BP
RECEIPTS
33.94
BP
02454
11/11
AJ
05/02/11
BP
BP
RECEIPTS
27.13
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
18.57
BEGINNING
/ENDING
BALANCE
PREPARED 7/2014, 10:19:00 GENERAL LEDGER --..VITY LISTING
PROGRAM GM362LA -
CITY OF LA QUINTA, CALIFORNIA
PAVC1089
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 -General
Fund
7
BEGIN NING
GROUP
ACCTG
---- TRANSACTION
----
/ENDING
APP NUMBER
--------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C
R I P T I-0 N
DEBITS CREDITS BALANCE
-----------------
101-5000-342.82-00
Charges
for Services
Plan
Check Fees
BP
02461
11/11
AJ
05/03/11
BP
BP
RECEIPTS
11.26
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
140.18
BP
02486
11/11
AJ
05/04/11
BP
BP
RECEIPTS
757.41
BP
02498
11/11
AJ
05/05/11
BP
BP
RECEIPTS
16.13
BP
02498
11/11
AJ
05/05/11
BP
BP
RECEIPTS
11.26
BP
02504
11/11
AJ
05106111
BP
BP
RECEIPTS
194.03
BP
02504
11/11
AJ
05/06/11
BP
BP
RECEIPTS
40.95
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
215.15
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
210.93
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
656.18
BP
02516
11/11
AJ
05/09/11
BP
BP
RECEIPTS
23.63
BP
02531
11/11
AJ
05/10/11
BP
BP
RECEIPTS
912.42
BP
02541
11/11
AJ
05/11/11
BP
BP
RECEIPTS
11000.00
BP
02541
11/11
AJ
05/11/11.BP
BP
RECEIPTS
413.40
BP
02564
11/11
AJ
05/12/11
BP
BP
RECEIPTS
101.18
BP
02570
11/11
AJ
05/13/11
BP
BP
RECEIPTS
186.61
BP
02576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
1,638.70
BP
02576
11/11
AJ
05/16/11
BP
BP
RECEIPTS
216.24
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
260.11
BP
02583
11/11
AJ
05/17/11
BP
BP
RECEIPTS
16.50
BP
02604
11/11
AJ
05/18/11
BP
BP
RECEIPTS
151.26
BP
02611
11/11
AJ
05/19/11
BP
BP
RECEIPTS
225.78
BP
02631
11/11
AJ
05/20/11
BP
BP
RECEIPTS
15.00
BP
02631
11/11
AJ
05/20/11
BP
BP
RECEIPTS
472.55
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
11000.00
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
852.08
BP
02640
11/11
AJ
05/23/11
BP
BP
RECEIPTS
19.51
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
571.14
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
11010.13
BP
02663
11/11
AJ
05/24/11
BP
BP
RECEIPTS
22.52
GM
02648
11/11
AJ
05/25/11
JE 11-025-
PRMT FEES/52050 CARRANZA
18.85
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
11081.04
BP
02670
11/11
AJ
05/25/11
BP
BP
RECEIPTS
70.85
BP
02679
11/11
AJ
05/26/11
BP
BP
RECEIPTS
738.68
BP
02679
11/11
AJ
05/26/11
BP
BP
RECEIPTS
10.13
BP
02699
11/11
AJ
05/27/11
BP
BP
RECEIPTS
1,226.17
BP
02699
11/11
AJ
05/27/11
BP
BP
RECE,IPTS
292.88
BP
02686
11/11
AJ
05/31/11
BP
BP
RECEIPTS
142.51
BP
02708
12/11
AJ
06101111
BP
BP
RECEIPTS
329.23
BP
02708
12/11
AJ
06/01/11
BP
BP
RECEIPTS
14.25
BP
02715
12/11
AJ
06102111
BP
BP
RECEIPTS
87.51
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
855.02
BP
02722
12/11
AJ
06/03/11
BP
BP
RECEIPTS
286.08
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
421.86
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
20.26
BP
02761
12/11
AJ
06106111
BP
BP
RECEIPTS
223.87
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
1,587.06
BP
02768
12/11
AJ
06/07/11
BP
BP
RECEIPTS
19.32
BP
02775
12/11
AJ
06/08/11
BP
BP
RECEIPTS
114.63
PREPARED
_-7/2014,
10:19:00
GENERAL LEDGER _VITY LISTING
pAt7=1090
PROGRAM
GM362LA
CITY.OF LA
---------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
-------------
m ---------------------
BEGINNING
GROUP
ACCTG
--m-TRANSACTION
/ENDING
APP
NUMBER
PER.
CD
DATE
NUMBER D E
---------- w--
S C R I P T 1 0 N
----------
DEBITS
------- -------
CREDITS
--------- -------
BALANCE
-----------
101-5000-342.82-00
Charges
for Services
Plan Check Fees
BP
02775
12/11
AJ
06108111
BP
BP RECEIPTS
4.13
BP
02796
12/11
AJ
06/09/11
BP
BP RECEIPTS
55.05
BP
02811
12/11
AJ
06110111
BP
BP RECEIPTS
375.04
BP
02818
12/11
AJ
06/13/11
BP
BP RECEIPTS
345.34
BP
02824
12/11
AJ
06/14/11
BP
BP RECEIPTS
252.31
tP
02824
12/11
AJ
06/14/11
BP
BP RECEIPTS
13.88
BP
02836
12/11
AJ
0'6/15/11
BP
BP RECEIPTS
32.65
BP
0-2848
12/11
AJ
06116111
BP
BP RECEIPTS
205.93
BP
02848
12/11
AJ
06116111
BP
BP RECEIPTS
241.78
BP
02860
12/11
AJ
06/17/11
BP
BP RECEIPTS
7.88
BP
02860
12/11
AJ
06/17/11
BP
BP RECEIPTS
7.50
BP
02887
12/11
AJ
06120111
BP
BP RECEIPTS
16.13
BP
02887
12/11
AJ
06120111
BP
BP RECEIPTS
106.13
BP
02894
12/11
AJ
06121111
BP
BP RECEIPTS
16.50
BP
02894
12/11
AJ
06/21/11
BP
BP RECEIPTS
40.95
BP
02902
12/11
AJ
06/22/11
BP
BP RECEIPTS
70.20
BP
02958
12/11
AJ
06/23/11
BP
BP RECEIPTS
2,173.59
BP
02958
12/11
Ai
06/23/11
BP
BP RECEIPTS
371.48
BP
02963
12/11
AJ
06/24/11
BP
BP RECEIPTS
4,426.48
AP
02969
12/11
AJ
06/27/11
BP
BP RECEIPTS
6' 00
BP
02969
12/11
AJ
06/27/11
BP
BP RECEIPTS
87:87
BP
02976
12/11
AJ
06128111
BP
BP RECEIPTS
496.50
BP
02976
12/11
AJ
06128111
BP
BP RECEIPTS
16.50
BP
02982
12/11
AJ
06/29/11
BP
BP RECEIPTS
81.46
BP
02990
12/11
AJ
06/30/il
BP
BP RECEIPTS
7.63
ACCOUNT
TOTAL
168,369.60
Y68,369.60CR
101-5000w342.85-00
Charges
for Services
CBSC Admin Fee
.00
GM
00876
04/11
AP
10/19/10
0089340
CALIFORNIA BUILDING
STAND
65.80
BUILDING
STD
JUL-SEP ADMIN FEE
GM
01547
07/11
AP
01/11/11
0090368
CALIFORNIA BUILDING
STAND
107.70
OCT -DEC
4TH QTR ADMIN FEE
GM
02225
10/11
AP
04/04/11
0091337
CALIFORNIA BUILDING
STAND
52.00
JAN -MAR
ADMIN FEES -
GM
03020
12/11
AP
07/14/11
0092645
CALIFORNIA BUILDING
STAND
68.10
APR'11-JUN'll
QTRLY ADMIN FEES
ACCOUNT TOTAL 293.60
101-5000-342.87-00 Charges for Services CERT Training
CR 01897 08/11 CR 02/28/11 0013068 PERRY WALKER 30.00
MMENDOZA 02/28/11 01
CR 01897 08/11 CR 02/28/11 0013070 ROBERT HUMEL 30.00
MMENDOZA 02/28/11 01
CR 01897 08/11 CR 02/28/11 0013072 MICHAEL LONG 30.00
MMENDOZA 02/28/11 01
293.60CR
.00
PREPARED _-7/2014, 10:19:00 GENERAL LEDGER _—VITY LISTING a 91
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND.101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS C�EDITS BALANCE
--------------------------------------------------------------------------------------------------------------------------------
101-5000-342.87-00
Charges
for Services
CERT Training
CR
01897
08/11
CR
02.�28/11
0013073
JOHN SKEEES
30.00
MMENDOZA 02/28/11
01
CR
01897
08/11
CR
02/28/11
0013074
DOROTHY CUSICK
30.00
MMENDOZA 02/28/11
01
CR
01927
09/11
CR
03/01/11
0013224
RUMMEL, EMILE JACQUES
30.00
KBLONDELL 03/01/11
01
CR
01927
09/1-1
CR
-03/01/11
0013092
BOBO BARRETT
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013093
STEVE BOCK
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013094
FLORES & MOORE
60.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013095
ARLENE KUKOWSKI
30.00
MMENDOZA 03/01/11
01
CR
01927,
09/11
CR
03/01/11
0013103
HALLER & GILBERTSON
60.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013104
RECORD
60.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013105
JACKIE MISURACA
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013107
ELSNER
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013108
LESLIE
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013109
PLOTE
30.00
MMENDOZA 03/01/11
01
CR
01927
09/11
CR
03/01/11
0013111
STICKEL
30.00
MMENDOZA 03/01/11
01
CR
01964
09/11
CR
03/03/11
0013713
MARSCHALL
30.60
MMENDOZA 03/03/11
01
CR
02049
09/11
CR
03/09/11
0014218
2 CERT TRNG/BAUGHMAN, B &
60.00
KBLONDELL 03/09/11
01
CR
02056
09/11
CR
03/10/11
0014266
CERT TRNG/FRIEDMAN,
N.
30.00.
KBLONDELL 03/10/11
01
CR
02062
09/11
CR
03/11/11
0014357
CERT TRAINING CLASS
30.00
MMENDOZA 03/11/11
01
CR
02662
09/11
CR
03/11/11
0014362
CERT TRAINING -FRANKLIN
30.00
MMENDOZA 03/11/11
01
CR
02068
09/11
CR
03/14/11
0014427
CERT CLASS
30.00
-
MMENDOZA 03/14/11
01
CR
02086
09/11
CR
03/15/11
0014491
CERT TRNG - LAMKIN,
SHARI
30.00
KBLONDELL 03/15/11
01
CR
02098
09/11
CR
03/17/11
0014777
CERT TRANG/STRAZZO,
B & G
60.00
KBLONDELL 03/17/11
01
CR
02158
09/11
CR
03/24/11
0015412
CERT TRANG - CAMODY-POLAK
30.00
KBLONDELL 03/24/11
01
ACCOUNT TOTAL
930.00
930.00CR
PREPARED
-.7/2014, 10:19:00
GENERAL LEDGER --..VITY
LISTING
Pk%wc a 092
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
7 -----------------------------
BALANCE
101-5000-342.89-00
Charges for Services
Crossroads Commission
.00
CR
00046
01/11
CR
07/07/10
0000297
CROSSROADS/POLICE REPORTS
25.00
DMARTIN 07/07/10 01
CR
00173
01/11
CR
07/26/10
0000884
CROSSROADS/POLICE REPORT
40.00
DMARTIN 07/26/10 01
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
25.00
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
40.00
CR
00482
02/11
CR
08/26/10
0002032
CROSSROADS/POLICE REPORT
10.00
DMARTIN 08/26/10 01
PR
00719
03/11
CR
09/27/10
0003553
CROSSROADS/AUG POLICE REP
20.00
DMARTIN 09/27/10 01
CR
01125
05/11
CR
11/15/10
0006321
CROSSROADS/POLICE REPORT
5.00
DMARTIN 11/15/10 01
CR
01216
05/11
CR
11/29/10
0007029
CROSSROADS/POLICE REPORT
5.00
DMARTIN 11/29/10 01
CR
01729
08/11
CR
02/03/11
0010725
CROSSROADS/POLICE REPORTS
50.00
DMARTIN 02/03/11 01
CR
01988
09/11
CR
03/07/11
0013911
CROSSROADS/POLICE REPORTS
35.00
DMARTIN 03/07/11 01
CR
02183
09/11
CR
03/29/11
0015647
CROSSROADS/POLICE REPORTS
25.00
DMARTIN 03/29/11 01
CR
02373
10/11
CR
04/20/11
0017959
CROSSROADS/POLICE REPORTS
55.00
DMARTIN - 04/20/11 01
CR
02610
11/11
CR
05/19/11
0020068
CROSSROADS/POLICE REPORTS
10.00
DMARTIN 05/19/11 01
ACCOUNT TOTAL
65.00
280.00
215.00CR
101-5000-351.01-00
Fines and
Assessments
Admin Citations
.00
CR
00134
01/11
CR
07/19/10
0000690
DELINQ ADMN CIT REWST OF
917.00
DMARTIN 07/19/10 01
GM
00345
01/11
AJ
07/31/10
JE 01-041
JUL110 ADMIN CITATION REV
11100.00
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
917.00
GM
00590
02/11
AJ
08/31/10
JE 02-041
AUG110 ADMIN CITATION REV
11350.00
CR
00597
03/11
CR
09/13/10
0002866
DELINQ ADMN CIT REWST OF
719.18
DMARTIN 09/15/10 01
GM
00782
03/11
AJ
09/30/10
JE 03-048
SEP110 ADMIN CITATION REV
11900.00
GM
01047
04/11
AJ
10/31/10
JE 04-044
OCT110 PRKNG CITATION REV
2,850.00
CR
01216
05/11
CR
11/29/10
0007025
DELINQ ADMN CIT REWST OF
1,611.00
DMARTIN 11/29/10 01
GM
01252
05/11
AJ
11/30/10
JE 05-040
NOV'10.ADMIN CITATION REV
2,125.00
CR
01411
06111
CR
12/20/10
0008144
ST OF CAL/DELINQ ADMN CIT
100.00
DMARTIN 12/20/10 01
GM
01538
06/11
AJ
12/31/10
JE 06-049
DEC110 ADMIN CITATION REV
775.00
GM
01766
07/11
AJ
01/31/11
JE 07-047
JAN'll ADMIN CITATION REV
1,709.98
CR
01812
08/11
CR
0.2/14/11
0011661
DELINQ ADMN CIT REWST CA
679.77
DMARTIN 02/14/11 01
GM
01983
08/11
AJ
02/28/11
JE 08-045
FEB'll ADMIN CITATION REV
2,373.34
CR
02086
09/11
CR
03/15/11
0014487
DELINQ ADMN CIT REWST CA
2,589.56
PREPARED --7/2014, 10:19:00 GENERAL LEDGER —.-VITY LISTING
PROGRAM GM562LA
CITY OF LA QUINTA, CALIFORNIA
- ----- ------- - --------- - - --- - - --------------- --------- -- ------------ ---------- ------------ ----- -------- --- -------- ---------- - ----- ---
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
10115000-351.01-00
Fines and
Assessments
Admin Citations
DMARTIN 03/15/11 01
GM -02047
09/11
AP
03/17/11
0091154
DAWSON, SANDRA
637.00
48170
ADMIN CITATIONS
GM
02244.
09/11
AJ
03/31/11
JE 09-067
MAR'll ADMIN CITATION REV
1,381.67
CR
02361
10/11
CR
04/18/11
0017716
CIT LQA034216,LQA033656
100.00
KBLONDELL 04/18/11 01
CR
02361
10/11
CR
04/18/11
0017812
CASE 09-3226/MONROY, ROSA
50.00
KBLONDELL 04/18/11 01
CR
02385
10/11
CR
04/22/11
0018050
DELINQ ADMN CIT REV/ST CA
6,199.28
DMARTIN 04/22/11 01
PR
02397
10/11
CR
04/26/11
0018239
GARCIA, MARIA/10-3733
50.00
KBLONDELL 04/26/11 01
GM
02508
10/11
AJ
04/36/11
JE 10 * -039
APR'll ADMIN CITATION REV
2,408.34
GM
02508
10/11
AJ
04/30/11
JE 10-039
NSF/CIT#110287/CARMONA
100.00
CR
02575
11/11
CR
05/16/11
0019801
ST CAL/DELINQ ADMIN CIT R
6,645.66
DMARTIN 05/16/11 01
CR
02662
11/11
CR
05/24/11
0020264
M GARCIA/CITATION PARTIAL
50.00
DMARTIN 05/24/11 01
GM
02727
11/11
AJ
05/51/11
JE 11-038
MAY'll ADMIN CITATION REV
2,560.33
CR
02721
12/11
CR
06/03/11
0020911
BRIAN L JONES #8-1764
50.00
MMENDOZA 06/03/11 01
CR
02857
12/11
CR
06/17/11
0021810
DELINQ ADMN CIT REV/ST OF
402.45
DMARTIN 06/17/11 01
GM
03015
12/11
AJ
06130111
JE 12-053
JUN'll ADMIN CITATION REV
2,393.34
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
896.06
ACCOUNT TOTAL
1,654.00
43,986.96
101-5000-351.02-00
Fines and
Assessments
Lot Abatement
CE
00083
01/11
AJ
07/14/10
CE
CE RECEIPTS
3,716.89
GM
00224
02/11
AJ
08/04/10
JE 02-001
FY 09/10 SS3 RVRSD CNTY
312.50
CE
00338
02/11
AJ
08116110
CE
CE RECEIPTS
75.00
GM
00472
02/11
AJ
08/31/10
AJE 02-026
REVERSE ACCRUED REVENUE
312.50
CE
00599
03/11
AJ
09/13/10
CE
CE RECEIPTS
312.50
CR
00654
03/11
CR
09/20/10
0003220
LOT ABATE FINE/51380 MART
589.23
DMARTIN 09/20/10 01
CE
00722
03/11
AJ
09/27/10
CE
CE RECEIPTS
306.25
CE
01128
05/11
AJ
11/15/10
CE
CE RECEIPTS
281.25
CE
01310
06111
AJ
12/09/10
CE
CE RECEIPTS
1,528.15
CE
01491
07/11
AJ
01/04/11
CE
CE RECEIPTS
967.34
CE
01502
07/11
AJ
01106111
CE
CE RECEIPTS
3,124.34
GM
01634
07/11
AJ
01/31/11
JE 07-027
SSI PROP TAX 01/25/11
7,975.31
CE
012160
09/11
AJ
03/24/11
CE
CE RECEIPTS
2,623.13
CE
02174
09/11
AJ
03/28/11
CE
CE RECEIPTS
4,886.21
CE
02369
10/11
AJ
04/19/11
CE
CE RECEIPTS
306.25
GM
02658
11/11
AJ
05/26/11
JE 11-029
SS2 PROP TAX 05/19/11
11,329.98
CE
02700
11/11
AJ
05/27/11
CE
CE RECEIPTS
281.25
CE
0276.3
12/11
AJ
06106111
CE
CE RECEIPTS
1,625.00
42,332.96CR
.00
PREPARED --7/2014, 10:19:00
GENERAL LEDGER ..-.-VITY LISTING
Assessments
Pj,--.394
PROGRAM GM362LA
CR
00213
01/11
CITY OF LA QUINTA, CALIFORNIA
-6
07/29/10
0001028
RCSD
----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING
GROUP ACCTG ---- TRANSACTION ----
CASHVO 07/08/10 01
CR
/ENDING
APP NUMBER PER. CD DATE NUMBER ' D
-----------------------------------------------------------------------------------------------------------------------------------
E S C R I P T 1 0 N DEBITS
CREDITS
BALANCE
101-5000-351.02-00 Fines -and Assessments
/ Lot Abatement
JE 03-033
RECL CR1028
CE 02812 12/11 AJ 06/10/11 CE
CE RECEIPTS
281.25
08/11
CE 02819 12/11 AJ 06/13/11 CE
CE RECEIPTS
11989.10
1ST QTR
CE 02825 12/11 AJ 06/14/11 CE
CE RECEIPTS
259.05
CR
GM 03047 12/11 AJ 06/30/11 AJE 12-072
ACCRUED REVENUE FY 10/11
820.68
DMARTIN
ACCOUNT TOTAL
101-5000-351.03-00
Fines and
Assessments
/ Vehicle
Abatement
CR
00213
01/11
CR
07/29/10
0001028
RCSD
CASHVO 07/08/10 01
CR
MMENDOZA
07/29/10 01
GM
00711
03/11
AJ
09/28/10
JE 03-033
RECL CR1028
7/29 VEH IMP
.CR
01819
08/11
CR
02/15/11
0011716
1ST QTR
VEH ABATE/RVRS CN
AJE 01-027
REVERSE ACCRUED REVENUE
CR
00313
02/11
CR
DMARTIN
. 02/15/11 01
CR
01964
09/11
CR
03/03/11
0013734
2ND QTR
VEH ABATEMENT/RVR
CR
00399
02/11
CR
08/19/10
0001779
DMARTIN
03/03/11 01
CR
02721
12/11
CR
06/03/11
0020905
3RD QTR
VEH ABATEMNT/RVRS
03/11
CR
09/02/10
0002471
VEHICLE IMPOUND FEES
DMARTIN
06/03/11 01
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED
REVENUE FY 10/11
ACCOUNT TOTAL
101-5000-351.04-00
Fines and
Assessments
/ Vehicle'Impound fee
CR
00052
01/11
CR
07/08/10
0000370
VEHICLE IMPOUND FEES
CASHVO 07/08/10 01
CR
00213
01/11
CR
07/29/10
0001029
RCSD
MMENDOZA 07/29/10 01
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
CR
00313
02/11
CR
08/12/10
0001546
RCSD
MMENDOZA 08/12/10 01
CR
00399
02/11
CR
08/19/10
0001779
VICR FEES 08/18/10
KBLONDELL 08/19/10 01
CR
00531
03/11
CR
09/02/10
0002471
VEHICLE IMPOUND FEES
CASHVO 09/02/10 01
CR
00640
03/11
CR
09/16/10
0003076
VICR FEES 09/15/10
KBLONDELL 09/16/10 01
GM
00711
03/11
'AJ
09/28/10
JE 03-033
RECL CR1028 7/29 VEH IMP
GM
00711
03/11
AJ
09/28/10
JE 03-033
RECL CR3412 9/23 VEH IMP
CR
00803
04/11
CR
10106110
0004169
VICR FEES 10106110
KBLONDELL 10/06/10 01
CR
00935
04/11
dR
10/21/10
0004895
VICR FEES 10/21/10
KBLONDELL 10/21/10 01
CR
01050
05/11
CR
11/04/10
0005834
VICR FEES 11/03/10
KBLONDELL 11/04/10 01
CR
01205
05/11
CR
11/24/10
0006875
VICR FEES 11/24/10
KBLONDELL 11/24/10 01
GM
01252
05/11
AJ
11/30/10
JE 05-040
NSF/VILLANUEVA 11/08/10
CR
01307
06111
CR
12/09/10
0007766
RCSD-VEH IMP FEE
312.50
992.00
992.00
744.00
124.00
45,590.66
992.00
8,946.40
3,561.60
5,066.80
2,232.00
20,798.80
744.00
11488.00
1,116.00
1,488.00
992.00
992.00
992.00
620.00
1,364.00
2,108.00
2,604.00
5,224.00
2,356.00
45,278.16CR
.00
19,806.80CR
00
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER --.-VITY
LISTING
PP.- -- 95
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-351.04-00
Fines and
Assessments
Vehicle Impound fee
MMENDOZA 12/09/10 01
CR 01483
07/11
CR
01/03/11
0008517
VICR FEES 12/29/10
31100.00
KBLONDELL 01/03/11 01
CR 01687
08/11
CR
02/01/11
0010390
VICR FEES 01/27/11
4,216.00
KBLONDELL 02/01/11 01
CR 01750
08/11
CR
02/08/11
0010931
RVRSD CNTY VEH IMPOUND FE
1,488.00
CASHVO 02/08/11 01
CR 01880
08/11
CR
02/24/11
0012930
RCSD-VEH IMP
1,984.00
MMENDOZA 02/24/11 01
CR 02138
09/11
CR
03/22/11
0014974
VICR FEES 03/21/11
2,852.00
KBLONDELL 03/22/11 01
CR 02367
10/11
CR
04/19/11
0017865
RSCD DEPOSIT
3,224.00
MMENDOZA 04/19/11 01
CR 02575
11/11
CR
05116111
0019792
VEH IMP RCSD
2,356.00
MMENDOZA 05116111 01
iCR 02823
12/11
CR
06/14/11
0021489
VICR FEES 06/13/11
1,984.00
KBLONDELL 06/14/11 01
ACCOUNT TOTAL
868.00
40,424.00CR
101-5000-351.05-00
Fines and
Assessments
Animal Impound fee
.00
CE 00077
01/11
AJ
07/13/10
CE
CE RECEIPTS
10.00
CE 00137
01/11
AJ
07/19/10
CE
CE RECEIPTS
10.00
CE 00316
02/11
AJ
08/12/10
CE
CE RECEIPTS
10.00
CE 00460
02/11
AJ
08/23/10
CE
CE RECEIPTS
10.00
CE 00,617
03/11
AJ
09/15/10
Ct
CE RECEIPTS
10.00
CR 00689
03/11
CR
09/23/10
0003412
VICR FEES 09/23/10
620.00
KBLONDELL 09/23/10 01
GM 00711
03/11
AJ
09/28/10
JE 03-033
RECL CR3412 9/23 VEH IMP
620.00
CE 00792
04/11
AJ
10/04/10
CE
CE RECEIPTS
10.00
CE 01997
09/11
AJ
03/08/11
CE
CE -RECEIPTS
20.00
CE 02376
10/11
AJ
04/20/11
CE
CE RECEIPTS
10.00
CE 02543
11/11
AJ
05/11/11
CE
CE RECEIPTS
45.00
CE 02605
11/11
AJ
05/18/il
CE
CE RECEIPTS
10.00
CE 02971
12/11
AJ
06/27/11
CE
CE RECEIPTS
45.00
ACCOUNT TOTAL
620.00
810.00
190.00CR
101-5000-351.06-00
Fines and
Assessments
False Alarms
.00
ACCOUNT TOTAL
.00
101-5000-351.07-00
Fines and
Assessments
Motor Vehicle Code Fines
.00
CR 00207
01/11
CR
07/28/10
0000953
JUN10 CRMNL/TRAF FINE/RVR
11,453.97
DMARTIN 07/28/10 01
GM 00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
11,453.97
PREP�RED 16-7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING PA.--- J96
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5000-351.07-00
Fines and
Assessments
Motor Vehicle Code Fines
CR
00531
03/11
CR
09/02/10
0002472
JUL110 CRMNL/TRAF FEE RVR
9,653.92
DMARTIN 09/02/10 01
CR
00803
04/11
CR
10106110
0004101
AUG CRMNL/TRAF FINES/RVRS
10,377.46
DMARTIN 10106110 01
CR
0.1040
05/11
CR
11/03/10
0005768
SEP110 CRMNL/TRAFF RVRSD
7,571.11
DMARTIN 11/03/10 01
CR
01274
06111
CR
12/02/10
0007277
OCT110 CRMNL/TRAF FEE/RVR
8,650.19
DMARTIN 12/02/10 01
CR
01465
06111
CR
12/30/10
0008472
NOV110 CRMNL/TRAF FEE/RVR
7,597.24
DMARTIN 12/30/10 01
CR
01743
08/11
CR
02/07/11
0010845
DEC110 CRMNL/TRAF FEES/RV
7,400.02
DMARTIN 02/07/11 01
CR
01964
09/11
CR
03/03/11
0013736
JAN CRMNL/TRAFF FEES/RVR
11,084.56
DMARTIN 03/03/11 01
CR
02201
09/11
CR
03/30/11
0015701
FEB111 CRMNL/TRAF FEE/RVR
8,823.87
DMARTIN 03/30/11 01
CR
02459
11/11
CR
05/03/11
0018917
MAR111 CRMNL/TRAF FEE/RVR
11,772.75
DMARTIN 05/03/11 01
CR
02767
12/11
CR
06/07/11
0021140
APR CRMNL/TRAFF FEES/RVRS
9,383.70
DMARTIN 06/07/11 02
CR
02975
12/11
CR
06/28/11
0022315
MAY CRMNL/TRAFFC FEE/RVRS
8,194.66
DMARTIN 06/28/11 01
GM
03081
12/11
AJ
06/30/11
AJE 12-104
ADDIL ACCRUED REVENUE
7,052.85
ACCOUNT TOTAL
11,453.97
119,016.30
101-5000-351.08-00
Fines and
Assessments
Parking Violations
CR
00032
01/11
CR
07/02/10
0000145
MAY PRKNG BAIL/ST OF CALI
942.00
DMARTIN 07/02/10 01
CR
00159
01/11
CR
07/22/10
0000833
MCCAIN-FC & PADRES GAME
30.00
MANCILLA 07/22/10 01
CR
00173
01/11
CR
07/26/10
0000886
JUN110 PRKNG BAIL/ST OF C
1,409.00
DMARTIN 07/26/10 01
GM
00179
01/11
AJ
07/27/10
JE 01-021
RECL 7/22 CR FITNESS CRD
15.00
GM
00345
01/11
AJ
07/31/10
JE 01-041
JUL110 PRKNG CITATION REV
2,575.00
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
942.00
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
1,409.00
GM
00590
02/11
AJ
.08/31/10
JE 02-041
AUG110 PRKNG CITATION REV
1,345.00
GM
00782
03/11
AJ
09/30/10
JE 03-048
SEP110 PRKNG CITATION REV
1,649.10
CR
00796
04/11
CR
10/05/10
0004021
FITNESS CARD
15.00
MANCILLA 10/05/10 01
GM
00956
04/11
AJ
10/28/10
JE 04-032
JUL110 PRKNG BAIL/ST CAL
11358.00
GM
00956
04/11
AJ
10/28/10
JE 04-032
AUG110 PRKNG BAIL/ST CAL
2,977.00
GM
00956
04/11
AJ
10/28/10
JE 04-032'
SEP110 PRKNG BAIL/ST CAL
514.00
GM
01047
04/11
AJ
10/31/10
JE 04-044
OCT110 PRKNG CITATION REV
1,075.33
GM
01173
05/11
AJ
11/29/10
JE 05-021
OCT110 PRKNG BAIL/ST CAL
11353.00
GM
01252
05/11
AJ
11/30/10
JE 05-040
NOV110 PRKNG CITATION REV
11991.33
GM
0.1391
06/11
AJ
12/31/10
JE 06-032
NOV110 PRKNG BAIL/ST CAL
955.00
107,562.33CR
.00
PREPARED
.,,,7/2014,
10:19:00
Miscellaneous Fines
CR
GENERAL LEDGER --VITY
LISTING
CR
P). ---J97
PROGJRAM
GM362LA
MMENDOZA 07/01/10 01
CR
CITY OF LA QUINTA, CALIFORNIA
01/11
CR
07/28/10
0000953
JUNIO CRMNL/TRAF FINE/RVR
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
DMARTIN 07/28/10 01
CR
00213
BEGINNING
CR
GROUP
ACCTG
----
TRANSACTION
----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
AJ
NUMBER D
E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5000-351.08-00
CR
Fines and
Assessments
ACEVES 08-1103
Parking Violations
GM
01538
06/11
AJ
12/31/10
JE
06-049
DEC110 PRKNG CITATION REV
AJE 02-026
3,028.33
CR
CR
01489
07/11
CR
01/04/11
0008563
FITNESS CARD-SKOV
15.00
DMARTIN 09/02/10 01
CR
00557
03/11
CR
09/08/10
MMENDOZA 01/04/11 01
CASE 08-1103/ACEVES
GM
01577
07/11
AJ
01/24/11
JE
07-013
RECL CR8563 1/4/11 (SKOV)
15.00
09/08/10
0002636
GM
01637
07/11
AJ
01/31/11
JE
07-030
DEC110 PRKNG BAIL 1/24/11
CR
1,795.00
03/11
GM
01766
07/11
AJ
01/31/11
JE
07-047
JAN'll PRKNG CITATION REV
2,506.33
MANCILLA 09/10/10 01
GM
02871
08/11
AJ
02/24/11
JE
08-028
JAN'll PRKNG BAIL/ST CAL
1,479.00
GM
01983
08/11
AJ
02/28/11
JE
08-045
FEB111 PRKNG CITATION REV.
0004101
1,279.00
GM
02122
09/11
AJ
03/22/11
JE
09-043
FEB'll PRKNG BAIL/ST CAL
1,552.00
CR
02171
09/11
CR
03/28/11
0015555
NSF CK -MIKE & JULIE BONO
80.00
MMENDOZA 03/28/11 01
GM
02196
09/11
AJ
03/31/11
JE
09-.059
RECL NSF CHRG/M BONO 3/28
30.00
GM
02244
09/11
AJ
03/31/11
JE
09-067
MAR'll PRKNG CITATION REV
3,322.33
GM
02244
09/11
AJ
03/31/11
JE
09-067
NSF/PRK CIT/M BONO 3/4/11
50.00
GM
02508
10/11
AJ
04/30/11
JE
10-039
APR'll PRKNG CITATION REV
2,889.68
GM
02510
10/11
AJ
04/30/11
JE
10-040
MAR PRKNG BAIL/ST OF CAL
1,213.00
CR
02569
11/11
CR
05/13/11
0019733
JUDY THOMAS
15.00
MANCILLA 05/13/11 01
GM
02622
11/11
AJ
05/23/11
JE
11-021
RECL FITNESS CARD 5/13 CR
15.00
i -.M
02727
11/11
AJ
05/31/11
JE
11-038
MAY'll PRKNG CITATION REV
2,814.00
GM
02750
11/11
AJ
05/31/11
JE
11-045
APR'll PRKNG BAIL/ST CAL
573.00
GM
03015
12/11
AJ
06/30/11
JE
12-053
JUN'll PRKNG CITATION REV
1,546.00
GM
03017
12/11
AJ
06/30/11
JE
12-055
MAY'll PRKNG BAIL/ST CAL
936.00
ACCOUNT TOTAL
101-5000-351.09-00
Fines and
Assessments
Miscellaneous Fines
CR
00025
01/11
CR
07/01/10
0020319
PENA-10-3201
MMENDOZA 07/01/10 01
CR
00207
01/11
CR
07/28/10
0000953
JUNIO CRMNL/TRAF FINE/RVR
DMARTIN 07/28/10 01
CR
00213
01/11
CR
07/29/10
0001024
RESTITUTION 08-6537/INNOV
KBLONDELL 07/29/10 01
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
CR
00294
02/11
CR
08/10/10
0001448
ACEVES 08-1103
MMENDOZA 08/10/10 01
GM
00472
02/11
AJ
08/31/10
AJE 02-026
REVERSE ACCRUED REVENUE
CR
00531
03/11
CR
09/02/10
0002472
JUL110 CRMNL/TRAF FEE RVR
DMARTIN 09/02/10 01
CR
00557
03/11
CR
09/08/10
0002600
CASE 08-1103/ACEVES
KBLONDELL 09/08/10 01
CR
00557
03/11
CR
09/08/10
0002636
CASE 10-3201/PENA, ADALIA
KBLONDELL 09/08/10 01
CR
00584
03/11
CR
09/10/10
0002703
CASE#05-3147 SLATER
MANCILLA 09/10/10 01
CR
00675
03/11
CR
09/22/10
0003305
RESTITUTION CASE 10-3201/
KBLONDELL 09/22/10 01
CR
00803
04/11
CR
10106110
0004101
AUG CRMNL/TRAF FINES/RVRS
2,476.00 43,232.43
466.26
14,843.75
60.00
466.26
14,843.75
25.00
679.95
50.00
135.00
40.00
120.00
5,458.94
40,756.43CR
.00
PREPARED
w#/L7/2014,
10:19:00
GENERAL LEDGER mu,,VITY LISTING
Pk—J98
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101
General
Fund
-----------
BEGINNING
GROUP
ACCTG
---
/ENDING
APP NUMBER PER.
CD
DATE
NUMBER D
E S C R I P T 1 0 N DEBITS
CREDITS
BALANCE
101-5000-351.09-00
Fines and
Assessments
Miscellaneous Fines
DMARTIN 10106110 01
CR
00905
04/11-
CR
10/20/10
0004842
CASE 10-3201/PENA, ADALIA
60.00
KBLONDELL 10/20/10 01
CR
01040
05/11
CR
11/03/10
0005768
SEP110 CRMNL/TRAFF RVRSD
559.41
DMARTIN 11/03/10 01
CR
01040
05/11
CR
11/03/10
0005790
SUPR COURT/SETTLMNT/J OAK
75.00
DMARTIN 11/03/10 01
CR
01086
05/11
CR
11/09/10
0006060
ZENDEJAS 200.00/CLAY 175.
375.07
DMARTIN 11/09/10 01
CR
01191
05/li
CR
11/22/10
0006701
ACEVES
75.00
MMENDOZA 11/22/10 01
CR
01198
05/11
CR
11/23/10
0006776
SUPR COURT SETTLMNT/J OAK
75.00
LWEST 11/23/10 01
CR
01224
05/11
CR
11/30/10
0007118
SUPERIOR COURWRESTITUTIO
243.00
DMARTIN 11/30/10 01
CR
01274
06111
CR
12/02/10
0007277
OCT110 CRMNL/TRAF FEE/RVR
304.32
DMARTIN 12/02/10 01
CR
01307
06/11
CR
12/09/10
0007738
SUPR COURT/HOLT/RESTITUTI
50.00
DMARTIN 12/09/10 01
GM
01272
06111
AP
12/09/10
0090059
SUPERIOR COURT OF CA, RIV 50.00
A HOLT
RFD SETTLEMENT PYMT
i:R
01459
06111
CR
12/29/10
0008377
SUPR COURT/J OAKES/RESTIT
75.00
DMARTIN 12/29/10 01
CR
04465
06/11
CR
12/30/10
0008472
NOV110 CRMNL/TRAF FEE/RVR
428.63
DMARTIN 12/30/10 01
CR
01743
08/11
CR
02/07/11
0010845
DEC110 CRMNL/TRAF FEES/RV
445.44
DMARTIN 02/07/11 01
CR
01819
08/11
CR
02/15/11
0011704
M RODRGUEZ/RSTITUTION/SUP
50.00
DMARTIN 02/15/11 01
CR
01860
08/11
CR
02/23/11
0012879
SUPR COURT/J OAKES/RESTIT
75.00
DMARTIN 02/23/11 01
CR
01964
09/11
CR
03/03/11
0013736
JAN CRMNL/TRAFF FEES/RVR
373.81
DMARTIN 03/03/11 01
CR
02068
09/11
CR
03/14/11
0014380
SUPR COURT/J OAKES/RESTIT
75.00
DMARTIN 03/14/11-01
CR
02105
09/11
CR
03/18/11
0014810
CASE 9w3226/MONROY
50.00
KBLONDELL 03/18/11 01
CR
02105
09/11
CR
03/18/11
0014862
LQllwOl39/COOK, LESLIE
100.00
KBLONDELL 03/18/11 01
CR
02105
09/11
CR
03/18/11
0014869
CIT LQA100200 m GARCIA, M
50.00
KBLONDELL 03/18/11 01
CR
02115
09/11
CR
03/21/11
0014925
SUPR CRT/M RODRIGUEVREST
50.00
DMARTIN 03/21/11 01
CR
02115
09/11
CR
03/21/11
0014920
CASE 05m3147/SLATER
25.00
KBLONDELL 03/21/11 01
CR
02201
09/11
CR
03/30/11
0015701
FEB'll CRMNL/TRAF FEE/RVR
917.69
DMARTIN 03/30/11 01
CR
02323
10/11
CR
04/11/11
0016873
SUPR COURT/J OAKES RESTIT
625.00
DMARTIN 04/11/11 01
PREPARED w,,.x7/2014, 10:19:00 GENERAL LEDGER _VITY 1ISTING Pj__ J99
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------- 7 ------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION7 --- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------ -------- ------------
101-5000-351.09-00
Fines and
Assessments
Miscellaneous Fines
CR
02323
10/11
CR
04/11/11
0016938
SUPR CRT/G DOMINGUEZ CLAI
266.00
DMARTIN 04/11/11 01
CR
02373
10/11
CR
04/20/11
0017961
SUPR COURT/M RODRIGUEZ/FI
50.00
DMARTIN 04/20/11 01
CR
02445
10/11
CR
04/29/11
0018709
SUPR CRT/M RODRIGUEZ/REST
375.75
DMARTIN 04/29/11 01
CR
02459
11/11
CR
05/03/11
0018917
MAR'll CRMNL/TRAF FEE/RVR
11115.95
DMARTIN 05/03/11 01
CR
02515
11/11
CR
05/09/11
0019306
CASE#9-931/SUSANNA RAMIRE
50.00
MMENDOZA 05/09/11 01
CR
02575
11/11
CR
05/16/11
0019784
SUPR COURT/M RODRIGUEZ/FI
50.00
DMARTIN 05/16/11 01
CR
02707
12/11
CR
06101111
0020643
SUPR CRT/PATTON/RESTITUTI
100.00
DMARTIN 06101111 01
CR
02767
12/11
CR
06/07/11
0021140
APR CRMNL/TRAFF FEES/RVRS
375.30
DMARTIN 06/07/11 02
CR
02975
12/11
CR
06/28/11
0022315
MAY CRMNL/TRAFFC FEE/RVRS
478.48
DMARTIN 06/28/11 01
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
53.00
GM
03081
12/11
AJ
06/30/11.
AJE 12-104
ADDIL ACCRUED REVENUE
281.92
ACCOUNT
TOTAL
15,360.01
30,232.67
101-5000-351.10-00
Fines and
Assessments
AMR Compliance
GM
0-3047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
10,258.49
ACCOUNT
TOTAL
10,258.49
101-5000-351.11-00
Fines and
Assessments
Graffiti Removal
CR
00159
01/11
CR
07/22/10
0000828
RVRS CNTY/GRAFFITI/REV SH
8,220.00
DMARTIN 07/22/10 01
CR
00201
01/11
CR
07/27/10
0000922
ERIC MARTIN -GRAFFITI DAMA
74.79
MMENDOZA 07/27/10 01
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
8,220.00
GM
03047
'12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
81195.00
ACCOUNT
TOTAL
8,220.00
16,489.79
101-5000-369.00-00
Other Revenues
/ Lease
Revenue
GM
00001
01/11
AJ
07/01/10
JE 01-001
JUL LEASE REV RECID 6/25
2,138.47
GM
00328
01/11
AJ
07/31/10
JE 01-040
AUG110 LEASE REV 7/28/10
2,138.47
CR
00236
02/11
CR
08/02/10
0001128
TOWER RENT DUE:
1,924.08
CASHVO 08/02/10 01
GM
00472
02/11
AJ
08/31/10
AJE 02-026
REVERSE ACCRUED REVENUE
201.02
GM
00575
02/11
AJ
08/31/10
JE 02-036
SEPT TOWER LEASE 8/27/10
3,000.00
GM
00715
03/11
AJ
09/29/10
JE 05-034
AUG TOWER LEASE 9/28/10
31000.00
14,872.66CR
.00
10,258.49CR
.00
8,269.79CR
.00
PREPARED
.,,,7/2014, 10:19:00
& Wages
GENERAL LEDGER _VITY
LISTING
PR
Pj__100
PROGRAM
GM362LA
07/09/10
PR0709
PAYROLL
SUMMARY
9,066.48
PR
00007
CITY OF
LA QUINTA,
CALIFORNIA
PR0709
PAYROLL
SUMMARY
PR
---------------------------------------------------------------------------------------------
FUND 101
General
Fund
07/25/10
PR0723
PAYROLL
SUMMARY
7 --------------------------------------
BEGINNING
00196
GROUP ACCTG
----
TRANSACTION
----
PAYROLL
SUMMARY
9,066.49
/ENDING
APP NUMBER PER.
--------------------
CD
DATE
W w -------
NUMBER D
E S C R I P T 1'0 N
---------- -------
DEBITS
CREDITS
--------
BALANCE
--------------
101-5000-369.00-00
Other Revenues
/ Lease
Revenue
09/03/10
PR0903
PAYROLL
GM
00955
04/11
AJ
10/28/10
JE 04-031
SEP TOWER LEASE 10/27/10
PR0917
31000.00
SUMMARY
CR
01132
05/11
CR
11116110
0006398
VERIZN TOWER LEASE 06110-
PAYROLL
18,000.00
9,066.48
PR
00,824
04/11
AJ
10/15/10
PR1015
DMARTIN 11116110 01
SUMMARY
9,066.49
CR
01191
05/11
CR
11/22/10
0006749
VERIZON WIRELESS LAND LEA
31000.00
LWEST 11/22/10 01
GM
01177
05/11
AJ
11/30/10
JE 05-025
DEC TOWER LEASE 11/26/10
31000.00
CR
01411
06111
CR
12/20/10
0008184
VERIZON SPANISH BAY LEASE
31000.00
*06111
LWEST 12/20/10 01
GM
01392
AJ
12/31/10
JE 06"033
JAN110 TOWERCO LEASE REV
3,069.31
CR
01620
07/11
CR
01/24/11
0009867
FEB'll VERIZON LEASE
31000.00
DMARTIN 01/24/11 01
GM
01633
07/11
AJ
01/31/11
JE 07-026
FEB'll TOWERCO LEASE REV
51090.00
GM
Oa872
08/11
AJ
02/25/11
JE 08-029
MARCH TOWER LEASE 2/24/11
31090.00
CR
01897
08/11
CR
02/28/11
0013041
MAR'll VERIZON LEASE
31000.00
DMARTIN 02/28/11 01
CR
02171
09/11
CR
03/28/11
0015574
APR'll VERIZON LEASE
31000.00
DMARTIN 03/28/11 01
GM
02190
09/11
AJ
03/31/li
JE 09-054
APR'll TOWERCO LEASE REV
31090.00
CR
02380
10/11
CR
04/21/11
0018019
MAY'll VERIZON LEASE
51000.00
DMARTIN 04/21/11 01
GM
02413
10/11
AJ
04/28/11
JE 10-018
MAY'll TOWERCO LEASE REV
31090.00
CR
02662
11/11
CR
05/24/11
0020216
JUNE'll TOWER LEASE REVEN
31090.00
LWEST 05/24/11 02
GM
02692
11/11
AJ
05/31/11
JE 11-037
JUN'll TOWERCO LEASE REV
31090.00
GM
02942
12/11
AJ
06130111
JE 12-033
JUL'll TOWERCO 06/27/11
31090.00
GM
03033
12/11
AJ
06130111
AJE 12-062
RECLASS REV TO UNEARNED
31090.00
ACCOUNT
TOTAL
3,291.02
78,900.33
75,609.31CR
101-5000-390.76-00 Other Financing Sources / Donations - Police
CR 01439 06111 CR 12/23/10 0008237 WALMART DONATION -SHOP W/A
LWEST 12/23/10 01
CR 02846 12/11 CR 06116111 0021748 CITIZENS ON PATROL DONATI
DMARTIN 06116111 01
ACCOUNT TOTAL
. 101-5001-424.10-01
Salaries
& Wages
/ Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
9,066.48
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
010100
01/11
AJ
07/25/10
PR0723
PAYROLL
SUMMARY
9,066.48
PR
00196
02/11
AJ
08/06/10
PROS06
PAYROLL
SUMMARY
9,066.49
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
9,066.49
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
9,066.48
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
9,066.48
PR
00685
04/11
AJ
10/01/10
PRIO01
PAYROLL
SUMMARY
9,066.48
PR
00,824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
9,066.49
00
11500.00
31000.00
4,500.00 4,500.00CR,
7,253.24
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER __..VITY
LISTING
Pj,___ 10 1
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I
P T 1 0 N
DEBITS
CREDITS
BALANCE
101.-5001-424.10-01
Salaries
& Wages
Permanent Full Time
PR 00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
9,066.48
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
9,066.49
PR 01137
05/11
AJ
11/24/10
PRI124
PAYROLL
SUMMARY
9,066.48
PR 01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
9,066.49
PR 01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
9,066.48
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
91199.58
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
9,066.49
PR 01646
08/11
AJ
02/04/11
PRO204
PAYROLL
SUMMARY
9,066.49
PR 01783
08/11
AJ
02/18/11
PRO218
PAYROLL
SUMMARY
9,066.48
PR 01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
9,066.51
PR 02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
9,066.53
P.R 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
9,066.53
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
9,066.50
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
9,066.53
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
9,066.50
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
9,066.52
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
9,066.53
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
9,066.48
PR 02913
12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
58,838.91
ACCOUNT TOTAL
294,700.87
7,253.24
287,447.63
101-5001-424.10-03
Salaries
& Wages
Salaries - Part Time
.00
ACCOUNT TOTAL
.00
101-5001-424.10-05
Salaries
& Wages /
Temporary.Agency Services
.00
ACCOUNT TOTAL
.00
101-5001-424.10-09
Salaries
& Wages /
Salaries -Council Members
.00
ACCOUNT TOTAL
.00
101-5001-424.10-18
Salaries
& Wages
Natural Diaster - FEMA
.00
ACCOUNT TOTAL
.00
101-5001-424.10-30
Salaries
& Wages /
Employee Recognition
.00
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
50.00
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
50.00
ACCOUNT TOTAL
50.00
50.00
.00
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SNIISII
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00:6T:OT 'bTOZ/L-"-
a3?JVd3lld
PREPARED -.,,,7/2014,
10:19:0 0
01/11
GENERAL LEDGER --VITY
LISTING
Pb-, 103
PROGRAM GM362LA
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
SUMMARY
PR
00100
01/11
AJ
07/23/10
FUND 101 General
Fund
SUMMARY
PR
00100
01/11
AJ
BEGINNING
GROUP ACCTG
----
TRANSACTION ----
PR
00196
02/11
/ENDING
APP NUMBER PER.
------------- m -----------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I
P T 1 0 N
DEBITS CREDITS
BALANCE
101-5001-424.20-02
Employee
Benefits
Z PERS-Employee Portion
PR
00342
PR 01646 08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
725.31
00342
PR 01783 08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
725.31
00435
PR 01904 09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
725.32
00435
PR 02016 09/11
AJ
03/iB/ll
PRO318
PAYROLL
SUMMARY
725.32
00594
PR 02151 10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
725.32
00594
PR 02253 10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
725.32
00685
PR 02348 10/11
AJ
04/29/11
PR0429*
PAYROLL
SUMMARY
725.32
00685
PR 02524 11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
725.32
00824
PR 02625. 11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
725.32
00824
PR 02733 12/11
AJ
06110111
PR0610
PAYROLL'SUMMARY
SUMMARY
725.32
01060
PR 02867 12/11
AJ
06/24/11
PRO&24
PAYROLL
SUMMARY
725.31
01060
PR 02913 12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
699.69
01137
ACCOUNT TOTAL
101-5001-424.20-03 Employee Benefits / PERS-Survivor Benefits
ACCOUNT TOTAL
101-5001-424.21-01 Insurance Benefits / Medical Insurance
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
OR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
iO/15/10
PR1015
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/�4/10
PR1124
PAYROLL
SUMMARY
PR
01137
05/11,
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
19,557.84
1,087.51
1,087.51
1,087.51
1,087.51
1, 087.'S I
1,087.51
1,087.51
1,087.51
1,087.51
1,087.51
1,187.45
1,187.45
1,187.45
1,187.45
580.25
899.80
26. tS
28.42
28.42
28.42
28.42
28.42
28.42
28.42
28.42
35.78
35.78
35.78
18,977.59
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.00
00'
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92,'61
99*61
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99*61
92*61
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
Auvwwns IIOHAVd
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
Auvwwns IIOHAVd
Asvwwns IIOHAVd
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Auvwwns IIOHAVd
ABvwwns IIOHAVd
Asvwwns IIOHAVd
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
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AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
AHvwwns IIOHAVd
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9TZOIld TT/9T/Z0
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ry
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ry
Tim
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Hd
ry
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ry
ii/ii
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ry
ii/oi
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Hd
ry
ii/oi
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Hd
ry
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Hd
ry
11/60
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Hd
ry
11/60
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Hd
ry
11/60
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11/60
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Hd
ry
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------------------------------------------------------------------------------------------------------------------------------------
30NVIVS SlIa3H3 SIIR3a N 0 1 1 d 1 8 3 S 3 a Mum 31va a3 '83d H3swnN ddV
SNIaN3/ ---- NOI13VSNVHI---- siopy anaHs
.SNINNIS39 punA TeJOuGS IOT aNnA
------------------------------------------------------------------------------------------------------------------------------------
VINHO:IIIVO 'ViNint) vi a Ain
VIZ92WO WV49ONd
#,OT' ---d SNIISII AIIA"-- 113sa3l IMN35 00:61:01 a3HVd3bd
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-'VITY LISTING P-__105
PROGRAM GM362LA
CITY OF LA QUINTA , CALIFOkNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5001-424.21-02 Insurance Benefits / Vision Insurance
PR 02733 12/11 AJ 06/10/11 PRO610 PAYROLL SUMMARY
PR 02867 12/11 AJ 06/24/11 PRO624 PAYROLL SUMMARY
ACCOUNT TOTAL
101-5001-424.21-03 Insurance Benefits / Dental Insurance
PR
OD007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01*/ll
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AX,10/15/10
PR1015
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
*11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
PR
oa646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
ACCOUNT
TOT�L
101-5001-424.21-05
Insurance
Benefits
Life Insurance
PR
00007
01/11
AJ
07A9/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08106110
PROB06
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PRI124
PAYROLL
SUMMARY
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
DEBITS CREDITS
19.35
19.35
464.40
104.38
104.38
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
101.62
2,444.40
11.20
11.20
11.20
11.20
11.20
11.20
11.20
11.20
11.20
11.20
11.20
15.48
83.50
83.50
8.96
BEGINNING
/ENDING
BALANCE
448.92
.00
2,360.90
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY 'LISTING P..---106
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
bROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5001-424.21-05
PR 01364 06111 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 0,2524 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
Insurance Benefits
12/23/10 PR1223
01/07/11 PRO107
01/21/11 PRO121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PRO304
03/18/11 PRO318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PRO513
05/27/11 PROS27
06110111 PR0610
06/24/11 PR0624
ACCOUNT TOTAL
Life Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
101-5001-424.21-06 Insurance Benefits / Flexible Compensation
. 101-5001-424.21-07
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00594-
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
*AJ
PR
00911
04/11
AJ
PR
01060
05/11
AJ
PR
01137
05/11
AJ
PR
01249
06111
AJ
PR
01364
06111
AJ
OR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02348
10/11
AJ
PR
02524
11/11
AJ
PR
O�625
11/11
AJ
PR
02733
12/11
AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08106110 PROB06
08/20/10 PRO820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PRI124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PRO107
01/21/11 PRO121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PRO304
03/18/11 PRO318
04/01/11 PR0401
04/15/11 PR0415
04/29/11 PR0429
05/13/11 PRO513
05/27/11 PRO527
06110111 PRO610
Long Term Disability
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL -SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
11.20
10.33
10.33
10.33
10.33
10.33
10.33
10.33
10.33
10.33
10.33
10.33
10.33
258.36
97.91
97.91
15.97
15.97
15.97
15.97
15.97
15.97
15.97
15.97
15.97
15.97
15.97
41.35
41.35
41.35
41.35
41.35
41.35
41.35
41.35
41.35
41.35
41.35
41.35
8.96
78.33
249.40
.00
.00
.00
oo*
00"
00'
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00'
00'
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------------------------------------------------------------------------------------------------------------------------------------
VINZIO:IIIV3 'VINint) vi AO A113
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PREPARED __7/2014, 10:19:00 GENERAL -LEDGER __._'VITY LISTING. P____109
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------------------------------------------------------------------------------- 7 --------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ----- /ENDING
APP NUMBER PER. CD DATE NUMBER - D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------- -------------
101-5001-424.43-88 Maintenance & Repair / Misc. Equipment
172 KENWOOD RADIOS
GM ob275 02/11 AP 08/04/10 0088456 ANDERSON COMMUNICATIONS,
5513 RADIO PROGRAMING
ACCOUNT TOTAL
101-5001-424.44-01 Contract Services / Equipment Rental
ACCOUNT TOTAL
101-5001-424.51-01
Services
& Supplies
Travel/.Training
GM
00751
04/11
AP
10/07/10
0089138
LA QUINTA CHAMBER OF COMM
PROB06
PAYROLL
SUMMARY
PRO820
10710
SUMMARY
MAYORS LUNCH
GM
0.1210
06111
AP
11/30/10
0089878
LA QUINTA CHAMBER OF COMM
SUMMARY
PR1015
PAYROLL
SUMMARY
12210
PAYROLL
MAYOR'S LUNCHEON
GM
02225
10/11
AP
04/06/11
0091349
LA QUINTA CHAMBER OF COMM
PAYROLL
SUMMARY
PRO107
PAYROLL
4711
PRO121
MAYORS LUNCHEON
GM
02250
10/11
AJ
04/30/11
AJE 10-006
MAYOR'S LUNCH ATTENDEES
ACCOUNT TOTAL
101-5001-424.51-02 Services
PR 00007 01/11 AJ 07/09/10
PR 00007 01/11 AJ 07/09/10
PR 00100 01/11 AJ 07/23/10
PR 00196 02/11 AJ 08/06/10
PR 00342 02/11 AJ 08/20/10
PR 00435 03/11 AJ 09/03/10
PR 00594 03/11 AJ 09/17/10
PR 00685 04/11 AJ 10/01/10
PR 00824 04/11 AJ 10/15/10
PR 01060 05/11 AJ 11/12/10
PR 01137 05/11 AJ 11/24/10
PR 01249 06111 AJ 12/10/10
PR 01364 06/11 AJ 12/23/10
PR 01418 07/11 AJ 01/07/11
PR 01561 07/11 AJ 01/21/11
PR 01646 08/11 AJ 02/04/11
PR 01783 08/11 AJ 02/18/11
PR 01904 09/11 AJ 03/04/11
OR 02016 09/11 AJ 03/18/11
PR 02151 10/11 AJ 04/01/11
PR 02253 10/11 AJ 04/15/11
PR 02524 11/11 AJ 05/13/11
PR 02625 11/11 AJ 05/27/11
PR 02733 12/11 AJ 06110111
& Supplies
Vehicle Reimbursement
PR0709
PAYROLL
SUMMARY
PR0709
PAYROLL
SUMMARY
PR0723
PAYROLL
SUMMARY
PROB06
PAYROLL
SUMMARY
PRO820
PAYROLL
SUMMARY
PR0903
PAYROLL
SUMMARY
PR09.17
PAYROLL
SUMMARY
PR1001
PAYROLL
SUMMARY
PR1015
PAYROLL
SUMMARY
PR1112
PAYROLL
SUMMARY
PR1124
PAYROLL
SUMMARY
PR1210
PAYROLL
SUMMARY
PR1223
PAYROLL
SUMMARY
PRO107
PAYROLL
SUMMARY
PRO121
PAYROLL
SUMMARY
PR0204
PAYROLL
SUMMARY
PR0218
PAYROLL
SUMMARY
PRO304
PAYROLL
SUMMARY
PRO318
PAYROLL
SUMMARY
PR0401
PAYROLL
SUMMARY
PR0415
PAYROLL
SUMMARY
PRO513
PAYROLL
SUMMARY
PROS27
PAYROLL
SUMMARY
PR0610
PAYROLL
SUMMARY
233.27
1,233.27
30.00
25.00
60.00
30.00
145.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
150.00
120.00
1,233.27
.00
.00
.00
145.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER _.-VITY LISTING P,.___110
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
----------------------------------------------------------------------------------------------------------------------- ; -------------
101-5001-424.51-02 Services & Supplies / Vehicle Reimbursement
PR 02867 12/11 AJ 06/24/11 PRO624 PAYROLL SUMMARY 150.00
ACCOUNT TOTAL 31600.00
101-5001-424.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5001-424.53-01
Services & Supplies
Printing
GM
00099
01/11
AP
07/10/10 0088334
OFFICE DEPOT
60.97
524752903001
BCARDS-AJ ORTEGA
GM
00622
03/11
AP
09/02/10 0089066
OFFICE DEPOT
60.97
531795810001
BCARDS-KIRKS
GM
01246
06111
AP
11/01/10 0090030
POWERS AWARDS INC
28.66
110599
NAME PLATE -HESS
GM
01159
05/11
AP
11/05/10 0089822
OFFICE DEPOT
60.97
539078610001
BCARDS-P HESS
GM
01181
06111
AP
11/12/10 0090022
OFFICE DEPOT
60.97
539724283001 -
BCARDS-G MUNOZ
GM
01632
08/11
AP
01/07/11 0090695
OFFICE DEPOT
60.97
546712119001
BCARD-MEREDITH
GM
01632
08/11
AP
01/07/11 0090695
OFFICE DEPOT
60.97
546458255001
BCARD-MISURACA
GM
01768
08/11
AP
01/28/11 0090877
OFFICE DEPOT
60.97
549662116001
BCARDS-RODARTE
GM
02156
10/11
AP
03/20/11 0091363
ALTEC
20.00
70473
B&S ADMIN PRINTING
GM
02728
12/11
AP
05/21/11 0092246
OFFICE DEPOT
60.97
564193550001
BCARDS-BUTLER
GM
02784
12/11
AP
06106111 0092233
MCDOWELL AWARDS
11.96
2010-3184
NAME BADGE -BUTLER
'ACCOUNT TOTAL
548.38
101-5001-424.53-03
Services & Supplies
Membership Dues
GM
01246
06111
AP
11/18/10 0089987
INTERNATIONAL ASSOCIATION
150.00
201101-1577
MEMBERSHIP 1577
GM
01768
08/11
AP
02/02/11 0090855
INTERNATIONAL CODE COUNCI
100.00
2822457
ICC MEMBERSHIP DUES
GM
01787
08/11
AP
02/14/11 0090824
CALBO
215.00
21411
DUES 4/l/11-3/31/12
ACCOUNT TOTAL
465.00
120.00
3,480.00
.00
.00
.00
548.38
.00
465.00
101-5001-424.53-04 Services & Supplies / Subscrip & Publications .00
PREPXRED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-'VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------------------- 7 --------------------
101-5001-424.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
10l.-SO01-424.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-5001-424.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
101-5001-424.56-01
Services & Supplies
Office Supplies
GM
00099
01/11
AP
07/08/10 0088350
STAPLES ADVANTAGE
69.60
.
3139085866
OFFICE SUPPLIES
GM
00099
01/11-
AP
07/15/10 0088350
STAPLES ADVANTAGE
217.67
3139293403
OFFICE SUPPLIES
GM
OD099
01/11
AP
07/16/10 0088350
STAPLES ADVANTAGE
60.1�
3139336720
OFFICE SUPPLIES
GM
00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
206.92
3139807496
OFFICE SUPPLIES
GM
00286
02/11
AP
08/04/10 0088695
STAPLES ADVANTAGE
198.63
3140347601
OFFICE SUPPLIES
GM
00367
03/11
AP
08/18/10 0088893
STAPLES ADVANTAGE
81.71
3140882526
OFFICE SUPPLIES
GM
00437-
03/11
AP
08/26/10 0088893
STAPLES ADVANTAGE
91.94
31411,84468
OFFICE SUPPLIES
GM
00603
03/11
AP
09/03/10 0089090
STAPLES ADVANTAGE
73.26
3141789906
OFFICE SUPPLIES
GM
00624
03/11
AP
09/16/10 0089090
STAPLES ADVANTAGE
60.52
3142280411
OFFICE SUPPLIES
GM
00624
03/11
AP
09/16/10 0089090
STAPLES ADVANTAGE
193.55
1
3142280413
OFFICE SUPPLIES
GM
00725'
04/11
AP
09/30/10 0089266
STAPLES ADVANTAGE
155.45
3142846367
OFFICE SUPPLIES
GM
00860
04/11
AP
10106110 0089455
PLANBAGS.COM
41.67'
31237
OFFICE SUPPLIES
GM
00846
04/11
AP
10/07/10 0089468
STAPLES ADVANTAGE
59.56
3143507199
OFFICE SUPPLIES
GM
00860
04/11
AP
10/12/10 0089468
STAPLES ADVANTAGE
328.39
3143728089
OFFICE SUPPLIES
GM
00914
04/11
AP
10/14/10 0089468
STAPLES ADVANTAGE
61.98
3143767090
OFFICE SUPPLIES
GM
01096.
05/11
AP
11/05/10 0089841
STAPLES ADVANTAGE
62.18
3144959950
OFFICE SUPPLIES
GM
01096
05/11
AP
11/05/10 0089841
STAPLES ADVANTAGE
345.03
3144959949
OFFICE SUPPLIES
.00
.00
.00
.00
.00
.00
PREPARED
007/2014,
10:19:00
GENERAL LEDGER ..-.-VITY
LISTING
PROGRAM
GM362LA
CITY*OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-5001-424.56-01
Services & Supplies
Office Supplies
GM
01181
06111
AP
11/18/10 0090055
STAPLES ADVANTAGE
261.85
3145501369
OFFICE SUPPLIES
GM
01181
06111
AP
11/19/10 0090053
STAPLES ADVANTAGE
40.92
3145525840
OFFICE SUPPLIES
GM
01181
06111
AP
11/19/10 0090053
STAPLES ADVANTAGE
40.92
3145523841
OFFICE SUPPLIES
GM
01246
06111
AP
11/23/10 0089938
BUNDLE BANDS INDUSTRIES 1
87.85
1804
OFFICE SUPPLIES
GM
01262
06/11
AP
12/01/10 0090053
STAPLES ADVANTAGE
77.04
3146195112
OFFICE SUPPLIES
GM
01362
06111
AP
12/03/10 0090229
STAPLES ADVANTAGE
196.34
3146271830
OFFICE SUPPLIES
GM
01362
06111
AP
12/1,0/10 0090229
STAPLES ADVANTAGE
246.86
3146565302
OFFICE SUPPLIES
GM
01457
07/11
AP
12/17/10 0090348
STAPLES ADVANTAGE
256*.42
3146872316
OFFICE SUPPLIES
GM
01560
07/11
AP
01/05/11 0090536
STAPLES ADVANTAGE
313.52
3147815175
OFFICE SUPPLIES
GM
01514
07/11
AP
01/07/11 0090346
SILVERROCK RESORT
8.00
97829622
4TH QTR SALES TX
GM
01632
08/11
AP
01/07/11 0090714
STAPLES ADVANTAGE
172.46
3147867807
OFFICE SUPPLIES
GM
01603
07/11
AP
01/12/11 0090536
STAPLES ADVANTAGE
139.74
3148149871
OFFICE SUPPLIES
GM
01603
07/11
AP
01/13/11 0090536
STAPLES ADVANTAGE
169.02
3148169684
OFFICE SUPPLIES
GM
01603
07/11
AP
01/15/11 0090536
STAPLES ADVANTAGE
8.69
3148374445
OFFICE SUPPLIES
GM
01632
08/11
AP
01/22/11 0090714
STAPLES ADVANTAGE
213.33
3148718443
OFFICE SUPPLIES
GM
01703
08/11
AP
01/26/11 0090714
STAPLES ADVANTAGE
90.35
3148833211
OFFICE SUPPLIES
GM
01802
08/11
AP
02/09/11 0090835
DATAPRINT CORPORATION
52.39
479665A
OFFICE SUPPLIES
G'M
01802
08/11
AP
02/10/11 0090900
STAPLES ADVANTAGE
58.07
3149755634
OFFICE SUPPLIES
GM
01878
09/11
AP
02/17/11 0091046
STAPLES ADVANTAGE
106.58
3150071172
OFFICE SUPPLIES
GM
01878
09/11
AP
02/17/11 0091046
STAPLES ADVANTAGE
7.06
3150071174
OFFICE SUPPLIES
GM
02045
09/11
AP
03/04/11 0091253
STAPLES ADVANTAGE
153.34
3151014538
OFFICE SUPPLIES
GM
02045
09/11
AP
03/04/11 0091253
STAPLES ADVANTAGE
11.31
3151014537
OFFICE SUPPLIES
GM
02045
09/11
AP
03/10/11 0091253
STAPLES ADVANTAGE
78.92
3151274059
OFFICE SUPPLIES
GM
02136
10/11
AP
03/18/11 0091502
STAPLES ADVANTAGE
97.63
3151601077
OFFICE SUPPLIES
OM
02156
10/11
AP
03/25/11 0091502
STAPLES ADVANTAGE
202.89
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER --..VITY
LISTING
PL—i13
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5001-424.56-01
Services & Supplies
Office Supplies
3151878277
OFFICE SUPPLIES
GM
02302
10/11
AP
03/31/11 0091695
STAPLES ADVANTAGE
155.82
3152150015
OFFICE SUPPLIES
GM
02302
10/11
AP
04/07/11 0091695
STAPLES ADVANTAGE
122.34
3152835710
OFFICE SUPPLIES
GM
02424
11/11
AP
04/21/11 0091868
STAPLES ADVANTAGE
133.81
3153418526
OFFICE SUPPLIES
GM
02558
11/11
AP
05/05/11 0092055
STAPLES ADVANTAGE
167.19
3154271384
OFFICE SUPPLIES
GM
02616
11/11
AP
05/11/11 0092055
STAPLES ADVANTAGE
307.15
3154526087
OFFICE SUPPLIES
GM
02694
12/11
AP
05/17/11 0092279
STAPLES ADVANTAGE
14.13
3154802760
OFFICE SUPPLIES
GM
02694
12/11
AP
05/19/11 0092279
STAPLES ADVANTAGE
255.41
3154843968�
OFFICE SUPPLIES
GM
02728
12/11
AP
05/25/11 0092279
STAPLES ADVANTAGE
294.13
3155106488
OFFICE SUPPLIES
GM
02735
12/11
AP
05/27/11 0092279
STAPLES ADVANTAGE
63.69
3155161373
OFFICE SUPPLIES
GM
02863
12/11
AP
06/08/11 0092410
STAPLES ADVANTAGE
287.59
3155925509
RETURN CREDIT
GM
02955
12/11
AP
06/16/11 0092571
STAPLES ADVANTAGE
224.42
3156233734
OFFICE SUPPLIES
GM
03027
12/11
AP
06/20/11 0092738
SMART & FINAL
70.34
3583410137017
SUPPLIES
.GM
02955
12/11
AP
06/21/11 0092571
STAPLES ADVANTAGE
59.55
3156467551
OFFICE SUPPLIES
GM
02955
12/11
AP
06/23/11 0092571
STAPLES ADVANTAGE
107.29
3156508838
OFFICE SUPPLIES
GM
02955
12/11
AP
06/28/11 0092571
STAPLES ADVANTAGE
116.49
3156748003
OFFICE SUPPLIES
GM
03021
12/11
AP
06/29/11 0092741
STAPLES ADVANTAGE
45.45
3156769767
OFFICE SUPPLIES
GM
02955
12/11
AP
06/30/11 0092571
STAPLES ADVANTAGE
11.33
3156787014
OFFICE SUPPLIES
GM
02955
12/11
AP
06/30/11 0092571
STAPLES ADVANTAGE
11.31
3156787015
OFFICE SUPPLIES
GM
02987
12/11
AP
07/01/11 0092571
STAPLES ADVANTAGE
71.75
3156840146
OFFICE SUPPLIES
ACCOUNT TOTAL
7,544.89
373.96
7,170.93
101-5001-424.56-16
Services & Supplies
Forms
.00
ACCOUNT TOTAL
.00
101-5001-424.71-01
Capital Purchases /
Machinery & Equipment
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER --.-VITY LISTING P).----14
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------------- 7 -------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
-------------------------- T ------------------------------------------------------------------------- a -------------------------------
101-5001-424.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-5001-424.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-5001-424.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-5001-424.91-11 Reimbursed Gen Fund
GM 00194, 01/11 AJ 07/30/10 JE 01-029
GM 00414 01/11 AJ 07/31/10 JE 01-051
GM 00572 02/11 AJ 08/31/10 JE 02-034
GM 00716 03/11 AJ 09/30/10 JE 03-035
GM 00786 03/11 AJ 09/30/10 AJE 03-050
GM 0 0929 04/11 AJ 10/31/10 JE 04-027
G M 01187 05/11 AJ 11/30/10 JE 05-030'
GM 01239 06111 AJ 12/31/10 JE 06-002
GM 01475 06111 AJ 12/31/10 AJE 06-042
GM 01638 07/11 AJ 01/31/11 JE 07-031
GM 0.1717 08/11 AJ 02/28/11 JE 08-009
GM 01986 09/11 AJ 03/31/11 JE 09-019
GM 02243 09/11 AJ 03/31/11 AJE 09-066
GM 02521 10/11 AJ 04/30/11 JE 10-044
GM 02589 11/11 AJ 05/31/11 AJE 11-013
GM 02743 11/11 AJ 05/31/11 JE 11-044
GM 02746 12/11 AJ 06/30/11 JE 12-002
GM 02911 12/11 AJ 06/30/11 AJE 12-017
GM 03057 12/11 AJ 06/30/11 AJE 12-080
ACCOUNT TOTAL
Exp / Personnel
MONTHLY GF REIMB
CORR JUL110 GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MAR'll CIP ADMIN ACTIVITY
MONTHLY GF REIMB
REDUCE ADMIN (1771)
MONTHLY GF REIMB
MONTHLY GF REIMB
REVERSE REIMBURSEMENT
JUN111 CIP ADMIN ENTRIES
101-5001-424.91-12
Reimbursed Gen Fund
Exp / Supplies/Service
GM
00786
03/11
AJ
09/30/10
AJE
03-050
SEP110
CIP
ADMIN
ACTIVITY
GM
Oa475
06111
AJ
12/31/10
AJE
06-042
DEC110
CIP
ADMIN
ACTIVITY
GM
02243
09/11
AJ
03/31/11
AJE
09-066
MAR'll
CIP
ADMIN
ACTIVITY
GM
03057
12/11
AJ
06/30/11
AJE
12-080
JUN'll
CIP
ADMIN
ENTRIES
ACCOUNT TOTAL
101-5001-424.92-11 Other Charges / Fleet Maint Progr Charges
.00
.00
.00
.00
.00
.00
4,449.00
11806.00
6,255.00
6,255.00
81065.65
6,255.00
6,255.00
6,255.00
7,329.70
6,255.00
6,255.00
6,255.00
4,966.61
6,255.00
228.49
6,255.00
6.,255.00
6.00
7,018.08
234.49 102,440.04 102,205.55CR
.00
451.66
142.28
43.12
89.57
726.63 726.65CR
.00
ACCOUNT TOTAL .00
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER
--VITY LISTING
Pi—, 115
PROGRAM
GM362LA-
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER
---- : --------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I
P T 1 0 N
DEBITS CREDITS
-----------------------------------------------------------
BALANCE
101-5002-424.10-01
Salaries
&,Wages Permanent -Full Time
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
21,280.26
PR
00,007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
17,024.16
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
21,280.26
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
21,303.83
PR
00342
02/11
AJ
08/20/10
PRO820'
PAYROLL
SUMMARY
21,392.35
PR
00435
03/11
AJ
00/03/10
PR0903
PAYROLL
SUMMARY
21,392.36
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
21,392.36
PR
00685
04/11
AJ
10/01/10
PRID01
PAYROLL
SUMMARY
21,392.36
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
21,392.36�
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
21,392.40
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
21,392.36
PR
01137
.05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
21,450.01
PR
0�249
06111
AJ
12/10/10
PR1210
PAYROL * L
SUMMARY
21,282.69
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
21,504.45
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
25,326.34
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
21,504.46
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
21,504.46
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
21,504.46
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
21,517.44
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
.21,634.32
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
21,634.33
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
21,634.32
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
21,634.32
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
21,634.32
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
21,634.33
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
21,634.32
PR
02803
12/11
AJ
06116111
PR0630
PAYROLL
SUMMARY
17,357.81
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
18,399.30
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
16,559.57
ACCOUNT TOTAL
592,962.15 17,024.16
575,937.99
101-5002-424.10-03
Salaries
& Wages / Salaries - Part Time
.00
ACCOUNT TOTAL
.00
101-5002-424.10-04 Salaries & Wages / Regular Overtime
ACCOUNT TOTAL .00
101-.5002-424.10-05 Salaries & Wages / Temporary Agency Services .00
ACCOUNT TOTAL .00
101-5002-424.10-18 Salaries & Wages / Natural Diaster - FEMA .00
00,
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------------------------------------------------------------------------------------------------------------------------------------
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------------------------------------------------------------------------------------------------------------------------------------
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9 1 r - --'Fd SNUSIl AIIA-'-" 113sa3l lVH3N39 00:61:01 'tPTOZ/L- — a3llVd3lid
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING Pj,--. 119
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ---- TRANSACTION ----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N
101-5002-424.21-02
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
01060
05/11
AJ
PR
01137
05/11
AJ
PR
01249
06111
AJ
PR
01364
06111
AJ
PR
01418
07/11
'AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01785
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
PR
02803
12/11
AJ
PR
02867
12/11
AJ
PR
02947
12/11
AJ
101-5002-424.21-03
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
01060
05/11
AJ
PR
Oal37
05/11
AJ
PR
01249
06111
AJ
PR
01364
06111
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
OR
02733
12/11
AJ
Insurance Benefits
10/01/10 PR1001
10/15/10 PRIO15
11/12/10 PRI112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PRO107
01/21/11 PRO121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PRO304
03/18/11 PRO318
04/01/11 PRO401
04/15/11 PRO415
05/13/11 PRO513
05/27/11 PRO527
06/10/11 PR0610
06116111 PR0630
06/24/11 PR0624
07/08/11 PR0708
ACCOUNT TOTAL
Insurance
07/09/10
07/09/10
07/23/10
08/06/10
08/20/10
09/03/10
09/17/10
10/01/10
10/15/10
11/12/10
11/24/10
12/10/10
12/23/10
01/07/11
01/21/11
02/04/11
02/18/11
03/04/11
03/18/11
04/01/11
04/15/11
05/13/11
05/27/11
06110111
Benefits
PR0709
PR0709
PR0723
PROB06
PROB20
PR0903
PR0917
PR1001
PR1015
PR1112
PR1124
PR1210
PR1223
PRO107
PRO121
PR0204
PR0218
PRO304
PRO318
PR0401
PR0415
PRO513
PRO527
PR0610
Vision Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
Dental Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
DEBITS CREDITS
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
48.35
6.91
41.44
37.31
1,197.71
294.41
294.41
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
286.61
38.68
235.52
BEGINNING'
/ENDING
BALANCE
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TT/Lz/so
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Auvwwns
110HAVd
2TSOHd
TUST/so
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tPZSZO
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Auvwwns
110HAVd
6ZtPOHd
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AHvwwns
110HAVd
9TSOHd
TT/OT/2o
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TT/bono
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Auvwwns
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TT/90
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TT/bo/zo
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TT/90
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AHvwwns
110HAVd
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TT/TZ/To
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TT/LO
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AHvwwns
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TT/LO/To
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AHvwwns
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TT/90
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110HAVd
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OT/OT/ZT
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TT/90
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AHvwwns
110HAVd
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Abvwwns
110HAVd
6ZOTHd
OT/6Z/OT
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TT600
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6T 'tPO I
Auvwwns
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Asvwwns
110HAVd
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OT/TO/OT
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Ed
6T tPO I
AHvwwns
110HAVd
LT608d
OT/LT/6o
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I USO
b6500
lid
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AHvwwns
110HAVd
9060Hd
OT/SO/6o
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9%tPOO
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AHvwwns
110HAVd
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-------------------------------------------------------------------------------------------------------------------------------------
33NVIVO
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1 8 0 S 3 a
11390N
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---- NOIIDVSNVHI----
5103V
dnoEs
ONINNIS39
---------------- ---------------------------------------------------------------------------------------------------------------------
pun:l
T8JGuOS
101 aNn:i
VINHO:IIIV3
'VINinb vi :jo Ano,
VIZ99WS
WVHSDNd.
IZT—'fd
9NIlSll.AlIA---
H35.a3l IV83N39
00:61:01
tpioz/L-"-
a3HVd3lid
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER _-VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
PAYROLL
SUMMARY
318.00
BEGINNING
SUMMARY
GROUP
ACCTG
---- TRANSACTION
----
PAYROLL
SUMMARY
/ENDING
APP
NUMBER
-------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I
P T 1 0 N
DEBITS CREDITS BALANCE
101-5002-424.25-01
SUMMARY
319.63
Workers
Comp Insurance
/ Workers
Comp Insurance
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
747.12
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
654.39
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
654.39
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
634.39
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
634.77
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
638.22
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
638.22
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
638.22
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
638.22
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
638.22
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
638.22
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
638.22
PR
02803
12/11
AJ
06116111
PR0630
PAYROLL
SUMMARY
251.06
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
542.79
GM
03023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
8,748.82
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
488.52
ACCOUNT TOTAL 17,231.55
101-5002-424.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-5002-424.27-03 Other Benefits
PR OD007 01/11 AJ 07/09/10 PR0709
PR 00007 01/11 AJ 07/09/10 PR0709
PR 00100 01/11 AJ 07/23/10 PR0723
PR 00196 02/11 AJ 08106110 PRO806
PR 00342 02/11 AJ 08/20/10 PRO820
PR 00455 03/11 AJ 09/03/10 PR0903
PR 00594 03/11 AJ 09/17/10 PR0917
PR 00685 04/11 AJ 10/01/10 PR1001
PR 00824 04/11 AJ 10/15/10 PR1015
PR 00911 04/11 AJ.10/29/10 PR1029
PR 01060 05/11 AJ 11/12/10 PR1112
PR 01137 05/11 AJ 11/24/10 PR1124
PR 01263 06/11 AJ 12/09/10 PR1209
PR 01249 06111 AJ 12/10/10 PR1210
PR 01364 06111 AJ 12/23/10 PR1223
PR Oa418 07/11 AJ 01/07/11 PRO107
PR 01561 07/11 AJ 01/21/11 PRO121
PR 01646 08/11 AJ 02/04/11 PR0204
PR 01783 08/11 AJ 02/18/11 PR0218
PR 01904 09/11 AJ 03/04/11 PRO304
PR 02016 09/11 AJ 03/18/11 PRO318
PR 02151 10/11 AJ 04/01/11 PR0401
PR 02253 10/11 AJ 04/15/11 PR0415
Deduc. / Social
Security -Medicare
PAYROLL
SUMMARY
318.00
PAYROLL
SUMMARY
PAYROLL
SUMMARY
318.00
PAYROLL
SUMMARY
318.34
PAYROLL
SUMMARY
319.63
PAYROLL
SUMMARY
319.63
PAYROLL
SUMMARY
319.63
PAYROLL
SUMMARY
319.63
PAYROLL
SUMMARY
319.63
PAYROLL
SUMMARY
310.20
PAYROLL
SUMMARY
322.52
PAYROLL
SUMMARY
320.47
PAYROLL
SUMMARY
84.30
PAYROLL
SUMMARY
318.04
PAYROLL
SUMMARY
321.26
PAYROLL
SUMMARY
376.67
PAYROLL
SUMMARY
321.26
PAYROLL
SUMMARY
321.26
PAYROLL
SUMMARY
321.26
PAYROLL
SUMMARY
321.45
PAYROLL
SUMMARY
323.14
PAYROLL
SUMMARY
323.14
PAYROLL
SUMMARY
323.14
9,251.03
254.41
7,980.52
.00
.00
.00
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER --VITY
LISTING
P4kw..123
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101
General
Fund
------------
--------------------
--------
BEGINNING
.
GROUP
ACCTG
m—TRANSACTION
/ENDING
APP NUMBER PER.
CD
DATE
NUMBER D E
S C R I P T 1 0 N
----------------------------------
DEBITS CREDITS
BALANCE,
1011-5002-424.27-03
Other Benefits
& Deduc.
/ Social SecuritymMedicare
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL SUMMARY
313.71
PR
02524
11/11
AJ
05/13/11
PROSIS
PAYROLL SUMMARY
323.14
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL SUMMARY
323.14
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL SUMMARY
323.14
PR
02803
12/11
AJ
06116111
PR0630
PAYROLL SUMMARY
255.68
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL SUMMARY
272.24
PR
02947
12/11
AJ -07/08/11
PR0708
PAYROLL SUMMARY
245.03
ACCOUNT
TOTAL
8,916.68 254.41
8,662.27
.101-5002-424.32-10
Contract
Services Professional
.00
ACCOUNT
TOTAL
.00
101 -5002 -424.33 -28 -Contract
Services Plan
Check
.00
GM
00274
02/11
AP
07/29/10
0088526
YOUNG ENGINEERING
SVC
5,092.50
10-67
CONT PLAN CHECK
GM
00286
02/11
AP
07/31/10
0088628
ESGIL CORPORATION
610.05
8108899
CONT PLAN CHECK
GM
00490
03/11
AP
08/27/10
0088917
YOUNG ENGINEERING
SVC
2,660.00
10-75
PLAN CHECK/SVC
GM
00603
03/11
AP
08/31/10
0089013
ESGIL CORPORATION
1,372.00
9102318
AUGmCONT PLAN CK
GM
00736
04/11
AP
09/27/10
0089287
YOUNG ENGINEERING
SVC
4,165.00
10-84
PLAN CK SVC
GM
01096
05/11
AP
10/31/10
0089777
ESGIL CORPORATION
1,132.60
11102379
PLAN CK SVC
GM
01096
05/11
AP
11/04/10
0089860
YOUNG ENGINEERING
SVC
4,305.00
10-93 -
PLAN CK SVC
GM
01366
06111
AP
11/30/10
0090190
ESGIL CORPORATION
2,243.15
12102409
PLAN CK SVC
GM
01366
06111
AP
12/15/10
0090243
YOUNG ENGINEERING
SVC
5,040.00
10-98
PLAN CK SVC
GM
01632
08/11
AP
01/24/11
0090733
YOUNG ENGINEERING
SVC
7,490.00
11-3
PLN CKING SVC -
GM
01787
08/11
AP
01/31/11
0090843
ESGIL CORPORATION
98.00
2112469
PLAN CHECKING
GM
01903
09/11
AP
02/21/11
0091063
YOUNG ENGINEERING
SVC
4,480.00
11-11
PLAN CHECKING SVC
GM
02154
10/11
AP
03/25/11
0091523
YOUNG ENGINEERING
SVC
4,427.50
11-16
PLAN CKECKING SVC
GM
02435
11/11
AP
04/25/11
0091887
YOUNG ENGINEERING
SVC
5,565.00
llm26
PLAN CK SERVICE
GM
02558
11/11
AP
04/30/11
0091992
ESGIL CORPORATION
245.00
5112559
CONST/PLN CKING
GM
02735
12/11
AP
05/25/11
0092301
YOUNG ENGINEERING
SVC
4,637.50
11-36
PLAN CHECKING
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER _.-VITY LISTING Pj,--.124
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------------------------------------------------------------------------------- 7 ------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- /ENDING
APP NUMBER PER. CD DATE NUMBER - D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
101-5002-424.33-28 Contract Services / Plan Check
GM 02789 12/11 AP 05/31/11 0092202 ESGIL CORPORATION
6112611 MAY -PLAN CHECKING
GM 02987 12/11 AP 06/23/11 0092583 YOUNG ENGINEERING SVC
11-46 CONT PLAN CHECK
ACCOUNT TOTAL
101-5002-424.34-04 Contract Services / Technical
ACCOUNT TOTAL
101-5002-424.44-01 Contract Services / Equipment Rental
ACCOUNT -TOTAL
101-5002-424.51-01 Services & Supplies / Travel/ Training
GM 00105 01/11 AP 07/20/10 0088232 ORTEGAt ANTHONY
REIMB ICC CERTIFICATION
GM 02022 09/11 AP 03/15/11 0091121 HANADA, BURT
REIMB ICC CERT
ACCOUNT TOTAL
101-5002-424.51-02
Services
& Supplies
Vehicle Reimbursement
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
OJ)100
*01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08106110
PROS06
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001'
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364'
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
OaVO4
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
186.38
4,585.00
58,334.68 58,334.68'
.00
.00
Ao
.00
.00
60.00.
80.00
140.00 140.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
650.00
520.00
.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING Pi ----125
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-- - ------ - ----------- -------------------------- --- ---------- ----- -- ------ --------------------- ---- - ---- --- --------- ------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5002-424.51-02 Services & Supplies / Vehicle Reimbursement
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06110111
PRO610
PAYROLL
SUMMARY
PR
02803
12/11
AJ
06116111
PRO630
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PRO624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-5002-424.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
.101-5002-424.53-01 Services
GM 00603 03/11 AP 09/08/10
9004
GM ob86o 04/11 AP 10/05/10
9098
GM 01478 07/11 AP 12/14/10
9273
GM 01564 07/11 AP 01/06/11
103041
GM 01632 08/11 AP 01106111
9363
GM 01903 09/11 AP 02/09/11
9451
GM 02084 09/11 AP 03/09/11
9523
GM 02350 10/11 AP 04/06/11
9618
GM 02787 12/11 AP 06/07/11
97829622
GM 03021 12/11 AP 06/30/11
9826
& Supplies / Printing
0089103
WARD, LARRY W - ASSESSOR
ASSESSOR MAP
0089480
WARD, LARRY W - ASSESSOR
ASSESSOR MAP
0090361
WARD, LARRY W - ASSESSOR
ASSESSOR MAP
0090520
PRINTING PLACE, THE
JOB CARDS
0090727
WARD, LARRY W - ASSESSOR
ASSESSORS MAP COPY
0091056
WARD, LARRY W - ASSESSOR
ASSESSOR MAP COPY
0091267
WARD, LARRY W - ASSESSOR
ASSESSOR MAP FEE
0091710
WARD, LARRY W - ASSESSOR
ASSESSOR MAP COPY
0092275
SILVERROCK RESORT
MAY SALES TAX
0092747
WARD, LARRY W ASSESSOR
ASSESSOR MAP COPY
ACCOUNT TOTAL
101-5002-424.53-03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-5002-424.53-04 Services & Supplies / Subscrip & Publications
GM 00099 01/11 AP 07/07/10 0088307 INTERNATIONAL CODE COUNCI
129725 -IN SUBSC/PUBLICATIONS
GM 00099 01/11 AP 07/09/10 0088307 INTERNATIONAL CODE COUNCI
650.00
650.00
650.00
275.00
375.00
337.50
15,937.50
10.50
3.00
4.50
185.96
10.50
9.00
6.00
6.00
11.00
3.00
249.46
562.69
171.21
520.00
15,417.50
.00
.00
.00
249.46
.00
.00
.00
PREPARED -..-7/2014,
10:19:00
GENERAL LEDGER --VITY
LISTING
P--126
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING,
GROUP ACCTG ----
TRANSACTION ----
/ENDING'
APP NUMBER PER. CD
---------------------------------------------------------------------------------------------------------------
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
------
101-5002-424.53-04
Services & Supplies
Subscrip & Publications
1220056wIN
SUBSC/PUBLICATIONS
GM 00099 01/11 AP
07/13/10 0088307
INTERNATIONAL CODE COUNCI
952.65
1221023 -IN
SUBSC/PUBLICATIONS
GM 00157 01/11 AP
07/16/10 0088307
INTERNATIONAL CODE-COUNCI
1,244.60
1222422 -IN
SUBSC/PUBLICATIONS
GM OD353 02/11 AP
08/09/10 0088691
SILVERROCK RESORT
100.00
97829622
JUL110 SALES TAX
CR 00898 04/11 CR
10/19/10 0004788
INTL CODE CNCL/RFND SALES
91.86
DMARTIN 10/19/10 01
GM 02538. 11/11, AP
05/02/11 0091922
WELLS FARGO BUSINESS CARD
121.09
3072
VISA PYMT
GM 02558 11/11 AP
05/11/11 0091975
COACHELLA VALLEY CHAPTER
75.00
2011
MEMBERSHIP
ACCOUNT TOTAL
3,227.24 91'.86
31135.38
.101-5002-424.54-01
Servi ces & Supplies
Information Tech Charges
.00
ACCOUNT TOTAL
.00
101-5002-424.56-01
Services & Supplies
Office Supplies
.06
ACCOUNT TOTAL
.00
101-5002-424.56-02
Services & Supplies
Operating Supplies
.00
GM 01048 05/11 AP
07/21/10 0'089572
DESERTARC
300.00
TCG04598
DEPT SHIRTS
ACCOUNT TOTAL
300.00
300.00
101.-SO02w424.56-28
Services & Supplies
Supplies - Field
.00
ACCOUNT TOTAL
.00
101-5002-424.71-01
Capital Purchases Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-5002-424.71-02
Capital Purchases Furniture
.00
ACCOUNT TOTAL
.00
PREPARED --7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING Pk,--, 127
PROGRAM GM362LA
CITY,OF LA QUINTA, CALIFORNIA
---------------- —w—w—m—w ---------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION-mmm /ENDING
APP NUMBER PER. CD DATE . NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
101-5002-424.71-03 Capital Purchases / Vehicles .00
.101-5002-424.91-11
GM
00194
01/11
AJ
GM
00572
02/11
AJ
GM
OD716
03/11
AJ
GM
00929
04/11
AJ
GM
01187
05/11
AJ
GM
01239
06111
AJ
GM
01638
07/11
AJ
6M
01717
08/11
AJ
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
02743
11/11
AJ
GM
02746
12/11
AJ
ACCOUNT TOTAL
Reimbursed Gen Fund Exp / Personnel
07/30/10
JE
01-029
MONTHLY
GF
REIMB
08/31/10
JE
02-034
MONTHLY
GF
REIMB
09/30/10
JE
03-035
MONTHLY
GF
REIMB
10/31/10
JE
04-027
MONTHLY
GF
REIMB
11/30/10
JE
05-030
MONTHLY
GF
REIMB
12/31/10
JE
06-002
MONTHLY
GF
REIMB
01/31/11
JE
07-031
MONTHLY
GF
REIMB
02/28/11
JE
08-'009
MONTHLY
GF
REIMB
03/31/11
JE
09-019
MONTHLY
GF
REIMB
04/30/11
JE
10-044
MONTHLY
GF
REIMB
05/31/11
JE
11-044
MONTHLY
GF
REIMB
06/30/11
JE
12-002
MONTHLY
GF
REIMB
ACCOUNT TOTAL
101.-5002-424.91-12 Reimbursed Gen Fund Exp / Supplies/Service
ACCOUNT TOTAL
101-5002-424.92-11 Other Charges / Fleet Maint Progr Charges
ACCOUNT TOTAL
101-5004-424.10-01
Salaries
& Wages
Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08106110
PRO806
PAYROLL
SUMMARY
PR
6J)342
02/11
AJ'08/20/10
PRO820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
GM
00629
03/11
AJ
09/21/10
JE 03-015
RECL Y/E
SAL PYBL /MORRIS
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL
SUMMARY
CR
00892
04/11
CR
10/18/10
0004743
M MORRIS
WORKERS COMP REI
PPARKER
10/18/10 01
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
CR
01040
05/11
CR
11/03/10
0005776
WORKERS
COMP REIMB - M MO
PPARKER
11/03/10 01
CR
01111
05/11
CR
11/10/10
0006157
WORKERS
COMP REIMB M MORR
PPARKER
11/10/10 01
20,677.68
22,157.53
22,436.62
22,210.17
22,209.68
22,321.80
22,321.77
22,323.03
22,321.74
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
4,110.00
49,320.00
16,542.20
260.34
695.14
695.14
94.56
00
.00
49,320.00CR
.00
.00
.00
.00
00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER --VITY
LISTING
P�wm,128
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
--------------------------------------------------------
FUND-101
General
Fund
7 --------- W ------
------------------------------
BEGINNING
GROUP ACCTG
/ENDING
APP NUMBER PER.
CD
DATE
NUMBER
D E S C R I
P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5004w424.10m0l
Salaries
& Wages
Permanent Full Time
PR
01060
05/11
AJ
11/12/10
PRI112
PAYROLL
SUMMARY
22,322.41
CR
01141
05/11
CR
11/17/10
0006453
WORKERS
COMP REIMB M MO
689.39
PPARKER
11/17/10 01
PR
01137
05/11
AJ
11/24/10
PRI124
PAYROLL
SUMMARY
22,279.94
PR
01249
06111
AJ
12/10/10
Pk1210
PAYROLL
SUMMARY
22,100.88
PR
01364
06111
AJ
12/20/10
PR1220
PAYROLL
SUMMARY
20.87
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
22,321.78
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY.
23,158.28
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
21,578.08
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
22,376.49
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
22,437.29
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
22,431.16
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
22,431.13
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
22,431.13
PR
Z2253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
22,431.14
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
21,810.44
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
21,106.45
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
21,106.43
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
21,727.22
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
22,486.33
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
20,237.37
ACCOUNT
TOTAL
595,774.84
18,976.77
576,798.07
101-5004-424.lOmO3
Salaries
& Wages /
Salaries - Part Time
.00
ACCOUNT
TOTAL
.00
10lw5004-424.10-04'Salaries
& Wages
Regular Overtime
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
66.54
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
53.23
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
99.80
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
249.52
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
124.76
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY.
174.66
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
106.99
ACCOUNT
TOTAL
822.27
53.23
769.04
101-5004-424.10-05
Salaries
& Wages /
Temporary Agency Services
.00
ACCOUNT
TOTAL
.00
101-5004w424.10-14
Salaries
& Wages /
Regular PT overtime
.0.0
ACCOUNT
TOTAL
.00
UILS
AHvwwns
110HAVd
gIZOHd
iusino
ry
ii/go
S8LIO
Hd
11 * SO
AHvwwns
110HAVd
OOZOHd
ii/oo/zo
ry
iT/so
90910
Hd
tP6'9Z
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IIOHAVd
LOTOHd
ii/Lo/io
ry
iino
91010
Hd
99 Oto
AHvwwns
IIOHAVd
SZZTHd
oi/2z/zT
rV
TI/90
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Hd
SL tpz I
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IIOHAVd
OTZTHd
oi/own
ry
11/90
60ZIO
Hd
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IIOHAVd
OZITHd
oi/ozm
ry
ii/so
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ssloll
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ZIIIHd
oini/ii
ry
ii/so
09010
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01/6Z/Oi
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11600
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IIOHAVd
STOTHd
ousim
ry
ii/oo
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Hd
60 ZtP
AHvwwns
IIOHXVd
L160Hd
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ry
11/90
06900
Hd
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2060Hd
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ry
11/20
9VbOO
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69*19
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oi/oz/go
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908OHd.oi/go/so
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Tun
96100
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110HAVd
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oi/suip
ry
ii/io
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01/6o/Lo
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AHvwwns
110HAVd
bZ90Hd
I i/toz/go
ry
ii/zi
L9940
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OG'L6T
AHvwwns
110HAVd
0190Hd
ii/oi/go
ry
iuzi
VVLZO
lid,
OSIL9
AHvwwns
110HAVd
LESOM
ii/Luso
ry.
ii/ii
9Z9ZO
lid
00,091
AHvwwns
110HAVd
2TSOHd
ii/si/so
ry
11/11
bZSZO
Hd
00,091
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110HAVd
6ZbOHd
11/6Z/too
ry
Tim
9tp2ZO
lid .
00*091
AHvwwns
110HAVd
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29ZZO
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ii/io/bo
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11/60
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11/60
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ii/bo/zo
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90910
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AHvwwns
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ii/iuio
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110HAVd
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gTbIO
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llOHAVd
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ouizni
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11190
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110HAVd
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quoun
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11/90
6bZTO
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110HAVd
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oi/ouii
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L21LO
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01/6Z/Oi
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110HAVd
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110HAVd
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00,091
AHvwwns
110HAVd
OZ9OHd
quougo
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IT/ZO
ZtPSO 0
Hd
OO*OsI
AHvwwns
110HAVd
909OHd
oi/go/go
ry
ii/zo
96100
Hd
00,091
AHvwwns
110HAVd
2ZLOHd
ouiuio
ry
n/io
00100
Hd
00 1 Otpi
AHvwwns
110HAVd
60LOHd
01/6o/Lo
ry
Tim
LOOOO
Hd
OO*sLI
AHvwwns
llOHAVd
60LOHd
01/6o/zo
ry
ii/io
LOOOO
Hd
00*
rtqpue4S
sooeM jS
serjBTeS
91-01 - bZtp-t,009-
TOT
------------------------------------------------------------------------------------------------------------------------------------
33NVIVO
SlIa3HO SII93a
N 0 1 1 d
I H 3 S 3 a
H3vwnN
31va
a3
'113d 113ownN
ddV
SNIaN3/
---- NOI13VSNVHI----
91.33V
dnoHs
ONINNIS38
------------------------------------------------------------------------------------------------------------------------------------
punA
TeJOuGS
101 aNnj
:
VINHOAIIV3
'ViNinb vi
JO A113-
VIZ99WO
WVHSOHd
6ZT'--'Fd
SNIISII
AIIA-*-- H39a3l lVH3N35
00:61:01 'tPIOZ/L-
-,-
a3llVd3lid
PREPARED -..-7/2014,'10:19:00
Salaries
& Wages /
GENERAL LEDGER --..VITY
LISTING
PR
PROGRAM GM362LA
05/11
AJ
11/12/10
PRI112
PAYROLL
SUMMARY
200.00
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------
01060
05/11
AJ
11/12/10
PR1112
FUND 101 General
Fund
:
------------------------------------------------------------------------------------------------
BEGINNING
GROUP ACCTG
---- TRANSACTION
----
200.00
101-5004-424.20-01
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I
P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.10-16
Salaries
& Wages
Standby overtime
2,117.99
PR
PR 01904 09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
10.78
PR 02016 09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
42.09
SUMMARY
PR 02151 10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
21.56
PAYROLL
PR 02253* 10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
48.50
PROB20
PR 02348 10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
236.61
09/03/10
PR 02733 12/11
AJ
06110111
PRO610
PAYROLL
SUMMARY
10.78
AJ
PR 02867 12/11
AJ
06/24/11
PRO624
PAYROLL
SUMMARY
43.11
04/11
AJ
10/01/10
ACCOUNT
TOTAL
SUMMARY
1,733.56 61.24
1,672.32
101-5004-424.10-18 Salaries & Wages / Natural Diaster - FEMA
ACCOUNT TOTAL
101-5004-424.10-30
Salaries
& Wages /
Employee Recognition
PR
01060
05/11
AJ
11/12/10
PRI112
PAYROLL
SUMMARY
200.00
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
ACCOUNT TOTAL
200.00
101-5004-424.20-01
Employee
Benefits
PERS-City Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
2,117.99
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
2,269.92
PR
00196
02/11
AJ
08/06/10
PROB06
PAYROLL
SUMMARY
2,298.56
PR
0342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
2,275.27
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
2,275.27
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
2,286.78
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
2,286.78
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
2,223.75
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
2,211.56
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMHARY
2,211.54
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
2,282.48
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
2,264.01
PR
01364
06111
AJ
12/23/10
PR1223
'PAYROLL
SUMMARY
2,286.78
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
2,219.09
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
2,210.46
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
2,292.40
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
2,298.65
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
2,298.02
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
2,298.02
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
2,298.02
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
2,298.02
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
2,234.31
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
2,162.07
PR
02625
11/11
AJ
05/27/11
PROS27
PAYROLL
SUMMARY
2,162.07
00
.00
.00
200.00
200.00 .00
1,694.39
.00
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ZOSOO
Hd
V6*0229
AHvwwns
110HAVd
909OHd
oi/go/go
ry
Tim
96100
Hd
LV2z9
AHvwwns
110HAVd
SUM
oinzno
ry
ii/To
00100
Hd
so 99tF
AHvwwns
110HAVd
60LOHd
oimno
ry
ii/io
LOOOO
Hd
AHvwwns
110HAVd
60LOHd
01/6o/zo
ry
ii/io
LOOOO
Hd
00,
eouejnsuj dWoo
siamiom aDuejnsuj dWoo
SjaNjoM
IO-SZ-oZo-oOOS-'IOI
00,
lV101 lNnO33V
00,
avav
/ s;T4auea
aouejnsuj
go-IZ*oZo-oOOS-IOI
90,00SIS
60'161 SUISSIS
lV101 lNn033V
IZITZI
AHvwwns
110HAVd
SOLOHd
Timm
ry
Tim
L06ZO
Hd
89 tp2I
AHvwwns
110HAVd
OZ9OHd
ii/oz/go
ry
Tim
L99ZO
Hd
99 tpSI
AHvwwns
110HAVd
019OHd
ii/oi/go
ry
Tim
SELZO
Hd
99 tPSI
AHvwwns
110HAVd
LZSOHd
ii/Luso
ry
ii/ii
SZ9ZO
Hd
99 Oil
AHvwwns
110HAVd
219OHd
ii/ti/so
ry
Tim
0Z9?.O
Hd
S2 Of I
AHvwwns
110HAVd
6ZOOHd
11/6Z/Oo
ry
Tim
902ZO
Hd
92 021
AHvwwns
110HAVd
910OHd
ii/si/oo
ry
Tim
29ZZO
Hd
S2*021
AHvwwns
110HAVd
100OHd
iino/oo
ry
Tim
ISIZO
Hd
S2,021
AHvwwns
110HAVd
STSOHd
ii/si/so
ry
11/60
91OZO
Hd
S2 tpv I
AHvwwns
110HAVd
00SOnd
Timm
ry
11/60
00610
Hd
S42 Of I
AHvwwns
110HAVd
9IZOHd
ii/gi/zo
ry
ii/go
S9ZTO
Hd
Z0,091
AHvwwns
110HAVd
OOZOHd
ii/bo/zo
ry
Tim
90910
Hd
Z0,021
AHvwwns
110HAVd
IZTOHd
Timm
ry
Tim
19SID
Hd
69*221
AHvwwns
110HAVd
ZOIOHd
Timm
ry
Tim
9TOTO
Hd
6tp * 16
AHvwwns
110HAVd
SUM
ci/sz/zi
ry
ii/go
09210
Hd
zvlzol
AHvwwns
110HAVd
OIZTHd
ai/oi/zi
ry
11190
60ZIO
Hd
ZS'601
AHvwwns
110HAVd
OZIIHd
oi/oa/ii
ry
ii/so
L2110
Hd
29'601
AHvwwns
110HAVd
ZIIIHd
oinini
ry
ii/so
09010
Hd
29*601
AHvwwns
110HAVd
6ZOTHd
01/6Z/Oi
ry
ii/oo
11600
Hd
ZS*601
AHvwwns
110HAVd
SIOIHd
ot/si/oi
ry
I i/tpo
OUGO
lid
Z9*601
AHvwwns
110HAVd
IOOIHd
oT/io/oi
ry
11/00
99900
Hd
Z5*601
AHvwwns
110HAVd
L160Hd
OTILT16c
ry
11/20
06900
Hd
ZS*601
AHvwwns
IIDHAVd
2060Hd
01/90/6o
ry
II/SO
SSOOO
Hd
s8lool
AHvwwns
IIDHAVd
OZ9OHd
oi/pa/so
ry
II/ZO
Z�200
Hd
S9*911
AHvwwns
110HAVd
909OHd
oi/go/go
ry
IT/ZO
96100
Hd
AHvwwns
IIDHAVd
2ZLOHd
ouszm
ry
ii/io
00100
Hd
60*161
AHvwwns
110HAVd
60LOHd
01/6o/Lo
ry
IT/TO
LOOOO
Hd
AHvwwns
110HAVd
60ZOHd
01/6o/Lo
ry
11/10
LOOOO
Hd
A4TTTqesfa
wiel Buoi
s4Tieueg
eouejnsuj
LO-12-OZO-000g-joj
------------------------------------------------------------------------------------------------------------------------------------
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H3gwnN
31va
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---- NOI13VSNVHI----
9133V dnoHo
SNINNIS38
------------------------------------------------------------------------------------------------------------------------------------
punJ
TeJau09
101 aNnj
VINHOAIIV3
'ViNinb vi
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VIZ92WS
WV119011d.
StTTqc)Vd
SNUSIl
AIIA T I '%W H39a3l IVH3N39
00:61:01 'tPIOZ/1-
---
a3llVd3lid
PREPARED
----7/2014,
10:19:00
Security -Medicare
GENERAL LEDGER m6ijLVITY-LISTING
PR
PAsEii36
PROGRAM
GM362LA
07/09/10
PR0709
PAYROLL
SUMMARY
305.89
PR
00007
CITY OF
LA QUINTA, CALIFORNIA
07/09/10
PR0709
PAYROLL
SUMMARY
--------------
FUND 101
7 ------------------
General
Fund
AJ
---------
W -W ------- -------
----------
------------------
BEGINNING
GROUP ACCTG
---
wTRANSACTION
02/11
AJ
08/06/10
PRO806
/ENDING
APP NUMBER PER.
CD
DATE
NUMBER D
E S C R I
P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.25wOl
Workers Comp
Insurance
Workers
Comp Insurance
03/11
AJ
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
627.04
AJ
PR 01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
633.23
AJ
PR 01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
632.05
AJ
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
647.88
AJ
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
605.98
AJ
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
631.68
AJ
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
632.31
AJ
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
632.39
AJ
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
632.75
AJ
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
632.15
AJ
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
631.14
AJ
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
613.61
AJ
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
591.69
AJ
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
590.58
AJ
PR 02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
612.46
AJ
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
633.94
GM 03023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
8,541.64
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
569.48
ACCOUNT
TOTAL
16,799.22 9,007.69
7,791.53
101-5004-424.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-5004-424.27-05
Other Benefits & Deduc.
/ Social
Security -Medicare
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
305.89
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
327.33
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
329.36
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
328.01
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
326.93
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
328.16
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
327.29
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
325.54
PR
00911
04/11
AJ
10/29/10
PRIC29
PAYROLL
SUMMARY
316.93
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
322.93
PR
O�137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
329.30
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
330.58
PR
01364
06111
AJ
12/20/10
PR1220
PAYROLL
SUMMARY
20.44
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
329.15
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
339.16
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
316.33
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
328.97
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
329.52
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
329.47
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
329.32
244.70
.00
00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER misAVITY LISTING PAwtii37
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5004-424.27-03 Other Benefits & Deduc.
PR 02151 10/11 AJ 04/01/11 PR0401
PR 02253 10/11 AJ 04/15/11 PR0415
PR 02348 10/11 AJ 04/29/11 PR0429
PR 02524 11/11 AJ 05/13/11 PRO513
PR 02625 11/11 AJ 05/27/11 PRO527
PR 02733 12/11 AJ 06110111 PR0610
PR 02867 12/11 AJ 06/24/11 PR0624
PR 02947 12/11 AJ 07/08/11 PR0708
ACCOUNT TOTAL
/ Social Security -Medicare
PAYROLL
SUMMARY
329.20
PAYROLL
SUMMARY
329.59
PAYROLL
SUMMARY
321.87
PAYROLL
SUMMARY
309.67
PAYROLL
SUMMARY
308.75
PAYROLL
SUMMARY
319.51
PAYROLL
SUMMARY
331.31
PAYROLL
SUMMARY
296.70
8,767.21
101%5004-424.31-19
Contract
Services
Admin Citation Services
GM
00350
02/11
AP
08/03/10
0088620
DATA TICKET,
INC.
905.00
32525
JUL-CITATION
SVC
GM
00490
03/11
AP
08/16/10
0088812
DATA TICKET,
INC.
686.75
32716
JUL-CITATION
SVC
GM
00736
04/11
AP
09/02/10
0089181
DATA TICKET,
INC.
1,661.00
32866
AUG -CITATION
SVC
GM
00736
04/11
AP
09/21/10
0089181
DATA TICKET,
INC.
233.94
33062
AUG -CITATION
SVC
GM
00860
04/11
AP
10/05/10
0089390
DATA TICKET,
INC.
1,253.38
33197
SEP -CITATION
SVC
GM
01001
05/11
AP
10/19/10
0089567
DATA TICKET,
INC.
605.02
33390
SEP -CITATION
SVC
GM
01246
06111
AP
11/03/10
0089956
DATA TICKET,
INC.
1,577.14
33555
OCT -CITATION
SVC
GM
01265
06/11
AP
11/08/10
0089956
DATA TICKET,
INC.
508.85
33723
OCT -CITATION
SVC
GM
01478
07/11
AP
12/03/10
0090293
DATA TICKET,
INC.
1,103.02
33858
NOV-CC CITATION SVC
GM
01478
07/11
AP
12/14/10
0090293
DATA TICKET,
INC.
629.70
34054
NOV-CITATION
SVC
GM
01643
08/11
AP
01/07/11
0090642
DATA TICKET,
INC.
11130.00
34257
DEC -CITATION
SVC
GM
01703
08/11
AP
01116111
0090642
DATA TICKET,
INC.
939.35
34464
DEC -CITATION
SVC
GM
01802
08/11
AP
02/07/11
0090834
DATA TICKET,
INC.
1,553.00
34707
JAN -CITATION
SVC
GM
01804
08/11
AP
02/07/11
0090891
COUNTY OF RIVERSIDE
4,793.00
MAY -AUG
110
CITATION REVENUE
GM
0;951
09/11
AP
02/10/11
0090990
DATA TICKET,
INC.
534.90
34881
JAN -CITATION
SVC
GM
01804
08/11
AP
02/17/11
0090891
COUNTY OF RIVERSIDE
4,176.00
SEP -DEC
110
CITATION REVENUE
GM
02083
09/11
AP
03/02/11
0091178
DATA TICKET,
INC.
986.02
35024
FEB -CITATION
SVC
GM
02136
10/11
AP
03/20/11
0091395
DATA TICKET,
INC.
448.72
35262
FEB -CITATION
SVC
244.70
8,522.51
.00
PREPARED -.,.7/2014, 10:19:00 GENERAL LEDGER P%�.iLVITY LISTING PAL7Li 138
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
- ---------------------------------------------------------------------------------------------------------------------------- : --------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5004-424.31-19
Contract
Services
Admin Citation Services
GM
02350
10/11
AP
04/06/11
0091615
DATA TICKET,
INC.
1,598.12
*
35488
DWELLING ABATEMENTS
MAR -CITATION
SVC
00736
GM
02424
11/11
AP
04/13/11
0091808
DATA TICKET,
INC.
520.99
JUN110
RECORDING FEES
35708
GM
MAR -CITATION
SVC
AP
GM
02435
11/11
AP
05/02/11
0091807
COUNTY OF RIVERSIDE
4,021.38
19
DWELLING/ABATEMENT
JAN -MAR
00490
CITATION REVENUE
AP
GM
02561
11/11
AP
05/05/11
0091982
DATA TICKET,
INC.
1,707.16
CC DWELLING ABATEMENT.
GM
35930
03/11
APR -CITATION
SVC
0088857
GM
02735
12/11
AP
05/09/11
0092190
DATA TICKET,
INC.
495.98
GM
00736
04/11
36141
09/16/10
APR -CITATION
SVC
102.00
GM
02789
12/11
AP
06108111
0092190
DATA TICKET,
INC.
11586.10
00736
04/11
AP
09/16/10
36351
RIVERSIDE COUNTY RECORDER
MAY -CITATION
SVC
GM
02987
12/11
AP
06/13/11
0092519
DATA TICKET,
INC.
703.52
AP
09/28/10
0089265
SOUTHWEST BOULDER & STONE
36561
MAY -CITATION
SVC
GM
05024
12/11
AP
07/07/11
0092699
DATA TICKET,
INC.
1,050.17
0089447
MOYA, RICHARD
11000.00
36776
JUN -CITATION
SVC
GM
03024
12/11
AP
07/19/11
0092730
COUNTY OF RIVERSIDE
646.50
MOYA, RICHARD
11800.00
APR'11-JUN'll
CITATION REV
1
DWELLING ABATEMENT
GM
01046
ACCOUNT TOTAL
AP
10/25/10
36,034.71
101-5004-424.32-10 Contract Services / Professional
ACCOUNT TOTAL
101-5004-424.34-04
Contract
Services
Technical
GM
00275
02/11
AP
07/13/10
0088509
SOUTHWEST BOULDER & STONE
548.76
148393 -IN
DWELLING ABATEMENTS
GM
00736
04/11
AP
07/14/10
0089258
RIVERSIDE COUNTY RECORDER
109.00
JUN110
RECORDING FEES
GM
00353
02/11
AP
08/18/10
0088665
MOYA, RICARDO
11500.00
19
DWELLING/ABATEMENT
GM
00490
03/11
AP
08126110
008A857
MOYA, DANIEL
250.00
20
CC DWELLING ABATEMENT.
GM
00490
03/11
AP
08/26/10
0088857
MOYA, DANIEL
800.00
21
CC DWELLING ABATEMENT
GM
00736
04/11
AP
09/16/10
0089257
RIVERSIDE COUNTY RECORDER
102.00
AUG'10
RECORDING FEES
GM
00736
04/11
AP
09/16/10
0089256
RIVERSIDE COUNTY RECORDER
91.00
JUL110
RECORDING FEES
GM
00736
04/11
AP
09/28/10
0089265
SOUTHWEST BOULDER & STONE
570.27
152735 -IN
DWELLING ABATEMENTS
GM
Ob846
04/11
AP
10106110
0089447
MOYA, RICHARD
11000.00
6
DWELLING ABATEMENT
GM
00931
04/11
AP
10/19/10
0089504
MOYA, RICHARD
11800.00
1
DWELLING ABATEMENT
GM
01046
05/11
AP
10/25/10
0089640
RIVERSIDE COUNTY RECORDER
52.00
36,034.71.
.00
.00
.00
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER m6iLVITY
LISTING
PAwmLL39
PROGRAM
GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION
----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
. D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.34-04
Contract
Services
/'Technical
SEP110
RECORDING FEES
GM
04046
05/11
AP
10/27/10
0089612
MOYA, DANIEL
800.00
21
DWELLING ABATEMENTS
GM
01246
06/11
AP
11/23/10
0090017
MOYA, DANIEL
11150.00
28
DWELLING ABATEMENT
GM
01514
07/11
AP
12/02/10
0090340
RIVERSIDE COUNTY RECORDER
130.00
OCT110
RECORDING FEES
GM
01514
07/11
AP
12/29/10
0090340
RIVERSIDE COUNTY RECORDER
78.00
NOV110
RECORDING FEES
GM
01802
08/11
AP
02/07/11
0090892
RIVERSIDE COUNTY RECORDER
156.00
DEC111
RECORDING FEE
GM
01802
08/11
AP
02/08/11
0090893
RIVERSIDE COUNTY RECORDER
80.00
JAN111
RECORDING FEE
GM
02077
09/11
AP
03/02/11
0091241
RIVERSIDE COUNTY RECORDER
39.00
FEBIll
RECORDING FEES
GM
02084
09/11
AP
03/07/11
0091192
FREGOSO, FELIPE
835.00
349108
CC -ABATEMENT
GM
02156
10/11
AP
03/23/11
0091463
MOYA, DANIEL
11300.00
34
DWELLING ABATEMENTS
GM
02302
10/11
AP
04/12/11
0091657
LOCK SHOP INC, THE
94.00
60033
CODE ABATEMENT
GM
02435
11/11
AP
04/13/11
0091881
WARD, LARRY W - ASSESSOR
78.00
MAR'll
RECORDING FEES
GM
02435
11/11
AP
04/26/11
0091836
MEDRANO, EFRAIN LANDSCAPI
775.00
206393
DWELLING ABATEMENT
GM
02561
11/11
AP
05/05/11
0092029
MEDRAND, EFRAIN LANDSCAPI
275.00
505006
DWELLING ABATEMENT
GM
02588
11/11
AP
05/13/11
0091944
MOYA, DANIEL
60.00
53305
DWELLING ABATEMENT
GM
02588
11/11
AP
05/13/11
0091944
MOYA, DANIEL
100.00
53705
DWELLING ABATEMENT
GM
0*2588
11/11
AP
05/16/11
0091944
MOYA, DANIEL
65.00
53275
DWELLING ABATEMENT*
GM
02784
12/11
AP
05/23/11
0092237
MOYA, DANIEL
150.00
57
ABATEMENT
GM
02789.
12/11
AP
06105111
0092237
MOYA, DANIEL
150.00
56
DWELLING ABATEMENT
GM
02916
12/11
AP
06/05/11
0092473
MOYA, DANIEL
150.00
56
ABATEMENT HERRERA
GM
02916
12/11
AP
06/07/11
0092473
MOYA, DANIEL
325.00
'
54
ABATEMENT MARTINEZ
GM
02863
12/11
AP
06/09/11
0092422
WARD, LARRY W - ASSESSOR
169.00
MAY'll
RECORDING FEES
GM
02987
12/11
AP
06/15/11
0092516
CRYSTAL CLEAR -MIRROR & GL
125.00
7597
WINDOW RPLCMNT
GM
0?865
12/11
AP
06/20/11
0092392
MOYA, DANIEL
150.00
49
YARD CLEAN UP
GM
02865
12/11
AP
06/20/11
0092392
MOYA, DANIEL
500.00
47
FALLEN TREE ABATEMENT
PREPARED —.7/2014,
10:19:00
GENERAL LEDGER m�,,VITY
LISTING
PAwma,40
PROGRAM GM362LA
01/11
AP
07/07/10
0088331
CITY OF LA QUINTA, CALIFORNIA
----------------------------
;
FUND 101 General Fund
------------------------------------------------------------------------------------------------------
LOT CLEANING
GM
BEGINNING
GROUP ACCTG ----
TRANSACTION ----
-
0089060
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------
DATE NUMBER
D E S C R I P T 1 0 N
7 --------
DEBITS CREDITS
I ---------------------------------------------------------
BALANCE
101-5004-424.34-04
Contract Services
Technical
00622
03/11
GM 02870 12/11 AP
06/21/11 0092426
CASH/PETTY CASH
20.00
06212011
PETTY CASH
is
GM 02893 12/11 AP
06/23/11 0092237
MOYA, DANIEL
150.00
AP
09/12/10
56
DWELLING ABATEMENT
GM 02893 12/11 AP
06/23/11 0092237
MOYA, DANIEL
150.00
LOT CLEANING
GM
57
ABATEMENT
AP
09/16/10
GM 02997 12/11 AP
06/30/11 0092548
MOYA, DANIEL
600.00
56
HAZARD ABATEMENT
LOT CLEANING
GM
GM 03021 12/11 AP
07/07/11 0092732
RIVERSIDE COUNTY RECORDER
91.00
0089150
ACE HARDWARE
JUN'll
RECORDING FEES
-
ACCOUNT TOTAL
101-5004-424.42-04 Contract Services / Vehicle Abatement
ACCOUNT TOTAL
101-5004-424.42-07
Contract
Services
Lot Cleaning
GM
00099
01/11
AP
07/07/10
0088331
MOYA, RICARDO
10-854
LOT CLEANING
GM
00622
03/11
AP
09/03/10
0089060
MOYA, RICARDO
16
LOT CLEANING
GM
00622
03/11
AP
09/10/10
0089059
MOYA, DANIEL
is
LOT CLEANING'
GM
00603
03/11
AP
09/12/10
0089054
MEDRANO, EFRAIN LANDSCAPI
742763
LOT CLEANING
GM
00624
03/11
AP
09/16/10
0089059
MOYA., DANIEL
10-2657
LOT CLEANING
GM
00725
04/11
AP
09/27/10
0089150
ACE HARDWARE
-
108282
CODE COMPLIANCE
GM
00725
04/11
AP
09/28/10
0089235
MOYA, RICHARD
4
LOT CLEANING
GM
00736
04/11
AP
09/29/10
0089234
MOYA, DANIEL
3487
LOT CLEANING
GM
00823
04/11
AP
10/04/10
0089233
MEDRANO, EFRAIN LANDSCAPI
742782
LOT CLEANING
GM
00846
04/11
AP
10/05/10
0089447
MOYA, RICHARD
5
LOT CLEANING
GM
00784
04/11
AP
10106110
0089235
MOYA, RICHARD
2
LOT CLEANING
GM
01757
08/11
AP
11/12/10
0090753
MOYA, DANIEL
26
LOT CLEANING
GM
01265
06111
AP
11/19/10
0090012
MEDRANO, EFRAIN'LANDSCAPI
742800
LOT CLEANING
GM
01547
07/11
AP
11/24/10
0090392
MOYA, DANIEL
29
LOT CLEANING
GM
01478
07/11
AP
12/20/10
0090319
MEDRANO, EFRAIN LANDSCAPI
15,268.03 300.00
60.00
60.00
11300.00
245.00
200.00
117.34
225.00
200.00
475.00
125.00
900.00
300.00
245.00
225.00
245.00
14,968.03
.00
.00
.00
PREPARED
7/2014,
10:19:00
GENERAL LEDGER _VITY
LISTING
PAL7MI141
PROGRAM
GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION
----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------------
-CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
--------------------------------------------------------
BALANCE
101-5004-424.42-07
Contract
Services
Lot Cleaning
205416
LOT CLEANING
GM
01793
08/11
AP
02116111
0090771
CASTRO ROOFING INC
465.00
12394
LOT CLEANING
GM
02558
11/11
AP
04/25/11
0092031
MOYA, DANIEL
1,300.00
48
LOT ABATEMENT
GM
0-2558
11/11
AP
05106111
0092031
MOYA, DANIEL
325.00
49
LOT ABATEMENT
GM
02558
11/11
AP
05106111
0092031
MOYA, DANIEL
300.00
so
LOT ABATEMENT
GM -02740
12/11
AP
05/27/11
0092148
HOME DEPOT CREDIT SERVICE
737.89
7011524
LOT ABATEMENTS
GM
02808
12/11
AP
05/31/11
0092309
BURRTEC WASTE & RECYCLING
72.20
944 -TP -472121
LOT CLEANING
GM
03027
12/11
AP
06/21/11
0092715
MOYA, DANIEL
900.00
57
LOT CLEANING
GM
03020
12/11
AP
06/30/11
0092644
BURRTEC WASTE & RECYCLING
441.33
SOL0723439
LOT ABATEMENT
GM
03024
12/11
AP
07/11/11
0092697
CRM TECH
1,170.00
2846
LOT CLEANING
GM
03027
12/11
AP
07/11/11
0092701
DEPARTMENT OF FORESTRY &
886..08
102863
LOT CLEANING
ACCOUNT
TOTAL
11,519.84
11,519.84
101-5004-424.42-40
Contract
Services
Low -Income Housing Grants
.00
GM
00189
01/11
AP
07/22/10
0088378
MOYA, RICARDO
1,800.00
72210
CC GRANT PRGM
GM
00605
03/11
AP
09/10/10
0088941
MOYA, DANIEL
625.00
19
CC GRANT PRGM
GM
01368
Q6/11
AP
12/13/10
0090142
DIAZ, FREDDIE LANDSCAPE M
400.00
14070
GATE-52350MARTINEZ
GM
01903
09/11
AP
02/11/11
0091045
SOUTHWEST BOULDER & STONE
557.18
163437IN
CC GRANT PRGM
GM
01961
09/11
AJ
03/07/11
JE 09-016
PRMT FEES 52390 AVE VILLA
31.00
GM
012022
09/11
AP
03/07/11
0091140
SOCAL & ASSOCIATES PLUMBI
2,400.00
3235
CC GRANT PROJ
GM
02136
10/11
AP
03/08/11
0091499
SOUTHWEST BOULDER & STONE
548.99
165726 -IN
CC GRANT PRGM
GM
02346
10/11
AP
04/13/11
0091692
SOUTHWEST BOULDER & STONE
558.12
169410 -IN
CC GRANT -ROCK
GM
02588
11/11
AP
05116111
0091942
MILES, WALLACE S
2,500.00
REIMB
ROOF-51700MARTINEZ
ACCOUNT
TOTAL
9,420.29
9,420.29
101-5004-424.44-01 Contract Services / Equipment Rental
ACCOUNT TOTAL
.00
00
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER _VITY
LISTING
Pktvc&L42
PROGRAM
GM362LA
CITY -OF LA QUINTA, CALIFORNIA
-------- -- -
FUND 101
- --- - ----------------------
General
Fund
-------------------
----------------------
----- ---------- -------- --------- ---
---- ---- -----------
BEGINNING
GROUP
ACCTG
---- TRANSACTION ----
/ENDING
APP NUMBER PER.
----------- --------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.51-01
Services
& Supplies
Travel/ Training
.00
GM
00823
04/11
AP
10/05/10
0089261
SANTIAGO CANYON COLLEGE
166.00
100510
CODE ENF ACADEMY
GM
01210
06111
AP
11/16/10
0089873
CAPITAL ONE COMMERCIAL
177.53
12887
CADE AVA MTG
GM
01097
05/11
AP
11/18/10
0089727
SANTIAGO CANYON COLLEGE
130.00
WAYNE/LIZ
PBLC09836697 TRAINING
GM
01253
06111
AP
12/07/10
0089902
CACEO
260.00
12910
CACEO TRAINING
GM
01368
06/11
AP
12/07/10
0090145
CAPITAL ONE COMMERCIAL
51.23
63911
TRAINING MTG
GM
01420
07/11
AP
12/14/10
0090257
CAPITAL ONE COMMERCIAL
29.99
63183
CC TRAINING
GM
01420'
07/11
AP
01/05/11
0090250
CALIFORNIA ASSOC OF CODE
260.00
liall
BUILDING CODE BASICS
GM
01629
07/11
AP
01/20/11
0090557
CALIFORNIA ASSOC OF CODE
25.00
2117560
CONTINUED EDUC
GM
01629
07/11
AP
01/24/11
0090557
CALIFORNIA ASSOC OF CODE
25.00
2124284
CONTINUED EDUC
GM
01841
08/11
AP
02/09/11
0090922
CAPITAL ONE COMMERCIAL
18.45
38140
CC TRAINING
GM
01797
08/11
AP
02/10/11
0090895
SANTIAGO CANYON COLLEGE
82.00
1368499
ACADEMY-MOkRIS
GM
02003
09/11
AP
02/22/11
0091079
CAPITAL ONE COMMERCIAL
16.39
2809
ICC MTG-REFRESHMENTS
GM
02003
09/11
AP
03/10/11
0091067
CITY OF ROSEMEAD
40.00
33111
CORE TRAINING
GM
02513
11/11
AP
04/27/11
0091796
CALIFORNIA ASSOC OF CODE
65.00
2428049
REG -CAMPBELL, W
GM
02513
11/11
AP
04/28/11
0091796
CALIFORNIA ASSOC OF'CODE
65.00
2428809
REG-MUNOZ, G
GM
02513
11/11
AP
04/29/11
0091796
CALIFORNIA ASSOC OF CODE
65.00
2433037
REG -MEREDITH, K
GM
02645
11/11
AP
05/11/11
0092092
CAPITAL ONE COMMERCIAL
54.21
30901
TRAINING SUPPLIES
GM
02870
12/11
AP
06/07/11
0092432
CAPITAL ONE COMMERCIAL
145.39
61164
TRAINING SUPPLIES
ACCOUNT
TOTAL
1,676.19
1.,676.19
101-5004-424.51-02
Services
& Supplies
Vehicle Reimbursement
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
100.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
80.00
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
100.00
PR
00196
02/11
AJ
08106110
PROB06
PAYROLL SUMMARY
100.00
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL SUMMARY
100.00
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL SUMMARY
100.00
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL SUMMARY
100.00
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL SUMMARY
100.00
PREPARED
1-..-7/2014,
10:19:00
GENERAL LEDGER _VITY-LISTING
PA____43
PROGRAM
GM362LA
02/11
AP
07/27/10
0088495
PRINTING PLACE,
THE
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND-101
General
Fund
GM
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
PRINTING PLACE,
THE
/ENDING
APP NUMBER
-----------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.51-02
GM
Services
& Supplies
Vehicle Reimbursement
08/20/10
.0088871
PR 00824
04/11
AJ
10/15/10
PR1015
PAYROLL SUMMARY
100.00
101740
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL SUMMARY
100.00
AP
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL SUMMARY
100.00
PR 01249
06111
AJ
12/10/10
PR1210
PAYROLL SUMMARY
100.00
02346
PR 01564
06111
AJ
12/23110
PR1223
PAYROLL SUMMARY
100.00
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL SUMMARY
100.00
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL SUMMARY
100.00
THE
OR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL SUMMARY
100.00
PRINTING
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL SUMMARY
100.00
0092180
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL SUMMARY
100.00
XPF9527
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL SUMMARY
100.00
AP
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL SUMMARY
100.00
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL SUMMARY
�100.00
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL SUMMARY
100.00
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL SUMMARY
100.00
PR 02733
12/11
AJ
06110111
PR0610
PAYROLL SUMMARY
100.00
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL SUMMARY
100.00
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL SUMMARY
90.00
ACCOUNT TOTAL 2,490.00
101-5004-424.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5004-424.51-39 Services & Supplies / Health Department Service
ACCOUNT TOTAL
101-5004-424.53-01
Services
& Supplies
Printing
GM
00274
02/11
AP
07/27/10
0088495
PRINTING PLACE,
THE
663.38
101732
GARAGE SALE SIGNS
GM
00367
03/11
AP
08/20/10
0088871
PRINTING PLACE,
THE
626.22
101755
CITATION BOOKS
GM
00367
03/11
AP
08/20/10
.0088871
PRINTING PLACE,
THE
1,458.34
101740
CC PRINTING
GM
ob860
04/11
AP
09/13/10
0089385
CDW GOVERNMENT
INC
112.45
TWH4925
TONER -CODE COMP
GM
02346
10/11
AP
04/13/11
0091600
BEST SIGNS INC
114.19
76222
CC -PRINTING
GM
02784
12/11
AP
05/17/11
0092258
PRINTING PLACE,
THE
592.69
111043
PRINTING
GM
02735
12/11
AP
06/03/11
0092180
CDW GOVERNMENT
INC
1,269.36
XPF9527
CODE PRINTING
GM
03031
12/11
AP
07/16/11
0092866
WAL MART COMMUNITY
291.45
NOlSlP9HX
CAMERA
80.00
2,410.00
.00
.00
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ��,,VITY LISTING PAt7czL44
PROGRAM GM362LA
CITY OF LA QUINTA2 CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTIO N ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5004-424.53-01 Services & Supplies./ Printing
GM 03031 12/11 AP 07/16/11 0092866 WAL MART COMMUNITY
TOlSlP9HJ RETURN -CAMERA
ACCOUNT TOTAL 5,128.08
101-5004-424.53-03 Services & Supplies / Membership Dues
GM 01046 05/11 AP 10/12/10 0089543 AMERICAN ASSOC OF CODE 75.00
AACE100572 MEMBERSHIP
GM'01265 06111 AP 11/15/10 0089940 CALIFORNIA ASSOC OF CODE 625.00
112910 MEMBERSHIPS
ACCOUNT TOTAL 700.00
101-5004-424.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
101-5004-424.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-5004-424.54-01 Services & Supplies / Information Tech Charges
,ACCOUNT TOTAL
101-5004-424.56-01 Services & Supplies / Office Supplies
ACCOUNT TOTAL
101-5004-424.56-02
Services
& Supplies /
Operating Supplies
GM 01048 05/11 AP
07/21/10
0089572
DESERTARC
11650.00
TCG04598
DEPT SHIRTS
GM 01362. 06/11 AP
11/12/10
0090182
DESERTARC
156.99
TCGQ5177
CC -UNIFORM SHIRTS
GM 01643 08/11 AP
01/27/11
0090648
DESERTARC
34.13
TCGQ5109
UNIFORMS
ACCOUNT TOTAL
1,841.12
101-5004-424.56-28
Services
& Supplies
Supplies - Field
GM 00346 02/11 AP
08/05/10
0088568
CAPITAL ONE COMMERCIAL
95.20
72448
OPERATING SUPPLIES
291.45
291.45
4,836.63
.00
700.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
1,841.12
.00
PREPARED —.7/2014,
10:19:00
GENERAL LEDGER n�,,VITY
LISTING
PAwc1145
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--- m -----------------------------------
FUND 101 General Fund
-----------------------------------------------------------------------------
-----------------
BEGINNING
GROUP ACCTG ----
TRANSACTION ----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-5004-424.56-28
Services & Supplies /-Supplies
- Field
GM 00751 04/11 AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
15.18
6020971
OPERATING SUPPLIES
GM 01246 06111 AP
10/29/10 0089924
ACE HARDWARE
6.51
107936
FIELD SUPPLIES
GM 01237 06111 AJ
12/31/10 AJE 06-001
- RECL TELEPHONE EQUIPMENT
259.75
GM 02784 12/11 AP
05/13/11 0092209
GALLS RETAIL
623.00
168905
OPERATING SUPPLIES
GM 03020 12/11 AP
06/29/11 0092650
CAPITAL ONE COMMERCIAL
309.73
27892
CAMERAS
ACCOUNT TOTAL
1,309.37
1,309.37
101-5004-424.56-34
Services & Supplies
Supplies- Media
.00
GM 00712 04/11 AP
09/20/10 0089208
CAPITAL ONE COMMERCIAL
391.47
53079
CAMERAS
GM 00712 04/11 AP
09/23/10 0089266
STAPLES ADVANTAGE
217.39
3142563069
CAMERAS
GM 01253 06/11 AP
10/24/10 0089911
CAPITAL ONE COMMERCIAL
391,47
119418301
RETURN CREDIT
GM 01571 07/11 AP
12/03/10 0090441
ACE HARDWARE
21.27
108035
OPERATING SUPPLIES
GM 02948- 12/11 AP
05/18/11 0092483
CAPITAL ONE COMMERCIAL
391.47
44668
FIELD SUPPLIES
GM 02740 12/11 AP
05/27/11 0092148
HOME DEPOT CREDIT SERVICE
97.84
4110009
OPERATING SUPPLIES
ACCOUNT TOTAL
1,119.44 391.47
727.97
101-5004-424.71-01
Capital Purchases / Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-5004-424.71-02
Capital Purchases / Furniture
.00
ACCOUNT TOTAL
.00
.101-5004r424.71-03
Capital Purchases Vehicles
.00
ACCOUNT TOTAL
.00
101-5004-424.92-11
Other Charges / Fleet
Maint Progr Charges
.00
ACCOUNT TOTAL
.00
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER m6iLVITY
LISTING
PAt7c1146
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
w --------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
--------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I
----------------------------------------------------------------------------------------
P T 1 0 N
DEBITS
CREDITS
BALANCE
101-5006-426.10-01
Salaries
& Wages /
Permanent Full
Time
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
7,043.09
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
5,634.55
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
7,043.09
PR
00196
02/11
AJ
08/06/10
PROB06
PAYROLL
SUMMARY
7,416.30
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
7,095.20
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
7,095.19
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
7,095.20
GM
00629
03/11
AJ
09/21/10
JE 03-015
RECL Y/E
SAL PYBL /MORRIS
260.33
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
7,095.20
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
7,095.20
CR
00892
04/11
CR
10/18/10
0004743
M MORRIS
WORKERS COMP REI
695.14
PPARKER
10/18/10 01
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
7,095.20
CR
01040
05/11
CR
11/03/10
0005776
WORKERS
COMP REIMB - M MO
695.14
PPARKER
11/03/10 01
CR
01111
05/11
CR
11/10/10
0006157
WORKERS
COMP REIMB M MORR
94.56
PPARKER
111/10/10 01
PP.
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
7,095.20
CR
01141
05/11
CR
11/17/10
0006453
WORKERS
COMP REIMB M MO
689.39
PPARKER
11/17/10 01
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
7,095.19
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
7,095.20
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
7,095.20
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
7,961.37
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
7,149.92
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
7,149.93
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
7,210.84
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
7,204.69
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
7,204.67
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
7,204.68
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
7,204.68
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
7,204.67
PR
02524
11/11
AJ
05/13/11
PRO513'
PAYROLL
SUMMARY
7,259.42
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
7,259.42
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
7,259.42
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
7,259.42
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
6,533.51
ACCOUNT TOTAL
193,521.10
8,069.11
185,451.99
101-5006-426.10-03
Salaries
& Wages
Salaries - Part
Time
.00
ACCOUNT TOTAL
.00
101-5006-426.10-04
Salaries
& Wages /
Regular overtime
.00
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
274.46
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
24.95
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GENERAL LEDGER ---.-VITY
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------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP NUMBER
-----------------------------
PER.
CD
DATE
NUMBER D
E S C R I
-------
P T 1 0 N
-------- ---------------
DEBITS
M -m- -------- ------------
CREDITS BALANCE
W--w-W ---------- ------
101-5006-426.21-03
Insuranc - e
Benefits
Dental Insurance
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
108.04
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
86.43
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
108.04
PR
00196
02/11
AJ
08106110
PROB06
PAYROLL
SUMMARY
105.18
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
105.18
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
105.18
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
105.18
PR
00685
04/11
AJ
10/01/10
Pftl00l
PAYROLL
SUMMARY
105.18
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
105.18
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
105.18
OR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
105.18
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
105.18
PR
04364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
105-18
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
105.18
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
105.18
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
105.18
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
105.18
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
105.18
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
105.18
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
105.18
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
105.18
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
105.18
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
105.18
PR
02733
12/11
AJ
06110111
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PAYROLL
SUMMARY
105.18
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
105.18
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
94.66
ACCOUNT TOTAL
2,624.70
86.43 2,538.27
101mSO06-426.21-05
Insurance
Benefits
Life Insurance
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
9.60
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
7.68
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
9.60
PR
00196
02/11
AJ
08/06/10
PRO806
'PAYROLL
SUMMARY
9.60
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL
SUMMARY
9.60
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
9.60
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
9.60
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
9.60
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
9.60
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
9.60
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
9.60
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
9.60
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
9.60
PR
01418
07/11
AJ
01/07/li
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PAYROLL
SUMMARY
8.83
PR
01561
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AJ
01/21/11
PRO121
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SUMMARY
8.83
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
8.83
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
8.83
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY.
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PREPARED —.7/2014, 10:19:00 GENERAL LEDGER --.�VITY LISTING P----156
PROGRAM GM362LA
CITY OF LA QUINTA,-CALIFORNIA
------------------------------ 7 -----------------------------------------------------------------------------------------------------
FUND 101 Geheral Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5006-426.33-25
Contract
Services
Veterinarian
17498
VET SERVICE
GM
03024
12/11
AP
12116110
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
18230
VET SERVICES
GM
03024
12/11
AP
01/12/11
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
19563
VET SERVICES
GM
02306
10/11
AP
02/11/11
0091587
VALLEY ANIMAL
MEDICAL
CEN
78.00
15583
VET SERVICES
GM
02306
10/11
AP
02/11/11
0091587
VALLEY ANIMAL
MEDICAL
CEN
78.00
18670
VET SERVICES
GM
02306-
10/11
AP
02/11/11
0091587
VALLEY ANIMAL
MEDICAL
CEN
78.Od
19600
VET SERVICES
GM
02306
10/11
AP
02/11/11
0091587
VALLEY ANIMAL
MEDICAL
CEN
78.00
20961
VET SERVICES
GM
03024
12/11
AP
02/22/11
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
21725
VET SERVICES
GM
03024
12/11
AP
03/05/11
0092745
VALLEY ANIMAL
MEDICAL
CEN
19.80
22241
VET SERVICES
GM
03024
12/11
AP
05/24/11
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
26578
VET SERVICES
'
GM
03024
12/11
AP
06121111
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
11438
VET SERVICES
GM
03024
12/11
AP
06/30/11
0092745
VALLEY ANIMAL
MEDICAL
CEN
78.00
11897
VET -SERVICES
ACCOUNT TOTAL
1,443.40
101-5006-426.34-04 Contract Services / Technical
ACCOUNT TOTAL
.101-5006-426.44-01 Rent / Equipment Rental
ACCOUNT TOTAL
101-5006-426.44-07 Rent Uniforms
GM 01048 05/11 AP 07/21/10 0089572 DESERTARC 1,444.51
TCG04598 DEPT SHIRTS
ACCOUNT TOTAL 1,444.51
101-5006-426.51-01 Services & Supplies Travel & Training
GM 02198 10/11 AP 03/26/11 0091490 RIVERSIDE COUNTY SHERIFFS 539.00
42111 RCB CERTIFICATION
ACCOUNT TOTAL 539.00
1,443.40
.00
.00
.00
.00
.00
1,444.51
.00
539.00
PREPARED --7/2014, 10:19:00 GENERAL LEDGER mt-iL'VITY LISTING Pmt7cA157
PROGRAM GM362LA
CITY.OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
---- L ----------------------------------------- ------------------------- -------------------------------------------------------------
101-5006-426.51-02 Services & Supplies / Vehicle Reimbursement*
ACCOUNT TOTAL
101-5006-426.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5006-426.51-04 Services & Supplies Rabies Booster/County Hlt
GM 01161 05/11 AP 11/15/10 0089758 COMMUNITY HEALTH AGENCY
HS000002833 SEP LAB TEST
GM 02784. 12/11 AP 05/31/11 0092186 COMMUNITY HEALTH AGENCY
A0000106" . A.C. RABIES
ACCOUNT TOTAL
101-5006-426.51-07 Services & Supplies
GM 00099 01/11 AP 07/12/10 0088268
100702232101
GM 00391 02/11 AP 08116110 0088714
100802232101
GM 00514 03/11 AP 08/25/10 0088807
JUL'10*
GM 00624 03/11 AP 09/13/10 0089000
100902232101
GM 00846 04/11 AP 10/05/10 0089388
AUG110
GM 01001 05/11 AP 10/20/10 0089562
SEP110
GM 01159 05/11 AP 11/08/10 0089755
101102232101
GM 01246 06111 AP 11/17/10 0089961
467732
GM 01246 06/11 AP 11/22/10 0089951
OCT110.
Gk 01366 06111 AP 12/06/10 0090175
101202232101
GM 01366 06111 AP 12/15/10 0090176
NOV110
GM 01643 -08/11 AP 01/13/11 0090638
DEC110
GM 01643 08/11 AP 01/23/11 0090637
110102232101
GM 01768 08/11 AP 01/31/11 0090826
110102232102
GM 01962 09/11 AP -02/17/11 0090988
JAN'll
Anima 1 Shelter
CHECKMATE TELEPHONE EXCHA
ANSWERING SVC
CHECKMATE TELEPHONE EXCHA
ANSWERING SVC
COMMUNITY HEALTH AGENCY
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
AC ANSWERING SVC
COMMUNITY HEALTH AGENCY
SHELTER SVC
COMMUNITY HEALTH AGENCY
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
A/C ANSWERING SVC
DESERT UNIFORMS
UNIFORM BOOTS
COMMUNITY HEALTH AGENCY
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
ANSWERING SVC
COMMUNITY HEALTH AGENCY
SHELTER SERVICE
COMMUNITY HEALTH AGENCY
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
ANSWERING SVC
CHECKMATE TELEPHONE EXCHA
AC ANSWERING SVC
COMMUNITY HEALTH AGENCY
SHELTER SVC
.00
.00
.00
.00
.00
50.00
50.00
100.00 100.00
171.63
213.-53
6,328.63
171.53
6,381.28
6,352.03
352.86
119.61
6,416.38
170.83
6,410.53
6,387.13
170.83
170.83
6,387.13
.00
PREPARED .—a7/2014, 10:19:00 GENERAL LEDGER mtiiVITY LISTING PAbM1158
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------- ; ------- ; -------------------------------------------------------------------------------------------
FUND.101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5006-426.51-07 Services.& Supplies
GM 01951 09/11 AP 02/28/11 0090986
110202232101
GM 02083 09/11 AP 03/14/11 0091173
FEB'll
GM 02350 10/11 AP 04/12/11 0091612
MAR'll
GM 02248 10/11 AP 04/17/11 0091384
110302232101
GM 02435 ll/11 AP 04/25/11 0091803
110402232101,
GM 02735 12/11 AP 05/24/11 0092186
APR'll
GM 02735 12/11 AP 06/12/11 0092181
110502232101
-GM 02987 12/11 AP 06116111 0092514
MAY'll
GM 02871 12/11 AP 06120111 0092361
110602232101
GM 03024 12/11 AP 07/14/11 0092693
JUN'll
ACCOUNT TOTAL
Animal Shelter
CHECKMATE TELEPHONE EXCHA
170.83
ANSWERING SVC
COMMUNITY HEALTH AGENCY.
6,416.38
AC SHELTER SVC
COMMUNITY HEALTH AGENCY
6,463.18
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
170.83
ANSWERING SVC
CHECKMATE TELEPHONE EXCHA
170.83
ANSWERING SVC
COMMUNITY HEALTH AGENCY
6,334.48
SHELTER SERVICE
CHECKMATE TELEPHONE EXCHA
171.53
MAY-ANSWERING.SVC
COMMUNITY HEALTH AGENCY
6,398.83
SHELTER SVC
CHECKMATE TELEPHONE EXCHA
170.83
AC ANSWERING SVC
COMMUNITY HEALTH AGENCY
6,410.53
SHELTER SVC
101-5006-426.51-09 Services & Supplies / Imported Red Ant Program
ACCOUNT TOTAL
79,083.01
79,083.01
.00
00
101-5006-426.53-01 Services & Supplies / Printing .00
GM 00274 02/11 AP 07/29/10 0088495 PRINTING PLACE, THE 462.-19
101734 IMPOUND FORMS
GM 00367 03/11 AP 08/20/10 0088871 PRINTING PLACE, THE 445.60
101755 CITATION BOOKS
ACCOUNT TOTAL 907.79 907.79
101-5006-426.53-03 Services & Supplies / Membership Dues
GM 01265 06111 AP 11/15/10 0089939 CALIFORNIA ANIMAL CONTROL
1528 AC MEMBERSHIP
GM 01514 07/11 AP 01/07/il 0090349 STATE HUMANE ASSOC OF CAL
2011 MEMBERSHIP/HDBK
ACCOUNT TOTAL
101-5006-426.53-04 Services & Supplies / Subscrip & Publications
.00
150.00
320.00
470.00 * 470.00
.00
ACCOUNT TOTAL .00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __.�VITY LISTIN6 Pwa=L159
PROGRAM GM362LA
..CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ---- TRANSACTION ---- /ENDING
.APP 14UMBER PER. CD . DATE NUMBER D E S C R I P T 1 0 N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------------------------------------
101-5006-426.54-01 Services &-Supplies / Information -Tech Charges
ACCOUNT TOTAL,
101-5006-426.56-01 Services & Supplies / Office Supplies
ACCOUNT TOTAL
101-5006-426.56-02 Services & Supplies / Operating Supplies
ACCOUNT TOTAL
101-5006-426.56-28
Services
& Supplies
Supplies --Field
GM
02077
09/11
AP
03/24/10
0091155
ACE HARDWARE
106555
A/C SUPPLIES
GM
01571
07/11
AP
11/30/10
0090441
ACE HARDWARE
108011
OPERATING SUPPLIES
GM
02403
10/11
AP
04/13/11
0091730
CAPITAL ONE COMMERCIAL
54697
OPERATING SUPPLIES
GM
02558
*11/11
AP
04/13/11
0091959
ACE HARDWARE
108545
OPERATING SUPPLIES
GM
02784
12/11
AP
05/13/11
0092209
GALLS RETAIL
168905 -
OPERATING SUPPLIES
GM
02645
11/11
AP
05/16/11
0092116
WAL MART COMMUNITY
3XOlRWSMHO
FIELD SUPPLIES
GM
02784
12/11
AP
06112111
0092209
GALLS RETAIL
168903
OPERATING SUPPLIES
GM
03020
12/11
AP
06/30/11
0092650
CAPITAL ONE COMMERCIAL
49640
CAMERAS
ACCOUNT TOTAL
101-5006-426.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-5006-426.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-5006-426.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
.00
.00
.00
.00
.00..
.00
.00
11.75
130.37
467.61
9.02
650.17
133.88
437.10
1,204.05
3,043.95 3,043.95
.00
.00
.00
.00
.00
.00
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PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER--.1VITY LISTING P#%wci162
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------------------------------- -------
101-5008-419.20-02
PR
00911
04/11
AJ
PR
01060
05/11
AJ
PR
0J137
05/11
AJ
PR
01249
06/11
AJ
PR
01364
06/11
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783•
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02348
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
PR
02867
12/11
AJ
PR
02947
12/11
AJ
Employee Benefits
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
04/29/11 PR0429
05/13/11 PR0513
05/27/11 PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ PERS-Employee Portion
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
101-5008-419.20-03 Employee Benefits / PERS-Survivor Benefits
101-5008-419.21-01
PR 00007 01/11 AJ
OR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01060 0.5/11 AJ
PR 01137 05/11 AJ
PR 01137 05/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
07/23/10 PR0723
08/06/10 PR0806
08/06/10 PR0806
08/20/10 PR0820
08/20/10 PR0820
09/03/10 PR0903
09/03/10 PR0903
09/17/10 PR0917
09/17/10 PR0917
10/01/10 PR1001
10/01/10 PR1001
10/15/10 PR1015
10/15/10 PR1015
11/12/10 PR1112
11/12/10 PR1112
11/24/10 PR1124
11/24/10 PR1124
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
241.89
241.89
241.89
245.96
250.04
250.04
343.28
341.94
341.94
341.94
341.94
341.94
341.94
341.94
341.94
341.94
341.94
341.94
307.75
8,010.75
873.53
873.53
873.53
873.53
873.53
873.53
873.53
873.53
873.53
873.53
265.38
740.01
37.74
157.40-
8.33
8.33
8.33
8.33
8.33
8.33
8.33
7,745.37
.00
.00
.00
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PREPARED - __7/2014, 10:19:00 GENERAL LEDGER--.-VITY LISTING P„.x..165
PROGRAM GM362LA
CITY OF.LA 9UINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5008-419.21-05
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
01060
05/11
AJ
PR
01137
05/11
AJ
PR
01249
06/11
AJ
PR
01364
06/11
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
PR
02867
12/11
AJ
PR
02947
12/11
AJ
Insurance Benefits
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PRO107
01/21/11 PRO121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PRO304
03/18/11 PRO318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PRO513
05/27/11•PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ Life Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
101-5008-419.21-06 Insurance Benefits / Flexible Compensation
101-5008-419.21-07
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00911 04/11 AJ•
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PRO820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PRO107
/ Long Term Disability
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
6.40
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6.40
6.40
6.40
6.40
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6.40
6.40
6.40
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.90
5.32
152.92
44.79
44.79
27.05
27.05
27.05
27.05
27.05
27.05
27.05
27.05
27.05
27.66
27.66
27.66
5.12
35.83
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rV
TT/90
79£TO
Md
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TT/90.
67ZT0
Md
rV
TT/SO
L£TTO
Md
rV
TT/SO
090TO
lid'
rV
ii/70
TT600
Md
rV
TT/70
72800
Md
rV
Ti/70
59900
Md
rV
ii/£0
76500
Md
rV
TT/90
S£700
Md
rV
TT/ZO
Z7200
Md
rV
TT/ZO
96TOO
Md
rV
TT/TO
OOT00
Md
rV
TT/TO
L0000
Md
rV
TT/TO
L0000
Md
£0-LZ'6T7-80OS-T0T
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-------------------------------------------------------------------------------------------------------------------------------------
VINMOdIIVO `V1NInb VI d0 AlIO
VIZ9£WS WV119011d
L9i---'Fd 9NIISII AIIA-'--' M39031 IVM3N39 00:61:01 `7TOZ/L 03MVd3Md
PREPARED
_-7/2014,
10:19:00
GENERAL LEDGER .__._VITY
LISTING
Pj.___168
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------=-------------=--------------------------------------
FUND 101
General
Fund
BEGINNING-
EGINNING-GROUP
GROUPACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER PER.
•------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101,-5008-419.32-16
Contract Services / Reimburse FA Auditor
.00
•ACCOUNT TOTAL
.00
101-5008-419.34=04
Contract Services / Technical
.00
GM
00275
02/11
AP
06/28/10 0088506
SIMPLEXGRINNELL LP
1,557.00
73680175
FIRE ALARM MAINT
GM
00275
02/11
AP
06/28/10 0088506
SIMPLEXGRINNELL LP
854.00
736680208
FIRE ALARM MAINT
GM
00275
02/11
AP
07/20/10 0088508
SOUND IMAGE INC
1,083.14
505601 -IN
DIGITAL RECORDING
GM
00286
02/11
AP
08/02/10 0088692
SIMPLEXGRINNELL LP
4,595.00
73753085
FIRE ALARM MAINT
GM
00490
03/11
"AP
08/25/10 0088890
SOUND IMAGE INC
649.83
505676 -IN
RECORDING EQUIP
GM
00490
03/11
AP
09/01/10 0088898
THYSSENKRUPP ELEVATOR COR
649.19
1117058100
SEP-NOV ELEVATOR MAINT
GM
00624
03/11
AP
09/01/10 0089087
SOUTH COAST AIR QUALITY M
109.00
2240302
GENERATOR PERMIT
GM
00624
03/11
AP
09/07/10 0089087
SOUTH COAST AIR QUALITY M
293.21
2239040
GENERATOR PERMIT
GM
01265
06/11
AP
12/01/10 0090065
THYSSENKRUPP ELEVATOR COR
649.19
1117061436
DEC -FEB MAINT
GM
01564
07/11
AP
12/13/10 0090533
SOUND IMAGE INC
700.05
505908 -IN
RECORDING EQUIP
GM
01962.
09/11
AP
03/01/11 0091051
THYSSENKRUPP ELEVATOR COR
685.61
1117064.760
MAR -MAY MAINT
GM
02784
12/11
AP
05/12/11 0092277
SOUND IMAGE INC
1,589.61
506179IN
RECORDING SYS
GM
02735
12/11
AP
05/19/11 0092280
STATE OF CALIFORNIA DEPAR
225.00
G036734SB
CIVIC CENTER
GM
02987
12/11
AP
06/01/11 0092573
THYSSENKRUPP ELEVATOR COR
228.54
1117069797
JUN -ELEVATOR MAINT
GM
02987
12/11
AP
06/09/11 0092569
SOUTH COAST AIR QUALITY M
112.31
2357509
AQMD FEE JUL-JUN-11
GM
02987
12/11
AP
06/16/11 0092567
SIMPLEXGRINNELL LP
453.00
66705110
ELEVATOR FIRE INSP
GM
02870
12/11
AP
06/21/11 0092426
CASH/PETTY CASH
9.49
06212011
PETTY CASH
GM
02987
12/11
AP
06/21/11 0092573
THYSSENKRUPP ELEVATOR COR
140.00
1117069663
YRLY SAFTEY TEST
ACCOUNT TOTAL
14,583.17
14,583.17
101-5008-419.41-01
Utilities / Electric
.00
GM
00189
01/11
AP
07/21/10 0088374
IMPERIAL IRRIGATION DIST
12,301.01
50014539
CIVIC CTR ELECTRIC
GM
00439
03/11
AP
08/19/10 0088741
IMPERIAL IRRIGATION DIST
13,520.54
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER ..._.-VITY
LISTING
P____169
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------------------
NUMBER
PER. •CD
DATE NUMBER D
--------------------------------------------
E S C R I P T I O N
DEBITS CREDITS
-------------------- -----------------
BALANCE
-------------
•101-5008-419.41-01
Utilities / Electric
50014539
ELECTRIC SVC
GM
00713
03/11
AP
09/20/10 0089111
IMPERIAL IRRIGATION DIST
13,215.66
50014539
ELECTRIC SVC
GM
00931
04/11
AP
10/19/10 0089500
IMPERIAL IRRIGATION DIST
11,691.25
50014539
ELECTRIC SVC
GM
01210
06/11
AP
11/17/10 0089875
IMPERIAL IRRIGATION DIST
8,540.80
50014539
CIVIC CTR
GM
01420
07/11
AP
12/20/10 0090258
IMPERIAL IRRIGATION DIST
8,947.31
50014539
CIVIC CTR ELECTRIC SVC
GM
01692
'08/11
AP
01/23/11 0090601
IMPERIAL IRRIGATION DIST
91252.20
50014539
CIVIC CTR -ELECTRIC SVC
GM
01909
09/11
AP
02/21/11 0090949
IMPERIAL IRRIGATION DIST
7,884.57
50014539
CC ELECTRIC SVC
GM
02177
10/11
AP
03/22/11 0091315
IMPERIAL IRRIGATION DIST
9,206.45
50014539
PUBLIC BLDG ELECTRIC
GM
02403
10/11
AP
04/20/11 0091731
IMPERIAL IRRIGATION DIST
91003.08
50014539
PUBLIC BLDG
GM
02702
12/11
AP
05/19/11 0092124
IMPERIAL IRRIGATION DIST
9,765.70
50014539
CITY HALL -ELECTRIC
GM
03010
12/11
AP
06/20/11 0092616
IMPERIAL IRRIGATION DIST
10,731.70
50014539
ELECTRIC -PUBLIC BLDG
ACCOUNT TOTAL
124,060.27
124,060.27
101-5008-419.41-13
Utilities / Gas
.00
GM
00189
01/11
AP
07/26/10 0088370
GAS COMPANY, THE
345.86
2692565001
CIVIC CTR GAS
GM
00439
03/11
AP
08/24/10 0088736
GAS COMPANY, THE
264.68
2692565001
GAS SVC
GM
00713
03/11
AP
09/24/10 0089110
GAS COMPANY, THE
133.75
•
2692565001
GAS SVC
GM_
00931
04/11
AP
10/25/10 0089495
GAS COMPANY, THE
173.72
2692565001
PUBLIC BLDG GAS
GM
01210
06/11
AP
11/23/10 0089872
GAS COMPANY, THE
378.81
2692565001
GAS SVC 10/21-11/19
GM
01420
07/11
AP
12/27/10 0090256
GAS COMPANY, THE
879.17
2692565001
CITY HALL 11/19-12/21
GM
01692
08/11
AP
01/26/11 0090598
GAS COMPANY, THE
11081.51
2692565001
GAS SVC
GM
01909
09/11 •AP
02/25/11 0090947
GAS COMPANY, THE
820.74
2692565001
GAS 1/24-2/23
GM
02177
10/11
AP
03/25/11 0091308
GAS COMPANY, THE
597.56
2692565001
PUBLIC BLDG GAS
GM
02403
10/11
AP
04/25/11 0091727
GAS COMPANY, THE
432.46
2692565001
GAS -CITY HALL
GM
02702
12/11
AP
05/24/11 0092121
GAS COMPANY, THE
296.90
2692565001
CITY HALL GAS SVC
GM
02948
12/11
AP
06/23/11 0092481
GAS COMPANY, THE _
227.36
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER--.:VITY LISTING P_-170
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------- ;
Utilities / Gas
02692565001 CITY HALL GAS
ACCOUNT TOTAL
5,632.52
5,632.52
101-5008-419.41-16
Utilities
/ Water
.00
GM
00346
02/11
AP
08/18/10
0088560
COACHELLA VALLEY WATER
DI
110.56
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/31/10
0088734
COACHELLA VALLEY WATER
DI
112.62
VARIOUS
WATER SVC
GM
00713
03/11
AP
09/27/10
0089108
COACHELLA VALLEY WATER
DI
117.25
VARIOUS
WATER SVC
GM
01081
05/11
AP
11/04/10
0089675
COACHELLA VALLEY WATER
DI
119.60
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/30/10
0089871
COACHELLA VALLEY WATER
DI
117.25
VARIOUS
WATER SVC
GM
01547
07/11
AP
01/10/11
0090372
COACHELLA VALLEY WATER
DI
112.30
VARIOUS
WATER SVC
GM
01692
08/11
AP
02/01/11
0090592
COACHELLA VALLEY WATER
DI
121.95
VARIOUS
WATER SVC
GM
01909
09/11
AP
02/28/11
0090943
COACHELLA VALLEY WATER
DI
114.54
VARIOUS
WATER SVC
GM
02127
09/11
AP
03/11/11
0091277
COACHELLA VALLEY WATER
DI
117.25
315199847726
WATER SVC
GM
02306
10/11
AP
04/20/11
0091566
COACHELLA VALLEY WATER
DI
129.00
VARIOUS
WATER SVC
GM
02645
11/11
AP
05/12/11
0092079
COACHELLA VALLEY WATER
DI
126.65
315199847726
WATER SVC
GM
03010
12/11
AP
06/17/11
0092609
COACHELLA VALLEY WATER
DI
136.05
315199847726
WATER SVC
ACCOUNT
TOTAL
1,435.02
1,435.02
101-5008-419.41-30
Utilities
/ Security
& Alarm System
.00
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
214.20
26491777
JUL-PUBLIC BLDG
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
216.00
26491785
JUL-SEP/PUBLIC BLDG
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
530.68
26491776
JUL-SEP/ALARM SYS
GM
00023
01/11
AP
07/01/10
0088096
MAXWELL SECURITY SERVICES
150.00
1007096
JUL-SECURITY
GM
00099
01/11
AP
07/20/10
0088322
MAXWELL SECURITY SERVICES
150.00
1008096
AUG -SECURITY
GM
00514
03/11
AP
09/01/10
0088852
MAXWELL SECURITY SERVICES
150.00
1009096
SEP -SECURITY
GM
00605
03/11
AP
09/04/10
0088919
ADT SECURITY SERVICES
216.00
'
32100912
OCT -DEC PUBLIC BLDG
PREPARED
-..-7/20140' 10:19:00
GENERAL LEDGER _VITY
LISTING
Pmwc,171
PROGRAM
GM362LA
CITY OF LA QUINTA,
---------------------------------------------
CALIFORNIA
=
FUND 101
General
Fund
--------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---
NUMBER PER.
---- --- ---------------
CD
DATE
---------------
NUMBER D E
---------
S C R I P T I O N
-------------- ------- --------
DEBITS CREDITS
---- --------- ------- --------- ---- ----------------------
BALANCE
101-5008-419.41-30
Utilities
/ Security &
Alarm System
GM
00627
03/11
AP
09/04/10
0088954
ADT SECURITY SERVICES
214.20.
32100903
OCT -DEC SECURITY
GM
00627
03/11
AP
09/04/10
0088954
ADT SECURITY SERVICES
530.68
32100902
OCT -DEC SECURITY
GM
00702
03/11
AP
09/23/10
0089052
MAXWELL SECURITY SERVICES
150.00
1010096
OCT -SECURITY
GM
01046
05/11
AP
11/01/10
0089609
MAXWELL SECURITY SERVICES
150.00
1011096
NOV-SECURITY PATROL
GM
01096
05/11
AP
11/16/10
0089813
MAXWELL SECURITY SERVICES
150.00
1012096
DEC -SECURITY
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
216.00
37748358
JAN -MAR PUBLIC BLDG
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
214.20
37748349
JAN -MAR PUBLIC BLDG
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
565.71
37748348
JAN -MAR PUBLIC BLDG
GM
01478
07/11
AP
01/01/11
0090316
MAXWELL SECURITY SERVICES
150.00
1101096
JAN -SECURITY
GM
01704
08/11
AP
02/01/11
0090687
MAXWELL SECURITY SERVICES
150.00
1102096
FEB -SECURITY
GM
02077
09/11
AP
03/01/11
0091218
MAXWELL SECURITY SERVICES
150.00
1103096
MAR -SECURITY
GM
02077
09/11
AP
03/04/11
0091218
MAXWELL SECURITY SERVICES
150.00
1104096
APR -SECURITY
GM
02127
09/11
AP
03/05/11
0091275
ADT SECURITY SERVICES
219.83
43458207
APR -JUN PUBLIC BLDG
GM
02127
09/11
AP
03/05/11
0091275
ADT SECURITY SERVICES
216.00
43458216
APR -JUN PUBLIC BLDG
GM
02127
09/11
AP
03/05/11
0091275
ADT SECURITY SERVICES
565.71
43458206
APR -JUN PUBLIC BLDG
GM
02561
11/11
AP
05/10/11
0092028
MAXWELL SECURITY SERVICES
150..00
1105083
MAY -SECURITY SVC
GM
02628
11/11
AP
05/18/11
0092028
MAXWELL SECURITY SERVICES
150.00
1106083
JUN -SECURITY
•
ACCOUNT
TOTAL
5,719.21
5,719.21
101-5008-419.42-15
Maintenance
Services /
Janitorial
.00
GM
00023
01/11
AP
07/01/10
0088004
ADVANCED INC
41550.00
13415•
JUL-JANITORIAL SVC
GM
00274
02/11
AP
08/01/10
0088448
ADVANCED INC
4,571.65
13462
JUL-JANITORIAL SVC
GM
00274
02/11
AP
08/03/10
0088448
ADVANCED INC
281.40
13459
JANITORIAL SVC
GM
00490
03/11
AP
09/01/10
0088779
ADVANCED INC
4,571.65
13487
JANITORIAL
GM
00823
04/11
AP
10/01/10
0089152
ADVANCED INC
4,571.65
13524
JANITORIAL SVC
PREPARED
_-7/2014,
10:19:00
GENERAL LEDGER
.._._VITY LISTING
P4..___172
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------'---------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE '
101-5008-419.42-15
Maintenance Services /
Janitorial
GM
01046
05/11
AP
11/01/10 0089541
ADVANCED INC
4,571.65
13559
JANITORIAL SVC
GM
01272
06/11
AP
12/01/10 0089926
ADVANCED INC
4,571.65
13594
JANITORIAL SVC
GM
01478
07/11
AP
O1/01/11 0090275
ADVANCED INC
4,571.65
13626
JANITORIAL SVC
GM
01704
08/11
AP
02/01/11 0090618
ADVANCED INC
4,571.65
13652
JANITORIAL SVC
GM
01962
09/11
AP
03/01/11 0090968
ADVANCED INC
4,571.65
13680
JANITORIAL SVC
GM
02198
10/11
AP
04/01/.11 0091360
ADVANCED INC
4,571.65
13710
JANITORIAL•SVC
GM
02435.
11/11
AP
05/01/11 0091785
ADVANCED INC
4,571.65
13735
JANITORIAL
GM
02728
12/11
AP
06/01/11 0092165
ADVANCED.INC
4,571.65
13771
JUN-JANITORIAL SVC
ACCOUNT'TOTAL
55,119.55
55,119.55
101-5008-419.42-20
Maintenance Services /
Pest Control
.00
GM
00023
01/11
AP
06/22/10 0088162
TRULY NOLEN INC
503.50
PW YARD
TRI WIDE TRAILER
GM
00259
02/11
AP
07/02/10 0088515
TRULY NOLEN INC
65.00
66926540
PUBLIC BLDG PST CNTRL
GM
00860
04/11
AP
07/20/10 0089475
TRULY NOLEN INC
512.00
660001652
PEST CONTROL
GM
00860
04/11
AP
08/04/10 0089475
TRULY NOLEN INC
312.50
660002051
PEST CONTROL
GM
00860
04/11
AP
08/05/10 0089475
TRULY NOLEN INC
65.00
660001181
PEST CONTROL
GM
00860
04/11
AP
09/03/10 0089475
TRULY NOLEN INC
65.00
660003185
PEST CONTROL
GM
00860
04/11
AP
10/06/10 0089475
TRULY NOLEN INC
65.00
660005208
PEST CONTROL
GM
01181
06/11
AP
11/05/10 0090069
TRULY NOLEN INC
65.00
660007208
PUBLIC BLDG PST CNTRL
GM
01560
07/11
AP
12/01/10 0090542
TRULY NOLEN INC
40.00
660008989
OLD ST#32 PST CNTRL
GM
01560
07/11
AP
12/03/10 0090542
TRULY NOLEN INC
65.00
660009204
PUBLIC BLDGS
GM
01603
07/11
AP
01/05/11 0090542
TRULY NOLEN INC
40.00
660010900
OLD ST# 32
GM
01643
08/11
AP
01/07/11 0090721
TRULY NOLEN INC
65.00
660011146
PUBLIC BLDGS
GM
01878
09/11
AP
02/04/11 0091053
TRULY NOLEN INC
65.00
660012966
PUBLIC BLDG
GM
02045
09/11
AP
03/01/11 0091263
TRULY NOLEN INC
40.00
660014570
ST#32 PEST CNTRL
PREPARED __7/2014, 10:19:00
GENERAL LEDGER .._.:VITY
•LISTING
Pra« 173
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General
Fund
BEGINNING
CROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------
CD
DATE. NUMBER
--------------------------------------------------------------------------------------------------------
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
----
101-5008-419.42-20
Maintenance Services
/ Pest Control
GM 02045 09/11
AP
03/02/11 0091263
TRULY NOLEN INC
65.00
.660014764
PEST CONTROL
GM 02424 11/11
AP
04/01/11 0091875
TRULY NOLEN INC
65.00
660016547
CITY HALL -PST CNTRL
GM 02424 11/11
AP
04/01/11 0091875
TRULY NOLEN INC
40.00,
660016317
OLD ST#32-PST CNTRL
GM 02616 11/11
AP
05/06/11 0092061
TRULY NOLEN INC
65.00
660018434
PUBLIC BLDG
GM 02955 12/11
AP
06/02/11 0092576
TRULY NOLEN INC
65.00
660020357
PEST CONTROL
ACCOUNT TOTAL
2,268.00
2,268.00
101-5008-419.43-25
Other Maintenance /
Uninterrupted Power
.00
GM 00023 01/11
AP
06/18/10 0088031
COMPUTER PROTECTION TECHN
31895.00
14742PMA
UPS RENEWL PB/MUSEUM
GM 01096 05/11
AP
11/04/10 0089800
JOHNSON POWER SYSTEMS
408.67
SWO30101636
GENERATOR MAINT
GM 01096 05/11
AP
11/08/10 0089800
JOHNSON POWER SYSTEMS
470.86
SWO30101689
GENERATOR R&M
GM 01703 08/11
AP
01/31/11 0090639
COMPUTER PROTECTION TECHN
1,725.47
15701 -CPT
PUBLIC BLDG
GM 02694 12/11
AP
05/19/11 0092221
JOHNSON POWER SYSTEMS
170.00
SWO30105170
PUBLIC BLD GEN MAINT
GM 02694 12/11
AP
05/19/11 0092221
JOHNSON POWER SYSTEMS
170.72
SWO30105169
PUBLIC BLD GEN MAINT
G.M 03021 12/11
AP
06/29/11 0092694
COMPUTER PROTECTION TECHN
31895.00
15803 -PMA
PREVENTATIVE MAINT
ACCOUNT TOTAL
10,735.72
10,735.72
101-5008-419.43-31
Other Maintenance /
Fire Extinguishers
.00
GM 02784 12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
17.80
202393
FIRE EXTINGUISHER
GM 02784 12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
371.06
202390
FIRE EXTINGUISHER
•
ACCOUNT TOTAL
388.86
388.86
101-5008-419.43-59
Other Maintenance /
Sports Complex
.00
ACCOUNT TOTAL
.00
101-5008-419.43-64
Other Maintenance /
Museum
.00
ACCOUNT TOTAL
.00
PREPARED
7/2014, 10:19:00
Maint & Repair -Other Equi
GENERAL
LEDGER ..-.-;VITY
LISTING
P --- .174
PROGRAM
GM362LA
VALLEY PLUMBING
186296
CIVIC CTR R&M
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
AP
06/08/10
0088829
'HOARD INC, HUGH
FUND 10.1
General
Fund
A/C MAINT/REPAIR
GM
00319
02/11
BEGINNING
GROUP
ACCTG
----TRANSACTION----
58109
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I
O N
DEBITS CREDITS
BALANCE
101-5008-419.43-81
58107
Other Maintenance
GENERAL R&M
/ Fountains
00275
02/11
AP
.00
GM 00099
01/11
AP
07/01/10
0088338
PRISTINE
POOLS
SERVICE &
214.00
00105
01/11
AP
07/15/10
32466
PALMS TO PINES CANVAS
JUL-CITY
HALL
FOUNTAIN
7065
GM 00286
02/11
AP
08/01/10
0088678
PRISTINE
POOLS
SERVICE &
214.00
32626
AUG-CALLE
TAMPICO
00189
01/11
AP
GM 01161
05/11
AP
11/01/10
0089827
PRISTINE
POOLS
SERVICE &
107.00
A/C INSTALL
GM
00275
02/11
33938
07/21/10
NOV-CITY
HALL
FOUNTAINS
GM 01262
06/11
AP
12/01/10
0090032
PRISTINE
POOLS
SERVICE &
107.00
0088466
COCKRELL ELECTRIC INC
34381
DEC -CITY
HALL
PUBLIC BLDG R&M
GM
00299
GM 01603
07/11
AP
01/01/11
0090521
PRISTINE
POOLS
SERVICE &
107.00
925174
PUBLIC BLDG R&M
GM
34935
01/11
CITY HALL
FOUNTAINS
0088360
BUDGET -AIR HEATING & AIR
GM 01802
08/11
AP
02/01/11
0090886
PRISTINE•POOLS
SERVICE &
107.00
35184
FEB -CITY
HALL
FOUNTAINS
GM 02077
09/11
AP
03/01/11
0091235
PRISTINE
POOLS
SERVICE &
107.00
35574
MAR -CITY
HALL
GM 02350
10/11
AP
04/01/11
0091681
PRISTINE
POOLS
SERVICE &
107.00
35963
APR -CITY
HALL
GM 02616
11/11
AP
05/01/11
0092041
PRISTINE
POOLS
SERVICE &
107.00
36359
MAY -CITY
HALL
FOUNTAINS
GM•02863
12/11
AP
06/01/11
0092399
PRISTINE
POOLS
SERVICE &
107.00
36765
JUN -CITY
HALL
ACCOUNT TOTAL
•101-5008-419.43-88
Other Maintenance /
Maint & Repair -Other Equi
GM
00914
04/11
AP
07/09/08
0089477
VALLEY PLUMBING
186296
CIVIC CTR R&M
GM
00490
03/11
AP
06/08/10
0088829
'HOARD INC, HUGH
58445
A/C MAINT/REPAIR
GM
00319
02/11
AP
07/01/10
0088641
HOARD INC, HUGH
58109
GENERAL R&M
GM
00319
02/11
AP
07/01/10
0088641
HOARD INC, HUGH
58107
GENERAL R&M
GM
00275
02/11
AP
07/•12/10
0088473
GRAINGER
9296582274
MATERIAL SAFETY SHEETS
GM
00105
01/11
AP
07/15/10
0088233
PALMS TO PINES CANVAS
7065
ROMAN SHADE
GM
00259
02/11
AP
07/16/10
0088476
HOARD INC, HUGH
58761
CITY HALL A/C MAINT
GM
00189
01/11
AP
07/21/10
0088360
BUDGET -AIR HEATING & AIR
606
A/C INSTALL
GM
00275
02/11
AP
07/21/10
0088506
SIMPLEXGRINNELL LP
65749063
GENERAL R&M
GM
00275
02/11
AP
07/22/10
0088466
COCKRELL ELECTRIC INC
32018
PUBLIC BLDG R&M
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
925174
PUBLIC BLDG R&M
GM
00189
01/11
AP
07/26/10
0088360
BUDGET -AIR HEATING & AIR
610
A/C FREON
1,284.00
31.14
689.50
1,440.69
854.95
255.78
1,903.00
344.75
546.00
825.03
194.50
3.24
165.00
1,284.00
.00
PREPARED -.,17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING F- 720
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------- --- --- ----------- --------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
01203
05/11
CR
11/23/10
0006825
VSI Rcpt#:
000048700
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006826
VSI Rcpt#:
000048700
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006827
VSI Rcpt#:
000048699
•
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006828
VSI Rcpt#:
000048699
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006829
VSI Rcpt#:
000048698
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006810
VSI Rcpt#:
000048708
RECTRAC
11/23/10
99
CR
01209
05/11
CR
11/24/10
0006907
VSI Rcpt#:
000048744
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006908
VSI Rcpt#:
000048753
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006909
VSI Rcpt#:
000048736
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006910
VSI Rcpt#:
000048728
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006911
VSI Rcpt#:
000048721
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006912
VSI Rcpt#:
000048721
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006913
VSI Rcpt#:
000048722
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006914
VSI Rcpt#:
000048723
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006915
VSI Rcpt#:
0'00048724
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006916
VSI Rcpt#:
000048725
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006917
VSI Rcpt#:
000048728
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006918
VSI Rcpt#:
000048743
•
RECTRAC
11/24/10
99
CR
01242
05/11
CR
11/26/10
0007450
VSI Rcpt#:
000048100
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007451
VSI Rcpt#:
000048388
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007452
VSI Rcpt#:
000048612
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007453
VSI Rcpt#:
000048100
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007454
VSI Rcpt#:.000048163
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007455
VSI Rcpt#:
000048489
RECTRAC
11/26/10
99
CR
01242
05/11
CR
11/26/10
0007456
VSI Rcpt#:
000048651
27.00
35.00
35.00
27.00
10.00
24.00
28.00
70.00
4.00
35.00
25.00
10.00
25.00
7.00
24.00
24.00
25.00
8.00
16.00
16.00
60.00
35.00
35.00
35.00
16.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER--.iVITY LISTING
Fm." 721
PROGRAM
GM362LA
CITY.OF LA
QUINTA, CALIFORNIA
-------------------------'-----------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------
PER.
CD
DATE
NUMBER D E
:
S C R I P
T I O N DEBITS
CREDITS
BALANCE
Charges
for Services /
Sr Ctr Leisure
Enrichmt
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007457
VSI Rcpt#:
000048345
20.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007458
VSI Rcpt#:
000048356
28.00
RECTRAC
•11/26/10 99
CR
01242
05/11
CR
11/26/10
0007459
VSI Rcpt#:
000048174
32.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007460
VSI Rcpt#:
000048304
35.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007461
VSI Rcpt#:
000048388
16.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007462
VSI Rcpt#:
000048196
16.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007463
VSI Rcpt#:
000048163
35.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007464
VSI Rcpt#:
000048356
28.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007465
VSI Rcpt#:
000048201
35.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10.
0007466
VSI Rcpt#:
000048612
60.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007467
VSI Rcpt#:
000048478
60.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007468
VSI Rcpt#:
000048238
16.00
RECTRAC
11/26/10 99 .
CR
01242
05/11
CR
11/26/10
0007469
VSI Rcpt#:
000048247
20.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007470
VSI Rcpt#:
000048626
28.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007471
VSI Rcpt#:
000048651
10.00
RECTRAC
11/26/10 99
CR
01222
05/11
CR
11/29/10
0007042
VSI Rcpt#:
000048813
14.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007043
VSI Rcpt#:
000048779
16.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007044
VSI Rcpt#:
000048780
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007045
VSI Rcpt#:
000048781
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007046
VSI Rcpt#:
000048782
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR•11/29/10
0007047
VSI Rcpt#:
000048783
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007048
VSI Rcpt#:
000048787
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007049
VSI Rcpt#:
000048788
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007050
VSI Rcpt#:
000048791
4.00
RECTRAC
11/29/10 99
PREPARED
..17/2014,
10:19:00
GENERAL LEDGER--.IVITY LISTING
F— 722
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND.101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges for
Services
/ Sr Ctr Leisure
Enrichmt
CR
01222
05/11
CR
11/29/10
0007051
VSI Rcpt#:
000048791
7.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007052
VSI Rcpt#:
000048793
7.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007053
VSI Rcpt#:
000048800
35.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007054
VSI Rcpt#:
000048806
10.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007055
VSI Rcpt#:
000048815
22.50
•
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007056
VSI Rcpt#:
000048812
27.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
00070.57
VSI Rcpt#:
000048801
35.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007058
VSI Rcpt#:
000048807
69.00
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007059
VSI Rcpt#:
000048778
25.00
RECTRAC
11/29/10 99
CR
01224
05/11
CR
11/30/10
0007119
QARNI, FATIMA
84.00
KBLONDELL
11/30/10 01
CR
01229
05/11
CR
11/30/10
0007143
VSI Rcpt#:
000048846
8.00
RECTRAC
11/30/10 99
CR
01229
05/11
CR
11/30/10
0007144
VSI Rcpt#:
000048843
8.00
RECTRAC
11/30/10 99
CR
01229
05/11
CR
11/30/10
0007145
VSI Rcpt#:
000048844
10.00
RECTRAC
11/30/10 99
CR
01229
05/11
CR
11/30/10
0007146
VSI Rcpt#:
000048845
8.00
RECTRAC
11/30/10 99
CR
01229
05/11
CR
11/30/10
0007147
VSI Rcpt#:
000048847
8.00
RECTRAC
11/30/10 99
CR
01236
06/11
CR
12/01/10
0007207
VSI Rcpt#:
000048872
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007208
VSI Rcpt#:
000048866
8.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007209
VSI Rcpt#:
000048867
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007210
VSI Rcpt#:
000048873
35.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007211
VSI Rcpt#:
000048871
12.00
RECTRAC
12/01/,10 99
CR
01236
06/11
CR
12/01/10
0007212
VSI Rcpt#:
000048871
25.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007213
VSI Rcpt#:
000048877
16.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007214
VSI Rcpt#:
000048863
63.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007215
VSI Rcpt#:
000048878
10.00
RECTRAC
12/01/10 99
CR
01236
06111
CR
12/01/10
0007216
VSI Rcpt#:•000048870
10.00
PREPARED
-..17/2014,
10:19:00
GENERAL LEDGER—_.IVITY LISTING
F--- 723
PROGRAM
GM362LA
'
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------
FUND 101
General
Fund
--------------------------------------------------------------
----------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges for
Services /
Sr Ctr Leisure
Enrichmt
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007217
VSI Rcpt#:
000048870
16.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007218
VSI Rcpt#:
000048870
16.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007219
VSI Rcpt#:
000048865
8.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007220
VSI Rcpt#:
000048869
8.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007221
VSI Rcpt#:
000048879
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007222
VSI Rcpt#:
000048881
25.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007223
VSI Rcpt#:
000048878
25.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007224
VSI Rcpt#:
000048875
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007225
VSI Rcpt#:
000048874
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007226
VSI Rcpt#:
000048876
10.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007227
VSI Rcpt#:
000048879
25.00
RECTRAC
12/01/10 99
CR
01236
06/11
CR
12/01/10
0007228
VSI Rcpt#:
000048880
25.00
RECTRAC
12/01/10 99
CR
01537
06/11
CR
12/01/10
0009370
VSI Rcpt#:
000049155
28.00
'
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009371
VSI Rcpt#:
000049256
35.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009372
VSI Rcpt#:
000049213
2.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009373
VSI Rcpt#:
000049213
2.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009374
VSI Rcpt#:
000049178
20.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009375
VSI Rcpt#:000049167
28.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009376
VSI Rcpt#:
000049213
2.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009377
VSI Rcpt#:
000049149
60.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009378
VSI Rcpt#:
000048785
24.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009379
VSI Rcpt#:
000048809
10.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009380
VSI Rcpt#:
000048809
16.00
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009381
VSI Rcpt#:
000049029
12.00
RECTRAC .
12/01/10 97
PREPARED -.,17/2014, 10:19:00 GENERAL LEDGER ..._.IVITY LISTING F --- 724
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------ ------------------- —mm ------- ------ -- -------------- - ---------- --
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
01537
06/11
CR
12/01/10
0009382
VSI Rcpt#:
000048797
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009383
VSI Rcpt#:
000048994
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009384
VSI Rcpt#:
000048994
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009385
VSI Rcpt#:
000048850
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009386
VSI Rcpt#:
000048909
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009387
VSI Rcpt#:
000048909
RECTRAC
12/01/10 97
CR
01537
06/11
CR
12/01/10
0009388
VSI Rcpt#:
000048849
RECTRAC
12/01/10 97
GM
01272
06/11
AP
12/01/10
0089969
FINCH, WINTER
48856
REFUND
CR
01278
06/11
CR
12/02/10
0007320
VSI Rcpt#:
000048884
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007321
VSI Rcpt#:
000048887
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007322
VSI Rcpt#:
000048899
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007323
VSI Rcpt#:
000048902
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007324
VSI Rcpt#:
000048899
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007325
VSI Rcpt#:
000048902
RECTRAC
12/02/10 99
CR
01283
06/11
CR
12/03/10
0007392
VSI Rcpt#:
000048932
RECTRAC
12/03/10 99
CR
01283
06/11
CR
12/03/10
0007394
VSI Rcpt#:
000048919
RECTRAC
12/03/10 99
CR
01283,
06/11
CR
12/03/10
0007395
VSI Rcpt#:
000048919
RECTRAC
12/03/10 99
CR
01283
06/11
CR
12/03/10
0007396
VSI Rcpt#:
000048918
RECTRAC
12/03/10 99
CR
01291
06/11
CR
12/06/10
0007527
VSI Rcpt#:
000048943
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007528
VSI Rcpt#:
000048948
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007529
VSI Rcpt#:
000048950
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007530
VSI Rcpt#:
000048949
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007531
VSI Rcpt#:
000048941
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007532
VSI Rcpt#:
000048939
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007533
VSI Rcpt#:
000048938
43.00
35.00
60.00
60.00
25.00
28.00
28.00
25.00
60.00
17.00
60.00
12.00
60.00
25.00
57.00
16.00
35.00
10.00
60.00
14.00
66.00
28.50
6.00
10.00
10.00
PREPARED' -..-7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING P..__ 725
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE • NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
7.00
10.00
8.00
8.00
8.00
8.00
8.00
24.00
105.00
10.00
8.00
28.00
4.00
28.00
60.00
48.00
6.00
69.00
16.00
35.00
16.00
8.00
21.50
8.00
•
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007534
VSI Rcpt#:
000048940
RECTRAC
12/06/10 99
CR
01298
06/11
CR
12/07/10
0007662
VSI Rcpt#:
000048990
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007663
VSI Rcpt#:
000048988
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007664
VSI Rcpt#:
000048989
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007665
VSI Rcpt#:
000048985
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007666
VSI Rcpt#:
000048984
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007667
VSI Rcpt#:
000048972
RECTRAC
12/07/10 99
CR
01305
06/11
CR
12/08/10
0007744
VSI Rcpt#:
000049003
RECTRAC
12/08/10 99
CR
01305
.06/11
CR
12/08/10
0007745
VSI Rcpt#:
000049004
RECTRAC
12/08/10 99
CR
01305
06/11
CR
12/08/10
0007746
VSI Rcpt#:
000049010
RECTRAC
12/08/10 99
CR
01305
06/11
CR
12/08/10
0007747
VSI Rcpt#:
000049010
RECTRAC
12/08/10 99
CR
01305
06/11
CR
12/08/10
0007748
VSI Rcpt#:
000049011
RECTRAC
12/08/10 99
CR
01312
06/11
CR
12/09/10
0007818
VSI Rcpt#:
000049017
RECTRAC
12/09/10 98
CR
01312
06/11
CR
12/09/10
0007819
VSI Rcpt#:
000049026
RECTRAC
12/09/10 98
GM
01366
06/11
AP
12/09/10
0090224
SMITH, BRAD
•
49016
REFUND
CR
01319
06/11
CR
12/10/10
0007859
VSI Rcpt#:
000049035
RECTRAC
12/10/10 99
CR
01326
06/11
CR
12/13/10
0007917
VSI Rcpt#:
000049050
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007918
VSI Rcpt#:
000049049
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007919
VSI Rcpt#:
000049052
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007920
VSI Rcpt#:
000049051
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007921
VSI Rcpt#:
000049051
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007922
VSI Rcpt#:
000049053
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007923
VSI Rcpt#:
000049054
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007924
VSI Rcpt#:
000049056
RECTRAC
12/13/10 99�
7.00
10.00
8.00
8.00
8.00
8.00
8.00
24.00
105.00
10.00
8.00
28.00
4.00
28.00
60.00
48.00
6.00
69.00
16.00
35.00
16.00
8.00
21.50
8.00
PREPARED -..17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING F„wm 726
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------------------- :
Charges for Services / Sr Ctr Leisure Enrichmt
CR
01326
06/11
CR
12/13/10
0007925
VSI Rcpt#:
000049055
RECTRAC
12/13/10 99
CR
01326
06/11
CR
12/13/10
0007926
VSI Rcpt#:
000049062
RECTRAC
12/13/10 99
CR
01338
06/11
CR
12/14/10
0008015
VSI Rcpt#:
000049064
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008016
VSI Rcpt#:
000049065
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008017
VSI Rcpt#:
000049068
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008018
VSI Rcpt#:
000049067
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008019
VSI Rcpt#:
000049067
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008020
VSI Rcpt#:
000049069 -
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008021
VSI Rcpt#:
000049070
'
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008022
VSI Rcpt#:
000049074
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008023
VSI Rcpt#:
000049075
RECTRAC
12/14/10 99
CR
01338
06/11
CR
12/14/10
0008024
VSI Rcpt#:
000049076
RECTRAC
12/14/10 99
CR
01355
06/11
CR
12/15/10
0008081
VSI Rcpt#:
000049077
RECTRAC
12/15/10 99
CR
01355
06/11
CR
12/15/10
0008082
VSI Rcpt#:
000049081
RECTRAC
12/15/10 99
CR
01361
06/11
CR
12/16/10
0008112
VSI Rcpt#:
000049098
RECTRAC
12/16/10 99
CR
01361
06/11
CR
12/16/10
0008113
VSI Rcpt#:
000049099
RECTRAC
12/16/10 99
CR
01409
06/11
CR
12/17/10
0008172
VSI Rcpt#:
000049110
RECTRAC
12/17/10 98
CR
01409
06/11
CR
12/17/10
0008173
VSI Rcpt#:
000049111
RECTRAC
12/17/10 98
CR
01409
06/11
CR
12/17/10
0008174
VSI Rcpt#:
000049108
RECTRAC
12/17/10 98
CR
01409
06/11
CR
12/17/10
0008175
VSI Rcpt#:
000049109
RECTRAC
12/17/10 98
GM
01366
06/11
AP
12/17/10
0090238
URDAHL, CAROL
49114
REFUND
CR
01416
06/11
CR
12/20/10
0008197
VSI Rcpt#:
000049136
RECTRAC
12/20/10 98
CR
01416
06/11
CR
12/20/10
0008198
VSI Rcpt#:
000049135
RECTRAC
12/20/10 98
CR
0}416
06/11
CR
12/20/10
0008199
VSI Rcpt#:
000049135
RECTRAC
12/20/10 98
CR
01416
06/11
CR
12/20/10
0008200
VSI Rcpt#:
000049130
27.00
8.00
14.00
10.00
16.00
35.00
24.00
24.00
28.00
28.00
8.00
32.00
32.00
4.00
16.00
35.00
60.00
4.00
16.00
54.00
16.00
19.50
60.00
60.00
63.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER--.IVITY LISTING
F — 727
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------------------------------------------------------------------------=--------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure Enrichmt
RECTRAC
12/20/10 98
CR
01416
06/11
CR
12/20/10
0008201
VSI Rcpt#:
000049129
35.00
RECTRAC
12/20/10 98
CR
01432
06/11
CR
12/21/10
0008220
VSI Rcpt#:
000049144
60.00
•
RECTRAC
12/21/10 98
CR
01432
06/11
CR
12/21/10
0008221
VSI Rcpt#:
000049148
24.00
RECTRAC
12/21/10 98
CR
01437
06/11
CR
12/22/10
0008263
VSI Rcpt#:
000049159
56.00
RECTRAC
12/22/10 98
CR
01449
06/11
CR
12/27/10
0008342
VSI Rcpt#:
000049180
13.50
RECTRAC
12/27/10 99
CR
01449
06/11
CR
12/27/10
0008343
VSI Rcpt#:
000049181
48:00
RECTRAC
12/27/10 99
CR
01456
06/11
CR
12/28/10
0008390
VSI Rcpt#:
000049206
60.00
RECTRAC
12/28/10 98
CR
01463
06/11
CR
12/29/10
0008414
VSI Rcpt#:
000049216
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008415
VSI Rcpt#:
000049217
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008416
VSI Rcpt#:
000049215
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008417
VSI Rcpt#:
000049218
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008418
VSI Rcpt#:
000049212
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008419
VSI Rcpt#:
000049211
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008420
VSI Rcpt#:
000049221
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008421
VSI Rcpt#:
000049221
16.00
RECTRAC
12/29/10 98
CR•
01463
06/11
CR
12/29/10
0008422
VSI Rcpt#:
000049225
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008423
VSI Rcpt#:
000049227
24.00
•
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008424
VSI Rcpt#:
000049229
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008425
VSI Rcpt#:
000049230
2•.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008426
VSI Rcpt#:
000049231
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008427
VSI Rcpt#:
000049232
2.00
RECTRAC•
12/29/10 98
CR
01463
06/11
-CR
12/29/10
0008428
VSI Rcpt#:
000049219
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008429
VSI Rcpt#:
000049220
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008430
VSI Rcpt#:
000049242
35.00
•
RECTRAC
12/29/10 98
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER .— IVITY LISTING
F--- 728
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
---------------------------------------------------------I---------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING.
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
--------------------
T I O N DEBITS
------ -------------------- ------------
CREDITS
-----------------------------
BALANCE
101-3000-342.70-00
Charges for
Services
/ Sr Ctr Leisure
Enrichmt
CR.01463
06/11
CR
12/29/10
0008431
VSI Rcpt#:
000049243 .
35.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008432
VSI Rcpt#:
000049244
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008433
VSI Rcpt#:
000049245
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008434
VSI Rcpt#:
000049246
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008435
VSI Rcpt#:
000049247
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008436
VSI Rcpt#:
000049252
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008437
VSI Rcpt#:
000049251
45.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008438
VSI Rcpt#:
000049253
2.00
RECTRAC
12/29/10 98
CR
01463
06/11
CR
12/29/10
0008379 "•
VSI Rcpt#:
000049209
2.00
RECTRAC
12/29/10 99
CR
01463
06/11
CR
12/29/10
0008380
VSI Rcpt#:
000049208
35.00
RECTRAC
12/29/10 99
CR
01463
06/11
CR
12/29/10
0008381
VSI Rcpt#:
000049210
2.00
RECTRAC•
12/29/10 99
CR
01470
06/11
CR
12/30/10
0008481
VSI Rcpt#:
000049260
2.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008482
VSI Rcpt#:
000049263
2.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008483
VSI Rcpt#:
000049258
2.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008484
VSI Rcpt#:
000049262
75.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008485
VSI Rcpt#:
000049262
24.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008486
VSI Rcpt#:
000049261
2.00
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008487
VSI Rcpt#:
000049264
56.50
RECTRAC
12/30/10 99
CR
01470
06/11
CR
12/30/10
0008488
VSI Rcpt#:
000049267
2.00
RECTRAC
12/30/10 99
CR
01483
07/11
CR
01/03/11
0008532
ZUMBA & LINE
DANCE/SCHELL
28.00
KBLONDELL
01/03/11 01
CR
01487
07/11
CR
01/03/11
0008568
VSI Rcpt#:
000049338
14.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008569
VSI Rcpt#:
000049300
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008570
VSI Rcpt#:
000049316
4.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008571
VSI Rcpt#:
000049300
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008572
VSI Rcpt#:
000049304
35.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER ..-.IVITY LISTING
F--- 729
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS.
CREDITS
BALANCE .
101-3000-342.70-00
Charges for
Services
/ Sr Ctr Leisure Enrichmt
RECTRAC
01/03/11 99 °
CR
01487
07/11
CR
01/03/11
0008573
VSI Rcpt#:
000049314
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008574
VSI Rcpt#:
000049304
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008575
VSI Rcpt#:
000049306
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008576
VSI Rcpt#:
000049308
16.00
•
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008577
VSI Rcpt#:
000049282
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008578
VSI Rcpt#:
000049283
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008579
VSI Rcpt#:
000049284
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008580
VSI Rcpt#:
000049285
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008581
VSI Rcpt#:
000049330
27.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008582
VSI Rcpt#:
000049286
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008583
VSI Rcpt#:
000049287
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008584
VSI Rcpt#:
000049288
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008585
VSI Rcpt#:
000049290
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008586
VSI Rcpt#:
000049289
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008587
VSI Rcpt#:
000049294
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008588
VSI Rcpt#:
000049296
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008589
VSI Rcpt#:
000049297
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008590
VSI Rcpt#:
000049298
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008591
VSI Rcpt#:
000049299
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008592
VSI Rcpt#:
000049302
7.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008593
VSI Rcpt#:
000049302
4.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008594
VSI Rcpt#:
000049303
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008595
VSI Rcpt#:
000049305
35.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008596
VSI Rcpt#:
000049305
16.00
RECTRAC
01/03/11 99
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER __.1VITY •LISTING
P 730•
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER
---------------------------
PER.
CD
DATE
--------------------
NUMBER
D E S C R I P
7------------------------------------------------------------------------------------
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
01487
07/11
CR
01/03/11
0008597
VSI Rcpt#:
000049307
16.00
RECTRAC
01/03/11 99
"
CR
01487
07/11
CR
01/03/11
0008598
VSI Rcpt#:
000049309
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008599
VSI Rcpt#:
000049310
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008600
VSI Rcpt#:
000049311
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008601
VSI Rcpt#:
000049315
16.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008602
VSI Rcpt#:
000049334
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008603
VSI Rcpt#:
000049328
69.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008604
VSI Rcpt#:
000049331
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008605
VSI Rcpt#:
000049332
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008606
VSI Rcpt#:
000049333
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008607
VSI Rcpt#:
000049336
2.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008608
VSI Rcpt#:
000049337
40.00
RECTRAC
01/03/11 99
v
CR
01487
07/11
CR
01/03/11
0008609
VSI Rcpt#:
000049344
60.00
RECTRAC
01/03/11 99
CR
01487
07/11
CR
01/03/11
0008610
VSI Rcpt#:
000049344
35.00
RECTRAC
01/03/11 99
CR
01493
07/11
CR
01/04/11
0008679
VSI Rcpt#:
000049357
16.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008680
VSI Rcpt#:
000049357
16.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008681
VSI Rcpt#:
000049367
35.00
RECTRAC
01/04/11 99
CR
01493.
07/11
CR
01/04/11
0008682
VSI Rcpt#:
000049368
28.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008683
VSI Rcpt#:
000049369
28.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008684
VSI Rcpt#:
000049372
2.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008685
VSI Rcpt#:
000049355
10.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008686
VSI Rcpt#:
000049376
8.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008687
VSI Rcpt#:
000049377
32.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008688
VSI Rcpt#:
000049378
24.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008689
VSI Rcpt#:
000049378
24.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
Pnuc 731
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------`------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008690
VSI Rcpt#:
000049379
35.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008691
VSI Rcpt#:
000049380
60.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008692
VSI Rcpt#:
000049381
32.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008693
VSI Rcpt#:
000049358
28.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008694
VSI Rcpt#:
000049382
8.00
RECTRAC
01/04/11 99
CR
01493
07/11
CR
01/04/11
0008695
VSI Rcpt#:
000049373
2.00
`
RECTRAC
01/04/11 99
CR
01498
07/11
CR
01/05/11
0008842
VSI Rcpt#:
000049405
20.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008843
VSI Rcpt#:
000049405
20.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008823
VSI Rcpt#:
000049401
2.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008824
VSI Rcpt#:
000049392
16.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008825
VSI Rcpt#:
000049397
35.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008826
VSI Rcpt#:
000049391
16.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008827
VSI Rcpt#:
000049395
2.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008828
VSI Rcpt#:
000049400
17.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008829
VSI Rcpt#:
000049402
2.00_
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008830
VSI Rcpt#:
000049403
16.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008831
VSI Rcpt#:
000049411
16.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008832
VSI Rcpt#:
000049411
12.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008833
VSI Rcpt#:
000049395
60.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008834
VSI Rcpt#:
000049393
16.00
RECTRAC
01/05/11 99
CR
0}498
07/11
CR
01/05/11
0008835
VSI Rcpt#:
000049415
17.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008836
VSI Rcpt#:
000049423
2.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008837
VSI Rcpt#:
000049424
77.00
RECTRAC
01/05/11 99
CR
01498
07/11
CR
01/05/11
0008838
VSI Rcpt#:
000049425
60.00
RECTRAC
01/05/11 99
PREPARED
- ._7/2014, 10:19:00
GENERAL LEDGER--1VITY LISTING
PAWc 732
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
----------
FUND 101
--------
General
---------------------------------------------------------------------------------------------------------------=--
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
01504
07/11
CR
01/06/11
0008920
VSI Rcpt#:
000049432
60.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008921
VSI Rcpt#:
000049431
2.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008922
VSI Rcpt#:
000049436
2.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008923
VSI Rcpt#:
000049430
2.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008924
VSI Rcpt#:
000049433
35.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008925
VSI Rcpt#:
000049434•
60.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008926
VSI Rcpt#:
000049435
60.00
RECTRAC
01/06/11 98
CR
07504
07/11
CR
01/06/11
0008927
VSI Rcpt#:•000049459
2.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008928
VSI Rcpt#:
000049464
2.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008929
VSI Rcpt#:
000049465
27.00
RECTRAC
01/06/11 98
CR
01504
07/11
CR
01/06/11
0008930
VSI Rcpt#:
000049466
2.00
RECTRAC
•01/06/11 98
CR
01508
07/11
CR
01/07/11
0008964
VSI Rcpt#:
000049490
24.00
'
RECTRAC
01/07/11 98
CR
01508
07/11
CR
01/07/11
0008953
VSI Rcpt#:
000049472
16:00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008954
VSI Rcpt#:
000049473
16.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008955
VSI Rcpt#:
000049474
16.00
•
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008956
VSI Rcpt#:
000049475
4.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008957
VSI Rcpt#:
000049479
2.00
RECTRAC .
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008958
VSI Rcpt#:
000049476
2.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008959
VSI Rcpt#:
000049477
2.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008960
VSI Rcpt#:
000049478
24.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008961
VSI Rcpt#:
000049481
60.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008962
VSI Rcpt#:
000049485
10.00
RECTRAC
01/07/11 99
CR
01508
07/11
CR
01/07/11
0008963
VSI Rcpt#:
000049486
10.00
RECTRAC
01/07/11 99
CR
01528
07/11
CR
O1/10/11
0009031
VSI Rcpt#:
000049517
10.00
RECTRAC
O1/10/11 99
CR
01528
07/11
CR
O1/10/11
0009032
VSI Rcpt#:
000049518
10.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--lVITY LISTING
PAWc 733
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
---------------------------------
FUND 101
General'Fund
-----------
----------
---------------------------------------------
---------------------
-------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER .
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009033
VSI Rcpt#:
000049511
10.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009034
VSI Rcpt#:
000049512
10.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009035
VSI Rcpt#:
000049520
16.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009036
VSI Rcpt#:
000049519
20.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009037
VSI Rcpt#:
000049513
10.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009038
VSI Rcpt#:
000049514
10.00.
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009039
VSI Rcpt#:
000049515
10.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009040
VSI Rcpt#:
000049516
10.00
'
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009041
VSI Rcpt#:
000049521
16.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009042
VSI Rcpt#:
000049522
16.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009043
VSI Rcpt#:
000049523
7.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009044
VSI Rcpt#:
000049523
4.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009045
VSI Rcpt#:
000049527
6.00
RECTRAC
01/10/11 99
CR
.01528
07/11
CR
01/10/11
0009046
VSI Rcpt#:
000049528
8.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009047
VSI Rcpt#:
000049532
40.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009048
VSI Rcpt#:
000049533
66.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009049
VSI Rcpt#:
000049540
10.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009050
VSI Rcpt#:
000049541
14.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009051
VSI Rcpt#:
000049542
16.00
RECTRAC
01/10/11 99
CR
01528
07/11
CR
01/10/11
0009052
VSI Rcpt#:
000049543
33.00
RECTRAC
01/10/11 99
CR
01536
07/11
CR
01/11/11
0009231
VSI Rcpt#:
000049558
27.00
RECTRAC
01/11/11 99
CR
01536
07/11
CR
01/11/11
0009232
VSI Rcpt#:
000049554
20.00
RECTRAC
01/11/11 99
CR
0J536
07/11
CR
01/11/11
0009233
VSI Rcpt#:
000049555
24.00
RECTRAC
01/11/11 99
CR
01536
07/11
CR
01/11/11
0009234
VSI Rcpt#.:
000049556
27.00
RECTRAC
01/11/11 99
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING n
Fwue 734
PROGRAM
GM362LA
CITY.OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS'
CREDITS
BALANCE
101-3000-342.70-00
Charges for
Services /
Sr Ctr Leisure
Enrichmt
CR
01536
07/11
CR
O1/11/11
0009235
VSI Rcpt#:
000049560
10.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009236
VSI Rcpt#:
000049561
2.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009237
VSI Rcpt#:
000049557
27.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009238
VSI Rcpt#:
000049559
27.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009239
VSI Rcpt#:
000049559
27.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009240
VSI Rcpt#:
000049572
27.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009241
VSI Rcpt#:
000049573
27.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009242
VSI Rcpt#:
000049574
8.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009243
VSI Rcpt#:
000049576
8.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
01/11/11
0009244
VSI Rcpt#:
000049575
8.00
RECTRAC
O1/11/11 99
CR
01536
07/11
CR
O1/11/11
0009245
VSI Rcpt#:
000049577
8.00
RECTRAC
O1/11/11 99
CR
01546
07/11
CR
01/12/11
0009409
VSI Rcpt#:
000049604
82.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009410
VSI Rcpt#:
000049590
35.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009411
VSI Rcpt#:
000049595
2.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009412
VSI Rcpt#:
000049585
7.00
RECTRAC
01/12/11.99
CR
01546
07/11
CR
01/12/11
0009413
VSI Rcpt#:
000049585
4.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009414
VSI Rcpt#:
000049586
17.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009415
VSI Rcpt#:
000049587
17.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009416
VSI Rcpt#:
000049588
17.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009417
VSI Rcpt#:
000049589
17.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009418
VSI Rcpt#:
000049591
24.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009419
VSI Rcpt#:
000049594
75.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009420
VSI Rcpt#:
000049594
60.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009421
VS.I Rcpt#:
000049584
17.00
RECTRAC
01/12/11 99
CR
01546
07/11
CR
01/12/11
0009422
VSI Rcpt#:
000049583
17.00
PREPARED —17/2014, 10:19:00 GENERAL LEDGER--.1VITY LISTING FNbc 735
PROGRAM GM362LA
CITY OF LA•QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 01/12/11 99
CR
01546
07/11
CR
01/12/11
0009423
VSI Rcpt#:
000049596
RECTRAC
01/12/11
99
GM
01603
07/11
AP
01/12/11
0090489
HILL, MATTIE
49592
REFUND
CR
01557
07/11
CR
01/13/11
0009465
VSI Rcpt#:
000049618
RECTRAC
01/13/11
99
CR
01557
07/11
CR
01/13/11
0009466
VSI Rcpt#:
000049625
RECTRAC
01/13/11
99
CR
01557
07/11
CR
01/13/11
0009467
VSI Rcpt#:
000049621
RECTRAC
01/13/11
99
CR,
01557
07/11
CR
01/13/11
0009468
VSI Rcpt#:
000049619
RECTRAC
01/13/11
99
CR
01557
07/11
CR
01/13/11
0009469
VSI Rcpt#:
000049620
RECTRAC
01/13/11
99
CR
01557
07/11
CR
01/13/11
0009470
VSI Rcpt#:
000049623
RECTRAC
01/13/11
99
CR
01557
07/11
CR
01/13/11
0009471
VSI Rcpt#:
000049622
RECTRAC
01/13/11
99
CR
01589
07/11
CR
01/14/11
0009522
VSI Rcpt#:
000049640
'
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009523
VSI Rcpt#:
000049641
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009524
VSI Rcpt#:
000049642
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009525
VSI Rcpt#:
000049652
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009526
VSI Rcpt#:
000049651
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009527
VSI Rcpt#:
000049653
RECTRAC
01/14/11
99
CR
01589
07/11
CR
01/14/11
0009528
VSI Rcpt#:
000049654
RECTRAC
01Y14/11
99
CR
01589
07/11•
CR
01/14/11
0009529
VSI Rcpt#:
000049655
RECTRAC
01/14/11
99
GM
01603
07/11
AP
01/14/11
0090545
VALLA, CAROLYN
49645
REFUND
GM
01603
07/11
AP
01/14/11
0090545
VALLA, CAROLYN
49644
REFUND
CR
01595
07/11
CR
01/18/11
0009593
VSI Rcpt#:
000049695
RECTRAC
01/18/11
99
CR
01595
07/11
CR
01/18/11
0009594
VSI Rcpt#:
000049694
RECTRAC
01/18/11
99
CR
01595
07/11
CR
01/18/11
0009595
VSI Rcpt#:
000049693
RECTRAC
01/18/11
99
CR
01595
07/11
CR
01/18/11
0009596
VSI Rcpt#:
000049691
RECTRAC
01/18/11
99
CR
01595
07/11
CR
01/18/11
0009597
VSI Rcpt#:
000049690
RECTRAC
01/18/11
99
35.00
55.00
43.00
2.00
24.00
24.00
17.00
17.00
16.00
17.00
17.00
60.00
4.00
4.00
10.00
2.00
10.00
10.00
10.00
8.00
8.00
8.00
10.00
28.00
PREPARED
-.--17/2014,
10:19:00
GENERAL LEDGER _ IVITY LISTING
Phwc 736
PROGRAM
GM362LA
CITY•OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------------------------------------------------------------------------------------=---------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITSBALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
01595
07/11
CR
01/18/11
0009598
VSI Rcpt#:
000049690
8.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009599
VSI Rcpt#:
000049684
24.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009600,
VSI Rcpt#:
000049682
10.00
RECTRAC•
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009601
VSI Rcpt#:
000049685
10.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009602
VSI Rcpt#:
000049683
10.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009603
VSI Rcpt#:
000049679
8.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009604
VSI Rcpt#:
000049678
8.00
RECTRAC
01/18/11 99
CR
01595
07/11
CR
01/18/11
0009605
VSI Rcpt#:
000049677
8.00
RECTRAC
01/18/11 99
CR
01602
07/11
CR
01/19/11
0009670
VSI Rcpt#:
000049707
17.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009671
VSI Rcpt#:
000049708
17.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009672
VSI Rcpt#:
000049709
17.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009673
VSI Rcpt#:
000049710
4.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009674
VSI Rcpt#:
000049711
4.00
RECTRAC '
01/19/11.99
CR
01602
07/11
CR
01/19/11
0009675
VSI Rcpt#:
000049712
17.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009676
VSI Rcpt#:
000049713
4.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009677
VSI Rcpt#:
000049714
32.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009678
VSI Rcpt#:
000049715
8.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009679
VSI Rcpt#:
000049716
8.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009680
VSI Rcpt#:
000049717
8.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009681
VSI Rcpt#:
000049724
75.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009682
VSI Rcpt#:
000049722
90.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009683
VSI Rcpt#:
000049723
75.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009684
VSI Rcpt#:
000049727
75.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009685
VSI Rcpt#:
000049727
60.00
RECTRAC
01/19/11 99
CR
01602
07/11
CR
01/19/11
0009686
VSI Rcpt#:
000049730
75.00
PREPARED
- -7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
PAWm 737
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND•101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------
NUMBER
PER.
CD
DATE'
NUMBER
D E S C R I P
-------------
T I O N DEBITS
--------- -------------------- ----------------
CREDITS
--------------------------------
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
01/19/11 99
CR
01602
07/11
CR-01/19/11
0009687
VSI Rcpt#:
000049736
2.00
RECTRAC
01/19/11 99
CR
01612
07/11
CR
01/20/11
0009791
VSI Rcpt#:
000049750
2.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009792
VSI Rcpt#:
000049755
2.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009793
VSI Rcpt#:
000049746
17.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009794
VSI Rcpt#:
000049747
17.00
RECTRAC
01/20/11 98
•CR
01612
07/11
CR
01/20/11
0009795
VSI Rcpt#:
000049749
60.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009796
VSI Rcpt#:
000049751
17.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009797
VSI Rcpt#:
000049753
2.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009798
VSI Rcpt#:
000049756
2.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009799
VSI Rcpt#:
000049759
17.00
RECTRAC
01/20/11 98
CR
01612
07/11
CR
01/20/11
0009800
VSI Rcpt#:
000049763
2.00
RECTRAC
01/20/11 98
CR
01618
07/11
CR
01/21/11
0009833
VSI Rcpt#:
000049780
16.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009834
VSI Rcpt#:
000049780
35.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009835
VSI Rcpt#:
000049779
4.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009836
VSI Rcpt#:
000049788
4.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009837
VSI Rcpt#:
000049786
54.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009838
VSI Rcpt#:
000049787
4.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009839
VSI Rcpt#:
000049787
16.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009840
VSI Rcpt#:
000049789
10.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009841
VSI Rcpt#:
000049792
10.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009842
VSI Rcpt#:
000049793
10.00
RECTRAC
01/21/11 99
CR
01618
07/11
CR
01/21/11
0009843
VSI Rcpt#:
000049794
35.00
RECTRAC
01/21/11 99
CR
01624
07/11
CR
01/24/11
0009884
VSI Rcpt#:
000049811
4.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009885
VSI Rcpt#:
000049812
'16.00
RECTRAC
01/24/11 99
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER--1VITY LISTING
PAbt 738
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
7 ------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
01624
07/11
CR
01/24/11
0009886
VSI Rcpt#:
000049812
4.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009887
VSI Rcpt#:
000049813
45.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009888
VSI Rcpt#:
000049814
6.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009889
VSI Rcpt#:
000049815
7.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/1.1
0009890
VSI Rcpt#:
000049820
62.00
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009891
VSI Rcpt#:
000049819
33.00
"
RECTRAC
01/24/11 99
CR
01624
07/11
CR
01/24/11
0009892
VSI Rcpt#:
000049823/
14.00
RECTRAC
01/24/11 99
CR
01654
07/11
CR
01/25/11
0009954
VSI Rcpt#:
000049835
10.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009955
VSI Rcpt#:
000049836.
10.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009956
VSI Rcpt#:
000049837
10.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009957
VSI Rcpt#:
000049838
10.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009958
•VSI Rcpt#:
000049839
10.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009959
VSI Rcpt#:
000049840
10.00
RECTRAC
01/25/11'99
CR
01654
07/11
CR
01/25/11
0009960
VSI Rcpt#:
000049843
24.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009961
VSI Rcpt#:
000049844
28.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009962
VSI Rcpt#:
000049845
28.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009963
VSI Rcpt#:
000049847
8.00
RECTRAC
01/25/11 99
CR
01654
07/11
CR
01/25/11
0009964
VSI Rcpt#:
000049848
8.00
RECTRAC
01/25/11 99
CR
01658
07/11
CR
01/26/11
0009985
LINE DANCE/SCHELLENBERG,
28.00
KBLONDELL
'01/26/11 01
CR
01662
07/11
CR
01/26/11
0010021
VSI Rcpt#:
000049871
50.00
•
RECTRAC
01/26/11 98
CR
0J662
07/11
CR
01/26/11
0010001
VSI Rcpt#:
000049855
17.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010002
VSI Rcpt#:
000049853
17.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010003
VSI Rcpt#:
000049854
4.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010004
VSI•Rcpt#:
000049856
4.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010005
VSI Rcpt#:
000049857
17.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER nV,IVITY LISTING
PAtgn 739
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
---------------------------------------------------------------------------•---------------------------------------------------------
•FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010006
VSI Rcpt#:
000049.858
17.00
RECTRAC
01/26/11 99
CR
0166.2
07/11
CR
01/26/11
0010007
VSI Rcpt#:,
000049859
17.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010008
VSI Rcpt#:
000049860
4.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010009
VSI Rcpt#:
000049861
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010010
VSI Rcpt#:
000049861
16.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010011
VSI Rcpt#:
000049867
28.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010012
VSI Rcpt#:
000049866
28.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010013
VSI Rcpt#:
000049875
35.00
RECTRAC
01/26/11 99'
CR
01662
07/11
CR
01/26/11
0010014
VSI Rcpt#:
000049876
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010015
VSI Rcpt#:
000049872
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010016
VSI Rcpt#:
000049873
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010017
VSI Rcpt#:
000049874
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010018
VSI Rcpt#:
0.00049877
35.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010019
VSI Rcpt#:
000049880
83.00
RECTRAC
01/26/11 99
CR
01662
07/11
CR
01/26/11
0010020
VSI Rcpt#:
000049879
75.00
RECTRAC
01/26/11 99
CR
01670
07/11
CR
01/27/11
0010089
VSI Rcpt#:
000049901
2.00
RECTRAC .
01/27/11-99
CR
01670
07/11
CR
01/27/11
0010090
VSI Rcpt#:
000049881
2.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010091
VSI Rcpt#:
000049886
2.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010092
VSI Rcpt#:
000049887
60.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/,27/11
0010093
VSI Rcpt#:
000049888
2.•00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010094
VSI Rcpt#:
000049891
2.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010095
VSI Rcpt#:
000049892
2.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010096
VSI Rcpt#:
000049897
50.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010097
VSI Rcpt#:
000049898
2.00
RECTRAC
01/27/11 99
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER--,IVITY LISTING FNuc 740
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- . /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------------------=------------------------------
101-3000-342.70-00 Charges•for Services / Sr Ctr Leisure Enrichmt
CR
01670
07/11
CR
01/27/11
0010098
VSI Rcpt#:
000049900
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010099
VSI Rcpt#:
000049900
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010100
VSI Rcpt#:
000049902
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010101
VSI Rcpt#:
000049903
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010102
VSI Rcpt#:
000049904
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010103
VSI Rcpt#:
000049905
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010104
VSI Rcpt#:
000049906
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010105
VSI Rcpt#:
000049907
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010106
VSI Rcpt#:
000049908 .
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010107
VSI Rcpt#:
000049909
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010108
VSI Rcpt#:
000049910
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010109
VSI Rcpt#:
000049911
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010110
VSI Rcpt#:
000049914
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010111
VSI Rcpt#:
000049918
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010112
VSI Rcpt#:
000049932
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010113
VSI Rcpt#:
000049919
RECTRAC
01/27/11 99
CR
0167.0
07/11
CR
01/27/11
0010114
VSI Rcpt#:
000049920
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010115
VSI Rcpt#:
000049921
RECTRAC
01/27411 99
CR
01670
07/11
CR
01/27/11
0010116
VSI Rcpt#:
000049922
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010117
VSI Rcpt#:
000049923
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010118
VSI Rcpt#:
000049925
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010119
VSI Rcpt#:
000049926
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010120
VSI Rcpt#:
000049927
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010121
VSI Rcpt#:
000049929
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010122
VSI Rcpt#:
000049931
16.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
35.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
PREPARED .17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING FNbC 741
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
2.00
2.00
2.00
2.00
2.00
2.00
16.00
2.00
2.00
16.00
2.00
2.00
2.00
16.00
16.00
16.00
16.00
2.00
7.00
2.00
2.00
57.00
2.00
2.00
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010123
VSI Rcpt#:
000049933
'
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010124
VSI Rcpt#:
000049934
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010125
VSI Rcpt#:
000049935
RECTRAC
01/27/11 99
CR
01670
07/11
CR
01/27/11
0010126
VSI Rcpt#:
000049936
RECTRAC
01/27/11 99
CR
01676
07/11
CR
01/28/11
0010200
VSI Rcpt#:
000049943
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010201
VSI Rcpt#:
000049944
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010202
VSI Rcpt#:
000049945
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010203
VSI Rcpt#:
000049946
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010204
VSI Rcpt#:
000049947
RECTRAC
01/28/11 99
CR
-01676
07/11
CR
01/28/11
0010205
VSI Rcpt#:
000049948
RECTRAC'
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010206
VSI Rcpt#:
000049950
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010207
VSI Rcpt#:
000049951
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010208
VSI Rcpt#:
000049952
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010209
VSI Rcpt#:
000049953
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010210
VSI Rcpt#:
000049954
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010211
VSI Rcpt#:
000049955
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010212
VSI Rcpt#:
000049956
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010213
VSI Rcpt#:
000049960
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010214
VSI Rcpt#:
000049957
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010215
VSI Rcpt#:
000049958
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010216
VSI Rcpt#:
000049959
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010217
VSI Rcpt#:
000049965
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010218
VSI Rcpt#:
000049966
RECTRAC
01/28/11 99
CR
01676
07/11
CR
01/28/11
0010219
VSI Rcpt#:
000049967
RECTRAC
01/28/11 99
2.00
2.00
2.00
2.00
2.00
2.00
16.00
2.00
2.00
16.00
2.00
2.00
2.00
16.00
16.00
16.00
16.00
2.00
7.00
2.00
2.00
57.00
2.00
2.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING FNuc 742
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------------------=--------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
01676
07/11
CR
01/28/11
0010220
VSI Rcpt#:
000049968
RECTRAC
01/28/11
99
CR
01676
07/11
CR
01/28/11
0010221
VSI Rcpt#:
000049969
RECTRAC
01/28/11
99
CR
01676
07/11
CR
01/28/11
0010222
VSI Rcpt#:
000049970
RECTRAC
01/28/11
99
CR
01676
07/11
CR
01/28/11
0010223
VSI Rcpt#:
000049977
RECTRAC
01/28/11
99
CR
01683
07/11
CR
01/31/11
0010339
VSI Rcpt#:
000049993
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010340
VSI Rcpt#:
000049993
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010341
VSI Rcpt#:
000049994
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010342
VSI Rcpt#:
000050002
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010343
VSI Rcpt#:
000050003
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010344
VSI Rcpt#:
000050004
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010345
VSI Rcpt#:
000050011
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010346
VSI Rcpt#:
000050005
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010347
VSI Rcpt#:
000050006
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010348
VSI Rcpt#:
000050006
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010349
VSI Rcpt#:
000049992
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010350
VSI Rcpt#:
000049991
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010351
VSI Rcpt#:
000050008
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010352
VSI Rcpt#:
000050010
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010353
VSI Rcpt#:
000050013
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010354
VSI Rcpt#:
000050007
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010355
VSI Rcpt#:
000050019
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010356
VSI Rcpt#:
000050015
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010357
VSI Rcpt#:
000050016
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010358
VSI Rcpt#:
000050017
RECTRAC
01/31/11
99
CR
01683
07/11
CR
01/31/11
0010359
VSI Rcpt#:
000050018
2.00
2.00
2.00
16.00
35.00
16.00
16.00
16.00
16.00
16.00
35.00
16.00
35.00.
35.00
4.00
4.00
4.00
7.00
35.00
16.00
16.00
24.00
2.00
2.00
2.00
PREPARED
----.7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
FAbt 743
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010360
VSI Rcpt#:
000050020
16.00
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010361
VSI Rcpt#:
000050022
2.00
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010362
VSI Rcpt#:
000050021
2.00
'
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010363
VSI Rcpt#:
000050023
67.00
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010364
VSI Rcpt#:
000050025
39.00
RECTRAC
01/31/11 99
CR
01683
07/11
CR
01/31/11
0010365
VSI• Rcpt#:
000050029
_
14.00
RECTRAC
01/31/11 99
CR
01693
07/11
CR.01/31/11
0010682
VSI Rcpt#:
000049329
27.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010683
VSI Rcpt#:
000049281
35.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010684
VSI Rcpt#:
000049632
24.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010685
VSI Rcpt#:
000049851
35.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010686
VSI Rcpt#:
000049803
16.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010687
VSI Rcpt#:
000049278
32.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010688
VSI Rcpt#:
000049455
27.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010689
VSI Rcpt#:
000049739
60.00
RECTRAC '
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010690
VSI Rcpt#:
000049772
35.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010691
VSI Rcpt#:
000049504
24.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010692
VSI Rcpt#:
000049802
8.00
RECTRAC
01/31/11 97
CR
0}693
07/11
CR
01/31/11
0010693
VSI Rcpt#:
000049802
28.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010694
VSI Rcpt#:
000049802
28.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010695
VSI Rcpt#:
000049802
8.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010696
VSI Rcpt#:
000049280
20.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010697
VSI Rcpt#:
000049702•
50.00
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010698
VSI Rcpt#:
000049280
20.00
RECTRAC
01/31/11 97
CR'01693
07/11
CR
01/31/11
0010699
VSI Rcpt#:
000049850
28.00
RECTRAC
01/31/11 97
PREPARED _17/2014, 10:19:00 GENERAL LEDGER htilVITY LISTING PAGE 744
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------- ---------- -------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
01693
07/11
CR
01/31/11
0010700
VSI Rcpt#:
000049850
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010701
VSI Rcpt#:
000049412
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010702
VSI Rcpt#:
000049419
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010703
VSI Rcpt#:
000049738
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010704
VSI•Rcpt#:
000049738
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010705
VSI Rcpt#:
000049740
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010706
VSI Rcpt#:
000049893
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010707
VSI Rcpt#:
000049893
RECTRAC
01/31/11 97
CR
01693
07/11
CR
01/31/11
0010708
VSI Rcpt#:
000049893
RECTRAC
01/31/11 97
GM
01713
08/11
AP
01/31/11
0090693
NIETHOLD,
ROBERT
50024
REFUND
CR
01691
08/11
.CR
02/01/11
0010440
VSI Rcpt#:
000050045
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010441
VSI Rcpt#:
000050082
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010442
VSI Rcpt#:
000050081
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010443
VSI Rcpt#:
000050038
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010444•
VSI Rcpt#:
000050039
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010445
VSI Rcpt#:
000050040
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010446
VSI Rcpt#:
000050068
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010447
VSI Rcpt#:
000050067
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010448
VSI Rcpt#:
000050066
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010449
VSI Rcpt#:
000050064
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010450
VSI Rcpt#:
000050063
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010451
VSI Rcpt#:
000050062
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010452
VSI Rcpt#:
000050061
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010453
VSI Rcpt#:
000050060
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010454
VSI Rcpt#:
000050059
40.00
28.00
2.00
35.00
75.00
60.00
60.00
2.00
2.00
2.00
35.00
8.00
32.00
2.00
16.00
16.00
10.00
35.00
10.00
2.00
2.00
2.00
35.00
35.00
2.00
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER .-_._VITY 'LISTING
P-.- - 745
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------
NUMBER PER.
CD
DATE
---------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010455
VSI Rcpt#:•
000050065
2.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010456
VSI Rcpt#:
000050058
2.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010457
VSI Rcpt#:
000050084
16.00
RECTRAC
02/,01/11 99
CR
01691
08/11
CR
02/01/11
0010458
VSI Rcpt#:
000050055
2.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010459
VSI Rcpt#:
000050052
2.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010460
VSI Rcpt#:
000050051
2.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010461
VSI Rcpt#:
000050048
16.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010462
VSI Rcpt#:
000050074
35.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010463
VSI Rcpt#:
000050083
32.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010464
VSI Rcpt#:
000050080
8.00
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010465
VSI Rcpt#:
000050079
8.00
RECTRAC
02/01/11 99
CR
01727
08/11
CR
02/02/11
0010585
VSI Rcpt#:
000050097
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010586
VSI Rcpt#:
000050093 •
17.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010587
VSI Rcpt#-
000050103
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010588
VSI Rcpt#:
000050108
24.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010589
VSI Rcpt#:
000050095
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010590
VSI Rcpt#:
000050096
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010591
VSI Rcpt#:
000050099
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010592
VSI Rcpt#:
000050099
16.00
RECTRAC
02/02/11'99
CR
01727
08/11
CR
02/02/11
0010593
VSI Rcpt#:
000050101
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010594
VSI Rcpt#:
000050101
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010595
VSI Rcpt#:
000050105
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010596
VSI Rcpt#:
000050102
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010597
VSI Rcpt#:
000050104
35.00
RECTRAC
02/02/11 99
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER —VITY LISTING
PMw= 746
PROGRAM
GM362LA
CITY OF
- ------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
01727
08/11
CR
02/02/11
0010598
VSI Rcpt#:
000050104
16.00
-
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010599
VSI Rcpt#:
000050106
35.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11.0010600
VSI Rcpt#:
000050106
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010601
VSI Rcpt#:
000050108
17.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010602
VSI Rcpt#:
000050111
17.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010603
VSI Rcpt#:
000050112
2.00
RECTRAC
02/02/11'99
CR
01727
08/11
CR
02/02/11
0010604
VSI Rcpt#:
000050113
2.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010605
VSI Rcpt#:
000050114
2.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010606
VSI Rcpt#:
000050115
2.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010607
VSI Rcpt#:
000050118
24.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010608
VSI Rcpt#:
000050119
2.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010609
VSI Rcpt#:
000050120
60.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010610
VSI Rcpt#:
000050122
60.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010611
VSI Rcpt#:
000050123
97.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010612
VSI Rcpt#:
000050090
7.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010613
VSI Rcpt#:
000050089
16.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010614
VSI Rcpt#:
000050094
16.00
RECTRAC
02/02/11 99
CR
01734
08/11
CR
02/04/11
0010763
SR CTR-RECTRAC
02/03/11
182.00
KBLONDELL
02/04/11 01
CR
01734
08/11
CR
02/04/11
0010765
COMM SVCS-RECTRAC
02/03/1
24.00
KBLONDELL
02/04/11 01
CR
01738
08/11
CR
02/04/11
0010796
VSI Rcpt#:
000050165
2.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010797
VSI Rcpt#:
000050170
54.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010798
VSI Rcpt#:
000050171
16.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR•02/04/11
0010799
VSI Rcpt#:
000050172
16.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010800
VSI Rcpt#:
000050173
16.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010801
VSI Rcpt#:
000050174
16.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER-V,IVITY LISTING
PHuc 747
PROGRAM
GM362LA
CITY OF.LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
----------------------------------------------------------------------------------------------------------------------=-------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010802
VSI Rcpt#:
000050181
2.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010803
VSI Rcpt#:
000050180
2.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010804
VSI Rcpt#:
000050182
35.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010805
VSI Rcpt#:
000050185
16.00
RECTRAC
02/04/11 99
CR
01738
08/11
CR
02/04/11
0010806
VSI Rcpt#:
000050192
10.00
RECTRAC
02/04/11 99
CR
01748
08/11
CR
02/07/11
0010905
VSI Rcpt#:
000050281
16.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010906
VSI Rcpt#:
000050282
16.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010907
VSI Rcpt#:
000050283
4.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010908
VSI Rcpt#:
000050284
4.00
RECTRAC-
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010909
VSI Rcpt#:
000050288
2.00
-
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010910
VSI Rcpt#:
000050287
6.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010911
VSI Rcpt#:
000050300
45.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010912
VSI Rcpt#:
000050298
14.00
RECTRAC
02/07/11 98
CR
01748
08/11
CR
02/07/11
0010913
VSI Rcpt#:
000050301
66.00
RECTRAC
02/07/11 98
CR
01759
08/11
CR
02/08/11
0010952
VSI Rcpt#:
000050337
8.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02%08/11
0010953
VSI Rcpt#:
000050336
8.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010954
VSI Rcpt#:
000050319
10.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010955
VSI Rcpt#:
000050315
10.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010956
VSI Rcpt#:
000050316
2.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010957
VSI Rcpt#:
000050317
2.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010958
VSI Rcpt#:
000050318
10•.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010959
VSI Rcpt#:
000050324
10.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010960
VSI Rcpt#:
000050330
2.00
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010961
VSI Rcpt#:
000050334
2.00
RECTRAC
02/08/11 99
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER-,AWITY LISTING P,.wa 748
PROGRAM GM362LA
CITY•OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
01759
08/11
CR
02/08/11
0010962
VSI Rcpt#:
000050333
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010963
VSI Rcpt#:
000050335
RECTRAC
02/08/11 99
CR
01759
08/11
CR
02/08/11
0010964
VSI Rcpt#:
000050338
RECTRAC
02/08/11 99
GM
01804
08/11
AP
02/08/11
0090856
JALOMA, NOHORA
50309
REFUND
CR
01770
08/11
CR
02/09/11
0011486
VSI Rcpt#:
000050349
RECTRAC
02/09/11 99
CR
01770
08/11
CR
02/09/11
0011487
VSI Rcpt#:
000050350
RECTRAC
02/09/11 99
CR
01770
08/11
CR
02/09/11
0011488
VSI Rcpt#:
000050351
RECTRAC
02/09/11 99
CR
01770
08/11
CR
02/09/11
0011489
VSI Rcpt#:
000050356
RECTRAC
02/09/11 99
CR
01777
08/11
CR
02/10/11
0011559
VSI Rcpt#:
000050369
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011560
VSI Rcpt#:
000050375
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011561
VSI Rcpt#:
000050378
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011562
VSI Rcpt#:
000050373
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011563
VSI Rcpt#:
000050374
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011564
VSI Rcpt#:
000050376
RECTRAC
02/10/11 99
CR
01777
08/11
CR
02/10/11
0011565
VSI Rcpt#:
000050377
RECTRAC
02/10/11 99
CR
0J810
08/11
CR
02/11/11
0011614
VSI Rcpt#:
000050416
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011615
VSI Rcpt#:
000050418
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011616
VSI Rcpt#:
000050417
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011617
VSI Rcpt#:
000050410
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011618
VSI Rcpt#:
000050427
RECTRAC
02/11/11 99
CR
01817
08/11
CR
02/14/11
0011691
VSI Rcpt#:
000050457
RECTRAC
02/14/11 99
CR
01817
08/11
CR
02/14/11
0011692
VSI Rcpt#:
000050466
RECTRAC
02/14/11 99
CR
01817
08/11
CR
02/14/11
0011693
VSI Rcpt#:
000050467
RECTRAC
02/14/11 99
CR
01817
08/11
CR
02/14/11
0011694
VSI Rcpt#:
000050470
RECTRAC
02/1.4/11 99
CR
01823
08/11
CR
02/15/11
0011759
VSI Rcpt#:
000050479
24.00
2.00
8.00
8.00
17.00
17.00
4.00
2.00
119.00
17..00
60.00
17.00
60.00
60.00
60.00
4.00
35.00
7.00
39.00
8.00
8.00
45.00
60.00
14.00
10.00
PREPARED - -7/2014, 10:19:00 GENERAL LEDGER--.1VITY LISTING Pmwc 749
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 02/15/11 99
CR
01823
08/1.1
CR
02/15/11
0011760
VSI Rcpt#:
000050480
RECTRAC
02/15/11 99
CR
01823
08/11
CR
02/15/11
0011761
VSI Rcpt#:
000050481
RECTRAC
02/15/11 99
CR
01823
08/11
CR
02/15/11
0011762
VSI Rcpt#:
000050490
RECTRAC
02/15/11 99
CR
01823
08/11
CR
02/15/11
0011763
VSI Rcpt#:
000050491
RECTRAC
02/15/11 99
CR
01831
08/11
CR
02/16/11
0011817
VSI Rcpt#:
000050508
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011818
VSI Rcpt#:
000050515
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011819
VSI Rcpt#:
000050502
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011820
VSI Rcpt#:
000050504
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011821
VSI Rcpt#:
000050507
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011822
VSI Rcpt#:
000050514
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011823
VSI Rcpt#:
000050505
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011824
VSI Rcpt#:
000050509
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011825
VSI Rcpt#:
000050510
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011826
VSI Rcpt#:
000050511
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011827
VSI Rcpt#:
000050512
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011828
VSI Rcpt#:
000050513
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011829
VSI Rcpt#:
000050519
RECTRAC
02/16/11 99
CR
01831
08/11
CR
02/16/11
0011830
VSI Rcpt#:
000050520
RECTRAC
02/16/11 99
CR
01973.
08/11
CR
02/16/11
0013887
VSI Rcpt#:
000049998
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013888
VSI Rcpt#:
000050071
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013889
VSI Rcpt#:
000050033
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013890
VSI Rcpt#:
000050034
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013891
VSI Rcpt#:
000050189
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013892
VSI Rcpt#:
000049985
RECTRAC
02/16/11 97
10.00
10.00
8.00
8.00
8.00
8.00
17.00
17.00
8.00
8.00
17.00
8.00
2.00
8.00
8.00
8.00
8.00
139.00
50.00
75.00
50.00
16.00
2.00
28.00
PREPARED
-..17/2014,
10:19:00
GENERAL LEDGER mLeIV,ITY LISTING
FAbC 750
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
--------------
S C R I P
----------------------
T I O N DEBITS
--------------- -------------
CREDITS
----------------------=--------------
BALANCE
101-3000-342.70-00
Charges for Services /
Sr Ctr Leisure
Enrichmt
CR
01973
08/11
CR
02/16/11
0013893
VSI Rcpt#:
000050088
16.00
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013894
VSI Rcpt#:
000050087
28.00
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013895
VSI Rcpt#:
000050088
16.00
'
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013896
VSI Rcpt#:
000050189
2.00
RECTRAC
02/16/11 97
CR
01838
08/11
CR
02/17/11
0012207
VSI Rcpt#:
000050537
17.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012208
VSI Rcpt#:
000050538
17.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012209
VSI Rcpt#:
000050562
2.00
RECTRAC
02/17/11 98
CR.
01838
08/11
CR
02/17/11
0012210
VSI Rcpt#:
000050563
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012211
VSI Rcpt#:
000050536
17.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012212
VSI Rcpt#:
000050597
2.00
RECTRAC
02/17/11 98
CR
01852
08/11
CR
02/18/11
0012307
VSI Rcpt#:
000050613
4.00
RECTRAC
02/18/11 99
CR
01852
08/11
CR
02/18%11
0012308
VSI Rcpt#:
000050641
54.00
RECTRAC
02/18/11 99
CR
01858
08/11
CR
02/22/11
0012832
VSI Rcpt#:
000050711
10.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012833
VSI Rcpt#:
000050712
10.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012834
VSI Rcpt#:
000050713
10.00
RECTRAC
02/22/11 99
CR
01858
08/11-
CR
02/22/11
0012835
VSI Rcpt#:
000050739
8.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012836
VSI Rcpt#:
000050738
8.00
RECTRAC
02/22/11 99
CR
0}858
08/11
CR
02/22/11
0012837
VSI Rcpt#:
000050740
8.00
RECTRAC
02/22/11 99
CR
01864
08/11
CR
02/23/11
0012911
VSI Rcpt#:
000050745
7.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012912
VSI Rcpt#:
000050745
4.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012913
VSI Rcpt#:
000050749
17.00
RECTRAC
02/23%11 99
-
CR
01864
08/11
CR
02/23/11
0012914
VSI Rcpt#:
000050755
8.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012915
VSI Rcpt#:
000050756
8.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012916
VSI Rcpt#:
000050748
17.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012917
VSI Rcpt#:
000050759
7.00
PREPARED
_117/2014,
10:19:00
GENERAL LEDGER m6iIVITY LISTING
FAbt 751
PROGRAM
GM362LA
CITY -OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------------------------
NUMBER
PER.
CD
DATE
-----------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
02/23/11 99
CR
01864
08/11
CR•02/23/11
0012918
VSI Rcpt#:
000050766
123.00
RECTRAC
02/23/11 99
CR
01880
08/11
CR
02/24/11
0012928
KENNEDY, SHARON
10.00
KBLONDELL
02/24/11 01
CR
01885
08/11
CR
02/24/11
0012985
VSI Rcpt#:
000050780
17.00
RECTRAC
02/24/11 99
CR
01892
08/11
CR
02/25/11
0013b10
VSI Rcpt#:
000050809
59.00
RECTRAC
02/25/11 99
CR,
01892
08/11
CR
02/25/11
0013011
VSI Rcpt#:
000050812
4.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013012
VSI Rcpt#:
000050813
4.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013013
VSI Rcpt#:
000050814
4.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013014
VSI Rcpt#:
000050814
7.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013015
VSI Rcpt#:
000050815
7.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013016
VSI Rcpt#:
000050815
4.00
RECTRAC
02/25/11 99
CR
01892
08/11
CR
02/25/11
0013017
VSI Rcpt#:
000050816
7.00
RECTRAC
02/25/11 99
CR
01897
08/11
CR
02/28/11
0013037
HARRINGTON
27.00
MMENDOZA
02/28/11 01
CR
01925
08/11
CR
02/28/11
0013158
VSI Rcpt#:
000050881
4.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013159
VSI Rcpt#:
000050889
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013160
VSI Rcpt#:
000050887
45.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013161
VSI Rcpt#:
000050890
7.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013162
VSI Rcpt#:
000050891
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013163
VSI Rcpt#:
000050891
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013164
VSI Rcpt#:
000050954
30.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013165
VSI Rcpt#:
000050896
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013166
VSI Rcpt#:
000050882
35.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013167
VSI Rcpt#:
000050892
4.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013168
VSI. Rcpt#:
000050893
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013169
VSI Rcpt#:
000050893
10.00
RECTRAC
02/28/11 98
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER m6ilVITY LISTING
Fwae 752
PROGRAM
GM362LA
CITY OF LA
----------------------
QUINTA, CALIFORNIA
FUND-101
General
Fund
_--------------------------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------=------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
01925'
08/11
CR
02/28/11
0013170
VSI Rcpt#:
000050894
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013171
VSI Rcpt#:
000050901
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013172
VSI Rcpt#:
000050897
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013173
VSI Rcpt#:
000050897
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013174
VSI Rcpt#:
000050898
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013175
VSI•Rcpt#:
000050898
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013176
VSI Rcpt#:
000050886
45.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013177
VSI Rcpt#:
000050899
30.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013178
VSI Rcpt#:
000050900
75.00
RECTRAC
02/28/11 98
CR
01.925
08/11
CR
02/28/11
0013179
VSI Rcpt#:
000050902
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013180
VSI Rcpt#:
000050905
4.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013181
VSI Rcpt#:
000050903
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013182
VSI Rcpt#:
000050903
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013183
VSI Rcpt#:
000050904
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013184
VSI Rcpt#:
000050907
35.00
RECTRAC
•02/28/11 98
CR
01925
08/11
CR
02/28/11
0013185
VSI Rcpt#:
000050908
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013186
VSI Rcpt#:
000050915
10.00
RECTRAC
02/28/11 98
.CR
01925
08/11
CR
02/28/11
0013187
VSI Rcpt#:
000050916
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013188
VSI Rcpt#:
000050910
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013189
VSI Rcpt#:
000050912
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013190
VSI Rcpt#:
000050913
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013191
VSI Rcpt#:
000050917
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013192
VSI Rcpt#:
000050919
10.00
RECTRAC
02/28/11 98
-CR
01925
08/11
CR
02/28/11
0013193
VSI Rcpt#:
000050920
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013194
VSI Rcpt#:
000050921
21.00
PREPARED
_ _17/2014► 10:19:00
GENERAL LEDGER -- IVITY LISTING
FHwc 753
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
RECTRAC
02/28/11 98
CR
01925.
08/11
CR
02/28/11
0013195
VSI Rcpt#:
000050927
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013196
VSI Rcpt#:
000050924
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013197
VSI Rcpt#:
000050924
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013198
VSI Rcpt#:
000050892
7.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013199
VSI Rcpt#:
000050958
14.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013200
VSI Rcpt#:
000050896
10.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013201
VSI Rcpt#:
000050932
69.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013202
VSI Rcpt#:
000050933
30.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013203
VSI Rcpt#:
000050934
50.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013204
VSI Rcpt#:
000050936
75.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013205
VSI Rcpt#:
000050938
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013206
VSI Rcpt#:
000050939
25.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013207
VSI Rcpt#:
000050884
35.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013208
VSI Rcpt#:
000050944
45.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013209
VSI Rcpt#:
000050946
30.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013139
VSI Rcpt#:
000050940
20.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013140
VSI Rcpt#:
000050909
35.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013141
VSI Rcpt#:
000050909
35.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013142
VSI Rcpt#:
000050909
35.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013143
VSI Rcpt#:
000050940
6.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013144
VSI Rcpt#:
000050940
20.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013145
VSI Rcpt#:
000050959
20.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013146
VSI Rcpt#:
000050940
6.00
RECTRAC
02/28/11 99
CR
01925
08/11
CR
02/28/11
0013147
VSI Rcpt#:
000050940
35.00
RECTRAC
02/28/11 99
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER m%.iIVITY LISTING
FHun 754
PROGRAM
GM362LA
CITY OF LA
--------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
---------
--------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------=-----------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
01931
09/11
CR
03/01/11
0013274
VSI Rcpt#:
000051018
20.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013275
VSI Rcpt#:
000050973
35.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013276
VSI Rcpt#:
000051020
35.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013277
VSI Rcpt#:
000050974
75.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013278
VSI Rcpt#:
000050974
75.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013279
VSI Rcpt#:
000050975
75.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013280
VSI Rcpt#:
000050989
10.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013281
VSI Rcpt#:
000050990
6.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013282
VSI Rcpt#:
000051023
28.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013283
VSI Rcpt#:
000051018
21.00
RECTRAC
03/01/11 98
CR
01938
09/11
CR
03/02/11
0013366
VSI Rcpt#:
000051051
17.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013367
VSI Rcpt#:
000051041
25.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013368
VSI Rcpt#:
000051040
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013369
VSI Rcpt#:
000051042
25.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013370
VSI Rcpt#:
000051050
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013371
VSI Rcpt#:
000051049
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013372
VSI Rcpt#:
000051047
25.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013373
VSI Rcpt#:
000051054
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013374
VSI Rcpt#:
000051053
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013375
VSI Rcpt#:
000051052
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013376
VSI Rcpt#:
000051055
10.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013377
VSI Rcpt#:
000051059
20.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013378
VSI Rcpt#:
000051045
25.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013379
VSI Rcpt#:
000051063
8.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013380
VSI Rcpt#:
000051074
30.00
PREPARED
!7/2014,.10:19:00
GENERAL LEDGER EVITY LISTING
F 755
PROGRAM
GM362LA
CITY OF-LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
'
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013381
VSI Rcpt#:
000051073
75.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013382
VSI Rcpt#:
000051046
25.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013383
VSI Rcpt#:
000051085
30.00
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013384
VSI Rcpt#:
000051082
106.75
RECTRAC
03/02/11 99
CR
01938
09/11
CR
03/02/11
0013385
VSI Rcpt#:
000051084
30.00
RECTRAC
03/02/11 99
CR
01964
09/11
CR
03/03/11
0013324
DOG TRNG &
BEG COMP/TIJER
50.00
KBLONDELL
03/03/11 01
CR
01969
09/11
CR
03/03/11
0013762
VSI Rcpt#:
000051098
17.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013763
VSI Rcpt#:
000051099
17.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013764
VSI Rcpt#:
000051102
75.00
RECTRAC
03/03/11 98
CR
01969.
09/11
CR
03/03/11
0013765
VSI Rcpt#:
000051104
75.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013766
VSI Rcpt#:
000051103
75.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013767
VSI Rcpt#:
000051105
17.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013768
VSI Rcpt#:
000051109
75.00
RECTRAC
03/03/11 98
CR
01969
09/11
CR
03/03/11
0013769
VSI Rcpt#:
000051116
35.00
•
RECTRAC
03/03/11 98
CR
0J969
09/11
CR
03/03/11
0013770
VSI Rcpt#:
000051120
6.00
RECTRAC
03/03/11 98
CR
01977
09/11
CR
03/04/11
0013835
VSI Rcpt#:
000051139
25.00
RECTRAC
03/04/11 98
CR
01977
09/11
CR
03/04/11
0013809
VSI Rcpt#:
000051169
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013810
VSI Rcpt#:
000051168
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013811
VSI Rcpt#:
000051146
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013812
VSI Rcpt#:
000051145
63.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013813
VSI Rcpt#:
000051147
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013814
VSI Rcpt#:
000051148
75.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013815
VSI Rcpt#:
000051171
20.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013816
VSI Rcpt#:
000051172
20.00
RECTRAC
03/04/11 99
PREPARED
_.,17/2014,
10:19:00
GENERAL•LEDGER A61IVITY LISTING
PAGE 756
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------=-------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP•ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
.101-3000-342.70-00
Charges for
Services /
Sr Ctr Leisure
Enrichmt
CR
01977
09/11
CR
03/04/11
0013817
VSI Rcpt#:
000051152
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013818
VSI Rcpt#:
000051153
4.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013819
VSI Rcpt#:
000051154
4.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013820
VSI Rcpt#:
000051155•
4.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013821
VSI Rcpt#:
000051156
25.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013822
VSI Rcpt#:
000051151
10.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013823
VSI Rcpt#:
000051150
4.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013824
VSI Rcpt#:
000051163
75.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013825
VSI Rcpt#:
000051173
35.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013826
VSI Rcpt#:
000051165
75.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013827
VSI Rcpt#:
000051166
35.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013828
VSI Rcpt#:
000051170
35.00
RECTRAC
03/04/11 99
CR
01977
09/11
CR
03/04/11
0013829
VSI Rcpt#:
000051178
50.00
RECTRAC
03/04/11 99
GM
02084
09/11
AP
03/04/11
0091164
BLACKWOOD,
JUDY 25.00
51142
REFUND
GM
02084
09/11
AP
03/04/11
0091164
BLACKWOOD,
JUDY 10.00
51141
REFUND
CR
01988
09/11
CR
03/07/11
0013806
CLASSES/ULRICH
55.00
KBLONDELL
03/07/11.01
CR
01988
09/11
CR
03/07/11
0013917
CERAMICS &
BRIDGE/GREENWO
115.00
•KBLONDELL
'03/07/11 01
CR
01999
09/11
CR
03/08/11
0014181
VSI Rcpt#:
000051236
75.00
RECTRAC
03/08/11 99
CR
02054
09/11
CR
03/09/11
0014261
VSI Rcpt#:
000051268
24.00
RECTRAC
03/09/11 99
CR
02056
09/11
CR
03/10/11
0014254
MAT PILATES/01DOHERTY
25.00
KBLONDELL
03/10/11 01
CR
02066
09/11
CR
03/11/11
0014418
VSI Rcpt#:
000051291
30.00
RECTRAC
03/11/11 99
CR
02068
09/11
CR
03/14/11
0014384
QUINTAL
31.00
MMENDOZA
03/14/11 01
CR
02073
09/11
CR
03/14/11
0014471
VSI Rcpt#:
000051327
75.00
RECTRAC
03/14/11 99
CR
02073
09/11
CR
03/14/11
0014472
VSI Rcpt#:
000051328
75.00
RECTRAC
03/14/11 99
CR
02090
09/11
CR
03/15/11
0014657
VSI Rcpt#:°
000051377
24.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER H6:IVITY LISTING
PAGE 757
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
*
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014658
VSI Rcpt#:
000051371
28.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014659
VSI'Rcpt#:
000051378
8.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014660
VSI Rcpt#:
000051382
35.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014661
VSI Rcpt#:
000051343
10.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014662
VSI Rcpt#:
000051349
8.00
s
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014663
VSI Rcpt#:
000051350
75.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014664
VSI Rcpt#:
000051352
40.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014665
VSI Rcpt#:
000051353
27.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014666
VSI Rcpt#:
000051361
21.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014667
VSI Rcpt#:
000051362
10.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014668
VSI Rcpt#:
000051369
35.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014669
VSI Rcpt#:
000051370
28.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014670
VSI Rcpt#:
000051372
35.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014671
VSI Rcpt#:
000051376
24.00
RECTRAC
03/15/11 99
CR
02090
09/11
CR
03/15/11
0014672
VSI Rcpt#:
000051338
50.00
RECTRAC
03/15/11 99
CR
02227
09/11
CR
03/15/11
0016411
VSI Rcpt#:
000051235
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016412
VSI Rcpt#:
000051245
27.00
RECTRAC
03/15/11 96
CR
02227
09/11'
CR
03/15/11
0016413
VSI Rcpt#:
000051133
20.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016414
VSI Rcpt#:
000051226
24.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016415
VSI Rcpt#:
000051322
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016416
VSI Rcpt#:
000051174
35.00
RECTRAC
03/15/11 96
CR
02227.
09/11
CR
03/15/11
0016417
VSI Rcpt#:
000051253
30.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016418
VSI Rcpt#:
000051254
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016419
VSI Rcpt#:
000051245
27.00
-
RECTRAC
03/15/11 96
PREPARED
—.17/2014,
10:19:00
GENERAL LEDGER N6iIVITY LISTING
FAbt 758
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING-
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
02227
09/11
CR
03/15/11
0016420
VSI Rcpt#:
000051126
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016421
VSI Rcpt#:
000051125
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016422
VSI Rcpt#:
000051304
24.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016423
VSI Rcpt#:
000051221
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016424
VSI Rcpt#:
000051296
21.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016425
VSI Rcpt#:
000051686
16.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016426
VSI Rcpt#:
000051194
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016427
VSI Rcpt#:
000051535
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016428
VSI Rcpt#:
000051176
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016429
VSI Rcpt#:
000051409
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016430
VSI Rcpt#:
000051113
25.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016431
VSI Rcpt#:
000051297
30.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016432
VSI Rcpt#:
000051296
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016433
VSI Rcpt#:
000051760
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016434
VSI Rcpt#:
000051144
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016435
VSI Rcpt#:
000051401
30.00
RECTRAC
03/15/11 96
CR
02227_
09/11
CR
03/15/11
0016436
VSI Rcpt#:
000051144
30.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016437
VSI Rcpt#:
000051176
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016438
VSI Rcpt#:
000051176
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016439
VSI Rcpt#:
000051176
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016440
VSI Rcpt#:
000051579
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15%11
0016441
VSI Rcpt#:
000051761
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016442
VSI Rcpt#:
000051542
16.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016443
VSI Rcpt#:
000051535
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016444
VSI Rcpt#:
000050906
75.00
PREPARED
-..17/2014, 10:19:00
GENERAL LEDGER m�iIVITY LISTING
FAwc 759
PROGRAM
GM362LA
CITY OF°LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------
NUMBER
PER.
:
CD
DATE
NUMBER D
E S C R I P T
I O N DEBITS
CREDITS
BALANCE
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016445
VSI Rcpt#:
000051534
20.00
RECTRAC
03/15/11 96
CR
02227
09/11,
CR
03/15/11
0016446
VSI Rcpt#:
000050895
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016447
VSI Rcpt#:
000050967
12.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016448
VSI Rcpt#:
000050967
12.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016449
VSI Rcpt#:
000050967
6.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016450
VSI Rcpt#:
000050967
16.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016451
VSI Rcpt#:
000050935
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016452
VSI Rcpt#:
000050885
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016453
VSI Rcpt#:
000050906
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016454
VSI Rcpt#:
000051096
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016455
VSI Rcpt#:
000051095
27.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016456
VSI Rcpt#:
000050880
30.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016457
VSI Rcpt#:
000050941
21.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016458
VSI Rcpt#:
000050935
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016459
VSI Rcpt#:
000050870
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016460
VSI Rcpt#:
000050832
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016461
VSI Rcpt#:
000050870
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016462
VSI Rcpt#:
000050869
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016463
VSI Rcpt#:
000050967
10.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016464
VSI Rcpt#:
000050967
16.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016465
VSI Rcpt#:
000050967
16.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016466
VSI Rcpt#:
000050832
35.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11'0016467
VSI Rcpt#:
000050967
12.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016468
VSI Rcpt#:
000050979
24.00
RECTRAC
03/15/11 96
PREPARED
_._17/20.14,
10:19:00
GENERAL LEDGER — IVITY 'LISTING
FAuc 760
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------------------------------------=-------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE.
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
02227
09/11
CR
03/15/11
0016469
VSI Rcpt#:
000050868
20.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016470
VSI Rcpt#:
000050911
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016471
VSI Rcpt#:
000051013
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016472
VSI Rcpt#:
000050997
75.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016473
VSI Rcpt#:
000050850
30.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016474
VSI Rcpt#:
000051013
28.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016475
VSI Rcpt#:
000051013
50.00
RECTRAC
03/15/11 96
CR
02227
09/11
CR
03/15/11
0016476
VSI Rcpt#:
000050992
75.00
RECTRAC
03/15/11 96
CR
02096
09/11
CR
03/16/11
0014730
VSI Rcpt#:
000051417
35.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014731
VSI Rcpt#:
000051393
17.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014732
VSI Rcpt#:
000051428
8.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014733
VSI Rcpt#:
000051421
28.00
RECTRAC
03/16/11 99
CR
O,2096
09/11
CR
03/16/11
0014734
VSI Rcpt#:
000051394
17.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014735
VSI Rcpt#:
000051412
40.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014736
VSI Rcpt#:
000051415
75.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014737
VSI Rcpt#:
000051416
21.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014738
VSI Rcpt#:
000051414
40.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014739
VSI Rcpt#:
000051391
75.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014740
VSI Rcpt#:
000051390
10.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014741
VSI Rcpt#:
000051386
25.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014742
VSI Rcpt#:
000051387
25.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014743
VSI Rcpt#:
000051389
10.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/.11
0014744
VSI Rcpt#:
000051392
75.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014745
VSI Rcpt#:
000051395
75.00
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014746
VSI Rcpt#:
000051396
75.00
PREPARED L7/2014, 1'0:19:00 GENERAL LEDGER-._.IVITY LISTING FNuc 761
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG - ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- %
Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 03/16/11 99
CR
02096
09/11
CR
03/16/11
0014747
VSI Rcpt#:
000051418
RECTRAC
03/16/11 99
CR
02096
09/11
CR
03/16/11
0014748
VSI Rcpt#:
000051433
RECTRAC
03/16/11 99
GM
02084
09/11
AP
03/16/11
0091219
MCCLURE, HELEN
51388
REFUND
GM
02084
09/11
AP
03/16/11
0091184
EAGLE, NANCY
51385
REFUND
GM
02084
09/11
AP
03/16/11
0091225
O'DOHERTY,
BRENDA
51434
REFUND
CR
02103
09/11
CR
03/17/11
0014827
VSI Rcpt#:
000051489
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014828
VSI Rcpt#:
000051454
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014829
VSI Rcpt#:
000051482
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014830
VSI Rcpt#:
000051481
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014831
VSI Rcpt#:
000051453
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014832
VSI Rcpt#:
000051470
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014833
VSI Rcpt#:
000051476
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014834
VSI Rcpt#:
000051485
RECTRAC
03/17/11 98
CR
02103
09/1.1
CR
03/17/11
0014835
VSI Rcpt#:
000051487
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014836
VSI Rcpt#:
000051460
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014837
VSI Rcpt#:
000051484
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014838
VSI Rcpt#:
000051486
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014839
VSI Rcpt#:
000051459
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014840
VSI Rcpt#:
000051471
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014841
VSI Rcpt#:
000051473
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014842
VSI Rcpt#:
000051469
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014843
VSI Rcpt#:
000051480
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014844
VSI Rcpt#:
000051483
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014845
VSI Rcpt#:
000051488
RECTRAC
03/17/11 98
35.00
35.00
18.00
8.00
105.00
8.00
17.00
8.00
8.00
17.00
8.00
8.00
35.00
8.00
17.00
35.00
8.00
17.00
8.00
35.00
8.00
8.00
35.00
8.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER MV,IVITY LISTING FAWt 762
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD . DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------
101=3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
02103
09/11
CR
03/17/11
0014846
VSI Rcpt#:
000051478
RECTRAC
03/17/11
98
CR
02103
09/11
CR
03/17/11
0014847
VSI Rcpt#:
000051477
RECTRAC
03/17/11
98
CR
02103.
09/11
CR
03/17/11
0014848
VSI Rcpt#:
000051450
RECTRAC
03/17/11
98
CR
02103
09/11
CR
03/17/11
0014849
VSI Rcpt#:
000051456
RECTRAC
03/17/11
98
CR
02103
09/11
CR
03/17/11
0014850'
VSI Rcpt#:
000051458
RECTRAC
03/17/11
98
CR
02103
09/11
CR
03/17/11
0014851
VSI Rcpt#:
000051468
RECTRAC
03/17/11
98
CR
02103
09/11
CR
03/17/11
0014852
VSI Rcpt#:
000051472
RECTRAC
03/17/11
98
CR
0103
09/11
CR
03/17/11
0014817
.VSI Rcpt#:
000051451
RECTRAC
03/17/11
99
GM
02198
10/11
AP
03/17/11
0091416
FOWLER, ALAN
51462
REFUND
CR
02110
09/11
CR
03/18/11
0014896
VSI Rcpt#:
000051506
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/18/11
0014897
VSI Rcpt#:
000051509
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/18/11
0014898
VSI Rcpt#:
000051511
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/18/11
0014899
VSI Rcpt#:
000051512
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/18/11
0014900
VSI Rcpt#:
000051507
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/18/11
0014901
VS'I Rcpt#:
000051513
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03/1,8/11
0014902
VSI Rcpt#:
000051508
RECTRAC
03/18/11
99
CR
02.110
09/11
CR
03/18/11
0014903
VSI Rcpt#:
000051510
RECTRAC
03/18/11
99
CR
02110
09/11
CR
03%18/11
0014904
VSI Rcpt#:
000051514
RECTRAC
03/18/11
99
GM
02198
10/11
AP
03/18/11
0091460
MORONE, MARGARET
51492.
REFUND
GM
02198
10/11
AP
03/18/11
0091457 -
MCCABE, JOAN
51493
REFUND
CR
02126
09/11
CR
03/21/11
0014956
VSI Rcpt#:
000051552
RECTRAC
03/21/11
99
CR
021261
09/11
CR
03/21/11
0014957
VSI Rcpt#:
000051551
•
RECTRAC
03/21/11
99
CR
02126
09/11
CR
03/21/11
0014958
VSI Rcpt#:
000051549
.
RECTRAC
03/21/11
99
CR
02126
09/11
CR
03/21/11
0014959
VSI Rcpt#:
000051536
RECTRAC
03/21/11
99
CR
02126
•09/11
CR
03/21/11
0014960
VSI Rcpt#:
000051537
30.00
24.00
24.00
8.00
8.00
45.00
17.00
17.00
8.00
8.00
30.00
40.00
10.00
8.00
8.00
60.00
8.00
10.00
25.00
8.00
20.00
60.00
14.00
20.00
4.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER IVITY LISTING FAbt 763
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER • D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
30.00
30.00
24.00
25.00
7.00
39.00
f45. 00
8.00
75.00
50.00
10.00
10.00
10.00
8.00
8.00
50.00
75.00
75.00
35.00
17.00
17.00
4.00
17.00
35.00
RECTRAC
03/21/11 99
CR
02126
09/11
CR
03/21/11
0014961
VSI Rcpt#:
000051543
-RECTRAC
03/21/11 99
CR
02126
09/11
CR
03/21/11
0014962
VSI Rcpt#:
000051550
RECTRAC
03/21/11 99
GM
02198
10/11
AP
03/21/11
0091487
RIANO, AURORA
51540
REFUND
GM
02198
10/11
AP
03/21/11
0091405
EADE, GIL
51538
REFUND
GM'02198
10/11
AP
03/21/11
0091471
OSTROW, COOKIE
51541
REFUND
CR
02142
09/11
CR
03/22/11
0015289
VSI Rcpt#:
000051580
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015290
VSI Rcpt#:
000051590
RECTRAC
03/22/1'1 99
CR
02142
09/11
CR
03/22/11
0015291
VSI Rcpt#:
000051573
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015292,
VSI Rcpt#:
000051591
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015293
VSI Rcpt#:
000051570
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015294
VSI Rcpt#:
000051581
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015295
VSI Rcpt#:
000051569
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015296
VSI Rcpt#:
000051587
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015297
VSI Rcpt#:
000051588
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015298
VSI Rcpt#:
000051592
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015299
VSI Rcpt#:
000051596
RECTRAC
03/22/11 99
CR
02142
09/11
CR
03/22/11
0015300
VSI Rcpt#:
000051598
RECTRAC
03/22/11 99
GM
02198
10/11
AP
03/22/11
0091447
LAKE, JOAN
51560
REFUND
CR
02148
09/11
CR
03/23/11
0015388
VSI Rcpt#:
000051611
RECTRAC
03/23/11 99
CR
02148
09/11
CR
03/23/11
0015389
VSI Rcpt#:
000051610
RECTRAC
03/23/11 99
CR
02148
09/11
CR
03/23/11
0015390
VSI Rcpt#:
000051609
RECTRAC
03/23/11 99
CR
02148
09/11
CR
03/23/11
0015391
VSI Rcpt#:
000051607
RECTRAC
03/23/11 99
CR
02148
09/11
CR
03/23/11
0015392
VSI Rcpt#:
000051608
RECTRAC
03/23/11 99
CR
02148
09/11
CR
03/23/11
0015393
VSI Rcpt#:
000051612
RECTRAC
03/23/11.99
30.00
30.00
24.00
25.00
7.00
39.00
f45. 00
8.00
75.00
50.00
10.00
10.00
10.00
8.00
8.00
50.00
75.00
75.00
35.00
17.00
17.00
4.00
17.00
35.00
PREPARED __.17/2014, 10:19:00 GENERAL LEDGER mtiIVITY LISTING FAVI 764
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG -- TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
02148
09/11
CR
03/23/11
0015394
VSI Rcpt#:
000051612
RECTRAC
03/23/11
99
CR
02148
09/11
CR
03/23/11
0015395
VSI Rcpt#:
000051613
RECTRAC
03/23/11
99
CR
02148
09/11
CR
03/23/11
0015396
VSI Rcpt#:
000051624
RECTRAC
03/23/11
99
CR
02148
09/11
CR
03/23/11
0015397
VSI Rcpt#:
000051626
RECTRAC
03/23/11
99
GM
02198
10/11
AP
03/23/11
0091440
KIM, TAE H
51616
REFUND
CR
02163
09/11
CR
03/24/11
0015471
VSI Rcpt#:
000051664
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015472
VSI Rcpt#:
000051663
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015473
VSI Rcpt#:
000051669
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015474
VSI Rcpt#:
000051672
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015475
VSI Rcpt#:
000051673
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015476
VSI Rcpt#:
000051670
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015477
VSI Rcpt#:
000051662
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015478
VSI Rcpt#:
000051628
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015479
VSI Rcpt#:
000051629
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015480
VSI Rcpt#:
000051630
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015481
VSI Rcpt#:
000051631
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015482
VSI Rcpt#:
000051632
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015483
VSI Rcpt#:
000051633
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015484
VSI Rcpt#:
000051647
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015485
VSI Rcpt#:
000051660
RECTRAC
03/24/11
99
CR
02163
09/11
CR
03/24/11
0015486
VSI Rcpt#:
000051661
RECTRAC
03/24/11
99
CR
02169
09/11
CR
03/25/11
0015534
VSI Rcpt#:
000051692
RECTRAC
03/25/11
99
CR
02169
09/11
CR
03/25/11
0015535
VSI Rcpt#:
000051691
RECTRAC
03/25/11
99
CR
02169
09/11
CR
03/25/11
0015536
VSI Rcpt#:
000051693
•
RECTRAC
03/25/11
99
CR
02169
09/11
CR
03/25/11
0015537
VSI Rcpt#:
000051694
60.00
16.00
8.00
75.00
102.00
8.00
8.00
8.00
8.00
8.00
8.00
8.00
17.00
17.00
17.00
17.00
17.00
17.00
17.00
8.00
8.00
16.00
20.00
4.00
8.00
PREPARED _ ._7/2014, 10:19:00 GENERAL LEDGER ..-.1VITY LISTING F..__ 765
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 03/25/11 99
CR
02169
09/11
CR
03/25/11
0015538
VSI Rcpt#:
000051695
RECTRAC
03/25/11 99
CR
02169
09/11
CR
03/25/11
0015539
VSI Rcpt#:
000051696
RECTRAC
03/25/11 99
CR
02169
09/11
CR
03/25/11
0015540
VSI Rcpt#:.000051708
RECTRAC
03/25/11 99
GM
02198
10/11
AP'03/25/11
0091455
MARROTTE,
ROSE
51676
REFUND
CR
02176
09/11
CR
03/28/11
0015604
VSI Rcpt#:
000051736
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015605
VSI Rcpt#:
000051751
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015606
VSI Rcpt#:
000051743
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015607
VSI Rcpt#:
000051736
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015608
VSI Rcpt#:
000051731
RECTRAC
03/28/11 99
CR
0Z176
09/11
CR
03/28/11
0015609
VSI Rcpt#:
000051731
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015610
VSI Rcpt#:
000051732
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015611
VSI Rcpt#:
000051733
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015612
VSI Rcpt#:•000051734
RECTRAC •
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015613
VSI Rcpt#:
000051735
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015614
VSI Rcpt#:
000051745
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015615
VSI Rcpt#:
000051754
RECTRAC
03/28/11 99
CR
02176
09/11
CR
03/28/11
0015616
VSI Rcpt#:
000051755
RECTRAC
03/28/11 99
CR
02187
09/11
CR
03/29/11
0015676
VSI Rcpt#:
000051772
RECTRAC
03/29/11 98
CR
02187
09/11
CR
03/29/11
0015671
VSI Rcpt#:
000051783
RECTRAC
03/29/11 99
CR
02187
09/11
CR
03/29/11
0015672
VSI Rcpt#:
000051779
RECTRAC
03/29/11 99
CR
02187
09/11
CR
03/29/11
0015673
VSI Rcpt#:
000051780
RECTRAC
03/29/11 99
CR
02187
09/11
CR
03/29/11
0015674
VSI Rcpt#:
000051782
RECTRAC
03/29/11 99
GM
02198
10/11
AP
03/29/11
0091409
ELSENER, LEONARD
F
51795
REFUND
CR
02206
09/11
CR
03/30/11
0016021
VSI Rcpt#:
000051810
RECTRAC
03/30/11 99
30.00
55.00
35.00
35.00
63.00
7.00
43.50
75.00
4.00
4.00
16.00
16.00
4.00
4.00
16.00
57.00
16.00
14.00
45.00
10.00
10.00
20.00
20.00
16.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING Fmwm 766
PROGRAM GM362LA
CITY -OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------"-------------------------------- -------- ---
101-3000-342.70=00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
02206
09/11
CR
03/30/11
0016022
VSI Rcpt#:
000051817
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016023
VSI Rcpt#:
000051800
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016024
VSI Rcpt#:
000051809
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016025
VSI Rcpt#:
000051820
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016026
VSI Rcpt#:
000051819
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016027
VSI Rcpt#:
000051800
RECTRAC
03/30/11
99•
CR
02206
09/11
CR
03/30/11
0016028
VSI Rcpt#:
000051806
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016029
VSI Rcpt#:
000051813
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016030
VSI Rcpt#:
000051818
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016031
VSI Rcpt#:
000051801
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016032
VSI Rcpt#:
000051801
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016033
VSI Rcpt#:
000051807
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016034
VSI Rcpt#:
000051808
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016035
VSI Rcpt#:
000051811
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016036
VSI Rcpt#:
000051812
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016037
VSI Rcpt#:
000051814
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016038
VSI Rcpt#:
000051815
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016039
VSI Rcpt#:
000051816
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016040
VSI Rcpt#:
000051819
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016041
VSI Rcpt#:
000051821
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016042
VSI Rcpt#:
000051829.
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016043
VSI Rcpt#:
000051830
RECTRAC
03/30/11
99
CR
02206
09/11
CR
03/30/11
0016044
VSI Rcpt#:
000051833
RECTRAC
03/30/11
99
GM
02251
10/11
AP
03/30/11
0091454
MANCINI, MARILYN
51822
REFUND
GM
02251
10/11
AP
03/30/11
0091454
MANCINI, MARILYN
11.00
30.00
30.00
7.00
4.00
35.00
35.00
4.00
17.00
16.00
21.00
35.00
16.00
16.00.
35.00
4.00
16.00
16.00
17.00
35.00
16.00
35.00
89.25
28.00
16.00
PREPARED
17/2014, 10:19:00
GENERAL LEDGER ..-.IVITY LISTING
Fham 767
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND•101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
CREDITS
BALANCE
101m3000-342.70
00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
51823
REFUND
CR
02212
09/11
CR
03/31/11
0016137
VSI Rcpt#:
000051847
24.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016138
VSI Rcpt#:
000051839
17.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016139
VSI Rcpt#:
000051841
17.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016140
VSI Rcpt#:
000051846
17.00
RECTRAC
03/31/11 98
CR
012212
09/11
CR
03/31/11
0016141
VSI Rcpt#:
000051863
8.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016142
VSI Rcpt#:
000051840
17.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016143
VSI Rcpt#:
000051842
17.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016144
VSI Rcpt#:
000051845
16.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016145
VSI Rcpt#:
000051856
8.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016146
VSI Rcpt#:
000051858
8.00
RECTRAC
03/31/11 98
CR
02212
09/11
CR
03/31/11
0016147
VSI Rcpt#:
000051859
8.00
RECTRAC
03/31/11 98
CR
O.2212
09/11
CR
03/31/11
0016148
VSI Rcpt#:
000051861
8.00
RECTRAC
03/31/11 98
CR
02223
10/11
CR
04/01/11
0016178
VSI Rcpt#:
000051891
35.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016179
VSI Rcpt#:
000051873
35.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016180
VSI Rcpt#:
000051887
16.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016181
VSI Rcpt#:
000051891
35.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016182
VSI Rcpt# :
000051884
16.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016183
VSI Rcpt#:
000051873
16.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016184
VSI Rcpt#:
000051885
16.00
•
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016185
VSI Rcpt#:
000051886
16.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016186
VSI Rcpt#:
000051888
16.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016187
VSI Rcpt#:
000051889
16.00
RECTRAC
04/01%11 99
CR
02223
10/11
CR
04/01/11
0016188
VSI Rcpt#:
000051868
35.00
RECTRAC
04/01/11 99
CR
02223
10/11
CR
04/01/11
0016189
VSI Rcpt#:
000051869
35.00
RECTRAC
04/01/11 99
PREPARED —.17/2014, 10:19:00 GENERAL LEDGER--1VITY LISTING F„vc 768
PROGRAM GM362LA
CITY OF LA QUINTA,*CALIFORNIA
----------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------- --------------- -------------------- ----------- ------------------ --------- ----
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
02223
10/11
CR
04/01/11
0016190
VSI Rcpt#:
000051870
RECTRAC
04/01/11
99
CR
02223
10/11
CR
04/01/11
0016191
VSI Rcpt#:
000051891
RECTRAC
04/01/11
99
CR
02223
10/11
CR
04/01/11
0016192
VSI Rcpt#:
000051872
RECTRAC
04/01/11
99
CR
02223
10/11
CR
04/01/11
0016193
VSI Rcpt#:
000051890
RECTRAC
04/01/11
99
CR
02223
10/11
CR
04/01/11
0016194
VSI Rcpt#:
000051893
RECTRAC
04/01/11
99
CR
02223
10/11
CR
04/01/11
0016195
VSI Rcpt#:
000051896
RECTRAC
04/01/11
99
CR
02224
10/11
CR
04/04/11
0016232
VSI Rcpt#:
000051948
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016233
VSI Rcpt#:
000051924
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016234
VSI Rcpt#:
000051925
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016235
VSI Rcpt#:
000051926
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016236
VSI Rcpt#:
000051927
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016237
VSI Rcpt#:
000051928
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016238
VSI Rcpt#:
000051929
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016239
VSI Rcpt#:
000051942
RECTRAC
04/04/11
99
CR
02224
10/11
CR
04/04/11
0016240
VSI Rcpt#:
000051943
RECTRAC
04/04/1199
CR
02265
10/11
CR
04/05/11
0016495
VSI Rcpt#:
000051978
RECTRAC
04/05/11
99
CR
02265
10/11
CR
04/05/11
0016496
VSI Rcpt#:
000051988
RECTRAC •
04/05/11
99
CR
02265
10/11
CR
04/05/11
0016497
VSI Rcpt#:
000051993
RECTRAC
04/05/11
99
CR_02265
10/11
CR
04/05/11
0016498
VSI Rcpt#:
000051996
RECTRAC
04/05/11
99
CR
02265
10/11
CR
04/05/11
0016499
VSI Rcpt#:
000051995
RECTRAC
04/05/11
99
CR
02265
10/11
CR
04/05/11
0016500
VSI Rcpt#:
000051994
RECTRAC
04/05/11
99
GM
02251
10/11
.AP
04/05/11
0091497
SMALL, DIANNE
51992
REFUND
CR
02271
10/11.
CR
04/06/11
0016549
-VSI Rcpt#:
000052011
RECTRAC
04/06/11
99
CR
02271
10/11
CR
04/06/11
0016550
VSI Rcpt#:
000052014
RECTRAC
04/06/11
99
CR
02271
10/11
CR
04/06/11
0016551
VSI Rcpt#:
000052037
22.00
35.00
35.00
35.00
16.00
66.00
27.00
14.00
5.00
16.00
16.00
35.00
7.00
35.00
27.00
66.00
27.00
28.00
28.00
27.00
27.00
28.00
16.00
16.00
24.00
PREPARED
_ _7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
PNoc 769
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---- --------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
RECTRAC
04/06/11 99
CR
02271
10/11
CR
04/06/11
0016552
VSI Rcpt#:
000052009
16.00
RECTRAC
04/06/11 99
CR
02271
10/11
CR
04/06/11
0016553
VSI Rcpt#:
000052012
17.00
RECTRAC
04/06/11 99
CR
02271.
10/11
CR
04/06/11
0016554
VSI Rcpt#:
000052013
17.00
RECTRAC
04/06/11 99
CR
02271
10/11
CR
04/06/11
0016555
VSI Rcpt#:
000052016
17.00
RECTRAC
04/06/11 99
CR
02271
10/11
CR
04/06/11
0016556
VSI Rcpt#:
000052036
82.25
RECTRAC
04/06/11 99
CR
02278
10/11
CR
04/07/11
0016822
VSI Rcpt#:
000052089
30.00
RECTRAC
04/07/11 98
CR
02278
10/11
CR
04/07/11
0016812
VSI Rcpt#:
000052108
8.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016813
VSI Rcpt#:
000052084
17.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016814
VSI Rcpt#:
000052085
17.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016815
VSI Rcpt#:
000052086
17.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016816
VSI Rcpt#:
000052104
8.00
RECTRAC
04/07/11 99
CR•02278
10/11
CR
04/07/11
0016817
VSI Rcpt#:
000052105
8.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016818
VSI Rcpt#:
000052106
8.00
RECTRAC
04/07/11 99
CR
02278
10/11
CR
04/07/11
0016819
VSI Rcpt#:
000052107
75.00
RECTRAC
04/07/11 99
CR
02284
10/11
CR
04/08/11
0016875
VSI Rcpt#:
000052118
4.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016876
VSI Rcpt#:
000052124
16.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016877
VSI Rcpt#:
000052123
4.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016878
VSI Rcpt#:
000052126
12.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016879
VSI Rcpt#:
000052121
4.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016880
VSI Rcpt#:
000052120
4.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016881
VSI Rcpt#:
000052128
30.00
•
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016882
VSI Rcpt#:
000052134
51.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016883
VSI Rcpt#:
000052117
16.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016884
VSI Rcpt#:
000052119
16.00
RECTRAC
04/08/11 99
PREPARED
.7/2014, 10:19:00
GENERAL LEDGER .—IVITY LISTING
P— 770
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING.
GROUP ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure Enrichmt
CR
02284
10/11
CR
04/08/11
0016885
VSI Rcpt#:
000052122
4.00
RECTRAC
04/08/11 99
CR
02509
10/11
CR
04/10/11
0019404
VSI Rcpt#:
000052332
75.00
RECTRAC
04/10/1199
CR
02509
10/11
CR
04/10/11
0019405
VSI Rcpt#:
000052331
75.00
RECTRAC
04/10/11 99'
CR
02509
10/11
CR
04/10/11
0019406
VSI Rcpt#:
000051932
24.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019407
VSI Rcpt#:
000051916
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019408
VSI Rcpt#:
000051917 '
27.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019409
VSI Rcpt#:
000052332
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019410
VSI Rcpt#:
000052396
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019411
VSI Rcpt#:
000052373
20.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019412
VSI Rcpt#:
000052393
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019413
VSI Rcpt#:
000052277
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019414
VSI Rcpt#:
000051882
35.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019415
VSI Rcpt#:
000052188
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019416
VSI Rcpt#:
000052188
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019417
VSI Rcpt#:
000052533
35.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019418
VSI Rcpt#:
000052483
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019419
VSI Rcpt#:
000052533
35.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019420
VSI Rcpt#:'000052550
16.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019421
VSI Rcpt#:
000052483
75.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019422
VSI Rcpt#:
000052550
35.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019423
VSI Rcpt#:
000052550
35.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019424
VSI Rcpt#:
000052564
16.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019425
VSI Rcpt#:
000052550
16.00
RECTRAC
04/10/11 99
CR
02327
10/11
CR
04/11/11
0016978
VSI Rcpt#:
000052192
5.00
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016979
VSI Rcpt#:
000052191
35.00
PREPARED
.7/2014,
10:19:00
GENERAL LEDGER .._.lVITY LISTING
Pram 771
PROGRAM
GM362LA
CITY
------------------------------------------------------------------------------------------------------------------------------------
OF LA
QUINTA, CALIFORNIA
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----------------------------------------------------------------------------------------------------------------------------•--------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
•101-3000-342.70-00
Charges for Services /
Sr Ctr Leisure
Enrichmt
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016980
VSI Rcpt#:
000052189
16.00
•
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016981
VSI Rcpt#:
000052190
16.00
RECTRAC
04/11/'11 99
CR
02327
10/11
CR
04/11/11
0016982
VSI Rcpt#:
000052193
35.00
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016983
VSI Rcpt#:
000052196
16.00
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016984
VSI Rcpt#:
000052197
16.00
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016985
VSI Rcpt#:
000052204
54.00
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016986
VSI Rcpt#:
000052208
28.50
RECTRAC
04/11/11 99
CR
02327
10/11
CR
04/11/11
0016987
VSI Rcpt#:
000052210
14.00
RECTRAC
04/11/11 99
CR
02339
10/11
CR
04/13/11
0017593
VSI Rcpt#:
000052240
75.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017594
VSI Rcpt#:
000052241
17.00
RECTRAC
04/13/11 99
CR
02339.
10/11
CR
04/13/11
0017595
VSI Rcpt#:
000052242
17.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017596
VSI Rcpt#:
000052243
7.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017597
VSI Rcpt#:
000052246
35.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017598
VSI Rcpt#:
000052247
35.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017599
VSI Rcpt#:
000052248
75.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017600
VSI'Rcpt#:
000052253
82.25
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017601
VSI Rcpt#:
000052254
35.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017602
VSI Rcpt#:
000052254
35.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017603
VSI Rcpt#:
000052255
30.00
RECTRAC
04/13/11 99
CR
02339
10/11
CR
04/13/11
0017604
VSI Rcpt#:
000052255
75.00
RECTRAC
04/13/11 99
CR
02347
10/11
CR
04/14/11
0017680
VSI Rcpt#:
000052278
8.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017681
VSI Rcpt#:
000052263
17.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017682
VSI Rcpt#:
000052272
45.00
•
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017683
VSI Rcpt#:
000052283
75.00
RECTRAC
04/14/11 98
PREPARED
.7/2014,
10:19:00
GENERAL LEDGER .—IVITY LISTING
Frwm 772
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
02347
10/11
CR
04/14/11
0017684
VSI Rcpt#:
000052266
17.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017685
VSI Rcpt#:
000052267
75.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017686
VSI Rcpt#:
000052279
8.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017687
VSI Rcpt#:
000052280
8.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017688
VSI Rcpt#:
000052281
75.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017689
VSI Rcpt#:
000052282
75.00
RECTRAC
04/14/11 98
CR
02347
10/11
CR
04/14/11
0017690
VSI Rcpt#:
000052284
75.00
RECTRAC
04/14/11 98
GM
02294
10/11
AP
04/14/11
0091405
EADE, GIL
30.00
51538
REFUND
GM
02295
10/11
AP
04/14/11
0091471
OSTROW, COOKIE
24.00
51541
REFUND
GM
OZ296
10/11
AP
04/14/11
0091487
RIANO, AURORA
30.-00
51540
REFUND
CR
02359
10/11
CR
04/15/11
0017772
VSI Rcpt#:
000052311
54.00
RECTRAC
04/15/11 98
CR
02365
10/11
CR
04/18/11
0017835
VSI Rcpt#:
000052360
40.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017836
VSI Rcpt#:
000052359
40.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017837
VSI Rcpt#:
000052337
5.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017838
VSI Rcpt#:
000052352
75.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017839
VSI Rcpt#:
000052347
5.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017840
VSI Rcpt#:_000052339
4.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017841
VSI Rcpt#:
000052344
7.00
RECTRAC
04/18/11 99 '
CR
02365
10/11
CR
04/18/11
0017842
VSI Rcpt#:
000052346 '
7.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017843
VSI Rcpt#:
000052358
40.00
RECTRAC '
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017844
VSI Rcpt#:
000052356
33.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017845
VSI Rcpt#:
000052351
48.00
RECTRAC
04/18/11 99
CR
02365
10/11'
CR
04/18/11
0017846
VSI Rcpt#:
000052355
14.00
RECTRAC
04/18/11 99
CR
02371
10/11 -
CR
04/19/11
0017907
VSI Rcpt#':
000052389
40.00
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017908
VSI Rcpt#:
000052384
10.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER ..-IVITY LISTING Fr 773
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure' Enrichmt
RECTRAC 04/19/11 99
CR
02371
10/11
CR
04/19/11
0017909
VSI Rcpt#:
000052383
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017910
VSI Rcpt#:
000052379
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017911
VSI Rcpt#:
000052379
RECTRAC
04/19/11 99
CR
02378
10/11
CR
04/20/11
0017980
VSI Rcpt#:
000052422
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017981
VSI Rcpt#:
000052423
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017982
VSI Rcpt#:
000052424
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017983
VSI Rcpt#:
000052425
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017984
VSI Rcpt#:
000052426
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017985
VSI Rcpt#:
000052427
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017986
VSI Rcpt#:
000052428
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017987
VSI Rcpt#:
000052438
RECTRAC
04/20/11 98
CR
02384
10/11
CR
04/21/11
0018053
VSI Rcpt#:
000052441
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018054
VSI Rcpt#:
000052442
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018055
VSI Rcpt#:
000052443
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018056
VSI Rcpt#:
000052444
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018057
VSI Rcpt#:
000052445
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018058
VSI Rcpt#:
000052470
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018059
VSI Rcpt#:
000052471
RECTRAC
04/21/11 99
CR
02388
10/11
CR
04/22/11
0018207
VSI Rcpt#:
000052492
RECTRAC
04/22/11 99
CR
02388
10/11
CR
04/22/11
0018208
VSI Rcpt#:
000052496
RECTRAC
04/22/11 99
CR
02388
10/11
CR
04/22/11
0018209
VSI Rcpt#:
000052494
RECTRAC
04/22/11 99
CR
02388
10/11
CR
04/22/11
0018210
VSI Rcpt#:
000052495
RECTRAC
04/22/11 99
CR
02388
10/11
CR
04/22/11
0018211
VSI Rcpt#:
000052498
RECTRAC
04/22/11 99
CR
02395
10/11
CR
04/25/11
0018248
VSI Rcpt#:
000052524
RECTRAC
04/25/11 99
10.00
20.00
20.00
4.00
4.00
17.00
4.00
17.00
7.00
7.00
63.00
75.00
75.00
17.00
17.00
75.00
75.00
75.00
27.00
7.00
4.00
4.00
75.00
20.00
PREPARED
---17/2014,
10:19:00
GENERAL LEDGER — IVITY LISTING
FNuc 774
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
' DATE
NUMBER D
E S C R I P T
1 0 N DEBITS
CREDITS
BALANCE °
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
02395
10/11
CR
04/25/11
0018249
VSI Rcpt#:
000052525
4.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018250
VSI Rcpt#:
000052526
4.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018251
VSI Rcpt#:
000052527
16.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018252
VSI Rcpt#:
000052529
16.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018253
VSI Rcpt#:
000052530
16.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018254
VSI Rcpt#:
000052539
30.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018255
VSI Rcpt#:
000052537
14.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018256
VSI Rcpt#:
000052538
62.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
00.18257
VSI Rcpt#:
000052539
75.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018258
VSI Rcpt#:
000052540
21.00
RECTRAC
04/25/11 99
CR
02395
10/11
CR
04/25/11
0018259
VSI Rcpt#:
000052546
40.00
RECTRAC
04/25/11 99
CR
02397
10/11
CR
04/26/11
0018247
VILLASENOR
30.00
MMENDOZA
04/26/11 01
CR
02401
10/11
CR
04/26/11
0018330
VSI Rcpt#:
000052554
45.00
RECTRAC
04/26/11 98
CR
02401
10/11
CR
04/26/11
0018320
VSI Rcpt#:
000052552
8.00
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018321
VSI Rcpt#:
000052553
20.00
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018322
VSI Rcpt#:
000052560
6.00
RECTRAC"
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018323
VSI Rcpt#:
000052556
45.00
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018324
VSI Rcpt#:
000052557
20.00
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018325
VSI Rcpt#:
000052558
10.00
•
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018326
VSI Rcpt#:
000052559
8.00
RECTRAC
04/26/11 99
CR
02434
10/11
CR
04/27/11
0018640
VSI Rcpt#:
000052569
35.00
.RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018641
VSI Rcpt#:
000052571
16.00
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018642
VSI Rcpt#:
000052572
4.00
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018643
VSI Rcpt#:
000052572
16.00
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018644
VSI Rcpt#:
000052573'
4.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER--.1VITY LISTING Fmwc 775
PROGRAM GM362LA-
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------------------- -------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 04/27/11 99
CR
02434
10/11
CR
04/27/11
0018645
VSI Rcpt#:
000052574
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018646
VSI Rcpt#:
000052575
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018647
VSI Rcpt#:
000052579
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018648
VSI Rcpt#:
000052580
RECTRAC
04/27/11 99
CR
02434
10/11
CR
04/27/11
0018649
VSI Rcpt#:
000052584
RECTRAC
04/27/11 99
CR
02443
10/11
CR
04/28/11
0018720
VSI Rcpt#:
000052593
RECTRAC
04/28/11 98
CR
02443
10/11
CR
04/28/11
0018721
VSI Rcpt#:
000052594
RECTRAC
04/28/11 98
CR
02443
10/11
CR
04/28/11
0018722
VSI Rcpt#:
000052595
RECTRAC
04/28/11 98
CR
02443
10/11
CR
04/28/11
0018723
VSI Rcpt#:
000052600
RECTRAC
04/28/11 98
CR
02443
10/11
CR
04/28/11
0018724
VSI Rcpt#:
000052602
RECTRAC
04/28/11 98
CR
02450
10/11
CR
04/29/11
0018757
VSI Rcpt#:
000052635
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018758
VSI Rcpt#:
000052636
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018759
VSI Rcpt#:
000052654
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018760
VSI Rcpt#:
000052652
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018761
VSI Rcpt#:
000052613
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018762
VSI Rcpt#:
000052640
RECTRAC
b4/29/11 99
CR
02450
10/11
CR
04/29/11
0018763
VSI Rcpt#:
000052623
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018764
VSI Rcpt#:
000052642
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018765
VSI Rcpt#:
000052623
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018766
VSI Rcpt#:
000052621
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018767
VSI Rcpt#:
000052641
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018768
VSI Rcpt#:
000052634
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018769
VSI Rcpt#:
000052639
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018770
VSI Rcpt#:
000052638
RECTRAC
04/29/11 99
17.00
17.00
16.00
16.00
85.75
17.00
17.00
17.00
17.00
75.00
16.00
16.00
36.00
16.00
35.00
4.00
16.00
16.00
4.00
4.00
16.00
16.00
16•.00
16.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER .— .1VITY LISTING
F--- 776
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
----=----------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
---------- -----------------------------------
CREDITS
BALANCE
-------------- ----
101-3000-342'.70-00
Charges for
Services /
Sr Ctr Leisure
Enrichmt
CR
02464
11/11
CR
05/02/11
0018854
VSI Rcpt#:
000052695
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018855
VSI Rcpt#:
000052697
4.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018856
VSI Rcpt#:
000052698
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018857
VSI Rcpt#:
000052699
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018858
VSI Rcpt#:
000052701
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018859
VSI Rcpt#:
000052702
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018860
VSI Rcpt#:
000052703
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018861
VSI Rcpt#:
000052704
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018862
VSI Rcpt#:
000052696
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018863
VSI Rcpt#:
000052705
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018864
VSI Rcpt#:
000052709
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018865
VSI Rcpt#:
000052708
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018866
VSI Rcpt#:
000052710
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018867
VSI Rcpt#:
000052694
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018868
VSI Rcpt#:
000052700
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018869
VSI Rcpt#:
000052711
16.00
RECTRAC
05/02/11 99
CR'02464
11/11
CR
05/02/11
0018870
VSI Rcpt#:
000052712
16.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018871
VSI Rcpt#:
000052721
35.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018872
VSI Rcpt#:
000052722
5.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018873
VSI Rcpt#:
000052739
27.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018874
VSI Rcpt#:
000052738
35.00
•
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018875
VSI Rcpt#:
000052733
6.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018876
VSI Rcpt#:
000052731
45.00
RECTRAC
05/02/11 99
CR
02470
11/11
CR
05/03/11
0018949
VSI Rcpt#:
000052774
8.00
RECTRAC
05/03/11 99
CR
02470
11/11
CR
05/03/11
0018950
VSI Rcpt#:
000052767
8.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER __.lVITY LISTING F--- 777
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------- ------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG -=--TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101=3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 05/03/11 99
CR
02470
11/11
CR
05/03/11
0018951
VSI Rcpt#:
000052765 •
RECTRAC
05/03/11 99
CR
02470
11/11
CR
05/03/11
0018952
VSI Rcpt#:
000052751
RECTRAC
05/03/11 99
CR
02470
11/11
CR
05/03/11
0018953
VSI Rcpt#:
000052750
RECTRAC
05/03/11 99
CR
02490
11/11
CR
05/04/11
0019196
VSI Rcpt#:
000052789
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019197
VSI Rcpt#:
000052790
-
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019198
VSI Rcpt#:
000052791
RECTRAC
05/04/11 99
CR
0Z490
11/11
CR
05/04/11
0019199
VSI Rcpt#:
000052792
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019200
VSI Rcpt#:
000052794
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019201
VSI Rcpt#:
000052793
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019202
VSI Rcpt#:
000052795
RECTRAC
05/04/11 99
CR
02490
11/11
CR
05/04/11
0019203
VSI Rcpt#:
000052801
RECTRAC
05/04/11 99
'CR
02490
11/11
CR
05/04/11
0019204
VSI Rcpt#:
000052810
RECTRAC
05/04/11 99
CR
02501
11/11
CR
05/05/11
0019258
VSI Rcpt#:
000052826
RECTRAC
05/05/11 99
CR
02501
11/11
CR
05/05/11
0019259
VSI Rcpt#:
000052827
RECTRAC
05/05/11 99
CR
02501
11/11
CR
05/05/11
0019260
VSI Rcpt#:
000052828
RECTRAC
05/05/11 99
CR
02512
11/11
CR
05/06/11
0019314
VSI Rcpt#:
000052855
RECTRAC
05/06/11 99
CR
02512
11/11
CR
05/06/11
0019315
VSI Rcpt#:
000052856
RECTRAC
05/06/11 99
CR
02512
11/11
CR
05/06/11
0019316
VSI Rcpt#:
000052857
RECTRAC
05/06/11 99
CR
02512
11/11
CR
05/06/11
0019317
VSI Rcpt#:
000052858
RECTRAC
05/06/11 99
GM
02628
11/11
AP
05/06/11
0091984
DEGEN, DEBORAH
52868
REFUND
CR
02527
11/11
CR
05/09/11
0019474
VSI Rcpt#:
000052904
RECTRAC
05/09/11 99
CR
0,2527
11/11
CR
05/09/11
0019475
VSI Rcpt#:
000052883
RECTRAC
05/09/11 99
CR
02527
11/11
CR
05/09/11
0019476
VSI Rcpt#:
000052886
RECTRAC
05/09/11 99
CR
02527
11/11
CR
05/09/11
0019477
VSI Rcpt#:
000052887
RECTRAC
05/09/11 99
35.00
35.00
28.00
28.00
4.00.
35.00
45.00
16.00
16.00
16.00
16.00
17.00
89.25
17.00
17.00
17.00
4.00
4.00
16.00
33.00
42.00
4.00
5.00
5.00
PREPARED
-.--17/2014, 10:19:00
GENERAL LEDGER ..-.1VITY LISTING
F--- 778
PROGRAM
GM362LA
CITY OF.LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------------------------------
PER.
CD
DATE
NUMBER • D E
S C R I P T
I O N DEBITS
7 ---------- ----------------- -------------------------------------=----------
CREDITS
BALANCE
101-3000-342.70-00
Charges
for Services /
Sr Ctr Leisure
Enrichmt
CR
0.2527
11/11
CR
05/09/11
0019478
VSI Rcpt#:
000052908
14.00
RECTRAC
05/09/11 99
CR
02527
11/11
CR
05/09/11
0019479
VSI Rcpt#:
000052901
25.50
RECTRAC
05/09/11 99
CR
02535
11/11
CR
05/10/11
0019546
VSI Rcpt#:
000052927
28.00
RECTRAC
05/10/11 99
CR
02535
11/11
CR
05/10/11
0019547
VSI Rcpt#:
000052929
28.00
RECTRAC
05/10/11 99
CR
02535
11•/li
CR
05/10/11
0019548
VSI Rcpt#:
000052926
28.00
RECTRAC
05/10/11 99
CR
02535
11/11
CR
05/10/11
0019549
VSI Rcpt#:
000052928
28.00
RECTRAC
05/10/11 99
CR
02552
11/11
CR
05/11/11
0019657
VSI Rcpt#:
000052952
35.00
RECTRAC
05/11/11 99
CR
02552
11/11
CR
05/11/11
0019658
VSI Rcpt#:
000052958
75.25
RECTRAC
05/11/11 99
CR
02726
11/11
CR
05/11/11
0021036
VSI Rcpt#:
000053264
16.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021037
VSI Rcpt#:
000053264
35.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021038
VSI Rcpt#:
000053264
35.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021039
VSI Rcpt#:
000053235
20.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021040
VSI Rcpt#:
000053100
75.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021041
VSI Rcpt#:
000053200
75.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021042
VSI Rcpt#:
000053218
21.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021043
VSI Rcpt#:
000053264
16.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021044
VSI Rcpt#:
000053200
75.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021045
VSI Rcpt#:
000053100
75.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021046
VSI Rcpt#:
000052836
30.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021047
VSI Rcpt#:
000052848
35.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021048
VSI Rcpt#:
000052666
35.00•
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021049
VSI Rcpt#:
000052835
30.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021050
•VSI Rcpt#:
000052692
35.00
•
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05%11/11
0021051
VSI Rcpt#:
000052771
28.00
RECTRAC
05/11/11 97
CR
02567
11/11
CR
05/12/11
0019725
VSI Rcpt#:
000052963
17.00
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER .__IVITY LISTING
F--- 779
.PROGRAM
GM362LA
•
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------------
NUMBER
PER.
CD
DATE
NUMBER
----------------------------------------------------------------
D E S C R I P
T I O N DEBITS
CREDITS
--------------------------
BALANCE
=----------
101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure Enrichmt
RECTRAC
05/12/11 98
CR
02573
11/11
CR
05/13/11
0019774
VSI Rcpt#:
000053000
28.00
RECTRAC
05/13/11 98
CR
012573.
11/11
CR
05/13/11
0019775
VSI Rcpt#:
000053000
28.00
RECTRAC
05/13/11 98
CR
02573
11/11
CR
05/13/11
0019764
VSI Rcpt#:
000052983
4.00
RECTRAC
05/13/11 99
CR
02573
11/11
CR
05/13/11
0019765
VSI Rcpt#:
000053004
30.00
RECTRAC
05/13/11 99
CR
02579
11/11
CR
05/16/11
0019822
VSI Rcpt#:
000053022
4.00
RECTRAC
05/16/11 99
CR
02579
11/11
CR
05/16/11
0019823
VSI Rcpt#:
000053020
5.00
RECTRAC
05/16/11 99
CR
02579
11/11
CR
05/16/11
0019824
VSI Rcpt#:
000053024
36.00
RECTRAC
05/16/11 99
CR
02579
11/11
CR
05/16/11
0019825
VSI Rcpt#:
000053029
28.00
RECTRAC
05/16/11 99
CR
0Z579
11/11
CR
05/16/11
0019826
VSI Rcpt#:
000053028
27.00
RECTRAC
05/16/11 99
CR
02579
11/11
CR
05/16/11
0019827
VSI Rcpt#:
000053035
14.00
RECTRAC
05/16/11 99
CR
02601
11/11
CR
05/17/11
0019876
VSI Rcpt#:
000053060
8.00
RECTRAC
05/17/11 99
CR
02607
11/11
CR
05/18/11
0019930
VSI Rcpt#:
000053093
75.00
RECTRAC
05/18/11 99
CR
02607
11/11
CR
05/18/11
0019931
VSI Rcpt#:
000053071
75.00
RECTRAC
05/18/11 99
CR
02607
11/11
CR
05/18/11
0019932
VSI Rcpt#:
000053071
75.00
RECTRAC
05/18/11 99
CR
0260.7
11/11
CR
05/18/11
0019933
VSI Rcpt#:
000053096
75.00
RECTRAC
05/18/11 99
CR
02607
11/11
CR
05/18/11
0019934
VSI Rcpt#:
000053097
75.00
•
RECTRAC
05/18/11 99
CR
02624
11/11
CR
05/19/11
0020106
VSI Rcpt#:
000053125
17.00
RECTRAC
05/19/11 99
CR
02624
11/11
CR
05/19/11
0020107•
VSI Rcpt#:
000053126
75.00
RECTRAC
05/19/11 99
CR
02634
11/11
CR-05/20/11
0020180
VSI Rcpt#:
000053165
39.00
RECTRAC
05/20/11 99
CR
02634
11/11
CR
05/20/11
0020181
VSI Rcpt#:
000053159
4.00
RECTRAC
05/20/11 99
CR
02643
11/11
CR
05/23/11
0020247
VSI Rcpt#:
000053189
5.00
RECTRAC
05/23/11 99
CR
02643
11/11
CR
05/23/11
0020248
VSI Rcpt#:
000053198
14.00
RECTRAC
05/23/11 99
CR
02643
11/11
CR
05/23/11
0020249
VSI Rcpt#:
000053199
2.00
RECTRAC
05/23/11 99
CR
0-2643
11/11
CR
05/23/11
0020250
VSI Rcpt#:
000053194
42.00
RECTRAC
05/23/11 99
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER .._.lVITY LISTING
F— 780
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
--------------------------------------------'----------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
.101-3000-342.70-00
Charges
for Services
/ Sr Ctr Leisure Enrichmt
CR
02643
11/11
CR
05/23/11
0020251
VSI Rcpt#:
000053190
4.00
RECTRAC
05/23/11 99
CR
02643
11/11
CR
05/23/11
0020252
VSI Rcpt#:
000053206
27.00
RECTRAC
05/23/11 99
CR
02643
11/11
CR
05/23/11
0020253
VSI Rcpt#:
000053209
14.00
RECTRAC
05/23/11 99
CR
02666
11/11
CR
05/24/11
0020301
VSI Rcpt#:
000053222
8.00
RECTRAC
05/24/11 99
CR
02666
11/11
CR
05/24/11
0020302
VSI Rcpt#:
000053223
8.00
RECTRAC
05/24/11 99
CR
02666
11/11
CR
05/24/11
0020303
VSI Rcpt#:
000053225
20.00
RECTRAC
05/24/11 99
CR
02676
11/11
CR
05/25/11
0020433
VSI Rcpt#:
000053238
16.00
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020434
VSI Rcpt#:
000053236
16.00
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020435
VSI Rcpt#:
000053237
16.00
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020436
VSI Rcpt#:
000053239
17.00_
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020437
VSI Rcpt#:
000053240
16.00
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020438
VSI Rcpt#:
000053249
16.00
RECTRAC
05/25/11 98
CR
02676
11/11
CR
05/25/11
0020439
VSI Rcpt#:
000053253
60.00
RECTRAC
05/25/11 98
CR
02683
11/11
CR
05/26/11
0020519
VSI Rcpt#:
000053263
75.00
RECTRAC
05/26/11 98
CR
02691
11/11
CR
05/27/11
0020560
VSI Rcpt#:
000053303
16.00
RECTRAC
05/27/11 99
CR
02691
11/11
CR
05/27/11
0020561
VSI Rcpt#:
000053304
16.00
RECTRAC
05/27/11 99
CR
02691
11/11
CR
05/27/11
0020562
VSI Rcpt#:
000053305
35.00
RECTRAC
05/27/11 99
CR
02691.
11/11'
CR
05/27/11
0020563
VSI Rcpt#:
000053310
30.00
RECTRAC
05/27/11 99
CR
02691
11/11
CR
05/27/11
0020564
VSI Rcpt#:
000053311
30.00
RECTRAC
05/27/11 99
CR
02691
11/11
CR
05/27/11
0020565
VSI Rcpt#:
000053313
16.00
RECTRAC
05/27/11 99
CR
02691
11/11
CR
05/27/11
0020566
VSI Rcpt#:
000053314
16.00
RECTRAC
05/27/11 99
CR
02696
11/11
CR
05/31/11
0020601
VSI Rcpt#:
000053336
16.00
RECTRAC
05/31/11 99
CR
02696
11/11
CR
05/31/11
0020602
VSI Rcpt#:
000053341
17.00
RECTRAC
05/31/11 99 .
CR
02696
11/11
CR
05%31/11
0020603
VSI Rcpt#:
000053343
35.00
RECTRAC
05/31/11 99
CR
02711
12/11
CR
06/01/11
0020787
VSI Rcpt#:
000053402
45.00
PREPARED _._17/2014, 10:19:00 GENERAL LEDGER ...-.IVITY LISTING F--- 781
PROGRAM GM362LA
CITY'OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 06/01/11 98
CR
02711
12/11
CR
06/01/11
0020706
VSI Rcpt#:
000053396
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020707
VSI Rcpt#:
000053394
RECTRAC
06/01/11
99
CR
02711
12/11
CR•06/01/11
0020708
VSI Rcpt#:
000053382
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020709
VSI Rcpt#:
000053379
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020710
VSI Rcpt#:
000053376
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020711
VSI Rcpt#:
000053375
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020712
VSI Rcpt#:
000053374
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020713
VSI Rcpt#:
000053373
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020714
VSI Rcpt#:
000053372
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020715
VSI Rcpt#:
000053371
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020716
VSI Rcpt#:
000053370
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020717
VSI Rcpt#:
000053369
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020718
VSI Rcpt#:
000053367
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020719
VSI Rcpt#:
000053366
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020720
VSI Rcpt#:
000053365
RECTRAC
06/01/.11
99
CR
02711
12/11
CR
06/01/11
0020721
VSI Rcpt#:
000053368
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020722
VSI Rcpt#:
000053364
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020723
VSI Rcpt#:
000053363
•
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020724
VSI Rcpt#:
000053362
RECTRAC
06/01/11
99
CR
02711
12/11
CR
06/01/11
0020725
VSI Rcpt#:
000053361
RECTRAC
06/01/11
.99
GM
02789
12/11
AP
06/01/11
0092269
SATIN, LYNDA
53387
REFUND
GM
02789
12/11
AP
06/02/11
0092171
ARTINIAN,
JANE
53436
REFUND
CR
02751
12/11
CR
06/03/11
0020929
VSI Rcpt#:
000053459
'
RECTRAC
06/03/11
99
CR
02751
12/11
CR
06/03/11
0020930
VSI Rcpt#:
000053456
RECTRAC
06/03/11
99
70.00
45.00
61.25
16.00
16.00
17.00
16.00
35.00
35.00
7.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
16.00
30.00
30.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER .— IVITY LISTING F — 782
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND'101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------------------------------------------------=
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
CR
02765
12/11
CR
06/06/11
0021113
VSI Rcpt#:
000053489
RECTRAC
06/06/11
99
CR
02765
12/11
CR
06/06/11
0021114
VSI Rcpt#:
000053490
RECTRAC
06/06/11
99
CR
02765
12/11
CR
06/06/11
0021115
VSI Rcpt#:
000053485
RECTRAC
06/06/11
99
CR
02765
12/11
CR
06/06/11
0021116
VSI Rcpt#:
000053483
RECTRAC
06/06/11
99
CR
0,2765
12/11
CR
06/06/11
0021117
VSI Rcpt#:
000053480
RECTRAC
06/06/11
99
CR
02765
12/11
CR
06/06/11
0021118
VSI Rcpt#:
000053480
RECTRAC
06/06/11
99
CR
02765
12/11
CR
06/06/11
0021119
VSI Rcpt#:
000053479
RECTRAC
06/06/11
99
CR
02772
12/11
CR
06/07/11
0021186
VSI Rcpt#:
000053511
RECTRAC
06/07/11
99
CR
02772
12/11
CR
06/07/11
0021187
VSI Rcpt#:
000053544
RECTRAC
06/07/11
99
CR
02772
12/11
CR
06/07/11
0021188
VSI Rcpt#:
000053543
RECTRAC
06/07/11
99
CR
02772
12/11
CR
06/07/11
0021189
VSI Rcpt#:
000053525
RECTRAC
06/07/11
99
CR
02772
12/11
CR
06/07/11
0021190
VSI Rcpt#:
000053523
RECTRAC
06/07/11
99
CR
02772
12/11
CR
06/07/11
0021191
VSI Rcpt#:
000053545
RECTRAC
06/07/11
99
CR
02779
12/11
CR
06/08/11
0021230
VSI Rcpt#:
000053555
RECTRAC
06/08/11
99
CR
02779
12/11
CR
06/08/11
0021231
VSI Rcpt#:
000053554
RECTRAC
06/08/11
99
CR
02779
12/11
CR
06/08/11
0021232
VSI Rcpt#:
000053576
RECTRAC
06/08/11
99
CR
02779
12/11
CR
06/08/11
0021233
VSI Rcpt#:
000053553
RECTRAC
06/08/11
99
CR
02779
12/11
CR
06/08/11
0021234
VSI Rcpt#:
000053584
RECTRAC
06/08/11
99
CR
02814
12/11
CR
06/10/11
0021450
VSI Rcpt#:
000053626
RECTRAC
06/10/11
99
CR
02814
12/11
CR
06/10/11
0021451
VSI Rcpt#:
000053620
RECTRAC
06/10/11
99
CR
02814
12/11
CR
06/10/11
0021452
VSI Rcpt#:
000053637
RECTRAC
06/10/11
99
GM
02865
12/11
AP
06/10/11
0092382
KREMEL, MARIAN
53648
REFUND
GM
02865
12/11
AP
06/10/11
0092408
SHOWALTER,
SHARON
53647
REFUND
GM
02865
12/11
AP
06/10/11
0092424
WRIGHT, MARCILE
53646
REFUND
CR
02821
12/11
CR
06/13/11
0021505
VSI Rcpt#:
000053675
35.00
35.00
35.00
21.00
14.00
33.00
4.00
16.00
35.00
35.00
20.00
10.00
10.00
8.00
10.00
28.00
17.00
17.00
52.50
17.00
30.00
35.00
16.00
42.00
14.00
PREPARED :7/2014, 10:19:00 GENERAL LEDGER — .IVITY LISTING F..-- 783
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------------------------------------------------------------------------------------------------=------------------------------
101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 06/13/11 99
CR
02821
12/11
CR
06/13/11
0021506
VSI Rcpt#:
000053663
RECTRAC
06/13/11
99
CR
02821
12/11
CR
06/13/11
0021507
VSI Rcpt#:
000053674
RECTRAC
06/13/11
99
CR
02821
12/11
CR
06/13/11
0021508
VSI Rcpt#:
000053672
RECTRAC
06/13/11
99
GM
02865
12/11
AP
06/13/11
0092391
MITCHELL,
JERRY
53669
REFUND
CR
02827
12/11
CR
06/14/11
0021562
VSI Rcpt#:
000053691
RECTRAC
06/14/11
99
CR
02827
12/11
CR
06/14/11
0021563
VSI Rcpt#:.000053692
RECTRAC
06/14/11
99
CR
02841
12/11
CR
06/15/11
0021732
VSI Rcpt#:
000053706
RECTRAC
06/15/11
99
CR
02841
12/11
CR
06/15/11
0021733
VSI Rcpt#:
000053707
RECTRAC
06/15/11
99
CR
02841
12/11
CR
06/15/11
0021734
VSI Rcpt#:
000053717
RECTRAC
06/15/11
99
CR
02841
12/11
CR
06/15/11
0021735
VSI Rcpt#:
000053718
RECTRAC
06/15/11
99
CR
02841
12/11
CR
06/15/11
0021736
VSI Rcpt#:
000053722
RECTRAC
06/15/11
99
CR
02853
12/11
CR
06/16/11
002183.9
VSI Rcpt#:
000053735
RECTRAC
06/16/11
99
CR
02864
12/11
CR
06/17/11
0021877
VSI Rcpt#:
000053783
RECTRAC
06/17/11
99
CR
02864
12/11'
CR
06/17/11
0021878
VSI Rcpt#:
000053785
RECTRAC
06/17/11
99
CR
02897
12/11
CR
06/20/11
0021915
VSI Rcpt#:
000053804
RECTRAC
06/20/11
99
CR
02897
12/11
CR
06/20/11
0021916
VSI Rcpt#:
000053824
RECTRAC
06/20/11
99
CR
02897
12/11
CR
06/20/11
0021917
VSI Rcpt#:
000053825
RECTRAC
06/20/11
99
CR
02897
12/11
CR
06/20/11
0021918
VSI Rcpt#:
000053828
RECTRAC
06/20/11
99
CR
02898
12/11
CR
06/21/11
0021974
VSI Rcpt#:
000053843
RECTRAC
06/21/11
99
CR
02898
12/11
CR
06/21/11
0021975
VSI Rcpt#:
000053844
•
RECTRAC
06/21/11
99
CR
02899
12/11
CR
06/22/11
0022122
VSI Rcpt#:
000053855
RECTRAC
06/22/11
99
CR
02899
12/11
CR
06/22/11
0022123
VSI Rcpt#:
000053862
RECTRAC
06/22/11
99
CR
02966
12/11
CR
06/24/11
0022250
VSI Rcpt#:
000053894
RECTRAC
06/24/11
98
CR
02966
12/11
CR
06/24/11
0022251
VSI Rcpt#:
000053893
RECTRAC
06/24/11
98
28.00
4.00
15.00
45.00 -
8.00
10.00
17.00
4.00
68.25
28.00
45.00
17.00
42.00
4.00
7.00
14.00
19.50
36.00
30.00
10.00
7.00
35.00
4.00
7.00
PREPARED
__.17/2014,
10:19:00
GENERAL LEDGER ..-.IVITY LISTING
F--- 784
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---- --------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.70-00•Charges
for Services
/ Sr Ctr Leisure
Enrichmt
CR
02966
12/11
CR
06/24/11
0022252
VSI Rcpt#:
000053895
4.00
RECTRAC06/24/11
98
CR
02966
12/11
CR
06/24/11
0022253
VSI Rcpt #:
000053904
36.00
RECTRAC
06/24/11 98
CR
02973
12/11
CR
06/27/11
0022291
VSI Rcpt#:
000053932
16.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022292
VSI Rcpt#:
000053934
16.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022293
VSI Rcpt#:
000053935
4.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022294
VSI Rcpt#:
000053935
16.00
RECTRAC
06/27/11 98
CR
0Z973
12/11
CR
06/27/11
0022295
VSI Rcpt#:
000053935
16.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022296
VSI Rcpt#:
000053936
16.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022297
VSI Rcpt#:
000053937.
7.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022298
VSI Rcpt#:
000053946
22.50
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022299
VSI Rcpt#:
000053947
42.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022300
VSI Rcpt#:
000053933
16.00
RECTRAC
06/27/11 98
CR
02973
12/11
CR
06/27/11
0022301
VSI Rcpt#:
000053951
14.00
RECTRAC
06/27/11 98
CR
02979
12/11
CR
06/28/11
0022375
VSI Rcpt#:
000053960
10.00
•
RECTRAC
06/28/11 98
CR
02981
12/11
CR
06/29/11
0022378
FITNESS CARD
35.00
MMENDOZA
06/29/11 01
CR
02986
12/11
CR
06/29/11
0022442
VSI Rcpt#:
000053993
35.00
RECTRAC
06/29/11 98
CR
02994
12/11
CR
06/30/11
0000009
VSI Rcpt#:
000054016
30.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000006
VSI Rcpt#:
000054018
16.00
RECTRAC
06/30/11 99
CR
03014
12/11
CR
06/30/11
0000978
VSI Rcpt#:
000053808
16.00
RECTRAC
06/30/11 97
CR
03014
12/11
CR
06/30/11
0000979
VSI Rcpt#:
000053359
16.00
RECTRAC
06/30/11 97
CR
03014
12/11
CR
06/30/11
0000980
VSI Rcpt#:
000053349
35.00
RECTRAC
06/30/11 97
CR
03014
12/11
CR
06/30/11
0000981
VSI Rcpt#:
000053729
30.00
RECTRAC
06/30/11 97
CR
030.14
12/11
CR
06/30/11
0000982
VSI Rcpt#:
000053808
35;00
RECTRAC
06/30/11 97
CR
03014
12/11
CR
06/30/11
0000983
VSI Rcpt#:
000053728
35.00
RECTRAC
06/30/11 97
CR
03014
12/11
CR
06/30/11
0000984
VSI Rcpt#:
000053780
30.00
PREPARED .-7/2014, 7/2014, 10:19:00 GENERAL LEDGER --. iVITY LISTING P..__ 785
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------
101:3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt
RECTRAC 06/30/11 97
CR
03014
12/11
CR
06/30/11
0000985
VSI Rcpt#:
000053473
RECTRAC
06/30/11
97
CR
03014.
12/11
CR
06/30/11
0000986
VSI Rcpt#:
000053448
RECTRAC
06/30/11
97
CR
03014
12/11
CR
06/30/11
0000987
VSI Rcpt#:
000053945
RECTRAC
06/30/11
97
CR
03014
12/11
CR
06/30/11
0000988
VSI Rcpt#:
000053950
RECTRAC
06/30/11
97
CR
03014
12/11
CR
06/30/11
0000989
VSI Rcpt#:
000053945
RECTRAC'
06/30/11
97
ACCOUNT TOTAL
101-3000-342.71-00 Charges for Services / Sr Ctr Childrens Progrms
ACCOUNT TOTAL
101-3000-342.72-00 Charges for Services / Sr Ctr Excursions
GM 00437 03/11 AP 08/25/10 0088860 NOGALES, NATALIE
47007 REFUND
ACCOUNT TOTAL
.101-3000-342.73'-00 Charges for Services / Sr Ctr Facility Rent
GM 02412 10/11 AJ 04/30/11 AJE 10-029 LQAF RENT TO SR CENTER
ACCOUNT TOTAL
101-3000-342.74-00 Charges for Services / Sr Ctr Special Events
CR
00487
02/11
CR
08/26/10
0002083
VSI Rcpt#:
000047027
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002084
VSI Rcpt#:
000047028
RECTRAC
08/26/10
99
CR
00487
02/1.1
CR
08/26/10
0002085
VSI Rcpt#:
000047029
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002086
VSI Rcpt#:
000047030
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002087
VSI Rcpt#:
000047031
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002088
VSI Rcpt#:
000047038
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002089
VSI Rcpt#:
000047033
RECTRAC
08/26/10
99
CR
00487
02/11
CR
08/26/10
0002090
VSI Rcpt#:
000047034
35.00
16.00
28.00
16.00
28.00
1,442.66 52,912.00 . 51,469.34CR
.00
.00
.00
90.00
90.00 90.00
.00
20,800.00
20,800.00 20,800.000R
2.00
2.00
2.00
2.00
2.00
2.00
2:00
2.00
.00
PREPARED
..17/2014,
10:19:00
GENERAL LEDGER m�,IVITY LISTING
Fhw= 786
PROGRAM 'GM362LA
CITY OFJA
------------------------------------
QUINTA, CALIFORNIA
-
FUND 101
General
Fund
-----------------------------------------------------------------------------------------------
-BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-----------------------------
PER.
CD
DATE
NUMBER D E
------------ ---------------------------------------
S C R I P
T I O N DEBITS
----------------------------------
CREDITS
BALANCE
------------------
•101-3000-342.74-00
Charges for
Services /
Sr Ctr'Special
Events
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002091
VSI Rcpt#•:
000047035
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002092
VSI Rcpt#:
000047036
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002093
VSI Rcpt#:
000047039
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002094
VSI Rcpt#:
000047037
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002095
VSI Rcpt#:
000047041
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002096
VSI Rcpt#:
000047042
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002097
VSI Rcpt#:
000047043
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002098
VSI Rcpt#:
000047044
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002099
VSI Rcpt#:
000047045_
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002100
VSI Rcpt#:
000047046
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002101
VSI Rcpt#:
000047047
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002102
VSI Rcpt#:
000047048
2.00
RECTRAC
08/26/10 99
CR
00487
02/11
CR
08/26/10
0002103
VSI Rcpt#:
000047049
2.00
RECTRAC
08/26/10 99
.CR
00487
02/11
CR
08/26/10
0002104
VSI Rcpt#:
000047050
2.00
RECTRAC
08/26/10 99
CR
00498
02/11
CR
08/27/10
0002169
VSI Rcpt#:
000047063
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002170
VSI Rcpt#:
000047064
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002171
VSI Rcpt#:
000047067
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002172
VSI Rcpt#:
000047068
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002173
VSI Rcpt#:
000047069
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002174
VSI Rcpt#:
000047071
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002175
VSI Rcpt#:
000047062
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002176
VSI Rcpt#:
000047060
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002177
VSI Rcpt#:
000047075
2.00
RECTRAC
08/27/10 99
CR
00498
02/11
CR
08/27/10
0002178
VSI Rcpt#:
000047076
2.00
RECTRAC
08/27/10 99
PREPARED ..17/2014, 10:19:00 GENERAL LEDGER — IVITY LISTING FHw= 787
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------- -------------------------------
101-3000-342.74-00 Charges for Services'/ Sr Ctr Special Events
CR
00505
02/11
CR
08/30/10
0002270
VSI Rcpt#:
000047088
RECTRAC
08/30/10
99
CR
00582
02/11
CR
08/30/10
0002857
VSI Rcpt#:
000047025
RECTRAC
08/30/10
96
CR
00513
02/11
CR
08/31/10
0002329
VSI Rcpt#:
000047117
RECTRAC
08/31/10
99
CR
00513
02/11
CR
08/31/10
0002330
VSI Rcpt#:
000047117
RECTRAC
08/31/10
99
CR
00513
02/11
CR
08/31/10
0002331
VSI Rcpt#:
000047115
.RECTRAC
08/31/10
99
CR
00513
02/11
CR
08/31/10.0002332
VSI Rcpt#:
000047116
RECTRAC
08/31/10
99
CR
00529
03/11
CR
09/01/10
0002422
VSI Rcpt#:
000047131
RECTRAC
09/01/10
99
CR
00529
03/11
CR
09/01/10
0002423
VSI Rcpt#:
000047153
RECTRAC
09/01/10
99
CR
00529
03/11
CR
09/01/10
0002424
VSI Rcpt#:
000047154
RECTRAC
09/01/10
99
CR
ODS29
03/11
'CR
09/01/10
0002425
VSI Rcpt#:
000047162
RECTRAC
09/01/10
99
CR
00542
03/11
CR
09/03/10'0002538
VSI Rcpt#:
000047216
RECTRAC
09/03/10
99
CR
00552
03/11
CR
09/07/10
0002591
VSI Rcpt#:
000047243
RECTRAC
09/07/10
99
CR
00561
03/11
CR
09/08/10
0002647
VSI Rcpt#:
000047261
RECTRAC
09/08/10
99
CR
00569
03/11
CR
09/09/10
0002722
VSI Rcpt#:
000047280
RECTRAC
09/09/10
99
CR
00569
03/11
CR
09/09/10
0002723
VSI Rcpt#:
000047289
RECTRAC
09/09/10
99
CR
00589
03/11
CR
09/10/10
0002794
VSI Rcpt#:
000047319
RECTRAC
09/10/10
99
CR
00589
03/11
CR
09/10/10
0002795
VSI Rcpt#:
000047316
•
RECTRAC
09/10/10
99
CR
00589
03/11
CR
09/10/10
0002796
VSI Rcpt#:
000047317
RECTRAC
09/10/10
99
CR
00589
03/11
CR
09/10/100002797
VSI Rcpt#:
000047318
RECTRAC
09/10/10.99
CR
00589
03/11
CR
09/10/10
0002798
VSI Rcpt#:
000047319
RECTRAC
09/10/10
99
CR
00589
03/11
CR
09/10/10
0002799
VSI Rcpt#:
000047326
RECTRAC
09/10/10-99
CR
00589
03/11
CR
09/10/10
0002800
VSI Rcpt#:
000047327
RECTRAC
09/10/10
99
CR
00604
03/11
CR
09/13/10
0002902
VSI Rcpt#:
000047339
RECTRAC
09/13/10
99
CR
00604
03/11
CR
09/13/10
0002903
VSI Rcpt#:
000047362
RECTRAC
09/13/10
99
CR
00604
03/11
CR
09/13/10
0002904
VSI Rcpt#:
000047363
2.00
2.00
2.00
5.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
42.00
2.00
2.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER—_.IVITY LISTING
FM-. 788
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER*.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
RECTRAC
09/13/10 99
CR
00613
03/11
CR
09/14/10
0002968
VSI Rcpt#:
000047377
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002969
VSI Rcpt#:
000047384
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002970
VSI'Rcpt#:
000047385
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002971
VSI Rcpt#:
000047387
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002972
VSI Rcpt#:
000047382
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002973
VSI Rcpt#:
000047381
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002974
VSI Rcpt#:
000047389
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002975
VSI Rcpt#:
000047376
2.00
RECTRAC
09/14/10 99
CR
00613
03/11
CR
09/14/10
0002976
VSI Rcpt#:
000047378
2.00
RECTRAC
09/14/10 99
CR
00621
03/11
CR
09/15/10
0003068
VSI Rcpt#:
000047399
2.00
RECTRAC
09/15/10 99
CR
00621
03/11
CR
09/15/10
0003069
VSI Rcpt#:
000047401
2.00
RECTRAC
09/15/10 99
CR
00621
03/11
CR
09/15/10
0003070
VSI Rcpt#:
000047400
2.00
RECTRAC
09/15/10 99
CR
00621
03/11
CR
09/15/10
0003071
VSI Rcpt#:
000047404
2.00
RECTRAC
09/15/10.99
GM
00622
03/11
AP
09/15/10
0088989
BATTIEST,
BILL 4.00
47398
REFUND
CR
00644
03/11
CR
09/16/10
0003124
VSI Rcpt#:
000047417
2.00
RECTRAC09/16/10
99
CR
00644
03/11
CR
09/16/10
0003125
VSI Rcpt#:
000047423
2.00
RECTRAC
09/16/10 99
CR
00644
03/11
CR
09/16/10
0003126
VSI Rcpt#:
000047421
2.00
RECTRAC
09/16/10 99
CR
00644
03/11
CR
09/16/10
0003127
VSI Rcpt#:
000047424
2.00
RECTRAC
09/16/10 99
CR
00644
03/11
CR
09/16/10
0003128
VSI.Rcpt#:
000047425
2.00
RECTRAC
09/16/10 99
CR
00644
03/11
CR
09/16/10
0003129
VSI Rcpt#:
000047426
2.00
RECTRAC
09/16/10 99
CR
00644
03/11
CR
09/16/10
0003130
VSI Rcpt#:
000047427
2.00
RECTRAC
09%16/10 99
CR
00693
03/11
CR
09/23/10
0003451
VSI Rcpt#:
000047544
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003452
VSI Rcpt#:
000047501
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003453
VSI Rcpt#:
000047502
2.00
RECTRAC
09/23/10 99
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER .— IVITY LISTING
FMS. 789
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
CREDITS
BALANCE '
101-3000-342.74-00
Charges for
Services /
Sr Ctr Special
Events
CR
00693
03/11
CR
09/23/10
0003454
VSI Rcpt#:
000047504
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003455
VSI Rcpt#:
000047505
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003456
VSI Rcpt#:
000047506
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003457
VSI Rcpt#:
000047507
2.00
RECTRAC
09/23/10 99
CR
OU693
03/11
CR
09/23/10
0003458
VSI Rcpt#:
000047510
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003459
VSI Rcpt#:
000047508
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003460
VSI Rcpt#:
000047509
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003461
VSI Rcpt#:
000047511
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003462
VSI Rcpt#:
000047513
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003463
VSI Rcpt#:
000047514
2.00
RECTRAC
09/23/10 99•
CR
00693
03/11
CR
09/23/10
0003464
VSI Rcpt#:
000047520
2.00
RECTRAC
09/23/10 99
CR
OD693
03/11
CR
09/23/10
0003465
VSI Rcpt#:
000047516
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003466
VSI Rcpt#:
000047519
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003467
VSI Rcpt#:
000047521
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR.09/23/16
0003468
VSI Rcpt#:•
000047522
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003469
VSI Rcpt#:
000047523
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003470
VSI Rcpt#:
000047515
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003471
VSI Rcpt#:
000047527
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003472
VSI Rcpt#:
000047528
2.00
•
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003473
VSI Rcpt#:
000047529
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003474
VSI Rcpt#:
000047530
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003475
VSI Rcpt#:
000047531
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003476
VSI Rcpt#:
000047532
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003477
VSI Rcpt#:
000047538
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003478
VSI Rcpt#:
000047536
2.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER ...-.IVITY LISTING
F"-v� 790
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
CROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE-
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003479
VSI Rcpt#:
000047537
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003480
VSI Rcpt#:
000047539
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003481
VSI Rcpt#:
000047503
2.00
RECTRAC-
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003482
VSI Rcpt#:
000047541
2.00
RECTRAC
09/23/10 99
CR
Op693
03/11
CR
09/23/10
0003483
VSI Rcpt#:
000047542
2.00
RECTRAC
09/23/10 99
CR
00693
03/11
CR
09/23/10
0003484
VSI Rcpt#:
000047543
2.00
RECTRAC
09/23/10 99
CR
00699
03/11
CR
09/24/10
0003540
VSI Rcpt#:
000047550
2.00
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003541
VSI Rcpt#:
000047559
2.00
RECTRAC
09/24/"10 99
CR
00699
03/11
CR
09/24/10
0003542
VSI Rcpt#:
000047557
20.00
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003543
VSI Rcpt#:
000047558
2.00
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003544
VSI Rcpt#:
000047551
2.00
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003545
VSI Rcpt#:
000047561
2.00
•
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003546
VSI Rcpt#:
000047553
2.00
RECTRAC
09/24/10 99
CR
00699
03/11
CR
09/24/10
0003547
VSI Rcpt#:
000047552
2.00
RECTRAC
09/24/10 99
CR
00724
03/11
CR
09/27/10
0003594
VSI Rcpt#:
000047596
2.00
RECTRAC
09/27/10 99
CR
00724
03/11
CR
09/27/10
0003595
VSI Rcpt#:
000047597 .
2.00
RECTRAC
09/27/10 99
CR
00734
03/11
CR
09/28/10
0003654
VSI Rcpt#:
000047604
2.00
RECTRAC
09/28/10 99
CR
00734
03/11
CR
09/28/10
0003655
VSI Rcpt#:
000047603
2.00 e
RECTRAC
09/28/10 99
CR
00734
03/11
CR
09/28/10
0003656
VSI Rcpt#:
000047609
20.00
RECTRAC
09/28/10 99
CR
00734
03/11
CR
09/28/10
0003657
VSI Rcpt#:
000047613
2.00
RECTRAC
09/28/10 99
CR
00734
03/11
CR
09/28/10
0003658
VSI Rcpt#:
000047614
2.00
RECTRAC
09/28/10 99
CR
00734
03/11
CR
09/28/10
0003659
VSI Rcpt#:
000047617
2.00
RECTRAC
09/28/10 99
CR
00743
03/11
CR
09/29/10
0003761
VSI Rcpt#:
000047645
2.00
RECTRAC
09/29/10 99
CR
00743
03/11
CR
09/29/10
0003762
VSI Rcpt#:
000047645
2.00
RECTRAC
09/29/10 99
PREPARED
-..17/2014,
10:19:00
GENERAL LEDGER .— IVITY LISTING
F-.� 791
PROGRAM
GM362LA
CITY
---------------------------------------------------------------------------------------------=-------------------------=------------
OF LA
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
CR
00743
03/11
CR
09/29/10
0003763
VSI Rcpt#:
000047646
2.00
RECTRAC '
09/29/10 99
CR
00743
03/11
CR
09/29/10
0003764'
VSI Rcpt#:
000047646
2.00
RECTRAC
09/29/10 99
CR
00743
03/11
CR
09/29/10
0003765
VSI Rcpt#:
000047628
2.00
RECTRAC '
09/29/10 99
CR
00743
03/11
CR
09/29/10
0003766
VSI Rcpt#:
000047622
2.00
RECTRAC
09/29/10 99
CR
00743
03/11
-CR
09/29/10
00037.67
VSI Rcpt#:
000047651
2.00
RECTRAC
09/29/10 99
CR
00750
03/11
CR
09/30/10
0003861
VSI Rcpt#:
000047660
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003862
VSI Rcpt#:
000047673
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003863
VSI Rcpt#:
000047674
2.00
RECTRAC
09/30/10 98
CR
00750.
03/11
CR
09/30/10
0003864
VSI Rcpt#:
000047659
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003865
VSI Rcpt#:
000047675
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003866
VSI Rcpt#:
000047657
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003867
VSI Rcpt#:
000047678
2.00
RECTRAC
09/30/10 98
CR
00750
03/11
CR
09/30/10
0003868
VSI Rcpt#:
000047679
2.00
RECTRAC
09/30/10 98
CR
O0775
03/11
CR
09/30/10
0004282
VSI Rcpt#:
000047095
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004283
VSI Rcpt#:
000047160
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004284
VSI Rcpt#:
000047549
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004285
VSI Rcpt#:
000047599
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004286
VSI Rcpt#:
000047599
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004287
VSI Rcpt#:
000047500
2.00
RECTRAC
09/30/10 96
CR
00775
03/11
CR
09/30/10
0004288
VSI Rcpt#:
000047599
2.00
RECTRAC
09/30/10 96
CR
00754
04/11
CR
10/01/10
0003910
VSI Rcpt#:
000047689
2.00
•
RECTRAC
10/01/10 99
CR
00754
04/11
CR
10/01/10
0003911
VSI Rcpt#:
000047696
50.00
RECTRAC
10/01/10 99
CR
00754
04/11
CR
10/01/10
0003912
VSI Rcpt#:
000047692
2.00
RECTRAC
10/01/10 99
CR
00754
04/11
CR
10/01/10
0003913
VSI Rcpt#:
000047698.
2.00
RECTRAC
10/01/10 99
CR
00794
04/11
CR
10/04/10
0004011
VSI Rcpt#:
000047719
2.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER--.IVITY LISTING
Fmwc 792
PROGRAM
GM362LA
CITY• OF LA
---------
QUINTA, CALIFORNIA
FUND 101
----------
General
-----
Fund
---------
---------------------
----------------------------------------
---------------------
-----------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101=3000-342.74,-00
Charges
for Services
/ Sr Ctr Special
Events
RECTRAC
10/04/10 99
CR
00794
04/11
CR
10/04/10
0004012
VSI Rcpt#:
000047725
20.00
RECTRAC
10/04/10 99
CR
00794
04/11
CR
10/04/10
0004013
VSI Rcpt#:
000047734
2.00
RECTRAC
10/04/10 99
CR
00794
04/11
CR
10/04/10
0004014
VSI Rcpt#:
000047710
2.00
RECTRAC
10/04/10 99
CR
00800
04/11
CR
10/05/10
0004059
VSI Rcpt#:
000047749
2.00
RECTRAC
10/05/10 99
CR'00800
04/11
CR
10/05/10
0004060
VSI Rcpt#:
000047747
2.00
RECTRAC
10/05/10 99
CR
00800
04/11
CR
10/05/10
0004061
VSI Rcpt#:
000047750
2.00
RECTRAC
10/05/10 99
CR
Op800
04/11
CR
10/05/10
0004062
VSI Rcpt#:
000047751
2.00
RECTRAC
10/05/10 99
CR
00814
04/11
CR
10/07/10
0004366
VSI Rcpt#:
000047788
50.00
RECTRAC
10/07/10 99
CR
00814
04/11
CR
10/07/10
0004367
VSI Rcpt#:
000047801
2.00
RECTRAC '
10/07/10 99
CR
00829
04/11
CR
10/08/10
0004422
VSI Rcpt#:
000047817
22.00
RECTRAC
10/08/10 99
CR
00884
04/11
CR
10/14/10
0004693
VSI Rcpt#:
000047874
50.00
RECTRAC
10/14/10 98
CR
00884
04/11
CR
10/14/10
0004694
VSI Rcpt#:
000047879
2.00
RECTRAC
10/14/10 98
CR
00884
04/11
CR
10/14/10
0004695
VSI Rcpt#:
000047876
5.00
RECTRAC
10/14/10 98
CR
00884,
04/11
CR
10/14/10
0004696
VSI Rcpt#:
000047877
5.00
•
RECTRAC
10/14/10 98
CR
00884
04/11
CR
10/14/10.0004697
VSI Rcpt#:
000047878
2.00
RECTRAC
10/14/10 98
CR
00884
04/11
CR
10/14/10
0004698
VSI Rcpt#:
000047880
2.00
RECTRAC
10/14/10 98
CR
00891
04/11
CR
10/15/10
0004728
VSI Rcpt#:
000047889
50.00
RECTRAC
10/15/10 99
CR
00896
04/11
CR
10/18/10
0004767
VSI, Rcpt#:
000047900
20.00
RECTRAC
10/18/10 99
CR
00940
04/11
CR
10/21/10
0004937
VSI Rcpt#:
000047967
50.00
RECTRAC
10/21/10 99
CR
00969
04/11
CR
10/26/10
0005138
VSI Rcpt#:
000048024
50.00
RECTRAC
10/26/10 99
CR
00984
04/11
CR
10/28/10
0005347
VSI Rcpt#:
000048069
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005348
VSI Rcpt#:
000048075
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005349
VSI Rcpt#:
000048071
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005350
VSI Rcpt#:
000048076
2.00
RECTRAC
10/28/10 98
PREPARED
-..17/2014,
10:19:00
GENERAL LEDGER ...-.IVITY LISTING
Fhw= 793
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
CR
00984
04/11
CR
10/28/10
0005351
VSI Rcpt#:
000048077
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005352
VSI Rcpt#:
000048078
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005353
VSI Rcpt#:
000048085
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005354
VSI Rcpt#:
000048086
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005355
VSI Rcpt#:
000048087
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005356
VSI Rcpt#:
000048068
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005357
VSI Rcpt#:
000048088
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005358
VSI Rcpt#:
000048091
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005359
VSI Rcpt#:
000048090
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005360
VSI Rcpt#:
000048092
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005361
VSI Rcpt#:
000048093
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005362
VSI Rcpt#:
000048094
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005363
VSI Rcpt#:
000048095
2.00
RECTRAC
•10/28/10 98
CR
00984
04/11
CR
10/28/10
0005364
VSI'Rcpt#e
000048096
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005365
VSI Rcpt#:
000048097
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005366
VSI Rcpt#:
000048098
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005367
VSI Rcpt#:
000048099
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005368
VSI Rcpt#:
000048106
2.00
RECTRAC •
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005369
VSI Rcpt#:
000048102
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005370
VSI Rcpt#:
000048103
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005371
VSI Rcpt#:
000048105
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005372
VSI Rcpt#:
000048107
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005373
VSI Rcpt#:
000048108
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005374
VSI Rcpt#:
000048109
2.00
-
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005375
VSI Rcpt#:
000048110
•2.00
PREPARED
__.17/2014, 10:19:00
GENERAL LEDGER--.IVITY LISTING
FNuc 794
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for Services
/ Sr Ctr Special
Events
RECTRAC
10/28%10 98
CR
00984
04/11
CR
10/28/10
0005376
VSI Rcpt#:
000048111
2.00
RECTRAC
10/28/10 98
CR
OU984
04/11
CR
10/28/10
0005377
VSI Rcpt#:
000048112
2.00
RECTRAC
10/28/10 98
CR
00.984
04/11
CR
10/28/10.0005378
VSI Rcpt#:
000048133
2.00
RECTRAC
10/28/10 98
CR
00984.
04/11
CR
10/28/10
0005379
VSI Rcpt#:
000048129
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005380
VSI Rcpt#:
000048121
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005381
VSI Rcpt#:
000048116
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005382
VSI Rcpt#:
000048117
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005383
VSI Rcpt#:
000048118
2.00
RECTRAC
10/28/10 98
CR
O9984
04/11
CR
10/28/10
0005384
VSI Rcpt#:
000048119
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005385
VSI Rcpt#:
000048120
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005386
VSI Rcpt#:
000048089
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005387
VSI Rcpt#:
000048125
2.00
RECTRAC
10/28/10.98
CR
00984
04/11
CR
10/28/10
0005388
VSI Rcpt#:
000048126
2.00
RECTRAC
10/28/10 98
CR
00984
04/11 `CR
10/28/10
0005389
VSI Rcpt#:
000048130
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005390
VSI Rcpt#:
000048131
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005391
VSI Rcpt#:
000048132
2.00
•
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005392
VSI Rcpt#:
000048134
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005393
VSI Rcpt#:
000048135
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005394
VSI Rcpt#:
000048138
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005395
VSI Rcpt#:
000048136
2.00
RECTRAC
10/28/10 98
CR
00984
04/11
CR
10/28/10
0005396
VSI Rcpt#:
000048139
2.00
RECTRAC
10/28/10 98
CR
00994
04/11
CR
10/29/10
0005432
VSI Rcpt#:
000048149
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005433
VSI Rcpt#:
000048148
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005434
VSI Rcpt#:
000048161
2.00
RECTRAC
10/29/10 99
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER ___.IVITY LISTING
f--- 795
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------=
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T'I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for
Services /
Sr Ctr Special
Events
CR
00994
04/11
CR
10/29/10
0005435
VSI Rcpt#:
000048162
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005436
VSI Rcpt#:
000048164
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005437
VSI Rcpt#:
000048165
2.00
RECTRAC
.10/29/10 99
CR
00994
04/11
CR
10/29/10
0005438
VSI Rcpt#:•000048144
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005439
VSI Rcpt#:
000048143
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005440
VSI Rcpt#:
000048169
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005441
VSI Rcpt#:
000048170
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005442
VSI Rcpt#:
000048178
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005443
VSI Rcpt#:
000048167
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005444
VSI Rcpt#:
000048168
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005445
VSI Rcpt#:
000048182
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005446
VSI Rcpt#:
000048183
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005447
VSI Rcpt#:
000048184
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005448
VSI Rcpt#:
000048185
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005449
VSI Rcpt#:
000048151
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005450
VSI Rcpt#:
000048150
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005451
VSI Rcpt#:
000048188
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005452
VSI Rcpt#:
000048189
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005453
VSI Rcpt#:
000048190 '
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005454
VSI Rcpt#:
000048191
2.00
RECTRAC
10/29/10 99
CR
00994
04/11
CR
10/29/10
0005455
VSI Rcpt#:
000048192
2.00
RECTRAC
10/29/10 99'
CR
01014
05/11
CR
11/01/10
0005638
VSI Rcpt#:
000048214
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005639
VSI Rcpt#:
000048233
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005640
VSI Rcpt#:
000048212
2.00
RECTRAC
11/01/10 99
CR
01014
05/11 •CR
11/01/10
0005641
VSI Rcpt#:
000048232
2.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER .._.lVITY LISTING
F--- 796
PROGRAM
GM362LA
CITY•OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
TRANSACTION----
/ENDING '
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T
1 O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for
Services
/ Sr Ctr Special
Events
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005642
VSI Rcpt#:
000048239
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005643
VSI Rcpt#:
000048240
2.00
RECTRAC
11/011/10 99
CR
01014
05/11
CR
11/01/10
0005644
VSI Rcpt#:
000048242
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005645
VSI Rcpt#:
000048243
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
000564'6
VSI Rcpt#:
000048213
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005647
VSI Rcpt#:
000048248
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005648
VSI Rcpt#:
000048249
2.00
RECTRAC
11/01/10 99
CR
01014
05/11
CR
11/01/10
0005649
VSI Rcpt#:
000048211
2.00
RECTRAC
11/01/10 99
CR
01035
05/11
CR
11/02/10
0005747
VSI Rcpt#:
000048265
2.00
RECTRAC
11/02/10 99
CR
01035
05/11
CR
11/02/10
0005748
VSI Rcpt#:
000048264
2.00
RECTRAC
11/02/10 99
CR
01035
05/11
CR
11/02/10
0005749
VSI Rcpt#:
000048269
5.00
RECTRAC
11/02/10 99
CR
01035
05/11
CR
11/02/10
0005750
VSI Rcpt#:
000048268
5.00
RECTRAC
11/02/10 99
CR
01035
05/11
CR
11/02/10
0005751
VSI•Rcpt#:
000048268
2.00
RECTRAC
11/02/10 99
CR
01045
05/11
CR
11/03/10
0005817
VSI•Rcpt#:
000048295
5.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005818
VSI Rcpt#:
000048307
5.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005819
VSI Rcpt#:
000048294
2.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005820
VSI Rcpt#:
000048285
2.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005821
VSI Rcpt#:
000048308
5.00
•
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005822
VSI Rcpt#:
000048296
2.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005823
VSI Rcpt#:
000048296
5.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005824
VSI Rcpt#:
000048309
5.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005825
VSI Rcpt#:
000048312
2.00
RECTRAC
11/03/10 99
CR
01045
05/11
CR
11/03/10
0005826
VSI Rcpt#:
000048319
5.00
RECTRAC
11/03/10 99
CR
01055
05/11
CR
11/04/10
0005892
VSI Rcpt#:
000048322
2.00
RECTRAC
11/04/10 99
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
PMvc 797
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------------------=
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
CR
01055
05/11
CR
11/04/10
0005893
VSI Rcpt#:
000048328
2.00
RECTRAC
11/04/10 99
CR
01055
05/11
CR
11/04/10
0005894
VSI Rcpt#:
000048331
2.00
RECTRAC
11/04/10 99
CR
01055
05/11
CR
11/04/10
0005895
VSI Rcpt#:
000048332
2.00
RECTRAC
11/04/10 99
CR
01059
05/11
CR
11/05/10
0005961
VSI Rcpt#:
000048350
2.00
RECTRAC
11/05/10 99
CR
0}059
05/11
CR
11/05/10
0005962
VSI Rcpt#:
000048351
2.00
RECTRAC
11/05/10 99
CR
01059
05/11
CR
11/05/10
0005963
VSI Rcpt#:
000048352
2.00
RECTRAC
11/05/10 99
CR
01059
05/11
CR
11/05/10
0005965
VSI Rcpt#:
000048359
2.00
RECTRAC
11/05/10 99
CR
01059
05/11
CR
11/05/10
0005966
VSI Rcpt#:
000048365
5.00
RECTRAC
11/05/10 99
CR
01080
05/11
CR
11/08/10
0006034
VSI Rcpt#:
000048392
2.00
RECTRAC
11/08/10 99
CR
01080
05/11
CR
11/08/10
0006035
VSI Rcpt#:
000048393
2.00
RECTRAC
11/08/10 99
CR
01090
05/11
CR
11/09/10'0006133
VSI Rcpt#:
000048417
2.00
RECTRAC
11/09/10 99
CR
01090
05/11
CR
11/09/10
0006134
VSI Rcpt#:
000048416
2.00
RECTRAC
11/09/10 99
CR
01090
05/11
CR
11/09/10
0006135
VSI Rcpt#:
000048418
2.00
RECTRAC
11/09/10 99
CR
01.090
05/11
CR
11/09/10
0006136
VSI Rcpt#:.000048431
2.00
RECTRAC
11/09/10 99
CR
01116
05/11
CR
11/10/10
0006214
VSI Rcpt#:
000048452
2.00,
RECTRAC
11/10/10 98
CR
01116
05/11
CR
11/10/10
0006215
VSI Rcpt#:
000048452
5.00
RECTRAC
11/10/10 98
CR
01123
05/11
CR
11/12/10
0006269
VSI Rcpt#:
000048476
5.00
RECTRAC
11/12/10 99
CR
01130
05/11
CR
11/15/10
0006371
VSI Rcpt#:
000048498
10.00
RECTRAC
11/15/10 99
CR
01130
05/11
CR
11/15/10
0006372
VSI Rcpt#:
000048497
4.00
RECTRAC
11/15/10 99
CR
03130
05/11
CR
11/15/10
0006373
VSI Rcpt#:
000048497
95.00
RECTRAC
11/15/10 99
CR
01139
05/11
CR
11/16/10
0006440
VSI Rcpt#:
000048534
50.00
RECTRAC
11/16/10 99
CR
01153
05/11
CR
11/18/10
0006647
VSI Rcpt#:
000048602
2.00
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006648
VSI Rcpt#:
000048594
'2.00
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006649
VSI Rcpt#:
000048593
2.00
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006650
VSI Rcpt#:
000048590
2.00
PREPARED
—17/2014,
10:19:00
GENERAL LEDGER — ,1VITY LISTING
FNun 798
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for
Services
/ Sr Ctr Special
Events
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006651
VSI Rcpt#:
000048591
2.00
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006652
VSI Rcpt#:
000048592
2.00
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006653
VSI Rcpt#:
000048595
2.00
RECTRAC
11/18/10 99
CR
01203
05/11
CR
11/23/10
0006830
VSI Rcpt#:
000048671
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006831
VSI Rcpt#:
000048656
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006832
VSI Rcpt#:
00'0048658
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006833
VSI Rcpt#:
000048665
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006834
VSI Rcpt#:
000048670
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006835
VSI Rcpt#:
000048667
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006836
VSI Rcpt#:
000048668
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006837
VSI Rcpt#:
000048669
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006838
VSI Rcpt#:
000048666
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006839
VSI Rcpt#:
000048674
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006840
VSI Rcpt#:
000048675
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006841
VSI Rcpt#:
000048676
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006842
VSI Rcpt#:
000048677
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006843
VSI Rcpt#:
000048655
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006844
VSI Rcpt#:
000048659
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006845
VSI Rcpt#:
000048682
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006846
VSI Rcpt#:
000048683
2.00
•
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006847
VSI Rcpt#:
000048684
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006848
VSI Rcpt#:
000048695
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006849
VSI Rcpt#:
000048681
2.00
RECTRAC
11/23/10 98
CR
01203
05/11
CR
11/23/10
0006850
VSI Rcpt#:
000048678
2.00
RECTRAC
11/23/10 98
PREPARED ...,17/2014, 10:19:00 GENERAL LEDGER mI.sIVITY LISTING FAWt 799
PROGRAM GM362LA
CITYOF LA QUINTA, CALIFORNIA------------------------------------------------------------------------------------------------------------------------------------
_
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- ------------------------------------------------------------------- -------------------------------------------------------------
101-3000-342.74-00 Charges for Services / Sr Ctr Special Events
CR
01203
05/11
CR
11/23/10
0006851
VSI Rcpt#:
000048687
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006852
VSI Rcpt#:
000048688
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006853
VSI Rcpt#:
000048689
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006854
VSI Rcpt#:
000048690
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006855
VSI Rcpt#:
000048673
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006856
VSI Rcpt#:
000048692
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006857
VSI Rcpt#:
000048693
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006858
VSI Rcpt#:
000048694
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006859
VSI•Rcpt#:
000048696
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006860
VSI Rcpt#:
000048697
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006861
VSI Rcpt#:
000048664
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006862
VSI Rcpt#:
000048663
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006863
VSI Rcpt#:
000048662
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006864
VSI Rcpt#:
000048661
•
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006865
VSI Rcpt#:
000048660
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006866
VSI Rcpt#:
000048701
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006867
VSI Rcpt#:
000048702
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006868
VSI Rcpt#:
000048703
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006869
VSI Rcpt#:
000048715
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006870
VSI Rcpt#:
000048653
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006871
VSI Rcpt#:
000048679
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006872
VSI Rcpt#:
0000487.14
RECTRAC
11/23/10
98
CR
01203
05/11
CR
11/23/10
0006873
VSI Rcpt#:
000048716
RECTRAC
11/23/10
98
CR
01209
05/11
CR
11/24/10
0006919
VSI Rcpt#:
000048727
RECTRAC
11/24/10
99
CR
01209
05/11
CR
11/24/10
0006920
VSI Rcpt#:
000048726
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
PREPARED
—17/2014,
10:19:00
GENERAL LEDGER — IVITY LISTING
Fhuc 800
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101.3000-342.74-00
Charges
for Services /
Sr.Ctr Special
Events
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006921
VSI Rcpt#:
000048729
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006922
VSI Rcpt#:
000048733
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006923
VSI Rcpt#:
000048732
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR'll/24/10
0006924
VSI Rcpt#:
000048731
2.00
•
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006925
VSI Rcpt#:
000048740
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006926
VSI Rcpt#:
000048739
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006927
VSI Rcpt#:
000048741
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006928
VSI Rcpt#:
000048745
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006929
VSI Rcpt#:
000048752
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006930
VSI Rcpt#:'000048742
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006931
VSI Rcpt#:
000048754
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006932
VSI Rcpt#:
000048756
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006933
VSI Rcpt#:
000048759
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006934.
VSI Rcpt#:
000048760
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006935
VSI Rcpt#:
000048762
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006936
VSI Rcpt#:
000048764
2.00
RECTRAC
11/24/10 99
CR
01209
05/11
CR
11/24/10
0006937
VSI Rcpt#:
-000048765
2.00
RECTRAC
11/24/10 99
CR
01242
05/11
CR
11/26/10
0007472
VSI Rcpt#:
000048766
2.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007473
VSI Rcpt#:
000048766
2.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007474
VSI Rcpt#:
000048070
2.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007475
VSI Rcpt#:
000048070
2.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR.
11/26/10
0007476
VSI Rcpt#:
000048070
2.00
'
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007477
VSI Rcpt#:
000048104
2.00
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007478
VSI Rcpt#:
000048104
2.00
RECTRAC
11/26/10 99
PREPARED -..17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING Fhuc 801
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE - NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------- -------------------------------
101-3000-342.74-00 Charges for Services / Sr Ctr Special Events
CR
01242
05/11
CR
11/26/10
0007479
VSI Rcpt#:
000048104
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007480
VSI Rcpt#:
000048194
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007481
VSI Rcpt#:
000048194
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007482
VSI Rcpt#:
000048194
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007483
VSI Rcpt#:
000048718
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007484
VSI Rcpt#:
000048718
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007485
VSI Rcpt#:
000048717
RECTRAC
11/26/10 99
CR
01242
05/11
CR
11/26/10
0007486
VSI Rcpt#:
000048718
RECTRAC
11/26/10 99
CR
01222
05/11
CR
11/29/10
0007060
VSI Rcpt#:
000048798
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007061
VSI Rcpt#:
000048799
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007062
VSI Rcpt#:
000048803
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007063
VSI Rcpt#:
000048802
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007064
VSI Rcpt#:
000048777
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007065
VSI Rcpt#:
000048804
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007066
VSI Rcpt#:
000048810
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007067
VSI Rcpt#:
000048805
•
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007068
VSI Rcpt#:
000048824
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007069
VSI Rcpt#:
000048819
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007070
VSI Rcpt#:
000048818
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007071
VSI Rcpt#:
000048821
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007072
VSI Rcpt#:
000048823
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007073
VSI Rcpt#:
000048825
RECTRAC
11/29/10 99
CR
01222
05/11
CR
11/29/10
0007074
VSI Rcpt#:
000048826
RECTRAC
11/29/10 99
CR
02278
06/11
CR
12/02/10
0007326
VSI Rcpt#:
000048885
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007327
VSI Rcpt#:
000048896
2.00
5.00
5.00
5.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
PREPARED
_..17/2014,
10:19:'00
GENERAL LEDGER n-.1VITY LISTING
F— 802
PROGRAM
GM362LA
CITY OF
--------7---------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------
CD
DATE
NUMBER
D E S C R I P
=------------------------------------------------------------------------------
T I O N DEBITS
CREDITS
BALANCE
=----------
101-3000-342.74-00
Charges
for Services'/
Sr Ctr Special
Events
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007328
VSI Rcpt#:
000048897
2.00
RECTRAC
12/02/10 99
CR
0}278
06/11
CR
12/02/10
0007329
VSI Rcpt#:
000048898
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007330
VSI Rcpt#:
000048907
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007331
VSI Rcpt#:
000048895
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007332
VSI Rcpt#:
000048894
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007333
VSI Rcpt#:
000048890
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007334
VSI Rcpt#:
000048886
2.00
RECTRAC
12/02/10 99
CR
01278
06/11
CR
12/02/10
0007335
VSI Rcpt#:
000048906
2.00
RECTRAC
12/02/10 99
CR
01283
06/11
CR
12/03/10
0007402
VSI Rcpt#:
000048921
2.00
•
RECTRAC
12/03/10 98
CR
01283
06/11
CR
12/03/10
0007397
VSI Rcpt#:
000048926
2.00
RECTRAC
12/03/10 99
CR
01283
06/11
CR
12/03/10
0007398
VSI Rcpt#:•000048925
2.00
RECTRAC
12/03/10 99
CR
01283
06/11
CR
12/03/10
0007399
VSI Rcpt#:
000048917
2.00
RECTRAC
12/03/10 99
CR
01283
06/11
CR
12/03/10
0007400
VSI Rcpt#:
000048915
2.00
RECTRAC
12/03/10 99
CR
01291
06/11
CR
12/06/10
0007535
VSI Rcpt#:
000048945
2.00
RECTRAC
12/06/10 99
CR
01291
06/11
CR
12/06/10
0007536
VSI Rcpt#:
000048946
2.00
RECTRAC
12/06/10 99
CR
01298
06/11
CR
12/07/10
0007668
VSI Rcpt#:
000048993
2.00
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007669
VSI Rcpt#:
000048992
2.00
RECTRAC
12/07/10 99
CR
01298
06/11
CR
12/07/10
0007670
VSI Rcpt#:
000048986
2.00
RECTRAC
12/07/10 99
CR
01326
06/11
CR
12/13/10
0007927
VSI Rcpt#:
000049057
32.00
RECTRAC
12/13/10 99
CR
01361
06/11
CR
12/16/10
0008114
VSI Rcpt#:
000049100
2.00
RECTRAC
12/16/10 99
CR
01361
06/11
CR
12/16/10
0008115
VSI Rcpt#:
000049101
18.00
RECTRAC
12/16/10 99
CR
01595
07/11
CR
01/18/11
0009606
VSI Rcpt#:
000049680
38.00
RECTRAC
01/18/11 99
CR
01693
07/11
CR
01/31/11
0010709
VSI Rcpt#:
000049399
2.00
RECTRAC
01/31/11 97
CR
01691
08/11
CR
02/01/11
0010466
VSI Rcpt#:
000050057
2.00
'
RECTRAC
02/01/11 99
PREPARED
_._17/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
Fhac 803
PROGRAM
GM362LA
CITY
---------------------------------------------------------------------------------------------7--------------------------------------
OF LA
QUINTA, CALIFORNIA
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services /
Sr Ctr Special
Events
CR
01727
08/11
CR
02/02/11
0010615
VSI Rcpt#:
000050116
2.00
RECTRAC
02/02/11 99
CR
01727
08/11
CR
02/02/11
0010616
VSI Rcpt#:
000050117
2.00
RECTRAC
02/02/11 99'
CR
01810
08/11
CR
02/11/11
0011619
VSI Rcpt#:
000050411
2.00
RECTRAC
02/11/11 99
CR`
01810
08/11
CR
02/11/11
0011620
VSI Rcpt#:
000050412
2.00
RECTRAC '
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011621
VSI Rcpt#:
000050413
2.00
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011622
VSI Rcpt#:
000050415
2.00
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011623
VSI Rcpt#:
000050408
2.00
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011624
VSI Rcpt#:
000050406
2.00
RECTRAC
02/11/11 99
CR
01810
08/11
CR
02/11/11
0011625
VSI Rcpt#:
000050414
2.00
RECTRAC
02/11/11 99
CR
01817
08/11
CR
02/14/11
0011695
VSI Rcpt#:
000050456
36.00
RECTRAC
02/14/11 99
CR
01817
08/11
CR
02/14/11
0011696
VSI Rcpt#:
000050465
2.00
RECTRAC
02/14/11 99
CR
01831
08/11
CR
02/16/11
0011831
VSI Rcpt#:
000050528
2.00
RECTRAC
02/16/11 99
CR
01973
08/11
CR
02/16/11
0013897
VSI Rcpt#:
000050464
2.00
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013898
VSI Rcpt#:
000050464
2.00
RECTRAC
02/16/11 97
CR
01973
08/11
CR
02/16/11
0013899
VSI Rcpt#:
000050617
2.00
RECTRAC
02/16/11 97
CR
01838
08/11
CR
02/17/11
0012213
VSI Rcpt#:
000050544
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012214
VSI Rcpt#:
000050546
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012215
VSI Rcpt#:
000050567
2.00
•
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012216
VSI Rcpt#:
000050539
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012217
VSI•Rcpt#:
000050542
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012218
VSI Rcpt#:
000050564
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012219
VSI Rcpt#:
000050565
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012220
VSI Rcpt#:
000050566
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012221
VSI Rcpt#:
000050568
2.00
RECTRAC
02/17/11 98
CR
01838
08/.11
CR
02/17/11
0012222
VSI Rcpt#:
000050569
2.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER h�,IVITY LISTING
FAbt 804
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
-----------------------------------------6------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I' P T
I 0 N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for
Services /
Sr Ctr Special
Events
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012223
VSI Rcpt#:
000050583
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012224
VSI.Rcpt#:
000050570
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012225
VSI Rcpt#:
000050572
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012226
VSI Rcpt#:
000050573
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012227
VSI Rcpt#:
000050574
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012228
VSI Rcpt#:
000050575
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012229
VSI Rcpt#:
000050576
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012230
VSI Rcpt#:
000050577
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012231
VSI Rcpt#:
000050578
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012232
VSI Rcpt#:
000050579
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012233
VSI Rcpt#:
000050580
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012234
VSI Rcpt#:
000050581
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012235
VSI Rcpt#:
000050582
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012236
VSI Rcpt#:
000050585
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR*02/17/11
0012237
VSI Rcpt#:
000050586
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012238
VSI Rcpt#:
000050587
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012239
VSI Rcpt#:
000050588
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012240
VSI Rcpt#:
000050589
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012241
VSI Rcpt#:
000050590
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012242
VSI Rcpt#:
000050592
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012243
VSI Rcpt#:
000050593
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012244
VSI Rcpt#:
000050594
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012245
VSI Rcpt#:
000050595
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012246
VSI Rcpt#:
000050596
2.00
RECTRAC
02/17/11 98
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER — IVITY LISTING
FNuc 805
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
--=-TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE.
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr"Ctr Special
Events
CR
01838
08/11
CR
02/17/11
0012247
VSI Rcpt#:
000050545
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012248
VSI Rcpt#:
000050604
2.00
RECTRAC
02/17/11 98
CR
01838
08/11
CR
02/17/11
0012249
VSI Rcpt#:
000050543
2.00
RECTRAC
02/17/11 98
CR
01852
08/11
CR
02/18/11
0012309
VSI Rcpt#:
000050614
2.00
RECTRAC
02/18/11 99
CR
01858
08/11
CR
02/22/11
0012838
VSI Rcpt#:
000050708
2.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012839
VSI Rcpt#:
000050705
2.00
RECTRAC •
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012840
VSI Rcpt#:
000050741
2.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012841
VSI Rcpt#:
000050732
2.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012842
VSI Rcpt#:
000050733
2.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012843
VSI Rcpt#:
000050734
2.00
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012844
VSI Rcpt#:
000050742
2.00
RECTRAC
02/22/11 99.
CR
01858
08/11
CR
02/22/11
0012845
VSI Rcpt#:
000050743
2.00
RECTRAC
02/22/11 99
CR
01864
08/11
CR
02/23/11
0012919
VSI Rcpt#:
000050750
2.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012920
VSI Rcpt#:
000050760
2.00
RECTRAC
02/23/11 99
CR
01864
08/11
CR
02/23/11
0012921
VSI Rcpt#:
000050765
2.00
RECTRAC
02/23/11 99
CR
01885
08/11
CR
02/24/11
0012986
VSI Rcpt#:
000050774
2.00
RECTRAC
02/24/11 99
CR
01885
08/11
CR
02/24/11
0012987
VSI Rcpt#:
000050773
2.00
RECTRAC
02/24/11 99
CR
01885
08/11
CR
02/24/11
0012988
VSI Rcpt#:
000050776
2.00
RECTRAC
02/24/11 99
CR
01885
08/11
CR
02/24/11
0012989
VSI Rcpt#:
000050777
2.00
RECTRAC
02/24/11 99
CR
01885
08/11
CR
02/24/11
0012990
VSI Rcpt#:
000050781
2.00
RECTRAC
02/24/11'99
CR
01885
08/11
CR
02/24/11
0012991
VSI Rcpt#:
000050794
2.00
RECTRAC
02/24/11 99
CR
01885
08/11
CR
02/24/11
0012992
VSI Rcpt#:
000050793
2.00
RECTRAC
02/24/11 99
CR
01892
08/11
CR
02/25/11
0013018
VSI Rcpt#:
000050810
2.00.
RECTRAC
02/25/11 99
CR
01925
08/11
CR
02/28/11
0013210
VSI Rcpt#:
000050950
2.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013211
VSI Rcpt#:
000050953
2.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER IVITY LISTING
FAbt 806
PROGRAM
GM362LA
CITY OF LA
---------------------------------------------------------------=-------------------------------------------------------------=------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services /
Sr Ctr Special
Events
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013212
VSI Rcpt#:
000050949
2.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013213
VSI Rcpt#:
000050947
2.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013214
VSI Rcpt#:
000050956
.2.00
RECTRAC
02/28/11 98
CR
01925
08/11
CR
02/28/11
0013215
VSI Rcpt#:
000050922
2.00
RECTRAC
02/28/11 98
CR
01931
09/11
CR
03/01/11
0013284
VSI Rcpt#:
000050991
2.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013285
VSI Rcpt#:
000050972
2.00
RECTRAC
03/01/11 98
CR
01931
09/11
CR
03/01/11
0013286
VSI Rcpt#:
000051019
2.00
RECTRAC
03/01/11 98
CR
01938
09/11
CR
03/02/11
0013386
VSI Rcpt#:
000051048
2.00
RECTRAC
0.3/02/11 99
CR
01938
09/11
CR
03/02/11
0013387
VSI Rcpt#:
000051075
2.00
RECTRAC
03/02/11 99
CR
01992
09/11
CR
03/07/11
0013942
VSI Rcpt#:
000051206
2.00
RECTRAC
03/07/11 99
CR
01999
09/11
CR
03/08/11
0014182
VSI Rcpt#:
000051244
2.00
RECTRAC
03/08/11 99
CR
01999
09/11
CR
03/08/11
0014183
VSI Rcpt#:
000051219
2.00
RECTRAC
03/08/11 99
CR
02090
09/11
CR
03/15/11
0014673
VSI Rcpt#:
000051336
2.00
•
RECTRAC
03/15/11 99
CR
02103
09/11
CR
03/17/11
0014853
VSI Rcpt#:
000051464
15.00
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014854
VSI Rcpt#:
000051449
2.00
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014855
VSI Rcpt#:
000051446
2.00
RECTRAC
03/17/11 98
CR
02103
09/11
CR
03/17/11
0014856
VSI Rcpt#:
000051448
2.00
RECTRAC
03/17/11 98
CR
02126
09/11
CR
03/21/11
0014963
VSI Rcpt#:
000051545
15.00
RECTRAC
03/21/11 99
CR
02126
09/11
CR
03/21/11
0014964
VSI Rcpt#:
000051544
15.00
RECTRAC
03/21/11 99
CR
02142
09/11
CR
03/22/11
0015301
VSI Rcpt#:
000051572
15.00
RECTRAC
03/22/11 99
CR
02176
09/11
CR
03/28/11
0015617
VSI Rcpt#:
000051763
2.00
RECTRAC
03/28/11 99
CR
02284
10/11
CR
04/08/11
0016886
VSI Rcpt#:
000052157
8.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016887
VSI Rcpt#:
000052162
8.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016888
VSI Rcpt#:
000052159
8.00
RECTRAC
04/08/11 99
PREPARED
—17/2014,
10:19:00
GENERAL LEDGER — .IVITY LISTING
FNvc 807
PROGRAM-
GM362LA
CITY OF LA
----------------------------------------------------------------------------------------------------------=---------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
CR
02284
10/11
CR
04/08/11
0016889
VSI Rcpt#:
000052163
8.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016890
VSI Rcpt#:
000052156
8.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016891
VSI Rcpt#:
000052158
8.00
RECTRAC
04/08/11 99
CR
02284
10/11
CR
04/08/11
0016892
VSI Rcpt#:
000052160
8.00
RECTRAC
04/08/11 99
CR
02509
10/11
CR
04/10/11
0019426
VSI Rcpt#:
000052362
2.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019427
VSI Rcpt#:
000052362
2.00
RECTRAC
04/10/11 99
CR
02509
10/11
CR
04/10/11
0019428
VSI Rcpt#:
000052362
2.00
RECTRAC
04/10/11 99
CR
02327
10/11
CR
04/11/11
0016988
VSI Rcpt#:
000052194
66.00
RECTRAC
04/11/11 99
CR
02333
10/11
CR
04/12/11
0017053
VSI Rcpt#:
000052233
15.00
RECTRAC
04/12/11 99
CR
02359
10/11
CR
04/15/11
0017773
VSI Rcpt#:
000052317•
2.00
RECTRAC
04/15/11 98•
CR
02359
10/11
CR
04/15/11
0017774
VSI Rcpt#:
000052291
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15'/ll
0017775
VSI Rcpt#:
000052298
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017776
VSI Rcpt#:
000052286
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017777
VSI Rcpt#:
000052290
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017778
VSI Rcpt#:
000052293
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017779
VSI Rcpt#:
000052294
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017780
VSI Rcpt#:
000052295
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017781
VSI Rcpt#:
000052296
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017782
VSI Rcpt#:
000052297
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017783
VSI Rcpt#:
000052306
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/110017784
VSI Rcpt#:
000052307
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017785
VSI Rcpt#:
000052308
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017786
VSI Rcpt#:
000052309
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017787
VSI Rcpt#:
000052292
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017788
VSI Rcpt#:
000052310
2.00
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER .— IVITY LISTING
808
PROGRAM
GM362LA
CITY OF LA
----------------------
QUINTA, CALIFORNIA
FUND 101
General
--------------------------------------------------------------------------------------=--
Fund
---------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER •
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017789
VSI Rcpt#:
000052287
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017790
VSI Rcpt#:
000052312
2.00
'RECTRAC
04/15/11 98
CR
02359.
10/11
CR
04/15/11
0017791
VSI Rcpt#:
000052313'
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017792
VSI Rcpt#:
000052318
2.00
RECTRAC
04/15/11 98
CR
02359
10/11
CR
04/15/11
0017793
VSI Rcpt#:
000052319
2.00
RECTRAC
04/15/11 98
CR
02365
10/11
CR
04/18/11
0017847
VSI Rcpt#:
000052343
2.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017848
VSI Rcpt#:
000052336
2.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017849
VSI Rcpt#:
000052350
2.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017850
VSI Rcpt#:
000052354
2.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017851
VSI Rcpt#o
000052348
2.00
RECTRAC
04/18/11 99
CR
02365
10/11
CR
04/18/11
0017852
VSI Rcpt#:
000052335
2.00
RECTRAC
04/18/11 99
CR
02371
10/11
CR
04/19/11
0017912
VSI Rcpt#:
000052380
2.00
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017913
VSI Rcpt#:
000052381
2.00
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017914
VSI Rcpt#:
000052374
2.00
RECTRAC
04/19/11 99
CR
02371
10/11
CR
04/19/11
0017915
VSI Rcpt#:
000052364
2.00
•
RECTRAC
04/19/11 99
CR
02378
10/11
CR
04/20/11
0017988
VSI Rcpt#:
000052403
15.00
RECTRAC
04/20/11 98
CR
02378
10/11
CR
04/20/11
0017989
VSI Rcpt#:
000052437
2.00
RECTRAC
04/20/11 98
CR
02384
10/11
CR
04/21/11
0018060
VSI Rcpt#:
000052446
2.00
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018061
VSI Rcpt#:
000052447
2.00
RECTRAC
04/21/11 99
CR
02384
10/11
CR
04/21/11
0018062
VSI Rcpt#:
000052448
2.00
RECTRAC
04/21/11 99
CR
02395
10/11
CR
04/25/11
0018260
VSI Rcpt#:
000052532
2.00
RECTRAC
04/25/11 99
CR
02401
10/11
CR
04/26/11
0018327
VSI Rcpt#:
000052562
2.00
RECTRAC
04/26/11 99
CR
02401
10/11
CR
04/26/11
0018328
VSI Rcpt#:
000052563
2.00
RECTRAC
04/26/11 99
CR
02434
10/11
CR
04/27/11
0018650
VSI Rcpt#:
000052568
2.00
RECTRAC
04/27/11 99
PREPARED
_._17/2014,
10:19:00
GENERAL LEDGER — IVITY LISTING
Fhwm 809
PROGRAM'
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges
for Services
/ Sr Ctr Special
Events
CR
02443
10/11
CR
04/28/11
0018725
VSI Rcpt#:
000052605
2.00
RECTRAC
04/28/11.98
CR
O.2450
10/11
CR
04/29/11
0018771
VSI Rcpt#:
000052621
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018772
VSI Rcpt#:
000052622
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018773
VSI Rcpt#:
000052626
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018774
VSI Rcpt#:
000052620
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018775
VSI Rcpt#:
000052614
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018776
VSI Rcpt#:
000052617
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018777
VSI Rcpt#:
000052648
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
.0018778
VSI Rcpt#:
000052627
2.00
•
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018779
VSI Rcpt#:
000052633
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018780
VSI Rcpt#:
000052643
2.00
RECTRAC
04/29/11.99
CR
02450
10/11
CR
04/29/11
0018781
VSI Rcpt#:
000052632
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018782
VSI Rcpt#:
000052631
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018783
VSI Rcpt#:
000052629
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018784
VSI Rcpt#:
000052628
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018785
VSI Rcpt#:
000052639
2.00.
RECTRAC
04/29/11 99
CR
0-2450
10/11
CR
04/29/11
0018786
VSI Rcpt#:
000052627
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018787
VSI Rcpt#:
000052625
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018788
VSI Rcpt#:
000052624
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018789
VSI Rcpt#:
000052644
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018790
VSI Rcpt#:
000052646
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018791
VSI Rcpt#:
000052645
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018792
VSI Rcpt#:
000052649
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018793
VSI Rcpt#:
000052653
2.00
'
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018794
VSI Rcpt#:
000052616
2.00
PREPARED
-..17/2014, 10:19:00
GENERAL LEDGER--.IVITY LISTING
Fnuc 810
PROGRAM
GM362LA
CITY OF LA
-----------------------------------------------------------------------------------------------------------------------------------=
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.74-00
Charges for Services /
Sr Ctr Special
Events
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018795
VSI Rcpt#:'000052615
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018796
VSI Rcpt#:
000052655
2.00
RECTRAC
04/29/11 99
CR
02450
10/11
CR
04/29/11
0018797
VSI Rcpt#:
000052658
2.00
RECTRAC
04/29/11 99
CR
02464
11/11
CR
05/02/11
0018877
VSI Rcpt#:
000052707
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018878
VSI Rcpt#:
000052729
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018879
VSI Rcpt#:
000052728
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11,
0018880
VSI Rcpt#:
000052727
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018881
VSI Rcpt#:
000052727
2.00
RECTRAC-
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018882
VSI Rcpt#:
000052724
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018883
VSI Rcpt#:
000052743
2.00
RECTRAC
05/02/11 99
CR
02464
11/11
CR
05/02/11
0018884
VSI Rcpt#:
000052706
2.00
RECTRAC
05/02/11 99
CR
02512
11/11
CR
05/06/11
0019318
VSI Rcpt#:
000052854
2.00
RECTRAC
05/06/11 99
CR
02512
11/11
CR
05/06/11
0019319
VSI Rcpt#:
000052864
2.00
RECTRAC
05/06/11 99
CR
02535
11/11
CR
05/10/11
0019550
VSI Rcpt#:
000052912
2.00
RECTRAC
05/10/11 99
CR
02535
11/11
CR
05/10/11
0019551
VSI Rcpt#:
000052913
2.00
RECTRAC
05/10/11 99
CR
02535
11/11•
CR
05/10/11
0019552
VSI Rcpt#:
000052930
8.00
RECTRAC
05/10/11 99
CR
02535
11/11
CR
05/10/11
0019553
VSI Rcpt#:
000052931
8.00
RECTRAC
05/10/11 99
CR
02726
11/11
CR
05/11/11
0021052
VSI Rcpt#:
000052619
2.00
RECTRAC
05/11/11 97
CR
02726
11/11
CR
05/11/11
0021053
VSI Rcpt#:
000052619
2.00
RECTRAC
05/11/11 97
CR
02567
11/11
CR
05/12/11
0019726
VSI Rcpt#:
000052970
2.00
RECTRAC
05/12/11 98
CR
02573
11/11
CR
05/13/11
0019766
VSI Rcpt#:
000053003
2.00
RECTRAC
05/13/11 99
CR
02573
11/11
CR
05/13/11
0019767
VSI Rcpt#:
000053005
2.00
RECTRAC
05/13/11 99
CR
02579
11/11
CR•05/16/11
0019828
VSI Rcpt#:
000053031
72.00
RECTRAC
05/16/11 99
CR
02579
11/11
CR
05/16/11
0019829
VSI Rcpt#:
000053032
8.00
RECTRAC
05/16/11 99
PREPARED ....17/2014, 10:19:00 GENERAL LEDGER .....IVITY LISTING FNuc 811
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.74-00 Charges for Services / Sr Ctr Special Events
CR
02579
11/11
CR
05/16/11
0019830
VSI Rcpt#:
000053033
KBLONDELL
RECTRAC
05/16/11
99
CR
02579
11/11
CR
05/16/11
0019831
VSI Rcpt#:
000053034
RECTRAC
RECTRAC
05/.16/11
99
CR
02607
11/11
CR
05/18/11
0019935
VSI Rcpt#:
000053095
RECTRAC
RECTRAC
05/18/11
99
CR
02607
11/11
CR
05/18/11
0019936
VSI Rcpt#:
000053094
KBLONDELL
07/06/10
RECTRAC
05/18/11
99
CR
02624
11/11
CR
05/19/11
0020108
VSI Rcpt#:
000053117
MMENDOZA
07/06/10
02
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19/11
0020109
VSI Rcpt#:
000053118
RECTRAC
07/06/10
98
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19/11
0020110
VSI Rcpt#:
000053119
RECTRAC
07/06/10
98
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19/11
0020111
VSI Rcpt#:
000053120
RECTRAC
07/07/10
98
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19/11
0020112
VSI Rcpt#:
000053121
RECTRAC
07/07/10
98
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19%11
0020113
VSI Rcpt#:
000053122
RECTRAC
07/07/10
98
RECTRAC
05/19/11
99
CR
02624
11/11
CR
05/19/11
0020114
VSI Rcpt#:
000053123
•
RECTRAC
05/19/11
99
CR
02683
11/11
CR
05/26/11
0020520
VSI Rcpt#:
000053279
RECTRAC
05/26/11
98
ACCOUNT TOTAL
101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
CR
00025
01/11
CR
07/01/10
0020325
FIT CARD/LUNA, M
KBLONDELL
07/01/10
01
CR
00030
01/11
CR
07/01/10
0000131
VSI Rcpt#:
000046555
RECTRAC
07/01/10
98
CR
00030
01/11
CR
07/01/10
0000132
VSI Rcpt#:
000046557
RECTRAC
07/01/10
98
CR
00039
01/11
CR
07/06/10
0000162
FIT CARD/HILL, J
KBLONDELL
07/06/10
01
CR
00039
01/11
CR
07/06/10
0000179
FITNESS CARD -CAMPBELL
MMENDOZA
07/06/10
02
CR
00044
01/11
CR
07/06/10
0000226
VSI Rcpt#:
000046615
RECTRAC
07/06/10
98
CR
00044
01/11
CR
07/06/10
0000227
VSI Rcpt#:
000046607
RECTRAC
07/06/10
98
CR
00050
01/11
CR
07/07/10
0000328
VSI Rcpt#:
000046619
RECTRAC
07/07/10
98
CR
00050
01/11
CR
07/07/10
0000329
VSI Rcpt#:
000046625
RECTRAC
07/07/10
98
CR
00050
01/11
CR
07/07/10
0000330
VSI Rcpt#:
000046626
RECTRAC
07/07/10
98
8.00
8.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
2.00
4.00 2,284.00 2,280.00OR
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER–_.IVITY LISTING
1— 812
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------------------=
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE '
.101-3000-342.76-00
Charges
for Services /
Boys 8 Girl
Fitness Card
CR
00056
01/11
CR
07/08/10
0000413
VSI Rcpt#:
000046657
15.00
RECTRAC
07/08/10 98
CR
00062
01/11
CR
07/09/10
0000440
VSI Rcpt#:
000046678
15.00
RECTRAC
07/09/10 99
CR
00073
01/11
CR
07/12/10
0000482
VSI Rcpt#:
000046691
15.00
RECTRAC
07/12/10 98
CR
00081
01/11
CR
07/14/10
0000503
FIT CARD/MONTALVO
15.00
KBLONDELL
07/14/10 01
CR
OD092
01/11
CR.07/14/10
0000594
VSI Rcpt#:
000046705
15.00
RECTRAC
07/14/10 98
CR
00092
01/11
CR
07/14/10
0000595
VSI Rcpt#:
000046705
15.00
RECTRAC
07/14/10 98
CR
00092
01/11
CR
07/14/10
0000596
VSI Rcpt#:
000046705
15.00
RECTRAC
07/14/10 98
CR
00092
01/11
CR
07/14/10
0000597
VSI Rcpt#:
000046703
15.00
RECTRAC
07/14/10 98
CR
00124
01/11
CR
07/15/10
0000638
VSI Rcpt#:
000046718
15.00
RECTRAC
07/15/10 98
CR
00139
01/11
CR
07/19/10
0000708
VSI Rcpt#:
000046737
15.00
RECTRAC
07/19/10 98
CR
00146
01/11
CR
07/20/10
0000740
VSI Rcpt#:
000046740
15.00
RECTRAC
07/20/10 99
CR
00146
01/11
CR
07/20/10
0000741
VSI Rcpt#:
000046741
15.00
•
RECTRAC
07/20/10 99
CR
00146
01/11
CR
07/20/10
0000742
VSI Rcpt#:
000046743
15.00
RECTRAC
07/20/10 99
CR
00171
01/11
CR
07/23/10
0000870
VSI Rcpt#:
000046770
15.00
RECTRAC
07/23/10 98
GM
00179
01/11
AJ
07/27/10
JE 01-021
RECL 7/22
CR FITNESS CRD
15.00
CR
00201
01/11
CR
07/27/10
0000895
FITNESS CARD
15.00
MMENDOZA
07/27/10 01
CR
00211
01/11
CR
07/28/10
0000994
VSI Rcpt#:
000046801
15.00
RECTRAC
07/28/10 98
CR
00211
01/11
CR
07/28/10
0000995
VSI Rcpt#:
000046800
15.00
RECTRAC
07/28/10 98
CR
00217
01/11
CR
07/29/10
0001062
VSI Rcpt#:
000046807
15.00
RECTRAC
07/29/10 98
CR
00242
02/11
CR
08/02/10
0001176
VSI Rcpt#:
000046825
15.00
•
RECTRAC
08/02/10 98
CR
00261
02/11
CR
08/05/10
0001283
FITNESS CARD/HILL,
A
15.00
KBLONDELL
08/05/10 01
CR
00268
02/11
CR
08/06/10
0001367
FITNESS CARD/BUTVIDAS
15.00
KBLONDELL
08/06/10 01
CR
00310
02/11
CR
O8/11/10
0001543
VSI Rcpt#:
000046907
15.00
RECTRAC
08/11/10 98
CR
00311
02/11
CR
08/12/10
0001572
VSI Rcpt#:
000046913
15.00
RECTRAC
08/12/10 99
CR
00311
02/11
CR
08/12/10
0001573
VSI Rcpt#:
000046910
15.00
RECTRAC
08/12/10 99
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER .._.IVITY LISTING
F--- 813
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services
/ Boys & Girl
Fitness Card
CR
00311
02/11
CR
08/12/10
0001574
VSI Rcpt#:
000046911
15.00
RECTRAC
08/12/10 99
CR
00335
02/11
CR
08/16/10
0001603
2 FITNESS
CARDS-KELLER
30.00
MMENDOZA
08/16/10 01
CR
00340
02/11
CR
08/16/10
0001639
VSI Rcpt#:
000046927
15.00
RECTRAC
08/16/10 98
CR
00371
02/11
CR
08/17/10
0001645
FITNESS CENTER
- OLIVERA
15.00
MANCILLA
08/17/10 01
CR
00376
02/11
CR
08/17/10
0001719
VSI Rcpt#:
000046943
15.00
RECTRAC
08/17/10 99
CR
OB376
02/11
CR
08/17/10
0001720
VSI Rcpt#:
000046944
15.00
RECTRAC
08/17/10 99
CR
00376
02/11
CR
08/17/10
0001721
VSI Rcpt#:
000046944
15.00
RECTRAC
08/17/10 99
CR
00376
02/11
CR
08/17/10
0001722
VSI Rcpt#:
000046939
15.00
RECTRAC
08/17/10 99
CR
00404
02/11
CR
08/19/10
0001820
VSI Rcpt#:
000046958
15.00
RECTRAC
08/19/10 99
CR
00466
02/11
CR
08/24/10
0001927
FITNESS CARD
15.00
MANCILLA
08/24/10 01
CR
00471
02/11
CR
08/24/10
0001966
VSI Rcpt#:
000046996
15.00
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001967
VSI Rcpt#:
000046996
15.00
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001968
VSI Rcpt#:
000047002 •
15.00
•
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001969
VSI Rcpt#:
000046995
15.00
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001970
VSI Rcpt#:
000046994
15.00
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001971
VSI Rcpt#:
000046994
15.00
RECTRAC
08/24/10 99
CR
00471
02/11
CR
08/24/10
0001972
VSI Rcpt#:
000047005
15.00
RECTRAC
08/24/10 99
CR
00480
02/11
CR
08/25/10
0002022
VSI Rcpt#:
000047012
15.00
RECTRAC
08/25/10 98
CR
00480
02/11
CR
08/25%10
0002023
VSI Rcpt#:
000047009
15.00
RECTRAC
08/25/10 98
CR
00480
02/11
CR
08/25/10
0002024
VSI Rcpt#:
000047009
15.00
RECTRAC
08/25/10 98
CR
00487
02/11
CR
08/26/10
0002114
VSI Rcpt#:
000047022
15.00
RECTRAC
08/26/10 98
CR
00498
02/11
CR
08/27/10
0002189
VSI Rcpt#:
000047078
15.00
RECTRAC
08/27/10 98
CR
00498
02/11
CR
08/27/10
0002190
VSI Rcpt#:
000047078
15.00
RECTRAC
08/27/10 98
CR
00501
02/11
CR
08/30/10
0002162
WILLIS
15.00
MMENDOZA
08/30/10 01
CR
00505
02/11
CR
08/30/10
0002279
VSI Rcpt#:
000047100
15.00
PREPARED -..17/2014, 10:19:00 GENERAL LEDGER .— .IVITY LISTING Fnww 814
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- ----------------------- ---------------- ---------- -------------------------- -------------------------------------------- ---------
101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
RECTRAC
08/30/10 98
CR
00524
03/11
CR
09/01/10
0002392
FITNESS CARD/HUBBARD
DMARTIN
09/01/10 01
CR
00529
03/11
CR
09/01/10
0002458
VSI Rcpt#:
000047141
RECTRAC
09/01/10 98
CR
00531
03/11
CR
09/02/10
0002473
FITNESS CARD/STEVENS
DMARTIN
09/02/10 01
CR
00536
03/11
CR
09/02/10
0002488
VSI Rcpt#:
000047170
RECTRAC
09/02/10 99
CR
00542
03/11
CR
09/03/10
0002549
VSI Rcpt#:
000047198
RECTRAC
09/03/10 98
CR
00542
03/11
CR
09/03/10
0002550
VSI Rcpt#:
000047193
RECTRAC
09/03/10 98
CR
00542
03/11
CR
09/03/10
0002551
VSI Rcpt#:
000047185
RECTRAC
09/03/10 98
CR
00542
03/11
CR
09/03/10
0002552
VSI Rcpt#:
000047206
RECTRAC
09/03/10 98
CR
00547
03/11
CR
09/07/10
0002565
SENIOR BUS
PASS/FITNESS C
DMARTIN
09/07/10 01
CR
00552
03/11
CR
09/07/10
0002597
VSI Rcpt#:
000047225
RECTRAC
09/07/10 98
CR
00552
03/11
CR
09/07/10
0002598
VSI Rcpt#:
000047233
RECTRAC
09/07/10 98
CR
00552
03/11
CR
09/07/10
0002599
VSI Rcpt#:
000047226
RECTRAC
09/07/10 98
CR
00561
03/11
CR
09/08/10
0002653
VSI Rcpt#:
000047254
RECTRAC
09/08/10 98
CR
00561
03/11
CR
09/08/10
0002654
VSI Rcpt#:
000047273
RECTRAC
09/08/10 98
CR
00561
03/11
CR
09/08/10
0002655
VSI Rcpt#:
000047251.
RECTRAC
09/08/10 98
CR
00569
03/11
CR
09/09/10
0002758
VSI Rcpt#:
000047290
RECTRAC
09/09/10 98
CR
00569
03/11
CR
09/09/10
0002759
VSI Rcpt#:
000047285
RECTRAC
09/09/10 98
CR
00569
03/11
CR
09/09/10
0002760
VSI Rcpt#:
000047297
RECTRAC
09/09/10 98
CR
00589
03/11
CR
09/10/10
0002811
VSI Rcpt#:
000047307
RECTRAC
09/10/10 98
GR
00608
03/11
CR
09/14/10
0002916
FIT CARD/VANVLYMEN, A
KBLONDELL
09/14/10 01
CR
00613
03/11
CR
09/14/10
0002979
VSI Rcpt#:
000047372
'
RECTRAC
09/14/10 98
CR
00646
03/11
CR
09/17/10
0003159
FIT CARD/FORTIS
KBLONDELL
09/17/10 01
CR
00651
03/11
CR
09/17/10
0003172
VSI Rcpt#:
000047433
RECTRAC
09/17/10 98
CR
00654
03/11
CR
09/20/10
0003183
FITNESS CARD
CASHVO
09/20/10 01
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
PREPARED
-...7/2014,
10:19:00
GENERAL LEDGER _._.IVITY LISTING
F.. _ 815
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---•----------------------------------------------------------------------------------------------=----------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P
T I'0 N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for Services
/ Boys & Girl
Fitness Card
CR
00664
03/11
CR.09/21/10
0003312
VSI Rcpt#:
000047461
.35.00
RECTRAC
09/21/10 99
CR
00664
03/11
CR
09/21/10
0003313
VSI Rcpt#:
000047462
35.00
RECTRAC
09/21/10 99
CR
00664
03/11
CR
09/21/10
0003314
VSI Rcpt#:
000047466
15.00
RECTRAC
09/21/10 99
CR
00664
03/11
CR
09/21/10
0003315
VSI Rcpt#:
000047460
35.00
RECTRAC
09/21/10 99
CR
00664
03/11
CR
09/21/10
0003316
VSI Rcpt#:
000047467
15.00
RECTRAC
09/21/10 99
CR
00680
03/11
CR
09/22/10
0003405
VSI Rcpt#:
000047485
15.00
RECTRAC
09/22/10 98
CR
00693
03/11
CR
09/23/10
0003491
VSI Rcpt#:
000047533
15.00
RECTRAC
09/23/10 98
CR
OD693
03/11
CR
09/23/10
0003492
VSI Rcpt#:
000047533
15.00
RECTRAC
09/23/10 98
CR
00695
03/11
CR
09/24/10
0003443
FIT CARD/PEARSON,
B
15.00
KBLONDELL
09/24/10 01
CR
00729
03/11
CR
09/28/10
0003605
FIT CARD/MILHISER
15.00
KBLONDELL
09/28/10 01
CR
00729
03/11
CR
09/28/10
0003603
FITNESS CARD-STEVENS
15.00
MMENDOZA
09/28/10 01
CR
00734
03/11
CR
09/28/10
0003660
VSI Rcpt#:
000047611
15.00
RECTRAC
09/28/10 98
CR
00743
03/11
CR
09/29/10
0003787
VSI Rcpt#:
000047635
15.00
RECTRAC
09/29/10 98
CR
00743
03/11
CR
09/29/10
0003788
VSI Rcpt#:
000047621
15.00
RECTRAC
09/29/10 98
CR
00754
04/11
CR
10/01/10
0003933
VSI Rcpt#:
000047704
15.00
RECTRAC
10/01/10 98
CR
00803
04/11
CR
10/06/10
0004046
FITNESS CARD
15.00
CASHVO
10/06/10 01
CR
00808
04/11
CR
10/06/10
0004305
VSI Rcpt#:
000047779
15.00
RECTRAC
10/06/10 98
CR
00816
04/11
CR
10/08/10
0004361
WILLIAMS
15.00
MMENDOZA
10/08/10 01
CR
00829
04/11
CR
10/08/10
0004449
VSI Rcpt#:
000047815
15.00
RECTRAC
10/08/10 98
CR
00829
04/11
CR
10/08/10
0004450
VSI Rcpt#:
000047810
15.00
RECTRAC
10/08/10 98
CR
00863
04/11
CR
10/12/10
0004471
2 FIT CARDS/HERNANDEZ
& D
30.00
KBLONDELL
10/12/10 01
CR
00863
04/11
CR
10/12/10
0004507
MANCILLA
15.00
MMENDOZA
10/12/10 01
CR
00867
04/11
CR
10/12/10
0004588
VSI Rcpt#:
000047851
15.00
RECTRAC
10/12/10 98
CR
00867
04/11
CR
10/12/10
0004589
VSI Rcpt#:
000047851
15.00
RECTRAC
10/12/10 98
CR
00891
04/11
CR
10/15/10
0004734
VSI Rcpt#:
000047893
15.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER IVITY LISTING
FAbt 816
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA; CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------------=---------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services'/
Boys & Girl
Fitness Card
RECTRAC
10/15/10 98
CR
Op903
04/11
CR
10/19/10
0004841
VSI Rcpt#:
000047918
15.00
RECTRAC
10/19/10 98
CR
00940
04/11
CR
10/21/10
0004949
VSI Rcpt#:
000047972
15.00
RECTRAC
10/21/10 98
CR
00940
04/11
CR
10/21/10
0004950
VSI Rcpt#:
000047971
15.00
RECTRAC
10/21/10 98
CR
00953
04/11
CR
10/22/10
0005024
VSI Rcpt#:
000047981
15.00
RECTRAC
10/22/10 98
CR
00962
04/11
CR
10/25/10
0005087
VSI Rcpt#:
000048008
15.00
RECTRAC
10/25/10 98
CR-
00962
04/11
CR
10/25/10
0005088
VSI Rcpt#:
000048004
15.00
RECTRAC
10/25/10 98
CR
00969
04/11
CR
10/26/10
0005147
VSI Rcpt#:
000048030
15.00
RECTRAC
10/26/10 98
CR
00969
04/11
CR
10/26/10
0005148
VSI Rcpt#:
000048037
15.00
•
RECTRAC
10/26/10 98
CR
00976
04/11
CR
10/27/10
0005262
VSI Rcpt#:
000048043
15.00
RECTRAC
10/27/10 98
CR
00984
04/11
CR
10/28/10
0005341
VSI Rcpt#:
000048113
15.00
RECTRAC
10/28/10 99
CR
00984.
04/11
CR
10/28/10
0005342
VSI Rcpt#:
000048141
15.00
RECTRAC
10/28/10 99
CR
01009
05/11
CR
11/01/10
0005465
FIT CARD/KATZMAN
15.00
KBLONDELL
11/01/10 01
CR
01009
05/11
CR
11/01/10
0005473
3 NEW AL &
FIT CARD/HULL,
15.00
KBLONDELL
11/01/10 01
CR
01009
05/11
CR
11/01/10
0005483
FIT CARD/THROWER
15.00
KBLONDELL
11/01/10 01
CR
01014
05/11
CR
11/01/10
0005659
VSI Rcpt#:
000048205 •
15.00
RECTRAC
11/01/10 98
CR
01045
05/11
CR
11/03/10
0005831
VSI Rcpt#:
000048300
15.00
RECTRAC
11/03/10 98
CR
01045
05/11
CR
11/03/10
0005832
VSI Rcpt#:
000048310
15.00
RECTRAC •
11/03/10 98
CR
01045
05/11
CR
11/03/10
0005833
VSI Rcpt#:
000048310
15.00
RECTRAC
11/03/10 98
CR
01075
05/11
CR
11/08/10
0005979
RES & FIT
CARD/NAGLE
15.00
KBLONDELL
11/08/10 01
CR
01080
05/11
CR
11/08/10
0006056
VSI Rcpt#:
000048409
15.00
RECTRAC
11/08/10 98
CR
01090
05/11
CR
11/09/10
0006146
VSI Rcpt#:
000048412
35.00
RECTRAC
11/09/10 98
CR
01111
05/11
CR
11/10/10
0006149
FIT CARD/BROWN,
E
15.00
KBLONDELL
11/10/10 01
CR
01111
05/11
CR
11/10/10
0006169
FITNESS CARD-MENDOZA
15.00
'
PPARKER
11/10/10 01
CR
01118
05/11
CR
11/12/10
0006218
RES & FIT
CARD/SPANO
15.00
KBLONDELL
11/12/10 01
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER _ IVITY LISTING
FMVC 817
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
----------------------------------------
CD
DATE
NUMBER
D E S C R I P
-------------------------------------------------------------------------------------------
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for
Services
/ Boys & Girl
Fitness Card
CR
01123
05/11
CR
11/12/10
0006301
VSI Rcpt#:
000048474
15.00
RECTRAC
11/12/10 98
CR
01123
05/11
CR
11/12/10
0006302
VSI Rcpt#:
000048474
15.00
RECTRAC
11/12/10 98
CR
01123
05/11
CR
11/12/10
0006303
VSI Rcpt#:
000048474
15.00
RECTRAC
11/12/10 98
CR
01123
05/11
CR
11/12/10
0006304
VSI Rcpt#:
000048458
35.00
RECTRAC
11/12/10 98
CR
01123
05/11
CR
11/12/10
0006305
VSI Rcpt#:
000048457
15.00
RECTRAC
11/12/10 98
CR
01130
05/11
CR
11/15/10
0006384
VSI Rcpt#:
000048512
15.00
RECTRAC
11/15/10 98
CR
01139
05/11
CR
11/16/10
0006447
VSI Rcpt#:
000048531
15.00
RECTRAC
11/16/10 98
CR
01139
05/11
CR
11/16/10
0006448
VSI Rcpt#:
000048523
15.00
RECTRAC
11/16/10 98
CR
01139
05/11
CR
11/16/10
0006449
VSI Rcpt#:
000048545
15.00
RECTRAC
11/16/10 98
CR
01139
05/11
CR
11/16/10
0006450
VSI Rcpt#:
000048521
15.00
RECTRAC
11/16/10 98
CR
01167
05/11
CR
11/19/10
0006721
VSI Rcpt#:
000048609
15.00
RECTRAC
11/19/10 99
CR
01167
05/11
CR
11/19/10
0006722
VSI Rcpt#:
000048625
15.00
RECTRAC
11/19/10 99
CR
01191
05/11
CR
11/22/10
0006751
FIT CARD/BERNAL,
C
15.00
KBLONDELL
11/22/10 01
CR
01203
05/11
CR
11/23/10
0006818
VSI Rcpt#:
000048654
15.00
RECTRAC
11/23/10 99
CR
01203
05/11
CR
11/23/10
0006819
VSI Rcpt#:
000048652
15.00
RECTRAC
11/23/10 99
CR
01222
05/11
CR
11/29/10
0007084
VSI Rcpt#:
000048794
15.00
RECTRAC
11/29/10 98
CR
01222
05/11
CR
11/29/10
0007085
VSI Rcpt#:
000048786
15.00
•
RECTRAC
11/29/10 98
CR
01222
05/11
CR
11/29/10
0007086
VSI Rcpt#:
000048794
15.00
RECTRAC
11/29/10 98
CR
01222
05/11
CR
11/29/10
0007087
VSI Rcpt#:
000048820
15.00
RECTRAC
11/29/10 98
CR
01222
05/11
CR
11/29/10
0007088
VSI Rcpt#:
000048784
15.00
RECTRAC
11/29/10 98
CR
01224
05/11
CR
11/30/10
0007101
FITNESS CARD-THROWER
15.00
MMENDOZA
11/30/10 01
CR
01229
05/11
CR
11/30/10
0007152
VSI Rcpt#:
000048835
15.00
RECTRAC
11/30/10 98
CR
01229
05/11
CR
11/30/10
0007153
VSI Rcpt#:
000048833
15.00
RECTRAC
11/30/10 98
CR
01229
05/11
CR
11/30/10.0007154
VSI Rcpt#:
000048833
15.00
RECTRAC
11/30/10 98
CR
01278
06111
CR
12/02/10
0007338
VSI Rcpt#:
000048883
15.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER ..._.IVITY LISTING 818
PROGkAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING*
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS' BALANCE
-------------------------------------------------------------------------------------------------------------------=----------------
101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
15:00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
35.00
15.00.
15.00
30.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
RECTRAC
12/02/10 98
CR
01278
06/11
CR
12/02/10
0007339
VSI Rcpt#:
000048910
RECTRAC
12/02/10 98
CR
01298
06/11
CR
12/07/10
0007677
VSI Rcpt#:
000048982
RECTRAC
12/07/10 98
CR
01312
06/11
CR
12/09/10
0007817
VSI Rcpt#:
000049024
RECTRAC
12/09/10 99
CR
01314
06/11
CR
12/10/10
0007804
FIT CARD/BROWNE,
B
KBLONDELL
12/10/10 01
CR
01321
06/11
CR
12/13/10
0007886
2 RES CARDS
& 1 FIT/STROP
KBLONDELL
12/13/10 01
CR
01338
06/11
CR
12/14/10
0008027
VSI Rcpt#:
000049063
RECTRAC
12/14/10 98
CR
01361
06/11
CR
12/16/10
0008121•
VSI Rcpt#:
000049094
RECTRAC
12/16/10 98
CR
01432
06/11
CR
12/21/10
0008218
VSI Rcpt#:
000049142
RECTRAC
12/21/10 99
CR
01432
06/11
CR
12/21/10
0008219
VSI Rcpt#:
000049142
RECTRAC
12/21/10 99
CR
01437
06/11
CR
12/22/10
0008261
VSI Rcpt#:
000049158
•
RECTRAC
12/22/10.99
CR
01437
06/11
CR
12/22/10
0008262
VSI Rcpt#:
000049158
RECTRAC
12/22/10 99
CR
01444
06/11
CR
12/27/10
0008330
(2)FITNESS
CARDS/ENCINAS
DMARTIN
12/27/10 O1
CR
01444
06/11
CR
12/27/10
0008284
FIT CARD/TONER,
K
KBLONDELL
12/27/10 01
CR
01449
06/11
CR
12/27/10
0008352
VSI Rcpt#:
000049184
RECTRAC
12/27/10 98
CR
01451
06/11
CR
12/28/10
0008357
FITNESS CARD/EATON
DMARTIN
12/28/10 01
CR
01463
06/11
CR
12/29/10
0008463
VSI Rcpt#:
000049254
RECTRAC
12/29/10 97
CR
01463
06/11
CR
12/29/10
0008464
VSI Rcpt#:
000049254
RECTRAC
12/29/10 97
CR
01463
06/11
CR
12/29/10
0008465
VSI Rcpt#:
000049207
RECTRAC
12/29/10 97
CR
01487
07/11
CR
01/03/11
0008620
VSI Rcpt#:
000049335
RECTRAC
01/03/11 98
CR
01487
07/11
CR
01/03/11
0008621
VSI Rcpt#:
000049341
RECTRAC
01/03/11 98
CR
01487
07/11
CR
01/03/11
0008622
VSI Rcpt#:
000049341
RECTRAC
01/03/11 98
CR
01487
'07/11
CR
01/03/11
0008623
VSI Rcpt#:
000049340
RECTRAC
01/03/11 98
CR
01487
07/11
CR
01/03/11
0008624
VSI Rcpt#:
000049335
RECTRAC
01/03/11 98
CR
01498
07/11
CR
01/05/11
0008848
VSI Rcpt#:
000049386
RECTRAC
01/05/11 98
15:00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
35.00
15.00.
15.00
30.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
PREPARED
__.17/2014,
10:19:00
GENERAL LEDGER .— IVITY LISTING
Ehwm 819
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
-
-----------------------------------------------------------------------------------------------------------------------------------
,
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I P T
I O N DEBITS
CREDITS
BALANCE
.101-3000-342.76-00
Charges
for Services /
Boys & Girl
Fitness Card
CR
01498
07/11
CR
01/05/11
0008849
VSI Rcpt#:
000049418
15.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008850
VSI Rcpt#:
000049418
15.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008851
VSI Rcpt#:
000049398
15.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008852
VSI Rcpt#:
000049398
15.00
RECTRAC
01/05/11 98
CR
01498
07/11
CR
01/05/11
0008853
VSI Rcpt#:
000049426
15.00
RECTRAC
01/05/11 98
CR
01504
07/11
CR
01/06/11
0008917
VSI Rcpt#:
000049427
15.00
RECTRAC
01/06/11 99
CR
01508
07/11
CR
01/07/11
0008970
VSI Rcpt#:
000049471
15.00
RECTRAC
01/07/11 98
CR
01508
07/11
CR
01/07/11
0008971
VSI Rcpt#:
000049491
15.00
RECTRAC
01/07/11 98
CR
01521
07/11
CR
O1/10/11
0008947
FIT CARD/SKOV
15.00
KBLONDELL
O1/10/11 01
CR
01528
07/11
CR
O1/10/11
0009071
VSI Rcpt#:
000049530
15.00
RECTRAC
O1/10/11 98
CR
01528
07/11
CR
O1/10/11
0009072
VSI Rcpt#:
000049524
15.00
RECTRAC
01/10/11.98
CR
01528
07/11
CR
O1/10/11
0009073
VSI Rcpt#:
000049510
15.00
RECTRAC
O1/10/11 98
CR
01528
07/11
CR
O1/10/11
0009074
VSI Rcpt#:
000049508
15.00
RECTRAC
O1/10/11 98
CR
01536
07/11
CR
O1/11/11
0009258
VSI Rcpt#:.
000049579
15.00
RECTRAC
O1/11/11 98
CR
01546
07/11
CR
01/12/11
0009431
VSI Rcpt#:
000049598
15.00
RECTRAC
01/12/11 98
CR
01546
07/11•
CR
01/12/11
0009432
VSI Rcpt#:
000049600
15.00
RECTRAC
01/12/11 98
CR
01546
07/11
CR
01/12/11
0009433
VSI Rcpt#:
000049602
15.00
RECTRAC
01/12/11 98
CR
01552
07/11
CR
01/13/11
0009394
FIT CARD/PEREZ,
J
15.00
KBLONDELL
01/13/11 01
CR
01557
07/11
CR
01/13/11
0009476
VSI Rcpt#:
000049628
15.00
'
RECTRAC
01/13/11 98
CR
01557
07/11
CR
01/13/11
0009477
VSI Rcpt#:
000049628
15.00
RECTRAC
01/13/11 98
CR
01557
07/11
CR
01/13/11
0009478
VSI Rcpt#:
000049615
15.00
RECTRAC
01/13/11 98
CR
01589
07/11
CR
01/14/11
0009539
VSI Rcpt#:
000049659
15.00
RECTRAC
01/14/11 98
CR
01589
07/11•
CR
01/14/11
0009540
VSI Rcpt#:
000049659
15.00
RECTRAC
01/14/11 98
CR
01595
07/11
CR
01/18/11
0009619
VSI Rcpt#:
000049681
15.00
RECTRAC
01/18/11 98
CR
01595
07/11
CR
01/18/11
0009620
VSI Rcpt#:
000049698
15.00
PREPARED
—.17/2014,
10:19:00
GENERAL LEDGER ..-IVITY LISTING
P..-- 820
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund`
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------`-------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services
/ Boys & Girl
Fitness Card
RECTRAC
01/18/11 98
CR
01595
07/11
CR
01/18/11
0009621
VSI Rcpt#:
000049674 ,
35.00
RECTRAC
01/18/11 98
CR
01595
07/11 ,CR
01/18/11
0009622
VSI Rcpt#:
000049696
15.00
RECTRAC
01/18/11 98
CR
01595
07/11
CR
01/18/11
0009623
VSI Rcpt#:
000049673
15.00
RECTRAC
01/18/11 98
CR
01595
07/11
CR
01/18/11
0009624
VSI Rcpt#:
000049681
15.00
RECTRAC
01/18/11 98
CR
01602
07/11
CR
01/19/11
0009692
VSI Rcpt#:
000049720
15.00
RECTRAC
01/19/11 98
CR
01602
07/11
CR
01/19/11
0009693
VSI Rcpt#:
000049720
15.00
RECTRAC
01/19/11 98
CR
01612
07/11
CR
01/20/11
0009788
VSI Rcpt#:
000049752
15.00
RECTRAC
01/20/11 99
CR
01612
07/11
CR
01/20/11
0009789
VSI Rcpt#:
000049748
15.00
RECTRAC
01/20/11 99
CR
01612
07/11
CR
01/20/11
0009790
VSI Rcpt#:
000049754
15.00
RECTRAC
01/20/11 99
CR
01614
07/11
CR
01/21/11
0009826
FITNESS,CARD
15.00
CASHVO
01/21/11 01
CR
01618
07/11
CR
01/21/11
0009850
VSI Rcpt#:
000049781
15.00
RECTRAC
01/21/11 98
CR
01618
07/11
CR
01/21/11
0009851
VSI Rcpt#:
000049782
15.00
•
RECTRAC
01/21/11 98
CR
01618
07/11
CR
01/21/11
0009852
VSI Rcpt#:
000049773
15.00
RECTRAC
01/21/11 98
GM
01577
07/11
AJ
01/24/11
JE 07-013
RECL CR8563
1/4/11 (SKOV)
15.00
CR
01624
07/11
CR
01/24/11
0009900
VSI Rcpt#:
000049809
15.00
RECTRAC
01/24/11 98
CR
01624
07/11
CR
01/24/11
0009901
VSI Rcpt#:
000049809
15.00
RECTRAC
01/24/11 98
CR
01649
07/11
CR
01/25/11
0009917
FIT CARD/DEINERO
35.00
KBLONDELL
01/25/11 01
CR
01654
07/11
CR
01/25/11
0009973
VSI Rcpt#:
000049846
15.00
RECTRAC
01/25/11 98
CR
01662
07/11
CR
01/26/11
0010025
VSI Rcpt#:
000049862
15.00
RECTRAC
01/26/11 98
CR
01664
07/11
CR
01/27/11
0010050
FIT CARD/JACOBS, M
15.00
•
KBLONDELL
01/27/11 01
CR
01670
07/11
CR
01/27/11
0010140
VSI Rcpt#:
000049937
15.00
RECTRAC
01/27/11 98
CR
01670
07/11
CR
01/27/11
0010141
VSI Rcpt#:
000049938
15.00
RECTRAC
01/27/11 98
CR
01670
07/11
CR
01/27/11
0010142
VSI Rcpt#:
000049899
35.00
RECTRAC
01/27/11 98
CR
01670
07/11
CR
01/27/11
0010143
VSI Rcpt#:
000049896
15.00
RECTRAC
01/27/11 98
CR
01672
07/11
CR
01/28/11
0010161
(2)FITNESS
CARD/ROBERTS
30.00
PREPARED .,17/2014, 10:19:00 GENERAL LEDGER ..._1VITY LISTING F- 821
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- - /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I 0'N DEBITS CREDITS BALANCE
----------- -------------------------------------------------------------------------------------------------------------------------
101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
DMARTIN
01/28/11 01
CR
01672
07/11
CR
01/28/11
0010162
FITNESS CARD/MORENO
PPARKER
01/28/11 01
CR
01676
07/11
CR
01/28/11
0010243
VSI Rcpt#:
000049962
RECTRAC
01/28/11 98
CR
01676
07/11
CR
01/28/11
0010244
VSI Rcpt#:
000049974
RECTRAC
01/28/11 98
CR
01676
07/11
CR
01/28/11
0010245
VSI Rcpt#:
000049974
RECTRAC
01/28/11 98
CR
01676
07/11
CR
01/28/11
0010246
VSI Rcpt#:
000049961
RECTRAC
01/28/11 98
CR
01683
07/11
CR
01/31/11
0010371
VSI Rcpt#:
000050009
RECTRAC
01/31/11 98
CR
01683
07/11
CR
01/31/11
0010372
VSI Rcpt#:
000049996
RECTRAC
01/31/11 98
CR
01727
08/11
CR
02/02/11
0010623
VSI Rcpt#:
000050121
RECTRAC
02/02/11 98
CR
01727
08/11
CR
02/02/11
0010624
VSI Rcpt#:
000050131
RECTRAC
02/02/11 98
CR
01734
08/11
CR
02/04/11
0010765
COMM SVCS-RECTRAC 02/03/1
KBLONDELL
02/04/11 01
CR
01743
08/11
CR
02/07/11
0010795
FITNESS CARDS -DOWNS
MMENDOZA
02/07/11 01
CR
01748
08/11
CR
02/07/11
0010901
VSI Rcpt#:
000050293
RECTRAC
02/07/11 99
CR
01748
08/11
CR
02/07/11
0010902
VSI Rcpt#:
000050304
•
RECTRAC
02/07/11 99
CR
01748
08/11
CR
02/07/11
0010903
VSI Rcpt#:
000050305
RECTRAC
02/07/11 99
CR
01750
08/11
CR
02/08/11
0010917
FITNESS CARD-LARSON
MANCILLA
02/08/11 01
CR
01759
08/11
CR
02/08/11
0010968
VSI Rcpt#:
000050310
RECTRAC
02/08/11 98
CR
01770
08/11
CR
02/09/11
0011495
VSI Rcpt#:
000050355
RECTRAC
02/09/11.98
CR
01772
08/11
CR
02/10/11
0011538
FIT CARD/MCKINNEY, W
KBLONDELL
02/10/11 01
CR
01777
08/11
CR
02/10/11
0011571
VSI Rcpt#:
000050382
RECTRAC
02/10/11 98
CR
01777
08/11
CR
02/10/11
0011572
VSI Rcpt#:
000050395
RECTRAC
02/10/11 98
CR
01810
08/11
CR
02/11/11
0011636
VSI Rcpt#:
000050397
RECTRAC
02/11/11 98
CR
01819
08/11
CR
02/15/11
0011705
FIT CARD/HILL, LAUREL
KBLONDELL
02/15/11 01
CR
01823
08/11
CR
02/15/11
0011767
VSI Rcpt#,:
000050477
RECTRAC
02/15/11 98
CR
01823
08/11
CR
02/15/11
0011768
VSI Rcpt#:
000050477
RECTRAC
02/15/11 98
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
35.00
15.00
15.00
15.00
15.00
15.00
PREPARED
..17/2014,
10:19:00
GENERAL LEDGER--.1VITY LISTING
F— 822
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for
Services /
Boys & Girl
Fitness Card
CR
01831
08/11
CR
02/16/11
0011836
VSI Rcpt#:
000050529
15.00
RECTRAC
02/16/11 98
CR
01847
08/11
CR
02/18/11
0012266
2 FIT CARDS/CARRANZABMORG
30.00
KBLONDELL
02/18/11 01
CR
01852
08/11
CR
02/18/11
0012326
VSI Rcpt#:
000050644
35.00
RECTRAC
02/18/11 98
CR
01852
08/11
CR
02/18/11
0012327
VSI Rcpt#:
000050644
35.00
RECTRAC
02/18/11 98
CR
01852
08/11
CR
02/18/11
0012328
VSI Rcpt#:
000050652
15.00
RECTRAC
02/18/11 98
CR
01852
08/11
CR
02/18/11
0012329
VSI Rcpt#:
000050649
15.00
RECTRAC
02/18/11 98
CR
01854
08/11
CR
02/22/11
0012297
FIT CARD/PFOTENHAUER
35.00
KBLONDELL
02/22/11 01
CR
01858
08/11
CR
02/22/11
0012855
VSI Rcpt#:
000050722
15.00
RECTRAC
02/22/11 98
CR
01858
08/11
CR
02/22/11
0012856
VSI Rcpt#:
000050722
15.00
RECTRAC
02/22/11 98
CR
01858
08/11
CR
02/22/11
0012857
VSI Rcpt#:
000050703
15.00
RECTRAC
02/22/11 98
CR
01858
08/11
CR
02/22/11
0012858
VSI Rcpt#:
000050702
35.00
RECTRAC
02/22/11 98
CR
01858
08/11
CR
02/22/11
0012859
VSI Rcpt#:
000050702
35.00
RECTRAC
02/22/11 98
CR
01860
08/11
CR
02/23/11
0012862
FIT CARD/PFOTENHAUER
35.00
KBLONDELL
02/23/11 01
CR
01860
08/11
CR
02/23/11
0012865
FIT CARD/MCMULLEN
15.00
KBLONDELL
02/23/11 01
CR
01860
08/11
CR
02/23/11
0012871
DETAIL
15.00
MMENDOZA
02/23/11 01
CR
01864
08/11
CR
02/23/11
0012924
VSI Rcpt#:
000050769
15.00
RECTRAC
02/23/11 98
CR
01864
08/11
CR
02/23/11
0012925
VSI Rcpt#:
000050769
15.00
RECTRAC
02/23/11 98
CR
01885
08/11
CR
02/24/11
0012997
VSI Rcpt#:
000050772
15.00
RECTRAC
02/24/11 98
CR
01892
08/11
CR
02/25/11
0013034
VSI Rcpt#:
000050804
15.00
RECTRAC
02/25/11 98
CR
01892
08/11
CR
02/25/11
0013035
VSI Rcpt#:
000050807
15.00
RECTRAC
02/25/11 98
CR
01925
08/11
CR
02/28/11
0013152
VSI Rcpt#:
000050875
15.00
RECTRAC
02/28/11 99
CR
01931
09/11
CR
03/01/11
0013261
VSI Rcpt#:
000050982
15.00
'
RECTRAC
03/01/11 99
CR
01938
09/11
CR
03/02/11
0013394
VSI Rcpt#:
000051039
15.00
RECTRAC
03/02/11 98
CR
01938
09/11
CR
03/02/11
0013395
VSI Rcpt#:
000051079
15.00
RECTRAC
'03/02/11 98
CR
01938
09/11
CR
03/02/11
0013396
VSI Rcpt#:
000051079
15.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER IVITY LISTING
F- 823
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for
Services /
Boys & Girl
Fitness Card
RECTRAC
03/02/11 98
CR
01938
09/11
CR
03/02/11
0013397
VSI Rcpt#:
000051079
15.00
RECTRAC
03/02/11 98
CR
01964
09/11
CR
03/03/11
0013695
FIT CARD/ESPINOZA,
F.
15.00
KBLONDELL
03/03/11 01
CR
01969
09/11
CR
03/03/11
0013761
VSI Rcpt#:
000051100
15.00
RECTRAC
03/03/11 99
CR
01974
09/11
CR
03/04/11
0013801
FIT CARD/FLORES,
ROBERT
15.00
KBLONDELL
03/04/11 01
CR
01992
09/11
CR
03/07/11
0013951
VSI Rcpt#:
000051216
15.00
RECTRAC
03/07/11 99
CR
01994
09/11
CR
03/08/11
0013952
2 RES & FIT
CARDS/VOGEL&T
30.00
KBLONDELL
03/08/11 01
CR
01994
09/11
CR
03/08/11
0013962
FIT CARD/VAN
HOY, J
15.00
KBLONDELL
03/08/11 01
CR
01999
09/11
CR
03/08/11
0014190
VSI Rcpt#:
000051237
15.00
RECTRAC
03/08/11 99
CR
01999
09/11
CR
03/08/11
0014191
VSI Rcpt#:
000051239
15.00
RECTRAC
03/08/11 99
CR
02054
09/11
CR
03/09/11
0014264
VSI Rcpt#:
000051248
15.00
RECTRAC
03/09/11 99
CR
02066
09/11
CR
03/11/11
0014419
VSI Rcpt#:
000051290
15.00
RECTRAC
03/11/11 99
CR
02068
09/11
CR
03/14/11
0014424
FITNESS CARD-METCALFE
15.00
MMENDOZA
03/14/11 01
CR
02073
09/11
CR
03/14/11
0014477
VSI Rcpt#:
000051329
15.00
RECTRAC
03/14/11 99
CR
02073
09/11
CR
03/14/11
0014478
VSI Rcpt#:
000051320
15.00
RECTRAC
03/14/11 99
CR
02090
09/11
CR
03/15/11
0014682
VSI Rcpt#:
000051339
15.00
•
RECTRAC
03/15/11 98
CR
02092
09/11
CR
03/16/11
0014698
SLEIGHT
15.00
MMENDOZA
03/16/11 01
CR
02092
09/11
CR
03/16/11
0014699
ELLIOTT
15.00
MMENDOZA
03/16/11 01
CR
02092
09/11
CR
03/16/11
0014700
RIANO
15.00
MMENDOZA
03/16/11 01
CR
02096
09/11
CR
03/16/11
0014754
VSI Rcpt#:
000051397
15.00
RECTRAC
03/16/11 98
CR
02103
09/11
CR
03/17/11
0014826
VSI Rcpt#:
000051465
15.00
RECTRAC
03/17/11 99
CR
02110
09/11
CR
03/18/11
0014911
VSI Rcpt#:
000051505
15.00
RECTRAC
03/18/11 98
CR
02110
09/11
CR
03/18/11
0014912
VSI Rcpt#:
000051515
15.00
RECTRAC
03/18/11 98
CR
02126
09/11
CR
03/21/11
0014972
VSI Rcpt#:
000051555
15.00
RECTRAC
03/21/11 98
CR
02138
09/11
CR
03/22/11
0014981
FIT CARD/WHITE,
J
15.00
KBLONDELL
03/22/11 01
PREPARED
_..17/2014,
10:19:00.
GENERAL LEDGER __.IVITY LISTING +
F--- 824
PROGRAM
GM362LA
CITY
------------------------------------------------------------------------------------------------------------------------------------
OF LA
QUINTA, CALIFORNIA
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services /
Boys 8 Girl
Fitness Card
CR
02138
09/11
CR
03/22/11
0014986
FITNESS CARD-MORRELL
15.00
MMENDOZA
03/22/11 01
CR
02142
09/11
CR
03/22/11
0015307
VSI Rcpt#:
000051585
15.00
RECTRAC
03/22/11 98
CR
02142
09/11
CR
03/22/11
0015308
VSI Rcpt#:
000051594
15.00
RECTRAC
03/22/11 98
CR
02142
09/11
CR
03/22/11
0015309
VSI Rcpt#:
000051597
15.00
RECTRAC
03/22/11 98
CR
02162
09/11
CR
03/24/11
0015498
VSI Rcpt#:
000051665
15.00
RECTRAC
03/24/11 98
CR
02169
09/11
CR
03/25/11
0015553
VSI Rcpt#:
000051677
15.00
RECTRAC
03/25/11 98
CR
02169
09/11
CR
03/25/11
0015554
VSI Rcpt#:
000051711
15.00
RECTRAC
03/25/11 98
CR
02171
09/11
CR
03/28/11
0015566
FIT CARD/REYNOLDS,
M
15.00
KBLONDELL
03/28/11 01
CR
02171
09/11
CR
03/28/11
0015568
BECKY BARABE
15.00
•
MMENDOZA
03/28/11 01
CR
02176
09/11
CR
03/28/11
0015622
VSI Rcpt#:
000051740
15.00
RECTRAC
03/28/11 98
CR
02176
09/11
CR
03/28/11
0015623
VSI Rcpt#:
000051758 -
15.00
RECTRAC
03/28/11 98
CR
02187
09/11
CR
03/29/11
0015685
VSI Rcpt#:
000051771
15.00
RECTRAC
03/29/11 98
CR
02187
09/11
CR
03/29/11
0015686
VSI Rcpt#:
000051798
15.00
RECTRAC
03/29/11 98
CR
02206
09/11
CR
03/30/11
0016048
VSI Rcpt#:
000051805
15.00
RECTRAC
03/30/11 98
CR
02212
09/11
CR
03/31/11
0016134
VSI Rcpt#:
000051854
15.00
RECTRAC
03/31/11 99
CR
02212
09/11
CR
03/31/11
0016135
VSI Rcpt#:
000051855
15.00
RECTRAC
03/31/11 99
CR
02212
09/11
CR
03/31/11
0016136
VSI Rcpt#:
000051854
15.00
RECTRAC
03/31/11 99
CR
02223
10/11
CR
04/01/11
0016202
VSI Rcpt#:
000051895
15.00
RECTRAC
04/01/11 98
CR
02223
10/11
CR
04/01/11
0016203
VSI Rcpt#:
000051903
15.00
RECTRAC
04/01/11 98
CR
02223
10/11
CR
04/01/11
0016204
VSI Rcpt#:
000051902
15.00
RECTRAC
04/01/11 98
CR
02219
10/11
CR
04/04/11
0016214
FIT CARD/FISHER
15.00
KBLONDELL
04/04/11 01
CR
02219
10/11
CR
04/04/11
0016215
FIT CARD/ORIETA,
G
15.00
KBLONDELL
04/04/11 01
CR
02219
10/11
CR
04/04/11
0016226.
FIT CARD/RINNE
15.00
KBLONDELL
04/04/11 01
CR
02224
10/11
CR
04/04/11
0016253
VSI Rcpt#:
000051922
15.00
'
RECTRAC
04/04/11 98
CR
02265
10/11
CR
04/05/11
0016516
VSI Rcpt#:
000051973
15.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER .._.IVITY LISTING
F..__ 825
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
.
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
--------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T I O N DEBITS
;
CREDITS
BALANCE
Charges for
Services
/ Boys & Girl Fitness Card
RECTRAC 04/05/11 98
CR
02271
10/11
CR
04/06/11
0016565
VSI Rcpt#: 000052057
15.00
RECTRAC 04/06/11 98
CR
02271
10/11
CR
04/06/11
0016566
VSI Rcpt#: 000052028
15.00
RECTRAC 04/06/11 98
CR
02271
10/11
CR
04/06/11
0016567
VSI Rcpt#: 000052033
15.00
RECTRAC 04/06/11 98
CR
02278
10/11
CR
04/07/11
0016827
VSI Rcpt#: 000052116
15.00
RECTRAC 04/07/11 98
CR
02278
10/11
CR
04/07/11
0016828
VSI Rcpt#: 000052116
15.00
RECTRAC 04/07/11 98
CR
02280
10/11
CR
04/08/11
0016851
FITNESS CARD -JONES
15.00
MMENDOZA 04/08/11 01
CR
02284
10/11
CR
04/08/11
0016904
VSI Rcpt#: 000052138
15.00
RECTRAC 04/08/11 98
'CR
02284
10/11
CR
04/08/11
0016905
VSI Rcpt#: 000052139
15.00
RECTRAC 04/08/11 98
CR
02284
10/11
CR
04/08/11
0016906
VSI Rcpt#: 000052161
15.00
RECTRAC 04/08/11 98
CR
02323
10/11
CR
04/11/11
0016868
DETAIL
15.00
MMENDOZA 04/11/11 01
CR
02327
10/11
CR
04/11/11
0016995
VSI Rcpt#: 000052207
15.00
RECTRAC 04/11/11 98
CR
02327
10/11
CR
04/11/11
0016996
VSI Rcpt#: 000052209
15.00
'
RECTRAC 04/11/11 98
CR,
02329
10/11
CR
04/12/11
0016975
FIT CARD/OAKES, J
15.00
KBLONDELL 04/12/11 01
CR
02335
10/11
CR
04/13/11
0017069
2 FIT CARDS/ARNOLDS
30.00
KBLONDELL 04/13/11 01
CR
02339
10/11
CR
04/13/11
0017607
VSI Rcpt#: 000052239
15.00
RECTRAC 04/13/11 98
CR
02359
10/11
CR
04/15/11
0017770
VSI Rcpt#: 000052302
15.00
RECTRAC 04/15/11 99
CR
02365
10/11
CR
04/18/11
0017859
VSI Rcpt#: 000052357
15.00
RECTRAC 04/18/11 98
CR
02373
10/11
CR
04/20/11
0017929
FIT CARD/TURNER, D
15.00
KBLONDELL 04/20/11 01
CR
02380
10/11
CR
04/21/11
0018001
FIT CARD/PATTERSON, J
15.00
KBLONDELL 04/21/11 01
CR
02380
10/11
CR
04/21/11
0017975
FITNESS CARD
15.00
MMENDOZA 04/21/11 01
CR
02384
10/11
CR
04/21/11
0018068
VSI Rcpt#: 000052467
15.00
RECTRAC 04/21/11 98
CR
02385
10/11
CR
04/22/11
0018078
RES CARD
15.00
MMENDOZA 04/22/1101
CR
02388
10/11
CR
04/22/11
0018220
VSI Rcpt#: 000052499
15.00
RECTRAC 04/22/11 98
CR
02390
10/11
CR
04/25/11
0018082
FITNESS CARD
15.00
MMENDOZA 04/25/11 01
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER __.IVITY LISTING
F--- 826
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
--=-TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N
DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services
/ Boys K Girl
Fitness Card
CR
02395
10/11
CR
04/25/11
0018269
VSI Rcpt#:
000052528
15.00
RECTRAC
04/25/11
98
CR
'02401
10/11
CR
04/26/11
0018331
VSI Rcpt#:
000052565
15.00
RECTRAC
04/26/11
98
CR
02401
10/11
CR
04/26/11
0018332
VSI Rcpt#:
000052565
15.00
RECTRAC
04/26/11
98
CR
02429
10/11
CR
04/27/11
0018335
MORRIS
15.00
MMENDOZA
04/27/11
01
CR•
02434
10/11
CR
04/27/11
0018656
VSI Rcpt#:
000052588
35.00
RECTRAC
04/27/11
98
CR
02443
10/11
CR
04/28/11
0018717
VSI Rcpt#:
000052611
15.00
RECTRAC
04/28/11
99
CR
02445
10/11
CR
04/29/11
0018730
FIT CARD/SULLIVAN, M.
15.00
KBLONDELL
04/29/11
01
CR
02464
11/11
CR
05/02/11
0018899
VSI Rcpt#:
000052744
15.00
RECTRAC
05/02/11
98
CR
02459
11/11
CR
05/03/11
0018901
FITNESS CARD/POLOYNIS,
D.
15.0.0
KBLONDELL
05/03/11
01
CR
02470
11/11
CR
05/03/11
0018968
VSI Rcpt#:
000052760
35.00
RECTRAC
05/03/11
98
CR
02470
11/11
CR
05/03/11
0018969
VSI Rcpt#:
000052781
15.00
•
RECTRAC
05/03/11
98
CR
02470
11/11
CR
05/03/11
0018970
VSI Rcpt#:
000052776
15.00
RECTRAC
05/03/11
98
CR
02470
11/11
CR
05/03/11
0018971
VSI Rcpt#:
000052770
15.00
RECTRAC
05/03/11
98
CR
02470
11/11
CR®05/03/11
0018972
VSI Rcpt#:
000052781
15.00
RECTRAC
05/03/11
98
CR
02470
11/11
CR
05/03/11
0018973
VSI Rcpt#:
000052780
15.00
RECTRAC
05/03/11
98
CR
02490
11/11
CR
05/04/11
0019223
VSI Rcpt#:
000052823
15.00
RECTRAC
05/04/11
98
CR
02490
11/11
CR
05/04/11
0019224
VSI Rcpt#:
000052811
15.00
RECTRAC
05/04/11
98
CR
02512
11/11
CR
05/06/11
0019327
VSI Rcpt#:
000052865
15.00
RECTRAC
05/06/11
98
CR
02512
11/11
CR
05/06/11
0019328
VSI Rcpt#:
000052859
15.00
RECTRAC
05/06/11
98
CR
02512
11/11
CR
05/06/11
0019329
VSI Rcpt#:
000052851
15.00
RECTRAC
05/06/11
98
CR
02515
11/11
CR
05/09%11
0019312
FIT CARD/WATKIN
15.00
KBLONDELL
05/09/11
01
CR
02527
11/11
CR
05/09/11
0019494
VSI Rcpt#:
000052889
15-.00
RECTRAC
05/09/11
98
CR
02527
11/11
CR
05/09/11
0019495
VSI Rcpt#:
000052902
15.00
RECTRAC
05/09/11
98
CR
02527
11/11
CR
05/09/11
0019496
VSI Rcpt#:
000052905
15.00
RECTRAC
05/09/11
98
CR
02530
11/11
CR
05/10/11
0019454
FIT CARD/YSIANO,
N.
15.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER ..._.IVITY LISTING
F._.__ 827
PROGRAM
GM362LA
CITY OF
----
LA QUINTA, CALIFORNIA
--------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D E
S C R I P T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for
Services /
Boys & Girl Fitness Card
KBLONDELL 05/10/11 01
CR
02530
11/11
CR
05/10/11
0019507
2 FITNESS CARDS
30.00
MMENDOZA 05/10/11 02
CR
02552
11/11
CR
05/11/11
0019667
VSI Rcpt#: 000052939
15.00
RECTRAC 05/11/11 98
CR
02563
11/11
CR
05/12/11
0019640
2 FIT CARDS/WILSON, C
30.00
KBLONDELL 05/12/11 01
CR
02567
11/11
CR
05/12/11
0019717
VSI Rcpt#: 000052974
15.00
RECTRAC 05/12/11 99
CR
02567
11/11
CR
05/12/11
0019718
VSI Rcpt#: 000052969
15.00
RECTRAC 05/12/11 99
CR
02567
11/11
CR
05/12/11
0019719
VSI Rcpt#: 000052969
15.00
RECTRAC 05/12/11 99
CR
02567
11/11
CR
05/12/11
0019720
VSI Rcpt#: 000052974
15.00
RECTRAC 05/12/11 99
CR
02569
11/11
CR
05/13/11
0019732
FIT CARD/HANSON, B
15.00
KBLONDELL 05/13/11 01
CR
02579
11/11
CR
05/16/11
0019836
VSI Rcpt#: 000053021
15.00
RECTRAC 05/16/11 98
CR
02601
11/11
CR
05/17/11
0019881
VSI Rcpt#: 000053050
15.00
RECTRAC 05/17/11 98
CR
02601
11/11
CR
05/17/11
0019882
VSI Rcpt#: 000053047
15.00
RECTRAC 05/17/11 98
CR
02601
11/11
CR
05/17/11
0019883
VSI Rcpt#: 000053041
15.00
RECTRAC 05/17/11 98
CR
02603
11/11
CR
05/18/11
0019899
FITNESS CARD
15.00
CASHVO 05/18/11 01
CR
02610
11/11
CR
05/19/11
0019927
FIT CARD/HOGAN, K
15.00
KBLONDELL 05/19/11 01
CR
02630
11/11
CR
05/20/11
0020097
FIT CARD/BERG
15.00
KBLONDELL 05/20/11 01
GM
02622
11/11
AJ
05/23/11
JE 11-021
RECL FITNESS CARD 5/13 CR
15.00
CR
02639
11/11
CR
05/23/11
0020151
2 RES CARDS-ESPINOZA
30.00
MMENDOZA 05/23/11 01
CR
02662
11/11
CR
05/24/11
0020272
FIT CARD & RELAX MVMNT/KE
15.00
KBLONDELL 05/24/11 01
CR
02669
11/11
CR
05/25/11
0020293
FIT CARD/HUNTER, G
15.00
KBLONDELL 05/25/11 01
CR
02676
11/11
CR
05/25/11
0020430
VSI Rcpt#: 000053251
15.00
RECTRAC 05/25/11 99
CR
02678
11/11
CR
05/26/11
0020445
FITNESS CARD (2) WOOD, JU
30.00
MMENDOZA 05/26/11 01
CR
02683
11/11
CR
05/26/11
0020499
VSI Rcpt#: 000053273
15.00
RECTRAC 05/26/11 99
CR
02683
11/11
CR
05/26/11
0020500
VSI Rcpt#: 000053295
15.00
RECTRAC 05/26/11 99
CR
02683
11/11
CR
05/26/11
0020501
VSI Rcpt#: 000053289
15.00
RECTRAC 05/26/11 99
CR
02683
11/11
CR
05/26/11
0020502
VSI Rcpt#: 000053294
15.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER--.IVITY .LISTING F--- 828
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15:00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
RECTRAC
05/26/11 99
CR
02683
11/11
CR
05/26/11
0020503
VSI Rcpt#:
000053273
RECTRAC
05/26/11 99
CR
02691
11/11
CR
05/27/11
0020572
VSI Rcpt#:
000053319
RECTRAC
05/27/11 98
CR
02691
11/11
CR
05/27/11
0020573
VSI Rcpt#:
000053320
RECTRAC
05/27/11 98
CR
02691
11/11
CR
05/27/11
0020574
VSI Rcpt#:
000053320
RECTRAC
05/27/11 98
CR
02696
11/11
CR
05/31/11
0020615
VSI Rcpt#:
000053355
RECTRAC
05/31/11 98
CR
02711
12/11
CR
06/01/11
0020788
VSI Rcpt#:
000053390
RECTRAC
06/01/11 98
CR
02711
12/11
CR
06/01/11
0020789
VSI Rcpt#:
000053380
RECTRAC
06/01/11 98
CR
02714
12/11
CR
06/02/11
0020853
FIT CARD/SMITH, J
KBLONDELL
06/02/11 01
CR
02719
12/11
CR
06/02/11
0020893
VSI Rcpt#:
000053442
RECTRAC
06/02/11 98
CR
02719
12/11
CR
06/02/11
0020894
VSI Rcpt#:
000053435
RECTRAC
06/02/11 98
CR
02719'
12/11
CR
06/02/11
0020895
VSI Rcpt#:
000053435
RECTRAC
06/02/11 98
CR
02751
12/11
CR
06/03/11
0020939
VSI Rcpt#:
000053465
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/03/11
0020940
VSI Rcpt#:
000053465
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/U3/11
0020941
VSI Rcpt#:
000053468
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/03/11
0020942
VSI Rcpt#:
000053468
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/03/11
0020943
VSI Rcpt#:
000053468
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/03/11
0020944
VSI Rcpt#:
000053471
RECTRAC
06/03/11 98
CR
02751
12/11
CR
06/03/11
0020945
VSI Rcpt#:
000053470
RECTRAC
06/03/11 98
CR
02765
12/11
CR
06/06/11
0021123
VSI Rcpt#:
000053492
RECTRAC
06/06/11 98
CR
02765
12/11
CR
06/06/11
0021124
VSI Rcpt#:
000053494
RECTRAC
06/06/11 98
CR
02765
12/11
CR
06/06/11
0021125
VSI Rcpt#:
000053495
RECTRAC
06/06/11 98
CR
02765
12/11
CR
06/06/11
0021126
VSI Rcpt#:
000053496
RECTRAC
06/06/11 98
CR
02772
12/11
CR
06/07/11
0021195
VSI Rcpt#:
000053547
RECTRAC
06/07/11 98
CR
02772
12/11
CR
06/07/11
0021196
VSI Rcpt#:
000053546
RECTRAC
06/07/11 98
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15:00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER — IVITY LISTING q,
F.— 829
PROGRAM
GM362LA
CITY OF LA
-----------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
--------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P
--------------------------------------------------------
T I O N DEBITS
CREDITS
---------------
BALANCE
----------------
101-3000-342.76-00
Charges
for Services
/ Boys K Girl
Fitness Card
CR
02772
12/11
CR
06/07/11
0021197
VSI Rcpt#:
000053524
15.00
RECTRAC
06/07/11 98
CR
02772.
12/11
CR•06/07/11
0021198
VSI Rcpt#:
000053509
15.00
RECTRAC
06/07/11 98
CR
02779
12/11
CR
06/08/11
0021238
VSI Rcpt#:
000053556
15.00
RECTRAC
06/08/11 98
CR
02779
12/11
CR
06/08/11
0021239
VSI Rcpt#:
000053557
15.00
RECTRAC
06/08/11 98
CR
02779
12/11
CR
06/08/11
0021240
VSI Rcpt#:
000053556
15.00
RECTRAC
06/08/11 98
CR
02779
12/11
CR
06/08/11
0021241
VSI Rcpt#:
000053572
15.00
RECTRAC
06/08/11 98
CR
02794
12/11
CR
06/09/11
0021356
FIT CARD/LEAKE
15.00
KBLONDELL
06/09/11 01
CR
02800
12/11
CR
06/09/11
0021388
VSI Rcpt#:
000053594
15.00
RECTRAC
06/09/11 99
CR
02810
12/11
CR
06/10/11
0021416
FIT CARD/LEAKE, B
15.00
KBLONDELL
06/10/11 01
CR
02814
12/11
CR
06/10/11
0021454
VSI Rcpt#:
000053614
15.00
RECTRAC
06/10/11 98
CR
02814
12/11
CR
06/10/11
0021455
VSI Rcpt#:
000053636
15.00
RECTRAC
06/10/11 98
CR
02814
12/11
CR
06/10/11
0021456
VSI Rcpt#:
000053638
15.00
RECTRAC
06/10/11 98
CR•02814
12/11
CR
06/10/11
0021457
VSI Rcpt#:
000053643
15.00
RECTRAC
06/10/11 98
CR
02821
12/11
CR.
06/13/11
0021512
VSI Rcpt#:
000053673
15.00
•
RECTRAC
06/13/11 98
CR
02823
12/11
CR
06/14/11
0021493
FITNESS CARD-MONTALVO
15.00
MMENDOZA
06/14/11 01
CR
02827
12/11
CR
06/14/11
0021567
VSI Rcpt#:
000053688
15.00
RECTRAC
06/14/11 98
CR
02827
12/11
CR
06/14/11
0021568
VSI Rcpt#:
000053689
15.00
RECTRAC
06/14/11 98
CR
02827
12/11
CR
06/14/11
0021569
VSI Rcpt#:
000053697
15.00
RECTRAC
06/14/11 98
CR
02835
12/11
CR
06/15/11
0021558
RES & FIT
CARDS/HERMANN,
15.00
KBLONDELL
06/15/11 01
CR
02835
12/11
CR
06/15/11
0021559
FIT CARD/MORENO, G
15.00
KBLONDELL
06/15/11 01
CR
02841
12/11
CR
06/15/11
0021739
VSI Rcpt#:
000053711
15.00
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021740
VSI Rcpt#:
000053714
15.00
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021741
VSI Rcpt#:
000053709
15.00
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021742
VSI Rcpt#:
000053708
15.00
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021743
VSI Rcpt#:
000053700
15.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING F --- 830
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101;3000-342.76-00 Charges for Services / Boys & Girl Fitness Card
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
70.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021744
VSI Rcpt#:
000053725
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021745
VSI Rcpt#:
000053725
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021746
VSI Rcpt#:
000053709
RECTRAC
06/15/11 98
CR
02841
12/11
CR
06/15/11
0021747
VSI Rcpt#:
000053712
RECTRAC
06/15/11 98
CR
02853
12/11
CR
06/16/11
0021842
VSI Rcpt#:
000053733
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021843
VSI Rcpt#:
000053769
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021844
VSI Rcpt#:
000053767
RECTRAC
06/16/11 98
CR•02853
12/11
CR
06/16/11
0021845
VSI Rcpt#:
000053763
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021846
VSI Rcpt#:
000053763
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021847
VSI Rcpt#:
000053769
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021848
VSI Rcpt#:
000053731
RECTRAC
06/16/11 98
CR
02853
12/11
CR
06/16/11
0021849
VSI Rcpt#:
000053766
RECTRAC
06/16/11 98
CR
02864
12/11
CR
06/17/11
0021884
VSI Rcpt#:
000053774
RECTRAC
06/17/11 98
CR
02864
12/11
CR
06/17/11
0021885
VSI Rcpt#:
000053787
RECTRAC
06/17/11 98
CR
04864
12/11
CR
06/17/11
0021886
VSI Rcpt#:
000053788
RECTRAC
06/17/11 98
CR
02886
12/11
CR
06/20/11
0021888
FITNESS CARD -KENNEDY
MMENDOZA
06/20/11 01
CR
02897
•12/11
CR
06/20/11
0021936
VSI Rcpt#:
000053811
RECTRAC
06/20/11 98
CR
02897
12/11
CR
06/20/11
0021937
VSI Rcpt#:
000053813
RECTRAC
06/20/11 98
CR
02897
12/11
CR
06/20/11
0021938
VSI Rcpt#:
000053801
RECTRAC
06/20/11 98
CR
02897
12/11
CR
06/20/11
0021939
VSI Rcpt#:
000053800
RECTRAC
06/20/11 98
CR
02897
12/11
CR
06/20/11
0021940
VSI Rcpt#:
000053800
RECTRAC
06/20/11 98
CR
02897
12/11
CR
06/20/11
0021941
VSI Rcpt#:
000053823
'
RECTRAC
06/20/11 98
CR
02892
12/11
CR
06/21/11
0021943
FITNESS CARD
MMENDOZA
06/21/11 01
CR
02899
12/11
CR
06/22/11
0022126
VSI Rcpt#:
000053858
RECTRAC
06/22/11 98
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
70.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER — .IVITY LISTING
F--- 831
PROGRAM
GM362LA
CITY OF LA
-------------------------------------------------------------------------------------------------------------------=----------------
QUINTA,• CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------=---------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
'CD
DATE
NUMBER D E
S C R I P T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges for Services /
Boys & Girl Fitness Card
CR
02899
12/11
CR
06/22/11
0022127
VSI Rcpt#: 000053859
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022128
VSI Rcpt#: 000053860
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022129
VSI Rcpt#: 000053863
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022130
VSI Rcpt#: 000053853
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022131
VSI Rcpt#: 000053852
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022132
VSI Rcpt#: 000053851
15.00
RECTRAC 06/22/11 98
CR
02899
12/11
CR
06/22/11
0022133
VSI Rcpt#: 000053861
15.00
RECTRAC 06/22/11 98
CR
02901
12/11
CR
06/22/11
0021983
FITNESS CARD/JOHNS
30.00
DMARTIN 06/22/11 01
CR
02901
12/11
CR
06/22/11
0021980
FITNESS CARD
15.00
MMENDOZA 06/22/11 01
CR
02957
12/11
CR
06/23/11
0022119
2 FIT CARDS/JACKOWSKI & P
30.00
KBLONDELL 06/23/11 01
CR
02957
12/11
CR
06/23/11
0022146
FIT CARD/CAIN, B
15.00
KBLONDELL 06/23/11 01
CR
02957
12/11
CR
06/23/11
0022178
POMERSY
15.00
MMENDOZA 06/23/11 01
CR
02961
12/11
CR
06/23/11
0022201
VSI Rcpt#: 000053870
15.00
RECTRAC 06/23/11 99
CR
02961
12/11
CR
06/23/11
0022202
VSI Rcpt#: 000053873
15.00
RECTRAC 06/23/11 99
CR
02961
12/11
CR
06/23/11
0022203
VS•I Rcpt#: 000053872
15.00
RECTRAC 06/23/11 99
CR
02961
12/11
CR
06/23/11
0022204
VSI Rcpt#: 000053884
15.00.
'
RECTRAC 06/23/11 99
CR
02962
12/11
CR
06/24/11
0022194
FIT & REC CARDS/HARTUNG,
15.00
KBLONDELL 06/24/11 01
CR
02962
12/11
CR
06/24/11
0022196
FIT CARD/VANO, J
15.00
KBLONDELL 06/24/11 01
CR
02962
12/11
CR
06/24/11
0022213
FIT CARD/SULLIVAN
15.00
KBLONDELL 06/24/11 01
CR
02962
12/11
CR
06/24/11
0022223
FIT CARD/RAMIREZ, D
15.00
KBLONDELL 06/24/11 01
CR
02966
12/11
CR
06/24/11
0022240
VSI Rcpt#: 000053901
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022241
VSI Rcpt#: 000053891
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022242
VSI Rcpt#: 000053910
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022243
VSI Rcpt#: 000053910
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022244
VSI Rcpt#: 000053912
15.00
PREPARED
17/2014,
10:19:00
GENERAL LEDGER _— IVITY LISTING
F..__ 832
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N DEBITS
CREDITS
BALANCE
101-3000-342.76-00
Charges
for Services
/ Boys & Girl Fitness Card
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022245
VSI Rcpt#: 000053897
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022246
VSI Rcpt#: 000053892
35.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022247
VSI Rcpt#: 000053890
15.00
RECTRAC 06/24/11 99
CR
02966
12/11
CR
06/24/11
0022248
VSI Rcpt#: 000053919
15.00
RECTRAC 06/24/11 99
CR
02968
12/11
CR
06/27/11
0022264
2 FIT CARDS/HERNANDEZ, M
30.00
KBLONDELL 06/27/11 01
CR
02973
12/11
CR
06/27/11
0022282
VSI Rcpt#: 000053943
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022283
VSI Rcpt#: 000053943
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022284
VSI Rcpt#: 000053929
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022285
VSI Rcpt#: 000053938
15.00
•
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022286
VSI Rcpt#: 000053939
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022287
VSI Rcpt#: 000053929
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022288
VSI Rcpt#: 000053931
15.00
RECTRAC 06/27/11 99
CR
02973
12/11
CR
06/27/11
0022289
VSI Rcpt#: 000053930
15.00
RECTRAC 06/27/11 99
CR
02975
12/11
CR
06/28/11
0022319
FIT CARD/GILREATH
15.00
KBLONDELL 06/28/11 01
CR
02975
12/11
CR
06/28/11
0022323
FIT CARD/JENAB, P.
15.00
KBLONDELL 06/28/11 01
CR
02979
12/11
CR
06/28/11
0022366
VSI Rcpt#: 000053972
15.00
RECTRAC 06/28/11 99
CR
02979
12/11
CR
06/28/11
0022367
VSI Rcpt#: 000053973
35.00
RECTRAC 06%28/11 99
CR
02979
12/11
CR
06/28/11
0022368
VSI Rcpt#: 000053975
15.00
RECTRAC 06/28/11 99
CR
02979
12/11
CR
06/28/11
0022369
VSI Rcpt#: 000053975
15.00
RECTRAC 06/28/11 99
CR
02979
12/11
CR
06/28/11
0022370
VSI Rcpt#: 000053965
15.00
RECTRAC 06/28/11 99
CR
02981
12/11
CR
06/29/11
0022376
FIT CARD/KELLER
15.00
KBLONDELL 06/29/11 01
CR
02981
12/11
CR
06/29/11
0022385
2 FIT CARDS/WIANECKI, M
30.00
KBLONDELL 06/29/11 01
CR
02981
12/11
CR
06/29/11
0022395
.2 FIT CARDS/CARRILLO
30.00
KBLONDELL 06/29/11 01
CR
02981
12/11
CR
06/29/11
0022378
FITNESS CARD
15.00
•
MMENDOZA 06/29/11 01
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER .— IVITY LISTING F..-_ 833
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund ' BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------------------------------------------------'----------------
101-3000-342.76-00
Charges
for Services
/ Boys & Girl
Fitness Card
CR
02981
12/11
CR
06/29/11
0022379
FITNESS CARD
15.00
MMENDOZA
.06/29/11 01
CR
02986
12/11
CR
06/29/11
0022429
VSI Rcpt#:
000053986
15.00
RECTRAC
06/29/11 99
CR
02986
12/11
CR
06/29/11
0022430
VSI Rcpt#:
000053997
15.00
RECTRAC
06/29/11 99
CR
02986
12/11
CR
06/29/11
0022431
VSI Rcpt#:
000053997
15.00
RECTRAC
06/29/11 99
CR
02986
12/11
CR
06/29/11
0022432
VSI Rcpt#:
000053999
15.00
RECTRAC
06/29/11 99
GM
02937
12/11
AJ
06/30/11
JE 12-028
RECL FITNESS
CARD 6/10/11
45.00
CR
02989
12/11
CR
06/30/11
0022424
FITNESS CARDS
30.00
MMENDOZA
06/30/11 01
CR
02989
12/11
CR
06/30/11
0022681
2 FITNESS
CENTER
30.00
MMENDOZA
06/30/11 01
CR
02994
12/11
CR
06/30/11
0000011
VSI Rcpt#:
000054017
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000012
VSI Rcpt#:
000054015
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000013
VSI Rcpt#:
000054023
15.00
•
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000014
VSI Rcpt#:
000054023
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000015
VSI Rcpt#:
000054025
35.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000016
VSI Rcpt#:
000054014
15.00
RECTRAC
06/30/11 98
.CR
02994
12/11
CR
06/30/11
0000017
VSI Rcpt#:
000054011
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000018
VSI Rcpt#:
000054028
1.5.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000019
VSI Rcpt#:
000054028
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000020
VSI Rcpt#:
000054029
15.00
RECTRAC•
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000021
VSI Rcpt#:
000054029
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000022
VSI Rcpt#:
000054015
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000023
VSI Rcpt#:
000054011
15.00
RECTRAC
06%30/11 98
CR
02994
12/11
CR
06/30/11
0000024
VSI Rcpt#:
000054010
15.00
RECTRAC
06/30/11 98
CR
02994
12/11
CR
06/30/11
0000025
VSI Rcpt#:
000054020
15.00
RECTRAC
06/30/11 98
ACCOUNT
TOTAL
9,070.00
9,070.000R
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER IVITY LISTING
I--- 834
PROGRAM
GM362LA
CITY, OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------
PER.
CD
DATE NUMBER D E
----------------------------------------------------------
S C R I P T I O N DEBITS
-------------------------------------------
CREDITS
BALANCE
101-3000-342.77-00
Charges for Services /
Library Facility Rent
.00
GM 02286
10/11
AJ
04/30/11 AJE 10-007
OSHER INSTITUTE GRANT
2,700.00
ACCOUNT TOTAL
2,700.00
2,700.000R
101-3000-360.25-00
Miscellaneous Revenue /
Memorial Tree Revenue
.00
GM 01255
06/11
AJ
12/31/10 AJE 06-004
ZERO OUT DEPOSIT ACCOUNT
590.44
ACCOUNT TOTAL
590.44
590.44CR
101-3000-368.00-00
Other Revenues / Rental
Income
.00
GM 00009
01/11
AJ
07/06/10 JE 01-003
LIBRARY LAND LEASE 10/11
132,000.00
CR 00159
01/11
CR
07/22/10 0000825
LQ CHAMBER RENT - JULY 20
1130"0.00
MMENDOZA 07/22/10 01
CR 00501
02/11
CR
08/30/10 0002222
AUG 2010 RENT&UT/CHAMBR C
11300.00
KBLONDELL 08/30/10 01
CR 00745
03/11
CR
09/30/10 0003835
SEPT 110 - LA CHAMBER REN
11300.00
KBLONDELL 09/30/10 01
CR 00892
04/11
CR
10/18/10 0004737
LQ CHAMBER RENT OCTOBER 2
11300.00
MMENDOZA 10/18/10 01
CR 01009,
05/11
CR
11/01/10 0005484
NOVEMBER110 CHAMBER RENT
11300.00
•
LWEST 11/01/10 01
CR 01286
06/11
CR
12/06/10 0007489
DECEMBER110 CHAMBER RENT
11300.00
LWEST 12/06/10 01
CR 01505
07/11
CR
01/07/11 0008940
JANUARY 'll RENT & UTILIT
11300.00
KBLONDELL 01/07/11 01
CR 01750
08/11
CR
02/08/11 0010887
FEB'll CHAMBER RENT
11300.00
LWEST. 02/08/11 01
CR 02086
09/11
CR
03/15/11 0014506
MAR 2011 - LQ CHMBR
11300.00
KBLONDELL 03/15/11 01
CR 0226.7
10/11
CR
04/06/11 0016274
APR'll CHAMBER COMMERCE R
11300.00
DMARTIN 04/06/1.1 01
CR 02485
11/11
CR
05/04/11 0018928
MAY 2011 - RENT & UTIL\
1,300.00
KBLONDELL 05/04/11 01
CR 02767
12/11
CR
06/07/11 0021156
RENT & UTIL JUNE 2011
11300.00
KBLONDELL 06/07/11 01
ACCOUNT TOTAL
147,600.00
147,600.000R
101-3000-369.00-00
Other Revenues / Lease
Revenue
.00
ACCOUNT TOTAL
.00
101-3000-390.71-00
Other Financing Sources
/ Donations -Recreation
.00
ACCOUNT TOTAL
.00
PREPARED
-17/2014,
10:19:00
GENERAL LEDGER IVITY LISTING
1— 835
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
—-TRANSACTION
----
/ENDING
APP
-----------------------------------'-------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE
NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-3000-390.72-00'Other
Financing
Sources
/ Donations
-Sr. Center
.00
CR
00132
01/11
CR
07/16/10
0000667
VSI Rcpt#:
000046725
44.00
RECTRAC
07/16/10 99
CR
00132
.01/11
CR
07/16/10
0000668
VSI Rcpt#:
000046725
44.00
RECTRAC
07/16/10 99
CR
00163
01/11
CR
07/22/10
0000838
VSI Rcpt#:
000046761
50.00
RECTRAC
07/22/10 99
CR
00340
02/11
CR
08/16/10
0001630
VSI Rcpt#:
000046938
30.25
RECTRAC
08/16/10 99
CR
00340
02/11
CR
08/16/10
0001631
VSI Rcpt#:
000046938
30.25
RECTRAC
08/16/10 99
CR
00693
03/11
CR
09/23/10
0003485
VSI Rcpt#:
000047545
45.00
RECTRAC
09/23/10 99
CR
00800
04/11
CR
10/05/10
0004063
VSI Rcpt#:
000047752
55.25
RECTRAC
10/05/10 99
CR
00800
04/11
CR
10/05/10
0004064
VSI Rcpt#:
00004,7752
55.25
RECTRAC
10/05/10 99
CR
00984
04/11
CR
10/28/10
0005397
VSI Rcpt#
:000048114
55.00
RECTRAC
10/28/10 98
CR
01153
05/11
CR
11/18/10
0006654
VSI Rcpt#:
000048584
34.75
RECTRAC
11/18/10 99
CR
01153
05/11
CR
11/18/10
0006655
VSI Rcpt#:
000048584
34.75
RECTRAC
11/18/10 99
CR
01432
06/11
CR
12/21/10
0008222
VSI Rcpt#:
000049139
43.50
RECTRAC.'
12/21/10 98
CR
01432
06/11
CR
12/21/10
0008223
VSI Rcpt#:
000049139
43.50
RECTRAC
12/21/10 98
CR
01670
07/11
CR
01/27/11
0010127
VSI Rcpt#:
000049917
85.00
RECTRAC
01/27/11 99
CR
01691
08/11
CR
02/01/11
0010467
VSI Rcpt#:
000050037
72.75
RECTRAC
02/01/11 99
CR
01691
08/11
CR
02/01/11
0010468
VSI Rcpt#:
000050037
72.75
RECTRAC
02/01/11 99
CR
01858
08/11
CR
02/22/11
0012846
VSI Rcpt#:
000050727
61.25
RECTRAC
02/22/11 99
CR
01858
08/11
CR
02/22/11
0012847
VSI Rcpt#:
000050727
61.25
RECTRAC
02/22/11 99
CR
02103
09/11
CR
03/17/11
0014857
VSI Rcpt#:
000051475
405.00
RECTRAC
03/17/11 98
CR
02163
09/11
CR
03/24/11
0015487
VSI Rcpt#:
000051668
70.00
'
RECTRAC
03/24/11 99
CR
02163
09/11
CR
03/24/11
0015488
VSI Rcpt#:
000051668
70.00
RECTRAC
03/24/11 99
CR
02527
11/11
CR
05/09/11
0019480
VSI Rcpt#:
000052903
91.25
RECTRAC
05/09/11 99
CR
02527
11/11
CR
05/09/11
0019481
VSI Rcpt#:
000052903
91.25
RECTRAC
05/09/11 99
CR
02573
11/11
CR
05/13/11
0019768
VSI Rcpt#:
000052985
117.32
RECTRAC
05/13/11 99
CR
02691
11/11
CR
05/27/11
0020567
VSI Rcpt#:
000053315
100.00
00
00'
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9£8 "—I 9NI1SIl AlIAI' 1139031 IV83N39 00:61:01 `hIOZ/LT--- 03SVd311d
PREPARED 17/2014, 10:19:00 GENERAL LEDGER .._.'IVITY LISTING 837
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----- =------------------------------------------------------------------------------------------------------------------------------
101-3001-451.10-04 Salaries & Wages / Salaries -Overtime
ACCOUNT TOTAL
101-3001-451.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-3001-451.10-10
Salaries
& Wages /Commisions
& Boards
GM
00860
04/11
AP
06/14/10
0089435
LEIDNER, ROBERT
75.00
JUN110
COMM SVC MTG
GM
00105
01/11
AP
07/12/10
0088218
BLAKELEY, SHARRELL
75.00
JUL110
COMM SVC MTG
GM
00105
01/11
AP
07/12/10
0088224
ENGEL, HEATHER L
75.00
JUL110
COMM SVC MTG ,
GM
00105
01/11
AP
07/12/10
0088225
FITZPATRICK, KATHLEEN
75.00
JUL110
COMM SVC MTG
GM
00105
01/11
AP
07/12/10
0088229
LAWRENCE, MICHELE
75.00
JUL110
COMM SVC MTG
GM
00105
01/11
AP
07/12/10
0088230
LEIDNER, ROBERT
75.00
JUL110
COMM SVC MTG
GM
00605
03/11
AP
09/13/10
0088920
BLAKELEY, SHARRELL
75.00
SEP110
COMM SVC MTG
GM
00605
03/11
AP
09/13/10
0088929
ENGEL, HEATHER L
75.00
SEP110
COMM SVC MTG
GM
00605
03/11
AP
09/13/10
0088936
LAWRENCE, MICHELE
75.00
SEP110
COMM SVC MTG
GM
00605
03/11
AP
09/13/10
0088937
LEIDNER, ROBERT
75.00
SEP110
COMM SVC MTG
GM
00837
04/11
AP
10/11/10
0089293
BLAKELEY; SHARRELL
75.00
OCT110
COMM SVC MTG
GM
00837
04/11
AP
10/11/10
0089301
ENGEL, HEATHER L
75.00
OCT110
COMM SVC MTG
GM
00837
04/11
AP
10/11/10
0089302
FITZPATRICK, KATHLEEN
75.00'
OCT110
COMM SVC MTG
GM
00837
04/11
AP
10/11/10
0089311
LAWRENCE, MICHELE
75.00
OCT110
COMM SVC MTG
GM
00837
04/11
AP
10/11/10
0089312
LEIDNER, ROBERT
75.00
OCT110
COMM SVC MTG
GM
00845
04/11
AP
10/14/10
0087778
LEIDNER, ROBERT
JUN110
COMM SVC MTG
GM
01097
05/11
AP
11/08/10
0089698
BLAKELEY, SHARRELL
75.00
NOV110
COMM SVC MTG
GM
01097
05/11
AP
11/08/10
0089706
ENGEL, HEATHER L
75.00
NOV110
COMM SVC MTG
GM
01097
05/11
AP
11/08/10
0089707
FITZPATRICK, KATHLEEN
75.00
NOV110
COMM SVC MTG
GM
01097
05/11
AP
11/08/10
0089714
LAWRENCE, MICHELE
75.00
75.00
.00
.00
.00
.00
.00
PREPARED
17/2014, 10:19:00
GENERAL LEDGER .—'IVITY
LISTING
838
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER '
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.10-10
Salaries
& Wages /
Commisions & Boards
N0V110
COMM SVC MTG
GM
01097
05/11
AP
11/08/10
0089715
LEIDNER, ROBERT
75.00
N0V110
COMM SVC MTG
GM
01420
07/11
AP
12/13/10
0090246
BLAKELEY, SHARRELL
75.00
DEC110
COMM SVC MTG
GM
01420
07/11
AP
12/13/10
0090254
ENGEL, HEATHER L
75.00
DEC110
COMM SVC MTG
GM
01420
07/11
AP
12/13/10
0090255
FITZPATRICK, KATHLEEN
75.00
DEC110
COMM SVC MTG
GM
01420
07/11
AP
12/13/10
0090260
LAWRENCE, MICHELE
75.00
DEC110
COMM SVC MTG
GM
01420
07/11
AP
12/13/10
0090261
LEIDNER, ROBERT
75.00
DEC110
COMM SVC MTG
GM
01793
08/11
AP
02/14/11
0090768
BLAKELEY, SHARRELL
75.00
FEB'll
COMM SVC MTG
GM
01793
08/11
AP
02/14/11
0090780
ENGEL, HEATHER L
75.00
FEB'll
COMM SVC MTG
GM
01793
08/11
AP
02/14/11
0090781
FITZPATRICK, KATHLEEN
75.00
FEB'll
COMM SVC MTG
GM
01793
08/11
AP
02/14/11
0090791
LAWRENCE, MICHELE
75.00
FEB'll
COMM SVC MTG
GM
01793
08/11
AP
02/14/11
0090792
LEIDNER, ROBERT
75.00
FEB'll
COMM SVC MTG
GM
02022
09/11
AP
03/14/11
0091107
BLAKELEY, SHARRELL
75.00
MAR'll
COMM SVC MTG
GM
02022
09/11
AP
03/14/11
0091117
ENGEL, HEATHER L
75.00
-
MAR'll
COMM SVC MTG
GM
02022
09/11
AP
03/14/11
0091118
FITZPATRICK,-KATHLEEN
75.00
MAR'll
COMM SVC, MTG
GM
02022
09/11
AP
03/14/11
0091128
LAWRENCE, MICHELE
75.00
•
MAR'll
COMM SVC MTG
GM
02022
09/11
AP
03/14/11
0091129
LEIDNER, ROBERT
75.00
MAR'll
COMM SVC MTG
GM
02288
10/11
AP
04/11/11'0091525
BLAKELEY, SHARRELL
75.00
APR'll
COMM SVC MTG
GM
02288.
10/11
AP
04/11/11
0091535
ENGEL, HEATHER L
75.00
APR'll
COMM SVC MTG-
GM
02288
10/11
AP
04/11/11
0091536
FITZPATRICK, KATHLEEN
75.00
APR'll
COMM SVC MTG
GM
02288
10/11
AP
04/11/11
0091543
LAWRENCE, MICHELE
75.00
APR'll
COMM SVC MTG
GM
02288
10/11
AP
04/11/11
0091544
LEIDNER, ROBERT
75.00
APR'll
COMM SVC MTG
GM
02588
ll/11
AP
05/09/11
0091928
BLAKELEY, SHARRELL
75.00
MAY'll
COMM SVC MTG
GM
02588
11/11
AP
05/09/11
0091933
ENGEL, HEATHER L
75.00
MAY'll
COMM SVC MTG
GM
02588
11/11
AP
05/09/11
0091935
FITZPATRICK, KATHLEEN
75.00
MAY'll
COMM SVC MTG
PREPAREI
'17/2014,
10:19:00
AJ
GENERAL LEDGER
LISTING
rNuc 839
PROGRAM
GM362LA
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
CITY OF•LA QUINTA, CALIFORNIA
------------------=-----------------------------------------------------------------------------------------------------------------
PR
00100
01/11
AJ
FUND 101
General
Fund
SUMMARY
PR
00196
BEGINNING
GROUP ACCTG
----TRANSACTION----
PR0806
PAYROLL
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.10-10
Salaries
& Wages /
Commisions & Boards
AJ
09/03/10
GM 02588
11/11
AP
05/09/11
0091939
LAWRENCE, MICHELE
75.00
09/17/10
PR0917
PAYROLL
SUMMARY
MAY'll
00685
COMM SVC MTG
AJ
10/01/10
GM 02588
11/11
AP
05/09/11
0091940
LEIDNER, ROBERT
75.00
10/15/10
PR1015
PAYROLL
SUMMARY
MAY'll
00911
COMM SVC MTG
AJ
10/29/10
GM 02808
12/11
AP
06/13/11
0092306
BLAKELEY, SHARRELL
75.00
11/12/10
PR1112
PAYROLL
SUMMARY
06/13/11
01137
COMM SVC MEETING
AJ
11/24/10
GM 02808
12/11
AP
06/13/11
0092318
ENGEL, HEATHER L
75.00
12/10/10
PR1210
PAYROLL
SUMMARY
06/13/11
01364
COMM SVC MEETING
AJ
12/23/10
GM 02808
12/11
AP
06/13/11
0092319
FITZPATRICK, KATHLEEN
75.00
01/07/11
PR0107
PAYROLL
SUMMARY
06/13/11
01561
COMM SVC MEETING
AJ
01/21/11
GM 02808
12/11
AP
06/13/11
0092325
LAWRENCE, MICHELE
75.00
02/04/11
PR0204
PAYROLL'SUMMARY
06/13/11
01783
COMM SVC MEETING
AJ
02/18/11
GM 02808
12/11
AP
06/13/11
0092326
LEIDNER, ROBERT
75.00
06/13/11
COMM SVC MEETING
ACCOUNT TOTAL
101-3001-451.10-18 Salaries & Wages / Natural Disaster -FEMA
ACCOUNT TOTAL
101-3001-451.10-30 Salaries & Wages / Employee Recognition
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
ACCOUNT TOTAL
101-3001-451.20-01 Employee Benefits / PERS-City Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL'SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
3,750.00
175.00
175.00
1,452.21
1,452.21
1,452.21
1,452.21
1,452.21
1,452.21
1,452.21
1,452.22
1,452.22
1,452.22
1,452.22
1,452.21
1,452.22
1,459.00
1,456.73
1,456.73
1,456.73
75.00
175.00
175.00
1,161.76
3,675.00
.00
.00
.00
.00
.00
00'
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21d
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11/60
91020
21d
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11/60
40610
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ii/80
£8Li0
Nd
ry
ii/go
94910
21d
ry
ii/Lo
19510
.21d
ry
II/LO
814i0
21d
ry
11/90
49£10
Md
ry
11/90
64Zt0
21d
rV
ii/s0
L£ii0
21d
ry
II/s0
09010
Nd
ry
ii/40
11600
21d
rV
ii/40
4Z800
Nd
ry
ii/40
59900
21d
rV
ii/£0
46500
Nd
rV
11/£0
5£400
Md
ry
ii/ZO
Z4£00
Nd
rV
ii/ZO
96100
21d
rV
ii/IO
00100
Nd
ry
ii/10
L0000
21d
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ii/i0
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21d
LO-1Z'Is4-1002-101
30NVIV8 S1I03210 S1I830 N 0 I 1 d I 21 3 S 3 0 Hum 31V0 a3 *213d M3gwnN ddV
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------------------------------------------------------------------------------------------------------------------------------------
VINHOdIlV3 `V1NIn6 vi d0 AlI3
VlZ9£W9 WV219021d
448 ""'d 9NI1SIl AlIAI'-*' 2139031 1V213N39 00o6i:OI `4102/LT - 0321Vd321d
PREPARED
___17/2014,
10:19:00
Security -Medicare
GENERAL LEDGER .._.IVITY
LISTING
1- 845
PROGRAM
GM362LA
07/09/10
PR0709
PAYROLL
SUMMARY
207.35
PR
00007
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
AJ
07/09/10
PR0709
'
SUMMARY
FUND 101
General
Fund
01/11
AJ
07/23/10
PR0723
BEGINNING
GROUP
ACCTG
----TRANSACTION----
00196
02/11
AJ
08/06/10
PR0806
/ENDING
APP NUMBER PER.
----- --------------
CD
--
DATE
------------------
NUMBER D
---------------
E S C R I
P T I O N
--- --- ------- ----------
DEBITS CREDITS
--- --- ------------ ------------- ------ ----------
BALANCE
---------
101;3001-451.25-01
SUMMARY
Workers Comp
Insurance
/ Workers
Comp Insurance
AJ
09/03/10
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
417.43
09/17/10
PR 01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
417.43
10/01/10
PR 01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
417.43
10/15/10
PR 01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
494.96
10/29/10
PR 01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
418.73
11/12/10
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
418.73
11/24/10
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
418.73
12/09/10
PR 01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
418.73
12/10/10
PR 02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
418.73
12/23/10
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
418.73
01/07/11
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY -
418.73
01/21/11
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
418.73
02/04/11
PR 02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
418.73
02/18/11
PR 02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
418.73
03/04/11
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
418.73
03/18/11
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
418.73
GM 03023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
5,746.96
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
376.86
ACCOUNT
TOTAL
11,323.17 61080.90
5,242.27
101-3001-451.27-01 Other Benefits 8 Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-3001-451.27-03
Other Benefits &
Deduc. / Social
Security -Medicare
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
207.35
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
207.35
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
207.35
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
207.35
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
207.35
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
207.35
PR
00685
04/11
AJ
10/01/10
PR1001•
PAYROLL
SUMMARY
207.35
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
207.35
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
205.18
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
209.88
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
207.35
PR
01263
06/11
AJ
12/09/10
PR1209
PAYROLL
SUMMARY
12.13
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
207.35
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
207.35
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
245.47
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
207.99
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
207.99
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
207.99
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
207.99
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
207.99
165.88
.00
00
.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING 1 -mac 846
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD • DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------------------'----------------------------------------------------------------------------------------------
'101-3001-451.27-03 Other Benefits & Deduc.
PR 02151 10/11 AJ 04/01/11 PR0401
PR 02253 10/11 AJ 04/15/11 PR0415
PR 02348 10/11 AJ 04/29/11 PR0429
PR 02524 11/11 AJ 05/13/11 PR0513
PR 02625 11/11 AJ 05/27/11 PR0527
PR 02733 12/11 AJ 06/10/11 PR0610
PR 02867 •12/11 AJ 06/24/11 PR0624
PR 02947 12/11 AJ 07/08/11 PR0708
ACCOUNT TOTAL
/ Social Security -Medicare
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
205.82
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
207.99
PAYROLL
SUMMARY
187.19
101-3001-451.27-05 Other Benefits & Deduc. / Social Security -FICA
ACCOUNT TOTAL
101-3001-451.32-07 Contract Services / Consultants
ACCOUNT TOTAL
101-3001-451.32-10 Contract Services / Professional
ACCOUNT TOTAL
5,634.41
101-3001-451.33-04
Contract
Services
/ Promotional
GM
00353
02/11
AP
08/09/10
0088691
SILVERROCK RESORT
211.00
97829622
JUL110 SALES TAX
GM
00605
03/11
AP
09/01/10
0088952
WELLS FARGO BUSINESS CARD
158.84
•
3072
VISA CARD PYMT
GM
01246
06/11
AP
09/23/10
0089980
HALL, KIMBALL PHOTOGRAPHY '
3,650.00
LQ -100901
PHOTOGRAPHY
GM
00837
04/11
AP
10/01/10
0089331
WELLS FARGO BUSINESS CARD
122.23
3072
VISA CARD PYMT
GM
01159
05/11
AP
10/10/10
0089785
FG CREATIVE INC
500.00
2113
PROMOTIONAL
GM
01161
05/11
AP
11/15/10
0089843
STATS OF SAN DIEGO, INC
1,650.83
481
PROMO FLAGS
GM
01704
08/11
AP._01/25/11
0090649
DISPLAYS2G0
108.01
IN -0228881
FLYERHOLDERS
GM
01692
08/11
AP
02/02/11
0090593
DIGITAL PRINTING SERVICE
224.40
1448
SIGNAGE YOUTH FESTIVAL
GM
02022
09/11
AP
03/03/11
0091149
WELLS FARGO BUSINESS CARD
157.63
3072
VISA CARD PYMT
GM
02077
09/11
AP
03/04/11
0091247
SILVERROCK RESORT
9.00
FEB'll
FEB'll SALES TAX
GM
02251
10/11
AP
04/07/11
0091482
PRINTWORKS
348.00
165.88
5,468.53
.00
.00
.00
.00
.00
.00
.00
PREPARED _..17/2014, 10:19:00
Contract
GENERAL LEDGER _ IVITY
LISTING
1-- 847
PROGRAM GM362LA
GM
a
02/11
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
07/30/10
0088458
,
& GIRLS
FUND 101 General Fund
OF
COAC
BEGINNING
GROUP ACCTG ----TRANSACTION----
7/10-7/11
/ENDING
APP NUMBER PER. CD DATE
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.33-04 Contract
Services
/ Promotional
BOYS
& GIRLS
11-0275
OF
SAHARA FLYERS
GM 02728 12/11 AP 04/27/11
0092302
4IMPRINT
2,166.00
'
2050317
PROMOTIONAL ITEM
0.1420
07/11
GM 02997 12/11 AP 06/24/11
0092545°
MIGHTY SPORTS
4,600.00 "
& GIRLS
1895
OF
STAGE COVER
GM 03010 12/11 AP 07/01/11
0092627
WELLS FARGO BUSINESS CARD
200.00
CDBG
3072
VISA CARD PYMT
GM
GM 03024 12/11 AP 07/12/11
0092737
SILVERROCK RESORT
190.00
0090631
97829622
& GIRLS
4TH QTR SALES TX
OF
COAC
ACCOUNT TOTAL
101-3001-451.33-10
Contract
Services /_
Boys & Girls Club
GM
00274
02/11
AP
07/30/10
0088458
BOYS
& GIRLS
CLUB
OF
COAC
7/10-7/11
CONTRACT AGREEMENT
GM
01048
05/11
AP
11/01/10
0089549
BOYS
& GIRLS
CLUB
OF
COAC
0CT'10-0CT'11
CONTRACT PYMT
GM
0.1420
07/11
AP
12/27/10
0090247
BOYS
& GIRLS
CLUB
OF
COAC
122710
CDBG
FUNDING
GM
01643
08/11
AP
01/31/11
0090631
BOYS
& GIRLS
CLUB
OF
COAC
31710
CDBG
FUNDING
GM
02468
11/11
AP
04/21/11
0091746
BOYS
& GIRLS
CLUB
OF
COAC
2010/11
CDBG
FUNDING
GM
02507
11/11
AP
05/04/11
0091794
_ BOYS
& GIRLS
CLUB
OF
COAC
5411
CDBG
FUNDING
ACCOUNT TOTAL
•101-3001-451.33-13 Contract Services
GM 00017 01/11 AP 06/23/10 0087999
21135341-0
GM 00023 01/11 AP 07/07/10 0088165
28216
GM 00157 01/11 AP 07/10/10 0088355
28241
GM 00275 02/11 AP 07/10/10 0088518
28643
GM 00157 01/11 AP 07/13/10 0088318
SI143046
CR 00134 01/11 CR 07/19/10 0000694
GM 00274 02/11 AP 07/21/10 0088482
SI143831
GM 00229 02/11 AP 07/23/10 0088437
21774418-0
GM 00275 02/11 AP 07/27/10 0088500
1286
/ Fritz Burns Park
TELEPACIFIC COMMUNICATION
FB POOL
UNITED STATES POOLS CORPO
POOL SERVICE
UNITED STATES POOLS CORPO
•POOL SERVICE
UNITED STATES POOLS CORPO
LQ PK WATER FEATURE
LINCOLN EQUIPMENT, INC.
CHLORINE TABLETS
GALLS-RFND 10130014513313
MANCILLA 07/19/10 01
LINCOLN EQUIPMENT, INC.
POOL CLARIFIER
TELEPACIFIC COMMUNICATION
FB POOL
RC SIGNWORLD
POOL SAFETY SIGN
14,295.94
10,000.00
10,000.00
16,320.00
10,000.00
8,064.00
10,000.00
64,384.00
43.91
100.21
1,007.99
276.17
2,691.26
53.99
43.87
38.06
1,545.61
14,295.94
00
64,384.00
.00
PREPARED
___17/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
F--- 848
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.33-13
Contract
Services /
Fritz Burns Park
GM
00555
03/11
AP
07/28/10
0088778
ACE HARDWARE
12.08
107513
GENERAL R&M
GM
00354
01/11
AJ
07/31/10
AJE 01-027
REVERSE ACCRUED REVENUE
1,545.61
GM
00555
03/11
AP
08/03/10
0088778
ACE HARDWARE
11.95
106794
GENERAL R&M
GM
OD555
03/11
AP
08/04/10
0088778
ACE HARDWARE
10.55
107558
GENERAL R&M
GM
00319
02/11
AP
08/05/10
0088703
UNITED STATES POOLS CORPO
76.13
28967
FB POOL
GM
00353
02/11
AP
O8/10/10
0088703
UNITED STATES POOLS CORPO
199.00
29015
WATER FEATURE
GM
00437
03/11
AP
08/11/10
0088809
CONSOLIDATED ELECTRICAL D
18.93
5725643792
FRITZ BURNS POOL
GM
00353
02/11
AP
08/12/10
0088650
KOOLFOG MISTING SYSTEM, I
111.85
12130
FB POOL MISTER
GM
00437
03/11
AP
08/13/10
0088850
LINCOLN EQUIPMENT, INC.
11191.18
.
SI146025
MAINT SVC CALL
GM
00702
03/11
AP
08/19/10
0089035
KOOLFOG INC
111.70
7874
FB POOL
GM
00439
03/11•
AP
08/23/10
0088749
TELEPACIFIC COMMUNICATION
43.87
•
224408410
FB POOL
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W -
111.99
960834
FB POOL
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
3.1.1
960820
FITZ BURNS POOL
GM
00581
03/11
AP
08/26/10
0088883
SHARK POOLS INC
575.00
10220901
SEP -FB POOL
GM
00581
03/11
AP
08/26/10
0088883
SHARK POOLS INC.
1,275.00
10220801
AUG -FB POOL
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
21.68
7119672
FB POOL
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
•7.48
5182919
POOL
GM•00555
03/11
AP
08/29/10
0088779
ADVANCED INC
1,575.00
13489
POOL JANITORAL SVC
GM
00581
03/11
AP
09/01/10
0088883
SHARK POOLS INC
510.85
10220902
FB POOL SVC
GM
00555
03/1.1
AP
09/02/10
0088778
ACE HARDWARE
10.84
107626
FB POOL BUILDING
GM
00751
04/11
AP
09/23/10
0089142
TELEPACIFIC COMMUNICATION
43.87
231992490
FB POOL
GM
00784
'04/11
AP
09/29/10
0089262
SHARK POOLS INC
575.00
10-242
OCT -FB POOL
GM
01033
05/11
AP.10/23/10
0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
FB POOL
GM
01159
05/11
AP
10/27/10
0089838
SHARK POOLS INC
575.00
10221101
NOV-POOL SVC
GM
01159
05/11
AP
11/04/10
0089838
SHARK POOLS INC
315.00
10221102
POOL SUPPLIES
PREPARED
___17/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
I — 849
PROGRAM
GM362LA
CITY•OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.33-13
Contract Services /
Fritz Burns Park
GM
01272
06/11
AP
11/22/10 0089967
FAMILY YMCA OF THE DESERT
6,188.00
2721
AQUATICS PRGM
GM
01253
06/11
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
FB POOL
GM
01264
06/11
AP
11/24/10 0090046
SHARK POOLS INC
575.00
10221201
DEC -POOL CLEANING
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
FB POOL
GM
01478
07/11
AP
01/03/11 0090343
SHARK POOLS INC
575.00
11220101
JAN -POOL SVC
GM
01478
07/11
AP
01/03/11 0090343
SHARK POOLS INC
6,808.25
11220102
NEW POOL PUMP
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
43.87
258077380
FB POOL
GM
01802
08/11
AP
01/31/11 0090896
SHARK POOLS - MONTHLY SVC
575.00
11220201
FEB -CLEANING SVC
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
FB POOL
GM
01845
08/11
AJ
02/28/11 AJE 08-021
RECLASS TO CORR ACCOUNT
6,808.25
GM
02083
09/11
AP
03/01/11 0091246
SHARK POOLS - MONTHLY SVC
575.00
11220301
POOL CLEANING
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
44.64
•
27291797-0
FB POOL
GM
02351
10/11
AP
03/25/11 0091690
SHARK POOLS INC
575.00
11220401
APR -FB POOL SVC
GM
02538
11/11
AP
04/23/11 0091917
TELEPACIFIC COMMUNICATION
44.62
280004610
FB POOL
GM
02513
11/11
AP
04/27/11 0091833
LOCK SHOP INC, THE
15.50
AA00054868
POOL KEYS -Y STAFF
GM
02628
11/11
AP
05/09/11 0092052
SHARK POOLS - MONTHLY SVC
575.•00
11220501
MAY -POOL CLEANING
GM
02628
11/11
AP
05/09/11 0092053
SHARK POOLS INC
320.99
11220502
CHLORINE TABLETS
GM
02628
11/11
AP
05/09/11 0092053
SHARK POOLS INC
320.99
11220503
CHLORINE TABLETS
GM
02628
11/11
AP
05/11/11 0092053
SHARK POOLS INC
715.00
11220504
BACKWASH VALVES
GM
02784
12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
37.92
202399,
FIRE EXTINGUISHER
GM
02787
12/11
AP
05/30/11 0092272
SHARK POOLS - MONTHLY SVC
125.00
11220601
EXTRA POOL SVC
GM
02787
12/11
AP
06/01/11 0092272
SHARK POOLS - MONTHLY SVC
1,275.00
11220602
JUN -POOL SVC
GM
02787.
12/11
AP
06/01/11 0092272
SHARK POOLS - MONTHLY SVC
320.99
11220603
JUN -CHLORINE TBLTS
GM
03010
12/11
AP
06/16/11 0092626
WAL MART COMMUNITY
91.07
5301QJMT9G
FB POOL SUPPLIES
GM
02997
12/11
AP
06/24/11 0092566
SHARK POOLS - MONTHLY SVC
1,173.34
11220702
POOL SUPPLIES/SVC
PREPARED 17/2014, 10:19:00 GENERAL LEDGER _ IVITY LISTING I--- 850
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND.101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE .
------------------------------------------------------------------------------------------------------ ----------------------
101-3001-451.33-13 Contract Services / Fritz Burns Park
ACCOUNT TOTAL 34,338.65 8,353.86 25,984.79
101-3001-451.33-15 Contract Services / Marketing .00
ACCOUNT TOTAL .00
101e3OO1-451.33-39 Contract.Services / Health Department .00
GM 02351 10/11 AP 04/05/11.0091614 COUNTY OF RIVERSIDE DEPAR 684.00
INO113277 POOL PERMITS
ACCOUNT TOTAL 684.00 684.00
101-3001-451.33-53 Contract Services / Feasibility Study
ACCOUNT TOTAL
101-3001-451.33-62
Contract
Services /
Community Special Events
GM
00157
01/11
'AP
07/22/10
0088349
SOFIA'S CINEMA
450.00
AUG11O
MOONLIGHT MOVIES
GM
00272
01/11
AJ
07/31/10
AJE 01-011
REVERSE PREPAID ITEMS
450.00
GM
00226
01/11
AP
08/04/10
0087739
SOFIA'S CINEMA
JUN
MOONLIGHT MOVIES
GM
00229
02/11
AP
08/04/10
0088434
SOFIA'S CINEMA
900.00
JUN & JUL
MOONLIGHT MOVIE
GM
00259
02/11
AP
08/05/10
0088507
SOFIA'S CINEMA
450•.00
SEP11O
MOONLIGHT MOVIES
GM
01001
05/11
AP
10/26/10
0089575
ESPINOZA, DAVID C.
215.00
111110
SP EVENT -VETERANS
GM
01097
05/11
AP
11/09/10
0089713
CAPITAL ONE COMMERCIAL
113.50
75083
VET DAY SUPPLIES
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
16.00
97829622
NOV11O SALES TAX
GM
01340
06/11
AJ
12/15/10
JE 06-013
REVR SOFIA'S PREPAID ITEM
GM
01571
07/11
AP
01/03/11
0090519
POWERS AWARDS INC
63.46
'
111397
PILLAR AWARDS
GM
01571
07/11
AP
01/12/11
0090507
MCDOWELL AWARDS
188.14
2010-2499
PILLAR AWARDS
GM
01629
07/11
AP
01/13/11
0090564
CAPITAL ONE COMMERCIAL
21.98
45136
SP EVENT -PILLARS
GM
02177
10/11
AP
03/29/11
0091322
SOFIA'S CINEMA
1,875.00
4111
MOONLIGHT MOVIES
GM
02513
11/11
AP
05/04/11
0091867
SOFIA'S CINEMA
625.00
3
MOONLIGHT MOVIES
GM
02538
11/11
AP
05/09/11
0091914
SOFIA'S CINEMA
625.00
450.00
450.00
.00
.00
.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER _e_.IVITY LISTING 1 851
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION----- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3001-451.33-62 Contract Services / Community Special Events
2 MOONLIGHT MOVIE
ACCOUNT TOTAL 5,993.08 900.00 51093.08
101-3001-451.34-04 Contract Services / Technical .00
ACCOUNT TOTAL .00
101-3001-451.41-01 Utilities / Electric -Inside
ACCOUNT TOTAL
101-3001-451.41-16 Utilities / Water -Inside
ACCOUNT TOTAL
.101-3001-451.41=22 Utilities / Telephone
ACCOUNT TOTAL
101-3001-451.41-30 Utilities / Security and Alarm
ACCOUNT TOTAL
101-3001-451.42-15 Contract Services / Janitorial
ACCOUNT TOTAL
101-3001-451.42-20 Contract Services / Pest Control
ACCOUNT TOTAL
101-3001-451.42-25 Contract Services / Park Master Plan Update
.ACCOUNT TOTAL
101-3001-451.42-30 Contract Services / Parks Security Monitoring
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER .___IVITY LISTING 1-mw� 852
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------- =-----'-----------------------------------------------------------------
101-3001-451.43-01 Other Services / Maintenance
ACCOUNT TOTAL
101-3001-451.43-52 Other Services / HVAC
GM 02987 12/11 AP 06/09/11 0092515 CONSOLIDATED ELECTRICAL D
5725665676 MUSEUM
ACCOUNT TOTAL
.101-3001-451.43-54 Other Services / Christmas Tree Mainten
GM 00023 01/11 AP 07/01/10 0088073 JARVIS COMPANY, THE
1227 XMAS TREE CONT
GM 01571 07/11 'AP 11/03/10 0090496 JARVIS COMPANY,'THE
1395 XMAS TREE STORAGE
ACCOUNT TOTAL
101-3001-451.43-58
Other Services /
Boys & Girls Club
GM
02735
12/11
AP
05/13/11
0092216
HOARD INC, HUGH
60818
B&G CLB REPAIRS
GM
02735
12/11
AP
05/17/11
0092164
ACE HARDWARE
108722
B&G CLUB
GM
02787
12/11
AP
05/20/11
0092291
US AIR CONDITIONING
DISTR
7429615
B&G REPAIRS
GM
02787
12/11
AP
05/25/11
0092291
US AIR CONDITIONING
DISTR
•
7435673
B&G REPAIRS
GM
02787
12/11
AP
05/25/11
0092291
US AIR CONDITIONING
DISTR
7435672
B&G REPAIRS
GM
02997
12/11
AP
06/02/11
0092579
US AIR CONDITIONING
DISTR
7444080
REPAIRS
GM
02997
12/11
AP
06/02/11
0092579
US AIR CONDITIONING
DISTR
7444077
REPAIRS
GM
02997
12/11
AP
06/02/11
0092579
US AIR CONDITIONING
DISTR
7444078
REPAIRS
GM
02997
12/11
AP
06/02/11
0092579
US AIR CONDITIONING
DISTR
7444079
REPAIRS
ACCOUNT TOTAL
101=3001-451.43-59 Other Services / LQ Park Building
ACCOUNT TOTAL
.00
.00
.00
11.97
11.97 11.97
.00
945.00
1,017.00
1,962.00 1,962.00
.00
670.38
56.39
142.55
2.09
36.05
88.74
52.07
50.24
52.07
11150.58 11150.58
00
.00
101-3001-451.43-82 Other Services / La Quinta Court Art .00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER IVITY LISTING 1_1 853
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG —-TRANSACTION /ENDING
APP NUMBER PER. CD DATE NUMBER ' D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3001-451.43-82 Other Services / La Quinta Court Art
ACCOUNT TOTAL
101-3001-451.43-88 Other Services /'Maint.-Other Equipment
. ACCOUNT TOTAL
101-3001-451.43-91 Other Services / Pool Maintenance
ACCOUNT TOTAL
101-3001-451.44-01 Rental Services / Equipment rental
ACCOUNT TOTAL
101-3001-451.51-01
Services
& Supplies /
Travel -& Training
GM
00603
03/11
AP
09/14/10
0089041
LA QUINTA HISTORICAL
SOCI
65.00
HYLTON
EVENING W/ STARS
GM
00751
04/11
AP
10/07/10
0089138
LA QUINTA CHAMBER OF
COMM
30.00
'
10710
MAYORS LUNCH
GM
01210
06/11
AP
11/30/10
0089878
LA QUINTA CHAMBER OF
COMM
25.00
12210
MAYOR'S LUNCHEON
GM
02225
10/11
AP
04/06/11
0091349
LA QUINTA CHAMBER OF
COMM
30.00
4711
MAYORS LUNCHEON
GM
02808
12/11
AP
06/07/11
0092343
VILLALPANDO, GILBERT
71.20
REIMB
SCMAF MEETING
ACCOUNT TOTAL
221.20
101-3001-451.51-02
Services
& Supplies /
Vehicle Reimbursement
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
150.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
150.00
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL SUMMARY
150.00
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL SUMMARY
150.00
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL SUMMARY
150.00
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL SUMMARY
150.00
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL SUMMARY
150.00
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL SUMMARY
150.00
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL SUMMARY
150.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL SUMMARY
150.00
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL SUMMARY
150.00
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL SUMMARY
150.00
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL SUMMARY
150.00
120.00
.00
.00
.00
.00
.00
.00
.00
.00
221.20
.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER __.IVITY
LISTING
F.,__ 854
PROGRAM
GM362LA
OFFICE DEPOT
121.93
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
GM
00555
03/11
FUND 101
General
Fund
14,910.00
BEGINNING
GROUP
ACCTG
----TRANSACTION----
GM
00555
03/11
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE -
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.51-02
Services
& Supplies
/ Vehicle Reimbursement
AP
09/15/10 0089053
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL SUMMARY
150.00
NAME BADGE
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL SUMMARY
150.00
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL SUMMARY
150.00
PR 01904
09/11
AJ
03/04/11
PRO304
•PAYROLL SUMMARY
150.00
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL SUMMARY
150.00
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL SUMMARY
150.00
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL SUMMARY
150.00
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL SUMMARY
150.00
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL SUMMARY
150.00
PR 02733
12/11
AJ
06/10/11
PR0610 •
PAYROLL SUMMARY
150.00
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL SUMMARY
150.00
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL SUMMARY
135.00
ACCOUNT TOTAL 3,735.00
101-3001-451.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-3001-451.51-31 Services & Supplies / Postage
GM 00299 02/11 AP 08/09/10 0088546 UNITED STATES POSTAL SVC 51000.00
8910 BULK MAIL POSTAGE
GM 01793 08/11 AP 02/15/11 0090803 UNITED STATES POSTAL SVC 51000.00
21511 POSTAGE-REC BROCHURE
ACCOUNT TOTAL 10,000.00
101-3001-451.51-39 Services & Supplies / Health Department
ACCOUNT TOTAL
101-3001-451.51-70 Services & Supplies / CVRPD
ACCOUNT TOTAL
101-3001-451.53-01
Services & Supplies
/ Printing
GM
00157
01/11
AP
07/10/10 0088334
OFFICE DEPOT
121.93
524755024001
BCARDS-ENGEL/BLAKELEY
GM
00555
03/11
AP
08/22/10 0088872
PRINTWORKS
14,910.00
10-0772
REC BROCHURES
GM
00555
03/11
AP
08/27/10 0088861
OFFICE DEPOT
60.97
.530504221001
BCARD-BLAKELEY
GM
01)702
03/11
AP
09/15/10 0089053
MCDOWELL AWARDS
10.88
2010-2122
NAME BADGE
120.00
3,615.00
.00
.00
.00
10,000.00
.00
.00
.00
.00
.00
PREPARED. -.._7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P____ 855
PROGRAM GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101 General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D
E S C R I -P T I O N
DEBITS CREDITS
BALANCE
101-3001-451.53-01
Services & Supplies /
Printing
GM 01181 06/11 AP
11/12/10 0090022
OFFICE DEPOT
60.97
539902961001
BCARDS-S HOWLETT
GM 01246 06/11 AP
11/26/10 0090022
OFFICE DEPOT
60.97
541419653001
BCARDS-AMBRIZ R
GM 02083 09/11 AP
03/04/11 0091221
MCDOWELL AWARDS
26.10
2010-2716
NAME PLATES/BADGES
GM 02084 09/11• AP
03/16/11 0091234
PRINTWORKS
14,440.00
10-1213
BROCHURES/PRINTING
ACCOUNT TOTAL
29,691.82
29,691.82
101-3001-451.53-03
Services & Supplies /
Membership Dues
.00
GM 00023 01/11 AP
07/06/10 0088019
CAPRCBM
1'75.00
8110
MEMBERSHIP -COMMISSION
GM 00023 01/11 AP
07/06/10 0088106
NATIONAL RECREATION & PAR
108.00
20537
MEMBERSHIP
GM 00157 01/11 AP
07/16/10 0088264
CALIFORNIA PARKS & RECREA
160.00
114171
MEMBERSHIP
GM 04096 05/11 AP
11/16/10 0089819
NATIONAL RECREATION & PAR
575.00
23802
MEMBERSHIP
GM 01571 07/11 AP
12/16/10 0090454
CALIFORNIA PARKS & RECREA
160.00
114173
MEMBERSHIP HOWLETT
GM 01571 07/11 AP
12/16/10 0090454
CALIFORNIA PARKS & RECREA
155.00
113703
MEMBERSHIP HYLTON
GM 01571 07/11 AP
12/16/10 0090454
CALIFORNIA PARKS & RECREA
155.00
29461
MEMBERSHIP AMBRIZ
ACCOUNT TOTAL
1,488.00
1,488.00
.101-3001-451.53-04
Services & Supplies /
Subscriptions/Publication
.00
ACCOUNT TOTAL
.00
101-3001-451.53-05
Services & Supplies /
Training & Education
.00
ACCOUNT TOTAL'
.00
101-3001-451.54-01
Services & Supplies /
Information Tech Charges
.00
ACCOUNT TOTAL
.00
•101-3001-451.55-01
Advertising/Promo / Advertising
.00
GM 00490 03/11 AP
08/26/10 0088865
PAPER DIRECT INC
126.43
W172605101017
NOMINATION PAPER
PREPARED ,,:7/2014, 10:19:00 GENERAL LEDGER--.1VITY LISTING P-- 856
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3001-451.55-01 Advertising/Promo / Advertising
ACCOUNT TOTAL
•101-3001-451.56-01
Services 8 Supplies
/ Office Supplies
GM
00023
01/11
AP
07/01/10 0088121
PRINTWORKS
10-0699
RESIDENT CRD INFOR
GM
00099
01/11
AP
07/08/10 0088350
STAPLES ADVANTAGE
3139085869
OFFICE SUPPLIES
GM
00099
01/11
AP
07/08/10 0088350
STAPLES ADVANTAGE
3139085870
OFFICE SUPPLIES
GM•00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
3139807497
OFFICE SUPPLIES
GM
00367
03/11
AP
08/18/10 0088893
STAPLES ADVANTAGE
3140882527
OFFICE SUPPLIES
GM
00437
03/11
AP
08/25/10 0088893
STAPLES ADVANTAGE
3141153868
OFFICE SUPPLIES
GM
00603
03/11
AP
09/03/10 0089090
STAPLES ADVANTAGE
3141789909
OFFICE SUPPLIES
GM
00736
04/11
AP
09/23/10 0089266
STAPLES ADVANTAGE
3142563072
OFFICE SUPPLIES
GM
O0725
04/11
AP
09/28/10 0089266
STAPLES ADVANTAGE
3142806082
OFFICE SUPPLIES
GM
00977
05/11
AP
10/20/10 0089654
STAPLES ADVANTAGE
•3144038596
OFFICE SUPPLIES
GM
01096
05/11
AP
11/03/10 0089841
STAPLES ADVANTAGE
3144913773
OFFICE SUPPLIES
GM
01262
06/11
AP
12/01/10 0090053
STAPLES ADVANTAGE
3146195113
OFFICE SUPPLIES
GM
01603
07/11
AP
12/14/10 0090522
RALPHS CUSTOMER CHARGES
124101
GIRLS IN GOV TOUR
GM
01560
07/11
AP
01/05/11 0090536
STAPLES ADVANTAGE
3147815177
OFFICE SUPPLIES
GM
01703
08/11
AP
01/26/11 0090714
STAPLES ADVANTAGE
3148784660
OFFICE SUPPLIES
GM
01802
08/11
AP
02/10/11 0090900
STAPLES ADVANTAGE
'
3149755636
OFFICE SUPPLIES
GM
02154
10/11
AP
03/23/11 0091502
STAPLES ADVANTAGE
3151833717
OFFICE SUPPLIES
GM
02248
10/11
AP
03/30/11 0091502
STAPLES ADVANTAGE
3152120443
OFFICE SUPPLIES
GM
02302
10/11
AP
04/06/11 0091695
STAPLES ADVANTAGE
3152808780
OFFICE SUPPLIES
GM
02316
10/11
AP
04/12/11 0091695
STAPLES ADVANTAGE
3153069281
OFFICE SUPPLIES
GM
02316
10/11
AP
04/15/11 0091695
STAPLES ADVANTAGE
3153127415
OFFICE SUPPLIES
GM
02507
11/11
AP
04/26/11 0091868
STAPLES ADVANTAGE
3153638805
OFFICE SUPPLIES
126.43
184.88
16.35
12.33
28.44
42.08
250.84
53.09
63.05
28.94
120.17
119.73
46.55
74.03
103.79
166.03
96.75
258.96
83.61
45.22
33.09
8.28
37.45
126.43
.00
PREPARED
-17/2014, 10:19:00
GENERAL LEDGER __.1VITY
LISTING
P,.__ 857
PROGRAM
GM362LA
CITY OF LA
----;-
QUINTA,
CALIFORNIA
-----
FUND 101
---------
General
-------------------------
Fund
---------------------------------
------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
----------- ---------------------------------------
DEBITS CREDITS
BALANCE
---------- ---------
101-3001-451.56-01
Services & Supplies /
Office Supplies
GM 02558
11/11
AP
05/05/11 0092055
STAPLES ADVANTAGE
72.20
3154271388
OFFICE SUPPLIES
GM 02561
11/11
AP
05/10/11 0092055
STAPLES ADVANTAGE
37.45
3154501516
SUPPLIES-RFND STAMP
GM 02865
12/11
AP
06/13/11 0092410
STAPLES ADVANTAGE
500.00
3156158560
OFFICE CHAIRS
GM 02955
12/11
AP
06/16/11 0092571
STAPLES ADVANTAGE
81.32
3156233735
OFFICE SUPPLIES
GM 02870
•12/11
AP
06/21/11 0092426
CASH/PETTY CASH
21.77
06212011
PETTY CASH
GM 02955
12/11
AP
06/22/11 0092571
STAPLES ADVANTAGE
•60.80
3156488354
OFFICE SUPPLIES
ACCOUNT TOTAL
2,647.20
2,647.20
101-3001-451.56-02
Services & Supplies /
Operating Supplies
.00
GM 01246
06/11
AP
11/23/10 0089947
CDW GOVERNMENT INC
739.65
VQP4664
RIBBONS -CARD PRINTER
GM 02084
09/11
AP
03/07/11 0091233
PRINTING PLACE, THE
244.69
110385
RESIDENT CARDS
GM 02136
10/11
AP
03/16/11 0091481
PRINTING PLACE, THE
497.80
110519
REGISTRATION FORMS
GM 0-2248
10/11
AP
03/22/11 0091381
CDW GOVERNMENT INC
444.80
WVG5212
RIBBONS -CARDS
GM 02248
10/11
AP
03/24/11 0091381
CDW GOVERNMENT INC
46.77
WVV3296
RESIDENT/FITNESS CARD
GM 02616
11/11
AP
05/09/11 0091972
CDW GOVERNMENT INC
446.83
XHX3845
PHASER INK
GM 02628
11/11
AP
05/17/11. 0092040
PRINTING PLACE, THE
309.94
111071.
RESIDENT CARD
ACCOUNT TOTAL
2,730.48
2,730.48
.101-3001-451.56-25
Services & Supplies /
Software
.00
GM 00023
01/11
AP
06/01/10 0088168
VERMONT SYSTEMS INC
6,156.00
29813
MAINT 7/10-6/11
ACCOUNT TOTAL
6,156.00
6,156.00
101-3001-451.71-01 Capital Purchases / Machinery & Equipment .00
ACCOUNT TOTAL .00
101-3001-451.71-02 Capital Purchases / Furniture .00
ACCOUNT TOTAL .00
PREPARED -.,17/2014, 10:19:00 GENERAL LEDGER IVITY .LISTING F- 858
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
BEGINNING
ROUP ACCTG ----TRANSACTION---- /ENDING
G
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------------------------------- =------------------------------------------------------------------------------------------------
101-3001-451.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-3001-451.72-10 Buildings / Capital -Buildings
ACCOUNT TOTAL
101-3001-451.80-01
Other /
Contingency
GM
OD189
01/11
AP
07/12/10
0088380
OLD TOWN ARTISIAN STUDIO
10,000.00
71210
ART PROGRAMS
GM
00702
03/11
AP
09/23/10
0089038
LA QUINTA CHAMBER OF COMM
12,000.00
GRANT
1ST QTR FY10/11
GM
00702
03/11
AP
09/23/10
0089016
FAMILY YMCA OF THE DESERT
51000.00
GRANT
IST QTR FY10/11
GM
00702
03/11
AP
09/23/10
0088992
BOYS & GIRLS CLUB OF COAC
5,000.00
GRANT
1ST QTR FY10/11
GM
00702
03/11
AP
09/23/10
0089094
TOOLS FOR TOMORROW INC
2,000.00
GRANT
IST QTR FY10/11
GM
00702
03/11
AP
09/23/10
0089019
FRANKLIN, BENJAMIN ELEMEN
2,500.00
GRANT
1ST QTR FY10/11
GM
00702
03/11
AP
09/23/10
0089040
LA QUINTA HIGH SCHOOL
2,000.00
GRANT
1ST QTR FY10/11
GM
01265
06/11
AP
12/09/10
0089992
KEEPING ANIMALS SAFE EVER
11000.00
•
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0090050
SOLDIERS ORGANIZED SERVIC
11000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0090033
RANCH RECOVERY CENTERS, I
11000.00
2ND QTR
GRANT•FUNDING
GM
01265
06/11
AP
12/09/10
0090010
MC CALLUM THEATRE
11000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0089971
FIRST COMPOSIT GROUP ASSO
21000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0089997
LA QUINTA HIGH SCHOOL GIR
11000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0089925
ACT FOR MS
2,000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0089930
ANIMAL SAMARITANS SPCA
51000.00
2ND QTR
GRANT FUNDING
GM
01265
06/11
AP
12/09/10
0089996
LA QUINTA HIGH SCHOOL BLA
11000.00
2ND QTR
GRANT FUNDING
GM
01804
08/11
AP
02/09/11
0090902
STROKE RECOVERY CENTER
11000.00
12710
COMM SVC GRANT
GM
01804
08/11
AP
02/17/11
0090881
PALM DESERT MIDDLE SCHOOL
2,500.00
21511
GRANT FUNDING
GM
01952
08/11
AJ
02/28/11
AJE 08-038
RECLASS ARTISAN INVOICE
GM
02513
11/11
AP
04/08/11
0091801
CASA FOR RIVERSIDE COUNTY
11000.00
2010-2011
4TH QTR GRANT
10,000.00
.00
.00
.00
.00
.00
PREPARED .,17/2014,
10:19:00
GENERAL LEDGER IVITY
LISTING
Fhwm 859
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------------=--------------
FUND 101 General Fund
BEGINNING
•GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------- ----- -------------------------
DATE NUMBER D
---------------------
E S C R I P T I O N
---------------- -----------------
DEBITS CREDITS
------- ---- ---- ----- ---
BALANCE
-------------------
101-3001-451.80-01
Other / Contingency
GM 02286 10/11 AJ
04/30/11 AJE 10-007
OSHER INSTITUTEGRANT
2,700.00
GM 02287 10/11 AJ
04/30/11 AJE 10-008
SOROPTOMIST GRANT
5,025.00
GM 02513 11/11 AP
05/03/11 0091828
LA QUINTA HIGH SOFTBALL B
11000.00
2010-2011.
4TH QTR GRANT
GM 02513 ll/11 AP
05/03/11 0091846
PALM SPRINGS CULTURAL CEN
31500.00
2010-2011
4TH QTR GRANT
ACCOUNT TOTAL
70,225.00 10,000.00
60,225.00
101-3001-451.80-02
Other / Special Projects
.00
•
ACCOUNT TOTAL
.00
101-3001-451.80-03
Other / Contingency/LQ
Arts Fdn
.00
GM 00823 04/11 AP
10/07/10 0089223
LA QUINTA ARTS FOUNDATION
125,000.00
10710
4DAY ARTS FESTIVAL
GM 02412 10/11 AJ
04/30/11 AJE 10-029
LQAF RENT TO SR CENTER
20,800.00
ACCOUNT TOTAL
145,800.00
145,800.00
101-3001-451.80-05
Other / Community Picnic
..00
GM 02251 10/11 AP
02/24/11 0091418
FUN SERVICES
11899.00
21294
CONTRACT BAL
.'GM 02156 10/11 AP
03/29/11 0091458
MIMI'S CAFE LA QUINTA #13
699.26
•
31411
CITY PICNIC/BDAY
GM 02789 12/11 AP
05/02/11 0092201
ELMS EQUIPMENT RENTAL INC
340.57
4360250001
EVENT - PICNIC
ACCOUNT TOTAL
2,938.83
2,938.83
101-3001-451.80-07
Other / FIND Food Bank
.00
ACCOUNT TOTAL
.00
.101-3001-451.80-08
Other / Soroptomist Facility
Rent
.00
ACCOUNT TOTAL
.00
101-.3001-451.80-09
Other / Osher Facilty
Rental
.00
ACCOUNT TOTAL
.00
PREPARED _._17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING F.___ 860
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101:3001-451.80-10 Other / Artist Appreciation Days .00
GM 01547. 07/11 AP 01/03/11 0090411 WELLS FARGO BUSINESS CARD 120.31
3072 - VISA CARD PYMT
ACCOUNT TOTAL 120.31• 120.31
101-3001-451.80-11 Other / Prestige 2 PGA .00
ACCOUNT TOTAL .00
101-3001-451.80-15 Other / 25th Anniversary Events .00
ACCOUNT TOTAL .00
101-3001-451.80-20 Other / CSUSB .00
ACCOUNT TOTAL .00
10.1-3001-451.80-23 Other / 2-1-1 Hotline .00
GM 00023 01/11 AP 06/08/10 0088171 VOLUNTEER CENTER OF RIVER 1,264.64
21ILQ201011 211 PROGRAM
ACCOUNT TOTAL 1,264.64 1,264.64
101-3001-451.80-24 Other / Special Events/ Soap Bx D .00
GM 01643 08/11 AP 01/24/11 0090647 DESERT RECREATION DISTRIC 1,450.00
12411 SOAP BOX DERBY FEES
ACCOUNT TOTAL 11450.00 11450.00
101-3001-451.80-25 Other / Living Desert .00
ACCOUNT TOTAL .00
101-3001-451.80-30 Other / La Quinta High School PTO .00
ACCOUNT•TOTAL .00
101-3001-451.80-35 Other / La Quinta Playhouse .00
ACCOUNT TOTAL .00 '
PREPARED—.17/2014, 10:19:00 GENERAL LEDGER--.IVITY LISTING F--- 861
PROGRAM .GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-3001-451.80-40 Other / Community Blood Bank .00
ACCOUNT TOTAL .00
101-3001-451.80-45 Other / Desert Springs Publishing .00
ACCOUNT TOTAL .00
101-3001-451:80-50 Other / LQ Historical Museum .00
ACCOUNT TOTAL .00
101-3001-451.80-55 Other / American Red Cross .00
• ACCOUNT TOTAL .00
101-3001-451.80-60 Other / 4th of July Fireworks .00
ACCOUNT TOTAL. .00
101-3001-451•.80-65 Other / CV Rescue Mission .00
GM 01564 07/11 AP 01/07/11 0090460 COACHELLA VALLEY RESCUE M 50,000.00
1711 SHELTER FUNDING
ACCOUNT TOTAL 50,000.00 50,000:00
101-3001-451.80-70 Other / Martha's Kitchen .00
ACCOUNT TOTAL .00
101-3001-451.80-75 Other / Homeless Bus Passes .00
ACCOUNT TOTAL .00
101-3001-451.81-10 Culture & Recreation / Old Town Artisians .00
GM 01952 08/11 AJ 02/28/11 AJE 08-038 RECLASS ARTISAN INVOICE 10,000.00
ACCOUNT TOTAL 10,000.00 10,000.00
101-3001-451.81-15•Culture & Recreation / 25th Anniversary Events .00
ACCOUNT TOTAL .00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER ..-.IVITY LISTING F..-_ 862
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3001-451.91-11
GM
00194
01/11
AJ
GM
00418
01/11
AJ
GM
00572
02/11
AJ
GM
OD716
03/11
AJ
GM
00929
04/11
AJ
GM
01187
05/11
AJ
GM
01239
06/11
AJ
GM
01638
07/11
AJ
GM
01717
08/11
AJ
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
02587
11/11
AJ
GM
02743
11/11
AJ
GM
02746
12/11
AJ
Reimbursed Gen Fund
07/30/10 JE 01-029
07/31/10 JE 01-054
08/31/10 JE 02-034
09/30/10 JE 03-035
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 AJE 11-010
05/31/11 JE 11-044
06/30/11 JE 12-0020
ACCOUNT TOTAL
Exp / Personnel
MONTHLY GF REIMB
CORR JUL110 GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
REIM GEN FUND FOR MUS&LIB
MONTHLY GF REIMB
MONTHLY GF REIMB
101-3001-451.91-12 Reimbursed Gen Fund Exp / Supplies/Service
ACCOUNT TOTAL
101-3001-451.92-11 Other Charges / Fleet Maint Program Chrgs
ACCOUNT TOTAL
101-3002-451.10-01
Salaries
& Wages
/.Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
5,748.43
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
5,748.45
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
5,748.42
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
5,748.42
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
5,748.43
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
5,748.42
PR
00685
04/11
AJ
10/01/10
PRIO01
PAYROLL
SUMMARY
5,748.42
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL
SUMMARY
5,748.42
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
5,748.42
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
5,748.42
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
5,748.42
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
5,748.41
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
5,748.42
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
6,841.61
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
5,836.33
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
5,836.34
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
5,836.32
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
5',953.98
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
5,912.21
1,175.00
1,554.00
2,729.00
2,729.00
2,729.00
2,729.00
2,729.00
2,729.00
2,729.00
2,729.00
2,729.00
40,000.00
2,729.00
2,729.00
72,748.00
4,598.71
.00
72,748.00CR
.00
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PREPARED ___17/2014, 10:19:00 GENERAL LEDGER _.-.IVITY LISTING F..__ 868
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION--=- /ENDING
APP NUMBER PER. CD DATE NUMBER ' D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3002-451.21-05
PR OD196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02524 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
PR 02947 12/11 AJ
Insurance Benefits
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10'PR0917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PR0513
05/27/11 PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ Life Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
101-3002-451.21-06 Insurance Benefits / Flexible Compensation
101-3002-451.21-07
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00911 04/11• AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
/ Long Term Disability
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY`
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
9.60
9.60
9.60
9.60
9.60
9.60
9.60
9.60
9.60
9.60
8.85
8.85
8.85
8.85
8.85
8.85
8.85
8.85
8.85
8.85
8.85
8.85
7.98
229.38
62.09
62.09
34.49
34.49
34.49
34.49
34.49
34.49
34.49
34.49
34.49
34.49
34.49
35.02
35.02
7.68
49.67
221.70
.00
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.00
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PREPARED
_.,17/2014,
10:19:00
Instructors
GENERAL LEDGER .._.IVITY
LISTING
F--- 871
PROGRAM
GM362LA
07/06/10
0088007
ALVAREZ, MARIA ISABEL
350.70
CITY OF LA
QUINTA, CALIFORNIA
INSTRUCT PYMT
GM
00023
-------------------------------------------------------------------------------------------------------------------------------------
FUND•101
General
Fund
0088054
DUNHAM, KATHY
47.60
BEGINNING
GROUP
ACCTG
----TRANSACTION----
GM
00157
01/11
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
. DATE
NUMBER D E
S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.27-05
INSTRUCTOR PYMT
Other Benefits & Deduc.
/ Social
Security -FICA
02/11
AP
PR 00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
3.66
VARIOUS
PR 00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
4.27
0088606
PR 00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
5.50
INSTRUCTOR PYMT
PR 00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
9.16
597.10
PR 00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
5.50
GM
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
4.89
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
3.05
AP
PR 01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
3.66
VARIOUS
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
3.66
0089089
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
3.36
INSTRUCTOR PYMT
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
5.65
70.70
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
6.36
GM
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
3.81
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
1.91
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
1.91
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
3.43
ACCOUNT TOTAL 83.83
101-3002-451.32-10 Contract Services / Professional
GM 0,2616 11/11 AP 05/02/11 0092050 RSVP 41300.00
1112-002
ACCOUNT TOTAL 41300.00
101-3002-451.33-43
Contract
Services /
Instructors
GM
00023
01/11
AP
07/06/10
0088007
ALVAREZ, MARIA ISABEL
350.70
VARIOUS
INSTRUCT PYMT
GM
00023
01/11
AP
07/06/10
0088054
DUNHAM, KATHY
47.60
310128-3B/C
INSTRUCT PYMT
GM
00157
01/11
AP
07/20/10
0088298
GUMMER, BRAD
122.50
310162-C
INSTRUCTOR PYMT
GM
00259
02/11
AP
08/03/10
0088452
ALVAREZ, MARIA ISABEL
319.20
VARIOUS
INSTRUCTOR PYMT
GM
00353
02/11
AP
08/18/10
0088606
ALVAREZ, MARIA ISABEL
138.60
VARIOUS
INSTRUCTOR PYMT
GM
00555
03/11
AP
09/08/10
0088783
ALVAREZ, MARIA ISABEL
597.10
VARIOUS
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/21/10
0089055
MEEDS, WAYNE
160.00
210113-9A/B/C/D
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/21/10
0089047
LORENZ, ANDREW K
252.00
VARIOUS
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/21/10
0089089
SOUZA, DEBRA A FEDOR
120.40
VARIOUS
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/21/10
0088978
ALVAREZ, MARIA ISABEL
70.70
VARIOUS
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089437
LESLIE, JANELLE
56.00
98
82.85
.00
4,300.00
.00
PREPARED
-..17/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING -
F--_ 872
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
---
FUND
------------------------
101
General
Fund
-------------
----------------------------------------------------------------
-----------------
-----------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------
NUMBER
PER.
CD
DATE
--------------------
NUMBER
D E S C R I P T I O N
-------------------------------------
DEBITS CREDITS
---------- ------- ------- www ----------------------------
BALANCE
101-3002-451.33-43
Contract
Services
/ Instructors
210125-1
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089416
GUMMER, BRAD
157.50
VARIOUS
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089472
THOMPSON, LORNA
162.40
210133-1A/B
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089441
MEEDS, WAYNE
120.00
VARIOUS
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089399
DUNHAM, KATHY
665.70
VARIOUS
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089380
BODDEN, RENATE
184.10
VARIOUS
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089383
CAPUTO, ROSEMARY HEIM
315.00
210135-1
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089374
ALVAREZ, MARIA ISABEL
620.20
210135-1
INSTRUCTOR PYMT
GM
00914
04/11
AP
10/20/10
0089400
EADY, LINDA RAE
142.80
210165-A/lA
INSTRUCTOR PYMT
GM
00910
04/11
AP
10/25/10
0088978
ALVAREZ, MARIA ISABEL
70.70
VARIOUS
INSTRUCTOR PYMT
GM
00931
04/11
AP
10/27/10
0089485
ALVAREZ, MARIA ISABEL
70.70
VARIOUS
INSTRUCTER PYMT
GM
01046
05/11
AP
11/02/10
0089606
LORENZ, ANDREW K
252.00
VARIOUS
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/02/10
0089574
DUNHAM, KATHY
168.00
210128-2
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/02/10
0089574
DUNHAM, KATHY
59.50
VARIOUS
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/02/10
0089653
SOUZA, DEBRA A FEDOR
133.00
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089745
ALVAREZ, MARIA ISABEL
784.00
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089788
GUMMER, BRAD
187.84
210162-A1
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089774
DUNHAM, KATHY
136.50
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089752
SODDEN, RENATE
210.00
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089814
MEEDS, WAYNE
200.00
'
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089849
THOMPSON, LORNA
140.00
210133-2A/B/C
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089845
SULLIVAN, CHARLES L
98.00
210189 -AA'
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10
0090051
SOUZA, DEBRA A FEDOR
114.80
VARIOUS
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10
0090064
THOMPSON, LORNA
112.00
VARIOUS
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10
0090004
LESLIE, JANELLE
88.20
210125-2/2A
INSTRUCTOR PYMT
PREPARED
!7/2014,
10:19:00
GENERAL LEDGER ___.IVITY
.LISTING
F..__ 873
PROGRAM
GM362LA
CITY OF LA
I
QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.33-43
Contract Services
/ Instructors
GM
01264
06/11
AP
12/07/10 0090000
'LARKIN, STEPHEN M
196.00
210126-1
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0089979
GUMMER, BRAD
98.00
210162-A2
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0090013
MEEDS, WAYNE
160.00
VARIOUS
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0089962
DUNHAM, KATHY
437.50
210132-A/A1/A2
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0089963
EADY, LINDA RAE
159.60
210165-C/C1/C2
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0089928
ALVAREZ, MARIA ISABEL
458.50
VARIOUS
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/07/10 0089937
BODDEN, RENATE
14.00
210119-2C
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10 0090234
THOMPSON, LORNA
22.40
210133-3C/3D
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10 0090227
SOUZA, DEBRA A FEDOR
28.00
210206-B
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10 0090206
LESLIE, JANELLE
4.20
210125-2B
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10 0090188
EADY, LINDA RAE
5.60
210165-C3
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10 0090167
ALVAREZ, MARIA ISABEL
8.40
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090450
BODDEN, RENATE
252.70
•
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090444
ALVAREZ, MARIA ISABEL
956.90
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090468
DUNHAM, KATHY
1,120.70
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090503
LESLIE, JANELLE
102.20
210125-3/3A• -
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090508
MEEDS, WAYNE
120.00
210113-A2/3/4
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/18/11 0090534
SOUZA, DEBRA A FEDOR
128.80
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090621
ALVAREZ, MARIA ISABEL
53.90
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090630
BODDEN, RENATE
70.00
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090684
LORENZ, ANDREW K
218.40
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090713
SOUZA, DEBRA A FEDOR
22.40
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090718
THOMPSON, LORNA
28.00
210133-C4/C5
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090652
EADY, LINDA RAE
134.40
210165-D/Dl
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11 0090651
DUNHAM, KATHY
154.70
PREPARED
----.7/2014,
10:19:00
GENERAL LEDGER
.—IVITY LISTING
F..__ 874
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---------- ----------------
CD
DATE
---------
NUMBER
---------
D E S C R I P T I O N
----------------------------------------------------------------------------------------
DEBITS CREDITS
BALANCE
101-3002-451.33-43
Contract
Services
/ Instructors
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/01/11
0090662
GLIMMER, BRAD
245.00
210162-B1
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090899
SOUZA, DEBRA A FEDOR
159.60
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090872
MEEDS, WAYNE
160.00
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090870
LORENZ, ANDREW K
134.40
210151-3A
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090868
LESLIE, JANELLE
8.40
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090849
GUMMER, BRAD
297.50
•
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090841
EADY, LINDA RAE
117.60
210165-E
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090840
DUNHAM, KATHY
1,340.50
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090819
BODDEN, RENATE
259.00
VARIOUS
INSTRUCTOR PYMT
GM
01802
08/11
AP
02/15/11
0090812
ALVAREZ, MARIA ISABEL
1,037.40
VARIOUS
INSTRUCTOR PYMT '
GM
01951
09/11
AP
02/15/11
0091050
THOMPSON, LORNA
117.60
VARIOUS
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0091050
THOMPSON, LORNA
16.80
210133-D5
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0091021
MEEDS, WAYNE
160.00
VARIOUS
INSTRUCTOR PYMT
GM
03951
09/11
AP
03/01/11
0091021
MEEDS, WAYNE
40.00
310113-A5
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0090983
CAPUTO, ROSEMARY HEIM
175.00
210135-2
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0090994
DUNHAM, KATHY
107.10
VARIOUS
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0090996
EADY, LINDA RAE
61.60
210165-E1/E2
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0090980
BODDEN, RENATE
21.00
210119-41)
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/01/11
0090971
ALVAREZ, MARIA ISABEL
59.50
VARIOUS
INSTRUCTOR PYMT
GM
02083
09/11
AP
03/10/11
0091.182
DUNHAM, KATHY
47.60
•
VARIOUS
INSTRUCTOR PYMT
•"
GM
02083
09/11
AP
03/10/11
0091183
EADY, LINDA RAE
5.60
'
210165-E3
INSTRUCTOR PYMT
GM
02083
09/11
AP'03/10/11
0091158
ALVAREZ, MARIA ISABEL
11.20
210118-9H
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091504
SULLIVAN, CHARLES L
147.00
310189-A
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091500
SOUZA, DEBRA A FEDOR
154.00
310108-A/A1
INSTRUCTOR PYMT
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER _.__.IVITY
LISTING
P..__ 875
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
--------------------------------------------------------=---------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101:3002-451.33-43
Contract
Services
/ Instructors •
GM
02248
10/11
AP
04/05/11
0091468
OAKES, JOSEPH A
105.00
310129-1
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091452
LORENZ, ANDREW K
105.00
310110-A
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091449
LESLIE, JANELLE
59.50
310125-A1/A2
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091448
LARKIN, STEPHEN M
140.00
310126-1
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091424
GUMMER, BRAD
196.00
310162-A
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091406
EADY, LINDA RAE
134.40
VARIOUS
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091404
DUNHAM, KATHY
1,557.50
VARIOUS
INSTRUCTOR PYMT
GM
0.2248
10/11
AP
04/05/11
0091379
CAPUTO, ROSEMARY HEIM
245.00
310135-1A
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091373
BODDEN, RENATE
268.10
VARIOUS
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091369
ARIDA, NEAL
189.00
310103-1
INSTRUCTOR PYMT
GM
02248
10/11
AP
04/05/11
0091364
ALVAREZ, MARIA ISABEL
622.30
VARIOUS
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/05/11
0091396
DAVID, MIRIAM
11155.00
310104-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/05/11
0091508
TOMSIC, JUDITH J
410.90
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091693
SOUZA, DEBRA A FEDOR
39.20
310206-1
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091656
LESLIE, JANELLE
10.50
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091594
ALVAREZ, MARIA ISABEL
955.50
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091603
BODDEN, RENATE
117.60
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091621
DUNHAM, KATHY
219.80
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/19/11
0091700
TOMSIC, JUDITH J
39.20
310184-A4/A5
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091662
MEEDS, WAYNE
160.00
VARIOUS
INSTRUCTOR PYMT
GM
02616
11/11
AP
05/17/11
0092054
SOUZA, DEBRA A FEDOR
156.80
VARIOUS
INSTRUCTOR PYMT
GM
02616
11/11
AP
05/17/11
0092023
LESLIE, JANELLE
56.00
VARIOUS
INSTRUCTOR PYMT
GM
02616
11/11
AP
05/17/11
0092030
MEEDS, WAYNE
200.00
VARIOUS
INSTRUCTOR PYMT
GM
02616
11/11
AP
05/17/11
0092019
LARKIN, STEPHEN M
140.00
210126-2
INSTRUCTOR PYMT
GM
02616
11/11
AP
05/17/11
0092003
GUMMER, BRAD
122.50
PREPARED .,,,.7/2014, 10:19:00 GENERAL LEDGER _. .:VITY LISTING P„ 376
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------=-----------------------------------------------------------------
101-3002-451.33-43 Contract Services /
310162-B
GM 02616 11/11 AP 05/17/11 0091987
VARIOUS
GM 02616 11/11 AP 05/17/11 0091967
VARIOUS
GM 02616 11/11 AP 05/17/11 0091965
310103-2/2A
GM 02616 11/11 AP 05/17/11 0091961
VARIOUS
GM 02787 12/11 AP 06/07/11 0092229
3101'25-B5
GM 02787 12/11 AP 06/07/11 0092191
310109-1A
GM 02787 12/11 AP 06/07/11 0092168
VARIOUS
GM 02787 12/11 AP 06/07/11 0092198
VARIOUS
GM 02787 12/11 AP 06/07/11 0092199
310165-3A
GM 02787 12/11 AP 06/07/11 0092245
310129-2
GM 02787 12/11 AP 06/07/11 0092278
310108-C
GM 02987 12/11 AP 06/21/11 0092524
VARIOUS
GM 02987 12/11 AP.06/21/11 0092505
VARIOUS
GM 02987 12/11 AP 06/21/11 0092498
VARIOUS
ACCOUNT TOTAL
Instructors
INSTRUCTOR PYMT
DUNHAM, KATHY
INSTRUCTOR PYMT
SODDEN, RENATE
INSTRUCTOR PYMT
ARIDA, NEAL
INSTRUCTOR PYMT
ALVAREZ, MARIA ISABEL
INSTRUCTOR PYMT
LESLIE, JANELLE
INSTRUCTOR PYMT
DAVID, MIRIAM
INSTRUCTOR PYMT
ALVAREZ, MARIA ISABEL
INSTRUCTOR PYMT
DUNHAM, KATHY
INSTRUCTOR PYMT
EADY, LINDA RAE
INSTRUCTOR PYMT
OAKES, JOSEPH A
INSTRUCTOR PYMT
SOUZA, DEBRA A FEDOR
INSTRUCTOR PYMT
DUNHAM, KATHY
INSTRUCTION.PYMT
BODDEN, RENATE
INSTRUCTION PYMT
ALVAREZ, MARIA ISABEL
INSTRUCTION PYMT
101-3002-451.34-04 Contract Services / Technical
GM 01366 06/11 AP 12/15/10 0090186 DSFE/SENIOR INSPIRATION A
102810 'll SR INSPIRATION AWARD
ACCOUNT TOTAL
101-3002-451.41-01 Utilities / Electric
GM 00229 02/11 AP 07/21/10 0088413
50014663
GM 00522 03/11 AP 08/19/10 0088764
50014663
GM 00713 03/11 AP 09/20/10 0089111
50014663
GM 01033 05/11 AP 10/19/10 0089522
50014663
-Inside
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
1,071.00
153.30
130.20
816.20
3.50
787.50
595.00
718.20
78.40
168.00
137.20
59.50
188.30
49.00
29,555.84
2,500.00
2,500.00
3,266.35
2,870.00
2,981.79
2,372.03
70.70
29,485.14
.00
2,500.00
.00
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER_ IVITY
LISTING
P___ 877
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
• ------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.41-01
Utilities / Electric
-Inside
GM
01210
06/11
AP
11/17/10 0089875
IMPERIAL IRRIGATION
DIST
11538.69
50014663
ELECTRIC SVC
GM
01629
07/11
AP
12/20/10 0090565
IMPERIAL IRRIGATION
DIST
11548.85
50014663
ELECTRIC SVC
GM
01692
08/11
AP
01/23/11 0090601
IMPERIAL IRRIGATION
DIST
11599.66
50014663
ELECTRIC SVC
GM
02003
09/11
AP
02/21/11 0091080
IMPERIAL IRRIGATION
DIST
1,264.98
50014663
ELECTRIC SVC
GM
02177
10/11
AP
03/22/11 0091315
IMPERIAL IRRIGATION
DIST
1,600.54
50014663
ELECTRIC SVC
GM
02468
11/11
AP
04/20/11 0091761
IMPERIAL IRRIGATION
DIST
1,580.21
50014663
ELECTRIC SVC
GM
02740
12/11
AP
05/19/11 0092149
IMPERIAL IRRIGATION
DIST
1,895.43
50014663
ELECTRIC SVC
GM
03010
12/11
AP
06/20/11 0092616
IMPERIAL IRRIGATION
DIST
1,956.43
50014663
ELECTRIC SVC
ACCOUNT TOTAL
24,474.96
24,474.96
101-3002-451.41-13
Utilities / Gas
.00
GM
00229
02/11
AP
07/26/10 0088412
GAS COMPANY, THE
63.45
9422738006
GAS SVC
GM
00439
03/11
AP
08/24/10 0088736
GAS COMPANY, THE
61.87
9422738006
GAS SVC
GM
00713
03/11
AP
09/24/10 0089110
GAS COMPANY, THE
54.80
9422738006
GAS SVC
GM'01033
05/11
AP
10/25/10 0089521
GAS COMPANY, THE
60:15
9422738006
GAS 9/21-10/21
GM
01210
06/11
AP
11/23/10 0089872'
GAS COMPANY, THE
73.53
9422738006
GAS SVC 10/21-11/19
GM
01629
07/11
AP
01/14/11 0090563
GAS COMPANY, THE
285.09
9422738006
GAS SVC 11/19-12/22
GM
01692
08/11
AP
01/26/11 0090598
GAS COMPANY, THE
393.53
9422738006
GAS SVC 12/22-1/24
GM
01909
09/11
AP
02/25/11 0090947
GAS COMPANY, THE
329.22
9422738006
GAS 1/24-2/23
GM
02177
10/11
AP
03/10/11 0091308
GAS COMPANY, THE
162.00
•
9422738006
GAS SVC
GM
02468
11/11
AP
04/25/11 0091757
GAS COMPANY, THE
100.89
9422738006
GAS 3/23-4/21
GM
02702
12/11
AP
05/24/11 0092121
GAS COMPANY, THE
63.71
9422738006
GAS SVC
GM
02948
12/11
AP
06/23/11 0092481
GAS COMPANY, THE
67.07
094222738006
SENIOR CENTER GAS
ACCOUNT TOTAL
1,715.31
1,715.31
PREPARED
-.,.7/2014, 10:19:00
GENERAL LEDGER __.IVITY
LISTING
P___ 878
PROGRAM
GM362LA
06/05/10
0087973
ADT SECURITY SERVICES
26491784
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA'QUINTA,
CALIFORNIA
00105
01/11
AP
07/03/10
0088216
ADT SECURITY SERVICES
FUND 101
General
Fund
28311119
AUG -SR CENTER
GM
010346
BEGINNING
GROUP
ACCTG
----TRANSACTION----
ADT SECURITY SERVICES
30227484
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D E
S C R I P
T I O
N
0088954
DEBITS CREDITS
BALANCE
101-3002-451.41-16
Utilities / Water -Inside
32100911
ALARM
GM
00876
.00
GM 00346
02/11
AP
08/18/10 0088560
COACHELLA
VALLEY
WATER
DI
135.34
ADT SVC/REPAIR
GM
00876
VARIOUS
WATER SVC
10/09/10
0089334
ADT SECURITY SERVICES
GM 00439
03/11
AP
08/31/10 0088734
COACHELLA
VALLEY
WATER
DI
502.21
11/06/10
0089696
ADT SECURITY SERVICES
VARIOUS
WATER SVC
35859559
DEC -SR CENTER
GM
GM 00713
03/11
AP
09/27/10 0089108
COACHELLA
VALLEY
WATER
DI
542.82
SW030101690
GENERATOR MAINT
GM
VARIOUS
WATER SVC
AP
12/04/10
0090083
ADT SECURITY SERVICES
GM 01081
05/11
AP
11/04/10 0089675
COACHELLA
VALLEY
WATER
DI
197.28
308195-839202
WATER SVC
GM 01081
05/11
AP
11/04/10 0089675
COACHELLA
VALLEY
WATER
DI
373.14
VARIOUS
WATER SVC
,
GM 01210
06/11
AP
11/30/10 0089871
COACHELLA
VALLEY
WATER
DI
449.30
VARIOUS
WATER SVC
GM 01547
07/11
AP
O1/10/11 0090372
COACHELLA
VALLEY
WATER
DI
281.30
VARIOUS
WATER SVC
GM 01692
08/11
AP
02/01/11 0090592
COACHELLA
VALLEY
WATER
DI
186.10
VARIOUS
WATER SVC
GM 01909
09/11
AP
02/28/11 0090943
COACHELLA
VALLEY
WATER
DI
223.06
VARIOUS
WATER SVC
GM 02127
09/11
AP
03/11/11 0091277
COACHELLA
VALLEY
WATER
DI
240.98
315199847726
WATER SVC
GM 02306
10/11
AP
04/20/11 0091566
COACHELLA
VALLEY
WATER
DI
252.18
VARIOUS
WATER SVC
GM 02645
11/11
AP
05/12/11 0092079
COACHELLA
VALLEY
WATER
DI
299.22
315199847726
WATER SVC
GM 03010
12/11
AP
06/17/11 0092609
COACHELLA
VALLEY
WATER
DI
393.42
315199847726
WATER SVC
ACCOUNT TOTAL
101-3002-451.41-30
Utilities / Security
and Alarm
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
26491784
JUL-ALARM SVC
GM
00105
01/11
AP
07/03/10
0088216
ADT SECURITY SERVICES
28311119
AUG -SR CENTER
GM
010346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
30227484
SEP -ALARM
GM -00627
03/11
AP
09/04/10
0088954
ADT SECURITY SERVICES
32100911
ALARM
GM
00876
04/11
AP
10/01/10
0089334
ADT SECURITY SERVICES
33404979
ADT SVC/REPAIR
GM
00876
04/11
AP
10/09/10
0089334
ADT SECURITY SERVICES
33980808
ALARM SVC
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
35859559
DEC -SR CENTER
GM
01096
05/11
AP
11/08/10
0089800
JOHNSON POWER SYSTEMS
SW030101690
GENERATOR MAINT
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
37748357
JAN -ALARM
4,076.35
270.61
270.61
270.61
270.61
882.15
270.61
270.61
376.33
288.47
4,076.35
00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER ..._1VITY
LISTING
P„ 879
PROGRAM
GM362LA
CITY.OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.41-30
Utilities
/ Security
and Alarm -
GM 01629
07/11
AP
O1/08/11
0090553
ADT SECURITY SERVICES
288.47
39644641
FEB -ALARM
GM 01793
08/11
AP
02/05/11
0090766
ADT SECURITY SERVICES
288.47
41534856
MAR -SECURITY
GM 02022
09/11
AP
03/05/11
0091104
ADT SECURITY SERVICES
288.47
43458215
APR -ALARM
GM 02198
10/11
AP
03/16/11
0091498
SOUTH COAST AIR QUALITY M
109.00
•
2306058
GENERATOR PERMIT
GM 02198
10/11
AP
03/17/11
0091498
SOUTH COAST AIR QUALITY M
293.21
2305402
GENERATOR PERMIT
GM 02403
10/11
AP
04/09/11
0091720
ADT SECURITY SERVICES
288.47
45415566
MAY -ALARM
GM 02645
11/11
AP
05/07/11
0092071
ADT SECURITY SERVICES
288.47
47367368
JUN -ALARM
GM 02694
12/11
AP
05/20/11
0092221
JOHNSON POWER SYSTEMS
170.72
SW030105210
SR CTR GENERATOR
GM 03024
12/11
AP
06/09/11
0092739
SOUTH COAST A.Q.M.D.
112.31
2357919
GENERATOR PERMIT
ACCOUNT TOTAL
101-3002-451.42-15 Contract Services /
GM 00023 01/11 AP 07/01/10 0088004
13415
GM 00350 02/11 AP 07/01/10 0088608
L662610-0710
GM 00350 02/11 AP 07/15/10 0088608
L671992-0710
GM 00350 02/11 AP 07/29/10 0088608
L680910-0710
GM 00274 02/11 AP 08/01/10 0088448
13462
GM 00913 04/11 AP 08/12/10 0089375•
L6908400810
GM 00913 04/11 AP 08/26/10 0089375
L7001560810
GM O0490 03/11 AP 09/01/10 0088779
13487
GM 00913 04/11 AP 09/09/10 0089375
L7094070910
GM 00913 04/11 AP 09/23/10 0089375
L7186430910
GM 00823 04/11 AP 10/01/10 0089152
13524
GM 01159 05/11 AP 10/07/10 0089746
L727849-1010
GM 01159 05/11 AP 10/21/10 0089746
L737056-1010
Janitorial
ADVANCED INC
JUL-JANITORIAL SVC
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
ADVANCED INC
JUL-JANITORIAL SVC
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
ADVANCED INC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
ADVANCED INC
JANITORIAL SVC
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
AMERIPRIDE UNIFORM SERVIC
JANITORIAL
5,298.20
1,450.00
79.00
79.00
79.00
1,493.25
79.00
79.00
1,493.25
79.00
80.00
1,493.25
80.00
80.00
5,29S..20
00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER ..._.IVITY
LISTING
P..__ 880'
PROGRAM
GM362LA
CITY
OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND.101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.42-15
Contract Services /
Janitorial
GM
01046
05/11
AP
11/01/10 0089541
ADVANCED INC
1,493.25
13559
JANITORIAL SVC
GM
01362
06/11
AP
11/04/10 0090170
AMERIPRIDE UNIFORM
SERVIC
80.90
L7462611110
JANITORIAL
GM
01362
06/11
AP
11/18/10 0090170
AMERIPRIDE UNIFORM
SERVIC
80.90
L7554851110
JANITORIAL
GM
01272
06/11
AP
12/01/10 0089926
ADVANCED INC
1,493.25
.13594
JANITORIAL SVC
GM
01564
07/11
AP
12/02/10 0090446
AMERIPRIDE UNIFORM
SERVIC
85.45
L765761
JANITORIAL
GM
01564
07/11
AP
12/16/10 0090446
AMERIPRIDE UNIFORM
SERVIC
85.45
1400003468
JANITORIAL
GM
01564
07/11
AP
12/30/10 0090446
AMERIPRIDE UNIFORM
SERVIC
85.45
1400012603
JANITORIAL
GM
01478
07/11
AP
O1/01/11 0090275
ADVANCED INC
1,493.25
13626
JANITORIAL SVC
GM
01564
07/11
AP
01/13/11 0090446
AMERIPRIDE UNIFORM
SERVIC
85.45
1400021417
JANITORIAL
GM
01643
08/11
AP
01/27/11 0090624
AMERIPRIDE UNIFORM
SERVIC
85.45
1400030374
JANITORIAL
GM
01704
08/11
AP
02/01/11 0090618
ADVANCED INC
1,493.25
13652
JANITORIAL SVC
GM
01804
08/11
AP
02/10/11 0090813
AMERIPRIDE UNIFORM
SERVIC
85.45
1400040137
JANITORIAL
GM
01903
09/11
AP
02/24/11 0090974
AMERIPRIDE UNIFORM
SERVIC
85.45
1400048732
JANITORIAL
GM
01962
09/11
AP
03/01/11 0090968
ADVANCED INC
1,493.25
13680
JANITORIAL SVC
GM
02351
10/11
AP
03/10/11 0091597
AMERIPRIDE UNIFORM
SERVIC
85.45
1400057994
JANITORIAL
GM
02154
10/11
AP
03/24/11 0091366
AMERIPRIDE UNIFORM
SERVIC
85.45
1400066937
JANITORIAL
GM
02198
10/11
AP
04/01/11 0091360
ADVANCED INC
1,493.25
13710
JANITORIAL SVC
GM
02351
10/11
AP
04/07/11 0091597
AMERIPRIDE UNIFORM
SERVIC
85.45
1400076754
JANITORIAL
GM
02424
11/11
AP
04/21/11 0091789
AMERIPRIDE UNIFORM
SERVIC
85.45
1400085409
JANITORIAL
GM
02435
11/11
AP
05/01/11 0091785
ADVANCED INC
1,493.25
'
13735
JANITORIAL
GM
02561
11/11•
AP
05/05/11 0091964
AMERIPRIDE UNIFORM
SERVIC
85.45
1400094977
JANITORIAL
GM
02784
12/11
AP
05/19/11 0092169
AMERIPRIDE UNIFORM
SERVIC
85.45
1400103484
JANITORIAL
GM
02728
12/11
AP
06/01/11 0092165
ADVANCED INC
1,493.25
13771
JUN -JANITORIAL SVC
GM
02787
12/11
AP
06/02/11 0092169
AMERIPRIDE UNIFORM
SERVIC
85.45
1400112654
JANITORIAL
GM
02871
12/11
AP
06/16/11 0092348
AMERIPRIDE UNIFORM
SERVIC
85.45
PREPARED —17/2014, 10:19:00 GENERAL LEDGER .— IVITY LISTING P..__ 881
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------------------------------------------=------
101-3002-451.42-15 Contract Services / Janitorial
1400121557 JANITORIAL
ACCOUNT TOTAL
101-3002-451.42-20
Contract
Services
/ Pest Control
00490
GM
00259
02/11
AP
07/02/10
0088515
TRULY NOLEN
INC
250278
SR CTR R&M
66926165
00439
PEST CONTROL
AP
GM
00350
02/11
AP
08/05/10
0088701
TRULY NOLEN
INC
SR CTN R&M
GM
00913
660000820
AP
SR CTR -PEST
CNTRL
GM
00736
04/11
AP
09/03/10
0089278
TRULY NOLEN
INC
GM
01046
05/11
AP
660002860
0089569
PEST CONTROL
GM
00913
04/11
AP
10/01/10
0089475
TRULY NOLEN
INC
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
660004847
PEST CONTROL
GM
01092
05/11
AP
11/01/10
0089852
TRULY NOLEN
INC
0089527
LOWE'S HOME IMPROVEMENT W
660006871
SR CTR PEST
CONTROL
GM
01457
07/11
AP
12/03/10
0090353
TRULY NOLEN
INC
660008901
PEST CONTROL
GM
GM
01703
08/11
AP
01/04/11
0090721
TRULY NOLEN
INC
960332
660010805
PEST CONTROL
GM
02045
09/11
AP
03/02/11
0091263
TRULY NOLEN
INC
660014484
PEST CONTROL
GM
02424
11/11
AP
04/04/11
0091875
TRULY NOLEN
INC
660016223
SENIOR CTR -PST
CNTRL
GM
02616
11/11
AP
05/06/11
0092061
TRULY NOLEN
INC
660018125
PEST CONTROL
GM
02955
12/11
AP
06/03/11
0092576
TRULY NOLEN
INC
660020082
PEST CONTROL
ACCOUNT TOTAL
101-3002-451.43-01
Other Services /
Maintenance
GM
00490
03/11
AP
08/18/10
0088840
JOHNSTONE SUPPLY
250278
SR CTR R&M
GM
00439
03/11
AP
08/25/10
6088744
LOWE'S HOME IMPROVEMENT W
960051
SR CTN R&M
GM
00913
04/11
AP
10/13/10
0089438
LIGHT SOURCE
87148
GENERAL MAINT
GM
01046
05/11
AP
10/20/10
0089569
DESERT ELECTRIC SUPPLY
S1766946001
ELECTRIC SVC
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
960658
SENIOR CENTER
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
924627
GENERAL R&M
GM
01246
06/11
AP
11/08/10
0089924
ACE HARDWARE
108370
SENIOR CENTER
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
960332
GENERAL R&M
20,033.30
60.00
60.00
60.00
60.00
60.00
60.00
60.00
60.-00
60.00
60.00
60.00
660.00
36.79
11.61
49.82
36.39
17.04
12.47
11.95
7.09
20,033.30
00
660.00
00
PREPARED
-..17/2014, 10:19:00
GENERAL LEDGER—_.IVITY
LISTING
F--- 882
PROGRAM
GM362LA
CITY OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---=TRANSACTION----
/ENDING
APP NUMBER PER.
----------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
--------------------------------------------------------------------------------------
DEBITS CREDITS
BALANCE
101-3002-451.43-01
Other Services /
Maintenance
GM 02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT
W
36.84
920581
MISC EQUIP R&M
GM 02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT
W
26.09
960859
STAGE LIGHTS R&M
GM 02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT
W
16.29
960471
MAINT & REPAIR
GM 02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT
W
21.67
907270
SENIOR CENTER
GM 02735
12/11
AP
05/03/11 0092164
ACE HARDWARE
5.21
108657
SENIOR CENTER
GM 02694
12/11
AP
05/17/11 0092230
LIGHT SOURCE
97.88
90817
GENERAL R&M
GM 02789
12/11
AP
05/20/11 0092175
BUY A SAVE.COM
238.37
•
124480
SENIOR CENTER
GM 02694
12/11
AP
05/24/11 0092231
LOCK SHOP INC, THE
26.64
BB00001688
GENERAL R&M
GM 02728
12/11
AP
05/31/11 0092231
LOCK SHOP INC, THE
38.93
AA00001835
GENERAL R&M
GM 02955
12/11
AP
06/21/11 0092542
LOCK SHOP INC, THE
22.19
AA00002266
GENERAL R&M
ACCOUNT TOTAL
101-3002-451.43-31 Other Services / Maint.-Fire extinguishers
GM 00784 04/11 AP 10/04/10 0089187 DESERT FIRE EXTINGUISHER
723380 FIRE SERVICE
GM 02351 10/11 AP 04/07/11 0091618 DESERT FIRE EXTINGUISHER
• 725114 FIRE EXTINGUISHER
GM 02863 12/11 AP 05/12/11 0092367 DESERT FIRE EXTINGUISHER
202392 FIRE EXTINGUISHER
ACCOUNT TOTAL
101-3002-451.43-52 Other Services / HVAC
GM 00350 02/11 AP 07/01/10 0088641
58104
GM 00319 02/11 AP 07/27/10 0088641
58871
GM 00913 04/11 AP 09/28/10 0089420
59270
GM 01092 05/11 AP 10/01/10 0089793
58945
GM 01878 09/11 AP 02/04/11 0091011
60135
GM 02003 09/11 AP 02/28/11 0091078
7034451
GM 02997 12/11 AP 06/16/11 0092579
HOARD INC, HUGH
HVAC R&M
HOARD INC, HUGH
HVAC MAINT/SVC
HOARD INC, HUGH
HVAC MAINT
HOARD INC, HUGH
HVAC SVC
HOARD INC, HUGH
HVAC
HOME DEPOT CREDIT SERVICE
HVAC R&M
US AIR CONDITIONING DISTR
713.27
129.80
129.80
41.80
301.40
453.53
105.06
98.50
321.75
98.50
135.52
94.55
713.27
.00
301.40
.00
6
PREPARED. -17/2014, 10:19:00 GENERAL LEDGER .— IVITY LISTING F--- 883
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER ` D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------'----------- -------------------------------
101-3002-451.43-52 Other Services / HVAC
7464032 HVAC
GM 03031 12/11 AP 06/21/11 0092865 US AIR CONDITIONING DISTR 43.71
7470342 SENIOR CENTER
ACCOUNT TOTAL 1,351.12 1,351.12
101-3002-451.43-88 Other Services /`Maint.-Other Equipment .00
ACCOUNT TOTAL .00
101-3002-451.44-01 Rental Services / Equipment rental .00
ACCOUNT TOTAL .00
101-3002-451.51-01 Services & Supplies / Travel & Training .00
ACCOUNT TOTAL .00
101-3002-451.51-02
Services & Supplies /
Vehicle Reimbursement
.00
ACCOUNT TOTAL
.00
.101-3002-451.51-03
Services & Supplies /
Mileage Reimbursement
.00
ACCOUNT TOTAL
.00
101-3002-451.51-31
Services & Supplies /
Postage
.00
ACCOUNT TOTAL
.00
101-3002-451.53-01
Services & Supplies /
Printing
.00
GM 00555 03/11 AP
08/26/10 0088821
DUNCAN PRINTING CO
76.83
8426
FACILITY SIGNS
ACCOUNT TOTAL
76.83
76.83
101-3002-451.53-03
Services & Supplies /
Membership Dues
.00
GM OU259 02/11 AP
05/19/10 0088461
CALIFORNIA PARKS & RECREA
135.00
11090
MEMBERSHIP
GM 00099 01/11 AP
06/30/10 0088328
MOTION PICTURE LICENSING
232.00
503659085
MEMBERSHIP
PREPARED _ _-7/2014, 10:19:00
Services & Supplies
GENERAL LEDGER ..— IVITY
LISTING
P--- 884
PROGRAM GM362LA
07/03/10 0088350
STAPLES
ADVANTAGE
CITY OF LA QUINTA, CALIFORNIA
3139038451
OFFICE
SUPPLIES
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
01/11
AP
07/08/10 0088350
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD DATE
---------------------------------------------------------------------------------------------7-------------------------------:------
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.53-03 Services
& Supplies
/ Membership Dues
GM 00259 02/11 AP 07/16/10
0088461
CALIFORNIA PARKS & RECREA
160.00
GM 01181
114023
AP
MEMBERSHIP
STAPLES
ADVANTAGE
GM OD605 03/11 AP 09/14/10
0088918
ACT 1
50.00
OFFICE
91410
GM 01181
MEMBERSHIP
AP
11/17/10 0090053
GM 00702 03/11 AP 09/22/10
0089062
NATIONAL RECREATION & PAR
145.00
120366
OFFICE
MEMBERSHIP
GM 01362
06/11
GM 01096 05/11 AP 11/01/10
0089818
NATIONAL COUNCIL ON THE A
145.00
10424
MEMBERSHIP
OFFICE
SUPPLIES
ACCOUNT TOTAL
101-3002-451.53-04 Services & Supplies / Subscriptions/Publication
GM 01096 05/11 AP•11/16/10 0089768 DESERT SUN
DS04648,15 SUBSCRIPTIONS
ACCOUNT TOTAL
101-3002-451.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-3002-451.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
101-3002-451.55-01 Advertising/Promo / Advertising
ACCOUNT TOTAL
101-3002-451.56-01
Services & Supplies
/ Office Supplies
GM 00157
01/11
AP
07/03/10 0088350
STAPLES
ADVANTAGE
3139038451
OFFICE
SUPPLIES
GM 00099
01/11
AP
07/08/10 0088350
STAPLES
ADVANTAGE
3139085872
OFFICE
SUPPLIES
GM 00784
04/11
AP
09/29/10 0089266
STAPLES
ADVANTAGE
3142827831
OFFICE
SUPPLIES
GM 01181
06/11
AP
11/16/10 0090053
STAPLES
ADVANTAGE
3145461014
OFFICE
SUPPLIES
GM 01181
06/11
AP
11/17/10 0090053
STAPLES
ADVANTAGE
3145481703
OFFICE
SUPPLIES
GM 01362
06/11
AP
12/03/10 0090229
STAPLES
ADVANTAGE
3146271835
OFFICE
SUPPLIES
GM 01457
07/11
AP
12/14/10 0090348
STAPLES
ADVANTAGE
314786632
OFFICE
SUPPLIES
867.00
211.63
211.63
95.86
59.21
137.85
254.06
82.70
95.55
93.73
867.00
.00
211.63
.00
.00
.00
.00
.00
.00
.00
PREPARED
_ __7/2014, 10:19:00
GENERAL LEDGER—_.IVITY
LISTING
P--- 885
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-3002-451.56-01
Services & Supplies /
Office Supplies
GM
01457
07/11
AP
12/22/10 0090348
STAPLES ADVANTAGE
8.65
3147105566
OFFICE SUPPLIES
GM
02316
10/11
AP
12/22/10 0091695
STAPLES ADVANTAGE
8.65
3147105565
RETURN CREDIT
GM
01560
07/11
AP
01/06/11 0090536
STAPLES ADVANTAGE
27.18
3147847347
OFFICE SUPPLIES
GM
01571
07/11
AP
01/13/11 0090536
STAPLES ADVANTAGE
77.51
3148169686
OFFICE SUPPLIES
GM
01571
0.7/11
AP
01/14/11 0090536
STAPLES ADVANTAGE
41.50
3148190753
OFFICE SUPPLIES
GM
01768
08/11
AP
01/25/11 0090900
STAPLES ADVANTAGE
73.40
3148746370
OFFICE SUPPLIES
GM
01787
08/11
AP
01/29/11 0090900
STAPLES ADVANTAGE
102.68
3149339836
OFFICE SUPPLIES
GM
02045
09/11
AP
03/03/11 0091253
STAPLES ADVANTAGE
41.50
315098847.1
RETURN CREDIT
GM
02136
10/11
AP
03/16/11 0091502
STAPLES ADVANTAGE
85.90
3151558584
OFFICE SUPPLIES
GM
02302
10/11
AP
04/07/11 0091695
STAPLES ADVANTAGE
52.24
•
3152835716
OFFICE SUPPLIES
ACCOUNT TOTAL
1,288.02
50.15
1,237.87
101-3002-451.56-02
Services & Supplies /
Operating Supplies
.00
GM
00023
01/11
AP
06/16/10 0088125
RALPHS CUSTOMER CHARGES
7.96
535706
LUNCHEON SUPPLIES
GM
00023
01/11
AP
06/16/10 0088125
RALPHS CUSTOMER CHARGES
47.93
535705
LUNCHEON SUPPLIES
GM
00353
02/11
AP
06/28/10 0088693
SMART & FINAL
261.76
53029
REFRESHMENTS
GM
00259
02/11
AP
07/01/10 0088498
RALPHS CUSTOMER CHARGES
218.49
616190
PATRIOT LUNCHEON
GM
00157
01/11
AP
07/14/10 0088323
MCDOWELL AWARDS
19.58
2010-2053
TROPHIES
GM
00784
04/11
AP
07/14/10 0089254
RINARD, ROBERT
425.00
111210
ENTERTAINMENT
GM
00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
747.67
3139807499
OFFICE SUPPLIES
GM
00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
100.05
3139807500
OFFICE SUPPLIES
GM
00259
02/11
AP
07/28/10 0088510
STAPLES ADVANTAGE
43.80
3139807501
OFFICE SUPPLIES
GM
00319
02/11
AP
07/28/10 0088669
OFFICE DEPOT
16.56
1238812804
OPERATING SUPPLIES
GM
00259
02/11
AP
07/29/10 0088510
STAPLES ADVANTAGE
3.14
3139824978
OFFICE SUPPLIES
GM
00346
02/11
AP
07/29/10 0088568
CAPITAL ONE COMMERCIAL
54.36
.
46392
OPERATING SUPPLIES
PREPARED
_ ,_7/2014, 10:19:00
GENERAL LEDGER — IVITY
LISTING
F--- 886
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.56-02
Services
& Supplies
/ Operating Supplies
GM
00346
02/11
AP
07/29/10
0088568
CAPITAL ONE COMMERCIAL
706.33
46477
BACK TO SCHOOL
GM
00272
01/11
AJ
07/31/10
AJE 01-011
REVERSE PREPAID ITEMS
19.58
GM
00319.
02/11
AP
08/02/10
0088669
OFFICE DEPOT
114.32
527799457001
BACK TO SCHOOL
GM
01096
05/11
AP
08/02/10
0089835
RINARD, ROBERT
425.00
8210
DANCE 12/10/10
GM
00353
02/11
AP
08/05/10
0088621
DESERT CITIES CATERING
1,087.50
10-230
LUNCHEON 9/16
GM
00319
02/11
AP
08/12/10
0088614
CAYGILL, DAVID L
400.00
910400
1ENTERTAINMENT
GM
00391
02/11
AP
08/16/10
0088729
WAL MART COMMUNITY
89.24
K501PD2MNE
BACK TO SCHOOL
CR
00399
02/11
CR
08/19/10
0001771
BOYS&GIRLS CLUB/SUPPLIES
1,942.43
DMARTIN 08/19/10 01
GM
00702
03/11
AP
08/19/10
0089007
DESERT CITIES CATERING
1,315.88
10-241
REFRESHMENTS
GM
00784
04/11
AP
08/19/10
0089185
DESERT CITIES CATERING
1,979.25
10-242
LUNCHEON MENU
GM
00514
03/11
AP
08/24/10
0088887
SMART & FINAL
33.25
3583410107290
REFRESHMENTS
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
33.40
904775
OPERATING SUPPLIES
GM
00522
03/11
AP
09/02/10
0088776
VILLEGAS, SERGIO ARTURO
150.00
1
ENTERTAINMENT
GM
00490
03/11
AP
09/03/10
0088801
CAYGILL, DAVID L
400.00
108400
ENTERTAINMENT FEE
GM
00624
03/11
AP
09/11/10
0089075
RALPHS CUSTOMER CHARGES
82.13
175360
REFRESHMENTS
GM
00605
03/11
AP
09/14/10
0088935
LA QUINTA BAKERY
50.00
648634
SR LUNCHEON
GM
00702
03/11
AP
09/16/10
0089102
WAL MART COMMUNITY
15.37
L801KSBBK4
ARTS & CRAFTS
GM
00931
04/11
AP
10/04/10
0089516
WAL MART COMMUNITY
- 113.20
M801QINFPG
OPERATING SUPPLIES
GM
00931
04/11
AP
10/04/10
0089499
CAPITAL ONE COMMERCIAL
23.98
'
57033
REFRESHMENTS
GM
01092
05/11
AP
10/04/10
0089839
SMART & FINAL
101.18
21875
REFRESHMENTS
GM
00784
04/11
AP
10/06/10
0089185
DESERT CITIES CATERING
195.75
10-281
EVENT MEALS
GM
00931
04/11
AP
10/08/10
0089499
CAPITAL ONE COMMERCIAL
49.95
52536
MENU-FOOD@DANCE
GM
01092
05/11
AP
10/08/10
0089839
SMART & FINAL
130.80
23234
LUNCHEON EVENT
GM
01097
05/11
AP
10/20/10
0089713
CAPITAL ONE COMMERCIAL
69.92
78832
REFRESHMENTS
GM
01161
05/11
AP
11/06/10
0089831
RALPHS CUSTOMER CHARGES
94.95
A19825
REFRESHMENTS
PREPARED
-.--7/2014, 10:19:00
GENERAL LEDGER ..-IVITY
LISTING
P—__ 887
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
-------------
FUND 101
--------------------------
General
Fund
-------------------------------------------
------------=-------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.56-02
Services
& Supplies
/ Operating Supplies
GM
01272
06/11
AP
11/08/10
0090049
SMART & FINAL
146.55
37266
MENU SUPPLIES
GM
01272
06/11
AP
11/12/10
0090049
SMART & FINAL
153.81
38978
MENU SUPPLIES
GM
01366
06/11
AP
11/12/10
0090217
RALPHS CUSTOMER CHARGES
23.91
340760
EVENT MENU
GM
01253
06/11
AP
11/15/10
0089914
MIMI'S CAFE LA QUINTA #13
1,200.15
10002
LUNCHEON 12/16
GM
01335
06/11
AP
11/23/10
0090113
MUSICIAN'S FRIEND
390.00
ARINV05011623
STAGE LIGHTS
GM
01253
06/11
AP
12/02/10
0089922
WELLS FARGO BUSINESS CARD
182.57
3072
VISA CARD PYMT
GM
01603
07/11
AP
12/1"0/10
0090522
RALPHS CUSTOMER CHARGES
103.13
488736
REFRESHMENT FOOD
GM
01368
06/11
AP
12/16/10
0090161
WAL MART COMMUNITY
70.44
NJO1QBSQVK
OPERATING SUPPLIES
GM
01368
06/11
AP
12/16/10
0090161
WAL MART COMMUNITY
274.32
PA011EEXHN
LUNCHEONS
GM
01547
07/11
AP
01/05/11
0090373
DESERT CITIES CATERING
59.81
11-032
LUNCHEON
GM
01514
07/11
AP
01/07/11
0090346
SILVERROCK RESORT
34.00
97829622
4TH QTR SALES TX
GM
01603
07/11
AP
01/07/11
0090531
SMART 8 FINAL
124.09
•
10150060
HOLIDAY LUNCHEON
GM
01547
07/11
AP
01/10/11
0090396
RINARD, ROBERT
425.00
8310
ENTERTAINMENT
GM
01547
07/11
AP
01/12/11
0090395
RALPHS
149.86
12011
LUNCHEON
GM
01547
07/11
AP
01/12/11
0090393
NORTH COAST MEDICAL INC
227.61
3794376
EXERCISE"MATERIALS
GM
01564
07/11
AP
01/12/11
0090456
CAYGILL, DAVID L
400.00
2111
ENTERTAINMENT
GM
01787
08/11
AP
01/13/11
0090888
RALPHS CUSTOMER CHARGES
95.25
201332
REFRESHMENTS
GM
01632
08/11
AP
01/18/11
0090689
MIMI'S CAFE LA QUINTA #13
748.96
9804
VALENTINE LUNCHEON
GM
02083
09/11
AP
01/21/11
0091179
DESERT CITIES CATERING
2,338.13
11-062
VOLUNTEER LUNCHEON
GM
02084
09/11
AP
02/07/11
0091248
SMART & FINAL
115.61
176444
LUNCHEON SUPPLIES
GM
02003
09/11
AP
02/10/11
0091087
MIMI'S CAFE LA QUINTA #13
809.59
5429
SP EVENT -ST PATRICKS
GM
01841
08/11
AP
02/16/11
0090938
WAL MART COMMUNITY
90.00
P0149WH4A
CONTESTANT PRIZES
GM
01841
08/11
AP
02/16/11
0090938
WAL MART COMMUNITY
123.11
1A01HEWB6P
LUNCHEON/OPERATING
GM
01787
08/11
AP
02/18/11
0090897
SMART 8 FINAL
212.61
3583410167541
LUNCHEON SUPPLIES
GM
02084
09/11
AP
02/26/11
0091237
RALPHS CUSTOMER CHARGES
94.18
PREPARED
_-7/2014, 10:19:00
GENERAL LEDGER .._.IVITY
.LISTING
P..__ 888
PROGRAM
GM362LA
CITY OF LA QUINTA,
CALIFORNIA
-----------------------------
FUND 101
General
Fund
-------------------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
----------------------------------------------------------------------------------------------------------------------------=-------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3002-451.56-02
Services
& Supplies
/ Operating Supplies
246374
REFRESHMENTS
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
29.78
5066951
OPERATING SUPPLIES•
GM
02003
09/11
AP
03/08/11
0091084
MACK, BLAINE
100.00
31711
ENTERTAINMENT
GM
02084
09/11
AP
03/10/11
0091199
HUME, VALERIE JEAN
425.00
40811
ENTERTAINMENT
GM
02083
09/11
AP
03/15/11
0091221
MCDOWELL AWARDS
256.65
2010-2776
VOLUNTEER AWARDS
GM
02127
09/11
AP
03/15/11
0091280
GRILL ON MAIN, THE
50.00
•
31511
VOLUNTEER -AWARDS
GM
02083
09/11
AP
03/16/11
0091221
MCDOWELL AWARDS
299.06
2010-2782
VOLUNTEERS LUNCHEON
GM
02288
10/11
AP
03/29/11
0091541
CAPITAL ONE COMMERCIAL
23.98
.40096
FITNESS WELLNESS
GM
02435
11/11
AP
03/29/11
0091865
SMART & FINAL
7.98
10100155
FITNESS WELLNESS
GM
02507
11/11
AP
04/07/11
0091854
RALPHS CUSTOMER CHARGES
89.08
311006307
REFRESHMENTS
.GM
02350
10/11
AP
04/08/11
0091641
HUME, VALERIE JEAN
425.00
51311
ENTERTAINMENT
--GM
02435
11/11
AP
04/14/11
0091865
SMART & FINAL
86.24
10106609
REFRESHMENTS
GM
02403
10/11
AP
04/16/11
0091741
WAL MART COMMUNITY
89.15
D0IBBJH4H
LUNCHEON SUPPLIES
GM
0-2306
10/11
AP
04/19/11
0091568
DESERT CITIES CATERING
1,776.98
11-062
VOLUNTEER LUNCHEON
GM
02311'
10/11
AP
04/20/11
0091179
DESERT CITIES CATERING
2,338.13
11-062
VOLUNTEER LUNCHEON
GM
02351
10/11
AP
04/21/11
0091653
LA QUINTA SOUPLANTATION
1,087.50
51911
DESERT COMP LUNCHEON
GM
02435
11/11
AP
04/27/11
0091827
LA QUINTA HIGH SCHOOL CUL
170.00
1272010
CULINARY ART SHOW
GM
02628
11/11
AP
04/28/11
0091971
CARROT -TOP INDUSTRIES INC
117.32
CI1117524
OPERATING SUPPLIES
GM
02513
11/11
AP
05/03/11
0091853
QUEEN'S TEA
648.00
106
MENU/REFRESHMENTS
GM
02789
12/11
AP
05/13/11
0092261
RALPHS CUSTOMER CHARGES
98.89
411007666
REFRESHMENTS
GM
02645
11/11
AP
05/16/11
0092116
WAL MART COMMUNITY
445.61
'
4501MBJSEV
OPERATING SUPPLIES
_
GM
02789
12/11
AP
05/17/11
0092276
SMART & FINAL
217.41
10122448
SUPPLIES
GM
02787
12/11
AP
06/07/11
0092275
SILVERROCK RESORT
10.00
97829622
MAY SALES TAX
GM
02808
12/11
AP
06/10/11
0092315
DESERT CITIES CATERING
831.94
11-225
HAWAIIAN LUNCHEON
GM
02998
12/11
AP
06/14/11
0092560
RALPHS CUSTOMER CHARGES
17.99
511008887
REFRESHMENT/FOOD
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING P..__ 889
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------=------------------------------------------------------------------
101-3002-451.56-02
Services & Supplies /
Operating Supplies
GM
03027
12/11
AP
06/14/11 0092738
SMART & FINAL
37.87•
3583410134757
REFRESHMENTS
GM
03010
12/11
AP
06/16/11 0092626
WAL MART COMMUNITY
19.58
4Q01S74715
SUPPLIES
GM
03027
12/11
AP
06/29/11 0092718
OFFICE DEPOT
28.11
1358480013
OPERATING SUPPLIES
GM
03027
12/11
AP
07/05/11 0092709
HUFCOR CALIFORNIA
2,830.00
M031411
OPERABLE WALL SR CTR
ACCOUNT TOTAL
28,439.09
101-3002-451.56-25 Services & Supplies / Software
ACCOUNT TOTAL
` 101-3002-451.56-27 Services & Supplies / Coffee
ACCOUNT TOTAL
101-3002-451.56-55 Services & Supplies / Small Tools/Equip
GM 02177 10/11 AP 03/29/11 0091299 CALDERON, CHRISTINA 37.05
REIMB BATTERIES
GM 02288 10/11 AP 04/01/11 0091560 WELLS FARGO BUSINESS CARD 89.89
3072 VISA CARD PYMT
ACCOUNT TOTAL 126.94
101-3002-451.71-01 Capital Purchases / Machinery & Equipment
GM 00157 01/11 AP 07/03/10 0088350 STAPLES ADVANTAGE 259.16
3139038445 COMPUTER LAB
ACCOUNT TOTAL 259.16
101-3002-451.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-3002-451.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-3002-451.72-10 Buildings / Capital -Buildings
4,280.56
24,158.53
.00
.00
.00
.00
.00
126.94
.00
259.16
.00
.00
.00
.00
.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING F..__ 890
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101;3002-451.72-10 Buildings / Capital -Buildings
101-3003-451.10-03 Salaries & Wages / Salaries - Part Time .00
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY 1,347.51
ACCOUNT TOTAL
.00
101-3002-451.80-04
Other /
Contributions
.00
ACCOUNT TOTAL
.00
101-3002-451.92-11
Other Charges / Fleet
Maint Program Chrgs
.00
ACCOUNT TOTAL
.00
101-3003-451.10-01
Salaries
& Wages / Permanent Full Time
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
2,115.06
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
1,692.02
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
2,115.06
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
2,115.06
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
2,115.06
PR
00435.
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
2,115.06
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
2,115.06
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
2,115.06
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
2,115.07
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
2,115.07
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
2,115.07
PR
01137
05/11•
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
2,115.07
OR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
2,115.06
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
2,115.07
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
2,613.02
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
2,159.06
PR
01646
08/11
AJ
02/04/•11
PR0204
PAYROLL
SUMMARY
2,159.05
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
2,159.06
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
2,159.05
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
2,159.06
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
2,159.06
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
2,159.06
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
2,159.06
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
2,159.05
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
2,159.06
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
2,159.04
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
2,159.05
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
1,943.20
ACCOUNT TOTAL
57,960.71 1,692.02
56,268.69
101-3003-451.10-03 Salaries & Wages / Salaries - Part Time .00
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY 1,347.51
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PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .- IVITY LISTING F..__ 893
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING'
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3003-451.20-02
PR
00911
04/11
AJ
PR
01060
05/11
AJ
PR
01137
05/11
AJ
PR
01249
06/11
AJ
PR
01364
06/11
AJ
PR
02418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02348
10/11
AJ
PR
02524'
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
PR
02867
12/11
AJ
OR
02947
12/11
AJ
Employee Benefits
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
04/29/11 PR0429
05/13/11 PR0513
05/27/11 PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ PERS-Employee Portion
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL•SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
101-3003-451.20-03 Employee Benefits / PERS-Survivor Benefits
101-3003-451.21-01
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00196 02/11 AJ
PR 09342 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 -AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01137 05/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
07/23/10 PR0723
08/06/10 PR0806
08/06/10 PR0806
08/20/10 PR0820
08/20/10 PR0B20
09/03/10 PR0903
09/03/10 PR0903
09/17/10 PR0917
09/17/10 PR0917
10/01/10 PR1001
10/01/10 PR1001
10/15/10 PR1015
10/15/10 PR1015
11/12/10 PR1112
11/12/10 PR1112
11/24/10 PR1124
11/24/10 PR1124
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
169.20
169.20
169.20
169.20
169.20
174.49
172.72
172.72
172.72
172.72
172.72
172.72
172.72
172.72
172.72
172.72
172.72
172.72
155.45
4,602.18
497.46
497.46
497.46
497.46
497.46
497.46
497.46
497.46
497.46
497.46
135.36
398.87
.83-
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L68 ""'d 9NI1SI1 AlIAT — b39031 1Vb3N39 00:61:01 `4102/L-'"- 03bVd3bd
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER mV,IVITY
LISTING
Phuc 898
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER ' D E
S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.27-03
Other Benefits & Deduc.•/
Social
Security -Medicare
PR
OD196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
47.58
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
52.57
PR
00383
02/11
AJ
08/23/10
PROB31
PAYROLL
SUMMARY
.82
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
45.57
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
53.40
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
57.22
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
53.11
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
58.58
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
55.14
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
59.67
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
55.60
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
59.21
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
48.91
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
59.30
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
55.47
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
59.63
PR
01840
08/11
AJ
02/18/11
PR0228
PAYROLL
SUMMARY
.43
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
51.55
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
58.40
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
56.14
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
51.39
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
57.73
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
59.70
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
58.62
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
52.09
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
50.61
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
45.31
ACCOUNT TOTAL
1,464.00 40.17
1,423.83
101-3003-451.27-05
Other Benefits & Deduc.
/ Social
Security -FICA
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
83.56
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
66.84
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
82.85
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
72.32
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
93.63
PR
00383
02/11
AJ
08/23/10
PROB31
PAYROLL
SUMMARY
3.49
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
63.77
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
97.20
PR
00685
.04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
113.56
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
95.91
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
119.32
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
103.10
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
124.05
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
106.59
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
122.09
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
47.15
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
119.64
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING PMOM 899
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3003-451.27-05 Other Benefits & Deduc.
PR 01646 08/11 AJ 02/04/11 PR0204
PR 01783 08/11 AJ 02/18/11 PR0218
PR 01840 08/11 AJ 02/18/11 PR0228
PR 01904 09/11 AJ 03/04/11 PR0304
PR 02016 09/11 AJ 03/18/11 PR0318
PR 02151 10/11 AJ 04/01/11 PR0401
PR 02253 10/11 AJ 04/15/11 PR0415
PR 02348 10/11 AJ 04/29/11 PR0429
PR 02524 11/11 AJ 05/13/11 PR0513
PR 02625 11/11 AJ 05/27/11 PR0527
PR 02733 12/11 AJ 06/10/11 PR0610
PR 02867 12/11 AJ 06/24/11 PR0624
PR 02947 12/11 AJ 07/08/11 PR0708
ACCOUNT TOTAL
/ Social Security -FICA
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
101-3003-451.30-03 Contract Services / Technical
ACCOUNT TOTAL
101-3003-451.33-43 Contract Services /
GM 00275 02/11 AP 07/02/10 0088465
3655
GM 00023 01/11 AP 07/07/10 0088129
320716-3
GM 00023 01/11 AP 07/07/10 0088099
321003-2
GM 00023 01/11 AP 07/07/10 0088094
320710-6
GM 00023 01/11 AP 07/07/10 0088060
320718-1
GM 00023 01/11 AP 07/07/10 0088052
321310-6
GM 00023 01/11 AP 07/07/10 0088011
320704-6
GM 00023 01/11 AP 07/07/10 0088005
350406-4
GM 00023 01/11 AP 07/08/10 0088099
321001-3
GM 00157 01/11 AP 07/22/10 0088285
321310-7
GM 00157 01/11 AP 07/22/10 0088295
320718-2
GM 00157 01/11 AP 07/22/10 0088255
320709-2
GM OD157 01/11 AP 07/22/10 0088256
320704-7/7A
Instructors
COACHELLA VALLEY SECURITY
INSTRUCTOR FINGERPRINT
RASHMI-GRAFF, CHARLOTTE
INSTRUCT PYMT
MOLLINDO, RICK
INSTRUCT PYMT
MARTIN, PANDARA
INSTRUCT PYMT
GOLDNER, ELISE
INSTRUCT PYMT
DUCHENE, GERALD
INSTRUCT PYMT
ARIDA, NEAL
INSTRUCT PYMT
AIKEN, PATRICIA
INSTRUCT PYMT
MOLLINDO, RICK
INSTRUCT PYMT
DUCHENE, GERALD
INSTRUCTOR PYMT
GOLDNER, ELISE
INSTRUCTOR PYMT
ARCHER, LORI
INSTRUCTOR PYMT
ARIDA, NEAL
INSTRUCTOR PYMT
103.37
121.10
1.83
86.55
115.85
106.14
85.87
112.94
121.37
116.79
88.82
82.51
73.22
2,664.59
47.00
364.00
42.00
469.00
191.10
42.00
189.00
42.00
210.00
42.00
218.40
672.00
157.50
66.84
2,597.75
.00
.00
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.IVITY
LISTING
P-.1 900
PROGRAM
GM362LA
CITY OF
-----------------------------------------------------------------------------------------------------------------------------------=
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
- --TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.33-43
Contract
Services
/ Instructors
GM
00157
01/11
AP
07/22/10
0088321
MARTIN, PANDARA
462.00
320710-7
INSTRUCTOR PYMT
GM
00299
02/11
AP
07/22/10
0088542
MARTIN, PANDARA
462.00
320710-7
INSTRUCTOR PYMT
GM
OD555
03/11
AP
07/29/10
0088805
COACHELLA VALLEY SECURITY
45.00
3666
INSTRUCTOR TESTING
GM
00259
02/11
AP
08/04/10
0088499
RASHMI-GRAFF, CHARLOTTE
273.00
320716-4
INSTRUCTOR PYMT
GM
00259.
02/11
AP
08/04/10
0088484
MOLLINDO, RICK
70.00
321001-4
INSTRUCTOR PYMT
GM
00306
02/11
AP
08/12/10
0088321
MARTIN, PANDARA
462.00
320710-7
INSTRUCTOR PYMT
GM
00353
02/11
AP
08/18/10
0088687
RODRIGUEZ, JONATHAN
42.00
321310-8
INSTRUCTOR PYMT
GM
00353
02/11
AP
08/18/10
0088661
MARTIN, PANDARA
266.00
320710-8
INSTRUCTOR PYMT
GM
00353
02/11
AP
08/18/10
0088636
GOLDNER, ELISE
109.20
320718-3
INSTRUCTOR PYMT
GM
00353
02/11
AP
08/18/10
0088609
ARIDA, NEAL
157.50
•
320704-8/8A
INSTRUCTOR PYMT
GM
00555
03/11
AP
08/27/10
0088805
COACHELLA VALLEY SECURITY
47.00
3689
INSTRUCTOR TESTING
GM
00702
03/11
AP
09/22/10
0089056
MOLLINDO, RICK
175.00
221001-1
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0089082
RODRIGUEZ, JONATHAN
42.00
221310-1
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0089050
MARTIN, PANDARA
462.00
220710-9
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0089031
JACOBS, STEVEN
252.00
220901-1A
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0089022
GUMMER, BRAD
318.50
220902-1
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0089021
GILMORE-KIPHART, KIRSTEN
346.50
VARIOUS
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0088999
CASSEL, LLORA
140.00
240805-1
INSTRUCTOR PYMT
GM
00702
03/11
AP
09/22/10
0088985
ARIDA, NEAL
94.50
220704-01
INSTRUCTOR PYMT
GM
00823
04/11
AP
10/07/10
0089231
MARTIN, PANDARA
315.00
220710-10
INSTRUCTOR PYMT
GM
00823
04/11
AP
10/07/10
0089160
ARIDA, NEAL
157.50
220704-02
INSTRUCTOR PYMT
GM
00823
04/11
AP
10/07/10
0089160
ARIDA, NEAL
31.50
220704-01
INSTRUCTOR PYMT
GM
00823
04/11
AP
10/07/10
0089201
GILMORE-KIPHART, KIRSTEN
31.50
220812-1
INSTRUCTOR PYMT
GM
00823
04/11
AP
10/07/10
0089159
ARCHER, LORI
728.00
220709-1
INSTRUCTOR PYMT
GM
00876
04/11
AP
10/14/10
0089350
GOLDNER, ELISE
327.60
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER–_.IV'ITY
LISTING
P— 901
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.33-43
Contract
Services
/ Instructors
220718-1
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089457
PLATAMONE, CHRISTOPHER
318.50
221302-2
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089440
MARTIN, PANDARA
21.00
220710-10
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089461
RASHMI-GRAFF, CHARLOTTE
182.00
220716-2
INSTRUCTOR PYMT
GM
00913
04/11
AP
10/20/10
0089414
GOLDNER, ELISE
491.40
VARIOUS
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/03/10
0089631
RASHMI-GRAFF, CHARLOTTE
45.50
220716-2
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/03/10
0089607
MARTIN, PANDARA
570.50
220710-13
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/03/10
0089610
MOLLINDO, RICK
560.00
VARIOUS
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/03/10
0089581
GUMMER, BRAD
637.00
VARIOUS
INSTRUCTOR PYMT
GM
01046
05/11
AP
11/03/10
0089556
CASSEL, LLORA
224.00
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089749
ARIDA, NEAL
315.00
220704-03
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089812
MARTIN, PANDARA
227.50
220710-11
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089799
JACOBS, STEVEN
189.00
220901-2A
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089787
GOLDNER, ELISE
168.00
220719-2
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089787
GOLDNER, ELISE
300.30
220718-3
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089786
GILMORE-KIPHART, KIRSTEN
189.00
VARIOUS
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089821
OAKES, JOSEPH A
84.00
220601-2
INSTRUCTOR PYMT
GM
01159
05/11
AP
11/16/10
0089833
RASHMI-GRAFF, CHARLOTTE
45.50
220716-3
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/08/10
0089933
ARIDA, NEAL
31.50
'
220704-03
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/08/10
0089973
GILMORE-KIPHART, KIRSTEN
63.00
220810-2
INSTRUCTOR PYMT
GM
01264
06/11
AP
12/08/10
0090009
MARTIN, PANDARA
35.00
220710-11
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10
0090171
ARIDA, NEAL
220.50
220704-04
INSTRUCTOR PYMT
GM
01366
06/11
AP
12/20/10
0090193
GOLDNER, ELISE
491.40
VARIOUS
INSTRUCTOR PYMT
GM
01564
07/11
AP
01/06/11
0090495
JACOBS, STEVEN
189.00
220901-2B
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090448
ARIDA, NEAL
94.50
220704-05
INSTRUCTOR PYMT
PREPARED
—.17/2014,
10:19:00
GENERAL LEDGER ..-.IVITY
LISTING
P— 902
PROGRAM
GM362LA
'
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.33-43
Contract
Services /
Instructors
GM
01571
07/11
AP
01/19/11
0090480
GILMORE-KIPHART, KIRSTEN
504.00
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090481
GOLDNER, ELISE
218.40
VARIOUS
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090481
GOLDNER, ELISE
109.20
220719-4
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090485
GUMMER, BRAD
273.00
220906-3
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090506
MARTIN, PANDARA
427.00
220710-1
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090523
RASHMI-GRAFF, CHARLOTTE
91.00
220716-3
INSTRUCTOR PYMT
GM
01571
07/11
AP
01/19/11
0090510
MOLLINDO, RICK
385.00
VARIOUS
INSTRUCTOR PYMT
GM
01703
08/11
AP
02/02/11
0090662
GUMMER, BRAD
45.50
220906-3
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0091020
MARTIN, PANDARA
469.00
220710-2
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0090985
CASSEL, LLORA
112.00
240805-4
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0091005
GILMORE-KIPHART, KIRSTEN
161.00
VARIOUS
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0091006
GOLDNER, ELISE
318.50
•
VARIOUS
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0090976
ARCHER, LORI
336.00
220709=2
INSTRUCTOR PYMT
GM
01951
09/11
AP
03/02/11
0090977
ARIDA, NEAL
126.00
220704-06
INSTRUCTOR PYMT
GM
02083
09/11
AP
03/16/11
0091161
ARIDA, NEAL
63.00
320704-1
INSTRUCTOR PYMT
GM
02083
09/11
AP
03/16/11
0091194
GOLDNER, ELISE
436.80
VARIOUS
INSTRUCTOR PYMT
GM
02083
09/11
AP
03/16/11
0091217
MARTIN, PANDARA
539.00
320710-3
INSTRUCTOR PYMT
GM
02251
•10/11
AP
04/05/11
0091424
GUMMER, BRAD
98.00
320903-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091484
RASHMI-GRAFF, CHARLOTTE
227.50
320716-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091468
OAKES, JOSEPH A
210.00
320601-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091477
PLATAMONE, CHRISTOPHER
462.00
321302-1
INSTRUCTOR PYMT
GM
02251
10/1.1
AP
04/06/11
0091459
MOLLINDO, RICK
280.00
321001-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091459
MOLLINDO, RICK
63.00
321003-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091456
MARTIN, PANDARA
63.00
320710-3
INSTRUCTOR PYMT
GM
02251
10/11
AP•
04/06/11
0091437
JACOBS, STEVEN
378.00
PREPARED
- .-7/2014,
10:19:00
GENERAL LEDGER ..— IVITY
.LISTING
P— 903
PROGRAM
GM362LA
CITY OF
•------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-3003-451.33-43
Contract
Services
/ Instructors
320901-1B
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091421
GILMORE-KIPHART, KIRSTEN
253.40 '
VARIOUS
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091422
GOLDNER, ELISE
36.40
320718-111
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091422
GOLDNER, ELISE
9.10
320719-11)
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091424
GUMMER, BRAD
227.50
320902-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091424
GUMMER, BRAD
136.50
320908-1
INSTRUCTOR PYMT
GM
02251
10/11
AP
04/06/11
0091426
HEDGECOCK, JOSHUA
175.00
320720-1
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091718
ZACARIAS, MELISSA
140.00
320817-1
INSTRUCTOR PYMT-
GM
02346
10/11
AP
04/20/11
0091599
ARIDA, NEAL
63.00
320704-2
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091631
GILMORE-KIPHART, KIRSTEN
317.10
320810-1
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091632
GOLDNER, ELISE
464.10
VARIOUS
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091647
JACOBS, STEVEN
189.00
320901-2B
INSTRUCTOR PYMT
GM
02346
10/11
AP
04/20/11
0091660
MARTIN, PANDARA
483.00
320710-4
INSTRUCTOR PYMT
GM
02507
11/11
AP
05/04/11
0091837
MOLLINDO, RICK
350.00
321004-1
INSTRUCTOR PYMT
GM
02507
11/11
AP
05/04/11
0091816
HEDGECOCK, JOSHUA
87.50
320720-2
INSTRUCTOR PYMT
GM
02513
11/11
AP
05/04/11
0091860
RODRIGUEZ, BELINDA REYNA
14.00
320821-1
INSTRUCTOR PYMT
GM
02628
11/11
AP
05/19/11
0092045
RASHMI-GRAFF, CHARLOTTE
91.00
320716-2
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0092069
ZACARIAS, MELISSA
140.00
320817-2
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0091965
ARIDA, NEAL
63.00
320704-03
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0091999
GILMORE-KIPHART, KIRSTEN
126.00
320812-2
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0091999
GILMORE-KIPHART, KIRSTEN
252.00
'
320810-2
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0092000
GOLDNER, ELISE
300.30
VARIOUS
INSTRUCT PYMT
GM
02628
11/11
AP•05/19/11
0092003
GUMMER, BRAD
455.00
320906-1
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0092005
HEDGECOCK, JOSHUA
87.50
320720-03
INSTRUCT PYMT
GM
02628
11/11
AP
05/19/11
0092027
MARTIN, PANDARA
413.00
320710-5
INSTRUCT PYMT
I
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER--.IVITY
LISTING
Phuc 904.
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
••
GROUP ACCTG
----TRANSACTION----
/ENDING•
APP NUMBER PER.
------------ ---------------------
CD
DATE
NUMBER
----------
D E S C R I P T I O N
----------- -------------------------
DEBITS CREDITS
--------------- ----------------------
BALANCE
----------------
101-3003-451.33-43
Contract
Services /
Instructors
GM
02628
11/11
AP
05/19/11
0092033
OAKES, JOSEPH A
126.00
320601-2
INSTRUCT PYMT
GM
02702
12/11
AP
05/31/11
0092135
ZACARIAS, MELISSA
56.00
53345
INSTRUCTOR PYMT
GM
02787
12/11
AP
06/08/11
0092212
GUMMER, BRAD
147.00
320910-2
INSTRUCTOR PYMT
GM
02787
12/11
AP
06/08/11
0092262
RASHMI-GRAFF, CHARLOTTE
91.00
320716-2
INSTRUCTOR PYMT
GM
02787
12/11
AP
06/08/11
0092210
GOLDNER, ELISE
9.10
320719-31)
INSTRUCTOR PYMT
GM
02787
12/11
AP
06/08/11
0092212
GUMMER, BRAD
273.00
320909-1
INSTRUCTOR PYMT
GM
02787
12/11
AP
06/08/11
0092170
ARIDA, NEAL
31.50
320704-3
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092350
ARIDA, NEAL
94.50
320704-4
INSTRUCTOR PYMT `
GM
02871
12/11
AP
06/21/11
0092406
ROJAS TKD
105.00
321317-S1
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092406
ROJAS TKD
472.50
321317-1
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092406
ROJAS TKD
11081.50
321316-1
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092406
ROJAS TKD
661.50
321315-1
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092390
MARTIN, PANDARA
203.00
320710-6
INSTRUCTOR PYMT
GM
02871
12/11
AP
06/21/11
0092375
GOLDNER, ELISE
445.90
•
VARIOUS
INSTRUCTOR PYMT
GM
03024
12/11
AP
07/06/11
0092734
ROJAS TKD
31.50
321316-1
INSTRUCTOR PYMT
GM
03024
12/11
AP
07/06/11
0092734
ROJAS TKD
31.50
321315-1
INSTRUCTOR PYMT
GM
03024
12/11
AP
07/06/11
0092733
RODRIGUEZ, BELINDA REYNA
21.00
320822-4
INSTRUCTOR PYMT
GM
03024
12/11
AP
07/06/11
0092749
ZACARIAS, MELISSA
107.24
320817-3
INSTRUCTOR PYMT
ACCOUNT
TOTAL
28,992.44 462.00
28,530.44
101-3003-451.33-45
Contract
Services /
Credit Card Fees
.00
GM
00345
01/11
AJ
07/31/10
JE 01-041
JUL110 CRDT CRD BANK CHRG
75.86
GM
00274
02/11
AP
08/05/10
0088494
PLUG & PAY TECHNOLOGIES I
20.00
9172512698
JUL-CC FEE
GM
00590
02/11
AJ
08/31/10
JE 02-041
AUG110 CRDT CRD BANK CHRG
88.78
GM
00490
03/11
AP
09/02/10
0088868
PLUG & PAY TECHNOLOGIES I
20.00
21420608697
AUG -CC FEES
GM
00782
03/11
AJ
09/30/10
JE 03-048
SEP110 CRDT CRD BANK CHRG
85.82
GM
00823
04/11
AP
10/06/10
0089247
PLUG & PAY TECHNOLOGIES I
20.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER n_.IVITY
LISTING
PM_ 905
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101,-3003-451.33-45
Contract Services / Credit Card
Fees
SEP110
CREDIT
CARD FEES
GM 01047
04/11
AJ
10/31/10 JE 04-044
OCT110
CRDT CRD BANK CHRG
161.18
GM 01159
05/11
AP
11/05/10 0089826
PLUG &
PAY TECHNOLOGIES I
20.00
1015005058
OCT -CC
FEES
GM 01252
05/11
AJ
11/30/10 JE 05-040
N0V110
CRDT CRD BANK CHRG•
118.32
GM 01264
06/11
AP
12/03/10 0090029
PLUG &
PAY TECHNOLOGIES I
20.00
140503408F
CREDIT
CARD FEES
GM 01538
06/11
AJ
12/31/10 JE 06-049
DEC110
CRDT CARD BNK CHRG
95.61
GM 01514
07/11
AP
01/05/11 0090330
PLUG &
PAY TECHNOLOGIES I
20.00
320420707
DEC -CC
FEES
GM 01766
07/11
AJ
01/31/11 JE 07-047*
JAN'll
CRDT CARD BNK CHRG
79.46
GM 01704
08/11
AP
02/02/11 0090700
PLUG &
PAY TECHNOLOGIES I
20.00
2194837042
CREDIT
CARD FEES
GM 01983'
08/11
AJ
02/28/11 JE 08-045
FEB'll
CRDT CRD BANK CHRG
128.25
GM 04951
09/11
AP
03/02/11 0091036
PLUG &
PAY TECHNOLOGIES I
20.00
2475436586
CC PROCESSING
FEE
GM 02244
09/11
AJ
03/31/11 JE 09-067
MAR'll
CRDT CRD BANK CHRG
104.14
GM 02251
10/11
AP
04/05/11 0091478
PLUG &
PAY TECHNOLOGIES I
20.00
234629172
CREDIT
CARD FEES
GM 02508
10/11
AJ
04/30/11 JE 10-039
APR'll
CRDT CRD BANK CHRG
262.54
GM 02507
11/11
AP
05/03/11 0091850
PLUG &
PAY TECHNOLOGIES I
20.00
1234414669
APR -CREDIT
CARD FEE
GM 02727
11/11
AJ
05/31/11 JE 11-038
MAY'll
CRDT CRD BANK CHRG
135.42
GM 02789
12/11
AP
06/07/11 0092255
PLUG &
PAY TECHNOLOGIES I
20.00
550325683
MAY -CC
FEE
GM 03015
12/11
AJ
06/30/11 JE 12-053
JUN'l1
CRDT CRD BANK CHRG
199.04
GM 03027
12/11
AP
07/05/11 0092724
PLUG &
PAY TECHNOLOGIES I
20.00
2243912397
JUN -CREDIT
CARD FEE
•
ACCOUNT TOTAL
1,774.42
1,774.42
101-3003-451.33-46
Contract Services / Umpires/Referees
.00
ACCOUNT TOTAL
.00
101-3003-451.33-47
Contract Services / Fitness Cent
Maintenance
.00
ACCOUNT TOTAL
.00
101-3003-451.43-31
Other Services / Maint.-Fire extinguishers
.00
'
ACCOUNT TOTAL
.00
101-3003-451.44-01
Rental Services / Equipment rental
.00
ACCOUNT TOTAL
.00
PREPARED _ ._7/2014, 10:19:00 GENERAL LEDGER .,_.IVITY LISTING F--- 906
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3003-451.44-04 Rental Services / Facility Rent
ACCOUNT TOTAL
101-3003-451.51-01 Services & Supplies / Travel & Training
ACCOUNT TOTAL
101-3003-451.51-02 Services & Supplies / Vehicle Reimbursement
ACCOUNT TOTAL
101-3003-451.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-3003-451.51-33
Services
& Supplies
/ Special Events
GM
00581
03/11
AP
04/24/10
0088795
C V ICE COMPANY INC
65.25
359331
ICE FOR EVENT
GM
00157
01/11
AP
05/20/10
0088259
BELLATRIX AT THE CLASSIC
375.06
82810
DINNER BUFFET
GM
00259
02/11
AP
07/15/10
0088468
DESERT FOUNTAIN GAS SUPPL
8.00
130533
SP EVENT -SUPPLIES
GM
00275
02/11
AP
07/16/10
0088490
ORIENTAL TRADING COMPANY
232.21
63930114601
SAFETY FUN FAIR
GM
00275
02/11
AP
07/27/10
0088472
ESPINOZA, DAVID C.
245.00
555
SAFETY FUN FAIR
GM
00490
03/11
AP
08/15/10
0088816
DESERT FOUNTAIN GAS SUPPL
8.00
131017
HELIUM RENTAL
GM
00437
03/11
AP
08/24/10
0088835
J L ENDICOTT
324.29
6315
GLF TOUR PLQS
GM
00391
02/11
AP
08/25/10
0088717
LUMPY'S
378.40
181211
GLF BQT PRIZES
GM
00391
02/11
AP
08/25/10
0088712
BELLATRIX AT THE CLASSIC
937.64
82810
GOLF BANQUET
GM
00514
03/11
AP
08/27/10
0088893
STAPLES ADVANTAGE
52.98
3141206586
SP EVENT SUPPLIES
GM
00581
03/11
AP
09/09/10
0088885
SILVERROCK RESORT
39.00
97829622
AUG110 SALES TAX
GM
00702
03/11
AP
09/13/10
0089068
ORIENTAL TRADING COMPANY
123.79
64011243701
SP EVENT -HALLOWEEN
GM
00823
04/11
AP
09/15/10
0089188
DESERT FOUNTAIN GAS SUPPL
8.00
131497
-
RENT -SP EVENT
GM
OD931
04/11
AP
09/15/10
0089516
WAL MART COMMUNITY
81.16
LNOOYWJSKD
SP EVENT -DISC GLF
GM
00624
03/11
AP
09/21/10
0089014
ESPINOZA, DAVID C.
110.00
.00
.00
.00 .
.00
.00
.00
.00
.00
.00 .
PREPARED
__'7/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
PM.m 907
PROGRAM
GM362LA
.
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.51-33
Services
& Supplie's
/ Special Events
92510
SP EVENT -KIDS DAY
GM
00712
04/11
AP
09/23/10
0089197
ESPINOZA, DAVID C.
215.00
102910
SP EVENT -HALLOWEEN
GM
Op725
04/11
AP
09/23/10
0089197
ESPINOZA, DAVID C.
110.00
102310
B&G EVENT
GM
00931
04/11
AP
09/29/10
0089516
WAL MART COMMUNITY
81.56
M4018GWQHF
BATT -MOBILE STAGE
GM
00931
04/11
AP
09/29/10
0089516
WAL MART COMMUNITY
94.38
M4018G65RL
SP EVENT -HALLOWEEN
CR
00803
04/11
CR
10/06/10
0004089
GOLF TOUR/BUQT 101-300345
62.51
MMENDOZA 10/06/10 01
GM
00784
04/11
AP
10/06/10
0089231
MARTIN, PANDARA
171.00
252
SP EVENT=ZUMBAWEEN
GM
00784
04/11
AP
10/07/10
0089264
SILVERROCK RESORT
17.00
97829622
1ST QTR SALES TAX
GM
00860
04/11
AP
10/12/10
0089379
BMI
305.00
LI -09/09 -LGE
BMI MUSIC LIC
GM
01048
05/11
AP
10/15/10
0089570
DESERT FOUNTAIN GAS SUPPL
8.00
•
131981
HELIUM RENTAL
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
47.83
907459•
SP EVENT -HALLOWEEN
GM
01210
06/11
AP
10/28/10
0089895
WAL MART COMMUNITY
165.14
Z598EA
SP EVENT -HALLOWEEN
GM
00944
.04/11
AJ
10/31/10
AJE 04-029
RECL INVOICE -FIRE DEDICA
110.00
GM
01048
05/11
AP
11/03/10
0089652
SILVERROCK RESORT
20.00
97829622
OCT110 SALES TAX
GM
01096
05/11
AP
11/05/10
0089824
ORIENTAL TRADING COMPANY
215.82
64132504001
SP EVENT -TREE LIGHTING
GM
01159
05/11
AP
11/15/10
0089778
ESPINOZA, DAVID C.
215.00
12310
SP EVENT -TREE LIGHTING
GM
01264
06/11
AP
11/15/10
0089960
DESERT FOUNTAIN GAS SUPPL
8.00
132483
HELIUM RENTAL
GM
01262
06/11
AP
11/17/10
0090022
OFFICE DEPOT
118.33
•
541310616001
EVENT SUPPLIES
GM
01210
06/11
AP
11/18/10
0089873
CAPITAL ONE COMMERCIAL
90.70
64510
SP EVENT -TRAIL DAYS
GM
01253
06/11
AP
11/22/10
0089915
MINT CLEANERS
53.90
234-180
SANTA SUIT
GM
01264
06/11
AP
11/23/10
0089943
CARDIFF TRANSPORTATION
621.00
383285
TRAILS DAY TRNS
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
101.07.
907887
SP EVERT -TRAILS DAY
GM
01253
06/11
AP
12/02/10
0089922
WELLS FARGO BUSINESS CARD
90.81
3072
VISA CARD PYMT
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
35.00
97829622
NOV110 SALES TAX
GM
01362
06/11
AP
12/11/10
0090229
STAPLES ADVANTAGE -
32.40
3146764161
BKFST W/SANTA
GM
01355
06111
AP
12/13/10
0090086
CASH/PETTY CASH
52.50
PREPARED
----7/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P___ 908
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
'
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING'
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------------------------------=----------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.51-33
Services & Supplies
/ Special Events
121310
PETTY CASH REIMB
GM
01368
06/11
AP
12/16/10 0090161
WAL MART COMMUNITY
43.24
P301S2D4HQ
SUPPLIES
GM
01368
06/11
AP
12/16/10 0090161
WAL MART COMMUNITY
96.52
P101RHDHFM
EVENT -TREE LIGHTING
GM
01420
07/11
AP
12/25/10 0090263
LOWE'S HOME IMPROVEMENT W
75.19
966425
SP EVENT -TREE LIGHTING
GM
01571
07/11
AP
12/30/10 0090535
SPRINGFIELD WORKSHOP INC
786.17
S3032
EVENT -EASTER EGGS
GM
01547
07/11
AP
01/03/11 0090411
WELLS FARGO BUSINESS CARD
60.22
3072
VISA CARD PYMT
GM
01603
07/11
AP
01/07/11 0090531
SMART & FINAL
366.24
10149876
BRKFST W/ SANTA
GM
01704
08/11
AP
01/15/11 0090646
DESERT FOUNTAIN GAS SUPPL
8.00
133479
HELIUM RENTAL
GM
01629
07/11
AP
01/16/11 0090585
WAL MART COMMUNITY
43.24
PK017HVX6A
RETURN CREDIT
GM
01629
07/11
AP
01/16/11 0090585
WAL MART COMMUNITY
21.72
PH017HVX64
SP EVENT-BRKFST W SANTA
GM
01713
08/11
AP
01/24/11 0090656
ENCHANTED MEMORIES PARTIE
450.00
•
22611
EVENT -YOUTH FESTIVAL
GM
02248
10/11
AP
01/24/11 0091410
ENCHANTED MEMORIES PARTIE
140.00
12411
EGG HUNT EVENT
GM
01757
08/11
AP
01/27/11 0090749
CAPITAL ONE COMMERCIAL
17.39
73331
EVENT -TIE DOWNS
GM
01692
08/11
AP
02/02/11 0090596
FUN SERVICES
11000.00
21239
YOUTH FESTIVAL
GM
01704
08/11
AP
02/02/11 0090711
SILVERROCK RESORT
68.00
97829622
JAN SALES TAX
GM
01804
08/11
AP
02/02/11 0090848
GRAINGER
228.52
9452637078
NEW EVENTS
GM
02468
11/11
AP
03/01/11 0091759
GUILLERMO, TONY
300.00
1111
LQ PICNIC
GM
02251
10/11
AP
03/15/11 0091400
DESERT FOUNTAIN GAS SUPPL
8.00
134485
HELUIM RENTAL
GM
02177
10/11
AP
03/17/11 0091314
CAPITAL ONE COMMERCIAL
66.74
11442
EVENT -ARTIST
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
139.96
960777
EVENT SUPPLIES
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
58.55
920579
EVENT SUPPLIES
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
28.10
920231
RETURN CREDIT
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
48.22
907811
EVENT SUPPLIES
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
9.57
904894
EVENT SUPPLIES
GM
02351
10/11
AP
04/07/11 0091673
ORIENTAL TRADING COMPANY
80.90
64396202701
SP EVENT -EGG HUNT
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P--- 909
PROGRAM
GM362LA
CITY OF LA
-----
QUINTA,
CALIFORNIA
----------------------------------------------------------------------------•---------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP'NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.51-33
Services & Supplies /
Special Events
GM 02403
10/11
AP
04/13/11 0091730
CAPITAL ONE COMMERCIAL
166.06
30273
DEDICATION EVENT
GM 02403
10/11
AP
04/16/11 0091741
WAL MART COMMUNITY
63.08
NO1GSBQ41
SP EVENT -EGG HUNT
GM 02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT W
7.59
960957
SP EVENT SUPPLIES
GM 02789
12/11
AP
04/28/11 0092183
CLASSIC PARTY RENTALS
411.44
132687
EVENT - PICNIC
GM 02538
11/11
AP
04/29/11 0091902
CAPITAL ONE COMMERCIAL
274.04
78091
EVENT SUPPLIES
GM 02787
12/11
AP
04/30/11 0092267
RODARTE ICE COMPANY
26.10
47026
EVENT -PICNIC
GM 02513.
11/11
AP
05/04/11 0091864
SILVERROCK RESORT
19.00
5411
APR'll SALES TAX
GM 02787
12/11
AP
05/15/11 0092195
DESERT FOUNTAIN GAS SUPPL
8.00
135586
HELIUM RENTAL
GM 02645
11/11
AP
05/16/11 0092116
WAL MART COMMUNITY
185.43
3PO1BF7SB7
EVENT SUPPLIES
GM 02645
11/11
AP
05/25/11 0092114
VILLALPANDO, GILBERT
39.35
REIMB
DRY CLEANING/NET
GM 02870
12/11
AP
06/18/11 0092430
ESCENA GOLF CLUB
35.00
06182011
NO SHOW REIMBURSEMENT
GM 02870
12/11
AP
06/21/11 0092426
CASH/PETTY CASH
36.67
06212011
PETTY CASH
GM 03024
12/11
AP
07/12/11 0092737
SILVERROCK RESORT
30.00
97829622
4TH QTR SALES TX
ACCOUNT TOTAL
11,233.13 243.85
10,989.28
101-3003-451.51-34
Services & Supplies /
Registr/Sanction Fees
.00
GM 01033
05/11
AP
10/25/10 0089527
LOWE'S HOME IMPROVEMENT W
17.27
960760
FITNESS CTR SUPPLIES
GM 01366
06/11
AP
12/21/10 0090226
SOUTHERN CALIFORNIA MUNIC
70.00
VILLALPANDO
MEMBERSHIP
GM 01511
07/11
AP
O1/01/11 0090347
SOUTHERN CALIFORNIA MUNIC
70.00
30582 -IN
MEMBERSHIP DUES
ACCOUNT TOTAL
157.27
157.27
101-3003-451.51-35 Services & Supplies / Recruitment
ACCOUNT TOTAL
101-3003-451.53-01 Services & Supplies / Printing
ACCOUNT TOTAL
.00
.00
.00
.00
PREPARED .,,,17/2014, 10:19:00 GENERAL LEDGER ,IVITY LISTING P,...= 910
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3003-451.53-03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-3003-451.53-04 Services & Supplies / Subscriptions/Publication
ACCOUNT TOTAL
101:3003-451.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-3003-451.54-01 Services & Supplies / Information Tech Charges
ACCOUNT - TOTAL
101-3003-451.56-01 Services & Supplies / Office Supplies
GM 02789 12/11 AP 05/20/11 0092175 BUY A SAVE.COM
124480 COMM SVC
ACCOUNT TOTAL
101-3003-451.56-02
Services
& Supplies
/ Operating Supplies
GM
00353
•02/11
AP
06/29/10
0088693
SMART & FINAL
53237
SUPPLIES -SNACK BAR
GM
00157
01/11
AP
07/19/10
0088266
CARDIFF TRANSPORTATION
379294
EXCURSION TRANSP
GM
00157
01/11
AP
07/19/10
0088266
CARDIFF TRANSPORTATION
374336
EXCURSION TRANSP
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
960470
FITNESS CTR SUPPLIES
GM
00353
02/11
AP
08/11/10
0088646
J L ENDICOTT
6304
DISC GLF PLAQUES
GM
00391
02/11
AP
08/16/10
0088729
WAL MART COMMUNITY
KH0131VRFS
FITNESS CTR SUPPLIES
GM
00555
03/11
AP
08/17/10
0088799
CARDIFF TRANSPORTATION
374339
LAGUNA BEACH EXCURSION
GM
00725
04/11
AP
08/23/10
0089230
LOCK SHOP INC, THE
E621060
REKEYS FITNESS CTR
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
960603
FITNESS CTR SUPPLIES
GM
00913
04/11
AP
09/07/10
0089387
COACHELLA VALLEY SECURITY
3698
FINGER PRINTING
GM
00725
04/11
AP
09/13/10
0089167
CARDIFF TRANSPORTATION
374340
PADRES EXCURSION
.00
.00
.00
.00
.00
.00
.00
.00
.00
238.37
238.37 238.37
732.95
911.00.
1,011.00
21.71
37.46
5.29
1,113.75
143.33
15.17
47.00
1,316.25
00
PREPARED
,.7/2014, 10:19:00
GENERAL LEDGER __.IVITY
LISTING
P--- 911
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3003-451.56-02
Services
& Supplies
/ Operating Supplies
GM
00913
04/11
AP
09/20/10
0089387
COACHELLA VALLEY SECURITY
47.00
3712
FINGER PRINTING
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
33.17
960324
FITNESS CTR SUPPLIES
GM
00725
04/11
AP
09/27/10
0089167
CARDIFF TRANSPORTATION
1,163.50
374341
ANGELS EXCURSION
GM
01159
05/11
AP
11/05/10
0089817
MUSICIAN'S FRIEND
546.00
4742575
EVENT EQUIPMENT
GM
01159
05/11
AP
11/11/10
0089744
ADVANTAGE FITNESS PRODUCT
150.00
SI -133826
FITNESS CTR-MAINT
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
19.87
966328
PA SYS CORD SUPPLIES
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
48.00
97829622
NOV110 SALES TAX
GM
01514
07/11
AP
12/07/10
0090276
ADVANTAGE FITNESS PRODUCT
831.69
SI -134718
REPAIRS -FITNESS CTR
GM
01514
07/11
AP
12/20/10
0090276
ADVANTAGE FITNESS PRODUCT
510.40
SI -135190
REPAIRS -FITNESS CTR
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
6.50
907856
FITNESS CENTER
GM
01547
07/11
AP
01/03/11
0090411
WELLS FARGO BUSINESS CARD
153.11
3072
VISA CARD PYMT
GM
01547
07/11
AP
01/07/11
0090397
SAN DIEGO PADRES
959.00
1240012110107
EXCUSION TICKETS
GM
01704
08/11
AP
01/24/11
0090633
CARDIFF TRANSPORTATION
11350.00
384886
GRIFFITH OBSERVATORY
GM
03643
08/11
AP
01/27/11
0090714
STAPLES ADVANTAGE
21.73
3148809802
OPERATING SUPPLIES
GM
01878
09/11
AP
02/04/11
0090993
DESERT LIVE SCAN
52.00
2807 •
FINGERPRINTING
GM
01841
08/11
AP
02/16/11
0090938
WAL MART COMMUNITY
4.22
1901GVGTTP
FITNESS CTR SUPPLIES
GM
01909
09/11
AP
02/25/11
0090951
LOS ANGELES DODGERS
874.00
25998492
EXCURSION -DODGERS
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
13.01
913331
FITNESS CTR SUPPLIES
GM
02702
12/11
AP
02/25/11
0092126
LOS ANGELES DODGERS
648.00
25998492
EXCURSION ADD TKT
GM
02083
09/11
AP
03/03/11
0091274
2XL CORPORATION
250.72
116078
FITNESS CTR SUPPLIES
GM
02084
09/11
AP
03/14/11
0091166
CARDIFF TRANSPORTATION
11155.00
'
384900
EXCURSION
GM
02136
10/11
AP
03/15/11
0091423
GRAINGER
8.60
9486895965
BATTERY -LECTERN
GM
02251
10/11
AP
03/21/11
0091376
BUYACCESS.COM
1,177.22
100000343
FITNESS CTR LOCKS
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
11.93
960604
HVAC FILTER
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
68.36
PREPARED
—17/2014, 10:19:00
GENERAL LEDGER .....IVITY
LISTING
F..uc 912
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N,
DEBITS CREDITS
BALANCE
------------------------------------------------------------------------------------------------------------------------------------
O
101-3003-451.56-02
Services
& Supplies
/ Operating Supplies
960135
TRAILER SUPPLIES
GM
02251
10/11
AP
03/30/11
0091483
PSI DIGITAL IMAGING SOLUT
223.67
19376
BANNER MATERIAL
GM
02346
10/11
AP
04/04/11
0091633
GRAINGER
30.66
9503105950
BANNER SUPPLIES
GM
02350
10/11
AP
04/05/11
0091619
DESERT SANDS UNIFIED SCHO
479.59
2011/457
KEYS-HS DANCE RM
GM
02251
10/11
AP
04/07/11
0091496
SILVERROCK RESORT
18.00
97829622
3RD QTR SALES TX
.GM
02403
10/11
AP
04/16/11
0091741
WAL MART COMMUNITY
50.00
FOIQNWPZB
DISC GOLF
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
243.36
966838
BANNER SUPPLIES
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
30.75
960386
BANNER SUPPLIES
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
197.78
920419
RETURN CREDIT
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
11.91
960172
FITNESS CTR SUPPLIES
GM
02513
11/11
AP
05/02/11
0091824
J L ENDICOTT
43.50
6617
DISC GLF PLAQUES
GM
02513
11/11
AP
05/03/11
0091800
CARDIFF TRANSPORTATION
1,159.20
391367
CARLSBAD TRIP
GM
02513
11/11
AP
05/04/11
0091864
SILVERROCK RESORT
122.00
5411
APR'll SALES TAX
GM
02645
11/11
AP
05/16/11
0092116
WAL MART COMMUNITY
40.76
4001HVRDRB
ATHLETIC PRGM
GM
02789
12/11
AP
05/20/11
0092261
RALPHS CUSTOMER CHARGES
49.72
•
411007937
VOLLYBALL TOURN
GM
02645
11/11
AP
05/25/11
0092114
VILLALPANDO, GILBERT
32.61
REIMB
DRY CLEANING/NET
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
69.37
927169
PULL CART
GM
02702
12/11
AP
05/31/11
0092119
BIG BEAR LAKE, CITY OF
851.20
2392
MY FAIR LADY TICKETS
GM
02789
12/11
AP
06/02/11
0092279
STAPLES ADVANTAGE
14.00
315700151
CLASS SUPPLIES
GM
03010
12/11
AP
06/16/11
0092626
WAL MART COMMUNITY
.94
5301BW10H7
GYM SUPPLIES
.GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
93.36
952913
OPERATING SUPPLIES
GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
15.33
960760
FITNESS CTR SUPPLIES
GM
02997
12/11
AP
06/26/11
0092510
CARDIFF TRANSPORTATION
1,435.00
391369
EXURSION-DOGERS
GM
02997
12/11
AP
06/27/11
0092510
CARDIFF TRANSPORTATION
1,540.00
393405
EXURSION-BIG BEAR
GM
03010
12/11
AP
07/01/11
0092627
WELLS FARGO BUSINESS CARD
240.00
3072
VISA CARD PYMT
PREPARED _.-17/2014, 10:19:00 GENERAL LEDGER ..— IVITY LISTING F,.-. 913
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D.E S C R I P T I 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3003-451.56-02 Services & Supplies / Operating Supplies
GM 0,3027 12/11 AP 07/05/11 0092709 HUFCOR CALIFORNIA 2,830.00
M031411 OPERABLE WALL SR CTR
GM 03031 -12/11 AP 07/16/1.1 0092866 WAL MART COMMUNITY •19.30
60013D6FQ5 GYM SUPPLIES
ACCOUNT TOTAL 25,102.17
101-3003-451.56-25 Services & Supplies / Software
ACCOUNT TOTAL
101-3003-451.56-55 Services & Supplies / Small Tools/Equip
ACCOUNT TOTAL
101-3003-451.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-3003-451.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-3003-451.71-03 Capital Purchases / Vehicles
• ACCOUNT TOTAL
101-3003-451.92-11 Other Charges / Fleet Maint Program Chrgs
ACCOUNT TOTAL
101-3004-451.10-30 Salaries & Wages / Employee Recognition
ACCOUNT TOTAL
101-3004-451.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-3004-451.30-03 Contract Services / Technical
197.78
24,904.39
.00
.00
.00
.00
.00 .
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED _17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING Finac 914
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3004-451.30-03
Contract
Services /
Technical
ACCOUNT TOTAL
101-3004-451.30-96
Contract
Services /
Landscape Contract
GM
00274
02/11
AP
07/15/10
0088521
VINTAGE ASSOCIATES
560.00
SI -85392
JUL-PARK MAINT
GM
00437
03/11
AP
08/15/10
0088910
VINTAGE ASSOCIATES
560.00
SI -85998
AUG -PARK MAINT
GM
00736
04/11
AP
09/15/10
0089282
•VINTAGE ASSOCIATES
560.00
SI -86443
SEP -PARK MAINT
GM
00977
05/11
AP
10/25/10
0089668
VINTAGE ASSOCIATES
560.00
SI -88007
OCT -PARKS MAINT
GM
01262
06/11
AP
11/15/10
0090075
VINTAGE ASSOCIATES
560.00
SI -88487
NOV-PARKS MAINT
GM
01511
07/11
AP
12/15/10
0090358
VINTAGE ASSOCIATES
560.00
SI -90094
DEC -PK MAINT
GM
01643
08/11
AP
01/15/11
0090726
VINTAGE ASSOCIATES
560.00
SI -91621
JAN -PARKS MAINT
GM
01878
09/11
AP
02/15/11
0091055'
VINTAGE ASSOCIATES
560.00
SI -92766
FEB -PARK MAINT
GM
02136
10/11
AP
03/15/11
0091516
VINTAGE ASSOCIATES
560.00
SI -94552
MAR -PARK MAINT
GM
02424
11/11
AP
04/15/11
0091879
VINTAGE ASSOCIATES
560.00
SI -96246
APR -PARKS LNDSCP
GM
02694
12/11
AP
05/15/11
0092293
VINTAGE ASSOCIATES
560.00
SI -97772
MAY -PARK MAINT
GM
02955
12/11
AP
06/15/11
0092580
VINTAGE ASSOCIATES
560.00
SI -99111
JUN -PARK MAINT
ACCOUNT TOTAL
6,720.00
101-3004-451.30-97
Contract
Services /
County of Riverside
GM
01518
06/11
AJ
12/31/10
AJE 06-047
ZERO OUT LIBRARY BALANCE
337,311.59
GM
01527
07/11
AJ
01/31/11
AJE 07-007
REVERSE LIBRARY ACCRUALS
337,311.59
GM
02015
09/11
AJ
03/31/11
AJE 09-024
LIBRARY EXP 7/1-12/31/10
391,933.00
GM
03110
13/11
AJ
06/30/11
AJE 13-027
EXPENSES JANUARY -JUNE
396,964.00
GM
03125
13/11
AJ
06/30/11
AJE 13-039
FINAL LIBRARY EXPENSES
51191.00
ACCOUNT TOTAL
1,126,208.59 342,502.59
101-3004-451.32-01 Contract Services / Attorney
ACCOUNT TOTAL
101-3004-451.41-01 Utilities / Electric -Inside
.00
.00
6,720.00
.00
783,706.00
.00
.00
.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
F..__ 915
PROGRAM
GM362LA
CITY OF LA
-----------------------------------------------------------------------------------------------------------------------------------=
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING.
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3004-451.41-01
Utilities / Electric
-Inside
GM
00229
02/11
AP
07/22/10 0088413
IMPERIAL IRRIGATION
DIST
7,585.51
50315886
ELECTRIC SVC
GM
00299
02/11
AP
07/30/10 0088538
IMPERIAL IRRIGATION
DIST
11833.41
50315886
ELECTRIC SVC
GM
OA913
04/11
AP
09/16/10 0089396
DESERT ELECTRIC SUPPLY
53.68
S1759073001
FLAG POLE REPAIR
GM
00713
03/11
AP
09/20/10 0089111
IMPERIAL IRRIGATION
DIST
288.67
50315886
ELECTRIC SVC
GM
01033
05/11
AP
10/19/10 0089522
IMPERIAL IRRIGATION
DIST
4,699.29
50315886
ELECTRIC SVC
GM
01210
06/11
AP
11/17/10 0089875
IMPERIAL IRRIGATION
DIST
3,235.86
50315886
ELECTRIC SVC
GM
01420
07/11
AP
12/20/10 0090258
IMPERIAL IRRIGATION
DIST
2,707.40
50315886
LIBRARY -ELECTRIC SVC
GM
01704
08/11
AP
01/18/11 0090682
LIGHT SOURCE
538.31
88804
PUBLIC LIBRARY
GM
01692
08/11
AP
01/23/11 0090601
IMPERIAL IRRIGATION
DIST
2,951.30
50315886
ELECTRIC SVC
GM
01909
09/11
AP
02/21/11 0090949
IMPERIAL IRRIGATION
DIST
2,769.90
•
50315886
ELECTRIC SVC
GM
02177
10/11
AP
03/22/11 0091315
IMPERIAL IRRIGATION
DIST
3,644.38
50315886
ELECTRIC SVC
GM
02403
10/11
AP
04/20/11 0091731
IMPERIAL IRRIGATION
DIST
3,522.36
50315886
ELECTRIC SVC
GM
02616
11/11
AP
05/13/11 0091990
EMERGENCY LIGHTING
EQUIP
3,124.37
42109
EMERGENCY LIGHTING
GM
02616
11/11
AP
05/13/11 0091990
EMERGENCY LIGHTING
EQUIP
577.50
42111
EMERGENCY LIGHTING
GM
02740
12/11
AP
05/19/11 0092149
IMPERIAL IRRIGATION
DIST
3,685.05
50315886
ELECTRIC SVC
GM
03010
12/11
AP
06/20/11 0092616
IMPERIAL IRRIGATION
DIST
3,868.08
50315886
ELECTRIC SVC
ACCOUNT TOTAL
45,085.07
45,085.07
101-3004-451.41-02
Utilities / Electric
- Outside
.00
ACCOUNT TOTAL
.00
101-3004-451.41-13
Utilities / Gas
.00
GM
00189
01/11
AP
07/26/10 0088370
GAS COMPANY, THE
37.56
15294440449
LIBRARY GAS
GM
00439
03/11
AP
08/24/10 0088736
GAS COMPANY, THE
31.06
15294440449
LIBRARY GAS
GM
00837
04/11
AP
09/24/10 0089305
GAS COMPANY, THE
92.57
15294440449
LIBRARY GAS
GM
01033
05/11
AP
10/25/10 0089521
GAS COMPANY, THE
36.02
PREPARED
.,17/2014, 10:19:00
GENERAL LEDGER
IVITY
LISTING
FNac 916
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3004-451.41-13
Utilities / Gas
15294440449
LIBRARY GAS
GM
01253
06/11
AP
11/23/10 0089909
GAS COMPANY, THE
23.71
15294440449
LIBRARY -GAS SVC
GM
01420
07/11
.AP
12/27/10 0090256
GAS COMPANY, THE
103.37
15294440449
LIBRARY 11/19-12/21
GM
01692
08/11
AP
01/26/11 0090598
GAS COMPANY, THE
762.11
15294440449
GAS SVC 12/21-1/24
GM
01909
09/11
AP
02/25/11 0090947
GAS COMPANY, THE
949.76
15294440449
LIBRARY GAS 1/24-2/23
GM•02177
10/11
AP
03/25/11 0091308
GAS COMPANY, THE
579.29
15294440449
LIBRARY GAS SVC
GM
02468
11/11
AP
04/25/11 0091757
GAS COMPANY, THE
380.01
15294440449
LIBRARY GAS
GM
02702
12/11
AP
05/24/11 0092121
GAS COMPANY, THE
258.21
15294440449
LIBRARY GAS SVC
GM
02916
12/11
AP
06/23/11 0092465
GAS COMPANY, THE
72.42
15294440449
LIBRARY GAS
ACCOUNT TOTAL
3,326.09
3,326.09
101-3004-451.41-16
Utilities / Water -Inside
.00
GM
00346
02/11
AP
08/13/10 0088560
COACHELLA VALLEY WATER
DI
100.94
VARIOUS
WATER SVC
GM
00627
03/11
AP
09/16/10 0088956
COACHELLA VALLEY WATER
DI
97.17
VARIOUS
WATER SVC
GM
00876
04/11
AP
10/20/10 0089341
COACHELLA VALLEY WATER
DI
102.77
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY WATER
DI
20.00
277257736256
LIBRARY WATER SVC
GM
01210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY WATER
DI
80.53
257333677102
LIBRARY WATER SVC
GM
01368
06/11
AP
12/16/10 0090140
COACHELLA VALLEY WATER
DI
96.05
VARIOUS
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA VALLEY WATER
DI
20.00
277257736256
WATER -LIBRARY
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA VALLEY WATER
DI
76.05
257333677102
WATER -LIBRARY
GM
01793
08/11
AP
02/08/11.0090773
COACHELLA VALLEY WATER
DI
96.05
VARIOUS
WATER SVC
-
GM
02022
09/11
AP
03/11/11 0091113
COACHELLA VALLEY WATER
DI
99.41
VARIOUS
WATER SVC
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA VALLEY WATER
DI
105.01
VARIOUS
WATER SVC
GM
02588
11/11
AP
05/06/11 0091930
COACHELLA VALLEY WATER
DI
100.53
VARIOUS
WATER SVC
ACCOUNT TOTAL
994.51
994.51
PREPARED _117/2014, 10:19:00 GENERAL LEDGER ..._.IVITY LISTING F___ 917
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T'I O N DEBITS CREDITS BALANCE
-=---------------------------------------------------------------------------------------------------------------------------------=
101-3004-451.41-17 Utilities / Water -Outside
ACCOUNT TOTAL
101-3004-451.41-22 Utilities / Telephone
ACCOUNT TOTAL
10113004-451.41-30 Utilities / Security
GM 00555 03/11 AP 02/23/10 0088886
65356124
GM 00023 01/11 AP 06/02/10 0088023
47034
GM 00023 01/11 AP 06/02/10 0088023
47046
GM 00490 03/11 AP 08/23/10 0088802
58397
GM 00490 03/11 AP 08/23/10 0088802
58348
GM 00914 04/11 AP 10/05/10 0089425
48022
GM 01264 06/11 AP 12/01/10 0089948
• 86318
GM 01272 06/11' AP 12/01/10 0089948
86364
GM 02136 10/11 AP 03/15/11 0091382
135099
GM 02136 10/11 AP 03/15/11 0091382
135141
GM 02351 10/11 AP 04/11%11 0091609
140464
GM 02735 12/11 AP 05/19/11 0092216
60881
ACCOUNT TOTAL
101-3004-451.42-15 Contract Services /
GM 00023 01/11 AP 07/01/10 0088004
13415
GM 00274 02/11 AP 08/01/10 0088448
13462
GM 00490 03/11 AP 09/01/10 0088779
13487
GM 00823 04/11 AP 10/01/10 0089152
13524
GM 01046 05/11 AP 11/01/10 0089541
13559
and Alarm
SIMPLEXGRINNELL LP
FIRE ALARM SVC
CENTRAL SECURITY SERVICES
JUL-SEP LIBRARY SECURITY
CENTRAL SECURITY SERVICES
JUL-SEP MONITORING LIB R'
CENTRAL SECURITY SERVICES
LIBRARY
CENTRAL SECURITY SERVICES
'LIBRARY
JJJ ENTERPRISES
LIBRARY SECURITY SYS
CENTRAL SECURITY SERVICES
JAN -MAR MONITORING
CENTRAL SECURITY SERVICES
JAN -MAR LIBRARY SECURITY
CENTRAL SECURITY SERVICES
APR -JUN FIRE MONITORING
CENTRAL SECURITY SERVICES
APR -JUN LIBRARY
CENTRAL SECURITY SERVICES
LIBRARY FIRE SYS
HOARD INC, HUGH
SMOKE DETEC/PANEL
Janitorial
ADVANCED INC
JUL-JANITORIAL SVC
ADVANCED INC
JUL-JANITORIAL SVC
ADVANCED INC
JANITORIAL
ADVANCED INC
JANITORIAL SVC
ADVANCED INC
JANITORIAL SVC
802.54
264.00
90.00
90.00
264.00
232.73
264.00
90.00
282.00
96.00
131.00
323.53
2,929.80
1,825.00
1,868.30
1,868.30
1,868.30
1,868.30
.00
00
.00
.00
.00
2,929.80
.00
PREPARED
_.•17/2014, 10:19:00
GENERAL LEDGER
.._.IVITY .LISTING
F..__ 918
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3004-451.42-15
Contract Services /
Janitorial
GM
01272
06/11
AP
12/01/10 0089926
ADVANCED INC
1,868.30
13594
JANITORIAL SVC
GM
01478
07/11
AP
O1/01/11 0090275
ADVANCED.INC
1,868.30
13626
JANITORIAL SVC
GM
01704
08/11
AP
02/01/11 0090618
ADVANCED INC
1,868.30
13652
JANITORIAL SVC
GM
01962
09/11
AP
03/01/11 0090968
ADVANCED INC•
1,868.30
13680
JANITORIAL SVC
GM
02198
10/11
AP
04/01/11 0091360
ADVANCED INC
1,868.30
13710
JANITORIAL SVC
GM
02435
11/11
AP
05/01/11 0091785
ADVANCED INC
1,868.30
13735
JANITORIAL
GM
02728
12/11
AP
06/01/11 0092165
ADVANCED INC
1,868.30
13771
JUN -JANITORIAL SVC
ACCOUNT TOTAL
22,376.30
22,376.30
101-3004-451.42-20
Contract Services /
Pest Control
.00
GM
00259
02/11
AP
07/01/10 0088515
TRULY NOLEN INC
65.00
66926166
LIBRARY
GM
00353
02/11
AP
08/02/10 0088701
TRULY NOLEN INC
65.00
660000821
LIBRARY
GM
00736
04/11
AP
09/01/10 0089278
TRULY NOLEN INC
65.00
660002861
LIBRARY PST CNTRL
GM
00913
04/11
AP
10/05/10 0089475
TRULY NOLEN INC
65.00
660004848
LIBRARY PEST CNTRL
GM
01159
05/11
AP
11/01/10 0089852
TRULY NOLEN INC
65.00
660006872
LIBRARY -PEST CNTRL
GM
01366
06/11
AP
12/03/10 0090236
TRULY NOLEN INC
65.00
660008902
LIBRARY -PST CNTRL
GM
01643
08/11
AP
01/04/11 0090721
TRULY NOLEN INC
65.00
660010806
LIBRARY
GM
01878
09/11
AP
02/01/11 0091053
TRULY NOLEN INC
65.00
660012642
LIBRARY PEST CNTRL
GM
02045
09/11
AP
03/04/11 0091263
TRULY NOLEN INC
65.00
660014485
LIBRARY PST CNTRL
GM
02424
11/11
AP
03/30/11 0091875
TRULY NOLEN INC
225.00
660017240
LIBRARY -PST CNTRL
GM
02424
11/11
AP
04/01/11 0091875
TRULY NOLEN INC
65.00
'
660016224
LIBRARY -PST CNTRL
GM
02616
11/11
AP
05/04/11 0092061
TRULY NOLEN INC
65.00
660018126
LIBRARY PEST CNTRL
GM
02955
12/11
AP
06/02/11 0092576
TRULY NOLEN INC
65.00
660020083
LIBRARY -PEST CNTRL
ACCOUNT TOTAL
11005.00
11005.00
PREPARED _..17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING F--- 919
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA ;
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3004-451.42-35 Contract Services / Move/Set up of New Space
ACCOUNT TOTAL
101-3004-451.43-01
Other Services /
Maintenance
GM
00157
01/11
AP
07/19/10
0088319
LOCK SHOP INC, THE
56632
LIBRARY DOOR REPAIR
GM
00275
02/11
AP
07/20/10
0088474
HENRY'S GLASS COMPANY
3020
LIBRARY DOOR REPAIR
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
913531
LIBRARY -DOOR REPAIRS
GM
01001
05/11
AP
08/06/10
0089671
YOUNG ELECTRIC SIGN COMPA
TL47893
BIRD SPIKES INSTALL
GM
00367
03/11
AP
08/12/10
0088859
NIXALITE OF AMERICA INC
INV201005131
OPERATING SUPPLIES
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
960600
MATERIAL
GM
00581
03/11
AP
09/09/10
0088885
SILVERROCK RESORT
97829622
AUG110 SALES TAX
GM
00784
04/11
AP
10/01/10
0089178
D & J PLUMBING INC
3173
LIBRARY PLUMBING R&M
CR
01531
07/11
CR
O1/11/11
0009194
YESCO REFUND
MANCILLA O1/11/11 01
GM
02351
10/11
AP
04/03/11
0091659
M A Y PLUMBING
76304
LIBRARY REPAIR
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
907270
LIBRARY
GM
02616
11/11
AP
04/28/11
0092011
INDEPENDENT ELECTRIC SUPP
S100695463001
LIBRARY
ACCOUNT TOTAL
101-3004-451.43-31 Other Services / Maint.-Fire extinguishers
ACCOUNT TOTAL
101-3004-451.43-52 Other Services / HVAC
GM 00353 02/11 AP 07/01/10 0088641
58105
GM 00624 03/11 AP 09/07/10 0089026
59135
GM 00913 04/11 AP 09/21/10 0089420
59222
GM 01159 05/11 AP 10/01/10 0089793
58941
GM 01001 05/11 AP 10/07/10 0089545
910398
HOARD INC, HUGH
LIBRARY -A/C MAINT
HOARD INC, HUGH
A/C MAINT & REPAIR
HOARD INC, HUGH
LIBRARY A/C REPAIR
HOARD INC, HUGH
LIBRARY A/C SVC
AUTOMATED CONTROLS INC
A/C REPAIR
225.00
170.00
17.07
259.00
248.77
14.96
20.00
856.58
180.00
64.98
440.71
2,497.07
485.10
237.96
295.50
644.61
164.50
259.00
259.00
.00
.00
.00
2,238.07
.00
.00
:00
PREPARED -..-7/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P..__ 920
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General
Fund
BEGINNING
•GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------------------------------------------------------------•---------
.CD
DATE NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-3004-451.43-52
Other Services / HVAC
GM 01046 05/11
AP
10/29/10 0089597
JOHNSTONE SUPPLY
4.30
251820
LIBRARY
GM 02045 09/11
AP
03/04/11 0091198
HOARD INC, HUGH
644.61
60221
A/C MAINT
GM 02136. 10/11
AP
03/04/11 0091429
HOARD INC, HUGH
820.08
60232
LIBRARY AC REPAIR
ACCOUNT TOTAL
3,296.66
3,296.66
101-3004-451.43-78
Other Services / Fire
Extinguisher Service
.00
GM 02784 12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
41.91
202389
FIRE EXTINGUISHER
ACCOUNT TOTAL
41.91
41.91
101-3004-451.43-88
Other Services / Maint.-Other Equipment
00 .
GM 00555 03/11
AP
07/28110 0088778
ACE HARDWARE
21.33
107513
GENERAL R&M
GM 00605 03/11
AP
08/27/10 0088931
HOME DEPOT CREDIT SERVICE
26.88
25623
LIBRARY DOOR REPAIR
GM 01272 06/11
AP
10/22/10 0090021
NIXALITE OF AMERICA INC
297.21
201100294
PEGEON SPIKES
GM 01033 05/11
AP
10/25/10 0089527
LOWE'S HOME IMPROVEMENT W
13.57
904129
LIBRARY SUPPLIES
GM 01253 06/11
AP
11/25/10 0089913
LOWE'S HOME IMPROVEMENT W
9.72
960290
LIBRARY - TOOL
GM 01362 06/11
AP
12/08/10 0090177
CONSOLIDATED ELECTRICAL D
7.31
•
5725652928
LIBRARY LIGHT REPAIR
GM 01962 09/11
AP
02/18/11 0091009
HENRY'S GLAZCON
574.91
4569
LIBRARY -MEN'S RSTRM
GM 02251 10/11
AP
03/30/11 0091435
INTERRA INC.
475.87
1799-1
LIBRARY BOOK SLOT
GM 02735 12/11
AP
05/17/11 0092164
ACE HARDWARE
5.84
108722
LIBRARY
ACCOUNT TOTAL
1,432.64
1,432.64
101-3004-451.44-04
Rental Services / Facility Rent
.00
GM 00009 01/11
AJ
07/06/10 JE 01-003
LIBRARY LAND LEASE 10/11
132,000.00
ACCOUNT TOTAL
132,000.00
132,000.00
101-3004-451.51-01
Services & Supplies /
Travel & Training
.00
ACCOUNT TOTAL
.00
PREPARED _ ,_7/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING P --- 921
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
•101-3004-451.52-01 Insurance / Liability/SIR .00
GM 00004 01/11 AP 05/10/10 0087974 CALIFORNIA JOINT POWERS I 51,129.00
PRIM00715 G/L & WC PREMIUMS
ACCOUNT TOTAL 51,129.00 51,129.00
101-3004-451.52-04
Insurance / Property
& Supplies
/ Operating Supplies
GM 00017 01/11 AP
07/01/10 0087994
HAYWARD TILTON & ROLAPP I
6,488.25
AJ
303005
PROP AUTO INSUR
LIBRARY EXP 7/1-12/31/10
62,804.00
ACCOUNT TOTAL
02997
6,488.25
101-3004-451.52-13
Insurance / Earthquake/Flood
0092527
ECONOMIC DEVELOPMENT AGEN
GM 01757 08/11 AP
01/31/11 0090747
HAYWARD TILTON & ROLAPP I
22,150.85
7264
EARTHQUAKE INSUR
APR-BOOKDS
•
ACCOUNT TOTAL
03110
22,150.85
101-3004-451.53-03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-3004-451.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
101-3004-451.55-01 Advertising/Promo / Advertising
ACCOUNT TOTAL
101-3004-451.56-02
Services
& Supplies
/ Operating Supplies
GM
02015
09/11
AJ
03/31/11
AJE 09-024
LIBRARY EXP 7/1-12/31/10
62,804.00
GM
02997
12/11
AP
06/23/11
0092527
ECONOMIC DEVELOPMENT AGEN
102,936.03
810430
APR-BOOKDS
GM
03110
13/11
AJ
06/30/11
AJE 13-027
EXPENSES JANUARY -JUNE
20,935.00
GM
03125
13/11
AJ
06/30/11
AJE 13-039
FINAL LIBRARY EXPENSES
GM
03113
13/11
AJ
08/18/11
JE 13-029•
LBRARY REIMB MAY/JUN BKS
70,403.90
ACCOUNT TOTAL 257,078.93
101=3004-451.56-55 Services & Supplies / Small Tools/Equip
ACCOUNT TOTAL
20,935.00
20,935.00
.00
6,488.25
.00
22,150.85
.00
.00
.00
.00
.00
.00
.00
236,143.93
.00
.00
PREPARED -.,.7/2014, 10:19:00 GENERAL LEDGER IVITY LISTING P_., 922
PROGRAM GM362LA '
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
.. GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3004-451.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-3004-451.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-3004-451.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
.101-3004-451.72-10 Buildings / Capital -Buildings
ACCOUNT TOTAL
10113004-451.80-04 Other. / Contributions
ACCOUNT TOTAL
101-3004-451.91-11 Reimbursed Gen Fund Exp / Personnel
101-3004-451.91-12
GM 00009 01/11 AJ
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00822 03/11 AJ
GM 00839. 03/11 AJ
GM 00839 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02015 09/11 AJ
GM 02249 09/11 AJ
GM 02521 10/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 03110 33/11 AJ
ACCOUNT TOTAL
Reimbursed Gen Fund Exp / Supplies/Service
07/06/10
JE
01-003
LIBRARY
LAND LEASE 10/11
07/30/10
JE
01-029
MONTHLY
GF
REIMB
08/31/10
JE
02-034
MONTHLY
GF
REIMB
09/30/10
JE
03-035
MONTHLY
GF
REIMB
09/30/10
AJE
03-052
REIMBURSE
FOR LIBRARY
09/30/10
AJE
03-058
REVERSE
REIMBURSE
LIBRARY
09/30/10
AJE
03-058
REIMBURSE
LIBRARY EXPENSE
10/31/10
JE
04-027
MONTHLY
GF
REIMB
11/30/10
JE
05-030
MONTHLY
GF
REIMB
12/31/10
JE
06-002
MONTHLY
GF
REIMB
01/31/11
JE
07-031
MONTHLY
GF
REIMB
02/28/11
JE
08-009
MONTHLY
GF
REIMB
03/31/11
JE
09-019
MONTHLY
GF
REIMB
03/31/11
AJE
09-024
LIBRARY
EXP
7/1-12/31/10
03/31/11
AJE
09-070
ZERO OUT
LIBRARY
BALANCE
04/30/11
JE
10-044
MONTHLY
GF
REIMB
05/31/11
JE
11-044
MONTHLY
GF
REIMB
06/30/11
JE
12-002
MONTHLY
GF
REIMB
06/30/11
AJE
13-027
EXPENSES
JANUARY
-JUNE
222,713.78
265,722.22
652,082.66
132,000.00
118,812.00
118,812.00
118,812.00
222,713.78
118,812.00
118,812.00
118,812.00
118,812.00
118,812.00
118,812.00
454,737.00
118,812.00
118,812.00
118,812.00
417,899.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00 .
.00
.00
.00
L�
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .— IVITY LISTING P..__ 923
PROGkAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING•
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------- -------------------------------
101-3004-451.91-12 Reimbursed Gen Fund Exp / Supplies/Service
GM 03110 13/11 AJ 06/30/11 AJE 13-027 TO GEN'L FUND FOR LIBRARY 222,455.94
GM 03125 13/11 AJ 06/30/11 AJE 13-039 FINAL LIBRARY EXPENSES 26,126.00
GM 03113 13/11 AJ 08/18/11 JE 13-029 LIBRARY REIMB TO GEN FUND
ACCOUNT TOTAL 1,389,100.60
101-3004-451.91-13 Reimbursed Gen Fund Exp / Capital Expenses
ACCOUNT TOTAL
101-3004-451.92-11 Other Charges / Fleet Maint Program Chrgs
GM 00010 01/11 AJ 07/06/10 JE 01-004 EQUIP REPLCMNT FY10/11 13,333.00
GM 00181 01/11 AJ 07/27/10 JE 01-023 EQUIP REPL EXP 10/11 BDGT 13,333.00
GM 00184 01/11 AJ 07/27/10 JE 01-025 REVR JE 01-023 DUPL ENTRY
ACCOUNT TOTAL 26,666.00
101.3005-451.10-01
Salaries
& Wages
/ Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
4,692.01
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
4,692.02
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
4,692.02
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
4,692.02
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
4,692.02
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
4,692.02
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
4,692.02
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
4,692.02
PR
00911
04/13
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
4,692.02
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
4,692.02
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
4,692.15•
OR
01249
06/11
AJ.12/10/10
PR1210
PAYROLL
SUMMARY
4,692.27
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
4,692.02
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
51533.59
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
4,692.38
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
4,692.02
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
4,692.02
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
4,692.02
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
4,692.02
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
4,692.21
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
4,692.02
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
4,692.02
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
4,651.16
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
4,732.88
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
4,692.02
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
4,692.02
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
4,222.79
70,403.90 -
2,723,497.68
13,333.00
1`3, 333.00
3,753.64
1,334,397.08CR
.00
.00
.00
13,333.00
.00
PREPARED .-7/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING P..__ 924
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.10-01 Salaries & Wages / Permanent Full Time
ACCOUNT TOTAL
101-3005-451.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-3005-451.10-04
Salaries
& Wages
/ Salaries -Overtime
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-3005-451.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-3005-451.10-15
Salaries
& Wages
/ Salaries -Standby
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
OR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-3005-451.10-16 Salaries & Wages / Salaries -Standby Overtime
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR'
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
127,057.80
70.19
38.14
19.07
70.19
76.68
66.95
341.22
43.75
52.50
87.50
118.75
87.50
87.50
87.50
62.50
6.25
112.50
25.00
105.00
876.25
19.07
19.07
66.95
19.07
3,753.64
35.00
35.00
15.26
123,304.16
.00
.00
.00
341.22
.00
.00
.00 .
841.25
00
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PREPARED -.7/2014, 10:19:00 GENERAL LEDGER ..- IVITY LISTING P..__ 927
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.21-01
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02016 09/11 AJ
PR 02151 10/11 AJ
OR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02253 10/11 AJ
PR 02524 11/11 AJ
PR 02524 11/11 AJ
PR 02625 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
PR 02867 12/11 AJ
PR 02947 12/11 AJ
101-3005-451.21-02
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
Insurance Benefits
09/17/10 PR0917
10/01/10 PR1001
10/01/10 PR1001
10/15/10 PR1015
10/15/10 PR1015
11/12/10 PR1112
11/12/10 PR1112
11/24/10 PR1124
11/24/10 PR1124
12/10/10 PR1210
12/10/10 PR1210
12/23/10 PR1223
12/23/10 PR1223
01/07/11 PR0107
01/07/11 PR0107
01/21/11 PR0121
01/21/11 PR0121
02/04/11 PR0204
02/04/11 PR0204
02/18/11 PR0218
02/18/11 PR0218
03/04/11 PR0304
03/04/11 PR0304
03/18/11 PR0318
03/18/11 PR0318
04/01/11 PR0401
04/01/11 PR0401
04/15/11 PR0415
04/15/11 PR0415
05/13/11 PR0513
05/13/11 PR0513
05/27/11 PR0527
05/27/11 PR0527
06/10/11 PR0610
06/10/11 PR0610
06/24/11 PR0624
06/24/11 PR0624
07/08/11 PR0708
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
/ Vision Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
805.44
805.44
805.44
805.44
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
924.81
832.33
21,834.07
7.95
7.95
7.95
7.95
7.95
26.49
26.49
26.49
26.49
26.49
76.35
81.36
76.35
76.35
76.35
76.35
76.35
76.35
76.35
76.35
76.35
76.35
76.35
76.35
1,982.41
6.36
19,851.66
00
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------------------------------------------------------------------------------------------------------------------------------------
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AIIAI'--- x39031 IV83N39
00:61:01
`4102/L'""
03aVd3ad
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER __.IVITY
LISTING
P--- 932
PROGRAM
GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------------------=
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-3005-451.27-05
Other Benefits & Deduc.
/ Social Security -FICA •
.00
ACCOUNT TOTAL
.00
101-3005-451.32-07
Contract Services /
Consultants
.00
GM
00275
02/11
AP
07/12/10 0088525
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741008
AUG -CONTRACT
GM
00350
02/11
AP
08/11/10 0088710
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741009
8/10-7/11 CONTRACT
GM
00712
04/11
AP
09/13/10 0089286
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741010
OCT -ELECTRIC SVC
GM
00977
05/11
AP
10/12/10 0089671
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741011
NOV-ELECT SVC
GM
01262
06/11
AP
11/10/10 0090079
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741012
ELECTRIC SVC
GM
01564
07/11
AP
12/13/10 0090551
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741101
JAN -ELECTRIC SVC
GM
01643
08/11
AP
01/14/11 0090732
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741102
FEB -ELECTRICAL SVC
GM
01903
09/11
AP
02/11/11 0091062
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741103
MAR -ELECTRIC SVC
GM
02083
09/11
AP
03/10/11 0091273
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741104
APR-MAINT CONTRACT
GM
02316
10/11
AP
04/13/11 0091717
YOUNG ELECTRIC SIGN COMPA
11,475.00
8003741105
MAY-LNDSCP LIGHTING
GM
02728
12/11
AP
05/11/11 0.092300
YOUNG ELECTRIC SIGN COMPA
2,000.00
8003741106
JUN -ELECTRICAL SVC
GM
02615
11/11
AJ
05/31/11 AJE 11-015
RECLASS LANDSCAPE INVOICE
9,475.00
GM
03055
12/11
AJ
06/30/11 AJE 12-082
CIP ADJUSTMENTS
5,219.00
ACCOUNT TOTAL
36,694.00
9,475.00
27,219.00
101-3005-451.32-15
Contract Services /
Museum Consultant
.00
GM
02022
09/11
AP
02/28/11 0091113
COACHELLA VALLEY WATER DI
50.45
'1602.01
SRR FARMING
GM
02084
09/11
AP
03/05/11 0091209
LA QUINTA FARMS LLC
28,699.55
566
SRR PM10 SVC
GM
02150
09/11
AJ
03/29/11 AJE 09-050
RECLASS PM10 INVOICE
28,699.55
GM
02046
09/11•
AJ
03/31/11 AJE 09-037
RECLASS PM 10 SILVERROCK
50.45
ACCOUNT TOTAL
28,750.00
28,750.00
.00
101-3005-451.32-22
Contract Services /
PM 10 SilverRock
.00
GM
02127
09/11
AP
03/17/11 0091277
COACHELLA VALLEY WATER DI
809.25
306843768054
SRR PM10
GM
022.48
10/11
AP
03/28/11 0091367
AQUATECHNEX LLC
575.00
2777
MAR -SRR LAKE SVC
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER
.._.IVITY
LISTING
P.-.__ 933
PROGRAM 'GM362LA
LAKE
0088862
OMEGA LAKE
SERVICES
AUG -CAMPUS
LAKE SVC
0089238
CITY OF LA QUINTA,
-----------------
CALIFORNIA
SEP -CAMPUS
LAKE
0089617
FUND 101
General
--------------------------------------------------------
Fund
SEP -CAMPUS
LAKE
0090023
-
---------------------------------------------
-------------
BEGINNING
NOV-CAMPUS
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.32-22
Contract
Services /
PM 10 SilverRock
GM
02150
09/11
AJ
03/29/11
AJE 09-050
RECLASS PM10 INVOICE
28,699.55
GM
02046
09/11
AJ
03/31/11
AJE 09-037
RECLASS PM 10 SILVERROCK
50.45
GM
02288
10/11
AP
03/31/11
0091528
COACHELLA VALLEY WATER
DI
50.45
1602.01
SRR FARMING
GM
02350
10/11
AP
04/09/11
0091652
LA QUINTA FARMS LLC
28,699.55
567
SRR PM1O SVC
GM
02538
11/11
AP
04/18/11
0091892
COACHELLA VALLEY WATER
DI
100.90
1602.01
SRR FARMING
GM
02403
10/11
AP
04/19/11
0091723
COACHELLA VALLEY WATER
DI
979.45
306843768054
SRR PM10 SVC
GM
02435
11/11
AP
04/23/11
0091790
AQUATECHNEX LLC
575.00
2810
APR -SRR VILLAGE LAKE
GM
02538
11/11
AP
04/30/11
0091892
COACHELLA VALLEY WATER
DI
303.25
4704.01
SRR FARMING
GM
02558
11/11
AP
05/03/11
0092017
LA QUINTA FARMS LLC
28,345.85
566
SRR PM10
GM
02808
12/11
AP
05/17/11
0092311
COACHELLA VALLEY WATER
DI
750.60
306843-768054
SILVERROCK PM1O
GM
02787
12/11
AP
05/26/11
0092225
LA QUINTA FARMS LLC
27,689.63
567A
SRR PM1O
GM
02808
12/11
AP
05/31/11
0092311
COACHELLA VALLEY WATER
DI
563.48
1602.01
SRR FARMING
-
GM
02808
12/11
AP
05/31/11
0092311
COACHELLA VALLEY WATER
DI
496.89 .
4704.01
SRR FARMING
GM
02865.
12/11
AP
06/16/11
0092349
AQUATECHNEX LLC
575.00
•
2950
MAY -SRR VILLAGE LAKE
GM
03010
12/11
AP
06/20/11
0092609
COACHELLA VALLEY WATER
DI
1,491.20
306843768054
SRR PM10
GM
03020
12/11
AP
06/30/11
0092647
COACHELLA VALLEY WATER
DI
89.40
1602.01
SRR FARMING
GM
03020
12/11
AP
06/30/11
0092647
COACHELLA VALLEY WATER
DI
245.20
4704.01
SRR FARMING .
GM
03027
12/11
AP
07/02/11
0092687
AQUATECHNEX LLC
575.00
2990
JUN -SRR VILLAGE LAKE
ACCOUNT TOTAL
101-3005-451.32-30 Contract
GM 00274 02/11 AP 07/31/10
8-126
GM 00490 03/11 AP 08/31/10
9-141
GM 00725 04/11 AP 09/30/10
10-156
GM 01046 05/11 AP 10/30/10
11-168
GM 01272 06/11 AP 11/30/10
12-179
Services
/ Civ Ctr Lake Maintenance
0088488
OMEGA LAKE
SERVICES
JUL-CAMPUS
LAKE
0088862
OMEGA LAKE
SERVICES
AUG -CAMPUS
LAKE SVC
0089238
OMEGA LAKE
SERVICES
SEP -CAMPUS
LAKE
0089617
OMEGA LAKE
SERVICES
SEP -CAMPUS
LAKE
0090023
OMEGA LAKE
SERVICES
NOV-CAMPUS
LAKE
121,665.10
286.25
353.75
308.75
346.75
443.00
121,665.10
.00
PREPARED
-...7/2014, 10:19:00
GENERAL LEDGER __.IVITY
LISTING
Pft.. 934
PROGRAM
GM362LA
CITY OF LA
--------
QUINTA,
CALIFORNIA
-
FUND 101
-------
General
-------
Fund
------------------
------------------------------------------
--------------------
------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------------------
-PER.
CD
DATE NUMBER
D E S C R I P T I O N
------------------------------------------------------------------
DEBITS
CREDITS BALANCE
101-3005-451.32-30
Contract Services %
Civ Ctr Lake Maintenance
GM 01511
07/11
AP
12/28/10 0090313
KRIBBS CONSTRUCTION, BRUC
435.00
3277
CAMPUS LAKE OZONE REPAIR'
GM 01514
07/11
AP
01/06/11 0090324
OMEGA LAKE SERVICES
283.50
01-11
DEC -CAMPUS LAKE
GM 01768
08/11
AP
01/27/11 0090880
ONE TIME PUMP SERVICE
320.00
12711
ADJ CAMPUS PUMP
GM 01768
08/11
AP
01/31/11 0090878
OMEGA LAKE SERVICES
292.50
2-022
JAN -CAMPUS LAKE SVC
GM 02077
09/11
AP
03/01/11 0091227
OMEGA LAKE SERVICES
319.25
03-33
FEB -CAMPUS LAKE
GM 02084
09/11
AP
03/04/11 0091229
OZONE WATER SYSTEMS
1,136.10
OWS-11403
CAMPUS LAKE OZONE SYS
GM 02350
10/11
AP
04/01/11 0091669
OMEGA LAKE SERVICES
401.50
04-44
MAR -LAKE SVC
GM 02513
11/11
AP
04/30/11 0091843
OMEGA LAKE SERVICES
270.00
5-56
APR -CAMPUS LAKE
GM 02787
12/11
AP
06/02/11 0092247
OMEGA LAKE SERVICES
292.50
6-67
MAY -CAMPUS LAKE MAINT
GM 03027
12/11
AP
07/02/11 0092719
OMEGA LAKE SERVICES
327.50
7-079
JUN -CAMPUS LAKE
ACCOUNT TOTAL
5,816.35
5,816.35
101-3005-451.32-55
Contract Services /
Landscape Improvements
.00
GM 02694
12/11
AP
05/16/11 0092293
VINTAGE ASSOCIATES
1,675.60
SI -98526
CAMPUS IMPRVMTS
GM 02871
12/11
AP
06/16/11 0092420
VINTAGE ASSOCIATES
85.00
SI99751
PIONEER PK BOULDER
GM 03021
12/11
AP
06/30/11 0092746
VINTAGE ASSOCIATES
1,600.00
SI -100194
CITY HALL LNDSCP
GM 03021.
12/11
AP
06/30/11 0092746
VINTAGE ASSOCIATES
1,600.00
SI -100195
CAMPUS IMPRVMTS
GM 03021
12/11
AP
06/30/11 0092746
VINTAGE ASSOCIATES
403.20
SI -100211
SOD -PIONEER PK
ACCOUNT TOTAL
5,363.80
5,363.80
.101-3005-451.32-60
Contract Services /
CVWD Lease -Pioneer Dog Pk
.00
ACCOUNT TOTAL
.00
101-3005-451.34-04
Contract Services /
Technical
.00
GM 00274
02/11
AP
07/15/10 0088521
VINTAGE ASSOCIATES
20,125.00
SI -85392
JUL-PARK MAINT
GM 00437
03/11
AP
08/15/10 0088910
VINTAGE ASSOCIATES
20,125.00
SI -85998
AUG -PARK MAINT
PREPARED
_ -_7/2014,
10:19:00
GENERAL LEDGER-__.IVITY
LISTING
F..__ 935
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
;
---------
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS• CREDITS
BALANCE
101-3005-451.34-04
Contract Services /
Technical
GM
OU736
04/11
AP
09/15/10 0089282
VINTAGE ASSOCIATES
20,125.00
SI -86443
SEP -PARK MAINT
GM
00977
05/11
AP
10/25/10 0089668
VINTAGE ASSOCIATES
22,325.00
SI -88007
OCT -PARKS MAINT
GM
01262
06/11
AP
11/15/10 0090075
VINTAGE ASSOCIATES
22,325.00
SI -88487
NOV-PARKS MAINT
GM
01511
07/11
AP
12/15/10 0090358
VINTAGE ASSOCIATES
22,325.00
SI -90094
DEC -PK MAINT
GM
01643
08/11
AP
01/15/11 0090726
VINTAGE ASSOCIATES
22,325.00
SI -91621
JAN -PARKS MAINT
GM
01878
09/11
AP
02/15/11 0091055
VINTAGE ASSOCIATES
22,325.00
SI -92766
FEB -PARK MAINT
GM
02136
10/11
AP
03/15/11 0091516
VINTAGE ASSOCIATES
31,540.00
SI -94552
MAR -PARK MAINT
GM
02020
09/11
AJ
03/31/11 AJE 09-025
RECLAS VINTAGE INVOICES
73,720.00
GM
02424
11/11
AP
04/15/11 0091879
VINTAGE ASSOCIATES
31,540.00
SI -96246
APR -PARKS LNDSCP
GM
02694
12/11
AP
05/15/11 0092293
VINTAGE ASSOCIATES
31,540.00
SI -97772
MAY -PARK MAINT
GM
02955
12/11
AP
06/15/11 0092580
VINTAGE ASSOCIATES
31,540.00
SI -99111
JUN -PARK MAINT
ACCOUNT TOTAL
371,880.00
371,880.00
101-3005-451.40-01
Utilities -Parks / Water
-Monticello Park
.00
GM
00229
02/11.
AP
07/09/10 0088405
COACHELLA VALLEY WATER
DI
23.12
278545737654
WATER SVC
GM
00229
02/11
AP
07/14/10 0088405
COACHELLA VALLEY WATER
DI
1,942.02
•
317099849626
JUL-MONTICELLO
GM
00522
03/11
AP
08/16/10 0088756
COACHELLA VALLEY WATER
DI
24.60
278545737654
WATER SVC
GM
00439
03/11
AP
08/23/10 0088734
COACHELLA VALLEY WATER
DI
2,054.04
317099849626
MONTICELLO
GM
00627
03/11
AP
09/09/10 0088956
COACHELLA VALLEY WATER
DI
26.84
278545737654
WATER SVC
GM
00627
03/11
AP
09/16/10 0088956
COACHELLA VALLEY WATER
DI
1,681.08
317099849626
WATER SVC
GM
00876
04/11
AP
10/11/10 0089341
COACHELLA VALLEY WATER
DI
24.60
278545737654
WATER SVC
GM
00931
04/11
AP
10/19/10 0089489
COACHELLA VALLEY WATER
DI
837.72
317099849626
WATER SVC
GM
01097
05/11
AP
11/10/10 0089701
COACHELLA VALLEY WATER
DI
24.60
278545737654
WATER SVC
GM
01210
06/11
AP
11/17/10 0089871
COACHELLA VALLEY WATER
DI
11335.00
317099849626
WATER SVC
GM
01335
06/11
AP
12/08/10 0090089
COACHELLA VALLEY WATER
DI
23.48
278545737654
WATER SVC
GM
01368
06111
AP
12/15/10 0090140
COACHELLA VALLEY WATER
DI
474.84
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER
.._.IVITY
LISTING
F___ 936
PROGRAM
GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
•101-3005-451.40-01
Utilities -Parks /
Water -Monticello Park
317099849626
WATER SVC
GM
0J547
07/11
AP
01/07/11 0090372
COACHELLA VALLEY
WATER
DI
22.36
278545737654
WATER SVC
GM
01692
08/11
AP
01/20/11 0090592
COACHELLA VALLEY
WATER
DI
330.36
317099849626
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
22.36
278545737654
WATER SVC
GM
01841
08/11
AP
02/14/11 0090916
COACHELLA VALLEY
WATER
DI
442.36
317099849626
WATER - MONTICELLO
GM
02022
09/11
AP
03/02/11 0091113
COACHELLA VALLEY
WATER
DI
22.36
278545737654
WATER SVC
GM
02022
09/11
AP
03/11/11 0091113
COACHELLA VALLEY
WATER
DI
467.00
317099849626
MONTICELLO WATER
GM
02225
10/11
AP
03/31/11 0091340
COACHELLA VALLEY
WATER
DI,
21.24
278545737654
WATER SVC
GM
02306
10/11
AP
04/13/11 0091566
COACHELLA VALLEY
WATER
DI
851.16
317099849626
WATER SVC
GM
02588
11/11
AP
05/04/11 0091930
COACHELLA VALLEY
WATER
DI
22.36
278545737654
WATER SVC
GM
02645
11/11
AP
05/12/11 0092079
COACHELLA VALLEY
WATER
DI
1,464.92
317099849626
WATER SVC
GM
02916
12/11
AP
06/09/11 0092460
COACHELLA VALLEY
WATER
1,918.52
VARIOUS
WATER
ACCOUNT TOTAL
14,056.94
14,056.94
101-3005-451.40-02
Utilities -Parks /
Water -Civic Center Park
.00
GM
00229
02/11
AP
07/14/10 0088405
COACHELLA VALLEY
WATER
DI
2,205.21
316527849054
JUL-CAMPUS
GM
00439
03/11
AP
08/23/10 0088734
COACHELLA VALLEY
WATER
DI
11133.01
•
216527849054
CAMPUS WATER SVC
GM
00627
03/11
AP
09/16/10 0088956
COACHELLA VALLEY
WATER
DI
3,232.76
316527849054
CAMPUS WATER
GM
00931
04/11
AP
10/19/10 0089489
COACHELLA VALLEY
WATER
DI
1,879.24
316527849054
WATER SVC
GM
01210
06/11
AP
11/17/10 0089871
COACHELLA VALLEY
WATER
DI
2,030.44
316527849054
WATER SVC
GM
01368
06/11
AP
12/15/10 0090140
COACHELLA VALLEY
WATER
DI
820.84
316527849054
WATER -CC CAMPUS
GM
01692
08/11
AP
01/20/11 0090592
COACHELLA VALLEY
WATER
DI
529.64
316527849054
WATER SVC
GM
01841
08/11
AP
02/14/11 0090916
COACHELLA VALLEY
WATER
DI
816.36
316527849054
WATER - CAMPUS
GM
02127
09/11
AP
03/11/11 0091277
COACHELLA VALLEY
WATER
DI
752.52
316527849054
CAMPUS WATER SVC
GM
02306
10/11
AP
04/13/11 0091566
COACHELLA VALLEY
WATER
DI
1,031.40
316527849054
WATER SVC
GM
02645
11/11
AP
05/12/11 0092079
COACHELLA VALLEY
WATER
DI
2,148.04
PREPARED _17/2014, 10:19:00 GENERAL LEDGER ____IVITY LISTING F...__ 937
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------- -------------------- ------ ----=-------- ------------- WWW ------------ ---------------- ------------------------------ ----
101-3005-451.40-02 Utilities -Parks / Water -Civic Center Park
316527849054 WATER SVC
GM 02916 12/11 AP 06/09/11 0092460 COACHELLA VALLEY WATER
VARIOUS WATER
ACCOUNT TOTAL
101-3005-451.40-03
Utilities -Parks /
Water -Eisenhower Park
GM
00017.
GM
00346
02/11
AP
08/18/10
0088560
COACHELLA
VALLEY
WATER
DI
GM
00189
01/11
AP
VARIOUS
COACHELLA VALLEY WATER DI
WATER SVC
GM
00439
03/11
AP
08/31/10
0088734
COACHELLA
VALLEY
WATER
DI
21774418-0
FB IRRIG
VARIOUS
00346
WATER SVC
AP
08/13/10 0088560
COACHELLA VALLEY WATER DI
GM
00713
03/11
AP
09/27/10
0089108
COACHELLA
VALLEY
WATER
DI
08/18/10 0088560
COACHELLA VALLEY WATER DI
VARIOUS
WATER SVC
WATER SVC
GM
00439
GM
00931
04/11
AP
10/26/10
0089489
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/30/10
0089871
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01420
•07/11
AP
12/27/10
0090251
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01692
08/11
AP
02/01/11
0090592
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01909
09/11
AP
02/28/11
0090943
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
02127
09/11
AP
03/09/11
0091277
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
02306
10/11
AP
04/08/11
0091566
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
02645
11/11
AP
05/06/11
0092079
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
03010
12/11
AP
06/10/11
0092609
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
ACCOUNT TOTAL
101-3005-451.40-04
Utilities -Parks /
Water -Fritz Burns Park
GM
00017.
01/11
AP
06/23/10 0087999
TELEPACIFIC COMMUNICATION
21135341-0
FB IRRIG
GM
00189
01/11
AP
07/09/10 0088363
COACHELLA VALLEY WATER DI
257777677762
WATER SVC
GM
00229
02/11
AP
07/23/10 0088437
TELEPACIFIC COMMUNICATION
21774418-0
FB IRRIG
GM
00346
02/11
AP
08/13/10 0088560
COACHELLA VALLEY WATER DI
257777677762
WATER SVC
GM
00346
02/11
AP
08/18/10 0088560
COACHELLA VALLEY WATER DI
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
224408410
FB IRRIGATION
2,851.40
19,430.86
286.81
242.05
231.80
145.00
342.68
67.72
59.88
55.40
55.40
81.16
183.08
243.00
1,993.98
43.91
507.44
43.87
355.67
953.02
43.87
19,430.86
.00
1,993.98
.00
PREPARED
.7/2014, 10:19:00
GENERAL LEDGER
LISTING
F___ 938
PROGkAM
.GM362LA
_.__IVITY
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING'
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-04
Utilities -Parks /
Water -Fritz Burns Park
GM
00439
03/11
AP
08/31/10 0088734
COACHELLA VALLEY WATER
DI
11318.18
VARIOUS
WATER SVC
GM
00627
03/11
AP
09/09/10 0088956
COACHELLA VALLEY WATER
DI
145.35
257777677762
WATER SVC
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
43.87
231992490
FB IRRIGATION
GM
00713
03/11
AP
09/27/10 0089108
COACHELLA VALLEY WATER
DI
1,937.40
VARIOUS
WATER SVC
GM
00876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY WATER
DI
100.70
257777677762
WATER SVC
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
FB IRRIGATION
GM
01081
05/11
AP
11/04/10 0089675
COACHELLA VALLEY WATER
DI
930.52
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY WATER
DI
83.89
257777677762
FB PARK POOL
GM
01253
06/11
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
FB IRRIG
GM
01210
06/11
AP
11/30/10 0089871
COACHELLA VALLEY WATER
DI
833.08
VARIOUS
WATER SVC
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA VALLEY WATER
DI
85.01
257777677762
WATER SVC
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
FB IRRIG
GM
01547
07/11
AP
01/10/11 0090372
COACHELLA VALLEY WATER
DI
965.24
VARIOUS
WATER SVC
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
43.87
258077380
FB IRRIG
GM
01692
08/11
AP
02/01/11 0090592
COACHELLA VALLEY WATER
DI
397.96
VARIOUS
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY WATER
DI
168.85
257777677762
WATER SVC .
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
FB IRRIG
GM
01909
09/11
AP
02/28/11 0090943
COACHELLA VALLEY WATER
DI
503.80
•
VARIOUS
WATER SVC
GM
02022
09/11
AP
03/03/11 0091113
COACHELLA VALLEY WATER
DI
81.65
257777677762
WATER SVC
GM
02127
09/11
AP
03/11/11 0091277
COACHELLA VALLEY WATER
DI
372.20
315199847726
WATER SVC
GM
02225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
44.64
27291797-0
FB IRRIGATION
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA VALLEY WATER
DI
80.53
257777677762
WATER SVC
GM
02306
10/11
AP
04/20/11 0091566
COACHELLA VALLEY WATER
DI
733.40
VARIOUS
WATER SVC
GM
02538
11/11
AP
04/23/11 0091917
TELEPACIFIC COMMUNICATION
44.62
280004610
FB IRRIG
GM
02645
11/11
AP
05/09/11 0092079
COACHELLA VALLEY WATER
DI
105.40
PREPARED _ ._7/2014, 10:19:00 GENERAL LEDGER ___.IVITY LISTING P--- 939
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.40-04
Utilities -Parks /
Water -Fritz Burns Park
257777677762
WATER SVC
GM 02645 11/11 AP
05/12/11 0092079
COACHELLA VALLEY WATER DI
08/18/10
315199847726
WATER SVC
GM 02916 12/11 AP
06/09/11 0092460
COACHELLA VALLEY WATER
VARIOUS
WATER
GM 03010 12/11 AP
06/17/11 0092609
COACHELLA VALLEY WATER DI
WATER SVC
315199847726
WATER SVC
ACCOUNT TOTAL
101-3005-451.40-05
Utilities -Parks /
Water -Velasco Park
GM
00346
02/11
AP
08/18/10
0088560
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/31/10
0088734
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00713
03/11
AP
09/27/10
0089108
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00931
04/11
AP
10/26/10
0089489
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/30/10
0089871
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01420
07/11
AP
12/27/10
0090251
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01692
08/11
AP
02/01/11
0090592
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
01909
09/11
AP
02/28/11
0090943
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
02127
09/11
AP
03/09/11
0091277
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
02306
10/11
AP
04/08/11
0091566
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
02645
11/11
AP
05/06/11
0092079
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
GM
03010
12/11
AP
06/10/11
0092609
COACHELLA
VALLEY
WATER
DI
315097847624
WATER SVC
ACCOUNT TOTAL
101-3005-451.40-06
Utilities -Parks /
Water -Desert Pride
GM
00346
02/11
AP
08/18/10
0088560
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00346
02/11
AP
08/18/10
0088560
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00605
03/11
AP
09/16/10
0088925
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
GM
00931
04/11
AP
10/26/1.0
0089489
COACHELLA
VALLEY
WATER
DI
VARIOUS
WATER SVC
935.56
76.05
1,423.88
13,578.77
60.20
71.53
71.64
69.40
109.16
64.36
64.36
47.56
42.52
90.68
45.88
94.04
831.33
482.88
419.02
451.34
374.06
13,578.77
.00
831.33
.00
PREPARED _..17/2014, 10:19:00
GENERAL LEDGER IVITY
LISTING
F- 940
PROGRAM GM362LA
00299
02/11
AP
08/02/10 0088532
COACHELLA VALLEY
CITY OF LA QUINTA, CALIFORNIA
110521324960
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
GM
00522
03/11
BEGINNING
CROUP ACCTG ----TRANSACTION----
COACHELLA VALLEY
WATER DI
/ENDING
APP NUMBER PER. CD DATE NUMBER
------------------------------------------------------------------------------------------------------------------------------------
D E S C R I P
T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-06 Utilities -Parks /
Water -Desert Pride
09/30/10 0089296
COACHELLA VALLEY
WATER DI
GM 01210 06/11 AP 11/18/10 0089871
COACHELLA
VALLEY WATER
DI
405.42
SEELEY/PIONEER PK
VARIOUS
WATER SVC
01081
05/11
AP
10/28/10 0089675
GM 01368 06/11 AP 12/16/10 0090140
COACHELLA
VALLEY WATER
DI
405.42
VARIOUS
WATER SVC
GM
01253
06/11
GM 01368 06/11 AP 12/16/10 0090140
COACHELLA
VALLEY WATER
DI
230.70
VARIOUS
WATER SVC
110521324960
PIONEER PK WATER
GM
GM 01692 08/11 AP 02/01/11 0090592
COACHELLA
VALLEY WATER
DI
203.26
WATER DI
VARIOUS
WATER SVC
110521324960
PIONEER PARK
GM 01909 09/11 AP 02/28/11 0090943
COACHELLA
VALLEY WATER
DI
170.22
01/28/11 0090592
VARIOUS
WATER SVC
ACCOUNT TOTAL
101-3005-451.40-07
Utilities -Parks /
Pioneer Park
GM
00299
02/11
AP
08/02/10 0088532
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PK
GM
00522
03/11
AP
09/01/10 0088756
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PARK
GM
00837
04/11
AP
09/30/10 0089296
COACHELLA VALLEY
WATER DI
110521324960
SEELEY/PIONEER PK
GM
01081
05/11
AP
10/28/10 0089675
COACHELLA VALLEY
WATER DI
1010521324960
PIONEER PARK
GM
01253
06/11
AP
12/01/10 0089904
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PK WATER
GM
01420
07/11
AP
12/30/10 0090251
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PARK
GM
01692
08/11
AP
01/28/11 0090592
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PARK
GM
01909
09/11
AP
02/25/11 0090943
COACHELLA VALLEY
WATER DI
.
110521324960
PIONEER PARK
GM
02225
10/11
AP
03/25/11 0091340
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PARK
GM
02468
11/11
AP
04/26/11 0091749
COACHELLA VALLEY
WATER DI
110521324960
PIONEER PARK
GM
02808
12/11
AP
05/27/11 0092311
COACHELLA VALLEY
WATER DI
1105121-324960
PIONEER PARK
GM
03020
12/11
AP
06/29/11 0092647
COACHELLA VALLEY
WATER DI
110521324960
WATER SVC
ACCOUNT TOTAL
101-3005-451.40-09 Utilities -Parks / Water -Seasons Park
GM 01547 07/11 AP 12/17/10 0090372 COACHELLA VALLEY WATER DI
333089851124 SEASONS DOG PK
GM 01547 07/11 AP 01/07/11 0090372 COACHELLA VALLEY WATER DI
333089851124 WATER SVC
GM 01793 08/11 AP 02/08/11 0090773 COACHELLA VALLEY WATER DI
3,142.32
1,168.29.
1,483.98
358.38
284.46
268.78
705.02
282.22
365.10
375.18
696.62
1,323.26
1,466.62
8,777.91
12.03
31.03
9.21
3,142.32
00
8,777.91
.00
PREPARED .,17/2014, 10:19:00 GENERAL LEDGER IVITY LISTING Fhvc 941
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.40-09
Utilities -Parks / Water -Seasons Park
Water -Community
Park
GM
333089851124
SEASONS DOG PK
AP
07/14/10 0088363
GM
02022
09/11
AP
03/02/11 0091113
COACHELLA VALLEY
WATER DI
21.24
316343848870
WATER SVC
333089851124
WATER SVC
GM
GM
02306
10/11
AP
04/08/11 0091566
COACHELLA VALLEY
WATER DI
21.24
128.35
333089851124
WATER SVC
WATER SVC
GM
02588
11/11
AP
05/04/11 0091930
COACHELLA VALLEY
WATER DI
21.24
COACHELLA
VALLEY
WATER
DI
333089851124
WATER SVC
GM
02916
12/11
AP
06/09/11 0092460
COACHELLA VALLEY
WATER
21.24
03/11
AP
09/02/10 0088756
COACHELLA
VARIOUS
WATER
DI
121.36
•
ACCOUNT TOTAL
WATER SVC
137.23
101-3005-451.40-10 Utilities -Parks / Water-Rec Trailer
ACCOUNT TOTAL
101-3005-451.40-12
Utilities -Parks /
Water -Community
Park
GM
00189
01/11
AP
07/14/10 0088363
COACHELLA
VALLEY
WATER
DI
7,139.70
316343848870
WATER SVC
GM
00229
02/11
AP
07/29/10 0088405
COACHELLA
VALLEY
WATER
DI
128.35
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/23/10 0088734
COACHELLA
VALLEY
WATER
DI
11,871.61
316343848870
LQ PK WATER SVC
GM
00522
03/11
AP
09/02/10 0088756
COACHELLA
VALLEY
WATER
DI
121.36
•
VARIOUS
WATER SVC
GM
00627
03/11
AP
09/10/10 0088956
COACHELLA
VALLEY
WATER
DI
15.00
278527737632
WATER SVC
GM
00627
03/11
AP
09/16/10 0088956
COACHELLA-VALLEY
WATER
DI
6,473.36
VARIOUS
WATER SVC
GM
00931
04/11
AP
10/19/10 0089489
COACHELLA
VALLEY
WATER
DI
4,344.28
316343848870
WATER SVC
GM
00876
04/11
AP
10/20/10 0089341
COACHELLA
VALLEY
WATER
DI
98.96
VARIOUS
WATER SVC
GM
01097
05/11
AP
11/17/10 0089701
COACHELLA
VALLEY
WATER
DI
74.32
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/17/10 0089871
COACHELLA
VALLEY
WATER
DI
3,182.84
316343848870
WATER SVC
GM
01368
06/11
AP
12/15/10 0090140
COACHELLA
VALLEY
WATER
DI
2,034.84
316343848870
WATER SVC
GM
01368
06/11
AP
12/16/10 0090140
COACHELLA
VALLEY
WATER
DI
98.96
VARIOUS
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI
15.00
278527737632
LQ PARK
GM
01629
07/11
AP
O1/10/11 0090559
COACHELLA
VALLEY
WATER
DI
268.20
11507330136
WATER -LQ PARK
GM
01692
08/11
AP
01/20/11 0090592
COACHELLA
VALLEY
WATER
DI
1,124.28
316343848870
WATER SVC
137.23
.00
.00
.00
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER __.IVITY
LISTING
FMwa 942
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P
T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-12
Utilities -Parks /
Water -Community
Park
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
339.76
VARIOUS
WATER SVC
GM
01841
08/11
AP
02/14/11 0090916
COACHELLA
VALLEY
WATER
DI
1,057.08
316343848870
WATER - LQ
PARK
GM
02022
09/11
AP
03/02/11 0091113
COACHELLA
VALLEY
WATER
DI
293.28
VARIOUS
WATER SVC
GM
02022
09/11
AP
03/11/11 0091113
COACHELLA
VALLEY
WATER
DI
1,431.16
316434848870
LQ PARK WATER
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA
VALLEY
WATER
DI
363.28
VARIOUS
WATER SVC
GM
02306
10/11
AP
04/13/11 0091566
COACHELLA
VALLEY
WATER
DI
2,647.48
316343848870
WATER SVC
GM
02588
11/11
AP
05/04/11 0091930
COACHELLA
VALLEY
WATER
DI
376.16
VARIOUS
WATER SVC
GM
02645
11/11
AP
05/12/11 0092079
COACHELLA
VALLEY
WATER
DI
4,038.52
316343848870
WATER.SVC
GM
02916
12/11
AP
06/09/11 0092460
COACHELLA
VALLEY
WATER
5,934.00
VARIOUS
WATER
GM
03020
12/11
AP
06/09/11 0092647•
COACHELLA
VALLEY
WATER
DI
407.64
115087330136
LQ PARK
ACCOUNT TOTAL
53,879.42
53,879.42
101-3005-451.40-14
Utilities -Parks /
Water -Adams Park
.00
GM
00346
02/11
AP
08/18/10 0088560
COACHELLA
VALLEY
WATER
DI
2,415.09
VARIOUS
WATER SVC
GM
00439
. 03/11
AP
08/31/10 0088734
COACHELLA
VALLEY
WATER
DI
3,787.26
•
VARIOUS
WATER SVC
GM
00713
03/11
AP
09/27/10 0089108
COACHELLA
VALLEY
WATER
DI
2,779.26
VARIOUS
WATER SVC
GM
01081
05/11
AP
11/04/10 0089675
COACHELLA
VALLEY
WATER
DI
903.82
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/30/10 0089871
COACHELLA
VALLEY
WATER
DI
1,466.62
VARIOUS
WATER SVC
GM
01547
07/11
AP
O1/10/11 0090372
COACHELLA
VALLEY
WATER
DI
799.66
VARIOUS
WATER SVC
GM
01692
08/11
AP
02/01/11 0090592
COACHELLA
VALLEY
WATER
DI
297.34
VARIOUS
WATER SVC
GM
01909
09/11
AP
02/28/11 0090943
COACHELLA
VALLEY
WATER
DI
442.38
VARIOUS
WATER SVC
GM
02127
09/11
AP
03/11/11 0091277
COACHELLA
VALLEY
WATER
DI
580.14
315199847726
WATER SVC
GM
02306
10/11
AP
04/20/11 0091566
COACHELLA
VALLEY
WATER
DI
889.82
VARIOUS
WATER SVC
GM
02645
11/11
AP
05/12/11 0092079
COACHELLA
VALLEY
WATER
DI
1,836.22
315199847726
WATER SVC
GM
03010
12/11
AP
06/17/11 0092609
COACHELLA
VALLEY
WATER
DI
2,152.62
315199847726
WATER SVC
PREPARED _17/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING F...... 943
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG --=-TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.40-14 Utilities -Parks / Water -Adams Park
ACCOUNT TOTAL
101-3005-451.40-16
Utilities -Parks /
Phone -Sports Complex
GM
00085
01/11
AP
06/28/10
0088213
VERIZON CALIFORNIA
771-3100
SPORTS COMPLEX
GM
00299
02/11
AP
07/28/10
0088547
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX 7/28-8/27
GM
00522
03/11
AP
08/28/10
0088774
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX 8/28-9/27
GM
00837
04/11
AP
09/28/10
0089329
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX 9/28-10/27
GM
01097
05/11
AP
1.0/28/10
0089736
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX LIGHTING
GM
01335
06/11
AP
11/28/10
0090130
VERIZON CALIFORNIA
771-3100
SPORTS COMPLEX
GM
01547
07/11
AP
12/28/10
0090408
VERIZON CALIFORNIA
771-3100
SPORTS COMPLEX
GM
01757
08/11
AP
01/28/11
0090761
VERIZON CALIFORNIA
771-3100
SPORTS COMPLEX
GM
02022
09/11
AP
02/28/11
0091146
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX
GM
02288
10/11
AP
03/28/11
0091558
VERIZON CALIFORNIA
771-3100
SPORTS CMPLX 3/28-4/27
GM
02588
11/11
AP
04/28/11
0091956
VERIZON CALIFORNIA .
771-3100
SPORTS COMPLEX
GM
02740
12/11
AP
05/28/11
0092160
VERIZON CALIFORNIA
771-3100
SPORTS COMPLEX
GM
03010
12/11
AP
06/28/11
0092625
VERIZON CALIFORNIA
•
771-3100
SPORTS COMPLEX
ACCOUNT TOTAL
101-3005-451•.40-17 Utilities -Parks / Phone-SilverRock Trailer
ACCOUNT TOTAL
101-3005-451.40-18 Utilities -Parks / Museum
ACCOUNT TOTAL
101-3005-451.40-51 Utilities -Parks / Electric -Monticello Park
GM 00299 02/11 AP 07/27/10 0088538 IMPERIAL IRRIGATION DIST
50435874 ELECTRIC SVC
GM 00522 03/11 AP 08/24/10 0088764 IMPERIAL IRRIGATION DIST
18,350.23
35.15
35.03
35.03
35.03
34.99
34.99
36.38
35.69
35.69
35.69
35.65
35.61
35.61
460.54
5.38
4.11
18,350.23
.00
460.54•
.00
.00
.00
.00
.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P___ 944
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P
T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-51
Utilities -Parks /
Electric -Monticello
Park
50435874
ELECTRIC
SVC
GM
00713
03/11
AP
09/23/10
0089111
IMPERIAL
IRRIGATION
DIST
4.11
50435874
ELECTRIC
SVC
GM
01081
05/11
AP
10/24/10
0089684
IMPERIAL
IRRIGATION
DIST
5.38
50435874
ELECTRIC-MONTICELLO
GM
01210
06/11
AP
11/22/10
0089875
IMPERIAL
IRRIGATION
DIST
4.11
50435874
ELECTRIC
SVC
GM
01420
07/11
AP
12/26/10
0090258
IMPERIAL
IRRIGATION
DIST
4.11
50435874
MONTICELLO
PARK
GM
01692
08/11
AP'01/26/11
0090601
IMPERIAL
IRRIGATION
DIST
5.38
50435874
ELECTRIC
SVC
GM
02022
09/11
AP
02/27/11
0091124
IMPERIAL
IRRIGATION
DIST
4.11
50435874
MONTICELLO
PK
GM
02225
10/11
•AP
03/27/11
0091348
IMPERIAL
IRRIGATION
DIST
4.11
50435874
ELECTRIC
SVC
GM
02468
11/11
AP
04/26/11
0091761
IMPERIAL
IRRIGATION
DIST
5.38
50435874
ELECTRIC
SVC
GM
02740
12/11
AP
05/24/11
0092149
IMPERIAL
IRRIGATION
DIST
4.11
50435874
ELECTRIC
SVC
GM
03010
12/11
AP
06/23/11
0092616
IMPERIAL
IRRIGATION
DIST
4.11
50435874
ELECTRIC
SVC
ACCOUNT TOTAL
54.40
54.40
101-3005-451.40-52
Utilities -Parks /
Electricity-Cvc
Ctr Park
.00
GM
00229
02/11
AP
07/21/10
0088413
IMPERIAL
IRRIGATION
DIST
2,886.52
50210171
ELECTRIC
SVC
GM
00439
03/11
AP
08/19/10
0088741
IMPERIAL
IRRIGATION
DIST
2,379.65
50210171
ELECTRIC
SVC
GM
00713
03/11
AP
09/20/10
0089111
IMPERIAL
IRRIGATION
DIST
2,455.88
50210171
ELECTRIC
SVC
GM
01033
05/11
AP
10/19/10
0089522
IMPERIAL
IRRIGATION
DIST
2,476.20
50210171
ELECTRIC
SVC
GM
01210
06/11
AP
11/17/10
0089875
IMPERIAL
IRRIGATION
DIST
2,399.98
50210171
ELECTRIC
SVC
GM
01420
07/11
AP
12/20/10
0090258
IMPERIAL
IRRIGATION
DIST
3,040.23
50210171
ELECTRIC
SVC
GM
01692
08/11
AP
01/23/11
0090601
IMPERIAL
IRRIGATION
DIST
4,215.29
50210171
ELECTRIC
SVC
GM
01909
09/11
AP
02/21/11
0090949
IMPERIAL
IRRIGATION
DIST
2,984.71
50210171
ELECTRIC
SVC
GM
02177
10/11
AP
03/22/11
0091315
IMPERIAL
IRRIGATION
DIST
3,280.87
50210171
ELECTRIC
SVC
GM
02403
10/11
AP
04/20/11
0091731
IMPERIAL
IRRIGATION
DIST
3,428.29
50210171
ELECTRIC
SVC
GM
02740
12/11
AP
05/19/11
0092149
IMPERIAL
IRRIGATION
DIST
3,918.92
50210171
ELECTRIC
SVC
GM
03010
12/11
AP
06/20/11
0092616
IMPERIAL
IRRIGATION
DIST
2,827.09
PREPARED _17/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING P --- 945
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------=
FUND 101,General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.40-52 Utilities -Parks / Electricity-Cvc Ctr Park
50210171 ELECTRIC SVC
ACCOUNT TOTAL
101-3005-451.40-53 Utilities -Parks / Pioneer Park
GM 01692 08/11 AP 01/24/11 0090601 IMPERIAL IRRIGATION DIST
50514012 PIONEER ELECTRIC SVC
ACCOUNT TOTAL
101-3005-451.40-54
Utilities -Parks /
Electric -Fritz
Burns Park
GM
GM
00229
02/11
AP
07/21/10
0088413
IMPERIAL
IRRIGATION
DIST
50076355
VARIOUS
ELECTRIC
ELECTRIC
SVC
GM
GM
00439
03/11
AP
08/30/10
0088741
IMPERIAL
IRRIGATION
DIST
50076355
VARIOUS
ELECTRIC
ELECTRIC
SVC
GM
GM
00713
03/11
AP
09/20/10
0089111
IMPERIAL
IRRIGATION
DIST
50076355
VARIOUS
ELECTRIC
ELECTRIC
SVC
GM
GM
01033
05/11
AP
10/19/10
0089522
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
01210
06/11
AP
11/17/10
0089875
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
01420
07/11
AP
12/19/10
0090258
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
01692
08/11
AP
01/25/11
0090601
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
01841
08/11
AP
02/16/11
0090923
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
GM
02177
10/11
AP
03/21/11
0091315
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
02403
10/11
AP
04/20/11
0091731
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
GM
02740
12/11
AP
05/19/11
0092149
IMPERIAL
IRRIGATION
DIST
•
VARIOUS
ELECTRIC
SVC
GM
03010
12/11
AP
06/20/11
0092616
IMPERIAL
IRRIGATION
DIST
VARIOUS
ELECTRIC
SVC
ACCOUNT TOTAL
101-3005-451.40-56
Utilities -Parks /
Electricity -Sports Complx
GM
00229
02/11
AP
07/19/10
0088413
IMPERIAL
IRRIGATION
DIST
50076355
ELECTRIC
SVC
GM
00439
03/11
AP
08/18/10
0088741
IMPERIAL
IRRIGATION
DIST
50076355
ELECTRIC
SVC
GM
00713
03/11
AP
09/21/10
0089111
IMPERIAL
IRRIGATION
DIST
50076355
ELECTRIC
SVC
GM
01033
05/11
AP
10/18/10
0089522
IMPERIAL
IRRIGATION
DIST
36,293.63
29..11
29.11
1,491.99
1,298.88
1,314.14
1,293.82
1,410.69
1,253.16
485.87
1,055.57
1,360.62
1,447.06
1,147.09
1,284.35
14,843.24
2,665.50
2,038.31
2,140.87
2,254.74
36,293.63-
.00
29'. 11
.00 .
14,843.24
.00
PREPARED ..17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING P- 946
PROGRAM GM362LA
CITY'OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.40-56
Utilities -Parks /
Electricity -Sports Complx
GM
01910
08/11
AJ
02/28/11
50076355
RECLASS TO CORRECT ACCT
ELECTRIC SVC
GM
02177
GM
01210
06/11
AP
11/17/10
0089875
IMPERIAL IRRIGATION
DIST
2,935.93
50505537
50076355
ELECTRIC
ELECTRIC SVC
GM
01420
07/11
AP
12/16/10
0090258
IMPERIAL IRRIGATION
DIST
2,338.30
4.11
50076355
50505537
ELECTRIC SVC
ELECTRIC
SVC
GM
01757
08/11
AP
01/27/11
0090750
IMPERIAL IRRIGATION
DIST
2,149.20
IRRIGATION
DIST
4.11
50076355
SPORTS COMPLEX
50505537
GM
01841
08/11
AP
02/16/11.0090923
03010
IMPERIAL IRRIGATION
DIST
31015.95
009.2616
IMPERIAL
IRRIGATION
DIST
50076355
ELECTRIC
GM
02177
10/11
AP
03/21/11
0091315
IMPERIAL IRRIGATION
DIST
3,566.08
ACCOUNT TOTAL
50076355
688.61
ELECTRIC SVC
CR
02515
11/11
CR
05/09/11
0019339
IID/SPORT COMPLX ELECTRIC
24,981.25
DMARTIN 05/09/11
01
GM
02740
12/11
AP
05/17/11
0092149
IMPERIAL IRRIGATION
DIST
2,190.31
50076355
ELECTRIC SVC
GM
03031
12/11
AP
07/18/11
0092852
IMPERIAL IRRIGATION
DIST
1,529.36
50076355
SPORTS COMPLEX
ACCOUNT TOTAL
26,824.55 24,981.25
101:3005-451.40-57 Utilities -Parks / Electricity -Seasons Park
ACCOUNT TOTAL
101-3005-451.40-59
Utilities -Parks / Electricity -Colonel Paige
GM
01910
08/11
AJ
02/28/11
AJE 08-037
RECLASS TO CORRECT ACCT
672.17'
GM
02177
10/11
AP
03/24/11
0091315
IMPERIAL
IRRIGATION
DIST
4.11
50505537
ELECTRIC
SVC
GM
02468
11/11
AP
04/24/11
0091761
IMPERIAL
IRRIGATION
DIST
4.11
50505537
ELECTRIC
SVC
GM
02740
12/11
AP
05/24/11
0092149
IMPERIAL
IRRIGATION
DIST
4.11
50505537
ELECTRIC
SVC
GM
03010
12/11
AP
06/22/11
009.2616
IMPERIAL
IRRIGATION
DIST
4.11
50505537
ELECTRIC
SVC
ACCOUNT TOTAL
688.61
101-3005-451.40-60 Utilities -Parks / Electric-Rec Trailers
ACCOUNT TOTAL
101-3005-451.40-61 Utilities -Parks / Electric -Community Park
GM 00299 02/11 AP 08/09/10 0088538 IMPERIAL IRRIGATION DIST 1,146.46
VARIOUS ELECTRIC SVC
GM 00522 03/11 AP 09/02/10 0088764 IMPERIAL IRRIGATION DIST 1,154.07
1,843.30
.00
.00
.00
688.61
.00
.00
.00
PREPARED
-..17/2014, 10:19:00
GENERAL LEDGER .__.IVITY
LISTING
P___ 947
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-----------------------------------------------------------------------------------------------------------------------------------=
PER:
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-61
Utilities
-Parks /
Electric -Community Park
VARIOUS
ELECTRIC
SVC
GM
00713
03/11
AP
09/22/10
0089111
IMPERIAL
IRRIGATION
DIST
363.62
50306529
ELECTRIC
SVC
GM
01033
05/11
AP
10/18/10
0089522
IMPERIAL
IRRIGATION
DIST
1,964.56
VARIOUS
ELECTRIC
SVC
GM
01081
05/11
AP
10/25/10
0089684
IMPERIAL
IRRIGATION
DIST
3,103.75
50229968
ELECTRIC
-LQ PARK
GM
01210
06/11
AP
11/21/10
0089875
IMPERIAL
IRRIGATION
DIST
281.05
50306529
ELECTRIC
SVC
GM
01420
•07/11
AP
12/22/10
0090258
IMPERIAL
IRRIGATION
DIST
320.43
50306529
ELECTRIC
SVC
GM
01420
07/11
AP
12/26/10
0090258
IMPERIAL
IRRIGATION
DIST
6,207.49
50229968
LQ PARK
10/22-12/22
GM
01692
08/11
AP
01/23/11
0090601
IMPERIAL
IRRIGATION
DIST
3,972.44
VARIOUS
ELECTRIC
SVC
GM
01909
09/11
AP
02/21/11
0090949
IMPERIAL
IRRIGATION
DIST
4,114.96
VARIOUS
ELECTRIC
SVC
GM
02177
10/11
AP
03/24/11
0091315
IMPERIAL
IRRIGATION
DIST
276.11
50306529
ELECTRIC
SVC
GM
02225
10/11
AP
03/27/11
0091348
IMPERIAL
IRRIGATION
DIST
3,207.14
50229968
ELECTRIC
SVC
GM
02468
11/11
AP
04/24/11
0091761
IMPERIAL
IRRIGATION
DIST
2,621.49
50306529
ELECTRIC
SVC
GM
02740
12/11
AP
05/24/11
0092149
IMPERIAL
IRRIGATION
DIST
2,391.44
VARIOUS
ELECTRIC
SVC
GM
03010
12/11
AP
06/22/11
0092616
IMPERIAL
IRRIGATION
DIST
2,193.15
VARIOUS
ELECTRIC
SVC
ACCOUNT
TOTAL
33,318.16
330318.16
101-3005-451.40-62
Utilities
-Parks /
Electricty-Adams Park
.00
GM
00299
02/11
AP
07/25/10
0088538
IMPERIAL
IRRIGATION
DIST
75.25
50014729
ELECTRIC
SVC
GM
00522
03/11
AP
08/23/10
0088764
IMPERIAL
IRRIGATION
DIST
76.53
50014729
ELECTRIC
SVC
GM
00713
03/11
AP
09/22/10
0089111
IMPERIAL
IRRIGATION
DIST
93.03
50014729
ELECTRIC
SVC
GM
0.1033
05/11
AP
10/21/10
0089522
IMPERIAL
IRRIGATION
DIST
94.31
50014729
ELECTRIC
SVC
GM
01210
06/11
AP
11/21/10
0089875
IMPERIAL
IRRIGATION
DIST
100.66
50014729
ELECTRIC
SVC
GM
01420
07/11
AP
12/22/10
0090258
IMPERIAL
IRRIGATION
DIST -
119.71
50014729
ELECTRIC
SVC
GM
01692
08/11
AP
01/24/11
0090601
IMPERIAL
IRRIGATION
DIST
112.10
50014729
ELECTRIC
SVC
GM
01909
09/11
AP
02/23/11
0090949
IMPERIAL
IRRIGATION
DIST
108.34
50014729
ELECTRIC
SVC
GM
02177
10/11
AP
03/24/11
0091315
IMPERIAL
IRRIGATION
DIST
91.82
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER ___.IVITY
LISTING
F..__ 948
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
-----------------------------------'-------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-62
Utilities -Parks /
Electricty-Adams Park
50014729
ELECTRIC
SVC
GM 02468
11/11
AP
04/24/11 0091761
IMPERIAL
IRRIGATION
DIST
85.46
50014729
ELECTRIC
SVC
GM 02740
12/11
AP
05/23/11 0092149
IMPERIAL
IRRIGATION
DIST
74.03
50014729
ELECTRIC
SVC
GM 03010
12/11
AP
06/22/11 0092616
IMPERIAL
IRRIGATION
DIST
81.65
50014729
ELECTRIC
SVC
ACCOUNT TOTAL
1,112.89
1,112.89
101-3005-451.40-63
Utilities -Parks /
Electricity -Velasco
Park
.00
GM 01909
09/11
AP'02/16/11
0090949
IMPERIAL
IRRIGATION
DIST
- 6.65
50193004
VELASCO
PK ELECTRIC
SVC
ACCOUNT TOTAL
6.65
6.65
101-3005-451.40-64
Utilities -Parks /
Electricity -Saguaro
Park
.00
ACCOUNT TOTAL
.00
101-3005-451.40-65
Utilities -Parks /
Electric -Eisenhower
Park
.00
GM 00229
02/11
AP
07/20/10 0088413
IMPERIAL
IRRIGATION
DIST
19.36
50059934
ELECTRIC
SVC
GM 00439
03/11
AP
08/18/10 0088741
IMPERIAL
IRRIGATION
DIST
14.29
50059934
ELECTRIC
SVC
GM 00713
03/11
AP
09/19/10 0089111
IMPERIAL
IRRIGATION
DIST
15.55
50059934
ELECTRIC
SVC
GM 01033
05/11
AP
10/19/10 0089522
IMPERIAL
IRRIGATION
DIST
16.82
50059934
ELECTRIC
SVC
GM 01210
06/11
AP
11/16/10 0089875
IMPERIAL
IRRIGATION
DIST
18.08
50059934
ELECTRIC
SVC
GM 01420
07/11
AP
12/19/10 0090258
IMPERIAL
IRRIGATION
DIST
18.08
50059934
ELECTRIC
SVC
GM 01692
08/11
AP
01/25/11 0090601
IMPERIAL
IRRIGATION
DIST
20.63
VARIOUS
ELECTRIC
SVC
GM 01909
09/11
AP
02/21/11 0090949
IMPERIAL
IRRIGATION
DIST
16.83
50059934
ELECTRIC
SVC
GM 02177
10/11
AP
03/21/11 0091315
IMPERIAL
IRRIGATION
DIST
18.09
50059934
ELECTRIC
SVC
GM 02403
10/11
AP
04/19/11 0091731
IMPERIAL
IRRIGATION
DIST
18.09
50059934
ELECTRIC
SVC
GM 02740
12/11
AP
05/18/11 0092149
IMPERIAL
IRRIGATION
DIST
15.56
50059934
ELECTRIC
SVC
GM 03010
12/11
AP
06/19/11 0092616
IMPERIAL
IRRIGATION
DIST
16.83
50059934
ELECTRIC
SVC
ACCOUNT TOTAL
208.21
208.21
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER ___.IVITY
LISTING
P..__ 949
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---- --------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.40-66
Utilities -Parks / Electricity
-Desert Pride
.00
GM 00299
02/11
AP
07/25/10 0088538
IMPERIAL IRRIGATION DIST•
5.38
50148040
ELECTRIC SVC
GM 00522
03/11
AP
08/23/10 0088764
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 00713
03/11
AP
09/22/10 0089111
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 01033
05/11
AP
10/21/10 0089522
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 01210
06/11
AP
11/21/10 0089875
IMPERIAL IRRIGATION DIST
4.11
50148040
ELECTRIC SVC
GM 01420
07/11
AP
12/22/10 0090258
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 01692
08/11
AP
01/24/11 0090601
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 01909
09/11
AP
02/23/11 0090949
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 02177
10/11
AP
03/24/11 0091315
IMPERIAL IRRIGATION DIST
4.11
50148040
ELECTRIC SVC
GM 02468
11/11
AP
04/24/11 0091761
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 02740
12/11
AP
05/23/11 0092149
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
GM 03010
12/11
AP
06/22/11 0092616
IMPERIAL IRRIGATION DIST
5.38
50148040
ELECTRIC SVC
ACCOUNT TOTAL
62.02
62.02
10113005-451.40-67
Utilities -Parks / Electric-S1vrRock
Trailer
.00
ACCOUNT TOTAL
.00 .
101-3005-451.41-30
Utilities / Security
and Alarm
.00
ACCOUNT TOTAL
.00
101-3005-451.41-35
Utilities / Security -Sports
Complex
.00
GM 00346
02/11
AP
08/07/10 0088551
ADT SECURITY SERVICES
167.13
30227477
SEP-NOV SPORTS CMPLX
GM 01097
05/11
AP
11/06/10 0089696
ADT SECURITY SERVICES
167.13
•
35859551
DEC -FEB SPORTS COMPLEX
GM 01793
08/11
AP
02/05/11 0090766
ADT SECURITY SERVICES
167.13
41534848
MAR -MAY SPORTS CMPLX
GM 02588
11/11
AP
05/07/11 0091925
ADT SECURITY SERVICES
167.13
47367361
JUN -AUG SPRTS CMPLX
ACCOUNT TOTAL.
668.52
668.52
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER ___.IVITY
LISTING
P..-- 950
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER,
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.42-15
Contract
Services /
Janitorial
.00
GM
00023
01/11
AP
07/01/10
0088004
ADVANCED INC
1,450.00
13415
JUL=JANITORIAL SVC
GM
00274
02/11
AP
08/01/10
0088448
ADVANCED INC
1,536.60
13462
JUL-JANITORIAL SVC
GM
00490.
03/11
AP
09/01/10
0088779
ADVANCED INC
11536.60
13487
JANITORIAL
GM
00823
04/11
AP
10/O1/10
0089152
ADVANCED INC
1,536.60
13524
JANITORIAL SVC
GM
01046
05/11
AP
11/01/10
0089541
ADVANCED INC
1,536.60
13559
JANITORIAL SVC
GM
01272
06/11
AP
12/01/10
0089926
ADVANCED INC
11536.60
13594
JANITORIAL SVC
GM
01478
07/11
AP
O1/01/11
0090275
ADVANCED INC
1,536.60
13626
JANITORIAL SVC
GM
01704
08/11
AP
02/01/11
0090618
ADVANCED INC
1,536.60
13652
JANITORIAL SVC
GM
01962
09/11
AP
03/01/11
0090968
ADVANCED INC
1,536.60
13680
JANITORIAL SVC
GM
02198
10/11
AP
04/01/11
0091360
ADVANCED INC
1,536.60
13710
JANITORIAL SVC
GM
02435
11/11
AP
05/01/11
0091785
ADVANCED INC
1,536.60
13735
JANITORIAL
GM
02728
12/11
AP
06/01/11
0092165
ADVANCED INC
1,536.60
13771
JUN -JANITORIAL SVC
ACCOUNT
TOTAL
18,352.60
18,352.60
101-3005-451.43-59
Other Services
/ LQ
Park Building
.00
GM
00353
02/11
AP
04/13/10
0088660
MAPLE LEAF PLUMBING
97.88
*11618
LQ PK RESTROOM
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
67.44
26491808
JUL-LQ PARK
GM
00017
01/11
AP
06/23/10
0087999
TELEPACIFIC COMMUNICATION
219.55
21135341-0
LQ PARK
GM
00085
01/11
AP
07/01/10.
0088213
VERIZON CALIFORNIA
43.96
345-2951
JUL-LQ PARK
GM
00085
01/11
AP
07/03/10
0088178
ADT SECURITY SERVICES
67.44
28311132
AUG -LQ PARK
GM
00023
01/11
AP
07/06/10
0088165
UNITED STATES POOLS CORPO
104.07
28207
PUMP REPAIR@LQ PK
GM
00259
02/11
AP
07/07/10
0088515
TRULY NOLEN INC
55.00
66925685
LQ PARK
GM
00229
02/11
AP
07/23/10
0088437
TELEPACIFIC COMMUNICATION
219.35
21774418-0
LQ PARK
GM
00299
02/11
AP
08/01/10
0088547
VERIZON CALIFORNIA
44.62
345-2951
AUG -LQ PARK
GM
00346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
67.44
30227501
SEP -LQ PARK
PREPARED
..17/2014,
10:19:00
GENERAL LEDGER .._ IVITY
LISTING
P..__ 951
PROGRAM
GM36.2LA
CITY
OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
•101-3005-451.43-59
Other Services
/ LQ
Park Building
GM
00367
03/11
AP
O8/11/10
0088903
TRULY NOLEN INC
55.00
660000344
LQ PARK -PST CNTRL
GM
OU439
03/11
AP
08/23/10
0088749
TELEPACIFIC COMMUNICATION
219.35
224408410
LQ PARK
GM
00627
03/11
AP•09/O1/10
0088973
VERIZON CALIFORNIA
44.62
345-2951
SEP -LQ PARK
GM
00605
03/11
AP
09/04/10
0088919
ADT SECURITY SERVICES
67.44
32100934
OCT -LQ PARK
GM
00702
03/11
AP
09/09/10
0089098
UNITED STATES POOLS CORPO
1,443.68
29704
CK VALVE REPAIR
GM
00702
03/11
AP
09/10/10
0089098
UNITED STATES POOLS CORPO
199.99
29723
WATER FEATURE
GM
00624
03/11
AP
09/20/10
0089045
LOCK SHOP INC, THE
706.88
E621160
REKEY LQ PARK
GM
00736
04/11
AP
09/20/10
0089278
TRULY NOLEN INC
55.00
660002355
LP PARK•PST CNTRL
GM
OD702
03/11
AP
09/21/10
0089098
UNITED STATES POOLS CORPO
142.00
30239
WATER FEATURE AIRLOCK
GM
00751
04/11
AP
09/23/10
0089142
TELEPACIFIC COMMUNICATION
219.35
231992490
LQ PARK
GM
00784
04/11
AP
09/27/10
0089230
LOCK SHOP INC, THE
113.19
57515
LQ PARK BLDG LOCKS
GM
.00913
04/11
AP
09/28/10
0089420
HOARD INC, HUGH
98.50
59274
ICE MACHINE REPAIR
GM
00876
04/11
AP
10/01/10
0089366
VERIZON CALIFORNIA
44.44
345-2951
OCT -LQ PARK
GM
00784
04/11
AP
10/05/10
0089152
ADVANCED INC
425.00
13529
LQ PARK SNACKBAR
GM
00913
04/11
AP
10/07/10
0089475
TRULY NOLEN INC
55.00
660004384
LQ PARK PST CNTRL
GM
00876
04/11
AP
10/09/10
0089334
ADT SECURITY SERVICES
67.44
•
33980821
NOV-LQ PARK
GM
00913
04/11
AP
10/10/10
0089476
UNITED STATES POOLS CORPO
199.99
30389 ,
WATER FEAT SVC
GM
01001
05/11
AP
10/13/10
0089605
LOCK SHOP INC, THE
18.49
649689
LQ PK KEY COPIES
GM
01001
05/11
AP
10/20/10
0089667
VALLEY PLUMBING
88.00
198375
LQ PARK RSTRM
GM
01033
05/11
AP
10/23/10
0089538
TELEPACIFIC COMMUNICATION
219.20
237748610
LQ PARK
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
4.56
960259
ICE MACHINE SUPPLIES
GM
01097
05/11
AP
11/01/10
0089736
VERIZON CALIFORNIA
44.11
345-2951
LQ PARK
GM
01159
05/11
AP
11/01/10
0089852
TRULY NOLEN INC
150.00
660008073
BEES@LQ PARK
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
67.44
35859576
DEC -LQ PARK
GM
01159
05/11
AP
11/08/10
0089852
TRULY NOLEN INC
150.00
PREPARED
_..17/2014, 10:19:00
GENERAL LEDGER,_.IVITY
LISTING
F..__ 952
PROGRAM
GM362LA
CITY OF LA'QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
PER.
CD
DATE
NUMBER
•D E S C R I P T I 0 N
DEBITS CREDITS
BALANCE
101-3005-451.43-59
Other Services
/ LQ
Park Building
660008188
BEES@LQ PARK
GM
01096
05/11
AP
11/10/10
0089853
UNITED STATES POOLS CORPO
200.98-
31090
LQ.PK WATER FEAT
GM
0253
.06/11
AP
11/23/10
0089917
TELEPACIFIC COMMUNICATION
219.20
244332660
LQ PARK
GM
01335
06/11
AP
12/01/10
0090130
VERIZON CALIFORNIA
44.07
345-2951
DEC-LQ PARK
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
67.44
37748382
JAN-LQ PARK
GM
01362
06/11
AP
12/10/10
0090237
UNITED STATES POOLS CORPO
199.99
31774
LQ PARK WATER FEATURE
GM
01366
06/11
AP
12/10/10
0090236
TRULY NOLEN INC
55.00
660008417
LQ PARK-PST CNTRL
GM
01457
07/11
AP
12/20/10
0090353
TRULY NOLEN INC
175.00
660011684
LQ PK BUILDING
GM
01457
07/11
AP
12/21/10
0090353
TRULY NOLEN INC
50.00
660008990
LQ PARK-PST CNTRL
GM
01420
07/11
AP
12/23/10
0090269
TELEPACIFIC COMMUNICATION
218.95
25116064-0
LQ PARK
GM
01547
07/11
AP
01/01/11
0090408
VERIZON CALIFORNIA
45.45
345-2951
JAN-LQ PARK
GM
01568
07/11
AP
01/08/11
0090415
ADT SECURITY SERVICES
67.44
39644654
FEB-LQ PARK
GM
01564
07/11
AP
01/10/11
0090543
UNITED STATES POOLS CORPO
199.99
32387
WATER FEAT SVC
GM
01643
08/11
AP
01/13/11
0090721
TRULY NOLEN INC
55.00
660010355
LQ PARK
GM
01757
08/11
AP
01/23/11
0090756
TELEPACIFIC COMMUNICATION
219.35
258077380
LQ PARK
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
2.89
966676
LQ PK PLUMBING
GM
0160`6
07/11•
AJ
01/31/11
AJE 07-022
RECLASS TRULY NOLAN
50.00
GM
01793
08/11
AP
02/01/11
0090806
VERIZON CALIFORNIA.
45.00
345-2951
FEB-LQ-PARK
GM
01793
08/11
AP
02/05/11
0090766
ADT SECURITY SERVICES
67.44
41534871
MAR-LQ PARK
GM
01787
08/11
AP
02/10/11
0090909
UNITED STATES POOLS CORPO
199.99
33062
WATER FEATURE •
GM
01878
09/11
AP
02/10/11
0091053
TRULY NOLEN INC
55.00
660012196
LQ PK PEST
GM
01903
09/11
AP
02/21/11
0091025
MUSCO SPORTS LIGHTING LLC
400.00
220039
LQ PARK
GM
01909
09/11
AP
02/23/11
0090960
TELEPACIFIC COMMUNICATION
219.35
265055680
LQ PARK
GM
02022
09/11
AP
03/01/11
0091146
VERIZON CALIFORNIA
45.00
345-2951
MAR-LQ PARK
GM
02022
09/11
AP
03/05/11
0091104
ADT SECURITY SERVICES
67.44
43458239
APR-LQ PARK
GM
02084
09/11
AP
03/08/11
0091177
COUNTY OF RIVERSIDE DEPAR
342.00
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER _ IVITY
LISTING
F...__ 953
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
;
------------------------------------------------------------
101
General
Fund
BEGINNING'
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.43-59
Other Services / LQ Park
Building
IN0112074
LQ WATER FEAT
GM
02084
09/11
AP
03/10/11 0091264
UNITED STATES POOLS CORPO
199.99
33712
WATER FEATURE
GM
02302
10/11
AP
03/11/11 0091704
TRULY NOLEN INC
55.00
660014013
LQ PARK
GM
O,2225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
223.20
2729.1797-0
LQ PARK
GM
02288
10/11
AP
04/01/11 0091558
VERIZON CALIFORNIA
44.91
345-2951
APR -LQ PARK
GM
02306
10/11
AP
04/09/1.1 0091563
ADT SECURITY SERVICES
71.89
45415581
MAY -LQ PARK
GM
02302
10/11
AP
04/10/11 0091705
UNITED STATES POOLS CORPO
199.99
34362
APR -WATER FT SVC
GM
02507
11/11
AP
04/20/11 0091875
TRULY NOLEN INC
150.00
660018995
LQ PARK
GM
02616
11/11
AP
04/21/11 0092061
TRULY NOLEN INC
55.00
660015795
LQ PARK PEST CNTRL
GM
02538
11/11
AP
04/23/11 0091917
TELEPACIFIC COMMUNICATION
223.10
280004610
LQ PARK
GM
02507
11/11
AP
04/25/11 0091875
TRULY NOLEN INC
150.00
660019091
LQ PARK
GM
02588
11/11
AP
05/01/11 0091956
VERIZON CALIFORNIA
44.87
345-2951
MAY -LQ PARK
GM
02588
11/11
AP
05/07/11.0091925
ADT SECURITY SERVICES
71.89
47367385
JUN -LQ PARK
GM
02558
11/11
AP
05/10/11 0092063
UNITED STATES POOLS CORPO
199.99
35469
WATER FEAT SVC
GM
02784
12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
37.92
202398
FIRE EXTINGUISHER
GM
02863
12/11
AP
05/17/11 0092378
HOARD INC, HUGH
327.02
60868
FRIDGE REPAIR
GM
02735
12/11
AP
05/19/11 0092289
TRULY NOLEN INC
55.00
660017690
LQ PARK
GM
02808
12/11
AP
06/01/11 0092341
VERIZON CALIFORNIA
44.87
76903452951
LQ PARK
GM
0-2865
'12/11
AP
06/10/11 0092415
UNITED STATES POOLS CORPO
199.99
36116
LQ PK WATER FEAT
GM
02955
12/11
AP
06/20/11 0092576
TRULY NOLEN INC
55.00
660019625
LQ PARK
ACCOUNT TOTAL
11,557.02 50.00
11,507.02
101-3005-451.43-63
Other Services / Civic -Center
Campus Paint
.00
GM
01903
09/11
AP
02/14/11 0091018
LASALLE PAINTING, INC.
11500.00
93986
PAINT -GAZEBO
GM•01903
09/11
AP
02/23/11 0091018
LASALLE PAINTING, INC.
2,145.00
93987
PAINT -BRIDGE
GM
02077
09/11
AP
02/25/11 0091211
LASALLE PAINTING, INC.
2,355.00
PREPARED
.,17/2014, 10:19:00
GENERAL LEDGER IVITY
LISTING
FNbC 954
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE '
101-3005-451.43-63
Other Services / Civic
Center Campus Paint
93981
#2 CAMPUS BRIDGE
ACCOUNT TOTAL
6,000.00
6,000.00
•101-3005-451.43-64
Other Services / Sports
Complex Building
.00
GM
00259
02/11
AP
07/16/10 0088515
TRULY NOLEN INC
96.00
66925777
SPORTS COMPLEX
GM
00913
04/11
AP
10/18/10 0089434
LASALLE.LIGHTING SERVICES
11505.00
88102
FIELD LIGHT REPAIR
GM
00977
05/11
AP
10/19/10 0089662
TRULY NOLEN INC
96.00
660004470
SPORTS COMPLEX
GM
01159
05/11
AP
11/10/10 0089810
LOCK SHOP INC, THE
97.88
58143
ELECTRIC RM KEY
GM
01632
08/11
AP
01/05/11 0090721
TRULY NOLEN INC
96.00
660010443
SPORTS COMPLEX
GM
01703
08/11
AP
01/05/11 0090683
LOCK SHOP INC, THE
19.40
651753
KEYS -SPORTS CMPLX
GM
02561
11/11
AP
01/31/11 0091991
ENVIRONMENTAL SPECIALTY P
374.60
90026
SPORTS CMPLX OPERATING
GM
01903
09/11
AP
02/21/11 0091025
MUSCO SPORTS LIGHTING LLC
400.00
220039
SPORTS COMPLEX
GM
01903
09/11
AP
02/24/11 0091018
LASALLE PAINTING, INC.
2,498.00
93989
PAINT-SPRTS CMPLX
GM
02302
10/11
AP
02/24/11 0091657
LOCK SHOP INC, THE
21.75
BB00512697
SPORTS CMPLX KEYS
GM
02351
10/11
AP
02/24/11 0091657
LOCK SHOP INC, THE
491.33
59414
SPRTS CMPLX REKEY
GM
02350
10/11
AP
02/28/11 0091675
PARAGON SIGNS
70.69
35936
RR SIGN@SPRTS CMPLX
GM
01951
09/11
AP
03/01/11 0090979
BEST SIGNS INC
1,861.60
75949
SIGN@SPORTS CMPLX
GM
02084
09/11
AP
03/06/11 0091157
ADVANCED INC
265.00
13686
SNACK BAR CLEANING
_
GM
02136
10/11
AP
03/10/11 0091451
LOCK SHOP I•NC, THE
18.92
BB00513003
KEYS
GM
02225
10/11
AP
03/25/11 0091350
LOWE'S HOME IMPROVEMENT W
5.86
•
960788
BELT/SPORTS CMPLX
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
37.71
1022557
TRASH LIDS
GM
02149
09/11
AJ
03/31/11 AJE 09-049
RECLASS DESERT ELECTRIC
1,332.19
GM
02316
10/11
AP
04/06/11 0091704
TRULY NOLEN INC
96.00
660015876
SPORTS CMPLX-PEST CNTRL
CR
02380
10/11
CR
04/21/11 0018020
LQ SPORTS COMPLEX KEYS RE
112.80
DMARTIN 04/21/11 01
GM
02784
12/11
AP
05/12/11 0092194
DESERT FIRE EXTINGUISHER
21.93
202397
FIRE EXTINGUISHER
ACCOUNT TOTAL
9,405.86 112.80
9,293.06
PREPARED ,.17%2014, 10:19:00 GENERAL LEDGER--1VITY LISTING F— 955
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
bROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.43-65 Other Services / SilverRock Buildings
GM 00913 04/11 AP 10/11/10 0089396 DESERT ELECTRIC SUPPLY
S1759139001 LIGHT@SPORTS CMPLX
GM 02149 09/11 AJ 03/31/11 AJE 09-049 RECLASS DESERT ELECTRIC
ACCOUNT TOTAL
101-3005-451.43-66 Other Services / Museum
ACCOUNT. TOTAL
101-3005-451.43-70
Other Services / Tree
Maintenance
GM
00784
04/11
AP
09/30/10
0089282
VINTAGE ASSOCIATES
SI -87212
TRAIL TREE REMOVAL
GM
01262
06/11
AP
11/30/10
0090075
VINTAGE ASSOCIATES
SI -90748
BEAR CRK-TREE RPLC
GM
02136
10/11
AP
03/11/11
0091516
VINTAGE ASSOCIATES
SI -95178
CAMPUS TREE REPLACE
GM
02302
10/11
AP
04/08/11
0091709
VINTAGE ASSOCIATES
SI -96829
TREE REMOVAL/SEASONS
GM
02735
12/11
AP
05/31/11
0092293
VINTAGE ASSOCIATES
SI -99404
MEMORIAL TREE@OASIS
GM
02735
12/11
AP
05/31/11
0092293
VINTAGE ASSOCIATES
•
SI -99399
CITY HALL TREE
GM
02871
12/11
AP
06/16/11
0092420
VINTAGE ASSOCIATES
SI99739
MUSEUM TREE RPLCMT
GM
03021
12/11
AP
06/30/11
0092746
VINTAGE ASSOCIATES
SI -100238
FB TREE RPLCMT
ACCOUNT TOTAL
101-3005-451.44-07 Rental Services / Uniforms
ACCOUNT TOTAL
101-3005-451.51-01 Services & Supplies / Travel & Training
GM 02177 10/11 AP 03/28/11 0091313 HOWLETT, STEVE
REIMB TRAINING/EXAM
GM 02403 10/11 AP 04/20/11 0091729 HOWLETT, STEVE
46548 CA DIRECTORS FORUM
ACCOUNT TOTAL
101-3005-451.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
1,332.19
1,332.19
350.00
2,440.00
1,901.00
150.00
325.00
325.00
325.00
975.00
6,791.00
535.00
50.00
585.00
1,332.19
1,332.19
.00
.00
.00
.00
.00
6,791.00
.00
.00
.00
585.00
.00
.00
PREPARED ...,17/2014, 10:19:00 GENERAL LEDGER m%.mIVITY LISTING PAUL 956
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General .Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3005-451.56-02 Services & Supplies / Operating Supplies
GM 01768 08/11 AP 01/31/11 0090910 VINTAGE ASSOCIATES
SI -93135 SOD@PIONEER PK
ACCOUNT TOTAL
101-3005-451.56-37
Services
& Supplies
/ Grafitti Material
GM
00099
01/11
AP
07/13/10
0088325
MICON CONSTRUCTION
7600-02
WATER FEAT REPAIR
GM
00286
02/11
AP
07/30/10
0088659
LOCK SHOP INC, THE
56799
PIONEER VANDALISM
GM
09367
03/11
AP
08/20/10
0088855
MIRACLE RECREATION EQUIPM
702443
DESERT PRIDE VANDALISM
GM
00702
03/11
AP
09/20/10
0089101
VINTAGE ASSOCIATES
SI -86816
VANDALIZED PLANTS
GM
00860
04/11
AP
10/11/10
0089479
VINTAGE ASSOCIATES
SI -87404
LQ PARK IRRIG VANDALISM
GM
00977
05/11
AP
10/22/10
0089668
VINTAGE ASSOCIATES
SI -87864
VELASCO PK VANDALISM
GM
01092
05/11
AP
10/28/10
0089830
RAIN DROP PRODUCTS, LLC
11861 -IN
WATER FEAT VANDALISM
GM
01096
05/11
AP
11/04/10
0089750
BANG INC, DAVE
32554
SAGAURO VANDALISM
GM
01161
05/11
AP
11/05/10
0089776
ENGINEERED PLASTIC SYSTEM
14148
NAT PRSV FENCE
GM
01272.
06/11
AP
11/22/10
0090025
ORTCO INC
•
2010-181
VANDALISM REPAIR
GM
01265
06/11
AP
12/01/10
0089993
KRIBBS CONSTRUCTION, BRUC
4010
NAT PRSV VANDALISM
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
97829622
NOV110 SALES TAX
GM
01511
07/11
AP
12/22/10
0090358
VINTAGE ASSOCIATES
SI -91329
LQ PK IRRIG VANDALISM
GM
01768
08/11
AP
02/03/11
0090894
SAM'S FENCE COMPANY
12779
SKATE PK -VANDALISM
GM
01787
08/11
AP
02/11/11
0090860
KRIBBS CONSTRUCTION, BRUC
3282
PRESERVE VANDALISM
GM
02045
09/11
AP
02/28/11
0091265
VINTAGE ASSOCIATES
SI -94895
CAMPUS VANDALISM
GM
02561
11/11
AP
04/29/11
0092065
VINTAGE ASSOCIATES
SI -97946
VANDALIZED COVERS
GM
02616
11/11
AP
05/10/11
0092043
RAIN DROP PRODUCTS, LLC
12203 -IN
VANDALISM@WATER FT
GM
02784
12/11
AP
05/13/11
0092268
SAM'S FENCE COMPANY
12948
VANDALISM@SKATE PK
GM
02787
12/11
AP
05/23/11
0092172
BANG INC, DAVE
33251
VELASCO SLIDE
GM
02787
12/11
AP
06/07/11
0092275
SILVERROCK RESORT
97829622
MAY SALES TAX
320.00
320.00
891.00
231.51
581.48
325.00`
405.09
164.48
257.25
265.26
605.16
2,000.00
475.00
39.00
388.03
375.00
85.00
210.02
303.18
212.00
675.00
1,623.74
19.00
.00
320.00
.00
PREPARED -.,17/2014, 10:19:00 GENERAL LEDGER #%,_iIVITY LISTING FAbt 957
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101=3005-451.56-37
Services
& Supplies /
Grafitti Material
GM
02871
12/11
AP..06/16/11
07/15/10
0092420'
•VINTAGE ASSOCIATES
186.95
SI99762
CAMPUS IRR VANDALISM
GM
0299.7
12/11
AP
06/20/11
0092503
BANG INC, DAVE
729.66
33368
VANDALIZED BENCH
GM
02997
12/11
AP
06/20/11
0092503
BANG INC, DAVE
652.66
33369
VANDALIZED BENCH
GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
10.68
952794
FB VANDALISM
GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
13.53
908838
FB VANDALISM
GM
03021
12/11
AP
06/30/11
0092746
VINTAGE ASSOCIATES
729.08
SI -100216
LQ PK VANDALISM
GM
00259
02/11
AP
ACCOUNT
TOTAL
VINTAGE ASSOCIATES
12,453.76
101-3005-451.56-40 Services & Supplies / Safety Gear/Material
ACCOUNT TOTAL
101-3005-451.56-52
Services
& Supplies
/ Matls-Irrigat & Light Rep
GM
00274
02/11
AP
07/15/10
0088462
CALPORTLAND
1,128.08
91055412
CONCRETE -CAMPUS
GM
00274
02/11
AP
07/16/10
0088480
KRIBBS CONSTRUCTION, BRUC
1,925.00
3039
CONCRETE@CAMPUS
GM
00274
02/11
AP
07/16/10
0088480
KRIBBS CONSTRUCTION, BRUC
475.00
3040
PRESERVE FENCE REPAIR
GM
00437
03/11
AP
07/16/10
0088806
COACHELLA VALLEY WATER DI
1.00
5626
PIONEER DOG PK LEASE
GM
00286
02/11
AP
07/20/10
0088694
SOUTH VALLEY ELECTRIC
11500.00
589
ELECTRIC -WATER FEAT
GM
00274
02/11
AP
07/27/10
0088457
BANG INC, DAVE
2,499.00
32079
FB TABLES&BENCHES
GM
00259
02/11
AP
07/31/10
0088521
VINTAGE ASSOCIATES
900.00
SI -86100
FB IRRIG REPAIR
GM
00259
02/11
AP
07/31/10
0088521
VINTAGE ASSOCIATES
393.00
SI -86099
LQ PK LINE REPAIR
GM
00274
02/11
AP
07/3.1/10
0088521
VINTAGE ASSOCIATES
1,709.99
SI -86101
SEASONS-IRRIG REPAIR
GM
00350
02/11
AP
08/16/10
0088651
KRIBBS CONSTRUCTION, BRUC
2,250.00
3038
CAMPUS -BK CONCRETE .
GM
00350
02/11
AP
08/16/10
0088651
KRIBBS CONSTRUCTION, BRUC
975.00
•
3037
DG MATERIAL -SR CTR
GM
00353
02/11
AP
08/18/10
0088663
MICON CONSTRUCTION
891.00
7600-03
SURFACE REPAIR
GM
00514
03/11
AP
08/23/10
0088864
ONE TIME PUMP SERVICE
2,180.00
71210
CAMPUS LAKE PUMP
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
21.74
12,453.76
.00
.00
.00
PREPARED
-..17/2014, 10:19:00
GENERAL LEDGER muiIVITY
LISTING
FAbt 958
PROGRAM
GM362LA
CITY OF LA
------------------
QUINTA,
=
CALIFORNIA
FUND 101
General
-------------------------------------------------------------------------------------------------------------------
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.56-52
Services
& Supplies
/ Matls-Irrigat & Light Rep
5042240
PUBLIC BLDG R&M
GM
OU519
02/11
AJ
08/31/10
AJE 02-030
RECLASS SIGNS-CIP CLOSED
699.46
GM
00581
03/11
AP
08/31/10
0088910
VINTAGE ASSOCIATES
560.00
SI -86612
MONTICELLO IRRIG REPAIR
GM
00581
03/11
AP
08/31/10
0088910
VINTAGE ASSOCIATES
540.00
SI -86617
LQ PARK IRRIG REPAIR
GM
00555
03/11
AP
09/01/10
0088844
KRIBBS CONSTRUCTION, BRUC
175.00
3045
NAT PRESERVE FENCE
GM
00702
03/11
AP
09/10/10
0088988
BANG INC, DAVE
67.72
32331
PLYGRND PARTS
GM
00702
03/11
AP
09/21/10
0089036
KRIBBS CONSTRUCTION, BRUC
375.00
3048
LQ PARK MIST REPAIR
GM
00736
04/11
AP
09/29/10
0089240
ONE TIME PUMP SERVICE
2,320.00
92910
CAMPUS PUMP R&M
GM
00784
04/11
AP
10/06/10
0089230
LOCK SHOP INC, THE
25.88
BB00510079
KEYS -CMP RSTRM
GM
00860
04/11
AP
10/11/10
0089479
VINTAGE ASSOCIATES
667.45
SI -87403
CAMPUS IRRIG REPAIR
GM
00914
04/11
AP
10/11/10
0089377
BANG INC, DAVE
332.85
32456
PLYGR'ND PARTS
GM
00977
05/11
AP
10/22/10
0089668
VINTAGE ASSOCIATES
230.00
SI -87869
IRRIG REPAIR@MONTICELLO
GM
00977
05/11
AP
10/22/10
0089668
VINTAGE ASSOCIATES
170.00
SI -87866
ADAMS PK IRRIG REPAIR
GM
0.1062
05/11
AP
10/25/10
0089664
UNITED VOLLEYBALL SUPPLY
236.10
32972
VOLLEYBALL NET
GM
01001
05/11
AP
10/27/10
0089553
CALIFORNIA COURT BUILDERS
11350.00
3
FB TENNIS NETS
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
14.27
116015
PAIGE IRRIG REPAIR
GM
01096
05/11
AP
11/03/10
0089804
KRIBBS CONSTRUCTION, BRUC
150.00
3050
MEMORIAL TREE BASE
GM
01264
06/11
AP
11/24/10
0089935
BANG INC, DAVE
11013.15
32635
FB BENCH SUPPORTS
GM.01262
06/11
AP
11/29/10
0090075
VINTAGE ASSOCIATES
500.00
SI -90131
IRRIG MAIN REPAIR
GM
01262
06/11
AP
11/29/10
0090075
VINTAGE ASSOCIATES
368.00
SI -90133
LQ PK IRRIG REPAIR
GM
01262
06/11
AP
11/29/10
0090075
VINTAGE ASSOCIATES
172.00
SI -90132
MONTICELLO IRRIG
GM
01272
06/11
AP
12/01/10
0090014
MIRACLE
304.08
8943
BIKE RACK@SR CTR
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
21.00
97829622
N0V110 SALES TAX
GM
01264
06/11
AP
12/06/10
0090011
MCDOWELL AWARDS
85.37
'
2010-2365
PIONEER MEMORIAL
GM
01362
06/11
AP
12/10/1.0
0090241
VALLEY PLUMBING
376.45
199172
BURNS WATER FEAT REPAIR
GM
01335
06111
AP
12/13/10
0090086
CASH/PETTY CASH
4.06
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER Hti1VITY
LISTING
FHue 959
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.56-52
Services
& Supplies
/ Matls-Irrigat & Light Rep
121310
PETTY CASH REIMB
GM
01511
07/11
AP
12/17/10
0090364
YOUNG ELECTRIC SIGN COMPA
1,637.37
TL49514
LQ PK SKATE LIGHTS
GM
01511
07/11
AP
12/22/10
0090358
VINTAGE ASSOCIATES
190.00
SI -91331
CAMPUS ART FST REPAIRS
GM
01511
07/11
AP
12/22/10
0090358
VINTAGE ASSOCIATES
450.00
SI -91330
SR CTR MAIN REPAIR
GM
01560
07/11
AP
12/28/10
0090542
TRULY NOLEN INC
200.00
660011771
BEES@SEASONS PK
GM
01511
07/11
AP
12/31/10
0090358
VINTAGE ASSOCIATES
305.00
SI -91950
SEASONS-IRRIG REPAIR
GM
01632
08/11
AP
01/03/11
0090668
INDEPENDENT ELECTRIC SUPP
796.26
S100524511001
LIGHT REPAIR@CAMPUS
GM
01560
07/11
AP
01/05/11
0090467
DESERT ELECTRIC SUPPLY
341.77
S1784309001
FB SKATE PK LIGHTS
GM
01564
07/11
AP
01/06/11
0090467
DESERT ELECTRIC SUPPLY
486.98
S1784687001
FB SKATE LIGHTS
GM
01632
08/11
AP
01/12/11
0090668
INDEPENDENT ELECTRIC SUPP
438.59
S100574168001
FB SKATE LIGHTS
GM
01632
08/11
AP
01/17/11
0090726
VINTAGE ASSOCIATES
360.00
SI -92328
CAMPUS IRRIG R&M
GM
01632
08/11
AP
01/17/11
0090726
VINTAGE ASSOCIATES
210.00
SI -92325
FB IRRIG R&M
GM
01603
07/11
AP
01/19/11
0090499
KRIBBS CONSTRUCTION, BRUC
275.00
3278
CAMPUS CNTRL BOX
GM
01632
08/11
AP
01/24/11
0090732
YOUNG ELECTRIC SIGN COMPA
933.00
TL50051
LQ PK SKATE LIGHTS
GM
01768
08/11
AP
01/31/11
0090910
VINTAGE ASSOCIATES
424.00
SI -93240
LNDSCP REPAIR
GM
01768
08/11
AP
01/31/11
0090910
VINTAGE ASSOCIATES
565.00
SI -93235
LQ PK MAIN LINE REPAIRS
GM
01802
08/11
AP
02/16/11
0090882
PALM SPRINGS PUMP INC
1,795.00
•
103053
PUMP REPAIR
GM
01802
08/11
AP
02/16/11
0090882
PALM SPRINGS PUMP INC
1,202.00
103054•
CIRCULATION IMPELLER
GM
01878
09/11
AP
02/17/11
0091055
VINTAGE ASSOCIATES
263.00
SI -93950
CAMPUS-IRRIG MAIN LINE
GM
01878'
09/11
AP
02/17/11
0091055
VINTAGE ASSOCIATES
155.00
SI -93955
DESERTPRIDE-IRRIG MAIN
GM
01878
09/11
AP
02/17/11
0091055
VINTAGE ASSOCIATES
212.00
SI -93963
FB-IRRIG MAIN LINE
GM
01903
09/11
AP
02/19/11
0091004
GAIL MATERIALS
2,230.94
61466
SPORTS CMPLX DIRT
GM
01951
09/11
AP
02/23/11
0091053
TRULY NOLEN INC
175.00
660015325
BEES a SEASONS
GM
01903
09/11
AP
02/24/11
0091018
LASALLE PAINTING, INC.
345.00
93990
PAINT -IID TRNSFRMR
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
129.80
3024094
FENCE REPAIR
PREPARED
.,17/2014,
10:19:00
GENERAL LEDGER IVITY
LISTING
FHoa 960
PROGRAM
GM362LA
CITY OF LA
-----------------------------------------------------------------------------------------------------------------------------------=
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS
CREDITS BALANCE
101-3005-451.56-52
Services
& Supplies
/ Matls-Irrigat & Light Rep
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
85.89
9024607
BRCKT FENCE REPAIR
GM
02003
09/11
AP
02/28/11
0091078
HOME'DEPOT CREDIT SERVICE
46.85
9026032
BRACKETS -FENCE
GM
0z045
09/11
AP
02/28/11
0091265
VINTAGE ASSOCIATES
200.00
SI -94886
IRRIG CLK&PIONEER
GM
02084
09/11
AP
03/09/11
0091162
BANG INC, DAVE
55.50
32961
BASKETBALL NETS
GM
02077
09/11
AP
03/10/11
0091273
YOUNG ELECTRIC SIGN COMPA
383.50
TL50740
SPORTS CMPLX
GM
02083
09/11
AP
03/15/11
0091163
BEST SIGNS INC
252.30
76051
TENNIS SIGNS
GM
02154
10/11
AP
03/18/11
0091393
CUSH TILE
500.00
2814
FB/CAMPUS REPAIRS
GM
02316
10/11
AP
03/18/11
0091591
ACE HARDWARE
8.67
107259
SPORTS COMPLEX
GM
02154
10/11
AP
03/21/11
0091512
TUTHILL CORPORATION
970.32
92015390
OZONE COMPRESSOR REBUILD
GM
02302
10/11
AP
03/22/11
0091709
VINTAGE ASSOCIATES
11453.93
SI -95646
ART FEST REPAIRS
GM
02154
10/11
AP
03/25/11
0091370
BEST SIGNS INC
410.40
76119
CAMPUS DUCK SIGNS
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
110.73
920580
TRASH BAGS/MUSTARD
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
5.87
4113444
SPORTS COMPLEX
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
212.06
3027106
TRASH CANS SPRTS CMPLX
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
18.03
9114716
TRASH CANS
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
5.87
8196725
SPORTS COMPLEX
GM
02288
10/11
AP
03/28/11
0091540
HOWLETT, STEVE
109.05
18023
CAMPUS FLYERS
GM
0-2199
09/11
AJ
03/31/11
AJE 09-011
RECLASS PARK BENCHES
3,512.15
GM
02507
11/11
AP
04/04/11
0091875
TRULY NOLEN INC
150.00
660017402
ADAMS PK BEES
GM
02507
11/11
AP
04/04/11
0091875
TRULY NOLEN INC
150.00
660017403
ADAMS PK BEES
GM
02302
10/11
AP
04/08/11
0091709
VINTAGE ASSOCIATES
375.66
SI -96830
CITY HALL IRRIG R&M
CR
02323
10/11
CR
04/11/11
0016936
#8-002 LQ ARTS FDN/AD COO
11453.93
DMARTIN 04/11/11 01
GM
02316
10/11
AP
04/13/11
0091709
VINTAGE ASSOCIATES
280.00
SI -97076
DRAINS -SEASONS
GM
02316
10/11
AP
04/18/11
0091709
VINTAGE ASSOCIATES
218.00
SI -97250
REPAIR-EISENHOWER
GM
02316
10/11
AP
04/18/11
0091709
VINTAGE ASSOCIATES
377.00
SI -97251
REPAIR -CAMPUS
PREPARED
_._17/2014, 10:19:00
GENERAL LEDGER r�,IVITY
LISTING
PAWL 961
PROGRAM
GM362LA
CITY'OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3005-451.56-52
Services
& Supplies
/ Matls-Irrigat & Light Rep
GM
02435
11/11
AP
04/25/11
0091879
VINTAGE ASSOCIATES
222.00
SI-97517
SEASONS MAIN R&M
GM
02435
11/11
AP
04/25/11
0091879
VINTAGE ASSOCIATES
157.06
SI-97513
CAMPUS MAIN R&M
GM
02435
11/11
AP
04/25/11
0091845
OZONE WATER SYSTEMS
767.85
OWS-11600
CAMPUS OZONE SVC
GM
02435
11/11
AP
04/27/11
0091876
UNITED STATES POOLS CORPO
100.00
35327
WATER FT TREE R&M
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
162.04
7114615
A/CaCAMPUS PUMP
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
108.71
7131984
A/CaCAMPUS PUMP
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
108.71
7194749
RETURN CREDIT
GM
02561
11/11
AP
04/29/11
0092065
VINTAGE ASSOCIATES
475.64
SI-97936
SEASONS-IRRIG IMPRVMTS
GM
02561
11/11
AP
04/29/11
0092065
VINTAGE ASSOCIATES
50.00
SI-97938
MAIN LINE REPAIR
GM
02561
11/11
AP
04/29/11
0092065
VINTAGE ASSOCIATES
190.00
SI-97945
LNDSCP IMPRVMT
GM
02694
12/11
AP
05/13/11
0092289
TRULY NOLEN INC
300.00
660020890
BEESQSEASONS
GM
02616
11/11
AP
05/16/11
0092065
VINTAGE ASSOCIATES
326.00
SI-98531
LQ PARK MAIN R&M
GM
02616
11/11
AP
05/16/11
0092065
VINTAGE ASSOCIATES
384.00
SI-98533
CAMPUS MAIN R&M
GM
02735
12/11
AP
05/17/11
0092164
ACE HARDWARE
51.98
108722
SRR
GM
02694
12/11
AP
05/19/11
0092293
VINTAGE ASSOCIATES
173.00
SI-98658
MAIN LINE@LQ PARK
GM
02784
12/11
AP
05/20/11
0092292
VALLEY PLUMBING
1,023.44
202078
FB WATER FT REPAIR
GM
02787
12/11
AP
05/31/11
0092250
PALM SPRINGS PUMP INC
218.37
103217
CAMPUS PUMP
GM
02787
12/11
AP
06/02/11
0092250
PALM SPRINGS PUMP INC
127.50
103224
CAMPUS FOUNTAIN
GM
02871
12/11
AP
06/16/11
0092420
VINTAGE ASSOCIATES
230.00
SI99763
DESERT PRIDE MAINLINE
GM
02871
12/11
AP
06/16/11
0092420
VINTAGE ASSOCIATES
216.00
SI99764
FRITZ BURNS MAINLINE
GM
02870
12/11
AP
06/21/11
0092426
CASH/PETTY CASH
3.90
06212011
PETTY CASH
GM
02997
12/11
AP
06/22/11
0092503
BANG INC, DAVE
597.30
33386
PLAYGROUND MAINT
GM
02997
12/11
AP
06/27/11
0092508
CALI-BUILT CONSTRUCTION,
1,450.00
370
CONCRETE@PIONEER
GM
02997
12/11
AP
06/27/11
0092508
CALI-BUILT CONSTRUCTION,
2,487.00
371
CONCRETE@MONTICELLO
GM
03021
12/11
AP
06/30/11
0092746
VINTAGE ASSOCIATES
260.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER ,..,.IVITY LISTING FNbt 962
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND'101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
.101-3005-451.56-52
Services & Supplies /
Matls-Irrigat & Light Rep
Exp / Personnel
GM
00194
01/11
SI -100210
MONTICELLO REPAIRS
JE
GM
03021
12/11
AP
06/30/11 0092746
VINTAGE ASSOCIATES
341.00
AJ
08/31/10
JE
02-034
SI -100215
MONTICELLO REPAIRS
REIMB
GM
03021
12/11
AP
06/30/11 0092746
VINTAGE ASSOCIATES
290.00
MONTHLY
GF
REIMB
GM
SI -100239
FB MAIN REPAIR
AJ
GM
03024
12/11
AP
07/11/11 0092714
MCDOWELL AWARDS
281.23
01187
05/11
AJ
11/30/10
2010-3355
MEMORIAL TREE PLQ
MONTHLY
GM
03031
12/11
AP
07/21/11 0092854
PALM SPRINGS PUMP INC
2,372.90
JE
06-002
MONTHLY
GF
103284
CAMPUS PUMP SVC
01638
GM
03031
12/11
AP
07/21/11 0092854
PALM SPRINGS PUMP INC
2,205.00
REIMB
GM
01717
08/11
103283
CAMPUS PUMP SVC
JE
08-009
MONTHLY
GF
REIMB
ACCOUNT TOTAL
01986
63,673.04
101-3005-451.56-55 Services & Supplies / Small Tools/Equip
ACCOUNT TOTAL
101-3005-451.91-11
Reimbursed
Gen Fund
Exp / Personnel
GM
00194
01/11
AJ
07/30/10
JE
01-029.
MONTHLY
GF
REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
ACCOUNT TOTAL
101-3005-451.92-10 Other Charges / Park Equipment Maintenanc
ACCOUNT TOTAL
101-3005-451.92-11 Other Charges / Fleet Maint Program Chrgs
ACCOUNT TOTAL
101-3005-451.92-15 Other Charges / Memorial Tree Expense
ACCOUNT TOTAL
5,080.66 58,592.38
.00
.00
.00
3,003.00
3,003.00
3"003.00
3,003.00
3,003.00
3,003.00
3,003.00
3,003.00
3,003.00
3,003.00
3,003.00
3,003.00
36,036.00 36,036.000R
.00
.00
.00
.00
.00
.00
PREPARED. -.,_7/2014, 10:19:00 GENERAL LEDGER--.,VITY LISTING )63
PROGRAM GM362LA
CITY'OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-3006-451.10-01 Salaries & Wages / Permanent Full Time .00
ACCOUNT TOTAL .00
101-3006-451.10-03
Salaries & Wages / Salaries - Part Time
.00
ACCOUNT TOTAL
.00
101-3006-451.20-01
Employee Benefits / PERS-City Portion
.00
ACCOUNT TOTAL
.00
101-3006-451.20-02
Employee Benefits / PERS-Employee Portion
.00
ACCOUNT TOTAL
.00
101-3006-451.20-03
Employee Benefits / PERS-Survivor Benefits
.00
ACCOUNT TOTAL
.00
101-3006-451.21-01
Insurance Benefits / Medical Insurance
.00
ACCOUNT TOTAL
.00
101-3006-451.21-02,Insurance Benefits / Vision Insurance
.00
ACCOUNT TOTAL
.00
101-3006-451.21-03
Insurance Benefits / Dental Insurance
.00
ACCOUNT TOTAL
.00
101-3006-451.21-05
Insurance Benefits / Life Insurance
.00
ACCOUNT TOTAL
.00
101-3006-451.21-07
Insurance Benefits / Long Term Disability
.00
ACCOUNT TOTAL
.00
PREPARED L.,_7/2014, 10:19:00 GENERAL LEDGER _VITY LISTING PAwm 464
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND'101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP. NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-3006-451.21-08 Insurance Benefits / AD&D .00
ACCOUNT TOTAL .00
101-3006-451.25-01 Workers Comp Insurance / Workers Comp Insurance :00
ACCOUNT TOTAL .00
101=3006-451.27-03 Other Benefits & Deduc. / Social Security -Medicare .00
ACCOUNT TOTAL .00
101-3006-451.27-05 Other Benefits & Deduc. / Social Security -FICA .00
ACCOUNT TOTAL .00
101-3006-451.32-15
Contract Services /
Museum Consultant
.00
GM 01518 06/11 AJ
12/31/10 AJE 06-047
ZERO OUT MUSEUM BALANCE
56,194.21
GM 01527 07/11 AJ
01/31/11 AJE 07-007
REVERSE MUSEUM ACCRUALS
56,194.21
GM 02156 10/11 AP
03/24/11 0091408
ECONOMIC DEVELOPMENT AGEN
131,250.00
2011-1
MUSEUM MGMT
GM 02787 12/11 AP
03/24/11 0092200
ECONOMIC DEVELOPMENT AGEN
43,750.00
2011-2
APR -JUN MUSEUM MGMT
ACCOUNT TOTAL
231,194.21 56,194.21
175,000.00
101-3006-451.32-20
Contract Services /
Educational Programs
.00
ACCOUNT TOTAL
.00
101-3006-451.32-25 Contract Services / Traveling Exhibits .00
ACCOUNT TOTAL .00
101-3006-451.32-35 Contract Services / Hist Society.Historian .00
ACCOUNT TOTAL .00
101-3006-451.33-45 Contract Services / Credit Card Fees .00
GM 00345 01/11 AJ 07/31/10 JE 01-041 JUL110 DEBIT CRD BNK CHRG 15.23
GM 00590 02/11 AJ 08/31/10 JE 02-041 AUG110 DEBIT CRD BNK CHRG 14.68
GM 00782 03/11 AJ 09/30/10 JE 03-048 SEP110 DEBIT CRD BNK CHRG 8.92•
PREPARED
'_ -7/2014,
10:19:00
/ Technical
GENERAL LEDGER
_VITY
LISTING
PMuc )65
PROGRAM
GM362LA
THYSSENKRUPP ELEVATOR
COR
688.54
1117055910
`
JUL-SEP MUSEUM ELEVATOR
CITY OF LA QUINTA, CALIFORNIA
GM
00274
02/11
AP
07/15/10
0088521
VINTAGE ASSOCIATES
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
SI -85392
JUL-PARK MAINT
BEGINNING
.GROUP
ACCTG
----TRANSACTION----
08/15/10
0088910
VINTAGE ASSOCIATES
425.00
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
AUG -PARK MAINT
NUMBER
D E S C R
I P T I O
N
04/11
DEBITS CREDITS
BALANCE
101-3006-451.33-45
VINTAGE ASSOCIATES
Contract
Services
/
Credit Card
Fees
SI -86443
SEP -PARK MAINT
GM 01047
04/11
AJ
10/31/10
JE
04-044
OCT110
DEBIT CRD
BNK
CHRG
9.14
GM 01252
05/11
AJ
11/30/10
JE
05-040
NOV110
DEBIT CRD
BNK
CHRG
9.11
AP
GM 01538
06/11
AJ
12/31/10
JE
06-049
DEC110
DEBIT CRD
BNK
CHRG
13.79
OCT -PARKS MAINT
GM 01766
07/11
AJ
01/31/11
JE
07-047
JAN'll
DEBIT CRD
BNK
CHRG
863.58
GM 01983
08/11
AJ
02/28/11
JE
08-045
FEB'll
DEBIT CRD
BNK
CHRG
12.78
AP
GM 02244
09/11
AJ
03/31/11
JE
09-067
MAR'll
CRDT CRD
BNK CHRG
50.19
GM 02508
10/11
AJ
04/30/11
JE
10-039
APR'll
DEBIT CRD
BNK
CHRG
32.01
688.54
GM, 02727
11/11
AJ
05/31/11
JE
11-038
MAY'll
DEBIT CRD
BNK
CHRG
38.00
08/11
GM 03015
12/11
AJ
06/30/11
JE
12-053'
JUN DEBIT
CRD BNK
CHRG
20.64
SI -91621
ACCOUNT TOTAL 1,088.07
101-3006-451.34-04
Contract
Services
/ Technical
GM
00023
01/11
AP
07/01/10
0088156
THYSSENKRUPP ELEVATOR
COR
688.54
1117055910
JUL-SEP MUSEUM ELEVATOR
GM
00274
02/11
AP
07/15/10
0088521
VINTAGE ASSOCIATES
425.00
SI -85392
JUL-PARK MAINT
GM
00437
03/11
AP
08/15/10
0088910
VINTAGE ASSOCIATES
425.00
SI -85998
AUG -PARK MAINT
GM
00736
04/11
AP
09/15/10
0089282
VINTAGE ASSOCIATES
425.00
SI -86443
SEP -PARK MAINT
GM
00736
04/11
AP
09/29/10
0089273
THYSSENKRUPP ELEVATOR
COR
688.54
1117059223
OCT -DEC ELEVATOR
GM
00977
05/11
AP
10/25/10
0089668
VINTAGE ASSOCIATES
425.00
SI -88007
OCT -PARKS MAINT
GM
01262
06/11
AP
11/15/10
0090075
VINTAGE ASSOCIATES
425.00
SI -88487
NOV-PARKS MAINT
GM
01511
07/11
AP
12/15/10
0090358
VINTAGE ASSOCIATES
425.00
SI -90094
DEC -PK MAINT
GM
01511
07/11
AP
O1/01/11
0090350
THYSSENKRUPP ELEVATOR
COR
688.54
1117062502
MUSEUM ELEV SVC
GM
01643
08/11
AP
01/15/11
0090726
VINTAGE ASSOCIATES
425.00
SI -91621
JAN -PARKS MAINT
GM
01878
09/11
AP
02/15/11
0091055
VINTAGE ASSOCIATES
425.00
SI -92766
FEB -PARK MAINT
GM
02136
10/11
AP
03/15/11
0091516
VINTAGE ASSOCIATES
425.00
SI -94552
MAR -PARK MAINT
GM
02156
10/11
AP
04/01/11
0091507
THYSSENKRUPP ELEVATOR
COR
727.17
1117065887
MUSEUM ELEVATOR
GM
02424
11/11
AP
04/15/11
0091879
VINTAGE ASSOCIATES
425.00
SI -96246
APR -PARKS LNDSCP
GM
02694
12/11
AP
05/15/11
0092293
VINTAGE ASSOCIATES
425.00
SI -97772
MAY -PARK MAINT
GM
02694
12/11
AP
05/18/11
0092280
STATE OF CALIFORNIA DEPAR
225.00
G036733SB
MUSEUM ELEVATOR
GM
02955
12/11
AP
06/15/11
0092580
VINTAGE ASSOCIATES
425.00
SI -99111
JUN -PARK MAINT
GM
02997
12/11
AP
06/21/11
0092573
THYSSENKRUPP ELEVATOR
COR
420.00
1,088.07
.00
PREPARED 6.,.1/2014, 10':19:00 GENERAL LEDGER _VITY LISTING Ptiwr- 466
PROGRAM •GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- --------------------------------------------------------------------------------------------------------------------------------
101-3006-451.34-04 Contract Services / Technical
1117069664 ELEVATOR SAFETY TEST
ACCOUNT TOTAL
101-3006-451.41-01 Utilities / Electric
GM 00229 02/11 AP 07/21/10 0088413
50422540
GM 00439 03/11 AP 08/19/10 0088741
50422540
GM 00713 03/11 AP 09/20/10 0089111
50422540
GM 01033 05/11 AP 10/19/10 0089522
50422540
GM 01210 06/11 AP 11/17/10 0089875
50422540
GM 01420 07/11 AP 12/20/10 0090258
50422540
GM 01692 08/11 AP 01/23/11 0090601
50422540
GM 01909 09/11 AP 02/21/11.0090949
50422540
GM 02177 10/11 AP 03/22/11 0091315
50422540
GM 02403 10/11 AP 04/20/11 0091731
50422540
GM 02740 12/11 AP 05/19/11 0092149
50422540
GM 03010 12/11 AP 06/20/11 0092616
50422540
ACCOUNT TOTAL
101-3006-451.41-13 Utilities / Gas
ACCOUNT TOTAL
-Inside
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
MUSEUM -ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
IMPERIAL IRRIGATION DIST
ELECTRIC SVC
101-3006-451.41-16
Utilities
/ Water -Inside
GM
00157.
01/11
AP
07/01/10
0088338
PRISTINE POOLS SERVICE
&
32468
JUL-MUSEUM FOUNTAIN
GM
O0319
02/11
AP
08/01/10
0088678
PRISTINE POOLS SERVICE
&
32628
AUG -MUSEUM FOUNTAIN
GM
00346
02/11
AP
08/13/10
0088560
COACHELLA VALLEY WATER
DI
VARIOUS
WATER SVC
GM
00555
03/11
AP
09/01/10
0088873
PRISTINE POOLS SERVICE
&
33068
MUSEUM FOUNTAIN
GM
00605
03/11
AP
09/14/10
0088925
COACHELLA VALLEY WATER
DI
8;537.79
1,721.60
1,599.66
1,508.19
1,315.10
878.11
867.95
928.93
787.08
868.42
736.23
878.60
1,081.96
13,171.83
105.00
105.00
93.99
105.00
136.23
8,537.79
00
13,171.83
.00
.00
.00
PREPARED"L.,_7/2014,
10:19:00
GENERAL LEDGER
__._VITY
LISTING
Pike )67
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------
FUND 101
General
Fund
---------------------------------------------------------------------
----------------=----
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER
r-----------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3006-451.41-16
Utilities
/ Water -Inside
'
VARIOUS
WATER SVC
GM
00977
05/11
AP
10/01/10
0089627
PRISTINE POOLS SERVICE
&
105.00
33594
OCT -MUSEUM FOUNTAIN
GM
00876
04/11
AP
10/14/10
0089341
COACHELLA VALLEY WATER
DI
179.35
VARIOUS
WATER SVC
GM
01159
05/11
AP
11/01/10
0089827
PRISTINE POOLS SERVICE
&
105.00
33940
NOV-MUSEUM FOUNTAINS
GM
01097
05/11
AP
11/17/10
0089701
COACHELLA VALLEY WATER
DI
276.23
VARIOUS
WATER SVC
GM
01262
06/11
AP
12/01/10
0090032
PRISTINE POOLS SERVICE
&
105.00
34383
DEC -MUSEUM FOUNTAIN
GM
01335
06/11
AP
12/15/10
0090089
COACHELLA VALLEY WATER
DI
181.59
VARIOUS
WATER SVC
GM
01632
08/11
AP
O1/01/11
0090701
PRISTINE POOLS SERVICE
&
105.00
34937
JAN -MUSEUM
GM
01547
07/11
AP
01/12/11
0090372
COACHELLA VALLEY WATER
DI
103.19
VARIOUS
WATER SVC
GM
01787
•08/11
AP
02/01/11
0090886
PRISTINE POOLS SERVICE
&
105.00
35186
FEB -MUSEUM
GM
01757
08/11
AP
02/09/11
0090742
COACHELLA VALLEY WATER
DI
93.11
VARIOUS
WATER SVC
GM
02077
09/11
AP
03/01/11
0091235
PRISTINE POOLS SERVICE
&
105.00
35576
MAR -MUSEUM
GM
02003
09/11
AP
03/07/11
0091068
COACHELLA VALLEY WATER
DI
160.31
VARIOUS
WATER -MUSEUM
GM
02225
10/11
AP
03/31/11
0091340
COACHELLA VALLEY WATER
DI
122.23
VARIOUS
WATER SVC
GM
02350
10/11
AP
04/01/11
0091681
PRISTINE POOLS SERVICE
&
105.00
35965
APR -MUSEUM
GM
02561
11/11
AP
05/01/11
0092041
PRISTINE POOLS SERVICE
&
105.00
36361
MAY -MUSEUM FOUNTAIN
GM
02538
11/11
AP
05/06/11
0091892
COACHELLA VALLEY WATER
DI
122.79
VARIOUS
WATER SVC
GM
02787
12/11
AP
06/01/11
0092259
PRISTINE POOLS SERVICE
&
105.00
36767
JUN -MUSEUM FOUNTAIN
GM
02870
12/11
AP
06/06/11
0092427
COACHELLA VALLEY WATER
DI
133.99
259945-681114
IRRIGATION
GM
03020
12/11
AP
06/29/11
0092647
COACHELLA VALLEY WATER
DI
133.43
VARIOUS
WATER SVC
ACCOUNT
TOTAL
2,996.44
2,996.44
101-3006-451.41-22
Utilities
/ Telephone
.00
GM
OZO17
01/11
AP
06/23/10
0087999
TELEPACIFIC COMMUNICATION
43.91
21135341-0
MUSEUM ALARM
GM
00189
01/11'
AP
07/13/10
0088392
VERIZON CALIFORNIA
114.89
771-0105
MUSEUM ELEV 7/13-8/12
GM
00229
02/11
AP
07/23/10
0088437
TELEPACIFIC COMMUNICATION
43.87
PREPARED
L..-1/2014, 10:19:00
GENERAL LEDGER .._.-VITY
LISTING
P� )68
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
---
;_TRANSACTION
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
.101-3006-451.41-22
Utilities / Telephone
21774418-0
MUSEUM ALARM
GM
00391
02/11
AP
08/13/10 0088725
VERIZON CALIFORNIA
114.94
'
771-0105
MUSEUM ELEVATOR
GM
00439
03/11
AP
08/23/10 0088749
TELEPACIFIC COMMUNICATION
43.87
224408410
MUSEUM ALARM
GM
00713
03/11
AP
09/13/10 0089120
VERIZON CALIFORNIA
114.94
771-0105
MUSEUM ELEVATOR
GM
00751
04/11
AP
09/23/10 0089142
TELEPACIFIC COMMUNICATION
43.87
231992490
MUSEUM ALARM
GM
00931
04/11
AP
10/13/10 0089513
VERIZON CALIFORNIA
113.83
771-0105
MUSEUM ELEVATOR
GM
01033
05/11
AP
10/23/10 0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
MUSEUM
GM
01210
06/11
AP
11/13/10 0089892
VERIZON CALIFORNIA
113.87
771-0105
MUSEUM 11/13-12/12
GM
01253
06/11
AP
11/23/10 0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
MUSEUM
GM
01420
07/11
AP
12/13/10 0090272
VERIZON CALIFORNIA
113.78
771-0105
MUSEUM ELEVATOR
GM
01420
07/11
AP
12/23/10 0090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
MUSEUM ALARM
GM
01629
07/11
AP
01/13/11 0090581
VERIZON CALIFORNIA
114.67
771-0105
MUSEUM ELEVATOR '
GM
01757
08/11
AP
01/23/11 0090756
TELEPACIFIC COMMUNICATION
43.87
258077380
MUSEUM ALARM
GM
01841
08/11
AP
02/13/11 0090936
VERIZON CALIFORNIA
116.53
771-0105
MUSEUM ELEVATOR
GM
01909
09/11
AP
02/23/11 0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
MUSEUM ALARM
GM
02127
09/11
AP
03/13/11 0091295
VERIZON CALIFORNIA
116.53
771-0105
MUSEUM ELEVATOR
GM
0,2225
10/11
AP
03/23/11 0091356
TELEPACIFIC COMMUNICATION
44.64
27291797-0
MUSEUM ALARM
GM
02403
10/11
AP
04/13/11 0091739
VERIZON CALIFORNIA
116.31
771-0105
MUSEUM ELEVATOR
GM
02538
11/11
AP
04/23/11 0091917
TELEPACIFIC COMMUNICATION
44.62
280004610
MUSEUM ALARM
GM
02645
11/11
AP
05/13/11 0092111
VERIZON CALIFORNIA
116.18
771-0105
MUSEUM ELEVATOR
GM
02916
12/11
AP
06/13/11 0092477
VERIZON CALIFORNIA
116.18
012543116041518
ELEVATOR MUSEUM
ACCOUNT TOTAL
1,866.64
1,866.64
101-3006-451.41-30
Utilities / Security
and Alarm
.00
GM
00004
01/11
AP
06/05/10 0087973
ADT SECURITY SERVICES
73.00
26491774
JUL-MUSEUM
GM
00004
01/11
AP
06/05/10 0087973
ADT SECURITY SERVICES
840.00
PREPARED
_ __1/2014,
10:19:00
GENERAL LEDGER ._._.-VITY
LISTING
pb— )69
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101'General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS' CREDITS
BALANCE
101-3006-451.41-30
Utilities
/ Security
and Alarm
26491789
JUL-DEC/MUSEUM
GM
00085
01/11
AP
07/03/10
0088178
ADT SECURITY SERVICES
73.00
28311112
AUG-MUSEUM
GM
00346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
73.00
'
30227476
SEP-MUSEUM
GM
00605
03/11
AP
09/04/10
0088919
ADT SECURITY SERVICES
73.00
32100900
OCT-MUSEUM
GM
00876
04/11
AP
10/09/10
0089334
ADT SECURITY SERVICES
73.00
33980800
NOV-MUSEUM
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
73.00
35859550
DEC-MUSEUM
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
73.00
37748346•
JAN-MUSEUM
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
866.88
37748362
JAN-JUN MUSEUM
GM
01568
07/11
AP
01/08/11
0090415
ADT SECURITY SERVICES
77.82
39644632
FEB-MUSEUM
GM
01793
08/11
AP
02/05/11
0090766
ADT SECURITY SERVICES
77.82
41534847
MAR-MUSEUM
GM
02022
09/11
AP
03/05/11
0091104
ADT SECURITY SERVICES
77.82
43458204
APR-MUSEUM
GM
02306
10/11
AP
04/09/11
0091563
ADT SECURITY SERVICES
77.82
45415558
MAY-MUSEUM SECURITY
GM
02588.
11/11
AP
05/07/11
0091925
ADT SECURITY SERVICES
77.82
47367360
JUN-MUSEUM
GM
02987
12/11
AP
06/16/11
0092567
SIMPLEXGRINNELL LP
285.00
66705223
FIRE ALARM SYS
ACCOUNT
TOTAL
2,891.98
2,891.98
101-3006-451.42-15
Contract
Services /
Janitorial
.00
GM
00023
01/11
AP
07/01/10
0088004
ADVANCED INC
11100.00
13415
JUL-JANITORIAL SVC
GM
00274
02/11
AP
08/01/10
0088448
ADVANCED INC
1,121.65
13462 •
JUL-JANITORIAL SVC
GM
00490
03/11
AP
09/01/10
0088779
ADVANCED INC
1,121.65
13487
JANITORIAL
GM
00823
04/11
AP
10/01/10
0089152
ADVANCED INC
1,121.65
13524
JANITORIAL.SVC
GM
01046
05/11
AP
11/01/10
0089541
ADVANCED INC
1,121.65
13559
JANITORIAL SVC
GM
01272
06/11
AP
12/01/10
0089926
ADVANCED INC
1,121.65
13594
JANITORIAL SVC
GM
01478
07/11
AP
O1/01/11
0090275
ADVANCED INC
1,121.65
13626
JANITORIAL SVC
GM
01704
08/11
AP
02/01/11
0090618
ADVANCED INC
1,121.65
13652
JANITORIAL SVC
GM
01962
09/11
AP
03/01/11
0090968
ADVANCED INC
1,121.65
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __._VITY LISTING Pj-_ )70
PROGRAM ` GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING•
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER.- CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3006-451.42-15 Contract
13680
GM 02198 10/11 AP 04/01/11
13710
GM 02435 11/11 AP 05/01/11
13735
GM 02728 12/11 AP 06/01/11
13771
Services / Janitorial
JANITORIAL SVC
0091360 ADVANCED INC
JANITORIAL SVC
0091785 ADVANCED INC
JANITORIAL
0092165 ADVANCED INC
JUN -JANITORIAL SVC
ACCOUNT TOTAL
101-3006-451.43-01
Other Services /
Maintenance
GM
ACCOUNT TOTAL
01/11
AP
101-.3006-451.42-20
0088291
FLAGS A FLYING
Contract Services / Pest
Control
GM
01878
09/11
AP
02/01/10 0091053
TRULY NOLEN
INC
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
660012797
MUSEUM PEST
CNTRL
GM
00259
02/11
AP
07/01/10 0088515
TRULY NOLEN
INC
AP
08/18/10
0088656
LASALLE PAINTING, INC.
66926344
MUSEUM
GM
00350
02/11
AP
08/03/10 0088701
TRULY NOLEN
INC
AP
09/14/10
0089043
LASALLE PAINTING, INC.
660000985
MUSEUM -PEST
CNTRL
GM
00736
04/11
AP
09/01/10 0089278
TRULY NOLEN
INC
660003014
MUSEUM PST
CNTRL.
GM
00913
04/11
AP
10/05/10 0089475
TRULY NOLEN
INC
660005018
MUSEUM PST
CNTRL
GM
01181
06/11
AP
11/05/10 0090069
TRULY NOLEN
INC
660007031
MUSEUM PST
CNTRL
GM
01366
06/11
AP
12/03/10 0090236
TRULY NOLEN
INC
660009055
MUSEM-PST CNTRL
GM
01643
08/11
AP
01/05/11 0090721
TRULY NOLEN
INC
660010975
MUSEUM
GM
02045
09/11
AP
03/01/11 0091263
TRULY NOLEN
INC
660014626
MUSEUM PST
CNTRL
GM
02424
11/11
AP
04/04/11 0091875
TRULY NOLEN
INC
660016385
MUSEUM -PST
CNTRL
GM
02616
11/11
AP
05/03/11 0092061
TRULY NOLEN
INC
660018277
MUSEUM PEST
CNTRL
GM
02955
12/11
AP
06/03/11 0092576
TRULY NOLEN
INC
660020220
MUSEUM -PEST
CNTRL
ACCOUNT TOTAL
101-3006-451.43-01
Other Services /
Maintenance
GM
00099
01/11
AP
07/07/10
0088291
FLAGS A FLYING
954998
FLAG REPLACEMENT
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
952390
GENERAL R&M
GM
00353
02/11
AP
08/18/10
0088656
LASALLE PAINTING, INC.
93982
MUSEUM PAINTING
GM
00603
03/11
AP
09/14/10
0089043
LASALLE PAINTING, INC.
95982
MUSEUM COMM RM
1,121.65
1,121.65
1,121.65
13,438.15
40.00
40.00
40.00
40.00
40.00
40.00
40.00
40.00
40.00
40.00
40.00
40.00
480.00
80.00
5.37
2,499.00
1,500.00
13,438.15
.00
480.00
.00
PREPARED
'u.ia7/2014,
10:19:00
GENERAL LEDGER N�iaVITY
LISTING
Pk— )71
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3006-451.43-01
Other Services /
Maintenance
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
21.70
960443
OPERATING SUPPLIES
GM
00751,
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
17.27
8013511
OPERATING SUPPLIES
GM
00913
04/11
AP
10/13/10
0089438
LIGHT SOURCE
63.63
87148
GENERAL MAINT
GM
01096
05/11
AP
10/15/10
0089743
ACE HARDWARE
17.20
107873
MUSEUM SUPPLIES
GM
01046
05/11
AP
10/20/10
0089569
DESERT ELECTRIC SUPPLY
32.49
S1766946001
ELECTRIC SVC
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
27.62
966174
MUSEUM MAINT .
GM
01033.
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
14.57
913730
MUSEUM MAINT
GM
01265
06/11
AP
11/15/10
0089977
GRAINGER
51.66
9395331060
TERMOSTAT-MUSEUM
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
11.61
907067
MUSEUM
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
26.23
960921
MUSEUM BULBS
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
32.56
5110084
MUSEUM R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
39.32
907019
MUSEUM MAINT
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
5.76
4022169
MUSEUM MAINT
GM
02735
12/11
AP
05/03/11
0092164
ACE HARDWARE
1.85
108657
MUSEUM
GM
02735.
12/11
AP
05/20/11
0092164
ACE HARDWARE
10.64
108741
MUSEUM
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
85.84
920246
RETURN CREDIT
GM.02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
30.12
913259
MUSEUM
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT,W
178.78
913195
MUSEUM
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
6.53
960295
MUSEUM LIGHTS
GM
02735
12/11
AP•05/28/11
0092164
ACE HARDWARE
16.29
108633•
MUSEUM
GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
8.86
952794
MUSEUM
ACCOUNT TOTAL
4,699.06 85:84
4,613.22
101-3006-451.43-25
Other Services /
Uninterrupted Power(UPS)
.00
GM
00023
01/11
AP
06/18/10
0088031
COMPUTER PROTECTION TECHN
500.00
14742PMA
UPS RENEWL PB/MUSEUM -
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER ......VITY 'LISTING P,,.._ 372
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING'
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-3006-451.43-25 Other Services / Uninterrupted Power(UPS)
GM 03021 12/11 AP 06/29/11 0092694 COMPUTER PROTECTION TECHN 500.00
15803 -PMA PREVENTATIVE MAINT
ACCOUNT.TOTAL 11000.00 11000.00
101-3006-451.43-52 Other Services / HVAC
GM 00350 02/11 AP 07/01/10 0088641
58106
GM 00977 05/11 AP 10/01/10 0089588
59299
GM 01033 05/11 AP 10/20/10 0089536
102010
GM 01703 08/11 AP 01/26/11 0090683
E621665
GM 02694 12/11 AP 05/25/11 0092231
655550
GM 03021 12/11 AP 06/24/11 0092743
7476754
ACCOUNT TOTAL
,HOARD INC, HUGH
MUSEUM HVAC
HOARD INC, HUGH
MUSEUM A/C
SPEEDY AC & HEATING
MUSEUM HVAC R&M
LOCK SHOP INC, THE
MUSEUM LOCK
.LOCK SHOP INC, THE
MUSEUM FLAG POLE
US AIR CONDITIONING DISTR
MUSEUM FILTERS
101-3006-451.43-78 Other Services / Fire -Extinguisher Service
GM 03021 12/11 AP 06/13/11 0092704 DESERT FIRE EXTINGUISHER
203590 MUSEUM EXTINGUISHER
ACCOUNT TOTAL
101-3006-451.43-88 Other Services / Maint.-Other Equipment
GM 02987 12/11 AP 06/09/11 0092515 CONSOLIDATED ELECTRICAL D
5725665676 YMCA
ACCOUNT TOTAL
101-3006-451.51-01 Services & Supplies / Travel & Training
ACCOUNT TOTAL
101-3006-451.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-3006-451.51-31 Services & Supplies / Postage
ACCOUNT TOTAL
292.70
385.79
2,500.00
129.00
9.70
37.82
3,355.01
76.76
76.76
11.96
11.96
00
3,355.01
.00
76.76
.00
11.96
.00
.00
.00
.00
.00
.00
PREPARED -..-7/2014,
10:19:00
GENERAL LEDGER ..._._VITY
LISTING
P--- 973
PROGRAM GM•362LA
CITY OF LA QUINTA, CALIFORNIA.
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
4. BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
---- -------------------------------------------------------------------------------------------------------------------------------
DATE . NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-3006-451.52-01
Insurance / Liability/SIR
.00
GM 00004 01/11 AP
05/10/10 0087974
CALIFORNIA JOINT POWERS I
18,260.00
PRIM00715
G/L & WC PREMIUMS
ACCOUNT TOTAL
18,260.00
18,260.00
101-3006-451.52-04
Insurance / Property
.00
GM 00017 01/11 AP
07/01/10 0087994
HAYWARD TILTON & ROLAPP 'I
2,317.23
303005
PROP AUTO INSUR
ACCOUNT TOTAL
2,317.23
2,317.23
101-3006-451.52-13
Insurance / Earthquake/Flood
.00
GM 01757 08/11 AP
01/31/11 0090747
HAYWARD TILTON & ROLAPP I
6,891.37
7264
EARTHQUAKE INSUR
ACCOUNT TOTAL
6,891.37
6,891.37
101-3006-451.53-01
Services & Supplies /
Printing
.00
ACCOUNT TOTAL
.00.
101-3006-451.53-03
Services & Supplies /
Membership Dues
.00
ACCOUNT TOTAL
.00
101-3006-451.53-04
Services & Supplies /
Subscriptions/Publication
.00
ACCOUNT TOTAL
.00
101-3006-451.54-01
Services & Supplies /
Information Tech Charges
.00
GM 00182 01/11 AJ
07/27/10 JE 01-024
INFO TECH CHRG 10/11 BDGT
2,295.00
ACCOUNT TOTAL
2,295.00
2,295.00
101:3006-451.55-01 Advertising/Promo / Advertising .00
ACCOUNT TOTAL .00
101-3006-451.56-01 Services & Supplies / Office Supplies .00
ACCOUNT TOTAL .00
PREPARED -..-7/2014,
10:19:00
GENERAL LEDGER .._._VITY
LISTING
P___ 974
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------7----------------------------------------------------------
FUND 101 General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
---------------------------------------------------------------------------------------------=--------------------------------------
DATE NUMBER D
E S C R I P T I O N
DEBITS
CREDITS
BALANCE•
101-3006-451.56-02
Services & Supplies /
Operating Supplies
.00
GM 02248 10/11 AP
04/05/11 0091466
NATIONAL GEOGRAPHIC SOCIE
190.74
1000
MUSEUM BOOKS
GM 02424 11/11 AP
04/25/11 0091841
NATIONAL GEOGRAPHIC SOCIE
13.88
78689783
LAST STAND BOOKS
ACCOUNT TOTAL
204.62
204.62
101-3006-451.56-25
Services & Supplies /
Software
.00
ACCOUNT TOTAL
.00
101-3006-451.56-55
Services & Supplies /
Small Tools/Equip
.00
ACCOUNT TOTAL
.00
101-3006-451.71-01
Capital Purchases / Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-3006-451.71-02
Capital Purchases / Furniture
.00
ACCOUNT TOTAL
.00
101;3006-451.80-04
Other/ Contributions
.00
ACCOUNT TOTAL
.00
101-3006-451.91-11
Reimbursed Gen Fund Exp / Personnel
.00
GM 00821 03/11 AJ
09/30/10 AJE 03-047
REIMBURSE FOR MUSEUM EXP
43,066.06
GM 00838 03/11 AJ
09/30/10 AJE 03-057
REVERSE REIMBURSE MUSEUM
43,066.06
ACCOUNT TOTAL
43,066.06
43,066.06
.00
101-3006-451.91-12
Reimbursed Gen Fund Exp / Supplies/Service
.00
GM 00194 01/11 AJ
07/30/10 JE 01-029
MONTHLY GF REIMB
23,145.00
GM 00572 02/11 AJ
08/31/10 JE 02-034
MONTHLY GF REIMB
23,145.00
GM OD716 03/11 AJ
09/30/10 JE 03-035
MONTHLY GF REIMB
23,145.00
GM 00838 03/11 AJ
09/30/10 AJE 03-057
REIMBURSE MUSEUM EXPENSES
26,368.94'
GM 00929 04/11 AJ
10/31/10 JE 04-027
MONTHLY GF REIMB
23,145.00
GM 01187 05/11 AJ
11/30/10 JE 05-030
MONTHLY GF REIMB'
23,145.00
GM 01239 06/11 AJ
12/31/10 JE 06-002
MONTHLY GF REIMB
23,145.00
GM 01638 07/11 AJ
01/31/11 JE 07-031
MONTHLY GF REIMB
23,145.00
PREPARED _ ._7/2014,
10:19:00
GENERAL LEDGER - .-VITY
LISTING
.00
P.._- 375
PROGRAM 'GM362LA
02/11
CR
08/05/10
0001327
BUS LIC -CARING COMPANIONS
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------
11.00
FUND 101 General Fund
---------------------------------------------------------------=-------
MMENDOZA 08/05/10 01
---------------
BEGINNING
GROUP ACCTG ----TRANSACTION----
GM
00332
02/11
AJ
/ENDING
APP NUMBER PER. CD
----------------- ------------------
DATE NUMBER • D E
------------------------------------------------------------------------
S C R I P T I O N
DEBITS
CREDITS
-------------------------
BALANCE
101-3006-451.91-12
Reimbursed Gen Fund Exp
/ Supplies/Service
JE 02-009
CRDT CARD SYSTEM TEST
GM 01717 08/11 AJ
02/28/11 JE 08-009
MONTHLY GF REIMS
02/11
23,145.00
08/31/10
GM 01986 09/11 AJ
03/31/11 JE 09-019
MONTHLY GF REIMB
23,145.00
00830
GM 02249 09/11 AJ
03/31/11 AJE. 09-070
ZERO OUT MUSEUM BALANCE
108,039.83
ZERO OUT CMAQ FUND
.01
GM 02521 10/11 AJ
04/30/11 JE 10-044
MONTHLY GF REIMB
04/11
23,145.00
10/31/10
GM 02743 11/11 AJ
05/31/11 JE 11-044
MONTHLY GF REIMB
5.00
23,145.00
01252
GM 02746 12/11 AJ
06/30/11 JE 12-002
MONTHLY GF REIMB
JE 05-040
23,145.00
GM 03110 13/11 AJ
06/30/11 AJE 13-027
TO GEN'L FUND FOR MUSEUM
05/11
118,497.84
11/30/10
JE 05-038
ACCOUNT TOTAL
.10
134,408.77
396,237.84
261,829.07CR
101-3006-451.91-13
Reimbursed Gen Fund Exp
/ Capital Expenses •
0090086
CASH/PETTY CASH
.00
ACCOUNT TOTAL
.00
101=3006-451.92-11
Other Charges / Fleet Maint Program Chrgs
.00
GM 00010 01/11 AJ
07/07/10 JE 01-004
EQUIP REPLCMNT FY 10/11
31333.00
JE 06-049*
CASH ADJ TASC ACH12/24/10
GM 00181 01/11 AJ
07/27/10 JE 01-023
EQUIP REPL EXP 10/11 BDGT
31333.00
07/11
AJ
GM 00184 01/11 AJ
07/27/10 JE 01-025
REVR JE 01-023 DUPL ENTRY
.10
31333.00
GM
01983
ACCOUNT TOTAL
AJ
6,666.00
31333.00
31333.00
101-4000-341.10-00 General Government / Product Sales .00
ACCOUNT TOTAL .00
101-4000-341.20-00
General Government /
Cash Over/Short
.00
CR
00261
02/11
CR
08/05/10
0001327
BUS LIC -CARING COMPANIONS
11.00
MMENDOZA 08/05/10 01
GM
00332
02/11
AJ
08/17/10
JE 02-009
RECL CR#1327 8/5/10
11.00
GM
60332
02/11
AJ
08/17/10
JE 02-009
CRDT CARD SYSTEM TEST
1.00
GM
00591
02/11
AJ
08/31/10
JE 02-042
•REVR DUPL CRDT CARD ENTRY
1.00
GM
00830
04/11
AJ
10/31/10
AJE 04-009
ZERO OUT CMAQ FUND
.01
GM
01047
04/11
AJ
10/31/10
JE 04-044
CASH ADJMNT 10/29/10 CRIS
5.00
GM
01252
05/11
AJ
11/30/10
JE 05-040
CASH ADJ 11/4/10 DEPOSIT
1.00
GM
01254
05/11
AJ
11/30/10
JE 05-038
CASH ADJ 11/24 FIT WIRE
.10
GM
01335
06/11
AP
12/13/10
0090086
CASH/PETTY CASH
1.00
121310
PETTY CASH REIMB
GM
01538
06/11
AJ
12/31/10
JE 06-049*
CASH ADJ TASC ACH12/24/10
1.52
GM
01766
07/11
AJ
01/31/11
JE 07-047
CASH ADJMT CR9500 1/18/11
.10
GM
01983
08/11
AJ
02/28/11
JE 08-045
CASH ADJ 2/3/11 CSH RCPTS
39.00
GM
02244
09/11
AJ
03/31/11
JE 09-067
CASH ADJ 3/17/11 CSH REC•
20.00
GM
02244
09/11
AJ
03/31/11
JE 09-067
CASH ADJ 3/22/11 CSH REC
.10
GM
02508
10/11
AJ
04/30/11
JE 10-039
CASH ADJMNT 4/25/11 CRIS
2.00
GM
03015
12/11
AJ
06/30/11
JE 12-053
JUN'll CASH ADJMNTS
10.44
ACCOUNT TOTAL
14.83
89.44 74.61CR
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER ..._.-VITY LISTING
P- 976
PROGRAM
GM362LA
CITY OF LA
----------
QUINTA, CALIFORNIA
FUND 101
-------------
General
Fund
------------
-------------------------------
--------------------------------
---------------------
-------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N DEBITS
CREDITS
BALANCE
101-4000-341.30-00
General Government
/ Miscellaneous Revenue
.00
CR
00025
01/11
CR
07/01/10
0000105
SURPLUS
1,784.00
CASHVO 07/01/10 01
CR
00025
01/11
CR
07/01/10
0000109
SURPLUS
56.00
'
CASHVO 07/01/10 01
GM
00157
01/11
AP
07/20/10
0088352
SUNLINE TRANSIT AGENCY
23.75
JUL110
BUS PASSES
CR
00148
01/11
CR
07/21/10
0000784
SUBPOENA -D HAMMAN
669.48
MMENDOZA 07/21/10 01
GM
00367
03/11
AP
08/23/10
0088896
SUNLINE TRANSIT AGENCY
30.00
42469
AUG -BUS PASSES
GM
00387
02/11
AJ
08/25/10
JE 02-017
TRNFR 06/07 ESCHEATED CKS
109.00
CR
00475
02/11
CR
08/25/10
0001954
CONOCOPHILLIPS-UNCLAIMED
125.00
MANCILLA 08/25/10 01
CR
00615
03/11
CR
09/15/10
0003018
NORCO/SUBPOENA FEE/E WIMM
150.00
DMARTIN 09/15/10 01
CR
00675
03/11
CR
09/22/10
0003317
NORCO/SUBPEONA FEE/E WIMM
450.00
DMARTIN 09/22/10 01
GM
00712
04/11
AP
09/23/10
0089269
SUNLINE TRANSIT AGENCY
134.00
42525
BUS PASSES
CR
00905
04/11
CR
10/20/10
0004851
RCIT FY09/10 CUSTOMER REB
1,601.03
DMARTIN 10/20/10 01
CR
00964
04/11
CR
10/26/10
0005041
WHITEHALL MONTAGUE CO
174.18
KBLONDELL 10/26/10 01
GM
00977
05/11
AP
10/26/10
0089656
SUNLINE TRANSIT AGENCY
190.00
42588
OCT -BUS PASSES
GM
00849
04/11
AJ
10/31/10
AJE 04-014
EQUIP REPLACE ADMIN FEES
7,009.00
CR
01155
05/11
CR
11/19/10
0006683
CAPSTONE/PW INSPCTR/PIAZZ
303.85
DMARTIN 11/19/10 01
GM
01246
06/11
AP
11/19/10
0090058
SUNLINE TRANSIT AGENCY
164.00
42639
NOV-BUS PASSES
CR
01216
05/11
CR
11/29/10
0007027
LEGAL DOC INC/SUBPOENA/WI
300.00
DMARTIN 11/29/10 01
CR
OJ216
05/11
CR
11/29/10
0007028
RAPID LEGAL/SUBPOENA/JONA
300.00
DMARTIN 11/29/10 01
CR
01314
06/11
CR
12/10/10
0007836
SUBPOENA/SMITH DOLLAR PC
100.50
.KBLONDELL 12/10/10 01
CR
01351
06/11
CR
12/15/10
0008050
SUNLINE/BUS SHELTER AD RE
550.00
DMARTIN 12/15/10 01
GM
01366
06/11
AP
12/17/10
0090233
SUNLINE TRANSIT AGENCY
110.00
42685
DEC -BUS PASSES
CR
01428
06/11
CR
12/21/10
0008206
SUBPOENA/GREEN BRYANT & F
224.30
KBLONDELL 12/21/10 01
CR
01495
07/11
CR
01/05/11
0008709
MCQUEEN-ASHMAN/WIMMER SUB
669.20
DMARTIN 01/05/11 01
CR
01614
07/11
.CR
01/21/11
0009779
VERIZON OVERPAYMENT 2003
1,290.55
LWEST 01/21/11 01
GM
01632
08/11
AP
01/21/11
0090717
SUNLINE TRANSIT AGENCY
136.00
42741
JAN -BUS PASS
CR
01687
08/11
CR
02/01/11
0010259
SURPLUS SALE: MONITOR
5.00
PREPARED ,_7/,2014, 10:19:00 GENERAL LEDGER __VITY LISTING P,.-_ 377
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----•----------------------------------------------------------------------------------------------------------7--------------------
101-4000-341.30-00
General
Government /
Miscellaneous Revenue
CASHVO 02/01/11 01
CR
01734
08/11
CR
02/04/11
0010788
SURPLUS ITM-BARREL SHAPED
16.50
KBLONDELL 02/04/11 01
GM
01903
09/11
AP
02/18/11
0091048
SUNLINE TRANSIT AGENCY
164.00
42815
FEB -BUS PASSES
CR
01854
08/11
CR
02/22/11
0012330
WSA FY10/11 ASSET MGMT FE
7,500.00
DMARTIN 02/22/11 01
GM
01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK83649 07/14/09
6.00
GM
01877
08/11
AJ
02/18/11
JE 08-033
REVR 0/S CK83752 07/14/09
5.00
GM -01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK83975 08/11/09
3.00
GM
01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK85136 11/10/09
10.00
GM
01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK85158 11/10/09
5.00
GM
01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK85662 12/22/09
4.00
GM
01877
08/11
AJ
02/28/11
JE 08-033
REVR 0/S CK86355 02/23/10
7.50
CR
01927
09/11
CR
03/01/11
0013113
SUBPOENA/AMERICAN LEGAL S
15.00
KBLONDELL 03/01/11 01
CR
01964
09/11
CR
03/03/11
0013719
SMITH DOLLAR/WITNESS FEE
64.00
DMARTIN 03/03/11 01
CR
01988
09/11
CR
03/07/11
0013850
CUST DECLINED CHANGE
1.00
KBLONDELL 03/07/11 01
GM
012154
10/11
AP
03/18/11
0091505
SUNLINE TRANSIT AGENCY
170.00
42857
MAR -BUS PASSES
CR
02171
09/11
CR
03/28/11
0015564
SUBPOENA/GREEN BRYAN & FR
301.14
KBLONDELL 03/28/11 01
CR
02329
10/11
CR
04/12/11
0016976
SUBPOENA - CALEXPRESS
179.30
KBLONDELL 04/12/11 01
GM
02350
10/11
AP
04/15/11
0091697
SUNLINE TRANSIT AGENCY
134.00
42921
APR -BUS PASSES
CR
02373
10/11
CR
04/20/11
0017955
HOME DEPOT/REBATE PAYOUT
260.27
DMARTIN 04/20/11 01
CR
02380
10/11
CR
04/21/11
0017976
CASE INC10004020/LEGAL DO
150.00
KBLONDELL 04/21/11 01
GM
02787
12/11
AP
05/20/11
0092283
SUNLINE TRANSIT AGENCY
200.00
.
42978
MAY -BUS PASSES
CR
0Z678
11/11
CR
05/26/11
0020447
JUL'1.1 COBRA INS/EVANS
2.30
.DMARTIN 05/26/11 01
CR
02685
11/11
CR
05/31/11
0020594
MEDICARE PART D SUBSIDY/S
186.51
DMARTIN 05/31/11 01
GM
02871
12/11
AP
06/17/11
0092411
SUNLINE TRANSIT AGENCY
35.00
43029
JUN -BUS PASSES
CR
02957
12/11
CR
06/23/11
'0022148
AUG COBRA DENTAL/VISION/E
2.30
DMARTIN 06/23/11 01
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
4,017.76
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
5,201.96
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE FY 10/11
275.00
GM
03114
13/11
AJ
06/30/11
AJE 13-030
RECLASS GRANT REVENUE
4,435.00
ACCOUNT
TOTAL
40,010.38
40,010.38CR
PREPARED
...7/2014,
10:19:00
/ Sales Maps/Copies/Public.
GENERAL LEDGER _VITY LISTING
00025
P--- 978
PROGRAM
GM362LA
0000089
COPY FEES/LORENZ, S
CITY -OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
KBLONDELL 07/01/10
01
CR
FUND 101
General
Fund
07/01/10
0000113
COPY FEES/
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N DEBITS
CREDITS
BALANCE
101-4000-341.40=00
General Government
/ NSF Charges
.00
CR 00244
02/11
CR
08/03/10
0001149
NSF CK -PRECISION FABRICAT
30.00
COPY FEE - 1 PG
MMENDOZA 08/03/10 01
KBLONDELL 07/12/10
CR 00294
02/11
CR
08/10/10
0001452
NSF CK -SARA VANPATTEN
30•.00
COPIES-CRIS ABALLE
MMENDOZA 08/10/10 01
MMENDOZA 07/16/10
CR 00964
04/11
CR
10/26/10
0005050
EMBASSY SUITE NSF CHRG
30.00
CAMPAIGN ELECTION -LINDA E
DMARTIN 10/26/10 01
MMENDOZA 07/21/10
01
CR 00971
04/11
CR
10/27/10
0005224
NSF CK REPL-JAMES WRIGHT
30.06
MMENDOZA 10/27/10 01
KBLONDELL 07/27/10
01
CR 01132
05/11
CR
11/16/10
0006363
NSF CK-BRETT MURDOCK
15.00
MMENDOZA 11/16/10 01
MMENDOZA 07/30/10
01
CR 01664
07/11
CR
01/27/11
0010034
NSF -AMERICAN SIGN IND
30.00
MMENDOZA 01/27/11 01
MMENDOZA 08/04/10
01
CR 02049
09/11
CR
03/09/11
0014217
NSF REPL FEE/CLASSIC FIN
30.00
KBLONDELL. 03/09/11 01
CR 02158
09/11
CR
03/24/11
0015404
NSF CK-STANDFORD PANCHUK
30.00
MMENDOZA 03/24/11 01
CR 02171
09/11
CR
03/28/11
0015571
NSF -CLASSIC PARTY RENTALS
30.00
MMENDOZA 03/28/11 01
GM 02196
09/11
AJ
03/31/11
JE 09-059
RECL NSF CHRG/M BONO 3/28
30.00
CR 02323
10/11
CR
04/11/11
0016915
NSF CK -PD AIR CONDITIONIN
30.00
MMENDOZA 04/11/11 01
CR 02714
12/11
CR
06/02/11
0020851
NSF CK -MARK WAYNE
30.00
MMENDOZA 06/02/11 01
CR 02957
12/11
CR
06/23/11
0022010
NSF CK -JOYCE PATTON
15.00
MMENDOZA 06/23/11 01
ACCOUNT TOTAL
101-4000-341.50-00
General
Government
/ Sales Maps/Copies/Public.
CR
00025
01/11
CR
07/01/10
0000089
COPY FEES/LORENZ, S
KBLONDELL 07/01/10
01
CR
00025
01/11
CR
07/01/10
0000113
COPY FEES/
KBLONDELL 07/01/10
01
CR
00039
01/11
CR
07/06/10
0000164
COPY FEES/MORKE, THOMAS R
KBLONDELL 07/06/10
01
CR
0p065
01/11
CR
07/12/10
0000432
COPY FEE - 1 PG
KBLONDELL 07/12/10
01
CR
00128
01/11
CR
07/16/10
0000627
COPIES-CRIS ABALLE
MMENDOZA 07/16/10
01
CR
00148
01/11
CR
07/21/10
0000736
CAMPAIGN ELECTION -LINDA E
MMENDOZA 07/21/10
01
CR
00201
01/11
CR
07/27/10
0000916
COPY FEES - 2 PAGES
KBLONDELL 07/27/10
01
CR
00219
01/11
CR
07/30/10
0001056
COPIES -BL LISTING
MMENDOZA 07/30/10
01
CR
00252
02/11
CR
08/04/10
6001235
YOUTH BUS PASS
MMENDOZA 08/04/10
01
CR
00261
02/11
CR
08/05/10
0001303
COPY FEE/MP4R
360.00
3.05
1.05
6.40
.95
1.40
7.30
1.10
1.25
1.25
.95
360.000R
00
PREPARED
.-7/2014,
10:19:00
GENERAL•LEDGER -- VITY LISTING
P...__ ?79
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND•101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE•
NUMBER
D E S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-4000-341.50-00
General Government
/ Sales Maps/Copies/Public.
KBLONDELL 08/05/10
01
CR
00268
02/11
CR
08/06/10
0001374
ASR CONSTRUCTION INC
3.35
KBLONDELL 08/06/10
01
CR
00313
02/11
CR
08/12/10
0001562
COPY
.95
MMENDOZA 08/12/10
01
CR
00457
02/11
CR
08/23/10
0001858
COPY FEES/MA4PR INC
1.10
KBLONDELL 08/23/10
01
CR
00538
03/11
CR
09/03/10
0002477
COPY FEES 2 PAGES
1.10
KBLONDELL 09/03/10
01
CR
00597
03/11
CR
09/13/10
0002858
DETAIL
.95
MMENDOZA 09/13/10
01
CR
00608
03/11
CR
09/14/10
0002951
COPY FEES - 1 PAGE M4PR
.95
KBLONDELL 09/14/10
01
CR
0061.5
03/11
CR
09/15/10
0002985
COPIES
2.75
MMENDOZA 09/15/10
01
CR
00660
03/11
CR
09/21/10
0003247
COPY FEES - 2 PAGES
1.10
KBLONDELL 09/21/10
01
CR
00689
03/11
CR
09/23/10
0003421
1 PAGE COPY FEE/SANCHEZ
C
.95
KBLONDELL 09/23/10
01
CR
00719
03/11
CR
09/27/10
0003572
CPY FEE/CRYMES, L
1.39
KBLONDELL 09/27/10
01
CR
00753
04/11
CR
10/01/10
0003881
COPY FEES/MP4R
1.25
KBLONDELL 10/01/10
01
CR
00816
04/11
CR
10/08/10
0004377
COPIES
.95 .
MMENDOZA 10/08/10
01
CR
00879
04/11
CR
10/14/10
0004659
COPY FEES - 3 PAGES/ONE
P
1.25
KBLONDELL 10/14/10
01
CR
00879
04/11
CR
10/14/10
0004660
COPY FEE-4 PAGES/ONE
PRNT
1.40
KBLONDELL 10/14/10
01
CR
00898
04/11
CR
10/19/10
0004817
COPY FEES/MA4PR
1.40
KBLONDELL 10/19/10
01
CR
00898
04/11
CR
10/19/10
0004814
BUS LIC LIST
34.00
MMENDOZA 10/19/10
01
CR
00964
04/11
CR
10/26/10
0005114
COPY FEES/DEGEN, DEBORAH
3.65
KBLONDELL 10/26/10
01
CR
00964
04/11
CR
10126/10
0005036
COPIES
..95
MMENDOZA 10/26/10
01
CR
01050
05/11
CR
11/04/10
0005850
COPY FEES/TIME WARNER
CAB
1.85
KBLONDELL 11/04/10
01
CR
01125
05/11
CR
11/15/10
0006308
COPY FEE - 1 PAGE
.95
KBLONDELL 11/15/10
01
CR
01125
05/11
CR
11/15/10
0006322
CENTER FOR CONTRACT
COMPL
5.85
MMENDOZA 11/15/10
01
CR
01125
05/11
CR
11/15/10
0006323
COPIES-MCMANUS
1.84
MMENDOZA 11/15/10
01
CR
01148
05/11
CR
11/18/10
0006627
COPY FEES/MA4PR
1.25
KBLONDELL 11/18/10
01
GM
01172
05/11
AJ
11/29/10
JE 05-020
RECL COPIES CR#6322
11/15 5.85
CR
01274
06/11
CR
12/02/10
0007271
COPY FEES/M4PR LLC
1.55
PREPARED
-.,.7/2014,
10:19:00
GENERAL LEDGER __.:VITY LISTING
Pnw� 980
PROGRAM
GM362L•A
CITY
-----------------------------------------
OF LA
QUINTA, CALIFORNIA
FUND
101
General
Fund
---------------------------------------------------------------------
-----------
-----------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------
NUMBER
PER.
-
CD
--------
DATE
----------------
NUMBER
D E S C R I P T I O N DEBITS
---------------- ---------------------------- -=----------------------
CREDITS
----------------
BALANCE
--------
101-4000-341.50-00
General Government
/ Sales Maps/Copies/Public.
KBLONDELL 12/02/10 01
CR
01357
06/11
CR
12/16/10
0008074
COPIES -BUS LIC LISTING
1.10
MMENDOZA 12/16/10,01
CR
01357
06/11
CR
12/16/10
0008079
COPIES -BUS LIC APPLICATIO
1.10
MMENDOZA 12/16/10 01
CR
01489
07/11
CR
01/04/11
0008565
BUS LIC LISTING
1.10
MMENDOZA 01/04/11 01
CR
01591
07/11
CR
01/18/11
0009556
COPIES
1.25
MMENDOZA 01/18/11 01
CR
01598
07/11
CR
01/19/11
0009625
WIGHTMAN, JOHN
7.25
KBLONDELL 01/19/11 01
CR
01658
07/11
CR
01/26/11
0009986
COPY FEES/ BURGO, C.
5.00
KBLONDELL 01/26/11 01
CR
01854
08/11
CR
02/22/11
0012288
COPY FEE/WORLD CLASS CASI
.95
KBLONDELL 02/22/11 01
CR
01880
08/11
CR
02/24/11
0012896
DOLINKA GROUP LLC
160.95
MMENDOZA 02/24/11 01
CR
01927
09/11
CR
03/01/11
0013221
COPY FEES/CONTRERAS, R
44.60
KBLONDELL 03/01/11 01
CR
02049.
09/11
CR
03/09/11
0014228
COPY FEE/FRENZNICK
2.60
KBLONDELL 03/09/11 01
CR
02138
09/11
CR
03/22/11
0014930
COPY FEES/MARTIN, T.
11.60
KBLONDELL 03/22/11 01
CR
02453
11/11
CR
05/02/11
0018813
COPIES-ACCUTREND DATA COR
1.85
MMENDOZA 05/02/11 01
CR
02563X11/11
CR
05/12/11
0019682
COPY FEES/CHASE
1.85
KBLONDELL 05/12/11 01
CR
02794
12/11
CR
06/09/11
0021374
COPY FEES/COSTO
4.10
KBLONDELL 06/09/11 01
CR
02968
12/11
CR
06/27/11
0022261
COPIES
.95
MMENDOZA 06/27/11 01
ACCOUNT TOTAL
101-4000-342.78-00 Charges for Services / Assmnt Dist Admn Fees
ACCOUNT TOTAL
101;4000-397.00-00 Other Financing Sources / Proceeds fm Capital Lease
ACCOUNT TOTAL
101-4001-415.10-01 Salaries K Wages / Permanent Full Time
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY
PR 00100 01/11 AJ 07/23/10 PR0723 PAYROLL SUMMARY
5.85 343.68 337.83CR
23,889.77
23,889.74
19,111.86
00
.00
.00
.00
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.:VITY
LISTING
P— 981
PROGRAM
GM362LA
CITY OF LA QUINTA,
-------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-4001-415.10-01
Salaries
& Wages /
Permanent Full
Time
PR 00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
23,909.71
PR 00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
23,909.77
PR 00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
23,909.75
PR 00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
23,909.74
PR 00685
04/11
AJ
10/01/10
PR1001.
PAYROLL
SUMMARY
23,909.74
PR.00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
23,983.04
PR 00911
04/11
AJ
10/29/10
PR1029
PAYROLL
.SUMMARY
24,004.35
PR 01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
24,004.33
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
24,004.32
PR 01249
06/11
,AJ
12/10/10
PR1210
PAYROLL
SUMMARY
24,004.32
PR 01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
24,004.35
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL'SUMMARY
27,457.95
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
24,004.35
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
24,004.34
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
24,004.33
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
24,004.36
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
24,004.34
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
24,004.34
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
24,004.33
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
24,004.34
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
24,004.34
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
24,004.35
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
24,004.34
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
24,004.34
PR 02913
12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
8,042.76
PR.02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
19,484.39
ACCOUNT TOTAL
654,370.13 19,111.86
635,258.27
101-4001-415.10-03
Salaries
1
& Wages /
Salaries - Part
Time
.00
ACCOUNT TOTAL
.00
101-4001-415.10-04
Salaries
& Wages /
REGULAR OVERTIME
.00
ACCOUNT TOTAL
.00
'101-4001-415.10-05
Salaries
& Wages /
Temporary Agency
Services
.00
ACCOUNT TOTAL
.00
101-4001-415.10-10
Salaries
& Wages /
Commissions
& Boards
.00 .
GM 00105
01/11
AP
07/14/10
0088234
PARK, DAVID
ALAN
75.00
JUL110
INVESTMENT
ADV MTG
GM 00105
01/11
AP
07/14/10
0088219
BLUM, FRANK
P
75.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER __..VITY
LISTING
PMwa 982
PROGRAM
GM362LA
-
CITY OF LA
------------------------------------------------------
QUINTA,
CALIFORNIA
---------------------------------------------------------=--
FUND 101
General
Fund
------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-4001-415.10-10
Salaries
B Wages /
Commissions B Boards
•
JUL110
INVESTMENT ADV MTG
GM
00105
01/11
AP
07/14/10
0088237
RASSI, RANDY
75.00
JUL110'
INVESTMENT ADV MTG
GM
00105
01/11
AP
07/1.4/10
0088241
SPIRTOS, ANDREA
75.00
JUL110
INVESTMENT ADV MTG
GM
00346
02/11
AP
O8/11/10
0088575
MORTENSON, KURT T
75.00
AUG110
INVESTMENT ADV MTG
GM
00346
02/11
AP
O8/11/10
0088556
BLUM, FRANK P
75.00
AUG110
INVESTMENT ADV MTG
GM
00346
02/11
AP
08/11/10
0088582
SPIRTOS, ANDREA
75.00
AUG110
INVESTMENT ADV MTG
GM
00605
03/11
AP
09/08/10
0088942
PARK, DAVID ALAN
75.00
SEP110
INVESTMENT ADV MTG
GM
00605
03/11
AP
09/08/10
0088940
MORTENSON, KURT T
75.00
SEP110
INVESTMENT ADV MTG
GM
OD605
03/11
AP
09/08/10
0088921
BLUM, FRANK P
75.00
SEP110
INVESTMENT ADV MTG
GM
00605
03/11
AP
09/08/10
0088944
RASSI, RANDY
75.00
SEP110
INVESTMENT ADV MTG
GM
00605
03/11
AP
09/08/10
0088947
SPIRTOS, ANDREA
75.00
SEP110
INVESTMENT ADV MTG
GM
00876
04/11
AP
10/13/10
0089358
PARK, DAVID ALAN
75.00
OCT110
INVESTMENT ADV MTG
GM
00876
04/11
AP
10/13/10
0089356
MORTENSON, KURT T
75.00
OCT110
INVESTMENT ADV MTG
GM
00876
04/11
AP
10/13/10
0089338
BLUM, FRANK P
75.00
OCT110
INVESTMENT ADV MTG
GM
00876
04/11
AP
10/13/10
0089360
RASSI, RANDY
75.00
OCT110
INVESTMENT ADV MTG
GM
00876
04/11
AP
10/13/10
0089363
SPIRTOS, ANDREA
75.00'
OCT110
INVESTMENT ADV MTG
GM
01097
05/11
AP
11/10/10
0089719
MORTENSON, KURT T
75.00
NOV110
INVSTMNT ADV MTG
GM
01097
05/11
AP.11/10/10
0089723
RASSI, RANDY
75.00
NOV110
INVSTMNT ADV MTG
GM
01097
05/11
AP
11/10/10
0089729
SPIRTOS, ANDREA
75.00
NOV110
INVSTMNT ADV MTG
GM
01335
06/11
AP
12/08/10
0090114
PARK, DAVID ALAN
75.00
DEC110
INVESTMENT ADV MTG
GM
01335
06/11
AP
12/08/10
0090110
MORTENSON, KURT T
75.00
DEC110
INVESTMENT ADV MTG
GM
01335
06/11
AP
12/08/10
0090084
BLUM, FRANK P
75.00
DEC110
INVESTMENT ADV MTG
GM
01335
06/11
AP
12/08/10
0090124
SPIRTOS, ANDREA
75.00
DEC110
INVESTMENT ADV MTG
GM
01568
07/11
AP
01/12/11
0090434
PARK, DAVID ALAN
75.00
JAN'll
INVESTMENT ADV MTG
GM
01568
07/11
AP
01/12/11
0090431
MORTENSON, KURT T
75.00
JAN'll
INVESTMENT ADV MTG
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER
--. VITY LISTING
Pwuc 983
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------=--
PER.
CD
------
DATE
--------------------
NUMBER
D E.S C R I P T I 0 N
------------- --------------------------
DEBITS CREDITS
----------------------------------------
BALANCE
----------
.101-4001-415.10-10
Salaries
& Wages /
Commissions & Boards
GM
01568
07/11
AP
01/12/11
0090416
BLUM, FRANK P
75.00
JAN'll
INVESTMENT ADV MTG
GM
01568
107/11
AP
01/12/11
0090438
SPIRTOS, ANDREA
75.00
JAN'll
INVESTMENT ADV MTG
GM
01793
08/11
AP
02/09/11
0090793
MORTENSON, KURT T
75.00
FEB'll _
INVESTMENT ADV MTG
GM
01793
08/11
AP
02/09/11
0090769
BLUM, FRANK P
75.00
FEB'll
INVESTMENT ADV MTG
GM
01793
08/11
AP
02/09/11
0090799
SPIRTOS, ANDREA
75.00
FEB'll
INVESTMENT ADV MTG
GM
02022
09/11
AP
03/09/11
0091135
PARK, DAVID ALAN
75.00
MAR'll
INVESTMENT ADV MTG
GM
02022
09/11
AP
03/09/11
0091133
MORTENSON, KURT T
75.00
MAR'll
INVESTMENT ADV MTG
GM
02022
09/11
AP
03/09/11
0091108
BLUM, FRANK P
75.00
MAR'll
INVESTMENT ADV MTG
GM
02022
09/11
AP
03/09/11
0091142
SPIRTOS, ANDREA
75.00
MAR'll
INVESTMENT ADV MTG
GM
02306
10/11
AP
04/13/11
0091574
MORTENSON, KURT T
75.00
APR'll
INVESTMENT,ADV MTG
GM
02306
10/11
AP
04/13/11
0091565
BLUM, FRANK P
75.00
APR'll
INVESTMENT ADV MTG
GM
02306
10/11
AP
04/13/11
0091582
SPIRTOS, ANDREA
75.00
APR'll
INVESTMENT ADV MTG'
GM
02588
11/11
AP
05/11/11
0091947
PARK, DAVID ALAN
75.OU
MAY'll
INVESTMENT ADV MTG
GM
02588
11/11
AP
05/11/11
0091943
MORTENSON, KURT T
75.00
MAY'll
INVESTMENT ADV MTG
GM
02588
11/11
AP
05/11/11
0091929
BLUM, FRANK P
75.00
MAY'll
INVESTMENT ADV MTG
GM
02588
11/11
AP
05/11/11
0091952
SPIRTOS, ANDREA
75.00
MAY'll
INVESTMENT ADV MTG
GM
02808
12/11
AP
06/08/11
0092334
PARK, DAVID ALAN
75.00
JUN -11
INVESTMENT MEETING
GM
02808
12/11
AP
06/08/11
0092332
MORTENSON, KURT T
75.00
JUN -11
INVESTMENT MEETING
GM
02808
12/11
AP
06/08/11
0092308
BLUM, FRANK P
75.00
JUN -11
INVESTMENT MEETING
GM
02808
12/11
AP
06/08/11
0092338
SPIRTOS, ANDREA
75.00
JUN -11
INVESTMENT MEETING
ACCOUNT TOTAL
101-4001-415.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
3,450.00
3,450.00
.00
.00
LS'606`1
ABvwwns
1108AVd
i00I8d
Oi/i0/Oi
fV
II/40
999UO
8d
LS'606`1
ABvwwns
1108AVd
L1608d
OI/Li/60
fV
ii/£0
46500
8d
LS'606`I
ABvwwns
1108AVd
£0608d
Oi/£0/60
rV
ii/£0
5£400
8d
L5'606`1
ABvwwns
1108AVd
OZO08d
Oi/OZ/80
rV
ii/ZO
Z4£00
8d
L5'606`1
ABvwwns
1108AVd
90008d
Oi/90/80
rV
iim
96100
8d
L5'606`1
ABvwwns
1108AVd
£ZLOad
Oi/£Z/LO
rV
iim
00100
8d
99'LZS`i
ABvwwns
1108AVd
60LOHd
0I/60/LO
rV
11/10
L0000
8d
L5'606`1
ABvwwns
1108AVd
60LOHd
01/60/LO
fV
ii/t0
L0000
8d
00'
u011JOd 66A0idw3-S83d
/ s4t40u66
88A0idw3
ZO-OZ'S14-I004-101
50'ibi`49
18'656`1
99'101`99
1V101 1Nn000V
00'966`1
ABvwwns
1108AVd
OOL08d
Timm
fV
ii/Zi
L46ZO
8d
Z9'6ZZ
ABvwWnS
1108AVd
0£908d
ii/0£/90
fV
iint
£16ZO
8d
L4'6S4`Z
ABVWWnS
1108AVd
,4Z908d
II/4Z/90
fV
iint
L90Z0
8d
L4'654`Z
ABvwwns
1108AVd
01908d
ii/Oi/90
fV
iint
££LZO
8d
L4'654`Z
ABvwwns
1108AVd
LZ508d
ii/LZ/50
PV
ii/Ii
5Z9ZO
8d
L4'654`Z
ABvwwns
1108AVd
£1S08d
ii/£1/50
rV
ii/II
4ZSZO
8d
L4'654`Z
ABvwwns
1108AVd
6Z408d
11/6Z/40
fV
ii/Oi
84£ZO
8d
L4'654`Z
ABVWWnS
1108AVd
5I408d
ii/51/40
fV
ii/O1
£5ZZO
8d
L4'654`Z
ABVWwnS
1108AVd
i0408d
ii/i0/40
fV
ii/OI
I5IZO
8d
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GENERAL LEDGER
—VITY LISTING
PAWL 985
PROGRAM
GM362LA
PR
00100
01/11
AJ
PR
00100
01/11
CITY OF LA
---------------------------
QUINTA,
CALIFORNIA
;
02/11
AJ
PR
00196
101
General
Fund
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02/11
AJ
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BEGINNING•
AJ
GROUP
ACCTG
----TRANSACTION----
AJ
PR
00435
03/11
/ENDI•NG
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-4001-415.20-•02
04/11
Employee
Benefits /
PERS-Employee Portion
04/11
AJ
PR
00824
04/11
AJ
10/15/10'PR1015
00824
PAYROLL
SUMMARY
1,915.43
01060
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
1,917.13
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
1,917.13
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
1,917.13
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
1,917.13
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
1,917.13
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
1,917.13
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
1,917.13
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
1,917.13
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
1,917.13
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
1,917.14
PR
02016'
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
1,917.13
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
1,917.13
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
1,917.13
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
1,917.13
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
1,917.13
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
1,917.13
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
1,917.13
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
1,917.14
PR
02913
12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
178.99
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
1,555.84
.ACCOUNT
TOTAL
51,525.61 1,527.66
49,997.95
101-4001-415.20-03 Employee Benefits / PERS-Survivor Benefits
101-4001-415.21-01
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00435
03/11
AJ
PR
00594
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
00824
04/11
AJ
PR
01060
05/11
AJ
PR
01060
05/11
AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
07/23/10 PR0723
08/06/10 PR0806
08/06/10 PR0806
08/20/10 PR0820
08/20/10 PR0820
09/03/10 PR0903
09/03/10 PR0903
09/17/10 PR0917
09/17/10 PR0917
10/01/10 PR1001
10/01/10 PR1001
10/15/10 PR1015
10/15/10 PR1015
11/12/10 PR1112
11/12/10 PR1112
00
.00
/ Medical Insurance
.00
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
3,041.50
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
53.75
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
0
57.90
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90,
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90
PAYROLL
SUMMARY
3,726.06
PAYROLL
SUMMARY
57.90'
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PREPARED --.-7/2014, 10:19:00 GENERAL LEDGER--.:VITY LISTING PAWL 988
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----^-------------------------------------------------------------------------------------------------------------------------------
101-4001-415.21-05
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
01060a
05/11
AJ
PR
01137
05/11
AJ
PR
01249
06/11
AJ
PR
02364
06/11
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
PR
01904
09/11
AJ
PR
02016
09/11
AJ
PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
PR
02867
12/11
AJ
PR
02947
12/11
AJ
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10•PRO917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PRO107
01/21/11 PRO121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PRO513
05/27/11 PRO527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ Life Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
101-4001-415.21-06 Insurance Benefits / Flexible Compensation
101-4001-415.21-07
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00911 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PRO806
08/20/10 PRO820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
/ Long Term Disability
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
30.40
30.40
30.40
30.40
30.40
30.40
30.40
30.40
30.40
30.40
30.40
30.40
28.03
28.03
28.03
28.03
28.03
28.03
28.03
28.03
28.03
28.03
28.03
28.03
22.60
723.76
257.80
257.80
79.42
79.42
79.42
79.42
79.42
79.99
79.99
79.99
79.99
79.99
24.32
24.32
206.23
699.44
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER --VITY LISTING .PAWL 989
PROGRAM GM362LA
CITY OF LA aUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N
DEBITS CREDITS
101-4001-415.21-07
Insurance Benefits
/ Long Term
Disability
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
79.99
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
130.75
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
130.75
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
130.75
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
130.75
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
130.75
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
130.75
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
130.75
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
130.75
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
130.75
PR
02524
11/11
AJ
05/13/11.PR0513
PR1112
PAYROLL
SUMMARY
130.75
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
130.75
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
130.75
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
130.75
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
104.96
ACCOUNT TOTAL 3,197.35
101-4001-415.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-4001-415.25-01
Workers
Comp Insurance
/ Workers Comp Insurance
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
704.76
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
704.76
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
705.35
PR
Ob342
02/11
AJ
08/20/10
PR0B20
PAYROLL
SUMMARY
705.35
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
705.35
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
705.35
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
705.35
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL
SUMMARY
707.51
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
708.14
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
708.14
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
708.14
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY.
708.14
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
708.14
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
810.02
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
708.14
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
708.14
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
708.14
PR
OJ904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
708.14
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
708.14
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
708.14
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
708.14
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
708.14
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
708.14
BEGINNING
/ENDING
BALANCE
206.23 2,991.12
563.80
.00
.00
.00
66'8L#1`6
00'
00'
00'
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98'SLZ
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05'#182
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SZ'OS£
SZ'OS£
52'05£
52'05£
LO'8#1£
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SZ'OS£
52'05£
52'05£
52'05£
52'05£
SZ'OS£
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SZ'OS£
52'05£
ZI'ZiZ
52'05£
£i'£S£
LO'8#1£
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88'8#1£
88'8#1£
88'8#1£
88'8#1£
88'8#1£
6S'8#1£
65'8#1£
L6'990`61
Auvwwns 110NAVd
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1V101 1Nn000V
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------------------------------------------------------------------------------------------------------------------------------------
33NV1V8
S1I03110 S1I830
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----NOIlOVSNV111---- 9100V dn0119
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------------------------------------------------------------------------------------------------------------------------------------
punct teJauag I01 ONnd
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00:61:01 `#1i0Z/L---- 0311Vd311d
8b
PREPARED
7/2014,
10:19:00
GENERAL LEDGER .._._VITY
LISTING
P---.175
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------------------------------------------------------------------------------------------•--
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS
CREDITS BALANCE
101=5008-419.43-88
Other Maintenance
Y Maint & Repair -Other Equi
- GM
00275
02/11
AP
07/26/10
0088471
DUNN-EDWARDS CORPORATION
35.46
2079097444
GENERAL R&M
GM
00437
03/11•
AP
07/26/10
0088778
ACE HARDWARE
7.47
107496
GENERAL R&M
GM
00555
03/11
AP
07/28/10
0088778
ACE HARDWARE
23.61
107513
GENERAL R&M
GM
00555
03/11
AP
07/28/10
0088778
ACE HARDWARE
.64
107513
GENERAL R&M
GM
00274
02/11
AP
07/30/10
0088483
MASTERS ENVIRONMENTAL
800.00
1636-A
PUBLIC BLDG R&M
GM
00229
02/11
AP
08/03/10
0088422
PALMS•TO PINES CANVAS
1,903.20
7065
SKYLIGHT SHADE
GM
00299
02/11
AP
08/03/10
0088549
WELLS FARGO BUSINESS CARD
115.23
3072
VISA CARD PYMT
GM
00555
03/11
AP
08/03/10
0088778
ACE HARDWARE
14.00
106794•
GENERAL R&M
GM
00555
03/11
AP
08/04/10
0088778
ACE HARDWARE
19.43
107558
GENERAL R&M
GM
00259
02/11
AP
08/05/10
0088459
BRUINSMA, LEW
44.58
213511
PUBLIC BLDG R&M
GM
00367
03/11
AP
08/16/10
0088829
HOARD INC, HUGH
147.75
58974
GENERAL R&M
GM
00367
03/11
AP
08/18/10
0088794
BUDGET -AIR HEATING & AIR
150.00
616
YARD A/C R&M
.GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
8.68
960375
FLAG POLE R&M
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
10.85
907361
FLAG POLE R&M
GM
OD439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
94.24
960051
PUBLIC BLDG
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
14.93
904842
PUBLIC BLDG
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
8.68
969223
PUBLIC BLDG
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
9.90
960600
MATERIAL
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
3.98
96761
GENERAL R&M
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
8.60
920046
GENERAL R&M
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
4.07
8042173
PUBLIC BLDG R&M
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT•CREDIT SERVICE
24.94
•
5042240
PUBLIC BLDG R&M
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
39.31
5042242
PUBLIC BLDG R&M
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
18.94
5182919
PUBLIC BLDG R&M
GM
00522
03/11
AP
09/01/10
0088771
STATEWIDE SERVICES INC
2,560.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER--..VITY
LISTING
P—.176
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------
FUND 101
General
Fund
---------------------------------------------------------------
---------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------------------------------------------------------=--------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
• D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5008-419.43-88
Other Maintenance
/ Maint & Repair -Other Equi
90110
PUBLIC BLDG R&M
GM
Ob555
03/11
AP
09/02/10
0088853
MCKINZIE ELECTRICAL CONTR
150.00
101
PUBLIC BLDG R&M
GM
00624
03/11
AP
09/14/10
0088991
BEST SIGNS INC
73.95
74945
RECEPTION SIGN
GM
00624.
03/11
AP
09/15/10
0088991
BEST SIGNS INC
212.03
74950
•SIGNAGE
GM
00736
04/11
AP
09/21/10
0089183
DEL'S FLOORING CONTRACTOR
716.46
8105 .
CARPET PRJ
GM
01001
05/11
AP
09/23/10
0089588
HOARD INC, HUGH
2,087.29
59241
PUBLIC BLDG R&M
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
5.42
960373
PUBLIC BLDG R&M
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
43.48
7020876
GENERAL R&M
GM
09045
09/11
AP
09/30/10
0091198
HOARD INC, HUGH
98.50
59280
COUNCIL CHAMBERS
GM
01048
05/11
AP
10/01/10
0089588
HOARD INC, HUGH
616.36
58946
HVAC -PUBLIC BLDG
GM
01048
05/11
AP
10/01/10
0089588
HOARD INC, HUGH
805.70
58944
HVAC -PUBLIC BLDG
GM
00846
04/11
AP
10/07/10
0089433
LANDMARK GEO-ENGINEERS &
1,297.00
LP1010-18
SOILS TESTING
GM
01096
05/11
AP
10/12/10
0089743
ACE HARDWARE
4.81
107847
GENERAL R&M
GM
01001
05/11
AP
10/19/10
0089584
HIGH TECH IRRIGATION INC
28.71
188148
PUBLIC BLDG R&M
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
.92
960642
ADMIN SWITCH PLT
GM
01159
05/11
AP
11/03/10
0089809
LIGHT SOURCE
505.47
-
87507
GENERAL R&M
GM
01246
06/11
AP
11/08/10
0089924
ACE HARDWARE
19.72
108370
CITY HALL
GM
01246
06/11
AP
11/12/10
0089990
JOHNSTONE SUPPLY
19.81
251992
PUBLIC BLDG R&M
GM
01181
06/11
AP.11/18/10
0089986
INDEPENDENT ELECTRIC SUPP
4.46
S100522913001
PUBLIC BLDG R&M
GM
01335
06/11
AP
11/20/10
0090123
SPEEDY AC & HEATING
11080.00
495-11
HVAC/DUCT WK PRJ
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
10.91
907067
PUBLIC BLDG R&M
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
6.50
952224
PUBLIC BLDG R&M
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
2.35
966389
GENERAL R&M
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
27.59
3014688
GENERAL R&M
GM
01362
06/11
AP
11/30/10
0090177
CONSOLIDATED ELECTRICAL D
46.71
5725652045
PUBLIC BLDG R&M
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER .._._VITY
LISTING.
P__177
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I•P T I O N
DEBITS
CREDITS BALANCE
101-5008-419.43-88
Other Maintenance
/
Maint & Repair -Other Equi
GM
01362
•06/11
AP
11/30/10
0090177
CONSOLIDATED ELECTRICAL D
105.59
5725652001
PUBLIC BLDG R&M
GM
01253
06./11
AP
12/02/10
0089906
DEPARTMENT OF TOXIC SUBST
400.00
CAL000244804
EPA FEES
GM
01335
06/11
AP
12/09/10
0090127
STATEWIDE SERVICES INC
662.73
120910
CITY HALL PLUMBING
GM
01366
06/11
AP
12/10/10
0090222
SHASTA FIRE PROTECTION, I
400.00
6832
PUBLIC BLDG R&M
GM
01632
08/11
AP
12/10/10
0090658
EVANS, GUY CONTRACTOR SER
256.00
99991061
DOOR INSTALL
GM
01335
06/11
AP
12/13/10
0090086
CASH/PETTY CASH
45.82
121310
PETTY CASH REIMB
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
76.09
965745
PUBLIC BLDG R&M
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
16.28
920829
FLASH LIGHT
GM
01420
07/11
AP
12/25/10
009.0263
LOWE'S HOME IMPROVEMENT W
16.27
920828
RETURN CREDIT
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
19.44
904798
R&M
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
2.15
927854
R&M
GM
01564.
07/11
AP
12/28/10
0090497
JOHNSTONE SUPPLY
6.05
252670
PUBLIC BLDG R&M
GM
02077
09/11
AP
12/29/10
0091155
ACE HARDWARE
22.09
108204
PUBLIC BLDG
GM
01703
08/11
AP
01/05/11
0090617
ACE HARDWARE
•73.04
108127
PUBLIC BLDG R&M
GM
01703
08/11
AP
01/10/11
0090666
HOARD INC, HUGH
541.75
60001
PUBLIC BLDGS R&M
GM
01703
08/11
AP
01/10/11
0090617
ACE HARDWARE
19.92
108161
PUBLIC BLDG R&M
GM
01703
08/11
AP
01/12/11
0090666
HOARD INC, HUGH
463.35
60012
PUBLIC BLDGS R&M
GM
01703
08/11
AP
01/19/11
0090617
ACE HARDWARE
.35
106918
PUBLIC BLDG R&M
GM
01603
07/11
AP
01/20/11
0090542
TRULY NOLEN INC
562.00
RENEWAL
MAR111-FEB112
GM
01703
08/11
AP
01/21/11
0090617
ACE HARDWARE
24.43
106935
PUBLIC BLDG R&M
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
2.16
969800
RETURN CREDIT
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
4.22
913361
PUBLIC BLDG R&M
GM
01596
07/11
AJ
01/31/11
AJE 07-020
REC TO ENERGY.CONSERVATIO
505.47
GM
01703
08/11
AP
01/31/11
0090639
COMPUTER PROTECTION TECHN
5,158.77
15701 -CPT
PUBLIC BLDG
GM
01703
08/11
AP
01/31/11
0090639
COMPUTER PROTECTION TECHN
1,299.12
15202 -CPT
PUBLIC BLDG R&M
PREPARED
----7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P--178
PROGRAM
GM362LA
CITY OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5008-419.43-88
Other Maintenance /
Maint & Repair -Other Equi
GM
01703
08/11
AP
01/31/11
0090639
COMPUTER PROTECTION TECHN
31005.58
15203 -CPT
PUBLIC BLDG R&M
GM
01768
08/11
AP
01/31/11
0090817
AUTOMATIC STOREFRONT SVC
263.50
11596
EE ENTRANCE R&M
GM
02045
09/11
AP
02/01/11
0091155
ACE HARDWARE
48.77
107008
PUBLIC BLDG R&M
GM
01768
08/11
AP
02/03/11
0090852
HOARD INC, HUGH
571.67
60128
PUBLIC BLDG R&M
GM
02077
09/11
AP
02/14/11
0091205
JOHNSON MACHINERY CO.
190.68
140093420001
PUBLIC BLDG R&M
GM
01903
09/11
AP
02/15/11
0091044
SOUND IMAGE INC
661.58
506034IN
PUBLIC BLDG R&M
GM
02045
09/11
AP
02/17/11
0091155
ACE HARDWARE
12.95
107121
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
.74
960777
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
33.93
960163
PUBLIC BLDG R&M
GM
02003
.09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
1.22
913342
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
28.04
952484
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
9.48
3022458
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
8.68
6023586
PUBLIC BLDG R&M
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
13.02
8024785
PUBLIC BLDG R&M
GM.02248
10/11
AP
02/28/11
0091359
ACE HARDWARE
29.11
107176
PUBLIC BLDG
GM
02248
10/11
AP
02/28/11
0091359
ACE HARDWARE
54.10
107181
PUBLIC BLDG
GM
02302
10/11
AP
03/02/11
0091639
HOARD INC, HUGH
11590.03
60223
PUBLIC BLDG R&M
GM
02022
09/11
AP
03/03/11
0091149
WELLS FARGO BUSINESS CARD
54.32
3072
VISA CARD PYMT-
GM
02316
10/11
AP
03/07/11
0091639
HOARD INC, HUGH
1,160.11
60224
HVAC R&M
GM
02127
09/11
AP
03/10/11
0091285
LIFETIME PATIOS
1,620.00
110308-F
LATTICE SHADE
GM
02136
10/11
AP
03/14/11
0091450
LIGHT SOURCE,
104.07
89731
PUBLIC BLDG R&M
GM
02127
09/11
AP
03/15/11
0091288
PREMIER ONE COATINGS INC
2,500.00
584
SUBSTATION PAINT
GM
02316
10/11
AP
03/16/11
0091706
US AIR CONDITIONING DISTR
10.90
7343384
PUBLIC BLDG R&M
GM
02039
09/11
AJ
03/17/11
JE 09-032
ADJ FEMA REIMB 12/8/10 CR
93.00
GM
02077
09/11
AP
03/18/11
0091155
ACE HARDWARE
27.42
107002
PUBLIC BLDG
PREPARED
.7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P____179
PROGRAM
GM362LA
CITY -OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING '
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER'
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5008-419.43-88
Other Maintenance
/ Maint & Repair -Other Equi
GM
02248
10/11
AP
03/22/11
0091359
ACE HARDWARE
14.13
107302
PUBLIC BLDG
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
10.85
960233
PUBLIC BLDG R&M
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
8.67
904299
PUBLIC BLDG R&M
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
6.36
5026769
PUBLIC BLDG R&M
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
12.98
8020288
PULBIC BLDG R&M
GM
02248
10/11
AP
03/29/11
0091359
ACE HARDWARE
1.95
107333
PUBLIC BLDG
GM
02288
10/11
AP
04/01/11
0091560
WELLS FARGO BUSINESS CARD
17.07
3072
VISA CARD PYMT
GM
02424
11/11
AP
04/07/11
0091819
HOARD INC, HUGH
348.00
60506
PUBLIC BLDG R&M'
GM
02558
11/11
AP
04/11/11
0091959
ACE HARDWARE
9.74
107424
CITY HALL R&M
GM
02302
10/11
AP
04/13/11
0091605
BRUINSMA, LEW
39.15
780114
PUBLIC BLDG R&M
GM
02558
11/11
AP
04/13/11
0091959
ACE HARDWARE
53.57
108533
CITY HALL R&M
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
17.33
3194076
RETURN CREDIT
GM
02789
12/11
AP
04/29/11
0092286
THYSSENKRUPP ELEVATOR COR
560.00
1117067551
CITY HALL ELEVATOR
GM
02863
12/11
AP
05/05/11
0092378
HOARD INC, HUGH
367.89
60768
CITY HALL A/C
GM
02694
12/11
AP
05/09/11
0092216
HOARD INC, HUGH
1,394.31
60787
CITY HALL
GM
02735
12/11
AP
05/11/11
0092164
ACE HARDWARE
10.41
108703
PUBLIC BLDG R&M
GM
02955
12/11
AP
05/13/11
0092532
HOARD INC, HUGH
365.54
60846
ICE MACHINE REPAIR
GM
02728
12/11
AP
05/24/11
0092211
GRAINGER
59.70
9545715709
PUBLIC BLDG R&M
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
11.18
913857
PUBLIC BLDG
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
24.31
913195
PUBLIC BLDG
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
7.22
907599
PUBLIC BLDG
GM
02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT W
7.59
952822
PHOTO CELL
GM
02728
12/11
AP
05/26/11
0092231
LOCK SHOP INC, THE
11.00
AA00001759
OLD ST#32 R&M
GM
02740
12/11
AP
05/27/11
0092148
HOME DEPOT CREDIT SERVICE
18.45
4028096
MAINT & REPAIR
GM
02735
12/11
AP
05/28/11
0092164
ACE HARDWARE
33.70
PREPARED 7/2014, 10:19:00 GENERAL LEDGER ___._'VITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101 General Fund BEGINNING•
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------•-----------------------------------------------------------------------------------------------------------------------=
101-5008-419.43-88
Other Maintenance /
Maint & Repair -Other Equi
108633
PUBLIC BLDG R&M
GM
03021
12/11
AP
06/02/11 0092685
ACE HARDWARE
9.55
108933
MAINT SUPPLIES
GM
.02998
12/11
AP
06/08/11 0092525
DUNN-EDWARDS CORPORATION
21.59
2079124927
CIVIC CTR MAINT
GM
02871
12/11
AP
06/10/11 0092417
US AIR CONDITIONING DISTR
18.76
7455584
A/C FILTERS
GM
03021
12/11
AP
06/10/11 0092685
ACE HARDWARE
35.56
108944
MAINT SUPPLIES
GM
02808
12/11
AP
06/15/11 0092314
DEPARTMENT OF TOXIC SUBST
400.00
CAL000244804
EPA FEES CIVIC CTR
GM
02870
12/11
AP
06/21/11 0092436
M A Y PLUMBING
310.00
062111
WALL REPAIR SR CTR
GM
03010
12/11
AP
06/25/11 0092618
LOWE'S HOME IMPROVEMENT W
6.82
960193
FOUNTAIN MAINT
GM
03010
12/11
AP
06/25/11 0092618
LOWE'S HOME IMPROVEMENT W
3.52
960296
PUBLIC BLDG
GM
02955
12/11
AP
06/27/11 0092542•
LOCK SHOP INC,, THE
33.41
BB00002200
FILE CABINETS KEYS
GM
03010
12/11
AP
06/28/11 0092614
HOME DEPOT CREDIT SERVICE
216.41
1117487
MAINT ELECTRICAL RM
GM
01703
08/11
AP
12/29/11 0090617
ACE HARDWARE
3.21
108210
PUBLIC BLDG•R&M
ACCOUNT TOTAL
47,850.02
101-5008-419.44-01 Contract Services / Equipment Rental
ACCOUNT TOTAL
101-5008-419.44-04 Contract Services / Rent -- Facilities
GM 00995 04/11 AJ 10/31/10 JE 04-033 OCT110 FISCL AGT ACTIVITY 552,090.00
GM 02477 10/11 AJ 04/30/11 JE 10-033 APR'll DEBT SVC PYMT 120,435.00
ACCOUNT TOTAL 672,525.00
101-5008-419.44-07 Contract Services / Uniforms
ACCOUNT TOTAL
101-5008-419.51-01 Services & Supplies / Travel/ Training
ACCOUNT TOTAL
582.12 '
47,267.90
.00
.00
.00
672,525.00
.00
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER ...__'VITY LISTING P-.181
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG —-TRANSACTION /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-- -------------------------- --.... ------------------ ------------------ ------------ ------------------ ------------------- -------------
101-5008-419.51-02 Services & Supplies / Vehicle Reimbursement
ACCOUNT TOTAL
101-5008-419.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5008-419.53-01 Services & Supplies / Printing
ACCOUNT TOTAL
101-5008-419.53-.03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-5008-419.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
101-5008-419.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-5008-419.54-01 Services & Supplies / Information Tech Charges
ACCOUNT TOTAL
101-5008-419.56-01 Services & Supplies /.Office Supplies
ACCOUNT TOTAL
101-5008-419.56-02
Services
& Supplies
/ Operating'Supplies
GM
02351
10/11
AP
03/02/10
0091698
SUPERCIRCUITS INC
661587A
OPERATING SUPPLIES
GM
00099
01/11
AP
07/12/10
0088319
LOCK SHOP INC, THE
647555
KEYS -PUBLIC BLDG
GM
01048
05/11
AP
07/21/10.0089572
DESERTARC
TCGO4598
DEPT SHIRTS
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
114661
VACUUM
GM
00391
02/11
AP
08/09/10
0088716
CAPITAL ONE COMMERCIAL
213.41
6.53
266.45
177.81
18.48
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
. 0 0,
.00
.00
.00
.00
.00
.00
PREPARED
_ ._7/2014, 10:19:00
GENERAL LEDGER ..-.-'VITY
LISTING
P—.182
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
--------------------------------------------------------------------------'----------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---- ------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S.0 R I P T I 0 N
DEBITS CREDITS
--------------------------------------------------
BALANCE
101-5008-419.56-02
Services & Supplies
/ Operating Supplies
58822
OPERATING SUPPLIES
GM
00367
03/11
AP
08/12/10 0088859
NIXALITE OF AMERICA INC
62.19
INV201005131
OPERATING SUPPLIES
GM
00581
03/11
AP
09/09/10 0088885
SILVERROCK RESORT
5.00
97829622
AUG110 SALES TAX
GM
00624
03/11
AP
09/23/10 0088975
ACE HARDWARE
1.95
107711
FIRE ST/PUBLIC BLDG
GM
00751
04/11
AP
09/25/10 0089140
LOWE'S HOME IMPROVEMENT
W
26.60
960186
PUBLIC BLDG
GM
00751
04/11
AP
09/25/10 0089140
LOWE'S HOME IMPROVEMENT
W
8.68
960443
OPERATING SUPPLIES
GM
00751
04/11
AP
09/25/10 0089140
LOWE'S HOME IMPROVEMENT
W
26.28
960079
OPERATING SUPPLIES
GM
OU751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
138.55
8013511
PUBLIC BLDG
GM
01033
05/11
AP
10/25/10 0089527
LOWE'S HOME IMPROVEMENT
W
11.61
918059
CITY HALL BULBS
GM
01478
07/11
AP
11/22/10 0090315
LOCK SHOP INC, THE
9.05
AA00051817
OPERATING SUPPLIES
GM
01571
07/11
AP
11/29/10 0090441
ACE HARDWARE
13.53
107996
OPERATING SUPPLIES
GM
01420
07/11
AP
12/25/10 0090263
LOWE'S HOME IMPROVEMENT
W
10.84
960499
MATERIAL
GM
01951
09/11
AP
01/06/11 0090989
CONSOLIDATED ELECTRICAL
D
6.70
5725152864
OPERATING SUPPLIES
GM
01951
09/11
AP
01/06/11 0090989
CONSOLIDATED ELECTRICAL
D
4.45
5725655039
OPERATING SUPPLIES
GM
01571
07/11
AP
01/12/11 0090504
LOCK SHOP INC, THE
20.66
BB00511846
OPERATING SUPPLIES
GM
01643
08/11
AP
01/13/11 0090682
LIGHT SOURCE
188.36
88770
OPERATING SUPPLIES
GM
01692
08/11
AP
01/25/11 0090606
LOWE'S HOME IMPROVEMENT
W
27.66
960792
OPERATING SUPPLIES
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
16.81
3019686
OPERATING SUPPLIES
GM
02077
09/11
AP
03/01/11 0091215
LIGHT SOURCE
76.67
89539
OPERATING SUPPLIES
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
28.88
9114716
TRASH CANS
GM
02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT
W
3.77
907307
OPERATING SUPPLIES
GM
02784
12/11
AP
05/13/11 0092211
GRAINGER
29.85
•
9537261977
AC ACCESS
GM
02784
12/11
AP
05/13/11 0092209
GALLS RETAIL
224.00
168905
OPERATING SUPPLIES
GM
02784
12/11
AP
05/19/11 0092230
LIGHT SOURCE
188.36
90862
CITY HALL LIGHTS
GM
02694
12/11
AP
05/23/11 0092231
LOCK SHOP INC, THE
23.53
AA00001694
KEY TAGS/COILS
PREPARED'____7/2014, 10:19:00 GENERAL LEDGER _.-._VITY LISTING P---.183
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING.
GROUP ACCTG ----TRANSACTION---- - /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
I -----------------------------------------------------------------------------------------------------------------------------------
101-5008-419.56-02
Services & Supplies /
Operating Supplies
GM
03010
12/11
AP
06/25/11.0092618
LOWE'S HOME IMPROVEMENT
W
10.84
913955
OPERATING SUPPLIES
ACCOUNT TOTAL
1,840.80
101-5008-419.56-55
Services & Supplies /
Small Tools/Equipmt
GM
00702
03/11
AP
09/14/10 0088981
ANDERSON COMMUNICATIONS,
238.44
5685
SMALL TOOLS
GM
01033
05/11
AP
10/25/10 0089527
LOWE'S HOME IMPROVEMENT
W
23.82
960075
SMALL TOOLS
GM
01253
06/11
AP
11/25/10 0089913
LOWE'S HOME IMPROVEMENT
W.
13.65
960990
SMALL TOOLS
GM
01253
06/11
AP
11/25/10 0089913
LOWE'S HOME IMPROVEMENT
W
2.71
907793
SMALL TOOLS
GM
02003
09/11
AP
02/28/11 0091078
HOME DEPOT CREDIT SERVICE
19.55
7024896
PUBLIC BLDG R&M
GM
02558
11/11
AP
04/25/11 0091959
ACE HARDWARE
30.43
108601
RDA DEMO TOOLS
GM
02735
12/11
AP
05/20/11 0092164
ACE HARDWARE
62.95
108741
PUBLIC BLDG R&M
GM
02702
12/11
AP
05/25/11 0092127
LOWE'S HOME IMPROVEMENT
W
13.02
952789
SMALL TOOLS
GM
02987
12/11
AP
06/17/11.0092551
NIXALITE OF AMERICA INC
141.88
INV201103552
PIGEON SPIKES
GM
03010
12/11
AP
06/25/11 0092618
LOWE'S HOME IMPROVEMENT
W
4.63
960950
SMALL TOOLS
ACCOUNT•TOTAL
551.08
101-5008-419.71-01
Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-5008-419.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-5008-419.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-5008-419.72-04 Buildings / Sr Ctr Bldg Replacmt/Repa
ACCOUNT TOTAL
6.70
1,834.10
.00
551.08
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
7/2014,
10:19:00
GENERAL LEDGER ___._VITY LISTING
P.--184
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S•C R I
P
T I 0 N DEBITS
CREDITS
BALANCE
•101-5008-419.72-07
Buildings /
Civic Ctr
Replcmt/Repair
.00
•
ACCOUNT
TOTAL
.00
101-5008-419.72-10
Buildings /
Capital Expenditures
.00
ACCOUNT
TOTAL
.00
101-5008-419.91-11
Reimbursed
to Gen Fund
/ Personnel
.00
GM
00194
01/11
AJ
07/30/10 JE
01-029
MONTHLY
GF
REIMB
5,467.00
GM
00572
02/11
AJ
08/31/10 JE
02-034
MONTHLY
GF
REIMB
5,467.00
GM
00716
03/11
AJ
09/30/10 JE
03-035'
MONTHLY
GF
REIMB•
5,467.00
GM
00929
04/11
AJ
10/31/10 JE
04-027
MONTHLY
GF
REIMB
5,467.00
GM
01187
05/11
AJ
11/30/10 JE
05-030
MONTHLY
GF
REIMB
5,467.00
GM
01239
06/11
AJ
12/31/10 JE
06-002
MONTHLY
GF
REIMB
5,467.00
GM
0}638
07/11
AJ
01/31/11 JE
07-031
MONTHLY
GF
REIMB
5,467.00
GM
01717
08/11
AJ
02/28/11 JE
08-009
MONTHLY
GF
REIMB
5,467.00
GM
01986
09/11
AJ
03/31/11 JE
09-019
MONTHLY
GF
REIMB
5,467.00
GM
02521
10/11
AJ
04/30/11 JE
10-044
MONTHLY
GF
REIMB
5,467.00
GM
02587
11/11
AJ
05/31/11 AJE 11-010•
REIM GEN
FUND FOR MUS&LIB
40,000.00
GM
02743.
11/11
AJ
05/31/11 JE
11-044
MONTHLY
GF
REIMB
5,467.00
GM
02746
12/11
AJ
06/30/11 JE
12-002
MONTHLY
GF
REIMB
5,467.00
ACCOUNT TOTAL
105,604.00
105,604.000R
101-5008-419.91-12
Reimbursed
to Gen Fund
/ Services/Supply
.00
GM
00194
01/11
AJ
07/30/10 JE
01-029
MONTHLY
GF.REIMB
47,322.00
GM
00572
02/11
AJ
08/31/10 JE
02-034
MONTHLY
GF
REIMB
47,322.00
GM
00716
03/11
AJ
09/30/10 JE'
03-035
MONTHLY
GF
REIMB
47,322.00
GM
OD929
04/11
AJ
10/31/10 JE
04-027
MONTHLY
GF
REIMB
47,322.00
GM
01187
05/11
AJ
11/30/10 JE
05-030
MONTHLY
GF
REIMB
47,322.00
GM
01239
06/11
AJ
12/31/10 JE
06-002
MONTHLY
GF
REIMB
47,322.00
GM
01638
07/11
AJ
01/31/11 JE
07-031
MONTHLY
GF
REIMB
47,322.00
GM
01717
08/11
AJ
02/28/11 JE
08-009
MONTHLY
GF
REIMB
47,322.00
GM
01986
09/11
AJ
03/31/11 JE
09-019
MONTHLY
GF
REIMB
47,322.00
GM
0.2521
10/11
AJ
04/30/11 JE
10-044
MONTHLY
GF
REIMB
47,322.00
GM
02743
11/11
AJ
05/31/11 JE
11-044
MONTHLY
GF
REIMB
47,322.00
GM
02746
12/11
AJ
06/30/11 JE
12-002
MONTHLY
GF
REIMB
47,322.00
ACCOUNT TOTAL
567,864:00
567,864.00CR
101-5008-419.92-11
Other Charges
/ Fleet
Maint Progr
Charges
.00
•
ACCOUNT TOTAL
.00
PREPARED
7/2014, 10:19:00
GENERAL LEDGER VITY
LISTING
P..___185
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS
CREDITS BALANCE
101-5054-421.36-01
Contract Services /
Sheriff - Patrol
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
550,475.00
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
503,431.18
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
507,334.22
SH0000015298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
500,333.14
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
501,235.72
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
505,077.77
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
519,214.09
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
494,405.40
SH0000016401
JAN -POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
504,772.85
-
SH0000016521
FEB -POLICE SVC
GM
O,2871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
483,879.38
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
141,334.26
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
515,057.57
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
499,662.14
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN111 POLICE EXP
537,293.21
ACCOUNT TOTAL
6,763,505.93
6,763,505.93
101-5054-421.36-03
Contract Services /
Patrol Deputy Overtime
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
29,850.44
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
23,784.41
SH0000015132
POLICE SVC 7/29-8/25
GM
00626
03/11
AJ
09/30/10 AJE 03-013
POLICE GRANTS 7/1-7/28/10
16,729.46
GM
00626
03/11
AJ
09/30/10 AJE 03-013
POLICE GRANTS 7/1-7/28/10
979.02
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
43,680.86
SH0000015298
POLICE 8/26-9/22
GM
00826
04/11
AJ
10/31/10 AJE 04-008
POLICE GRANT 7/29-8/25/10
11,868.04
GM
01169
05/11
AJ
11/29/10 JE 05-017
CORR POLICE GRANTS
1,054.71
GM
01169
05/11
AJ
11/29/10 JE 05-017
CORR POLICE GRANTS
619.59
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
42,294.99
SH0000015519
OCT -POLICE SVC
GM
01067
05/11
AJ
11/30/10 AJE 05-010
POLICE GRANTS 8/26-9/22
19,767.27
GM
01067
05/11
AJ
11/30/10 AJE 05-010
POLICE GRANTS 8/26-9/22
3,218.51
GM
01067
05/11
AJ
11/30/10 AJE 05-010
SOBRIETY CHECK 8/26-9/22
4,173.76
GM
01067
05/11
AJ
11/30/10 AJE 05-010
SOBRIETY CHECK 8/26-9/22
1,933.87
GM
01421
06/11
AJ
12/31/10 AJE 06-039
POLICE GRANTS 8/26-9/22
11519.90
GM
04704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
35,659.29
PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER _._.-VITY LISTING P..___186
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------
FUND 101 General Fund BEGINNING -
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------------------------------------------------------------------------------------- -------------------------------------------
101-5054-421.36-03
GM
01719
07/11
AJ
GM
02154
10/11
AP
GM
01794
08/11
AJ
GM
01721
08/11
AJ
GM
01788
08/11
AJ
GM
01789
08/11
AJ
GM
01789
08/11
AJ
GM
02154
10/11
AP
GM
02561
11/11
AP
GM
02628
11/11
AP
GM
02561
11/11
AP
GM
02547
11/11
AJ
GM
02547
11/11
AJ
GM
02600,
11/11
AJ
GM
0Z871
12/11
AP
GM
02998
12/11
AP
GM
02905
12/11
AJ
GM
02905
12/11
AJ
GM
02908
12/11
AJ
GM
02908
12/11
AJ
GM
02909
12/11
AJ
GM
02909
12/11
AJ
GM
02909
12/11
AJ
GM
03066
12/11
AJ
GM
03067
12/11
AJ
GM
03067
12/11
AJ
GM
03067
12/11
AJ
GM
03067
12/11
AJ
GM
03068
12/11
AJ
GM
03068
12/11
AJ
GM
03068
12/11
AJ
GM
03068
12/11
'AJ
GM
03068
12/11
AJ
GM
03068
12/11
AJ
GM
03106
13/11
AJ
GM
03106
13/11
AJ
GM
03106
13/11
AJ
GM
03106
13/11
AJ
Contract Services / Patrol Deputy Overtime
SH0000015782
POLICE 10/21-11/17
01/31/11
AJE
07-042
POLICE GRANTS 9/23-10/20
20,316.90
02/15/11
0091489
RIVERSIDE COUNTY SHERIFF
46,981.30
SH0000016028
POLICE SVC 11/18-12/15
02/17/11
AJE
08-019
SOBRIETY CHECKPOINT
435.12
02/28/11
AJE
08-008
POLICE GRANTS 10/21-11/17
13,723.64
02/28/11
AJE
08-017
POLICE GRANT 11/18-12/15
29,241.06
02/28/11
AJE
08-018
POLICE GRANT 12/16-1/12
25,786.53
02/28/11
AJE
08-018
POLICE GRANT 12/16-1/12
4,573.01
03/02/11
0091489
RIVERSIDE COUNTY SHERIFF
54,954.72
SH0000016131
POLICE SVC 12/16-1/12
04/11/11
0092048
RIVERSIDE COUNTY SHERIFF
90,542.62
SH0000016401
JAN -POLICE SVC
04/11/11
0092048
RIVERSIDE COUNTY SHERIFF
255.10
SH0000016400
DUI CHECKPOINT
04/26/11
0092048
RIVERSIDE COUNTY SHERIFF
39,367.19
SH0000016521
FEB -POLICE SVC
05/31/11
AJE•11-008
POLICE GRANTS 1/13-2/9/11
73,264.43
05/31/11
AJE
11-008
POLICE GRANTS 1/13-2/9/11
3,042.95
05/31/11
AJE
11-012
POLICE GRANT 1/13-29/11
22,998.02
06/01/11
0092404
RIVERSIDE COUNTY SHERIFF
26,858.13
SH0000016771
MAR -POLICE SVC
06/21/11
0092564
RIVERSIDE COUNTY SHERIFF
26,308.43
SH0000016950
FY10/11 RATE ADJ
06/30/11
AJE
12-012
POLICE GRANTS 3/10-4/6
14,600.66
06/30/11
AJE
12-012
POLICE GRANTS 3/10-4/6
761.46
06/30/11
AJE
12-014
REV POLICE GRANT 3/10-4/6
14,600.66
06/30/11
AJE
12-014
REV POLICE GRANT 3/10-4/6
761.46
06/30/11
AJE
12-015
POLICE GRANTS 3/10-4/6/11
5,417.69
06/30/11
AJE
12-015
POLICE GRANTS 3/10-4/6/11
7,174.83
06/30/11
AJE
12-015
POLICE GRANTS 3/10-4/6/11
941.50
06/30/11
AJE
12-091
ACCRUE 4/7-5/4/11 INVOICE
54,440.09
06/30/11
AJE
12-092
POLICE GRANTS 4/.6-5/4/11
8,784.88
06/30/11
AJE
12-092
POLICE GRANTS 4/6-5/4/11
25,334.98
06/30/11
AJE
12-092
POLICE GRANTS 4/6-5/4/11
174.57
06/30/11
AJE
12-092
POLICE GRANTS 4/6-5/4/11
4,400.81
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
4,379.92
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
10,552.96
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
233.50
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
410.17
E
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
420.70
E
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
134.90
E
06/30/11
AJE
13-022
REVERSE SPEC ENFORCEMENT
8,784.88
06/30/11
AJE
•13-022
SPEC ENFORCEMENT APRIL
8,481.60
06/30/11'AJE
13-022
REVERSE SOBRIETY APRIL
4,400.81
06/30/11
AJE
13-022
SOBRIETY CHECKPOINT APRIL
5,169.61
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER .._.-VITY
LISTING
P____187
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-5054-421.36-03
Contract Services /
Patrol Deputy Overtime
GM
03106
13/11
AJ
06/30/11 AJE 13-022
ROBBER PREVENTION 5/5-6/1
13,702.66
GM
03106
13/11
AJ
06/30/11 AJE 13-022
BURGLARY PREVENT 5/5-6/1
8,253.73
GM
03.106
13/11
AJ
06/30/11 AJE 13-022
SPEC ENFORCEMENT 5/5-6/1
2,734.93
GM
03106
13/11
AJ
06/30/11 AJE 13-022
SOBRIETY CHECKPOINT MAY
6,228.92
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP•
39,579.52
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
29,703.37
ACCOUNT TOTAL
613,862.98
382,486.06
231,376.92
101-5054-421.36-04
Contract Services Y
Target Team
.00
GM
00258
01/11
AP
08/06/10 0087899
RIVERSIDE COUNTY SHERIFF
198.00
2200-30617
TRAINING-LAPD
GM
00258
01/11
AP
08/06/10 0087899
RIVERSIDE COUNTY SHERIFF
2,050.00
2200-31465
TRAINING-LAPD
GM
00286
02/11
AP
08/10/10 0088683
RIVERSIDE COUNTY SHERIFF
350.00
I WHITE
INT'L GANG CONF
GM
00489
03/11
AP
09/03/10 0088683
RIVERSIDE COUNTY SHERIFF
350.00
I WHITE
INT'L GANG CONF
GM
00514
03/11
AP
09/07/10 0088832
ILGIA INTERNATIONAL CONFE
350.00
I WHITE
INT'L GANG CONF
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
92,941.14
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
128,556.38
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11•
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
118,310.90
SH0000015298
POLICE 8/26-9/22
GM
01514,
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
132,825.33
SH0000015519
OCT-POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
123,677.58
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
116,359.38
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
119,896.51
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
126,482.89
SH0000016401
JAN-POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
129,288.20
SH0000016521
FEB-POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
•RIVERSIDE COUNTY SHERIFF
114,895.74
SH0000016771
MAR-POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
33,541.00
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
134,271.27
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
129,131.10
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
128,751.98
ACCOUNT TOTAL
1,629,629.40
2,598.00
1,627,031.40
PREPARED _ ._7/2014, 10:19:00 GENERAL LEDGER ..._.-VITY 'LISTING P___.188
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------=--------------------------------------------------
101-5054-421.36-07
Contract Services /
Commun Svcs Officer
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
05/31/11
0020593
REIMBURSE -HOPE CLASSIC SE
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
SH00000IS298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
SH0000016401
JAN -POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
SH0000016521
FEB -POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
SH0000016950
FY10/1.1 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
GM
0,3112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
ACCOUNT TOTAL
101-5054-421.36-10
Contract
Services /
Spec Enforc/Humana
GM 02547 11/11 AJ
05/31/11
AJE 11-008
POLICE GRANTS 1/13-2/9/11
CR 02685 11/11 CR
05/31/11
0020593
REIMBURSE -HOPE CLASSIC SE
SH0000014942
JUL-POLICE SVC
LWEST 05/31/11 01
GM 03068 12/11 AJ
06/30/11
AJE 12-093
REVISED POLICE GRANT RATE
ACCOUNT TOTAL
101-5054-421.36-13
Contract Services
/ Gang Task Force
GM
O,0622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
SH0000015298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
SH0000015782
POLICE 10/21-11/17
32,251.86
29,148.30
26,065.71
31,014.63
24,199.38
23,968.71
20,592.54
25,205.94
23,821.92
27,932.04
29,088.36
28,293.93
27,043.95,
348,627.27
73,264.43'
4,379.92
77,644.35
8,571.00
8,571.00
9,142.40
8,571.00
9,142.40
7,559.40
7,559.40
3,264.43
3,264.43
.00
341,067.87
.00
74,379.92
.00
PREPARED
__7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P---.189
PROGRAM
GM362LA
CITY OF
- ------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
----=--------------------------------------------------------------------'-----------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-13
Contract Services /
Gang Task Force
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
81113.88
SH0000016401
JAN -POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016521
FEB -POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
5,556.16
SH0000016950
FY10/11 RATE ADJ
GM
0$066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
9,715.20
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
9,715.20
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
9,919.75
ACCOUNT TOTAL
123,587.59
123,587.59
101-5054-421.36-15
Contract Services /
Narcotics Task Force
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
9,142.40
-
SH0000014942
JUL-POLICE SVC
•GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000015298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
7,999.60
SH0000015519
OCT -POLICE SVC .
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
4,571.20
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016401
JAN -POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016521
FEB -POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
9,142.40
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
5,370.00
•
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
9,715.20
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
9,715.20
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
91859.03
.ACCOUNT TOTAL
120,369.43
120,369.43
PREPARED
7/2014,
10:19:00
GENERAL LEDGER _._._VITY
LISTING
P..___190
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101=5054-421.36-16
Contract
Services /
School Officer
.00
GM
02156
10/11
AP
03/21/11
0091402
DESERT SANDS UNIFIED SCHO
41,130.36
2011/391
8/26-10/20 OFFICERS
GM
02156
10/11
AP
03/21/11
0091402
DESERT SANDS UNIFIED SCHO
19,387.88
2011/392
10/21-11/17 OFFICERS
GM
02302
10/11
AP
04/07/11
0091619
DESERT SANDS UNIFIED SCHO
27,874.04
2011/506
RESOURCE OFFICERS
GM
02871
12/11
AP
06/17/11
0092368
DESERT SANDS UNIFIED SCHO
21,292.00
2011/777
SCHOOL OFFICERS
GM
03024
12/11
AP
06/30/11
0092705
DESERT SANDS UNIFIED SCHO
18,069.91
2011/879
FEB -SCHOOL OFFICERS
GM
03031
12/11
AP
06/30/11
0092843
DESERT SANDS UNIFIED SCHO
-47,591.48
2011/1008
MAR -APR SCHOOL OFFICERS
ACCOUNT TOTAL
175,345.67
175,345.67
101-5054-421.36-19
Contract
Services /
Motor Officer
.00
GM
00274
02/11
AP
07/20/10
0088470
DESERT UNIFORMS
332.64
467695
SET UNIFORM
GM
00274
02/11
AP
08/03/10
0088511
SUREFIRE, LLC
265.84
1469196
OPERATING SUPPLIES
GM
00514
03/11
AP
08/06/10
0088875
PVP COMMUNICATIONS INC
761.17
13818
SP TEAM UNIFORM
GM
00367
03/11
AP
08/13/10
0088820
DESERT UNIFORMS
86.93
467703
UNIFORM
GM
00514
03/11
AP
08/24/10
0088792
BPS TACTICAL INC
277.31
10300545
SP TEAM UNIFORM
GM
00555
03/11
AP
08/30/10
0088876
QUARTERMASTER
1,022.63
P659248401017
SP TEAM UNIFORMS
GM
00622
03/11
AP
09/09/10
0089081
RIVERSIDE CNTY SHERIFFS D
55,848.65
SH0000014942
JUL-POLICE SVC
GM
00860
04/11
AP
09/16/10
0089412
GALLS, AN ARAMARK COMPANY
81.39
510830068
SET UNIFORMS
GM
00784
04/11
AP
09/17/10
0089259
RIVERSIDE COUNTY SHERIFF
58,458.40
SH0000015132
POLICE SVC 7/29-8/25
GM
00860
04/11
AP
10/04/10
0089429
KUSTOM SIGNALS INC
576.23
427180
SP EQUIPMENT
GM
00846
04/11
AP
10/05/10
0089464
SEGWAY OF PACIFIC BEACH
1,863.78
791
SP EQUIPMENT
GM
00860
04/11
AP
10/05/10
0089429
KUSTOM SIGNALS INC
324.21
427243
SP EQUIPMENT
GM
00860
04/11
AP
10/05/10
0089429
KUSTOM SIGNALS INC
324.21
427244
SP EQUIPMENT
GM
00846
04/11
AP
10/07/10
0089381
BPS TACTICAL INC
337.13
10400664
SET TEAM
GM
00846
04/11
AP
10/07/10
0089381
BPS TACTICAL INC
108.75
10400670
SET TEAM
GM
01062
05/11
AP
10/25/10
0089641
RIVERSIDE COUNTY SHERIFF
64,199.85
SH0000015298
POLICE 8/26-9/22
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER .._._VITY
LISTING
P____191
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER •
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-19
Contract Services /
Motor Officer
GM
02628
11/11
AP
11/05/10 0092038
PEPPERBALL TECHNOLOGIES I
402.95
28290 -IN
OPERATING SUPPLIES
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
63,730.10
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
66,339.85
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
60,650.59
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
62,769.71
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
63,886.68
SH0000016401
JAN -POLICE SVC
GM
02351
10/11
AP
04/26/11 0091604
BPS TACTICAL INC
364.31
11020308
B VEST-DOMINGUEZ
GM
02351
10/11
AP
04/26/11 0091604
BPS TACTICAL INC
315.38
11020309
B VEST-DAVIS
GM.02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
65,400.34
SH0000016521
FEB -POLICE SVC
GM
02987
12/11
AP
05/31/11 0092521
DEPARTMENT ISSUE INC
712.50
25836
OPERATING SUPPLIES
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
66,809.60
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
17,448.72
SH0000016950
FY10/11 RATE ADJ
GM
02997
12/11
AP
06/23/11 0092506
BPS TACTICAL INC
299.06
11020501
OPERATING SUPPLIES
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
59,653.24
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
65,446.90
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
60,391.84
ACCOUNT TOTAL
839,490.89
839,490.89
101-5054-421.36-20
Contract Services /
Motor Offcr/Grant Funded
.00 .
ACCOUNT TOTAL
.00
101-5054-421.36-22
Contract Services /
Dedicated Sgt.
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
25,220.52
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/1.7/10 0089259
RIVERSIDE COUNTY SHERIFF
24,726.00
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
26,374.40
SH0000015298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
26,374.40
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
26,374.40
SH0000015782
POLICE 10/21-11/17
PREPARED
07/2014,
10:19:00
GENERAL LEDGER _.___VITY
LISTING
P..___192
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-22
Contract Services /
Dedicated Sgt.
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
25,550.20
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
25,550.20
'
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY. SHERIFF
26,374.40
SH0000016401
JAN -POLICE SVC
GM
02561
11/11
AP•04/26/11
0092048
RIVERSIDE COUNTY SHERIFF
26,374.40
SH0000016521
FEB -POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
26,374.40
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
12,867.14
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
27,683.20
GM'03112
13/11
AJ
06/30/11 JE 13-026•
ACCRUE MAY'll POLICE EXP
27,683.20
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
28,400.16
ACCOUNT TOTAL
355,927.02
355,927.02
101-5054-421.36-23
Contract Services /
Dedicated Lieutenant
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
15,036.80
SH0000014942
JUL-POLICE SVC
GM
00784
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000015298
POLICE 8/26-9/22
GM•01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
15,036.80
SH0000015519
OCT -POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000016028
POLICE SVC 11/18-12/15
GM
02154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000016401
JAN -POLICE SVC
GM
02561
11/1'1
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000016521
FEB -POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
15,036.80
SH0000016771
MAR -POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
7,232.00
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
15,760.00
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
15,760.00
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
16,281.63
ACCOUNT TOTAL
205,401.63
205,401.63
PREPARED
.,.7/2014,
10:19:00
GENERAL LEDGER Mt,.VITY
LISTING
PNvca193
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------
NUMBER
---------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S CR I P T I 0 N
DEBITS CREDITS
----------
BALANCE
-----------
101-5054-421.36-24
Contract Services /
SET Team
.00
GM
01420
07/11
AP
12/25/10 0090263
LOWE'S HOME IMPROVEMENT W
7.59
960499
BLUE LIGHT
ACCOUNT TOTAL
7.59
7.59
101-5054-421.36-25
Contract Services /
Sheriff - Mileage
.00
GM
00622
03/11
AP
09/09/10 0089081
RIVERSIDE CNTY SHERIFFS D
36,495.36
SH0000014942
JUL-POLICE SVC
GM
00784.
04/11
AP
09/17/10 0089259
RIVERSIDE COUNTY SHERIFF
35,551.40
SH0000015132
POLICE SVC 7/29-8/25
GM
01062
05/11
AP
10/25/10 0089641
RIVERSIDE COUNTY SHERIFF
36,503.79
SH0000015298
POLICE 8/26-9/22
GM
01514
07/11
AP
11/29/10 0090337
RIVERSIDE CNTY SHERIFFS D
35,741.77
SH0000015519
OCT-POLICE SVC
GM
01704
08/11
AP
01/06/11 0090707
RIVERSIDE COUNTY SHERIFF
32,063.62
SH0000015782
POLICE 10/21-11/17
GM
02154
10/11
AP
02/15/11 0091489
RIVERSIDE COUNTY SHERIFF
29,927.28
SH0000016028
POLICE SVC 11/18-12/15
GM
O.2154
10/11
AP
03/02/11 0091489
RIVERSIDE COUNTY SHERIFF
28,970.55
SH0000016131
POLICE SVC 12/16-1/12
GM
02561
11/11
AP
04/11/11 0092048
RIVERSIDE COUNTY SHERIFF
33,494.79
SH0000016401
JAN-POLICE SVC
GM
02561
11/11
AP
04/26/11 0092048
RIVERSIDE COUNTY SHERIFF
32,830.37
SH0000016521
FEB-POLICE SVC
GM
02871
12/11
AP
06/01/11 0092404
RIVERSIDE COUNTY SHERIFF
31,196.67
SH0000016771
MAR-POLICE SVC
GM
02998
12/11
AP
06/21/11 0092564
RIVERSIDE COUNTY SHERIFF
12,146.73
SH0000016950
FY10/11 RATE ADJ
GM
03066
12/11
AJ
06/30/11 AJE 12-091
ACCRUE 4/7-5/4/11 INVOICE
33,861.23
GM
03031
12/11
AP
06/30/11 0092860
RIVERSIDE COUNTY SHERIFF'
3,148.85
SH0000017316
JUN-MILEAGE/FUEL
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE MAY'll POLICE EXP
29,336.12
GM
03112
13/11
AJ
06/30/11 JE 13-026
ACCRUE JUN'll POLICE EXP
31,196.59
ACCOUNT TOTAL
430,318.39 12,146.73
418,171.66
101-5054-421.36-28
Contract Services /
Booking Fees
.00
GM
00514
03/11
AP
08/21/10 0088879
RIVERSIDE COUNTY SHERIFF
2,195.04
SH0000014970
BOOKING FEE
GM
01366
06/11
AP
11/19/10 0090220
RIVERSIDE COUNTY SHERIFF
285.81
SH0000015467
AUG-OCT BOOKING FEE
GM
01704.
08/11
AP
12/30/10 0090707
RIVERSIDE COUNTY SHERIFF
1,645.50
SH0000015694
NOV-BOOKING FEES
GM
01704
08/11
AP
01/22/11 0090707
RIVERSIDE COUNTY SHERIFF
2,566.98
SH0000015902
DEC-BOOKING FEES
GM
02136
10/11
AP
02/18/11 0091489
RIVERSIDE COUNTY SHERIFF
1,941.69
SH0000016074
BOOKING FEE
PREPARED
.,.7/2014, 10:19:00
GENERAL LEDGER _— VITY
LISTING
P--- .194
PROGRAM
GM362LA
CITY'OF LA
QUINTA,
CALIFORNIA
=
-------------------------------------------
FUND 101
General
Fund
----------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-28
Contract
Services /
Booking Fees
GM
02350
10/11
AP
03/18/11
0091686
RIVERSIDE COUNTY SHERIFF
2,007.51
SH0000016237
BOOKING FEES
GM_02507
11/11•
AP
04/16/11
0091858
RIVERSIDE COUNTY SHERIFF
2,435.34
SH0000016445
MAR-BOOKING FEES
GM
02865
12/11
AP
05/21/11
0092404
RIVERSIDE COUNTY SHERIFF
2,336.61
SH0000016674
APR-BOOKING FEE
GM
03031
12/11
AP
06/30/11
0092859
RIVERSIDE COUNTY SHERIFF
2,204.97
SH0000017062
MAY-BOOKING FEES
ACCOUNT TOTAL
17,619.45
17,619.45
101-5054-421.36-31
Contract
Services /
Blood/Alcohol Testing
.00
GM
00286
02/11
AP
07/15/10
0088607
AMERICAN FORENSIC NURSES
97.00
58705
BLOOD ALCOHOL
GM
00319
02/11
AP
07/15/10
0088607
AMERICAN FORENSIC NURSES
123.24
58683
BLOOD ALCOHOL
GM
00514
03/11
AP
07/31/10
0088784
AMERICAN FORENSIC NURSES
164.32
58746
BLOOD ALCOHOL
GM
00353
02/11
AP
08/07/10
0088612
BIO-TOX LABORATORIES
334.60
22110
BLOOD ALCOHOL
GM
00353
02/11
AP
08/07/10
0088612
BIO-TOX LABORATORIES
507.52
22109
BLOOD ALCOHOL
GM
00622
03/11
AP
08/15/10
0088979
AMERICAN FORENSIC NURSES
82.16
58844
BLOOD ALCOHOL
GM
00555
03/11
AP
08/31/10
0088813
DEPARTMENT OF JUSTICE
455.00
806818
BLOOD ALCOHOL
GM
00624
03/11
AP
08/31/10
0088979
AMERICAN FORENSIC NURSES
41.08
58882
BLOOD ALCOHOL
GM
00712
04/11
AP
08/31/10
0089156
AMERICAN FORENSIC NURSES
82.16
58900
BLOOD ALCOHOL
GM
00712
04/11
AP
09/07/10
0089164
BIO-TOX LABORATORIES
83.53
22253
BLOOD ALCOHOL
GM
00712
04/11
AP
09/07/10
0089164
BIO-TOX LABORATORIES
596.80
22254
BLOOD ALCOHOL
GM
01048
05/11
AP
09/15/10
0089544
AMERICAN FORENSIC NURSES
205.40
58964
BLOOD ALCOHOL
GM
00725
04/11
AP
09/27/10
0089184
DEPARTMENT OF JUSTICE
560.00
811819•
BLOOD ALCOHOL
GM
00725
04/11
AP
09/29/10
0089184
DEPARTMENT OF JUSTICE
35.00
811959
BLOOD ALCOHOL
GM
01001
05/11
AP
09/30/10
0089544
AMERICAN FORENSIC NURSES
41.08
58997
BLOOD ALCOHOL
GM
01511
07/11
AP
09/30/10
0090278
AMERICAN FORENSIC NURSES
123.24
59017
BLOOD ALCOHOL
GM
01048
05/11
AP
10/07/10
0089547
BIO-TOX LABORATORIES
359.80
22386
BLOOD ALCOHOL
GM
01062
05/11
AP
10/07/10
0089547
BIO-TOX LABORATORIES
278.46
22385
BLOOD ALCOHOL
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER--..VITY
LISTING
P---.195
PROGRAM
GM362LA
CITY OF'LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
-----TRANSACTION----
/ENDING
APP NUMBER PER.
--------------------------------------------------------------------------------------------------------------------------------=---
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-31
Contract
Services
/ Blood/Alcohol Testing
GM
01048
05/11
AP
10/15/10
0089544
AMERICAN FORENSIC NURSES
482.56
59073
BLOOD ALCOHOL
GM
01181
06/11
AP
10/31/10
0089929
AMERICAN FORENSIC NURSES
194.32
59141
BLOOD ALCOHOL
GM
01159
05/11
AP
11/04/10
0089765
DEPARTMENT OF JUSTICE
70.00
817062
BLOOD ALCOHOL
GM
01181
06/11
AP
11/08/10
0089936
BIO-TOX LABORATORIES
291.16
22522
BLOOD ALCOHOL
GM
01181
06/11
AP
11/08/10
0089936
BIO-TOX LABORATORIES
367.20
22523
BLOOD ALCOHOL
GM
01161
05/11
AP
11/10/10
0089765
DEPARTMENT OF JUSTICE
140.00
821795
BLOOD ALCOHOL
GM
01511
07/11
AP
11/15/10
0090278
AMERICAN FORENSIC NURSES
164.32
59201
BLOOD ALCOHOL
GM
01362.
06/11
AP
11/30/10
0090168
AMERICAN FORENSIC NURSES
41.08
59247
BLOOD ALCOHOL
GM
01704
08/11
AP
11/30/10
0090622
AMERICAN FORENSIC NURSES
82.16
59264
BLOOD ALCOHOL
GM
01511
07/11
AP
12/07/10
0090283
BIO-TOX LABORATORIES
34.23
22647
BLOOD ALCOHOL
GM
01514
07/11
AP
12/07/10
0090283
BIO-TOX LABORATORIES
554.40
22648
BLOOD ALCOHOL
GM
01511
07/11
AP
12/15/10
0090278
AMERICAN FORENSIC NURSES
41.08
59301
BLOOD ALCOHOL
GM
01704.
08/11
AP
12/15/10
0090622
AMERICAN FORENSIC NURSES
194.32
59319
BLOOD ALCOHOL
GM
01704
08/11
AP
12/31/10
0090622
AMERICAN FORENSIC NURSES
451.88
59382
BLOOD ALCOHOL
GM
01704
08/11
AP
O1/11/11
0090629
BIO-TOX LABORATORIES
256.22
22780
BLOOD ALCOHOL
GM
01704
08/11
AP
01/11/11
0090629'
BIO-TOX LABORATORIES
1,226.60
22781
BLOOD ALCOHOL
GM
01564
07/11
AP
01/13/11
0090466
DEPARTMENT OF JUSTICE
700.00
830967
BLOOD ALCOHOL
GM
01704
08/11
AP
01/15/11
0090622
AMERICAN FORENSIC NURSES
328.64
59441
BLOOD ALCOHOL
GM
01632
08/11
AP
01/21/11
0090644
DEPARTMENT OF JUSTICE
35.00
831173
BLOOD ALCOHOL
GM
01878
09/11
AP
01/31/11
0090973
AMERICAN FORENSIC NURSES
287.56
59505
BLOOD ALCOHOL
GM
02136
10/11
AP
02/07/11
0091371
BIO-TOX LABORATORIES
11189.30
22922
BLOOD ALCOHOL
GM
02136.
10/11
AP
02/07/11
0091371
BIO-TOX LABORATORIES
136.92
22921
BLOOD ALCOHOL
GM
01903
09/11
AP
02/15/11
0090973
AMERICAN FORENSIC NURSES
41.08
59547
BLOOD ALCOHOL
GM
02136
10/11
AP
02/15/11
009136.5
AMERICAN FORENSIC NURSES
71.08
59564
BLOOD ALCOHOL
GM
02156
10/11
AP
02/28/11
0091398
DEPARTMENT OF JUSTICE
105.00
PREPARED
—.7/2014, 10:19:00.
GENERAL LEDGER ..— VITY
LISTING
P–.._-196
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------=-----------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------7---------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-31
Contract
Services
/ Blood/Alcohol Testing
836065
BLOOD ALCOHOL
GM
02346'
10/11
AP
02/28/11
0091595
AMERICAN FORENSIC NURSES
205.40
59634
BLOOD ALCOHOL
GM
02346
10/11
AP
03/07/11
0091601
BIO-TOX LABORATORIES
219.80
23082
BLOOD ALCOHOL
GM
02346
10/11
AP
03/07/11
0091601
BIO-TOX LABORATORIES
455.•59
23081
BLOOD ALCOHOL
GM
02156
10/11
AP
03/15/11
0091365
AMERICAN FORENSIC NURSES
82.16
59674
BLOOD ALCOHOL
GM
02346
10/11
AP
03/15/11
0091595
AMERICAN FORENSIC NURSES
328.64
59695
BLOOD ALCOHOL
GM
012136
10/11
AP
03/18/11
0091398
DEPARTMENT OF JUSTICE
105.00
840751.
BLOOD ALCOHOL
GM
02302
10/11
AP
03/31/11
0091595
AMERICAN FORENSIC NURSES
123.24
59743
BLOOD ALCOHOL
GM
02346
10/11
AP
03/31/11
0091595
AMERICAN FORENSIC NURSES
82.16
59763
BLOOD ALCOHOL
GM
02350
10/11
AP
04/05/11
0091616
DEPARTMENT OF JUSTICE
420.00
845115
BLOOD ALCOHOL
GM
02507
11/11
AP
04/07/11
0091793
BIO-TOX LABORATORIES
276.92
23221
BLOOD ALCOHOL
GM
02507
11/11
AP
04/07/11
0091793
BIO-TOX LABORATORIES
359.80
23222
BLOOD ALCOHOL
GM
02561
11/11
AP
04/15/11
0091962
AMERICAN FORENSIC NURSES
287.56
59829
BLOOD ALCOHOL
GM
OZ628
11/11
AP
04/30/11
0091962
AMERICAN FORENSIC NURSES
41.08
59877
BLOOD ALCOHOL
GM
02865
12/11
AP
04/30/11
0092347
AMERICAN FORENSIC NURSES
41.08
59890
BLOOD ALCOHOL
GM
02865
12/11
AP
05/07/11
0092352
BIO-TOX LABORATORIES
309.52
23372
BLOOD ALCOHOL
GM
02865
12/11
AP
05/07/11
0092352
BIO-TOX LABORATORIES
289.50
23373
BLOOD ALCOHOL
GM
02865
12/11
AP
05/15/11
0092347
AMERICAN FORENSIC NURSES
287.56
59963
BLOOD ALCOHOL
•GM
02787
12/11
AP
05/17/11
0092192
DEPARTMENT OF JUSTICE
210.00
850446
BLOOD ALCOHOL
GM
02863
12/11
AP
05/31/11
0092347
AMERICAN FORENSIC NURSES
41.08
60009
BLOOD ALCOHOL
GM
03031
12/11
AP
06/07/11
0092840
BIO-TOX LABORATORIES
140.00
23508
BLOOD ALCOHOL
GM
03031
12/11
AP
06/07/1.1
0092840
BIO-TOX LABORATORIES
367.20
23509
BLOOD ALCOHOL
GM
02997
12/11
AP
06/15/11
0092499
AMERICAN FORENSIC NURSES
82.16
60087
BLOOD ALCOHOL
GM
03031
12/11.
AP
06/15/11
0092839
AMERICAN FORENSIC NURSES
164.32
60107
BLOOD ALCOHOL
GM
02997
12/11
AP
06/21/11
0092522
DEPARTMENT OF JUSTICE
140.00
855166
BLOOD ALCOHOL
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER—_.-VITY
LISTING
P...__-197
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----o-------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-31
Contract
Services /
Blood/Alcohol Testing
GM
03024
12/11
AP
06/30/11
0092702
DEPARTMENT OF JUSTICE
35.00
860029
BLOOD ALCOHOL
GM
03031
12/11
AP
06/30/11
0092839
AMERICAN FORENSIC NURSES
194.32
60175
BLOOD ALCOHOL
GM
03031
12/11
AP
06/30/11
0092839
AMERICAN FORENSIC NURSES
41.08
60153
BLOOD ALCOHOL
GM
02998
12/11
AP
07/01/11
0092518
CUSTOM HOME TECHNOLOGIES
2,500.61
51711LQPD
OPERATING SUPPLIES
GM
03031
12/11
AP
07/07/11
0092840
BIO-TOX LABORATORIES
151.99
23643
BLOOD ALCOHOL
GM
03031
12/11
AP
07/07/11
0092840
BIO-TOX LABORATORIES
788.70
23644
BLOOD ALCOHOL
ACCOUNT TOTAL
20,427.97
20,427.97
101-5054-421.36-34
Contract
Services /
Spec Enforcemnt Funds'
.00 '
GM
00017
01/11
AP
06/23/10
0087995
CAPITAL ONE COMMERCIAL
230.31
19217
SPECIAL ENF
GM
00023
01/11
AP
06/29/10
0088079
KLAMATH BAY
245.70
KB -1618
SP ENF
GM
00099
01/11
AP
07/01/10
0088317
LIN LINES INC
990.00
14723
SP ENFORCEMENT
GM
00105
01/11
AP
07/06/10
0088226
CAPITAL ONE COMMERCIAL
198.71
31728
SP ENFORCEMENT
GM
00085
01/11
AP
07/15/10
0088207
SMITH, REBECCA
214.10
REIMB
BOOTCAMP LUNCHES
GM
0p085
01/11
AP
07/15/10
0088196
HENDRY, TOM
27.90
REIMB
BOOTCAMP SUPPLIES
GM
00157
01/11
AP
07/15/10
0088317
LIN LINES INC
990.00
14724
SP ENFORCEMENT
GM
00105
01/11
AP
07/19/10
0088240
SMITH, REBECCA
490.00
REIMB
ADMISSION FEE
GM
00189
01/11
AP
07/19/10
0088373
CAPITAL ONE COMMERCIAL
308.78
74420
SP ENFORCEMENT
GM
00229
02/11
AP
07/29/10
0088433
SMITH, REBECCA
140.67
REIMB
BOOT CAMP FOOD
GM
01161
05/11
AP
08/10/10
0089811
LOS ANGELES COUNTY AUDITO
498.00
IIME0010
SP ENF FUNDS
GM
00391
02/11
AP
08/16/10
0088729
WAL MART COMMUNITY
73.87
JV01GTMGF5
SP ENF FUNDS
GM
00391
02/11
AP
08/16/10
0088729
WAL MART COMMUNITY
78.34
•
K301NN6P7H
SP ENF FUNDS
GM
00391
02/11
AP
08/16/10
0088729
WAL MART COMMUNITY
64.43
K501PQBK6W
SP ENF FUNDS
GM
00626
03/11
AJ
09/30/10
AJE 03-013
POLICE GRANTS 7/1-7/28/10
16,729.46
GM
02077
09/11
AP
10/15/10
0091200
IMAGE MARKETING CONCEPTS
70.00
38051
DOMAIN RENEWAL
GM
00931
04/11
AP
10/27/10
0089492
EMBASSY SUITES
1,243.62
PREPARED'_.,_7/2014,
10:19:00
GENERAL LEDGER __..VITY
LISTING
P____198
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-34
Contract
Services /
Spec Enforcemnt Funds
11/4/10
LQ POLICE/FIRE BQT
GM
00826
04/11
AJ
10/31/10
AJE 04-008
POLICE GRANT 7/29-8/25/10
11,868.04
GM
01804
08/11
AP
10/31/10
0090867
LAW ENFORCEMENT MEDICAL S
650.00
7593
SART
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
40.18
960574
SP ENF BLUE LIGHT
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
90.83
3014688
SP ENF BLUE LIGHT
GM
01067
05/11
AJ
11/30/10
AJE 05-010
POLICE GRANTS 8/26-9/22
19,767.27
GM
01340
06/11
AJ
12/15/10
JE 06-013
REVR 09/10 PREPAID ITEMS
295.39
GM
01340
06/11
AJ
12/15/10
JE 06-013•
REVR 09/10 PREPAID ITEMS
82.29
GM
01368
06/11
AP
12/16/10.0090149
MALDONADO, DENESE
584.05
REIMB
BLUELIGHT SUPPLIES
GM
01787
08/11
AP
12/19/10
0090873
MILLER'S TRAUMA SCENE RES
825.00
M121910MR
SCENE RESTORATION
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
3.52
960653
BLUE LIGHT
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
20.63
907049
BLUE LIGHT
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
37.80
194611
RETURN CREDIT
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
16.26
24385
BLUE LIGHT PD
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
13.56
24525
BLUE LIGHT PD
GM
01421
06/11
AJ
12/31/10
AJE 06-039
POLICE GRANTS 8/26-9/22
1,519.90
GM
01719
07/11
AJ
01/31/11
AJE 07-042
POLICE GRANTS 9/23-10/20
20,316.90
GM
02077
09/11
AP
02/01/11
0091200
IMAGE MARKETING CONCEPTS
1,140.00
38522
ANNUAL MAINT
GM
02003
09/11
AP
02/14/11
0091091
TRAILERS PLUS FONTANA
3,496.11
42816
LAPD TRAILER
GM
02003
09/11
AP
02/14/11
0091091
TRAILERS PLUS FONTANA
919.14
42816
LQPD TRAILER
GM
01721
08/11
AJ
02/28/11
AJE 08-008
POLICE GRANTS 10/21-11/17
13,723.64
GM
01788
08/11
AJ
02/28/11
AJE 08-017
POLICE GRANT 11/18-12/15
29,241.06
GM
01789
08/11
AJ
02/28/11
AJE 08-018
POLICE GRANT 12/16-1/12
25,786.53
GM
02351
10/11
AP
03/09/11
0091682
PRORIDER INC
563.60
50766F
BICYCLE RODEO
GM
02588
11/11
AP
03/09/11
0091926
AMERISOURCE FUNDING INC
563.60
50766F
BICYCLE RODEO
GM
02306
10/11
AP
03/25/11
0091576
OLSON, DONALD
24.47
REIMB
TRAILER -WIRING HARNESS
GM
02177
10/11
AP
03/26/11
0091324
TACO GONZALEZ
105.00
MEALS
BIKE RODEO
GM
02225
10/11
AP
03/28/11
0091347
HOME DEPOT CREDIT SERVICE
99.80
4113424
TRAILER HITCH
GM
02538
11/11
AP
04/22/11
0091907
MALDONADO, DENESE
75.00
REIMB
DUI CHEKPOINT FOOD
GM
02476
10/11
AJ
04/30/11
AJE 10-035
CORR TRAILERS PLUS INVOIC
3,496.11
PREPARED
.7/2014,
10:19:00
GENERAL LEDGER VITY
LISTING
PMOML199
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------------------------------------'---------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS
CREDITS BALANCE
101-5054-421.36-34
Contract
Services /
Spec Enforcemnt Funds
GM
02997
12/11
AP
05/10/11
0092541
LIN LINES INC
1,069.20
17453
TRANS-SAN DIEGO
GM
02555
11/11
AP
05/12/11
0091682
PRORIDER INC
563.60
50766F
BICYCLE RODEO
GM
02784
12/11
AP
05/18/11
0092177
CALIBER
3,756.23
26026
BOOT CAMP
GM
02784
12/11
AP
05/20/11
0092253
PJ'S DESERT TROPHIES & GI
11696.50
10818
BOOT CAMP
GM
02865
12/11
AP
05/20/11
0092401
RAMA WORLD INC
135.00
.19240
GUIDON FLAGS
GM
02865
12/11
AP
05/2.4/11
0092354
CALIBER
544.84
26153
EMB CAPS
GM
02547
11/11
AJ
05/31/11
AJE 11-008
POLICE GRANTS 1/13-2/9/11
3,042.95
GM
02600
11/11
AJ
05/31/11
AJE 11-012
POLICE GRANT 1/13-29/11
22,998.02
GM
02787
12/11
AP
06/07/11
0092275
SILVERROCK RESORT
49.00
97829622
MAY SALES TAX
GM
02808
12/11
AP
06/15/11
0092329
MALDONADO, DENESE
66.77
06152011
REIMBURSEMENT
GM
02998
12/11
AP
06/15/11
0092549
NATIONAL NEIGHBORHOOD WAT
1,109.02
1006338
DECAL
GM
02948
12/11
AP
06/22/11
0092483
CAPITAL ONE COMMERCIAL
1,202.93
53690
YOUTH ACADEMY
GM
02905
12/11
AJ
06/30/11
AJE 12-012
POLICE GRANTS 3/10-4/6
14,600.66
GM
02908
12/11
AJ
06/30/11
AJE 12-014
REV POLICE GRANT 3/10-4/6
14,600.66
GM
02909
12/11
AJ
06/30/11
AJE 12-015
POLICE GRANTS 3/10-4/6/11
5,417.69
GM
03067
12/11
AJ
06/30/11
AJE 12-092
POLICE GRANTS 4/6-5/4/11
8,784.88
GM
03068
12/11
AJ
06/30/11
AJE 12-093
REVISED POLICE GRANT RATE
10,552.96
GM
02948
12/11
AP
06/30/11
0092486.
SMITH, REBECCA
209.20
063011
BOOT CAMP MEALS
GM
03010
12/11
AP
06/30/11
0092621
SMITH, REBECCA
480.00
REIMB
BOOT CAMP OUTING
GM
03106
13/11
AJ
06/30/11
AJE 13-022
REVERSE SPEC ENFORCEMENT
8,784.88
GM
03106
13/11
AJ
06/30/11
AJE 13-022
SPEC ENFORCEMENT APRIL
8,481.60
GM
03106
13/11
AJ
06/30/11
AJE 13-022
SPEC ENFORCEMENT 5/5-6/1
2,734.93
GM
03031
12/11
AP
07/16/11
0092866
WAL MART COMMUNITY
324.75
HOIMSLRGV
SUPPLIES
ACCOUNT TOTAL
241,682.79
27,483.05 214,199.74
101-5054-421.36-40
Contract
Services /
Sheriff - Other
.00
GM
01713
08/11
AP
01/20/11
0090705
RIVERSIDE CAL-ID REMOTE
37,649.00
SH0000015873
COMPUTER SYSTEM
GM
02306
10/11
AP
04/19/11
0091588
VALLEY CRIME STOPPERS
2,000.00
DONATION
GOLF TOURNAMENT
GM
02784
12/11
AP
05/26/11
0092266
RIVERSIDE COUNTY SHERIFF
60,120.00
•
SH0000016730
COMPUTER SYSTEM
GM
02865
12/11
AP
05/26/11
0092404
RIVERSIDE COUNTY SHERIFF
167,469.66
SH0000016757
FACILITY FEE
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING P—.200
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101'General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-5054-421.36-40 Contract Services / Sheriff - Other
ACCOUNT TOTAL 267,238.66 267,238.66
101=5054-421.36-43 Contract Services / SLESF•CCOPS) Program
ACCOUNT TOTAL
101-5054-421.36-46 Contract Services / LLEBG Program Expend.
ACCOUNT TOTAL
101-5054-421.36-49 Contract Services / CLEEP•Program Expend
ACCOUNT TOTAL
101=5054-421.36-50
Contract
Services / OTS
Grant
GM
00626
03/11
AJ
09/30/10
AJE
03-013
POLICE GRANTS 7/1-7/28/10
GM
01169
05/11
AJ
11/29/10
JE
05-017
CORR POLICE GRANTS
GM
01169
05/11
AJ
11/29/10
JE
05-017
CORR POLICE GRANTS
GM
01067.
05/11
AJ
11/30/10
AJE
05-010
POLICE GRANTS 8/26-9/22
GM
01067
05/11
AJ
11/30/10
AJE
05-010
SOBRIETY CHECK 8/26-9/22
GM
01794
08/11
AJ
02/17/11
AJE
08-019
SOBRIETY CHECKPOINT
GM
01789
08/11
AJ
02/28/11
AJE
08-018
POLICE GRANT 12/16-1/12'
GM
02905
12/11
AJ
06/30/11
AJE
12-012
POLICE GRANTS 3/10-4/6
GM
02908
12/11
AJ
06/30/11
AJE
12-014
REV POLICE GRANT 3/10-4/6
GM
02909
12/11
AJ
06/30/11
AJE
12-015
POLICE GRANTS 3/10-4/6/11
GM
03067
12/11
AJ
06/30/11
AJE
12-092
POLICE GRANTS 4/6-5/4/11
GM
03068
12/11
AJ
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
GM
03068
12/11
AJ
06/30/11
AJE
12-093
REVISED POLICE GRANT RATE
E
GM
03106
13/11
AJ
06/30/11
AJE
13-022
REVERSE SOBRIETY APRIL
GM
03106
13/11
AJ
06/30/11
AJE
13-022
SOBRIETY CHECKPOINT APRIL
GM
03106
13/11
AJ
06/30/11
AJE
13-022
SOBRIETY CHECKPOINT MAY
ACCOUNT TOTAL
101-5054-421.36-51 Contract Services / Click It Grant
ACCOUNT TOTAL
101-5054-421.36-52 Contract Services / Volunteers
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
979.02
1,054.71
619.59
3,218.51
4,173.76
435.12
4,573.01
761.46
761.46
941.50
4,400.81
233.50
410.17
4,400.81
5,169.61
6,228.92
32,144.98
6,216.98 25,928.00
.00
.00
.00
.00
PREPARED .7/2014, 10:19:00
GENERAL LEDGER __.[VITY
LISTING
F„ ,201
PROGRAM GM362LA
CITY OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING -
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.36-55
Contract Services /
SafeHouse of the Desert
.00
ACCOUNT TOTAL
.00
101-5054-421.36-60
Contract Services /
JAG
.00
GM 01067 05/11 AJ
11/30/10 AJE 05-010
SOBRIETY CHECK 8/26-9/22
1,933.87
GM 03068 12/11 AJ
06/30/11 AJE 12-093
REVISED POLICE GRANT RATE
134.90
E
ACCOUNT TOTAL
2,068.77
2,068.77 '
101-5054-421.36-70
Contract Services /
COPS Traffic Program
.00
ACCOUNT TOTAL
.00
101-5054-421.36-71
Contract Services /
COPS Robbery Prevention
.00
GM 02909 12/11 AJ
06/30/11 AJE 12-015
POLICE GRANTS 3/10-4/6/11
7,174.83
GM 03067 12/11 AJ
06/30/11 AJE 12-092
POLICE GRANTS 4/6-5/4/11
25,334.98
GM 03068 12/11 AJ
06/30/11 AJE 12-093
REVISED POLICE GRANT RATE
420.70
E
GM 03106 13/11 AJ
06/30/11 AJE 13-022
ROBBER PREVENTION 5/5-6/1
13,702.66
ACCOUNT TOTAL
46,633.17
46,633.17
101-5054-421.36-72
Contract Services /
COPS Burglary/Theft Prev
.00
GM 03067 12/11 AJ
06/30/11 AJE 12-092
POLICE GRANTS 4/6-5/4/11
174.57
GM 03106 13/11 AJ
06/30/11 AJE 13-022
BURGLARY PREVENT 5/5-6/1
8,253.73
ACCOUNT TOTAL
82428.30
8,428.30
101-5054-421-.36-80
Contract Services /
Justice Assistance Grant
.00
GM 01366 06/11 AP
09/24/10 0090221
SEGWAY OF PACIFIC BEACH
7,928.64
372
PATROLLER
GM 00823 04/11 AP
09/27/10 0089170
CELLE BRITE USA CORP
4,065.00
84170
FORENSIC EXT DEVICE
GM 01262 06/11 AP
10/27/10 0090005
LIFELOC TECHNOLOGIES
2,185.21
123957 -IN
JAG 2010
GM 01262 06/11 AP
10/28/10 0090005
LIFELOC TECHNOLOGIES
914.04
124046 -IN
JAG 2010
GM 02476 10/11 AJ
04/30/11 AJE 10-035
CORR TRAILERS PLUS INVOIC
3,496.11
ACCOUNT TOTAL
18,589.00
18,589.00
101-5054-421.41-01
Utilities / Electricity
.00
PREPARED
.7/2014, 10:19:00
GENERAL LEDGER _.__jVITY
LISTING
P_-202
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.41-01
Utilities
/ Electricity
GM
00189
01/11
AP
07/21/10
0088374
IMPERIAL IRRIGATION
DIST
457.63
50174303
ELECTRIC SVC
GM
00299
02/11
AP
07/22/10
0088538
IMPERIAL IRRIGATION
DIST
949.25
50439675
ELECTRIC SVC
GM
00439
03/11
AP
08/19/10
0088741
IMPERIAL IRRIGATION
DIST
404.27
50174303
ELECTRIC SVC
GM
00439
03/11
AP
08/22/10
0088741
IMPERIAL IRRIGATION
DIST
1,012.77
50439675
ELECTRIC SVC
GM
011713
03/11
AP
09/20/10
0089111
IMPERIAL IRRIGATION
DIST
408.09
50174303
ELECTRIC SVC
GM
00713
03/11
AP
09/21/10
0089111
IMPERIAL IRRIGATION
DIST
11055.96
50439675
ELECTRIC SVC
GM
00931
04/11
AP
10/19/10
0089500
IMPERIAL IRRIGATION
DIST
300.10
50174303
ELECTRIC SVC
GM
00931
04/11
AP
10/20/10
0089500
IMPERIAL IRRIGATION
DIST
785.38
50439675
ELECTRIC.SVC
GM
01210
06/11
AP
11/17/10
0089875
IMPERIAL IRRIGATION
DIST
151.48
50174303
BERMUDAS ST
GM
01210
06/11
AP
11/18/10
0089875
IMPERIAL IRRIGATION
DIST
546.55
50439675
CORP CTR
GM
01420
07/11
AP
12/20/10
0090258
IMPERIAL IRRIGATION
DIST
174.33
50174303
BERMUDA ST
GM
01420
07/11
AP
12/21/10
0090258
IMPERIAL IRRIGATION
DIST
396.65
50439675
CORP CENTER
GM
01757
08/11
AP
01/23/11
0090750
IMPERIAL IRRIGATION
DIST
197.20
'
50174303
BERMUDAS -ELECTRIC SVC
GM
01757
08/11
AP
01/24/11
0090750
IMPERIAL IRRIGATION
DIST
336.94
50439675
CORP CTR -ELECTRIC SVC
GM
01909
09/11
AP
02/21/11
0090949
IMPERIAL IRRIGATION
DIST
156.64
50174303
BERMUDA ST
GM
01909
09/11
AP
02/22/11
0090949
IMPERIAL IRRIGATION
DIST
335.86
50439675
CORP CTR
GM
02177
10/11
AP
03/22/11
0091315
IMPERIAL IRRIGATION
DIST
174.43
50174303
BERMUDAS ST
GM
02177
10/11
AP
03/23/11
0091315
IMPERIAL IRRIGATION
DIST
436.27
50439675
CORP CTR
GM
02403
10/11
AP
04/20/11
0091731
IMPERIAL IRRIGATION
DIST
187.14
50174303
AVE BERMUDAS
GM
02468
11/11
AP
04/21/11
0091761
IMPERIAL IRRIGATION
DIST
501.08
50439675
ELECTRIC -CORP CTR
GM
02740
12/11
AP
05/19/11
0092149
IMPERIAL IRRIGATION
DIST
229.08
50174303
SUBSTATION
GM
02740
12/11
AP
05/22/11
0092149
IMPERIAL IRRIGATION
DIST
545.58
50439675
CORP CTR SVC
GM
03010
12/11
AP
06/20/11
0092616
IMPERIAL IRRIGATION
DIST
286.28
50174303
SUBSTATION
GM
03010
12/11
AP
06/21/11
0092616
IMPERIAL IRRIGATION
DIST
765.47
50439675
ELECTRIC -CORP CTR
ACCOUNT TOTAL
10,794.43
10,794.43
PREPARED -..-7/2014, 10: 19:00 GENERAL LEDGER .__ _ _;VITY 'LISTING P...__-203
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG —-TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE. NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------- ------- ----------- ---------------------------- -------------------------------------- -----------
101-5054-421.41-13 Utilities / Gas
ACCOUNT TOTAL
101-5054-421.41-16 Utilities / Water
GM 00229 02/11 AP 07/23/10 0088435
4280957
GM 00627 03/11 AP 09/02/10 0088969
90210 -
GM 00876 04/11 AP 09/30/10 0089362
4280957093010
GM 01081 05/11 AP 10/28/10 0089689
4280957102810
GM 01253 06/11 AP 11/25/10 0089916
112510
GM 01420 07/11 AP 12/23/10 0090268
122310
GM 01692 08/11 AP 01/20/11 0090611
12011
GM 01909 09/11 AP 02/17/11 0090959
21711
GM 02177 10/11 AP 03/17/11 0091323
4280957031711
GM -02403 10/11 AP 04/14/11 0091736
4280957041411
GM 02645 11/11 AP 05/12/11 0092103
4280957051211
GM 02870 12/11 AP 06/09/11 0092442
4280957060911
ACCOUNT TOTAL
101-5054-421.41-22 Utilities / Telephone
GM 00017 01/11 AP 06/23/10 0087999
21135341-0
GM 00189 01/11 AP 07/10/10 0088391
8530531
GM 00189 01/11 AP 07/16/10 0088392
777-7376
GM 00229 02/11 AP 07/23/10 0088437
21774418-0
GM 00391 02/11. AP 08/10/10 0088724
66451449
GM 00439 03/11 AP 08/16/10 0088751
777-7376
GM 00439 03/11 AP 08/23/10 0088749
224408410
GM 00751 04/11 AP 09/10/10 0089144
SPARKLETTS
WATER
SPARKLETTS
WATER SVC
SPARKLETTS
WATER SVC
SPARKLETTS
WATER SVC
SPARKLETTS
BERMUDAS
SPARKLETTS
WATER
SPARKLETTS
WATER SVC
SPARKLETTS
WATER -BERMUDAS
SPARKLETTS
WATER SVC
SPARKLETTS
WATER -BERMUDAS
SPARKLETTS
WATER -BERMUDAS
SPARKLETTS
WATER
TELEPACIFIC COMMUNICATION
BERMUDA PHONE
VERIZON BUSINESS
CORP CTR
VERIZON CALIFORNIA
CORP CTR 7/16-8/15
TELEPACIFIC COMMUNICATION
BERMUDAS
VERIZON BUSINESS
CORP CTR
VERIZON CALIFORNIA
CORP CTR 8/16-9/15
TELEPACIFIC COMMUNICATION
BERMUDAS PH
VERIZON BUSINESS
130.21
152.65
135.37
133.92
96.62
93.35
18.39
52.21
192.06
114.06
105.25
99.37
1,323.46
131.73
95.49
331.59
132.86
83.29
339.32
135.34
68.88
.00
.00
00
1,323.46
00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER ..-._VITY
LISTING
P..__-204
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---- I -------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.41-22
Utilities
/ Telephone
74931456
CORP CTR
GM
00713
03/11
AP
09/16/10
0089120
VERIZON CALIFORNIA
375.54
777-7376
CORT CTR 9/16-10/15
GM
00751
04/11
AP
09/23/10
0089142
TELEPACIFIC COMMUNICATION
131.61
231992490
BERMUDAS
GM
01081
05/11
AP
10/10/10
0089692
VERIZON BUSINESS
78.03
61855762
CORP CTR
GM
01210
06/11
AP
10/16/10
0089892
VERIZON CALIFORNIA
350.55
777-7376
CORP CTR 10/16-11/15
GM
01033
05/11
AP
10/23/10
0089538
TELEPACIFIC COMMUNICATION
131.52
237748610
AVE BERMUDAS
GM
01210
06/11
AP
11/16/10
0089892
VERIZON CALIFORNIA
357.86
777-7376
CORP CTR 11/16-12/15
GM
01253
06/11
AP
11/23/10
0089917
TELEPACIFIC COMMUNICATION
132.77
244332660
AVE BERMUDAS
GM
01420
07/11
AP
12/16/10
0090.272
VERIZON CALIFORNIA
353.39
777-7376
CORP CTR 12/16-1/15
GM
01420
07/11
AP
12/23/10
0090269
TELEPACIFIC COMMUNICATION
131.37
25116064-0
AVE BERMUDAS
GM
01757
08/11
AP
01/10/11
0090760
VERIZON BUSINESS
85.75
64626956
COPR CTR
GM
01692
08/11
AP
01/16/11
0090613
VERIZON CALIFORNIA
332.17
777-7376
COPR CTR 1/16-2/15
GM
01757
08/11
AP
01/23/11
0090756
TELEPACIFIC COMMUNICATION
133.43
258077380
AVE BERMUDAS
GM
01909
09/11
AP
02/16/11
0090963
VERIZON CALIFORNIA
337.25
777-7376
CORP CTR 2/16-3/15
GM
01909
09/11
AP
02/23/11
0090960
TELEPACIFIC COMMUNICATION
131.85
265055680
AVE BERMUDAS
GM
02177
10/11
AP
03/10/11
0091328
VERIZON BUSINESS
90.63
68531273
CORP CTR
GM
02177
10/11
AP
03/16/11
0091329
VERIZON CALIFORNIA
329.65
777-7376
CORP CTR 3/16-4/15
GM
02225
10/11
AP
03/23/11
0091356
TELEPACIFIC COMMUNICATION
135.17
27291797-0
AVE BERMUDAS
GM
02468
11/11
AP
04/10/11
0091.778
VERIZON BUSINESS
80.84
69463018
CORP CTR
GM
02468
11/11
AP
04/16/11
0091779
VERIZON CALIFORNIA
334.78
777-7376
CORP CTR
GM
02538
11/11
AP
04/23/11
0091917
TELEPACIFIC COMMUNICATION
134.19
280004610
BERMUDAS STATION
GM
02645
11/11
AP
05/10/11
0092110
VERIZON BUSINESS
82.21
395083
CORP CTR
GM
02702
12/11
AP
05/16/11
0092134
VERIZON CALIFORNIA
334.69
777-7376
CORP CTR 5/16-6/15
GM
03010
12/11
AP
06/10/11
0092624
VERIZON BUSINESS
76.81
6576571
CORP CENTER
GM,
01757
08/11
AP
11/10/11
0090760
VERIZON BUSINESS
87.90
62776704
COPR CTR
PREPARED' -..-7/2014, 10:19:00
GENERAL LEDGER
LISTING
P„w�.205
PROGRAM
GM362LA
CITY OF LA
----------------
QUINTA,
CALIFORNIA
FUND 101
----------------------------------------------------------------------------------------------------------
General
Fund
----------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE
101t5054-421.41-22
Utilities
/ Telephone
GM
01757
08/11
AP
12/10/11
0090760
VERIZON BUSINESS
•84.82
63693104
COPR CTR
ACCOUNT
TOTAL
6,153.28
6,153.28
101-5054-421.41-30
Utilities
/ Security
.00
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
38.37
26491773
JUL-CORP CTR
GM
00085
01/11
AP
07/03/10
0088178
ADT SECURITY SERVICES
38.37
28311111
AUG -SECURITY
GM
00346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
112.50
30227496
SEP-NOV SECURITY
GM
00346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
38.37
30227475
SEP -SECURITY
GM
00627
03/11
AP
09/04/10
0088954
ADT SECURITY SERVICES
40.90
32100899
OCT -SECURITY
GM
00876
04/11
AP
10/09/10
0089334
ADT SECURITY SERVICES
40.90
33980799
NOV-SECURITY
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
40.90
35859549
DEC -CORP CTR
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
112.50
35859571
DEC -FEB BERMUDAS
GM
01368
06/11
AP
12/04/10
0090134
ADT SECURITY SERVICES
122.69
37748345
JAN -MAR CORP CTR
GM
01793
08/.11
AP
02/05/11
0090766
ADT SECURITY SERVICES
112.50
41534866
MAR -MAY BERMUDAS
GM
02022
09/11
AP
03/05/11
0091104
ADT SECURITY SERVICES
122.69
43458203
APR -JUN CORP CTR
GM
02588
11/11
AP
05/07/11
0091925
ADT SECURITY SERVICES
112.50
47367380
JUN -AUG BERMUDAS
ACCOUNT
TOTAL
933.19
933.19
101-5054-421.42-15
Utilities
/ Janitorial
Service
.00
GM
00023
01/11
AP
07/01/10
0088004
ADVANCED INC
850.00
13415
JUL-JANITORIAL SVC
GM
00274
02/11
AP
08/01/10
0088448
ADVANCED INC
893.30
13462
JUL-JANITORIAL SVC
GM
00490
03/11
AP
09/01/10
0088779
ADVANCED INC
893.30
13487
JANITORIAL
GM
00823
04/11
AP
10/01/10
0089152
ADVANCED INC
893.30
13524
JANITORIAL SVC
GM
01046
05/11
AP
11/01/10
0089541
ADVANCED INC
893.30
13559
JANITORIAL SVC
GM
01272
06/11
AP
12/01/10
0089926
ADVANCED INC
893.30
13594
JANITORIAL SVC
GM
01478
07/11
AP
O1/01/11
0090275
ADVANCED INC
893.30
PREPARED _ ._7/2014, 10:19:00
GENERAL LEDGER
.,_.1VITY LISTING
PMu..206
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD DATE NUMBER • D
------------------------------------------------------------------------------------------------------------------------------------
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.42-15 Utilities / Janitorial
Service
13626
JANITORIAL SVC
GM 01704 .08/11 AP 02/01/11 0090618
ADVANCED INC
893.30
13652
JANITORIAL SVC
GM 01962 09/11 AP 03/01/11 0090968
ADVANCED INC
893.30
13680
JANITORIAL SVC
GM 02198 10/11 AP 04/01/11 0091360
ADVANCED INC
893.30
13710
JANITORIAL SVC
GM 02435 11/11 AP 05/01/11 0091785
ADVANCED INC
893.30
13735
JANITORIAL
GM 02728 12/11 AP 06/01/11 0092165
ADVANCED INC
893.30
13771
JUN -JANITORIAL SVC
ACCOUNT TOTAL
101-5054-421.42-20 Utilities / Pest
GM Ob259 02/11 AP 07/13/10 0088515
66926164
GM 00367 03/11 AP 07/22/10 0088903
66926516
GM 00367 03/11 AP 08/06/10 0088903
660000819
GM 00555 03/11 AP 08/19/10 0088903
660001161
GM 00736 04/11 AP 09/10/10 0089278
660002859
GM 00860 04/11 AP 09/27/10 0089475
660003176
GM 01092 05/11 AP 10/12/10 0089852
660004846
GM 0J092 05/11 AP 10/19/10 0089852
660005184
GM 01181 06/11 AP 11/08/10 0090069
660006870
GM 01366 06/11 AP 11/29/10 0090236
660007191
GM 01366 06/11 AP 12/06/10 0090236
660008900
GM 01560 07/11 AP 12/20/10 0090542
660009195
GM 01703 08/11 AP 01/13/11 0090721
660011122
GM 01703 08/11 AP 01/19/11 0090721
660010804
GM 01878 09/11 AP 02/07/11 0091053
660012640
GM 01878 09/11 AP 02/14/11 0091053
660012949
GM 02045 09/11 AP 03/04/11 0091263
Control
TRULY NOLEN INC
COMP CTR
TRULY NOLEN INC
CORP CTR -PST CNTRL
TRULY NOLEN INC
BERMUDA STATION
TRULY NOLEN INC
CORP CTR
TRULY NOLEN INC
BERMUDAS STATION
TRULY NOLEN INC
CORP CTR
TRULY NOLEN INC
BERMUDAS ST
TRULY NOLEN INC
CORP CTR
TRULY NOLEN INC
BERMUDAS STATION
TRULY NOLEN INC
CORP CTR -PST CNTRL
TRULY NOLEN INC
BERMUDAS STATION
TRULY NOLEN INC
CORP CENTER
TRULY NOLEN INC
CORP CENTER
TRULY NOLEN INC
CORP CENTER
TRULY NOLEN INC
BERMUDAS ST
TRULY NOLEN INC
CORP CENTER
TRULY NOLEN INC
10,676.30
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
34.00
10,676.30
.00
PREPARED -..-7/2014,
10:19:00
HVAC Maint & Svc
GENERAL LEDGER -- VITY
LISTING
PA -207
PROGRAM GM362LA
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
CITY OF LA QUINTA, CALIFORNIA
960574
HVAC
GM
02225
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General
Fund
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
BEGINNING
GROUP ACCTG
----TRANSACTION----
904299
HVAC
GM
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.42-20
Utilities
/ Pest
Control
DUNES PALMS
660014483
ACCOUNT TOTAL
BERMUDAS ST PST CONTROL
101-5054-421.43-62
GM 02302 10/11
AP
03/10/11
0091704
TRULY NOLEN INC
34.00
AP
06/22/10
0088245
660014756
CORP CENTER
GM 02424 11/11
AP
04/04/11
0091875
TRULY NOLEN INC
34.00
AP
07/10/10
0088245
660016222
BERMUDAS STATION
GM 02424 11/11
AP
04/13/11
0091875
TRULY NOLEN INC
34.00
AP
07/22/10
0088441
660016526
CORP CTR
GM 02561 11/11
AP
05/06/11
0092061
TRULY NOLEN INC
34.00
AP
08/10/10
0088725
660018124
BERMUDAS STATION
GM 02561 11/11
AP
05/09/11
0092061
TRULY NOLEN INC
34.00
AP
08/22/10
0088751
660018419
CORP CENTER
GM 02955 12/11
AP
06/03/11
0092576
TRULY NOLEN INC
34.00
AP
09/10/10
0088973
660020081
BERMUDAS STATION
ACCOUNT TOTAL
101-5054-421.43-31 Maintenance & Repair / Fire Extinguisher
GM 02784 12/11 AP 05/12/11 0092194 DESERT FIRE EXTINGUISHER
202395. FIRE EXTINGUISHER
GM 02787 12/11 AP 05/12/11 0092194 DESERT FIRE EXTINGUISHER
202396 FIRE EXTINGUISHER
ACCOUNT TOTAL
101-5054-421.43-52
Maintenance & Repair /
HVAC Maint & Svc
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
960574
HVAC
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
904299
HVAC
GM
03031
12/11
AP
06/21/11
0092865
US AIR CONDITIONING DISTR
7470342
DUNES PALMS
ACCOUNT TOTAL
101-5054-421.43-62
Maintenance & Repair /
Police Substation
GM
00105
01/11
AP
06/22/10
0088245
VERIZON CALIFORNIA
UHO-2778
TLINE 6/22-7/21
GM
00105
01/11
AP
07/10/10
0088245
VERIZON CALIFORNIA
UH8-9234
TLINE 7/10-8/9
GM
00229
02/11
AP
07/22/10
0088441
VERIZON CALIFORNIA
UHO-2778
DATALINE 7/22-8/21
GM
00391
02/11
AP
08/10/10
0088725
VERIZON CALIFORNIA
UH8-9234
DATA LN 8/10-9/9
GM
00439
03/11
AP
08/22/10
0088751
VERIZON CALIFORNIA
UHO-2778
DATE LINE 8/22-9/21
GM
00627
03/11
AP
09/10/10
0088973
VERIZON CALIFORNIA
782.00
8.90
21.93
30.83
25.90
5.64
41.51
73.05
277.83
277.83
277.83
277.83
282.94
277.83
782.00
.00
30.83
.00
73.05
00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER .._ VITY LISTING Pk -208
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5054-421.43-62
Maintenance & Repair
/ Police Substation
UH8-9234
DATA LINE 9/10-10/9
GM
00751
04/11
AP
09/22/10
0089145
VERIZON CALIFORNIA
277.83
UHO-2778
DATA LINE 9/22-10/21
GM
00876
04/11
AP
10/10/10
0089366
VERIZON CALIFORNIA
277.83
UH8-9234
DATA LINE 10/10-11/9
GM
01033
05/11
AP
10/22/10
0089539
VERIZON CALIFORNIA
277.83
UHO-2778
DATA LINE 10/22-11/21
GM
01097
05/11
AP
11/10/10°0089736
VERIZON CALIFORNIA
277.83
UH8-9234
DATA LINE -CORP CTR
GM
01335
06/11
AP
11/22/10
0090130
VERIZON CALIFORNIA
277.83
UHO-2778
DATA LINE 11/22-12/21
GM
01368
06/11
AP
12/10/10
0090160
VERIZON CALIFORNIA
277.52
UH8-9234
DATA LINE 12/10-1/9
GM
01547
07/11
AP
12/22/10
0090408
VERIZON CALIFORNIA
277.52
UHO-2778
DATA LINE BERMUDAS
GM
01629
07/11
AP
O1/10/11
0090581
VERIZON CALIFORNIA
277.52
UH8-9234
DATA LINE CORP CTR
GM
01757
08/11
AP
01/22/11
0090761
VERIZON CALIFORNIA
277.52
UHO-2778
DATA LINE
GM
01841
08/11
AP
02/10/11
0090936
VERIZON CALIFORNIA
277.52
UH8-9234
DATA LINE
GM
02003
09/11
AP
02/22/11
0091093
VERIZON CALIFORNIA
277.52
UHO-2778
DATA LINE 2/22-3/21
GM
02127
09/11
AP
03/10/11
0091295
VERIZON CALIFORNIA
277.52
UH8-9234
DATA LINE
GM
02225
10/11
AP
03/22/11
0091357
VERIZON CALIFORNIA
277.52
UHO-2778
DATA LINE BERMUDAS
GM
02306
10/11
AP
04/10/11
0091589
VERIZON CALIFORNIA
277.52
UH8-9234
DATA LINE CORP CTR
GM
02538
11/11
AP
04/22/11
0091920
VERIZON CALIFORNIA
277.52
UHO-2778
DATA LINE 4/22-5/21
GM
02645
11/11
AP
05/10/11
0092111
VERIZON CALIFORNIA
277.10
UH8-9234
DATA LINE CORP CTR
GM
02702
12/11
AP
05/22/11
0092134
VERIZON CALIFORNIA
277.10
UHO-2778
DATA LINE BERMUDAS
GM
02870
12/11
AP
06/10/11
0092446
VERIZON CALIFORNIA
277.10
254011155679351
DATA LINE
GM
02948
12/11
AP
06/16/11
0092488
VERIZON CALIFORNIA
334.23
012543119256974
CORPORATE CENTER
GM
03010.
12/11
AP
06/22/11
0092625
VERIZON CALIFORNIA
277.10
UHO-2778
DATA LINE -BERMUDAS
ACCOUNT TOTAL
7,279.07
101-5054-421.44-01 Rental Services / Equipment rental
ACCOUNT TOTAL
7,279.07
.00
.00
PREPARED
_7/2014,
10:19:00
LQ VOLUNTEERS
GENERAL LEDGER
_VITY LISTING
PNuci209
PROGRAM
GM362LA
MALDONADO, DENESE
REIMB
9/3 DUI CHECKPOINT
CITY -OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.44-04
Rental Services / Sub
Station•Rent
.00
GM 00105
01/11
AP
07/19/10
0088235
PAUL, JAMES & SHARON
6,611.22
AUG110
SUBSTATION RENT
GM 00272
01/11
AJ
07/31/10
AJE 01-011
REVERSE PREPAID ITEMS
6,611.22
GM 00299
02/11
AP
08/05/10
0088543
PAUL, JAMES & SHARON
6,611.22
SEP110
SUBSTATION RENT
GM 00627
03/11
AP
09/16/10
0088966
PAUL, JAMES & SHARON
6,611.22
OCT110
SUBSTATION RENT
GM 00931
04/11
AP
10/22/10
0089507
PAUL, JAMES & SHARON
6,666.31
NOV110
SUBSTATION RENT
GM 01097
05/11
AP
11/15/10
0089721
PAUL, JAMES & SHARON
6,666.31
DEC110
SUBSTATION RENT
GM 01335
06/11
AP
12/13/10
0090115
PAUL, JAMES & SHARON
6,666.31
JAN110
SUBSTATION RENT
GM 01568
07/11
AP
01/18/11
0090435
PAUL, JAMES & SHARON
6,666.31
FEB'll
SUBSTATION RENT
GM 01793
08/11
AP
02/10/11
0090794
PAUL, JAMES & SHARON
6,666.31
MAR110
SUBSTATION RENT
GM 02127
09/11
AP
03/21/11
0091287
PAUL, JAMES & SHARON
6,666.31
APR'll
SUBSTATION RENT
GM 02306
10/11
AP
04/18/11
0091577
PAUL, JAMES & SHARON
6,666.31
MAY'll
SUBSTATION RENT
GM 02645
11/11
AP
05/23/11
0092096
PAUL, JAMES & SHARON
6,666.31
'.
JUN'll
SUBSTATION RENT
ACCOUNT TOTAL
101-5054-421.51-01 Services & Supplies / Travel & Training
ACCOUNT TOTAL
101-5054-421.51-02 Services & Supplies / Vehicle Reimbursement
ACCOUNT TOTAL
101-5054-421.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5054-421.51-20 Services & Supplies / LQ Police Volunteers
GM 00099 01/11 AP 07/13/10 0088329
MOUNTAIN VIEW TIRE
55607
LQ VOLUNTEERS
GM 00319 02/11 AP 07/13/10 0088664
MOUNTAIN VIEW TIRE
5607
LQ POLICE VOLUNTEERS
GM 00622 03/11 AP 09/03/10 0089048
MALDONADO, DENESE
REIMB
9/3 DUI CHECKPOINT
79,775.36
339.09
339.09
74.46
79,775.36
.00
.00
.00
.00
.00
.00
.00
PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING Pti�" 210
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND•101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE' NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5054-421.51-20 Services & Supplies /
GM 00622 03/11 AP 09/08/10 0089090
3141995626
GM 00624 03/11 AP 09/08/10 0089090
3141995627
GM 01096 05/11 AP 10/20/10 0089770
467726
GM 01097 05/11 AP 11/17/10 0089717
REIMB
GM 01181 06/11 AP 11/24/10 0090053
3145765016
GM 01362 06/11 AP 12/08/10 0090181
467739
GM 01368 0.6/11 AP 12/16/10 0090161
PB01381YGE
GM 01564 07/11 AP 01/05/11 0090513
60306
GM 01768 08/11 AP 01/29/11 0090900
3149339837
GM 01878 09/11 AP 02/11/11 0.091029
551418458001
GM 01841 08/11 AP 02/23/11 0090925
REIMB
GM 02302 10/11 AP 03/29/11 0091695
3152096522
GM 0*2302 10/11 AP 03/29/11 0091695
3152096523
GM 02538 11/11 AP 04/28/11 0091901
7130272
ACCOUNT TOTAL
LQ Police Volunteers
STAPLES ADVANTAGE
OFFICE SUPPLIES
STAPLES ADVANTAGE
POLICE VOLUNTEERS
DESERT UNIFORMS
UNIFORMS-
MALDONADO, DENESE
EARTHQUAKE KITS
STAPLES ADVANTAGE
POLICE VOLUNTEERS
DESERT UNIFORMS
VOLUNTEERS
WAL MART COMMUNITY
VOLUNTEER PRG
MOUNTAIN VIEW TIRE
POLICE VOLUNTEERS
STAPLES ADVANTAGE
OFFICE SUPPLIES
OFFICE DEPOT
VOLUNTEERS
MALDONADO, DENESE
CKPOINT MATERIAL
STAPLES ADVANTAGE
POLICE VOLUNTEERS
STAPLES ADVANTAGE
OFFICE SUPPLIES
HOME DEPOT CREDIT SERVICE
DOORBELL
101-5054-421.51-33 Services & Supplies / Special Event
GM 00353 02/11 AP 08/05/10 0088624 E & E PEL'S ENTERPRICES I
3202 SPECIAL EVENT
ACCOUNT TOTAL
101-5054-421.51-40 Services & Supplies / LQ Police Volunteers
ACCOUNT TOTAL
101-5054-421.54-01 Services & Supply / Information Tech Charges
ACCOUNT TOTAL
193.80
38.92
43.49
146.50
442.13
334.87
1,500.00
620.16
119.05
60.97
202.24
251.71
233.45
17.37
4,957.30
129.00
129.00
4,957.30
.00
129.00
.00
.00
.00
.00
PREPARED -.,-7/2014, 10:19:00 GENERAL LEDGER N6i&VITY LISTING PAGE12ll
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------ -----------------=
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CO. DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5054-421.55-07 Other Services / Marketing
GM 00514 03/11 AP 08/26/10 0088880 RIVERSIDE SHERIFF'S ASSOC
DONATION SHERIFF'S PICNIC
GM 00823 04/11 AP 10/04/10 0089244 PJ'S DESERT TROPHIES & GI
9796 MARKETING
GM 01802 08/11 AP 02/14/11 0090884 PJ'S DESERT TROPHIES & GI
10358 MARKETING
ACCOUNT TOTAL
101-5054-421.55-10 Other Services / Motorcycle -Fuel
ACCOUNT TOTAL
101-5054-421.56-02
Services & Supplies
/ Operating Supplies
GM
00259
02/11
AP
07/06/10 0088497
RADAR SHOP INC, THE
6155
RADAR UNITS
GM
00099
01/11
AP
07/09/10 0088309
INTOXIMETERS
307744
OPERATING SUPPLIES
GM
00099
01/11
AP
07/10/10 0088334
OFFICE DEPOT
524754190001
BCARD-RGREGORY
GM
00259
02/11
AP
07/13/10 0088510
STAPLES ADVANTAGE
3139258153
OFFICE SUPPLIES
GM
00259
02/11
AP
07/13/10 0088510
STAPLES ADVANTAGE
3139258152
OFFICE SUPPLIES
GM
Ob259
02/11
AP
07/30/10 0088510
STAPLES ADVANTAGE
3139845703
OFFICE SUPPLIES
GM
00353
02/11
AP
08/01/10 0088642
IMAGE MARKETING CONCEPTS
37783
OPERATING SUPPLIES
GM
00319,
02/11
AP
08/02/10 0088667
MSA SYSTEMS INC
17822
OPERATING SUPPLIES
GM
00367
03/11
AP
08/06/10 0088861
OFFICE DEPOT
528359644001
BCARD-TRUEBLOOD
GM
00367
03/11
AP
08/06/10 0088861
OFFICE DEPOT
527804638001
BCARD-POLICE
GM
00367
03/11
AP
08/13/10 0088861
OFFICE DEPOT
528478980001
BCARD-BORREGO
GM
00437
03/11
AP
08/25/10 0088893
STAPLES ADVANTAGE
3141153864
OFFICE SUPPLIES
GM
Op555
03/11
AP
08/27/10 0088861
OFFICE DEPOT -
530990877001
BCARD-OLSON
GM
00736
04/11
AP
09/08/10 0089266
STAPLES ADVANTAGE
3141995628
OPERATING SUPPLIES
GM
00624
03/11
AP
09/14/10 0089029
INSIT INTELLIGENCE
158
SPECIAL TRAINING
GM
00624
03/11
AP
09/14/10 0089045
LOCK SHOP INC, THE
57326
KEYS
GM
00624
03/11
AP.09/15/10
0089090
STAPLES ADVANTAGE
100.00
176.01
135.51
411.52
1,216.00
202.04
60.97
710.76
369.73
606.37
140.00
163.52
60.97
60.97
60.97
113.51
60.97
28.58
150.00
129.63
156.68
.00
411.52
.00
:00
.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER rLiLVITY
LISTING
PAGE1212
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
---------------------'------------------------------------------------------'---------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5054-421.56-02
Services & Supplies
/ Operating Supplies
3142234550
OPERATING SUPPLIES
GM
00713
03/11•
AP
09/16/10 0089115
OLSON, DONALD
142.89
REIMB
SHIP EQUIPMENT
GM
00736
04/11
AP
09/22/10 0089230
LOCK SHOP INC, THE
6.53
649191
DUP KEY
GM
00977
05/11
AP
10/13/10 0089605
LOCK SHOP INC, THE
141.58
57771
PANIC BAR
GM
01046
05/11
AP
10/13/10 0089654
STAPLES ADVANTAGE
471.16
3143749389
OFFICE SUPPLIES
GM
01046
05/11
AP
10/26/10 0089654
STAPLES ADVANTAGE
275.10
'3144307093
OFFICE SUPPLIES
GM
01092
05/11
AP
10/26/10 0089822
OFFICE DEPOT
60.97
538426779001
OFFICE SUPPLIES
GM
01246
06/11
AP
11/19/10 0090022
OFFICE DEPOT
60.97
540611.222001
BCARDS-ALEXANDER
GM
01362
06/11
AP
12/01/10 0090229
STAPLES ADVANTAGE
44.21
3146195109
OFFICE SUPPLIES
GM
01366
06/11
AP
12/10/10 0090174
CDW GOVERNMENT INC
272.11
VTX7074
POLICE TRNS KIT
GM
01457
07/11
AP
12/22/10 0090348
STAPLES ADVANTAGE
73.90
3147105564
OFFICE SUPPLIES
GM
01547
07/11
AP
12/28/10 0090383
HOME DEPOT CREDIT SERVICE
17.33
6111439
SUPPLIES
GM
01420
07/11
AP
12/30/10 0090267
REINBOLZ, JOSHUA B
21.71
REIMB
BATTERIES
GM
02588
11/11
AP
12/30/10 0091951
REINBOLZ, JOSHUA B
21.71
REIMB
BATTERIES
GM
01478
07/11
AP
12/31/10 0090348
STAPLES ADVANTAGE
206.69
3147311569
OFFICE SUPPLIES
GM
01478
07/11
AP
12/31/10 0090348
STAPLES ADVANTAGE
184.86
3147311570
OFFICE SUPPLIES
GM
01768
08/11
AP
01/03/11 0090904
TOP OF THE LINE SIGNS
189.00
3749
OPERATING SUPPLIES
GM
01632
08/11
AP
01/13/11 0090683
LOCK SHOP INC, THE
8.70
652008
DUP KEYS
GM
01643
08/11
AP
01/21/11 0090695
OFFICE DEPOT
60.97
548266022001
OFFICE SUPPLIES
GM
01703
08/11
AP
01/21/11 0090695
OFFICE DEPOT
60.97
548199572001
BUSINESS CARDS
GM
01704
08/11
AP
01/21/11 0090695
OFFICE DEPOT
60.97
548269452001
BCARDS-POLICE DEPT
GM
01768
08/11
AP
01/29/11 0090900
STAPLES ADVANTAGE
154.40
3149339838
OFFICE SUPPLIES
GM
01878
09/11
AP
02/09/11 0091046
STAPLES ADVANTAGE
198.41
3149735592
OFFICE SUPPLIES
GM
02045
09/11
AP
03/01/11 0091253
STAPLES ADVANTAGE
406.02
3150908065
OFFICE SUPPLIES
GM
02045
09/11
AP
03/03/11 0091253
STAPLES ADVANTAGE
91.76
3150988468
OFFICE SUPPLIES
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER nu,.VITY
LISTING
Poawci213
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------=--------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE NUMBER D
E S C R .I P T I 0 N
DEBITS
CREDITS
BALANCE
101-5054-421.56-02
Services & Supplies /
Operating Supplies
GM
02045
09/11
AP
03/08/11 0091253
STAPLES ADVANTAGE
43.15
3151235132
OFFICE SUPPLIES
GM
02136
10/11
AP
03/18/11 0091502
STAPLES ADVANTAGE
265.33
3151601075
OFFICE SUPPLIES
GM
02154
10/11
AP
03/22/11 0091502
STAPLES ADVANTAGE
89.04
3151810255
OFFICE SUPPLIES
GM
02424
11/11
AP
04/07/11 0091842
OFFICE DEPOT
60.97
557534316001
OFFICE SUPPLIES
GM
02302
10/11
AP
04/13/11 0091695
STAPLES ADVANTAGE
198.41
3153089783
OFFICE SUPPLIES
GM
02435
11/11
AP
04/19/11 0091842
OFFICE DEPOT
60.97
557534798001
B CARDS-FREBIG
GM
02424
11/11
AP
04/20/11 0091868
STAPLES ADVANTAGE
223.71
3153386381
OFFICE SUPPLIES
GM
02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT W
7.59
'
925584
OPERATING SUPPLIES
GM
02616
11/11
AP
05/11/11 0092055
STAPLES ADVANTAGE
362.81
3154520686
OFFICE SUPPLIES
GM
02553
11/11
AP
05/12/11 0090267
REINBOLZ, JOSHUA B
21.71
REIMB
BATTERIES
GM
02694
12/11
AP
05/13/11 0092246
OFFICE DEPOT
121.93
563296243001
BCARD - POLICE GN
GM
02728
12/11
AP
05/25/11 0092279
STAPLES ADVANTAGE
189.42
3155106484
OFFICE SUPPLIES
GM
02728
12/11
AP
05/25/11 0092279
STAPLES ADVANTAGE
56.03
3155106489
OFFICE SUPPLIES
GM
02728
12/11
AP
05/25/11 0092246
OFFICE DEPOT
60.97
565960078001
RETURN CREDIT
GM
02735
12/11
AP
05/27/11 0092279
STAPLES ADVANTAGE
238.10
3155161374
OFFICE SUPPLIES
GM
02863
12/11
AP
06/03/11 0092393
OFFICE DEPOT
60.97
565966860001
OFFICE SUPPLIES
GM
02865
12/11
AP
06/08/11 0092393
OFFICE DEPOT
60.97
565966236001
BCARDS-CURIA,P
GM
02863
12/11
AP
06/09/11 0092410
STAPLES ADVANTAGE
27.18
3155945548
OFFICE SUPPLIES
GM
02863
12/11
AP
06/09/11 0092410
STAPLES ADVANTAGE
176.02
3155945554
OFFICE SUPPLIES
GM
02955
12/11
AP
06/23/11 0092571
STAPLES ADVANTAGE
466.49
3156508837
OFFICE SUPPLIES
GM
02987
12/11
AP
07/01/11 0092571
STAPLES ADVANTAGE
40.20
3156840148
OPERATING SUPPLIES
ACCOUNT TOTAL
10,273.88
82.68
10,191.20
101-5054-421.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
.00
.00 1
PREPARED _ ,.7/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
Pj,--.214
PROGRAM GM362LA
CITY OF LA QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101 General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
DATE NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE
.101-5054-421.71-02
Capital Purchases / Furniture'
.00
ACCOUNT TOTAL
.00
101-5054-421.71-03
Capital Purchases / Vehicles
.00
ACCOUNT TOTAL
.00
101-5054-421.92-11
Other Charges / Fleet Maint Program Chgs
.00
ACCOUNT TOTAL
.00
.101-5054-511.72-01
Buildings / Depr Exp-SubStn Air Cond
.00
ACCOUNT TOTAL
.00
101-5055-422.33-19
Contract Services / Fire
Service Costs
.00
GM 01021 04/11 AJ
10%31/10 AJE 04-038
1ST QTR FIRE SERVICE COST
1,133,724.49
GM 01714 07/11 AJ
01/31/11 AJE 07-041
2ND QTR FIRE SERVICE COST
1,101,930.51.
GM 02128 09/11 AJ
03/31/11 AJE 09-045
BOB HOPE COVERAGE
24,279.90
GM 02546 10/11 AJ
04/30/11 AJE 10-046
FIRE SERVICE COST -3RD QTR
1,009,800.36
GM 03078 12/11 AJ
06/30/11 AJE 12-102
FIRE SVC COSTS -4TH QTR
1,471,352.49
ACCOUNT TOTAL
4,716,807.85 24,279.90
4,692,527.95
.101-5055-422.33-25
Contract Services / MOU
- Indio Ladder Truck
.00
ACCOUNT TOTAL
.00
101-5055-422.34-04
Contract Services % Fitness Equip Maintenance
.00
GM 00157. 01/11 AP
07/01/10 0088251
ADVANTAGE FITNESS PRODUCT
112.50
SI -128358
ST#32 FITNESS EQUIP
GM 00157 01/11 AP
07/01/10 0088251
ADVANTAGE FITNESS PRODUCT'
112.50
SI -128359
ST#70 FITNESS EQUIP
GM 00157 01/11 AP
07/01/10'0088251
ADVANTAGE FITNESS PRODUCT
112.50
SI -128361
ST#93 FITNESS•EQUIP
GM 01159 05/11 AP
10/01/10 0089744
ADVANTAGE FITNESS PRODUCT
112.50
SI -133004
OCT-ST#32 MAINT
GM 01159 05/11 AP
10/01/10 0089744
ADVANTAGE FITNESS PRODUCT
112.50
SI -133591
OCT-ST#93 MAINT
GM 01159 05/11 AP
10/01/10 0089744
ADVANTAGE FITNESS PRODUCT
112.50
SI -133198
OCT-ST#70 MAINT
GM 01159 05/11 AP
11/07/10 0089744
ADVANTAGE FITNESS PRODUCT
81.23
SI -133577
ST#32 STAIRMSTR
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER—_._VITY
LISTING
PROGRAM
'GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101•General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------------------------------------------------------------------------=--------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.34-04
Contract
Services./
Fitness Equip Maintenance
GM
01643
•08/11
AP
01/19/11
0090619
ADVANTAGE FITNESS PRODUCT
112.50
SI136428
ST#32 PRV MAINT
GM
01802
08/11
AP
02/11/11
0090809
ADVANTAGE FITNESS PRODUCT
112.50
SI -137627
ST#93 SITE REPAIR
ACCOUNT TOTAL
981.23
981.23
101-5055-422.36-10
Contract
Services /
Humana Classic
.00
GM
02128
09/11
AJ
03/31/11
AJE 09-045
BOB HOPE COVERAGE
24,279.90
ACCOUNT TOTAL
24,279.90
24,279.90
101-5055-422.36-52
Contract
Services /
Volunteers
.00
GM
01704
08/11
AP
01/15/11
0090679
LA QUINTA VOLUNTEER
FIRE
58.25
JUN & DEC
FIRE VOLUNTEERS
GM
01704
08/11
AP
12/23/11
0090679
LA QUINTA VOLUNTEER
FIRE
177.75
AUG,SEP,NOV
FIRE VOLUNTEERS
ACCOUNT TOTAL
236.00
236.00
101-5055-422.41-01
Contract
Services /
Electricity
.00
GM
00189
01/11
AP
07/16/10
0088374
IMPERIAL IRRIGATION
DIST
928.93
50315940
ST#70 ELECTRIC SVC
GM
00299
02/11
AP
07/25/10
0088538
IMPERIAL IRRIGATION
DIST
1,462.48
50315942
ST#93 ELECTRIC
GM
00439
03/11
AP
08/16/10
0088741
IMPERIAL IRRIGATION
DIST
949.25
50315940
ST#70 ELECTRIC SVC
GM
00439
03/11
AP
08/23/10
0088741
IMPERIAL IRRIGATION
DIST
1,579.34
50315942
ST#93 ELECTRIC SVC
GM
00627
03/11
AP
09/15/10
0088962
IMPERIAL IRRIGATION
DIST
984.81
50315940
ST#70 ELECTRIC SVC
GM
00713
03/11
AP
09/22/10
0089111
IMPERIAL IRRIGATION
DIST
1,726.69
50315942
ST#93 ELECTRIC SVC
GM
00931
04/11
AP
10/14/10
0089500
IMPERIAL IRRIGATION
DIST
796.80
50315940
ELECTRIC SVC
GM
00931
04/11
AP
10/21/10
0089500
IMPERIAL IRRIGATION
DIST
979.74
50315942
ST#93 ELECTRIC SVC
GM
01210
06/11
AP
11/05/10
0089889
TIME WARNER CABLE
84.95
594839
ST#32 CABLE 11/5-12/4
GM
01210
06/11
AP
11/15/10
0089875
IMPERIAL IRRIGATION
DIST
471.61
50315940
ST#70 ELECTRIC SVC
GM
01210
06/11
AP
11/21/10
0089875
IMPERIAL IRRIGATION
DIST
603.71
50315942
ST#93 ELECTRIC
GM
016.29
07/11
AP
11/25/10
0090579
TIME WARNER CABLE
84.95
594839
ST#32 CABLE
GM
01420
07/11
AP
12/15/10
0090258
IMPERIAL IRRIGATION
DIST
400.46
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
P---.216
PROGRAM
GM362LA
•
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING•
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.41-01
Contract Services /
Electricity
50315940
ST#70 ELECTRIC SVC
GM
01420
07/11
AP
12/22/10 0090258
IMPERIAL IRRIGATION
DIST
608.80
50315942
ST#93 ELECTRIC SVC
GM
01629
07/11
AP
01/18/11 0090565
IMPERIAL IRRIGATION
DIST
364.88
50315940
ST#70 ELECTRIC SVC
GM
01692
08/11
AP
01/24/11 0090601
IMPERIAL IRRIGATION
DIST
644.36
50315942
ST#93-ELECTRIC SVC
GM
01757
08/11
AP
01/31/11 0090750
IMPERIAL IRRIGATION
DIST
2,078.21
50506324
ST#32 ELECTRIC
GM
01841
08/11
AP
02/15/11 0090923
IMPERIAL IRRIGATION
DIST
354.92
50315940
ST#70 ELECTRIC
GM
01909
09/11
AP
02/23/11 0090949
IMPERIAL IRRIGATION
DIST
588.79
50315942
ST#93 ELECTRIC SVC
GM
02127
09/11
AP
03/08/11 0091292
TIME WARNER CABLE
157.58
90594839
NEW ST#32
GM
02127
09/11
AP
03/17/11 0091282
IMPERIAL IRRIGATION
DIST
365.08
50315940
ST#70 ELECTRIC SVC
GM
02177
10/11
AP
03/24/11 0091315
IMPERIAL IRRIGATION
DIST
634.55
50315942
ST#93 ELECTRIC SVC
GM
02177
10/11
AP
03/25/11 0091325
TIME WARNER CABLE
174.15
90594839
NEW ST#32
GM
02403
10/11
AP
04/17/11 0091731
IMPERIAL IRRIGATION
DIST
441.35
50315940
ST#70 ELECTRIC SVC
GM
02468
11/11
AP
04/24/11 0091761
IMPERIAL IRRIGATION
DIST
787.08
50315942
ST#93 ELECTRIC
GM
02702.
12/11
AP
05/16/11 0092124
IMPERIAL IRRIGATION
DIST
578.62
50315940
ST#70 ELECTRIC
GM
02740
12/11
AP
05/23/11 0092149
IMPERIAL IRRIGATION
DIST
751.50
50315942
ST#93 ELECTRIC SVC
GM
02948
12/11
AP
06/15/11 0092484
IMPERIAL IRRIGATION
DIST
731.14
50315940
FIRE STATION ELECTRIC
GM
03010
12/11
AP
06/22/11 0092616
IMPERIAL IRRIGATION
DIST
1,026.03
50315942
ST#93 ELECTRIC SVC
ACCOUNT TOTAL
21,340.76
21,340.76
101-5055-422.41-13
Contract Services /
Gas
.00
GM
00229
02/11
AP
08/02/10 0088412
GAS COMPANY, THE
80.83
16568248591
ST#93 GAS
GM
00522
03/11
AP
08/31/10 0088762
GAS COMPANY, THE
73.98
16568248591
ST#93 GAS SVC
GM
00713
03/11
AP
09/23/10 0089110
GAS COMPANY, THE
37.33
1208591246
ST#32 GAS SVC
GM
00751
04/11
AP
10/01/10 0089132
GAS COMPANY, THE
92.97
16568248591
ST#93 GAS SVC
GM
00931
04/11
AP
10/25/10 0089495
GAS COMPANY, THE
27.33
1208591246
ST#32 GAS
GM
01033
05/11
AP
11/01/10 0089521
GAS COMPANY, THE
91.49
PREPARED
----7/2014, 10:19:00
GENERAL LEDGER ..._.-VITY
LISTING
PM%ja,217
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
----------------
PER.
CD
-------------------------------------------------------------------------------------------------------------------
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.41-13
Contract Services
/ Gas
16568248591
ST#93 GAS
GM
01210
06/11
AP
11/22/10 0089872
GAS COMPANY, THE
28.86
1208591246
ST#32 GAS 10/21-11/18
GM
01335
06/11
AP
12/01/10 0090099
GAS COMPANY, THE
133.30
16568248591
ST#93 GAS
GM
01420
07/11
AP
12/23/10 0090256
GAS COMPANY, THE
96.81
1208591246
ST#32 GAS 11/18-12/21
GM
01420
07/11
AP
12/31/10 0090256
GAS COMPANY, THE
134.51
16568248591
ST#93 GAS SVC
GM
01692
.08/11
AP
01/26/11 0090598
GAS COMPANY, THE
135.08
1208591246
ST#32 GAS SVC
GM
01757
08/11•
AP
02/03/11 0090746
GAS COMPANY, THE
206.83
16568248591
ST#93 GAS SVC
GM
01909
09/11
AP
02/24/11 0090947
GAS COMPANY, THE
103.67
1208591246
ST#32 GAS
GM
02003
09/11
AP
03/04/11 0091077
GAS COMPANY, THE
159.39
16568248591
FS#93 GAS SVC
GM
02177
10/11.
AP
03/28/11 0091308
GAS COMPANY, THE
59.81
1208591246
ST#32 GAS SVC
GM
02225
10/11
AP
04/04/11 0091345
GAS COMPANY, THE
84.12
16568248591
ST#93 GAS SVC
GM
02403
10/11
AP
04/25/11 0091727
GAS COMPANY, THE
29.47
1208591246
GAS -NEW ST#32
GM
02538
11/11
AP
05/02/11 0091897
GAS COMPANY, THE
87.01
16568248591
ST#93•GAS SVC
GM
02702
12/11
AP
05/24/11 0092121
GAS COMPANY, THE
42.69
1208591246
ST#32 GAS SVC
GM
02740.
12/11
AP
06/01/11 0092146
GAS COMPANY, THE
87.81
16568248591•
ST#93 GAS SVC
GM
02916
12/11
AP
06/23/11 0092465
GAS COMPANY, THE
33.95
01208591246
FIRE STATION GAS
GM
03010
12/11
AP
07/01/11 0092611
GAS COMPANY, THE
108.74
16568248591
ST#93 GAS SVC
,.ACCOUNT TOTAL
11935.98
11935.98
101-5055-422.41-16
Contract Services
/ Water
.00
GM
00189
01/11
AP
07/08/10 0088363
COACHELLA VALLEY WATER
DI
526.31
279153738270
ST#32 LNDSCP
GM
00189
01/11
AP
07/08/10 0088363
COACHELLA VALLEY WATER
DI
20.00
310073841308
ST#93 FIRE METER
GM
00189
01/11
AP
07/08/10 0088363
COACHELLA VALLEY WATER
DI
367.98
279151738268
ST#93 SEWER
GM
00346
02/11
AP
08/10/10 0088560
COACHELLA VALLEY WATER
DI
280.95
269363692128
ST#70 WATER SVC
GM
00522
03/11
AP
08/16/10 0088756
COACHELLA VALLEY WATER
DI
20.00
310073841308
ST#93 METER
GM
00522
03/11
AP
08/16/10 0088756
COACHELLA VALLEY WATER
DI
579.00
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
PNVG1218
PROGRAM
GM362LA
CITY OF LA
-------------------------------------------------------------•---------------------------------------------------------=-------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
--:
NUMBER
---------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O
N
DEBITS CREDITS
BALANCE
101-5055-422.41-16
Contract Services
/ Water
279153738270
ST#93 IRRIGATION
GM
00522
03'/11
AP
08/16/10 0088756
COACHELLA VALLEY
WATER
DI
375.48
279151738268
ST#93 SEWER
GM
00346
02/11
AP
08/18/10 0088560
COACHELLA VALLEY
WATER
DI
1,373.05
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/31/10 0088734
COACHELLA VALLEY
WATER
DI
1,168.25
VARIOUS
WATER SVC
GM
00522
03/11
AP
09/03/10 0088756
COACHELLA VALLEY
WATER
DI
124.21
269363692128
ST#70 WATER SVC
GM
00627
03/11
AP
09/09/10 0088956
COACHELLA VALLEY
WATER
DI
479.32 •
'
279153738270
ST#93 LNDSCP
GM
00627
03/11
AP
09/09/10 0088956
COACHELLA VALLEY
WATER
DI
402.65
279151738268
ST#93 SEWER
GM
00627
03/11
AP
09/09/10 0088956
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 METER
GM
00713
03/11
AP
09/27/10 0089108
COACHELLA VALLEY
WATER
DI
1,786.38
VARIOUS
WATER SVC
GM
00837
04/11
AP
10/05/10 0089296
COACHELLA VALLEY
WATER
DI
60.37
269363692128
ST#70 WATER
GM
00876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY
WATER
DI
20.30
310073841308
ST#93 FIRE METER
GM
00876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY
WATER
DI
402.76
2791.51738268
ST#93 SEWER
GM
00876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY
WATER
DI
410.72
279153738270
ST#93 IRRIGATION
GM
O*0876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY
WATER
DI
26.89
328921850848
ST#32 WATER
GM
00876
04/11
AP
10/08/10 0089341
COACHELLA VALLEY
WATER
DI
159.05
328931850852
ST#32 WATER
GM
00931
04/11
AP
10/26/10 0089489
COACHELLA VALLEY
WATER
DI
600.86
VARIOUS
WATER SVC
GM
01097
05/11
AP
11/08/10 0089701
COACHELLA VALLEY
WATER
DI
70.45
269363692128
ST#70 WATER SVC
GM
01097
05/11
AP
11/08/10 0089701
COACHELLA VALLEY
WATER
DI
387.06
279151738268
ST#93 SEWER
GM
01097
05/11
AP
11/08/10 0089701
COACHELLA VALLEY
WATER
DI
320.•91
279153738270
ST#93 IRRIG
GM
01097
05/11
AP
11/08/10 0089701
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 FIRE METER
GM
0210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY
WATER
DI
108.60 '
328931850852
ST#32 LNDSCP
GM
01210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY
WATER
DI
18.00
328913850850
ST#32 FIRE PRJ
GM
01210
06/11
AP
11/11/10 0089871
COACHELLA VALLEY
WATER
DI
35.80,
328921850848
ST#32 WATER SVC
GM
01210
06/11
AP
11/30/10 0089871
COACHELLA VALLEY
WATER
DI
486.06
VARIOUS
WATER SVC
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA VALLEY
WATER
DI
10.00
328913850850
ST#32 WATER SVC
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
PMOCA219
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.41-16•Contract
Services
/ Water
GM
01.368
06/11
AP
12/09/10 0090140
COACHELLA VALLEY
WATER
DI
75.00
328931850852
ST#32 LANDSCAPE
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA VALLEY
WATER
DI
56.34
328921850848
ST#32 WATER SVC
GM
01335
06/11
AP
12/10/10 0090089
COACHELLA VALLEY
WATER
DI
20.00
310073841308
WATER-ST#93 FIRE
GM
01335
06/11
AP
12/10/10 0090089
COACHELLA VALLEY
WATER
DI
146.68
279153738270
ST#93 IRRIG
GM
01335
06/11
AP
12/10/10 0090089
COACHELLA VALLEY
WATER
DI
390.33
279151738268
ST#93 SEWER
GM
01335
06/11
AP
12/10/10 0090089
COACHELLA VALLEY
WATER
DI
71.57
269363692128
WATER - ST#70
GM
01420
07/11
AP
12/27/10 0090251
COACHELLA VALLEY
WATER
DI
618.22
VARIOUS
WATER SVC
GM
01547
07/11
AP
01/06/11 0090372
COACHELLA VALLEY
WATER
DI
64.85
269363692128
ST#70 - WATER
GM
01547
07/11
AP
01/07/11 0090372
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 - METER
GM
01547
07/11
AP
01/07/11 0090372
COACHELLA VALLEY
WATER
DI
386.97
279151738268
ST#93 - SEWER
GM
01547
07/11
AP
01/07/11 0090372
COACHELLA VALLEY
WATER
DI
109.16
279153738270
ST#93 - LANDSCAPE
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA VALLEY
WATER
DI
57.01
328921850848
ST#32 WATER
GM
01568,
07/11
AP
O1/10/11 0090418
COACHELLA VALLEY
WATER
DI
42.52
328931850852
ST#32 LNDSCP
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA VALLEY
WATER
DI
10.00
328913850850
ST#32 FIRE PROT
GM
01692
08/11
AP
01/28/11 0090592
COACHELLA VALLEY
WATER
DI
61.49
269363692128
ST#70 WATER SVC
GM
01692
08/11
AP
02/01/11 0090592
COACHELLA VALLEY
WATER
DI
591.90
VARIOUS
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
124.28
279153738270
ST#93 LNDSCP
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
385.85
279151738268
ST#93 SEWER
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 METER
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
10.00
328913850850
ST#32 METER
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
55.89
328921850848
ST#32
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA VALLEY
WATER
DI
44.76
218931850852
ST#32 LNDSCP
GM
01909
09/11
AP
02/28/11 0090943
COACHELLA VALLEY
WATER
DI
131.02
VARIOUS
WATER SVC
GM
02003
09/11
AP
03/01/11 0091068
COACHELLA VALLEY
WATER
DI
67.09
269363692128
ST#70 WATER SVC
GM
02003
09/11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
47.00
4*
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER--.:VITY
LISTING
PNuca220
PROGRAM
GM362LA
CITY
OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----------------------------------------------------------------------------------------------------------------------=-------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O
N
DEBITS CREDITS
BALANCE
101-5055-422.41-16
Contract Services
/ Water
328931850852
ST#32 LNDSCP WATER
GM
02003
09/11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
10.00
328913850850
ST#32 FIRE PROT
GM
02003
09/11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
55.89
328921850848
ST#32 WATER SVC
GM
02003
09/11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
384.73
279151738268
ST#93 SEWER
GM
02003
09/11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 FIRE PROT
GM
02003
09%11
AP
03/03/11 0091068
COACHELLA VALLEY
WATER
DI
101.88
279153738270
ST#93 LNDSCP IRRIG
GM
02127
09/11
AP
03/09/11 0091277
COACHELLA VALLEY
WATER
DI
126.54
315097847624
WATER SVC
GM
02225
10/11
AP
03/29/11 0091340
COACHELLA VALLEY
WATER
DI
99.01
269363692128
ST#70 WATER
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA VALLEY
WATER
DI
61.56
328931850852
NEW ST#32 LNSCP
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA VALLEY
WATER
DI
58.13
`
328921850848
NEW ST#32
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA VALLEY
WATER
DI
10.00
328913850850
NEW ST#32 FIRE PROT
GM
02288
10/11
AP
04/05/11 0091528
COACHELLA VALLEY
WATER
DI
385.85
279151738268
ST#93 WATER SVC
GM
02288
10/11
AP
04/05/11 0091528
COACHELLA VALLEY
WATER
DI
162.36
279153738270
ST#93 LANDSCAPE
GM
02288
10/11
AP
04/05/11 0091528
COACHELLA VALLEY
WATER
DI
20.00
310073841308
ST#93 FP
GM
02306
10/11
AP
04/08/11 0091566
COACHELLA VALLEY
WATER
DI
23.50
315097847624
WATER SVC
GM
012538
11/11
AP
05/04/11 0091892
COACHELLA VALLEY
WATER
DI
261.97
269363692128
ST#70 WATER
GM
02645
11/11
AP
05/06/11 0092079
COACHELLA VALLEY
WATER
DI
266.54
315097847624
WATER SVC
GM
02588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
88.44
328931850852
NEW ST#32 WATER
GM
02588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
61.49
328921850848
NEW ST#32 WATER
GM
02588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
10.00
328913850850
NEW ST#32 WATER
GM
02588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
189.24
279153738270
NEW ST#93 LNDSCP
GM
02588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
20.00
310073841308
NEW ST#93 PRO METER
GM
0Z588
11/11
AP
05/09/11 0091930
COACHELLA VALLEY
WATER
DI
389.21
279151738268
NEW ST#93 SEWER
GM
02740
12/11
AP
06/01/11 0092141
COACHELLA VALLEY
WATER
DI
85.57
269363692128
ST#70 WATER
GM
02916
12/11
AP
06/09/11 0092460
COACHELLA VALLEY
WATER
97.40
328931-850852
FIRE STA WATER
PREPARED
L7/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING
FMwa.221
PROGRAM
GM362LA
06/05/10
0087973
ADT SECURITY SERVICES
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
26491786
JUL-ST#93 SECURITY
FUND 101
General
Fund
AP
07/03/10
0088178
BEGINNING
GROUP
ACCTG
----TRANSACTION----
28311120
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
. D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.41-16
Contract Services
/ Water
30227486
GM 02916
12/11
AP
06/09/11 0092460
COACHELLA VALLEY WATER
10.00
09/04/10
•
ADT SECURITY SERVICES
328931-850850
FIRE STA FIRE PROTECTION
32100913
GM 02916
12/11
AP
06/09/11 0092460
COACHELLA VALLEY WATER
64.85
10/09/10
0089334
ADT SECURITY SERVICES
328921-850848
FIRE STA #32
33980809
GM 02916
12/11
AP
06/10/11 0092460
COACHELLA VALLEY WATER
°389.,21
11/01/10
0089754
CENTRAL SECURITY SERVICES
279151738268
FIRE STA SEWER
69149
GM 02916
12/11
AP
06/10/11 0092460
COACHELLA VALLEY WATER
232.92
11/06/10
0089696
ADT SECURITY SERVICES
279153738270
FIRE STA LANDSCAPE
35859561
GM 02916
12/11
AP
06/10/11 0092460
COACHELLA VALLEY WATER
20.00
12/01/10
0089948
CENTRAL SECURITY SERVICES
310073841308
FIRE STA FIRE PROTECTION
86318
GM 03010
12/11
AP
06/10/11 0092609
COACHELLA VALLEY WATER DI
314.70
12/04/10
0090083
ADT SECURITY SERVICES
315097847624
WATER SVC
37748359
ACCOUNT TOTAL
101=5055-422.41-22 Contract Services / Telephone
ACCOUNT TOTAL
101-5055-422.41-30
Contract
Services
/ Security & Alarm
GM
00004
01/11
AP
06/05/10
0087973
ADT SECURITY SERVICES
26491786
JUL-ST#93 SECURITY
GM
00085
01/11
AP
07/03/10
0088178
ADT SECURITY SERVICES
28311120
AUG-ST#32 SECURITY
GM
00346
02/11
AP
08/07/10
0088551
ADT SECURITY SERVICES
30227486
SEP-ST#93 SECURITY
GM
00605
03/11
AP
09/04/10
0088919
ADT SECURITY SERVICES
32100913
ST#93 SECURITY
GM
00876
04/11
AP
10/09/10
0089334
ADT SECURITY SERVICES
33980809
NOV-ST#93 SECURITY
GM
01161
05/11
AP
11/01/10
0089754
CENTRAL SECURITY SERVICES
69149
OCT -DEC ST#32
GM
01097
05/11
AP
11/06/10
0089696
ADT SECURITY SERVICES
35859561
ST#93 SECURITY
GM
01264
06/11
AP
12/01/10
0089948
CENTRAL SECURITY SERVICES
86318
JAN -MAR MONITORING
GM
01335
06/11
AP
12/04/10
0090083
ADT SECURITY SERVICES
37748359
JAN-ST#93 SECURITY
GM
01629
07/11
AP
01/08/11
0090553
ADT SECURITY SERVICES
39644642
FEB-ST#93 SECURITY
GM
01793
08/11
AP
02/05/11
0090766
ADT SECURITY SERVICES
41534858
MAR-ST#93 SECURITY
GM
02022
09/11
AP
03/05/11
0091104
ADT SECURITY SERVICES
43458217
APR ST#93 SECURITY
GM
02136
10/11
AP
03/15/11
0091382
CENTRAL SECURITY SERVICES
135099
APR -JUN FIRE MONITORING
GM
02306
10/11
AP
04/09/11
0091563
ADT SECURITY SERVICES
18,290.33
45.20
45.20
45.20
45.20
45.20
375.00
45.20
375.00
45.20
45.20
45.20
48.18
375.00
48.18
18,290.33
.00
.00
.00
PREPARED
17/2014,
10:19:00
GENERAL LEDGER .— IVITY
LISTING
Fmuc1222
PROGRAM
GM362LA
CITY OF LA
-----------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
-------------------------------------------------------------------------------------------------
BEGINNING
'
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----------------------------------------------------------------------------------------------=-------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R
I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.41-30
Contract Services /
Security &
Alarm
45415567
MAY-ST#93
SECURITY
GM
02588
11/11
AP
05/07/11 0091925
ADT SECURITY
SERVICES
48.18
47367370
JUN-ST#93
SECURITY
GM
02808
12/11
AP
06/04/11 0092303
ADT SECURITY
SERVICES
48.18
49310319
FIRE STA
93 SECURITY
ACCOUNT TOTAL
1,724.52
1,724.52
101-5055-422.42-15
Contract Services /
Janitorial
.00
ACCOUNT TOTAL
.00
101-5055-422.42-20
Contract Services /'Pest
Control
.00
GM
00259
02/11
AP
07/02/10 0088515
TRULY
NOLEN INC
40.00
66926260
ST#32
PEST CONTROL
GM
00350
02/11
AP
07/20/10 0088701
TRULY
NOLEN INC
50.00
'
66926261
ST#93
PST CNTRL
GM
00350
02/11
AP
07/21/10 00887.01
TRULY
NOLEN INC
55.00
66926259
ST#70
PEST CNTRL
GM
00353
02/11
AP
08/06/10 0088701
TRULY
NOLEN INC
40.00
660000916
ST#32
PST CNTRL
GM
00603
03/11
AP
08/06/10 0089096
TRULY
NOLEN INC
40.00
660000916
ST#32
PEST CNTRL
GM
00603
03/11
AP
08/24/10 0089096
TRULY
NOLEN INC
50.00
660000917
ST#93
PEST CNTRL
GM
00603
03/11
AP
08/27/10 0089096
TRULY
NOLEN INC
55.00
660000915
ST#70
PEST CNTRL
GM
00712
04/11
AP
09/03/10 0089278
TRULY
NOLEN INC
40.00.
660002949
ST#32
PEST CNTRL
GM
00712
04/11
AP
09/14/10 0089278
TRULY
NOLEN INC
55.00
66002948
ST#70
PEST CNTRL
GM
0 860
04/11
AP
09/28/10 0089475
TRULY
,NOLEN INC
97.00
660005895
ST#32
PEST CNTRL
GM
00913
04/11
AP
09/29/10 0089475
TRULY
NOLEN INC
50.00
660002950
ST#93
PEST CNTRL
GM
00913.
04/11
AP
10/05/10 0089475
TRULY
NOLEN INC
40.00
660004939
ST#32
PEST CNTRL
GM
01096
05/11
AP
10/13/10 0089852
TRULY
NOLEN INC
55.00
660004938
ST#70
PST CONTROL
GM
01096
05/11
AP
10/26/10 0089852
TRULY
NOLEN INC
50.00
660004940
ST#93
PST CONTROL
.GM
01181
.06/11
AP
10/27/10 0090069
TRULY
NOLEN INC
67.00
660005949
ST#32
PST CNTRL
GM
01159
05/11
AP
11/01/10 0089852
TRULY
NOLEN INC
40.00
660006965
ST#32
PEST CNTRL
GM
01181
06/11
AP
11/08/10 0090069
TRULY
NOLEN INC
67.00
660007607
ST#32
PST CNTRL
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
Pmw�x223
PROGRAM
GM362LA
CITY
OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP
--------------------------------------=---------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE NUMBER
D E S C R
I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.42-20
Contract Services /
Pest Control
GM
01181
06/11
AP
11/16/10 0090069
TRULY
NOLEN INC
50.00
'
660006966
ST#93
PST CNTRL
GM
01560
AP
11/29/10 0090542
TRULY
NOLEN INC
55.00
.07/11
660006964
ST#70
PST CNTRL
GM
01560
07/11
AP
12/03/10 0090542
TRULY
NOLEN INC
67.00
•
660009644
ST#32
PST CNTRL
GM
01603
07/11
AP
12/28/10 0090542
TRULY
NOLEN INC
55.00
660008988
ST#70
PEST CONTROL
GM
01632
08/11
AP
01/07/11 0090721
TRULY
NOLEN INC
67.00
660011535 •
ST#32
PST CNTRL
GM
01643
08/11
AP
01/13/11 0090721
TRULY
NOLEN INC
55.00
660010899
ST#70
PST CNTRL
GM
01643
08/11
AP
O1/18/11 0090721
TRULY
NOLEN INC
50.00
660010901
ST#93
PST CNTRL
GM
01606
07/11
AJ
01/31/11 AJE 07-022
RECLASS TRULY NOLAN
50.00
GM
01802
08/11
AP
02/07/11 0090908
TRULY
NOLEN INC
67.00
660013355
ST#32
PEST CNTRL
GM
01878
09/11
AP
02/14/11 0091053
TRULY
NOLEN INC
55.00
660012735
ST#70
PEST CNTRL
GM
02045
09/11
AP
02/15/11 0091263
TRULY
NOLEN INC
50.00
'
660012737
ST#93
PEST CNTRL
GM
02156
10/11
AP
03/01/11 0091511
TRULY
NOLEN INC
67.00
660015155
NEW ST#32
GM
02248
10/11
AP
03/10/11 0091511
TRULY
NOLEN INC
55.00
660014569
ST#70
PEST CNTRL
GM
02248
10/11
AP
03/15/11 0091511
TRULY
NOLEN INC
50.00
660014571
ST#93
PEST CNTRL
GM
02316
10/11
AP
04/01/11 0091704
TRULY
NOLEN INC
67.00
660016920
ST#32
PEST CNTRL
GM
02558
11/11
AP
04/01/11 0092061
TRULY
NOLEN INC
67.00
660016920
NEW ST#32
GM
02424
11/11
AP
04/08/11 0091875
TRULY
NOLEN INC
50.00
660016318
FS#93/ADAMS-PST CNTRL
GM
02616
11/11
AP
04/20/11 0092061
TRULY
NOLEN INC
205.00
660016316
ST470
PEST CNTRL
GM
0*2728
12/11
AP
05/06/11 0092289
TRULY
NOLEN INC
67.00
660018782
ST#32
PEST CNTRL
GM
02735
12/11
AP
05/12/11 0092289
TRULY
NOLEN INC.
50.00
660018218
ST#93
PEST CNTRL
GM
02735
12/11
AP
05/18/11 0092289
TRULY
NOLEN INC
55.00
660018216
ST#70
PEST CNTRL
GM
02955
12/11
AP
06/08/11 0092576
TRULY
NOLEN INC
67.00
660020732
ST#32
PEST CNTRL
GM
02997
12/11
AP
06/10/11 0092576
TRULY
NOLEN INC
50.00
660020166
ST#93
PEST CNTRL
GM
02955
12/11
AP
06/17/11 0092576
TRULY
NOLEN INC
55.00
660020165
ST#70
PEST CNTRL
CR
02892
12/11
CR
06/21/11 0021944
TRULY
NOLEN REFUND
150.00
MANCILLA 06/21/11 01
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER __._VITY LISTING Pi..___224
PROGRAM GM362LA
CITY -OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG —-TRANSACTION ---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5055-422.42-20 Contract Services / Pest Control
GM 03047 12/11 AJ 06/30/11 AJE 12-072 ACCRUED REVENUE FY 10/11
ACCOUNT TOTAL
101-5055-422.43-61
Maintenance & Repair
/ Fire Station
GM
00105
01/11
AP
07/07/10
0088231
MASTERS ENVIRONMENTAL
•
1636
ST#32/PWTRAILER
GM
00157
01/11
AP
07/09/10
0088283
DOOR PROS
50283
ST#93 DOOR REPAIR
GM
00259
02/11
AP
07/19/10
0088476
HOARD INC, HUGH
58773
ST#93 A/C MAINT
GM
00189
01/11
AP
07/21/10
0088360
BUDGET -AIR HEATING & AIR
604
A/C SERVICE
GM
00189
01/11
AP
07/21/10
0088360
BUDGET -AIR HEATING & AIR
605
ST#93 COOLER SVC
GM
00275
02/11
AP
07/23/10
0088449
ADVANTAGE -FITNESS PRODUCT
SI -128735
ST#93 EQUIP R&M
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
7023952•
ST#70 SUPPLIES
GM
00514
03/11
AP
08/18/10
0088789
BEST APPLIANCE
C48313
ST#70 R&M
GM
0876
04/11
AP
09/01/10
0089346
DOOR PROS
9110
ST#70 REPAIR
GM
00624
03/11
AP
09/23/10
0088975
ACE HARDWARE
107711
FIRE ST/PUBLIC BLDG
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
960039
ST#32 R&M
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
6020971
ST#70 R&M
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
5183266
ST#70 R&M
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
3022252
ST#70 R&M
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
3564549
ST#93 R&M
GM
01001
05/11
AP
10/25/10
0089644
ROOF TILE SPECIALTY INC
5481
ST#70 ROOF REPAIR
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
6024942
ST#93 BLOWER
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
5102259
ST#93 BLOWER
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
5194468
ST#93 BLOWER
GM
01096
05/11
AP
11/08/10
0089800
JOHNSON POWER SYSTEMS
SW030101691
ST#70 GENERATOR R&M
GM
01096
05/11
AP
11/08/10
0089800
JOHNSON POWER SYSTEMS
SW030101692
ST#93 GENERATOR R&M
GM
01246
06/11
AP
11/08/10
0089924
ACE HARDWARE
2,417.00
1,045.00
797.50
386.43
346.00
195.00
722.34
81.53
325.38
125.00
56.19
5.37
2.68
21.30
13.07
10.73
2,286.00
43.47
107.66
312.39
379.31
4.88
67.00
217.00
43.47
2,200.00
00
PREPARED
u„ +7/2014,
10:19:00
GENERAL LEDGER MV,,VITY
LISTING
Pl.___225
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND•101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE'
NUMBER D E
S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-5055-422.43-61
Maintenance & Repair /
Fire Station
108370
ST#70
GM
01265
06/11
AP
11/22/10
0090057
SUN APPLIANCES SERVICES
194.25
146722
ST#93 R&M
GM
01362
06/11
AP
12/10/10
0090185
DOOR PROS
1,225.00
467
ST#93 DOOR REPAIR
GM
01560
07/11
AP
12/15/10
0090483
GRAINGER
235.17
9418140902
ST#70 R&M
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
12.95
904798
R&M
GM
03420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
17.16
920105
ST#32 R&M
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
11.33
920104
ST#32 R&M
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
10.83
927854
R&M
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
23.29
6119385
ST#32 R&M
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
80.45
2110233
ST#32 R&M
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
16.28
2195650
RETURN CREDIT
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
13.82
4112000
ST#32 R&M
GM
01603
07/11
AP
12/31/10
0090469
DUNN-EDWARDS CORPORATION
26.97
'
2079110741
ST#32 R&M
GM
01547
07/11
AP
01/03/11
0090411
WELLS FARGO BUSINESS CARD
32.59
3072
VISA CARD PYMT
GM
01643
08/11
AP
01/11/11
0090685
MAPLE LEAF PLUMBING
313.96
316722
ST#70 R&M
GM
02003
09/11
AP
O1/11/11
0091085
MAPLE LEAF PLUMBING
313.96
316722
ST#70 R&M
GM
01643
08/11
AP
01/13/11
0090685
MAPLE LEAF PLUMBING
192.96
316733
ST#70 R&M
GM
02003
09/11
AP
01/13/11
0091085
MAPLE LEAF PLUMBING
192.96
316733
ST#70 R&M
GM
01629
07/11
AP
01/14/11
0090569
MCKINZIE ELECTRICAL CONTR
150.00
706
ST#70 ELECTRICAL
GM
01692
08/11
AP
01/25/11
0090606
LOWEIS HOME IMPROVEMENT W
1.94
913361
ST#70 R&M
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
3.83
960773
ST#93 R&M
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
4.95
920357
RETURN CREDIT
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
4.48
966386
ST#32 R&M
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
7.01
7197024
RETURN CREDIT
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
10.28
7569607
ST#32 R&M
_
PREPARED
.,.7/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
Pl.__-226
PROGRAM
GM362LA
CITY OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------=-------------------------------------------------------------------------------------------------------------------------=--
PER.
CD
DATE
NUMBER D E
S C R I P T I O N
DEBITS
CREDITS BALANCE
101-5055-422.43-61
Maintenance & Repair /
Fire Station
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
4.94
27521
ST#93 R&M
GM
01962
09/11
AP
02/02/11
0090995
DUNNEDWARDS CORPORATION
98.56
2079113740
ST#70 MAINT/PAINT
GM
01951
09/11
AP
02/08/11
0090989
CONSOLIDATED ELECTRICAL D
111.45
5725657521
ST#93 R&M
GM
01962
09/11
AP
02/11/11
0091014
JOHNSON MACHINERY CO.
345.00
SW030103234
ST#93 GENERATOR R&M
GM
02045
09/11
AP
02/24/11
0091155
ACE HARDWARE
10.86
107154
ST#32 R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
13.47
•
927082
ST#32 R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
18.47
927091
ST#32 R&M
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
13.47
927089
RETURN CREDIT
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
112.09
7024896
ST#32 R&M
GM
02248
10/11
AP
03/01/11
0091359
ACE HARDWARE
15.98
107232
ST#32 R&M
GM
02022
09/11
AP
03/03/11
0091149
WELLS FARGO BUSINESS CARD
518.00
3072
VISA CARD PYMT
GM
02077
09/11
AP
03/03/11
0091255
SUN APPLIANCES SERVICES
188.42
149449
ST#93 R&M
GM
02000
09/11
AP
03/09/11
0090685
MAPLE LEAF PLUMBING
313.96
316722
ST#70 R&M
GM
02000
09/11
AP
03/09/11
0090685
MAPLE LEAF PLUMBING
192.96
316733,
ST#70 R&M
GM
02198
10/11
AP
03/14/11
0091514
US AIR CONDITIONING DISTR
115.23
7339851
ST#93 R&M
GM
02302
10/11
AP
03/16/11
0091706
US AIR CONDITIONING DISTR
31.54
7343385
ST#32 R&M FILTERS
GM
02316
10/11
AP
03/16/11
0091706
US AIR CONDITIONING DISTR
11.53
7343384
ST#93 R&M
GM
02077
09/11
AP
03/18/11
0091155
ACE HARDWARE
5.84
107002
FIRE ST R&M`
GM
02288
10/11
AP
03/30/11
0091552
SPEEDY AC & HEATING
1,600.00
33011
AC COMPRESSOR
GM
02288
10/11
AP
04/03/11
0091545
M,A Y PLUMBING
75.00
76303
ST#32 CLRD DRAIN
GM
02435
11/11
AP
04/04/11
0091811
DUNN-EDWARDS CORPORATION
26:10
2079119354
ST#70 PAINT
GM
02435
11/11
AP
04/21/11
0091877
US AIR CONDITIONING DISTR
131.15
7389.766
ST#70 PLEATED MERV
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
91.07
7030157
ST#70 R&M
GM
02513
11/11
AP
05/04/11
0091864
SILVERROCK RESORT
45.00
5411
APR'll SALES TAX
GM
02735
12/11
AP
05/11/11
0092164
ACE HARDWARE
33.68
PREPARED .-7/2014,
10:19:00
GENERAL LEDGER--VITY
LISTING
Pti__-227
PROGRAM GM362LA
AJ
09/30/10
AJE 09-041
RECLASS INSURANCE EXPENSE
GM
CITY OF LA QUINTA, CALIFORNIA
04/11
AP
10/04/10
0089205
------------------------------------------•---------------------------------•----------------------------------------------------------
FUND 101 General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
GM
00784
04/11
/ENDING
APP NUMBER PER.
---------=--------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-5055-422.43-61
Maintenance & Repair /
Fire Station
AVE52 FIRE ST INSUR
GM
01757
08/11
108703'
ST#70 R&M
0090747
HAYWARD TILTON & ROLAPP I
GM 02694 12/11
AP
05/19/11 0092221
JOHNSON POWER SYSTEMS
170.00
EARTHQUAKE INSUR
SW030105172
ST#93 GEN MAINT
GM 02694. 12/11
AP
05/19/11 0092221
JOHNSON POWER SYSTEMS
172.09
SW030105171
ST#70 GEN MAINT
GM 02694 12/11
AP
05/19/11 0092221
JOHNSON POWER SYSTEMS
200.00
SW030105173
ST#32 GEN MAINT
GM 03021 12/11
AP
06/01/11 0092685
ACE HARDWARE
12.57
108924
OLD ST#32 MAINT
GM 02871 12/11
AP
06/21/11 0092370
FAST FRAME
522.94
6087
ST#32 FLAG
GM 03010 12/11
AP
06/25/11 0092618
LOWE'S HOME IMPROVEMENT W
4.93
960950
ST#93 FILTER
ACCOUNT TOTAL
101-5055-422.51-33 Services & Supplies / Special Events
GM 00931 04/11 AP 10/27/10 0089492 EMBASSY SUITES
11/4/10 LQ POLICE/FIRE BQT
GM 01253 06/11 AP 12/02/10 0089922 WELLS FARGO BUSINESS CARD
.3072 VISA CARD PYMT
ACCOUNT TOTAL
101-5055-422.52-01 Insurance / Liability/SIR
ACCOUNT TOTAL
101-5055-422.52-04 Insurance / Property
GM 00762 03/11 AJ 09/30/10 AJE 09-041 RECLASS INSURANCE EXPENSE
ACCOUNT TOTAL
101-5055-422.52-13
Insurance
/ Earthquake/Flood
GM
00762
03/11
AJ
09/30/10
AJE 09-041
RECLASS INSURANCE EXPENSE
GM
00784
04/11
AP
10/04/10
0089205
HAYWARD TILTON & ROLAPP I
310757
AVE52 FIRE ST INSUR
GM
00784
04/11
AP
10/04/10
0089205
HAYWARD TILTON & ROLAPP I
310756
AVE52 FIRE ST INSUR
GM
01757
08/11
AP
01/31/11
0090747
HAYWARD TILTON & ROLAPP I
7264
EARTHQUAKE INSUR
15,009.99 603.43
1,105.44
75.00
1,180.44
2,967.00
2,967.00
8,759.00
453.27
2,230.20
14,028.87
14,406.56
.00
1,180.44
.00
.00
.00
2,967.00
.00
ACCOUNT TOTAL 25,471.34 25,471.34
PREPARED w,,,7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING Pj,--.228
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------ I ---------------------------------------------------------- ---------------------------------
101-5055-422.53-01 Services & Supplies / Printing
ACCOUNT TOTAL
101-5055-422.53-03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-5055-422.53-04 Services & Supplies / Subscriptions/Publication
ACCOUNT TOTAL
101-5055-422.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-5055-422.53-25 Services & Supplies / Supplies - Software
GM 01902 08/11 AJ 02/28/11 AJE 08-036 RECLASS EOC SOFTWARE
ACCOUNT TOTAL
101-5055-422.56-55
Services & Supplies /
Small Tools/Equipment
GM
01096
05/11
AP
11/02/10 0089841
STAPLES ADVANTAGE
3144887373
ST#32 SUPPLIES
GM
01096
05/11
AP
11/02/10 0089841
STAPLES ADVANTAGE
3144887374
ST#32 SUPPLIES
GM
01096
05/11
AP
11/05/10 0089841
STAPLES ADVANTAGE
3144959948
ST#32 SUPPLIES
GM
01096
.05/11
AP
11/05/10 0089841
STAPLES ADVANTAGE
3144959947
ST#32 SUPPLIES
GM
01253
06/11
AP
11/28/10 0089910
HOME DEPOT CREDIT SERVICE
8571761
ST#70 MICROWAVE
GM
01262
06/11
AP
12/01/10 0090053
STAPLES ADVANTAGE
3146195101
OFFICE SUPPLIES
GM
01547
07/11
AP
01/03/11 0090411
WELLS FARGO BUSINESS CARD
3072
VISA CARD PYMT
GM
02136
10/11
AP
01/31/11 0091423
GRAINGER
9450451621
ST#32 EQUIPMENT
GM
02302
10/11
AP
02/28/11 0091657
LOCK SHOP INC, THE
BB00512738
NEW ST#32 PIV KEY
GM
02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT W
918632
ST#70 SMALL TOOLS
GM
02538
11/11
AP
04/25/11 0091905
LOWE'S HOME IMPROVEMENT W
966959
FS#70 FLR CLEANER
4,952.00
4,952.00
315.94
263.12
256.66
89.65
162.04
34.26
168.28
739.81
17.62
20.63
164.34
.00
.00
.00
.00
.00
.00
.00
.00
.00
4,952.00
.00
ACCOUNT TOTAL 2,232.35 -- 2,232.35
PREPARED v,..7/2014, 10:19:00 GENERAL LEDGER mV,,VITY LISTING Pk --.229
PROGRAM GM362LA'
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D•E S C R I.P T I 0 N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------•----------------------- ------------------------ -------
101-5055-422.71-01 Capital / Machinery & Equipment
GM 00367 03/11 AP 08/07/10 0088780 ADVANTAGE FITNESS PRODUCT 4,655.48
SI -129460 ST#70 ELLIPTICAL
. ACCOUNT TOTAL 4,655.48•
101-5055-422.71-02 Capital / Furniture
ACCOUNT TOTAL
101-5055-422.71-03 Capital / Vehicles
ACCOUNT TOTAL
101-5055-422.91-11
Reimbursed
to Gen Fund
/ Personnel
GM
00010
GM
00414
01/11
AJ
07/31/10
JE
01-051
CORR JUL110
GF REIMB
6,834.00
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
6,834.00
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
6,834.00
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
61834.00
GM
01187'
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
6,834.00
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
6,834.00
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
6,834.00
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
6,834.00
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
6,834.00
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
6,834.00
GM
02743
11/11
AJ
05/31/11
JE
11-044•
MONTHLY
GF
REIMB
6,834:00
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
6,834.00
ACCOUNT TOTAL 82,008.00
101-5055-422.92-11
Other Charges / Fleet
Maint Program Chrgs
GM
00010
01/11
AJ
07/06/10
JE 01-004
-EQUIP REPLCMNT FY10/11
11,110.00
GM
00181
01/11
AJ
07/27/10
JE 01-023
EQUIP REPL EXP 10/11 BDGT
11,110.00
GM
00184
01/11
AJ
07/27/10
JE 01-025
REVR JE 01-023 DUPL ENTRY
11,110.00
ACCOUNT TOTAL
22,220.00 11,110.00
101-5056-425.10-01
Salaries
& Wages•/ Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
3,235.01
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
2,587.99
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
4,738.49
PR
01137
05/11
AJ
11/24/10-
PR1124
PAYROLL SUMMARY
2,934.20
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL SUMMARY
2,934.20
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL SUMMARY
2,934.20
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL SUMMARY
3,521.05
.00
4,655.48
.00
.00
.00
00
.00
82,008.00
.00
11,110.00
.00
PREPARED u,ii7/2014, 10:19:00 GENERAL -LEDGER ht:.LVITY LISTING PJ -1230
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101•General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-5056-425.10-01 Salaries & Wages / Permanent Full Time
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PRO$04
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
PR
02625.
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-5056-425.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-5056-425.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-5056-425.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-5056-425.10-30 Salaries & Wages / Employee Recognition
ACCOUNT TOTAL
101-5056-425.20-01 Employee Benefits / PERS-City Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
2,934.20
2,934.20
2,934.20
2,934.20
2,934.20
2,934.20
2,934.20
2,934.20
2,934.20.
2,934.20
2,934.20
2,934.20
2,640.80
58,148.35
332.01
332.01
301.14
301.14
301.14
301.14
301.14
301.14
301.14
301.14
2,587.99
265.61
55,560.36
.00
.00
.00
.00
.00
.00
.00
.00
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PREPARE
/17/2014,
10:19:00
GENERAL LEDGER ACTIVITY
LISTING
PAGE1235
PROGRAM
GM362LA
07/09/10
PR0709
PAYROLL
SUMMARY
46.91
PR
00007
CITY OF LA
QUINTA, CALIFORNIA
07/09/10
PR0709
PAYROLL
SUMMARY
37.53
PR
--------------------------------------------------------------------------------=---------------------------------------------------
FUND 101
General
Fund
07/23/10
PR0723
PAYROLL
SUMMARY
68.71
BEGINNING
GROUP
ACCTG
----TRANSACTION----
11/24/10
PR1124
PAYROLL
SUMMARY
42.55
/ENDING
APP NUMBER
PER.
CD
DATE
NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
-----------
BALANCE
------
101-5056-425.25-01
06/11
Workers
Comp Insurance
/ Workers
Comp Insurance
SUMMARY
42.55
PR 01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
86.56
51.06
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
103.87
42.55
PR 01561
07/11
AJ
01/21/11
PRO121.
PAYROLL
SUMMARY
86.56
42.55
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
86.56
42.55
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
86.56
42.55
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
86.56
42.55
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
86.56
42.55
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
86.56
42.55
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
86.56
42.55
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
86.56
42.55
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
86.56
42.55
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
86.56
42.55
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
86.56
42.55
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
86.56
38.30
GM 03023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
857.16
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
77.90
ACCOUNT TOTAL
101-5056=425.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
1,715.39 933.50
781.89
.00
.00
101-5056-425.27-03
Other Benefits & Deduc.
/ Medicare
.00
PR
Ob007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
46.91
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
37.53
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
68.71
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
42.55
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
42.55
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
42.55
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
51.06
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
42.55
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
42.55
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
42.55
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
42.55
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
42.55
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
42.55
PR
02253
10/11
AJ
-04/15/11
PR0415
PAYROLL
SUMMARY
42.55
PR
0Z348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
42.55
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
42.55
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
42.55
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
42.55
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
42.55
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
38.30
ACCOUNT TOTAL
843.23' 37.53 805.70
PREPARE /17/2014, 10:19:00 GENERAL LEDGER ACTIVITY LISTING PAGE1236
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-5056-425.32-10 Contract Services / Professional .00
ACCOUNT TOTAL
101-5056-425.33-43 Contract Services /
GM 00605 03/11 AP 09/01/10 0088952
3072
GM 01420 07/11 AP 12/28/10 0090253
10-1461
GM 01758 07/11 AJ 01/31/11 AJE 07-046
GM 01793 08/11 AP 02/04/11 0090778
1624103
GM 02003 09/11 AP 03/04/11 0091073
1624103
GM 02288 10/11 AP 04/04/11 0091533
1624103
GM 02350 10/11 AP 04/07/11 0091625
9871
GM 02435 11/11 AP 04/27/11 0091806
653411006
GM 02538 11/11 AP 05/04/11 0091894
1624103
GM 02808 12/11 AP 06/04/11 0092316
825570708164210
ACCOUNT TOTAL
Instructors
WELLS FARGO BUSINESS CARD
VISA CARD PYMT
DEPICTION INC
MAPPING SOFTWARE
RECLASS DISH TV TO EOC
DISH NETWORK
DISH TV 2/13-3/12
DISH NETWORK
DISH TV 3/13-4/12
DISH NETWORK
DISH TV 4/13-5/12
EMERGENCY COMMUNICATIONS.
CODE RED NOTIFICATION
COMSERCO COMMUNICATIONS I
VHF REPEATER
DISH NETWORK
DISH TV 5/13-6/12
DISH NETWORK
DISH TV EOC
101=5056-425.34-04•Contract Services / Technical
ACCOUNT TOTAL
101-5056-425.41-25
Service 8 Supplies /
Telephone - Mobile
GM
01037
05/11
AJ
11/30/1b AJE 05-009
RECLASS TO EMERGENCY SVCS
GM
01629
07/11
AP
01/14/11 0090568
LIGHTSQUARED
LP
1000085795
SATELLITE PH
1/14-2/13
GM
01480
07/11
AJ
01/31/11 AJE 07-003
RECLASS SATELLITE PHONE
GM
01573
07/11
AJ
01/31/11 AJE 07-009
RECLASS SATELLITE PHONE
GM
01909
09/11
AP
02/14/11 0090950
LIGHTSQUARED'LP
1000085795
SATELLITE PH
2/14-3/13
GM
02177
10/11
AP
03/14/11 0091316
LIGHTSQUARED
LP
1000085795
SATELLITE PH
3714-4/13
GM
02468
11/11
AP
04/14/11 0091765
LIGHTSQUARED
LP
1000085795
SATELLITE PH
4/14-5/13
GM
02702
12/11
AP
05/14/11 0092125
LIGHTSQUARED
LP
1000085795
SATELLITE PH
5/14-6/13
GM
03010
12/11
AP
06/14/11 0092617
LIGHTSQUARED
LP
1000085795
SATELLITE PH
6/14-7/13
615.58
1,204.70
220.62
51.78
51.78
51.78
15,000.00
2,629.90
51.78
51.78
19,929.70
587.28
147.82
146.48
146.48
147.82
147.82
147.50
147.50
147.50
.00
00
19,929.70
.00
.00
.00
PREPARE /17/2014, 10:19:00 GENERAL LEDGEK ACTIVITY LISTING PAGE1237
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101•General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE - NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-5056-425.41-25 Service & Supplies / Telephone - Mobile
ACCOUNT TOTAL • 1,766.20 1,766.20
101-5056-425.43-90 Other Services / Repair & Maint EOC
ACCOUNT TOTAL
101-5056-425.44-01 Rental Services / Equipment rental
ACCOUNT TOTAL
101-5056-425.51-01 Services & Supplies / Travel & Training
GM
02127
09/11
AP
03/22/11
0091281
HESS, PAUL
REIMB
MATERIALS/TRAINING
GM
02177
10/11
AP
03/28/11
0091312
HESS, PAUL
REIMB
TRAINING SUPPLIES
GM
02225
10/11
AP
04/04/11
0091346.
HESS, PAUL
REIMB
CERT SUPPLIES
GM
02916
12/11
AP
06/23/11
0092474
PROJECTOR TEAM
11-1186
EOC PROJECTOR
GM
03024
12/11
AP
07/12/11
0092737
SILVERROCK RESORT
97829622
4TH QTR SALES TX
ACCOUNT TOTAL
101-5056-425.51-02 Services & Supplies / Vehicle Reimbursement
ACCOUNT TOTAL
101-5056-425.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-5056-425.53-01 Services & Supplies / Printing
GM 02588 11/11 AP 04/29/11 0091936 HESS, PAUL
REIMB OFFICE MAX EPCO
ACCOUNT TOTAL
101-5056-425.53-03 Services & Supplies / Membership Dues
GM 00272 01/11 AJ 07/31/10 AJE 01-011 REVERSE PREPAID ITEMS
GM 01246 06/11 AP 11/09/10 0089949 CESA-SOUTHERN CHAPTER
199.54
126.53
49.56
2,499.°00
219.00
3,093.63
84.83
84.83
200.00
55.00
.00
.00
.00
.00
.00
3,093.63
.00
.00
.00
.00
.00
84.83
.00
PREPARE /17/2014, 10:19:00 GENERAL LEDGEK AuTIVITY LISTING PAGE1238
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------ ------------- ------ ---------- —Mm ------------ -------- ----=---------------------------- ----------------------
101-5056-425.53-03 Services & Supplies / Membership Dues
1110219 MEMBERSHIP
•
ACCOUNT TOTAL
255.00
255.00
101-5056-425.53-04
Services & Supplies /
Subscriptions/Publication
.00
ACCOUNT TOTAL
.00
101-5056-425.53-05
Services & Supplies /
Training & Education
.00
ACCOUNT TOTAL
.00
101-5056-425.54-01
Services & Supplies /
Information Tech Charges
.00
ACCOUNT TOTAL
.00
101-5056-425.56-01
Services & Supplies /
Office -Supplies
.00 '
GM 02735 12/11 AP
12/13/10 0092196
DESERTARC
122.24
TCGQ5357
EMER SVC SHIRTS
ACCOUNT TOTAL
122.24
122.24
101-5056-425.56-31
Services & Supplies /
Disaster Prep Supplies
.00
GM 01841 08/11 AP
02/19/11 0090934
SURVIVAL MODE
900.00
21911
EARTHQUAKE KITS
GM 02225 10/11 AP
04/04/11 0091335
AVANT STUDIOS
1,049.44
101402
OPERATING SUPPLIES
GM 02225 10/11 AP
04/04/11 0091335
AVANT STUDIOS
200.00
101401
OPERATING SUPPLIES
GM 02588 11/11 AP
04/11/11 0091927•
AVANT STUDIOS
1,249.44
110402
DISASTER PREP BK
GM 02588, 11/11 AP
04/29/11 0091936
HESS, PAUL
29.33
REIMB
OFFICE MAX EPCO
GM 02740 12/11 AP
06/08/11 0092138
AVANT STUDIOS
1,239.75
110606
PREP BKS-EMPG
GM 02740 12/11 AP
06/08/11 0092138
AVANT STUDIOS
1,256.06
110605
PREP BKS-EMPG
GM 02916 12/11 AP
06/29/11 0092476
SURVIVAL MODE
1,295.00
062911
CERT SUPPLIES
GM 02998 12/11 •AP
06/29/11 0092559
QUAKE SAFE KITS
1,341.43
6278
CERT SUPPLIES
ACCOUNT TOTAL
8,560.45
8,560.45
PREPARE /17/2014,
10:19:00
GENERAL LEDGEK ALTIVITY LISTING
PAGE1239
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101•General Fund
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
---------------------------------------------------------------------------------------------------------------=--------------------
DATE NUMBER D
E S C R I P T I O N DEBITS
CREDITS
BALANCE
101-5056-425.71-01
Capital Purchases / Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-5056-425.71-02
Capital Purchases / Furniture
.00
ACCOUNT TOTAL
.00
101-5056-425.71-03
Capital Purchases / Vehicles
.0.0
ACCOUNT TOTAL
.00•
101-5056-425.92-11
Other Charges / Fleet
Maint Program Chgs
,.00
ACCOUNT TOTAL
.00
101=6000-322.22-00
Non -Business Licenses
/ Building Moving Permit
.00
ACCOUNT TOTAL
.00
101-6000-322.22-50
Building Moving Permit
/ Discount
.00
ACCOUNT TOTAL
.00
101-6000-322.24-00
Non -Business Licenses
/ Conditional Use Permit
.00
PZ 01523 07/11 AJ
O1/10/11 PZ
PZ RECEIPTS
750.00
PZ 01774 08/11 AJ
02/10/11 PZ
PZ RECEIPTS
2,000.00
PZ 02447 10/11 AJ
04/29/11 PZ
PZ RECEIPTS
2,000.00
PZ 02671 11/11 AJ
05/25/11 PZ
PZ RECEIPTS
2,000.00
PZ 02687 11/11 AJ
05/31/11 PZ
PZ RECEIPTS
2,000.00
ACCOUNT TOTAL
8,750.00
8,750.000R
101-6000-322.24-50
Conditional Use Permit
/ Discount
.00
PZ 00041 01/11 AJ
07/06/10 PZ
PZ RECEIPTS
375.00
ACCOUNT TOTAL
375.00
375.00CR
101-6000-322.26-00
Non -Business Licenses
/ Minor Use Permit
.00
PZ 00027 01/11 AJ
07/01/10 PZ
PZ RECEIPTS
75.00
PZ 00168 01/11 AJ
07/23/10 PZ
PZ RECEIPTS
75.00
PZ O9430 02/11 AJ
08/20/10 PZ
PZ RECEIPTS
75.00
PREPARE /17/2014, 10:19:00 GENERAL LEDGEK AuTIVITY LISTING PAGE1240
PROGRAM GM362LA
CITY. OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------
FUND 101 -General Fund BEGINNING.
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------------=-----------------------------------------------------------------------------------------------------=------ -------
101-6000-322.26-00
Non -Business Licenses
/ Minor Use Permit
PZ
00459
02/11
AJ
08/23/10 PZ
PZ RECEIPTS
75.00
PZ
00533
03/11
AJ
09/02/10 PZ
PZ RECEIPTS
75.00
PZ
01127
05/11•
AJ
11/15/10 PZ
PZ RECEIPTS
75.00
PZ
01219
05/11
AJ
11/29/10 PZ
PZ RECEIPTS
75.00
GM
01272
06/11
AP
11/29/10 0089981
HANSON, KRISTI W INC
67.50
100.00
PZ
00151
01/11
2010-1023
PERMIT REIMB
PZ
PZ
02431
10/11
AJ
04/27/11 PZ
PZ RECEIPTS
75.00
PZ
02455
11/11
AJ
05/02/11 PZ
PZ RECEIPTS
75.00
PZ
02716
12/11
AJ
06/02/11 PZ
PZ RECEIPTS
75.00
PZ
02723
12/11
AJ
06/03/11 PZ
PZ RECEIPTS
75.00
PZ
02776
12/11
AJ
06/08/11 PZ
PZ RECEIPTS
75.00
PZ
PZ
RECEIPTS
500.00
ACCOUNT TOTAL
00296
67.50 900.00
101-6000-322.26-50 Minor Use Permit / Discount
ACCOUNT TOTAL
101-6000-322.28-00
Non -Business
Licenses / Sign Permit
PZ
OD034
01/11
AJ
07/02/10
PZ
PZ
RECEIPTS
100.00
PZ
00041
01/11
AJ
07/06/10
PZ
PZ
RECEIPTS
100.00
PZ
00121
01/11
AJ
07/15/10
PZ
PZ
RECEIPTS
100.00
PZ
00143
01/11
AJ
07/20/10
PZ
PZ
RECEIPTS
100.00
PZ
00151
01/11
AJ
07/21/10
PZ
PZ
RECEIPTS
100.00
PZ
00175
01/11
AJ
07/26/10
PZ
PZ
RECEIPTS
100.00
PZ
00208
01/11
AJ
07/28/10
PZ
PZ
RECEIPTS
500.00
PZ
00208
01/11
AJ
07/28/10
PZ
PZ
RECEIPTS
300.00
PZ
00296
02/11
AJ
08/10/10
PZ
PZ
RECEIPTS
500.00
PZ
00296
02/11
AJ
08/10/10
PZ
PZ
RECEIPTS
100.00
PZ
00315
02/11
AJ
08/12/10
PZ
-PZ
RECEIPTS
100.00
PZ
00401
02/11
AJ
08/19/10
PZ
PZ
RECEIPTS
100.00
PZ
00459
02/11
AJ
08/23/10
PZ
PZ
RECEIPTS
100.00
PZ
00459
02/11
AJ
08/23/10
PZ
PZ
RECEIPTS
100.00
PZ
00586
03/11
AJ
09/10/10
PZ
PZ
RECEIPTS
100.00
PZ
00586
03/11
AJ
09/10/10
PZ
PZ
RECEIPTS
100.00
PZ
00756
04/11
AJ
10/01/10
PZ
PZ
RECEIPTS
100.00
PZ
00756
04/11
AJ
10/O1/10
PZ
PZ
RECEIPTS
100.00
PZ
00871
04/11
AJ
10/13/10
PZ
PZ
RECEIPTS
100.00
PZ
00888
04/11
AJ
10/15/10
PZ
PZ
RECEIPTS
100.00
PZ
00937
04/11
AJ
10/21/10
PZ
PZ
RECEIPTS
100.00
PZ
00966
04/11
AJ
10/26/10
PZ
PZ
RECEIPTS
100.00
PZ
00989
04/11
AJ
10/29/10
PZ
PZ
RECEIPTS
100.00
PZ
01011
05/11
AJ
11/01/10
PZ
PZ
RECEIPTS
100.00
PZ
01018
05/11
AJ
11/02/10
PZ
PZ
RECEIPTS
100.00
PZ
01052
05/11
AJ
11/04/10
PZ
PZ
RECEIPTS
100.00
PZ
01143
05/11
AJ
11/17/10
PZ
PZ
RECEIPTS
100.00
PZ
01288
06111
AJ
12/06/10
PZ
PZ
RECEIPTS
100.00
832.50CR L
.00
.00
.00
PREPARES
_..17/2014, 10:19:00
00263
02/11
GENERAL LEDGER AtfIVITY LISTING
PZ
PAGE1241
PROGRAM
GM362LA
PZ
00526
03/11
AJ
PZ
02275
10/11
CITY OF LA
QUINTA,
CALIFORNIA
11/11
AP
----r--------------------
FUND 101
General Fund'
-----------------------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C
R I P T I O N DEBITS
CREDITS
BALANCE .
101-6000-322.28-00
Non -Business Licenses
/ Sign
Permit
PZ
.01309
06/11
AJ
12/09/10
PZ
PZ
RECEIPTS
100.00
PZ
01323
06/11
AJ
12/13/10
PZ
PZ
RECEIPTS
100.00
PZ
01406
06/11
AJ
12/17/10
PZ
PZ
RECEIPTS
200.00
PZ
01430
06/11
AJ
12/21/10
PZ
PZ
RECEIPTS
100.00
PZ
01446
06/11
AJ
12/27/10
PZ
PZ
RECEIPTS
200.00
PZ
01467
06/11
AJ
12/30/10
PZ
PZ
RECEIPTS
100.00
PZ
01533
07/11
AJ
01/11/11
PZ
PZ
RECEIPTS
100.00
PZ
01651
07/11
AJ
01/25/11
PZ
PZ
RECEIPTS
100.00
PZ
01745
08/11
AJ
02/07/11
PZ
PZ
RECEIPTS
100.00
PZ
0181.4
08/11
AJ
02/14/11
PZ
PZ
RECEIPTS
100.00
PZ
01828
08/11
AJ
02/16/11
PZ
PZ
RECEIPTS
100.00
PZ
01882
08/11
AJ
02/24/11
PZ
PZ
RECEIPTS
100.00
PZ
01899
08/11
AJ
02/28/11
PZ
PZ
RECEIPTS
100.00
PZ
01899
08/11
AJ
02/28/11
PZ
PZ
RECEIPTS
100.00
PZ
01945
09/11
AJ
03/02/11
PZ
PZ
RECEIPTS
100.00
PZ
01996
09/11
AJ
03/08/11
PZ
PZ
RECEIPTS
100.00
PZ
02051
09/11
AJ
03/09/11
PZ
PZ
RECEIPTS
100.00
PZ
02064
09/11
AJ
03%11/11
PZ
PZ
RECEIPTS
100.00
PZ
02117
09/11
AJ
03/21/11
PZ
PZ
RECEIPTS
100.00,
PZ
02167
09/11
AJ
03/25/11
PZ
PZ
RECEIPTS
100.00
PZ
02173
09/11
AJ
03/28/11
PZ
PZ
RECEIPTS
100.00
PZ
02343
10/11
AJ
04/14/11
PZ
PZ
RECEIPTS
100.00
GM
02513
11/11
AP
05/03/11
0091848
PD
GROUP, INC/SIGN-A RAMA 100.00
2011-1503
REFUND
SIGN PERMIT
PZ
02517
11/11
AJ
05/09/11
PZ
PZ
RECEIPTS
100.00
PZ
02612
11/11
AJ
05/19/11
PZ
PZ
RECEIPTS
100.00
PZ
02680
11/11
AJ
05/26/11
PZ
PZ
RECEIPTS
100.00
PZ
02797
12/11
AJ
06/09/11
PZ
PZ
RECEIPTS
100.00
PZ
02858
12/11
AJ
06/17/11
PZ
PZ
RECEIPTS
100.00
PZ
02888
12/11
AJ
06/20/11
PZ
PZ
RECEIPTS
100.00
PZ
02970
12/11
AJ
06/27/11
PZ
PZ
RECEIPTS
100.00
ACCOUNT TOTAL
101-6000.-322.28-50 Sign Permit / Discount
101-6000-322.30-00
PZ
00263
02/11
AJ
PZ
00484
02/11
AJ
PZ
00526
03/11
AJ
PZ
02275
10/11
AJ
GM
02513
11/11
AP
ACCOUNT TOTAL
Non -Business Licenses /
08/05/10 PZ
08/26/10 PZ
09/01/10 PZ
04/07/11 PZ
05/04/11 0091834
08-00000300
ACCOUNT TOTAL
Site Development Permit
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
LOCKYER, SEAN AR & D LLC
REFUND 2008-908
100.00
1,000.00
1,000.00
6,900.00
2,000.00
2,000.00
2,000.00
2,000.00
8,000.00
6,800.000R.
.00
.00
.00
7,000.00CR
PREPARED .. ,.7/2014, 10:19:00 GENERAL LEDGER - ..VITY •LISTING P/._242
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA ,
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. 'CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------- ;
Site Development Permit / Discount
PZ 02964. 12/11 AJ 06/24/11 PZ PZ RECEIPTS
ACCOUNT TOTAL
101-6000-322.32-00 Non -Business Licenses / Site Devel Permit Amendmt
PZ 02762 12/11 AJ 06/06/11 PZ PZ RECEIPTS
ACCOUNT TOTAL
101-6000-322.32-50 Site Devel Permit Amendmt / Discount
PZ 00041 01/11 AJ 07/06/10 PZ PZ RECEIPTS
ACCOUNT TOTAL
1.01-6000-322.34-00 Non -Business Licenses / Site Dev Permit Extension
PZ 00610 03/11 AJ 09/14/10 PZ PZ RECEIPTS
PZ 01945 09/11 AJ 03/02/11 PZ PZ RECEIPTS
ACCOUNT TOTAL'
101-6000-322.34-50 Site Dev Permit Extension / Discount
PZ 01774 08/11 AJ 02/10/11 PZ PZ RECEIPTS
ACCOUNT TOTAL
101-6000-322.36-00 Non -Business
PZ 00034 01/11 AJ 07/02/10 PZ
PZ 00067 01/11 AJ 07/12/10 PZ
PZ 00143 01/11 AJ 07/20/10 PZ
PZ 00175 01/11 AJ 07/26/10 PZ
PZ 00247 02/11 AJ 08/03/10 PZ
PZ 00468 02/11 AJ 08/24/10 PZ
PZ 00510 02/11 AJ 08/31/10 PZ
PZ 00549 03/11 AJ 09/07/10 PZ
PZ 00641 03/11 AJ 09/16/10 PZ
PZ 00648 03/11 AJ 09/17/10 PZ
PZ 00857 04/11 AJ 10/11/10 PZ
PZ 00900 04/11 AJ 10/19/10 PZ
PZ 00900 04/11 AJ 10/19/10 PZ
PZ 01011 05/11 AJ 11/01/10 PZ
PZ 01018 05/11 AJ 11/02/10 PZ
PZ 01042 05/11 AJ 11/03/10 PZ
PZ 01052 05/11 AJ 11/04/10 PZ
PZ 01077 05/11 AJ 11/08/10 PZ
Licenses / Temporary Use Permit
PZ RECEIPTS
PZ RECEIPTS
PZ •RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
1,000.00
1,000.00
750.00
750.00
375.00
375.00
500.00
500.00
1,000.00
250.00
250.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
.00
1,000.00CR
.00
750.000R
.00
375.000R
.00
1,000.00CR
.00
250.000R
.00
PREPARED _ ,.7/2014, 10:19:00 GENERAL LEDGER _- VITY LISTING P/.__-243
PROGRAM GM362LA -
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- -------------------------------
101-6000-322.36-00 Non -Business
PZ 01113 05/11 AJ 11/10/10 PZ
PZ 01134 05/11 AJ 11/16/10 PZ
PZ 01226 05/11 AJ 11/30/10 PZ
PZ 01233 06/11 AJ 12/01/10 PZ
PZ 01288 06/11 AJ 12/06/10 PZ
PZ 01430 06/11 AJ .12/21/10 PZ
PZ 01453 06/11 AJ 12/28/10 PZ
PZ 01533 07/11 AJ O1/11/11 PZ
PZ 01667 07/11 AJ 01/27/11 PZ
PZ 01814 08/11 AJ 02/14/11 PZ
FZ 01828 08/11 AJ 02/16/11 PZ
PZ 01828 08/11 AJ 02/16/11 PZ
PZ 01835 08/11 AJ 02/17/11 PZ
PZ 01966 09/11 AJ 03/03/11 PZ
PZ 02070 09/11 AJ 03/14/11 PZ
PZ 02107 09/11 AJ 03/18/11 PZ
PZ 02262 10/11 AJ 04/05/11 PZ
PZ 02375' 10/11 AJ 04/20/11 PZ
PZ 02392 10/11 AJ 04/25/11 PZ
PZ 02447 10/11 AJ 04/29/11 PZ
PZ 02517 11/11 AJ 05/09/11 PZ
PZ 02532 11/11 AJ 05/10/11 PZ
PZ 02542 11/11 AJ 05/11/11 PZ
.PZ 02837 12/11 AJ 06/15/11 PZ
PZ 02888 12/11 AJ 06/20/11 PZ
PZ 02983 12/11 AJ 06/29/11 PZ
Licenses / Temporary Use Permit
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
PZ RECEIPTS
ACCOUNT TOTAL
101-6000-322.36-50 Temporary Use Permit / Discount
ACCOUNT TOTAL
101-6000-322.42-00 Non -Business Licenses / Minor Use Permit Disc.
ACCOUNT TOTAL
101-6000-322.44-00 Non -Business Licenses / Sign Permit Discount
ACCOUNT TOTAL
101-6000-322.50-00 Non -Business Licenses / Site Dev Pmt Exten Disc
ACCOUNT TOTAL
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
200.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
100.00
4,500.00
4,500.000R
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED -..-7/2014,
10:19:00
GENERAL LEDGER __VITY LISTING
Pj,_ 244
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING "
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D E
S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-6000-322.52-00
Non -Business Licenses /
Temp Use Pmt Discount
.00
"ACCOUNT TOTAL
•.00
101-6000-334.00-00
Intergovernment Revenues
/ State Grants
.00
ACCOUNT TOTAL
.00
101-6000-335.02-00
State Government Shared
/ State Mandated AB
939
.00
ACCOUNT TOTAL
.00
101-6000-341.50-00
General Government / Sales
Maps/Copies/Public.
.00
CR 00075 01/11 CR
07/13/10 0000484
COPY FEES/PUB WORKS
12.00
KBLONDELL 07/13/10
01
CR 00134 01/11 CR
07/19/10 0000683
COPIES
7.70
MMENDOZA 07/19/10
01
CR 00213 01/11 CR
07/29/10 0001030
ZONE MAP FEE-BARANOWSKI
13.00
MMENDOZA 07/29/10
01
CR 00268 02/11 CR
08/06/10 0001375
COPY FEES/GILL CO
24.00
KBLONDELL 08/06/10
01
CR 00547 03/11 CR
09/07/10 0002566
TANNAHILL/COPIES
21.05
DMARTIN 09/07/10
01
CR 00615 03/11 CR
09/15/10 0003009
COPIES
31.90
MMENDOZA 09/15/10
01
CR 01148 05/11 CR
11/18/10 0006580
COPIES
12.50
MMENDOZA 11/18/10
01
CR 01489 07/11 CR
01/04/11 0008633
COPIES
11.00
MMENDOZA 01/04/11
01
CR 01772 08/11 CR
02/10/11 0011529
COPIES
13.00
MMENDOZA 02/10/11
01
CR 02098 09/11 CR
03/17/11 0014765
COPIES
14.45
MMENDOZA 03/17/11
01
CR 02329 10/11 CR
04/12/11 0017007
COPY FEES/SITKIN, P
1.25
KBLONDELL 04/12/11
01
CR 02846 12/11 CR
06/16/11 0021768
ZONE MAP FEE
12.00
MMENDOZA 06/16/11
01
ACCOUNT TOTAL
173.85
173.85CR
101:6000-343.01-00
Charges for Services /
Non -Profit Applications
.00
-ACCOUNT TOTAL
.00
101-6000-343.01-50
Non -Profit Applications
/ Discount
.00
S
PREPARED '-...7/2014, 10:19:00 GENERAL LEDGER ..... _VITY LISTING P/__.245
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.01-50 Non -Profit Applications / Discount
• ACCOUNT TOTAL .00
101-6000-343.02-00 Charges for Services / Appeals - Planning Commis .00
PZ 01113 05/11 AJ 11/10/10 PZ PZ RECEIPTS 175.00
ACCOUNT TOTAL 175.00 175.000R
101-6000-343.02-50 Appeals - Planning Commis / Discount
ACCOUNT TOTAL
101-6000-343.03-00 Charges for Services / Appeals -City Council
ACCOUNT TOTAL
101-6000-343.03-50 Appeals -City Council / Discount
ACCOUNT TOTAL
101-6000-343.04-00 Charges for Services / Certificate of Compliance
ACCOUNT TOTAL
101-6000-343.04-50 Certificate of Compliance / Discount
ACCOUNT TOTAL
101-6000-343.05-00 Charges for Services / Zone Change
GM 01922' 09/11 AJ 03/02/11 AJE 09-006 TRF APPLICATION'FEES
ACCOUNT TOTAL
101-6000-343.05-50 Zone Change / Discount
ACCOUNT TOTAL
101-6000-343.06-00 Charges for Services / Condition Change
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
1,355.00
11355.00 1,355.000R
.00
.00
.00
.00
PREPARED ,.7/2014, 10:19:00 GENERAL LEDGER —VITY LISTING P'k...246
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------=--------------------=-----------
101-6000-343.06-50 Condition Change /Discount
ACCOUNT TOTAL
101-6000-343.07-00 Charges for Services / Day Care Large Family
ACCOUNT TOTAL
101-6000-343.07-50 Day Care Large Family / Discount
ACCOUNT TOTAL
. 0 0•
.00
.00
.00
.00
.00
101-6000-343.08-00 Charges for Services / Development Agreement .00
GM 00442 02/11 AJ 08/31/10 JE 02-021 RECL DEV DEP 07-012 RFND 4,679.50
GM 02513 11/11 AP 05/04/11 0091880 VU BROTHERS LLC 2,250.00
08-01600004 REFUND 2009-021
_ACCOUNT TOTAL 2,250.00 4,679.50 2,429.50CR,
101=6000-343.08-50 Development Agreement / Discount
ACCOUNT TOTAL
101-6000-343.09-00 Charges for Services / Envirommntl Assessment
PZ
00337
02/11
AJ
08/16/10
PZ
PZ
RECEIPTS
PZ
00526
03/11
AJ
09/01/10
PZ
PZ
RECEIPTS
GM
01922
09/11
AJ
03/02/11
AJE 09-006
TRF
APPLICATION FEES
PZ
02612
11/11
AJ
05/19/11
PZ
PZ
RECEIPTS
PZ
02964
12/11
AJ
06/24/11
PZ -
PZ
RECEIPTS
.ACCOUNT TOTAL
101-6000-343.09-50 Envirommntl Assessment / Discount
ACCOUNT TOTAL .
101-6000-343.10-00 Charges for Services / Envirommntl Impact Report
ACCOUNT TOTAL
101;6000-343.10-50 Envirommntl Impact Report / Discount
ACCOUNT TOTAL
.00
.00
.00
550.00
550.00
550.00
550.00
550.00
2,750.00 2,750.000R
.00
.00
.00
.00
.00
.00
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING Pk -247
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-6000-343.11-00 Charges for Services / General Plan Amendment
GM 01922 09/11 AJ 03/02/11 AJE 09-006 TRF APPLICATION FEES
ACCOUNT TOTAL
101-6000-343.11-50 General Plan Amendment / Discount
ACCOUNT TOTAL
.00
4,000.00
41000.00 • 4,000.00CR
101-6000-343.12-00
Charges
for Services
/ Home
Occupations
CE
00122
01/11
AJ
07/15/10
CE
CE
RECEIPTS
70.00
CE
00137
01/11
AJ
07/19/10
CE
CE
RECEIPTS
70.00
CE
00152
01/11
AJ
07/21/10
CE
CE
RECEIPTS
70.00
CE
00200
01/11
AJ
07/27/10
CE
CE
RECEIPTS
70.00
CE
00215
01/11
AJ
07/29/10
CE
CE
RECEIPTS
70.00
CE
00240
02/11
AJ
08/02/10
CE
CE
RECEIPTS
70.00
CE
00248
02/11
AJ
08/03/10
CE
CE
RECEIPTS
70.00
CE
00290
02/11
AJ
08/09/10
CE
CE
RECEIPTS
70.00
CE
00304
02/11
AJ
08/11/10
CE
CE
RECEIPTS
70.00
CE
00338
02/11
AJ
08/16/10
CE'
CE
RECEIPTS
70.00
CE
00380
02/11
AJ
08/18/10
CE
CE
RECEIPTS
70.00 `
CE
00460
02/11
AJ
08/23/10
CE
CE
RECEIPTS
35.00
CE
00478.
02/11
AJ
08/25/10
CE
CE
RECEIPTS
70.00
CE
00485
02/11
AJ
08/26/10
CE
CE
RECEIPTS
70.00
CE
00496
02/11
AJ
08/27/10
CE
CE
RECEIPTS
70.00
CE
00511
02/11
AJ
08/31/10
CE
CE
RECEIPTS
35.00
CE
00550
03/11
AJ
09/07/10
CE
CE
RECEIPTS
70.00
CE
00550
03/11
AJ
09/07/10
CE
CE
RECEIPTS
140.00
CE
00642
03/11
AJ
09/16/10
CE
CE
RECEIPTS
140.00
CE
00662
03/11
AJ
09/21/10
CE
CE
RECEIPTS
70.00
CE
00732
03/11
AJ
09/28/10
CE
CE
RECEIPTS
70.00
CE
00741
03/11
AJ
09/29/10
CE
CE
RECEIPTS
70.00
CE
00818
04/11
AJ
10/08/10
CE
CE
RECEIPTS
70.00
CE
00858
04/11
AJ
10/11/10
CE
CE
RECEIPTS
35.00
CE
OD865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
140.00
CE
00865
04/11
AJ
10/12/10
CE
CE
RECEIPTS
70.00
CE
00872
04/11
AJ
10/13/10
CE
CE
RECEIPTS
70.00
CE
00901
04/11
AJ
10/19/10
CE
CE
RECEIPTS
70.00
CE
00907
04/11
AJ
10/20/10
CE
CE
RECEIPTS
70.00
CE
00982
04/11
AJ
10/28/10
CE
CE
RECEIPTS
70.00
CE
01012
05/11
AJ
11/01/10
CE
CE
RECEIPTS
70.00
CE
01019
05/11
AJ
11/02/10
CE
CE
RECEIPTS
35.00
CE
01019
05/11
AJ
11/02/10
CE
CE
RECEIPTS
70.00
CE
01043
05/11
AJ
11/03/10
CE
CE
RECEIPTS
70.00
CE
01058
05/11
AJ
11/05/10
CE
CE
RECEIPTS
70.00
CE
01078
05/11
AJ
11/08/10
CE
CE
RECEIPTS
35.00
CE
01121
05/11
AJ
11/12/10
CE
CE
RECEIPTS
70.00
CE
01144
05/11
AJ
11/17/10
CE
CE
RECEIPTS
35.00
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER--VITY LISTING Pj,--.248
PROGRAM GM362LA
CITY.OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N
DEBITS CREDITS
101-6000-343.12-00
Charges
for Services
/ Home
Occupations
CE
01157
05/11
AJ
11/19/10
CE
CE
RECEIPTS
70.00
CE
01207
05/11
AJ
11/24/10
CE
CE
RECEIPTS
70.00
CE
01227
05/11
AJ
11/30/10
CE
CE
RECEIPTS
70.00
CE
01332
06/11
AJ
12/14/10
CE
CE
RECEIPTS
70.00
CE
01353
06/11
AJ
12/15/10
CE
CE
RECEIPTS
70.00
CE
01461
06/11
AJ
12/29/10
CE
CE
RECEIPTS
70.00
CE
01502
07/11
AJ
01/06/11
CE
CE
RECEIPTS
70.00
CE
01555
07/11
AJ
01/13/11
CE
CE
RECEIPTS
70.00
CE
01616
07/11
AJ
01/21/11
CE
CE
RECEIPTS
70.00
CE
01681
07/11
AJ
01/31/11
CE
CE
RECEIPTS
70.00
CE
01689
08/11
AJ
02/01/11
CE
CE
RECEIPTS
70.00
CE
01689
08/11
"AJ
02/01/11
CE
CE
RECEIPTS
70.00
CE
01725
08/11
AJ
02/02/11
CE
CE
RECEIPTS
70.00
CE
01731
08/11
AJ
02/03/11
CE
CE
RECEIPTS
140.00
CE
01731
08/11
AJ
02/03/11
CE
CE
RECEIPTS
70.00
CE
01746
08/11
AJ
02/07/11
CE
CE
RECEIPTS
70.00
CE
01775
08/11
AJ
02/10/11
CE
CE
RECEIPTS
140.00
CE
01829
08/11
AJ
02/16/11
CE
CE
RECEIPTS
70.00
CE
01862
08/11
AJ
02/23/11
CE
CE
RECEIPTS
140.00
CE
01929
09/11
AJ
03/01/11
CE
CE
RECEIPTS
70.00
CE
01976
09/11
AJ
03/04/11
CE
CE
RECEIPTS
70.00
CE
01990
09/11
AJ
03/07/11
CE
CE
RECEIPTS
70.00
CE
02094
09/11
AJ
03/16/11
CE
CE
RECEIPTS
70.00
CE
02094
09/11
AJ
03/16/11
CE
CE
RECEIPTS
140.00
CE
02146
09/11
AJ
03/23/11*
CE
CE
RECEIPTS
35.00
CE
02168
09/11
AJ
03/25/11
CE
CE
RECEIPTS
70.00
CE
02204
09/11
AJ
03/30/11
CE
CE
RECEIPTS
70.00
CE
02210'
09/11
AJ
03/31/11
CE
CE
RECEIPTS
70.00
CE
02216
10/11
AJ
04/01/11
CE
CE
RECEIPTS
70.00
CE
02325
10/11
AJ
04/11/11
CE
CE
RECEIPTS
70.00
CE
02331
10/11
AJ
04/12/11
CE
CE
RECEIPTS
70.00
CE
02369
10/11
AJ
04/19/11
CE
CE
RECEIPTS
140.00
CE
02441
10/11
AJ
04/28/11
CE
CE
RECEIPTS
70.00
CE
02462
11/11
AJ
05/03/11
CE
CE
RECEIPTS
70.00
CE
02505
11/11
AJ
05/06/11
CE
CE
RECEIPTS
70.00
CE
02518
11/11
AJ
05/09/11
CE
CE
RECEIPTS
70.00
CE
02533
11/11
AJ
05/10/11
CE
CE
RECEIPTS
105.00
CE
02584
11/11
AJ
05/17/11
CE
CE
RECEIPTS
70.00
CE
02700
11/11
AJ
05/27/11
CE
CE
RECEIPTS
70.00
CE
02688
11/11
AJ
05/31/11
CE
CE
RECEIPTS
70.00
CE
02777
12/11
AJ
06/08/11
CE
CE
RECEIPTS
140.00
CE
02812
12/11
AJ
06/10/11
CE
CE
RECEIPTS
70.00
CE
0289 5
12/11
AJ
06/21/11
CE
CE
RECEIPTS
70.00
CE
02971
12/11
AJ
06/27/11
CE
CE
RECEIPTS
70.00
CE
02977
12/11
AJ
06/28/11
CE
CE
RECEIPTS
70.00
CE
02984
12/11
AJ
06/29/11
CE
CE
RECEIPTS
70.00
BEGINNING
/ENDING
BALANCE
ACCOUNT TOTAL 6,300.00 6,300.000R
PREPARED 1-.._1/2014, 10:19:00 GENERAL LEDGER .- -VITY LISTING Pl.----149
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND;1O1 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD_ DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343•.12-50 Home Occupations / Discount .00
ACCOUNT TOTAL .00
101-6000-343.13=00
Charges
for Services
/ Lot
Line Adjustments
PZ
00459
02/11
AJ
08/23/10
PZ
PZ
RECEIPTS
CR
00457
02/11
CR
08/23/10
0001890
LOT
LINE ADJ/PLNG & PW/RI
KBLONDELL
08/23/10 01
GM
00919
04/11
AJ
10/31/10
AJE 04-018
LOT
LINE ADJUSTMENT
PZ
02487
11/11
AJ
05/04/11
PZ
PZ
RECEIPTS
PZ
02716
12/11
AJ
06/02/11
PZ
PZ
RECEIPTS
ACCOUNT TOTAL
101-6000-343.13-50 Lot Line Adjustments / Discount
ACCOUNT TOTAL
.00
250.00
100.00
350.00
350.00
350.00
1,400.00 1,40O.00OR
.00
.00.
101-6000-343.14-00 Charges for Services / Parcel Map .00
ACCOUNT TOTAL .00
101-6000-343.14-50 Parcel Map / Discount .00
PZ 02612 11/11 AJ 05/19/il PZ PZ RECEIPTS. 500.00
ACCOUNT TOTAL 500.00 .500.000R
101-6000-343.14-65 Parcel Map / Time Extension .00
ACCOUNT TOTAL .00
101-6000-343.14-70 Parcel Map / Time Extension Discount
ACCOUNT TOTAL
101-6000-343.15-00 Charges for Services / Parcel Map Minor Change
ACCOUNT TOTAL
.00
.00
.00
.00
101-6000-343.15-50 Parcel Map Minor Change / Discount .00
ACCOUNT TOTAL .00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER--.-VITY LISTING Pl.....-250
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.16-00 Charges for Services / Parcel Map Revised .00
ACCOUNT TOTAL .00
101-6000-343.16-50 Parcel Map Revised / Discount
ACCOUNT TOTAL
101-6000-343.17-00 Charges for Services / Parcel Merger
PZ 01316 06/11 AJ 12/10/10 PZ PZ RECEIPTS
PZ 01413 06/11 AJ 12/20/10 PZ PZ RECEIPTS
PZ 01828 08/11 AJ 02/16/11 PZ PZ RECEIPTS
GM 02010 09/11 AJ 03/10/11 JE 09-022 DUNE PALMS APPL FEE
ACCOUNT TOTAL
101-6000-343.17-50 Parcel Merger'/ Discounted
ACCOUNT TOTAL
101-6000-343.18-00 Charge's for Services/ Reversion to Acreage
ACCOUNT TOTAL
101-6000-343.18-50 Reversion to Acreage / Discounted
ACCOUNT TOTAL
.00
.00
.00
300.00
300.00
300.00
100.00
11000.00 11000.00CR
.00
.00
.00
.00
.00
.00
101-6000-343.19-00 Charges for Services / Specific Plan .00
PZ 02964 12/11 AJ 06/24/11 PZ PZ RECEIPTS 4,000.00
ACCOUNT TOTAL 4,000.00 4,000.00CR
101-6000-343.19-25 Specific Plan / Amendment
PZ 00041 01/11 AJ 07/06/10 PZ PZ RECEIPTS
PZ 02612 11/11 AJ 05/19/11 PZ PZ RECEIPTS
ACCOUNT TOTAL
.00
2,000.00
2,000.00
41000.00 4,000.00CR
101-6000-343.19-50 Specific Plan / Discounted .00
GM 00023 01/11 AP 07/06/10 0088138 SANTA ROSA COVE HOA 2,000.00
PRJIO-000061 REFUND
PREPARED i-..-7/2014, 10:19:00 GENERAL LEDGER ..-.-VITY LISTING Pl.___251
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------•---------=--------------------------------------- ----
FUND 101.General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.19-50 Specific Plan / Discounted
ACCOUNT TOTAL 2,000.00 2,000.00
101-6000-343.19-65 Specific Plan / Extension
ACCOUNT TOTAL
101-6000-343.20-00 Charges.for Services / Satutory Condo Subdivisio
ACCOUNT TOTAL
10116000-343.20-50 Satutory Condo Subdivisio / Discountedd
ACCOUNT TOTAL
101-6000-343.21-00 Charges for Services / Street Name Change
ACCOUNT TOTAL
101-6000-343.21-50 Street Name Change / Discounted
ACCOUNT TOTAL
101-6000-343.22-00 Charges for Services / Street Vacation
ACCOUNT TOTAL
101-6000-343.22-50 Street Vacation / Discounted -
ACCOUNT TOTAL
101-6000-343.23-00 Charges for Services / Tentative'Tract Map
ACCOUNT TOTAL
101-6000-343.23-50 Tentative Tract Map / Discounted.
PZ 02964 12/11 AJ 06/24/11 PZ PZ RECEIPTS
ACCOUNT TOTAL
1,750.00
1,750.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00`
.00
.00
.00
.00
.00
.00
1,750.000R
PREPARED. -..-7/20.14, 10:19:00 GENERAL LEDGER -- VITY LISTING PHwti252
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER ' D E S C R I P°T I 0 N DEBITS CREDITS BALANCE
101-6000-343.24-00 Charges for Services / Tent. Tract Map Minor Chg .00
ACCOUNT TOTAL .00
101-6000-343.24-50
Tent. Tract Map Minor
Chg /
Discounted
.00
ACCOUNT TOTAL
.00
101-6000-343.25-00.
Charges for Services /
Tent
Tract Map Time Exten
.00
PZ 01323 06/11 AJ
12/13/10 PZ'
PZ
RECEIPTS
11000.00
PZ 01849 08/11 AJ
02/18/11 PZ
PZ
RECEIPTS
11000.00
ACCOUNT TOTAL
2,000.00 2,000.00CR
101-6000-343.25-50
Tent Tract Map Time Exten
/
Discounted
.00
ACCOUNT TOTAL
.00
101-6000-343.26-00 Charges for Services / Tract Map Revised .00
ACCOUNT TOTAL .00
101-6000-343.26-50 Tract Map Revised / Discounted .00
ACCOUNT TOTAL .00
101-6000-343.27-00 Charges for Services / Trnsf of Rights NPH .00
ACCOUNT TOTAL .00
101-6000-343.27-50 Trnsf of Rights'NPH / Discounted .00
ACCOUNT TOTAL .00
101-6000-343.28-00 Charges for Services / Trsf of Developmt Rights .00
ACCOUNT TOTAL .00
101-6000-343.28-50 Trsf of Developmt Rights / Discounted .00
ACCOUNT TOTAL .00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __..VITY LISTING PN17C1253
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG •----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.29-00 Charges for Services / Variance .00
ACCOUNT TOTAL .00
101-6000-343.30-00 Charges for Services / Zoning Text Amendment
ACCOUNT TOTAL
101-6000-343.30-50 Zoning Text Amendment / Discounted
ACCOUNT TOTAL
101-6000-343.31-00 Charges for Services / Modification by Applicant
PZ
00143
01/11
AJ
07/20/10
PZ
PZ
RECEIPTS
PZ
00373
02/11
AJ
08/17/10
PZ
PZ
RECEIPTS
PZ
00477
02/11
AJ
08/25/10
PZ
PZ
RECEIPTS
PZ
00950
04/11
AJ
10/22/10
PZ
PZ
RECEIPTS
PZ
00973
04/11
AJ
10/27/10
PZ'
PZ
RECEIPTS
PZ
01193
05/11
AJ
11/22/10
PZ
PZ
RECEIPTS
PZ
01730
08/11
AJ
02/03/11
PZ
PZ
RECEIPTS
PZ
01774
08/11
AJ
02/10/11
PZ
PZ
RECEIPTS
PZ
01814
08/11
AJ
02/14/11
PZ
PZ
RECEIPTS
PZ
01856
08/11
AJ
02/22/11
PZ
PZ
RECEIPTS
ACCOUNT TOTAL
.101-6000-343.31-50 Modification by Applicant / Mod by Applicant 50% Off
ACCOUNT TOTAL
101-6000-343.32-00 Charges for Services / Village Use Permit
GM 02561 11/11 AP 05/05/11 0092060 TOWER ENERGY GROUP 900.00
10-00000079 RFD PERMIT2010-044
ACCOUNT TOTAL 900.00
101-6000-343.32-50 Village Use Permit / Vill Use Prmt-Discounted
ACCOUNT TOTAL
101-6000-343.33-00 Charges for Services / Minor Adjustment
ACCOUNT TOTAL
.00
.00
.00
.00
.00
175.00
175.00
175.00
175.00
175.00
175.00
350.00
175.00
175.00
175.00
1,925.00 1,925.000R
.00
.00
.00
900.00
.00
.00
.00
.00
PREPARED _ ._7/2014, 10:19:00• GENERAL LEDGER __._VITY LISTING- Pmac,254
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101.General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.35-00 Charges for Services / Waiver of Undgrnd Wiring .00
ACCOUNT TOTAL .00
101:6000-343.37-00 Charges for Services / Certif of Appropriateness
'ACCOUNT TOTAL
101-6000-343.40-00 Charges for Services / Final Map Amendment
ACCOUNT TOTAL
'101-6000-343.42-00 Charges for Services / Modification by Applicant
ACCOUNT TOTAL
101-6000-343.50-00 Charges for Services /.Final Map Applic Fee
ACCOUNT TOTAL
101-6000-343.51-00 Charges for Services / Ag Preserve Discount
ACCOUNT TOTAL
101-6000-343.61-00 Charges for Services / Disc. Gen Plan Amendmt
ACCOUNT TOTAL
101=6000-343.70-00 Charges for Services / Disc Statutory Condo Subd
ACCOUNT TOTAL
101-6000-343.80-00 Charges for Services / Disc Zoning Text Amendmt
ACCOUNT TOTAL
101-6000-343.90-00 Charges for Services / Cove Residential
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .._.-VITY LISTING Pl._-_255
PROGgAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER°PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------------------------------------=--
101-6000-343.90-50 Cove Residential / Discount
ACCOUNT TOTAL
101-6000-343.91-00 Charges for Services / Cove Resident Adjustment
ACCOUNT TOTAL
101-6000-343.91=50 Cove Resident Adjustment / Discount
ACCOUNT TOTAL
101-6000-343.92-00
Charges
for Services
/ Minor Adjustment
PZ
00510
02/11
AJ.
08/31/10
PZ
PZ
RECEIPTS
PZ
01011
05/11
AJ
11/01/10
PZ
PZ
RECEIPTS
PZ
01150
05/11
AJ
11/18/10
PZ
PZ
RECEIPTS
PZ
01554
07/11
AJ
01/13/11
PZ
PZ
RECEIPTS
PZ
01651
07/11
AJ
01/25/11
PZ
PZ
RECEIPTS
PZ
01680
07/11
AJ
01/31/11
PZ
PZ•RECEIPTS
PZ
01752
08/11
AJ
02/08/11
PZ
PZ
RECEIPTS
PZ
01763
08/11
AJ
02/09/11
PZ
PZ
RECEIPTS
PZ
02100
09/11
AJ
03/17/11
PZ
PZ
RECEIPTS
PZ
02203
09/11
AJ
03/30/11
PZ
PZ
RECEIPTS
PZ
02769
12/11
AJ
06/07/11
PZ
PZ
RECEIPTS
200.00
200.00
200.00
200.00
200.00
200.00
200.00
200.00
200.00
200.00
200.00
.00
.00
00
.00
.00
.00
.00
ACCOUNT TOTAL 2,200.00 2,200.000R
101-6000-343.92-50 Minor Adjustment / Discount
ACCOUNT TOTAL
101-6000-343.93-00 Charges for Services / Parcel Map Amendment
ACCOUNT TOTAL
101-6000-343.93-50 Parcel Map Amendment / Discount
ACCOUNT TOTAL
101-6000-343.94-00 Charges for Services / Parcel Map Waiver
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING Pj,---256
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-6000-343.94-50 Parcel Map Waiver / Discount .00
ACCOUNT TOTAL .00
101-6000-343.95-.00 Charges for Services / Site Dev Perm Compat Rvw .00
ACCOUNT TOTAL .00
10116000-343.95-50 Site Dev Perm Compat Rvw / Discount .00
ACCOUNT TOTAL .00
101-6000-343.96-00 Charges for Services / Tent Trct Amend aft Recor .00
ACCOUNT TOTAL .00
101-6000-343.96-50 Tent Trct Amend aft Recor / Discount .00
ACCOUNT TOTAL .00
101-6000-343.97-00 Charges for Services / Sexually Oriented Busines .00
ACCOUNT TOTAL .00
101-6000-343.98-00
Charges
for Services
/ CVMSHCP Admin Fee
.00
GM
01335
06/11
AP
12/15/10
0090081
COACHELLA VALLEY
CONSERVA
56.15
OCT110
MITIGATION FEE
GM
01335
06/11
AP
12/15/10
0090080
COACHELLA VALLEY
CONSERVA
12.84
NOV110
MITIGATION FEE
GM
01547
07/11
AP
O1/11/11
0090371
COACHELLA VALLEY
CONSERVA
511.42
12/10
DEV MITIGATION FEE
GM
01757
08/11
AP
01/31/11
0090741
COACHELLA VALLEY
CONSERVA
38.52
JAN'll
MITIGATION FEES
GM
02022
09/11
AP
03/14/11
0091112
COACHELLA VALLEY
CONSERVA
206.98
FEB'll
MITIGATION FEE
GM
02288
10/11
AP
04/11/11
0091527
COACHELLA VALLEY
CONSERVA
56.69
MAR'll
MITIGATION FEE
GM
02468
11/11
AP
05/03/11
0091.748
COACHELLA VALLEY
CONSERVA
31.01
APR'll
MITIGATION FEE
GM
02740
12/11
AP
06/02/11
0092140
COACHELLA VALLEY
CONSERVA
43.85
MAY'll
MITIGATION FEE
GM
03010
12/11
AP
06/30/11
0092608
COACHELLA.VALLEY
CONSERVA
102.72
JUN'll
MITIGATION FEE
ACCOUNT
TOTAL
1,060.18 1,060.18CR
00'00Z
3I1VN `SMObbVS
9£#09800
OT/Zi/LO
dV
11/10
£9000
WS
00'
spJe09 g
su0tsssww00
/ saBeM 28
satJeieS
01-01'£9#0-1009-101
00'
1V101 lNn033V
00'
saatnJaS AauaBV
RJeJodwal
/ saBeM I
satJeieS
50-Oi'£9b-1009-101
00'
1V101 1Nn000V
00'
aw14Jan0
JeinBab
/ saBeM 18
sasJeieS
#00-Oi'£9#0-1009-IOi
00'
IV101 lNn033V
00'
awtl ;Jed
- sasJeieS
/ saBeM It
saiJeieS
£0-01'£9b-1009-i0i
89'#089`bsb
#06'88#0`#0i
Z9'£Li`66b
lV101 lNn033V
0£19ZL`91
AbVWWnS
IIObAVd
80LObd
ii/80/LO
fV
ii/Zi
Lb6ZO
bd
£91#085`81
AbVWWnS
llObAVd
#0Z908d
ii/#0Z/90
fV
II/Zi
L99ZO
Nd
1L'#085`81
AbVWWnS
llObAVd
0190bd
ii/01/90
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ii/Zi
££LaO
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ZL'#085`81
AbVWWnS
llObAVd
LZ50bd
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bd
iL'#085`81
AbVWWnS
llObAVd
£150bd
ii/£1/50
fV
ii/ii
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ZL'#085`Si
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llObAVd
6Z#0Obd
11/6Z/#00
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OL'#085`81
AbVWwnS
llObAVd
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Il/OT
£5ZZO
lid
OL'#085`8i
AbVWWns
llObAVd
IO#0Obd
ii/i0/#00
fV
ti/OT
ISIZO
lid
iL'#085`81
AbVWWnS
llObAVd
81£Obd
ii/8i/£0
fV
11/60
91OZO
bd
89'#085`Si
AbVWWnS
IIObAVd
#00£Obd
ii/#00/£0
PV
11/60
#00610
bd
60'585`81
AbVWWns
llObAVd
SIZObd
Timm
fV
ii/80
£9L10
lid
OL'#085`81
AbVWWns
IIObAVd
#0OZObd
ii/#00/ZO
fV
ii/80
9#0910
bd
ZL'#085`81
AbVWWnS
llObAVd
iZIObd
ii/iZ/i0
PV
II/LO
19510
bd
#05'#0£5`OZ
AbVWWnS
llObAVd
LOiObd
ii/LO/IO
fV
II/LO
81#0IO
bd
IL'#085`81
AbVWWnS
llObAVd
£ZZibd
Oi/£Z/Zi
PV
11/90
#09£10
bd
89'#085`81
AbVWWns
IIObAVd
OIZibd
OI/Oi/Zi
fV
11/90
6#0Zi0
bd
OV b9s,
8i
AbVWwns
llObAVd
#0Ziibd
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fV
TI/90
L£ii0
bd
#0L'I#08'81
AbVWwns
IIObAVd
Zilibd
Oin uii
fV,
ii/50
090Y0
bd
Z6'6££'9I
AbVWwnS
IIObAVd
6ZOibd
01/6Z/Oi
fV
ii/#00
11600
bd
Z6'6££`81
AbVWwnS
lIObAVd
5i01bd
Oi/5i/Oi
fV
II/bO
#0Z800
bd•
i6'6££`81
AbVWWnS
IIObAVd
i00ibd
OI/i0/OI
fV
ii/#00
58900
bd
88'6££`81
AbVWWnS.11ObAVd
Li60bd
01/Li/60
fV
11/£0
#06500
bd
68'6££`81
AbVWwnS
llObAVd
£060bd
OI/£0/60
PV
ii/£0
5£#000
bd
81'£06`Li
AbVWwns
IIObAVd
OZ80bd
Oi/OZ/80
fV
ii/ZO
Z#0£00
bd
50'L9£`81
AbVWwnS
IIObAVd
9080bd
OI/90/80
fV
iim
96100
bd
OZ'61Z`8i
AbVWWnS
IIObAVd
£ZLObd
Oi/£Z/LO
PV
ii/i0
OOi00
bd
#06'88#0`hi
AbVWwnS
IlObAVd
60LObd
OI/60/LO
fV
11/10
L0000
bd
iZ1111`81
AbVWWnS
IIObAVd
60LObd
01/60/LO
fV
ii/i0
L0000
bd
00'
awtl ting
ZuauewJad
/ saBeM g
satJeieS
i0-Oi'£9b-1009-i0i
------------------------------------------------------------------------------------------------------------------------------------
30NVIVG
S1I03b0
S1I830
N 0 I 1 d
I b 0 S 3 0
b38WnN
31VO
QO
'b3d b38wnN
ddV
9NION3/
----N0113VSNVbl----
9100V
dnOb9
SNINNIS39
-------------------------------------------------------------------------------------------------------------------------------------
pund
IeJauag
i0i ONnd
VINbOdIIVO
`V1NInb
Vl
30 A1I0
VIZ9£WO
WVb90bd
L5Z---'Id
MIMI
AlIA-*-*' b3903l lVb3N39
00a6i:01
`bTOZ/L-
"'-
03bVd3bd
PREPARED
- ,_7/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
PMVGL258
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
7-------------------------------------'----------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-6001-463.10-10
Salaries
& Wages /
Commissions & Boards
FEB110
PLANNING COMM MTG
GM
00085
01/11
AP
07/15/10
0088180
BARROWS, KATIE
200.00
FEB110
PLANNING COMM MTG
GM
00229
02/11
AP
07/29/10
0088444
WILKINSON, ROBERT WALTER
100.00
JUL110
PLANNING COMM MTG
GM
00229
02/11
AP
07/29/10
0088400
BARROWS, KATIE
100.00
JUL110
PLANNING COMM MTG
GM
00229
02/11
AP
07/29/10
0088425
QUILL, PAUL
100.00
JUL110
PLANNING COMM MTG
GM
00229
02/11
AP
07/29/10
0088443
WEBER, MARK D.
100.00
JUL110
PLANNING.COMM MTG
GM
00391
02/11
AP
08/20/10
0088730
WILBUR, ALLAN
75.00
AUG110
HISTORICAL PRSV MTG
GM
00391
02/11
AP
08/20/10
0088719
PUENTE, MARIA
75.00
AUG'10•
HISTORICAL PRSV MTG
GM
00391
02/11
AP
08/20/10
0088720
REDMON, PEGGY ANNETTE
75.00
AUG110
HISTORICAL PRSV MTG
GM
00391.
02/.11
AP
08/20/10
0088731
WRIGHT, ROBERT
75.00
AUG110
HISTORICAL PRSV MTG .
GM
00837
04/11
AP
10/06/10
0089332
WILKINSON, ROBERT WALTER
100.00
SEP110
PLANNING COMM MTG
GM
00837
04/11
AP
10/06/10
0089292
BARROWS, KATIE
100.00
SEP110
PLANNING COMM MTG
GM
00.837
04/11
AP
10/06/10
0089320
QUILL, PAUL
100.00
SEP110
PLANNING COMM MTG
GM
00837
04/11
AP
10/06/10
0089289
ALDERSON, ED
100.00
SEP110
PLANNING COMM MTG
GM
00837
04/11
AP
10/06/10
0089330
WEBER, MARK D.
100.00
SEP110
PLANNING COMM MTG
GM
00837
04/11
AP
10/11/10
0089290
ARNOLD, JASON'
75.00
OCT110
ARCH/LNDSCP COMM
GM
00837
04/11
AP
10/11/10
0089313
MCCUNE, KEVIN
75.00
OCT110
ARCH/LNDSCP COMM
GM
00837
04/11
AP
10/11/10
0089324
THOMS, DAVID
75.00
OCT110
ARCH/LNDSCP COMM
GM
00876
04/11
AP
10/20/10
0089370
WILKINSON, ROBERT WALTER
100.00
OCT110
PLANNING COMM MTG
GM
00876
04/11
AP
10/20/10
0089336
BARROWS, KATIE
100.00
OCT110
PLANNING COMM MTG
GM
00876
04/11
AP
10/20/10
0089359
QUILL, PAUL
100.00
0CT110
PLANNING COMM MTG
GM
00876
04/11
AP
10/20/10
0089335
ALDERSON, ED -
100.00
'
OCT110
PLANNING COMM MTG
GM
01081
05/11
AP
11/04/10
0089672
ARNOLD, JASON
75.00
N0V110
ARCH/LNDSCP COMM
GM
01081
05/11
AP
11/04/10
0089687
MCCUNE, KEVIN
75.00
N0V110
ARCH/LNDSCP COMM
GM
01081
05/11
AP
11/04/10
0089690
THOMS, DAVID
75.00
N0V110
ARCH/LNDSCP COMM
PREPARED---7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
PMw�1259
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER
---- ----- -
PER.
---------
CD
------------------
DATE
NUMBER
------
D E S C R I P T I O N
------------- ------- ----- ---- ----
DEBITS CREDITS
------------------------ ------- ------ -------
BALANCE
---- ---------
101;6001-463.10-10
Salaries
& Wages /
Commissions & Boards
GM
01210
06/11
AP
11/23/10
0089897
WILBUR, ALLAN
75.00
NOV'10�
HISTORICAL PRSV MTG
GM
01210
06/11
AP
11/23/10
0089881
PUENTE, MARIA
75.00
NOV110
HISTORICAL PRSV MTG
GM
01210
06/11
AP
11/23/10
0089883
REDMON, PEGGY ANNETTE
75.00
NOV110
HISTORICAL PRSV MTG
GM
01210
06/11
AP
11/23/10
0089900
WRIGHT, ROBERT
75.00
NOV110
HISTORICAL PRSV MTG
GM
01210
06/11
AP
11/30/10
0089898.
WILKINSON, ROBERT WALTER
200.00
NOV110
PLANNING COMM MTG
GM
01210
06/11
AP
11/30/10
0089868
BARROWS, KATIE
200.00
NOV110
PLANNING COMM MTG
GM
01210
06/11
AP
11/30/10
0089882
QUILL, PAUL
200.00
NOV110
PLANNING COMM MTG
GM
01210
06/11
AP
11130/10
0089866
ALDERSON, ED
200.00
NOV110
PLANNING COMM MTG
GM
01210
06/11
AP
11/30/10
0089896
WEBER, MARK D.
200.00
NOV110
PLANNING COMM MTG
GM
01368
06/11
AP
12/17/10
0090136
ARNOLD, JASON
75.00
DEC110
ARCH&LNDSCP MTG
GM
01368
06/11
AP
12/17/10
0090150
MCCUNE, KEVIN
75.00
DEC110
ARCHBLNDSCP MTG
GM
01368
06/11
AP
12/17/10
0090157
THOMS, DAVID
75.00
DEC110
ARCH&LNDSCP MTG
GM
01368
06/11
AP
12/17/10
0090164
WILKINSON, ROBERT WALTER
100.00
DEC110
PLANNING COMM MTG
GM
01368
06/11
AP
-12/17/10
0090137
BARROWS,, KATIE
100.00
DEC110
PLANNING COMM MTG
GM
01368
06/11
AP
12/17/10
0090151
QUILL, PAUL
100.00
•
DEC110
PLANNING COMM MTG
GM
01368
06/11
AP
12/17/10
0090135
ALDERSON, ED
100.00
DEC'10•
PLANNING COMM MTG
GM
01368
06/11
AP
12/17/10
0090163
WEBER, MARK D.
100.00
DEC110
PLANNING COMM MTG
GM
01547
07/11
AP
01/10/11
0090366
ARNOLD, JASON
75.00
JAN'11
ARCH/LNDSCP COMM
GM
01547
07/11
AP
01/10/11
0090391
MCCUNE, KEVIN•
75.00
JAN'-11
ARCH/LNDSCP COMM
GM
01547
07/11
AP
01/10/11
0090403
THOMS, DAVID
75.00
JAN'11
ARCH/LNDSCP COMM
GM
01629
07/11
AP
01/20/11
0090587
WILKINSON, ROBERT WALTER
100.00
JAN'11
PLANNING COMM MTG
GM
01629
07/11
AP
01/20/11
0090555
BARROWS, KATIE
100.00
JAN'11
PLANNING COMM MTG
GM
01629
07/11
AP
01/20/11
0090574
QUILL, PAUL
100.00
JAN'11•
PLANNING COMM MTG
GM
01629
07/11
AP
01%20/11
0090554
ALDERSON, ED
100.00
JAN'11
PLANNING COMM MTG
GM
01629
07/11
AP
01/24/11
0090586
WILBUR, ALLAN
75.00
PREPARED
—_7/2014,
10:19:00
GENERAL LEDGER M-..VITY
LISTING
PMUC.260
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------------"----------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-6001-463.10-10
Salaries
& Wages /
Commissions & Boards
JAN'll
HIST PRESERVATION MTG
GM
0}629
07/11
AP
01/24/11
0090576
SHARP, ARCHIE
75.00
JAN'll
HIST PRESERVATION MTG
GM
01629
07/11
AP
01/24/11
0090572
PUENTE,'MARIA
75.00
JAN'll
HIST PRESERVATION MTG
GM
01629
07/11
AP
01/24/11
0090575
REDMON, PEGGY ANNETTE
75.00
JAN'll
HIST PRESERVATION MTG
GM
01629
07/11
AP
01/24/11
009.0588
WRIGHT, ROBERT
75.00
JAN'll
HIST PRESERVATION MTG
GM
01757
08/11
AP
02/02/11
0090736
ARNOLD, JASON
75.00
FEB'll
ARCH/LNDSCP COMM
GM
01757
08/11
AP
02/02/11
0090752
MCCUNE, KEVIN
75.00
FEB'll
ARCH/LNDSCP COMM
GM
01757
08/11
AP
02/02/11
0090757
THOMS, DAVID
75.00
FEB'll
ARCH/LNDSCP COMM
GM
01841
08/11
AP
02/17/11
0090939
WILKINSON, ROBERT WALTER
100.00
FEB'll
PLANNING COMM MTG
GM
01841
08/11
AP
02/17/11
0090915
BARROWS, KATIE
100.00
FEB'll
PLANNING COMM MTG
GM
01841
08/11
AP
02/17/11
0090929
QUILL, PAUL
100.00
FEB'll
PLANNING COMM MTG
GM
01841
08/11
AP
02/17/11
0090914
ALDERSON, ED
100.00
FEB'll
PLANNING COMM MTG
GM
01909
09/11
AP
02/23/11
0090966
WILBUR, ALLAN
75.00
FEB'll
HISTORICAL COMM MTG
GM
01909
09/11
AP
02/23/11
0090957
SHARP, ARCHIE
75.00
FEB'll
HISTORICAL COMM MTG
GM
01909
09/11
AP
02/23/11
0090953
PUENTE, MARIA
75.00
FEB'll
HISTORICAL COMM MTG
GM
01909
09"/11
AP
02/23/11
0090954
REDMON, PEGGY ANNETTE
75.00
FEB'll
HISTORICAL COMM MTG
GM
02022
09/11
AP
03/16/11
0091150
WILKINSON, ROBERT WALTER
100.00
MAR'll
PLANNING COMM MTG
GM
02022
09/11
AP
03/16/11
0091106
BARROWS, KATIE
100.00
MAR'll
PLANNING COMM MTG
GM
02022
09/11
AP
03/16/11
0091136
QUILL, PAUL
100.00
MAR'll
PLANNING COMM MTG
GM
02022
09/11
AP
03/16/11
0091105
ALDERSON, ED
100.00
MAR'll
PLANNING COMM MTG
GM
02022
09/11
AP
03/16/11
0091148
WEBER, MARK D.
100.00
MAR'll
PLANNING COMM MTG
GM
02177
10/11
AP
03/25/11
0091319
PUENTE, MARIA
75.00
MAR'll
HISTORICAL PRSV COMM
GM
02177
10/11
AP
03/25/11
0091334
WRIGHT, ROBERT
75.00
MAR'll
HISTORICAL PRSV COMM
GM
02177
10/11
AP
03/25/11
0091332
WILBUR, ALLAN
75.00
'
MAR'll
HISTORICAL PRSV COMM
GM
02288
10/11
AP
04/07/11
0091524
ARNOLD, JASON
75.00
APR'll
ARCH/LNDSCP COMM
PREPARED
--7/2014, 10:19:00
GENERAL LEDGER ..-.-VITY
LISTING
P,..__-261
PROGRAM
GM362LA
CITY
------------------------------------------------------------------------------------------------------------------------------------
OF LA
QUINTA,
CALIFORNIA
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-6001-463.10-10
Salaries
& Wages /,Commissions
& Boards
GM
02288
10/11
AP
04/07/11
0091547
MCCUNE, KEVIN
75.00
APR'll
ARCH/LNDSCP COMM
GM
02288
10/11
AP
04/07/11
0091554
THOMS, DAVID
75.00
APR'll
ARCH/LNDSCP COMM
GM
02468
11/11
AP
04/28/11
0091783
WILKINSON, ROBERT WALTER
100.00
APR'll
PLANNING COMM MTG
GM
02468
11/11
AP
04/28/11
0091745
BARROWS, KATIE
100.00
APR'll
PLANNING COMM MTG
GM
02468
11/11
AP
04/28/11
0091771
QUILL, PAUL
100.00
APR'll
PLANNING COMM MTG
GM
02468
11/11
AP
04/28/11
0091744
ALDERSON, ED
100.00
APR'll
PLANNING COMM MTG
GM
02468
11/11
AP
04/28/11
0091781
WEBER, MARK D.
100.00
APR'll
PLANNING COMM MTG
GM
02468
11/11
AP
04/28/11
0091782
WILBUR, ALLAN
75.00
APR'll
HISTORICAL PRES MTG
GM
02468
11/11
AP
04/28/11
0091774
SHARP, ARCHIE
75.00
APR'll
HISTORICAL PRES MTG
GM
02468
11/11
AP
04/28/11
0091770
PUENTE, MARIA
75.00
APR'll
HISTORICAL PRES MTG
GM
02468
11/11
AP
04/28/11
0091772
REDMON, PEGGY ANNETTE
75.00
APR'll
HISTORICAL PRES MTG
GM
02468
11/11
AP
04/28/11
0091784
WRIGHT, ROBERT
75.00
APR'll
HISTORICAL PRES MTG
GM
02808
12/11
AP
06/08/11
0092305
ARNOLD, JASON.
75.00
JUN -I1
ARCHITECTURE MEETING
GM
02808
12/11
AP
06/08/11
0092330
MCCUNE, KEVIN
75.00
JUN -11
ARCHITECTURE MEETING
GM
02808
12/11
AP
06/08/11
0092339
THOMS, DAVID
75.00
JUN -11
ARCHITECTURE MEETING
GM
02870
12/11
AP.
06120111
0092441
REDMON, PEGGY ANNETTE
75.00
062011
PLANNING MEETING
GM
02870
12/11
AP
06/20/11
0092450
WRIGHT, ROBERT
75.00
•
062011
PLANNING MEETING
GM
02870
12/11
AP
06/20/11
0092448
WILBUR, ALLAN
75.00
062011
PLANNING MEETING
GM
03010
12/11
AP
07/12/11
0092628
WILKINSON, ROBERT WALTER
200.00
JUN'll
PLANNING COMM MTG
GM
03010
12/11
AP
07/12/11
0092606
BARROWS, KATIE
200.00
JUN'll
PLANNING COMM MTG
GM
03010
12/11
AP
07/12/11
0092620
QUILL, PAUL
200.00
JUN'll
PLANNING COMM MTG
GM
03010
12/11
AP
07/12/11
0092605
ALDERSON, ED
200.00
JUN'll
PLANNING COMM MTG
ACCOUNT
TOTAL
9,275.00 200.00
9,075.00
101'-6001-463.10-18 Salaries & Wages / Natural Disaster - FEMA .00
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PREPARED
----7/2014, 10:19:00
Comp Insurance
GENERAL LEDGER
__-._VITY LISTING
P.,__-267
PROGRAM
GM362LA
01/11
AJ
07/09/10
PRO7O9•
PAYROLL
SUMMARY
534.28
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
AJ
07/09/10
PRO7O9
PAYROLL
SUMMARY
FUND 101
General
Fund
01/11
AJ
07/23/10
PRO723
PAYROLL
BEGINNING
GROUP
ACCTG
----TRANSACTION----
02/11
AJ
08/06/10
PRO8O6
/ENDING
APP NUMBER
-------------------------------------------------------------------------------------------=----------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-6001-463.21-07
528.15
Insurance
Benefits /
Long Term Disability
AJ
09/03/10
PR 01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
27.13
09/17/10
PR 01418
07/11
AJ
01/07/11
PRO1O7
PAYROLL
SUMMARY
97.30
10/01/10
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
97.30
10/15/10
PR 01646
08/11
AJ
02/04/11
PRO204
PAYROLL
SUMMARY
97.30
10/29/10
PR 01783
08/11
AJ
02/18/11
PRO218
PAYROLL
SUMMARY
97.30
11/12/10
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
97.30
11/24/10
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
97.30
12/10/10
PR 02151
10/11
AJ
04/01/11
PR04O1
PAYROLL
SUMMARY
97.30
12/23/10
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
97.30
01/07/11
PR 02348
10/11
AJ
04/29/11
PRO429
PAYROLL
SUMMARY
97.30
01/21/11
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
97.30
02/04/11
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
97.30
02/18/11
PR 02733
12/11
AJ
06/10/11
PR061O
PAYROLL
SUMMARY
97.30
03/04/11
PR 02867
12/11
AJ
06/24/11
PRO624
PAYROLL
SUMMARY
97.30
03/18/11
PR 02947
12/11
AJ
07/08/11
PR07O8
PAYROLL
SUMMARY
87.57
04/01/11
PRO401
PAYROLL
SUMMARY
ACCOUNT
TOTAL
02253
10/11
21188.25 157.24
21031.01
101-6001-463.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-6001-463.25-01
Workers
Comp Insurance
/ Workers
Comp Insurance
PR
00007
01/11
AJ
07/09/10
PRO7O9•
PAYROLL
SUMMARY
534.28
PR
00007
01/11
AJ
07/09/10
PRO7O9
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PRO723
PAYROLL
SUMMARY
537.46
PR
00196
02/11
AJ
08/06/10
PRO8O6
PAYROLL
SUMMARY
541.83
PR
00342
02/11
AJ
08/20/10
PRO82O
PAYROLL
SUMMARY
528.15
PR
00435
03/11
AJ
09/03/10
PRO9O3
PAYROLL
SUMMARY
541.02
PR
00594
03/11
AJ
09/17/10
PRO917
PAYROLL
SUMMARY
541.02
PR
00685
04/11
AJ
10/01/10
PRIOO1
PAYROLL
SUMMARY
541.03
PR
00824
04/11
AJ
10/15/10
PR1O15
PAYROLL
SUMMARY
541.03
PR
00911
04/11
AJ
10/29/10
PR1O29
PAYROLL
SUMMARY
541.03
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
555.82
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
548.24
PR
01249
06/11
AJ
12/10/10
PR121O
PAYROLL
SUMMARY
548.24
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
548.25
PR
01418
07/11
AJ
01/07/11
PRO1O7
PAYROLL
SUMMARY
605.77
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
548.25
PR
01646
08/11
AJ
02/04/11
PR02O4
PAYROLL
SUMMARY
548.25
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
548.26
FR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
548.24
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
548.25
PR
02151
10/11
AJ
04/01/11
PRO401
PAYROLL
SUMMARY
548.25
PR
02253
10/11
AJ
04/15/11
PRO415
PAYROLL
SUMMARY
548.25
PR
02348
10/11
AJ
04/29/11
PRO429
PAYROLL
SUMMARY
548.25
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
548.25
427.42
.00
.00
00
PREPARED
- ._7/2014,
10:19:00
GENERAL LEDGER ___._VITY
LISTING
P..___268
PROGRAM
GM362LA
CITY OF LA
----------------------------------------------------------------------------------------------------------------------------=-------
9UINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D E
S C R I
P T I O N
DEBITS
CREDITS
BALANCE
101-6001-463.25-01
Workers Comp Insurance
/ Workers
Comp Insurance
PR
02625'
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
548.25
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
548.25
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
548.24
GM
013023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
7,477:41
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
493.42
ACCOUNT TOTAL
14,725.58
7,904.83
6,820.75 '
101-6001-463.27-01
Other Benefits
& Deduc.
/ State
Unemployment SUI
.00
ACCOUNT TOTAL
.00
101-6001-463.27-03
Other Benefits
& Deduc.
/ Medicare
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
266.23
PR
00007
01/.11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
212.98
PR
OQ100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
267.80
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
269.95
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
263.22
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
269.55
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
269.55
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
269.55
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL
SUMMARY
269.55
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
265.92
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
279.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
273.10
PR
01263
06/11
AJ
12/09/10
PR1209
PAYROLL
SUMMARY
69.76
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
273.10
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
273.10
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
301.38
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
273.10
PR
04646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
273.10
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
273.10
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
273.10
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
273.10
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
273.10
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
273.10
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
269.47
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
273.10
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
273.10
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
273.10
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
273.10
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
245.79
ACCOUNT
TOTAL
7,400.12
212.98
7,187.14
101-6001-463.32-10 Contract Services / Professional .00
PREPARED ----7/2014, 10:19:00
GENERAL LEDGER ..._.-'VITY
LISTING
P----269
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------
FUND 101 General
Fund
-------------------------------------------------------------------------------------------=---
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-6001-463'.32-10 Contract
Services /
Professional
GM 00514 03/11
AP 07/31/10
0088804
COACHELLA VALLEY ENGINEER
29.57
7507
CVE CT-ANNEXATION/ANALYSI
PROJECT#:
PL1340
GM 00736 04/11
AP 09/10/10
0089271
TERRA NOVA PLANNING & RES
92,597.19
TN011002
JUL-AUG GENERAL PLN
GM 0751 04/11
AP 10/05/10
0089136
JOHNSON, LES
15.95
REIMB
MEALS-BEV FOR TAZ
GM 01084 05/11
AJ 11/10/10
JE 05-012
RECL SEPT110 RSG CHRG
3,487.50
GM 01084 05/11
AJ 11/10/10
JE 05-012
RECL AUG110 RSG CHRG
1,367.50
GM 01265 06/11
AP 11/10/10
0090062
TERRA NOVA PLANNING & RES
82,102.51
TN011003
GEN PLAN UPDATE
GM 01159 05/11
AP 11/12/10
0089837
ROSENOW SPEVACEK GROUP IN
11195.00
.00T'10
GENERAL PLAN FISCAL
GM 01368 06/11
AP 11/19/10
0090153
RIVERSIDE LOCAL AGENCY
4,025.00
FEES
LAFCO2010-18-4-DETACHMENT
PROJECT#:
PL1340
GM 01368 06/11
AP 12/09/10
0090154
ROSENOW SPEVACEK GROUP IN
1,608.00
NOV110
GENERAL PLN .
GM 01478 07/11
AP 12/14/10
0090290
COACHELLA VALLEY ENGINEER
250.00
7595
PALMS/PIAZZA SERENA
PROJECT#:
PL1340
GM 01564 07/11
AP 12/15/10
0090459
COACHELLA VALLEY ENGINEER
12.00
7597
ANNEXATION2001-19-4
PROJECT#:
PL1340
GM 01564 07/11
AP O1/01/11
0090539
TERRA NOVA PLANNING & RES
3,847.73
TN119859
JUL-DEC CONTRACT
GM 01603 07/11
AP O1/01/11
0090539
TERRA NOVA PLANNING & RES
113,103.79
TN011004
GENERAL PLAN UPDATE
GM 01643 08/11
AP 01/12/11
0090709
ROSENOW SPEVACEK GROUP IN
260.00
DEC'll
GEN PLN FISCAL ANALYSIS
GM 01878 09/11
AP 02%08/11
0091041
ROSENOW SPEVACEK GROUP IN
325.00
JAN'll
GEN PLN FISCAL ANALYSIS
GM 02077 09/11
AP 03/01/11
0091257
TERRA NOVA PLANNING & RES
101,249.43
TN011005
GEN PLAN UPDATE
GM 02248 10/11
AP 03/14/11
0091491
ROSENOW SPEVACEK GROUP IN
3,967.50
FEB'll
GENERAL PLAN
GM 02350 10/11
AP 04/12/11
0091687
ROSENOW SPEVACEK GROUP IN
260.00
MAR'll
GENERAL PLAN
GM 02735 12/11
AP 04/29/11
0092185
COACHELLA VALLEY ENGINEER
19.58
7697
CONTRACT SVC
PROJECT#:
PL1340
GM 02694 12/11
AP 05/01/11
0092284
TERRA NOVA PLANNING & RES
62,217.39
TN011006
GEN PLN UPDATE
GM 02694 12/11
AP 05/01/11
00.92284
TERRA NOVA PLANNING & RES
5,730.31
TN119860
CONTRACT SVC
GM 02468 11/11
AP 05/04/11
0091773
RIVERSIDE LOCAL AGENCY
822.70
42711
LAFCO 2010-18-4
PROJECT#:
PL1340
GM 02468 11/11
AP 05/04/11
0091776
STATE BOARD OF EQUALIZATI
2,000.00
PREPARED 7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING PAUti270
PROGRAM GM362LA
CITY'OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-----------------------------------------------------------------------------------------'-------------------------------------------
101-6001-463.32-10
Contract
Services /
Professional
GM
00751
42711
AP
LAFCO 2010-18-4
PROJECT#:
PL1340
GM 02616 11/11
AP
05/12/11
0092049
ROSENOW SPEVACEK GROUP IN
GM
01210
APR'll`
AP
GEN PLAN FISCAL ANALYSIS
GM 02740 12/11
AP
06/08/11
0092154
MCAULIFFE & COMPANY INC
12210
RETAINER
MAYOR'S LUNCHEON
LQ AUTOPARKWAY
GM 03027 12/11
AP
06/14/11
0092735
ROSENOW SPEVACEK GROUP IN
LEAGUE OF CALIFORNIA CITI
MAY'll
GENERAL PLAN
GM 03085 13/11
AJ
06/30/11.AJE
13-002
ACCRUE TERRA NOVA INVOICE
08/11
AP
ACCOUNT TOTAL
0090664
101-6001'-463.32-15 Contract Services / Weatherbased Irrigation
ACCOUNT TOTAL
101-6001-463.32-20 Contract Services / GIS Service
ACCOUNT TOTAL
101-6001-463.33-22 Other Outside Services / AB 939 Recycling
ACCOUNT TOTAL
101-6001-463.34-04 Contract Services / Technical
ACCOUNT TOTAL
101-6001-463.44:01 Contract Services / E.quipment Rental
ACCOUNT TOTAL
101-6001-463.51-01
Services
& Supplies
/ Travel & Training
GM
00751
04/11
AP
10/07/10
0089138
LA QUINTA CHAMBER OF COMM
10710
MAYORS LUNCH
GM
01210
06/11
AP
11/30/10
0089878
LA QUINTA CHAMBER OF COMM
12210
MAYOR'S LUNCHEON
GM
01629
07/11
AP
01/25/11
0090567
LEAGUE OF CALIFORNIA CITI
11811
CONF REGISTRATION
GM
01713
08/11
AP
01/25/11
0090664
HILTON HOTEL - PASADENA
3/9-11/11
HOTEL ACCOMMODATIONS
GM
02022
09/11
AP
03/09/11
0091126
JOHNSON, LES
REIMB
'll PLANNERS INST
3,860.00
1,200.00
370".00
45,363.97
531,287.62
30.00
25.00
2,550.00
1,714.50
247.85
531,287.62
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER AUiiVITY
LISTING
PAGE1271
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-----------------------------------------------------------------------------------------------------------------------------------=
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS
CREDITS BALANCE
101-6001-463.51-01
Services
& Supplies /
Travel & Training
GM
02177
10/11
AP
03/09/11
0091321
QUILL, PAUL
153.50
REIMB
111PLANNNERS INST
GM
02177
10/11
AP
03/15/11
0091300
CALIFORNIA PRESERVATION F
1,075.00
31511
REGISTRATION/WKSHOP
GM
02022
09/11
AP
03/16/11
0091126
JOHNSON, LES
100.73
REIMB
MEALS-11/23/10
CR
02171
09/11
CR
03/28/11
0015577
HOTEL REIMBURSEMENT
342.90
LWEST 03/28/11 01
GM
02288
10/11
AP
04/01/11
0091560
WELLS FARGO BUSINESS CARD•
26.00
3072
VISA CARD PYMT
GM
02251
10/11
AP
04/05/11
0091412
FAIRMONT MIRAMAR HOTEL
2,280.50
66287531
LODGING-HPC MEMBERS
GM
02225
10/11
AP
04/06/11
0091349
LA QUINTA CHAMBER OF COMM
30.00
4711
MAYORS LUNCHEON
GM
02538
11/11
AP
05/02/11
0091922
WELLS FARGO BUSINESS CARD
270.00
3072
VISA PYMT
GM
02645
11/11
AP
05/15/11
0092100
SAWYER, DAVID
649.47
REIMB
CA PRESERVATION CONF
GM
02702
12/11
AP
05/15/11
0092131
PUENTE, MARIA
63.77
REIMB
111CA PRSRV CONF
CR
02714
12/11
CR
06/02/11
0020852
SAWYER,D-REIMB CITY PRSNL
7.72
KBLONDELL 06/02/11 01
CR
02957
12/11
CR
06/23/11
0022158
REIMB TRVL EXP/PAUL QUILL
26.00
MMENDOZA 06/23/11 01
GM
02878
12/11
AP
06/23/11
0092455
WELLS FARGO BUSINESS CARD
316.00
485620030080307
WELLS FARGO CREDIT CARD
GM
02881
12/11
AP
06/23/11
0092456
WELLS FARGO BUSINESS CARD
316.00
485620030080307
WELLS FARGO CREDIT CARD
GM
02884
12/11
AP
06/23/11
0092455
WELLS FARGO BUSINESS CARD
316.00
485620030080307
WELLS FARGO CREDIT CARD
ACCOUNT TOTAL
9,848.32
692.62 9,155.7.0
101-6001-463.51-02
Services
& Supplies /
Vehicle Reimbursement
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
250.00
PR
00007
01/.11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
200.00
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
250.00
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL SUMMARY
250.00
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL SUMMARY
250.00
-
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL SUMMARY
250.00
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL SUMMARY
250.00
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL SUMMARY
250.00
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL SUMMARY
250.00
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL SUMMARY
250.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL SUMMARY
250.00
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL SUMMARY
250.00
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL SUMMARY
250.00
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL SUMMARY
250.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER
M6iiVITY LISTING
PAGE1272
PROGRAM
GM362LA
OFFICE DEPOT
60.97
523721560001
CITY OF LA
QUINTA, CALIFORNIA
I
GM
02083
09/11
AP
03/04/11 0091221
MCDOWELL AWARDS
---------------------
101
General
Fund
2010-2717
J RAMIREZ/BADGES
BEGINNING
. GROUP
ACCTG
----TRANSACTION----
07/01/11 0092714
MCDOWELL AWARDS
89.18
/ENDING
APP NUMBER
--------------------------------------------------------------------------------------=---------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-6001-463.51-02
Services
& Supplies
/ Vehicle Reimbursement
Services & Supplies /
PR 01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
250.00
50.00
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
250.00
00157
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
250.00
PR 01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
250.00
ULI-URBAN LAND INSTITUTE
PR 02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
250.00
GM
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
250.00
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
250.00
12/13/10 0090445
PR 02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
250.00
PR 02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
250.00
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
250.00
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
250.00
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
225.00
ACCOUNT TOTAL 6,225.00
101-6001-463.'51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-6001-463.53-01
Services & Supplies /
Printing
GM
00099
01/11
AP
07/02/10 0088334
OFFICE DEPOT
60.97
523721560001
BCARD-K MCCUNE
GM
02083
09/11
AP
03/04/11 0091221
MCDOWELL AWARDS
19.03
2010-2717
J RAMIREZ/BADGES
GM
03024
12/11
AP
07/01/11 0092714
MCDOWELL AWARDS
89.18
2010-3343
NAME PLATES
ACCOUNT TOTAL
169.18
101-6001-463.53-03
Services & Supplies /
Membership Dues
GM
00157
01/11
AP
07/20/10 0088271
COACHELLA VALLEY ARCHAEOL
50.00
JUL110
MEMBERSHIP
GM
00157
01/11
AP
07/22/10 0088257
ASSOCIATION OF ENVIRONMEN
220.00
7/10-7/11
MEMBERSHIP
GM
00350
02/11
AP
08/06/10 0088702
ULI-URBAN LAND INSTITUTE
225.00
1194576
MEMBERSHIP
GM
00725
04/11
AP
09/15/10 0089157
AMERICAN PLANNING ASSOCIA
475.00
•
77373100801
MEMBERSHIP
GM
01564
07/11
AP
12/13/10 0090445
AMERICAN PLANNING ASSOCIA
410.00
66222101107
MEMBERSHIP DUES
GM
02177
10/11
AP
03/28/11 0091301
CALIFORNIA PRESERVATION F
150.00
JOHNSON
MEMBERSHIP
ACCOUNT TOTAL
11530.00
200.00
6,025.00
.00
.00
.00
169.18
.00
1,530.00
PREPARED - ._7/2014, 10:19:00 GENERAL LEDGER AUiiVITY LISTING PAGE1273
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- --------------------------------------------------------------------------------------------------------------------------------
101-6001-463.53-04 Services & Supplies / Subscrip & Publications
GM 02288 10/11 AP 04/01/11 0091560 WELLS FARGO BUSINESS CARD 197.36.
3072 VISA CARD PYMT
ACCOUNT TOTAL 197.36
101-6001-463.54-01 Information Technology / Info Technology Chgs
ACCOUNT TOTAL
101-6001-463.55-01
Advertising / Advertising
GM
00353
02/11
AP
07/15/10
0088622
DESERT
SUN
PUBLISHING
CO
170.38
3107
ADS
GM
00931
04/11
AP
09/12/10
0089491
DESERT
SUN
PUBLISHING
CO
163.74
3917
ADS
GM
00605
03/11
AP
09/15/10
0088945
RIVERSIDE COUNTY CLERK
64.00
NOTICE FEE
EXEMPTION FILING
GM
00931
04/11
AP
09/15/10
0089491
DESERT
SUN
PUBLISHING
CO
165.40
3922
ADS
GM
01092
05/11
AP
10/01/10
0089769
DESERT
SUN
PUBLISHING
CO
175.36
4200
ADS
GM
01092
05/11
AP
10/29/10
0089769
DESERT
SUN
PUBLISHING
CO
168.72
4623
ADS
GM
01092
05/11
AP
10/31/10
0089769
DESERT
SUN
PUBLISHING
CO
316.27
4671
ADS
GM
01265
06/11
AP
11/29/10
0089953
COUNTY
OF RIVERSIDE
64.00
TPM36329
EXEMPTION
LETTER
GM
01514
07/11
AP
12/01/10
0090296
DESERT
SUN
PUBLISHING
CO
173.70
5073
ADS
GM
01514
07/11
AP
12/01/10
0090296
DESERT
SUN
PUBLISHING
CO
172.04
5074
ADS
GM
01514
07/11
AP
12/24/10
0090296
DESERT
SUN
PUBLISHING
CO
175.36
5437
ADS
GM
01793
08/11
AP
01/01/11
0090777
DESERT
SUN
PUBLISHING
CO
177.02
4
ADS
GM
01474
07/11
AP
01/07/11
0089953
COUNTY
OF RIVERSIDE
TPM36329
EXEMPTION.LETTER
GM
01793
08/11
AP
01/26/11
0090777
DESERT
SUN
PUBLISHING
CO
316.27
307
ADS
GM
02003
09/11
AP
02/18/11
0091071
DESERT
SUN
PUBLISHING
CO
316.27
591
ADS
GM
02003
09/11
AP
02/25/11
0091071
DESERT
SUN
PUBLISHING
CO
167.70
690
ADS
GM
03010
12/11
AP
06/03/11
0092610
DESERT
SUN
PUBLISHING
CO
316.27
1880
ADS
GM
03010
12/11
AP
06/03/11
0092610
DESERT
SUN
PUBLISHING
CO
172.04
1881
ADS
GM
03010
12/11
AP
06/08/11
0092610
DESERT
SUN
PUBLISHING
CO
316.27
64.00
.00
197.36
.00
.00
.00
PREPARED
_ .-7/2014, 10:19:00
GENERAL LEDGER
N6:iVITY
LISTING
PAGE1274
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D
E S C-R I P T I 0 N
DEBITS
CREDITS BALANCE
101-6001-463.55-01
Advertising / Advertising
0608
ADS
GM
03010
12/11
AP
06/11/11 0092610
DESERT SUN PUBLISHING
CO
316.27
.
1961
ADS
GM
03010
12/11
AP
06/11/11 0092610
DESERT SUN PUBLISHING
CO
316.27
2042
ADS
GM
03010
12/11
AP
06/24/11 0092610
DESERT SUN PUBLISHING
CO
316.27
2154
ADS
ACCOUNT TOTAL
4,539.62
64.00 4,475.62
101-6001-463.56-01
Services & Supplies /
Office Supplies
.00
GM
00353
02/11
AP
08/10/10 0088695
STAPLES ADVANTAGE
113.28
3140582085
OFFICE SUPPLIES
GM
00437
03/11
AP
08/19/10 0088893
STAPLES ADVANTAGE
47.24
3140902477
OFFICE SUPPLIES
GM
00437
03/11
AP
08/24/10 0088893
STAPLES ADVANTAGE
36.93
3141132458
OFFICE SUPPLIES
GM
00437
03/11
AP
08/25/10 0088893
STAPLES ADVANTAGE
41.15
3141153867
OFFICE SUPPLIES
GM
00581
03/11
AP
09/01/10 0088893
STAPLES ADVANTAGE
67.40
3141711271
OFFICE SUPPLIES
GM
00622
03/11
AP
09/03/10 0089090
STAPLES ADVANTAGE
79.40
3141789908
OFFICE SUPPLIES
GM
00603
03/11
AP
09/08/10 0089090
STAPLES ADVANTAGE
55.26
3141995630
OFFICE SUPPLIES
GM
00784
04/11
AP
09/25/10 0089266
STAPLES ADVANTAGE
16.26
3142773342
OFFICE SUPPLIES
GM
00784
04/11
AP
09/25/10 0089266
STAPLES ADVANTAGE
69.53
3142773340
OFFICE SUPPLIES
GM
00860
04/11
AP
09/29/10 0089468
STAPLES ADVANTAGE
74.11
3142827830
RETURN CREDIT
GM
00860
04/11
AP
10/05/10 0089468
STAPLES ADVANTAGE
177.66
3143459672
OFFICE SUPPLIES
GM
00860
04/11
AP
10/06/10 0089468
STAPLES ADVANTAGE
74.11
3143481755
OFFICE SUPPLIES
GM
02302
10/11
AP
10/13/10 0091695
STAPLES ADVANTAGE
2.64
3143749398
RETURN CREDIT
GM
00977
05/11
AP
10/19/10 0089654
STAPLES ADVANTAGE
131.64
3144013644
OFFICE SUPPLIES
GM
01159
05/11
AP
11/02/10 0089841
STAPLES ADVANTAGE
32.63
3144887372
OFFICE SUPPLIES
GM
01246
06/11
AP
11/09/10 0090053
STAPLES ADVANTAGE
53.46
3145168596
OFFICE SUPPLIES
GM
01246
06/11-
AP
11/20/10 0090053
STAPLES ADVANTAGE
25.67
3145706254
OFFICE SUPPLIES
GM
01246
06/11
AP
11/20/10 0090053
STAPLES ADVANTAGE
4.34
3145706253
OFFICE .SUPPLIES
GM
01362
06111
AP
12/03/10 0090229
STAPLES ADVANTAGE
187.19
PREPARED
_ _7/2014,
10:19:00
GENERAL LEDGER A6iiVITY
LISTING
PAGE1275
PROGRAM
GM362LA
CITY
-----------------------------------
OF LA
QUINTA, CALIFORNIA
=
FUND
101
General
------------------------------------------------------------------------------------------------
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
.101-6001-463.56-01
Services & Supplies
/ Office Supplies
3146271834
OFFICE SUPPLIES
GM
01362
06/11.
AP
12/04/10 0090229
STAPLES ADVANTAGE
98.95
'
3146473987
OFFICE SUPPLIES
GM
01335
06/11
AP
12/13/10 0090086
CASH/PETTY CASH
5.43
121310
PETTY CASH REIMB
GM
01457
07/11
AP
12/28/10 0090348
STAPLES ADVANTAGE
35.80
3147254093
OFFICE SUPPLIES
GM
01768
08/11
AP
12/31/10 0090900
STAPLES ADVANTAGE
81.79
3147311571
OFFICE SUPPLIES
GM
01560
07/11
AP
01/05/11 0090536
STAPLES ADVANTAGE
47.60
3147815176
OFFICE SUPPLIES
GM
01571
07/11
AP
01/07/11 0090536
STAPLES ADVANTAGE
36.87
3147867808
OFFICE SUPPLIES
GM
01768
08/11.
AP
01/25/11 0090900
STAPLES ADVANTAGE
47.14
3148746363
RETURN CREDIT '
GM
01903
09/11
AP
02/16/11 0091046
STAPLES ADVANTAGE
130.92
3150052212
OFFICE SUPPLIES
GM
02045
09/11
AP
02/17/11 0091253
STAPLES ADVANTAGE
90.96
3150071182
OFFICE SUPPLIES
GM
01903
09/11
AP
02/24/11 0091046
STAPLES ADVANTAGE
68.06
3150358591
OFFICE SUPPLIES
GM
02045
09/11
AP
03/01/11 0091253
STAPLES ADVANTAGE
30.02
3150908068
OFFICE SUPPLIES
GM
02045
09/11
AP
03/02/11 0091253
STAPLES ADVANTAGE
169.39
3150959221
OFFICE SUPPLIES
GM
02045
09/11
AP
03/03/11 0091253
STAPLES ADVANTAGE
205.06
3150988470
OFFICE SUPPLIES
GM
02045
09/11
AP
03/08/11 0091253
STAPLES ADVANTAGE
76.13
3151235134
OFFICE SUPPLIES
GM
02045
09/11
AP
03/10/11 0091253
STAPLES ADVANTAGE
90.96
3151274060
RETURN CREDIT
GM
02156
10/11
AP
03/18/11 0091472
P.F. PETTIBONE & CO
206.65
22432
OFFICE SUPPLIES
GM
02302
10/11
AP
04/05/11 0091695
STAPLES ADVANTAGE
82.60
3152786579
OFFICE SUPPLIES
GM
02251
10/11
AP
04/07/11 0091496
SILVERROCK RESORT
18.00
97829622
3RD QTR SALES TX
GM
02302
10/11
AP
04/08/11 0091695
STAPLES ADVANTAGE
149.61
3152856742
OFFICE SUPPLIES
GM
02561
11/11
AP
04/28/11 0092055
STAPLES ADVANTAGE
36.72
3153683291
OFFICE SUPPLIES
GM
02558
11/11
AP
05/05/11 0092055
STAPLES ADVANTAGE
32.59
3154271387
OFFICE SUPPLIES
GM
02558
11/11
AP
05/06/11 0092055
STAPLES ADVANTAGE
27.64
3154296189
OFFICE SUPPLIES
GM
02616
11/11
AP
05/07/11 0092055
STAPLES ADVANTAGE-
24.29•
3154482179
OFFICE SUPPLIES
GM
02694
12/11
AP
05/17/11 0092279
STAPLES ADVANTAGE
155.53
3154802763
OFFICE SUPPLIES
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER AUiiVITY LISTING PAGE1276
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-Z ----------------------------------------------------------------------------------------------------------------------------------
101-6001-463.56-01
Services & Supplies /
Office Supplies
Exp / Personnel
GM
02694
12/11
AP
05/18/11 0092279
STAPLES ADVANTAGE
58.43
01-029
MONTHLY
GF
REIMB
3154822707 .
OFFICE SUPPLIES
02/11
GM
02728
12/11
AP
05/26/11 0092279
STAPLES ADVANTAGE
277.38
GM
00716
03/11
AJ
3155140936
OFFICE SUPPLIES
03-035
GM
02865
12/11
AP
06/08/11 0092358
COW GOVERNMENT INC
79.54
10/31/10
JE
04-027
MONTHLY
XQG0790
MONITOR - JAY
GM
GM
02955
12/11
AP
06/15/11 0092571
STAPLES ADVANTAGE
52.82
GF
REIMB
GM
01239
3156191037
OFFICE SUPPLIES
12/31/10
GM
03021
12/11
AP
06/21/11 0092741
STAPLES ADVANTAGE
104.22
07/11
AJ
01/31/11
JE
3156467557
OFFICE SUPPLIES
GF
REIMB
GM
01717
08/11
ACCOUNT TOTAL
02/28/11
3,596.15
101-6001-463.56-07
MONTHLY
GF
Services & Supplies /
Supplies -Copier
01986
GM
02865
12/11
AP
06/08/11 0092358
COW GOVERNMENT INC
300.00
REIMB
GM
02521'
10/11
XQG0790
MONITOR - JAY
JE
10-044
_
GF
REIMB
ACCOUNT TOTAL
02743
300.00
101-6001-463.71-01 Capital Purchases / Machinery & Equipment
r -
ACCOUNT TOTAL
101-6001-463.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-6001-463.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-6001-463.91-11
Reimbursed
Gen Fund
Exp / Personnel
GM
00194
01/11
AJ
07/30/10
JE
01-029
MONTHLY
GF
REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
GM
02521'
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
214.85
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
7,658.00
3,38.1.30
.00
300.00
.00
.00
.00
.00
.00
.00
.00
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER ACTIVITY LISTING PAGE1277
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING -
GROUP ACCTG ----TRANSACTION --- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-6001-463.91-11 Reimbursed Gen Fund Exp / Personnel
101-6001-463.91-12
GM 00194 01/11 AJ
GM 011572 02/11 AJ
GM 00716 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02521 10/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
ACCOUNT TOTAL
Reimbursed Gen Fund
07/30/10 JE•01-029
08/31/10 JE 02-034
09/30/10 JE 03-035
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12 -002 -
ACCOUNT TOTAL
Exp / Service & Supply
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
101-6001-463.92-11 Other Charges / Fleet Maint Program Chrgs
ACCOUNT TOTAL
101-6002-463.10-01 Salaries & Wages / Permanent Full Time
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
0.7/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
.07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR•CD824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
CR
01111
05/11
CR
11/10/10
0006158
FLEX SYS
REIMB - Y FRANCO
PPARKER
11/10/10 01
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
PR
01561
07/11
AJ.01/21/11
PRO121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
PR
02016
09/11
AJ•03/18/11
PRO318
PAYROLL
SUMMARY
13,224.83
12,865.69
13,286.12
13,286.14
13,347.46
13,422.42
13,422.40
13,422.66
13,422.40
13,787.58
13,776.28
13,609.69
13,610.18
13,609.68
13,609.68
13,609.71
13,609.67
13,609.69
13,609.96
91,896.00
242.00
242.00
242.00
242.00
242.00-
242.00
242.00
242.00
242.00
242.00
242.00
242.00
2,904.00
10,579.92
166.60
91,896.000R
.00
2,904.000R
.00
.00
.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER ACTIVITY LISTING PAGE1278
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
---- I------------------------------------------------------------------------------------------------ ----------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-6002-463.10-01 Salaries & Wages / Permanent Full Time
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-6002-463.10-03 Salaries & Wages / Salaries -•Part Time
ACCOUNT TOTAL
101-6002-463.10-04 Salaries & Wages / Regular Overtime
ACCOUNT TOTAL
101;6002-463.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-6002-463.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-6002-463.10-30 Salaries & Wages / Employee Recognition
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
ACCOUNT TOTAL
101-6002-463.20-01 Employee Benefits / PERS-City Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PROB06
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL
SUMMARY
13,609.68
13,609.68
13,609.68
13,609.68
13,609.68 ,
13,609.67
13,609.68
12,248.76
363,658.75
100.00
100.00
1,355.21
1,318.35
1,361.50
1,361.50
1,367.79
1,375.49
1,375.48
1,375.49
10,746.52
100.00
100.00
1,084.17
352,912.23
.00
.00
.00
.00
.00
.00
.00
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PREPARED ___!7/2014, 10:19:00 GENERAL LEDGER ACTIVITY LISTING PAGE1283
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N
101-6002-463.21-07
Insurance Benefits /
Long Term
Disability
PR
00007
01/11
AJ
07/09/10
PR0709 •
PAYROLL
SUMMARY
OR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PRIO01
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
'AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
FR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-6002-463.21-08 Insurance Benefits / ADBD
ACCOUNT TOTAL
101-6002-463.25-01
Workers
Comp Insurance
/ Workers Comp Insurance
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917.
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
OD911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
DEBITS CREDITS
143.28
143.28
73.54
56.49
47.61
34.36
34.36
34.36
34.36
34.36
34.36
34.36
34.36
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
81.54
73.38
1,872.48
390.13
379.54
391.94
391.94
393.75
395.96
395.96
395.97
395.96
406.74
114.63
114.63
312.11
BEGINNING
/ENDING
BALANCE
1,757.85
.00
.00
.00
PREPARED
L7/2014,
10:19:00
GENERAL LEDGER AUIIVITY
LISTING
PAGE1284
PROGRAM
GM362LA
PR0709
PAYROLL
SUMMARY
134.74
PR
00007
01/11
CITY OF
LA QUINTA, CALIFORNIA
PR0709
PAYROLL
SUMMARY
PR
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
07/23/10
PR0723
PAYROLL
SUMMARY
BEGINNING
GROUP ACCTG
----TRANSACTION----
02/11
AJ
08/06/10
PR0806
PAYROLL
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-6002-463.25-01
135.63
Workers Comp
Insurance
/ Workers
Comp Insurance
09/03/10
PR0903
PR 01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
•406.40
PR0917
PR 01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
401.49
PR1001
PR 01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
401.50
PR1015
PR 01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
401.49
PR1029
PR 01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
401.49
PR1112
PR 02646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
401.49
PR1124•
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
401.49
PR1210
PR 01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
•401.49
PR1223
PR 02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
401.50
PRO107
PR 02151'
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
401.49
PRO121
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
401•.49
PR0204
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
401.49
PR0218
PR 02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
401.49
PRO304
PR 02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
401.49
PRO318
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
401.49
PRO401
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
401.49
GM 03023
12/11
AJ
06/30/11
JE 12-056
ADJ WORK
COMP TO ACTUAL
5,447.13
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
361.35
ACCOUNT
TOTAL
10,728.01 5,759.24
4,968.77
101-6002-463.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-6002-463.27-03
Other Benefits 8
Deduc. / Medicare
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
134.74
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
129.53
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
135.63
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
135.63
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
136.52
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
137.61
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
137.61
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
137.61
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
137.61
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
143.63
PR
01137
05/11
AJ
11/24/10
PR1124•
PAYROLL
SUMMARY
142.74
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
140.33
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
140.34
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
140.33
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
140.33
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
140.33
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
140.33
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
140.33
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
140.33
PR
02151
10/11
AJ
04/01/11
PRO401
PAYROLL
SUMMARY
140.33
107.80
.00
.00
.00
PREPARED L7/2014, 10:19:00
GENERAL LEDGER
m6iIVITY
LISTING
PAGE1285
PROGRAM GM362LA
CITY -OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-=----------------------------------------------------------------------------------------------------------------------------------
CD DATE NUMBER D E
S C R I
P T I O
N
DEBITS CREDITS
BALANCE
101-6002-463.27-03 Other Benefits & Deduc.
/ Medicare
PR 02253 10/11
AJ 04/15/11 PR0415
PAYROLL
SUMMARY
140.33
PR 02348 10/11
AJ 04/29/11 PR0429
PAYROLL
SUMMARY
140.33
PR 02524 11/11
AJ 05/13/11 PR0513
PAYROLL
SUMMARY
140.33
PR 02625 11/11
AJ 05/27/11 PR0527
PAYROLL
SUMMARY
140.33
PR 02733 12/11
AJ 06/10/11 PR0610
PAYROLL
SUMMARY
140.33
PR 02867 12/11
AJ 06/24/11 PR0624
PAYROLL
SUMMARY
140.33
PR 02947 12/11
AJ 07/08/11'PR0708
PAYROLL
SUMMARY
126.30
ACCOUNT TOTAL
3,740.12 107.80
3,632.32
101-6002-463.32-10 Contract Services / Professional
.00
GM 00367' 03/11
AP 07/31/10 0088867
PLANNING
CENTER
INC,
THE
140.00
45664
HOUSING
ELEMENT
PROJECT#:
PL2415
GM 00784 04/11
AP 08/31/10 0089246
PLANNING
CENTER
INC,
THE
560.00
45820
HOUSING
ELEMENT
PROJECT#:
PL2415
GM 01001 05/11
AP 09/30/10 0089626
PLANNING
CENTER
INC,
THE
140.00
45927
SEP-HSNG
ELEMENT
PROJECT#:
PL2415
GM 01265 06/11
AP 10/31/10 0090028
PLANNING
CENTER
INC,
THE
820.00
46057
OCT -PROF
SVC
PROJECT#:
PL2415
GM 01478 07/11
AP 11/30/10 0090329
PLANNING
CENTER
INC,
THE
140.00
46167
HSNG ELEMENT108
PROJECT#:
PL2415
GM 01903 09/11
AP 12/31/10`0091035
PLANNING
CENTER
INC,
THE
1,523.02
46282
DEC-HSNG
ELEMENT
PROJECT#:'
PL2415
GM 03024 12/11
AP 05/31/11.0092723
PLANNING
CENTER
INC,
THE
70.00
46908
HOUSING
ELEMENT
ACCOUNT TOTAL
3,393.02
3,393.02
101;6002-463.33-22 Other Outside Services
/ AB 939
Recycling
.00
-ACCOUNT TOTAL
.00
101-6002-463.34-04 Contract Services / Technical
.00
ACCOUNT TOTAL
.00
101-6002-463.44-01 Contract Services / Equipment
Rental
.00
ACCOUNT TOTAL
.00
PREPARED
L7/2014, 10:19:00
GENERAL LEDGER miiIVITY
LISTING
PAGE1286
PROGRAM
GM362LA
CITY OF LA
-------------------'-----------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND•101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-6002-463.51-01
Services
& Supplies /
Travel & Training
.00
GM 00299
02/11
AP
07/30/10
0088540
JOHNSON, LES
90.97
REIMB
MEALS
GM 00299
02/11
AP
08/03/10
0088549
WELLS FARGO BUSINESS CARD
50.00
3072
VISA CARD PYMT
GM 00713
03/11
AP
09/28/10
0089106
AMERICAN PLANNING ASSOCIA
20.00
WUU'
REGISTRATION APWA/APA-IES
GM 00751
04/11
AP
09/28/10
0089136
JOHNSON, LES
26.32
31928
MEALS -MEETING
GM 00751
04/11
AP
09/30/10
0089136
JOHNSON, LES
21.47
'
402
MEALS -N CRISTE
GM 00837
04/11
AP
10/01/10
0089331
WELLS FARGO BUSINESS CARD
550.00
3072
VISA CARD PYMT
GM 01097
05/11
AP
11/01/10
0089741
WELLS FARGO BUSINESS CARD
100.92
3072
VISA CARD PYMT
GM 01335'
06/11
AP
12/13/10
0090086
CASH/PETTY CASH
13.78
121310
PETTY CASH REIMB
GM 01568
07/11
AP
O1/11/11
0090425
JOHNSON, LES
49.96
REIMB
MEALS -WK MTG
GM 01629
07/11
AP
01/25/11
0090566
JOHNSON, LES
34.86
REIMB
MEALS-ULRICH/LES
ACCOUNT TOTAL
_
958.28
958.28
101=6002-463.51-02
Services
& Supplies /
Vehicle Reimbursement
.00
ACCOUNT TOTAL
.00
101-6002-463.51-03
Services
& Supplies /
Mileage Reimbursement
.00
ACCOUNT TOTAL
.00
101-6002-463.53-01
Services
& Supplies /
Printing
.00
GM 00603
03/11
AP
09/08/10
0089103
WARD, LARRY W - ASSESSOR
10.50
9004
ASSESSOR MAP
GM 00860
04/11
AP
10/05/10
0089480
WARD, LARRY W - ASSESSOR
3.00
9098
ASSESSOR MAP
GM 01478
07/11
AP
12/14/10
0090361
WARD, LARRY W - ASSESSOR
4.50
9273
ASSESSOR MAP
GM 01632
08/11
AP
01/06/11
0090727
WARD, LARRY W - ASSESSOR
10.50
9363
ASSESSORS MAP COPY
GM 01903
09/11
AP
02/09/11
0091056
WARD, LARRY W - ASSESSOR
9.00
9451
ASSESSOR MAP COPY
GM 02084
09/11
AP
03/09/11
0091267
WARD, LARRY W - ASSESSOR
6.00
9523
ASSESSOR MAP FEE
GM 02350
10/11
AP
04/06/11
0091710
WARD, LARRY W - ASSESSOR
6.00
9618
ASSESSOR MAP COPY
PREPARED L7/2014, 10:19:00 GENERAL LEDGER NI.IIVITY LISTING PAGE1287
PROGRAM GM362L•A
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ---•-TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-6002-463.53-01 Services & Supplies / Printing
GM 03021 12/11 AP 06/30/11 0092747 WARD, LARRY W ASSESSOR
9826 ASSESSOR MAP COPY
ACCOUNT TOTAL
101-6002-463.53-03
Services & Supplies
/ Membership Dues
GM
00275
02/11
AP
07/06/10 0088453
AMERICAN PLANNING ASSOCIA
SUBSCRIPTION
0089331
150640100502
MEMBERSHIP
GM
00319
02/11
AP
07/31/10 0088610
ASSOCIATION OF ENVIRONMEN
OCT'10 SALES TAX
0091922
2030370
MEMBERSHIP
GM
O0736
04/11
AP
09/15/10 0089157
AMERICAN PLANNING ASSOCIA
172327100801
MEMBERSHIP
GM
01366
06/11
AP
12/13/10 0090169
AMERICAN PLANNING ASSOCIA
158147101107
MEMBERSHIP
GM
02084
09/11
AP
O1/10/11 0091222
NATIONAL TRUST
R9P151
MEMBERSHIP DUES
ACCOUNT TOTAL
101-6002-463.53-04 Services
GM 00605 03/11 AP 09/01/10
3072
GM 00622 03/11 AP 09/11/10
RENEWAL
GM O1)837 04/11 AP 10/01/10
3072
GM 0104.8 05/11 AP 11/03/10
97829622
GM 02538, 11/11 AP 05/02/11
3072
& Supplies / Subscrip & Publications
0088952
WELLS FARGO BUSINESS
CARD
VISA CARD PYMT
0088995
CALIFORNIA PLANNING &
DEV
SUBSCRIPTION
0089331
WELLS FARGO BUSINESS
CARD
VISA CARD PYMT
0089652
SILVERROCK RESORT
OCT'10 SALES TAX
0091922
WELLS FARGO BUSINESS
CARD
VISA PYMT
ACCOUNT TOTAL
101-6002-463.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-6002-463.54-01 Information Technology / Info.Technology Chgs
ACCOUNT TOTAL
101-6002-463.56-01 Services & Supplies / Office Supplies
ACCOUNT TOTAL
3.00
52.50
535.00
20.00
360.00
265.00
115.00
1,295:00
38.00
238.00
85.01
3.00
89.44
453.45
52.50
.00
1,295.00
00
453.45
.00 .
.00
.00
.00
.00
.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER NiiIVITY LISTING PAGE1288
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
- ----- ---- --------- --------- ----------- --------------------------- ----- ------ ---------- -------------- --------- ------------- --- -- --- --
101-6002-463.56-02 Services & Supplies•/ Operating Supplies
ACCOUNT TOTAL
101-6002-463.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101-6002-463.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-6002-463.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-6002-463.91-11
Reimbursed Gen Fund Exp
/ Personnel
GM
00194
01/11
AJ
07/30/10
JE
01-029
MONTHLY
GF
REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027•
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
0.6/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11•JE
09-019
MONTHLY
GF
REIMB
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
ACCOUNT TOTAL
101-6002-463.91-12
Reimbursed Gen Fund Exp
/ Service &.Supply
GM
00194
01/11
AJ
07/30/10
JE
01-029
MONTHLY
GF_REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034•
MONTHLY
GF
REIMB
GM
0.0716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
0}239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB'
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
5,033.00
60,396.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
33.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
60,396.000R
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __..VITY LISTING PAWCL289
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER'PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-6002-463.91-12 Reimbursed Gen Fund Exp / Service & Supply
ACCOUNT TOTAL
101-6002-463.92-11 Other Charges / Fleet Maint Program Chrgs
ACCOUNT TOTAL
101-7000-322.60-00
Non -Business Licenses
/ Major Encroach Permit
CR
Q0025
01/11
CR
07/01/10
0020320
ENC PRMT
10038/MOOREFIELD
KBLONDELL
07/01/10 01
CR
00173
01/11
CR
07/26/10
0000873
ENC PRMT
10013/LEVITAN DE
KBLONDELL
07/26/10 01
CR
00244
02/11
CR
08/03/10
0001184
ENC PRMT
10039/TFG-LQC LL
KBLONDELL
08/03/10 01
CR
00244
02/11
CR
08/03/10
0001198
TRI STAR
CONTRACTING INC
MMENDOZA
08/03/10 01
CR
00244
02/11
CR
08/03/10
0001211
COCHRAN COMM
MMENDOZA
08/03/10 01
CR
00261
02/11
CR
08/05/10
0001293
ENC PRMT
10030/THE GAS CO
KBLONDELL
08/05/10 01
CR
00531
03/11
CR
09/02/10
0002398
BUS LIC/ENCROACH/BLDG
PRM
DMARTIN
09/02/10 01
CR
00584
'03/11
CR
09/10/10
0002777
ENCROACHMENT
PERMIT WASH
MMENDOZA
09/10/10 01
CR
00608
03/11
CR
09/14/10
0002921
ENC PRMT
10049,10050,1005
KBLONDELL
09/14/10 01
CR
00660
03/11
CR
09/21/10
0003286
ENC PRMT
10024/SHEA HOMES
KBLONDELL
09/21/10 01
CR
OD675
03/11
CR
09/22/10
0003331
ENC PRMT
10046/AZ PIPELIN
KBLONDELL
09/22/10 01
CR
00689
03/11
CR
09/23/10
0003358
ENC PRMT
10056/SHEA HOMES
KBLONDELL
09/23/10 01
CR
00789.
04/11
CR
10/04/10
0003895
ENC PRMT/ST
FRANCIS OF AS
KBLONDELL
10/04/10 01
CR
00803
04/11
CR
10/06/10
0004052
ENC PRMT
10061/ST-ANDRD PA
.KBLONDELL
10/06/10 01
CR
00810
04/11
CR
10/07/10
0004173
ENC PRMT
10058/DESERT EST
KBLONDELL
10/07/10 01
CR
00863
04/11
CR
10/12/10
0004526
ENC PRMT
10057/VERIZON
KBLONDELL
10/12/10 01
CR
00869
04/11
CR
10/13/10
0004580
ENC PRMT
10063/AZ PIPELIN
KBLONDELL
10/13/10 01 -
CR
00898
04/11
CR
10/19/10
0004777
ENC PRMT
10065/DESERT VIE
KBLONDELL
10/19/10 01
CR
00980
04/11
CR
10/28/10
0005268
SUPR READY
MIX/ENCROACH P
DMARTIN
10/28/10 01
CR
01086
05/11
CR
11/09/10
0006026
ENC PRMT
10067/SHEA HOMES
396.00
225.00
•100.00
1,016.00
100.00
100.00
1,420.00
100.00
430.00
12,180.00
7,364.00
100.00
1,953.00
22,881.00
517.00
1,230.00
100.00
100.00
100.00
460.00
100.00
396.000R
.00
.00
.00
PREPARED
_-7/2014, 10:19:00
GENERAL LEDGER Mu,,VITY LISTING
PMUC1290
PROGRAM •GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
7 BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------------------
PER.
CD
DATE
NUMBER D
-------------------------------------•---------------------------------------------------------
E S C R I P T I O N 'DEBITS
CREDITS
BALANCE
.101-7000-322.60-00
Non -Business Licenses
/ Major Encroach Permit
KBLONDELL 11/09/10 01
CR
01155
05/11•
CR
11/19/10
0006632
DETAIL
550.00
•
MMENDOZA 11/19/10 01
CR
01191
05/11
CR
11/22/10
0006731
ENC PRMT 10075/BOB HOPE C
100.00
KBLONDELL 11/22/10 01
CR
01198
05/11
CR
11/23/10
0006781
ENC PRMT 10073/COCHRAN CO
100.00
KBLONDELL 11/23/10 01
CR
01198'
05/11
CR
11/23/10
0006789
ENC PRMT 10072/UNITED CON
100.00
KBLONDELL 11/23/10 01
CR
01205
05/11
CR
11/24/10
0006882
ENC PRMT 10076/SHEA HOMES
7,882.00
KBLONDELL 11/24/10 01
CR
01216
05/11
CR
11/29/10
0006957
ENC PRMT 10078/KEN GARFF
12,628.00
KBLONDELL 11/29/10 01
CR
01286
06/11
CR•12/06/10
0007411
ENC PRMT 10081/ALMS UNDE
292.00
KBLONDELL 12/06/10 01
CR
01404
06/11
CR
12/17/10
0008095
ENCH #10080 -DESERT VALLEY
100.00
MMENDOZA 12/17/10 01
CR
01495
07/11
CR
01/05/11
0008705
KSL/PW INV2010-12 PUBL HE
2,355.50
DMARTIN 01/05/11 01
CR
01521
07/11
CR
01/10/11
0008998
ENCH PRMT-COCHRAM
265.00
MMENDOZA 01/10/11 01
CR
01552
07/11
CR
01/13/11
0009449
ENCH PERMIT-VERIZON
100.00
MMENDOZA 01/13/11 01
CR
01620
07/11
CR
01/24/11
0009830
ENC PRMT 11006/CALI BUILT
280.00
KBLONDELL 01/24/11 01
CR
01664
07/11
CR
01/27/11
0010026
ENC PRMT 11009/COCHRAN CO
310.00
KBLONDELL 01/27/11 01
CR
01678
07/11
CR
01/31/11
0010180
ENC PRMT 11012/WDL INC
521.00
KBLONDELL 01/31/11 01
CR
01723
08/11
CR
02/02/11
0010483
ENC PRMT 11.014/MR.ROOTER
100.00
KBLONDELL 02/02/11 01
CR
01743
•
08/11
CR
02/07/11
0010874
ENCROACHEMENT PERMIT
280.00
CASHVO 02/07/11 01
CR
01761
08/11
CR
02/09/11
0010973
ENC PRMT 11011/THE GAS CO
100.00
KBLONDELL 02/09/11 01
CR
01772
08/11
CR
02/10/11
0011540
ENC PRMT 11018 K MNR PLN
2,019.00
KBLONDELL 02/10/11 01
CR
01806
08/11
CR
02/11/11
0011552
ENCROACHMENT PERMIT -CRAB
100.00
MANCILLA 02/11/11 01
CR
01826
08/11
CR
02/16/11
0011779
ENCHMT PERMIT-VERIZON
100.00
MMENDOZA 02/16/11 01
CR
01860
08/11
CR
02/23/11
0012870
NEWPORT TRAFFIC
100.00
MMENDOZA 02/23/11 01
CR
01944
09/11
CR
03/02/11
0013320
ENC PRMT 11023/STEVE DE C
610.00
KBLONDELL 03/02/11 01
CR
02056
09/11
CR
03/10/11
0014275
ENCH PERMIT
100.00
MMENDOZA 03/10/11 01
CR
02158
09/11
CR
03/24/11
0015385
PUERTA AZUL PARTNERS LLC
892.00
MMENDOZA 03/24/11 01
PREPARED
_ __7/2014,
10:19:00
GENERAL LEDGER _VITY LISTING
00141
PmomA291
PROGRAM
GM362LA
0000700
TRANS PRMT/WEST COAST SRV
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------=-----------------------------------
KBLONDELL 07/20/10 01
FUND 101
General
Fund
CR
07/22/10
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER D
E S C R I P T I O N DEBITS
% CREDITS
BALANCE
101-7000-322.60-00
HAUL PRMT F-13, F14/ELM E
Non -Business Licenses
/ Major Encroach Permit
CR 02201
09/11
CR
03/30/11 0015711
ENCRHM PRMIT-COCHRAN COMM
,•
100.00
CR
10/08/10
0004379
2 HAUL PERMIT-ZOLTAN GRAD
MMENDOZA 03/30/11 01
CR 02323
10/11
CR
04/11/11 0016914
ENC PMT 11038/START TO FI
100.00
CR
11/29/10
0006894
TRANS PRMT/WEST COAST SRV
KBLONDELL 04/11/11 01
CR 0-2445
10/11
CR
04/29/11 0018732
ENC PMT 11041/VERIZON
100.00
CR
11/29/10
0006895
TRANS PRMT /WEST COAST SR
KBLONDELL 04/29/11 01
CR 02459
11/11
CR
05/03/11 0018912
ENC PMT 10079/TRADITION G
2,371.00
CR
11/29/10
0006896
TRANS PRMT/NORCAL PERMIT
KBLONDELL 05/03/11 01
CR 02485
11/11
CR
05/04/11 0018976
ENCHMT PRMT-DESERT VIEW T
100.00
CR
12/22/10
0008229
HAUL PRMT G6/CATTRAC CONS
MMENDOZA 05/04/11 01
CR 02678
11/11
CR
05/26/11 0020452
ENCHMT PERMIT -DESERT VIEW
100.00
CR
12/23/10
0008264
TRNSPRTN PRMT/ON TIME PER
MMENDOZA 05/26/11 01
CR 02760
12/11
CR
06/06/11 0021062
ENCH PERMIT -HOT LINE.CONS
2,012.00
CR
12/23/10
0008265
TRNSPRTN PRMT/WEST COAST
MMENDOZA 06/06/11 01
CR 02774
12/11
CR
06/08/11 0021204
ENC PMT 11048/STONEFIELD
1,413.00
KBLONDELL 06/08/11 01
CR 02810
12/11
CR
06/10/11 0021380
ENCROACHEMENT PERMIT
100.00
CASHVO 06/10/11 01
CR 02957
12/11
CR
06/23/11 0022136
ENC PMT 11054/KIRKPATRICK
100.00
KBLONDELL 06/23/11 01
ACCOUNT TOTAL
87,056.50
87,056.50CR
101-7000-322.62-00 Non -Business Licenses / Minor Encroach Permit
ACCOUNT TOTAL
101-7000-322.64-00
Non -Business Licenses
/ Transportation Permit
CR
00141
01/11
CR
07/20/10
0000700
TRANS PRMT/WEST COAST SRV
KBLONDELL 07/20/10 01
CR
00159
01/11
CR
07/22/10
0000818
ANNUAL HAUL PERMIT-GRANIT
MANCILLA 07/22/10 01
CR
Ob457
02/11
CR
08/23/10
0001863
HAUL PRMT F-13, F14/ELM E
KBLONDELL 08/23/10 01
CR
00816
04/11
CR
10/08/10
0004379
2 HAUL PERMIT-ZOLTAN GRAD
MMENDOZA 10/08/10 01
CR
01216
05/11
CR
11/29/10
0006894
TRANS PRMT/WEST COAST SRV
KBLONDELL 11/29/10 01
CR
01216
05/11
CR
11/29/10
0006895
TRANS PRMT /WEST COAST SR
KBLONDELL 11/29/10 01
CR
01216
05/11
CR
11/29/10
0006896
TRANS PRMT/NORCAL PERMIT
KBLONDELL 11/29/10 01
CR
01434
06/11
CR
12/22/10
0008229
HAUL PRMT G6/CATTRAC CONS
KBLONDELL 12/22/10 01
CR
01439
06/11
CR
12/23/10
0008264
TRNSPRTN PRMT/ON TIME PER
KBLONDELL 12/23/10 01
CR
0;439
06/11
CR
12/23/10
0008265
TRNSPRTN PRMT/WEST COAST
300.00
180.00
180:00
180.00
300.00
16.00
16.00
150.00
270.00
300.00
00
.00
00
PREPARED _ ._7/2014,
10:19:00
GENERAL LEDGER __.:VITY LISTING
Pho« 292
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101•General Fund
BEGINNING.
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D
E
S C R I P T I O N DEBITS •
CREDITS
BALANCE
101-7000-322.64-00
Non -Business Licenses
/
Transportation Permit
KBLONDELL 12/23/10 01
CR 01483 07/11 CR
01/03/11 0008512
CHIGGER EQUIPMNT HUAL G9
90.00
KBLONDELL •01/03/11 01
CR 01495 07/11 CR
01/05/11 0008701
HAUL PRMT G10/REDLANDS TR
90.00
KBLONDELL 01/05/11 01
CR 01500 07/11 CR
01/06/11 0008855
HUAL PRMT G11/ELM EQUIPMN
90.00
•
KBLONDELL 01/06/11 01
CR 01585 07/11 CR
01/14/11 0009459
HAUL PRMT 64/EMERY LNDCLR
90.00
KBLONDELL 01/14/11 01
CR 02049 0.9/11 CR
03/09/11 0014172
TRANS PMT/ALL CALL PMT SR
150.00
KBLONDELL 03/09/11 01
CR 02086 09/11 CR
03/15/11 0014493
WEST COAST SRVC LLC
300.00
KBLONDELL 03/15/11 01
CR 02144 09/11 CR
03/23/11 0015360
HAUL PMT/QUALITY PMTS LLC
15.00
KBLONDELL 03/23/11 01
ACCOUNT TOTAL
2,717.00
2,717.000R
101-7000-322.66-00
Non -Business Licenses
/
Renew Expired Permit
.00
'
ACCOUNT TOTAL
.00
101-7000-322.68-00
Non -Business Licenses
/
Working Without a Permit.
.00
ACCOUNT TOTAL
.00
.101-7000-322.70-00
Non -Business Licenses
/
Plan Revisions
.00
ACCOUNT TOTAL
.00
101-7000-322.72-00
Non -Business Licenses
/
Traffic Ctrl Plan Spec Ev
.00
•
ACCOUNT TOTAL
.00
101-7000-322.74-00
Non -Business Licenses
/
Traffic Ctrl Devices
.00 '
ACCOUNT TOTAL
.00
101-7000-322.76-00
Non -Business Licenses
/
Block Party Permits
.00
ACCOUNT TOTAL
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER mu,.VITY LISTING PAWL1293
PROGRAM GM362L'A
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE .
--- --------------------------------------------------- ----------- ------- ---------------------------------------- --------------------
101-7000-322.78-00 Non -Business Licenses / Nonrefund Barricd Rental
ACCOUNT TOTAL
101-7000-322.80-00 Non -Business Licenses / Equipment Rental fee
ACCOUNT TOTAL
101-7000-322.82-00 Non -Business Licenses / Cleaning Damage Deposit
ACCOUNT TOTAL
101-7000-337.13-.00
County Gov't Revenue./
CVWD
CR
CR
00964
04/11
CR
10/26/10
0005048
CVWD/1ST
QTR WELL SITE MA
KBLONDELL 07/20/10
01
CR
00148
DMARTIN
10/26/10 01
CR
01743
08/11
CR
02/07/11
0010860
CVWD/WELL
MAINT OCT-NOV11
KBLONDELL 07/21/10
01
CR
0 252
DMARTIN
02/07/11 01
CR
02445
10/11
CR
04/29/11
0018705
CVWD/WELL
MAINT JAN-MAR11
KBLONDELL 08/04/10
01
CR
00501
02/11
DMARTIN
04/29/11 01
GM
03047
12/11
AJ
06/30/11
AJE 12-072
ACCRUED REVENUE
FY 10/11
ACCOUNT TOTAL
101-7000-337.60-00 County Gov't Revenue / CSA 152 Assessments
CR 00729 03/11 CR 09/28/10 0003621 CSA152 REIMB/RVRSD CNTY
DMARTIN 09/28/10 01
ACCOUNT TOTAL
101-7000-341.50-00 General Government-/ Sales Maps/Copies/Public.
CR
00141
01/11
CR
07/20/10
0000701
PUB WORKS COPY FEES
KBLONDELL 07/20/10
01
CR
00148
01/11
CR
07/21/10
0000744
COPY FEES/ JACKSON,
H.
KBLONDELL 07/21/10
01
CR
0 252
02/11
CR
08/04/10
0001215
COPY FEES/ JH THOMPSON 8
KBLONDELL 08/04/10
01
CR
00501
02/11
CR
08/30/10
0002212
RECORDS REQUEST
MANCILLA 08/30/10
01
CR
00565
03/11
CR
09/09/10
0002689
COPIES
MMENDOZA 09/09/10
01
CR
00789
04/11
CR
10/04/10
0003945
COPY FEES/CARREN, STEVE
KBLONDELL 10/04/10
01
CR
00863
04/11
CR
10/12/10
0004513
SO CA LABOR MGMT
KBLONDELL 10/12/10
01
CR
00863
04/11
CR
10/12/10
0004515
SO CA LABOR MGMT
.00
.00
.00
.00
.00
.00
.00
4,200.00
4,200.00
4,200.00
4,200.00
16,800.00 16,800.000R
00
297,284.63
297,284.63 297,284.63CR
3.00
30.00
36.00
23.00
39.00
12.00
8.14
10.24
00
PREPARED
_ ,_7/2014,
10:19:00
GENERAL LEDGER _�,:VITY •LISTING
PN7ca294
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
°----TRANSACTION----
/ENDING
APP
--------------------------
NUMBER
PER.
CD
DATE
=--------------------------------------------------------------------------------
NUMBER
D E S C R I P T I O N DEBITS
CREDITS
-------------------------
BALANCE
101-7000-341.50-00
General
Government
/ Sales Maps/Copies/Public.
KBLONDELL 10/12/10 01
CR
00958
04/11
CR
10/25/10.0005034
COPY FEES/SWILY
3.20
KBLONDELL 10/25/10 01
CR
00958
04/11
CR
10/25/10
0005039
COPY FEES/CNTR FOR CONTR
10.30
KBLONDELL 10/25/10 01
CR
01016
05/11
CR
11/02/10
0005675
CITY CLERK - COPIES
8.40
CASHVO 11/02/10 01
GM
01172
05/11
AJ
11/29/10
JE 05-020
RECL COPIES CR#6322 11/15
5.85
CR
01216
05/11
CR
11/29/10
0006986
SO CAL LABOR MGMT
5.90
KBLONDELL 11/29/10 01
CR
01279
06/11
CR
12/03/10
0007345
COPIES
93.00
MMENDOZA 12/03/10'01
CR
01404
06/11
CR
12/17/10
0008109
ROBERT PITCHFORD DEISGN
4.25
MMENDOZA 12/17/10 01
CR
01439
06/11
CR
12/23/10
0008270
COPY FEES
51.00
KBLONDELL 12/23/10 01
CR
01500
07/11
CR
01/06/11
0008861
LOPEZ, BRANDEN/CTR FOR CO
3.55
KBLONDELL 01/06/11 01
CR
01500
07/11
CR
01/06/11
0008857
COPIES
12.00
MMENDOZA 01/06/11 01
CR
01608
07/11
CR
01/20/11
0009705
COPY FEES - PW/LOREN, VIC
6.00
KBLONDELL 01/20/11 01
CR
01854
08/11
CR
02/22/11
0012332
COPY FEES/EVANS, MIKE
3.00
KBLONDELL 02/22/11 01
CR
02219
10/11
CR
04/04/11
0016207
COPY FEES
69.20
KBLONDELL 04/04/11 01
CR
02323
10/11
CR
04/11/11
0016858
COPIES
6.80
MMENDOZA 04/11/11 01
CR
02698
11/11
CR
05/27/11
0020530
COPY FEES
39.35
KBLONDELL 05/27/11 01
CR
02823
12/11
CR
06/14/11
0021520
COPY FEES/EPSTEN GRINNEL
35.30
KBLONDELL 06/14/11 01
CR
02968
12/11
CR
06/27/11
0022259
COPY FEES/LOREN, VICTOR
6.00
KBLONDELL 06/27/11 01
ACCOUNT TOTAL
101-7000-344.50-00 Public Works / TM Final Map Applic Fee
ACCOUNT TOTAL
101-7000-344.51-00 Public Works / TM Map Checking Fee
ACCOUNT TOTAL
101-7000-344.52-00 Public Works / TM GIS Map Scan Fee
524.48
524.48CR
.00
.00
.00
.00
.00
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER ,u. VITY LISTING PNue1295
PROGRAM GM362LA
CITY. OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- :----- ---------- ------------- -------------------------- --------- ---------------------------------- --------------------- ---------
101-7000-344.52-00 Public Works / TM GIS Map Scan Fee
ACCOUNT TOTAL
101-7000-344.53-00 Public Works / TM City Admin fee
ACCOUNT TOTAL
101-7000-344.54-00 Public Works / TM Security Verification
ACCOUNT TOTAL
101-7000-344.55-00 Public Works / TM Lien Agreement
ACCOUNT TOTAL
101-7000-344.60-00 Public' Works / PM Final Map Applic fee
ACCOUNT TOTAL
.101-7000-344.61-00
Public Works / PM
Map Checking fee
CR
00032
01/11
CR
07/02/10
0000147
PLAN'CHECK-THE ALTUM GROU
MMENDOZA 07/02/10 01
PZ
00136
01/11
AJ
07/19/10
PZ
PZ RECEIPTS
CR
00166
01/11
CR
07/23/10
0000834
TRACT 33076-2
FINCOUNT 07/23/10 01
CR
00213
01/11
CR
07/29/10
0000987
PLAN CK=PREST VUKSIC ARCH
MMENDOZA 07/29/10 01
CR
00475
02/11
CR
08/25/10
0001956
CROWNE POINT PARTNERS
CASHVO 08/25/10 01
PZ
00533
03/11
AJ
09/02/10
PZ
PZ RECEIPTS
CR
00565
03/11
CR.09/09/10
0002658
REVISIONS/MSA CONSULTING
KBLONDELL 09/09/10 01
PZ
00648
03/11
AJ
09/17/10
PZ
PZ RECEIPTS
PZ
00648
03/11
AJ
09/17/10
PZ
PZ RECEIPTS
CR
00745
03/11
CR
09/30/10
0003806
PLAN CK
MMENDOZA 09/30/10 01
PZ
00857
04/11
AJ
10/11/10
PZ
PZ RECEIPTS
CR
Ob855
04/11
CR
10/11/10
0004465
PLN CK -REV/DESERT CHEYEN
KBLONDELL 10/11/10 01
CR
00892
04/11
CR
10/18/10
0004747
MSA CONSULTING
MMENDOZA 10/18/10 01
CR
01040
05/11
CR
11/03/10
0005772
PLAN CK -KEN GARFF
MMENDOZA 11/03/10 10
CR
01075
05/11
CR
11/08/10
0005943
TRADITION GOLF CLUB/PLAN
100.00
1,100.00
100.00
756.00
400.00
100.00
100.00
100.00
100.00
2,250.00
100.00
300.00
200.00
3,850.00
3,100.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--.:VITY
LISTING
Pmwm,296
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
------------------------------------------------------------------------------------------
DEBITS
CREDITS
BALANCE
10le7000-344.61-00
Public Works / PM Map
Checking fee
DMARTIN 11/08/10
01
PZ
01120
05/11
AJ
11/12/10 PZ
PZ RECEIPTS
11000.00
CR
01118
05/11
CR
11/12/10 0006246
PREST VUKSIC ARCHI
100.00
KBLONDELL 11/12/10
01
CR
01155.
05/11
CR
11/19/10 0006639
PLAN CK MAPY-DESERT
CHEYE
200.00
MMENDOZA .11/19/10
01
CR
01191
05/11
CR
11/22/10 0006740
PLN CK-REVISION/DRC
ENG I
100.00
KBLONDELL 11/22/10
01
PZ
01281
06/11
AJ
12/03/10 PZ
PZ RECEIPTS
600.00
CR
01307
06/11
CR
12/09/10 0007771
KEN GARFF
500.00
MMENDOZA 12/09/10
01
CR
01404
06/11
CR
12/17/16 0008137
PLAN/MAP-RAMSEY BLDR
100.00
MMENDOZA 12/17/10
01
PZ
01413
06/11
AJ
12/20/10 PZ
PZ RECEIPTS
200.00
CR
01434
06/11
CR
12/22/10 0008225
MINOR PLN CK /ST FRANCIS
100.00
KBLONDELL 12/22/10
01
CR
01439
06/11
CR
12/23/10 0008266
RT HUGHES CO LLC
475.00
KBLONDELL 12/23/10
01
CR
01585
07/11
CR
01/14/11 0009479
PLAN CK-CROWNE POINTE
14,650.00
MMENDOZA 01/14/11
01
CR
01672
07/11
CR
01/28/11 0010156
PLAN CK/PREST VUKSIC
ARCH
200.00
DMARTIN 01/28/11
01
PZ
01774
08/11
AJ
02/10/11 PZ
PZ RECEIPTS
100.00
CR
01772
08/11
CR
02/10/11 0011530
MINOR PLN CK/JHA ENGINEER
100.00
KBLONDELL 02/10/11
01
CR
01772
08/11
CR
02/10/11 0011540
ENC PRMT 11018 & MNR
PLN
100.00
KBLONDELL 02/10/11
01
PZ
01814
08/11
AJ
02/14/11 PZ
PZ RECEIPTS
700.00
CR
01854
08/11
CR
02/22/11 0012293
KSL LAND CORP
51500.00
MMENDOZA 02/22/11
01
CR
01964
09/11
CR
03/03/11 0013.707
PRECISE GRADING/TRADITION
750.00
KBLONDELL 03/03/11
01
GM
02198
10/11
AP
03/29/11 0091521
YEPEZ & SONS
250.00
FLP2009-052
REFUND
CR
02981
12/11
CR
06/29/11 0022393
PLAN CHECK
200.00
MMENDOZA 06/29/11
01
CR
02989
12/11
CR
06/30/11 0022679
PLAN CK -TRADITION
2,350.00
MMENDOZA 06/30/11
01
ACCOUNT TOTAL
250.00
40,675.00
40,425.00OR
101-7000-344.62•-00
Public Works / PM GIS
Map Scan fee
.00
ACCOUNT TOTAL
.00
101-7000-344.63-00
Public Works / PM City
Admin fee
.00
ACCOUNT TOTAL
.00
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PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER--.-VITY LISTING P--298
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I 0•N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7001-431.10-01 Salaries & Wages /•Permanent Full Time
PR 02867 12/11 AJ 06/24/11 PR0624 PAYROLL SUMMARY
GM 03047 12/11 AJ 06/30/11 AJE 12-072 . ACCRUED REVENUE FY 10/11
PR 02947 12/11 AJ 07/08/11 PR0708 PAYROLL SUMMARY
ACCOUNT TOTAL
101-7001-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-7001-431.10-04 Salaries & Wages / Regular Overtime -
ACCOUNT TOTAL
101-7001-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-7001-431.10-18 Salaries & Wages / Natural Disaster - FEMA .
ACCOUNT TOTAL
101-7001-431.10-30 Salaries & Wages / Employee Recognition
PR 01060. 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
ACCOUNT TOTAL
101-7001-431.20-01 Employee Benefits / PERS-City Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11,
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
12,127.73
10,914.93
325,909.39
100.00
100.00
1,244.67
1,244.66
1,244.67
1,244.67
1', 244.67
1,244.66
1,244.67
1,211.19
1,244.66
1,244.67
1,244.67
1,244.67
1,244.67
919.30
17,669.45
100.00
100.00
995.74
308,239.94
.00
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PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER M{,IVITY LISTING FmwcL300
PROGRAM GM362LA
CITY.OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- --- ---- ------------------- -------------------------- ------------ --------------------------- -------- ------ --------------------- ---
101-7001-431.20-03 Employee Benefits / PERS-Survivor Benefits
101-7001-431.21-01
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
OR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02524 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
PR 02947 12/11 AJ
101-7001-431.21-02
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112 '
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PR0513
05/27/11 PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10 PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
/ Vision Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
882.52
882.52
882.52
882.52
882.52
882.52
882.52
882.52-
882.52
882.52
951.67
951.67
951.67
951.67
951.67
951.67
951.67
951.67
951.67
951.67
1,209.81
1,209.81
1,209.81
1,209.81
1,088.83
24,269.97
14.49
14.49
14.49
14.49
14.49.
14.49
14.49
14.49
14.49
14.49
14.49
14.49
706.02
706.02
11.58
.00
00
00
23,563.95
.00
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PREPARED ___17/2014, 10:19:00 GENERAL LEDGER .- IVITY LISTING F--303
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------------------------------------------------------------------------------=---------------------------------
101-7001-431.21-07 Insurance Benefits / Long Term Disability
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-7001-431.21-08 Insurance Benefits / AD&D
101-7001-431.25-01
PR 00007 01/11 AJ
OR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00911 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11. AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ•
PR 02016 09/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02348 10/11 AJ
OR 02524 11/11 AJ
ACCOUNT TOTAL
Workers Comp Insurance
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10•PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001'
10/15/10 PR1015
10/29/10 PR1029
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
04/29/11 PR0429
05/13/11 PR0513
/ Workers Comp Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
13.46
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
59.72
53.74
1,336.40
357.77
357.77
357.77
357.77
357.77
357.77
357.77
348.15
357.77
357.77
357.77
357.77
357.77
357.77
357.77
357.77
357.77
357.77
357.77
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357.77
357.77
104.78
286.22
1,231.62
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GENERAL LEDGER .._.IVITY
LISTING
F____305
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7001-431.32-07
Contract
Services
/ Consultants
.00
GM
00860
04/11
AP
03/22/10
0089458
PMX INC
11000.00
349017
AVE52 ROUNDABOUT
GM
O0275
02/11
AP
08/01/10
0088486
NAI CONSULTING INC
562.50
17 OF 2009-05
JUL-PROF SVC
GM
00350
02/11
AP
08/12/10
0088684
RK ENGINEERING GROUP INC
900.00
10707 •
DESIGN PO#5005
GM
00555
03/11
AP
08/27/10
0088877
RBF CONSULTING INC
5,746.11
10070430
DESIGN
GM
00555
03/11
AP
09/01/10
0088858
NAI CONSULTING INC
1,268.13
18 OF 2009-05
AUG -PROF SVC
GM
00736
04/11
AP
09/01/10
0089175
CROWSON MANAGEMENT SERVIC
823.38
90110
GRAFFITI -COMMERCIAL
GM
01048
05/11
AP
09/24/.10
0089632
RBF CONSULTING
148.20
10080782
AUG -PROF SVC
GM
00823
04/11
AP
10/01/10
0089236
NAI CONSULTING INC
2,750.00
19 OF 2009-05
SEP -PROF SVC
GM
01001
05/11
AP
10/01/10
0089564
CROWSON MANAGEMENT SERVIC
1,359.72
•
100110
GRAFFITI SVC
GM
00913
04/11
AP
10/06/10
0089407
EVANS & ASSOCIATES, DAVID
3,070.00
296637
MILES AVE MEDIANS
GM
01181
06/11
AP
10/06/10
0090042
RK ENGINEERING GROUP INC
165.00
10913
WSH ST/50 STRIPING MODS
GM
01181
06/11
AP
10/06/10
0090042
RK ENGINEERING GROUP INC
2,100.00
10912
STRIPING MODS
GM
01478
07/11
AP
10/29/10
0090333
RBF CONSULTING INC
11,289.19
10090337
SEP -DESIGN SVC
GM
01048
05/11
AP
11/01/10
0089613
NAI CONSULTING INC
7,362.50
20 OF 2009-05
OCT -PROF SVC
GM
01092
05/11
AP
11/01/10
0089760
CROWSON MANAGEMENT SERVIC
297.50
110110
GRAFFITI
GM
01181
06/11
AP
11/01/10
0090042
RK ENGINEERING GROUP INC
31635.00
101009
WASH ST/50 STRIPING
GM
01181
06/11
AP
11/01/10
0090042
RK ENGINEERING GROUP INC
31500.00
101008
STRIPING MODS
GM
01181
06/11
AP
11/11/10
0089966
EVANS & ASSOCIATES, DAVID
4,803.46
297807
DESIGN
GM
01457
07/11
AP
11/22/10
0090333
RBF CONSULTING INC
4,294.00
20101287001
DESIGN SVC
GM
01511
07/11
AP
11/26/10
0090333
RBF CONSULTING INC
3,921.87
10100343
OCT -DESIGN SVC
GM
01264
06/11
AP
12/01/10
0090019
NAI CONSULTING INC
4,725.00
21 OF 2009-05
NOV-PROF SVC
GM
01457
07/11
AP
12/24/10
0090333
RBF CONSULTING INC
1,023.09
10110125
NOV-PROF SVC
GM
01511
07/11
AP
O1/01/11
0090321
NAI CONSULTING INC
31000.00
22 OF 2009-05
DEC -PROF SVC
GM
01571
07/11
AP
O1/01/11
0090463
CROWSON MANAGEMENT SERVIC
209.11
'
10111
COMMERCIAL GRAFFITI
GM
01571
07/11
AP
01/05/11
0090472
EVANS & ASSOCIATES, DAVID
434.72
PREPARED
_17/2014, 10:19:00
GENERAL LEDGER _ 1VITY
LISTING
FMWQL306
PROGRAM
GM362LA
CITY OF LA
-------------------=----------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG'
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS
CREDITS BALANCE
101-7001-431.32-07
Contract Services /
Consultants
300185
DEC -DESIGN
GM
01704
08/11
AP
01/28/11 0090703
RBF CONSULTING INC
577.54
10120405
DEC -DESIGN SVC
GM
01768
08/11
AP
02/01/11 0090874
NAI CONSULTING INC
312.50
23 OF 2009-05
JAN -PROF SVC
GM
01768
08/11
AP
02/01/11 0090874
NAI CONSULTING INC
17,012.50
23 OF 2009-05
JAN -PROF SVC
GM
01878
09/11
AP
02/11/11 0090998
EVANS & ASSOCIATES, DAVID
885.23
301534
DESIGN
GM
01903
09/11
AP
02/15/11 0091030
OMNIS
5,298.00
11007
SIGN INVENTORY PHII
GM
02077
09/11
AP
02/25/11 0091238
RBF CONSULTING INC
5,498.00
11010736
JAN -PROF SVC
GM
01951
09/11
AP
03/01/11 0091026
NAI CONSULTING INC
7,812.50
24 OF 2009-05
FEB -PROF SVC
GM
01951
09/11
AP
03/01/11 0091026
NAI CONSULTING INC
250.00
24 OF 2009-05
FEB -PROF SVC
GM
02156
10/11
AP
03/01/11 0091392
CROWSON MANAGEMENT SERVIC
87.50
30111
GRAFFITI -COMMERCIAL
GM
02198
10/11
AP
03/21/11 0091518
WILLDAN
3,520.00
6-10740
ENG/TRFF SPEED SURVEY
GM
02251
10/11
AP
03/25/11 0091485
RBF CONSULTING INC
7,312.87
11020303
FEB -PROF SVC
GM
02248
10/11
AP
04/01/11 0091465
NAI CONSULTING INC
13,689.44
25 OF 2009-05
MAR -PROF SVC
GM
02316
10/11
AP
04/06/11 0091670
OMNIS
12,204.00
11019
SIGN INVENTOR II
GM
02628
11/11
AP
04/29/11 0092046
RBF CONSULTING INC
11680.00
11030551
MAR -PROF SVC
GM
02301
10/11
AJ
04/30/11 AJE 10-009
MADISON & 54 CANCELLATION
16,540.74
GM
02507
11/11
AP
05/01/11 0091840
NAI CONSULTING INC
3,875.00
1 OF 2011-07
APR - PROF SVC
GM
03024
12/11
AP
05/01/11 0092698
CROWSON MANAGEMENT SERVIC
241.48
50111
GRAFFITI
GM
02784
12/11
AP
05/16/11 0092248
OMNIS
8,496.00
11024
OMNIS/SIGN INVENTORY
GM
02863
12/11
AP
05/27/11 0092402
RBF CONSULTING•INC
2,780.00
11040522
APR -PROF SVC
GM
02608
11/11
AJ
05/31/11 AJE 11-011
RECLASS PW INVOICES
9,193.41
GM
02608
11/11
AJ
05/31/11 AJE 11-011
RECLASS PW INVOICES
875.00
GM
02608
11/11
AJ
05/31/11 AJE 11-011
RECLASS PW INVOICES
7,550.00
GM
02660
11/11
AJ
05/31/11 AJE 11-031
RECLASS NAI INVOICE
20,000.00
GM
02789
12/11
AP
06/01/11 0092240
NAI CONSULTING INC
1,187.50
2 OF 2011-07
MAY PRJ MGMT SVC
GM
03024
12/11
AP
06/01/11 0092698
CROWSON MANAGEMENT SERVIC
127.50
60111
GRAFFITI
GM
03024
12/11
AP
06/24/11 0092727
RBF CONSULTING INC
2,680.00
11050445
DUNE PALMS
GM
03027
12/11
AP
07/01/11 0092717
NAI CONSULTING INC
1,149.10
PREPARED...,.. 17/2014, 10:19:00 GENERAL LEDGER __.IVITY LISTING Vmwc1307
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7001-431.32-07 Contract Services / Consultants
3 OF 2011-07 JUN-PRJ MGMT SVC
ACCOUNT TOTAL 181,605.88
101-7001-431.32-10 Contract Services / Professional
ACCOUNT TOTAL
101-7001-431.34-04 Contract Services / Technical
.ACCOUNT TOTAL
101-7001-431.42-18 Contract Services / Graffiti Abatement
ACCOUNT TOTAL
101-7001-431.44-01 Contract Services / Equipment Rental
. ACCOUNT TOTAL
101-7001-431.51-01
Services
& Supplies
/ Travel & Training
GM
00023
01/11
AP
06/28/10
0088021
CASQA
399.00
11110
CASQA CONF 11/1-3/10
GM
00189
01/11
AP
07/27/10
0088397
DIXSON, ANN
190.30
REIMB
LUNCH -INTERNS
GM
00286
02/11
AP
08/04/10
0088686
ROCKHURST UNIVERSITY
249.00
401123865001
TRAINING -PEARL, D
GM
00259
02/11
AP
08/05/10
0088523
DIXSON, ANN
16.49
REIMB
PW MEETING
GM
00346
02/11
AP
08/12/10
0088570
JONASSON, TIM
62.78
REIMB
MEALS-CNTY FLOOD CNTRL
GM
00522
03/11
AP
08/18/10
0088768
PEARL, DEBRA
109.98
REIMB
POWERPOINT SEMINAR
GM
00751
04/11
AP
09/30/10
0089137
JONASSON, TIM
30.89
REIMB
MEALS -CITY OF INDIO
GM
00751
04/11
AP
10/06/10
0089137
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
00751
04/11
AP
10/07/10
0089138
LA QUINTA CHAMBER OF COMM
30.00
10710
MAYORS LUNCH
GM
01033_
05/11
AP
11/02/10
0089523
JONASSON, TIM
60.77
REIMB
MILEAGE - PAVER PRSNT
GM
01033
05/11
AP
11/02/10
0089523
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
01265
06111
AP
11/02/10
0089931
APWA SOUTHERN CALIFORNIA
120.00
37,618, 41
143,987.47
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
- .-7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
PAbt1308
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
----------------------------------------------------------------------------------------=------------=----'--------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7001-431.51-01
Services
& Supplies /
Travel & Training
12910
APWA LUNCHEON
GM
01210
06/11
AP
11/15/10
0089876
JONASSON, TIM
51.25
REIMB
MILEAGE-RCTC
GM
01210
06/11
AP
11/30/10
0089878
LA QUINTA CHAMBER OF COMM
25.00
12210
MAYOR'S LUNCHEON
GM
01335
06/11
AP
12/08/10
0090102
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
01547
07/11
AP
O1/11/11-0090386
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
01632
08/11
AP
01/25/11
0090672
JONASSON, TIM
265.00
REIMB
LCC CONF
GM
01757
08/11
AP
01/31/11
0090751
JONASSON, TIM
51.55
REIMB
MEALS
GM
01692
08/11
AP
02/02/11
0090602
LA QUINTA CHAMBER OF COMM
30.00
2311
MAYOR'S LUNCHEON
GM
01793
08/11
AP
02/09/11
0090788
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
01841
08/11
AP
02/23/11
0090924
JONASSON, TIM
38.66
REIMB
MEALS-PW & PLANNING
GM
02022
09/11
AP
03/15/11
0091127
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
GM
02127
09/11
AP
03/18/11
0091284
JONASSON, TIM
22.01
REIMB
MEALS-ST,FRANCIS CHURCH
GM
02225
10/11
AP
04/06/11
0091349
LA QUINTA CHAMBER OF COMM
30.00
4711
MAYORS LUNCHEON
GM
02306
10/11
AP
04/11/11
0091572
JONASSON, TIM
72.32
REIMB
MEALS-APWA & NAI
GM
02740
12/11
AP
06/07/11
0092150
JONASSON, TIM
20.00
REIMB
APWA LUNCHEON
ACCOUNT
TOTAL
11995.00
11995.00
101-7001-431.51-02
Services
& Supplies /
Vehicle Reimbursement
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
150.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
120.00
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
150.00
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL SUMMARY
150.00
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL SUMMARY
150.00
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL SUMMARY
150.00
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL SUMMARY
150.00
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL SUMMARY
150.00
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL SUMMARY
150.00
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL SUMMARY
150.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL SUMMARY
150.00
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL SUMMARY
150.00
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL SUMMARY
150.00
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL SUMMARY
150.00
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL SUMMARY
150.00 '
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER n�,,VITY
.LISTING
PAWt1309
PROGRAM
GM362LA
STAPLES ADVANTAGE
150.25
CITY OF LA
-----------
QUINTA, CALIFORNIA
--
GM
02616
11/11
FUND 101
---
General
---------------
Fund
---------
-------------------------------------
-----------------------------------------------
--------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
GM
02616
11/11
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7001-431.51-02
Services
& Supplies
/ Vehicle Reimbursement
AP
05/18/11 0092279
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL SUMMARY
150.00
OFFICE SUPPLIES
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL SUMMARY
150.00
10.17
PR 01904
09/11
AJ
03/04/11
PR0304
PAYROLL SUMMARY
150.00
GM
PR 02016
09/11
AJ
03/18/11
PR0318
PAYROLL SUMMARY
150.00
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL SUMMARY
150.00
12/11
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL SUMMARY
150.00
PR 02524
11/11
AJ
05/13/11
PR0513
PAYROLL SUMMARY
150.00
06/04/11 0092410
PR 02625
11/11
AJ
05/27/11
PR0527
PAYROLL SUMMARY
150.00
OFFICE SUPPLIES
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL SUMMARY
150.00
61.60
PR 02867
12/11,
AJ
06/24%11
PR0624
PAYROLL SUMMARY
150.00
GM
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL SUMMARY
135.00
'ACCOUNT TOTAL 3,735.00
101-7001-431.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-7001-431.53-01
Services & Supplies /
Printing
GM
02558
11/11
AP
05/05/11 0092055
STAPLES ADVANTAGE
150.25
3154271389
OFFICE SUPPLIES
GM
02616
11/11
AP
05/07/11 0092055
STAPLES ADVANTAGE
42.52
3154482181
OFFICE SUPPLIES
GM
02616
11/11
AP
05/07/11 0092055
STAPLES ADVANTAGE
32.54
3154482183
OFFICE SUPPLIES
GM
02694
12/11
AP
05/18/11 0092279
STAPLES ADVANTAGE
53.16
3154822709
OFFICE SUPPLIES
GM
02694
12/11
AP
05/19/11 0092279
STAPLES ADVANTAGE
10.17
3154843972
OFFICE SUPPLIES
GM
02694
12/11
AP
05/20/11 0092279
STAPLES ADVANTAGE
162.19
3154866836
OFFICE SUPPLIES
GM
02735
12/11
AP
05/27/11 0092279
STAPLES ADVANTAGE
10.17
3155161376
OFFICE SUPPLIES
GM
02863
12/11
AP
06/04/11 0092410
STAPLES ADVANTAGE
115.41
3155876877
OFFICE SUPPLIES
GM
02865
12/11
AP
06/07/11 0092410
STAPLES ADVANTAGE
61.60
3155901290
OFFICE SUPPLIES
GM
02955
12/11
AP
06/15/11 0092571
STAPLES ADVANTAGE
156.57
31561941046
OFFICE SUPPLIES
ACCOUNT TOTAL
794.58
101-7001-431.53-03
Services & Supplies /
Membership Dues
GM
00023
01/11
AP
06/.09/10 0088009
AMERICAN PUBLIC WORKS ASS
870.00
622267
MEMBERSHIP
GM
00624
03%11
AP
09/07/10 0088980
AMERICAN SOCIETY OF CIVIL
255.00
120.00
3,615.00
.00
.00
.00
794.58
00
f �
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER _VITY LISTING < Pmwc1310
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ——TRANSACTION /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------- ------------ ----------------------- ------------------ -------- --------------- ------------
101-7001-431.53-03 Services & Supplies / Membership Dues
JONASSON MEMBERSHIP -ASCE
GM 01335 06/11 AP 12/15/10 0090126 STATE OF CALIFORNIA
45843 CERTIFICATE RENEWAL
ACCOUNT TOTAL
101-7001-431.53-04
Services
& Supplies
/ Subscrip & Publications
00105
GM
00837
04/11
AP
10/01/10
0089331
WELLS FARGO BUSINESS
CARD
REIMB
BIRTHDAY CARDS
GM
00259
3072
AP
VISA CARD PYMT
STAPLES ADVANTAGE
GM
01253
06/11
AP
12/02/10
0089922
WELLS FARGO BUSINESS
CARD
02/11
AP
07/23/10 0088510
STAPLES ADVANTAGE
3072
VISA CARD PYMT
GM
02288
10/11
AP
04/01/11
0091560
WELLS FARGO BUSINESS
CARD
3072
SUPPLIES
VISA CARD PYMT
00286
GM
02538
11/11
AP
05/02/11
0091922
WELLS FARGO BUSINESS
CARD
3140326708
OFFICE SUPPLIES
GM
00286
3072
AP
VISA PYMT
STAPLES ADVANTAGE
ACCOUNT TOTAL
101-7001-431.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-7001-431.54-01 Information Technology / Information Tech Chgs
ACCOUNT TOTAL .
101-7001-431.56-01
Services & Supplies
/ Office Supplies
GM
00105
01/11
AP
07/09/10 0088236
PEARL, DEBRA
REIMB
BIRTHDAY CARDS
GM
00259
02/11
AP
07/22/10 0088510
STAPLES ADVANTAGE
3139571196
OFFICE SUPPLIES
GM
00259
02/11
AP
07/23/10 0088510
STAPLES ADVANTAGE
3139590784
OFFICE SUPPLIES
GM
00259
02/11
AP
08/03/10 0088504
RIVERSIDE RUBBER STAMP &
10-61488
SUPPLIES
GM
00286
02/11
AP
08/03/10 0088695
STAPLES ADVANTAGE
3140326708
OFFICE SUPPLIES
GM
00286
02/11
AP
08/06/10 0088695
STAPLES ADVANTAGE
'
3140389520
OFFICE SUPPLIES
GM
00350
02/11
AP
O8/10/10 0088695
STAPLES ADVANTAGE
3140582088
OFFICE SUPPLIES .
GM
00622
03/11
AP
08/19/10 0089003
CONSOLIDATED ELECTRICAL D
5725644389
LIGHT BULB
GM
00437
03/11
AP
08/27/10 0088893
STAPLES ADVANTAGE
3141206587
OFFICE SUPPLIES
125.00
1,250.00
206.91
80.00
107.92
77.94
472.77
32.42
268.03
103.30
61.99
168.29
174.51
76.04
17.40
101.21
1,250.00
.00
'472.77
.00
.00
.00
.00
.00
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER —VITY
LISTING
PHbC1311
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
---------------------------------------------
DEBITS CREDITS
----------------------------------------------
BALANCE
101;7001-431.56-01
Services & Supplies
/ Office Supplies.
GM
00555
03/11
AP
09/01/10 0088893
STAPLES ADVANTAGE
56.52
3141711272
OFFICE SUPPLIES
GM
00622
03/11
AP
09/09/10 0089090
STAPLES ADVANTAGE
69.64
3142020565
OFFICE SUPPLIES
GM
00624.
03/11
AP
09/17/10 0089090
STAPLES ADVANTAGE
130.48
3142302702
OFFICE SUPPLIES
GM
00736
04/11
AP
09/22/10 0089266
STAPLES ADVANTAGE
108.93
3142541620
OFFICE SUPPLIES
GM
00725
04/11
AP
09/30/10 0089266
STAPLES ADVANTAGE
101.84
3142846368
OFFICE SUPPLIES
GM
00913
04/11
AP
10/07/10 0089451
OFFICE DEPOT
60.97
536338176001
BCARDS-TJO.NASSON
GM
00913
04/11
AP
10/08/10 0089468
STAPLES ADVANTAGE
60.37
3143527824
OFFICE SUPPLIES
GM
OD913
04/11
AP
10/12/10 0089468
STAPLES ADVANTAGE
100.30
3143728090
OFFICE SUPPLIES
GM
01362
06/11
AP
10/13/10 0090229
STAPLES ADVANTAGE
65.14
3143749400
OFFICE SUPPLIES
GM
00913
04/11
AP
10/15/10 0089468
STAPLES ADVANTAGE
27.93
3143785111
OFFICE SUPPLIES
GM
00977
05/11
AP
10/22/10 0089654
STAPLES ADVANTAGE
114.61
3144088502
OFFICE SUPPLIES
GM
01096
05/11
AP
10/26/10 0089822
OFFICE DEPOT
136.98
538461528001
OFFICE SUPPLIES
GM
01096
05/11
AP
11/04/10 0089841
STAPLES ADVANTAGE
138.55
.
3144938609
OFFICE SUPPLIES
GM
01092
05/11
AP
11/05/10 0089841
STAPLES ADVANTAGE
152.24
3144959952
OFFICE SUPPLIES
GM
01161.
05/11
AP
11/08/10 0089784
FC ORGANIZATIONAL
93.79
•
69967597
PLANNERS
GM
01362
06/11
AP
12/09/10 0090229
STAPLES ADVANTAGE
143.88
3146548071
OFFICE,SUPPLIES
GM
01457
07/11
AP
12/29/10 0090348
STAPLES ADVANTAGE
28.92
3147275657
OFFICE SUPPLIES
GM
01457
07/11
AP
12/29/10 0090348
STAPLES ADVANTAGE
154.41
3147275658
OFFICE SUPPLIES
GM
01547
07/11
AP
01/03/11 0090411
WELLS FARGO BUSINESS CARD
30.38
3072
VISA CARD PYMT
GM
01632
08/11
AP
01/20/11 0090714
STAPLES ADVANTAGE
180.06
3148473574
OFFICE SUPPLIES
GM
01768
08/11
AP
01/25/11 0090900
STAPLES ADVANTAGE
98.75
3148746369
OFFICE SUPPLIES
GM
01704
08/11
AP
02/02/11 0090711
SILVE•RROCK RESORT
3.00
97829622
JAN SALES TAX
GM
01768
08/11
AP
02/04/11 0090900
STAPLES ADVANTAGE
106.77
3149498231
OFFICE SUPPLIES
GM
01757
08/11
AP
02/09/11 0090764
ZARCO, ANGELICA
35.42
REIMB
EVENT PRODUCTS
GM
01878
09/11
AP
02/17/11 0091046
STAPLES ADVANTAGE
67.13
PREPARED
_-7/2014,
10:19:00
GENERAL LEDGER mV,LVITY
LISTING
PAUt1312
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
•101-7001-431.56-01
Services & Supplies /
Office Supplies
3150071187
OFFICE SUPPLIES
GM
0}903
09/11
AP
02/24/11 0091046
STAPLES ADVANTAGE
59.89
3150358593
OFFICE SUPPLIES
GM
02045
09/11
AP
02/26/11 0091253
STAPLES ADVANTAGE
115.41
3150853718
OFFICE SUPPLIES
GM
02045
09/11
AP
03/01/11 0091253
STAPLES ADVANTAGE
123.07
3150908069
OFFICE SUPPLIES
GM
02198
10/11
AP
03/24/11 0091502
STAPLES ADVANTAGE
65.75
3151855731
OFFICE SUPPLIES
GM
02248
10/11
AP
04/01/11 0091502
STAPLES ADVANTAGE
32.63
3152195241
OFFICE SUPPLIES
GM
02302
10/11
AP
04/07/11 0091695
STAPLES ADVANTAGE
61.31
3152835715
OFFICE SUPPLIES
GM
02507
11/11
AP
04/20/11 0091868
STAPLES ADVANTAGE
105.48
3153386384
OFFICE SUPPLIES
GM
02507
11/11
AP
04/21/11 0091868
STAPLES ADVANTAGE
112.06
3153418531
OFFICE SUPPLIES
GM
02694
12/11
AP
05/13/11 0092246
OFFICE DEPOT
60.97
563487768001
BCARD - DIXSON,A
GM
02870
12/11
AP
06/21/11 0092426
CASH/PETTY CASH
4.98
06212011
PETTY CASH
ACCOUNT TOTAL
4,011.75
4,011.75
101-7001-431.56-02
Services & Supplies /
Operating Supplies
.00
GM
00229
02/11
AP
07/23/10 0088435
SPARKLETTS
109.73
4281072
WATER -PW
GM
00353
02/11
AP
08/09/10 0088691
SILVERROCK RESORT
3.00
97829622
JUL110 SALES TAX
GM
00605
03/11
AP
09/02/10 0088946
SPARKLETTS
201.06
•
90210
WATER - PW
GM
00876
04/11
AP
09/30/10 0089362
SPARKLETTS
129.25
4281072093010
WATER SVC
GM
01246
06/11
AP
11/09/10 0089947
COW GOVERNMENT INC
233.71
VMW9847
OPERATING SUPPLIES
GM
01335
06/11
AP
11/25/10 0090122
SPARKLETTS
109.67
4281072112510
WATER-P/W
GM
01547
07/11
AP
12/23/10 0090398
SPARKLETTS
70.57
122310
WATER -PW
GM
01568
07/11
AP
01/07/11 0090437
SPARKLETTS
125.87
10711
WATER -YARD
GM
01757
08/11
AP
02/01/11 0090755
SANCHEZ, TOMMI
51.10
REIMB
TOASTER OVEN
GM
02645
11/11
AP
02/01/11 0092099
SANCHEZ, TOMMI
51.10
REIMB
TOASTER OVEN
GM
01841
08/11
AP
02/04/11 0090931
SPARKLETTS
177.62
20411
WATER-MAINT YD
GM
02561
11/11
AP
02/14/11 0091963
ARC
622.09
PREPARED - -7/2014, 10:19:00 GENERAL LEDGER &%,-e;VITY LISTING PAUtt313
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7001-431.56-02 Services & Supplie's / Operating Supplies
ACCOUNT TOTAL
101-7001-431.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101:7001-431.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-7001-431.71-03 Capital Purchases / Vehicles
101-7001-431.91-11
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01475 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02243 09/11 AJ
GM 02301 10/11 AJ
GM 02521 10/11 AJ
GM 02589 11/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 02911 12/11 AJ
GM 03057 12/11 AJ
ACCOUNT TOTAL
Reimbursed Gen Fund Exp / Personnel
07/30/10
JE
01-029
MONTHLY
5973705
REIMB
OPERATING SUPPLIES
GM
02645
11/11
AP
05/19/11
0092086
DIXSON, ANN
03-035
MONTHLY
GF
REIMB
REIMB
AJE
STUDENT OUTREACH
GM
O.2649
11/11
AP
05/25/11
0090755
•SANCHEZ, TOMMI
GF
REIMB
11/30/10
JE
REIMB
MONTHLY
TOASTER OVEN
GM
02787
12/11
AP
06/06/11
0092233
MCDOWELL AWARDS
12/31/10
AJE
06-042
DEC'10
2010-3185
ADMIN ACTIVITY
NAME PLATE-DIXSON
GM
03021
12/11
AP
06/29/11
0092741
STAPLES ADVANTAGE
08-009
MONTHLY
GF
REIMB
3156769768
JE•09-019
OFFICE SUPPLIES
ACCOUNT TOTAL
101-7001-431.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101:7001-431.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-7001-431.71-03 Capital Purchases / Vehicles
101-7001-431.91-11
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01475 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ
GM 02243 09/11 AJ
GM 02301 10/11 AJ
GM 02521 10/11 AJ
GM 02589 11/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 02911 12/11 AJ
GM 03057 12/11 AJ
ACCOUNT TOTAL
Reimbursed Gen Fund Exp / Personnel
07/30/10
JE
01-029
MONTHLY
GF
REIMB
08/31/10
JE
02-034
MONTHLY
GF
REIMB
09/30/10
JE
03-035
MONTHLY
GF
REIMB
09/30/10
AJE
03-050
SEP110
CIP
ADMIN ACTIVITY
10/31/10
JE
04-027
MONTHLY
GF
REIMB
11/30/10
JE
05-030
MONTHLY
GF
REIMB
12/31/10
JE
06-002
MONTHLY
GF
REIMB
12/31/10
AJE
06-042
DEC'10
CIP
ADMIN ACTIVITY
01/31/11
JE
07-031
MONTHLY
GF
REIMB
02/28/11
JE
08-009
MONTHLY
GF
REIMB
03/31/11
JE•09-019
MONTHLY
GF
REIMB
03/31/11
AJE
09-066
MAR'll
CIP
ADMIN ACTIVITY
04/30/11
AJE
10-009
MADISON
&
54 CANCELLATION
04/30/11
JE
10-044
MONTHLY
GF
REIMB
05/31/11
AJE
11-013
REDUCE
ADMIN
(1771)
05/31/11
JE
11-044
MONTHLY
GF
REIMB
06/30/11
JE
12-002
MONTHLY
GF
REIMB
06/30/11
AJE
12-017
REVERSE
REIMBURSEMENT
06/30/11
AJE
12-080
JUN'll
CIP
ADMIN ENTRIES
ACCOUNT TOTAL
184.30
14.14
56.58
2,139.79
410.50
106.77
2.00
519.27
51.10
51.10
5,433.00
5,433.00
5,433.00
3,768.62
5,433.00
5,433.00
5,433.00
3,424.76
5,433.00
5,433.00
5,433.00
2,320.62
5,433.00
5,433.00
5,433.00
3,279.15
77,989.15
2,088.69
.00
.00
.00
.00
.00
.00
.00
77,469.88CR
PREPARED ...7/2014, 10:19:00 GENERAL LEDGER MV.iVITY LISTING Pnwc.314
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING'
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7001-431.91-12
GM 00418 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 0J187 05/11 AJ
GM 01239 06/11 AJ
GM 01475 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 09/11 AJ.
GM 02243 09/11 AJ
GM 02301 10/11 AJ
GM 02521 10/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 03057 12/11 AJ
Reimbursed Gen Fund
07/31/10 JE 01-054
08/31/10 JE 02-034'
09/30/10 JE 03-035
09/30/10 AJE 03-050
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
12/31/10 AJE 06-042
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
03/31/11 AJE 09-066
04/30/11 AJE 10-009
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
06/30/11 AJE 12-08U
ACCOUNT TOTAL
Exp / Service & Supply
CORR JUL110 GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY.GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MAR'll CIP ADMIN ACTIVITY
MADISON & 54 CANCELLATION
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
JUN'll CIP ADMIN ENTRIES
101-7001-431.92-11 Other Charges / Fleet Maint Progr Charges
ACCOUNT TOTAL
150.00
150.00
.00
125.00
125.00
125.00
2,351.51
125.00
125.00
125.00
740.76
125.00
125.00
125.00
224.49
125.00
125.00
125.00
466.31
5,283.07 5,133.07CR
.00
.00 .
101-7002-431.10-01
Salaries
& Wages
/ Permanent Full Time
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
19,077.92
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
15,262.41
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
17,421.03
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
17,421.02
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
17,479.78
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
17,586.62
PR.00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
17,634.73
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
17,555.79
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
17,555.80
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
17,555.81
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
17,555.77
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
17,634.71
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
17,634.71
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
17,634.70
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
18,022.20
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
17,634.67
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
17,634.70
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
17,187.32
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
15,646.39
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
15,646.39
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
15,646.41
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
15,646.43
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER--.:VITY LISTING Prv�a315
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG . ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7002-431.10-01
Salaries
& Wages /
Permanent Full Time
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
16,541.13
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
17,634.72
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
17,634.69
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
17,634.69
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
17,634.67
PR
0291.3
12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
18,977.46
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
12,888.83
ACCOUNT TOTAL
481,759.09 15,262.41
101-7002-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-7002-431.10-04 Salaries & Wages / Regular Overtime
ACCOUNT TOTAL
101-7002-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-7002-431.10-14 Salaries & Wages / Regular Parttime 0/T
ACCOUNT TOTAL
101-7002-431.10-15 Salaries & Wages / Standby
ACCOUNT TOTAL
101-7002-431.10-16 Salaries & Wages / Standby Overtime
ACCOUNT TOTAL
101-7002-431.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-7002-431.10-30 Salaries & Wages / Employee Recognition
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY 50.00
PR 01060 05/11 AJ -11/12/10 PR1112 PAYROLL SUMMARY 50.00
466,496.68
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
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----------------------------------------------------------------------------------------------------------------------------
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00:61:OT 'tPIOZ/L-
—
a3llVd3lid
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER .-IVITY LISTING
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------------------------------------------------------------------------------------------------------------------------------
FUND 101'General
Workers
Fund
Workers
Comp Insurance
PR
BEGINNING
01/11
GROUP
ACCTG
---- TRANSACTION ----
PAYROLL
SUMMARY
562.81
/ENDING
APP
---------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I
P T 1 0 N
DEBITS CREDITS
--------------------
BALANCE
101-7002-431.21-07
AJ
07/23/10
Insurance
Benefits
Long Term Disability
513.93
PR
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
98.48
00342
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
98.48
'03/11
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
98.48
AJ
PR
01904
09/11
*AJ
03/04/11
PR0304
PAYROLL
SUMMARY
98.48
10/01/10
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
98.48
PR1015
PR
012151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
98.48
PAYROLL
PR
02253
10/11
AJ
04/15/11
PRO415
PAYROLL
SUMMARY
98.48
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
98.48
520.23
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
98.48
PR
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
98.48
01418
PR
02733
12/11
AJ
06110111
PR0610
PAYROLL
SUMMARY
98.48
07/11
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
98.48
AJ
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
70.73
02/18/11
PR0218
PAYROLL
SUMMARY
507.03
ACCOUNT T6TAL
01904
09/11
2,404.05 164.83
2,239.22
101-7002-431.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-7002-431.25-01
Workers
Comp Insurance
Workers
Comp Insurance
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
562.81
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
513.93
PR
00196
02/11
AJ
08106110
PROB06
PAYROLL
SUMMARY
513.93
PR
00342
02/11
AJ
08/20/10
PROS20
PAYROLL
SUMMARY
515.66
PR
00435
'03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
518.81
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
520.23
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
517.90
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
517.90
PR
00VII
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
517.90
PR
01060
05/11
AJ
11/12/10
PRI112
PAYROLL
SUMMARY
517.90
PR
Oa137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
520.23
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
520.23
PR
01364
06111
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
520.23
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
531.66
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
520.23
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
520.23
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
507.03
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
461.57
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
461.58
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
461.58
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
461.58
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
487.97
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
520.23
OR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
520.23
PR
02733
12/11
AJ
06/10/11
PRO610
PAYROLL
SUMMARY
520.23
450.26
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------------------------------------------------------------------------------------------------------------------------------------
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------------------------------------------------------------------------------------------------------------------------------------
VINSO-AIIV3 'ViNinb vl JO -AIM
VIE99WO WVSSOHd
SNIISII AIIAT'-" 1139a3l IV113N35 00:61:01 ItplOZ/Ll a3llVd3Hd
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER .._._rVITY
LISTING
FAwci323
PROGRAM
GM362LA
CITY
--------------------
OF LA
QUINTA, CALIFORNIA
I
6
FUND*101
General
Fund
------------------------------------------------------
--------------------------------------------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-70.0�-451.32-07
Contract Services
Consultants
.00
GM
00275
02/11
AP
08/01/10 0088517
UNDERGROUND SERVICE
ALERT
39.00
720100345
JUL-DIG ALERTS 26
GM
00490
03/11
AP
09/01/10 0088906
UNDERGROUND SERVICE
ALERT
45.00
820100346
AUG -DIG ALERTS 30
GM
00823
04/11
AP
10/01/10 0089279
UNDERGROUND SERVICE
ALERT
70.50
920100351
SEP -DIG ALERTS 47
GM
01001
05/11
AP
11/01/10 0089663
UNDERGROUND SERVICE
ALERT
42.00
1020100351
OCT -DIG ALERTS 28
GM
01265
06111
AP
11106110 0090054
STATE.WATER RESOURCES CON
91000.00
WD0051142
NPDES
GM
01246
06111
AP
12/01/10 0090071
UNDERGROUND SERVICE
ALERT
75.00
1120100354
NOV-DIG ALERTS 50
GM
01478
07/11
AP
01/01/11 0090355
UNDERGROUND SERVICE
ALERT
142.50
1220100339
DEC -DIG ALERTS 95
GM
01603
07/11
AP
01/03/11 0090475
FLOOD-ACCOUNTING-RVRSD RE
34,034.19
FC0000012576
FY10/11 NPDES COST/SHARE
GM
01704
08/11
AP
02/01/11 0090722
UNDERGROUND SERVICE
ALERT
139.50
120110347
JAN -DIG ALERTS 93
GM
01951
09/11
AP
03/01/11 0091054
UNDERGROUND SERVICE
ALERT
136.50
220110354 *
FEB-DiG ALERTS 91
GM
02248
10/11
AP
04/01/11 0091513
UNDERGROUND SERVICE
ALERT
102.00
2011030350
MAR -DIG ALERTS 68
GM
02561
11/11
AP
05/01/11 0092062
UNDERGROUND SERVICE
ALERT
100.50
2011040351
APR -DIG ALERTS 67
GM
02784
12/11
AP
06/01/11 0092290
UNDERGROUND SERVICE
ALERT
115.50
520110353
MAY -DIG ALERTS 77
ACCOUNT TOTAL
44,042.19
44,042.19
101-7002-451.32-10 Contract Services / Professional
GM 01708 08/11 AJ 02/07/11 JE 08-007 RECL EXP/DEV DEP#09-015
ACCOUNT TOTAL
101-7002-431.32-25 Contract Services / Map Checking
ACCOUNT TOTAL
101-7002-43,1.32-40 Contract Services / Condition Writing
ACCOUNT TOTAL
101-7002-431.32-45 Contract Services / Benchmarks/Surveys
ACCOUNT TOTAL
.00
786.00
786.00 786.00CR
00
.00
.00
.00
.00
.00
PREPARED ----7/2014, 10:19:00
Travel & Training
GENERAL LEDGER __._rVITY
LISTING
FAt7Mi324
PROGRAM GM362LA
0089196
EOS ALLIANCE
CAPOL-304 COURSE
CITY OF LA QUINTAx CALIFORNIA
-------- 6
WIMMER, ED
MILEAGE -RIVERSIDE
0089122
---------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
MEALS-DVBA
0089148
BEGINNING
GROUP ACCTG ---- TRANSACTION
----
0089899
WIMMER, ED
/ENDING
APP NUMBER PER. CD DATE
-------------------------- 7 ----------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-7002-431.33-34 Contract
Services
Map/Plan Checking
.00
GM 01092 05/11 AP 10/15/10
0089832
RASA/ERIC NELSON
424.00
4395
PCN10064 85XCOMPLETE
GM 01511 07/11 AP 12/14/10
0090332
RASA/ERIC NELSON
318.00
4404
PCN08127 100XCOMPLETE
GM 01511 07/11 AP 12/21/10
0090332
RASA/ERIC NELSON
380.00
4408
PCN ADD REVIEW SVC
GM 01564 07/li AP 01106111
0090528
RYAN, DEAN CONSULTANTS &
786.00
2200
PCN081436HRS
GM 02561 11/11 AP 04/27/11
0092044
RASA/ERIC NELSON
2,275.00
4439
PROF SVC MAP36329
GM 03024 12/11 AP 06/30/11
0092726
RASA/ERIC NELSON
700.00
4446
PCN11037
ACCOUNT TOTAL
101-7002-431.41-01 Utilities / Electricity
ACCOUNT TOTAL
101-7002-431.41-30 Utilities,/ Security & Alarm
ACCOUNT TOTAL
101-7002-431.44-01 Contract Services / Equipment Rental
ACCOUNT TOTAL
101-7002-431.44-07 Contract Services / Uniform Rental
ACCOUNT TOTAL
101-7002-431.51-01 Services
GM 00555 03/11 AP 09/09/10
I
GM 00712 04/11 AP 09/27/10
- WIMMER
GM 00837 04/11 AP 09/27/10
REIMB
GM 00713 03/11 AP 09/29/10
REIMB
GM 00751 04/11 AP 10106110
REIMB
GM 01210. 06/11 AP 11116110
REIMB
& Supplies
Travel & Training
0088787
APWA SOUTHERN CALIFORNIA
GIS CONF
0089196
EOS ALLIANCE
CAPOL-304 COURSE
0089333
WIMMER, ED
MILEAGE -RIVERSIDE
0089122
WIMMER, ED
MEALS-DVBA
0089148
WIMMER, ED
APWA LUNCHEON
0089899
WIMMER, ED
MILEAGE/MEALS-RIVERSIDE
4,883.00
100.00
395.00
44.50
20.00
21.00
59.40
4,883.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER __.1VITY
LISTING
FAWti325
PROGRAM
GM362LA
CITY OF LA QUINTA,
--------------------------------------
CALIFORNIA
FUND 101
General
Fund
---------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----
TRANSACTION ----
/ENDING
APP
----
NUMBER PER.
: ----------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T 1 0 N
DEBITS CREDITS
BALANCE
101-7002-431.51-01
Services
& Supplies
Travel & Training
GM
01335
06111
AP
12/08/10
009013'2
WIMMER, ED
20.00
REIMB
APWA LUNCHEON
GM
01547.
07/11
AP
01/11/11-0090412
WIMMERp ED
20.00
REIMB
APWA LUNCHEON
GM
01692
08/11
AP
01/21/11
0090615
WIMMER, ED
114.73
REIMB
MILEAGE -UCLA CONF
GM
01632
08/11
AP
01/25/11
0090730
WIMMER, ED
20.00
REIMB
DUBA PW LUNCH
GM
01793
08/11
AP
02/09/11
0090807
WIMMER, ED
20.00
REIMB
APWA LUNCHEON
GM
02127
09/11
AP
03/10/11
0091298
WIMMER, ED
20.00
REIMB
APWA LUCHEON
GM
02022
09/11
AP
03/14/11
0091151
WIMMER, ED
45.39
REIMB
MILEAGE -RIVERSIDE
GM
'02198
10/11
AP
03/22/11
0091361
AEI CASC CONSULTING
1,425.00
26750
TRAINING SWPPP
GM
02177
10/11
AP
03/24/11
0091333
WIMMER, ED
20.00
REIMB
MEALS -PW LUNCHEON
GM
02740
12/11
AP
06/07/11
0092162
WIMMERo ED
21.00
REIMB
APWA LUNCHEON
ACCOUNT TOTAL
2,366.02
2,366.02
101-7002-431.51-02
Services
& Supplies
Vehicle Reimbursement
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
100.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL SUMMARY
80.00
PR
OJ)100
01/11
AJ
07/23/10
PR0723
PAYROLL SUMMARY
100.00
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL SUMMARY
100.00
PR
00342
02/11
AJ
08/20/10
PROB20
PAYROLL SUMMARY
100.00
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL SUMMARY
100.00
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL SUMMARY
100.00
PR
00685.
04/11
AJ
ld/01/10
PR1001
PAYROLL SUMMARY
100.00
PR
00824
04/11
AJ
10/15/10
PRIO15
PAYROLL SUMMARY
100.00
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL SUMMARY
100.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL SUMMARY
100.00
PR
01249
06111
AJ
12/10/10
PR1210
PAYROLL SUMMARY
100.00
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL SUMMARY
100.00
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL SUMMARY
100.00
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL SUMMARY
100.00
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL SUMMARY
100.00
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL SUMMARY
100.00
PR
Oa9O4
09/11
AJ
03/04/11
PR0304
PAYROLL SUMMARY
100.00
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL SUMMARY
100.00
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL SUMMARY
100.00
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL SUMMARY
100.00
PR
02524
11/11
AJ
05/13/11
PROB13
PAYROLL SUMMARY
100.00
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL SUMMARY
100.00
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL SUMMARY
100.00
PREPARED ___17/2014, 10:19:00 GENERAL LEDGER _ IVITY.LISTING FHuci326
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING.
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C-R I P T I 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7002-431.51-02 Services & Supplies / Vehicle Reimbursement
PR 02867 12/11 AJ 06/24/11 PR0624 PAYROLL SUMMARY 100.00
PR 02947 12/11 AJ 07/08/11 PR0708 PAYROLL SUMMARY 90.00
ACCOUNT TOTAL 2,490.00
101-7002-431.51-03 Services & Supplies / Mileage Reimbursement
ACCOUNT TOTAL
101-7002-431.53-01
Services
& Supplies /
Printing
GM
00099
01/11
AP
07/06/10
0088280
DIETERICH POST COMPANY
219.49
712522
PLOTTER PAPER
GM
01092
05/11
AP
11/04/10
0089771
DIETERICH POST COMPANY
220.15
719065
PLOTTER PAPER
GM
01713
08/11
AP
01/21/11
0090628
ARC IMAGING RESOURCES
57.31
722834
PLOTTER PAPER
GM
02251.
10/11
AP
03/31/11
0091368
ARC IMAGING RESOURCES
225.36
726698
PLOTTER PAPER
ACCOUNT TOTAL
722.31
101-7002-431.53-03
Services
& Supplies /
Membership Dues
GM
00437
03/11
AP
08/30/10
0088786
AMERICAN SOCIETY OF CIVIL
157.50
71118
MEMBERSHIP
GM
01092
05/11
AP
10/12/10
0089797
INSTITUTE OF TRANSPORTATI
267.00
30310
MEMBERSHIP
GM
01161
05/11
AP
11/18/10
0089842
STATE OF CALIFORNIA
125.00
52936
LIC RENEWAL
ACCOUNT TOTAL
549.50
101-7002-431.53-04
Services
& Supplies /
Subscrip & Publications
GM
01265
06/11
AP
11/12/10
0090007
LORMAN EDUCATION SERVICES
246.81
25708501
TRAINING'-WIMMER
GM
01547
07/11
AP
01/03/11
0090411
WELLS FARGO BUSINESS CARD
78.40
3072
VISA CARD PYMT
GM
01704
08/11
AP
02/02/11
0090711
SILVERROCK RESORT
7.00
97829622
JAN SALES TAX
GM
02022
09/11
AP
03/03/11
0091149
WELLS FARGO BUSINESS CARD
40.80
3072
VISA CARD PYMT
GM
02513
11/11
AP
05/04/11
0091864
SILVERROCK RESORT
4.00
5411
APR'll SALES TAX
GM
03010
12/11
AP
07/01/11
0092627
WELLS FARGO BUSINESS CARD
81.57
3072
VISA CARD PYMT
ACCOUNT TOTAL
458.58
80.00
2,410.00
.00
.00
.00
722.31
.00
549.50
.00
458.58
PREPARED L7/2014, 10:19:00 GENERAL LEDGER _._.IVITY LISTING FinacL327
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------'---------------------------------------------------------
101-7002-431.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-7002-431.54-01 Information Technology / Information Tech Chgs
ACCOUNT TOTAL
101-7002-431.56-01 Services & Supplies / Office Supplies
ACCOUNT TOTAL
101-7002-431.56-02 Services & Supplies / Operating Supplies
ACCOUNT TOTAL
101-7002-431.56-25 Services & Supplies / Supplies - Software
GM 02561 11/11 AP 03/28/11 0091976 COMPUSA RETAIL INC
F53413900101 AUTOCAD-TONY-
ACCOUNT TOTAL
101-7002-431.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
101:7002-431.71-02 Capital Purchases / Furniture
-ACCOUNT TOTAL
101-7002-431.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-7002-431.91-11
Reimbursed
Gen Fund
Exp / Personnel
GM
00194
01/11
AJ
07/30/10
JE
01-029
MONTHLY
GF
REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
878.00
878.00
4,033.00
4,033.00
4,033.00
4,033.00
4,033.00
4,033.00
4,033.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
878.00
.00
.00
.00
.00
.00
.00
.00
PREPARED L7/2014, 10:19:00 GENERAL LEDGER ..-.IVITY LISTING Fmwv ,328
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7002-431.91-11
GM
01717
08/11
AJ
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
02743
11/11
AJ
GM
02746.
12/11
AJ
Reimbursed Gen Fund
02/28/11 JE 08-009
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
ACCOUNT TOTAL
Exp / Personnel
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
101-7002-431.91-12 Reimbursed Gen Fund Exp / Service & Supply
ACCOUNT TOTAL
101-7002-431.92-11 Other Charges / Fleet Maint Progr Charges
ACCOUNT TOTAL
101=7003-431.10-01 Salaries & Wages /
PR 00007 01/11 AJ 07/09/10 PR0709
PR 00007 01/11 AJ.07/09/10 PR0709
CR 00159 01/11 CR 07/22/10 0000798
PR 00100 01/11 AJ 07/23/10 PR0723
GM 00354 01/11 AJ 07/31/10 AJE 01-027
PR 00196 02/11 AJ 08/06/10 PR0806
PR 00342 02/11 AJ 08/20/10 PR0820
PR 00435 03/11 AJ 09/03/10 PR0903
PR 00594 03/11 AJ 09/17/10 PR0917
PR 00685 04/11 AJ 10/01/10 PR1001
PR 00824 04/11 AJ 10/15/10 PR1015
PR 00911 04/11 AJ 10/29/10 PR1029
PR 01060 05/11 AJ 11/12/10 PR1112
PR 01137 05/11 AJ 11/24/10 PR1124
PR 01249 06/11 AJ 12/10/10 PR1210
PR 01364 06/11 AJ 12/23/10 PR1223
PR 01418 07/11 AJ 01/07/11 PRO107
PR 01561 07/11 AJ 01/21/11 PRO121
PR 01646 08/11 AJ 02/04/11 PR0204
PR 01783 08/11 AJ 02/18/11 PR0218
PR 01904 09/11 AJ 03/04/11 PRO304
PR 02016 09/11 AJ 03/18/11 PRO318
PR 02151 10/11 AJ 04/01/11 PR0401
PR 02253 10/11 AJ 04/15/11 PR0415
PR 02348 10/11 AJ 04/29/11 PR0429
PR 02524 11/11 AJ 05/13/11 PRO513
PR 02625 11/11 AJ 05/27/11 PRO527
PR 02733 12/11 AJ 06/10/11 PR0610
Permanent Full Time
PAYROLL
SUMMARY
'23,559.98
PAYROLL
SUMMARY
WORKERS
COMP PMT - B GONZ
PPARKER
07/22/10 01
PAYROLL
SUMMARY
23,559.96
REVERSE
ACCRUED REVENUE
256.46
PAYROLL
SUMMARY
23,559.96
PAYROLL
SUMMARY
23,611.93
PAYROLL
SUMMARY
23,689.86
PAYROLL
SUMMARY
23,777.77
PAYROLL
SUMMARY
23,777.76
PAYROLL
SUMMARY
23,777.76
PAYROLL
SUMMARY
23,822.96
PAYROLL
SUMMARY
23,865.66
PAYROLL
SUMMARY
23,866.03
PAYROLL
SUMMARY
23,928.19
PAYROLL
SUMMARY
23,945.41
PAYROLL
SUMMARY
26,316.32
PAYROLL
SUMMARY
23,946.61
PAYROLL
SUMMARY
23,945.48
PAYROLL
SUMMARY
23,945.49
PAYROLL
SUMMARY
23,945.48
PAYROLL
SUMMARY
23,945.45
PAYROLL
SUMMARY
23,989.13
PAYROLL
SUMMARY
24,042.33
PAYROLL
SUMMARY
24,042.37
PAYROLL
SUMMARY
24,042.35
PAYROLL
SUMMARY
24,130.27
PAYROLL
SUMMARY
24,130.27
4,033.00
4,033.00
4,033.00
4,033.00
4,033.00
48,396.00 48,396.000R
18,847.96
256.46
.00
.00
.00 `
.00
.00
PREPARED L7/2014, 10:19:00 GENERAL"LEDGER ..-.1VITY LISTING Fh%x=.329
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING•
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------- ------ --------- -------------------------------------------- ---------------------- ----- ------------ ---
101-7003-431.10-01 Salaries & Wages / Permanent Full Time
PR 02867 12/11 AJ 06/24/11 PR0624 PAYROLL SUMMARY
PR 02913 12/11 AJ 06/30/11 PR0630 PAYROLL SUMMARY
PR 02947 12/11 AJ 07/08/11 PR0708 PAYROLL SUMMARY
ACCOUNT TOTAL
101-7003-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-7003-431.10-04
Salaries
& Wages
/ Regular Overtime
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01137
05/11
.AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-7003-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-7003-431.10-14 Salaries & Wages / Regular Parttime 0/T -
ACCOUNT TOTAL
101-7003-431.10-15
Salaries
& Wages
/ Standby
PR
Op007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007,
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
24,130.28
9,404.31
19,886.19
652,842.02
305.16
181.65
57.22
•336.22
335.91
57.22
404.99
1,678.37
656.25
717.50
700.00
481.25
700.00
720.00
500.00
700.00
650.00
531.25
770.00
790.00
531.25
19,104.42
525.00
633,737.60
.00
.00
.00
1,678.37
.00
.00
.00
.00
.00
06'£T9`11
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PREPARED
—.7/2014,
10:19:00
PAYROLL
SUMMARY
GENERAL LEDGER -- VITY
LISTING
Pm=L332
PROGRAM
GM362LA
PAYROLL
-
6,304.12
PAYROLL
SUMMARY
CITY
-----------------------------------------------------------------------------------------7------------------------------------------
OF
LA QUINTA, CALIFORNIA
6,304.12
PAYROLL
SUMMARY
FUND
101
General
Fund
PAYROLL
SUMMARY
BEGINNING
PAYROLL
GROUP
ACCTG
----TRANSACTION----
PAYROLL
SUMMARY
189.73
PAYROLL
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.20-02
Employee
Benefits
/ PERS-Employee
Portion
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
1,878.79
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
1,882.95
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
11889.18
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
1,896.21
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
1,896.21
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
1,896.21
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
1,899.73
PR
01060
05/11
AJ
11/12/l0.PR1112
PAYROLL
SUMMARY
1,903.24
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
1,903.24
PR
'01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
11908.19
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
1,909.62
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
11909.65
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
1,909.64
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
1,909.64
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
1,822.89
PR
01.904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
1,801.20
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
1,887.95
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
11913.03
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
1,917.39
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
1,917.39
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
1,917.39
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
1,837.68
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
11815.99
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
11815.99
PR
02913
12/11
AJ
06/30/11
PR0630
PAYROLL
SUMMARY
48.89
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
11585.51
ACCOUNT TOTAL 50,631.37
101-7003-431.20-03 Employee Benefits / PERS-Survivor Benefits
101-7003-431.21-01
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR 00100 01/11 AJ
PR 00100 01/11 AJ
PR 00196 02/11 AJ
PR O9196 02/11 AJ
PR 00342 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
07/23/10 PR0723
08/06/10 PR0806
08/06/10 PR0806
08/20/10 PR0820
08/20/10 PR0820
09/03/10 PR0903
09/03/10 PR0903
09/17/10 PR0917
09/17/10 PR0917
10/01/10 PR1001
1,503.04
49,128.33
.00
.00
/ Medical Insurance
.00
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
5,241.64
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
176.75
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
189.73
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
189.73
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
189.73
PAYROLL
SUMMARY
6,304.12
PAYROLL
SUMMARY
189.73
PAYROLL
SUMMARY
6,304.12
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER-_.-VITY LISTING PM��.533
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING'
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7003-431.21-01
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02016• 09/11 AJ
PR 02151 10/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02253 10/11 AJ
PR• 02524 11/11 AJ
PR 02524 11/11 AJ
PR 02625 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
PR 02867 12/11 AJ
PR 02947 12/11 AJ
101-7003-431.21-02
PR 00007 01/11 AJ
PR 00007 01/11 AJ
PR O9100 01/11 AJ
PR 00196 02/11 AJ
PR 00342 02/11 AJ
PR 00435 03/11 AJ
PR 00594 03/11 AJ
PR 00685 04/11 AJ
Insurance Benefits
10/01/10 PR1001
10/15/10 PR1015
10/15/10 PR1015
11/12/10 PR1112
11/12/10 PR1112
11/24/10 PR1124
11/24/10 PR1124
12/10/10 PR1210
12/10/10 PR1210
12/23/10 PR1223
12/23/10 PR1223
01/07/11 PR0107
01/07/11 PR0107
01/21/11 PR0121
01/21/11 PR0121
02/04/11 PR0204
02/04/11 PR0204
02/18/11 PR0218
02/18/11 PR0218
03/04/11 PR0304
03/04/11 PR0304
03/18/11 PR0318
03/18/11 PR0318
04/01/11 PR0401
04/01/11 PR0401
04/15/11 PR0415
04/15/11 PR0415
05/13/11 PR0513
05/13/11 PR0513
05/27/11.PR0527
05/27/11 PR0527
06/10/11 PR0610
06/10/11 PR0610
06/24/11 PR0624
06/24/11 PR0624
07/08/11 PR0708
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
08/06/10 PR0806
08/20/10' PR0820
09/03/10 PR0903
09/17/10 PR0917
10/01/10 PR1001
/ Vision Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL "SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
6,304.12
6,304.12
6,304.12
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
7,124.66
5,982.05
168,768.49
117.83
117.83
117.83
117.83
117.83
117.83
117.83
189.73
189.73
189.73
189.73
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
473.69
13,567.89
94.26
155,200.60
.00
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SST "-yd 9NI1SIl AlIA— -" b39031 IVb3N39 00?61:01 4i0Z/L-"- 03bVd3bd
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER LISTING PHuca336
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N
DEBITS CREDITS
101-7003-431.21-07
Insurance
Benefits
/ Long Term
Disability
PR
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
130.71
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
131.24
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
131.24
OR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
131.24
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
131.72
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
131.72
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
143.23
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
143.23
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
143.23
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
143.23
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
143.23
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
143.23
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
143.81
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
143.81
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
143.81
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
144.34
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
144.34
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
144.34
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
144.34
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
118.90
ACCOUNT TOTAL 3,952.68
101-7003-431.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-7003-431.25-01
Workers
Comp Insurance
/ Workers Comp Insurance
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
716.05
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
719.65
PR
00196
02/11
AJ
08/06/10
PR0B06
PAYROLL
SUMMARY
719.56
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
717.00
PR
OU435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
735.68
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
739.24
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
720.04
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
740.86
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
736.37
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
723.10
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
727.89
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
745.77
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
725.46
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
861.40
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
729.58
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
729.71
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
733.67
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
742.46
BEGINNING
/ENDING
BALANCE
202.90 3,749.78
572.83
.00
.00
.00
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER __VITY
LISTING
Pmwm,337
PROGRAM
GM362LA
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
271.95
CITY.OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
01/11
AJ
07/09/10
PR0709
PAYROLL
FUND 101
General
Fund
OD100
01/11
AJ
07/23/10
BEGINNING
GROUP
ACCTG
----TRANSACTION----
PR
00196
02/11
AJ
/ENDING
APP ,NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.25-01
PRO820
Workers Comp Insurance
/ Workers
Comp Insurance
PR
00435
PR 02016.
09/11
AJ
03/18/11 PR0318
PAYROLL
SUMMARY
728.60
PR
PR 02151
10/11
AJ
04/01/11 PRO401
PAYROLL
SUMMARY
770.39
280.19
PR 02253
10/11
AJ
04/15/11 PRO415
PAYROLL
SUMMARY
754.46
SUMMARY
PR 02348
10/11
AJ
04/29/11 PR0429
PAYROLL
SUMMARY
733.84
PAYROLL
PR 02524
11/11
AJ
05/13/11 PRO513
PAYROLL
SUMMARY
754.29
PR1029
OR 02625
11/11
AJ
05/27/11 PROS27
PAYROLL
SUMMARY
778.18
11/12/10
PR 02733
12/11
AJ
06/10/11 PR0610
PAYROLL
SUMMARY
745.85
AJ
PR 02867
12/11
AJ
06/24/11 PR0624
PAYROLL
SUMMARY
737.48
06/11
GM 03023
12/11
AJ
06/30/11 JE 12-056
ADJ WORK
COMP TO ACTUAL
10,091.28
01249
PR 02947
12/11
AJ
07/08/11 PR0708
PAYROLL
SUMMARY
602.60
PR
01364
06/11
AJ
ACCOUNT TOTAL
PR1223
PAYROLL
19,869.18 10,664.11
9,205.07
101-7003-431.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
.101-7003-431.27-03
Other Benefits & Deduc.
/ Social
Security -Medicare
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
271.95
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
OD100
01/11
AJ
07/23/10
PRG723
PAYROLL
SUMMARY
273.72
PR
00196
02/11
AJ
08/0.6/10
PRO806
PAYROLL
SUMMARY
276.21
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
274.21
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
279.71
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
280.19
PR
00685.
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
273.85
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
280.40
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
280.16
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
277.15
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
275.65
PR
01263
06/11
AJ
12/09/10
PR1209
PAYROLL
SUMMARY
166.91
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
287.02
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
276.14
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
321.49
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
276.24
PR
07646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
278.59
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
263.00
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
258.82
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
273.75
PR
02151,
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
286.13
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
282.26
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
281.34
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
283.67
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
271.53
PR
02733
12/11
AJ
06/10/11
PRO610
PAYROLL
SUMMARY
267.59
PR
02867
12/11
AJ
06/24/11
PRO624
PAYROLL
SUMMARY
260.94
PR
02913
12/11
AJ
06/30/11
PRO630
PAYROLL
SUMMARY
118.67
217.57
.00
00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER __.;VITY LISTING Pmw=A338
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND.101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER•PER. CD DATE• NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-- ------------------------------
101-7003-431.27-03 Other Benefits & Deduc. / Social Security -Medicare
PR 02947 12/11 AJ 07/08/11 PR0708 PAYROLL SUMMARY
ACCOUNT TOTAL
101-7003-431.32-07 Contract Services / Consultants
ACCOUNT TOTAL
101-7003-431.32-10 Contract Services / Professional
ACCOUNT TOTAL
101-7003-431.33-65 Contract
GM 01092 05/11 AP 10/29/10
11372
GM 01265 06/11 AP 11/24/10
11402
GM 01564 07/11 AP 12/20/10
• 11423
GM 02156 10/11 AP 03/14/11
11513
Services / Street Striping
0089798
J P STRIPING, INC.
Technical
SIGNING/STRIPING
0089989
J P STRIPING, INC.
AP
SIGNING 8 STRIPING
0090494
J P STRIPING, INC.
STRIPING
0091436
J P STRIPING, INC.
JUL-PROF SVC
STRIPING
ACCOUNT TOTAL
101-7003-431.34-04
Contract Services /
Technical
GM
00275
02/11
AP
08/01/10 0088486
NAI CONSULTING INC
17 OF 2009-05
JUL-PROF SVC
GM
00712
04/11
AP
09/13/10 0089277
TRI STATE LAND SURVEYORS
5279
SURVEY 2008-18
GM
00943
04/11
AP
10/28/10 0089277
TRI STATE LAND SURVEYORS
5279
SURVEY 2008-18
GM
00931
04/11
AP
10/28/10 0089512
UNITED STATES TREASURY
33-0942237
TRI-STATE LEVY PROCEEDS
GM
00931
04/11
AP
10/28/10 0089512
UNITED STATES TREASURY
33-0942237
TRI-STATE LEVY PROCEEDS
GM
00831
04/11
AJ
10/31/10 AJE 04-011
RECLASS INVOICE TO OPER
GM
01511
07/11
AP
01/01/11 0090321
NAI CONSULTING INC
22 OF 2009-05
DEC -PROF SVC
GM
01951
09/11
AP
03/01/11 0091026
NAI CONSULTING INC
24 OF 2009-05
FEB -PROF SVC
GM
02424
11/11
AP
04/19/11 0091832
LEIGHTON CONSULTING INC
LCIO019981
GEOTECHNICAL REPOST
GM
02789
12/11
AP
06/01/11 0092240
NAI CONSULTING INC
2 OF 2011-07
MAY PRJ MGMT SVC
GM
02987
12/11
AP
06/10/11 0092501
ARC
222.49
7,719.78
15,497.55
14,550.00
4,450.45
4,912.50
39,410.50
1,475.00
750.00
750.00
340.00
21,280.00
1,625.00
50.00
8,400.00
3,475.00
22.35
217.57
750.00
7,502.21
.00
.00
.00
.00
.00
39,410.50
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER — .1VIT.Y
LISTING
P–__-339
PROGRAM
GM362LA
CITY OF' LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER D E
S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.34-04
Contract
Services / Technical
6082304
SLURRY SEAL PRGM
GM
03027
12/11
AP
07/01/11
0092717
NAI CONSULTING INC
950.00
3 OF 2011-07
JUN-PRJ
MGMT SVC
ACCOUNT
TOTAL
39,117.35 750.00
38,367.35
101-7003-431.41-01
Utilities
/ Electricity
.00
GM
00229
02/11
AP
07/29/10
0088413
IMPERIAL
IRRIGATION
DIST'
82.87
VARIOUS
ELECTRIC
SVC
GM
00439
03/11
AP
08/31/10
0088741
IMPERIAL
IRRIGATION
DIST
67.63
•
VARIOUS
ELECTRIC
SVC
GM
00713
03/11
AP
09/19/10
0089111
IMPERIAL
IRRIGATION
DIST
29.11
50505446
YARD TRAILER
GM
00751
04/11
AP
10/04/10
0089135
IMPERIAL
IRRIGATION
DIST
77.80
VARIOUS
ELECTIC
SVC
GM
00931
04/11
AP
10/19/10
0089500
IMPERIAL
IRRIGATION
DIST
1,243.97
50505446
ELECTRIC
SVC
GM
01033
05/11
AP
10/28/10
0089522
IMPERIAL
IRRIGATION
DIST
72.71
REBATE
ELECTRIC
SVC
GM
01210
06/11
AP
11/30/10
0089875
IMPERIAL
IRRIGATION
DIST
457.82
VARIOUS
ELECTRIC
SVC
GM
01547
07/11
AP
12/16/10
0090384
IMPERIAL
IRRIGATION
DIST
362.34
50508826
ELECTRIC
SVC
GM
01547
07/11
AP
12/17/10
0090384
IMPERIAL
IRRIGATION
DIST
330.60
50508826
ELECTRIC
SVC
GM
01547
07/11
AP
12/31/10
0090384
IMPERIAL
IRRIGATION
DIST
328.36.
VARIOUS
ELECTRIC
SVC
GM
01692
08/11
AP
01/25/11
0090601
IMPERIAL
IRRIGATION
DIST
775.53
VARIOUS
ELECTRIC
SVC
GM
01909
09/11
AP
02/17/11
0090949
IMPERIAL
IRRIGATION
DIST
393.06
50508826
ELECTIC
SVC MAINT YD
GM
01909
09/11
AP
02/17/11
0090949
IMPERIAL
IRRIGATION
DIST
215.11
50505446
ELECTIC
SVC MAINT YD
GM
01909
09/11
AP
02/28/11
0090949
IMPERIAL
IRRIGATION
DIST
60.04
VARIOUS
ELECTRIC
SVC
GM
02177
10/11
AP
03/21/11
0091315
IMPERIAL
IRRIGATION
DIST
245.61
50505446
ELECTRIC
SVC
GM
02177
10/11
AP
03/21/11
0091315
IMPERIAL
IRRIGATION
DIST
1409.58
50508826
ELECTRIC
SVC
GM
02177
10/11
AP
03/29/11
0091315
IMPERIAL
IRRIGATION
DIST
62.58
VARIOUS
ELECTRIC
SVC
GM
02403
10/11
AP
04/19/11
0091731
IMPERIAL
IRRIGATION
DIST
499.82
50505446
ELECTRIC
SVC
GM
02403
10/11
AP
04/19/11
0091731
IMPERIAL
IRRIGATION
DIST
386.69
50508826
ELECTRIC
SVC
GM
02403
10/11
AP
04/27/11
0091731
IMPERIAL
IRRIGATION
DIST
70.20
VARIOUS
ELECTRIC
SVC
GM
02740
12/11
AP
05/18/11
0092149
IMPERIAL
IRRIGATION
DIST
312.97
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER .._ IVITY
LISTING
P...___340
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
--------------------------------------
FUND 101
General
Fund
--------------'-----------------------•---------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER D E
S C R I P T I O N
DEBITS
CREDITS BALANCE
101-7003-431.41-01
Utilities / Electricity
50508826
ELECTRIC-MAINT YD
GM 02740
12/11
AP
06/07/11.0092149
IMPERIAL IRRIGATION DIST
596.73
VARIOUS
ELECTRIC SVC
GM 03010
12/11
AP
06/30/11 0092616
IMPERIAL IRRIGATION DIST
774.67
VARIOUS
ELECTRIC SVC
GM 03010
12/11
AP
06/30/11 0092616
IMPERIAL IRRIGATION DIST
68.94
VARIOUS
ELECTRIC SVC
ACCOUNT TOTAL
7,924.74
7,924.74
101-7003-431.41-16
Utilities / Water
.00
•
ACCOUNT TOTAL
.00
101-7003-431.41-30
Utilities / Security 8
Alarm
.00
GM 00346
02/11
AP
08/07/10 0088551
ADT SECURITY SERVICES
390.53
30227485
SEP-NOV YARD
GM 01210
06/11
AP
11/06/10 0089865
•ADT SECURITY SERVICES
390.53
35859560
DEC -FEB SECURITY
ACCOUNT TOTAL
781.06
781.06
.101-7003-431.42-15
Contract Services / Janitorial
.00
GM 00023
-01/11
AP
07/01/10 0088004
ADVANCED INC
500.00
13415
JUL-JANITORIAL SVC
GM OU274
02/11
AP
08/01/10 0088448
ADVANCED INC
521.65
13462
JUL-JANITORIAL SVC
GM 00490
03/11
AP
09/01/10 0088779
ADVANCED INC
521.65
13487
JANITORIAL
GM 00823
04/11
AP
10/01/10 0089152
ADVANCED INC
521.65
13524
JANITORIAL SVC
GM 01046
05/11
AP
11/01/10 0089541
ADVANCED INC
521.65
13559
JANITORIAL SVC
GM 01272
06/11
AP
12/01/10 0089926
ADVANCED INC
521.65
13594
JANITORIAL SVC
GM 01478
07%11
AP
O1/01/11 0090275
ADVANCED INC
521.65
13626
JANITORIAL SVC
GM 01704
08/11
AP
02/01/11 0090618
ADVANCED INC
521.65
13652
JANITORIAL SVC
GM 01962
09/11
AP
03/01/11 0090968
ADVANCED INC
521.65
13680
JANITORIAL SVC
GM 02198
10/11
AP
04/01/11 0091360
ADVANCED INC
521.65
13710
JANITORIAL SVC
GM 02435
11/11
AP
05/01/11 0091785
ADVANCED INC
521.65
13735
JANITORIAL
GM 02728
12/11
AP
06/01/11 0092165
ADVANCED INC
521.65
PREPARED _.._7/2014, 10:19:00 GENERAL LEDGER ..__;VITY LISTING P____341
PROGRAM 'GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----'--------------------------------------------------------------------------------------------------------------------------------
101-7003-431.42-15 Contract Services / Janitorial
• 13771 JUN -JANITORIAL SVC
ACCOUNT TOTAL 6,238.15
101-7003-431.43-46 Maintenance & Repair / Street Sweeper
ACCOUNT TOTAL
101-7003-431.43-73
Maintenance & Repair
/ Storm Drains
GM
02198
10/11
AP
03/23/11
0091443KRIBBS
CONSTRUCTION, BRUC
500.00
3286.
SIDEWALK
GM
02248
10/11
AP
03/25/11
0091492
ROTO ROOTER PLUMBERS INC
2,500.00
D463166
STORM DRAIN -YARD
GM
02302
10/11_
AP
03/31/11
0091713
WHITE CAP CONSTRUCTION SU
1,029.04
8100026
STORM DRAIN
GM
02302
10/11
AP
03/31/11
0091713
WHITE CAP CONSTRUCTION SU
8100063
STORM DRAIN
GM
02351
10/11
AP
04/07/11
0091640
HUB CONSTRUCTION SPECIALT
142.90
W02003317,
STROM DRAIN
GM
02424
11/11
AP
04/22/11
0091883
WHITE CAP CONSTRUCTION SU
1,121.78
8101776
STORM DRAIN
GM
02735
12/11
AP
05/18/11
0092228
LAWSON PRODUCTS INC
464.76
469786
STROM DRAIN
GM
02735
12/11
AP
05/21/11
0092292
VALLEY PLUMBING
305.37
202094
STROM DRAIN
GM
03024
12/11
AP
06/16/11
0092736
ROTO ROOTER PLUMBERS INC
3,200.00
D462936
STORM DRAIN SVC
ACCOUNT TOTAL
9,263.85
101-7003-431.44-01
Contract
Services /
Equipment Rental
GM
00099
01/11
AP
07/09/10
0088269
CLAIREMONT EQUIPMENT
66.64
45113801
EQ RENTAL
GM
00286
02/11
AP
07/26/10
0088627
ELMS EQUIPMENT RENTAL INC
243.75
4327160001
EQUIP RENTAL
GM
00319
02/11
AP
08/06/10
0088627
ELMS EQUIPMENT RENTAL INC
280.69
4329970001
EQUIP RENTAL
GM
00860
04/11
AP
09/29/10
0089403
ELMS EQUIPMENT RENTAL INC
841.06
4335190001
EQUIPT RENTAL
GM
01262
06/11
AP
11/30/10
0090079•
YOUNG ELECTRIC SIGN COMPA
343.38
TL49171
EQUIP RENTAL
GM
01564
07/11
AP
12/23/10
0090470
ELMS EQUIPMENT RENTAL INC
186.09
4345390001
EQUIPMENT RENTAL
GM
01787
08/11
AP
01/24/11
0090842
ELMS EQUIPMENT RENTAL INC
37.45
4349440001
EQUIP RENTAL
GM
01596
07/11
AJ
01/31/11
AJE 07-020
REC TO ENERGY CONSERVATIO
J
757.79
757.79
343.38
6,238.15
.00
.00
.00
8,506.06
00
PREPARED
-..-7/2014,
10:19:00.
GENERAL LEDGER .._.1VITY
LISTING
P____342
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------------•---------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.44-01
Contract Services /
Equipment Rental
GM
01787
08/11
AP
01/31/11 0090858
JOHNSON MACHINERY CO.
495.35
140092880001
EQUIP RENTAL
GM
01903
09/11'
AP
02/16/11 0091014
JOHNSON MACHINERY CO.
535.31
140093560001
EQUIP RENTAL
GM
02084
09/11
AP
03/21/11 0091273
YOUNG ELECTRIC SIGN COMPA
571.52
LA11858
EQ RENTAL
GM
02645
11/11
AP
05/07/11 0092071
ADT SECURITY SERVICES
416.30
47367369
JUN -AUG SECURITY '
GM
02997
12/11
AP
06/09/11 0092528
ELMS EQUIPMENT RENTAL INC
3,444.25
4362150001
EQUIP RENTAL
GM
02997
12/11
AP
06/15/11 0092528
ELMS EQUIPMENT RENTAL INC
321.66
4362150002
EQUIP RENTAL
ACCOUNT TOTAL
7,783.45 343.38
7,440.07
101-7003-431.44-07
Contract Services /
Uniform Rental
.00
GM
00023
01/11
AP
07/08/10 0088006
ALSCO,INC
130.00
LYUM379835
UNIFORM RENTAL
GM
00275
02/11
AP
07/15/10 0088450
ALSCO INC
100.00
LYUM382191
UNIFORM RENTAL
GM
00275
02/11
AP
07/22/10 0088450
ALSCO INC
103.61
LYUM384455
UNIFORM RENTAL
GM
00274
02/11
AP
07/29/10 0088450
ALSCO INC
80.00
LYUM386836
UNIFORM RENTAL
GM
00286
02/11
AP
08/05/10 0088604
ALSCO INC•
100.00
LYUM389168
UNIFORM RENTAL
GM
00350
02/11
AP
08/12/10 0088604
ALSCO INC
100.00
LYUM391648
UNIFORM RENTAL
GM
00367
03/11
AP
08/19/10 0088781
ALSCO INC
100.00•
LYUM394012
UNIFORM RENTAL
GM
00437
03/11
AP
08/26/10 0088781
ALSCO INC•
100.00
LYUM396454
UNIFORM RENTAL
GM
00514
03/11
AP
09/02/10 0088781
ALSCO INC
100.00
LYUM398936
UNIFORM RENTAL
GM
00581
03/11
AP
09/09/10 0088781
ALSCO INC
100.00
LYUM401355
UNIFORM RENTAL
GM
00624
03/11
AP
09/16/10 0088977
ALSCO INC
80.00
LYUM403772
UNIFORM RENTAL
GM
00712
04/11
AP
09/23/10 0089155
ALSCO INC
80.00
LYUM406347
UNIFORM RENTAL
GM
00725
04/11
AP
09/30/10 0089155
ALSCO INC
90.00
LYUM408783
UNIFORM RENTAL
GM
00846
04/11
AP
10/07/10 0089373
ALSCO INC
100.00
LYUM411328
UNIFORM RENTAL
GM
00914
04/11
AP
10/14/10 0089373
ALSCO INC
100.00
LYUM413808
UNIFORM RENTAL
GM
01001
05/11
AP
10/21/10 0089542
ALSCO INC
90.00
LYUM416457
UNIFORM RENTAL
PREPARED
—.7/2014, 10:19:00
GENERAL LEDGER--..VITY
LISTING
Pte --- 343
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------------------------------------------------------------------------=--------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.44-07
Contract Services
/ Uniform Rental
GM
01001
05/11
AP
10/28/10 0089542
ALSCO INC
91.00
LYUM419010
UNIFORM RENTAL
9M,01048
05/11
AP
11/04/10 0089542
ALSCO INC
90.32
LYUM421578
UNIFORM RENTAL
GM
01246
06/11
AP
11/11/10 0089927
ALSCO INC
80.00
LYUM424195
UNIFORMS
GM
01181
06/11
AP
11/18/10 0089927
ALSCO INC
102.33
LYUM426829
UNIFORMS
GM
01181
06/11
AP
11/25/10 0089927
ALSCO INC
100.00
LYUM429379
UNIFORM RENTAL
GM
01272
06/11
AP
12/02/10 0089927
ALSCO INC
100.00
LYUM432031
UNIFORM RENTAL
GM
01560
07/11
AP
12/09/10 0090443
ALSCO INC .
90.00
LYUM434691
UNIFORM RENTAL
GM*01478
07/11
AP
12/16/10 0090277
ALSCO INC
90.00
LYUM437358
UNIFORM RENTAL
GM
01560
07/1.1
AP
12/23/10 0090443
ALSCO INC
90.00
LYUM439783
UNIFORM RENTAL
GM
01560
07/11
AP
12/30/10 0090443
ALSCO INC
90.00
•
LYUM442455
UNIFORM RENTAL
GM
01560
07/11
AP
01/02/11 0090443
ALSCO INC
100.00
LYUM447653
UNIFORM RENTAL
GM
01560
07/11
AP
01/06/11 0090443
ALSCO INC
90.00
LYUM444966
UNIFORM RENTAL
GM
'01632
08/11
AP
01/20/11 0090620
ALSCO INC
90.00
LYUM449955
UNIFORM RENTAL
GM
01704
08/11
AP
01/28/11 0090620
ALSCO INC
100.00
LYUM452777
UNIFORM RENTAL
GM
01787
08/11
AP
02/04/11 0090810
ALSCO INC
100.00
LYUM455064
UNIFORM RENTAL
GM
01804
08/11
AP
02/11/11 0090810
ALSCO INC
100.00
LYUM457514
UNIFORM RENTAL
GM
01903
09/11
AP
02/18/11 0090969
ALSCO INC
90.00
LYUM459913
UNIFORM RENTAL
GM
01903
09/11
AP
02/25/11 0090969
ALSCO INC
100.00
LYUM462389
UNIFORM RENTAL
GM
02154
10/11
AP
03/04/11 0091362
ALSCO INC
147.59
LYUM464766
UNIFORM RENTAL
GM
02154
10/11
AP
03/11/11 0091362
ALSCO INC
100.00
LYUM467214
UNIFORM RENTAL
GM
02154
10/11
AP
03/18/11 0091362
ALSCO INC
90.00
LYUM469572
UNIFORM RENTAL
GM
02154
10/11
AP
03/25/11 0091362
ALSCO INC
80.00
LYUM472027
UNIFORM RENTAL
GM
02248
10/11
AP
04/01/11 0091362
ALSCO INC-
90:00
LYUM474393
UNIFORM RENTAL
GM
02306
10/11
AP
04/05/11 0091570
CAPITAL ONE COMMERCIAL
70.63
24470
UNIFORM
GM
02302
10/11
AP
04/08/11 0091593
ALSCO INC
80.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER
.._ VITY LISTING
Pnww4544
PROGRAM
GM362LA
07/31/10
0088616
CLEAN STREET
CITY OF
--------------------------------------------------------------------------------------------------------------------=---------------
LA QUINTA, CALIFORNIA \
61066
JUL-SWEEPER
FUND 101
General
Fund
AP
08/31/10
BEGINNING
GROUP
ACCTG
----TRANSACTION----
61409
/ENDING
APP NUMBER
-------------------------------
PER.
CD
DATE NUMBER
I ---------------------------------------------------
D E S C R I P T I O N
DEBITS CREDITS
I------------------------------------------------
BALANCE
101-7003-431.44-07
Contract Services /
Uniform Rental
61713
SEP -ST SWEEPING
GM
LYUM476809
UNIFORM RENTAL
AP
10/31/10
GM 02316
10/11
AP
04/15/11 0091593
ALSCO INC
100.00
62037
OCT -ST SWEEPING
GM
LYUM479132
UNIFORM RENTAL
AP
11/30/10
GM 02424
11/11
AP
04/22/11 0091787
ALSCO INC
80.00
62374 .
NOV-SWEEPING
GM
LYUM481533
UNIFORM RENTAL
AP
12/31/10
GM 02507
11/11
AP
04/29/11 0091787
ALSCO INC
80.00
62631
•
DEC -SWEEPING
GM
LYUM483788
UNIFORM RENTAL
AP
01/31/11
GM 02628
11/11
AP
05/06/11 0091960
ALSCO INC
80.00
62912
JAN -SWEEPING
GM
LYUM486193
UNIFORM RENTAL
AP
02/28/11
GM 02628
11/11
AP
05/13/11 0091960
ALSCO INC
80.00
63164
ST SWEEPING
GM
LYUM488452
UNIFORM RENTAL
AP
03/31/11
GM 02735
12/11
AP
05/20/11 0092167
ALSCO INC
80.00
63462
MAR -ST SWEEPING
GM
LYUM490803 •_
UNIFORM RENTAL
AP
04/30/11
GM 02728
12/11
AP
05/27/11 0092167
ALSCO INC
80.00
63682
ST SWEEPING
GM
LYUM492959
UNIFORM RENTAL
AP
05/17/11
GM 02865
12/11
AP
06/10/11 0092346
ALSCO INC
80.00
LYUM497412
UNIFORM RENTAL
GM 02987
12/11
AP
06/17/11 0092497
ALSCO INC
80.00
LYUM499677
UNIFORM RENTAL
6M 02997
12/11
AP
06/24/11 0092497
ALSCO INC
92.76
LYUM501833
UNIFORM RENTAL
GM 0.2997
12/11
AP
07/01/11 0092497
ALSCO INC
80.00
LYUM504051
UNIFORM RENTAL
ACCOUNT TOTAL
101-7003-431.44-10
Contract
Services
/ Street Sweeping
GM
00286
02/11
AP
07/31/10
0088616
CLEAN STREET
61066
JUL-SWEEPER
GM
00522
03/11
AP
08/31/10
0088755
CLEAN STREET
61409
AUG -SWEEPING
GM
00823
04/11
AP
09/30/10
0089173
CLEAN STREET
61713
SEP -ST SWEEPING
GM
01092
05/11
AP
10/31/10
0089757
CLEAN STREET
62037
OCT -ST SWEEPING
GM
01264
06/11
AP
11/30/10
0089950
CLEAN STREET
62374 .
NOV-SWEEPING
GM
01560
07/11
AP
12/31/10
0090458
CLEAN STREET
62631
DEC -SWEEPING
GM
01787
08/11
AP
01/31/11
0090827
CLEAN STREET
62912
JAN -SWEEPING
GM
02083
09/11
AP
02/28/11
0091169
CLEAN STREET
63164
ST SWEEPING
GM
02302
10/11
AP
03/31/11
0091611
CLEAN STREET
63462
MAR -ST SWEEPING
GM
02561
11/11
AP
04/30/11
0091974
CLEAN STREET
63682
ST SWEEPING
GM
02694
12/11
AP
05/17/11
0092184
CLEAN STREET
4,818.24
8,001.12
10,001.40
8,001.12
8,001.12
10,001.40
8,001.1.2
9,001.26
8,001.12
8,001.12
8,001.12
929.30
4,818.24
.00
PREPARED -..-7/2014, 10:19:00
GENERAL LEDGER--..VITY
LISTING
P...1345
PROGRAM GNS62LA
CITY OF LA QUINTA,
----:---
CALIFORNIA
------------
FUND 101 General Fund
-------------------------
-----------------------------
------------------------------------------
----------------
BEGINNING
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
-----=----------------------------
DATE 'NUMBER D
--------------------
E S C R I P T I O N
-----------------------
DEBITS CREDITS
---------------- ---------- -----------------------------
BALANCE
101-7003-431.44-10
Contract Services / Street Sweeping
63808
SWEEPER SVC
GM 02784 12/11 AP
05/31/11 0092184
CLEAN STREET
9,001.26
63978
MAY -ST SWEEPING
GM 03024 12/11 AP
06/30/11 0092692
CLEAN STREET
8,001.12
64246
JUN -ST SWEEPING
ACCOUNT TOTAL
102,943.58
102,943.58
10117003-431.44-73
Contract Services / Storm Drains
.00
ACCOUNT TOTAL
.00 .
101-7003-431.51-01
Services & Supplies /
Travel & Training
.00
GM 01001 05/11 AP
10/25/10 0089636
REGENTS OF UC
450.00
10000680
CONF-E WIMMER
GM 01033 05/11 AP
10/27/10 0089526
LINDSEY, JAMES
50.00
REIMB
FLOOD CNTRL TRAINING
GM 01547 07/11 AP
O1/11/11 0090390
LINDSEY, JAMES
177.00
REIMB
TRAINING COURSE
GM 02863 12/11 AP
06/15/11 0092362
COACHELLA VALLEY WATER DI
150.00
62911
WMLR SEMINAR
GM 02930 12/11 AP
06/30/11 0092362
COACHELLA VALLEY WATER DI
150.00
62911
WMLR SEMINAR
ACCOUNT TOTAL
827.00 150.00
677.00
101-7003-431.51-02
Services & Supplies /
Vehicle Reimbursement
.00
ACCOUNT TOTAL
.00
101-7003-431.51-03
Services & Supplies /
Mileage Reimbursement
.00
ACCOUNT TOTAL
.00
101-7003-431.53-01
Services & Supplies /
Printing
.00
GM 02561 11/11 AP
04/21/11 0092055
STAPLES ADVANTAGE
228.10
3153418529
OFFICE SUPPLIES
ACCOUNT TOTAL
228.10
228.10
101-7003-431.53-03
Services & Supplies /
Membership Dues
.00
ACCOUNT TOTAL
.00
PREPARED' -.,.7/2014, 10:19:00 GENERAL LEDGER ..._.-VITY .LISTING P___.346
•PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS. CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7003-431.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
101-7003-431.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-7003-431.54-01 Information Technology / Information Tech Chgs
. ACCOUNT TOTAL
101-7003-431.56-01
Services
& Supplies /
Office Supplies
ACCOUNT TOTAL
101-7003-431.56-02
Services
A Supplies /
Operating Supplies
GM
00490
03/11
AP
07/30/10
0088911
VIP PROMOTIONAL SERVICES
221.32
13811
SHIRTS
GM
02288
10/11
AP
04/01/11
0091551
SPARKLETTS
156.61
42820320404111
WATER-MAINT YD
GM
02538
11/11
AP
04/29/11
0091916
SPARKLETTS
179.44
42911
WATER - MAINT YD
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
6.47
4024060
SUPPLIES
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
64.12
`
4091448
SUPPLIES
ACCOUNT TOTAL
627.96
101-7003-431.56-25 Services & Supplies /•Supplies - Software
ACCOUNT TOTAL
101-7003-431.56-37 Services & Supplies / Supplies -Graffiti
ACCOUNT TOTAL
101-7003-431.56-40 Services & Supplies / Safety Gear
GM 00099 01/11 AP 07/10/10 0088306 INDIO SHOE STORE INC 217.50
7849 SAFETY BOOTS-BGONZALEZ
GM 00275 02/11 AP 07/16/10 0088477 INDIO SHOE STORE INC 337.13
7850 WORK BOOTS.
.00
.00
.00
.00
.00
.00
.00
.00
.00
627.96.
.00
.00
.00
.00
.00
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--..VITY
LISTING
PM%3ca347
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
--------------------------------------'----------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
NUMBER
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431,.56-40
Services
& Supplies /
Safety Gear
GM
00275
02/11
AP -07/22/10.
0088477
INDIO SHOE STORE INC
691.66
7851
SAFETY GEAR
GM
00275
02/11
AP
07/24/10
0088477
INDIO SHOE STORE INC
171.83
7854
SAFETY BOOTS -JAMES
GM
00275
02/11
AP
07/27/10
0088477
INDIO SHOE STORE INC
163.12
7855
SAFETY BOOTS-ADOLFO
GM
00319
02/11
AP
O8/01/10
0088644
INDIO SHOE STORE INC
258.83
BOOTS
CENDEJAS/BATTEN
GM
00319
02/11
AP
08/06/10
0088644
INDIO SHOE STORE INC
217.50
7864
BOOTS-ARELLANO
GM
00437
03/11
AP
08/18/10
0088796
CALIFORNIA CONTRACTORS
SU
263.27
D84401
SAFETY GEAR
GM
01048
05/11
AP
10/21/10
0089552
CALIFORNIA CONTRACTORS
SU
226.93
F2265
SAFTEY GEAR
GM
01478
07/11
AP
11/29/10
0090285
CALIFORNIA CONTRACTORS
SU
236.80
F10361
SAFETY GEAR
GM
01564
07/11
AP
12/10/10
0090452
CALIFORNIA CONTRACTORS
SU
262.74
F11283
SAFETY GEAR
GM
02156
10/11
AP
03/28/11
0091438
JERNIGAN'S, INC
119.62
7476
BOOTS -DANNY
GM
02787
12/11
AP
05/20/11
0092178
CALIFORNIA CONTRACTORS
SU
262.74
F39696
SAFETY GEAR
ACCOUNT TOTAL
3,429.67
3,429.67
101-7003-431.56-43
Services
& Supplies /
Barricades
.00
GM
00977
05/11
AP
10/21/10
0089660
TOPS'N BARRICADES INC
407-.29
1018024
BARRICADES
GM
01560
07/11
AP
12/21/10
0090541
TOPS'N BARRICADES INC
271.53
1018985
BARRICADES
GM
01878
09/11
AP
02/15/11
0091052
TOPS'N BARRICADES INC
367.03
1019818
BARRICADES
GM
01878
09/11
AP
02/15/11
0091052
TOPS'N BARRICADES INC
244.69
1019817
BARRICADES
GM
01878
09/11
AP
02/16/11
0091052
TOPS'N BARRICADES INC
42.96
1019846
BARRICADES
GM
02316
10/11
AP
04/11/11
0091702
TOPS'N BARRICADES INC
339.41
1020639
BARRICADE/SIGNS
GM
02316
10/11
AP
04/13/11
009.1702
TOPS'N BARRICADES INC
148.55
1020701
BARRICADE/SIGNS
GM
02316
10/11
AP
04/13/11
0091719
ZUMAR INDUSTRIES, INC
11019.53
129641
BARRICADES
GM
02424
11/11
AP
04/15/11
0091872
TOPS'N BARRICADES INC
53.83
1020731
BARRICADES/SIGNS
GM
02424
11/11
AP
04/15/11
0091872
TOPS'N BARRICADES INC
100.49
1020751
BARRICADES
GM
02424
11/11
AP
04/19/11
0091872
TOPS'N BARRICADES INC
81.56
1020810
BARRICADES/SIGNS
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
Pmwc,348
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101:7003-431.56-43
Services
& Supplies /
Barricades
GM
02424
11/11
AP
04/19/11
0091872
TOPS'N BARRICADES
INC
575.56
1020819
BARRICADES/SIGNS
GM
02424
11/11
AP
04/21/11
0091872
TOPS'N BARRICADES
INC
1,549.69
1020881
BARRICADES/SIGNS
GM
02507
11/11
AP
04/25/11
0091872
TOPS'N BARRICADES
INC
38.10
1020912
BARRICADE/SIGN
GM
02507
11/11
AP
04/25/11
0091872
TOPS'N BARRICADES
INC
416.62
1020916
BARRICADE/SIGN
GM
02513
.11/11
AP
04/25/11
0091888
ZUMAR INDUSTRIES,
INC
1,875.94
129868
BARRICADE/SIGNS
GM
02507
11/11
AP
04/26/11
0091872
TOPS'N BARRICADES
INC
91.02
1020945
BARRICADE/SIGN
GM
02561
11/11
AP
04/28/11
0092059
TOPS'N BARRICADES
INC
244.69
1020979
BARRICADES/SIGN
GM
02558
11/11
AP
04/29/11
0092070
ZUMAR INDUSTRIES,
INC
114.19
130039
BARRICADES/SIGNS
GM
02728
12/11
AP
05/19/11
0092287
TOPS'N BARRICADES
INC
145.51
1021314
BARRICADE SIGNS
ACCOUNT
TOTAL
8,128.19
8,128.19
101-7003-431.56-46
Services
& Supplies /
Signs
.00
GM
00555
03/11
AP
06/30/10 '0088899
TOPS'N BARRICADES
INC
38.72
1016346
SIGN
GM
00259
02/11
AP
07/15/10
0088512
TOPS'N BARRICADES
INC
194.28
1016552
SIGNS
GM
00259
02/11
AP
07/21/10
0088512
TOPS'N BARRICADES
INC
183.84
1016642
SIGNS
GM
09259
02/11
AP
07/21/10
0088512
TOPS'N BARRICADES
INC
128.87
1016640
SIGNS
GM
00259
02/11
AP
07/27/10
0088512
TOPS'N BARRICADES
INC
85.04
1016708
SIGNS
GM
00286
02_/11
AP
07/29/10
0088699'
TOPS'N BARRICADES
INC
91.02
1016732
SIGNS
GM
00286
02/11
AP-07/29/10
0088699
TOPS'N BARRICADES
INC
263.72
1016736
SIGNS
GM
00319
02/11
AP
08/06/10
0088699
TOPS'N BARRICADES
INC
330.98
1016836
SIGNS
GM
00319
02/11
AP
08/06/10
0088699
TOPS'N BARRICADES
INC
61.99
1016843
SIGNS
GM
00350
02/11
AP
08/10/10
0.088699
TOPS'N BARRICADES
INC
57.20
1016883
SIGNS
GM
00350
02/11
AP
08/10/10
0088699
TOPS'N BARRICADES
INC
255.29
'
1016887
SIGNS
GM
00437
03/11
AP
08/19/10
0088899
TOPS'N BARRICADES
INC
85.91
1016991
SIGNS
GM
00437
03/11
AP
08/19/10
0088899
TOPS'N BARRICADES
INC
52.96
1016998
SIGNS
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER ...-._VITY
LISTING
Pk,--.349
PROGRAM
GM362LA
CITY OF LA
-------------------------------------------------------------------------------------------------------------------=----------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE.
NUMBER
D E S C R
I P T I O N
DEBITS CREDITS
BALANCE
" 101-7003-431.56-46
Services
& Supplies
/ Signs
GM
00437
03/11
AP
08/25/10
0088899
TOPS'N
BARRICADES
INC
15.00 '
1017080
SIGNS
GM
00555
03/11
AP
08/30/10
0088899
•TOPS'N
BARRICADES
INC
168.02
1017104
SIGN
GM
00555
03/11
AP
08/31/10
0088899
TOPS'N
BARRICADES
INC
134.85
1017183
SIGN
GM
00555
03/11
AP
08/31/10
0088899
TOPS'N
BARRICADES
INC
176.39
1017136
SIGN'
GM
00622
03/11•
AP
09/07/10
0089104,
ZUMAR
INDUSTRIES,
INC
1,386.56
124736
SIGN-ST
NAMES
GM
00622
03/11
AP
09/08/10
0089095
TOPS'N
BARRICADES
INC
150.62
1017275
SIGNS
GM
00712
04/11
AP
09/17/10
0089288
ZUMAR
INDUSTRIES,
INC
84.83
124974
SIGNS
GM
00712
.04/11
AP
09/20/10
0089274
TOPS'N
BARRICADES
INC
149.97
1017467
SIGNS
GM
00736
04/11
AP
09/22/10
0089288
ZUMAR
INDUSTRIES,
INC
937.97
125097
SIGNS
GM
00736
04/11
AP
09/23/10
0089274
TOPS"N
BARRICADES
INC
105.71
1017504
SIGNS
GM
00725
04/11
AP
09/27/10
0089274
TOPS'N
BARRICADES
INC
125.06
1017548
SIGNS
GM
00823
04/11
AP
09/28/10
0089288
ZUMAR
INDUSTRIES,
INC
480.24
125252
SIGNS
GM
00823
04/11
AP
09/29/10
0089288
ZUMAR
INDUSTRIES,
INC
415.43
1125347
SIGNS
GM
00913
04/11
AP
10/07/10
0089474
TOPS'N
BARRICADES
INC
26.92 u
1017747
SIGNS
GM
00913
04/11
AP
10/12/10
0,089474
TOPS'N
BARRICADES
INC
99.23
1017837
SIGNS
GM
00913
04/11
AP
10/12/10
0089474
TOPS'N
BARRICADES
INC
428.69
'
1017836
SIGNS
GM
00914
04/11
AP
10/13/10
0089484
ZUMAR
INDUSTRIES,
INC
216.96
.125670
SIGNS
GM
00977
05/11
AP
10/14/10
0089660
TOPS'N
BARRICADES
INC
105.71
1017898
SIGNS
GM
00977'
05/11
AP
10/14/10
0089660
TOPS'N
BARRICADES
INC
17_.40
1017893
SIGNS
GM
00977
05/11
AP
10/21/10
0089660
TOPS'N
BARRICADES
INC.
85.80
1018020
SIGN
GM
01092
05/11
AP
10/29/10.0089861
ZUMAR
INDUSTRIES,
INC
345.01
126115
SIGNS
GM
01159
05/11
AP
11/08/10
0089850
TOPS'N
BARRICADES
INC
60.85
1018316
SIGNS
GM
01246
06/11
AP
11/17/10
0090066
TOPS'N
BARRICADES
INC
28.55
•1018480
SIGNS
GM
01262
06/11
AP
11/23/10
0090066
TOPS'N
BARRICADES
INC
39.97
1018564
SIGNS
GM
01262
06111
AP
11/30/10
0090066
TOPS'N
BARRICADES
INC
122.56
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--VITY
LISTING
P---.350
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
-----------
FUND 101
----------------------
General
Fund
--------------
-------------------------=------------------
-----------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
---------------------------------------------
NUMBER PER.
CD
DATE
NUMBER
D E S C R
--------
I P T I O N
---------------------------------------------------
DEBITS CREDITS
-------- --------------------
BALANCE
101-7003-431.56-46
Services
& Supplie's
/ Signs
1018666
SIGNS
GM
01362
06/11
AP
12/09/10
0090235
TOPS'N
BARRICADES
INC
68.57
1018805
SIGNS
GM
01362
06/11
AP
12/09/10
0090235
TOPS'N
BARRICADES
INC
212.99
1018804
SIGNS
GM
01362
06/11
AP
12/10/10
0090235
TOPS'N'BARRICADES
INC
15.00
1018830
SIGNS
GM
01560
07/11
AP
12/14/10
0090541
TOPS'N
BARRICADES
INC
129.36
1018869
SIGNS
GM
01560
07/11
AP
12/14/10
0090552
ZUMAR
INDUSTRIES,
INC
179.31
127050
SIGNS
GM
01564
07/11
AP
12/20/10
0090494
J P STRIPING,
INC.
6,216.00
11423
STRIPING
GM
01560
07/11
AP
12/21/10
0090541
TOPS'N
BARRICADES
INC
269.16
1018970
SIGNS
GM
01560
07/11
AP
12/28/10
0090541
TOPS'N
BARRICADES
INC
225.66
1019045
SIGNS
GM
01560
07/11
AP
12/29/10
0090552
ZUMAR
INDUSTRIES,
INC
92.44
•
127355
SIGNS
GM
01560
07/11
AP
12/30/10
0090541
TOPS'N
BARRICADES
INC
612.26
1019070
SIGNS
GM
01560
07/11
AP
12/30/10
0090552
ZUMAR
INDUSTRIES,
INC
362.63
127451
SIGNS
GM
01560
07/11
AP
12/30/10
0090552
ZUMAR
INDUSTRIES,
INC
974.25
127394
SIGNS
GM
01560
07/11
AP
01/06/11
0090541
TOPS'N
BARRICADES
INC
336.53
1019183
SIGNS
GM
01560
07/11
AP
01/06/11
0090541
TOPS'N
BARRICADES
INC
225.66
1019192
SIGNS
GM
01643
08/11
AP
01/21/11
0090719
TOPS'N
BARRICADES
INC
64.16
1019409
SIGNS
GM
01643
08/11
AP
01/21/11
0090719
TOPS'N
BARRICADES
INC
1.4.14
1019403
SIGNS
GM
01643
08/11
AP
01/24/11
0090719
TOPS'N
BARRICADES
INC
42.96
1019432
SIGNS
GM
01703
08/11
AP
01/26/11
0090719
TOPS'N
BARRICADES
INC
156.87
1019473
SIGNS
GM
01703
08/11
AP
01/26/11
0090719
TOPS'N
BARRICADES
INC
5.71
1019474
SIGNS
GM
01787
08/11
AP
02/08/11
0090905
TOPS'N
BARRICADES
INC
136.81
1019684
SIGNS
GM
01787
08/11
AP
02/08/11
0090905
TOPS'N
BARRICADES
INC
169.70
1019670
SIGNS
GM
01878
09/11
AP
02/11/11
0091052
TOPS'N
BARRICADES
INC
28.28
1019749
SIGNS
GM
01878
09/11
AP
02/15/11
0091052
TOPS'N
BARRICADES
INC
425.43
1019831
SIGNS
GM
01878
09/31
AP
02/21/11
0091052
TOPS'N
BARRICADES
INC
200.00
'
1019892
SIGN/BARRICADE
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER .._.-VITY
LISTING
P...___551
PROGRAM
GM362LA
CITY OF
-------------------------------------------------------------
LA QUINTA, CALIFORNIA
FUND 101
General
Fund
----------------
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
----------------------------------------------------------------=--------------------•----------------------------------------------
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-46
Services
& Supplies /
Signs
GM
02045
09/11
AP
03/10/11
0091259
TOPS'N BARRICADES
INC
105.49
1020218
SIGNS
GM
02136
10/11
AP
03/14/11
0091509
TOPS'N BARRICADES
INC
44.59
1020255
SIGNS
GM
02136
10/11
AP
03/14/11
0091509
TOPS'N BARRICADES
INC
82.22
1020257
SIGNS
GM
02302
10/1.1
AP
03/31/11
0091702
TOPS'N BARRICADES
INC
46.87
1020505
SIGNS
GM
02302
10/11
AP
03/31/11
0091702
TOPS'N BARRICADES
INC
68.02
1020506
SIGNS
GM
02694
12/11
AP
05/11/11
0092287
TOPS'N BARRICADES
INC
101.03
1021189
BARRICADES/SIGN
GM
02694
12/11
AP
05/11/11
0092287
TOPS'N BARRICADES
INC
104.40
1021188
BARRICADES/SIGN
GM
02694
12/11
AP
05/13/11
0092287
TOPS'N BARRICADES
INC
436.90
1021218
BARRICADES/SIGN
GM
02694
12/11
AP
05/13/11
0092287
TOPS'N BARRICADES
INC
138.66
1021217
BARRICADES/SIGN
GM
02694
12/11
AP
05/13/11
0092287
TOPS'N BARRICADES
INC
115.11
1021214
BARRICADES/SIGN
GM
02865
12/11
AP
06/07/11
0092412
TOPS'N BARRICADES
INC
856.41
1021568
BARRICADE SIGN
GM
02865
12/11 •AP
06/07/11
0092412
TOPS'N BARRICADES
INC
182.05
1021567
BARRICADE SIGN
GM
02865
12/11
AP
06/07/11
0092425
ZUMAR INDUSTRIES,
INC
424.13
130971
BARRICADE/SIGNS
GM
02955
12/11
AP
06/15/11
0092574
TOPS'N BARRICADES
INC
300.10
1021732
SIGN
GM
03021
12/11
AP
06/21/11
0092742
TOPS'N BARRICADES
INC
105.49
1021814
SIGN
GM
03021
12/11
AP
06/21/11
0092742
TOPS'N BARRICADES
INC
105.49
1021806
SIGN
GM
03021
12/11
AP
06/21/11
0092742
TOPS'N BARRICADES
INC
51.38
1021800
SIGN
•
ACCOUNT
TOTAL
22,170.34
22,170.34
101-7003-431.56-49
Services
& Supplies /
Asphalt
.00
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT
SERVICE
16.60
2011267
MATERIAL -CONCRETE
GM
00860
04/11
AP
10/08/10
0089469
STATEWIDE SERVICES
INC
500.00
10810
ASPHALT MATERIAL
GM
01265
06/11
AP
11/12/10
0090002
LAWSON PRODUCTS INC
776.27
9797862
ASPHALT MATERIAL
GM
01246
06/11
AP
11/17/10
0090066
TOPS'N BARRICADES
INC
53.83
1018481
SIGNS
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT
SERVICE
18.84
5012115
ASPHALT CONCRETE
[M
m
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P____352
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------
CD
DATE
NUMBER D
E S C R I P T I O N
----------------------------
DEBITS CREDITS
-----------------------------------
BALANCE
101-7003-431.56-49
Services
8 Supplies /
Asphalt
GM
01.560
07/11
AP
12/07/10
0090484
GRANITE CONSTRUCTION COMP
233.70
201778
ASPHALT
GM
01560
07/11
AP
12/07/10
0090484
GRANITE CONSTRUCTION COMP
163.13
201779
ASPHALT
GM
01560
07/11 'AP
12/20/10
0090541
TOPS'N BARRICADES INC
272.09
1018943
SIGNS
GM
01560
07/11
AP
12/20/10
0090541
TOPS'N BARRICADES INC
148.61
1018940
SIGNS
GM
01560
07/11
AP
12/20/10
0090541
TOPS'N BARRICADES INC
228.38
1018950
SIGNS
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
768.79
5044062
MATERIAL/ASPHALT
GM
02083
09/11
AP
02/25/11
0091213
LAWSON PRODUCTS INC
545.34
207668
ASPHALT MATERIAL
GM
02198
10/11
AP
03/21/11
0091377
CALPORTLAND
340.39
91231644
ASPHALT/CONCRETE
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT W
841.12
972948
ASPHALT MATERIAL
GM
02784
12/11
AP
04/12/11
0092295
WHITE CAP CONSTRUCTION SU
116.69
810091700
ASPHALT
GM
03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT W
835.68
917098
ASPHALT MATERIAL
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
64.99
8022603
MATERIAL
ACCOUNT
TOTAL
5,924.45
5,924.45
101-7003-431.56-52
Services
8 Supplies /
Material -s
.00
GM
00023
01/11
AP
06/10/10
0088033
COUNTY OF•RIVERSIDE DEPAR
885.00
IN0092339
ENVIRON HEALTH PERMIT
GM
00157
01/11
AP
07/12/10
0088268
CHECKMATE TELEPHONE EXCHA
112.93
100702190101
ANSWERING SVC
GM
00274
02/11
AP
07/14/10
0088480
KRIBBS CONSTRUCTION, BRUC
125.00
3035•
CONCRETE
GM
00275
02/11
AP
07/14/10
0088485
MOWERS PLUS INC
35.00
51947
SAW REPAIR
GM
00286
02/11
AP
07/15/10
0088704
VALLEY PLUMBING
89.74
197304
PUBLIC BLDG SVC
GM
00229
02/11
AP
07/23/10
0088435
SPARKLETTS
303.31
4282032
WATER-MAINT YD
GM
00259
02/11
AP
07/27/10
0088447
ACE HARDWARE
238.23
VARIOUS
MATERIAL
GM
00286
02/11
AP
07/28110
0088603
AIR 8 HOSE SOURCE, INC.
64.16
3-11825
MATERIAL
GM
00286
02/11
AP
07/28/10
0088627
ELMS EQUIPMENT RENTAL INC
16.16
4329120001
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
55.42
7023195
MATERIAL
PREPARED
_ ._7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P___.353
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------=-----------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
--------------------
CD
DATE.
7---------------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
& Supplies
/ Materials
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
23.89
2023541
SUPPLY
lb
4
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
90.37
2023603
CONCRETE
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
49.96
1013676
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
9.59
40114372
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
35.40
3014400
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
48.90
9014748
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
5.42
9014781
MATERIAL
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
118.97
3973082
SAND
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
50.83
2025436
MATERIAL
GM
00319
02/11
AP
07/29/10
0088707
WAXIE SANITARY SUPPLY
6.85
72094827
MATERIAL
GM
00319
02/11
AP
08/03/10
0088704
VALLEY PLUMBING
97.77
197402
FRANCIS HACK SVC
GM
00286
02/11
AP
08/04/10
0088704
VALLEY PLUMBING
88.00
197444
PUBLIC BLDG SVC
GM
00286
02/11
AP
O8/10/10
0088602
ACE HARDWARE
399.89
VARIOUS
MATERIAL/SUPPLIES
GM
00350
02/11
AP
08/13/10
0088688
RON'S TOWING & STORAGE
85.00
60566
TOWING
GM
00490
03/11
AP
08/13/10
0088796
-CALIFORNIA CONTRACTORS SU
142.57
D84400
MATERIAL
GM
00367
03/11
AP
08/16/10
0088800
CARQUEST
148.63
7339364020
MATERIAL/SUPPLY
GM
00514
03/11
AP
08/16/10
0088803
CHECKMATE TELEPHONE EXCHA
139.23
100802190101
ANSWERING SVC
GM
00367
03/11
AP
08/17/10
0088800
CARQUEST
55.84
7339364249
WIRING SUPPLY
GM
00367
03/11
AP
08/18/10
0088800
CARQUEST
12.27
7339364477
SUPPLY
GM
00439
03/11
AP
08/20/10
0088747
SPARKLETTS
241.23
82010
WATER-MAINT YARD
GM
00367
03/11
AP
08/23/10
0088833
INLAND POWER EQUIPMENT CO
8.68
106922
SAW PLUGS
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
240.34
960311
MATERIAL
GM
00555'
03/11
AP
08/27/10
0088914
WHITEWATER ROCK & SUPPLY
5.22
67452
ROCKS
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
61.14
5010139
MATERIAL
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
39.11
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER __.:VITY
LISTING
P ---- 354
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services & Supplies
/ Materials
9010642
MATERIAL
GM
00605
03/11
AP
08/27/10 0088931
HOME DEPOT CREDIT SERVICE
9.04
6973590
MATERIAL
GM
00605
03/11
AP
08/27/10 0088931
HOME DEPOT CREDIT SERVICE
40.76
6973596
MATERIAL
GM
00605
03/11
AP
08/27/10 0088931
HOME DEPOT CREDIT SERVICE
49.07
9027790
MATERIAL
GM
00605
03/11
AP
08/27/10 0088931
HOME DEPOT CREDIT SERVICE
24.76
9032630
MATERIAL
GM
00622
03/11
AP
08/27/10 0089032
JOHNSTONE SUPPLY
96.99
250581
MOTOR -ICE MACHINE
GM
OD388
02/11
AJ
08/31/10 AJE 02-016
CORRECT PW INVOICE
85.00
GM
00555
03/11
AP
08/31/10 0088913
WHITE CAP CONSTRUCTION SU
79.17
8084402
MATERIAL
GM
00437
03/11
AP
09/01/10 0088778
ACE HARDWARE
415.07
VARIOUS
MATERIALS/SUPPLIES
GM
00914
04/11
AP
09/07/10 0089424
JERNIGAN'S, INC
54.36
6930
BOOTS
GM
00555
03/11
AP
09/09/10 0088778
ACE HARDWARE
533.80
VARIOUS
MATERIAL/SUPPLY
GM
00712
04/11
AP
09/13/10 0089171
CHECKMATE TELEPHONE EXCHA
119.03
100902190101
ANSWERING SVC
GM
00622
03/11
AP
09/14/10 0089045
LOCK SHOP INC, THE
256.82
648986
MATERIAL/LOCKS
GM
00624
03/11
AP
09/16/10 0088998
CARQUEST
24.31
7339369374
HALOGEN BEAM
GM
00624
03/11
AP
09/17/10 0088998
CARQUEST
50.01
7339369513
BATTERY
GM
00624.
03/11
AP
09/17/10 0088998
CARQUEST
34.79
7339369575
FLUIDS
GM
00713
03/11
AP
09/17/10 0089117
SPARKLETTS
293.40
91710
WATER -YARD
GM
00931
04/11
AP
09/20/10 0089516
WAL MART COMMUNITY
237.08
LS012QAYS2
SUPPLY
GM
00712
04/11
AP
09/22/10 0089192
ELMS EQUIPMENT RENTAL INC
62.80
4334780001
SUPPLY
GM
00725
04/11
AP
09/22/10 0089168
CARQUEST
78.71
7339370331
MATERIAL
GM
00846
04/11
AP
09/22/10 0089371
ACE HARDWARE
53.55
108253
MATERIAL/SUPPLY
GM'00712
04/11
AP
09/23/10 0089230
LOCK SHOP INC, THE
4.35
649216
KEYS
GM
00712
04/11
AP
09/24/10 0089150
ACE HARDWARE
565.11
VARIOUS
MATERIAL/SUPPLY
GM
00725
04/11
AP
09/27/10 0089230
LOCK SHOP INC, THE
69.56
649261
MATERIAL
GM
00725
04/11
AP
09/27/10 0089168
CARQUEST
7.67
7339371105
SUPPLY
GM
00751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
164.02
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER .._.-'VITY
LISTING
P---.355
PROGRAM
GM362LA
CITY OF LA
-------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
8 Supplies
/ Materials
3013861
MATERIAL/SUPPLY
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
107.66
322308
SUPPLY
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
85.98
15065
MATERIAL
GM
00751
04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
28.24
23534
MATERIAL
GM
00725
04/11
AP
09/30/10
0089168
CARQUEST
42.54
7339371797
MATERIAL
GM
00725
04/11
AP
10/01/10
0089168
CARQUEST
1.73
7339371933
MATERIAL
GM
00846
04/11
AP
10/05/10
0089423
INLAND POWER EQUIPMENT CO
69.49
107705
CHAIN SAW BLADES
GM
01096
05/11
AP
10/05/10
0089743
ACE HARDWARE
93.75
108346
MATERIAL/SUPPLY
GM
00846
04/11
AP
10/08/10
0089371
ACE HARDWARE
514.62
VARIOUS
MATERIAL/SUPPLY
GM
00914
04/11
AP
10/11/10
0089382
CALIFORNIA CONTRACTORS SU
204.90
D94431
SUPPLY
GM
01362
06/11
AP
10/11/10
0090175
CHECKMATE TELEPHONE EXCHA
119.03
101002190101
ANSWERING SVC
GM
01033
05/11
AP
10/15/10
0089535
SPARKLETTS
149.89
101510
WATER-MAINT YD
GM
00977
05/11
AP
10/18/10
0089660
TOPS'N BARRICADES INC
96.79
1017938
SIGNS
GM
01001
05/11
AP
10/27/10
0089594
INLAND POWER EQUIPMENT CO
60.85
108175
SERVICE
GM
01092
05/11
AP
10/28/10
0089858
WHITE CAP CONSTRUCTION SU
31.61
•
8089071
MATERIAL
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
26.61
6023930
MATERIAL
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
38.68
6016511
MATERIAL
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
26.08
2025447
MATERIAL
GM
01097
05/11
AP
10/28/10
0089712
HOME'DEPOT CREDIT SERVICE
29.31
2043078
MATERIAL
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT SERVICE
48.90
6043161
MATERIALS
GM
01181
06/11
AP
11/01/10
0089978
GRANITE CONSTRUCTION COMP
227.77
201285
AGGREGATE/ROCK
GM
01181
06/11
AP
11/02/16
0089978
GRANITE CONSTRUCTION COMP
76.92
201306
AGGREGATE/ROCK
GM
02159
05/11
AP
11/08/10
0089850
TOPS'N BARRICADES INC
96.79
1018315
MATERIAL
GM
01092
05/11
AP
11/10/10
0089743
ACE HARDWARE
783.37
VARIOUS
MATERIALS
GM
01210
06/11
AP
11/12/10
0089886
SPARKLETTS
113.99
111210
WATER-MAINT YD
PREPARED•_..
-7/2014, 10:19:00
GENERAL LEDGER--.:VITY
LISTING
P ---- 356
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND,101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER '
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
& Supplies
/ Materials
GM
01265
06/11
AP
11/17/10
0089964
ELMS EQUIPMENT RENTAL INC
10.88
4341820001
SUPPLY
GM
01265
06/11
AP
11/22/10
0089964
ELMS EQUIPMENT RENTAL INC
179.27
4342270001
MATERIAL
GM
01253
06/11
AP
11/25/10
0089913
LOWE'S HOME IMPROVEMENT W
473.28
924961
MATERIAL
GM
01161
05/11
AP
11/28/10
0089755
CHECKMATE TELEPHONE EXCHA
118.33
101102190101
ANSWERING SVC
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
180.54
9011722
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
180.04
9043292
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
188.95
4012250
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
23.89
4090356
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
38.02
2012456
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
104.29
7021764
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
46.65
9014081
MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
32.11
4014535
MATERIAL
GM
01262
06/11
AP
11/30/10
0089934
ATCO INTERNATIONAL
333.50
I0296687
MATERIAL
GM
01181
06/11
AP
12/03/10
0089924
ACE HARDWARE
1,184.96
VARIOUS
MATERIAL/SUPPLY
GM
01362
06/11
AP
12/06/10
0090200
JC SUPPLY CO
666.45
1054-01.
MATERIAL
GM
01362
06/11
AP
12/06/10
0090175
CHECKMATE TELEPHONE EXCHA
119.73
101202190101
ANSWERING SVC
GM
01366
06/11
AP
12/06/10
0090216
PRESTIGE CHEMICALS INC
663.50
031-02
MATERIAL
GM
01362
06/11
AP
12/07/10
0090173
CARQUEST
13.32
7339383418
SUPPLY
GM
01420
07/11
AP
12/10/10
0090268
SPARKLETTS
87.97
121010
WATER -YARD
GM
01478
07/11
AP
12/17/10
0090307
INTELLIGENT RECYCLING SOL
960.25
5909
WASTE RECYCLING
GM
01420
07/11
AP
12/25/10
0090263
LOWE'S HOME IMPROVEMENT W
5.29
927170
MATERIAL/BLOCK
GM
01547
07/11
AF
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
6.02
6023889
MATERIAL
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
14.10
•
4015671
FUSES
'GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
10.08
3015700
MATERIAL
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
7.66
PREPARED
_ ._7%2014,
10:19:00
GENERAL LEDGER .._.-'VITY
LISTING
P..___357
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER .
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
8 Supplies
/ Materials
9024594
MATERIAL
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
8.12
1017121
MATERIALS
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
17.31
6017583
MATERIALS
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
43.28
9044507
SUPPLIES
GM
01564.
07/11
AP
01/03/11
0090457
CHECKMATE TELEPHONE EXCHA
118.33
110102190101
ANSWERING SVC
GM
01560
07/11
AP
01/05/11
0090455
CARQUEST
11.54
7339387804
MATERIAL
GM
01514
07/11
AP
01/07/11
0090346
SILVERROCK RESORT
29.00
97829622
4TH QTR SALES TX
GM
01564
07/11
AP
O1/11/11
0090441
ACE HARDWARE
1,387.16
VARIOUS
MATERIAL/SUPPLIES
GM
01571
07/11
AP
01/18/11
0090504
LOCK SHOP INC, THE
154.12
652114
LOCKS/SUPPLY
GM
01704
08/11
AP
01/18/11
0090728
WHITE CAP CONSTRUCTION SU
162.91
8094732
MATERIAL
GM
01768
08/11
AP
O1/18/11
0090854
INLAND POWER EQUIPMENT CO
65.00
109194
REPAIRS
GM
01692
08/11
AP
01/20/11
0090611
SPARKLETTS
112.96
12011
WATER SVC
GM
01804
08/11
AP
01/26/11
0090857
JERNIGAN'S, INC
157.66
7172
BOOTS -ALEX
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
32.59
7026899
SUPPLY
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
32.59
27513
SUPPLY
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
68.74
4044810
MATERIAL
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
18.07
•
4972903
MATERIAL
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
1.48
1117896
MATERIAL
GM
01757
0.8/11
AP
01/28/11
0090748
HOME DEPOT CREDIT SERVICE
89.23
4045019
MATERIAL
GM
01768
08/11
AP
01/31/11
0090905
TOPS'N BARRICADES INC
30.45
1019544
MATERIAL
GM
01787
08/11
AP
01/31/11
0090911
WHITE CAP CONSTRUCTION SU
70.67
8095691
MATERIAL
GM
01787
08/11
AP
01/31/11
0090826
CHECKMATE TELEPHONE EXCHA
119.03
110102190102
ANSWERING SVC
GM
01804
08/11
AP
02/01/11
0090911
WHITE CAP CONSTRUCTION SU
31.15
213044495-01
MATERIAL
GM
01903
09/11
AP
02/01/11
0090987
CHEMSEARCH
473.95
256329
MATERIAL
GM
02045
09/11
AP
02/07/11
0091167
CARQUEST
80.58
7339393428
MATERIAL
PREPARED
_-7/2014, 10:19:00
GENERAL LEDGER .._._VITY
LISTING
P...___358 '
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
:
DEBITS CREDITS
BALANCE
Services
& Supplies
/ Materials
GM
01793
08/11
AP
02/09/11
0090765
ACE HARDWARE
870.19
VARIOUS
MATERIAL/SUPPLIES
GM
01903
09/11
AP
02/11/11
0090987
CHEMSEARCH
116.33
267054
MATERIAL
GM
01787
08/11
AP
02/14/11
0090869
LOCK SHOP INC, THE
7.40
652841
KEYS
GM
01962
09/11
AP
02/14/11
0091060
WHITE CAP CONSTRUCTION SU
5.44
8096764
MATERIAL
GM
01909
09/11
AP
02/17/11
0090959
SPARKLETTS
99.91
4281072021711
WATER SUPPLY
GM
01903
09/11
AP
02/23/11
0091007
GRANITE CONSTRUCTION COMP
209.44
35962
AGGREGATE/ROCK
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
83.48
2040234
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
30.21
1012036
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
8.63
1022707
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE•
6.33
1192494
RETURN CREDIT
GM
02003
•09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
2.31
7023284
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
30.63
7040335
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
7.87
5040391
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
21.68
9013317
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
30.12
7013477
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
12.05
2025465
MATERIAL
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT SERVICE
19.38
1214843
MATERIAL
GM
02083
09/11
AP
02/28/11
0091168
CHECKMATE TELEPHONE EXCHA
123.93
110202190101
ANSWERING SVC
GM
02077
09/11
AP
03/02/11
0091202
INLAND POWER EQUIPMENT CO
19.84
109660
MATERIAL
GM
02022
09/11
AP
03/04/11
0091141
SPARKLETTS
123.95
4282032030411
WATER-MAINT YD
GM
02077
09/11
AP
03/10/11
0091202
INLAND POWER EQUIPMENT CO
74.22
109781
PUMP REPAIR SVC
GM
02045
09/11
AP
03/11/11
0091155
ACE HARDWARE
951.00
VARIOUS
GRAFFITI MATERIAL
GM
02316
10/11
AP
03/16/11
0091706
US AIR CONDITIONING DISTR
22.51
7343384
PW YARD
GM
02177
10/11
AP
03/17/11
0091323
SPARKLETTS
70.68
4281072031711
WATER SVC
GM
02154
10/11
AP
03/18/11
0091380
CARQUEST
55.88
PREPARED
-..-7/2614, 10:19:00
GENERAL LEDGER ..._.-'VITY
LISTING
P-1359
PROGRAM
GM362LA
CITY'OF LA
QUINTA,
CALIFORNIA
--------------------------7---------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
TRANSACTION----
/ENDING '
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services & Supplies
/ Materials
7339400394
TRAILER REPAIR KITS-
GM
02156
10/11
AP
03/18/11 0091451
LOCK SHOP INC, THE
72.88
653744
MATERIAL
GM
02154
10/11
AP
03/21/11 0091380
CARQUEST
30.98
7339400876
TRAILER REPAIR KITS
GM
02154
10/1.1
AP
03/21/11 0091380
CARQUEST
18.02
7339400873
TRAILER REPAIR KITS
-
GM
02154
10/11
AP
03/22/11 0091380
CARQUEST '
8.36
-
7339400958
TRAILER PARTS CR
GM
02156
10/11
AP
03/22/11 0091509
TOPS'N BARRICADES INC.
555.00
1020347
SOAP BOX DERBY
GM
02694,
12/11
AP
03/23/11 0092218
INLAND POWER EQUIPMENT CO
129.28
110516
MATERIAL
GM
02156
10/11
AP
03/24/11 0091380
CARQUEST
17.92
7339401422
SUPPLY
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
13.80
8015150
MATERIAL
GM,02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
43.91
1021176
SUPPLIES
GM
02350
10/11
AP
03/28/11 0091610
CHECKMATE TELEPHONE EXCHA
120.43
110302190101
ANSWERING SVC
GM
02248
10/11
AP
04/01/11 0091433
INLAND POWER EQUIPMENT CO
20.38
109969
SAW REPAIR
GM
02316
10/11
AP
04/02/11 0091606
CALIFORNIA CONTRACTORS SU
295.23
FF31752
SUPPLY
GM
02316
10/11
AP
04/02/11 0091606
CALIFORNIA CONTRACTORS SU
327.90
FF31753
SUPPLY
GM
02302
10/11
AP
04/07/11 0091608
CARQUEST
17.60
7339403657
MATERIAL SUPPLIES
GM
02350
10/11
AP
04/07/11 0091664
MOWERS PLUS INC
126.50
65200
CHAIN SAW REPAIR
GM
02302
10/11
AP
04/11/11 0091591
ACE HARDWARE
873.13'
VARIOUS
MATERIAL/SUPPLIES
GM
02316
10/11
AP
04/12/11 0091713
WHITE CAP CONSTRUCTION SU
321.45
8100917
MATERIAL
GM
02403
10/11
AP
04/14/11 0091736
SPARKLETTS
109.91
•
4281072041411
WATER-PW
GM
02350
10/11
AP
04/18/11 0091592
AIR & HOSE SOURCE, INC.
6.33
3-15291
MATERIAL
GM
02507
11/11
AP
04/19/11 0091821
INDEPENDENT ELECTRIC SUPP
44.67
S100684604001
MATERIAL
GM
02513
11/11
AP
04/21/11 0091820
HUB CONSTRUCTION SPECIALT
174.00
W02010082
SAW BLADE/GRINDER
GM
02513
11/11
AP
04/21/11 0091831
LAWSON PRODUCTS INC
28.58
387014
MATERIAL
GM
02513
11/11
AP.04/25/11
0091803
CHECKMATE TELEPHONE EXCHA
118.33
110402190101
ANSWERING SVC
CR
02439
10/11
CR
04/28/11 0018686
LOCK SHOP-RFND DUP PYMT
72.88
MANCILLA 04/28/11 01
PREPARED
.-7/2014,
10:19:00
GENERAL LEDGER _— VITY
LISTING
Pr7« 560
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
----------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
-------------------------------------------------------------------------------------------=
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
8 Supplies
/ Materials
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
48.90
7022955
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
30.12
6012436
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
7.60
6022996
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
31.47
5012566
MATERIAL
GM
0538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
7.60
1193046
RETURN CREDIT
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
51.25
4024159
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
40.37
4024174
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
6.02
3024374
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
32.53
1024653
MATERIAL/SUPPLY
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
23.86
6025288
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
12.15
9026082
MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
103.11
8015604
MATERIAL
'.
GM
02558
11/11
AP
04/29/11
0091997
GARZA TURF & POWER
EQUIPM
92.52
47147
CHAIN SAW REPAIR
GM
02538
11/11
AP
05/04/11
0091889
ACE HARDWARE
1,727.80
VARIOUS
MATERIAL/SUPPLIES
GM
02645
11/11
AP
05/12/11
0092103
SPARKLETTS
93.73 .
4281072051211
WATER -PUBLIC WORKS
GM
02863
12/11
AP
05/12/11
0092367
DESERT FIRE EXTINGUISHER
811.84
202391
FIRE EXTINGUISHER
GM
02863
12/11
AP
05/12/11
0092367
DESERT FIRE EXTINGUISHER
200.96
202394
FIRE EXTINGUISHER
GM
02628
11/11
AP
05/16/11
0092012
INLAND POWER EQUIPMENT
CO
118.58
110470
CHAIN SAW BLADES
GM
02784
12/11
AP
05/23/11
0092181
CHECKMATE TELEPHONE
EXCHA
110.83
110502190101
MAY -ANSWERING SVC
GM
02694
12/11
AP
05/24/11
0092179
CARQUEST
3.02
7339410961
FUSES
GM'02728
12/11
AP
05/25/11
0092179
CARQUEST
68.91
7339411163
MATERIAL
GM
02728
12/11
AP
05/25/11
0092179
CARQUEST
22.75
,
7339411227
MATERIAL
GM
03024
12/11
AP
05/25/11
0092711
JERNIGAN'S, INC
21.74
7776
SUPPLY
GM
02740
12/11
AP
05/27/11
0092156
SPARKLETTS
173.07
52711
WATER-MAINT YD
GM
02740
12/11
AP
05/27/11
0092148
HOME DEPOT CREDIT
SERVICE
2.52
PREPARED
,,.7/2014,.10:19:00
GENERAL LEDGER--,:VITY
LISTING
Phuca361
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------------------------
PER.
CD
DATE NUMBER
----------------------------------------------------------------------------------------------------------
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services & Supplies
/.Materials
7015749
SUPPLY/MATERIAL
GM
02740
12/11
AP
05/27/11 0092148
HOME DEPOT CREDIT SERVICE
98.24
7026372
MATERIAL
GM
02740
12/11
AP
05/27/11 0092148
HOME DEPOT CREDIT SERVICE
44.24
5011664
MATERIAL
GM
02784
12/11
AP
06/03/11 0092236
MOWERS PLUS INC
16.30
68292
MATERIAL
GM
02787
12/11
AP
06/03/11 0092236
MOWERS PLUS INC
84.34
68290
SAW CHAINS
GM
02787
12/11
AP
06/03/11 0092236
MOWERS PLUS INC
95.44
68291
CHAIN SAW REPAIR
GM
02955
12/11
AP
06/03/11 0092576
TRULY NOLEN INC
40.00
660020648
PEST CONTROL
GM
02735
12/11
AP
06/06/11 0092179
CARQUEST
64.=11
7339412776
MATERIAL
GM
02784
12/11
AP
06/06/11 0092166
AIR & HOSE SOURCE, INC.
7.44
316057
MATERIAL
GM
02865
12/11
AP
06/06/11 0092395
PATTON DOOR & GATE
54.38
42571
MATERIAL
GM
02740
12/11
AP
06/07/11 0092137
ACE HARDWARE
1,121.58
VARIOUS
MATERIAL/SUPPLIES
GM
02863
12/11
AP
06/08/11 0092357
CARQUEST
16.07
7339413151
SUPPLY
GM
02865
12/11
AP
06/09/11 0092345
AIR & HOSE SOURCE, INC.
45.68
316124
MATERIAL
GM
02870
12/11
AP
06/09/11 0092442
SPARKLETTS•
87.23
4281072060911
WATER
GM
02863
12/11
AP
06/11/11 0092357
CARQUEST
35.19
7339413592
SUPPLY
GM
02955
12/11
AP
06/15/11 0092511
CARQUEST
4.09
7339414082
SUPPLY
-
GM
02997
12/11
AP
06/15/11 0092537
LAWSON PRODUCTS INC
571.91
552126
MATERIAL/SUPPLY
GM
02987
12/11
AP
06/17/11 0092547
MOWERS PLUS INC
48.94
69017
MATERIAL
GM
02987
12/11
AP
06/17/11 0092556. -
PATTON DOOR & GATE
108.75
42657
MATERIAL
GM
02955
12/11
AP
'06/20/11 0092511
CARQUEST
5.06
7339414826
MATERIAL
GM
02955
12/11
AP
06/21/11 0092542
LOCK SHOP INC, THE
12.51
•
656142
MATERIAL
GM
03010
12/11
AP
06/24/11 0092622
SPARKLETTS
192.71
4282032062411
WATER SVC
GM
03010
12/11
AP
06/25/11 0092614
HOME DEPOT CREDIT SERVICE
33.49
8022574
MATERIAL
GM
03010
12/11
AP
06/28/11 0092614
HOME DEPOT CREDIT SERVICE
208.79
3021956
TK#37/MATERIAL
GM
03010
12/11
AP
06/28/11 009261.4
HOME DEPOT CREDIT SERVICE -
45.96
8013054
MATERIAL
PREPARED
—.7/2014,
10:19:00
GENERAL LEDGER–_.-VITY
LISTING
P----362
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
:
---------------------------------
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----
NUMBER
--------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7003-431.56-52
Services
& Supplies /
Materials
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
7.14
7022653
MATERIAL
GM
03010'
12/11
AP
06/28/11
0092614
HOME DEPOT'CREDIT SERVICE
64.99
7031269
MATERIAL
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
71.17
7042126
MATERIAL
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
25.63
1023466
MATERIAL
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
82.33
9013783
SUPPLIES
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT SERVICE
10.16
7023925
MATERIAL
GM
03021
12/11
AP
06/30/11
0092685
ACE HARDWARE
200.30
VARIOUS
GRAFFITI/SUPPLY
ACCOUNT TOTAL
33,297.91 180.17
33,117.74
101-7003-431.56-55
Services
& Supplies /
Small Tools/Equip.
.00
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
162.90
9032301
TOOLS'
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
91.95
5020066
TOOLS
GM
00622
03/11
AP
09/07/10
0089058
MOWERS PLUS INC
439.24
54841
CHAIN SAW RPLCMT
GM
00624
03/11
AP
09/17/10
0089012
ELMS EQUIPMENT RENTAL INC
564.35
4334240001
SMALL TOOLS
GM
01092
05/11
AP
11/08/10
0089858
WHITE CAP CONSTRUCTION SU
326.24
8090004
SMALL TOOLS
GM
02513
11/11
AP
04/25/11
0091820
HUB CONSTRUCTION SPECIALT
•204.45
W02012119
SMALL TOOLS
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT SERVICE
151.10
4023211
SMALL TOOLS
GM
02735
12/11
AP
05/20/11
0092201
ELMS EQUIPMENT RENTAL INC
289.76
4362530001
TRIMMER/SMALL TOOLS
GM
02694
12/11
AP
05/23/11
0092201
ELMS EQUIPMENT RENTAL INC
301.95
4362810001
SMALL TOOLS
GM
02694
12/11
AP
05/23/11
0092236
MOWERS PLUS INC
380.52
67806
SMALL TOOLS
ACCOUNT TOTAL
2,912.46
2,912.46
101-7003-431.56-58
Services
& Supplies /
Paint/Legends
.00
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
174.54
41319
PAINT
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
321.92
3041464
PAINT
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT SERVICE
171.83
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER..._._VITY LISTING P---.363
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING.
GROUP ACCTG ----TRANSACTION---- • /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7003-431.56-58
Services
& Supplies /
Paint/Legends
GM
00194
01/11
AJ
07/30/10
3041478
01-029 •
PAINT
GF
REIMB
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT
SERVICE
116.84
REIMB
GM
00716
03/11
1023727
09/30/10
PAINT
03-035
MONTHLY
GM
00299
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT
SERVICE
84.66
MONTHLY
GF
REIMB
GM
5032194
05/11
PAINT
11/30/10
JE
GM
00299,
02/11
AP
07/28/10
0088537
HOME DEPOT CREDIT
SERVICE
548.10
JE
06-002
MONTHLY
GF
5041667
GM
PAINT
07/11
AJ
GM
00622
03/11
AP
09/10/10
0089070
PARSAM CONSTRUCTION INC
2,200.00
08/11
-
02/28/11
JE
1001
MONTHLY
WALL REPAIR
REIMB
GM
00913
04/11
AP
10/08/10
0089474
TOPS'N BARRICADES
INC
72.32
1017781
PAINT
GM
01097
05/11
AP
10/28/10
0089712
HOME DEPOT CREDIT
SERVICE
40.23
9010375
STREET PAINT
GM
01768
08/11
AP
01/31/11
0090905
TOPS'N BARRICADES
INC
102.06
1019559
TRFF PAINT
GM
01787
08/11
AP
02/08/11
0090905
TOPS'N BARRICADES
INC
40.02
1019663
PAINT
GM
01878
09/11
AP
02/11/11
0091052
TOPS'N BARRICADES
INC
72.97
1019768
PAINT LEGENDS
GM
02045.
09/11
AP
02/28/11
0091259
TOPS'N BARRICADES
INC
77.76
1020011
ST PAINT
ACCOUNT TOTAL
4,023.25
101-7003-431.71-01 Capital Purchases / Machinery & Equipment
ACCOUNT TOTAL
10117003-431.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-7003-431.71-03 Capital Purchases / Vehicles
ACCOUNT TOTAL
101-7003-431.91-11
Reimbursed
Gen Fund
Exp / Personnel
GM
00194
01/11
AJ
07/30/10
JE
01-029 •
MONTHLY
GF
REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
45,089.00
45,089.00
45,089.00
45,089.00
45,089.00
45,089.00
45,089.00
45,089.00
4,023.25
.00
.00
.00
.00 .
.00
.00
.00
PREPARED _ __7/2014, 10:19:00 GENERAL LEDGER ._-._VITY LISTING P---.364
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
•101-7003-431.91-11
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
012743
11/11
AJ
GM
02746
12/11
AJ
GM
03119
13/11
AJ
101-7003-431.91-12
03/11
AJ
GM
00194
01/11
AJ
GM
00572
02/11
AJ
GM
00716
03/11
AJ
GM
00929
04/11
AJ
GM
01187
05/11
AJ
GM
01239
06/11
AJ
GM
0}638
07/11
AJ
GM
01717
08/11
AJ
GM
01986
09/11
AJ
GM
02521
10/11
AJ
GM
02743
11/11
AJ
GM
02746
12/11
AJ
GM
03119
13/11
AJ
Reimbursed Gen Fund
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
06/30/11 AJE 13-034
ACCOUNT TOTAL
Reimbursed Gen Fund
07/30/10 JE 01-029
08/31/10 JE 02-034
09/30/10 JE 03-035-
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
04/30/11 JE 10-044
05/31/11 JE 11-044
06/30/11 JE 12-002
06/30/11 AJE 13-034
ACCOUNT TOTAL
Exp / Personnel
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
REIMB GF FOR GRAFITTI
Exp / ServiCe & Supply
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
REIMB GF FOR GRAFITTI
101-7003-431.92-11 Other Charges / Fleet Maint Progr Charges
101-7004-431.10-01
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR•00435
PR0903
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
00911
04/11
AJ
PR
01060
05/11
AJ
OR
01137
05/11
AJ
PR
01249
06/11
AJ
PR
01364
06/11
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
ACCOUNT TOTAL
Salaries & Wages / Permanent Full Time
07/09/10
PR0709
PAYROLL
SUMMARY
07/09/10
PR0709
PAYROLL
SUMMARY
07/23/10
PR0723
PAYROLL
SUMMARY
08/06/10
PR0806
PAYROLL
SUMMARY
08/20/10
PR0820
PAYROLL
SUMMARY
09/03/10
PR0903
PAYROLL
SUMMARY
09/17/10
PR0917
PAYROLL
SUMMARY
10/01/10
PR1001
PAYROLL
SUMMARY
10/15/10
PR1015
PAYROLL
SUMMARY
10/29/10
PR1029
PAYROLL
SUMMARY
11/12/10
PR1112
PAYROLL
SUMMARY
11/24/10
PR1124
PAYROLL
SUMMARY
12/10/10
PR1210
PAYROLL
SUMMARY
12/23/10
PR1223
PAYROLL
SUMMARY
01/07/11
PR0107
PAYROLL
SUMMARY
01/21/11
PR0121
PAYROLL
SUMMARY
3,003.80
3,003.81
3,003.82
3,003.82
3,003.82
3,003.81
3,003.82
3,003.82
3,003.82
3,003.82
3,003.81
3,003.80
3,003.82
3,508.66
3,003.82
45,089.00
45,089.00
45,089.00
45,089.00
127,998.00
669,066.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
40,068.00
9,990.00
490,806.00
2,403.02
669,066.000R
.00
490,806.000R
.00
.00
.00
PREPARED
-..-7/2014,
10:19:00
Regular Overtime
GENERAL LEDGER
.._._VITY LISTING
P-.365
PROGRAM
GM362LA
11/24/10
PR1124
PAYROLL
SUMMARY
153.36
PR
01561
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
01/21/11
PR0121
PAYROLL
SUMMARY
153.36
PR
FUND 101
General
Fund
03/04/11
PR0304
PAYROLL
SUMMARY
230.04
BEGINNING
GROUP
ACCTG
----TRANSACTION----
04/01/11
PR0401
PAYROLL
SUMMARY
115.02
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.10-01
SUMMARY
Salaries
& Wages /-Permanent Full Time
10/11
AJ
PR 01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
31003.81
04/29/11
PR 01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
31003.81
PR 01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
31003.81
PR 02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
3,003.82
PR 02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
3,003.82
PR 02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
3,003.82
PR 02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
3,003.82
PR 02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
2,881.24
PR 02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
3,126.39
PR 02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
31003.81
PR 02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
3,003.82
PR 02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
2,703.48
ACCOUNT
TOTAL
81,307.52 2,403.02
78,904.50
101-7004-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
.00
.00
101-7004-431.10-04
Salaries
& Wages /
Regular Overtime
.00
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
153.36
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
153.36
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
230.04
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
115.02
ACCOUNT TOTAL
101-7004-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-7004-431.10-14 Salaries & Wages / Regular Parttime O/T
ACCOUNT TOTAL
101-7004-431.10-15
Salaries
& Wages
/ Standby
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
OR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
0-2348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
651.78 651.78
131.25
131.25
131.25
131.25
131.25
131.25
18.75
131.25
.00
.00
.00
.00
.00
PREPARED -.7/2014, 10:19:00 GENERAL LEDGER -VITY LISTING PA -366
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING -
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE 'NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.10-15 Salaries & Wages / Standby
PR 02733 12/11 AJ 06/10/11 PR0610 PAYROLL SUMMARY
ACCOUNT TOTAL
101-7004-431.10-16
Salaries
& Wages
/ Standby Overtime
PR
Ob342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151.
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-7004-431.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-7004-431.10-30 Salaries & Wages / Employee Recognition
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
PR 01060 05/11 AJ 11/12/10 PR1112 PAYROLL SUMMARY
101-7004-431.20-01
PR
00007
O1/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
O0435
03/11
AJ
PR
00594
03/11
AJ
PR
00685
04/11
AJ
PR
00824
04/11
AJ
PR
00911
04/11
AJ
PR
01060
05/11•
AJ
PR
01137
05/11
AJ
PR
01249
06/11
AJ
PR
01364
06/11
AJ
PR
01418
07/11
AJ
PR
01561
07/11
AJ
PR
01646
08/11
AJ
PR
01783
08/11
AJ
OR
01904
09/11
AJ
ACCOUNT TOTAL
Employee Benefits / PERS-City Portion
07/09/10
PR0709
PAYROLL
SUMMARY
07/09/10
PR0709
PAYROLL
SUMMARY
07/23/10
PR0723
PAYROLL
SUMMARY
08/06/10
PR0B06
PAYROLL
SUMMARY
08/20/10
PR0820
PAYROLL
SUMMARY
09/03/10
PR0903
PAYROLL
SUMMARY
09/17/10
PR0917
PAYROLL
SUMMARY
10/01/10
PR1001
PAYROLL
SUMMARY
10/15/10
PR1015
PAYROLL
SUMMARY
10/29/10
PR1029
PAYROLL
SUMMARY
11/12/10
PR1112
PAYROLL
SUMMARY
11/24/10
PR1124
PAYROLL
SUMMARY
12/10/10
PR1210
PAYROLL
SUMMARY
12/23/10
PR1223
PAYROLL
SUMMARY
01/07/11
PR0107
PAYROLL
SUMMARY
01/21/11
PR0121
PAYROLL
SUMMARY
02/04/11
PR0204
PAYROLL
SUMMARY
02/18/11
PR0218
PAYROLL
SUMMARY
03/04/11
PR0304
PAYROLL
SUMMARY
157.50
1,095.00
115.02
153.36
153.36
191.70
76.68
230.04
383.40
1,303.56
12.50
12.50
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
308.29
1,095.00
00
1,303.56
00
.00
.00
12.50
12.50 .00
246.63
.00
00
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PREPARED
-.7/2014,
10:19:00
GENERAL LEDGER
--.1VITY 'LISTING
P--368
PROGRAM
GM362LA
CITY
OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE.
NUMBER D
E S C R I
P T I O N
DEBITS
CREDITS
BALANCE
101-7004-431.21-01
Insurance
Benefits /
Medical Insurance
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
511.84
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
409.93
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
511.84
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
.41-
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
511.84
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
.10
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
511.84
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
.10
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
511.84
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
.10
PR
Ob594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
511.84
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
.10
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
511.84
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
.10
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
511.84
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
.10
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
511.84
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
.10
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
511.84
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
.10
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
581.23
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
581.23-
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
581.23
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
581.23
PR
0J646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
581.23
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
581.23
PR
01904
09/11
AJ
03/04/11
PRO304
PAYROLL
SUMMARY
581.23
PR
02016
09/11
AJ
03/18/11
PRO318
PAYROLL
SUMMARY
581.23
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
581.23
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
581.23
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
581.23
PR
02625
11/11
AJ
05/27/11
PRO527
PAYROLL
SUMMARY
581.23
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
581.23
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
581.23
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
523.11
ACCOUNT TOTAL,
13,778.73
410.32
13,368.41
101e7004-431.21-02
Insurance
Benefits /
Vision Insurance
.00
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
8.29
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
6.63
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
8.29
PR
00196
02/11
AJ
08/06/10
PRO806
PAYROLL
SUMMARY
8.29
PR
00342
02/11
AJ
08/20/10
PRO820
PAYROLL
SUMMARY
8.29
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
8.29
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
8.29
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
8.29
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
8.29
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PREPARED - __7/2014, 10:19:00 GENERAL LEDGER .-IVITY LISTING P---.371
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund
GROUP ACCTG ----TRANSACTION----
APP NUMBER PER. CD DATE NUMBER - D E S C R I P T I O N
DEBITS CREDITS
101-7004-431.21-07
Insurance Benefits
/ Long Term
Disability
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
12.27
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
18.02
PR
01561
07/11
AJ
01/21/11
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PAYROLL
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18.02
PR
01646
08/11
AJ
02/04/11
PR0204
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SUMMARY
18.02
PR
01783
08/11
AJ
02/18/11
PR0218
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18.02
PR
01904
09/11
AJ
03/04/11
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18.02
PR
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09/11
AJ
03/18/11
PRO318
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18.02
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
18.02
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
18.02
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
18.02
PR
02524
11/11
AJ
05/13/11
PRO513
PAYROLL
SUMMARY
18.02
PR
02625
11/11
AJ
05/27/11
PROB27
PAYROLL
SUMMARY
18.02
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
18.02
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
18.02
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
16.22
ACCOUNT TOTAL 459.94
101-7004-431.21-08 Insurance Benefits / AD&D
ACCOUNT TOTAL
101-7004-431.25-01
Workers
Comp Insurance
/ Workers Comp Insurance
PR
-00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
88.61
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
88.61
PR
00196
02/1.1
AJ
08/06/10
PROB06
PAYROLL
SUMMARY
88.61
PR
00342
02/11
AJ
08/20/10
PROS20
PAYROLL
SUMMARY
95.88
PR
Op435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
88.61
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
88.61
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
92.48
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
88.61
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
88.61
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
97.00
PR
01137
05/11
AJ•
11/24/10
PR1124
PAYROLL
SUMMARY
91.63
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
88.61
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
97.00
PR
01418
07/11
AJ
01/07/11
PRO107
PAYROLL
SUMMARY
103.50
PR
01561
07/11
AJ
01/21/11
PRO121
PAYROLL
SUMMARY
91.63
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
92.48
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
88.61
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
93.13
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
98.14
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
93.69
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
88.61
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
99.27
PR
02524
11/11
AJ
05/13/11
PROB13
PAYROLL
SUMMARY
85.00
BEGINNING
/ENDING
BALANCE
25.94 434.00
70.89
.00
.00
.00
00
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3ONV1V8 S1I03210 S1I830 N 0 I 1 d I M O S 3 0 M38wnN 31V0 QO 'M3d M38WnN ddV
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------------------------------------------------------------------------------------------------------------------------------------
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VlZ9£W9 WVM90Md
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PREPARED _ ,_7/2014, 10:19:00 GENERAL LEDGER __.1VITY LISTING P_-373
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------------- -----------------------
101-7004-431.31-13
Consultants / Administration
Services
/ Consultants
GM
00099
01/11
AP
06/30/10
0088357
WILLDAN FINANCIAL
SERVICE
31983.05
1 OF 4
L&L ADMIN FEE
GM
GM
00846
04/11
AP
09/30/10
0089482
WILLDAN FINANCIAL
SERVICE
31989.30
8003741008
AUG -CONTRACT
10-12174
GM
LNSCP/LIGHTING
02/11
AP
GM
01564
07/11
AP
12/31/10
0090549
WILLDAN FINANCIAL
SERVICE
4,085.74
AUG -LUMPY FOUNTAIN
GM
10-12903
05/11
LNDSCP/LIGHTING
08/06/10
0089671
GM
02350
10/11
AP
03/31/11
0091714
WILLDAN FINANCIAL
SERVICE
3,979.66
GM
00350
02/11
10-13832
08/11/10
LNDSCP & LIGHTING
YOUNG ELECTRIC SIGN COMPA
9,475.00
GM
03031
12/11
AP
05/06/11
0092844
DESERT SUN PUBLISHING CO
122.24
00624
03/11
AP
09/02/10
1519
PRISTINE POOLS SERVICE &
ADS
33069
ACCOUNT TOTAL
GM
16,159.99
101-7004-431.32-O1.Contract Services / PM -10
ACCOUNT TOTAL
101-7004-431.32-07
Contract
Services
/ Consultants
GM
Ob275
02/11
AP
07/02/10
0088496
PRISTINE POOLS SERVICE &
214.00
32469'
JUL-LUMPY FOUNTAIN
GM
00275
02/11
AP
07/12/10
0088525
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741008
AUG -CONTRACT
GM
00286.
02/11
AP
08/02/10
0088678
PRISTINE POOLS SERVICE &
214.00
32629
AUG -LUMPY FOUNTAIN
GM
01048
05/11
AP
08/06/10
0089671
YOUNG ELECTRIC SIGN COMPA '
259.00••
TL47893
ELECTRIC SVC
GM
00350
02/11
AP
08/11/10
0088710
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741009
8/10-7/11 CONTRACT
GM
00624
03/11
AP
09/02/10
0089074
PRISTINE POOLS SERVICE &
214.00
33069
SEP -LUMPY FOUNTAIN
GM
00702
03/11
AP
09/10/10
0089036
KRIBBS CONSTRUCTION, BRUC
455.00
3046
ELECTRIC SVC
GM
Op702
03/11
AP
09/12/10
0089036
KRIBBS CONSTRUCTION, BRUC
1,175.00
3047
ELECTRIC SVC
GM
00712
04/11
AP
09/13/10
0089286
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741010
OCT -ELECTRIC SVC
GM
00977
05/11
AP
10/02/10
0089627
PRISTINE POOLS SERVICE &
214.00
33595
OCT -LUMPY FOUNTAIN
GM
00977
05/11
AP
10/12/10
0089671
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741011
NOV-ELECT SVC
GM
01096
05/11
AP
1.1/02/10
0089827
PRISTINE POOLS SERVICE &
214.00
33941
NOV-LUMPY FOUNTAIN
GM
01262
06/11
AP
11/10/10
0090079
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741012
ELECTRIC SVC
GM -01262
06/11
AP
12/02/10
0090032
PRISTINE POOLS SERVICE &
214.00
34384
DEC -LUMPY
GM
01564
07/11
AP
12/13/10
0090551
YOUNG ELECTRIC SIGN COMPA
9,475.00
16,159.99
.00
.00
.00
PREPARED
_ ,_7/2014, 10:19:00
GENERAL LEDGER _IVITY
LISTING
F_-374
PROGRAM
GM362LA
CITY•OF LA
QUINTA,
CALIFORNIA
--------------------------7---------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
--------=----------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.32-07
Contract Services /
Consultants
8003741101
JAN -ELECTRIC SVC
GM
01560
07/11
AP
12/17/10 0090551
YOUNG ELECTRIC SIGN COMPA
235.86
TL49515
ELECTRICAL
GM
01560
07/11
AP
01/02/11 0090521
PRISTINE POOLS SERVICE &
214.00
34938
JAN -LUMPY FOUNTAIN
GM
01643
08/11
AP
01/14/11 0090732
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741102
FEB -ELECTRICAL SVC
GM
01768
08/11
AP
01/31/11 0090860
KRIBBS CONSTRUCTION, BRUC
850.00
3284
ELECTRICAL/FOUNTAIN
GM
01787
08/11
AP
02/01/11 0090886
PRISTINE POOLS SERVICE &
214.00
35185
FEB-LAFOND/EISEN
GM
01787
08/11
AP
02/02/11 0090886
PRISTINE POOLS SERVICE &
214.00
35187
FEB -LUMPY FOUNTAIN
GM
01903
09/11
AP
02/11/11 0091062
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741103
MAR -ELECTRIC SVC
GM
02077
09/11
AP
03/02/11 0091235
PRISTINE POOLS SERVICE &
214.00
35577
MAR -LUMPY FOUNTAIN
GM
02083
09/11
AP
03/10/11 0091273
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741104
APR-MAINT CONTRACT
GM
02248
10/11
AP
03/24/11 0091522
YOUNG ELECTRIC SIGN COMPA
373.50
TL50933
ELECTRIC SVC
GM
02316
10/11
AP
04/02/11 0091681
PRISTINE POOLS SERVICE &
214.00
35966
APR -LUMPY
GM
02507
11/11
AP
04/21/11 0091886
YOUNG ELECTRIC SIGN COMPA
249.00
LA11967
ELECTRIC SVC
GM
02513
11/11
AP
04/28/11 0091886
YOUNG ELECTRIC SIGN COMPA
2,115.00
LA11995
LIGHTING SYSTEM
GM
02558
11/11
AP
05/02/11 0092041
PRISTINE POOLS SERVICE &
214.00
36362
MAY-78257HWY111 FOUNTAIN
GM
02513
11/11
AP
05/04/11 0091825
KRIBBS CONSTRUCTION, BRUC
250.00
'
LQ100
ELECTRICAL SVC
GM
02558
11/11
AP
05/08/11 0092015
KRIBBS CONSTRUCTION, BRUC
200.00
LQ101
ELECTRICAL
GM
02616
11/11
AP
05/10/11 0092011
INDEPENDENT ELECTRIC SUPP
10,364.96
S100705823001
ELECTRICAL@CITY HALL
GM
02728
12/11
AP
05/11/11 0092300
YOUNG ELECTRIC SIGN COMPA
9,475.00
8003741106
JUN -ELECTRICAL SVC
GM
02787
12/11 ,AP
05/26/11 0092300
YOUNG ELECTRIC SIGN COMPA
6,694.92
LA12071
CIVIC CTR PROJECT
GM
02615
11/11
AJ
05/31/11 AJE 11-015
RECLASS LANDSCAPE INVOICE
9,475.00
GM
02865
12/11
AP
06/02/11 0092399
PRISTINE POOLS SERVICE &
214.'00
36768
JUN-78257HWY111 FOUNTAIN
ACCOUNT TOTAL
130,229.24
130,229.24
101-7004-431.32-10
Contract Services /
Professional
.00
ACCOUNT TOTAL
.00
PREPARED
_17/2014, 10:19:00
GENERAL LEDGER .._.IVITY
LISTING
F..___375
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND•101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.34-04
Contract
Services
/ Technical
.00
GM
00017
01/11
AP
06/23/10
0087999
TELEPACIFIC COMMUNICATION'
43.91
21135341-0
78198 CLOUD VIEW
GM
00017
01/11
AP
06/23/10
0087999
TELEPACIFIC COMMUNICATION
43.91
21135341-0
46211 WASHINGTON
GM
00099
01/11
AP
07/01/10
0088338
PRISTINE POOLS SERVICE &
214.00
32467
JUL-LAFONDA/EW FOUNTAIN
GM
00275
02/11
AP
07/01/10
0088496
PRISTINE POOLS SERVICE &
214.00
32465
JUL-LQ COURT FOUNTAINS
GM
00275
02/11
AP
07/01/10
0088496
PRISTINE POOLS SERVICE &
214.00
'
32464
JUL-CALLE ESTRADA
GM
00274
02/11
AP
07/15/10
0088521
VINTAGE ASSOCIATES
21,415.00
SI -85392
JUL-PARK MAINT
GM
00229
02/11
AP
07/23/10
0088437
TELEPACIFIC COMMUNICATION
43.87
21774418-0
78198 CLOUD VIEW
GM
00229
02/11
AP
07/23/10
0088437
TELEPACIFIC COMMUNICATION
43.87 '
21774418-0
46211 WASHINGTON
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
229.11
32531
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
81.36
32530
IRRIGATION
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
136.02
32529
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
61.94
32528
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
154.66
32527
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
137.52
32526
IRRIG-VANDALISM
GM
01181.
06/11
AP
07/30/10
0090063
TESERRA
78.00
32525
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
85.71
32524
IRRIG-VANDALISM
GM
01181
06/11
AP
07/30/10
0090063
TESERRA
166.52
32522
IRRIG-VANDALISM
GM
00274
02/11
AP
07/31/10
0088488
OMEGA LAKE SERVICES
948.75
8-127
LLD SRR MO LAKE SVC
GM
00286
02/11
AP
08/01/10
0088678
PRISTINE POOLS SERVICE &
214.00
32627
AUG-LAFOND/EISEN
GM
OP286
02/11
AP
08/01/10
0088678
PRISTINE POOLS SERVICE &
214.00
32624
AUG-CALLE ESTRADA
GM
00286
02/11
AP
08/01/10
0088678
PRISTINE POOLS SERVICE &
107.00
32625
AUG -LA QUINTA COURT
GM
00437
03/11
AP
08/15/10
0088910
VINTAGE ASSOCIATES
21,415.00
SI -85998
AUG -PARK MAINT
GM
00439
03/11
AP
08/23/10
0088749
TELEPACIFIC COMMUNICATION
43.87
224408410
78198 CLOUD VIEW
GM
00439
03/11
AP
08/23/10
0088749
TELEPACIFIC COMMUNICATION
43.87
224408410
46211 WASHINGTON
GM
00555
03/11
AP
08/24/10
0088897
TESERRA
37,613.22
PREPARED
_17/2014,
10:19:00
GENERAL LEDGER ___.IVITY
LISTING
f..___376
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
---a--------------------------------------------------------------------------------------7-----------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
----------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
Contract
Services
/ Technical
32561
AUG-LNDSCP MAINT
GM
00490.
03/11
AP
08/31/10
0088862
OMEGA LAKE SERVICES
747.50
9-142
AUG -SRR LLD LAKE SVC
GM
00624.
03/11
AP
09/01/10
0089074
PRISTINE POOLS SERVICE &
•214.00
33067
SEP-LAFONDA/E/W
GM
00624
03/11
AP
09/01/10
0089074
PRISTINE POOLS SERVICE &
107.00
33065
SEP -LQ COURT FOUNTAIN
GM
00624
03/11
AP
09/01/10
0089074
PRISTINE POOLS SERVICE &
214.00
33064
SEP-CALLE ESTADO
GM
00736
04/11
AP
09/15/10
0089282
VINTAGE ASSOCIATES
21,415.00
SI -86443
SEP -PARK MAINT
GM
OD702
03/11
AP
09/16/10
0088983
AQUATECHNEX LLC
680.00
2623
SRR LLD LAKE SVC
GM
00751
04/11
AP
09/23/10
0089142
TELEPACIFIC COMMUNICATION
43.87
231992490
78198 CLOUD VIEW
GM
00751
04/11
AP
09/23/10
0089142
TELEPACIFIC COMMUNICATION
43.87
231992490
46211 WASHINGTON
GM
00784
04/11
AP
09/23/10
0089272
TESERRA
37,613.22
32696
SEP -LANDSCAPE MAINT
GM
00784
04/11
AP
09/29/10
0089250
PRISTINE POOLS SERVICE &
150.00
33672
SEP-VONS FOUNTAIN
GM
00823
04/11
AP
10/01/10
0089250
PRISTINE POOLS SERVICE &
214.00
33593
OCT-LAFONDA/EISEN
GM
00977
05/11
AP
10/01/10
0089627
PRISTINE POOLS SERVICE &
107.00
33591
OCT -LQ COURT FOUNTAINS
GM
01033
05/11
AP
10/23/10
0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
78198 CLOUD VIEW WY
GM
01033
05/11
AP
10/23/10
0089538
TELEPACIFIC COMMUNICATION
43.84
237748610
46211 WASHINGTON
GM
00977
05/11
AP
10/25/10
0089668
VINTAGE ASSOCIATES
21,415.00
SI -88007
OCT -PARKS MAINT
GM
01048
05/11
AP
10/28/10
0089657
TESERRA
980.00
32861
LANDSCAPE
GM
01048
05/11
AP
10/28/10
0089657
TESERRA
350.00
32860
LANDSCAPE
GM
01048
05/11
AP
10/28/10
0089657
TESERRA
37,741.64
32852
OCT-LNDSCP MAINT
GM
01048
05/11
AP
10/28/10
0089657
TESERRA
825.00
32862
LANDSCAPE
GM
01161
05/11
AP
10/31/10
0089847
TESERRA
540.00
32917
TREE REMOVAL
GM
01096
05/11
AP
11/01/10
0089748
AQUATECHNEX LLC
680.00
2625
OCT -SRR LLD LAKE SVC
GM
01096
05/11
AP
11/01/10
0089827
PRISTINE POOLS SERVICE &
214.00
33939
1 NOV-FONDA/EISEN
GM
01262
06/11
AP
11/01/10
0090032
PRISTINE POOLS SERVICE &
107.00
33937
NOV-LQ COURT
GM
01262
06/11
AP
11/15/10
0090075
VINTAGE ASSOCIATES
21,415.00
SI -88487
NOV-PARKS MAINT
PREPARED
_ ._7/2014, 10:19:00
GENERAL LEDGER ____IVITY
LISTING
F..___377
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
--------------------------------------
FUND 101
General
Fund
------------------------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.34-04
Contract
Services
/ Technical
GM
01181
06/11
AP
11/17/10
0090063
TESERRA
37,741.64
32929
NOV-LNDSCP MAINT
GM
01253
06/11
AP
11/23/10
0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
78198 CLOUD VIEW WY
GM
01253
06/11
AP
11/23/10
0089917
TELEPACIFIC COMMUNICATION
43.84
244332660
46211 WASHINGTON
GM
01265
06/11
AP
11/28/10
0089932
AQUATECHNEX LLC
680.00
2697
NOV-SRR LLD LAKE
GM
01262
06/11
AP
12/01/10
0090032
PRISTINE POOLS SERVICE &
214.00
34382
DEC-LAFONDZ/EISN
GM
01262
06/11
AP
12/01/10
0090032
PRISTINE POOLS SERVICE &
107.00
34380
DEC-LQ COURT
GM
01262
06/11
AP
12/01/10
0090032
PRISTINE POOLS SERVICE &
214.00
34379
DEC-CALLE ESTRADA
GM
01511
07/11
AP
12/15/10
0090358
VINTAGE ASSOCIATES
21,415.00
SI-90094
DEC-PK MAINT
GM
01420
07/11
AP
12/23/10
0090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
78198 CLOUD VIEW
GM
01420
07/11
AP
12/23/10
0090269
TELEPACIFIC COMMUNICATION
43.79
25116064-0
46211 WASHINGTON
GM
01564
07/11
AP
12/28/10
0090540
TESERRA
37,741.64
33031
DEC-LANDSCAPE
GM
01560
07/11
AP
O1/01/11
0090521
PRISTINE POOLS SERVICE &
214.00
34936
JAN-LAFONDA/EISENHOWER
GM
01632
08/11
AP
O1/01/11
0090701
PRISTINE POOLS SERVICE &
214.00
34933
JAN-CALLE ESTADO
GM
01632
08/11
AP
O1/01/11
0090701
PRISTINE POOLS SERVICE &
107.00
34934
JAN-LQ COURT
GM
01643
08/11
AP
01/15/11
0090726
VINTAGE ASSOCIATES
21,415.00
SI-91621
JAN-PARKS MAINT
GM
01643
08/11
AP
01/19/11
0090626
AQUATECHNEX LLC
680.00
2729
SRR LLD LAKE SVC
GM
01757
08/11
AP
01/23/11
0090756
TELEPACIFIC COMMUNICATION
43.87
258077380
78198 CLOUD VIEW
GM
01757
08/11
AP
01/23/11
0090756
TELEPACIFIC COMMUNICATION
43.87
•
258077380
43211 WASHINGTON
GM
01643
08/11
AP
01/24/11
0090626
AQUATECHNEX LLC
680.00
2745
SRR LLD LAKE SVC
GM
01768
08/11
AP
01/27/11
0090903
TESERRA
140.00
33157
IRRIGATION
GM
01768
08/11
AP
01/27/11
0090903
TESERRA
38,103.97
33156
JAN-LANDSCAPE
GM
01787
08/11
AP
02/01/11
0090886
PRISTINE POOLS SERVICE &
214.00
35182
FEB-CALLE ESTRADA
GM
01802
08/11
AP
02/01/11
0090886
PRISTINE POOLS SERVICE &
107.00
35183
FEB-LQ COURT FOUNTAINS
GM
01903
09/11
AP
02/12/11
0091049
TESERRA
38,103.97
33239
FEB-LNDSCP MAINT
GM
01878
09/11
AP
02/15/11
0091055
VINTAGE ASSOCIATES
21,415.00
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER _.__IVITY
LISTING
F..___378
PROGRAM
GM362LA
CITY OF LA
---------------------------------------------------------------------------------------------------------------=--------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------
NUMBER
PER.
-------------------------
CD
DATE
NUMBER
--------------------------
D E S C R I P T 'I O N
-------------------------
DEBITS CREDITS
------------- ---------- ---------
BALANCE
------------
101-7004-431.34-04
Contract
Services /
Technical
SI -92766
FEB -PARK MAINT
GM
01909
09/11
AP
02/23/11
0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
78198 CLOUD VIEW
GM
01909
09/11
AP
02/23/11
0090960
TELEPACIFIC COMMUNICATION
43.87
265055680
46211 WASHINGTON
GM
02077
09/11
AP
02/28/11
0091159
AQUATECHNEX LLC
680.00
2762
FEB -SRR LLD LAKE
GM
02077
09/11
AP
03/01/11
0091235
PRISTINE POOLS SERVICE &
214.00
35575
MAR-LAFONDA/EISEN
GM
02077
09/11
AP
03/01/11
0091235
PRISTINE POOLS SERVICE &
107.00
35573
MAR -LQ COURT
GM
02077
09/11
AP
03%01/11
0091235
PRISTINE POOLS SERVICE &
214.00
35572
MAR-CALLE ESTRADA
GM
02156
10/11
AP
03/11/11
0091506
TESERRA
5,465.00
33317
LANDSCAPE MAINT
GM
02136
10/11
AP
03/15/11
0091516
VINTAGE ASSOCIATES
12,200.00
SI -94552
MAR -PARK MAINT
GM
02156
10/11
AP
03/19/11
0091506
TESERRA
38,103.97
33343
LANDSCAPE MAINT
GM
02225
10/11
AP
03/23/11
0091356
TELEPACIFIC COMMUNICATION
44.64
27291797-0
78198 CLOUD VIEW
GM
02225
10/11
AP
03/23/11
0091356
TELEPACIFIC COMMUNICATION
44.64
27291797-0
4622 WASHINGTON
GM
02248
10/11
AP
03/28/11
0091367
AQUATECHNEX LLC
680.00
2778
MAR -SRR LLD LAKE SVC
GM
02020
09/11
AJ
03/31/11
AJE 09-025
RECLAS VINTAGE INVOICES
73,720.00
GM
02302
10/11
AP
04/01/11
0091681
PRISTINE POOLS SERVICE &
214.00
35961
APR-CALLE ESTRADA
GM
02302
10/11
AP
04/01/11
0091681
PRISTINE POOLS SERVICE &
107.00
35962
APR -LQ COURT
GM
02316
10/11
AP
04/02/11
0091681
PRISTINE POOLS SERVICE &
214.00
35964
APR-LAFONDA/EISEN
GM
02350
10/11
AP
04/15/11
0091699
TESERRA
38,103.97
33404
APR-LNDSCP MAINT
GM
02424
11/11
AP
04/15/11
0091879
VINTAGE ASSOCIATES+
12,200.00
SI -96246
APR -PARKS LNDSCP
GM
02435
11/11
AP
04/23/11
0091790
AQUATECHNEX LLC
680.00
2811
•APR -SRR LLD LAKE
GM
02538
11/11
AP
04/23/11
0091917
TELEPACIFIC COMMUNICATION
44.62
280004610
78198 CLOUD VIEW
GM
02538
11/11
AP
04/23/11
0091917
TELEPACIFIC COMMUNICATION
44.62
280004610
46211 WASHINGTON
GM
02628
11/11
AP
04/29/11
0092058
TESERRA
2,398.00
33440
MEDIAN CLEANING
GM
02628
11/11
AP
04/29/11
0092058
TESERRA
2,420.00
33442 .
DOWN TREES
GM
02558
11/11
AP
05/01/11
0092041
PRISTINE POOLS SERVICE &
214.00
36360
MAY -LA FONDA/EISEN
GM
02616
11/11
AP
05/01/11
0092041
PRISTINE POOLS SERVICE &
107.00
PREPARED ,.7/2014,
10:19:00
GENERAL LEDGER __.:VITY
LISTING
P_-379
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------=-----------------------------------------------------------
FUND 101 General
Fund
BEGINNING.
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
--------------------------------------
CD
DATE NUMBER D
-------------------------------------
E S C R I P T I O N
DEBITS
----------------------------------------------------------
CREDITS
BALANCE
.101-7004-431.34-04
Contract Services / Technical
36358
MAY -LQ COURT FOUNTAINS
GM 02616 11/11
AP
05/01/11 0092041
PRISTINE POOLS SERVICE &
214.00
•
36357
MAY-CALLE ESTADO
GM 02694 12/11
AP
05/15/11 0092293
VINTAGE ASSOCIATES
12,200.00
SI -97772
MAY -PARK MAINT
GM 02784 12/11
AP
05/19/11 0092285
TESERRA
38,103.97
33522
MAY -LANDSCAPE
GM 02728' 12/11
AP
05/27/11 0092285
TESERRA
14,990.00
33595
LANDSCAPE
GM 02863 12/11
AP
06/01/11 0092399
PRISTINE POOLS SERVICE &
214.00
36766
JUN-LAFONDA/EISEN
GM 02863 12/11.
AP
06/01/11 0092399
PRISTINE POOLS SERVICE &
214.00
36763
JUN-CALLE ESTADO
GM 02865 12/11
AP
06/01/11 0092399
PRISTINE POOLS SERVICE &
107.00
36764
JUN -LQ COURT FOUNTAIN
GM 02955 12/11
AP
06/15/11 0092580
VINTAGE ASSOCIATES
12,200.00
SI -99111
JUN -PARK MAINT
GM 02865 12/11
AP
06/16/11 0092349
AQUATECHNEX LLC
680.00
2951
MAY -SRR LLD LAKE
GM- 02987 12/11
AP
06/17/11 0092572
TESERRA
38,103.97
33664
JUN-LNDSCP MAINT
GM 03047 12/11
AJ
06/30/11 AJE 12-072
ACCRUED REVENUE FY 10/11
41400.00
GM 03047 12/11
AJ
06/30/11 AJE 12-072
ACCRUED REVENUE FY 10/11
7,762.34
GM 03027 12/11
AP
,07/02/11 0092687
AQUATECHNEX LLC
680.00
2989
JUN -SRR LLD LAKE
GM 03031 12/11
AP
07/19/11 0092853
PALM DESERT, CITY OF
11130.54
3511
FY10/11 LNDSCP MAINT
ACCOUNT TOTAL
683,063.79
85,882.34
597,181.45
101;7004-431.34-10
Contract Services / SilverRock Way Landscape
.00
ACCOUNT TOTAL
.00
101-7004-431.40-01
Utilities -Parks / Water -Monticello Park
.00
ACCOUNT TOTAL
.00
101-7004-431.40-02
Utilities -Parks / Water-Civc Ctr Campus
.00
ACCOUNT TOTAL
.00
101:7004-431.40-04
Utilities -Parks / Water -Fritz Burns Park
.00
ACCOUNT TOTAL
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER -VITY LISTING P„--.380
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
-------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D'E S C R I P T I 0 N DEBITS CREDITS BALANCE
101-7004-431.40-06 Utilities -Parks / Water -Sports Complex .00
ACCOUNT TOTAL .00
101-7004-431.40-08 Utilities -Parks / Water -Palm Royale
ACCOUNT TOTAL
101-7004-431.40-10 Utilities -Parks / Water-Rec Trailer
ACCOUNT TOTAL
101-7004-431.40-12 Utilities -Parks / Water -LQ Community Park
ACCOUNT TOTAL
101=7004-431.40-51 Utilities -Parks / Electric -Monticello Park
ACCOUNT TOTAL
101-7004-431.40-52 Utilities -Parks / Electric-Civc Ctr Campus
ACCOUNT TOTAL
101-7004-431.40-54 Utilities -Parks / Electric -Fritz Burns
ACCOUNT TOTAL
101-7004-431.40-56 Utilities -Parks / Electric -Sports Complex
ACCOUNT TOTAL
101-7004-431.40-58 Utilities -Parks / Electric -Palm Royale
ACCOUNT TOTAL
101-7004-431.40-60 Utilities -Parks / Electric-RecTrailer
ACCOUNT TOTAL
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED _ ._7/2014, 10:19:00 GENERAL LEDGER .._.IVITY LISTING P___.381
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------------------------------------------------------------=----
101-7004-431.40-62 Utilities -Parks / Electric -LQ Community Pk
ACCOUNT TOTAL
101-7004-431.40-70 Utilities -Parks / SilverRock
ACCOUNT TOTAL
101-7004-431.40-75 Utilities -Parks / SilverRock
ACCOUNT TOTAL
101-7004-431.41-04
Utilities
/ Electric -Signals
GM
00274
02/11
AP
07/06/10
0088467
DESERT ELECTRIC SUPPLY
119.88
S1743639001
SIGNALS
GM
00189
01/11
AP
07/07/10
0088392
VERIZON CALIFORNIA
37.41
771-9713
HWY111/WASH 7/7-8/6
GM
00299
02/11
AP
07/25/10
0088547
VERIZON CALIFORNIA
38.77
771-2109
TRFF SIGNAL 7/25-8/24
GM
013229
02/11
AP
07/29/10
0088413
IMPERIAL IRRIGATION
DIST
4,016.33
VARIOUS
ELECTRIC SVC
GM
00299
02/11
AP
08/04/10
0088538
IMPERIAL IRRIGATION
DIST
43.49
50183030
ELECTRIC SVC
GM
00299
02/11
AP
08/04/10
0088538
IMPERIAL IRRIGATION
DIST
61.29
50186199
ELECTRIC SVC
GM
00346
02/11
AP
08/07/10
0088589
VERIZON CALIFORNIA
159.19
360-5653
SIGNAL
GM
00346
02/11
AP
08/07/10
0088589
VERIZON CALIFORNIA
37.42
771-9713
HWY111/WASHINGTON
GM
00299
02/11
AP
08/10/10
0088538
IMPERIAL IRRIGATION
DIST
1,184.22
VARIOUS
ELECTRIC SVC
GM
00522
03/11
AP
08/25/10
0088774
VERIZON CALIFORNIA
38.80
771-2109
TRFF SIGNAL 8/25-9/24
GM
00439
03/11.
AP
08/26/10
0088741
IMPERIAL IRRIGATION
DIST
638.84
VARIOUS
ELECTRIC SVC
GM
00439
03/11
AP
08/31/10
0088741
IMPERIAL IRRIGATION
DIST
2,277.24
VARIOUS
ELECTRIC SVC
GM
00522•
03/11
AP
09/02/10
0088764
IMPERIAL IRRIGATION
DIST
2,890.26
VARIOUS
ELECTRIC SVC
GM
00522
03/11
AP
09/02/10
0088764
IMPERIAL IRRIGATION
DIST
56.19
50186199
ELECTRIC SVC
GM
00522
03/11
AP
09/02/10
0088764
IMPERIAL IRRIGATION
DIST
43.49
50183030
ELECTRIC SVC
GM
00605
03/11
AP
09/06/10
0088932
IMPERIAL IRRIGATION
DIST
43.49
50015007
ELECTRIC SVC
GM
00605
03/11
AP
09/06/10
0088932
IMPERIAL IRRIGATION
DIST
44.76
50015015
ELECTRIC SVC
.00
.00
.00
.00
.00
.00
.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER .._JVITY
LISTING
P---.382
PROGRAM
GM362LA
CITY OF LA
----r-------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE -
101-7004-431.41-04
Utilities
/ Electric -Signals
GM
00605
03/11
AP
09/07/10
0088932
IMPERIAL IRRIGATION
DIST
549.32
50014295
ELECTRIC SVC
GM
00713
03/11
AP
09/07/10
0089120
VERIZON CALIFORNIA
37.42
771-9713
HWY111/WASHINTON
GM
00713
03/11
AP
09/07/10
0089120
VERIZON CALIFORNIA
42.75
360-5653
�
SIGNAL 9/7-10/6
GM
00713
03/11
AP
09/21/10
0089111
IMPERIAL IRRIGATION
DIST
73.99
50464801
ELECTRIC SVC
GM
00713
03/11
AP
09/21/10
0089111
IMPERIAL IRRIGATION
DIST
52.39
50464779
ELECTRIC SVC
GM
00713
03/11
AP
09/22/10
0089111
IMPERIAL IRRIGATION
DIST
29.11
50505537
ELECTRIC-SIGNAL/PED
GM
00713
03/11
AP
09/22/10
0089111
IMPERIAL IRRIGATION
DIST
51.11
50464348
ELECTRIC SVC
GM
00713
03/11
AP
09/24/10
0089111
IMPERIAL IRRIGATION
DIST
1,046.82
VARIOUS
ELECTRIC SVC
GM
00751
04/11
AP
09/25/10
0089145
VERIZON CALIFORNIA
38.80
771-2109
TRFF SIGNAL 9/25-10/24
GM
00751
04/11
AP
09/26/10
0089135
IMPERIAL IRRIGATION
DIST
303.92
50015109
ELECTRIC SVC
GM
00751
04/11
AP
09/26/10
0089135
IMPERIAL IRRIGATION
DIST
4.11
50422161
ELECTRIC SVC
GM
00837
04/11
AP
09/27/10
0089307
IMPERIAL IRRIGATION
DIST
29.11
50505993
ELECTRIC SVC
GM
00751
04/11
AP
09/28/10
0089135
IMPERIAL IRRIGATION
DIST
4.11
50505993
ELECTRIC SVC
GM
00751
04/11
AP
10/04/10
0089135
IMPERIAL IRRIGATION
DIST
41083.50
VARIOUS
ELECTIC SVC
GM
00931
04/11
AP
10/07/10
0089513
VERIZON CALIFORNIA
42.23
360-5653
SIGNAL 10/7-11/6
GM
00931
04/11
AP
10/07/10
0089513
VERIZON CALIFORNIA
37.23
771-9713
HWY111/WASHINTON
GM
00977
05/11
AP
10/18/10
0089660
TOPS'N BARRICADES INC
700.00
1017951
TRFF CONTROL
GM
00977
05/11
AP
10/20/10
0089569
DESERT ELECTRIC SUPPLY
62.48
51766853001
ELECTRIC SVC
GM
01081
05/11
AP
10/25/10
0089693
VERIZON CALIFORNIA
38.25
771-2109
TRFF SIGNAL 16/25-11/24
GM
00931
04/11
AP
10/26/10
0089500
IMPERIAL IRRIGATION
DIST
904.74
VARIOUS
ELECTRIC SVC
GM
01033
05/11
AP
10/28/10
0089522
IMPERIAL IRRIGATION
DIST
8,684.92
REBATE
ELECTRIC SVC
GM
01081
05/11
AP
11/02/10
0089684
IMPERIAL IRRIGATION
DIST
39.69
50183030
ELECTRIC
GM
01081
05/11
AP
11/02/10
0089684
IMPERIAL IRRIGATION
DIST
56.19
50186199
ELECTRIC
GM
01081
05/11
AP
11/03/10
0089684
IMPERIAL IRRIGATION
DIST
61.29
50015007
ELECTRIC
GM
01081
05/11
AP
11/03/10
0089684
IMPERIAL IRRIGATION
DIST
43.49
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER .._.:VITY
•LISTING
P___.383
PROGRAM
GM362LA
CITY OF LA'QUINTA,
------------------------------------------------------------------------------------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
-
/ENDING
APP NUMBER
---------------------------
PER.
CD
DATE NUMBER
:
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
/ Electric-Signals
50015015
ELECTRIC
GM
01081
05/11
AP
11/04/10 0089684
IMPERIAL IRRIGATION DIST
563.75
50014295
ELECTRIC
GM
01081
05/11
AP
11/04/10 0089684
IMPERIAL IRRIGATION DIST
712.79
VARIOUS
ELECTRIC
GM
01210
06/11
AP
11/07/10 0089892
VERIZON CALIFORNIA
42.24
360-5653
SIGNAL 11/7-12/6
GM
01210
06/11
AP
11/07/10 0089892
VERIZON CALIFORNIA
37.24
771-9713
HWY111/WASH 11/7-12/6
GM
01262
06/11
AP
11/17/10 0089959
DESERT ELECTRIC SUPPLY
121.55
S1771102001
ELECTRIC/TRAFFIC
GM
01262
06/11
AP
11/17/10 0089959
DESERT ELECTRIC SUPPLY
57.75
S1771162002
ELECTRIC/TRAFFIC
GM
01335
06/11
AP
11/25/10 0090130
VERIZON CALIFORNIA
38.29
771-2109
TRFF SIGNAL 11/25-12/24
GM
01210
06/11
AP
11/30/10 0089875
IMPERIAL IRRIGATION DIST
4,375.83
VARIOUS
ELECTRIC SVC
GM
01262
06/11
AP
11/30/10 0089959
DESERT ELECTRIC SUPPLY
197.78
S1776355001
TRFF SIGNAL
GM
01253
06/11
AP
12/03/10 0089912
IMPERIAL IRRIGATION DIST
1,665.99
VARIOUS
ELECTRIC SVC
GM
01547
07/11
AP
12/07/10 0090408
VERIZON CALIFORNIA.
42.20
360-5653
SIGNAL 12/7-1/6
GM
01547
07/11
AP
12/07/10 0090408
VERIZON CALIFORNIA
37.21
771-9713
HWY111/WASHINGTON
GM
01368
06/11
AP
12/16/10 0090146
IMPERIAL IRRIGATION DIST
797.42
VARIOUS
ELECTRIC SVC
GM
01560
07/11
AP
12/22/10 0090467
DESERT ELECTRIC SUPPLY
104.17
S1782058002
TRAFFIC
GM
01560
07/11
AP
12/22/10 0090467
DESERT ELECTRIC SUPPLY
28.51
S1782058001
TRAFFIC
GM
01547
07/11
AP
12/25/10 0090408
VERIZON CALIFORNIA
39.53
771-2109
TRFF SIGNAL 12/25-1/24
GM
01547
07/11
AP
12/31/10 0090384
IMPERIAL IRRIGATION DIST
907.45
VARIOUS
ELECTRIC SVC
GM
01547
07/11
AP
12/31/10 0090384
IMPERIAL IRRIGATION DIST
5,728.91
VARIOUS
ELECTRIC SVC
GM
01560
07/11
AP
01/05/11 0090467
DESERT ELECTRIC SUPPLY
152.01
S1784318001
TRAFFIC
GM
01568
07/11
AP
01/05/11 0090424
IMPERIAL IRRIGATION DIST
66.37
50186199
ELECTRIC SVC
GM
01568
07/11
AP
01/05/11 0090424
IMPERIAL IRRIGATION DIST
65.10
50183030
ELECTRIC SVC
GM
01568
07/11
AP
01/06/11 0090424
IMPERIAL IRRIGATION DIST
77.80
50015007
ELECTRIC SVC
GM
01568
07/11
AP
01/06/11 0090424
IMPERIAL IRRIGATION DIST
48.58
50015015
ELECTRIC SVC
GM
01629
07/11
AP
01/07/11 0090581
VERIZON CALIFORNIA
38.84
771-9713
HWY111/WASHINGTON•
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER __.:VITY
LISTING
P—.384
PROGRAM
GM362LA
CITY OF LA QUINTA,
------------------------------------------------------
CALIFORNIA
FUND 101
General
Fund
-------------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------ ----------------
CD
DATE
-----------------------------
NUMBER
D E S C R I P T I O N
------- --------------------------------------
DEBITS CREDITS
--------- ----------
BALANCE
----- --------------
101-7004-431.41-04
Utilities
/ Electric -Signals
GM
01629
07/11
AP
01/07/11
0090581
VERIZON CALIFORNIA
43.82
360-5653
SIGNAL 1/7-2/6
GM
01568
07/11
AP
01/09/11
0090424
IMPERIAL IRRIGATION
DIST
563.75
50014295
ELECTRIC
CR
01521
07/11
CR
01/10/11
0009002
IID REFUND
3,565.23
MANCILLA 01/10/11
01
GM
01692
08/11
AP
01/24/11
0090601
IMPERIAL IRRIGATION
DIST
61.29
50464779
ELECTRIC SVC
GM
01692
08/11
AP
01/24/11
0090601
IMPERIAL IRRIGATION
DIST
63.82
50464801
ELECTRIC SVC
GM
01692
08/11
AP
01/24/11
0090601
IMPERIAL IRRIGATION
DIST
62.55
50464348
ELECTRIC SVC
GM
01692
08/11
AP
01/25/11
0090601
IMPERIAL IRRIGATION
DIST
1,385.04
VARIOUS
ELECTRIC SVC
GM
01757
08/11
AP
01/25/11
0090761
VERIZON CALIFORNIA
39.25
771-2109
TRFF SIGNAL
GM
01793
08/11
AP
01/27/11
0090787
IMPERIAL IRRIGATION
DIST
4.11
50203144
STREET LIGHTS
GM
01692
08/11
AP
02/02/11
0090601
IMPERIAL IRRIGATION
DIST
5,027.19
VARIOUS
ELECTRIC SVC
GM
01793
08/11
AP
02/03/11
0090787
IMPERIAL IRRIGATION
DIST
56.22
50183030
SIGNALS
GM
01793
08/11
AP
02/03/11
0090787
IMPERIAL IRRIGATION
DIST
57.49
50186199
SIGNALS
GM
01841
08/11
AP
02/07/11
0090936
VERIZON CALIFORNIA
43.16
360-5653
SIGNAL 2/7-3/6
GM
01841
08/11
AP
02/07/11
0090936
VERIZON CALIFORNIA
38.18
'
771-9713
HWY111/WASHINGTON
GM
01909
09/11
AP
02/16/11
0090949
IMPERIAL IRRIGATION
DIST
75.29
50191368
ST LIGHTS ELECTRIC SVC
GM
01909
09/11
AP
02/16/11
0090949
IMPERIAL IRRIGATION
DIST
42.25
50191333
TRFF SIGNAL ELECTRIC
SVC
GM
01909
09/11
AP
02/16/11
0090949
IMPERIAL IRRIGATION
DIST
33.35
50185497
ST LIGHTS
GM
01909
09/11
AP
02/17/11
0090949
IMPERIAL IRRIGATION
DIST
4.11
50505993
TRFF SIGNAL ELECT
GM
01909
09/11
AP
02/22/11
0090949
IMPERIAL IRRIGATION
DIST
4.11
50514012
ELECTRIC SIGNAL
GM
01909
09/11
AP
02/22/11
0090949
IMPERIAL IRRIGATION
DIST
56.22
50464801'
ELECTRIC SVC
GM
01909
09/11
AP
02/22/11
0090949
IMPERIAL IRRIGATION
DIST
53.68
50464779
ELECTRIC SVC
GM
01909
09/11
AP
02/23/11
0090949
IMPERIAL IRRIGATION
DIST
62.58
50464348
ELECTRIC SVC
GM
02022
09/11
AP
02/25/11
0091146
VERIZON CALIFORNIA
39.25
771-2109
TRFF SIGNAL
GM
01910
08/11
AJ
02/28/11
AJE 08-037
RECLASS TO CORRECT ACCT
672.17
GM
01909
09/11
AP
02/28/11
0090949
IMPERIAL IRRIGATION
DIST
11636.80
VARIOUS
ELECTRIC SVC
r
PREPARED
,_7/2014,
10:19:00
GENERAL LEDGER ,,,...VITY
LISTING
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
-
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
Utilities
/ Electric -Signals
GM
02083
09/11
AP
03/03/11
0091206
JTB SUPPLY
CO., INC.
43.50
92830
SIGNAL/TRAFFIC
GM
02003
09/11
AP
03/07/11
0091080
IMPERIAL
IRRIGATION
DIST
31968.83
VARIOUS
ELECTRIC
SVC
GM
02127
09/11
AP
03/07/11
0091282
IMPERIAL
IRRIGATION
DIST
58.77
50186199
ELECTRIC
SVC
GM
02127
09/11
AP
03/07/1.1
0091282
IMPERIAL
IRRIGATION
DIST
53.68
50183030
ELECTRIC
SVC
GM
02177
10/11
AP
03/07/11
0091329
VERIZON
CALIFORNIA
43.16
360-5653
SIGNAL 3/7-4/6
GM
02177
10/11
AP
03/07/11
0091329
VERIZON
CALIFORNIA
38.18
771-9713
HWY111/WASH 3/7-4/6
GM
02127
09/11
AP
03/08/11
0091282
IMPERIAL
IRRIGATION
DIST
47.33
50015015
ELECTRIC
SVC
GM
02127
09/11
AP
03/08/11
0091282
IMPERIAL
IRRIGATION
DIST
68.94
50015007
ELECTRIC
SVC
GM
02127
09/11
AP
03/09/11
0091282
IMPERIAL
IRRIGATION
DIST
542.15
50014295
ELECTRIC
SVC
GM
02022
09/11
AP
03/16/11
0091124
IMPERIAL
IRRIGATION
DIST
472.08
VARIOUS
ELECTRIC
SVC
GM
02177
10/11
AP
03/17/11
0091315
IMPERIAL
IRRIGATION
DIST
44.78
50172261
ELECTRIC
SVC
GM
02177
10/11
AP
03/17/11
0091315
IMPERIAL
IRRIGATION
DIST
47.33
50199550
ELECTRIC
SVC
GM
02177
10/11
AP
03/17/11
0091315
IMPERIAL
IRRIGATION
DIST
48.60
50199552
ELECTRIC
SVC
GM
02177
10/11
AP
03/22/11
0091315
IMPERIAL
IRRIGATION
DIST
47.33
50014566
ELECTRIC
SVC
GM
02177
10/11
AP
03/23/11
0091315
IMPERIAL
IRRIGATION
DIST
58.77
50464779
ELECTRIC
SVC
GM
02177
10/11
AP
03/23/11
0091315
IMPERIAL
IRRIGATION
DIST
63.86
50464801
ELECTRIC
SVC
GM
02225
10/11
AP
03/24/11
0091348
IMPERIAL
IRRIGATION
DIST
51.14
50464348
ELECTRIC
SVC
GM
02288
10/11
AP
03/25/11
0091558
VERIZON
CALIFORNIA
39.25
771-2109
TRFF SIGNAL 3/25-4/24
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
5.38
50422161
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
33.35
50391713
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
220.19
50391712
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION•DIST
68.94
50366853
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
53.68
50352333
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542.
IMPERIAL
IRRIGATION
DIST
35.89
50352331
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
49.87
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P___.386
PROGRAM
GM362LA
CITY OF LA
----------------------------------------------------------------------------------------------------7-------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund-
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER •
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-04
Utilities
/ Electric -Signals
50015053
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
46.06
50015041
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
44.78
50014920
ELECTRIC
SVC
GM
02288
10/11
AP•03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
5.38
50014795
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
5.38
50014801
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
62.58
50014693
ELECTRIC
SVC
GM•02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
52.42
50014682
ELECTRIC
SVC
GM
02177
10/11
AP
03/29/11
0091315
IMPERIAL
IRRIGATION
DIST
4,932.14
VARIOUS
ELECTRIC
SVC
GM
02306
10/11
AP
04/05/11
0091571
IMPERIAL
IRRIGATION
DIST
51.14
`
50183030
ELECTRIC
GM
02306
10/11
AP
04/05/11
0091571
IMPERIAL
IRRIGATION
DIST
58.77
50186199
ELECTRIC
GM
02306
10/11
AP
04/06/11
0091571
IMPERIAL
IRRIGATION
DIST
61.32
50015007
ELECTRIC
GM
02306
10/11
AP
04/06/11
0091571
IMPERIAL
IRRIGATION
DIST
46.06
50015015
ELECTRIC
GM
02306
10/11
AP
04/07/11
0091571
IMPERIAL
IRRIGATION
DIST
628.78
50014295
ELECTRIC
GM
02306
10/11
AP
04/07/11
0091589
VERIZON
CALIFORNIA
43.07
360-5653
SIGNAL 4/7-5/6
GM
02306
10/11
AP
04/07/11
0091589
VERIZON
CALIFORNIA
38.10
771-9713
HWY111/WASHINGTON
GM
02507
11/11
AP
04/21/11
0091809
DESERT ELECTRIC
SUPPLY
136.75
S1809733001
TRFF SIGNAL
MATERIAL
GM
02403
10/11
AP
04/24/11
0091731
IMPERIAL
IRRIGATION
DIST
48.60
50464348
ELECTRIC
SIGNAL
GM
02403
10/11
AP
04/24/11
0091731
IMPERIAL
IRRIGATION
DIST
48.60
50464779
ELECTRIC
SIGNAL
GM
02538
11/11
AP
04/25/11
0091920
VERIZON
CALIFORNIA
39.16
771-2109
TRFF SIGNAL
4/25-5/24
GM
02403
10/11
AP
04/27/11.0091731
IMPERIAL
IRRIGATION
DIST
4,150.78
VARIOUS
ELECTRIC
SVC
GM
02538
11/11
AP
05/04/11
0091903
IMPERIAL
IRRIGATION
DIST
1,123.20
VARIOUS
ELECTRIC
SVC
GM
02588
11/11
AP
05/04/11
0091937
IMPERIAL
IRRIGATION
DIST
52.42
50186199
ELECTRIC
SVC
GM
02588
11/11
AP
05/04/11
0091937
IMPERIAL
IRRIGATION
DIST
44.78
50183030
ELECTRIC
SVC
GM
02588
11/11
AP
05/05/11
0091937
IMPERIAL
IRRIGATION
DIST
40.97
50015015
ELECTRIC
SVC
GM
02588
11/11
AP
05/05/11
0091937
IMPERIAL
IRRIGATION
DIST
49.87
50015007
ELECTRIC
SVC
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER ...-.-'VITY
LISTING 1
P„--.387
PROGRAM
GM362LA
CITY OF LA
---------------------------------------------------------------------------------------------------------------------------=--------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-04
Utilities
/ Electric-Signals
GM
02558
11/11
AP
05/06/11
0092013
JTB SUPPLY CO., INC.
356.70
93090
SIGNALS
GM
02588
11/11
AP
05/07/11
0091956
VERIZON CALIFORNIA
43.03
•
360-5653
SIGNAL
GM
02588
11/11
AP
05/07/11
0091956
VERIZON CALIFORNIA
38.06
771-9713
HWY111 WASHINGTON
GM
02588
11/11
AP
05/08/11
0091937
IMPERIAL IRRIGATION
DIST
628.78
50014295
ELECTRIC
GM
02740
12/11
AP
05/18/11
0092149
IMPERIAL IRRIGATION
DIST
4.11
50505993
TRFF SIGNAL
GM
02740
12/11
AP
05/25/11
0092160
VERIZON CALIFORNIA
39.12
771-2109
TRFF SIGNAL 5/25-6/24
GM
02740
12/11
AP
06/07/11
0092149
IMPERIAL IRRIGATION
DIST
5,370.96
VARIOUS
ELECTRIC SVC
GM
02870
12/11
AP
06/07/11
0092446
VERIZON CALIFORNIA
43.03
125491164895517
SIGNAL
GM
02870•
12/11
AP
06/07/11
0092446
VERIZON CALIFORNIA
38.06
125431143429525
HWY 111/WASHINGTON
GM
02870
12/11
AP
06/07/11
0092433
IMPERIAL IRRIGATION
DIST
683.89
VARIOUS
ELECTRIC
GM
03010
12/11
AP
06/20/11
0092607
CHECKMATE TELEPHONE
EXCHA
119.73
110602190101
PAGERS
GM
02916'
12/11
AP
06/21/11
0092467
IMPERIAL IRRIGATION
DIST
58.77
50464801
TRAFFIC
GM
02916
12/11
AP
06/21/11
0092467
IMPERIAL IRRIGATION
DIST
44.78
.50464779
TRAFFIC
GM
02916
12/11
AP
06/22/11
0092467
IMPERIAL IRRIGATION
DIST
49.87
50464348
TRAFFIC
GM
03010
12/11
AP
06/30/11
0092616
I,MPERIAL IRRIGATION
DIST
958.38
VARIOUS
ELECTRIC SVC
GM
03010
12/11
AP
06/30/11
0092616
IMPERIAL IRRIGATION
DIST
4,306.49
VARIOUS
ELECTRIC SVC
'
ACCOUNT
TOTAL
84,920.20 4,265.91
80,654.29
101-7004-431.41-07
Utilities
/ Electric-Medians
.00
GM
00522
03/11
AP
07/26/10
0088764
IMPERIAL IRRIGATION
DIST
4.11
50210851
ELECTRIC SVC
GM
00229
02/11
AP
07/29/10
0088413
IMPERIAL IRRIGATION
DIST
3,438.68
VARIOUS
ELECTRIC SVC
GM
00299
02/11
AP
08/04/10
0088538
IMPERIAL IRRIGATION
DIST
5.38
50428660
ELECTRIC SVC
GM
00299
02/11
AP
08/10/10
0088538
IMPERIAL IRRIGATION
DIST
551.57
VARIOUS
ELECTRIC SVC
GM
00439
03/11
AP
08/26/10
0088741
IMPERIAL IRRIGATION
DIST
9.49
VARIOUS
ELECTRIC SVC
GM
00439
03/11
AP
08/31/10
0088741
IMPERIAL IRRIGATION
DIST
2,569.41
.
VARIOUS
ELECTRIC SVC
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER ..-.:VITY
LISTING
P—.388
PROGRAM
GM362LA
CITY. OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-07
Utilities
/ Electric-Medians
GM
00522
03/11
AP
09/02/10
0088764
IMPERIAL
IRRIGATION
DIST
1,375.14
VARIOUS
ELECTRIC
SVC
GM
00522
03/11
AP
09/02/10
0088764
IMPERIAL
IRRIGATION
DIST
5.38
50428660
ELECTRIC
SVC
GM
00605
03/11
AP
09/06/10
0088932
IMPERIAL
IRRIGATION
DIST
5.38
•
50015075
ELECTRIC
SVC
GM
00605
03/11
AP
09/07/10
0088932
IMPERIAL
IRRIGATION
DIST
4.11
50427628
ELECTRIC
SVC
GM
00713
03/11
AP
09/24/100089111
IMPERIAL
IRRIGATION
DIST
636.10
VARIOUS
ELECTRIC
SVC
GM
00751
04/11
AP
10/04/10
0089135
IMPERIAL
IRRIGATION
DIST
3,332.27
VARIOUS
ELECTIC
SVC
GM
00931
04/11
AP
10/26/10
0089500
IMPERIAL
IRRIGATION
DIST
65.03
VARIOUS
ELECTRIC
SVC
GM
01033
05/11
AP
10/28/10.0.089522
IMPERIAL
IRRIGATION
DIST
3,332.60
REBATE
ELECTRIC
SVC
GM
01081
05/11
AP
11/02/10
0089684
IMPERIAL
IRRIGATION
DIST
5.38
50428660
ELECTRIC
GM
01081
05/11
AP
11/03/10
0089684
IMPERIAL
IRRIGATION
DIST
5.38
50015075
ELECTRIC
GM
01081
05/11
AP
11/04/10
0089684
IMPERIAL
IRRIGATION
DIST
4.11
50427628
ELECTRIC
GM
01081
05/11
AP
11/04/10
0089684
IMPERIAL
IRRIGATION
DIST
334.92
VARIOUS
ELECTRIC
GM
01210
06/11
AP
11/30/10
0089875
IMPERIAL
IRRIGATION
DIST
2,844.06
VARIOUS
ELECTRIC
SVC
GM
01253
06/11
AP
12/03/10
0089912
IMPERIAL
IRRIGATION
DIST
543.99
VARIOUS
ELECTRIC
SVC
GM
01368
06/11
AP
12/16/10
0090146
IMPERIAL
IRRIGATION
DIST
16.13
VARIOUS
ELECTRIC
SVC
GM
01547
07/11
AP
12/31/10
0090384
IMPERIAL
IRRIGATION
DIST
358.79
VARIOUS
ELECTRIC
SVC
GM
01547
07/11
AP
12/31/10
0090384
IMPERIAL
IRRIGATION
DIST
3,546.65
VARIOUS
ELECTRIC
SVC
GM
01568
07/11
AP
01/05/11
0090424
IMPERIAL
IRRIGATION
DIST
5.38
50428660
ELECTRIC
SVC
GM
01568
07/11
AP
01/06/11
0090424
IMPERIAL
IRRIGATION
DIST
5.38
50015075
ELECTRIC
SVC
GM
01568
07/11
AP
01/09/11
0090424
IMPERIAL
IRRIGATION
DIST
4.11
50427628
ELECTRIC
GM
01692
08/11
AP
01/19/11
0090601
IMPERIAL
IRRIGATION
DIST
42.23
50512456
ELECTRIC
SVC
GM
01692
08/11
AP
01/25/11
0090601
IMPERIAL
IRRIGATION
DIST
17,294.54
VARIOUS
ELECTRIC
SVC
GM
01692
08%11
AP
02/02/11
0090601
IMPERIAL
IRRIGATION
DIST
2,541.43
VARIOUS
ELECTRIC
SVC
GM
01909
09/11
AP
02/16/11
0090949
IMPERIAL
IRRIGATION
DIST
48.60
50512456
LANDSCAPE
ELECT
GM
01909
09/11
AP
02/17/11
0090949
IMPERIAL
IRRIGATION
DIST
4.11
PREPARED
----7/2014,
10:19:00
GENERAL LEDGER .._IVITY
LISTING
P—.389
PROGRAM
GM362LA
CITY.OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-=-------------------
NUMBER
PER.
CD
DATE
7--------------------------------------------------------------------------------------------------------------
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-07
Utilities
/ Electric -Medians
50506324
LANDSCAPE ELECT
GM
02022
09/11
AP
02/27/11
0091124
IMPERIAL
IRRIGATION
DIST
38.43
50425546
ELECTRIC
SVC
GM
01909
09/11
AP
02/28/11
0090949
IMPERIAL
IRRIGATION
DIST
747.19
VARIOUS
ELECTRIC
SVC
GM
02003
09/11
AP
03/07/11
0091080
IMPERIAL
IRRIGATION
DIST
2,175.54
VARIOUS
ELECTRIC
SVC
GM
02127
09/11
AP
03/07/11
0091282
IMPERIAL
IRRIGATION
DIST
5.38
50428660
ELECTRIC
SVC
GM
02127
09/11'
AP
03/08/11
0091282
IMPERIAL
IRRIGATION
DIST
5.38
50015075
ELECTRIC
SVC
GM
02127
09/11
AP
03/09/11
0091282
IMPERIAL
IRRIGATION
DIST
4.11
50427628
ELECTRIC
SVC
GM
02177
10/11
AP
03/17/11
0091315
IMPERIAL
IRRIGATION
DIST
9.19
50172258
ELECTRIC
SVC
GM
02177
10/11
AP
03/20/11
0091315
IMPERIAL
IRRIGATION
DIST
32.07
50512456
ELECTRIC
SVC
GM
02177
10/11
AP
03/21/11
0091315
IMPERIAL
IRRIGATION
DIST
4.11
50506324
ELECTRIC
SVC
GM
02177
10/11
AP
03/23/11
0091315
IMPERIAL
IRRIGATION
DIST
4.11
50514012
MEDIAN ELECTRIC SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
53.68'
' -
50427634
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
89.27
50425548
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
28.27
50425547
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
38.43
50425546
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
4.11
50210851
ELECTRIC
SVC
GM
02288
10/11
AP
03/27/11
0091542
IMPERIAL
IRRIGATION
DIST
6.65
50014823
ELECTRIC
SVC
GM
02177
10/11
AP
03/29/11
0091315
IMPERIAL
IRRIGATION
DIST
3,083.14
VARIOUS
ELECTRIC
SVC
GM
02306
10/11
AP
04/05/11
0091571
IMPERIAL
IRRIGATION
DIST
5.38
50428660
ELECTRIC
GM
02306
10/11
AP
04/06/11
0091571
IMPERIAL
IRRIGATION
DIST
5.38
50015075
ELECTRIC
GM
02306
10/11
AP
04/07/11
0091571
IMPERIAL
IRRIGATION
DIST
4.11
50427628
ELECTRIC
GM
02403
10/11
AP
04/18/11
0091731
IMPERIAL
IRRIGATION
DIST
28.27
50512456
ELECTRIC
SVC
GM
02403
10/11
AP
04/24/11
0091731
IMPERIAL
IRRIGATION
DIST
4.11
50514012
ELECTRIC
SVC
GM
02403
10/11
AP
04/27/11
0091731
IMPERIAL
IRRIGATION
DIST
3,825.50
VARIOUS
ELECTRIC
SVC
GM
02538
11/11
AP
04/28/11
0091903
IMPERIAL
IRRIGATION
DIST
4.11
50514012
ELECTRIC
SVC
PREPARED
,.7/2014, 10:19:00
GENERAL LEDGER ..._.:VITY
LISTING
P----390
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
:
---------------------------------
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
-------------------------------------------------
PER.
CD
DATE'
NUMBER D
E S C R I P
7----------------------------------------------------------------------------------
T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-07
Utilities
/ Electric -Medians
GM
02538
11/11
AP
05/04/11
0091903
IMPERIAL
IRRIGATION
DIST
599.18
VARIOUS
ELECTRIC
SVC
GM
02588
11/11
AP
05/05/11
0091937
IMPERIAL
IRRIGATION
DIST
5.38
50015075
ELECTRIC
SVC
GM
02588
11/11
AP
05/08/11
0091937
IMPERIAL•
IRRIGATION
DIST
4.11
50427628
ELECTRIC
GM
02740
12/11
AP
05/18/11
0092149
IMPERIAL
IRRIGATION
DIST
4.11
50506324
LANDSCAPE
GM
02740
12/11
AP
06/07/11
0092149
IMPERIAL
IRRIGATION
DIST
3,188.12
•
VARIOUS
ELECTRIC
SVC
GM
02870
12/11
AP
06/07/11
0092433
IMPERIAL
IRRIGATION
DIST
14.87
VARIOUS
ELECTRIC
CR
02816
12/11
CR
06/13/11
0021462
IID REFUND
1,242.77
MANCILLA
06/13/11
01
GM
02916
12/11
AP
06/21/11
0092467
IMPERIAL
IRRIGATION
DIST
61.32
50514012
IRRIGATION
GM
03010
12/11
AP
06/3.0/11
0092616
IMPERIAL
IRRIGATION
DIST
1,836.58
VARIOUS
ELECTRIC
SVC
GM
03010
12/11
AP
06/30/11
0092616
IMPERIAL
IRRIGATION
DIST
2,533.66
VARIOUS
ELECTRIC
SVC
ACCOUNT
TOTAL
61,393.09 1,242.77
60,150.32
101-7004-431.41-09
Utilities
/ Electric-SRock Entrance
.00
GM
00229
02/11
AP
07/29/10
0088413
IMPERIAL
IRRIGATION
DIST
17,777.07
VARIOUS
ELECTRIC
SVC
GM
00439
03/11
AP
08/31/10
0088741
IMPERIAL
IRRIGATION
DIST
20,476.56
VARIOUS
ELECTRIC
SVC
GM
00713
03/11
AP
09/24/10
0089111
IMPERIAL
IRRIGATION
DIST
14,856.56
VARIOUS
ELECTRIC
SVC
GM
01033
05/11
AP
10/28/10
0089522
IMPERIAL
IRRIGATION
DIST
11,398.70
REBATE
ELECTRIC
SVC
GM
01081
05/11
AP
11/04/10
0089684
IMPERIAL
IRRIGATION
DIST
5.38
VARIOUS
ELECTRIC
GM
01210
06/11
AP
11/30/10
0089875
IMPERIAL
IRRIGATION
DIST
12,952.63
VARIOUS
ELECTRIC
SVC
,
GM
01547
07/11
AP
12/31/10
0090384
IMPERIAL
IRRIGATION
DIST
15,195.75
VARIOUS
ELECTRIC
SVC
GM
01692
08/11
AP
01/25/11
0090601
IMPERIAL
IRRIGATION
DIST
270.21
VARIOUS
ELECTRIC
SVC
GM
01909
09/11
AP
02/28/11
0090949
IMPERIAL
IRRIGATION
DIST
15,094.81
VARIOUS
ELECTRIC
SVC
t
GM
02177
10/11
AP
03/29/11
0091315
IMPERIAL
IRRIGATION
DIST
16,772.57
VARIOUS
ELECTRIC
SVC
GM
02403
10/11
AP
04/27/11
0091731
IMPERIAL
IRRIGATION
DIST
17,123.41
VARIOUS
ELECTRIC
SVC
GM
02740
12/11
AP
06/07/11
0092149
IMPERIAL
IRRIGATION
DIST
19,014.69
VARIOUS
ELECTRIC
SVC
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER .._.1VITY LISTING P____391
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.41-09 Utilities / Electric-SRock Entrance
GM 03031 12/11 AP 06/16/11 0092852 IMPERIAL IRRIGATION DIST 18,650.28
50281613 SRR ENTRANCE
GM 03047 12/11 AJ 06/30/11 AJE 12-072 ACCRUED REVENUE FY 10/11 3,538.04
GM 03010 12/11 AP 06/30/11 0092616 IMPERIAL• IRRIGATION DIST 406.37
VARIOUS ELECTRIC SVC
ACCOUNT TOTAL 179,994.99 3,538.04
101-7004-431.41-10 Utilities / Electric-SilverRock Other
ACCOUNT TOTAL
101-7004-431.41-19
Utilities / Water -Medians
GM
00229
02/11
AP
07/29/10 0088405
COACHELLA
VALLEY
WATER
DI
493.42
VARIOUS
WATER SVC
GM
00299
02/11
AP
08/02/10 0088532
COACHELLA
VALLEY
WATER
DI
22.09
114655329660
WATER SVC
GM
00299
02/11
AP
08/02/10 0088532
COACHELLA
VALLEY
WATER
DI
39.60
278563737672
WATER SVC
GM
00299
02/11
AP
08/03/10 0088532
COACHELLA
VALLEY
WATER
DI
48.29
277189736176
WATER SVC
GM
00299
02/11
AP
08/05/10 0088532
COACHELLA
VALLEY
WATER
DI
28.01
260001681188
WATER SVC
GM
00346
02/11
AP
08/18/10 0088560
COACHELLA
VALLEY
WATER
DI
1,198.45
VARIOUS
WATER SVC
GM
00346
02/11
AP
08/18/10 0088560
COACHELLA
VALLEY
WATER
DI
22-,730.41
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/26/10 0088734
COACHELLA
VALLEY
WATER
DI
868.56
VARIOUS
WATER SVC
GM
00439
03/11
AP
08/31/10.0088734
COACHELLA
VALLEY
WATER
DI
29,680.43
VARIOUS
WATER SVC
GM
00522
03/11
AP
09/02/10 0088756
COACHELLA
VALLEY
WATER
DI
40.28
278563737672
WATER SVC
GM
00522
03/11
AP
09/02/10 0088756
COACHELLA
VALLEY
WATER
DI
21.24
114655329660
WATER SVC
GM
00605
03/11
AP
09/03/10 0088925
COACHELLA
VALLEY
WATER
DI
59.33
277189736176
WATER SVC
GM
00605
03/11
AP
09/08/10 0088925
COACHELLA
VALLEY
WATER
DI
116.44
308689839748
WATER SVC
GM
Ob605
03/11
AP
09/08/10 0088925
COACHELLA
VALLEY
WATER
DI
100.76
168003461384
WATER SVC
GM
00605
03/11
AP
09/16/10 0088925
COACHELLA
VALLEY
WATER
DI
2,235.84
VARIOUS
WATER SVC
GM
00713
03/11
AP
09/27/10 0089108
COACHELLA
VALLEY
WATER
DI
28,081.03
VARIOUS
WATER SVC
GM
00751
04/11
AP
09/30/10 0089128
COACHELLA
VALLEY
WATER
DI
39.16
278563737672
WATER SVC
176,456.95
.00
.00
.00
PREPARED
-..-7/2014, 10:19:00
GENERAL LEDGER
--.1VITY
LISTING
P—.392
PROGRAM
GM362LA
CITY OF LA
---------------------------------------------------------------------------•---------------------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-------------------------------------------------•-----------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P
T I O N
DEBITS CREDITS
BALANCE
101-7004-431.41-19
Utilities / Water-Medians
GM
00751
04/11
AP
09/30/10 0089128
COACHELLA
VALLEY
WATER
DI
22.36
114655329660
WATER SVC
GM
01033
05/11
AP
10/19/10 0089519
COACHELLA
VALLEY
WATER
DI
836.42
315887848414
WATER SVC
GM
00931
04/11
AP
10/26/10 0089489
COACHELLA
VALLEY
WATER
DI
10,430.62
VARIOUS
WATER SVC
GM
01081
05/11
AP
10/27/10 0089675
COACHELLA
VALLEY
WATER
DI
27.96
278563727672
WATER SVC
GM
01081
05/11
AP
10/27/10 0089675
COACHELLA
VALLEY
WATER
DI
21.24
114655329660
WATER SVC
GM
01081
05/11
AP
11/04/10 0089675
COACHELLA
VALLEY
WATER
DI
43.64
277189736176
WATER SVC
GM
01081
05/11
AP
11/04/10 0089675
COACHELLA
VALLEY
WATER
DI
.11,330.46
•
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/18/10 0089871
COACHELLA
VALLEY
WATER'DI
11918.40
VARIOUS
WATER SVC
GM
01210
06/11
AP
11/30/10 0089871
COACHELLA
VALLEY
WATER
DI
12,467.82
•VARIOUS
WATER SVC
GM
01210'
06/11
AP
11/30/10 0089871
COACHELLA
VALLEY
WATER
DI
5,781.70
VARIOUS
WATER SVC
GM
01335
06/11
AP
12/02/10 0090089
COACHELLA
VALLEY
WATER
DI
25.72
27.8563737672
WATER SVC
GM
01335
06/11
AP
12/02/10 0090089
COACHELLA
VALLEY
WATER
DI
21.24
114655329660
WATER SVC
•GM
01335
06/11
AP
12/03/10 0090089
COACHELLA
VALLEY
WATER
DI
39.16
277189736176
WATER SVC
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA
VALLEY
WATER
DI
30.22
257781677776
WATER SVC
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA
VALLEY
WATER
DI
111.96
308219839234
WATER SVC
GM
01368
06/11
AP
12/09/10 0090140
COACHELLA
VALLEY
WATER
DI
53.72
308689839748
WATER SVC
GM
01368
06/11
AP
12/10/10 0090140
COACHELLA
VALLEY
WATER
DI
19.00
309445840576
WATER SVC
GM
01368
06/11
AP
12/10/10 0090140
COACHELLA
VALLEY
WATER
DI
50.36
110311324722
WATER SVC
GM
01368
06/11
AP
12/16/10 0090140
COACHELLA
VALLEY•WATER
DI
1,721.88
VARIOUS
WATER SVC
GM
01368
06/11
AP
12/16/10 0090140
COACHELLA
VALLEY
WATER
DI
2,924.90
VARIOUS
WATER SVC
GM
01547
07/11
AP
12/17/10 0090372
COACHELLA
VALLEY
WATER
DI
13.30
331199305676
WATER-LNDSCP
GM
01547
07/11
AP
12/17/10 0090372
COACHELLA
VALLEY
WATER
DI
16.45
•
331193850894
WATER - LNDSCP
GM
01420
07/11.
AP
12/27/10 0090251
COACHELLA
VALLEY
WATER
DI
5,948.36
VARIOUS
WATER SVC
GM
01547
07/11
AP
12/29/10 0090372
COACHELLA
VALLEY
WATER
DI
22.36
278563737672
WATER SVC
GM
01547
07/11
AP
12/29/10 0090372
COACHELLA
VALLEY
WATER
DI
19.00
PREPARED._.__7/2014,
10:19:00
GENERAL LEDGER
.._.JVITY
LISTING
P...___393
PROGRAM
GM362LA
CITY OF LA QUINTA,
CALIFORNIA
---------7--------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER *
D E S C R I P
T I O
N
DEBITS CREDITS
BALANCE
101-7004-431.41-19
Utilities / Water -Medians
114655329660
WATER SVC
GM
01547
07/11
AP
01/06/11 0090372
COACHELLA
VALLEY
WATER
DI
31.32
277189736176
WATER SVC
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
117.00
257849677888
WATER
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
50.36
168003461384
WATER
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
9.24
259947681116
WATER
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
15.96
260001681188
WATER
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
38.04
166785459982
WATER
GM
01568
07/11
AP
01/07/11 0090418
COACHELLA
VALLEY
WATER
DI
89.00
167389460690
WATER
GM
01547
07/11
AP
O1/10/11 0090372
COACHELLA
VALLEY
WATER
DI
10,970.83
VARIOUS
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI
45.88
110311324722
WATER SVC
GM
01568
07/31
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI.
77.24
308219839234
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI
33.58
257781677776
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI
43.64
308689839748
WATER SVC
GM
01568
07/11
AP
O1/10/11 0090418
COACHELLA
VALLEY
WATER
DI
65.97
257777677762
WATER SVC
GM
01568
07/11
AP
O1/11/11 0090418
COACHELLA
VALLEY
WATER
DI
105.24
108645316538
WATER
GM
01568
07/11
AP
O1/11/11 0090418
COACHELLA
VALLEY
WATER
DI
19.00
'
309445840576
WATER
GM
01568
07/11
AP
O1/11/11 0090418
COACHELLA
VALLEY
WATER
DI
120.78
331199305676
WATER -LANDSCAPE
GM
01568
07/11
AP
O1/11/11 0090418
COACHELLA
VALLEY
WATER
DI
371.47
331193850894
WATER -LANDSCAPE
GM
01692
08/11
AP
01/26/11 0090592
COACHELLA
VALLEY
WATER
DI
20.12
114655329660
WATER SVC
GM
01692
08/11
AP
01/26/11 0090592
COACHELLA
VALLEY
WATER
DI
22.36
278563737672
WATER SVC
GM
01692.
08/11
AP
02/01/11 0090592
COACHELLA
VALLEY
WATER
DI
13,996.99
VARIOUS
WATER SVC
GM
01793
08/11
AP
02/02/11 0090773
COACHELLA
VALLEY
WATER
DI
7.00
259947681116
WATER SVC
GM
01793
08/11
AP
02/03/11 0090773
COACHELLA
VALLEY
WATER
DI
44.76
257849677888
WATER SVC
GM
01793
08/11
AP
02/03/11 0090773
COACHELLA
VALLEY
WATER
DI
42.52
168003461384
WATER SVC
GM
01793
08/11
AP
02/03/11 0090773
COACHELLA
VALLEY
WATER
DI
68.28
108645316538
WATER SVC
PREPARED
-.--7/2014, 10:19:00
GENERAL LEDGER
.._.IVITY
LISTING
P---_394
PROGRAM
GM362LA
CITY OF
------------------------------------------------------------------------------------------------------------------------------------
LA QUINTA,
CALIFORNIA
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
---------------------------------------------------------------------------•---------------------------------------------------------
CD
DATE NUMBER
D E S C R I P
T I O
N
DEBITS CREDITS
BALANCE
101-7004-431.41-19
Utilities / Water -Medians
GM
01793
08/11
AP
02/03/11 0090773
COACHELLA
VALLEY
WATER
DI
13.72
260001681188
WATER SVC
GM
01793
08/11
AP
02/03/11 0090773
COACHELLA
VALLEY
WATER
DI
19.00
309445840576
WATER SVC
GM
01793
08/11
AP
02/07/11 0090773
COACHELLA
VALLEY
WATER
DI
24.60
277189736176
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
11.86
331199305676
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
120.17
331193850894
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
26.84
308219839234
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
32.46
257781677776
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
44.76
167389460690
WATER SVC
GM
01793
08/11
AP
02/08/11 0090773
COACHELLA
VALLEY
WATER
DI
48.12
•
166785459982
WATER SVC
GM
01793
08/11
AP
02/09/11 0090773
COACHELLA
VALLEY
WATER•DI
35.80
308689839748
WATER SVC
GM
01793
08/11
AP
02/09/11 0090773
COACHELLA
VALLEY
WATER
DI
43.64
110311324722
WATER SVC
GM
01909
09/11
AP
02/28/11 0090943
COACHELLA
VALLEY
WATER
DI
10,697.02
VARIOUS
WATER SVC
GM
02022
09/11
AP
03/07/11 0091113
COACHELLA
VALLEY
WATER
DI
40.28
110311342722
WATER SVC
GM
02022
09/11
AP
03/08/11 0091113
COACHELLA
VALLEY
WATER
DI
40.28
308689839748
WATER SVC
GM
02127
09/11
AP
03/09/11 0091277
COACHELLA
VALLEY
WATER
DI
3,076.71
315097847624
WATER SVC
GM
02127
09/11
AP
03/11/11 0091277
COACHELLA
VALLEY
WATER
DI
577.27
315887848414
WATER SVC
GM
02127
09/11
AP
03/11/11 0091277
COACHELLA
VALLEY
WATER
DI
6,115.40
315199847726
WATER SVC
GM
02022
09/11
AP
03/16/11 0091113
COACHELLA
VALLEY
WATER
DI
716.32
VARIOUS
WATER SVC
GM
02177
10/11
AP
03/22/11 0091304
COACHELLA
VALLEY
WATER
DI
39.12
114655329660
WATER SVC
GM
02177
10/11
AP
03/22/11 0091304
COACHELLA
VALLEY
WATER
DI
44.72
278563737672
WATER SVC
GM
02288
10/11
AP
03/30/11 0091528
COACHELLA
VALLEY
WATER
DI
30.20
277189736176
WATER SVC
GM
02288
10/11
AP
03/31/11 0091528
COACHELLA
VALLEY
WATER
DI
26.84
331199305676
WATER SVC
GM
02288
10/11
AP
03/31/11 0091528
COACHELLA
VALLEY
WATER
DI
116.46
331193850894
WATER SVC
GM
02288
10/11
AP
03/31/11 0091528
COACHELLA
VALLEY
WATER
DI
8.12
259947681116
WATER SVC
GM
02288
10/11
AP
03/31/11 0091528
COACHELLA
VALLEY
WATER
DI
125.40
PREPARED
----7/2014, 10:19:00
GENERAL LEDGER ___.VITY
LISTING
P..___395
PROGRAM
GM362LA
CITY OF LA
---
QUINTA,
CALIFORNIA
---------
FUND 101
-----
General
-------•--------------
Fund
----------------
------
------
---------
--------------------------------------------
--------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.'
CD
DATE NUMBER
D E S C R I P
T I O
N
DEBITS CREDITS
BALANCE
101-7004-431.41-19
Utilities / Water -Medians
,
257849677888
WATER SVC
GM
02288
10/11
AP
04/01/11 0091528
COACHELLA
VALLEY
WATER
DI
60.44
166785459982
WATER SVC
•
GM
02288
10/11
AP
04/01/11 0091528
COACHELLA
VALLEY
WATER
DI
41.40
•
167389460690
WATER SVC
GM
02288
10/11
AP
04/01/11 0091528
COACHELLA
VALLEY
WATER
DI
54.84
168003461384
WATER SVC
GM
02288
10/11
AP
04/04/11.0091528
COACHELLA
VALLEY
WATER
DI
32.46
257781677776
WATER SVC
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA
VALLEY
WATER
DI
69.40
108645316538
WATER SVC
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA
VALLEY
WATER
DI
93.48
308219839234
WATER SVC
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA
VALLEY
WATER
DI
37.24
260001681188
WATER -SVC
GM
02288
10/11
AP
04/04/11 0091528
COACHELLA
VALLEY
WATER
DI
19.00
309445840576
WATER SVC
GM
02288
10/11
AP
04/06/11 0091528
COACHELLA
VALLEY
WATER
DI
48.12
110311324722
WATER SVC
GM
0-2288
10/11
AP
04/06/11 0091528
COACHELLA
VALLEY
WATER
DI
68.28
.
308689839748
WATER SVC
GM
02306
10/11
AP
04/08/11 0091566
COACHELLA
VALLEY
WATER
DI
3,398.68
315097847624
WATER SVC
GM
02306
10/11
AP
04/20/11 0091566
COACHELLA
VALLEY
WATER
DI
9,136.45
VARIOUS
WATER SVC
GM
02538
11/11
AP
04/27/11 0091892
COACHELLA
VALLEY
WATER
DI
4.48
278563737672
WATER SVC
GM
02538
11/11
AP
04/27/11 0091892
COACHELLA
VALLEY
WATER
DI
7.00
259947681116
WATER SVC
GM
02538
11/11
AP
04/28/11 0091892
COACHELLA
VALLEY
WATER
DI
36.12
260001681188
WATER SVC
GM
02538
11/11
AP
05/02/11.0091892
COACHELLA
VALLEY
WATER
DI
35.80
277189736176
WATER SVC
GM
02538
11/11
AP
05/04/11.0091892
COACHELLA
VALLEY
WATER
DI
77.24
108645316538
WATER SVC
GM
02538
11/11
AP
05/04/11 0091892
COACHELLA
VALLEY
WATER'DI
29.64
331199305676
WATER SVC
GM
02538
11/11
AP
05/04/11 0091892
COACHELLA
VALLEY
WATER
DI
157.90
331193850894
WATER SVC
GM
02538
11/11
AP
05/04/11 0091892
COACHELLA
VALLEY
WATER
DI
152.28
257849677888
WATER SVC
GM
02645
11/11
AP
05/06/11 0092079
COACHELLA
VALLEY
WATER
DI
31335.96
315097847624
WATER SVC
GM
02645
11/11
AP
05/12/11 0092079
COACHELLA
VALLEY
WATER
DI
16,549.66
315199847726
WATER SVC
GM
02588
11/11
AP
05/18/11 0091930
COACHELLA
VALLEY
WATER
DI
458.34
VARIOUS
WATER SVC
GM
02740
12/11
AP
05/25/11 0092141
COACHELLA.VALLEY
WATER
DI
27.96
.
114655329660
WATER SVC
PREPARED _-7/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING
P..___396
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund
BEGINNING.
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER D E
S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-7004-431.41-19
Utilities / Water -Medians
GM 02740 12/11 AP
05/25/11 0092141
COACHELLA VALLEY WATER
DI
29.08
278563737672
WATER SVC
GM 02808 12/11 AP
06/03/11 0092310
COACHELLA VALLEY WATER
52.92
260001-681188
WATER
GM 02808 12/11 AP
06/06/11 0092310
COACHELLA VALLEY WATER
7.00
259947-681116
WATER
GM 02870 12/11 AP
06/10/11 0092427
COACHELLA VALLEY WATER
DI
226.98
a
342745-854394
IRRIGATION
GM 03010 12/11 AP
06/10/11 0092609
COACHELLA VALLEY WATER
DI
3,718.45
315097847624
WATER SVC
GM 03010 12/11 AP
06/13/11 0092609
COACHELLA VALLEY WATER
DI
72.76
278545737654
LANDSCAPE MEDIAN
GM 02948 12/11 AP
06/17/11 0092480
COACHELLA VALLEY WATER
2,682.47
315887848414
WATER
GM 02948 12/11 AP
06/17/11 0092480
COACHELLA VALLEY WATER
1,778.70
315273847800
WATER
GM 03010 12/11 AP
06/17/11 0092609
COACHELLA VALLEY WATER
DI
22,078.99
315199847726
WATER SVC
GM 03010 12/11 AP
06/20/11 0092609
COACHELLA VALLEY WATER
DI
11138.85
VARIOUS
WATER SVC
GM 03047 12/11 AJ
06/30/11 AJE 12-072
ACCRUED REVENUE FY 10/11
435.00
GM 03047 12/11 AJ
06/30/11 AJE 12-072
ACCRUED REVENUE FY 10/11
137.00
ACCOUNT TOTAL
253,901.65
572.00
253,329.65
101-7004-431.41-20
Utilities / Water-SilverRock
.00
ACCOUNT TOTAL
.00
101-7004-431.41-22
Utilities / Telephone
.00
ACCOUNT TOTAL
.00
101=7004-431.41-30
Utilities / Security &
Alarm
.00
GM 01629 07/11 AP
01/08/11 0090553
ADT SECURITY SERVICES
632.48
39644633
FEB111-JAN112 ALARM
GM 01841• 08/11 AP
02/05/11 0090913
ADT SECURITY SERVICES
390.53
41534857
MAR -MAY SECURITY
•ACCOUNT TOTAL
1,023.01
1,023.01
101-7004-431.43-67
Maintenance & Repair /
Traffic Signals
.00
ACCOUNT TOTAL
.00
PREPARED —.7/2014, 10:19:00 GENERAL LEDGER ..._.1VITY LISTING P—.397
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.43-70 Maintenance & Repair / Palm Trees
GM
00367
03/11
AP
08/12/10
0088897
TESERRA
07/08/10 0088006
ALSCO INC
32551
TREE MAINT
GM
00437
03/11
AP
08/12/10
0088897
TESERRA
32550
UNIFORM RENTAL
TREE MAINT
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
LYUM386836
UNIFORM RENTAL
33591
00286
TREE R&R
GM
02987
12/11
AP
05/27/11
0092572
TESERRA
LYUM389168
UNIFORM RENTAL
GM
OD350
33597
AP
PALM TREES
ACCOUNT TOTAL
101-7004-431.43-76 Maintenance & Repair / Medians
ACCOUNT TOTAL
101-7004-431.43-86 Maintenance & Repair / LED Signal Conversion
ACCOUNT TOTAL
101-7004-431.44-01 Contract Services / Equipment Rental
GM 00725 04/11 AP 09/30/10 0089172 CLAIREMONT EQUIPMENT
45200201 EQUIPMENT RENTAL
ACCOUNT TOTAL
101-7004-431.44-07
Contract Services
/ Uniform Rental
GM
00023
01/11
AP
07/08/10 0088006
ALSCO INC
LYUMS79835
UNIFORM RENTAL
GM
00275
02/11
AP
07/15/10 0088450
ALSCO INC
LYUM382191
UNIFORM RENTAL
GM
00274
02/11
AP
07/29/10 0088450
ALSCO INC
LYUM386836
UNIFORM RENTAL
GM
00286
02/11
AP
08/05/10 0088604
ALSCO INC
LYUM389168
UNIFORM RENTAL
GM
OD350
02/11
AP
08/12/10 0088604
ALSCO INC
LYUM391648
UNIFORM RENTAL
GM
00367
03/11
AP
08/19/10 0088781
ALSCO INC
LYUM394012
UNIFORM RENTAL
GM
00437
03/11
AP
08/26/10 0088781
ALSCO INC
LYUM396454
UNIFORM RENTAL
GM
00514
03/11
AP
09/02/10 0088781
ALSCO INC
LYUM398936
UNIFORM RENTAL
GM
00581
03/11
AP
09/09/10 0088781
ALSCO INC
LYUM401355
UNIFORM RENTAL
GM
00624
03/11
AP
09/16/10 0088977
ALSCO INC
895.00
495.00
4,246.00
13,950.00
19,586.00
57.00
57.00
17.57
5.57
25.09
4.60
32.57
5.09
5.57
5.08
4.60
24.10
.00
19,586.00
.00
.00
.00
.00
.00
57.00
.00
PREPARED
7/2014, 10:19:00
GENERAL LEDGER At.;ilVITY
.LISTING
PAGE1398
.PROGRAM
GM362LA
,
CITY OF LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.44-07
Contract Services
/ Uniform Rental
LYUM403772
UNIFORM RENTAL
GM
00712
04/11
AP
09/23/10 0089155
ALSCO INC
21.84
LYUM406347
UNIFORM RENTAL
GM
00725
04/11
AP
09/30/10 0089155
ALSCO INC
12.81
LYUM408783
UNIFORM RENTAL
GM
00846
04/11
AP
10/07/10 0089373
ALSCO INC
34.84
LYUM411328
UNIFORM RENTAL
GM
00914
04/11
AP
10/14/10 0089373
ALSCO INC
3.31
LYUM413808
UNIFORM RENTAL
GM
01001
05/11
AP
10/21/10 0089542
ALSCO INC
11.84
•
LYUM416457
UNIFORM RENTAL
GM
01001
05/11
AP
10/28/10 0089542
ALSCO INC
10.84
LYUM419010
UNIFORM RENTAL
GM
01048
05/11
AP
11/04/10 0089542
ALSCO INC
12.00
LYUM421578
UNIFORM RENTAL
GM
01246
06/11
AP
11/11/10 0089927
ALSCO INC
22.33
LYUM424195
UNIFORMS
GM
01181
06/11
AP
11/25/10 0089927
ALSCO INC
2.33
LYUM429379
UNIFORM RENTAL
GM
01272
06/11
AP
12/02/10 0089927
ALSCO INC
2.33
LYUM432031
UNIFORM RENTAL
GM
01560
07/11
AP
12/09/10 0090443
ALSCO INC
11.34
LYUM434691
UNIFORM RENTAL
GM
01478
07/11
AP
12/16/10 0090277
ALSCO INC
12.82
LYUM437358
UNIFORM RENTAL
GM
01560
07/11
AP
12/23/10 0090443
ALSCO INC
11.84
LYUM439783
UNIFORM RENTAL
GM
01560
07/11
AP
12/30/10 0090443
ALSCO INC
11.84
LYUM442455
UNIFORM RENTAL
GM
01560
07/11
AP
01/02/11 0090443
ALSCO INC
3.80
LYUM447653
UNIFORM RENTAL
GM
01560
-07/11
AP
01/06/11 0090443
ALSCO INC
12.33
LYUM444966
UNIFORM RENTAL
GM
01632
08/11
AP
01/20/11 0090620
ALSCO INC
11.83
LYUM449955
UNIFORM RENTAL
GM
01704
08/11
AP
01/28/11 0090620
ALSCO INC
17.26
LYUM452777
UNIFORM RENTAL
GM
01787
08/11
AP
02/04/11 0090810
ALSCO INC
8.87
LYUM455064
UNIFORM RENTAL
GM
01804
08/11
AP
02/11/11 0090810
ALSCO INC
20.35
LYUM457514
UNIFORM RENTAL
GM
01903
09/11
AP
02/18/11 0090969
ALSCO INC
10.85
LYUM459913
UNIFORM RENTAL
GM
01903
09/11
AP
02/25/11 0090969
ALSCO INC
13.00
LYUM462389
UNIFORM RENTAL
GM
02154
10/11
AP
03/11•/11 0091362
ALSCO INC
13.87
LYUM467214
UNIFORM RENTAL
GM
02154
•10/11
AP
03/18/11 0091362
ALSCO INC
9.49
LYUM469572
UNIFORM RENTAL
PREPARED
L7/2014,
10:19:00
GENERAL'LEDGER
At;iIVITY LISTING
PAGE1399
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
--------------------------------------'---------------------------------------------------------------------------=------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
------------------------------------------------------
BALANCE.
----
101-7004-431.44-07
Contract Services / Uniform Rental
GM 02154
10/11
AP
03/25/11 0091362
ALSCO INC
11.99 "
LYUM472027
UNIFORM RENTAL
GM 02248
10/11
AP
04/01/11 0091362
ALSCO INC
6.40 ,
LYUM474393
UNIFORM RENTAL
GM 02302
.10/11
AP
04/08/11 0091593
ALSCO INC
11.99
LYUM476809
UNIFORM RENTAL
GM 02316
10/11
AP
04/15/11 0091593
ALSCO INC
10.94
-
LYUM479132
UNIFORM RENTAL
GM 02424
11/11
AP
04/22/11 0091787
ALSCO INC
11.99
LYUN481533
UNIFORM RENTAL
GM 02507
11/11
AP
04/29/11 0091787
ALSCO INC
1.1.99
LYUM483788
UNIFORM RENTAL
GM 02628
11/11
AP
05/06/11 0091960
ALSCO INC
11.99
LYUM486193
UNIFORM RENTAL
GM 02628
11/11
AP
05/13/11 0091960
ALSCO INC
11.99
LYUM488452
UNIFORM RENTAL
GM 02735
12/11
AP
05/20/11 0092167
ALSCO INC
1.0.90
LYUM490803
UNIFORM RENTAL
GM 02728
12/11
AP
05/27/11 0092167
ALSCO INC
6.49
LYUM492959
UNIFORM RENTAL
GM 02787
12/11
AP
06/03/11 0092167
ALSCO INC
88.94
LYUM495181
UNIFORM RENTAL
GM 02865
12/11
AP
06/10/11 0092346
ALSCO INC
8.94
LYUM497412
UNIFORM RENTAL
GM 02987
12/11
AP
06/17/11 0092497
ALSCO INC
7.97
LYUM499677
UNIFORM RENTAL
GM 02997
12/11
AP
0.7/01/11 0092497
ALSCO INC
13.25
•
LYUM504051
UNIFORM RENTAL
ACCOUNT TOTAL
659.57
65.9.57
101-7004-431.51-01
Services & Supplies /
Travel & Training
.00
GM 00823
04/11
AP
10/04/10 0089276
TRAINING NETWORK, THE
213.90
IN -2046
TRAINING MATERIAL
GM 01048
05/11
AP
11/03/10 0089652
SILVERROCK RESORT
17.00
97829622
OCT110 SALES TAX
ACCOUNT TOTAL
230.90
230.90
101-7004-431.51-02
Services & Supplies /
Vehicle Reimbursement
.00
.ACCOUNT TOTAL
.00
101-7004-431.51-03
Services & Supplies /
Mileage Reimbursement
.00
ACCOUNT TOTAL
.00
PREPARED 17/2014, 10:19:00 GENERAL LEDGER mLiIVITY LISTING PAGE1400
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- '/ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------•-----------------------------------------------------------------------------------------
101;7004-431.53-01 Services & Supplies / Printing
ACCOUNT TOTAL
101-7004-431.53-03 Services & Supplies / Membership Dues
ACCOUNT TOTAL
101-7004-431.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
101.7004-431.53-05 Services & Supplies / Training & Education
'ACCOUNT TOTAL
101-7004-431.54-01 Information Technology / Information Tech Chgs
ACCOUNT TOTAL
101-7004-431.56-01 Services &.Supplies / Office Supplies
ACCOUNT TOTAL
101-7004-431.56-02
Services
& Supplies
/ Operating Supplies
GM
00319
02/11
AP
08/03/10
0088706
VINTAGE ASSOCIATES
141.95
SI -86127
PLANT REPLACEMENT
GM
00319
02/11
AP
08/04/10
0088706
VINTAGE ASSOCIATES
141.94
SI -86177
PLANT REPLACEMENT
GM
00490
03/11
AP
08/12/10
0088910
VINTAGE ASSOCIATES
81.11
SI -86236
PLANT RPLCMNT
GM
00490
03/11
AP
08/16/10
0088910
VINTAGE ASSOCIATES
81.11
SI -86248
PLANT RPLCMNT
GM
00823
04/11
AP
09/24/10
0089282
VINTAGE ASSOCIATES
62.72
SI -86929
PLANT REPLACEMENT
GM
00823
04/11
AP
09/30/10
0089282
VINTAGE ASSOCIATES
181.20
SI -87126
PLANT REPLACEMENT
GM
01001
05/11
AP
10/14/10
0089668
VINTAGE ASSOCIATES
192.64
SI -87518
PLANT RPLCMT
GM
01161
05/11
AP
10/28/10
0089855
VINTAGE ASSOCIATES
40.55
SI -88282
PLANTS
GM
01161
05/11
AP
11/10/10
0089855•
VINTAGE ASSOCIATES
50.69
SI -89127
PLANTS
GM
01262
06111
AP
11/10/10
0090075
VINTAGE ASSOCIATES
14.13
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
:7/2014,
10:19:00
GENERAL LEDGER A6ilVITY
LISTING
PAGE1401
PROGRAM
GM362LA
CITY OF LA ,QUINTA, CALIFORNIA
------------------------------------------
101
General
Fund
-------------------------------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER,
--------------------------------------'----------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-02
Services
& Supplies
/ Operating Supplies
SI -89182
PLANT REPLACEMENT
GM
01262
06/11
AP
11/16/10
0090075
VINTAGE ASSOCIATES
86.13
SI -89496
PLANT REPLACEMENT
GM
01262
06/11
AP
11/23/10
0090075
VINTAGE ASSOCIATES
101.39
SI -89863
PLANT REPLACEMENT
GM
01262
06/11
AP
11/29/10
0090075
VINTAGE ASSOCIATES
141.94
SI -90189
PLANT REPLACEMENT
GM
01262
06/11
AP
12/01/10
0090075
VINTAGE ASSOCIATES
72.17
SI -90274
PLANT REPLACEMENT
GM
01560
07/11
AP
12/02/10
0090547
VINTAGE ASSOCIATES
131.79
SI -90436
PLANT RPLCMNT
GM
01272
06/11
AP
12/03/10
0090048
SILVERROCK RESORT
48.00
97829622
NOV110 SALES TAX
GM
01560
07/11
AP
12/03/10
0090547
VINTAGE ASSOCIATES
34.34
SI -90527
PLANT RPLCMNT
GM
02616
11/11
AP
12/07/10
00920'65
VINTAGE ASSOCIATES
60.83
•
SI -91193
PLANTS
GM
01571
07/11
AP
01/06/11
0090547
VINTAGE ASSOCIATES
30.42
SI -92002
.PLANT REPLACEMENT
GM
01571
07/11
AP
O1/11/11
0090547
VINTAGE ASSOCIATES
70.97
SI -92134
PLANT'REPLACEMENT
GM
01571
07/11
AP
01/14/11
0090547
VINTAGE ASSOCIATES
234.90
SO -19078
PLANT REPLACEMENT
GM
01703
08/11
AP
01/19/11
0090726
VINTAGE ASSOCIATES
60.83
SI -92401
PLANT RPLCMT
GM
01703
08/11
AP
01/25/11
0090726
VINTAGE ASSOCIATES
234.90
SI -92795
PLANT RPLCMT
GM
01703
08/11
AP
01/28/11
0090726
VINTAGE ASSOCIATES
93.63
SI -92966
PLANT RPLCMT
GM
01768
08/11
AP
02/02/11
0090910
VINTAGE ASSOCIATES
120.94
SI -93166
PLANTS
GM
01768
08/11
AP
02/02/11
0090910
VINTAGE ASSOCIATES
81.11
SI -93178
PLANTS
GM
01878
09/11
AP
02/09/11
0091055
VINTAGE ASSOCIATES
163.42
SI -93474
PLANT RPLCMNT
GM
01878
09/11
AP
Q2/10/11
0091055
VINTAGE ASSOCIATES
70.97
SI -93532
PLANT RPLCMNT
GM
01878
09/11
AP
02/17/11
0091055
VINTAGE ASSOCIATES
202.76
SI -93918
PLANT RPLCMNT
GM
02045
09/11
AP
02/23/11
0091265
VINTAGE ASSOCIATES
125.26
SI -94236
PLANT RPLCMT
GM
02045
09/11
AP
02/24/11
0091265
VINTAGE ASSOCIATES
338.38
SI -94282
PLANT RPLCMT
GM
02045
09/11
AP
02/28/11
0091265
VINTAGE ASSOCIATES
94.84
SI -94698
PLANT RPLCMT
GM
02045
09/11
AP
03/01/11
0091265
VINTAGE ASSOCIATES
101.38
•
SI -94585
PLANT RPLCMT
GM
02045
09/11
AP
03/09/11
0091265
VINTAGE ASSOCIATES
152.08
SI -95075
PLANT RPLCMT
PREPARED
L7/2014, 10:19:00
GENERAL LEDGER AUIIVITY
LISTING
PAGE1402
PROGRAM
GM362LA
CITY OF
LA QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-------------------------------------------------------------------------------------------------------------------'-----------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-02
Services
& Supplie's
/ Operating Supplies
GM
02156
10/11
AP
03/17/11
0091516
VINTAGE ASSOCIATES
101.38
SI -95441
PLANT RPLCMT
GM
02302
10/11
AP
03/31/11
0091709
VINTAGE ASSOCIATES
129.20
SI -96713
PLANT REPLACEMENT
GM
02424
11/11
AP
04/12/11
0091879
VINTAGE ASSOCIATES
158.07
SI -97003
PLANT RPLCMNT
GM
02424
11/11
AP
04/13/11
0091879
VINTAGE ASSOCIATES
101.38
SI -97059
PLANT RPLCMNT
GM
02424
11/11
AP
04/13/11
0091879
VINTAGE ASSOCIATES
206.95
SI -97041
PLANT RPLCMNT
GM
02424
11/11
AP
04/19/11
0091879
VINTAGE ASSOCIATES
155.06
SI -97276
PLANT RPLCMNT
'GM
02507
11/11 .AP
04/20/11
0091879
VINTAGE ASSOCIATES
202.77
SI -97324
PLANT RPLCMNT
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
9.75
97912
TRFF TECH SUPPLIES
GM
02538
11/11
AP
.04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
6.48
960626
TRFF TECH SUPPLIES
GM
02507
11/11
AP
04/26/11
0091879
VINTAGE ASSOCIATES
111.76
SI -97557
PLANT RPLCMNT
GM
02628
11/11
•AP
04/29/11
0092058
TESERRA
8,234.00
33441
PLANT REPLACEMENT
GM
02694
12/11
AP
05/18/11
0092293
VINTAGE ASSOCIATES
220.00
SI -98615
PLANT RPLCMNT
GM
02735
12/11
AP
05/20/11
0092293
VINTAGE ASSOCIATES
237.03
SI -98750
PLANTS
GM
02735
12/11
AP
05/24/11
0092293
VINTAGE ASSOCIATES
168.36
SI -98911
PLANTS
GM
02735
12/11
AP
'05/25/11
0092293
VINTAGE ASSOCIATES
180.11
SI -98935
PLANTS
GM
02735
12/11
AP
05/26/11
0092293
VINTAGE ASSOCIATES
83.50
SO -20888
PLANTS
GM
02735
12/11
AP
05/26/11
0092293
VINTAGE ASSOCIATES
101.38
•
SI -99047
PLANTS
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
1,750.00
33599
PLANT R&R
' GM
02728
12/11
AP
05/27/11
0092285
TESERRA'
450.00
33589
TREE REPLACEMENT
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
360.00
33590
TREE R&R
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
900.00
33592
TREE R&R
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
450.00
33593
TREE R&R
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
12,990.00
33594
LANDSCAPE R&R
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
81019.00
33596
PLANT REPLACEMENT
GM
02728
12/11
AP
05/27/11
0092285
TESERRA
11000.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER HuiiVITY LISTING PAGE1403
PROGRAM GM362LA
CITY OF LA 9UINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING"
GROUP ACCTG ----TRANSACTION- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.56-02
Services
& Supplies /
Operating Supplies
GM
00367
03/11
AP
33598
0088870
LANDSCAPE/PLANTS
334.70
GM
02863
12/11'
AP
06/01/11
0092420
VINTAGE ASSOCIATES
161.90
GM
00751
•04/11
AP
SI -99269
0089134
PLANTS
23.79
GM
02863
12/11
AP
06/02/11
0092420
VINTAGE ASSOCIATES
143.15
GM
00977
05/11
AP
SI -99297
•
PLANTS
329.92
GM
02863
12/11
AP
06/07/11
0092420
VINTAGE ASSOCIATES
152.07
GM
01335
06/11
AP
SI -99461
0090093
PLANTS
133.99
GM
02955
12/11
AP
06/08/11
0092580
VINTAGE ASSOCIATES
121.66
01253
06/11
AP
11/28/10
SI -99503
HOME DEPOT CREDIT SERVICE
PLANT RPLCMNT
GM
02955
12/11
AP
06/09/11
0092580
VINTAGE ASSOCIATES
124.06
01253
06/11
AP
11/28/10
SI -99520
HOME DEPOT CREDIT SERVICE
PLANT RPLCMNT
GM
02955
12/11
AP
06/13/11
0092580
VINTAGE ASSOCIATES
15.66
01704
08/11
AP
01/12/11
SI -99591
CALIFORNIA CONTRACTORS SU
PLANT RPLCMNT
GM
02955
12%11
AP
06/15/11
0092580
VINTAGE ASSOCIATES
152.07
SI -99642
PLANT RPLCMNT
GM
03021
12/11
AP
06/21/11
0092746
VINTAGE ASSOCIATES
152.07
SI -99833.
PLANT RPLCMT
GM
03021
12/11
AP
06/22/11
0092746
VINTAGE ASSOCIATES
125.26
SI -99866
PLANT RPLCMT
GM
03021
12/11
AP
06/27/11
0092746
VINTAGE ASSOCIATES
121.67
•
SI -99912
PLANT RPLCMT
GM
03024
12/11
AP
06/28/11
0092746
VINTAGE ASSOCIATES
176.22
SI -99954
PLANT RPLCMNT
GM
03024
12/11
AP
06/30/11
0092746
VINTAGE ASSOCIATES
147.11
SI -100099
PLANT RPLCMNT
ACCOUNT
TOTAL
41,760.50
101-7004-431.56-25 Services & Supplies / Supplies - Software
ACCOUNT TOTAL
101-7004-431.56-37
Services
& Supplies
/ Supplies -Graffiti
GM
00367
03/11
AP
08/05/10
0088870
PRESTIGE CHEMICALS INC
334.70
31-01
GRAFFITI MATERIAL
GM
00751
•04/11
AP
09/28/10
0089134
HOME DEPOT CREDIT SERVICE
23.79
9013327
GRAFFITI MATERIAL
GM
00977
05/11
AP
10/11/10
0089558
CHEMSEARCH
329.92
783758
GRAFFITI MATERIAL
GM
01335
06/11
AP
10/18/10
0090093
DUNN-EDWARDS CORPORATION
133.99
2079104478
GRAFFITI MATERIAL
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
786.24
43699
GRAFFITI PAINT
GM
01253
06/11
AP
11/28/10
0089910
HOME DEPOT CREDIT SERVICE
185.96
3043899
GRAFFITI MATERIAL
GM
01704
08/11
AP
01/12/11
0090632
CALIFORNIA CONTRACTORS SU
136.91
F18975
SUPPLY/GRAFFITI
41,760.50
.00
.00
.00
PREPARED
.7/2014, 10:19:00
GENERAL LEDGER htilVITY
LISTING
PAGE1404
PROGRAM
GM362LA
CITY OF LA
--------------------------------------------
QUINTA,
CALIFORNIA
FUND 101
General
Fund
------------------------------
--------------------------------------------------
--------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
----------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
---------------------------------
DEBITS CREDITS
-------------------- ---------------------------------
BALANCE
101-7004-431.56-37
Services
8 Supplies /
Supplies -Graffiti -
GM
01703
08/11
AP
01/28/11
0090673
JTB SUPPLY CO., INC.
434.34
92709
GRAFFITI
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT
SERVICE
181.19
2028511
GRAFFITI MATERIAL
GM
01757
08/11
AP
01/28/11
0090748
HOME DEPOT CREDIT
SERVICE
23.31
1020053
GRAFFITI MATERIAL
GM
02045
09/11
AP
01/31/11
0091155
ACE HARDWARE
36.66
106992
GRAFFITI MATERIAL
GM
01703
08/11
AP
02/01/11
0090671
JC SUPPLY CO
302.50
1054-02
GRAFFITI
GM
02003
09/11
AP
02/28/11
0091078
HOME DEPOT CREDIT
SERVICE
93.64
9014216
MATERIAL
GM
02316
10/11
AP
04/13/11
0091679
PRESTIGE CHEMICALS
INC
996.65
031-03
GRAFFITI/LNDSCP
GM
02435
11/11
AP
04/21/11
0091851
PPG PITTSBURGH PAINTS
81.56
•
90334
GRAFFITI PAINT
GM
02628
11/11 .AP
04/27/11
0092022
LAWSON PRODUCTS INC
57.16
403938
GRAFFITI
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
92.44
1013197
GRAFFITI MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
206.23
.
41233
GRAFFITI MATERIAL
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
237.08
3014266
GRAFFITI PAINT
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
118.54
1024617
GRAFFITI PAINT
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
6.27
7014802
GRAFFITI PAINT
GM
02538
11/11
AP
04/28/11
0091901
HOME DEPOT CREDIT
SERVICE
131.59
8030639
GRAFFITI PAINT
GM
02740
12/11
AP
05/27/11
0092148
HOME DEPOT CREDIT
SERVICE
118.54
2010254
GRAFFITI
GM
02740
12/11
AP
05/27/11
0092148
HOME DEPOT CREDIT
SERVICE
83.19
6030837
GRAFFITI
'
GM
03024
12/11
AP
06/14/11
0092691
CHEMSEARCH
219.68
387714
GRAFFITI MATERIAL
GM
03024
12/11
AP
06/23/11
0092690
CALIFORNIA CONTRACTORS
SU
219.50
'
F45744
GRAFFITI SUPPLY
GM
03024
12/11
AP
06/24/11
0092688
ATCO INTERNATIONAL
502.10
I0315038
GRAFFITI SUPPLY
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT
SERVICE
131.50
4012561
GRAFFITI MATERIAL
GM
03010
12/11
AP
06/28/11
0092614
HOME DEPOT CREDIT
SERVICE
559.57
7042365
GRAFFITI
GM
03021
12/11
AP
06/30/11
0092685
ACE HARDWARE
1,240.00
VARIOUS
GRAFFITI/SUPPLY
ACCOUNT
TOTAL
8,004.75
8,004.75
PREPARED 17/2014, 10:19:00 GENERAL LEDGER mLeIVITY LISTING PAGE1405
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE. NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.56-40
Services
& Supplies
/ Safety Gear
GM 00712 04/11 AP
09/20/10
0089165
BUSINESS 21 PUBLISHING
07/01/10
E71487
CARQUEST
SAFETY SUPPLY
GM 01048 05/11 AP
10/21/10
0089552
CALIFORNIA CONTRACTORS SU
F2265
GM
SAFTEY GEAR
GM 01262 06/11 AP
11./30/10
0089941
CALIFORNIA CONTRACTORS SU
INDEPENDENT ELECTRIC SUPP
F9578
SAFETY GEAR
ACCOUNT TOTAL
10117004-431.56-52
Services
& Supplies
/ Materials
GM
00023
01/11
AP
07/01/10
0088020
CARQUEST
7339-356146
SUPPLY
GM
00099
01/11
AP
07/01/10
0088305
INDEPENDENT ELECTRIC SUPP
S100350367001
ELECTRIC
GM
00085
01/11
AP
07/02/10
0088209
TIME WARNER CABLE
406828
CABLE YD 7/10-8/09
GM
00286
02/11
AP
07/03/10
0088651
KRIBBS CONSTRUCTION, BRUC
3041
ELECTRICAL
GM
00319
02/11
AP
07/03/10
0088651
KRIBBS CONSTRUCTION, BRUC
3040
ELECTRIC
GM
00105
01/11
AP
07/06/10
0088242
TIME WARNER CABLE
581141
CABLE 7/16-8/15
GM
00099
01/11
AP
07/08/10
0088330
MOWERS PLUS INC
•51645
CHAIN SAW CHAINS
GM
00274
02/11
AP
07/12/10
0088467.
DESERT ELECTRIC SUPPLY
S1732349001
ELECTRICAL FIXTURES
GM
00274
02/11
AP
07/13/10
0088467
DESERT ELECTRIC SUPPLY
S1745064001
ELECTRICAL
GM
00275
02/11
AP
07/13/10
0088475
HIGH TECH IRRIGATION INC
175329
IRRIGATON
GM
00274
02/11
AP
07/14/10
0088467
DESERT ELECTRIC SUPPLY
S1745493001
ELECTRICAL
GM
00274
02/11
AP
07/15/10,.0088467
DESERT ELECTRIC SUPPLY
S1745672001
ELECTRICAL
GM
00274
02/11
AP
07/15/10
0088467
DESERT ELECTRIC SUPPLY
S1745849001
ELECTRICAL
GM
00274
02/11
AP
07/16/10
0088467
DESERT ELECTRIC SUPPLY
S1732349002
ELECTRICAL SUPPLY
GM
00275
02/11
AP
07/19/10
0088475
HIGH TECH IRRIGATION INC
175954
IRRIGATON
GM
00275
02/11
-AP
07/21/10
0088475
HIGH TECH IRRIGATION INC
176273
MATERIAL IRRIG
GM
00275
02/11
AP
07/23/10
0088475
HIGH.TECH IRRIGATION INC
176784
IRRIGATON
GM
00286
02/11
AP
07/27/10
0088640
HIGH TECH IRRIGATION INC
177016
IRRIGATION
GM
00286
02/11
AP
07/28/10
0088701
TRULY NOLEN INC
660001830
BEE'S-CALLE ESTRADA
149.00
200.00
197.00
546.00
22.82
90.43
58.11
275.00
575.00
58.11
156.86
2,559.43
15:79
99.95
2.23
2.02
3.21
11.96
93.72
317.55
331.29
222.57
175.00
.00
546.00
.00
PREPARED
17/2014,
10:19:00
GENERAL LEDGER — IVITY
LISTING
PAUti406
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
--------------------------------------
FUND 101
General
Fund
-----------------------------------------=----------------------------------------------------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
t4UMBER
PER.
CD
DATE NUMBER D
E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies /
Materials
GM
00286
02/11
AP
07/28/10 0088701
TRULY NOLEN INC
175.00
660001829
BEE'S-JEFFERSON
GM
00299
02/11
AP
07/28/10 0088537
HOME DEPOT CREDIT SERVICE
23.35
1022906
MATERIAL
GM
00299
02/11
AP
07/28/10 0088537
HOME DEPOT CREDIT SERVICE
24.47
50223325
MATERIAL
GM
00299
•02/11
AP
07/28/10 0088537
HOME DEPOT CREDIT SERVICE
127.02
5014196
MATERIAL
GM
00299
02/11
AP
07/28/10 0088537
HOME DEPOT CREDIT SERVICE
70.77
2014483
MATERIAL
GM
00286
02/11
AP
07/31/10 0088643
INDEPENDENT ELECTRIC SUPP
1.00
S100394787O01
ELECTRIC MATERIAL
GM
00299
02/11
AP
08/02/10 0088544
TIME WARNER CABLE
58.11
406828•
CABLE 8/10-9/09
GM
00346
02/11
AP
08/06/10 0088584
TIME WARNER CABLE
58.11
581141
CABLE 8/16-9/15
GM
00350"
02/11
AP
08/06/10 0088640
HIGH TECH IRRIGATION INC
46.39
178406
IRRIGATION"
GM
00350
02/11
AP
08/10/10 0088640
HIGH TECH IRRIGATION INC
188.80-
178718
IRRIGATION
GM
00350
02/11
AP
08/10/10 0088640
HIGH TECH IRRIGATION INC
81.75
178695
IRRIGATION
GM
00350
02/11•
AP
08/11/10 0088640
HIGH TECH IRRIGATION INC
146.81
178439
IRRIGATION
GM
00350
02/11
AP
08/11/10 0088643
INDEPENDENT ELECTRIC SUPP
329.36
S10037436OOO1
ELECTRIC MATERIAL
GM
00350
02/11
AP
08/12/10 0088613
CARQUEST
53.73
7339363510
WIPER BLADES
GM
00350
02/11
AP
08/13/10 0088640
HIGH TECH IRRIGATION INC
13.27
179154
IRRIGATION-
GM
00437
03/11
AP
08/17/10 0088814
DESERT ELECTRIC SUPPLY
69.52
S17515130O1
ELECTRIC MATERIAL
GM
00437
03/11
AP
08/24/10 0088903
TRULY NOLEN INC
150.00
660003705
BEE SERVICE
GM
00437
03/11.
AP
08/24/10 0088903
TRULY NOLEN INC
175.00
660001830
BEE SERVICE
GM
00437
03/11
AP
08/24/10 0088903
TRULY NOLEN INC
175.00
6600001829
BEE SERVICE
GM
00490
03/11
AP
08/24/10 0088828
HIGH TECH IRRIGATION INC
96.80
180211
IRRIGATION
GM
00490
03/11
AP
08/24/10 0088828
HIGH TECH IRRIGATION INC
317.55
180236
LNDSCP MATERIAL
GM
00514
03/11
AP
08/24/10 0088839
JC SUPPLY CO
333.70
1054
MATERIAL
GM
00490
03/11
AP
08/25/10 0088828
HIGH TECH IRRIGATION INC
15.62
180361
IRRIGATION MATERIAL
GM
00437
03/11
AP
08/26/10 0088844
KRIBBS CONSTRUCTION, BRUC
975.00
3042
ELECTRIC SVC
GM
00555
03/11
AP
08/26/10 0088888
SMITH PIPE & SUPPLY CO
109.62
PREPARED
.7/2014,
10:19:00
GENERAL LEDGER ..._.lVITY
LISTING
PAwt&407
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
---------------------------------•---------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
.101-7004-431.56-52
Services
& Supplies
/ Materials
2191143
IRRIGATION
GM
00555
03/11
AP
08/27/10
0088828
HIGH TECH IRRIGATION INC
57.28
180671
IRRIGATION
GM
00555
03/11
AP
08/27/10
0088828
HIGH TECH IRRIGATION INC
58.06
180546
IRRIGATION
GM
00605'
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
167.80
8015806
IRRIG PUMP/FOUNTAIN
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
72.49
3026398
MATERIAL
GM
00605
03/11
AP
08/27/10
0088931
HOME DEPOT CREDIT SERVICE
36.34
5042305
MATERIAL
GM
00712
04/11
AP
08/27/10
0089280
VALLEY PLUMBING
162.00
197683
ROTO SEWER
GM
OD555
03/11
AP
08/30/10
0088817
DESERT PERSONNEL SVC INC
87.70
VARIOUS
ELECTRIC
GM
00624
03/11
AP
08/30/10
0089009
DESERT ELECTRIC SUPPLY
87.70
S1755310001
ELECTRIC
GM
00555
03/11
AP
09/01/10
0088844
KRIBBS CONSTRUCTION, BRUC
375.00
3044
ELECTRIC SVC
GM
00555
03/11
AP
09/01/10
0088844.
KRIBBS CONSTRUCTION, BRUC
925.00
3043
ELECTRIC SVC
GM
00605
03/11
AP
09/02/10
0088948
TIME WARNER CABLE
58.11
406828
CABLE 9/10-10/9
GM
00605
03/11
AP
09/06/10
0088948
TIME WARNER CABLE
58.11
581141
CABLE 9/16-10/15
GM
00622
03/11
AP
09/08/10
0089025
HIGH TECH IRRIGATION INC
144.12
181736
MATERIAL-IRRIG
GM
00622
03/11
AP
09/10/10
0089085
SEVEN SUPPLY
196.62
•
13630710
IRRIGATION
GM
00736
04/11
AP
09/14/10
0089211
INDEPENDENT ELECTRIC SUPP
238.27
S100446070001
ELECTRIC MATERIAL
GM
01161
05/11
AP
09/14/10
0089840
STANLEY ACCESS TECH INC
11.30
901039874
ELECTRIC MATERIAL
GM
00736
04/11
AP
09/17/10
0089207
HIGH TECH IRRIGATION INC
18.92
182905
IRRIG MATERIAL
GM
00736
04/11
AP
09/20/10
0089211
INDEPENDENT ELECTRIC SUPP
392.75
S100446070002
ELECTRIC MATERIAL
GM
00736
04/11
AP
09/20/10
0089207
HIGH TECH IRRIGATION INC
372.46
183044
IRRIG MATERIAL
GM
00725
04/11
AP
09/20/10
0089186
DESERT ELECTRIC SUPPLY
16.20
S1759869001
ELECTRIC MATERIAL
GM
00682
03/11
AP
09/23/10
0088817
DESERT PERSONNEL SVC INC
87.70
VARIOUS
ELECTRIC
GM
00736'
04/11
AP
09/23/10
0089211
INDEPENDENT ELECTRIC SUPP
72.34
S100456661001
ELECTRIC MATERIAL
GM
00725
04/11
AP
09/23/10
0089186
DESERT ELECTRIC SUPPLY
238.73
S1760662001
ELECTRIC MATERIAL
GM
00725
04/11
AP
09/24/10
0089278
TRULY NOLEN INC
175.00
660005815
'
BEE REMOVAL
PREPARED
___17/2014,
10:19:00
GENERAL LEDGER .-.,..IVITY
LISTING
•FNuca408
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
------------------------------•------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials.
GM
00725
04/11
'AP
09/27/10 0089186
DESERT ELECTRIC SUPPLY
91.71
S1760662002
ELECTRIC MATERIAL
GM
00823
04/11
AP.09/27/10
0089207
HIGH TECH IRRIGATION INC
575.48
184039
IRRIG MATERIAL
GM
00751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
172.61
1032882
ESTADO FOUNTAIN
GM
00751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
81.51
1032884
MATERIAL
GM
00751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
58.13
14169
ESTADO FOUNTAIN
GM
00751
04/11
AP
09/28/10 0089134
HOME DEPOT CREDIT SERVICE
77.29
8101020
ESTADO FOUNTAIN
GM
00823
04/11
AP
09/28/10 0089207
HIGH TECH IRRIGATION INC
33.15
184246
IRRIG MATERIAL
GM
00725
04/11
AP
09/30/10 0089212
INLAND POWER EQUIPMENT CO
57.07
107621
CHAIN SAW BLADES
GM
00846
04/11
AP
09/30/10 0089446
MOWERS PLUS INC
137.55
56388
SUPPLY
GM
00823
04/11
AP
10/01/10 0089153
AIR & HOSE SOURCE, INC.
244.06
03-12666
IRRIG MATERIAL
GM
00860
04/11
AP
10/01/10 0089396
DESERT ELECTRIC SUPPLY
51.24
S1762561001
ELECTRIC MATERIAL
GM
00860
04/11
AP
10/01/10 0089396
DESERT ELECTRIC SUPPLY
477.21
S1761630002
ELECTRIC MATERIAL
GM
00860
04/11
AP
10/01/10 0089396
DESERT ELECTRIC SUPPLY
1,043.20
S1761630001
ELECTRIC MATERIAL
GM
00837
04/11
AP
10/02/10 0089325
TIME WARNER CABLE
58.11
406828
CABLE 10/10-11/09
6M
00860
04/11
AP
10/04/10 0089419
HIGH TECH IRRIGATION INC
47.70
184993
ELECTRIC MATERIAL
GM•00860
04/11
AP.
10/05/10 0089396
DESERT ELECTRIC SUPPLY
222.43
S1763247001
ELECTRIC MATERIAL
GM
00860
04/11
AP
10/05/10 0089396
DESERT ELECTRIC SUPPLY
7.55
S1763414001
ELECTRIC MATERIAL
GM
00914
04/11
AP
10/05/10 0089415
GRAINGER
533.97
9324203091
MATERIAL
GM
00876
04/11
AP
10/06/10 0089365
TIME WARNER CABLE
58.11
581141
CABLE 10/16-11/15
GM
00913
04/11
AP
10/06/10 0089396
DESERT ELECTRIC SUPPLY
194.06
S1763753001
ELECTRIC MATERIAL
GM
00784
04/11
•AP
10/07/10 0089264
SILVERROCK RESORT
27.00
97829622
IST QTR SALES TAX
GM
00977
05/11
AP
10/07/10 0089569
DESERT ELECTRIC SUPPLY
5.58
S1763850001
ELECTRIC
GM
00977
05/11
AP
10/07/10 0089569
DESERT ELECTRIC SUPPLY
5.08
'
S1763850002
ELECTRIC
GM
00977
05/11
AP
10/08/10 0089662
TRULY NOLEN INC
150.00 '
660006154
BEE REMOVAL
GM
00977
05/11
AP
10/12/10 0089569
DESERT ELECTRIC SUPPLY
106.25
PREPARED
_..17/2014,
10:19:00
GENERAL LEDGER .._.IVITY
LISTING
Fha=.409
PROGRAM
GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
---- TRANSACTION -----
/ENDING
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE NUMBER
D.E S C R I P T I 0 N
DEBITS
CREDITS BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials
S1764956001
ELECTRIC MATERIAL
GM
00977
05/11
AP
10/13/10 0089569
DESERT ELECTRIC SUPPLY
671.37
S1764956003
ELECTRIC MATERIAL
GM
00977
05/11
AP
10/13/10 0089623
PET PICKUPS
547.39
3313713
PET MITTEN/PICKUP
GM
01048
05/11
AP
10/13/10 0089623
PET PICKUPS •
335.41
33137-16
DISPENSER BAGS
�.
GM
01092.
05/11
AP
10/18/10 0089796
INDEPENDENT ELECTRIC SUPP
378.85
S100484987001
ELECTRICAL MATERIAL
GM
00977
05/11
AP
10/20/10 0089569
DESERT ELECTRIC SUPPLY
89.90
S1764916001
ELECTRIC SVC
GM
00977
05/11
AP
10/20/10 0089584
HIGH TECH IRRIGATION INC
77.84
188093
IRRIG MATERIAL
GM
01081
05/11
AP
10/25/10 0089689
SPARKLETTS
129.27
4281072102810
WATER -PW
CR
00964
04/11
CR
10/26/10 0005040
TRULY NOLEN-REFUND
350.00
MANCILLA 10/26/10 01
GM
01096
05/11
AP
10/27/10 0089767
DESERT ELECTRIC SUPPLY
92.76
51768461001
ELECTRIC MATERIAL
GM
01096
05/11
AP
10/27/10 0089756
CHEMSEARCH
1,516.27
789162
MATERIAL
GM
01096
05/11
AP
10/28/10 0089767
DESERT ELECTRIC SUPPLY
44.52
S1768714001
ELECTRIC MATERIAL
GM
01097
05/11
AP
10/28/10 0089712
HOME DEPOT CREDIT SERVICE
222.11
7023856
MATERIAL
GM
01097
05/11
AP
10/28/10 0089712
HOME DEPOT CREDIT SERVICE
17.45
2010030
MATERIAL
GM
01097
05/11
AP
10/28/10 0089712
HOME DEPOT CREDIT SERVICE
19.38
2212217
SUPPLY
GM
01097
05/11
AP
10/28/10 0089712
HOME DEPOT CREDIT SERVICE
401.94
2184971
LNDSCP MATERIAL
GM
01096
05/11
AP
10/29/10 0089825
PARKHOUSE TIRE INC
121.37
•
2030078363
TK#42
GM
01097
05/11
AP
11/02/10 0089732
TIME WARNER CABLE
58.11
406828'
CABLE 11/10-12/09
GM
01210
06/11
AP
11/06/10 0089889
TIME WARNER CABLE
58.11
581141
CABLE 11/16-12/15
GM
01159
05/11
AP
11/08/10 0089767
DESERT ELECTRIC SUPPLY
101.13
S1771390002
ELECTRIC
GM
01159
05/11
AP
11/08/10 0089767
DESERT ELECTRIC SUPPLY
101.04
S1763398001
ELECTRIC
GM
01246
06/11
AP
11/09/10 0089959
DESERT ELECTRIC SUPPLY
57.84
S1771676001
ELECTRIC
GM
01246
06/11
AP
11/09/10 0089959
DESERT ELECTRIC SUPPLY
131.48
S1771677001
ELECTRIC
GM
01262
06/11
AP
11/09/10 0089983
HIGH TECH IRRIGATION INC
201.19
191778
IRRIGATION
GM
02246
06/11
AP
11/10/10 0089959
DESERT ELECTRIC SUPPLY
54.81
S1772047001
ELECTRIC
PREPARED
17/2014,
10:19:00
GENERAL LEDGER _— IVITY
LISTING
F---.410
PROGRAM
GM362LA
-
CITY OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials
GM
01246
06/11
AP
11/11/10 0089959
DESERT ELECTRIC SUPPLY
103.93
S1772392001
ELECTRIC
GM
01246
06/11
AP
11/16/10 0089959
DESERT ELECTRIC SUPPLY
150.69
S1773486001
ELECTRIC
GM
0181
06/11
AP
11/18/10 0089986
INDEPENDENT ELECTRIC SUPP
9.09
S100522913001
PUBLIC BLDG R&M
GM
01262
06/11
AP
11/22/10 0089959
DESERT ELECTRIC SUPPLY
49.20
S1775174001
ELECTRIC MATERIAL
GM
01262
06/11
AP
11/24/10 0089983
HIGH TECH IRRIGATION INC
40.54
194470
IRRIGATION
GM
01253
06/11
AP
11/25/10 0089913
LOWE'S HOME IMPROVEMENT W
106.51
907313
MATERIAL
GM
01253
06/11
AP
11/28/10 0089910
HOME DEPOT CREDIT SERVICE
54.18
2013614
MATERIAL
GM
01362
06/11
AP
12/01/10 0090180
DESERT ELECTRIC SUPPLY
48.65
S1776355002
ELECTRICAL
GM
01262
06/11
AP
12/02/10 0090002
LAWSON PRODUCTS INC
218.76
9853009
MATERIAL SUPPLY
GM
01335
06/11
AP
12/02/10 0090129
TIME WARNER CABLE
58.11
406828
CABLE 12/10-1/09
GM
01362
06/11
AP
12/02/10 0090180
DESERT ELECTRIC SUPPLY
70.85
S1777367001
ELECTRICAL
GM
01362
06/11
AP
12/02/10 0090180
DESERT ELECTRIC SUPPLY
252.56
S1777107001
ELECTRICAL
GM
01272
06/11
AP
12/03/10 0090048
SILVERROCK RESORT
29.00
97829622
NOV110 SALES TAX
GM
01335
06/11
AP
12/06/10 0090129
TIME WARNER CABLE
116.22
581141
CABLE 12/16-1/15
GM
01362
06/11
AP
12/06/10 0090195
HIGH TECH IRRIGATION INC
32.33
195803
ELECTRICAL
GM
01362
06/11
AP
12/08/10 0090180
DESERT ELECTRIC SUPPLY
15.70
S1778698001
ELECTRICAL
GM
01362
06/11
AP
12/09/10 0090180
DESERT ELECTRIC SUPPLY
152.52
S1779016001
ELECTRICAL
GM
01362
06/11
AP
12/09/10 0090180
DESERT ELECTRIC SUPPLY
152.52
S1779016002
ELECTRICAL
GM
01560
07/11
AP
12/09/10 0090491
INDEPENDENT ELECTRIC SUPP
375.19
S100544527001
ELECTRICAL
GM
01560
07/11
AP
12/10/10 0090532
SMITH PIPE & SUPPLY CO
605.86
2226737 •
IRRIGATION
GM
01560,
07/11
AP
12/13/10 0090467
DESERT ELECTRIC SUPPLY
127.71
S1779626001
ELECTRICAL
GM
01560
07/11
AP
12/13/10 0090467
DESERT ELECTRIC SUPPLY
27.81
51779620001
ELECTRICAL
GM
01457
07/11
AP
12/17/10 0090315
LOCK SHOP INC, THE
99.44
651347
LOCKS
GM
01457
07/11
AP
12/17/10 0090288
CARQUEST
11.54
7339385119
ELECTRIC
GM
01420
07/11
AP
12/25/10 0090263
LOWE'S HOME IMPROVEMENT W
13.44
PREPARED
--,-7/2014,
10:19:00
GENERAL LEDGER __-.IVITY
LISTING
F..___411
PROGRAM
GM362LA
CITY'OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
TRANSACTION----
/ENDING '
APP NUMBER PER.
------------------------------------------------------------------------------------------------------------------------------------
CD
DATE
NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services
&.Supplies
/ Materials
998657
MATERIAL/BOLTS
GM
01564
07/11
AP
12/27/10
0090492
INLAND POWER EQUIPMENT CO
137.59
108966
SUPPLY
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
33.04
6116788
MATERIAL/IRRIG
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
112.82
5023989
MATERIAL/ELECTRIAL
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
53.71
24391 •
MATERIAL
GM
01547
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
208.35
7024901
MATERIAL/SUPPLY
GM
01547.
07/11
AP
12/28/10
0090383
HOME DEPOT CREDIT SERVICE
131.41
4016748
IRRIGATION
GM
01564
07/11
AP
12/29/10
0090488
HIGH TECH IRRIGATION INC
58.69
198494.
IRRIGATION
GM
01560
07/11
AP
01/02/11
0090455
CARQUEST
20.31
7339387352
SUPPLY
GM
01560
07/11
AP
01/03/11
0090532
SMITH PIPE & SUPPLY'CO
167.17
2230051
IRRIGATION
GM
01564
07/11
AP
01/03/11
0090477
GARZA TURF & POWER EQUIPM
76.30
.46838
PEPAIRS
GM
01560
07/11
AP
01/04/11
0090455
CARQUEST
121.94
7339387697
SUPPLY
GM
01564
07/11
AP
01/04/11
0090514
MOWERS PLUS INC
120.51
61260•
CHAIN SAW REPAIR
GM
01564
07/11
AP
01/05/11
0090492
INLAND POWER EQUIPMENT CO
84.82
109026
MATERIAL
GM
01560
07/11
AP
01/06/11
0090491
INDEPENDENT ELECTRIC SUPP
778.18
S100569535001
ELECTRICAL
GM
01564
07/11
AP
01/06/11
0090488
HIGH TECH IRRIGATION INC
317.55
199165
LANDSCAPE
GM
01603
07/11
AP
01/06/11
0090461
COMMERCIAL LIGHTING INDUS
338.55
INV118467
ELECTRICAL
GM
01703
08/11
AP
O1/11/11
0090712
SMITH PIPE & SUPPLY CO
159.86
2232133
IRRIG MATERIAL
GM
01703
08/11
AP
01/12/11
0090645
DESERT ELECTRIC SUPPLY
113.22
•
51786119001
ELECTRICAL MATERIAL
CR
01552
07/11
CR
01/13/11
0009441
TIME WARNER RFND
16.51
MANCILLA 01/13/11 01
GM
01703
08/11
AP
01/18/11
0090668
INDEPENDENT ELECTRIC SUPP
62.64
S100581753001
ELECTRIC MATERIAL
GM
01704
08/11
AP
01/18/11.0090632
CALIFORNIA CONTRACTORS SU
131.04
F18974
SUPPLY
GM
01703
08/11
AP
01/19/11
0090663
HIGH TECH IRRIGATION INC
317.55
200651
MATERIAL
GM
01703
08/11
AP
01/20/11
0090663
HIGH TECH IRRIGATION INC
317.55
200834
MATERIAL
GM
01703
08/11
AP
01/20/11
0090712
SMITH PIPE & SUPPLY CO
310.74
2235082
IRRIG MATERIAL
PREPARED
_.-17/2014,
10:19:00
GENERAL LEDGER .— IVITY
LISTING
F–__-412
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND'101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-----------------------------------------------------------------------------------------------------------------------------------=
NUMBER
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials
GM
01704
08/11
AP
01/20/11 0090645
DESERT ELECTRIC SUPPLY
91.51
S1788038001
ELECTRIC
GM
01703
08/11
AP
01/21/11 0090712
SMITH PIPE & SUPPLY CO
99.39
2235453
IRRIG MATERIAL
GM
01703
08/11
AP
01/24/11 0090712
SMITH PIPE & SUPPLY CO
20.30
2236079
IRRIG MATERIAL
GM
01703
08/11
AP
01/26/11 0090663
HIGH TECH IRRIGATION INC
317.55
201395
MATERIAL
CR
0;664
07/11
CR
01/27/11 0010000
TIME WARNER RFND
58.11
MANCILLA 01/27/11 01
GM
01787
08/11,
AP
01/27/11 0090898
SMITH PIPE & SUPPLY CO
149.07
2237389
IRRIGATION
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
53.31
4027220
MATERIAL
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
120.33
3019686
SUPPLY
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
58.24
6020740
SUPPLY
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
20.06
3034160
IRRIG MATERIAL
GM
01757
08/11
AP
01/28/11 0090748
HOME DEPOT CREDIT SERVICE
9.66
21357
MATERIAL
GM
01787
08/11
AP
01/28/11 0090848•
GRAINGER
533.97
9449788612
FOUNTAIN PUMP
GM
01643
08/11
AP
01/31/11 0090634
CARQUEST
6.88
7339392264
SUPPLY
GM
01704
08/11
AP
01/31/11 0090675
KRIBBS CONSTRUCTION, BRUC
675.00
3283
FOUNTAINS
GM
01787
08/11
AP
01/31/11 0090898
SMITH PIPE & SUPPLY CO
213.15
2238467
MATERIAL
GM
01787
08/11
AP
01/31/11 0090853
INDEPENDENT ELECTRIC SUPP
294.76
S100591048001
ELECTRICAL
GM
01787
08/11
AP
02/01/11 0090853
INDEPENDENT ELECTRIC SUPP
578.68
S100598251001
ELECTRIC PARTS
GM
01802
08/11
AP
02/02/11 0090837
DESERT ELECTRIC SUPPLY
33.30
S1791229001
ELECTRIC MATERIAL
GM
01787
08/11
AP
02/03/11 0090853
INDEPENDENT ELECTRIC SUPP
146.60
S100598626002
ELECTRICAL
GM
01802
08/11
AP
02/03/11 0090837
DESERT ELECTRIC SUPPLY
6.76
S1791556001
ELECTRIC MATERIAL
GM
01802
08/11
AP
02/04/11 0090851
HIGH TECH IRRIGATION INC
134.34
202655
IRRIG MATERIAL
GM
01802
08/11
AP
02/04/11 0090898
SMITH PIPE & SUPPLY CO
250.30
2240106
IRRIG MATERIAL -
GM
01793
08/11
AP
02/06/11 0090802
TIME WARNER CABLE
58.30
90581141
CABLE 2/16-3/15
GM
01787
08/11
AP
02/11/11 0090869
LOCK SHOP INC, THE
54.48
652800
MATERIALS LOCKS
GM
01903
09/11
AP
02/11/11 0091043
SMITH PIPE & SUPPLY CO
63.29
PREPARED
U._-1/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
PAbei413
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
•------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP 14UMBER
-------------
PER.
---------------------------------
CD
DATE NUMBER
D E S C R I P T I O N
---------- ----------------------------------------------------------------------------
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials
2242699
MATERIAL/IRRIG
GM•01878
09/11
AP
02/14/11 0091012
INDEPENDENT ELECTRIC SUPP
396.69
S100612631001
ELECTRIC MATERIAL
GM
01903
09/11
AP
02/15/11 0090992
DESERT ELECTRIC SUPPLY
27.75
S1794299001
ELECTRICAL
GM
01878
09/11
AP
02/16/11 0091012
INDEPENDENT ELECTRIC SUPP
131.33
S100616501001
ELECTRIC MATERIAL
GM
02077
09/11
AP
02/16/11 0091251
SOUTHWEST NETWORKS INC
570.00
11-2174
OUTSOURCE LABOR
GM
01878
09/11
AP
02/17/11 0091012
INDEPENDENT ELECTRIC SUPP
108.00
,
S100617581001
ELECTRIC MATERIAL
GM
02045
09/11
AP
02/17/11 0091180
DESERT ELECTRIC SUPPLY
115.49
S1794882001
MATERIAL/ELECTRICAL
GM
02077
09/11
AP
02/22/11 0091270
WHITE CAP CONSTRUCTION SU
344.08
8097344
MATERIAL
GM
01878
09/11
AP
02/23/11 0090992
DESERT ELECTRIC SUPPLY
44.40
S1792912001
ELECTRIC MATERIAL
GM
02045
09/11
AP
02/23/11 0091180
DESERT ELECTRIC SUPPLY
50.'94
S1796175001
MATERIAL/ELECTRICAL
GM
02045
09/11
AP
02/24/11 0091180
DESERT ELECTRIC SUPPLY
68.40
S1796529001
MATERIAL/ELECTRICAL
GM
02083
09/11
AP
02/24/11 0091201
INDEPENDENT ELECTRIC SUPP
104.38
S100624574001
ELECTRICAL MATERIAL
GM
02045
09/11
AP
02/25/11 0091180
DESERT ELECTRIC SUPPLY
32.89
S1796868001
MATERIAL/ELECTRICAL
GM
02083
09/11
AP
02/25/11 0091249
SMITH PIPE & SUPPLY CO
244.06
2246290
IRRIG MATERIAL
GM
02083
09/11
AP
02/25/11 0091231
PET PICKUPS
549.97
33428
SUPPLIES
GM
0.1962
09/11
AP
02/28/11 0091015
KRIBBS CONSTRUCTION, BRUC
375.00
2825
FOUNTAIN/ELECTRICAL
GM
02003
09/11
AP
02/28/11 0091078
HOME DEPOT CREDIT SERVICE
37.95
1013036
IRRIGATION
GM
02003
09/11
AP
02/28/11 0091078
HOME DEPOT CREDIT SERVICE
72.49
13134
IRRIGATION
GM
02003
09/11
AP
02/28/11 0091078
HOME DEPOT CREDIT, SERVICE
6.34
9024520
IRRIG MATERIAL
GM
02003
09/11
AP
02/28/11 6091078
HOME DEPOT CREDIT SERVICE
107.66
1013971
IRRIGATION
GM
02003
09/11
AP
02/28/11 0091078
HOME DEPOT CREDIT SERVICE
28.05
•
1013973
IRRIGATION
GM
02156
10/11
AP
02/28/11 0091387
CLEAN STREET
206.75
63299
SUPPLY
GM
02045
09/11
AP
03/01/11 0091265
VINTAGE ASSOCIATES
95.44
SI-94589
PLANT RPLCMT
GM
02022
09/11
AP
03/06/11 0091143
TIME WARNER CABLE
58.31
90581141
CABLE 3/16-4/15
GM
02045
09/11
AP
03/07/11 0091180
DESERT ELECTRIC SUPPLY
299.89
S1798849001
MATERIAL/ELECTRICAL
PREPARED
U..-1/2014, 10:19:00
GENERAL LEDGER MtiaVITY
LISTING
PAGE1414
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund*
BEGINNING
GROUP
ACCTG
-----TRANSACTION----
/ENDING
APP
----
NUMBER
--------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7004-431•.56-52
Services & Supplies
/ Materials
GM
02083
09/11
AP
03/08/11 0091201
INDEPENDENT ELECTRIC SUPP
65.23
5100638129001
ELECTRICAL MATERIAL
GM
02083
09/11
AP
03/08/11 0091249
SMITH PIPE & SUPPLY CO
12.63
2249225
IRRIG MATERIAL
GM
02083
09/11
AP
03/09/11 0091197
HIGH TECH IRRIGATION INC
476.33
206386
MATERIAL
GM
02156
10/11
AP
03/10/11 0091428
HIGH TECH IRRIGATION INC
326.25
206627
MATERIAL
GM
02136
10/11
AP
03/11/11 0091431
INDEPENDENT ELECTRIC SUPP
147.09
S100642432001
MATERIAL/ELECTRIC
GM
02156
10/11
AP
03/11/11 0091428
HIGH TECH IRRIGATION INC
217.50
206772
MATERIAL
GM
O.2077
09/11
AP
03/14/11 0091202
INLAND POWER EQUIPMENT CO
46.76
109814
CHAIN SAW BLADES
GM
02154
10/11
AP
03/16/11 0091431'
INDEPENDENT ELECTRIC SUPP
402.36
S100646786001
ELECTRICAL
GM
02154
10/11
AP
03/18/11 0091451
LOCK SHOP INC, THE
72.88
653744
LOCKS
GM
02156
10/11
AP
03/21/11 0091431
INDEPENDENT ELECTRIC SUPP
131.61
S100652214001
ELECTRICAL MATERIAL
GM
02156
10/11
AP
03/23/11 0091443
KRIBBS CONSTRUCTION, BRUC
100.00
3287
ELECTRICAL
GM
02156
10/11
AP
03/23/11 0091428
HIGH TECH IRRIGATION INC
217.50
208041
LANDSCAPE MATERIAL
GM
02198
10/11
AP
03/23/11 0091443
KRIBBS CONSTRUCTION, BRUC
125.00
3285
ELECTRIC/FOUNTAINS
GM
02198
10/11
AP
03/23/11 0091443
KRIBBS CONSTRUCTION, BRUC
100.00
•
3283
ELECTRICAL
GM
02198
10/11
AP
03/23/11 0091443
KRIBBS CONSTRUCTION, BRUC
375.00
3284
ELECTRICAL/FOUNTAINS
GM
02154
10/11
'AP
03/24/11 0091509
TOPS'N BARRICADES INC
28.22
1020337
SUPPLY
GM
02248
10/11
AP
03/24/11 0091431
INDEPENDENT ELECTRIC SUPP
65.25
S100656919001
ELECTRICAL MATERIAL
GM
02248
10/11
AP
03/24/11 0091431
INDEPENDENT ELECTRIC SUPP
474.44
S100656203001
ELECTRICAL MATERIAL
GM
02248
10/11
AP
03/25/11 0091431
INDEPENDENT ELECTRIC SUPP
182.70
S100658052001
ELECTRICAL MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
23.89
9015026
SEAT REPLACEMENT
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
34.76
5010244
MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
27.66
4210777
MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
61.28
3211042
MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
9.72
2020990
MATERIAL
GM
02225
10/11
-AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
38.38•
PREPARED
U..-7/2014,
10:19:00
GENERAL LEDGER hie.VITY
LISTING
PAwEi415
PROGRAM
GM362LA
CITY
OF LA.QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund'
BEGINNING
GROUP
ACCTG
----TRANSACTION----
•
/ENDING
APP
----
NUMBER
--- ----
PER.
-------
CD
-------
DATE NUMBER
-------------- ---
D E S C R I P T I O N
--- ----------- ---------------- --- -
DEBITS CREDITS
---------- ---- -------- ----- ----- ------
BALANCE
--- ----------------
101-7004-431.56-52
Services & Supplies
/ Materials
•
1010602
MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
105.44
10685
MATERIAL
GM
02225
10/11
AP
03/28/11 0091347
HOME DEPOT CREDIT SERVICE
18.64
10771
MATERIAL
GM.02302
10/11
AP
03/28/11 0091617
DESERT ELECTRIC SUPPLY
261.97
S1803950001
ELECTRICAL
GM
02350
•10/11
AP
03/28/11 0091637
HIGH TECH IRRIGATION INC
91.35
208526
IRRIGATION
GM
02302
10/11
AP
03/29/11 0091617
DESERT ELECTRIC SUPPLY
211.86
51802236001
ELECTRICAL
GM
02350
10/11
AP
03/29/11 0091637
HIGH TECH IRRIGATION INC
217.50
208586
IRRIGATION
GM
02302
10/11
AP
03/30/11 0091617
DESERT ELECTRIC SUPPLY
8.09'
S1804473001
ELECTRICAL
GM
02302
10/11
AP
03/31/11 0091617
DESERT ELECTRIC SUPPLY
97.44
S1804803001
ELECTRICAL
GM
02350
10/11
AP
03/31/11 0091637
HIGH TECH IRRIGATION INC
217.50
208952
IRRIGATION
GM
02350-
10/11
AP
03/31/11 0091637
HIGH TECH IRRIGATION INC
9.84
208903
IRRIGATION
GM
02435
11/11
AP
03/31/11 0091849
PET PICKUPS
365.47
33538
•PET PICKUP BAGS
GM
02302
10/11
AP
04/04/11 0091704
TRULY NOLEN INC
150.00
660017404
BEE SVC
GM
02507
11/11
AP
04/04/11 0091875
TRULY NOLEN INC
150.00
66017404
BEE REMOVAL
GM
02316
10/11
-AP
04/05/11 0091637
HIGH TECH IRRIGATION INC
191.10
209517
MATERIAL/IRRIG
GM
02316
10/11
AP
04/05/11 0091637
HIGH TECH IRRIGATION INC
93.72
209518
MATERIAL/IRRIG
GM
02306
10/11
AP
04/06/11 0091586
TIME WARNER CABLE
58.31
90581141
CABLE 4/16-5/15
GM
02316
10/11
AP
04/06/11 0091643
INDEPENDENT ELECTRIC SUPP
43.50
S100670575001
ELECTRIC MATERIAL
GM
02350
10/11
AP
04/06/11 0091644
INLAND POWER EQUIPMENT CO
94.45
110124
SAW BLADES
GM
02251'
10/11
AP
04/07/11 0091496
SILVERROCK RESORT
48.00•
97829622
3RD QTR SALES TX
GM
02316
10/11
AP
04/07/11.0091637
HIGH TECH IRRIGATION INC
217.50
209920
IRRIGATION
GM
02302
10/11
AP
04/08/11 0091664
MOWERS PLUS INC
140.56
65326
CHAIN SAW BLADES
GM
02424
11/11
AP
04/11/11 0091809
DESERT ELECTRIC SUPPLY
66.73
•
S1806984001
ELECTRICAL MATERIAL
GM
02424
11/11
AP
04/11/11 0091809
DESERT ELECTRIC SUPPLY
42.89
S1806620002
ELECTRICAL MATERIAL
GM
02424
11/11
AP
04/12/11 0091818
HIGH TECH IRRIGATION INC
318.77
210296
IRRIG MATERIAL
PREPARED
1___-7/2014,
10:19:00
GENERAL LEDGER nu,,VITY
LISTING
PAwt1416
PROGRAM
GM362LA
,
CITY OF LA
QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
•101-7004-431.56-52
Services & Supplies
/ Materials
GM
02424
11/11
AP
04/12/11 0091809
DESERT ELECTRIC SUPPLY
43.11
S1806620001
ELECTRICAL MATERIAL
GM
0350
10/11
AP
04/13/11 0091643
INDEPENDENT ELECTRIC SUPP
125.20
S100678635001
ELECTRIC MATERIAL
GM
02316
10/11
AP
04/14/11 0091644
INLAND POWER EQUIPMENT CO
121.59
110185
WEED EATER R&M
GM
02424.
11/11
AP
04/14/11 0091809
DESERT ELECTRIC SUPPLY
128.46
S1806620003
ELECTRICAL MATERIAL
GM
02424
11/11
AP
04/14/11 0091809
DESERT ELECTRIC SUPPLY
8.17
S1807966001
ELECTRICAL MATERIAL
GM
02350
10/11
AP
04/15/11 0091648
JC SUPPLY CO
335.50
1054-03
MATERIAL
GM
02507
11/11
AP
04/20/11 0091809
DESERT ELECTRIC SUPPLY
14.36
S1809346001
ELECTRIC MATERAIL
GM
02507
11/11
AP
04/22/11 0091818
HIGH TECH IRRIGATION INC
28.13
211886
IRRIGATION
GM
02507
11/11
AP
04/26/11 0091821
INDEPENDENT ELECTRIC SUPP
24.19
S100692045001
MATERIAL
GM
02507
11/11
AP
04/26/11 0091821
INDEPENDENT ELECTRIC SUPP
2.20
S100692585001
MATERIAL
GM
02561
11/11
AP
04/26/11 0092008
HIGH TECH IRRIGATION INC
31.86
212124
IRRIG'MATERIAL
GM
02538
,11/11
AP
04/28/11 0091901
HOME DEPOT CREDIT SERVICE
22.61
2013015
MATERIAL
GM
02558
11/11
AP
05/04/11 0092011
INDEPENDENT ELECTRIC SUPP
6.00
S100702961001
ELECTRICAL
GM
02558
11/11
AP
05/04/11 0092011
INDEPENDENT ELECTRIC SUPP
207.17
S100699687001
ELECTRICAL
GM
02616
11/11
AP
05/05/11 0092011
INDEPENDENT ELECTRIC SUPP
26.10
S100700683002
ELECTRICAL
GM
02616
11/11
AP
05/05/11 0092011
INDEPENDENT ELECTRIC SUPP
234.90
•
S100700683001
ELECTRICAL
GM
02588
11/11
AP
05/06/11 0091954
TIME WARNER CABLE
58.31
90581141
CABLE 5/16-6/15
GM
02694
12/11
AP
05/06/11 0092193
DESERT ELECTRIC SUPPLY
6.06
S1812980001
ELECTRICAL
GM
02616
11/11
AP
05/09/11 0092008
HIGH TECH IRRIGATION INC
86.97
213672
IRRIGATION
GM
02616
11/11
AP
05/10/11 0092008
HIGH TECH IRRIGATION INC
137.17
213850
IRRIGATION
GM
02616
11/11
AP
05/11/11 0092011
INDEPENDENT ELECTRIC SUPP
217.05
S100709762001
ELECTRICAL
GM
02784
12/11
AP
05/12/11 0092215
HIGH TECH IRRIGATION INC
287.03
214289
MATERIAL
GM
02735
12/11
AP
05/13/11 0092215
HIGH TECH IRRIGATION INC
217.50
214298
MATERIAL
GM
02784
12/11
AP
05/13/11 0092193
DESERT ELECTRIC SUPPLY
95.70
S1814583001
ELECTRICAL MATERIAL
'GM
02735
12/11
AP
05/19/11 0092217
INDEPENDENT ELECTRIC SUPP
6.36
PREPARED
----7/2014, 10:19:00
GENERAL LEDGER -- VITY
LISTING
PAwti4l7
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
------------------------------------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE NUMBER D
E•S C R I P T I 0 N
DEBITS CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies /
Materials
S100719029001
ELECTRICAL
GM
02735
12/11
AP
05/20/11 0092193
DESERT ELECTRIC SUPPLY
8.73
S1816105001
ELECTRIC MATERIAL
GM
02735
12/11
AP
05/20/11 0092217
INDEPENDENT ELECTRIC SUPP
18.49
S100720600001
ELECTRICAL MATERIAL
GM
02735
12/11
AP
05/24/11 0092215
HIGH TECH IRRIGATION INC
65.25
215706
IRRIGATION
GM
02735
12/11
AP
05/25/11 0092215
HIGH TECH IRRIGATION INC
186.95
215870
IRRIGATION
GM
02735
12/11
AP
05/26/11 0092193
DESERT ELECTRIC SUPPLY
28.85
S18117319001
ELECTRIC MATERIAL
GM
02735
12_/11
AP
05/26/11 0092193
DESERT ELECTRIC SUPPLY
9.57
S1816088001
ELECTRIC MATERIAL
GM
02740
12/11
AP
05/27/11 0092148
HOME DEPOT CREDIT SERVICE
213.50
6015834
IRRIGATION
GM
02787
12/11
AP
05/27/11 0092285
TESERRA
91990.00
33588
LANDSCAPE DG
GM
02787
12/11
AP
05/27/11 0092285
TESERRA
81990.00
33587
LANDSCAPE DG
GM
03024
12/11
AP
05/29/11 0092685
ACE HARDWARE
45.64
108792
MATERIAL-LNDSCP
GM
02865
12/11
AP
06/02/11 0092366
DESERT ELECTRIC SUPPLY
11.97
S1818621001
ELECTRIC
GM
02865
12/11
AP
06/02/11 0092366
DESERT ELECTRIC SUPPLY
7.98
S1818623001
ELECTRIC
GM
02865
12/11
AP
06/03/11 0092366
DESERT ELECTRIC SUPPLY
221.12
S1819062001
ELECTRIC
GM
02987
12/11
AP
06/04/11 0092568
SMITH PIPE & SUPPLY CO
48.12
2282316
IRRIGATION'
GM
02863
12/11
AP
06/06/11 0092377
HIGH TECH IRRIGATION INC
83.82
216922
IRRIGATION
GM
02870
12/11
AP
06/06/11 0092444
TIME WARNER CABLE
58.31
844841080021815
CABLE
GM
02955
12/11
AP
06/06/11 0092576
TRULY NOLEN INC
150.00
660021317
BEE SERVICE
GM
03024
12/11
AP
06/06/11 0092703
DESERT ELECTRIC SUPPLY
25.08
S100724362001
ELECTRIC MATERIAL
GM
02787
12/11
AP
06/07/11 0092275
SILVERROCK RESORT
32.00
97829622
MAY SALES TAX
GM
02955
12/11
AP
06/07/11 0092523
DESERT ELECTRIC SUPPLY
407.67
S1819728001
ELECTRICAL
GM
02955
12/11
AP
06/09/11 0092523
DESERT ELECTRIC SUPPLY
527.06
S1820371001
ELECTRICAL
GM
02955
12/11
AP
06/10/11 0092523
DESERT ELECTRIC SUPPLY
300.15
S1820675001
ELECTRICAL
GM
02955
12/11
AP
06/13/11 0092523
DESERT ELECTRIC SUPPLY
404.55
S1821177001
ELECTRICAL
GM
02955
12/11
AP
06/15/11 0092523
DESERT ELECTRIC SUPPLY
554.63
•
S1821562001
ELECTRICAL
PREPARED 7/2014,
10:19:00
GENERAL -LEDGER .._.-VITY
LISTING
Ptit7c 1418
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------7-----------------------------------
FUND 101 General Fund
BEGINNING'
GROUP ACCTG ----TRANSACTION----
/ENDING
APP NUMBER PER. CD
------------------------------------------------------------------------------------------------------------------------------------
DATE NUMBER
D E S C R I P T I O N
DEBITS
CREDITS
BALANCE
101-7004-431.56-52
Services & Supplies
/ Materials
GM 03021 12/11 AP
06/17/11 0092703
DESERT•ELECTRIC SUPPLY
837.45
S1822163001 !
ELECTRIC
GM 02997 12/11 AP
06/21/11 0092535
KRIBBS CONSTRUCTION, BRUC
200.00
LQ102
FRAME
GM 03021 12/11 AP
06/22/11 0092703
DESERT ELECTRIC SUPPLY
554.63
S1823094001
ELECTRIC
GM 0$021 12/11 AP
06/23/11 0092703
DESERT ELECTRIC SUPPLY
974.40
51823499001
ELECTRIC
GM 03024 12/11 AP
06/24/11 0092708
HIGH TECH IRRIGATION INC
156.01
219611
IRRIGATION
GM 03010 12/11 AP
06/25/11 0092618
LOWE'S HOME IMPROVEMENT W
62.31
960180
IRRIGATION
GM 03024 12/11 AP
06/27/11 0092703
DESERT ELECTRIC SUPPLY
1,796.70
S1824145001
ELECTRIC MATERIAL
GM 03010 12/11 AP
06/28/11 0092614
HOME DEPOT CREDIT SERVICE
125.52
4013452
IRRIGATION
ACCOUNT TOTAL
74,491.91
587.71
73,904.20
101;7004-431.56-55
Services & Supplies
/ Small Tools/Equip.
.00
GM 01097 05/11 AP
10/28/10 0089712
HOME DEPOT CREDIT SERVICE
147.83
5015605
SMALL TOOLS
GM 02156 10/11 AP
03/08/11 0091423
GRAINGER,
317.28
9481131267
SMALL TOOLS
ACCOUNT TOTAL
465.11
465.11
101-7004-431.71-01
Capital Purchases /
Machinery & Equipment
.00
ACCOUNT TOTAL
.00
101-7004-431.71-02
Capital Purchases /
Furniture
.00
.
ACCOUNT TOTAL
.00
101-7004-431.71-03
Capital Purchases /
Vehicles
.00
ACCOUNT TOTAL
.00
101 -7004 -431.91 -'ll
Reimbursed Gen Fund
Exp / Personnel
.00
GM 00194 01/11 AJ
07/30/10 JE 01-029.
MONTHLY GF REIMB
51319.00
GM 00418 01/11 AJ
07/31/10 JE 01-054
CORR JUL110 GF REIMB
1,554.00
GM 00572 02/11 AJ
08/31/10 JE 02-034
MONTHLY GF REIMB
3,765.00
GM 00716 03/11 AJ
09/30/10 JE 03-035
MONTHLY GF REIMB
3,765.00
PREPARED i__.-7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING PAk7ei419
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D.E S C R I P T I 0 N DEBITS CREDITS BALANCE
------------------------------------------------------------------------------------------------------------------------------------
101-7004-431.91-11
Reimbursed
Gen Fund
Exp / Personnel
GM
00929
04/11
AJ
10/31/10
JE
-04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031•
MONTHLY
GF
REIMB
GM
01717
08/11•
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
GM
03065
12/11
AJ
06/30/11
JE
12-090
ADJUST Y/E
NEGATIVE CASH
ACCOUNT TOTAL
101-7004-431.91-12
Reimbursed
Gen Fund
Exp / Service & Supply
GM
00194
01/11
AJ
07/30/10
JE
01-029
MONTHLY
GF
REIMB
GM
00418
01/11
AJ
07/31/10
JE
01.-054
CORR JUL110
GF REIMB
GM
00572
02/11
AJ
08/31/10
JE
02-034
MONTHLY
GF
REIMB
GM
00716
03/11
AJ
09/30/10
JE
03-035'
MONTHLY
GF
REIMB
GM
00929
04/11
AJ
10/31/10
JE
04-027
MONTHLY
GF
REIMB
GM
01187
05/11
AJ
11/30/10
JE
05-030
MONTHLY
GF
REIMB
GM
01239
06/11
AJ
12/31/10
JE
06-002
MONTHLY
GF
REIMB
GM
01638
07/11
AJ
01/31/11
JE
07-031
MONTHLY
GF
REIMB
GM
01717
08/11
AJ
02/28/11
JE
08-009
MONTHLY
GF
REIMB
GM
01986
09/11
AJ
03/31/11
JE
09-019
MONTHLY
GF
REIMB
GM
02521
10/11
AJ
04/30/11
JE
10-044
MONTHLY
GF
REIMB
GM
02743
11/11
AJ
05/31/11
JE
11-044
MONTHLY
GF
REIMB
GM
02746
12/11
AJ
06/30/11
JE
12-002
MONTHLY
GF
REIMB
GM
03065
12/11
AJ
06/30/11
JE
12-090
ADJUST Y/E
NEGATIVE CASH
ACCOUNT TOTAL
101-7004-431.92-11 Other Charges / Fleet Maint Progr Charges
ACCOUNT TOTAL
10117004.-432.32-01 Lighting & Landscape Main / Public Works
ACCOUNT TOTAL
101-7005-431.10-01 Salaries & Wages / Permanent Full Time
ACCOUNT TOTAL
101-7005-431.10-03 Salaries & Wages / Salaries - Part Time
3,765.00
3,765.00
3,765.00
3,765.00
3,765.00
3,765.00
3,765.00
3,765.00
3,765.00
860.06
2,414.06 46,734.00 44,319.94CR
125.00
75,123.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
74,998.00
.00
12,148.02
12,273.02 900,101.00 887,827.98CR
.00
.00
.00
.00
.00
.00
.00
PREPARED 1-..-7/2014, 10:19:00 GENERAL LEDGER ..u,LVITY •LISTING PAwtig20
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE. NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-7005-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL .00
101-7005-431.10-04 Salaries & Wages / Regular Overtime
ACCOUNT TOTAL
101-7005-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
101-7005-431.10-14 Salaries & Wages / Regular Parttime O/T
ACCOUNT TOTAL
101-7005-431.10-15 Salaries & Wages / Standby
ACCOUNT TOTAL
101;7005-431.10-16 Salaries & Wages / Standby Overtime
ACCOUNT TOTAL
101-7005-431.10-18 Salaries & Wages / Natural Disaster - FEMA
ACCOUNT TOTAL
101-7005-431.20-01 Employee Benefits / PERS-City Portion
ACCOUNT TOTAL
101-7005-431.20-02 Employee Benefits / PERS-Employee Portion
"ACCOUNT TOTAL
101-7005-431.20-03 Employee Benefits / PERS-Survivor Benefits
ACCOUNT TOTAL
.00
.00
.00
00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
-.06
.00
.00
.00
PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER mLe&VITY LISTING PAwti421
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
101-7005-431.21-01 Insurance Benefits / Medical Insurance .00
ACCOUNT TOTAL .00
101-7005-431.21-02 Insurance Benefits / Vision Insurance
ACCOUNT TOTAL•
101-7005-431.21-03 Insurance Benefits / Dental Insurance
• ACCOUNT TOTAL
101-7005-431.21-05 Insurance Benefits / Life Insurance
ACCOUNT TOTAL
101-7005-431.21-06 Insurance Benefits / Flexible Compensation
ACCOUNT TOTAL
101-7005-431.21-07 Insurance Benefits / Long Term Disability
ACCOUNT TOTAL
101-7005-431.25-01 Workers Comp Insurance / Workers Comp Insurance
ACCOUNT TOTAL
101-7005-431.27-01 Other Benefits & Deduc. / State Unemployment SUI
ACCOUNT TOTAL
101-7005-431.27-03 Other Benefits & Deduc. / Social Security -Medicare
• ACCOUNT TOTAL
101-7006-431.10-01 Salaries & Wages / Permanent Full Time
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY
PR 00007 01/11 AJ 07/09/10 PR0709 PAYROLL SUMMARY
PR 0.0100 01/11 AJ 07/23/10 PR0723 PAYROLL SUMMARY
PR 00196 02/11 AJ 08/06/10 PR0806 PAYROLL SUMMARY
15,254.27
16,910.70
16,911.18
12,203.44
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
.00
PREPARED
_ ._7/2014,
10:19:00
ACCOUNT TOTAL
GENERAL LEDGER -- VITY
LISTING
PNwei422
PROGRAM
Salaries
GM362LA
/ Regular Overtime
PR
00007
01/11
AJ
07/09/10
PR0709
CITY
OF LA
QUINTA, CALIFORNIA
00007
01/11
AJ
07/09/10
PR0709
------------------------------------------------------------------------------------------------------------------------------------
FUND
101
General
Fund
01/11
AJ
07/23/10
PR0723
PAYROLL
BEGINNING
PR
GROUP
ACCTG
----TRANSACTION----
10/29/10
PR1029
PAYROLL
SUMMARY
/ENDING
APP
---------------------------'---------------------------------------------------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER
D E S C R I
P T I O N
DEBITS CREDITS
BALANCE
101=7006-431.10-01
12/10/10
PR1210
Salaries
& Wages /
Permanent Full
Time
09/11
AJ
PR
00342
02/11
AJ
08/20/10
PR0820
PAYROLL
SUMMARY
16,910.67
PR
00435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
16,910.68
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
16,911.16
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
16,831.78
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
16,832.02
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
16,832.28
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
16,832.03
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
16,910.69
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
16,910.69
PR
01364
06/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
16,910.68
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
18,084.85
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
16,910.68•
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
16,910.68
PR
01783
08/11
AJ.02/18/11
PR0218
PAYROLL
SUMMARY
16,910.68
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
16,910.69
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
16,910.68
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
16,910.68
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
16,910.67
PR
02348.
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
16,910.68
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
17,136.96
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
17,170.79
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
17,171.69
PR
02867
12/11
AJ,
06/24/11
PR0624
PAYROLL
SUMMARY
17,171.51
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
15,453.11
ACCOUNT TOTAL 455,343.18
101:7006-431.10-03 Salaries & Wages / Salaries - Part Time
ACCOUNT TOTAL
101-7006-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
56.07
336.45
84.11
210.28
56.07
399.53
1,142.51
12,203.44
44.86
44.86
443,139.74
.00
.00
.00
1,097.65
00
.00
ACCOUNT TOTAL
101-7006-431.10-04
Salaries
& Wages
/ Regular Overtime
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-7006-431.10-05 Salaries & Wages / Temporary Agency Services
ACCOUNT TOTAL
56.07
336.45
84.11
210.28
56.07
399.53
1,142.51
12,203.44
44.86
44.86
443,139.74
.00
.00
.00
1,097.65
00
.00
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PREPARED ...-7/2014, 10:19:00 GENERAL LEDGER .,_.-VITY LISTING PAw�,425
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
-------------------------------------------------------------------------------- ------------------- ---------------------------------
101-7006-431.20-02
Employee
Benefits /
PERS-Employee Portion
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00007
01/11
AJ
07/09/10
PR0709
PAYROLL
SUMMARY
PR
00100
01/11
AJ
07/23/10
PR0723
PAYROLL
SUMMARY
PR
00196
02/11
AJ
08/06/10
PR0806
PAYROLL
SUMMARY
PR
00342
02/11
AJ
08/20/10
PR0B20
PAYROLL
SUMMARY
PR
OD435
03/11
AJ
09/03/10
PR0903
PAYROLL
SUMMARY
PR
00594
03/11
AJ
09/17/10
PR0917
PAYROLL
SUMMARY
PR
00685
04/11
AJ
10/01/10
PR1001
PAYROLL
SUMMARY
PR
00824
04/11
AJ
10/15/10
PR1015
PAYROLL
SUMMARY
PR
00911
04/11
AJ
10/29/10
PR1029
PAYROLL
SUMMARY
PR
01060
05/11
AJ
11/12/10
PR1112
PAYROLL
SUMMARY
PR
01137
05/11
AJ
11/24/10
PR1124
PAYROLL
SUMMARY
PR
01249
06/11
AJ
12/10/10
PR1210
PAYROLL
SUMMARY
PR
01364
06•/11
AJ
12/23/10
PR1223
PAYROLL
SUMMARY
PR
01418
07/11
AJ
01/07/11
PR0107
PAYROLL
SUMMARY
PR
01561
07/11
AJ
01/21/11
PR0121
PAYROLL
SUMMARY
PR
01646
08/11
AJ
02/04/11
PR0204
PAYROLL
SUMMARY
PR
01783
08/11
AJ
02/18/11
PR0218
PAYROLL
SUMMARY
PR
01904
09/11
AJ
03/04/11
PR0304
PAYROLL
SUMMARY
PR
02016
09/11
AJ
03/18/11
PR0318
PAYROLL
SUMMARY
PR
02151
10/11
AJ
04/01/11
PR0401
PAYROLL
SUMMARY
PR
02253
10/11
AJ
04/15/11
PR0415
PAYROLL
SUMMARY
PR
02348
10/11
AJ
04/29/11
PR0429
PAYROLL
SUMMARY
PR
02524
11/11
AJ
05/13/11
PR0513
PAYROLL
SUMMARY
PR
02625
11/11
AJ
05/27/11
PR0527
PAYROLL
SUMMARY
PR
02733
12/11
AJ
06/10/11
PR0610
PAYROLL
SUMMARY
PR
02867
12/11
AJ
06/24/11
PR0624
PAYROLL
SUMMARY
PR
02947
12/11
AJ
07/08/11
PR0708
PAYROLL
SUMMARY
ACCOUNT TOTAL
101-7006-431.20-03 Employee Benefits / PERS-Survivor Benefits
101-7006-431.21-01
PR
00007
01/11
AJ
PR
00007
01/11
AJ
PR
00100
01/11
AJ
PR
00100
01/11
AJ
PR
00196
02/11
AJ
PR
00196
02/11
AJ
PR
00342
02/11
AJ
PR
00342
02/11
AJ
PR
00435
03/11
AJ
PR
00435
03/11
AJ
PR
00594
03/11
AJ
ACCOUNT TOTAL
Insurance Benefits
07/09/10 PR0709
07/09/10 PR0709
07/23/10 PR0723
07/23/10 PR0723
08/06/10 PR0806
08/06/10 PR0806
08/20/10 PR0B20
08/20/10 PR0820
09/03/10 PR0903
09/03/10 PR0903
09/17/10 PR0917
/ Medical Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
1,217.10
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,343.34
1,343.34
1,343.34
1,343.34
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1,349.65
1;349.65
1,349.65
1,367.75
1,370.36
1,370.36
1,370.36
1,233.33
36,246.67
3,139.96
3,341.68
3,341.68
3,341.68
3,341.68
3,341.68
973.68
973.68
2,814.83
289.08
297.36
297.36
297.36
.00
35,272.99
.00
.00
.00
55'£5
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PREPARED -..-7/2014, 10:19:00 GENERAL LEDGER MV,,VITY LISTING PAwet427
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND•101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------=--------------------------------------------------
101-7006-431.21-02
PR 00594 03/11 AJ
PR 00685 04/11 AJ
PR 00824 04/11 AJ
PR 01060 05/11 AJ
PR 01137 05/11 AJ
PR 01249 06/11 AJ
PR 01364 06/11 AJ
PR 01418 07/11 AJ
PR 01561 07/11 AJ
PR 01646 08/11 AJ
PR 01783 08/11 AJ
PR 01904 09/11 AJ
PR 02016 09/11 AJ
PR 02151 10/11 AJ
PR 02253 10/11 AJ
PR 02524 11/11 AJ
PR 02625 11/11 AJ
PR 02733 12/11 AJ
PR 02867 12/11 AJ
PR 02947 12/11 AJ
101=7006-431.21-03
PR
00007
01/11
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PR
00100
01/11
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02/11
AJ
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00342
02/11
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03/11
AJ
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03/11
AJ
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04/11
AJ
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04/11
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05/11
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05/11
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06/11
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07/11
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08/11
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09/11
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09/11
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PR
02151
10/11
AJ
PR
02253
10/11
AJ
PR
02524
11/11
AJ
PR
02625
11/11
AJ
PR
02733
12/11
AJ
Insurance Benefits /
09/17/10 PR0917
10/01/10 PR1001
10/15/10 PR1015
11/12/10 PR1112
11/24/10 PR1124
12/10/10 PR1210
12/23/10 PR1223
01/07/11 PR0107
01/21/11 PR0121
02/04/11 PR0204
02/18/11 PR0218
03/04/11 PR0304
03/18/11 PR0318
04/01/11 PR0401
04/15/11 PR0415
05/13/11 PR0513
05/27/11 PR0527
06/10/11 PR0610
06/24/11 PR0624
07/08/11 PR0708
LL0id11O2ki%jLlI
Insurance
07/09/10
07/09/10
07/23/10
08/06/10
08/20/10
09/03/10
09/17/10
10/01/10
10/15/10
11/12/10
11/24/10
12/10/10
12/23/10
01/07/11
01/21/11
02/04/11
02/18/11
03/04/11
03/18/11
04/01/11
04/15/11
05/13/11
05/27/11
06/10/11
Benefits
PR0709
PR0709
PR0723
PR0806
PR0B20
PR0903
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PR1001
PR1015
PR1112
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PR1210
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PR0218
PR0304
PR0318
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PR0527 '
PR0610
Vision Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
Dental Insurance
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
PAYROLL SUMMARY
53.55
53.55
53.55
53.55
53.55
53.55
53.55
53.55
53.55
53.55
•53.55
53.55
53.55
53.55
53.55
53.55
53.55
53.55
53.55
48.21
1,331.00
260.95
270.87
263.71
263.71
263.71
263.71
263.71
263.71
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263.71
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263.71
40.91
208.75
1,290.09
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00:61:01
4i0Z/L-
---
O3bVd3bd
PREPARED
_-7/2014,
10:19:00
GENERAL LEDGER __ VITY
LISTING
PNuca431
PROGRAM
GM362LA
CITY OF
LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-------------- =-----------------------
CD
DATE NUMBER D E
-------------------------------------•---------------------------------------------------------
S C R I P T I O N
DEBITS CREDITS
BALANCE
101-7006-431.27-03
Other Benefits & Deduc.
/ Social Security -Medicare
PR
02867
12/11
AJ
06/24/11 PR0624
PAYROLL SUMMARY
258.04
PR
02947
12/11
AJ
07/08/11 PR0708
PAYROLL SUMMARY
237.41
ACCOUNT TOTAL
7,140.95 182.82
6,958.13
101-7006-431.32-07
Contract Services / Consultants
.00
GM
00490
03/11
AP
08/12/10 0088874
PSOMAS INC
12,967.50
67113
CONT SVC INSPECTION
GM
00712
04/11
AP
09/16/10 0089251
PSOMAS INC
7,297.50
67967
AUG -INSPECTION
GM
00823
04/11
AP
10/01/10 0089236
NAI CONSULTING INC
250.00
19 OF 2009-05
SEP -PROF SVC
GM
01001
05/11
AP
10/19/10 0089628
PSOMAS INC
31990.00
68567
SEP -PROF SVC
GM
01210
06/11
AP
11/04/10 0089895
WAL MART COMMUNITY
280.58
701492RNE
DIGITAL CAMERAS
GM
01511
07/11
AP
11/18/10 0090331
PSOMAS INC
2,520.00
69530
OCT -INSPECTION SVC
GM
01264
06/11
AP
12/01/10 0090019
NAI CONSULTING INC
250.00
21 OF 2009-05
NOV-PROF SVC
GM
01264
06/11
AP
12/01/10 0090019
NAI CONSULTING INC
500.00
21 OF 2009-05
NOV-PROF SVC
GM
01511
07/11
AP
12/06/10 0090331
PSOMAS INC
200.00
69807
NOV-INSPECTION SVC
GM
01643
08/11
AP
01/17/11 0090702
PSOMAS INC
16,300.00
70708
DEC -INSPECTION SVC
GM
02083
09/11
AP
02/14/11 0091236
PSOMAS INC
13,650.00
71144
JAN -INSPECTION
GM
02316
10/11
AP
03/15/11 0091683
PSOMAS INC
11,500.00
71857
FEB -INSPECTION SVC
GM
02346
10/11
AP
04/11/11 0091683
PSOMAS INC
51050.00
72527
INSPECTION SVC
GM
02784
12/11
AP
05/12/11 0092260
PSOMAS INC
51300.00
73312
APR -INSPECTION SVC
GM
62660
11/11
AJ
05/31/11 AJE 11-031
RECLASS NAI INVOICE
20,000.00
GM
03021.
12/11
AP
06/21/11 0092725
PSOMAS INC
14,200.00
74134
MAY -INSPECTIONS
GM
03055
12/11
AJ
06/30/11 AJE 12-082
CIP ADJUSTMENTS
973.00
GM
03055
12/11
AJ
06/30/11 AJE 12-082
CIP ADJUSTMENTS
886.00
GM
03021
12/11
AP
06/30/11 0092700
DDL TRAFFIC INC.
15,294.60
1727
OPTICOM EQUIP
GM
03031
12/11
AP
07/18/11 0092855
PSOMAS INC
10,250.00
74786
JUN -CONT SVC
ACCOUNT TOTAL
141,659.18
141,659.18
101-7006-431.32-08 Contract Services / Contract Traffic Engineer .00
PREPARED
_ ._7/2014,
10:19:00
GENERAL LEDGER -- VITY
LISTING
PNwti432
PROGRAM
GM362LA
CITY OF LA
------------------------------------------------------------------------------------------------------------------------------------
QUINTA, CALIFORNIA
FUND 101'General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
---------------------------------------------------------------------------------------------------------------=--------------------
PER.
CD
DATE NUMBER
D E S C R I P T I O N
DEBITS CREDITS
BALANCE
•101-7006-431.32-08
Contract Services /
Contract Traffic Engineer
GM
00274
02/11
AP
07/31/10 0088513
TRAFFEX ENGINEERS INC
18,537.50
1 OF 10-05
JUL-TRFF ENGINEER
GM
00555
03/11
AP
09/04/10 0088901
TRAFFEX ENGINEERS INC
8,837.00
2 OF 10-05
AUG-TRFF ENGINEER
GM
09823
04/11
AP
10/03/10 0089275
TRAFFEX ENGINEERS INC
12,556.25
3 OF 10-05
TRAFFIC ENGINEER
GM
01001
05/11
AP
10/31/10 0089661
TRAFFEX ENGINEERS INC
11,033.75
4 OF 10-05
TRFF ENGINEER
GM
01264
06/11
AP
12/05/10 0090067
TRAFFEX ENGINEERS INC
15,492.50
5 OF 10-05
TRFF ENGINEER
GM
01511
07/11
AP
01/01/11 0090352
TRAFFEX ENGINEERS INC
10,983.00
6 OF 10-05
TRAFFIC ENGINEER
GM
01804
08/11
AP
02/05/11 0090907
TRAFFEX ENGINEERS INC
14,550.00
7 OF 10-05
TRFF ENGINEER'
GM
02077
09/11
AP
02/28/11 0091260
TRAFFEX ENGINEERS INC
11,070.00
8 OF 10-05
FEB-TRFF ENGINEER
GM
02248
10/11
AP
04/02/11 0091510
TRAFFEX ENGINEERS INC
11,867.50
9 OF 10-05 •
MAR-TRFF ENGINEER
GM
02507
11/11
AP
04/30/11 0091873
TRAFFEX ENGINEERS INC
15,710.00
'
10 OF 10-05
APR-TRFF ENGINEER
GM
02784
12/11
AP
05/30/11 0092288
TRAFFEX ENGINEERS INC
12,367.75
11 OF 10-05
MAY-TRFF ENGINEER
ACCOUNT TOTAL
143,005.25
143,005.25
•101-7006-431.32-09
Contract Services /
Traffic Counts/Studies
..
.00
GM
00275
02/11
AP
08/10/10 0088478
ITERIS
14,355.00
29686
VIDEO DETECTION SYS
'
GM
00712
04/11
AP
09/08/10 0089260
RK ENGINEERING GROUP INC
165.00
10810
BERMUDAS RESTRIPE
GM
02787
12/11
AP
10/28/10 0092187
COUNTS UNLIMITED INC
400.00
10223
TRFF COUNTS
GM
01092
05/11
AP
11/05/10 0089759
'COUNTS UNLIMITED INC
440.00
10099
TRFF COUNTS'
GM
01066
05/11
AP
11/09/10 0087820
COUNTS UNLIMITED INC
440.00
10099
TRFF COUNTS
GM
01632
08/11
AP
01/18/11 0090640
COUNTS UNLIMITED INC
220.00
11005
TRFF COUNTS
GM
02084
09/11
AP
03/02/11 0091176
COUNTS UNLIMITED INC
90.00
11040
TRFF COUNTS
ACCOUNT TOTAL
15,670.00 440.00
15,230.00
101-7006-431.32-10
Contract Services /
Professional
.00
GM
01903
09/11
AP
02/14/11 0091008
HARTZOG & CRABILL, INC.
200.00
11-0085
GRAPHICS -3 SIGNALS
GM
02987
12/11
AP
06/21/11 0092533
INDIO, CITY OF
668.64
PREPARED -.--7/2014, 10:19:00 GENERAL LEDGER--..VITY LISTING PAOCL i33
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C.R I P T I 0 N DEBITS CREDITS BALANCE
---------------------------------------------------------------------------------------------------------------------------- ------
101-7006-431.32-10 Contract Services / Professional
34916 SIGNAL MAINT
ACCOUNT TOTAL
101-7006-431.32-15 Contract Services / PM 10 - SilverRock
ACCOUNT TOTAL
101-7006-431.32-20
Contract
Services
/ Signal Services
GM
00350
02/11
AP
08/11/10
0088680
REPUBLIC INTELLIGENT
TRAN
710385
BKUP SIGNAL SVC
GM
00702
03/11
AP
09/09/10
0089078
REPUBLIC INTELLIGENT
TRAN
810385
TRFF SIGNAL BKUP SVC
GM
00725
04/11
AP
09/28/10
0089182
DDL TRAFFIC INC.
1381
TECH-WASH/HWY111
GM
00914
04/11
AP
10/04/10
0089391
DDL TRAFFIC INC.
1389
BATT BKUP SYS MAINT
GM
01001
05/11
AP
10/11/10
0089637
REPUBLIC INTELLIGENT
TRAN
910385
BACKUP SIGNAL SVC
GM
01181
06/11
AP
11/03/10
0089993
KRIBBS CONSTRUCTION,
BRUC
3051
SIGNAL SVC
GM
01264
06/11
AP
12/02/10
0090039
REPUBLIC INTELLIGENT
TRAN
1110385
SIGNAL SVC
GM
01804
08/11
AP
01/31/11
0090890
REPUBLIC INTELLIGENT
TRAN
RR -97290
TRFF SIGNAL BKUP SVC
GM
01571
07/11
AP
02/03/11
0090526
REPUBLIC INTELLIGENT
TRAN
1210385
TRFF SIGNAL SVC
GM
02156
10/11
AP
02/28/11
0091486
REPUBLIC INTELLIGENT
TRAN
RI -106843
TRFF SIGNAL BKUP
GM
02156
10/11
AP
03/18/11
0091397
DDL TRAFFIC INC.
1593
SIGNAL SERVICES
GM
02156
10/11
AP
03/18/11
0091397
DDL TRAFFIC INC.
1594
SIGNAL SERVICES
GM
02156
10/11
AP
03/22/11
0091397
DDL TRAFFIC INC.
1592
SIGNAL SERVICES
GM
02351
10/11
AP
03/31/11
0091691
SIEMENS INDUSTRY INC
RI107884
TRFF SIGNAL SVC
GM
02351
10/11
AP
03/31/11
0091691
SIEMENS INDUSTRY INC
RI108022
TRFF SIGNAL SVC
GM
02558
11/11
AP
04/29/11
0092047
REPUBLIC INTELLIGENT
TRAN
RI109685
TRFF SIGNAL SVC
GM
02558
11/11
AP
04/29/11
0092047
REPUBLIC INTELLIGENT
TRAN
RI109682
SIGNAL SERVICES
GM
02558
11/11
AP
04/30/11
0092047
REPUBLIC INTELLIGENT
TRAN
RI109444
APR-TRFF SIGNAL SVC
GM
02865
12/11
AP
06/06/11
0092403
REPUBLIC INTELLIGENT
TRAN
RI111935
SIGNAL SVC
868.64
1,844.13
3,098.37
1,500.00
1,261.50
571.06-
150.00
71.06•150.00
695.63
716.25
659.13
312.75
865.56
849.25
993.38
1,164.13
3,512.84
3,500.00
3,522.38
4,007.38
2,322.38
868.64
.00
.00
.00
PREPARED _ _7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING PMuc&434
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
----------------------------------------------------------------------------------------------------------------=-------------------
101-7006-431.32-20 Contract Services / Signal Services
GM 03021 12/11 AP 07/05/11 0092728 REPUBLIC INTELLIGENT TRAN 6,753.38
RI -113404 SIGNAL SVC
GM 03031 12/11 AP 07/05/11 0092857 REPUBLIC INTELLIGENT TRAN 6,753.38
RI113404 SIGNAL SVC
ACCOUNT TOTAL 45,052.88
101-7006-431.34-04 Contract Services / Technical
ACCOUNT TOTAL
101-7006-431.41-30 Utilities / Security & Alarm
ACCOUNT TOTAL
101-7006-431.44-01 Contract Services / Equipment Rental
ACCOUNT TOTAL
101=7006-431.51-01
Services
& Supplies
/ Travel & Training
GM
00555
03/11
AP
09/09/10
0088787
APWA SOUTHERN CALIFORNIA
100.00
1
GIS CONF
GM
00751
04/11
AP
09/30/10
0089143
VALENZUELA, DANIEL
23.97
REIMB
MEALS-APWA TRAINING
GM
00860
04/11
AP
10/19/10
0089443
METROPOLITAN TRANSPORTATI
150.00
1019210
REGISTRATION FEE
GM
01210
06/11
AP
11/02/10
0089891
VALENZUELA, DANIEL
21.02
REIMB
MEALS-CASQA CONF
GM
01096
05/11
AP
11/10/10
0089828
PRYOR SEMINARS, FRED
299.00
12120672
102072 LEONARD 12/16
GM
01163
05/11
AP
11/24/10
0089443
METROPOLITAN TRANSPORTATI
1019210
REGISTRATION FEE
GM
01560
07/11
AP
12/01/10
0090453
CALIFORNIA JOINT POWERS I
50.00
6866
NO SHOW FEE
GM
02198
10/11
AP
03/22/11
0091361
AEI CASC CONSULTING
1,725.00
26750
TRAINING SWPPP
GM
02288
-10/11
AP
04/01/11
0091560
WELLS FARGO BUSINESS CARD
110.00
3072
VISA CARD PYMT
GM
02350
10/11
AP
04/12/11
0091642
IMSA CERTIFICATION
225.00
GUNTERSON
CERTIFICATION CLASS
GM
02538
11/11
AP
05/02/11
0091899
GUZMAN, HECTOR
127.50
REIMB
MILEAGE - SAN DIEGO
GM
02645
11/11
AP
05/17/11
0092109
VALENZUELA, DANIEL
54.27
REIMB
MEALS-CISEC TRAINING
GM
02588
11/11
AP
05/18/11
0091938
LACMTA
150.00
150.00
45,052.88
.00
.00
.00
.00
.00
.00
.00
89'58
89'58
11/101 1Nn000V
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89'58
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11/90/40
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00:61:01 `4TOZ/L-
---
03bVd3bd
PREPARED ----7/2014, 10:19:00 GENERAL LEDGER -- VITY LISTING Ptivc. 36
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
---- ------------------------------
101-7006-431.53-01 Services & Supplies / Printing
GM 00823 04/11 AP 09/30/10 0089267 STATE OF CALIFORNIA
49418 RENEWAL-MCKINNEY
ACCOUNT TOTAL
101-7006-431.53-03'Services & Supplies'/ Membership Dues
GM 01046 05/11 AP 11/03/10 0089596 INTERNATIONAL MUNICIPAL S
90117 MEMBERSHIP
ACCOUNT TOTAL
10117006-431.53-04 Services & Supplies / Subscrip & Publications
ACCOUNT TOTAL
101-7006-431.53-05 Services & Supplies / Training & Education
ACCOUNT TOTAL
101-7006-431.54-01 Information Technology / Information Tech Chgs
GM 00353 02/11 AP 08/09/10 0088691 SILVERROCK RESORT
97829622 JUL110 SALES TAX
ACCOUNT TOTAL
101-7006-431.56-01 Services & Supplies / Office Supplies
ACCOUNT TOTAL
101-7006-431.56-02
Services
& Supplies /
Operating Supplies
GM
00350
02/11
AP
05/07/10
0088680
REPUBLIC INTELLIGENT TRAN
18297
VANDALISM 2006-16
GM
00274
02/11
AP
07/14/10
0088467
DESERT ELECTRIC SUPPLY
S1740469001
POWER & VIDEO CABLES
GM
00274
02/11
AP
07/14/10
0088467
DESERT ELECTRIC SUPPLY
S1744830001
TRFF SIGNAL TECH PARTS
GM
OU274
02/11
AP
07/21/10
0088527
ZAP MANUFACTURING, INC
38136
ISNS BRACKETS
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
960637
TRFF SIGNAL SUPPLIES
GM
00299.
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
960715
TRFF TECH SUPPLIES
GM
00299
02/11
AP
07/25/10
0088541
LOWE'S HOME IMPROVEMENT W
125.00
125.00
70.00
70.00
36.00
36.00
1,300.00
1,327.17
42.46
737.07
10.84
15.19
50.14
.00
125.00
.00
70.00
00
.00
.00
.00
.00
36.00
.00
.00
.00
PREPARED
7/2014, 10:19:00
GENERAL LEDGER ..-.-VITY
LISTING
PA -437
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
------------------------------------------------------------------------------------------------------------------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------------------------------------------------------------------------------------------------------------------------------------
PER.
CD
DATE
NUMBER
D E S C R I P T I 0'N
DEBITS CREDITS
BALANCE
101-7006-431.56-02
Services
& Supplies
/ Operating Supplies
913928
TRFF TECH SUPPLIES
GM
00286
02/11
AP
07/28/10
0088647
JTB SUPPLY CO., INC.
279.49
92099
TRFF SIGNAL PARTS
GM
00299
012/11
AP
07/28/10
0088538
IMPERIAL IRRIGATION DIST
6,017.47
50161910
PROPERTY DAMAGE
GM
00490
03/11
AP
07/30/10
0088911
VIP PROMOTIONAL SERVICES
639.27
13811
SHIRTS
GM
00350
02/11
AP
08/03/10
0088647
JTB SUPPLY CO., INC.
309.94
92118
DETECTORS
GM
00350
02/11
AP
08/03/10
0088647
JTB SUPPLY CO., INC.
1,676.93
92119
BLKHAWK PANELS
GM
00350
02/11
AP
08/06/10
0088625
ECONOLITE CONTROL PRODUCT
3,045.00
86418
ASC 3 CONTROLLER
CR
00294
02/11
CR
08/10/10
0001497
LQHS ASB/BLKHAWK WAY FINA
1,523.07
'
DMARTIN 08/10/10 01
GM
00439
03/11
AP
08/25/10
0088744
LOWE'S HOME IMPROVEMENT W
34.16
904995
TRFF TECH SUPPLIES
GM
00490
03/11
AP
08/25/10
0088842
JTB SUPPLY CO., INC.
774.30
92179
LED SIGNALS/PED BUTTONS
GM
00490
03/11
AP
08/26/10
0088834
ITERIS
326.25
30468
CAMERA BRCKTS
GM
00702
03/11
AP
09/13/10
0089033
JTB SUPPLY CO., INC.
998.33
92255
LED SIGNAL INDICATIONS
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
155.26
960979
TRFF TECH TOOLS
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
12.63
960400
TRFF SIGNAL SUPPLIES
GM
00751
04/11
AP
09/25/10
0089140
LOWE'S HOME IMPROVEMENT W
19.54
960069
TRFF TECH SUPPLIES
GM
ODS23
04/11
AP
09/27/10
0089215
ITERIS
163.13
30953 .
TRFF TECH SUPPLIES
GM
00823
04/11
AP
09/28/10
0089218
JTB SUPPLY CO., INC.
152.25
92314
SIGNAL LOUVER
GM
00846.
04/11
AP
09/28/10
0089401
ECONOLITE CONTROL PRODUCT
234.25
87442
BIU REPAIRS
GM
00837
04/11
AP
10/01/10
0089331
WELLS FARGO BUSINESS CARD
106.40
3072
VISA CARD PYMT
GM
01001
05/11
AP
10/20/10
0089651
SIERRA PACIFIC ELECTRICAL
13,325.00
20862
REWIRE 50/WASH
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
33.34
913042
ISMS LAMPS
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
42.52
960186
SIGNAL TECH SUPPLIES
GM
01033
05/11
AP
10/25/10
0089527
LOWE'S HOME IMPROVEMENT W
.26.90
960770
SIGNAL TECH SUPPLIES
GM
01048
05/11
AP
11/03/10
0089652
SILVERROCK RESORT
8.00
97829622
OCT110 SALES TAX
GM
01181
06/11
AP
11/04/10
0089988
ITERIS
326.25
31606
CAMERA BRACKETS
PREPARED
-..-7/2014,
10:19:00
GENERAL LEDGER--..VITY
LISTING
PN���w38
PROGRAM
GM362LA
CITY OF LA
QUINTA, CALIFORNIA
-----------------------------------------
FUND 101
General
Fund
-----------------------------------------
-------------------------------------------
--------
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP
-------------------------=----------------------------------------------------------------
NUMBER
PER.
CD
DATE
NUMBER .
D E S C R I P T I O N
DEBITSCREDITS
-----------------------------------------
BALANCE
-
101-7006-431.56-02
Services
& Supplies
/ Operating Supplies
GM
02084
09/11
AP
11/08/10
0091185
ECONOLITE CONTROL PRODUCT
137.03
•
88212
VIDEO CABLE
GM
01181
06/11
AP
11/09/10
0089991
JTB SUPPLY CO., INC.
152.25
92445 '
TRAFFIC SUPPLIES
GM
01210
06/11
AP
11/12/10
0089895
WAL MART COMMUNITY
28.01
FO1A3KElT
CAM MEMORY CHIPS
GM
01362
06/11
AP
11/30/10
0090189
ECONOLITE CONTROL PRODUCT
800.40
88612
-
CAMERA CABLES
GM
01253
06/11
AP
12/02/10
0089922
WELLS FARGO BUSINESS CARD
13.77
3072
VISA CARD PYMT
GM
01335
06/11
AP
12/13/10
0090086
CASH/PETTY CASH
43.47
121310
PETTY CASH REIMB
GM
01704
08/11
AP
12/15/10
0090653
ECONOLITE CONTROL PRODUCT
234.25
88986
REPAIR BIU'S
GM
01571
07/11
AP
12/23/10
0090478
GDI COMMUNICATIONS INC
3,328.91
13103
TRFF SIGNAL EQUIP
GM
02478
07/11
AP
12/27/10
0090345
SIERRA PACIFIC ELECTRICAL
15,141.00
20985
REWIRE TRFF SIGNAL'
GM
01704
08/11
AP
01/21/11
0090670
ITERIS
356.87
32786
V CAMERA REPAIR
GM
01692
08/11
AP
01/25/11
0090606
LOWE'S HOME IMPROVEMENT W
6.04
920434'
TRFF TECH SUPPLIES
GM
01787
08/11
AP
02/07/11
0090830
COMPANY, THE
1,800.90
29963
LADDER RACK
GM
02084
09/11
AP
02/14/11
0091174
COMPANY, THE
1,•925.76
29972
SIGNAL TK LADDER
GM
02084
09/11
AP
02/14/11
0091206
JTB SUPPLY CO., INC.
16,708.35
92765
TRFF•SIGNAL
GM
02084
09/11
AP
02/22/11
0091195
HARTZOG & CRABILL, INC.
51350.00
11-0098
ARIES GRAPHICS
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
43.34
960150
TRFF TECH SUPPLIES
GM
02003
09/11
AP
02/25/11
0091083
LOWE'S HOME IMPROVEMENT W
91.08
960152
TRFF TECH SUPPLIES
GM
02156
10/11
AP
03/10/11
0091495
SIERRA PACIFIC ELECTRICAL
5,788.00
21141
DAMAGED MAST ARM
GM
02198
10/11
AP
03/21/11
0091407
ECONOLITE CONTROL PRODUCT
1,093.77
90543
CAMERA REPAIR
GM
02225
10/11
AP
03/25/11
0091350
LOWE'S HOME IMPROVEMENT•W
9.03
960016
TRFF TECH SUPPLIES
GM
02346
10/11
AP
04/06/11
0091623
ECONOLITE CONTROL PRODUCT
1,357.20
90829
CABINET POWER SUPPLIES
GM
02346
10/11
AP
04/12/11
0091634
HARTZOG & CRABILL, INC.
51350.00
11-0208
ARIES GRAPHIS EISEN/MILES
GM
02346
10/11
AP
04/18/11
0091649
JTB SUPPLY CO., INC.
652.50
93008
FAN -SIGNAL CABINETS
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
68.39.
960096
TRFF TECH SUPPLIES
GM
02538
11/11
AP
04/25/11
0091905
LOWE'S HOME IMPROVEMENT W
65.17
PREPARED
-.,.-7/2014, 10:19:00
GENERAL LEDGER __..VITY
LISTING
Pkw�,439
PROGRAM
GM362LA
CITY OF LA
QUINTA,
CALIFORNIA
-----------------------------------------------------------------------------------------------------------'-------------------------
FUND 101
General
Fund
BEGINNING
GROUP
ACCTG
----TRANSACTION----
/ENDING
APP NUMBER
------=----------------------------------------------------
PER.
CD
DATE
NUMBER D
E S C R I P T I O N
-----------------------------------------------------------------
DEBITS CREDITS
BALANCE
--------
101-7006-431.56-02
Services
& Supplies /
Operating Supplies
920209
RETURN CREDIT
GM 02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT
W
8.46
960939
TRFF TECH SUPPLIES
GM 0e702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT
W
36.96
960807
TRFF TECH SUPPLIES
GM 02702
12/11
AP
05/25/11
0092127
LOWE'S HOME IMPROVEMENT
W
15.33
960029
TRFF TECH SUPPLIES
GM 02863
12/11
AP
05/26/11
0092380
JTB SUPPLY CO., INC.
11.,694.98
93175
LEDS-EQUIP/SUPPLIES
GM 02865
12/11
AP
06/07/11
0092389
LOCK SHOP INC, THE
197.58
BB00001924
TRFF CAB LOCKS
GM 02870
12/11
AP
06/21/11
0092426
CASH/PETTY CASH
5.86
06212011
PETTY CASH
GM 03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT
W
3.24
920631
RETURN CREDIT
GM 03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT
W
33.59
920632
TRFF TECH SUPPLIES
GM 03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT
W
34.78
'
94006
TRFF TECH SUPPLIES
GM 03010
12/11
AP
06/25/11
0092618
LOWE'S HOME IMPROVEMENT
W
6.50
907733
TRFF TECH -SUPPLIES
GM 03020
12/11
AP
06/29/11
0092650
CAPITAL ONE COMMERCIAL
186.61
34905.
CAMERA
GM 03031
12/11
AP
06/30/11
0092846
ECONOLITE CONTROL PRODUCT
505.71
92335
TRFF TECH SUPPLIES
GM 01703
08/11
AP
12/27/11
0090653
ECONOLITE CONTROL PRODUCT
200.10
89190
V CAMERA CABLE
ACCOUNT
TOTAL
105,596.26 1,591.48
104,004.78
101-7006-431.56-25.Services
& Supplies /
Supplies - Software
.00
GM 00099
01/11
AP
07/02/10
0088353
TRANSOFT SOLUTIONS INC
475.00
60827
CAD TURNING TEMPLATES
ACCOUNT
TOTAL
475.00
475..00
101-7006-431.56-40
Services
& Supplies /
Safety Gear
.00
GM 01478
07/11
AP
12/13/10
0090306
INDIO SHOE STORE INC
155.51
7921
WORK BOOTS -LEONARD
GM 02784
12/11
AP
05/21/11
0092220
JERNIGAN'S, INC.
188.12
7574
SAFETY GEAR
ACCOUNT
TOTAL
343.63
343.63
101;7006-431.71-01
Capital Purchases
/ Machinery & Equipment
.00
GM 02084
09/11
AP
02/21/11
0091204
ITERIS
14,355.00
PREPARED 7/2014, 10:19:00 GENERAL LEDGER .— -VITY LISTING PA -440
PROGRAM GM362LA
CITY OF LA QUINTA, CALIFORNIA
FUND 101 -General Fund BEGINNING
GROUP ACCTG ----TRANSACTION---- /ENDING
APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE
--------------------------- =--------------------------------------------------------------------------------------------------------
101-7006-431.71-01
GM 02084 09/11 AP
Capital Purchases / Machinery & Equipment
33243 VIDEO DETECT SYS
02/21/11 0091204 ITERIS
33244 VIDEO DETECT SYS
ACCOUNT TOTAL
101-7006-431.71-02 Capital Purchases / Furniture
ACCOUNT TOTAL
101-7006-431.71-03 Capital Purchases / Vehicles
.101-7006-431.91-11
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01475' 06/11 AJ
GM 01638 07/11 AJ
GM 01717 08/11 AJ
GM 01986 .09/11 AJ
GM 02243 09/11 AJ
GM 02521 10/11 AJ
GM 02589 11/11 AJ
GM 02743 11/11 AJ
GM 02746 12/11 AJ
GM 02911 12/11 AJ
GM 03057 12/11 AJ
101-7006-431.91-12
GM 00194 01/11 AJ
GM 00572 02/11 AJ
GM 00716 03/11 AJ
GM 00786 03/11 AJ
GM 00929 04/11 AJ
GM 01187 05/11 AJ
GM 01239 06/11 AJ
GM 01475 06/11 AJ
ACCOUNT TOTAL
Reimbursed Gen Fund
07/30/10 JE 01-029
08/31/10 JE 02-034
09/30/10 JE 03-035
09/30/10 AJE 03-050
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
12/31/10 AJE 06-042
01/31/11 JE 07-031
02/28/11 JE 08-009
03/31/11 JE 09-019
03/31/11 AJE •09-066
04/30/11 JE 10-044•
05/31/11 AJE 11-013
05/31/11 JE 11-044
06/30/11 JE 12-002
06/30/11 AJE 12-017
06/30/11 AJE 12-080
ACCOUNT TOTAL
Reimbursed Gen Fund
07/30/10 JE 01-029
08/31/10 JE 02-034
09/30/10 JE 03-035
09/30/10 AJE 03-050
10/31/10 JE 04-027
11/30/10 JE 05-030
12/31/10 JE 06-002
12/31/10 AJE 06-042
Exp / Personnel
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
MAR'll CIP ADMIN ACTIVITY
MONTHLY GF REIMB
REDUCE ADMIN (1771)
MONTHLY GF REIMB
MONTHLY GF REIMB
REVERSE REIMBURSEMENT
JUN'll CIP ADMIN ENTRIES
Exp / Service & Supply
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
SEP110 CIP ADMIN ACTIVITY
MONTHLY GF REIMB
MONTHLY GF REIMB
MONTHLY GF REIMB
DEC110 CIP ADMIN ACTIVITY
10,766.25
25,121.25
935.70
18.00
953.70
1,425.00
1,425.00
1,425.00
33,030.28
1,425.00
1,425.00
1,425.00
30,016.44
1,425.00
1,425.00
1,425.00
20,339.17
1,425.00
1,425.00
1,425.00
28,740.27
129,226.16
233.00
233.00
233.00
2,352.04
233.00
233.00
233.00
740.92
25,121.25
.00
.00
.00
.00
.00
128,272.46CR
.00
PREPARED ----7/2014,
10:19:00
GENERAL LEDGER ..-._VITY LISTING
P..__-441
PROGRAM GM362LA
CITY.OF LA QUINTA, CALIFORNIA
:
-----------------------
101 General
Fund
BEGINNING
GROUP ACCTG
----TRANSACTION----
/ENDING
APP NUMBER PER.
-------------------------------------------------------------------------•-----------------------------------------------------------
CD
DATE NUMBER D E
S C R I P
T I O N DEBITS
CREDITS
BALANCE
101-7006-431.91-12
Reimbursed Gen Fund Exp
/ Service
& Supply
GM 01638 07/11
AJ
01/31/11 JE 07-031
MONTHLY GF
REIMB
233.00
GM 01717 08/11
AJ
02/28/11 JE 08-009
MONTHLY GF
REIMB
233.00
GM 01986 09/11
AJ
03/31/11 JE 09-019.
MONTHLY GF
REIMB
233.00
GM 02243 09/11
AJ
03/31/11 AJE 09-066
MAR'11 CIP
ADMIN ACTIVITY
224.55
GM 02521 10/11
AJ
04/30/11 JE 10-044
MONTHLY GF
REIMB
233.00
GM 02743 11/11
AJ
05/31/11 JE 11-044
MONTHLY GF
REIMB
233.00
GM 02746 12/11
AJ
06/30/11 JE 12-002
MONTHLY GF
REIMB
233.00
GM 03057 12/11
AJ
06/30/11 AJE 12-080
JUN'11 CIP
ADMIN ENTRIES
466.39
ACCOUNT TOTAL
6,579.90
6,579.90CR
101-7006-431.92-11
Other Charges / Fleet Maint Progr
Charges
.00
GM 02288 10/11
AP
04/01/11 0091560
WELLS FARGO
BUSINESS CARD 475.00
3072
VISA CARD
PYMT
ACCOUNT TOTAL
FUND TOTAL
475.00 475.00
591,784,846.88 591,784,846.88 .00