PREPARED 08/16/2005 
14:42:01                           
EXPENDITURE APPROVAL LIST
PROGRAM: GM339L                                       
REPORT PARAMETER SELECTIONS
EAL DESCRIPTION:  EAL: 08162005 
LOVE_K
VOUCHER SELECTION 
CRITERIA
   Voucher/discount due date  . . . . . . . . . . .  08/16/2005
   All banks . . . . . . .  . . . . . . . . . . . .  A
REPORT SEQUENCE 
OPTIONS:
   Vendor . . . . . . . . .      One vendor per page? (Y,N)  . . . . . . . . . .  N
   Bank/Vendor  . . . . . .  X   One vendor per page? (Y,N)  . . . . . . 
. . . .  N
   Fund/Dept/Div  . . . . .
   Fund/Dept/Div/Element/Obj
   Proj/Fund/Dept/Div/Elm/Obj
   This report is by:  Bank code/Vendor
   Process by bank 
code? (Y,N)  . . . . . . . . . .  Y
   Print reports in vendor name 
sequence? (Y,N) . .  N
   Calendar year for 1099 withholding 
. . . . . . .  
2005
   Disbursement year/per  . . . . . . . . . . . . .  2005/08
   Check date . . . . . . . . . . . . 
. . . . . . .  
08/16/2005
PREPARED 08/16/2005, 
14:42:01                
          EXPENDITURE 
APPROVAL LIST                                          
PAGE     
1
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                 
                         BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT           
     ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000041   AMERICAN EQUIPMENT 
CO.
40424          
009685        16 
08/16/2005   
504-3200-579.40-26  PROXIMITY SWITCH                         
681.50
39966          
PI3690 061911 16 08/16/2005   
505-3900-579.60-08  TRUCKS W/SPECIALIZED BODY              
9,973.00
                                                                        
VENDOR TOTAL *                 
10,654.50
0000073   AUTOMOTIVE ELECTRICAL 
SERVICE
1228           
000047        16 
08/16/2005   
001-2200-562.25-32  MISC SUPPLIES                             
36.75
1216           
009327        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                            
201.00
                                                                
        VENDOR 
TOTAL *                    
237.75
0000087   BARTLETT & WEST ENGINEERS, 
INC
761026         
PI3730 061488 16 08/16/2005   
501-7800-588.27-02  ENGINEERING SERVICES                   
8,536.63
                                                  
                      VENDOR 
TOTAL *                  
8,536.63
0000161   CHANEY 
INCORPORATED
093552         
000422        16 
08/16/2005   
001-4530-593.33-09  FIRE ALARM CIRCUIT                       
663.91
093550         
000423        16 
08/16/2005   
001-4530-593.33-09  DRAIN PLUGGED UP                         
124.50
                                                                        
VENDOR TOTAL *                    
788.41
0000179   AB COKER CO.
80529          
009686        16 
08/16/2005   
001-1090-521.40-13  ACCT 7858327580                          
140.00
80196          
009328        16 
08/16/2005   
001-4560-596.42-09  ACCT 7858327960                           
59.84
81615          
000336        16 
08/16/2005   
501-1069-559.42-09  ACCT 7858323226                           
67.80
78484          
000424        16 
08/16/2005   
501-7610-586.40-26  ACCT 7858321832                           
49.09
80362          
009521        16 
08/16/2005   
502-3520-572.42-09  ACCT 7858323032                           
72.40
                                                                        
VENDOR TOTAL *                    
389.13
0000225   DEEMS FARM EQUIPMENT 
INC.
92247          
000048        16 
08/16/2005   
001-4550-595.25-31  FILLER CAP                       
        106.41
1638301        
000049        16 
08/16/2005   
001-4570-597.25-31  REPLACE COIL/SPARK PLUGS                 
138.15
                                                                        
VENDOR TOTAL *                    
244.56
0000242   
FI081205EM-REIM000474        16 
08/16/2005   
001-1065-555.39-08  2ND QTR 2005 EXPENSES                  
5,685.12
FI081205EM-REIM000475        16 
08/16/2005   
001-1065-555.33-11  2ND QTR 2005 EXPENSES                
226,608.32
FI081205EM-REIM000476        16 
08/16/2005   
001-3400-574.33-52  2ND QTR 2005 EXPENSES                 
12,648.11
                                                                        
VENDOR TOTAL *                
244,941.55
0000242   
FI081205EM-2Q05PI3766 062594 
16 08/16/2005   
001-2141-561.33-12  PRISONER CARE                         
43,089.52
                                                                        
VENDOR TOTAL *                 
43,089.52
0000244   DOUGLAS PUMP SERVICE, 
INC.
050567         
PI3697 062609 16 08/16/2005   
501-7210-581.25-31  PUMPS                                  
2,878.30
                                                                        
VENDOR TOTAL *                  
2,878.30
0000248   DOWNING SALES & SERVICE 
INC
028711         
009687        16 
08/16/2005   
504-3200-579.40-26  RELIEF VALVE                             
493.34
028712         
009688        16 
08/16/2005   
504-3200-579.40-26  ROLLER                                   
676.29
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
2
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000248   DOWNING SALES & SERVICE 
INC
                                                                        
VENDOR TOTAL *                  
1,169.63
0000261   EAGLE TRAILER CO., 
INC.
18494          
000050        16 
08/16/2005   
001-2200-562.25-32  COUPLER LOCK                              
39.90
                                                                        
VENDOR TOTAL *                     
39.90
0000270   ELECTRICAL SUPPLY CO, 
INC
LA161972       
009329        16 
08/16/2005   
504-3200-579.40-12  BATTERIES                                 
94.50
                                                                        
VENDOR TOTAL *                     
94.50
0000284   ENVIRONMENTAL RESOURCE 
ASSOCIATES
434684         
009748        16 
08/16/2005   
501-7510-585.40-35  COLIFORMS                                
599.70
                                                                        
VENDOR TOTAL *        
            599.70
0000294   FISHER SCIENTIFIC 
CO
5884015        
000051        16 
08/16/2005   
001-2144-561.42-09  MISC SUPPLIES                            
101.42
5812759        
009747        16 
08/16/2005   
501-7510-585.40-35  MISC SUPPLIES            
                364.79
5884014        
000425        16 
08/16/2005   
501-7510-585.40-35  TUBE SIM TEST                            
103.78
                                                                        
VENDOR TOTAL *                    
569.99
0000295   FLEETWOOD SMALL ENGINE 
REPAIR
104347         
009522        16 
08/16/2005   
001-4550-595.40-15  MISC SUPPLIES                            
113.42
                                                                        
VENDOR TOTAL *                   
 113.42
0000300   FOX VALLEY SYSTEMS,INC
77GPJ          
000052        16 
08/16/2005   
001-3100-571.40-10  MISC SUPPLIES                            
348.10
                                                                        
VENDOR TOTAL *             
       348.10
0000307   GADES SALES COMPANY, 
INC.
0043842IN      PI3723 062390 16 
08/16/2005   
400-3000-571.60-30  STREET EQUIPMENT                      
24,776.00
                                                                        
VENDOR TOTAL *    
             24,776.00
0000320   GOOCH BRAKE & EQUIPMENT 
CO.
1252090018     009689        16 
08/16/2005   
504-3200-579.40-26  TIRES                                    
273.48
                                                                        
VENDOR TOTAL *                    
273.48
0000330   GREGG TIRE COMPANY OF 
230367         
009330        16 
08/16/2005   
504-3200-579.40-26  TIRES                                    
229.50
230398         
009331        16 
08/16/2005   
504-3200-579.40-26  TIRES                                    
699.50
230322         
009332        16 
08/16/2005   
504-3200-579.40-26  TIRES                                    
384.64
                                                                        
VENDOR TOTAL *                  1,313.64
0000338   HAMM QUARRY, 
INC.
3977MB         
000427        16 
08/16/2005   
001-4510-591.33-30  MISC SUPPLIES                            
177.56
3978MB         
000431        16 
08/16/2005   
001-4510-591.33-30  MISC SUPPLIES              
               25.00
3919MB         
000430        16 
08/16/2005   
001-4530-593.45-05  PIT FINES                                 
57.89
3977MB         
000426        16 
08/16/2005   
001-4560-596.27-09  MISC SUPPLIES                             
33.28
3919MB         
000429        16 
08/16/2005   
216-4600-596.42-03  PIT FINES                                 
23.88
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
3
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO        
  DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000338   HAMM QUARRY, 
INC.
4069MB         
000053        16 
08/16/2005   
501-7310-583.33-09  MIXED SPECIAL                            
464.40
                                                                        
VENDOR TOTAL *                    
782.01
0000383   INDUSTRIAL SALES COMPANY, 
INC
636010000      000054        16 
08/16/2005   
001-4550-595.40-22  PVC SUPPLIES                               
6.28
636061000      000055        16 
08/16/2005   
001-4550-595.40-22  HOSE CLAMP                                
54.59
634993001      000056        16 
08/16/2005   
001-4550-595.40-22  FLO CONTROL                               
60.79
                                                                        
VENDOR TOTAL *                    
121.66
0000407   M AND M OFFICE 
SUPPLY
023900         
000337        16 08/16/2005   001-1070-557.40-01  OFFICE 
CHAIRS                            
803.50
023915         
000815        16 
08/16/2005   
001-1080-522.42-03  CHAIR                                    
574.00
023609         
000432        16 
08/16/2005   
001-1090-521.40-01  WHITE PAPER                              
155.70
023616         
000057        16 
08/16/2005   
001-4550-595.42-09  DIVIDERS                                  
52.00
023621         
009523        16 
08/16/2005   
211-4010-590.42-09  MISC OFFICE SUPPLIES                     
307.78
023671         
009333        16 
08/16/2005   
504-3200-579.40-01  MISC OFFICE SUPPLIES                       
2.00
023571         
009334        16 
08/16/2005   
621-1040-541.40-01  MISC OFFICE SUPPLIES                     
176.00
                                                                        
VENDOR TOTAL *                  
2,070.98
0000435   MANPOWER TEMPORARY 
SERVICES
10978376       
009749        16 
08/16/2005   
501-1069-559.33-31  TEMP EMPLOYEE                    
        490.00
                                                                        
VENDOR TOTAL *                    
490.00
0000438   LAIRD NOLLER MOTORS, 
INC
349874         
000058        16 
08/16/2005   
001-2200-562.25-32  CAP                      
                  4.10
                                                                        
VENDOR TOTAL *                      
4.10
0000438   LAIRD NOLLER MOTORS, INC,CK GRP-0
CM080105SS-0705PI3652 062662 
16 08/16/2005   
504-3200-579.40-26  AUTO & TRUCK PARTS                       
598.32
                                                                        
VENDOR TOTAL *                    
598.32
0000463   WESTAR 
ENERGY
8685191902-0705000059        16 
08/16/2005   
001-3600-576.32-01  ELECTRIC SVC-8685191902                   
19.58
                                                                        
VENDOR TOTAL *                     
19.58
0000467   MARTIN TRACTOR COMPANY, 
INC.
05C122294      009690        16 
08/16/2005   
504-3200-579.40-26  TUBE KIT                                  
70.78
                                                                        
VENDOR TOTAL *                     
70.78
0000468   LEE MATHEWS EQUIPMENT, 
INC
1084327        
PI3621 062522 16 08/16/2005   
211-4080-590.42-09  POOL EQUIPMENT                         
2,959.00
                                                                        
VENDOR TOTAL *                  
2,959.00
0000487   RADIOLOGIC PROFESSIONAL 
SERVICES
COMM061405     000397        16 
08/16/2005   
001-1054-544.36-01  WC Radiologist                           
246.00
                                                                                
8981
NICH062005     000418        16 
08/16/2005   
001-1054-544.36-03  WC Radiology                 
             22.88
                                                                                
8997
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
4
PROGRAM: GM339L                                            AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000487   RADIOLOGIC PROFESSIONAL 
SERVICES
                                                                        VENDOR 
TOTAL *                    
268.88
0000490   RADIO SHACK ACCOUNTS 
RECEIVABLE
188073         
009335        16 
08/16/2005   
504-3200-579.40-12  BATTERIES                           
       8.07
                                                                        
VENDOR TOTAL *                      
8.07
0000494   
42458          
009524        16 
08/16/2005   
001-1020-512.40-01  BUSINESS CARDS                      
      43.00
                                                                        
VENDOR TOTAL *                     
43.00
0000512   REEVES-WIEDEMAN 
COMPANY
2979369        
000061        16 
08/16/2005   
001-4530-593.40-22  ADAPTER                      
              5.25
2979817        
000060        16 
08/16/2005   
001-4570-597.40-22  MISC SUPPLIES                             
30.95
                                                                        
VENDOR TOTAL *                     
36.20
0000534   
18800          
000062        16 
08/16/2005   
001-4570-597.25-31  SHOP SUPPLIES                             
27.00
                                                                        
VENDOR TOTAL *                     
27.00
0000542   MICROTECH 
COMPUTERS
SI9025299      PI3749 062471 16 
08/16/2005   
001-1053-543.42-06  NOTEBOOK COMPUTER                      
2,116.00
SI9025299      PI3750 062471 16 
08/16/2005   
001-1053-543.42-06  SOFTWARE LICENSE                         
310.00
SI9025373      PI3737 062466 16 
08/16/2005   
001-3200-572.42-06  NOTEBOOK COMPUTER                      
1,937.00
SI9025373      PI3738 062466 16 
08/16/2005   
001-3200-572.42-06  SOFTWARE LICENSE                         
310.00
SI9025457      PI3739 062466 16 
08/16/2005   
001-3200-572.42-06  NOTEBOOK COMPUTER                        
179.00
SI9025526      PI3751 062589 16 
08/16/2005   
216-4600-596.42-06  PERSONAL COMPUTER                      
1,870.00
SI9025374      PI3740 062467 16 
08/16/2005   
501-7310-583.42-06  NOTEBOOK COMPUTER                      
1,937.00
SI9025374      PI3741 062467 16 
08/16/2005   
501-7310-583.42-06  SOFTWARE LICENSE                         
310.00
SI9025455      PI3742 062467 16 
08/16/2005   
501-7310-583.42-06  NOTEBOOK COMPUTER                        179.00
SI9025229      PI3728 062470 16 
08/16/2005   
501-7510-585.42-06  NOTEBOOK COMPUTER                        
231.00
SI9025229      PI3729 062470 16 
08/16/2005   
501-7510-585.42-06  SOFTWARE LICENSE                         
310.00
SI9025279      PI3746 062469 16 
08/16/2005   
501-7510-585.42-06  NOTEBOOK COMPUTER                      
2,116.00
SI9025279      PI3747 062469 16 
08/16/2005   
501-7510-585.42-06  SOFTWARE LICENSE                         
310.00
SI9025280      PI3748 062470 16 
08/16/2005   
501-7510-585.42-06  NOTEBOOK COMPUTER                      
1,885.00
SI9025375      PI3743 062468 16 
08/16/2005   
501-7610-586.42-06  NOTEBOOK COMPUTER                      
1,937.00
SI9025375      PI3744 062468 16 
08/16/2005   
501-7610-586.42-06  SOFTWARE LICENSE                         
310.00
SI9025456      PI3745 062468 16 
08/16/2005   
501-7610-586.42-06  NOTEBOOK COMPUTER                        
179.00
SI9025232      PI3727 062464 16 
08/16/2005   
611-1014-514.42-06  PERSONAL COMPUTER                      
1,946.00
SI9025698      PI3758 062639 16 
08/16/2005   
611-1014-514.42-06  NOTEBOOK COMPUTER                      
1,759.00
SI9025698      PI3759 062639 16 
08/16/2005   
611-1014-514.42-06  SOFTWARE LICENSE                         
310.00
SI9025852      PI3767 062639 16 
08/16/2005   
611-1014-514.42-06  NOTEBOOK COMPUTER                        
179.00
                                                                        
VENDOR TOTAL *                 
20,620.00
0000548   KENNEDY GLASS, 
INC
18905          
008457        16 
08/09/2005   
001-3000-570.25-32  VOID CHECK-PAID INV TWICE       CHECK 
#:  285015             
25.00-
                                                                 
REISSUED 8/16/05
18905          
008457        16 
08/16/2005   
001-3000-570.25-32  SIDE MIRROR                               
25.00
94825          
009776        16 
08/09/2005   
501-7310-583.42-09  VOID CK-PAID INV TWICE          
CHECK #:  285015            
100.00-
                                         
                        REISSUED 
8/16/05
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
5
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                       
    AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000548   KENNEDY GLASS, 
INC
                                                                        
VENDOR TOTAL *                     
25.00             
125.00-
0000554   KEY EQUIPMENT & SUPPLY CO. 
INC
232185         
009336        16 
08/16/2005   
001-3000-570.25-31  SWEEP 
907138         
000063        16 
08/16/2005   
001-3000-570.25-31  CREDIT                                   
940.37-
232183         
000064        16 
08/16/2005   
001-3000-570.25-31  
232186         
009691        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                            
199.50
                                                                        
VENDOR TOTAL *                  
1,105.83
0000563   KINKO'S GRAPHICS 
CORP.
010900183646   000816        16 
08/16/2005   
216-4600-596.39-07  SHIPPING CHARGES                           
3.95
                                                                        
VENDOR TOTAL *                      
3.95
0000568   KIRK WELDING 
SUPPLY
R280063        
000066        16 
08/16/2005   
001-3000-570.33-19  MISC SUPPLIES                             
32.76
R280065        
000065        16 
08/16/2005   
501-7220-582.25-31  MISC SUPPLIES                             
48.78
R280064        
000434        16 
08/16/2005   
501-7310-583.40-18  NITROGEN                   
                7.88
R275439        
000435        16 
08/16/2005   
501-7310-583.40-18  NITROGEN                                   
8.11
                                                                        
VENDOR TOTAL *                     
97.53
0000570   ROY CONLEY & 
CO.
709            
000817        16 
08/16/2005   
502-3520-572.40-32  TEEM CASTER BRACKETS                     
805.00
704            
000818        16 
08/16/2005   
502-3520-572.40-32  SIDE DOOR                                
352.00
707            000819        16 
08/16/2005   
502-3520-572.40-32  FREIGHT                                  
106.00
705            
000820        16 
08/16/2005   
502-3520-572.40-32  DUMPER SPRINGS                           
133.11
708            
000821        16 
08/16/2005   
502-3520-572.40-32  LEACH BAR WASHER                          
89.36
                                                                        
VENDOR TOTAL *                  
1,485.47
0000576   RUESCHHOFF SECURITY SERVICE 
INC
027731         
009525        16 
08/16/2005   
501-7510-585.40-35  DUPLICATE KEY                              
6.40
027733         
009692        16 
08/16/2005   
504-3200-579.25-50  REKEYED IGNITION LOCK                     
16.00
                                               
                         VENDOR 
TOTAL *                     
22.40
0000583   KNOX SUPPLY 
INC
33392          
009337        16 
08/16/2005   
504-3200-579.40-26  WIRE ROPE CLIP                            
96.90
                                                
                        VENDOR 
TOTAL *                     
96.90
0000585   SAF-T-GLOVE, 
INC.
392302         
000067        16 
08/16/2005   
001-4550-595.37-03  GLOVES                                    
53.49
393547         
000436        16 
08/16/2005   
001-4550-595.37-03  MISC SUPPLIES                             
23.10
                                                                        
VENDOR TOTAL *                     
76.59
0000622   
69798          
PI3692 061986 16 08/16/2005   
001-2200-562.33-42  PHYSICIAN SERVICES                     
1,876.00
70148          
PI3693 061986 16 08/16/2005   
001-2200-562.33-42  PHYSICIAN SERVICES                     
1,661.60
                                                                 
       VENDOR 
TOTAL *                  
3,537.60
0000661   CINTAS 
CORPORATION
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
6
PROGRAM: GM339L                            
                AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO            
   DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000661   CINTAS 
CORPORATION
430421289      009693        16 
08/16/2005   001-1090-521.26-04  LAUNDRY 
SERVICES                          
70.93
430415246      000068        16 
08/16/2005   
001-2110-561.33-53  LAUNDRY SERVICES                         
180.41
430421856      009526        16 
08/16/2005   
501-7210-581.33-13  LAUNDRY SERVICES                         
145.33
430422532      009338        16 
08/16/2005   
501-7220-582.33-13  LAUNDRY SERVICES                         
135.53
                                                                        
VENDOR TOTAL *             
       532.20
0000684   SELLERS EQUIPMENT, 
INC
IC203339       
009694        16 
08/16/2005   
504-3200-579.40-26  WHEEL RIM                                
324.43
                                                                        
VENDOR TOTAL *                    324.43
0000693   NORA LYON & ASSOCIATES, 
INC
25001072       
000477        16 
08/16/2005   
001-1080-522.27-03  TRANSCRIPT                                
73.50
                                                                        
VENDOR TOTAL *                     
73.50
0000704   SHERWIN 
WILLIAMS
02737          
000437        16 
08/16/2005   
001-4520-592.40-15  PAINT SUPPLIES                            
15.30
                                                                        
VENDOR TOTAL *                     
15.30
0000746   STANION WHOLESALE ELECTRIC 
CO.
133432701      009527        16 
08/16/2005   
501-7210-581.25-31  LIMIT SWITCH                             
353.52
140783200      009698        16 
08/16/2005   
501-7220-582.25-31  MISC SUPPLIES                            
186.30
140817800      009695        16 
08/16/2005   
501-7310-583.42-09  MISC SUPPLIES                             
80.90
140147200      009696        16 
08/16/2005   
501-7310-583.42-09  MISC SUPPLIES                  
          107.93
140815800      009697        16 
08/16/2005   
501-7310-583.42-09  MISC SUPPLIES                              
8.05
137604200      009750        16 
08/16/2005   
501-7310-583.42-09  PVC CONDUIT CLAMPS                       
215.20
137633000      009751        16 
08/16/2005   
501-7310-583.42-09  PIPE STRAP/POST BASE                     
648.94
140831900      009752        16 
08/16/2005   
501-7310-583.42-09  TAP KIT                                  
279.31
140734200      009753        16 
08/16/2005   
501-7310-583.42-09  MISC SUPPLIES                            
119.04
137987100      000338        16 
08/16/2005   
501-7310-583.40-20  NAVITEK STANDARD KIT                     
424.29
                                                                  
      VENDOR 
TOTAL *                  
2,423.48
0000757   STRONG'S OFFICE SYSTEMS, 
INC.
856980         
008462        16 
08/09/2005   
001-2130-561.40-01  VOID CK-VND SDB 11822           
CHECK #:  285028            
604.81-
                                 
                                REISSUED 
8/16/05
                                                                        
VENDOR TOTAL *                       
.00             
604.81-
0000759   SUNFLOWER 
BROADBAND
01779941-0605  000339        16 
08/16/2005   
001-1070-557.34-01  
CABLE-ACCT 01779941                       
60.08
                                                                        
VENDOR TOTAL *                     
60.08
0000759   SUNFLOWER BROADBAND,CK GRP-0
01691005-0805  000069        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01691005                       
50.04
                                                                        
VENDOR TOTAL *                     
50.04
0000759   SUNFLOWER BROADBAND,CK GRP-1
01690999-0805  000070        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01690999                       
50.04
                                                                        
VENDOR TOTAL *                     
50.04
PREPARED 08/16/2005, 
14:42:01                
          EXPENDITURE 
APPROVAL LIST                                          
PAGE     
7
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                 
                         BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT           
     ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000759   SUNFLOWER BROADBAND,CK GRP-2
01407303-0805  000071        16 
08/16/2005   
001-2110-561.33-53  
CABLE-ACCT 01407303                       
90.04
                                           
                             VENDOR 
TOTAL *                     
90.04
0000759   SUNFLOWER BROADBAND,CK GRP-3
01690973-0805  000072        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01690973                       
50.04
                               
                                         VENDOR 
TOTAL *                     
50.04
0000759   SUNFLOWER BROADBAND,CK GRP-4
01690981-0805  000073        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01690981                       
50.04
                   
                                                     VENDOR 
TOTAL *                     
50.04
0000759   SUNFLOWER BROADBAND,CK GRP-5
01690965-0805  000074        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01690965                       
50.04
                                                                        VENDOR 
TOTAL *                     
50.04
0000759   SUNFLOWER BROADBAND,CK GRP-6
01690957-0805  000075        16 
08/16/2005   
001-2200-562.27-09  
CABLE-ACCT 01690957                       
50.04
                                                                        
VENDOR TOTAL *                     
50.04
0000766   SUPERIOR ELECTRIC 
COMPANY
18174          
009339        16 
08/16/2005   
501-7220-582.25-31  WORK ON PUMP                       
       74.37
18172          
009532        16 
08/16/2005   
501-7220-582.25-31  MISC SERVICES                            
634.75
18178          
009533        16 
08/16/2005   
501-7310-583.25-31  INSTALL FREQUENCY DRIVE                  
537.00
18175         
 009528        16 
08/16/2005   
501-7410-584.33-09  MISC SUPPLIES                            
292.74
18176          
009529        16 
08/16/2005   
501-7410-584.33-09  MOUNTED PV4 ACCUATOR                     
227.54
18177          
009530        16 
08/16/2005   
501-7410-584.33-09  ADDED CONDUIT/WIRE                       
728.20
18173          
009531        16 
08/16/2005   
501-7410-584.25-31  WORK ON CIRCUIT                          
119.00
18228          
PI3694 062360 16 08/16/2005   
501-7410-584.25-31  ELECTRICAL                               
500.08
                                                                        
VENDOR TOTAL *                  
3,113.68
0000768   SRH MECHANICAL CONTRACTORS 
INC
000075260000   000076        16 
08/16/2005   
502-3530-573.33-09  COMMERCIAL SERVICE                       
101.26
                                                                        
VENDOR TOTAL *                    
101.26
0000779   TFMCOMM, 
INC.
831654         
PI3624 062616 16 08/16/2005   
001-2120-561.25-31  POLICE EQUIPMENT                       
1,971.55
                                                                        
VENDOR TOTAL *                  
1,971.55
0000789   TECH SUPPLY, 
INC.
212167         
009699        16 
08/16/2005   
504-3200-579.40-33  MISC SUPPLIES                            
141.03
211397         
000822        16 
08/16/2005   
504-3200-579.40-33  CREDIT                                    
11.50-
                                                                        
VENDOR TOTAL *                    
129.53
0000805   HARCROS CHEMICALS, 
INC.
010121362      PI3615 061535 16 
08/16/2005   
501-7220-582.40-08  AMMONIA                                
1,219.89
                                                                        
VENDOR TOTAL *                  
1,219.89
0000838   NUNEMAKER-ROSS, 
INC
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
8
PROGRAM: GM339L                                        
    AS OF: 
08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000838   NUNEMAKER-ROSS, 
INC
1935           
009534        16 
08/16/2005   
501-7610-586.40-26  STRAW BALES                              
137.50
                                                                        
VENDOR TOTAL *                    
137.50
0000846   
COMM061605     000401        16 
08/16/2005   
001-1053-543.27-06  WC Specialist Referral                   
100.00
                                                                                
8982
ROBE           
000389        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral           
         55.00
                                                                                
8975
ROBE061505     000391        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                    
55.00
                                        
                                        8977
ROBE061505     000392        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                    
97.90
                                                                                
8977
ECKA060105     000393        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                    
50.00
                                                                                
8978
COMM061605     000398        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                   
153.00
                                                                                
8982
COMM061605     000402        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                    
20.00
        
                                                                        8982
                                                                        
VENDOR TOTAL *                    
530.90
0000861   PATCHEN ELEC & INDUST 
SUPPLY
35498          
009340        16 
08/16/2005   
506-4900-599.25-31  MISC SUPPLIES                             
18.66
                                                                        
VENDOR TOTAL *                     
18.66
0000868   PENNY'S CONCRETE, 
INC.
220504         
PI3753 062619 16 08/16/2005   
501-7610-586.40-26  SAND                                     
162.44
220505         
PI3754 062619 16 08/16/2005   
501-7610-586.40-26  SAND                                     
114.09
220506         
PI3755 062619 16 08/16/2005   
501-7610-586.40-26  SAND                                      
60.59
220507         
PI3756 062619 16 08/16/2005   
501-7610-586.40-26  SAND                                      
63.89
220508         
PI3757 062619 16 08/16/2005   
501-7610-586.40-26  SAND                                      53.34
219643         
000077        16 
08/16/2005   
505-3900-579.45-01  MISC SUPPLIES                            
253.20
219301         
000078        16 
08/16/2005   
505-3900-579.45-01  GRANITE                              
    353.20
219453         
000079        16 
08/16/2005   
505-3900-579.45-01  FLOWABLE FILL                            
202.00
219452         
000080        16 
08/16/2005   
505-3900-579.45-01  CONCRETE                                 
227.85
219769         
000081        16 
08/16/2005   
505-3900-579.45-01  GRANITE                                  
218.80
220265         
000340        16 
08/16/2005   
505-3900-579.45-01  MISC SUPPLIES                            
253.20
                                            
                            VENDOR 
TOTAL *                  
1,962.60
0000875   VICTOR L. PHILLIPS CO., 
THE
WT24264        
PI3761 062691 16 08/16/2005   
504-3200-579.25-50  AUTO & TRUCK PARTS                     
1,027.76
                                 
                                       VENDOR 
TOTAL *                  
1,027.76
0000903   
FM080905RP     000341        16 
08/16/2005   
001-2200-562.22-01  REGISTRATION-E.EASTERWOOD                
709.00
                            
                                            VENDOR 
TOTAL *                    
709.00
0000909   INTERSTATE 
110041624      009341        16 
08/16/2005   
504-3200-579.40-26  BATTERIES                                
400.70
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE     
9
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0000909   INTERSTATE 
                                                                        
VENDOR TOTAL *                    
400.70
0000910   PUMP & POWER EQUIPMENT, 
INC
47348          
PI3734 062148 16 08/16/2005   
501-7410-584.25-31  PUMPS                                 
10,599.00
                                                                        
VENDOR TOTAL *                 
10,599.00
0000913   PUR-O-ZONE
342468         
000083        16 
08/16/2005   
211-4080-590.40-13  SCRUB BRUSH                              
122.20
342098         
009701        16 
08/16/2005   
501-7210-581.42-09  MISC SUPPLIES                            
596.60
338956         
000082        16 
08/16/2005   
501-7210-581.25-31  GRIPIT                                    
15.88
341985         
009700        16 
08/16/2005   
501-7310-583.40-13  WIPER AIR LAID                            
46.29
                                           
                             VENDOR 
TOTAL *                    
780.97
0000947   BLUE CROSS AND BLUE 
SHIELD
PE081605EM     000803        16 
08/09/2005   
522-1055-545.12-05  STOPLOSS-GROUP 96080            
CHECK #:    
2599         
83,138.64
PE081605EM     000804        16 
08/09/2005   
522-1055-545.12-09  ADMIN EXP-GROUP 96080           
CHECK #:    
2599          
3,724.61
                                                                        
VENDOR TOTAL *                       
.00          
86,863.25
0000984   UNITED LABORATORIES, 
INC
27011          
000438        16 
08/16/2005   
001-4520-592.40-13  MISC SUPPLIES                            
126.00
27011          
000439        16 
08/16/2005   
211-4080-590.40-13  MISC SUPPLIES                            
335.40
                                                                        
VENDOR TOTAL *                    
461.40
0000994   VERMEER SALES & SERVICE, 
INC.
01012979       
009702        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                   
          67.32
                                                                        
VENDOR TOTAL *                     
67.32
0001010   WEAVERS, 
INC.
180389         
000084        16 
08/16/2005   
001-2200-562.37-03  CLOTHING                           
      104.97
180383         
000085        16 
08/16/2005   
001-2200-562.37-03  CLOTHING                                 
139.96
18133          
000086        16 
08/16/2005   
001-2200-562.37-03  CLOTHING                                 
939.20
203230        
 000087        16 
08/16/2005   
001-2200-562.37-03  CLOTHING                                 
159.96
                                                                        
VENDOR TOTAL *                  
1,344.09
0001016   WESTERN EXTRALITE 
COMPANY
S2757127001    000440        16 
08/16/2005   
001-4530-593.40-12  QUAD KIT                                 
123.84
S2748069001    000441        16 
08/16/2005   
001-4530-593.40-12  GLASS FUSE                                 
2.50
S2758368001    000823        16 
08/16/2005   
212-4800-598.42-03  SOLID STRUT                              
118.38
S2752742001    009755        16 
08/16/2005   
501-7310-583.25-31  COOLING FAN                              
385.70
S2733113002    PI3696 062586 16 
08/16/2005   
501-7310-583.25-31  AC:CONTROLLED ENVIRNMENT               
2,373.60
                                                                        
VENDOR TOTAL *                  
3,004.02
0001019   WESTHEFFER COMPANY, 
INC.
297041         
009535        16 
08/16/2005   
501-7310-583.42-09  MISC SUPPLIES                              
3.64
                                                                        
VENDOR TOTAL *                      
3.64
0001022   WESTLAKE HARDWARE, 
INC
1443731        
000342        16 
08/16/2005   
001-1054-544.42-04  FLASHLIGHT                                
68.96
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
10
PROGRAM: GM339L                                        
    AS OF: 
08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0001022   WESTLAKE HARDWARE, 
INC
1444647        
000091        16 
08/16/2005   
001-2200-562.25-36  MISC SUPPLIES                             
19.98
1445188        
000092        16 
08/16/2005   
001-2200-562.25-36  MISC SUPPLIES                             
18.84
1445371        
000343        16 
08/16/2005   
001-2200-562.25-36  MISC SUPPLIES                             42.96
1441104        
000344        16 
08/16/2005   
001-2200-562.25-36  TARP                                      
41.97
1442267        
000345        16 
08/16/2005   
001-2200-562.25-36  MISC SUPPLIES                             
86.38
6527202        
009348        16 
08/16/2005   
001-2500-565.25-36  MISC SUPPLIES                             
59.21
1445241        
009344        16 
08/16/2005   
001-3400-574.40-12  MISC SUPPLIES                             
42.96
1445101        
009343        16 
08/16/2005   
001-4530-593.40-15  MISC SUPPLIES                             
13.15
1445100        
000094        16 
08/16/2005   
001-4530-593.45-01  CONCRETE MIX                              
47.80
1445283        
000095        16 
08/16/2005   
001-4530-593.45-01  CONCRETE MIX                              
74.09
6526845        
000449        16 
08/16/2005   
001-4540-594.40-15  GAS CAN                                   
17.98
1444579        
000450        16 
08/16/2005   
001-4540-594.40-15  MALE FAUCET                                2.98
6527046        
000090        16 
08/16/2005   
001-4570-597.40-08  STAPLE GUN                                
54.96
6526985        
009539        16 
08/16/2005   
211-4080-590.40-15  MISC SUPPLIES                           
  29.27
1445343        
000093        16 
08/16/2005   
211-4080-590.40-15  FASTENERS                                 
38.72
1445305        
009538        16 
08/16/2005   
212-4800-598.42-03  MISC SUPPLIES                             
26.48
6526973        
009342        16 
08/16/2005   
501-7210-581.25-31  MISC SUPPLIES                             
97.97
6527040        
009346        16 
08/16/2005   
501-7220-582.25-31  MISC SUPPLIES                             
56.74
6527010        
009347        16 
08/16/2005   
501-7220-582.25-31  MISC SUPPLIES                              
4.76
6527629        
009757        16 
08/16/2005   
501-7220-582.25-31  FASTENERS                                 
11.22
1445026        
009345        16 
08/16/2005   
501-7410-584.42-02  COOLER                                    14.49
1445208        
009536        16 
08/16/2005   
501-7410-584.25-38  CABLE TIES                                
15.47
1445152        
009537        16 
08/16/2005   
501-7410-584.42-09  BULK FASTENERS                        
    13.12
1441775        
000443        16 
08/16/2005   
501-7410-584.42-09  NOZZLE INSULATED                          
15.98
6527133        
PI3617 061542 16 08/16/2005   
501-7610-586.40-26  MISC. HARDWARE ITEMS                     
134.91
6522280        
000089        16 
08/16/2005   
501-7610-586.40-26  SOCKET                                     
4.27
6527262        
009756        16 
08/16/2005   
502-3520-572.40-32  STUD FINDER                               
35.14
6521782        
000444        16 
08/16/2005   
502-3520-572.40-32  
6515597        
000445        16 
08/16/2005   
502-3520-572.40-32  HANDLE                                    
19.99
6520556        
000446        16 
08/16/2005   
502-3520-572.40-32  GRIP GREASE GUN                           
39.98
6520557        
000447        16 
08/16/2005   
502-3520-572.40-32  WATER COOLER                              
99.96
6520651        
000448        16 
08/16/2005   
502-3520-572.40-32  TRASH CAN                           
      12.99
1445367        
009540        16 
08/16/2005   
505-3900-579.40-15  CABLE TIES                                
22.98
1443335        
000824        16 
08/16/2005   
505-3900-579.40-15  PVC                                        
2.49
               
                                                         VENDOR 
TOTAL *                  
1,295.13
0001024   WHELAN'S 
INC.
30286277       
009541        16 
08/16/2005   
001-4550-595.40-14  MISC SUPPLIES                            
172.94
30286548       
009349        16 
08/16/2005   
505-3900-579.40-14  MISC SUPPLIES                             
86.02
30286121       
009350        16 
08/16/2005   
505-3900-579.40-14  MISC SUPPLIES                             
37.80
                                              
                          VENDOR 
TOTAL *                    
296.76
0001044   ZEP MANUFACTURING 
CO.
50449968       
000096        16 
08/16/2005   
001-4550-595.40-08  MISC SUPPLIES                            
234.00
                                         
                               VENDOR 
TOTAL *                    
234.00
0001048   ZINK SAFETY EQUIPMENT CO, 
INC
119107         
000346        16 
08/16/2005   
001-3000-570.42-02  SAFETY SUPPLIES                           
80.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
11
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0001048   ZINK SAFETY EQUIPMENT CO, 
INC
                                                                        
VENDOR TOTAL *                     
80.00
0001070   
211797         
000097        16 
08/16/2005   
001-2142-561.27-09  ANIMAL SERVICES                          
214.19
                                                                        
VENDOR TOTAL *                    
214.19
0001112   CITY OF 
65106          
000827        16 
08/16/2005   
001-4510-591.33-30  CUST 45880                                
30.07
65106          
000826        16 
08/16/2005   
216-4600-596.42-03  CUST 45880                               
158.40
              
                                                          VENDOR 
TOTAL *                    
188.47
0001112   CITY OF 
65206          
000825        16 
08/16/2005   
001-4510-591.33-30  CUST 88510                               
326.92
                                                                        VENDOR 
TOTAL *                    
326.92
0001166   PHILLIPS, JAMES 
H.
PD080805MB-REIM000098        16 
08/16/2005   
001-2120-561.22-05  TUITION REIMBURSMENT                     
463.50
                                                                        VENDOR 
TOTAL *                    
463.50
0001214   LRM INDUSTRIES, 
INC.
90769          
000099        16 
08/16/2005   
001-3000-570.45-01  PAVING MIX                               
293.13
90768          
000100        16 
08/16/2005   
001-3000-570.45-01  PATCH MIX                                
504.63
90735          
000101        16 
08/16/2005   
001-3000-570.45-01  PATCH MIX                                
963.38
90708          
000102      
  16 08/16/2005   001-3000-570.45-01  PATCH 
MIX                                
917.50
90707          
000103        16 
08/16/2005   
001-3000-570.45-01  PATCH MIX                                
779.88
90766          
PI3708 062658 16 08/16/2005   
501-7610-586.40-26  CONCRETE-CUBIC YARDS                     
130.75
90767          
PI3709 062661 16 08/16/2005   
501-7610-586.40-26  CONCRETE-CUBIC YARDS                     
420.00
                                                                        
VENDOR TOTAL *                  
4,009.27
0001214   LRM INDUSTRIES, INC.,CK GRP-0
9SR2205-03     PI3735 062373 16 
08/16/2005   
214-3800-578.45-08  STREET REPAIR                         
16,950.93
                                                                      
  VENDOR TOTAL *                 
16,950.93
0001214   LRM INDUSTRIES, INC.,CK GRP-1
9SR2205-03     PI3736 062373 16 
08/16/2005   
400-3000-571.60-30  STREET REPAIR                        
246,781.96
                                                         
               VENDOR 
TOTAL *                
246,781.96
0001214   LRM INDUSTRIES, INC.,CK GRP-2
1SR1105-03F    PI3833 062364 16 
08/16/2005   
400-3000-571.60-30  STREET REPAIR                        
130,125.13
                                            
                            VENDOR 
TOTAL *                
130,125.13
0001247   
00226150       
000451        16 
08/16/2005   
211-4020-590.24-03  ADS-ACCT 000273                          
377.50
00226150       
000452        16 
08/16/2005   
211-4050-590.24-03  ADS-ACCT 000273                          
181.80
00226150       
000453        16 
08/16/2005   
211-4060-590.24-03  ADS-ACCT 000273                          
400.00
                                                                  
      VENDOR 
TOTAL *                    
959.30
0001247   
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
12
PROGRAM: GM339L                
                            AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0001247   
A0105024000-PLA000483        16 
08/16/2005   
001-1030-531.24-02  ADS-CUST A0105024-000                    
687.00
A0105024000-PLA000487        16 
08/16/2005   
001-1030-531.24-02  ADS-CUST A0105024-000                    
824.70
A0105024000-HAN000478        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000                    
340.50
A0105024000-CCL000479        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000                  
2,231.70
A0105024000-PUR000482        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000                    
700.80
RB0705         
000484        16 
08/16/2005   
001-1050-542.24-02  SALES REBATE-A0105024-000              
1,127.48-
A0105024000-PUR000485        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000               
      42.60
A0105024000-PUR000486        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000                  
2,316.30
A0105024000-HAN000488        16 
08/16/2005   
001-1050-542.24-02  ADS-CUST A0105024-000                     
42.60
A0105024000-HAN000489        16 
08/16/2005   
001-6300-503.33-44  ADS-CUST A0105024-000                    
277.50
A0105024000-PTD000480        16 
08/16/2005   
210-1014-514.24-03  ADS-CUST A0105024-000                     
26.40
A0105024000-PTD000481        16 
08/16/2005   611-1014-514.24-03  ADS-CUST 
A0105024-000                     
26.40
                                                                        
VENDOR TOTAL *                  
6,389.02
0001247   
00226149       
000454        16 08/16/2005   631-6404-500.28-04  ADS-ACCT 
000264                        
1,055.58
                                                                        
VENDOR TOTAL *                  
1,055.58
0001247   
00226151       PI3760 062663 16 08/16/2005   211-4060-590.24-01  
BROCHURES                             
12,336.00
                                                                        
VENDOR TOTAL *                 
12,336.00
0001247   
00226146       
000347        16 
08/16/2005   
001-2200-562.22-02  ADS-ACCT 010035                          
799.50
                                                                        
VENDOR TOTAL *                    
799.50
0001256   STORES FUND
ST080805TO     000104        16 
08/16/2005   
001-3000-570.42-09  CAR WASH TOKENS                           
70.00
NR081105MM     000455        16 
08/16/2005   
001-6300-503.26-09  CAR WASH TOKENS                          
105.00
                               
                                         VENDOR 
TOTAL *                    
175.00
0001261   COTTIN'S HARDWARE & 
RENTAL
190654         
009543        16 
08/16/2005   
001-4550-595.40-22  PVC COUPLING                               
5.98
294540         
000105        16 
08/16/2005   
001-4570-597.40-08  STAPLE                                     
5.18
294578         
000106        16 
08/16/2005   
211-4080-590.40-15  FASTENERS                                  
4.48
294475         
009542        16 
08/16/2005   
502-3510-571.42-09  CRATE                                     
13.77
                                                                        
VENDOR TOTAL *                     
29.41
0001373   THOMAS, MARK 
R
136198         
008951        16 
08/09/2005   
501-7510-585.40-35  VOID CK-VND SDB 10373           
CHECK #:  285062            
284.00-
                                                                 
REISSUED 8/16/05
                                                                        
VENDOR TOTAL *    
                   .00             
284.00-
0001434   LOWENTHAL SINGLETON WEBB & 
WILSON
FI080805EM     000348        16 
08/16/2005   
001-1065-555.27-01  AUDIT 2004                               
500.00
                                                     
                   VENDOR 
TOTAL *                    
500.00
0001447   EAST 
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
13
PROGRAM: GM339L                                            AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0001447   EAST 
NR081105MS     000456        16 
08/16/2005   
631-6404-501.37-06  COORDINATOR HOURS                        
281.40
                                                                        
VENDOR TOTAL *                    
281.40
0001534   GRAINGER
9737844754     009704        16 
08/16/2005   
501-7210-581.25-31  FOLDING TABLE                            
376.20
0028502177     009703        16 
08/16/2005   
501-7310-583.33-13  LAUNDRY DETERGENT                         
76.12
0021665047     000107        16 
08/16/2005   
504-3200-579.40-20  MISC SUPPLIES                            
150.14
                                                                        
VENDOR TOTAL *                    
602.46
0001566   IBT, INC
4022465        
000860        16 
08/16/2005   
501-7220-582.25-31  SEAL                                      
18.77
4009156        
009544        16 
08/16/2005   
501-7310-583.42-09  FILTERS                                   
79.39
4012059        
000457        16 
08/16/2005   
501-7310-583.25-31  VALVE                                    200.45
                                                                        
VENDOR TOTAL *                    
298.61
0001605   CHIEF STATE BOILER 
INSPECTOR
49286H         
000349        16 
08/16/2005   
001-3400-574.25-36  KS REGISTRATION                           
75.00
                                                                        
VENDOR TOTAL *                     
75.00
0001607   MEAD O'BRIEN 
INCORPORATED
I448830        
000108        16 
08/16/2005   
501-7210-581.25-31  MISC SUPPLIES                             
96.77
I466860        
009705        16 
08/16/2005   
501-7220-582.25-31  SOLENOID                                 
439.25
                                                                        
VENDOR TOTAL *                    
536.02
0001650   DOUGLAS 
NR081105MS     000458        16 
08/16/2005   
631-6405-502.33-10  MORTGAGE/REGISTRATION TAX                 
78.78
                                                                        
VENDOR TOTAL *                     
78.78
0001683   DON'S AUTO CENTER, 
INC
15908          
009351        16 
08/16/2005   
504-3200-579.25-50  FLAT PLATE                                
25.99
                                                                    
    VENDOR 
TOTAL *                     
25.99
0001686   LAWSON PRODUCTS, 
INC
3483020        
000109        16 
08/16/2005   
504-3200-579.40-33  MISC SUPPLIES                            
491.18
3483020        
000110        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                            
159.48
                                                                        
VENDOR TOTAL *                    
650.66
0001867   MOBILE LOCKSMITH 
SHOP
10985          
009352        16 
08/16/2005   
001-3400-574.25-36  CLEAN AND LUBE                            
40.00
10983          
009353        16 
08/16/2005   
001-3400-574.25-36  KEYS                                      
20.40
10992          
009354        16 
08/16/2005   
001-3400-574.25-36  KEYS                  
                    81.00
10995          
000459        16 
08/16/2005   
001-4560-596.42-09  KEYS                                     
113.00
                                                                        
VENDOR TOTAL *                    
254.40
0001928   DAY STAR 
CORP
423797000      000460        16 
08/16/2005   
501-7410-584.42-02  SAFETY GLASSES                           
135.88
423797001      000461        16 
08/16/2005   
501-7410-584.42-02  GLOVES                                   
390.16
                                                                        VENDOR 
TOTAL *                    
526.04
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
14
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0002191   AMERICAN RED 
CROSS-LAWRENCE
1681           
000462        16 
08/16/2005   
211-4080-590.27-09  TRAINING                                 
555.00
                                                                        
VENDOR TOTAL *                    
555.00
0002301   UNDERWRITERS 
LABORATORIES
76782          
PI3695 062508 16 08/16/2005   
501-7510-585.33-05  WATER QUALITY MONITORING                 
635.00
                                                                        
VENDOR TOTAL *                    
635.00
0002328   AMERICAN 
EXPRESS
9558033008-0705000491        16 
08/16/2005   
001-1020-512.22-01  ACCT 3782-095580-33008                   
540.00
9558033008-0705000492        16 
08/16/2005   
001-1020-512.21-03  ACCT 3782-095580-33008                   
370.91
                      
                                                  VENDOR 
TOTAL *                    
910.91
0002497   UNIVERSITY OF KANSAS-CONTIN ED 
LW
AA66010212     009355        16 
08/16/2005   
501-7100-580.22-01  CLASS                                     
50.00
                                                                        VENDOR 
TOTAL *                     
50.00
0002531   ELECTRONICS SUPPLY CO, 
INC
995995         
PI3725 062463 16 08/16/2005   
501-7310-583.25-36  STORAGE CABINETS,METAL                 
6,590.00
995995         
PI3726 062463 16 08/16/2005   
501-7310-583.25-36  FREIGHT CHARGES                        
1,175.00
                                                                        
VENDOR TOTAL *                  
7,765.00
0002738   BOB'S JANITORIAL SERV & 
SUPPLY
88056          
009357        16 
08/16/2005   
001-1040-541.26-04  JANITORIAL SERVICES                      
208.50
88056          
009356        16 
08/16/2005   
211-4000-590.33-09  JANITORIAL SERVICES                      
208.50
         
                                                               VENDOR 
TOTAL *                    
417.00
0002762   HAYNES EQUIPMENT COMPANY, 
INC.
0024306IN      009545        16 
08/16/2005   
501-7220-582.42-03  METERING PUMP                            
942.00
                                                                        
VENDOR TOTAL *                    
942.00
0003071   WATEROUS 
COMPANY
P273949001     000111        16 
08/16/2005   
001-2200-562.25-32  MISC SUPPLIES                            
845.97
                                                                        
VENDOR TOTAL *                    
845.97
0003203   CONRAD FIRE EQUIPMENT, 
INC
356294         
000112        16 
08/16/2005   
001-2200-562.25-32  FIELD SERVICE KIT                 
       256.92
439709         
000113        16 
08/16/2005   
001-2200-562.25-32  FIELD SERVICE KIT                        
263.17
439631         
000350        16 
08/16/2005   
001-2200-562.40-24  LUGS                                     
750.25
             
                                                           VENDOR 
TOTAL *                  
1,270.34
0003209   WORLDWIDE 
DIRECTORY
1053082        
000463        16 
08/16/2005   
501-7100-580.40-01  ADS-ACCT 1071274                          
35.26
          
                                                              VENDOR 
TOTAL *                     
35.26
0003236   
G & K SERVICES, INC.
1001295076     000115        16 
08/16/2005   
001-2200-562.33-13  LAUNDRY SERVICES                          
17.58
1001295082     009362        16 
08/16/2005   
001-2500-565.26-09  LAUNDRY SERVICES                          
15.84
1001295078     009360        16 
08/16/2005   
001-3000-570.33-13  LAUNDRY SERVICES                         
153.50
PREPARED 08/16/2005, 
14:42:01                          EXPENDITURE 
APPROVAL LIST                                          
PAGE    
15
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0003236   
G & K SERVICES, INC.
1001295081     009361        16 
08/16/2005   
001-3200-572.33-13  LAUNDRY SERVICES                          
13.59
1001295080     009359        16 
08/16/2005   
001-3400-574.33-13  LAUNDRY SERVICES                          
28.88
1001295077     009760        16 
08/16/2005   
502-3510-571.33-22  LAUNDRY SERVICES                         
146.88
1001289052     PI3688 061851 16 
08/16/2005   
502-3510-571.33-22  UNIFORM RENTAL                            
51.88
1001295083     PI3732 061851 16 
08/16/2005   
502-3510-571.33-22  UNIFORM RENTAL                            
39.52
1001295077     009761        16 
08/16/2005   
502-3520-572.33-22  LAUNDRY SERVICES               
          220.32
1001289052     PI3689 061851 16 
08/16/2005   
502-3520-572.33-22  UNIFORM RENTAL                            
77.82
1001295083     PI3733 061851 16 
08/16/2005   
502-3520-572.33-22  UNIFORM RENTAL                            
59.28
1001295084     000114        16 
08/16/2005   
502-3530-573.26-09  LAUNDRY SERVICES                           
5.46
1001295079     009358        16 
08/16/2005   
504-3200-579.33-22  LAUNDRY SERVICES                          
74.92
                                      
                                  VENDOR 
TOTAL *                    
905.47
0003272   SCOTTSDALE INSURANCE 
COMPANY
043602         
PI3762 062755 16 08/16/2005   
208-1054-544.35-02  LIABILITY INSURANCE                    
1,520.00
043602         
PI3763 062755 16 08/16/2005   
208-1054-544.35-02  LIABILITY INSURANCE                   
11,012.31
043602         
PI3764 062755 16 08/16/2005   
208-1054-544.35-02  LIABILITY INSURANCE                    
3,745.40
043602         
PI3765 062755 16 08/16/2005   
208-1054-544.35-02  LIABILITY INSURANCE                    
8,380.70
                                                                        
VENDOR TOTAL *                 
24,658.41
0003362   SWARTS, MARGENE 
K
NR081105VT-REIM000464        16 
08/16/2005   
631-6405-500.22-01  REIMBURSEMENT                             
81.83
NR081105VT-REIM000465        16 
08/16/2005   
631-6405-500.22-01  REIMBURSEMENT                             
14.12
                                                                        
VENDOR TOTAL *                     
95.95
0003441   BERNIE'S TOOL 
SERVICE
94293          
009363        16 
08/16/2005   
504-3200-579.40-01  RATCHET                                  
126.98
                                                                        
VENDOR TOTAL *                    
126.98
0003526   VANDERBILT'S 
#10
69526          
009546        16 
08/16/2005   
501-7410-584.42-02  BOOTS FOR MARK SHEPARD                   
119.99
69332          
PI3622 062556 16 08/16/2005   
502-3510-571.42-02  BOOTS-ROBERT MORGAN SR                    
30.00
69332          
PI3623 062556 16 08/16/2005   
502-3520-572.42-02  BOOTS-ROBERT MORGAN SR                    
44.99
                                                                        
VENDOR TOTAL *                  
  194.98
0003615   DPC 
INDUSTRIES
8170177005     PI3682 061526 16 
08/16/2005   
501-7210-581.40-08  CHLORINE                               
1,138.00
8170176905     PI3683 061533 16 
08/16/2005   
501-7220-582.40-08  CHLORINE                               
2,276.00
                                                                        
VENDOR TOTAL *                  
3,414.00
0003663   DURKIN EQUIPMENT 
CO.
KC0001155      009762        16 
08/16/2005   
501-7310-583.25-31  MISC SUPPLIES                        
    315.00
                                                                        
VENDOR TOTAL *                    
315.00
0003773   HASTY AWARDS
158236         
000116        16 
08/16/2005   
211-4040-590.40-23  AWARDS                                   
179.68
                                                                        
VENDOR TOTAL *                    
179.68
0003817   TOTAL LAWN 
CARE
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                           
               PAGE    16
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0003817   TOTAL LAWN 
CARE
102054850331   000117        16 
08/16/2005   
001-2200-562.25-36  LAWN CARE                                 
92.30
                                                                        
VENDOR TOTAL *                     
92.30
0003969   O'REILLY AUTOMOTIVE, 
INC.
0140382935     000466        16 
08/16/2005   
001-2200-562.25-32  FUEL FILTER/PAINT/FILTERS                
137.00
0140382555     009364        16 
08/16/2005   
504-3200-579.40-26  DRUM AND ROTOR                            
88.70
0140382569     009365        16 
08/16/2005   
504-3200-579.40-26  STEERING WHEEL COVER                       
6.99
0140382097     009366        16 
08/16/2005   
504-3200-579.40-26  TAIL LIGHT                                
10.94
0140383530     009706        16 
08/16/2005   
504-3200-579.40-26  WIPER BLADES                              
94.80
                                                                        
VENDOR TOTAL *                    
338.43
0004085   CROSS-MIDWEST TIRE, 
INC.
20057099       
009367        16 
08/16/2005   
504-3200-579.40-26  TIRES                                    
322.00
                                                                        
VENDOR TOTAL *                    
322.00
0004126   JCI INDUSTRIES, 
INC.
F996390        009707        16 
08/16/2005   
501-7210-581.25-31  MICROSWITCH                              
563.61
F996300        
009708        16 
08/16/2005   
501-7220-582.25-31  MISC SUPPLIES                            
131.93
P995800        
009547        16 
08/16/2005   
501-7310-583.33-07  OUTBOUND FREIGHT CHRGS                    
17.20
                                                                        
VENDOR TOTAL *                    
712.74
0004170   FASTENAL
KSLAW5065      009368        16 
08/16/2005   
001-3000-570.40-15  MISC SUPPLIES                              
8.82
KSLAW5136      000467        16 
08/16/2005   
501-7410-584.42-09  DRILL & TAP                               
25.71
                                                                        
VENDOR TOTAL *                     
34.53
0004176   UNITED ROTARY BRUSH 
CORP.
CI33888        
000119        16 
08/16/2005   
001-3000-570.25-31  TEMPERED OIL                             
936.00
                                                                  
      VENDOR 
TOTAL *                    
936.00
0004304   MARSH MCBIRNEY, 
INC
000091137      PI3752 062606 16 
08/16/2005   
501-7800-588.60-30  APPLICATIONS SOFTWARE-SM               
6,672.12
                                                               
         VENDOR 
TOTAL *                  
6,672.12
0004510   EFI-WRIGHT SALES, 
INC
V37798         
009763        16 
08/16/2005   
501-7410-584.25-31  MISC SUPPLIES                            
652.07
                                                          
              VENDOR 
TOTAL *                    
652.07
0004567   LASER LOGIC, 
INC.
242345         
000833        16 
08/16/2005   
001-1030-531.40-02  LASER CARTRIDGE                          
129.00
242342         
000830        16 
08/16/2005   
001-1054-544.42-03  LASER PRINTER                            
300.00
242407         
000832        16 
08/16/2005   
001-1070-557.40-01  LASER CARTRIDGE                           
75.00
242285         
000120        16 
08/16/2005   
001-2200-562.42-06  USB DRIVE           
                     240.00
242268         
000121        16 
08/16/2005   
001-2200-562.40-01  LASER CARTRIDGE                          
188.00
242404         
000831        16 
08/16/2005   
001-3100-571.40-01  IMAGING UNIT                             
171.00
242315         
000352        16 
08/16/2005   
001-6300-503.25-31  LASER PRINTER                            
178.00
242290         
000468        16 
08/16/2005   
211-4005-590.40-01  INK JET CARTRIDGE                         
38.00
242379         
000828      
  16 08/16/2005   211-4010-590.42-09  LASER 
PRINTER                            
549.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
17
PROGRAM: GM339L                    
                        AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0004567   LASER LOGIC, 
INC.
242053         
000351        16 
08/16/2005   
502-3520-572.25-33  LASER PRINTER                             
79.00
242382         
000829        16 
08/16/2005   
504-3200-579.42-03  DOT MATRIX PRINTER                       
349.00
                                                                
        VENDOR 
TOTAL *                  
2,296.00
0004807   SCOTCH FABRIC CARE 
SERVICES
8600-0705      PI3713 062722 16 
08/16/2005   
001-2110-561.33-13  LAUNDRY                                   
51.43
8600-0705      PI3714 062722 16 
08/16/2005   
001-2120-561.33-13  LAUNDRY                                
1,224.17
8600-0705      PI3715 062722 16 
08/16/2005   
001-2130-561.33-13  LAUNDRY                                
1,067.28
8600-0705      PI3716 062722 16 
08/16/2005   
001-2141-561.33-13  LAUNDRY         
                         471.31
8600-0705      PI3717 062722 16 
08/16/2005   
001-2142-561.33-13  LAUNDRY                                  
130.52
8600-0705      PI3718 062722 16 
08/16/2005   
001-2143-561.33-13  LAUNDRY                                  
118.48
8600-0705      PI3719 062722 16 
08/16/2005   
001-2144-561.33-13  LAUNDRY                                   
75.84
8600-0705      PI3720 062722 16 
08/16/2005   
001-2150-561.33-13  LAUNDRY                                   
29.62
8600-0705      PI3721 062722 16 
08/16/2005   
001-2160-561.33-13  LAUNDRY                                   
86.26
9028-0605      000122        16 
08/16/2005   
501-7310-583.33-13  DRY CLEANING-ACCT 9028                     
3.80
                                                   
                     VENDOR 
TOTAL *                  
3,258.71
0004850   DREXEL TECHNOLOGIES, 
INC
105332         
009369        16 
08/16/2005   
001-3100-571.40-09  COPIER RENTAL                            
427.62
                                           
                             VENDOR 
TOTAL *                    
427.62
0004900   LINWELD, 
INC.
TO84721        
000123        16 
08/16/2005   
001-2200-562.44-01  OXYGEN                                    
12.63
TO84710        
000124        16 
08/16/2005   
001-2200-562.44-01  OXYGEN                                    
49.69
TO84740        
000125        16 
08/16/2005   
001-2200-562.44-01  OXYGEN                                    
58.73
TO00072        
PI3684 061565 16 08/16/2005   
502-3520-572.40-32  WELDING SUPPLIES                          
34.97
R713183        
000469        16 
08/16/2005   
502-3520-572.40-32  MISC SUPPLIES                            
108.50
R737977        
PI3731 061565 16 08/16/2005   
502-3520-572.40-32  WELDING SUPPLIES                     
    108.50
UNI3100        
000834        16 
08/16/2005   
502-3520-572.40-32  CHECK APPLIED INCORRECTLY                
282.00-
                                                                        
VENDOR TOTAL *                     
91.02
0005441   SAFETY-KLEEN SYSTEMS, 
INC
0029637689     000126        16 
08/16/2005   
001-2200-562.40-40  PARTS WASHER                              
86.65
                                                                        
VENDOR TOTAL *                     
86.65
0005566   
15339          
009377        16 
08/16/2005   
001-2150-561.40-04  PATTERN INSTRUCTIONS                     
690.00
                                                                        
VENDOR TOTAL *                    
690.00
0005604   BOND ELECTRIC, 
INC
5401           
009764        16 
08/16/2005   
501-7310-583.25-31  REPLACE BALLAST/LAMPS                    
275.00
                                                                        
VENDOR TOTAL *                    
275.00
0005689   HOUSING & CREDIT 
COUNSELING
CI081205DV     000835        16 
08/16/2005   
001-1065-555.39-18  OPERATING FUND                         
8,367.00
                                                                        
VENDOR TOTAL *              
    8,367.00
0005689   HOUSING & CREDIT 
COUNSELING,CK GRP-0
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
18
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0005689   HOUSING & CREDIT 
COUNSELING,CK GRP-0
NR081105MS     000471        16 
08/16/2005   
631-6404-501.39-43  GRANT                                    
405.00
                                                                        
VENDOR TOTAL *                    
405.00
0005725   SOCIETY FOR HUMAN RESOURCE 
MGT
2002074769     009765        16 08/16/2005   001-1053-543.22-02  
MEMBERSHIP-KAREN REED                    
100.00
                                                                        
VENDOR TOTAL *                    
100.00
0005826   CAPITOL CONCRETE PRODUCTS 
CO.
L535960        
009709        16 
08/16/2005   
214-3800-578.45-01  PRE MIX                                   
66.00
                                                                        
VENDOR TOTAL *                     
66.00
0005967   CAPITOL FEDERAL SAVINGS & 
LOAN
NR081105MS     000472        16 
08/16/2005   
631-6405-502.33-09  APPRAISAL COMPLETION                     
108.33
                                                                        
VENDOR TOTAL *                    
108.33
0006057   SUNFLOWER 
RENTALS
76259          
000473        16 
08/16/2005   
211-4080-590.33-09  FANS                                     
126.00
                                                                        
VENDOR TOTAL *                    
126.00
0006125   AIR FILTER PLUS, 
INC.
180099         
009370        16 
08/16/2005   
001-2500-565.26-09  AIR FILTERS                              
435.09
180112         
000127        16 
08/16/2005   
502-3530-573.26-09  AIR FILTERS                               
17.74
                       
                                                 VENDOR 
TOTAL *                    
452.83
0006275   MUZAK MID 
CONTINENT
A950735        
009371        16 
08/16/2005   
001-1070-557.34-01  ACCT 165040                               
55.00
                    
                                                    VENDOR 
TOTAL *                     
55.00
0006305   MUNICIPAL EMERGENCY 
SERVICE
296320         
PI3779 062433 16 08/16/2005   
001-2200-562.42-24  FIRE PROT. SYSTEMS & 
SUPP                 
83.07
         
                                                               VENDOR 
TOTAL *                     
83.07
0006371   AUTOMOTIVE 
TECHNOLOGY
150727001      PI3795 062682 16 
08/16/2005   
504-3200-579.25-50  TRANSMISSION REPAIR                    
1,453.98
                                                                        VENDOR 
TOTAL *                  
1,453.98
0006505   GEOSYSTEMS ENGINEERING, 
INC
265485         
000836        16 
08/16/2005   
001-3000-570.45-08  CONCRETE COMP TEST                       
120.00
265485         
000837        16 
08/16/2005   
001-3000-570.45-08  CONCRETE COMP TEST                       
120.00
265485         
000838        16 
08/16/2005   
001-3000-570.45-08  CONCRETE COMP TEST                        
60.00
265485         
000839        16 
08/16/2005   
400-3000-571.60-30  CONCRETE COMP TEST                        
60.00
                                                                        
VENDOR TOTAL *                    
360.00
0006536   RAIN MAN GUTTERING, 
INC.
207158         009372        16 
08/16/2005   
001-3400-574.25-36  REPAIR GUTTER                             
85.00
                                                                        
VENDOR TOTAL *                     
85.00
0006727   CROWN CHEVROLET OLDSMOBILE 
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
19
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0006727   CROWN CHEVROLET OLDSMOBILE 
189960         
009373        16 
08/16/2005   
504-3200-579.40-26  PUMP                                  
   113.30
189792         
009374        16 
08/16/2005   
504-3200-579.40-26  SWITCH ASSEMBLY                           
34.12
189978         
009710        16 
08/16/2005   
504-3200-579.40-26  SENDER KIT                               
237.93
                 
                                                       VENDOR 
TOTAL *                    
385.35
0006756   BLUE CROSS & BLUE SHIELD OF 
KS
96080-0805     000493        16 
08/16/2005   
522-1055-545.12-05  INSURANCE-GROUP 96080                 
13,225.44
9608006-0805   000494        16 
08/16/2005   
522-1055-545.12-05  INSURANCE-GROUP 9608006               
15,994.13
9608098-0805   000495        16 
08/16/2005   
522-1055-545.12-05  INSURANCE-GROUP 9608098                
1,231.32
9608096-0805   000496        16 
08/16/2005   
522-1055-545.12-05  INSURANCE-GROUP 9608096                  
550.08
                                                                        
VENDOR TOTAL *                 
31,000.97
0006857   OVERFIELD 
CORPORATION
51432          
000128     
   16 
08/16/2005   
211-4005-590.33-09  MONITORING SERVICE                        
74.85
                                                                        
VENDOR TOTAL *                     
74.85
0006863   WATER PRODUCTS, 
INC
0560880IN      PI3678        16 
08/16/2005   
501-0000-131.00-00  COPPER SETTER                          
7,145.97
                                                                 
0560915IN      PI3679        16 
08/16/2005   
501-0000-131.00-00  COPPER TUBING                          3,598.00
                                                                 
0560784IN      009711        16 
08/16/2005   
501-7610-586.40-26  VALVE BOX RISER                          
361.50
                                 
                                       VENDOR 
TOTAL *                 
11,105.47
0006927   ENVIRO TECHNOLOGIES 
INTERNATIONAL
1065098        
000497        16 
08/16/2005   
501-7310-583.40-13  INSECT REPELLANT TOWELETT                
200.72
                
                                                        VENDOR 
TOTAL *                    
200.72
0006983   MORRIS PLUMBING, 
INC
5491           
000498        16 
08/16/2005   
631-6405-502.64-12  INSTALLATION                             
922.78
            
                                                            VENDOR 
TOTAL *                    
922.78
0007093   
LPD-0705       
000129        16 
08/16/2005   
001-2120-561.26-09  CAR WASH                                 
367.58
LPD-0705       000130        16 
08/16/2005   
001-2130-561.26-09  CAR WASH                                  
50.46
LPD-0705       
000131        16 
08/16/2005   
001-2141-561.26-09  CAR WASH                                  
60.94
LPD-0705       
000132        16 
08/16/2005   
001-2143-561.26-09  CAR WASH                                   
8.99
LPD-0705       
000133        16 
08/16/2005   
001-2144-561.26-09  CAR WASH                                   
8.99
LPD-0705       
000134        16 
08/16/2005   
001-2150-561.26-09  CAR WASH                                   
8.99
LPD-0705       
000135        16 
08/16/2005   
001-2160-561.26-09  CAR WASH                                 
152.39
                                                                        
VENDOR TOTAL *                    658.34
0007115   GRANDSTAND
041570         
PI3702 062640 16 08/16/2005   
216-4600-596.39-09  T-SHIRTS/SHORTS                        
2,065.50
                                                                        
VENDOR TOTAL *             
     2,065.50
0007156   BODY 
BOUTIQUE
CC081005FR     000353        16 
08/16/2005   
001-0000-119.10-00  MEMBERSHIP-RACHEL PALMER                 
179.50
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                      
                    PAGE    20
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0007156   BODY 
BOUTIQUE
                                                                        
VENDOR TOTAL *                    
179.50
0007193   HY-VEE - 
2488961        
009375        16 
08/16/2005   
001-1053-543.33-20  CONT BREAKFAST                            
50.41
2487104        
009376        16 
08/16/2005   
001-1053-543.33-20  CONT BREAKFAST                            
41.43
2487105        
009378        16 
08/16/2005   
001-1053-543.33-20  CONT BREAKFAST                            
41.43
                                                                        
VENDOR TOTAL *                    
133.27
0007214   451 
PROTECTION
20944          
009379        16 
08/16/2005   
001-2120-561.26-09  SERVICE CALL                             
167.50
20944          
009380        16 
08/16/2005   
001-2120-561.42-03  SERVICE CALL                              
90.00
20947          
000136        16 
08/16/2005   
001-2200-562.40-40  CHEMICAL RECHARGE                         
38.25
20951          
000499        16 
08/16/2005   
211-4080-590.33-09  SERVICE CALL                              
35.75
                                                                        
VENDOR TOTAL *                    
331.50
0007317   NEW HORIZONS, 
INC.
228988         
009381        16 
08/16/2005   
001-1030-531.22-01  CLASSES                                   
20.00
229073         
PI3632 062693 16 08/16/2005   
001-1030-531.22-01  TRAINING COURSES                           
1.92
229073         
PI3633 062693 16 08/16/2005   
001-1060-551.22-01  TRAINING COURSES                          
19.20
226876         
PI3640 062693 16 08/16/2005   
001-1060-551.22-01  TRAINING COURSES                          
65.55
229073         
PI3634 062693 16 08/16/2005   
001-1070-557.22-06  TRAINING COURSES                          
19.20
226876         
PI3641 062693 16 08/16/2005   
001-1070-557.22-06  TRAINING COURSES                         
393.35
226879         
PI3644 062693 16 08/16/2005   
001-1070-557.22-01  TRAINING COURSES                        
  49.14
226879         
PI3645 062693 16 08/16/2005   
001-1070-557.22-06  TRAINING COURSES                         
245.85
229073         
PI3635 062693 16 08/16/2005   
001-1080-522.22-01  TRAINING COURSES                           
9.60
226879         
PI3646 062693 16 08/16/2005   
001-3100-571.22-01  TRAINING COURSES                          
49.15
226876         
PI3642 062693 16 08/16/2005   
001-4570-597.22-01  TRAINING COURSES                          
65.55
229073         
PI3636 062693 16 08/16/2005   
001-6300-503.22-01  TRAINING COURSES                           
4.80
226879         
PI3647 062693 16 08/16/2005   
001-6300-503.22-01  TRAINING COURSES                          
73.75
229073         
PI3637 062693 16 08/16/2005   
501-7100-580.22-09  TRAINING COURSES                          
28.80
226876         
PI3643 062693 16 08/16/2005   
501-7100-580.22-09  TRAINING COURSES                          
65.55
226879         
PI3648 062693 16 08/16/2005   
501-7100-580.22-09  TRAINING COURSES                      
    49.15
226879         
PI3649 062693 16 08/16/2005   
502-3530-573.22-01  TRAINING COURSES                          
49.15
226879         
PI3650 062693 16 08/16/2005   
504-3200-579.22-01  TRAINING COURSES                          
49.15
229073         
PI3638 062693 16 08/16/2005   
631-6404-500.22-01  TRAINING COURSES                           
4.80
226879         
PI3651 062693 16 08/16/2005   
631-6404-500.22-01  TRAINING COURSES                          
24.66
228988         
009382        16 
08/16/2005   
641-8110-531.22-01  CLASSES                                   
80.00
229073         
PI3639 062693 16 08/16/2005   
641-8110-531.22-01  TRAINING COURSES                           
7.68
                                                                        
VENDOR TOTAL *                  
1,376.00
0007320   MIDWAY 
WHOLESALE
0535745        
009384        16 
08/16/2005   
505-3900-579.40-20  MISC SUPPLIES                             
24.62
                                                                        
VENDOR TOTAL *                     
24.62
0007415   CORPORATE 
EXPRESS
63004831       
000140        16 
08/16/2005   
001-1030-531.40-01  MISC OFFICE SUPPLIES                      
24.48
62968540       
000141        16 
08/16/2005   
001-1030-531.40-01  MISC OFFICE SUPPLIES                      
43.77
62893545       
009766        16 
08/16/2005   
001-1040-541.40-55  MISC OFFICE SUPPLIES                     
400.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                    
                      PAGE    21
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0007415   CORPORATE 
EXPRESS
62968534       
000504        16 
08/16/2005   
001-1040-541.40-01  MISC OFFICE SUPPLIES                      
68.97
62929246       
009712        16 
08/16/2005   
001-1070-557.40-01  MISC OFFICE SUPPLIES                       
5.66
62655998       
000354        16 
08/16/2005   
001-1070-557.40-01  PENS                                      
10.96
62860422       PI3796 
062724 16 08/16/2005   
001-2200-562.40-01  MISC OFFICE SUPPLIES                   
1,015.36
62655994       
000137        16 
08/16/2005   
001-6300-503.40-01  MISC OFFICE SUPPLIES                      
21.36
62691044       
000138        16 
08/16/2005   
001-6300-503.40-01  
62893562       
000139        16 
08/16/2005   
001-6300-503.40-01  LAMINATE POUCH                            
22.36
62929254       
000503        16 
08/16/2005   
211-4000-590.40-01  MISC OFFICE SUPPLIES                      
58.84
62929263       
000505        16 
08/16/2005   
211-4005-590.40-01  ENVELOPES                                 39.92
62656004       
000506        16 
08/16/2005   
211-4005-590.40-01  
62849480       
000501        16 
08/16/2005   
211-4070-590.40-01  OFFICE CHAIR                             
164.99
62758170       
000502        16 
08/16/2005   
211-4070-590.40-01  COPY PAPER                                
20.36
63004814       
000500        16 
08/16/2005   
501-7100-580.40-01  MISC OFFICE SUPPLIES                      
32.61
62893545       
009767        16 
08/16/2005   
621-1040-541.23-02  MISC OFFICE SUPPLIES                     
279.50
                                                                        
VENDOR TOTAL *                  
2,280.28
0007474   UNIVERSAL LUBRICANTS, 
INC.
830774         009385        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                            
206.80
                                                                        
VENDOR TOTAL *                    
206.80
0007491   REYNOLDS & 
REYNOLDS
531336230      009386        16 
08/16/2005   
504-3200-579.40-33  MISC SUPPLIES                            
185.20
                                                                        
VENDOR TOTAL *                    
185.20
0007496   TARGET SUPER 
STORE
1104226049     000355        16 
08/16/2005   
001-2200-562.25-36  MISC SUPPLIES                             
59.99
                                                                        
VENDOR TOTAL *                     
59.99
0007515   SCHMIDT BUILDERS SUPPLY, 
INC.
004208717      000507        16 
08/16/2005   
216-4600-596.42-03  CONCRETE MIX                              
51.20
004209156      000508        16 
08/16/2005   
216-4600-596.42-03  CONCRETE MIX                              
22.40
004209139      000509        16 
08/16/2005   
216-4600-596.42-03  CONCRETE MIX                              
76.80
004211142      000840        16 
08/16/2005   
216-4600-596.42-03  CONCRETE MIX                              
51.20-
                                                
                        VENDOR 
TOTAL *                     
99.20
0007590   KROGER 
PHARMACY
x200521000215  000388        16 
08/16/2005   
001-1054-544.36-04  WC 
Medication                             
11.59
                                                 
                               8974
x200523000178  000390        16 
08/16/2005   
001-1054-544.36-04  WC 
Medication                              
5.14
                                                                                
8976
x200523000174  000413        16 
08/16/2005   
001-1054-544.36-06  WC 
Medication                             
23.54
                                                                                
9003
x200521000082  000419        16 
08/16/2005   
001-1054-544.36-04  WC 
Medication                             
24.14
                                                                                
8998
                                                                        
VENDOR TOTAL *                     
64.41
0007646   ASPHALT SALES OF 
2436           
000142        16 
08/16/2005   
001-3000-570.45-02  ASPHALT                                  
179.01
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                      
    PAGE    22
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0007646   ASPHALT SALES OF 
2433           
PI3710 062681 16 08/16/2005   
001-3000-570.45-02  ASPHALT                                
4,874.31
2441           
PI3711 062681 16 08/16/2005   
001-3000-570.45-02  ASPHALT                                
2,718.90
2455           
000356        16 
08/16/2005   
001-3000-570.45-02  ASPHALT                                  
226.80
                                                                        
VENDOR TOTAL *                  
7,999.02
0007724   LAIDLAW TRANSIT, 
INC.
1400856        
009383        16 
08/16/2005   
211-4040-590.26-09  TRANSPORTATION                           
115.00
                                                                        
VENDOR TOTAL *                    
115.00
0007951   SA-SO 
COMPANY
3845364        
000143        16 
08/16/2005   
503-2300-563.42-09  METER COVERS                             
597.31
                                                                        
VENDOR TOTAL *                    
597.31
0008107   BNSF RAILWAY 
CO
05051667       PI3680 
062690 16 08/16/2005   
                                                                        
VENDOR TOTAL *                 
12,000.00
0008146   HUMMERT 
INTERNATIONAL
95930          
000510        16 
08/16/2005   
001-4570-597.42-09  MISC SUPPLIES                            
201.20
65523          
000144        16 
08/16/2005   
503-2300-563.42-03  MISC SUPPLIES                             
60.40
                       
                                                 VENDOR 
TOTAL *                    
261.60
0008362   COFFEE PLUS, 
INC.
A009646        
009387        16 
08/16/2005   
504-3200-579.40-33  COFFEE SUPPLIES                           
37.00
                      
                                                  VENDOR 
TOTAL *                     
37.00
0008422   IMAGE WORKS, INC., 
THE
AA701934       
000145        16 
08/16/2005   
001-2120-561.33-14  CAMERA SUPPLIES                            
4.54
AA701934       
000146        16 
08/16/2005   
001-2144-561.33-14  CAMERA SUPPLIES                           
43.12
                                                                        
VENDOR TOTAL *                     
47.66
0008601   FLORY DESIGN, 
INC
9450           
000841        16 
08/16/2005   
216-4600-596.39-03  
                                                                        
VENDOR TOTAL *                  
1,000.00
0008626   HIGH PLAINS TREE 
SERVICE
PR081605JB     PI3834 062513 16 
08/16/2005   
001-4580-598.33-02  TREE TRIMMING SERVICES                 
4,600.00
                                                                        
VENDOR TOTAL *                  
4,600.00
0008710   SPRINT/UNITED 
TELEPHONE
7855943152-0705000148        16 
08/16/2005   
001-2200-562.34-01  ACCT 785 594 3152 279                     
76.72
                                                                        
VENDOR TOTAL *                     
76.72
0008710   SPRINT/UNITED TELEPHONE,CK GRP-0
7855943157-0705000147        16 
08/16/2005   
001-2200-562.34-01  ACCT-7855943157690                        
37.27
                                                                        
VENDOR TOTAL *                     
37.27
0008747   OFFICE DEPOT 
INC
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
23
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0008747   OFFICE DEPOT 
INC
299671883001   000149        16 
08/16/2005   
211-4000-590.40-01  MISC OFFICE SUPPLIES                      
41.17
300385960001   009768        16 
08/16/2005   
501-7410-584.40-01  MISC OFFICE SUPPLIES                      
54.98
300008401001   009550        16 
08/16/2005   
501-7510-585.40-35  MISC OFFICE SUPPLIES                      
87.08
                      
                                                  VENDOR 
TOTAL *                    
183.23
0008752   IKON OFFICE 
SOLUTIONS
5002949616     009551        16 
08/16/2005   
001-1070-557.40-01  COPIER RENTAL                            
180.00
                 
                                                       VENDOR 
TOTAL *                    
180.00
0008858   
200424         
PI3627 062652 16 08/16/2005   
001-1053-543.33-20  ICE                                        
9.90
200695         
PI3703 062652 16 08/16/2005   
001-1053-543.33-20  ICE                                        
4.94
200424         
PI3628 062652 16 08/16/2005   
001-3000-570.42-09  ICE                                       
24.75
200695         
PI3704 062652 16 08/16/2005   001-3000-570.42-09  ICE                                       
12.38
200424         
PI3629 062652 16 08/16/2005   
001-4510-591.42-09  ICE                                       
19.80
200695         
PI3705 062652 16 08/16/2005   
001-4510-591.42-09  ICE                                        9.90
200425         
009549        16 
08/16/2005   
502-3520-572.40-32  ICE                                       
71.50
200424         
PI3630 062652 16 08/16/2005   
502-3520-572.42-09  ICE                               
        24.75
200696         
009769        16 
08/16/2005   
502-3520-572.40-32  ICE                                       
35.75
200695         
PI3706 062652 16 08/16/2005   
502-3520-572.42-09  ICE                                       
12.38
200424         PI3631 062652 16 08/16/2005   503-2300-563.42-09  ICE                                       
19.80
200695         
PI3707 062652 16 08/16/2005   
503-2300-563.42-09  ICE                                        
9.90
                                         
                               VENDOR 
TOTAL *                    
255.75
0008877   UNITED 
RENTALS
498333858001   009388        16 
08/16/2005   
505-3900-579.40-20  
                                           
                             VENDOR 
TOTAL *                     
89.00
0009040   PINE FAMILY 
FARM
11517          
000842        16 
08/16/2005   
501-7610-586.40-26  SOD                                      
412.50
                                           
                             VENDOR 
TOTAL *                    
412.50
0009057   
00004309       
000512        16 
08/16/2005   
001-1065-555.33-09  COURIER SVC-AUG 2005                     
275.00
00004309       PI3812 
061584 16 08/16/2005   
210-1014-514.26-09  COURIER/DELIVERY SERVICE                 
187.50
00004309       
000511        16 
08/16/2005   
506-4900-599.33-09  COURIER SVC-AUG 2005                     
250.00
00004309       PI3813 
061584 16 08/16/2005   
611-1014-514.26-09  COURIER/DELIVERY SERVICE                 
187.50
                                                                        
VENDOR TOTAL *                    
900.00
0009127   NEXTEL 
COMMUNICATIONS
284392310-0605 PI3831 061513 
16 08/16/2005   
001-3000-570.33-09  PHONE-INV 284392310-044                  
381.76
284392310-0605 PI3832 061513 
16 08/16/2005   
505-3900-579.26-09  PHONE-INV 284392310-044                  
254.50
                                                                        
VENDOR TOTAL *                    
636.26
0009127   NEXTEL COMMUNICATIONS,CK GRP-0
728923315-0705 000843        16 
08/16/2005   
001-1020-512.34-01  PHONE-INV 728923315-044                   
40.41
728923315-0705 PI3816 062758 
16 08/16/2005   
001-2110-561.34-01  PHONE-INV 728923315-044                   
98.73
728923315-0705 PI3817 062758 
16 08/16/2005   
001-2120-561.34-01  PHONE-INV 728923315-044                  
411.37
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                 
                         PAGE    24
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE    
    HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0009127   NEXTEL COMMUNICATIONS,CK GRP-0
728923315-0705 PI3818 062758 
16 08/16/2005   
001-2130-561.34-01  PHONE-INV 728923315-044                
1,359.75
728923315-0705 PI3819 062758 
16 08/16/2005   
001-2141-561.34-01  PHONE-INV 728923315-044                  433.70
728923315-0705 PI3820 062758 
16 08/16/2005   
001-2143-561.34-01  PHONE-INV 728923315-044                   
84.75
728923315-0705 PI3821 062758 
16 08/16/2005   
001-2144-561.34-01  PHONE-INV 728923315-044                  
138.29
728923315-0705 PI3822 062758 
16 08/16/2005   
001-2150-561.34-01  PHONE-INV 728923315-044                  
163.85
728923315-0705 000844        16 
08/16/2005   
503-2300-563.34-01  PHONE-INV 728923315-044                   
60.37
                                   
                                     VENDOR 
TOTAL *                  
2,791.22
0009127   NEXTEL COMMUNICATIONS,CK GRP-1
994892310-0705 000521        16 
08/16/2005   
001-4510-591.27-09  PHONE-INV 994892310-044                
1,051.81
994892310-0705 000523        16 
08/16/2005   
211-4000-590.26-09  PHONE-INV 994892310-044                  
617.73
994892310-0705 000522        16 
08/16/2005   
506-4900-599.33-09  PHONE-INV 994892310-044                   
31.46
                                                 
                       VENDOR 
TOTAL *                  
1,701.00
0009127   NEXTEL COMMUNICATIONS,CK GRP-2
426892317-0705 000514        16 
08/16/2005   
501-7100-580.26-09  PHONE-INV 426892317-044                  
165.59
426892317-0705 000515        16 
08/16/2005   
501-7210-581.33-09  PHONE-INV 426892317-044                  
153.63
426892317-0705 000516        16 
08/16/2005   
501-7220-582.33-09  PHONE-INV 426892317-044                  
307.57
426892317-0705 000517        16 
08/16/2005   
501-7310-583.33-09  PHONE-INV 426892317-044                  
536.09
426892317-0705 000518        16 
08/16/2005   
501-7410-584.33-09  PHONE-INV 426892317-044                  
597.76
426892317-0705 000519        16 
08/16/2005   
501-7510-585.33-09  PHONE-INV 426892317-044                  155.10
426892317-0705 000520        16 
08/16/2005   
501-7610-586.33-09  PHONE-INV 426892317-044                  
309.33
                                                                        
VENDOR TOTAL *                  
2,225.07
0009127   NEXTEL COMMUNICATIONS,CK GRP-3
715113318-0705 000513        16 
08/16/2005   
501-1069-559.34-01  PHONE-INV 715113318-044                  
456.75
                                                                        
VENDOR TOTAL *                   
 456.75
0009127   NEXTEL COMMUNICATIONS,CK GRP-4
303113315-0405 000358        16 
08/16/2005   
001-1070-557.34-01  PHONE-INV 303113315-044                  
694.93
303113315-0405 000359        16 
08/16/2005   
001-1070-557.34-01  PHONE-INV 303113315-043                  328.95
                                                                        
VENDOR TOTAL *                  
1,023.88
0009127   NEXTEL COMMUNICATIONS,CK GRP-5
284313315-0805 PI3801 061514 
16 08/16/2005   
001-3100-571.26-09  PHONE-INV 284313315-044                  
529.04
                                                                        
VENDOR TOTAL *                    
529.04
0009127   NEXTEL COMMUNICATIONS,CK GRP-6
438023311-0705 000151        16 
08/16/2005   
001-3200-572.26-09  PHONE-INV 43802311-044                   
367.41
                                                                        
VENDOR TOTAL *                    
367.41
0009127   NEXTEL COMMUNICATIONS,CK GRP-7
841853310-0605 000357        16 
08/16/2005   
501-1069-559.34-01  PHONE-INV 841853310-039                   
43.28
                                                                        
VENDOR TOTAL *                     
43.28
0009135   RENTAL SERVICE 
CORP
25321248001    000152        16 
08/16/2005   
001-4560-596.33-09  RENTAL EQUIPMENT                         
314.00
25263604001    000524        16 
08/16/2005   
501-7310-583.25-36  SNORKEL                                  
393.85
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
25
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                    
        EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0009135   RENTAL SERVICE 
CORP
                                                                        
VENDOR TOTAL *                    
707.85
0009138   BPI BUILDING 
SERVICES
11935          
000525        16 
08/16/2005   
001-2200-562.33-09  JANITORIAL SVC- 7/1-7/31                 
145.94
11935          
000526        16 
08/16/2005   
001-6300-503.33-09  JANITORIAL SVC- 7/1-7/31                 
274.53
11935          
000527        16 
08/16/2005   
631-6404-500.33-09  JANITORIAL SVC- 7/1-7/31                 
274.53
                                                                        
VENDOR TOTAL *                    
695.00
0009148   ALEXANDER OPEN 
SYSTEMS
94257          
PI3769 062258 16 08/16/2005   
501-7310-583.33-09  PROGRAM DEVELOPMENT                    
7,218.75
                                                                        
VENDOR TOTAL *                  
7,218.75
0009400   ZIMMER RADIO GROUP-LAWRENCE,KS
911000040003   000528        16 
08/16/2005   
211-4060-590.24-03  RADIO/TV ADVERTISEMENTS                  
320.00
1830000070004  
PI3685 061731 16 
08/16/2005   
502-3530-573.40-22  RADIO/TV 
ADVERTISEMENTS                  
600.00
1830000080005  
PI3686 061731 16 
08/16/2005   
502-3530-573.40-22  RADIO/TV 
ADVERTISEMENTS                  
550.00
                                                                        
VENDOR TOTAL *                  
1,470.00
0009411   JENSENS 
SHARPENING
1486           
000153        16 
08/16/2005   
001-4560-596.33-09  CHAIN            
                         21.00
                                                                        
VENDOR TOTAL *                     
21.00
0009471   METROCALL
A0313850H-0705 PI3802 061578 
16 08/16/2005   
001-2110-561.34-01  PAGER-ACCT 0313850-0                      18.25
A0313850H-0705 PI3803 061578 
16 08/16/2005   
001-2120-561.34-01  PAGER-ACCT 0313850-0                     
526.89
A0313850H-0705 PI3804 061578 
16 08/16/2005   
001-2130-561.34-01  PAGER-ACCT 0313850-0                     
163.55
A0313850H-0705 PI3805 061578 
16 08/16/2005   
001-2141-561.34-01  PAGER-ACCT 0313850-0                      
54.49
A0313850H-0705 PI3806 061578 
16 08/16/2005   
001-2142-561.34-01  PAGER-ACCT 0313850-0                      
15.10
A0313850H-0705 PI3807 061578 
16 08/16/2005   
001-2143-561.34-01  PAGER-ACCT 0313850-0                      
24.19
A0313850H-0705 PI3808 061578 
16 08/16/2005   
001-2144-561.34-01  PAGER-ACCT 0313850-0                      
30.30
A0313850H-0705 PI3809 061578 
16 08/16/2005   
001-2150-561.34-01  PAGER-ACCT 0313850-0                      
27.24
A0313850H-0705 PI3810 061578 
16 08/16/2005   
001-2160-561.34-01  PAGER-ACCT 0313850-0                      
42.44
A0313850H-0705 PI3811 061578 
16 08/16/2005   
503-2300-563.34-01  PAGER-ACCT 0313850-0                      24.19
                                                                        
VENDOR TOTAL *                    
926.64
0009471   METROCALL,CK GRP-0
A0313952H-0705 PI3771 061512 
16 08/16/2005   
001-2500-565.26-09  PAGER-ACCT 013952-4                       43.24
A0313952H-0705 PI3772 061512 
16 08/16/2005   
001-3000-570.33-09  PAGER-ACCT 0313952-4                      
73.17
A0313952H-0705 PI3773 061512 
16 08/16/2005   
001-3100-571.26-09  PAGER-ACCT 0313952-4                     
173.01
A0313952H-0705 PI3774 061512 
16 08/16/2005   
001-3200-572.26-09  PAGER-ACCT 0313952-4                      
36.02
A0313952H-0705 PI3775 061512 
16 08/16/2005   
001-3400-574.26-09  PAGER-ACCT 0313952-4                     
216.32
A0313952H-0705 PI3776 061512 
16 08/16/2005   
502-3510-571.26-09  PAGER-ACCT 0313952-4                      
43.23
A0313952H-0705 PI3777 061512 
16 08/16/2005   
504-3200-579.33-09  PAGER-ACCT 0313952-4                     
104.51
A0313952H-0705 PI3778 061512 
16 08/16/2005   
505-3900-579.26-09  PAGER-ACCT 0313952-4                      
18.11
                                                                        
VENDOR TOTAL *                    
707.61
0009471   METROCALL,CK GRP-1
A0313875H-0705 000360        16 
08/16/2005   
001-2200-562.34-01  PAGER-ACCT 0313875                       
546.84
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
26
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION    
                       AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0009471   METROCALL,CK GRP-1
                                                             
           VENDOR 
TOTAL *                    
546.84
0009471   METROCALL,CK GRP-2
A0314090H-0705 000529        16 
08/16/2005   
001-4520-592.33-09  PAGER-ACCT 0314090-2                      
16.00
A0314090H-0705 000530        16 
08/16/2005   
001-4540-594.33-09  PAGER-ACCT 0314090-2                      
24.00
A0314090H-0705 000531        16 
08/16/2005   
211-4005-590.33-09  PAGER-ACCT 0314090-2                      
24.00
A0314090H-0705 000532        16 
08/16/2005   
211-4020-590.26-09  PAGER-ACCT 0314090-2                      16.00
                                                                        
VENDOR TOTAL *                     
80.00
0009482   BWI
06738922       
000533        16 
08/16/2005   
001-4540-594.40-08  MISC SUPPLIES                      
      275.00
06733345       PI3699 
062636 16 08/16/2005   
001-4550-595.40-08  CHEMICAL TREATMENT                       
275.00
06733345       PI3700 
062636 16 08/16/2005   
001-4570-597.40-08  CHEMICAL TREATMENT                       
275.00
06683867       000154        16 
08/16/2005   
503-2300-563.42-03  PLANTS                                    
40.50
                                                                        
VENDOR TOTAL *                    
865.50
0009500   DELL COMPUTER 
CORPORATION
E14819564      000534        16 
08/16/2005   
205-1000-510.60-98  COMPUTER SUPPLIES                         
56.77
                                                                        
VENDOR TOTAL *                     
56.77
0009630   MCKEOWN SIGN 
CO
012358         
000155        16 
08/16/2005   
001-2200-562.33-16  DECALS INSTALLATION                      
724.48
012357         
000156        16 
08/16/2005   
001-2200-562.33-16  DECALS REMOVAL                           
555.00
                                  
                                      VENDOR 
TOTAL *                  
1,279.48
0009643   NORTHERN TOOL & EQUIPMENT 
CO
12361762       
000157        16 
08/16/2005   
504-3200-579.40-29  TITANIUM IMPACT                          
599.13
                      
                                                  VENDOR 
TOTAL *                    
599.13
0009713   LINDYSPRING DRINKING 
WATER
61495          
000158        16 
08/16/2005   
502-3530-573.33-09  COLD ROOM RENTAL                          
16.00
            
                                                            VENDOR 
TOTAL *                     
16.00
0009783   FLUID SYSTEMS & COMPONENTS 
INC
03166901       
009770        16 
08/16/2005   
501-7310-583.25-31  MISC SUPPLIES                            
335.09
03166900       
000361        16 
08/16/2005   
501-7310-583.25-31  MISC SUPPLIES                            
231.71
                                                                        
VENDOR TOTAL *                    
566.80
0009784   LUMINOUS NEON, 
INC
005013590      009390        16 
08/16/2005   
001-2120-561.33-16  GRAPHICS ON CAR                           
40.83
                                                                        
VENDOR TOTAL *                     
40.83
0009879   SOUTHWESTERN 
ITC080105      000536        16 
08/16/2005   
001-2110-561.33-53  ACCT 913-145-0006-142-4                  
247.20
                                                                        
VENDOR TOTAL *                    
247.20
0009880   BROWN'S SHOE FIT 
CO
1067773        
000159        16 
08/16/2005   
503-2300-563.37-03  SHOES-PARKING M GRAF                      
89.95
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
27
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              NO   NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0009880   BROWN'S SHOE FIT 
CO
                                                                        
VENDOR TOTAL *                     
89.95
0009972   REHAB DESIGNS OF 
COMB060705     000386        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                   
394.00
                                                                                
8972
                                                                        
VENDOR TOTAL *                    
394.00
0010030   
69108          
000377        16 
08/16/2005   
001-1054-544.36-03  MEDICAL SERVICES                         
302.40
69770          
000387        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                       
                                                         8980
69296          
000394        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                 
38.29
                                                                               
 8973
69296          
000395        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                 
81.26
                                                                                
8973
69296          
000396        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                 
21.68
                                                                                
8973
69636          
000399        16 
08/16/2005   
001-1054-544.36-03  WC Radiology                            
 561.66
                                                                                
8992
69635          
000400        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                               
                                 8993
69636          
000403        16 
08/16/2005   
001-1054-544.36-03  WC Radiology                              
71.28
                                                                                
8992
69636          
000404        16 
08/16/2005   
001-1054-544.36-03  WC Radiology                             
554.40
                                                                                
8992
69517          
000405        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                                                                
9001
69590          
000406        16 
08/16/2005   
001-1054-544.36-03  WC Labwork/Pathology                      
36.13
               
                                                                 8999
69589          
000407        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                
120.00
                                                                       
         9000
69590          
000408        16 
08/16/2005   
001-1054-544.36-03  WC Labwork/Pathology                      
21.68
                                                                                
8999
69590          
000409        16 
08/16/2005   
001-1054-544.36-03  WC Medical Dir Office 
                                                                                
8999
69569          
000410        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                                                                
8979
69578          
000412        16 
08/16/2005   
001-1054-544.36-06  WC Physical Therapy                       
37.00
                                       
                                         9002
69518          
000414        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                                                                
9004
69527          000415        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                                                                
9005
69672          
000416        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                 
63.00
                                                                                
8994
69573          
000417        16 
08/16/2005   
001-1054-544.36-05  WC Medical Dir Office 
                                                                                8996
69650          
000420        16 
08/16/2005   
001-1054-544.36-03  WC Radiology                              
34.32
                                                               
                 8995
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
28
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0010030   
69672          
000421        16 
08/16/2005   
001-1054-544.36-03  WC Emergency Room Expense                134.20
                                                                                
8994
69108          
000375        16 
08/16/2005   
001-1060-551.27-09  MEDICAL SERVICES                          
55.00
69984          
000160        16 
08/16/2005   
001-2200-562.33-42  MEDICAL SERVICES                          
45.00
69358          
000161        16 
08/16/2005   
001-2200-562.33-42  MEDICAL SERVICES                          
45.00
70417          
000162        16 
08/16/2005   
001-2200-562.33-42  MEDICAL SERVICES                          
45.00
69634          
000362        16 
08/16/2005   
001-3400-574.27-09  MEDICAL SERVICES                         
124.00
69560          
000367        16 
08/16/2005   
211-4070-590.27-09  MEDICAL SERVICES            
              80.00
69560          
000370        16 
08/16/2005   
501-1069-559.27-09  MEDICAL SERVICES                          
55.00
69560          
000363        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
70.00
69560          000365        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
55.00
69560          
000369        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
70.00
69560          
000371        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
15.75
69108          
000372        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
70.00
69108          
000376        16 
08/16/2005   
501-7100-580.27-09  MEDICAL SERVICES                          
30.00
69560          
000364        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69560          
000366        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES          
                70.00
69560          
000368        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69108          
000373        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69108          
000374        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69108          
000378        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
70218          
000537        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
70218          
000538        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
70218          
000539        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69792          
000540        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES                          
70.00
69792          
000541        16 
08/16/2005   
502-3520-572.27-09  MEDICAL SERVICES        
                  70.00
                                                                        
VENDOR TOTAL *                  
4,385.46
0010062   NORTHEAST DIESEL 
SERVICE
10454          
PI3625 062642 16 08/16/2005   
504-3200-579.25-50  FUEL INJECTOR PUMP                     
2,493.75
10454          
PI3626 062642 16 08/16/2005   
504-3200-579.25-50  FREIGHT CHARGES                           
99.75
                                                                        
VENDOR TOTAL *                  
2,593.50
0010098   SIGN D'SIGN
25070017       
000542        16 
08/16/2005   
211-4005-590.42-03  MISC SUPPLIES                            
214.20
25070014       
000543        16 
08/16/2005   
211-4005-590.42-03  FOUL LINE MARKERS                         
15.00
25070016       
009391        16 
08/16/2005   
216-4600-596.42-09  MISC SUPPLIES                            
180.00
                                                                        
VENDOR TOTAL *                    
409.20
0010143   LAWRENCE HOSE & HYDRAULIC 
SUPP
9379           
000163        16 
08/16/2005   
501-7610-586.40-26  MISC SUPPLIES                             
22.50
10266          
009392        16 
08/16/2005   
504-3200-579.40-26  MISC SUPPLIES                             
40.23
              
                                                          VENDOR 
TOTAL *                     
62.73
0010175   AIRE-MASTER EASTERN 
25468          
009552        16 
08/16/2005   
501-7210-581.40-13  JANITORIAL SERVICES                       
10.00
25468          
009553        16 
08/16/2005   
501-7220-582.40-13  JANITORIAL SERVICES                       
10.00
25468          
009554        16 
08/16/2005   
501-7410-584.40-13  JANITORIAL SERVICS                        
15.00
PREPARED 08/16/2005, 
14:42:01                          EXPENDITURE 
APPROVAL LIST                                          
PAGE    
29
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0010175   AIRE-MASTER EASTERN 
                                                                        
VENDOR TOTAL *                     
35.00
0010207   
FI081105EM-0605000379        16 
08/16/2005   
503-2300-563.26-09  PARKING METER COIN-JUNE05                
115.50
                                                                        
VENDOR TOTAL *                    
115.50
0010232   DOWNINGS LAWN CARE, 
INC
10528          009393        16 
08/16/2005   
001-2500-565.33-01  MOWING                                    
99.00
10504          
PI3619 062088 16 08/16/2005   
501-7210-581.33-09  MOWING                                   
585.00
10505          
PI3618 062087 16 08/16/2005   
501-7220-582.33-09  MOWING                                   
525.00
                                                                        
VENDOR TOTAL *                  
1,209.00
0010313   R & R COMMUNICATIONS, 
INC
2003235        
000845        16 08/16/2005   502-3530-573.34-01  REPLACE 
INTERMITTENT                     
120.00
                                                                        
VENDOR TOTAL *                    
120.00
0010373   ANALYTICAL PRODUCTS GROUP, 
INC
136749         000164        16 
08/16/2005   
501-7510-585.40-35  MISC SUPPLIES                            
697.00
136198         
008951        16 
08/16/2005   
501-7510-585.40-35  MISC SUPPLIES                            
284.00
                                       
                          REISSUED 
CK 285062
                                                                        
VENDOR TOTAL *                    
981.00
0010396   HY-VEE - 
9924310        
009555        16 
08/16/2005   
501-7100-580.23-02  BREAKFAST                                 
12.44
9915314        
009394        16 
08/16/2005   
501-7410-584.42-02  WATER                                     
74.85
                                                                        
VENDOR TOTAL *                     87.29
0010495   MV TRANSPORTATION, 
INC
190705-03      000805        16 
08/16/2005   
210-1014-514.26-09  
190805-01      PI3824 061722 16 
08/16/2005   
210-1014-514.26-09  BUS SERVICES                    
CHECK #:    
2598         
33,009.75
190705-03      PI3826 061723 16 
08/16/2005   
210-1014-514.26-09  MAINT. AGREEMENTS               
CHECK #:    
2598          
7,428.88
190805-01      PI3828 061723 16 
08/16/2005   
210-1014-514.26-09  MAINT. AGREEMENTS               
CHECK #:    
2598          
2,330.10
190705-03      000806        16 
08/16/2005   
611-1014-514.26-09  
190805-01      PI3825 061722 16 
08/16/2005   
611-1014-514.26-09  BUS SERVICES                    
CHECK #:    
2598         
33,009.75
190705-03      PI3827 061723 16 
08/16/2005   
611-1014-514.26-09  MAINT. AGREEMENTS               
CHECK #:    
2598         
29,715.53
190805-01      PI3829 061723 16 
08/16/2005   
611-1014-514.26-09  MAINT. AGREEMENTS               
CHECK #:    
2598          
9,320.40
                                                                        
VENDOR TOTAL *                       
.00         
112,687.23
0010545   CDW-G
SZ89258        PI3782 
062523 16 08/16/2005   
001-1030-531.40-01  MISC COMPUTER EQUIPMENT                  
201.52
SZ89258        
PI3783 062523 16 08/16/2005   
001-1050-542.40-01  MISC COMPUTER EQUIPMENT                  
100.95
SZ89258        
PI3784 062523 16 08/16/2005   
001-1053-543.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3785 062523 16 08/16/2005   
001-1054-544.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3786 062523 16 08/16/2005   
001-1060-551.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3787 062523 16 08/16/2005   
001-1070-557.33-06  MISC COMPUTER EQUIPMENT                
1,090.77
SZ89258        
PI3788 062523 16 08/16/2005   
001-1090-521.40-01  MISC COMPUTER EQUIPMENT                  201.53
TG95779        
PI3701 062637 16 08/16/2005   
001-2150-561.42-03  NOTEBOOK COMPUTER                        
930.99
TI26534        
PI3724 062637 16 08/16/2005   
001-2150-561.42-03  NOTEBOOK COMPUTER                        
184.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
30
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0010545   CDW-G
SZ89258        
PI3789 062523 16 08/16/2005   
001-3100-571.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3790 062523 16 08/16/2005   
001-6300-503.40-01  MISC COMPUTER EQUIPMENT                  
100.95
SZ89258        
PI3791 062523 16 08/16/2005   
211-4000-590.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3792 062523 16 08/16/2005   
501-1069-559.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3793 062523 16 08/16/2005   
501-7100-580.40-01  MISC COMPUTER EQUIPMENT                  
201.53
SZ89258        
PI3794 062523 16 08/16/2005   
501-7310-583.40-01  MISC COMPUTER EQUIPMENT                  
604.95
                                                                        
VENDOR TOTAL *                  
4,826.37
0010547   MHC KENWORTH 
T21560179958   009715        16 
08/16/2005   
504-3200-579.40-26  FILTER FUEL                               88.14
                                                                        
VENDOR TOTAL *                     
88.14
0010559   SIEMENS 
9537595        
000165        16 
08/16/2005   
211-4005-590.40-01  WALL MOUNT KIT                            
25.00
                                                                        
VENDOR TOTAL *                     
25.00
0010565   US FILTER 
STRANCO
261872         
PI3698 062625 16 08/16/2005   
501-7310-583.25-31  MISC WATER SEWER ITEMS                 
2,505.52
                                                                        
VENDOR TOTAL *                  
2,505.52
0010597   HUGHES, LISA
PR080905JG-REIM000544        16 
08/16/2005   
211-4080-590.21-02  MILEAGE REIMBURSEMENT                    
105.82
                                                                        
VENDOR TOTAL *                    
105.82
0010712   THYSSENKRUPP ELEVATOR 
CORP
277718         
009396        16 
08/16/2005   
501-7210-581.25-36  ELEVATOR MAINTENTANCE                    
146.22
277718         
009397        16 
08/16/2005   
501-7220-582.25-36  ELEVATOR MAINTENTANCE                    
146.22
277718         
009395        16 
08/16/2005   
501-7310-583.25-36  ELEVATOR MAINTENTANCE                    146.22
                                                                        
VENDOR TOTAL *                    
438.66
0010744   BRADFORD, 
MARK
FM080905RP-REIM000846        16 
08/16/2005   
001-2200-562.22-01  SUPPLIES FOR RETIREMENT                   91.16
                                                                        
VENDOR TOTAL *                     
91.16
0010769   DOCUMENT PRODUCTS, 
INC
7135           
000380        16 
08/16/2005   
211-4005-590.33-09  COPIER RENTAL         
                    29.79
6989           
000381        16 
08/16/2005   
211-4005-590.33-09  COPIER RENTAL                             
29.00
6991           
000545        16 
08/16/2005   
621-1040-541.26-09  COPIER RENTAL                             
33.33
                                                                        
VENDOR TOTAL *                     
92.12
0010772   
393082         
000847        16 
08/16/2005   
001-6300-503.33-44  MOWING CHARGES                           
420.00
                                                                        
VENDOR TOTAL *                    
420.00
0010825   CINGULAR 
WIRELESS
456789836-0605 PI3814 061732 
16 08/16/2005   
502-3510-571.34-01  CELLULAR PHONE                           
111.13
456789836-0605 PI3815 061732 
16 08/16/2005   
502-3520-572.34-01  CELLULAR PHONE                           
166.70
456789836-0605 000382        16 
08/16/2005   
504-3200-579.26-09  ACCT-456789836                            
20.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
31
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0010825   CINGULAR 
WIRELESS
                                                                        
VENDOR TOTAL *                    
297.83
0010825   CINGULAR WIRELESS,CK GRP-0
447490962-0702 000166        16 
08/16/2005   
001-3400-574.27-09  PHONE-ACCT 447490962                      
49.87
                                                                        
VENDOR TOTAL *                     
49.87
0010852   EXPRESS PERSONNEL 
SERVICES
937331148      000547        16 
08/16/2005   
001-6300-503.33-09  TEMP EMPLOYEE                            
216.64
937331148      000546        16 
08/16/2005   
631-6404-500.33-09  TEMP EMPLOYEE                            
216.64
              
                                                          VENDOR 
TOTAL *                    
433.28
0010852   EXPRESS PERSONNEL SERVICES,CK GRP-0
937122612      PI3687 061759 16 
08/16/2005   
501-7310-583.33-09  TEMPORARY EMPLOYEES                      
496.91
                                                                        
VENDOR TOTAL *                    
496.91
0010913   BRENNTAG MID-SOUTH, 
INC
BMS825377      PI3608 061507 16 
08/16/2005   
501-7310-583.40-08  CHLORINE                             
  3,550.74
                                                                        
VENDOR TOTAL *                  
3,550.74
0010956   DOUG'S 
AUTOMOTIVE
661531         
000167        16 
08/16/2005   
001-2200-562.25-32  AUTO SUPPLIES                       
     406.00
                                                                        
VENDOR TOTAL *                    
406.00
0011000   MARSHALL NATHAN 
J
000145105      UT            
16 08/12/2005   
501-0000-281.00-00  UB DEPOSIT REFUND -- 0001          
       40.33
                                                                 
000317744
                                                                        
VENDOR TOTAL *                     
40.33
0011000   PERKINS JONATHAN 
S
000077045      UT            16 
08/12/2005   
501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 
40.30
                                                                 
000194908
                                                                        
VENDOR TOTAL *                     40.30
0011000   ALSHAMMIRY 
KHALAF
000100305      UT            
16 08/12/2005   
501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 
40.30
                                                                 
000302170
           
                                                             VENDOR 
TOTAL *                     
40.30
0011000   NEWMAN ROBERT 
E
000121340      UT            
16 08/12/2005   
501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 
40.30
            
                                                     000310960
                                                                        
VENDOR TOTAL *                     
40.30
0011000   EVANS DANA A
000143385      UT            
16 08/15/2005   
501-0000-281.00-00  UB CR REFUND                             
934.41
                                                                 
000147462
                                                                        
VENDOR TOTAL *                    
934.41
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
32
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0011066   PSC-PHILIP SERVICES 
CORP
446536         
PI3712 062710 16 08/16/2005   
502-3530-573.33-32  HAZARDOUS WASTE DISPOSAL               
6,850.00
        
                                                                VENDOR 
TOTAL *                  
6,850.00
0011081   PROFESSIONAL 
ENGINEERING
604928         
PI3681 060304 16 08/16/2005   
501-7800-588.27-02  ENGINEERING SERVICES                   
8,727.40
                                                                        
VENDOR TOTAL *                  
8,727.40
0011109   GENUINE PARTS CO (
314934         
000168        16 
08/16/2005   
001-2200-562.25-32  CLAMPS                                 
   12.21
315092         
000169        16 
08/16/2005   
001-2200-562.25-32  MISC AUTO SUPPLIES                        
55.92
313350         
000170        16 
08/16/2005   
001-4530-593.25-31  PLUG                                       
4.20
314940         
000171        16 
08/16/2005   
001-4530-593.25-31  PLUG                                       
3.75
                                                                        
VENDOR TOTAL *                     
76.08
0011183   EPCO CARBON DIOXIDE, 
INC
224846         PI3616 061538 16 
08/16/2005   
501-7220-582.40-08  CARBON DIOXIDE                         
1,007.44
                                                                        
VENDOR TOTAL *                  
1,007.44
0011238   LARRY DETAIL
052739        
 000548        16 
08/16/2005   
504-3200-579.25-50  CAR DETAIL                                
65.00
052743         
000848        16 
08/16/2005   
504-3200-579.25-50  CAR DETAIL                               
125.00
052733         
000849        16 
08/16/2005   
504-3200-579.25-50  CAR DETAIL                               
100.00
                                                                        
VENDOR TOTAL *                    
290.00
0011653   CINTAS FIRST AID & 
SUPPLY
0479213290     009398        16 
08/16/2005   
001-2110-561.33-53  MISC MEDICAL SUPPLIES                    
120.60
                                                                        
VENDOR TOTAL *                    
120.60
0011779   ADECCO USA, 
INC
38782278       
009772        16 
08/16/2005   
001-1040-541.33-31  TEMP EMPLOYEE                            
215.04
38886247       
000535        16 
08/16/2005   
001-1040-541.33-31  TEMP EMPLOYEE                             
73.92
38782246       
009771        16 
08/16/2005   
621-1040-541.33-31  TEMP EMPLOYEE                             
90.72
                                                                        
VENDOR TOTAL *                    
379.68
0011822   
856980         
008462        16 
08/16/2005   
001-2130-561.40-01  MISC OFFICE SUPPLIES                     
604.81
                                                                 
REISSUED CK 285028
                                                                        
VENDOR TOTAL *                   
 604.81
0011893   SBC DATACOM
171007258      PI3780 062465 16 
08/16/2005   
501-7800-588.60-08  COMMUNICATION EQUIPT.                  
2,520.00
171007309      PI3781 062465 16 
08/16/2005   
501-7800-588.60-08  COMMUNICATION EQUIPT.                  
9,108.60
                                                                        
VENDOR TOTAL *                 
11,628.60
0011919   SERVICEMASTER CLEANSWEEP 
JANITORIAL
457            
PI3607 061498 16 08/16/2005   
001-2110-561.33-53  JANITORIAL SERVICE        
             1,549.72
484            
PI3691 061945 16 08/16/2005   
501-7310-583.33-09  JANITORIAL SERVICE                       
568.00
                                                                        
VENDOR TOTAL *                  
2,117.72
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
33
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0011947   FLEET PAINT SPECIALTIES, 
INC
15945          
000549        16 
08/16/2005   
504-3200-579.25-50  SAND BLAST/PAINT                         
400.00
15663          
PI3768 061899 16 08/16/2005   
504-3200-579.25-50  PAINT & REFINISHING                    
2,016.35
                                                                        
VENDOR TOTAL *                  
2,416.35
0011985   CENTRAL 
FM080105RP     000172        16 
08/16/2005   
001-2200-562.43-00  MANUALS                                  
637.00
                                                                        
VENDOR TOTAL *                    
637.00
0012001   CHATS
MC081005CS     000550        16 
08/16/2005   
705-0000-214.02-00  APF                                      
270.00
                                                                        
VENDOR TOTAL *                    
270.00
0012052   
FI081105EM-0705000551        16 
08/16/2005   
001-1054-544.27-03  LEGAL BILLING-JULY 2005                   
50.00
FI081105EM-0705000552        16 
08/16/2005   
001-1054-544.27-03  LEGAL BILLING-JULY 2005                
1,428.69
FI081105EM-0705000553        16 08/16/2005   001-1054-544.27-03  LEGAL 
BILLING-JULY 2005                  
930.00
FI081105EM-0705000554        16 
08/16/2005   
001-1054-544.27-03  LEGAL BILLING-JULY 2005                  
250.00
FI081105EM-0705000555        16 
08/16/2005   
001-1054-544.27-03  LEGAL BILLING-JULY 2005                  
130.00
FI081105EM-0705000556        16 
08/16/2005   
501-7100-580.27-03  LEGAL BILLING-JULY 2005                   
70.00
FI081105EM-0705000557        16 
08/16/2005   
501-7100-580.27-03  LEGAL BILLING-JULY 2005                  
260.00
                                                                        
VENDOR TOTAL *                  
3,118.69
0012104   MUNICIPAL SERVICES 
BUREAU
18985          
000558        16 
08/16/2005   
001-0000-351.00-00  LEGAL SERVICES                           
704.95
                                                                        
VENDOR TOTAL *                    
704.95
0012129   LATHROP & GAGE, 
LC
1047483        
000383        16 
08/16/2005   
001-1054-544.27-03  LEGAL SERVICES                         
5,235.06
                                                                        
VENDOR TOTAL *                  
5,235.06
0012154   JUDGE HUGH MEANS AMERICAN 
INN
LE081205DC     000561        16 
08/16/2005   
001-1080-522.22-02  DUES-DAVE CORLISS                        
235.00
                                                                        
VENDOR TOTAL *                    
235.00
0012154   JUDGE HUGH MEANS AMERICAN INN,CK GRP-0
LE081205DC     000559        16 
08/16/2005   
001-1080-522.22-02  DUES-TONI WHEELER                        
205.00
                                                                        
VENDOR TOTAL *                    
205.00
0012154   JUDGE HUGH MEANS AMERICAN INN,CK GRP-1
LE081205DC     000560        16 
08/16/2005   
001-1090-521.22-02  DUES-RANDY MCGRATH                       
235.00
                                                                        
VENDOR TOTAL *                    
235.00
0012157   JAYHAWK FILE EXPRESS, 
LLC
0020823        
000562        16 
08/16/2005   
001-1065-555.33-09  SHRED BARRELS                            
188.00
                                                                        
VENDOR TOTAL *                    
188.00
0012204   WILDCO
163256         
009773        16 
08/16/2005   
501-7510-585.40-35  MISC SUPPLIES                            
566.26
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
34
PROGRAM: GM339L        
                                    AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0012204   WILDCO
                                   
                                     VENDOR 
TOTAL *                    
566.26
0012320   SMART BUILDING SERVICE, 
LLC
1180           
000850        16 
08/16/2005   
502-3530-573.26-04  CONTRACT CLEANING                        
195.24
                        
                                                VENDOR 
TOTAL *                    
195.24
0012321   BOSS, INC
16903          
000173        16 
08/16/2005   
001-2150-561.40-04  PRODUCT SUPPORT RENEWAL                  
125.96
                               
                                         VENDOR 
TOTAL *                    
125.96
0012361   CARTER ENERGY 
CORPORATION
703028         
PI3770 062568 16 08/16/2005   
504-3200-579.40-28  GASOLINE,AUTOMOTIVE                   
15,403.67
                      
                                                  VENDOR 
TOTAL *                 
15,403.67
0012372   REVENUE ASSURANCE PROFESSIONALS 
LLC
LAWRFI         
008234        16 
07/26/2005   
501-0000-342.70-00  VOID CK-WRONG AMOUNT            
CHECK #:  284579             18.93-
                                                                 
REISSUED 8/16/05
LAWRFI         
008234        16 
08/16/2005   
501-0000-342.70-00  COLLECTIONS-ACCT LAWRFI                   
14.38
                                          
                       REISSUED 
CK 284579
                                                                        
VENDOR TOTAL *                     
14.38              
18.93-
0012378   UNIVAR
KC576949       PI3800 
061508 16 08/16/2005   
501-7310-583.40-08  SODIUM BISULFITE                       
2,419.78
                                                                        
VENDOR TOTAL *                  
2,419.78
0012415   ALL POINTS SURVEYING, 
LLP
04002JULY2     PI3722 059661 16 
08/16/2005   
505-3920-579.60-30  STORM WATER IMPROVEMENTS                 
425.00
                                                                        
VENDOR TOTAL *                    
425.00
0012425   CINTAS DOCUMENT 
MANAGEMENT
DD43009620     000563        16 
08/16/2005   
001-1090-521.27-09  SHREDDING SERVICES                        
55.00
                                                                        
VENDOR TOTAL *                     
55.00
0012460   POWERGRIP MFG, 
INC
25957          
009713        16 
08/16/2005   
504-3200-579.40-26  POWERGRIP SPRING                         
233.00
                                                                        
VENDOR TOTAL *                    
233.00
0012461   SUNGARD AVAILABILITY SERVICES 
LP
151788027      PI3609 061515 16 
08/16/2005   
001-1070-557.26-05  TECH SUPPORT                             
315.36
151788027      PI3610 061515 16 
08/16/2005   
501-1069-559.26-05  TECH SUPPORT                             
928.56
151788027      PI3611 061515 16 
08/16/2005   
501-7100-580.26-05  TECH SUPPORT                             
105.12
151788027      PI3612 061515 16 
08/16/2005   
502-3510-571.26-05  TECH SUPPORT                             
175.20
151788027      PI3613 061515 16 
08/16/2005   
502-3520-572.26-05  TECH SUPPORT                             175.20
151788027      PI3614 061515 16 
08/16/2005   
505-3900-579.26-09  TECH SUPPORT                              
52.56
                                                                        
VENDOR TOTAL *                  
1,752.00
0012505   HEFFLEY, ADAM 
K
PD080805MB-REIM000174        16 
08/16/2005   
001-2120-561.22-05  TUTION REIMBURSEMENT                     
217.93
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                             
             PAGE    35
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0012505   HEFFLEY, ADAM 
K
                                                                        
VENDOR TOTAL *                    
217.93
0012593   AQUA PRODUCTS 
KC
1650           
000175        16 
08/16/2005   
211-4080-590.25-31  WARRANTY REPLACEMENT                       5.95
                                                                        
VENDOR TOTAL *                      
5.95
0012601   GRAGG'S 
PAINT-LAWRENCE
301160         
009556        16 
08/16/2005   
001-4520-592.40-07  PAINT                
                     30.59
                                                                        
VENDOR TOTAL *                     
30.59
0012611   INFORMATION SOLUTIONS GROUP 
LLC
ISGBR050054    000384        16 
08/16/2005   
001-1070-557.40-04  BARRACUDA UPDATES                        
798.00
                                                                        
VENDOR TOTAL *                    
798.00
0012615   WATSON-MARLOW, 
INC
109320         
000564        16 
08/16/2005   
501-7310-583.42-09  MARPENE TUBING                           
485.30
                                                                        
VENDOR TOTAL *                    
485.30
0012653   KLINGENBERG, 
GWEN
NR081105MS     000565        16 
08/16/2005   
631-6404-501.37-09  MISC SERVICES                            
300.00
                                                                        
VENDOR TOTAL *                    
300.00
0012668   GRAGG'S 
307646         
000566        16 
08/16/2005   
501-7610-586.40-26  PAINT SUPPLIES                           
402.28
                                                                        
VENDOR TOTAL *                    
402.28
0012669   JIM'S TOOL 
SALES
8221           
009714        16 
08/16/2005   
504-3200-579.40-20  MISC SUPPLIES                             
24.95
                                                                        
VENDOR TOTAL *                     
24.95
0012677   STAMPEDE MAILING 
SERVICES
4619           
000851        16 
08/16/2005   
001-1065-555.34-02  POSTAGE                                
8,000.00
                                                                        
VENDOR TOTAL *                  
8,000.00
0012718   MGI 
PROMOTIONS
12964          
000385        16 
08/16/2005   
001-2200-562.37-03  T-SHIRTS                                 
732.50
                                                                        
VENDOR TOTAL *                    
732.50
0012757   JST CONSTRUCTION CO, 
LLC
1132           
PI3620 062336 16 08/16/2005  
 400-3000-571.60-30  TRAFFIC 
CONTROL CONST.                 
5,400.00
                                                                        
VENDOR TOTAL *                  
5,400.00
0012760   
CC080405DT     000852        16 
08/16/2005   
001-1050-542.27-09  FILING FEE                               
100.00
                                                                        
VENDOR TOTAL *                    
100.00
0012785   GO WIRELESS
7870           
000567        16 
08/16/2005   
001-1070-557.34-01  CAR CHARGER                               
32.97
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
36
PROGRAM: GM339L                               
             AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0012785   GO WIRELESS
7868           
000568        16 
08/16/2005   
001-1070-557.34-01  HEADSET                                  
109.98
7915           
000176        16 
08/16/2005   
001-2200-562.34-03  SERVICE/REPAIR                            
55.00
                                                                        
VENDOR TOTAL *                    
197.95
0012802   
SBC-POOL/FINANCE
7858439756-0705000177        16 
08/16/2005   
001-2500-565.26-09  ACCT 785-843-9756-450-0                   
57.53
                                                                        
VENDOR TOTAL *                     
57.53
0012807   PENN CAMERA 
EXCHANGE
385772         
000178        16 
08/16/2005   
001-2130-561.42-09  CAMERA SUPPLIES                          
356.18
                                                                        
VENDOR TOTAL *                    
356.18
0012809   GFI USA, INC
2005061021     000569        16 
08/16/2005   
001-1070-557.42-03  MISC COMPUTER SUPPLIES                   
160.00
                                                                        
VENDOR TOTAL *                    
160.00
0012833   TISCHLERBISE
0705030        
PI3830 061474 16 08/16/2005   
001-9800-555.33-09  CONSULTING                             
4,480.00
                                                                        
VENDOR TOTAL *                  
4,480.00
0012838   GSR 
CONSTRUCTION
02             
PI3798 061485 16 08/16/2005   
03             
PI3799 061485 16 08/16/2005   
                                                                        
VENDOR TOTAL *                 
61,328.00
0012857   CLEAN 
DELIVERY
134183         
000179        16 
08/16/2005   
001-2200-562.40-13  MISC SUPPLIES         
                    83.68
134185         
000180        16 
08/16/2005   
001-2200-562.40-13  MISC SUPPLIES                             
73.79
134192         
000181        16 
08/16/2005   
001-2200-562.40-13  MISC SUPPLIES                            
141.74
                                                                        
VENDOR TOTAL *                    
299.21
0012911   K & G FRAMING, 
INC
UT081205DC     000853        16 
08/16/2005   
501-0000-342.30-00  646 LOCUST                               
400.88
                                                                        
VENDOR TOTAL *                    
400.88
0012959   PERFORMANCE 
O&P
MILL062005     000411        16 
08/16/2005   
001-1054-544.36-01  WC Specialist Referral                   
120.00
                                                                                
8991
                                                                        
VENDOR TOTAL *                    
120.00
0012969   LEXISNEXIS
0507235235     000570        16 
08/16/2005   
001-1080-522.40-04  ONLINE CHARGES                           
443.00
                                                                        
VENDOR TOTAL *                    
443.00
0013000   MIA CLARK
347596-CLAR    000854        16 
08/16/2005   
211-0000-212.00-00  RESERVATION DEPOSIT RFND                  
70.00
                                                                        
VENDOR TOTAL *                     
70.00
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
37
PROGRAM: GM339L                                            
AS OF: 08/16/2005   
CHECK DATE: 08/16/2005
CENTRAL NATIONAL BANK                                         
 BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM               
             EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0013000   ROXANN 
GRABER
347541-GRAB    000855        16 
08/16/2005   
211-0000-347.20-00  CLASS REFUND                              
20.00
                                                                        
VENDOR TOTAL *                     
20.00
0013000   JEFF FARMER
347544-FARM    000856        16 
08/16/2005   
211-0000-362.00-00  RESERVATION REFUND                        
95.00
                                                                        
VENDOR TOTAL *                     95.00
0013000   JEREMY 
WILLIAMS
347546-WILL    000857        16 
08/16/2005   
211-0000-212.00-00  RESERVATION REFUND                        
70.00
                                                                        
VENDOR TOTAL *                     70.00
0013017   DOCUMENTS PRODUCTS, 
INC
4782728        
000571        16 
08/16/2005   
001-1050-542.42-03  COPIER                                    
79.94
                                                                        
VENDOR TOTAL *                     
79.94
0013036   PRAXAIR DISTRIBUTION, 
INC
193251         
000182        16 
08/16/2005   
504-3200-579.40-29  WELDER                                   
986.11
                                                                        
VENDOR TOTAL *                    
986.11
0013108   DAUBERT, SHAWN 
E
PD081005MB-REIM000858        16 
08/16/2005   
001-2120-561.22-05  TUITION REIMBURSEMENT                    
196.00
                                                                        
VENDOR TOTAL *                    
196.00
0013109   BELL SPORTS, 
INC
35987800       
009399        16 
08/16/2005   
001-2120-561.37-03  MISC SUPPLIES                             
38.00
                                                                        
VENDOR TOTAL *                     
38.00
0013111   COLLEGE DIRECTORY 
PUBLISHING
7858323030KAN05000183        16 
08/16/2005   
502-3530-573.33-09  PUBLISHING                               
255.00
                                                            
            VENDOR 
TOTAL *                    
255.00
0013123   BIRCH 
TELECOM
33474995-0805  000572        16 
08/16/2005   
001-4560-596.27-09  
ACCT-3347499-5                            
19.37
                                                               
         VENDOR 
TOTAL *                     
19.37
0013142   TRINITY WORKPLACE 
LEARNING
900538981      PI3797 062731 16 
08/16/2005   
001-2200-562.22-03  SUBSCRIPTIONS                            
397.99
                                                     
                   VENDOR 
TOTAL *                    
397.99
0013152   YP.COM
20050726       
009557        16 
08/16/2005   
506-4900-599.23-05  YELLOW PAGE LISTINGS                     
195.65
                                                               
         VENDOR 
TOTAL *                    
195.65
0013155   SUPER VACUUM MANUFACTURING 
CO
42336          
000184        16 
08/16/2005   
001-2200-562.25-32  MISC SUPPLIES                             
77.02
                                                  
                      VENDOR 
TOTAL *                     
77.02
0013158   CULBERTSON, 
JERRY
PREPARED 08/16/2005, 
14:42:01                          
EXPENDITURE APPROVAL LIST                                          
PAGE    
38
PROGRAM: GM339L              
                              AS 
OF: 08/16/2005   CHECK DATE: 
08/16/2005
CENTRAL NATIONAL BANK                                          
BANK: 16
------------------------------------------------------------------------------------------------------------------------------------
VEND NO   VENDOR NAME
 INVOICE      VOUCHER 
P.O.   BNK CHECK/DUE    ACCOUNT                
ITEM                            
EXPENDITURE        
HAND-ISSUED
   NO              
NO   
NO          
DATE         
NO               
DESCRIPTION                           
AMOUNT
------------------------------------------------------------------------------------------------------------------------------------
0013158   CULBERTSON, 
JERRY
RM081005FR-SETTPI3823 062759 
16 08/16/2005   
001-1054-544.35-02  SETTLEMENT CLAIMS                      
2,840.00
                                                                        
VENDOR TOTAL *                  
2,840.00
0013159   KRIEGH'S
7493           
000185        16 
08/16/2005   
502-3530-573.26-09  WEEDING ROUND UP                         
500.00
                                                                        
VENDOR TOTAL *                    
500.00
0013163   MIDSTATES 
SAFETY
20050017       
000573        16 
08/16/2005   
001-2200-562.42-24  SPARE KEYS                               
275.69
                                                                        
VENDOR TOTAL *                    
275.69
0013164   OFF-CAMPUS STUDENT 
SERVICES
2005061        
000574      
  16 08/16/2005   631-6405-500.22-02  VIDEO 
RENTAL                              
20.00
                                                                        
VENDOR TOTAL *                     
20.00
0013166   
273700         
000575        16 
08/16/2005   
001-1054-544.36-01  MEDICAL SERVICES                         
360.00
                                                                        
VENDOR TOTAL *                    
360.00
0015000   LINAWEAVER 
CONSTRUCTION
         
                    16 
08/11/2005   
501-0000-212.10-00  MR DEP REFUND                            
519.36
                                                                        
VENDOR TOTAL *                    
519.36
0015000   MARTIN, DICK
MR REFUND      MR            
16 08/12/2005   
001-0000-281.00-00  MARTIN, DICK                             
175.00
                                                                 
MR Refund Voucher
                                                                       
 VENDOR TOTAL *                    
175.00
0015000   MARTIN, DICK
MR REFUND      MR            
16 08/12/2005   
001-0000-281.00-00  MARTIN, DICK                             
175.00
                                                                 
MR Refund Voucher
                                                                        
VENDOR TOTAL *                    
175.00
0015000   DONALD LONG
052222         
000576        16 
08/16/2005   
001-2200-562.70-00  AMB REFUND-3/29/05                        
24.40
                                                                        
VENDOR TOTAL *                     
24.40
0015000   BEACON 
RENEWAL
BI080905BW     000577        16 
08/16/2005   
001-0000-322.20-00  LICENSE REFUND                           
200.00
                                                                        
VENDOR TOTAL *                    
200.00
0015000   GASLIGHT 
TAVERN
CC081605EM     000859        16 
08/16/2005   
001-0000-321.11-12  TEMP PERMIT                               
25.00
                                                                        
VENDOR TOTAL *                     
25.00
                                
16  
CENTRAL NATIONAL BANK                 
BANK TOTAL *              
1,195,000.34         
198,517.74
        
                                                          TOTAL 
EXPENDITURES ****           
1,195,000.34         
198,517.74
                                                                  
GRAND TOTAL ***********                              
1,393,518.08
                                                                     
NUMBER OF VENDORS **                
324