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FY 2008-2009 PART 2 of 4 -H.T.E.PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AV:IVITY LISTING •PA E 501 PROGRAM GM362LA CITY OF LA'pUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER'PER. CD DATE NUMBER WE S C R I P T I O N DEBITS CREDITS BALANCE 9 101-3000-342.70-00 Charges for. Services / Sr Ctr Leisure Enrichmt RECTRAC 11/17/08 99 CR 01115 05/09 CR 1'1/17/08,0006679 V,SI Rcpt#: 000033679 75.00 RECTRAC 11/17/08 99 CR 011157• 05/.09 CR 11/1.7/081.0006680' VSI Rcpt#: 000033688 75.00 RECTRAC 11/17/08 9.9 GM 01040, 0,5/09 AP 11/17/08,0080678 PATTERSON, BARBARA 75.00 33691 REFUND GM 01:040.. 05/09, AP 11/•17/08.0080657 LUSTIG, CELIA 30.00 33686 -REFUND CR -01122 05%09• CR 11/18/08.0006741 VSI Rcpt#: 000033694 10.00 RECTRAC 11/18/08 99 CROII.22 05/09, CR 11/18/08 0006742 VSI Rcpt#: 000033695 40.00 RECTRAC '11/18/08 99 CR 011722 05/.09 CR 11/18/08 0006743 VSI Rcpt#: 000033704 30.60 RECTRAC 11/18/08 99 CR 01122' 05/.09 CR 11/18/08 0006744 VSI Rcpt#: 000033707 35.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 000.67.45 VSI Rcpt#: 000033709 35.00 RECTRAC 11/18/08 99,. CR 01122 05/09 CR 1•1/18/08 0006746 VSI Rcpt#: 000033712 16.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 0006747 VSI Rcpt#: 000033711 10.00 RECTRAC 11/18/08 99 CR OT122 05/09 CR 11/18/08 0006748 VSI Rcpt#: 000033716 50.00 RECTRAC 11/18/08 99. ' GM 01067 05/09' AP 11/18/08:1:0080690 RECHTWIG, BOB 35.00 33714 REFUND CR 01129 05/09 CR 11/19/08:0006836 V,SI Rcpt#: 000033737 30.00 RECTRAC 11/19/08 99 CR 01129 05/0.9 CR 11/19/08:•0.006837 VSI Rcpt#: 000033725 75.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08=•0006838 VSI Rcpt#: 000033726 17.0.0 RECTRAC 11/19/08 99 CR 01129 05/09 CR 1.1/19/08,0006839 VSI Rcpt#: 060033727 17.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08-0006840 VSI Rcpt#: 000033728 4.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08.0:006841 VSI Rcpt#: 000033733 10.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR. 1:1-719/08. 0006842 VISI Rcpt#: 000033732 10.00 RECTRAC • 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006843 VSI Rcpt#: 000033730 17.00 RECTRAC •11/19/08 99 CR 01129 05/09 CR' 11/19/08.0006844 YSI Rcpt#: 000033731 48.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006845 VSI Rcpt#: 000033734 17.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006846 VSI Rcpt#: 000033735 4.00 RECTRAC 11/19/08 99 _r PREPARED uai12/2010, 9:26:27 GENERAL LEDGER At�iIVITY LISTING VAWt 502 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01129 05/09 CR 11/19/08 0006847 VSI Rcpt#: 000033738 17.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006848 VSI Rcpt#: 000033749 7_.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006849 VSI Rcpt#: 000033747 143.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006850 VSI Rcpt#: 000033748 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006851 VSI Rcpt#: 000033758 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006852 VSI Rcpt#: 000033750 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006853 VSI Rcpt#: 000033751 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006854 VSI Rcpt#: 000033752 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006855 VSI Rcpt#: 000033755 , 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006856 VSI Rcpt#: 000033756 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006857 VSI Rcpt#: 000033756 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006858 VSI Rcpt#: 000033764 7.00 RECTRAC 11/19/08 99 CR 01129 05/09 CR 11/19/08 0006859 VSI Rcpt#: 000033764 7.00 RECTRAC 11/19/08 99 CR 01136 05/09 CR 11/20/08 0006917 VSI Rcpt#: 000033778 17.00 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006918 VSI Rcpt#: 000033772 17.00 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006919 VSI Rcpt#.: 000033773 17.00 RECTRAC 11/20/08 99 CR 01136 05/09 CR •11/20/08 0006920 VSI Rcpt#: 000033774 17.00 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006921• VSI Rcpt#: 000033775 17.00 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006922 VSI Rcpt#: 000033777 17.00 RECTRAC 11/20/08 99 CR 01143 05/09 CR 11/21/08 0006997 VSI Rcpt#: 000033803 69.00 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0006998 VSI Rcpt#: 000033795 12.00 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0006999 VSI Rcpt#: 000033795 30.00. RECTRAC 11/21/08 99 CR 01149 05/09 CR 11/24/08 0007059 VSI Rcpt#: 000033819 12.00 RECTRAC 11/24/08 99 CR 01149 05/09 CR 11/24/08 0007060 VSI Rcpt#: 000033822 6.00 RECTRAC 11/24/08 99 CR 01149 05/09 CR 11/24/08 0007061 VSI Rcpt#: 000033823 .. 6.00 PREPARED uaf12/2010, 9:26:27 GENERAL LEDGER HViIVITY LISTING Nwut 503 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 11/24/08 99 CR 01149 05/09 CR 11/24/08 0007062 VSI Rcpt#: 000033820 63.00 RECTRAC 11/24/08 99 CR 01149 05/09 CR 11/24/08 0007063 VSI Rcpt#: 000033826 28.50 RECTRAC 11/24/08 99 CR 01160 05/09 CR 11/25/08 0007126 VSI Rcpt#: 000033848 10.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007127 VSI Rcpt#: 000033849 50.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007128 VSI Rcpt#: 000033851 14.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007129 VSI Rcpt#: 000033850 50.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007130 VSI Rcpt#: 000033855 50.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007131 VSI Rcpt#: 000033846 10.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007132 VSI Rcpt#: 000033847 10.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007133 VSI Rcpt#: 000033853 35.00 RECTRAC 11/25/08 99 CR 01160 05/09 CR 11/25/08 0007134 VSI Rcpt#: 000033857 12.00 RECTRAC 11/25/08 99 CR 01166 05/09 CR 11/26/08 0007186 VSI Rcpt#: 000033860 9.00 RECTRAC 11/26/08 99 CR 01166 05/09' CR 11/26/08 0007187 VSI Rcpt#: 000033860 30.00 RECTRAC 11/26/08 99• CR 01166 05/09 CR 11/26/08 0007188 VSI Rcpt#: 000033861 9.00 RECTRAC 11/26/08 99 CR 01166 05/09 CR 11/26/08 0007189 VSI Rcpt#: 000033863 12.00 RECTRAC 11/26/08 99 CR 01166 05/09 CR 11/26/08 0007190 VSI Rcpt#: 000033864 4.00 RECTRAC 11/26/08 99 CR 01166 05/09 CR 11/26/08 0007191 VSI Rcpt#: 000033875 104.00 RECTRAC 11/26/08 99 CR 01166 05/09 CR 11/26/08 0007192 VSI Rcpt#: 000033872 10.00 RECTRAC 11/26/08 99 CR 01245 05/09 CR 11/30/08 0007667 VSI Rcpt#: 000033351 75.00 RECTRAC 11/30/08'97 CR 01245 05/09 CR 11/30/08 0007668 VSI Rcpt#: 000033346 40.00 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007669 VSI Rcpt#: 000033414 60.00 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007670 VSI Rcpt#: 000033439 30.00 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007671 VSI Rcpt#:, 000033511 24.00 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007672 VSI Rcpt#: 000033558 48.00 RECTRAC 11/30/08 97 PREPARED u.,.12/2010, 9:26:27 GENERAL LEDGER NuiIVITY LISTING i-mam 504 PROGRAM GM362LA' CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01245 05/09 CR 11/30/08 0007673 VSI Rcpt#: 000033649 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007674 VSI Rcpt#: 000033649 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007675 VSI Rcpt#: 000033661 RECTRAC 11/30/08 97 CR 01245 05/09 CR 11/30/08 0007676 VSI Rcpt#: 000033703 RECTRAC 11/30/08 97 CR 01172 06/09 CR 12/01/08 0007251 VSI Rcpt#: 000033887 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007252 VSI Rcpt#: 000033886 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007253 VSI Rcpt#: 000033888 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007254 VSI Rcpt#: 000033889 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007255 VSI Rcpt#: 000033890 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007256 VSI Rcpt#: 000033891 1 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007257 VSI Rcpt#: 000033892• RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007258 VSI Rcpt#: 000033893 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007259 VSI Rcpt#: 000033893 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007260 VSI Rcpt#: 000033894 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007261 VSI Rcpt#: 000033897 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007262 VSI Rcpt#: 000033898 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007263 VSI Rcpt#: 000033899 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007264 VSI Rcpt#: 000033903 RECTRAC 12/01/08 99 CR 01172 06/09 CR 12/01/08 0007265 VSI Rcpt#: 000033909 RECTRAC 12/01/08 99 GM 01214 06/09 AP 12/01/08 0080799 COULIN, CHRISTA 33908 REFUND CR 01185 06/09 CR 12/02/08 0007307 VSI Rcpt#: 000033914 RECTRAC 12/02/08 99 CR 01185 06/09 'CR 12/02/08 0007308 VSI Rcpt#: 000033922 RECTRAC 12/02/08 99 CR 01185 06/09 CR 12/02/08 0007309 VSI Rcpt#: 000033923 RECTRAC 12/02/08 99 CR 01199 06/09 CR 12/03/08 0007370 VSI Rcpt#: 000033945 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007371 VSI Rcpt#: 000033940 30.00 30.00 30.00 40.00 75.00 12.00 12.00 12.00 30.00 30.00 12.00 12.00 9.00 12.00 12.00 6.00 •60.00 6.00 14.00 33.00 10.00 12.00 10.00 12.00 30.00 PREPARED wa,12/2010, 9:26:27 GENERAL LEDGER HLiIVITY LISTING NAVt 505 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------'------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 12/03/08 99 CR 01199 06/09• CR 12/03/08 0007372 VSI Rcpt#: 000033942 30.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007373 VSI Rcpt#: 000033943 30.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007374 VSI Rcpt#: 000033949 12.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007375 VSI Rcpt#: 000033944 12.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR, 12/03/08 0007376 VSI Rcpt#: 000033946 12.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007377 VSI Rcpt#: 000033946 12.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007378 VSI Rcpt#: 000033947 12.00 RECTRAC 12/03/08 99 CR 01199. 06/09 CR 12/03/08 0007379 VSI Rcpt#: 000033948 12.00 RECTRAC 12/03/08 99 CR 01199' 06/09 CR 12/03/08 0007380 VSI Rcpt#: 000033950 12.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007381 VSI Rcpt#: 000033952 9.00' RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007382 VSI Rcpt#: 000033953 9.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007383 VSI Rcpt#: 000033954 10.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007384 VSI Rcpt#: 000033955 10.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007385 VSI Rcpt#: 000033956 10.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007386 VSI Rcpt#: 000033957 10.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007387 VSI Rcpt#: 000033970 17.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007388 VSI Rcpt#: 000033971 138.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007389 VSI Rcpt#: 000033973 7.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007390 VSI Rcpt#: 000033974 7.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007391 VSI Rcpt#: 000033975 7.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007392 VSI Rcpt#: 000033976 7.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007393 VSI Rcpt#: 000033977 7.00 RECTRAC 12/03/08 99 CR 01199 06/09 CR 12/03/08 0007394 VSI Rcpt#: 000033978 7.00 RECTRAC 12/03/08 99 CR 01233 06/09 CR 12/05/08 0007527 VSI Rcpt#: 000033996 9.00 RECTRAC 12/05/08 99 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER Ac1'IVITY LISTING PAGE 506 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 01233 06/09 CR 12/05/08 0007528 VSI Rcpt#: 000033997 RECTRAC 12/05/08 99 CR 01233 06/09 CR 12/05/08 0007529 VSI Rcpt#: 000034004 RECTRAC 12/05/08 99 CR 01246 06/09 CR 12/08/08 0007561 VSI Rcpt#: 000034013 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007562 VSI Rcpt#: 000034013 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007563 VSI Rcpt#: 000034014 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007564 VSI Rcpt#: 000034021 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007565 VSI Rcpt#: 000034020 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007566 VSI Rcpt#: 000034019 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007567 VSI Rcpt#: 000034025 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007568 VSI Rcpt#: 000034027 RECTRAC 12/08/08 99 GM 01261 06/09 AP 12/08/08.0081037 HUFF, LAURA 34029 REFUND CR 01252 06/09 CR.12/09/08 0007611 VSI Rcpt#: 000034033 RECTRAC 12/09/08 99 CR 01252 06/09 CR 12/09/08 0007612 VSI Rcpt#: 000034034 RECTRAC 12/09/08 99 CR 01252 06/09 CR 12/09/08 0007613 VSI Rcpt#: 000034039 RECTRAC 12/09/08 99 CR 01302 06/09 CR 12/10/08 0007695 VSI Rcpt#: 000034058 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007696 VSI Rcpt#: 000034043 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007697 VSI Rcpt#: 000034044 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007698 VSI Rcpt#: 000034045 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007699 VSI Rcpt#: 000034050 RECTRAC 12/10/08 99 CR 01302• 06/09 CR 12/10/08 0007700 VSI Rcpt#: 000034056 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007701 VSI Rcpt#: 000034057 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007702 VSI Rcpt#: 000034059 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007703 VSI Rcpt#: 000034060 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007704 VSI Rcpt#: 000034061 RECTRAC 12/10/08 99 CR 01302 06/09. CR 12/10/08 0007705 VSI Rcpt#: 000034063 30.00 30.00 69.00 30.00 30.00 12.00 57.00 9.00 6.00 14.00 22.50 10.00 10.00 10.00 7.00 10.00 10.00 10.00 17.00 10.00 7.00 7.00 7.00 7.00 7.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 507 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007706 VSI Rcpt#: 000034064 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007707 VSI Rcpt#: 000034065 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007708 VSI Rcpt#: 000034066 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007709 VSI Rcpt#: 000034067 • RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007710 VSI Rcpt#: 000034067 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007711 VSI Rcpt#: 000034068 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007712 VSI Rcpt#:•000034068 RECTRAC 12/10/08 99 CR 01302 06/09 CR 12/10/08 0007713 VSI Rcpt#: 000034069 RECTRAC 12/10/08 99 CR 01310 06/09 CR 12/11/08 0007777 VSI Rcpt#: 000034082 RECTRAC 12/11/08 99 CR 01310 06/09 CR 12/11/08 0007778 VSI Rcpt#: 000034077 RECTRAC 12/11/08 99 CR 01310 06/09 CR 12/11/08 0007779 VSI Rcpt#: 000034078 RECTRAC 12/11/08 99 GM 01261 06/09 AP 12/11/08 0081094 RICHARD, PIERRE . 34071 REFUND CR 01317 06/09 CR 12/12/08 0007834 VSI Rcpt#: 000034094 RECTRAC 12/12/08 99 CR 01323 06/09 CR 12/15/08 0007926 VSI Rcpt#: 000034103 RECTRAC 12/15/08 98 CR 01323 06/09 CR 12/15/08 0007927 VSI Rcpt#: 000034103 RECTRAC 12/15/08 98 CR 01323 06/09 CR 12/15/08 0007888 VSI Rcpt#: 000034104 RECTRAC 12/15/08 99 CR•01323 06/09 CR 12/15/08 0007889 VSI Rcpt#: 000034106 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007890 VSI Rcpt#: 000034107 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007891 VSI Rcpt#: 000034109 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007892 VSI Rcpt#: 000034110 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007893 VSI Rcpt#: 000034118 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007894 VSI Rcpt#: 000034121 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007895 VSI Rcpt#: 000034124 RECTRAC 12/15/08 99 CR 01330 06/09 CR 12/16/08 0008025 VSI Rcpt#: 000034186 RECTRAC 12/16/08 98 30.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 154.00 17.00 17.00 17.00 69.00 60.00 75.00 16.00 4.00 30.00 35.00 15.00 69.00 6.00 28.00 35.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING FAWt 508 PROGRAM GM362LA ' CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01330 06/09 CR 12/16/08 0007955 VSI Rcpt#: 000034143 10.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007956 VSI Rcpt#: 000034144 60.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007957 VSI Rcpt#: 000034150 40.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007958 VSI Rcpt#: 000034152 42.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007959 VSI Rcpt#: 000034168 10.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007960 VSI Rcpt#: 000034169 60.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007961 VSI Rcpt#: 000034170 10.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007962 VSI Rcpt#: 000034171 60.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007963 VSI Rcpt#: 000034175 60.00 RECTRAC' 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007964 VSI Rcpt#: 000034175 30.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007965 VSI Rcpt#: 000034176 35.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007966 VSI Rcpt#: 000034177 35.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007967 VSI Rcpt#: 000034182 60.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007968 VSI Rcpt#: 000034182 60.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007969 VSI Rcpt#: 000034191 48.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007970 VSI Rcpt#: 000034191 48.00 RECTRAC 12/16/08 99 CR 01337 06/09 CR 12/17/08 0008077 VSI Rcpt#: 000034197 35.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008078 VSI Rcpt#: 000034198 35.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008079 VSI Rcpt#: 000034210 10.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008080 VSI Rcpt#: 000034211 10.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008081 VSI.Rcpt#: 000034219 25.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008082 VSI Rcpt#: 000034217 60.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008083 VSI Rcpt#: 000034217 60.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008084 VSI Rcpt#: 000034218 35.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008085 VSI Rcpt#: 000034218 15.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk At,IVITY LISTING rAUL 509 PROGRAM GM362LA CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008086 VSI Rcpt#: 000034221 16.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008087 VSI Rcpt#: 0000342.21 35.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008088 VSI Rcpt#: 000034222 17.00 RECTRAC 12/17/08 99 CR 01343 06/09 CR 12/18/08 0008158 VSI Rcpt#: 000034228 17.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008159 VSI Rcpt#: 000034229 17.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008160 VSI Rcpt#: 000034299 10.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008161 VSI Rcpt#: 000034318 90.00 RECTRAC 12/18/08 99 CR 01393 06/09 CR 12/19/08 0008477 VSI Rcpt#: 000034347 35.00 RECTRAC 12/19/08 98 CR 01393 06/09 CR 12/19/08 0008478 VSI Rcpt#: 000034348 15.00 RECTRAC 12/19/08 98 CR 01393 06/09 CR 12/19/08 0008471 VSI Rcpt#: 000034345 42.00 RECTRAC 12/19/08 99 CR 01393 06/09 CR 12/19/08 0008472 VSI Rcpt#: 000034346 16.00 RECTRAC 12/19/08 99 CR 01393 06/09 CR 12/19/08 0008473 VSI Rcpt#: 000034346 16.00 RECTRAC 12/19/08 99 CR 01393 06/09 CR 12/19/08 0008474 VSI Rcpt#: 000034352 60.00 RECTRAC 12/19/08 99 CR 01393 06/09 CR 12/19/08 0008475 VSI Rcpt#: 000034352 60.00 RECTRAC 12/19/08 99 CR 01393 06/09 CR 12/19/08 0008476 VSI Rcpt#: 000034353 75.00 RECTRAC 12/19/08 99 CR 01400 06/09 CR 12/22/08 0008514 VSI Rcpt#: 000034374 35.00 . RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008515 VSI Rcpt#: 000034372 57.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008516 VSI Rcpt#: 000034373 27.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008517 VSI Rcpt#: 000034375 14.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008518 VSI Rcpt#: 000034377 60.00 RECTRAC 12/22/08 99 CR 01400. 06/09 CR 12/22/08 0008519 VSI Rcpt#: 000034377 16.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008520 VSI Rcpt#: 000034379 30.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008521 VSI Rcpt#: 000034379 30.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008522 VSI Rcpt#: 000034379 30.00 RECTRAC' 12/22/08 99 PREPARED 12/2010, 9:26:27 GENERAL LEDGER .%.i'IVITY LISTING rwbe 510 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01400 06/09 CR 12/22/08 0008523 VSI Rcpt#: 000034379 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008524 VSI Rcpt#: 000034379 RECTRAC 12/22/08 99 CR 01407 06/09 CR 12/23/08 0008561 VSI Rcpt#: 000034392 RECTRAC • 12/23/08 99 CR 01407 06/09 CR 12/23/08 0008562 VSI Rcpt#: 000034393 RECTRAC 12/23/08 99 CR 01407 06/09 CR 12/23/08 0008563 VSI Rcpt#: 000034403 RECTRAC 12/23/08 99 CR 01459 06/09 CR 12/28/08 0009232 VSI Rcpt#: 000034414 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009233 VSI Rcpt#: 000034418 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009234 VSI Rcpt#: 000034418 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009235 VSI Rcpt#: 000034413 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009236 VSI Rcpt#: 000034413 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009237 VSI Rcpt#: 000034420 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009238 VSI Rcpt#: 000034414 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009239 VSI Rcpt#: 000034414 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009240 VSI Rcpt#: 000033883 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009241 VSI Rcpt#: 000033928 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009242 VSI Rcpt#: 000034414 RECTRAC 12/28/08 98 CR 01459 06/09 .CR 12/28/08 0009243 VSI Rcpt#: 000034100 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009244 VSI Rcpt#: 000034100 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009245 VSI Rcpt#: 000034101• RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009246 VSI Rcpt#: 000034129 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009247 VSI Rcpt#: 000034129 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08-0009248 VSI Rcpt#: 000034149 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009249 VSI Rcpt#: 000034153 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009250 VSI Rcpt#: 000034189 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009251 VSI Rcpt#: 000034187 30.00 30.00 15.00 60.00 35.00 48.00 30.00 30.00 35.00 35.00 60.00 48.00 50.00 30.00 30.00 48.00 90.00 90.00 20.00 ' 35.00 35.00 35.00 60.00 48.00 48.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING rapt 511 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009252 VSI Rcpt#: 000034192 45.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009253 VSI Rcpt#: 000034213 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009254 VSI Rcpt#: 000034227 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009255 VSI Rcpt#: 000034227 60.00 RECTRAC 12/28/08 98 CR 01459 06/09• CR 12/28/08 0009256 VSI Rcpt#: 000034227 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009257 VSI Rcpt#: 000034235 30.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009258 VSI Rcpt#: 000034294 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009259 VSI Rcpt#: 000034337 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009260 VSI Rcpt#: 000034337 60.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009261 VSI Rcpt#: 000034340 75.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009262 VSI Rcpt#: 000034355 90.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009263 VSI Rcpt#: 000034354 75.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009264 VSI Rcpt#: 000034357 90.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009265 VSI Rcpt#: 000034359 35.00 RECTRAC 12/28/08 98 CR 01459. 06/09 CR 12/28/08 0009266 VSI Rcpt#: 000034365 35.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009267 VSI Rcpt#: 000034418 30.00 RECTRAC 12/28/08 98 CR 01422 06/09 CR 12/29/08 0008636 VSI Rcpt#: 000034440 42.00 RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008637 VSI Rcpt#: 000034437 16.00 RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008638 VSI Rcpt#: 000034440 42.00 RECTRAC 12/29/08 99 CR 01.422 06/09 CR 12/29/08 0008639 VSI Rcpt#: 000034438 54.00. RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008640 VSI Rcpt#: 000034439 90._0.0 RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008641 VSI Rcpt#: 000034445 34.50 RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008642 VSI Rcpt#: 000034446 12.00 RECTRAC 12/29/08 99 CR 01422 06/09 CR 12/29/08 0008643 VSI Rcpt#: 000034450 60.00 RECTRAC 12/29/08 99 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUi'IVITY.LISTING NAVE 512 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01422 06/09 CR 12/29/08 0008644 VSI Rcpt#: 000034451 90.00 RECTRAC 12/29/08 99 CR 01428 06/09 CR 12/30/08 0008714 VSI Rcpt#: 000034469 10.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008715 VSI Rcpt#: 000034465 30.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008716 VSI Rcpt#: 000034466 35.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008717 VSI Rcpt#: 000034484 30.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008718 LVSI Rcpt#: 000034482 60.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008719 VSI Rcpt#: 000034484 30.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008720 VSI Rcpt#: 000034485 30.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008721 VSI Rcpt#: 000034467 35.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008722 VSI Rcpt#: 000034473 35.00 RECTRAC 12/30/08 99 CR 01428 06/09 CR 12/30/08 0008723 VSI Rcpt#: 000034487 60.00 RECTRAC 12/30/08 99 CR 01435 06/09 CR 12/31/08 0008765 VSI Rcpt#: 000034500 60.00 RECTRAC 12/31/08 99 CR 01442 07/09 CR 01/05/09 0008855 VSI Rcpt#: 000034582 60.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008797 VSI Rcpt#: 000034581 20.00' RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008798 VSI Rcpt#: 000034538 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008799 VSI Rcpt#: 000034580 17.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008800 VSI Rcpt#: 000034535 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008801 VSI Rcpt#: 000034517 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR.01/05/09 0008802 VSI Rcpt4i: 000034520' 35.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008803 VSI Rcpt#: 000034520 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008804 VSI Rcpt#: 000034517 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008805 VSI Rcpt#: 000034539 17.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008806 VSI Rcpt#: 000034518 35.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008807 VSI Rcpt#: 000034518 30.00 i RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008808 VSI Rcpt#: 000034519 35.00 PREPARED vo112/2010, 9:26:27 GENERAL LEDGER ALfIVITY LISTING rAWt 513 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008809 VSI Rcpt#: 000034521 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008810 VSI Rcpt#: 000034525 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008811 VSI Rcpt#: 000034525 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008812 VSI Rcpt#: 000034526 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008813 VSI Rcpt#: 000034531 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008814 VSI Rcpt#: 000034527 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008815 VSI Rcpt#: 000034532 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008816 VSI Rcpt#: 000034528 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008817 VSI Rcpt#: 000034529 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008818 VSI Rcpt#: 000034530 16.00 RECTRAC 01/05/09 99 CR 01442 07/09• CR 01/05/09 0008819 VSI Rcpt#: 000034533 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008820 VSI Rcpt#: 000034534 35.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008821 VSI Rcpt#: 000034534 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008822 VSI Rcpt#: 000034536 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008823 VSI Rcpt#: 000034537 17.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008824 VSI Rcpt#: 000034540 16.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008825 VSI Rcpt#: 000034541 6.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008826 VSI Rcpt#: 000034543 42.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008827 VSI Rcpt#: 000034544 42.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008828 VSI Rcpt#: 000034546 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008829 VSI Rcpt#: 000034547 20.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008830 VSI Rcpt#: 000034552 20.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008831 VSI Rcpt#: 000034551 20.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008832 VSI Rcpt#: 000034557 60.00 RECTRAC 01/05/09 99 PREPARED w4.12/2010, 9:26:27 GENERAL LEDGER •Aui'IVITY LISTING PAGE 514 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 01442 07/09 CR 01/05/09 0008833 VSI Rcpt#: 000034556 90.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008834 VSI Rcpt#: 000034560 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008835 VSI Rcpt#: 000034565 35.00 RECTRAC • 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008836 VSI Rcpt#: 000034565 35.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008837 VSI Rcpt#: 000034571 42.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008838 VSI Rcpt#: 000034570 40.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008839 VSI Rcpt#: 000034578 30.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008840 VSI Rcpt#: 000034573 40.50 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008841 VSI Rcpt#: 000034576 90.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008842 VSI Rcpt#: 000034575 66.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008843 VSI Rcpt#: 000034578 30.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008844 VSI Rcpt#: 000034583 14.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008845 VSI Rcpt#: 000034584 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008846 VSI Rcpt#: 000034585. 35.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008847 VSI Rcpt#: 000034585 45.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008848 VSI Rcpt#: 000034586 60.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008849 VSI Rcpt#: 000034586 60.00, RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008850 VSI Rcpt#: 000034587 30.00 RECTRAC 01/05/09 99 CR 01442 07/09 CR 01/05/09 0008851 VSI Rcpt#: 000034587 30.00 RECTRAC 01/05/09 99 CR 01479 07/09 CR 01/06/09 0008951 VSI Rcpt#: 000034633 30.00 RECTRAC 01/06/09 98 CR 01479 07/09 CR 01/06/09 0008921 VSI Rcpt#: 000034622 30.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008922 VSI Rcpt#: 000034622 30.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008923 VSI Rcpt#: 000034623 30.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008924 VSI Rcpt#: 000034623 30.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008925 VSI Rcpt#: 000034611 10.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 515 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 10.00 10.00 35.00 35.00 30.00 45.00 7.00 7.00 45.00 10.00 45.00 45.00 45.00 10.00 48.00 10.00 60.00 60.00 16.00 17.00 10.00 16.00 35.00 35.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008926 VSI Rcpt#: 000034612 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008927 VSI Rcpt#: 000034613 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008928 VSI Rcpt#: 000034615 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008929 VSI Rcpt#: 000034616 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008930 VSI Rcpt#: 000034621 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008931 VSI Rcpt#: 000034628 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008932 VSI Rcpt#: 000034631 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008933 VSI Rcpt#: 000034631 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008934 VSI Rcpt#: 000034627 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008935 VSI Rcpt#: 000034601 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008936 VSI Rcpt#: 000034600 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008937 VSI Rcpt#: 000034599 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008938 VSI Rcpt#: 000034600 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008939 VSI Rcpt#: 000034602 RECTRAC 01/06/09 99 CR 01486 07/09 CR 01/07/09 0009010 VSI Rcpt#: 000034665 RECTRAC 01/07/09 99' CR 01486 07/09 CR 01/07/09 0009011 VSI Rcpt#: 000034663 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009012 VSI Rcpt#: 000034655 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009013 VSI Rcpt#: 000034655 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09,0009014 VSI Rcpt#: 000034656 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009015 VSI Rcpt#: 000034659 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09'0009016 VSI Rcpt#: 000034661 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009017 VSI Rcpt#: 000034643 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009018 VSI Rcpt#: 000034643 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009019 VSI Rcpt#: 000034641 RECTRAC 01/07/09 99 10.00 10.00 35.00 35.00 30.00 45.00 7.00 7.00 45.00 10.00 45.00 45.00 45.00 10.00 48.00 10.00 60.00 60.00 16.00 17.00 10.00 16.00 35.00 35.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A61IVITY LISTING NAGE 516 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01486 07/09 CR 01/07/09 0009020 VSI Rcpt#: 000034642 35.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009021 VSI Rcpt#: 000034662 17.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009022 VSI Rcpt#: 000034647 48.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009023 VSI Rcpt#: 000034648 48.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009024 VSI Rcpt#: 000034649 90.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009025 VSI Rcpt#: 000034651 60.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009026 VSI Rcpt#: 000034670 90.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009027 VSI Rcpt#: 000034669 30.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009028 VSI Rcpt#: 000034650 90.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009029 VSI Rcpt#: 000034666 90.00 RECTRAC 01/07/09.99 CR 01486 07/09 CR 01/07/09 0009030 VSI Rcpt#: 000034666 17.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009031 VSI Rcpt#: 000034676 15.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009032 VSI Rcpt#: 000034677 159.00 RECTRAC 01/07/09 99 'CR 01493 07/09 CR 01/08/09 0009077 VSI Rcpt#: 000034683 60.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009078 VSI Rcpt#: 000034686 17.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009079 VSI Rcpt#: 000034688 17.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009080 VSI Rcpt#: 000034684 60.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009081 VSI Rcpt#: 000034684 60.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009082 VSI Rcpt#: 000034687 17.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009083 VSI Rcpt#: 000034693 30.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009084 VSI Rcpt#: 000034694 16.00 RECTRAC 01/08/09 99 CR 01493 07/09 CR 01/08/09 0009085 VSI Rcpt#: 000034699 90.00 RECTRAC 01/08/09 99 CR 01494 07/09 CR 01/09/09 0009132 VSI Rcpt#: 000034741 30.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009133 VSI Rcpt#: 000034710 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009134 VSI Rcpt#: 000034713 10.00 PREPARED wa11212010, 9:26:27 GENERAL LEDGER Aui'IVITY LISTING VAUE 517 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA GUINTA, CALIFORNIA FUND 101 General 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 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009135 VSI Rcpt#: 000034711 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009136 VSI Rcpt#: 000034712 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009137 VSI Rcpt#: 000034714 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009138 VSI Rcpt#: 000034715 30.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009139 VSI Rcpt#: 000034719 17.00 RECTRAC • 01/09/09 99 ' CR 01494 07/09 CR 01/09/09 0009140 VSI Rcpt#: 000034725 • 16.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009141 VSI Rcpt#: 000034726 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009142 VSI Rcpt#: 000034726 60.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009143 VSI Rcpt#: 000034728 15.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009144 VSI Rcpt#: 000034729 30.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009145 VSI Rcpt#: 000034730 30.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009146 VSI Rcpt#:.000034731 75.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009147 VSI Rcpt#: 000034736 30.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009148 VSI Rcpt#: 000034732 75.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009149 VSI Rcpt#: 000034733 75.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009150 VSI Rcpt#: 000034734 75.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009151 VSI Rcpt#: 000034737 93.00 RECTRAC 01/09/09 99 CR 01506 07/09 CR 01/12/09 0009370 VSI Rcpt#: 000034781 30.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009340 VSI Rcpt#: 000034780 17.00 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009341 VSI Rcpt#: 000034782 60.00 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009342 VSI Rcpt#: 000034767 1,0.00 RECTRAC 01/12/09 99 CR 01506' 07/09 CR 01/12/09 0009343 VSI Rcpt#: 000034763 10.00 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009344 VSI Rcpt#: 000034764 10.00 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009345 VSI Rcpt#: 000034770 10.00 RECTRAC 01/12/09 99 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 518 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 01506 07/09 CR 01/12/09 0009346 VSI Rcpt#: 000034766 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009347 VSI Rcpt#: 000034765 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009348 VSI Rcpt#: 000034772 RECTRAC 01/12/09.99 CR 01506 07/09 CR 01/12/09 0009349 VSI Rcpt#: 000034768 RECTRAC 01/12/09 99 CR 01506 07/09 •CR 01/12/09 0009350 VSI Rcpt#: 000034773 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009351 VSI Rcpt#: 000034771 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009352 VSI Rcpt#: 000034774 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009353 VSI Rcpt#: 000034776 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009354 VSI Rcpt#: 000034779 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009355 VSI Rcpt#: 000034778 RECTRAC 01/12/09 99 CR 01506 07/09 CR•01/12/09 0009356 VSI Rcpt#: 000034778 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009357 VSI Rcpt#: 000034782 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009358 VSI Rcpt#: 000034783 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009359 VSI Rcpt#: 000034787 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009360 VSI Rcpt#: 000034804 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009361 VSI Rcpt#: 000034804 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009362 VSI Rcpt#: 000034803 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009363 VSI Rcpt#: 000034803 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009364 VSI Rcpt#: 000034806 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009365 VSI Rcpt#: 000034807 RECTRAC 01/12/09 99 CR 01506 07/09 CR 01/12/09 0009366 VSI Rcpt#: 000034808 RECTRAC 01/12/09 99 CR 01514 07/09 CR 01/13/09 0009426 VSI Rcpt#: 000034838 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009427 VSI Rcpt#: 000034835 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009428 VSI Rcpt#: 000034813 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009429 VSI Rcpt#: 000034818 10.00 10.00 17.00 10.00 16.00 17.00 16.00 . 16.00 6.00 75.00 75.00 60.00 66.00 37.00 30.00 30.00 30.00 30.00 30.00 40.50 14.00. 10.00 10.00 10.00 10.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 519 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009430 VSI Rcpt#: 000034817 35.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009431 VSI Rcpt#: 000034826 30.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009432 VSI Rcpt#: 000034819 10.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009433 VSI Rcpt#: 000034821 30.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009434 VSI Rcpt#: 000034821 30.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009435 VSI Rcpt#: 000034821 30.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009436 VSI Rcpt#: 000034821 30.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009437 VSI Rcpt#: 000034824 35.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009438 VSI Rcpt#: 000034825 35.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009439 VSI Rcpt#: 000034827 10.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009440 VSI Rcpt#: 000034828 7.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009441 VSI Rcpt#: 000034828 7.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009442 VSI Rcpt#: 000034829 7.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009443 VSI Rcpt#: 000034830 7.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009444 VSI Rcpt#: 000034831 7.00 RECTRAC 01/13/09 99 CR 01514 07/09 CR 01/13/09 0009445 VSI Rcpt#: 000034831 7.00 RECTRAC 01/13/09 99 CR 01543 07/09 CR 01/14/09 0009517 VSI Rcpt#: 000034850 60.00' RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009518 VSI Rcpt#: 000034843 17.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009519 VSI Rcpt#: 000034842 4.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009520 VSI Rcpt#: 000034847 10.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009521 VSI Rcpt#: 000034845 10.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009522 VSI Rcpt#: 000034851 60.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009523 VSI Rcpt#: 000034852 60.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009524 VSI Rcpt#: 00.0034853 60.00 RECTRAC 01/14/09 99 PREPARED uo.12/2010, 9:26:27 GENERAL LEDGER A6i'IVITY LISTING rapt 520 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01543 07/09 CR 01/14/09 0009525 VSI Rcpt#: 000034859 60.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009526 VSI Rcpt#: 000034861 89.00 RECTRAC 01/14/09 99 CR 01543 07/09 CR 01/14/09 0009527 VSI Rcpt#: 000034864 100.00 RECTRAC 01/14/09 99 CR 01549 07/09 CR 01/15/09 0009586 VSI Rcpt#: 000034869 17.00 RECTRAC . 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009587 VSI Rcpt#: 000034892 17.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009588 VSI Rcpt#: 000034893 60.00 RECTRAC 01/15/09 99 CR 01556 07/09 CR 01/16/09 0009658 VSI Rcpt#: 000034923 6.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009659 VSI Rcpt#: 000034897 42.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009660 VSI Rcpt#: 000034899 4.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009661 VSI Rcpt#: 000034901 17.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009662 VSI Rcpt#: 000034937 16.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009663 VSI Rcpt#: 000034902 4.0.0 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009664 VSI Rcpt#: 000034903 4.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009665 VSI Rcpt#: 000034904 75.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009666 VSI Rcpt#: 000034905 4.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009667 VSI Rcpt#: 000034906 30.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009668 VSI Rcpt#: 000034906 30.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009669 VSI Rcpt#: 000034920 42.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009670 VSI Rcpt#: 000034919 84.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009671 VSI Rcpt#: 000034921 75.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009672 VSI Rcpt#: 000034921 75.00 RECTRAC 01/16/09 99 CR '01556. 07/09 CR 01/16/09 0009673 VSI Rcpt#: 000034924 75.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009674 VSI Rcpt#: 000034927 75.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009675 VSI Rcpt#: 000034930 30.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009676 VSI Rcpt#: 000034929 . 30.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6i'IVITY LISTING rAWe 521 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01/16/09 99 CR 01562 07/09 CR 01/20/09 0009787 VSI Rcpt#: 000034955 30.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009788 VSI Rcpt#: 000034959 10.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009789 VSI Rcpt#: 000034947 10.00 RECTRAC . 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009790 VSI Rcpt#: 000034948 10.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009791 VSI Rcpt#: 000034949 10.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009792 VSI Rcpt#: 000034950 50.00 RECTRAC. 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009793 VSI Rcpt#: 000034951 10.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009794 VSI Rcpt#: 000034952 30.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009795 VSI Rcpt#: 000034956 16.00 RECTRAC 01/20/09 98 CR 01562 07/09 CR 01/20/09 0009796 VSI Rcpt#: 000034965 7.00 RECTRAC 01/20/09 98 CR 01569 07/09 CR 01/21/09 0009865 VSI Rcpt#: 000034998 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009866 VSI Rcpt#: 000034980 75.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009867 VSI Rcpt#: 000034980 75.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009868 VSI Rcpt#: 000035007 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009869 VSI Rcpt#: 000034981 17:00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009870 VSI Rcpt#: 000034983 17.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009871 VSI Rcpt#: 000034983 30.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009872 VSI Rcpt#: 000034984 4.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009873 VSI Rcpt#: 000034985 4.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009874 VSI Rcpt#: 000034986 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009875 VSI Rcpt#: 000034986 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR O1/21/09 0009876 VSI Rcpt#: 000034987 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009877 VSI Rcpt#: 000034988 10.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009878 VSI Rcpt#: 000035000 60.00 RECTRAC 01/21/09 99 PREPARED ..,12/2010, 9:26:27 GENERAL LEDGER N6i'IVITY LISTING NAWt 522 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA = ---------------------------------------------- FUND 101 General Fund ------------------------------------------------------------------------------------- BEGINNING GROUP 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 01569 07/09 CR 01/21/09 0009879 VSI Rcpt#: 000034993 30.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009880 VSI Rcpt#: 000034993 30.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009881 VSI Rcpt#: 000034994 30.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009882 VSI Rcpt#: 000034994 30.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009883 VSI Rcpt#: 000035006 42.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009884 VSI Rcpt#: 000034995 10.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009885 VSI Rcpt#: 000034996 10.00 RECTRAC 01/21/09 99 CR'01569 07/09 CR 01/21/09 0009886 VSI Rcpt#: 000034997 35.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09.0009887 VSI Rcpt#: 000034997 16.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009888 VSI Rcpt#: 000035003 60.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009889 VSI Rcpt#: 000035004 35.00 RECTRAC 01/21/09 99 CR 01569 07/09 CR 01/21/09 0009890 VSI Rcpt#: 000035005 193.00 RECTRAC 01/21/09 99 CR 01599 07/09 CR 01/22/09 0009944 VSI Rcpt#: 000035027 60.00 RECTRAC 01/22/09 99 CR 01599 07/09. CR 01/22/09 0009945 VSI Rcpt#: 000035039 10.00 RECTRAC 01/22/09 99 .CR 01606 07/09 CR 01/23/09 0010024 VSI Rcpt#: 000035045 17..00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010025 VSI Rcpt#: 000035045 75.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010026 VSI•Rcpt#: 000035048 4.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010027 VSI Rcpt#: 000035046 16.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010028 VSI Rcpt#: 000035046 16.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010029 VSI Rcpt#: 000035047 4.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010030 VSI Rcpt#: 000035049 4.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010031 VSI Rcpt#: 000035064 90.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010032 VSI Rcpt#: 000035070 10.00 RECTRAC 01/23/09 99 CR 01606 07/09 CR 01/23/09 0010033 VSI Rcpt#: 000035071 10.00 RECTRAC 01/23/09 99 CR 01613 07/09 CR 01/26/09 0010085 VSI Rcpt#: 000035109 10.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 523 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010086 VSI Rcpt#: 000035094 16.00. RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010087 VSI Rcpt#: 000035085 4.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010088 VSI Rcpt#: 000035085 7.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010089 VSI Rcpt#: 000035083 35.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010090 VSI Rcpt#: 000035084 35.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010091 VSI Rcpt#: 000035086 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010092 VSI Rcpt#: 000035087 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010093 VSI Rcpt#: 000035088 4.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010094 VSI Rcpt#: 000035089 4.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010095 VSI Rcpt#: 000035090 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010096 VSI Rcpt#: 000035091 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010097 VSI Rcpt#: 000035091 • 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010098 VSI Rcpt#: 000035092 - 16.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010099 VSI Rcpt#: 000035093 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010100 VSI Rcpt#: 000035096 17.00 RECTRAC 01/26/09 99. CR 01613 07/09 CR 01/26/09 0010101 VSI Rcpt#: 000035097 4.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010102 VSI Rcpt#: 000035098 75.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010103 VSI Rcpt#: 000035099 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010104 VSI Rcpt#: 000035101 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010105 VSI Rcpt#: 000035110 60.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010106 VSI Rcpt#: 000035111 17.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010107 VSI Rcpt#: 000035112 63.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010108 VSI Rcpt#: 000035118 14.00 RECTRAC 01/26/09 99 CR 01613 07/09 CR 01/26/09 0010109 VSI Rcpt#: 000035116 46.50 RECTRAC 01/26/09 99 PREPARED uoi12/2010,' 9:26:27 GENERAL LEDGER AUiIVITY LISTING PAGE 524 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 101-3000-342.70-00 Charges for Services / Sr Ctr.Leisure Enrichmt CR 01613 07/09 CR 01/26/09 0010110 VSI Rcpt#: 000035122 10.00 RECTRAC 01/26/09 99 CR 01634 07/09 CR 01/27/09 0010187 VSI Rcpt#: 000035126 10.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010188 VSI Rcpt#: 000035135 10.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010189 VSI Rcpt#: 000035132 40.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010190 VSI•Rcpt#: 000035136 10.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010191 VSI Rcpt#: 000035137 10.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010192 VSI Rcpt#: 000035138 35.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010193 VSI Rcpt#: 000035139 35.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010194 VSI Rcpt#: 000035140 50.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010195 VSI Rcpt#: 000035142 7.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010196 VSI Rcpt#: 000035142 7.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010197 VSI Rcpt#: 000035146 7.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010198 VSI Rcpt#: 000035147 7.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010199 VSI Rcpt#: 000035147 7.00 RECTRAC 01/27/09 99 CR 01634 07/09 CR 01/27/09 0010200 VSI Rcpt#: 000035150 42.00 RECTRAC 01/27/09 99 CR 01641 07/09 CR 01/28/09 0010246 VSI Rcpt#: 000035157 16.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010247 VSI Rcpt#: 000035162 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010248 VSI Rcpt#: 000035166 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010249 VSI Rcpt#: 000035157 35.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010250 VSI Rcpt#: 000035158 60.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010251 VSI Rcpt#: 000035159 17.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010252 VSI Rcpt#: 000035160 30.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010253 VSI Rcpt#: 000035202 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010254 VSI Rcpt#: 000035161 17.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010255 VSI Rcpt#: 000035163 16.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 525 PROGRAM GM362LA CITY OF ------------------------------------------------------------------------------------------------------------------------------------ LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010256 VSI Rcpt#: 000035164 17.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010257 VSI Rcpt#: 000035165 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010258 VSI Rcpt#: 000035167 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010259 VSI Rcpt#: 000035169 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010260 VSI Rcpt#: 000035170 4.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010261 VSI Rcpt#: 000035171 60.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010262 VSI Rcpt#: 000035172 35.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010263 VSI Rcpt#: 000035172 16.00 RECTRAC• 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010264 VSI Rcpt#: 000035175 10.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010265 VSI Rcpt#: 000035176 10.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010266 VSI Rcpt#: 000035178 16.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010267 VSI Rcpt#: 000035181 60.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010268 VSI Rcpt#: 000035182 60.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010269 VSI Rcpt#: 000035183 35.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010270 VSI Rcpt#: 000035193 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010271 VSI Rcpt#: 000035189 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010272 VSI Rcpt#: 000035185 42.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010273 VSI Rcpt#: 000035189 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010274 VSI Rcpt#: 000035186 42.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 03/28/09 0010275 VSI Rcpt#: 000035187 42.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010276 VSI Rcpt#: 000035188 200.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010277 VSI Rcpt#: 000035190 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010278 VSI Rcpt#: 000035191 7.00 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010279 VSI Rcpt#: 000035192 7.00 RECTRAC 01/28/09 99 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk Au IVITY LISTING ravt 526 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01641 07/09 CR 01/28/09 0010280 VSI Rcpt#: 000035194 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010281 VSI Rcpt#: 000035195 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010282 VSI Rcpt#: 000035195 RECTRAC 01/28/09 99 CR 01641 0.7/09 CR 01/28/09 0010283 VSI Rcpt#: 000035196 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010284 VSI Rcpt#: 000035197 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010285 VSI Rcpt#: 000035198 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010286 VSI Rcpt#: 000035199 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010287 VSI Rcpt#: 000035200 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010288 VSI Rcpt#: 000035201 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010289 VSI Rcpt#: 000035201 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010290 VSI Rcpt#: 000035203 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010291 VSI Rcpt#: 000035204 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010292 VSI Rcpt#: 000035206 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010293 VSI Rcpt#: 000035206 RECTRAC 01/28/09 99 CR 01641 07/09 CR 01/28/09 0010294 VSI Rcpt#: 000035207 RECTRAC 01/28/09 99 CR 01648 07/09 CR 01/29/09 0010425 VSI Rcpt#: 000035227 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010426 VSI Rcpt#: 000035222 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010427 VSI Rcpt#: 000035224 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010428 VSI Rcpt#: 000035225 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010429 VSI Rcpt#: 000035226 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010430 VSI Rcpt#: 000035231 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010431 VSI Rcpt#: 000035237 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010432 VSI Rcpt#: 000035246 RECTRAC 01/29/09 99, CR.01655 07/09 CR 01/30/09 0010492 VSI Rcpt#: 000035251 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010493 VSI Rcpt#: 000035251 7.00 7.00 7.00• 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 16.00 17.00 17.00 17.00 17.00 30.00 9-0.00 16.00 16.00 4.00 PREPARED uai12/2010, 9:26:27 GENERAL.LEDGEk AurIVITY LISTING rAvt 527 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA --------------------------------------------------------- FUND 101 General Fund --------------------------------------------------------------------------- BEGINNING GROUP 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 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010494 VSI Rcpt#: 000035255 4.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010495 VSI Rcpt#: 000035252 17.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010496 VSI Rcpt#: 000035249 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010497 VSI Rcpt#: 000035250 .16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010498 VSI Rcpt#: 000035253 4.00' RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010499 VSI Rcpt#: 000035253 4.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010500 VSI Rcpt#: 000035254 4.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010501. VSI Rcpt#: 000035255 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010502 VSI Rcpt#: 000035256 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010503 VSI Rcpt#: 000035257 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010504 VSI Rcpt#: 000035258 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010505 VSI Rcpt#: 000035259 4.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010506 VSI Rcpt#: 000035260 7.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR .01/30/09 0010507 VSI Rcpt#: 000035261 7.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010508 VSI Rcpt#: 000035261 4.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010509 VSI Rcpt#: 000035267 16.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010510 VSI Rcpt#: 000035271 75.00 RECTRAC 01/30/09 99 CR 01655 07/09 CR 01/30/09 0010511 VSI Rcpt#: 000035281 81.00 RECTRAC 01/30/09 99 CR 01937 08/09 CR 01/30/09 0012770 VSI Rcpt#: 000035229 30.00 RECTRAC 01/30/09 97 CR, 01937 08/09 CR 01/30/09 0012771 VSI Rcpt#: 000035294 16.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012772 VSI Rcpt#: 000035294 16.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012773 VSI Rcpt#: 000035300 60.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012774 VSI Rcpt#: 000035486 30.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012775 VSI Rcpt#: 000035533 30.00 RECTRAC 01/30/.09 97 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk m� IVITY LISTING rAWt 528 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01937 08/09 CR 01/30/09 0012776 VSI Rcpt#: 000035533 30.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012777 VSI Rcpt#: 000035639 30.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012778 VSI Rcpt#: 000035641 42.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012779 VSI Rcpt#: 000035761 60.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012780 VSI Rcpt#: 000035831 16.00 RECTRAC 01/30/09 97 CR 01937 '08/09 CR 01/30/09 0012781 VSI Rcpt#: 000035864 30.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012782 VSI Rcpt#: 000035863 90.00 RECTRAC 01/30/09 97 CR 01717 07/09 CR 01/31/09 0011176 VSI Rcpt#: 000034549 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011177 VSI Rcpt#: 000034468 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011178 VSI Rcpt#: 000034468 35.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011179 VSI Rcpt#: 000034444 35.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011180 VSI Rcpt#:•000034624 30.00 RECTRAC 12/30/08 97 CR 01.717 07/09 CR 01/31/09 0011181 VSI Rcpt#: 000034640 15.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011182 VSI Rcpt#: 000034624 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011183 VSI Rcpt#: 000034624 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011184 VSI Rcpt#: 000034840 50.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011185 VSI Rcpt#: 000034424 90.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR O1/31/09 0011186 VSI Rcpt#: 000034433 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011187 VSI Rcpt#: 000034433 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011188 VSI Rcpt#: 000034840 16.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011189 VSI Rcpt#: 000034840 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011190 VSI Rcpt#: 000034840 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011191 VSI Rcpt#: 000034840 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011192 VSI Rcpt#: 000034502 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011193 VSI Rcpt#: 000034502 60.00 PREPARED u4i12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAvt 529 PROGRAM GM362LA CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011194 VSI Rcpt#: 000034502 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011195 VSI Rcpt#: 000034502 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011196 VSI Rcpt#: 000034506 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011197 VSI Rcpt#: 000034515 16.00 RECTRAC 12/30/08 97 CR 0.1717 07/09 CR 01/31/09 0011198 VSI Rcpt#: 000034515 16.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011199 VSI Rcpt#: 000034549 75.00 RECTRAC 12/30/08 97 CR 0171.7 07/09 CR 01/31/09 0011200 VSI Rcpt#: 000034549 75.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011201 VSI Rcpt#: 000034549 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011202 VSI Rcpt#: 000034554 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011203 VSI Rcpt#: 000034706 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011204 VSI Rcpt#: 000034706 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011205 VSI Rcpt#: 000034721 48.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011206 VSI Rcpt#: 000034721 •48.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011207 VSI Rcpt#: 000034727 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011208 VSI Rcpt#: 000034727 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011209 VSI Rcpt#: 000034727 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011210 VSI Rcpt#: 000034758 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011211 VSI Rcpt#: 000034759 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011212 VSI Rcpt#: 000034802 35.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011213 VSI Rcpt#: 000034812 90.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011214 VSI Rcpt#: 000035035 16.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011215 VSI Rcpt#: 000035035 40.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011216 VSI Rcpt#: 000035044 42.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011217 VSI Rcpt#: 000035053 35.00 RECTRAC 12/30/08 97 PREPARED us/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 530 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------ FUND 101 -------------------------------------------------------------- General Fund ------------------------------- --------------=------- ----- BEGINNING GROUP 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 01717 07/09 CR 01/31/09 0011218 VSI Rcpt#: 000035107 60.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011219 VSI Rcpt#: 000035108 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011220 VSI Rcpt#: 000035108 30.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/.31/09 0011221 VSI Rcpt#: 000035155 35.00 RECTRAC 12/30/08 97 CR 01717 07/09 CR 01/31/09 0011222 VSI Rcpt#: 000035154 35.00 RECTRAC 12/30/08 97 CR 01678 08/09 CR 02/02/09 0010614 VSI Rcpt#: 000035342 10.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010615 VSI Rcpt#: 000035295 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010616 VSI Rcpt#: 000035296 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010617 VSI Rcpt#: 000035298 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010618 VSI Rcpt#: 000035299 35.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010619 VSI Rcpt#: 000035304 4.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010620 VSI Rcpt#: 000035301 35.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010621 VSI Rcpt#: 000035302 35.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010622 VSI Rcpt#: 000035303 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010623 VSI Rcpt#: 000035305 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010624 VSI Rcpt#: 000035311 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010625 VSI Rcpt#: 000035306 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010626 VSI Rcpt#: 000035307 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010627 VSI'Rcpt#: 000035308 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010628 VSI Rcpt#: 000035309 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010629 VSI Rcpt#: 000035310 17.00 RECTRAC 02/02/09 99 CR 01678 08/09. CR 02/02/09 0010630 VSI Rcpt#: 000035312 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010631 VSI Rcpt#: 000035313 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010632 VSI Rcpt#: 000035314 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010633 VSI Rcpt#: 000035321 6.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 531 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02/02/09 99 CR 01678 08/09 'CR 02/02/09 0010634 VSI Rcpt#: 000035318 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010635 VSI Rcpt#: 000035319 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010636 VSI Rcpt#: 000035330 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010637 VSI Rcpt#: 000035342 10.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010638 VSI Rcpt#: 000035339 30.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010639 VSI Rcpt#: 000035332 69.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010640 VSI Rcpt#: 000035333 14.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010641 VSI Rcpt#: 000035334 10.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010642 VSI Rcpt#: 000035335 17.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010643 VSI Rcpt#: 000035336 30.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010644 VSI Rcpt#: 000035337 16.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010645 VSI Rcpt#: 000035343 45.00 RECTRAC 02/02/09 99 CR 01678 08/09 CR 02/02/09 0010646 VSI Rcpt#: 000035348 42.00 RECTRAC 02/02/09 99 CR 01704 08/09 CR 02/03/09 0010715 VSI Rcpt#: 000035384 ,7.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010716 VSI Rcpt#: 000035363 10.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010717 VSI'Rcpt#: 000035384 7.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010718 VSI Rcpt#: 000035372 35.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010719 VSI Rcpt#: 000035364 10.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010720 VSI Rcpt#: 000035365 30.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010721 VSI Rcpt#: 000035367 10.00• RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010722 VSI Rcpt#: 000035372 35.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010723 VSI Rcpt#: 000035373 35.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010724 VSI Rcpt#: 000035370 10.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010725 VSI Rcpt#: 000035371 30.00 RECTRAC 02/03/09 99 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 532 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01704 08/09 CR 02/03/09 0010726 VSI Rcpt#: 000035374 35.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010727 VSI Rcpt#: 000035375 35.00 RECTRAC. 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010728 VSI Rcpt#: 000035379 50.00 RECTRAC' 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010729 VSI Rcpt#: 000035385 7.00 RECTRAC 02/03/09 99 . CR 01704 08/09 CR .02/03/09 0010730 VSI Rcpt#: 000035389 45.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010731 VSI Rcpt#: 000035390 45.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010732 VSI Rcpt#: 000035393 60.00 RECTRAC 02/03/09 99 CR 01711 08/09 CR 02/04/09 0010807 VSI Rcpt#: 000035418 7.00 RECTRAC • 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010808 VSI Rcpt#: 000035429 7.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010809 VSI Rcpt#: 000035403 4.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010810 VSI Rcpt#: 000035423 30.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010811 VSI Rcpt#: 000035396 10.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010812 VSI Rcpt#: 000035399 17.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010813 VSI Rcpt#: 000035398 17.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010814 VSI Rcpt#: 000035400 16.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010815 VSI Rcpt#: 000035401 7.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02%04/09 0010816 VSI Rcpt#: 000035402 16.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010817 VSI Rcpt#: 000035404 16.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010818 VSI Rcpt#: 000035405 • 17.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010819 VSI Rcpt#: 000035406 16.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010820 VSI Rcpt#: 000035408 48.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010821 VSI Rcpt#: 000035408 10.00 RECTRAC 02/04/09 99 CR 01711• 08/09 CR 02/04/09 0010822 VSI Rcpt#: 000035409 10.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010823 VSI Rcpt#: 000035410 60.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010824 VSI Rcpt#: 000035412 15.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt 60.00 7.00 7.00 7.00 30.00 30.00 30.00 30.00 30.00 7.00 184.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 30.00 7.00 42.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010825 VSI Rcpt#: 000035414 RECTRAC 02/04/09 99. CR 01711 08/0.9 CR 02/04/09 0010826 VSI Rcpt#: 000035434 RECTRAC 02/04/09.99 CR 01711 08/09 CR 02/04/09 0010827 VSI Rcpt#: 000035418 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010828 VSI Rcpt#: 000035428 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010829 VSI Rcpt#: 000035419 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010830 VSI Rcpt#: 000035419 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010831 VSI Rcpt#: 000035420 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010832 VSI Rcpt#: 000035420 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010833 VSI Rcpt#: 000035423 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010834 VSI Rcpt#: 000035425 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010835 VSI Rcpt#: 000035426 RECTRAC . 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010836 VSI Rcpt#: 000035427 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010837 VSI.Rcpt#: 000035430 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010838 VSI Rcpt#: 000035431 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010839 VSI Rcpt#: 000035440 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010840 VSI Rcpt#:• 000035432 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010841 VSI Rcpt#: 000035433 RECTRAC" 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010842 VSI Rcpt#: 000035433 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010843 VSI Rcpt#: 000035440 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010844 VSI Rcpt#: 000035437 RECTRAC• 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010845 VSI Rcpt#: 000035437 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010846 VSI Rcpt#: 000035441 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010847 VSI Rcpt#: 000035442 RECTRAC 02/04/09 99 CR 01734 08/09 CR 02/05/09 0011009 VSI Rcpt#: 000035466 RECTRAC 02/05/09 98 60.00 7.00 7.00 7.00 30.00 30.00 30.00 30.00 30.00 7.00 184.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 30.00 7.00 42.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 534 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01734 08/09 CR 02/05/09 0011010 VSI Rcpt#: 000035466 42.00 RECTRAC 02/05/09 98 CR 01734 08/09 CR 02/05/09 0010971 VSI Rcpt#: 000035452 7.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09.0010972 VSI Rcpt#: 000035454 17.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010973 VSI Rcpt#: 000035460 17.00 RECTRAC 02/05/09 99 CR 01734 08%09 CR 02/05/09 0010974 VSI Rcpt#: 000035463 17.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010975 VSI Rcpt#: 000035461 17.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010976 VSI•Rcpt#: 000035462 17.00 RECTRAC - 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010977 VSI Rcpt#: 000035465 17.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010978 VSI Rcpt#: 000035473 45.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010979 VSI Rcpt#: 000035473 45.00 RECTRAC 02/05/09 99 CR 01734 08/09 CR 02/05/09 0010980• VSI Rcpt#: 000035475 60.00 RECTRAC 02/05/09 99 CR 01740 08/09 CR 02/06/09 0011088 VSI Rcpt#: 000035485 4.00 RECTRAC 02/06/09 99 CR 01740 08/09 CR 02/06/09 0011089 VSI Rcpt#: 000035487 7.00 RECTRAC 02/06/09 99 CR 01740 08/09 CR 02/06/09 0011090 VSI Rcpt#: 000035492 87.00 RECTRAC 02/06/09 99 CR 01740 08/09 CR 02/06/09 0011091 VSI Rcpt#: 000035501 30.00 RECTRAC 02/06/09 99 CR 01747 08/09 CR 02/09/09 0011262 VSI Rcpt#: 000035508 17.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011263 VSI Rcpt#: 000035509• 17.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011264 VSI Rcpt#: 000035510 17.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09.0011265 VSI Rcpt#: 000035512 17.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011266 VSI Rcpt#: 000035513 16.00 RECTRAC 02/09/09 99 - CR 01747 08/09 CR 02/09/09 0011267 VSI Rcpt#: 000035514 4.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011268 VSI Rcpt#: 000035514 4.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011269 VSI Rcpt#: 000035516 4.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011270 VSI Rcpt#: 000035519 17.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011271 VSI Rcpt#: 000035520 30.00 PREPARED w4,f1212010, 9:26:27 GENERAL LEDGER mLi'IVITY LISTING rAWL 535 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 17.00 81.00 54.00 14.00 10.00 30.00 40.00 40.00 10.00 40.00 . 10.00 30.00 30.00 30.00 35.00 15.00 4.00 17.00 17.00 4.00 4.00 4.00 10.00 4.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011272 VSI Rcpt#: 000035521 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011273 VSI Rcpt#: 000035525 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011274 VSI Rcpt#: 000035528 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011275 VSI Rcpt#: 000035529 RECTRAC 02/09/09 99 ' CR 01771 08/09 CR 02/10/09 0011354 VSI Rcpt#: 000035539 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011355 VSI Rcpt#: 000035537 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011356 VSI Rcpt#: 000035540 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011357 VSI Rcpt#: 000035538 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011358 VSI Rcpt#: 000035541 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011359 VSI Rcpt#: 000035542 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011360 VSI Rcpt#: 000035543 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011361 VSI Rcpt#: 000035545 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011362 VSI Rcpt#: 000035546 RECTRAC 02/10/09, 99 CR 01771 08/09 CR 02/10/09 0011363 VSI Rcpt#: 000035547 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011364 VSI Rcpt#: 000035556 RECTRAC 02/10/09 99 CR 01771 08/09 CR 02/10/09 0011365 VSI Rcpt#: 000035557 RECTRAC 02/10/09 99 CR 01777 08/09 CR 02/11/09 0011422 VSI Rcpt#: 000035564 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011423 VSI Rcpt#.: 000035565 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011424 VSI Rcpt#: 000035566 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011425 VSI Rcpt#: 000035567 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011426 VSI Rcpt#: 000035567 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011427 VSI Rcpt#: 000035567 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011428 VSI Rcpt#: 000035570 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011429 VSI Rcpt#: 000035568 RECTRAC 02/11/09 99 17.00 81.00 54.00 14.00 10.00 30.00 40.00 40.00 10.00 40.00 . 10.00 30.00 30.00 30.00 35.00 15.00 4.00 17.00 17.00 4.00 4.00 4.00 10.00 4.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6iIVITY LISTING PAGE 536 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01777 08/09 CR 02/11/09 0011430 VSI Rcpt#: 000035569 17.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011431 VSI Rcpt#: 000035571 48.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011432 VSI Rcpt#: 000035572 10.00 RECTRAC 02/11/09 99 CR 017.77 08/09 CR 02/11/09 0011433 VSI Rcpt#: 000035574 48.00 RECTRAC 02/11/09 99 CR 01777 •08/09' CR 02/11/09 0011434 VSI Rcpt#: 000035575 17.00 RECTRAC 02/11/09 99 CR 01777. 08/09 CR 02/11/09 0011435 VSI Rcpt#: 000035577 10.00 RECTRAC 02/11/09'99 CR 01777 08/09 CR 02/11/09 0011436 VSI Rcpt#: 000035579 48.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011437 VSI Rcpt#: 000035581 10.00 RECTRAC 02/11/09 99 CR 01777. 08/09 CR 02/11/09 001.1438 VSI Rcpt#: 000035583 48.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011439 VSI Rcpt#: 000035584 48.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011440 VSI Rcpt#: 000035588 90.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011441 VSI Rcpt#: 000035590 30.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011442 VSI Rcpt#: 000035614 7.00 RECTRAC 02/1.1/09 99 CR 01777 08/09 CR 02/11/09 0011443 VSI Rcpt#: 000035602 42.00 RECTRAC .02/11/09 99 CR 01777 08/09 CR 02/11/09 0011444 VSI Rcpt#: 000035602 42.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/_09 0011445 VS.I Rcpt#: 000035609 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011446 VSI Rcpt#: 000035604 183.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011447 VSI Rcpt#: 000035615 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011448 VSI Rcpt#: 000035607 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011449 VSI Rcpt#: 000035610 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011450 VSI Rcpt#: 000035611 7.00' RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011451 VSI Rcpt#: 000035611 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011452 VSI Rcpt#: 000035612 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011453 VSI Rcpt#: 000035613 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011454 VSI Rcpt#: 000035616 7.00 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAVt 537 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011455 VSI Rcpt#: 000035617 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011456 VSI Rcpt#: 000035617 7.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR 02/11/09 0011457 VSI Rcpt#: 000035618 45.00 RECTRAC 02/11/09 99 CR 01777 08/09 CR•02/11/09 0011458 VSI Rcpt#: 000035619 4.00 RECTRAC 02/11/09 99 CR 01785 08/09 CR 02/13/09 0011535 SENIOR CENTER FEES 02/12/ 245.00 KBLONDELL 02/13/09 01 CR 01789 08/09 CR 02/13/09 0011578 VSI Rcpt#: 000035645 4.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011579 VSI Rcpt#: 000035646 4.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011580 VSI Rcpt#: 000035647 4.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011581 VSI Rcpt#: 000035652 15.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011582 VSI Rcpt#: 000035652 15.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011583 VSI Rcpt#: 000035653 15.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011584 VSI Rcpt#: 000035655 15.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011585 VSI Rcpt#: 000035654 15.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011586 VSI Rcpt#: 000035661 87.00 RECTRAC 02/13/09 99 CR 01789 08/09 CR 02/13/09 0011587 VSI Rcpt#: 000035663 60.00 RECTRAC 02/13/09 99 CR 01823 08/09 CR 02/17/09 0011686 VSI Rcpt#: 000035703 75.00 RECTRAC 02/17/09 98 CR 01823 08/09 CR 02/17/09 0011662 VSI Rcpt#: 000035695 42.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011663. VSI Rcpt#: 000035678 30.00 RECTRAC• 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011664 VSI Rcpt#: 000035680 30.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011665 VSI Rcpt#: 000035681 10.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011666 VSI Rcpt#: 000035683 35.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011667 VSI Rcpt#: 000035696 7.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011668 VSI Rcpt#: 000035696 7.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011669 VSI Rcpt#: 000035694 48.00 RECTRAC 02/17/09 99 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGER AUCIVITY LISTING PAGE 538 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 01823 08/09 CR 02/17/09 0011670 VSI Rcpt#: 000035698 10.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011671 VSI Rcpt#: 000035699 10.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011672 VSI Rcpt#: 000035700 42.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011673 VSI Rcpt#: 000035700 42.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011674 VSI Rcpt#: 000035708 7.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011675 VSI Rcpt#: 000035708 7.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011676 VSI Rcpt#: 000035725 30.00 RECTRAC 02/17/09 99 CR 01830 08/09 CR 02/18/09 0011759 VSI Rcpt#: 000035742 17.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011760 VSI Rcpt#: 000035743 90.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011761 VSI Rcpt#: 000035738 17.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011762 VSI Rcpt#: 000035739 4.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011763 VSI Rcpt#: 000035748 4.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011764 VSI Rcpt#: 000035745 17.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR. 02/18/09 0011765 VSI Rcpt#: 000035746 7.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011766 VSI Rcpt#: 000035755 10.00 RECTRAC 02/18/0999 CR 01830 08/09 CR 02/18/09 0011767 VSI Rcpt#: 000035749 4.00 RECTRAC 02/18/09 99 CR 01830 08/0.9 CR 02/18/09 0011768 VSI Rcpt#: 000035750 90.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011769 VSI Rcpt#: 000035751 90.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011770 VSI Rcpt#: 000035754 10.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011771 VSI Rcpt#: 000035770 60.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011772 VSI Rcpt#: 000035771 30.00 RECTRAC 02/1.8/09 99 CR 01830 08/09 CR 02/18/09 0011773 VSI Rcpt#: 000035771 30.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011774 VSI Rcpt#: 000035773 30.00 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011775 VSI Rcpt#: 000035779 149.00. RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011776 VSI Rcpt#: 000035780 7.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AUfIVITY LISTING PAGE 539 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA------------------------------------------------------------------------------------------------------------------------------------ ' FUND 101 General Fund BEGINNING GROUP 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 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011777 VSI Rcpt#: 000035781 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011778 VSI Rcpt#: 000035782 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011779 VSI Rcpt#: 000035783 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011780 VSI Rcpt#: 000035784 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011781 VSI Rcpt#: 000035785 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011782 VSI Rcpt#: 000035786 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011783 VSI Rcpt#: 000035787 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011784 VSI Rcpt#: 000035788 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011785 VSI Rcpt#: 000035789 RECTRAC 02/18/09°99 CR 01830 08/09 CR 02/18/09 0011786 VSI Rcpt#: 000035791 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011787 VSI Rcpt#: 000.035792 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011788 VSI Rcpt#: 000035793 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011789 VSI Rcpt#: 000035793 RECTRAC 02/18/09 99 CR 01830 08/09 CR 02/18/09 0011790 VSI Rcpt#: 000035794 RECTRAC 02/18/09 99 GM 01880 09/09 AP 02/18/09.0082037 SAWYER, MARY ANA 35769 REFUND GM 01880 09/09 AP 02/18/09 0081983 JALLINOJA, OLA - 55768 REFUND GM 01880 09/09 AP 02/18/09 0082068 WILLIAMS, CARLENE 35767 REFUND GM 01880 09/09 AP 02/18/09 0081999 MACDONALD, MARGE 35760 REFUND CR 01849 08/09 CR 02/1.9/09 0011860 VSI Rcpt#: 000035834 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011861 VSI Rcpt#: 000035806 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011862 VSI' Rcpt#: 000035807 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02%19/09 0011863 VSI Rcpt#: 000035808 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09.0011864 VSI Rcpt#: 000035817 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011865 VSI Rcpt#: 000035830 - RECTRAC 02/19/09 99 60.00 60.00 60.00 60.00 7.00. 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 60.00 60.00 7.00 30.00 17.00 17.00 17.00 30.00 16.00 PREPAREL u4.,12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING VAWt 540 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01849 08/09 CR 02/19/09 0011866 VSI Rcpt#: 000035833 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011867 VSI Rcpt#: 000035835 RECTRAC 02/19/09 99 CR 01857 08/09 CR 02/20/09 0011993 VSI Rcpt#: 000035839 RECTRAC 02/20/09 99 CR 01857 08/09 CR 02/20/09 0011994 VSI Rcpt#: 000035840 RECTRAC 02/20/09 99 CR 01857 08/09 CR 02/20/09 0011995 VSI Rcpt#: 000035841 RECTRAC 02/20/09 99 CR 01857 08/09 CR 02/20/09 0011996 VSI Rcpt#: 000035844 RECTRAC 02/20/09 99 CR 01857 08/09 CR 02/20/09 0011997 VSI Rcpt#: 000035851 RECTRAC 02/20/09 99 CR 01857 08/09 CR 02/20/09 0011998 VSI Rcpt#: 000035861 RECTRAC 02/20/09 99 GM 01880 09/09 AP 02/20/09 0081961 EAGLE, NANCY 35845 REFUND CR 01864 08/09 CR 02/23/09 0012031 VSI Rcpt#: 000035869 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012032 VSI Rcpt#: 000035866 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012033 VSI Rcpt#: 000035867 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012034 VSI Rcpt#: 000035868 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012035• VSI Rcpt#: 000035870 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012036 VSI Rcpt#: 000035871 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012037 VSI Rcpt#: 000035874 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012038 VSI Rcpt#: 000035878 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012039 VSI Rcpt#o 000035873 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012040 VSI Rcpt#: 000035875 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012041 VSI Rcpt#: 000035876 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012042 VSI Rcpt#: 000035877 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012043 VSI Rcpt#: 000035881 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012044 VSI Rcpt#: 000035880 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012045 VSI Rcpt#: 000035883 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012046 VSI Rcpt#: 000035892 58.00 7.00 30.00 4.00 4.00 4.00 4.00 78.00 30.00 17.00 7.00 4.00 16.00 17.00 17.00 17.00 17.00 17.00 17.00 4.00 4.00 20.00 20.00 30.00 60.00 PREPAREL ..,'12/2010, 9:26:27 GENERAL•LEDGEk mi. IVITY LISTING rAWt 541 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02/23/09 99 CR 01864 08/09 CR 02/23/09.0012047 VSI Rcpt#: 000035896 78.00 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012048 VSI Rcpt#: 000035901 30.00 RECTRAC 02/23/09 99 CR 01864 08/09 CR 02/23/09 0012049 VSI Rcpt#: 000035906 30.00 RECTRAC 02/23/09 99 CR 01870 08/09 CR 02/24/09 0012135 VSI Rcpt#: 000035917 14.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012136 VSI Rcpt#: 000035919 10..00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012137 VSI Rcpt#: 000035920 10.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012138 VSI Rcpt#: 000035921 35.00 RECTRAC 02/24/09 99 CR 0187Q 08/09 CR 02/24/09 0012139 VSI Rcpt#: 000035933 10.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012140 VSI Rcpt# :000035938 10.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012141 VSI Rcpt#: 000035940 7.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012142 VSI Rcpt#: 000035942 7.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012143 VSI Rcpt#: 000035942 7.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012144 VSI Rcpt#: 000035943 7.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012145 VSI Rcpt#: 000035943 7.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012146 VSI Rcpt#: 000035944 25.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012147 VSI Rcpt#: 000035944 35.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012148. VSI Rcpt#: 000035947 10.00 RECTRAC 02/24/09 99 CR 01894 08/09 CR 02/25/09 0012212 VSI Rcpt#: 000035955 16.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012213 VSI Rcpt#: 000035951 4.00 RECTRAC 02/25/09 99 CR 01894 08/09' CR 02/25/09 0012214 VSI Rcpt#: 000035951 16.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012215 VSI Rcpt#: 000035964 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012216 VSI Rcpt#: 000035953 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012217 VSI Rcpt#: 000035954 16.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012218 VSI Rcpt#: 000035954 16.00 RECTRAC 02/25/09 99 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 542 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01894 08/09 CR 02/25/09 0012219 VSI Rcpt#: 000035956 4.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012220 VSI Rcpt#: 000035956 4.00 RECTRAC •02/25/09 99 CR 01894 08/09 CR 02/25/09 0012221 VSI Rcpt#: 000035957 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012222 VSI Rcpt#: 000035958 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012223 VSI Rcpt#: 000035961 35.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012224 VSI Rcpt#: 000035961 16.00' RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012225 VSI Rcpt#: 000035962 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012226 VSI Rcpt#: 000035966 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012227 VSI Rcpt#: 000035967 30.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012228 VSI Rcpt#: 000035969 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012229 VSI Rcpt#: 000035970 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012230 VSI Rcpt#: 000035971 17.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012231 VSI Rcpt#: 000035974 10.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012232 VSI Rcpt#: 000035975 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012233 VSI Rcpt#: 000035975 10.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012234 VSI Rcpt#: 000035975 10.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012235 VSI Rcpt#: 000035978 10.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012236 VSI Rcpt#: 000035979 10.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012237 VSI Rcpt#: 000035987 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012238 VSI Rcpt#: 000035985 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012239 VSI Rcpt#: 000035986 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012240 VSI Rcpt#: 000035988 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012241 VSI Rcpt#: 000035989 170.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012242 VSI Rcpt#: 000035990 7.00 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012243 VSI Rcpt#: 000035994 7.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk %6 IVITY LISTING VAWh 543 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012244 VSI Rcpt#: 000035991 RECTRAC . 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012245 VSI Rcpt#:• 000035992 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012246 VSI Rcpt#: 000035995 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012247 VSI Rcpt#: 000035993 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012248 VSI Rcpt#: 000036000 RECTRAC 02/25/09 99 CR 01894 08%09 CR 02/25/09 0012249 VSI Rcpt#: 000035996 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012250 VSI Rcpt#: 000035997 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012251 VSI Rcpt#: 000035998 RECTRAC 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012252 VSI Rcpt#: 000035999 RECTRAC • 02/25/09 99 CR 01894 08/09 CR 02/25/09 0012253 VSI Rcpt#: 000036001 RECTRAC 02/25/09 99 CR 01901 08/09 CR 02/26/09 0012337 VSI Rcpt#: 000036019 RECTRAC 02/26/09 99 CR 01901 08/09 CR 02/26/09 0012338 VSI Rcpt#: 000036020 RECTRAC 02/26/09 99 CR 01901 08/09 CR 02/26/09 0012339 VSI Rcpt#: 000036024 RECTRAC 02/26/09 99 CR 01901 08/09 CR 02/26/09 0012340 VSI Rcpt#: 000036029 RECTRAC. 02/26/09 99 GM 01905 09/09 AP 02/26/09 0081907 LEIGHTON, BEACH 36023 REFUND CR 01910 08/09 CR 02/27/09 0012390 VSI Rcpt#: 000036034 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012391 VSI Rcpt#: 000036032 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012392 VSI Rcpt#: 000036033 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012393 VSI Rcpt#: 000036038 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012394 VSI Rcpt#: 000036040 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012395 VSI Rcpt#: 000036040 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012396 VSI Rcpt#: 000036041 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012397 VSI Rcpt#: 000036056 RECTRAC 02/27/09 99 CR 01910 08/09 CR 02/27/09 0012398 VSI Rcpt#: 000036057 RECTRAC 02/27/09 99 30.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 90.00 90.00 30.00 75.00 35.00 35.00 35.00 16.00 16.00 4.On 16.00 93.00 6.00 PREPARED uo.,12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 544 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ----------------------------------------------------------------------------------------------------------•-------------------------- FUND 101 General Fund BEGINNING GROUP 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 01922 09/09 CR 03/02/09 0012447 SENIOR CENTER FEES 02/26/ 87.00 KBLONDELL 03/02/09 01 CR 01924 09/09 CR 03/02/09 0012502 VSI Rcpt#: 000036106 48.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012503 VSI Rcpt#: 000036072 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012504 VSI Rcpt#: 000036072 35.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012505 VSI Rcpt#: 000036087 17.00• RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012506 VSI Rcpt#: 000036070 35.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012507 VSI Rcpt#: 000036075 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012508 VSI Rcpt#: 000036077 17.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012509 VSI Rcpt#: 000036081 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012510 VSI Rcpt#: 000036078 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012511 VSI Rcpt#: 000036079 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012512 VSI Rcpt#: 000036079 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012513 VSI Rcpt#: 000036080 4.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012514 VSI Rcpt#: 000036082 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012515 VSI Rcpt#: 000036083 17.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012516 VSI Rcpt#: 000036084 4.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012517 VSI Rcpt#: 000036085 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012518 VSI Rcpt#: 000036086 16.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012519 VSI Rcpt#: 000036094 17.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012520 VSI Rcpt#: 000036097 90.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012521 VSI Rcpt#: 000036098 20.00- RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012522 VSI Rcpt#: 000036104 75.00 RECTRAC 03/02/09 99 CR 01924 09/09 CR 03/02/09 0012523 VSI Rcpt#: 000036108 14.00 RECTRAC 03/02/09 99 CR 01930 09/09 CR 03/03/09 0012585 VSI Rcpt#: 000036128 10.00 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012586 VSI Rcpt#: 000036122 10.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING F'AUE 545 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012587 VSI Rcpt#: 000,036123 RECTRAC 03/03/09.99 CR 01930 09/09 CR 03/03/09 0012588 VSI Rcpt#: 000036130 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012589 VSI Rcpt#: 000036135 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012590 VSI Rcpt#: 000036136 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012591 VSI Rcpt#: 000036136 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012592 VSI Rcpt#: 000036137 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012593 VSI Rcpt#: 000036151 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012594 VSI Rcpt#: 000036153 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012595 VSI Rcpt#: 000036153 RECTRAC 03/03/09 99 CR 01952 09/09 CR 03/04/09 0012666 VSI Rcpt#: 000036161 RECTRAC 03/04/09 99 CR 01952 09/09 CR'03/04/09 0012667 VSI Rcpt#: 000036165 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012668 VSI Rcpt#: 000036162 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012669 VSI Rcpt#: 000036163 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012670 VSI Rcpt#: 000036169 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012671 VSI Rcpt#: 000036164 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012672 VSI Rcpt#: 000036170 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012673 VSI Rcpt#: 000036166 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012674 VSI Rcpt#: 000036167 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012675 VSI Rcpt#: 000036168 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012676 VSI Rcpt#: 000036182 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012677 VSI Rcpt#: 000036174 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012678 VSI Rcpt#: 000036175 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012679 VSI Rcpt#: 000036181 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012680 VSI Rcpt#: 000036183 RECTRAC 03/04/09 99 10.00 50.00 ` 7.00 7.00 7.00 45.00 30.00 16.00 .16.00 16.00 17.00 16.00 4.00 16.00 17.00 7.00 4.00 17.00 17.00 10.00 10.00 17.00 30.00 10.00 PREPAREL uoi'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 546 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01952 09/09 CR 03/04/09 0012681 VSI Rcpt#: 000036183 10.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012682 VSI Rcpt#: 000036185 48.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012683 VSI Rcpt#: 000036185 48.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012684 VSI Rcpt#: 000036193 7.00 RECTRAC 03/04/09 99 CR 01952. 09/09 CR 03/04/09 0012685 VSI Rcpt#: 000036187 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012686 VSI Rcpt#: 000036191 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012687 VSI Rcpt#: 000036192 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012688 VSI Rcpt#: 000036189 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012689 VSI Rcpt#: 000036190 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012690 VSI Rcpt#: 000036195 202.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012691 VSI Rcpt#: 000036194 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012692 VSI Rcpt#: 000036196 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012693 VSI Rcpt#: 000036198 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012694 VSI Rcpt#: 000036197 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012695 VSI Rcpt#: 000036198 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012696 VSI Rcpt#: 000036199 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0012697 VSI Rcpt#: 000036201 7.00 RECTRAC 03/04/09 99 CR 01952 09/09 CR 03/04/09 0.012698 VSI Rcpt#: 000036202 7.00 RECTRAC 03/04/09 99 CR 01997 09/09 CR 03/05/09 0012821 VSI Rcpt#: 000036214 17.00 RECTRAC 03/05/09 99 CR 01997 09/09 CR 03/05/09 0012822 VSI Rcpt#: 000036215 90.00 RECTRAC 03/05/09 99 CR 01997 09/09 CR 03/05/09 0012823 VSI Rcpt#: 000036216 17.00 RECTRAC 03/05/09 99 CR 01997 09/09 CR 03/05/09 0012824 VSI Rcpt#: 000036223 15.00 RECTRAC 03/05/09 99 CR 02004 09/09 CR 03/06/09 0012892' VSI Rcpt#: 000036229 30.00 RECTRAC 03/06/09 99* CR 02004 09/09 CR 03/06/09 0012893 VSI Rcpt#: 000036235 15.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012894 VSI Rcpt#: 000036236 15.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 547 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012895 VSI Rcpt#: 000036237 15.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09'0012896 VSI Rcpt#: 000036238 4.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012897 VSI Rcpt#: 000036239 78.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012898 VSI Rcpt#: 000036246 35.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012899 VSI Rcpt#: 000036247 35.00 .RECTRAC ' 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012900 VSI Rcpt#: 000036251 35.00 RECTRAC 03/06/09 99 CR 02004 09/09 CR 03/06/09 0012901 VSI Rcpt#: 000036252 35.00 RECTRAC 03/06/09 99 CR 02018 09/09 CR 03/10/09 0013064 VSI Rcpt#: 000036293 30.00 RECTRAC 03/10/09 99 CR 02051 09/09 CR 03/17/09 0'013409 VSI Rcpt#: 000036371 10.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013410 VSI Rcpt#: 000036372 10.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013411 VSI Rcpt#:'000036373 10.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013412 VSI Rcpt#: 000036374 10.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013413 VSI Rcpt#: 000036381 50.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013414 VSI Rcpt#: 000036382 25.00' RECTRAC -03/17/09 99 CR 02051 09/09 CR 03/17/09 0013415 VSI Rcpt#: 000036383 25.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013416 VSI Rcpt#: 000036384 10.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013417 VSI Rcpt#: 000036385 7.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013418 VSI Rcpt#: 000036385 7.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013419 VSI Rcpt#: 000036389 35.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013420 VSI Rcpt#: 000036386 35.00 RECTRAC 03/17/09 99 CR 02051 09/09 CR 03/17/09 0013421 VSI Rcpt#: 000036387 35.00 RECTRAC 03/17/•09 99 CR 02051 09/09 CR 03/17/09 0013422 VSI Rcpt#: 000036388 35.00 RECTRAC 03/17/09 99 CR 02073 09/09 CR 03/18/09 0013481 VSI Rcpt#: 000036392 17.00 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013482 VSI Rcpt#: 000036393 17.00 RECTRAC 03/18/09 99 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUIIVITY LISTING PAGE 548 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02073 09/09 CR 03/18/09 0013483 VSI Rcpt#: 000036394 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013484 VSI Rcpt#: 000036395 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013485 VSI Rcpt#: 000036395 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013486 VSI'Rcpt#: 000036396 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013487 VSI Rcpt#: 000036397 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013488 VSI Rcpt#: 000036398 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09.0013489 VSI Rcpt#: 000036398 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013490 VSI Rcpt#: 000036400 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013491 VSI Rcpt#: 000036405 RECTRAC 03/18/09 99 CR 02073 09/09. CR 03/18/09 0013492 VSI Rcpt#: 000036406 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013493 VSI Rcpt#: 000036407 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013494 VSI Rcpt#: 000036407 RECTRAC 03/18/09 99 CR 02073 09/09 CR 03/18/09 0013495 VSI Rcpt#: 000036421 RECTRAC 03/18/09 99 CR 02088 09/09 CR 03/20/09 0013662 VSI Rcpt#: 000036457 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013663 VSI Rcpt#: 000036457 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013664 VSI Rcpt#: 000036458 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013665 VSI Rcpt#: 000036460 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013666. VSI Rcpt#: 000036461 RECTRAC 03/20/09 99 CR 02088 09/09*•CR 03/20/09 0013667 VSI Rcpt#: 000036474 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013668 VSI Rcpt#: 000036475 RECTRAC 03/20/09 99 CR 02088 09/09 CR 03/20/09 0013669 VSI Rcpt#: 000036478 RECTRAC 03/20/09 99' CR 02088 09/09 CR 03/20/09 0013670 VSI Rcpt#: 000036481 RECTRAC 03/20/09 99 CR 02094 09/09 CR 03/23/09 0013745 VSI Rcpt#: 000036493 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013746 VSI Rcpt#: 000036492 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013747 VSI Rcpt#: 000036495 17.00 30.00 30.00 30.00 4.00 7.00 4.00 10.00 10.00 10.00 10.00 16.00 177.00 7.00 4.00 4.00 4.00 4.00 6.00 6.00 75.00 15.00 17.00 4.00 7.00 PREPARED u3i12/2010, 9:26:27 GENERAL'LEDGER At;I'IVITY LISTING PAGE 549 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013748 VSI Rcpt#: 000036495 4.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013749 VSI Rcpt#: 000036497 4.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013750 VSI Rcpt#: 000036498 17.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013751 VSI Rcpt#: 000036501 17.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013752 VSI Rcpt#: 000036499 4.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013753 VSI Rcpt#: 000036502 17.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013754 VSI Rcpt#: 000036508 17.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013755 VSI Rcpt#: 000036506 17.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR'03/23/09 0013756 VSI Rcpt#: 000036514 69.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013757 VSI Rcpt#: 000036516 28.50 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013758 VSI Rcpt#: 000036512 30.00 RECTRAC 03/23/09 99 CR 02094 09/09 CR 03/23/09 0013759 VSI Rcpt#: 000036517 14.00 RECTRAC 03/23/09 99 CR 02101 09/09 CR 03/24/09 0013790 VSI Rcpt#: 000036538 10.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013791 VSI Rcpt#: 000036524 40.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013792 VSI Rcpt#: 000036525 40.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013793 VSI Rcpt#: 000036526 40.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013794 VSI Rcpt#: 000036527 40.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013795 VSI Rcpt#: 000036528 30.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013796 VSI Rcpt#: 000036528 30.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013797 VSI Rcpt#: 000036537 10.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013798 VSI Rcpt#: 000036536 10.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013799 VSI Rcpt#: 000036541 7.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013800 VSI Rcpt#: 000036543 50.00 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013801 VSI Rcpt#: 000036547 7.00 RECTRAC 03/24/09 99 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AVi'IVITY LISTING PAGE 550 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- APP NUMBER PER. ------ ------- ----- CD --- DATE -------- NUMBER D E ---- ---------- S C R I P ------------ T I O N DEBITS -------- ------------ ------------------ CREDITS ------- --------------------------------- ./ENDING BALANCE 101-3000=342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt CR 02101 09/09 CR 03/24/09 0013802 VSI Rcpt#: 000036547 7.00 RECTRAC 03/24/09 99 CR 02112 09/09 CR 03/25/09 0013894 VSI Rcpt#: 000036561 4.00 RECTRAC 03/25/09 99 CR 02112 09/09 'CR 03/25/09 0013895 VSI Rcpt#: 000036553 17.00 RECTRAC 03/25/09 99 CR 02112 09/09 CR.03/25/09 0013896 VSI Rcpt#: 000036565 180.00 RECTRAC 03/25/09 99 CR 02112 09/09 CR 03/25/09 0013897 VSI Rcpt#: 000036554 17.00 RECTRAC 03/25/09 99 CR 02112 09/09 CR 03/25/09 0013898 VSI Rcpt#: 000036555 17.00 RECTRAC 03/25/09 99 CR 02112 09/09 CR 03/25/09 0013899 VSI Rcpt#: 000036556 4.00 RECTRAC 03/25/09 99 CR 02135 09/09 CR 03/26/09 0013964 VSI Rcpt#: 000036596 30.00 RECTRAC 03/26/09 99 CR 02135 09/09 -CR 03/26/09 0013965 VSI Rcpt#: 000036594 30.00 RECTRAC 03/26/09 99 CR 02135 09/09 CR 03/26/09 0013966 VSI Rcpt#: 000036595 30.00 RECTRAC 03/26/09 99 CR 02135 09/09 CR 03/26/09 0013967 VSI Rcpt#: 000036596 30.00 RECTRAC 03/26/09 99 CR 02142 09/09 CR 03/27/09 0014057 VSI Rcpt#: 000036619 48.00 RECTRAC 03/27/09 98 CR 02142 09/09 CR 03/27/09.0014058 VSI Rcpt#: 000036626 48.00 RECTRAC 03/27/09 98 CR 02142 09/09 CR 03/27/09 0014059 VSI Rcpt#: 000036626 48.00 RECTRAC 03/27/09 98 CR 02142 09/09 CR 03/27/09 0014033 VSI Rcpt#: 000036627 69.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014034 VSI Rcpt#: 000036607 7.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014035 VSI Rcpt#: 000036607 4.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014036 VSI Rcpt#: 000036608 35.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014037 VSI Rcpt#: 000036608 16.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014038 VSI Rcpt#: 000036609 35.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014039 VSI Rcpt#: 000036609 16.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014040 VSI Rcpt#: 000036614 16.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014041 VSI Rcpt#: 000036614 4.00 RECTRAC 03/27/09 99 CR 02142 09/09 CR 03/27/09 0014042 VSI Rcpt#: 000036612 16.00 RECTRAC 03/27/09 99• CR 02142 09/09 CR 03/27/09 0014043 VSI Rcpt#: 000036617 16.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER H6i•IVITY LISTING FAUt 551 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 03/27/09 99 CR 02397 10/09 CR 03/27/09 0016228 VSI Rcpt#: 000036798 RECTRAC 03/27/09 97 CR 02397 10/09 .CR 03/27/09 0016229 VSI Rcpt#: 000036833 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016230 VSI Rcpt#: 000036867 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016231 VSI Rcpt#: 000037075 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016232 VSI.Rcpt#: 000037116 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016233 VSI Rcpt#: 000037116 RECTRAC 03/27/09.97 CR 02397 10/09 CR 03/27/09 0016234 VSI Rcpt#: 000037135 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016235 VSI Rcpt#: 000037142 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016236 VSI Rcpt#: 000037181 RECTRAC 03/27/09 97 CR 02397 10/09 CR 03/27/09 0016237 VSI Rcpt#: 000037287 RECTRAC 03/27/09 97 GM 02233 10/09 AP 03/27/09 0082407 BROWN, JERRY 36629 REFUND CR 02149 09/09 CR 03/30/09 0014115 VSI Rcp.t#•: 000036646 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014116 VSI Rcpt#: 000036667 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014117 VSI Rcpt#': 000036642 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014118 VSI Rcpt#: 00.0036638 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014119 VSI Rcpt#: 000036639' RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014120 VSI Rcpt#: 000036640 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014121 VSI Rcpt#: 000036641 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014122 VSI Rcpt#: 000036643 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014123 VSI Rcpt#: 000036644 RECTRAC 03/30/09 99 CR 02149. 09/09 CR 03/30/09 0014124 VSI Rcpt#: 000036644 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014125 VSI Rcpt#: 000036647 RECTRAC 03/30/09 99 CR.02149 09/09 CR 03/30/09 0014126 VSI Rcpt#: 000036650 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014127 VSI Rcpt#: 000036648 RECTRAC 03/30/09 99 30.00 30.00 20.00 16.00 30.00 48.00 48.00 30.00 45.00 30.00 30.00 17.00 . 66.00 4.00 4.00 35.00 17.00 16.00 16.00 4.00 16.00 4.00 17.00 16.00 PREPARED ua112/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 552 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02149 09/09 CR 03/30/09 0014128 VSI Rcpt#: 000036649 16.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014129 VSI Rcpt#: 000036649 16.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014130 VSI Rcpt#: 000036651 16.00 J RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014131 VSI Rcpt#: 000036653 35.00• RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014132 VSI Rcpt#: 000036654 35.00 RECTRAC . 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014133 VSI Rcpt#: 000036659 30.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014134 VSI Rcpt#: 000036655 6.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014135 VSI Rcpt#: 000036656 17.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014136 VSI Rcpt#: 000036657 17.00 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014137 VSI Rcpt#: 000036668 28.50 RECTRAC 03/30/09 99 CR 02149 09/09 CR 03/30/09 0014138 VSI Rcpt#: 000036671 14.00 RECTRAC 03/30/09 99 CR 02150 09/09 CR 03/31/09 0014305 VSI Rcpt#: 000036120 20.00 RECTRAC 03/31/09'97 CR 02150 09/09 CR 03/31/09 0014306 VSI Rcpt#: 000036160 30.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014307 VSI Rcpt#: 000036188 48.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014308 VSI Rcpt#: 000036188 48.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014309 VSI Rcpt#: 000036346 30.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014310 VSI Rcpt#: 000036377 30.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014311 VSI Rcpt#: 000036391 30.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014312 VSI Rcpt#: 000036440 30.00 RECTRAC 03/31/09 97 CR 02150 •09/09 CR 03/31/09 0014313 VSI Rcpt#: 000036488 30.00 RECTRAC 03/31/09 97 CR 02150 09/09 CR 03/31/09 0014314 VSI Rcpt#: 000036540 30.00 RECTRAC 03/31/09 97 CR 02156 09/09 CR 03/31/09 0014212 VSI Rcpt#: 000036678 16.00 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014213 VSI Rcpt# : 000036679 10.00 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014214 VSI R6pt#: 000036680 42.00 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014215 VSI Rcpt#: 000036685 10.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER Aci'IVITY LISTING PAGE 553 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014216 VSI Rcpt#: 000036686 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014217 VSI Rcpt#: 000036688 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014218 VSI Rcpt#: 000036690. RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014219 VSI Rcpt#: 000036692 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014220 VSI Rcpt#: 000036693 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 001.4221 VSI Rcpt#: 000036693 RECTRAC 03/31/09 99 CR 02156 09/09 CR 03/31/09 0014222 VSI Rcpt#: 000036696 RECTRAC 03/31/09 99 CR 02186 10/09 CR 04/01/09 0014372 VSI Rcpt#: 000036704 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014373 VSI Rcpt#: 000036705 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014374 VSI Rcpt#: 000036706 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014375 VSI Rcpt#:' 000036707 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/0.9 0014376 VSI Rcpt#: 000036708• RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014377 VSI Rcpt#: 000036714 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014378 VSI Rcpt#: 000036709 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014379 VSI Rcpt#: 000036710 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014380 VSI Rcpt#: 000036712 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014381 VSI Rcpt#: 000036713 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014382 VSI Rcpt#: 000036718 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014383 VSI Rcpt#: 000036719 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014384 VSI Rcpt#: 000036721 RECTRAC .04/01/09 99 CR 02186 10/09 CR 04/01/09 0014385 VSI Rcpt#: 000036722 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014386 VSI Rcpt#: 000036724 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014387 VSI Rcpt#: 000036726 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014388 VSI Rcpt#: 000036727 RECTRAC 04/01/09 99 30.00 10.00 35.00 35.00 42.00 42.00 7.00 . 7.00 7.00 35.00 35.00 16.00 16.00 4.00 16.00 16.00 17.00 48.00 48.00 48.00 48.00 10.00 35.00 16.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 554 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------=----------------------------------------------------------------- NUMBER PER. CD DATE NUMBER LD 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 02186 10/09 CR 04/01/09 0014389 VSI Rcpt#: 000036728 10.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014390 VSI Rcpt#: 000036729 48.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014391 VSI Rcpt#: 000036733 42.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014392 VSI Rcpt#: 000036732 10.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014393 VSI Rcpt#: 000036738 156.0.0 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014394 VSI Rcpt#: 000036745 30.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014395 VSI Rcpt#: 000036746 30.00 RECTRAC 04/01/09 99 CR 02186 10/09 CR 04/01/09 0014396 VSI Rcpt#: 000036746 30.00 RECTRAC 04/01/09 99 CR 02193 10/09 CR 04/02/09 0014451 VSI Rcpt#: 000036751 16.00 ' RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014452 VSI Rcpt#: 000036768 30.00 RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014453 VSI Rcpt#: 000036760 42.00 RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014454 VSI Rcpt#: 000036761 17.00 RECTRAC 04/02/09 99 CR 02197 10/09 CR 04/03/09 0014519 VSI Rcpt#: 000036776 7.00 RECTRAC 04/03/09 99 CR 02197 10/09 CR 04/03/09 0014520 VSI Rcpt#: 000036776 4.00• RECTRAC 04/03/09 99 CR 02197 10/09 CR 04/03/09 0014521 VSI Rcpt#: 000036777 4.00 RECTRAC 04/03/09 99 CR 02197 10/09 CR 04/03/09 0014522 VSI Rcpt#: 000036779 16.00 RECTRAC 04/03/09 99 CR 02197 10/09 CR 04/03/09 0014523 VSI Rcpt#: 000036780 4.00 RECTRAC 04/03/09 99 CR 02197 10/09 CR 04/03/09 0014524 VSI Rcpt#: 000036789 4.00 RECTRAC 04/03/09 99 CR 02197' 10/09 CR 04/03/09 0014525 VSI•Rcpt#: 000036790 66.00 RECTRAC 04/03/09 99 CR 02209 10/09 CR 04/06/09 0014609 VSI Rcpt#: 000036811 6.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014610 VSI Rcpt#: 000036800 7.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014611 VSI Rcpt#: 000036800 4.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014612 VSI Rcpt#: 000036803 17.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014613 VSI Rcpt#: 000036804 16.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014614 VSI Rcpt#: 000036806 17.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AciIVITY LISTING PAGE 555 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014615 VSI Rcpt#: 000036807 7.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014616 VSI Rcpt#: 000036808 17.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014617 VSI Rcpt#: 000036809 16.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014618 VSI Rcpt#: 000036817 63.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014619 VSI Rcpt#: 000036822 30.00 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014620 VSI Rcpt#: 000036823 28.50 RECTRAC 04/06/09 99 CR 02209 10/09 CR 04/06/09 0014621 VSI Rcpt#: 000036827 14.00 RECTRAC 04/06/09 99 CR 02210 10/09 CR 04/07/09 0014705 VSI Rcpt#: 000036848 10.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014706 VSI Rcpt#: 000036849 10.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014707 VSI Rcpt#: 000036851 10.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014708 VSI Rcpt#: 000036854 30.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014709 VSI Rcpt#: 000036856 30.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014710 VSI Rcpt#: 000036858 35.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014711 VSI Rcpt#: 000036865 30.00 RECTRAC 04/07/09 99 CR 02210 10/09 CR 04/07/09 0014712 VSI Rcpt#: 000036866 7.00 . RECTRAC 04/07/09 99 CR 02225 10/09 CR 04/08/09 0014786 VSI Rcpt#: 000036876 7.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014787 VSI Rcpt#: 000036871 16.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014788 VSI Rcpt#: 000036872 17.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014789 VSI Rcpt#: 000036872 17.00' RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014790 VSI Rcpt#: 000036873 17.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014791 VSI Rcpt#: 000036874 4.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014792 VSI Rcpt#: 000036875 17.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014793 VSI Rcpt#: 000036880 10.00 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014794 VSI Rcpt#: 000036890 75.00 RECTRAC 04/08/09 99 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER AG IVITY LISTING PAGE 556 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02225 10/09 CR 04/08/09 0014795 VSI Rcpt#: 000036904 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014796 VSI Rcpt#: 000036896 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014797 VSI Rcpt#: 000036897 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014798 VSI Rcpt#: 000036898 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014799 VSI Rcpt#: 000036900 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014800 VSI Rcpt#: 000036899 RECTRAC 04/08/09 99 CR.02225 10/09 CR 04/08/09 0014801 VSI Rcpt#: 000036901 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014802 VSI Rcpt#: 000036902 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014803 VSI Rcpt#: 000036903 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014804 VSI Rcpt#: 000036905 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014805 VSI Rcpt#: 000036905 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014806 VSI Rcpt#: 000036906 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014807 VSI Rcpt#: 000036907 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014808 VSI Rcpt#: 000036908 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014809 VSI Rcpt#: 000036909 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014810 VSI Rcpt#: 000036910 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014811 VSI Rcpt#: 000036911 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014812 VSI Rcpt#: 000036912 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014813 VSI Rcpt#: 000036915 RECTRAC 04/08/09 99 CR 02225 10/09 CR 04/08/09 0014814 VSI Rcpt#: 000036916 RECTRAC 04/08/09 99 CR 02245 10/09 CR 04/09/09 0014904 VSI Rcpt#: 000036925 RECTRAC 04/09/09 99 CR 02245 10/09 CR 04/09/09 0014905 VSI Rcpt#: 000036930 RECTRAC 04/09/09 99 GM 02275 10/09 AP 04/09/09 0082708 ZIMMERMAN, MARLENE 36924 REFUND CR 02251 10/09 CR 04/10/09 0015009 VSI Rcpt#: 000036947 RECTRAC 04/10/09 99 CR 02251 10/09 CR 04/10/09 0015010 VSI Rcpt#: 000036949 58.00 7.00 143.00 42.00 42.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 42.00 7.00 7.00 17.00 . 17.00 4.00 4.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGER A6 IVITY LISTING rAWe 557 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -----------------------------------------------------------------------------------------------------------•------------------------- FUND 101 General Fund BEGINNING GROUP 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 04/10/09 99 CR 02251 10/09 CR 04/10/09 0015011 VSI Rcpt#: 000036956 57.00 RECTRAC 04/1.0/09 99 CR 02257 10/09 CR 04/13/09 0015073 VSI Rcpt#: 000036998 14.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015074 VSI Rcpt#: 000036987 6.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015075 VSI Rcpt#: 000036985 50.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015076 VSI Rcpt#: 000036988 6.00 RECTRAC 04/13/09 99 CR 02257, 10/09 CR 04/13/09 0015077 VSI Rcpt#: 000036995 63.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015078 VSI Rcpt#: 000036991 17.00 •RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015079 VSI Rcpt#: 000036992 4.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015080 VSI Rcpt#: 000036993 17.00 RECTRAC . 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015081 VSI Rcpt#: 000036994 17.00 RECTRAC 04/13/09 99 CR 02257 10/09 CR 04/13/09 0015082 VSI Rcpt#: 000036997 28.50 RECTRAC 04/13/09 99 CR 02287 10/09 CR 04/14/09 0015142 VSI Rcpt#: 000037025 7.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015143 VSI Rcpt#: 000037025 7.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015144 VSI Rcpt#: 000037009 10.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015145 VSI Rcpt#: 000037010 10.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015146 VSI Rcpt#: 000037012 10.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015147 VSI Rcpt#: 000037013 10.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015148 VSI Rcpt#: 000037028 10.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015149 VSI Rcpt#: 000037026 ' 50.00 RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015150 VSI Rcpt#: 000037027 50.00 RECTRAC 04/14/09 99 CR 02294 10/09 CR 04/15/09 0015220 VSI Rcpt#: 000037034 17.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015221 VSI Rcpt#: 000037035 17.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015222 VSI Rcpt#: 000037036 17.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015223 VSI Rcpt#: 000037043 17.00 RECTRAC 04/15/09 99 PREPARED w�112/2010, 9:26:27 GENERAL LEDGER NviIVITY LISTING rAvt 558 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02294 10/09 CR 04/15/09 0015224 VSI Rcpt#: 000037045 10.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015225. VSI Rcpt#: 000037047 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015226 VSI Rcpt#: 000037049 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015227 VSI Rcpt#: 000037051 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015228 VSI Rcpt#: 000037052 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015229 VSI Rcpt#: 000037064 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015230 VSI Rcpt#: 000037053 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015231 VSI Rcpt#: 000037059 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015232 VSI. Rcpt#: 000037055 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015233 VSI Rcpt#: 000037055 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015234 VSI Rcpt#: 000037056 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015235 VSI Rcpt#: 000037057 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015236 VSI Rcpt#: 000037058 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015237 VSI Rcpt#: 000037060 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015238 VSI Rcpt#: 000037061 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015239 VSI Rcpt#: 000037062 7.00 RECTRAC 04/15/09 99 CR 02294 10/•09 CR 04/15/09 0015240 VSI Rcpt#: 000037065 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015241 VSI Rcpt#: 000037063 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015242 VSI Rcpt#: 000037066 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015243 VSI Rcpt#: 000037066 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015244 VSI Rcpt#: 000037067 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015245 VSI Rcpt#: 000037067 7.00 RECTRAC 04/15/09 99 CR 02294 10/09 CR 04/15/09 0015246 VSI Rcpt#: 000037068 7.00 RECTRAC 04/15/09 99 CR 02300 10/09 CR 04/16/09 0015314 VSI Rcpt#: 000037073 17.00 RECTRAC 04/16/09 99 CR 02500 10/09 CR 04/16/09 0015315 VSI Rcpt#: 000037072 175.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AViIVITY LISTING PAGE 559 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 101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt RECTRAC 04/16/09 99 CR 02300 10/09 CR 04/16/09 0015316 VSI Rcpt#: 000037074 17.00 RECTRAC 04/16/09 99 CR 02306 10/09 CR 04/17/09 0015356 VSI Rcpt#: 000037093 69.00 RECTRAC 04/17/09 99 CR 02313 10/09 CR 04/20/09 0015498 VSI Rcpt#: 000037147 30.00 RECTRAC 04/20/09 98 CR 02313 10/09 CR 04/20/09 0015471 VSI Rcpt#: 000037120 6.00 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015472 VSI Rcpt#: 000037118 20.00 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015473 VSI Rcpt#: 000037119 20.00 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015474 VSI Rcpt#: 000037133 35.00 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015475 VSI Rcpt#: 000037132 6.00 RECTRAC ' 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015476 VSI Rcpt#: 000037151 66.00 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015477 VSI Rcpt#: 000037149 40.50 RECTRAC 04/20/09 99 CR 02313 10/09 CR 04/20/09 0015478 VSI Rcpt#: 000037150 14.00 RECTRAC 04/20/09 99 CR 02320 1.0/09 CR 04/21/09 0015598 VSI Rcpt#: 000037166 10.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015599 VSI Rcpt#: 000037167 40.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015600 VSI Rcpt#: 000037168 40.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015601 VSI Rcpt#: 000037176 35.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015602 VSI Rcpt#: 000037179 10.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015603 VSI Rcpt#: 000037175 10.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015604 VSI Rcpt#: 000037180 7.00 RECTRAC 04/21/09 99 CR 02320 10/09 CR 04/21/09 0015605 VSI Rcpt#: 000037180 7.00 RECTRAC 04/21/09 99 CR 02328 10/09 CR 04/22/09 0015657 VSI Rcpt#: 000037187 17.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015658 VSI Rcpt*: 000037188 17.00' RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015659 VSI Rcpt#: 000037189 17.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015660 VSI Rcpt#: 000037195 10.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015661 VSI Rcpt#: 000037197 17.00 RECTRAC 04/22/09 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt CR 02328 10/09 CR 04/22/09 0015662 VSI Rcpt#: 000037214 •7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015663 VSI Rcpt#: 000037201 192.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015664 VSI Rcpt#: 000037202 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015665 VSI Rcpt#: 000037203 7.00 RECTRAC 04/22/09 99 _ CR 02328 10/09 CR 04/22/09 0015666 VSI Rcpt#: 000037204 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015667 VSI Rcpt#: 000037205 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015668 VSI Rcpt#: 000037206 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015669 VSI Rcpt#: 000037206 7.00 RECTRAC . 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015670 VSI Rcpt#: 000037207 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015671 VSI Rcpt#: 000037208 7.00• RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015672 VSI Rcpt#: 000037209 7.00• RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015673 VSI Rcpt#: 000037210 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015674 VSI Rcpt#: 000037211 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015675 VSI Rcpt#: 000037219 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015676 VSI Rcpt#: 000037219 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015677 VSI Rcpt#: 000037221 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015678 VSI Rcpt#:•000037222 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015679 VSI Rcpt#: 000037222 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015680 VSI Rcpt#: 000037223 7.00 RECTRAC 04/22/09 99 CR 02328 10/09 CR 04/22/09 0015681 VSI Rcpt#: 000037224 7.00 RECTRAC 04/22/09 99 CR 02363 10/09 CR 04/23/09 0015723 VSI Rcpt#: 000037232 7.00 RECTRAC 04/23/09 99 CR 02363 10/09 CR .04/23/09 0015724 VSI Rcpt#: 000037233 7.00 RECTRAC 04/23/09 99 CR 02369 10/09 CR 04/24/09 0015792 VSI Rcpt#: 000037261 16.00 RECTRAC 04/24/09 99 CR 02369 10/09 CR 04/24/09 0015793 VSI Rcpt#: 000037264 7.00 RECTRAC 04/24/09 99 CR 02369 10/09 CR 04/24/09 0015794 VSI Rcpt#: 000037264 35.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AUrIVITY•LISTING PAGE 561 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 04/24/09 99 CR 02369 10/09 CR 04/24/09 0015795 VSI Rcpt#: 000037267 RECTRAC 04/24/09 99 CR 02369 10/09 CR 04/24/09 0015796 VSI Rcpt#: 000037267 RECTRAC 04/24/09 99 CR 02369 10/09 CR 04/24/09 0015797 VSI Rcpt#: 000037268 RECTRAC 04/24/09 99 CR 02369 10/09 •CR 04/24/09'0015798 VSI Rcpt#: 000037269 RECTRAC 04/24/09 99 CR 02376 10/09 CR 04/27/09 0015828 'VSI Rcpt#: 000037297 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015829 VSI Rcpt#: 000037282 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015830 VSI Rcpt#: 000037280 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015831 VSI Rcpt#: 000037283 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015832 VSI Rcpt#: 000037284 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015833 VSI Rcpt#: 000037285 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015834 VSI Rcpt#: 000037285 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015835 VSI Rcpt#: 000037286 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015836 VSI Rcpt#: 000037294 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015837 VSI Rcpt#: 000037298 RECTRAC 04/27/09 99 CR 02376 10/09 CR 04/27/09 0015838 VSI Rcpt#: 000037299 RECTRAC 04/27/09 99 GM 02459 11/09 AP 04/27/09 0082820 GRAHAM, PHILIP 37301 REFUND CR 02383 10/09 CR 04/28/09 0015937 VSI Rcpt#: 000037312 RECTRAC 04/28/09 99 CR 02383 10/09 CR 04/28/09 0015938 VSI Rcpt#: 000037310 RECTRAC 04/28/09 99 CR 02383 10/09 CR 04/28/09 0015939 VSI Rcpt#: 000037312 RECTRAC 04/28/09 99 CR 02389 10/09 CR 04/29/09 0016001 VSI Rcpt#: 000037353 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016002 VSI Rcpt#: 000037328 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016003 VSI Rcpt#: 000037334 RECTRAC 04/29/09 99 CR 02389 10/09 .CR 04/29/09 0016004 VSI Rcpt#: 000037334 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016005 VSI Rcpt#: 000037327 RECTRAC 04/29/09 99 30.00 35.00 16.00 63.00 10.00 4.00 7.00 4.00 16.00 16.00 4.00 16.00 6.00 54.00 . 14.00 28.50 - 7.00 10.00 7.00 7.00 4.00 16.00 16.00 7.00 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk ALfIVITY LISTING PAGE 562 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02389 10/09 CR 04/29/09 0016006 VSI Rcpt#: 000037327 4.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016007 VSI Rcpt#: 000037328 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016008 VSI Rcpt#: 000037329 35.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016009 VSI Rcpt#: 000037330 35.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016010 VSI Rcpt#: 000037331 35.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016011 VSI Rcpt#: 000037345 7.00' RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016012 VSI Rcpt#: 000037333• 35.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016013 VSI Rcpt#: 000037335 17.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016014 VSI Rcpt#: 000037336 16.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016015• VSI Rcpt#: 000037337 17.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016016 VSI Rcpt#: 000037338 17.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016017 VSI Rcpt#: 000037340 16.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016018 VSI Rcpt#: 000037340 35.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016021 VSI Rcpt#: 000037346 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016022 VSI Rcpt#: 000037348 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016023 VSI Rcpt#: 000037349 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016024 VSI Rcpt#: 000037350 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016025 VSI Rcpt#: 000037352 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016026 VSI Rcpt#:•000037355 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016027 VSI Rcpt#: 000037356 7.00 RECTRAC 04/29/09 99 CR 02389 .10/09 CR 04/29/09 0016028 VSI Rcpt#: 000037357 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016029 VSI Rcpt#: 000037358 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016030 VSI Rcpt#: 000037360 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016031 VSI Rcpt#: 000037360 7.00 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016032 VSI Rcpt#: 000037361 7.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk m6 IVITY LISTING rAWt 563 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016033 VSI Rcpt#: 000037362 RECTRAC . 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016034 VSI Rcpt#: 000037363 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016035 VSI Rcpt#: 000037364 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016036 VSI Rcpt#: 000037365 RECTRAC 04/29/09 99 CR 02389 10/09 CR 04/29/09 0016037 VSI Rcpt#: 000037366 RECTRAC 04/29/09 99 GM 02459 11/09 AP 04/29/09 0082804 DILLOW, MARILYN 37341 REFUND - CR 02396 10/09 CR 04/30/09 0016109 VSI Rcpt#: 000037373 RECTRAC 04/30/09 99 CR 02396 10/09 CR 04/30/09 0016110 VSI Rcpt#: 000037374 RECTRAC 04/30/09 99 CR 02416 11/09 CR 05/01/09 0016247 VSI Rcpt#: 000037401 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016248 VSI Rcpt#: 000037403 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016249 VSI Rcpt#: 000037404 RECTRAC 05/01/09 99 CR.02416 11/09 CR 05/01/09-0016250 VSI Rcpt#: 000037405 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016251 VSI Rcpt#: 000037411 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016252 VSI Rcpt#: 000037406 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016253 VSI Rcpt#: 000037412 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016254 VSI Rcpt#: 000037408 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016255. VSI Rcpt#: 000037408 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016256 VSI Rcpt#: 000037409 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016257 VSI Rcpt#: 000037410 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016258 VSI Rcpt#: 000037412 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016259 VSI Rcpt#: 000037413 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016260 VSI Rcpt#: 000037422 RECTRAC 05/01/09 99 CR 02416 11/09 CR 05/01/09 0016261 VSI Rcpt#: 000037424 RECTRAC 05/01/09 99 CR 02422 11/09 CR 05/04/09 0016331 VSI Rcpt#: 000037448 RECTRAC ' 05/04/09 99 30.00 7.00 7.00 7.00 7.00 165.00 .,17.00 17.00 16.00 16.00 16.00 16.00 16.00 16.00 16.00 16.00 35.00 35.00 16.00 35.00 16.00 57.00 16.00 6.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 564 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt CR 02422 11/09 CR 05/04/09 0016332 VSI Rcpt#: 000037449 RECTRAC 05/04/09 99 CR 02422 11/09 CR 05/04/09 0016333 VSI Rcpt#: 000037450 RECTRAC 05/04/09 99 CR 02422 11/09 CR 05/04/09 0016334 VSI Rcpt#: 000037451 RECTRAC 05/04/09 99 CR 02422 11/09 CR 05/04/09 0016335 VSI Rcpt#: 000037462 RECTRAC 05/04/09 99 CR 02422 11/09 CR 05/04/09 0016336 VSI Rcpt#: 000037464 RECTRAC 05/04/09 99 CR 02422 11/09 CR 05/04/09 0016337 VSI Rcpt#: 000037467 RECTRAC 05/04/09 99 GM 02459 11/09 AP 05/04/09 0082823 HARTLE, CAROLE 37465 'REFUND CR 02433 11/09 CR 05/05/09 0016389 VSI Rcpt#: 000037487 RECTRAC 05/05/09 99 CR 02433 11/09 CR 05/05/09 0016390 VSI Rcpt#: 000037487 RECTRAC 05/05/09 99 CR 02433 11/09 CR 05/05/09 0016391 VSI Rcpt#: 000037488 RECTRAC 05/05/09.99 GM 02459 11/09 AP 05/05/09 0082774 BARFKNECHT, MARK 37472' REFUND CR 02481 11/09 CR 05/06/09 0016449 VSI Rcpt#: 000037522 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016450 VSI Rcpt#: 000037504 RECTRAC . 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016451 VSI Rcpt#: 000037507 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016452 VSI Rcpt#: 000037508 RECTRAC 05/06/09 99 CR 02481 11/09 .CR 05/06/09 0016453 VSI Rcpt#: 000037524" RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016454 VSI Rcpt#: 000037521 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016455 VSI Rcpt#: 000037522 RECTRAC 05/06/09 99. CR 02481 11/09 CR 05/06/09 0016456 VSI Rcpt#: 000037523 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016457 VSI Rcpt#: 000037523 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016458 VSI Rcpt#: 000037525 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016459 VSI Rcpt#: 000037526 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016460 VSI Rcpt#: 000037527 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016461 VSI Rcpt#: 000037528 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016462 VSI Rcpt#: 000037529 25.00 30.00 6.00 16.00 4.00 54.00 22.50 14.00 7.00 7.00 10.00 7.00 16.00 4.00 4.00 7.00 122.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 PREPARED wa11212010, 9:26:27 GENERAL LEDGEk ht,fIVITY LISTING rAtit 565 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016463 VSI Rcpt#: 000037530 7.00 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016464 VSI Rcpt#: 000037531 7.00 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016465 VSI Rcpt#: 000037532 7.00 RECTRAC 05/06/09 99 CR 02481 11/09 CR 05/06/09 0016466 VSI Rcpt#: 000037533 7.00 RECTRAC 05/06/09 99 CR 02487 11/09 CR 05/07/09 0016504 VSI Rcpt#: 000037549 48.00 RECTRAC 05/07/09 99 CR 02487 11/09 CR 05/07/09 0016505 VSI Rcpt#: 000037549 48.00 RECTRAC 05/07/09 99 CR 02491 11/09 CR 05/08/09 0016593 VSI Rcpt#: 000037556 4.00 RECTRAC 05/08/09 99 CR 02491 11/09 CR 05/08/09 0016594 VSI Rcpt#: 000037555 4.00 RECTRAC 05/08/09 99 CR 02491 11/09 CR 05/08/09 0016595 VSI Rcpt#: 000037562 57.00 RECTRAC 05/08/09 99 CR 02491 11/09 CR 05/08/09 0016596 VSI Rcpt#: 000037563 30.00 RECTRAC 05/08/09 99 CR 02491 11/09 CR 05/08/09 0016597 VSI Rcpt#: 000037563 30.00 RECTRAC 05/08/09 99 CR 02498 11/09 CR 05/11/09 0016649 VSI Rcpt#: 000037595 30.00 RECTRAC 05/11/09 99 CR 02498 11/09 CR 05/11/09 0016650 VSI Rcpt#: 000037590 14.00 RECTRAC 05/11/09 99 CR 02498 11/09 CR 05/11/09 0016651 VSI Rcpt#: 000037591 60.00 RECTRAC 05/11/09 99 CR 02498 11/09 CR 05/11/09 0016652 VSI Rcpt#: 000037592 6.00 RECTRAC 05/11/09 99 CR 02498 11/09 CR 05/11/09 0016653 VSI Rcpt#: 000037593 28.50 RECTRAC- 05/11/09 99 CR 02506 11/09 CR 05/12/09 0016716 VSI Rcpt#: 000037611 7.00 RECTRAC 05/12/09 99 CR 02506 11/09 CR 05/12/09 0016717 VSI Rcpt#: 000037611 7.00 RECTRAC 05/12/09 99 CR 02512 11/09' CR 05/13/09 0016786 VSI Rcpt#: 000037624 7.00 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016787 VSI Rcpt#: 000037627 7.00 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016788 VSI Rcpt#: 000.037625 7.00 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016789 VSI Rcpt#: 000037625 7.00 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016790 VSI Rcpt#: 000037626 7.00 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016791 VSI Rcpt#: 000037628 7.00 RECTRAC 05/13/09 99 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 566 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02512 11/09 CR 05/13/09 0016792 VSI Rcpt#: 000037629 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016793 VSI Rcpt#: 000.037630 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016794 VSI Rcpt#: 000037631 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016795 VSI Rcpt#: 000037632 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016796 VSI Rcpt#: 000037633 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016797 VSI Rcpt#: 000037634 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09.0016798 VSI Rcpt#: 000037636 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016799 VSI Rcpt#: 000037635 RECTRAC 05/13/09'99 CR 02512 11/09 CR 05/13/09 0016800 VSI Rcpt#: 000037637 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016801 VSI Rcpt#: 000037638 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016802 VSI Rcpt#: 000037638 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016803 VSI Rcpt#: 000037639 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016804 VSI Rcpt#: 000037640 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016805 VSI Rcpt#: 000037641 RECTRAC 05/13/09 99 CR 02512 11/09 CR 05/13/09 0016806 VSI Rcpt#: 000037643 RECTRAC 05/13/09 99' GM 02527 11/09 AP 05/13/09 0083040 KNAPP, HARRY 37644 REFUND CR 02519 11/09 CR•05/14/O9 0016862 VSI Rcpt#: 000037646 RECTRAC 05/14/09 99 CR 02534 11/09 CR 05/15/09 0016952 VSI Rcpt#: 000037684 RECTRAC 05/15/09 99 CR 02541 11/09 CR 05/18/09 0017016 VSI Rcpt#: 000037705 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017017 VSI Rcpt#: 000037726 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017018' VSI Rcpt#: 000037725 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017019 VSI Rcpt#: 000037726 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017020 VSI Rcpt#: 000037739 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017021 VSI Rcpt#: 000037736 RECTRAC 05/18/09 99 CR 02545 11/09 CR 05/19/09 0017131 VSI Rcpt#: 000037757 30.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 7.00 151.00 60.00 7.00 30.00 57.00 30.00 28.50 14.00 30.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AUfIVITY LISTING rAWt 567 PROGRAM GM362LA CITY OF LA ------------------------ QUINTA, CALIFORNIA FUND 101 General -----------------------------------------------------------------------------------•- Fund ------------------------ BEGINNING GROUP 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 05/19/09 99 CR 02559 11/09 CR 05/20/09 0017190 VSI Rcpt#: 000037774 35.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017191 VSI Rcpt#: 000037774 16.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017192 VSI Rcpt#: 000037775 4.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017193 VSI Rcpt#: 000037786 143.00 RECTRAC 05/20/09 99 CR 02607 11/09 CR 05/22/09 0017355 VSI Rcpt#: 000037814 7.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR.05/22/09 0017356 VSI Rcpt#: 000037815 4.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017357 VSI Rcpt#: 000037823 16.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017358 VSI Rcpt#: 000037835 60.00 RECTRAC 05/22/09 99 CR 02612 11/09 CR 05/26/09 0017442 VSI Rcpt#: 000037859 42.00 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017443 VSI Rcpt#: 000037863 35.00 RECTRAC 05/26/09 99 CR 02618 11/09 C•R 05/27/09 0017523 VSI Rcpt#: 000037881 42.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017524 VSI Rcpt#: 000037872 4.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017525 VSI Rcpt#: 000037873 16.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017526 VSI Rcpt#:•000037873 16.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017527 VSI Rcpt#: 000037876 35.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017528 VSI Rcpt#: 000037875 16.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017529 VSI Rcpt#: 000037876 • 16.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR•05/27/09 0017530 VSI Rcpt#: 000037877 30.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017531 VSI Rcpt#: 000037881 42.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017532 VSI Rcpt#: 000037881 42.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017533 VSI Rcpt#: 000037881 42.00 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017534 VSI Rcpt#: 000037884 123.00 RECTRAC 05/27/09 99 CR 02631 11/09 CR 05/28/09 0017582 VSI Rcpt#: 000037890 16.00 RECTRAC 05/28/09 99 CR 02639 11/09 CR 05/29/09 0017709 VSI Rcpt#: 000037930 16.00 RECTRAC 05/29/09 99 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk AUrIVITY LISTING PAGE 568 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02639 11/09 CR 05/29/09 0017710 VSI Rcpt#: 000037932 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017711 VSI Rcpt#: 000037936 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017712 VSI Rcpt#: 000037927 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017713 VSI Rcpt#: 000037928 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017714 VSI Rcpt#: 000037956 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017715 VSI Rcpt#: 000037933 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017716 VSI Rcpt#: 000037929 RECTRAC 05/29/09 99 CR 02923 12/09 CR 05/29/09 0001081 VSI Rcpt#: 000037969 RECTRAC 05/29/09 97 CR 02659 11/09 CR 05/31/09 0018007 VSI Rcpt#: 000037381 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018008 VSI Rcpt#: 000037381 RECTRAC 05/31/09 99 CR -02659 11/09 CR 05/31/09 0018009 VSI Rcpt#: 000037399 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018010 VSI Rcpt#: 000037720 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018011 VSI Rcpt#: 000037434 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018012 VSI Rcpt#': 000037434 RECTRAC 05/31/09 99_ CR 02645 12/09 CR 06/01/09 0017830 VSI Rcpt#: 000038022 RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017831 VSI Rcpt#: 000037982 RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017832 VSI Rcpt#: 000038019' RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017794 VSI Rcpt#: 000037976 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017795 VSI Rcpt#: 000037979 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017796 VSI Rcpt#: 000037983 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017797 VSI Rcpt#i 000037986 RECTRAC •06/01/09 99 CR 02645 12/09 CR 06/01/09 0017798 VSI Rcpt#: 000037985 RECTRAC. 06/01/09 99 CR -02645 12/09 CR 06/01/09 0017799 VSI Rcpt#: 000037987 RECTRAC' 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017800 VSI Rcpt#: 000037985 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017801 VSI Rcpt#: 000037984 16.00 75.00 16.00 7.00 54.00 16.00 16.00 35.00 48.00 48.00 16.00 75.00 35.00 35.00 30.00 35.00 30.00 16.00 16.00 16.00 16.00 16.00 4.00 16.00 4.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGEk ACTIVITY LISTING PAGE 569 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017802 VSI Rcpt#: 000037989 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017803 VSI Rcpt#: 000037990 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017804 VSI Rcpt#: 000038021 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017805 VSI Rcpt#: 000037981 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017806 VSI Rcpt#: 000038002 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017807 VSI Rcpt#: 000038007 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017808 VSI Rcpt#: 000037977 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017809 VSI Rcpt#: 000037978 RECTRAC 06/01/09 99 CR 02645 12/09 .CR 06/01/09 0017810 VSI Rcpt#: 000038013 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017811 VSI Rcpt#: 000038009 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017812 VSI Rcpt#: 000038006 RECTRAC 06/01/09 99 CR 02645 12/09 CR 06/01/09 0017813 VSI Rcpt#: 000038007 RECTRAC 06/01/09 99 GM 02662 12/09 AP 06/01/09 0083233 RICE, BARBARA 37998 REFUND GM 02662 12/09 AP 06/01/09 0083163 BLAIR, DIANA 37996 REFUND GM 02690 12/09 AP 06/01/09 0083164 BRADBURY, NANCY 37997 REFUND CR 02671 12/09 CR 06/02/09 0017898 VSI Rcpt#: 000038030 RECTRAC 06/02/09 99 CR 02671 12/09 CR 06/02/09 0017899 VSI Rcpt#: 000038038 RECTRAC 06/02/09 99 CR 02671 12/09 CR 06/02/09 0017900 VSI Rcpt#: 000038050 RECTRAC 06/02/09 99 CR 02671 12/09 CR 06/02/09 0017901 VSI Rcpt#: 000038050 RECTRAC 06/02/09 99 CR 02678 12/09 CR 06/03/09 0018049 VSI Rcpt#: 000038065 RECTRAC 06/03/09 99 CR 02678 12/09 CR 06/03/09 0018050 VSI Rcpt#: 000038068 RECTRAC 06/03/09 99 CR 02678 12/09 CR 06/03/09 0018051 VSI Rcpt#: 000038066 RECTRAC 06/03/09 99 CR 02678 12/09 CR 06/03/09 0018052 VSI Rcpt#: 000038078 RECTRAC 06/03/09 99 CR.02702 12/09 CR 06/04/09 0018105 VSI Rcpt#: 000038089 RECTRAC 06/04/09 98 10.00 10.00 10.00 16.00 16.00 30.00 16.00 25.00 30.00 16.00 16.00 57.00 22.50 14.00 30.00 30.00 30.00 . 16.00 25.00 16.00 16.00 16.00 115.00 42.00 PREPAREL wJ/12/2010, 9:26:27. GENERAL LEDGEK At.TIVITY LISTING PAGE 570 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 I O N DEBITS CREDITS BALANCE ----------------------------------------------------------------------------------------------------------- -- ---------------------- 101-3000-342.70-00 Charges for Services / Sr Ctr Leisure Enrichmt CR 02702 12/09 CR 06/04/09 0018106 VSI Rcpt#: 000038089 RECTRAC 06/04/09 98 CR 02706 12/09 CR 06/05/09 0018167 VSI Rcpt#: 000038130 RECTRAC 06/05/09 98 CR 02706 12/09 CR 06/05/09 0018168 VSI Rcpt#: 000038130 RECTRAC 06/05/09 98 CR 02706 12/09 CR 06/05/09 0018169 VSI Rcpt#: 000038130 RECTRAC 06/05/09 98 CR 02706 12/09 CR 06/05/09 0018156 VSI Rcpt# :000038113 RECTRAC 06/05/09 99 CR 02706 12/09 CR 06/05/09 0018157 VSI Rcpt#: 000038114 RECTRAC 06/05/09 99 CR 02706 12/09 CR 06/05/09 0018158 VSI Rcpt#: 000038115 RECTRAC 06/05/09 99 CR 02706 12/09 CR 06/05/09 0018159 VSI Rcpt#: 000038125 RECTRAC 06/05/09 99 CR 02712 12/09 CR 06/08/09 0018215 VSI Rcpt#: 000038165 RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018216 •VSI Rcpt#: 000038141 RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018217 VSI Rcpt#: 000038142 RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018218 VSI Rcpt#: 000038148 RECTRAC 06/08/09 99 CR 02712 12/09 'CR 06/08/09 0018219 VSI Rcpt#: 000038155 RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018220 VSI Rcpt#: 000038153 - RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018221 VSI Rcpt#: 000038156 RECTRAC 06/08/09 99 CR 02712 12/09 CR 06/08/09 0018222 VSI Rcpt#: 000038158 RECTRAC 06/08/09 99 CR 02726 12/09 CR 06/10/09 0018335 VSI Rcpt#: 000038203 RECTRAC 06/10/09 99 CR 02726 12/09 CR 06/10/09 0018336 VSI Rcpt#: 000038206 RECTRAC 06/10/09 99 CR 02726 12/09 CR 06/10/09 0018337 VSI Rcpt#: 000038210 RECTRAC 06/10/09 99 GM 02820 12/09 AP 06/10/09 0083464 MOUS, GERHARD 38195 REFUND CR 02752 12/09 CR 06/11/09 0018367 VSI Rcpt#: 000038226 RECTRAC 06/11/09 99• CR 02752 12/09 CR 06/11/09 0018368 VSI Rcpt#: 000038226 RECTRAC 06/11/09 99 CR 02752 12/09 CR 06/11/09 0018369 VSI Rcpt#: 000038233 RECTRAC 06/11/09 99 GM 02820 12/09 AP 06/11/09 0083372 CARTIER, JOY 38215 REFUND CR 02757 12/09 CR 06/12/09 0018444 VSI Rcpt#: 000038239 75.00 18.00 42.00 30.00 30.00 30.00 10.00 16.00 16.00 51.00 14.00 25.00 25.00 25.00 35.00 16.00 57.00 22.50 30.00 30.00 106.00 7.00 7.00 7.00 51.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 571 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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• 06/12/09 99 CR 02757 12/09 CR 06/12/09 0018445 VSI Rcpt#: 000038240 25.00 RECTRAC 06/12/09 99 CR 02764 12/09 CR 06/15/09 0018510 VSI Rcpt#: 000038258 7.00 RECTRAC 06/15/09 99 CR 02764 12/09 CR 06/15/09 0018511 VSI Rcpt#:. 000038259 39.00 RECTRAC 06/15/09 99 CR 02764 12/09 CR 06/15/09 0018512 VSI Rcpt#: 000038262 16.00 RECTRAC 06/15/09 99 CR 02764 12/09 CR 06/15/09 0018513 VSI Rcpt#: 000038263 22.50 RECTRAC 06/15/09 99 CR 02764 12/09 CR 06/15/09 0018514 VSI Rcpt#: 000038265 14.00 RECTRAC 06/15/09 99 CR 02924 12/09 CR 06/15/09 0001013 VSI Rcpt#: 000038031 75.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001014 VSI Rcpt#: 000038034 35.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001015 VSI Rcpt#: 000038044 • 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001016 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001017 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 'CR 06/15/09 0001018 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001019 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 -12/09 CR 06/15/09 0001020 VSI Rcpt#: 000038169 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001021 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001022 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001023 VSI Rcpt#: 000038169 30.00 RECTRAC 06/15/09 97 CR 02924. 12/09 CR 06/15/09 0001024 VSI Rcpt#: 000038137 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001025 VSI Rcpt#: 000038062 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001026 VSI Rcpt#: 000038062 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001027 VSI Rcpt#: 000038064 16.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001028 VSI Rcpt#: 000038075 42.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001029 VSI Rcpt#: 000038172 35.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001030 VSI Rcpt#: 000038084 60.00 RECTRAC . 06/15/09 97 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK AVTIVITY LISTING PAGE 572 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -------------------------------------------------------------------------------------=---------------------`------------------------- FUND 101 General Fund BEGINNING GROUP 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 02924 12/09 CR 06/15/09 0001031 VSI Rcpt#:°000038209 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001032 VSI Rcpt#: 000038272 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001033 VSI Rcpt#: 000038272 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001034 VSI Rcpt#: 000038417 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001035 VSI Rcpt#: 000038332 30.00 .RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001036 VSI Rcpt#: 000038417 30.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001037 VSI Rcpt#: 000038417 30.00 RECTRAC 06/15/09 97 CR 02771 12/09 CR 06/16/09 0018563 VSI Rcpt#: 000038275 25.00 RECTRAC 06/16/09 99 CR 02771 12/09 CR 06/16/09 0018564 VSI Rcpt#: 000038284 30.00 RECTRAC 06/16/09 99 CR 02771 12/09 CR 06/16/09 0018565 VSI Rcpt#: 000038280 10.00 RECTRAC 06/16/09 99 CR 02771 12/09 CR 06/16/09 0018566 VSI Rcpt#: 000038283 30.00 RECTRAC 06/16/09 99 CR 02777. 12/09 CR 06/17/09 0018614 VSI Rcpt#: 000038365 117.00 RECTRAC 06/17/09 99 CR 02784 12/09 CR•06/18/09 0018648 VSI Rcpt#: 000038384 7.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018649 VSI Rcpt#: 000038386 7.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018650 VSI Rcpt#: 000038386 7.00 RECTRAC 06/18/09 99 CR 02789 12/09 CR 06/19/09 0018683 VSI Rcpt#: 000038402 7.00 RECTRAC 06/19/09 99 CR 02789 12/09 CR 06/19/09 0018684 VSI Rcpt#: 000038410 57.00 RECTRAC 06/19/09 99 CR 02812 12/09 CR 06/22/09 0018730 VSI Rcpt#: 000038422 30.00 RECTRAC 06/22/09 99 CR 02812 12/09 CR 06/22/09 0018731 VSI Rcpt#: 000038422 30.00 ' RECTRAC 06/22/09 99 CR 02812 12/09 CR 06/22/09 0018732 VSI Rcpt#: 000038424 48.00 RECTRAC 06/22/09 99 CR 02812 12/09 CR 06/22/09 0018733 VSI Rcpt#: 000038429 14.00 RECTRAC 06/22/09 99 CR 02812 12/09 CR 06/22/09 0018734 VSI Rcpt#: 000038430 28.50 RECTRAC 06/22/09 99 CR 02812 12/09 CR 06/22/09 0018735 VSI Rcpt#: 000038431 10.00 RECTRAC 06/22/09 99 CR 02818 12/09 CR 06/23/09 0018763 VSI Rcpt#: 000038445 10.00 RECTRAC 06/23/09 99 CR 02827' 12/09 CR 06/24/09 0018789 VSI Rcpt#: 000038456 30.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEK NVTIVITY LISTING PAGE 573 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 06/24/09 99 CR 02827 12/09 CR 06/24/09 0018790 VSI Rcpt#: 000038457 30.00 RECTRAC 06/24/09 99 CR 02827 12/09 CR 06/24/09 0018791 VSI Rcpt#: 000038458 30.00 RECTRAC 06/24/09 99 CR 02827 12/09 CR 06/24/09 0018792 VSI Rcpt#: 000038458 30.00 RECTRAC 06/24/09 99 CR 02827 12/09 CR 06/24/09 0018793 VSI Rcpt#:•000038459 16.00 RECTRAC 06/24/09 99 CR 02827 12/09 CR 06/24/09 0018794 VSI Rcpt#: 000038462 89.00 RECTRAC 06/24/09 99 CR 02848 12/09 CR 06/25/09 0018847 VSI Rcpt#: 000038483 7.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018848 VSI Rcpt#: 000038482 7.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018849 VSI Rcpt#: 000038484 7.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018850 VSI Rcpt#: 000038486 30.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018851 VSI Rcpt#: 000038486 30.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018852 IVSI Rcpt#: 000038487 7.00 RECTRAC 06/25/09 99 CR 02848 12/09 CR 06/25/09 0018853 VSI Rcpt#: 000038487 7.00 RECTRAC 06/25/09 99 CR 02855 12/09 CR 06/26/09 0018917 VSI Rcpt#: 000038489 16.00 RECTRAC 06/26/09 99 CR 02855 12/09 CR 06/26/09 0018918 VSI Rcpt#: 000038489 16.00 RECTRAC 06/26/09 99 CR 02855 12/09 CR 06/26/09 0018919 VSI Rcpt#: 000038490 16.00 RECTRAC 06/26/09 99 CR 02855 .12/09 CR 06/26/09 0018920 VSI Rcpt#: 000038495 42.00 RECTRAC 06/26/09 99 CR 02861 12/09 CR 06/29/09 0018990 VSI Rcpt#: 000038517 30.00 RECTRAC 06/29/09 98 CR 02861 12/09 CR 06/29/09 0018973 VSI Rcpt#: 000038504 16.00 RECTRAC 06/29/09 99 CR 02861 12/09 CR 06/29/09 0018974 VSI Rcpt#: 000038509 16.00 RECTRAC 06/29/09 99 CR 02861 12/09. CR 06/29/09 0018975 VSI Rcpt#: 000038511 30.00 RECTRAC 06/29/09 99 CR 02861 12/09 CR 06/29/09 0018976 VSI Rcpt#: 000038512 16.00 RECTRAC 06/29/09 99 CR 02861 12/09 CR 06/29/09 0018977 VSI Rcpt#: 000038513' 35.00 RECTRAC 06/29/09 99 CR 02861 12/09 CR 06/29/09 0018978 VSI Rcpt#: 000038514 16.00 RECTRAC 06/29/09 99 CR 02861 12/09 CR 06/29/09 0018979 VSI Rcpt#: 000038533 22.50 RECTRAC 06/29/09 99 PREPAREIr ua/12/2010, 9:26:27 GENERAL LEDGEK AVTIVITY LISTING PAGE 574 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02861 12/09 CR 06/29/09 0018980 VSI Rcpt#: 000038529 000031562 RECTRAC 06/29/09 99 CR•02861 07/03/08 99 12/09 CR 06/29/09 0018981 VSI Rcpt#: 000038527 0000185 VSI Rcpt#: 000031558 RECTRAC 06/29/09 99 GM 02893 12/09 AP 06/29/09 0083681 ROSSON, VICKI CR 07/03/08 0000186 VSI Rcpt#: 38567 REFUND CR 02867 12/09 CR 06/30/09 0000004 VSI Rcpt#: 000038537 00028 01/09 CR 07/03/08 0000187 VSI Rcpt#: RECTRAC 06/30/09 99 CR 02867 12/09 CR 06/30/09 0000005 VSI Rcpt#: 000038538 07/03/08 99 CR 00028 01/09 CR 07/03/08 RECTRAC 06/30/09 99 GM 02926 12/09 AP 07/13/09 0083915 TYLER, LINDA RECTRAC 07/03/08 99 CR 38728 01/09 REFUND GM 02926 12/09 AP•07/22/09 0083915 TYLER, LINDA RECTRAC 38808 CR REFUND 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 ACCOUNT TOTAL 101-3000-342.73-00 Charges for Services / Sr Ctr Facility Rent GM 01614 07/09 AJ 01/29/09 JE 07-012 LQ ART FDN SR CTR RENT ACCOUNT TOTAL 101-3000-342.74-00 Charges for Services / Sr Ctr Special Events CR 00028 01/09 CR 07/03/08 0000184 VSI Rcpt#: 000031562 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000185 VSI Rcpt#: 000031558 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000186 VSI Rcpt#: 000031558 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000187 VSI Rcpt#: 000031563 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000188 VSI Rcpt#: 000031569 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000189 VSI Rcpt#: 000031570' RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000190 VSI Rcpt#: 000031571 RECTRAC 07/03/08 99 14.00 48.00 35.00 16.00 16.00 30.00 30.00 2,108.00 63,947.00 61,839.00OR .00 .00 .00 .00 .00 20,800.00 20,800.00 20,800.00CR 1.00 1.00 1.00 1.00 1•.00 1.00 2.00 .00 PREPAREu ua/12/2010, 9:26:27 GENERAL LEDGE m�TIVITY LISTING rAWE 575 PROGRAM• GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND'101 General Fund BEGINNING GROUP 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 00028 01/09 CR 07/03/08 0000191 VSI Rcpt#: 000031573 2.00 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000192 VSI Rcpt#: 000031574 2.00 RECTRAC 07/03/08 99 CR 00028 01/09 CR 07/03/08 0000193 VSI Rcpt#: 000031575 1.00 RECTRAC 07/03/08 99 CR 00088 01/09 CR 07/14/08 0000602 VSI.Rcpt#: 000031662 44.00 RECTRAC 07/14/08 99 CR 00138 01/09 CR 07/18/08 0000798 VSI Rcpt#: 000031729 2.00 RECTRAC 07/18/08 99 CR 00186 01/09 CR 07/28/08 0001094 VSI Rcpt#: 000031783 2.00 RECTRAC 07/28/08 99 CR 00242 02/09 CR 08/04/08 0001284 VSI Rcpt#: 000031833 50.00 RECTRAC 08/04/08 99 CR 00514 02/09 CR 08/17/08 0003189 VSI Rcpt#: 000031924 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003190 VSI Rcpt#: 000031925 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003191 VSI Rcpt#: 000031925 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003192 VSI Rcpt#: 000031924 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003193 VSI Rcpt#: 000031923 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003194 VSI Rcpt#: 000031923 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003195 VSI Rcpt#: 000031954 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003196 VSI Rcpt#: 000031956 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003197 •VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003198 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003199 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003200 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003201 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003202 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003203 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003204 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003205 VSI Rcpt#: 000031995 2.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003206 VSI Rcpt#: 000032122 1.00 PREPAREY wJ/12/2010, 9:26:27 GENERAL LEDGE muTIVITY LISTING PAGE 576 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -----------•------------ = FUND 101 General Fund ------------------------------------------------------------------------------------------------------------ BEGINNING GROUP 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 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003207 VSI Rcpt#: 000032122 1.00 RECTRAC 08/17/08 99 CR 00514 02/09 CR 08/17/08 0003208 VSI Rcpt#: 000032122 1.00 RECTRAC 08/17/08 99 CR 00338 02/09 CR 08/18/08 0001814 VSI Rcpt#: 000031935 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001815 VSI Rcpt#: 000031935 2.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08-0001816 VSI Rcpt#: 000031935 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001817 VSI Rcpt#: 000031936 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001818 VSI Rcpt#: 000031940 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001819 VSI Rcpt#: 000031935 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/.08 0001820 VSI Rcpt#: 000031934 1.00 RECTRAC 08/18/08 99 CR 00338. 02/09 CR 08/18/08 0001821 VSI Rcpt#: 000031934 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001822 VSI Rcpt#: 000031934 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001823 VSI Rcpt#: 000031934 2.00' RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001824 VSI Rcpt#: 000031932 1.00 RECTRAC 08/18/08 99 CR 00338 .02/09 CR 08/18/08 0001825 VSI Rcpt#: 000031932 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001826 VSI Rcpt#: 000031945 1.00 RECTRAC 08/18/08 99 CR 00.338 02/09 CR 08/18/08 0001827 VSI Rcpt#: 000031933 1.00 RECTRAC 08/18/08 99 ' CR 00338 02/09 CR 08/18/08 0001828 VSI Rcpt#: 000031933 1.00 RECTRAC 08/18/08 99 CR 00338' 02/09 CR 08/18/08 0001829 VSI Rcpt#: 000031938 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001830 VSI Rcpt#: 000031938 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001831 VSI Rcpt#: 000031938 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001832 VSI Rcpt#: 000031939 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001833 VSI Rcpt#: 000031941 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001834 VSI Rcpt#: 000031942 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001835 VSI Rcpt#: 000031943 1.00 RECTRAC 08/18/08 99 PREPAREu ua/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 577 PROGRAM GM362LA CITY OF LA QUINTA; CALIFORNIA ---------------------------------------------------------------------------4-------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 00338 02/09 CR 08/18/08 0001836 VSI Rcpt#: 000031943 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001837 VSI Rcpt#: 000031944 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001838 VSI Rcpt#: 000031944 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001839 VSI'Rcpt#: 000031944 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001840 VSI Rcpt#: 000031944 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/.08 0001841 VSI Rcpt#: 000031953 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001842 VSI Rcpt#: 000031946 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001843 VSI Rcpt#: 000031947 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001844 VSI Rcpt#: 000031948 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR•08/18/08 0001845 VSI Rcpt#: 000031949 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001846 VSI Rcpt#: 000031950 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001847 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001848 VSI Rcpt#: 000031951 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001849 VSI Rcpt#: 000031952 1.00. RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001850 VSI Rcpt#: 000031952 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001851 VSI Rcpt#: 000031953 2.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001852 VSI Rcpt#: 000031955 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001853 VSI Rcpt#: 000031958 2.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001854 VSI Rcpt#: 000031957 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001855 VSI Rcpt#: 000031957 1.00 - RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001856 VSI Rcpt#: 000031957 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001857 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001858 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001859 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001860 VSI Rcpt#: 000031958 1.00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK AUTIVITY LISTING PAGE 578 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 7---------------------------------------------------------- T I O N DEBITS CREDITS• ---------------------- BALANCE 101-3000-342.74-00 Charges•for Services / Sr Ctr Special Events RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001861 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001862 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001863 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001864 VSI Rcpt#: 000031958 2.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001865 VSI Rcpt#: 000031958 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001866 VSI Rcpt#: 000031961 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001867 VSI Rcpt#: 000031961 1.00' RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001868 VSI Rcpt#: 000031961 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001869 VSI Rcpt#: 000031961 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001870 VSI Rcpt#: 000031961 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001871 VSI Rcpt#: 000031961 1:00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001872 VSI Rcpt#: 000031962 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001873 VSI Rcpt#: 000031962 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001874 VSI Rcpt#: 000031962 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001875 VSI Rcpt#: 000031964 1.00 RECTRAC 08/18/08 99 CR 00338 •02/09 CR 08/18/08 0001876 VSI Rcpt#: 000031965 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001877 VSI Rcpt#: 000031975 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001878 VSI Rcpt#: 000031967 1.00 ' RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001879 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001880 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001881 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001882 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001883 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001884 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 PREPAREu uo/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING FAWE 579 PROGRAM GM362LA CITY OF ------------------------------------------------------------------------------------------------------------------------------------ LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 00338 02/09 CR 08/18/08 0001885 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001886 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001887 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001888 VSI Rcpt#: 000031967 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001889 VSI Rcpt#: 000031975 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001890 VSI Rcpt#: 000031977 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001891 VSI Rcpt#: 000031977 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001892 VSI Rcpt#: 000031975 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001893 VSI Rcpt#: 000031975 1.00' RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001894 VSI Rcpt#: 000031976 1.00 RECTRAC 08/18/08 99 - CR 00338 02/09 CR'08/18/08 0001895 VSI Rcpt#: 000031976 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001896 VSI Rcpt#: 000031979 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001897 VSI Rcpt#: 000031977 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001898 VSI Rcpt#: 000031977 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001899 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001900 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001901 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 - CR 00338 02/09 CR 08/18/08 0001902 VSI Rcpt#:.000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001903 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001904 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001905 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001906 VSI Rcpt#: 000031978 1.00 RECTRAC 08/18/0&99 CR 00338 02/09 CR 08/18/08 0001907 VSI.Rcpt#: 000031979 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001908 VSI Rcpt#: 000031979 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/080001909 VSI Rcpt#: 000031979 1.00 PREPARE6 uo/12/2010, 9:26:27 GENERAL LEDGEK AvTIVITY LISTING PAGE 580 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ---------------------------------------------------------------------------------------------------=-------------------------------- FUND 101 General Fund BEGINNING GROUP 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 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001910 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001911 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001912 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001913 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001914 VSI Rcpt#: 000031981 1.00 RECTRAC 08/1.8/08 9.9 CR 00338 02/09 CR 08/18/08 0001915 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001916 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001917 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001918 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001919 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08.0001920 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001921 VSI Rcpt#: 000031981 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001922 VSI Rcpt#: 000031982 1.00 RECTRAC 08/18/08"99 CR 00338 02/09 CR 08/18/08 0001923 VSI Rcpt#: 000031982 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001924 VSI Rcpt#: 000031982 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001925 VSI Rcpt#: 000031982 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001926 VSI Rcpt#: 000031984 1.00 RECTRAC 08/18/08 49 CR 00338 02/09 CR 08/18/08 0001927 VSI Rcpt#: 000031984 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001928 VSI Rcpt#: 000031984 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001929 VSI Rcpt#: 000031984 1.00 RECTRAC 08/18/08 99 CR .00338 02/09 CR-08/18/08 0001930 VSI Rcpt#: 000031985 •1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001931 VSI Rcpt#: 000031985 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001932 VSI, Rcpt#: 000031985 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001933 VSI Rcpt#: 000031985 1.00 RECTRAC 08/18/08 99 PREPARE'L uo/12/2010, 9:26:27 GENERAL LEDGEn MVTIVITY LISTING rAwE 581 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00338 02/09 CR 08/18/08 0001934 VSI Rcpt#: 000031986 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001935 VSI Rcpt#: 000031986 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001936 VSI Rcpt#: 000031986 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001937 VSI Rcpt#: 000031986 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001938 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001939 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001940 VSI Rcpt#: 000031989 . 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001941 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001942 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001943 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001944 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001945 VSI Rcpt#: 000031989 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001946 VSI Rcpt#: 000031990 1.00 RECTRAC 08/18/08 99 CR 00338 02/09 CR 08/18/08 0001947 VSI Rcpt#: 000031991 1.00 RECTRAC 08/18/08 99 CR 00344 02/09 CR 08/19/08 0001997 VSI Rcpt#: 000032005 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0001998 VSI Rcpt#: 000032005 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0001999 VSI Rcpt#: 000031997 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002000 VSI Rcpt#: 000031997 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002001 VSI Rcpt#: 000031997 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002002 VSI Rcpt#: 000032008 2.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002003 VSI Rcpt#: 000032008 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002004 VSI Rcpt#: 000032003 2.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002005 VSI Rcpt#: 000032003 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002006 VSI Rcpt#: 000032006 1.00 RECTRAC 08/19/08 99, CR 00344 02/09 CR 08/19/08 0002007 VSI Rcpt#: 000032006 1.00 PREPARE'u uo/12/2010,. 9:26:27 GENERAL LEDGER m6TIVITY LISTING rAWE 582 PROGRAM GM362LA CITY ----.----------------------- OF LA QUINTA, CALIFORNIA FUND 101 General -------------------------------------------------------- Fund ------------------------------ -- ----------------- BEGINNING GROUP 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 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002008 VSI Rcpt#: 000032009 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002009 VSI Rcpt#: 000032010 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002010 VSI Rcpt#: 000032010 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002011 VSI Rcpt#: 000032015 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002012 VSI Rcpt#: 000032017 1.00' RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002013 VSI Rcpt#: 000032017 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002014 VSI Rcpt#: 000032018 2.00 RECTRAC 08/19/08 99 CR 00344. 02/09 CR 08/19/08 0002015 VSI Rcpt#: 000032018 2.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002016 VSI Rcpt#: 000032019 2.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002017 VSI Rcpt#: 000032019 2.00 RECTRAC 08/19/08 99 CR 00344 02/09 •CR 08/19/08 0002018 VSI Rcpt#: 000032020 1.00 RECTRAC 08/19/08 99 CR 00344 02/09 CR 08/19/08 0002019 VSI Rcpt#: 000032020 1.00 RECTRAC 08/19/08 99 CR 00377 02/09 CR 08/20/08 0002074 VSI Rcpt#: 000032028 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20%08 0002075 VSI Rcpt#: 000032051 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002076 VSI Rcpt#: 000032036 1.00 RECTRAC 08/20/08 99 CR 00377 •02/09 CR 08/20/08.0002077 VSI'Rcpt#: 000032036 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002078 VSI Rcpt#: 000032036 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002079 VSI Rcpt#: 000032036 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002080 VSI Rcpt#: 000032037 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002081 VSI Rcpt#: 000032037 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002082 VSI Rcpt#: 000032037 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002083 VSI Rcpt#: 000032037 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002084 VSI Rcpt#: 000032039 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002085 VSI Rcpt#: 000032039 1.00 RECTRAC 08/20/08 99 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGER At.TIVITY LISTING rAvd 583 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -------------------------------------------------------------------------------------------------------------------=---------------'- FUND 101 General Fund BEGINNING GROUP 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 00377 02/09 CR 08/20/08 0002086 VSI Rcpt#: 000032040 1.00 RECTRAC 08/20/08.99 CR 00377 02/09 CR 08/20/08 0002087 VSI Rcpt#: 000032040 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002088 VSI Rcpt#: 000032051 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002089 VSI Rcpt#: 000032051 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002090 VSI Rcpt#: 000032050 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002091 VSI Rcpt#: 000032050' 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002092 VSI Rcpt#: 000032050 1.00' RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002093 VSI Rcpt#: 000032050 1.00 RECTRAC 08/20/08 99 CR 00377 02/09 CR 08/20/08 0002094 VSI Rcpt#: 000032051 1.00 RECTRAC 08/20/08 99 CR 00384 02/09 CR 08/21/08 0002127 VSI Rcpt#: 000032062 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002128 VSI Rcpt#: 000032062 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002129 VSI Rcpt#: 000032063 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002130 VSI Rcpt#: 000032063 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002131 VSI Rcpt#: 000032064 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002132 VSI Rcpt#: 000032064 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002133 VSI Rcpt#: 000032065 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002134 VSI Rcpt#: 000032065 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002135 VSI Rcpt#: 000032066 1.00 RECTRAC 08/21/08 99 CR 00384 02/09 CR 08/21/08 0002136 VSI Rcpt#: 000032066 1.00 RECTRAC 08/21/08 99 CR 00391 02/09 CR 08/22/08 0002178 VSI Rcpt#: 000032076 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002179 VSI Rcpt#: 000032076 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002180 VSI Rcpt#: 000032077 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002181 VSI Rcpt#: 000032077 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002182 VSI Rcpt#: 000032078 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002183 VSI Rcpt#: 000032078 1.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING rAVt 584 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ----------- NUMBER PER. ------- CD 7---------------------------------------------'-------------------------------------------------------------------- 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 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002184 VSI Rcpt#: 000032079 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002185 VSI Rcpt#: 000032079 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002186 VSI Rcpt#: 000032080 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002187 VSI Rcpt#: 000032080 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002188 VSI Rcpt#: 000032081 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 0'8/22/08 0002189 VSI Rcpt#: 000032081 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002190 VSI Rcpt#: 000032082 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002191 VSI Rcpt#: 000032082 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002192 VSI Rcpt#: 000032083 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002193 VSI Rcpt#: 000032083 1.•00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002194 VSI Rcpt#: 000032084 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002195 VSI Rcpt#: 000032084 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002196 VSI Rcpt#: 000032085 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002197 VSI Rcpt#: 000032085 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002198 VSI Rcpt#: 000032092 1.00 08/22/08 99 CR 00391 02/09' CR 08/22/08 0002199 _RECTRAC VSI Rcpt#: 000032092 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002200, VSI Rcpt#: 000032092 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002201 VSI Rcpt#: 000032092 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002202 VSI Rcpt#: 000032092 1.00 RECTRAC 08/22/08 99 CR 00391 02/09 CR 08/22/08 0002203 VSI Rcpt#: 000032092 1.00 RECTRAC 08/22/08 99 " CR 00397 02/09 CR 08/25/08 0002261 VSI Rcpt#: 000032103 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002262 VSI Rcpt#: 000032103 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002263 VSI Rcpt#: 000032103 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002264 VSI Rcpt#: 000032103 1.00 RECTRAC 08/25/08 99 PREPARED u3i'12/2010, 9:26:27 GENERAL LEDGER AGiIVITY LISTING PAGE 585 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00397 02/09 CR 08/25/08 0002265 VSI Rcpt#: 000032104 2.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002266 VSI Rcpt#: 000032104 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002267 VSI Rcpt#: 000032104 2.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002268 VSI Rcpt#: 000032104 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002269 VSI Rcpt#: 000032105 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002270 VSI Rcpt#: 000032105 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002271 VSI Rcpt#: 000032106 1.00 RECTRAC 08/25/08 99 CR 00397 02/09 CR 08/25/08 0002272 VSI Rcpt#: 000032106 1.00 RECTRAC 08/25/08 99 CR 00404 02/09 CR 08/26/08 0002319 VSI Rcpt#: 000032130 2.00 RECTRAC 08/26/08 99 CR 00404 02/09 CR 08/26/08 0002320 VSI Rcpt#: 000032130 1.00 RECTRAC 08/26/08 99 CR 00404 02/09 CR 08/26/08 0002321 VSI Rcpt#: 000032131 1.00 RECTRAC 08/26/08 99 CR 00404 02/09 CR 08/26/08 0002322 VSI Rcpt#: 000032131 1.00 RECTRAC 08/26/08 99 CR 00404 02/09 CR 08/26/08 0002323 VSI Rcpt#: 000032132 1.00 RECTRAC 08/26/08 99 CR 00420 02/09 CR 08/27/08 0002355 VSI Rcpt#: 000032149 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002356 VSI Rcpt#: 000032149 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002357 VSI Rcpt#: 000032149 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002358 VSI R6pt#: 000032149 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002359 VSI Rcpt#: 000032150 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08.0002360 VSI Rcpt#: 000032150 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002361 VSI Rcpt#: 000032150 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002362 VSI Rcpt#: 000032150 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002363 VSI Rcpt#: 000032151 1.00 RECTRAC 08/27/08 99 CR 00420 02/09 CR 08/27/08 0002364 VSI Rcpt#: 000032151 1.00 RECTRAC 08/27/08 99 CR 00422 02/09 CR 08/28/08 0002408 VSI Rcpt#: 000032169 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002409 VSI Rcpt#: 000032167 1.00 PREPARED us/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 586 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -------------------------------------------------------- FUND 101 General Fund ---------------------------------------------------------------------------- BEGINNING GROUP 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 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002410 VSI Rcpt#: 000032167 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002411 VSI Rcpt#: 000032168 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002412 VSI Rcpt#: 000032168 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002413 VSI Rcpt#: 000032169 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002414 VSI Rcpt#: 000032170 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002415 VSI Rcpt#: 000032170 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002416 VSI Rcpt#: 000032171 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002417 VSI Rcpt#: 000032171 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002418 VSI Rcpt#: 000032176 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002419 VSI Rcpt#:•000032172 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002420 VSI Rcpt#: 000032172 1.00, RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002421 VSI Rcpt#: 000032174 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002422 VSI Rcpt#: 000032174 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002423 VSI Rcpt#: 000032175 1.00 RECTRAC 08/28/0'8 99 CR 00422 02/09 CR 08/28/08 0002424 VSI Rcpt#: 000032175 2.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002425 VSI Rcpt#: 000032175 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002426 VSI Rcpt#: 000032175 2.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002427 VSI Rcpt#: 000032176 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002428 VSI Rcpt#: 000032176 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002429 VSI Rcpt#: 000032176 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002430 VSI Rcpt#: 000032177 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002431 VSI Rcpt#: 000032177 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002432 VSI Rcpt#: 000032178 1.00 RECTRAC 08/28/08 99 CR 00422 02/09 CR 08/28/08 0002433 VSI Rcpt#: 000032178 1.00 RECTRAC 08/28/08 99 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER Al�iIVITY LISTING rAvt 587 ' PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 CR 00452 02/09 CR 08/29/08 0002514 VSI Rcpt#: 000032186 1.00 RECTRAC 08/29/08 99 CR 00452 02/09 CR 08/29/08 0002515 VSI Rcpt#: 000032187 1.00 RECTRAC 08/29/08 99 CR 00452 02/09 CR 08/29/08 0002516 VSI Rcpt#: 000032187 1.00 RECTRAC 08/29/08 99 CR 00459 03/09 CR 09/02/08 0002578 VSI Rcpt#: 000032236 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002579 VSI Rcpt#: 000032236 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002580 VSI Rcpt#: 000032237 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002581 VSI Rcpt#: 000032237 1.00 RECTRAC- 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002582 VSI Rcpt#: 000032237 2.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002583 VSI Rcpt#: 000032237 2.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002584 VSI Rcpt#: 000032238 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002585 VSI Rcpt#: 000032238 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002586 VSI Rcpt#: 000032238 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002587 VSI Rcpt#: 000032238 1.00 RECTRAC 09/02/08 99 CR 00459 03/09 CR 09/02/08 0002588 VSI Rcpt#: 000032243 20.00 RECTRAC 09/02/08 99 CR 00469 03/09 CR 09/03/08 0002682 VSI Rcpt#: 000032266 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002683 VSI Rcpt#: 000032252 2.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/.08 0002684 VSI Rcpt#: 000032252 2.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002685 VSI Rcpt#: 000032266 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002686 VSI Rcpt#: 000032265 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002687 VSI Rcpt#: 000032265 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002688 VSI Rcpt#: 000032280 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002689 VSI Rcpt#: 000032280 1.00' RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002690 VSI Rcpt#: 000032281 1.00 RECTRAC 09/03/08 99' CR 00469 03/09 CR 09/03/08 0002691 VSI Rcpt#: 000032282 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002692 VSI Rcpt#: 000032282 1.00 PREPARED w�/12/2010, 9:26:27 GENERAL LEDGER N6:•IVITY LISTING rAWL 588 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA = -------------------------------- FUND 101 General Fund -------------------------------------------------------------------------------------------------- - BEGINNING GROUP 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 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002693 VSI Rcpt#: 000032283 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002694 VSI Rcpt#: 000032283 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002695 VSI Rcpt#: 000032284 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002696 VSI Rcpt#: 000032284 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002697 VSI Rcpt#: 000032284 1.00' RECTRAC - 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002698 VSI Rcpt#: 000032284 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002699 VSI Rcpt#: 000032285 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03%08 0002700 VSI Rcpt#: 000032285 1.00 RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002701 VSI Rcpt#: 000032285 1.00. RECTRAC 09/03/08 99 CR 00469 03/09 CR 09/03/08 0002702 VSI Rcpt#: 000032285 1.00 RECTRAC 09/03/08 99 CR 00475 03/09 •CR 09/04/08 0002767 VSI Rcpt#: 000032333 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002768 VSI Rcpt#: 000032325 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002769 VSI Rcpt#: 000032323 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002770 VSI Rcpt#: 000032323 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002771 VSI Rcpt#: 000032324 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002772 VSI Rcpt#: 000032324 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002773 VSI Rcpt#: 000032326 1.00 RECTRAC 09/04/08 99 CR 00475. 03/09 CR 09/04/08 0002774 VSI Rcpt#: 000032326 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002775 VSI Rcpt#: 000032326 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR• 09/04/08 0002776 VSI Rcpt#: 000032326 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002777 VSI Rcpt#: 000032327 2.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002778 VSI Rcpt#: 000032334 1.00 RECTRAC 09/04/08 99 CR 00475 03/09 CR 09/04/08 0002779 VSI Rcpt#: 000032334 1.00 RECTRAC 09/04/08 99 CR 00485 03/09 CR 09/05/08 0002898 VSI Rcpt#: 000032343 1.00 RECTRAC 09/05/08 99 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AU(IVITY LISTING PAGE 589 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00485 03/09 CR 09/05/08 0002899 VSI Rcpt#: 000032343 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 000.2900 VSI Rcpt#: 000032346 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002901 VSI Rcpt#: 000032346 1.00 RECTRAC 09/05/08 99 CR 00485 03/09. CR 09/05/08 0002902 VSI Rcpt#: 000032346 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002903 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002904 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 'CR 00485 03/09 CR 09/05/08 0002905 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002906 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002907 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 CR 00485 03/09 CR 09/05/08 0002908 VSI Rcpt#: 000032347 1.00 RECTRAC 09/05/08 99 CR 00506 03/09 CR 09/08/08 0002973 VSI Rcpt#: 000032377 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002974 VSI Rcpt#: 000032377 1.00 RECTRAC 09/08/08 99 CR'00506 03/09 CR 09/08/08 0002975 VSI Rcpt#: 000032367 50.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002976 VSI Rcpt#: 000032373 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002977 VSI Rcpt#: 000032373 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002978 VSI Rcpt#: 000032373 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002979 VSI Rcpt#: 000032373 1.00 RECTRAC . 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002980 VSI Rcpt#: 000032374 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002981 VSI Rcpt#: 000032374 1.00 RECTRAC 09/08/08 99 CR 00506 03/09 CR 09/08/08 0002982 VSI Rcpt#: 000032376 1.00 RECTRAC 09/08/08 99 CR 00513 03/09 CR 09/09/08 0003048 VSI Rcpt#: 000032410 1.00 RECTRAC 09/09/08 99 CR 00513 03/09 CR 09/09/08 0003049 VSI Rcpt#: 000032410 1.00 RECTRAC 09/09/08 99 CR -00513 03/09 CR 09/09/08 0003050 VSI Rcpt#: 000032410 1.00' RECTRAC 09/09/08 99 CR 00513 03/09 CR 09/09/08 0003051 VSI Rcpt#: 000032410 1.00 RECTRAC 09/09/08 99 CR 00544 03/09 CR 09/10/08 0003236 VSI Rcpt#: 000032444 1.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 590 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 09/10/08 99 CR 00544 03/09 CR 09/10/08 0003237 VSI Rcpt#: 000032444 1.00 RECTRAC 09/10/08 99 CR 00544 03/09 CR 09/10/08 0003238 VSI Rcpt#: 000032448 1.00 RECTRAC 09/10/08 99 CR 00551 03/09 CR 09/11/08 0003309 VSI Rcpt#: 000032468 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003310 VSI Rcpt#: 000032468 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003311 VSI Rcpt#: 000032471 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003312 VSI Rcpt#: 000032471 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003313 VSI Rcpt#: 000032471 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003314 VSI Rcpt#: 000032473 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003315 VSI Rcpt#: 000032473 1.00 RECTRAC 09/11/08 99 CR 00551 03/09 CR 09/11/08 0003316 VSI Rcpt#: 000032473 1.00 RECTRAC 09/11/08 99 CR 00557 03/09 CR 09/12/08 0003386 VSI Rcpt#: 000032477 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003387 VSI Rcpt#: 000032477 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003388 VSI Rcpt#: 000032480 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003389 VSI Rcpt#: 000032480 1.00 RECTRAC 09/12/08.99 CR 00557 03/09 CR 09/12/08 0003390 VSI Rcpt#: 000032487 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003391 VSI Rcpt#: 000032487 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003392 VSI Rcpt#: 000032484 20.00• RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003393 VSI Rcpt#: 000032484 20.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003394 VSI Rcpt#: 000032487 1.00 RECTRAC 09/12/08 99 CR 00557 03/09 CR 09/12/08 0003395 VSI Rcpt#: 000032487 1.00 RECTRAC 09/12/08 99 CR 00562 03/09 CR 09/15/08 0003447 VSI Rcpt#: 000032510 20.00 RECTRAC 09/15/08 99 CR 00568 03/09 CR 09/16/08 0003533 VSI Rcpt#: 000032528 1.00 RECTRAC 09/16/08 99 CR 00568 03/09 CR 09/16/08 0003'534 VSI Rcpt#: 000032528 1.00 RECTRAC 09/16/08 99 CR 00568 03/09 CR 09/16/08 0003535 VSI Rcpt#: 000032529 1.00 RECTRAC 09/16/08 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 591 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ----------------'-------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 00568 03/09 CR 09/16/08 0003536 VS•I Rcpt#: 000032517 50.00 RECTRAC 09/16/08 99 CR 00581 03/09 CR 09/18/08 0003639 VSI Rcpt#: 000032553 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003640 VSI Rcpt#: 000032552 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 000364.1 VSI Rcpt#: 000032564 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003642 VSI Rcpt#: 000032553 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003643 VSI Rcpt#: 000032554 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003.644 VSI Rcpt#: 000032554 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003645 VSI Rcpt#: 000032556 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003646 VSI Rcpt#: 000032557 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003647 VSI Rcpt#: 000032557 1.00 RECTRAC •09/18/08 99 CR 00581 03/09 CR 09/18/08 0003648 VSI Rcpt#: 000032558 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003649 VSI Rcpt#: 000032559 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003650 VSI Rcpt#: 000032560 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003651 VSI Rcpt#: 000032561 1.00 RECTRAC 09/18/08 99 CR 00581 03/09• CR 09/18/08 0003652 VSI Rcpt#: 000032561 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003653 VSI Rcpt#: 000032561 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003654 VSI Rcpt#: 000032561 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003655 VSI Rcpt#: 000032562 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003656 VSI Rcpt#: 000032562 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003657 VSI Rcpt#: 000032563 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003658 VSI Rcpt#: 000032563 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003659 VSI Rcpt#: 000032564 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003660 VSI Rcpt#: 000032565 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003661 VSI Rcpt#: 000032566 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003662 VSI Rcpt#: 000032566 1.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 592 PROGRAM GM362LA CITY OF LA OUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003663 VSI Rcpt#: 000032567 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003664 VSI Rcpt#: 000032567 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003665 VSI Rcpt#: 000032567 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003666 VSI Rcpt#: 000032567 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003667 VSI Rcpt#: 000032568 1•.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003668 VSI Rcpt#: 000032568 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003669 VSI Rcpt#: 000032568 1.00 RECTRAC - 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003670 VSI Rcpt#: 000032568 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003671 VSI Rcpt#: 000032569 2.00 . RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003672 VSI Rcpt#: 000032570 1.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003673 VSI Rcpt#: 000032571 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003674 VSI Rcpt#: 000032571 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003675 VSI Rcpt4f: 000032589 20.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003676 VSI Rcpt#: 000032589 20.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003677 VSI Rcpt#: 000032590 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003678 VSI Rcpt#: 000032590 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003679 VSI Rcpt#: 000032591 20.00 RECTRAC 09/18/08 99 CR 00581 03/09' CR 09/18/08 0003680 VSI Rcpt#: 000032595 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003681 VSI Rcpt#: 000032596 2.00 RECTRAC 09/18/08 99 CR 00581 03/09 CR 09/18/08 0003682 VSI Rcpt#: 000032596 2.00 RECTRAC 09/18/08 99 CR 00613 03/09 CR 09/19/08 0003750 VSI Rcpt#: 000032607 2.00 RECTRAC 09/19/08 99 CR, 00613 03/09 CR 09/19/08.0003751 VSI Rcpt#: 000032607 2.00 RECTRAC 09/19/08 99 CR 00613 03/09 CR 09/19/08 0003752 VSI Rcpt#: 000032617 1.00 RECTRAC 09/19/08 99 CR 00620 03/09 .CR 09/22/08 0003796 VSI Rcpt#:°000032634 20.00 RECTRAC 09/22/08 99 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER N6i'IVITY LISTING rHuC 593 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------'------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 00620 03/09 CR 09/22/08 0003797 VSI Rcpt#: 000032634 20.00 RECTRAC 09/22/08 99 CR 00627 03/09 CR 09/23/08 0003855 VSI Rcpt#: 000032657 20.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003856 VSI Rcpt#: 000032644 20.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003857 VSI Rcpt#: 000032652 20.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003858 VSI Rcpt#: 000032653 20.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003859 VSI Rcpt#: 000032654 50.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003860 VSI Rcpt#: 000032656 20.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003861 VSI Rcpt#: 000032658 50.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003862 VSI Rcpt#: 000032661 50.00 RECTRAC 09/23/08 99 CR 00627 03/09 CR 09/23/08 0003863 VSI Rcpt#: 000032664 50.00 RECTRAC 09/23/08 99 CR 00633 03/09 CR 09/24/08 0003899 VSI Rcpt#: 000032669 50.00 RECTRAC 09/24/08 99 CR 00633 03/09 CR 09/24/08 0003900 VSI Rcpt#: 000032670 20.00 RECTRAC 09/24/08 99 CR 00633 03/09 CR 09/24/08 0003901 VSI Rcpt#: 000032671 20.00 RECTRAC 09/24/08 99 CR 00633 03/09 CR 09/24/08 0003902 VSI Rcpt#: 000032678 50.00 RECTRAC 09/24/08 99 CR 00644 03/09 CR.09/25/08 0003974 VSI Rcpt#: 000032685 50.00 RECTRAC 09/25/08 99 CR 00644 03/09 CR 09/25/08 0003975 VSI Rcpt#: 000032686 1.00 RECTRAC 09/25/08 99 CR 00644 03/09 CR 09/25/08 0003976 VSI Rcpt#: 000032686 1'.00 RECTRAC 09/25/08 99 CR 00644 03/09 CR 09/25/08 0003977 VSI Rcpt#: 000032687 20.00 RECTRAC 09/25/08 99 CR 00644 03/09 CR 09/25/08 0003978 VSI Rcpt#: 000032689 2.00 RECTRAC 09/25/08 99 CR 00644 03/09 CR 09/25/08 0003979 VSI Rcpt#: 000032693 50.00 RECTRAC 09/25/08 99 CR 00650 03/09 CR 09/26/08 0004036 VSI Rcpt#: 000032700 50.00 RECTRAC 09/26/08 99 CR 00657 03/09 CR 09/29/08 0004103 VSI Rcpt#: 000032724 20.00 RECTRAC 09/29/08 99 CR 00657 03/09 CR 09/29/08 0004104 VSI Rcpt#: 000032729 20.00 RECTRAC . 09/29/08 99 CR 00664 03/09 CR 09/30/08 0004150 VSI Rcpt#: 000032753 2.00 RECTRAC 09/30/08 99 CR 00664 03/09 CR 09/30/08 0004151 VSI Rcpt#: 000032753 2.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 594 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 09/30/08 99 CR 00664 03/09 CR 09/30/08 0004152 VSI Rcpt#: 000032763 20.00 RECTRAC 09/30/08 99 CR 00664 03/09 CR 09/30/08 0004153 VSI Rcpt#: 000032760 1.00 RECTRAC 09/30/08 99 CR 00664 03/09 CR 09/30/08 0004154 VSI Rcpt#: 000032761 20.00 RECTRAC 09/30/08 99 CR 00692 04/09 CR 10/01/08 0004231 VSI Rcpt#: 000032792 20.00 RECTRAC 10/01/08 99 GM 00667 04/09 AP 10/01/08 0080039 CORBETT, PEGGY 5.00 32782 REFUND CR 00706 04/09 CR 10/02/08 0004292 VSI Rcpt#: 000032801 2.00 RECTRAC 10/02/08 99 CR 00706 04/09 CR 10/02/08 0004293 VSI Rcpt#: 000032802 2.00 RECTRAC 10/02/08 99 CR 00706 04/09 CR 10/02/08 0004294 VSI Rcpt#: 000032815 2.00 RECTRAC 10/02/08 99 CR 00706 04/09 CR 10/02/08 0004295 VSI Rcpt#: 000032815 2.00 RECTRAC 10/02/08 99 CR 00706 04/09 CR 10/02/08 0004296 VSI Rcpt#: 000032816 20.00 RECTRAC 10/02/08 99 CR 00713 04/09 CR 10/03/08 0004385 VSI Rcpt#: 000032820 50.00 RECTRAC 10/03/08 99 CR 00731 04/09 CR 10/06/08 0004445 VSI Rcpt#: 000032867 20.00 RECTRAC 10/06/08 99 CR 00731 04/09 CR 10/06/08 0004446 VSI Rcpt#: 000032847 46.00 RECTRAC 10/06/08 99 CR 00731 04/09 CR 10/06/08 0004447 VSI Rcpt#: 000032848 50.00 RECTRAC 10/06/08 99 CR.00731 04/09 CR 10/06/08 0004448 VSI Rcpt#: 000032849 20.00 RECTRAC 10/06/08 99 CR 00731 04/09 CR 10/06/08 0004449 VSI Rcpt#: 000032855 20.00 RECTRAC 10/06/08 99 CR'00731 04/09 CR 10/06/08 0004450 VSI Rcpt#: 000032855 20.00 RECTRAC 10/06/08 99 CR 00731 04/09 ,CR 10/06/08 0004451 VSI Rcpt#: 000032858 20.00 RECTRAC 10/06/08 99 CR 00731 04/09 CR 10/06/08 0004452 VSI Rcpt#: 000032867 20.00 RECTRAC 10/06/08 99 CR 00731 04/09 CR 10/06/08 0004453 VSI Rcpt#: 000032866 20.00 RECTRAC 10/06/08 99 CR 00746 04/09 CR 10/07/08 0004513 VSI Rcpt#: 000032882 20.00 RECTRAC 10/07/08 99 CR 00746 04/09 CR 10/07/08 0004514 VSI Rcpt#: 000032882 20.00 RECTRAC 10/07/08 99 CR 00746 04/09 CR 10/07/08 0004515 VSI Rcpt#: 000032895 20.00 RECTRAC 10/07/08 99 CR 00746 04/09 CR 10/07/08 0004516 VSI Rcpt#: 000032908 20.00 RECTRAC 10/07/08 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING YAVt 595 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00988 04/09 CR 10/07/08 0006144 VSI Rcpt#: 000033150 2.00 RECTRAC 10/07/08 97 CR 00988 04/09 CR 10/07/08 0006145 VSI Rcpt#: 000033150 2.00' RECTRAC 10/07/08 97 CR 00752 04/09 CR 10/08/08'0004575 VSI Rcpt#: 000032936 20.00 RECTRAC 10/08/08 99 CR 00752 04/09 CR 10/08/08 0004576 VSI Rcpt#: 000032936 20.00 RECTRAC 10/08/08 99 CR 00752 04/09 CR 10/08/08 0004577 VSI Rcpt#: 000032952 20.00 RECTRAC 10/08/08 99 CR 00760 04/09 CR 10/09/08 0004631 VSI Rcpt#: 000032971 1.00 RECTRAC 10/09/08 99 CR 00760 04/09 CR 10/09/08 0004632 VSI Rcpt#: 000032969 1.00 RECTRAC 10/09/08 99 CR 00760 04/09 CR 10/09/08 0004633 VSI Rcpt#: 000032970 1.00 RECTRAC 10/09/08 99 CR 00760 04/09 CR 10/09/08 0004634 VSI Rcpt#: 000032972 1.00 RECTRAC 10/09/08 99 CR 00780 04/09 CR 10/10/08 0004700 VSI Rcpt#: 000032982 50.00 RECTRAC 10/10/08 99 CR 00811 04/09 CR 10/13/08 0004894 VSI Rcpt#: 000033003 20.00 RECTRAC 10/13/08 99 CR 00811 04/09 CR 10/13/08 0004895 VSI Rcpt#: 000033003 20.00 RECTRAC 10/13/08 99 CR 00818 04/09 CR 10/14/08 0004924 VSI Rcpt#: 000033027 20.00 RECTRAC 10/14/08 99 CR 00818 04/09 CR 10/14/08 0004925 VSI Rcpt#: 000033025 20.00 RECTRAC 10/14/08 99 CR 00818 04/09 CR 10/14/08 0004926 VSI Rcpt#: 000033025 20.00 RECTRAC 10/14/08 99 CR 00818 04/09 CR 10/14/08 0004927 VSI Rcpt#: 000033026 20.00 RECTRAC 10/14/08 99 CR 00818 04/09 CR 10/14/08 0004928 VSI Rcpt#: 000033035 20.00 RECTRAC 10/14/08 99 CR 00825 04/09 CR 10/15/08 0004991 VSI Rcpt#: 000033041 20.00 RECTRAC 10/15/08 99 CR 00825 04/09 CR 10/15/08 0004992 VSI Rcpt#: 000033041 20.00 RECTRAC 10/15/08 99 CR 00825 04/09 CR 10/15/08 0004993 VSI Rcpt#: 000033047 50.00 RECTRAC 10/15/08 99 CR 00825 04/09 CR 10/15/08 0004994 VSI Rcpt#: 000033048 20.00 RECTRAC •10/15/08 99 CR 00831 04/09 CR 10/16/08 0005077 VSI Rcpt#: 000033075 2.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005078 VSI Rcpt#: 000033076 2.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005079 VSI Rcpt#: 000033076 2.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005080 VSI Rcpt#: 000033080 1.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGEk wt.iIVITY LISTING PAGE 596 'PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005081 VSI Rcpt#: 000033081 •1.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005082 VSI Rcpt#:. 000033083 1.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005083 VSI Rcpt#: 000033084 1.00 RECTRAC 10/16/08 99 . CR 00831 04/09 CR 10/16/08 0005084 VSI Rcpt#: 000033085 1.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005085 VSI Rcpt#: 000033086 2.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005086 VSI Rcpt#: 000033090 20.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08 0005087 VSI Rcpt#: 000033090 20.00 RECTRAC 10/16/08 99 CR 00831 04/09 CR 10/16/08-0005088 VSI Rcpt#: 000033091 2.00 RECTRAC 10/16/08 99 CR 00838 04/09 CR 10/17/08 0005130 VSI Rcpt#: 000033099 20.00 RECTRAC 10/17/08 99 CR 00858 04/09 CR 10/20/08 0005204 VSI Rcpt#: 000033110 20.00 RECTRAC 10/20/08 99 CR 00858 04/09 CR 10/20/08 0005205 VSI Rcpt#: 000033111 20.00 RECTRAC 10/20/08 99 CR 00858 04/09 CR 10/20/08 0005206 VSI Rcpt#: 000033111 20.00 RECTRAC 10/20/08 99 CR 00858 04/09 CR 10/20/08 0005207 VSI Rcpt#: 000033114 1.00 RECTRAC 10/20/08 99 CR 00858 04/09 CR 10/20/08 0005208 VSI Rcpt#: 000033114 1.00 RECTRAC 10/20/08 99 - CR 00877 04/09 CR 10/21/08 0005308 VSI Rcpt#: 000033152 2.00 RECTRAC 10/21/08 98 CR 00877 04/09 CR 10/21/08 0005309 VSI Rcpt#: 000033152 2.00 RECTRAC 10/21/08 98 CR 00877 04/09 CR.10/21/08 0005291 VSI Rcpt#: 000033138 20.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005292 VSI Rcpt#: 000033138 20.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005293 VSI Rcpt#: 000033146 2.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005294 VSI Rcpt#: 000033146 2.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005295 VSI Rcpt#: 000033153 2.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005296 VSI Rcpt#: 000033147 20.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005297 VSI Rcpt#: 000033148 20.00 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005298 VSI Rcpt#: 000033149 20.00 RECTRAC 10/21/08 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 597 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00877 04/09 CR 10/21/08 0005299 VSI Rcpt#: 000033149 RECTRAC 10/21/08 99 CR 00877 04/09 CR 10/21/08 0005300 VSI Rcpt#: 000033153 RECTRAC 10/21/08 99 CR 00884 04/09 CR 10/22/08 0005360 VSI Rcpt#: 000033163 RECTRAC 10/22/08 99 CR 00884 04/09 CR 10/22/08 0005361 VSI Rcpt#: 000033166 RECTRAC 10/22/08 99 CR 00884 04/09 CR 10%22/08 0005362 VSI Rcpt#: 000033175 RECTRAC 10/22/08 99 CR 00884 04/09 CR 10/22/08 0005363 VSI Rcpt#: 000033173- RECTRAC 10/22/08 99 CR 00884 04/09 CR 10/22/08 0005364 VSI Rcpt#: 000033175 RECTRAC 10/22/08 99 CR 00884 04/09 CR 10/22/08 0005365 VSI Rcpt#: 000033183 RECTRAC 10/22/08 99 CR 00884 04/09 CR 10/22/08 0005366 VSI Rcpt#: 000033183 RECTRAC 10/22/08 99 GM 00875 04/09 AP 10/22/08 0080245 FRESCAS JR, JESSE 33160 REFUND CR 00910 04/09 CR 10/23/08 0005411 VSI Rcpt#: 000033192 RECTRAC 10/23/08 99 CR 00910 04/09 CR 10/23/08 0005412 VSI Rcpt#: 000033194 RECTRAC 10/23/08 99 CR 00910 04/09 CR 10/23/08 0005413 VSI Rcpt#: 000033196 RECTRAC 10/23/08 99 CR 00910 04/09 CR 10/23/08 0005414 VSI Rcpt#: 000033203 RECTRAC 10/23/08 99 CR 00917 04/09 CR 10/24/08 0005474 VSI Rcpt#: 000033212 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005475 VSI Rcpt#: 000033208 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005476 VSI Rcpt#: 000033208 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005477 VSI Rcpt#: 000033212 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005478 VSI Rcpt#: 000033217 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005479 VSI Rcpt#: 000033217 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005480 VSI Rcpt#: 000033218 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08.0005481 VSI Rcpt#: 000033218 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005482 VSI Rcpt#: 000033219 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005483 VSI Rcpt#: 000033220 RECTRAC 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005484 VSI Rcpt#: 000033220 20.00 20.00 2.00 20.00 20..00 20.00 . 2.00 20.00 2.00 2.00 28.00 28.00 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 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 598 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND'101 General Fund BEGINNING GROUP 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 10/24/08 99 CR 00917 04/09 CR 10/24/08 0005485 VSI Rcpt#: 000033221 2.00 RECTRAC 10/24/08 99 CR 00926 04/09 CR 10/28/08 0005590 SENIOR CENTER 10/27/08 4.00 KBLONDELL 10/28/08 01 CR 00946 04/09 CR 10/29/08 0005721 VSI Rcpt#: 000033289 2.00 RECTRAC 10/29/08 99 CR 00946 04/09 CR 10/29/08 0005722 VSI Rcpt#: 000033289• 2.00 RECTRAC 10/29/08 99 CR 00953 04/09 CR 10/30/08 0005774 VSI Rcpt#: 000033332 2.00 RECTRAC 10/30/08 99 CR 00953 04/09 CR 10/30/08 0005775 VSI Rcpt#: 000033332 2.00 RECTRAC 10/30/08 99 CR 00953 04/09 CR 10/30/08 0005776 VSI Rcpt#: 000033332 2.00 RECTRAC 10/30/08 99 CR 00963 04/09 CR 10/3.1/08 0005832 VSI Rcpt#: 000033338 10.00 RECTRAC 10/31/08 99 CR 01018 05/09 CR 11/06/08 0006193 VSI Rcpt#: 000033471 10.00 RECTRAC 11/06/08 99 CR 01018 05/09 CR 11/06/08 0006194 VSI Rcpt#: 000033473 5.00 RECTRAC 11/06/08 99 CR 01081 05/09 CR 11/10/08 0006358 VSI Rcpt#: 000033515 2.00 RECTRAC 11/10/08 99 CR 01081 05/09 CR 11/10/08 0006359 VSI Rcpt#: 000033516 2.00 RECTRAC 11/10/08 99 CR 01081 05/09 CR 11/10/08 0006360 VSI Rcpt#: 000033517 2.00 RECTRAC 11/10/08 99 CR 01081 05/09 CR 11/10/08 0006361 VSI Rcpt#: 000033518 2.00 RECTRAC 11/10/08 99 CR 01098 05/09 CR 11/13/08 0006517 VSI Rcpt#: 000033624 2.00 RECTRAC 11/13/08 99 CR 01098 05/09 CR 11/13/08 0006518 VSI Rcpt#: 000033624 2.00 RECTRAC 11/13/08 99 CR 01115 05/09 CR 11/17/08 0006681 VSI Rcpt#: 000033670 10.00 RECTRAC 11/17/08 99 CR 01122 05/09 CR 11/18/08 0006749 VSI Rcpt#: 000033693 2.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 0006750 VSI Rcpt#: 000033693 2.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 0006751 VSI Rcpt#: 000033708 10.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 0006752 VSI Rcpt#: 000033710 1.00 RECTRAC 11/18/08 99 CR 01122 05/09 CR 11/18/08 0006753 VSI Rcpt#: 000033718 1.00 RECTRAC 11/18/08 99 CR 01129 05/09 CR 11/19/08 0006860 VSI Rcpt#: 000033769 1.00' RECTRAC 11/19/08 98 CR 01136 05/09 CR 11/20/08 0006923 VSI Rcpt#: 000033787 1.00 RECTRAC 11/20/08 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 599 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION--r- /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 01136 05/09 CR 11/20/08 0006924 VSI Rcpt#: 000033782 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006925 VSI Rcpt#: 000033782 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006926 VSI Rcpt#: 000033781_ RECTRAC 11/20/08.99 CR 01136' 05/09 CR 11/20/08 0006927 VSI Rcpt#: 000033781 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006928 VSI Rcpt#: 000033783 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006929 VSI Rcpt#: 000033784 RECTRAC 11/20/08 99 CR 01136, 05/09 CR 11/20/08 0006930 VSI Rcpt#: 000033785 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006931 VSI Rcpt#: 000033786 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006932 VSI Rcpt#: 000033787 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006933 VSI Rcpt#: 000033788 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006934 VSI Rcpt#: 000033789 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006935 VSI Rcpt#: 000033790 RECTRAC 11/20/08 99 CR 01136 05/09 CR 11/20/08 0006936 VSI Rcpt#: 000033790 RECTRAC 11/20/08 99 CR 01143 05/09 CR 11/21/08 0007000 VSI Rcpt#: 000033804 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007001 VSI Rcpt#: 000033804 RECTRAC 11/21/08 99 CR 01143 0.5/09 CR 11/21/08 0007002 VSI Rcpt#: 000033805 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007003 VSI Rcpt#: 000033805 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007004 VSI Rcpt#: 000033794 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007005 VSI Rcpt#: 000033799 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007006 VSI Rcpt#: 000033797 RECTRAC 11/21/08 99 CR 01143 05/09 CR 11/21/08 0007007 VSI Rcpt#: 000033794 RECTRAC 11/21/08 99 CR 01185 06/09 CR 12/02/08 0007310' VSI Rcpt#: 000033915 RECTRAC 12/02/08 99 CR 01185 06/09 CR 12/02/08 0007311 VSI Rcpt#: 000033916 RECTRAC 12/02/08 99 CR 01185 06/09 CR 12/02/08 0007312 VSI Rcpt#: 000033924 RECTRAC 12/02/08 99 CR 01226 06/09 CR 12/04/08 0007455 VSI Rcpt#: 000033986 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00 . 1.00 1.00 1.00 1.00 1.00 2.00 2.00 2.00 2.00 5.00 1.00 1.00 10.00 2.00 2.00 2.00 2.00 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAtwt 600 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 12/04/08 99 CR 01226 06/09 CR 12/04/08 0007456 VSI Rcpt#: 000033986 2.00' RECTRAC 12/04/08 99 CR 01233 06/09 CR 12/05/08 0007530 VSI Rcpt#: 000033993 2.00 RECTRAC 12/05/08 99 CR 01246 06/09 CR 12/08/08 0007569 VSI Rcpt#: 000034017 2.00 RECTRAC 12/08/08 99 CR 01246 06/09 CR 12/08/08 0007570 VSI Rcpt#: 000034017 2.00 RECTRAC 12/08/08 99 CR 01310 06/09 CR 12/11/08 0007780 VSI Rcpt#: 000034075 2.00 RECTRAC 12/11/08 99 CR 01310 06/09 CR 12/11/08 0007781 VSI Rcpt#: 000034075 2.00 RECTRAC 12/11/08 99 CR 01310 06/09 CR 12/11/08 0007782 VSI Rcpt#: 000034083 2.00 RECTRAC 12/11/08 99 CR 01310 06/09 CR 12/11/08 0007783 VSI Rcpt#: 000034084 2.00 RECTRAC 12/11/08 99 CR 01323 06/09 CR 12/15/08 0007896 VSI Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007897 VSI Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 •06/09 CR 12/15/08 0007898 VSI Rcpt#: 000034111 84.00 RECTRAC. 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007899 VSI Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007900 VSI Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08"0007901 VSI Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007902 VSI•Rcpt#: 000034112 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007903 VSI Rcpt#: 000034113 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007904 VSI Rcpt#: 000034113 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007905• VSI Rcpt#: 000034113 '1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007906 VSI Rcpt#: 000034113 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007907 VSI Rcpt#: 000034113 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007908 VSI Rcpt#: 000034113 1.00 RECTRAC 12/15/08 99 CR. 01323 06/09 CR 12/15/08 0007909 VSI Rcpt#: 000034119 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007910 VSI Rcpt#: 000034119 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007911 VSI Rcpt#: 000034120 1.00 RECTRAC 12/15/08 99 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING FAWE 601 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------=----------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 01323 06/09 CR 12/15/08 0007912 VSI Rcpt#: 000034120 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007913 VSI Rcpt#: 000034120 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007914 VSI Rcpt#: 000034120 1.00• RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007915 VSI Rcpt#: 000034122 1.00 RECTRAC 12/15/08 99 CR 01.323 06/09 CR 12/15/08 0007916 VSI Rcpt#: 000034122 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007917 VSI Rcpt#: 000034123 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007918 VSI Rcpt#: 000034123 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007919 VSI Rcpt#: 000034125 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007920 VSI Rcpt#: 000034125 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007921 •VSI Rcpt#: 000034126 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007922 VSI Rcpt#: 000034126 1.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR 12/15/08 0007923 VSI Rcpt#: 000034128 1.00 RECTRAC . 12/15/08 99 CR 01330 06/09 CR 12/16/08 0007971 VSI Rcpt#: 000034174 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007972 VSI Rcpt#: 000034140 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007973 VSI Rcpt#: 000034140 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007974 VSI Rcpt#: 000034141 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007975 VSI Rcpt#: 000034141 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007976 VSI Rcpt#: 000034142 1.00 RECTRAC 12/16/08 99. CR 01330 06/09 CR 12/16/08 0007977 VSI Rcpt#: 000034145 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007978 VSI Rcpt#: 000034145 1.00' RECTRAC 12/16/08 99 CR 01330. 06/09 CR 12/16/08 0007979 VSI Rcpt#: 000034146 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007980 VSI Rcpt#: 000034146 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007981 VSI Rcpt#: 000034147 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007982 VSI Rcpt#: 000034156 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007983 VSI Rcpt#: 000034156 1.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 602 PROGRAM GM362LA CITY OF LA QUINTA, 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 101-3000-342.74-00 Charges for Services / Sr Ctr Special Events RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007984 VSI Rcpt#: 000034158 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007985 VSI Rcpt#: 000034159 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007986 VSI Rcpt#: 000034159 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007987 VSI Rcpt#: 000034160 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007988 VSI Rcpt#: 000034161 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007989 VSI Rcpt#: 000034161 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007990 VSI Rcpt#: 000034163 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007991 VSI Rcpt#: 000034163 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007992 VSI Rcpt#: 000034164 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007993 VSI Rcpt#: 000034164 1.00 RECTRAC. 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007994 VSI Rcpt#: 000034165 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007995 VSI Rcpt#: 000034166 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007996 VSI Rcpt#: 000034172 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007997 VSI Rcpt#: 000034173 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0007998 VSI Rcpt#: 000034173 1.00 RECTRAC 12/16/08 99 CR 01330. 06/09 CR 12/16/08 0007999 VSI Rcpt#: 000034174 1.00. RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008000 VSI Rcpt#: 000034183 1.00 RECTRAC . 12/16/08 99 CR 01330 06/09' CR 12/16/•08 0008001 VSI Rcpt#: 000034179 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008002 VSI Rcpt#: 000034179 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008003 VSI Rcpt#: 000034180 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008004 VSI Rcpt#: 00003/1180 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008005 VSI Rcpt#: 000034180 1.00 RECTRAC 12/16/08,99 CR 01330 06/09 CR 12/16/08 0008006 VSI Rcpt#: 000034180 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008007 VSI Rcpt#:"000034181 1.00 RECTRAC 12/16/08 99 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 603 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 I O N DEBITS CREDITS BALANCE 101-3000-342.74-00 Charges for Services / Sr Ctr Special Events CR 01330 06/09 CR 12/16/08 0008008 VSI Rcpt#: 000034181 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008009 VSI Rcpt#: 000034181 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008010 VSI Rcpt#: 000034181 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008011 VSI Rcpt#: 000034183 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008012 VSI Rcpt#: 000034183 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008013 VSI Rcpt#: 000034183 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008014 VSI Rcpt#: 000034184 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008015 VSI Rcpt#: 000034185 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008016 VSI Rcpt#: 000034185 1.00 RECTRAC 12/16/08 99 " CR 01330 06/09 CR 12/16/08 0008017 VSI Rcpt#: 000034185 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008018 VSI Rcpt#: 000034185 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008019 VSI Rcpt#: 000034190 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008020 VSI Rcpt#: 000034190 1.00 RECTRAC ' 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008021 VSI Rcpt#: 000034194 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008022 VSI Rcpt#: 000034194 1.00 RECTRAC 12/16/08 99 CR 01330 06/09 CR 12/16/08 0008023 VSI Rcpt#: 000034195 1.00 RECTRAC 12/16/08 99 CR 01337 06/09 CR 12/17/08 0008089 VSI Rcpt#: 000034203 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008090 VSI Rcpt#: 000034199 1.00 RECTRAC• 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008091 VSI Rcpt#: 000034199 1.00 RECTRAC 12/17/08 99 CR 01337 06/09. CR 12/17/08 0008092 VSI Rcpt#: 000034200 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 •CR 12/17/08 0008093 VSI Rcpt#: 000034200 1.00 RECTRAC. 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008094 VSI Rcpt#: 000034201 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008095 VSI• Rcpt#: 000034202 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008096 VSI Rcpt#: 000034202 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008097 VSI Rcpt#: 000034203 1.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 604 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008098 VSI Rcpt#: 000034204 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008099 VSI Rcpt#: 000034205 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008100 VSI Rcpt#: 000034205 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008101 VSI Rcpt#: 000034205 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008102 VSI Rcpt#: 000034205 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008103 VSI Rcpt#: 000034206 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008104 VSI Rcpt#: 000034206 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008105 VSI Rcpt#: 000034207 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008106 VSI Rcpt#: 000034207 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008107 VSI Rcpt#: 000034208 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008108 VSI Rcpt#: 000034208 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008109 VSI Rcpt#: 000034209 - 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008110 VSI Rcpt#: 000034212 1.00 RECTRAC 12/17/08 99 CR *01337 06/09 CR 12/17/08 0008111 VSI Rcpt#: 000034212 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008112 VSI Rcpt#: 000034220 1.00 RECTRAC 12/17/08 99 CR 01337 06/09 CR 12/17/08 0008113 VSI Rcpt#: 000034220 1.00 RECTRAC 12/17/08 99 CR 01343 06/09 CR 12/18/08 0008162 VSI Rcpt#: 000034231• 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008163 VSI Rcpt#: 000034230 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008164 VSI Rcpt#: 000034231 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008165 VSI Rcpt#: 000034232 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008166 VSI Rcpt#: 000034232 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008167 VSI Rcpt#: 000034233 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008168 VSI Rcpt#: 000034233 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008169 VSI Rcpt#: 000034234 1.00 RECTRAC 12/18/08 99 PREPAREL wa/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 605 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01343 06/09 CR 12/18/08 0008170 VSI Rcpt#: 000034234 1.00 RECTRAC' 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008171 VSI Rcpt#: 000034237 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008172 VSI Rcpt#: 000034238 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008173 VSI Rcpt#: 000034239 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008174 VSI Rcpt#: 000034239 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008175 VSI Rcpt#: 000034240 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008176 VSI Rcpt#: 000034241 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008177 VSI Rcpt#: 000034241 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008178 VSI Rcpt#: 000034242 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008179 VSI Rcpt#: 000034242 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008180 VSI Rcpt#: 000034243 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008181 VSI Rcpt#: 000034243 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008182 VSI Rcpt#: 000034243 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008183 VSI Rcpt#: 000034243 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008184 VSI Rcpt#: 000034244 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008185 VSI Rcpt#: 000034244 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008186 VSI Rcpt#: 000034244 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008187 VSI Rcpt#: 000034244 1.00 ' RECTRAC 12/18/08 99 . CR 01343 06/09 CR 12/18/08 0008188 VSI Rcpt#: 000034245 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008189 VSI Rcpt#: 000034245 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008190 VSI Rcpt#:.000034246 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008191 VSI Rept#: 000034251 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008192 VSI Rcpt#: 000034261 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR• 12/18/08 0008193 VSI Rcpt#: 000034247 1.00 RECTRAC 12/18/08 99 CR 01543 06/09 CR 12/18/08 0008194 VSI Rcpt#: 000034247 1.00 PREPAREL.w�/12/2010, 9:26:27 GENERAL LEDGEN AuriVITY LISTING PAGE 606 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund . BEGINNING GROUP 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 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008195 VSI Rcpt#: 000034248 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008196 VSI Rcpt#: 000034249 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008197 VSI Rcpt#: 000034249 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008198 VSI Rcpt#: 000034250• 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008199 VSI Rcpt#: 000034250 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008200 VSI Rcpt#: 000034252 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008201 VSI Rcpt#: 000034252 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008202 VSI Rcpt#: 000034252 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008203 VSI Rcpt#: 000034253 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008204 VSI Rcpt#: 000034253 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008205 VSI Rcpt#: 000034254 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008206 VSI Rcpt#: 000034254 1.00 RECTRAC ' 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008207 VSI Rcpt#: 000034255 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008208 VSI Rcpt#: 000034255 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008209 VSI Rcpt#: 000034255 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008210 VSI Rcpt#: 000034255 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008211 VSI Rcpt#: 000034256 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008212 VSI Rcpt#: 000034256 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008213 VSI Rcpt#: 000034256 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008214 VSI Rcpt#: 000034256 1.00 RECTRAC 12/18/08 99 CR 0.1343 06/09 CR 12/18/08 0008215 VSI Rcpt#: 000034258 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008216 VSI Rcpt#: 000034259 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008217 VSI Rcpt#: 000034259 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008218 VSI Rcpt#: 000034260 1.00 RECTRAC 12/18/08 99 PREPAREL -_.'12/2010, 9:26:27 GENERAL LEDGEk N%.rIVITY LISTING PAGE 607 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01343 06/09 CR 12/18/08 0008219 VSI Rcpt#: 000034261 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008220 VSI Rcpt#: 000034262 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008221 VSI Rcpt#: 000034262 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008222 VSI Rcpt#: 000034263 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008223 VSI Rcpt#: 000034263 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008224 VSI Rcpt#: 000034264 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008225 VSI Rcpt#: 000034265 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008226 VSI Rcpt#: 000034266 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008227 VSI Rcpt#: 000034266 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008228 VSI Rcpt#: 000034267 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008229 VSI Rcpt#: 000034267 1.00 , RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008230 VSI Rcpt#: 000034268 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008231 VSI Rcpt#: 000034268 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008232 VSI Rcpt#: 000034269 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008233 VSI Rcpt#: 000034270 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08.0008234 VSI Rcpt#: 000034271 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008235 VSI Rcpt#: 000034271 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008236 VSI Rcpt#: 000034272 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008237 VSI Rcpt#: 000034272 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008238 VSI Rcpt#: 000034273 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008239 VSI Rcpt#: 000034273 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008240 VSI Rcpt#: 000034274 1.00 .RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008241 VSI Rcpt#: 000034274 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008242 VSI Rcpt#: 000034276 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008243 VSI Rcpt#: 000034277 1.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 608 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 Charges for Services / Sr Ctr Special Events RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008244 VSI Rcpt#: 000034278 •1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008245 VSI Rcpt#: 000034278 1.00 RECTRAC 12/18/08 99 CR 01343 06/09. CR 12/18/08 0008246 VSI Rcpt#: 000034279 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008247 VSI Rcpt#: 000034279 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008248 VSI Rcpt#: 000034280 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008249 VSI Rcpt#: 000034303 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008250 VSI Rcpt#: 000034281 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008251 VSI Rcpt#: 000034281 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008252 VSI Rcpt#: 000034282 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008253 VSI Rcpt#: 000034282 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008254 VSI Rcpt#: 000034283 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008255 VSI Rcpt#: 000034284 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008256 VSI Rcpt#: 000034284 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008257 VSI Rcpt#: 000034285 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008258 VSI Rcpt#: 000034286 1..00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008259 VSI Rcpt#: 000034286 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008260 VSI Rcpt#: 000034289 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008261 VSI Rcpt#: 000034289 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008262 VSI Rcpt#: 000034290 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008263 VSI Rcpt#: 000034290 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008264 VSI Rcpt#: 000034291 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008265 VSI Rcpt#: 000034292 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008266 VSI Rcpt#: 000034292 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008267 VSI Rcpt#: 000034292 1.00 RECTRAC 12/18/08 99 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK ACTIVITY LISTING PAGE 609 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01343 06/09 CR 12/18/08 0008268 VSI Rcpt#: 000034292 1.00 - RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008269 VSI Rcpt#: 000034293 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008270 VSI Rcpt#: 000034293 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008271 VSI Rcpt#: 000034293 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008272 VSI Rcpt#: 000034293 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008273 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008274 VSI Rcpt#: 000034297 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008275 VSI Rcpt#: 000034297 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008276 VSI Rcpt#: 000034295 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008277 VSI Rcpt#: 000034295 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008278 VSI Rcpt#: 000034296 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008279 VSI Rcpt#: 000034298 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008280 VSI Rcpt#: 000034298 1.00 RECTRAC 12/18/08 99- CR 01343 06/09 CR 12/18/08 0008281 VSI Rcpt#: 000034300 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008282 VSI•Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008283 VSI Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008284 VSI Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008285 VSI Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0.008286 VSI Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008287 VSI Rcpt#: 000034301 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008288 VSI Rcpt#: 000034302 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008289 VSI Rcpt#: 000034302 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008290 VSI Rcpt#: 000034302 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008291 VSI Rcpt#: 000034303 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008292 VSI Rcpt#: 000034303 1.00 PREPAREL wJ/12/2010, 9:26:27 GENERAL,LEDGEK ACTIVITY LISTING PAGE 610 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING 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 Special Events RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008293 VSI Rcpt#: 000034303 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008294 VSI Rcpt#: 000034303 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008295 VSI Rcpt#: 000034303 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008296 VSI Rcpt#: 000034304 1.00 RECTRAC 12/18/08'99 CR 01343 06/09 CR 12/18/08 0008297 VSI Rcpt#: 000034304 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008298 VSI Rcpt#: 000034304 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008299 VSI Rcpt#: 000034305 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008300 VSI Rcpt#: 000034305 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008301 VSI Rcpt#: 000034305 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008302 VSI Rcpt#: 000034305 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008303 VSI Rcpt#: 000034306 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008304 VSI Rcpt#: 000034307 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008305 VSI Rcpt#: 000034308 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008306 VSI Rcpt#: 000034308 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008307 VSI Rcpt#: 000034309 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008308 VSI Rcpt#: 000034309 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008309 VSI Rcpt#: 000034310 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008310 VSI Rcpt#: 000034310 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008311 VSI Rcpt#: 000034311 2.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008312 VSI Rcpt#: 000034311. 2.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008313 VSI Rcpt#: 00003/1311 2.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008314 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008315 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008316 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 611 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01343 06/09 CR 12/18/08 0008317 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008318 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008319 VSI Rcpt#: 000034311 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008320 VSI Rcpt#: 000034311 2.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008321 VSI Rcpt#: 000034311 2.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/080008322 VSI Rcpt#: 000034312 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008323 VSI Rcpt#: 000034312 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008324 VSI Rcpt#: 000034312 1.00 RECTRAC • 12/18/08 99 CR 01343 06/09 CR 12/18/08'0008325 VSI Rcpt#: 000034312 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008326 VSI Rcpt#: 000034312 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008327 VSI Rcpt#: 000034326 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008328 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008329 VSI Rcpt#: 000034313 1.00• RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008330 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008331 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008332 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008333 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008334 VSI Rcpt#: 000034313 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008335 VSI Rcpt#: 000034314 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008336 VSI Rcpt#: 000034314 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008337 VSI Rcpt#: 000034315 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008338 VSI Rcpt#: 000034315 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008339 VSI Rcpt#: 000034316 1.00 RECTRAC 12/18/08 99 CR 01343 '06/09 CR 12/18/08 0008340 VSI Rcpt#: 000034316 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008341 VSI Rcpt#: 000034316 1.00 PREPARE], X4/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 612 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 101-3000-342.74-00 Charges for Services / Sr Ctr Special Events RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008342 VSI Rcpt#: 000034316 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008343 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99. CR 01343 06/09 CR 12/18/08 0008344 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008345 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008346 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008347 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008348 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008349 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008350 VSI Rcpt#: 000034317 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008351 VSI Rcpt#: 000034320 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008352 VSI Rcpt#: 000034321 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008353 VSI Rcpt#: 000034321 1.00 RECTRAC .12/18/08 99 CR 01343 06/0.9 CR 12/18/08 0008354 VSI Rcpt#: 000034321 1.00 .RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008355 VSI Rcpt#: 000034321 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008356 VSI Rcpt#: 000034321 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008357 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008358 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008359 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008360 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008361 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008362 VSI Rcpt#: 000034322 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008363 VSI Rcpt#: 000034328 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008364 VSI Rcpt#: 000034323 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008365 VSI Rcpt#: 000034323 1.00 RECTRAC 12/18/08 99 PREPAREL uQ/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 613 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01343 06/09 CR 12/18/08 0008366 VSI Rcpt#: 000034324 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008367 VSI Rcpt#: 000034324 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008368 VSI Rcpt#: 000034325 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008369 VSI Rcpt#: 000034325 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008370 VSI Rcpt#: 000034326 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008371 VSI Rcpt#: 0,00034327 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008372 VSI Rcpt#: 000034327 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008373 VSI Rcpt#: 000034328 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008374 VSI Rcpt#: 000034328 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008375 VSI Rcpt#: 000034328 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008376 VSI Rcpt#: 000034329 1.00 RECTRAC 12/18/08 99 CR 01343 06/09. CR 12/18/08 0008377 VSI Rcpt#: 000034329 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008378 VSI Rcpt#: 000034333 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008379 VSI Rcpt#: 000034330 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008380 VSI Rcpt#: 000034330 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008381 VSI Rcpt#: 000034330 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008382 'VSI Rcpt#: 000034331 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008383 VSI Rcpt#: 000034331 • 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008384 VSI Rcpt#: 000034331 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008385. VSI Rcpt#: 000034331 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008386 VSI Rcpt#: 000034332 1.00 RECTRAC 12/18/08 99• CR 01343 06/09 CR 12/18/08 0008387 VSI Rcpt#: 000034332 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008388 VSI Rcpt#: 000034332 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008389 VSI Rcpt#: 000034333 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008390 VSI Rcpt#: 000034333 1.00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk ..rIVITY LISTING PAGE 614 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -----------------------`------------------------------------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP 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 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008391 VSI Rcpt#: 000034333 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008392 VSI Rcpt#.: 000034334 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008393 VSI Rcpt#: 000034334 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008394 VSI Rcpt#: 000034334 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008395 VSI Rcpt#: 000034334 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008396 VSI Rcpt#: 000034335 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008397 VSI Rcpt#: 000034335 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008398 VSI Rcpt#: 000034335 1.00 . RECTRAC 12/18/08 99 CR'01343 06/09 CR 12/18/08 0008399 VSI Rcpt#: 000034336 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR. 12/18/08 0008400 VSI Rcpt#: 000034336 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008401 VSI Rcpt#: 000034336 1..00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008402 VSI Rcpt#: 000034336 1.00 . RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008403 VSI Rcpt#: 000034336 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008404 VSI Rcpt#: 000034336 1.00 RECTRAC 12/18/08 99 CR 01343 06/09 CR 12/18/08 0008405 VSI Rcpt#: 000034336 1.00 RECTRAC 12/18/08 99 CR 01400 06/09 CR 12/22/08 0008525 VSI Rcpt#: 000034367 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008526 VSI Rcpt#: 000034358 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 000852.7 VSI..Rcpt#: 000034358 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008528 VSI Rcpt#: 000034358 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008529 VSI Rcpt#: 000034367 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008530 VSI Rcpt#: 000034367 1.00 RECTRAC 12/22/08 99 CR 01400 06/09• CR 12/22/08 0008531 VSI Rcpt#: 000034367 1.00 RECTRAC 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008532 VSI Rcpt#: 000034367 1.00 RECTRAC. 12/22/08 99 CR 01400 06/09 CR 12/22/08 0008533 VSI Rcpt#: 000034367 1.00 RECTRAC 12/22/08 99 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk _.fIVITY LISTING rAWE 615 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 01459 06/09 CR 12/28/08 0009268 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009269 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009270 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009271 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009272 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009273 VSI Rcpt#: 000034414 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009274 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 ' CR 01459 06/09 CR 12/28/08 0009275 VSI Rcpt#: 000034414 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009276 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009277 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009278 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009279 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR-12/28/08 0009280 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009281 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009282 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08.98 CR 01459 06/09 CR 12/28/08 0009283 VSI Rcpt#: 000034414 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009284 VSI Rcpt#: 000034414 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009285 VSI Rcpt#: 000034414 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009286 VSI Rcpt#: 000034127 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009287 VSI Rcpt#: 000034127 1.00 RECTRAC 12/28/08 98. CR 01459 06/09 CR 12/28/08 0009288 VSI Rcpt#: 000034214 1.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009289 VSI Rcpt#: 000034414 1.00 RECTRAC ' 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009290 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 CR 01459 06/09 CR 12/28/08 0009291 VSI Rcpt#: 000034414 2.00 RECTRAC 12/28/08 98 GM 01460 07/09 AP 12/30/08 0081206 KOBALY, THERESA 20.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk ACTIVITY LISTING FADE 616 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 - 34477 REFUND CR 01479 07/09 CR 01/06/09 0008940 VSI Rcpt#: 000034614 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008941' VSI Rcpt#: 000034630 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008942 VSI Rcpt#: 000034630 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008943 VSI Rcpt#: 000034625 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008944 VSI Rcpt#: 000034625 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008945 VSI Rcpt#: 000034598 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008946 VSI Rcpt#: 000034598 2.00 RECTRAC 01/06/09 99 CR 01479 07/09 CR 01/06/09 0008947 VSI Rcpt#: 000034614 2.00 RECTRAC 01/06/09 99 CR 01486 07/09 CR 01/07/09 0009033 VSI Rcpt#: 000034667 •2.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009034 VSI Rcpt#: 000034653 1.00 RECTRAC 01/07/09 99 CR 01486 07/09 CR 01/07/09 0009035 VSI Rcpt#: 000034667 2.00 RECTRAC 01/07/09 99 CR 01493 07/09 CR 01/08/09 0009086 VSI Rcpt#: 000034705 1.00 RECTRAC . 01/08/09 99 CR 01494 07/09 CR 01/09/09 0009152 VSI Rcpt#: 000034722 1.00 RECTRAC 01/09/09 99 CR 01494 07/09 CR 01/09/09 0009153 VSI Rcpt#: 000034722 1.00 RECTRAC 01/09/09 99 CR 01506 07/09 CR 01/12/09 0009367 VSI Rcpt#: 000034799 80.00 RECTRAC 01/12/09 99 CR 01543 07/09 CR 01/14/09 0009528 VSI Rcpt#: 000034858 1.00 RECTRAC 01/14/09 99 CR 01549 07/09 CR 01/15/09 0009589 VSI Rcpt#: 000034890 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009590 VSI Rcpt#: 000034889 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009591 VSI Rcpt#: 000034870 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009592 VSI Rcpt#: 000034870 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009593 VSI Rcpt#: 000034888 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009594 VSI Rcpt#: 000034878 1.00 RECTRAC 01/15/09,99 CR 01549 07/09 CR 01/15/09 0009595 VSI Rcpt#: 000034878 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009596 VSI Rcpt#: 000034888 1.00 RECTRAC 01/15/09 99 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 617 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01549 07/09 CR 01/15/09 0009597 VSI Rcpt#: 000034879 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009598 VSI Rcpt#: 000034880 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009599 VSI Rcpt#: 000034881 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009600 VSI Rcpt#: 000034881 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009601 VSI Rcpt#: 000034882 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009602 VSI Rcpt#: 000034883 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009603 VSI Rcpt#: 000034884 1.00 .RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009604 VSI Rcpt#: 000034885 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009605 VSI Rcpt#: 000034886 1.00 RECTRAC 01/15/09 99 CR 01549 07/09 CR 01/15/09 0009606 VSI Rcpt#: 000034887 1.00 RECTRAC 01/15/09 99 CR 01556 07/09 CR 01/16/09 0009677 VSI Rcpt#: 000034922 1.00 RECTRAC 01/16/09 99 CR 01556 07/09 CR 01/16/09 0009678 VSI Rcpt#: 000034934 1.00 RECTRAC 01/16/09 99 CR 01648 07/09 CR 01/29/09 0010433 VSI Rcpt#: 000035236 2.00 RECTRAC 01/29/09 99 CR 01648 07/09 CR 01/29/09 0010434 VSI Rcpt#: 000035236 2.00 RECTRAC 01/29/09 99 CR 01937 08/09 CR 01/30%09 0012783 VSI Rcpt#: 000035368 2.00 RECTRAC 01/30/09 97 CR 01937 08/09 CR 01/30/09 0012784 VSI Rcpt#: 000035368 2.00 RECTRAC 01/30/09 97 CR 01704 08/09 CR 02/03/09 0010733 VSI Rcpt#: 000035383 2.00 RECTRAC 02/03/09 99 CR 01704 08/09 CR 02/03/09 0010734 VSI Rcpt#: 000035383 2.00 RECTRAC 02/03/09 99 CR 01711 08/09 CR 02/04/09 0010848 VSI Rcpt#: 000035407 2.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010849 VSI Rcpt#: 000035407 2.00 RECTRAC 02/04/09 99 CR 01711 08/09. CR 02/04/09 0010850 VSI Rcpt#: 000035415 2.00' RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010851 VSI Rcpt#: 000035417 2.00 RECTRAC 02/04/09 99 CR 01711 08/09 CR 02/04/09 0010852 VSI Rcpt#: 000035417• 2.00 RECTRAC 02/04/09 99 CR 01734 08/09 CR 02/05/09 0010981 VSI Rcpt#: 000035477 2.00 RECTRAC - 02/05/09 99 CR 01740 08/09 CR 02/06/09 0011092 VSI Rcpt#: 000035500 2.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk A6fIVITY LISTING rAWL 618 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02/06/09 99 CR 01747 08/09 CR 02/09/09 0011276 VSI Rcpt#: 000035511 118.0.0 RECTRAC 02/09/09 99 GM 01834 08/09 AP 02/11/09 0081793 KRAKORA, DAN 84.00 35591 REFUND CR 01823 08/09 CR 02/17/09 0011677 VSI Rcpt#: 000035709 2.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011678 VSI Rcpt#: 000035709 2.00 RECTRAC 02/17/09 99 CR 01823 08/09 CR 02/17/09 0011679 VSI Rcpt#: 000035709 2.00 RECTRAC 02/17/09 99 CR 01830 08/09 CR 02/18/09 0011791 VSI Rcpt#: 000035796 1.00 RECTRAC 02/18/09 99 , CR 01830 08/09 CR 02/18%09 0011792 VSI Rcpt#: 000035796 1.00 RECTRAC 02/18/09 99 CR 01849 08/09 CR 02/19/09 0011868 VSI Rcpt#: 000035805 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011869 VSI Rcpt#: 000035818 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011870 VSI Rcpt#: 000035818 1.00. RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011871 VSI Rcpt#: 000035828 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011872 VSI Rcpt#: 000035820 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011873 VSI Rcpt#: 000035827 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011874 VSI Rcpt#: 000035821 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011875 VSI Rcpt#: 000035821 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011876 VSI Rcpt#: 000035822 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011877 VSI Rcpt#: 000035825 1.00 RECTRAC .02/19/09 99 CR 01849 08/09 CR 02/19/09 0011878 VSI Rcpt#: 000035825 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011879 VSI Rcpt#: 000035826 1.00 RECTRAC 02/19/09 99 CR 01849 08/09 CR 02/19/09 0011880 VSI Rcpt#: 000035828 1.00 RECTRAC 02/19/09 99 CR 01870 08/09 CR 02/24/09 0012149 VSI Rcpt#: 000035939 2.00 RECTRAC 02/24/09 99 CR 01870 08/09 CR 02/24/09 0012150 VSI Rcpt#: 000035939 2.00. RECTRAC 02/24/09 99 CR 01901 08/09 CR 02/26/09 0012341 VSI Rcpt#: 000036026 2.00 RECTRAC 02/26/09 99 CR 01901 08/09 CR 02/26/09 0012342 VSI Rcpt#: 000036026 2.•00 RECTRAC 02/26/09 99 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AViIVITY LISTING rwun 619 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02010 09/09 CR 03/09/09 0012987 VSI Rcpt#: 000036262 120.00 RECTRAC 03/09/09 99 CR 02080 09/09 CR 03/19/09 0013550 VSI Rcpt#: 000036433 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013551 VSI Rcpt#: 000036436 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013552 VSI Rcpt#: 000036442 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013553 VSI Rcpt#: 000036437 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013554 VSI Rcpt#: 000036434 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013555 VSI Rcpt#: 000036437 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013556 VSI Rcpt#: 000036438 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013557 VSI Rcpt#: 000036438 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013558 VSI Rcpt#: 000036439 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013559 VSI Rcpt#: 000036441 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013560 VSI Rcpt#: 000036445 1.00 RECTRAC 03/19/09 99 CR 02080 09/09 CR 03/19/09 0013561 VSI Rcpt#: 000036449 15.00 RECTRAC 03/19/09 99 CR 02094 09/09 CR 03/23/09 0013760 VSI Rcpt#: 000036494 15.00 RECTRAC 03/23/09 99 CR 02101 09/09 CR 03/24/09 0013803 VSI Rcpt#: 000036539 15.00 RECTRAC 03/24/09 99 CR 02193 10/09 CR 04/02/09 0014455 VSI Rcpt#: 000036749 2.00 RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014456 VSI Rcpt#: 000036749 2.00 RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014457 VSI Rcpt#: 000036770 15.00 RECTRAC 04/02/09 99 CR 02193 10/09 CR 04/02/09 0014458 VSI Rcpt#: 000036770 15.00 RECTRAC 04/02/09 99 CR 02209 10/09 CR 04/06/09 0014622 VSI Rcpt#: 000036799 54.00 RECTRAC 04/06/09 99 CR 02245 10/09 CR 04/09/09 0014906 VSI Rcpt#: 000036935 2.00 RECTRAC 04/09/09 99 CR 02245 10/09 CR 04/09/09 0014907 VSI Rcpt#: 000036935 2.00 RECTRAC 04/09/09 99 CR 02251° 10/09 CR 04/10/09 0015012 VSI Rcpt#: 000036948 15.00 RECTRAC 04/10/09 99 CR 02251 10/09 CR 04/10/09 0015013 VSI Rcpt#:'000036965 15.00 RECTRAC 04/10/09 99 CR 02287 10/09 CR 04/14/09 0015151 VSI Rcpt#: 000037025 2.00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AGrIVITY LISTING PAGE 620 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 101-3000-342.74-00 Charges for Services / Sr Ctr Special Events RECTRAC 04/14/09 99 CR 02287 10/09 CR 04/14/09 0015152 VSI Rcpt#: 000037025 2.00 RECTRAC 04/14/09 99 CR 02422 11/09 CR 05/04/09 0016338 VSI Rcpt#: 000037452 66.00 RECTRAC 05/04/09 99 CR 02519 11/09 CR 05/14/09 0016863 VSI Rcpt#: 000037657 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016864 VSI Rcpt#: 000037656 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016865 VSI Rcpt#: 000037657 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016866 VSI Rcpt#: 000037658 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016867 VSI Rcpt#: 000037658 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016868 VSI Rcpt#:• 000037652 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016869 VSI Rcpt#: 000037653 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016870 VSI Rcpt#: 000037653 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 001.6871 VSI Rcpt#: 000037654 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016872 VSI Rcpt#: 000037655 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016873 VSI Rcpt#: 000037655 1.00 RECTRAC 05/14/09 99 CR 02519 11/09 CR 05/14/09 0016874 -VSI Rcpt#: 000037665 1.00 RECTRAC . 05/14/09 99 CR 02541 11/09 CR 05/18/09 0017022 VSI Rcpt#: 000037694 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017023 VSI Rcpt#: 000037694 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017024 VSI Rcpt#: 000037693 1.00. RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09.0017025 VSI Rcpt#: 000037693 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017026 VSI Rcpt#: 000037695 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017027 VSI Rcpt#: 000037695 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017028 VSI Rcpt#: 000037696 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017029 VSI Rcpt#: 000037696 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017030 VSI Rcpt#: 000037697 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09.0017031 VSI Rcpt#: 000037697 2.00 RECTRAC 05/18/09 99 PREPAREL ,,..:12/2010, 9:26:27 GENERAL LEDGEk ....rIVITY LISTING rAWt 621 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02541 11/09 CR 05/18/09 0017032 VSI Rcpt#: 000037698 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017033 VSI Rcpt#: 000037698 2.00 RECTRAC 05/18/09 99 CR 02541. 11/09 CR 05/18/09 0017034 VSI Rcpt#: 000037699 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017035 VSI Rcpt#: 000037699 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017036 VSI Rcpt#: 000037699 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017037 VSI Rcpt#: 000037699 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017038 VSI Rcpt#: 000037.700 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017039 VSI Rcpt#: 000037700 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017040 VSI Rcpt#: 000037701 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017041 VSI Rcpt#: 000037701 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017042 VSI Rcpt#: 000037702 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017043 VSI Rcpt#: 000037702 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017044 VSI Rcpt#: 000037702 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017045 VSI Rcpt#: 000037703 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017046 VSI Rcpt#: 000037703 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017047 VSI Rcpt#: 000037703 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017048 VSI Rcpt#: 000037703 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017049 VSI Rcpt#: 000037703 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017050 VSI Rcpt#: 000037703 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017051 VSI Rcpt#: 000037706 2.00 • RECTRAC 05/18/09 .99 CR 02541 11/09 CR 05/18/09 0017052 VSI Rcpt#: 000037704 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017053 VSI Rcpt#: 000037704 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR- 05/18/09 0017054 VSI Rcpt#: 000037709 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017055 VSI Rcpt#: 000037710 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017056 VSI Rcpt#: 000037710 1.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 622 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017057 VSI Rcpt#: 000037706 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017058 VSI Rcpt#: 000037706 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017059 VSI Rcpt#: 000037707 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017060 VSI Rcpt#: 000037707 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017061 VSI Rcpt#: 000037721 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017062 VSI Rcpt#: 000037709 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017063 VSI Rcpt#: 000037711 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017064 VSI Rcpt#: 000037711 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017065 VSI Rcpt#: 000037712 _ 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017066 VSI Rcpt#: 000037712 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017067 VSI Rcpt#: 000037713 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017068 VSI Rcpt#: 000037713 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017069 VSI Rcpt#: 000037719 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017070 VSI Rcpt#: 000037721 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017071 VSI Rcpt#: 000037719 2.00 RECTRAC 05/18/09 99• CR 02541 11/09 CR 05/18/09 0017072 VSI Rcpt#: 000037721 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017073 VSI Rcpt#: 000037717 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017074 VSI Rcpt#: 000037717 1.00 RECTRAC 05/18/09 99• CR 02541 11/09 CR 05/18/09 0017075 VSI Rcpt#: 000037721 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017076 VSI Rcpt#: 000037724 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017077 VSI Rcpt#: 000037724 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017078 VSI Rcpt#: 000037724 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017079 VSI Rcpt#: 000037724 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017080 VSI Rcpt#: 000037729 1.00 RECTRAC 05/18/09 99 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 623 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02541 11/09 CR 05/18/09 0017081 VSI Rcpt#: 000037729 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017082 VSI Rcpt#: 000037730 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017083 VSI Rcpt#: 000037730 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017084 VSI Rcpt#: 000037730 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017085 VSI Rcpt#: 000037730 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017086 VSI Rcpt#: 000037738 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017087 VSI Rcpt#: 000037738 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017088 VSI Rcpt#: 000037740 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017089 VSI Rcpt#: 000037740 2.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017090 VSI Rcpt#: 000037741 1.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017091 VSI Rcpt#: 000037741 2.00 RECTRAC 05/18/09 99 CR 02545 11/09 CR 05/19/09 0017132 VSI Rcpt#: 000037746 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017133 VSI Rcpt#: 000037746 1.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017134 VSI Rcpt#: 000037746 1.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017135 VSI Rcpt#: 000037746 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017136 VSI Rcpt#: 000037747 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017137 VSI Rcpt#: 000037747 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017138 VSI Rcpt#: 000037747 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017139 VSI Rcpt#: 000037748 1.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017140 VSI Rcpt#: 000037748 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017141 VSI Rcpt#: 000037760 1.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017142 VSI Rcpt#: 000037762 1.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017143 VSI Rcpt#: 000037762 2.00 RECTRAC 05/19/09 99 CR 02545 11/09 CR 05/19/09 0017144 VSI Rcpt#: 000037763 1.00 RECTRAC 05/19/09 99 CR 02559 11/09 CR 05/20/09 0017200 VSI Rcpt#: 000037778 2.00 PREPAREL voi12/2010, 9:26:27 GENERAL LEDGEk A6rIVITY LISTING PAGE 624 PROGRAM GM362LA CITY -------------------------------------------------------------------------------------------------------.----------------------------- OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 05/20/09 98 CR 02559 11/09 CR 05/20/09 0017201 VSI Rcpt#: 000037778 2.00 RECTRAC 05/20/09 98 CR 02559 11/09 CR 05/20/09 0017202 VSI Rcpt#: 000037778 1.00 RECTRAC 05/20/09 98 CR 02559 11/09 CR 05/20/09 0017194 VSI Rcpt#: 000037787 2.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017195 VSI Rcpt#: 000037787 1.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017196 VSI Rcpt#: 000037787 1.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017197 VSI Rcpt#: 000037787 2.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017198 VSI Rcpt#: 000037797 1.00 RECTRAC 05/20/09 99 CR 02559 11/09 CR 05/20/09 0017199 VSI Rcpt#: 000037797 •1.00 RECTRAC 05/20/09 99 CR 02599 11/09 CR 05/21/09 0017279 VSI Rcpt#: 000037805 1.00 RECTRAC 05/21/09 99 CR 02599 11/09 CR 05/21/09 0017280 VSI Rcpt#: 000037805 2.00 RECTRAC 05/21/09 99 CR 02599 11/09 CR 05/21/09 0017281 VSI.Rcpt#: 000037813 1.00 RECTRAC 05/21/09 99 CR 02599 11/09 CR 05/21/09 0017282 VSI Rcpt#: 000037813 2.'00 RECTRAC 05/21/09 99 CR 02607 11/09 CR 05/22/09 0017359 VSI Rcpt#: 000037833 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017360 VSI Rcpt#: 000037819 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017361 VSI Rcpt#: 000037819 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017362 VSI Rcpt#: 000037822 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017363 VSI Rcpt#: 000037822 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017364 VSI Rcpt#: 000037822 2.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017365 VSI Rcpt#: 000037822 2.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017366 VSI Rcpt#: 000037833 1.00 RECTRAC 05/22/09 99 CR 02607 11/09 CR 05/22/09 0017367 VSI Rcpt#: 000037834 1.00 RECTRAC 05/22/09 99 CR '02612 11/09 CR 05/26/09 0017444 VSI Rcpt#: 000037849 2.00 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017445 VSI Rcpt#: 000037849 1.00 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017446 VSI Rcpt#: 000037849 1.00 RECTRAC 05/26/09 99 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk nVrIVITY LISTING PAGE 625 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02612 11/09 CR 05/26/09 0017447 VSI Rcpt#: 000037849 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017448 VSI Rcpt#: 000037858 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017449 VSI Rcpt#: 000037850 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017450 VSI Rcpt#: 000037850 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017451 VSI Rcpt#: 000037851 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017452 VSI Rcpt#: 000037851 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017453 VSI Rcpt#: 000037851 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017454 VSI Rcpt#: 000037851 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017455 VSI Rcpt#: 000037852 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017456 VSI Rcpt#: 000037852 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017457 VSI Rcpt#: 000037866 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017458 VSI Rcpt#: 000037866 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017459 VSI Rcpt#: 00003.7871 RECTRAC 05/26/09 99 CR 02612 11/09 CR 05/26/09 0017460 VSI Rcpt#: 000037871 RECTRAC 05/26/09 99 CR 02618 11/09 CR 05/27/09 0017535 VSI Rcpt#: 000037882 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017536 VSI Rcpt#: 000037883 RECTRAC 05/27/09 99 CR 02618 11/09 CR 05/27/09 0017537 VSI Rcpt#: 000037883 RECTRAC 05/27/09 99 CR 02631 11/09 CR 05/28/09 0017583 VSI Rcpt#: 000037910 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017584 VSI Rcpt#: 000037895 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017585 VSI Rcpt#: 000037893 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017586 VSI Rcpt#: 000037894 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017587 VSI Rcpt#: 000037895 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017588 VSI Rcpt#: 000037896 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017589 VSI Rcpt#: 000037896 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017590 VSI Rcpt#: 000037897 2.00 1.00 1.00 2.00 1.00 1.00 2.00 2.00 1.00 2.00 1.00 2.00 1.00 2.00 1.00 1.00 2.00 2.00 1.00 1.00 1.00 2.00 1.00 2.00 2.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk A6TIVITY LISTING PAGE 626 PROGRAM GM362LA CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017591 VSI Rcpt#: 000037897 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017592 VSI Rcpt#: 000037898 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017593 VSI Rcpt#: 000037902 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017594 VSI Rcpt#: 000037900 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017595 VSI Rcpt#: 000037901 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017596 VSI Rcpt#: 000037902 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017597 VSI Rcpt#: 000037902 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017598 VSI•Rcpt#: 000037902 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017599 VSI Rcpt#: 000037903 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017600 VSI Rcpt#: 000037907 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017601 VSI Rcpt#: 000037905 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017602 VSI Rcpt#: 000037906 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017603 VSI Rcpt#: 000037906 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017604 VSI Rcpt#: 000037907 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017605 VSI Rcpt#: 000037909 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017606 VSI Rcpt#: 000037909 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017607 VSI Rcpt#: 000037910 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017608 VSI Rcpt#: 000037911 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 6017609 VSI Rcpt#: 000037912 1.00 . RECTRAC 05/28/09 99 CR 02631 11/09 •CR 05/28/09 0017610 VSI Rcpt#: 000037912 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017611 VSI Rcpt#: 000037912 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017612 VSI Rcpt#: 000037912 2.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017613 VSI Rcpt#: 000037913 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017614 VSI Rcpt#: 000037913 1.00 RECTRAC 05/28/09 99 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 627 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA --------------------------------------------------------- FUND 101 General Fund • -------------------------------------------------------------------------- BEGINNING GROUP 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 02631 11/09 CR 05/28/09 0017615 VSI Rcpt#: 000037915 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017616 VSI Rcpt#: 000037916 1.00 RECTRAC 05/28/09 99 CR 02631 11/09 CR 05/28/09 0017617 VSI Rcpt#: 000037922 1.00 RECTRAC 05/28/09 99 CR 02639 11/09 CR 05/29/09 0017717 VSI Rcpt#: 000037934 1.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017718 VSI Rcpt#: 000037955 1.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017719 VSI Rcpt#: 0.00037955 1.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017720 VSI Rcpt#: 000037934 2.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017721 VSI Rcpt#: 000037957 1.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017722 VSI Rcpt#: 000037957 1.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017723 VSI Rcpt#: 000037957 2.00 RECTRAC 05%29/09 99 CR 02639 11/09 CR 05/29/09 0017724 VSI Rcpt#: 000037957 2.00 RECTRAC 05/29/09 99 CR 02639 11/09 CR 05/29/09 0017725 VSI Rcpt#: 000037964 1.00 RECTRAC 05/29/09 99 CR 02923 12/09 CR 05/29/09 0001082 VSI Rcpt#: 000037965 2.00 RECTRAC 05/29/09 97 CR 02923 12/09 CR 05/29/09 0001083 VSI Rcpt#: 000037965 1.00 RECTRAC 05/29/09 97 CR 02659 11/09 CR 05/31/09 0018016 VSI Rcpt#: 000037718 2.00 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018017 VSI Rcpt#: 000037718 1.00 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018018 VSI Rcpt#: 00003.7777 1.00 RECTRAC 05/31/09 99 CR 02659 11/09 CR 05/31/09 0018019 VSI Rcpt#: 000037777 2.00 RECTRAC 05/31/09 99 CR 02645 12/09 CR 06/01/09 0017814 VSI Rcpt#: 000038014 2.00 RECTRAC 06/01/09 99 CR 02671 12/09 CR 06/02/09 0017902 VSI Rcpt#: 000038045 2.00 RECTRAC 06/02/09 99 CR 02671 12/09 CR 06/02/09 0017903 VSI Rcpt#: 000038045 2.00 RECTRAC 06/02/09 99 CR 02678 12/09 CR 06/03/09 0018053 VSI Rcpt#: 000038079 2.00 RECTRAC 06/03/09 99 CR 02712 12/09 CR 06/08/09 0018224 VSI Rcpt#: 000038138 62.00 RECTRAC 06/08/09 99 CR 02718 12/09 CR 06/09/09 0018293 VSI Rcpt#: 000038179 2.00 RECTRAC 06/09/09 99 CR 02726 12/09 CR 06/10/09 0018338 VSI Rcpt#: 000038205 2.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEK AuTI.VITY LISTING PAGE 628 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 06/10/09 99 CR 02752 12/09 CR 06/11/09 00183.70 VSI Rcpt#: 000038230 2.00 RECTRAC 06/11/09 99 CR 02752 12/09 CR 06/11/09 0018371 VSI Rcpt#: 000038230 2.00 RECTRAC 06/11/09 99 CR 02924 12/09 CR 06/15/09 0001038 VSI Rcpt#: 000038162 2.00 RECTRAC 06/15/09 97 CR 02924 12%09 CR 06/15/09 0001039 VSI Rcpt#: 000038162 2.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001040 VSI Rcpt#: 000037999 2.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001041 VSI Rcpt#: 000037999 2.00 RECTRAC 06/15/09 97 CR 02924 12/09 CR 06/15/09 0001042 VSI Rcpt#: 000037995 1.00 RECTRAC 06/15/0997 CR 02924 12/09 CR 06/15/09'0001043 VSI Rcpt#: 000037995 1.00 RECTRAC 06/15/09 97 CR 02784 12/09 CR 06/18/09 0018651 VSI Rcpt#: 000038370 2.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018652 VSI Rcpt#: 000038383 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018653 VSI Rcpt#: 000038385 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018654 VSI Rcpt#: 000038388 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018655 VSI Rcpt#: 000038388 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018656 VSI Rcpt#: 000038390 2.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018657 VSI Rcpt#: 000038391 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018658 VSI Rcpt#: 000038392 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018659 VSI Rcpt#: 000038392 1.00 RECTRAC 06/18/09 99 CR 02784 12/09 CR 06/18/09 0018660 VSI Rcpt#: 000038393 2.00 RECTRAC 06/18/09 99 CR 02789 12/09 CR 06/19/09 0018685 VSI Rcpt#: 000038398 1.00 RECTRAC 06/19/09 99 CR 02789 12/09 CR 06/19/09 0018686 VSI Rcpt#: 000038398 1.00 RECTRAC 06/19/09 99 ACCOUNT TOTAL 101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card CR 00013 01/09 CR 07/01/08 0000090 VSI Rcpt#: 000031526 RECTRAC 07/01/08 98 CR 00020 01/09 CR 07/02/08 0000128 VSI Rcpt#: 000031542 129.00 4,438.00 15.00 15.00 4,309.00CR .00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEK A6TIVITY LISTING PAGE 629 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA' ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 07/02/08 98 CR 00028 01/09 CR"07/03/08 0000201 VSI Rcpt#: 000031552 15.00 RECTRAC 07/03/08 98 CR 00028 01/09 CR 07/03/08 0000202 VSI Rcpt#: 000031552 15.00 RECTRAC 07/03/08 98 CR 00037 01/09 CR 07/07/08 0000316 VSI Rcpt#: 000031585 15.00 . RECTRAC 07/07/08 98 CR 00037 01/09 CR 07/07/08 0000317 VSI Rcpt#: 000031585• 15.00 RECTRAC 07/07/08 98 CR 00044 01/09 CR 07/08/08 0000380 VSI Rcpt#: 000031608 15.00 RECTRAC 07/08/08 98 CR 00052 01/09 CR 07/09/08 0000446 VSI Rcpt#: 000031621 15.00 RECTRAC 07/09/08 98 CR 00061 01/09 CR 07/10/08 0000528 VSI Rcpt#: 000031632 15.00 RECTRAC 07/10/08 98 CR 00061 01/09 CR 07/10/08 0000529 VSI Rcpt#: 000031636 15.00 RECTRAC 07/10/08 98 CR 00068 01/09 CR 07/11/08 0000570 VSI Rcpt#: 000031648 . 15.00 RECTRAC 07/11/08 97 CR 00088 01/09 CR 07/14/08 0000613 VSI Rcpt#: 000031664 .15.00 RECTRAC 07/14/08 98 CR 00088 01/09 CR 07/14/08 0000614 VSI Rcpt#: 000031673 35.00 RECTRAC 07/14/08 98 CR 00088 01/09 CR 07/14/08 0000615 VSI Rcpt#:'000031672 15.00 RECTRAC 07/14/08 98 CR 00088 01/09 CR 07/14/08 0000616 VSI Rcpt#: 000031672 15.00 RECTRAC 07/14/08 98 CR 00088 01/09 CR 07/14/08 0000617 VSI Rcpt#: 000031679 15.00 RECTRAC 07/14/08 98 CR 00088 01/09 CR 07/14/08 0000618 VSI Rcpt#: 000031682. 15.00 RECTRAC 07/14/08 98 CR 00094 01/09 CR 07/15/08 0000675 VSI Rcpt#: 000031691 15.00 RECTRAC 07/15/08 99 CR 00113 01/09 CR 07/16/08 0000707 VSI Rcpt#: 000031695 15.00 RECTRAC 07/16/08 98 CR 00113 01/09 CR 07/16/08 0000708 VSI Rcpt#: 000031711 15.00 RECTRAC 07/16/08 98. CR 00113 01/09 CR 07/16/08 0000709 VSI Rcpt#: 000031711 15.00 RECTRAC 07/16/08 98 CR 00120 01/09 CR 07/17/08 0000772 VSI Rcpt#: 000031716 15.00 RECTRAC 07/17/08 98 CR 00138 01/09 CR 07/18/08 0000807 VSI Rcpt#: 000031724 15.00 RECTRAC 07/18/08 98 CR 00138 01/09 CR 07/18/08 0000808 VSI Rcpt#: 000031728 15.00 RECTRAC 07/18/08 98 •CR 00138 01/09 CR 07/18/08 0000809 VSI Rcpt#: 000031728 15.00 RECTRAC 07/18/08 98 CR 00138 01/09 CR 07/18/08 0000810 VSI Rcpt#: 000031728 15.00 RECTRAC 07/18/08 98 PREPAREL ..;12/2010, 9:26:27 GENERAL LEDGEk-.rIVITY LISTING FADE 630 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00138 01/09 CR 07/18/08 0000811 VSI Rcpt#: 000031730 15.00' RECTRAC 07/18/08 98 CR 00138 01/09 CR 07/18/08 0000812 VSI Rcpt#: 000031730 15.00 RECTRAC 07/18/08 98 CR 00138 01/09 CR 07/18/08 0000813 VSI Rcpt#: 000031732 15.00 RECTRAC 07/18/08 98 CR 00145 01/09 CR 07/21/08 0000843 VSI Rcpt#: 000031736 15.00 RECTRAC 07/21/08 98 CR 00145 01/09 CR 07/21/08 0000844 VSI Rcpt#: 000031737 15.00 RECTRAC 07/21/08 98 CR 00151 01/09 CR 07/22/08 0000874 VSI Rcpt#: 000031750 15.00 RECTRAC 07/22/08 99 CR 00151 01/09 CR 07/22/08 0000875 VSI Rcpt#: 000031752 15.00 RECTRAC 07/22/08 99 CR 00151 01/09 CR 07/22/08 0000876 VSI Rcpt#: 000031752 15.00 RECTRAC 07/22/08 99 CR 00158 01/09 CR 07/23/08 0000935 VSI Rcpt#: 000031759 15.00 RECTRAC 07/23/08 98 CR 00158 01/09 CR 07/23/08 0000936 VSI Rcpt#: 000031757 15.00 RECTRAC 07/23/08 98 CR 00158 01/09 CR 07/23/08 0000937 VSI Rcpt#: 000031758 15.00 RECTRAC 07/23/08 98 CR 00176 01/09 CR 07/25/08 0001072 VSI Rcpt#: 000031772 15.00 RECTRAC 07/25/08 98 CR 00186 01/09 CR 07/28/08 0001101 VSI Rcpt#: 000031785 15.00 RECTRAC 07/28/08 98 CR 00186 01/09 CR 07/28/08 0001102 VSI Rcpt#: 000031786 15.00 RECTRAC 07/28/08 98 CR 00201 01/09 CR 07/29/08 0001140 VSI Rcpt#: 000031795 15.00 RECTRAC 07/29/08'99 CR 00201 01/09 CR 07/29/08 0001141 VSI Rcpt#: 000031802 15.00 RECTRAC 07/29/08 99 CR 00210 01/09 CR 07/30/08 .0001161 VSI Rcpt#: 000031807 15.00 RECTRAC 07/30/08 98 CR 00210 01/09 CR 07/30/08 0001162 VSI Rcpt#: 000031807 15.00 RECTRAC 07/30/08 98 CR 00210 01/09 CR 07/30/08 0001163 VSI Rcpt#: 00:0031813 15.00 RECTRAC 07/30/08 98 CR 00224 01/09 CR 07/31/08 0001191 VSI Rcpt#: 000031816 15.00 RECTRAC 07/31/08 99 CR 00224 01/09 CR 07/31/08 0001192 VSI Rcpt#: 000031817 15.00 RECTRAC 07/31/08 99 CR 00234 02/09 CR 08/04/08 0001236 RES CARD-AMBRIZ, PILLOW 30.00 MMENDOZA 08/04/08 01 CR 00242 02/09 CR 08/04/08 0001291 VSI Rcpt#: 000031831 15.00 RECTRAC 08/04/08 98 CR 00242 02/09 CR U8/04/08 0001292 VSI Rcpt#: 000031831 15.00 RECTRAC 08/04/08 98 CR 00242 02/09 CR 08/04/08 0001293 VSI Rcpt#: 000031832 15.00 PREPARE.. ..../12/2010, 9:26:27 GENERAL LEDGE.. —TIVITY LISTING PAGE 631 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund ' BEGINNING GROUP 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 15.00 15.00 15.00 15.00 15.00 60.00 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 08/04/08 98 CR 00242 02/09 CR 08/04/08 0001294 VSI Rcpt#: 000031836 RECTRAC 08/04/08 98 CR 00242 02/09 CR 08/04/08 0001295 VSI Rcpt#: 000031839 RECTRAC 08/04/08 98 CR 00242 02/09 CR 08/04/08 0001296 VSI Rcpt#: 000031839 RECTRAC 08/04/08 98 CR 00252 02/09 CR 08/05/08 0001422 VSI Rcpt#: 000031845 RECTRAC 08/05/08 99 CR 00252 02/09 CR 08/05/08 0001423 VSI Rcpt#: 000031845 RECTRAC 08/05/08 99 CR 00279 02/09 CR 08/07/08 0001438 CRANE, HART, SULLIVAN MMENDOZA 08/07/08 01 CR 00282 02/09 CR 08/07/08 0001473 VSI Rcpt#: 000031876 RECTRAC 08/07/08 98 CR 00282 02/09 CR 08/07/08 0001474 VSI Rcpt#: 000031876 RECTRAC 08/07/08 98 CR 00282 02/09 CR 08/07/08 0001475 VSI Rcpt#: 000031874 RECTRAC 08/07/08 98 CR 00282 02/09 CR 08/07/080001476 VSI Rcpt#: 000031879 RECTRAC 08/07/08 98 CR 00282 02/09 CR 08/07/08 0001477 VSI Rcpt#: 000031881 RECTRAC 08/07/08 98 CR 00282 02/09 CR 08/07/08 0001478 VSI Rcpt#: 000031881 RECTRAC 08/07/08 98 CR 00283 02/09 CR 08/08/08 0001521 VSI Rcpt#: 000031889 RECTRAC 08/08/08 98 CR 00283 02/09 CR 08/08/08 0001522 VSI Rcpt#: 000031888 RECTRAC 08/08/08 98 CR 00283 02/09 CR 08/08/08 0001523 VSI Rcpt#: 000031888 RECTRAC 08/08/08 98 CR 00303 02/09 CR 08/13/08 0001632 VSI Rcpt#: 000031903 RECTRAC 08/13/08 98 CR 00315 02/09 CR 08/14/08 0001661 VSI Rcpt#: 000031914 RECTRAC 08/14/08 98 CR 00315 02/09 CR 08/14/08 0001662 VSI Rcpt#: 000031906 RECTRAC 08/14/08 98 CR 00321' 02%09 CR 08/15/08 0001754 VSI Rcpt#: 000031916 RECTRAC 08/15/08 99 CR 00321 02/09 CR 08/15/08 0001755 VSI Rcpt#: 000031916 RECTRAC 08/15/08 99 CR 00338 02/09 CR 08/18/08 0001958 VSI Rcpt#: 000031930 RECTRAC 08/18/08 98 CR 00344 02/09 CR 08/19/08 0002032 VSI Rcpt#: 000032004 RECTRAC 08/19/08 98 CR 00344 02/09 CR 08/19/08 0002033 VSI Rcpt#: 000032024 RECTRAC 08/19/08 98 CR 00344 02/09 CR 08/19/08 0002034 VSI Rcpt#: 000032012 RECTRAC 08/19/08 98 15.00 15.00 15.00 15.00 15.00 60.00 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 PREPAREL wo/12/2010, 9:26:27 GENERAL LEDGEK A6TIVITY LISTING PAGE 632 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00377 02/09 CR 08/20/08 0002103 VSI Rcpt#: 000032033 RECTRAC 08/20/08 98 CR 00377 02/09 CR 08/20/08 0002104 VSI Rcpt#: 000032042 RECTRAC 08/20/08 98 CR 00377 02/09 CR 08/20/08 0002105 VSI Rcpt#: 000032054 RECTRAC 08/20/08 98 CR 00391 02%09 CR 08/22/08 0002207 VSI Rcpt#: 000032087 RECTRAC 08/22/08 98 CR 00391 02/09 CR 08/22/08 0002208 VSI Rcpt#: 000032089 RECTRAC 08/22/08 98 CR 00391 02/09 CR 08/22/08 0002209 VSI Rcpt#: 000032096 RECTRAC 08/22/08 98 CR 00397 02/09 CR 08/25/08 0002282 VSI Rcpt#: 000032101 RECTRAC 08/25/08 98 CR 00397 02/09 CR 08/25/08 0002283 VSI Rcpt#: 000032102 RECTRAC 08/25/08 98 CR 00397 02/09 CR 08/25/08 0002284 VSI Rcpt#: 000032118 RECTRAC 08/25/08 98 CR 00404 02/09 CR 08/26/08 0002330 VSI Rcpt#: 000032128 RECTRAC 08/26/08 98 CR 00404 02/09 CR 08/26/08 0002331 VSI Rcpt#: 000032135 RECTRAC 08/26/08 98 CR 00404 02/09 CR 08/26/08 0002332 VSI Rcpt#: 000032138 RECTRAC 08/26/08 98 CR 00404 02/09 CR 08/26/08 0002333 VSI Rcpt#: 000032139 RECTRAC 08/26/08 98 CR 00404 02/09 CR 08/26/08 0002334 VSI Rcpt#: 000032141 RECTRAC 08/26/08 98 CR 00420 02/09 CR 08/27/08 0002371 VSI Rcpt#: 000032145 RECTRAC 08/27/08 98 CR 00420 02/09 CR 08/27/08 0002372 VSI Rcpt#: 000032155 RECTRAC 08/27/08 98 CR 00420 02/09 CR 08/27/08 0002373 VSI Rcpt#: 000032155 RECTRAC 08/27/08 98 CR 00420 02/09 CR 08/27/08 0002374 VSI Rcpt#: 000032155 RECTRAC 08/27/08 98 CR 00420 02/09 CR 08/27/08 0002375 VSI Rcpt#: 000032155 RECTRAC 08/27/08 98 CR 00420 02/09 CR 08/27/08 0002376 VSI Rcpt#: 000032156 RECTRAC 08/27/08 98 CR 00422 02/09 CR 08/28/08 0002444 VSI Rcpt#: 000032173 RECTRAC 08/28/08 98 CR 00422 02/09 CR 08/28/08 0002445 VSI Rcpt#: 000032182 RECTRAC 08/28/08 98 CR 00452 02/09 CR 08/29/08 0002524 VSI Rcpt#: 000032184 RECTRAC 08/29/08 98 CR 00452 02/09 CR 08/29/08 0002525 VSI Rcpt#: 000032196 RECTRAC 08/29/08 98 CR 00459 03/09 CR 09/02/08 0002605 VSI Rcpt#: 000032218 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 15.00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK ACTIVITY LISTING PAGE 633 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ----------------------------------------------------------------------------------------------------------=------------------------- FUND 101 General Fund BEGINNING GROUP 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 09/02/08' 98 CR 00459 03/09 CR 09/02/08 0002606 VSI Rcpt#: 000032224• 15.00 RECTRAC 09/02/08 98 CR 00459 03/09 CR 09/02/08 0002607 VSI Rcpt#: 000032224 15400 RECTRAC 09/02/08 98 CR 00459 03/09 CR 09/02/08 0002608 VSI Rcpt#: 000032244 35.00 RECTRAC 09/02/08.98 CR 00469 03/09 CR 09/03/08 0002731 VSI Rcpt#: 000032270 15.00 RECTRAC 09/03/08 98 'CR 00469 03/09 CR 09/03/08 0002732 VSI Rcpt#: 000032275 15.00 RECTRAC 09/03/08 98 CR 00469 03/09 CR 09/03/08 0002733 VSI Rcpt#: 000032278 15.00 RECTRAC 09/03/08 98 CR 00469 03/09 CR 09/03/08 0002734 VSI Rcpt#: 000032295 15.00 RECTRAC 09/03/08 98 CR 00475 '03/09 CR 09/04/08 0002822 VSI Rcpt#: 000032311 15.00 RECTRAC 09/04/08 98 CR 00475 03/09 CR 09/04/08 0002823 VSI Rcpt#: 000032312 15.00 RECTRAC 09/04/08 98 CR 00475 03/09 CR 09/04/08 0002824 VSI Rcpt#: 000032322 15.00 RECTRAC 09/04/08 98 CR 00475 03/09 CR 09/04/08 0002825 VSI Rcpt#: 000032322 15.00• RECTRAC 09/04/08 98 CR 00485 03/09 CR 09/05/08 0002925 VSI Rcpt#: 000032339 15.00 RECTRAC 09/05/08 98 CR 00485 03/09 CR 09/05/08 0002926 VSI Rcpt#: 000032339 15.00 RECTRAC 09/05/08 98 CR 00485 03/09 CR 09/05/08 0002927 VSI Rcpt#: 000032349 15.00 RECTRAC 09/05/08 98 CR 00485 03/09 CR 09/05/08 0002928 VSI Rcpt#: 000032350 15.00 RECTRAC 09/05/08 98 CR 00485 03/09 CR 09/05/08 0002929 VSI Rcpt#: 000032357 15.00 RECTRAC 09/05/08 98 CR 00485 03/09 CR 09/05/08 0002930 VSI Rcpt#: 000032358 15.00 RECTRAC 09/05/08 98 CR 00506 03/09 CR 09/08/08 0002988 VSI Rcpt#: 000032372 15.00 RECTRAC 09/08/08 98 CR 00544 03/09 CR 09/10/08 0003253 VSI Rcpt#: 000032449 15.00 RECTRAC 09/10/08 98 CR 00544 03/09 CR 09/10/08 0003254 VSI Rcpt#: 000032450 15.00 RECTRAC 09/10/08 98 CR 00551 03/09 CR 09/11/0.8 0003322' VSI Rcpt#: 000032463 15.00 RECTRAC 09/11/08 98 CR 00551 03/09 CR 09/11/08 0003323 VSI Rcpt#: 000032469 15.00 RECTRAC 09/11/08 98 CR 00551 03/09 CR 09/11/08 0003324 VSI Rcpt#: 000032474 15.00 RECTRAC 09/11/08 98 CR 00557 '03/09 CR 09/12/08 0003404 VSI Rept#: 000032492 15.00 RECTRAC 09/12/08 98 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER AUiIVITY LISTING PAGE 634 PROGRAM GN362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 00568 03/09 CR 09/16/08 0003550 VSI Rcpt#: 000032530 15.00 RECTRAC 09/16/08 98 CR 00574 03/09 CR 09/17/08 0003616 VSI Rcpt#: 000032535 15.00 RECTRAC 09/17/08 98 CR 00574 03/09 CR 09/17/08 0003617 VSI Rcpt#: 000032536 15.00 RECTRAC 09/17/08 98 CR 00574 03/09 CR 09/17/08 0003618 VSI Rcpt#: 000032533 15.00 RECTRAC 09/17/08 98 CR 00581 03/09 CR 09/18/08 0003692 VSI Rcpt#: 000032549 15.00 RECTRAC 09/18/08 98 CR 00581 03/09 CR 09/18/08 0003693 VSI Rcpt#: 000032551 15.00 RECTRAC 09/18/08 98 CR 00581 03/09 CR 09/18/08 0003694 VSI Rcpt#: 000032551 15.00 RECTRAC 09/18/08 98 CR 00633 03/09 CR 09/24/08 0003909 VSI Rcpt#: 000032676 15.00 RECTRAC 09/24/08 98 CR 00633 03/09 CR 09/24/08 0003910 VSI Rcpt#: 000032676 15.00 RECTRAC 09/24/08 98 CR 00644 03/09 CR 09/25/08 0003986 VSI Rcpt#: 000032695 15.00 RECTRAC' 09/25/08 98 CR 00650 03/09 CR 09/26/08 0004044 VSI Rcpt#: 000032697 15.00 RECTRAC 09/26/08 98 CR 00650 03/09 CR 09/26/08 0004045 VSI Rcpt#: 000032706 15.00 RECTRAC 09/26/08 98 CR 00650 03/09 CR 09/26/08 0004046 VSI Rcpt#: 000032707 15.00 RECTRAC 09/26/08 98 CR 00657 03/09 CR 09/29/08 0004109 VSI Rcpt#: 000032747 15.00 RECTRAC 09/29/08 98 CR 00664 03/09 CR 09/30/08 0004167 VSI Rcpt#: 000032755 15.00 RECTRAC 09/30/08 98 CR 00692 04/09 CR 10/01/08 0004243 VSI Rcpt#: 000032775 15.00 RECTRAC 10/01/08 98 CR 00692 04/09 CR 10/01/08 0004244 VSI Rcpt#: 000032784 15.00 RECTRAC 10/01/08 98 CR 00692 04/09 CR 10/01/08 0004253 FITNESS CARD-ROSA 15.00 RECTRAC 10/01/08 98 CR 00706 04/09 CR 10/02/08 0004340 VSI Rcpt#: 000032809 15.00 RECTRAC 10/02/08 98 CR 00706 04/09 CR 10/02/08 0004341 VSI Rcpt#: 000032809 15.00 RECTRAC 10/02/08 98 CR 00713 04/09 CR 10/03/08 0004390 VSI Rcpt#: 000032823 15.00 RECTRAC 10/03/08 98 CR 00713 04/09 CR 10/03/08 0004391 VSI Rcpt#: 000032824 15.00 RECTRAC 10/03/08 98 CR 00713 04/09 CR 10/03/08 0004392 VSI Rcpt#: 000032830 15.00 RECTRAC 10/03/08 98 CR 00731 .04/09 CR 10/06/08 0004458 VSI Rcpt#: 000032846 15.00 RECTRAC 10/06/08 98 CR 00731 04/09 CR 10/06/08 0004459 VSI Rcpt#: 000032859 15.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AuiIVITY LISTING FAUt 635 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 101-3000-342.76-00 Charges for Services / Boys 8 Girl Fitness Card RECTRAC 10/06/08 98 CR 00752 04/09 CR 10/08/08 0004586 VSI Rcpt#: 000032919 15.00 RECTRAC 10/08/08 98 CR 00752 04/09 CR 10/08/08 0004587 VSI Rcpt#: 000032953 15.00 RECTRAC 10/08/08 98 CR 00752 04/09 CR 10/08/08 0004588 VSI Rcpt#: 000032953 15.00 - RECTRAC 10/08/08 98 CR 00760 04/09 CR 10/09/08 0004642 VSI Rcpt#: 000032963 15.00 RECTRAC 10/09/08 98 CR 00825 04/09 CR 10/15/08 0005012 VSI Rcpt#: 000033058 15.00 RECTRAC 10/15/08 98 CR 00831 04/09 CR 10/16/08 0005094 VSI Rcpt#: 000033068 15.00 RECTRAC 10/16/08 98 CR 00831 04/09 CR 10/16/08 0005095 VSI Rcpt#: 000033088 15.00 RECTRAC 10/16/08 98 CR 00858 04/09 CR 10/20/08 0005222 VSI Rcpt#: 000033108 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 10/20/08 0005223 VSI Rcpt#: 000033112 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 10/20/08 0005224 VSI Rcpt#: 000033112 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 1.0/20/08 0005225 VSI Rcpt#: 000033116 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 10/20/08 0005226 VSI Rcpt#: 000033124 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 10/20/08 0005227 VSI Rcpt#: 000033125 15.00 RECTRAC 10/20/08 98 CR 00858 04/09 CR 10/20/08 0005228 'VSI Rcpt#: 000033125 15.00 RECTRAC 10/20/08 98 CR 00884 04/09 CR 10/22/08 0005372 VSI Rcpt#: 000033172 15.00 RECTRAC. 10/22/08 98 CR 00884 04/09 CR 10/22/08 0005373 VSI Rcpt#: 000033172 15.00 RECTRAC 10/22/08 98 CR 00917 04/09 CR 10/24/08 0005512 VSI Rcpt#.: 000033222 15.00 RECTRAC 10/24/08 98 CR 00946 04/09 CR 10/29/08 0005737 VSI Rcpt#:•000033279 15.00 RECTRAC 10/29/08 98 CR 00946 04/09 CR 10/29/08 0005738 VSI Rcpt#: 000033281 15.00 RECTRAC 10/29/08 98 CR 00953 04/09 CR 10/30/08 0005784 VSI Rcpt#: 000033329 15.00 RECTRAC 10/30/08 98 CR 01004 05/09 CR 11/04/08 0005986 VSI Rcpt#: 000033400 15.00 RECTRAC 11/04/08 98 CR 01004 05/09 CR 11/04/08 0005987. VSI Rcpt#: 000033400 .15.00 RECTRAC 11/04/08 98 CR 01011 05/09 CR 11/05/08 0006081 VSI Rcpt#: 000033435 15.00 RECTRAC 11/05/08 98 CR 01011 05/09 CR 11/05/08 0006082 VSI Rcpt#: 000033441 15.00 RECTRAC 11/05/08 98 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk A6iIVITY LISTING PAGE 636 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01011 05/09 CR 11/05/08 0006083 VSI Rcpt#: 000033441 15.00 RECTRAC 11/05/08 98 CR 01018 •05/09 CR 11/06/08 0006217 VSI Rcpt#: 000033476 15.00 RECTRAC 11/06/08 98 CR 01089 05/09 CR 11/12/08 0006477 VSI Rcpt#: 000033589 15.00 RECTRAC 11/12/08 98 CR 01098 05/09 CR 11/13/08 0006538 VSI Rcpt#: 000033606 15.00 RECTRAC 11/13/08 98 CR 01098 05/09 CR 11/13/08 0006539 VSI Rcpt#: 000033606 15.00 RECTRAC 11/13/08 98 CR 01105 05/09 CR 11/14/08 0006636 VSI Rcpt#: 000033633 15.00 RECTRAC 11/14/08 98 CR 01115 05/09 CR 11/17/08 0006698 VSI Rcpt#: 000033668 15.00 RECTRAC 11/17/08 98 CR 01115 05/09 CR 11/37/08 0006699 VSI Rcpt#: 000033669 15.00 RECTRAC 11/17/08 98 CR 01115 05/09 CR 11/17/08 0006700 VSI Rcpt#: 000033692 15.00 RECTRAC 11/17/08 98 CR 01122 05/09 CR 11/18/08 0006760 VSI Rcpt#: 000033719 15.00 RECTRAC 11/18/08 98 CR 01122 05/09 CR 11/18/08 0006761 VSI Rcpt#: 000033719 15.00 RECTRAC 11/18/08 98 CR 01122 .05/09 CR 11/18/08 0006762 VSI Rcpt#: 000033721 15.00 RECTRAC 11/18/08 98 CR 01122 05/09 CR 11/18/08 0006763 VSI Rcpt#: 000033721 15.00 RECTRAC 11/18/08 98 ' CR 01129 05/09 CR 11/19/08 0006871 VSI Rcpt#: 000033724 35.00 RECTRAC 11/19/08 98 CR 01129 05/09 CR 11/19/08 0006872 VSI Rcpt#: 000033724 35.00 RECTRAC 11/19/08 98 CR 01129 05/09 CR 11/19/08 0006873 VSI Rcpt#: 000033740 15.00 RECTRAC 11/19/08 98 CR 01129 05/09 CR 11/19/08 0006874 VSI Rcpt#: 000033743 35.00 RECTRAC 11/19/08 98 CR 01136 05/09 CR 11/20/08 0006941 VSI Rcpt#: 000033780 15.00 RECTRAC 11/20/08 98 CR 01136 05/09 CR 11/20/08 0006942 VSI Rcpt#: 000033791 15.00 RECTRAC 11/20/08 98 CR 01136 05/09 CR 11/20/08 0006943 VSI Rcpt#: 000033791 15.00 RECTRAC 11/20/08 98 CR 01143 05/09 CR 11/21/08 0007020 VSI Rcpt#: 000033798 15.00 RECTRAC 11/21/08 98 CR 01160 05/09 CR 11/25/08 0007155 VSI Rcpt#: 000033844 15.00 RECTRAC 11/25/08 98 CR 01160 05/09 CR 11/25/08 0007156 VSI Rcpt#: 000033844 15.00 RECTRAC 11/25/08 98 CR 01160 05/09 CR 11/25/08 0007157 VSI Rcpt#: 000033837 15.00 RECTRAC 11/25/08 98 CR 01172 06/09 CR 12/01/08 0007280 VSI Rcpt#: 000033900 15.00 PREPARED ual'12/2010, 9:26:27 GENERAL LEDGE6 -- IVITY LISTING PAGE 637 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 RECTRAC 12/01/08 98 CR 01185 06/09 CR 12/02/08 0007322 VSI Rcpt#: 000033912 15.00 RECTRAC . 12/02/08 98 CR 01185 06/09 CR 12/02/08 0007323 VSI Rcpt#: 000033918 15.00 RECTRAC 12/02/08 98 CR 01185 06/09 CR 12/02/08 0007324 VSI Rcpt#: 000033919 15.00 RECTRAC 12/02/08 98 CR 01226 06/09 CR 12/04/08 0007466 VSI Rcpt#: 000033980 15.00 RECTRAC 12/04/08 98 CR 01226 06/09 CR 12/04/08 0007467 VSI Rcpt#: 000033983 15.00 RECTRAC 12/04/08 98 'CR 01226 06/09 CR 12/04/08 0007468 VSI Rcpt#: 000033991 15.00 RECTRAC 12/04/08 98 CR 01233 06/09 CR 12/05/08 0007542 VSI Rcpt#: 000034000 15.00 RECTRAC 12/05/08 98 CR 01252 06/09 CR 12/09/08 0007623 VSI Rcpt#: 000034032 15.00 RECTRAC 12/09/08 98 CR 01302 06/09 CR 12/10/08 0007725 VSI Rcpt#: 000034052 35.00 RECTRAC 12/10/08 98 CR 01310 06/09 CR 12/11/08 0007809 VSI Rcpt#: 000034076 .35.00 RECTRAC 12/11/08 98 CR 01310 06/09 CR 12/11/08 0007810 VSI Rcpt#: 000034076 35.00 RECTRAC 12/11/08 98 CR 01317 06/09 CR 12/12/08 0007849 VSI Rcpt#: 000034090 15.00 RECTRAC 12/12/08 98 CR 01317 06/09 CR 12/12/08 0007850 VSI Rcpt#: 000034090 15.00 RECTRAC 12/12/08 98 CR 01323 06/09 CR 12/15/08 0007933 VSI Rcpt#: 00.0034114 15.00 RECTRAC 12/15/08 98 CR 01323 06/09 CR 12/15/08 0007934 VSI.Rcpt#: 000034114 15.00 RECTRAC 12/15/08 98 CR 01330 06/09 CR 12/16/08 0008034 VSI Rcpt#: 000034178 15.00 RECTRAC 12/16/08 98 CR 01330 06/09 CR 12/16/08 0008035 VSI Rcpt#: 000034178 15.00 RECTRAC 12/16/08 98 CR 01337 06/09 CR 12/17/08 0008119 VSI Rcpt#: 000034196 15.00 RECTRAC 12/17/08 98 CR 01337 06/09 CR 12/17/08 0008120 VSI Rcpt#: 000034224 15.00 RECTRAC 12/17/08 98 CR 01337 06/09 CR 12/17/08 0008121 VSI Rcpt#: 000034226 15.00 RECTRAC 12/17/08 98 CR 01393 06/09 CR 12/19/08 0008488 VSI Rcpt#: 000034356 15.00 RECTRAC 12/19/08 98 CR 01400 06/09 CR 12/22/08 0008544 VSI Rcpt#: 000034361 15.00 RECTRAC 12/22/08 98 CR 01407 06/09 CR 12/23/08 0008575 VSI Rcpt#: 000034387 15.00 RECTRAC 12/23/08 98 CR 01422 06/09 CR 12/29/08 0008684 VSI Rcpt#: 000034449 15.00. RECTRAC 12/29/08 98 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUiIVITY LISTING PAGE 638 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA -----------------------------------------------------------------------------------------------------------•------------------------- FUND 101 General Fund BEGINNING GROUP 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 01428 06/09 CR 12/30/08 0008745 VSI Rcpt#: 000034457 15.00 RECTRAC 12/30/08 98 CR 01428 06/09 CR 12/30/08 0008746 VSI Rcpt#: 000034457 15.00 RECTRAC 12/30/08.98 CR 01442 07/09 CR 01/05/09 0008876 VSI Rcpt#: 000034524 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008877 VSI Rcpt#: 000034542 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008878 VSI Rcpt#: 000034550 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008879 VSI Rcpt#: 000034574 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008880 VSI Rcpt#: 000034574 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008881 VSI Rcpt#: 000034564 15.00 RECTRAC 01/05/09 98 CR 01442 07/09 CR 01/05/09 0008882 VSI Rcpt#: 000034596 15.00 RECTRAC 01/05/09 98 CR 01479 07/09 CR 01/06/09 0008965 VSI Rcpt#: 000034619 15.00 RECTRAC 01/06/09 98 CR 01479 07/09 CR 01/06/09 0008966 VSI Rcpt#: 000034608 15.00 RECTRAC 01/06/09 98 CR 01486 07/09 CR 01/07/09 0009051 VSI Rcpt#: 000034672 15.00 RECTRAC 01/07/09 98 CR 01486 07/09 CR 01/07/09 0009052 VSI Rcpt#: 000034652 15.00 RECTRAC 01/07/09 98 CR 01493 07/09 CR 01/08/09 0009098 VSI Rcpt#: 000034691 15.00 RECTRAC 01/08/09 98 CR 01493 07/09 CR 01/08/09 0009099 VSI Rcpt#: 000034704 15.00 RECTRAC 01/08/09 98 CR 01493 07/09 CR 01/08/09 0009100 VSI Rcpt#: 000034704 15.00 RECTRAC 01/08/09 98 CR 01494 07/09 CR 01/09/09 0009187 VSI Rcpt#: 000034750 15.00 RECTRAC 01/09/09 98 CR 01506 07/09 CR 01/12/09 0009378 VSI Rcpt#: 000034760 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR•01/12/09 0009379 VSI Rcpt#: 000034777 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009380 VSI Rcpt#: 000034784 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009381 VSI Rcpt#: 000034785 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009382 VSI Rcpt#: 000034789 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009383 VSI Rcpt#: 000034790 15.00 RECTRAC 01/12/09 98 CR 01506 07/09 CR 01/12/09 0009384 VSI Rcpt#: 000034805 15.00 RECTRAC 01/12/09 98 CR 01514 07/09 CR 01/13/09 0009455 VSI Rcpt#: 000034815 15.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AciIVITY LISTING PAGE 639 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 RECTRAC 01/13/09 98 CR 01514 07/09 CR 01/13/09 0009456 VSI Rcpt#: 000034816 15.00 RECTRAC 01/13/09 98 CR 01543 07/09 CR 01/14/09 0009541 VSI Rcpt#: 000034855 15.00 RECTRAC 01/14/09 98 CR 01543 07/09 CR 01/14/09 0009542 VSI Rcpt#: 000034860 15.00 RECTRAC 01/14/09 98 CR 01543 07/09 CR 01/14/09 0009543 VSI Rcpt#: 000034863 15.00 RECTRAC 01/14/09.98 CR 01549 07/09 CR 01/15/09 0009618 VSI Rcpt#: 000034871 15.00 RECTRAC 01/15/09 98 CR 01549 07/09 CR 01/15/09 0009619 VSI Rcpt#: 000034875 15.00 RECTRAC 01/15/09 98 CR 01549 07/09 CR 01/15/09 0009620 VSI Rcpt#: 000034877 15.00. RECTRAC 01/15/09 98 CR 01549 07/09 CR 01/15/09 0009621 VSI Rcpt#: 000034877 15.00 RECTRAC 01/15/09 98 CR 01549 07/09 CR 01/15/09 0009622. VSI Rcpt#: 000034894 15.00 RECTRAC 01/15/09 98 CR 01556 07/09 CR 01/16/09 0009700 VSI Rcpt#: 000034908 15.00 RECTRAC 01/16/09 98 CR 01556 07/09 CR 01/16/09 0009701 VSI Rcpt#: 000034911 15.00 RECTRAC 01/16/09 98 CR 01556 07/09 CR 01/16/09 0009702 VSI Rcpt#: 000034916 15.00 RECTRAC 01/16/09 98 CR 01556. 07/09 CR 01/16/09 0009703 VSI Rcpt#: 000034918 15.00 RECTRAC 01/16/09 98 CR 01556 07/09 CR 01/16/09 0009704 VSI Rcpt#: 000034936 15.00 RECTRAC 01/16/09 98 CR 01556 07/09 CR 01/16/09 0009705 VSI Rcpt#: 000034936 15.00 RECTRAC 01/16/09 98 CR 01562 07/09 CR 01/20%09 0009801 VSI Rcpt#: 000034943 15.00 RECTRAC 01/20/09 97 CR 01599 07/09 CR 01/22/09 0009961 VSI Rcpt#: 000035031 15.00 RECTRAC 01/22/09 98 CR 01599 07/09 CR 01/22/09 0009962 VSI Rcpt#: 000035031 15.00 RECTRAC 01/22/09 98 CR 01613 07/09 CR 01/26/09 0010132 VSI Rcpt#: 000035102 15.00 RECTRAC 01/26/09.98 CR 01613 07/09 CR 01/26/09 0010133 VSI Rcpt#: 000035123 15.00 RECTRAC 01/26/09 98 CR 01634 07/09 CR 01/27/09 0010219 VSI Rcpt#: 000035128 15.00 RECTRAC 01/27/09 98 CR 01634 07/09 CR 01/27/09 0010220 VSI Rcpt#: 000035143 15.00 ' RECTRAC 01/27/09 98 CR 01634 07/09 CR 01/27/09 0010221 VSI Rcpt#: 000035153 15.00 RECTRAC 01/27/09 98 CR 01634 07/09 CR 01/27/09 0010222 VSI Rcpt#: 000035153 15.00 RECTRAC 01/27/09 98 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AuiIVITY LISTING YAUE 640 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01641 07/09 CR 01/28/09 0010308 VSI Rcpt#: 000035156 15.00 RECTRAC 01/28/09 98 CR 01641 07/09 CR 01/28/09 0010309 VSI Rcpt#: 000035168 15.00 'RECTRAC 01/28/09 98 CR 01648 07/09 CR 01/29/09 0010466 VSI Rcpt#: 000035214 15.00 RECTRAC 01/29/09 98 CR 01655 07/09 CR 01/30/09 0010558 VSI Rcpt#: 000035262 15.00 RECTRAC 01/30/09 98 CR 01655 07/09 CR 01/30/09 0010559 VSI Rcpt#: 000035262 15.00 ' RECTRAC 01/30/09 98 CR 01655 07/09 CR 01/30/09 0010560 VSI Rcpt#: 000035266 15.00 RECTRAC 01/30/09 98 CR 01655 07/09 CR 01/30/09 0010561 VSI Rcpt#: 000035275 15.00 RECTRAC 01/30/09 98 CR 01655 07/09 CR 01/3'0/09 0010562 VSI Rcpt#: 000035276 15.00 RECTRAC 01/30/09 98 CR 01655 07/09 CR 01/30/09 0010563 VSI Rcpt#: 000035284 15.00 RECTRAC 01/30/.09 98 CR 01678 08/09 CR 02/02/09 0010670 VSI Rcpt#: 000035297 15.00 RECTRAC 02/02/09 98 CR 01704 08/09 CR 02/03/09 0010749 VSI Rcpt#: 000035392 15.00 RECTRAC 02/03/09 98 CR 01711 08/09 CR 02/04/09 0010918 VSI Rcpt#: 000035411 15.00 RECTRAC 02/04/09 97 CR 01711 08/09 CR 02/04/09 0010919 VSI Rcpt#: 000035422 15.00 RECTRAC 02/04/09 97 CR 01734 08/09 CR 02/05/09 0011021 VSI Rcpt#: 000035459 15.00 RECTRAC 02/05/09 98 CR 01734 08/09 CR 02/05/09 0011022 VSI Rcpt#: 000035482 15.00 RECTRAC 02/05/09 98 CR 01740 08/09 CR 02/06/09 0011105 VSI Rcpt#: 000035498 15.00 RECTRAC 02/06/09 98 CR 01740 08/09 CR 02/06/09 0011106 VSI Rcpt#: 000035499 15.00 RECTRAC 02/06/09 98 CR 01740 08/09 CR 02/06/09 0011107 VSI Rcpt#: 000035499 15.00 RECTRAC 02/06/09 98 CR 01747 08/09 CR 02/09/09 0011297 VSI Rcpt#: 000035517 15.00 RECTRAC 02/09/09 98 CR 01747 08/09 CR 02/09/09 0011298 VSI Rcpt#: 000035530 15.00 RECTRAC 02/09/09 98 CR 01771 08/09 CR 02/10/0.9 0011374 VSI Rcpt#: 000035549 15.00 RECTRAC 02/10/09 98 CR 01771 08/09 CR 02/10/09 0011375 VSI Rcpt#: 000035555 15.00 RECTRAC 02/10/09 98 CR 01771 08/09 CR 02/10/09 0011376 VSI Rcpt#: 000035560 15.00 RECTRAC 02/10/09 98 CR 01771 08/09 CR.02/10/09 0011377 VSI Rcpt#: 000035561 15.00 RECTRAC 02/10/09 98 CR 01777 08/09 CR 02/11/09 0011478 VSI Rcpt#: 000035593 15.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER N6iIVITY LISTING rAVt 641 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02/11/09 98 CR 01777 08/09 CR, 02/11/09 0011479 VSI Rcpt#: 000035595 15.00 RECTRAC 02/11/09 98 CR 01785 08/09 CR 02/13/09 0011527 ROBERT WAYMAN-FITNESS CAR 15.00 MMENDOZA 02/13/09 01 CR 01785 08/09 CR 02/13/09 0011572 COMM SRVC DEP 85.00 MMENDOZA 02/13/09 01 CR 01818 08/09 CR 02/17/09 0011589 FITNESS CARD-VERMA 15.00 MMENDOZA 02/17/09 01 CR 01818 08/09 CR 02/17/09 0011590 FITNESS CARD/RES CARD 15.00 MMENDOZA 02/17/09 01 CR 01823 08/09 CR 02/17/09 0011720 VSI Rcpt#: 000035690• 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011721 VSI Rcpt#: 000035685 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011722 VSI Rcpt#: 000035690 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011723 VSI Rcpt#: 000035693 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011724 VSI Rcpt#: 000035697 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011725 VSI Rcpt#: 000035732 15.00 RECTRAC 02/17/09 97 CR 01823 08/09 CR 02/17/09 0011726 VSI Rcpt#: 000035732 15.00 RECTRAC 02/17/09 97 CR 01830 08/09 CR 02/18/09 0011818 VSI Rcpt#: 000035741 15.00 RECTRAC 02/18/09 98 CR 01830 08/09 CR 02/18/09 0011819 VSI Rcpt#: 000035744 15,00 RECTRAC 02/18/09 98 CR 01849 08/09 CR 02/19/09 0011899 VSI Rcpt#: 000035804 15.00 RECTRAC 02/19/09 98 CR 01849 08/09 CR 02/19/09 0011900 VSI Rcpt#: 000035804 15.00 RECTRAC 02/19/09 98 CR 01849 08/09 CR 02/19/09 0011901 VSI Rcpt#: 000035811 15.00 RECTRAC 02/19/09 98 CR 01849 08/09 CR 02/19/09 0011902 VSI Rcpt#: 000035809 15.00 RECTRAC 02/19/09 98 CR 01849 08/09 CR 02/19/09 0011903 VSI Rcpt#: 000035819 15.00 RECTRAC 02/19/09 98 CR 01849 08/09 CR 02/19/09 0011904 VSI Rcpt#: 000035819 15.00 RECTRAC 02/19/09 98 CR 01857 08/09 CR 02/20/09 0012013 VSI Rcpt#: 000035853 15.00 RECTRAC 02/20/09 98 CR 01857 08/09 CR 02/20/09 0012014 VSI Rcpt#: 000035850 15.00 - RECTRAC 02/20/09 98 CR 01857 08/09 CR 02/20/09 0012015 VSI Rcpt#: 000035853 15.00 RECTRAC 02/20/09 98 CR 01864 08/09 CR 02/23/09 0012078 VSI Rcpt#: 000035893 15.00 RECTRAC 02/23/09 98 PREPARED wa.12/2010, 9:26:27 GENERAL LEDGER H6:'IVITY LISTING VAVE 642 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01864 08/09 CR 02/23/09 0012079 VSI Rcpt#: 000035900 15.00 RECTRAC 02/23/09 98 CR 01864 08/09 CR 02/23/09 0012080 VSI Rcpt#: 000035905 15.00 RECTRAC 02/23/09 98 CR 01864 08/09 CR 02/23/09 0012081 VSI Rcpt#.: 000035905 15.00 RECTRAC 02/23/09 98 CR 01870 08/09 CR 02/24/09 0012175 VSI Rcpt#: 000035923 15.00 RECTRAC 02/24/09 98 CR 01870 08/09 CR 02/24/09 0012176 VSI Rcpt#: 000035936 35.00 RECTRAC 02/24/09 98 CR 01894 08/09 CR 02/25/09 0012278 VSI Rcpt#: 000036004 15.00 RECTRAC 02/25/09 98 CR 01894 08/09 CR 02/25/09 0012279 VSI Rcpt#: 000036005 15.00 RECTRAC 02/25/09 98 CR 01901 08/09 CR 02/26/09 0012353 VSI Rcpt#: 000036027 35.00 RECTRAC 02/26/09 98 CR 01901 08/09 CR 02/26/09 0012354 VSI Rcpt#: 000036030 15.00 RECTRAC 02/26/09 98 CR 01910 08/09 CR 02/27/09 0012419 VSI Rcpt#: 000036050 .15.00 RECTRAC 02/27/09 98 CR 01910 08/09 CR 02/27/09 0012420 VSI Rcpt#: 000036051 15.00 RECTRAC 02/27/09 98 CR 01924 09/09 CR.03/02/09 0012548 VSI Rcpt#: 000036099 • 15.00 RECTRAC 03/02/09 98 CR 01924 09/09 CR 03/02/09 0012549 VSI Rcpt#: 000036100 15.00 RECTRAC 03/02/09 98 CR 01924 09/09 CR 03/02/09 0012550 VSI Rcpt#: 000036110 15.00 RECTRAC 03/02/09 98 CR 01952 09/09 CR 03/04/09 0012714 VSI Rcpt#: 000036159 15.00 RECTRAC 03/04/09 98 CR 01952 09/09 CR 03/04/09 0012715 VSI Rcpt#: 000036204 15.00 RECTRAC 03/04/09 98 CR 01997 09/09 CR 03/05/09 0012833 VSI Rcpt#: 000036221 15.00 RECTRAC 03/05/09 98 CR 02004 09/09 CR 03/06/09 0012931 VSI Rcpt#: 000036242 15.00 RECTRAC 03/06/09 98 CR 02004 09/09 CR 03/06/09 0012932 VSI Rcpt#: 000036243 15.00 RECTRAC 03/06/09 98 CR 02010 09/09 CR 03/09/09 0013022 VSI Rcpt#: 000036264 15.00 RECTRAC 03/09/09 98' CR 02010 09/09 CR 03/09/09 0013023 VSI Rcpt#: 000036261 15.00 RECTRAC 03/09/09 98 CR 02010 09/09 CR 03/09/09 0013024 VSI Rcpt#: 000036283 15.00 RECTRAC '03/09/09 98 CR 02018 09/09 CR 03/10/09 0013077 VSI Rcpt#: 000036292 15.00 RECTRAC 03/10/09 99 CR 02025 09/09 CR 03/11/09 0013115 VSI Rcpt#: 000036308 15.00 RECTRAC 03/11/09 99 CR 02025 09/09 CR 03/11/09 0013116 VSI Rcpt#: 000036308 15.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUi'IVITY LISTING PAGE 643 PROGRAM' GM362LA CITY OF LA QUINTA, CALIFORNIA -----------------------------------.-----------------------------------------------------------------------=------------------------- FUND 101 General Fund BEGINNING GROUP 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 03/11/09 99 CR 02044 09/09 CR 03/16/09 0013349 VSI Rcpt#: 000036355 15.00 RECTRAC 03/16/09 99 CR 02044 09/09 CR 03/16/09 0013350 VSI Rcpt#: 000036361 15.00 RECTRAC 03/16/09 99 CR 02051 09/09 CR 03/17/09 0013430 VSI Rcpt#: 000036390 15.00 RECTRAC 03/17/09 98 CR 02073 09/09 CR 03/18/09 0013504 VSI Rcpt#: 000036424 15.00 RECTRAC 03/18/09 98 CR 02080 09/09 CR 03/19/09 0013595 VSI Rcpt#: 000036456 15.00 RECTRAC 03/19/09 98 CR 02088 09/09 CR 03/20/09 0013693 VSI Rcpt#: 000036464 15.00 RECTRAC 03/20/09 98 CR 02088 09/09 CR 03/20/09 0013694 VSI Rcpt#: 000036462 15.00 RECTRAC 03/20/09 98 CR 02088 09/09 CR 03/20/09 0013695 VSI Rcpt#: 000036480 15.00 RECTRAC 03/20/09 98 CR 02088 09/09 CR 03/20/09 0013696 VSI Rcpt#: 000036485 15.00 RECTRAC 03/20/09 98 CR 02094 09/09 CR 03/23/09 0013774 VSI Rcpt#: 000036507 15.00 RECTRAC 03/23/09 98 CR 02094 09/09 CR 03/23/09 0013775 VSI Rcpt#: 000036509 15.00 RECTRAC 03/23/09 98 CR 02094 09/09 CR 03/23/09 0013776 VSI Rcpt#: 000036521 15.00 RECTRAC 03/23/09 98 CR 02094 09/09 CR 03/23/09 0013777 VSI Rcpt#: 000036521 15.00 RECTRAC 03/23/09 98 CR 02112 09/09 CR 03/25/09 0013913 VSI Rcpt#: 000036568 15.00 RECTRAC 03/25/09 98 CR 02142 09/09 CR 03/27/09 0014078 VSI Rcpt#: 000036610 15.00 RECTRAC 03/27/09 98 CR 02142 09/09 CR 03/27/09 0014079 VSI Rcpt#: 000036620 15.00 RECTRAC 03/27/09 98 CR 02142 09/09 CR 03%27/09 0014080 VSI Rcpt#: 000036620 15.00 RECTRAC 03/27/09 98 CR 02149 09/09 CR 03/30/09 0014158 VSI Rcpt#: 000036652 15.00 RECTRAC 03/30/09 98 CR 02149 09/09 CR 03/30/09 0014159 VSI Rcpt#: 000036652 15._00 RECTRAC 03/30/09 98 CR 02149 09/09 CR 03/30/09 0014160 VSI Rcpt#: 000036666 15.00 RECTRAC 03/30/09 98 CR 02149 09/09 CR 03/30/09 0014161 VSI Rcpt#: 000036673 15.00 RECTRAC 03/30/09 98 CR 02156 09/09 CR 03/31/09 0014237 VSI Rcpt#: 000036689 15.00 RECTRAC 03/31/09 98 CR 02186 10/09 CR 04/01/09 0014412 VSI Rcpt#: 000036730 15.00 RECTRAC 04/01/09 98 CR 02209 10/09 CR -04/06/09 0014641 VSI Rcpt#: 000036812 15.00 RECTRAC 04/06/09 98 PREPARED u0.12/2010, .9:26:27 GENERAL LEDGER NtiIVITY LISTING VAUt 644 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02209 10/09 CR 04/06/09 0014642 VSI Rcpt#: 000036816 15.00 RECTRAC 04/06/09 98 CR 02209 10/09 CR 04/06/09 0014643 VSI Rcpt#: 000036818 15.00 RECTRAC 04/06/09 98 CR 02209 10/09 CR 04/06/09 0014644 VSI Rcpt#: 000036830 15.00 RECTRAC 04/06/09 98 CR 02225 10/09 CR 04/08/09 0014843 VSI Rcpt#: 000036893 15.00 RECTRAC 04/08/09 98 CR 02251 10/09 CR 04/10/09 0015044 VSI Rcpt#: 000036954 15.00 ' RECTRAC 04/10/09 98 CR 02251 10/09 CR 04/10/09 0015045 VSI Rcpt#: 000036968 15.00 RECTRAC 04/10/09 98 CR 02251 10/09 CR 04/10/09 0015046 VSI Rcpt#: 000036973 15.00 RECTRAC 04/10/09 98 CR 02251 10/09 CR 04/10/09 0015047 VSI Rcpt#: 000036975 15.00 RECTRAC 04/10/09 98 CR 02287 10/09 CR 04/14/09 0015169 VSI Rcpt#: 000037011 15.00 RECTRAC 04/14/09 98 CR 02294 10/09 CR 04/15/09 0015263 VSI Rcpt#: 000037048 15.00 RECTRAC 04/15/09 98 CR 02300 10/09 CR 04/16/09 0015327 VSI Rcpt#: 000037078 15.00 RECTRAC 04/16/09 98 CR 02300 '10/09 CR 04/16/09 0015328 VSI Rcpt#: 000037078 15.00 RECTRAC 04/16/09 98 CR 02313 10/09 CR 04/20/09 0015514 VSI Rcpt#: 000037143 15.00 RECTRAC 04/20/09 98 - CR 02313 10/09 CR 04/20/09 0015515 VSI Rcpt#: 000037143 15.00 RECTRAC 04/20/09 98 CR 02313 10/09 CR 04/20/09 0015516 VSI Rcpt#: 000037143 15.00 RECTRAC 04/20/09 98 CR 02363 10/09 CR 04/23/09 0015749 VSI Rcpt#: 000037239 15.00 RECTRAC 04/23/09 98 CR 02363 10/09 CR 04/23/09 0015750 VSI Rcpt#: 000037239 15.00 RECTRAC 04/23/09 98 CR 02363 10/09 CR 04/23/09 0015751 VSI Rcpt#: 000037245 15.00 RECTRAC 04/23/09 98 CR 02369 10/09 CR 04/24/09 0015809 VSI Rcpt#: 000037255 , 15.00 RECTRAC 04/24/09 98 CR 02369 10/09 CR 04/24/09 0015810 VSI Rcpt#: 000037259 15.00 RECTRAC 04/24/09 98 CR 02376 10/09 CR 04/27/09 0015858 VSI Rcpt#: 000037277 15.00 RECTRAC 04/27/09 98 CR 02376 10/09 CR 04/27/09 0015859 VSI Rcpt#: 000037275 15.00 RECTRAC 04/27/09 98 CR 02383 10/09 CR 04/28/09 0015957 VSI Rcpt#: 000037314 15.00 RECTRAC 04/28/09 98 CR 02383 10/09 CR 04/28/09 0015958 VSI Rcpt#: 000037315 15.00 RECTRAC 04/28/09 98 CR 02383 10/09 `CR 04/28/09 0015959 VSI Rcpt#: 000037323 15.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk ALAIVITY LISTING VAWh 645 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 04/28/09 98 CR 02396 10/09 CR 04/30/09 0016126 VSI Rcpt#: 000037398 15.00 RECTRAC 04/30/09 98 CR 02416 11/09 CR 05/01/09 0016284 VSI Rcpt#: 000037419 15.00 RECTRAC 05/01/09 98 CR 02416 11/09 CR 05/01/09 0016285 VSI Rcpt#: 000037420 15.00 RECTRAC 05/01/09 98 CR 02424 11/09 CR 05/05/09 0016341 FITNESS CARD-ALVAREZ 15.00 MMENDOZA 05/05/09 01 CR 02424 11/09 CR 05/05/09 0016344 COMM SRVC-DELOPEZ, GONZAL 100.00 MMENDOZA 05/05/09 01 CR 02433 11/09 CR 05/05/09 0016407 VSI Rcpt#: 000037485 15.00 RECTRAC 05/05/09 98 CR 02481 11/09 CR 05/06/09 0016484 VSI Rcpt#: 000037519 15.00 RECTRAC 05/06/09 98 CR 02481 11/09 CR 05/06/09 0016485 VSI Rcpt#: 000037520 15.00 RECTRAC 05/06/09 98 CR 02487 11/09 CR 05/07/09 0016518 VSI Rcpt#: 000037546 15.00 RECTRAC 05/07/09 98 CR 02487 11/09 CR 05/07/09 0016519 VSI Rcpt#: 000037546 15.00 RECTRAC 05/07/09 98 CR 02487 11/09 CR 05/07/09 0016520 VSI Rcpt#: 000037551 15.00 RECTRAC 05/07/09 98 CR 02491 11/09 CR 05/08/09 0016618 VSI Rcpt#: 000037569 15.00 RECTRAC 05/08/09 98 CR 02506 11/09 CR 05/12/09 0016729 VSI•Rcpt#: 000037605 15.00 RECTRAC 05/12/09 98 CR 02506 11/09 CR 05/12/09 0016730 VSI Rcpt#: 000037600 15.00 RECTRAC 05/12/09 98 CR 02506 11/09 CR 05/12/09 0016731 VSI Rcpt#: 000037601 15.00 RECTRAC 05/12/09 98 CR 02512 11/09 CR 05/13/09 0016818 VSI Rcpt#: 000037612 15.00 RECTRAC 05/13/09 98 CR 02519 11/09 CR 05/14/09 0016888 VSI Rcpt#: 000037664 15.00•" RECTRAC 05/14/09 98 CR 02519 11/09 CR 05/14/09 0016889 VSI Rcpt#: 000037670 20.00 'RECTRAC 05/14/09 98 CR 02519 11/09 CR 05/14/09 0016890 VSI Rcpt#: 000037648 15.00 RECTRAC 05/14/09 98 CR 02519 11/09 CR 05/14/09 0016891 VSI Rcpt#: 000037649 15.00 RECTRAC 05/14/09 98 CR 02519 11/09 CR 05/14/09 0016892 VSI Rcpt#: 000037650 15.00 RECTRAC 05/14/09 98 CR 02534 11/09 CR 05/15/09 0016971 VSI Rcpt#: 000037681 15.00 RECTRAC 05/15/09 98 CR 02534 11/09 CR 05/15/09 0016972 VSI Rcpt#: 000037681 15.00 RECTRAC 05/15/09 98 CR 02534 11/09 CR 05/15/09 0016973 VSI Rcpt#: 000037685 15.00 RECTRAC 05/15/09 98 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 646 PROGRAM GM362LA CITY OF LA ----------------------------------------------------- QUINTA, CALIFORNIA FUND 101 General Fund - ------------------------------------------------------------------ ------------ BEGINNING GROUP 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 02541 11/09 CR 05/18/09 0017104 VSI Rcpt#: 000037715 15.00 RECTRAC 05/18/09 98 CR 02541 11/09 CR 05/18/09 0017105 VSI Rcpt#: 000037743 15.00 RECTRAC 05/18/09 98 CR 02545 11/09 CR 05/19/09 0017148 VSI Rcpt#: 000037744 15.00 RECTRAC 05/19/09 98 CR 02545 11/09 CR 05/19/09 0017149 VSI Rcpt#: 000037765 35.00 RECTRAC 05/19/09 98 CR 02545 11/09 CR 05/19/09 0017150 VSI Rcpt#: 000037766 20.00 RECTRAC 05/19/09 98 CR 02559 11/09 CR 05/20/09 0017213 VSI Rcpt#: 000037783 15.00 RECTRAC 05/20/09 98 CR 02559 11/09 CR 05/20/09 0017214 VSI Rcpt#: 000037784 15.00 RECTRAC 05/20/09 98 CR 02607 11/09 CR 05/22/09 0017398 VSI Rcpt#: 000037828 15.00 RECTRAC 05/22/09 98 CR 02607 11/09 CR 05/22/09 0017399 VSI Rcpt#: 000037836 15.00 RECTRAC 05/22/09 98 CR 02607 11/09 CR 05/22/09 0017400 VSI Rcpt#: 000037842 15.00 RECTRAC 05/22/09 98 CR 02612 11/09 CR 05/26/09 0017475 VSI Rcpt#: 000037860 15.00' RECTRAC 05/26/09 98 CR 02612 11/09 CR 05/26/09 0017476 VSI Rcpt#: 000037860 15.00 RECTRAC 05/26/09 98 CR 02645 12/09 CR 06/01/09 0017840 VSI Rcpt#: 000037974 15.00 RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017841 VSI Rcpt#: 000037991 15.00 RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017842 VSI Rcpt#: 000038008 15.00 RECTRAC 06/01/09 98 CR 02645 12/09 CR 06/01/09 0017843 VSI Rcpt#: 000038008 15.00 RECTRAC 06/01/09 98 CR 02702 12/09 CR 06/04/09 0018111 VSI Rcpt#: 000038108 15.00 RECTRAC 06/04/09 98 CR 02706 12/09 CR 06/05/09 0018177 VSI Rcpt#: 000038127 15.00 RECTRAC 06/05/09 98 CR 02712 12/09 CR 06/08/09 0018246 VSI Rcpt#: 000038139 ' 15.00 RECTRAC 06/08/09 98 CR 02752 12/09 CR 06/11/09 0018386 VSI Rcpt#: 000038216 15.00 RECTRAC . 06/11/09 98 CR 02752 12/09 CR 06/11/09 0018387 VSI Rcpt#: 000038221 15.00 RECTRAC 06/11/09 98 CR 02752 12/09 CR 06/11/09 0018388 VSI Rcpt#: 000038221 15.00 RECTRAC 06/11/09 98 CR 02757 12/09 •CR 06/12/09 0018456 VSI Rcpt#: 000038249 15.00 RECTRAC 06/12/09 98 CR 02757 12/09 CR 06/12/09 0018457 VSI Rcpt#: 000038248 15.00 RECTRAC 06/12/09 98 CR 02757 12/09 CR 06/12/09 0018458 VSI Rcpt#: 000038248 15.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6iIVITY LISTING rAt7e 647 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 1 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 30.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 RECTRAC 06/12/09 98 CR 02764 12/09 CR 06/15/09 0018520 VSI Rcpt#: 000038260 RECTRAC 06/15/09 98 CR 02764 12/09 CR 06/15/09 0018521 VSI Rcpt#: 000038269 RECTRAC 06/15/09 98 CR 02764 12/09 CR 06/15/09 0018522 VSI Rcpt#: 000038254 RECTRAC 06/15/09 98 CR 02771 12/09 CR 06/16/09 0018573 VSI Rcpt#: 000038281 RECTRAC 06/16/09 98 CR 02771 12/09 CR 06/16/09 0018574 VSI Rcpt#: 000038282 RECTRAC 06/16/09 98 CR 02789 12/09 CR 06/19/09 0018701 VSI Rcpt#: 000038404 RECTRAC 06/19/09 97 CR 02789 12/09 CR 06/19/09 0018702 VSI Rcpt#: 000038406 RECTRAC 06/19/09 97 CR 02789 12/09 CR.06/19/09 0018703 VSI Rcpt#: 000038415 RECTRAC 06/19/09 97 CR 02812 12/09 CR 06/22/09 0018737 VSI Rcpt#: 000038427 RECTRAC 06/22/09 98 CR 02812 12/09 CR 06/22/09 0018738 VSI Rcpt#: 000038434 RECTRAC 06/22/09 98 CR 02812 12/09 CR 06/22/09 0018739 VSI Rcpt#: 000038433 RECTRAC 06/22/09 98 CR 02812 12/09 CR 06/22/09 0018740 VSI Rcpt#: 000038433 RECTRAC 06/22/09 98 CR 02814 12/09 CR 06/23/09 0018719 POZCZOR, DONNA MMENDOZA 06/23/09 01 CR 02814 12/09 CR 06/23/09 0018721 MURPHY MMENDOZA 06/23/09 01 CR 02814 12/09 CR 06/23/09 0018723 PISZCZOR MMENDOZA 06/23/09 01 CR 02818 12/09 CR 06/23/09 0018768 VSI Rcpt#: 000038442 RECTRAC 06/23/09 98 CR 02818 12/09 CR 06/23/09 0018769 VSI Rcpt#: 000038444 RECTRAC 06/23/09 98 CR 02848 12/09 CR 06/25/09 0018860 VSI Rcpt# :000038478 RECTRAC 06/25/09 98 CR 02848 12/09 CR 06/25/09 0018861 VSI Rcpt#: 000038475 RECTRAC 06/25/09 98 CR 02848 12/09 CR 06/25/09 0018862 VSI Rcpt#: 000038488 RECTRAC 06/25/09 98 CR 02855 12/09 CR 06/26/09 0018928 VSI Rcpt#: 000038492 RECTRAC 06/26/09 98 CR 02855 12/09 CR 06/26/09 0018929 VSI Rcpt#: 000038491 RECTRAC 06/26/09 98 CR 02855 12/09 CR 06/26/09 0018930 VSI Rcpt#: 000038493 RECTRAC 06/26/09 98 CR 02861 12/09 CR 06/29/09 0019000 VSI Rcpt#: 000038518 RECTRAC 06/29/09 98 1 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 30.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 15.00 PREPARED .,...12/2010, 9:26:27 GENERAL LEDGER .....'IVITY LISTING rHue 648 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3000-342.76-00 Charges for Services / Boys & Girl Fitness Card CR 02861 12/09 CR 06/29/09 0019001 VSI Rcpt#: 000038515 04/09 AJ 10/31/08 JE 04-017 10/24/08 LIBRARY RENT RECTRAC 06/29/09 98 CR 02861 12/09 CR 06/29/09 0019002 VSI Rcpt#: 000038515 01372 06/09 AJ 12/31/08 JE 06-029 RECTRAC 06/29/09 98 CR 02861 12/09 CR 06/29/09 0019003 VSI Rcpt#: 000038510 GRANT GM 01622 07/09 AJ 01/31/09 RECTRAC 06/29/09 98 CR 02861 12/09 CR 06/29/09 0019004 VSI Rcpt#: 000038534 10-032 4/15/09 LIBRARY STAFF MTG GM 02451 11/09 RECTRAC 06/29/09 98 CR 02867 12/09 CR 06/30/09 0000024 VSI Rcpt#: 000038547 LWEST 10/07/08 02 CR 00733 04/09 RECTRAC 06/30/09 98 CR 02867 12/09 CR 06/30/09 0000025 VSI Rcpt#: 000038545 LWEST 10/07/08 02 CR RECTRAC 06/30/09 98 ACCOUNT TOTAL 101-3000-342.77-00 Charges for Services / Library Facility Rent GM 00867 04/09 AJ 10/31/08 JE 04-017 10/24/08 LIBRARY RENT GM 01372 06/09 AJ 12/31/08 JE 06-029 LQ LIBRARY MTG 12/11/08 GM 01372 06/09 AJ 12/31/08 JE 06-029 LIBRARY MTG POP WRNR 12/6 GM 01621 07/09 AJ 01/29/09 AJE 7-013 OSHER INSTITUTE GRANT GM 01622 07/09 AJ 01/31/09 AJE 7-013 OSHER INSTITUTE GRANT GM 02403 10/09 AJ 04/30/09 JE 10-032 4/15/09 LIBRARY STAFF MTG GM 02451 11/09 AJ 05/31/09 AJE 11-008 REVERSE OSHER GRANT ACCOUNT TOTAL 101-3000-368.00-00 Other Revenues / Rental Income CR 00015 01/09 CR 07/02/08 0000099 CHAMBER OF COMMERCE RENT LWEST 07/02/08 01 GM 00126 01/09 AJ 07/31/08 JE 01-016 ANNL LIBRARY LAND LEASE CR 00292 02/09 CR 08/12/08 0001544 JULY108 CHAMBER RENT LWEST 08/12/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS CR 00733 04/09 CR 10/07/08 0004425 AUGUST 108 RENT LWEST 10/07/08 02 CR 00733 04/09 CR 10/07/08 0004426 SEPT'08 RENT CHAMBER LWEST 10/07/08 02 CR 00879 04/09 CR 10/22/08 0005326 OCT108 CHAMBER -RENT LWEST 10/22/08 01 CR 01852 08/09 CR 02/20/09 0011906 LQ CHAMBER NOVEMBER RENT CASHVO 02/20/09 01 CR 01852 08/09 CR 02/20/09 0011907 LA CHAMBER DECEMBER RENT CASHVO 02/20/09 01 CR 02130 09/09 CR 03/26/09 0013925 JAN109 CHAMBER RENT LWEST 03/26/09 01 CR 02418 11/09 CR 05/04/09 0016287 FEB109 CHAMBER RENT LWEST 05/04/09 01 •15.00 15.00 15.00 15.00 15.00 15.00 7,555.00 7,555.000R .00 350.00 200.00 1,160.00 3,780.00 3,780.00 100.00 3,780.00 3,780.00 9,370.00 5,590.000R 1,300.00 1,300.00 115,000.00 1,300.00 1,300.00 1,300.00 1,300.00 1,300.00 1,300.00 1,300.00 1,300.00 .00 PREPARED wa.12/2010, 9:26:27 GENERAL LEDGER H6iIVITY LISTING FAUt 649 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS• BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3000-368.00-00 Other Revenues'/ Rental Income CR CR 02418 11/09 CR 05/04/09 0016288 MARCH109 CHAMBER RENT RECTRAC 07/07/08 99 CR 00037 LWEST 05/04/09 01 CR 02667 12/09 CR 06/02/09 0017787 APRIL109 CHAMBER RENT RECTRAC 07/07/08 99 CR 00167 LWEST 06/02/09 01 CR 02667 12/09 CR 06/02/09 0017788 MAY109 CHAMBER RENT RECTRAC 07/24/08 99 CR LWEST 06/02/09 01 . GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 ACCOUNT TOTAL 101-3000-369.00-00 Other Revenues / Lease Revenue ACCOUNT TOTAL 101-3000-390.71-00 Other Financing Sources / Donations -Recreation ACCOUNT TOTAL 101-3000-390.72-00 Other Financing Sources / Donations -Sr. Center CR 00037 01/09 CR 07/07/08 0000306 VSI Rcpt#: 000031586 RECTRAC 07/07/08 99 CR 00037 01/09 CR 07/07/08 0000307 VSI Rcpt#: 000031586 RECTRAC 07/07/08 99 CR 00167 Ol/69 CR 07/24/08 0000980 VSI Rcpt#: 000031765. RECTRAC 07/24/08 99 CR 00283 02/09 CR 08/08/08 0001515 VSI Rcpt#: 000031884 RECTRAC 08/08/08 99 CR 00283 02/09 CR 08/08/08 0001516 VSI Rcpt#: 000031884 RECTRAC 08/08/08 99 CR 00384 02/09 CR 08/21/08 0002137 VSI Rcpt#: 000032071 RECTRAC 08/21/08 99 CR 00475 03/09 CR 09/04/08 0002780 VSI Rcpt#: 000032332 RECTRAC 09/04/08 99 CR•OO475 03/09 CR 09/04/08 0002781 VSI Rcpt#: 000032332 RECTRAC 09/04/08 99 CR 00620 03/09 CR 09/22/08 0003798 VSI Rcpt#: 000032636 RECTRAC 09/22/08 99 CR 00644 03/09 CR 09/25/08 0003980 VSI Rcpt#: 000032688 RECTRAC 09/25/08 99 CR 00713 04/09 CR 10/03/08 0004386 VSI Rcpt#: 000032821 RECTRAC 10/03/08 99 CR 00811 04/09 CR 10/13/08 0004896 VSI Rcpt#: 000033000 RECTRAC 10/13/08 99 CR 00811 04/09 CR 10/13/08 0004897 VSI Rcpt#: 000033000 RECTRAC 10/13/08 99 CR 00910 04/09 CR 10/23/08 0005415 VSI Rcpt#: 000033205 1,300.00 1,300.00 1,300.00 1,300.00 11300.00 131,900.00 25,00 25.00 30.00 41.25 41.25 40.00 53.25 53.25 200.00 45.00 538.75 41.50 41.50 20.00 13O,6OO.00OR .00 .00 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 650 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------ NUMBER PER. CD DATE NUMBER D E 7----------------------------------------------------------------------------------------------------- S C R I P T I O N DEBITS CREDITS BALANCE 101-3000-390.72-00 Other Financing Sources / Donations -Sr. Center RECTRAC 10/23/08 99 CR 01081 05/09 CR 11/10/08 0006362 VSI Rcpt#: 000033533 63.75 RECTRAC 11/10/08 99 CR 01081 05/09 CR 11/10/08 0006363 VSI Rcpt#: 000033533 63.75 RECTRAC 11/10/08 99 CR 01323 06/09• CR 12/15/08 0007924 VSI Rcpt#: 000034117 31.00 RECTRAC 12/15/08 99 CR 01323 06/09 CR.12/15/08 0007925. VSI Rcpt#: 000034117 31.00 RECTRAC 12/15/08 99. CR 01747 08/09 CR 02/09/09 0011277 VSI Rcpt#: 000035532 105.00 RECTRAC 02/09/09 99 CR 01747 08/09 CR 02/09/09 0011278 VSI Rcpt#: 000035532 105.00 RECTRAC 02/09/09 99 CR 01901 08/09 CR 02/26/09 0012343 VSI Rcpt#: 000036025 50.00 RECTRAC 02/26/09 99 CR 01930 09/09 CR 03/03/09 0012596 VSI Rcpt#: 000036139 32.00 RECTRAC 03/03/09 99 CR 01930 09/09 CR 03/03/09 0012597 VSI Rcpt#: 000036139 32.00 RECTRAC 03/03/09 99 CR 01997 09/09 CR 03/05/09 0012825• VSI Rcpt#: 000036213 400.00 RECTRAC 03/05/09 99 CR 02101 09/09 CR 03/24/09 0013804 VSI Rcpt#: 000036549 73.50 RECTRAC 03/24/09 99 CR 02101 09/09 CR 03/24/09 0013805 VSI Rcpt#: 000036549 73.50 RECTRAC 03/24/09 99 CR 02135 09/09 CR 03/26/09 0013968 VSI Rcpt#: 000036592 75.00 RECTRAC 03/26/09 99 CR 02193 10/09 CR 04/02/09 0014459 VSI Rcpt#: 000036757 25.00 RECTRAC 04/02/09 99 CR 02209 10/09 CR 04/06/09 0014623 VSI Rcpt#: 000036813 40.00 RECTRAC 04/06/09 99 CR 02245 10/09 CR 04/09%09 0014908 VSI Rcpt#: 000036927 50.00 RECTRAC 04/09/09 99 CR 02245' 10/09 CR 04/09/09 0014909 VSI Rcpt#: 000036931 45.00 RECTRAC 04/09/09 99 CR 02245 10/09 CR 04/09/09 0014910 VSI Rcpt#: 000036931 45.00 RECTRAC 04/09/09 99 CR 02306 10/09 CR 04/17/09 0015357 VSI Rcpt#: 000037107 50.00 RECTRAC 04/17/09 99 CR 02363 10/09 CR 04/23/09 0015725, VSI•Rcpt#: 000037246 40.*00 RECTRAC •04/23/09 99 CR 02491 11/09 CR 05/08/09 0016598 VSI Rcpt#: 000037561 250.00 RECTRAC 05/08/09 99 CR 02541 11/09 CR 05/18/09 0017092 VSI Rcpt#: 000037716 55.00 RECTRAC 05/18/09 99 CR 02541 11/09 CR 05/18/09 0017093 VSI Rcpt#: 000037716 55.00 RECTRAC 05/18/09 99 CR 02702 12/09 CR 06/04/09 0018098 VSI Rcpt#: 000038085 31.25 •RECTRAC 06/04/09 99 PREPARED ua/'12/2010, 9:26:27 GENERAL LEDGEk AGrIVITY LISTING PAGE 651 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA 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 --------- =----------------------------------------------------------------------------------------------------------------- --------- 101-3000-390.72-00 Other Financing Sources / Donations -Sr. Center CR 02702 12/09 CR 06/04/090018099 VSI Rcpt#: 000038085 31.25 RECTRAC 06/04/09 99 CR 02848 12/09 CR 06/25/09 0018854 VSI Rcpt#: 000038476 75.00 RECTRAC 06/25/09 99 ACCOUNT TOTAL 3,123.75 3,123.75CR 101-3000-390.73-00 Other Financing Sources / Coffee/Cards-Sr. Center ACCOUNT TOTAL 101-3001-451.10-01 Salaries & Wages / Permanent Full Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035. 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY OR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 'AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-3001-451.10-03 Salaries & Wages / Salaries - Part Time ACCOUNT TOTAL 12,917.82 7,750.69 13,200.31 13,253.69 13,307.08 13,307.12' 13,307.11 13,307.11 13,307.11 13,307.10 13,383.02 13,382.99 13,382.99 13,382.97 14,733.53 13,602.75 13,534.99 13,534.98 13,535.00 13,535.01 14,193.73 13,798.50 13,798.48 13,798.52 13,798.50 13,798.50 13,798.50 9,659.02 .00 .00 .00 361,866.43 7,750.69 354,115.74 .00 .00 PREPARED w4/12/2010, 9:26:27 GENERAL LEDGEk At IVITY LISTING PAGE 652 PROGRAM GM362LA CITY•OF LA QUINTA, CALIFORNIA. ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 A Wages / Salaries -Overtime. ACCOUNT TOTAL 101-3001-451.10-05 Salaries 8 Wages / Temporary Agency Services ACCOUNT TOTAL 101-3001-451.10-10 Salaries 8 Wages / Commisions B Boards GM 00122 01/09 AP 07/14/08 0078938 BRODSKY, SHELDON 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078946 GASSMAN, ANDREA 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078949 LEIDNER, ROBERT 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078936 BIEGEL, JOAN 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078953 QUILL, DORI 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078941 DARROCH, ROSEMARIE 75.00 JULY 2008 COMMISSION MTG GM 00122 01/09 AP 07/14/08 0078944 FITZPATRICK, KATHLEEN 75.00 JULY 2008 COMMISSION MTG GM 00495 03/09 AP 09/08/08 0079666 BRODSKY, SHELDON 75.00 SEPT 2008 COMM SVC MTG GM 00495 03/09 AP 09/08/08 0079672 GASSMAN, ANDREA 75.00 SEPT 2008 COMM SVC MTG GM 00495 03/09 AP 09/08/08 0079675 LEIDNER, ROBERT 75.00 SEPT 2008 COMM SVC MTG GM 00495 03/09 AP 09/08/08 0079682 QUILL, DORI 75.00 SEPT 2008 COMM SVC MTG GM 00495 03/09 AP 09/08/08 0079669 DARROCH, ROSEMARIE 75.00 SEPT 2008 COMM SVC MTG GM 00495 03/09 AP 09/08/08 0079671 FITZPATRICK, KATHLEEN 75.00 SEPT 2008 COMM SVC MTG GM 00790 04/09 AP 10/13/08 0080161 FITZPATRICK, KATHLEEN ' 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080157 DARROCH, ROSEMARIE 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080175 QUILL, DORI 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080168 LEIDNER, ROBERT 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080164 GASSMAN, ANDREA 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080153 BRODSKY, SHELDON 75.00 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/13/08 0080152 BIEGEL, JOAN 75.00 .00 .00 .00 .00 .00 PREPAREL -,'12/2010, 9:26:27 GENERAL LEDGEk �uIIVITY LISTING FAVI 653 PROGRAM GM362LA CITY OF LA QUINTA; CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General.Fund BEGINNING GROUP 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 OCT108 COMMUNITY SVC COMM GM 00790 04/09 AP 10/15/08 0080179 SYLK, ROBERT F. 75.00 MAY 2008 RPLCMT CK#78354 GM 00800 04/09 AP 10/16/08 0078354 SYLK, ROBERT F. 75.00 MAY 2008 COMMISSION MTG GM 01153 06/09 AP 11/17/08 0080731 BIEGEL, JOAN 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11•/17/08 0080732 BRODSKY, SHELDON 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11/17/08 0080744 GASSMAN, ANDREA 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11/17/08 0080750 LEIDNER, ROBERT 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11/17/08 0080757 QUILL, DORI 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11/17/08 0080736 DARROCH, ROSEMARIE 75.00 N0V108 COMMUNITY SVC COMM GM 01153 06/09 AP 11/17/08 0080742 FITZPATRICK, KATHLEEN 75.00 N0V108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080921 FITZPATRICK, KATHLEEN 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080919 DARROCH, ROSEMARIE 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080932 QUILL, DORI 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080929 LEIDNER, ROBERT 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080922 GASSMAN, ANDREA 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080915 BRODSKY, SHELDON 75.00 DEC108 COMMUNITY SVC COMM GM 01263 06/09 AP 12/08/08 0080914 BIEGEL, JOAN 75.00 DEC108 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/09 0081287 BIEGEL, JOAN 75.00 JAN109 COMMUNITY SVC.COMM GM 01532 07/09 AP 01/12/09 0081288 BRODSKY, SHELDON 75.00 JAN109 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/09 0081298 GASSMAN, ANDREA 75.00 JAN109 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/09 0081300 LEIDNER, ROBERT 75.00 JAN109 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/,09 0081304 QUILL, DORI 75.00 JAN109 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/09 0081294 DARROCH, ROSEMARIE 75.00 JAN109 COMMUNITY SVC COMM GM 01532 07/09 AP 01/12/09 0081297 FITZPATRICK, KATHLEEN 75.00 JAN109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081665 BIEGEL, JOAN 75.00 FEB109 COMMUNITY SVC COMM PREPAREL wJ,'12/2010, 9:26:27 GENERAL LEDGEk A6fIVITY LISTING PAGE 654 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 B Wages / Commisions & Boards GM 01755 08/09 AP 02/09/09 0081666 BRODSKY, SHELDON 75.00 FEB109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081675 GASSMAN, ANDREA 75.00 FEB109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081680 LEIDNER, ROBERT 75.00 FEB109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081686 QUILL, DORI 75.00 FEB109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081668 DARROCH, ROSEMARIE 75.00 FEB109 COMMUNITY SVC COMM GM 01755 08/09 AP 02/09/09 0081671 FITZPATRICK, KATHLEEN 75.00 FEB109 COMMUNITY SVC COMM GM 01973 09/09 AP 03/09/09 0082076 BIEGEL, JOAN 75.00 MAR109 COMM SVC MEETING GM 01973 09/09 AP 03/09/09 0082077 BRODSKY, SHELDON 75.00 MAR109 COMM SVC MEETING GM 01973 09/09 AP 03/09/09 0082088 GASSMAN, ANDREA 75.00 MAR109 COMM SVC MEETING GM 01973 09/09 AP 03/09/09 0082089 LEIDNER, ROBERT 75.00 MAR109 COMM SVC MEETING GM 01973 09/09 AP 03/09/09 0082094 QUILL, DORI 75.00 MAR109 COMM SVC MEETING GM 01973 _09/09 AP 03/09/09 0082081 DARROCH, ROSEMARIE 75.00 MAR109 COMM SVC MEETING GM 01973 09/09 AP 03/09/09 0082086 FITZPATRICK, KATHLEEN 75.00 MAR109 COMM SVC MEETING GM 02277 10/09 AP 04/20/09 0082534 BIEGEL, JOAN 75.00 APR'09 COMM SVC COMM MTG GM 02277 10/09 AP 04/20/09 0082535 BRODSKY, SHELDON 75.00 APR'09 COMM SVC COMM MTG GM 02277 10/09 AP 04/20/09 0082540 GASSMAN, ANDREA 75.00 APR'09 COMM SVC COMM MTG GM 02277 10/09 AP 04/20/09 0082544 LEIDNER, ROBERT 75.00 APR'09 COMM SVC COMM MTG GM 02277 10/09 AP 04/20/09 0082545 QUILL, DORI 75.00 APR'09 COMM SVC COMM MTG GM 02277 10/09 •AP 04/20/09 0082538 DARROCH, ROSEMARIE 75.00 APR109 COMM SVC COMM MTG GM 02277 10/09 AP 04/20/09 0082539 FITZPATRICK, KATHLEEN 75.00 APR109 COMM SVC COMM MTG GM 02810 12/09 AP 06/08/09 0083318 FITZPATRICK, KATHLEEN 75.00 JUN109 COMM SVC MTG GM 02810 12/09 AP 06/08/09 0083313 DARROCH, ROSEMARIE 75.00 JUN109 COMM SVC MTG GM 02810 12/09 AP 06/08/09 0083330 QUILL, DORI 75.00 JUN109 COMM SVC MTG GM 02810. 12/09 AP 06/08/09 0083327 LEIDNER, ROBERT 75.00 JUN109 COMM SVC MTG GM 02810 12/09 AP 06/08/09 0083319 GASSMAN, ANDREA 75.00 PREPAREL ui:12/2010, 9:26:27 GENERAL LEDGEk miriVITY LISTING PAGE 655 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 I O N DEBITS CREDITS BALANCE 101-3001-451.10-10 Salaries & Wages / Commisions & Boards JUN109 COMM SVC MTG GM 02810 12/09 AP 06/08/09 0083306 BRODSKY, SHELDON 75.00 JUN109 COMM SVC MTG GM 02810 12/09 AP 06/08/09 0083305 BIEGEL, JOAN 75.00 JUN109 COMM SVC MTG ACCOUNT TOTAL 5,250.00 75.00 5,175.00 101-3001-451.10-18 Salaries.& Wages / Natural Disaster -FEMA .00 ACCOUNT TOTAL .00 101-3001-451.20-01 Employee Benefits / PERS-City Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,623.89 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 974.34 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 1,659.41 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 1,666.12 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 1,672.84 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 1,672.84 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 1,672.84 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 1,672.84 PR 00788 04/09 .AJ 10/17/08 PR1017 PAYROLL SUMMARY 1,672.84 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 1,672.84 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 1,682.38 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 1,682.38 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 1,682.38 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 1,682.37 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 1,696.47 PR 01529 07/09 AJ. 01/23/09 PRO123 PAYROLL SUMMARY 1,710.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 1,701.48 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 1,701.48 PR 01902 09/09 .AJ 03/06/09 PRO306 PAYROLL SUMMARY 1,701.48 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 1,701.48 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 1,784.29 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY •1,734.60 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 1,734.60 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 1,734.60 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 1,734.60. PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 1,734.60 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 1,734.60 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 1,170.87 ACCOUNT TOTAL 45,291.12 974.34 44,316.78 101-3001-451.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,033.43 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 656 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3001-451.20-02 Employee Benefits / PERS-Employee Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017• PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-3001-451.20-03 Employee Benefits-/ PERS-Survivor Benefits 101-3001-451.21-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00530 03/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 07/25/08 PR0725 08/08/08 PR0808 08/08/08 PR0808 08/22/08 PR0822 08/22/08 PR0822 09/05/08 PR0905 09/05/08 PR0905 09/19/08 PR0919 09/19/08 PR0919 % 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 1,056.03 1,060.30 1,064.57 1,064.57 1,064.57 1,064.57 1,064.57 1,064.57 1,070.64 1,070.64 1,070.64 1,070.64 1,079.61 1,088.22 1,082.80 1,0.82.80 1,082.80 1,082.80 1,135.50 1,103.88 1,103.88 1,103.88 1,103.88 1,103.88 1,103.88 772.72 28,850.27 2,099.97 2,099.97 2,099.97 2,099.97 2,099.97 2,099.97 620.05 620.05 1,320.56 60.58 60.58 60.58 60.58 60.58 28,230.22 .00 .00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AUCIVITY LISTING PAGE 657 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3001-451.21-01 PR 00634 04/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR'01415 07/09 AJ PR 01529 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR�01791 08/09 AJ PR 01902 09/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3001-451.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ Insurance Benefits / 10/03/08 PR1003 10/03/08 PR1003 10/17/08 PR1017 10/17/08 PR1017 11/14/08 PR1114 11/14/08 PR1114 11/26/08 PR1126 11/26/08 PR1126 12/12/08 PR1212 12/12/08 PR1212 12/24/08 PR1224 12/24/08 PR1224 01/09/09 PR0109 01/09/09 PR0109 01/23/09 PR0123 01/23/09 PR0123 02/06/09 PR0206 02/06/09 PR0206 02/20/09 PR0220 02/20/09 PR0220 03/06/09 PRO306 03/06/09 PR0306 03/20/09 PRO320 03/20/09 PRO320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PRO417 05/01/09 PRO501 05/01/09 PRO501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PR0612 06/12/09 PR0612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 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 / Vision Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 2,099.97 2,099.97 2,099.97 2,099.97 2,171.17 2,171.17 2,171.17 2,171.17 2,171.17 2,171.17 2,171.17 2,171.17 2,171.17 2,171-.17 •2,171..17 2,171.17 2,171.17 2,171.17 1,519.82. 52,915.90 38.10 38.10 38.10 38.10 38.10 38.10 60.58 60.58 60.58 . 60.58 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.78 42.78 2,456.30 22.87 50,459.60 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 658 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP =----------------------------------------------------------------------------------------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3001-451.21-02 Insurance Benefits / Vision Insurance PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 38.10 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 38.10 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 38.10 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 38.10 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 38.10 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 38.10 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 38.10 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 38.10 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 38.10 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 38.10 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 38.10 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 38.10 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 38.10 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 38.10 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 38.10 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 38.10 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 40.71 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 40.71 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 30.49 ACCOUNT TOTAL 950.11 22.87 927.24 101-3001-451.21-03 Insurance Benefits / Dental Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 180.11 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 108.06 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 180.11 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 180.11 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 180.11 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 180.11 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 180.11 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 180.11 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 180.11 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 180.11 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 180.11 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 180.11 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 180.11 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 180.11 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 180.11 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 180.11 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 180.11 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 180.11 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 180.11 PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 180.11 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 180.11 PR 02337 11/09 AJ 05/01/09 PR0501• PAYROLL SUMMARY 180.11 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 180.11 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 180.11 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 180.11 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 659 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3001-451.21-03 Insurance Benefits / Dental Insurance PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 101-3001-451.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PRO808 08/22/08 PRO822 09/05/08 PRO905 09/19/08 PRO919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PRO320 04/03/09 PRO403 04/17/09 PRO417 05/01%09 PR0501 05/15/09 PR0515 06/12/09 PRO612 06/26/09 PRO626 07/10/09 PR0710 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 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 101-3001-451.21-06 Insurance Benefits / Flexible Compensation 101-3001-451.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PRO822 09/05/08 PR0905 09/19/08 PR0919 Long Term Disability PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 126.08 4,448.72 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 20.80 14.56 513.76 142.57 142.57 143.72 143.72 143.72 143.72 108.06 12.48 12.48 85.55 4,340.66 .00 501.28 .00 .00 .00 PREPAREL --,'12/2010, 9:26:27 GENERAL LEDGEk MVIIVITY LISTING rAbt 660 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 101-3001-451.21-07 Insurance Benefits / Long Term Disability PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 143.72 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 143.72 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 144.54 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 144.54 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 144.54 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 144.54 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 145.76 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 145.76 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 146•.19 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 146.19 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 146.19 PR.01902 01065 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 146.19 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 146.19 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 149.04 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 149.04 PR 02337 11/09. AJ 05/01/09 PR0501 PAYROLL SUMMARY 149.04 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 149.04 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 149.04 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 149.04 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 149.04 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 104.32 ACCOUNT TOTAL 31895.69 101-3001-451.25-01•Workers Comp Insurance / Workers Comp Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 381.08 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 389.41 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 390.98 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 392.56 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 392.56 PR 00530 03/09 AJ 09/19/08•PR0919 PAYROLL SUMMARY 392.56 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 392.56 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 392.56 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 392.56 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 394.80 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 394.80 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 394.80 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 394.80 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 434.64 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 401.29 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 399.29 PR 01791 08/09 •AJ 02/20/09 PR0220 PAYROLL SUMMARY .399.29 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 399•.29 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 399.29 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 418.72 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 407.06 PR 02337 11/09 •AJ 05/01/09 PR0501 PAYROLL SUMMARY 407.06 BEGINNING /ENDING BALANCE 85.55 3,810.14 228.65 .00 PREPAREL w�,'12/2010, 9:26:27 GENERAL LEDGEk ­rIVITY LISTING rAWt 661 PROGRAM GM362LA CITY OF LA --------= QUINTA, CALIFORNIA FUND 101 --------------------------------------------------------------------------------------=------------------------------------ General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------ PER. CD DATE NUMBER D E ---------------------------------------------------------------------------------------- S C R I P T I O N DEBITS CREDITS BALANCE 101-3001-451.25-01 Workers Comp Insurance / Workers Comp Insurance PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 407.06 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 407.06 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 407.06 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 407.06 GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 2,400.29 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 284.94 ACCOUNT TOTAL 10,675.14 2,628.94 8,046.20 101-3001-451.27-01 Other Benefits & Deduc. / State Unemployment SUI .00 ACCOUNT TOTAL .00 101-3001-451.27-03 Other Benefits & Deduc. / Social Security -Medicare .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 189.49 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 113.70 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 193.57 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 194.35 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 195.12 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 195.12 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 195.12 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 195.12 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 195.12 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 192.95 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 196.22 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 196.22 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 196.22 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 196.22 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 215.82 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 199.41 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 198.43 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 198.43 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 198.43 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 198.43 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 207.98 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 202.25 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 202.25 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 202.25 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 200.08 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 202.25 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 202.25 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 141.58 ACCOUNT TOTAL 5,300.68 113.70 5,186.98 101-3001-451.27-05 Other Benefits & Deduc. / Social Security -FICA .00 PREPARED0/12/2010, 9:26:27 GENERAL LEDGEk ALrIVITY LISTING PAGE 662 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3001-451.27-05 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 101-3001-451.33-04 Contract Services / Promotional GM 00885 04/09 AP 09/26/08 0080329 •4IMPRINT 0079196 BOYS & GIRLS CLUB OF COAC 1364847 PROMO ITEMS GM 01150 06/09 AP 11/18/08 0080833 LSA ASSOCIATES INC 01020 05/09 AP 09/30/08 89915 BOYS & GIRLS CLUB OCT108 PROF SVC GM 01190 06/09 AP 12/04/08 0080781 BOARD OF EQUALIZATION GM 00960 05/09 97-829622 11/03/08 NOV108 SALES TAX GM 01283 06/09 AP 12/12/08 0081061 LSA ASSOCIATES INC 6/11/08 CONT SVC AGRMT 90348 GM LQ COVE TRAIL MAPPING GM 01460 07/09 AP 12/23/08 0081191 DISPLAYS2GO IN -764227 FLYER RACKS GM 01586 07/09 AP 01/02/09 0081314 WELLS FARGO BUSINESS CARD 7029 VISA CARD PYMT GM 01715 08/09 AP 01/09/09 0081528 BOARD OF EQUALIZATION 97-829622 JAN109 SALES TAX GM 01592 07109 AP 01/27/09 0081470 HANSON INDUSTRIES, LLC. 40416 EVENT SIGNS W/STAKES GM 02123 09/09 AP 03/03/09 0082343 4IMPRINT 1459398 PROMO ITEMS GM 02176 10/09 AP 04/03/09 0082392 SILVERROCK RESORT 97-829622 MAR109 SALES TAX GM 02330 10/09 AP 04/14/09 0082679 SIGN•A RAMA 36812 SIGNS -PICNIC EVENT ACCOUNT TOTAL 101-3001-451.33-10 Contract Services / Boys & Girls Club GM 00213 02/09 AP 08/01/08 0079196 BOYS & GIRLS CLUB OF COAC 072808 PER AGREEMENT GM 01020 05/09 AP 09/30/08 0080395 BOYS & GIRLS CLUB OF COAC 7/31/08-9/30/08 CDBG-BOYS&GIRLS CLB GM 00960 05/09 AP 11/03/08 0080395 BOYS & GIRLS CLUB OF COAC 6/11/08 CONT SVC AGRMT GM 01715 08/09 AP 02/04/09 0081531 BOYS & GIRLS CLUB OF COAC 2,479.41 2,031.25 160.00 437.50 157.50 313.26 14.00 115.97 2,099.29 135.00 701.80 8,644.98 10,000.00 6,885.00 10,000.00 10,000.00 .00 .00 .00 .00 .00 .00 8,644.98 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 663 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3001-451.33-10 Contract Services / Boys & Girls Club 2009/2010 GRANT PER AGREEMENT GM 02065 09/09 AP 03/20/09 0082134 BOYS & GIRLS CLUB OF COAC •5,100.00 10/1/08-2/28/09 SCHOLARSHIP PRGM GM 02275 10/09 AP 04/16/09.0082578 BOYS & GIRLS CLUB OF COAC 10,000.00 041609 CONT SVC AGREEMENT GM 02467 11/09 AP 05/12/09 0082922 BOYS & GIRLS CLUB OF COAC 14,070.00 051209 08/09 CDBG PRGM ACCOUNT TOTAL 66,055.00 66,055.00 101-3001-451.33-13 Contract Services / Fritz Burns.Park .00 GM 00160 01/09 AP 07/01/08 0079079 PRISTINE POOLS SERVICE & 11190.00 18243 POOL SERVICE GM 00188 01/09 AP 07/01/08 0079157 TELEPACIFIC COMMUNICATION 39.26 8203372-0 PHONE SVC -FB POOL GM 00160 01/09 AP 07/09/08 0079134 WAL MART COMMUNITY 32.24 000470 SUPPLIES -FB POOL GM 00322 02/09 AP 07/23/08 0079463 PRISTINE POOLS SERVICE & 230.00 19145 POOL SERVICE GM 00325 02/09 AP 07/23/08 0079349 TELEPACIFIC COMMUNICATION 39.27 8724741-0 PHONE SVC -FB POOL GM 00322 02/09 AP 08/01/08 0079463 PRISTINE POOLS SERVICE & 11135.00 18878 POOL SERVICE GM 00348 .02/09 AP 08/21/08 0079441 LINCOLN EQUIPMENT, INC. 224.72 082108 LIFEGUARD EQUIP GM 00493 03/09 AP 09/01/08 0079886 PRISTINE"POOLS SERVICE & 11135.00 19530 POOL SERVICE GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 39.27 9456510-0 FRITZ FURNS POOL GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 19.91 907353 POOL RSTRM LIGHTS GM 00794 04/09 AP 09/30/08 0080269 LINCOLN EQUIPMENT, INC. 90.78 SI102632 POOL EQUIPT GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 39.33 8886344-0 PHONE SVC -FB POOL GM 00794 04/09 AP 10/01/08 0080293 PRISTINE POOLS SERVICE & 895.00 20167 FRITZ BURNS POOL GM 00937 05/09 AP 10/14/08 0080421 FAMILY YMCA OF THE DESERT 9,123.27 2254 YMCA AQUATICS PRG GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 38.42 10075744-0 FRITZ BURNS POOL GM 00972 05/09 AP 11/01/08 0080474 PRISTINE POOLS SERVICE & 895.00 20814 FB POOL GM 01214 06/09 AP 11/03/08 0080810 GARDNER POOL PLASTERING I 2,500.00 1143-1 POOL REPAIRS-DRN CVRS GM 01261 06/09 AP 11/13/08 0081083 PRISTINE POOLS SERVICE & 2,220.00 21309 R & R POOL GM 01263 06/09 AP 11/23/08.0080940 TELEPACIFIC COMMUNICATION 38.42 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AC"fIVITY LISTING PAGE 664 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA. ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 28626 FB POOL GM 01262 06/09 AP 12/01/08 0081083. PRISTINE POOLS SERVICE & 895.00 21471 FB POOL SVC GM 01629 08/09 AP 12/12/08 0081651 VALLEY PLUMBING 171.61 188601 SHOWER VALVE-FB POOL GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 42.64 11076529-0 FB POOL GM 01526 07/09 AP 01/10/09 0081415 PRISTINE POOLS SERVICE & 895.00 ' 22086 FB POOL GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 42.49 11379124-0 FB POOL GM 01768 08/09 AP 02/01/09 0081831 PRISTINE POOLS SERVICE & 895.00 22628 FB POOL SVC GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 42.49 11807255-0 FB POOL GM 01979 09/09 AP 03/01/09 0082271 PRISTINE POOLS SERVICE & 895.00 23292 FB POOL GM 02081 09/09 AP 03/10/09 0082271 PRISTINE POOLS SERVICE & 75.00 23742 NEW FILTER GASKET GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 42.49 12350308-0 FB POOL GM 02452 11/09 AP 04/01/09 0082868 PRISTINE POOLS SERVICE & 895.00 23868 FB POOL GM 02278 10/09 AP 04/07/09 0082664 PRISTINE POOLS SERVICE & 325.00 24339 CLORINATOR MOTOR REPAIR GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 42.63 12778129-0 FB POOL GM 02788 12/09 AP 04/30/09 0083458 LOCK SHOP INC, THE 14.57 635646 FB POOL KEYS GM 02452 11/09 AP 05/01/09 0082868 PRISTINE POOLS SERVICE & 895.00 24473 FB POOL GM 02727 12/09 AP 05/08/09 0083397 DESERT FIRE EXTINGUISHER 21.93 689023 REFILL-COMM POOL GM 02788 12/09 AP 05/14/09 0083538 VALLEY PLUMBING 583.90 191206 TOILET REPAIR GM. 02638 12/09 AP 05/18/09 0083162 BEST SIGNS INC 39.15 72194 RESTROOM SIGNS GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 42.63 13361992-0 FB POOL GM 02788 12/09 AP 06/01/09 0083483 PRISTINE POOLS SERVICE & 11135.00 25074 JUN109 FB POOL GM 02828 12/09 AP 06/12/09 0083483 PRISTINE POOLS SERVICE & 800.00 25531 MOTOR-KIDDIE POOL GM 02828 12/09 AP 06/12/09 0083457 LINCOLN EQUIPMENT, INC. 1,151.84 SI117068 FB POOL EQUIP&SUPPLIES GM 02828 12/09 AP 06/19/09 0083414 GALLS RETAIL 1,545.61 47313 AED-FB POOL GM 02870 12/09 AP 06/23/09 0083613 ADVANCED INC 180.00 12979 POOL RNTL CLEANINGS PREPARED usi12/2010, 9:26:27 GENERAL LEDGER AG IVITY LISTING PAGE 665 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION SWANK MOTION PICTURES 13946747-0 FB POOL GM 02893 12/09 AP 06/25/09 0083661 LOWE'S HOME IMPROVEMENT W 02/09 920765 07/30/08 FB POOL CHAIRS GM 02915 12/09 AP 06/30/09 0083870 LINCOLN EQUIPMENT, INC. OPEN AIR CINEMA SI118606 00233 FB POOL SUPPLIES ACCOUNT TOTAL 101-3001-451.33-15 Contract Services / Marketing ACCOUNT TOTAL 101-3001-451.33-39 Contract Services / Health Department GM 02081 09/09 AP 03/05/09 0082285 COUNTY OF RIVERSIDE DEPAR IN0056354 WTR FEATURE PERMIT GM 02278 10/09 AP 04/07/09 0082673 RIVERSIDE COMMUNITY HEALT ING058033 POOL HEALTH PERMITS ACCOUNT TOTAL 101-3001-451:33-53 Contract Services / Feasibility Study ACCOUNT TOTAL 101-3001-451.33-62 Contract Services / Community Special Events GM 00054 01/09 .AP 07/01/08 0079111 SWANK MOTION PICTURES RG 1213535 SPECIAL EVENT GM 00256 02/09 AP 07/30/08 0079290 SWANK MOTION PICTURES RG 1223248 OPEN AIR CINEMA GM 00233 02/09 AP 08/01/08 0079290 SWANK MOTION PICTURES RG 1218494 MOVIE EVENT GM 00327 02/09 AP 08/13/08 0079488 SWANK MOTION PICTURES RG 1228152 OPEN AIR CINEMA GM 00331 02/09 AP 08/21/08 0079424 HOLLYWOOD OUTDOOR MOVIES 082108 PAYMENT -OPEN AIR CINEMA GM 01033 05/09 AP 09/20/08 0080535 MUNTER, PAM 111108 VETS DAY PERFORMANCE GM 01020 05/09 AP 11/05/08 0080420 ESPINOZA, DAVID C. 412 SP EVENT -VETERANS DAY GM 01150 06/09 AP 11/16/08 0080880 WAL MART COMMUNITY 8985 SP EVENT -VETERANS DAY GM 01261 06/09 AP 11/30/08 0081104 SMART 8 FINAL 3583410146155 SP EVENT -VETERANS DAY GM 01458 07/09 AP 12/17/08 0081226 POWERS AWARDS INC 43.34 204.10 1,283.24 33,124.55 336.00 672.00 1,008.00 271.00 271.00 271.00 271.00 6,916.67 450.00 210.00 68.60 104.75 56.30 33,124.55 .00 .00 .00 1,008.00 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER LISTING taut 666 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101'Gener•al Fund BEGINNING GROUP 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 103030 PILLAR AWARDS GM 01576 07/09 AP 01/12/09 0081396 MCDOWELL AWARDS 237.05 2008-2713 • AWARDS -PILLARS EVENT GM 01685 08/09 AP 02/04/09 0081487 CASH/PETTY CASH 21.30 REIMB PETTY CASH GM 01880 09/09 AP 02/16/09 0082063 WAL MART COMMUNITY 108.68 005174 SP EVENT -PILLARS GM 02330 10/09 AP 03/24/09 0082622 HOLLYWOOD OUTDOOR MOVIES 11950.00 104 MOVIE AIRSCREEN GM 02341 11/09 AP 03/25/09 0082764 ACE HARDWARE 29.35 99038 SUPPLIES/SP EVENTS GM 02446 11/09 AP 04/29/09 0082896 SWANK MOTION PICTURES 321.00 RG1316923 MOVIE -MAY GM 02581 11/09 AP 05/16/09 0083100 WAL MART COMMUNITY 45.33 007055 SP EVENT -PICNIC GM 02581 11/09 AP 05/16/09 0083100 WAL MART COMMUNITY 500.00 007052 ' SP EVENT -PICNIC GM 02744 12/09 AP 06/02/09 0083520 SWANK MOTION PICTURES 321.00 RG1326150 SP EVENT -MOVIE - .ACCOUNT TOTAL 12,424.03 12,424.03 101-3001-451.34-04 Contract Services / Technical .00 ACCOUNT TOTAL .00 101-3001-451.41-01 Utilities / Electric -Inside .00 ACCOUNT'TOTAL .00 101-3001-451.41-16 Utilities / Water -Inside .00 ACCOUNT TOTAL .00 101-3001-451.41-22 Utilities / Telephone .00 ACCOUNT TOTAL .00 101-3001-451.41-30 Utilities / Security and Alarm .00 ACCOUNT TOTAL .00 101-3001-451.42-15 Contract Services / Janitorial .00 PREPARED uw 12/2010, 9:26:27 GENERAL LEDGEk AG IVITY LISTING PAGE 667 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 101-3001-451.42-15 Contract Services / Janitorial GM 01067 05/09 AP 11/13/08 0080572 ADVANCED, INC. 11110.00 12499 SR CTR CLEAN UP GM 01944 09/09 AP 02/28/09 0081928 ADVANCED, INC. 185.00 12728 FACILITY SP CLEANING GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 185.00 12748 CLEANING-CITY EVENT GM 02870 12/09 AP 06/23/09 0083613 ADVANCED INC 925.00 12978 RENTAL CLEANINGS ACCOUNT TOTAL, 2,405.00 2,405.00 101-3001-451.42-20 Contract Services / Pest Control .00 ACCOUNT TOTAL .00 101-3001-451.42-25 Contract Services / Park Master Plan Update .00 ACCOUNT TOTAL .00 101-3001-451.42-30 Contract Services /.Parks.Security Monitoring .00 ACCOUNT TOTAL .00 101-3001-451.43-01 Other Services. / Maintenance .00 ACCOUNT TOTAL .00 101-3001-451.43-52 Other Services / HVAC .00 ACCOUNT TOTAL .00 101-3001-451.43-54 Other Services / Christmas Tree Mainten .00 GM 00743 04/09 AP 07/01/08 0080072 JARVIS COMPANY, THE 945.00 '392 XMAS TREE MAINT GM 01458 07/09 AP 11/24/08 0081203 JARVIS COMPANY, THE 1,068.75 716 XMAS TREE MAINT ACCOUNT TOTAL 2,013.75 2,013.75 101-3001-451.43-58 Other Services / Boys & Girls Club .00 GM 02893 12/09 AP 06/29/09 0083636 ESPINOZA HEATING & AIR 460.00 004212 B&G CLUB REPAIRS PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 668 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------ ---------------------- 101-3001-451.43-58 Other Services / Boys & Girls Club ACCOUNT TOTAL 101-3001-451.43-59 Other Services /.LQ Park Building ACCOUNT TOTAL 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 00263 02/09 AP 08/12/08 0079322 NEWPORT BEACH, CITY OF 081208 CONFERENCE REGISTRATION GM 00325 02/09 AP 08/20/08 0079343 LA QUINTA CHAMBER OF COMM 08/20/08 8/07/08 MAYOR'S LUNCH GM 00529 .03/09 AP 09/09/08 0079902. SKILLPATH SEMINARS 9630958 SEMINAR CR 00615 03/09 CR 09/22/08 0003774 TRAVEL REIMB - T LARSON PPARKER 09/22/08 01 GM 00976 05/09 AP 10/04/08 0080366 LA QUINTA CHAMBER OF COM 100208 MAYOR'S LUNCHEON GM 01050 05/09 AP 11/18/08 0080558 WELLS FARGO BUSINESS CARD 7029 VISA CARD PYMT GM 01458 07/09 AP 11/18/08 0081217 NATIONAL RECREATION & PAR 20030836 REVENUE SCHOOL GM 01067 05/09 AP 11/20/08 0080596 CPRS CPRS CONF HYLTON,QUILL,CALDERON GM 01067 05/09 AP 11/20/08 0080677 PARAVION 323RTG240/50/60 CPRS CONFERENCE GM 01152 06/09 AP 11/21/08 0080814 GUEREQUE, ANGELA 460.00 20.00 25.00 149.00 289.71 25.00 89.28 905.00 1,077.00 1,665.50 24.57 460.00 .00 .00 .00 .00 .00 .00 .00 .00 .00 .00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 669 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ---------------------.------------------------------------ FUND 101 General Fund ----------------------------------------------- ------------- --------------- BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3001-451.51-01 Services & Supplies / Travel & Training CONF PS MILAGE-GUEREQUE GM 01274 06/09 AP 12/02/08 0080945 WELLS FARGO BUSINESS CARD 717.00 7029 VISA CARD PYMT GM 01244 06/09 AP 12/04/08 0080896 LA QUINTA CHAMBER OF COMM 25.00 120408 MAYOR'S LUNCHEON GM 01443 07/09 AP 01/07/09 0081141 CPRS DISTRICT X 60.00 NEWPORT CPRS MINI CONFERENCE GM 01685 08/09 AP 02/04/09 0081496 LA QUINTA CHAMBER OF COM 25.00 FEB109 MAYOR'S LUNCHEON GM 01685 08/09 AP 02/04/09 0081487 CASH/PETTY CASH 10.00 REIMB PETTY CASH GM 01755 08/09 AP 02/06/09 0081691 SCMAF 25.00 AMBRIZ ADULT SPORTS SUMMIT GM 02123 09/09 AP 03/05/09 0082328 VERMONT SYSTEMS INC 100.00 26171 WEBTRAC TRAINING GM 01989 09/09 AJ 03/17/09 JE 09-015 RECL HOTEL EXP/T LARSON 462.75 CR 02083 09/09 CR 03/20/09 0013632 QUILL,D-TRVL ADV REIMB 143.74 MANCILLA 03/20/09 01 CR 02083 09/09 CR 03/20/09 0013633 HYLTON,E-TRVL ADV REIM 116.82 MANCILLA 03/20/09 01 CR 02152 09/09 CR 03/31/09 0014206 CALDERON,C-TRVL ADV RFND 180.11 MANCILLA 03/31/09 01 GM 02176 10/09 AP 04/08/09 0082380 LA QUINTA CHAMBER OF COMM 25.00 040909 MAYOR'S LUNCH•4/9/09 GM 02565 11/09 AJ 05/22/09 JE 11-019 LEAG CAL CITIES 5/12 MTG 45.00 ACCOUNT TOTAL 6,205.48 6,205.48 101-3001-451.51-02 Services & Supplies / Vehicle Reimbursement .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 90.00 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 150.00 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 150.00 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 150.00 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 150.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 150.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 150.00 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 150.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 150.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 150.00 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 150.00 OR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 150.00 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 150.00 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 150.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 150.00 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 150.00 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 150.00 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 150.00 PREPARED u3/12/2010, 9:26:27 Mileage Reimbursement GENERAL LEDGER AUfIVITY LISTING PAGE 670 PROGRAM GM362LA 27.14 091008 MILEAGE REIMBURSEMENT SUPPLIES -ACTIVITY GUIDES GM 00636 04/09 AP 10/01/08 0079941 CITY OF LA QUINTA, CALIFORNIA 62.71 '100108 82204 MILEAGE REIMB BUSINESS CARDS GM 01905 09/09 AP ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund 71.61 REIMB MILEAGE-AMBRIZ BEGINNING GROUP ACCTG ----TRANSACTION---- 161.46 101-3001-451.51-31 Services & Supplies / Postage /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-30.01-451.51-02 Services & Supplies / Vehicle Reimbursement PERMIT#709 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 150.00 90143 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 150.00 Services & Supplies / PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 150.00 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 150.00 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY. 150.00 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 150.00 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 105.00 ACCOUNT TOTAL 3,705.00 101-3001-451.51-03 Services & Supplies / Mileage Reimbursement Printing GM 00493 03/09 AP 09/10/08 0079746 AMBRIZ JR, ROBERT 27.14 091008 MILEAGE REIMBURSEMENT SUPPLIES -ACTIVITY GUIDES GM 00636 04/09 AP 10/01/08 0079941 AMBRIZ JR,'ROBERT 62.71 '100108 82204 MILEAGE REIMB BUSINESS CARDS GM 01905 09/09 AP 03/02/09 0081896 AMBRIZ JR, ROBERT 71.61 REIMB MILEAGE-AMBRIZ ACCOUNT TOTAL 161.46 101-3001-451.51-31 Services & Supplies / Postage GM 01291 06/09 AP 12/15/08 0081082 PRINTWORKS 2,000.00 08-1432 POSTAGE FOR BROCHURES GM 02452 11/09 AP 04/08/09 0082909 US POSTMASTER 180.00 PERMIT#709 BULK MAIL SVC GM 02638 12/09 AP 05/27/09 0083230 PRINTWORKS 3,109.35 90143 BROCHURE POSTAGE ACCOUNT TOTAL 5,289.35 101-3001-451.51-39 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 00331 02/09 AP 08/18/08 0079462 PRINTWORKS 14,815.63 08-0794 SUPPLIES -ACTIVITY GUIDES GM 00433 03/09 AP 08/25/08 0079633 PRINTING PLACE, THE 92.58 82204 BUSINESS CARDS GM 01057 05/09 AP 11/12/08 0080685 PRINTING PLACE, THE 227.35 90.00 3,615.00 .00 161.46 .00 5,289.35 .00 .00 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 671 PROGRAM GM362LA CITY OF LA.QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 082912 COMMISSIONER CARDS GM 01262 06/09 AP 11/24/08 0081070 OFFICE DEPOT 60.40 451494877-001 BUSINESS CARDS-HYLTON CR 01156 05/09 CR 11/25/08 0007108 BIG WHEEL TOURS/100 BIKE 100.00 DMARTIN 11/25/08 01 GM 01274 06/09 AP 12/02/08 0080945 WELLS FARGO BUSINESS CARD 1,008.84 7029 VISA CARD PYMT GM 01291 06/09 AP 12/15/08 0081082 PRINTWORKS 16,173.28 08-1271 ACTIVITES GUIDES GM 01350 06/09 AP 12/18/08 0080979 ZOO PRINTING, INC. 450.74 106875-A TRAIL MAP PRINTING GM 01460 07/09 AP 12/22/08 0081214 MCDOWELL AWARDS 32.33 2008-2657 SIGN/NAME BADGES GM 02561 11/09 AP 05/01/09 0083066 PRINTWORKS 85.91 09-0411 SURVEY CARDS GM 02638 12/09 AP 05/21/09 0083229 PRINTING PLACE, THE 958.09 090992 HIKING MAPS GM 02727. 12/09 AP 05/28/09 0083482 PRINTWORKS 16,812.75 09-0504 SUMMER BROCHURE ACCOUNT TOTAL 50,717.90 100.00 50,617.90. 101-3001-451.53-03 Services & Supplies / Membership Dues .00 GM 00130 01/09 AP 07/22/08 0078984 CAPRCBM 175.00 072208 ANNUAL DUES GM 00232 02/09 AP•07/26/08 0079259 NATIONAL RECREATION & PAR 95.00 20537 MEMBERSHIP DUES GM 01038 05/09 AP 11/12/08 0080668 NATIONAL RECREATION & PAR 530.00 23802 AGENCY MEMBERSHIP GM 01348 06/09 AP 12/19/08 0080999 CALIFORNIA PARKS & RECREA 155.00 113703 MEMBERSHIP-HYLTON GM 01348 '06/09 AP 12/19/08 0080999 CALIFORNIA PARKS & RECREA 155.00 029461 MEMBERSHIP-AMBRIZ GM 01629 08/09 AP 01/02/09 0081629 SCMAF 70.00 0027866 -IN MEMBERSHIP DUES ACCOUNT TOTAL 11180.00 11180.00 101-3001-451.53-04 Services & Supplies / Subscriptions/Publication .00 ACCOUNT TOTAL .00 101-3001-451.53-05 Services & Supplies / Training & Education .00 ACCOUNT TOTAL .00• PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 672 PROGRAM GM362LA CITY -------•------------------------------------------------- OF LA QUINTA, CALIFORNIA FUND 101 General Fund ---------- -------------- -------------------------------------------------- -- BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------ NUMBER PER. CD DATE NUMBER D 1-------------------------------------------------------------------------------------- E S C R I P T I O N DEBITS CREDITS --------------------- BALANCE 101-3001-451.54-01 Services 8 Supplies / Information Tech Charges .00 GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 22,979.00 ACCOUNT TOTAL 22,979.00 22,979.00 101-3001-451.55-01 Advertising/Promo / Advertising .00 GM 01770 08/09 AP -02/02/09 0081828 PAPER DIRECT INC 37.44 3483890801017 PAPER GM 01944 09/09 AP 03/05/09 0081935 BOARD OF EQUALIZATION 3.00 97-829622 FEB109 SALES TAX ACCOUNT TOTAL 40.44 40.44 101-3001-451.56-01 Services K Supplies / Office Supplies .00 GM 00130 01/09 AP 07/10/08 0078988 COW GOVERNMENT INC 576.11 KZS8420 SUPPLIES GM 00130 01/09 AP 07/15/08 0079109 STAPLES BUSINESS ADVANTAG 193.90 3105591278 SUPPLIES GM 00322 02/09 AP 08/06/08 0079484 STAPLES BUSINESS ADVANTAG 40.27 3106686034 SUPPLIES GM 00493 03/09 AP 08/30/08 0079909 STAPLES BUSINESS ADVANTAG 90.05 3107934963 OFFICE SUPPLIES GM 00529 03/09 AP 09/05/08 0079909 STAPLES BUSINESS ADVANTAG 213.12 3108050650 SUPPLIES GM 00595 03/09 AP 09/17/08 0079909 STAPLES BUSINESS ADVANTAG 27.64 3108525227 SUPPLIES GM 00667 04/09 AP 09/25/08 0080124 STAPLES BUSINESS ADVANTAG 70.47 3108804583 OFFICE SUPPLIES GM 00667 04/09 AP 09/27/08 0080124 STAPLES BUSINESS ADVANTAG 136.42 3109010084 OFFICE SUPPLIES GM 01038 05/09 AP 11/06/08 0080704 STAPLES BUSINESS ADVANTAG 57.19 3111104026 OFFICE SUPPLIES GM 01262 06/09 AP 12/04/08 0081108 STAPLES BUSINESS ADVANTAG 78.16 3112303094 OFFICE SUPPLIES GM 01458 07/09 AP 12/19/08 0081238 STAPLES BUSINESS ADVANTAG 30.89 3112845023 OFFICE SUPPLIES GM 01458 07/09 AP 12/31/08 0081238 STAPLES BUSINESS ADVANTAG 166.71 3113172267 OFFICE SUPPLIES GM 01531 07/09 AP 01/06/09 0081358 FRANKLIN COVEY 43.02 60426707 PLANNER -STEVE GM 01770 08/09 AP 02/10/09 0081882 STAPLES BUSINESS ADVANTAG 27.67 3115345642 OFFICE SUPPLIES GM 02159 10/09 AP 03/20/09 0082498 STAPLES BUSINESS ADVANTAG 42.22 3116928599 OFFICE SUPPLIES GM•02356 11/09 AP 04/28/09 0082891 STAPLES BUSINESS ADVANTAG 162.08 3118660071 OFFICE SUPPLIES GM 02561 11/09 AP 05/12/09 0083086 STAPLES BUSINESS ADVANTAG 367.02 3119416345 OFFICE SUPPLIES PREPARED uai12/2010, 9:26:27 GENERAL LEDGER _­'IVITY LISTING 673 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02561 11/09 AP 05/13/09 0083086 STAPLES BUSINESS ADVANTAG 199.81 3119430626 OFFICE SUPPLIES GM 02561 11/09 AP 05/13/09 0083086 STAPLES BUSINESS ADVANTAG 27.14 3119430625 RETURN CREDIT GM 02662 12/09 AP 05/14/09 0083170 COW GOVERNMENT INC 42.7.25 PCH5027 OPERATING SUPPLIES GM 02638 12/09 AP 05/18/09 0083222 OFFICE DEPOT 127.19 474503318-001 OFFICE SUPPLIES GM 02638 12/09 AP 05/22/09 0083246 STAPLES BUSINESS ADVANTAG 56.53 3119738049 OFFICE SUPPLIES GM 02727 12/09 AP 06/02/09 0083514 STAPLES BUSINESS ADVANTAG 20.84 3120391937 OFFICE .SUPPLIES GM 02788 12/09 AP 06/16/09 0083514 STAPLES BUSINESS ADVANTAG 31.23 3120896342 OFFICE SUPPLIES GM 02820 12/09 AP 06/16/09 0083514 STAPLES BUSINESS ADVANTAG 60.87 3120896343 OFFICE SUPPLIES GM 02870 12/09 AP 06/22/09 0083671 OFFICE DEPOT 54.86 477856357-001 B CARDS-VILLALPANDO ACCOUNT TOTAL 3,301.52 27.14 3,274.38 . 101-3001-451.56-02 Services & Supplies / Operating Supplies .00 GM 00325 02/09 AP 08/01/08 0079355 WELLS FARGO BUSINESS CARD 48.91 0028 7029 SUPPLIES GM 00369 03/09 AP 08/27/08 0079633 PRINTING PLACE, THE 312.48 081579 SUPPLIES -RESIDENT CARDS GM 00743 04/09 AP 09/30/08 0080104 PRINTING PLACE, THE 536.60 082472 RESIDENT CARD APPS GM 00960 05/09 AP 10/28/08 0080492 STAPLES BUSINESS ADVANTAG 51.56 3110474592 OFFICE SUPPLIES GM 01283 06/09 AP 12/11/08 0081081 PRINTING PLACE, THE 263.99 083250 RESIDENT CRD INFO GM 01713 08/09 AP 01/27/09 0081538 COW GOVERNMENT INC 680.03 NBR6671 PRINTER RIBBONS GM 01880 09/09 AP 02/16/09 0082063 WAL MART COMMUNITY 99.12 009762 HOMLESS CENSUS SUPPLIES GM 02167 10/09 AP 04/03/09 0082480 RALPHS CUSTOMER CHARGES 26.04 10517466 TRAILS LUNCH GM 02167 10/09 AP 04/03/09 0082480 RALPHS CUSTOMER CHARGES 34.99 10517467 TRAILS LUNCH GM 02475 11/09 AP 05/05/09 0082996 COW GOVERNMENT INC 686.55 NZG0455 RIBBONS -CARD PRNTR GM 02662 12/09 AP 05/14/09 0083170 COW GOVERNMENT INC 674.25 PCH5027 OPERATING SUPPLIES GM 02662 12/09 AP 05/28/09 0083229 PRINTING PLACE, THE 514.39 091045 RESIDENT CARD APPS ACCOUNT TOTAL 3,928.91 3,928.91 .t s PREPARED 03/12/2010,. 9:26:27 GENERAL LEDGER ACTIVITY+ LISTING PAGE 674 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund. BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3001-451.56-25 Services & Supplies / Software GM 02788 12/09 AP 06/11/09 0083539 VERMONT SYSTEMS INC 27296 CC UPGRADE ACCOUNT TOTAL 101-3001-451.71-01 Capital Purchases / Machinery & Equipment GM 00442 03/09 AP 08/27/08 0079582 CDW GOVERNMENT INC LNJ1241 MONITOR ACCOUNT TOTAL 101-3001-451.71-02 Capital•Purchases / Furniture ACCOUNT TOTAL 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 00309 02/09 AP 08/05/08 0079362 8/05/08 GM 00309 02/09 AP 08/05/08 0079369 081408 GM 00309 02/09 AP 08/05/08 0079385 081408 GM 00309 02/09 AP 08/05/08 0079411 081408 GM 00309 02/09 AP 08/.05/08 0079442 081408 GM 00309 02/09 AP 08/05/08 0079461 081408 GM 00309 02/09 AP 08/14/08 0079358 81408 GM 00689 03/09 AJ 09/30/08 JE 03-020 GM 01020 05/09 AP 11/05/08 0080383 GRANT GM 01020 05/09 AP 11/05/08 0080488 - GRANT GM 01020 05/09 AP 11/06/08 0080419 ALZHEIMER'S ASSOCIATION 1ST QUARTER CS GRANT BOYS & GIRLS CLUB OF COAC 1ST QUARTER CS GRANT COMMUNITY BLOOD BANK, INC 1ST QUARTER CS GRANT GENERAL PATTON DESERT TRA IST QUARTER CS GRANT LIVING DESERT, THE IST QUARTER CS GRANT PRESTIGE AT PGA WEST IST QUARTER CS GRANT ACT FOR MS 1ST QUARTER CS GRANT SOROPTOMIST GRANT AWARD AMERICAN CANCER SOCIETY 2ND QTR GRANT SOLDIERS ORGANIZED SERVIC 2ND QTR GRANT EISENHOWER MEDICAL CENTER 500.00 500.00 575.14 575.14 2,000.00 5,000.00 5,Ob0.00 2,000.00 5,000.00 5,000.00 2,000.00 4,050.00 2,500.00 5,000.00 1,000.00 .00 500.00 .00 575.14 .00 .00 .00 .00 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 675 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 GRANT 2ND QTR GRANT GM 01020 05/09 AP 11/06/08 0080403 CASA FOR•RIVERSIDE COUNTY 11000.00 GRANT 2ND QTR GRANT GM 01020 05/09 AP 11/06/08 0080446 LA QUINTA HIGH SCHOOL DEB 11000.00 GRANT 2ND QTR GRANT GM 01020 05/09 AP 11/06/08 0080447 LA QUINTA HIGH SCHOOL MOC 11000.00 GRANT 2ND QTR GRANT GM 01020 05/09 AP 11/06/08 0080389 BEN FRANKLIN ELEMENTARY S 11000.00 GRANT 2ND QTR GRANT GM 01372 06/09 AJ 12/31/08 JE 06-029 LIBRARY MTG POP WRNR 12/6 11160.00 GM 01621 07/09 AJ 01/29/09 AJE 7-013 OSHER INSTITUTE GRANT 3,780.00 GM 01622 07/09 AJ O1/31/09•AJE 7-013 OSHER INSTITUTE GRANT 3,780.00• GM 01715 08/09 AP 02/04/09 0081574 FAMILY YMCA OF THE DESERT 51000.00 08/09 GRANT FUNDING GM 01715 08/09 AP 02/04/09 0081573 FAMILY SERVICES OF THE DE 2,000.00 08/09 GRANT FUNDING GM 01715 08/09 AP 02/04/09 0081594 LA QUINTA LONGHORNS 11000.00 08/09 GRANT FUNDING GM 01715 08/09 AP 02/04/09 0081598 LIFESTREAM FOUNDATION 2,000.00 08/09 GRANT FUNDING GM 02452 11/09 AP 05/06/09 0082795 COLLEGE OF THE DESERT FOU 11000.00 050509 4TH QTR GRANT GM 02452 11/09 AP 05/06/09 0082840 LA QUINTA RUGBY CLUB 11000.00 050509 4TH QTR GRANT. GM 02452 11/09 AP 05/06/09 0082911 VIRGINIA WARING INTERNATI 11000.00 050509 4TH QTR GRANT GM 02459 11/09 AP 05/06/09 0082912 VISITING NURSE ASSOCIATIO 11000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082899 TOOLS FOR TOMORROW INC 51000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082882 SHELTER FROM THE STORM IN 51000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082854 NATIONAL LEAGE OF AMERICA 11000.00 . 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082838 LA QUINTA ENTERTAINMENT & 2,500.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082839 LA QUINTA HIGH SCHOOL WIN 21000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082819 GEMS OF THE DESERT/CITY 0 11000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082814 FELLOWSHIP OF CHRISTIAN A 51000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/06/09 0082799 DESERT CANCER FOUNDATION' 11000.00 050509 4TH QTR GRANT FUNDING GM 02459 11/09 AP 05/07/09 0082791 COACHELLA VALLEY SYMPHONY 4,500.00 080508 1ST QTR GRANT FUNDING GM 02459 11/09 AP 05/07/09 0082861 PALM SPRINGS CULTURAL CTR 3,500.00 110408 2ND QTR GRANT FUNDING GM 02451 11/09 AJ 05/31/09 AJE 11-008 REVERSE OSHER GRANT 3,780.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AcfIVITY LISTING PAGE 676 PROGRAM -GM362LA CITY OF LA QUINTA, CALIFORNIA 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 101-3001-451.80-01 Other / Contingency ACCOUNT TOTAL 95,770.00 3,780.00_ 91,990.00 101-3001-451.80-02 Other / Special Projects .00 ACCOUNT TOTAL .00 101-3001-451.80-03 Other'/ Contingency/LQ Arts Fdn .00 GM 00269 02/09 AP 08/14/08 0079438 LA QUINTA ARTS FOUNDATION 125,000..00 081408 CONTRACT AGREEMENT GM 01614 07/09 AJ 01/29/09 JE 07-012 LQ ART FDN SR CTR RENT 20,800.00 ACCOUNT TOTAL 145,800.00 145,800.00 101-3001-451.80-05 Other / Community Picnic .00 GM 02233 10/09 AP 02/02/09 0082422 CREATIVE MIST SYSTEMS INC 550.00 19700 MIST SYS a EVENT GM 02167 10/09 AP 04/06/09 0082423 CV PARTY RENTALS 3,982.02 032509 PICNIC EVENT -KID ZONE ACCOUNT TOTAL 4,532.02 4,532.02 101-3001-451.80-07 Other / FIND Food Bank .00 ACCOUNT TOTAL .00 101-3001-451.80-10 Other / Artist Appreciation Days .00 GM 01050 05/09 AP 11/18/08 0080558 WELLS FARGO BUSINESS CARD 230.32 7029 VISA CARD PYMT CR 01124 05/09 CR 11/19/08 0006818 BRODSKY/ARTIST APPRE DAY 12.00 DMARTIN• 11/19/08 01 ACCOUNT TOTAL 230.32 12.00 218.32 101-3001-451.80-15 Other / 25th Anniversary Events .00 ACCOUNT TOTAL .00 101-3001-451.80-20 Other / CSUSB .00 ACCOUNT TOTAL .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 677 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 101-3001-451.90-23 Other / 2-1-1 Hotline .00 GM 00006 01/09 AP 07/01/08 0078888 VOLUNTEER CENTER OF RIVER 3480.22 2008-09 211 HOTLINE ACCOUNT TOTAL 3,080.22 3480.22 101-3001-451.80-24 Other / Special Events/ Soap Bx D .00 GM 01291 06/09 AP 12/16/08 0081005 COACHELLA VALLEY COMMUNIT 11600.00 121608 SOAP BOX DERBY ACCOUNT TOTAL 11600.00 11600.00 101-3001-451.80-25 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 .'00 101-3001-451.80-40 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 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk wt.iIVITY LISTING PAVE 678 PROGRAM GM362LA - CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3001-451.80-60 Other / 4th of July Fireworks ACCOUNT TOTAL 101-3001-451.81-05 Culture & Recreation / Community Picnic ACCOUNT TOTAL 101-3001-451.81-10 Culture & Recreation / Artist Appreciation Days ACCOUNT TOTAL 101-3001-451.81-15 Culture & Recreation / 25th Anniversary Events ACCOUNT TOTAL 101-3001-451.91-11 Reimbursed Gen Fund Exp / Personnel GM 00193 01/09 AJ 07/31/08 JE 01-024 RDA SAL REIMB GM 00525 02/09 AJ 08/31/08 JE 02-040 RDA SAL REIMB GM 00771 03/09 AJ 09/30/08 JE 03-033 RDA SAL REIMB GM 00776 04/09 AJ 10/31/08 JE 04-006 RDA SAL REIMB GM 01270 05/09 AJ 11/30/08 JE 05-025 RDA SAL REIMB GM 01376 06/09 AJ 12/31/08 JE 06-033 RDA SAL REIMB GM 01663 07/09 AJ 01/31/09 JE 07-025 RDA SAL REIMB GM 01808 08/09 AJ 02/28/09 JE 08-009 RDA SAL REIMB GM 01968 09/09 AJ 03/31/09 JE 09-011 RDA SAL REIMB GM 02118 10/09 AJ 04/30/09 JE 10-004 RDA SAL REIMB GM 02573 11/09 AJ 05/31/09 JE 11-027 RDA SAL REIMB GM 02578 12/09 AJ 06/30/09 JE 12-004 RDA SAL REIMB ACCOUNT TOTAL 101-3001-451.91-12 Reimbursed Gen Fund Exp / Supplies/Service ACCOUNT TOTAL 101-3001-451.92-11 Other Charges / Fleet Maint Program Chrgs GM 00123 01/09 AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 BUDG ACCOUNT TOTAL .00 .00 .00 .00 .00 .00 .00 .00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 1,150.00 13,800.00 . 13,800.000R .00 .00 .00 9,267.00 9,267.00 9,267.00 101-3002-451.10-01 Salaries & Wages / Permanent Full Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 5,290.12 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAvt 679 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 101-300'2-451.10-01 Salaries & Wages / Permanent Full Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 149.78 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL• SUMMARY 51405.80 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 51405..80 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 51405.80 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 51405.80 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 51405.80 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 51405.81 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 51405.81 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 51405.80 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 51405.81 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 51405.81 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 5,722.32 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 5,523.61 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 61490.63 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 5,523.59 PR 01670 08/09 AJ 02/06/.09 PR0206 PAYROLL SUMMARY 5,523.60 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 5,523.59 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 5,647.49 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 5,592.39 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 5,592.40 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 5,592.41 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 5,592.40 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 5,592.41 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 5,592.41 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 5,592.40 PR 02791 12/09 AJ 0026/09 PR0626 PAYROLL SUMMARY 5,592.41 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 3,914.70 ACCOUNT TOTAL 147,956.92 101-3002-451.10-03 Salaries & Wages / Salaries - Part Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 149.78 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 238.99 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 266.14 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 191.83 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 168.20 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 203.65 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 185.42 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 160.63 PR nn899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 217.91 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 140.24 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 286.84 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 113.65 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 164.86 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 134.40 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 243.70 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 212.81 3,174.08 3,174.08 74.92 BEGINNING /ENDING BALANCE 144,782.84 .00 PREPARED u3i12/2010, 9:26:27 / PERS-City Portion GENERAL LEDGEk AU IVITY LISTING PAGE 680 PROGRAM GM362LA 07/11/08 PR0711 PAYROLL SUMMARY 665.02 PR 00035 CITY OF LA QUINTA, CALIFORNIA AJ 07/11/08 PR0711 PAYROLL SUMMARY ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund AJ 07/25/08 PR0725 PAYROLL SUMMARY BEGINNING GROUP ACCTG •----TRANSACTION---- AJ 08/08/08 PR0808 PAYROLL /ENDING APP NUMBER PER. ----------------- CD ; DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE SUMMARY Salaries & Wages / Salaries - Part Time 03/09 AJ PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 204.97 AJ PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 254.43 AJ PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY .125.10 AJ PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 202.27 AJ PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 225.22 AJ PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 211.05 AJ PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 251.14 AJ PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 198.56 AS PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 204.91 AJ PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 183.25 AJ PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 90.49 AJ ACCOUNT TOTAL 5,230.44 101-3002-451.10-05.Salaries & Wages / Temporary Agency Services ACCOUNT TOTAL 101-3002-451.10-18 Salaries & Wages / Natural Disaster -FEMA ACCOUNT TOTAL 101-3002-451.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 665.02 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 679.56 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 679.56 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 679.56 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 679.56 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 679.56 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 679.56 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 679.56 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 679.56. PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 679.56 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 679.56 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 719.35 PR 01292 06/09 AS 12/24/08 PR1224 PAYROLL SUMMARY 694.37 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 694.37 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 694.37 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 694.37 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 694.37 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 709.95 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 703.02 PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 703.02 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 703.02 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 703.02 74.92 5,155.52- .00 .00 . .00 .00 .00 399.01 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 681 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA. ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE 'NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.20-01 Employee Benefits / PERS-City Portion PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 703.02 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 703.02 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 703.02 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 703.02 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 474.53 ACCOUNT TOTAL 18,460.46 399.01 18,061.45 101-3002-451.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 423.21 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 253.93 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 432.47 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 432.47 PR 00323 .02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 432.47 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 432.47 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 432.47 PR 00634 04/09 AJ 10/03/08 PRi003 PAYROLL SUMMARY 432.47 PR -00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 432.47 PR 00899 04/09 AJ 10/31/08.PR1031 PAYROLL SUMMARY 432.47 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 432.47 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 432.47 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 457.79 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 441.89 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 441.89 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 441.89 PR 01670 08/09 AJ 02/06/09 PRO206 PAYROLL SUMMARY 441.89 PR 01791 08/09 AJ 02/20/09 PRO220 PAYROLL SUMMARY 441.89 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 451.80 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 447.39' PR 02126 10/09 AJ 04/03/09 PR0403• PAYROLL SUMMARY 447.39 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 447.39 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 447.39 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 447.39 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 447.39 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 447.39 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 447.39 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 313.17 ACCOUNT TOTAL 11,759.24 253.93 11,505.31 101-3002-451.20-03 Employee Benefits / PERS-Survivor Benefits .00 ACCOUNT TOTAL .00 101-3002-451.21-01 Insurance Benefits / Medical Insurance .00 PR 00035 01/09 AJ 07/1.1/08 PR0711 PAYROLL SUMMARY 1,534.89 PREPARED woi12/2010, 9:26:27 GENERAL LEDGER Ati'IVITY LISTING rAwt 682 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3002-451.21-01 PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00323 02/09 •AJ PR 00434 03/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01791 08/09 AJ PR 01902 09/,09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ - PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 07/11/08 PR0711 07/25/08 PR0725 07/25/08 PR0725 08/08/08 PR0808 08/08/08 PR0808 08/22/08 PR0822 08/22/08 PR0822 09/05/08 PR0905 09/05/08 PR0905 09/19/08 PR0919 09/19/08 PR0919 10/03/08 PR1003 10/03/08 PR1003 10/17/08 PR1017 10/17/08 PR1017 11/14/08 PR1114 11/14/08 PR1114 11/26/08 PR1126 11/26/08 PR1126 12/12/08 PR1212 12/12/08 PR1212 12/24/08 PR1224 12/24/08 PR1224 01/09/09 PR0109 01/09/09 PR0109 01/23/09 PRO123 01/23/09 PRO123 02/06/09 PR0206 02/06/09 PR0206 02/20/09 PR0220 02/20/09 PR0220 03/06/09•PR0306 03/06/09 PR0306 03/20/09 PR0320 03/20/09 PR0320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PRO612 06/12/09 PRO612 06/26/09 PRO626 06/26/09 PRO626 07/10/09 PR0710 / 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL.SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL 1,534.89 1,534.89 1,534.89 1,534.89 1,534.89 1,534.89 1,534.89 1,534.89 1,534.89 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,565.07 1,095.55 38,355.43 966.52 45.58 45.58 45.58 45.58 45.58 45.58 45.58 45.58 45.58 57.25 57.25 57.25 57.25 57.25 57.25 57.25 57.25 57.25 57.25, 57.25 57.25 11.16 54.36 2,129.26 36,226.17 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6i'IVITY LISTING rAVt 683 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.21-02 Insurance Benefits / Vision Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 28.01 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 16.81 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 28.01 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 28.01 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 28.01 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 28.01 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 28.01 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 28.01 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 28.01 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 28.01 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 28.01 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 28.01 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 28.01 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 28.01 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 28.01 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 28.01 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 28.01 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 28.01 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 28.01 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 28.01 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 28.01 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 28.01 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 28.01 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 28.01 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 28.01 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 20.91 ACCOUNT TOTAL 693.15 16.81 676.34 101-3002-451.21-03 Insurance Benefits / Dental Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 72.04 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 43.22 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 72.04 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 72.04 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 72.04 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 72.04 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 72.04 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 72.04 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 72.04 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 72.04 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 72.04 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 72.04 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 72.04 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 72.04 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 72.04 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 72.04 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 72.04 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 72.04 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6:IVITY LISTING YAUt 684 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ----------------------- ------------------- 101-3002-451.21-03 PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3002-451.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 .10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09. AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / Dental Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09'PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 101-3002-451.21-06 Insurance Benefits / Flexible Compensation ACCOUNT TOTAL 101-3002-451.21-07 Insurance Benefits / Long.Term Disability 72.04 72.04 72.04 72.04 72.04 72.04 72.04 50.43 1,779.39 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 9.60 6.72 237.12 43.22 5.76 5.76 1,736.17 .00 231.36 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AGIIVITY LISTING PAGE 685 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.21-07 Insurance Benefits / Long Term Disability PR 00035 01/09 AJ.07/11/08 PR0711 PAYROLL SUMMARY 58.39 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 35.03 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 58.39 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 58.39 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 58.39 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 58.39 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 58.39 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 58.39 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 58.39 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 58.39 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 58.39 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 58.39 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 59.66 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 59.66 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 59.66 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 59.66 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 59.66 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 59.66 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL• SUMMARY 60.41 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 60.41 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 60.41 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 60.41 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 60.41 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 60.41 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 60.41 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 60.41 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 60.41 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 42.29 ACCOUNT TOTAL 1,586.23 35.03 1,551.20 101-3002-451.25-01 Workers Comp Insurance / Workers Comp Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 160.48 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 95.84 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 166.53 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 167.33 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 165.12 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 164.43 PR 00530 03/09 AJ•09/19/08 PR0919 PAYROLL SUMMARY 165.47 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 164.94 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 164.21 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 165.89 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 163.60 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 167.93 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 172.16 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 167.80 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 195.44 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 170.13 PREPARED 03/12/2010, 9:26:27 Security -Medicare GENERAL LEDGER ACTIVITY LISTING PAGE 686 PROGRAM GM362LA 07/11/08 PR0711 PAYROLL SUMMARY 78.88 PR 00035 CITY OF LA QUINTA, CALIFORNIA AJ = PR0711 PAYROLL SUMMARY --------- FUND 101 ------- General ---- Fund --------- ------------- --------- ---------------------- --------------------------------------- ------------------- BEGINNING GROUP ACCTG ----TRANSACTION---- ' 08/08/08 PR0808 PAYROLL /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E St R I P T I 0 N DEBITS CREDITS BALANCE 101-3002-451.25-01 Workers Comp Insurance / Workers Comp Insurance 03/09 AJ PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 169.22 AJ PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 168.99 AJ PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 174.11 AJ PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 168.67 AJ PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 170.94 AJ PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 171.61 AJ PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 171.20 AJ PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 172.38 AJ PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 170.83 AJ PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 171.02 AJ PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 170.38 AJ GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 981.38 AJ PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 118.16 AJ 02/20/09 PR0220 PAYROLL ACCOUNT TOTAL 83.07 PR 4,518.97 1,077.22 3,441.75 101-3002-451.27-01 Other Benefits & Deduc. / State Unemployment SUI ACCOUNT TOTAL 101-3002-451.27-03 Other Benefits & Deduc. / Social Security -Medicare PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 78.88 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 81.85 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 82.25 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 81.17 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 80.83 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 81.34 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 81.07 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 80.72 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 81.55 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 80.43 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 82.55 PR 01259 06/09 AJ 12/11/08 PR1211 PAYROLL SUMMARY 4.34 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 84.63 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 82.49 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 96.06 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 83.63 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 83.18 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 83.07 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 85.58 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 82.91 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 84.02 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 84.35 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY. 84.15 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 84.73 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 83.97 47.11 .00 .00 .00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 687 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.27-03 Other Benefits & Deduc. / Social Security -Medicare PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 84.06 PR 02791 12/09 AJ 06/26/09 PR0626• PAYROLL SUMMARY 83.75. PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 58.07 ACCOUNT TOTAL 2,225.63 47.11 2,178.52 101-3002-451.27-05 Other Benefits & Deduc. / Social Security -FICA .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 9.29 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 4.65 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 14.82 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 16.50 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 11.89 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 10.43 PR 00530 03/09 AJ 09/19/08 PR0919• PAYROLL SUMMARY 12.62 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 11.49 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 9.96 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 13.51'. PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 8.69 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 17.78 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 7.05 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 10.22 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 8.34 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 15.11 PR 01'670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 13.19 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 12.71 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 15.77 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 7.76 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 12.54 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 13.96 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 13.08 PR .02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 15.57 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 12.31 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 12.70 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 11.36 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 5.61 ACCOUNT TOTAL 324.26 4.65 319.61 101-3002-451.32-10 Contract Services / Professional .00 GM 02353 10/09 AJ 04/30/09 AJE 10-025 REVERSE PREPAIDS 31990.00 GM 02690 12/09 AP 05/20/09 0083239 RSVP 4,500.00 003-009 SR VOLUNTEER PRG ACCOUNT TOTAL 8,490.00 8,490.00 101-3002-451.33-43 Contract Services / Instructors .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AU(IVITY LISTING PAGE 688 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ---------------------------=---------------------------------------------------=---------------------------------------------------- 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 7 ----------------------------------------------------- DEBITS CREDITS --------------------------------------- BALANCE 101-3002-451.33-43 Contract Services / Instructors GM 00054 01/09 AP 07/15/08 0078978 BURCKIN, LAURIE 84.00 110187 -EE INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/15/08 0078993 COMPUTER U LEARNING CENTE 315.00 VARIOUS INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/15/08 0079010 DUNHAM, KATHY 23.80 110128-5A/6A INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/15/08 0079053 MARSHALL, SALLY 263.20 VARIOUS INSTRUCTOR PAYMENT GM 00256 02/09 AP 08/05/08 0079203 COMPUTER U LEARNING CENTE 189.00 VARIOUS INSTRUCTOR PAYMENT GM 00256 02/09 AP 08/05/08 0079255 MARSHALL, SALLY 25.20 VARIOUS INSTRUCTOR PAYMENT GM 00369 03/09 AP 08/22/08 0079569 ALVAREZ, MARIA°PILAR 100.00 110118 -CC INSTRUCTOR PAYMENT GM 00528 03/09 AP 09/16/08 0079745 ALVAREZ, MARIA PILAR 232.40 091608 INSTRUCTOR PAYMENT GM 00528 03/09 AP 09/16/08 0079757 BODDEN, RENATE 220.50 091608 INSTRUCTOR PAYMENT GM 00528 03/09 AP 09/16/08 0079760 BURCKIN, LAURIE 42.00 091608 INSTRUCTOR PAYMENT GM 00743 04/09 AP 10/07/08 0080127 TAI CHI INSTITUTE OF SOUT 199.50 VARIOUS INSTRUCTOR PYMT GM 00743 04/09 AP 10/07/08 0080083 LESLIE, JANELLE 88.20 210125-1/1A INSTRUCTOR PYMT GM 00743 04/09 AP 10/07/08 0080051 DUNHAM, KATHY 251.30 VARIOUS INSTRUCTOR PYMT GM 00743 04/09 AP 10/07/08 0080010 ALVAREZ, MARIA PILAR 243.60 VARIOUS INSTRUCTOR PYMT GM 00743 04/09 AP 10/07/08 0080020 SODDEN, RENATE 80.50 210103-A INSTRUCTOR PYMT GM 00743 04/09 AP 10/07/08 00800'88 HEEDS, WAYNE 160.00 VARIOUS INSTRUCTOR PYMT GM 00779 04/09 AP 10/07/08 0080110 RICHARDS, FRANCES 189.00 VARIOUS INSTRUCTOR PYMT GM 00875 04/09 AP 10/21/08 0080235 DUNHAM, KATHY 95.20 VARIOUS INSTRUCTOR PYMT GM 00875 04/09 AP 10/21/08 0080266 LARSON, MARJEAN 614.60 210104-1A/B/C INSTRUCTOR PYMT GM 00886 04/09 AP 10/21/08 0080216 BECKNER, VICKI 462.00 VARIOUS INSTRUCTOR PYMT GM 00976 05/09 AP 11/03/08 0080361 DUNHAM, KATHY 452.90 .210128-1/lE INSTRUCTOR PYMT GM 01020 05/09 AP 11/04/08 0080382 ALVAREZ, MARIA PILAR 87.50 210118/121 INSTRUCTOR PYMT GM 01020 05/09 AP 11/04/08 0080408 COMPUTER U LEARNING CENTE 126.00 210121/152 INSTRUCTOR PYMT GM 01020 05/09 AP 11/04/08 0080394 BODDEN, RENATE 154.00 210119 INSTRUCTOR PYMT GM 01020 05/09. AP 11/04/08 0080399 CAPUTO, ROSEMARY 140.00 1WAd Hoi3n?J1SNI 48-4810iZ 06'£5 31SON IH390H `31Ad 1580800 e0/£0/Zi dV 60/90 06110 W9 1WAd Holo HISNI 0/OZ-sZi01Z 08'91 31I3NVf `3I1S31 SZ80e00 e0/£0/Zi dV 60/90 06110 W9 1WAd ?J010J HISNI eZ-4010iZ OL'S£ NV3rHvw `NOSHVI LZ90900 80/£0/Zi dV 60/90 06110 W9 1WAd ?J010f HISNI 8Zi/Z£101Z W S6 AHIVA `WVHNJIO 9USU8UU OU/UM dV 60/90 06110 W9 1WAd J9010nHISNI Z-S£iOiZ 00'Obi WI3H AHVW3SOH oindV3 M0900 80/£0/Z1 dV 60/90 06110 W9 1WAd ?J010nH.LSNI 3/e/V£-61101Z 00'08Z 31VN3H `N30006 Z8L0800 80/90/Zi dV 60/90 06110 W9 1WAd ?J010f HISNI TZi/8ii01Z 08'905 HV1Id VIHVW `Z3HVAIV LLL0900 80/£0/Zi dV 60/90 06110 W9 1WAd Holo HISNI 0/0/V1-££1012 09'45 VNHOI `NOSdWOHl U90800 80/£0/Zi dV 60/90 06110 W9 1WAd Holo HISNI £e/Ze-4810TZ O4'LZi 31e0N IH390H `31Ad 8890800 80/81/11 dV 60/50 O40i0 W9 1WAd Hoio HISNI 301012 OL'S£ NV3rHvw `NOSHVI 0590800 80/81/11 dV 60/SO 04010 W9 1WAd 8017(1nSNI 1110TUCTI01Z 00'S0i 31N33 9NINHV31 n H31ndW00 5650800 80/81/11 dV 60/50 MID W9 1WAd J9010nHISNI Z£IOU/9Z101Z 09'106 AH1VN `WVHNna 8090800 80/81/11 dV 60/50 O40i0 W9 1WAd J9010nHISNI eZ/VZ/Z-5ZTOIZ 09'SL 3113NVf `3IIS31 4590800 80/81/11 dV 60/S0 04010 W9 1WAd ?J010nHJLSNI et/V1-££10lz OZ'4L VNHOl `NOSdWOHl LOL0900 80/81/ii dV 60/50 04010 W9 1WAd J9010nHiSNI 1-Zololz 09'10Z V NOIHOW `13NNIM Z990900 80/40/ii dV 60/90 bIZIO W9 1WAd J9010nH.LSNI 1-Lololz 091102 V NOIHOW `13NNIM 8150800 80/40/ii dV 60/SO OZ010 W9 1WAd J9010nH.LSNI V-0£1012 00'51£ 'e V013 `lOWIIM L190900 80/40/ii dV 60/50 OZ010 W9 1WAd J9010nHISNI VV-69101Z 00's4Z l S31HVH0 `NVAII1f1S 5640800 80/40/11 dV 60/50 OZ010 W9 1WAd ?IOlOJ HISNI 01/81-ILICIZ 00'82 S30NVHA `SGHVHOIH £840800 80/40/ii dV 60/50 OZ010 W9 1WAd Holo HISNI ee/ie-48i0iZ 01'L8£ 31GON JLH390H `31Ad 5L40800 80/40/11 dV 60/50 OZ010 W9 1WAd 21010f181SNI Z-OZ10iZ 00'681 1noS d0 31niIISNI IH0 IVl 9640800 WWII dV 60/50 OZ010 W9 1WAd ?J010f181SNI H-36-£11OIZ 00'091 3NAVM S033W 0940800 WWII dV 60/50 OZ010 W9 1WAd ?1010) HISNI 01/81-5ZTOTZ 04'8 3113NVf `3IIS31 2540800 WWII dV 60/50 OZ010 W9 1WAd Hoi3 HISNI 40i0iZ 09'L4 NV3rHvw `NOSHVI 6440800 80/40/ii dV 60/50 OZ010 W9 1WAd ?JOJ.OnHISNI 5£tOZZ s.ioloni4sul / 983MAJOS 4*eJ4u00 £4-££'154-Z00£-i0i ------------------------------------------------------------------------------------------------------------------------------------ 30NV1V8 S1I03H3 S1Ie30 N 0 I 1 d I H 0 S 3 0 H3swnN 31V0 00 *H3d H38Wf1N ddV 9NION3/ ----NOI13VSNVHI---- 9133V dnoHo SNINNIS39 ------------------------------------------------------------------------------------------------------------------------------------ punct ier6u99 101 QNnj VINHOdIIVO `V1NInb VI d0 ALIO V1Z9£W9 WVHSOHd 699 arida 9NIISII AlIAI.I"w 'J39031 IVH3N39 LZ:9Z:6 101OZ/Zi/cn 03HVd3Hd PREPARED w�,12/2010, 9:26:27 GENERAL LEDGER N6i*IVITY LISTING FAUt 690 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA =- - ---- FUND ----- 101 -------- General --- Fund ----------------- ----------------------------------- -------------------------------------- ------------------- BEGINNING GROUP 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 01190 06/09 AP 12/03/08 0080855 RICHARDS, FRANCES 112.00 210174-2 INSTRUCTOR PYMT GM 01190 06/09 AP 12/03/08 0080855 RICHARDS, FRANCES 21.00 210171-2A/3A/4A 'INSTRUCTOR PYMT GM 01265 06/09 AP 12/16/08 0080518 WINKEL, MORTON A 201.60 210107-1 INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081116 THOMPSON, LORNA 56.00 210133-1E/F INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081086 PYLE, ROBERT NOBLE 93.10 210184-B5/6 INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081062 MEEDS, WAYNE 80.00 210113-90/P INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081056 LESLIE, JANELLE 8.40 210125-2E/F INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081054 LARSON, MARJEAN 706.30 210104-2A/C/D INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081023 DUNHAM, KATHY 35.70 210132-B4 INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0080993 BODDEN, RENATE 21.00 210119-311 INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0081009 COMPUTER U LEARNING CENTE 105.00 VARIOUS INSTRUCTOR PYMT GM 01283 06/09 AP 12/16/08 0080983 ALVAREZ, MARIA PILAR 464.80 210118/210121 INSTRUCTOR PYMT GM 01348 06/09 AP 12/23/08 0081116 THOMPSON, LORNA 14.00 210133-1G INSTRUCTOR PAYMENT GM 01348 06/09 AP 12/23/08 0081095 RICHARDS, FRANCES 7.00 210174-5A INSTRUCTOR PAYMENT GM 01348 06/09 AP 12/23/08 0081023 DUNHAM, KATHY 35.70 210128-21) INSTRUCTOR PAYMENT GM 01348 06/09 AP 12/23/08 0080993 SODDEN, RENATE 14.00 210119-3E INSTRUCTOR PAYMENT GM 01575 07/09 AP 01/20/09 0081446 THOMPSON, LORNA 162.40 310133-1A/B/C INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081427 RICHARDS, FRANCES 77.00 310174-A/A1/A2 INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081444 TAI CHI INSTITUTE OF SOUT 7.00 310120-1B INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081444 TAI CHI INSTITUTE OF SOUT 234.50 310120-1/IA/1C INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081317 ALVAREZ, MARIA PILAR 715.40 3408n5-1. INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081384 LARSON, MARJEAN 1,703.80 310104-D1/2/3/K INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081349 DUNHAM, KATHY 11198.40 310128/310132 INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081326 BURCKIN, LAURIE 67.20 310187 -AA INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081325 BODDEN, RENATE 168.00 PREPARED uoil2/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 691 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 310119-1/A/B/C INSTRUCTOR PYMT GM 01575 07/09 AP 01/20/09 0081337 COMPUTER U LEARNING CENTE 525.00 VARIOUS INSTRUCTOR PYMT GM 01629 08/09 AP 01/20/09 0081635 SOUZA, DEBRA 220.50 . 310108 INSTRUCTOR PYMT GM 01715 08/09 AP 01/20/09 0081635 SOUZA, DEBRA 220.50 310108-A/l/2/3 INSTRUCTOR'PYMT GM 01755 08/09 AP 01/20/09 0081694 SOUZA, DEBRA 220.50 310108-A/l/2/3 INSTRUCTOR PYMT GM 01755 08/09 AP 01/20/09 0081694 SOUZA, DEBRA 24.50 310108-A4 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081398 NEEDS, WAYNE 160.00 310113-A1/2/3/4 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081387 LESLIE, JANELLE 78.40 310125-A1/2/3 INSTRUCTOR PYMT GM 01715 •08/09 AP 02/03/09 0081642 THOMPSON, LORNA 35.00 310133-1D/lE INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081635 SOUZA, DEBRA 24.50 310108-A4 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081625 RICHARDS, FRANCES 7.00 310174-A3 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081619 PYLE, ROBERT NUBLE 107.80 310184-A1 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081597 LARSON, MARJEAN 35.70 310104-D4/5/Kl INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081569 DUNHAM, KATHY 345.10 310128/132 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081536 CAPUTO, ROSEMARY HEIM 140.00 310135-1A INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081529 BODDEN, RENATE 437.50 310103/119 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081550 COMPUTER U LEARNING CENTE 84.00 310141-2 INSTRUCTOR PYMT GM 01715 08/09 AP 02/03/09 0081519 ALVAREZ, MARIA PILAR 79.10 VARIOUS INSTRUCTOR PYMT GM 01758 08/09 AP 02/11/09 0081635 SOUZA, DEBRA 220.50 310108 INSTRUCTOR PYMT GM 01758 08/09 AP 02/11/09 0081635 SOUZA, DEBRA 220.50 310108-A/l/2/3 INSTRUCTOR PYMT GM 01758 08/09 AP 02/11/09 0081635 SOUZA, DEBRA 24.50 310108-A4 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081731 ALVAREZ, MARIA PILAR 654.50 VARIOU INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081747 COMPUTER U LEARNING CENTE 483.00 VARIOU INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081736 SODDEN, RENATE 7.00 310103-1C INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081740' CAPUTO, ROSEMARY HEIM 35.00 310135-1A INSTRUCTOR PYMT PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 692 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 1.01-3002-451.33-43 Contract Services / Instructors GM 01832 08/09 AP 02/17/09 0081764 DUNHAM, KATHY 238.00 310128/132 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081801 LARSON, MARJEAN 1,021.30 310104-L/L1 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081802 LESLIE, JANELLE 4.20 310125-A4 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081810 MEEDS, WAYNE 160.00 310113-B1/2/3/4 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081834 PYLE, ROBERT NOBLE 426.30 310184-A INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081840 RICHARDS, FRANCES 182.00 310174-B/l/2/3 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081851 SOUZA, DEBRA 34.30 310108-A5/B1 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081855 THOMPSON, LORNA 250.60 310133-1F/2A/2B INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082312 THOMPSON, LORNA 91.00 310133-2C/D/E/F INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082306 SULLIVAN, CHARLES L 147.00 310189-A INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082303 SOUZA, DEBRA 254.80 310108-B/2/3/4 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082281 RICHARDS, FRANCES 56.00 310174-B4/5/6 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082273 PYLE, ROBERT NOBLE 230.30 310184-A4/5/6 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082311 TAI CHI INSTITUTE OF SOUT 164.50 310120-2/A INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082253 MEEDS, WAYNE 160.00 310113-C1/2/3/4 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082246 LARSON, MARJEAN 59.50 310104-L1/2/3 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082203 DUNHAM, KATHY 1,229.90 VARIOUS INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082175 BURCKIN, LAURIE 77.70 310187-B1/B INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082174 SODDEN, RENATE 385.00 310119/103 INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082163 ALVAREZ, MARIA PILAR 539.70 VARIOUS INSTRUCTOR PYMT GM 02052 09/09 AP 03/18/09 0082189 COMPUTER U LEARNING CENTE 798.00 VARIOUS INSTRUCTOR PYMT GM 01985 09/09 AP 03/19/09 0082111 MEEDS, WAYNE 80.00 34151 INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082502 THOMPSON, LORNA 256.20 310133-3A/C INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082497 SOUZA, DEBRA 19.60 310108-B5/6 INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082486' RICHARDS, FRANCES 119.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 693 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA -----------------7--------------------------------------------------------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 O N DEBITS CREDITS BALANCE 101-3002-451.33-43 Contract Services / Instructors 310174-C/1 INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082457 LESLIE, JANELLE 64.40 310125-B1/2/3 INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082431 DUNHAM, KATHY 226.10 VARIOUS INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082413 CAPUTO, ROSEMARY HEIM 105.00 310135-2A INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082408 BURCKIN, LAURIE 71.40 310187-C1/C INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082406 SODDEN, RENATE 108.50 310119-3/4 INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082421 COMPUTER U LEARNING CENTE 567.00 VARIOUS INSTRUCTOR PYMT GM 02224 10/09 AP 04/07/09 0082401 ALVAREZ, MARIA PILAR 565.60 VARIOUS INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082688 THOMPSON, LORNA 14.00 310133-4A/B INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082685 SULLIVAN, CHARLES L 196.00 310189-B INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082683 SOUZA, DEBRA 102.90 310180-C/1/2 INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082671 RICHARDS, FRANCES 28.00 310174-C2/3' INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082666 PYLE, ROBERT NOBLE 338.10 310184-B/1/2 INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082643 MEEDS, WAYNE 160.00 310113-D1/2/3/4 INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082634 LESLIE, JANELLE 16.80 310125-B4/C2 INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082603 DUNHAM, KATHY 190.40 VARIOUS INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082577 BODDEN, RENATE 52.50 310119-4/A/B INSTRUCTOR PYMT GM 02278 10/09 AP 04/21/09 0082592 COMPUTER U LEARNING CENTE 273.00 VARIOUS INSTRUCTOR PYMT GM 02278 10/09 AP•04/21/09 0082562 ALVAREZ, MARIA PILAR 33.60 VARIOUS INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082806 DUNHAM, KATHY 107.10 VARIOUS INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082919 WINKEL, MORTON A 436.80 310107-2 INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082890 SOUZA, DEBRA 29.40 310108-C3/4/5 INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082878 RICHARDS, FRANCES 77.00 310174-D1/2/3/D INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082871 PYLE, ROBERT NOBLE 191.10 310184-B3/4 INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082845 LESLIE, JANELLE 54.60 310125-C1/4/5 INSTRUCTOR PYMT PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk AcfIVITY LISTING PAGE 694 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02452 11/09 AP 05/05/09 0082779 BODDEN, RENATE 14.00 310119-4C INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082796 COMPUTER U LEARNING CENTE 210.00 VARIOUS INSTRUCTOR PYMT GM 02452 11/09 AP 05/05/09 0082768 ALVAREZ, MARIA PILAR 36.40 VARIOUS INSTRUCTOR PYMT GM 02467 11/09 AP 05/11/09 0082937 LARSON, MARJEAN 11008.00 310104-M INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083085 SOUZA, DEBRA 9.80 310108-C6 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083089 THOMPSON, LORNA 7.00 310133-6F INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083101 WINKEL, MORTON A 235.20 310107-3 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083069 PYLE, ROBERT NOBLE 171.50 310184-B5/6 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083054 HEEDS, WAYNE 160.00 310113-E1/2/3/4 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083046 LESLIE, JANELLE 4.20 310125-C6 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0082992 CAPUTO, ROSEMARY HEIM 105.00 310135-3 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0082986 BODDEN, RENATE 73.50 310119-5 INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0083005 COMPUTER U LEARNING CENTE 84.00 VARIOUS INSTRUCTOR PYMT GM 02581 11/09 AP 05/19/09 0082976 ALVAREZ, MARIA PILAR 554.40 VARIOUS INSTRUCTOR PYMT GM 02694 12/09 AP 06/04/09 0083268 COMPUTER U LEARNING CENTE 21.00 310151-5A INSTRUCTOR PYMT GM 02696 12/09 AP 06/04/09 0083353 ALVAREZ, MARIA PILAR 18.20 310118/121 INSTRUCTOR PYMT GM 02746 12/09 AP 06/17/09 0083513 SOUZA, DEBRA 161.70 110107-A1/A INSTRUCTOR PYMT GM 02746 12/09 AP 06/17/09 0083362 BODDEN, RENATE 129.50 110119-A1/A INSTRUCTOR PYMT GM 02746 12/09 AP 06/17/09 0083384 COMPUTER U LEARNING CENTE 189.00 VARIOUS INSTRUCTOR PYMT GM 02746 12/09 AP 06/17/09 0083352 ALVAREZ, MARIA ISABEL 5.60 110118-A1 INSTRUCTOR PYMT GM 02746 12/09 AP 06/17/09 0083352 ALVAREZ, MARIA ISABEL 514.50 110121-1/A1 INSTRUCTOR PYMT ACCOUNT TOTAL 33,864.20 667.10 33,197.10 101-3002-451.34-04 Contract Services / Technical .00 GM 00588 03/09 AP 09/15/08 0079741 ADVANCED BUSINESS CONCEPT 245.00 12410 JANITORIAL PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING,_ rAvt 695 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER ---------------------------------------------------- D E S C R I P T I O N ---------------------------------------------------------------- DEBITS CREDITS BALANCE ---------------- 101-3002-451.34-04 Contract Services / Technical GM 00886 04/09 AP 09/15/08 0080206 ADVANCED, INC. 245.00 12410 JANITORIAL GM 00796 04/09 AP 10/17/08 0.080233 DSFE/SENIOR INSPIRATION A 2,500.00 ADOLPH • 2009 SENIOR AWARDS GM 00893 04/09 AP 10/27/08 0079741 ADVANCED BUSINESS CONCEPT 245.00 . 12410 JANITORIAL ACCOUNT TOTAL 101-3002-451.41-01 Utilities / Electric GM 00244 02/09 AP 07/22/08 0079171 49822656 GM 00363 02/09 AP 08/20/08 0079515 49919876 GM 00720 04/09 AP 09/21/08 0079983 114710823 GM 00924 04/09 AP 10/29/08 0080338 50123250 GM 01153 06/09 AP 11/19/08 0080747 50014663 GM 01443 07/09 AP 12/22/08 0081145 50014663 GM 01685 08/09 AP 01/22/09 0081495 50014663 GM 01905 09/09 AP 02/23/09 0081906 50014663 ' GM 02176 10/09 AP 03/23/09 0082377 50014663 GM 02434 11/09 AP 04/22/09 0082749 50014663 GM 02650, 12/09 AP 05/20/09 0083135 50014663 GM 02886 12/09 AP 06/21/09 0083606 50014663 ACCOUNT TOTAL 101-3002-451.41-13 Utilities / Gas GM 00188 01/09 AP 07/24/08 0079148 09422738006 GM 00363 02/09 AP 08/22/08 0079513 09422738006 GM 00590 03/09 AP 09/22/08 0079729 09422738006 GM 00924 04/09 AP 10/22/08 0080336 09422738006 GM 01153 06/09 AP 11/19/08 0080743 -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 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 GAS COMPANY, THE GAS SVC GAS COMPANY, THE GAS SVC GAS COMPANY, THE GAS SVC GAS COMPANY, THE GAS SVC GAS COMPANY, THE 2,990.00 3,315.79 3,061.61 2;637.99 2,034.33 1,706.02 1,303.57 1,568.34 1,377.71 1,409.48 1,303.57 2,235.55 2,256.73 24,210.69 117.24 110.07 106.46 109.82 113.84 245.00 2,745.00 .00 24,210.69 00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AVfIVITY LISTING PAGE 696 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING 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 09422738006 GAS SVC GM 01443 07/09 AP 12/23/08 0081142 GAS COMPANY, THE 234.05 09422738006 GAS SVC GM 01685 08/09 AP 01/26/09 0081493 GAS COMPANY, THE 437.88 09422738006 GAS SVC GM 01905 09/09 AP 02/25/09 0081904 GAS COMPANY, THE 331.21 09422738006 GAS SVC GM 02176 10/09 AP 03/26/09 0082375 GAS COMPANY, THE 130.92 09422738006 GAS SVC GM 02434 11/09 AP 04/24/09 0082747 GAS COMPANY, THE 76.80 09422738006 - GAS SVC -SR CTR GM 02650 12/09 AP 05/26/09 0083131 GAS COMPANY, THE 59.36 09422738006 GAS 4/22-5%21 GM 02839 12/09 AP 06/24/09 0083557 GAS COMPANY, THE 63.67 09422738006 GAS 5/21-6/22 ACCOUNT TOTAL 1,891.32 1,891.32 101-3002-451.41-16 Utilities / Water -Inside .00 GM 00122 01/09 AP 07/10/08 0078940 COACHELLA VALLEY WATER DI 415.15 VARIOUS WATER SVC GM 00325 02/09 AP 08/15/08 0079337 COACHELLA VALLEY WATER DI 434.95 VARIOUS WATER SVC GM 00532 03/09 AP 09/09/08 0079697 COACHELLA VALLEY WATER DI 441.16 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 384.79 VARIOUS WATER SVC GM 01050 05/09 AP 11/18/08 0080547 COACHELLA VALLEY WATER DI 373.81 VARIOUS WATER SVC GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 345.35 VARIOUS - WATER SVC GM 01592 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI 292.23 VARIOUS WATER SVC GM 01793 08/09 AP 02/18/09 0081706 COACHELLA-VALLEY WATER DI 263.50 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 193.00 VARIOUS WATER SVC GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 258.41 •VARIOUS WATER SVC GM 02467 11/09 AP 05/13/09 0082926 COACHELLA VALLEY WATER DI 331.18 VARIOUS WATER SVC GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 375.11 VARIOUS WATER SVC GM 02905 12/09 AP 07/16/09 0083771 COACHELLA VALLEY WATER DI 425.73 VARIOUS WATER SVC ACCOUNT TOTAL 4,534.37 4,534.37 PREPARED uo112/2010, 9:26:27 GENERAL LEDGEk AViIVITY LISTING PAGE 697 PROGRAM GM362LA CITY OF LA.QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER -------------- PER. 7---------------------------------------------------------------------------------------------------------------------- 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 .00 GM 00322 02/09 AP 08/09/08 0079359 ADT SECURITY SERVICES 238.14 77091357 ALARM SVC -SR CNTR GM 00528 03/09 AP 09/05/08 0079740 ADT SECURITY SERVICES 167.00 78273124 ALARM SERVICE GM 00588 03/09 AP 09/06/08 0079740 ADT SECURITY SERVICES 238.14 75244591 SECURITY ALARM GM 00588 03/09 AP 09/06/08 0079740 ADT SECURITY SERVICES 3.57 906814 FINANCE CHARGE GM 00588 03/09 AP 09/06/08 0079740 ADT SECURITY SERVICES 238.14 78874276 SECURITY ALARM GM 00667 04/09 AP 09/22/08 0080007 ADT SECURITY SERVICES 367.00 79700481 ALARM SVC GM 00845 04/09 AP 10/04/08 0080186 ADT SECURITY SERVICES 238.14 80602859' ALARM SVC -SR CTR GM 00865 04/09 AP 10/10/08 0080292 POWER PLUS 170.12 S33623-303166 GNRTR MAINT-LVL#1 GM 01531 07/09 AP 10/17/08 0081366 HOARD INC, HUGH 285.16 54279 REPAIR &•MAINT GM 01153 06/09 AP 11/08/08 0080728 ADT SECURITY SERVICES 238.14 82412102 SECURITY SVC -SR CTR GM 01350 06/09 AP 12/06/08 0080961 ADT SECURITY SERVICES 253.86 84198216 SECURITY SVC -SR CTR GM 01532 07/09 AP 01/03/09 0081286 ADT SECURITY SERVICES 253.86 85907835 SECURITY SVC -SR CTR GM 01793 08/09 AP 02/07/09 0081704 ADT SECURITY SERVICES 253.86 87727350 SECURITY SVC GM 02065 09/09 AP 03/07/09 0082131 ADT SECURITY SERVICES 253.86 89506448 SECURITY -SR CTR GM 02475 11/09 AP 03/16/09 0083083 SOUTH COAST AIR QUALITY M 109.00 2047011 GENERATOR PERMIT GM 02475 11/09 AP 03/16/09 0083083 SOUTH COAST AIR QUALITY M 293.21 2046311 GENERATOR PERMIT GM 02277 10/09 AP 04/04/09 0082532 ADT SECURITY SERVICES• •253.86 91259611 MAY109 SR CTR -SECURITY GM 02341 11/09 AP 04/16/09 0082865 POWER PLUS 365.78 S33623-321447 SR CTR -GENERATOR MAINT GM 02446 11/09 AP 04/29/09 0082865 POWER PLUS 612.69 S33623 -324943A SR CTR GENERATOR REPAIR GM 02551 11/09 AP 05/09/09 0082949 ADT SECURITY SERVICES 253.86 93077317 SECURITY GM 02810 12/09 AP 06/06/09 0083304 ADT SECURITY SERVICES 253.86 94848182 JUL109 SECURITY ACCOUNT TOTAL 5,341.25 5,341.25 101-3002-451.42-15 Contract Services / Janitorial .00 GM 00054 01/09 AP 07/01/08 0078963 ADVANCED, INC. 11301.51 12227 JANITORIAL SERVICE PREPARED uai12/2010, 9:26:27 GENERAL LEDGER ..ti'IVITY LISTING PAGE 698 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 101-3002-451•.42-15 Contract Services / Janitorial GM 00327 02/09 AP 07/03/08 0079364 AMERIPRIDE UNIFORM SERVIC 126.89 L838929-0708 JANITORIAL GM 00327 02/09 AP 07/17/08 0079364• AMERIPRIDE UNIFORM SERVIC 127.89 L851340-0708 JANITORIAL GM 00327 02/09 AP 07/31/08 0079364 AMERIPRIDE UNIFORM SERVIC 132.64 L863785-0708 JANITORIAL GM'00257 02/09 AP 08/01/08 0079188 ADVANCED, INC. 11301.51 12293 JANITORIAL GM 00528 03/09 AP 08/14/08 0079748 AMERIPRIDE UNIFORM SERVIC 132.64 L876119-0808 JANITORIAL GM 00528 03/09 AP 08/14/08 0079748 AMERIPRIDE UNIFORM SERVIC 127.89 L888524-0808 JANITORIAL GM 00534 03/09 AP 09/01/08 0079742 ADVANCED, INC. 11301.51 12357 JANITORIAL SERVICES GM 00794 04/09 AP 09/11/08 0080212 AMERIPRIDE UNIFORM SERVIC 127.89 L100887-0908 JANITORIAL GM 00794 04/09 AP 09/25/08 0080212 AMERIPRIDE UNIFORM SERVIC 127.89 L113365-0908 JANITORIAL GM 00794 04/09 AP 10/01/08 0080206 ADVANCED, INC. 11301.51 12436 JANITORIAL GM 01283 06/09 AP 10/09/08 0080986 AMERIPRIDE UNIFORM SERVIC 127.89 L125805 JANITORIAL GM 01283 06/09 AP 10/23/08 0080986 AMERIPRIDE UNIFORM SERVIC 127.39 L138247 JANITORIAL GM 01012 05/09 AP 11/01/08 0080381 ADVANCED, INC. 11301.51 12484 JANITORIAL GM 01283 06/09 •AP 11/06/08 0080986 AMERIPRIDE UNIFORM SERVIC 127.39 LIS0640 JANITORIAL GM 01283 06/09 AP 11/20/08 0080986 AMERIPRIDE UNIFORM SERVIC 127.39 L163083 JANITORIAL GM 01214 06/09 AP 12/01/08 0080776 ADVANCED, INC. 11301.51 12537 JANITORIAL SVC GM 01531 07/09 AP 12/04/08 0081321 AMERIPRIDE UNIFORM SERVIC 133.50 L175500-1208 JANITORIAL GM 01531 07/09 AP 12/04/08 0081321 AMERIPRIDE UNIFORM SERVIC 133.50 L187977-1208. JANITORIAL GM 01458 07/09 AP 01/01/09 0081167 ADVANCED, INC. 11301.51 12592 JANITORIAL GM 01472 07/09 AP 01/01/09 0081256 ADVANCED, INC. 11301.51 12592 JANITORIAL GM 01713 08/09 AP 02/01/09 0081514 ADVANCED, INC. 11301.51 12676 JANITORIAL SVC GM 02066 09/09 AP 02/28/09 0082167 AMERIPRIDE UNIFORM SERVIC 133.50 L200247-0109 JANITORIAL GM 02066 09/09 AP 02/28/09 0082167 AMERIPRIDE UNIFORM SERVIC 133.50 L212620-0109 JANITORIAL GM 02066 09/09 AP 02/28/09 0082167 AMERIPRIDE UNIFORM SERVIC 133.50 L224987-0109 JANITORIAL GM 02066 09/09 AP 02/28/09 0082167 AMERIPRIDE UNIFORM SERVIC 133.50 PREPARED u*i12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING FAWt 699 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 L237328-0209 JANITORIAL GM 02066 09/09 AP 02/28/09 0082167 AMERIPRIDE UNIFORM SERVIC 133.50 L249657-0209 JANITORIAL GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 11301.51 12708 JANITORIAL SVC GM 02278 10/09 AP 03/31/09 0082567 AMERIPRIDE UNIFORM SERVIC 133.50 L262036-0309 JANITORIAL GM 02278 10/09 AP 03/31/09 0082567 AMERIPRIDE UNIFORM SERVIC 133.50 L274370-0309 JANITORIAL GM 02224 10/09 AP 04/01/09 0082399 ADVANCED, INC. 11301.51 12776 JANITORIAL SVC GM 02160 10/09 AP 04/02/09 0081167 ADVANCED, INC. 11301.51 12592 JANITORIAL GM 02475 11/09 AP 04/09/09 0082978 AMERIPRIDE UNIFORM SERVIC 133.50 L286691-0409 JANITORIAL GM 0.2475^ 11/09 AP 04/23/09 0082978 AMERIPRIDE UNIFORM SERVIC 133.50 L29891.5-0409 JANITORIAL GM 02459 11/09 AP 05/01/09 0082765 ADVANCED INC 11301.51 12885 JANITORIAL GM 02788 12/09 AP 05/31/09 0083356 AMERIPRIDE UNIFORM SERVIC 133.50 L311170-0509 JANITORIAL GM 02788 12/09 AP 05/31/09 0083356 AMERIPRIDE UNIFORM SERVIC 133.50 L323369-0509 JANITORIAL GM 02683 12/09 AP 06/01/09 0083157 ADVANCED INC 11301.51 12954 JUN109 JANITORIAL GM 02915 12/09 AP 06/30/09 0083818 AMERIPRIDE UNIFORM SERVIC 133.50 L335625-0609 JANITORIAL GM 02915 12/09 AP 06/30/09 0083818 AMERIPRIDE UNIFORM SERVIC 133.50 L347825-0609 JANITORIAL ACCOUNT TOTAL 20,335.92 11301.51 19,034.41 101-3002-451.42-20 Contract Services / Pest Control .00 GM 00130 01/09 AP 07/02/08 0079069 TRULY NOLEN INC 77.00 66867470 PEST CONTROL GM 00160 01/09 AP 07/15/08 0079069 TRULY NOLEN INC 33.00 66867469 PEST CONTROL GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN'BRANCH 066 33.00 66869271 SENIOR CENTER GM 00865 04/09 AP10/07/08 0080320 TRULY NOLEN BRANCH 066 33.00 66871176 SENIOR CENTER GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 33.00 66872903 SENIOR CENTER GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 77.00 66869272 SENIOR CENTER GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 77.00 66871177 SENIOR CENTER GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 77.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AufIVITY LISTING PAGE 700 PROGRAM GM362LA CITY OF ---------7-------------------------------------------------------------------------------------------------------------------------- LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.42-20 Contract Services / Pest Control 66872904 SENIOR CENTER GM 01525 07/09 AP 11/07/08 0081450 TRULY NOLEN INC 77.00 66874833 t PEST CNTRL-SR CTR GM 01525 07/09 AP 11/07/08 0081450 TRULY NOLEN INC 33.00 66874832 PEST CNTRL-SR CTR GM 01525 07/09 AP 12/05/08 0081450 TRULY NOLEN INC 77.00 66876590 PEST CNTRL-SR CTR GM 01525 07/09 AP 12/05/08 0081450 TRULY NOLEN INC 33.00 66876589 PEST CNTRL-SR CTR GM 01620 08/09 AP 01/06/09 0081647 TRULY NOLEN INC 33.00 66878238 PEST CONTROL GM 01620 08/09 AP 01/06/09 0081647 TRULY NOLEN INC 77.00 66878239 PEST CONTROL GM 01873 09/09 AP 02/06/09 0082056 TRULY NOLEN INC 33.00 66879869 PEST CNTRL-SR CTR GM 01873 09/09 AP 02/06/09 0082056 TRULY NOLEN INC 77.00 66879870 PEST CNTRL-SR CTR GM 01979 09/09 AP 03/02/09 0082318 TRULY NOLEN INC 77.00 66881418 PEST CNTRL-SR CTR GM 01979 09/09 AP 03/02/09 0082318 TRULY NOLEN INC 33.00 66881417 PEST CNTRL-SR CTR GM 02341 11/09 AP 04/01/09 0082906 TRULY NOLEN INC 77.00 66882922 SENIOR CENTER GM 02341 11/09 AP 04/01/09 0082906 TRULY NOLEN INC 33.00 66882921 SENIOR CENTER GM 02475 11/09 AP 05/01/09 0083094 TRULY NOLEN INC 33.00 66884562 PST CNTRL-SR CTR GM 02475 11/09 AP 05/01/09 0083094 TRULY NOLEN INC 77.00 66884563 PST CNTRL-SR CTR GM 02820 12/09 AP 06/02/09 0083531 TRULY NOLEN INC 33.00 66886297 PEST CONTROL GM 02820 12/09 AP 06/02/09 0083531 TRULY NOLEN INC 77.00 66886298 PEST CONTROL ACCOUNT TOTAL 1,320.00 1,320.00 101-3002-451.43-01 Other Services / Maintenance .00 GM 00325 02/09 AP 08/01/08 0079355 WELLS FARGO BUSINESS CARD 56.20 0028 7029 MAINTENANCE GM 00588 03/09 AP 08/15/08 0079858 LOWE'S HOME IMPROVEMENT W 6.44 913927 MAINTENANCE GM 00588 03/09 AP 08/18/08 0079858 LOWE'S HOME IMPROVEMENT W 45.10 960658 PATIO SET GM 00325 02/09 AP 08/20/08 0079339 SOUTHWEST PUTTING GREENS 4,675.00 119 DEPOSIT GM 00369 03/09 AP 08/21/08 0079630 PARAGON SIGNS 387.45 33450 SIGN REPAIR. GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 2.76 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 701 PROGRAM GM362LA CITY OF ------------------------------------------------------------------------------------------------------------------------------------ LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP 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 966235 GNRL MAINT-REPAIR GM 00636 04/09 AP 10/01/08 0079948 SOUTHWEST PUTTING GREENS 4,675.00 81508 PUTTING GRN -SR CTR GM 01067 05/09 AP 10/21/08 0080717 VALLEY PLUMBING 74.00 187880 M & R MISC EQUIP GM 00960 05/09 AP 10/28/08 0080390 BEST SIGNS INC 267.22 70771 WALL SIGNS -R&M GM 01061 05/09 AP 10/28/08 0080632 HOME DEPOT CREDIT SERVICE 10.75 5023951 GEN MAINT&REPAIR GM 01050 05/09 AP 11/18/08 0080558 WELLS FARGO BUSINESS CARD 34.46 7029 VISA CARD PYMT GM 01451 07/09 AP 11/29/08 0081248 VINTAGE ASSOCIATES 485.00 SI -68515 GEN R&M -PUTTING GRN GM 01458 07/09 AP 12/07/08 0081189 DESERT ELECTRIC SUPPLY 159.66 S1609747.002 GEN MAINT & REPAIR GM 01946 09/09 AP 02/25/09 0081998 LOWE'S HOME IMPROVEMENT W 6.93 960820 GENERAL MAINT&REPAIR GM 02123 09/09 AP 03/18/09 0082234 JOHNSTONE SUPPLY 72.10 237894 GENERAL MAINT/REPAIR GM 02662 12/09 AP 04/21/09 0083179 CONSOLIDATED ELECTRICAL D 18.31 5725-614476 BALLASTS GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 3.09 907342 GEN MAINT & REPAIR GM 02457 11/09 AP 04/28/09 0082827 HOME DEPOT CREDIT SERVICE 43.39 4026360 GENERAL R & M GM 02790 12/09 AP 05/27/09 0083538 VALLEY PLUMBING 331.88 191304 MAINT & REPAIR GM 02820 12/09 AP 06/08/09 0083418 GRAINGER 26.55 9009787582 MAINT & REPAIR GM 02820 12/09 AP 06/09/09 0083418 GRAINGER 15.00 9010757277 MAINT & REPAIR GM '02893 12/09 AP.06/25/09 0083661 LOWE'S HOME IMPROVEMENT W 27.05 907375 MAINT & REPAIR ACCOUNT TOTAL 11,423.34 11,423.34 101-3002-451.43-3.1.Other Services / Maint.-Fire extinguishers .00 GM 00767 04/09 AP 10/02/08 0080045 DESERT FIRE EXTINGUISHER 129.48 719318 FIRE EXTINGUISHER GM 02227 10/09 AP 04/03/09 0082427 DESERT FIRE EXTINGUISHER 129.80 720339 FIRE GM 02744 12/09 AP 05/08/09 0083397 DESERT FIRE EXTINGUISHER 53.54 689009 FIRE EXTINGUISHER ACCOUNT TOTAL 312.82 312.82 101-3002=451.43-52 Other Services / HVAC .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING ' PAGE 702 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 GM 00369 03/09 AP 07/01/08 0079605 HOARD INC, HUGH 302.40 S63581 HVAC GM 00267 02/09 AP 07/14/08 0079423 HOARD INC, HUGH 317.05 53613 HVAC MAINTENANCE GM 00885 04/09 AP 08/19/08 0080253 HOARD INC, HUGH 353.76 53875 HVAC MAINT/SVC GM•00S88 03/09' AP 08/27/08 0079830 HOARD INC, HUGH 188.16 53929 HVAC MAINTENANCE GM 00885 04/09 AP 10/14/08 0080253 HOARD INC, HUGH 112.46 54243 HVAC MAINT/SVC GM 01620 08/09 AP 01/05/09 0081585 HOARD INC, HUGH 51989.00 54784 HVAC GM 02271 10/09 AP 01/12/09 0082621 HOARD INC, HUGH 328.04 54840 HVAC MAINTBSVC GM 01768 08/09 AP 01/30/09 0081778 HOARD INC, HUGH 221.63 54913 HVAC GM 02271 10/09 AP 03/26/09 0082621 HOARD INC, HUGH 98.50 55189 HVAC MAINTBSVC ACCOUNT TOTAL 7,911.00 7,911.00 101-3002-451.43-88 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 8 Supplies / Travel 8 Training .00 GM 00588 03/09 AP 09/16/08 0079899 ROCKHURST•UNIVERSITY 179.00 400988148-001 SEMINAR GM 00885 04/09 AP 10/22/08 0080288 PESI HEALTHCARE 233.95 •816508 TRAINING-CALDERON ACCOUNT TOTAL 412.95 412.95 101-3002-451.51-02 Services & Supplies / Vehicle Reimbursement .00 ACCOUNT TOTAL .00 101-3002-451.51-03 Services 8 Supplies / Mileage Reimbursement .00 GM 01532 07/09 AP 01/21/09 0081290 CALDERON, CHRISTINA 159.44 REIMB MILEAGE-CALDERON PREPARED u.7.12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 703 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS' CREDITS BALANCE ------------------------------------------------------------------------------------------------=---------------------------- ----- 101-3002-451.51-03 Services & Supplies / Mileage Reimbursement ACCOUNT. TOTAL 159.44 101-3002-451.51-31 Services & Supplies / Postage GM 00743 04/09 AP 10/06/08 0080104 PRINTING PLACE, THE 144.39 082549 BUSINESS CARDS ACCOUNT TOTAL 144.39 101-3002-451.53-01 Services & Supplies / Printing ACCOUNT TOTAL 101-3002-451.53-03 Services & Supplies / Membership Dues GM 00054 01/09 AP 07/10/08 0078980 CALIF PARK & RECREATION S 320.00 110930 MEMBERSHIP FEES GM 00054 01/09 AP 07/10/08 0079063 MPLC 219.00 071008 LICENSING RENEWAL GM 00103 01/09 AP 07/21/08 0079064 NATIONAL COUNCIL ON THE A 95.00 072108 MEMBERSHIP RENEWAL GM 00495 03/09 AP 09/05/08 0079678 NRPA 135.00• 120366 MEMBERSHIP GM 00790 04/09 AP 10/14/08 0080150 ACT 1' 100.00 LQ SENOR'CTR MEMBERSHIP DUES ACCOUNT TOTAL 869.00 101-3002-451.53-04 Services & Supplies / Subscriptions/Publication GM 01067 05/09 AP 11/22/08 0080603 DESERT SUN, THE 179.81 DS 464815 SUBSCRIPTION ACCOUNT TOTAL 179.81 101-3002-451.53-05 Services & Supplies / Training & Education ACCOUNT TOTAL 101-3002-451.54-01 Services & Supplies / Information Tech Charges GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 12,568.00 ACCOUNT TOTAL 12,568.00 159.44 .00 144.39 .00 .00 .00 869.00 .00 179.81 .00 .00 .00 12,568.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 704 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ----------------------------------- ------------------------------------------------------------------------------------------------- 101-3002-451.55-01 Advertising/Promo / Advertising GM 00433 03/09 AP 08/22/08 0079591 DUNCAN PRINTING CO .5607 HOLIDAY SIGNS ACCOUNT TOTAL 101-3002-451.56-01 Services & Supplies / Office Supplies / Operating Supplies GM 00160 01/09 AP 07/15/08 0079109 STAPLES BUSINESS ADVANTAG 3105591279 SUPPLIES GM •GM 00215 02/09 AP 07/28/08 0079288 STAPLES BUSINESS ADVANTAG 005188 3106096094 OFFICE SUPPLIES GM GM 00327 02/09 AP 08/15/08 0079484 STAPLES BUSINESS ADVANTAG 10420385 3106949368 SUPPLIES GM GM 00406 03/09 AP 08/29/08 0079645 STAPLES BUSINESS ADVANTAG 08/01/08 3100667380 CREDIT INVOICE GM GM 00529 03/09 AP 09/10/08 0079909 STAPLES BUSINESS ADVANTAG 3106111843 3108238205 SUPPLIES 00327 GM 00529 03/09 AP 09/10/08 0079909 STAPLES BUSINESS ADVANTAG 073008 3108238204 SUPPLIES 00244 GM 00794 04/09 AP 10/01/08 0080313 STAPLES BUSINESS ADVANTAG 10420399 3109091109 OFFICE SUPPLIES 00322 GM 02638 12/09 AP 05/22/09 0083246 STAPLES BUSINESS'ADVANTAG 3583410120460 SUPPLIES 3119738051 OFFICE SUPPLIES 02/09 GM 02820 12/09 AP 06/16/09 0083514 STAPLES BUSINESS ADVANTAG 080108 BRIDGE CARDS 3120896344 OFFICE SUPPLIES 04/09 ACCOUNT TOTAL 101-3002-451:56-02 Services & Supplies / Operating Supplies GM 00322 02/09 AP 07/01/08 0079480 SMART & FINAL 3583410106033 SUPPLIES GM 00160 01/09 AP 07/02/08 0079134 WAL MART COMMUNITY 005188 LUNCHEON SUPPLIES GM 00081 01/09 AP 07/10/08 0078929 RALPHS CUSTOMER CHARGES 10420385 REFRESHMENTS GM 00188 01/09 AP 07/28/08 0079146 DOUGLAS, LES 08/01/08 EVENING DANCE GM 00269 02/09 AP 07/29/08 0079484 STAPLES BUSINESS ADVANTAG 3106111843 SUPPLIES GM 00327 02/09 AP 07/30/08 0079496 VIDEO DEPOT INC 073008 MOVIES GM 00244 02/09 AP 07/31/08 0079176 RALPHS CUSTOMER CHARGES 10420399 SUPPLIES GM 00322 02/09 AP 07/31/08 0079480 SMART & FINAL 3583410120460 SUPPLIES GM 00232 02/09 AP 08/04/08 0079194 BARON BARCLAY BRIDGE SUPP 080108 BRIDGE CARDS GM 00599 04/09 AP 08/13/08 0080043 DESERT CITIES CATERING 69.82 69.82 330.29 71.83 253.14 8.92 18.75 157.70 499.71 63.93 1,404.27 67.49 1'08.03 100.59 425.00 31.14 26.34 89.00 74.88 245.28 1,077.50 30.21 30.21 .00 69.82 .00 1,374.06 .00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK w6TIVITY LISTING PAGE 705 PROGRAM GM362LA CITY OF LA QUINTAi CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------ PER. CD 7----------------------------------------------------------------------------------------------------------------- DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3002-451.56-02 Services A Supplies / Operatin9 Supplies 08-93 LUNCHEON-FOOD GM 00595 03/09 AP 08/18/08 0079927 WAL MART COMMUNITY 30.84 2762 SUPPLIES GM 00331 02/09 AP 08/21/08 0079365 APODACA, AL 425.00 082108 ENTERTAINMENT GM 00535 03/09 AP 08/22/08 0079903 SMART 8 FINAL 163.47 3583410125365 SUPPLIES GM 00363 02/09 AP 08/26/08 0079510 DESERT SPRINGS PUBLISHING 432.00 082608-B BOOKS/DINING TOUR GM 00369 03/09 AP 08%27/08 0079587 DESERT CITIES CATERING 915.88 08-92 FOOD LUNCHEON GM 00595 03/09 AP 08/27/08 0079927 WAL MART COMMUNITY 189.87 5152 SUPPLIES GM 00442 03/09 AP 09/04/08 0079637 RINARD, ROBERT 425.00 090408 ENTERTAINMENT GM 00442 03/09 AP 09/04/08 0079661 VILLEGAS, SERGIO A. 100.00 090408 ENTERTAINMENT GM 00529 03/09 AP 09/05/08 0079890 RALPHS CUSTOMER CHARGES 87.97 10479625 REFRESHMENTS GM 00936 05/09 AP 09/10/08 0080414 DESERT CITIES CATERING 258.60 08-363 REFRESMENTS 8 FOOD GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 17.00 97-829622 AUGUST SALES TAX GM 00534 03/09 AP 09/15/08 0079808 ESPINOZA, DAVID C. 107.50 91508 TABLE RENTALS GM 00588 03/09 AP 09/15/08 0079934 YES I CAN 148.29 17557 . SUPPLIES GM 00532 03/09 AP 09/16/08 0079693 CALDERON, CHRISTINA 77.99 REIMB DOOR PRIZES GM 00535 03/09 AP 09/16/08 0079890 RALPHS CUSTOMER CHARGES 47.09 10479617 FIESTA LUNCHEON GM 00936 05/09 AP 09/23/08 0080459 MCDOWELL AWARDS 25'.86 2008-2280 ENGRAVED PLATES GM 01150 06/09 AP 09/25/08 0080803 DESERT CITIES CATERING 1,810.20 08-97 REFRESHMENTS GM 00796 04/09 AP 09/28/08 0080309 SMART 8 FINAL - 692.05 3583410131336 LUNCHEON SUPPLIES GM 00599 04/09 AP 09/29/08 0080138 VIDEO DEPOT INC 19.52 AUGUST MOVIES GM 00720 04/09 AP 10/02/08 0079992 RALPHS CUSTOMER CHARGES 68.43 10479607 REFRESHMENTS GM 00790 04/09 AP 10/02/08 0080174 QUEEN'S TEA 600.00 103 TEA LUNCHEON GM 01460 07/09 AP 10/02/08 0081173 BARBERSHOP HARMONY SOCIET 200.00 220205-1 ENTERTAINMENT GM 00790 04/09 AP 10/13/08 0080176 RALPHS CUSTOMER CHARGES 59.98 10518276 REFRESHMENTS- GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 202.22 5921 LUNCHEON SUPPLIES PREPAREL•uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 706 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING .GROUP 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 00794 04/09 AP 10/14/08 0080254 HOFFMASTER 279.65 2008-2009 LUNCHEON SUPPLIES GM 00865 04/09 AP 10/17/08 0080229 DESERT CITIES CATERING 94.28 08-94 FOOD DINNER&SHOW GM 00936 05/09 AP 10/20/08 0080792 COW GOVERNMENT INC 419.53 MDC4062 OPERATING SUPPLIES GM 00885 04/09 AP 10/22/08 0080296 RALPHS CUSTOMER CHARGES 268.91 10518277 REFRESHMENTS GM 00936 05/09 AP 10/23/08 0080492 STAPLES BUSINESS ADVANTAG 312.19- 3110250655 OPERATING SUPPLIES GM 00936 05/09 AP 10/24/08 0080414 DESERT CITIES CATERING 1,293.00 08-95 REFRESMENTS & FOOD GM 01033 05/09 AP 10/24/08 0080526 EISENHOWER MEDICAL CENTER 1,540.00 102308 COMMUNITY FLU SHOTS GM 00936 05/09 AP 10/27/08 0080512 VIDEO DEPOT INC 24.29 SR CENTER SEPT RENTALS GM -01057 05/09 AP 10/28/08 0080692 RINARD, ROBERT 425.00 220205-11 DANCE GM 01283 06/09 AP 10/29/08 0081096 RINARD, ROBERT 425.00 320205-1 DANCE ENTERTAINMENT GM 00960 05/09 AP 10/31/08 0080454 MANCILLAS, IRENE 20.00 33336 REFUND GM 01067 05/09 AP 10/31/08 0080719 VINTAGE ASSOCIATES• 2,010.00 SI -67531 SR CTR PUTTING GRN GM 01039 05/09. AP 11/02/08 0080701 SMART & FINAL 30.35 3583410138438 REFRESHMENTS GM 01039 05/09 AP 11%02/08 0080701 SMART & FINAL 107.19 3583410140866 REFRESHMENTS GM 01039 •05/09 AP 11/07/08 0080689 RALPHS CUSTOMER CHARGES 23.88 10479608 REFRESHMENTS GM 01039 05/09 AP 11/07/08 0080689 RALPHS CUSTOMER CHARGES 6.48 10517464 REFRESHMENTS GM 01040 05/09 AP 11/17/08 0080718 VIDEO DEPOT INC 25.00 OCT'08 MOVIE RENTALS GM 01261 06/09 AP 11/30/08 0081104 SMART & FINAL 189.61 3583410145506 REFRESHMENTS GM 01261 06/09 AP 11/30/08 0081104 SMART & FINAL 167.21 3583410149438 REFRESHMENTS GM 01190 06/09 AP 12/04/08 0080781 BOARD OF EQUALIZATION 18.00 97-829622 NOV108 SALES TAX GM 01283 06/09 AP 12/04/08 0081016 DESERT CITIES CATERING 71.12 08-506 LUNCHEON - CHILLI GM 01620 08/09 AP 12/04/08 0081559 DESERT CITIES CATERING 296.31 08-507 VALENTINE LUNCH GM 01816 08/09 AP 12/04/08 0081753 DESERT CITIES CATERING 134.69 08-509 REFRESHMENTS GM 01816 08/09 AP 12/04/08 0081753 DESERT CITIES CATERING 1,185.25 08-508 LUNCHEON GM 02264 10/09 AP 12/04/08 0082518 DESERT CITIES CATERING 1,827.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk N%.fIVITY LISTING YAWE 707 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 08-510 VLNTR RECOG LUNCHEON GM 01262 06/09 AP 12/12/08 0081087 RALPHS CUSTOMER CHARGES 121.59 10479611 REFRESHMENTS GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 457.26 004340 OPERATING SUPPLIES GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 24.29 007188 OPERATING SUPPLIES GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 114.15 001057 X -MAS DECOR GM 01460 07/09 AP 12/28/08 0081236 SMART & FINAL 290.80 3583410158287 REFRESHMENTS GM 01715 08/09 AP 12/31/08 0081521 APODACA, AL 425.00 11010 ENTERTAINMENT GM 01451 07/09 AP 01/07/09 0081171 APODACA, AL 425.00 10900 ENTERTAINMENT GM 01525 07/09 AP 01/07/09 0081457 VIDEO DEPOT INC 74.58 DEC'08 MOVIES GM 01525 07/09 AP 01/09/09 0081421 RALPHS CUSTOMER CHARGES 109.21 10410008 REFRESHMENTS GM 01531 07/09 AP 01/15/09 0081421 RALPHS CUSTOMER CHARGES 152.76 10479612 FOOD GM 01575 07/09 AP 01/16/09 0081459 WAL MART COMMUNITY 314.44 001883 OPERATING SUPPLIES GM 01629 08/09 AP 01/22/09 0081566 DISPLAYS2GO 380.46 IN -774375 OPERATIONL SUPPLIES GM 01768 08/09 AP 01/28/09 0081864 VIDEO DEPOT INC 20.00 021009 MOVIE RENTALS GM 01873 09/09 AP 02/03/09 0081943 CARDINAL PROMOTIONS 154.84 63199 OP SUPPLIES -SHIRTS GM 01685 08/09 AP 02/04/09 0081487 CASH/PETTY CASH 23.14 REIMB PETTY CASH GM 01768 08/09 AP 02/05/09 0081836 RALPHS CUSTOMER CHARGES 99.69 10518278 REFRESHMENTS GM 01761 08/09 AP 02/12/09 0081849 SMART & FINAL 245.78 3583410166655 REFRESHMNTS/SUPPLIES GM 01880 09/09 AP 02/16/09 0082063 WAL MART COMMUNITY 68.58 009761 OPERATING SUPPLIES GM 01873 09/09 AP 02/18/09 0082027 RALPHS CUSTOMER CHARGES 27.48 10518282 GARLIC BREAD GM 01977 09/09 AP 02/18/09 0082298 SMART & FINAL 166.61 3583410178492 SUPPLIES/RFRSHMNTS GM 01839 08/09 AP 02/24/09 0081878 IT'S MY PARTY 53.66 115165 LUNCHEON TBLCLOTHS GM 02052 09/09 AP 02/26/09 0082282 RINARD, ROBERT 425.00 3202054-09 ENTERTAINMENT GM 02066 09/09 AP 03/02/09 0082331 WAL MART COMMUNITY 133.30 008628 OPERATING SUPPLIES GM 01944 09/09 AP 03/05/09 0082060 VIDEO DEPOT INC 20.00 FEB109 MOVIE RENTALS PREPAREL w�/12/2010, 9:26:27 GENERAL LEDGEk ..rIVITY LISTING FADE 708 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 01944 09/09 AP 03/05/09 0081935 BOARD OF EQUALIZATION 18.00 97-829622 FEB109 SALES TAX GM 01979 09/09 AP 03/06/09 0082275 RALPHS CUSTOMER CHARGES 107.30 10518280 REFRESHMENTS GM 02052 09/09 AP 03/11/09 0082340 YES I CAN 182.09 80022 EXERCISE MATERIALS GM 02159 10/09 AP 03/31/09 0082.487 RINARD, ROBERT 425.00 MAY 1 ENTERTAINMENT GM 02167 10/09 AP 04/02/09 0082458 LILY OF THE VALLEY FLORAL 129.74 000614 RECOGNITION BANQUETS GM 02227 10/09 AP 04/03/09 0082480 RALPHS CUSTOMER CHARGES 103.03 10517468 REFRESHMENTS GM 02446 11/09 AP 04/06/09 0082853 MUSICIAN'S FRIEND 28.95 P619045701019 SR CTR SOUND SYS GM 02271 10/09 AP 04/10/09 0082641 MCDOWELL AWARDS 283.95 2008-3173 AWARDS GM 02406 11/09 AP 04/20/09 0082872 QUEEN'S TEA 11000.00 104 TEA EVENT GM 02356 11/09 AP 04/23/09 0082886 SMART & FINAL 36.50 3583410199716 REFRESHMENTS GM 02344 11/09 AP 04/28/09 0082736 WYMAN, SHELLEY 32.63 REIMB LUNCHEON DECOR GM 02344 11/09 AP 04/28/09 0082710 CALDERON, CHRISTINA 102.68 REIMB LUNCHEON SUPPLIES GM 02356 11/09 AP 04/30/09 0082874 RALPHS CUSTOMER CHARGES 95.97 47711951165 REFRESHMENTS GM 02499 11/09 AP 05/12/09 0083097 VIDEO DEPOT INC 16.54 . APR109 MOVIES GM 02527 11/09 AP 05/13/09 0083070 RALPHS CUSTOMER CHARGES 223.67 10479615 FOOD-LUNCHEAON GM 02581 11/09 AP 05/16/09 0083100 WAL MART COMMUNITY 130.70 000647 LUNCHEON SUPPLIES GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL 436.99 3583410105543 EVENT SUPPLIES GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL 65.96 3583410105553 REFRESHMENTS GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL 73.04 3583410105636 KITCHEN SUPPLIES GM 02650 12/09 AP 06/03/09 0083146 SILVERROCK RESORT 3.00 97-829622 MAY109 SALES TAX GM 02499 11/09 AP 06/05/09 0082980 APODACA, AL 425.00 11100 ENTERTAINMENT GM 02696 12/09 AP 06/08/09 0083540 VIDEO DEPOT INC 20.00 060809 MAY109 RENTALS GM 02696 12/09 AP 06/08/09 0083487 RALPHS CUSTOMER CHARGES 83.82 10517454 REFRESHMENTS GM 02739 12/09 AP 06/16/09 0083286 DESERT CITIES CATERING 1,293.00 08-525 LUAU LUNCHEON GM 02828 12/09 AP 06/16/09 0083461 MCDOWELL AWARDS 19.58 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 709 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA --------------------------------------- FUND 101 General Fund -------------------------------------------------------------------------------------------- BEGINNING GROUP 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 2008-3597 AWARDS GM 02905 12/09 AP 06/16/09 0083792 WAL MART COMMUNITY 134.63 0058331 LUNCHEON SUPPLIES GM 02820 12/09 AP 06/18/09 0083514 STAPLES BUSINESS ADVANTAG 370.29 3120922625 OPERATING SUPPLIES GM 02810 12/09 AP 06/22/09 0083314 DESERT CITIES CATERING 130.50 09-233 HAWAIIAN LUNCH GM 02889 12/09 AP 06/28/09 0083684 SMART & FINAL 23.91 3583410115769 SUPPLIES -LUNCHEONS GM 02893 12/09 AP 06/30/09 0083696 VIDEO DEPOT INC 17.36 JUN109 MOVIE RENTALS ACCOUNT TOTAL 30,885.40 30,885.40 101-3002-451.56-25 Services & Supplies / Software .00 GM•02341 11/09 AP 04/17/09 0082787 CDW GOVERNMENT INC 824.34 NVF0315 PRINTER ACCOUNT TOTAL 824.34 824.34 101-3002-451.56-27 Services & Supplies / Coffee .00 GM 02499 11/09 AP 05/05/09 0083018 FIRST CHOICE SERVICES 142.02 446330 COFFEE SUPPLY ACCOUNT TOTAL 142.02 142.02 101-3002-451.56-55 Services & Supplies / Small Tools/Equip .00 GM 00743 04/09 AP 10/02/08 0080124 STAPLES BUSINESS ADVANTAG 215.49 3109130136 SMALL TOOLS/EQUIP ACCOUNT TOTAL 215.49 215.49 101-3002-451.71-01 Capital Purchases /•Machinery & Equipment .00 ACCOUNT TOTAL .00 101-3002-451.71-02 Capital Purchases / Furniture .00 ACCOUNT TOTAL .00 101-3002-451.71-03 Capital Purchases / Vehicles .00 ACCOUNT TOTAL .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk AUiIVITY LISTING PAGE 710 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 .00 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 GM 00123 01/09 AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 BUDG 9,459.00 ' ACCOUNT TOTAL 9,459.00 9,459.00 101-3003-451.10-01 Salaries & Wages / Permanent Full Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 11989.88 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 11193.93 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 2,033.39 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 2,033.40 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 2,033.40 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 2,033.38 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 2,033.40 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 2,033.39 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 2,033.40 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY •2,033.40 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 2,033.40 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 2,033.40 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 2,033.40 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 2,033.38 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 2,033.40• PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 2,140.95 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 2,073.20 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 2,073.20 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY .2,073.20 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 2,073.19 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 2,073.20 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 2,073.20 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 2,073.20 PR 02462 11/09 AJ'05/15/09 PR0515 PAYROLL SUMMARY 2,073.20 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 2,073.20 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 2,073.20 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 2,073.19 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 1,451.30 ACCOUNT TOTAL 54,821.45 1,193.93" 53,627.52 101-3003-451.10-03 Salaries & Wages / Salaries - Part Time - .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 711 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ---------.--------------------------------------------------------------------------------------------------------------------------- 101-3003-451.10-03 Salaries & Wages / Salaries - Part Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,346.60 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 673.46 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 1,892.91 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 1,457.72 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 1,226.93 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 1,186.92 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 1,578.33 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 2,018.95 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 1,677.85 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 1,798.21 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 2,331.62 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 2,410.90 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 1,814.72 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 1,976.56 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 887.48 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 1,943.47 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 2,115.70 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 1,930.45 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 1,844.40 PR 01986 09/09 AJ 03/.20/09 PR0320 PAYROLL SUMMARY 2,148.93 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 1,715.52 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 1,852.31 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 1,538.36 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 1,693.42 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 1,643.22 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 1,749.65 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 1,462.46 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 997.68 ACCOUNT TOTAL 46,241.27 673.46 101-3003-451.10-05 Salaries & Wages / Temporary Agency Services ACCOUNT TOTAL 101-3003-451.10-18 Salaries & Wages / Natural Disaster -FEMA ACCOUNT TOTAL 101-3003-451.10-25 Salaries & Wages / Temporary ACCOUNT TOTAL 101-3003-451.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 250.16 45,567.81 .00 .00 .00 .00 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk A6(IVITY LISTING FAWE 712 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3003-451.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.10 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 255.62 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 255.62 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 255.62 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 255.62 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 255.62 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 255.62 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 255.62 PR 00899. 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 255.62 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 255.62 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 255.62 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 255.62 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 255.62 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 255.62 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 269.14 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 260.63 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 260.63 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 260.63 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 260.63 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 260.63 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 260.63 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 260.63 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 260.63 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 329.93 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 332.57 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 322.01 GM 02909 12/09 AJ 06/30/09 AJE 12-060 PERS CONT -D HEFNER-PT EMP 1,538.52 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 202.89 ACCOUNT TOTAL 8,653.32 150.10 8,503.22 101-3003-451.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 159.19 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 95.51 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 162.67 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 162.67 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 162.67 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 162.67 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 162.67 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 162.67 PR 00788 04/09 AJ 10/17/08'PR1017 PAYROLL SUMMARY 162.67 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 162.67 PR 0103Q 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 162.67 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 162.67 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 162.67 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 162.67 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 162.67 PR 01529 07./09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 171.28 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AtiIVITY LISTING rAWt 713 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 101-3003-451.20-02 Employee Benefits / PERS-Employee Portion PR PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 165.86 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 165.86 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 165.86 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 165.86 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 165.86 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 165.86 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 165.86 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 165.86 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 209.96 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 211.64 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 204.92 GM 02909 12/09 AJ 06/30/09 AJE 12-060 PERS CONT -D HEFNER-PT EMP 1,002.34 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 133.90 ACCOUNT TOTAL 5,534.82 101-3003-451.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-3003-451.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 411.72 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 411.72 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 411.72 PR 00323 02/09 AJ 08/22/08•PR0822 PAYROLL SUMMARY 411.72 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 411.72 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 411.72 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 411.72 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 411.72 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 411.72 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 411.72 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 430.39 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 430.39 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 430.39 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 430.39 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 430.39 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 430.39 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 430.39 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 430.39 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 430.39 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 430.39 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 430.39 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 430.39 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 430.39 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 430.39 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 301.28 BEGINNING /ENDING BALANCE 95.51 51439.31 247.03. 00 .00 00 PREPAREL u4.'12/2010, 9:26:27 GENERAL LEDGEk m%. IVITY LISTING rHue 714 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3003-451.21-01 Insurance Benefits / Medical Insurance 101-3003-451.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229. 10/09 AJ PR•02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3003-451.21-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PRO501 05/15/09 PRO515 06/12/09-PRO612 06/26/09 PRO626 07/10/09 PR0710 / 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 / 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 10,443.94 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 5.53 8.13 8.13 6.09 144.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 247.03 3.32 3.32 21.60 10,196.91 .00 140.69 00 PREPARED w.,.12/2010, 9:26:27 GENERAL LEDGER ALi'IVITY LISTING PAGE 715 PROGRAM GM362LA CITY .OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3003-451.21-03 PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3003-451.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 06788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09. AJ Insurance Benefits 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 36.01 25.20 889.44 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 3.20 2.24 79.04 21.60 - 1.92 1.92 867.84 .00 77.12 101-3003-451.21-06 Insurance Benefits / Flexible Compensation .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AGYIVITY LISTING PAGE 716 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3003-451.21-06 Insurance Benefits / Flexible Compensation 101-3003-451.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 'AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3003-451.25-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ .PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08.PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / Long Term PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL PAYROLL ACCOUNT TOTAL Workers Comp Insurance 07/11%08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0B22 09/05/08 PR0905 09/19/08 PR0919- 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 Disability SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY SUMMARY / 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 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 21.96 22.39 22.39 22.39 22.39 22.39 22.39 22.39 22.39 22.39 22.39 22.39 22.39 15.68 591.80 98.41 115.82 102.97 96.18 95.00 106.54' 119.53 109.47 113.03 128.76 13.18 13.18 - 55.09 .00 .00 578.62 .00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER AUiIVITY LISTING PAGE 717 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3003-451.25-01 PR 01065 •05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ GM 02997 13/09 AJ PR 02883 12/09 AJ Workers Comp Insurance 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 06/30/09 AJE 13-005 07/10/09 PR0710 / 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 ALLOCATE PREPAID W/C PAYROLL SUMMARY 131.09 113.51 118.29 86.15 120.48 123.55 118.09 115.56 124.54 111.75 115.80 106.52 111.10 109.61 112.76 104.28 72.23 363.50 ACCOUNT TOTAL 2,981.02 418.59 2,562.43 101-3003-451.27-01 Other Benefits 8 Deduc. / State Unemployment SUI ACCOUNT TOTAL' 101-3003-451.27-03.Other Benefits & PR 00035 01/09 AJ 07/11/08 PR0711 PR 00035 01/09 AJ 07/11/08 PR0711 PR 00105 01/09 AJ 07/25/08 PR0725 PR 00240 02/09 AJ 08/08/08 PR0808 PR 00323 02/09 AJ 08/22/08 PR0S22 PR 00434 03/09 AJ 09/05/08 PR0905 PR 00530 03/09 AJ 09/19/08 PR0919 PR 00634 04/09 AJ 10/03/08 PR1003 PR 00788 04/09 AJ 10/17/08 PR1017 PR 00899 04/09 AJ 10/31/08 PR1031 PR 01030 05/09 AJ 11/14/08 PR1114 PR 01065 05/09 AJ 11/26/08 PR1126 PR 01239 06/09 AJ 12/12/08 PR1212 PR 01292 06/09 AJ 12/2n/08 PR1224 PR 01415 07/09 AJ 01/09/09 PR0109 PR 01529 07/09 AJ 01/23/09 PR0123 PR 01670 08/09 AJ 02/06/09 PR0206 PR 01791 08/09 AJ 02/20/09 PR0220 PR 01902 09/09 AJ 03/06/09 PR0306 PR 01986 09/09 AJ 03/20/09 PR0320 PR 02126 10/09 AJ 04/03/09 PR0403 Deduc. / Social Security -Medicare 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 48.38 56.94 50.62 47.27 46.69 52.36 58.76 53.82 55.56 63.30 64.45 55.79 58..15 42.35 59.24 60.75 58.07 56.81 61.22 54.93 27.08 .00 00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 718 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 56.92 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 52.36 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 54.62 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 53.87 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 55.43 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 51.27 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 35.50 ACCOUNT TOTAL 1,465.43 27.08 1,438.35 101-3003-451.27-05 Other Benefits & Deduc. / Social Security -FICA .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 83.48 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 41.76 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 117.36 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 90.38 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 76.06 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 73.59 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 97.86 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 125.18 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 104.04 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 111.49 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 144.56 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 149.48 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 112.51 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 122.55 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 55.04 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 120.50 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 131.18 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 119.69 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 114.37 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 133.24 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 106.35. PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 114.86 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 95.37 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 105.01 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 67.69 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 72.99 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 60.40 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 48.06 ACCOUNT TOTAL 22753.29 41.76• 2;711.53 101-3003-451.30-03 Contract Services / Technical ACCOUNT TOTAL .00 00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING FAUt 719 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 .00 GM 00054 01/09 AP 07/16/08 0078987 CASSEL, LLORA 140.00 140802-2 INSTRUCTOR PAYMENT GM 00054 01/09 AP 07/16/08 0078987 CASSEL, LLORA 168.00 " 140805-2 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079009 DUCHENE, GERALD 294.00 121310-2 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079023 GUMMER, BRAD 409.50 120906-1 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079033 JACOBS, STEVEN 140.00 120940-2 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079034 JAMES, JENNIFER 176.40 . 120710-2 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079055 MARTIN, PANDARA 504.00 120710-2 INSTRUCTOR PAYMENT GM 00097 01/09 AP 07/16/08 0079061 MOLLINDO, RICK 392.00 121001-2 INSTRUCTOR PAYMENT GM 00331 02/09 AP 08/20/08 0079400 DUCHENE, GERALD 294.00- 94.00121310-3 121310-3 INSTRUCTOR PAYMENT GM 00331 02/09 AP 08/20/08 0079413 GILMORE-KIPHART, KIRSTEN 140.00 140807-1 INSTRUCTOR PAYMENT GM 00331 02/09 AP 08/20/08 0079430 JAMES, JENNIFER 176.40 120710-3 INSTRUCTOR PAYMENT GM 00331 02/09 AP 08/20/08 0079446 MARTIN, PANDARA 176.40 120710-3 INSTRUCTOR PAYMENT GM 00442 03/09 AP 09/03/08 0079607 JACOBS, STEVEN 210.00 090308 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079770 CASSEL, LLORA 168.00 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079770 CASSEL, LLORA 224.00 91808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079797 DUCHENE, GERALD 441.00 91808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079821 GILMORE-KIPHART, KIRSTEN 196.00 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079824 GUMMER, BRAD 227.50 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079824 GUMMER, BRAD 409.50 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079829 HIMMLER, DAVID 409.50 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079837 JACOBS, STEVEN 140.00 . 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079839 JAMES, JENNIFER 315.00 091808 INSTRUCTOR PAYMENT GM 00534 03/09 AP 09/18/08 0079863 MARTIN, PANDARA 315.00• 091808 INSTRUCTOR PAYMENT GM 00535 03/09 AP 09/18/08 0079900 ROSE, GWENDOLYN 508.20 091808 INSTRUCTOR PAYMENT GM 00588 03/09 AP 09/18/08 0079822 GONYIER, SANDRA 144.90 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 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 101-3003-451.33-43 Contract Services / Instructors 091808 INSTRUCTOR PAYMENT GM 00743 04/09 AP 10/08/08 0080113 ROSE, GWENDOLYN 46.20 220804-2 INSTRUCTOR PYMT GM 00743 04/09 AP 10/08/08 0080091 MOLLINDO, RICK 735.00 221001-1 INSTRUCTOR PYMT GM 00743 04/09 AP 10/08/08 0080091 MOLLINDO, RICK 245.00 221002-1 INSTRUCTOR PYMT GM 00743 04/09 AP 10/08/08 0080070 JACOBS, STEVEN 210.00 220901-2A INSTRUCTOR PYMT GM 00743 04/09 AP 10/08/08 0080050 DUCHENE, GERALD 196.00 221310-2 INSTRUCTOR PYMT GM 00743 04/09 AP 10/08/08 0080071 JAMES, JENNIFER 315.00 220710-10 INSTRUCTOR PYMT GM 00779 04/09 AP 10/08/08 0080085 MARTIN, PANDARA 315.00 100908 INSTRUCTOR PYMT GM 00885 04/09 AP 10/22/08 0080273 MARTIN, PANDARA 75.60 220710-10 INSTRUCTOR PYMT GM 00885 04/09 AP 10/22/08 0080257 JAMES, JENNIFER 75.60 220710-10 INSTRUCTOR PYMT GM 00885 04/09 AP 10/22/08 0080234 DUCHENE, GERALD 49.00 221310-2 INSTRUCTOR PYMT GM 00885 04/09 AP 10/22/08 0080223 CASSEL, LLORA 140.00 240802-2 INSTRUCTOR PYMT GM 00885 04/09 AP 10/22/08 0080223 CASSEL, LLORA 196.00 240805-2 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080664 MOLLINDO, RICK 784.00 221001/4 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080696 ROSE, GWENDOLYN 277.20 220804-2 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080661 MARTIN, PANDARA 252.00 220710-11 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080661 MARTIN, PANDARA 12.60 220710-9 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080636 JAMES, JENNIFER 12.60 220710-9 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080636 JAMES, JENNIFER 252.00 220710-11 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080635 JACOBS, STEVEN 315.00 220901-3A INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080625 GLIMMER, BRAD 318.50 220909/6 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080621 CILMORE-KIPHART, KIRSTEN 84.00 240807-3 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080607 DUCHENE, GERALD 147.00 221310-3 INSTRUCTOR PYMT GM 01067 05/09 AP 11/19/08 0080587 CASSEL, LLORA 140.00 240805-3 INSTRUCTOR PYMT GM 01190 06/09 AP 12/03/08 0080791 CASSEL, LLORA 112.00 240802-3 INSTRUCTOR PYMT PREPARED va.12/2010, 9:26:27 GENERAL LEDGER w%�i'IVITY LISTING rAWt 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 101-3003-451.33-43 Contract Services / Instructors GM 01291 06/09 AP 12/18/08 0081022 DUCHENE, GERALD 147.00 221310-4 INSTRUCTOR PYMT GM 01715 08/09 AP 12/18/08 0081639 SUCH A VOICE 336.00 220609-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081363 GUNNER, BRAD 182.00 320902-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081360 GILMORE-KIPHART, KIRSTEN 42.00 320808-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081360 GILMORE-KIPHART, KIRSTEN 28.00 320812-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081360 GILMORE-KIPHART, KIRSTEN 56.00 320812-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081360 GILMORE-KIPHART, KIRSTEN 84.00 320807-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081346 DUCHENE, GERALD 343.00 321310-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081333 CASSEL, LLORA 112.00 340802-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081333 CASSEL, LLORA 84.00 340805-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081317 ALVAREZ, MARIA PILAR 84.00 320718-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081373 JACOBS, STEVEN 262.50 320901-1B - INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081373 JACOBS, STEVEN 210.00 320940-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081374 JAMES, JENNIFER 136.50 320710-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081392 MARTIN, PANDARA 136.50 320710-1 INSTRUCTOR PYMT GM 01575 07/09 AP•01/21/09 0081399 MOLLINDO, RICK 245.00 321001-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081399 MOLLINDO, RICK 98.00 321004-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081423 RASHMI-GRAFF, CHARLOTTE 203.00 320703-1 INSTRUCTOR PYMT GM 01575 07/09 AP 01/21/09 0081423 RASHMI-GRAFF, CHARLOTTE 112.00 320716-1 INSTRUCTOR PYMT GM 01713 08/09 AP 02/04/09 0081628 ROSE, GWENDOLYN 323.40 320804-1 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081763 DUCHENE, GERALD 245.00 321310-2 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081786 JAMES, JENNIFER 189.00 320710-2 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081806 MARTIN, PANDARA 189.00 320710-2 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081837 RASHMI-GRAFF, CHARLOTTE 16.63 320716-1 INSTRUCTOR PYMT GM 01832 08/09 AP 02/17/09 0081837 RASHMI-GRAFF,. CHARLOTTE 16.63 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 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 101-3003-451.33-43 Contract Services / Instructors 320703-1 INSTRUCTOR PYMT GM 01944 09/09 AP 03/04/09 0081971 GILMORE-KIPHART, KIRSTEN 168.00 ' 320807-2 INSTRUCTOR PYMT GM 01944 09/09 AP 03/04/09 0082006 MOLLINDO, RICK 196.00 321002-1 INSTRUCTOR PYMT GM 01944 09/09 AP 03/04/09 0081945 CASSEL, LLORA 112.00 340805-2 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082289 ROSE, GWENDOLYN 184.80 320804-2 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082278 RASHMI-GRAFF, CHARLOTTE 78.75 320703-2 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082278 RASHMI-GRAFF, CHARLOTTE 124.25 320716-2 INSTRUCTOR PYMT GM 02123 09/09 'AP 03/25/09 0082255 MOLLINDO, RICK. 105.00 321005-1 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082252 MARTIN, PANDARA 126.00 320710-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082233 JAMES, JENNIFER 126.00 320710-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082232 JACOBS, STEVEN 210.00 320940-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082223 GUMMER, BRAD 227.50 320906-1 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082221 GILMORE-KIPHART, KIRSTEN 56.00 320807-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082221 GILMORE-KIPHART, KIRSTEN 28.00 320808-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082221 GILMORE-KIPHART, KIRSTEN 56.00 320810-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/0.9 0082202 DUCHENE, GERALD 343.00. 321310-3 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082182 CASSEL, LLORA 28.00 340802-2 INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09.0082182 CASSEL,-LLORA 112.00 340802-3. INSTRUCTOR PYMT GM 02123 09/09 AP 03/25/09 0082182 CASSEL,.LLORA 56.00 340805-3 INSTRUCTOR PYMT GM 02278 10/09 AP 04/22/09 0082639 MARTIN, PANDARA 199.50 320710-4 INSTRUCTOR PYMT GM 02278 10/09 AP 04/22/09 0082626 JAMES, JENNIFER 199.50 320710-4 INSTRUCTOR PYMT GM 02278 10/09 AP 04/22/09 0082614 GILMORE-KIPHART, KIRSTEN 84.00 320807-4 INSTRUCTOR PYMT GM 02278 10/09 AP 04/22/09 0082614 GILMORE-KIPHART, KIRSTEN 112.00 320810-4 INSTRUCTOR PYMT GM 02278 10/09 AP 04/22/09 0082602 DUCHENE, GERALD 245.00 321310-4 INSTRUCTOR PYMT . GM 02278 10/09 AP 04/22/09 0082586 CASSEL, LLORA 56.00 340802-4 INSTRUCTOR PYMT PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 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 0 N DEBITS CREDITS BALANCE 101-3003-451.33-43 Contract Services / Instructors GM 02330 10/09 AP 04/22/09 0082568 ARIDA, NEAL 63.00 320704-4 INSTRUCTOR PYMT GM 02330 10/09 AP 04/22/09 0082583 CAMPBELL, ANDRE P 168.00 320403-3 INSTRUCTOR PYMT GM 02452 11/09 AP 05/06/09 0082892 SUCH A VOICE 210.00 320609-1 INSTRUCTOR PYMT •GM 02452 11/09 •AP 05/06/09 0082876 RASHMI-GRAFF, CHARLOTTE 169.75 320703-3 INSTRUCTOR PYMT GM 02452 11/09 AP. 05/06/09 0082876 RASHMI-GRAFF, CHARLOTTE 78.75 320716-3 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083076 ROSE, GWENDOLYN 184.80 320804-3 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083050 MARTIN, PANDARA 136.50 320710-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083035 JAMES, JENNIFER 136.50 320710-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083023 GILMORE-KIPHART, KIRSTEN 56.00 320810-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083023 GILMORE-KIPHART, KIRSTEN 28.00 320808-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09'0083023 GILMORE-KIPHART, KIRSTEN 56.00 320807-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0083013 DUCHENE, GERALD 294.00 321310-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0082995 CASSEL, LLORA 28.00 340805-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0082995 CASSEL, LLORA 56.00 340802-5 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0082991 CAMPBELL, ANDRE P 252.00 320403-4 INSTRUCTOR PYMT GM 02561 11/09 AP 05/20/09 0082981 ARIDA, NEAL 63.00 320704-5 INSTRUCTOR PYMT ACCOUNT TOTAL 21,119.36 21,119.36 101-3003-451.33-45 Contract Services / Credit Card Fees .00' GM 00245 01/09 AJ 07/31/08 JE 01-029 JUL108 CREDIT CARD CHRGS 113.64 GM 00516 02/09 AJ 08/31/08 JE 02-033 AUG08 CRDT CARD BANK CHRG 89.98 GM 00783 03/09' AJ 09/30/08 JE 03-036 SEP08 CRDT CARD BANK CHRG 179.90 GM 01053 04/09 AJ 10/31/08 JE 04-055 OCT108 CREDIT CARD CHRGS 186.58 GM 01255 05/09 AJ 11/30/08 JE OS -020 NOV108 CRDT CARD CHRGS 91.98 GM 01256 05/09 AJ 11/30/08 JE 05-021 RECORD NOV CRDT CRD CHRG 35.00 GM 01468 06/09 AJ 12/31/08 JE 06-050 ADJ NOV CRDT CRD CHRGBACK 35.00 GM 01469 06/09 AJ 12/31/08 JE 06-051 DEC08 CRDT CARD BANK CHRG 83.36 GM 01716 07/09 AJ 01/31/09 JE 07-031 JAN108 CRDT CRD BANK CHRG 145.07 GM 01940 08/09 AJ 02/28/09 JE 08-037 FEB09 CRDT CARD BANK CHRG 195.85 GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR09 CRDT CARD BANK CHRG 102.08 GM 02471 10/09 AJ 04/30/09 JE 10-039 APR09 CRDT CARD BANK CHRG 93.92 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE•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 -=---------------------------------------------------------------------------------------------------------------------------------- 101-3003-451.33-45 Contract Services / Credit Card Fees GM 02684 11/09 AJ 05/31/09 JE 11-043 MAY09 CRDT CARD BANK CHRG 78.34 GM 02925 12/09 AJ 06/30/09 JE 12-070 JUN09 CRDT CARD.BANK CHRG 78.96 ACCOUNT TOTAL 1,474:66 35.00 1,439.66 101-3003-451.33-46 Contract Services / Umpires/Referees .00 ACCOUNT TOTAL .00 101-3003-451.33-47 Contract Services /•Fitness Cent Maintenance .00 GM 01904 09/09 AP 02/27/09 0081948 CERVANTES, FELICIANO 1,175.00 195185 FITNESS CTR MAINT ACCOUNT TOTAL 1,175.00 1,175.00 101-3003-451.43-31 Other Services / Maint.-Fire extinguishers .00 ACCOUNT TOTAL .00 101-3003-451.44-01 Rental Services / Equipment rental .00 ACCOUNT TOTAL .00 101-3003-451.44-04 Rental Services / Facility Rent .00 ACCOUNT TOTAL .00 101-3003-451.51-01 Services & Supplies / Travel & Training .00 ACCOUNT TOTAL .00 101-3003-451.51-02 Services & Supplies / Vehicle Reimbursement .00 ACCOUNT TOTAL .00 101-3003-451.51-03 Services & Supplies / Mileage Reimbursement .00 ACCOUNT TOTAL .00 101-3003-451.51-33 Services & Supplies / Special Events .00 PREPARED uo/12/2010, • 9:26:27 GENERAL LEDGEk At IVITY LISTING YAVt 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 101-3003-451.51-33 Services & Supplies / Special Events GM 00215 02/09 AP 07/15/08 0079209 DESERT FOUNTAIN GAS SUPPL 8•.00 117902 HELIUM RENT GM 00322 02/09 AP 07/31/08 0079480 SMART & FINAL 102.03 •3583410120461 SUPPLIES GM 00322 02/09 AP 08/15/08 0079497 VILLALPANDO, GILBERT 40.00 081508 DRY CLEANING GM 00493 03/09 AP 08/15/08 0079793 DESERT FOUNTAIN GAS SUPPL 8.00 118420 HELIUM RENTAL GM 00363 02/09' AP 08/22/08 0079536 TRILOGY GOLF Z LA QUINTA 11500.00 08-161 GOLF TOUR BANQUET , GM 00433 03/09 AP 08/25/08 0079593 ENDICOTT, J.L. 332.95 10509 GOLF AWARDS GM 00363 02/09 AP 08/26/08 0079510 DESERT SPRINGS PUBLISHING 432.00 082608-B - BOOKS/DINING TOUR GM 00436 03/09 AP 08/28/08 0079552 LUMPY'S 347.61 R#83427 GOLF BANQUET PRIZES . GM 00433 03/09 AP 08/29/08 0079593 ENDICOTT, J.L. 24.24 5495 GOLF BANQUET GM 00534 03/09 AP 09/15/08 0079808 ESPINOZA, DAVID C. 107.50 3748 TABLE RENTAL GM 00667 04/09 AP 09/15/08 0080046 DESERT FOUNTAIN GAS SUPPL 8.00 118931 HELUIM RENTAL GM 00885 04/09 AP 09/26/08 0080301 RODARTE ICE COMPANY 78.65 33210 SPCL EVENT SUPPLIES GM 00743 04/09 AP 10/08/08 0080054 ESPINOZA, DAVID C. 240.00 BOYS/GIRLS CLB HALLOWEEN SUPPLIES GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 107.55 7365 SP EVENT -HALLOWEEN GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 107.72 5679 OPERATING SUPPLIES GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 200.42 5678 SP EVENT -HALLOWEEN GM 01020 05/09 AP 10/15/08 0080416 DESERT FOUNTAIN GAS SUPPL 8.00 119456 HELIUM RENTAL GM 00937 05/09 AP 10/22/08 0080513 VILLALPANDO, GILBERT 40.13 VILLALPANDO SP EVENT -HALLOWEEN GM 01190 06/09 AP 10/25/08 0080832 LOWE'S HOME IMPROVEMENT W 116.36 913564 SP EVENT SUPPLIES GM 01039 05/09 AP 11/02/08 0080701 SMART & FINAL 474.97 3583410141511 SP EVENT -HALLOWEEN GM 01214 06/09 AP 11/15/08 0080805 DESERT FOUNTAIN GAS SUPPL 8.00 119986 HELIUM RENTAL GM 01150 06/09 AP 11/16/08 0080880 WAL MART COMMUNITY 200.00 002830 SP EVENT -HALLOWEEN GM 01150 06/09 AP 11/16/08 0080880 WAL MART COMMUNITY 315.88' 007332 NEW EVENTS SUPPLIES GM 01050 05/09 AP 11/18/08 0080558 WELLS FARGO BUSINESS CARD 300.44 7029 VISA CARD PYMT GM 01150 06/09 AP 11/20/08 0080867 STEIN NOVELTY CO, FRANK 214.72 PREPARED ua.'12/2010, 9:26:27 GENERAL LEDGEk N%,iIVITY LISTING 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 101-3003-451.51-33 Services & Supplies / Special Events 44234 SP EVENT -BREAKFAST GM 01214 06/09 AP 11/25/08 0080831 LOWE'S 2.78 960842 SP EVENT -TRAILS DAY GM 01261 06/09 AP 11/30/08 0081104 SMART & FINAL 142.62 3583410148307 SP EVENT -TRAILS DAY GM 01527 07/09 AP 12/15/08 0081341 DESERT FOUNTAIN GAS SUPPL 8.00 120538• HELIUM RENTAL GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 38.66 005139 SP EVENT -TRAILS DAY GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 204.31 004339 SP EVENT -TREE LIGHTING GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 55.86 005769 SP EVENT -LIGHTS GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 172.02 007593 SP EVENT -TREE LIGHTING. GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 37.58 001058 X -MAS TREE DECOR GM 01347 06/09 AP 12/16/08 0081128 WAL'MART COMMUNITY 193.80 004894 SP EVENT-BRKFST W/ SANTA GM 01460 07/09 AP 12/25/08 0081212 LOWE'S HOME IMPROVEMENT W 129.25 960373 SP EVENT -TREE LIGHTING GM 01460 07/09 AP 12/28/08 0081236 SMART & FINAL 53.92 3583410153502 SP EVENT-CDY CANE TREE GM 01460 07/09 AP 12/28/08 0081236 SMART & FINAL 92.37 3583410154143 SP EVENT -TREE LIGHTING GM 01460 07/09 AP 12/28/08 0081236 SMART & FINAL 208.74 3583410156515 SP EVENT-BRKFST W/SANTA GM 01350 06/09 AP 12/29/08 0080963 DESERT DISCOUNT -CLEANERS - 32.01 SANTA OUTFIT SP EVENT -DRY CLEANING GM 01715 08/09 AP 01/15/09 0081562 DESERT FOUNTAIN GAS SUPPL 8.00 121201 HELIUM RENTAL GM 01620 08/09 AP 01/20/09 0081606 N.E.T. INC. 737.40 90120008 SP EVENT -EASTER EGGS GM 01834 08/09 AP 02/03/09 0081748 COSTUME DISCOUNTERS 128.46 10103556 SP EVENT -BUNNY COSTUME GM 01685 08/09 AP 02/04/09 0081487 CASH/PETTY CASH 33.79 REIMB PETTY CASH GM 01944 09/09 AP 02/15/09 0081955 DESERT FOUNTAIN GAS SUPPL 8.00 121741 HELIUM RENTAL GM 01839 08/09 AP 02/25/09 0081868 A NEW TEAM ADVENTURE, LLC 350.00 030709 RACKWALL-LQ YOUTH GM 01905 U9/UY AP 03/03/09 0081898 BOUNCE AROUND 300.00 0303209 BOUNCE HOUSES GM 01905 09/09 AP 03/04%09 0081902 CV PARTY RENTALS 1,904.35 B2677 TENTING/TABLES GM 01944 09/09 AP 03/05/09 0081935 BOARD OF EQUALIZATION 59.00 97-829622 FEB109 SALES TAX GM 01984 09/09 AP 03/14/09 0082209 ESPINOZA, DAVID C. 150.00 031709 SP EVENT -EGG HUNT PREPAREL w�,'12/2010, 9:26:27 GENERAL LEDGEk nt IVITY LISTING rAWt 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 101-3003-451.51-33 Services & Supplies / Special Events GM 02224 10/09 AP 03/15/09 0082428 DESERT FOUNTAIN GAS SUPPL 8.00 122247 HELIUM RENTAL GM 02128 10/09 AP 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 41.99 918641 SP EVENT -YOUTH FEST GM 02128 10/09 AP 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 113.53 908771 SP EVENT -YOUTH FEST GM 02167 10/09 AP 03/29/09 0082494 SMART & FINAL 193.85 3583410183600 SP EVENT -YOUTH FEST GM 02176 10/09 AP 04/03/09 0082392 SILVERROCK RESORT 11.00 97-829622 MAR109 SALES TAX GM 02356 11/09 AP 04/07/09 0082886 SMART & FINAL 146.64 3583410194179 - SP EVENT -EGG HUNT GM 02356 11/09 AP 04/15/09 0082801 DESERT FOUNTAIN GAS SUPPL 8.00 122759 HELIUM TANK RENTAL GM 02330 10/09 AP 04/16/09 0082700 WAL MART COMMUNITY 266.73 003522 SP EVENT -EGG HUNT GM 02277 10/09 AP 04/22/09 0082555 VILLALPANDO, GILBERT• 35.41 REIMB DRY CLEANING GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 16.27 960833 SP EVENT -EGG HUNT GM 02446 11/09 AP 04/27/09 0082908 UNITED RENTALS NORTHWEST 134.25 80900774-001 GENERATOR -EVENT GM 02679 12/09 AP 05/15/09 0083183 DESERT FOUNTAIN.GAS SUPPL 8.00 123278 HELIUM RENTAL GM 02581 11/09 AP 05/16/09 0083100 WAL MART COMMUNITY 50.00 006338 SP EVENT -EGG HUNT GM 02926 12/09 AP 06/15/09 0083845 DESERT FOUNTAIN GAS SUPPL 8.00 123791 HELIUM RENTAL GM 02905 •12/09 AP 06/16/09 0083792 WAL MART COMMUNITY 88.62 008332 SUPPLIES-F/C ACCOUNT TOTAL 11,504.38 11,504.38 101-3003-451.51-34 Services & Supplies / Registr/Sanction Fees .00 ACCOUNT TOTAL .00 101-3003-451.51-35 Services & Supplies / Recruitment .00 ACCOUNT TOTAL .00 101-3003-451.53-01 Services & Supplies / Printing .00 ACCOUNT TOTAL .00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 728 PROGRAM GM362LA CITY. OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 GM 00054 01/09 AP 07/01/08 0079016 ESPINOZA, DAVID C. 396 BANNER CLIPS SPECIAL EVENT SUPPLIES GM 00054 01/09 AP 07/01/08 0079128- VERMONT SYSTEMS INC 907788 23784 SUPPLIES ANNUAL MAINTENANCE GM 00130 01/09 AP 07/07/08 0078992 COMPUTER PROTECTION TECHN 69833 12977 -PMA MAINTENANCE -MUSEUM GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG ACCOUNT TOTAL 101-3003-451.56-01 Services & Supplies / Office Supplies ACCOUNT TOTAL 101-3003-451.56-02 Services & Supplies / Operating Supplies GM 00743 04/09 AP 06/26/08 0080059 GRAINGER 9664149086 BANNER CLIPS GM 00267 .02/09 AP 07/01/08 0079444 LOWE'S HOME IMPROVEMENT W 907788 SUPPLIES GM 00054 01/09 AP 07/07/08. 0078977 BEST SIGNS INC 69833 FITNESS CENTER SIGN GM°00267 02/09 AP 07/24/08 0079444 LOWE.'S HOME IMPROVEMENT.W 952365 SUPPLIES GM 00331 02/09 AP 07/28/08 0079360 ADVANTAGE FITNESS PRODUCT SI -91667 SUPPLIES GM 00588 03/09 AP 07/28/08 0079858 LOWE'S HOME IMPROVEMENT W 960461 FITNESS CENTER LOCKS GM 00588 03/09 AP 07/29/08 0079858 LOWE'S HOME IMPROVEMENT W 925097 FITNESS CENTER LIGHT GM 00213 02/09 AP 08/01/08 0079199 CARDIFF LIMOUSINE 349966 TRANSPORTATION EXCURSION GM 00213 02/09 AP 08/01/08 0079212 DESERT SANDS UNIFIED 393.00 5,970.00 500.00 4,189.00 11,052.00 33.58 147.98 292.11 16.12 643.54 15.25 2.34 1,442.85 4,370.00 .00 .00 .00 .00 .00 .00 .00 11,052.00 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAUL 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 101-3003-451.56-02 Services 8 Supplies / Operating Supplies 2009/18 AYSO USAGE PAIGE FIELDS GM 00215 02/09 AP 08/04/08 0079227 FITNESS WHOLESALE 168.10 602650 FITNESS EQUIPMENT GM 00588 03/09 AP 08/07/08 0079858 LOWE'S HOME IMPROVEMENT W 10.74 960408 FITNESS CENTER SUPPLIES GM 00331 02/09 AP 08/12/08 0079360 ADVANTAGE FITNESS PRODUCT 140.00 SI -92570 SERVICE CALL GM 00595 03/09 AP 08/21/08 0079927 WAL MART COMMUNITY 78.29 9982 SUPPLIES GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 13.00 97-829622 AUGUST SALES TAX GM 00532 03%09 AP 09/16/08 0079711 SAN DIEGO MUSEUM OF ART 323.00 SAN DIEGO MUSEUM 9/20/08 GM 00743 04/09 AP 09/16/08 0080033 CERVANTES, FELICIANO 681.48 126043 FITNESS CTR REPAIR GM 00532 03/09 AP 09/17/08 0079699 DUNHAM, KATHY 300.00 SAN DIEGO GUIDE SVCS GM 00885 04/09 AP 09/17/08 0080207 ADVANTAGE FITNESS PRODUCT 162.50 SI -94547 FITNESS CTR REPAIR GM 00534 03/09 AP 09/18/08 0079773 CERVANTES, DAVID 681.48 126043 FITNESS CENTER REPAIRS GM 00595 03/09 AP 09/18/08 0079766 CARDIFF LIMOUSINE 1,287.50 349972 EXCURSION GM 00595 03/09 AP 09/22/08 0079766 CARDIFF LIMOUSINE. 11350.00 353933 EXCURSION GM 00590 03/09 AP 09/24/08.0079722 ASPEN MILLS BREAD CO. 402.75 22401 (45)LUNCH BOX GM 00595 03/09 AP 09/24/08 0079773 CERVANTES, DAVID 42.75 195151 FITNESS SUPPLIES GM 00743 04/09 AP 09/24/08 0080033 CERVANTES, FELICIANO 42.75 195151 FITNESS CTR SUPPLIES GM 00796 04/09 AP 09/28/08 0080309 SMART & FINAL 10.38 3583410132162 WATER -EXCURSION GM 00743 04/09 AP 10/01/08 0080018 BIG 5 SPORTING GOODS 130.96 99935924 SUPPLIES GM 00767 04/09 AP 10/01/08 0080028 CARDIFF LIMOUSINE 1,046.25 353934 BWRS MUSEUM TRANS GM 00720 04/09 AP 10/03/08 0079973 BOARD OF EQUALIZATION 3.00 97-829622 3RD QTR SALES TX GM 00779 04/09 AP 10/06/08 0080118 SIL FITNESS, INC. 467.90 32902 FITNESS CTR SUPPL GM -00720 04/09 AP 10/08/08 0079975 CASH/PETTY CASH 32.18 100808 REPLENISH CASH GM 00743 04/09 AP 10/08/08 0080078 LA QUINTA ARTS FOUNDATION 1,272.05 08-1 TERRA COTTA EXHIB GM 00801 04/09 AP 10/16/08 0079773 CERVANTES, DAVID 681.48 126043 FITNESS CENTER REPAIRS GM 00801 04/09 AP 10/16/08 0079773 CERVANTES, DAVID 42.75 195151' FITNESS SUPPLIES PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 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 T I O N DEBITS CREDITS. BALANCE 101-3003-451.56-02 Services & Supplies / Operating Supplies GM 01061 05/09 AP 10/28/08 0080632 HOME DEPOT CREDIT SERVICE 90.38 7022768 OPERATING SUPPLIES GM 01020 05/09 AP 11/05/08 0080393 BOARD OF EQUALIZATION 25.00 97-829622 OCT108 SALES TAX GM 01150 06/09 AP•11/16/08 0080880 WAL MART COMMUNITY 91.46 002357 SUPPLIES -SPORTS COMPLEX GM 01192 06/09 AP 11/18/08 0080788 CARDINAL PROMOTIONS 59.05 62680 STAFF SHIRTS GM 01350 06/09 AP 12/29/08 0080966 HYLTON, EDIE 118.12 REIMB MEALS -STAFF MTG GM 01457 06/09 AJ 12/31/08, AJE 6-046 RECLASS EXPENSES 2,400.00 GM 01713 08/09 AP 01/14/09 0081515 ADVANTAGE FITNESS PRODUCT 669.11' SI -100328 FITNESS CTR REPAIRS GM 01761 08/09 AP 01/25/09 0081804 LOWE'S HOME IMPROVEMENT W 47.31 966656 FITNESS CTR SUPPLIES GM 01944 09/09 AP 01/29/09 0081943 CARDINAL PROMOTIONS 643.59 63178 SUPPLIES -STAFF SHIRTS GM 01944 09/09 AP 02/16/09 0081943 CARDINAL PROMOTIONS 87.42 63322 SUPPLIES -STAFF SHIRTS GM 01973 09/09 AP 03/11/09 0082079 CATALINA PASSENGER SERVIC 1,475.00 032109 CATALINA EXCURSION GM 02446 11/09 AP 03/18/09 0082766 ADVANTAGE FITNESS PRODUCT 335.78 SI -103531 EQUIP REPAIRS GM 02123 09/09 AP 03/23/09 0082180 CARDIFF TRANSPORTATION 2,058.75 360264 EXCURSION-CATALINA GM 02330 10/09 AP 04/03/09 0082559 ADVANTAGE FITNESS PRODUCT 281.74 SI -104355 WIPES -FITNESS CTR GM 02356 11/09 AP 04/07/09 0082886 SMART & FINAL 40.19 3583410194180 FITNESS CTR SUPPLIES GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 11.93 960425 SUPPLIES -FITNESS CTR GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 104.49 960166 SUPPLIES -TRAILER GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME.IMPROVEMENT W 29.23 960723 SUPPLIES GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 2.53 960710 SUPPLIES GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 39.84 960520 SUPPLIES -TRAILER GM 02459 11/09 AP 05/01/09 0082849 MANSFIELD PAPER COMPANY I 34.70 411332 SUPPLIES GM 02551 11/09 AP 05/01/09 0082971 WELLS FARGO BUSINESS CARD 250.85 3072 VISA CARD PAYMENT GM 02459 11/09 AP 05/06/09 0082921 2XL CORPORATION 339.02 91560 SUPPLIES -FITNESS CTR GM 02690 12/09 AP 05/25/09 0083216 LOWE'S HOME IMPROVEMENT W 40.73 904502 SUPPLIES -TRAILER GM 02690 12/09 AP 05/25/09 0083216 LOWE'S HOME IMPROVEMENT W 58.62 960223 EVENT SUPPLIES PREPARED uoi12/2010, 9:26:27 GENERAL'LEDGER At;fIVITY LISTING PAGE 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 101-3003-451.56-02 Services & Supplies / Operating Supplies GM 02650 12/09 AP 06/03/09 0083146• SILVERROCK RESORT 33.00 97-829622 MAY109 SALES TAX CR 02698 12/09 CR 06/04/09 0018088 MANSFIELD PAPER/SUPPLY RE 8.82 DMARTIN 06/04/09 01 GM 02694 12/09 AP 06/08/09 0083272 ELITE DEALS 274.95 83349 STAGE TENT GM 02746 12/09 AP 06/12/09 0083350 ADVANTAGE FITNESS PRODUCT 2,497.88 SO -117545 TREADMILL GM 02889 12/09 AP 06/15/09 0083658 LOCK*SHOP INC, THE 135.94 E619939 FITNESS CTR LOCKS GM 02889 12/09 AP 06/18/09 0083668 MUSICIAN'S FRIEND 119.98 P628993101015 REPLACEMENT CABLES GM 02889 12/09 AP 06/18/09 0083668 MUSICIAN'S FRIEND 419.97 P628993101023 RPLCMNT SPEAKERS GM 02893 12/09 AP 06/25/09 0083661 LOWE'S HOME IMPROVEMENT W 122.30 960361 SUPPLIES-FC/SR CTR GM 02889 12/09 AP 06/28/09 0083622 CARDIFF TRANSPORTATION 11350.00 366031 EXCURSION BUS GM 02889 12/09 AP 06/28/09 0083684 SMART & FINAL 11138.59 35834110117610 SUPPLIES -YOUTH OE GM 02886 12/09 AP 06/30/09 0083608 SILVERROCK RESORT 24.00 97-829622 109 4TH QTR SALES TX ACCOUNT TOTAL 31,062.28 733.05 30,329.23 101-3003-451.56-25 Services & Supplies / Software .00 ACCOUNT TOTAL .00 101-3003-451.56-55 Services & Supplies / Small Tools/Equip .00 ACCOUNT TOTAL .00 101-3003-451.71-01 Capital Purchases / Machinery & Equipment .00 ACCOUNT TOTAL .00 101-3003-451.71-02 Capital Purchases / Furniture .00 ACCOUNT TOTAL .00 101-3003-451.71-03 Capital Purchases / Vehicles .00 ACCOUNT TOTAL .00 PREPARED w�,12/2010, 9:26:27 GENERAL LEDGER A6iIVITY LISTING FAUt 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 101-3004-451.30-03 Contract Services / Technical .00 ACCOUNT TOTAL .00 101-3004-451.30-96 Contract Services / Landscape Contract .00 GM 00269 02/09 AP 07/31/08 0079498 VINTAGE ASSOCIATES 51100.00 SI -64965 LANDSCAPING GM 00213 02/09 AP 08/01/08 0079302 VINTAGE ASSOCIATES 655.16 SI -64457 LANDSCAPE SERVICE GM 00369 03/09 AP 08/15/08 0079662 VINTAGE ASSOCIATES 655.16 SI -65201 LANDSCAPE SVC GM 00599 04/09 AP 09/15/08 0080139 VINTAGE ASSOCIATES 655.16 SI -65569 PARK MAINT. GM 00885 04/09 AP 10/15/08 0080324 VINTAGE ASSOCIATES 655.16 SI -66180 MO PARK MAINT GM 01067 05/09 AP 10/31/08 0080719 VINTAGE ASSOCIATES 655.16 SI -67655 PARKS MONTHLY GM 01347 06/09 AP 12/15/08 0081127 VINTAGE ASSOCIATES 655.16 SI -68968 MONTHLY PARKS GM 01575 07/09 AP 01/15/09 0081458 VINTAGE ASSOCIATES 655.16 SI -69615 MONTHLY PK MAINT GM 01873 09/09 AP 02/15/09 0082061 VINTAGE ASSOCIATES -655.16 SI -70614 PARK MAINT GM 02081 09/09 AP 03/15/09 0082329 VINTAGE ASSOCIATES 655.16 SI -71351 PARK LNDSCP SVC GM 02810 12/09 AP 04/15/09 0083343 VINTAGE ASSOCIATES 655.16 SI -72793 APR109 PARK MAINT GM 02275 10/09 AP 04/17/09 0082604 ECONOMY TREE & CRANE, INC 31500.00 041709 LIBRARY TREE REPLACEMENT GM 02330 10/09 AP 04/22/09 0082604 ECONOMY TREE & CRANE, INC 31500.00 042209 LIBRARY TREE RPLCMT GM 02467 11/09 AP 04/22/09 0082930 ECONOMY TREE & CRANE, INC 3,500.00 042209 LIBRARY TREE RPLCMT GM 02468 11/09 AP 05/14/09 0082604 ECONOMY TREE & CRANE, INC 31500.00 041709 LIBRARY TREE REPLACEMENT GM 02468 11/09 AP 05/14/09 0082604 ECONOMY TREE & CRANE, INC 31500.00 042209 LIBRARY TREE RPLCMT GM 02810 12/09 AP 05/15/09 0083343 VINTAGE ASSOCIATES 655.16 SI -73646 MAY109 PARK MAINT GM 02875 12/09 AP 06/15/09 0083697 VINTAGE ASSOCIATES % 655.16 SI -74393 JUN'09 PARKS MAINT ACCOUNT TOTAL 23,461.92 7,000.00 16,461:92 101-3004-451.30-97 Contract Services / County of Riverside .00 GM 02329 10/09 AJ 04/30/09 AJE 10-013 REIMBURSE FM LIBRARY FUND 359,266.00 GM 03000 13/09 AJ 06/30/09 AJE 13-008 REIMBURSE LIBRARY EXPENSE 467,305.00 ACCOUNT TOTAL 826,571.00 826,571.00 PREPARED w�,12/2010, 9:26:27 GENERAL LEDGER Nu:'IVITY LISTING rnit 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 101-3004-451.32-01 Contract Services / Attorney .00 ACCOUNT TOTAL .00 101-3004-451.41-01 Utilities / Electric -Inside .00 GM 00188 01/09 AP 07/21/08 0079149 IMPERIAL IRRIGATION DIST 7,239.97 VARIOUS ELECTRIC SVC GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST 7,646.49 VARIOUS ELECTRIC SVC GM 00636 04/09 AP 10/01/08 0079950 IMPERIAL IRRIGATION DIST 6,122.08 94686707 ELECTRIC SVC GM 00924 04/09 AP 10/21/08 0080338 IMPERIAL IRRIGATION DIST 4,394.41 114731789 ELECTRIC SVC GM 01153 06/09 AP 11/25/08 0080747 IMPERIAL IRRIGATION DIST 3,967.57 50315886 ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 2,930.98 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 01/22/09 0081495 IMPERIAL IRRIGATION DIST 3,601.71 50315886 ELECTRIC -LIBRARY GM 01904 09/09 AP 01/27/09 0081995 LIGHT SOURCE 223.65 76446 LIBRARY -LIGHTS REPLACE GM 01904 09/09 AP 02/03/09 0081995 LIGHT SOURCE 208.00 76590 LIBRARY -LIGHTS REPLACE GM 01905. 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 3,886.27 50315886 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 3,601.71 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/30/09 0082749 IMPERIAL IRRIGATION DIST 4,861.89 50315886 ELECTRIC SVC GM 02650 12/09 AP 05/20/09 0083135 IMPERIAL IRRIGATION DIST 6,772.49 50315886 ELECTRIC SVC GM 02886 12/09 AP 06/21/09 0083606 IMPERIAL IRRIGATION DIST 6,325.33 50315886 ELECTRIC SVC ACCOUNT TOTAL 61,782.55 61,782.55 101-3004-451.41-02 Utilities /-Electric - Outside .00 ACCOUNT TOTAL .00 101-3004-451.41-13 Utilities / Gas .00 GM 00188 01/09 AP 07/24/08 0079148 GAS COMPANY, THE 39.86 15294440449 GAS SVC GM 00363 02/09 AP 08/22/08 0079513 GAS COMPANY, THE. 52.32 15294440449 LIBRARY GAS SVC GM 00590 03/09 AP 09/22/08 0079729 GAS COMPANY, THE 96.13 15294440449 GAS SVC PREPARED uo.12/2010, 9:26:27 GENERAL LEDGER AtfIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3004-451.41-13 Utilities / Gas GM 00924 04/09 AP 10/22/08 0080336 15294440449 GM 01153 06/09 AP 11/19/08 0080743 15294440449 GM 01443 07/09 AP 12/23/08 0081142 15294440449 GM 01685 08/09 AP 01/26/09 0081493 15294440449 GM 01905 09/09 AP 02/25/09 0081904 15294440449 GM 02176 10/09 AP 03/26/09 0082375 15294440449 GM 02344 11/09 AP 04/24/09 0082713 15294440449 GM 02650 12/09 AP 05/26/09 0083131 15294440449 GM 02839 12/09 AP 06/24/09 0083557 15294440449 ACCOUNT TOTAL 101-3004-451.41-16 Utilities / Water GM 00081 01/09 AP 07/06/08 0078924 060706301011 GM 00081 01/09 AP 07/06/08 0078924- 060706301000 GM 00325. 02/09 AP 08/06/08 0079337 060706301000 GM 00845 04/09 AP 10/21/08 0080189 VARIOUS GM 01793 08/09 AP 02/06/09 0081706 060706301011 GM 01793 08/09 AP 02/06/09 0081706 060706301000 GM 01985 09/09 AP 03/09/09 0082105 060706301000 GM 01985 09/09 AP 03/09/09 0082105 060706301011 GM 02264 10/09 AP 04/13/09 0082517 VARIOUS GM 02739 12/09 AP 06/12/09 0083285 VARIOUS GM 02905 12/09 AP 07/15/09 0083771 - VARIOUS GAS COMPANY, THE LIBRARY GAS GAS COMPANY, THE GAS SVC -LIBRARY GAS COMPANY, THE GAS SVC . GAS COMPANY, THE LIBRARY GAS SVC GAS COMPANY, THE GAS -LIBRARY GAS COMPANY, THE GAS SVC -LIBRARY GAS COMPANY, THE GAS SVC -LIBRARY GAS COMPANY, THE LIBRARY 4/22-5/21 GAS COMPANY, THE GAS -LIBRARY 5/21-6/22 -Inside COACHELLA VALLEY WATER DI WATER SVC -LIBRARY COACHELLA VALLEY WATER DI WATER SVC -LIBRARY COACHELLA VALLEY WATER DI WATER SVC -LIBRARY COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI LIBRARY WATER SVC COACHELLA VALLEY WATER DI LIBRARY WATER SVC COACHELLA VALLEY WATER.DI WATER SVC -LIBRARY • COACHELLA VALLEY WATER DI WATER SVC -LIBRARY COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC 341.85 373.73 843.32 541.31 1,797.34 576.44 456.44 .224.53 196.46 5,539.73 40.00 124.14 4.58 91.35 20.00 72.29 70.41 20.00 96.99 91.35 93.23 5,539.73 .00 ACCOUNT TOTAL 724.34 724.34 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 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 ------------------------------------•----------------------------------------------------------------------=------------------------- 101-3004-451.41-17 Utilities / Water - Outside ACCOUNT TOTAL 101-3004-451.41-22 Utilities / Telephone ACCOUNT TOTAL 101-3004-451.41-30 Utilities / Security and Alarm GM 00006 01/09 AP 07/01/08 0078787 CENTRAL SECURITY SERVICES 86.00 R 14401 LIBRARY SECURITY GM 00006 01/09 AP 07/01/08 0078787 CENTRAL SECURITY SERVICES 29.00 R 14400 LIBRARY SECURITY GM 00257 02/09 AP 08/01/08 0079200 CENTRAL SECURITY SERVICES 86.00 R 14956 LIBRARY SECURITY GM 00257 02/09 AP 08/01/08 0079200 CENTRAL SECURITY SERVICES 29.00 R 14955 LIBRARY SECURITY GM 00493 03/09 AP 09/01/08 0079772 CENTRAL SECURITY SERVICES 86.00 R 15450 LIBRARY SECURITY GM 00493 03/09 AP 09/01/08 0079772 CENTRAL SECURITY SERVICES 29.00 R 15449 LIBRARY SECURITY GM 00767 04/09 AP 10/01/08 0080032 CENTRAL SECURITY SERVICES 29.00 R 15950 LIBRARY. GM 00767 04/09 AP 10/01/08 0080032 CENTRAL SECURITY SERVICES 86.00 R 15951 LIBRARY SECURITY GM 00972 05/09 AP 11/01/08 0080404 CENTRAL SECURITY SERVICES 29.00 R16485 LIBARARY SECURITY GM 00972 05/09 AP 11/01/08 0080404 CENTRAL SECURITY SERVICES 86.00 R16486 LIBARARY SECURITY GM 01067 05/09 AP 11/12/08 0080589 CENTRAL SECURITY SERVICES 250.00 P 8489 LIBRARY GM 01190 06/09 AP 12/01/08 0080793 CENTRAL SECURITY SERVICES 29.00 R16981 LIBRARY SECURITY GM 01190 06/09 AP 12/01/08 0080793 CENTRAL SECURITY SERVICES 86.00 R16982 LIBRARY SECURITY GM 01458 07/09 AP 01/01/09 0081181 CENTRAL SECURITY SERVICES 86.00 R17473 LIBRARY SECURITY SVC GM 01458 07/09 AP 01/01/09 0081181 CENTRAL SECURITY SERVICES 29.00 R17472 LIBRARY SECURITY SVC GM 01715 08/09 AP 02/01/09 0081541 CENTRAL SECURITY SERVICES 86.00 R18000 LIBRARY SECURITY GM 01715 08/09 AP 02/01/09 0081541 CENTRAL SECURITY SERVICES 29.00 R17999 LIBRARY SECURITY GM 01944 09/09 AP 03/01/09 0081947 CENTRAL SECURITY SERVICES 86.00 R18473 LIBRARY SECURITY GM 01944 09/09 AP 03/01/09 0081947 CENTRAL SECURITY SERVICES 29.00 R18472 LIBRARY SECURITY GM 02167 10/09 AP 04/01/09 0082416 CENTRAL SECURITY SERVICES 86.00 .00 .00 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER — ,'IVITY LISTING 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 CREDITS BALANCE 101-3004-451.41-30 Utilities / Security and Alarm R18974 LIBRARY- GM 02167 10/09 AP 04/01/09 0082416 CENTRAL•SECURITY SERVICES 29.00 R18973 LIBRARY- GM 02452 11/09 AP 05/01/09 0082788 CENTRAL SECURITY SERVICES 88.00 R19569 LIBRARY GM 02452 11/09 AP 05/01/09 0082788 CENTRAL SECURITY SERVICES 30.00 R19568 i LIBRARY GM 02690 12/09 AP 06/01/09 0083171 CENTRAL SECURITY SERVICES 88.00 R20055 JUL109 LIBRARY GM 02690 12/09 AP 06/01/09 0083171 CENTRAL SECURITY SERVICES 30.00 R20054 JUL109 LIBRARY GM 02828 12/09 AP 06/18/09 0083375 CENTRAL SECURITY SERVICES 20.00 P 9319 LIBRARY SECURITY GM 02870 12/09 AP 06/26/09 0083623 CENTRAL SECURITY SERVICES 293.00 P9342 SECURITY SVC ACCOUNT TOTAL 1,949.00 11949.00 101-3004-451.42-15 Contract Services / Janitorial .00 GM 00054 01/09 AP 07/01/08 0078963 ADVANCED, INC. 2,003.13 12227 JANITORIALSERVICE 00257 02/09 AP 08/01/08 0079188 INC.GM ADVANCED, 2,003.13 12293 JANITORIAL GM 00534 03/09 AP 09/01/08 0079742 ADVANCED, INC. 2,003.13 12357 JANITORIAL SERVICES GM 00794 04/09 AP 10/01/08 0080206 ADVANCED, INC. 2,003.13 12436 JANITORIAL GM 01012 05/09 AP 11/01/08 0080381 ADVANCED, INC. .2,003.13 12484 JANITORIAL GM 01214 06/09 AP 12/01/08 0080776 ADVANCED, INC. 2,003.13 12537 JANITORIAL SVC GM 01458 07/09 AP 01/01/09 0081167 ADVANCED, INC. 2,003.13 12592 JANITORIAL GM 01472 07/09 AP 01/01/09 0081256 ADVANCED, INC. 2,003.13 12592 JANITORIAL GM 01713 08/09 AP 02/01/09 0081514 ADVANCED, INC. 2,003.13 12676 JANITORIAL SVC GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 2,003.13 12708 JANITORIAL SVC GM 02224 10/09 AP 04/01/09 0082399 ADVANCED, INC. 2,003.13 12776 JANITORIAL SVC GM.02160 10/09 AP 04/02/09 0081167 ADVANCED, INC. 2,003.13 12592 JANITORIAL GM 02459 11/09 AP 05/01/09 0082765 ADVANCED INC 2,003.13 12885 JANITORIAL GM 02683 12/09 AP 06/01/09 0083157 ADVANCED INC 2,003.13 12954 JUN'09 JANITORIAL ACCOUNT TOTAL 26,040.69 2,003.13 24,037.56 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 --=--------------------------------------------------------------------------------------------------=------------------------------ 101-3004-451.42-20 Contract Services / Pest Control GM GM 00130 01/09 AP 07/02/08 0079069 TRULY NOLEN INC 80.00 33136 66867471 LIBRARY KEYS PEST CONTROL GM GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 80.00 960907 66869273 MAINTENACE LIBRARY GM GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 80.00 966349 66871178 LIBRARY LIBRARY GM GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 80.00 335443 66872905 LIBRARY LIBRARY GM GM 01525 07/09 AP 11/07/08 0081450 TRULY NOLEN INC 80.00 5725-603890 66874834 PEST CNTRL-LIBRARY 01629 GM 01525 07/09 AP 12/05/08 0081450 TRULY NOLEN INC 80.00 31267 66876591 PEST CNTRL-LIBRARY 01609 GM 01620 08/09 AP 01/05/09 0081647 TRULY NOLEN INC 80.00 66878240 PEST CONTROL 01904 GM 01873 09/09 AP 02/06/09 0082056 TRULY NOLEN INC 80.00 66879871 PEST CNTRL-LIBRARY GM 01977 09/09 AP 03/02/09 0082318 TRULY NOLEN INC 80.00 66881419 PEST CNTRL-LIBRARY GM 02330 10/09 AP 04/01/09 0082694 TRULY NOLEN INC 80.00 66882923 PST CNTRL-LIBRARY GM 02406 11/09 AP 04/15/09 0082906 TRULY NOLEN INC 80.00 66884564 PST CNTRL:LIBRARY GM 02744 12/09 AP 06/08/09 0083531 TRULY NOLEN INC 80.00 66886299 PST CNTRL-LIBRARY ACCOUNT TOTAL 960.00 101-3004-451.42-35 Contract Services / Move/Set up of New Space ACCOUNT TOTAL 101-3004-451.43-01 Other Services / Maintenance GM 00534 03/09 AP 08/19/08 0079857 LOCK SHOP INC, THE 18.32 33136 LIBRARY KEYS GM 00588 03/09 AP 08/19/08 0079858 LOWE'S HOME IMPROVEMENT W 26.79 960907 MAINTENACE GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 32.23 966349 LIBRARY GM 00936 05/09 AP 10/03/08 0080453 LOCK SHOP INC, THE 181.34' 335443 LIBRARY GM 01629 08/09 AP 11/14/08 0081551 CONSOLIDATED ELECTRICAL D 48.49 5725-603890 LIGHT BULB REPLCMT GM 01629 08/09 AP 12/05/08 0081570 EMERGENCY LIGHTING EQUIP 575.00 31267 EMERGENCY LIGHTING CR 01609 07/09 CR 01/26/09 0010073 RESTITUTION/LIBRARY BATHR DMARTIN 01/26/09 01 GM 01904 09/09 AP 02/04/09 0081951 CONSOLIDATED ELECTRICAL D 70.58 0 75.00 .00 960.00 .00 .00 .00 PREPARED ua.12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING FAWt 738 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3004-451.43-01 Other Services / Maintenance 5725-609629 REPLACEMENT BULBS GM 01904 09/09 AP 02/05/09 0081951 CONSOLIDATED ELECTRICAL D 5725-609630 REPLACEMENT BULBS GM 01944 09/09 AP 02/17/09 0081996 LOCK SHOP INC, THE 633258 DUP KEYS GM 02278 10/09 AP 04/02/09 0082627 JOHNSTONE SUPPLY 238224 EXHAUST FAN REPAIR GM 02581 11/09 AP 05/05/09 0082983 AUTOMATED CONTROLS INC 409241 MODEM -SECURITY GM 02788 12/09 AP 06/12/09 0083406 EMERGENCY LIGHTING EQUIP 33600 MAINTENANCE SVC GM 02920 12/09 AP 07/03/09 0083809 WELLS•FARGO BUSINESS CARD 3072 VISA CARD PAYMENT ACCOUNT TOTAL 101-3004-451.43-31 Other Services / Maint.-Fire extinguishers ACCOUNT TOTAL 101-3004-451.43-52 Other Services / HVAC GM 00309 02/09 AP 07/01/08 0079423 53427 GM 00309 02/09 AP 07/07/08 0079423 53543 GM 00309 02/09 AP 07/08/08 0079423 53594 GM 00309 02/09 AP 07/08/08 0079423 53593 GM 00309 02/09 AP. 07/10/08 0079423 53601 GM 00213 02/09 AP 08/01/08 0079233 53694 GM 00534 03/09 AP 08/18/08 0079830 53865 GM 00936 05/09 AP 09/24/08 0080385 908438 GM 01257 06/09 AP 10/01/08 0081033 53625 GM 00936 05/09 AP' 10/10/08 0080430 54237 GM 01150 06/09 AP 11/06/08 0080818 54415 GM 01629 08/09 AP 01/01/09 0081585 54451 GM 01629 08/09..AP 01/06/09 0081585 54795 HOARD INC, HUGH AC SERVICE HOARD INC, HUGH AC SERVICE ' HOARD INC, HUGH AC SERVICE HOARD INC, HUGH AC SERVICE HOARD INC, HUGH AC SERVICE HOARD INC, HUGH A/C SERVICE HOARD INC, HUGH A/C SERVICE AUTOMATED CONTROLS INC A/C UNIT REPAIR HOARD INC, HUGH A/C MAINTENANCE HOARD INC, HUGH A/C REPAIR -LIBRARY HOARD INC, HUGH LIBRARY HOARD INC, HUGH A/C REPAIR HOARD INC, HUGH A/C REPAIR 24.24 4.81 85.72 964.19 550.00 • 71.57 2,653.28 197.00 197.00 673.26 122.21 459.75 98.50 394.00 490.00 638.60 123.72 197.00 582.48 197.00 75.00 2,578.28 .00 .00 .00 PREPAREL w4.'12/2010, 9:26:27 GENERAL LEDGEh #%6 IVITY LISTING rAWt 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 101-3004-451.43-52 Other Services / HVAC GM 01629 08/09 AP 01/12/09 0081585 HOARD INC, HUGH 410.68• 54834 A/C REPAIR GM 02123 09/09 AP 02/25/09 0082227 HOARD INC, HUGH 223.81 55005 A/C REPAIR GM 02278 10/09 AP 04/01/09 0082621 HOARD INC, HUGH 673.26 54843 A/C MAINT CHECK GM 02662 12/09 •AP 04/20/09 0083200 HOARD INC, HUGH 319.21 55379 A/C REPAIR GM 02662 12/09 AP 04/23/09 0083200 HOARD INC, HUGH 98.50 55471 A/C REPAIR GM 02662 12/09 AP 04/30/09 0083200 HOARD INC, HUGH 147.75 55503 A/C REPAIR CONSULT GM 02662 12/09 AP 05/01/09 0083200 HOARD INC, HUGH 98.50 55527 A/C MAINTENANCE GM 02828 12/09 AP 05/15/09 0083428 HOARD INC, HUGH 224.19 55696 A/C REPAIR GM 02889 12/09 AP 06/12/09 0083644 HOARD INC, HUGH 147.75 55923 A/C MAINTENANCE GM 02870 12/09 AP 06/16/09 0083641 GENERAL AIR CONDITIONING 90.00 109432 A/C MAINTENANCE ACCOUNT TOTAL 6,804.17 6,804.17 101-3004-451.43-78 Other Services / Fire Extinguisher Service .00 GM 02727 12/09 AP 05/08/09 0083397 DESERT•FIRE EXTINGUISHER 35.60 689011 REFILL -LIBRARY ACCOUNT TOTAL 35.60 35.60 101-3004-451.43-88 Other Services / Maint.-Other Equipment .00 GM 00588 03/09 AP 07/29/08 0079858 LOWE'S HOME IMPROVEMENT W 216.55 920761 BENCH ACCOUNT TOTAL 216.55 216.55 101-3004-451.44-04 Rental Services / Facility Rent .00 GM 00126 01/09 AJ 07/31/08 JE 01-016 ANNL LIBRARY LAND LEASE 1151000.00 ACCOUNT TOTAL 115,000.00 115,000.00 101-3004-451.51-01 Services & Supplies / Travel & Training .00 ACCOUNT TOTAL .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AGi'IVITY LISTING PAGE 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 101-3004-451.52-01 Insurance / Liability/SIR .00 ACCOUNT TOTAL .00 101-3004-451.52-04 Insurance / Property .00 .ACCOUNT TOTAL .00 101-3004-451.52-13 Insurance / Earthquake/Flood .00 GM 01839 08/09 AP 02/24/09 0081875 HAYWARD TILTON & ROLAPP I 30,228.00 VARIOUS POLICY RENEWAL ACCOUNT TOTAL 30,228.00 30,228.00 101-3004-451.53-03 Services & Supplies / Membership Dues .00 ACCOUNT TOTAL .00 101-3004-451.54-01 Services'& Supplies / Information Tech Charges .00 ACCOUNT TOTAL .00 101-3004-451.55-01 Advertising/Promo / Advertising .00 ACCOUNT TOTAL .00 101-3004-451.56-02 Services & Supplies / Operating Supplies .00 GM 02329 10/09 AJ 04/30/09 AJE 10-013 REIMBURSE FM LIBRARY FUND 88,731.00 GM 03000 13/09 AJ 06/30/09 AJE 13-008 REIMBURSE LIBRARY EXPENSE 133,628.00 ACCOUNT TOTAL .222,359.00 222,359.00 101-3004-451.56-55 Services & Supplies / Small•Tools/Equip .00 ACCOUNT TOTAL .00 101-3004-451.71-01 Capital Purchases / Machinery & Equipment .00 ACCOUNT TOTAL. .00 101-3004-451.71-02 Capital Purchases / Furniture .00 PREPARED wa.12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING rAWt 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 101-3004-451.71-.02 Capital Purchases / Furniture GM 00492 03/09 AP 08/21/08 0079754 BKM OFFICEWORKS 2,902.59 563952 LIBRARY PH II ACCOUNT TOTAL 2,902.59 2,902.59 101-3004-451.71-03 Capital Purchases / Vehicles .00 ACCOUNT TOTAL .00 101-3004-451.72-10 Buildings / Capital -Buildings .00 ACCOUNT TOTAL .00 101-3004-451.80-04 Other / Contributions .00 GM 00867 04/09 AJ 10/31/08 JE 04-017 10/24/08 LIBRARY RENT 350.00 GM 01372 06/09 AJ 12/31/08 JE 06-029 LQ LIBRARY MTG 12/11/08 200.00 GM 02403 10/09 AJ 04/30/09 JE 10-032 4/15/09 LIBRARY STAFF MTG 100.00 ACCOUNT TOTAL 650.00 650.00 101-3004-451.91-11 Reimbursed Gen Fund Exp / Personnel .00 ACCOUNT TOTAL .00 101-3004-451.91-12 Reimbursed Gen Fund Exp / Supplies/Service .00 GM 00126 01/09 AJ 07/31/08 JE 01-016 ANNL LIBRARY LAND LEASE 115,000.00 GM 02329 10/09 AJ 04/30/09 AJE 10-013 REIMBURSE FM LIBRARY FUND 447,997.00 GM 02974 12/09 AJ 06/30/09 AJE 12-109 REIMBURSE FM LIBRARY FUND 250,244.70 GM 03000 13/09 AJ 06/30/09 AJE 13-008 REIMBURSE LIBRARY EXPENSE 600,933.00 ACCOUNT TOTAL 1,414,174.70 1,414,174.70CR 101-3004-451.91-13 Reimbursed Gen Fund Exp / Capital Expenses .00 GM 02974 12/09 AJ 06/30/09 AJE 12-109 REIMBURSE FM LIBRARY FUND 2,902.59 ACCOUNT TOTAL 2,902.59 2,902.59CR 101-3004-451.92-11 Other Charges / Fleet Maint Program Chrgs .00 GM 00123 01/09 AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 BUDG 98,277.00 ACCOUNT TOTAL 98,277.00 98,277.00 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 101-3005-451.10-01 Salaries & Wages / Permanent Full Time .00 PR 0003.5 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 4,122.33 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 2,473.43 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY .4,212.40 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 4;212.40 PR 00323 02/09. AJ 08/22/08 PR0822 PAYROLL SUMMARY 4,212.40 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 4,212.65 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 4,212.40 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 4,244.90 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL.SUMMARY 4,244.89 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 4,257.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 4,269.10 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 4,269.23 PR.01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 4,269.35 PR 01292 06/09 AJ 12/24/08.PR1224 PAYROLL SUMMARY 4,269.35 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 4,930.20 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 4,269.28 PR 01670 08/09. AJ 02/06/09 PR0206 PAYROLL SUMMARY 4,269.35 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 4,269.60 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 4,269.23 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 4,269.10 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 4,269.60 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 4,269.10 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 4,269.10 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 4,269.10 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 4,269.09 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 4,269.10 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 4,269.10 PR 02883 12/09 AJ 07/10/09 PR0710. PAYROLL SUMMARY 2,988.40 ACCOUNT•TOTAL 114,157.75 2,473.43 111,684.32 101-3005-451.10-03 Salaries & Wages / Salaries - Part Time .00 ACCOUNT TOTAL .00 101-3005-451.10-04 Salaries & Wages / Salaries -Overtime .00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 24.34 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 19.07 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 38.14 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 44,64 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 89.27 ACCOUNT TOTAL 215.46 215.46 101-3005-451.10-05 Salaries & Wages / Temporary Agency Services .00 ACCOUNT TOTAL .00 PREPARED uo112/2010, 9:26:27 GENERAL LEDGEk AUiIVITY LISTING PAGE 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 -----------------------------------------------------------------------------------------------------------------=------------------ 101-3005-451.10-15 Salaries & Wages / Salaries -Standby PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02791 12/09' AJ 06/26/09 PR0626 PAYROLL SUMMARY ACCOUNT TOTAL 101-3005-451.10-16 Salaries & Wages / Salaries -Standby Overtime PR -00035 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0B22 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02791 12/09• AJ 06/26/09 PR0626 PAYROLL SUMMARY ACCOUNT TOTAL 101-3005-451.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725- PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY - PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 105.00 43.75 18.75 87.50 87.50 87.50 43.75 140.00 6.25 43.75 43.75 43.75 87.50 112.50 25.00 87.50 1,063.75 54.50 27.25 170.03 109:32 136.95 379.37 28.61 38.14 44.63 117.87 66.95 1,173.62 517.60 528.92 528.92 528.92 528.92 528.92 533.01 533:01 534.53 63.00 63.00 32.70 32.70 310.56. . 0"0 1,000.75 00 1,140.92 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 744 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 101-3005-451.20-01 PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 • AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-3005-451.20-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 U9/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ Employee Benefits 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206' 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PRO320 04/03/09 PR0403 04/17/09 PRO417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PRO529 06/12/09 PR0612 06/26/09 PRO626 07/10/09 PR0710 ACCOUNT TOTAL Employee 07/11/08 07/11/08 07/25/08 08/08/08 08/22/08 09/05/08 09/19/08 10/03/Q8 10/17/08 10/31/08 11/14/08 11/26/08 12/12/08 12/24/08 01/09/09 01/23/09 02/06/09 02/20/09 03/06/09 03/20/09 04/03/09 04/17/09 05/01/09 05/15/09 05/29/09 06/12/09 Benefits PR0711 PR0711 PR0725 PRO808 PR0822 PR0905 PR0919 PR1003 PR1017 PR1031 PR1114 PR1126 P.R1212 PR1224 PR'0109 PRO123 PR0206 PR0220 PR0306 PR0320 PR0403 PR0417 PRO501 PRO515 PRO529 PRO612 PERS-City 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 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY. PAYROLL SUMMARY PAYROLL SUMMARY DEBITS CREDITS 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 536.05 361.82 14,237.42 329.38 336.59 336.59 336.59 336.59 336.59 339.19 339.19 340.16 341.13 341.13 341.13 341.13 341.13 341.13 341.13 341.13 3/:1.13 341.13 341.13 341.13 341.13 341.13 341.13 341.13 310.56 197.63 BEGINNING /ENDING BALANCE 13,926.86 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 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 -------------------------•----------------------------------------------------------------------------------------------------------- 101-3005-451.20-02 Employee Benefits / PERS-Employee Portion PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-3005-451.20-03 Employee Benefits / PERS-Survivor Benefits 101-3005-451.21-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 07/25/08 PR0725 08/08/08 PR0808 08/08/08 PR0808 08/22/08 PR0822 08/22/08 PR0822 09/05/08 PR0905 09/05/08 PR0905 09/19/08 PR0919 09/19/08 PR0919 10/03/08 PR1003 10/03/08 PR1003 10/17/08 PR1017 10/17/08 PR1017 11/14/08 PR1114 11/14/08 PR1114 11/26/08 PR1126 11/26/08 PR1126 12/12/08 PR1212 12/12/08 PR1212 12/24/08 PR1224 12/24/08 PR1224 01/09/09 PR0109 01/09/09 PR0109 01/23/09 PR0123 01/23/09 PR0123 02/06/09 PR0206 02/06/09 PR0206 02/20/09 PR0220 02/20/09 PR0220 03/06/09 PR0306 03/06/09 PR0306 03/20/09 PR0320 03/20/09 PR0320 04/03/09 PR0403 / 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 341.13 238.79 9,068.87 659.03 659.03 659.03 659.03 659.03 659.03 659.03 659.03 659.03 659.03 715.37 715.37 715.37 715.37 715.37 715.37 715.37 715.37 715.37 197.63 410.55 15.13 15.13 •15.13 15.13 15.13 15.13 15.13 15.13 15.13 20.96 20.96 20.96 20.96 20.96 20.96 20.96 20.96 . 8,871.24 .00 .00 .00 PREPARED 12/2010, 9:26:27 GENERAL LEDGEL--.'IVITY LISTING PAGE 746 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund -------------------------- GROUP ACCTG ----TRANSACTION---- BEGINNING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N /ENDING ---------------------------------------------------------------------------------------------------------------------------------- BITS CREDITS BALANCE 101-3005-451.21-01 PR 02126 10/09 AJ PR 02229 10/09. AJ PR 02229. 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883. 12/09 AJ 101-3005-451.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PR0612 06/12/09 PR0612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 / 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 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0B22 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL 715.37 715.37 715.37 715.37 715.37 500.76 17,106.24 7.49 7.49- 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7:49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 7.49 5.57 185.33 20.96 20.96 20.96 20.96 47.96 47.96 894.16 4.50 4.50 16,212.08 .00 180.83 101-3005-451.21-03 Insurance Benefits / Dental Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 65.25 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 101-3005-451.21-03 Insurance Benefits / Dental Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 39.15 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 65.25 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 65.25 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 65.25 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 65.25 PR 00530 03/09 -AJ 09/19/08 PR0919 -PAYROLL SUMMARY 65.25 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 65.25 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 65.25 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 65.25 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 65.25 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 65.25 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 65.25 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 65.25 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 65.25 PR 01670 08/09 AJ 02/06/09 P,R0206 PAYROLL SUMMARY 65.25 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 65.25 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 65.25 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 65.25 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 65.25, PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 65.25 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 65.25 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 6.5.25 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 65.25 PR 02791 "'12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 65.25 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 45.69 ACCOUNT TOTAL 1,611.69 39.15 1,572.54 101-3005-451.21-05 Insurance Benefits / Life Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 4.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 2.40 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 4.00 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 4.00 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 4.00 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 4.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 4.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 4.00 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 4.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 4.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 4.00 PR 01239 u6/09 AJ 12/12/08•PRI212 PAYROLL SUMMARY 4.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 4.00 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 4.00 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 4.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 4.00 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 4.00 PR 01902 09/09 AJ 03/06/09 PRb306 PAYROLL SUMMARY 4.00 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 4.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING VAUt 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 101-3005-451.21-05 Insurance Benefits / Life Insurance PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 4.00 PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY 4:00 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 4.00 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 4.00 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 4.00 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 4.00 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 2.80 ACCOUNT TOTAL 101-3005-451.21-06 Insurance Benefits / Flexible Compensation 101-3005-451.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323, 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ 'PR 02883 12/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PRO320 04/03/09 PRO403 04/17/09 PRO417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL 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 PAYROLL SUMMARY PAYROLL SUMMARY 98.80 45.44 45.44 45.44 45.44 45.44 45.44 45.79 45.79• 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 46.05 32.23 1,225.35 2.40 27.27 27.27 96.40 .00 .00 .00 1,198.08 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AcfIVITY LISTING rAWt 749 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 101-3005-451.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/0,9 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-3005-451.27-03 Other Benefits & Deduc. / Social Security -Medicare PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01259 06/09 AJ 12/11/08 PR1211 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR .01292 •06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY DEBITS' CREDITS 126.32 124.27 124.27 126.36 124.83 132.34 125.23 125.23 131.39 125.94 128.90 132.03 125.95 161.64 126.98 127.24 127.25 128.36 129.84 127.71 132.74 126.68 125.94 125.94 125.94 130.50 88.16 3,437.98 62.09 61.09 61.09 62.12 61.36 65.18 61.56 61.56 64.60 61.91 63.46 50.09 65.09 61.91 75.78 757.02 832.80 37.26 BEGINNING /ENDING BALANCE 00 2,605.18 00 PREPARED ua 12/2010, 9:26:27 / Consultants GENERAL LEDGEk A6 IVITY LISTING rAVt 750 PROGRAM GM362LA AP 07/14/08 0079041 KRIBBS CONSTRUCTION, BRUC 11000.00 CITY OF LA GUINTA, CALIFORNIA LMC#186 LANDSCAPE LIGHTING ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund AP 08/03/08 0079435 KRIBBS CONSTRUCTION,. BRUC BEGINNING GROUP ACCTG ----TRANSACTION---- LMC 187 /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O.N DEBITS CREDITS BALANCE 101-3005-451.27-03 BRUC Other Benefits & Deduc. / Social Security -Medicare 2023 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 79.68 08/18/08 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 62.42 LMC#188 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 62.55 09/02/08 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 62.56 090208 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 63.10 09/15/08 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL •SUMMARY 63.83 LMC #190 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 63.22 10/06/08 PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY 65.25 2031 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 62.27 10/06/08 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 61.91 191 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 61.91 10/20/08 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 61.91 192 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 64.15 11/02/08 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 43.35 193 ACCOUNT TOTAL 1,741.22 101-3005-451.27-05 Other Benefits & Deduc. / Social Security -FICA ACCOUNT TOTAL 101-3005-451.32-07 Contract Services / Consultants GM 00130 01/09 AP 07/14/08 0079041 KRIBBS CONSTRUCTION, BRUC 11000.00 LMC#186 LANDSCAPE LIGHTING GM 00267 02/09 AP 08/03/08 0079435 KRIBBS CONSTRUCTION,. BRUC 11000.00 LMC 187 ELECTRIC SERVICE' GM 00331 02/09 AP 08/14/08 0079435 KRIBBS CONSTRUCTION, BRUC 930.00 2023 SPORTS CMPLX LIGHTS GM 00331 02/09 AP 08/18/08 0079435 KRIBBS CONSTRUCTION, BRUC 11000.00 LMC#188 ELECTRICAL SVC GM 00433 03/09 AP 09/02/08 0079612 KRIBBS, BRUCE 11000.00 090208 ELECTRIC SERVICE GM 00529 03/09 AP 09/15/08 0079849 KRIBBS CONSTRUCTION, BRUC 11000.00 LMC #190 ELEC SERVICE GM 00743 04/09 AP 10/06/08 0080077 KRIBBS CONSTRUCTION, BRUC 756.00 2031 LQ PARK REPAIR GM 00767 04/09 AP 10/06/08 0080077 KRIBBS CONSTRUCTION, BRUC 11000.00 191 ELECT SVC GM 00875 04/09 AP 10/20/08 0080262 KRIBBS CONSTRUCTION, BRUC 11000.00 . 192 ELECTRICAL SVC GM 01012 05/09 AP 11/02/08 0080444 KRIBBS CONSTRUCTION, BRUC 11000.00 193 ELECT SVC GM 01061 05/09 AP 11/17/08 0080642 KRIBBS CONSTRUCTION, BRUC 11000.00 194 ELECT SVC GM 01192 06/09 AP 12/01/08 0080825 KRIBBS CONSTRUCTION, BRUC 11000.00 195 ELECTRIC SVC GM 01283 06/09 AP 12/14/08 0081048 KRIBBS CONSTRUCTION, BRUC 11000.00 37.26 1,703.96 .00 .00 .00 PREPAREL ua.'12/2010, 9:26:27 GENERAL LEDGEk AL IVITY LISTING rAVt 751 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3005-451.32-07 Contract Services / Consultants 196 ELECTRIC SVC GM 01526 07/09 AP•01/05/09 0081380 KRIBBS CONSTRUCTION, BRUC 11000.00 197 ELECTRIC SVC GM 01576 07/09 AP 01/20/09 0081380 KRIBBS CONSTRUCTION, BRUC 11000.00 19 ELECTRIC SVC GM 01713 08/09 AP 02/02/09 0081590 KRIBBS CONSTRUCTION, BRUC 11000.00 199 ELECTRIC SVC GM 01713 08/09 AP 02/02/09 0081590 KRIBBS CONSTRUCTION, BRUC 175.00 2056 ELECTRIC SVC GM 01873 09/09 AP 02/16/09 0081987 KRIBBS CONSTRUCTION, BRUC 11000.00 200 ELECTRIC SVC GM•01918 09/09 AP 03/02/09 0081987 KRIBBS CONSTRUCTION, BRUC 11000.00 201 ELECTRIC SVC GM 01984 09/09 AP 03/13/09 0082239 KRIBBS CONSTRUCTION, BRUC 11000.00 202 ELECTRIC SVC GM 02227 10/09 AP 04/06/09 0082451 KRIBBS CONSTRUCTION, BRUC 11000.00 203 ELECTRIC SVC GM 02406 11/09 AP 04/20/09 0082836 KRIBBS CONSTRUCTION, BRUC 11000.00 204 ELECTRIC SVC GM 02452 11/09 AP 05/04/09 0082836 KRIBBS CONSTRUCTION, BRUC 11000.00 205 ELECTRIC SVC GM 02527 11/09 AP 05/18/09 0083041 KRIBBS CONSTRUCTION, BRUC 11000.00 206 ELECTRIC SVC GM 02679 12/09 AP 06/01/09 0083210 KRIBBS CONSTRUCTION, BRUC 11000.00 207 ELECTRIC SVC GM 02746 12/09 AP 06/15/09 0083447 KRIBBS CONSTRUCTION, BRUC 11000.00 208 ELECTRIC SVC ACCOUNT TOTAL 24,861.00 24,861.00 101-3005-451.32-30 Contract Services / Civ Ctr Lake Maintenance .00 GM 00232 02/09 AP 07/31/08 0079265 OMEGA LAKE SERVICES 466.25 08-124 CAMPUS LAKE MAINTENANCE GM 00442 03/09 AP 08/30/08 0079628 OMEGA LAKE SERVICES 437.00 09-139 CAMPUS LAKE MAINT GM 00767 04/09 AP 09/30%08 0080101 OMEGA LAKE SERVICES 270.00 10-158 CAMPUS LAKE MAINT GM 00972 05/09 AP 10/31/08 0080466 OMEGA LAKE SERVICES 329.00 11-172 CAMPUS LAKE MAINT GM 01038 05/09 AP 10/31/08 0080715 TUTHILL CORPORATION 543.76 91722678 SVC CALL -CAMPUS GM 01261 •06/09 AP 12/05/08 0081072 OMEGA LAKE SERVICES 265.00 12-188 CAMPUS LAKE MAINT GM 01451 07/09 AP 01/03/09 0081220 OMEGA LAKE SERVICES 299.50 01-12 CAMPUS LAKE MAINT GM 01768 08/09 AP 01/31/09 0081826 OMEGA LAKE SERVICES 294.50 02-127 CAMPUS LAKE MAINT GM 01904 .09/09 AP 02/24/09 0081960 EAGLE AERIAL IMAGING 320.00 PREPARED uz/12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 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 101-3005-451.32-30 Contract Services / Civ Ctr Lake Maintenance 20092-208 CAMPUS LAKE REPAIRS GM 01973 09/09 AP 02/24/09 0082084 EAGLE PUMP SERVICES, INC. 320.00 20092-208 CAMPUS LAKE REPAIR GM 01918 09/09 AP 02/28/09 0082016 OMEGA LAKE SERVICES 284.00 03-142 LAKE MAINT/CAMPUS GM 01971 09/09 AP 03/11/09 0081960 EAGLE AERIAL IMAGING 320.00 20092-208 CAMPUS LAKE REPAIRS GM 02224 10/09 AP 04/06/09 0082471 OMEGA LAKE SERVICES 282.50 04-158 CAMPUS LAKE MAINT GM 02356 11/09 AP 04/30/09 0082860 OMEGA LAKE SERVICES 320.50 05-173 CAMPUS LAKE MAINT GM 02356 11/09 AP 05/01/09 0082860 OMEGA LAKE SERVICES 1,606.49 05-177 CAMPUS LAKE REPAIR GM 02638 12/09 AP 05/18/09 0083189 EAGLE PUMP SERVICES, INC. 615.00. 20095-739 CAMPUS LAKE REPAIR GM 02679 12/09 AP 05/30/09 0083223 OMEGA LAKE SERVICES 475.25 06-190 MAY CAMPUS LAKE GM 02679 12/09 AP 05/31/09 0083223 OMEGA LAKE SERVICES 145.00 05-179 REPAIRS -CAMPUS LAKE GM 02893 12/09 AP 06/30/09 0083672 OMEGA LAKE SERVICES 415.50 07-204 JUN109 CAMPUS LAKE SVC ACCOUNT TOTAL 7,689.25 320.00 7,369.25 101-3005-451.34-04 Contract Services / Technical .00 GM 00269 02/09 AP 07/31/08 0079498 VINTAGE ASSOCIATES 6,395.00 SI -64948 LANDSCAPING GM 00213 02/09 AP 08/01/08 0079302 VINTAGE ASSOCIATES 34,507.16 SI -64457 LANDSCAPE SERVICE GM 00369 03/09 AP 08/15/08 0079662 VINTAGE ASSOCIATES 34,507.16 SI -65201 LANDSCAPE SVC GM 00599 04/09 AP 09/15/08 0080139 VINTAGE ASSOCIATES 34,507.16 SI -65569 PARK MAINT. GM 00885 04/09 AP 10/15/08 0080324 VINTAGE ASSOCIATES 34,507.16 SI -66180 MO PARK MAINT GM 01038 05/09 AP 10/31/08 0080719 VINTAGE ASSOCIATES 1,791.00 SI -67318 EISEN-GRN PRJT GM 01067 05/09 AP 10/31/08 0080719 VINTAGE ASSOCIATES 34,507.16 SI -67655 PARKS MONTHLY GM 01347 06/09 AP 12/15/08 0081127 VINTAGE ASSOCIATES 34,507.16 S1-68968 MONTHLY PARKS GM 01347 06/09 AP'12/16/08 0081127 VINTAGE ASSOCIATES 1,275.00 SI -69100 SAGUARD "GREEN PRJ" GM 01526 07/09 AP 12/31/08 0081458 VINTAGE ASSOCIATES 1,860.00 SI -69561 ADAMS "GREEN PRJ" GM 01575 07/09 AP 01/15/09 0081458 VINTAGE ASSOCIATES 34,507.16 SI -69615 MONTHLY PK MAINT GM 01873 09/09 AP 02/15/09 0082061 VINTAGE ASSOCIATES 34,507.16 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 101-3005-451.34-04 Contract Services / Technical SI -70614 PARK MAINT GM 02081 09/09 AP 03/15/09 0082329 VINTAGE ASSOCIATES 34,507.16 SI -71351 PARK LNDSCP SVC GM 02810 12/09 AP 04/15/09 0083343 VINTAGE ASSOCIATES 34,507.16 SI -72793 APR'09 PARK NAINT GM 02810 12/09 AP 05/15/09 0083343 VINTAGE ASSOCIATES 34,507.16 SI -73646 MAY109 PARK MAINT GM 02875 12/09 AP 06/15/09 0083697 VINTAGE ASSOCIATES 34,507.16 SI -74393 JUN109 PARKS MAINT GM 02889 12/09 AP 06/30/09 0083653 KRIBBS CONSTRUCTION, BRUC 10000.00 209 ELECTRIC SVC 6/16-30/09 ACCOUNT TOTAL 426,406.92 426,406.92 •101-3005-451.40-01 Utilities -Parks / Water -Monticello Park .00 GM 00122 01/09 AP 07/06/08 0078940 COACHELLA VALLEY WATER DI 1,826.36 VARIOUS WATER SVC GM 00325 02/09 AP 08/06/08 00.79337 COACHELLA VALLEY WATER DI 1,514.54 VARIOUS WATER SVC GM 00532 03/09 AP 09/06/08 0079697 COACHELLA VALLEY WATER DI 1,535.22 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 1,388.58 VARIOUS WATER SVC GM 01070 05/09 AP 11/20/08 0080561 •COACHELLA VALLEY WATER DI 2,458.30 VARIOUS WATER SVC -PARK GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 830.22 VARIOUS WATER SVC GM 01532 07/09 AP 01/20/09 0081292 COACHELLA.VALLEY WATER DI 522.84 VARIOUS WATER SVC GM 01793 08/09 AP 02/18/09 0081706 COACHELLA VALLEY WATER DI 596.16 VARIOUS WATER SVC GM 01985 09/09 AP 03/17/09 0082105. COACHELLA VALLEY WATER DI 331.08 VARIOUS WATER SVC GM 02264 10/09 AP 04/13/09 0082517 COACHELLA VALLEY WATER DI 1,037.96 VARIOUS WATER SVC GM 02551 11/09 AP 05/14/09 0082951 COACHELLA VALLEY WATER DI 1,370.72 VARIOUS WATER SVC GM 02739 12/09 AP 06/08/09 0083285 COACHELLA VALLEY WATER DI 27.46 050720128601 WATER SVC GM 02905 12/09 AP 07/15/09 0083771 COACHELLA VALLEY WATER DI 26.52 050720128601 WATER SVC ACCOUNT TOTAL 13,465.96 13,465.96 101-3005-451.40-02 Utilities -Parks / Water -Civic Center Park .00 GM 00122 01/09 AP 07/10/08 0078940 COACHELLA VALLEY WATER DI 2,399.96 VARIOUS WATER SVC PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk NVIIVITY LISTING rwwe 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 101-3005-451.40-02 Utilities -Parks / Water -Civic Center Park GM 00325 02/09 AP 08/15/08 0079337 COACHELLA VALLEY WATER DI 2,447.18 VARIOUS WATER SVC GM 00532 03/09 AP 09/09/08 0079697 COACHELLA VALLEY WATER DI 2,461.28 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 2,540.24 VARIOUS WATER SVC GM 01050 05/09 AP 11/18/08 0080547 COACHELLA VALLEY WATER DI 11593.66 VARIOUS WATER SVC GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 1,597.42 VARIOUS WATER SVC GM 01592 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI 923.44 VARIOUS WATER -SVC GM 01793 08/09 AP 02/18/09 0081706 COACHELLA VALLEY WATER DI 1,475.22 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 920.62 VARIOUS WATER SVC GM 02264 10/09 AP 04/,10/09 0082517 COACHELLA VALLEY WATER DI 1,276.88 VARIOUS WATER SVC GM 02467 11/09 AP 05/13/09 0082926 COACHELLA VALLEY WATER DI 1,870.02 VARIOUS WATER SVC ACCOUNT TOTAL 19,505.92 19,505.92 101-3005-451.40-03 Utilities -Parks / Water -Eisenhower Park .00 GM 00081 01/09 AP 07/02/08 0078924 COACHELLA VALLEY WATER DI 111.48 VARIOUS WATER SVC GM 00263 02/09 AP 08/01/08 0079315 COACHELLA VALLEY WATER DI 125.22 VARIOUS WATER SVC GM 00532 03/09 AP 09/04/08 0079697 COACHELLA'VALLEY WATER DI 104.54 VARIOUS WATER SVC GM 00720 04/09 AP 10/08/08 0079976 COACHELLA.VALLEY WATER DI 97.02 VARIOUS WATER GM 01050 05/09 AP 11/14/08 0080547 COACHELLA VALLEY WATER DI 153.42 60612457300 WATER SVC GM 01263 .06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 74.46 VARIOUS WATER SVC GM 01793 08/09 AP 02/13/09 0081706 COACHELLA VALLEY WATER DI 63:18 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 53.78 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 26.52 VARIOUS WATER SVC GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 57.54 VARIOUS WATER SVC GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 89.50 VARIOUS WATER SVC GM 02905 12/09 AP 07/14/09 0083771 COACHELLA VALLEY WATER DI 188.71 VARIOUS WATER SVC PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAWE 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 ----------------------.-------------------------------------------- ------------------------------- 101-3005-451.40-03 Utilities -Parks / Water -Eisenhower Park 1,145.37 .00 .ACCOUNT TOTAL 1,145.37 101-3005-451.40-04 Utilities -Parks / Water -Fritz Burns Park GM 00188 01/09 AP 07/01/08 0079157 TELEPACIFIC COMMUNICATION 38.41 8203372-0 PHONE SVC -FB IRRIGATION GM 00122 01/09 AP 07/10/08 0078940 COACHELLA VALLEY WATER DI 115.74 VARIOUS WATER SVC GM 00325 02/09 AP 07/23/08.0079349 TELEPACIFIC COMMUNICATION 38.42 8724741-0 PHONE SVC -FB IRRIGATION GM 00325 02/09 AP 08/01/08 0079337 COACHELLA VALLEY WATER DI 209.42 VARIOUS WATER SVC GM 00325 02/09 AP 08/15/08 0079337 COACHELLA VALLEY WATER DI 116.76 VARIOUS WATER SVC GM 00532 03/09 AP 09/06/08 0079697 COACHELLA VALLEY WATER DI 258.86 VARIOUS WATER SVC GM 00532 03/09 AP 09/09/08 0079697 COACHELLA VALLEY WATER DI 143.08 VARIOUS WATER SVC GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 38.42 9456510-0 FRITZ FURNS IRRIG GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 38.42 8886344-0 PHONE SVC -FB IRRIG GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 112.06 VARIOUS WATER SVC GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 38.42 10075744-0 FRITZ BURNS IRRIG GM 01050 05/09 AP 11/18/08 0080547 COACHELLA VALLEY WATER DI 91.38 VARIOUS WATER SVC GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 38.42 28626 FB IRRIG GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 158.12 VARIOUS WATER SVC GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 42.64 11076529-0 FB IRRIG GM 01532 07/09 AP 01/20/09 0081292 COACHELLA VALLEY WATER DI 73.23 VARIOUS WATER SVC GM 01592 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI 439.18 VARIOUS WATER SVC GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 42.49 11379124-0 FB IRRIGATION GM 01793 08/09 AP 02/18/09,0081706 COACHELLA VALLEY WATER DI 406.28 VARIOUS WATER SVC GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 42.49 11807255-0 FB IRRIG GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 140.26 VARIOUS WATER SVC GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 42.49 12350308-0 FB IRRIGATION 1,145.37 .00 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk ­;IVITY LISTING 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 101-3005-451.40-04 Utilities -Parks / Water -Fritz Burns Park GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 135.56 VARIOUS WATER SVC GM 02264 10/09 AP 04/13/09 0082517 COACHELLA VALLEY WATER DI 92.00 060706327502 WATER SVC GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 42.63 12778129-0. FB IRRIGATION GM 02467 11/09 AP 05/07/09 0082926 COACHELLA VALLEY WATER DI• 260.92 060706327502 FB PARK POOL GM 02467 11/09 AP 05/13/09 0082926 COACHELLA VALLEY WATER DI 90.44 VARIOUS WATER SVC GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 42.63 13361992-0 FB IRRIGATION GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 91.38 VARIOUS WATER SVC GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 137.32 060706327502 WATER SVC GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 42.09 13946747-0 FB IRRIGATION GM 02905 12/09 AP 07/16/09 0083771 COACHELLA VALLEY WATER DI 125.22 VARIOUS WATER SVC ACCOUNT TOTAL 3,725.18 3,725.18 101-3005-451.40-05 Utilities -Parks / Water -Velasco Park .00 GM 00081 01/09 AP 07/02/08 0078924 COACHELLA VALLEY WATER DI 67.20 VARIOUS WATER SVC GM 00263 02/09 AP 08/01/08 0079315 COACHELLA VALLEY WATER DI 60.36 VARIOUS WATER SVC GM 00532 03/09 AP 09/04/08 0079697 COACHELLA VALLEY WATER DI 66.94 VARIOUS WATER SVC GM 00720 04/09 AP 10/08/08 0079976 COACHELLA VALLEY WATER DI 47.20 VARIOUS WATER GM 01050 05/09 AP 11/14/08 0080547 COACHELLA VALLEY WATER DI 91.38 60613142200 WATER SVC GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 49.08 VARIOUS WATER SVC GM 01793 08/09 AP 02/13/09 0081706 COACHELLA VALLEY WATER DI 34.04 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 32.16 VARIOUS WATER SVC GM 01985 09/09. AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 23.7n VARIOUS WATER SVC GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 39.68 VARIOUS WATER SVC GM 02467 11/09 AP 05/08/09 0082926 COACHELLA VALLEY WATER DI 118.84 VARIOUS WATER SVC GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 57.54 VARIOUS WATER SVC PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk mul IVITY LISTING FAUt 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 --'---------------------------------------------------------------------------------------------------------------------------------- 101-3005-451.40-05 Utilities -Parks / Water -Velasco Park GM 02905 12/09 AP 07/14/09 0083771 COACHELLA VALLEY WATER DI VARIOUS WATER SVC ACCOUNT TOTAL 101-.3005-451.40-06 Utilities -Parks / Water -Desert Pride GM 00263 02/09 AP 08/04/08 0079315 COACHELLA VALLEY WATER DI 104 WATER a CENTRE POINT GM VARIOUS 03/09 WATER SVC 08/25/08 0079668 COACHELLA VALLEY WATER GM 00436 03/09 AP 09/03/08 0079546 COACHELLA VALLEY WATER DI 03/09 AP 08/25/08 0079668 VARIOUS WATER WATER SVC GM 00790 04/09 AP 09/30/08 0080156 COACHELLA VALLEY WATER DI COACHELLA VALLEY WATER DI VARIOUS WATER 050719434401 CNTRE POINT PARK GM 01033 05/09 AP 10/25/08 0080524 COACHELLA VALLEY WATER DI 050719434401 50719420402 WATER SVC GM 01263 GM 01244 06/09 AP 12/09/08 0080888 COACHELLA VALLEY WATER DI 050719434401 WATER SVC VARIOUS 01443 WATER SVC AP 12/25/08 0081139 COACHELLA VALLEY GM 01592 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 01755 08/09 AP 02/10/09 0081667 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 01905 09/09 AP 03/04/09 0081901 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 02434 11/09 AP 05/06/09 0082743 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 02650 12/09 AP 06/03/09 0083129 COACHELLA VALLEY WATER DI VARIOUS WATER SVC GM 02886 12/09' AP 06/30/09 0083600 COACHELLA VALLEY WATER DI VARIOUS WATER SVC ACCOUNT TOTAL 101-3005-451.40-07 Utilities -Parks. / Pioneer Park GM 00322 02/09 AP 08/05/08 0079390 CP DEVELOPMENT LA QUINTA, 104 WATER a CENTRE POINT GM 00495 03/09 AP 08/25/08 0079668 COACHELLA VALLEY WATER DI 050719434400 WATER SVC GM'.00495 03/09 AP 08/25/08 0079668 COACHELLA VALLEY WATER DI 050719434401 WATER SVC GM 00720 04/09 AP 09/25/08 0079976 COACHELLA VALLEY WATER DI 050719434401 CNTRE POINT PARK GM 00976 05/09 AP 10/25/08 0080360 COACHELLA VALLEY WATER DI 050719434401 PIONEER PARK GM 01263 06/09 AP 12/15/08 0080917. COACHELLA VALLEY WATER DI 050719434401 WATER SVC GM 01443 07/09 AP 12/25/08 0081139 COACHELLA VALLEY WATER DI 59.42 747.54 385.94 454.02 367.54 327.12 451.20 136.30 166.38 97.76 216.20 190.82- 332.76 90.82-332.76 301.74 3,427.78 4,611.36 966.79 11.75 985.12 342.16 1,345.14 395.74 747.54 00 3,427.78 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk•AUTIVITY LISTING PAGE 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 -------------------------------------------------- ------------------------------------------ -- --------- ----------- 101-3005-451.40-07 Utilities -Parks / Pioneer Park Water -Community Park GM 00122 050719434401 WATER SVC 07/06/08 0078940 COACHELLA GM 01755 08/09 AP 01/25/09 0081667 COACHELLA VALLEY WATER DI 358.14 WATER SVC 050719434401 PIONEER PARK GM 00122 01/09 GM 01973 09/09 AP 02/27/09 0082080 COACHELLA VALLEY WATER DI 174.84 VARIOUS 050719434401 WATER -PIONEER PK GM 02264 10/09 AP 03/27/09 0082517 COACHELLA VALLEY WATER DI 303.62 WATER DI 2,668.98 050719434401 PIONEER PARK VARIOUS GM 02467 11/09 AP 04/28/09 0082926 COACHELLA VALLEY WATER DI 413.60 08/15/08 0079337 COACHELLA VALLEY 050719434401 SEELEY PK/PIONEER PK' 3,384.36 GM 02650 12/09 AP 05/28/09 0083129 COACHELLA VALLEY WATER DI 976.66 GM 00532 03/09 050719434401 WATER -PIONEER PK 0079697 COACHELLA VALLEY GM 02886 12/09. AP 06/30/09 0083600 COACHELLA VALLEY WATER DI 811.22 WATER SVC 050719434401 WATER SVC 00532 03/09 AP GM 02932 12/09 AP 07/28/09 0083928 COACHELLA VALLEY WATER DI 11099.80 VARIOUS 050719434401 WATER SVC GM 00845 04/09 AP ACCOUNT TOTAL 0080189 COACHELLA VALLEY 12,795.94 101-3005-451.40-10 Utilities -Parks / Water-Rec Trailer ACCOUNT TOTAL 101-3005-451.40-12 Utilities -Parks / Water -Community Park GM 00122 01/09 AP 07/06/08 0078940 COACHELLA VALLEY WATER DI 2,754.44 VARIOUS WATER SVC GM 00122 01/09 AP 07/10/08 0078940 COACHELLA VALLEY WATER DI 3,282.28 VARIOUS WATER SVC GM 00325 02/09 AP 08/06/08 0079337 COACHELLA VALLEY WATER DI 2,668.98 VARIOUS WATER SVC GM 00325 02/09 AP 08/15/08 0079337 COACHELLA VALLEY WATER DI 3,384.36 VARIOUS WATER SVC GM 00532 03/09 AP 09/06/08 0079697 COACHELLA VALLEY WATER DI 3,031.82 VARIOUS WATER SVC GM 00532 03/09 AP 09/09/08 0079697 COACHELLA VALLEY WATER DI 3,854.36 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 3,161.58 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 2,137.88 VARIOUS WATER SVC GM 01050 05/09 AP 11/18/08 0080547 COACHELLA VALLEY WATER DI 1,162.20 VARIOUS WATER SVC GM 01070 05/09 AP 11/20/08 0080561 COACHELLA VALLEY WATER DI 2,748.88 VARIOUS WATER SVC -PARK GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 3,268.70 VARIOUS WATER SVC GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 187.42 VARIOUS WATER SVC 12,795.94 .00 .00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 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 101-3005-451.40-12 Utilities -Parks / Water -Community Park GM 01532 07/09 AP 01/20/09 0081292 COACHELLA VALLEY WATER DI 2,435.86 VARIOUS WATER SVC GM 01592 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI 161.10 VARIOUS WATER SVC GM 01793 08/09 AP 02/18/09 0081706 COACHELLA VALLEY WATER DI 155.46 VARIOUS WATER SVC GM 01793 08/09 AP 02/18/09 008.1706 COACHELLA VALLEY WATER DI 859.48 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 377.30 VARIOUS WATER SVC GM 01985 09/09 AP 03/17/09 0082105 COACHELLA VALLEY WATER DI 322.74 VARIOUS WATER SVC ' GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 1,014.62 VARIOUS WATER SVC GM .02264 10/09 AP 04/13/09 0082517 COACHELLA VALLEY WATER DI 773.94 VARIOUS WATER SVC GM 02467 11/09 AP 05/13/09 0082926 COACHELLA VALLEY WATER DI 2,334.38 VARIOUS WATER SVC GM 02551 11/09 AP 05/14/09 0082951 COACHELLA VALLEY WATER DI 1,617.12 VARIOUS WATER SVC GM 02739 12/09 AP 06/15/09 0083285 COACHELLA VALLEY WATER DI 130.74 VARIOUS WATER SVC GM 02905 12/09 AP 07/15/09 0083771 COACHELLA VALLEY WATER DI 129.80 VARIOUS WATER SVC ACCOUNT TOTAL 41,955.44 41,955.44 101-3005-451.40-14 Utilities -Parks / Water -Adams Park .00 GM 00122 01/09 AP 07/10/08 0078940 COACHELLA VALLEY WATER DI 2,431.02 VARIOUS WATER SVC GM 00325 02/09 AP 08/15/08 0079337 COACHELLA VALLEY WATER DI 2,073.64 VARIOUS WATER SVC GM 00532 03/09 AP 09/09/08 0079697 COACHELLA VALLEY WATER DI 1,848.04 VARIOUS WATER SVC GM 00845 04/09 AP 10/21/08 0080189 COACHELLA VALLEY WATER DI 1,448.54 VARIOUS WATER SVC GM 01050 05/09 AP 11/18/08 0080547 COACHELLA VALLEY WATER DI 2,510.74 VARIOUS WATER SVC GM 01263 06/09 AP 12/16/08 0080917 COACHELLA VALLEY WATER DI 995.46 VARIOUS WATER SVC GM DIS92 07/09 AP 01/22/09 0081467 COACHELLA VALLEY WATER DI 695.60 VARIOUS WATER SVC GM 01793 08/09 AP 02/18/09 0081706 COACHELLA VALLEY WATER DI 920.26 VARIOUS WATER SVC GM 01985 09/09 AP 03/16/09 0082105 COACHELLA VALLEY WATER DI 282.94 VARIOUS WATER SVC GM 02264 10/09 AP 04/10/09 0082517 COACHELLA VALLEY WATER DI 1,237.04 VARIOUS WATER SVC PREPAREL uo/12/2C10, 9:26:27 GENERAL LEDGER NtTIVITY LISTING FADE 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.0 N DEBITS CREDITS BALANCE 101-3005-451.40-14 Utilities -Parks / Water -Adams Park GM 02467 11/09 AP 05/13/09 0082926 COACHELLA VALLEY WATER DI 1,057.50 VARIOUS WATER SVC GM 02739 12/09 AP 06/12/09 0083285 COACHELLA VALLEY WATER DI 2,017.24 VARIOUS WATER SVC GM 02905 12/09 AP 07/16/09 0083771 COACHELLA VALLEY WATER DI 1,929.82 VARIOUS WATER SVC ACCOUNT TOTAL 19,447.84 19,447.84 101-3005-451.40-16 Utilities -Parks / Phone -Sports Complex .00 GM 00263 02/09 AP 07/28/08 0079330 VERIZON CALIFORNIA 32.87 771-3100 PHONE SVC -SP CMPLX GM 00532 03/09 AP 08/28/08 0079719 VERIZON CALIFORNIA 32.87 771-3100 PHONE SVC GM 00720 04/09 AP 09/28/08 0080000 VERIZON CALIFORNIA 32.87 771-3100 SPORTS COMPLEX GM 01033 05/09 AP 10/28/08 0080544 VERIZON CALIFORNIA 32.87 771-3100 SPORTS COMPLEX GM 01263 06/09 AP 11/28/08 0080942 V,ERIZON CALIFORNIA 32.50 771-3100 SPORTS COMPLEX GM 01532 07/09 AP 12/28/08 0081311 VERIZON CALIFORNIA 32.50 771-3100 SPORTS COMPLEX GM 01755 08/09 AP 01/28/09 0081699 VERIZON CALIFORNIA 32.84 771-3100 SPORTS COMPLEX GM 01985 09/09 AP 02/28/09 0082122 VERIZON CALIFORNIA 34.39 771-3100 SPORTS CMPLX LIGHTING GM 02176 10/09 AP 03/28/09 0082395 VERIZON CALIFORNIA 33.92 771-3100 SPORTS COMPLEX GM 02467 11/09 AP 04/28/09 0082948 VERIZON CALIFORNIA 34.03 771-3100 SPORTS COMPLEX GM 02739 12/09 AP'05/28/09 0083302 VERIZON CALIFORNIA 34.03 771-3100 SPORTS COMPLEX ACCOUNT TOTAL 365.69 365.69 101-3005-451.40-17 Utilities -Parks / Phone-SilverRock Trailer .00 ACCOUNT TOTAL .00 101-3005-451.40-18 Utilities -Parks / Museum .00 ACCOUNT TOTAL .00 101-3005-451.40-51 Utilities -Parks / Electric -Monticello Park .00 GM 00720 04/09 AP 09/24/08 0079983 IMPERIAL IRRIGATION DIST 31.17 PREPAREL u,,/12/2010, 9:26:27 GENERAL LEDGER w6TIVITY LISTING PAGE 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 101-3005-451.40-51 Utilities -Parks / Electric -Monticello Park 124696130 ELECTRIC SVC GM 01033 05/09 AP 10/26/08 0080532 IMPERIAL IRRIGATION DIST 6.69 104755037 ELECTRIC SVC GM 01153 06/09 AP 11/24/08 0080747 IMPERIAL IRRIGATION DIST 6.17 50435874 ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 6.69 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 02/04/09.0081495 IMPERIAL IRRIGATION DIST 6.17 50435874 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 6.17 50435874 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 6.69 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/26/09 0082749 IMPERIAL IRRIGATION DIST 6.17 50435874 ELECTRIC SVC GM 02694 12/09 AP 05/26/09 0083275 IMPERIAL IRRIGATION DIST 6.17 50435874 ELECTRIC SVC GM 02886 12/09 AP 06/28/09 0083606 IMPERIAL IRRIGATION DIST 6.69 50435874 MONTICELLO PK 5/23-6/23 ACCOUNT TOTAL 88.78 88.78 101-3005-451.40-52 Utilities -Parks / Electricity-Cvc Ctr Park .00 GM 00325 02/09 AP 07/21/08 0079341 IMPERIAL IRRIGATION DIST 3;452.13 •VARIOUS ELECTRIC SVC GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST 3,626.89 VARIOUS ELECTRIC SVC GM 00636 04/09 AP 10/01/08 0079950. IMPERIAL IRRIGATION DIST 3,367.42 50018275 ELECTRIC SVC GM 00924 04/09 AP 10/21/08 0080338 IMPERIAL IRRIGATION DIST 3.,456.11 94706273 ELECTRIC SVC GM 01153 06/09 AP 11/25/08 0080747 IMPERIAL IRRIGATION DIST 3,748.69 50210171 ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 3,186.05 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 01/28/09 0081495 IMPERIAL IRRIGATION DIST 4,013.45 50210171 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 3,354.18 50210171 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 3,519.65 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/22/09 0082749 IMPERIAL IRRIGATION DIST 3,452.13 50210171 ELECTRIC SVC GM 02650 12/09 AP 05/20/09 0083135 IMPERIAL IRRIGATION DIST 3,825.46 50210171 ELECTRIC SVC GM 02886 12/09 AP 06/21/09 0083606 IMPERIAL IRRIGATION DIST .3,409.77 50210171 ELECTRIC SVC ACCOUNT TOTAL 42,411.93 42,411.93 PREPARE:, wJ/12/2010, 9:26:27 GENERAL LEDGER at.TIVITY LISTING rAUE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3005-451.40-53 Utilities -Parks / Pioneer Park ACCOUNT TOTAL 101-3005-451.40-54 Utilities -Parks / Electric -Fritz Burns Park GM GM 00188 01/09 AP 07/21/08 0079149 IMPERIAL IRRIGATION DIST VARIOUS VARIOUS ELECTRIC ELECTRIC SVC GM GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST VARIOUS VARIOUS ELECTRIC ELECTRIC SVC GM GM 00590 03/09 AP 09/17/08 0079730 IMPERIAL IRRIGATION DIST VARIOUS VARIOUS . ELECTRIC ELECTRIC SVC GM GM 00924 04/09 AP 10/21/08 0080338 IMPERIAL IRRIGATION DIST 144593781 VARIOUS ELECTRIC ELECTRIC SVC GM GM 01153 06/09 AP 11/25/08 0080747 IMPERIAL IRRIGATION DIST 50076355 112508 ELECTRIC ELECTRIC SVC GM GM 01350 06/09 AP 12/29/08 0080967 IMPERIAL IRRIGATION DIST VARIOUS VARIOUS ELECTRIC ELECTRIC SVC GM GM 01685 08/09 AP 01/28/09 0081495 IMPERIAL IRRIGATION DIST 50076355 VARIOUS ELECTRIC ELECTRIC SVC GM GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/30/09 0082749 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 02650 12/09 AP 05/20/09 0083135 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 02810 12/09 AP 06/24/09 0083325 IMPERIAL 'IRRIGATION DIST VARIOUS ELECTRIC SVC ACCOUNT TOTAL 101-3005-451.40-56 Utilities -Parks / Electricity -Sports Complx GM 00188 01/09 AP 07/21/08 0079149 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00590 03/09 AP 09/17/08 0079730 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00924 04/09 AP 10/20/08 0080338 IMPERIAL IRRIGATION DIST 144593781 ELECTRIC SVC GM 01153 06/09 AP 11/25/08 0080747 IMPERIAL IRRIGATION DIST 50076355 ELECTRIC SVC GM 01350 06/09 AP 12/29/08 0080967 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 01685 08/09 AP 01/28/09 0081495 IMPERIAL IRRIGATION DIST 50076355 ELECTRIC SVC GM 01905 09/09 AP 02/19/09 0081906 IMPERIAL IRRIGATION DIST 1,943.44 1,923.40 1,912.56 1,780.83 829.01 1,582.78 1,683.91 1,866.56 1,208.80 1,205.65 1,603.63 1,470..73 19,011.30 2,563.48 1,685.93 1,972.79 3,155.46 3,729.18 3,977.73 2,267.86 3,939.95 .00 .00 .00 19,011.30 .00 PREPAREL wJ/12/2010, 9:26:27 GENERAL LEDGER muTIVITY LISTING rAUE 763 PROGRAM GM362LA 00188 01/09 AP 07/21/08 CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ IMPERIAL IRRIGATION DIST IMPERIAL FUND 101 General Fund 114674644 VARIOUS BEGINNING GROUP ACCTG ----TRANSACTION---- SVC IMPERIAL GM /ENDING APP NUMBER PER. CD DATE NUMBER ------------------------------------------------------------------------------------------------------------------------------------ D E S C R I P T I O N 08/28/08 DEBITS CREDITS BALANCE 101-3005-451.40-56 Utilities -Parks / Electricity -Sports COmp1X 50076355 ELECTRIC SVC ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 3,666.96 AP VARIOUS ELECTRIC SVC IMPERIAL IRRIGATION DIST GM 02434 11/09 AP 04/19/09 0082749 IMPERIAL IRRIGATION DIST 2,672.98 VARIOUS 50076355 ELECTRIC SVC SVC GM GM 02650 12/09 AP 05/18/09 0083135 IMPERIAL IRRIGATION DIST 2,637.75 0080338 50076355 ELECTRIC SVC DIST GM 02810 12/09 AP 06/17/09 0083325 IMPERIAL IRRIGATION DIST 2,876.81 ELECTRIC 50076355 SPORTS COMPLEX GM 01153 06/09 ACCOUNT TOTAL i 101-3005-451.40-60 Utilities -Parks / Electric-Rec Trailers GM 00325 02/09 AP GM 00188 01/09 AP 07/21/08 0079149 IMPERIAL IRRIGATION DIST IMPERIAL IRRIGATION DIST 114674644 VARIOUS SVC ELECTRIC SVC IMPERIAL GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00590 03/09 AP 09/17/08 0079730 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00924 04/09 AP 10/20/08 0080338 IMPERIAL IRRIGATION DIST 94704991 ELECTRIC SVC GM 01153 06/09 AP 11/25/08 0080747 .IMPERIAL IRRIGATION DIST 50014549 ELECTRIC SVC GM 01350 06/09 AP 12/29/08 0080967 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 01685 08/09 AP 01/28/09 0081495 IMPERIAL IRRIGATION DIST 50014549 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION'DIST 50014549 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/20/09 0082749 IMPERIAL IRRIGATION DIST 50014549 ELECTRIC SVC GM 02650 12/09 AP 05/19/09 0083135 IMPERIAL IRRIGATION DIST 50014549 ELECTRIC SVC GM 02810 12/09 AP 06/18/09 0083325 IMPERIAL IRRIGATION DIST 50014549• ELECTRIC SVC ACCOUNT TOTAL 101-3005-451.40-61 Utilities -Parks / Electric -Community Park GM 00325 02/09 AP 07/27/08 0079341 IMPERIAL IRRIGATION DIST VARIOUS ELECTRIC SVC GM 00363 02/09 AP -07/27/08 0079515 IMPERIAL IRRIGATION DIST 114674644 ELECTRIC SVC GM 00495 03/09 AP 08/24/08 0079673 IMPERIAL IRRIGATION DIST • VARIOUS ELECTRIC SVC 35,146.88 37.15 48.58 37.15 32.06 38.41 40.95 48.58 34.60 37.15 32.06 24.45 18.08 429.22 1,609.83 645.03 1,949.40 35,146.88 .00 429.22 .00 PREPAREL u3/12/2010, 9:26:27 GENERAL LEDGEK ACTIVITY LISTING PAGE 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 101-3005-451.40-61 Utilities -Parks / Electric -Community Park GM 00636 04/09 AP 10/01/08 0079950 IMPERIAL IRRIGATION DIST 3,145.47 VARIOUS ELECTRIC SVC GM 00924 04/09• AP 10/22/08 0080338 IMPERIAL IRRIGATION DIST 474.92 84776436 ELECTRIC SVC GM 01033 05/09 AP 10/26/08 0080532 IMPERIAL IRRIGATION DIST 4,710.93 50135310 ELECTRIC SVC GM 01153 06/09 AP 11/24/08 0080747 IMPERIAL IRRIGATION DIST 6,105.04 VARIOUS ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 5,444.49 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 02/04/09 0081495 IMPERIAL IRRIGATION DIST 4,483.20 VARIOUS ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 3,827.21 VARIOUS ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 3,480.71 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/30/09 0082749 IMPERIAL IRRIGATION DIST 2,998.79 VARIOUS ELECTRIC SVC GM 02694 12/09 .AP 06/05/09 0083275 IMPERIAL IRRIGATION DIST 2,993.57 VARIOUS ELECTRIC SVC GM 02886 12/09 AP 06/24/09 0083606 IMPERIAL IRRIGATION DIST 858.69 50306529 ELECTRIC SVC GM 02886 12/09 AP 06/28/09 0083606 IMPERIAL IRRIGATION DIST 2,511.65 50229968 LQ PARK 5/23-6/23 ACCOUNT TOTAL 45,238.93 45,238.93 101-3005-451.40-62 Utilities -Parks / Electricty-Adams Park .00 GM 00325 02/09 AP 07/27/08 0079341 IMPERIAL IRRIGATION DIST 95.71 VARIOUS ELECTRIC SVC GM 00495 03/09 AP 08/24/.08 0079673 IMPERIAL IRRIGATION DIST 91.53 134575748 ELECTRIC SVC GM 00636 04/09 AP 10/01/08 0079950 IMPERIAL IRRIGATION DIST 101.24 .94688235 ELECTRIC SVC GM 00924 04/09 AP 10/22/08 0080338 IMPERIAL IRRIGATION DIST 115.13 104753247 ELECTRIC SVC GM 01153 06/09 AP 11/23/08 0080747 IMPERIAL IRRIGATION DIST 104.02 50014729 ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 112.35 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 02/04/09 0081495 IMPERIAL IRRIGATION DIST 130.39 50014729 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 115.13 50014729 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 95.71 VARIOUS ELECTRIC SVC GM.02434 11/09 AP 04/23/09 0082749 IMPERIAL IRRIGATION DIST 92.91 50014729 ELECTRIC SVC PREPAREu uo/12/2010, 9:26:27 GENERAL LEDGER HL.TIVITY LISTING rAwt 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 101-3005-451.40-62 Utilities -Parks / Electricty-Adams Park GM 02694 12/09 AP 05/25/09 0083275 IMPERIAL IRRIGATION DIST 84.60 50014729 ELECTRIC SVC GM 02886 12/09 AP 06/23/09 0083606 IMPERIAL IRRIGATION DIST 88.76 50014729 ELECTRIC SVC ACCOUNT TOTAL 1,227.48 1,227.48 101-3005-451.40-63 Utilities -Parks / Electricity -Velasco Park .00 ACCOUNT TOTAL .00 101-3005-451.40-64 Utilities -Parks / Electricity -Saguaro Park .00 ACCOUNT TOTAL .00 101-3005-451.40-65 Utilities -Parks / Electric -Eisenhower Park .00 GM 00325 02/09 AP 07/21/08, 0079341 IMPERIAL IRRIGATION.DIST 16.82 VARIOUS ELECTRIC SVC GM 00363 02/09 AP 08/28/08 0079515 IMPERIAL IRRIGATION DIST 18.08• VARIOUS ELECTRIC SVC GM 00590 03/09 AP 09/17/08 0079730 IMPERIAL IRRIGATION DIST 19.36 VARIOUS ELECTRIC SVC GM•00924 04/09 AP 10/20/08 0080338 IMPERIAL IRRIGATION DIST 16.82 124711242 ELECTRIC SVC GM 01153 06/09 AP 11/25/08 0080747 IMPERIAL IRRIGATION DIST 18.08 50059934 ELECTRIC SVC GM 01350 06/09 AP 12/29/08 0080967 IMPERIAL IRRIGATION DIST 19.36 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 01/28/09 0081495 IMPERIAL IRRIGATION DIST 18.08 50059934 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 19.36 50059934 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 18.08 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/20/09 0082749 IMPERIAL IRRIGATION DIST 15.55 50059934 ELECTRIC SVC GM 02650 12/09 AP 05/19/09 0083135 IMPERIAL IRRIGATION DIST 16.82 50059934 ELECTRIC SVC GM 02810 12/09• AP 06/18/09 0083325 IMPERIAL IRRIGATION DIST 16.82 50059934 ELECTRIC SVC ACCOUNT TOTAL 213.23 213.23 101-3005-451.40-66 Utilities -Parks / Electricity -Desert Pride .00 GM 00325 02/09 AP 07/27%08 0079341 IMPERIAL IRRIGATION DIST 5.66 PREPARE''w uQ/12/2010, 9:26:27 GM GENERAL LEDGEK ACTIVITY LISTING FAWE 766 PROGRAM GM362LA ADT SECURITY SERVICES 75244584 ALARM SVC -SP COMPLEX CITY OF LA QUINTA, CALIFORNIA 03/09 AP 08/09/08 0079565 ADT SECURITY SERVICES ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund 77091352 SP CMPLX SECURITY GM 01263 06/09 BEGINNING GROUP ACCTG ----TRANSACTION---- 82412095 /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N ADT SECURITY SERVICES DEBITS CREDITS BALANCE 101-3005-451.40-66 Utilities -Parks / Electricity -Desert Pride SPORTS COMPLEX GM 02551 11/09 AP 05/09/09 VARIOUS ADT SECURITY SERVICES ELECTRIC SVC GM 00495 03/09 AP 08/24/08 0079673 IMPERIAL IRRIGATION DIST 5.66 134576032 ELECTRIC SVC GM 00636 04/09 AP 10/01/08 0079950• IMPERIAL IRRIGATION DIST 5.66 94688483 ELECTRIC SVC* GM 01033 05/09 AP 10/26/08 0080532 IMPERIAL IRRIGATION DIST 5.14 50135244 ELECTRIC SVC GM 01153 06/09 AP 11/23/08 0080747 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC GM 01443 07/09 AP 12/29/08 0081145 IMPERIAL IRRIGATION DIST 5.66 VARIOUS ELECTRIC SVC GM 01685 08/09 AP 02/04/09 0081495 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC GM 01905 09/09 AP 03/04/09 0081906 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC GM 02128 10/09 AP 04/01/09 0082353 IMPERIAL IRRIGATION DIST 5.14 VARIOUS ELECTRIC SVC GM 02434 11/09 AP 04/23/09 0082749 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC GM 02694 12/09 AP 05/25/09 0083275 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC GM 02886 12/09 AP 06/23/09 0083606 IMPERIAL IRRIGATION DIST 5.66 50148040 ELECTRIC SVC ACCOUNT TOTAL 101-3005-451.40-67. Utilities -Parks / Electric-S1vrRock Trailer ACCOUNT TOTAL 101-3005-451.41-30 Utilities / Security and Alarm GM 01070 05/09 AP 11/08/08 0080559 ADT SECURITY SERVICES 82412128 SECURITY SVC ACCOUNT TOTAL 101-3005-451.41-35 Utilities / Security -Sports Complex GM 00103 01/09 AP 07/05/08 0078962 ADT SECURITY SERVICES 75244584 ALARM SVC -SP COMPLEX GM 00406 03/09 AP 08/09/08 0079565 ADT SECURITY SERVICES 77091352 SP CMPLX SECURITY GM 01263 06/09 AP 11/08/08 0080912 ADT SECURITY SERVICES 82412095 SPORTS COMPLEX GM•01793 08/09 AP 02/07/09 0081704• ADT SECURITY SERVICES 87727344 SPORTS COMPLEX GM 02551 11/09 AP 05/09/09 0082949 ADT SECURITY SERVICES 66.88 59.34 59.34 55.71 167.13 167.13 167.13 167.13 66.88 .00 .00 .00 59.34 .00 PREPAREm ua/12/2010, 9:26:27 GENERAL LEDGEK A6TIVITY LISTING PAGE 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 ------------------------------------------------ ; Utilities / Security -Sports Complex. 93077311 SECURITY -SPORTS COMPLEX 1,720.60 724.23 .00 ACCOUNT TOTAL 724.23 101-3005-451.42-15 Contract Services / Janitorial GM 00054 01/09 AP 07/01/08 0078963 ADVANCED, INC. 1,720.60 12227 JANITORIAL SERVICE GM 00257 02/09 AP 08/01/08 0079188 ADVANCED, INC. 1,720.60 . 12293 JANITORIAL GM 00534 03/09 AP 09/01/08 0079742 ADVANCED, INC. 1,720.60 12357 JANITORIAL SERVICES GM 00794 04/09 AP 10/01/08 0080206 ADVANCED, INC. 1,720.60 12436 JANITORIAL GM 01012 05/09 AP 11/01/08 0080381 ADVANCED, INC. 1,720.60' 12484 JANITORIAL GM 01067 05/09 AP 11/13/08 0080572 ADVANCED, INC. •225.00 12496 SPORTS COMPLEX CLEAN GM 01067 05/09 AP 11/13/08 0080572 ADVANCED, INC. 225.00 12497 SPORTS COMPLEX GM 01214 06/09 AP 12/01/08 0080776 ADVANCED, INC. 1,720.60 12537 JANITORIAL SVC GM 01458 07/09 AP 01/01/09 0081167 ADVANCED, INC. 1,720.60 12592 JANITORIAL GM 01472 07/09 AP 01/01/09 0081256 ADVANCED, INC. 1,720.60 12592 JANITORIAL GM 01713 08/09 AP 02/01/09 0081514 ADVANCED, INC. 1,720.60 12676 JANITORIAL SVC GM 01944 09/09 AP 02/28/09 0081928 ADVANCED, INC. 90.00 12735 SPORTS CMPLX CLEANING GM 01944 09/09 AP 02/28/09 0081928 ADVANCED, INC. 90.00 12734 LQ PARK SP CLEANING GM 01944 09/09 AP 02/28/09 0081928 ADVANCED, INC. 90.00 12730 SPORTS CMPLX CLEANING GM 01944 09/09 AP 02/28/09 0081928 ADVANCED, INC. 90.00 12729 LQ PARK SP CLEANING GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 1,720.60 12708 JANITORIAL SVC GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 90.00 12750 SPORTS CMPLX CLEANING GM 01944 09/09 AP 03/01/09 0081928 ADVANCED, INC. 90.00• 12749 LQ PARK SP CLEANING GM 02224 10/09 AP 04/01/09 0082399 ADVANCED, INC. 1,720.60 12776 JANITORIAL SVC GM 02160 10/09 AP 04/02/09 0081167 ADVANCED, INC. 12592 JANITORIAL GM 02459 11/09 AP 05/01/09 0082765 ADVANCED INC 1,720.60 12885 JANITORIAL GM 02683 12/09 AP 06/01/09 0083157 ADVANCED INC 1,720.60 1,720.60 724.23 .00 PREPAREu ua/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 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 101-3005-451.42-15 Contract Services_ / Janitorial 12954 JUN109 JANITORIAL GM 02870 12/09 AP 06/22/09 0083613 ADVANCED INC 523.07 12971 JUN109 POOL ACCOUNT TOTAL 23,880.87 1,720.60 22,160.27 •101-3005-451.43-59 Other Services / LQ Park Building .00 GM 00960 05/09 AP 06/16/08 0080504 TRULY NOLEN INC 71.00 66865099 LQ PARK PEST CNTRL GM 00103 01/09 AP 07/01/08 0079079 PRISTINE POOLS SERVICE & 195.00 18248 POOL SERVICE ' GM 00122 0.1/09 AP 07/01/08 0078959 VERIZON CALIFORNIA 41.87 345-2951 PHONE SVC -LQ PK GM 00188 01/09 AP 07/01/08 0079157 •TELEPACIFIC COMMUNICATION 192.05 .8203372-0 PHONE SVC -LQ PARK GM 00130 01/09 AP 07/15/08 0079083 RAIN DROP PRODUCTS, LLC 159.00 0007717 -IN . WATER FEATURE PARTS GM 00325 02/09 AP 07/23/08 0079349 TELEPACIFIC COMMUNICATION 192.10 8724741-0 PHONE SVC -LQ PARK GM 00794 04/09 AP 07/31/08 0080270 LOCK SHOP INC, THE 21.55 332285 LQ PARK KEYS GM 00213 02/09 AP 08/01/08 0079211 DESERT.PIPE & SUPPLY 254.30 0013135620 LQ PARK A/C REPAIR GM 00213 02/09 AP 08/01/08 0079272 PRISTINE POOLS SERVICE & 400.00 18754 WATER FEATURE GM 00213 02/09 AP 08/01/08 0079273 RAIN DROP•PRODUCTS, LLC 120.00 7741 -IN WATER FEATURE REPAIR GM 00269 02/09 AP 08/01/08 0079463 PRISTINE POOLS SERVICE & 195.00 18883 FOUNTAIN SERVICE GM 00325 02/09 AP 08/01/08 0079352 VERIZON CALIFORNIA 41.55 345-2951 PHONE SVC -LQ PARK GM 00269 02/09 AP 08/05/08 0079451 TRULY NOLEN INC 71.00 66866772 PEST CONTROL GM 00794 04/09 AP 08/22/08 0080270 LOCK SHOP INC, THE 593.75 333323 LQ PARK KEYS GM 00493 03/09 AP 09/01/08 0079886 PRISTINE POOLS SERVICE & 195.00 19535 POOL SERVICE GM 00532 03/09 AP 09/01/08 0079719 VERIZON CALIFORNIA 41.54 345-2951 PHONE SVC GM 00534 03/09 AP 09/04/08 0079857 LOCK SHOP INC, THE 21.98 333868 NEW KEYS GM 00534 03/09 AP 09/08/08 0079857 LOCK SHOP INC, THE 89.00 334034• REKEY ELECTRONIC ROOM GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 19.00 97-829622 AUGUST SALES TAX GM 00534 03/09 AP 09/11/08 0079742 ADVANCED, INC. 425.00 12409 JANITORIAL SERVICES GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 192.10 PREPARE'u u3/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 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 0 N DEBITS CREDITS BALANCE 101-3005-451.43-59 Other Services / LQ Park Building 9456510-0 LQ PARK GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 192.10 8886344-0 PHONE SVC-LQ PARK GM 00743 04/09 AP 10/01/08 0080105 PRISTINE POOLS SERVICE 8 195.00 20172 WATER FEATURE GM 00845 04/09 AP 10/01/08 0080199 VERIZON CALIFORNIA 41.55 345-2951 PHONE SVC-LQ PRK GM 00936 05/09 AP 10/01/08 0080430 HOARD INC, HUGH 98.50 54169 A/C REPAIR GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 71.00 66868.601 LQ PARK GM 00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 71.00 66870459 LQ PARK GM.00865 04/09 AP 10/07/08 0080320 TRULY NOLEN BRANCH 066 150.00 66872043 LQ PARK GM 00720 04/09 AP 10/08/08 0079975 CASH/PETTY CASH 2.68 100808 REPLENISH CASH GM 00972 05/09 AP 10/08/08 0080504 TRULY NOLEN INC 150.00 66873867 LQ PARK PEST GM 01067 •05/09 AP 10/14/08 0080714 TRULY NOLEN INC 71.00 66874194 LQ PARK PEST GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 192.95 10075744-0 LQ PARK GM 01067 05/09 AP 10/25/08 0080673 ON THE FLY PEST K RODENT 250.00 93093 BEE REMOVAL@LQ PARK GM 00972 05/09 AP 10/28/08 0080504 TRULY NOLEN INC 71.00 66872253 LQ PARK PEST GM 01038 05/09 AP 10/29/08 0080676 PARAGON SIGNS 35.02 33693 RSTRM SIGN@LQ PARK GM 00972 05/09 AP 11/01/08 0080474 PRISTINE POOLS SERVICE K 195.00 20819 WATER FEATURE GM 01050 05/09 AP 11/01/08 0080765 VERIZON CALIFORNIA 41.09 345-2951 LQ PARK PHONE SVC GM 01067 05/09 AP 11/10/08 0080656 LOCK SHOP INC, THE 104.00 337488 LQ PARK GM 01150 06/09 AP 11/10/08 0080818 HOARD INC, HUGH 223.94 54432 A/C REPAIR@LQ PARK GM 01214 06/09 AP 11/22/08 0080875 TRULY NOLEN INC 150.00 66877171 BEE REMOVAL@LA PARK GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 192.95 28626 LQ PARK GM 01290 06/09 AP 12/01/08 0080959 VERIZON CALIFORNIA 41.09 345-2951 LQ PARK GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 214.05 11076529-0 LQ PARK ' GM 01460 07/09 AP 12/25/08 0081212 LOWE'S HOME IMPROVEMENT W 6.00 960267 HARDWARE-LQ PARK GM 01525 07/09 AP 12/30/08 0081450 TRULY NOLEN INC 71.00 66875928 PEST CNTRL-LQ PARK PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEK At.TIVITY LISTING PAVE 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 101-3005-451.43-59 Other Services / LQ Park Building GM 01532 07/09 AP 01/01/09 0081311 VERIZON CALIFORNIA 42.01 345-2951 LQ PARK GM 01620 08/09 AP 01/09/09 0081647 TRULY NOLEN INC 71.00 66877623 PEST CNTRL-LQ PARK GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 212.45 11379124-0 LQ PARK GM 01770. 08/09 AP 01/27/09 0081818• MUSCO SPORTS LIGHTING LLC 468.00 .1887.77 CNTRL LINK SVC FEES GM 01793 08/09 AP 02/01/09 0081724 VERIZON CALIFORNIA 41.36 345-2951 LQ PARK GM 01918 09/09 AP 02/02/09 0082056 TRULY NOLEN INC 71.00 66879266 PST CNTRL-LQ PARK GM 01944 09/09 AP 02/17/09 0081996 LOCK SHOP INC, THE 17.82 - 633258 DUP KEYS GM 01905 09/09 AP 02/23/09 0081920. TELEPACIFIC COMMUNICATION 213.30 11807255-0 LQ PARK GM 02227 10/09 AP.02/27/09 0082459 LOCK SHOP INC, THE 18.32 343701 REKEY STORAGE LOCK GM 01985 09/09 AP 03/01/09 0082122 VERIZON CALIFORNIA 43.00 345-2951 PHONE -LQ PARK GM 01979 09/09 AP 03/02/09 0082318 TRULY NOLEN INC 71.00 66880796 LQ PARK GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 212.45 12350308-0 LQ PARK GM 02277 10/09 AP 04/01/09 0082552 VERIZON CALIFORNIA 42.73 345-2951 LQ PARK GM 02406 11/09 AP 04/01/09 0082906 TRULY NOLEN INC 71.00 66882333 PST CNTRL-LQ PARK GM 02406 '11/09 AP 04/10/09 0082906 TRULY NOLEN INC 150.00 66883771 PST CNTRL-LQ PARK GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 213.15 12778129-0 LQ PARK GM 02475 11/09 AP 04/24/09 0083094 TRULY NOLEN INC 150.00 66885199 PST CNTRL-LQ'PARK GM 02459 11/09 AP 04/29/09 0082833 KILLERBEE CENTRAL INC 350.00 2009-070 . BEE REMOVAL GM 02499 11/09 AP 04/30/09 0083067 PRISTINE POOLS SERVICE & 75.00 24932 LQ PK WTR FEATURE REPAIR GM 02446 11/09 AP 05/01/09 0082868 PRISTINE POOLS'SERVICE & 292.50 24892 LQ PARK WATER FEATURE GM 02475 11/09 AP 05/01/09 0083094 TRULY NOLEN INC 71.00 66883986 PST CNTRL-LQ PARK GM 02551 11/09 AP 05/01/09 0082969 VERIZON CALIFORNIA 42.73 345-2951 LQ PARK GM 02727 12/09 AP 05/08/09 0083397 DESERT .FIRE EXTINGUISHER 21.93 689022 SVC a LQ PARK GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 213.15 13361992-0 LQ PARK GM 02739 12/09 AP 06/01/09 0083302' VERIZON-CALIFORNIA 42.73 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEn AuTIVITY LISTING rAWE 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 101-3005-451.43-59 Other Services / LQ Park Building 345-2951 LQ PARK GM 02790 12/09 AP 06/01/09 0083483 PRISTINE POOLS SERVICE• 6 195.00 25079 JUN109 LQ PARK WTR FEATUR GM 02828 12/09 AP 06/16/09 0083483 PRISTINE POOLS SERVICE & 45.00 25537 LQ PK WATER FEAT GM 02870 12/09 AP 06/17/09 0083692 TRULY NOLEN INC 71.00 66885694 LQ PARK GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 210.45 13946747-0 LQ PARK ACCOUNT TOTAL 10,101.79 10,101.79 101-3005-451.43-64 Other Services / Sports Complex Building .00 GM 00493 03/09 AP.07/01/08 0079857 LOCK SHOP INC, THE 9.05 330509 COPY KEYS GM 00493 03/09 AP 07/01/08 0079857 LOCK SHOP INC, THE 21.46 330506 COPY KEYS GM 00130 01/09 AP 07/11/08 0079069 TRULY NOLEN INC 102.00 66866899 PEST CONTROL -SP CMPLX GM 00130 01/09 AP 07/11/08 0079069 TRULY NOLEN INC 42.00 66866639 PEST CONTROL -SP CMPLX GM 00309 02/09 AP 07/25/08 0079443 LOCK SHOP INC, THE 154.08 331973 REKEY LOCKS GM 00588 03/09 AP 07/25/08 0079858 LOWE'S HOME IMPROVEMENT W 60.95 908449 NEW LOCKS GM 00433 03/09 AP 08/18/08 0079566 ADVANCED, INC. 180.00 12328 SPECIAL CLEAN-UP GM 00588 03/09 AP 08/21/08 0079858 LOWE'S HOME IMPROVEMENT W 5.05 960318 SNACK BAR PARTS GM 00794 04/09 AP 08/22/08 0080270 LOCK SHOP INC, THE 403.20 333184 SPORTS CMPLX KEYS GM 00493 03/09 AP 08/27/08 0079857 LOCK SHOP INC, THE 117.77 333581 KEYS SPORTS COMPLEX GM 00796 04/09 AP 08/29/08 0080205 ACE HARDWARE 46.31 100604 DOOR LOCKS GM 00534 03/09 AP 09/11/08 0079742 ADVANCED, INC. 585.00 12408 JANITORIAL SERVICES GM 01150 06/09 AP 09/11/08 0080875 TRULY NOLEN INC 42.00 66874072 SPORTS COMPLEX GM 00865 04/09 AP 10/07/08-0080320 TRULY NOLEN BRANCH 066 42.00 66870343 SPORTS COMPLEX GM 00936 05/09 AP 10/24/08 0080504 TRULY NOLEN INC 102.00 66872367 SPORTS COMPLEX GM 01460 07/09 AP 12/25/08 0081212 LOWE'S HOME IMPROVEMENT W 18.30 904951 LIGHT BULBS GM 01607 08/09 AP 01/08/09 0081647 TRULY NOLEN INC 102.00 66877744 SPORTS COMPLEX GM 01946 09/09 AP 01/08/09 0082056 TRULY NOLEN INC 42.00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING rAWE •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 101-3005-451.43-64 Other Services / Sports Complex Building 66877504 SPORTS COMPLEX GM 01770 08/09 AP 01/27/09 0081818 MUSCO SPORTS LIGHTING LLC 400.00 188777 CNTRL LINK SVC FEES GM 01832 08/09 AP 01/30/09 0081863 VALLEY PLUMBING 938.31 189718 BUILDING MAIN LINE GM 01944 09/09 AP 02/18/09 0081996 LOCK SHOP INC, THE 288.77 308976 REKEY SPORTS COMPLEX GM 01880 09/09 AP 02/19/09 0081993 LASALLE LIGHTING. SERVICES 307.70 776.94 LIGHT POLE COVERS GM 01944 09/09 AP 02/19/09 0081996 LOCK SHOP INC, THE 20.00 343205 MSTR LOCK&KEY GM 01944 09/09 AP 02/24/09 0081996 LOCK SHOP INC, THE 71.14 343480 MSTR LOCK&KEY GM 02227 10/09 AP 02/24/09 0082459 LOCK SHOP INC, THE 56.03 343514 REKEY & NEW KEYS GM 02278 10/09 AP 03/10/09 0082635 LOCK SHOP INC, THE 5.28 633956 KEY COPIES CR 02106 09/09 CR 03/25/09 0013867 LQ SPORTS&YOUTH/REIM REKE 288.77 DMARTIN 03/25/09 01 GM 02128 10/09 AP' 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 3.62 960114 CEILING FAN REPAIR GM 02128 10/09 AP 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 17.69 960114 CO2 TANK SUPPLIES GM 02128 10/09 AP 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 24.76 913123 TRASH CAN GM 02271 10/09 AP 03/25/09 0082694 TRULY NOLEN INC 42.00 66880685 SPORTS COMPLEX GM 02233 10/09 AP 03/27/09 0082446 HOME DEPOT CREDIT SERVICE 97.26 3021859 MAINT SUPPLIES GM 02233 10/09 AP 03/27/09 0082446 HOME DEPOT CREDIT SERVICE 116.11 6022445 TRASH CANS . GM 02167 10/09 AP 03/29/09 0082494 SMART & FINAL 8.60 3583410185595 SANITIZING STRIPS GM 02224 10/09 AP 04/01/09 0082399 •ADVANCED, INC. 90.00 12789 SVC -BB LEAGUE GM 02788 12/09 AP 04/13/09 0083458 LOCK SHOP INC, THE 185.63 AA00040820 LOCK INSTALLATION GM 02788 12/09 AP 04/15/09 0083458 LOCK SHOP INC, THE 77.32 BB00500805 STORAGE RM LOCK GM 02788 12/09 AP 04/16/09 0083458 LOCK SHOP INC, THE 17.40 BB00500819 DUP KEYS GM 02788 12/09 AP 04/20/09 0083458 LOCK SHOP INC, THE 21.75 635312 DUP KEYS GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 7.24 907984 KEY RPLCMT SUPPLIES GM 02446 11/09 AP 04/27/09 0082906 TRULY NOLEN INC 102.00 66882445 SPORTS COMPLEX GM 02638 12/09 AP 05/06/09 0083255 TRULY NOLEN INC 42.00 66883867 SPORTS COMPLEX PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGER AC"fIVITY LISTING PAGE 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 - ; 101-3005-451.43-66 Other Services / Museum ACCOUNT TOTAL 101-3005-451.43-70 Other Services / Sports Complex Building GM 02727 12/09 AP 05/08/09 0083397 DESERT FIRE EXTINGUISHER 21.93 325.00 689021 REFILL -SPORTS COMPLEX GM 02746 12/09 AP 06/15/09 0083364 BTU AIR & HEAT 2,100.00 0081127 VINTAGE ASSOCIATES 94.00 12388 ICE MACHINE REPAIR GM 02870 12/09 AP 06/23/09 0083613 ADVANCED INC 150.00 AP 12/19/08 0081248 VINTAGE ASSOCIATES 12976 SAT CLEANING 3/7 & 3/14 GM 02870 12/09 AP 06/23/09 0083613• ADVANCED INC 900.00 01531 07/09 AP 12/31/08 12977 SAT CLEANING -BB SEASON 150.00 ACCOUNT TOTAL 8,187.71 101-3005-451.43-65 GM Other Services / SilverRock Buildings 07/09 GM 02920 12/09 AP 07/03/09 0083809 WELLS FARGO BUSINESS CARD 38.05 SI -69690 3072 VISA CARD PAYMENT GM 01768 08/09 AP 01/31/09 ACCOUNT TOTAL VINTAGE ASSOCIATES 38.05 101-3005-451.43-66 Other Services / Museum ACCOUNT TOTAL 101-3005-451.43-70 Other Services / Tree Maintenance GM 00936 05/09 AP 10/23/08 0080514 VINTAGE ASSOCIATES 325.00 SI -66632 RPLC TREES -CITY HALL GM 01347 06/09 AP 11/29/08 0081127 VINTAGE ASSOCIATES 94.00 SI -68517 DESERT PRIDE TREE' GM 01451 07/09 AP 12/19/08 0081248 VINTAGE ASSOCIATES 157.10 SI -69173 PRIDE TREE REPLACE GM 01531 07/09 AP 12/31/08 0081458 VINTAGE ASSOCIATES 150.00 SI -69694 ADAMS TREE REMOVAL GM 01531 07/09 AP 12/31/08 0081458 VINTAGE ASSOCIATES 150.00 SI -69690 MONTICELLO TREE RMVL GM 01768 08/09 AP 01/31/09 0081865 VINTAGE ASSOCIATES 750.00 SI -70360 TREE REMOVAL GM 02271 10/09 AP 03/31/09 0082698 VINTAGE ASSOCIATES 800.00 SI -72597 TREE MAINTQSR CTR GM 02278 10/09 AP 04/16/09 0082698 VINTAGE ASSOCIATES 650.00 SI -72818 LQ SKATE PARK TREES ACCOUNT TOTAL 3,076.10 101-3005-451.44-07 Rental Services / Uniforms ACCOUNT TOTAL 288.77 7,898.94 .00 38.05 .00 .00 .00 3,076.10 .00 00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER AC"fIVITY LISTING PAGE 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3005-451.51-01 Services & Supplies / Travel & Training GM 01348 06/09 AP 12/19/08 0080999 CALIFORNIA PARKS & RECREA 114173 MEMBERSHIP-HOWLETT ACCOUNT TOTAL 101-3005-451.54-01 Services & Supplies / Information Tech Charges GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG ACCOUNT TOTAL •101-3005-451.56-02 Services & Supplies / Operating Supplies GM 00369 03/09 AP 08/20/08 0079662 VINTAGE ASSOCIATES SI -65159 REPLACEMENT TREE -CAMPUS GM 00493 03/09 AP 08/29/08 0079924 VINTAGE ASSOCIATES SI -65459 CITY HALL TREE REPLACEMEN GM 00493 03/09 AP 08/29/08 0079924 VINTAGE ASSOCIATES GM 00257 02/09 AP SI -65461 0079302 CAMPUS TREE REPLACEMENT GM'00493 03/09 AP 08/31/08 0079924 VINTAGE ASSOCIATES GM 00216 02/09 AP SI -65507 0078973 LQ PARK REPLACE SOD GM 00599 04/09 AP 09/23/08 0080139 VINTAGE ASSOCIATES SI -65782 TREE RPLCMNT a VELASCO GM 00599 04/09 AP 09/23/08 0080139 VINTAGE ASSOCIATES SI -65784 TREE RPLCMNT a CNTR POINT GM 00796 04/09 AP 10/14/08 0080324 VINTAGE ASSOCIATES SI -66287 CITY HALL PLANTS GM.01347 06/09 AP 11/29/08 0081127 VINTAGE ASSOCIATES SI -68511 MUSEUM PLANT REPLACE GM 01347 06/09 AP 12/18/08 0081127 VINTAGE ASSOCIATES SI -69148 CITY HALL PLANT REPLACE GM 02123 09/09 AP 03/23/09 0082329 VINTAGE ASSOCIATES SI -72021 CAMPUS PLANT.REPLCMT GM 02227 10/09 AP 03/31/09 0082510 VINTAGE ASSOCIATES SI -72458 CAMPUS PLANT REPL ACCOUNT TOTAL 101-3005-451.56-37 Services & Supplies / Grafitti Material GM 00188 01/09 AP 06/26/08 0079142 BANG INC, DAVE 28547 VANDALISM RPLLMNT GM 00309 02/09 AP 07/28/08 0079366 BANG INC, DAVE 28678 VANDALISM REPAIR GM 00217 01/09 AJ 07/31/08 JE 01-028 CORR DAVE BANG INC EXP GM 00257 02/09 AP 07/31/08 0079302 VINTAGE ASSOCIATES SI -64849 IRRIGATION VANDALISM GM 00216 02/09 AP 08/04/08 0078973 BANG INC, DAVE 28547 PARK VANDALISM 155.00 155.00 5,237.00 5,237.00 200.00 360.00 670.00 500.00 650.00 325.00 407.00 166.00 705.00 306.00 455.64 4,744.64 944.61 862.79 944.61 620.73 944.61 .00 155:00 .00 5,237.00 .00 4,744.64 .00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGER AG-rIVITY LISTING PAGE 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 0 N DEBITS CREDITS• BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3005-451.56-37 Services & Supplies / Grafitti Material GM 00216 02/09 AP 08/04/08 0078973 BANG INC, DAVE 944.61 28547 GRAFFITI MATERIAL GM 00331 02/09 AP 08/12/08 0079366 BANG INC, DAVE 779.73 28776 PLAYGROUND SIGN GRAFFITI SUPPLIES - GM GM 00535 03/09 AP 09/16/08 0079926 VOLPONE, MICHAEL 1,190.00 SI -64851 091608 ADD IRRIGATION &SC APP GRAFITTI CLEANING GM GM 01347 06/09 AP 11/29/08 0081127 VINTAGE ASSOCIATES 191.50 SI -64850 SI -68512 ADD IRRIGAT@ CITY HALL LQ PARK VANDALISM GM GM 01347 06/09 AP 11/29%08 0081127 VINTAGE ASSOCIATES 824.35 SI64947 SI -68514 LANDSCAPING LQ PARK VANDALISM GM CR 01474 07/09 CR 01/06/09 0008914 SUPERIOR COURT/AYERS REST 81.48 SI -64957 LANDSCAPING DMARTIN 01/06/09 01 GM GM 02123 09/09 AP 03/23/09 0082329 VINTAGE ASSOCIATES 389.71 SI -72032 CAMPUS IRR VANDALISM GM 02123 09/09 AP 03/23/09 0082329 VINTAGE ASSOCIATES 974.22 SI -72030 LQ PARK IRR VANDALISM GM 02499 11/09 AP 04/30/09 0083098 VINTAGE ASSOCIATES 570.33 SI -73470 LQ PARK VANDALISM GM 02499 11/09 AP 04/30/09 0083098 VINTAGE ASSOCIATES 317.52 SI -73464 MONTECELLO PK VANDALISM GM 02790 12/09 AP 05/14/09 0083358 BANG INC, DAVE 543.18 30091 SLIDE VANDALISM GM 02696 12/09 AP 05/31/09 0083541 VINTAGE ASSOCIATES 398.01 SI -74201 LQ PK VANDALISM GM 02696 12/09 AP 05/31/09 0083541 VINTAGE ASSOCIATES 291.51 SI -74186 VANDALISM@SAGUARDO ACCOUNT TOTAL 9,842.80 1,970.70 101-3005-451.56-40 Services & Supplies /-Safety Gear/Material ACCOUNT TOTAL 101-3005-451.56-52 Services & Supplies / Matls-Irrigat & Light Rep GM 00130 01/09 AP 07/16/08 0079132 VINTAGE ASSOCIATES •500.00 SI -64510 IRRIGATION REPAIR GM 00256 02/09 AP 07/30/08 0079270 PLAYPOWER LT FARMINGTON, 429.54 1400118757 PLAYGROUND SIGN GM 00257 02/09 AP 07/31/08 0079302 VINTAGE ASSOCIATES 444.23 SI -64851 ADD IRRIGATION &SC GM 00257 02/09 AP 07/31/08 0079302 VINTAGE ASSOCIATES 11283.28 SI -64850 ADD IRRIGAT@ CITY HALL GM 00269 02/09 AP 07/31/08 0079498 VINTAGE ASSOCIATES 2,465.00 SI64947 LANDSCAPING GM 00269 02/09 AP 07/31/08 0079498 VINTAGE ASSOCIATES 320.00 SI -64957 LANDSCAPING GM 00327 02/09 AP 07/31/08 0079498 VINTAGE ASSOCIATES 1,425.00 7,872.10 .00 .00 .00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 776 PROGRAM GM362LA J CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 SI -64949 MAINTENANCE GM 00348 02/09 AP 08/04/08 0079494 VALLEY PLUMBING 186.31• 186787 WATER FEATURE REPAIR GM 00322 02/09 AP 08/09/08 0079359 ADT SECURITY SERVICES' 59.34 77091380 ALARM SVC -LQ PK GM 00369 03/09 AP 08/12/08 0079572 BANG INC, DAVE 1,804.15 28793 VELASCO BENCHES /TRASH GM 00322 02/09 AP 08/15/08 0079372 CALIFORNIA COURT BUILDERS 250.00 2 TENNIS COURT CLEANING GM 00667 04/09 AP 08/19/08 0080017 BEST SIGNS INC 398.68 70191 SKATE PK SIGN GM 00528 03/09 AP 08/25/08 0079831 HOME DEPOT CREDIT SERVICE 271.00 3013528 ELEC SERVICE GM 00493 03/09 AP 08/31/08 0079924 VINTAGE ASSOCIATES 143.00 SI -65506 LQ PARK MAIN REPAIR GM 00528 03/09 AP 09/02/08 0079792 DESERT ELECTRIC SUPPLY 633.77 S1596055.001 LIGHT POLE INSTALLATION GM 00588 03/09 AP 09/05/08 00797.92 DESERT ELECTRIC SUPPLY 102.79 S1597113.002 ELECTRIC SUPPLY GM 00588 03/09 AP 09/05/08 0079792 DESERT ELECTRIC SUPPLY 823.93 S1597113.00.1 ELECTRIC SUPPLY GM 00588 03/09 AP 09/06/08 0079740 ADT SECURITY SERVICES 59.34 78874301 LQ PARK SECURITY GM 00595 03/09 AP 09/15/08 0079865 MDF, INC. 2,731.28 . - INV12890 LQ DRINKING FOUNTAIN GM 00865 04/09 AP 09/24/08 0080289 PET PICKUPS 339.00 31493 WICKETS GM 00767' 04/09 AP 09/26/08.0080015 BANG•INC, DAVE 1,132.89 29047 CNTR POINT BENCHES GM 00767 04/09 AP 09/30/08 0080139 VINTAGE ASSOCIATES• 143.00 SI -66009 LQ PK IRRIG REPAIR GM 00767 04/09 AP 09/30/08 0080139 VINTAGE ASSOCIATES 375.00 SI -66008 LQ PK IRRIG REPAIR GM 00794 04/09 AP 10/03%08 0080321 TUTHILL CORPORATION 11900.53 91711185 LAKE PUMP REPAIR GM 00845 04/09 AP 10/04/08 0080186 ADT SECURITY SERVICES 59.34 80602879 ALARM SVC -LQ PRK GM 00865 04/09 AP 10/06/08 0080230 DESERT ELECTRIC SUPPLY 190.35 S1604245.001 ELECT SVC -CAMPUS GM 00743 04/09 AP 10/07/08 0080081 LASALLE PAINTING, INC. 2,212.00 78048 FRITZ BURNS REPAINT GM 00743 04/09 AP 10/07/08 0080081 LASALLE PAINTING, INC. 1,790.00 78051 FRITZ BURNS REPAIR GM 00865 04/09 AP 10/08/08 0080230 DESERT ELECTRIC SUPPLY 105.84 S1605059.002 ELECT SVC -LQ PARK GM 00865 04/09 AP 10/08/08 0080230 DESERT ELECTRIC SUPPLY 149.38 S1605059.001 ELECT SVC -LQ PARK GM 01038 05/09 AP 10/13/08 0080631 HOLLYWOOD DELIVERY SERVIC 40.66 3435521 PUMP -SHIPPING PREPAREL X4/12/2010, 9:26:27 GENERAL LEDGEk A6rIVITY LISTING PAGE 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 101-3005-451.56-52 Services & Supplies / Matls-Irrigat A Light Rep GM 00796 04/09 AP 10/15/08 0080307 SELECTBUILD CONSTRUCTION, 2,392.00 183901001 FB PARK REPAIR GM 01020 05/09 AP 10/16/08 0080410 CV INDUSTRIAL A AG SUPPLY 527.46 71015 REPLACEMENT HOSE GM 00936. 05/09 AP 10/17/08 0080415 DESERT ELECTRIC SUPPLY 1,056.87 S1591823.001 SPORTS CMPLX LIGHTING GM 00972 05/09 AP 10/23/08 0080505 TUTHILL CORPORATION 965.96 91719229 PUMP REPAIR GM 00960 05/09 AP 10/25/08 0080486 SEVEN SUPPLY 158.17 0013207350 DRINKING FTN REPAIR GM 00936 05/09 AP 10/27/08 0080450 LASALLE PAINTING, I"NC. 2,455.00 78076 BB FENCE -LQ PARK GM 01039 05/09 AP 10/28/08 0080681 PET PICKUPS 300.00 31584 PET PK -UP WICKETS GM 01038 05/09 AP 10/31/08 0080586 CARSONITE COMPOSITES. 39.58 5129525 SIGN STICKERS -OASIS GM 01061 05/09 AP 11%17/08 0080642 KRIBBS CONSTRUCTION, BRUC 1,495.00 2042 NEW MISTER@LQ PARK GM 01262 06/09 AP 11/20/08 0081075 PET PICKUPS 300.00 31635 WICKETS GM 01291 06/09 AP 11/29/08 0081127 VINTAGE ASSOCIATES 356.00 SI -68513 CAMPUS MAINLINE REPAIR GM 01347 06/09 AP 11/29/08 0081127 VINTAGE ASSOCI"ATES 340.00 SI -68518 DRAIN@ ADAMS PARK GM 01347 06/09 AP 11/29/08 0081127 VINTAGE ASSOCIATES 480.00 SI -68516 CITY HALL PLANT REPLACE GM 01190 06/09 AP 12/04/08 0080781 BOARD OF EQUALIZATION 46.00 97-829622 NOV108 SALES TAX GM 01290 06/09 AP 12/06/08 0080946 ADT SECURITY SERVICES 59.34 84198241 LQ PARK GM 01526 07/09 AP 12/16/08 0081413 PET PICKUPS 375.01 31679 PET PK -UP WICKETS GM 01532 07/09 AP 01/03/09 0081286 ADT SECURITY SERVICES 59.34 85907855 LQ PARK GM 01715 08/09 AP 01/09/09 0081528 BOARD OF EQUALIZATION 23.00 97-829622 JAN'09 SALES TAX GM 01472 07/09 AP 01/14/09 0081259 BOARD OF EQUALIZATION 23.00 97-829622 DEC108 SALES TAX GM 01629 '08/09 AP 01/15/09 0081614 PET PICKUPS 339.00 31744 PET PICKUP WICKETS GM 01768 08/09 AP 01/31/09 0081865 VINTAGE ASSOCIATES 385.00 SI••70358 IRRIG REPAIR GM 01768 08/09 AP 02/04/09 0081741 CARSONITE COMPOSITES 190.26 5130576 TRAIL SIGNS STICKERS GM 01793 08/09 AP 02/07/09 0081704 ADT SECURITY SERVICES 59.34 87727372 LQ PARK GM 01880 09/09 AP 02/10/09 0081954 DESERT ELECTRIC SUPPLY 1,549.49 S1634386.001 ELECTRIC MATERIAL GM 01918 09/09 •AP 02/13/09 0081968 GAIL MATERIALS 2,344.15 PREPAREL wJ/12/2010, 9:26:27 GENERAL LEDGEk M%.rIVITY LISTING PAGE 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 CREDITS BALANCE 101-3005-451.56-52 Services & Supplies / Matls-Irri9at & Light Rep 53262 INFIELD MTRL/LQ PARK GM 01918 09/09 AP 02/13/09 0081968 GAIL MATERIALS 2,302.82 53261 INFIELD MTRL/SPORTS CMPLX GM 01904 09/09 AP 02/17/09 0082018 PET PICKUPS 415.00 31816 PET PICKUP MITTENS GM 01880 09/09 AP 02/18/09 0081934 BEST SIGNS INC 316.79 71601 PARK SIGNS GM 01984 09/09 AP 02/19/09 0082169 BANG INC, DAVE 688.57 29795 RPLCMNT TOT SWINGS GM 01904 09/09 AP 02/24/09 0082061 VINTAGE ASSOCIATES 300.00 SI -71032 IRRIG REPAIR GM 01985 09/09 AP 02/27/09 0082109 HOME DEPOT CREDIT SERVICE 370.49 5034594 ELECTRIC MATERIAL GM 01944 09/09 AP 03/05/09 0081935 BOARD OF EQUALIZATION 26.00 97-829622 FEB109 SALES TAX GM 01979 09/09 AP 03/06/09 0082254 MIRACLE RECREATION EQUIPM 55.71 683415 FB SLIDE REPAIR GM 02065 09/09 AP 03/07/09 0082131 ADT SECURITY SERVICES 59.34 89506472 SECURITY -LQ PARK GM 02159 10/09 AP 03/13/09 0082475 PET PICKUPS 400.00 31588 DOGGIE BAGS GM 02227 10/09 AP 03/31/09 0082510 VINTAGE ASSOCIATES 111.44 SI -72459 VOLLEYBALL RAKE GM 02932 12/09 AP 04/01/09 0083926 ADT SECURITY SERVICES 55.42 89506472A SECURITY -LQ PARK GM 02176 10/09 AP 04/03/09 0082392 SILVERROCK RESORT 32.00 97-829622 MAR'09 SALES TAX GM 02264 10/09 AP 04/04/09 0082515 ADT SECURITY SERVICES 63.26 91259630 SECURITY -LQ PARK GM 02446 11/09 AP 04/17/09 0082863 PET PICKUPS 400.00 31680 DOGGIE MITTENS GM 02356 11/09 AP 04/27/09 0082873 RAIN DROP PRODUCTS, LLC 88.00 0010543 -IN LQ PARK WATER FEATURE GM 02356 11/09 AP 04/30/09 0082910 VINTAGE ASSOCIATES 195.00 SI -73272 IRRIG REPAIR -PRIDE PK GM 02499 11/09 AP 05/01/09 0083055 MIRACLE 77.73 8397 DP PK FOUNTAIN REPAIR GM 02551 11/09 AP 05/09/09 0082949 ADT SECURITY SERVICES 63.26 93077341 LQ PARK GM 02788 12/09 AP 05/18/09 0083458 LOCK SHOP INC, THE 108.83 51103 GATE@PIONEER PK GM 02638 12/09 AP 05/19/09 0083162 BEST SIGNS INC 933.85 72205 OASIS TRAILS SIGNS GM 02696 12/09 AP 05/31/09 0083541 VINTAGE ASSOCIATES 61.18 SI -74198 LIBRARY SOIL ANALYSIS GM 02696 12/09 AP 05/31/09 0083541 VINTAGE ASSOCIATES 250.00 SI -74255 IRRIG REPAIR@LQ PK GM 02696 12/09 AP 06/01/09 0083531 TRULY NOLEN INC 150.00 66887123 BEESQMONTECELLO PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGES.-.rIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3005=451.56-52 Services & Supplies / Matls-Irrigat & Light Rep GM 02820 12/09 AP 06/02/09 0083358 BANG INC, DAVE 434.11 1,990.92 PR 00035 01/09 30211 07/11/08 PLYGRND SWING CHAINS PAYROLL GM 02650 12/09 AP 06/03/09 0083146 SILVERROCK RESORT 8.00 PAYROLL SUMMARY 2,034.50 PR 97-829622 02/09 MAY109 SALES TAX 08/08/08 GM 02650 12/09 AP 06/03/09 0083146 'SILVERROCK RESORT 35.00 08/22/08 PR0822 PAYROLL SUMMARY 97-829622 PR MAY109 SALES TAX 03/09 GM 02788 12/09 AP 06/05/09 0083531 TRULY NOLEN INC 150.00 03/09 AJ 09/19/08 PR0919 66887186 SUMMARY BEES a ADAMS PK PR GM 02810 12/09 AP 06/06/09 0083304 ADT SECURITY SERVICES 63.26 PR 00788 04/09 AJ 94848208 PR1010 JUL109 SECURITY SUMMARY GM 02915 12/09 AP 06/23/09 0083873 MOST DEPENDABLE FOUNTAINS 2,112.00 INVISS94 DESERT PRIDE DRINK FNTAIN GM 02915 12/09 AP 06/29/09 0083823 BEST SIGNS INC 2,029.72 72484 OASIS SIGN REPLACEMENT ACCOUNT TOTAL 51,444.38 101-3005-451.56-55 Services & Supplies / Small Tools/Equip ACCOUNT TOTAL 101-3005-451.91-11 Reimbursed Gen Fund Exp / Personnel ACCOUNT TOTAL 101-3005-451.92-10 Other Charges / Park Equipment Maintenanc GM 00124 01/09 AJ 07/31/08 JE 01-013 PRK EQUIP REPL 08/09 BUDG 413,394.00 ACCOUNT TOTAL 413,394.00 101-3005-451.92-11 Other Charges / Fleet Maint Program Chrgs ACCOUNT TOTAL 101-3006-451.10-01 Salaries & Wages / Permanent Full Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,990.92 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 2,034.50 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 2,034.50 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 2,034.49 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 2,034.47 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 2,034.49 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 2,034.50 PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY 3,299.65 1,194.54 _ 51,444.38 .00 .00 .00 .00 .00 413,394.00 .00 .00 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.10-01 Salaries & Wages / Permanent Full Time ACCOUNT TOTAL 17,497.52 11194.54 16,302.98. 101-3006-451.10-03 Salaries & Wages / Salaries - Part Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 273.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 136.54 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 276.50 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 423.75 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 523.25 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 467.75 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 596.50 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 612.50 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 548.50 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 635.50 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY .618.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 631.50 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 610.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 653.50 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 545.00 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 658.50 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 687.50 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 743.00 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 320.00 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 22.75 ACCOUNT TOTAL 9,847.00 136.54 9,710.46 101-3006-451.20-01 Employee Benefits / PERS-City Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 250.28 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.17 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 255.76 PR 00240- 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 255.76 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 255.76 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 255.75 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 255.76 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 255.76 PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY 230.18 ACCOUNT TOTAL 2,015.01 150.17 1,864.84 101-3006-451.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 159.27 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 95.56 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 162.76 PR.00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 162.76 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 162.76 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 781 PROGRAM GM362LA CITY OF IA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P.T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.20-02 Employee Benefits / PERS-Employee Portion PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY ACCOUNT TOTAL 101-3006-451.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-3006-451.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY GM 00853 04/09 AJ 10/04/08 AJE 04-011 TERM EMP MED INS 11/08 PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY ACCOUNT TOTAL 101-3006-451.21-02 Insurance Benefits / Vision Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY GM 00853 04/09 AJ 10/04/08 AJE 04-011 TERM EMP MED INS 11/08 PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY ACCOUNT TOTAL 101-3006-451.21-03 Insurance Benefits / Dental Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 162.76 162.76 162.76 146.48 1,282.31 229.30 229.30 229.30 229.30 229.30 229.30 229.30 458.60 229.30 2,293.00 4.55 4.55 4.55 •- 4.55 4.55 4.55 4.55 9.10 4.55 45.50 19.85 19.85 19.85 19.85 95.56 137.58 137.58 2.73 2.73 1,186.75 .00 .00 .00 2,155.42 :00 42.77 .00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEk AGfIVITY LISTING PAGE 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 ------------------------------------- ----------------------------------------------------------------------------------------------- 101-3006-451.21-03 PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ GM 00853 04/09 AJ PR 00788 04/09 AJ 101-3006-451.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ GM 00853 04/09 AJ PR 00788 04/09 AJ 101-3006-451.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 .AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ 101-3006-451.25-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ Insurance Benefits / 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/04/08 AJE 04-011 10/10/08 PR1010 ACCOUNT TOTAL Insurance Benefits / 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/04/08 AJE 04-011 10/10/08 PR1010 ACCOUNT TOTAL Insurance Benefits / 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/10/08 PR1010 ACCOUNT TOTAL Dental Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY TERM EMP MED INS 11/08 PAYROLL SUMMARY Life Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY TERM EMP MED INS 11/08 PAYROLL SUMMARY Long Term Disability PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY Workers Comp Insurance 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0B22 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/10/08 PR1010 10/17/08 PR1017 / Workers Comp Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 19.85 19.85 19.85 39.70 19.85 198.50 3.20 3.20 3.20 3.20 3.20 3.20 3.20 6.40 3.20 32.00 21.97 21.97 21.97 21.97 21.97 21.97 21.97 21.97 175.76 66.79 68.17 72.52 75.45 73.82 77.62 78.08 97.34 16.18 11.91 1.92 1.92 13.18 13.18 39.27 186.59 .00 30.08 .00 162.58 .00 PREPAREu ua/12/2010, 9:26:27 GENERAL LEDGEK AVTIVITY LISTING PAGE 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 101-3006-451.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 18.75 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 18.23 PR 01065 05/09 AJ 11/26/08 PR1.126 PAYROLL SUMMARY 18.63 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 18.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 19.28 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 16.08 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 19.42 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 20.28 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 21.91 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 9.44 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY .67 GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 110.51 ACCOUNT TOTAL 806.66 149.78 656.88 101-3006-451.27-03 Other Benefits & Deduc. / Social Security-Medicare .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 32.83 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 19.30 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 33.51 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 35:65 PR O0323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 37.08 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 36.29 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 38.15 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 38.38 PR 00788 04/09 AJ 10/10/08 PR1010 PAYROLL SUMMARY 47.84 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 7.95 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 9.21 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 8.96 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 9.16 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 8.84 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 9.48 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 7.90 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 9.55 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 9.97 PR 01791 .08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 10.77 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 4.64 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY .33 ACCOUNT TOTAL 396.49 19.30 377.19 . 101-3006-451.27-05 Other Benefits & Deduc. / Social Security-FICA .00 PR 00035 01/09 AJ.07/11/08 PR0711 PAYROLL SUMMARY 16.93 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 8.47 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 17.14 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 26.28 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 32.44 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 29.01 PREPARE6 -/12/2010, 9:26:27 ACCOUNT TOTAL GENERAL LEDGER mtTIVITY LISTING rAWE 784 PROGRAM GM362LA Services / Museum Consultant GM 00256 02/09 AP CITY OF LA GUINTA, CALIFORNIA 0079260 NEELEY, LOUISE 726.00 ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund CONSULTANT GM BEGINNING GROUP ACCTG ----TRANSACTION---- 0079868 NEELEY, LOUISE 165.00 /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-3006-451.27-05 Other Benefits 8 Deduc. / Social Security -FICA 165.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 36.98 01460 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 37.98 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 34.01 AP PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 39.40 020609 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 38.32 0083387 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 39.15 MGMT/OPERATION PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 37.82 28,000.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 40.52 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 33.79 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 40.83 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 42.62 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 46.07 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 19.84 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 1.41 101-3006-451.32-20 Contract Services / Educational Programs GM 01715 08/09 AP 02/04/09 0081602 MARTINEZ, SHERRY 85.47 REIMB • CONTEST/MUSEUM STOOL ACCOUNT TOTAL 85.47 101-3006-451.32-25 Contract Services / Traveling Exhibits GM 00244 02/09- AP 07/29/08 0079173 NATIONAL GEOGRAPHIC SOCIE 6,000.00 072908 EXHIBIT RENTAL FEES GM 00667 04/09 AP 09/28/08 0080130 TIBBITS, TIMOTHY 1,220.00 MUSEUM INSTALLATION 8.47 602.07 00 94,774.00 .00 85.47 .00 ACCOUNT TOTAL 610.54 " 101-3006-451.32-15 Contract Services / Museum Consultant GM 00256 02/09 AP 07/31/08 0079260 NEELEY, LOUISE 726.00 073108 CONSULTANT GM 00534 03/09 AP 09/18/08 0079868 NEELEY, LOUISE 165.00 091808 CONSULTANT GM 00779 04/09 AP 10/09/08 0080.095 NEELEY, LOUISE 165.00 100908 CONSULTANT SVC SEP108 GM 01460 07/09 AP 12/21/08 0081241 TAIKO CENTER OF LOS ANGEL 500.00 122108 CONSULTANTS -1ST FRI GM 01685 ,08/09 AP 01/28/09 0081512 WILSON, KAREN 500.00 020609 PERFORMANCE a MUSEUM GM 02829 12/09 AP•06/22/09 0083387 COUNTY OF RIVERSIDE EXECU 64,718.00 2/20-6/30 MGMT/OPERATION GM 02829 12/09 AP 06/22/09 0083387 COUNTY OF RIVERSIDE EXECU 28,000.00 10/13-2/13 MGMT SVC ACCOUNT TOTAL 94,774.00 101-3006-451.32-20 Contract Services / Educational Programs GM 01715 08/09 AP 02/04/09 0081602 MARTINEZ, SHERRY 85.47 REIMB • CONTEST/MUSEUM STOOL ACCOUNT TOTAL 85.47 101-3006-451.32-25 Contract Services / Traveling Exhibits GM 00244 02/09- AP 07/29/08 0079173 NATIONAL GEOGRAPHIC SOCIE 6,000.00 072908 EXHIBIT RENTAL FEES GM 00667 04/09 AP 09/28/08 0080130 TIBBITS, TIMOTHY 1,220.00 MUSEUM INSTALLATION 8.47 602.07 00 94,774.00 .00 85.47 .00 PREPARED ua/12/2010,• 9:26:27 GENERAL LEDGE'K AurIVITY LISTING PAGE 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 ----------------------------------------------------------- ------------------------- 101-3006-451.32-25 Contract Services / Traveling Exhibits ACCOUNT TOTAL 7,220.00 7,220.00 101-3006-451.32-35 Contract Services / Hist Society Historian .00 GM 01040 05/09 AP 11/17/08 0080670 NEELEY, LOUISE 165.00 OCT108 LABOR -10 HOURS GM 01152 06/09 AP 12/02/08 0080843 NEELEY, LOUISE 165.00. N0V'08 CONSULTING SVC GN -01526 07/09 AP 01/09/09 0081406 NEELEY, LOUISE 660.00 DEC'OS CONSULTING SVC GM 01832 08/09 AP•02/18/09 0081820 NEELEY, LOUISE 264.00 JAN'09 MUSEUM GM 01873 09/09 AP 02/25/09 0082010 NEELEY, LOUISE 1,683.00 FEB109 CONSUTING SVC ACCOUNT TOTAL 2,937.00 2,937.00 101-3006-451.34-04 Contract Services / Technical .00 GM 00369 03/09 AP 08/15/08 0079662 VINTAGE ASSOCIATES 500.00 SI -65201 LANDSCAPE SVC GM 00599 04/09 AP 09/15/08 0080139 VINTAGE ASSOCIATES 500.00 SI -65569 PARK MAINT. GM 00885 04/09 AP 10/15/08 0080324 VINTAGE ASSOCIATES 500.00 SI -66180 MO PARK MAINT GM 01067 05/09 AP 10/31/08 0080719 VINTAGE ASSOCIATES 500.00 SI -67655 PARKS MONTHLY GM.01347 06/09 AP 12/15/08 0081127 VINTAGE ASSOCIATES 500.00 SI -68968 MONTHLY PARKS GM 01575 07/09 AP 01/15/09 0081458 VINTAGE ASSOCIATES 500.00 SI -69615 MONTHLY PK MAINT GM 01873 09/09 AP 02/15/09 0082061 VINTAGE ASSOCIATES 500.00 SI -70614 PARK MAINT GM 02081 09/09 AP 03/15/09 0082329 VINTAGE ASSOCIATES 500.00 SI -71351 PARK LNDSCP SVC GM 02810 12/09 AP 04/15/09 0083343 VINTAGE ASSOCIATES 500.00 SI -72793 APR109 PARK MAINT GM 02810 12/09 AP 05/15/09 0083343 VINTAGE ASSOCIATES 500.00 SI -73646 MAY109 PARK MAINT GM 02875 12/09 AP 06/15/09 0083697 VINTAGE ASSOCIATES 500.00 SI=74393 JUN109 PARKS MAINT ACCOUNT TOTAL 50500.00 51500.00 101-3006-451.41-01 Utilities / Electric -Inside .00 GM 00325 02/09 AP 07/21/08 0079341 IMPERIAL IRRIGATION DIST 2,267.32 VARIOUS ELECTRIC SVC PREPAREL 12/2010, 9:26:27 GENERAL LEDGEk m6 IVITY LISTING PAGE. 786 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.41-01 Utilities / Electric GM 00363 02/09 AP 08/28/08 0079515 VARIOUS GM 00636 04/09 AP 10/01/08 0079950 94686386 GM 00924 04/09 AP 10/21/08 0080338 114731241 GM 01153 06/09 AP 11/25/08 0080747 50422540 1 GM 01443 07/09 AP 12/29/08 0081145 VARIOUS GM 01685 08/09 AP 01/22/09 0081495 50422540 GM 01905 09/09 AP 03/04/09 0081906 50422540 GM 02128 10/09 AP 04/01/09 0082353 VARIOUS GM '02434 11/09 AP 04/30/09 0082749 VARIOUS GM 02650 12/09 AP 05/20/09 0083135 50422540 GM 02586 11/09 AJ 05/31/09 AJE 11-030 GM 02886 12/09 AP 06/21/09 0083606 50422540 ACCOUNT TOTAL 101-3006-451.41-13 Utilities / Gas ACCOUNT TOTAL 101-3006-451.41-16 Utilities / Water GM 00081 01/09 AP 07/01/08 0078924 VARIOUS GM 00103 01/09 AP 07/01/08 0079079 18247 GM 00322 02/09 AP 08/01/08 0079463 18882 GM 00325 02/09. AP 08/01/08 0079337 VARIOUS GM 00363 02/09 AP 08/01/08 0079508 060601456104 GM 00519 03/09 AP 09/01/08 0079886 19534 GM 00532 03/09 AP 09/01/08 0079697 VARIOUS GM 00532 03/09 AP 09/01/08 0079697 060601456104 -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 ELECTRIC -MUSEUM IMPERIAL IRRIGATION DIST ELECTRIC SVC IMPERIAL IRRIGATION DIST ELECTRIC SVC IMPERIAL IRRIGATION DIST ELECTRIC SVC IMPERIAL IRRIGATION DIST ELECTRIC SVC RECLASS TO LIBRARY IMPERIAL IRRIGATION DIST ELECTRIC SVC •• -Inside COACHELLA VALLEY WATER DI WATER SVC -MUSEUM PRISTINE POOLS SERVICE & POOL SERVICE -MUSEUM PRISTINE•POOLS SERVICE & POOL SERVICE COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC PRISTINE POOLS SERVICE & POOL SERVICE COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC 2,119.05 1,928.42 1,684.84 1,663.66 1,197.67 1,409.48 1,155.31 996.45 1,007.04 1,197.67 1,600.00 1,367.12. 19,594.03 107.57 105.00 155.00 105.65 20.16 105.00 103.77 7.00 19,594.03 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.41-16 Utilities / Water GM 00743 04/09 AP 10/01/08 0080105 20171 GM 01033 05/09 AP 10/12/08 0080524 VARIOUS GM 00845 04/09 AP 10/21/08 0080189 VARIOUS GM 00972 05/09 AP 11/01/08 0080474 20818 GM 01262 06/09 AP 12/01/08 0081083 21475 GM 01263 06/09 AP 12/15/08 0080917 VARIOUS GM 01526 07/09 AP 01%01/09 0081415 22090 GM 01532 07/09 APf01/20/09 0081292 VARIOUS GM 01768 08/09 AP 02/01/09 0081831 22632 GM 01793 •08/09 AP 02/01/09 0081706 060601456104 GM 01973 09/09 AP 02/11/09 0082080 VARIOUS GM 01979 09/09 AP 03/01/09 0082271 23296 GM 02227 10/09 AP 04/01/09 0082478 23872 GM 02264 10/09 AP 04/10/09 0082517 VARIOUS GM 02446 11/09 AP 05/01/09 0082868 24477 GM 02551 11/09 AP 05/04/09 0082951 060601456104 GM 02467 11/09 AP 05/12/09 0082926 VARIOUS GM 02790 12/09 AP 06/01/09 0083483 25078 GM 02739 12/09 AP 06/02/09 0083285 060601456104 GM 02739 12/09 AP 06/11/09 0083285 VARIOUS GM 02886 12/09 AP 06/30/09 0083600 VARIOUS GM 02886 12/09 AP 06/30/09 0083600 060601456104 -Inside PRISTINE POOLS SERVICE & MUSEUM SVC COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC PRISTINE POOLS SERVICE & MUSEUM FOUNTAIN PRISTINE POOLS SERVICE & MUSEUM FOUNTAIN COACHELLA VALLEY WATER DI WATER SVC PRISTINE POOLS SERVICE & MUSEUM FOUNTAINS COACHELLA VALLEY WATER DI WATER SVC PRISTINE POOLS SERVICE & MUSEUM FOUNTAIN COACHELLA VALLEY WATER DI MUSEUM WATER SVC COACHELLA VALLEY WATER DI WATER -MUSEUM PRISTINE POOLS SERVICE & MUSEUM PRISTINE POOLS SERVICE & FOUNTAIN COACHELLA VALLEY WATER DI WATER SVC PRISTINE POOLS SERVICE & MUSEUM FOUNTAINS COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC -MUSEUM PRISTINE POOLS SERVICE & JUN109 MUSEUM FOUTAINS COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC COACHELLA VALLEY WATER DI WATER SVC -MUSEUM ACCOUNT TOTAL 105.00 136.15 130.51 105.00 105.00 149.31 105.00 125.81 105.00 14.52 94.79 105.00 105.00 108.89 105.00 7.00 106.59 105.00 7.00 114.11 124.45 7.00 2,780.28 2,780.28 101-3006-451.41-22 Utilities / Telephone .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk ACTIVITY LISTING PAGE 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 101-3006-451.41-22 Utilities / Telephone GM 00188 01/09 AP 07/01/08 0079157 TELEPACIFIC COMMUNICATION 38.41 8203372-0 PHONE SVC -MUSEUM GM 00325 02/09 AP 07/23/08 0079349 TELEPACIFIC COMMUNICATION 38.42 8724741-0 PHONE SVC -MUSEUM ALARM GM 01153" 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 38.42 9456510-0 MUSEUM ALARM GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 38.42 8886344-0 PHONE SVC -MUSEUM GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 38.42 10075744-0 •MUSEUM ALARM GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 38.42 28626 MUSEUM ALARM GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 42.64 11076529-0 MUSEUM ALARM GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 42.49 ' 11379124-0 MUSEUM ALARM GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 42.49 11807255-0 MUSEUM GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 42.49 12350308-0 MUSEUM ALARM GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 42.63 12778129-0 MUSEUM ALARM GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 42.63 13361992-0 MUSEUM ALARM GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 42.09 13946747-0 MUSEUM ALARM ACCOUNT TOTAL 527.97 527.97 101-3006-451.41-30 Utilities /, Security and Alarm .00 GM 00006 01/09 AP 07/01/08 0078763 ADT SECURITY SERVICES 181.51 73498109 MUSEUM SECURITY GM 01038 05/09 AP 07/05/08 0080571 ADT SECURITY SERVICES 181.51 75244597 MUSEUM SECURITY GM 00406 03/09 AP 08/09/08 0079565 ADT SECURITY SERVICES 112.66 77091359 ALARM-MUSEUM•STORAGE GM 01038 05/09 AP. 08/09/08 0080571 ADT SECURITY SERVICES 210.00 77091364 MUSEUM SECURITY GM 01685 08/09 AP 08/09/08 0081481 ADT SECURITY SERVICES 21.84 76483603 MUSEUM - AUG GM 01038 05/09 AP 09/06/08 0080571 ADT SECURITY SERVICES 210.00 78874284 MUSEUM SECURITY GM 01070 05/09 AP 09/06/08 0080559 ADT SECURITY SERVICES 134.58 78874279 SECURITY SVC GM 01685 08/09 AP 09/09/08 0081481 ADT SECURITY SERVICES 5.20 79054125 MUSEUM - SEPT GM 01038 05/09 AP 10/04/08 0080571 ADT SECURITY SERVICES 213.00 80602865 MUSEUM SECURITY PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE'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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.41-30 Utilities / Security and Alarm GM 01070 05/09 AP 11/08/08 0080559 ADT SECURITY SERVICES 82412104 SECURITY SVC GM 01685 08/09 AP 11/08/08 0081481 ADT SECURITY SERVICES 82412109 MUSEUM - DEC GM 01263 06/09 AP 1.2/06/08 0080912 ADT SECURITY SERVICES 84198218 MUSEUM STORAGE GM 01685 08/09 AP 12/06/08 0081481 ADT SECURITY SERVICES 84198223 MUSEUM - JAN GM 01685 08/09 AP 01/03/09 0081481 ADT SECURITY SERVICES 85907841 MUSEUM - FEB GM 01685 08/09 AP 01/15/09 0081481 ADT SECURITY SERVICES 86479914 MUSEUM CR GM 01793 08/09 AP 02/07/09 0081704 ADT SECURITY SERVICES 87727352 MUSEUM TRAILER GM 01973 09/09 AP 03/03/09 0082075 ADT SECURITY SERVICES 88890110 MUSEUM YEARLY GM 01973 09/09 AP 03/04/09 0082075 ADT SECURITY SERVICES 88905417 SECURITY -MUSEUM GM 01985 09/09 AP 03/07/09 0082104 ADT SECURITY SERVICES 89506436 SECURITY -MUSEUM GM 02264 10/09 AP 04/04/09 0082515 ADT SECURITY SERVICES 91259604 SECURITY -MUSEUM GM 02551 11/09 AP 05/09/09 0082949 ADT SECURITY SERVICES 93077310 SECURITY -MUSEUM GM 02551 11/09 AP 05/09/09 0082949 ADT SECURITY SERVICES' 93077333 MUSEUM STORAGE GM 02650 12/09 AP 05/27/09 0083126 ADT SECURITY SERVICES 94074828 MUSEUM 5/27-6/30 GM 02739 12/09 AP 06/06/09 0083282 ADT SECURITY SERVICES 94848188 JUL109 MUSEUM GM 02739 12/09 AP 06/06/09,0083282 ADT SECURITY SERVICES 94848170 JUL109 MUSEUM GM 02908 12/09 AJ 06/30/09 AJE 12-059 RECLASS ADT TO PREPAID GM 02908 12/09 AJ 06/30/09 AJE 12-059 RECLASS ADT TO PREPAID ACCOUNT TOTAL 101-3006-451.42-15 Contract Services / GM 00054 01/09 AP 07/01/08 0078963 12227 GM 00257 02/09 AP 08/01/08 0079188 12293 GM 00534 03/09 AP 09/01/08 0079742 12357 GM 00794 04/09 AP 10/01/08 0080206 12436 GM 01012 05/09 AP 11/01/08 0080381 12484 Janitorial ADVANCED, INC. JANITORIAL SERVICE ADVANCED, INC. JANITORIAL ADVANCED, INC. JANITORIAL SERVICES ADVANCED, INC. JANITORIAL ADVANCED, INC. JANITORIAL 112.66 213.00 134.58 213.00 213.00 112.66 857.66 49.07 46.00 46.00 46.00 112.66 31.50 140.00 73.00 3,671.09 1,383.60 1.,383.60 1,383.60 1,383.60 1,383.60 326.60 140.00 73.00 539.60 3,131.49 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING rAWt 790 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 Services / GM 01214 06/09. AP 12/01/08 0080776 12537 GM 01458 07/09 AP 01/01/09 0081167 12592 GM 01472 07/09 AP 01/01/09 0081256 12592 GM 01713 08/09 AP 02/01/09 0081514 12676 GM 01944 09/09 AP 03/01/09 0081928 12708 GM 02224 10/09 AP 04/01/09 0082399 12776 GM 02160 10/09 AP 04/02/09 0081167 12592 GM 02459 11/09 AP 05/01/09 0082765 12885 GM 02683 12/09 AP 06/01/09 0083157- 12954 08315712954 ACCOUNT TOTAL Janitorial' ADVANCED, INC. JANITORIAL SVC ADVANCED, INC. JANITORIAL ADVANCED, INC. JANITORIAL ADVANCED, INC. JANITORIAL SVC ADVANCED, INC. JANITORIAL SVC ADVANCED, INC. JANITORIAL SVC ADVANCED, INC. JANITORIAL ADVANCED INC JANITORIAL ADVANCED INC JUN109 JANITORIAL 101-3006-451.42-20.Contract Services / Pest Control GM 00309 02/09 AP 07/22/08 0079451 TRULY NOLEN INC 66867804 PEST CONTROL GM 00492 03/09 AP 09/02/08 0079873 TRULY NOLEN INC 66869578 PEST CONTROL GM 00667 04/09 AP 09/23/08 0080134 TRULY NOLEN BRANCH 066 66871448 MUSEUM GM 00885 04/09 AP 10/14/08 0080278 TRULY NOLEN INC 66873209 MUSEUM -PST CNTRL GM 01214 06/09 AP 11/07/08 0080875 TRULY NOLEN INC 66875098 PEST CNTRL-MUSEUM GM 01526 07/09 AP 01/07/09 0081450 TRULY NOLEN INC 66876842 MUSEUM GM 01526 07/09 AP 01/07/09 0081450 TRULY NOLEN INC 66878520 MUSEUM GM 01904 09/09 AP 02/06/09 0082056 TRULY NOLEN INC 66880114 PST CNTRL-MUSEUM GM 01977 09/09 AP 02/14/09 0082318 TRULY NOLEN INC 66881650 MUSEUM GM 02341 11/09 AP 04/02/09 0082906 TRULY NOLEN INC 66883166 PST CNTRL-MUSEUM GM 02581 11/09 AP 05/01/09 0083094 TRULY NOLEN INC 66884783 PST CNTRL-MUSEUM GM 02870 12/09 AP 06/02/09 0083692 TRULY NOLEN INC 66886506 PST CNTRL-MUSEUM 1,383.60 1,383.60 1,383.60 1,383.60 1,383.60 1,383.60 1,383.60 1,383.60 17,986.80 49.00 49.00 49.00 49.00 49.00 49.00 49.00 49.00 49.00 49.00 49.00 49.00 1,383.60 1,383.60 16,603.20 .00 ACCOUNT TOTAL . 588.00 588.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING rAGt 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 0 N DEBITS CREDITS BALANCE =---------- 101-3006-451.43-01 Other Services•/ Maintenance .00 GM 00269 02/09 AP 07/17/08 0079420 HENRY'S GLASS COMPANY 309.98 38295133138 MAINTENANCE GM 00937 05/09 AP 09/12/08 0080453 LOCK SHOP INC, THE 32.97 334282 MUSEUM KEYS GM 00636 04/09 AP 10/01/08 0079954 MACK, KIMBERLY 22.65 REIMB PERSONAL EXPENSES GM 01038 05/09 AP 10/03/08 0080623 GRAINGER 205.35 8748247807 DEHUMIDIFIER GM 00936 05/09 AP 10/07/08 0080491 STANLEY SECURITY SOLUTION .84.73 CA -627073 MUSEUM KEYS GM 01038 05/09 AP 10/13/08 0080656 LOCK SHOP INC, THE 19.69 629288 MUSEUM GM 01873 09/09 AP 01/09/09 0081996 LOCK SHOP INC, THE 192.48 341889 REPAIRS -GATE LATCH GM 01576 07/09 AP 01/13/09 0081385 LASALLE PAINTING, INC. 2,435.00 0079998 . MUSEUM EXHIBIT HALL GM 01985 09/09 AP 02/27/09 0082109 HOME DEPOT CREDIT SERVICE 139.91 2012431 MUSEUM KICK PLATES GM 02278 10/09 AP 04/17/09 0082690 THYSSENKRUPP ELEVATOR COR 512.50 1117040886' ELEVATOR a MUSEUM GM.02459 11/09 AP 04/22/09 0082793 COCKRELL ELECTRIC INC 160.00 31242 LIGHTING GM 02457 11/09 AP 04/28/09 0082827 HOME DEPOT CREDIT SERVICE .141.21 3024677 MUSEUM GM 02788 12/09 AP 06/02/09 0083381 COCKRELL ELECTRIC INC 170.00 31312 MUSEUM TRANFORMER CR 02844 12/09 CR 06/25/09 0018815 REIMBURSEMENT FOR ELECTRI 330.00 LWEST 06/25/09 01 ACCOUNT TOTAL 4,426.47 330.00' 4,096.47 101-3006-451.43-25 Other Services / Uninterrupted Power(UPS) .00 ACCOUNT TOTAL .00 101-3006-451.43-52 Other Services / HVAC .00 GM 00269 02/09 AP 07/16/08 0079423 HOARD INC, HUGH 197.00 53642 MAINTENANCE GM 00667 04/09 AP 08/27/08 0080065 HOARD INC, HUGH 246.25 53937 AC REPAIR -HIST SOC. GM 00936 05/09 AP 09/30/08 0080430 HOARD INC, HUGH 277.82 54150 A/C REPAIR GM 00936 05/09 AP 10/16/08 0080430 HOARD INC, HUGH 98.50 54271 A/C REPAIR -MUSEUM ACCOUNT TOTAL 819.57 819.57 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING VAUt 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.43-78 Other Services / Fire Extinguisher Service .,00 GM 02727 12/09 AP 05/08/09 0083397 DESERT FIRE EXTINGUISHER 123.13 689008 SVC a MUSEUM 101-3006-451.52-04 Insurance / Property ACCOUNT TOTAL 123.13 .00 337.17 .00 179.00 .00 132.21 .00 2,435.21 .00 .00 .00 .00 ACCOUNT TOTAL 123.13 101-3006-451.43-88 Other Services / Maint.-Other Equipment GM 00667 04/09 AP 09/09/08 0080084 LOCK SHOP INC, THE- 131.82 334057 ELECT RM / IID GM 01873 09/09 AP 09/24/08 0081972 GRAINGER 205.35 9740339602 DEHUMIDIFIER ACCOUNT TOTAL 337.17 101-3006-451.51-01 Services K Supplies / Travel & Training GM 00269 02/09 AP 07/28/08 0079473 •ROCKHURST UNIVERSITY 179.00 400968583-001 TRAINING ACCOUNT TOTAL 179.00 101-3006-451.51-03 Services & Supplies / Mileage Reimbursement GM .00213 02/09 AP 08/01/08 0079254 MACK, KIMBERLY 132.21 072908 TRAINING ACCOUNT TOTAL 132.21 101-3006-451.51-31 Services & Supplies / Postage.. GM 00263 02/09 AP 08/12/08 0079325 ROCK -IT -CARGO 1,178.75 081208 SHIPPING FOR EXHIBIT GM 00267 02/09 AP 08/12/08 0079445 MACK, KIMBERLY 8.40 081208 SUPPLIES GM 01576 07/09 AP 01/08/09 0081430' ROCK -IT CARGO USA, LLC.' 1,124.00 1 MUSEUM EXH SHIPPING GM 02810 12/09 AP 06/23/09 0083309 CITY OF LA QUINTA PETTY C 124.06 REIMB PETTY CASH REIMB ACCOUNT TOTAL 2,435.21 101-3006-451.52-01 Insurance / Liability/SIR ACCOUNT TOTAL 101-3006-451.52-04 Insurance / Property ACCOUNT TOTAL 123.13 .00 337.17 .00 179.00 .00 132.21 .00 2,435.21 .00 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk HL.iIVITY LISTING NAGE 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 ----------- --- 101-3006-451.52-13 Insurance / Earthquake/Flood .00 GM 01839 08/09 AP 02/24/09 0081875 HAYWARD TILTON & ROLAPP I 91550.00 - VARIOUS POLICY RENEWAL ACCOUNT TOTAL 91550.00 91550.00 101-3006-451.53-01 Services & Supplies /Printing .00 GM _00369 03/09 AP 08/04/08 0079626 OCB REPROGRAPHICS 60.40 437766885-001 SUPPLIES -BUSINESS CARDS GM 00493 03/09 AP 09/03/08 0079.811 EVERYTHING UNDER THE SUN 90.51 11594 PROMO POSTER PRINTING GM 00588 03/09 AP 09/09/08 0079874 OCB REPROGRAPHICS 60.40 437766885-001 CREDIT GM 00529 03/09 AP 09/12/08 0079875 OFFICE DEPOT 60.40 437766885-001 BUSINESS CARDS GM 00936 05/09 AP 10/27/08 0080442 KINER COMMUNICATIONS 145.46 32201 MUSEUM POST CARD GM 01150 06/09 AP 11/03/08 0080847 OFFICE DEPOT 60.40 448839219001 BUSINESS CRD-MARTINEZ ACCOUNT TOTAL 417.17 60.40 356.77 101-3006-451.53-03 Services & Supplies / Membership Dues .00 GM 00886 04/09 AP 10/01/08 0080209 AMERICAN'ASSOCIATION FOR 100.00 66890 MEMBERSHIP DUES GM 01214 06/09 AP 12/04/08 0080841 MUSEUM STORE ASSOCIATION 185.00 40016 ANNUAL DUES ACCOUNT TOTAL 285.00 285.00 101-3006-451.53-04 Services & Supplies / Subscriptions/Publication .00 ACCOUNT TOTAL .00 101-3006-451.54-01 Services & Supplies / Information Tech Charges .00 GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 41189.00 ACCOUNT TOTAL 41189.00 41189.00 101-3006-451.55-01 Advertising/Promo / Advertising .00 GM 00976 05/09 AP 11/06/08 0080375 WELLS FARGO BUSINESS CARD 789.12' 7029 VISA CARD PYMT ACCOUNT TOTAL 789.12 789.12 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AvrIVITY LISTING PAGE 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 101-3006-451.56-01 Services & Supplies / Office Supplies .00 GM 00972 05/09 AP 05/16/08 0080492 STAPLES BUSINESS ADVANTAG 76.11 3102886031 MUSEUM SUPPLIES GM 00972 05/09 AP 05/16/08 0080492 STAPLES BUSINESS ADVANTAG 258.59 •3102886032 MUSEUM SUPPLIES GM 00054 01/09 AP•07/03/08 0079109 STAPLES BUSINESS ADVANTAG 200.29 3104904160 SUPPLIES GM 00213 02/09 AP 08/01/08 0079288 STAPLES BUSINESS ADVANTAG 158.82 3105640053 OFFICE SUPPLIES GM 00369 03/09 AP 08/06/08 0079645 STAPLES BUSINESS ADVANTAG 177.78 3106686033 SUPPLIES GM 00433 03/09 AP 08/06/08 0079597 GAYLORDIROS. INC. 129.24 1200044 ARCHIVAL SUPPLIES GM 00936 05/09 AP 08/06/08 0080492 STAPLES BUSINESS ADVANTAG 97.60 3106686032 MUSEUM SUPPLIES GM 00433 03/09 AP 08/14/08 0079645 STAPLES BUSINESS ADVANTAG 161.18 3106932923 SUPPLIES GM 00493 03/09 AP 08/27/08 0079909 STAPLES BUSINESS ADVANTAG 375.15 3107459411 OFFICE SUPPLIES GM 00406 03/09 AP 08/28/08 0079619 MACK,• KIMBERLY 53.62 082808 REIMB-SUPPLIES GM 00535 03/09 AP 09/08/08 0079918 ULINE 159.29 24641420 SUPPLIES GM 00743 04/09 AP 09/25/08 0080124 STAPLES BUSINESS ADVANTAG 96.95 3108804584 OFFICE SUPPLIES GM 00636 04/09 AP 10/01/08 0079954 MACK,. KIMBERLY 20.72 REIMB PERSONAL EXPENSES GM 00720 04/09 AP 10/03/08 0079973 BOARD OF EQUALIZATION 10.00 97-829622 3RD QTR SALES TX GM 00936 05/09 AP 10/23/08 0080492 STAPLES BUSINESS ADVANTAG 23.17 3110250653 MUSEUM SUPPLIES GM 00936 05/09 AP 10/24/08 0080492 STAPLES BUSINESS ADVANTAG 97.10 3110268953 MUSEUM SUPPLIES' GM 02457 11/09 AP 04/25/09 0082847 LOWE'S HOME IMPROVEMENT W 20.95 907232 LIGHT BULBS-MUSEUM GM 02893 12/09 AP 06/25/09 0083661 LOWE'S HOME IMPROVEMENT W 79.27 925583 MUSEUM SUPPLIES ACCOUNT TOTAL 2,195.83 2,195.83 101-3006-451.56-02 Services & Supplies / Operating Supplies .00 GM 00529 03/09 AP 07/01/08 0079843 KC STORE FIXTURES 196.37 3593250-001 SUPPLIES GM 00130 01/09 AP 07/14/08 0079020 GAYLORD BROS. INC. 317.98' 1190264 SUPPLIES GM•00215 02/09 AP 07/25/08 0079229, GAYLORD BROS. INC. 14.36 1195621 ARCHIVAL SUPPLIES GM 00256 02/09 AP 07/30/08 0079229 GAYLORD BROS. INC. 334.56 1197394 ARCHIVE SUPPLIES PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AUrIVITY LISTING PAGE 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 101-3006-451.56-02 Services & Supplies / Operating Supplies GM 00213 02/09 AP 08/01/08 0079229 GAYLORD BROS.. INC. 481.95 1193981 OPERATING SUPPLIES GM 00213 02/09 AP 08/01/08 0079229 GAYLORD BROS. INC. 434.46 1192459 OPERATING SUPPLIES GM 00325 02/09 AP 08/01/08 0079355 WELLS FARGO BUSINESS CARD 81.15 0028 7029 SUPPLIES' GM 00528 03/09 AP 08/08/08 0079818 GAYLORD BROS. INC. 344.08 1201666 SHELVING GM 00433 03/09 AP 08/14/08 0079623 MUSEUM PRODUCTS 148.75 090208 OPERATING SUPPLIES GM 00493 03/09 AP'08/29/08 0079924 VINTAGE ASSOCIATES 1,204.00 SI -65458 MUSEUM TREE REPLACEMENT GM 00528 03/09 AP 09/04/08 0079818 GAYLORD BROS. INC. 301.75 1210985 SUPPLIES GM 00885 04/09 AP 09/05/08 0080205 ACE HARDWARE' 22.06 100670 OPERATING SUPPLIES GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 122.00 97-829622 AUGUST SALES TAX GM 00534 03/09 AP 09/11/08 0079818 GAYLORD BROS. INC. 175.50 1213885 SUPPLIES GM 00599 04/09 AP 09/12/08 0080058 GAYLORD BROS. INC. 356.57 1214286 ARCHIVAL MATERIALS GM 00599 04/09 AP 09/15/08 0080058 GAYLORD BROS. INC. 334.98 1215091 ARCHIVAL MATERIALS GM 00599 04/09 AP 09/16/08 0080058 GAYLORD BROS. INC. 320.09 1216031 ARCHIVAL MATERIALS GM 00599 04/09 AP 09/17/08 0080058 GAYLORD BROS. INC. 900.00 1216260 ARCHIVE - MATERIAL GM 00529 03/09 AP 09/18/08 0079859 MACK,• KIMBERLY 55.96 091808 SUPPLIES GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 43.01 966349 MUSEUM GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 92.54 960973 MUSEUM OPERATING GM 01190 06/09 AP 09/25/08 0080832 LOWE'S HOME IMPROVEMENT W 58.12 960137 MUSEUM OPERATING GM 00743 04/09 AP 09/30/08 0080058 GAYLORD BROS. INC. 89.64 1221650 ARCHIVAL MATERIALS GM 00636 04/09 AP 10/01/08 0079954 MACK, KIMBERLY 45.85 REIMB PERSONAL EXPENSES GM 00720 04/09 AP 10/03/08 0079973 BOARD OF EQUALIZATION 61.00 97-829622 3RD QTR SALES TX GM 00720 04/09 AP 10/08/08 0079975 CASH/PETTY CASH 82.34 100808 REPLENISH CASH GM 01061 05/09 AP 10/15/08 0080569 ACE HARDWARE 28.49 101025 MUSEUM SUPPLIES GM 01.020 05/09 AP 11/05/08 0080393 BOARD OF EQUALIZATION 152.00 97-829622 OCT108 SALES TAX GM 01150 06/09 AP 11/16/08 0080880 WAL MART COMMUNITY 117.48 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk mtrIVITY LISTING rAWE 796 PROGRAM GM362LA MO -200600 TELEPHONE & FAX LINE GM 00244 02/09 AP CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA ART WORKS GALLERY & FRAMI 14578 ' FUND 101 General Fund 11/12/08 0080792 BEGINNING GROUP ACCTG ----TRANSACTION---- MUSEUM SOFTWARE /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 007871 NOV'MUSEUM EVENT GM 01150 06/09 AP 11/21/08 0080866 STAPLES BUSINESS ADVANTAG 419.96 3111626804 MUSEUM SAFE GM 01261 06/09 AP 11/30/08 0081104 SMART & FINAL 143.06 3583410146154 MUSEUM- FRI EVENT GM 02227 10/09 AP 12/05/08 0082459 LOCK SHOP INC, THE 4.31 630968 FLAG POLE GN 01460 07/09 AP 12/12/08 0081249 WALK PUBLISHING, LLC 89.85 120 BOOKS FOR GIFT SHOP GM 01460 07/09 AP 12/25/08 0081212 LOWE'S HOME IMPROVEMENT W 125.33 966495 MUSEUM GM 01460 07/09 AP 12/25/08 0081212 LOWE'S HOME IMPROVEMENT W' 23.13 913026 MUSEUM -FRAME GM 01531 07/09 AP 01/15/09 0081439 STAPLES BUSINESS ADVANTAG 691.70 3113940265 OPERATING SUPPLIES GM 01576 07/09 AP 01/18/09 0081393 MARTINEZ, SHERRY 104.86 REIMB MUSEUM EXHIBIT MTRL GM 01607 08/09 AP 01/20/09 0081636 STAPLES BUSINESS ADVANTAG 307.08 3114215087 MUSEUM OPERATING GM 01761 08/09 AP 02/11/09 0081808 MARTINEZ, SHERRY 53.12 REIMB MUSEUM LIGHTING GM 01880 09/09 AP 02/16/09 0082063 WAL MART COMMUNITY 177.62 007070 IST FRIDAY SUPPLIES GM 02128 10/09 AP 03/25/09 0082355 LOWE'S HOME IMPROVEMENT W 10.68 • 960885 MUSEUM GM 02810 12/09 AP 06/23/09 0083309 CITY OF LA QUINTA PETTY C 66.47 REIMB PETTY CASH REIMB ACCOUNT TOTAL 101-3006-451.56-25 Services & Supplies / Software GM 00232 02/09 AP 07/21/08 0079237 INTELESYS ONE, INC. MO -200600 TELEPHONE & FAX LINE GM 00244 02/09 AP 07/30/08 0079164 ART WORKS GALLERY & FRAMI 14578 ' SMALL TOOLS SUPPLIES -FRAMING PRODUCT GM 01150 06/09 AP 11/12/08 0080792 COW GOVERNMENT INC 1200491 MJZ4980 SMALL TOOLS MUSEUM SOFTWARE ACCOUNT TOTAL 101-3006-451.56-55 Services & Supplies / Small Tools/Equip GM 00269 02/09 AP 07/16/08 0079425 HOME DEPOT CREDIT SERVICE 3110106 SUPPLIES GM 00213 02/09 AP 08/01/08 0079242 KC STORE FIXTURES 3625450-000 SMALL TOOLS GM 00369 03/09 AP 08/06/08 0079597 GAYLORD BROS. INC. 1200491 SMALL TOOLS 9,134.21 581.56 167.41 1,504.92 2,253.89 55.90 30.46 321.30 9,134.21 .00 2,253.89 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 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 101-3006-451.56-55 Services & Supplies / Small Tools/Equip GM 00267 02/09 AP 08/12/08 0079445 MACK, KIMBERLY 179.68 081208 SUPPLIES GM 00588 03/09 AP 08/13/08 0079858 LOWE'S HOME IMPROVEMENT W 45.27 960645 TOOLS GM 00369 03/09 AP 08/14/08 0079597 GAYLORD BROS. INC. 160.65 1203869 SMALL TOOLS GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 2.00 97-829622 AUGUST SALES TAX GM 00529 03/09 AP 09/18/08 0079859 MACK, KIMBERLY 22.06 091808 SUPPLIES GM 00875 04/09 AP 09/28/08 0080255 HOME DEPOT CREDIT SERVICE 26.84 9110682 SML TOOLS GM 00720 04/09 AP 10/03/08 0079973 BOARD OF EQUALIZATION `37.00 97-829622 3RD QTR SALES TX ACCOUNT TOTAL 881.16 881.16• 101-3006-451.71-01 Capital Purchases / Machinery & Equipment .00 GM 00256 02/09 AP 07/01/08 0079242 KC STORE FIXTURES 312.80 3601680-000 FURNITURE CASE GM 00495 03/09 AP 09/11/08 0079665 BOARD OF EQUALIZATION 4.00 97-829622 AUGUST SALES TAX GM 01067 05/09 AP 11/10/08 0080792 COW GOVERNMENT INC •516.48 MJR0965 PRINTER - MUSEUM GM 01458 07/09 AP 12/17/08 0081216 MUSICIAN'S FRIEND 359.98 P601495201047c PA FOR MUSEUM GM 01458 07/09 AP 12/17/08 0081216 MUSICIAN'S FRIEND 141.42 P601495201039J PA FOR MUSEUM GM 01458 07/09 AP 12/17/08 0081216 MUSICIAN'S FRIEND 219.98 P601495201021= PA FOR MUSEUM GM 01458 07/09 AP 12/17/08 0081216 MUSICIAN'S FRIEND 175.95 P601495201013K PA FOR MUSEUM GM 02551 11/09 AP 01/09/09 0082962 MUSICIAN'S FRIEND 219.98 P601495201054 PA SPEAKER a MUSEUM GM 01770 08/09 AP 01/30/09 0081734 BEST SIGNS INC 1,522.67 71439 MUSEUM SIGN GM 02638 12/09 AP 05/22/09 0083162 BEST SIGNS INC 419.78 72224 MUSEUM SIGNAGE GM 02638 12/09 AP 05/22/09 0083162 BEST SIGNS INC 1,259.33 72223 MUSEUM PLAQUES' ACCOUNT TOTAL 5,152.37 5,152.37 101-3006-451.71-02 Capital Purchases / Furniture GM 00213 02/09 AP 08/01/08 0079195 BLINDS ETC. 20401 MUSEUM FURNITURE DEPOSIT GM 00213 02/09 AP 08/01/08 0079251 LAWRENCE METAL PRODUCTS, 1,662.50 1,846.76 .00 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 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 101-3006-451.71-02 Capital Purchases / Furniture 160205 MUSEUM EQUIPMENT GM 00493 03/09 AP 09/10/08 0079756 BLINDS ETC. 1,662.50 20401 BLINDS GM 00720 04/09 AP 10/03/08 0079973 BOARD OF EQUALIZATION 27.00 97-829622 3RD QTR SALES TX, GM 00885 04/09 AP 10/03/08 0080248 GAYLORD BROS. INC. 668.41 1223075 FURNISHINGS GM 01020 05/09 AP 10/24/08 0080392 BLINDS ETC. 1,328.88 20446 MUSEUM BLINDS GM 01190 06/09 AP 12/04/08 0080781 BOARD OF EQUALIZATION 39.00 97-829622 NOV108 SALES TAX GM 01685 08/09 AP 02/04/09 0081487 CASH/PETTY CASH 40.41 REIMB PETTY CASH GM 01979 09/09 AP 02/11/09 0082218 GAYLORD BROS. INC. 163.26 1265987 MUSEUM , GM 01979 09/09 AP 02/12/09 0082218 GAYLORD BROS. INC. 343.71 1266389 CART GM 01873 09/09 AP 02/13/09 0081970 GAYLORD BROS. INC. 897.34- 1266849 MUSEUM LECTERN GM 01944 09/09 AP 03/05/09 0081935 BOARD OF EQUALIZATION 70.00 97-829622 FEB109 SALES TAX GM 02052 09/09 AP 03/11/09 0082166 AMERICAN RETAIL SUPPLY 1,416.23 966278 MUSEUM FURNITURE GM 02176 10/09 AP 04/03/09 0082392 SILVERROCK RESORT 138.00 97-829622 MAR109 SALES TAX ACCOUNT TOTAL 10,304.00 10,304.00 101-3006-451.80-04 Other / Contributions ACCOUNT TOTAL .00 .00 101-3006-451.91-11 Reimbursed Gen Fund Exp / Personnel .00 GM 00793 04/09 AJ 10/31/08 AJE 4-008 REIMBURSE FM MUSEUM FUND" 17,894.97 GM 01464 07/09 AJ 01/13/09 AJE 7-002 REIMB LIBRARY FOR MUSEUM 12,201.88 GM 02934 12/09 AJ 06/30/09 AJE 12-077 REIMBURSE FM MUSEUM 3,292.27 ACCOUNT TOTAL 101-3006-451.91-12 Reimbursed Gen Fund Exp / Supplies/Service GM 00793 04/09 AJ 10/31/08 AJE 4-008 REIMBURSE FM MUSEUM FUND GM 01464 07/09 AJ 01/13/09 AJE 7-002 REIMB LIBRARY FOR MUSEUM GM 02934 12/09 AJ 06/30/09 AJE 12-077 REIMBURSE FM MUSEUM ACCOUNT TOTAL 33,389.12 33,389.12CR .00 30,646.10 23,286.65 137,566.43 191,499.18 191,499.18CR PREPARED wai'12/2010, 9:26:27 GENERAL LEDGEk N6iIVITY LISTING PAGE 799 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund • BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD -DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-3006-451.91-13 Reimbursed Gen Fund Exp / Capital Expenses GM 00793 04/09 AJ 10/31/08 AJE 4-008 REIMBURSE FM MUSEUM FUND GM 01464 07/09 AJ 01/13/09 AJE 7-002 REIMB LIBRARY FOR MUSEUM GM 02934 12/09. AJ 06/30/09 AJE 12-077 REIMBURSE FM MUSEUM ACCOUNT TOTAL 101-4000-341.10-00 General Government / Product Sales CR 00134 01/09 CR 07/18/•08 0000775 SUBPOENA FOR A. MORENO/LG JE 01-029 JUL108 CASH ADJMTS KBLONDELL 07/18/08 01 CR 00134 01/09 CR 07/18/08 0000776 SUBPOENA FOR W.NESBIT/LGL JE 02-033 CASH ADJMNT/AUG08 CR'S KBLONDELL 07/18/08 01 GM 00498 02/09 AJ 08/31/08 JE 02-030 RECL JUL08 SUBPOENA REV ACCOUNT TOTAL I 101-4000-341.20-00 General Government / Cash Over/Short GM 00245 01/09 AJ 07/31/08 JE 01-029 JUL108 CASH ADJMTS GM 00516 02/09 AJ 08/31/08 JE 02-033 CASH ADJMNT/AUG08 CR'S GM 00783 03/09 AJ 09/30/08 JE 03-036 CASH ADJ/SEP'08 CSH RECPT GM 00787 03/09 AJ 09/30/08 JE 03-038 ADJ BANK ERROR 9/26 CR'S GM 01053 04/09 AJ 10/31/08 JE 04-055 OCT'08 CR'S CASH ADJMNT GM 01255 05/09 AJ 11/30/08 JE 05-020 CASH ADJMNTS/NOV'08 CR'S CR 01325 06/09 CR 12/16/08 0007887 BUS LIC FEE -EFFICIENT ASS 0000679 SURPLUS - WHITE LEATHER C MMENDOZA 12/16/08 01 GM 01365 06/09 '*AJ 12/31/08 JE 06-022 RECL GARAGE SALE PRMTS CR 01628 07/09 CR 01/27/09 0010171 2 NEW AL & OVRPYMT/HOWE, KBLONDELL 01/27/09 01 CR 01636 07/09 CR 01/28/09 0010234 BL RNEW & OVERPYMNT/OLENZ KBLONDELL 01/28/09 01 GM 01727 07/09 AJ 01/31/09 JE 07-037 JAN108 BANK STMT ADJMNT GM 01940 08/09 AJ 02/28/09 JE 08-037 CASH ADJMNT 2/26/09 CR'S GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR'09 CASH ADJMNTS GM 02471 10/09 AJ 04/30/09 JE 10-039 CASH ADJMNT/APR'09 CR'S GM 02684 11/09 AJ 05/31/09 JE 11-043 CASH ADJ 5/15/09 CR'S ACCOUNT TOTAL 101-4000-341.30-00 General Government / Miscellaneous Revenue CR 00090 01/09 CR 07/15/08 0000587 SURPLUS - #20 LIGHT METAL 20.00 .2.34 20.00 CASHVO 07/15/08 01 CR 00090 01/09 CR 07/15/08 0000627 SURPLUS - 1 WHITE LEATHER 2.00 2.00 49.36 61.21 11.85CR CASHVO 07/15/08 01 CR 00108 01/09 CR 07/16/08 0000678 SURPLUS - POOL TABLE CASHVO 07/16/08 01 CR 00108 01/09 CR 07/16/08 0000679 SURPLUS - WHITE LEATHER C CASHVO 07/16/08 01 .00 5,488.56 2,579.77 7,388.04 15,456.37 15,456.37CR .00 150.00 150 .`00 300.00 300.00 300.00 .00 21.99 94.00 105.00 103.00 .00 .00 15.95 10.06 10.00 .30 5.00 20.00 .2.34 20.00 2.00 1.42 3.00 2.00 14.50 2.00 2.00 49.36 61.21 11.85CR 21.99 94.00 105.00 103.00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 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 101-4000-341.30-00 General Government / Miscellaneous Revenue CR 00134 01/09 CR 07/18/08 0000778 SURPLUS - 3 MONITORS, CAM 11.00 CASHVO 07/18/08 01 GM 00130 01/09 AP 07/21/08 0079110 SUNLINE TRANSIT AGENCY 26.25. ' 40479 BUS PASSES SOLD CR 00182 01/09 CR 07/28/08 0001086 SURPLUS SKIP LOADER 999.95 CASHVO 07/28/08 01 GM 00074 01/09 AJ 07/31/08 JE 01-007 CORR HOPE CLASSIC DEP REF 500.00 CR 00334 02/09 CR 08/18/08 0001774 RVRS CNTY/PLAN COMM MTG 7 32.00 DMARTIN 08/18/08 01 GM 00348 02/09 AP 08/18/08 0079486 SUNLINE TRANSIT AGENCY 23.75 40550 BUS PASSES SOLD GM 00425 02/09 AJ 08/31/08 JE 02-020 TRNSR 04/05 ESCHEATED CKS 215.00 GM 00498 02/09 AJ 08/31/08 JE 02-030 RECL JUL08 SUBPOENA REV 300.00 GM 00498 02/09 AJ 08/31/08 JE 02-030 • ADJ REC TRAC DEP ACCT 5.00 GM 00518 02/09 AJ 08/31/08 JE 02-034 ADJ•CASH CR 2112 8/21/08 .50 CR 00500 03/09 CR 09/08/08 0002939 POST OFFICE ANNUAL LEASE 1.00 LWEST •09/08/08 01 CR 00559 03/09 CR 09/15/08 0003408 SUBPOENA TO APPEAR/ADAMS, 150.00 KBLONDELL 09/15/08 01 GM 00595 03/09 AP 09/23/08 0079912 SUNLINE TRANSIT AGENCY 37.50 40644 BUS PASSES SOLD CR 00726 04/09 CR 10/06/08 0004372 SUBPOENA/LEGAL DOCUMENT S 150.00 KBLONDELL 10/06/08 01 GM 00865 04/09 AP 10/20/08 0080315 SUNLINE TRANSIT AGENCY 36.25 OCTOBER 2008 BUS PASSES SOLD CR 00860 04/09 CR 10/21/08 0005188 SUBPOENA FEE/AMERICAN LEG 150.00 KBLONDELL 10/21/08 01 CR 00999 05/09 CR 11/04/08 0005871 SETTLEMENT W/MICROSOFT 25.42 CASHVO 11/04/08 01 GM 01152 06/09 AP 11/24/08 0080869 SUNLINE TRANSIT AGENCY 43.75 40818 BUS PASSES SOLD GM 01344 06/09 AP 12/22/08 0081111 SUNLINE TRANSIT AGENCY 27.00 40862 BUS PASSES SOLD CR 01501 07/09 CR 01/12/09 0009190 COBRA INS 01/09-G HENSLEY .96 PPARKER 01/12/09 01 CR 01501 07/09 CR 01/12/09 0009192 COBRA INS 02/09-G HENSLEY .96 PPARKER 01/12/09 01 CR 01508 07/09 CR 01/13/09 0009408 SURPLUS -TOM HARTUNG 20.00 CASHVO 01/13/09 01 GM 01575 07/09 AP 01/19/09 0081443 SUNLINE TRANSIT'AGENCY 27.50 40972 BUS PASSES SOLD CR 01558 07/09 CR 01/20/09 0009725 LUIS ALCANTAR 69.04 ' CASHVO . 01/20/09 01 CR 01601 07/09 CR 01/23/09 0010004 SURPLUS SALE 1,200.00 CASHVO 01/23/09 01 CR 01609 07/09 CR 01/26/09 0010068 SURPLUS -PAM NIETO 3.00 CASHVO 01/26/09 01 CR 01628 07/09 CR 01/27/09 0010084 SURPLUS SALE 10,200.00 CASHVO 01/27/09 01 PREPARED ua.,12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 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 101-4000-341.30-00 General Government / Miscellaneous Revenue CR 01680 08/09 CR 02/03/09 0010692 SUBPOENA/QUEST DISCOVERY 15.00 KBLONDELL 02/03/09 01 CR 01680 08/09 CR 02/03/09 0010693 SUBPOENA/QUEST DISCOVER S 15.00 KBLONDELL 02/03/09 01 CR 01736 08/09 CR 02/06/09 0010965 SURPLUS- TRUCK 3,211.00 CASHVO 02/06/09 01 CR 01742 08/09 CR 02/09/09 0011063 SUBPOENA-SULLIVAN TAKETA 150.00 MMENDOZA 02/09/09 01 GM 01880 09/09 AP 02/23/09 0082048 SUNLINE TRANSIT AGENCY 47.50 41021 BUS PASSES GM 01891 08/09 AJ 02/27/09 JE 08-027 REVR 0/S CK 74433 AUG107 10.00 GM 01891 08/09 AJ 02/27/09 JE 08-027 REVR 0/S CK 75388 OCT107 9.00 GM 01891 08/09 AJ 02/27/09 JE 08-027 - REVR 0/S CK 76428 JAN108 4.00' GM 01891 08/09 AJ 02/27/09 JE 08-027 REVR 0/S CK 76073 DEC107 3.00 CR 01906 08/09 CR 02/27/09 0012373 ANDERSON MANN -SUBPOENA 15.00 MMENDOZA 02/27/09 01 CR 02034 09/09 CR 03/13/09 0013280 SUNLINE 11100.00 CASHVO 03/13/09 01 CR 02034 09/09 CR 03/13/09 0013284 R HENSLEY COBRA INS .96 PPARKER 03/13/09 01 CR 02034 09/09 CR 03/13/09 0013285 R HENSLEY COBRA INS .96 PPARKER 03/13/09 01 GM 01988 09/09 AJ 03/17/09 JE 09-014 UNCOLLECTED NSF'S FY07/08 748.00 CR 02046 09/09 CR 03/17/09 0013397 HOME DEPOT/PROGRAM REBATE 266.14 DMARTIN 03/17/09 01 GM 02081 09/09 AP 03/23/09.0082309 SUNLINE TRANSIT AGENCY 42.50 41189 BUS PASSES GM 02177 09/09 AJ 03/31/09 AJE 9-025 ADMIN CHARGES EQUIP FUND 3,124.00 GM 02235 09/09 AJ 03/31/09 AJE 9-037 RECLASS SURPLUS SALE 10,200.00 CR 02181 10/09 CR 04/01/09 0014264 R HENSLEY COBRA INS PMT .96 PPARKER 04/01/09 01 CR 02181 10/09 CR 04/01/09 0014266 B SAWYER COBRA INS PMT .97 PPARKER 04/01/09 01 GM 02356 11/09 AP 04/20/09 0082893 SUNLINE TRANSIT AGENCY 37.50 41259 BUS PASSES GM 02402 10/09 AJ 04/30/09 JE 10-031 RECL SURPLUS TRUCK 2/6/09 3,211.00 GM 02402 10/09 AJ 04/30/09 JE 10-031 RECL SURPLUS BMW MTRCYCLE 1,200.00 GM 02402 10/09 AJ 04/30/09 JE 10-031 RECL SURPLUS SKIPLOADER 999.95 GM 02409 .11/09 AJ 05/05/09 JE 11-001 TRNSR 05/06 ESCHEATED CKS 395.00 CR 02488 11/09 CR 05/08/09 0016503 COBRA INS PMT B SAWYER .97 PPARKER 05/08/09 01 CR 02488 11/09 CR 05/08/09 0016568 COBRA INS PMT R HENSLEY .96 PPARKER 05/08/09 01 CR 02493 11/09 CR 05/11/09 0016622 IID MILEAGE REIMBURSE-PLU 8.80 LWEST 05/11/09 01 GM 02683 12/09 AP 05/26/09 0083250 SUNLINE TRANSIT AGENCY 43.75 41328 MAY109 BUS PASSES CR 02614 11/09 CR 05/27/09 0017478 SUPERIOR CRT/JURY DUTY/SU 7.14 DMARTIN 05/27/09 01 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk mtiIVITY LISTING CR rAvt 802 PROGRAM GM362LA CR 07/03/08 0000072 JEANA LYNN REED CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund. CR 00023 01/09 BEGINNING GROUP ACCTG ----TRANSACTION---- NSF - MURDICA CUSTOM /ENDING APP NUMBER PER. 'CD -------------------------------------------------- DATE NUMBER D E S C R I P T I O N DEBITS ; CREDITS BALANCE 01/09 General Government / Miscellaneous Revenue 0000382 RIVERSIDE COUNTY DIST ATT CR 02720 12/09 CR 06/10/09 0018285 G HENSLEY COBRA INS .96 MMENDOZA 07/09/08 01 CR 00056 PPARKER 06/10/09 01 CR 07/10/08 CR 02748 12/09 CR 06/11/09 0018356 B SAWYER COBRA INS PMT .97 MMENDOZA 07/10%08 01 PPARKER 06/11/09 01 00090 01/09 CR 02766 12/09 CR 06/16/09 0018528 DIST OF MEDICARE FUNDS 168.50 CASHVO 06/16/09 01 MMENDOZA 07/15/08 01 CR GM 02875 12/09 AP 06/23/09 0083688 SUNLINE TRANSIT AGENCY 16.25 NSF -VERTEX FIELD SRVC 41432 JUN109 BUS PASSES CR 02844 12/09 CR 06/25/09 0018833 SUBPOENA-COMPEX 15.00 07/30/08 0001146 GASTON NSF MMENDOZA 06/25/09 01 CR 02850 12/09 CR 06/26/09 0018883 FY 07/08 EXCISE TAX REFUN 5,693.16 02/09 CR 08/15/08 0001718 DMARTIN 06/26/09 01 CR 02863. 12/09 CR 06/30/09 0019024 JUNE SURPLUS - ANGELA GUE• 5.00 CR 00471 03/09 CR CASHVO 06/30/09 01 0002629 NSF CHECK-NAKASH CONV MAR ACCOUNT TOTAL 101-4000-341.40-00 General Government / NSF Charges CR 00023 01/09 CR 07/03/08 0000072 JEANA LYNN REED MMENDOZA ' 07/03/08 01 CR 00023 01/09 CR 07/03/08 0000129 NSF - MURDICA CUSTOM MMENDOZA 07/03/08 01 CR 00046 01/09 CR 07/09/08 0000382 RIVERSIDE COUNTY DIST ATT MMENDOZA 07/09/08 01 CR 00056 01/09 CR 07/10/08 0000419 NSF CK #1105 MMENDOZA 07/10%08 01 CR 00090 01/09 CR 07/15/08 0000589 NSF-SYLVIA CASTRO MMENDOZA 07/15/08 01 CR 00169 01/09 CR 07/25/08 0001000 NSF -VERTEX FIELD SRVC MMENDOZA 07/25/08 01 CR 00206 01/09 CR 07/30/08 0001146 GASTON NSF DMARTIN 07/30/08 01 CR 00317 02/09 CR 08/15/08 0001718 NSF MMENDOZA 08/15/08 01 CR 00471 03/09 CR 09/04/08 0002629 NSF CHECK-NAKASH CONV MAR MMENDOZA 09/04/08 01 CR 00471 03/09, CR 09/04/08 0002744 NSF CHECK MMENDOZA 09/04/08 01 CR 00508 03/09 CR 09/09/08 0002949 DETAIL MMENDOZA 09/09/08 01 CR 00564 03/09 CR 09/16/.08 0003504 NSF CHECK -E A M CONSTR MMENDOZA 09/16/08 01 CR 00762 04/09 CR 10/10/08 0004649 NSF CK#2543-STONE VENEERS MMENDOZA 10/10/08 01 CR 00905 04/.09 CR 10/23/08 0005331 NSF CK -DESERT HOCKEY ASSO MMENDOZA 10/23/08 01 CR 01006 05/09 CR 11/05/08 0005951 NSF-DENNA ARCE MMENDOZA 1°1/05/08 61 16,859.45 28,489.23• 30.00 30.00, 20.00 30.00 30.00 30.00 30.00 20.00 30.00 30.00 10.00 30.00 30.00 30.00 30.00 11,629.78CR .00 PREPARED ua/12/2010, 9:26:27 CR GENERAL LEDGEk AVfIVITY LISTING 01/09 PAGE 803 PROGRAM 0000049 GM362LA MMENDOZA 07/02/08 01 CITY OF LA GUINTA, CALIFORNIA 01/09 CR 07/10/08 0000451 BL LIST NEW BUS ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund MMENDOZA 07/10/08 01 CR 00108 '01/09 BEGINNING 07/16/08 GROUP 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 00197 01/09 CR CR 01078 05/09 CR 11/10/08 0006281 NSF CHECK -VU BROTHERS 30.00, MMENDOZA 07/29/08 01 CR 00197 01/09 CR 07/29/08 0001119 MMENDOZA 11/10/08 01 CR 01083 05/09 CR 11/12/08 0006301 NSF-ORTEGA MASONRY CR 30.00, 0001211 COPIES MMENDOZA 11/12/08 01 CR 01083 05/09 CR 11/12/08 0006302 NSF -LORI HOWE PABROS 30.00 MMENDOZA 11/12/08 01 CR 01100 05/09 CR 11/14/08 0006558 NSF CK -DESERT STONE 30.00 MMENDOZA 11/14/08 01 CR 01145 05/09 CR 11/24/08 0006955 NSF -STEPHANIE STRUM 30.00 MMENDOZA 11/24/08 01 CR 01174 06/09 CR 12/02/08 0007229 NSF CK -LORI PABROS 30.00 MMENDOZA 12/02/08 01 CR 01248 06/09 CR 12/09/08 0007559 NSF -FAMILY L. PASTER 30.00 MMENDOZA 12/09/08 01 CR 01866 08/09 CR 02/24/09 0012097 NSF CK -GARY WAGNER 30.00 MMENDOZA 02/24/09 01 CR 01866 08/09 CR 02/24/09 0012098 NSF CK -ELISE STEVENS 30.00 MMENDOZA 02/24/09 01 GM 01988 09/09 AJ 03/17/09 JE 09-014 RECL E STEVENS NSF CHRGS 26.66 CR 02090 09/09 CR 03/23/09 0013717 NSF -BL CEDAR HOME CUSTOM 30.00 MMENDOZA 03/23/09 01 CR 02204 10/09 CR 04/07/09 0014583 NSF -HARVEY GENTRY 30.00 MMENDOZA 04/07/09 01 CR 02508 11/09 CR 05/13/09 0016695 NSF CHECK -POWER PLUS 30.00 MMENDOZA 05/13/09 01 CR 02714 12/09 CR 06/09/09 0018195 NSF CK-SCHUMAN 30.00 MMENDOZA 06/09/09 01 CR 02773 12/09 CR 06/17/09 0018559 NSF CK -R GONZALEZ 30.00 MMENDOZA 06/17/09 01 CR 02822 12/09 CR 06/24/09 0018783 NSF -PETERSON 30.00 MMENDOZA 06/24/09 01 ACCOUNT TOTAL 26.66 860.00 833.34CR 101-4000-341.50-00 General Government / Sales Maps/Copies/Public. CR 00015 01/09 CR 07/02/08 0000049 BUS LIC LIST MMENDOZA 07/02/08 01 CR 00056 01/09 CR 07/10/08 0000451 BL LIST NEW BUS MMENDOZA 07/10/08 01 CR 00108 '01/09 CR 07/16/08 0000659 COPY CHARGE - NEW LIC LIS KBLONDELL 07/16/08 01 CR 00162 01/09 CR 07/24/08 0000930 BUS LICENSE LIST MMENDOZA 07/24/08 01 CR 00197 01/09 CR 07/29/08 0001118 COPY OF BUS LIC LIST MMENDOZA 07/29/08 01 CR 00197 01/09 CR 07/29/08 0001119 COPIES OF BUS LIC LIST MMENDOZA 07/29/08 01 CR 00226 02/09 CR 08/01/08 0001211 COPIES 6.40 2.75 3.65 1.55 6.95 1.85 .95 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING FADE 804 PROGRAM GM362LA CITY OF LAGUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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. MMENDOZA 08/01/08 01 CR 00234 02/09 CR 08/04/08 0001257 NEW BUS LIC LIST 3.35 KBLONDELL 08/04/08 01 CR 00285 02/09 CR 08/11/08 0001541 COPY OF DOC - FIN .95 KBLONDELL 08/11/08 01 CR 00372 02/09 CR 08/20/08 0002050 COPY FEE/MOLNAR 1.40 KBLONDELL 08/20/08 01 CR 00393 02/09 CR 08/25/08 0002222 COPY CITY BUS LIC LIST 2.45 MMENDOZA 08/25/08 01 CR 00500 03/09 CR 09/08/08 0002936 COPY .95 MMENDOZA 09/08/08 01 CR 00508 03/09 CR 09/09/08 0002948 COPIES - BUSINES LICENSE 1.55 MMENDOZA 09/09/08 01 CR 00539 03/09 CR 09/10/08 0003091 NEW BUS LISTING/COSTCO 1.70 KBLONDELL 09/10/08 01 CR 00546 03/09 CR 09/11/08 0003224 COPIES 1.25 MMENDOZA 09/11/08 01 CR 00570 03/09 CR 09/17/08 0003564 COPIES BL LIST 1.55 MMENDOZA 09/17/08 01 CR 00608 03/09 CR 09/19/08 0003722 COPY CHARGES NEW BL LIST 2.30 KBLONDELL 09/19/08 01 CR 00646 03/09 CR '09/26/08 0003994 BUS LIC LISTING ' 11.30 MMENDOZA 09/26/08 01 CR 00652 03/09 CR 09/29/08 0004020 COPY OF BUS LIC LIST 3.35 MMENDOZA 09/29/08 01 CR 00694 04/09 CR 10/01/08 0004138 LIST OF ACTIVE BUS LIC 28.85 MMENDOZA 10/01/08 01 CR 00726 04/09 CR 10/06/08 0004412 COPIES OF LICENSE IN FILE 1.40 KBLONDELL 10/06/08 01 CR 00726 04/09 CR 10/06/08 0004416 NEW BL LIST/MENDEZ 3.35 KBLONDELL 10/06/08 01 CR 00762 04/09 CR 10/10/08 0004643 COPIES-BUS LIC LIST 1.10 MMENDOZA 10/10/08 01 CR 00762 04/09 CR 10/10/08 0004652 COPIES .95 MMENDOZA 10/10/08 01 CR 00820 04/09 CR 10/15/08 0004965 COPY 1.00 MMENDOZA 10/15/08 O1 CR 00827 04/09 CR 10/16/08 0005027 COPIES-BUS LIC LIST 2.15 MMENDOZA 10/16/08 01 CR 00833 04/09 CR 10/17/08 0005064 BUS LIC LIST-COPIES 1.70 MMENDOZA 10/17/08 01 CR 00992 05/09 CR 11/03/08 0005843 BUS LIC LIST 1.40 MMENDOZA 11/03/08 01 CR 00999 05/09 CR 11/04/08 0005923 COPY CHARGE/COSTCO 2.00. KBLONDELL 11/04/08 01 CR 01014 05/09 CR 11/06/08 0006146 COPY CHARGE - NEW LIC LIS 2.30 KBLONDELL 11/06/08 01 CR 01014 05/09 CR 11/06/08 0006148 COPY CHARGES - BOB 2.90 KBLONDELL 11/06/08 01 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk m6rIVITY LISTING PAGE 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 101-4000-341.50-00 General Government / Sales Maps/Copies/Public. CR 01124 05/09 CR 11/19/08 0006737 COPY FEES/CURRAN-PS LIFE 1.25 KBLONDELL 11/19/08 01 CR 01168 06/09 CR 12/01/08 0007238 COPY FEES 2.75 KBLONDELL 12/01/08 01 CR 01168 06/09 CR 12/01/08 0007114 BUS LIC LIST -OCT NEW BUS 1.70 MMENDOZA 12/01/08 01 CR 01312 06/09 CR 12/12/08 0007753 COPY CHARGES - ANDRES TOR 3.20 KBLONDELL 12/12/08 01 CR 01332 06/09 CR 12/17/08 0008060 BUS LICENSE LISTING 4.40 KBLONDELL 12/17/08 01 CR 01418 06/09 CR 12/29/08 0008609 NON-PROFIT BUS LIC LISTIN 1.55 CASHVO 12/29/08 01 CR 01508 07/09 CR 01/13/09.0009338 COPIES 1.40 MMENDOZA 01/13/09 01 CR 01537 07/09 CR 01/14/09 0009460 COPY OF NEW BL/WILSON, JO 2.60 KBLONDELL 01/14/09 01 CR 01537 07/09 CR 01/14/09 0009458 COPIES .95 MMENDOZA 01/14/09 01 CR 01558 07/09 CR 01/20/09 0009743 COPIES 1.70 MMENDOZA 01/20/09 01 CR 01564 07/09 CR 01/21/09 0009828 NEW BL LISTING/EVANS, CAR 2.75 KBLONDELL 01/21/09 01 CR 01601 07/09 CR 01/23/09 0009964 NEW BL LISTING/WELLS FARG 2.00 KBLONDELL 01/23/09 01 CR 01609 07/09 CR 01/26/09 0010079 NEW BL LISTING/ON TOP PRO 11.30 KBLONDELL 01/26/09 01 CR 01673 08/09 CR 02/02/09 0010565 COPY OF DOCS FROM FILE/FI .95 KBLONDELL 02/02/09 01 CR 01673 08/09 CR 02/02/09 0010566 COPY FEES - NEUBERGER/AI 1.10 KBLONDELL 02/02/09 01 CR 01749 08/09 CR 02/10/09 0011301 COPY CHARGE 1 PAGE .95 KBLONDELL 02/10/09 01 CR 01818 08/09 CR 02/17/09 0011577 COPIES-KRONGOLD LAW FIRM 71.85 MMENDOZA 02/17/09 01 CR 01852 08/09 CR 02/20/09 0011924 COPIES -BUS LIC LISTING 1.70 MMENDOZA 02/20/09 01 CR 01866 08/09 CR 02/24/09 0012086 COPY FEE /HUSTON, JANICE .95 KBLONDELL 02/24/09 01 CR 01906 .08/09 CR 02/27/09 0012361 COPIES 1.55 MMENDOZA 02/27/09 01. CR 01948 09/09 •CR 03/04/09 0012662 COPY FEE - 1 PAGE .95 KBLONDELL 03/04/09 01 CR 01999 09/09 CR 03/06/09 0012870 1 PAGE COPY FEE/GUILTBAUL .95 KBLONDELL 03/06/09 01 CR 02027 09/09 CR 03/12/09 0013195 COPY FEES/WELLS FARGO 2.60 KBLONDELL 03/12/09 01 CR 02075 09/09 CR 03/19/09 0013524 COPIES -BL LIST JAN 1.55 MMENDOZA 03/19/09 01 CR 02075 09/09 CR 03/19/09 0013528 COPIES .95 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AVrIVITY LISTING PAGE 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 101-4000-341.50-00 General Government / Sales Maps/Copies/Public. MMENDOZA 03/19/09 01 CR 02204 10/09 CR 04/07/09 0014658 COPY FEES - 2 PAGES 1.90 KBLONDELL 04/07/09 01 CR 02241° 10/09 CR 04/09/09 0014851 COPY .95 MMENDOZA 04/09/09 01 CR 02385 10/09 CR 04/29/09 0015964 COPY CHARGES - NEW LIC LI 2.75 KBLONDELL 04/29/09 01 CR 02385. 10/09 CR 04/29/09 0015970 COPY FEES - NEW LIC LIST 14.00 KBLONDELL 04/29/09 01 CR 02483 11/09 CR 05/07/09 0016448 LIC LISTING - COPY FEES 3.05 KBLONDELL 05/07/09 01 CR 02501 11/09 CR 05/12/09 .0016677 NEW BL LISTING/DESERT PAG 2.30 KBLONDELL 05/12/09 01 CR 02501 11/09 CR 05/12/09 0016631 COPIES 4.55 MMENDOZA 05/12/09 01 CR 02536 11/09 CR 05/18/09 0016979 COPIES 1.40 MMENDOZA 05/18/09 01 CR 02543 11/09 CR 05/19/09 0017124 NEW LIC LISTING/GENESIS F 1.85 KBLONDELL 05/19/09 01 CR 02667 12/09 CR 06/02/09 0017849 PUBLIC RECORD -MAID TO PER 6.15 MMENDOZA 06/02/09 01 CR 02673 12/09 CR 06/03/09 0017892 COPY FEES - BUS LIC RECOR 14.10 KBLONDELL 06/03/09 01 CR 02673 12/09 CR 06/03/09 0017942 COPIES 1.70 MMENDOZA 06/03/09 01 CR 02708 12/09 CR 06/08/09 0018181 COPIES 1.10 MMENDOZA 06/08/09 01 CR 02720 12/09 CR 06/10/09 0018302 COPIES 1.85 MMENDOZA 06/10/09 01 CR 02759 12/09 CR 06/15/09 0018461 NEW BUS LIC LIST/YELLOWBO 3.50' KBLONDELL 06/15/09 01 CR 02793 12/09 CR 06/22/09 0018710 COPIES .95 MMENDOZA 06/22/09 01 CR 02793 12/09 CR 06/22/09 0018711 COPIES 2.60 MMENDOZA 06/22/09 01 CR 02844 12/09 CR 06/25/09 0018800 LIST OF BRBRSBLWYRS/ESPEL 4.00 KBLONDELL 06/25/09 01 CR 02857 12/09 CR 06/29/09 0018938 COPIES -BUS LIC LIST 3.35 MMENDOZA 06/29/09 01 CR 02863 12/09 CR 06/30/09 0019018 COPY FEES/HUYNH, TUNY .95 KBLONDELL 06/30/09 01 CR 02863 12/09 CR 06/30/09 0019017 COPY .95 MMENDOZA 06/30/09 01 ACCOUNT TOTAL 101-4000-342.78-00 Charges for Services / Assmnt Dist Admn Fees ACCOUNT TOTAL 302.85 302.85CR .00 00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk N%,rIVITY LISTING rAWL 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 101-4000-397.00-00 Other Financing Sources / Proceeds fm Capital Lease .00 ACCOUNT TOTAL .00 101-4001-415.10-01 Salaries 8 Wages / Permanent Full Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 22,691.66 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY* 13,615.05 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 23,187.52 PR 00240 02/09 AJ 08/08/08 PR0B08 PAYROLL SUMMARY 23,187.48 PR 00323 02/09 AJ 08/22/08 PR0S22 PAYROLL SUMMARY 23,187.48 PR 00364 02/09 AJ 08/29/08 PR0831 PAYROLL SUMMARY 2,610.35 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 21,201.49 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 21,201.49 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 21,201.50 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 23,002.89 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 23,002.88 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 23,002.89 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 23,098.80 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 23,194.73 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 23,194.71 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 26,854.71 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 23,178.27 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 23,194.69 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 23,194.71 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 23,194.69 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 23,194.71 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 23,194.71 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 23,194.71 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 23,216.06 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 23,301.50 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 23,301.53 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 23,391.53 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 23,391.52 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 16,374.18 ACCOUNT TOTAL 619,143.39 13,615.05 605,528.34 101-4001-415.10-03 Salaries & Wages / Salaries - Part Time .00 ACCOUNT TOTAL .00 101-4001-415.10-04 Salaries 8 Wages / REGULAR OVERTIME" .00 ACCOUNT TOTAL .00 101-4001-415.10-05 Salaries 8 Wages / Temporary Agency Services .00 PREPARED —12/2010, 9:26:27 GENERAL LEDGER--'IVITY LISTING rwue 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.10-05 Salaries & Wages / Temporary Agency Services ACCOUNT TOTAL 101-4001-415.10-10 Salaries & Wages / Commissions & Boards GM 00122 01/09 AP 07/16/08 0078952 PARK, DAVID ALAN 75.00 JULY 2008 INV ADV BOARD MTG GM 00122 01/09 AP 07/16/08 0078951 MOULIN,, DONALD 75.00 JULY 2008 INV ADV BOARD MTG GM 00122 01/09 AP 07/16/08 0078956 ROSS, TED 75.00 JULY 2008 INV ADV BOARD MTG GM 00122 01/09 AP 07/16/08 0078954 RASSI, RANDY 75.00 JULY 2008 INV ADV BOARD MTG GM 00122 01/09 AP 07/16/08 0078942 DENIEL, CRISITINA. 75.00 JULY 2008 INV ADV BOARD MTG GM 00363 02/09 AP 08/19/08 0079520 PARK, DAVID ALAN 75.00 AUG O8 INV ADV BOARD MTG GM 00363 02/09 AP 08/19/08 0079518 MOULIN, DONALD 75.00 AUG 08 INV ADV BOARD MTG GM 00363 02/09 AP 08/19/08 0079529 ROSS, TED 75.00 . AUG 08 INV ADV BOARD MTG GM 00363 02/09 AP 08/19/08 0079525 RASSI, RANDY 75.00 AUG 08 INV ADV BOARD MTG GM 00363 02/09 AP 08/19/08 0079509 DENIEL, CRISITINA 75.00 AUG 08 INV ADV BOARD MTG GM 00495 03/09 AP 09/11/08 0079680 PARK, DAVID "ALAN 75.00 09/10/08 IAB MTG GM 00495 03/09 AP 09/11/08 0079677 MOULIN, DONALD 75.00 09/10/08 IAB MTG GM 00495 03/09 AP 09/11/08 0079685 ROSS, TED 75.00 09/10/08 IAB MTG GM 00495 03/09 AP 09/11/08 0079684 RASSI, RANDY 75.00 09/10/08 IAB MTG GM 00790 04/09 AP 10/16/08 0080171 PARK, DAVID ALAN 75.00 OCT 2008 INV ADVISORY MTG GM 00790 04/09 AP 10/16/08 0080178 ROSS, TED 75.00 OCT 2008 INV ADVISORY MTG GM 00790 04/09 AP 10/16/08 0080177 RASSI, RANDY 75.00 OCT 2008 INV ADVISORY MTG GM 00790 04/09 AP 10/16/08 0080158 DENIEL, CRISITINA 75.00 OCT 2008 INV ADVISORY MTG GM 01033 05/09 AP 11/13/08 0080537 PARK, DAVID ALAN 75.00 NOV108 INV ADVISORY BOARD GM 01033 05/09 AP 11/13/08 0080534 MOULIN, DONALD 75.00 NOV108 INV ADVISORY BOARD GM 01033 05/09 AP 11/13/08 0080542 ROSS, TED 75.00 NOV108 INV ADVISORY BOARD GM 01033 05/09 AP 11/13/08 0080540 RASSI, RANDY 75.00 NOV108 INV ADVISORY BOARD .00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AGfIVITY LISTING PAGE 809 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 101-4001-415.10-10 Salaries & Wages / Commissions & Boards GM 01033 05/09 AP 11/13/08 0080525 DENIEL, CRISITINA 75.00 NOV108 INV ADVISORY BOARD GM 01261 06/09 AP 12/10/08 0081090 RASSI, RANDY 75.00 DEC108 INVESTMENT ADVISORY MTG GM 01261 06/09 AP 12/10/08 0081101 ROSS, TED 75.00 DEC108 INVESTMENT ADVISORY MTG GM 01261 06/09 AP,12/10/08 0081074 PARK, DAVID ALAN 75.00 DEC108 INVESTMENT ADVISORY MTG GM 01755 08/09 AP 01/14/09 0081683 PARK, DAVID ALAN 75.00 JAN109 INVESTMENT ADVSY MTG GM 01755 08/09 AP 01/14/09 0081682 MOULIN, DONALD 75.00 JAN109 INVESTMENT ADVSY MTG GM 01755 08/09 AP 01/14/09 0081689 ROSS, TED 75.00 JAN109 INVESTMENT ADVSY MTG GM 01755 08/09 AP 01/14/09 0081687 RASSI, RANDY 75.00 JAN109 INVESTMENT ADVSY MTG GM 01755 08/09 AP 01/14/09 0081669 DENIEL, CRISITINA 75.00 JAN109 INVESTMENT ADVSY MTG GM 01793 08/09 AP 02/11/09 0081714 MOULIN, DONALD 75.00 FEB109 INVESTMENT ADV MTG GM 01793 08/09 AP 02/11/09 0081717 ROSS, TED 75.00 FEB109 INVESTMENT ADV MTG GM 01793 08/09 AP 02/11/09 0081716 RASSI, RANDY 75.00 FEB109 INVESTMENT ADV MTG GM 01793 08/09 AP 02/11/09 0081707 DENIEL, CRISITINA 75.00 FEB109 INVESTMENT ADV MTG GM 01985 09/09 AP 03/11/09 0082113 PARK, DAVID ALAN 75.00 MAR109 INVESTMENT ADV MTG GM 01985 09/09 AP 03/11/09 0082112 MOULIN, DONALD 75.00 MAR109 INVESTMENT ADV MTG GM 01985 09/09 AP 03/11/09 0082117 ROSS,'TED 75.00 MAR109 INVESTMENT ADV MTG GM 01985 09/09 AP 03/11/09 0082116 RASSI, RANDY 75.00 MAR109 INVESTMENT ADV MTG GM 01985 09/09 AP 03/11/09 0082106 DENIEL, CRISITINA 75.00 MAR109 INVESTMENT ADV MTG GM 02176 10/09 AP 04/08/09 0082386 PARK, DAVID ALAN 75.00 040809 • INVSTMNT ADV MTG GM 02176 10/09 AP 04/08/09 0082382 MOULIN, DONALD 75.00 040809 INVSTMNT ADV MTG GM 02176 10/09 AP•04/08/09 0082390 ROSS, TED 75.00 040809 INVSTMNT ADV MTC GM 02176 10/09 AP 04/08/09 0082388 RASSI, RANDY 75.00 040809 INVSTMNT ADV MTG GM 02176 10/09 AP 04/08/09 0082370 DENIEL, CRISITINA 75.00 040809 INVSTMNT ADV MTG GM 02551 11/09 AP 05/14/09 0082964 RASSI, RANDY 75.00 ' MAY109 INVESTMENT ADV MTG GM 02551 11/09 AP 05/14/09 0082953 DENIEL, CRISITINA 75.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING rAWt 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 0 N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.10-10 Salaries 8 Wages / Commissions 8 Boards / PERS-City Portion PR 00035 01/09 MAY109 07/11/08 INVESTMENT ADV MTG SUMMARY GM 02551 11/09 AP 05/14/09 0082965 ROSS, TED PAYROLL 75.00 PR 00105 01/09 MAY109 07/25/08 INVESTMENT ADV MTG SUMMARY GM 02551 11/09 AP 05/14/09 0082961 MOULIN, DONALD PAYROLL 75.00 2,912.38 PR 00323 02/09 MAY109 08/22/08 INVESTMENT ADV MTG SUMMARY GM 02551 11/09 AP 05/14/09 0082963 PARK, DAVID ALAN 75.00 SUMMARY 249.66 PR 00434 MAY109 AJ INVESTMENT ADV MTG PAYROLL GM 02739 12/09 AP 06/10/09 0083294 PARK, DAVID ALAN 75.00 PAYROLL SUMMARY• 2,662.72 PR JUN'09 04/09 INVESTMENT ADV MTG PR1003 GM 02739 12/09 AP 06/10/09 0083293 MOULIN, DONALD 10/17/08 75.00 PAYROLL SUMMARY 2,889.17 PR JUN109 04/09 INVESTMENT ADV MTG PR1031 GM 02739 12/09 AP 06/10/09 0083296 ROSS, TED 11/14/08 75.00 PAYROLL SUMMARY 2,889.17 PR JUN109 05/09 INVESTMENT ADV MTG PR1126 GM 02739 12/09 •AP 06/10/09 0083295 RASSI, RANDY 12/12/08 75.00 PAYROLL SUMMARY 2,913.29 PR JUN109 06/09 INVESTMENT ADV MTG PR1224 PAYROLL SUMMARY 2,913.28 PR ACCOUNT TOTAL 07/09 AJ 4,050.00 101-4001-415.10-18 Salaries 8 Wages / Natural Disaster -'FEMA ACCOUNT TOTAL 101-4001-415.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 2,850.05 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 2,912.38 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 2,912.38 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 2,912.39 PR 00364 02/09 AJ 08/29/08 PR0831 PAYROLL SUMMARY 249.66 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 2,662.72 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY• 2,662.72 PR 00634 04/09 -AJ 10/03/08 PR1003 PAYROLL SUMMARY 2,662.73 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 2,889.17 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 2,889.17 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 2,889.17 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 2,901.23 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 2,913.29 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 2,913.28 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 2,909.93 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 2,911.23 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 2,913.28 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 2,913.29 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 2,913.29 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 2,913.28 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 2,913.29 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 2,913.28 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 2,915.97 1,710.02 4,050.00 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 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 101-4001-415.20-01 Employee Benefits / PERS-City Portion PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 2,926.71 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 2,926.72 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 2,938.04 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 2,938.04 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 11983.18 ACCOUNT TOTAL 77,149.87 1,710.02 75,439.85 101-4001-415.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,813.74 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1488.25 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 1,853.40 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 1,853.40 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 1,853.39 PR 00364 02/09 AJ 08/29/08 PR0831 PAYROLL SUMMARY 158.88 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 1,694.51 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 1,694.52 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 1,694.52 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 1,838.63 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 1,838.62 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 1,838.63 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 1,846.31 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 1,853.98 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 1,853.98 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 1,851.85 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 1,852.66 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 1,853.98 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 1,853.98 PR 01902 0.9/.09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 11853.98 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 11853.98 PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 1,853.98 PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY 1,853.98 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 1,855.68 . PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 1,862.52 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 1,862.52 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 1,869.72 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 1,•869.72 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 11308.83 ACCOUNT TOTAL 49,143.89 1,088.25 48,055.64 101-4001-415.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 00 .00 101-4001-415.21-01 Insurance Benefits / Medical Insurance .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER AGIIVITY LISTING PAGE 812 PROGRAM GM362LA CITY OF IA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.21-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00323 02/09 AJ PR 00364 02/09 AJ PR 00434 03/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00530 03/09 AJ GM 00850 04/09 AJ PR 00634 04/09 AJ PR 00634' 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01065 05/09. AJ PR 01239 06/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 07/25/08 PR0725 08/08/08 PR0808 08/08/08 PR0808 08/22/08 PR0822 08/22/08 PR0S22 08/29/08 PR0831 09/05/08 PR0905 09/05/08 PR0905 09/19/08 PR0919 09/19/08 PR0919 10/01/08 AJE 04-010 10/03/08 PR1003 10/03/08 PR1003 10/17/08 PR1017 10/17/08 PR1017 11/14/08 PR1114 11/14/08 PR1114 11/26/08 PR1126 11/26/08 PR1126 12/12/08 PR1212 12/12/08 PR1212 12/24/08 PR1224 12/24/08 PR1224 01/09/09 PR0109 01/09/09 PR0109 01/23/09 PR0123 01/23/09 PR0123 02/06/09 PR0206 02/06/09 PR0206 02/20/09 PR0220 02/20/09 PR0220 03/06/09 PR0306 03/06/09 PR0306 03/20/09 PR0320 03/20/09 PR0320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PR0612 06/12/09 PR0612 06/26/09 PR0626 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 TERM EMP INS EXP SEP 08 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 3,332.19 3,332.19 3,332.19 3,332.19 447.97 2,884.22 2,884.22 447.97 2,884.22 3,113.52 3,113.52 3,113.52 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,178.51 3,545.38 3,545.38 2,041.29 41.98 41.98 41.98 41.98 41.98 41.98 41.98 41.98 41.98 53.65 50.72- 1.47 1.47 1.47 1.47 1.47 1.47 1.47 1.47 1.47 1.47 34.63 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk A6i'IVITY LISTING rAWt 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.21-01 Insurance Benefits / Medical Insurance PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 101-4001-415.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00364 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ GM 00850 04/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-4001-415.21-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00364 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ GM 00850 04/09 AJ ACCOUNT TOTAL Insurance Benefits / 07/11/0'8 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 08/29/08 PR0831 09/05/08 PR0905 09/19/08 PR0919 10/01/08 AJE 04-010 10/03/08 PR100.3 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits / 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0B22 08/29/08 PR0831 09/05/08 PR0905 09/19/08 PR0919 10/01/08 AJE 04-010 Vision Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY TERM EMP INS EXP SEP 08 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 TERM EMP INS EXP SEP 08 2,481.76• 79,932.56 51.46 51.46 51.46 51.46 6.52 44.94 44.94 6.52 44.94 49.49 49.49 49.49 49.49 49.49 49.49 49.49 49:49 49.49 49.49 49.49 49.49 49.49 49.49 49.49 51.46 51.46 38.54 1,237.51 320.50 320.50 320.50 320.50 52.19 268.31 268.31 52.19 34.63 2,506.00 30.87 30.87 192.28 77,426.56 00 1,206.64 .00 PREPARED 03/12/2010, 9:26:27 Life Insurance GENERAL LEDGER AUiIVITY LISTING rAWt 814 PROGRAM GM362LA PR0711 PAYROLL SUMMARY 30.40 PR 00035 01/09 CITY OF LA QUINTA, CALIFORNIA PR0711 PAYROLL SUMMARY PR ------------=----------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund 07/25/08 PR0725 PAYROLL SUMMARY 30.40 BEGINNING GROUP ACCTG ----TRANSACTION---- 'AJ 08/08/08 PR0808 PAYROLL /ENDING APP NUMBER PER. ------------------------------------ CD DATE NUMBER 4 ------------------------------------- D E S C R I P T I O N ---------------------------------------------------------- DEBITS CREDITS BALANCE 101-4001-415.21-03 30.40 Insurance Benefits / Dental Insurance AJ 08/29/08 PRO831 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 268.31 PR0905 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 288.16 PR0919 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 288.16 AJE 04-010 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 288.16 PR1003 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 288.16 PR1017 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 235.97 PR1114 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 235.97 PR1126 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 235.97 PR1212 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 235.97 PR1224 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 235.97 PRO109 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 235.97 PRO123 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 235.97 PRO206 - PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 235.97 PRO220 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 235.97 PRO306 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 235.97 PRO320 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 235.97 PR0403 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 268.•31 PR0417 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 268.31 PRO501 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 187.82 PRO515 ACCOUNT TOTAL 6,664.06 101-4001-415.21-05 Insurance Benefits / Life Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 30.40 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 30.40 PR 00240 02/09 'AJ 08/08/08 PR0808 PAYROLL SUMMARY 30.40 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 30.40 PR 00364 02/09 AJ 08/29/08 PRO831 PAYROLL SUMMARY 3.20 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 27.20 PR 00530 03/09 'AJ 09/19/08 PR0919 PAYROLL SUMMARY 27.20 GM 00850 04/09 AJ 10/01/08 AJE 04-010 TERM EMP INS EXP SEP 08 3.20 PR 00634 04/09. AJ 10/03/08 PR1003 PAYROLL SUMMARY 27.20 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 30.40 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 30.40 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 30.40 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 30.40 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 30.40 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 30.40 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 30•.40 - PR 01670 08/09 AJ 02/06/09 PRO206 - PAYROLL SUMMARY 30.40 PR 01791 08/09 AJ 02/20/09 PRO220 PAYROLL SUMMARY 30.40 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 30.40 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 30.40 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 30.40 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 30.40 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 30.40 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 30.40 192.28 18.24 6,471.78 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AViIVITY LISTING 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 O N DEBITS CREDITS BALANCE 101-4001-415.21-05,Insurance Benefits / Life Insurance PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 30.40 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 30.40 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 21.28 ACCOUNT TOTAL 747.68 18:24 729.44 101-4001-415.21-06 Insurance Benefits / Flexible Compensation .00 ACCOUNT TOTAL .00 101-4001-415.21-07 Insurance Benefits / Long Term Disability .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 250.20 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.11 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 250.20 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 250.20 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 250.20 PR 00364 02/09 AJ 08/29/08 PR0831 PAYROLL SUMMARY 21.45 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 228.75 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 228.75 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 228.75 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 248.20 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 248.20 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 248.20 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 250.27 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 250.27 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 250.27 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 250.27 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 250.27 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 250.27 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 250.27 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 250.27 ' PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 250.27 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 250.27 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 250.27 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 251.42 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 251.42 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 251.42 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 252.40 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 252.40 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 176.69 ACCOUNT TOTAL 6,641.82 150.11 6,491.71 101-4001-415.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 669.40 401.64 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AUiIVITY LISTING rAWt 816 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 BEGINNING /ENDING BALANCE 101-4001-415.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 684.04 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 684.04 PR 00323 02/09. AJ 08/22/08 PRQ822 PAYROLL SUMMARY 684.04 PR 00364 02/09 AJ 08/29/08 PR0831 PAYROLL SUMMARY 77.01 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 625.45 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 625.45 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 625.45 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 678.59 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 678.59 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 678.59 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 681.42 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 684.25 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 684.25 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 792.22 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 683.76 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 684.25 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 684.25 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 684.25 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 684.25 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 684.25 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 684.25 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 684.88 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 687.40 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 687.40 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 690.06 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 690.06 GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 4,104.42 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 483.06 ACCOUNT TOTAL 18,264.91 4,506.06 13,758.85 101-4001-415.27-01 Other Benefits & Deduc. / State Unemployment SUI 101-4001-415.27-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/99 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00364 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ ACCOUNT TOTAL Other Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 08/29/08 PR0831 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 Deduc. / Medicare PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY - PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 331.20 338.40 338.40 338.40 37.85 309.60 309.60 309.60 335.72 333.54 198.73 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 Consultants GENERAL LEDGEk AU IVITY LISTING FAWt 817 PROGRAM AP GM362LA 0079579 CALIFORNIA MUNICIPAL STAT 425.00 CITY OF LA QUINTA, CALIFORNIA GM 00720 04/09 ------------------------------------------------------------------------------------------------------------------------------------- FUND 101 General Fund 2,000.00 BEGINNING 47323 GROUP ACCTG ----TRANSACTION---- GM 01263 06/09 /ENDING APP --------------------------------------------------------------------------7--------------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4001-415.27-03 GM Other Benefits 8 Deduc. / Medicare AJ 12/31/08 AJE 6-047 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 335.72 2,518.87 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 337.11 01977 PR 01259 06/09 AJ 12/11/08 PR1211 PAYROLL SUMMARY 265.14 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 338.50 AJE 12-125 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 338.50 9,796.00 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 391.56 01/09 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 338.26 08/31/08 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 338.50 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 338.50 GM 01912 08/09 AJ 02/28/09 AJE 08-031 ADJ MEDICARE TO ACTUAL 2.20 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 338.50 PR ,01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 338.50 PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 338.50 PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY 338.50 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 338.81 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY '340.05 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 337.87 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 341.36 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 341.36 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 238.95 ACCOUNT TOTAL 9,298.70 101-4001-415.27-05 Other Benefits 8 Deduc. / FICA ACCOUNT TOTAL 101-4001-415.30-01 Contract Services / Consultants GM 00433 03/09 AP 08/25/08 0079579 CALIFORNIA MUNICIPAL STAT 425.00 08082504 6/30/08 DEBT STATEMENT GM 00720 04/09 AP 09/29/08 0080003 WILLDAN FINANCIAL SERVICE 2,000.00 47323 ARBITRAGE FEE GM 01263 06/09 AP 12/11/08 0080924 GOVERNMENT FINANCE OFFICE 550.00 300052618 CERT OF ACHIEVEMENT GM 01461 06/09 AJ 12/31/08 AJE 6-047 RECLASS EXPENSES 2,178.60 GM 01713 08/09 AP 01/26/09 0081556 D/A PACIFIC INC 2,518.87 12009038 SERVEILLANCE CAMERA GM 01977 09/09 AP 03/06/09 0082226 HINDERLITER DE LLAMAS 8 A 1,148.53 0015023 -IN IST QTR SALES TAX GM 02990 12/09 AJ 06/30/09 AJE 12-125 RECLASS HDL TO CORR.ACCT 975.00 ACCOUNT TOTAL 9,796.00 101-4001-415.31-13 Contract Services / Administration GM 00245 01/09 AJ 07/31/08 JE 01-029 JUL108 BANK CHARGES 1,939.26 GM 00516 02/09 AJ 08/31/08 JE 02-033 AUG108 BANK CHARGES 1,915.62 198.73 9,099.97 .00 .00 .00 9,796.00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 818 PROGRAM GM362LA CITY -----------------------------------------------------------------------=----'-------------------------------------------------------- OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4001-415.31-13 Contract Services / Administration - GM 00783 03/09 AJ 09/30/08 JE 03-036 SEP108 BANK CHRGS 1,896.80 GM 00783 03/09 AJ 09/30/08 JE 03-036 SEP08 BANK CHRG/DEP BOOKS 53.78 GM 00936 05/09 AP 10/08/08 0080386 BANK OF NEW YORK MELLON 2,611.79 1346609 ADMIN FEES Q/E 9/30/08 GM 01053 04/09 AJ 10/31/08 JE 04-055 OCT108 BANK CHARGES 2,099.40 GM 01255 05/09 AJ 11/30/08 JE 05-020 NOV108 BANK CHRGS 2,050.36 GM 01469 06/09 AJ 12/31/08 JE 06-051 DEC108 BANK CHARGES 1,840.66 GM 01607 08/09 AP 01/20/09 0081525 BANK OF NEW YORK MELLON 2,605.64 1373232 ADMN FEES Q/E 12/31/08 GM 01716 07/09 AJ 01/31/09 JE 07-031 JAN108 BANK CHARGES 1,576.91 GM 01940 08/09 AJ 02/28/09 JE 08-037 FEB109 BANK CHARGES 2,095.75 GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR109 BANK CHARGES 1,862.08 GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR109 BNK CHRG/DEP SLIPS 53.83 GM 02275 10/09 AP 04/14/09 0082571 BANK OF NEW YORK MELLON 2,627.79 1403454 ADMIN FEES QE3/31/09 GM 02471 10/09 AJ 04/30/09 JE 10-039 APR'09 BANK CHARGES .11901.33 GM 02684 11/09 AJ 05/31/09 JE 11-043 MAY109 BANK CHARGES 1,972.95 GM 02925 12/09 AJ 06/30/09 JE 12-070 JUN'09'BANK CHARGES 2,017.48 GM 02915 12/09 AP 07/07/09 0083822 BANK OF NEW YORK MELLON 3,075.90 252-1414845 ADMIN FEES Q/E 6/30/09 ACCOUNT TOTAL 101-4001-415.32-13 Professional Services / GM 00159 01/09 AJ 07/31/08 AJE 1 -012 - GM 00492 03/09 AP 08/31/08 0079853 7848 GM 00492 03/09 AP 08/31/08 0079853 7859 1 GM 01067 05/09 AP 11/20/08 0080647 8248 GM 01067 05/09 AP 11/20/08 0080647 8247 GM 01770 08/09 AP 01/31/09 0081798 8650 GM 02122 09/09 AJ 03/31/09 AJE 9-023 GM 02446 11/09 AP 04/30/09 0082842 9518 ACCOUNT TOTAL Auditors REVERSE PREPAIDS LANCE, SOLL, & LUNGHARD L FINAL AUDIT 2008 LANCE, SOLL, & LUNGHARD L YEAR END PROCEDURES LANCE, SOLL, & LUNGHARD L FY 07/08 AUDIT LANCE, SOLL,•& LUNGHARD L FY 07/08 AUDIT LANCE, SOLL, & LUNGHARD L PFA AUDIT ALLOCATE FA CONTRACT SVCS LANCE, SOLL, & LUNGHARD L INTERIM AUDIT 101-4001-415.32-14 Professional Services / Consultant Services ACCOUNT TOTAL 101-4001-415.44-01 Rental Services / Equipment rental 34,197.33 4,645.45 8,654.00 3,909.14 434.35 1,477.73 631.78 3,012.38 5,574.53 28,339.36 34,197.33 .00 28,339.36 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.44-01 Rental Services / Equipment rental ACCOUNT TOTAL 101-4001-415.51-01 Services & Supplies / Travel & Training GM 00081 01/09 AP 07/01/08 0078922 CATHEDRAL CITY, CITY OF 070108 CSMFO LUNCHEON GM 00495 03/09 AP 08/18/08 0079679 PALM DESERT, CITY OF 09/15/08 CSMFO LUNCHEON GM 00325 02/09 AP 08/20/08 0079343 LA QUINTA CHAMBER OF COMM 08/20/08 8/07/08 MAYOR'S LUNCH GM 00363 02/09 AP 08/26/08 0079517 MENDOZA, MISSY ACT#220908 MICROSOFT WORD CLASS GM 00369 03/09 AP 08/26/08 0079646 STATE TREASURER'S OFFICE 082608 LAIF CONFERENCE GM 00433 03/09 AP 09/02/08 0079594 FALCONER, JOHN 090208 TRAVEL REIMBURSEMENT GM 00976 05/09 AP 10/04/08.0080366 LA QUINTA CHAMBER OF COM 100208 MAYOR'S LUNCHEON GM 00720 04/09 AP 10/08/08 0079986 MENDOZA, MISAELA 100808 ADOBE ELEMENTS GM 00790 04/09 AP 10/13/08 0080166 INDIAN WELLS, CITY OF OCT108 CSMFO LUNCHEON GM 00924 04/09 AP 10/21/08 0080335 FALCONER, JOHN ' FALCONER LAIF CONFERENCE GM 00924 04/09 AP 10/24/08 0080333 DIEHL, EVANS & COMPANY, L 2008 GOV TAX PARKER/MANCILLA SEMINAR GM 00976 05/09 AP 11/04/08 0080369 ROSS, TED ROSS LAIF ANNUAL CONF GM 01033 05/09 AP 11/13/08 0080527 EMBASSY SUITES 314721 CSMFO LUNCHEON CR 01109 05/09 CR 11/17/08 0006637 NOVEMBER CSMFO LUNCHEON CASHVO 11/17/08 01 GM 01153 06/09 AP 11/20/08 0080741 FALCONER, JOHN LUNCHEON FINANCIAL STATEMENTS GM 01261 06/09 AP 11/30/08 0081110 SUNGARD PUBLIC SECTOR INC 886611 GMBA TRAINING GM 01244 06/09 AP 12/04/08 0080896 LA QUINTA CHAMBER OF COMM 120408 MAYOR'S LUNCHEON GM 01244 06/09 AP 12/05/08 0080889 DESERT HOT SPRINGS, CITY 121508 DEC CSMFO LUNCHEON GM 01460 07/09 AP 12/29/08 0081196 CFOA FALCONER GFOA CONF - JUN CR 01430 06/09 CR 12/31/08 ,0008711 EMBASSY SUITES LQ REFUND MANCILLA 12/31/08 01 GM 01472 07/09 AP 01/12/09 0081275 RANCHO MIRAGE, CITY OF 011209 CSMFO LUNCHEON GM 01525 07/09 AP 01/15/09 0081417 PRYOR SEMINARS, FRED 10818961 SALES TAX SEMINAR 60.00 60.00 25.00 65.00 200.00 278.00 25.00 75.00 60.00 487.14 550.00 404.89 875.23 30.00 350.00 25.00 78.00 370.00 75.00 195.00 440.00 125.04 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER Ac-fIVITY LISTING FADE 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 101-4001-415.51-01 Services & Supplies / Travel & Training GM 01525 07/09 AP 01/15/09 0081330 CALIFORNIA SOCIETY OF MUN 100.00 SANDRA/KRYSTENA INTRO TO GOV ACCT GM 01532 07/09 AP 01/21/09 0081293 CSMFO ANNUAL CONFERENCE 350.00 WEST CSMFO CONF REGISTRATION GM 01685 08/09 AP 01/28/09 0081488 CMTA DIVISION 10 35.00 LUNCHEON CMTA DIVISION 10-FALCONER GM 01685 08/09 AP 02/02/09 0081489 CSMFO ANNUAL CONFERENCE 55.00 ADD'L CHRG CSMFO CONFERENCE GM 01685' 08/09 AP 02/03/09 0081491 FALCONER, JOHN 406.99 REIMB AIRFARE-FALCONER GM 01685 08/09 AP' 02/04/09 0081496 LA QUINTA CHAMBER OF COM 25.00 FEB1O9 MAYOR'S LUNCHEON GM 01839 08/09 AP 02/23/09 0081893 WEST, LOUISE 707.28 REIMB TRAVEL EXP-CSMFO GM 01839 08/09 AP 02/23/09 0081872 CMTA ANNUAL CONFERENCE 1,405.00 022309 O91CA MUNICIPAL CONF GM 01850 08/09 AP 02/25/09 0081488 CMTA DIVISION 10 35.00 LUNCHEON CMTA DIVISION 10-FALCONER GM 01839 08/09 AP 02/25/09 0081893 WEST, LOUISE 37.55 REIMB • MILEAGE/MEALS-WEST GM 01973 09/09 AP 03/06/09 0082093 PALM SPRINGS, CITY OF 25.00 030609 CSMFO LUNCHEON GM 02128 10/09 AP 04/01/09 0082350• COACHELLA, CITY OF 60.00 040109 CSMFO-JOHN,PAT,LOUISE GM 02176 10/09 AP 04/08/09 0082380 LA QUINTA CHAMBER OF COMM 25.00 040909 MAYOR'S LUNCH 4/9/09 GM 02467 11/09 AP 05%08/09 0082936 INDIO, CITY OF 60.00 05182009 CSMFO LUNCHEON GM 02565 11/09 AJ 05/22/09 JE 11-019 LEAG CAL CITIES 5/12 MTG 45.00 GM 02694 12/09 AP 06/09/09 0083281 YUCCA VALLEY, CITY OF 18.00 061509 CSMFO-LUNCHEON GM 02886 12/09 AP 06/28/09 0083602 FALCONER, JOHN 683.61 REIMB GFOA ANNUAL CONF ACCOUNT TOTAL 8,326.69 600.04 7,726.65 101-4001-415.51-02 Services & Supplies / Vehicle Reimbursement •.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.00 PR'00035 01/09 AJ 07/11/08 PRO711 PAYROLL SUMMARY 90.00 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 150.00 PR 00240 02/09 AJ 08/08/08 PRO8O8 PAYROLL: SUMMARY 150.00 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 150.00 PR 00434 03/09 AJ 09/05/08 PR09O5 PAYROLL SUMMARY 150.00 PR 00530 03/09 AJ 09/19/08 PRO919 PAYROLL SUMMARY 150.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 150.00 PR 00788 04/09 AJ 10/17/08 PR1O17 PAYROLL SUMMARY 150.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 150.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 150.00 PREPARED 03/12/2010, 9:26:27 / Printing GENERAL LEDGEk AUiIVITY LISTING rAVt 821 PROGRAM GM362LA 0081517 ALTEC 236.19 CITY OF LA QUINTA, CALIFORNIA SUPPLIES -CHECKS GM 00103 01/09 AP ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund 148.83 BEGINNING GROUP ACCTG ----TRANSACTION---- GM 00309 02/09 AP /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4001-415.51-02 ENVELOPES Services 8 Supplies / Vehicle Reimbursement 02/09 AP 08/13/08 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 150.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 150.00 ALTEC PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY. 150.00 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 150.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 150.00 00972 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 150.00 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 150.00 AP PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 150.00 29217 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 150.00 0080705 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 150.00 MEMBERSHIP DUES PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 150.00 18.18 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 150.00 GM PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY' 150.00 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 150.00 07/09 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 105.00 ACCOUNT TOTAL 3,705.00 101-4001-415.51-03 Services 8 Supplies / Mileage Reimbursement ACCOUNT TOTAL 101-4001-415.53-01 Services 8 Supplies / Printing GM 01620 08/09 AP 01/19/08 0081517 ALTEC 236.19 33646 SUPPLIES -CHECKS GM 00103 01/09 AP 07/11/08 0078966 ALTEC 148.83 23446 SUPPLIES -PA FORMS GM 00309 02/09 AP 08/07/08 0079383 COACHELLA VALLEY PRINTING 179.29 62750 ENVELOPES GM 00331 02/09 AP 08/13/08 0079361 ALTEC 152.27 25086 SUPPLIES -FORMS GM 00369 03/09 AP 08/15/08 0079567 ALTEC 236.18 25232' SUPPLIES -CHECKS GM 01038 05/09 AP 10/25/08 0080574 ALTEC 144.87 29216 SUPPLIES -FORMS GM 00972 05/09 AP 10/27/08 0080465 OFFICE DEPOT 60.40 448578567-001 BUSINESS CARDS-MANCILLA GM 01038 05/09 AP 10/28/08 0080574 ALTEC 185.21 29217 SUPPLIES -FORMS GM 01040 05/09 AP 11/01/08 0080705 SUNGARD PUBLIC SECTOR USE 195.00 LAQUSUGA2009 MEMBERSHIP DUES GM 01214 06/09• AP 11/18/08 0080866 STAPLES BUSINESS ADVANTAG 18.18 3111566331 PLASTIC COMBS GM 01152 06/09 AP 11/29/08 0080796 COACHELLA VALLEY PRINTING 529.71 63733 RECEIPT BOOKS GM 01460 07/09 AP 12/22/08 0081214 MCDOWELL AWARDS 12.93 2008-2657 SIGN/NAME BADGES 90.00 3,615.00 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AUCIVITY LISTING 00267 822 PROGRAM 07/31/08 0079419- GM362LA 495.00 0013708 -IN CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CAL.IFORNIA 00433 03/09 AP 08/21/08 0079604 FUND 101 General Fund 014460 -IN BEGINNING GROUP ACCTG ----TRANSACTION---- AP 11/06/08 0080629 HINDERLITER DE LLAMAS & A /ENDING APP ------------------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N ----------------------------------------------------------------- DEBITS CREDITS BALANCE ------- 101-4001-415.53-01 AP 11/14/08 0080721 Services & Supplies / Printing GM 01458 07/09 AP 12/31/08 0081184 COACHELLA VALLEY PRINTING 1,029.97 64300 SUPPLIES GM 01607 08/09 AP 01/15/09 0081517 ALTEC 185.09 33475 SUPPLIES -FORMS GM 01620 08/09 AP 01/20/09 0081517 ALTEC 145.15 33678 SUPPLIES -PA FORMS GM 01957 08/09 AJ 02/28/09 AJE 8-040 RECLASS ACCOUNTS 195.00 GM 02057 09/09 AJ 03/31/09 AJE 9-016 RECLASS TO CORR ACCOUNT' 152.27 GM 02111 09/09 AJ 03/31/09 AJE 9-022 RECLASS HUG MEMBERSHIP 195.00 GM 02341 11/09 AP 04/20/09 0082859 OFFICE DEPOT 109.73 471288885-001 B CARDS-VIANKA,MISSY GM 02499 11/09 AP 04/29/09 0082974 ALTEC 186.44 37856 SUPPLIES -FORMS GM 02499 11/09 AP 04/29/09 0082974 ALTEC 146.10 37855 SUPPLIES -PA FORMS GM 02638 12/09 AP 05/21/09 0083175 COACHELLA VALLEY PRINTING 534.63 65786 RECEIPT BOOKS GM 02638 12/09 AP 05/21/09 0083175 COACHELLA VALLEY PRINTING 170.89 65785 RECEIPT BKS -SHERIFF GM 02696 12/09 AP 05/30/09 0083514 STAPLES BUSINESS ADVANTAG 217.48 3120329201 PRINTING/BUDGET SUPL GM 02696 12/09 AP 06/03/09 0083514 STAPLES BUSINESS ADVANTAG 38.50 3120413813 PRINTING/BUDGET SUPL ACCOUNT TOTAL 4,863.04 542.27 4,320.77 101-4001-415.53-03 Services & Supplies / Membership Dues .00 GM 00796 04/09 AP 10/02/08 0080215 ASSOCIATION OF PUBLIC TRE 172.00 1280 MEMBERSHIP DUES GM 00779 04/09 AP 10/07/08 0080022 CA SOC OF FINANCE OFFICER 110.00 J FALCONER MUNICIPAL DUES GM 01152 06/09 AP 11/19/08 0080811 GOVERNMENT FINANCE OFFICE 220.00 0052618 MEMBERSHIP DUES GM 01957 08/09 AJ 02/28/09 AJE 8-040 RECLASS ACCOUNTS 195.00 GM 02111 09/09 AJ 03/31/09 AJE 9-022 RECLASS HUG MEMBERSHIP 195.00 ACCOUNT TOTAL 892.00 101-4001-415.53-04 Services & Supplies / Subscriptions/Publication GM 00267 02/09 AP 07/31/08 0079419- HDL COREN & CONE 495.00 0013708 -IN CAFR REPORTS GM 00433 03/09 AP 08/21/08 0079604 HINDERLITER DE LLAMAS & A 975.00 014460 -IN SALES TAX 3RD QTR GM 01038 05/09 AP 11/06/08 0080629 HINDERLITER DE LLAMAS & A 1,203.60 0014635 -IN SALES TAX 4TH QTR GM 01038 05/09 AP 11/14/08 0080721 WALL STREET JOURNAL 322.17 ANNUAL RENEWAL 892.00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AUCIVITY LISTING rAtit 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 ----------------------- ------------------------------------------------------------------------------------------------------------- 101-4001-415.53-04 Services & Supplies / Subscriptions/Publication GM 01461 06/09 AJ 12/31/08 AJE 6-047 RECLASS EXPENSES GM 01461 06/09 AJ 12/31/08 AJE 6-047 RECLASS EXPENSES GM 02727 12/09 AP 06/09/09 0083410 FALCONER, JOHN AP ADS STAPLES BUSINESS ADVANTAG 2617595 GM GOV ACCTING BOOKS GM 02788 12/09 AP 06/16/09 0083427 HINDERLITER DE LLAMAS & A CO 07/04/08 0079109 STAPLES BUSINESS ADVANTAG 0015377 -IN 3251597 4TH QTR SALES TAX GM 02990 12/09 AJ 06/30/09 AJE 12-125 RECLASS HDL TO CORR ACCT GM 02886 12/09 AP 06/30/09 0083608 SILVERROCK RESORT 3104922906 SUPPLIES 97-829622 00103 '09 4TH QTR SALES TX ACCOUNT TOTAL 101-4001-415.54-01 Services & Supplies / Information Tech Charges GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG ACCOUNT -TOTAL 101-4001-415.55-01 Other Services / Advertising GM 00960 GM 00309 02/09 AP 07/01/08 0079396 DESERT SUN PUBLISHING CO OFFICE SUPPLIES GM 00960 3251597 AP ADS STAPLES BUSINESS ADVANTAG GM 00309 02/09 AP 07/12/08 0079396 DESERT SUN PUBLISHING CO 07/04/08 0079109 STAPLES BUSINESS ADVANTAG 3251597 ADS 3104922907 SUPPLIES GM 01040 05/09 AP 11/02/08 0080602 DESERT SUN PUBLISHING CO 3104922906 SUPPLIES 3662 00103 ADS AP 07/08/08 0079109 STAPLES BUSINESS GM 01761 08/09 AP 12/27/08 0081756 DESERT SUN PUBLISHING CO 01/09 AP 07/16/08 0079109 STAPLES BUSINESS 4560 AD -SURPLUS 3105640054 GM 02446 11/09 AP 03/14/09 0082802 DESERT SUN PUBLISHING CO 0862. ADS GM 02889 12/09. AP 06/28/09 0083628 DESERT SUN PUBLISHING CO 2573 SURPLUS ADS ACCOUNT TOTAL 101-4001-415.56-01 Services & Supplies / Office Supplies GM 00960 05/09 AP 06/14/08 0080492 STAPLES BUSINESS ADVANTAG 3104271314 OFFICE SUPPLIES GM 00960 05/09 AP 06/26/08 0080492 STAPLES BUSINESS ADVANTAG 3104608047 RETURN CREDIT GM 00103 01/09 AP 07/04/08 0079109 STAPLES BUSINESS ADVANTAG 3104922907 SUPPLIES GM 00103 01/09 AP 07/04/08 0079109 STAPLES BUSINESS ADVANTAG 3104922906 SUPPLIES GM 00103 01/09 AP 07/08/08 0079109 STAPLES BUSINESS ADVANTAG 3105371921 SUPPLIES GM 00160 01/09 AP 07/16/08 0079109 STAPLES BUSINESS ADVANTAG 3105640054 SUPPLIES 60.00 975.00 5.00 4,035.77 37,705.00 37,705.00 612.54 418.32 313.74 557.76 418.32 557.76 2,878.44 50.86 9.98 377.52 141.38 180.46 975.00 1,203.60 975.00 3,153.60 114.43 882.17 .00 37,705.00 .00 2,878.44 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 7-------------------------------------------------------------------------------- DEBITS •CREDITS BALANCE 101-4001-415.56-01 Services & Supplies / Office Supplies GM 00130 01/09 AP 07/18/08 0079092 RIVERSIDE RUBBER STAMP & 43.09 08-53792 SUPPLIES -DATE STAMP GM 00160 01/09 AP 07/19/08 0079109 STAPLES BUSINESS ADVANTAG 124.48 3105839679 SUPPLIES GM 00256 02/09 AP 07/24/08 0079235 HSBC BUSINESS SOLUTIONS 26.06 030125618 SUPPLIES GM 00232. 02/09 AP 07/25/08 0079288 STAPLES BUSINESS ADVANTAG 180.46 3105915434 CREDIT INVOICE GM 00213 02/09 AP 08/01/08 0079288 STAPLES BUSINESS ADVANTAG 195.03 3105899533 OFFICE SUPPLIES GM 00322 02/09 AP 08/07/08 0079484 STAPLES BUSINESS ADVANTAG 50.10 3106701409 SUPPLIES GM 00348 02/09 AP 08/19/08 0079484 STAPLES BUSINESS ADVANTAG 48.85 3107180177 SUPPLIES GM 00492 03/09 AP 08/27/08 0079832 HSBC BUSINESS SOLUTIONS 35.64 30957500 OFFICE SUPPLIES GM 00529 •03/09 AP 09/10/08 0079909 STAPLES BUSINESS ADVANTAG 71.15 3108238203 SUPPLIES GM 00667 04/09 AP 09/25/08 0080124 STAPLES BUSINESS ADVANTAG 83.70 3108804585 OFFICE SUPPLIES GM 00743 04/09 AP 10/03/08 0080124 STAPLES BUSINESS ADVANTAG 68.64 3109146688 OFFICE SUPPLIES GM 00767 04/09 AP 10/03/08 0080087 MCDOWELL AWARDS 23.71 2008-2315 SUPPLIES -NAME PLATES GM 00865 04/09 AP 10/16/08 0080313 STAPLES BUSINESS ADVANTAG 122.25 3109999923 OFFICE SUPPLIES GM 00936 05/09 AP 10/22/08 0080492 STAPLES BUSINESS ADVANTAG 18.11 3110229622 OFFICE SUPPLIES GM 00937 05/09 AP 10/23/08 0080492 STAPLES BUSINESS ADVANTAG 29.16 3110250654 OFFICE SUPPLIES GM 00960 05/09 AP 10/31/08 0080492 STAPLES BUSINESS ADVANTAG 65.36 3110549517 OFFICE SUPPLIES GM 01020 05/09 AP 11/03/08 0080465 OFFICE DEPOT 10.66 449769390-001 OFFICE SUPPLIES GM 01038 05/09 AP 11/04/08 0080704 STAPLES BUSINESS ADVANTAG 15.25 3111072373 ! OFFICE SUPPLIES GM 01038 05/09 AP 11/05/08 0080704 STAPLES BUSINESS ADVANTAG 74.38 3111087484 OFFICE SUPPLIES GM 01038 05/09 AP 11/05/08 0080704 STAPLES BUSINESS ADVANTAG 32.80 3111087485 OFFICE SUPPLIES GM 01040 05/09 AP 11/14/08 0080704 STAPLES BUSINESS ADVANTAG 58.61 3111347769 OFFICE SUPPLIES GM 01150 06/09 AP 11/18/08 0080866 STAPLES BUSINESS ADVANTAG 9.07 3111566330 REFUND CREDIT GM 01190 06/09 AP 11/27/08 0080866 STAPLES BUSINESS ADVANTAG 40.59 3111858498 OFFICE SUPPLIES GM 01261 06/09 AP 11/27/08 0081108 STAPLES BUSINESS ADVANTAG 9.72 31111858499 OFFICE SUPPLIES GM 01460 07/09 AP 12/28/08 0081236 SMART & FINAL 13.46 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING 0825 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP --------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N -------------------------------------------------------------------- DEBITS CREDITS BALANCE -------------- 101-4001-415.56-01 Services 8 Supplies / Office Supplies 3583410156516 OFFICE SUPPLIES GM 01458 07/09 AP 12/31/08 0081238 STAPLES BUSINESS ADVANTAG 111.44 3113172268 OFFICE SUPPLIES GM 01531. 07/09 AP 01/10/09 0081439 STAPLES BUSINESS ADVANTAG 28.52 3113889190 OFFICE SUPPLIES GM 01607 08/09 AP 01/21/09 0081636 STAPLES BUSINESS ADVANTAG 67.41 3114238422 OFFICE SUPPLIES GM 01607 08/09 AP 01/23/09 0081627 RIVERSIDE RUBBER STAMP 8 23.91 09-55600 SUPPLIES-DEPT STAMP GM 01761 08/09 AP 02/03/09 0081852 STAPLES BUSINESS ADVANTAG 101.07 3115090375 OFFICE SUPPLIES GM 01770 08/09 AP 02/07/09 0081852 STAPLES BUSINESS ADVANTAG 6.44 3115325295 OFFICE SUPPLIES GM 01770 08/09 AP 02/07/09 0081852- STAPLES BUSINESS ADVANTAG 39.88' 3115325300 OFFICE SUPPLIES GM 01873 09/09 AP 02/18/09 0082046 STAPLES BUSINESS ADVANTAG 61.13 3115.617841 OFFICE SUPPLIES GM 01977 09/09 AP 03/06/09 0082305 STAPLES BUSINESS ADVANTAG 27.94 3116447078 OFFICE SUPPLIES GM 02271 10/09 AP 03/30/09 0082655. OFFICE DEPOT 140.60 469319771-001 OFFICE SUPPLIES GM 02271 10/09 AP 04/06/09 0082655 OFFICE DEPOT 140.60 469462814-001 RETURN CREDIT GM 02475 11/09 AP 04/14/09 0083032 HSBC BUSINESS SOLUTIONS 59.16 044650156 OFFICE SUPPLIES GM 02275 10/09 AP 04/16/09 0082684 STAPLES BUSINESS ADVANTAG 82.91 3118224333 OFFICE SUPPLIES GM 02275 10/09 AP 04/16/09 0082684 STAPLES BUSINESS ADVANTAG 21.59 3118224334 OFFICE SUPPLIES GM 02341 11/09 AP 04/22/09 0082891 STAPLES BUSINESS ADVANTAG 32.04 3118436400 OFFICE SUPPLIES GM 02475 11/09 AP 05/02/09 0083086 STAPLES BUSINESS ADVANTAG 57.13 3119151439 OFFICE SUPPLIES GM 02527 11/09 AP 05/05/09 0083086 STAPLES BUSINESS ADVANTAG 11.95 3119176147 OFFICE SUPPLIES GM 02638 12/09 AP 05/05/09 0083201 HSBC BUSINESS SOLUTIONS 9.35 045999817 OFFICE SUPPLIES GM 02475 11/09 AP 05/06/09 0083086 STAPLES BUSINESS ADVANTAG 135.80 3119195938 OFFICE SUPPLIES GM 02527 11/09 AP 05/13/09 0083086 STAPLES BUSINESS ADVANTAG 11:95 3119430627 RETURN CREDIT GM 02696 12/09 AP 06/03/09 0083514 STAPLES BUSINESS ADVANTAG 77.]R 3120413813 PRINTING/BUDGET SUPL GM 02790 12/09 AP 06/06/09 0083514 STAPLES BUSINESS ADVANTAG 89.23 3120625589 • OFFICE SUPPLIES GM 02870 12/09 AP 06/26/09 0083687 STAPLES BUSINESS ADVANTAG 160.30 3121189151 OFFICE SUPPLIES GM 02926 12/09 AP 07/10/09 0083905 STAPLES BUSINESS ADVANTAG 22.80 3121928475 RETURN CREDIT PREPAREL .J/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.56-01 Services & Supplies / Office Supplies ACCOUNT TOTAL 101-4001-415.56-02 Services & Supplies / Operating Supplies GM 00595. 03/09 AP 09/19/08 0079909 STAPLES BUSINESS ADVANTAG 3108559974 SUPPLIES GM 02057 09/09 AJ 03/31/09 AJE 9-016 RECLASS TO CORR ACCOUNT GM 02638 12/09 AP 05/25/09 0083222 OFFICE DEPOT 475302271-001 PRINTING-BDGT CVR ACCOUNT TOTAL 101-4001-415.71-01 Capital Purchases / Machinery & Equipment ACCOUNT TOTAL 101-4001-415.71-02 Capital Purchases / Furniture ACCOUNT TOTAL 101-4001-415.71-03 Capital Purchases / Vehicles ACCOUNT TOTAL 101-4001-415.91-11 Reimbursed Gen Fund Exp / Personnel GM 00193 01/09 AJ 07/31/08 JE 01-024 RDA SAL REIMB GM 00525 02/09 AJ 08/31/08 JE 02-040 RDA SAL REIMB GM 00716 03/09 AJ 09/30/08 AJE 3-023 SEP108 CIP ADMIN ACTIVITY GM 00771 03/09 AJ 09/30/08 JE 03-033 RDA SAL REIMB GM 00776 04/09 AJ 10/3'1/08 JE 04-006 RDA SAL REIMB GM 01047 04/09 AJ 10/31/08 AJE 4-052 REIMBURSEMENT PERSONNEL GM 01270 05/09 AJ 11/30/08 JE 05-025 RDA SAL REIMB GM 01376 06/09 AJ 12/31/08 JE 06-033 RDA SAL REIMB GM 01452 06/09 AJ 12/31/08 AJE 6-043 DEC108 CIP ADMIN ACTIVITY GM 01663 07/09 AJ 01/31/09 JE 07-025 RDA SAL REIMB GM 01808 08/09 AJ 02/28/09 JE 08-009 RDA SAL REIMB GM 01968 09/09 AJ 03/31/09 JE 09-011 RDA SAL REIMB GM 02234 09/09 AJ 03/31/09 AJE 9-036 MAR109 CIP ADMIN ACTIVITY GM 02118 10/09 AJ 04/30/09 JE 10-004 RDA SAL REIMB GM 02573 11/09 AJ 05/31/09 JE 11-027 RDA SAL REIMB GM 02651 11/09 AJ 05/31/09 AJE 11-035 REIMBURSE FIRE PERSONNEL GM 02578 12/09 AJ 06/30/09 JE 12-004 RDA SAL REIMB GM 02945 12/09 AJ 06/30/09 AJE 12-081 4th QTR CIP ADMIN ACTIVIT GM 02951 12/09 AJ 06/30/09 AJE 12-087 ADD'L JUNE109 CIP ADMIN 3,297.34 32.35 152.27 36.40 221.02 547.95 7,242.00 .7,242.00 2,433.64 7,242.00 7,242.00 5,555.50 7,242.00 7,242.00 6,603.31 7,242.00 7,242.00 7,242.00 7,075.55 7,242.00 7,242.00 16,666.50 7,242.00 5,038.68 44.50 2,749.39 .00 221.02 .00 .00 .00 .00 .00 .00 .00 PREPAREL ../12/2010, 9:26:27 ; GENERAL LEDGED ..IIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-4001-415.91-11 Reimbursed Gen Fund Exp / Personnel ACCOUNT TOTAL 130,321.68 130,321.68CR 101-4001-415.91.-12'Reimbursed Gen Fund Exp / Supplies/Service .00 GM 00192 01/09 AJ 07/31/08 JE 01-023 RDA SVC/SUPPLIES REIMB 167.00 GM 00524 02/09 AJ 08/31/08 JE 02-039 RDA SVC/SUPPLIES REIMB 167.00 GM 00716 03/09 AJ 09/30/08 AJE 3-023 SEP108 CIP ADMIN ACTIVITY 1.50 GM 00770 03/09 AJ 09/30/08 JE 03-032 RDA SVC/SUPPLIES REIMB 167.00 GM 00775 04/09 AJ'10/31/08 JE 04-005 RDA SVC/SUPPLIES REIMB 167.00 GM 01269 05/09 AJ 11/30/08 JE 05-024 RDA SVC/SUPPLIES REIMB 167.00 GM 01375 06/09 AJ 12/31/08 JE 06-032 RDA SVC/SUPPLIES REIMB 167.00 GM 01452 06/09 AJ 12/31/08 AJE 6-043 DEC108 CIP ADMIN ACTIVITY 12.45 GM 01662 07/09 AJ 01/31/09 JE 07-024 RDA SVC/SUPPLIES REIMB 167.00 GM 01807 08/09 AJ 02/28/09 JE 08-008• RDA SVC/SUPPLIES REIMB 167.00. GM 01967 09/09 AJ 03/31/09 JE 09-010 RDA SVC/SUPPLIES REIMB 167.00 GM 02234 .09/09 AJ 03/31/09 AJE 9-036 MAR109 CIP ADMIN ACTIVITY 10.16 GM 02117 10/09 AJ 04/30/09 JE 10-003 RDA SVC/SUPPLIES REIMB 167.00 GM 02572 11/09 AJ 05/31/09 JE 11-026 RDA SVC/SUPPLIES REIMB 167.00 GM 02577 12/09 AJ 06/30/09 JE 12-003 RDA SVC/SUPPLIES REIMB 167.00 GM 02945 12/09 AJ 06/30/09 AJE 12-081 4th QTR CIP ADMIN ACTIVIT 19.78 ACCOUNT TOTAL 2,047.89 2,047.89CR 101-4002-415.10-01 Salaries & Wages / Permanent Full Time •.00 ACCOUNT TOTAL .00 101-4002-415.10-03 Salaries & Wages / Salaries - Part Time .00 ACCOUNT TOTAL .00 101-4002-415.10-05 Salaries & Wages / Temporary Agency Services .00 ACCOUNT TOTAL .00 101-4002-415.10-18 Salaries & Wages / Natural Disaster - FEMA .00 ACCOUNT TOTAL. .00 101-4002-415.20-01 Employee Benefits / PERS-City Portion .00 ACCOUNT TOTAL .00 PREPAREL wJ/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 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 101-4002-415.20-02 Employee Benefits / PERS-Employee Portion .00 ACCOUNT TOTAL .00 101-4002-415.20-03 Employee Benefits / PERS-Survivor Benefits .00 ACCOUNT TOTAL .00 101-4002-415.21-01 Insurance Benefits / Medical Insurance .00 ACCOUNT TOTAL .00 101-4002-415.21-02 Insurance Benefits /. Vision Insurance .00 ACCOUNT TOTAL .00 101-4002-415.21-03 Insurance Benefits / Dental Insurance .00 ACCOUNT -TOTAL .00 101-4002-415.21-05 Insurance Benefits / Life Insurance .00 .ACCOUNT TOTAL .00 101-4002-415.21-06 Insurance Benefits / Flexible Compensation .00 ACCOUNT TOTAL .00 101-4002-415.21-07 Insurance Benefits / Long Term Disability .00 ACCOUNT TOTAL .00 101-4002-415.25-01 Workers Comp Insurance / Workers Comp Insurance .00 ACCOUNT TOTAL .00 101-4002-415.27-01 Other Benefits 8 Deduc. / State Unemployment SUI .00 ACCOUNT TOTAL .00 PREPAREL -/12/2010, 9:26.:27 GENERAL LEDGEk murIVITY LISTING -PAGE 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 ------------------------------- --------------------------- ---------------------------------------------- ---------------------------- 101-4002-415.27-03 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 101-4002-415.30-03 Contract Services / Technical ACCOUNT TOTAL 101-4002-415.41-22 Utilities / Telephone GM 00081 01/09 AP 07/01/08 0078933 345-1471 GM 00081 01/09 AP 07/01/08 0078933 777-1222 GM 00122 01/09 AP 07/01/08 0078959 771-0231 GM 00188 01/09 AP 07/01/08 0079157. 8203372-0 GM 00188 01/09 AP 07/01/08 0079157 8203372-0 GM 00188 01/09 AP 07/01/08 0079157 8203372-0 GM 00188 01/09 AP 07/01/08 0079157 8203372-0 GM 00188 01/09 AP 07/01/08 0079157 8203372-0 GM 00263 02/09 AP 07/01/08 0079330 564-9171 GM 00122 01/09 AP 07/10/08 0078960 26642562 GM 00263 02/09 AP 07/22/08 0079330 564-9180 GM 00325 02/09 AP 07/23/08 0079349 8724741-0 GM 00325 02/09 AP 07/23/08 0079349 8724741-0 GM 00325 02/09 AP 07/23/08 0079349 8724741-0 GM 00325 02/09 AP 07/23/08 0079349 VERIZON CALIFORNIA 87.94 PHONE SVC VERIZON CALIFORNIA 88.09 PHONE SVC VERIZON CALIFORNIA 36.16 PHONE SVC-WASHGTN/EISEN. . TELEPACIFIC COMMUNICATION 346.14 PHONE SVC TELEPACIFIC COMMUNICATION 786.14 PHONE SVC TELEPACIFIC COMMUNICATION 38.41 PHONE SVC TELEPACIFIC COMMUNICATION 1,944.30 PHONE SVC TELEPACIFIC COMMUNICATION 232.16 PHONE SVC -SR CTR VERIZON CALIFORNIA 93.04 PHONE SVC VERIZON ON LINE 79.95 INTERNET ACCESS VERIZON CALIFORNIA 93.02 PHONE SVC TELEPACIFIC COMMUNICATION 646.24 PHONE SVC TELEPACIFIC COMMUNICATION 791.62 PHONE SVC TELEPACIFIC COMMUNICATION 38.42 PHONE SVC TELEPACIFIC COMMUNICATION 1,944.69 .00 .00 .00 .00 .00 .00 .00 .00 .00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 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 101-4002-415.41-22 Utilities / Telephone 8724741-0 PHONE SVC GM 00325 02/09 AP 07/23/08 0079349 TELEPACIFIC COMMUNICATION 235.07 8724741-0 PHONE SVC GM 00263 02/09 AP 07/25/08 0079331 VERIZON ON LINE 296.34 32833097 DSL a LQ PARK GM 00263 02/09 AP 07/25/08 0079330 VERIZON CALIFORNIA 35.80 771-2109 WASGTN/EISEN MEDIAN GM 00244 02/09 AP 07/26/08 0079174 NEXTEL, COMMUNICATIONS 1,653.93 916525027-072 MOBILE PHONE SVC GM 01262 06/09 AP 07/31/08 0081030 GOAM MEDIA 571.45 01582B53F6E13B3 PHONE/YELLOW PGS GM 00325 02/09 •AP 08/01/08 0079352 VERIZON CALIFORNIA 35.83 771-0231 WASINGTON/EISENHOWER GM 00325 02/09 AP 08/01/08 0079352 VERIZON CALIFORNIA 87.94 345-1471 PHONE SVC GM 00532 03/09 AP 08/01/08 0079719 VERIZON CALIFORNIA 93.04 564-9171 PHONE SVC GM 00325 02/09 AP 08/04/08 0079352 VERIZON CALIFORNIA 88.11 777-1222 PHONE SVC CR 00274 02/09 CR 08/06/08 0001425 PERSONAL CALLS - JMF 5.00 CASHVO 08/06/08 01 GM 00433 03/09 AP 08/08/08 0079657 US -YELLOW 297.00 1418507-301 PHONE GM 00325 02/09 AP 08/10/08 0079353 VERIZON ON LINE 79.95 38751286 INTERNET ACCESS GM 00436 03/09 AP 08/22/08 0079558 VERIZON CALIFORNIA 93.04 564 9188 PHONE SVC GM 00436 03/09 AP 08/25/08 0079559 VERIZON ON LINE 79.99 44719379 DSL/LQ PARK GM 00532 03/09 AP 08/25/08 0079719 VERIZON CALIFORNIA• 35.83 771-2109 PHONE SVC GM 00532 03/09 AP 09/01/08 0079719 VERIZON CALIFORNIA 93.04 564-9171 PHONE SVC GM 00532 03/09 AP 09/01/08 0079719 VERIZON CALIFORNIA 87.94 345-1471 PHONE SVC GM 00532 03/09 AP 09/01/08 0079719 VERIZON CALIFORNIA 35.83 771-0231 PHONE SVC GM 00532 03/09 AP 09/04/08 0079719 VERIZON CALIFORNIA 88.10• 777-1222 PHONE SVC CR 00480. 03/09 CR 09/05/08 0002839 VERIZON RFND/760 564-3039 15.58 DMARTIN 09/05/08 01 GM 00532 03/09 AP 09/10/08 0079720 VERIZON ON LINE 79.95 49376296 INTERNET SVC GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 412.57 9456510-0 PHONE SVC GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 774.23 9456510-0 PHONE SVC GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 38.42 9456510-0 78106 FRANCIS HACK PREPAREL VJ/•12/2010, 9:26:27 GENERAL LEDGEK m� IVITY LISTING rn�t 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 101-4002-415.41-22 Utilities / Telephone GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 1,944.69 9456510-0 PHONE SVC GM 01153 06/09 AP 09/23/08 0080761 TELEPACIFIC COMMUNICATION 230.52 9456510-0 PHONE SVC GM 00720 04/09 AP 09/25/08 0080001 VERIZON ON LINE 79.99 54713297 DSL 2 LQ PARK GM 00720 04/09 AP 09/25/08 0080000 VERIZON CALIFORNIA 35.83 771-2109 WASH/EISEN MEDIAN GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 413.08 8886344-0 PHONE SVC GM 00636 04/09 AP 10/01/08 007.9960 TELEPACIFIC COMMUNICATION 816.40 •8886344-0 PHONE SVC GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 38.42 8886344-0 PHONE SVC GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 1,944.71 8886344-0 PHONE SVC GM 00636 04/09 AP 10/01/08 0079960 TELEPACIFIC COMMUNICATION 234.72 8886344-0 PHONE SVC GM 00790 04/09 AP 10/01/08 0080182 VERIZON CALIFORNIA 87.94 • 345-1471, PHONE SVC GM 00845 04/09 AP 10/01/08 0080199 VERIZON CALIFORNIA 35.84 771-0231 WASH/EISENHOWER GM 00790 04/09 AP 10/04/08 0080182 VERIZON CALIFORNIA 88.11 777-1222 DSL PHONE SVC GM 00845 04/09 AP 10/10/08 0080200 VERIZON ON LINE •.79.95 60349506 INTERNET ACCESS GM 01033 05/09 AP 10/22/08 0080544 VERIZON CALIFORNIA •93.04 564-9188 SR CTR PAYPHONE GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 379.30 10075744-0 PHONE SVC GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 775.50 10075744-0 PHONE SVC GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 38.42 10075744-0 PHONE SVC GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 1,944.69 10075744-0 PHONE SVC GM 00976 05/09 AP 10/23/08 0080370 TELEPACIFIC COMMUNICATION 231.37 • 10075744-0 PHONE SVC GM 00976 05/09 AP 10/25/08 0080373 VERIZON ON LINE 79.99 66110417 ' DSL a LQ PARK GM 01033 05/09 AP 10/25/08 0080544 VERIZON CALIFORNIA 35.84 771-2109 WASH/EISEN MEDIAN GM 01050 05/09 AP 11/01/08 0080765 VERIZON CALIFORNIA 551.15 564-9171 PHONE SVC DISCONNECTED GM 01050 05/09 AP 11/01/08 0080765 VERIZON CALIFORNIA 87.94 345-1471 PHONE SVC GM 01050 05/09 AP 11/01/08 0080765 VERIZON CALIFORNIA 35.48 771-0231 WASH/EISEN MEDIAN . GM 01050 05/09 AP 11/04/08 0080765 VERIZON CALIFORNIA 86.95 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk A6fIVITY LISTING PAGE 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 101-4002-415.41-22 Utilities / Telephone 777-1222 DSL - PHONE SVC GM 01050 05/09 AP 11/10/08 0080556 VERIZON ON LINE 79.95 7295DI23 DSL a LQ PARK GM 01344 06/09 AP 11/14/08 0081064 MOBILE SATELLITE VENTURES 99.06 .1000085795 SATELLITE PHONES GM 01153 06/09 AP 11/17/08 0080765 VERIZON CALIFORNIA 279.12 564-9188 SR CTR PAYPHONE GM 011.53 06/09, AP 11/22/08 0080765 VERIZON CALIFORNIA 93.04 564-9188 SR CTR PAYPHONE GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 430.37 28626 PHONE SVC GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 38.42 28626 78106 FRANCIS HACK GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 1,944.69 28626 PHONE SVC GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 230.52 28626 PHONE SVC GM 01263 06/09 AP 11/23/08 0080940 TELEPACIFIC COMMUNICATION 767.36 28626 PHONE SVC CR 01156 05/09 CR 11/25/08 0007111 MISC. PHONE CALLS: JMF 5.00 CASHVO 11/25/08 01 GM 01244 06/09 AP 1'1/25/08 0080909 VERIZON CALIFORNIA 35.48 771-2109 WASH/EISEN MEDIAN GM 01244 06/09 AP 11/25/08 0080910 VERIZON ON LINE 79.99 79727473 DSL@LA PARK GM 01070 05/09 AP'11/28/08 0080568 VERIZON WIRELESS 50.41 0705416494 PC CARD GM 01263 06/09 AP 12/01/08 0080942 VERIZON CALIFORNIA 87.94 345-1471 PHONE SVC GM 01350 06/09 AP 12/01/08 0080975 VERIZON CALIFORNIA 35.48 771-0231 WASH/EISEN MEDIAN GM 01274 06/09 AP 12/03/08 0080943 VERIZON WIRELESS 50.41 0714197705 PC CARD GM 01350 06/09 AP 12/10/08 0080976 VERIZON ON LINE 79.95 87350781 DSL a LQ PARK CR 01325 '06/09 CR 12/16/08 0007884 VERIZON-RFND PAYPHONE 564 271.93 MANCILLA 12/16/08 01 GM 01443 07/09 AP 12/22/08 0081162 VERIZON CALIFORNIA 93.04 564-9188 PHONE SVC GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 394.58 11076529-0 PHONE SVC GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 767.52 11076529-0 PHONE SVC GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 42.64 11076529-0 78106 FRANCIS HACK GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 2,092.39 11076529-0 PHONE SVC GM 01443 07/09 AP 12/23/08 0081158 TELEPACIFIC COMMUNICATION 257.54 11076529-0 SENIOR CENTER PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk m6fIVITY LISTING YAWN 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 101-4002-415.41-22 Utilities / Telephone GM 01472 07/09 AP 12/23/08 0081281 VERIZON ON LINE 79.99 92565207 DSL a LQ PARK GM 01458 07/09 AP 12/28/08 0081246 U.S. TELEPHONE DIRECTORY 242.00 UT46991 PHONE DIRECTORY GM 01472 07/09 AP 01/01/09 0081280 VERIZON CALIFORNIA 92.90 345-1471 PHONE SVC GM 01472 07/09 AP 01/01/09 0081280 VERIZON CALIFORNIA 40.76 .771-0231 WASH/EISEN MEDIAN .GM 01472 07/09 AP 01/03/09 0081282 VERIZON WIRELESS 50.41 0723077490 PC CARD GM 01526 07/09 AP 01/05/09 0081453 US -YELLOW 297.00 1509304-300 PHONE GM 01472 07/09 AP 01/06/09 0081280 VERIZON CALIFORNIA 93.25 777-1222 PHONE SVC -DSL GM 01592 07/09 AP 01/10/09 0081477 VERIZON ON LINE 79.95 10698232 DSL a LQ PARK GM 01755 08/09 AP 01/22/09 0081699 VERIZON CALIFORNIA 92.90 564-9188 SR CTR PAYPHONE GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 393.98 11379124-0 PHONE SVC GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 756.05 11379124-0 PHONE SVC GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 42.49 11379124-0 78106 FRANCIS HACK GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 2,086.40 11379124-0 PHONE SVC GM 01685 08/09 AP 01/23/09 0081508 TELEPACIFIC COMMUNICATION 258.34 1.1379124-0 PHONE SVC -SR CTR GM 01755 08/09 AP 01/25/09 0081700 VERIZON ON LINE 79.99 16107046 DSL a LQ PARK GM 01755 08/09 AP 01/28/09 0081699 VERIZON CALIFORNIA 35.64. 771-2109 WASH/EISEN MEDIAN GM 01793 08/09 AP 02/01/09 0081724 VERIZON CALIFORNIA, 87.80 345-1471 LQ PARK PAYPHONE GM 01770 08/09 AP 02/04/09 0081862 US -YELLOW 297.00 1509304-301 PHONE GM 01793 08/09 AP 02/04/09 0081724 VERIZON CALIFORNIA 88.13 777-1222 PHONE SVC -DSL GM 01793 08/09 AP 02/10/09 0081725 VERIZON ON LINE 79.95 20785609 DSL a LQ PARK GM 01973 09/09. AP 02/22/09 0082100 VERIZON CALIFORNIA 92.90 564-9188 SR CTR PAYPHONE GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 131.23 11807255-0 PHONE FEES GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 390.27 11807255-0 PHONE SVC GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 755.11 11807255-0 PHONE SVC GM 01905 09/09 AP 02/23/09.0081920 TELEPACIFIC COMMUNICATION 42.49 PREPARED woi'12/2010, 9:26:27 GENERAL LEDGEk mL.IVITY LISTING rAlit 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 101-4002-415.41-22 Utilities / Telephone 11807255-0 78106 FRANCIS HACK GM 01905 09/09 AP 02/23/09 0081920 TELEPACIFIC COMMUNICATION 2,086.40 11807255-0 PHONE SVC GM 01973 09/09 AP 02/25/09 0082101 VERIZON ON LINE 79.99 26484659 DSL@LQ PARK GM 01985 09/09 AP 02/25/09 0082122 VERIZON CALIFORNIA 37.04 771-2109 WASH/EISEN MEDIAN GM 01957 08/09 AJ 02/28/09 AJE 8-040 RECLASS ACCOUNTS 35.64 GM 01985 09/09 AP 03/01/09 0082122 VERIZON CALIFORNIA 87.80 345-1471 PHONE SVC GM 01905 09/09 AP 03/02/09 0081923 VERIZON CALIFORNIA 78.20 564-9188 SHORT PAY CORR GM 01985 09/09 AP 03/04/09 0082122 VERIZON CALIFORNIA 89.82 777-1222 DSL PHONE SVC GM 01985 09/09 AP 03/10/09 0082123 VERIZON ON LINE 79.95 31742909 DSL a LQ PARK GM 02128 10/09 AP 03/22/09 0082364 VERIZON CALIFORNIA. 87.80 564-9188 SR CTR PAYPHONE GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 390.39 12350308-0 PHONE SVC GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 767.17.' 12350308-0 PHONE SVC GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 42.49 12350308-0 78106 FRANCIS HACK GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 2,086.40 12350308-0 PHONE SVC GM 02128 10/09 AP 03/23/09 0082360 TELEPACIFIC COMMUNICATION 256.19 12350308-0 SENIOR CENTER GM 02176 10/09 AP 03/25/09 0082396 VERIZON ON LINE 79.99 37616518 DSL a LQ PARK GM 02264 10/09 AP 03/25/09 0082530 VERIZON CALIFORNIA 36.68 773-2109 WASH/EISEN MEDIAN GM 02264 10/09 AP 04/01/09 0082530 VERIZON CALIFORNIA 87.93 345-1471 LQ PARK PAYPHONE GM 02264 10/09 AP 04/04/09 0082530 VERIZON CALIFORNIA 120.12 777-1222 DSL PHONE SVC CR 02204 10/09 CR 04/07/09 0014654 FALCONER/REIM PERS PHONE 5.00 DMARTIN 04/07/09 01 GM 02277 10/09 AP 04/10/09 0082553• VERIZON ON LINE 79.95 43054021 DSL a LQ PARK GM 02467 11/09 AP 04/22/09 0082948 VERIZON CALIFORNIA 47.09 564.9188 SR CTR PAYPHONE GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 390.89 12778129-0 PHONE SVC GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 774.55 12778129-0 PHONE SVC GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 42.63 12778129-0 78106 FRANCIS HACK GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 2,092.00 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER — IVITY LISTING rapt 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 101-4002-415.41-22 Utilities / Telephone 12778129-0 PHONE SVC GM 02434 11/09 AP 04/23/09 0082757 TELEPACIFIC COMMUNICATION 257.03 12778129-0 SENIOR CENTER GM 02434 11/09 AP 04/25/09 0082759 VERIZON ON LINE 79.99 48889361 DSL 2 LQ PARK GM 02467 11/09 AP 04/25/09 0082948 VERIZON CALIFORNIA 36.98 771-2109 WASH/EISEN MEDIAN GM 02467 11/09 AP 05/01/09 0082948 VERIZON CALIFORNIA 87.93 345-1471 LQ PARK PAYPHONES GM 02551 11/09 AP 05/04/09 0082969 VERIZON CALIFORNIA 117.33 777-1222 PHONE SVC -DSL GM 02551 11/09 AP 05/10/09 0082970 VERIZON ON LINE 79•.95 54426223 DSL a LQ PARK GM 02650 12/09 AP 05/22/09 0083148 VERIZON CALIFORNIA 87.93 564-9188 SR CTR PAYPHONE GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 390.73 13361992-0 PHONE SVC GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 755.87 13361992-0 PHONE SVC GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 42.63 13361992-0 78106 FRANCIS HACK GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 2,092.00 13361992-0 PHONE SVC GM 02650 12/09 AP 05/23/09 0083147 TELEPACIFIC COMMUNICATION 259.53 13361992-0 PHONE SVC GM 02650 12/09 AP 05/25/09 0083149 VERIZON ON LINE 79.99 60394191 DSL a LQ PARK GM 02739 12/09 AP 05/25/09 0083302 VERIZON CALIFORNIA 36.98 771-2109 WASH/EISEN MEDIAN GM 02810 12/09 AP 06/01/09 0083340 VERIZON CALIFORNIA 87.93 345-1471 LQ PARK PAYPHONE CR 02667 12/09 CR 06/02/09 0017846 PERSONAL CALLS 5.00 CASHVO 06/02/09 01 GM 02739 12/09 AP 06/04/09 0083302 'VERIZON CALIFORNIA 117.33 777-1222 PHONE SVC -DSL GM 02810 12/09 AP 06/10/09 0083341 VERIZON ON LINE 79.95 65979965 DSL 2 LQ PARK GM 02905 .12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 403.11 13946747-0 PHONE SVC GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 748.41 13946747-0 PHONE SVC GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 42.09 13946747-0 78106 FRANCIS HACK GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 2,083.86 13946747-0 PHONE SVC GM 02905 12/09 AP 06/23/09 0083786 TELEPACIFIC COMMUNICATION 252.54 13946747-0 PHONE SVC GM 02918 12/09 AJ 06/30/09 JE 12-067 RECL VERIZON EXP 148.17 GM 01274 06/09 AP 12/04/09 0080942 VERIZON CALIFORNIA 86.95 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER A6 IVITY LISTING taut 836 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.41-22 Utilities / Telephone 777-1222 PHONE SVC -DSL GM 01472 07/09 AP 12/25/09 0081280 VERIZON CALIFORNIA 35.48 771-2109 WASH/EISEN MEDIAN GM 01905 09/09 AP 10/14/24 0081920 TELEPACIFIC COMMUNICATION 254.94 11807255-0 SENIOR CENTER ACCOUNT TOTAL 55,778.01 858.66 54,919.35 101-4002-415.41-25 Utilities / Telephone -Mobile .00 GM 00590 03/09 AP 06/13/08 0079739 VERIZON WIRELESS 1,804.74 0665061773 MOBILE PHONES GM 00103 01/09 AP 07/01/08 0079125 USA MOBILITY WIRELESS, IN 195.45 R3393252G PAGERS GM 00232 02/09 AP 07/01/08 0079281 RIVERSIDE COUNTY INFORMAT 28.81 90007-0806 TWO-WAY RADIOS GM 00406 03/09 AP 07/02/08 0079664 WIRELESS WATCHDOGS 244.00 69187 MOBILE PHONES GM 00442 03/09 AP 07/02/08 0079664 WIRELESS WATCHDOGS 244.00 69187 MOBILE PHONES GM 00495 03/09 AP 07/02/08 0079690 WIRELESS WATCHDOGS 244.00 69187 MOBILE PHONES GM 00232 02/09 AP 07/08/08 0079307 WIRELESS WATCHDOGS 58.20 69418 MOBILE PHONE GM 00590 03/09 AP 07/13/08 0079739 VERIZON WIRELESS 1,849.26 0673621958 MOBILE PHONES GM 00232 02/09 AP 07/14/08 0079257 MOBILE SATELLITE VENTURES 53.86 100005795 SATELITE PHONES GM 00331 02/09 AP 07/29/08 0079500 WIRELESS WATCHDOGS 244.00 70098 MOBILE PHONES GM 00436 03/09 AP 07/29/08 0079560 VERIZON WIRELESS 50.41 0670414145 PC CARD GM 00257 02/09 AP 08/01/08 0079298 USA MOBILITY WIRELESS, IN 118.03 R3393252H PAGERS GM 00327 02/09 AP 08/01/08 0079472 RIVERSIDE COUNTY INFORMAT 28.81 90007-0807 2 -WAY PHONES GM 00325 02/09 AP 08/03/08 0079354 VERIZON WIRELESS 67.46 678995554 PC CARD GM 00590 03/09 AP 08/13/08 0079739 VERIZON WIRELESS 10851.09 0682213579 MOBILE PHONES GM 00406 03/09 AP 08/14/08 0079621 MOBILE SATELLITE VENTURES 53.86 1000085795 SATELITE PHONES GM 00535 03/09 AP 08/25/08 0079914 TESSCO INCORPORATED 130.57 916592 2 WAY PHONE SUPPLIES GM 00590 03/09 AP 08/26/08 0079733 NEXTEL COMMUNICATIONS 1,729.21 916525027 MOBILE PHONES GM 00535 03/09 AP 09/01/08 0079897 RIVERSIDE COUNTY INFORMAT 28.81 90007-0808 2 WAY PHONES GM 00535 03/09 AP 09/01/08 0079921• USA MOBILITY WIRELESS, IN 122.20 PREPAREL w4.'12/2010, 9:26:27 GENERAL LEDGEk MLiIVITY LISTING rwut 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 101-4002-415.41-25 Utilities / Telephone -Mobile R3393252-6 PAGERS GM 00493 03/09 AP 09/02/08 0079932 WIRELESS WATCHDOGS 244.00 71102 MOBILE PHONES GM 00495 03/09 AP 09/03/08 0079688 VERIZON WIRELESS 50.41 0687625160 898-5410 PC CARD GM 00491 03/09 AP 09/09/08 0079664 WIRELESS WATCHDOGS 244.00 69187 MOBILE PHONES GM 00491 03/09 AP 09/09/08 0079664 WIRELESS WATCHDOGS 244.00 69187 MOBILE PHONES GM 00590 03/09 AP 09/13/08 0079739 VERIZON WIRELESS 1,844.51 0690882920 MOBILE PHONES GM 00779 04/09 AP 09/14/08 0080090 MOBILE SATELLITE VENTURES 53.86 1000085795 SATELLITE PHONES GM 00690 04/09 AP 09/17/08 0080144 WIRELESS WATCHDOGS 58.19 71503 PHONE SUPPLIES GM 00636 04/09 AP 10/01/08 0079955 NEXTEL COMMUNICATIONS 2,140.39 916525027-074 MOBILE PHONES GM 00885 04/09 AP 10/01/08 0080299 RIVERSIDE COUNTY INFORMAT 28.81 90007-0809 2 WAY PHONES GM 00779 04/09 AP 10/02/08 0080144 WIRELESS WATCHDOGS 244.00 71897 MOBILE PHONES GM 00924 04/09 AP 10/02/08 0080349 USA.MOBILITY WIRELESS, IN 195.36 R3393252J PAGERS GM 00845 04/09 AP 10/03/08 0080201 VERIZON WIRELESS 50.41 0696671421 PC CARD GM 00720 04/09 AP 10/08/08 0079975 CASH/PETTY CASH 19.72 100808 REPLENISH CASH GM 00924 04/09 AP 10/13/08 0080352 VERIZON WIRELESS 1,848.62 0699728803 MOBILE PHONES GM 00936 05/09 AP 10/14/08 0080461 MOBILE SATELLITE VENTURES 53.86 1000085795 SATELLITE PHONES GM 00937 05/09 AP 10/22/08 0080519 WIRELESS WATCHDOGS 80.82 72311 MOBLIE SUPPLIES GM 01012 05/09 AP 10/23/08 0080519 WIRELESS WATCHDOGS 60.36 72376 MOBILE SUPPLIES GM 00924 04/09 AP 10/26/08 0080342 NEXTEL COMMUNICATIONS 2,045.51 91.6525027-075 MOBILE PHONES GM 01012 05/09 AP 10/30/08 0080519 WIRELESS WATCHDOGS 248.00 72497 MOBILE PHONES. GM 01012 05/09 AP 10/31/08 0080519 WIRELESS WATCHDOGS 92.66 72602 MOBILE SUPPLIES GM 01061 05/09 AP 11/01/08 0080694 RIVERSIDE COUNTY I.NFORMAT 28.81 90007-0810 , 2 WAY RADIOS GM 01057 05/09 AP 11/02/08 0080716 USA MOBILITY WIRELESS, IN 110.49 R3393252K ' PAGERS GM 01061 05/09 AP 11/02/08 0080724 WIRELESS WATCHDOGS 92.66 72657 MOBILE PH SUPPLIES GM 02746 12/09 AP 11/03/08 0083551 WIRELESS WATCHDOGS 80.82 72723 MOBILE PH SUPPLIES PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk A,.rIVITY LISTING rAUE 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 0 N DEBITS CREDITS BALANCE 101-4002-415.41-25 Utilities / Telephone -Mobile GM 01153 06/09 AP 11/13/08 0080766 VERIZON WIRELESS 1,978.70 0708490046 MOBILE PHONES GM 01153 06/09 AP 11/26/08 0080754 NEXTEL COMMUNICATIONS 1,963.45 916525027-076 MOBILE PHONES GM 01214 06/09 AP 11/30/08 0080779 APCO 31010.00 56047 REPEATERS GM 01214 06/09 AP 12/01/08 0080883 WIRELESS WATCHDOGS 248.00 73339 MOBILE PHONES GM 01290 06/09 AP 12/01/08 0080958 USA MOBILITY WIRELESS, IN 99.44 R3393252L PAGERS GM 01344 06/09 AP 12/01/08 0081097 RIVERSIDE COUNTY INFORMAT 28.81 90007-0811 2 -WAY PHONES GM 01291 06/09 AP 12/12/08 0081131 WIRELESS WATCHDOGS 114.23 73666 MOBILE SUPPLIES GM 01290 06/09 AP 12/13/08 0080960 VERIZON WIRELESS 1,951.42 0717308505 MOBILE PHONES GM 01472 07/09 AP 12/14/08 0081269 MOBILE SATELLITE VENTURES 53.86 1000085795 SATELLITE PHONES' GM 01443 07/09 AP 12/26/08 0081153 NEXTEL COMMUNICATIONS 2,003.05 916525027-077 MOBILE PHONES GM 01532 07/09 AP 01/01/09 0081309 USA MOBILITY WIRELESS, IN 102.19 S3393252A PAGERS GM 02810 12/09 AP 01/05/09 0083347 WIRELESS WATCHDOGS 252.00 74079 12/23-1/22MOBILE PH MAINT GM 02746 12/09 AP 01/09/09 0083551 WIRELESS WATCHDOGS 132.50 74236 MOBILE PH SUPPLIES GM 01592 07/09 AP 01/13/09 0081478 VERIZON WIRELESS 11909.98 0726238104 MOBILE PHONES GM 01576 07/09 ,AP 01/14/09 0081464 WIRELESS WATCHDOGS 49.58 74375 MOBILE PH SUPPLIES GM 01620 08/09 AP 01/14/09 0081633. SKYTERRA LP 53.50 1000085795 SATELLITE PHONES GM 01620 08/09 AP 01/20/09 0081659 WIRELESS WATCHDOGS 23.73 • 74542 MOBILE PH SUPPLIES GM 01620 08/09 AP 01/21/09 0081659 WIRELESS WATCHDOGS 148.00 74563 MOBILE PHONES GM 01685 08/09 AP 01/26/09 0081500 NEXTEL COMMUNICATIONS 1,996.11 916525027-078 MOBILE PHONES GM 01715 08/09 AP 01/27/09 0081659 WIRELESS WATCHDOGS 75.45 74657 MOBILE-BLUETOOTH GM 01715 08/09 AP 01/29/09 0081659 WIRELESS WATCHDOGS 252.00 74761 MOBILE PHONES GM 01816 08/09 AP 01/31/09 0081841 RIVERSIDE COUNTY INFORMAT 25.41 90007-0812 2 -WAY RADIOS GM 01839 08/09 AP 02/01/09 0081889 USA MOBILITY WIRELESS, IN 156.74 S3393252B PAGERS GM 02746 12/09 AP 02/02/09 0083551 WIRELESS WATCHDOGS 75.45 74881 MOBILE PH SUPPLIES GM 01839 08/09 AP 02/03/09 0081891 VERIZON WIRELESS 50.41 PREPARED uai'12/2010, 9:26:27 GENERAL LEDGEk AtAIVITY LISTING rAWt 839 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.41-25 Utilities / Telephone -Mobile ' 0732034349 PC CARD GM 01839 08/09 AP 02/13/09 0081891 VERIZON WIRELESS 1,676.28 0735225186 MOBILE PHONES GM 02052 09/09 AP 02/14/09 0082297 SKYTERRA LP 53.50 1000085795 SATELLITE PHONES GM 01944 09/09 AP 02/19/09 0082070 WIRELESS WATCHDOGS 86.64 75336 BLUE TOOTH HEADSETS GM 01944 09/09 AP 02/23/09 0082070 WIRELESS WATCHDOGS 148.00 75393 MOBILE PHONES GM 01905 09/09 AP 02/26/09 0081911, NEXTEL COMMUNICATIONS 11993.60 916525027 MOBILE PHONES GM 01985 09/09 AP 03/01/09 0082121 USA MOBILITY WIRELESS, IN 102.19 S3393252C PAGERS GM 01944 09/09 AP 03/02/09 0082070 WIRELESS WATCHDOGS 252.00 75559 MOBILE PHONES GM 01985 09/09 AP 03/03/09 0082124 VERIZON WIRELESS 50.41 0741042028 PC CARD GM 02065 09/09 AP 03/13/09 0082153 VERIZON WIRELESS 1,559.54 0744266048 MOBILE PHONES GM 02227 10/09 AP 03/14/09 0082493 SKYTERRA LP 53.50 031409 PAGERS GM 02123 09/09 AP 03/19/09 0082339 WIRELESS WATCHDOGS 148.00 75927 MOBILE PH MAINT GM 02176 10/09 AP 03/26/09 0082383 NEXTEL COMMUNICATIONS 11830.81 916525027-080 MOBILE PHONES GM 02176 10/09 AP 04/01/09 0082397 WIRELESS WATCHDOGS 252.00 76239 MOBILE PHONE MAINT GM 02344 11/09 AP 04/01/09 0082729 USA MOBILITY WIRELESS, IN 102.34 S3393252D PAGERS GM 02344 11/09 AP 04/03/09 0082732 VERIZON WIRELESS 50.41 0750113856 PC CARD GM 02344 11/09 AP 04/13/09 0082732 VERIZON WIRELESS 1,634.63 0753274804 MOBILE PHONES GM 02344 11/09 AP 04/14/09 0082723 SKYTERRA LP 53.84 1000085795 SATELLITE PHONES GM 02344 11/09 AP 04/23/09 0082735 WIRELESS WATCHDOGS 148.00 76717 VERIZON-MAINT ACCT GM 02457 11/09 AP 04/24/09 0082920 WIRELESS WATCHDOGS 46.94 76744 MOBILE PH SUPPLIES GM 02344 11/09 AP 04/26/09 0082719 NEXTEL COMMUNICATIONS 11819.89 916525027-081 MOBILE PHONES GM 02467 11/09 AP 05/01/09 0082946 'USA MOBILITY WIRELESS, IN 105.34 S3393252E PAGERS GM 02679 12/09 AP 05/01/09 0083236 RIVERSIDE COUNTY-INFORMAT 28.81 90007-0904 APR109 SERVICE GM.02585, 11/09 AP 05/03/09 0083119 VERIZON WIRELESS 50.41 0759075688 APR109 PC CARD GM 02551 11/09 AP 05/06/09 0082972 WIRELESS WATCHDOGS 252.00 77021 MOBILE PH-MAINT PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER HtiIVITY LISTING 'rm m 840 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.41-25 Utilities / Telephone-Mobile GM 02650 12/09 AP 05/13/09 0083150 VERIZON WIRELESS 2,352.57 0762198762 MOBILE PHONES GM 02585 11/09 AP 05/14/09 0083124 WIRELESS WATCHDOGS 49.99 77253 MOBILE PHONE GM 02679 12/09 AP 05/14/09 0083243 SKYTERRA LP 53.84 1000085795 SATELLITE PHONE CR 02530 11/09 CR 05/15/09 0016904 CELL PHONE REIMBURSEMENT 50.00 CASHVO 05/15/09'01 GM 02679 12/09 AP 05/19/09 0083265 WIRELESS WATCHDOGS 87.39 77329 MOBILE PH SUPPLIES GM 02679 12/09 AP 05/19/09 0083265 WIRELESS WATCHDOGS 33.63 77310 MOBILE PH SUPPLIES GM 02650 12/09 AP 05/26/09 0083139 NEXTEL COMMUNICATIONS 1,900.36 916525027-082 MOBILE PHONES GM 02696 12/09 AP 06/01/09 0083551 WIRELESS WATCHDOGS 252.00 77526 MOBILE PH MAINT GM 02739 12/09 AP 06/01/09 0083300 USA MOBILITY WIRELESS, IN 105.34 S3393252F PAGERS GM 02696 12/09 AP 06/03/09 0083551 WIRELESS WATCHDOGS 148.00 77605 MOBILE PH MAINT GM 02810 12/09 AP 06/03/09 0083342 VERIZON WIRELESS 50.41 0767942618 PC CARD CR 02703 12/09 CR 06/05/09 0018093 CELL PHONE REIMBURSEMENT 22.23 CASHVO 06/05/09 01 GM 02810 12/09 AP 06/13/09 0083342 VERIZON WIRELESS 2,200.51 0771064292 5/14-6/13 MOBILE PH GM 02.839 12/09 AP 06/14/09 0083569 SKYTERRA LP 53.84 1000085795 SATELLITE PH 6/14-7/13 CR 02793 12/09 CR 06/22/09 0018705 CELL PHONE-MASON LORD 1.00 MMENDOZA 06/22/09 01 CR 02814 12/09 CR 06/23/09 0018729 CELL PHONE REIMBURSEMENT 10.00 CASHVO 06/23/09 01 GM 02870 12/09 AP 06/23/09 0083702 WIRELESS WATCHDOGS 78.25 78060 PHONE SUPPLIES GM 02870 12/09 AP 06/25/09 0083702 WIRELESS WATCHDOGS 148.00 78101 MAINT 6/14-7/13 GM 02839 12/09 AP 06/26/09 0083567 NEXTEL COMMUNICATIONS 1,781.31 916525027-083 MOBILE PH 5/23-6/22 CR 02857 12/09 CR 06/29/09 0018953 CELL PHONE REIMBURSEMENT 32.00 CASHVO 06/29/09 01 GM 02905' 12/09 AP 07/03/09 0083791 VERIZON WIRELESS 41.41 0776794960 PC CARD 6/4-7/03 ACCOUNT TOTAL 57,408.98 603.23 56,805.75 101-4002-415.43-16 Repair/Maintenance Agrmts / Postage Machine .00 GM 00006 01/09 AP 07/01/08 0078853• PITNEY BOWES INC 444.37 376522 MAINT CONTR-FOLDING MACH PREPARED uai12/2010, 9:26:27 GENERAL LEDGER m6eIVITY LISTING FHue 841 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ---=-------------------------------------------------------------------------------------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.43-16 Repair/Maintenance Agrmts / Postage Machine GM 00369 03/09 AP 08/17/08 0079631 PITNEY BOWES INC 519.32 917353 SUPPLIES GM 00720 04/09 AP 09/13/08 0079989 PITNEY BOWES 11650.00 8504335-SP08 RENTAL GM 00960 05/09 AP 10/13/08 0080469 PITNEY BOWES 1,650.00 8504335-SP08 RENTAL GM 01344 06/09 AP 12/18/08 0081077 PITNEY BOWES INC 444.37 507992 MAINT CONT -FOLDING MACH GM 01460 07/09 AP 12/26/08 0081228 PURCHASE POWER 17.95 00451380000 POSTAGE GM 02052 09/09 AP 03/13/09 0082267 PITNEY BOWES 1,650.00 8504355-MAR09 RENTAL GM 02746 12/09 AP 06/13/09 0083478 PITNEY BOWES 1,650.00 8504355-JN09 RENTAL 3/30-6/30 GM 02875 12/09 AP 07/01/09 0083675 PITNEY BOWES INC 444.37 718814 MAINT CONT 1/09-6/09 ACCOUNT TOTAL 8,470.38 8,470.38 101-4002-415.43-19 Repair/Maintenance Agrmts / Copiers .00 GM 00006 01/09 AP 07/01/08 0078782 CANON FINANCIAL SERVICES, 3,761.52 8090996 CONTRACT CHARGE GM 00097 01/09 AP 07/13/08 0078983 CANON FINANCIAL SERVICES, 3,137.37 8165637 CONTRACT CHARGE GM 00493 03/09 AP 09/01/08 0079835 INNOVATIVE DOCUMENT SOLUT 332.91 67351 CONTRACT CHARGE GM 00493 03/09 AP 09/01/08 0079835 INNOVATIVE DOCUMENT SOLUT 5,712.04 67277 CONTRACT CHARGE GM.00845 04/09 AP 09/12/08 0080187 CANON FINANCIAL SERVICES, 3,631.52 8315074 CONTRACT CHRG GM 00845 04/09 AP 10/13/08 0080187 CANON FINANCIAL SERVICES, 3,696.52 8389891 CONTRACT CHRG GM 01050 05/09 AP 11/12/08 0080546 CANON FINANCIAL SERVICES, 3,696.52 8464629 CONTRACT CHRG GM 01261 06/09 AP 12/01/08 0081043 INNOVATIVE DOCUMENT SOLUT 4,757.71 70628 CONT/COPY CHARGES GM 01261 06/09 AP 12/01/08 0081043 INNOVATIVE DOCUMENT SOLUT 149.15 70648 CONT/COPY CHARGES GM 01355 06/09 AP 12/13/08 0081133 CANON FINANCIAL SERVICES, 3,696.52 8540037 CONTRACT CHARGE GM 01629 08/09 AP 01/22/09 0081534 CANON FINANCIAL SERVICES, 7,393.04 8634681 FEB & MAR CONTRACT GM 01880 09/09 AP 02/22/09 0081942' CANON FINANCIAL SERVICES, 3,696.52 8776073 CONTRACT SVC GM 01918 09/09 AP 03/01/09 0081982 INNOVATIVE DOCUMENT SOLUT 331.90 73715 CONTRACT CHARGE GM 01984 09/09 AP 03/01/09 0082231 INNOVATIVE DOCUMENT SOLUT 5,721.60 74186 CONTRACT CHRG PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A611VITY LISTING PAUL 842 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-4002-415.43-19 Repair/Maintenance Agrmts / Copiers GM 02128 10/09 AP 03/24/09 0082348 CANON FINANCIAL SERVICES, 3,696.52 8850655 CONTRACT CHRG GM 02341 11/09 AP 04/24/09 0082785 CANON FINANCIAL'SERVICES, 3,696.52 8925259 CONTRACT CHARGE GM 02696 12/09 AP 06/01/09 0083437 INNOVATIVE DOCUMENT SOLUT 213.94 77110 CONTRACT 3/1-5/31 GM 02696 12/09 AP 06/01/09 0083437 INNOVATIVE DOCUMENT SOLUT 7,622.15 77333 CONTRACT 3/1-5/31 GM 02898 12/09 AJ 06/30/09 AJE 12-052 REVERSE ACCRUALS FY 07/08 ACCOUNT TOTAL 64,943.97 101-4002-415.43-22 Repair/Maintenance Agrmts / Typewriters GM 00794 04/09 AP 10/04/08 0080228 DESERT BUSINESS MACHINES 182.70 AR59733 TYPEWRITER MAINT GM 01984 09/09 AP 03/17/09 0082194 DESERT BUSINESS MACHINES 913.50 AR65404 TYPEWRITER MAINT GM 02275 10/09 AP 04/12/09 0082599 DESERT BUSINESS MACHINES 183.05 AR66256 R&M AGMTS-TYPWRTRS ACCOUNT TOTAL 1,279.25 101-4002-415.43-28 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 3,761.52 3,761.52 61,182.45 .00 1,279.25 .00 .00 .00 .00 .00 .00 .00 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER N6i'IVITY LISTING rwut 843 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------=----------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.51-31 Services 8 Supplies'/ Postage .00 GM 00097 01/09 AP 07/05/08 0079074 ON-TRAC 10.08 6135489 OVERNIGHT MAIL GM.00097 01/09 AP 07/11/08 0079018 FEDEX 21.20 2-806-20615 OVERNIGHT MAIL GM 00213 02/09 AP 08/01/08 0079266 ON-TRAC 65.40 6151835 OVERNIGHT MAIL GM 00213 02/09 -AP 08/01/08 0079276 RESERVE ACCOUNT 4,000.00 080108 CITY WIDE POSTAGE GM 00327 02/09 AP 08/02/08 0079455 ON-TRAC 27.02 6166922 OVERNIGHT MAIL GM 00493 03/09 AP 08/23/08 0079877 ON-TRAC 73.66 6188570 OVERNITE DELIVERY GM 00535 03/09 AP 08/31/08 0079877 •ON-TRAC 12.11 6197452 OVERNIGHT MAIL GM 00528 03/09 AP 09/12/08 0079812 FEDEX 55.87 2-915-64871 OVERNIGHT MAIL GM 00720 04/09 AP 10/02/08 0079994 RESERVE ACCOUNT 4,000.00 100208 CITY WIDE POSTAGE GM 00875 04/09 AP 10/04/08 0080284 ON-TRAC 59.44 6233411 OVERNIGHT MAIL GM 00796 04/09 AP 10/14/08 0080240 FEDEX 46.21 2-949-59791 OVERNIGHT MAIL GM 00937 05/09 AP 10/18/08 0080467 ON-TRAC• 72.06 62490.76 OVERNIGHT MAIL GM 00972 05/09 AP 10/25/08 0080467 ON-TRAC 56.02 6254685 OVERNIGHT MAIL GM 01039 05/09 AP 11/01/08 0080674 ON-TRAC 32.38 6263292 OVERNIGHT MAIL GM 01040 05/09 AP 11/08/08 0080674 ON-TRAC 61.65 6273420 OVERNIGHT MAIL GM 01040 05/09 AP 11/14/08 0080614 FEDEX 92.29 2-990-50891 OVERNIGHT MAIL GM 01152 06/09 AP 11/21/08 0080854 RESERVE ACCOUNT 4,000.00 11762499 POSTAGE GM 01262 06/09 .AP 11/30/08 0081073 ON-TRAC 51.30 88923 OVERNIGHT MAIL GM 01347 06/09 AP 12/13/08 0081073 ON-TRAC 75.58 6305691 OVERNIGHT MAIL GM 01348 06/09 AP 12/24/08 0081092 RESERVE ACCOUNT 40000.00 123108 CITY WIDE POSTAGE GM 01.526 07/09 AP 01/03/09 0081411 ON-TRAC 32.80 6322766 OVERNIGHT MAIL .GM 01526 07/09 AP 01/09%09 0081355 FEDEX 66.69 9-046-81048 OVERNIGHT MAIL GM 01761 08/09 AP 01/24/09 0081827 ON-TRAC 57.96 6341808 . OVERNIGHT MAIL GM 01607 08/09 AP 01/28/09 0081612 ON-TRAC 52.30 6336827 OVERNIGHT MAIL GM 01761 08/09 AP 01/31/09 0081827 ON-TRAC 8.36 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER m6i'IVITY LISTING r,.vc 844 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-4002-415.51-31 Services & Supplies / Postage 6349841 OVERNIGHT MAIL GM 01816 08/09 AP 02/13/09 0081769 FEDEX 166.76 9-088-91257 OVERNIGHT MAIL GM 01918 09/09 AP 02/21/09 0082017 ON-TRAC 79.94 6369512 OVERNIGHT MAIL GM 01880 09/09 AP 02/27/09 0082032 RESERVE ACCOUNT 4,000.00 11762499 - POSTAGE GM 01979 09/09 AP 02/28/09 0082263 ON-TRAC 13.70 6377443 OVERNIGHT MAIL GM 02123 09/09 AP 03/13/09 0082212 FEDEX 36.69 9-121-76234 OVERNIGHT MAIL GM 02227 10/09 AP 03/28/09 0082473 ON-TRAC 64.73 6402432 OVERNIGHT MAIL GM 02330 10/09 AP 04/04/09 0082656 ON-TRAC 15.08 6410758 OVERNIGHT MAIL GM 02227 10/09 AP 04/07/09 0082484 RESERVE ACCOUNT 4,000.00 11762499 PAGERS GM 02227 10/09 AP 04/07/09 0082507 US POSTMASTER 190.00 1504 PO BOX 1504 FEE GM 02271 10/09 AP 04/10/09 0082606 FEDEX 132.83 9-154-50976 OVERNIGHT MAIL GM 02499 11/09 AP.05/02/09 0083062 ON -TRA C 131.64 6438569 OVERNIGHT MAIL GM 02452 11/09 AP 05/06/09 0082877 RESERVE ACCOUNT 4,000.00 11762499 CITY WIDE POSTAGE GM' 02499 11/09. AP 05/08/09 0083017 FEDEX 18.92 918675474 OVERNIGHT MAIL GM 02727 12/09 AP 05/30/09 0083472 ON-TRAC 32.99 6465695 OVERNIGHT MAIL GM 02746 12/09 AP 06/12/09 0083411 FEDEX 196.72 9-226-30190 OVERNIGHT MAIL GM 02828 12/09 AP 06/25/09 0083491 RESERVE ACCOUNT 4,000:00 11762499 CITY WIDE POSTAGE GM 02889 12/09 AP 06/27/09 0083673 ON-TRAC' 68.16 6495600 OVERNIGHT MAIL ACCOUNT TOTAL 34,178.54 101-4002-415.53-01 Services & Supplies / Printing ACCOUNT TOTAL 101-4002-415.53-03 Services & Supplies / Membership Dues GM 01461 06/09 AJ 12/31/08 AJE 6-047 RECLASS EXPENSES 100.00 ACCOUNT TOTAL 100.00 34,178.54 .00 .00 .00 100.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6i'IVITY LISTING PAGE 845 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD ------------------------------------------------------------------------------------------------------------------------------------ DATE NUMBER ' D E S C R I P T I O N DEBITS CREDITS BALANCE 101-4002-415.53-04 Services & Supplies / Subscriptions/Publication .00 GM 00006 01/09 AP 07/01/08 0078795 COSTCO WHOLESALE MEMBERSH 100.00 070108 MEMBERSHIP RENEWAL GM 01461 06/09 AJ 12/31/08 AJE 6-047 RECLASS EXPENSES 100.00 ACCOUNT TOTAL 100.00 100.00 .00 101-4002-415.53-05 Services & Supplies / Training &'Education .00 ACCOUNT TOTAL .00 101-4002-415.54-01 Services & Supplies / Information Tech Charges .00 GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 85,246.00 ACCOUNT TOTAL 85,246.00 85,246.00 101-4002-415.56-01 Services & Supplies / Office Supplies .00 GM 00097 01/09 AP 07/14/08 0079071 OFFICE DEPOT 414.06 435898648-001 SUPPLIES GM 00309 02/09 AP 08/04/08, 0079453 OFFICE DEPOT 341.33 438230402-001 OFFICE SUPPLIES GM 00794 04/09 AP 10/01/08 0080313 STAPLES BUSINESS ADVANTAG 68.64 3109091108 OFFICE SUPPLIES GM 01261 06/09 AP 11/27/08 0081108 STAPLES BUSINESS ADVANTAG 71.61 31111858499 OFFICE SUPPLIES GM 01918 09/09 AP 01/08/09 0081982 INNOVATIVE DOCUMENT SOLUT 60.30 71616 SUPPLIES GM 02159 10/09 AP 03/25/09 0082498 STAPLES BUSINESS ADVANTAG 76.29 3117138776 OFFICE SUPPLIES GM 02159 10/09 AP 03/26/09 0082498 STAPLES BUSINESS ADVANTAG' 63.54 3117159789 OFFICE SUPPLIES GM 02224 10/09 AP 03%30/09 0082470 OFFICE DEPOT 125.09 469029174-001 PLOTTER SUPPLIES GM 02262 09/09 AJ 03/31/09 AJE 9-039 RECLASS TO CORRECT ACCT 125.09 GM 02341 11/09 AP 04/30/09 0082859 OFFICE DEPOT 140.60 469463081-001 SUPPLIES GM 02475, 11/09 AP 05/02/09 0083086 STAPLES BUSINESS ADVANTAG 102.44 3119151438 OFFICE SUPPLIES - ACCOUNT TOTAL 1,463.90 125.09 11338.81 101-4002-415.56-07 Services & Supplies / Copiers .00 GM 00006 01/09 AP 07/01/08 0078845 OFFICE DEPOT 27.99 432494509-001 SUPPLIES GM 01979 09/09 AP 07/01/08 0082305 STAPLES BUSINESS ADVANTAG 47.19 3104852736 OFFICE SUPPLIES PREPARED uai12/2010, 9:26:27 GENERAL LEDGER w%.i•IVITY LISTING rAwL 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 101-4002-415.56-07 Services & Supplies / Copiers GM 00097 01/09 AP 07/07/08 0079071 OFFICE DEPOT 735.29 435336145-001 SUPPLIES GM 00097 01/09 AP 07/07/08 0079071 OFFICE DEPOT 69.71 435312446-001 SUPPLIES GM 00160 01/09 AP 07/11/08 0079109 STAPLES BUSINESS ADVANTAG 94.39 3105416890 SUPPLIES GM 00160 01/09 AP 07/12/08 0079109 STAPLES BUSINESS ADVANTAG 141.58 3105581608 SUPPLIES GM 00160. 01/09 AP 07/14/08 0079071 OFFICE DEPOT 4.34 436427381-001 SUPPLIES -PAPER GM 00309 02/09 AP 08/04/08 0079453 OFFICE DEPOT 965.71 438866575-001 OFFICE SUPPLIES GM 00327 02/09 AP 08/08/08 0079484 STAPLES BUSINESS ADVANTAG 71.61 3106716727 SUPPLIES GM 00442 03/09 AP 08/25/08 0079627 OFFICE DEPOT 772.57 440782475-001 SUPPLIES GM 00493 03/09 AP 08/27/08 0079933 XEROX CORORATION 7405 518.58 103858769 DRY INK GM 00588 03/09 -AP 09/08/08 0079875 OFFICE DEPOT 71.75 443133290-001 SUPPLIES GM 00588 03/09 AP 09/15/08 0079875 OFFICE DEPOT 17.20 443502911-001 SUPPLIES GM 00690 04/09 AP 09/22/08 0080099 OFFICE DEPOT 772.57 444611813-001 COPY SUPPLIES GM 00796 04/09 AP 10/03/08 0080313 STAPLES BUSINESS ADVANTAG 101.50 3109146687 OFFICE SUPPLIES GM 00972 05/09 AP 10/24/08 0080492 STAPLES BUSINESS ADVANTAG 50.75 3110268952 OFFICE SUPPLIES GM 00972 05/09 AP 10/27/08 0080465 OFFICE DEPOT 772.57 448957999-001 OFFICE SUPPLIES GM 01152 06/09 AP 11/15/08 0080866 STAPLES BUSINESS ADVANTAG 104.16 3111507121 OFFICE SUPPLIES GM 01190 06/09 AP 11/27/08 0080866 STAPLES BUSINESS ADVANTAG 14.00 3111858496 OFFICE SUPPLIES GM 01348 06/09 AP 12/08/08 0081070 OFFICE DEPOT 772.57 455620894-001 OFFICE SUPPLIES GM 01451 07/09 AP 12/17/08 0081219 OFFICE DEPOT 71.75 456525797-001 OFFICE SUPPLIES GM 01525 07/09 AP 01/08/09 0081439 STAPLES BUSINESS ADVANTAG 228.38 3113668497 OFFICE SUPPLIES GM 01607 08/09 AP.01/17/09 0081636 STAPLES BUSINESS ADVANTAG 75.38 3114194911 OFFICE SUPPLIES" GM 01629 08/09 AP 01/19/09 0081611 OFFICE DEPOT 772.57 459953218-001 OFFICE SUPPLIES GN 01768 08/09 AP 02/02/09 0081825 OFFICE DEPOT 78.08 461794535-001 OFFICE SUPPLIES GM 02167 10/09 AP 02/14/09 0082498 STAPLES BUSINESS ADVANTAG 50.75 3115553161 OFFICE SUPPLIES GM 01880 09/09 AP 02/23/09 0082015 OFFICE DEPOT 772.57 PREPARED U3/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING FAUe 847 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ 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 101-4002-415.56-07 Services & Supplies / Copiers 464288051-001 SUPPLIES -PAPER GM 01979 09/09 AP 03/02/09 0082262 OFFICE DEPOT 772.56 465732772-001 OFFICE SUPPLIES GM 02224 10/09 AP 03/30/09 0082470 OFFICE DEPOT 911.68 469355453-001 OFFICE SUPPLIES GM 02356 11/09 AP 04/27/09 0082867 PRINTING PLACE, THE 636.19 090852 ENVELOPES GM 02475 11/09 AP 05/04/09 0083061 OFFICE DEPOT 974.67 472833795-001 OFFICE PAPER GM 02638 12/09. AP 05/11/09 0083222 OFFICE DEPOT 123.40 473481952-001 OFFICE SUPPLIES GM 02744 12/09 AP 06/09/09 0083514 STAPLES BUSINESS ADVANTAG 153.66 3120641508 OFFICE SUPPLIES GM 02790 12/09 AP 06/15/09 0083471 OFFICE DEPOT 779.74 _ 477396905-001 OFFICE SUPPLIES GM.02889 12/09 AP 06/29/09 0083671 OFFICE DEPOT 42.03 479649728001 OFFICE SUPPLIES ACCOUNT TOTAL 12,569.44 12,569.44 101-4002-415.56-10 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 i Services &Supplies / Stationary .00 GM 00960 05/09 AP 10/24/08 0080473 PRINTING PLACE, THE 3,356.41 082736 ENVELOPES GM 01715 08/09 AP 12/08/08 0081617 PRINTING PLACE, THE 553.11 082853B DECALS -ENVELOPES GM 01761 08/09 AP 12/19/08 0081830 PRINTING PLACE, THE 206.88 083158 ENVELOPES . GM 02696 12/09 AP 05/14/09 0083481 PRINTING PLACE, THE 1,463.78 090963 LETTERHEAD ACCOUNT TOTAL 51580.18 5.580.18 101-4002-415.56-22 Services & Supplies / Computers .00 ACCOUNT TOTAL .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 0 N DEBITS CREDITS BALANCE - ----------------------------------------------------------------------------------------------------------------------------------- 101-4002-415.56-25 Services & Supplies / Software ACCOUNT TOTAL 101-4002-415.56-27 Services & Supplies / Coffee GM 00103 01/09 AP 07/02/08 0079109 STAPLES BUSINESS ADVANTAG 62.95 3104888882 COFFEE SUPPLIES GM 00097 01/09 AP 07/18/08 0079019 FIRST CHOICE SERVICES 270.25 428385 COFFEE SUPPLIES GM 00213 02/09 AP 08/01/08 0079226 FIRST CHOICE SERVICES 118.15 428336 COFFEE SUPPLIES GM 00213 02/09 AP 08/01/08 0079226 FIRST CHOICE SERVICES 79.96 424797 COFFEE SUPPLIES GM 00309 02/09 AP 08/14/08 0079407 FIRST CHOICE SERVICES 409.42 430016 COFFEE SUPPLIES GM 00327 02/09 AP 08/14/08 0079407 FIRST CHOICE SERVICES 176.60 430017 COFFEE SUPPLIES . GM 00369 03/09 AP 08/19/08 0079595 FIRST CHOICE SERVICES 53.82 009485 COFFEE FILTER GM 00519 03/09 AP 08/23/08 0079909 STAPLES BUSINESS ADVANTAG 11.49 3107415707 SUPPLIES GM 00535 03/09 AP 09/05/08 0079909 STAPLES BUSINESS ADVANTAG 133.84 31018050649 SUPPLIES GM 00528 03/09 AP 09/15/08 0079815 FIRST CHOICE SERVICES 313.95 9568 SUPPLIES GM 00528 03/09 AP 09/15/08 0079815 FIRST CHOICE SERVICES 132.00 431565 SUPPLIES GM 00599 04/09 AP 09/15/08 0080056 FIRST CHOICE SERVICES 82.96 431566 • COFFEE SUPPLIES CR 00564 03/09 CR 09/16/08 0003495 STARBUCKS COFFEE DIFFEREN 38.19 CASHVO 09/16/08 01 GM 00534 03/09 AP 09/17/08 0079815 FIRST CHOICE SERVICES 51.38 9570 COFFEE SUPPLIES CR 00805 04/09 CR.10/13/08 0004734 PUBLIC WORKS-STARBUCKS CO 38.19 CASHVO 10/13/08 01 GM 00794 04/.09 AP 10/13/08 0080242 FIRST CHOICE SERVICES 322.27 433399 COFFEE SUPPLIES GM 00794 04/09 AP 10/13/08 0080242 FIRST CHOICE SERVICES 130.44 433400 COFFEE SUPPLIES GM 00794 04/09 AP 10/14/08 0080242 FIRST CHOICE SERVICES 62.54 009650 COFFEE SUPPLIES GM 00960 05/09 AP 10/22/08 0080492 STAPLES BUSINESS ADVANTAG '147.40 3110229621 OFFICE SUPPLIES GM 01038 05/09 AP 11/10/08 0080615 FIRST CHOICE SERVICES 241.39 434924 COFFEE SUPPLIES GM 01038 05/09 AP 11/10/08 0080615 FIRST CHOICE'SERVICES 333.25 . 434923 COFFEE SUPPLIES CR 01117 05/09 CR 11/18/08 0006664 PUBLIC WORKS-STARBUCKS CO 38.19 CASHVO 11/18/08 O1 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AGI'IVITY LISTING PAGE 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 101-4002-415.56-27 Services & Supplies / Coffee GM 01262 06/09 AP 12/05/08 0081108 STAPLES BUSINESS ADVANTAG 147.40 3112318372 OFFICE SUPPLIES GM 01261 06/09 AP 12/10/08 0081026 FIRST CHOICE SERVICES 104.89 436869 COFFEE SUPPLIES GM 01261 06/09 AP 12/10/08 0081026 FIRST CHOICE SERVICES 250.71 009898 COFFEE SUPPLIES GM 01261 06/09 AP 12/10/08 0081026 FIRST CHOICE SERVICES 132.00 436868 COFFEE SUPPLIES CR 01304 06/09. CR 12/11/08 0007730 PUBLIC WORKS-STARBUCKS CO 38.19 CASHVO 12/11/08 01 CR 01430 06/09 CR 12/31/08 0008754 PUBLIC WORKS-STARBUCKS TE 8.16 CASHVO 12/31/08 01 GM 01460 07/09 AP 12/31/08 0081193 FIRST CHOICE SERVICES 23.49 009979 COFFEE SUPPLIES GM 01525 07/09 AP 01/13/09 0081357 FIRST CHOICE SERVICES 247.19 438868 COFFEE SUPPLIES GM 01526 07/09 AP 01/13/09 0081357 FIRST CHOICE SERVICES 409.77 438867 COFFE SUPPLIES GM 01629 08/09 AP 01/13/09 0081575 FIRST CHOICE SERVICES 44.00 440611 COFFEE SUPPLIES CR 01551 07/09 CR 01/16/09 0009628 PUBLIC WORK-STARBUCKS.COF 12.73 CASHVO 01/16/09 01 GM 01761 08/09 AP 02/10/09'0081770 FIRST CHOICE SERVICES 217.37 030084 COFFEE SUPPLIES GM 01761 08/09 AP 02/10/09 0081770 FIRST CHOICE SERVICES 88.00 440836 COFFEE"SUPPLIES• GM 02275 10/09 AP 02/10/09 0082607 FIRST CHOICE SERVICES 331.44 440837 COFFEE SUPPLIES CR 01785 08/09 CR 02/13/09 0011525 PUBLIC WORK-STARBUCKS COF 25.46 CASHVO 02/13/09 01 GM 01979 09/09 AP 03/10/09 0082213 FIRST CHOICE SERVICES 323.04 030188 COFFEE SUPPLIES CR 02046 09/09 CR 03/17/09 0013351 PUBLIC WORKS-STARBUCKS CO 38.19 CASHVO 03/17/09 01 GM 02159 10/09 AP 03/21/09 0082498 STAPLES BUSINESS ADVANTAG 154.80 . 3117096302 OFFICE SUPPLIES GM 02227 10/09 AP 04/08/09 0082436 FIRST CHOICE SERVICES 142.62 030293 COFFEE SUPPLIES GM 02275 10/09 AP 04/08/09 0082607 FIRST CHOICE SERVICES 44.00 444317 COFFEE SUPPLIES GM 02275 10/09 AP 04/08/09 0082607 FIRST CHOICE SERVICES 202.88 444318 COFFEE SUPPLIES CR 02253 10/09 CR 04/13/09 0014997 PUBLIC WORKS-STARBUCKS CO 12.73 CASHVO 04/13/09 01 GM 02446 11/09 AP 05/05/09 0082815 FIRST CHOICE SERVICES 88.00 446329 COFFEE SUPPLIES GM 02446 11/09 AP 05/05/09 0082815 FIRST CHOICE SERVICES 107.64 030407 COFFEE SUPPLIES CR 02501 11/09 CR 05/12/09 0016680 PUBLIC WORKS-STARBUCKS CO 25.46 PREPARED us/12/2010, 9:26:27 GENERAL LEDGER Aci'IVITY LISTING FADE 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 101-4002-415.56-27 Services & Supplies / Coffee CASHVO 05/12/09 01 GM 02638 12/09 AP 05/21/09 0083246 STAPLES BUSINESS ADVANTAG 153.20 3119723210 OFFICE SUPPLIES GM 02683 12/09 AP 06/04/09 0083194 FIRST CHOICE SERVICES 286.15 448130 COFFEE SUPPLIES • GM 02696 12/09 AP 06/04/09 0083412 FIRST CHOICE SERVICES 35.92 448131 COFFEE SUPPLIES GM 02870 12/09 AP 06/25/09 0083687 STAPLES BUSINESS ADVANTAG 166.61 3121161970 OFFICE SUPPLIES ACCOUNT TOTAL 61835.18 275.49 61559.69 101-4002-415.56-29 Services & Supplies / Bottled Water .00 GM 00122 01/09 AP 07/02/08 0078943 DOLPHIN CAPITAL CORP 263.99 104553 -JULY WATER GM 00363 02/09 AP 07/10/08 0079511 DOLPHIN CAPITAL CORP 52.80 104911 DRINKING WATER GM 00325 02/09 AP 08/05/08 0079338 DOLPHIN CAPITAL CORP 263.99 770175 -AUG WATER GM 00363 02/09 AP 08/10/08 0079511 DOLPHIN CAPITAL CORP 52.80 104911 DRINKING WATER GM 00495 03/09 AP 09/03/08 0079670 DOLPHIN CAPITAL CORP 263.99 849031 WTR COOLER GM 00532 03/09 AP 09/10/08 0079698 DOLPHIN CAPITAL CORP 52.80 877796 WATER GM 00796 04/09 AP 10/07/08 0080231. DOLPHIN CAPITAL CORP 263.99 936516 WATER COOLER GM 00796 04/09 AP 10/13/08 0080231 DOLPHIN CAPITAL CORP 52.80 964343 WATER GM 01039 05/09 AP 11/03/08.0080604 DOLPHIN CAPITAL CORP 263.99 1013374 WATER SVC GM 01067 05/09 AP 11/10/08 0080604 DOLPHIN CAPITAL CORP 52.80 1039644 WATER COOLER GM 01263 06/09 AP 12/01/08 0080920 DOLPHIN CAPITAL CORP 263.99 1104027 WATER SVC GM 01458 07/09 AP 01/02/09 0081229 PURE HEALTH SOLUTIONS INC 125.51 7942912 PROPERTY TAX - GM 01472 07/09 AP 01/12/09 0081262 DOLPHIN CAPITAL CORP 263.99 1186128 WATER SVC GM 01532 07/09 AP 01/12/09 0081295 DOLPHIN CAPITAL CORP 105.60 1213462 WATER COOLER GM 01713 08/09 AP 01/30/09 0081568 DOLPHIN CAPITAL CORP 263.99 1270194- WATER SVC GM 01761 08/09 AP 02/09/09 0081761 DOLPHIN CAPITAL CORP 52.80 1300508 WATER COOLER GM 02128 10/09 AP 03/05/09 0082351 DOLPHIN CAPITAL CORP 263.99 • 1362793 WATER COOLER GM 02128 •10/09 AP 03/11/09 0082351 DOLPHIN CAPITAL CORP 52.80 PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 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 101-4002-415.56-29 Services & Supplies / Bottled Water 1390700 WATER COOLER GM 01985 09/09 AP 04/01/09 0082107 DOLPHIN CAPITAL CORP 300.74 1362793 WATER SVC GM 02161 10/09 AP 04/03/09 0082107 DOLPHIN CAPITAL CORP 300.74 1362793 WATER SVC GM 02161 10/09 AP 04/03/09 0082107 DOLPHIN CAPITAL CORP 102.80 1390700 WATER COOLER GM 02176 10/09 AP 04/07/09 0082372 DOLPHIN CAPITAL CORP 263.99 1443537 WATER SVC GM 01985 09/09 AP 04/10/09 0082107 DOLPHIN CAPITAL CORP 102.80 .1390700 WATER COOLER GM 02264 10/09 AP 04/10/09 0082519 DOLPHIN CAPITAL CORP 53.29 1469997 WATER COOLER GM 02467 11/09 AP 05/02/09 0082928 DOLPHIN CAPITAL CORP 268.89 1527148 WATER SVC GM 02551 '11/09 AP 05/11/09 0082955` DOLPHIN CAPITAL CORP 56.29 1554359 WATER GM 02694 12/09 AP 06/01/09 0083270 DOLPHIN CAPITAL CORP 266.44 1606884 WATER SVC GM 02810 12/09 AP 06/10/09 0083315 DOLPHIN CAPITAL CORP 53.29 1637266 WATER SVC ACCOUNT TOTAL 4,342.35 403.54 31938.81 101-4002-415.56-30 Services & Supplies / Miscellaneous Kitchen .00 GM 00535 03/09 AP 08/23/08 0079909 STAPLES BUSINESS ADVANTAG 74.35 3107415705 SUPPLIES GM 00667 04/09 •AP 09/26/08 0080124 STAPLES BUSINESS ADVANTAG 26.77 3108830889 OFFICE SUPPLIES GM 01039 05/09 AP 11/02/08 0080701 SMART & FINAL 84.22 3583410142695 SP EVENT -HALLOWEEN GM 01039 05/09 AP 11/02/08 0080701 SMART & FINAL 27.22 3583410142696 OFFICE SUPPLIES GM 01057 05/09 AP 11/05/08 0080704 STAPLES BUSINESS ADVANTAG 74.35 3111087483 OFFICE SUPPLIES -CUPS GM 01274 06/09 AP 12/02/08 0080945 WELLS FARGO BUSINESS CARD 274.67 7029 VISA CARD PYMT GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 4.50 006690 OPERATING SUPPLIES GM 01347 06/09 AP 12/16/08 0081128 WAL MART COMMUNITY 6.43 009135 OPERATING SUPPLIES GM 01531 07/09 AP 01/15/09 0081439 STAPLES BUSINESS ADVANTAG 76.35 3113940262 COFFEE CUPS GM 01944 09/09 AP 02/27/09 0082046 STAPLES BUSINESS ADVANTAG 62.10 3115893796 OFFICE SUPPLIES GM 02330 10/09 AP 04/08/09 0082684 STAPLES BUSINESS ADVANTAG 46.96 3117970329 OFFICE SUPPLIES GM 02696 12/09 AP 05/30/09 0083514 STAPLES BUSINESS ADVANTAG 98.55 b PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUi'IVITY LISTING FADE 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.-4002-415.56-30 Services & Supplies / Miscellaneous•Kitchen AP 02/01/09 0081724 VERIZON CALIFORNIA 3120329200 COFFEE SUPPLIES GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL AJ 02/28/09 AJE 8-040 RECLASS ACCOUNTS 3583410103177 KITCHEN SUPPLIES GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL 771-0231 WASH/EISEN 3583410103191 KITCHEN SUPPLIES GM 02744 12/09 AP 05/31/09 0083508 SMART & FINAL 771-0231 WASH/EISEN MEDIAN 3583410103378 KITCHEN SUPPLIES GM 02810 12/09 AP 06/23/09 0083309 CITY OF LA QUINTA PETTY C 771-0231 WASH/EISEN MEDIAN REIMB PETTY CASH REIMB 12/09 AP 06/01/09 0083302 ACCOUNT TOTAL 101-4002-415.56-55 Services & Supplies / Small Tools/Equipment ACCOUNT TOTAL 101-4002-415.71-01 Capital Purchases / Machinery & Equipment GM 01793 08/09 AP 02/01/09 0081724 VERIZON CALIFORNIA 771-0231 WASH/EISEN MEDIAN GM 01957 08/09 AJ 02/28/09 AJE 8-040 RECLASS ACCOUNTS GM 02065 09/09 AP 03/01/09 0082152 VERIZON CALIFORNIA 771-0231 WASH/EISEN GM 02277 10/09 AP 04/01/09 0082552 VERIZON CALIFORNIA 771-0231 WASH/EISEN MEDIAN GM 02467 11/09 AP 05/01/09 0082948 VERIZON CALIFORNIA 771-0231 WASH/EISEN MEDIAN GM 02739 12/09 AP 06/01/09 0083302 VERIZON CALIFORNIA 771-0231 WASH/EISEN MEDIAN GM 02918 12/09 AJ 06/30/09 JE 12-067 RECL VERIZON EXP ACCOUNT TOTAL 101-4002-415.71-02 Capital•Purchases / Furniture ACCOUNT TOTAL 101-4002-415.71-03 Capital Purchases / Vehicles ACCOUNT TOTAL 101-4002-415.71-04 Capital Purchases / Capital Leases ACCOUNT TOTAL 85.21 13.69 8.24 87.83 1,051.44 1,051.44 .00 00 .00 35.64 35.64 37.23 36.98 36.98 36.98 148.17 183.81 183.81 .00 .00 .00 .00 .00 .00 .00 PREPARED uoi12/201,0, 9:26:27 GENERAL LEDGER AUi'IVITY LISTING FAWE 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 ----------------------------------- --------------------------- 101-4002-415.92-11 Other Charges / Fleet Maint Program Chgs GM 00123 01/09 AJ 07/31/08 JE 01-015 . EQUIP REPL EXP 08/09 BUDG ACCOUNT TOTAL 101-4002-491.95-10 Transfers GM 00127 01/09 AJ 07/31/08 GM 00497 02/09 AJ 08/31/08 GM 00719 03/09 AJ 09/30/08 GM 00980 04/09 AJ 10/31/08 GM 01042 04/09 AJ 10/31/08 GM 01042 04/09 AJ 10/31/08 GM 01189 05/09 AJ 11/30/08 GM 01455 06/09 AJ 12/31/08 GM 01695 07/09 AJ 01/31/09 GM 01943 08/09 AJ 02/28/09 GM 02239 09/09 AJ 03/31/09 GM 02410 10/09 AJ 04/30/09 GM 02652 11/09 AJ 05/31/09 GM 02946 12/09 AJ 06/30/09 GM 02952 12/09 AJ 06/30/09 GM 02956 12/09 AJ 06/30/09 Out / Transfers Out JE 01-017 GF CONTR TO POLICE FUND AJE 2-029 AUGUST108 CIP ACTIVITY AJE 3-025 SEPT108 CIP ACTIVITY AJE 4-040 OCT108 CIP ACTIVITY AJE 4-050 REV CASH & TRANSFER OUT AJE 4-050 REV ADVANCE & TRANSF OUT AJE 5-006 NOV108 CIP ACTIVITY AJE 6-044 DEC108 CIP ACTIVITY AJE 7-032 JANUARY109 CIP ACTIVITY AJE 8-036 FEB109 CIP ACTIVITY AJE 9-038 MAR109 CIP ACTIVITY AJE 10-034 APRIL109 CIP ACTIVITY AJE. 11-034 MAY109 CIP ACTIVITY AJE 12-082 JUNE109 CIP ACTIVITY AJE 12-088 ADD'L CIP ACTIVITY AJE 12-093 ADD'L CIP ACTIVITY- 2 ACCOUNT TOTAL 101-5000-322.01-00 Non -Business Licenses BP 00010 01/09 AJ 07/01/08 BP CR 00009 01/09 CR 07/01/08 0000036 BP 00016 01/09 AJ 07/02/08 BP BP 0.0016 01/09 AJ 07/02/08 BP BP 00024 01/09 AJ 07/03/08 BP BP 00024 01/09 AJ 07/03/08 BP BP 00031 01/09 AJ 07/07/08 BP BP 00040 01/09 AJ 07/08/08 BP BP 00047 01/09 AJ 07/09/08 BP BP 00057 01/09 •AJ 07/10/08 BP BP 00057 01/09 AJ 07/10/08 BP BP 00064 01/09 AJ 07/11/08 BP BP 00064 01/09 AJ 07/11/08 BP BP 00084 01/09 AJ 07/14/08 BP BP•00091 01/09 AJ 07/15/08 BP BP 00091 01/09 AJ 07/15/08 BP BP 00109 01/09 AJ 07/16/08 BP BP 00109 01/09 AJ 07/16/08 BP BP 00116 01/09 AJ 07/17/08 BP BP 00135 01/09 AJ 07/18/08 BP BP 00141 01/09 AJ 07/21/08 BP Building Permits BP RECEIPTS BP & CK REQ - OVERPY BLDG KBLONDELL 07/01/08 01 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 29,765.00 29,765.00 2,000.00 2,617.50 125,447.04 1,387.50 5,768.50 16,305.31 59,320.52 430,895.66 106,443.47 111,047.44 430,337.05 136,957.68 311,489.37 105.23 1,740,122.27 42,236.72 245.00 42,481.72 4,489.84 741.51 639.50 90.00 382.00 382.00 19,615.00 20,071.50 315.00 270.00 207.00 252.00 621.00 448.50 873.50 54.00 30.00 117.00 1,037.50 639.50 970.50 .00 29,765.00 .00 1,697,640.55 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 854 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 4,736.00 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 1,325.50 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 51915.50 ' BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 2,261.50 BP 00170 01/09 AJ 07/25/08 BP BP RECEIPTS 15.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 279.00.' BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 54.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 207.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 349.50 BP 00207 01/09 AJ 07/30/08 BP BP RECEIPTS 431.00 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 714.00 BP 00227 02/09 AJ 08/01/08 BP BP RECEIPTS 1,676.00 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 713.00 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 401.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 1,747.50 BP 00248. 02/09 AJ 08/05/08 BP BP RECEIPTS 216.00 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 504.50 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 284.50 BP 00286 02/09 AJ 08/11/08 BP BP RECEIPTS 1,754.50 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 1,066.00 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 2,639.50 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 1,440.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 135.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 814.50 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 563.50 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 252.00 BP 00335 02/09 AJ 08/18/08 BP BP RECEIPTS 21.00 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 180.00 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 90.00 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 536.50 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 4,175.50 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 1,062.00 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 117.00 BP 00400 02/09 AJ 08/26/08 BP; BP RECEIPTS 117.00 BP 00400 02/09 AJ 08/26/08 BP BP RECEIPTS 207.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 2,188.50 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 11980.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 459.50 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 3,755.00 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 675.00 BP 00448 02/09 AJ,08/29/08 BP BP RECEIPTS 15.00 BP 00448 02/09 AJ 08/29/08 BP. BP RECEIPTS• 4,577.50 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 108.010 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 503.50 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 162.00 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 990.00 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 349.50 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 6.99.00 BP 00481 03/09 AJ 09/05/08 BP BP RECEIPTS 699.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk AG IVITY LISTING rAWt 855 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS 108.00 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 449.00 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 15.00 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 7,539.50 BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS 144.00 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 2,045.50 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 284.50 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 664.00 BP 00565 03/09 AJ 09/16/08 BP BP RECEIPTS 621.00 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 914.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 1,570.50 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 19,558.50 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 640.50 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 504.00 BP 00623 03/09 AJ 09/23/08 BP BP RECEIPTS 189.00 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 2,310.50 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 382.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 500.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 414.50 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 389.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 7,905.50 BP 00653 03/09 AJ 09/29/08 BP BP RECEIPTS 607.50 BP 00661 03/09 AJ 09/30/08 BP BP RECEIPTS 11080.00 BP 00696 04/09 AJ 10/01/08 BP BP RECEIPTS 556.50 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 198.00 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 1,848.00 BP 00709 04/09 AJ 10/03/08 BP' BP RECEIPTS 861.50 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 603.50 BP 00734 04/09 AJ 10/07/08 BP BP RECEIPTS 207.00 BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS 2,482.50 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 2,651.50 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 258.50 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 162.00 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 99.00 BP 00806 04/09 AJ 10/13/08 BP BP RECEIPTS 22210.50 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 6,314.00 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 666.50 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 207.00 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 284.50 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 1,419.00 BP 00828 04/09 AJ 10/16/08 BP BP RECEIPTS 670.00 BP 00834 04/09 AJ 10/17/08 BP BP RECEIPTS 15.00 BP 00834 04/09 AJ 10/17/08 BP BP RECEIPTS 278.00 BP 00841 04/09 AJ 10/20/08 BP BP RECEIPTS 21.00 BP 00862. 04/09 AJ 10/21/08 BP BP RECEIPTS 892.50 BP 00880 04/09 AJ 10/22/08 BP BP RECEIPTS 482.00 BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS 267.00 BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS 351.00 BP 00913 04/09 AJ 10/24/08'BP BP RECEIPTS 989.50 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA GENERAL LEDGEk AU IVITY LISTING FUND 101 General Fund GROUP ACCTG ----TRANSACTION---- APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 00920 04/09 AJ 10/27/08 BP BP RECEIPTS BP 00927 04/09 -AJ 10/28/08 BP BP RECEIPTS BP 00942 04/09 AJ 10/29/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS BP 01073 05/09 AJ 11/07/08 BP BP RECEIPTS BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01094 05/09 AJ 11/13/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01139 05/09 AJ 11/21/08 BP BP RECEIPTS BP 01146 05/09 AJ 11/24/08 BP BP RECEIPTS BP 01157 05/09 AJ 11/25/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP, BP RECEIPTS BP 01176 06/.09 AJ 12/02/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS BP 01195 06/09 AJ 12/03/08 BP BP RECEIPTS BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS BP 0123 0 06/09 AJ 12/05/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01298 06/09 AJ 12/10/08 BP BP RECEIPTS BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS BP 01313 06/09 AJ 12/12/08 BP BP RECEIPTS GM 01291 06/09 AP 12/12/08 0081076 PHOENIX ROW III, LLC 121808 BUILDING PERMIT RFND BP 01327 06/09 AJ 12/16/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01396 06/09 AJ 12/22/08 BP BP RECEIPTS BP 01403 '06/09 AJ 12/23/08 BP BP RECEIPTS BP 01410 06/09 AJ 12/24/08 BP BP RECEIPTS BP 01431 06/09 AJ 12/31/08 BP BP RECEIPTS BP 01438 07/09 AJ 01/05/09 BP BP RECEIPTS DEBITS CREDITS 2,527.20 252.00 54.00 527.00 153.00 2,780.50 186.00 423.00 495.50 1,139.50 117.00 207.00 25.00 252.00 1,532.50 162.00 90.00 1,300.50 198.00 315.00 234.00 414.50 3,639.50 1,235.50 162.00 3,344.00 15.00 132.00 490.00 747.50 87.00 243.00 756.50 258.50 284.50 668.00 72.00 207.00 1,559.50 380.00 455.00 1,279.00 744.50 2,062.50 810.00• 10,276.00 1,544.75 2,091.00 rAWL 856 BEGINNING /ENDING BALANCE PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 857 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, 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 01475 07/09 AJ 01/06/09 BP BP RECEIPTS BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01497 07/09 AJ -01/09/09 BP BP RECEIPTS BP 01546. 07/09 AJ 01/15/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01565 07/09' AJ 01/21/09 BP BP RECEIPTS BP 01595 07/09 AJ 01/22/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01637 '07/09 AJ 01/28/09 BP BP RECEIPTS BP 01674 08/09 AJ 02/02/09 BP BP RECEIPTS BP 01730 08/09 AJ 02/05/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS GM 01834 08/09 AP 02/06/09 0081847 SHEA HOMES BP#08-1405 REFUND BP 01743 08/09 AJ 02/09/09 BP BP RECEIPTS BP 01780 08/09 AJ 02/12/09 BP BP RECEIPTS BP 01786 08/09 AJ 02/13/09 BP BP RECEIPTS BP 01826 08/09 AJ 02/18/09 BP BP RECEIPTS BP 01826 08/09 AJ 02/18/09 BP BP RECEIPTS BP 01845 08/09 AJ 02/19/09 BP BP RECEIPTS BP 01853 08/09 AJ 02/20/09 BP BP RECEIPTS BP 01853 08/09 AJ 02/20/09 BP BP RECEIPTS GM 01832 08/09 AP 02/20/09 0081847 SHEA HOMES BP#08-1403 REFUND BP 01867 08/09 AJ 02/24/09 BP BP RECEIPTS BP 01883 08/09 AJ 02/25/09 BP BP RECEIPTS BP 01897 08/09 AJ 02/26/09 BP BP RECEIPTS BP 01931 09/09 AJ 03/02/09 BP BP RECEIPTS BP 01932 09/09 AJ 03/03/09 BP BP RECEIPTS BP 01949 09/09 AJ 03/04/09 BP BP RECEIPTS BP 01994 09/09 AJ 03/05/09 BP BP RECEIPTS BP 01994 09/09 AJ 03/05/09 BP BP RECEIPTS GM 01946 09/09 AP 03/06/09 0082039 SIIEA IIOMES BP#08-1417 REFUND BP 02000 09/09 AJ 03/06/09 BP BP RECEIPTS BP 02007 09/09 AJ 0.3/09/09 BP BP RECEIPTS BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS DEBITS CREDITS 710.40 1,420.80 741.20 495.00 207.00 180.00 653.50 241.00 162.00 54.00 504.50 271.50 284.50 470.00 2,801.50 133.00 216.00 207.00 284.50 284.50 810.50 117.00 162.00 1,915.50 3,125.50 324.00 198.00 2,411.50 162.00 45.00 336.50 25.00 1,164.50 414.50 .108.00 491.00 1,057.00 126.00 2,297.50 243.00 11539'.00 135.00 491.50 297.50 1,036.00 479.50 BEGINNING /ENDING BALANCE PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING rAWL 858 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 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS BP 02047 09/09 AJ 03/17/09 BP BP RECEIPTS BP 02047 09/09 AJ 03/17/09 BP BP RECEIPTS BP 02069 09/09 AJ 03/18/09 BP BP RECEIPTS BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS BP 02097 09/09 AJ 03/24/09 BP BP RECEIPTS GM 02123 09/09 AP 03/24/09 0082258 MUNSEY, RYAN BP#09-0236 REFUND BP 02131 09/09 AJ 03/26/09 BP BP RECEIPTS BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS BP 02182 10/09 AJ'O4/01/09 BP BP RECEIPTS BP 02189 10/09 AJ 04/02/09 BP BP RECEIPTS BP 02195 10/09 AJ 04/03/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS. BP 02254 10/09 AJ 04/13/09 BP BP RECEIPTS BP 02284 10/09 AJ 04/14/09 BP. BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02310 10/09 AJ 04/20/09 BP BP RECEIPTS BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS BP 02324 10/09 AJ 04/22/09 BP BP RECEIPTS BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS GM 02330 10/09 AP 04/23/09 0082615 GLOBAL LIGHTING PEMIT#9-275 REFUND BP 02366 10/09 AJ 04/24/09 BP BP RECEIPTS BP 02366. 10/09 AJ 04/24/09 BP BP RECEIPTS BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS GM 02457 11/09 AP 04/28/09 0082881 SHEA HOMES BP#08-1414 REFUND BP 02386 10/09 AJ 04/29/09 BP BP RECEIPTS BP 02392 10/09 AJ 04/30/09 BP BP RECEIPTS BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS ELECTRI DEBITS CREDITS 90.00 18.00 864.50 1,231.50 284.50 594.50 267.00 15.00 536.50 284.50 63.00 330.00 317.00 .25.00 1,043.50 464.50 117.00 2,128.50 6,232.50 317..00 162.00 171.00 54.00 689.00 814.50 284.50 811.50 3,412.00 271.50 162.00 918.50 2,922.00 54.00 90.00 874.00 19.00 198.00 108.00 54.00 317.00 561.50 54.00 54.00 297.50 1,689.50 54.00 BEGINNING /ENDING BALANCE PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEk AUrIVITY LISTING PAGE 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 101-5000-322.01-00 Non -Business Licenses / Building Permits BP 02478 11/09 AJ 05/06/09 BP BP RECEIPTS 117.00 BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS 225.00 GM 02457 11/09 AP 05/07/09 0082881 SHEA HOMES 898.00 BP#08-1419 REFUND BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 180.00 BP 02494 11/09 AJ 05/11/09 BP BP RECEIPTS 468.00' BP 02509 11/09 AJ 05/13/09 BP BP RECEIPTS 648.50 BP 02515 11/09 AJ 05/14/09 BP AP RECEIPTS 4,325.50 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 63.00 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 252.00 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 336.50 BP 02538 11/09 AJ 05/18/09 BP, BP RECEIPTS 54.00 BP 02544 11/09 AJ 05/19/09 BP, BP RECEIPTS 1,840.50 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 977.50 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 491.50 BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS 16,213.00 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 225.00 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 486.50 BP 02622 11/09 AJ 05/28/09 BP BP RECEIPTS 126.00 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 653.50 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 12,484.50 GM 02650 12/09 AP 06/01/09 0083145 SHEA HOMES 750.00 T30023-6 PLOT9 PRECISE GRDING RFND BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS 594.50 CR 02667 12/09 CR 06/02/09 0017769 PREC GRADING/TRILOGY-SHEA 750.00 KBLONDELL 06/02/09 01 BP 02674 12/09 AJ 06/03/09 BP BP RECEIPTS 518.00 BP 02699 12/09 AJ 06/04/09 BP BP RECEIPTS 210.00 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 207.00 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 485.00 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 99.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 189.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 153.00 BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS 349.50 BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS 162.00 BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS 252.00 BP 02774 12/09 AJ 06/17/09 BP BP RECEIPTS 360.00 BP 02780 12/09 AJ 06/18/09 BP BP RECEIPTS 90.00 BP 02786 12/09 AJ 06/19/09 BP BP RECEIPTS 896.00 GM 02788 12/09 AP 06/19/09 0083504 SHEA HOMES 790.00 PERMIT#09-0386 REFUND BP 02795 12/09 AJ 06/22/09 BP BP RECEIPTS 10,341.00 BP 02815 12/09 AJ 06/23/09 BP BP RECEIPTS 414.50 BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS 25.00 BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS 621.50 BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS 1,129.50 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 11193.00 ACCOUNT TOTAL 81810.10 340,161.10 331,351.000R PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 860 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 951.75 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 181.50 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 30.00 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 33.00 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 30.00 BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS 2,976.75 BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS 11111.50 BP 00047 01/09 AJ 07/09/08 BP _ BP RECEIPTS 60.00 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 18.00 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 51.00 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 33.00 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 99.00 BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS 81.00 BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS 22.50 BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS 106.50 BP 00116 01/09 AJ 07/17/08 BP BP RECEIPTS 226.50 BP 00135 01/09 AJ 07/18/08 BP BP RECEIPTS 240.75 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 780.75 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 190.50 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 953.25 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 231.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 51.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 18.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 33.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 33.00 BP 00198 01/09 AJ 07/29/08 BP BP RECEIPTS 30.00 BP 00198 01/09 AJ 07/29/08 BP BP RECEIPTS 67.50 BP 00207 01/09 AJ 07/30/08 BP BP RECEIPTS 60.00 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 93.00 BP 00227 02/09 AJ 08/01/08 BP BP RECEIPTS 240.00 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 147.75 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 33.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 243.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 33.00 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 36.00 BP 00286 02/09 AJ 08/11/08 BP BP RECEIPTS 220.50 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 124.50 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 138.75 BP 00300 02/09 AJ 08/13/08 BP. BP RECEIPTS 27.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 168.75 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 123.00 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 51.00 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 45.00 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 18.00 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 75.00 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 247:50 BP 00387 02/09 AJ 08/22/08 BP BP RECEIPTS 22.50 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 24.00 BP 00400 02/09 AJ 08/26/08 BP BP RECEIPTS 18.00 BEGINNING /ENDING BALANCE .00 PREPAREL -'12/2010, 9:26:27 GENERAL LEDGEk m rIVITY LISTING PAGE 861 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 309.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 33.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 702.00 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 87.00 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 465.75 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 42.00 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 61.50 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 141.00 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 61.50 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 111.00 BP 00481 03/09 AJ 09/05/08 BP BP RECEIPTS 85.50 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 33.00 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 22.50 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 180.00 BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS 27.00 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 243.00 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 82.50 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 24.00 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 43.50 BP 00565 03/09 AJ 09/16/08 BP BP RECEIPTS 88.50 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 99.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 153.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 2,943.00 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 66.00 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 66.00 BP 00623 03/09 AJ 09/23/08 BP BP RECEIPTS 54.00 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 378.00 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 33.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 76.50 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 39.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 33.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 430.50 BP 00653 03/09 AJ 09/29/08 BP BP RECEIPTS 33.00 BP 00661 03/09 AJ 09/30/08 BP BP RECEIPTS 132.00 BP 00696 04/09 AJ 10/01/08 BP BP RECEIPTS 66.00 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 55.50 BP 00702 04/09 AJ 10/02/08 BP, BP RECEIPTS 277.50 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 73.50 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 121.50 BP 00727 04/09 AJ 10/06/08 BP BP RECEIPTS 30.00 BP 00734 04/09 AJ 10/07/08 BP BP RECEIPTS 60.00 BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS 426.00 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 226.50 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 46.50 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 27.00 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 48.00 BP 00806 04/09 AJ 10/13/08 BP BP RECEIPTS 479.25 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 1,124.25 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 124.50 BEGINNING /ENDING .BALANCE PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk A6fIVITY LISTING VALE 862 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS BP 00828 04/09 'AJ 10/16/08 BP BP RECEIPTS BP 00834 04/09 AJ 10/17/08 BP BP RECEIPTS BP 00862 04/09 AJ 10/21/08 BP BP RECEIPTS BP 00880 04/09 AJ 10/22/08 BP BP RECEIPTS BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS BP 00913 04/09 AJ 10/24/08 BP BP RECEIPTS BP 00920 04/09 AJ 10/27/08 BP BP RECEIPTS BP 00927 04/09 AJ 10/28/08 BP BP RECEIPTS BP 00942 04/09 AJ 10/29/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00993 05/09 AJ 11/03/08 BP BP RECEIPTS BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS BP 01000. 05/09 AJ 11/04/08 BP BP RECEIPTS BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS BP 01073 05/09 AJ 11/07/08 BP BP RECEIPTS BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01102 05/09' AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/.17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01157 05/09 AJ 11/25/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS BP 01195 06/09 AJ 12/03/08 BP BP RECEIPTS BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS BP 01230 06/09 AJ 12/05/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS BP 01313 06/09 AJ 12/12/08 BP BP RECEIPTS GM 01291 06/09 AP 12/12/08 0081076 PHOENIX ROW III, LLC 121808 BUILDING PERMIT RFND BP 01320 06/09 AJ 12/15/08 BP BP RECEIPTS BP 01327 06/09 AJ 12/16/08 BP BP RECEIPTS DEBITS CREDITS 595.80 33.00 33.00 103.50 90.00 33.00 132.00 21.00 36.00 99.00 262.50 33.00 18.00 48.00 306.00 36.00 30.00 66.00 33.00 67.50 24.00 100.50 33.00 187.50 60.00 132.00 37.50 51.00 45.00 33.00 232.50 99.00 18.00 465.00 151.50 84.00 30.00 33.00 33.00 93.00 33.00 33.00 63.00 22.50 217.50 51.00 25.50 33.00 BEGINNING• /ENDING BALANCE PREPAREL .,:12/2010, 9:26:27 GENERAL LEDGEk H%.rIVITY LISTING PAGE 863 PROGRAM GM562LA 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01396 06/09 AJ 12/22/08 BP BP RECEIPTS• BP 01403 06/09 AJ 12/23/08 BP BP RECEIPTS BP 01410 06/09 AJ 12/24/08 BP BP RECEIPTS BP 01425 06/09 AJ 12/30/08 BP BP RECEIPTS BP 01431 06/09 AJ 12/31/08 BP BP RECEIPTS BP 01438 07/09 AJ 01/05/09 BP BP RECEIPTS BP 01475 07/09 AJ 01/06/09 BP BP RECEIPTS BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01497 07/09 AJ 01/09/09 BP BP RECEIPTS BP 01497 07/09 AJ 01/09/09 BP BP RECEIPTS BP 01510 07/09 AJ 01/13/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01565 07/09 AJ 01/21/09 BP BP RECEIPTS BP 01595 07/09 AJ 01/22/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01644 07/09 AJ 01/29/09 BP BP RECEIPTS BP 01652 07/09 AJ 01/30/09 BP BP RECEIPTS BP 01674 08/09 AJ 02/02/09 BP BP RECEIPTS BP 01730 08/09 AJ 02/05/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS GM 01834 08/09 AP 02/06/09 0081847 SHEA HOMES BP#08-1405 REFUND BP 01743 08/09 AJ 02/09/09 BP BP RECEIPTS BP 01780 08/09 AJ 02/12/09 BP BP RECEIPTS BP 01826 08/09 AJ 02/18/09 BP BP RECEIPTS BP 01845 08/09 AJ 02/19/09 BP BP RECEIPTS BP 01853 08/09• AJ 02/20/09 BP BP RECEIPTS GM 01832 08/09 AP 02/20/09 0081847 SHEA HOMES BP#08-1403 REFUND BP 01860 08/09 AJ 02/23/09 BP BP RECEIPTS BP 01867 08/09 AJ 02/24/09 BP BP RECEIPTS BP 01883 08/09 AJ 02/25/09 BP BP RECEIPTS BP 01897 08/09' AJ 02/26/09 BP BP RECEIPTS BP 01907 08/09 AJ 02/27/09_ BP BP RECEIPTS BP 01931 09/09 AJ 03/02/09 BP BP RECEIPTS BP 01932 09/09 AJ 03/03/09 BP BP RECEIPTS BP 01949 09/09 AJ 03/04/09 BP BP RECEIPTS BP 01994 09/09 AJ 03/05/09 BP BP RECEIPTS DEBITS CREDITS 121.60 243.60 171.00 63.00 192.00 22.50 615.00 15.00 238.50 314.25 54.00 33.00 66.00 79.50 45.00 27.00 22.50 40.50 33.00 51.00 66.00 33.00 18.00 33.00 24.00 109.50 33:00 45.00 67.50 184.50 27.00 22.50 229.50 269.25 60.00 225.00 .. 18.00 33.00 24.00 66.00 33.00 36.00 18.00 33.00 159.00 21.00 396.75 BEGINNING /ENDING BALANCE PREPAREL uai12/2010, 9:26:27 GENERAL LEDGEk AVfIVITY LISTING PAGE 864 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 01994 09/09 AJ 03/05/09 BP BP RECEIPTS 33.00 GM 01946 09/09 AP 03/05/09 0082039 SHEA HOMES 110.40 BP#08-1417 REFUND BP 02000 09/09 AJ 03/06/09 BP BP RECEIPTS 208.50 BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS 66.00 BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS 33.00 BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS 63.00 BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS 106.50 BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS 294.00 BP 02069 09/09 AJ 03/18/09 BP BP RECEIPTS 33.00 BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS 66.00 BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS 100.50 BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS 33.00 BP 021.31 09/09 AJ 03/26/09 BP BP RECEIPTS 175.50 BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS 60.00 BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS 27.00 BP•02145 09/09 AJ 03/30/09 BP BP RECEIPTS 18.00 BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS 326.25 BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS 363.00 BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS 18.00 BP 02189 10/09 AJ 04/02/09 BP BP RECEIPTS 33.00 BP 02195 10/09 AJ 04/03/09 BP BP RECEIPTS 90.00 BP 02205 10/09 AJ 04/07/09 BP BP RECEIPTS 22.50 BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS 69.00 BP 02254 10/09 AJ 04/13/09 BP BP RECEIPTS 192.75 BP 02284 10/09 AJ 04/14/09 BP BP RECEIPTS 33.00 BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS 33.00 BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS 541.50 BP 02297 10/09 AJ 04/16/09 BP' BP RECEIPTS 18.00 BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS 33.00 BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS 94.50 BP 02310 10/09 AJ 04/20/09 BP BP RECEIPTS 114.00 BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS 223.50 BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS 18.00 BP 02366 10/09 AJ 04/24/09 BP BP RECEIPTS 162.00' BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS 33.00 GM 02457 11/09 AP 04/28/09 0082881 SHEA HOMES 128.40 BP#08-1414 REFUND BP 02386 10/09 AJ 04/29/09 BP BP RECEIPTS 100.50 BP 02392 10/09 AJ 04/30/09 BP BP RECEIPTS 18.00 BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS 33.00 BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS 66.00 BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS 30.00 BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS 22.50 BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS 33.00 BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS 112.50 BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS 33.00 GM 02457 11/09 AP 05/07/09 0082881 SHEA HOMES 141.60 BP#08-1419 REFUND BEGINNING /ENDING BALANCE PREPAREL :12/2010, 9:26:27 v GENERAL LEDGEk ..rIVITY LISTING PAGE 865 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 101-5000-322.02-00 Non -Business Licenses / Plumbing permits BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 31.50 BP 02494 11/09 AJ 05/11/09 BP BP RECEIPTS 87.00 BP 02502 11/09 AJ 05/12/09 BP BP RECEIPTS 18.00 BP 02509 11/09 AJ 05/13/09 BP BP RECEIPTS 54.00 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 561.00 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 21.00 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 33.00 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 33.00 BP 02544 11/09 AJ 05/19/09 BP BP RECEIPTS 261.00 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 66.00 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 51.00 BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS 2,406.75 BP 02609 11/09 AJ 05/26/09 BP BP RECEIPTS 30.00 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 61.50 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 33.00 BP 02622 11/09 AJ 05/28/09 BP BP RECEIPTS 18.00 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 66.00 BP 02642 12/09 AJ 06/01/09 BP. BP RECEIPTS 11908.00 BP 02668 12/09 AJ 06/02/09 BP' BP RECEIPTS 51.00 BP 02674 12/09 AJ 06/03/09 BP BP RECEIPTS 91.50 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 33.00 BP 02715 12/09 AJ 06/09/09 BP BP RECEIPTS 30.00 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 60.00 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 22.50 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 33.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 27.00 BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS 33.00 BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS 58.50 BP 02774 12/09 AJ 06/17/09 BP BP RECEIPTS 66.00 BP 02780 12/09 AJ 06/18/09 BP BP RECEIPTS 27.00 BP 02786 12/09 AJ 06/19/09 BP BP RECEIPTS 96.00 GM 02788 12/09 AP 06/19/09 0083504 SHEA HOMES 123.00 PERMIT#09-0386 REFUND BP 02795 12/09 AJ 06/22/09 BP BP RECEIPTS 1,617.00 BP 02815 12/09 AJ 06/23/09 BP BP RECEIPTS 60.00 BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS 18.00 BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS 67.50 BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS 177.00 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 128.25 ACCOUNT TOTAL 1,464.40 42,283.50 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 466.50 BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 24.00 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS •24.00 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 72.00 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 26.00 BEGINNING /ENDING BALANCE 40,819.1OCR .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 866 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 0 N DEBITS CREDITS 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 26.00 BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS 1,662.50 BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS 753.00 BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS 31.50 BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS 52.00 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 42.50 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 26.00 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 26.00 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 78.00 BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS 26.00 BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS 113.00 BP 00109 01/09 AJ 07/16/08 BP BP RECEIPTS 24.00 BP 00116 01/09 AJ 07/17/08 BP BP RECEIPTS 146.50 BP 00135 01/09 AJ 07/18/08 BP BP RECEIPTS 86.50 BP 00141 01/09 AJ 07/21/08 BP BP RECEIPTS 19.50 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 577.00 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 145.50 BP 00163 01/0.9 AJ 07/24/08 BP BP RECEIPTS 478.50 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 157.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 26.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 26.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 26.00 BP 00207 01/09 AJ 07/30/08 BP BP RECEIPTS 85.00 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 50.00 BP 00227 02/09 AJ 08/01/08 BP BP RECEIPTS 156.00 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 65.50 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 26.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 132.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 26.00 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 37.50 BP 00286 02/09 AJ 08/11/08 BP BP RECEIPTS 278.00 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 105.00 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 50.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 26.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 130.00 BP 00318. 02/09 AJ 08/15/08 BP BP RECEIPTS 111.00 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 26.00 BP 00335 02/09 AJ 08/18/08 BP BP RECEIPTS 51.00 BP 00341 02/09 AJ 08/19/08'BP BP RECEIPTS 24.00 BP 00373 02/09 AJ 08/20/08 BP BP"RECEIPTS 19.50 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 63.00 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 149.50 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 178.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 30.50 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 384.00 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 30.50 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 142.00 BP 00448. 02/09 AJ 08/29/08 BP •BP RECEIPTS 376.00 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 26.00 BEGINNING /ENDING BALANCE PREPAREL -'12/2010, 9:26:27 GENERAL LEDGEk htfIVITY LISTING rAWt 867 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-0 N DEBITS CREDITS 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 39.50 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 78.00 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 24.00 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 52.00 BP 00481 03/09 AJ 09/05/08 BP BP RECEIPTS 56.50 BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS 52.50 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 26.00 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 122.50 BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS 48.00 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 168.00 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 33.00 BP 00565 03/09 AJ 09/16/08 BP BP RECEIPTS 67.50 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 78.00 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 33.00 BP 00577 03/09 AJ 09/18/08 BP BP RECEIPTS 33.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 48.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 117.50 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 1,512.00 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 76.00 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 52.00 BP 00623 03/09 AJ 09/23/08 BP BP RECEIPTS 26.00 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 221.50 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 26.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 46.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 26.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 26.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 275.00 BP 00653 03/09 AJ 09/29/08 BP BP RECEIPTS 26.00 BP 00661 03/09 AJ 09/30/08 BP BP RECEIPTS 24.00 BP 00661 03/09 AJ 09/30/08 BP BP RECEIPTS 128.00 BP 00696 04/09 AJ 10/01/08 BP BP RECEIPTS 103.00 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 39.50 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 254.00 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 101.50 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 72.00 BP 00734 04/09 AJ 1.0/07/08 BP BP RECEIPTS 33.00 BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS 330.50 BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS 57.00 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 124.00 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 33.00 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 26.00 BP 00763 04/09 AJ 10/10/08 BP, BP RECEIPTS 30.50 BP 00806 04/09 AJ 10/13/08 BP BP RECEIPTS 247.50 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 546.50 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 65.50 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 26.00 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 45.50 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 140.00 BP 00828 04/09 AJ 10/16/08 BP BP RECEIPTS 52.00 BEGINNING /ENDING BALANCE PREPAREL w.,/12/2010, 9:26:27 GENERAL LEDGEk j%LrIVITY LISTING rAwe 868 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 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 00834 04/09 AJ 10/17/08 BP BP RECEIPTS BP 00862 04/09 AJ 10/21/08 BP BP RECEIPTS BP 00880 04/09 AJ 10/22/08 BP BP RECEIPTS BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS BP 00913 04/09 AJ 10/24/08 BP BP RECEIPTS BP 00920 04/09 AJ 10/27/08 BP BP RECEIPTS BP 00927 04/09 AJ 10/28/08 BP BP RECEIPTS BP 00942 04/09 AJ 10/29/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 00993 05/09 AJ 11/03/08 BP BP RECEIPTS BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS BP 01000 05/09 AJ 11/04/08 BP .BP RECEIPTS BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS . BP 01073 05/09 AJ 11/07/08 BP BP RECEIPTS BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01157 05/09 AJ 11/25/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS BP 01169 06/09 AJ 12/01/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS BP 01176 06/09 -AJ 12/02/08 BP BP RECEIPTS BP 01195 06/09 AJ 12/03/08 BP BP RECEIPTS BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS BP 01230 06/09 AJ 12/05/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS BP 01313 06/09• AJ 12/12/08 BP BP RECEIPTS GM 01291 06/09 AP 12/12/08 0081076 PHOENIX ROW III, LLC 121808 BUILDING PERMIT RFND BP 01327 06/09 AJ 12/16/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01396 06/09 AJ 12/22/08 BP BP RECEIPTS BP 01403 06/09 AJ 12/23/08 BP BP RECEIPTS BP 01410 06/09 AJ 12/24/08 BP BP RECEIPTS DEBITS CREDITS 252.00 26.00 104.00 24.00 19.50 78.00 37.00 26.00 52.00 34.50 19.50 226.00 32.50 77.00 52.00 26.00 70.00 26.00 26.00 131.00 26.00 104.00 24.00 26.00 26.00 26.00 96.00 144.00 24.00 335.00 52.00 77.00 33.00 15.00 26.00 73.50 42.50 26.00 26.00 26-00 95.50 50.00 26.00 50.50 41.50 166.00 21.50 128.00 BEGINNING /ENDING BALANCE PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING FAWE 869 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-322.03-00 Non -Business Lic BP 01431 06/09 AJ 12/31/08 BP BP 01438 07/09 AJ 01/05/09 BP BP 01475 07/09 AJ 01/06/09 BP BP 01482 07/09 AJ 01/07/09 BP BP 01489 07/09 AJ 01/08/09 BP BP 01489 07/09 AJ 01/08/09 BP BP 01489 07/09 AJ 01/08/09 BP BP 01497 07/09 AJ 01/09/09 BP BP 01539 07/09 AJ 01/14/09 BP BP 01.552 07/09 AJ 01/16/09 BP BP 01552 07/09 AJ 01/16/09 BP BP 01559 07/09 AJ 01/20/09 BP BP 01559 07/09 AJ 01'/20/09 BP BP 01565 07/09 AJ 01/21/09 BP BP 01595 07/09 AJ 01/22/09 BP BP 01630 07/09 AJ 01/27/09 BP BP 01630 07/09 AJ 01/27/09 BP BP 01637 07/09 AJ 01/28/09 BP BP 01637 07/09 AJ 01/28/09 BP BP 01674 08/09 AJ 02/02/09 BP BP 01730 08/09 AJ 02/05/09 BP BP 01737 08/09 AJ 02/06/09 BP BP 01737 08/09 AJ 02/06/09 BP GM 01834 08/09 AP 02/06/09 0081847 BP 01743 08/09 BP 01774 08/09 BP 01780 08/09 BP 01786 08/09 BP 01826 08/09 BP 01853 08/09 GM 01832 08/09 BP 01867 08/09 BP 01883 08/09 BP 01897 08/09 BP 01931 09/09 BP 01931 09/09 BP 01932 09/09 BP 01949 09/09 BP 01949 09/09 BP 01994 09/09 BP 01994 09/09 GM 01946 09/09 BP 02000 09/09 BP 02007 09/09 BP 02014 09/09 BP 02014 09/09 BP#08-1405 AJ 02/09/09 BP AJ 02/11/09 BP AJ 02/12/09 BP AJ 02/1.3/09 BP AJ 02/18/09 BP AJ 02/20/09 BP AP 02/20/09 0081847 BP#08-1403 AJ 02/24/09 BP AJ 02/25/09 BP AJ 02/26/09 BP AJ 03/02/09 BP AJ 03/02/09 BP AJ 03/03/09 BP AJ 03/04/09 BP AJ 03/04/09 BP AJ•03/05/09 BP AJ 03/05/09 BP AP 03/05/09 0082039 BP#08-1417 AJ 03/06/09 BP AJ 03/09/09 BP AJ 03/10/09 BP AJ 03/10/09 BP 4 enses / 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 BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS *BP RECEIPTS BP RECEIPTS - BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS 56.40 112.80 61.60 207.50 195.00 52.00 57.50 31.50 45.50 . 26.00 26.00 42.50 46.50 26.00 57.50 52.00 26.00 24.00 26.00 26.00 30.50 26.00 134.50 26.00 19.50 114.50 261.50 168.00 52.00 75.00 312.50 26.00 50.50 26.•00 24.00 33.00 26.00 90.00 33.00 . 19.50 237.00 26.00 126.00 19.50 52.00 26.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 870 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 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS BP 02069 09/09 AJ 03/18/09 BP BP RECEIPTS BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS BP 02097 09/09 AJ 03/24/09 BP BP RECEIPTS BP 02131 09/09 AJ 03/26/09 BP BP RECEIPTS BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS BP 02138 09/09 AJ 03/27/09 BP BP RECEIPTS BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS BP 02182 1`0/09 AJ 04/01/09 BP BP RECEIPTS BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS BP 02189 10/09 AJ 04/02/09 BP BP RECEIPTS BP 02195 10/09 AJ 04/03/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS BP 02254 10/09 AJ 04/13/09 BP BP RECEIPTS BP 02284 10/09 AJ 04/14/09 BP BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02310 10/09 AJ 04/20/09 BP BP RECEIPTS BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS BP 02324 10/09 AJ 04/22/09 BP BP RECEIPTS BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS BP 02366 10/09 AJ 04/24/09 BP BP RECEIPTS BP'02372 10/09 AJ 04/27/09 BP BP RECEIPTS BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS GM 02457 11/09 AP 04/28/09 0082881 SHEA HOMES BP#08-1414 REFUND BP 02386 10/09 AJ 04/29/09 BP BP RECEIPTS BP 02392 10/09 AJ 04/30/09 BP BP RECEIPTS BP 02392 10/09 AJ 04/30/09 .BP BP RECEIPTS BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP - BP RECEIPTS BP 02478 11/09 AJ 05/06/09 BP BP RECEIPTS BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS DEBITS CREDITS 59.60 26.00 50.00 190.50 26.00 24.00 59.00 26.00 33.00 26.00 21.50 90.50 85.00 19.50 203.50 325.50 21.50 24.00 19.50 33.00 26.00 104.50 26.00 26.00 303.00 26.00 39.00 110.00 109.00 33.00 33.00 78.00 33.00 26.00 42.50 60.00 21.50 33.00 26.00 33.00 52.00 30.50 51.00 26.00 85.50 33.00 19.50 59.00 BEGINNING /ENDING BALANCE PREPARED wj.12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 871 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-322.03-00 Non -Business Licenses / Mechanical Permits BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS 33.00 GM 02457 11/09 AP 05/07/09 0082881 SHEA-HOMES 79.60 BP#08-1419 REFUND BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 19.50 BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 19.50 BP 02494 11/09 AJ 05/11/09 BP BP RECEIPTS 78.00 BP 02509 11/09 AJ 05/13/09 BP BP RECEIPTS 160.00 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 484.50, BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 66.50 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 77.00 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 26.00 BP 02544 11/09 AJ 05/19/09 BP BP RECEIPTS 186.00 BP 02555 11/.09 AJ 05/20/09 BP BP RECEIPTS 52.00 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 95.00 BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS 1,270.50 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 57.00 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 26.00 BP 02622 11/09 AJ 05/28/09 BP BP RECEIPTS 75.00 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 52.00 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 11016.00 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 51.00 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 33.00 BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS 33.00 BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS 39.50 BP 02674 12/09 AJ 06/03/09 BP BP RECEIPTS 53.50 BP 02699 12/09 AJ 06/04/09 BP BP RECEIPTS 33.00 BP 02699 12/09 AJ 06/04/09 BP BP RECEIPTS 35.00 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 26.00 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 33.00 BP 02722 12/09 AJ 06/10/09 BP BP RECEIPTS 33.00 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 52.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 26.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 26.00 BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS 26.00 BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS 39.50 BP 02774 12/09 AJ 06/17/09 BP BP RECEIPTS 52.00 BP 02780 12/09 AJ 06/18/09 BP BP RECEIPTS 30.50 BP 02786 12/09 AJ 06/19/09 BP BP RECEIPTS 26.00 GM 02788 12/09 AP 06/19/09 0083504 SHEA HOMES 77.00 PERMIT#09-0386 REFUND BP 02795 12%09 AJ 06/22/09 BP BP RECEIPTS 845.00 BP 02815 12/09 ' AJ 06/23/09 BP BP RECEIPTS• - 26.00 BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS 33.00 BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS 103.00 BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS 83.50 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 102.00 ACCOUNT TOTAL 699.00 28,187.00 27,488.00OR PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 872 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 101-5000-322.04-00 Non -Business Licenses / Electrical Permits• BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 694.20 BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 48.00 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 140.38 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 111.50 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 45.00 BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS 2,148.76 BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS 2,248.35 BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS 105.75 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 31.50 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 45.00 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 78.50 BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS 166.50 BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS 92.25 BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS 238.74 BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS 15.75 BP 00109 01/09 AJ 07/16/08 BP BP RECEIPTS 45.00 BP 00116 01/09 AJ 07/17/08 BP BP RECEIPTS 155.03 BP 00135 01/09 AJ 07/18/08 BP BP RECEIPTS 68.70 BP 00141 01/09 AJ 07/21/08 BP BP RECEIPTS 33.50 BP 00141 01/09 AJ 07/21/08 BP BP RECEIPTS 60.90 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 33.50 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 562.*69 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 244.32 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 671.56 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 287.42 BP 00170 01/09 AJ 07/25/08 BP BP RECEIPTS 15.75 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 62.25 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 17.25 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 45.00 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 45.00 BP 00198 01/09 AJ 07/29/08 BP BP RECEIPTS 33.50 BP 00207 01/09 AJ 07/30/08 BP BP RECEIPTS 90.00 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 258.57 BP 00227 02/09 AJ 08/01/08 BP BP RECEIPTS 349.50 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 107.35 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 45.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 286.03 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 45.00 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 76.64 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 15.75 BP 00286 02/09 AJ 08/11/08 BP BP RECEIPTS 169.80 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 114.46 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 59.44 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 67.86 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 135.75 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 61.50 BP 00335 02/09 AJ 08/18/08 BP BP RECEIPTS 30.75 BP 00341 02/09 AJ 08/19/08 BP BP RECEIPTS 45.75 BP 00341 02/09 AJ 08/19/08 BP BP RECEIPTS 21.00 BEGINNING /ENDING BALANCE .00 PREPARED wax12/2010, 9:26:27 GENERAL LEDGER h%.e'IVITY LISTING VAWh 873 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 BEGINNING /ENDING BALANCE ----------------------------------------------------------------------------------y ------------------------------------------------- 101-5000-322.04-00 Non -Business Licenses / Electrical Permits BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 78.15 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 26.00 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 153.50 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 494.04 BP 00387 02/09 AJ 08/22/08 BP BP RECEIPTS 33.00 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 270.20 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 78.50 BP 00400 02/09 AJ 08/26/08 BP BP RECEIPTS 21.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 288.28 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS .16.12 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 524.13 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 90.00 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 529.46 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 38.63 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 75.88 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 180.00 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 41.76 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 90.00 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 45.75 BP 00481 03/09 AJ 09/05/08 BP BP RECEIPTS 120.05. BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS. 46.16 BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS 19.50 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 67.00 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 45.00 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 289:75 BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS 72.68 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 248.46 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 33.50 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 60.75 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 25.50 BP 00565 03/09 AJ 09/16/08 BP BP RECEIPTS 153.25 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS' 135.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 234.85 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 22173.86 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 90.00 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 90.00 BP 00623 03/09 AJ 09/23/08 BP BP RECEIPTS 60.00• BP 00623 03/09 AJ 09/23/08 BP BP RECEIPTS 61.50 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 342.41 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 45.00 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 44.16 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 45.00 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 60.75 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 11561.95 BP 006.53 03/09 AJ 09/29/08 BP BP RECEIPTS. 45.00 BP 00661 03/09 AJ 09/30/08 BP BP RECEIPTS 201.09 BP 00696 04/09 AJ 10/01/08 BP BP RECEIPTS 90.00 BP 00702 04/09 AJ 10/02/08 BP, BP RECEIPTS 26.20 BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS 265.95 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER N6:•IVITY LISTING PAGE 8.74 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-322.04-00 Non -Business Licenses / Electrical Permits BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 128.76 BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS 91.02 BP 00727 04/09 AJ 10/06/08 BP BP RECEIPTS 15.00 BP 00734 04/09 AJ 10/07/08 BP BP RECEIPTS 17.25 BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS 340.81 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 187.78 BP 00755 04/09 AJ 10/09/08 BP BP RECEIPTS 57.02 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 45.00 BP 00763 04/09 AJ 10/10/08 BP BP RECEIPTS 20.25 BP 00806 04/09 AJ 10/13/08 BP BP RECEIPTS 311.61 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 706.53 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 57.76 BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS 45.00 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 75.00 BP 00821 04/09 AJ 10/15/08 BP BP RECEIPTS 328.60 BP 00828 04/09 AJ 10/16/08 BP BP RECEIPTS 135.00 BP 00834 04/09 AJ 10/17/08 BP BP RECEIPTS 45.00 BP 00841 04/09 AJ 10/20/08 BP BP RECEIPTS 45.75 BP 00862 04/09 AJ 10/21/08 BP BP RECEIPTS 180.00 BP 00880 04/09 AJ 10/22/08 BP BP RECEIPTS 68.25 BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS 21.28 BP 00906 04/09 AJ 10/23/08 BP BP RECEIPTS 135.00 BP 00913 04/09 AJ 10/24/08 BP BP RECEIPTS 89.50 BP 00913 04/09 AJ 10/24/08 BP BP RECEIPTS 30.00 BP 00920 04/09 AJ 10/27/08 BP BP RECEIPTS 45.00 BP 00927 04/09 AJ 10/28/08 BP BP RECEIPTS 43.25 BP 00942 04/09 AJ 10/29/08 BP BP RECEIPTS 54.35 BP 00942 04/09 AJ 10/29/08 BP BP RECEIPTS 33.50 BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS 20.81 BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS 370.76 BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS 21.06 BP 00957 04/09 AJ 10/31/08 BP BP RECEIPTS 33.50 BP 00957 04/09 AJ 10/31/08 BP BP RECEIPTS 52.00 BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS 90.00 BP 01000 05/09 AJ 11/04/08 BP BP RECEIPTS 45.00 BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS 71.10 BP 01015 05/09 AJ 11/06/08 BP BP RECEIPTS 17.25 BP 01073 05/09 AJ 11/07/08 BP BP RECEIPTS 45.00 BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS 26.00 BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS 16.93 BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS 213.64 BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS 47.00 BP 01094 05/09 AJ 11/13/08 BP BP RECEIPTS 33.50 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 180.00 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 20.32 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 45.00 BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS 41.70 BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS 45.00 BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS 114.60 PREPARED w�,'12/2010, 9:26:27 GENERAL LEDGER A6 IVITY LISTING PAGE 875 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. 101-5000-322.04-00 Non -Business Licenses / Electrical Permits BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS BP 01125 05/09 AJ 11/19/08 BP BP RECEIPTS BP*01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01139 •05/09 AJ 11/21/08 BP BP RECEIPTS BP 01146 05/09 AJ 11/24/08 BP BP RECEIPTS BP 01157 05/09 AJ 11/25/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS . BP 01195 06/09 AJ 12/03/08 BP BP RECEIPTS BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS BP 01230 06/09 AJ 12/05/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS BP 01298 06/09 AJ 12/10/08 BP BP RECEIPTS BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS BP 01313 06/09 AJ 12/12/08 BP BP RECEIPTS GM 01291 06/09 AP 12/12/08 0081076 PHOENIX ROW III, LLC 121808 BUILDING PERMIT RFND BP 01320 06/09 AJ 12/15/08 BP BP RECEIPTS BP 01327 06/09 AJ 12/16/08 BP BP RECEIPTS BP 01327 06/09 AJ 12/16/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS BP 01396 06/09 AJ 12/22/08 BP BP RECEIPTS BP 01403 06/09 AJ 12/23/08 BP BP RECEIPTS BP 01410 06/09 AJ 12/24/08 BP BP RECEIPTS BP 01425 06/09 AJ 12/30/08 BP BP RECEIPTS BP 01431 06/09 AJ 12/31/08 BP BP RECEIPTS BP 01438 07/09 AJ 01/05/09 BP BP RECEIPTS BP 01475 07/09 AJ 01/06/09 BP BP RECEIPTS BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01497 07/09 AJ 01/09/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01565 07/09 AJ 01/21/09 BP BP RECEIPTS BP 01595 07/09 AJ 01/22/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01644 07/09 AJ 01/29/09 BP BP RECEIPTS BP 01644 07/09 AJ 01/29/09 BP BP RECEIPTS DEBITS CREDITS 327.00 135.00 22.04 48.50 493.57 33.50 50.75 33.50 133.25 68.50 17.25 45.00 92.14 108.00 45.00 79.50 33.50 21.48 206.96 62.25 33.50 45.00 45.00 83.34 209.68 289.50 117.00 807.05 33.50 299.02 260.31 146.00 45.00 97.30 134.50 45.00 67.48 45.00 45.00 90.86 45.00 33.00 45.00 72.55 76.50 45.00 30.00 15.75 BEGINNING /ENDING BALANCE PREPARED uoi'12/2010, 9:26:27 GENERAL LEDGER A6 IVITY LISTING PAGE 876 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 101-5000-322.04-00 BP 01674 08/09 AJ BP 01674 08/09 AJ BP 01681 08/09 AJ BP 01707 08/09 AJ BP 01730 08/09 AJ BP 01737 08/09 AJ BP 01737 08/09 AJ GM 01834 08/09 AP BP 01743 08/09 AJ BP 01751 08/09 AJ BP 01780 08/09 AJ BP 01786 08/09 AJ BP 01819 08/09 AJ BP 01826 08/09 -AJ BP 01826 08/09 AJ BP 01845 08/09 AJ BP 01853 08/09 AJ BP 01853 08/09 AJ GM 01832 08/09 AP BP 01860 08/09 AJ BP 01867 08/09 AJ BP 01883 08/09 AJ BP 01897 08/09 AJ BP 01897 08/09 AJ BP 01931 09/09 AJ BP 01932 09/09 AJ BP 01949 09/09 AJ BP 01994 09/09 AJ BP 01994 09/09 AJ GM 01946 09/09 AP BP 02000 09/09 AJ BP 02007 09/09 AJ BP 02007 09/09 AJ BP 02014 09/09 AJ BP 02014 09/09 AJ BP 02028 09/09 AJ BP 02028 09/09 A.1 BP 02035 09/09 AJ BP 02041 09/09 AJ BP 02047 09/09 AJ BP 02047 09/09 AJ BP 02047 09/09 AJ BP 02069 09/09 'AJ BP 02076 09/09 AJ BP 02076 09/09 AJ BP 02084 09/09 AJ Non -Business Licenses 02/02/09 BP 02/02/09 BP 02/03/09 BP 02/04/09 BP 02/05/09 BP 02/06/09 BP 02/06/09 BP 02/06/09 0081847 BP#08-1405 02/09/09 BP 02/10/09 BP 02/12/09 BP 02/13/09 BP 02/17/09 BP 02/18/09 BP 02/18/09 BP 02/19/09 BP 02/20/09 BP 02/20/09 BP 02/20/09 0081847 BP#08-1403 02/23/09 BP 02/24/09 BP 02/25/09 BP 02/26/09 BP 02/26/09 BP 03/02/09 BP 03/03/09 BP 03/04/09 BP 03/05/09 BP 03/05/09 BP 03/05/09 0082039 BP#08-1417 03/06/09 BP 03/09/09 BP 03/09/09 BP 03/10/09 BP 03/10/09 BP 03/12/09 BP 03/12/09 BP 03/13/09 BP 03/16/09 BP 03/17/09 BP 03/17/09 BP 03/17/09 BP 03/18/09 BP 03/19/09 BP 03/19/09 BP 03/20/09 BP Electrical Permits BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES 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 DEBITS CREDITS 75.62 151.24 80.52 141.80 33.50 32.25 30.00 45.00 21.37 231.76 425.05 33.50 37.50 38.40 52.50 325.52 33.00 17.25 45.00 15.75 60.75 56.12 75.75 15.75 30.00 45.00 116.30 77.55 284.14 45.00 188.19 30.00 33.60 120.00 45.00 45.00 106.15 30.00 198.99 24.51 26.25 24.72 45.00 45.00 114.00 45.00 BEGINNING /ENDING BALANCE PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 877 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 101-5000-322.04-00 BP 02084 09/09 AJ BP 02091 09/09 AJ BP 02097 09/09 AJ BP 02131 09/09 AJ BP 02131 09/09 AJ BP 02138 09/09 AJ BP 02138 09/09 AJ BP 02145 09/09 AJ BP 02153 09/09 AJ BP 02182 10/09 AJ BP 02189 10/09 AJ BP 02195 10/09 AJ BP 02242 10/09 AJ BP 02242 10/09 AJ BP 02254 10/09 AJ BP 02284 10/09 AJ BP 02290 10/09 AJ BP 02290 10/09 AJ BP 02297 10/09 AJ BP 02303 10/09 AJ BP 02303 10/09 AJ BP 02310 10/09 AJ BP 02316 10/09 AJ BP 02316 10/09 AJ BP 02360 10/09 AJ BP 02366 10/09 AJ BP 02379 10/09 AJ GM 02457 11/09 AP BP 02386 10/09 AJ BP 02392 10/09 AJ BP 02413 11/09 AJ BP 02419 11/09 AJ BP 02426 11/09 AJ BP 02426 11/09 AJ BP 02426 11/09 AJ BP 02478 11/09 AJ BP 02484 11/09 AJ BP 02484 11/09 AJ GM 02457 11/09 AP BP 02489 11/09 AJ BP 02489 11/09 AJ BP 02494 11/09 AJ BP 02494 11/09 AJ BP 02494 11/09 AJ BP 02502 11/09 AJ BP 02509 11/09 AJ BP 02515 11/09 AJ Non -Business Licenses 03/20/09 BP - 03/23/09 BP 03/24/09 BP 03/26/09.BP 03/26/09 BP 03/27/09 BP 03/27/09 BP 03/30/09 BP 03/31/09 BP 04/01/09 BP 04/02/09 BP 04/03/09 BP 04/09/09 BP 04/09/09 BP 04/13/09 BP 04/14/09 BP 04/15/09 BP 04/15/09 BP' 04/16/09 BP 04/17/09 BP 04/17/09 BP 04/20/09 BP 04/21/09 BP 04/21/09 BP 04/23/09 BP 04/24/09 BP 04/28/09 BP 04/28/09 0082881 BP#08-1414 04/29/09 BP 04/30/09 BP 05/01/09 BP 05/04/09 BP 05/05/09 BP 05/05/09 BP 05/05/09 BP 05/06/09 BP 05/07/09 BP 05/07/09 BP 05/07/09 0082881 BP#08-1419 05/08/09 BP 05/08/09 BP 05/11/09 BP 05/11/09 BP 05/11/09 BP 05/12/09 BP 05/13/09 BP 05/14/09 BP Electrical Permits BP RECEIPTS SP 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 BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS DEBITS CREDITS 94.28 99.10 19.59 45.00 30.00 138.47 33.50 123.00 62.85 300.58 39.00 6.54.0 5 92.00 41.75 16.50 45.00 172.60 120.00 145.85 357.19 33.00 45.00 50.18 145.85 435.35 15.75 34.50 83.40 45.00 26.25 167.50 45.00 157.00 40.95 45.00 154.80 18.20 60.00 45.00 24.00 36.82 135.00 33.50 33.50 33.50 83.98 649.63 BEGINNING /ENDING BALANCE PREPARED uai'12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 878 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 0 N DEBITS CREDITS BALANCE 101-5000-322.04-00 Non -Business Licenses / Electrical Permits BP 02515 11/09 AJ 05/14/09 BP BP -RECEIPTS 33.50 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 45.00 BP 02531 11/09 AJ 05/15/09 BP. BP RECEIPTS 45.00 BP 02538 .11/09 AJ 05/18/09 BP BP RECEIPTS 15.75 BP 02544 11/09 AJ 05/19/09 BP BP RECEIPTS 253.38 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 90.00 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 71.00 BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS 1,728.76 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 78.00 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 45.00 BP 02622 11/09 AJ 05/28/09 BP BP RECEIPTS 56.00 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 90.00 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 1,318.11 BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS• 61.03 BP 02674 12/09 AJ 06/03/09 BP BP RECEIPTS 97.05 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 45.00 BP 02722 12/09 AJ 06/10/09 BP BP RECEIPTS 33.50 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 90.00 BP 02749 12/09. AJ 06/11/09' BP BP RECEIPTS 26.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 78.00 BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 45.00 BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS 45.00 BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS 25.50 BP 02774 12/09 AJ 06/17/09 BP BP RECEIPTS 90.00 BP 02780 12/09 AJ 06/18/09 BP BP RECEIPTS 31.80 BP 02786 12/09 AJ 06/19/09 BP BP RECEIPTS 135.00 GM 02788 12/09 AP 06/19/09 0083504 SHEA HOMES 80.70 PERMIT#09-0386 REFUND BP 02795 12/09 AJ 06/22/09 BP BP RECEIPTS 11088.51 BP 02815 12/09 AJ 06/23/09 BP BP RECEIPTS 90.00 BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS 67.00 BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS 91.10 BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS 124•.64 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 139.94 ACCOUNT TOTAL 908.46 45,210.47 44,302.01CR 101-5000-322.06-00 Non -Business Licenses / Miscellaneous Permits .00 BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 443.78 BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS 105.00 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 179.14 BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS 72.00 BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS 30.00 BP 00024' 01/09 AJ 07/03/08 BP BP RECEIPTS 15.00 BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS 1,008.36 BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS 3,170.17 BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS 124.00 BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS 326.56 PREPARED w�,12/2010, 9:26:27 GENERAL LEDGER __.'IVITY LISTING rAWt 879 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.06-00 Non -Business Licenses BP 00057 01/09 AJ 07/10/08 BP BP 00064 01/09 AJ 07/11/08 BP BP 00064 01/09 AJ 07/11/08 BP BP 00084 01/09 AJ 07/14/08 BP BP 00091 01/09 AJ 07/15/08 BP BP 00091 01/09 AJ 07/15/08 BP CE 00092 01/09 AJ 07/15/08 CE BP 00109 01/09 AJ 07/16/08 BP BP 00109 01/09 AJ 07/16/08 BP BP 00116 01/09 AJ 07/17/08 BP CE 00118 01/09 AJ 07/17/08 CE BP 00135 01/09 AJ 07/18/08 BP BP 00135 01/09 AJ 07/18/08 BP CE 00136 01/09 AJ 07/18/08 CE BP 00141 01/09 AJ 07/21/08 BP BP 00148 01/09 AJ 07/22/08 BP BP 00148 01/09 AJ 07/22/08 BP BP 00154 01/09 AJ 07/23/08 BP BP 00163 01/09 AJ 07/24/08 BP BP 00163 01/09 AJ 07/24/08 BP BP 00170 01/09 AJ 07/25/08 BP BP 00183 01/09 AJ 07/28/08 BP BP 00183 01/09 AJ 07/28/08 BP BP 00183 01/09 AJ 07/28/08 BP' BP 00183 01/09 AJ 07/28/08 BP BP 00198 01/09 AJ 07/29/08 BP BP 00207 01/09 AJ 07/30/08 BP BP 00207 01/09 AJ 07/30/08 BP BP 00221 01/09 AJ 07/31/08 BP BP 00221 01/09 AJ 07/31/08 BP CE 00222 01/09 AJ 07/31/08 CE BP 00227 02/09 AJ 08/01/08 BP BP 00235 02/09 AJ 08/04/08 BP BP 00235 02/09 AJ 08/04/08 BP BP 00248 02/09 AJ 08/05/08 BP BP 00248 02/09 AJ 08/05/08 BP BP 00275 02/09 AJ 08/06/08 BP BP 00306 02/09 AJ 08/08/08 BP BP 00306 02/09 AJ 08/08/08 BP BP 00286 02/09 AJ 08/11/08 BP CE 00288 02/09 AJ 08/11/08 CE BP 00293 02/09 AJ 08/12/08 BP BP 00293 02/09 AJ 08/12/08 BP BP 00293 02/09 AJ 08/12/08 BP BP 00300 02/09 AJ 08/13/08 BP CE 00301 02/09 AJ 08/13/08 CE BP 00318 02/09 AJ 08/15/08 BP BP 00318 02/09 AJ 08/15/08 BP BP 00335 02/09 AJ 08/18/08 BP Miscellaneous Permits DEBITS CREDITS BP RECEIPTS 15.00 BP RECEIPTS 17.93 BP RECEIPTS 30.00 BP RECEIPTS 277.00 BP RECEIPTS 737.35 BP RECEIPTS 149.51 CE RECEIPTS 10.00 BP RECEIPTS 19.00 BP RECEIPTS 7.61 BP RECEIPTS 131.06 CE RECEIPTS 10.00 BP RECEIPTS 208.14 BP RECEIPTS 99.00 CE RECEIPTS 10.00 BP RECEIPTS 63.09 BP RECEIPTS 404.00 BP RECEIPTS 661.98 BP RECEIPTS 251.12 BP RECEIPTS 225.01 BP RECEIPTS 147.00 BP RECEIPTS 54.98 BP RECEIPTS 19.68 BP RECEIPTS '3.51 BP RECEIPTS 233.00 BP RECEIPTS 223.00 BP RECEIPTS 234.00 BP'RECEIPTS 60.00 BP RECEIPTS 87.00 BP RECEIPTS 113.69 BP RECEIPTS 248.81 CE RECEIPTS 10.00 BP RECEIPTS 105.40 BP RECEIPTS 216.35 BP RECEIPTS 4.49 BP RECEIPTS 415.59 BP RECEIPTS 15.00 BP RECEIPTS 30.00 BP RECEIPTS 140.79 BP RECEIPTS 18.49 BP RECEIPTS 490.72 CE RECEIPTS 10.00 BP•RECEIPTS 65.80 BP RECEIPTS 171.57 BP RECEIPTS 273.60 BP RECEIPTS 43.00 CE RECEIPTS 10.00 BP RECEIPTS 18.51 BP RECEIPTS 4.10 BP RECEIPTS 194.87 BEGINNING /ENDING BALANCE PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING rAVt 880 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 101-5000-322.06-00 Non -Business Licenses BP 00335 02/09 AJ 08/18/08 BP BP 00341 02/09 AJ 08/19/08 BP BP 00341 02/09 AJ 08/19/08 BP BP 00373 02/09 AJ 08/20/08 BP BP 00373 02/09 AJ 08/20/08 BP BP 00373 02/09 AJ 08/20/08 BP BP 00380 02/09 AJ 08/21/08 BP BP 00380 02/09 AJ 08/21/08 BP BP 00387 02/09 AJ 08/22/08 BP BP 00387 02/09 AJ 08/22/08 BP CE 00389 02/09 AJ 08/22/08 CE BP 00394 02/09 AJ 08/25/08 BP BP 00400 02/09 AJ 08/26/08 BP BP 00400 02/09 AJ 08/26/08 BP BP 00416 02/09 AJ 08/27/08 BP BP 00416 02/09 AJ 08/27/08 BP BP 00416 02/09 AJ 08/27/08 BP BP 00416 02/09 AJ 08/27/08 BP BP 00423 02/09 AJ 08/28/08 BP CE 00424 02/09 AJ 08/28/08 CE BP 00448 02/09 AJ 08/29/08 BP BP 00448 02/09 AJ 08/29/08 BP BP 00448 02/09 AJ 08/29/08 BP BP 00455 03/09 AJ 09/02/08 BP BP 00455 03/09 AJ 09/02/08 BP CE 00457 03/09 AJ 09/02/08 CE BP 00465 03/09 AJ 09/03/08 BP BP 00472 03/09 AJ 09/04/08 BP BP 00481 03/09 AJ 09/05/08 BP BP 00501 03/09 AJ 09/08/08 BP BP 00501 03/09 AJ 09/08/08 BP BP 00509 03/09 AJ 09/09/08 BP BP 00509 03/09 AJ 09/09/08 BP BP 00509 03/09 AJ 09/09/08 BP BP 00540 03/09 AJ 09/10/08 BP BP 00540 03/09 AJ 09/10/08 BP BP 00540 03/09 AJ 09/10/08 BP BP 00547 03/09 AJ 09/11/08 BP BP 00547 03/09 AJ 09/11/08 BP BP 00554 03/09 AJ 09/12/08 BP BP 00560 03/09 AJ 09/15/08 BP BP 00560 03/09 AJ 09/15/08 BP BP 00565 03/09 AJ 09/16/08 BP BP 00565 03/09 AJ 09/16/08 BP BP 00571 03/09 AJ 09/17/08 BP BP 00571 03/09 AJ 09/17/08 BP BP 00577 03/09 AJ 09/18/08 BP BP 00577 03/09 AJ 09/18/08 BP CE 00579 03/09 AJ 09/18/08 CE DEBITS CREDITS Miscellaneous Permits BP RECEIPTS 111.00 BP RECEIPTS 297.50 BP RECEIPTS 873.00 BP RECEIPTS 15.00 BP RECEIPTS 155.70 BP RECEIPTS 5.85 BP RECEIPTS 15.00 BP RECEIPTS 333.95 BP RECEIPTS 81.00 BP RECEIPTS 186.00 CE RECEIPTS 10.00 BP RECEIPTS 128.00 BP RECEIPTS 7.61 BP RECEIPTS 13.46 BP RECEIPTS 152.03 BP RECEIPTS 376.20 BP RECEIPTS 98.87 BP RECEIPTS 154.42 BP RECEIPTS 102.72 CE RECEIPTS 10.00 BP RECEIPTS .98 BP RECEIPTS 297.53 BP RECEIPTS 67.03 BP RECEIPTS 1,009.23 BP RECEIPTS 45.00 CE RECEIPTS 10.00 BP RECEIPTS '229.20 BP RECEIPTS 22.50 BP RECEIPTS 53.88 BP RECEIPTS 33.51 BP RECEIPTS 192.00 BP RECEIPTS 51.00 BP RECEIPTS 531.00 BP RECEIPTS 3.51 BP RECEIPTS 81.00 BP RECEIPTS 63.98 BP RECEIPTS 980.14 BP RECEIPTS 6.44 BP RECEIPTS 30.00 BP RECEIPTS 162.96 BP RECEIPTS 18.49 BP RECEIPTS 43.16 BP RECEIPTS 217.37 BP RECEIPTS 382.00 BP RECEIPTS 23.00 BP RECEIPTS 279.50 BP RECEIPTS 15.00 BP RECEIPTS 200.00 CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED u.;i12/2010, 9:26:27 GENERAL LEDGEk A1.fIVITY LISTING VAUh 881 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 101-5000-322.06-00 Non -Business Licenses BP 00609 03/09 AJ 09/19/08 BP BP 00609 03/09 AJ 09/19/08 BP BP 00616 03/09 AJ 09/22/08 BP BP 00616 03/09 AJ 09/22/08 BP CE 00625 03/09 AJ 09/23/08 CE BP 00630 03/09 AJ 09/24/08 BP BP 00640 03/09 AJ 09/25/08 BP BP 00647 03/09 AJ 09/26/08 BP BP 00647 03/09 AJ 09/26/08 BP BP 00647 03/09 AJ 09/26/08 BP BP 00653 03/09 AJ 09/29/08 BP BP 00653 03/09 AJ 09/29/08 BP BP 00661 03/09 AJ 09/30/08 BP BP 00661 03/09 AJ 09/30/08 BP BP 00696 04/09 AJ 10/01/08 BP BP 00696 04/09 AJ 10/01/08 BP BP 00702 04/09 AJ 10/02/08 BP BP 00702 04/09 AJ 10/02/08 BP BP 00702 04/09 AJ 10/02/08 BP CE 00704 04/09 AJ 10/02/08 CE BP 00709 04/09 AJ 10/03/08 BP BP 00709 04/09 AJ 10/03/08 BP CE 00729 04/09 AJ 10/06/08 CE BP 00734 04/09 AJ 10/07/08 BP BP 00748 04/09 AJ 10/08/08 BP BP 00755 04/09 AJ 10/09/08 BP BP 00755 04/09 AJ 10/09/08 BP BP 00763 04/09 AJ 10/10/08 BP BP 00806 04/09 AJ 10/13/08 BP BP 00814 04/09 AJ 10/14/08 BP BP 00814 04/09 AJ 10/14/08 BP BP 00821 04/09 AJ 10/15/08 BP BP 00821 04/09 AJ 10/15/08 BP BP 00828 04/09 AJ 10/16/08 BP BP 00828 04/09 AJ 10/16/08 BP BP 00834 04/09 AJ 10/17/08 BP BP 00834 04/09 AJ 10/17/08 BP BP 00841 04/09 AJ 10/20/08 BP BP 00841 04/09 AJ 10/20/08 BP BP 00841 04/09 AJ 10/20/08 BP BP 00862 04/09 AJ 10/21/08 BP BP 00862 04/09 AJ 10/21/08 BP BP 00880 04/09 AJ 10/22/08 BP BP 00906 04/09 AJ 10/23/08 BP BP 00906 04/09 AJ 10/23/08 BP CE 00908 04/09 AJ 10/23/08 CE CE 00915 04/09 AJ 10/24/08 CE BP 00920 04/09 .AJ 10/27/08 BP BP 00920 04/09 AJ 10/27/08 BP DEBITS CREDITS Miscellaneous Permits BP RECEIPTS 193.94 BP RECEIPTS 1,467.44 BP RECEIPTS• 180.00 BP RECEIPTS 15.00 CE RECEIPTS 10.00 BP RECEIPTS 222.35 BP RECEIPTS 134.50 BP RECEIPTS 117.00 BP RECEIPTS 19.68 BP RECEIPTS 1,081.72 BP RECEIPTS 54.00 BP RECEIPTS 168.38 BP RECEIPTS 129.00 BP RECEIPTS 205.53 BP RECEIPTS 112.15 BP RECEIPTS 100.00 BP RECEIPTS 12.87 BP RECEIPTS 219.12 BP RECEIPTS 30.00 CE RECEIPTS 10.00 BP RECEIPTS 7.61 BP RECEIPTS 26.94 CE RECEIPTS 10.00 BP RECEIPTS 13.46 BP RECEIPTS 362.21 BP RECEIPTS 431.14 BP RECEIPTS 16.80 BP RECEIPTS 72.00 BP RECEIPTS 277.69 BP RECEIPTS 425.43 BP RECEIPTS 63.92 BP RECEIPTS 25.00 BP RECEIPTS 100.00 BP RECEIPTS 120.00 BP RECEIPTS 270.00 BP RECEIPTS .98 BP RECEIPTS 100.00 BP RECEIPTS 63.00 BP RECEIPTS 376.87 BP RECEIPTS 81.00 BP RECEIPTS 45.00 BP RECEIPTS 225.00 BP RECEIPTS 388.33 BP RECEIPTS 149.36 BP RECEIPTS 45.00 CE RECEIPTS 10.00 CE RECEIPTS 10.00 BP RECEIPTS 63.00 BP RECEIPTS 147.00 BEGINNING /ENDING BALANCE PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING rmwc 882 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 101-5000-322.06-00 Non -Business Licenses BP 00927 04/09 AJ 10/28/08 BP BP 00942 04/09 AJ 10/29/08 BP BP 00942 04/09 AJ 10/29/08 BP BP 00949 04/09 AJ 10/30/08 BP BP 00949 04/09 AJ 10/30/08 BP BP 00949 04/09 AJ 10/30/08. BP BP 00957 04/09 AJ 10/31/08 BP BP 00957 04/09 AJ 10/31/08 BP BP 00993 05/09 AJ 11/03/08 BP BP 00993 05/09 AJ 11/03/08 BP BP 01000 05/09 AJ 11/04/08 BP BP 01000 05/09 AJ 11/04/08 BP BP 01007 05/09 AJ 11/05/08 BP BP 01015 05/09 AJ 11/06/08 BP BP 01015 05/09 AJ 11/06/08 BP BP 01079 05/09 AJ 11/10/08 BP BP 01079 05/09 AJ 11/10/08 BP CE 01080 05/09 AJ 11/10/08 CE BP 01084 05/09 AJ 11/12/08 BP BP 01084 05/09 AJ 11/12/08 BP BP 01094 05/09 AJ 11/13/08 BP BP 01102 05/09 AJ 11/14/08 BP BP 01102 05/09 AJ 11/14/08 BP BP 01111 05/09 AJ 11/17/08 BP BP 01111 05/09 AJ 11/17/08 BP CE 01113 05/09 AJ 11/17/08 CE BP 01118 05/09 AJ 11/18/08 BP BP 01118 05/09 AJ 11/18/08 BP BP 01125 05/09 AJ 11/19/08 BP BP 01125 05/09 AJ 11/19/08 BP BP 01133 05/09 AJ 11/20/08 BP BP 01133 05/09 AJ 11/20/08 BP BP 01139 05/09 AJ 11/21/08 BP BP 01146 05/09 AJ 11/24/08 BP BP 01146 05/09 AJ 11/24/08 BP CE 01147 05/09 AJ 11/24/08 CE BP 01157 05/09 AJ 11/25/08 BP BP 01157 05/09 AJ 11/25/08 BP CE 01158 05/09 AJ 11/25/08 CE BP 01163 05/09 AJ 11/26/08 BP BP 01169 06/09 AJ 12/01/08 BP BP 01169 06/09 AJ 12/01/08 BP BP 01176 06/09 AJ 12/02/08 BP BP 01176. 06/09 AJ 12/02/08 BP BP 01195 06/09 AJ 12/03/08 BP BP 01249 06/09 AJ 12/09/08 BP BP 01298 06/09 AJ 12/10/08 BP BP 01298 06/09 AJ 12/10/08 BP BP 01306 06/09 AJ 12/11/08 BP DEBITS CREDITS Miscellaneous Permits BP RECEIPTS 3.51 BP RECEIPTS 260.52 BP RECEIPTS 99.00 BP RECEIPTS 9.95 BP RECEIPTS 915.52 BP RECEIPTS 102.10 BP RECEIPTS 45.00 BP RECEIPTS 114.00 BP RECEIPTS 100.00 BP RECEIPTS 209.00 BP RECEIPTS 270.00 BP RECEIPTS 15.00 BP RECEIPTS 86.00 BP RECEIPTS 54.00 BP RECEIPTS 30.22 BP RECEIPTS 1.63 BP RECEIPTS 16.38 CE RECEIPTS 10.00 BP RECEIPTS 215.98 BP RECEIPTS 406.50 BP RECEIPTS 5.85 BP RECEIPTS 6.44 BP RECEIPTS 49.10 BP RECEIPTS 15.21 BP RECEIPTS 590.14 CE RECEIPTS 10.00 BP RECEIPTS 30.00 BP RECEIPTS 10.53 BP RECEIPTS 76.00 BP RECEIPTS 96.00 BP•RECEIPTS 15.00 BP RECEIPTS 711.86 BP 'RECEIPTS 90.98 BP RECEIPTS 8.59 BP RECEIPTS 30.00 CE RECEIPTS 20.00 BP RECEIPTS 52.87 BP RECEIPTS 30.00 CE RECEIPTS 10.00 BP RECEIPTS 349.91 BP RECEIPTS 226.00 BP RECEIPTS 240.00 BP RECEIPTS 64.68 BP RECEIPTS 45.00 BP RECEIPTS 46.39 BP RECEIPTS 75.93 BP RECEIPTS 237.00 BP RECEIPTS 344.00 BP RECEIPTS 145.02 BEGINNING /ENDING BALANCE PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER NuiIVITY LISTING 883 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.06-00 Non -Business Licenses BP 01306 06/09 AJ 12/11/08 BP BP 01313 06/09 AJ 12/12/08 BP BP 01313 06/09 AJ 12/12/08 BP CE 01315 06/09 AJ 12/12/08 CE CE 01321 06/09 AJ 12/15/08 CE BP 01327 06/09 AJ 12/16/08 BP. BP 01333 06/09 AJ 12/17/08 BP BP 01340 06/09 AJ 12/18/08 BP BP 01340 06/09 AJ 12/18/08 BP BP 01396 06/09 AJ 12/22/08 BP BP 01403 06/09 AJ 12/.23/08 BP BP 01410 06/09 AJ 12/24/08 BP BP ,01419 06/09 AJ 12/29/08 BP CE 01420 06/09 AJ 12/29/08 CE BP 01425 06/09 AJ 12/30/08 BP BP 01425 06/09 AJ 12/30/08 BP BP 01431 06/09 AJ 12/31/08 BP BP 01438 07/09 AJ 01/05/09 BP BP 01475 07/09 AJ 01/06/09 BP BP 01475 07/09 AJ 01/06/09 BP BP 01482 07/09 AJ 01/07/09 BP BP 01482 07/09 AJ 01/07/09 BP CE 01484 07/09 AJ 01/07/09 CE BP 01489 07/09 AJ 01/08/09 BP BP 01489 07/09 AJ 01/08/09 BP BP 01497 07/09 AJ 01/09/09 BP BP 01497 07/09 AJ 01/09/09 BP BP 01497 07/09 AJ 01/09/09 BP BP 01502 07/09 AJ 01/12/09 BP BP 01502 07/09 AJ 01/12/09 BP BP 01510 07/09 AJ 01/13/09 BP BP 01546 07/09 AJ 01/15/09 BP BP 01552 07/09 AJ 01/16/09 BP BP 01559 07/09 AJ 01/20/09 BP BP 01559 07/09 AJ 01/20/09 BP BP 01565 07/09 AJ 01/21/09 BP BP 01595 07/09 AJ 01/22/09 BP BP 01602 07/09 AJ 01/23/09 BP BP 01610 07/09 AJ 01/26/09 BP BP 01610 07/09 AJ 01/26/09 BP BP 01630 07/09 AJ 01/27/09 BP BP 01637 07/09 AJ 01/28/09 BP BP 01644 07/09 AJ 01/29/09 BP BP 01644 07/09 AJ 01/29/09 BP BP 01652 07/09 AJ 01/30/09 BP BP 01674 08/09 AJ 02/02/09 BP BP 01674 08/09 AJ 02/02/09 BP CE 01676 08/09 AJ 02/02/09 CE BP 01707 08/09 AJ 02/04/09 BP DEBITS CREDITS Miscellaneous Permits BP RECEIPTS 744.26 BP RECEIPTS 54.00 BP RECEIPTS 705.24 CE RECEIPTS 10.00 CE RECEIPTS 20.00 BP RECEIPTS 81.00 BP RECEIPTS 43.00 BP RECEIPTS 86.57 BP RECEIPTS. 96.78 BP RECEIPTS 99.00 BP RECEIPTS 124.58 BP RECEIPTS 1,399.62 BP RECEIPTS 90.00 CE RECEIPTS 10.00 BP RECEIPTS 81.00 BP RECEIPTS 141.00 BP RECEIPTS 251.91 BP RECEIPTS 476.24 BP RECEIPTS 54.00 BP RECEIPTS 39.95 BP RECEIPTS 78.00 BP RECEIPTS 34.20 CE RECEIPTS 10.00 BP RECEIPTS 33.49 BP RECEIPTS 39.46 BP RECEIPTS 45.00, BP RECEIPTS 153.00 BP RECEIPTS 15.00 BP RECEIPTS 84.00 BP RECEIPTS 30.00 BP RECEIPTS 182.00 BP RECEIPTS 84.00 BP RECEIPTS 212.79 BP RECEIPTS 45.00 BP RECEIPTS 47.45 BP RECEIPTS 15.00 BP RECEIPTS 5.14 BP RECEIPTS 700.00 BP RECEIPTS 31.00 9P RECEIPTS 90.00 BP RECEIPTS 157.46 BP RECEIPTS 79.98 BP RECEIPTS 17.00 BP RECEIPTS 30.00 BP RECEIPTS 4.50 BP RECEIPTS 98.14 BP RECEIPTS 25.00 CE RECEIPTS 10.00 BP RECEIPTS 200.00 BEGINNING /ENDING BALANCE PREPARED U3/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAVE 884 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE -6 ---------------------------------------------------------------------------------------------------------------------------------- 101-5000-322.06-00 Non -Business Licenses BP 01730 08/09 AJ 02/05/09 BP CE 01732 08/09 AJ 02/05/09 CE BP 01737 08/09 AJ 02/06/09 BP BP 01737 08/09 AJ 02/06/09 BP BP 01737 08/09 AJ 02/06/09 BP CE 01738 08/09 AJ 02/06/09 CE GM 01834 08/09 AP 02/06/09 0081847 BP#08-1405 BP 01743 08/09 AJ 02/09/09 BP BP 01743 08/09 AJ 02/09/09 BP BP 01751 08/09 AJ 02/10/09 BP CE 01753 08/09 AJ 02/10/09 CE BP 01774 08/09 AJ 02/11/09 BP CE 01775 08/09 AJ 02/11/09 CE CE 01775 08/09 AJ 02/11/09 CE BP 01780 08/09 AJ 02/12/09 BP BP 01780 08/09 AJ 02/12/09 BP CE 01782 •08/09 AJ 02/12/09 CE BP 01786 08/09 AJ 02/13/09 BP BP 01786 08/09 AJ 02/13/09 BP BP 01819 08/09 AJ 02/17/09 BP -BP 01819 08/09 AJ 02/17/09 BP BP 01819 08/09 AJ 02/17/09 BP BP 01826 08/09 AJ 02/18/09 BP BP 01826 08/09 AJ 02/18/09 BP BP 01845 08/09 AJ 02/19/09 BP BP 01845 08/09 AJ 02/19/09 BP BP 01853 08/09 AJ 02/20/09 BP BP 01853 08/09 AJ 02/20/09 BP GM 01832 08/09 AP 02/20/09 0081847 BP#08-1403 BP 01860 08/09 AJ 02/23/09 BP BP 01867 08/09 AJ 02/24/09 BP BP 01883 08/09 AJ 02/25/09 BP BP 01883 08/09 AJ 02/25/09 BP BP 01897 08/09 AJ 02/26/09 BP BP 01897 08/09 AJ 02/26/09 BP BP 01907 08/09 AJ 02/27/09 BP CE 01909 08/09 AJ 02/27/09 CE CE 01928 09/09 AJ 03/02/09 CE BP 01931 09/09 AJ 03/02/09 BP .BP 01932 09/09 AJ 03/03/09 BP BP 01932 09/09 AJ 03/03/09 BP BP 01932 09/09 AJ 03/03/09 BP BP 01949 09/09 AJ 03/04/09 BP BP 01949- 09/09 AJ 03/04/09 BP BP 01994 09/09 AJ 03/05/09 BP BP 01994 09/09 AJ 03/05/09 BP GM 01946 09/09 AP 03/05/09 0082039 Miscellaneous Permits BP RECEIPTS 15.00 CE RECEIPTS 10.00 BP RECEIPTS 10.53 BP RECEIPTS 122.10 BP RECEIPTS 9.00 CE RECEIPTS 10.00 SHEA HOMES 18.00 REFUND BP RECEIPTS 383.62 BP RECEIPTS 153.00 BP RECEIPTS 54.00 CE RECEIPTS 10.00 BP RECEIPTS 87.00 CE RECEIPTS 10.00 CE RECEIPTS 10.00 BP RECEIPTS 10.53 BP RECEIPTS 15.00 CE RECEIPTS 10.00 BP RECEIPTS 900.00 BP RECEIPTS 12.88 BP RECEIPTS 30.00 BP RECEIPTS 153.00 BP RECEIPTS 30.00 BP RECEIPTS 156.75 BP RECEIPTS 10.53 BP RECEIPTS 2.93 BP RECEIPTS 15.00 BP RECEIPTS 120.00 BP RECEIPTS 1.63 SHEA HOMES 36.00 REFUND BP RECEIPTS 45.00 BP RECEIPTS 75•.69 BP RECEIPTS 387.45 BP RECEIPTS 45.00 BP RECEIPTS 186.00 BP RECEIPTS 7.02 BP RECEIPTS 15.00 CE RECEIPTS 10.00 CE RECEIPTS 10.00 BP RECEIPTS 75.00 BP RECEIPTS 60.00 BP RECEIPTS 105.15 BP RECEIPTS 45.00 BP RECEIPTS 450.00 BP RECEIPTS 8.19 BP RECEIPTS 233.34 BP RECEIPTS 154.00 SHEA HOMES 18.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING rmwc 885 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.06-00 Non -Business Licenses / Miscellaneous Permits BP#08-1417 REFUND BP'02000 09/09 AJ 03/06/09 BP BP RECEIPTS 29.00 BP 02000 09/09 AJ 03/06/09 BP BP RECEIPTS 100.04 BP 02007 09/09 AJ 03/09/09 BP BP RECEIPTS 8.78 CE 02008 09/09 AJ 03/09/09 CE CE RECEIPTS 10.00• BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS 99.00 BP 02014 09/09 AJ 03/10/09 BP BP RECEIPTS 54.00 BP 02021 09/09 AJ 03/11/09 BP BP RECEIPTS 115.00 BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS 45.00 BP 02028 09/09 AJ 03/12/09 BP BP RECEIPTS 69.22 BP 02035 09/09 AJ 03/13/09 BP BP RECEIPTS 19.50 CE 02036 09/09 AJ 03/13/09 CE CE RECEIPTS 10.00 BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS 231.37 BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS 90.00 CE 02042 09/09 AJ 03/16/09 CE CE RECEIPTS 10.00 BP 02047 09/09 AJ 03/17/09 BP BP RECEIPTS 18.49 BP 02047 09/09 AJ 03/17/09 BP BP RECEIPTS 337.61 BP 02069 09/09 AJ 03/18/09 BP BP RECEIPTS 138.98 BP 02069 09/09 AJ 03/18/09 BP BP RECEIPTS 15.00 BP.02076 09/09 AJ 03/19/09 BP BP RECEIPTS 115.98 BP 02076 09/09 AJ 03/19/09 BP BP RECEIPTS 60.00 CE 02078 09/09 AJ 03/19/09 CE CE RECEIPTS 10.00 BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS 200.97 BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS 24.10 CE 02086 09/09 AJ 03/20/09 CE CE RECEIPTS 10.00 BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS 72.00 BP 02091 09/09 AJ 03/23/09 BP BP RECEIPTS 15.00 BP 02097 09/09 AJ 03/24/09 BP BP RECEIPTS 1.63 BP 02097 09/09 AJ 03/24/09 BP BP RECEIPTS 450.50 BP 02107 09/09 AJ 03/25/09 BP BP RECEIPTS 21.00 BP 02107 09/09 AJ 03/25/09 BP BP RECEIPTS 153.00 BP 02131 09/09 AJ 03/26/09 BP BP RECEIPTS 73.84 BP 02138 09/09 AJ .03/27/09 BP BP RECEIPTS 37.61 BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS 76.00 BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS 110.27. CE 02147 09/09 AJ 03/30/09 CE CE RECEIPTS 10.00 BP 02153 09/09 AJ 03/31/09 BP BP RECEIPTS 225.00 BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS 748.60 CE 02184 10/09 AJ 04/01/09 CE CE RECEIPTS 10.00 BP 02189 10/09 AJ 04/02/09 BP BP RECEIPTS 211.06 CE 02191 10/09 AJ 04/02/09 CE CE RECEIPTS 10.00 BP 02195 10/09 AJ 04/03/09 BP BP RECEIPTS 7.61 BP 02200 10/09 AJ 04/06/09 BP BP RECEIPTS 58.50 BP 02205 .10/09 AJ 04/07/09 BP BP RECEIPTS 153.00 BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS 202.51 CE 02243 10/09 AJ 04/09/09 CE CE RECEIPTS 10.00 BP 02254 10/09 AJ 04/13/09 BP BP RECEIPTS 242.94 CE 02255 10/09 AJ 04/13/09 CE' CE RECEIPTS 10.00 BP 02284. 10/09. AJ 04/14/09 BP BP RECEIPTS 143.23 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING rAUt 886 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 101-5000-322.06-00 BP 02290 10/09 AJ BP 02290 10/09 AJ BP 02297, 10/.09 AJ BP 02297 10/09 AJ BP 02303 10/09 AJ BP 02303 10/09 AJ BP 02310 10/09 AJ CE 02311 10/09 AJ BP 02316 10/09 AJ BP 02316 .10/09 AJ CE 02318 10/09 AJ BP 02324 10/09 AJ CE 02326 10/09 AJ BP 02360 10/09 AJ BP 02366 10/09 AJ BP 02366 -10/09 AJ CE 02367 10/09 AJ BP 02372 10/09 AJ BP 02379 10/09 AJ BP 02379 10/09 AJ CE 02381 10/09 AJ CE 02381 10/09 AJ GM 02457 11/09 AP BP 02386 10/09 AJ CE 02387 10/09 AJ BP 02392 10/09 AJ CE 02394 10/09 AJ BP 02413 11/09 AJ CE 02414 11/09 AJ BP 02419 11/09 AJ BP 02419 11/09 AJ BP 02426 11/09 AJ BP 02426 11/09 AJ BP 02426 11/09 AJ BP 02426 11/09 AJ BP 02478 11/09 AJ BP 02478 11/09 AJ BP 02484 11/09 AJ CE 02485 11/09 AJ GM 02457 11/09 AP BP 02489 11/09 AJ BP 02494 11/09 AJ BP 02494 11/09 AJ BP 02494 11/09• AJ CE 02496 11/09 AJ BP 02502 11/09 AJ BP 02509 11/09 AJ Non -Business Licenses 04/15/09 BP 04/15/09 BP 04/16/09 BP 04/16/09 BP 04/17/09 BP 04/17/09 BP 04/20/09 BP 04/20/09 CE 04/21/09 BP 04/21/09 BP 04/21/09 CE 04/22/09 BP 04/22/09 CE 04/23/09 BP 04/24/09 BP 04/24/09 BP 04/24/09 CE 04/27/09 BP 04/28/09 BP 04/28/09 BP 04/28/09 CE 04/28/09 CE 04/28/09 0082881 BP#08-1414 04/29/09 BP 04/29/09 CE 04/30/09 BP 04/30/09 CE 05/01/09 BP 05/01/09 CE 05/04/09 BP 05/04/09 BP 05/05/09 BP 05/05/09 BP 05/05/09 BP 05/05/09 BP 05/06/09 BP 05/06/09 BP 05/07/09 BP 05/07/09 CE 05/07/09 0082881 BP#08-1419 05/08/09 BP 05/11/09 BP 05/11/09 BP 05/11/09 BP 05/11/09 CE 05/12/09 BP 05/13/09 BP Miscellaneous Permits BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS CE RECEIPTS SHEA HOMES REFUND BP RECEIPTS CE RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS SHEA HOMES REFUND BP RECEIPTS BP'RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS DEBITS CREDITS 18.00 18.00 166.26 311.78 112.50 193.00 15.00 10.53 54.10 10.00 686.64 72.00 10.00 34.51 10.00 17.00 28.41 1.24 10.00 54.00 199.00 65.00 10.00 10.00 133.02 10.00 80.51 10.00 100.00 10.00 15.00 420.51 3.51 15.00 219.64 3.51 243.00 82.72 30.00 10.00 11.70 45.00 45.00 45.00 10.00 81.00 28.70 BEGINNING /ENDING BALANCE PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER,At;IVITY LISTING rAWt 887 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 101-5000-322.06-00 CE 02510 11/09 AJ BP 02515 11/09 AJ BP 02531 11/09 AJ BP 02538' 11/09 AJ BP 02544 11/09 AJ BP 02555 11/09 AJ BP 02555 11/09 AJ CE 02557 11/09 AJ BP 02602 11/09 AJ BP 02615 11/09 AJ BP 02615 11/09 AJ BP 02615 11/09 AJ BP 02622 11/09 AJ BP 02622 11/09 AJ BP 02635 11/09 AJ BP 02635 11/09 AJ CE 02636 11/09 AJ BP 02642 12/09 AJ BP 02642 12/09 AJ CE 02643 12/09 AJ BP 02668 12/09 AJ BP 02674 .12/09 AJ BP 02699 12/09 AJ BP 02704 12/09 AJ BP 02709 12/09 AJ CE 02710 12/09 AJ BP 02715 12/09 AJ BP 02722 12/09 AJ BP 02722 12/09 AJ CE 02724 12/09 AJ BP 02749 12/09 AJ BP 02749 12/09 AJ CE 02750 12/09 AJ BP 02754 12/09 AJ BP 02760 12/09 AJ BP 02760 12/09 AJ BP 02760 12/09 AJ CE 02762 12/09 AJ BP 02767 12/09 AJ CE 02769 12/09 AJ BP 02774 12/09 AJ BP 02780 12/09 AJ BP 02786 12/09 AJ GM 02788 12/09 AP BP 02795 12/09 AJ BP 02823 12/09 AJ CE 02825 12/09 AJ BP 02845 12/09 'AJ Non -Business Licenses_ 05/13/09 CE 05/14/09 BP 05/15/09 BP 05/18/09 BP 05/19/09 BP 05/20/09 BP 05/20/09 BP 05/20/09 CE 05/22/09 BP 05/27/09 BP 05/27/09 BP 05/27/09 BP 05/28/09 BP 05/28/09 BP 05/29/09 BP 05/29/09 BP 05/29/09 CE 06/01/09 BP 06/01/09 BP 06/01/09 CE 06/02/09 BP 06/03/09 BP 06/04/09 BP 06/05/09 BP 06/08/09 BP 06/08/09 CE 06/09/09 BP 06/10/09 BP 06/10/09 BP 06/10/09 CE 06/11/09 BP 06/11/09 BP 06/11/09 CE 06/12/09 BP 06/15/09 BP 06/15/09 BP 06/15/09 BP 06/15/09 CE 06/16/09 BP 06/16/09 CE 06/17/09 BP 06/18/09 BP 06/19/09 BP 06/19/09 0083504 PERMIT#09-0386 06/22/09 BP 06/24/09 BP 06/24/09 CE 06/25/09 BP Miscellaneous Permits CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS. BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS SHEA HOMES REFUND BP' RECEIPTS BP RECEIPTS CE RECEIPTS BP RECEIPTS DEBITS CREDITS 22.50 20.00 341.16 15.00 45.00 138.99 15.00 18.50 10.00 1,363.75 14.63 15.00 29.00 147.69 15.00 60.00 45.00 10.00 1,970.31 72.00 10.00 68.64' 33.67 108.00 99.00 78.00 10.00 970.00 30.00 81.00 10.00 122.00 45.00 10.00 15.00 121.72 126.00 54.00 10.00 46.38 10.00 30.00 11.70 137.00 734.78 49.50 10.00 81.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER AtfIVITY LISTING rHue 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 Non-Business Licenses / Miscellaneous Permits BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS 362.98 BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS 95.92 CE 02859 12/09 AJ 06/29/09 CE CE RECEIPTS 20.00 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 243.00 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS 100.05 ACCOUNT TOTAL 130.50 63,975.31 63,844.81CR 101-5000-322.08-00 Non -Business Licenses / Other .00 ACCOUNT TOTAL .00 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits .00 CE 00011 01/09 AJ 07/01/08 CE CE RECEIPTS 10.00 CE 00026 01/09' AJ 07/03/08 CE CE RECEIPTS 10.00 CE 00026 01/09 AJ 07/03/08 CE CE RECEIPTS 20.00 CE 00032 01/09 AJ 07/07/08 CE CE RECEIPTS 10.00 CE 00032 01/09 AJ 07/07/08 CE CE RECEIPTS 10.00' CE 00042 01/09 AJ 07/08/08 CE CE RECEIPTS 10.00 CE 00042 01/09 AJ 07/08/08 CE CE RECEIPTS 10.00 CE 00048 01/09 AJ 07/09/08 CE CE -RECEIPTS 20.00 CE 00048 01/09 AJ 07/09/08 CE CE RECEIPTS 10.00 CE 00059 01/09 AJ 07/10/08 CE CE RECEIPTS 80.00 CE 00059 01/09 AJ 07/10/08 CE CE RECEIPTS 20.00, CE 00066 01/09 AJ 07/1.1/08 CE CE RECEIPTS 110.00 CE 00066 01/09 AJ 07/11/08 CE CE RECEIPTS 20:00 CE 00086 01/09 AJ 07/14/08 CE CE RECEIPTS 30.00 CE 00086 01/09 AJ 07/14/08 CE CE RECEIPTS 10.00 CE 00092 01/09 AJ 07/15/08 CE CE RECEIPTS 10.00 CE 00111 01/09 AJ 07/16/08 CE CE RECEIPTS 10.00 CE 00111 01/09 AJ 07/16/08 CE CE RECEIPTS 10.00 CE 00118 01/09 AJ 07/17/08 CE CE RECEIPTS 30.00 CE 00118 01/09 AJ 07/17/08 CE CE RECEIPTS 10.00 CE 00136 01/09 AJ 07/18/08 CE CE RECEIPTS 10.00 CE 00136 01/09 AJ 07/18/08 CE CE RECEIPTS 40.00 CE 00136 01/09 AJ 07/18/08 CE CE RECEIPTS 40.00 CE 00143 01/09 AJ 07/21/08 CE CE RECEIPTS 40.00 CE 00156 01/09 AJ 07/23/08 CE CE RECEIPTS 40.00 CE 00165 01/09 AJ 07/24/08 CE CE RECEIPTS 10.00 CE 00165 01/09 AJ 07/24/08 CE CE RECEIPTS 10.00 CE 00172 01/09 AJ 07/25/08 CE CE RECEIPTS 60.00 CE 00172 01/09 AJ 07/25/08 CE CE RECEIPTS 20.00 CE 00184 01/09 AJ 07/28/08 CE CE RECEIPTS 50.00 CE 00184 01/09 AJ 07/28/08 CE CE RECEIPTS 10.00 CE 00184 01%09 AJ 07/28/08 CE CE RECEIPTS 60.00 CE 00200 01/09 AJ 07/29/08 CE CE RECEIPTS 20.00 CE 00209 01/09 AJ 07/30/08 CE CE RECEIPTS 10.00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING rAWt 889 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.0 N DEBITS CREDITS 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 00222 01/09 AJ 07/31/08 CE CE RECEIPTS 10.00 CE 00222 01/09 AJ 07/31/08 CE CE RECEIPTS 10.00 CE 00222 01/09 AJ 07/31/08 CE CE RECEIPTS 40.00 CE 00229 02/09 AJ 08/01/08 CE CE RECEIPTS 10.00 CE 00229 02/09 AJ 08/01/08 CE CE RECEIPTS 20.00 CE 00229 02/09 AJ 08/01/08 CE CE RECEIPTS 50.00 CE 00229 02/09 AJ 08/01/08 CE CE RECEIPTS 20.00 CE 00237 02/09 AJ 08/04/08 CE CE RECEIPTS 10.00 CE 00237 02/09 AJ 08/04/08 CE CE RECEIPTS 30.00 CE 00250 02/09 AJ 08/05/08 CE CE RECEIPTS 10.00 CE 00276 02/09 AJ 08/06/08 CE, CE RECEIPTS 10.00 CE 00276 02/09 AJ 08/06/08 CE' CE RECEIPTS 50.00 CE 00280 02/09 AJ 08/07/08 CE CE RECEIPTS 10.00 CE 00280 02/09 AJ 08/07/08 CE CE RECEIPTS 40.00 CE 00307 02/09 AJ 08/08/08 CE CE RECEIPTS 80.00 CE 00307 02/09 AJ 08/08/08 CE CE RECEIPTS 20.00 CE 00288 02/09 AJ 08/11/08 CE CE RECEIPTS 10.00 CE 00295 02/09 AJ 08/12/08 CE CE RECEIPTS 30.00 CE 00301 02/09 AJ 08/13/08 CE CE RECEIPTS 20.00 CE 00313 02/09 AJ 08/14/08 CE CE RECEIPTS 10.00 CE 00319 02/09 AJ 08/15/08 CE CE RECEIPTS 140.00 CE 00319 02/09 AJ 08/15/08 CE CE RECEIPTS 60.00 CE 00336 02/09 AJ 08/18/08 CE CE RECEIPTS 10.00 CE 00342 02/09 AJ 08/19/08 CE CE RECEIPTS 30.00 CE 00342 02/09 AJ 08/19/08 CE CE RECEIPTS 10.00 CE 00375 02/09 AJ' 08/20/08 CE CE RECEIPTS 20.00 CE 00382 02/09 AJ 08/21/08 CE CE RECEIPTS 30.00 CE 00389 02/09 AJ 08/22/08 CE CE RECEIPTS 10.00 CE 00389 02/09 AJ 08/22/08' CE CE RECEIPTS 50.00 CE 00389 02/09 AJ 08/22/08 CE CE RECEIPTS 10.00 CE 00395 02/09 AJ 08/25/08 CE CE RECEIPTS 10.00 CE 00395 02/09 AJ 08/25/08 CE CE RECEIPTS 60.00 CE 00402 02/09 AJ 08/26/08 CE CE RECEIPTS 10.00 CE 00418 02/09 AJ 08/27/08 CE CE RECEIPTS 10.00 CE 00424 02/09 AJ 08/28/08 CE. CE RECEIPTS 30.00 CE 00450 02/09 AJ 08/29/08 CE CE RECEIPTS 10.00 CE 00450 02/09 AJ 08/29/08 CE CE RECEIPTS 80.00 CE 00450 02/09 AJ 08/29/08 CE CE RECEIPTS 30.00 CE 00457 03/09 AJ 09/02/08 CE CE RECEIPTS 30.00 CE 00457 03/09 AJ 09/02/08 CE CE RECEIPTS 10.00 CE 00467 03/09 AJ 09/03/08 CE CE RECEIPTS 10.00 CE 00467 03/09 AJ 09/03/08 CE CE RECEIPTS 10.00 CE 00473 03/09 AJ 09/04/08 CE CE RECEIPTS 10.00 CE 00473 03/09 AJ 09/04/08 CE CE RECEIPTS 50.00 CE 00473 03/09 AJ 09/04/08 CE CE RECEIPTS 10.00 CE 00483 03/09 AJ 09/05/08 CE CE RECEIPTS 40.00 CE 00503 03/09 AJ 09/08/08 CE CE RECEIPTS 90.00 CE 00503 03/0.9 AJ 09/08/08 CE CE RECEIPTS 50.00 CE 00510 03/09 AJ 09/09/08 CE CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 890 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 00510 03/09 AJ 09/09/08 CE CE RECEIPTS 10.00 CE 00542 03/09 AJ 09/10/08 CE CE RECEIPTS 30.00 CE 00549 03/09 AJ 09/11/08 CE CE RECEIPTS 10.00 CE 00549 03/09 AJ 09/11/08 CE CE RECEIPTS 20.00 CE 00556 03/09 AJ 09/12/08 CE CE RECEIPTS 30.00 CE 00556 03/09 AJ 09/12/08 CE CE RECEIPTS 10.00 CE 00561 03/09 AJ 09/15/08 CE CE RECEIPTS 50.00 CE 00561 03/09 AJ 09/15/08 CE CE RECEIPTS 20.00 CE 00566 03/09 AJ 09/16/08 CE• CE RECEIPTS 30.00 CE 00566 03/09 AJ 09/16/08 CE CE RECEIPTS 10.00 CE 00572 03/09 AJ 09/17/08 CE CE RECEIPTS 20.00 CE 00579 03/09 AJ 09/18/08 CE CE RECEIPTS 30.00 CE 00579 03/09 AJ 09/18/08 CE CE RECEIPTS 40.00 CE 00611 03/09 AJ 09/19/08 CE CE RECEIPTS 80.00 CE 00611 03/09 AJ 09/19/08 CE CE RECEIPTS 50.00 CE 00618 03/09 AJ 09/22/08 CE CE RECEIPTS 40.00 CE 00618 03/09 AJ 09/22/08 CE CE RECEIPTS 10.00 CE 00625 03/09 AJ 09/23/08 CE CE RECEIPTS 20.00 CE 00631 03/09 AJ 09/24/08 CE CE RECEIPTS 10.00 CE 00631 03/09 AJ 09/24/08 CE CE RECEIPTS 10.00 CE 00642 03/09 AJ 09/25/08 CE CE RECEIPTS 60.00 CE 00642 03/09 AJ 09/25/08 CE CE RECEIPTS 10.00 CE 00648 03/09 AJ 09/26/08 CE CE RECEIPTS 10.00 CE 00648 03/09 AJ 09/26/08 CE CE RECEIPTS 120.00 CE 00648 03/09 AJ 09/26/08 CE CE RECEIPTS 70.00 CE 00655 03/09 AJ'09/29/O8 CE CE RECEIPTS 10.00 CE 00655 03/09 AJ 09/29/08 CE CE RECEIPTS 10.00 CE 00662 03/09 AJ 09/30/08 CE CE RECEIPTS 20.00 CE 00698 04/09 AJ 10/01/08 CE CE RECEIPTS 20.00 CE 00698 04/09 AJ 10/01/08 CE CE RECEIPTS 20.00 CE 00704 04/09 AJ 10/02/08 CE CE RECEIPTS 30.00 CE 00704 04/09 AJ 10/02/08 CE CE RECEIPTS 60.00 CE 00704 04/09 AJ 10/02/08 CE CE RECEIPTS 60.00 CE 00711 04/09 AJ 10/03/08 CE CE RECEIPTS 120.00 CE 00711 04/09 AJ 10/03/08 CE CE RECEIPTS 50.00 CE 00729 04/09 AJ 10/06/08 CE CE RECEIPTS 50.00 CE 00729 04/09 AJ 10/06/08 CE CE RECEIPTS 20.00 CE 00736 04/09 AJ 10/07/08 CE CE RECEIPTS 10.00 CE 00736 04/09 AJ 10/07/08 CE CE RECEIPTS 30.00 CE 00750 04/09 AJ 10/08/08 CE CE RECEIPTS 10.00 CE 00750 04/09 AJ .10/08/08 CE CE RECEIPTS 40.00 CE 00750 04/09 AJ 10/08/08 CE CE RECEIPTS 20.00 CE 00757 04/09 AJ 10/09/08 CE CE RECEIPTS 80.00 CE 00757 04/09 AJ 10/09/08 CE CE RECEIPTS 40.00 CE 00765 04/09 AJ 10/10/08 CE CE RECEIPTS 30.00 CE 00765 04/09 AJ 10/10/08 CE CE RECEIPTS 90.00 CE 00765 04/09 AJ 10/10/08 CE CE RECEIPTS 60.00 CE 00765 04/09 AJ 10/10/08 CE CE RECEIPTS 20.00 CE 00807 04/09 AJ 10/13/08 CE CE RECEIPTS 50.00 BEGINNING /ENDING BALANCE PREPARED U3/12/2010, 9:26:27 GENERAL LEDGER A6 IVITY LISTING rAlit 891 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 00807 04/09 AJ 10/13/08 CE CE RECEIPTS 10.00 CE 00816 04/09 AJ 10/14/08 CE CE RECEIPTS 10.00 CE 00823 04/09 AJ 10/15/08 CE CE RECEIPTS 10.00 CE 00823 04/09 AJ 10/15/08 CE CE RECEIPTS 10.00 CE 00823 04/09 AJ 10/15/08 CE CE RECEIPTS 10.00 CE 00829 04/09 AJ 10/16/08 CE CE RECEIPTS 10.00 CE 00829 04/09 AJ 10/16/08 CE CE RECEIPTS 50.00 CE 00829 04/09 AJ 10/16/08 CE CE RECEIPTS 10.00 CE 00836 04/09 AJ 10/17/08 CE CE RECEIPTS 10.00 CE 00836 04/09 AJ 10/17/08 CE CE RECEIPTS 80.00 CE 00836 04/09 AJ 10/17/08 CE CE RECEIPTS 30.00 CE 00843 04/09 AJ 10/20/08 CE CE RECEIPTS 70.00 CE 00843 04/09 AJ 10/20/08 CE CE RECEIPTS 10.00 CE 00843 04/09 AJ 10/20/08 CE CE RECEIPTS 20.00 CE 00863 04/09 AJ 10/21/08 CE CE RECEIPTS 10.00 CE•00882 04/09 AJ 10/22/08' CE CE RECEIPTS 10.00 CE 00882 04/09 AJ 10/22/08 CE CE RECEIPTS 10.00 CE 00882 04/09 AJ 10/22/08.CE CE RECEIPTS 30.00 CE 00908 04/09 AJ 10/23/08 CE CE RECEIPTS 40.00 CE 00908 04/09 AJ 10/23/08 CE• CE RECEIPTS 10.00 CE 00908 04/09 AJ 10/23/08 CE CE RECEIPTS 10.00 CE 00915 04/09 AJ 10/24/08 CE CE RECEIPTS 40.00 CE 00915 04/09 AJ 10/24/08 CE CE RECEIPTS 100.00 CE 00915 04/09 AJ 10/24/08 CE CE RECEIPTS 20.00 CE 00915 04/09 AJ 10/24/08 CE CE RECEIPTS 30.00 CE 00921 04/09• AJ 10/27/08 CE CE RECEIPTS 50.00 CE 00921 04/09 AJ 10/27/08 CE CE RECEIPTS 10.00 CE 00928 04/09 AJ 10/28/08 CE CE RECEIPTS 60.00 CE 00928 04/09 AJ 10/28/08 CE CE RECEIPTS 10.00 CE 00943 04/09 AJ 10/29/08 CE CE RECEIPTS 40.00 CE 00943 04/09 AJ 10/29/08 CE CE RECEIPTS 20.00 CE 00951 04/09 AJ 10/30/08 CE CE RECEIPTS 10.00 CE 00958 04/09 AJ 10/31/08 CE CE RECEIPTS 10.00 CE 00958 04/09 AJ 10/31/08 CE CE RECEIPTS 40.00 CE 00958 04/09 AJ 10/31/08 CE CE RECEIPTS 70.00 CE 00995 05/09 AJ 11/03/08 CE CE RECEIPTS. 20.00 CE 00995 05/09 AJ 11/03/08 CE CE RECEIPTS 10.00 CE 00995 05/09 AJ'11/03/08 CE CE RECEIPTS 40.00 CE 01002 05/09 AJ 11/04/08 CE CE RECEIPTS 10.00 CE 01002 05/09 AJ 11/04/08 CE CE RECEIPTS 30.00 CE 01009 05/09 AJ 11/05/08 CE CE RECEIPTS 60.00 CE 01009 05/09 AJ 11/05/08 CE CE RECEIPTS 10.00 CE 01016 05/09 AJ 11/06/08 CE CE RECEIPTS 10.00 CE 01016 05/09 AJ 11/06/08 CE CE RECEIPTS 80.00 CE 01016 05/09 AJ 11/06/08 CE CE RECEIPTS 30.00 CE 01016 05/09 AJ 11/06/08 CE CE RECEIPTS 10.00 CE 01074 05/09 AJ 11/07/08 CE CE RECEIPTS 120.00 CE 01074 05/09 AJ 11/07/08 CE CE RECEIPTS 10.00 CE 01074 05/09 AJ 11/07/08 CE CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 892 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 01080 05/09 AJ 11/10/08 CE CE RECEIPTS 70.00 CE 01080 05/09 AJ 11/10/08 CE CE RECEIPTS 20.00 CE 01086 05/09 AJ 11/12/08 CE CE RECEIPTS 70.00 CE 01086 05/09 AJ 11/12/08 CE CE RECEIPTS 10.00 CE 01096 •05/09 AJ 11/13/08 CE CE RECEIPTS 10.00 CE 01096 05/09 AJ 11/13/08 CE CE RECEIPTS 10.00 CE 01096 05/09 AJ 11/13/08 CE CE RECEIPTS 20.00 CE 01096 05/09 AJ 11/13/08 CE CE RECEIPTS 20.00 CE 01096 05/09 AJ 11/13/08 CE CE RECEIPTS 30.00 CE 01103 05/09 AJ 11/14/08 CE CE RECEIPTS 50.00 CE 01103 05/09 AJ 11/14/08 CE CE RECEIPTS 60.00 CE 01103 05/09 AJ 11/14/08 CE CE RECEIPTS 100.00 CE 01103 05/09 AJ 11/14/08 CE CE RECEIPTS 30.00 CE 01103 05/09 AJ 11/14/08 CE CE RECEIPTS 110.00 CE 01113 05/09 AJ 11/17/08 CE CE RECEIPTS 10.00 CE 01113 05/09 AJ 11/17/08 CE CE RECEIPTS 40.00 CE 01113 05/09 AJ 11/17/08 CE CE RECEIPTS 10.00 CE 01120 05/09 AJ 11/18/08 CE CE RECEIPTS 60.00 CE 01127 05/09 AJ 11/19/08 CE CE RECEIPTS 10.00 CE 01127 05/09 AJ 11/19/08 CE CE RECEIPTS 40.00 CE 01127 05/09 AJ 11/19/08 CE CE RECEIPTS 20.00 CE 01134 05/09 AJ 11/20/08 CE CE RECEIPTS 70.00 CE 01134 05/09 AJ 11/20/08 CE CE RECEIPTS 20.00 CE 01134 05/09 AJ 11/20/08 CE CE RECEIPTS 20.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 10.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 120.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 10.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 50.00 CE 01147 05/09 AJ 11/24/08 CE CE RECEIPTS 60.00 CE 01147 05/09 AJ 11/24/08 CE CE RECEIPTS 20.00 CE 01158 05/09 AJ 11/25/08 CE CE RECEIPTS 10.00 CE 01164 05/09 AJ 11/26/08 CE CE RECEIPTS 30.00 CE 01164 05/09 AJ 11/26/08 CE CE RECEIPTS 10.00 CE 01164 05/09 AJ 11/26/08 CE CE RECEIPTS 20.00 CE 01170 06/09 AJ 12/01/08 CE CE RECEIPTS 20.00 CE 01178 06/09 AJ 12/02/08 CE. CE RECEIPTS 10.00 CE 01196 06/09 AJ 12/03/08•CE CE RECEIPTS 50.00 CE 01196 06/09 AJ 12/03/08 CE CE RECEIPTS 10.00 CE 01224 06/09 AJ 12/04/08 CE CE RECEIPTS 60.00 CE 01224 06/09 AJ 12/04/08 CE CE RECEIPTS 30.00 CE 01231 06/09 AJ 12/05/08 CE CE RECEIPTS 120.00 CE 01231 06/09 AJ 12/05/08 CE CE RECEIPTS 90.00 CE 01237 06/09 AJ 12/08/08 CE CE RECEIPTS 50.00 CE 01237 06/09 AJ 12/08/08 CE CE RECEIPTS 10.00 CE 01250 06/09 AJ 12/09/08 CE CE RECEIPTS 10.00 CE 01250 06/09 AJ 12/09/08 CE CE RECEIPTS 60.00 CE 01300 06/09 AJ 12/10/08 CE CE RECEIPTS 10.00 CE 01300 06/09 AJ 12/10/08 CE CE RECEIPTS 30.00 CE 01307 06/09 AJ 12/11/08 CE CE RECEIPTS 30.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING rAWt 893 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 01307 06/09 AJ 12/11/08 CE CE RECEIPTS 60.00 CE 01315 06/09 AJ 12/12/08 CE CE RECEIPTS 30.00 CE 01315 06/09 AJ 12/12/08 CE CE RECEIPTS 10.00 CE 01315 06/09 AJ 12/12/08 CE CE RECEIPTS 120.00 CE 01321 06/09 AJ 12/15/08 CE CE RECEIPTS 10.00 CE 01321 06/09 AJ 12/15/08 CE CE RECEIPTS 10.00 CE 01328 06/09 AJ 12/16/08 CE' CE RECEIPTS 20.00 CE 01335 06/09 AJ 12/17/08 CE' CE RECEIPTS 10.00 CE 01341 06/09 AJ 12/18/08 CE CE RECEIPTS 10.00 CE 01391 06/09 AJ 12/19/08 CE CE RECEIPTS 10.00 CE 01391 06/09 AJ 12/19/08 CE CE RECEIPTS 10.00 CE 01391 06/09 AJ 12/19/08 CE CE RECEIPTS 10.00 CE 01391 06/09 AJ 12/19/08 CE CE RECEIPTS 50.00 CE 01398 06/09 AJ 12/22/08 CE CE RECEIPTS 10.00 CE 01398 06/09 AJ 12/22/08 CE CE RECEIPTS 20.00 CE 01420 06/09 AJ 12/29/08 CE CE RECEIPTS 10.00 CE 01426 06/09 AJ 12/30/08 CE CE RECEIPTS 10.00 GM 01365 06/09 AJ 12/31/08 JE 06-022 RECL GARAGE SALE PRMTS 20.00 CE 01433 06/09 AJ 12/31/08 CE CE RECEIPTS 10.00 CE 01440 07/09 AJ 01/05/09 CE CE RECEIPTS 10.00 CE 01477 07/09 AJ 01/06/09 CE CE RECEIPTS 10.00 CE 01477 07/09 AJ 01/06/09 CE CE RECEIPTS 10.00 CE 01484 07/09 AJ 01/07/09 CE CE RECEIPTS 10.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 10.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 10.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 10.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 10.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 20.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 10.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 60.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 10.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 10.00 CE 01504 07/09 AJ 01/12/09 CE CE RECEIPTS 20.00 CE 01512 07/09 AJ 01/13/09 CE CE RECEIPTS 10.00 CE 01512 07/09 AJ 01/13/09 CE CE RECEIPTS 10.00 CE 01541 07/09 AJ 01/14/09 CE CE RECEIPTS 30.00 CE 01547 07/09 AJ 01/15/09 CE CE RECEIPTS 10.00 CE 01547 07/09 AJ 01/15/09 CE CE RECEIPTS 30.00 CE 01554 07/09 AJ 01/16/09 CE CE RECEIPTS 60.00 CE 01554 07/09 AJ 01/16/09 CE CE RECEIPTS 30.00 CE 01560 07/09 AJ 01/20/09 CE CE RECEIPTS 50.00 CE 01560 07/09 AJ 01/20/09 CE CE RECEIPTS 10.00 CE 01567 07/09 AJ 01/21/09 CE CE RECEIPTS 40.00 CE 01567 07/09 AJ 01/21/09 CE CE RECEIPTS 10.00 CE 01597 07/09 AJ 01/22/09 CE CE RECEIPTS 20.00 CE 01597 07/09 AJ 01/22/09 CE CE RECEIPTS 20.00 CE 01604 07/09 AJ 01/23/09 CE CE RECEIPTS. 60.00 CE 01611 07/09 AJ 01/26/09 CE CE RECEIPTS 40.00 CE 01611 07/09 AJ 01/26/09 CE CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING 894 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 01632 07/09 AJ 01/27/09 CE CE RECEIPTS 20.00 CE 01632 07/09 AJ 01/27/09 CE CE RECEIPTS 30.00 CE 01639 07/09 AJ 01/28/09 CE CE RECEIPTS 10.00 CE 01639 07/09 AJ 01/28/09 CE CE RECEIPTS 20.00 CE 01639 07/09 AJ 01/28/09 CE CE RECEIPTS 10.00 CE 01639 07/09 AJ 01/28/09 CE CE RECEIPTS 10.00 CE 01646 07/09 AJ 01/29/09 CE CE RECEIPTS 40.00 CE 01646 07/09 AJ 01/29/09 CE CE RECEIPTS 20.00 CE 01646 07/09 AJ 01/29/09 CE CE RECEIPTS 10.00 CE 01653 07/09 AJ 01/30/09 CE CE RECEIPTS 10.00 CE 01653 .07/09 AJ 01/30/09 CE CE RECEIPTS 120.00 CE 01653 07/09 AJ 01/30/09 CE CE RECEIPTS •70.00 CE 01676 08/09 AJ 02/02/09 CE CE RECEIPTS 30.00 CE 01676 08/09 AJ 02/02/09 CE CE RECEIPTS 10.00 CE 01709 08/09 AJ 02/04/09 CE CE RECEIPTS 10.00 CE 01709 08/09 AJ 02/04/09 CE CE RECEIPTS 10.00 CE 01732 08/09 AJ 02/05/09 CE CE RECEIPTS 20.00 CE 01732 08/09 AJ 02/05/09 CE CE RECEIPTS 20.00 CE 01738 08/09 AJ 02/06/09 CE' CE RECEIPTS 30.00 CE 01738 08/09 AJ 02/06/09 CE CE RECEIPTS 60.00 CE 01738 08/09 AJ 02/06/09 CE CE RECEIPTS 20.00 CE 01745 08/09 AJ 02/09/09 CE CE RECEIPTS 30.00 CE 01745 08/09 AJ 02/09/09 CE CE RECEIPTS 20.00 CE 01775 08/09 AJ 02/11/09 CE CE RECEIPTS 10.00 CE 01775 08/09 AJ 02/11/09 CE CE RECEIPTS 10.00 CE 01782 08/09 AJ 02/12/09 CE CE RECEIPTS 20.00 CE 01782 08/09 AJ 02/12/09 CE CE RECEIPTS 20.00 CE 01782 08/09 AJ 02/12/09 CE CE RECEIPTS 10.00 CE 01787 08/09 AJ 02/13/09 CE CE RECEIPTS 10.00 CE 017.87 08/09 AJ 02/13/09 CE CE RECEIPTS 30.00 CE 01787 08/09 AJ 02/13/09 CE CE RECEIPTS 20.00 CE 01821 08/09 AJ 02/17/09 CE CE RECEIPTS 20.00 CE 01821 08/09 AJ 02/17/09 CE CE RECEIPTS 30.00 CE 01828 08/09 AJ 02/18/09 CE CE RECEIPTS 30.00 CE 01847 08/09 AJ 02/19/09 CE CE RECEIPTS 10.00 CE 01847 08/09 AJ 02/19/09 CE CE RECEIPTS 50.00 CE 01855 08/09 AJ 02/20/09 CE CE RECEIPTS 10'.00 CE 01855 08/09 AJ 02/20/09 CE CE RECEIPTS 90.00 CE 01855 08/09 AJ 02/20/09 CE CE RECEIPTS 20.00 CE 01855 08/09 AJ 02/20/09 CE CE RECEIPTS 30.00 CE 01862 08/09 AJ 02/23/09 CE CE RECEIPTS 40.00 CE 01868 08/09 AJ 02/24/09 CE CE RECEIPTS 30.00 CE 01868 08/09 AJ 02/24/09 CE CE RECEIPTS 10.00 CE 01885 08/09 AJ 02/25/09 CE CE RECEIPTS 30.00 CE 01885 08/09 AJ 02/25/09,CE CE RECEIPTS 10.00 CE 01899 08/09 AJ 02/26/09 CE CE RECEIPTS 50.00 CE 01899 08/09 AJ 02/26/09 CE CE RECEIPTS 40.00 CE 01909 08/09 AJ 02/27/09 CE CE RECEIPTS 20.00 CE 01909 08/09 AJ 02/27/09 CE CE RECEIPTS 40.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 895 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 01909 08/09 AJ 02/27/09 CE CE RECEIPTS 130.00 CE 01928 09/09 AJ 03/03/09 CE CE RECEIPTS 40.00 CE 01928 09/09 AJ 03/03/09 CE CE RECEIPTS 10.00 CE 01950 09/09 AJ 03/04/09 CE CE RECEIPTS 10.00 CE 01950 09/09 AJ 03/04/09 CE CE RECEIPTS 10'.00 CE 01950 09/09 AJ 03/04/09 CE CE RECEIPTS 30.00 CE 01995 09/09 AJ 03/05/09 CE CE RECEIPTS 60.00 CE 01995 09/09 AJ 03/05/09 CE CE RECEIPTS 10.00 CE 02002 09/09 AJ 03/06/09 CE CE RECEIPTS 10.00 CE 02002 09/09 AJ 03/06/09 CE CE RECEIPTS 90.00 CE 02002 09/09 AJ 03/06/09 CE CE RECEIPTS 10.00 CE 02002 09/09 AJ 03/06/09 CE CE RECEIPTS 40.00 CE 02008 09/09 AJ 03/09/09 CE CE RECEIPTS 10.00 CE 02008 09/09 AJ 03/09/09 CE CE RECEIPTS 40.00 CE 02008 09/09 AJ 03/09/09 CE CE RECEIPTS 20.00 CE 02016 09/09 AJ 03/10/09 CE CE RECEIPTS 10.00 CE 02016 09/09 AJ 03/10/09 CE CE RECEIPTS 20.00 CE 02016 09/09 AJ 03/10/09 CE CE RECEIPTS 30.00 CE 02023 09/09 AJ 03/11/09 CE CE RECEIPTS 20.00 CE 02023 09/09 AJ 03/11/09 CE CE RECEIPTS 40.00 CE 02030 09/09 AJ 03/12/09 CE CE RECEIPTS 20.00 CE 02030 09/09 AJ 03/12/09 CE CE RECEIPTS 70.00 CE 02030 09/09 AJ 03/12/09 CE CE RECEIPTS 30.00 CE 02036 09/09 AJ 03/13/09 CE CE RECEIPTS 20.00 CE 02036 09/09 AJ 03/13/09 CE CE RECEIPTS 160.00 CE 02036 09/09 AJ 03/13/09 CE CE RECEIPTS 10.00 CE 02036 09/09 'AJ 03/13/09 CE CE RECEIPTS 90.00 CE 02042 09/09 AJ 03/16/09 CE -CE RECEIPTS 10.00 CE 02042 09/09 AJ 03/16/09 CE CE RECEIPTS 40.00 CE 02049 09/09 AJ. 03/17/09 CE CE RECEIPTS 20.00 CE 02049 09/09 AJ 03/17/09 CE *CE RECEIPTS 20.00 CE 02071 09/09 AJ 03/18/09 CE CE RECEIPTS 20.00 CE 02071 09/09 AJ 03/18/09 CE CE RECEIPTS 10.00 CE 02078 09/09 AJ 03/19/09 CE CE RECEIPTS 30.00 CE 02078 09/09 AJ 03/19/09 CE CE RECEIPTS 20.00 CE 02086 09/09 AJ 03/20/09 CE CE RECEIPTS 100.00 CE 02086 09/09 AJ 03/20/09 CE CE RECEIPTS 70.00 CE 02092 09/09 AJ 03/23/09 CE CE RECEIPTS 30.00 CE 02092 09/09 AJ 03/23/09 CE CE RECEIPTS 10.00 CE 02099 09/09 AJ 03/24/09 CE CE RECEIPTS 10.00 CE 02108 09/09 AJ 03/25/09 CE CE RECEIPTS 10.00 CE 02108 09/09 AJ 03/25/09 CE CE RECEIPTS 10.00 CE 02133 09/09 AJ 03/26/09 CE CE RECEIPTS 40.00 CE- 02133 09/09 AJ 03/26/09 CE CE RECEIPTS 20.00 CE 02140 09/09 AJ 03/27/09 CE CE RECEIPTS 10.00 CE 02140 09/09 AJ 03/27/09 CE CE RECEIPTS 110.00 CE 02140 09/09 AJ 03/27/09 CE CE RECEIPTS 60.00 CE 02147 09/09 AJ 03/30/09 CE CE RECEIPTS 60.00 CE 02147 09/09 AJ 03/30/09 CE CE RECEIPTS 30.00 BEGINNING /ENDING BALANCE PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 896 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 02154 09/09 AJ 03/31/09 CE CE RECEIPTS 10.00 CE 02184 10/09 AJ 04/01/09 CE CE RECEIPTS 40.00 CE 02184 10/09 AJ 04/01/09 CE CE RECEIPTS 10.00 CE 02191 10/09 AJ 04/02/09 CE CE RECEIPTS 10.00 CE 02191 10/09 AJ 04/02/09 CE CE RECEIPTS 70.00 CE 02196 10/09 AJ 04/03/09 CE CE RECEIPTS 50.00 CE 02196 10/09 AJ 04/03/09 CE CE RECEIPTS 90.00 CE 02201 10/09 AJ 04/06/09 CE CE RECEIPTS 10.00 CE 02207 10/09 AJ 04/07/09 CE CE RECEIPTS 40:00 CE 02218 10/09 AJ 04/08/09 CE CE RECEIPTS 30.00 CE 02218 10/09 AJ 04/08/09 CE CE RECEIPTS 10.00 CE 02243 10/09 AJ 04/09/09 CE CE RECEIPTS 60.00 CE 02243 10/09 AJ 04/09/09 CE CE RECEIPTS 10.00 CE 02243 10/09 AJ 04/09/09 CE CE RECEIPTS 10.00 CE 02249 10/09 AJ 04/10/09 CE CE RECEIPTS 10.00 CE 02249 10/09 AJ 04/10/09 CE CE RECEIPTS 70.00 CE 02255 10/09 AJ 04/13/09 CE CE RECEIPTS 20.00 CE 02255 10/09 AJ 04/13/09 CE CE RECEIPTS 20.00 CE 02285 10/09 AJ 04/14/09 CE CE RECEIPTS 10.00 CE 02285 10/09 AJ 04/14/09 CE CE RECEIPTS 10.00 CE 02291 10/09 AJ 04/15/09 CE CE RECEIPTS 20.00 CE 02291 10/09 AJ 04/15/09 CE CE RECEIPTS 20.00 CE 02298 10/09 AJ 04/16/09 CE CE RECEIPTS 70.00 CE 02298 10/09 AJ 04/16/09 CE CE RECEIPTS 10.00 CE 02298 10/09 AJ 04/16/09 CE CE RECEIPTS 20.00 CE 02304 10/09 AJ 04/17/09 CE CE RECEIPTS 10.00 CE 02304 10/09 AJ 04/17/09 CE CE RECEIPTS 80.00 CE 02304 10/09 AJ 04/17/09 CE CE RECEIPTS 10.00 CE 02304 10/09 AJ 04/17/09 CE CE RECEIPTS 20.00 CE 02311 10/09 AJ .04/20/09 CE CE RECEIPTS 90.00 CE 02311 10/09 AJ 04/20/09 CE CE RECEIPTS 10.00 CE 02318 10/09 AJ 04/21/09 CE CE RECEIPTS 10.00 CE 02326 10/09 AJ 04/22/09 CE CE RECEIPTS 20.00 CE 02326 10/09 AJ 04/22/09 CE CE RECEIPTS 10.00 CE 02361 10/09 AJ 04/23/09 CE CE RECEIPTS 20.00 CE 02361 10/09 AJ 04/23/09 CE CE RECEIPTS 10.00 CE 02361 10/09 AJ 04/23/09 CE CE RECEIPTS 10.00 CE 02367 10/09 AJ 04/24/09 CE CE RECEIPTS 40.00 CE 02367 10/09 AJ 04/24/09 CE CE RECEIPTS 50.00 CE 02374 10/09 AJ 04/27/09 CE CE RECEIPTS 50.00 CE 02374 10/09 AJ 04/27/09 CE CE RECEIPTS 20.00 CE 02381 10/09 AJ 04/28/09 CE CE RECEIPTS 10.00 CE 02381 10/09 AJ 04/28/09 CE CE RECEIPTS 20.00 CE 02381 10/09 AJ 04/28/09 CE CE RECEIPTS 10.00 CE 02387 10/09 AJ 04/29/09 CE CE RECEIPTS 50.00 CE 02394 10/09 AJ 04/30/09 CE CE RECEIPTS 40.00 CE 02394 10/09 AJ 04/30/09 CE CE RECEIPTS 20.00 CE 02414 11/09 AJ 05/01/09 CE CE RECEIPTS 100.00 CE 02414 11/09 AJ 05/01/09 CE CE RECEIPTS 20.00 BEGINNING /ENDING BALANCE PREPARED uiaf12/2010, 9:26:27 GENERAL LEDGER A6iIVITY LISTING 'rAwt 897 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 101-5000-322.09-01 Miscellaneous Permits / Garage Sale Permits CE 02420 11/09 AJ 05/04/09 CE CE RECEIPTS 20.00 CE 02420 11/09 AJ 05/04/09 CE CE RECEIPTS 20.00 CE 02427 11/09 AJ 05/05/09 CE CE RECEIPTS 30.00 CE 02479 11/09 AJ 05/06/09 CE CE RECEIPTS 10.00 CE 02485 11/09 AJ 05/07/09 CE CE RECEIPTS 10.00 CE 02490 11/09 AJ 05/08/09 CE CE RECEIPTS 60.00 CE 02490 11/09 AJ 05/08/09 CE CE RECEIPTS 10.00 CE 02496 11/09 AJ 05/11/09 CE CE RECEIPTS 30.00 CE 02496 11/09 AJ 05/11/09 CE CE RECEIPTS 50.00 CE 02504 11/09 AJ 05/12/09 CE CE RECEIPTS 10.00 CE 02504 11/09 AJ 05/12/09 CE CE RECEIPTS 20.00 CE 02510 11/09 AJ 05/13/09 CE CE RECEIPTS 10.00 CE 02510 11/09 AJ 05/13/09 CE CE RECEIPTS 20.00 CE 02517 11/09 AJ 05/14/09 CE CE RECEIPTS 10.00 CE 02517 11/09 AJ 05/14/09 CE CE RECEIPTS 20.00 CE 02517 11/09 AJ 05/14/09 CE CE RECEIPTS 30.00 CE 02532 11/09 AJ 05/15/09 CE CE RECEIPTS 80.00 CE 02532 11/09 AJ 05/15/09 CE CE RECEIPTS 60.00 CE 02539 11/09 AJ 05/18/09 CE CE RECEIPTS 20.00 CE 02547 11/09 AJ 05/19/09 CE CE RECEIPTS 10.00 CE 02557 11/09 AJ 05/20/09 CE CE RECEIPTS 10.00 CE 02557 11/09 AJ 05/20/09 CE CE RECEIPTS 20.00 CE 02597 11/09 AJ 05/21/09 CE CE RECEIPTS 40.00 CE 02597 11/09 AJ 05/21/09 CE CE RECEIPTS 20.00 CE 02604 11/09 AJ 05/22/09 CE CE RECEIPTS 90.00 CE 02604 11/09 AJ 05/22/09 CE CE RECEIPTS 60.00 CE 02610 11/09 AJ 05/26/09 CE CE RECEIPTS 20.00 CE 02610 11/09 AJ 05/26/09 CE CE RECEIPTS 20.00 CE 02616 11/09 AJ 05/27/09 CE CE RECEIPTS 20.00 CE 02616 11/09 AJ 05/27/09 CE CE RECEIPTS 10.00 CE 02623 11/09 AJ 05/28/09 CE CE RECEIPTS 60.00 CE 02623 11/09 AJ 05/28/09 CE CE RECEIPTS 30.00 CE 02636 11/09 AJ 05/29/09 CE CE RECEIPTS 10.00 CE 02636 11/09 AJ 05/29/09 CE CE RECEIPTS 110..00 CE 02636 11/09 AJ 05/29/09 CE CE RECEIPTS 30.00 CE 02643 12/09 AJ 06/01/09 CE CE RECEIPTS 30.0,0 CE 02676 12/09 AJ 06/03/09 CE CE RECEIPTS 10.00 CE 02676 12/09 AJ 06/03/09 CE CE RECEIPTS 10.00 CE 02700 12/09 AJ 06/04/09 CE CE RECEIPTS. 10.00 CE 02700 12/09 AJ 06/04/09 CE CE RECEIPTS 10.00 CE 02700 12/09 AJ 06/04/09 CE CE RECEIPTS 50.00 CE 02705 12/09 AJ 06/05/09 CE CE RECEIPTS 10.00 CE 02705 12/09 AJ 06/05/09 CE CE RECEIPTS 70.00 CE 02705 12/09 AJ 06/05/09 CE CE RECEIPTS 150.00 CE 02710 12/09 AJ 06/08/09 CE CE RECEIPTS 30.00 CE 02716 12/09 .AJ 06/09/09 CE CE RECEIPTS 10.00 CE 02724 12/09 AJ 06/10/09 CE CE RECEIPTS 40.00 CE 02750 12/09 AJ 06/11/09 CE CE RECEIPTS 20.00 CE 02750 12/09 AJ 06/11/09 CE CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED uoi12/2010, 9:26:27 .00 CE GENERAL LEDGER ALAIVITY LISTING 01/09 rAWt 898 PROGRAM GM362LA CE RECEIPTS 100.00 CE 00026 01/09 AJ CITY OF LA QUINTA, CALIFORNIA CE RECEIPTS 500.00 CE 00032 01/09 ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund CE RECEIPTS 100..00 CE 00042 BEGINNING AJ GROUP ACCTG ----TRANSACTION---- RECEIPTS 200.00 CE 00086 01/09 /ENDING APP ------------------------------------------------------------------------------------------------7----------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-322.09-01 CE RECEIPTS Miscellaneous Permits / Garage Sale Permits AJ 07/22/08 CE 02750 12/09 AJ 06/11/09 CE CE RECEIPTS 30.00 CE CE 02756 12/09 AJ 06/12/09 CE CE RECEIPTS 10.00 CE CE 02756 12/09 AJ 06/12/09 CE CE RECEIPTS 10.00 RECEIPTS CE 02756 12/09 AJ 06/12/09 CE CE RECEIPTS 50.00 100.00 CE 02756 12/09 AJ 06/12/09 CE CE RECEIPTS 20.00 CE CE 02762 12/09 AJ 06/15/09 CE CE RECEIPTS 50.00 CE 02769 12/09 AJ 06/16/09 CE. CE RECEIPTS 30.00 CE 02775 12/09 AJ 06/17/09 CE CE RECEIPTS 30.00 CE 02775 12/09 AJ 06/17/09 CE CE RECEIPTS 20.00 CE 02775 12/09 AJ 06/17/09 CE CE RECEIPTS 10.00 CE 02782 12/09 AJ 06/18/09 CE CE RECEIPTS 30.00 CE. 02787 12/09 AJ 06/19/09 CE CE RECEIPTS 30.00 CE 02787 12/09 AJ 06/19/09 CE CE RECEIPTS 10.00 CE 02787 12/09 AJ 06/19/09 CE CE RECEIPTS 20.00 CE 02787 12/09 AJ 06/19/09 CE CE RECEIPTS 90.00 CE 02796 12/09 AJ 06/22/09 CE CE RECEIPTS 10.00 CE 02796 12/09 AJ 06/22/09 CE CE RECEIPTS 80.00 CE 02825 12/09 AJ 06/24/09 CE CE RECEIPTS• 40.00 CE 02825 12/09 AJ 06/24/09 CE CE RECEIPTS 10.00 CE 02846 12/09 AJ 06/25/09 CE CE RECEIPTS 20.00 CE 02846 12/09 AJ 06/25/09 CE CE RECEIPTS 20.00 CE 02846 12/09 AJ 06/25/09 CE CE RECEIPTS 20.00 CE 02853 12/09 AJ 06/26/09 CE CE RECEIPTS 10.00 CE 02853 12/09 AJ 06/26/09 CE CE RECEIPTS 70.00 CE 02853 12/09 AJ 06/26/09 CE CE RECEIPTS 50.00 CE 02859 12/09 AJ 06/29/09 CE CE RECEIPTS 20.00 ACCOUNT TOTAL 15,280.00 15,280.00CR 101-5000-322.10-00 Non -Business Licenses / Golf Cart Permits ACCOUNT TOTAL 00 .00 101-5000-322.15-00 Non -Business Licenses / Massage Permits .00 CE 00011 01/09 AJ 07/01/08 CE CE RECEIPTS 100.00 CE 00026 01/09 AJ 07/03/08 CE CE RECEIPTS 500.00 CE 00032 01/09 AJ 07/07/08 CE CE RECEIPTS 100..00 CE 00042 01/09 AJ 07/08/08 CE CE RECEIPTS 200.00 CE 00086 01/09 AJ 07/14/08 CE CE RECEIPTS 25.00 CE 00118 01/09 AJ 07/17/08 CE CE RECEIPTS 110.00 CE 00150 01/09 AJ 07/22/08 CE CE RECEIPTS 100.00 CE 00150 01/09 AJ 07/22/08 CE CE RECEIPTS 150.00 CE 00184 01/09 AJ 07/28/08 CE CE RECEIPTS 100.00 CE 00184 01/09 AJ 07/28/08 CE CE RECEIPTS 10.00 CE 00229 02/09 AJ 08/01/08 CE CE RECEIPTS 100.00 CE 0,0280 02/09 AJ 08/07/08 CE CE RECEIPTS 25.00 CE 00295 02/09 AJ 08/12/08 CE CE RECEIPTS 100.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING rAUh 899 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 101-5000-322.15-00 Non -Business Licenses / Massage Permits CE 00319 02/09 AJ 08/15/08 CE CE RECEIPTS 25.00 CE 00336 02/09 AJ 08/18/08 CE CE RECEIPTS 100.00 CE 00457 03/09 'AJ 09/02/08 CE CE RECEIPTS 100.00 CE 00473 03/09 AJ 09/04/08 CE CE RECEIPTS 50.00 CE 00503 03/09 AJ 09/08/08 CE CE RECEIPTS 100.00 CE 00503 03/09 AJ 09/08/08 CE CE RECEIPTS 100.00 CE 00542 03/09 AJ 09/10/08 CE CE RECEIPTS 25.00 CE 00542 03/09 AJ 09/10/08 CE CE RECEIPTS 100.00 CE 00549 03/09 AJ 09/11/08 CE CE RECEIPTS 25.00 CE 00556 03/09 AJ 09/12/08 CE CE RECEIPTS 100.00 CE 00566 03/09 AJ 09/16/08 CE CE RECEIPTS 100.00 CE 00572 03/09 AJ 09/17/08 CE CE'RECEIPTS 150.00 CE 00579 03/09 AJ 09/18/08 CE CE RECEIPTS 10.00 CE 00625 03/09 AJ 09/23/08 CE CE RECEIPTS 100.00 CE 00631 03/09 AJ 09/24/08 CE CE RECEIPTS 150.00 CE 00655 03/09 AJ 09/29/08 CE CE RECEIPTS 100.00 CE 00655. 03/09 AJ 09/29/08 CE CE RECEIPTS 10.00 CE 00662 03/09' AJ 09/30/08 CE CE RECEIPTS 150.00 CE 00698 04/09 AJ 10/01/08 CE CE RECEIPTS 100.00 CE 00729 04/09 AJ 10/06/08 CE CE RECEIPTS 100.00 CE 00757 04/09 AJ 10/09/08 CE CE RECEIPTS 25.00 CE 00908 04/09 AJ. 10/23/08 CE CE RECEIPTS 110.00 CE 00915 04/09 AJ 10/24/08 CE CE RECEIPTS 150.00 CE 00921 04/09 AJ 10/27/08 CE CE RECEIPTS 100.00 CE 00943 04/09 AJ 10/29/08 CE CE RECEIPTS 100.00 CE 00951 04/09 AJ 10/30/08 CE CE RECEIPTS 10.00 CE 00951 04/09 AJ 10/30/08 CE CE RECEIPTS 100.00 CE 00958, 04/09 AJ 10/31/08 CE CE RECEIPTS 100.00 CE 00995 05/09 AJ 11/03/08 CE CE RECEIPTS 100.00 CE 01009 05/09 AJ 11/05/08 CE CE RECEIPTS 275.00 CE 01016 05/09 AJ 11/06/08 CE CE RECEIPTS 250.00 CE 01074 05/0.9 AJ 11/07/08 CE CE RECEIPTS 25.00 CE 01080 05/09 AJ 11/10/08 CE CE RECEIPTS. 10.00 CE 01096 05/09 AJ 11/13/08 CE CE RECEIPTS 500.00 CE 01120 05/09 AJ 11/18/08 CE CE RECEIPTS 25.00 CE 01127 05/09 AJ 11/19/08 CE CE RECEIPTS 200.00 CE 01134 05/09 AJ 11/20/08 CE CE RECEIPTS 100.00 CE 01134 05/09 AJ 11/20/08 CE CE RECEIPTS 100.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 50.00 CE 01141 05/09 AJ 11/21/08 CE CE RECEIPTS 200.00 CE 01164 05/09 AJ 11/26/08 CE CE RECEIPTS 10.00 CE 01178 06/09 AJ 12/02/08 CE CE RECETPTS 100.00 CE 01196 06/09 AJ 12/03/08 CE CE RECEIPTS 100.00 CE 01224 06/09 AJ 12/04/08 CE CE RECEIPTS 100.00 CE 01300 06/09 AJ 12/10/08 CE CE RECEIPTS 100.00 CE 01321 06/09 AJ 12/15/08 CE CE RECEIPTS 10.00 CE 01341 06/09 AJ 12/18/08 CE, CE RECEIPTS 25.00 CE 01405 06/09 AJ 12/23/08 CE CE RECEIPTS 150.00 CE 01426 06/09 AJ 12/30/08 CE CE RECEIPTS 10.00 BEGINNING /ENDING BALANCE PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AtfIVITY LISTING rAtit 900 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 101-5000-322.15-00 Non -Business Licenses / Massage Permits GM 01371 06/09 AJ 12/31/08 JE 06-028 VELOZ MASSAGE/CNTY REIMB 150.00 CE 01477 07/09 AJ 01/06/09 CE CE RECEIPTS 100.00 CE 01484 07/09 AJ 01/07/09 CE CE RECEIPTS 100.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 150.00 CE 01491 07/09 AJ 01/08/09 CE CE RECEIPTS 125.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 150.00 CE 01498 07/09 AJ 01/09/09 CE CE RECEIPTS 150.00 CE 01512 07/09 AJ 01/13/09 CE CE RECEIPTS 250.00 CE 01541 07/09 AJ 01/14/09 CE CE RECEIPTS 10.00 CE 01547 07/09 AJ 01/15/09 CE CE RECEIPTS 110.00 CE 01547 07/09 AJ 01/15/09 CE CE RECEIPTS 25.00 CE 01560 07/09 AJ 01/20/09 CE CE RECEIPTS 150.00 CE 01567 07/09 AJ 01/21/09 CE CE RECEIPTS 10.00 CE•01597 07/09 AJ 01/22/09 CE CE RECEIPTS 100.00 CE 01604 07/09 AJ 01/23/09 CE CE RECEIPTS 200.00 CE 01611 07/09 AJ 01/26/09 CE CE RECEIPTS 10.00 CE 01646 07/09 AJ 01/29/09 CE CE RECEIPTS 200.00 CE 01646 07/09 AJ 01/29/09 CE CE RECEIPTS 100.00 CE 01653 07/09 AJ 01/30/09 CE CE RECEIPTS 20.00 CE 01683 08/09 AJ 02/03/09 CE CE RECEIPTS 10.00 CE 01709 08/09 AJ 02/04/09 CE CE RECEIPTS 100.00 CE 01709 08/09 AJ 02/04/09 CE CE RECEIPTS 100.00 CE 01782 08/09 AJ 02/12/09 CE CE RECEIPTS 250.00 CE 01782 08/09 AJ 02/12/09 CE ICE RECEIPTS 100.00 CE 01821 08/09 AJ 02/17/09 CE CE RECEIPTS• 25.00 CE 01828 08/09 AJ 02/18/09 CE CE RECEIPTS 25.00 CE 01885 08/09 AJ 02/25/09 CE CE RECEIPTS 10.00 CE 01899 08/09 AJ 02/26/09 CE CE RECEIPTS 200.00 CE 01909 08/09 AJ 02/27/09 CE CE RECEIPTS 100.00 CE 01928 09/09 AJ 03/03/09 CE CE RECEIPTS 110.00 CE 01950 09/09 AJ 03/04/09 CE CE RECEIPTS 200.00 CE 01950 09/09 AJ 03/04/09 CE CE RECEIPTS 100.00 CE 02023 09/09 AJ 03/11/09 CE CE RECEIPTS 10.00 CE 02030 09/09 AJ 03/12/09 CE CE RECEIPTS 100.00 CE 02049 09/09 AJ 03/17/09 CE CE RECEIPTS 100.00 CE 02071 09/09 AJ 03/18/09 CE CE RECEIPTS 110.00 CE 02071 09/09 AJ 03/18/09 CE CE RECEIPTS 150.00 CE 02092 09/09 AJ 03/23/09 CE CE RECEIPTS 100.00 CE 02092 09/09 AJ 03/23/09 CE CE RECEIPTS 100.00 CE 02108 09/09 AJ 03/25/09 CE CE RECEIPTS 300.00 CE 02140 09/09 AJ 03/27/09 CE CE RECEIPTS 100.00 CE 02191 •10/09 AJ 04/02/09 CE CE RECEIPTS 200.00 CE 02191 10/09 AJ 04/02/09 CE CE RECEIPTS 10.00 CE 02196 10/09 AJ 04/03/09 CE CE RECEIPTS 100.00 CE 02201 10/09 AJ 04/06/09 CE CE RECEIPTS 200.00 CE 02249 10/09 AJ 04/10/09 CE CE RECEIPTS 25.00 CE 02255 10/09 AJ 04/13/09 CE CE RECEIPTS 25.00 CE 02298 10/09 AJ 04/16/09 CE CE RECEIPTS 200.00 CE 02304 10/09 AJ 04/17/09 CE CE RECEIPTS 150.00 BEGINNING /ENDING BALANCE PREPARED uji12/2010, 9:26:27 GENERAL LEDGER N6i'IVITY LISTING rAlit 901 PROGRAM GM362LA CITY OF LA GUINTA, 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 101-5000-322.15-00 Non -Business Licenses / Massage Permits CE 02311 10/09 AJ 04/20/09 CE CE RECEIPTS 150.00 CE 02318 10/09 AJ 04/21/09 CE CE RECEIPTS 100.00 CE 02326 10/09 AJ 04/22/09 CE CE RECEIPTS 100.00 CE 02374 10/09 AJ 04/27/09 CE CE RECEIPTS 25.00 CE 02387 10/09 AJ 04/29/09 CE CE RECEIPTS 10.00 CE 02394 10/09 AJ 04/30/09 CE CE RECEIPTS 100.00 CE 02394 10/09 AJ 04/30/09 CE CE RECEIPTS 100.00 CE 02427 11/09 AJ 05/05/09 CE CE RECEIPTS 200.00 CE 02479 11/09 AJ 05/06/09 CE CE RECEIPTS 110.00 CE 02479 11/09 AJ 05/06/09 CE CE RECEIPTS 10.00 CE 02485 11/09 AJ 05/07/09 CE CE RECEIPTS 25.00 CE 02490 11/09 AJ 05/08/09 CE CE RECEIPTS 450.00 CE 02490 11/09 AJ 05/08/09 CE CE RECEIPTS 25.00 CE 02510 11/09 AJ 05/13/09 CE CE RECEIPTS 250.00 CE 02532 11/09 AJ 05/15/09 CE CE RECEIPTS 25.00 CE 02539 11/09 AJ 05/18/09 CE CE RECEIPTS 100.00 CE 02547 11/09 AJ 05/19/09 CE CE RECEIPTS 10.00 CE 02557 11/09 AJ 05/20/09 CE CE RECEIPTS 100.00 CE 02597 11/09 AJ 05/21/09 CE CE RECEIPTS 150.00 CE 02604 11/09 AJ 05/22/09 CE CE RECEIPTS 50.00 CE 02623 11/09 AJ 05/28/09 CE CE RECEIPTS 100.00 CE 02643 12/09 AJ 06/01/09 CE CE RECEIPTS 100.00 CE 02669 12/09 AJ 06/02/09 CE' CE RECEIPTS 150.00 CE 02676 12/09 AJ 06/03/09 CE CE RECEIPTS 100.00 CE 02705 12/09 AJ 06/05/09 CE CE RECEIPTS 100.00 CE 02762 12/09 AJ 06/15/09 CE CE RECEIPTS 100.00 CE 02762 12/09 AJ 06/15/09 CE CE RECEIPTS 100.00 CE 02769 12/09 AJ 06/16/09 CE CE RECEIPTS 150.00 CE 02782 12/09 AJ 06/18/09 CE CE RECEIPTS 100.00 CE 02816 12/09 AJ 06/23/09 CE CE RECEIPTS 10.00 CE 02859 12/09 AJ 06/29/09 CE CE RECEIPTS 25.00 CE 02865 12/09 AJ 06/30/09 CE CE RECEIPTS 100.00 ACCOUNT TOTAL 15,095.00 101-5000-322.17-00 Non -Business Licenses / Grading permits BP 00010 01/09 AJ '07/01/08 BP BP RECEIPTS 90.00 BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS 300.00 BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS 60.00 BP 00116 01/09 AJ 07/17/08 BP BP RECEIPTS 15.00 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 30.00 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 15.00 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 105.00 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 30.00 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 30.00 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 30.00 BP 00286 02/09 AJ 08/11/08 BP BP RECEIPTS 15.00 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 15.00 BEGINNING /ENDING BALANCE 15,095.000R .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 902 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 I O N DEBITS CREDITS BALANCE --------------------------------------------------------------------------------------------------------------------=--------------- 101-5000-322.17-00 Non -Business Licenses / Grading permits BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS BP 00702 04/09 AJ 10/02/08 BP BP RECEIPTS BP 00709 04/09 AJ 10/03/08 BP BP RECEIPTS BP 00748 04/09 AJ 10/08/08 BP BP RECEIPTS BP 00806 04/09 AJ 10/13/08 BP BP RECEIPTS BP 00814 04/09 AJ 10/14/08 BP BP RECEIPTS BP 00949 04/09 AJ 10/30/08 BP BP RECEIPTS BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS GM 01291 06/09 AP 12/12/08 0081076 PHOENIX ROW III, LLC 121808 BUILDING PERMIT RFND BP 01431 06/09 AJ 12/31/08 BP BP RECEIPTS BP.01438 07/09 AJ 01/05/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS GM 01834 08/09 AP 02/06/09 0081847 SHEA HOMES BP#08-1405 REFUND BP 01743 08/09 AJ 02/09/09 BP BP RECEIPTS BP 01826 08/09 AJ 02/18/09•BP BP RECEIPTS GM 01832 08/09 AP 02/20/09 0081847 SHEA HOMES BP#08-1403 REFUND BP 01932 09/09 AJ 03/03/09 BP BP RECEIPTS BP 01994 09/09 AJ 03/05/09 BP BP RECEIPTS GM 01946 09/09 AP 03/05/09 0082039 SHEA HOMES BP#08-1417 REFUND BP 02000 09/09 AJ 03/06/09 BP. BP RECEIPTS BP 02041 09/09 AJ 03/16/09 BP BP RECEIPTS BP 02084 09/09 AJ 03/20/09 BP BP RECEIPTS BP 02145 09/09 AJ 03/30/09 BP BP RECEIPTS BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS BP 02284 10/09 AJ 04/14/09 BP BP RECEIPTS BP U2290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS GM 02457 11/09 AP 04/28/09 0082881 SHEA HOMES BP#08-1414 REFUND GM 02457 11/09 AP 05/07/09 0082881 SHEA HOMES BP#08-1419 REFUND BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 72.00 12.00 24.00 12.00 12.00 12.00 15.00 30.00 60.00 67.50 15.00 15.00 30.00 15.00 285.00 30.00 15.00 15.00 15.00 30.00 15.00 90.00 15.00 15.00 45.00 22.50 15.00 30.00 37.50 15.00 15.00 15.00 30.00 30.00 15.00 30.00 30.00 15.00 15.00 60.00 60.00 15.00 15.00 PREPARED us/12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-322.17-00 Non -Business Licenses / Grading permits BP 02544 11/09 AJ 05/19/09 BP BP RECEIPTS BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS GM 02788 12/09 AP 06/19/09 0083504 SHEA HOMES 01/09 AP 07/07/08 0079115 PERMIT#09-0386 REFUND BP 02795 12/09 AJ 06/22/09 BP BP RECEIPTS BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS ACCOUNT TOTAL 101-5000-322.19-00 Non -Business Licenses / Hauling permits ACCOUNT TOTAL 101-5000-322.20-00 Non -Business Licenses / Animal Licenses OL 00012 01/09 AJ 07/01/08 OL OL RECEIPTS OL 00019 01/09 AJ 07/02/08 OL OL RECEIPTS OL 00027 01/09 AJ 07/03/08 OL OL RECEIPTS OL 00033 01/09 AJ 07/07/08 OL OL RECEIPTS CR 00030 01/09 CR 07/07/08 0000291 AML LIC - JAMES MARTINEZ MMENDOZA 07/07/08 01 GM 00054 01/09 AP 07/07/08 0079115 THOMAS, ROBERT JR. 070708 REFUND -AL OVERPAYMENT OL 00043 01/09 AJ 07/08/08 OL OL RECEIPTS CR 00039 01/09 CR 07%08/08 0000326 3 AL RNEW & 2 PEN/THOMAS, KBLONDELL 07/08/08 01 CR 00039 •01/09 CR 07/08/08 0000351 REPL AL TAG #40252 MMENDOZA 07/08/08 01 OL 00049 01/09 AJ 07/09/08 OL OL RECEIPTS OL 00060 01/09 AJ 07/10/08.OL OL RECEIPTS CR 00056 01/09 CR 07/10/08 0000398 AML LIC MMENDOZA 07/10/08 01 OL 00067 01/09 AJ 07/11/08 OL OL RECEIPTS OL 00087 01/09 AJ 07/14/08 OL OL RECEIPTS OL 00093 01/09 AJ 07/15/08 OL OL RECEIPTS OL 00112 01/09 AJ 07/16/08 OL OL RECEIPTS OL 00119 01/09 AJ 07/17/08 OL OL RECEIPTS GM 00137 01/09 AJ 07/18/08 OL OL RECEIPTS OL 00144 01/09 AJ 07/21/08 OL OL RECEIPTS ' OL 00149 01/09 AJ 07/22/08 OL OL RECEIPTS OL 00157 01/09 AJ 07/23/08 OL OL RECEIPTS OL 00166 01/09 AJ 07/24/08 OL' OL.RECEIPTS GM 00129 01/09 AP 07/24/08 0078834 MARTINS, BOB 062508 REFUND -ANIMAL LICENSE 15.00 159.00 67.00 15.00 270.00 210.00 15.00 15.00 180.00 15.00 15.00 2,752.50 44.00 63.00 57.00 158.00 4.00 240.00 67.00 3.50 114.00 76.00 4.00 22.00 197.00 24.00 58.00 270. nn 3.50 60.00 81.00 35.00 110.00 3.00 2,593.50CR .00 .00 .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEk Au IVITY LISTING rAWt 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 101-5000-322.20-00 Non -Business Licenses / Animal Licenses OL 00173 01/09 AJ 07/25/08 OL OL RECEIPTS 157.00 OL 00185 01/09 AJ 07/28/08 OL OL RECEIPTS 452.00 OL 00238 02/09 AJ 08/04/08 OL OL RECEIPTS 64.00 OL 00251 02/09 AJ 08/05/08 OL OL RECEIPTS 14.00 OL 00277 02/09 AJ 08/06/08 OL OL RECEIPTS 216.00 OL 00308 02/09 AJ 08/08/08 OL OL RECEIPTS 42.00 OL 00289 02/09 AJ 08/11/08 OL OL RECEIPTS 262.00 GM 00267 02/09 AP 08/11/08 0079422 HILL, MARY J. 8.00 081108 OVERPAYMENT OL 00296 02/09 AJ 08/12/08 OL OL RECEIPTS 437.00 OL 00302 02/09 AJ 08/13/08 OL OL RECEIPTS 31.00 CR 00298 02/09 CR 08/13/08 0001600 AL RNEW & CK REQ REFUND P 8.00 KBLONDELL 08/13/08 01 OL 00314 02/09 AJ 08/14/08 OL - OL RECEIPTS 23.00 GM 00309 02/09 AP 08/14/08 0079417 GUERECA, YOLANDA 67.00 8142008 OVERPAYMENT OL'00320 02/09 AJ 08/15/08 OL OL RECEIPTS 32.00 OL 00337 02/09 AJ 08/18/08 OL OL RECEIPTS 191.00 CR 00334 02/09 CR 08/18/08 0001741 AL RNEW & CK REQ OVERPAY 67.00 KBLONDELL 08/18/08 01 OL 00376 02/09 AJ 08/20/08 OL OL RECEIPTS 82.00 OL 00383 02/09 AJ 08/21/08 OL OL RECEIPTS 90.00 OL 00390 02/09 AJ 08/22/08 OL OL RECEIPTS 182.00 OL 00396 02/09 AJ 08/25/08 OL OL RECEIPTS 24.00' OL 00403 02/09 AJ 08/26/08 OL OL RECEIPTS 24.00 OL 00419 02/09 AJ 08/27/08 OL OL RECEIPTS 114.00 OL 00451 02/09 AJ 08/29/08 OL OL RECEIPTS 209.00 CR 00447 02/09 CR 08/29/08 0002484 AL PEN REFUND/CK REQUEST 140.00 KBLONDELL 08/29/08 01 GM 00433 03/09 AP 09/02/08 0079615 LEE, LAVONDA 4.00 090208 OVERPAYMENT GM 00442 03/09 AP 09/02/08 0079638 RIVERSIDE COMMUNITY HEALT 140.00 090208 REFUND PENALTY OL 00468 03/09 AJ 09/03/08 OL OL RECEIPTS 168.00 CR 00463 .03/09 CR 09/03/08 0002609 AL RNEW & CK REQ OVERPAY 4.00 KBLONDELL 09/03/08 01 OL O6474 03/09 AJ 09/04/08 OL OL RECEIPTS 23.00 OL 00484 03/09 AJ 09/05/08 OL OL RECEIPTS 96.00 OL 00504 03/09 AJ 09/08/08 OL OL RECEIPTS 63.00 OL 00511 03/09 AJ 09/09/08 OL OL RECEIPTS '31.00 OL 00543 03/09 AJ 09/10/08 OL OL RECEIPTS 234.00 OL 00550 03/09 AJ 09/11/08 OL OL RECEIPTS 118.00 OL 00555 03/09 AJ 09/12/08 OL OL RECEIPTS 16.00 OL 00567 03/09 AJ 09/15/08 OL OL RECEIPTS 177.00 CR 00559 03/09 CR 09/15/08 0003375 AML LIC 20.00 MMENDOZA 09/15/08 01 GM 00886 04/09 AP 09/15/08 0080298 RIVERSIDE COUNTY ANIMAL S 20.00 3375 ANIMAL PENALTY OL 00567 03/09 AJ 09/16/08 OL OL RECEIPTS 32.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk m%.iIVITY LISTING rAvt 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 101-5000-322.20-00 Non -Business Licenses / Animal Licenses GM 00529 03/09 AP 09/16/08 0079895 RIVERSIDE COMMUNITY HEALT 20.00 091608 ANIMAL PENALTY REFUND OL 00573 03/09 AJ 09/17/08 OL OL RECEIPTS 135.00 OL 00580 03/09 AJ 09/18/08 OL • OL RECEIPTS 35.00 OL 00612 03/09 AJ 09/19/08 OL OL RECEIPTS 68.00 OL 00619 03/09 AJ 09/22/08 OL OL RECEIPTS 83.00 OL 00626 03/09 AJ 09/23/08 OL OL RECEIPTS 143.00 OL 00632 03/09 AJ 09/24/08 OL OL RECEIPTS 180.00 OL 00643 .03/09 AJ 09/25/08 OL OL RECEIPTS 212.00 OL 00649 03/09 AJ 09/26/08 OL OL RECEIPTS 32.00 OL 00663 03/09 AJ 09/30/08 OL OL RECEIPTS 124.00 OL 00699 04/09 AJ 10/01/08 OL OL RECEIPTS 44.00 OL 00705 04/09 AJ 10/02/08 OL OL RECEIPTS 37.00 OL 00712 04/09 AJ 10/03/08 OL OL RECEIPTS 32.00 OL 00730 04/09 AJ 10/06/08 OL OL RECEIPTS 69.00 OL 00737 04/09 AJ 10/07/08 OL OL RECEIPTS 143.00 OL 00751 04/09 AJ 10/08/08 OL OL RECEIPTS 55.00 OL 00758 04/09 AJ 10/09/08 OL OL RECEIPTS 249.00 GM 00779 04/09 AP 10/09/08 0080024 CAIRNS, PATTY JEAN 75.00 89118 RFND ANIMAL LIC OL 00766 04/09 AJ 10/10/08 OL OL RECEIPTS 27.00 OL 00808 04/09 AJ 10/13/08 OL OL RECEIPTS 145.00 CR 00805 04/09 CR 10/13/08 0004679 NEW AL & CK REQ REFUND FO 75.00 KBLONDELL 10/13/08 01 OL 00817 04/09 AJ 10/14/08 OL OL RECEIPTS 47.00 OL 00824 04/09 AJ 10/15/08 OL OL RECEIPTS 158.00 OL 00830 04/09 AJ 10/16/08 OL OL RECEIPTS 135.00 CR 00827 04/09 CR 10/16/08 0004964 LIC PEN-RCAS-101500032220 20.00 MMENDOZA 10/16/08 01 OL 00837 04/09' AJ 10/17/08 OL OL RECEIPTS 16.00 OL 00844 04/09 AJ 10/20/08 OL OL RECEIPTS 52.00 GM 00886 04/09 AP 10/20/08 0080280 NOVAK, HELEN 4.00 ANIMAL LIC REFUND OL 00864 04/09 AJ 10/21/08 OL OL RECEIPTS " 187.00 CR 00860 04/09 CR 10/21/08 0005176 2 NEW AL & CK REQ OVERPY 4.00 KBLONDELL 10/21/08 01 CR, 00860 04/09 CR 10/21/08 0005183 NEW-AL & IMP FEES & PENAL 20.00 KBLONDELL 10/21/08 01 CR 00860 04/09 CR 10/21/08 0005185 NEW AL & IMP FEES & PENAL 20.00 •KBLONDELL 10/21/08 01 OL 00883 04/09 AJ 10/22/08 OL OL RECEIPTS 119.00 OL 00909 04/09 AJ 10/23/08 OL OL RECEIPTS 55.00 CR 00905 04/09 CR 10/23/08 0005383 BL RNEW 08-10504 & CK REQ 16.00 KBLONDELL 10/23/08 01 OL 00916 0.4/09 AJ 10/24/08 OL OL RECEIPTS 60.00 GM 00886 04/09 AP 10/24/08 0080327 WOOD, TRACY 8.00 ANIMAL LIC REFUND OL 00922 04/09 AJ 10/27/08 OL OL RECEIPTS 190.00 GM 00894 04/09 AP 10/27/08 0079895 RIVERSIDE COMMUNITY HEALT 20.00 PREPARED ua.,12/2010, 9:26:27 GENERAL LEDGEk m� IVITY LISTING' rAWt 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 101-5000-322.20-00 Non -Business Licenses / Animal Licenses 091608 ANIMAL PENALTY REFUND OL 00929 04/09 AJ 10/28/08 OL OL RECEIPTS 83.00 OL 00944 04/09 AJ 10/29/08 OL OL RECEIPTS 97.00 OL 00952 04/09 AJ 10/30/08 OL OL RECEIPTS 29.00 'OL 00996 05/09 AJ 11/03/08 OL OL RECEIPTS 150.00 OL 01003 05/09 AJ 11/04/08 OL OL RECEIPTS 166.00 OL 01010 05/09 AJ 11/05/08 OL OL RECEIPTS 75.00 OL 01017 05/09 AJ 11/06/08 OL OL RECEIPTS 22.00 OL 01075 05/09 AJ 11/07/08 OL OL RECEIPTS - 107.00 OL 01087 05/09 AJ 11/10/08 OL OL RECEIPTS 257.00 OL 01087 05/09 AJ 11/12/08 OL OL RECEIPTS 69.00 OL 01097 05/09 AJ 11/13/08 OL OL RECEIPTS 83.00 OL 01104 05/09 AJ 11/14/08 OL OL RECEIPTS 38.00 OL 01121 05/09 AJ 11/18/08 OL OL RECEIPTS 43.00 OL 01128 05/09 AJ 11/19/08 OL OL RECEIPTS 266.00 OL 01135 05/09 AJ 11/20/08 OL OL RECEIPTS 148.00 OL 01142 05/09 AJ 11/21/08 OL OL RECEIPTS 30.00 OL 01148 05/09 AJ 11/24/08 OL OL RECEIPTS 180.00 OL 01159 05/09 AJ 11/25/08 OL OL RECEIPTS 110.00 OL 01165 05/09 AJ 11/26/08 OL OL RECEIPTS 24.00 OL 01171 06/09 AJ 12%01/08 OL OL RECEIPTS 3.00 OL 01179 06/09 AJ 12/02/08 OL OL RECEIPTS 42.50 OL 01197 06/09 AJ 12/03/08 OL OL RECEIPTS 85.00 OL 01225 06/09 AJ 12/04/08 OL OL RECEIPTS 79.00 OL 01232 06/09 AJ 12/05/08 OL OL RECEIPTS 11.00 OL 01238 06/09 AJ 12/08/08 OL OL RECEIPTS 59.00 OL 01251 06/09 AJ 12/09/08 OL OL RECEIPTS 16.00 OL 01301 06/09 AJ 12/10/08 OL OL RECEIPTS 16.00 OL 01308 06/09 AJ 12/11/08 OL OL RECEIPTS 12.00 OL 01322 06/09 AJ 12/15/08 OL OL RECEIPTS 57.00 OL 01329 06/09 AJ 12/16/08 OL OL RECEIPTS 137.00 CR 01325 06/09 CR 12/16/08 0007941 NEW AL & IMP FEES & PEN 20.00 KBLONDELL 12/16/08 01 OL 01336 06/09 AJ 12/17/08 OL OL RECEIPTS 29.00 CR 01332 06/09 CR 12/17/08 0008036 AL RNEW 09-10785/1YR AL S 3.00 KBLONDELL 12/17/08 01 OL 01342 06/09 AJ 12/18/08 OL OL RECEIPTS 204.00 OL 01392 06/09 AJ 12/19/08 OL OL RECEIPTS 13.00 OL 01399 06/09 AJ 12/22/08 OL OL RECEIPTS 52.00 OL 01406 06/09 AJ 12/23/08 OL OL RECEIPTS 88.00 OL 01413 06/09 AJ 12/24/08 OL OL RECEIPTS 118.00 CR 01409 06/09 CR 12/24/08 0008579 NEW AL & IMP FEES & LIC P 20.00 KBLONDELL 12/24/08 01 OL 01421 06/09 AJ 12/29/08 OL OL RECEIPTS 64.00 OL 01427 06/09 AJ 12/30/08 OL OL RECEIPTS 75.00 OL 01434 06/09 AJ 12/31/08 OL OL RECEIPTS 48.00 OL 01485 07/09 AJ 01/07/09 OL OL RECEIPTS 32.00• OL 01492 07/09 AJ 01/08/09. OL OL RECEIPTS 44.00 OL 01499 07/09. AJ 01/09/09 OL OL RECEIPTS 44.00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGEk A%.IVITY LISTING rAvt 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 -------------------------------------------------------------------------------------- -------- -------------- ------------------------ 101-5000-322.20-00 Non -Business Licenses / OL 01505 07/09 AJ 01/12/09 OL OL 01513 07/09 AJ 01/13/09 OL OL 01542 07/09 AJ 01/14/09 OL OL 01548 07/09 AJ 01/15/09 OL OL 01555 07/09 AJ 01/16/09 OL CR 01551 07/09 CR 01/16/09 0009575 CR 01551 07/09 CR 01/16/09 0009577 GM 01629 08/09 AP 01/16/09 0081553 LIC#103551 OL 01561 07/09 AJ 01/20/09 OL OL 01568 07/09 AJ 01/21/09 OL OL 01598 07/09 AJ 01/22/09 OL CR 01594 07/09 CR'01/22/09 0009939 GM 01576 07/09 OL 01605, 07/09 OL 01633 07/09 OL 01640 07/09 CR 01636 07/09 GM 01629 08/09 OL 01647 07/09 OL 01654 07/09 CR 01651 07/09 CR 01651 07/09 OL 01677 08/09 CR 01673 08/09 GM 01629 08/09 OL 01684 08/09 OL 01710 08/09 OL 01733 08/09 OL 01739 08/09 OL 01746 08/09 OL 01754 08/09 OL 01776 08/09 CR 01773 08/09 OL 01783 08/09 GM 01834 08/09 OL 01788 08/09 AP 01/22/09 0081425 21180 AJ 01/23/09 OL AJ 01/27/09 OL AJ 01/28/09 OL CR 01/28/09 0010226 AP 01/28/09 0081580 LIC#14066 AJ 01/29/09 OL AJ 01/30/09 OL CR 01/30/09 0010397 CR 01/30/09 0010473 AJ 02/02/09 OL CR 02/02/09 0010592 AP 02/02/09 0081622 LIC#10815 AJ 02/03/09 OL AJ 02/04/09 OL AJ 0.2/05/09 OL AJ 02/06/09"OL AJ 02/09/09 OL AJ 02/10/09 OL AJ 02/11/09 OL CR 02/11/09 0011351 AJ 02/12/09 OL AP 02/12/09 0081800 LIC#15836 AJ 02/13/09 OL Animal Licenses OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS AML LIC -BURR -101500032220 MMENDOZA 01/16/09 01 AML LIC -CORONA -1015000322 MMENDOZA 01/16/09 01 CORONA, SUSAN REFUND OL RECEIPTS OL RECEIPTS OL RECEIPTS AL RNEW & CK REQ OVERPAY KBLONDELL 01/22/09 01 REED, AUDREY RFD ANIMAL LIC OL RECEIPTS OL RECEIPTS OL RECEIPTS NEW AL&IMP&PEN/KNICKER,BOC KBLONDELL 01/28/09 01 HARMON, DANE REFUND OL RECEIPTS OL RECEIPTS NEW AL & IMP & PEN/TAPIA, KBLONDELL 01/30/09 01 BR 09-10815/RAGOGNETTI, C KBLONDELL 01/30/09 01 OL RECEIPTS NEW AL & AL RFND/HARMON, KBLONDELL 02/02/09 01 RAGOGNETTI, CAROL REFUND OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS OL RECEIPTS AL RNEW 09-11142/SVENDSEN KBLONDELL 02/11/09 01 OL RECEIPTS LANE, TERRANCE REFUND OL RECEIPTS 8.00 4.00 8.00 4.00 5.00 80.00 230.00 146.00 295.00 282.00 20.00 8.00 66.00 79.00 159.00 4.00 84.00 261.00 168.00 20.00 71.00 173.00 20.00 7.00 58.00 8.00 110.00 47.00 143.00 23.00. 185.00 150.00 ,143.00 3.00 64.00 158.00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 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• ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-322.20-00 Non -Business Licenses / Animal Licenses OL 01822 08/09 AJ 02/17/09 OL OL RECEIPTS CR 01818 08/09 CR 02/17/09 0011564 NEW AL & IMP & PEN/HUME, KBLONDELL 02/17/09 01 CR 01818 08/09 CR 02/17/09 0011553 BUS LIC MMENDOZA 02/17/09 01 GM 01834 08/09 AP 02/17/09 0081814 MOFFATT & NICHOL ENGINEER LIC#5055 REFUND OL 01829 08/09 AJ 02/18/09 OL OL RECEIPTS CR 01825 08/09 CR 02/18/09 0011661 LONG, HOWARD / BR 09-1094 KBLONDELL 02/18/09 01 CR 01825 08/09 CR 02/18/09 0011729 LANE, TERRANCE/AL RNEW & KBLONDELL 02/18/09 01 CR 01825 08/09 CR 02/18/09 0011655 AML LIC/CYPHERS MMENDOZA 02/18/09 01 CR 01825 08/09 CR 02/18/09 0011691 BUS LIC -JUST IN CASE MMENDOZA 02/18/09 01 GM 01834 08/09 AP 02/18/09 0081750 CYPHERS, LESLIE LIC#21053 REFUND GM 01834 08/09 AP 02/18/09 0081737 BRUSCA, JUSTIN M LIC#104124 REFUND• OL,01848 08/09 AJ 02/19/09 OL OL RECEIPTS OL 01856 08/09 AJ 02/20/09 OL OL RECEIPTS OL 01863 08/09 AJ 02/23/09 OL OL RECEIPTS GM 01880 09/09 AP 02/23/09 0082020 PHILLIPS, KIM LIC#14779 REFUND . OL 01869 08/09 AJ 02/24/09 OL OL RECEIPTS OL 01886 08/09 AJ 02/25/09 OL OL RECEIPTS OL 01900 08/09 AJ 02/26/09 OL OL RECEIPTS GM 01880 09/09 AP 02/26/09 0082004 MESA, SHERRY LIC#21197 REFUND OL 01929 09/09 AJ 03/02/09 OL OL RECEIPTS CR 01922 09/09 CR 03/02/09 0012451 AL RNW 09-12726 & 12727/N KBLONDELL 03/02/09 01 OL 01929 09/09 AJ 03/03/09 OL OL RECEIPTS CR 01926 09/09 CR 03/03/09 0012567 AL RNEW & CK REQ RFND/PHI KBLONDELL 03/03/09 01 OL 01951 09/09 AJ 03/04/09 OL OL RECEIPTS CR 01948 09/09 CR 03/04/09 0012657 MESA, SHERRY/AL RNEW & CK KBLONDELL 03/04/09 01 OL 01996 09/09 AJ 03/05/09 OL OL RECEIPTS OL 02003 09%09 AJ 03/06/09 OL OL RECEIPTS OL 02009 09/09 AJ 03/09/09 OL OL RECEIPTS OL 02017 09/09 AJ 03/10/09 OL OL RECEIPTS OL 02031 09/09 AJ 03/12/09 OL OL RECEIPTS OL 02037 09/09 AJ 03/13/09 OL OL RECEIPTS OL 02043 09/09 AJ 03/16/09 OL OL RECEIPTS OL 02050 09/09 AJ 03/17/09 OL OL RECEIPTS OL 02079 09/09 AJ 03/19/09 OL OL'RECEIPTS OL 02085 09/09 AJ 03/20/09 OL OL RECEIPTS 3.00 4.00 3.00 4.00 4.00 383.00 20.00 3.00 96.00 3.00 5.00 4.00 3.00 25.00 277.00 16.00 220.00 28.00 195.00 123.00 6.00 48.00 4.00 60.00 4.00 34.00 324.00 194.00 42.00 351.00 49.00 48.00 115.00 177.00 248.00 PREPAREL __/12/2010, 9:26:27 GENERAL LEDGEk mtrIVITY LISTING PAGE 909 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP -------------------------------------------------------------------------------------------------=---------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-322.20-00 Non -Business Licenses / Animal Licenses OL 02093 09/09 AJ 03/23/09 OL OL RECEIPTS 93.00 OL 02100 09/09 AJ 03/24/09 OL OL RECEIPTS 28.00 OL 02109 09/09 AJ 03/25/09 OL OL RECEIPTS 227.00 OL 02134 09/09 AJ 03/26/09 OL OL RECEIPTS 401.00 OL 02141 09/09 AJ 03/27/09 OL OL RECEIPTS 154.00 OL 02155 09/09 AJ 03/31/09 OL OL RECEIPTS 323.00 OL 02185 10/09 AJ 04/01/09 OL OL RECEIPTS 164.00' OL 02192 10/09 AJ 04/02/09 OL UL RECEIPTS 328.00 OL 02202 10/09 AJ 04/06/09 OL OL RECEIPTS 110.00 OL 02208 10/09 AJ 04/07/09 OL OL RECEIPTS 310.00 OL 02219 10/09 AJ 04/08/09 OL OL RECEIPTS 375.00 CR 02216 10/09 CR 04/08/09 0014748 NEW AL & PEN & IMP/OCHOA, 20.00 KBLONDELL 04/08/09 01 OL 02244 10/09 AJ 04/09/09 OL OL RECEIPTS 79.00 OL 02250 10/09 AJ 04/10/09 OL OL RECEIPTS 305.00 OL 02256 10/09 AJ 04/13/09 OL OL RECEIPTS 117.00 OL 02286 10/09 AJ 04/14/09 OL OL RECEIPTS 181.00 CR 02283 10/09 CR 04/14/09 0015124 RYAN, RHONDA/AL RNEW 09-1 8.00 KBLONDELL 04/14/09 01 OL 02293 10/09 AJ 04/15/09 OL OL RECEIPTS 100.00 OL 02299 10/09 AJ 04/16/09 OL OL RECEIPTS 134.00 GM 02275 10/09 AP 04/16/09 0082593 CRISPO, DR & MRS GEORGE F 4.00 AL#14383 REFUND OL 02305 10/09 AJ 04/17/09 OL OL RECEIPTS 42.00 CR 02302 10/09 CR 04/17/09 0015300 AML LIC-CRISPO 4.00 MMENDOZA 04/17/09 01 OL 02312 10/09 AJ 04/20/09 OL OL RECEIPTS 95.00 OL 02319 10/09 AJ 04/21/09 OL OL RECEIPTS 260.00 OL 02327 10/09 AJ 04/22/09 OL OL RECEIPTS 86.00 OL 02362 10/09 AJ 04/23/09 OL OL RECEIPTS 392.00 OL 02368 10/09 AJ 04/24/09 OL OL RECEIPTS 234.00 CR 02365 10/09 CR 04/24/09 0015757 NEW AL 1YR UNALT/NIETO, S 20.00 KBLONDELL 04/24/09 01 OL 02375 10/09 AJ 04/27/09 OL OL RECEIPTS 147.00 OL 02382 10/09 AJ 04/28/09 OL OL RECEIPTS 130.00 OL 02388 1.0/09 AJ 04/29/09 OL OL RECEIPTS 33.00 OL 02395 10/09 AJ 04/30/09 OL OL RECEIPTS 128.00 OL 02415 11/09 AJ 05/01/09 OL OL RECEIPTS 135.00 OL 02421 11/09 AJ 05/04/09 OL OL RECEIPTS 37.00 OL 02428 11/09 AJ 05/05/09 OL OL RECEIPTS 277.00 OL 02480 11/09 AJ 05/06/09 OL OL RECEIPTS 232.00 GM 02459 11/09 AP 05/06/09 0082844 LEIN, KAREN 5.00 AL#15864 REFUND OL 02486 11/09 AJ 05/07/09 OL OL RECEIPTS 114.00 OL 02497 11/09 AJ 05/11/09 OL OL RECEIPTS 102.00 CR 02493 11/09 CR 05/11/09 0016591 AML LIC-SMITH, CATHY 9.00 MMENDOZA 05/11/09 01 GM 02499 11/09 AP 05/11/09 0083082 SMITH, CATHERINE 9.00 AL#40927 REFUND PREPAREL .-/12/2010, 9:26:27 GENERAL LEDGEk H%.rIVITY LISTING PAGE 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 101-5000-322.20-00 Non -Business Licenses / Animal Licenses OL 02505 11/09 AJ 05/12/09 OL OL RECEIPTS 225.00 OL 02511 11/09 AJ 05/13/09 OL OL RECEIPTS 129.00 CR 02508 11/09 CR 05/13/09 0016736 AL RNEW 09-13006/NETTLE,P 8.00 KBLONDELL 05/13/09 01 OL 02518 11/09 AJ 05/14/09 OL OL RECEIPTS 316.00 CR 02514 11/09 CR 05/14/09 0016829 NEW AL & PEN & IMP/GALCER 20.00 KBLONDELL 05/14/09 01 OL 02533 11/09 AJ 05/15/09 OL OL RECEIPTS 372.50 CR 02530 11/09 CR 05/15/09 0016905 AL RNEW & OVRPYMNT REF/LI 5.00 KBLONDELL 05/15/09 01 OL 02540 11/09 AJ 05/18/09 OL OL RECEIPTS 62.00 OL 02548 11/09 AJ 05/19/09 OL OL RECEIPTS 487.00 OL 02558 11/09 AJ 05/20/09 OL OL RECEIPTS 10.00 CR -02554 11/09 CR 05/20/09 0017130 2 AML LIC-BUTVIDAS 4.00 MMENDOZA 05/20/09 01 GM 02581 11/09 AP 05/20/09 0083006 CORTEZ, JESUS 8.00 AL#40891/2 REFUND GM 02581 11/09 AP 05/20/09 0082987 BUTVIDAS, MICHAEL & BARBA 4.00 AL#40950 REFUND OL 02598 11/09 AJ 05/21/09 OL OL RECEIPTS 132.00 CR 02594 11/09 CR 05/21/09 0017156 2 AML LIC-CORTEZ, JESUS 8.00 MMENDOZA 05/21/09 01 CR 02594 11/09 CR 05/21/09 0017220 3 AML LIC -ANDERSEN 20.00 MMENDOZA 05/21/09 01 GM 02581 11/09 AP 05/21/09 0082979 ANDERSEN, SHEILA 20.00 AL#16778/9 REFUND OL 02605 11/09 AJ 05/22/09 OL OL RECEIPTS 396.00 OL 02611 11/09 AJ 05/26/09.OL OL RECEIPTS 115.00 CR 02608 11/09 CR 05/26109 0017411 NEW AL & IMP & PEN/OCHOA, 20.00 KBLONDELL 05/26/09 O1". OL 02617 11/09 AJ 05/27/09 OL OL RECEIPTS 200.00 CR 02614 11/09 CR 05/27/09 0017434 NEW AL & IMP & PEN/RENTER 20.00 KBLONDELL 05/27/09 01 GM 02662 12/09 AP 05/27/09 0083231 RAZOOK, RUTH 12.00 AL#16787/21234 REFUND OL 02624 11/09 AJ 05/28/09 OL OL RECEIPTS 201.00 OL 02637 11/09 AJ 05/29/09 OL OL RECEIPTS 272.00 OL 02644 12/09 AJ 06/01/09 OL OL RECEIPTS 257.00 OL 02670 12/09 AJ 06/02/09 OL OL RECEIPTS 254.00 CR 02667 12/09 CR 06/02/09 0017780 2 NEW AL & CK REQ RFND/RA 12.00 KBLONDELL 06/02/09 01 OL 02677 12/09 AJ 06/03/09 OL OL RECEIPTS 123.00 OL 02701 12/09 AJ 06/04/09 OL OL RECEIPTS 117.00 CR.02698 12/09 CR 06/04/09 0018062 AL FEE RETURN -CK REQ/JONE 16.00 KBLONDELL 06/04/09 01 CR 02698 12/09 CR 06/04/09 0018063 AL FEE RETURN -CK REQ/RIVE 16.00 KBLONDELL 06/04/09 01 GM 02683 12/09 AP 06/04/09 0083234 RIVERA, AARON 16.00 AL#40824 REFUND• ' PREPAREL --/12/2010, 9:26:27 GENERAL LEDGEk H%.rIVITY LISTING PAGE 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 101-5000-322.20-00 Non -Business Licenses / Animal Licenses GM 02683 12/09 AP 06/04/09 0083205 JONES, JEANNETTE 16.00 A639536-ZIP REFUND OL 02711 12/09 AJ 06/08/09 OL OL RECEIPTS 40.00 OL 02717 12/09 AJ 06/09/09 OL OL RECEIPTS 334.00 OL 02725 12/09 AJ 06/10/09 OL OL RECEIPTS 27.00 OL 02751 12/09 AJ 06/11/09 OL OL RECEIPTS 176.00 OL 02763 12/09 AJ 06/15/09 OL OL RECEIPTS 91.00 GM 02820 12/09 AP 06/15/09 0083391 DALL, BRENDA & QUINTON 28.00 AL#14895 REFUND OL 02770 12/09 AJ 06/16/09 OL OL RECEIPTS 84.00 CR 02766 12/09 CR 06/16/09 0018499 LEFORE/AL RNEW 09-13155/1 16.00 KBLONDELL 06/16/09 01 OL 02776 12/09 AJ 06/17/09 OL OL RECEIPTS 217.50 CR 02773 12/09 CR 06/17/09 0018538 SVENSSON, AL/AL RNEW 09-1 8.00 KBLONDELL 06/17/09 01 OL 02783 12/09 AJ 06/18/09 OL OL RECEIPTS 286.00 GM 02820 12/09 AP 06/18/09 0083441 JOYCE, KEN 4.00 AL#14917 REFUND GM 02829 12/09 AP 06/23/09 0083416 GIBSON, ALICE 18.00 AL#16840 RFUND OL 02826 12/09 AJ 06/24/09 OL OL RECEIPTS 212.00 CR 02822 12/09 CR 06/24/09'0018745 AL RNEW&CK REQ 09-11532/G 21.00 KBLONDELL 06/24/09 01 CR 02822 12/09 CR 06/24/09 0018749 NEW AL & REFUND/DALL, QUI 28.00 KBLONDELL 06/24/09 01 OL 02847 12/09 AJ 06/25/09 OL OL RECEIPTS 38.00 OL 02854 12/09 AJ 06/26/09 OL OL RECEIPTS 245.00 CR 02850 12/09 CR 06/26/09 0018843 NEW AL & OVRPY RFND/JOYCE 4.00 KBLONDELL 06/26/09 01 OL 02860 12/09 AJ 06/29/09 OL OL RECEIPTS 137.00 OL 02866 12/09 AJ 06/30/09 OL OL RECEIPTS 113.00 ACCOUNT TOTAL 604.00 30,091.50 29,487.50CR 101-5000-322.21-00 Non -Business Licenses / Driveway permits .00 CR 00083 01/09 CR 07/14/08 0000575 DRIVE PRMT 2201/CONTRERAS 30.00 KBLONDELL 07/14/08 01 CR 00169 01/09 CR 07/25/08 0001002 DRWY PERMIT 30.00 MMENDOZA 07/25/08 01 CR 00226 02/09 CR 08/01/08 0001205 BLDG PERMIT 30.00 MMENDOZA 08/01/08 01 CR 00415 02/09 CR 08/27/08 0002336 FELIX FLORES-DRWY PERMIT 30.00 MMENDOZA 08/27/08 01 CR 00500 03/09 CR 09/08/08 0002877 DRWY PERMIT-R & D CONCRET 30.00 MMENDOZA 09/08/08 01 CR 01156 05/09 CR 11/25/08 0007112 DRIVE PRMT/HOUDEK, GEORGE 30.00 KBLONDELL 11/25/08 01 CR 01418 06/09 CR 12/29/08 0008612 DRIVEWAY APPROACH 30.00 PREPAREL YJ/12/2010,- 9:26:27 AJ GENERAL LEDGEk w6rIVITY LISTING AJE 4-047 PAGE 912 PROGRAM GM362LA 06/09 CR 12/02/08 0007286 IST QTR FIRE SVC AGRMT/RV CITY OF LA QUINTA, CALIFORNIA DMARTIN 12/02/08 01 ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund AJ 02/28/09 AJE8-024 BEGINNING GROUP ACCTG ----TRANSACTION---- CR 03/11/09 0013086 NOV 1,2008-JAN.31, 2009 /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-322.21-00 AJ Non -Business Licenses / Driveway permits GM 02950 12/09 AJ 06/30/09 AJE 12-086 FIRE SERV COSTS 4TH QR109 CASHVO 12/29/08 01 02961 12/09 CR 01437 07/09 CR 01/05/09 0008762 DRIVE PRMT 2215/ISLAS, V 30.00 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 KBLONDELL 01/05/09 01 KBLONDELL 02/02/09 CR 01882 08/09 CR 02/25/09 0012182 DRWY PERMIT 30.00 0012178 COPIES .95 MMENDOZA 02/25/09 01 CR 01906 08/09 CR 02/27/09 0012359 DRWY PERMIT-STYER 30.00 MMENDOZA 02/27/09 01 CR 02296 10/09 CR 04/16/09 0015279 DRWY-JULIO SILVAS 30.00 MMENDOZA 04/16/09 01 CR 02315 10/09 CR 04/21/09 0015517 BL FEES 30.00 MMENDOZA 04/21/09 01 CR 02594 11/09 CR 05/21/09 0017170 DRIVEWAY APPROACH PERMIT 30.00 CASHVO 05/21/09 01 CR 02608 11/09 CR 05/26/09 0017350 DRWY-JZ CONCRETE #2208 30.00 MMENDOZA 05/26/09 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 01035 04/09 AJ 10/31/08 AJE 4-047 FIRE COSTS IST QTR '09 CR 01174 06/09 CR 12/02/08 0007286 IST QTR FIRE SVC AGRMT/RV DMARTIN 12/02/08 01 GM 01887 08/09 AJ 02/28/09 AJE8-024 FIRE SERVICE COST -2ND QTR CR 02020 09/09 CR 03/11/09 0013086 NOV 1,2008-JAN.31, 2009 KBLONDELL 01/15/09 01 CASHVO 03/11/09 01 .GM 02408 10/09 AJ 04/30/09 AJE 10-033 FIRE SERVICE COST -3RD QTR GM 02950 12/09 AJ 06/30/09 AJE 12-086 FIRE SERV COSTS 4TH QR109 GM 02961 12/09 AJ 06/30/09 AJE 12-097 RECLASS TO CORRECT ACCOUN GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 ACCOUNT TOTAL 420.00. 7.35,912.34 74,805.75 1,335,886.76 16,810.96 1,013,591.87 807,841.22 126,873.16- 95,142.50 26,873.1695,142.50 4,206,864.56 420.000R .00 .00 .00 4,206,864.56CR 101-5000-341.50-00 General Government / Sales Maps/Copies/Public. .00 CR 01162 05/09 CR 11/26/08 0007185 COPIES 12.05 MMENDOZA 11/26/08 01 CR 01545 07/09 CR 01/15/09 0009550 COPY CHARGES - BLDG & SFT 6.95 KBLONDELL 01/15/09 01 CR 01628 07/09 CR 01/27/09 0010153 COPIES .95 MMENDOZA 01/27/09 01 CR 01673 08/09 CR 02/02/09 0010608 B & S COPY FEES/ 3.00 KBLONDELL 02/02/09 01 CR 01882 08/09 CR 02/25/09 0012178 COPIES .95 PREPAREL ..../12/2010, 9:26:27 GENERAL LEDGEk A6rIVITY LISTING for Services PAGE 913 PROGRAM GM362LA 00720 04/09 AP CITY OF LA QUINTA, CALIFORNIA 0079978 DEPARTMENT OF CONSERVATIO RECEIPTS ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund 00010 01/09 BEGINNING GROUP ACCTG ----TRANSACTION---- FEES -QTR ENDING GM /ENDING APP NUMBER PER. CD DATE NUMBER ------------------------------------------------------------------------------------------------------------------------------------ D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-341.50-00 General Government / Sales Maps/Copies/Public. BP RECEIPTS BP MMENDOZA 02/25/09 01 01/09 QTRLY FEE 10/1-12/31/08 CR 02418 11/09 CR 05/04/09 0016172 COPY CHARGES/SANIN, EDDIE 2.20 AP 04/06/09 KBLONDELL 05/04/09 01 DEPARTMENT OF CONSERVATIO AJ CR 02634. 11/09 CR 05/29/09 0017629 COPY CHARGES - BLDG & SFT 24.70 040609 BP KBLONDELL 05/29/09 01 GM 02886 CR 02698 12/09 CR 06/04/09 0018089 PRECISE GRADING 3.50 0083601 DEPARTMENT OF CONSERVATIO CASHVO 06/04/09 01 01/09 AJ CR 02793 12/09 CR 06/22/09 0018709 COPIES 1.25 MAPING FEES 4/09-6/09 BP MMENDOZA 06/22/09 01 01/09 AJ ACCOUNT TOTAL 101-5000-342.81-00 Charges for Services / SMIP fees GM 00720 04/09 AP 10/02/08 0079978 DEPARTMENT OF CONSERVATIO RECEIPTS BP 00010 01/09 093008 07/01/08 FEES -QTR ENDING GM 01472 07/09 AP 01/12/09 0081261 DEPARTMENT OF CONSERVATIO BP BP RECEIPTS BP 011209 01/09 QTRLY FEE 10/1-12/31/08 GM 02176 10/09 AP 04/06/09 0082371 DEPARTMENT OF CONSERVATIO AJ 07/02/08 BP BP 040609 BP SEISMIC MAP/MOTION INSTR GM 02886 12/09 AP 06/30/09 0083601 DEPARTMENT OF CONSERVATIO 00024 01/09 AJ 07/03/08 070609 BP MAPING FEES 4/09-6/09 ACCOUNT TOTAL 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS BP 00010 01/09 AJ 07/01/08 BP BP RECEIPTS BP 00016 .01/09 AJ 07/02/08 BP BP RECEIPTS BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS BP 00016 01/09 AJ 07/02/08 BP BP RECEIPTS BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS BP 00024 01/09 AJ 07/03/08 BP BP RECEIPTS BP 00031 01/09 AJ 07/07/08 BP BP RECEIPTS BP 00040 01/09 AJ 07/08/08 BP BP RECEIPTS BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS BP 00047 01/09 AJ 07/09/08 BP BP RECEIPTS BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS BP 00057 01/09 AJ 07/10/08 BP BP RECEIPTS BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS BP 00064 01/09 AJ 07/11/08 BP BP RECEIPTS BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS BP 00084 01/09 AJ 07/14/08 BP BP RECEIPTS CR 00083 01/09 CR 07/14/08 0000577 PLAN CK FEES/NEW DIVISION KBLONDELL 07/14/08 01 BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS BP 00091 01/09 AJ 07/15/08 BP BP RECEIPTS 55.55 283.42 89.72 27.93 81.48 482.55 2,627.89 122.80 6:00 1,545.81 33.00 274.30 273.55 9,842.50 4,463.08 114.83 . 325.25 198.51 165.05 189.80 489.53 105.00 398.19 5.63 437.50 707.42 133.94 55.55CR .00 482.55CR .00 PREPAREL va/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 914 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 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 00109 01/09 AJ 07/16/08 BP BP RECEIPTS 9.75 BP 00109 01/09 AJ 07/16/08 BP BP RECEIPTS 85.80 BP 00116 01/09 AJ 07/17/08 BP BP RECEIPTS 851.55 BP 00135 01/09 AJ 07/18/08 BP BP RECEIPTS 514.68 BP 00141 01/09 AJ 07/21/08 BP BP RECEIPTS 650.94 BP 00148 01/09 AJ 07/22/08 BP BP RECEIPTS 11158.53 BP 00154 01/09 AJ 07/23/08 BP BP RECEIPTS 982.42 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 2,545.10 BP 00163 01/09 AJ 07/24/08 BP BP RECEIPTS 238.84 BP 00170 01/09 AJ 07/25/08 BP BP RECEIPTS 136.19 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 216.16 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 43.91 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 160.55 BP 00183 01/09 AJ 07/28/08 BP BP RECEIPTS 673.18 BP 00198 01/09 AJ 07/29/08 BP BP RECEIPTS 16.89 BP 00207 01/09 AJ 07/30/08 BP BP RECEIPTS 338.90 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 518.10 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 166.25 BP 00221 01/09 AJ 07/31/08 BP BP RECEIPTS 1,693.84 BP 00227 02/09 AJ 08/01/08 BP BP RECEIPTS 2,010.78 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 1,015.36 BP 00235 02/09 AJ 08/04/08 BP BP RECEIPTS 276.90 CR 00234 02/09 CR 08/04/08 0001228 GRADING -TRILOGY LQ 31000.00 MMENDOZA 08/04/08 01 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 448.41 BP 00248 02/09 AJ 08/05/08 BP BP RECEIPTS 166.40 BP 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 356.47 BP. 00306 02/09 AJ 08/08/08 BP BP RECEIPTS 1,197.87 CR 00305 02/09 CR 08/08/08 0001509 GRADING PLANS/TRILLOGY 2 70.00 KBLONDELL 08/08/08 01 BP 00286 02/09 AJ 08/11/08 BP- BP RECEIPTS 488.86 BP 00293 02/09 AJ 08/12/08 BP, BP RECEIPTS 1,528.91 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 1,777.73 BP 00293 02/09 AJ 08/12/08 BP BP RECEIPTS 981.04 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 101.00 BP 00300 02/09 AJ 08/13/08 BP BP RECEIPTS 621.09 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 564.47 BP 00318 02/09 AJ 08/15/08 BP BP RECEIPTS 198.43 BP 00335 02/09 AJ 08/18/08 BP BP RECEIPTS 39.72 BP 00335 02/09 AJ 08/18/08 BP BP RECEIPTS 58.50 BP 00341 02/09 AJ 08/19/08 BP BP RECEIPTS 51.57 BP 00341 02/09 AJ 08/19/08 BP BP RECEIPTS 46.20 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 827.67 BP 00373 02/09 AJ 08/20/08 BP BP RECEIPTS 569.50 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 413.23 BP 00380 02/09 AJ 08/21/08 BP BP RECEIPTS 1,654.98 BP 00387 02/09 AJ 08/22/08 BP BP RECEIPTS 52.65 BP 00387 02/09 AJ 08/22/08 BP BP RECEIPTS 110.63 BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 1,518.45 BEGINNING /ENDING BALANCE PREPAREL /12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 915 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 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 00394 02/09 AJ 08/25/08 BP BP RECEIPTS 93.30 BP 00400 02/09 AX 08/26/08 BP BP RECEIPTS 531.30 BP 00400 02/09 AJ 08/26/08 BP BP RECEIPTS 244.05 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 966.37 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 1,348.93 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 353.69 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 140.00 BP 00416 02/09 AJ 08/27/08 BP BP RECEIPTS 2,062.90 BP 00423 02/09 AJ 08/28/08.BP BP RECEIPTS 7.63 BP 00423 02/09 AJ 08/28/08 BP BP RECEIPTS 518.50 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 9.75 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 1,468.20 BP 00448 02/09 AJ 08/29/08 BP BP RECEIPTS 1,126.11 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 414.19 BP 00455 03/09 AJ 09/02/08 BP BP RECEIPTS 105.30 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 748.88 BP 00465 03/09 AJ 09/03/08 BP BP RECEIPTS 259.00 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 517.62 BP 00472 03/09 AJ 09/04/08 BP BP RECEIPTS 17.07 BP 00481 03/09' AJ 09/05/08 BP BP RECEIPTS 519.88 BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS 1,427.37 BP 00501 03/09 AJ 09/08/08 BP BP RECEIPTS 110.18 BP 00509 03/09 AJ 09/09/08 BP BP RECEIPTS 392.85 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 5.63 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 50.70 BP 00540 03/09 AJ 09/10/08 BP BP RECEIPTS 5,048.75 BP 00547 03/09 AJ 09/11/08 BP BP RECEIPTS 167.90 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 494.45 BP 00554 03/09 AJ 09/12/08 BP BP RECEIPTS 750.00 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 197.87 BP 00560 03/09 AJ 09/15/08 BP BP RECEIPTS 457.11 BP 00565 03/09 AJ 09/16/08 BP BP RECEIPTS 473.47 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 672.10 BP 00571 03/09 AJ 09/17/08 BP BP RECEIPTS 8.25 BP 00577 03/09 AJ 09/18/08 BP BP RECEIPTS 8.25 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 12.00 BP 00609 03/09 AJ 09/19/08 BP BP RECEIPTS 2,371.37 BP 00609 03/09 AJ 09/19/08•BP BP RECEIPTS 81995.16 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 474.33 BP 00616 03/09 AJ 09/22/08 BP BP RECEIPTS 379.60 BP 00623 03/09 AJ'09/23/08 BP BP RECEIPTS 158.23 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 987.31 BP 00630 03/09 AJ 09/24/08 BP BP RECEIPTS 904.30 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 366.67 BP 00640 03/09 AJ 09/25/08 BP BP RECEIPTS 796.93 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 76.05 BP 00647 03/09 AJ 09/26/08 BP* BP RECEIPTS 282.79 BP 00647 03/09 AJ 09/26/08 BP BP RECEIPTS 5,705.45 BP 00653 03/09 AJ 09/29/08 BP BP RECEIPTS 490.43 BEGINNING /ENDING BALANCE PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 916 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 101-5000-342.82-00 BP 00661 03/09 AJ BP 00661 03/09 AJ BP 00696 04/09 AJ BP 00702 04/09 AJ BP 00702 04/09 AJ BP 00709 04/09 AJ BP 00709 04/09 AJ BP 00727 04/09 AJ BP 00734 04/09 AJ BP 00748 04/09 AJ BP 00748 04/09 AJ BP 00755 04/09 AJ BP 00755 04/09 AJ BP 00763 04/09 AJ BP 00763 04/09 AJ BP 00806 04/09 AJ BP 00814 04/09 AJ BP 00814 04/09 AJ BP 00814 04/09 AJ BP 00821 04/09 AJ BP 00821 04/09 AJ BP 00828 04/09 AJ BP 00834 04/09 AJ BP 00834 04/09 AJ BP 00841 04/09 AJ BP 00841 04/09 AJ BP 00862 04/09 AJ CR 00860 04/09 CR Charges 09/30/08 09/30/08 10/01/08 10/02/08 10/02/08 10/03/08 10/03/08 10/06/08 10/07/08 10/08/08 10/08/08 10/09/08 10/09/08 10/10/08 10/10/08 10/13/08 10/14/08 10/14/08 10/14/08 10/15/08 10/15/08 10/16/08 10/17/08 10/17/08 10/20/08 10/20/08 10/21/08 10/21/08 for Services 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 BP BP 0005236 BP 00880 04/09 AJ 10/22/08 BP BP 00880 04/09 AJ 10/22/08 BP BP 00906 04/09 AJ 10/23/08 BP BP 00906 04/09 AJ '10/23/08 BP BP 00913 04/09 AJ 10/24/08 BP BP 00920 04/09 AJ 10/27/08 BP CR 00919 04/09 CR 10/27/08 0005517 BP 00927 04/09 AJ 10/28/08 BP BP 00942 04/09 AJ 10/29/08 BP BP 00949 04/09 AJ 10/30/08 BP BP 00949 04/09 AJ 10/30/08 BP BP 00949 04/09 AJ 10/30/08 BP BP 00993 05/09 AJ 11/03/08 BP BP 01000 05/09 AJ 11/04/08 BP BP 01000 05/09 AJ 11/04/08 BP BP 01015 05/09 AJ 11/06/08 BP BP 01015 05/09 AJ 11/06/08 BP BP 01073 05/09 AJ 11/07/08 BP BP 01079 05/09 AJ 11/10/08 BP Plan Check Fees 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 BP RECEIPTS BP RECEIPTS ORCO BLOCK CO KBLONDELL 10/21/08 BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP. RECEIPTS PLAN CHECK -TOLL BROS MMENDOZA 10/27/08 BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP -RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS O1 O1 DEBITS CREDITS 6.00 852.27 426.48 159.01 392.33 635.93 463.42 3.75 147.11 1,202.97 49.25 1,893.17 202.17 129.80 89.04 846.43 4,696.85 495.19 160.55 210.93 857.09 644.75 9.75 206.70 44.89 •13.65 684.13 157.50 380.61 5.25 192.75 306.15 1,077.21 189.80 1,625.00 63.41 376.77 109.53 544.83 143.30 19.25 434.85 348.08 710.94 348.86 177.44 22.75 BEGINNING /ENDING BALANCE PREPAREL w4/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 917 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 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 01079 05/09 AJ 11/10/08 BP BP RECEIPTS 182.78 BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS 1,121.69 BP 01084 05/09 AJ 11/12/08 BP BP RECEIPTS 180.18 BP 01094 05/09 AJ 11/13/08 BP BP -RECEIPTS 58.50 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 949.33 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 84.81 BP 01102 05/09 AJ 11/14/08 BP BP RECEIPTS 235.25 BP 01111 05/09 AJ 11/17/08 BP BP RECEIPTS 180.28 BP 01111 05/09 AJ .11/17/08 BP BP RECEIPTS 295.43 BP 01111 05/09 AJ 11/17/08 BP •BP RECEIPTS 2,571.46 BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS 889.34 BP 01118 05/09 AJ 11/18/08 BP BP RECEIPTS 121.31 BP 01125 05/09 AJ 11/19/08 BP BP RECEIPTS 31051.10 BP 01125 05/09 AJ 11/19/08 BP BP RECEIPTS 52.65 BP 01133 05/09 AJ 11/20/08 BP BP RECEIPTS 1,034.88 BP 01139 05/09 AJ 11/21/08 BP BP RECEIPTS 72.56 BP 01146 05/09 AJ 11/24/08 BP BP RECEIPTS 85.80 BP 01157 05/09 AJ 11/25/08 BP BP RECEIPTS 402.70 BP 01163 05/09 AJ 11/26/08 BP BP RECEIPTS 2,192.34 BP 01169 06/09 AJ 12/,01/08 BP BP RECEIPTS 90.•15 BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS 63.11 BP 01176 06/09 AJ 12/02/08 BP BP RECEIPTS 183.95 BP 01195 06/09 AJ 12/03/08 BP BP RECEIPTS 557.53 BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS 10.63 BP 01222 06/09 AJ 12/04/08 BP BP RECEIPTS 194.03 BP 01230 06/09 AJ 12/05/08 BP BP RECEIPTS 210.93 BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS 476.33 BP 01249 06/09 AJ 12/09/08 BP BP RECEIPTS 5.63 BP 01298 06/09 AJ 12/10/08 BP BP RECEIPTS 233.32 BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS 489.55 BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS 145.43 BP 01306 06/09 AJ 12/11/08 BP BP RECEIPTS 1,213.88 BP 01313 06/09 AJ 12/12/08 BP BP RECEIPTS 3,451.51 BP 01320 06/09 AJ 12/15/08 BP BP RECEIPTS 1,406.38 BP 01327 06/09 'AJ 12/16/08 BP BP RECEIPTS 444.25 BP 01333 06/09 AJ 12/17/08 BP BP RECEIPTS 130.00 BP 01340 06/09 AJ 12/18/08 BP BP RECEIPTS 460.11 BP 01340 06/09 AJ 12/18/08 BP. BP RECEIPTS 562.48 BP 01396 06/09 AJ 12/22/08 BP BP RECEIPTS 1,325.84 BP 01403 06/09 AJ 12/23/08 BP BP RECEIPTS 1,030.52 BP 01410 06/09 AJ 12/24/08 BP BP RECEIPTS 7,066.92 BP 01425 06/09 AJ 12/30/08 BP BP RECEIPTS 52.65 BP 01425 06/09 AJ 12/30/08 BP BP RECEIPTS 3.75 BP 01431 06/09 AJ 12/31/08 BP BP RECEIPTS 1,769.90 BP 01438 07/09 AJ 01/05/09 BP BP RECEIPTS 1,284.57 BP 01475 07/09 AJ 01/06/09 BP BP RECEIPTS 376.38 BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS 209.38 BP 01482 07/09 AJ 01/07/09 BP BP RECEIPTS 122.63 BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS 7.88 BEGINNING /ENDING BALANCE PREPAREL /12/2010, 9:26:27 GENERAL LEDGEk m%.rIVITY LISTING PAGE 918 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 I O N 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01489 07/09 AJ 01/08/09 BP BP RECEIPTS BP 01497 07/09 AJ 01/09/09 BP BP RECEIPTS BP 01497 07/09 AJ 01/09/09 BP BP RECEIPTS BP 01510 07/09 AJ 01/13/09 BP BP RECEIPTS BP 01539 07/09 AJ 01/14/09 BP BP RECEIPTS BP 01546 07/09 AJ 01/15/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01552 07/09 AJ 01/16/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01559 07/09 AJ 01/20/09 BP BP RECEIPTS BP 01565 07/09 AJ 01/21/09 BP BP RECEIPTS BP 01595 07/09 AJ 01/22/09 BP BP RECEIPTS BP 01595 07/09 AJ 01/22/09 BP BP RECEIPTS BP 01610 07/09 'AJ 01/26/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01630 07/09 AJ 01/27/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01637 07/09 AJ 01/28/09 BP BP RECEIPTS BP 01644 07/09 AJ 01/29/09 BP BP RECEIPTS BP 01644 07/09 AJ 01/29/09 BP BP RECEIPTS BP 01652 07/09 AJ 01/30/09 BP BP RECEIPTS BP 01674 08/09 AJ 02/02/09 BP BP RECEIPTS BP 01674 08/09 AJ 02/02/09 BP BP RECEIPTS CR 01673 08/09 CR 02/02/09 0010581 PRECISE GRADING/TRILOGY a KBLONDELL 02/02/09 01 BP 01707 08/09 AJ 02/04/09 BP BP RECEIPTS BP 01730 08/09 AJ 02/05/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS BP 01737 08/09 AJ 02/06/09 BP BP RECEIPTS BP 01743 08/09 AJ 02/09/09 BP BP RECEIPTS BP 01743 08/09 AJ 02/09/09 BP BP RECEIPTS CR 01742 08/09 CR 02/09/09 0011243 LANDMRK RETAIL GRP/SPEARS KBLONDELL 02/09/09 01 GM 01755 08/09 AP 02/09/09 0081678 LANDMARK RETAIL GROUP, LL BP#08-1602 REFUND OVERPYMT BP 01774 08/09 AJ 02/11/09 BP BP RECEIPTS BP 01780 08/09 AJ 02/12/09 BP BP RECEIPTS BP 01786 08/09 AJ 02/13/09 BP BP RECEIPTS BP 01819 08/09 AJ 02/17/09 BP BP RECEIPTS BP 01819 08/09 AJ 02/17/09 BP BP RECEIPTS. BP 01826 08/09 AJ 02/18/09 BP BP RECEIPTS BP 01826 08/09 AJ 02/18/09• BP BP RECEIPTS CR 01825 08/09 CR 02/18/09 0011651 JOHNSON, EDWARD/CK REQ RE KBLONDELL 02/18/09 01 BP 01845 08/09 AJ 02/19/09 BP BP RECEIPTS GM 01834 08/09 AP 02/19/09 0081787 JOHNSON, EDWARD BP#08-0317 REFUND BP 01853 08/09 AJ 02/20/09 BP BP RECEIPTS DEBITS CREDITS 1,200.00 35.00 476.99 199.91 11.26 129.80 5.63 10.63 35.10 591.56 202.48 1,223.31 363.35 1,846.98 59.98 6.00 58.50 166.40 165.19 239.07 210.93 11.16 3.94 16.89 633.67 71.25 200.00 35.00 100.55 121.15 639.03 1', 060.80 99.45 1,200.00 42.00 554.49' 78.53 40.95 750.00 453.24 547.80 35.00 38.06 1,244.73 BEGINNING /ENDING BALANCE PREPAREL wJ/12/2010, 9:26:27 GENERAL LEDGEk AufIVITY LISTING PAGE 919 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 101-5000-342.82-00 Charges.for Services BP 01853 08/09 AJ 02/20/09 BP BP 01860 08/09 AJ 02/23/09 BP BP 01867 08/09 AJ 02/24/09 BP BP 01883 08/09 AJ 02/25/09 BP BP 01897 08/09 AJ 02/26/09 BP BP 01897 08/09 AJ 02/26/09 BP BP 01907 08/09 AJ 02/27/09 BP BP 01931 09/09 AJ 03/02/09 BP BP 01931 09/09 AJ 03/02/09 BP CR 01922 09/09 CR 03/02/09 0012449 BP 01932 09/09 AJ 03/03/09 BP BP 01949 09/09 AJ 03/04/09 BP BP 01949 09/09 AJ 03/04/09 BP BP 01994 09/09 AJ 03/05/09 BP BP 01994 09/09 AJ 03/05/09 BP BP 02000 09/09 AJ 03/06/09 BP BP 02000 09/09 AJ .03/06/09 BP CR 01999 09/09 CR 03/06/09 0012858 BP 02007 09/09 AJ 03/09/09 BP BP 02014 09/09 AJ 03/10/09 BP BP 02014 09/09 AJ 03/10/09•BP BP 02028 09/09 AJ 03/12/09 BP BP 02028 09/09 AJ 03/12/09 BP BP 02041 09/09 AJ 03/16/09 BP BP 02041 09/09 AJ 03/16/09 BP BP 02047 09/09 AJ 03/17/09 BP BP 02047 09/09 AJ 03/17/09 BP BP 02047 09/09 AJ 03/17/09 BP BP 02069 09/09 AJ 03/18/09 BP BP 02076 09/09 AJ 03/19/09 BP BP 02076 09/09 AJ 03/19/09 BP BP 02084 09/09 AJ 03/20/09 BP BP 02084 09/09 AJ 03/20/09 BP BP 02091 09/09 AJ 03/23/09 BP BP 02091 09/09 AJ 03/23/09 BP BP 02097 09/09 AJ 03/24/09 BP BP 02097 09/09 AJ 03/24/09 BP GM 02123 09/09 AP 03/24/09 0082258 BP#09-0236 BP 02107 09/09 AJ 03/25/09 BP BP 02107 09/09 AJ 03/25/09 BP BP 02131 09/09 AJ 03/26/09 BP BP 02138 09/09 AJ 03/27/09 BP BP 02138 09/09 AJ 03/27/09 BP BP 02145 09/09 AJ 03/30/09 BP BP 02145 09/09 AJ 03/30/09 BP BP 02182 10/09 AJ 04/01/09 BP Plan Check Fees BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS IMP PLAN REV -GRIFFIN RANC MMENDOZA 03/02/09 01 BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS . BP RECEIPTS PRECISE GRADING/TRILOGY 2 KBLONDELL 03/06/09 01 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 MUNSEY, RYAN REFUND BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS BP RECEIPTS DEBITS CREDITS 58.50 20.19 21.19 800.09 1,758.46 675.94 92.70 4.50 95.75 345.15 200.00 278.38 8.25 111.42 2,269.78 183.95 3,000.00 331.03 200.00 136.03 406.48 254.48 699.40 412.45 1,025.47 58.50 191.06 392.99 212.23 269.75 19.50 398.73 920.17 73.98 214.50 232.05 16.25 285.38 83.65 99.45 779.41 362.56 103.39 4.50 591.12 4,386.78 BEGINNING /ENDING BALANCE PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEk AGrIVITY LISTING PAGE 920 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 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 02182 10/09 AJ 04/01/09 BP BP RECEIPTS BP 02189 10/09 AJ 04/02/09 BP BP RECEIPTS BP 02195 10/09 AJ 04/03/09 BP BP RECEIPTS BP 02205 10/09 AJ 04/07/09 BP BP RECEIPTS BP 02205 10/09 AJ 04/07/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS BP 02242 10/09 AJ 04/09/09 BP BP RECEIPTS BP 02254 10/09 AJ 04/13/09 BP BP RECEIPTS' BP 02284 10/09 AJ 04/14/09 BP BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02290 10/09 AJ 04/15/09 BP BP RECEIPTS BP 02297 10/09 AJ 04/16/09 BP BP RECEIPTS BP 02297 10/09 AJ 04/16/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02303 10/09 AJ 04/17/09 BP BP RECEIPTS BP 02310 10/09 AJ 04/20/09 BP BP RECEIPTS BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS BP 02316 10/09 AJ 04/21/09 BP BP RECEIPTS BP 02324 10/09 AJ 04/22/09 BP BP RECEIPTS BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS BP 02360 10/09 AJ 04/23/09 BP BP RECEIPTS CR 02358 10/09 CR 04/23/09 0015694 PRECISE GRADING/TRILOGY a KBLONDELL 04/23/09 01 GM 02330 10/09 AP 04/23/09 0082615 GLOBAL LIGHTING & ELECTRI PEMIT#9-275 REFUND BP 02366 10/09 AJ 04/24/09 BP BP RECEIPTS BP 02366 10/09 AJ 04/24/09 BP. BP RECEIPTS BP 02372 10/09 AJ 04/27/09 BP BP RECEIPTS BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS BP 02379 10/09 AJ 04/28/09 BP BP RECEIPTS BP 02386 10/09 AJ 04/29/09 BP BP RECEIPTS BP 02386 10/09 AJ 04/29/09 BP BP RECEIPTS CR 02385 10/09 CR 04/29/09 0015972 PREC GRADING/TOLL BROS IN KBLONDELL 04/29/09.01 BP 02392 10/09 AJ 04/30/09 BP. BP RECEIPTS BP 02392 10/09 AJ 04/30/09 BP BP RECEIPTS BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS BP 02413 11/09 AJ 05/01/09 BP BP RECEIPTS CR 02412 11/09 CR 05/01/09 0016130 PREC GRADING/SHEA HOMES I KBLONDELL 05/01/09 01 BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02419 11/09 AJ 05/04/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02426 11/09 AJ 05/05/09 BP BP RECEIPTS BP 02478 11/09 AJ 05/06/09 BP BP RECEIPTS BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS DEBITS CREDITS 4.50 404.68 126.68 148.99 5.63 1,000.00 100.13 482.85 646.90 773.27 570.32 2,536.33 808.58 58.50 237.48 151.23 1,027.00 1,207.63 3.94 715.35 8.25 71.63 35.00 3,000.00 324.48, 12.35 8.25 154.70 8.25 191.29 52.50 100.00 102.36 8.25 232.05 8.25 200.00 416.98 265.03 63.72 . 219.38 1,186.39 43.35 487.98 180.50 BEGINNING /ENDING BALANCE PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 921 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 101-5000-342.82-00 Charges for Services / Plan Check Fees BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS 8.25 •BP 02484 11/09 AJ 05/07/09 BP BP RECEIPTS 1,564.07 BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 192.50 BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 430.01 BP 02489 11/09 AJ 05/08/09 BP BP RECEIPTS 131.09 BP 02494 11/09 AJ 05/11/09 BP BP RECEIPTS 379.20 CR 02493 11/09 CR 05/11/09 0016624 SHEA HOMES -GRADING 3,000.00 MMENDOZA 05/11/09 01 BP 02502 11/09 AJ 05/12/09 BP BP RECEIPTS 52.65 BP 02502 11/09 AJ 05/12/09 BP BP RECEIPTS 4.50 BP 02509 11/09 AJ 05/13/09 BP BP RECEIPTS 496.03 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 2,485.37 BP 02515 11/09 AJ 05/14/09 BP BP RECEIPTS 71.21 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 202.55 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 244.73 BP 02531 11/09 AJ 05/15/09 BP BP RECEIPTS 750.00 BP 02538 11/09 AJ 05/18/09 BP BP RECEIPTS 39.04 BP 02544 11/09 AJ 05/19/09 BP BP RECEIPTS 1,403.45 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 687.38 BP 02555 11/09 AJ 05/20/09 BP BP RECEIPTS 373.73 BP 02595 11/09 AJ 05/21/09 BP BP RECEIPTS 11000.00 GM 02563 11/09 AJ 05/22/09 JE 11-017 DESIGN FEES/SR CLUBHOUSE 5,704.28 BP 02602 11/09 AJ 05/22/09 BP BP RECEIPTS 8,546.33 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 195.38 BP 02615 11/09 AJ 05/27/09 BP BP RECEIPTS 342.23 BP 02622 11/09 AJ 05/28/09 BP BP RECEIPTS 274.29 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 476.78 BP 02635 11/09 AJ 05/29/09 BP BP RECEIPTS 279.25 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 6,748.28 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 12.75 BP 02642 12/09 AJ 06/01/09 BP BP RECEIPTS 55.05' BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS 8.25 BP 02668 12/09 AJ 06/02/09 BP BP RECEIPTS 485.94 CR 02667 12/09 CR 06/02/09 0017769 PREC GRADING/TRILOGY-SHEA 2,250.00 KBLONDELL 06/02/09 01 BP 02674 12/09 AJ 06/03/09 BP BP RECEIPTS 384.47 BP 02699 12/09 AJ 06/04/09 BP BP RECEIPTS 548.25 BP 02699 12/09 AJ 06/04/09 BP BP RECEIPTS 78.95 BP 02704 12/09 AJ 06/05/09 BP BP RECEIPTS 64.35 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 160.55 BP 02709 12/09 AJ 06/08/09 BP BP RECEIPTS 8.25 CR 02714 12/09 CR 06/09/09 0018251 SHEA HOMES/TRILOGY 300.00 KBLONDELL 06/09/09'01 CR 02714 12/09 CR 06/09/09 0018253 PREC GRADING/SHEA HOMES -T 300.00 KBLONDELL 06/09/09 01 BP 02722 12/09 AJ 06/10/09 BP BP RECEIPTS 8.25 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 418.40 BP 02749 12/09 AJ 06/11/09 BP BP RECEIPTS 76.48' BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS 148.85 BEGINNING /ENDING BALANCE PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk %6rIVITY LISTING FAUE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-342.82-00 Charges for Services / Plan•Check Fees BP 02754 12/09 AJ 06/12/09 BP BP RECEIPTS BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS BP 02760 12/09 AJ 06/15/09 BP BP RECEIPTS BP 02767 12/09 AJ 06/16/09 BP BP RECEIPTS BP 02774 12/09 AJ 06/17/09 BP BP RECEIPTS BP 02780 12/09 AJ 06/18/09 BP BP RECEIPTS BP 02786 12/09 AJ 06/19/09 BP BP RECEIPTS BP 02795 12/09 AJ 06/22/09 BP BP RECEIPTS BP 02815 12/09 AJ 06/23/09 BP BP RECEIPTS BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS BP 02845 12/09 AJ 06/25/09 BP BP RECEIPTS BP 02851 12/09 AJ 06/26/09 BP BP RECEIPTS BP 02858 12/09 AJ 06/29/09 BP BP RECEIPTS CR 02857 12/09 CR 06/29/09 0018936 BLDG PLAN CHECK-SHEA HOME MMENDOZA 06/29/09 01 BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS BP 02864 12/09 AJ 06/30/09 BP BP RECEIPTS ACCOUNT TOTAL 101-5000-342.85-00 Charges for Services / CBSC Admin Fee GM 02176 10/09 AP 04/08/09 0082367 CALIFORNIA BUILDING STAND 040809 1ST QTR ADMIN FEE GM 02886 12/09 AP 06/30/09 0083599 CALIFORNIA BUILDING STAND 070709 ADMIN FEES 4/09-6/09 ACCOUNT TOTAL 101-5000-351.01-00 Fines and Assessments / Admin Citations CR 00083 01/09 CR 07/14/08 0000580 DELINQ ADMN CIT REV/ST OF DMARTIN 07/14/08 01 GM 00245 01/09 AJ 07/31/08 JE 01-029 JUL108 ADMIN CITATION REV GM 00232 02%09 AP 08/05/08 0079222 ESTRADA, ERICA LQ071117 PARTIAL REFUND GM 00232 02/09 AP 08/05/08 0079225 FENADY, MARY FRANCES LQ07.1697 PARTIAL REFUND GM 00232 02/09 AP 08/05/08 0079269 PHILLIPS, KENNETH WALTER LQ070591 DEPOSIT REFUND GM 00232 02/09 AP 08/05/08 0079310 YOUNG, HARRIET MARILYN LQ070187 PARTIAL REFUND CR 00372 02/09 CR 08/20/08 0001981 ST OF CAL/DELINQ ADMN CIT DMARTIN 08/20/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS GM 00516 02/09 AJ 08/31/08 JE 02-•033 AUG108 ADMIN CITATION REV CR 00615 03/09 CR 09/22/08 0003772 DELINQ ADMN CIT REV/ST OF DMARTIN 09/22/08 01 GM 00783 03/09 AJ 09/30/08 JE 03-036 SEP108 ADMIN CITATION REV 1,298.00 100.00 50.00 50.00 250.00 1,250.00 123.95 227.18 382.25 194.69 286.00 80.83 1,396.65 5,316.68 313.43 60.90 20.75 722.39 836.10 3,750.00 175.10 87.3.63 268,972.28 31.70 83.90 115.60 1,250.00 4,086.00 2,416.73 4,550.00 114.00 3,200.00 267,674.28CR .00 115.60CR .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk MVrIVITY LISTING PAGE 923' PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ----------------------------------------------------------------------=------------------------------------------------------------- FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.01-00 Fines and Assessments / Admin Citations GM 01053 04/09 AJ 10/31/08 JE 04-055 OCT108 ADMIN CITATION REV 2,500.00 CR 01124 05/09 CR 11/19/08 0006819 DELINQ ADMN CIT REV/ST OF 450.00 DMARTIN 11/19/08 01 - GM 01255 05/09 AJ 11/30/08 JE 05-020 NOV108 ADMIN CITATION REV 1,170.00 GM 01214 06/09 AP 12/03/08 0080840 MUELA, MICHAEL L 50.00 LQ072205 CITATION DISMISSED GM 01214 06/09 AP 12/03/08 0080789 CARLIN, GERALD S 200.00 LQ071898 CITATION DISMISSED GM 01469 06/09 AJ 12/31/08 JE 06-051 DEC108 ADMIN CITATION REV 2,385.00 GM 01716 07/09 AJ 01/31/09 JE 07-031 JAN108 ADMIN CITATION REV 11550.00 GM 01880 09/09 AP 02/26/09 0081929 ALTENBERN, MICHELLE 100.00 CIT#LQ072223 REFUND GM 01940 08/09 AJ 02/28/09 JE 08-037 FEB109 ADMIN CITATION REV 2,200.00 GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR109 ADMIN CITATION REV 3,370.00 CR 02247 10/09 CR 04/10/09 0014991 DELINQ ADMN CIT REV/ST OF 2,685.00 DMARTIN 04/10/09 01 CR 02302 10/09 CR 04/17/09 0015337 DELINQ ADMN CIT REV/ST OF 5,870.50 DMARTIN 04/17/09 01 CR 02358 10/09 CR 04/23/09 0015644 DELINQ ADMN CIT REV/ST OF 5,807.00 DMARTIN 04/23/09 01 GM 02471 10/09 AJ 04/30/09 JE 10-039 APR'09 ADMIN CITATION REV 2,048.35 CR 02554 11/09 CR 05/20/09 0017168 DELINQ ADMN CIT REV/ST OF 3,912.79 - DMARTIN 05/20/09 01 GM 02684 11/09 AJ 05/31/09 JE 11-043 MAY109 ADMIN CITATION REV 2,483.33 GM 02886 12/09 AP 06/01/09 0083610 TYER, MERWYN N 330.00 LQ060517 ADMIN CITATION RFND CR 02850 12/09 CR 06/26/09 0018888 DELINQ ADMN CIT REV/ST OF 490.58 DMARTIN 06/26/09 01 GM 02925 12/09 AJ 06/30/09 JE 12-070 JUN109 ADMIN CITATION REV 3,430.01 GM 02925 12/09 AJ 06/30/09 JE 12-070 NSF/ADMN CIT/LABASTIDA 50.00 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 300.00 GM 02893 12/09 AP 06/30/09 0083617 BROWN, DALE P 10.00 LQ070491 CITATION REFUND GM 02893 12/09 AP 06/30/09 0083664 MINOR, GARY 64.00 LQ061281 CITATION REFUND GM 02893 12/09 AP 06/30/09 0083659 LOUKATOS, HARRY 50.00 LQ062515 CITATION REFUND GM 02893 12/09 AP 06/30/09 0083663 MARTINEZ, SANDRA K RAFAEL 63.00 LQ061587 CITATION REFUND ACCOUNT TOTAL 2,617.00 56,269.29 53,652.29CR 101-5000-351.02-00 Fines and Assessments / Lot Abatement .00 CE 00011 01/09 AJ 07/01/08 CE CE RECEIPTS 437.50 CE 00042 01/09 AJ 07/08/08 CE CE RECEIPTS 299.83 CE 00118 01/09 AJ 07/17/08 CE CE RECEIPTS 375.00 CR 00274 02/09 CR 08/06/08 0001429 APPORT PYU/SS3 RVRSD CNTY 125.00 DMARTIN 08/06/08 01 PREPARED u3/12/2010, 9:26:27 Assessments GENERAL LEDGEk AcfIVITY LISTING CR -00056 PAGE 924 PROGRAM GM362LA CR 07/10/08 0000455 3RD QTR FY 07/08 VEH ABAT VICR FEES 07/01/08 CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ DMARTIN 07/10/08 01 CR FUND 101 General Fund CR 08/04/08 0001258 RIVERSIDE COUNTY SHERIFF BEGINNING GROUP ACCTG ----TRANSACTION---- 0000344 VICR FEES 07/07/08 CASHVO 08/04/08 01 /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.02-00 Fines and Assessments / Lot Abatement CR MMENDOZA 08/19/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS 125.00 0002337 VICR FEE-RCSD CE 00958 04/09 AJ 10/31/08 CE' CE RECEIPTS . 100.00 MMENDOZA 08/27/08 01 GM 01580 07/09 AJ 01/26/09 JE 07-008 PROP TAX SSI RECD 1/22/09 13,502.04 REVERSE ACCRUALS CE 02154 09/09 AJ 03/31/09 CE CE RECEIPTS 562.50 4TH QTR 07/08 VEH ABATEME CE 02381 10/09 AJ 04/28/09 CE CE RECEIPTS 312.50 DMARTIN 09/19/08 01 CE 02504 11/09 AJ 05/12/09 CE CE RECEIPTS 437.50 RCSD VEH.IMP GM 02567 11/09 AJ 05/22/09 JE 11-021 SS2 PROP TAX RECD 5/18/09 15,970.81 MMENDOZA 11/24/08 01 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 674.43 IST QTR VEH ABATEMNT/RVRS ACCOUNT TOTAL 101-5000-351.03-00 Fines and Assessments / Vehicle Abatement CR -00056 CR 01/09 CR 07/10/08 0000455 3RD QTR FY 07/08 VEH ABAT VICR FEES 07/01/08 DMARTIN 07/10/08 01 CR 00234 02/09 CR 08/04/08 0001258 RIVERSIDE COUNTY SHERIFF 01/09 CR 07/08/08 0000344 VICR FEES 07/07/08 CASHVO 08/04/08 01 CR 00340 02/09 CR 08/19/08 0001798 VICR FEE-RCSD 07/08/08 01 CR 00140 01/09 CR MMENDOZA 08/19/08 01 CR 00415 02/09 CR 08/27/08 0002337 VICR FEE-RCSD DMARTIN 07/21/08 01 CR MMENDOZA 08/27/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS CR 00608 03/09 CR 09/19/08 0003705 4TH QTR 07/08 VEH ABATEME 07/25/08 01 CR 00292 02/09 CR DMARTIN 09/19/08 01 CR 01145 05/09 CR 11/24/08 0007048 RCSD VEH.IMP KBLONDELL 08/12/08 01 MMENDOZA 11/24/08 01 CR 01537 07/09 CR 01/14/09 0009504 IST QTR VEH ABATEMNT/RVRS DMARTIN 01/14/09 01 CR 02391 10/09 CR 04/30/09 0016091 VEH ABATE 2ND QTR/RVRS CN DMARTIN 04/30/09 01 CR 02714 12/09 CR 06/09/09 0018256 3RD QTR VEH ABATE/RVRSD C DMARTIN 06/09/09 O1 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 ACCOUNT TOTAL 101-5000-351.04-00 Fines and Assessments / Vehicle Impound fee CR 00039 01/09 CR 07/08/08 0000343 VICR FEES 07/01/08 KBLONDELL 07/08/08 01 CR 00039 01/09 CR 07/08/08 0000344 VICR FEES 07/07/08 KBLONDELL 07/08/08 01 CR 00140 01/09 CR 07/21/08 0000820 VICR FEES/RIVERSIDE CNTY/ DMARTIN 07/21/08 01 CR 00169 01/09 CR 07/25/08 0001003 VICR FEES 07/25/08 KBLONDELL 07/25/08 01 CR 00292 02/09 CR 08/12/08 0001565 VICR FEES 08/11/08 KBLONDELL 08/12/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS ' 125.00 6,924.64 6,924.64 600.00 32,797.11 6,924.64 1,600.00 1,200.00 1,300.00 5,894.08 1,200.00 4,483.84 3,941.44 6,924.64 744.00 34,212.64 600.00 600.00 2,500.00 800.00 2,100.00 32,672.11CR .00 27,288.000R .00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEK ALrIVITY LISTING PAGE 925 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.04-00 Fines and Assessments / Vehicle Impound fee CR 00539 03/09 CR 09/10/08 0003067 VICR FEES 09/02/08 11000.00 KBLONDELL 09/10/08 01 CR 00539 03/09 CR 09/10/08 0003068 VICR FEES 09/08/08 1,800.00 KBLONDELL 09/10/08 01 CR 00608 03/09 CR 09/19/08 0003629 VICR FEES 09/16/08 11900.00 KBLONDELL 09/19/08 01 CR 00615 03/09 CR 09/22/08 0003770 VICR FEES 09/22/08 1,200.00 KBLONDELL 09/22/08 01 CR 00659 03/09 CR 09/30/08 0004113 VICR FEES - 09/29/08 11900.00 KBLONDELL 09/30/08 01 CR 00733 04/09 CR 10/07/08 0004470 RCSD-VEH IMP FEES 1,800.00 MMENDOZA 10/07/08 01 CR 00827 04/09 CR 10/16/08 0005030 VICR - RCSD 1,400.00 MMENDOZA 10/16/08 01 CR 00879 04/09 CR 10/22/08 0005323 VICR FEE -GOLDSMITH 11500.00 MMENDOZA 10/22/08 01 CR 00926 04/09 CR 10/28/08 0005592 VICR FEES 10/27/.08 900.00 KBLONDELL 10/28/08 01 CR 00999 05/09 CR 11/04/08 0005926 RCSD VEH IMP 1,200.00 MMENDOZA 11/04/08 01 CR 01078 05/09 CR 11/10/08 0006282 VICR FEES 11/10/08 600.00 MANCILLA 11/10/08 01 CR 01109 05/09 CR 11/17/08 0006593 VICR 11/17/08 1,200.00 KBLONDELL 11/17/08 01 CR 01174 06/09 CR 12/02/08 0007294 RCSD-VEH IMP FEE 11500.00 MMENDOZA 12/02/08 01 CR 01229 06/09 CR 12/05/08 0007486 VEH IMP-RCSD 500.00 MMENDOZA 12/05/08 01 CR 01395 06/09 CR 12/22/08 0008506 VEHICLE FEES 12/22/08 100.00 MANCILLA 12/22/08 01 CR 01395 06/09 CR 12/22/08 0008507 VEHICLE FEES 12/22/08 100.00 MANCILLA 12/22/08 01 CR 01395 06/09 CR 12/22/08 0008508 VEHICLE FEES 12/22/08 800.00 MANCILLA 12/22/08 01 CR 01474 07/09 CR 01/06/09 0008912 RIVERSIDE COUNTY 11500.00 CASHVO 01/06/09 01 CR 01508 07/09 CR 01/13/09 0009389 VICR FEES 01/12/2009 900.00 KBLONDELL 01/13/09 01 CR 01564 07/09 CR 01/21/09 0009747 VICR FEES 01/20/09 11600.00 KBLONDELL 01/21/09 01 CR 01609 07/09 CR 01/26/09 0010071 VICR FEES 01/26/09 700.00 KBLONDELL 01/26/09 01 CR 01673 08/09 CR 02/02/09 0010611 VICR FEES 02/02/09 10300.00 KBLONDELL 02/02/09 01 CR 01749 08/09 CR 02/10/09 0011305 VICR FEES 02/09/09 1,500.00 KBLONDELL 02/10/09 01 CR 01825 08/09 CR 02/18/09 0011659 VICR FEES 02/17/09 11100.00 KBLONDELL 02/18/09 01 CR 01852 08/09 CR 02/20/09 0011933 VICR FEES 02/19/09 1,400.00 PREPARED ua/12/2010, 9:26:27 GENERAL.LEDGEk AVrIVITY LISTING PAGE 926 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D EIS C R I P T I 0 N ' DEBITS CREDITS.• BALANCE ------•----------------------------------------------------------------------------------------------------------------------- --- 101-5000-351.04-00 Fines and Assessments / Vehicle Impound fee KBLONDELL 02/20/09 01 CR 01882 08/09 CR 02/25/09 0012183 VICR FEES 02/25/09 600.00 KBLONDELL 02/25/09 01 CR 01926 09/09 CR 03/03/09 0012476 VICR FEES 03/02/09 700.00 KBLONDELL 03/03/09 01 CR 02006 09/09 CR 03/09/09 0012958 VICR FEES 03/09/09 11100.00 KBLONDELL 03/09/09 01 CR 02075 09/09 CR 03/19/09 0013507 VICR FEES 03/16/09 900.00 KBLONDELL 03/19/09 01 CR 02090 09/09 CR 03/23/09 0013713 VICR FEES 03/23/09 1,200.00 KBLONDELL 03/23/09 01 CR 02144 09/09 CR 03/30/09 0014091 VICR FEES 03/30/09 2,000.00 KBLONDELL 03/30/09 01 CR 02216 10/09 CR 04/08/09 0014743 RCSD-IMP FEES 11100.00• MMENDOZA 04/08/09 01 CR 02283 10/09 CR 04/14/09 0015122 VICR FEES 04/13%09 1,400.00 KBLONDELL 04/14/09 01' CR 02322 10/09 CR 04/22/•09 0015596 VICR 04/20/09 500.00 KBLONDELL 04/22/09 O1•" CR.02378 10/09 CR 04/28/09 0015863 VICR FEES 04/27/09 11300.00 KBLONDELL 04/28/09 01 CR 02418 11/09 CR 05/04/09 0016321 VICR FEES 05/04/09 2,140.00 KBLONDELL 05/04/09 01 CR 02514 11/09 CR 05/14/09 0016782 VICR FEES 05/11/09 2,084.00 KBLONDELL 05/14/09 01 CR 02536 11/09 CR 05/18/09 0016978 RCSD-VEH IMP FEE 1,248.00 MMENDOZA 05/18/09 01 CR. 02641 12/09 CR 06/01/09 0017740 VICR FEES 05/26/09 2,620.00 KBLONDELL 06/01/09 01 CR 02641 12/09 CR 06/01/09 0017742 VICR FEES 06/01/09 2,108.00 KBLONDELL 06/01/09 01' CR 02714 12/09 CR 06/09/09 0018249 VICR FEES 06/08/09 1,540.00 KBLONDELL 06/09/09 01 CR 02773 12/09 CR 06/17/09 0018575 VICR FEES 06/16/09 1,488.00 KBLONDELL 06/17/09 01 CR 02822 12/09 CR 06/24/09 0018775 VICR FEES 06/22/09 1,860.00 KBLONDELL 06/24/09 01 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 620.00 ACCOUNT TOTAL 600.00 62,508.00 101-5000-351.05-00 Fines and Assessments / Animal Impound fee CE 00059 01/09 AJ 07/10/08 CE CE RECEIPTS 45.00 CR 00056 01/09 CR 07/10/08 0000420 AL IMP FEE/AUSTIN,'FAITH 10.00 KBLONDELL 07/10/08 01 CR 00140 01/09 CR 07/21/08 0000781 AL RNEW 8 PEN/GARCIA, L 10.00 KBLONDELL 07/21/08 01 CR 00169 01/09 CR 07/25/08 0000959 AL IMP FEES/JOHNSON, ANGE 10.00 61,908.000R .00 PREPAREL ../12/2010, 9:26:27 GENERAL LEDGEk N6TIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-351.05-00 Fines and Assessments / Animal Impound fee KBLONDELL 07/25/08 01 CR 00182 01/09 CR 07/28/08 0001033 NEW AL & IMP FEES/SISSENS KBLONDELL 07/28/08 01 CR 00182 01/09 CR 07/28/08 0001034 NEW AL & IMP FEES/ESTRELL KBLONDELL 07/28/08 01 CR 00182 01/09 CR 07/28/08 0001036 NEW AL & IMP FEES/OKIE, KBLONDELL 07/28/08 01 CR 00317 02/09 CR 08/15/08 0001698 AL IMP FEE/ALMEDIA, ROXAN KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001699 AL IMP FEE/BAUMAN, LYNN KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001700 AL IMP FEE/DOCKEN, BRETT KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001701 AL IMP FEE/FASANO, ANGELA KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001702 AL IMP FEE/FASANO, THEODO KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001703 AL IMP FEE/KIRKWOOD, DIAN KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001704 AL IMP FEE/SELBERG, CRAIG KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001705 AL IMP FEE/SELBERG, CRAIG KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08'0001706 AL IMP FEE/TORGERGSEN, ST KBLONDELL 08/15/08 01 CR 00317 02/09 CR 08/15/08 0001707 AL IMP FEE/WISE, MELISSA KBLONDELL 08/15/08 01 CR 00386 02/09 CR 08/22/08 0002120 2 NEW AL & IMP FES/GLADIS KBLONDELL 08/22/08 01 CR 00386 02/09 CR 08/22/08 0002122 NEW AL & IMP FEES/MONTEZ, KBLONDELL 08/22/08 01 CR 00386 02/09 CR 08/22/08 0002123 IMP FEES/HART, MARGARET KBLONDELL 08/22/08 01 CR 00386 02/09 CR 08/22/08 0002124 NEW AL & IMP FEE/OLIVAREZ KBLONDELL 08/22/08 01 CR 00386 02/09 CR 08/22/08 0002125 NEW AL & IMP FEE/PERALEZ KBLONDELL 08/22/08 01 CR 00393 02/09 CR 08/25/08 0002212 NEW AL & IMP FEES/SCOTT, KBLONDELL 08/25/08 01 CE 00549 03/09 AJ 09/11/08 CE CE RECEIPTS CR 00559 03/09 CR 09/15/08 0003340 AL IMP FEE/BROCK, LEANNE KBLONDELL X9/1.5/08 07 CR 00559 03/09 CR 09/15/08 0003375 AML LIC MMENDOZA 09/15/08 01 CR 00564 03/09 CR 09/16/08 0003432 NEW AL & IMP•FEE/DURAN, M KBLONDELL 09/16/08 01 CR 00622 03/09 CR 09/23/08 0003780 AL IMP FEES/RIV CTY SHELT KBLONDELL 09/23/08 01 CR 00629 03/09 CR 09/24/08 0003843 AL RNEW & PEN & IMP FEES 30.00 10.00 30.00 10.00 10.00 10.00 50.00 50.00 150.00' 50.00 10.00 10.00 50.00 65.00 10.00 10.00 45.00 10.00 60.00 10.00 10.00 45.00 10.00 105.00 10.00 PREPAREL ua/12/2010, 9:26:27 GENERAL• LEDGEK AuTIVITY LISTING PAGE 928 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -------------------------------------------------------------------------------------------------------------------------------=---- FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.05-00 Fines and Assessments / Animal Impound fee KBLONDELL 09/24/08 01 CR 00805 04/09 CR 10/13/08 0004676 AL IMP FEES/BERNALDO 50.00 KBLONDELL 10/13%08 01 CR 00805 04/09 CR 10/13/08 0004677 AL IMP FEE/ALVARADO 50.00 KBLONDELL 10/13/08 01 CR 00805 04/09 CR'1O/13/08 0004678 AL IMP FEE/ALVARADO, MAUR 30.00 KBLONDELL 10/13/08 01 CR 00813 04/09 CR 10/14/08 0004739 AL IMP FEE/PALM, SHELLEY 10.00 KBLONDELL 10/14/08 01 CR 00813 04/09 CR 10/14/08 0004740 AL IMP FEES/OLIVARES, GAB 150.00 KBLONDELL 10/14/08 01 CR 00820 04/09 CR 10/15/08 0004959 NEW AL & IMP FEE/MAY, STE 10.00 KBLONDELL 10/15/08 01 CR 00820 04/09 CR 10/15/08 0004962 NEW AL & IMP FEE/TOLAND 10.00 KBLONDELL 10/15/08 01 CR 00827 04/09 CR 10/16/08 0004929 AML LIC-BERNALDO 10.00 MMENDOZA 10/16/08 01 CR 00827 04/09 CR 10/16/08 0004953 AML LIC-BAEZ 45.00 MMENDOZA 10/16/08 01 CR 00833 04/09 CR 10/17/08 0005096 AL IMP FEES/REYES, DOLORE 65.00 KBLONDELL 10/17/08 01 CR 00833 04/09 CR 10/17/08 0005097 AL IMP FEES/WEISZ, TYLER 55.00 KBLONDELL 10/17/08 01 CR 00860 04/09 CR 10/21/08 0005179 NEW AL & IMP FEES/SCHULTZ .10.00 KBLONDELL 10/21/08 01 CR 00860 04/09 CR•1O/21/08 0005183 NEW AL & IMP FEES & PENAL 45.00 KBLONDELL 10/21/08 01 , CR 00860. 04/09 CR 10/21/08 0005185 NEW AL & IMP FEES &-PENAL 55.00 KBLONDELL 10/21/08 01 CR 00926 .04/09 CR 10/28/08 0005531 AL IMP FEES/NESBIT, WALLA 10.00 KBLONDELL 10/28/08 01 CR 00926 04/09 CR 10/28/08 0005532 AL IMP FEES/RHODES, SHERY 10.00 KBLONDELL 10/28/08 01 CR 01014 05/09 CR 11/06/08 0006035 AL IMP FEES/VALENCIA, ADR 10.00 KBLONDELL 11/06/08 01 CR 01014 05/09 CR 11/06/08 0006036 AL IMP FEES/GLUMM, AMY 10.00 KBLONDELL 11/06/08 01 CR 01100 05/09 CR 11/14/08 0006541 AL IMP FEE/AGUILAR, EVA 10.00 KBLONDELL 11/14/08 01 CR 01100 05/09 CR 11/34/08 0006542 AL IMP FEE/FINNEL, CINTHI 10.00 KBLONDELL 11/14/08 01 CR 01132 05/09 CR 11/20/08 0006833 NEW AL & IMP FEES/GARZA,- 75.00 KBLONDELL 11/20/08 01 CR 01145 05/09 CR 11/24/08 0006993 AL IMP FEES/BURKE, FAWN 10.00 KBLONDELL 11/24/08 01 CR 01145 05/09 CR 11/24/08 0006994 AL IMP FEE/PIFFERO, TONY 55.00 KBLONDELL 11/24/08 01 CR 01145 05/09 CR 11/24/08 0007021 AML LIC 55.00 MMENDOZA 11/24/08 01 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 929 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER *D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.05-00 Fines and Assessments / Animal Impound fee CR 01156 05/09 CR 11/25/08 0007084 NEW AL & IMP FEES/MORALES 75.00 KBLONDELL 11/25/08 01 CR 01156 05/09 CR 11/25/08 0007086 NEW AL & IMP FEES/HARRING 30.00 KBLONDELL 11/25/08 01 CR 01304 06/09 CR 12/11/08 0007688 AL IMP FEE/FAIN, WINDY 10.00 KBLONDELL 12/11/08 01 CR 01304 06/09 CR 12/11/08 0007689 AL IMP FEE/STRINGER 100.00 KBLONDELL 12/11/08 01 CR 01325 06/09 CR 12/16/08 0007938 2 NEW AL & IMP FEES/HAUGA 65.00' KBLONDELL 12/16/08 01 CR 01325 06/09 CR 12/16/08 0007941 NEW AL & IMP FEES & PEN 10.00 KBLONDELL 12/16/08 01 CR 01395 06/09 CR 12/22/08 0008468 AML LIC 10.00 MMENDOZA 12/22/08 01 CE 01405 06/09 AJ 12/23/08 CE CE RECEIPTS 45.00 CR 01409 06/09 CR 12/24/08 0008579 NEW AL & IMP FEES & LIC P 55.00 KBLONDELL 12/24/08.01 CR 01551 07/09 CR 01/16/09 0009575 AML LIC -BURR -101500032220 55.00 MMENDOZA 01/16/09 01 CR 01609 07/09 CR 01/26/09 0010081 AL IMP FEES/PIFFERO, T. 110.00 KBLONDELL 01/26/09 01 CR 01636 07/09 CR 01/28/09 0010226• NEW AL&IMP&PEN/KNICKERBOC 55.00 KBLONDELL 01/28/09 01 CR 01636 07/09 CR 01/28/09 0010230 AL RNEW 3YR SR & IMP/LALO 10.00 KBLONDELL 01/28/09 01 CR 01636 07/09 CR 01/28/09 0010232 NEW AL & IMP/MARX, A. 55.00 KBLONDELL 01/28/09 01 CR 01643 07/09 CR 01/29/09 0010358 NEW AL & IMP/SALDANA, L. 10.00 KBLONDELL 01/29/09 01 CR 01651 07/09 CR 01/30/09 0010397 NEW AL & IMP & PEN/TAPIA, 55.00 KBLONDELL 01/30/09 01 CR 01742 08/09 CR 02/09/09 0011228 AL IMP FEES/PIFFERO, TONY 300.00 KBLONDELL 02/09/09 01 CR 01742 08/09 _CR 02/09/09 0011229 AL IMP FEES/HUDSON, PANEL 10.00 KBLONDELL 02/09/09 01 CE 01775 08/09 AJ 02/11/09 CE CE RECEIPTS 10.00 CR 01785 08/09 CR 02/13/09 0011501 NEW AL & IMP FEES/GRADY, 55.00 KBLONDELL 02/13/09 01 CR 01818 08/09 .CR 02/17/09 0011564 NEW AL & IMP & PEN/HUME, 50.00 KBLONDELL 02/17/09 01 CR 01818 08/09 CR 02/17/09 0011606 NEW AL & IMP FEES/ROEDER, 85.00 KBLONDELL 02/17/09.01 CR 01852 08/09 CR 02/20/09 0011937 AML LIC-ALUAGUE, DANIEL 75.00 MMENDOZA 02/20/09 01 CR 01896 08/09 CR 02/26/09 0012201 NEW AL 1YR UNALT & IMP/MC 55.00 KBLONDELL 02/26/09 01 CR 01906 08/09 CR 02/27/09 0012331 AL IMP FEES/ROEDER, VALER 50.00 KBLONDELL 02/27/09 01 CR 01906 08/09 CR 02/27/09 0012333 AL IMP FEES/COLLIS, SHELD 10.00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 930 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE ' NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.05-00 Fines and Assessments / Animal Impound fee KBLONDELL 02/27/09 01 CR 01906 08/09 CR 02/27/09 0012334 AL IMP FEES/BUSTOS, LEONA 55.00 KBLONDELL 02/27/09 01 CE 02008 09/09 AJ•03/09/09 CE CE RECEIPTS 90.00 CR 02012 09/09 CR 03/10/09 0013029 AL IMP FEES/SIDHU, STACI 55.00 KBLONDELL 03/10/09 01 CR 02012 09/09 CR 03/10/09 0013030 AL IMP FEES/MORENO, FRANC 20.00 KBLONDELL 03/10/09 01 CR 02040 09/09 CR 03/16/09 0013323 NEW AL & IMP FEES/MARTINE 50.00 KBLONDELL 03/16/09 01 CE 02133 09/09 AJ 03/26/09 CE CE RECEIPTS 10.00 CE 02140 09/09 AJ 03/27/09 CE CE RECEIPTS 45.00 CE 02147 09/09 AJ 03/30/09 CE CE RECEIPTS 45.00 CR 02152 09/09 CR 03/31/09 0014164 AL IMP FEE/FAIN, WINDY 50.00 KBLONDELL 03/31/09 01 CR 02181 10/09 CR 04/01/09 0014332 AML LIC-ACEVES 10.00 MMENDOZA 04/01/09 01 CR 02181 10/09 CR 04/01/09 0014334 AML LIC-CANO 55.00 MMENDOZA 04/01/09 01 CR 02188 10/09 CR 04/02/09 0014345 AML LIC 55.00 MMENDOZA 04/02/09 01 CR 02199 10/09 CR 04/06/09 0014579 NEW AL 1YR ALT & IMP/FEEN 10.00 KBLONDELL 04/06/09 01 CR 02199 10/09 CR 04/06/09 0014580 NEW AL & IMP FEES/DORE, L 55.00 KBLONDELL 04/06/09 01 CR 02216 10/09 CR 04/08/09 0014745 AL IMP FEE/ELFINE, JANE 10.00 KBLONDELL 04/08/09 01 CR 02216 10/09 CR 04/08/09 0014748 NEW AL & PEN & IMP/OCHOA, 55.00 KBLONDELL 04/08/09 01 CR 02216 10/09 CR 04/08/09 0014749 NEW AL & IMP/0'LEARY, E 55.00 KBLONDELL 04/08/09 01 CR 02283 10/09 'CR 04/14/09 0015123 AL IMP FEE/STRINGER, SHEL 150.00 KBLONDELL 04/14/09 01 CR 02365 10/09 CR 04/24/09 0015756 NEW AL 3YR ALT/GONZALEZ, 10.00 KBLONDELL 04/24/09 01 CR 02365 10/09 CR 04/24/09 0015757 NEW AL 1YR UNALT/NIETO, S 55.00 KBLONDELL 04/24/09 01 CR 02385 10/09 CR 04/29/09 0015905 AL IMP FEES/NARANJO, LARR 10.00 KBLONDELL 04/29/09 01 CR 02385 10/09 CR 04/29/09 0015906 AL IMP FEES/GONZALEZ, ANN 50'.00 KBLONDELL 04/29/09 01 CR 02501• 11/09 CR 05/12/09 0016699 AL IMP FEES/YOUNG, LAUREN 10.00 KBLONDELL 05/12/09 01 CR 02501 11/09 CR 05/12/09 0016700 AL IMP FEES/GELINEAU, CLA 10.00 KBLONDELL 05/12/09 01 CR 02501 11/09 CR 05/12/09 0016701 AL IMP FEES/MCMILLAN, LES 10.00 KBLONDELL 05/12/09 01 CR 02501 11/09 CR 05/12/09 0016702 AL IMP FEES/SANABRIA, CAR 110.00 KBLONDELL 05/12/09 01 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEk AVrIVITY LISTING PAGE 931 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 101-5000-351.05-00 Fines and Assessments / Animal Impound fee CR 02514 11/09 CR 05/14/09 0016829 NEW AL & PEN & IMP/GALCER 55.00 KBLONDELL 05/14/09 01 CR 02514 11/09 CR 05/14/09 0016834 NEW AL & IMP/LOUTSENHIZER 10.00 KBLONDELL 05/14/09 01 CR 02514 11/09 CR 05/14/09 0016836 NEW AL & IMP/KARAER, M 55.00 KBLONDELL 05/14/09 01 CR 02536 11/09 CR 05/18/09 0016950 AL IMP FEES/LOUSTENHIZER, 50.00 KBLONDELL 05/18/09 01 CR 02536 11/09 CR 05/18/09 0016951 AL IMP FEES/OCHOA, JORGE 150.00 KBLONDELL 05/18/09 01 CR 02608 11/09 CR 05/26/09 0017411 NEW AL & IMP & PEN/OCHOA, 10.00 KBLONDELL 05/26/09 01 CR 02614 11/09 CR 05/27/09 0017434 NEW AL & IMP & PEN/RENTER 55.00 KBLONDELL 05/27/09 01 CR 02634 11/09 CR 05/29/09 0017580 2 AL IMP FEES/HERNANDEZ, 20.00 KBLONDELL 05/29/09 01 CR 02634 11/09 CR 05/29/09 0017653 AML IMP FEE-BREXLER 10.00 MMENDOZA 05/29/09 01 CR 02634 11/09 CR 05/29/09 0017654 AML IMP-BREXLER 45.00 MMENDOZA 05/29/09 01 CR 02634 11/09 CR 05/29/09 0017655 AML IMP-BREXLER 10.00 MMENDOZA 05/29/09 01 CR 02634 11/09 CR 05/29/09 0017656 AML IMP-BREXLER 45.00 MMENDOZA 05/29/09 01 CR 02673 12/09 CR 06/03/09 0017885 NEW AL & IMP/HARTZ, K 10.00 KBLONDELL 06/03/09 01 CR 02698 12/09 CR 06/04/09 0018035 NEW AL & IMP/TANNER, T 10.00 KBLONDELL 06/04/09 01 CR 02698 12/09 CR 06/04/09 0018057 AL IMP FEES/JONES, JEANNE 10.00 KBLONDELL 06/04/09 01 CR 02773 12/09 CR 06/17/09 0018542 AML IMP -S ADOLPH 10.00 MMENDOZA 06/17/09 01 CR 02773 12/09 CR 06/17/09 0018544 AML IMP-AGUILAR 10.00 MMENDOZA 06/17/09 01 CR 02773 12/09 CR 06/17/09 0018546 AML IMP-AUGILAR 45.00 MMENDOZA 06/17/09 01' CE 02825 12/09 AJ 0.6/24/09 CE CE RECEIPTS 10.00 CR 02844 12/09 CR 06/25/09 0018821 AML IMP-PHYLLIS CARSON 10.00 MMENDOZA 06/25/09 01 ACCOUNT TOTAL 51005.00 5,005.000R 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 0 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK AVTIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------ ---------------------------- 101-5000-351.07-00 Fines and Assessments / Motor Vehicle Code Fines CR 00083 01/09 CR 07/14/08 0000581 MAY108 CRMNL/TRAFFIC FINE 07/31/08 JE 01-029 JUL108 PRKNG'CITATION REV 11550.00 CR DMARTIN 07/14/08 01 CR 00298 02/09 CR 08/13/08 0001599 JUN108 CRMNL/TRAFFIC RVRS DMARTIN 08/13/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS CR 00500 03/09 CR 09/08/08 0002944 JUL108 CRMNL/TRAFFIC RVRS 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS DMARTIN 09/08/08 01 CR 00694 04/09 CR 10/01/08 0004177 AUG08 CRMNL/TRAF FEES/RVR AUG108 PRKNG CITATION REV 2,134.00 GM 00783 03/09 DMARTIN 10/01/08 01 CR 01124 05/09 CR 11/19/08 0006822 SEP108 CRMNL/TRAFFIC/RVRS 04/09 AP 10/07/08 0080260 KNOBLAUCH, CHARLES/MARY 305.00 DMARTIN 11/19/08 01 CR 01389 06/09 CR 12/19/08 0008446 OCT08 CRMNL/TRAF FEES/RVR GM 01053 04/09 AJ DMARTIN 12/19/08 01 CR 01508 07/09 CR 01/13/09 0009405 NOV08 CRMNL/TRAF FEES/RVR AJ 10/31/08 JE 04-055 NSF PRK CIT/STURM 10/20 50.00 DMARTIN 01/13/09 01 CR 01643 07/09 CR 01/29/09 0010368 DECOR CRMNL/TRAF FEES/RVR LQ060678 DMARTIN 01/29/09 01 CR 02012 09/09 CR 03/10/09 0013045 JAN09 CRMNL/TRAFF FEE/RVR 11/03/08 0077551 HICKS, TIMOTHY S. 50.00 DMARTIN 03/10/09 01 CR 02130 09/09 CR 03/26/09 0013934 FEB09 CRMNL/TRAF FINES/RV DMARTIN 03/26/09 01 CR 02371 10/09 CR 04/27/09 0015824 MAR09 CRMNL/TRAFF FEES/RV DMARTIN 04/27/09 01 CR 02773 12/09 CR 06/17/09 0018611 APR09 CRMNL/TRAFF FEE/RVR KBLONDELL 06/17/09 01 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 ACCOUNT TOTAL 9,753.49 7,150.83 9,753.49 7,150.83 7,936.67 7,754.93 10,787.73 8,910.96 10,164.55 17,326.98 11,592.17 14,765.70 16,295.02 16,520.27 12,881.73 14,843.20 16,904.32 166,684.23 149,779.91CR 101-5000-351.08-00 Fines and Assessments / Parking Violations .00 GM 00245 01/09 AJ 07/31/08 JE 01-029 JUL108 PRKNG'CITATION REV 11550.00 CR 00234 02/09 CR 08/04/08 0001250 JUN108 PRKNG BAIL/ST OF C 790.00•' DMARTIN 08/04/08 01 GM 00232 02/09 AP 08/05/08 0079268 PETERSON, DAVID 330.00 LQ060551 CITATION REFUND GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS 790.00 GM 00516 02/09 AJ 08/31/08 JE 02-033 AUG108 PRKNG CITATION REV 2,134.00 GM 00783 03/09 AJ 09/30/08 JE 03-036 SEP108 PRKNG CITATION REV 3,086.00 GM 00885 04/09 AP 10/07/08 0080260 KNOBLAUCH, CHARLES/MARY 305.00 LQ070010 CITATION RFND GM 01053 04/09 AJ 10/31/08 JE 04-055 OCT108 PRKNG CITATION REV 51939.00 GM 01053 04/09 AJ 10/31/08 JE 04-055 NSF PRK CIT/STURM 10/20 50.00 GM 00960 05/09 AP 11/03/08 0080428 HICKS, TIMOTHY S. 50.00 LQ060678 CITATION REFUND GM 00965 05/09 AP 11/03/08 0077551 HICKS, TIMOTHY S. 50.00 LQ060678 CITATION REFUND PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEK AufIVITY LISTING PAGE 933 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------- NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5000-351.08-00 Fines and Assessments / Parking Violations CR 01014 05/09 CR 11/06/08 0006163 JUL108 PRKNG BAIL/ST OF 548..00 .0 DMARTIN 11/06/08 01 CR 01014 05/09 CR 11/06/08 0006164 AUG108 PRKNG BAIL/ST OF C 365.00 DMARTIN' 11/06/08 01 CR 01124 05/09 CR 11/19/08 0006823 SEP108 PRKNG BAIL/ST OF C 244.00 DMARTIN 11/19/08 01 GM 01255 05/09 AJ. 11/30/08 JE 05-020 NOV108 PRKNG CITATION REV 4,986.00 CR 01325 06/09 CR.12/16/08 0007940 OCT108 PRKNG BAIL/ST OF C 1,012.00 DMARTIN 12/16/08 01 GM 01283 06/09 AP 12/17/08 0680994 BOEING, PHILIPPE 50.00 LQ071952 CITATION REFUND GM 01469 06/09 AJ 12/31/08 JE 06-051 DEC-08 PRKNG CITATION REV 5,742.00 GM 01525 07/09 AP 01/14/09 0081339 DATA TICKET, INC. 623.00 011409 RFD OVRPMT ON 1/6/09 CR 01643 07/09 CR 01/29/69 0010362 NOV08 PRKNG BAIL/ST- OF CA 152.00 DMARTIN 01/29/09 01 CR 01643 07/09 CR 01/29/09 0010365 DEC08 PRKNG BAIL/ST OF CA 712.00 DMARTIN 01/29/09 01 GM 01716 07/09 -AJ 01/31/09 JE 07-031 JAN108 PRKNG CITATION REV 4,335.00 GM 01946 09/09 AP 02/25/09 0081933 BERG, RANDALL EMMETT- 40.00 LQ070099 CITATION REFUND GM 01946 09/09 AP 02/25/09 0082019 PFANNKUCHE, NANCY 305.00 LQ060082 CITATION REFUND GM 01946 09/09 AP 02/25/09 0082072 WOOD, JERI 50.00 LQ090456 CITATION REFUND GM 01946 09/09 AP 02/25/09 0082036 SALISBURY, PAUL M & ELIZA 50.00 LQ062571 CITATION REFUND' GM 01946 09/09 AP 02/25/09-0082002 MCGOWAN, CHRISTOPHER 51.00 LQ072530 CITATION REFUND GM 01940 08/09 AJ 02/28/09 JE 08-037 FEB109 PRKNG CITATION REV 4,211.00 GM 01940 08/09 AJ 02/28/09 JE 08-037 NSF/PRK CIT/PRESSMAN 2/6 50.00 CR 01993 09/09 CR 03/05/09 0012801 JAN109 PRKNG BAIL/ST OF C 491:00 DMARTIN 03/05/09 01 GM 02228 09/09 AJ 03/31/09 JE 09-033 MAR109 PRKNG CITATION REV 5,094.00 GM 02231 09/09 AJ 03/31/09 JE 09-034 ADJ 3/11/09 PRKNG CIT REV 1.00 CR 02181 10/09 CR 04/01/09 0014261 FEB109 PRKNG BAIL/ST OF C 11199.00 DMARTIN 04/01/09 01 CR 02378 10/09 CR 04/28/09 0015862 MAR109 PARKING BAIL 1,542.00 LWEST 04/28/09 01 GM 02471 10/09 AJ 04/30/09 JE 10-039 APR109 PRKNG CITATION REV 4,353.00 GM 02684 11/09 AJ 05/31/09 JE 11-043 MAY109 PRKNG CITATION REV 2,012.00 CR 02698 12/09 CR 06/04/09 0018086 APR109 PARKING BAIL/ST OF 791.00 DMARTIN 06/04/09 01 GM 02925 12/09 AJ 06/30/09 JE 12-070 JUN109 PRKNG CITATION REV 2,969.00 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 759.00 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 11158.00 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 1,024.00 ACCOUNT TOTAL 2,745.00 57,248.00 54,503.000R PREPARED u3/12/2010, 9:26:27 GENERAL LEDGEK AUTIVITY LISTING PAGE 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 101-5000-351.09-00 Fines and Assessments / Miscellaneous Fines .00 CR 00009 01/09 CR 07/01/08 0018119 LOPIN- 07-4848 400.00 MMENDOZA 07/01/08 01 CR 00015 01/09 CR 07/02/08 0000046 GAETA - 7-2627 100.00 MMENDOZA 07/02/08 01 CR 00039 01/09 CR 07/08/08 0000349 ACEVES/CASE # 08-1103 117.22 KBLONDELL 07/08/08 01 CR 00083 01/09 CR 07/14/08 0000581 MAY108 CRMNL/TRAFFIC FINE 2,260.31 DMARTIN 07/14/08 01 CR 00140 01/09 CR 07/21/08 0000816 CASE 7-5429/AVILES, M. 299.83 KBLONDELL 07/21/08 01 CR 00226 02/09 CR 08/01/08 0001209 GAETA-RESTITUTION #7-2627 100.00 MCRAYTON 08/01/08 01 CR 00234 02/09 CR 08/04/08 0001232 SLATER/CASE 05-3147/JULY 50.00. KBLONDELL 08/04/08 01 CR 00234 02/09 CR 08/04/08 0001233 SLATER/CASE 05-3147/AUG .2 50.00 KBLONDELL 08/04/08 01 CR 00298 02/09 CR 08/13/08 0001599 JUN108 CRMNL/TRAFFIC RVRS 1,873.30 DMARTIN 08/13/08 01 GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS 2,260.31, GM 00445 02/09 AJ 08/31/08 AJE 2-026 REVERSE ACCRUALS 1,873.30 CR 00500 03/09 CR 09/08/08 0002944 JUL108 CRMNL/TRAFFIC RVRS 1,886.61 DNARTIN 09/08/08 01 CR 00500 03/09 CR 09/08/08 0002852 ACEVES-53650 JACKSON STRE 117.22 MMENDOZA 09/08/08 Ol CR 00500 03/09 CR 09/08/08 0002853 ACEVES-53650 JACKSON ST 117.22' MMENDOZA 09/08/08 01 CR 00576 03/09 CR 09/18/08 0003568 RESTITUTION FEES 07-2996 300.00 KBLONDELL 09/18/08 01 CR 00615 03/09 CR 09/22/08 0003744 MONICA SLATER 50.00 MMENDOZA 09/22/08 01 CR 00646 03/09 CR 09/26/08 0004010 AMR COMPL 4/07-3/08 RVRSD 91358.81 DMARTIN 09/26/08 01 CR 00694 04/09 CR 10/01/08 0004177 AUG08 CRMNL/TRAF FEES/RVR 2,050.50 DMARTIN 10/01/08 01 CR 01124 05/09 CR 11/19/08 0006822 SEP108 CRMNL/TRAFFIC/RVRS 2,050.08 DMARTIN 11/19/08 01 CR 01138 05/09 CR 11/21/08 0006949 RESTITUTION/LIBRARY/J MEN 150.00 DMARTIN 11/21/08 01 CR 01235 06/09 CR 12%08/08 0007546 SLATER -5-3147 50.00 MMENDOZA 12/08/08 01 CR 01319 06/09 CR 12/15/08 0007858 RESTITUTION FEES/ACEVES 50.00 KBLONDELL 12/15/08 01 CR 01389 06/09 CR 12/19/08 0008446 OCT08 CRMNL/TRAF FEES/RVR 1,268.24 DMARTIN 12/19/08 01 CR 01437 07/09 CR 01/05/09 0008784 GAETA-7/2627 100.00- 00.00MMENDOZA MMENDOZA01/05/09 01 CR 01481 07/09 CR 01/07/09 0008920 RENTERIA #6-3840 75.00 MMENDOZA 01/07/09 01 CR 01501 07/09 CR 01/12/09 0009131 RESTITUTION FEES/SLATER, 50.00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEK A6TIVITY LISTING PAGE 935 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------- FUND 101 General•Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5000-351.09-00 Fines and Assessments / Miscellaneous Fines KBLONDELL 01/12/09 01 CR 01508 07/09 CR 01/13/09 0009405 NOV08 CRMNL/TRAF FEES/RVR DMARTIN 01/13/09 01 CR 01558 07/09 CR 01/20/09 0009724 RESTITUTION FEES/ACEVES, KBLONDELL 01/20/09 01 CR 01643 07/09• CR 01/29/09 0010368. DEC08 CRMNL/TRAF FEES/RVR DMARTIN 01/29/09 01 CR 01673 08/09 CR 02/02/09 0010607 RESTITUTION/L RODRIGUEZ DMARTIN 02/02/09 01 CR 01736 08/09 CR 02/06/09 0011028 GAETA, MARIA S./CASE 07-2 KBLONDELL 02/06/09 01 CR 01742 08/09 CR 02/09/09 0011086 RENTERIA, J./CASE 06-3840 KBLONDELL 02/09/09 01 CR 01843 08/09 CR 02/19/09 0011821 ACEVES/CASE 08-1103/RESTI KBLONDELL 02/19/09 01 CR 02012 09/09 CR 03/10/09 0013045 JAN09 CRMNL/TRAFF FEE/RVR DMARTIN 03/10/09 01 CR 02075 09/09 CR. 03/19/09 0013542 GAETA CASE NUMBER 7-2627 CASHVO 03/19/09 01 CR 02130 09/09 CR 03/26/09 0013934 FEB09 CRMNL/TRAF FINES/RV DMARTIN 03/26/09 01 CR 02130 09/09 CR 03/26/09 0013938 ACEVES-MARCH 2009 MMENDOZA 03/26/09 01 CR 02371 10/09 CR 04/27/09 0015824 MAR09 CRMNL/TRAFF FEES/RV DMARTIN 04/27/09 01 CR 02385 10/09 CR 04/29/09 0015935 RESTITUTION FEE/ACEVES/08 KBLONDELL 04/29/09 01 CR 02530 11/09 CR 05/15/09 0016899 CROSS/CASE 08-2502/RESTIT KBLONDELL 05/15/09 01 CR 02614 11/09 CR 05/27/09 0017481 ACEVES/CASE 08-1103/RESTI KBLONDELL 05/27/09 01 CR 02641 12/09 CR 06/01/09 0017705 CASE 07-5603/CORNEY/RESTI KBLONDELL 06/01/09 01 CR 02673 12/09 CR 06/03/09 0017888 ADM CITATION -SEAN W. CHAN MMENDOZA 06/03/09 01 CR 02673 12/09 CR 06/03/09 0017890 ADM CITATION -S. CHANG 200 MMENDOZA 06/03/09 01 CR 02673 12/09 CR 06/03/09 0017891 PENALTY ADM CIT -S. CHANG MMENDOZA .06/03/09 01 CR 02714 12/09 CR 06/09/09 0018248 LAZZARINI/CASE 08-2502 KBLONDELL 06/09/09 01 CR 02773 12/09 CR 06/17/09 0018611 APR09 CRMNL/TRAFF FEE/RVR KBLONDELL 06/17/09 01 CR 02844 12/09 CR 06/25/09 0018811 DETAIL MMENDOZA 06/25/09 01 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 1,871.30 50.00 1,526.00 50.00 100.00 75.00 50.00 1,988.12 50.00 3,019.43 50.00 2,342.42 50.00 100.00 50.00 350.00 100.00 50.00 30.00 100.00 1,041.75 25.00 883.65 984.35 ACCOUNT TOTAL 4,133.61 37,861.36 33,727.75CR PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEK A6TIVITY LISTING FAWE 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 101-5000-351.10-00 Fines and Assessments / AMR Compliance .00 GM 02964 12/09 AJ 06/30/09 AJE 12-092 ACCRUED REVENUE FY 08/09 6,271.00 ACCOUNT TOTAL 6,271.00 6,271.00CR 101-5000-351.11-00 Fines and Assessments / Graffiti Removal CR 02857 12/09 CR 06/29/09 0018951 GRAFFITI REMOVAL REIM/RVR DMARTIN 06/29/09 01 ACCOUNT TOTAL 101-5000-369.00-00 Other Revenues / Lease Revenue AJ CR 00009 01/09 'CR 07/01/08 0000001 JULY'O8 NEXTEL LEASE 07/11/08 PRO711 PAYROLL SUMMARY PR•0O1O5 LWEST 07/01/08 01 CR 00182 01/09 CR 07/28/08 0001076 AUG108 NEXTEL LEASE ' 08/08/08 PRO8O8 PAYROLL SUMMARY PR 00323 LWEST 07/28/08 02 CR 00447 02/09 CR 08/29/08 0002466 SEPT'O8 NEXTEL LEASE 09/05/08 PRO9O5 PAYROLL SUMMARY PR 00530 DMARTIN 08/29/08 01 CR 00652 03/09 CR 09/29/08 0004052 OCT'O8 NEXTEL LEASE 10/03/08 PR1003 PAYROLL SUMMARY LWEST 09/29/08 02 CR 00926 04/09 CR 10/28/08 0005587 NEXTEL LEASE OCT'O8(TOWER LWEST 10/28/08 01 CR 01156 05/09 CR 11/25/08 0007110 NOV'O8 LEASE -TOWER CO CNE LWEST 11/25/08 01 CR 01424 06/09 CR 12/30/08 0008694 DEC108 LEASE -TOWER CO(NEX DMARTIN 12/30/08 01 CR 01628 07/09 CR 01/27/09 0010150 FEB109 NEXTEL MONTHLY REN LWEST 01/27/09 02 GM 01916 08/09 AJ 02/28/09 JE 08-029 NEXTEL LEASE REV CR12336 CR 02144 09/09 CR 03/30/09 0014093 APRIL109 TOWER MONTHLY RE LWEST 03/30/09 01 CR 02378 10/09 CR 04/28/09'0015827 MAY109 TOWER MONTHLY LEAS LWEST 04/28/09 01 CR 02614 11/09 CR 05/27/09 0017479 JUNE109 TOWER LEASE LWEST 05/27/09 01 ACCOUNT TOTAL 101-5001-424.10-01 Salaries & Wages / Permanent Full Time PR 00035 01/09 AJ 07/11/08 PRO711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PRO711 PAYROLL SUMMARY PR•0O1O5 01/09 AJ 07/25/08 PRO725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PRO8O8 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PRO9O5 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PRO919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 10,863.40 11,101.00 11,100.99 11,101.00 11,172.20 11,202.68 11,202.72 .00 9,828.00 91828.00 9,828.00CR 00 2,015.71 2,015.71 2,015.71 2,015.71 2,015.71 2,015.71 2,056.67 2,076.18 2,076.18 2,076.18 2,076.18 2,076.18 24,531.83 24,531.83CR 6,518.04 .00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 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 101-5001-424.10-01 Salaries & Wages / Permanent Full Time PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY 11,202.70 PR 00899 04/09 AJ 10/31/08 PRIO31 PAYROLL SUMMARY 11,202.70 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 11,202.71 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 11,202.70 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 11,202.70 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 11,202.70 PR 01415 07/09 AJ 01/09/09 PRO1O9 PAYROLL SUMMARY 11,629.93 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 11,202.72 PR 01670 08/09 AJ 02/06/09 PR02O6 PAYROLL SUMMARY 11,202.71 PR 01791 08/09 AJ 02/20/09 PRO22O PAYROLL SUMMARY 11,202.70 PR 01902 09/09 AJ 03/06/09 PRO3O6 PAYROLL SUMMARY 11,202.70 PR 01986 09/09 AJ 03/20/09 PRO32O PAYROLL SUMMARY 11,202.70 PR 02126 10/09 AJ 04/03/09 PRO4O3 PAYROLL SUMMARY 11,202.69 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 11,202.70 PR 02337 11/09 AJ 05/01/09 PROS01 PAYROLL SUMMARY 11•,202.68 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 11,202.70 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 11,202.73 PR.O2692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 11,202.71 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 11,202.70 PR 02883 12/09 AJ 07/10/09 PR071O PAYROLL SUMMARY 6,346.60 ACCOUNT TOTAL 297,369.17 6,518.04 290,851.13 101-5001-424.10-03 Salaries & Wages / Salaries -•Part Time .00 ACCOUNT TOTAL .00 101-50017424.10-05 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 .00 101-5001-424.20-01 Employee Benefits / PERS-City Portion .00 PR 00035 01/09 AJ 07/11/08 PRO711 PAYROLL SUMMARY 1,365.64 PR 00035 01/09 AJ 07/11/08 PRO711 PAYROLL SUMMARY 819.39 PR 00105 01/09 AJ 07/25/08 PRO725 PAYROLL SUMMARY 1,395.51 PR 00240 02/09 AJ 08/.08/08 PRO8O8 PAYROLL SUMMARY 11395.51 PREPARED u3%12/2010, 9:26:27 GENERAL LEDGEk AcrIVITY LISTING PAGE 938 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 101-5001-424.20-01 PR -00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634' 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ 1 PR 0179 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 •12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5001-424.20-02 PR 00035 01/09 .AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634' 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065* 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 .07/09' AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ Employee Benefits / PERS-City Portion 08/22/08 PR0822 PAYROLL SUMMARY 09/05/08 PR0905 PAYROLL SUMMARY 09/19/08 PR0919 PAYROLL SUMMARY 10/03/08 PR1003 PAYROLL SUMMARY 10/17/08 PR1017 PAYROLL SUMMARY 10/31/08 PR1031 PAYROLL SUMMARY 11/14/08 PR1114 PAYROLL SUMMARY 11/26/08 PR1126 PAYROLL SUMMARY 12/12/08 PR1212 PAYROLL SUMMARY 12/24/08 PR1224 PAYROLL SUMMARY 01/09/09 PRO109 PAYROLL SUMMARY 01/23/09 PRO123 PAYROLL SUMMARY 02/06/09 PR0206 PAYROLL SUMMARY 02/20/09 PR0220 PAYROLL SUMMARY 03/06/09 PRO306 PAYROLL SUMMARY 03/20/09 PRO320 PAYROLL SUMMARY 04/03/09 PR0403 PAYROLL SUMMARY 04/17/09 PR0417 PAYROLL SUMMARY 05/01/09 PR0501 PAYROLL SUMMARY 05/15/09 PRO515 PAYROLL SUMMARY 05/29/09 PRO529 PAYROLL SUMMARY 06/12/09 PRO612 PAYROLL SUMMARY 06/26/09 PRO626 PAYROLL SUMMARY 07/10/09 PR0710 I PAYROLL SUMMARY ACCOUNT TOTAL Employee Benefits /'PERS-Employee Portion 07/11/08 PR0711 PAYROLL SUMMARY 07/11/08 PR0711 PAYROLL SUMMARY 07/25/08 PR0725 PAYROLL SUMMARY 08/08/08 PRO808 PAYROLL SUMMARY 08/22/08 PRO822 PAYROLL SUMMARY 09/05/08 PR0905 PAYROLL SUMMARY 09/19/08 PR0919 PAYROLL SUMMARY 10/03/08 PR1003 PAYROLL SUMMARY 10/17/08 PR1017 PAYROLL SUMMARY 10/31/08 PR1031 PAYROLL SUMMARY, 11/14/08 PR1114 PAYROLL SUMMARY 11/26/08 PR1126 PAYROLL SUMMARY 12/12/08 PR1212 PAYROLL SUMMARY 12/24/08 PR1224 PAYROLL SUMMARY 01/09/09 PRO109 PAYROLL SUMMARY 01/23/09 PRO123 PAYROLL SUMMARY 02/06/09 PR0206 PAYROLL SUMMARY 02/20/09 PR0220 PAYROLL SUMMARY 03/06/09 PR0306 PAYROLL SUMMARY 03/20/09 PR0320 PAYROLL SUMMARY DEBITS CREDITS 11395. 51 1,404.47 1,408.28 1,408.30 1,408.29 1,408.29 1,408.30 1,408.29 1,408.29 1,408.30 1,408.29 1,408.30 1,408.30 1,408.29 1,408.29 1,408.30 1,408.29 1,408.29 1,408.28 1,408.29 1,408.30 1,408.30 1,408.29 769.33 37,300.12 869.08 888.08 888.08 888.08 893.78 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 896.22 819.39 521.45 BEGINNING /ENDING BALANCE 36,480.73 .00 PREPARED --.12/2010, 9:26:27 GENERAL LEDGER n. ,IVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5001-424.20-02 Employee Benefits / PERS-Employee Portion PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5001-424.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-5001-424.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR'00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808. PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08'PR1126 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR•01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 -AJ 02/20/09 PR0220 PAYROLL SUMMARY 896.22 896.22 896.22 896.22 896.22 . 896.22 896.22 507.73 23,755.45 521.45 907.25 60.58 60.58• 60.58 60.58 60.58 60.58 60.58 60.58 60.58 42.08 42.08 42.08 42.08 42.08 23,234.00 .00 .00 .00 PREPARED -12/2010, 9:26:27 GENERAL LEDGER MVIIVITY LISTING FAWE 940 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5001-424.21-01 PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01902 09/09 AJ PR 01986 09/09' AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09• AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5001-424.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 02/20/09 PR0220 03/06/09 PR0306 03/06/09 PR0306 03/20/09 PR0320 03/20/09 PR0320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PR0612 06/12/09 PR0612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 / 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 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0B22 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 1,411.12 1,411.12 1,411.12 1,411.12 1,411.12 1,411.12 1,411.12 1,411.12 738.33 34,605.21 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.80 22.8n 22.80 22.80 22.80 22.80 22.80 22.80 13.55 42.08 42.08 42.08 42.08 42.08 42.08 42.08 42.78 42.78 2,042.99 13.68 32,562.22 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5001-424.21-02 Insurance Benefits / Vision Insurance 101-5001-424.21-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09. AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5001-424.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ ACCOUNT TOTAL Insurance Benefits / 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1O03 10/17/08 PRIO17 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PRO320 04/03/09 PRO403 04/17/09 PRO417 05/01/09 PRO501 05/15/09 PRO515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits / 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 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 PAYROLL SUMMARY PAYROLL SUMMARY 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 560.75 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23 124.23• 124.23 124.23 124.23 124.23 73.06 3,054.58 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 13.68 74.53 74.53 8.64 547.07 .00 2,980.05 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER ALIIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5001-424.21-05 PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 ACCOUNT TOTAL 101-5001-424.21-06 Insurance Benefits / Flexible Compensation 101-5001-424.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ rR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0S08 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 11/26/08 PR1126 12/12/08' PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 / 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 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 14.40 7.84 353.44 119.88 119.88 119.88 119.88 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 120.98 8.64 71.92 344.80 .00 .00 .00 PREPARED w�.12/2010, 9:26:27 GENERAL LEDGER Ati'IVITY LISTING PAGE 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 -------- ---------------------------------------------------------------------------------------------------------------------------- 101-5001-424.21-07 Insurance Benefits / Long Term Disability PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 120.98 68.54 ACCOUNT TOTAL 3,209.62 71.92 3,137.70 101-5001-424.25-01 Workers Comp Insurance / Workers Comp Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 320.47 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 192.29 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 327.48 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 327.48 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 327.48 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 329.58 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 330.48 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY, 330.48 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 330.48 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 330.48 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 330.48 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 330.48 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 330.48 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 330.48 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 343.08 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 330.48 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 330.48 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 330.48 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 330.48 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 330.48 OR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 330.48 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 330.48 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 330.48 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 330.48 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 330.48 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 330.48 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 330.48 GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 1,971.46 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 187.23 ACCOUNT TOTAL 8,772.40 2,163.75 6,608.65 101-5001-424.27-01 Other Benefits 8 Deduc. / State Unemployment SUI .00 ACCOUNT TOTAL .00 101-5001-424.27-03 Other Benefits & Deduc. / Social Security -Medicare .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 66.63 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 39.98 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 68.09 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUfIVITY LISTING PAGE 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 ----------------------- ------------------------- 101-5001-424.27-03 Other Benefits 8 Deduc. PR 00240 02/09' AJ 08/08/08 PR0808 PR 00323 02/09 AJ 08/22/08 PR0822 PR 00434 03/09 AJ 09/05/08 PRO905 PR 00530 03/09 AJ 09/19/08 PR0919 PR 00634 04/09 AJ 10/03/08 PR1003 PR 00788 04/09 AJ 10/17/08 PR1017 PR 00899 04/09 AJ 10/31/08 PR1031 PR 01030 05/09 AJ 11/14/08 PR1114 PR 01065 05/09 AJ 11/26/08 PR1126 PR 01259 06/09 AJ 12/11/08 PR1211 PR 01239 06/09 AJ 12/12/08 PR1212 PR 01292 06/09 AJ 12/24/08 PR1224 PR 01415 07/09 AJ 01/09/09 PR0109 PR 01529 07/09 AJ 01/23/09 PR0123 PR 01670 08/09 AJ 02/06/09 PR0206 PR 01791 08/09 AJ 02/20/09 PR0220 PR 01902 09/09 AJ 03/06/09 PR0306 PR 01986 09/09 AJ 03/20/09 PR0320 PR 02126 10/09 AJ 04/03/09 PR0403 PR 02229 10/09 AJ 04/17/09 PR0417 PR 02337 11/09 AJ 05/01/09 PR0501 PR 02462 11/09 AJ 05/15/09 PR0515 PR 02583 11/09 AJ 05/29/09 PR0529 PR 02692 12/09 AJ 06/12/09 PR0612 PR 02791 12/09 AJ 06/26/09 PR0626 PR 02883 12/09 AJ 07/10/09 PR0710 ACCOUNT TOTAL / Social Security -Medicare PAYROLL SUMMARY 68.09 PAYROLL SUMMARY 68.09 PAYROLL SUMMARY 69.12 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 38.23 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 75.76 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69:56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 69.56 PAYROLL SUMMARY 27.01 101-5001-424.27-05 Other Benefits & Deduc. / Social Security -FICA ACCOUNT TOTAL 101-5001-424.32-10 Contract Services / Professional ACCOUNT TOTAL 101-5001-424.34-04 Contract Services / Technical ACCOUNT TOTAL 101-5001-424.43-88 Maintenance 8 Repair / Misc. Equipment ACCOUNT TOTAL 1,872.22 39.98 . 1,832.24 .00 .00 .00 .00 .00 .00 .00 .00 PREPARED ..,12/2010, 9:26:27 GENERAL LEDGER NLiIVITY LISTING PAGE 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 ---------------- ------------------------------------------------------------------------------ --------------------------------------- 101-5001-424.44-01 Contract Services / Equipment Rental ACCOUNT TOTAL 101-5001-424.51-01 Services & Supplies / Travel/ Training GM 00188 01/09 AP 07/28/08 0079153 RALPHS CUSTOMER CHARGES 27.96 07/28/08 FS#32 PROJ MTG GM 00159 01/09 AJ 07/31/08 AJE 1-012 REVERSE PREPAIDS 445:00 GM 00325 02/09 AP 08/20/08 0079335 CALBO 215.00 08/20/08 08/09 MEMBER DUES GM 00325 02/09 AP 08/20/08 0079343 LA QUINTA CHAMBER OF COMM 25.00 08/20/08 8/07/08 MAYOR'S LUNCH GM 00976 05/09 AP 10/04/08 0080366 LA QUINTA CHAMBER OF COM 25.00 100208 MAYOR'S LUNCHEON GM 00720 04/09 AP 10/08/08 0079975 CASH/PETTY CASH 5.00 100808 REPLENISH CASH GM 01244 06/09 AP 12/04/08 0080896 LA QUINTA CHAMBER OF COMM 25.00 . 120408 MAYOR'S LUNCHEON GM 01685 08/09 AP 01/02/09 0081501 PALM DESERT, CITY OF 125.00 HANADA ACCESSIBILITY TRAINING GM 01685 08/09 AP 02/04/09 0081496 LA QUINTA CHAMBER OF COM 25.00 FEB109 MAYOR'S LUNCHEON GM 01685 08/09 AP 02/04/09 0081509 TRAXEL, STEVE 80.00 REIMB ICC CERT RENEWAL GM 02176 10/09 AP 04/08/09 0082380 LA QUINTA CHAMBER OF COMM 25.00 040909 MAYOR'S LUNCH 4/9/09 GM 02176' 10/09 AP 04/08/09 0082368 COACHELLA VALLEY CHAPTER 125.00 HANADA 109CALDAG OVERVIEW GM 02261 10/09 AP 04/15/09 0081501 PALM DESERT, CITY OF HANADA ACCESSIBILITY TRAINING GM 02565 11/09 AJ 05/22/09 JE 11-019 LEAG CAL CITIES 5/12 MTG 45.00 GM 02810 12/09 AP 06/26/09 0083308 CASH/PETTY CASH 16.86 08/09 PETTY CASH REIMB ACCOUNT TOTAL 1,209.82 101-5001-424.51-02 Services & Supplies / Vehicle Reimbursement PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 150.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 150.00 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 150.00 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 150.00 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 150.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 150.00 PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY 150.00 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 150.00 PR 01030 05/09 -AJ 11/14/08 PR1114 PAYROLL SUMMARY 150.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 150.00 125.00 '125.00 90.00 .00 .00 .00 1,084.82 00 PREPARED uw 12/2010, 9:26:27 Printing GENERAL LEDGER A6i'IVITY LISTING FADE 946 PROGRAM GM362LA 07/29/08 0080282 OCB REPROGRAPHICS 8.08 CITY OF LA GUINTA, CALIFORNIA BLDG PRINTING -MUSEUM GM ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund 08/25/08 0079633 PRINTING PLACE, THE 62.58 BEGINNING GROUP ACCTG ----TRANSACTION---- 82204 BUSINESS CARDS /ENDING APP NUMBER ---------------------- PER. CD DATE ------------ NUMBER - --------------------- D E S C R I P T I O N ----------- DEBITS CREDITS ---------- --------------------------------------- BALANCE ---------------- 101-5001-424.51-02 Services & Supplies / Vehicle Reimbursement BLDG PRINTING -MUSEUM GM PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 150.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 150.00 04/09 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 150.00 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 150.00 10/20/08 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 150.00 BUSINESS CARDS-RODARTE PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 150.00 128.66 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 150.00 GM PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 150.00 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 150.00 09/09 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 150.00 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 150.00 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 150.00 GM PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 150.00 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 150.00 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 105.00 ACCOUNT TOTAL 3,705.00 101-5001-424.51-03 Services & Supplies / Mileage Reimbursement ACCOUNT TOTAL 101-5001-424.53-01 Services & Supplies / Printing GM 00865 04/09 AP 07/29/08 0080282 OCB REPROGRAPHICS 8.08 5383250 BLDG PRINTING -MUSEUM GM 00433 03/09 AP 08/25/08 0079633 PRINTING PLACE, THE 62.58 82204 BUSINESS CARDS GM 00865 04/09 AP 08/29/08 0080282 OCB REPROGRAPHICS 21.55 5421154 BLDG PRINTING -MUSEUM GM 00690 04/09 AP 09/23/08 0080104 PRINTING PLACE, THE 54.84 082437 BUSINESS CARDS GM 00667 04/09 AP 09/25/08 0080104 PRINTING PLACE, THE 75.43 082420 BUSINESS CARDS GM 01012 05/09 AP 10/20/08 0080465 OFFICE DEPOT 60.40 447783790-001 BUSINESS CARDS-RODARTE GM 00937 05/09 AP 10/28/08 0080464 OCB REPROGRAPHICS 128.66 5416913 CLEAR INV ERRORS GM 01458 07/09 AP 12/18/08 0081227 PRINTING PLACE, THE 75.43 083319 BUSINESS CARDS -BUTLER .GM 0.1944 09/09 AP 02/23/09 0082015 OFFICE DEPOT 60.40 464064916-001 BUSINESS CRD-SUNDLEE ACCOUNT TOTAL 547.37 101-5001-424.53-03 Services & Supplies / Membership Dues GM -00636 04/09 AP 10/01/08 0079951 INTERNATIONAL CODE COUNCI 50.00 90.00 3,615.00 .00 .00 .00 547.37 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER ACi*IVITY LISTING PAGE 947 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------=----------------------------------------------- 101-5001-424.53-03 Services & Supplies / Membership Dues HARTUNG CERT RENEWAL GM 01061 05/09 AP 11/10/08 0080634 INTERNATIONAL ASSOCIATION 0099571 -IN IAPMO MEMEBERSHIP GM 02344 11/09 AP 04/30/09 0082716 INTERNATIONAL CODE COUNCI HARTUNG CERT RENEWAL ACCOUNT TOTAL 101-5001-424.53-04 Services 8 Supplies / Subscrip & Publications ACCOUNT TOTAL 101-5001-424.53-05 Services 8 Supplies / Training & Education ACCOUNT TOTAL 101-5001-424.54-01 Services & Supplies / Information Tech Charges GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG ACCOUNT TOTAL 101-5001-424:56-01 Services 8 Supplies / Office Supplies GM 00103 01/09 AP 07/03/08 0079109 STAPLES BUSINESS ADVANTAG 3104904161 SUPPLIES GM 00232 02/09 AP 07/11/08 0079288 STAPLES BUSINESS'ADVANTAG 3105416889 OFFICE SUPPLIES GM -00232 02/09 AP 07/18/08 0079288 STAPLES BUSINESS ADVANTAG 3105671294 OFFICE SUPPLIES GM 00232 02/09 AP 07/25/08 0079288 STAPLES BUSINESS ADVANTAG ' 3105915433 OFFICE SUPPLIES GM 00232 02/09 AP 07/26/08 0079288 STAPLES BUSINESS ADVANTAG .3106088447 OFFICE SUPPLIES GM 00257 02/09 AP 07/30/08 0079288 STAPLES BUSINESS ADVANTAG 3106125623 SUPPLIES GM 00213 02/09 AP 08/01/08 0079288 STAPLES BUSINESS ADVANTAG 3105640051 OFFICE SUPPLIES GM 00309 02/09 AP 08/04/08 0079453 OFFICE DEPOT 438340287-001 OFFICE SUPPLIES GM 00331 02/09 AP 08/08/08 0079484 STAPLES BUSINESS ADVANTAG 3106716726 SUPPLIES GM 00331 02/09 AP 08/15/08 0079484 STAPLES BUSINESS ADVANTAG 3106949366 SUPPLIES GM 00406 03/09 AP 08/16/08 0079645 STAPLES BUSINESS ADVANTAG 3107163251 OFFICE SUPPLIES GM 00406 03/09 AP 08/20/08 0079645 STAPLES BUSINESS ADVANTAG 150.00 50.00 250.00 12,568.00 12,568.00 116.20 183.34 190.81 426.40 136.92 54.03 39.86 76.11 102.71 138.31 56.01 212.73 250.00 .00 .00 .00 .00 .00 12,568.00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AUi'IVITY LISTING PAGE 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 101-5001-424.56-01 Services 8 Supplies / Office Supplies 3107198887 OFFICE SUPPLIES GM 00535 03/09 AP 08/22/08 0079903 SMART 8 FINAL 7.52 3583410125236 SUPPLIES GM 00535 03/09 AP 08/28/08 0079909 STAPLES BUSINESS ADVANTAG 306.78 3107480501 SUPPLIES GM 00493 03/09 AP 08/29/08 0079909 STAPLES BUSINESS ADVANTAG 56.01 3107500025 OFFICE SUPPLIES GM 00535 03/09 AP 09/05/08 0079909 STAPLES BUSINESS ADVANTAG 103.26 31018050645 SUPPLIES GM 00535 03/09 AP 09/12/08 0079909 STAPLES BUSINESS ADVANTAG 171.88 3108279059 SUPPLIES GM 00667 04/09 AP 09/26/08 0080124 STAPLES BUSINESS ADVANTAG 211.10 3108830889 OFFICE SUPPLIES GM 00779 04/09 AP 09/30/08 0080124 STAPLES BUSINESS ADVANTAG 113.62 3109034808 OFFICE SUPPLIES GM 00865 04/09 AP 10/02/08 0080313 STAPLES BUSINESS ADVANTAG 28.80 3109130134 OFFICE SUPPLIES GM 00779 04/09 AP 10/03/08 0080124 STAPLES BUSINESS ADVANTAG 145.49 3109146686 OFFICE SUPPLIES GM 00936 05/09 AP 10/10/08 0080492 STAPLES BUSINESS ADVANTAG 91.88 3109734274 OFFICE SUPPLIES GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 13.88 8523 OFFICE SUPPLIES GM 00885 04/09 AP 10/15/08 0080313 STAPLES BUSINESS ADVANTAG 23.42 3109943488 OFFICE SUPPLIES GM 00936 05/09 AP 10/18/08 0080492 STAPLES BUSINESS ADVANTAG 243.39 3110188677 OFFICE SUPPLIES GM 00936 05/09 AP 10/23/08 0080492 STAPLES BUSINESS ADVANTAG 125.08 3110250652 OFFICE SUPPLIES GM 01020 05/09 AP 10/25/08 0080492 STAPLES BUSINESS ADVANTAG 106.17 3110447084 CHAIR MAT GM 01020 05/09 AP 10/28/08 0080492 STAPLES BUSINESS ADVANTAG 65.50 3110474591 CHAIR MAT GM 01012 05/09 AP 10/29/08 0080451 LASR-INK PALM DESERT 65.73 6067 OFFICE SUPPLIES GM 01020 05/09 AP 10/31/08 0080492 STAPLES BUSINESS ADVANTAG 178.70 3110549516 OFFICES SUPPLIES GM 01057 05/09 AP 11/04/08 0080704 STAPLES BUSINESS ADVANTAG 106.17' 3111072371 RETURN CREDIT GM 01057 05/09 AP 11/04/08 0080704 STAPLES BUSINESS ADVANTAG 53.85 3111072370 RETURN CREDIT GM 01190 06/09 AP 11/07/08 0080866 STAPLES BUSINESS ADVANTAG 85.81 3111118973 OFFICE SUPPLIES GM 01214 06/09 AP 11/14/08 0080866 STAPLES BUSINESS ADVANTAG 50.01 3111347767 OFFICE SUPPLIES GM 01214 06/09 AP 11/27/08 0080866 STAPLES BUSINESS ADVANTAG 219.96 3111858497 OFFICE SUPPLIES GM 01283 06/09 AP 12/05/08 0081108 STAPLES BUSINESS ADVANTAG 324.37 3112318370 OFFICE SUPPLIES PREPARED uj.12/2010, 9:26:27 GENERAL LEDGER A6fIVITY LISTING PAGE 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 101-5001-424.56-01 Services & Supplies / Office Supplies GM 01451 07/09 AP 12/05/08 0081164 ACE HARDWARE 3.40 101492 SUPPLIES GM 01283 06/09 AP 12/12/08 0081108 STAPLES BUSINESS ADVANTAG 594.42 3112580062 OFFICE SUPPLIES GM 01451 07/09 AP 12/16/08 0081234 RIVERSIDE RUBBER STAMP & 9.06 08-55339 INK PAD GM 01531 07/09 AP 01/09/09 0081439 STAPLES BUSINESS ADVANTAG 191.26 3113687107 OFFICE SUPPLIES GM 01607 08/09 AP 01/16/09 0081557 DATAPRINT CORPORATION 29:04 436473A LABELS GM 01607 08/09 AP 01/17/09 0081636 STAPLES BUSINESS ADVANTAG 149.92 3114194909 OFFICE SUPPLIES GM 01607 08/09 AP 01/22/09 0081636 STAPLES BUSINESS ADVANTAG 59.25 3114256249 OFFICE SUPPLIES GM 01713 08/09 AP 01/28/09 0081636 STAPLES BUSINESS ADVANTAG 64.76 3114496735' OFFICE SUPPLIES GM 01816 08/09 AP 02/03/09 0081852 STAPLES BUSINESS ADVANTAG 190.33 3115090372 OFFICE SUPPLIES GM 01761 08/09 AP 02/12/09 0081849 SMART & FINAL 22.57 3583410167245 TABLE COVERS GM 01944 09/09 AP 02/27/09 0082046 STAPLES BUSINESS ADVANTAG 18.56 3115893796 OFFICE SUPPLIES GM 01944 09/09 AP 02/27/09 0082046 STAPLES BUSINESS ADVANTAG 58.62 3115893795 OFFICE SUPPLIES GM 02224 10/09 AP 03/17/09 0082498 STAPLES BUSINESS ADVANTAG 340.43 3116886057 OFFICE SUPPLIES GM 02224 10/09 AP 03/21/09 0082498 STAPLES BUSINESS ADVANTAG 185.51 3117096301 OFFICE SUPPLIES GM 02123 09/09 AP 03/23/09 0082287 RIVERSIDE RUBBER STAMP & 17.50 09-56171 OFFICE SUPPLIES GM 02224 10/09 AP 03/24/09 0082498 STAPLES BUSINESS ADVANTAG 71.08 3117123167 OFFICE SUPPLIES GM 02224 10/09 AP 03/26/09 0082498 STAPLES BUSINESS ADVANTAG 78.79 3117159788 OFFICE SUPPLIES GM 02224 10/09 AP 03/28/09 0082498 STAPLES BUSINESS ADVANTAG 50.65 3117332275 RETURN CREDIT GM 02224 10/09 AP 03/30/09 0082470 OFFICE DEPOT 120.81 468377729-001 BUSINESS CARDS GM 02330 10/09 AP 04/08/09 0082684 STAPLES BUSINESS ADVANTAG 96.74 3117970329 OFFICE SUPPLIES GM 02330 10/09 AP 04/17/09 0082684 STAPLES BUSINESS ADVANTAG 189.52 3118235779 OPERATING SUPPL.TF_C GM 02406 11/09 AP 04/22/09 0082798 DATAPRINT CORPORATION• 39.95 443508A OFFICE SUPPLIES GM 02452 11/09 AP 04/27/09 0082859 OFFICE DEPOT 54.86 47634216-001 B CARDS-MISURACA, J GM 02452 11/09 AP 04/29/09 0082891 STAPLES BUSINESS ADVANTAG 14.13 3118677500 RETURN CREDIT GM 02452 11/09 AP 04/29/09 0082891 STAPLES BUSINESS ADVANTAG 98.89 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 950 PROGRAM GM362LA SAL REIMB GM 00525 02/09 CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA JE 02-040 RDA FUND 101 General Fund 00716 03/09 BEGINNING GROUP ACCTG ----TRANSACTION---- SEP108 CIP ADMIN ACTIVITY %ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5001-424.56-01 REIMB Services & Supplies / Office Supplies 04/09 AJ 10/31/08 JE 04-006 3118677501 OFFICE SUPPLIES REIMB GM GM 02452 11/09 AP 05/01/09 0082891 STAPLES BUSINESS ADVANTAG 62.51 RDA SAL REIMB GM 3118728518 OFFICE SUPPLIES AJ 12/31/08 GM 02452 11/09 AP 05/01/09 0082891 STAPLES BUSINESS ADVANTAG 1.73 3118728521 OFFICE SUPPLIES GM 02561 11/09' AP 05/09/09 0083086 STAPLES BUSINESS ADVANTAG 201.32 3119396968 OFFICE SUPPLIES GM 02694 12/09 AP 06/02/09 0083280 WELLS FARGO BUSINESS CARD 35.37 3072 VISA CARD PYMT - GM 02746 12/09 AP 06/06/09 0083514 STAPLES BUSINESS ADVANTAG 338.50 3120625585 OFFICE SUPPLIES GM 02820 12/09 AP 06/19/09 0083514 STAPLES BUSINESS ADVANTAG 83.25 3120938915 OFFICE SUPPLIES GM 02875 12/09 AP 06/27/09 0083687 STAPLES BUSINESS ADVANTAG 31.47 3121344577 OFFICE SUPPLIES ACCOUNT TOTAL 101-5001•-424.56-16 Services & Supplies / Forms GM 02066 09/09 AP 03/07/09 0082305 STAPLES BUSINESS ADVANTAG 3116614334 OFFICE SUPPLIES ACCOUNT TOTAL 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.-424.9.1-11 Reimbursed Gen Fund Exp / Personnel GM 00193 01/09 AJ 07/31/08 JE 01-024 RDA SAL REIMB GM 00525 02/09 AJ 08/31/08 JE 02-040 RDA SAL REIMB GM 00716 03/09 AJ 09/30/08 AJE 3-023 SEP108 CIP ADMIN ACTIVITY GM 00771 03/09 AJ 09/30/08 JE 03-033 RDA SAL REIMB GM 00776 04/09 AJ 10/31/08 JE 04-006 RDA SAL REIMB GM 01270 05/09 AJ 11/30/08 JE 05-025 RDA SAL REIMB GM 01376 06/09 AJ 12/31/08 JE.06-033 RDA SAL REIMB 7,855.20 467.06 467.06 280.81 3,367.00 3,367.00 2,960.97 3,367.00 3,367.00 3,367.00 3,367.00 7,574.39 .00 467.06 .00 .00 .00 .00 .00 .00 .00 PREPARED —12/2010, 9:26:27 GENERAL LEDGER N%.i'IVITY LISTING PAGE 951 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 101-5001-424.91-11 Reimbursed Gen Fund Exp / Personnel SUMMARY GM 01452 06/09 AJ 12/31/08 AJE 6-043 DEC108 CIP ADMIN ACTIVITY 8,034.17 GM 01663 07/09 AJ 01/31/09 JE 07-025 RDA SAL REIMB 3,367.00 GM 01808 08/09 AJ 02/28/09 JE 08-009 RDA SAL REIMB 3,367.00 GM 01968 09/09 AJ 03/31/09 JE 09-011 RDA SAL REIMB 3,367.00 GM 02234 09/09 AJ 03/31/09.AJE 9-036 MAR109 CIP ADMIN ACTIVITY 8,608.73 GM 02118 10/09 AJ 04/30/09 JE 10-004 RDA SAL REIMB 3,367.00 GM 02573 11/09 AJ 05/31/09 JE 11-027 RDA SAL REIMB 3,367.00 GM 02578 12/09 AJ 06/30/09 JE 12-004 RDA SAL REIMB 3,367.00 GM 02945 12/09 AJ 06/30/09 AJE 12-081 4th QTR CIP ADMIN ACTIVIT 6,130.50 GM 02951 12/09 AJ 06/30/09 AJE 12-087 ADD'L JUNE109 CIP ADMIN 54.15 101-5001-424.91-12 GM 00192 01/09 AJ GM 00524 02/09 AJ GM 00716 03/09 AJ GM 00770 03/09 AJ GM 00775 04/09 AJ GM 01269 05/09 AJ GM 01375 06/09 AJ GM 01452 06/09 AJ GM 01662 07/09 AJ GM 01807 08/09 AJ GM 01967 09/09 AJ GM 02234 09/09 AJ GM 02117 10/09 AJ GM 02572 11/09 AJ GM 02577 12/09 AJ GM 02945 12/09 AJ 101-5002-424.10-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ ACCOUNT TOTAL 66,192.52 Reimbursed Gen Fund 07/31/08 JE 01-023 08/31/08 JE 02-039 09/30/08 AJE 3-023 09/30/08 JE 03-032 10/31/08 JE 04-005 11/30/08 JE 05-024 12/31/08 JE 06-032 12/31/08 AJE 6-043 01/31/09 JE 07-024 02/28/09 JE 08-008 03/31/09 JE 09-010 03/31/09 AJE 9-036 04/30/09 JE 10-003 05/31/09 JE 11-026 06/30/09 JE 12-003 06/30/09 AJE 12-081 ACCOUNT TOTAL Salaries 8 Wages 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PRO808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 Exp / Supplies/Service RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB SEP108 CIP ADMIN ACTIVITY RDA SVC/SUPPLIES REIMB RDA SVC/SUP.PLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB DEC108 CIP ADMIN ACTIVITY RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB MAR109 CIP ADMIN ACTIVITY RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB 4th QTR CIP ADMIN ACTIVIT Permanent Full Time PAYROLL SUMMARY 18,734.08 PAYROLL SUMMARY PAYROLL SUMMARY 18,665.13 PAYROLL SUMMARY 19,595.10 PAYROLL SUMMARY 20,453.89 PAYROLL SUMMARY 20,451.72 PAYROLL SUMMARY 20,453.90 PAYROLL SUMMARY 21,383.90 PAYROLL SUMMARY 20,453.90 PAYROLL SUMMARY 20,453.88 PAYROLL SUMMARY 20,453.91 PAYROLL SUMMARY 20,453.92 PAYROLL SUMMARY 20,657.32 142.00 142.00 3.39 142:00 142.00 142.00 142.00 28.13 142.00 142.00 142.00 22.97 142.00 142.00 142.00 44.70 1,803.19 11,240.48 BEGINNING /ENDING BALANCE 66,192.52CR .00 1,803.19CR .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AGiIVITY LISTING PAGE 952 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund ----TRANSACTLON---- BEGINNING GROUP ACCTG. /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.10-01 PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Salaries & Wages / Permanent Full Time 12/24/08 PR1224 PAYROLL SUMMARY 01/09/09 PR0109 PAYROLL SUMMARY 01/23/09 PR0123 PAYROLL SUMMARY 02/06/09 PR0206 PAYROLL SUMMARY 02/20/09 PR0220 PAYROLL SUMMARY 03/06/09 PR0306 PAYROLL SUMMARY 03/20/09 PRQ320 PAYROLL SUMMARY 04/03/09 PR0403 PAYROLL SUMMARY 04/17/09 PR0417 PAYROLL SUMMARY 05/01/09 PR0501 PAYROLL SUMMARY 05/15/09 PR0515 PAYROLL SUMMARY 05/29/09 PR0529 PAYROLL SUMMARY 06/12/09 PR0612 PAYROLL SUMMARY 06/26/09 PR0626 PAYROLL SUMMARY 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5002-424.10-03.Salaries & Wages / Salaries - Part Time ACCOUNT TOTAL 101-5002-424.10-04 Salaries & Wages / Regular Overtime PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY ACCOUNT TOTAL 10.1-5002-424.10-05 Salaries & Wages / Temporary Agency Services ACCOUNT TOTAL 101-5002-424.10-18 Salaries & Wages / Natural Diaster - FEMA ACCOUNT TOTAL 101-5002-424.20-01 Employee Benefits / PERS-City Portion PR 00.035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ -09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003• PAYROLL SUMMARY 20,766.58 23,627.01 20,747.41 20,747.41 20,747.40 20,747.40 20,900.55 20,865.20 20,865.20 20,865.19 20,865.20 20,865.20 20,880.37 20,903.13 14,632.13 551,236.03 22.08 22.08 2,355.06 2,346.38 2,463.29 2,571.25 2,570.98 2,571.25 2,688.17 11,240.48 1,413.03 539,995.55 .00 .00 .00 22.08 .00 .00 .00 .00 .00 PREPARED wa.12/2010, 9:26:27 GENERAL LEDGER ALiIVITY LISTING PAGE 953 PROGRAM GM362LA CITY OF LA GUINTA, 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 BEGINNING /ENDING BALANCE 101-5002-424.20-01 Employee Benefits / PERS-City Portion PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 2,571.25 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 2,571.25 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 2,571.25 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 2,571.25 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 2,596.82 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 2,610.55 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 2,608.14 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 2,608.14 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 2,608.14 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 2,608.14 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 2,608.14 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 2,627.39 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 2,622.95 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 2,622.95 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 2,622.95 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 2,622.95 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 2,622.95 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 2,624.86 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 2,627.72 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 1,773.73 ACCOUNT TOTAL 68,867.90 1,413.03 67,454.87 101-5002-424.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,498.74 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 899.26 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 1,493.21 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 1,567.61 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 1,636.32 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 1,636.14 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 1,636.32 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 1,710.72 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 1,636.32 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 1,636.32 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 1,636.32 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 1,636.32 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 1,652.59 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 1,661.34 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 11659.80 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 11659.81 PR n1670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 1,659.81 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 1,659.81 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 1,659.81 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 1,672.06 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 1,669.23 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 1,669.23 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 1,669.23 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 1,669.23 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.20-02 Employee Benefits / PERS-Employee Portion PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PRO71O PAYROLL SUMMARY ACCOUNT TOTAL 101-5002-424.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-5002-424.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/0,8/08 PRO8O8 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PRO8O8 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR09O5 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRI003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PRO1O9 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PRO1O9 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PRn123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PRO2O6 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PRO2O6 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PRO22O PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PRO22O PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PRO3O6 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PRO3O6 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PRO32O PAYROLL SUMMARY 1,669.23 1,670.44 1,672.26 1,170.58 43,868.80 3,052.70 3,052.70 3,052.70 3,052.70 3,052.70 3,052.70 3,052.70 3,052.70 3,052..70 3,052.70 3,079.39 3,079.39 3,079.39 3,07.9.39 3,079.39 3,079.39 3,079.39 3,079.39 899.26 1,852.60 20.99 20.99 20.99 20.99 20.99 20.99 20.99 20.99 20.99 26.83 26.83 26.83 26.83 26.83 26.83 26.83 42,969.54 .00 .00 .00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 955 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.21-01 PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5002-424.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 03/20/09 PR0320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09 PR0612 06/12/09 PR0612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 / 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 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08,PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 3,079.39 3,079.39 3,079.39 3,079.39 3,079.39 3,079.39 2,155.56 75,794.02 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 45.60 34.18 1,128.58 26.83 26.83 26.83 26.83 26.83 27.18 27.18 2,417.83 27.35 27.35 73,376.19 .00 1,101.23 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 956 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 101-5002-424.21-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR .01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5002-424.21-05 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ. PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR U1239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ DEBITS CREDITS BEGINNING /ENDING BALANCE Insurance Benefits / Dental Insurance ,.00 07/11/08 PR0711 PAYROLL SUMMARY 294.41 07/11/08 PR0711 PAYROLL SUMMARY 176.63 07/25/08 PR0725 PAYROLL.SUMMARY 294.41 08/08/08 PRO808 PAYROLL SUMMARY 294.41 08/22/08 PR0822 PAYROLL SUMMARY 294.41 09/05/08 PR0905 PAYROLL SUMMARY 294.41 09/19/08 PR0919 PAYROLL SUMMARY 294.41 10/03/08 PR1003 PAYROLL SUMMARY 294.41 10/17/08 PR1017 PAYROLL SUMMARY 294.41 11/14/08 PR1114 PAYROLL SUMMARY 294.41 11/26/08 PR1126 PAYROLL SUMMARY 294.41 12/12/08 PR1212 PAYROLL SUMMARY 294.41 12/24/08 PR1224 PAYROLL SUMMARY 294.41 01/09/09 PRO109 PAYROLL SUMMARY 294.41 01/23/09 PRO123 PAYROLL SUMMARY 294.41 02/06/09 PR0206 PAYROLL SUMMARY 294.41 02/20/09 PR0220 PAYROLL SUMMARY 294.41 03/06/09 PR0306 PAYROLL SUMMARY 294.41 03/20/09 PR0320 PAYROLL SUMMARY 294.41 04/03/09 PR0403 PAYROLL SUMMARY 294.41 04/17/09 PR0417 PAYROLL SUMMARY 294.41 05/01/09 PRO501 PAYROLL SUMMARY 294.41 05/15/09 PRO515 PAYROLL SUMMARY 294.41 06/12/09 PR0612 PAYROLL SUMMARY 294.41 06/26/09 PR0626 PAYROLL SUMMARY 294.41 07/10/09 PR0710 PAYROLL SUMMARY 206.09 ACCOUNT TOTAL 7,271.93 176.63 7,095.30 Insurance Benefits / Life Insurance .00 07/11/08 PR0711 PAYROLL SUMMARY 24.00 07/11/08 PR0711 PAYROLL SUMMARY 14.40 07/25/08 PR0725 PAYROLL SUMMARY 24.00 08/08/08 PRO808 PAYROLL SUMMARY 24.00 08/22/08 PRO822 PAYROLL SUMMARY 24.00 09/05/08 PR0905 PAYROLL SUMMARY 24.00 09/19/08 PR0919 PAYROLL SUMMARY 24.00 10/03/08 PR1003 PAYROLL SUMMARY 24.00 10/17/08 PR1017 PAYROLL SUMMARY 24.00 11/14/08 PR1114 PAYROLL SUMMARY 24.00 11/26/08 PR1126 PAYROLL SUMMARY 24.00 12/12/08 PR1212 PAYROLL SUMMARY 24.00 12/24/08 PR1224 PAYROLL SUMMARY 24.00 01/09/09 PRO109 PAYROLL SUMMARY 24.00 01/23/09 PRO123 PAYROLL SUMMARY 24.00 02/06/09 PR0206 PAYROLL SUMMARY 24.00 02/20/09 PR0220 PAYROLL SUMMARY 24.00 03/06/09 PR0306 PAYROLL SUMMARY 24.00 PREPARED ..,12/2010, 9:26:27 GENERAL LEDGER m6i'IVITY LISTING rAVt 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.21-05 PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / Life Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL 101-5002-424.21-06 Insurance Benefits / Flexible Compensation 101-5002-424.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09• AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 0258S 11/U9 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL 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 PAYROLL SUMMARY PAYROLL SUMMARY 24.00 24.00 24.00 24.00 24.00 24.00 24.00 16.80 592.80 219.81 220.91 220.91 220.91 220.91 220.91 220.91 220.91 220.91 220.91 220.91 222.01 224.08 224.08 224.08 224.08 224.08 224.08 225.35 225.35 225.35 225.35 225.35 225.35 225.76 225.76 158.04 5,957.06 14.40 131.87 131.87. 578.40 .00 .00 .00 5,825.19 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 958 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY. PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PRO206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PRO220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY PR 01986 09%09 AJ 03/20/09 PRO320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5002-424.27-01 Other Benefits 8 Deduc. / State Unemployment SUI 101-5002-424.27-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ ACCOUNT TOTAL Other Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PRO822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 Deduc. / Social Security -Medicare PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 552.66 550.62 578.49 603.39 603.32 603.39 630.83 603.39 603.39 603.39 603.39 609.39 612.61 696.99 612.05 612.05 612.05 612.05 616.56 615.52 615.52 615.52 615.52 615.52 615.97 616.64 431.65 16,261.87 279.33 278.34 292.14 304.28 304.25 304.28 320.00 306.52 296.59 331.59 3,660.23 3,991.82 167.58 .00 12,270.05 .00 .00 .00 PREPAREL ..,'12/2010, 9:26:27 GENERAL LEDGEk At,IVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5002-424.27-03 Other Benefits & Deduc. PR 01030 05/09 AJ 11/14/08 PR1114 PR 01065 05/09 AJ 11/26/08 PR1126 PR 01259 06/09 AJ 12/11/08 PR1211 PR 01239 06/09 AJ 12/12/08 PR1212 PR 01292 06/09 AJ 12/24/08 PR1224 PR 01415 07/09 .AJ 01/09/09 PRO109 PR 01529 07/09 AJ 01/23/09 PRO123 PR 01670 08/09 AJ 02/06/09 PR0206 PR 01791 08/09 AJ 02/20/09 PR0220 PR 01902 09/09 AJ 03/06/09 PRO306 PR 01986 09/09 AJ 03/20/09 PRO320 PR 02126 10/09 AJ 04/03/09 PR0403 PR 02229 10/09 AJ 04/17/09 PR0417 PR 02337 11/09 AJ 05/01/09 PRO501 PR 02462 11/09 AJ 05/15/09 PR0515' PR 02583 11/09 AJ 05/29/09 PRO529 PR 02692 12/09 AJ 06/12/09 PRO612 PR 02791 12/09 AJ 06/26/09 PRO626 PR 02883 12/09 AJ 07/10/09 PR0710 ACCOUNT TOTAL / Social Security -Medicare 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 101-5002-424.32-10 Contract Services / Professional ACCOUNT TOTAL 101-5002-424.33-28 Contract GM 00885 04/09 AP 05/01/08 05081383 GM 00232 02/09 AP 07/01/08 08-77 GM 00232 02/09 AP 07/01/08 08-56 GM 00331 02/09 AP 07/01/08 08-94 GM 00232 02/09 AP 07/04/08 08-84 GM 00103 01/09 AP 07/15/08 80516 GM 00103 01/09 AP 07/15/08 80515 GM 00264 01/09 AJ 07/31/08 GM 00264 01/09 AJ 07/31/08 GM 00213 02/09 AP 08/01/08 80561 GM 00257 02/09 AP 08/04/08 BI 9926. Services / Plan Check 0080239 ESGIL CORPORATION PLN CK -CONT SVC 0079309 YOUNG ENGINEERING SVC PLAN CHECK 0079309 YOUNG ENGINEERING SVC PLAN CHECK 0079501 YOUNG ENGINEERING SVC PLAN CHECK 0079309 YOUNG ENGINEERING SVC PLAN CHECK 0079101 SAXON ENGINEERING SERVICE PLAN CHECK 0079101 SAXON ENGINEERING SERVICE PLAN CHECK JE 01-031 REVR ACCRL YOUNG ENGR JE 01-031 REVR ACCRL YOUNG ENGR 0079283 SAXON ENGINEERING SERVICE PLAN CHECK 0079239 JAS PACIFIC INC PLAN CHECK 306.52 306.52 203.23 309.47 311.05 352.53 310.77 310.27 310.27 310.27 312.49 311.98 311.98 311.98 311.98 302.55 312.20 312.53 218.77 8,423.09 16,105.95 9,747.50 4,532.40 2,747.50 6,230.00 472.50 945.00 192.50 8,800.00 167.58 4,532.40 9,747.50 8,255.51 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGEk AVfIVITY LISTING PAGE 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 Contract Services / Plan Check GM 00331 02/09 AP 08/05/08 0079495 VCA CODE GROUP 7,742.50 4895 PLAN CHECK GM 00433 03/09 AP 08/31/08 0079641 SAXON ENGINEERING SERVICE 1,260.00 80618 PLAN CHECK GM 00433 03/09 AP 08/31/08 0079641 SAXON ENGINEERING SERVICE 630.00 80619 PLAN CHECK GM 00534 03/09 AP 08/31/08 0079807 ESGIL CORPORATION 2,413.59 9081559 PLAN CHECKING GM 00534 03/09 AP 09/02/08 0079840 JAS PACIFIC INC 6,000.00 BI 9950 PLAN CHECKING GM 00535 03/09 AP 09/03/08 0079923 VCA CODE GROUP 7,552.50 4933 PLAN CHECKING GM 00667 04/09 AP 09/30/08 0080117 SAXON ENGINEERING SERVICE 210.00 80679 PRECISE PLN CK GM 00767 04/09 AP 09/30/08 0080147 YOUNG ENGINEERING SVC 5,127.50 08-116 CONT PLN CHECKING GM 00796 04/09 AP 09/30/08 0080323 VCA CODE GROUP 7,030.00 4969 CONT PLN CKING GM 00767 04/09 AP 10/01/08 0080073 JAS PACIFIC INC' 7,725.00 BI 9980 CONT PLN CHECKING GM 00809 04/09' AP 10/20/08 0078039 ESGIL CORPORATION 16,105.95 05081383 PLAN CK/CONTRACT SVCS GM 01057 05/09 AP 10/31/08 0080612 ESGIL CORPORATION 10,040.94 11081628 CONT PLN CHECKING GM 01012 05/09 AP 11/03/08 0080438 JAS PACIFIC INC 8,200.00 BI 10013 CONT PLAN CHECKING GM 01012 05/09 AP 11/04/08 0080511' VCA CODE GROUP 5,747.50 5014 PLAN CHECK GM 01061 05/09 AP 11/12/08 0080727 YOUNG ENGINEERING SVC 5,215.00 08-126 CONT PLAN CHECKING GM 01344 06/09 AP 12/03/08 0081125 VCA CODE GROUP 3,182.50 5037 CONTRACT PLAN CHECKING GM 01344 06/09 AP 12/12/08 0081044 JAS PACIFIC INC 6,600.00 BI10035 CONTRACT PLAN CHECKING GM 01451 07/09 AP 12/18/08 0081253 YOUNG ENGINEERING SVC 3,517.50 08-150 CONT PLAN CHECKING GM 01575 07/09 AP 01/06/09 0081456 VCA CODE GROUP 3,135.00 5076 CONTRACT PLAN CHKING GM 01620 08/09 AP 01/22/09 0081660 YOUNG ENGINEERING SVC 3,062.50 •09-05 CONT PLAN CHECKING GM 01816 08/09 AP 01/31/09 0081768 ESGIL CORPORATION 5,738.25 02091719 CONT PLAN CHECKING_ GM 01715 08/09 AP 02/04/09 0081652 VCA CODE GROUP 950.00 5112 CONT PLAN CHECKING GM 02081 09/09 AP 02/28/09 0082208 ESGIL CORPORATION 980.00 03091754 CONT PLAN CHECKING GM 02081 09/09 AP 03/02/09 0082327 VCA CODE GROUP 950.00 5150 CONT PLAN CHECKING GM 02081 09/09 AP 03/12/09 0082341 YOUNG ENGINEERING SVC 3,692.50 PREPARED ua/12/2010, 9:26:27 GENERAL•LEDGER ACTIVITY LISTING PAGE 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 ----------------------------------------------------------------------------------------- ------------------------------ 101-5002-424.33-28 Contract Services / Plan Check 09-166 CONT PLAN CHECKING GM 02227 10/09 AP 03/31/09 0082434 ESGIL CORPORATION 392.00 04091789 CONT PLAN CHECKING GM 02227 10/09 AP 04/03/09 0082509 VCA CODE GROUP 4,465.00 5193 CONT PLAN CHECKING GM 02330 10/09 AP 04/21/09 0082706 YOUNG ENGINEERING SVC 31535.00 09-177 •PLAN CK SVC -BLDG GM 02457 11/09 AP 04/30/09 0082812 ESGIL CORPORATION 490.00 05091812 CONT PLAN CHECKING GM 02499 11/09 AP 04/30/09 0083079 SAXON ENGINEERING SERVICE 1,260.00 90051a PRECISE GRADING PC GM 02683 12/09 AP 05/02/09 0083259 VCA CODE GROUP 3,325.00 5265 MAY109 PLAN CHECK GM 02475 11/09 AP 05/07/09 0083096 VCA CODE GROUP 11330.00 5235 CONT PLAN CHECK GM 02581 11/09 AP 05/15/09 0083079 SAXON ENGINEERING SERVICE 980.00 90069 PRECISE GRADING PC GM 02683 12/09 AP 05/31/09 0083240 SAXON ENGINEERING SERVICE 210.00 90079 PLN CHECK 5/31/09 GM 02683 12/09 AP 05/31/09 0083240 SAXON ENGINEERING SERVICE 1,260.00 90080 PLN CHECK 5/31/09 GM 02683 12/09 AP 05/31/09 0083240 SAXON ENGINEERING SERVICE 840.00 90081 PLN CHECK 5/31/09 GM 02746 12/09 AP 06/10/09 0083554 YOUNG ENGINEERING SVC 3,412.50 09-194 CONT PLAN CHECKING GM 02820 12/09 AP 06/15/09 0083502 SAXON ENGINEERING SERVICE 1,620.00 90112 PRECISE GRDNG/PLAN CK GM .02875 12/09 AP 06/30/09 0083635 ESGIL CORPORATION 517.30 07091879 CONT PLAN CHECKING GM 02893 12/09 AP 06/30/09 0083695 VCA CODE GROUP 2,185.00 5303 JUN109 PLAN CHECK GM 02915 12/09 AP 06/30/09 0083898 SAXON ENGINEERING SERVICE 870.00 90123 JUN109 GRDING PLN CK GM 02926 12/09 AP 07/04/09 0083923 YOUNG ENGINEERING SVC 3,605.00 09-200 CONST PLAN CHECKING ACCOUNT TOTAL 186,772.93 101-5002-424.34-04 Contract Services / Technical ACCOUNT TOTAL 101-5002-424.44-01 Contract Services / Equipment Rental ACCOUNT TOTAL 30,385.85 156,387.08 .00 .00 .00 .00 PREPARED uai12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 101-5002-424.51-01 Services & Supplies / Travel/ Training .00 GM 00590 03/09 AP 09/24/08 0079724 CALBO •750.00 ONTARIO TRNG/4 EMP GM 00976 05/09 AP 11/04/08 0080363 HANADA, BURT 101.94 110408 MILEAGE-HANADA, B GM 01020 05/09 AP 11/06/08 0080502 TRAXEL, STEVE 31.59 EGRESS MILEAGE-TRAXEL ACCOUNT TOTAL 883.53 883.53 101-5002-424.51-02 Services & Supplies / Vehicle Reimbursement .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 530.00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 318.00 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 530.00 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 530.00 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 530.00 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 530.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 530.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 685.00 PR 00788. 04/09 AJ 10/17/08 PR1O17 PAYROLL SUMMARY 685.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 685.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 685.00 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 685.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 685.00 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 685.00 ' PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 685.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 650.00 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 650.00 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 650.00 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 650.00 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 650.00 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 650.00 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 650.00 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 650.00 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 650.00 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 650.00 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 455.00 ACCOUNT TOTAL 15,615.00 318.00 15,297.00 101-5002-424.51-03 Services & Supplies•/ Mileage Reimbursement .00 ACCOUNT TOTAL .00 101-5002-424.53-01 Services & Supplies / Printing .00 GM 00796 04/09 AP 09/30/08 0080297 WARD, LARRY W - ASSESSOR 10.50 7724 AUG/SEP MAPS PREPAREL wj/12/2010, 9:26:27 GENERAL,LEDGEk At.fIVITY LISTING PAGE 963 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA --------------------------------------------------------------------------------------------------------------------=--------------- FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD ------------------------------------------------------------------------------------------------------------------------------------ DATE NUMBER D E S C R I P T I O.N DEBITS CREDITS BALANCE 101-5002-424.53-01 Services & Supplies / Printing GM 01715 08/09 AP 01/15/09 0081653 WARD, LARRY W - ASSESSOR 24.00 7912 MAPS-NOV & DEC 08 GM 01979 09/09 AP 02/26/09 0082332 WARD, LARRY W - ASSESSOR 19.50 7994 ASSESSOR MAPS GM 02330 10/09 AP 03/31/09 0082701 WARD, LARRY W - ASSESSOR 19.50 8059 ASSESSOR MAPS GM 02828 12/09 AP 06/08/09 0083542 WARD, LARRY W - ASSESSOR 10.50 8184 ASSESSOR MAPS ACCOUNT TOTAL 84.00 84.00 101-5002-424.53-03 Services & Supplies / Membership Dues .00 ACCOUNT TOTAL .00 101-5002-424.53-04 Services & Supplies / Subscrip & Publications .00 ACCOUNT TOTAL .00 101-5002-424.54-01 Services & Supplies / Information Tech Charges .00 GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 31,420.00 ACCOUNT TOTAL 31,420'.00 31,420.00 101-5002-424.56-01 Services & Supplies / Office Supplies .00 ACCOUNT TOTAL .00 101-5002-424.56-02 Services & Supplies / Operating Supplies .00 GM 00213 02/09 AP 08/01/08 0079214 DESERTARC 276.30 18664 UNIFORM SHIRTS - ACCOUNT TOTAL 276.30 276.30 101-5002-424.56-28 Services & Supplies / Supplies - Field .00 GM 01839 08/09 AP 02/24/09 0081876 IDEAL INDUSTRIES, INC 225.00 022409 AFCI TESTER REPLCMT ACCOUNT TOTAL 225.00 225.00 101-5002-424.71-01 Capital Purchases / Machinery & Equipment .00 ACCOUNT TOTAL .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AurIVITY LISTING PAGE 964 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE --------.------------------------------------------------------------------------------------•---------------------------------------- 101-5002-424.71-02 Capital Purchases / Furniture ACCOUNT TOTAL 101-.5002-424.71-03 Capital Purchases / Vehicles 101-5002-424.91-11 GM 00193 01/09 AJ GM 00525 02/09 AJ GM 00771 03/09 AJ GM 00776 04/09 AJ GM 01270 05/09 AJ GM 01376 06/09 AJ GM 01663 07/09 AJ GM 01808 08/09 AJ GM 01968 09/09 AJ GM 02118 10/09 AJ GM 02573 11/09 AJ GM 02578 12/09 AJ 101-5002-424.91-12 GM 00192 01/09 AJ GM 00524 02/09 AJ GM 00770 03/09 AJ GM 00775 04/09 AJ GM 01269 05/09 AJ GM 01375 06/09 AJ GM 01662 07/09 AJ GM 01807 08/09 AJ GM 01967 09/09 AJ GM 02117 10/09 AJ GM 02572 11/09 AJ GM 02577 12/09 AJ ACCOUNT TOTAL Reimbursed Gen Fund 07/31/08 JE 01-024 08/31/08 JE 02-040 09/30/08 JE 03-033 10/31/08 JE 04-006 11/30/08 JE 05-025 12/31/08 JE 06-033 01/31/09 JE 07-025 02/28/09 JE 08-009 03/31/09 JE 09-011 04/30/09 JE 10-004 05/31/09 JE 11-027 06/30/09 JE 12-004 ACCOUNT TOTAL Reimbursed Gen Fund 07/31/08 JE 01-023 08/31/08 JE 02-039 09/30/08 JE 03-032 10/31/08 JE 04-005 11/30/08 JE 05-024 12/31/08 JE 06-032 01/31/09 JE 07-024 02/28/09 JE 08-008 03/31/09 JE 09-010 04/30/09 JE 10-003 05/31/09 JE 11-026 06/30/09 JE 12-003 ACCOUNT TOTAL Exp / Personnel RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB •RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB RDA SAL REIMB Exp / Supplies/Service RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB RDA SVC/SUPPLIES REIMB 101-5002-424.92-11 Other Charges / Fleet Maint Progr Charges GM 00123 01/09 AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 BUDG 4,976.00 2,142.00 2,142.00 2,142.00 2,142.00 2,142.00 2;142.00 2,142.00 2,142.00 2,142.00 2,142.00 2,142.00 2,142.00 25,704.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 58.00 696.00 .00 .00 .00 .00 .00 25,704.000R .00 696.000R .00 ACCOUNT TOTAL 4,976.00 4,976.00 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEk AuiIVITY LISTING PAGE 965 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------=----------------------------------------------------------------- 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 101-5004-424.10-01 Salaries 8 Wages / Permanent Full Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 20,705.63 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 12,423.42 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 21,157.76 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 21,157.49 PR 00323 02/09. AJ 08/22/08 PR0822 PAYROLL SUMMARY 20,526.65 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 19,914.65 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 19,996.08 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 20,633.86 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 21,259.20 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 21,373.94 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 21,555.31 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 21,555.78 PR 01239 06/09 -AJ 12/12/08 PR1212 PAYROLL SUMMARY 21,555.29 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 21,555.33 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 23,723.20 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 21,570.23 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 21,669.56 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 21,654.70 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 21,654.70 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 21,654.72 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 21,654.72 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 21,655.95 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 21,654.69 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 21,714.31 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 21,704.40 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 21,834.62 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 21,797.17 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 15,258.12 ACCOUNT TOTAL 572,148.06 12,423.42 559,724.64 101-5004-424.10-03 Salaries & Wages / Salaries - Part Time .00 ACCOUNT TOTAL .00 101-5004-424.10-04 Salaries & Wages / Regular Overtime .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 112.70 PR 00035 '01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 67.61 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 216.43 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 18.62 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 18.62 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 388.06 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 132.48 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 13.69 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 33.55 PR 01065 05/09 AJ 11./26/08 PR1126 PAYROLL SUMMARY 66.54 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 9.31 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AC"fIVITY LISTING PAGE 966 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ----- NUMBER --------------------------------------------------------------- PER. CD DATE NUMBER D E S C R I P T I O N DEBITS --- ---------------------- CREDITS ---------------- ------------------------ BALANCE 101-5004-424.10-04 Salaries & Wages / Regular Overtime PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 65.17 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 24.44 PR 02337 11/09 AJ 05/01/09 PRO50.1 PAYROLL SUMMARY 35.44 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 9.78 ACCOUNT TOTAL 1,144.83 67.61 1,077.22 101-5004-424.10-05 Salaries & Wages /Temporary Agency Services .00 ACCOUNT TOTAL .00 101-5004-424.10-14 Salaries & Wages / Regular PT overtime .00 ACCOUNT TOTAL .00 101-5004-424.10-15 Salaries & Wages / Standby .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 192.50 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 115.50 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 137.50 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 150.00 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 137.50 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 150.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 180.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 162:50 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 137.50 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 150.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 150.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 180.00 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 185.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY. 137.50 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 255.00 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 150.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 167.50 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 150.00 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 167.50 PR. 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 155.00 PR 02126 10/09 AJ 04/03/09.PR0403 PAYROLL SUMMARY 162.50 PR 02229 16109 AJ 04/17/09 PR0417 PAYROLL SUMMARY 150.00 PR'02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 150.00 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 150.00 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 150.00 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 167.50 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 137.50 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 117.25 ACCOUNT TOTAL 4,279.75 115.50 4,164.25. PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 967 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE --------•---------------------------------------------------------------------------------------------------------------------------- 101-5004-424.10-16 Salaries & Wages / Standby overtime PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 164.08 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 98.45 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 128.55 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 9.31 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 9.31 PR 00434 03/09 AJ 09/05/08 PRO905 PAYROLL SUMMARY 20.53 PR 00530 03/09 AJ 09/19/08 PRO919 PAYROLL SUMMARY 32.59 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 40.10 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 55.87 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 83.80 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 111.73 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 18.62 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 272.00 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 19.55 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 47.48 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 18.62 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 77.28 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 203.88 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 39.10 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 127.19 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL' SUMMARY 83.09 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 95.32 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 39.11 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 19.55 PR 02883 12/09 AJ 07/10/09'PR0710 PAYROLL SUMMARY 10.26 ACCOUNT TOTAL 1,726.92 98.45 101-5004-424.10-18 Salaries & Wages / Natural Diaster - FEMA ACCOUNT TOTAL 101-5004-424.20-01 Employee Benefits / PERS-City Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 2,597.87 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 1,558.75 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 2,654.68 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 2,654.68 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 2,576.04 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 2,499.94 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 2,510.19 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 2,588.82 PR 00.788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 2,667.46 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 2,681.90 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 2,704.68 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 2,704.68 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 2,704.68 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 2,704.69 .00 1,628.47 .00 .00 .00 PREPARED 03/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 968 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.20-01 Employee Benefits / PERS-City Portion PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 2,703.56 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 2,706.57 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 2,719.04 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 2,717.16 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 2,717.16 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 2,717.17 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 2,717.17 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 2,717.16 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 2,717.16 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 2,724.65 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 2,723.41 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 2,739.76 PR 02791 12/09 A•J 06/26/09 PR0626 PAYROLL SUMMARY 2,735.05 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 1,846.16 ACCOUNT TOTAL 71,451.49 1,558.75 69,892.74 .101-5004-424.20-02 Employee Benefits / PERS-Employee Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL'SUMMARY 1,653.25 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 991.95 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 11689.39 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 11689.39 PR 00323 •02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 11639.35 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 11590.93 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 1,597.44 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 1,647.49 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 1,697.53 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 1,706.71 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 1,721.23 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 1,721.23 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 1,721.23 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 1,721.23 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 1,720.51 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 1,722.42 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 1,730.37 PR 01791 08/09 AJ 02/20/09•PR0220 PAYROLL SUMMARY 1,729.17 PR 01902 09/09 AJ•03/06/09 PR0306 PAYROLL SUMMARY 1,729.17 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 1,729.17 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 1,729.17 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 1,729.17 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 1,729.17 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 1,733.94 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 1,733.14 . PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 1,743.55 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY .1,740.56 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 1,218.41 ACCOUNT TOTAL 45,514.32 991.95 44,522.37 PREPAREL ..,'12/2010, 9:26:27 GENERAL LEDGEk M%.i'IVITY LISTING PAGE 969 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5004-424.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-5004-424.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ°07/11/08 PR0711 PAYROLL SUMMARY 3,869.91 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 2,545.35 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 31869.91 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 223.41 PR 00240 02/09 AJ 08/08/08 PR0B08 PAYROLL SUMMARY 31869.91 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 223.41 PR 00323 02/09° AJ 08/22/08 PR0822 PAYROLL SUMMARY 3,869.91 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 223.41 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 3,869.91 PR -00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 223.41 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 31869.91 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 223.41 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 31869.91 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 223.41 PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY 31869.91 PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY 223.41 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 3,869.91 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 223.41 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 3,869.91 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 223.41 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 3,982.19 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 200.50 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 3,982.19 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 200.50 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 3,982.19 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 200.50 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 3,982.19 PR 01529 07/09 AJ 01/23/09°PR0123 PAYROLL SUMMARY 200.50 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 3,982.19 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 200.50 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 3,982.19 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 200.50 PR 01902 09/09 AJ 03/06/09 PR0306 'PAYROLL SUMMARY 3,982.19 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 221.46 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 3,982.19 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 221.46 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 3,982.19 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 221.46 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 3,982.19 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 221.46 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 3,982.19 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 221.46 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 3,982.19 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 221.46 00 .00 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk AU IVITY LISTING PAGE 970 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE -w ---------------------------------------------------------------------------------------------------------------------------------- 101-5004-424.21-01 PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ GM 02738 12/09 AJ PR 02883 12/09 AJ 101-5004-424.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5004-424.21-03 PR 00035. 01/09 AJ PR 00035. 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ Insurance Benefits / 06/12/09 PRO612 06/12/09 PRO612 06/26/09 PRO626 06/26/09 PRO626 06/30/09 AJE 12-016 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 Medical Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY MEDICAL INS EXP ADJ PAYROLL SUMMARY / 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 / Dental Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 4,325.55 4,325.55' 796.01 3,027.90 98,960.39 73.95 ' 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 73.95 70.69 70.69 52.74 1,821.02 362.78 362.78 362.78 362.78 362.78 362.78 224.63 224.63 7,537.06 44.38 44.38 217.65 91,423.33 .00 1,776.64 .00 PREPARED ua.,12/2010, 9:26:27 GENERAL LEDGEk %6 IVITY LISTING PAGE 971 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 I O N DEBITS CREDITS 101-5004-424.21-03 Insurance Benefits / Dental Insurance PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 362.78 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 362.78 PR 01030 05/09 AJ 11/14/08 PR1114. PAYROLL SUMMARY 362.78 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 362.78 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 362.78 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 362.78 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 362.78 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 362.78 PR 01670. 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 362.78 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 362.78 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 362.78 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 362.78 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 362.78 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 362.78 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 362.78 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 362.78 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 362.78 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 362.78 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 253.94 ACCOUNT TOTAL 8,960.66 101-5004-424.21-05 Insurance Benefits / Life Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 27.20 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 27.20 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 27.20 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 27.20 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 27.20 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 27.20 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 27.20 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 27.20 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 27.20 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 27.20 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 27.20 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 27.20 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 27.20 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 27.20 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 27.20 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 27.20 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 27.20 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 27.20 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 27.20 •PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 27.20 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 27.20 PR 02462 11/09 AJ 05/15/09 PRO515 PAYROLL SUMMARY 27.20 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 27.20 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 27.20 BEGINNING /ENDING BALANCE 217.65 8,743.01 16.32 .00 PREPARED ua/12/2010, 9:26:27 GENERAL LEDGEk A6rIVITY LISTING PAUL 972 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5004-424.21-05 Insurance Benefits / Life Insurance PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5004-424.21-06 Insurance Benefits / Flexible Compensation 101-5004-424.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09, AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ ACCOUNT TOTAL Insurance Benefits / Long Term Disability 07/11/08 PR0711 PAYROLL SUMMARY 07/11/08 PR0711• PAYROLL SUMMARY 07/25/08 PR0725 PAYROLL SUMMARY 08/08/08 PR0808 PAYROLL SUMMARY 08/22/08 PRO822 PAYROLL SUMMARY 09/05/08 PR0905 PAYROLL SUMMARY 09/19/08 PR0919 PAYROLL SUMMARY 10/03/08 PR1003 PAYROLL SUMMARY 10/17/08 PR1017 PAYROLL,SUMMARY 10/31/08 PR1031 PAYROLL SUMMARY 11/14/08 PR1114 PAYROLL SUMMARY 11/26/08 PR1126 PAYROLL SUMMARY 12/12/08 PR1212 PAYROLL SUMMARY 12/24/08 PR1224 PAYROLL SUMMARY 01/09/09 PR0109 PAYROLL SUMMARY 01/23/09 PRO123 PAYROLL SUMMARY 02/06/09 PRO206 PAYROLL SUMMARY 02/20/09 PRO220 PAYROLL SUMMARY 03/06/09 PR0306 PAYROLL SUMMARY 03/20/09 PR0320 PAYROLL SUMMARY 04/03/09 PR0403 PAYROLL SUMMARY 04/17/09 PR0417 PAYROLL SUMMARY 05/01/09 PR0501 PAYROLL SUMMARY 05/15/09 PR0515 PAYROLL SUMMARY 05%29/09 PR0529 PAYROLL SUMMARY 06/12/09 PR0612 PAYROLL SUMMARY 06/26/09 PR0626 PAYROLL SUMMARY 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5004-424.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 19.04 671.84 228.08 228.08 228.08 228.08 229.18 229.18 229.18 229.18 230.31 232.38 232.38 232.38 232.38 232.38 232.91 233.44 233.44 233.44 233.44 233.44 233.44 233.44 233.97 233.97 234.97 234.97 164.48 6,190.60 587.83 598.06 595.82 579.77 16.32 136.85 136.85 352.69 655.52 .00 .00 .00 6,053.75 00 PREPARED us/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 973 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------- FUND 101 General Fund ---------------------------------------------------------------------- BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.25-01 Workers Comp Insurance / Workers Comp Insurance PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 558.50 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 561.13 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 587.35 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 598.73 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 602.20 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 609.39 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 612.32 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 611.79 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 606.71 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 665.12 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 607.55 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 612.56 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 610.75 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 610.72 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 612.12 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 616.59 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 611.14 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 611.31 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 614.05 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 613.16 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 613.79 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 612.63 GM 02997 13/09 AJ 06/30/09 AJE 13-005 ALLOCATE PREPAID W/C 3,793.96 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 429.63 ACCOUNT TOTAL 16,150.72 41146.65 12,004.07 101-5004-424.27-01 Other Benefits & Deduc. / State Unemployment SUI .00 ACCOUNT TOTAL .00 101-5004-424.27-03 Other Benefits & Deduc. / Social Security -Medicare .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY •308.49 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 185.09 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 312.10. PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 310.56 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 304.35 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 292.96 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 294.74 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 308.64 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 313.62 PR 00899 04/09 AJ 10/31-/08 PR1031 PAYROLL SUMMARY 312.87 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 317.48 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 318.80 PR 01259 06/09 AJ 12/11/08 PR1211 PAYROLL SUMMARY 53.75 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 318.44 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 316.25 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER AcfIVITY LISTING PAGE 974 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.27-03 Other Benefits & Deduc. / Social Security-Medicare PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 354.03 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 316.67 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 318.78 PR 01791 08/0.9 AJ 02/20/09 PR0220 PAYROLL SUMMARY 317.88 PR 01902 09/09 •AJ 03/06/09 PRO306 PAYROLL SUMMARY 317.86 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 318.80 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 320.76 PR 02229 10/09 AJ 04/17/09 PR0417. PAYROLL SUMMARY 318.55 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 319.97 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 319.68_ PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 318.41' PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 321.04 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY .319.77 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 224.12 ACCOUNT TOTAL 8,489.37 185.09 8,304.28 101-5004-424.31-19 Contract Services / Admin Citation Services .00 GM 00213 02/09 AP 08/01/08 0079205 DATA TICKET, INC. 541.42 24325 ADMN CITATION SVCS- GM 00327 02/09 AP 08/04/08 0079391 DATA TICKET, INC. 1,147.00 24473 ADMIN CITATION SVC GM 00406 03/09 AP 08/09/08 0079584 DATA TICKET, INC. 317.11 24616 ADMIN CITATION SVC GM 00534 03/09 AP 09/04/08 0079787 DATA TICKET, INC. 2,094.11 24755 ADMIN CITATION SVCS GM 00779 04/09 AP 09/07/08 00.80040 DATA TICKET, INC. 419.14 24895 ADMIN CITATION SVC GM 00936 05/09 AP 10/13/08 0080411 DATA TICKET, INC. 1,646.00 25045 ADMIN CITATION SVC GM 01012 05/09 AP 10/19/08 0080411 DATA TICKET, INC. 688.00 25189 CITATION SVC GM 01061 05/09 AP 11/03/08 0080599 DATA TICKET, INC. 1,466.50 25306 CITATION SVC GM 01192 06/09 AP 11/09/08 0080800 DATA TICKET, INC. 516.75 25485 ADMIN CIT SVC GM 01344 06/09 AP 12/03/08 0081014 DATA TICKET, INC. 11413.00 25654 CITATION SVC GM 01344 06/09 AP 12/07/08 0081014 DATA TICKET, INC. 713.18 25792 CITATION'SVC GM 01575 07/09 AP 01/07/09 0081339 DATA TICKET, INC. 1,2.85.50 25980 ADMIN CITATION SVC GM 01576 07/09 AP 01/10/09 0081339 DATA TICKET, INC. 765.40 26164 ADMIN CITATION SVC GM 01816 08/09 AP 02/04/09 0081751 DATA TICKET, INC.. 1,145.50 26282 ADMIN CITATION SVC GM 01944 09/09 AP 02/17/09 0081952 DATA TICKET, INC. 989.22 26474 ADMIN CITATION SVC PREPARE6 uo/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 975 PROGRAM GM362LA CITY ------------------------------------------------------------------------------------------------------------------------------------ OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P• T I O N DEBITS CREDITS BALANCE 101-5004-424.31-19 Contract Services / Admin Citation Services GM 02081 09/09 AP 03/06/09 0082192 DATA TICKET, INC. 2,725.23 26631 CITATION SVC GM 02123 09/09 AP 03/14/09 0082192 DATA TICKET, INC. 1,237.12 26772 CITATION SVC GM 02066 09/09 AP 03/24/09 0082284 RIVERSIDE CNTY AUDITOR -CO 8,741.88 7/08-2/09 PARKING COLLECTIONS GM 02330 10/09 AP 04/07/09 0082596 DATA TICKET, INC.• 3,026.75 • 26928 CODE ADMIN CITATION -SVC GM 02406 11/09 AP 04/17/09 0082797 DATA TICKET, INC. 953.79 27094 ADMIN CITATION SVC GM 02679 12/09 AP 05/05/09 0083235 RIVERSIDE CNTY AUDITOR -CO 31306.00 060509 CITATION REV 3/1-4/30 GM 02475 11/09 AP 05/07/09 0083008 DATA TICKET, INC. 1,908.17 27263 ADMIN CITATION SVC GM 02561 11/09 AP 05/14/09 0083008 DATA TICKET, INC. 848.09 27434 ADMIN CITATION SVC GM 02870 12/09 AP 06/07/09 0083679 RIVERSIDE CNTY AUDITOR -CO 1,025.00 070209 CITATION REV MAY109 GM 02746 12/09 AP 06/10/09 0083392 DATA TICKET, INC.• 1,116.74 27588 MAY109 ADMIN CIT SVC GM 02828 12/09 AP 06/10/09 0083494 RIVERSIDE COUNTY RECORDER 26.00 APR'09 RECORDING FEES GM 02828 12/09 AP 06/11/09 0083495 RIVERSIDE COUNTY RECORDER 52.00 MAY109 RECORDING. FEES GM 02828 12/09 AP 06/15/09 0083392 DATA TICKET, INC. 628.57 27772 ADMIN CIT SVC GM 02915 12/09 AP 07/01/09 0083843 DATA TICKET, INC. 11508.00 27906 JUN109 ADMIN CITAITON GM 02926 12/09 AP 07/09/09 0083843 DATA TICKET, INC. 458.71 28103 JUN109 ADMIN CITATION SVC GM 02915 12/09 AP 07/15/09 0083891 RIVERSIDE COUNTY RECORDER 65.00 JUN109 RECORDING FEES ACCOUNT TOTAL 42,774.88 42,774.88 . 101-5004-424.32-10 Contract Services / Professional .00 ACCOUNT TOTAL .00 101-5004-424.34-04 Contract Services % Technical .00 GM 01979 09/09 AP Us/U5/09 0082257 MOYA, RICARDO 100.00 030509 DWELLING ABATEMENT GM 02696 12/09 AP 06/10/09 0083463 MOYA, RICARDO 60.00 09-0800 SECURE VACANT'PROPERTY GM 02696 12/09 AP 06/10/09 0083463 MOYA' RICARDO 90.00 09-3529 SECURE VACANT PROPERTY GM 02696 12/09 AP 06/10/09 0083463 MOYA, RICARDO 60.00 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk AtrIVITY LISTING PAGE 976 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 101-5004-424.34-04 Contract Services / Technical 09-0624 SECURE VACANT PROPERTY GM 02696 12/09 AP 06/10/09 0083463 MOYA, RICARDO 80.00 09-2489 SECURE VACANT PROPERTY ACCOUNT TOTAL 390.00 390.00 101-5004-424.42-04 Contract Services / Vehicle Abatement .'00 ACCOUNT TOTAL .00 101-5004-424.42-07 Contract Services / Lot Cleaning .00 GM 01261 06/09 AP 12/05/08 0081066 MOYA, RICARDO 300.00 2689 BOARDUP BURNT HOUSE GM.01532 07/09 AP 01/19/09 0081296 ECONOMY TREE & CRANE, INC 3,375.00 08-6537• WATERMARK VILLAS GM 01531 07/09 AP 01/22/09 0081402 MOYA, RICARDO 2,000.00 3453 LNDSCP CS#7-2104 GM 01944 09/09 AP 02/26/09 0082008 MOYA, RICARDO 350.00 9872 LOT ABATEMENT GM 01944 09/09 AP 02/26/09 0082008 MOYA, RICARDO 250.00 9873 LOT ABATEMENT GM 01944 09/09 AP 02/26/09 0082008 MOYA, RICARDO 325.00 9871 LOT ABATEMENT GM 01944 09/09 AP 03/05/09 0082008 MOYA, RICARDO 250.00 08-1708 LOT ABATEMENT GM 01946 09/09 AP 03/05/09 0082008 MOYA, RICARDO 200.00 18-1707 LOT ABATEMENT GM 02233 10/09 AP 04/03/09 0082492 SKAHILL, JOSEPH 200.00 09-400 LOT CLEANING GM 02820 12/09 AP 06/16/09 0083507 SKAHILL, JOSEPH 250.00 09-403 LOT CLEANING ACCOUNT TOTAL 7,.500.00 7,500.00 101-5004-424.42-40 Contract Services / Low -Income, Housing Grants .00 GM 02893 12/09 AP 05/29/09 0083655 LA QUINTA ROTARY CLUB 542.66 CAMARGO REIMB BTU HEAT/COOL GM 02902 12/09 AJ 06/30/09 AJE 12-054 RECL INVOICE TO FY 09/10 542.66 - ACCOUNT TOTAL 542.66 542.66 .00 101-5004-424.44-01 Contract Services / Equipment Rental .00 ACCOUNT TOTAL .00 PREPAREL ..;12/2010, 9:26:27 GENERAL LEDGEk _.fIVITY LISTING rAWE 977 PROGRAM GM362LA CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.51-01 Services & Supplies / Travel/ Training .00 GM 00309 02/09 AP 07/30/08 0079426 HSBC BUSINESS SOLUTIONS 110.79 706060 CODE TRAINING GM 00590 03/09 AP 09/24/08 0079728 EMBASSY SUITES LAKE TAHOE 1,054.54 87005196 CACEO CONF GM 00590 03/09 AP 09/24/08 0079723 CACEO 1,480.00 SO LAKE TAHOE CACEO CONF GM 00672 04/09 AP 10/06/08 0079723 CACEO 1,480.00 SO LAKE TAHOE CACEO CONF GM 00671 04/09 AP 10/06/08 0079967 CACEO 740.00 JACKIE/KEVIN CACEO CONF GM 00671 04/09 AP 10/06/08 0079968 CACEO 740.00 DEBY/MOISES CACEO CONF GM 00720 04/09 AP 10/08/08.0079975 CASH/PETTY CASH 8.00 100808 REPLENISH CASH CR 00912 04/09 CR 10/24/08 0005446 TRVL EXP/ADV-RODARTE 95.16 MANCILLA 10/24/08 01 CR 00912 04/09 CR 10/24/08 0005447 TRVL EXP/ADV-MISURACA 121.27 MANCILLA 10/24/08 01 CR 00912 04/09 CR 10/24/08 0005445 TRVL EXP/ADV K MEREDITH 109.98 PPARKER 10/24/08 01 GM 00886 04/09 AP 10/24/08 0080226 CONRAD, DEBRA 229.09 LAKE TAHOE CODE ENFRCMT SEMINAR GM 01443 07/09 AP 01/07/09 0081152 MONROVIA, CITY OF 40.00 LOPEZ,CONRAD. CORE TRAINING GM 01575 07/09 AP 01/14/09 0081368 HSBC BUSINESS SOLUTIONS 73.14 024190 CODE TRAINING GM 02264 10/09 AP 04/16/09 0082525 SKILLPATH ON-SITE 2,500.00 117148 CODE/ANIMAL CNTRL TRN ACCOUNT TOTAL 7,301.97 1,480.00 5,821.97 101-5004-424.51-02 Services & Supplies / Vehicle Reimbursement .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 100.00 PR 00035 01/09' AJ 07/11/08 PR0711 PAYROLL SUMMARY 60.00' PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 100.00 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 100.00 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 100.00 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 100.00 PR 00530 03/09 AJ 09/19/08 FR0919 PAYROLL SUMMARY' 100.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 100.00 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 100.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 100.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 100.00 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 100.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 100.00 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 100.00 PR•01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 100.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL'SUMMARY 100.00 PREPAREL .,/12/2010, 9:26:27 & Supplies / Printing GENERAL LEDGEk ittrIVITY LISTING PAGE 978 PROGRAM GM362LA 01/09 AJ 07/31/08 JE 01-031 REVR ACCRL PRINTNG PLACE . GM 00213 CITY OF LA GUINTA, CALIFORNIA --------------------------------------- AP 08/01/08 0079271 PRINTING FUND 101 General Fund --------------------------------------------------------------------------- 081142B ------------------ BEGINNING GROUP ACCTG ----TRANSACTION---- GM 00667 04/09 AP /ENDING APP NUMBER PER. ------------------------------------------------------------------------------------------------------------------------------------ CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.51-02 Services`& Supplies / Vehicle Reimbursement GM 00767 04/09 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 100.00 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 100.00 01012 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL .SUMMARY 100.00 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 100.00 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 100.00 PLACE, PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 100.00 COURTESY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 100.00 0082663 PR 02692 `12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 100.00 090759 PR•02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 100.00 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 70.00 ACCOUNT TOTAL 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 00264 01/09 AJ 07/31/08 JE 01-031 REVR ACCRL PRINTNG PLACE . GM 00213 02/09 AP 08/01/08 0079271 PRINTING PLACE, THE 081142B CITATION BOOKS GM 00667 04/09 AP 09/17/08 0080030 CDW GOVERNMENT INC LSX0401 SUPPLIES GM 00767 04/09 AP 09/30/08 0080104 PRINTING PLACE, THE 082303B WARNING NOTICE GM 01012 05/09 AP 10/31/08 0080473 PRINTING PLACE, THE 082727B CAMPAIGN LABLES GM 01979 09/09 AP 02/28/09 0082270 PRINTING PLACE, THE 090350B COURTESY NOTICE GM 02330 10/09 AP 04/14/09 0082663 PRINTING PLACE, THE 090759 GARAGE SALE SIGNS ACCOUNT TOTAL 101-5004-424.53-03 Services & Supplies / Membership Dues GM 00590 03/09 AP 09/24/08 0079725 CALIFORNIA ASSOC OF CODE ANNL DUES (4)MEMBERSHIPS GM 00673 04/09 AP 10/06/08 0079725 CALIFORNIA ASSOC OF CODE ANNL DUES (4)MEMBERSHIPS GM 00671 04/09 AP 10/06/08 0079969 CALIFORNIA ASSOC OF CODE DEBY/MOISES MEMBERSHIPS 2,470.00 2,002.19 488.37 560.30 636.32 608.30 774.49 5,009.97 300.00 150.00 60.00 2,002.19 2,002.19 300.00 2,410.00 .00 .00 .00 .00 .00 3,007.78 .00 PREPAREL .J/12/2010, 9:26:27 GENERAL LEDGEk A6rIVITY LISTING PAGE 979 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA -------------------------------------------------------------------------------------------------- FUND 101 General Fund ----------------------- ----------- BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD ------------------------------------------------------------------------------------------------------------------------------------ DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.53-03 Services & Supplies / Membership Dues GM 00671 04/09 AP 10/06/08 0079970 CALIFORNIA ASSOC OF CODE 150.00 JACKIE/KEVIN MEMBERSHIPS GM 02277 10/09 AP 04/23/09 0082533 AMERICAN ASSOC OF CODE 75.00 AACE100572 MEMBERSHIP RENEWAL ACCOUNT TOTAL 675.00 300.00 375.00 101-5004-424.53-04 Services & Supplies / Subscrip & Publications .00 ACCOUNT TOTAL .00 101-5004-424.53-05 Services & Supplies / Training & Education .00 ACCOUNT TOTAL .00 101-5004-424.54-01 Services & Supplies / Information Tech Charges .00 GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 35,610.00 ACCOUNT TOTAL 35,610.00 35,610.00 101-5004-424.56-01 Services & Supplies / Office Supplies .00 ACCOUNT TOTAL .00 101-5004-424.56-02 Services & Supplies / Operating Supplies .00 GM 00213 02/09 AP 08/01/08 0079214 DESERTARC 1,326.24 18664 UNIFORM SHIRTS GM 00937 05/09 AP 10/13/08 0080515 WAL MART COMMUNITY 322.99 2232 DIGITAL CAMERAS GM 00936 05/09 AP 10/23/08 0080492 STAPLES BUSINESS ADVANTAG 355.03 3110250651 DIGITAL CAMERAS GM 01150 06/09 AP•11/16/08 0080880 WAL MART COMMUNITY 322.99 002861 DIGITAL CAMERAS GM 01460 07/09 AP 01/02/09 0081190 DESERT UNIFORMS 134.42 467492 RAIN PONCHOS GM 02052 09/09 AP 02/27/09 0082199 DESERTARC 35.93 20210 UNIFORM GM 02746 12/09 AP 06/09/09 0083400 DESERT UNIFORMS 25:06 467547 UNIFORMS ACCOUNT TOTAL 2,•199.67 322.99 1,876.68 101-5004-424.56-28 Services & Supplies / Supplies - Field .00 PREPARED u3/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 980 PROGRAM GM362LA CITY OF LA ------------------------------------------------------------------------------------------------------------------------------------ QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER ------------------------------------------------------------------------------------------------------------------------------------ PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5004-424.56-28 Services & Supplies / Supplies - Field GM 00796 04/09 AP 08/29/08 0080205 ACE HARDWARE 8.07 100603 FIELD SUPPLIES GM 00794 04/09 AP 09/08/08 0080270 LOCK SHOP INC, THE 4.31 333999 KEYS -ANTHONY GM 01020 05/09 AP 10/25/08 0080492 STAPLES BUSINESS ADVANTAG 32.31 3110447083 FIELD SUPPLIES GM 01020 05/09 AP 10/25/08 0080492 STAPLES BUSINESS ADVANTAG 63.41 3110447082 FIELD SUPPLIES GM 01061 05/09 AP 11/01/08 0080704 STAPLES BUSINESS ADVANTAG 35.28 3111023586 FIELD SUPPLIES GM 02330 10/09 AP 04/17/09 0082684 STAPLES BUSINESS ADVANTAG 54.08 3118235779 OPERATING SUPPLIES GM 02746 12/09 AP 05/06/09 0083349 ACE HARDWARE 8.43 99615 FIELD SUPPLIES GM 02888 12/09 AP 06/28/09 0083812 HOME DEPOT CREDIT SERVICE 7.36 4022555 FIELD SUPPLIES GM 02921 12/09 AP 06/28/09 0083810 HOME DEPOT CREDIT SERVICE 7.36 4022555 FIELD SUPPLIES ACCOUNT TOTAL 220.61 220.61 101-5004-424.56-34 Services 8 Supplies / Supplies- Media .00 GM 00256 02/09 AP 07/31/08 0079288 STAPLES BUSINESS ADVANTAG 79.53 3106161668 SUPPLIES GM 01344 06/09 AP 12/02/08 0081001 COW GOVERNMENT INC 214.02 MNP2980 INK CARTRIDGES GM 02052 09/09 AP 03/11/09 0082183 COW GOVERNMENT INC 202.33 NMD6290 TONER -COLOR PRINTER GM 01985 09/09 AP 03/19/09 0082125 WELLS FARGO BUSINESS CARD 71.37 3072 VISA CARD PYMT GM 02561 11/09 AP 05/07/09 0083086 STAPLES BUSINESS ADVANTAG 173.99 3119211880 VIDEO CAMERA ACCOUNT TOTAL 741.24 741.24 101-5004-424.71-01 Capital Purchases / Machinery & Equipment .00 ACCOUNT TOTAL .00 101-5004-424.71-02 Capital Purchases / Furniture .00 ACCOUNT TOTAL* .00 101-5004-424.71-03 Capital Purchases / Vehicles .00 ACCOUNT TOTAL .00 PREPAREL w4/12/2010, 9:26:27 GENERAL LEDGEK A�riVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------------------ 101-5004-424.92-11 Other Charges / Fleet Maint Progr Charges GM 00123 01/09. AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 •BUDG 60,852.00 .00 ACCOUNT TOTAL 60,852.00 60,852.00 101-5006-426.10-01 Salaries & Wages / Permanent Full Time .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 6,591.08 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 3,954.70 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 6,735.19 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 6,735.20 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 6,735.21 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 6,735.20 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 6,735.19 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY. 6,735.19 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 6,735.20 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 6,735.20 PR 01030 0'5/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 6,735.20 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 6,735.20 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 6,735.20 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 6,735.20 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 7,874.71 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 6,750'.09 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 6,849.33 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 6,834.40 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY. 6,834.40 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 6,834.40 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 6,834.40 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 6,834.40 PR 02337 11/09 AJ 05/01/09 PRO501 •PAYROLL SUMMARY 6,834.41 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 6,893.93 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 6,884.00 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 6,998.91 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 6,938.70 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 4,857.11 ACCOUNT TOTAL 182,466.65 3,954.70 178,511.95 101-5006-426.10-03 Salaries & Wages / Salaries - Part Time •.00 ACCOUNT TOTAL .00 101-5006-426.10-04 Salaries & Wages / Regular overtime .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 112.68 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 67.60 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL.SUMMARY 66.71 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 18.62 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 18.62 PREPAREL uo/12/2010, 9:26:27 GENERAL LEDGEK ACTIVITY LISTING PAGE 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 ------------------------------------------------------------------------------------------------------------------------ -------- 101-5006-426.10-04 Salaries & Wages / Regular overtime PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 132.47 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 13.68 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 95.91 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 9.31 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 65.16 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 24.43 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 35.43 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 34.72 187.50 PR 00788 04/09 ACCOUNT TOTAL 10/17/08 627.74 101-5006-426.10-05 Salaries & Wages / Temporary Agency Services ACCOUNT TOTAL 101-5006-426.10-14 Salaries & Wages / Regular Parttime 0/T ACCOUNT TOTAL 101-5006-426.10-15 Salaries & Wages / Standby PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 192.50 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 212.50 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 200.00 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 212.50 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 200.00 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 205.00 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 187.50 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 187.50 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 200.00 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 200.00 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 205.00 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 235.00 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 212.50 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 305.00 PR 01529 07/09 AJ 01/23/09 PRO125 PAYROLL SUMMARY 200.00 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 217.50. PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 200.00 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 217.50 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 230.00 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 187.50 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 200.00 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 200.00 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 200.00 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 200.00 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 217.50 67.60 560.14 115.50 .00 .00 .00 .00 .00 PREPAREL u4/12/2010, 9:26:27 GENERAL LEDGE m�TIVITY LISTING PAGE 983 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ---------------------------------------------------------- ------------------------------- 101-5006-426.10-15 Salaries & Wages / Standby PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 212.50 152.25 ACCOUNT TOTAL 5,589.75 115.50 5,474.25 101-5006-426.10-16 Salaries & Wages / Standby overtime .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 164.04 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 98.41 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 128.54 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 9.31 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 9.31 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 20.52 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 32.58 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 40.10 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 105.75 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 83.78 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 111.70 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 18.62 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 271.97 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 19.55 PR •01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 47.48 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 18.62 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 77.26 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 203.87 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 39.09 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 127.17 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 170.41 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY 170.14 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 64.04 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 119.35 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 10.26 ACCOUNT TOTAL 2,063.46 98.41 1,965.05 101-5006-426.10-18 Salaries & Wages / Natural Diaster - FEMA .00 ACCOUNT TOTAL .00 101-5006-426.20-01 Employee Benefits / PERS-City Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 828.57 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 497.16 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 846.67 PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY 846.67 PR 00323 02/09 AJ 08/22/08 PR0S22 PAYROLL SUMMARY 846.68 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 846.67 PR 00530 03/09 'AJ 09/19/08 PR0919 PAYROLL SUMMARY 846.67 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEK AuTIVITY LISTING PAGE 984 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 101-5006-426.20-01 PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5006-426.20-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ Employee Benefits 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PRIO31 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PR0109 01/23/09 PR0123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PR0306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Employee 07/11/08 07/11/08 07/25/08 08/08/08 08/22/08 09/05/08 09/19/08 10/03/08 10/17/08 10/31/08 11/14/08 11/26/08 12/12/08 12/24/08 01/09/09 01/23/09 02/06/09 02/20/09 03/06/09 03/20/09 04/03/09 04/17/09 05/01/09 Benefits PR0711 PR0711 PR0725 PR0808 PR0822 PR0905 PR0919 PR1003 PR1017 PR1031 PR1114 PR1126 PR1212 PR1224 PR0109 PR0123 PR0206 PR0220 PR0306 PR0320 PR0403 PR0417 PR0501 PERS-City 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 PAYROLL SUMMARY PAYROLL SUMMARY 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY DEBITS CREDITS 846.67 846.67 846.67 846.67 846.67 846.67 846.67 845.55 848.54 861.02 859.15 859.15 859.15 8591.15 859.15 859.16 866.64 865.39 879.85 872.28 588.79 22,771.59 527.29 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.81 538.10 540.00 547.94 546.75 546.75 546.75 546.75 546.75 546.75 497.16 316.37 BEGINNING /ENDING BALANCE 22,274.43 .00 PREPAREL /12/2010, 9:26:27 GENERAL LEDGEk h%.TIVITY LISTING PAGE 985 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I'P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.20-02 Employee Benefits / PERS-Employee Portion PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5006-426.20-03 Employee Benefits / PERS-Survivor Benefits ACCOUNT TOTAL 101-5006-426.21-01 Insurance Benefits / Medical Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 'PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 551.51 550.72 559.92 555.10 388.58 14,505.38 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,215.41 1,253.71 1,253.71 1,253.71 1,253.71 1,253.71 1,253.71 1,253.71 316.37 778.13 48.88 48.88 48.88 48.88 48.88 48.88 48.88 48.88 48.88 45.46 45.46 45.46 45.46 45.46 45.46 66.42 14,189.01 .00 .00 .00 PREPAREi, uo/12/2010, 9:26:27 GENERAL LEDGEK AVTIVITY LISTING PAGE 986 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund 'BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.21-01 PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/0.9 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5006-426.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits / 03/20/09 PRO320 03/20/09 PRO320 04/03/09 PRO403 04/03%09 PRO403 04/17/09 PRO417 04/17/09 PRO417 05/01/09 PRO501 05/01/09 PRO501 05/15/09 PRO515 05/15/09 PRO515 06/12/09 PR0612 06/12/09 PRO612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PRO822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PRO320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PRO501 05/15/09 PR0515 06/12/09 PRO612 06/26/09 PRO626 07/10/09 PR0710 ACCOUNT TOTAL 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 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 1,253.71 1,253.71 1,253.71 1,253.71 1,253.71 1,324.39 1,324.39 •927.08 30,774'.48 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 21.80 18.54 18.54 13.93 530.61 66.42 66.42 66.42 66.42 66.42 67.13 67.13 2,023.59 13.09 13.09 28,750.89 .00 517.52 PREPAREL ua/12/2010, 9:26:27 GENERAL LEDGEk ALrIVITY LISTING PAGE 987 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ---------- FUND 101 ----------------------------------------------- General Fund -------------------- --------------------- ----------------------------------- BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5006-426.21-03 Insurance Benefits / Dental Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 108.04 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 64.81 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 108.04 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 108.04 PR 00323 02/09 AJ 08/22/08 PR0822' PAYROLL SUMMARY 108.04 PR 00434 03/09 AJ 09/05/08 PR0905 .PAYROLL SUMMARY 108.04 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 108.04 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 108.04 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 108.04 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 108.04 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 108.04 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 108.04 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 108.04 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 108.04 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 108.04 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 108.04 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 108.04 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 108.04 PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY 108.04 PR 02126 10/09 AJ 04/03/09 PRO403 PAYROLL SUMMARY 108.04 PR 02229 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY 108.04 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 108.04 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 108.04 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 108.04 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 108.04 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 75.62 ACCOUNT TOTAL 2,668.58 64.81 2,603.77 101-5006-426.21-05 Insurance Benefits / Life Insurance .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 9.60 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 5.76 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 9.60 PR 00240 02/09 AJ 08/08/.08 PR0808 PAYROLL SUMMARY 9.60 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 9.60 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 9.60 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 9.60 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 9.60 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 9.60 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 9.60 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 9.60 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 9.60 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 9.60 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 9.60 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 9.60 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 9.60 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 9.60 PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY 9.60 PREPAREL w4/12/2010, 9:26:27 GENERAL LEDGEk AtrivITY LISTING rAWE 988 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION-- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.21-05 PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ Insurance Benefits 03/20/09 PRO320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PRO515 06/12/09 PRO612 06/26/09 PRO626 07/10/09 PR0710 / Life Insurance PAYROLL -SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL 101-5006-426.21-06 Insurance Benefits / Flexible Compensation 101-5006-426.21-07 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02583 11/09 AJ PR 02692 .12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PRO808 08/22/08 PRO822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PRIO31 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PR0320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PR0501 05/15/09 PR0515 05/29/09 PR0529 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 / 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 PAYROLL SUMMARY PAYROLL SUMMARY ACCOUNT TOTAL 9.60 9.60 9.60 9.60 9.60 9.60 9.60 6.72 237.12 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 72.72 73.26 73.80 73.80 73.80 73.80 73.80 73.80 73.80 74.34 74.34 74.93 74.93 52.45 1,958.93 5.76 43.62 43.62 231.36 .00 .00 .00 1,915.31 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGEk A%.rIVITY LISTING PAGE 989 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE --- ---------------- ---------------- ----- ----- --------- ------------------ ------------ ---------------------- -------------------------- 101-5006-426.25-01 Workers Comp Insurance PR 00035 01'/09 AJ 07/11/08 PR0711 PR 00035 01/09 AJ 07/11/08 PR0711 PR 00105 01/09 AJ 07/25/08 PR0725 PR 00240 02/09 AJ 08/08/08 PR0808 PR 00323 02/09 AJ 08/22/08 PR0822 PR 00434 03/09 AJ 09/05/08 PR0905 PR 00530 03/09 AJ 09/19/08 PR0919 PR 00634 04/09 AJ 10/03/08 PR1003 PR 00788 04/09 AJ 10/17/08 PR1017. PR 00899 04/09 AJ 10/31/08 PR1031 PR 01030 05/09 AJ 11/14/08 PR1114 PR 01065 05/09 AJ 11/26/08 PR1126 PR 01239 06/09 AJ 12/12/08 PR1212 PR 01292 06/09 AJ 12/24/08 PR1224 PR 01415 07/09 AJ 01/09/09 PR0109 PR 01529 07/09 AJ 01/23/09 PR0123 PR 01670 08/09 AJ 02/06/09 PR0206 PR 01791 08/09 AJ 02/20/09 PR0220 PR 01902 09/09 AJ 03/06/09 PR0306 PR 01986 09/09 AJ 03/20/09 PR0320 PR 02126 10/09 AJ 04/03/09 PR0403 PR 02229 10/09 AJ 04/17/09 PR0417 PR 02337 11/09 AJ 05/01/09 PR0501 PR 02462 11/09 AJ 05/15/09 PR0515 PR 02583 11/09 AJ 05/29/09 PR0529 PR 02692 12/09 AJ 06/12/09 PR0612 PR 02791 12/09 AJ 06/26/09 PR0626 GM 02997 13/09 AJ 06/30/09 AJE 13-005 PR 02883 12/09 AJ 07/10/09 PR0710 ACCOUNT TOTAL / 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 PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY ALLOCATE PREPAID W/C PAYROLL SUMMARY 101-5006-426.27-01 Other Benefits 8 Deduc. / State Unemployment SUI 101-5006-426.27-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00899 04/09 AJ ACCOUNT TOTAL Other Benefits & 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 10/31/08 PR1031 Deduc. / Social Security -Medicare PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 171.43 174.79 171.83 172.19 171.18 170.66 170.45 171.73 171.83 176.35 174.54 176.06 171.73 199.07 171.83 176.84 175.03 174.99 177.12 180.12 175.38 175.58 180.89 180.12 178.34 179.46 123.83 4,693.37 102.37 102.60 100.68 101.84 101.12 101.36 100.37 102.29 101.34 102.86 1,210.00. 1,312.86 61.42 .00 3,380.51 .00 .00 .00 PREPARED u3i12/2010, 9:26:27 GENERAL LEDGER Ac-rIVITY LISTING PAGE 990 PROGRAM GM362LA 01214 06/09 AP 08/06/08 0080878 VALLEY ANIMAL MEDICAL CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund GM BEGINNING GROUP ACCTG ----TRANSACTION---- 0079329 VALLEY ANIMAL MEDICAL CEN /ENDING APP NUMBER --------------------------------------------------------------------------------------------7--------------------------------------- PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5006-426.27-03 GM Other Benefits & Deduc. / Social Security -Medicare 08/19/08 0080878 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 103.47 380173 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 101.83 AP PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 102.81 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 101.01 01214 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 123.49 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 101.06 L PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 103.14 CEN PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 102.26 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 102.25 VALLEY ANIMAL PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 103.55 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 104.75 11/12/08 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 102.93 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY. 104.36 06/09 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 105.33 PR 02583. 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 105.67 GM PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 105.57 75.00 PR 02791 12/09 AJ 06/26/09 PRO626 PAYROLL SUMMARY 105.42 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 72.77 MEDICAL ACCOUNT TOTAL 2,765.64 101-5006-426.32-10 Contract Services / Professional ACCOUNT TOTAL 101-5006-426.33-25 Contract Services / Veterinarian GM 01214 06/09 AP 08/06/08 0080878 VALLEY ANIMAL MEDICAL CEN 40.00 379604 VET SVC GM 00263 02/09 AP 08/12/08 0079329 VALLEY ANIMAL MEDICAL CEN 327.00 081208 VET SERVICES GM 01214 06/09 AP 08/19/08 0080878 VALLEY ANIMAL MEDICAL CEN 80.00 380173 VET SVC GM 01214 06/09 AP 10/01/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 382021 VET SVC GM 01214 06/09• AP 10/01/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 381978 VET SVC GM 01214 06/09 AP 10/22/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 382954 VET SVC GM 01214 06/09 AP 10/22/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 382953 VET SVC GM 01214 06/09 AP 11/12/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 383995 VET SVC GM 01214 06/09 AP 11/24/08 0080878 VALLEY ANIMAL MEDICAL CEN 75.00 384625 VET SVC GM 01715 08/09 AP 02/02/09 0081650 VALLEY ANIMAL MEDICAL CEN 75.00 389295 VET SERVICES GM 01715 08/09 AP 02/02/09 0081650 VALLEY ANIMAL MEDICAL CEN 75.00 61.42 2,704.22 .00 .00 .00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AtiIVITY LISTING PAGE 991 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.33-25 Contract Services / Veterinarian 387653 VET SERVICES GM 01715 08/09 AP 02/02/09 0081650 VALLEY ANIMAL MEDICAL CEN 75.00 386404 VET SERVICES GM 01715 08/09 AP 02/02/09 0081650 VALLEY ANIMAL MEDICAL CEN 75.00 385693 VET SERVICES GM 02561 11/09 AP 03/10/09 0083004 COMMUNITY HEALTH AGENCY 6,077.50 JAN'09 SHELTER SVC GM 02926 12/09 AP 03/16/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 392268 VET SERVICE GM 02926 12/09 AP 03/22/09 0083917 VALLEY ANIMAL MEDICAL CEN 150.00 392766 VET SERVICE GM 02926 12/09 AP 03/26/09. 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 393031 VET SERVICE GM 02926 12/09 AP 03/27/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 393146 VET SERVICE GM 02926 12/09 AP 03/30/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 393373 VET SERVICE GM 02926 12/09 AP 04/15/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 394541 VET SERVICE GM 02926 12/09 AP 04/16/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 394598 VET SERVICE GM 02561 11/09 AP 04/27/09 0083004 COMMUNITY HEALTH AGENCY 6,063.50 FEB109 SHELTER -SVC GM 02561 11/09 AP 04/27/09 0083004 COMMUNITY HEALTH AGENCY 6,063.50 MAR109 SHELTER SVC GM 02926 12/09 AP 04/30/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 395604 VET SERVICE GM 02926 12/09 AP 06/02/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 397733 VET SERVICE GM 02926 12/09 AP 06/02/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 397732 VET SERVICE GM 02926 12/09 AP 06/26/09 0083917 VALLEY ANIMAL MEDICAL CEN 75.00 399148 VET SERVICE ACCOUNT TOTAL 20,301.50 101-5006-426.34-04 Contract Services / Technical ACCOUNT TOTAL 101-5006-426.44-01 Rent / Equipment Rental ACCOUNT TOTAL 101-5006-426.44-07 Rent / Uniforms GM 00213 02/09 AP 08/01/08 0079214 DESERTARC 331.30 20,301.50 .00 .00 .00 .00 .00 PREPARED 03/12/2010, 9:26:.27 GENERAL LEDGER ACTIVITY LISTING PAGE 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.44-07 Rent / Uniforms / Animal Shelter GM 18664 UNIFORM SHIRTS AP GM 01451 07/09 AP 12/23/08 0081195 GALLS RETAIL 112.06 8237 JACKETS HS2206 GM 01460 07/09• AP 01/02/09 0081190 DESERT UNIFORMS 134:42 01/09 467492 RAIN PONCHOS REVR ACCRL PRINTNG PLACE GM 02561 11/09 AP 05/15/09 0083011 DESERT UNIFORMS 1,957.64 AP 467540 ANL CNTRL UNIFORM 186.23 ACCOUNT TOTAL 2,535.42 101-5006-426.51-01 Services & Supplies / Travel & Training GM 00327 ACCOUNT TOTAL AP 08/11/08 0079378 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 ACCOUNT TOTAL 101-5006-426.51-07 Services & Supplies / Animal Shelter GM 00232 02/09 AP 07/01/08 0079278 RIVERSIDE COMMUNITY HEALT 5_,955.92 HS2206 SHELTER SERVICES -JUNE GM 00264 01/09 AJ 07/31/08 JE 01-031 REVR ACCRL PRINTNG PLACE GM 00213 02/09 AP 08/01/08 0079201 CHECKMATE TELEPHONE EXCHA 186.23 080702232101 ANSWERING SERVICE GM 00327 02/09 AP 08/11/08 0079378 CHECKMATE TELEPHONE EXCHA 173.83 080802232101 ANSWERING SVC GM•00534 03/09 AP 09/08/08 0079774 CHECKMATE.TELEPHONE EXCHA 149.13 80902232101 ANSWERING SERVICE GM 00667 04/09 AP 09/23/08 0080030 COMMUNITY HEALTH AGENCY 5,879.92 HS0000002230 SHELTER SVC GM 00767 04/09 AP 10/06/08 0080035 CHECKMATE TELEPHONE EXCHA 158.68 081002232101 ANSWERING SVC GM 01061 05/09 AP 11/03/08 0080590 CHECKMATE TELEPHONE EXCHA 182.93 081102232101 ANSWERING SVC GM 01192 06/09 AP 11/25/08.0080798° COMMUNITY HEALTH AGENCY 17,767.76 HS0000002254 SHLTR SVC-AUG,SEP,OCT 5,955.92• 2', 535.42 .00 .00 .00 .00 .00 .00 .00 .00 .00 PREPARED w�,'12/2010, 9:26:27 GENERAL LEDGER AU:'IVITY LISTING PAGE 993 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP ------------------------------------------------------------------------------------------------------------------------------------ NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE 101-5006-426.51-07 Services & Supplies / Animal Shelter GM 01214 06/09 AP 12/01/08 0080794 CHECKMATE TELEPHONE EXCHA 176.53 081202232101 ANSWERING SVC GM 01458 07/09 AP 12/23/08 0081185 COMMUNITY HEALTH AGENCY 5,879.92 HS0000002275 SHELTER SERVICES GM 01460 07/09 AP 12/29/08 0081182 CHECKMATE TELEPHONE EXCHA 190.23 081202232102 ANSWERING SVC GM 01715 08/09 AP 01/26/09 0081542 CHECKMATE TELEPHONE EXCHA 208.23 090102232101 ANSWERING SVC GM 01715 08/09 AP 01/28/09 0081549 COMMUNITY HEALTH AGENCY 5,887.92 DEC108 SHELTER SVC GM 01944 09/09 AP 02/23/09 0081949 CHECKMATE TELEPHONE EXCHA 162.23 090202232101 ANSWERING SVC GM 02123 09/09 AP 03/23/09 0082184 CHECKMATE TELEPHONE EXCHA 193.03 090302232101 ANSWERING SVC GM 02330. 10/09 AP 04/20/09 0082588 CHECKMATE TELEPHONE EXCHA 119.70 090402232101 ANIML CNTRL-ANSWERING SVC GM 02679 12/09 AP 05/15/09 0083178 COMMUNITY HEALTH AGENCY 61061.50 APR109 SHELTER SVC GM 02561 11/09 AP 05/18/09 0082997 CHECKMATE TELEPHONE EXCHA 214.73 090502232101 ANSWERING SVC GM 02828 12/09 AP 06/11/09 0083383 COMMUNITY HEALTH AGENCY 6,057.50 MAY109 SHELTER SVC GM 02828 12/09 AP 06/15/09 0083376 CHECKMATE TELEPHONE EXCHA 339.06 090602232101 ANSWERING SVC ACCOUNT TOTAL 55,944.98 5,955.92 49,989.06 101-5006-426.51-09 Services 8 Supplies / Imported Red Ant Program .00 GM 01592 07/09 AP 01/15/09 0081466 COACHELLA VALLEY MOSQUITO 495.96 CM10014 2008-2009 ASSESSMENT ACCOUNT TOTAL 495.96 495.96 101-5006-426.53-01 Services 8 Supplies / Printing .00 GM 00535 03/09 AP 09/11/08 0079884 PRINTING PLACE, THE 420.23 82315 PRINTING GM 00667 04/09 AP 09/29/08 0080104 PRINTING PLACE', THE 419.23 082314 DOOR HANGERS ACCOUNT TOTAL 839.46 839.46 101-5006-426.53-03 Services 8 Supplies / Membership Dues .00 GM 01214 06/09 AP 12/01/08 0080785 CALIFORNIA'ANIMAL CONTROL 150.00 1143 MEMBERSHIP DUES GM 01576. 07/09 AP 01/22/09 0081440 STATE HUMANE ASSOC OF CAL 260.00 CONRAD MEMBERSHIP/HANDBKS PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER AU 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006=426.53-03 Services & Supplies / Membership Dues ACCOUNT TOTAL 410.00 101-5006-426.53-04 Services & Supplies / Subscrip & Publications ACCOUNT TOTAL 101-5006-426.54-01 Services & Supplies / Information Tech Charges GM 00125 01/09 AJ 07/31/08 JE 01-014 INFO TECH CHRG 08/09 BUDG 12,568.00 ACCOUNT TOTAL 12,568.00 101-5006-426.56-01 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 00232 02/09 AP 07/25/08 0079186 ACE HARDWARE 26.38 100347 FIELD SUPPLIES GM 00796 04/09 AP 08/06/08 0080205 ACE HARDWARE 3.53 100442 FIELD SUPPLIES GM 01061 05/09 AP 10/27/08 0080584 CAMPBELL PET COMPANY 69.21 0230795 -IN LEASHES GM 01190 06/09 AP 12/04/08 0080781 BOARD OF EQUALIZATION 5.00 97-829622 NOV108 SALES TAX GM 02224 10/09 AP 03/03/09 0082398 ACE HARDWARE 10.32 102190 SUPPLIES GM 02052 09/09 AP 03/04/09 0082179 CAMPBELL PET COMPANY 69.23 0235202 -IN LEASHES GM 02341 11/09 AP 03/31/09 0082764 ACE HARDWARE 62.37 99075 ANIML CNTRL-SUPPLIES GM 02176 10/09 AP 04/03/09 0082392 SILVERROCK RESORT 5.00 97-829622 MAR109 SALES TAX GM 02810 12/09 AP 06/26/09 0083308 CASH/PETTY CASH 8.34 08/09 PETTY CASH REIMB ACCOUNT TOTAL 259.38 410.00 .00 .00 .00 12,568.00 .00 .00 .00 .00 .00 259.38 101-5006-426.71-01 Capital Purchases / Machinery & Equipment .00 PREPARED ua.,12/2010, 9:26:27 GENERAL LEDGER AViIVITY 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 I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5006-426.71-01 Capital Purchases / Machinery 8 Equipment ACCOUNT TOTAL 101-5006-426.71-02 Capital Purchases / Furniture ACCOUNT TOTAL 101-5006-426.71-03 Capital Purchases / Vehicles ACCOUNT TOTAL 101-5006-426.92-11 Other Charges / Fleet Maint Progr Charges GM 00123- 01/09 AJ 07/31/08 JE 01-015 EQUIP REPL EXP 08/09 BUDG 30,392.00 ACCOUNT TOTAL 30,392.00 101-5008-419.10-01 Salaries 8 Wages / Permanent Full Time PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 31680.64 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 3,761.10 PR 00240 02/09 AJ 08/08/08 PR0808' PAYROLL SUMMARY 3,761.10 PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY 3,761.10 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 3,761.10 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 3,761.10 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 3,761.10 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 3,761.10 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 3,761.10 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 3,761.10 PR 01065 05/09 AJ. 11/26/08 PR1126 PAYROLL SUMMARY 3,761.10 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 3,926.33 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 3,949.10 PR 01415 07/09 AJ 01/09/09 PR0109 PAYROLL SUMMARY 4,165.93 PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY 31949.10 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 31949.10 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 31949.10 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 3,949.10 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 31949.10 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 3,949.10 PR 02229 10/09 AJ 04/17/09 PRO517 PAYROLL SUMMARY 3,949.10 PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY 3,949.10 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 3,949.10 PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY .3,949.10 PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY 3,949.10 PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 3,949.10 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 2,764.40 2,208.40 .00 .00 .00 .00 .00 .00 30,392.00 .00 PREPARED uo/12/2010, 9:26:27 GENERAL LEDGER ACTIVITY LISTING PAGE 996 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5008-419.10-01 Salaries & Wages / Permanent Full Time ACCOUNT TOTAL 103,486.60 2,208.40 101,278.20 101-5008-419.10-03 Salaries & Wages / Salaries - Part Time .00 ACCOUNT TOTAL .00 101-5008-419.10-05 Salaries & Wages / Temporary Agency Services .00 ACCOUNT TOTAL .00 101-5008-419.10-18 Salaries & Wages / Natural Diaster - FEMA .00 ACCOUNT TOTAL .00 101-5008-419.20-01 Employee Benefits / PERS-City Portion .00 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 462.69 PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY 277.62 PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY 472.81 PR 00240 02/09 AJ 08/08/08 PRO808 PAYROLL SUMMARY 472.81 PR 00323 02/09 AJ 08/22/08 PRO822 PAYROLL SUMMARY 472.81 PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 472.81 PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY 472.81 PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY 472.81 PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY 472.81 PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY 472.81 PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY 472.81 PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY 472.81 PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY 493.58 PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY 496.44 PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY 496.44 PR 01529 07/09 AJ 01/23/09 PRO123 PAYROLL SUMMARY 496.44 PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY 496.44 PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY 496.44 PR 01902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY 496.44 PR 01986 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY 496.44 PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY 496.44 PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY 496.44 PR 02337 11/09 AJ 05/01/09 PRO501 PAYROLL SUMMARY 496.44 PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY 496.44 PR 02583 11/09 AJ 05/29/09 PRO529 PAYROLL SUMMARY 496.44 PR 02692 12/09 AJ 06/12/09 PRO612 PAYROLL SUMMARY 496.44 PR•02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY 496.44 PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY 335.09 ACCOUNT TOTAL 12,969.62 277.62 12,692.00 PREPARED uoi12/2010, 9:26:27 GENERAL LEDGER AU IVITY LISTING 'PAGE 997 PROGRAM GM362LA CITY OF LA QUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP 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 Employee Benefits / PERS-Employee Portion PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 *01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ' 09/05/08 PR0905 PAYROLL SUMMARY PR 00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PRIO03 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PRIO17 PAYROLL SUMMARY PR 00899 04/09 AJ 10/31/08 PR1031 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ 01/09/09 PRO109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PRO123 -PAYROLL SUMMARY PR 01670 08%09 AJ 02/06/09 PR0206 PAYROLL SUMMARY - PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 01902 09/09 AJ 03/06/09 PRO306 PAYROLL SUMMARY PR 01986 09/09 AJ 03/20/09 PRO320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229. 10/09 AJ 04/17/09 PRO417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02583 11/09 AJ 05/29/09 PR0529 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5008-419.20-03 Employee Benefits / PERS-Survivor Benefits 101-5008-419.21-01 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 07/25/08 PR0725 08/08/08 PR0808 08/08/08 PRO808 08/22/08 PR0822 08/22/08 PR0822 09/05/08 PR0905 09/05/08 PR0905 09/19/08 PR0919 / Medical Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL -SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 294.45 300.89 300.89 300.89 300.89 300.89 300.89 300.89 300.89 300.89 300.89 314.11 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 315.93 221.15 8,261.63 806.35 806.35 806.35 806.35 806.35 806.35 176.67 176.67 525.79 41.98 41.98 41.98 41.98 .00 8,084.96 .00 .00 -.00 PREPARED ua.'12/2010, 9:26:27 GENERAL LEDGER AUiIVITY LISTING PAGE 998 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5008-419.21-01 PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01415 07/09 AJ 'PR 01529 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5008-419.21-02 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ Insurance Benefits / 09/19/08 PR0919 10/03/08 PR1003 10/03/08 PR1003 10/17/08 PR1017 10/17/08 PR1017 11/14/08 PR1114 11/14/08 PR1114 11/26/08 PR1126 11/26/08 PR1126 12/12/08 PR1212 12/12/08 PR1212 12/24/08 PR1224 12/24/08 PR1224 01/09/09 PR0109 01/09/09 PR0109 01/23/09 PR0123 01/23/09 PR0123 02/06/09 PR0206 02/06/09 PR0206' 02/20/09 PR0220 02/20/09 PR0220 03/06/09 PR0306 03/06/09 PR0306 03/20/09 PR0320 03/20/09 PR0320 04/03/09 PR0403 04/03/09 PR0403 04/17/09 PR0417. 04/17/09 PR0417 05/01/09 PR0501 05/01/09 PR0501 05/15/09 PR0515 05/15/09 PR0515 06/12/09.PR0612 06/12/09 PR0612 06/26/09 PR0626 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance Benefits 07/11/08 PR0711 07/11/08 PR0711 07/25/08 PR0725 08/08/08 PR0808 08/22/08 PR0822 09/05/08 PR0905 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 / Vision Insurance PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY PAYROLL SUMMARY 806.35 806.35 806.35 806.35' 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 848.13 593.69 20,531.01 16.28 16.28 16.28 16.28 16.28 41.98 41.98 41.98 . 41.98 41.98 53.65 53.65 53.65 53.65 53.65 53.65 53.65 53.65 53.65 53.65 53.65 53.65 54.36 54.36 1,656.13 9.77 18,874.88 .00 PREPAREL wJ,'12/2010, 9:26:27 GENERAL LEDGEk A6 IVITY LISTING PAGE 999 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 0 N 101-5008-419.21-02 PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ' PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ PR 02791 12/09 AJ PR 02883 12/09 AJ 101-5008-419.21-03 PR 00035 01/09 AJ PR 00035 01/09 AJ PR 00105 01/09 AJ PR 00240 02/09 AJ PR 00323 02/09 AJ PR 00434 03/09 AJ PR 00530 03/09 AJ PR 00634 04/09 AJ PR 00788 04/09 AJ PR 01030 05/09 AJ PR 01065 05/09 AJ PR 01239 06/09 AJ PR 01292 06/09 AJ PR 01415 07/09 AJ PR 01529 07/09 AJ PR 01670 08/09 AJ PR 01791 08/09 AJ PR 01902 09/09 AJ PR 01986 09/09 AJ PR 02126 10/09 AJ PR 02229 10/09 AJ PR 02337 11/09 AJ PR 02462 11/09 AJ PR 02692 12/09 AJ Insurance Benefits / 09/19/08 PR0919 10/03/08 PR1003 10/17/08 PR1017 11/14/08 PR1114 11/26/08 PR1126 12/12/08 PR1212 12/24/08 PR1224 01/09/09 PRO109 01/23/09 PRO123 02/06/09 PR0206 02/20/09 PR0220 03/06/09 PRO306 03/20/09 PRO320 04/03/09 PR0403 04/17/09 PR0417 05/01/09 PRO501 05/15/09 PRO515 06/12/09 PR0612 06/26/09 PR0626 07/10/09 PR0710 ACCOUNT TOTAL Insurance 07/11/08 07/11/08 07/25/08 08/08/08 08/22/08 09/05/08 09/19/08 10/03/08 10/17/08 11•/14/08 11/26/08 12/12/08 12/24/08 01/09/09 01/23/09 02/06/09 02/20/09 03/06/09 03/20/09 04/03/09 04/17/09 05/01/09 05/15/09 06/12/09 Benefits PR0711 PR0711 PR0725 PR0808 PRO822 PR0905 PR0919 PR1003 PR1017 PR1114 PR1126 PR1212 PR1224 PRO109 PRO123 PR0206 PR0220 PR0306 PRO320 PR0403 PR0417 PRO501 PRO515 PRO612 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 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16.28 16, 28 16.28 16.28 16.28 16.28 16.28 16.28 12.20 402.92 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 72.04 9.77 43.22 BEGINNING /ENDING BALANCE 393.15 00 PREPAREL V4/'1212010, 9:26:27 GENERAL LEDGEk N%.iIVITY LISTING PAGE1000 PROGRAM GM362LA CITY OF LA GUINTA, CALIFORNIA ------------------------------------------------------------------------------------------------------------------------------------ FUND 101 General Fund BEGINNING GROUP ACCTG ----TRANSACTION---- /ENDING APP NUMBER PER. CD DATE NUMBER D E S C R I P T I O N DEBITS CREDITS BALANCE ------------------------------------------------------------------------------------------------------------------------------------ 101-5008-419.21-03 Insurance Benefits / Dental Insurance PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL .101-5008-419.21-05 Insurance Benefits / Life Insurance PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY PR.00530 03/09 AJ 09/19/08 PR0919 PAYROLL SUMMARY PR 00634 04/09 AJ 10/03/08 PR1003 PAYROLL SUMMARY PR 00788 04/09 AJ 10/17/08 PR1017 PAYROLL SUMMARY PR 01030 05/09 AJ 11/14/08 PR1114 PAYROLL SUMMARY PR 01065 05/09 AJ 11/26/08 PR1126 PAYROLL SUMMARY PR 01239 06/09 AJ 12/12/08 PR1212 PAYROLL SUMMARY PR 01292 06/09 AJ 12/24/08 PR1224 PAYROLL SUMMARY PR 01415 07/09 AJ•01/09/09 PR0109 PAYROLL SUMMARY PR 01529 07/09 AJ 01/23/09 PR0123 PAYROLL SUMMARY PR 01670 08/09 AJ 02/06/09 PR0206 PAYROLL SUMMARY PR 01791 08/09 AJ 02/20/09 PR0220 PAYROLL SUMMARY PR 0.1902 09/09 AJ 03/06/09 PR0306 PAYROLL SUMMARY PR 01986' 09/09 AJ 03/20/09 PR0320 PAYROLL SUMMARY PR 02126 10/09 AJ 04/03/09 PR0403 PAYROLL SUMMARY PR 02229 10/09 AJ 04/17/09 PR0417 PAYROLL SUMMARY PR 02337 11/09 AJ 05/01/09 PR0501 PAYROLL SUMMARY PR 02462 11/09 AJ 05/15/09 PR0515 PAYROLL SUMMARY PR 02692 12/09 AJ 06/12/09 PR0612 PAYROLL SUMMARY PR 02791 12/09 AJ 06/26/09 PR0626 PAYROLL SUMMARY PR 02883 12/09 AJ 07/10/09 PR0710 PAYROLL SUMMARY ACCOUNT TOTAL 101-5008-419.21-06 Insurance Benefits / Flexible Compensation ACCOUNT TOTAL 101-5008-419.21-U7 insurance Benefits / Long Term Disability PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00035 01/09 AJ 07/11/08 PR0711 PAYROLL SUMMARY PR 00105 01/09 AJ 07/25/08 PR0725 PAYROLL SUMMARY PR 00240 02/09 AJ 08/08/08 PR0808 PAYROLL SUMMARY PR 00323 02/09 AJ 08/22/08 PR0822 PAYROLL SUMMARY PR 00434 03/09 AJ 09/05/08 PR0905 PAYROLL SUMMARY 72.04 50.43 1,779.39 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 6.40 4.48 158.08 40.62 40.62 40.62 40.62 40.62 43.22 3.84 3.84 24.37 1,736.17 .00 154.24 .00 .00 .00