PREPARED 05/16/2006 15:18:18                           EXPENDITURE APPROVAL LIST

PROGRAM: GM339L                                       REPORT PARAMETER SELECTIONS

EAL DESCRIPTION:  EAL: 05162006 LOVE_K

VOUCHER SELECTION CRITERIA

   Voucher/discount due date  . . . . . . . . . . .  05/16/2006

   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 . . . . . . .  2006

   Disbursement year/per  . . . . . . . . . . . . .  2006/05

   Check date . . . . . . . . . . . . . . . . . . .  05/16/2006

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     1

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000057   ANDERSON RENTALS INC

22713          000682        16 05/16/2006   001-3000-570.33-19  MISC SUPPLIES                             40.00

                                                                        VENDOR TOTAL *                     40.00

0000137   CONSECO HEALTH INSURANCE CO

20060519       PR0519        16 05/16/2006   701-0000-203.20-17  PAYROLL SUMMARY                          426.01

                                                                        VENDOR TOTAL *                    426.01

0000146   CAS CONSTRUCTION INC

39301          PI2392 064256 16 05/16/2006   501-7800-588.60-30  WATER LINE CONSTRUCTION               11,410.76

                                                                        VENDOR TOTAL *                 11,410.76

0000161   CHANEY INCORPORATED

097086         009550        16 05/16/2006   001-3400-574.25-36  REPAIR CONDENSER FAN                     324.30

097083         009461        16 05/16/2006   001-4530-593.33-09  ORDERED/INSTALL DOOR                     349.50

097085         009462        16 05/16/2006   001-4540-594.33-09  SINK REPAIR                              227.50

097084         PI2145 064185 16 05/16/2006   501-7310-583.25-36  ELECTRICAL                             1,989.00

                                                                        VENDOR TOTAL *                  2,890.30

0000170   JIM CLARK MOTORS INC

31617          000281        16 05/16/2006   504-3200-579.25-50  LABOR                                    503.60

                                                                        VENDOR TOTAL *                    503.60

0000179   AB COKER CO

03175          000980        16 05/16/2006   503-2300-563.42-09  ACCT 7858327551                           98.20

                                                                        VENDOR TOTAL *                     98.20

0000215   DCCCA, INC.

MC051106CS     000981        16 05/16/2006   705-0000-214.02-00  APF                                    2,295.00

                                                                        VENDOR TOTAL *                  2,295.00

0000225   DEEMS FARM EQUIPMENT INC.

100310         000133        16 05/16/2006   506-4910-599.25-31  BELT                                      82.00

100819         000134        16 05/16/2006   506-4910-599.41-03  MISC SUPPLIES                            100.26

                                                                        VENDOR TOTAL *                    182.26

0000248   DOWNING SALES & SERVICE INC

031332         000012        16 05/16/2006   504-3200-579.40-26  TURNBUCKLE ASSEMBLIES                    424.04

                                                                        VENDOR TOTAL *                    424.04

0000261   EAGLE TRAILER CO., INC.

966            000765        16 05/16/2006   001-2200-562.25-32  BALL MOUNT/BALL HITCH                     41.80

977            009463        16 05/16/2006   001-4550-595.25-31  LOCK/BALL MOUNT                           63.80

981            009464        16 05/16/2006   001-4550-595.25-31  TOOLBOX/FLAT BAR                         337.00

                                                                        VENDOR TOTAL *                    442.60

0000295   FLEETWOOD SMALL ENGINE REPAIR

110814         009776        16 05/16/2006   504-3200-579.40-26  CONTROL UNIVERSAL/KNOB                    18.95

                                                                        VENDOR TOTAL *                     18.95

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     2

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000302   FRANCIS SPORTING GOODS

AAF004117AF00  009610        16 05/16/2006   211-4030-590.42-10  CHEST PROTECTORS/LEG GRDS                130.34

                                                                        VENDOR TOTAL *                    130.34

0000308   GALLS INCORPORATED

5829025001014  000013        16 05/16/2006   001-2120-561.42-07  LEG HOLSTERS                             401.14

                                                                        VENDOR TOTAL *                    401.14

0000320   GOOCH BRAKE & EQUIPMENT CO.

1261150044     009551        16 05/16/2006   504-3200-579.40-26  ROLLER RETAINER                           13.20

1261140042     009552        16 05/16/2006   504-3200-579.40-26  NATIONAL SEAL                             80.82

1261150001     009553        16 05/16/2006   504-3200-579.40-26  AUTO SUPPLIES                            463.88

1261160020     009554        16 05/16/2006   504-3200-579.40-26  BRAKE DRUMS/CAMSHAFTS                    561.02

1261160021     009555        16 05/16/2006   504-3200-579.40-26  AUTO SUPPLIES                            460.56

                                                                        VENDOR TOTAL *                  1,579.48

0000330   GREGG TIRE COMPANY OF LAWRENCE

235493         009465        16 05/16/2006   504-3200-579.40-26  TIRES                                     20.00

235557         009556        16 05/16/2006   504-3200-579.40-26  TIRES                                    833.18

235534         009557        16 05/16/2006   504-3200-579.40-26  TIRES                                    351.16

235565         009777        16 05/16/2006   504-3200-579.40-26  TIRES                                    833.18

235568         009778        16 05/16/2006   504-3200-579.40-26  TIRES                                    229.68

                                                                        VENDOR TOTAL *                  2,267.20

0000338   HAMM QUARRY, INC.

13658MB        000683        16 05/16/2006   501-7610-586.40-26  MSW-MINIMUM                               25.00

                                                                        VENDOR TOTAL *                     25.00

0000338   HAMM QUARRY, INC.,CK GRP-0

PW051206TB-0406PI2393 064412 16 05/16/2006   502-3510-571.33-30  DUMPING FEES                          44,730.93

PW051206TB-0406PI2394 064412 16 05/16/2006   502-3520-572.33-30  DUMPING FEES                          67,096.40

PW051206TB-0406PI2395 064412 16 05/16/2006   502-3530-573.33-30  HAZARDOUS WASTE DISPOSAL                  58.41

                                                                        VENDOR TOTAL *                111,885.74

0000383   INDUSTRIAL SALES COMPANY, INC

657813000      000802        16 05/16/2006   001-4550-595.40-22  PVC RISERS                                42.07

658141000      000847        16 05/16/2006   001-4550-595.40-22  MISC SUPPLIES                              9.28

657711000      000848        16 05/16/2006   001-4550-595.40-07  MARKING PAINT                            356.73

                                                                        VENDOR TOTAL *                    408.08

0000407   M AND M OFFICE SUPPLY

029129         000665        16 05/16/2006   001-1025-515.40-01  CHAIRS                                   611.30

028968         000684        16 05/16/2006   502-3520-572.40-01  FILES/SHREDDER                            50.80

028903         000014        16 05/16/2006   621-1040-541.40-01  ENVELOPES/BADGE CLIPS                     43.08

                                                                        VENDOR TOTAL *                    705.18

0000426   LAB SAFETY SUPPLY, INC

1007883060     000708        16 05/16/2006   501-7510-585.40-35  MISC SUPPLIES                            171.60

                                                                        VENDOR TOTAL *                    171.60

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     3

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000438   LAIRD NOLLER MOTORS, INC

358680         000766        16 05/16/2006   001-2200-562.25-32  SWITCH ASSEMBLY                           33.08

236405         009779        16 05/16/2006   504-3200-579.25-50  LABOR/PARTS                              101.15

                                                                        VENDOR TOTAL *                    134.23

0000442   RD JOHNSON EXCAVATING CO. INC.

18860          000803        16 05/16/2006   001-4545-594.45-03  DIRT                                     100.00

                                                                        VENDOR TOTAL *                    100.00

0000448   CHARLES D JONES COMPANY

90045600       009611        16 05/16/2006   001-3400-574.25-36  MISC SUPPLIES                            869.39

90049700       000135        16 05/16/2006   001-4530-593.40-30  VALVES/MISC SUPPLIES                     143.87

                                                                        VENDOR TOTAL *                  1,013.26

0000463   WESTAR ENERGY

8311964966-0506001129        16 05/16/2006   501-7410-584.32-01  ELECTRIC SVC-APRIL 2006                   30.00

                                                                        VENDOR TOTAL *                     30.00

0000463   WESTAR ENERGY,CK GRP-0

8685191902-0406000767        16 05/16/2006   001-3600-576.32-01  ELECTRIC SVC-8685191902                   24.93

                                                                        VENDOR TOTAL *                     24.93

0000463   WESTAR ENERGY,CK GRP-1

6009676186-0406001128        16 05/16/2006   001-2130-561.26-09  ELECTRIC SVC-APRIL 2006                   42.80

                                                                        VENDOR TOTAL *                     42.80

0000467   MARTIN TRACTOR COMPANY, INC.

05C129028      000768        16 05/16/2006   001-2200-562.25-32  LUBE FILTERS                             143.52

                                                                        VENDOR TOTAL *                    143.52

0000492   MCMASTER-CARR SUPPLY CO

42561782       009780        16 05/16/2006   501-7220-582.25-31  C-CLAMPS/NOZZLES                         257.42

42812293       000709        16 05/16/2006   501-7220-582.25-31  MISC SUPPLIES                            760.62

                                                                        VENDOR TOTAL *                  1,018.04

0000512   REEVES-WIEDEMAN COMPANY

3102842        000804        16 05/16/2006   001-4545-594.42-09  PRIMER/PVC CEMENT/ADAPTER                 16.52

3105549        000805        16 05/16/2006   001-4545-594.42-09  PVC SUPPLIES                              52.93

3104030        000851        16 05/16/2006   001-4550-595.40-22  SPRINKLER FLAGS/SUPPLIES                  11.15

3105123        000136        16 05/16/2006   211-4080-590.40-22  BUSHING/NIPPLE/VALVE                      22.13

31061791       009781        16 05/16/2006   501-7610-586.42-09  CUTTER WHEEL                             119.40

3106179        000685        16 05/16/2006   501-7610-586.40-20  CUTTER WHEELS/CUTTER                      90.65

                                                                        VENDOR TOTAL *                    312.78

0000534   KAW VALLEY INDUSTRIAL

145737         000769        16 05/16/2006   001-2200-562.25-32  FUEL TANK                                 27.83

20337          000852        16 05/16/2006   001-4570-597.25-31  REPAIR RECOIL/SUPPLIES                    25.80

                                                                        VENDOR TOTAL *                     53.63

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     4

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000542   MICROTECH COMPUTERS

SI9029038      PI2189 064238 16 05/16/2006   001-1040-541.42-06  PERSONAL COMPUTER                      1,411.00

SI9029165      PI2214 064328 16 05/16/2006   001-1050-542.42-06  PERSONAL COMPUTER                      1,528.00

SI9029166      PI2215 064329 16 05/16/2006   001-1053-543.42-06  PERSONAL COMPUTER                      1,528.00

SI9029106      PI2216 064330 16 05/16/2006   001-1053-543.42-06  PERSONAL COMPUTER                      1,528.00

SI9029110      PI2217 064331 16 05/16/2006   001-1053-543.42-06  PERSONAL COMPUTER                      1,528.00

SI9029115      PI2210 064242 16 05/16/2006   001-1080-522.42-06  PERSONAL COMPUTER                      1,427.00

SI9029112      PI2211 064243 16 05/16/2006   001-1080-522.42-06  PERSONAL COMPUTER                      1,427.00

SI9029105      PI2212 064244 16 05/16/2006   001-1080-522.42-06  PERSONAL COMPUTER                      1,427.00

SI9029107      PI2213 064245 16 05/16/2006   001-1080-522.42-06  PERSONAL COMPUTER                      1,427.00

SI9028976      PI2336 064303 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   2,000.00

SI9029040      PI2186 064230 16 05/16/2006   501-1069-559.42-06  PERSONAL COMPUTER                      1,332.00

SI9029039      PI2187 064231 16 05/16/2006   501-1069-559.42-06  PERSONAL COMPUTER                      1,332.00

SI9029036      PI2188 064232 16 05/16/2006   501-1069-559.42-06  PERSONAL COMPUTER                      1,332.00

SI9029167      PI2225 064339 16 05/16/2006   501-7100-580.40-28  PERSONAL COMPUTER                      1,596.00

SI9029109      PI2223 064337 16 05/16/2006   501-7110-580.42-06  PERSONAL COMPUTER                      1,755.00

SI9029164      PI2224 064338 16 05/16/2006   501-7110-580.42-06  PERSONAL COMPUTER                      1,755.00

SI9029108      PI2218 064332 16 05/16/2006   501-7310-583.42-06  PERSONAL COMPUTER                      1,755.00

SI9029113      PI2219 064333 16 05/16/2006   501-7310-583.42-06  PERSONAL COMPUTER                      1,755.00

SI9029111      PI2220 064334 16 05/16/2006   501-7310-583.42-06  PERSONAL COMPUTER                      1,755.00

SI9029163      PI2221 064335 16 05/16/2006   501-7310-583.42-06  PERSONAL COMPUTER                      1,755.00

SI9029114      PI2222 064336 16 05/16/2006   501-7310-583.42-06  PERSONAL COMPUTER                      1,755.00

SI9028875      000666        16 05/16/2006   501-7310-583.42-09  MISC SUPPLIES                            490.00

SI9029065      PI2190 064239 16 05/16/2006   631-6405-502.42-03  PERSONAL COMPUTER                      1,411.00

SI9029037      PI2191 064240 16 05/16/2006   631-6405-502.42-03  PERSONAL COMPUTER                      1,411.00

                                                                        VENDOR TOTAL *                 36,420.00

0000548   KENNEDY GLASS, INC

099482         000853        16 05/16/2006   216-4600-596.42-09  MISC SUPPLIES                             67.00

                                                                        VENDOR TOTAL *                     67.00

0000554   KEY EQUIPMENT & SUPPLY CO. INC

234771         000282        16 05/16/2006   001-3000-570.25-31  BROOMS                                   667.99

234863         000015        16 05/16/2006   504-3200-579.40-26  FILTER ELEMENT                            69.86

234959         000854        16 05/16/2006   504-3200-579.40-26  LIFT LINKS/PIN WELDMENTS                 532.60

234872         000137        16 05/16/2006   505-3900-579.25-31  CHISEL NOZZLE                            232.98

234884         PI2291 064013 16 05/16/2006   505-3900-579.60-08  STREET EQUIPMENT                     147,010.73

                                                                        VENDOR TOTAL *                148,514.16

0000568   KIRK WELDING SUPPLY

0512948        000138        16 05/16/2006   001-3000-570.40-20  MISC SUPPLIES                            208.24

                                                                        VENDOR TOTAL *                    208.24

0000570   ROY CONLEY & CO.

835            PI2083 064325 16 05/16/2006   502-3520-572.60-28  COMPACTOR/CONTAINER                   14,800.00

849            PI2353 064489 16 05/16/2006   504-3200-579.40-26  AUTO & TRUCK PARTS                     3,956.49

                                                                        VENDOR TOTAL *                 18,756.49

0000573   KNAPHEIDE TRUCK EQUIPMENT CO

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     5

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000573   KNAPHEIDE TRUCK EQUIPMENT CO

KCJ29865       PI2233 063991 16 05/16/2006   214-3800-578.60-08  MISC. VEHICLE ACCESORIES              18,902.00

KCS32008       000139        16 05/16/2006   504-3200-579.40-26  REBUILD KIT/SEAL KIT                     179.56

KCS31981       000140        16 05/16/2006   504-3200-579.40-26  PADDLE LATCH                              65.00

                                                                        VENDOR TOTAL *                 19,146.56

0000604   ELECTROLIFE BATTERY, INC.

LA170264       000016        16 05/16/2006   001-3400-574.40-12  BATTERIES                                 76.19

LA167881       000855        16 05/16/2006   001-4550-595.25-31  BATTERIES                                 21.02

                                                                        VENDOR TOTAL *                     97.21

0000661   CINTAS CORPORATION

430612007      009466        16 05/16/2006   001-2110-561.33-53  LAUNDRY SERVICES                         176.41

430613942      009558        16 05/16/2006   501-7210-581.33-13  LAUNDRY SERVICES                         148.33

430614458      009559        16 05/16/2006   501-7220-582.33-13  LAUNDRY SERVICES                         132.55

                                                                        VENDOR TOTAL *                    457.29

0000669   SECRETARY OF STATE

70099110N      001130        16 05/16/2006   001-2120-561.27-09  NOTARY-C.SHANKS                           25.00

                                                                        VENDOR TOTAL *                     25.00

0000669   SECRETARY OF STATE,CK GRP-0

70094535N      000710        16 05/16/2006   001-2141-561.27-09  NOTARY-R.NICKELL                          25.00

                                                                        VENDOR TOTAL *                     25.00

0000669   SECRETARY OF STATE,CK GRP-1

70094550N      000711        16 05/16/2006   001-2120-561.27-09  NOTARY-E.BRUNT                            25.00

                                                                        VENDOR TOTAL *                     25.00

0000669   SECRETARY OF STATE,CK GRP-2

70094530N      000712        16 05/16/2006   001-2144-561.27-09  NOTARY-K.MURPHREE                         25.00

                                                                        VENDOR TOTAL *                     25.00

0000669   SECRETARY OF STATE,CK GRP-3

70094522N      000713        16 05/16/2006   001-2120-561.27-09  NOTARY-D.HUBBEL                           25.00

                                                                        VENDOR TOTAL *                     25.00

0000759   SUNFLOWER BROADBAND

01779941-0409  000667        16 05/16/2006   001-1070-557.34-01  CABLE-ACCT 01779941                       32.54

                                                                        VENDOR TOTAL *                     32.54

0000759   SUNFLOWER BROADBAND,CK GRP-0

13271          PI2239 063933 16 05/16/2006   210-1014-514.24-03  ADVERTISING/PUBLIC RELATI                557.00

                                                                        VENDOR TOTAL *                    557.00

0000766   SUPERIOR ELECTRIC COMPANY

18588          PI2142 063201 16 05/16/2006   501-7800-588.60-08  ELECTRICAL                             5,000.00

                                                                        VENDOR TOTAL *                  5,000.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     6

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000779   TFMCOMM, INC.

115553         000017        16 05/16/2006   001-2160-561.25-31  DEPOT SERVICE/LABOR                      204.47

832405         000018        16 05/16/2006   001-2160-561.25-31  CERTIFY 7 RADARS                         414.50

63811          PI2172 063832 16 05/16/2006   502-3510-571.33-09  TRUNKING CHARGES                         549.08

63811          PI2173 063832 16 05/16/2006   502-3520-572.33-09  TRUNKING CHARGES                         549.19

63811          PI2174 063832 16 05/16/2006   502-3530-573.33-09  TRUNKING CHARGES                          78.49

832161         009782        16 05/16/2006   504-3200-579.25-50  INSTALLED ANTENNA/MIC CLI                132.65

832162         009783        16 05/16/2006   504-3200-579.25-50  INSTALLED ANTENNA/MIC CLI                132.65

                                                                        VENDOR TOTAL *                  2,061.03

0000789   TECH SUPPLY, INC.

225075         009784        16 05/16/2006   504-3200-579.40-33  MISC SUPPLIES                            454.50

                                                                        VENDOR TOTAL *                    454.50

0000842   OREAD NEIGHBORHOOD ASSOCIATION

NR051206MS     001008        16 05/16/2006   631-6405-501.37-10  COORDINATORS SALARY                    2,079.00

                                                                        VENDOR TOTAL *                  2,079.00

0000842   OREAD NEIGHBORHOOD ASSOCIATION,CK GRP-0

NR051206MS     001007        16 05/16/2006   631-6405-501.37-10  OPERATING GRANT                        1,167.79

                                                                        VENDOR TOTAL *                  1,167.79

0000861   PATCHEN ELEC & INDUST SUPPLY

39344          009467        16 05/16/2006   211-4080-590.25-31  GATES V-BELT                              58.92

39424          000143        16 05/16/2006   211-4080-590.25-31  GATES V-BELTS                            252.08

39380          000142        16 05/16/2006   216-4600-596.42-09  REPAIR KIT/MISC SUPPLIES                 353.69

39332          PI2146 064371 16 05/16/2006   501-7310-583.25-31  PUMPS                                     26.58

39157          000141        16 05/16/2006   506-4910-599.25-31  GATES V-BELT                               9.95

                                                                        VENDOR TOTAL *                    701.22

0000875   VICTOR L PHILLIPS CO, THE

IT88006        009785        16 05/16/2006   504-3200-579.40-26  SWITCHES/RESISTOR                        746.37

                                                                        VENDOR TOTAL *                    746.37

0000892   PRICE'S APPLIANCE & REPAIR

NR050106MS     009966        16 05/09/2006   607-6410-500.39-80  VOID CK-VNDR SDB 13525          CHECK #:  297355            400.00-

                                                                 REISSUED 5/16/06

                                                                        VENDOR TOTAL *                       .00             400.00-

0000909   INTERSTATE BATTERY SYSTEM

110044678      009612        16 05/16/2006   504-3200-579.40-26  BATTERIES                                352.75

                                                                        VENDOR TOTAL *                    352.75

0000913   PUR-O-ZONE

362942         000019        16 05/16/2006   001-2500-565.40-13  MISC SUPPLIES                            731.24

                                                                        VENDOR TOTAL *                    731.24

0000947   BLUE CROSS AND BLUE SHIELD

PE051606EM     001150        16 05/10/2006   522-1055-545.12-05  STOPLOSS-GROUP 96080            CHECK #:    2798         61,332.01

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     7

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0000947   BLUE CROSS AND BLUE SHIELD

PE051606EM     001151        16 05/10/2006   522-1055-545.12-05  DENTAL NONSTOPLOSS-96080        CHECK #:    2798          5,853.97

PE051606EM     001152        16 05/10/2006   522-1055-545.12-09  ADMIN EXP-GROUP 96080           CHECK #:    2798          2,639.14

                                                                        VENDOR TOTAL *                       .00          69,825.12

0000989   VANCE BROTHERS INC

8SR2206-02     PI2391 064114 16 05/16/2006   001-3000-570.45-14  STREET REPAIR                        138,245.90

                                                                        VENDOR TOTAL *                138,245.90

0000994   VERMEER SALES & SERVICE, INC.

01019573       000144        16 05/16/2006   504-3200-579.40-26  MAGNETIC SENSOR                          100.81

01019546       000283        16 05/16/2006   504-3200-579.40-26  BELT                                     634.71

                                                                        VENDOR TOTAL *                    735.52

0001010   WEAVERS, INC.

254001         000714        16 05/16/2006   001-2200-562.37-03  CLOTHING                                 559.84

254008         000715        16 05/16/2006   001-2200-562.37-03  CLOTHING                                  79.98

253613         000716        16 05/16/2006   001-2200-562.37-03  CLOTHING                                  69.98

254037         000770        16 05/16/2006   001-2200-562.37-03  CLOTHING                                 244.93

253634         000771        16 05/16/2006   001-2200-562.37-03  CLOTHING                                 174.95

254038         000772        16 05/16/2006   001-2200-562.37-03  CLOTHING                                 104.97

                                                                        VENDOR TOTAL *                  1,234.65

0001016   WESTERN EXTRALITE COMPANY

S2955646001    000020        16 05/16/2006   001-3400-574.25-36  MISC SUPPLIES                            149.13

S2961908001    000145        16 05/16/2006   001-4530-593.40-12  PURPOSE CONTACTORS                       110.20

S2962483001    000146        16 05/16/2006   001-4530-593.40-30  MISC SUPPLIES                             76.21

S2957171001    000147        16 05/16/2006   001-4530-593.40-12  CEILING FIXTURE                          217.70

S2943183001    000148        16 05/16/2006   001-4530-593.40-12  DROP LENS                                105.00

                                                                        VENDOR TOTAL *                    658.24

0001019   WESTHEFFER COMPANY, INC.

306946         000807        16 05/16/2006   001-4550-595.25-31  NOZZLES                                   15.84

306969         000806        16 05/16/2006   506-4910-599.25-31  FOAM                                      51.20

                                                                        VENDOR TOTAL *                     67.04

0001022   WESTLAKE HARDWARE, INC

1458452        009617        16 05/16/2006   001-3000-570.40-15  POP UP SPRINKLER                           4.99

1458459        009615        16 05/16/2006   001-3200-572.40-20  SCREWDRIVERS/KNIFE                        11.56

6542103        009560        16 05/16/2006   001-3400-574.40-12  BULBS/CLOTH                               10.98

1458473        009561        16 05/16/2006   001-3400-574.25-36  MISC SUPPLIES                             38.95

1458426        009613        16 05/16/2006   001-3400-574.25-36  MISC SUPPLIES                            113.41

1458427        000021        16 05/16/2006   001-3400-574.25-36  CORNER BRACE/FASTENERS                    15.68

1458395        009468        16 05/16/2006   001-4530-593.40-15  MISC SUPPLIES                             20.93

1458492        009469        16 05/16/2006   001-4530-593.40-30  PLUMB HOSE/TUBING                          9.81

1458560        000151        16 05/16/2006   001-4530-593.40-15  DRAIN CLNR/MISC SUPPLIES                  26.27

1458661        000856        16 05/16/2006   001-4530-593.40-15  FLAT STEEL/WASHER HOSES                    4.98

1458690        000857        16 05/16/2006   001-4530-593.40-15  FLAT STEEL                                 2.99

6542225        000149        16 05/16/2006   001-4540-594.42-09  MISC SUPPLIES                             35.31

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     8

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001022   WESTLAKE HARDWARE, INC

6542082        000150        16 05/16/2006   001-4540-594.25-31  ANTIFREEZE/CLNR/SILICON                   20.56

1458692        000808        16 05/16/2006   001-4540-594.40-15  MISC SUPPLIES                             14.69

1458670        000811        16 05/16/2006   001-4540-594.42-09  MISC SUPPLIES                             14.65

1458649        000810        16 05/16/2006   001-4550-595.40-15  ROPES                                    195.75

1458522        000812        16 05/16/2006   001-4550-595.40-15  MISC TOOLS                                37.78

1458673        000153        16 05/16/2006   001-4560-596.40-22  PVC SUPPLIES                              18.22

6542207        000154        16 05/16/2006   001-4570-597.42-09  KEYS/FASTENERS                             4.57

6542188        000152        16 05/16/2006   211-4080-590.40-07  TRAY LINERS                                4.36

1458538        PI2147 064374 16 05/16/2006   501-7310-583.25-31  MISC. HARDWARE ITEMS                      28.99

1458662        PI2148 064374 16 05/16/2006   501-7310-583.25-31  MISC. HARDWARE ITEMS                       1.94

1458480        PI2149 064384 16 05/16/2006   501-7410-584.25-31  MISC. HARDWARE ITEMS                       9.03

1458502        PI2150 064384 16 05/16/2006   501-7410-584.25-31  MISC. HARDWARE ITEMS                      52.45

1458463        009562        16 05/16/2006   501-7610-586.40-20  MISC SUPPLIES                            187.54

6542169        009616        16 05/16/2006   505-3900-579.45-06  MISC SUPPLIES                             18.70

6542183        009618        16 05/16/2006   505-3900-579.40-20  MISC SUPPLIES                             36.95

1458677        000809        16 05/16/2006   506-4910-599.42-09  MISC SUPPLIES                             52.35

                                                                        VENDOR TOTAL *                    994.39

0001024   WHELAN'S INC.

30305025       009470        16 05/16/2006   001-3000-570.45-01  CONCRETE MIX                               6.18

30305147       009619        16 05/16/2006   001-3000-570.40-14  MISC SUPPLIES                            113.49

30305198       000859        16 05/16/2006   001-4530-593.45-07  CEDAR STUDS                              228.96

30305235       000858        16 05/16/2006   216-4600-596.42-09  CEDAR STUDS                               60.48

                                                                        VENDOR TOTAL *                    409.11

0001038   WOLFE'S CAMERA SHOP

273999         009620        16 05/16/2006   001-2130-561.42-09  CAMERAS                                   48.00

                                                                        VENDOR TOTAL *                     48.00

0001047   ZIMMERMAN STEEL CO. INC.

411406         000860        16 05/16/2006   216-4600-596.42-09  MISC SUPPLIES                              7.66

                                                                        VENDOR TOTAL *                      7.66

0001053   E-KAN, INC

12660          000156        16 05/16/2006   502-3510-571.26-09  MISC SERVICES                            312.77

12661          000155        16 05/16/2006   502-3520-572.26-09  MISC SERVICES                            340.18

12660          000157        16 05/16/2006   502-3520-572.26-09  MISC SERVICES                            469.16

                                                                        VENDOR TOTAL *                  1,122.11

0001067   PRO-PRINT, INC.

42548          009563        16 05/16/2006   001-1090-521.24-01  PRINTING                                 288.66

                                                                        VENDOR TOTAL *                    288.66

0001105   SEARS COMMERCIAL ONE

T333680        000686        16 05/16/2006   502-3520-572.40-32  MISC SUPPLIES                            487.98

T641009        000948        16 05/16/2006   502-3520-572.40-20  MISC SUPPLIES                            516.94

                                                                        VENDOR TOTAL *                  1,004.92

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE     9

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001112   CITY OF LAWRENCE

69692          000832        16 05/16/2006   001-4510-591.33-30  LANDFILL DISPOSAL-45880                   39.83

                                                                        VENDOR TOTAL *                     39.83

0001214   LRM INDUSTRIES, INC.

97324          000687        16 05/16/2006   001-3000-570.45-01  CITY PAVING MIX                          445.31

97325          000688        16 05/16/2006   001-3000-570.45-01  CITY PAVING MIX                          247.50

97302          PI2234 064024 16 05/16/2006   001-3000-570.45-01  CONCRETE-CUBIC YARDS                   1,616.25

97285          000949        16 05/16/2006   001-3000-570.45-02  ASPHALT                                  699.20

97288          000717        16 05/16/2006   501-7610-586.40-26  CONCRETE/CHARGES                         224.00

97065          000158        16 05/16/2006   505-3900-579.45-01  CITY PAVING MIX/MORTAR                   761.25

                                                                        VENDOR TOTAL *                  3,993.51

0001224   ICMA RETIREMENT TRUST - 457

20060519       PR0519        16 05/19/2006   001-1020-512.10-01  PAYROLL SUMMARY                 CHECK #:    2793            425.96

20060519       PR0519        16 05/19/2006   001-1080-522.10-01  PAYROLL SUMMARY                 CHECK #:    2793            411.77

20060519       PR0519        16 05/19/2006   701-0000-203.20-03  PAYROLL SUMMARY                 CHECK #:    2793         41,521.40

20060519       PR0519        16 05/19/2006   701-0000-203.20-03  PAYROLL SUMMARY                 CHECK #:    2793            105.97

                                                                        VENDOR TOTAL *                       .00          42,465.10

0001231   KANSAS PUBLIC EMPLOYEES

20060519       PR0519        16 05/19/2006   701-0000-203.20-10  PAYROLL SUMMARY                 CHECK #:    2794         71,074.05

20060519       PR0519        16 05/19/2006   701-0000-203.20-16  PAYROLL SUMMARY                 CHECK #:    2794            431.79

                                                                        VENDOR TOTAL *                       .00          71,505.84

0001232   MIDWEST REGIONAL CREDIT UNION

20060519       PR0519        16 05/16/2006   701-0000-203.20-08  PAYROLL SUMMARY                          869.60

                                                                        VENDOR TOTAL *                    869.60

0001235   LAWRENCE POLICE OFFICERS ASSOC

20060519       PR0519        16 05/16/2006   701-0000-203.20-20  PAYROLL SUMMARY                        1,205.89

                                                                        VENDOR TOTAL *                  1,205.89

0001236   FRATERNAL ORDER OF POLICE

20060519       PR0519        16 05/16/2006   701-0000-203.20-19  PAYROLL SUMMARY                        1,052.46

                                                                        VENDOR TOTAL *                  1,052.46

0001237   UNITED WAY OF DOUGLAS COUNTY

20060519       PR0519        16 05/16/2006   701-0000-203.20-04  PAYROLL SUMMARY                        1,085.21

                                                                        VENDOR TOTAL *                  1,085.21

0001238   KANSAS WITHHOLDING TAX

20060519       PR0519        16 05/19/2006   701-0000-204.40-00  PAYROLL SUMMARY                 CHECK #:    2795         60,519.24

20060519       PR0519        16 05/19/2006   701-0000-204.40-00  PAYROLL SUMMARY                 CHECK #:    2795            101.77

                                                                        VENDOR TOTAL *                       .00          60,621.01

0001244   UNITED PARCEL SERVICE,CK GRP-0

00000A83V3186  000668        16 05/16/2006   501-7510-585.33-07  SHIPPING CHARGES                          78.75

                                                                        VENDOR TOTAL *                     78.75

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    10

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001244   UNITED PARCEL SERVICE,CK GRP-1

000069639186   000669        16 05/16/2006   001-1030-531.33-07  SHIPPING CHARGES                          30.18

                                                                        VENDOR TOTAL *                     30.18

0001247   LAWRENCE JOURNAL WORLD

10004269-PR    000670        16 05/16/2006   211-4020-590.24-03  ADS-CUST 10004269                        430.20

10004269-PR    000671        16 05/16/2006   211-4030-590.24-03  ADS-CUST 10004269                        624.40

                                                                        VENDOR TOTAL *                  1,054.60

0001247   LAWRENCE JOURNAL WORLD,CK GRP-0

10004270-PR    PI2179 064393 16 05/16/2006   211-4060-590.24-01  BROCHURES-ACCT 10004270               13,745.00

                                                                        VENDOR TOTAL *                 13,745.00

0001247   LAWRENCE JOURNAL WORLD,CK GRP-1

172537         000159        16 05/16/2006   001-4560-596.42-09  RENEWAL-ACCT 172537                       89.51

                                                                        VENDOR TOTAL *                     89.51

0001247   LAWRENCE JOURNAL WORLD,CK GRP-2

10004265-HR    PI2294 064165 16 05/16/2006   621-1040-541.24-03  ADS-CUST 10004265                      1,884.00

                                                                        VENDOR TOTAL *                  1,884.00

0001247   LAWRENCE JOURNAL WORLD,CK GRP-3

10004266-NRD   001010        16 05/16/2006   631-6405-500.28-04  ADS-CUST 10004266                      1,150.70

                                                                        VENDOR TOTAL *                  1,150.70

0001247   LAWRENCE JOURNAL WORLD,CK GRP-4

10004264-HAZ   PI2340 064429 16 05/16/2006   502-3510-571.23-03  ADS-CUST 10004264                        202.60

                                                                        VENDOR TOTAL *                    202.60

0001255   LOCAL 1596

20060519       PR0519        16 05/16/2006   701-0000-203.20-18  PAYROLL SUMMARY                        2,083.96

20060519       PR0519        16 05/16/2006   701-0000-203.20-18  PAYROLL SUMMARY                           19.66

                                                                        VENDOR TOTAL *                  2,103.62

0001256   STORES FUND

UB050906GE     000689        16 05/16/2006   001-1060-551.27-09  CAR WASH TOKENS                           70.00

                                                                        VENDOR TOTAL *                     70.00

0001261   COTTIN'S HARDWARE & RENTAL

197698         009472        16 05/16/2006   001-4520-592.40-15  HOSE WASHERS/HARDWARE                      7.45

311145         009474        16 05/16/2006   001-4520-592.42-09  FORCE OIL                                  3.18

197912         000160        16 05/16/2006   001-4520-592.40-15  SEALANT/SCRAPERS/BLADES                   21.15

201287         000161        16 05/16/2006   001-4530-593.40-15  MISC SUPPLIES                             67.63

197908         000162        16 05/16/2006   001-4530-593.40-15  MISC SUPPLIES                             23.97

201294         000862        16 05/16/2006   001-4530-593.40-15  MISC SUPPLIES                             13.98

197913         000813        16 05/16/2006   001-4550-595.40-15  PROP CYLINDERS                            15.96

201314         000814        16 05/16/2006   001-4550-595.45-01  CONCRETE MIX                              19.74

201356         000815        16 05/16/2006   001-4550-595.40-20  MISC SUPPLIES                             30.97

197243         001131        16 05/16/2006   001-4550-595.40-07  ENAMEL/ROLLCOVER                          41.66

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    11

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001261   COTTIN'S HARDWARE & RENTAL

197845         009471        16 05/16/2006   001-4560-596.42-09  THREADLOCKER/KITCHEN BAGS                 23.56

197886         009473        16 05/16/2006   001-4560-596.40-07  PASTEL BASE PAINT                         74.97

197571         000163        16 05/16/2006   001-4570-597.40-22  PLUMBING SUPPLIES                          1.58

201323         000861        16 05/16/2006   216-4600-596.42-09  PLEXI PANE                                 8.69

197979         009786        16 05/16/2006   504-3200-579.40-33  SIGNS/NUMBERS/DRAIN OPENE                  8.78

                                                                        VENDOR TOTAL *                    363.27

0001310   ANGELONE, FRANK

RM051106JH-TTD 001011        16 05/16/2006   001-2200-562.10-01  TTD-04/30/06-05/13/06                    884.04

                                                                        VENDOR TOTAL *                    884.04

0001362   SLOAN, JAMES E

FM050206MB-REIM001132        16 05/16/2006   001-2200-562.24-01  TRAVEL REIMBURSE-04/26/06                 51.74

984            000950        16 05/16/2006   400-3000-571.60-30  SPRINKLER REPAIR                         120.00

                                                                        VENDOR TOTAL *                    171.74

0001438   PETTY CASH CUSTODIAN

FI051506EM     001133        16 05/16/2006   211-0000-102.00-00  STARTING CHANGE                          100.00

                                                                        VENDOR TOTAL *                    100.00

0001532   SOUTHWESTERN BELL TELEPHONE

0694125433-0406000284        16 05/16/2006   001-1070-557.34-01  ACCT 210-069-4125-433                    273.15

0744610543-0406000285        16 05/16/2006   001-1070-557.34-01  ACCT 210-074-4610-543                    557.68

ISPRI-0406     000394        16 05/16/2006   001-1070-557.34-01  ACCT 210-073-6140-183                    557.68

0727455629-0406000387        16 05/16/2006   001-1090-521.34-01  ACCT 210-072-7455-629                    210.02

0744632546-0406000393        16 05/16/2006   001-2200-562.34-01  ACCT 210-074-4632-546                  1,313.04

PRPRI-0406     000395        16 05/16/2006   211-4000-590.34-01  ACCT 210-073-6158-116                    557.68

0744126518-0406000388        16 05/16/2006   211-4005-590.34-01  ACCT 210-074-4126-518                    210.02

0744127517-0406000389        16 05/16/2006   211-4080-590.34-01  ACCT 210-074-4127-517                    210.02

0744129517-0406000392        16 05/16/2006   501-7210-581.34-01  ACCT 210-074-4129-517                    206.88

0781239468-0406000672        16 05/16/2006   501-7310-583.34-01  ACCT 210-078-1239-468                     74.25

0744128517-0406000390        16 05/16/2006   502-3510-571.34-01  ACCT 210-074-4128-517                    105.01

0744128517-0406000391        16 05/16/2006   502-3520-572.34-01  ACCT 210-074-4128-517                    105.01

                                                                        VENDOR TOTAL *                  4,380.44

0001534   GRAINGER

9084042572     000816        16 05/16/2006   211-4080-590.40-22  CLOSET VALVES                            222.76

                                                                        VENDOR TOTAL *                    222.76

0001544   KANSAS POLICE & FIRE RETIREMEN

20060519       PR0519        16 05/19/2006   701-0000-203.20-11  PAYROLL SUMMARY                 CHECK #:    2796        130,107.44

20060519       PR0519        16 05/19/2006   701-0000-203.20-11  PAYROLL SUMMARY                 CHECK #:    2796            420.91

                                                                        VENDOR TOTAL *                       .00         130,528.35

0001566   IBT, INC

4231915        000817        16 05/16/2006   001-4540-594.25-31  PULLEYS/SHIPPING                          21.06

4235872        000690        16 05/16/2006   501-7210-581.42-09  SENSORS/DUSTERS                          705.26

                                                                        VENDOR TOTAL *                    726.32

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    12

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001622   FEDERAL EXPRESS CORP

348903911      000982        16 05/16/2006   211-4070-590.42-09  SHIPPING CHARGES                          18.03

                                                                        VENDOR TOTAL *                     18.03

0001731   SAMUEL, REHELIO A.

HR050806RS-ADVA001134        16 05/16/2006   001-1040-541.21-04  TRAVEL ADVANCE-05/22/06                  245.50

HR050806RS-ADVA001135        16 05/16/2006   001-1040-541.21-03  TRAVEL ADVANCE-05/22/06                  519.50

                                                                        VENDOR TOTAL *                    765.00

0001827   MID AMERICA HYDRAULIC REPAIR

18162          009787        16 05/16/2006   504-3200-579.40-26  GARBAGE TRUCK MAIN PUMP                  892.00

                                                                        VENDOR TOTAL *                    892.00

0001867   MOBILE LOCKSMITH SHOP

11633          000164        16 05/16/2006   001-4560-596.42-09  DUPLICATE KEYS                            11.74

11634          009788        16 05/16/2006   504-3200-579.40-26  DUPLICATE KEYS                            15.70

                                                                        VENDOR TOTAL *                     27.44

0001904   NORTH LAWRENCE IMPROVEMENT

NR051206MS     001014        16 05/16/2006   631-6405-501.37-07  COORD HOURS-APRIL 2006                   150.00

                                                                        VENDOR TOTAL *                    150.00

0001904   NORTH LAWRENCE IMPROVEMENT,CK GRP-0

NR051206MS     001012        16 05/16/2006   631-6405-501.37-07  ANNUAL DUES                               40.00

                                                                        VENDOR TOTAL *                     40.00

0001904   NORTH LAWRENCE IMPROVEMENT,CK GRP-1

NR051206MS     001013        16 05/16/2006   631-6405-501.37-07  RENT-APRIL/MAY                            60.00

                                                                        VENDOR TOTAL *                     60.00

0002009   GUNTERT, DAVID

PL050906SS-REIM000951        16 05/16/2006   001-1030-531.22-01  TRAVEL REIMBURSE-4/25/06                  28.60

                                                                        VENDOR TOTAL *                     28.60

0002081   PENNY CONSTRUCTION CO, INC

1672           PI2237 064189 16 05/16/2006   501-7610-586.33-09  CONCRETE WORK                          1,750.00

                                                                        VENDOR TOTAL *                  1,750.00

0002097   KANSAS CONTINUING LEGAL

LE051606DC     001136        16 05/16/2006   001-1080-522.22-02  REGISTRATION                              20.00

                                                                        VENDOR TOTAL *                     20.00

0002118   EMERGENCY FIRE EQUIPMENT CO.

17203          000718        16 05/16/2006   001-2200-562.25-32  EXTENDA-LITES                            335.00

                                                                        VENDOR TOTAL *                    335.00

0002133   CATT, GEORGE L

LE051206DC     001149        16 05/16/2006   400-3000-571.60-31  TEMPORARY EASEMENT                       500.00

                                                                        VENDOR TOTAL *                    500.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    13

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0002149   MID WEST EXTERMINATORS

11035          000952        16 05/16/2006   001-3400-574.26-09  MONTHLY PEST APPLICATION                 526.50

                                                                        VENDOR TOTAL *                    526.50

0002225   DESIGNED BUSINESS INTERIORS

31682          PI2290 063386 16 05/16/2006   001-9800-562.42-05  FURNITURE                              3,454.27

31289          PI2271 063697 16 05/16/2006   400-3000-571.60-08  FURNITURE                            164,225.50

                                                                        VENDOR TOTAL *                167,679.77

0002301   UNDERWRITERS LABORATORIES

88050          000691        16 05/16/2006   501-7510-585.33-05  WATER QUALITY MONITORING                 266.50

87909          000692        16 05/16/2006   501-7510-585.40-35  WATER QUALITY MONITORING                 266.50

87740          PI2232 063913 16 05/16/2006   501-7510-585.33-05  WATER QUALITY MONITORING               1,866.44

87969          PI2235 064131 16 05/16/2006   501-7510-585.33-05  WATER QUALITY MONITORING                 400.00

87970          PI2236 064131 16 05/16/2006   501-7510-585.33-05  WATER QUALITY MONITORING                 635.00

                                                                        VENDOR TOTAL *                  3,434.44

0002901   NOWAK CONTRUCTION CO.

2              PI2334 063916 16 05/16/2006   501-7800-588.60-30  SANITARY SEWER CONSTRUCT.            194,993.77

                                                                        VENDOR TOTAL *                194,993.77

0002946   WHITE STAR MACHINERY & SUPPLY

5895985        000693        16 05/16/2006   502-3520-572.40-32  PENETRATING FLUIDS                        35.40

                                                                        VENDOR TOTAL *                     35.40

0002989   MOHL ELECTRIC COMPANY, INC

6192           PI2080 063654 16 05/16/2006   001-9800-573.25-31  AIRPORT IMPROVEMENTS                     950.00

                                                                        VENDOR TOTAL *                    950.00

0003203   CONRAD FIRE EQUIPMENT, INC

443250         000983        16 05/16/2006   001-2120-561.42-03  MISC SUPPLIES                            985.54

443268         000984        16 05/16/2006   001-2120-561.42-03  MISC SUPPLIES                            480.55

443182         000719        16 05/16/2006   001-2200-562.25-32  ROUND BASES/BAR CLAMPS                   218.41

443119         000720        16 05/16/2006   001-2200-562.25-32  HALOGEN DUAL BULBS                       305.17

                                                                        VENDOR TOTAL *                  1,989.67

0003233   US TOY CO/CONSTRUCTIVE PLAYTHINGS

X0151900501    009789        16 05/16/2006   211-4080-590.42-09  MISC SUPPLIES                            127.99

                                                                        VENDOR TOTAL *                    127.99

0003236   G & K SERVICES, INC.

1001410896     000773        16 05/16/2006   001-2200-562.33-13  LAUNDRY SERVICES                          22.19

1001410898     009622        16 05/16/2006   001-3000-570.33-13  LAUNDRY SERVICES                         163.83

1001410900     009621        16 05/16/2006   001-3200-572.33-13  LAUNDRY SERVICES                          13.59

1001396532     PI2076 063843 16 05/16/2006   502-3510-571.33-22  UNIFORM RENTAL                           187.72

1001396537     PI2078 063843 16 05/16/2006   502-3510-571.33-22  UNIFORM RENTAL                            49.80

1001410897     PI2175 063843 16 05/16/2006   502-3510-571.33-22  UNIFORM RENTAL                           181.37

1001410902     PI2177 063843 16 05/16/2006   502-3510-571.33-22  UNIFORM RENTAL                            47.96

1001396532     PI2077 063843 16 05/16/2006   502-3520-572.33-22  UNIFORM RENTAL                           281.59

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    14

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0003236   G & K SERVICES, INC.

1001396537     PI2079 063843 16 05/16/2006   502-3520-572.33-22  UNIFORM RENTAL                            74.69

1001410897     PI2176 063843 16 05/16/2006   502-3520-572.33-22  UNIFORM RENTAL                           272.06

1001410902     PI2178 063843 16 05/16/2006   502-3520-572.33-22  UNIFORM RENTAL                            71.93

1001410899     000396        16 05/16/2006   504-3200-579.33-22  LAUNDRY SERVICES                         121.22

                                                                        VENDOR TOTAL *                  1,487.95

0003517   TERMINAL SUPPLY CO.

1693200        000774        16 05/16/2006   001-2200-562.25-32  CIRCUIT BREAKERS                         320.97

                                                                        VENDOR TOTAL *                    320.97

0003526   VANDERBILT'S #10

2927           000400        16 05/16/2006   001-3000-570.42-02  BOOTS-CHRIS WIKA                         109.99

2872           000397        16 05/16/2006   001-3400-574.42-03  BOOTS-TRACY WILLHOITE                    125.00

2957           000863        16 05/16/2006   211-4080-590.37-03  BOOTS-JAMES HOPPER                        94.95

2634           000694        16 05/16/2006   501-7610-586.42-02  BOOTS                                     59.98

3082           000398        16 05/16/2006   504-3200-579.40-24  BOOTS-JIM DEVORE                          79.99

2925           000399        16 05/16/2006   504-3200-579.40-24  BOOTS-GARY JONES                         119.99

                                                                        VENDOR TOTAL *                    589.90

0003615   DPC INDUSTRIES

8170071906     PI2274 063751 16 05/16/2006   501-7210-581.40-08  CHLORINE                               2,276.00

8170076006     PI2273 063729 16 05/16/2006   501-7310-583.40-08  CHLORINE                               4,000.17

                                                                        VENDOR TOTAL *                  6,276.17

0003868   KC BOBCAT, INC.

12440885       009790        16 05/16/2006   504-3200-579.40-26  COUPLERS                                  37.13

                                                                        VENDOR TOTAL *                     37.13

0003877   ALLIED BODY SHOP

6611           001068        16 05/16/2006   208-1054-544.35-01  AUTO REPAIR                              420.00

                                                                        VENDOR TOTAL *                    420.00

0003891   KANSAS CITY FREIGHTLINER SALES INC

967491         000775        16 05/16/2006   001-2200-562.25-32  SWITCH                                   141.79

                                                                        VENDOR TOTAL *                    141.79

0004040   HENDERSON, KENNETH M.

RM051106JH-TTD 001015        16 05/16/2006   502-3520-572.13-01  TTD 04/30/06-05/13/06                    266.19

                                                                        VENDOR TOTAL *                    266.19

0004085   CROSS-MIDWEST TIRE, INC.

20068598       009564        16 05/16/2006   504-3200-579.40-26  TIRES                                    982.50

20068600       009565        16 05/16/2006   504-3200-579.40-26  TIRES                                     92.00

20068599       009566        16 05/16/2006   504-3200-579.40-26  TIRES                                    860.00

                                                                        VENDOR TOTAL *                  1,934.50

0004088   CENTRAL POWER SYSTEMS & SERVICES

10047285       PI2152 064510 16 05/16/2006   504-3200-579.25-50  TRANSMISSION REPAIR                    7,068.53

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    15

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0004088   CENTRAL POWER SYSTEMS & SERVICES

                                                                        VENDOR TOTAL *                  7,068.53

0004170   FASTENAL

KSLAW12269     000401        16 05/16/2006   001-3000-570.40-15  CABLE TIES                                14.32

KSLAW12260     000776        16 05/16/2006   501-7610-586.42-09  MISC SUPPLIES                             11.10

KSLAW12311     000777        16 05/16/2006   501-7610-586.42-09  MISC SUPPLIES                            698.29

                                                                        VENDOR TOTAL *                    723.71

0004201   TIRE TOWN, INC

065573         000695        16 05/16/2006   502-3530-573.33-29  TIRES                                    159.50

                                                                        VENDOR TOTAL *                    159.50

0004409   KRAUS, DAVID

PW050506TO-REIM000696        16 05/16/2006   505-3900-579.22-09  REFRESHMENTS REIMBURSE                    38.88

                                                                        VENDOR TOTAL *                     38.88

0004439   NEENAN CO.

S1307666001    000818        16 05/16/2006   001-4530-593.42-09  ICEMAKER CLEANER                          79.54

                                                                        VENDOR TOTAL *                     79.54

0004567   LASER LOGIC, INC.

245470         000986        16 05/16/2006   211-4000-590.42-06  LASER/INK JET CARTIDGES                  103.00

245470         000987        16 05/16/2006   211-4060-590.24-03  LASER/INK JET CARTIDGES                  459.96

245370         PI2193 064341 16 05/16/2006   501-7100-580.40-28  PRINTERS & SUPPLIES                    2,975.00

                                                                        VENDOR TOTAL *                  3,537.96

0004655   ALLIANCE MEDICAL

577949         PI2277 063987 16 05/16/2006   001-2200-562.44-01  MEDICAL/DRUG SUPPLIES                     35.50

577949         PI2278 064352 16 05/16/2006   001-2200-562.44-01  MEDICAL/DRUG SUPPLIES                    971.40

                                                                        VENDOR TOTAL *                  1,006.90

0004807   SCOTCH FABRIC CARE SERVICES

8600-0406      PI2281 064615 16 05/16/2006   001-2110-561.33-13  DRY CLEANING-ACCT 8600                    84.18

8600-0406      PI2282 064615 16 05/16/2006   001-2120-561.33-13  DRY CLEANING-ACCT 8600                 1,094.35

8600-0406      PI2283 064615 16 05/16/2006   001-2130-561.33-13  DRY CLEANING-ACCT 8600                 1,127.12

8600-0406      PI2284 064615 16 05/16/2006   001-2141-561.33-13  DRY CLEANING-ACCT 8600                   575.45

8600-0406      PI2285 064615 16 05/16/2006   001-2142-561.33-13  DRY CLEANING-ACCT 8600                    42.09

8600-0406      PI2286 064615 16 05/16/2006   001-2143-561.33-13  DRY CLEANING-ACCT 8600                   104.74

8600-0406      PI2287 064615 16 05/16/2006   001-2144-561.33-13  DRY CLEANING-ACCT 8600                    50.44

8600-0406      PI2288 064615 16 05/16/2006   001-2150-561.33-13  DRY CLEANING-ACCT 8600                    33.42

8600-0406      PI2289 064615 16 05/16/2006   001-2160-561.33-13  DRY CLEANING-ACCT 8600                   101.21

9222-0406      000778        16 05/16/2006   001-2200-562.33-13  DRY CLEANING-ACCT 9222                   251.90

8600-0406      000721        16 05/16/2006   503-2300-563.33-13  DRY CLEANING-ACCT 8600                    19.50

                                                                        VENDOR TOTAL *                  3,484.40

0004845   CRAIGBUILT ENTERPRISES

8902           009791        16 05/16/2006   504-3200-579.25-50  SURFACE FLYWHEEL                          35.00

                                                                        VENDOR TOTAL *                     35.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    16

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0004900   LINWELD, INC.

TO12128        000779        16 05/16/2006   001-2200-562.44-01  OXYGEN/CHARGES                            37.68

TO11956        000780        16 05/16/2006   001-2200-562.44-01  OXYGEN/CHARGES                            24.99

TO86923        PI2082 064262 16 05/16/2006   502-3520-572.40-32  WELDING SUPPLIES                         101.69

TO90456        PI2293 064262 16 05/16/2006   502-3520-572.40-32  WELDING SUPPLIES                          51.43

                                                                        VENDOR TOTAL *                    215.79

0004925   CAPITAL CITY OIL, INC

DL545          000165        16 05/16/2006   506-4910-599.41-01  FUEL                                     999.46

DL546          000166        16 05/16/2006   506-4910-599.41-02  FUEL                                     994.40

                                                                        VENDOR TOTAL *                  1,993.86

0004945   COLUMBIA COURT SERVICES

MC051106CS     001016        16 05/16/2006   705-0000-214.02-00  APF                                      540.00

                                                                        VENDOR TOTAL *                    540.00

0005200   HELENA CHEMICAL CO

64132073       000168        16 05/16/2006   001-4570-597.40-08  ROUNDUP/SURFLAN                          651.25

64132073       000167        16 05/16/2006   503-2300-563.42-03  ROUNDUP/SURFLAN                          188.75

64132089       000819        16 05/16/2006   506-4910-599.40-08  DIMENSION ULTRA WSP                      900.00

                                                                        VENDOR TOTAL *                  1,740.00

0005320   CASCO CO.

023784         PI2272 063512 16 05/16/2006   001-9800-562.40-24  FIREFIGHTING COATS/PANTS              11,855.00

                                                                        VENDOR TOTAL *                 11,855.00

0005588   CORRELL REPORTING SERVICE

06132          000864        16 05/16/2006   001-1030-531.27-09  APPEARANCE/MINUTES                       508.00

                                                                        VENDOR TOTAL *                    508.00

0005690   STOGSDILL, SHEILA

PL051206SS-REIM001137        16 05/16/2006   001-1030-531.22-01  TRAVEL REIMBURSE-04/21/06                166.69

                                                                        VENDOR TOTAL *                    166.69

0005826   CAPITOL CONCRETE PRODUCTS CO.

L539421        000953        16 05/16/2006   001-3000-570.45-01  PREMIX                                    26.40

                                                                        VENDOR TOTAL *                     26.40

0005987   MINUTEMAN PRESS

26606          000699        16 05/16/2006   501-7100-580.40-01  BUSINESS CARDS                            38.95

26606          000698        16 05/16/2006   501-7410-584.40-01  BUSINESS CARDS                            77.96

26606          000697        16 05/16/2006   501-7510-585.40-35  BUSINESS CARDS                           116.94

                                                                        VENDOR TOTAL *                    233.85

0006057   SUNFLOWER RENTALS

31633          000865        16 05/16/2006   001-4570-597.33-09  RENTAL EQUIPMENT                         231.00

                                                                        VENDOR TOTAL *                    231.00

0006125   AIR FILTER PLUS, INC.

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    17

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0006125   AIR FILTER PLUS, INC.

190516         009475        16 05/16/2006   001-3300-573.26-09  AIR FILTERS                               35.55

191068         000954        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               14.18

191062         000955        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               39.05

191061         000956        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               88.23

191065         000957        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               19.18

191063         000958        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               14.93

191066         000959        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               13.91

191046         000960        16 05/16/2006   001-3400-574.26-09  AIR FILTERS                               46.26

190912         000169        16 05/16/2006   001-4530-593.40-30  AIR FILTERS                              459.84

191171         000820        16 05/16/2006   211-4080-590.25-31  AIR FILTERS                              415.08

189658         PI2180 064421 16 05/16/2006   501-7310-583.25-36  MISC WATER SEWER ITEMS                   400.60

                                                                        VENDOR TOTAL *                  1,546.81

0006140   GRIFFITH PAPERHANGERS

PW051006SB     000961        16 05/16/2006   001-3400-574.25-36  WALL COVERING                            986.80

                                                                        VENDOR TOTAL *                    986.80

0006288   AA WHEEL & TRUCK SUPPLY

445973         009476        16 05/16/2006   504-3200-579.40-26  CARTRIDGE/CHECK VALVE KIT                 22.95

                                                                        VENDOR TOTAL *                     22.95

0006636   RETAIL SALES TAX (PARKS & REC)

6033520F02-0106001154        16 02/27/2006   211-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2799             27.41

6033520F02-0206001156        16 03/27/2006   211-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2800             22.96

6033520F02-0306001158        16 04/25/2006   211-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2801             31.16

6033520F02-0406001160        16 05/25/2006   211-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2802             39.21

6033520F02-0106001153        16 02/27/2006   506-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2799            288.83

6033520F02-0206001155        16 03/27/2006   506-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2800            235.19

6033520F02-0306001157        16 04/25/2006   506-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2801            533.14

6033520F02-0406001159        16 05/25/2006   506-0000-213.20-00  TAX ACCT 004486033520F02        CHECK #:    2802          1,752.55

                                                                        VENDOR TOTAL *                       .00           2,930.45

0006682   TNEMEC COMPANY, INC

010256348      000821        16 05/16/2006   211-4080-590.40-07  MISC SUPPLIES                            215.85

                                                                        VENDOR TOTAL *                    215.85

0006727   CROWN CHEVROLET OLDSMOBILE TOYOTA

199036         009477        16 05/16/2006   504-3200-579.40-26  RELAY ASSEMBLY                            13.86

TOCS307980     000985        16 05/16/2006   504-3200-579.25-50  MISC AUTO SUPPLIES                       418.80

                                                                        VENDOR TOTAL *                    432.66

0006756   BLUE CROSS & BLUE SHIELD OF KS

96080-0606     000962        16 05/16/2006   522-1055-545.12-08  INSURANCE GROUP-96080                 11,607.60

9608006-0606   000963        16 05/16/2006   522-1055-545.12-08  INSURANCE GROUP-9608006               12,939.81

9608096-0606   000964        16 05/16/2006   522-1055-545.12-08  INSURANCE GROUP-9608096                  440.43

9608098-0606   000965        16 05/16/2006   522-1055-545.12-08  INSURANCE GROUP-9608098                1,055.18

                                                                        VENDOR TOTAL *                 26,043.02

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    18

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0006772   FIREFIGHTERS RELIEF ASSN.

20060519       PR0519        16 05/16/2006   701-0000-203.20-09  PAYROLL SUMMARY                        1,541.52

20060519       PR0519        16 05/16/2006   701-0000-203.20-09  PAYROLL SUMMARY                            3.02

                                                                        VENDOR TOTAL *                  1,544.54

0006773   FIREFIGHTERS MAINTENANCE FUND

20060519       PR0519        16 05/16/2006   701-0000-203.20-09  PAYROLL SUMMARY                          187.50

20060519       PR0519        16 05/16/2006   701-0000-203.20-09  PAYROLL SUMMARY                            1.50

                                                                        VENDOR TOTAL *                    189.00

0006808   JAYHAWK FIRE SPRINKLER CO.

T13531         000966        16 05/16/2006   001-3410-574.25-31  ANNUAL INSPECTIONS                       513.56

                                                                        VENDOR TOTAL *                    513.56

0006863   WATER PRODUCTS, INC

0603060IN      PI2229        16 05/16/2006   501-0000-131.00-00  GALVANIZED PARTS                           7.45

                                                                 PO NUM 064061

0603061IN      PI2230        16 05/16/2006   501-0000-131.00-00  BRASS                                  1,287.00

                                                                 PO NUM 064193

0603062IN      000700        16 05/16/2006   501-7610-586.40-26  RETAINERS                                294.50

                                                                        VENDOR TOTAL *                  1,588.95

0006922   LAWRENCE BUS COMPANY INC

8323041        000866        16 05/16/2006   001-2200-562.22-01  CHARTER BUS SERVICE                      174.38

                                                                        VENDOR TOTAL *                    174.38

0006980   STEEL AND PIPE SUPPLY CO., INC

90697766       PI2084 064414 16 05/16/2006   502-3520-572.40-32  MISCELLANEOUS PIPE                     1,652.17

                                                                        VENDOR TOTAL *                  1,652.17

0006989   ADVANCED GLASS & MIRROR

39483          000170        16 05/16/2006   001-3400-574.25-36  INSTALLED DOOR CLOSER                     95.00

39476          000722        16 05/16/2006   501-7310-583.25-36  REPLACEMENT SKY LIGHTS                   968.75

                                                                        VENDOR TOTAL *                  1,063.75

0007042   KETTERMAN, ROBERT R.

RM051106JH-TTD 001017        16 05/16/2006   502-3520-572.13-01  TTD 04/30/06-05/13/06                    934.00

                                                                        VENDOR TOTAL *                    934.00

0007093   AUTO PLAZA CAR WASH

LPD-0406       000988        16 05/16/2006   001-2120-561.26-09  CAR WASH-ACCT LPD                        332.14

LPD-0406       000989        16 05/16/2006   001-2130-561.26-09  CAR WASH-ACCT LPD                         36.96

LPD-0406       000990        16 05/16/2006   001-2141-561.26-09  CAR WASH-ACCT LPD                         38.45

LPD-0406       000991        16 05/16/2006   001-2143-561.26-09  CAR WASH-ACCT LPD                          5.99

LPD-0406       000992        16 05/16/2006   001-2160-561.26-09  CAR WASH-ACCT LPD                        132.39

42609          009792        16 05/16/2006   001-2200-562.27-09  CAR WASH                                  12.49

42591          009793        16 05/16/2006   001-2200-562.27-09  CAR WASH                                  11.99

42599          009794        16 05/16/2006   001-2200-562.27-09  CAR WASH                                   8.99

                                                                        VENDOR TOTAL *                    579.40

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    19

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0007115   GRANDSTAND

044547         009795        16 05/16/2006   211-4030-590.42-09  CLOTHING                                 729.75

                                                                        VENDOR TOTAL *                    729.75

0007156   BODY BOUTIQUE

PE050106FR     000673        16 05/16/2006   001-0000-119.10-00  GYM MEMBERSHIP                           239.34

                                                                        VENDOR TOTAL *                    239.34

0007181   MUSICK, JOHN, JR.

62159          009623        16 05/16/2006   001-3000-570.42-09  BALES OF STRAW                            75.00

                                                                        VENDOR TOTAL *                     75.00

0007320   MIDWAY WHOLESALE

0609914        009624        16 05/16/2006   001-3000-570.40-20  MISC SUPPLIES                             13.80

0613123        000822        16 05/16/2006   001-4550-595.42-09  COLUMN FORM                               44.69

                                                                        VENDOR TOTAL *                     58.49

0007415   CORPORATE EXPRESS

69930261       000674        16 05/16/2006   001-1030-531.40-01  MISC OFFICE SUPPLIES                      39.36

69930261       000675        16 05/16/2006   001-1030-531.39-13  MISC OFFICE SUPPLIES                     157.08

69861812       000676        16 05/16/2006   001-1050-542.40-01  AUDIO TAPES                               20.50

67886612       000995        16 05/16/2006   001-1054-544.40-01  OVER PAYMENT                              34.54-

69995877       000782        16 05/16/2006   001-2200-562.40-01  MISC OFFICE SUPPLIES                     144.89

70062476       000783        16 05/16/2006   001-2200-562.40-01  MISC OFFICE SUPPLIES                      16.24

69960772       000403        16 05/16/2006   001-3100-571.40-01  MISC OFFICE SUPPLIES                      42.05

70029333       000967        16 05/16/2006   001-3400-574.40-13  TANK CLEANER                              20.95

69930269       000968        16 05/16/2006   001-3400-574.40-13  MISC OFFICE SUPPLIES                     497.60

69960794       000993        16 05/16/2006   211-4000-590.40-01  BOOK                                       5.72

69960790       000994        16 05/16/2006   211-4000-590.40-01  MISC OFFICE SUPPLIES                     165.84

69930285       001018        16 05/16/2006   211-4010-590.42-09  MISC OFFICE SUPPLIES                     145.77

69960780       001019        16 05/16/2006   211-4010-590.42-09  BINDERS/SCISSORS/ENVELOPE                 50.86

69930284       001020        16 05/16/2006   211-4010-590.42-09  PENS                                      10.08

69995868       000784        16 05/16/2006   501-7100-580.40-01  GEL PENS                                  11.64

70029346       000781        16 05/16/2006   501-7510-585.40-35  CARTRIDGES/SUPPLIES                      405.26

70029341       000867        16 05/16/2006   504-3200-579.40-01  MISC OFFICE SUPPLIES                      50.44

                                                                        VENDOR TOTAL *                  1,749.74

0007424   CARQUEST AUTO PARTS

245615297      000785        16 05/16/2006   001-2200-562.25-31  DISC PADS/ROTORS                         113.76

                                                                        VENDOR TOTAL *                    113.76

0007426   CONCRETE ACCESSORIES

0492942IN      000868        16 05/16/2006   001-4550-595.42-17  STAKE CHASERS                             49.75

                                                                        VENDOR TOTAL *                     49.75

0007474   UNIVERSAL LUBRICANTS, INC.

896833         009796        16 05/16/2006   504-3200-579.40-26  OIL                                      311.85

895458         009797        16 05/16/2006   504-3200-579.40-26  OIL                                      623.70

896854         PI2181 064541 16 05/16/2006   504-3200-579.40-26  OIL                                    1,025.20

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    20

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0007474   UNIVERSAL LUBRICANTS, INC.

                                                                        VENDOR TOTAL *                  1,960.75

0007642   SUNRISE GARDEN CENTER

023101         000171        16 05/16/2006   001-4570-597.42-01  ROSES                                    197.50

                                                                        VENDOR TOTAL *                    197.50

0007724   LAIDLAW TRANSIT, INC.

309353         009798        16 05/16/2006   211-4040-590.26-09  TRANSPORTATION SERVICES                   60.00

309359         009799        16 05/16/2006   211-4040-590.26-09  TRANSPORTATION SERVICES                   60.00

309356         009803        16 05/16/2006   211-4040-590.26-09  TRANSPORTATION SERVICES                   90.00

309355         009805        16 05/16/2006   211-4040-590.26-09  TRANSPORTATION SERVICES                  180.00

309354         009807        16 05/16/2006   211-4040-590.26-09  TRANSPORTATION SERVICES                  180.00

309358         009800        16 05/16/2006   211-4050-590.26-09  TRANSPORTATION SERVICES                   60.00

309357         009801        16 05/16/2006   211-4050-590.26-09  TRANSPORTATION SERVICES                   60.00

309356         009802        16 05/16/2006   211-4050-590.26-09  TRANSPORTATION SERVICES                   90.00

309355         009804        16 05/16/2006   211-4050-590.26-09  TRANSPORTATION SERVICES                  180.00

309354         009806        16 05/16/2006   211-4050-590.26-09  TRANSPORTATION SERVICES                  180.00

                                                                        VENDOR TOTAL *                  1,140.00

0007887   HUXTABLE LT SERVICE, INC

LT8764         000172        16 05/16/2006   001-3410-574.26-09  WORK ON WATER LINE                       147.13

                                                                        VENDOR TOTAL *                    147.13

0007916   CENTURY UNITED COMPANIES, INC.

081948         000723        16 05/16/2006   001-2144-561.40-01  COPIER RENTAL                             62.00

                                                                        VENDOR TOTAL *                     62.00

0008016   FSB-PAYROLL TAXES

20060519       PR0519        16 05/19/2006   701-0000-204.10-00  PAYROLL SUMMARY                 CHECK #:    2797        112,330.18

20060519       PR0519        16 05/19/2006   701-0000-204.20-00  PAYROLL SUMMARY                 CHECK #:    2797         41,041.52

20060519       PR0519        16 05/19/2006   701-0000-204.20-00  PAYROLL SUMMARY                 CHECK #:    2797             60.34

20060519       PR0519        16 05/19/2006   701-0000-204.30-00  PAYROLL SUMMARY                 CHECK #:    2797        163,466.67

20060519       PR0519        16 05/19/2006   701-0000-204.30-00  PAYROLL SUMMARY                 CHECK #:    2797            303.22

20060519       PR0519        16 05/19/2006   701-0000-204.35-00  PAYROLL SUMMARY                 CHECK #:    2797            224.75-

                                                                        VENDOR TOTAL *                       .00         316,977.18

0008085   ALPHA RECOVERY CENTER

MC051106CS     000996        16 05/16/2006   705-0000-214.02-00  APF                                      675.00

                                                                        VENDOR TOTAL *                    675.00

0008092   ASSESSMENT SERVICES

MC051106CS     000997        16 05/16/2006   705-0000-214.02-00  APF                                    1,080.00

                                                                        VENDOR TOTAL *                  1,080.00

0008237   SCHNEIDER, JAMES M.

PD050806KF-REIM000998        16 05/16/2006   001-2130-561.22-01  TRAVEL REIMBURSE-04/16/06                 22.50

PD050806KF-REIM000999        16 05/16/2006   611-2130-561.22-01  TRAVEL REIMBURSE-04/16/06                 22.50

                                                                        VENDOR TOTAL *                     45.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    21

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0008318   MARINO, OSCAR A.

PD051106MB     001000        16 05/16/2006   001-2120-561.27-09  TRAVEL/TRANSLATION                        35.00

                                                                        VENDOR TOTAL *                     35.00

0008400   OLIVER ELECTRIC CONSTR, INC.

05336          PI2231 064579 16 05/16/2006   001-3400-574.25-36  LIGHTING FIXTURE-OUTDOOR              15,184.00

                                                                        VENDOR TOTAL *                 15,184.00

0008433   PRINTING UNLIMITED

4886           PI2081 064071 16 05/16/2006   501-7800-588.24-01  BROCHURES                              1,458.92

                                                                        VENDOR TOTAL *                  1,458.92

0008498   MEDTRONIC PHYSIO-CONTROL

S2148011       PI2323 063411 16 05/16/2006   211-9800-590.42-09  MISC SAFETY EQUIPMENT                  1,995.00

                                                                        VENDOR TOTAL *                  1,995.00

0008511   FORMGRAPHICS, INC.

20321          000022        16 05/16/2006   001-1053-543.40-01  ENVELOPES                                168.00

20345          PI2388        16 05/16/2006   521-0000-133.00-00  ENVELOPES,PLAIN,SPECIAL                1,145.00

                                                                 PO NUM 064359

                                                                        VENDOR TOTAL *                  1,313.00

0008626   HIGH PLAINS TREE SERVICE

339            PI2203 064476 16 05/16/2006   001-4580-598.33-02  TREE TRIMMING SERVICES                 2,720.00

                                                                        VENDOR TOTAL *                  2,720.00

0008709   PILOT GRAPHIC RESOURCE

4546           000724        16 05/16/2006   001-2200-562.24-01  WINDOW ENVELOPES                         110.25

                                                                        VENDOR TOTAL *                    110.25

0008710   SPRINT/UNITED TELEPHONE

7855943758-0406000788        16 05/16/2006   001-2200-562.34-01  ACCT 785-594-3758-695                    221.15

                                                                        VENDOR TOTAL *                    221.15

0008710   SPRINT/UNITED TELEPHONE,CK GRP-0

7855943152-0406000786        16 05/16/2006   001-2200-562.34-01  ACCT 785-594-3152-279                    104.73

                                                                        VENDOR TOTAL *                    104.73

0008710   SPRINT/UNITED TELEPHONE,CK GRP-1

7855943157-0406000787        16 05/16/2006   001-2200-562.34-01  ACCT 785-594-3157-690                     37.78

                                                                        VENDOR TOTAL *                     37.78

0008720   RECTOR, DAVID C

RM051106JH-REIM001069        16 05/16/2006   219-1054-544.36-09  MILEAGE REIMBURSEMENT                    136.16

                                                                        VENDOR TOTAL *                    136.16

0008747   OFFICE DEPOT INC

335708001001   000789        16 05/16/2006   001-2200-562.40-01  VELCRO/BLOCKLETTERS                       24.98

335708000001   000790        16 05/16/2006   001-2200-562.40-01  MISC OFFICE SUPPLIES                     106.76

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    22

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0008747   OFFICE DEPOT INC

335150364001   000173        16 05/16/2006   001-3400-574.25-36  DESK LAMP                                 21.58

334957221001   000701        16 05/16/2006   501-7510-585.40-35  FOAM BOARDS                               23.43

                                                                        VENDOR TOTAL *                    176.75

0008752   IKON OFFICE SOLUTIONS

5003789030     009808        16 05/16/2006   001-1070-557.40-01  COPIER RENTAL                            180.00

                                                                        VENDOR TOTAL *                    180.00

0008869   HECKER, MARK

PR051206FD-REIM001138        16 05/16/2006   001-4510-591.42-09  MILEAGE REIMBURSEMENT                     48.19

                                                                        VENDOR TOTAL *                     48.19

0008890   HEARTLAND CLINICAL CONSULTANT

MC051106CS     001001        16 05/16/2006   705-0000-214.02-00  APF                                    1,485.00

                                                                        VENDOR TOTAL *                  1,485.00

0008975   TITLEIST

0205680        000836        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       179.13

0259124        000837        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                        54.49

0211566        000838        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       372.48

0008513        000839        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       588.58

0011520        000840        16 05/16/2006   506-4900-599.47-12  MISC GOLF SUPPLIES                       264.43

0011521        000841        16 05/16/2006   506-4900-599.47-11  BLACK TOWELS                             351.96

0008512        000842        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       770.23

0232369        000843        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       549.64

0259124        000844        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                        54.49

                                                                        VENDOR TOTAL *                  3,185.43

0009073   NIKE GOLF

906175324      000833        16 05/16/2006   506-4900-599.47-12  MISC GOLF SUPPLIES                       328.38

906124858      000834        16 05/16/2006   506-4900-599.47-11  MISC GOLF SUPPLIES                       288.64

906215240      000835        16 05/16/2006   506-4900-599.47-12  MISC GOLF SUPPLIES                       411.39

                                                                        VENDOR TOTAL *                  1,028.41

0009127   NEXTEL COMMUNICATIONS

728923315-0406 PI2313 064656 16 05/16/2006   001-2110-561.34-01  PHONE-INV 728923315-053                   81.47

728923315-0406 PI2314 064656 16 05/16/2006   001-2120-561.34-01  PHONE-INV 728923315-053                  417.62

728923315-0406 PI2315 064656 16 05/16/2006   001-2120-561.42-03  PHONE-INV 728923315-053                1,039.76

728923315-0406 PI2316 064656 16 05/16/2006   001-2130-561.34-01  PHONE-INV 728923315-053                1,165.66

728923315-0406 PI2317 064656 16 05/16/2006   001-2130-561.42-03  PHONE-INV 728923315-053                  249.76

728923315-0406 PI2318 064656 16 05/16/2006   001-2141-561.34-01  PHONE-INV 728923315-053                  512.55

728923315-0406 PI2319 064656 16 05/16/2006   001-2142-561.42-03  PHONE-INV 728923315-053                  209.83

728923315-0406 PI2320 064656 16 05/16/2006   001-2143-561.34-01  PHONE-INV 728923315-053                   81.49

728923315-0406 PI2321 064656 16 05/16/2006   001-2144-561.34-01  PHONE-INV 728923315-053                  127.12

728923315-0406 PI2322 064656 16 05/16/2006   001-2150-561.34-01  PHONE-INV 728923315-053                  189.05

728923315-0406 001002        16 05/16/2006   503-2300-563.34-01  PHONE-INV 728923315-053                   87.54

728923315-0406 001003        16 05/16/2006   503-2300-563.42-03  PHONE-INV 728923315-053                  149.98

                                                                        VENDOR TOTAL *                  4,311.83

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    23

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0009127   NEXTEL COMMUNICATIONS,CK GRP-0

841853310-0406 001140        16 05/16/2006   501-1069-559.34-01  PHONE-INV 841853310-048                   52.51

                                                                        VENDOR TOTAL *                     52.51

0009127   NEXTEL COMMUNICATIONS,CK GRP-1

438023311-0406 000969        16 05/16/2006   001-3200-572.26-09  PHONE-INV 438023311-053                  366.83

                                                                        VENDOR TOTAL *                    366.83

0009127   NEXTEL COMMUNICATIONS,CK GRP-2

464661227-0506 001004        16 05/16/2006   001-2120-561.42-03  PHONE-INV 464661227-037                  119.99

464661227-0506 001005        16 05/16/2006   001-2160-561.34-01  PHONE-INV 464661227-037                  370.71

                                                                        VENDOR TOTAL *                    490.70

0009127   NEXTEL COMMUNICATIONS,CK GRP-3

715113318-0406 001139        16 05/16/2006   501-1069-559.34-01  PHONE-INV 715113318-053                  458.67

                                                                        VENDOR TOTAL *                    458.67

0009135   RENTAL SERVICE CORP

28289355001    009567        16 05/16/2006   501-7610-586.42-09  METAL BLADES                              16.58

                                                                        VENDOR TOTAL *                     16.58

0009334   UNIVERSITY OF KANSAS-DEPT GEOGRAPHY

0616           000174        16 05/16/2006   611-1014-514.24-03  REDESIGNED TRANSIT MAP                   122.50

                                                                        VENDOR TOTAL *                    122.50

0009407   HME, INC - MICHIGAN

163291         000725        16 05/16/2006   001-2200-562.25-36  MISC SUPPLIES/FREIGHT                     26.97

                                                                        VENDOR TOTAL *                     26.97

0009417   MOONEY, DALE

PW050406TP-REIM000404        16 05/16/2006   001-3000-570.42-02  SAFETY GLASSES REIMBURSE                  80.00

                                                                        VENDOR TOTAL *                     80.00

0009437   ASI

PE051006FR-0406000970        16 05/16/2006   701-0000-203.20-14  ADMIN FEES-APRIL 2006                    822.00

                                                                        VENDOR TOTAL *                    822.00

0009471   METROCALL

03138500-0406  PI2303 063977 16 05/16/2006   001-2110-561.34-01  INV-P0313850E                             19.66

03138500-0406  PI2304 063977 16 05/16/2006   001-2120-561.34-01  INV-P0313850E                            567.13

03138500-0406  PI2305 063977 16 05/16/2006   001-2130-561.34-01  INV-P0313850E                            176.04

03138500-0406  PI2306 063977 16 05/16/2006   001-2141-561.34-01  INV-P0313850E                             58.65

03138500-0406  PI2307 063977 16 05/16/2006   001-2142-561.34-01  INV-P0313850E                             16.26

03138500-0406  PI2308 063977 16 05/16/2006   001-2143-561.34-01  INV-P0313850E                             26.03

03138500-0406  PI2309 063977 16 05/16/2006   001-2144-561.34-01  INV-P0313850E                             32.62

03138500-0406  PI2310 063977 16 05/16/2006   001-2150-561.34-01  INV-P0313850E                             29.32

03138500-0406  PI2311 063977 16 05/16/2006   001-2160-561.34-01  INV-P0313850E                             45.68

03138500-0406  PI2312 063977 16 05/16/2006   503-2300-563.34-01  INV-P0313850E                             26.03

                                                                        VENDOR TOTAL *                    997.42

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    24

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0009482   BWI

07194247       000175        16 05/16/2006   503-2300-563.42-03  MISC SUPPLIES                            460.02

                                                                        VENDOR TOTAL *                    460.02

0009500   DELL COMPUTER CORPORATION

M77708856      PI2296 064354 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                     106.74

M78204410      PI2297 064354 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,867.04

M77492004      PI2298 064402 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,920.72

M78736225      PI2299 064402 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      79.28

M78985110      PI2300 064442 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,488.23

M79607003      PI2301 064442 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                     511.71

M85064245      PI2302 064493 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                     802.73

M61280916      PI2337 064310 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                     102.85

M64374911      PI2338 064310 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,724.04

M65002597      PI2339 064310 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      56.12

M88672696      PI2343 064457 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   2,000.00

M89502158      PI2344 064460 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   2,000.00

M88052310      PI2345 064482 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      44.38

M88671681      PI2346 064482 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,083.88

M88699152      PI2347 064482 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      64.55

M90357107      PI2351 064494 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,606.42

M90396510      PI2352 064494 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      46.94

M84135378      PI2389 064419 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,671.38

M84661088      PI2390 064419 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      36.82

                                                                        VENDOR TOTAL *                 17,213.83

0009740   NEOSHO GARDENS

SI101720       000176        16 05/16/2006   001-4570-597.42-01  FLOWERS                                  189.00

SI101719       PI2329 063817 16 05/16/2006   001-4570-597.42-01  FLOWERS                                  349.65

SI101719       PI2330 063817 16 05/16/2006   216-4600-596.42-01  FLOWERS                                  349.65

                                                                        VENDOR TOTAL *                    888.30

0009758   FLUKER FARMS

C343814        000023        16 05/16/2006   211-4070-590.40-31  MISC ANIMAL SUPPLIES                      80.72

                                                                        VENDOR TOTAL *                     80.72

0009784   LUMINOUS NEON, INC

005018160      001141        16 05/16/2006   506-4900-599.25-36  LATE FEE/INTEREST                        188.39

                                                                        VENDOR TOTAL *                    188.39

0010016   ROGERS, WILLIAM

PR050406MH-REIM000677        16 05/16/2006   001-4520-592.21-02  MILEAGE REIMBURSEMENT                    139.68

                                                                        VENDOR TOTAL *                    139.68

0010089   RICOH BUSINESS SYSTEMS

G04210021827   PI2280 064408 16 05/16/2006   501-7310-583.42-09  COPYING MACHINES                         162.97

                                                                        VENDOR TOTAL *                    162.97

0010098   SIGN D'SIGN

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    25

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0010098   SIGN D'SIGN

26040009       000869        16 05/16/2006   216-4600-596.42-09  SIGNS                                     95.00

                                                                        VENDOR TOTAL *                     95.00

0010139   CUSTOM TRUCK SALES, LLC

1261170019     009625        16 05/16/2006   504-3200-579.40-26  MISC SUPPLIES                            158.54

                                                                        VENDOR TOTAL *                    158.54

0010143   LAWRENCE HOSE & HYDRAULIC SUPP

11759          009626        16 05/16/2006   001-3000-570.25-31  PLUGS/MISC SUPPLIES                      201.80

                                                                        VENDOR TOTAL *                    201.80

0010157   ARROWHEAD DO IT BEST BALDWIN

1356123        009809        16 05/16/2006   001-2200-562.25-36  MISC SUPPLIES                             55.35

                                                                        VENDOR TOTAL *                     55.35

0010175   AIRE-MASTER EASTERN KANSAS

27571          000792        16 05/16/2006   501-7210-581.40-13  JANITORIAL SERVICES                       10.00

27571          000791        16 05/16/2006   501-7220-582.40-13  JANITORIAL SERVICES                       10.00

27571          000793        16 05/16/2006   501-7410-584.40-13  JANITORIAL SERVICES                       15.00

                                                                        VENDOR TOTAL *                     35.00

0010232   DOWNINGS LAWN CARE, INC

11300          000177        16 05/16/2006   001-3300-573.26-09  MOWING CHARGES                           220.00

                                                                        VENDOR TOTAL *                    220.00

0010278   COLORPORT

080161         009478        16 05/16/2006   211-4080-590.40-07  PAINT                                     55.58

080213         000178        16 05/16/2006   211-4080-590.40-07  PAINT/PAINT THINNER                       63.07

                                                                        VENDOR TOTAL *                    118.65

0010313   R & R COMMUNICATIONS, INC

2003627        000678        16 05/16/2006   001-3400-574.25-31  INSTALL LABOR/MATERIALS                  108.00

2003626        000679        16 05/16/2006   001-3400-574.25-31  INSTALL LABOR/MATERIALS                  375.00

2003625        000681        16 05/16/2006   400-3000-571.27-09  INSTALL LABOR/MATERIALS                  667.50

2003550        000728        16 05/16/2006   400-3000-571.42-03  INSTALL LABOR/MATERIALS                  973.70

2003588        PI2085 064463 16 05/16/2006   501-7100-580.60-11  COMMUNICATION EQUIPT.                  3,827.00

2003624        000726        16 05/16/2006   501-7410-584.33-09  INSTALL LABOR/SUPPLIES                   127.00

2003623        000727        16 05/16/2006   501-7410-584.33-09  INSTALL LABOR                             48.00

2003569        000680        16 05/16/2006   502-3530-573.27-09  INSTALL LABOR                            588.00

                                                                        VENDOR TOTAL *                  6,714.20

0010380   GUTSCH, GARY D

FM050506MB-REIM001142        16 05/16/2006   001-2200-562.21-04  TRAVEL REIMBURSE-04/26/06                112.90

                                                                        VENDOR TOTAL *                    112.90

0010396   HY-VEE - 6TH STREET

540779         000702        16 05/16/2006   501-7510-585.40-35  GIFT CARDS                                20.00

                                                                        VENDOR TOTAL *                     20.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    26

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0010466   AUTOGLASS OUTLET

8273           009810        16 05/16/2006   001-2200-562.25-32  WINDSHIELD                               199.00

                                                                        VENDOR TOTAL *                    199.00

0010495   MV TRANSPORTATION, INC

4816           001161        16 05/16/2006   210-1014-514.24-03  CATCHUP INVOICE-PARADE          CHECK #:    2803             14.72

4816           PI2398 063757 16 05/16/2006   210-1014-514.26-09  MAINT. AGREEMENTS               CHECK #:    2803          3,617.62

190506-02      PI2400 063757 16 05/16/2006   210-1014-514.26-09  MAINT. AGREEMENTS               CHECK #:    2803          5,285.00

4816           PI2402 063758 16 05/16/2006   210-1014-514.26-09  BUS SERVICES                    CHECK #:    2803          4,661.36

190506-02      PI2404 063758 16 05/16/2006   210-1014-514.26-09  BUS SERVICES                    CHECK #:    2803         30,829.00

4816           PI2399 063757 16 05/16/2006   611-1014-514.26-09  MAINT. AGREEMENTS               CHECK #:    2803         14,470.50

190506-02      PI2401 063757 16 05/16/2006   611-1014-514.26-09  MAINT. AGREEMENTS               CHECK #:    2803         21,140.00

4816           PI2403 063758 16 05/16/2006   611-1014-514.26-09  BUS SERVICES                    CHECK #:    2803          4,661.36

190506-02      PI2405 063758 16 05/16/2006   611-1014-514.26-09  BUS SERVICES                    CHECK #:    2803         30,829.00

                                                                        VENDOR TOTAL *                       .00         115,508.56

0010712   THYSSENKRUPP ELEVATOR CORP

051025         PI2238 064349 16 05/16/2006   501-7220-582.25-31  ELEVATOR MAINT & REPAIR                1,759.00

                                                                        VENDOR TOTAL *                  1,759.00

0010744   BRADFORD, MARK

FM050806DC-REIM001021        16 05/16/2006   001-2200-562.21-04  TRAVEL REIMBURSE-042206                   82.12

                                                                        VENDOR TOTAL *                     82.12

0010769   DOCUMENT PRODUCTS, INC

8863           000845        16 05/16/2006   506-4900-599.34-01  COPIER RENTAL                             29.00

                                                                        VENDOR TOTAL *                     29.00

0010772   VERNON'S LAWNMOWING

412910         000703        16 05/16/2006   001-6300-503.33-44  MOWING CHARGES                           120.00

                                                                        VENDOR TOTAL *                    120.00

0010825   CINGULAR WIRELESS

456789836-0406 PI2324 063845 16 05/16/2006   502-3510-571.34-01  PHONE-ACCT 456789836                     115.52

456789836-0406 PI2325 063845 16 05/16/2006   502-3520-572.34-01  PHONE-ACCT 456789836                     173.27

456789836-0406 000971        16 05/16/2006   504-3200-579.26-09  PHONE-ACCT 456789836                      34.72

                                                                        VENDOR TOTAL *                    323.51

0010825   CINGULAR WIRELESS,CK GRP-0

447490962-0406 000405        16 05/16/2006   001-3400-574.26-09  PHONE-ACCT 447490962                      55.12

                                                                        VENDOR TOTAL *                     55.12

0010852   EXPRESS PERSONNEL SERVICES

944601368      PI2275 063777 16 05/16/2006   501-7310-583.33-31  TEMPORARY EMPLOYEES                      475.08

                                                                        VENDOR TOTAL *                    475.08

0010852   EXPRESS PERSONNEL SERVICES,CK GRP-0

944829225      001022        16 05/16/2006   001-6300-503.27-09  TEMP EMPLOYEE                            270.80

944829225      001023        16 05/16/2006   631-6405-500.27-09  TEMP EMPLOYEE                            270.80

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    27

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0010852   EXPRESS PERSONNEL SERVICES,CK GRP-0

                                                                        VENDOR TOTAL *                    541.60

0010857   DIRECTDEALS.COM

INV0000128635  PI2151 064431 16 05/16/2006   001-2150-561.40-04  COMPUTER LICENSE                       1,290.42

                                                                        VENDOR TOTAL *                  1,290.42

0011000   ATWELL RICKY

000036720      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                         .03

                                                                 000145632

                                                                        VENDOR TOTAL *                       .03

0011000   STRACK JEFF E

000037010      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       28.23

                                                                 000311492

                                                                        VENDOR TOTAL *                     28.23

0011000   CASE MICHAEL S

000147595      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       78.12

                                                                 000318408

                                                                        VENDOR TOTAL *                     78.12

0011000   SHAFFER WILL

000016030      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       10.40

                                                                 000245074

                                                                        VENDOR TOTAL *                     10.40

0011000   GIKONYO ROSE NJOKI

000016880      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        3.70

                                                                 000329224

                                                                        VENDOR TOTAL *                      3.70

0011000   LUFKIN AMBER J

000018600      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        4.06

                                                                 000326844

                                                                        VENDOR TOTAL *                      4.06

0011000   STREITBERGER AARON

000018085      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       26.06

                                                                 000332504

                                                                        VENDOR TOTAL *                     26.06

0011000   MCINTYRE TERRY J

000020410      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       40.38

                                                                 000343830

                                                                        VENDOR TOTAL *                     40.38

0011000   SUTTERLITT SAMANTHA

000022240      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       19.25

                                                                 000345706

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    28

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011000   SUTTERLITT SAMANTHA

                                                                        VENDOR TOTAL *                     19.25

0011000   KESSLER DONALD S

000031700      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       31.60

                                                                 000033892

                                                                        VENDOR TOTAL *                     31.60

0011000   UHRICH ROBERT

000030535      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       13.15

                                                                 000253786

                                                                        VENDOR TOTAL *                     13.15

0011000   SHEPPARD MARY L

000029725      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        3.42

                                                                 000298438

                                                                        VENDOR TOTAL *                      3.42

0011000   STOCKWELL SUSAN A

000072385      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        1.36

                                                                 000213518

                                                                        VENDOR TOTAL *                      1.36

0011000   KEHLER ADAM P

000046340      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       95.02

                                                                 000332266

                                                                        VENDOR TOTAL *                     95.02

0011000   HAWKINS SOPHIA M

000056380      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        4.40

                                                                 000340888

                                                                        VENDOR TOTAL *                      4.40

0011000   DAVIS JON

000041525      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                      138.90

                                                                 000331264

                                                                        VENDOR TOTAL *                    138.90

0011000   GIGLIO LEIGH L

000116975      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        8.02

                                                                 000321940

                                                                        VENDOR TOTAL *                      8.02

0011000   HENRIKSON ALICIA L

000108340      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       12.05

                                                                 000334256

                                                                        VENDOR TOTAL *                     12.05

0011000   VANTUYL JAMES W

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    29

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011000   VANTUYL JAMES W

000059135      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       16.30

                                                                 000028212

                                                                        VENDOR TOTAL *                     16.30

0011000   POTTER KIMBERLY K

000151955      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       64.99

                                                                 000139787

                                                                        VENDOR TOTAL *                     64.99

0011000   WALQUIST AMY L

000138675      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       11.31

                                                                 000298038

                                                                        VENDOR TOTAL *                     11.31

0011000   KANG LILLIAN

000144935      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                         .13

                                                                 000333984

                                                                        VENDOR TOTAL *                       .13

0011000   BENSON COURTNEY K

000102205      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       67.43

                                                                 000281350

                                                                        VENDOR TOTAL *                     67.43

0011000   FLETCHER LAUREN M

000100770      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        2.99

                                                                 000301100

                                                                        VENDOR TOTAL *                      2.99

0011000   TIPTON LESLIE A

000137130      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       14.39

                                                                 000332998

                                                                        VENDOR TOTAL *                     14.39

0011000   BROXHOLM JULIA A

000152100      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       12.29

                                                                 000339264

                                                                        VENDOR TOTAL *                     12.29

0011000   JOHNSON CORINNA L

000087635      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       63.20

                                                                 000318760

                                                                        VENDOR TOTAL *                     63.20

0011000   CITY OF LAWRENCE

000092185      UT            16 05/11/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       16.73

                                                                 000329556

                                                                        VENDOR TOTAL *                     16.73

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    30

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011000   KREIDER LILLIAN R

000132080      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 40.57

                                                                 000329428

                                                                        VENDOR TOTAL *                     40.57

0011000   HADL JULIE CAROLE

000075085      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 40.57

                                                                 000264750

                                                                        VENDOR TOTAL *                     40.57

0011000   OCEL TIM J

000101525      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 40.57

                                                                 000328818

                                                                        VENDOR TOTAL *                     40.57

0011000   CLOUD LESLIE A

000106985      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 40.57

                                                                 000329326

                                                                        VENDOR TOTAL *                     40.57

0011000   SJOGREN DIANA R

000087010      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 81.14

                                                                 000306922

                                                                        VENDOR TOTAL *                     81.14

0011000   JACKSON WILLIAM C

000084580      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 91.28

                                                                 000275540

                                                                        VENDOR TOTAL *                     91.28

0011000   DANIELS TERRY J

000092820      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 40.57

                                                                 000328782

                                                                        VENDOR TOTAL *                     40.57

0011000   DECK ANDREW

000187125      UT            16 05/14/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                 40.57

                                                                 000329188

                                                                        VENDOR TOTAL *                     40.57

0011000   FRIEDSON HERBERT

000057275      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              20.35

                                                                 000075802

                                                                        VENDOR TOTAL *                     20.35

0011000   HUTCHISON MICHAEL C

000136585      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                               2.92

                                                                 000124942

                                                                        VENDOR TOTAL *                      2.92

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    31

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011000   DAVIS MELINDA K

000119505      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              20.06

                                                                 000254274

                                                                        VENDOR TOTAL *                     20.06

0011000   BRETT FRITZEL BUILDERS INC

000163975      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              22.53

                                                                 000275068

                                                                        VENDOR TOTAL *                     22.53

0011000   BRETT FRITZEL BUILDERS INC

000163980      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              14.75

                                                                 000275068

                                                                        VENDOR TOTAL *                     14.75

0011000   BROWN SHELLY R

000132380      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              57.34

                                                                 000294150

                                                                        VENDOR TOTAL *                     57.34

0011000   CHILDERS DAVID L & VICKIE L

000125620      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              15.64

                                                                 000297912

                                                                        VENDOR TOTAL *                     15.64

0011000   LAWRENCE REALTY PARTNERS LP

000077070      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              11.48

                                                                 000307900

                                                                        VENDOR TOTAL *                     11.48

0011000   D & J MANAGEMENT LC

000113860      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              13.19

                                                                 000320822

                                                                        VENDOR TOTAL *                     13.19

0011000   ZAGER JASON M (FO)

000060135      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                              30.55

                                                                 000332956

                                                                        VENDOR TOTAL *                     30.55

0011000   PILSHAW MICHAEL N

000132475      UT            16 05/14/2006   501-0000-281.00-00  UB CR REFUND                               8.81

                                                                 000338364

                                                                        VENDOR TOTAL *                      8.81

0011000   ZINN RICHARD L TRUSTEE

000073110      UT            16 05/15/2006   501-0000-281.00-00  UB CR REFUND                               9.85

                                                                 000334284

                                                                        VENDOR TOTAL *                      9.85

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    32

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011109   GENUINE PARTS CO (NAPA)-KC

338464         000729        16 05/16/2006   001-2200-562.25-31  MISC AUTO SUPPLIES                       245.89

338450         000794        16 05/16/2006   001-2200-562.25-31  CLAMPS                                     5.02

337413         000795        16 05/16/2006   001-2200-562.25-31  RIVETS                                    12.67

338571         000825        16 05/16/2006   001-4540-594.25-31  HOSE CLAMPS                               54.49

339028         000870        16 05/16/2006   504-3200-579.40-33  FILTERS/SWITCHES                           8.66

339028         000871        16 05/16/2006   504-3200-579.40-26  FILTERS/SWITCHES                         245.70

338445         000823        16 05/16/2006   506-4910-599.42-09  MISC AUTO SUPPLIES                        76.90

338402         000824        16 05/16/2006   506-4910-599.42-09  HOSE CLAMPS/CIRCUITS                      49.85

                                                                        VENDOR TOTAL *                    699.18

0011182   AMERICAN RED CROSS-KC

40665          009811        16 05/16/2006   211-4080-590.22-01  AQUATIC CONFERENCE                       250.00

                                                                        VENDOR TOTAL *                    250.00

0011190   LAWRENCE COFFEE SERVICE

21586          009479        16 05/16/2006   001-2200-562.25-36  COFFEE BREWER/SUPPLIES                   589.95

21598          000872        16 05/16/2006   211-4000-590.26-09  COFFEE                                    26.50

                                                                        VENDOR TOTAL *                    616.45

0011202   HICKS, DONALD B

RM051106JH-TTD 001024        16 05/16/2006   001-2141-561.13-01  TTD 04/30/06-05/13/06                    532.38

                                                                        VENDOR TOTAL *                    532.38

0011219   HOLTON GREENHOUSES

06042401       PI2327 063806 16 05/16/2006   212-4800-598.42-01  BEDDING PLANTS & CUTTINGS              3,850.70

06042501       PI2328 063806 16 05/16/2006   212-4800-598.42-01  BEDDING PLANTS & CUTTINGS              1,097.90

06042402       000179        16 05/16/2006   503-2300-563.42-01  FLOWERS                                   53.40

                                                                        VENDOR TOTAL *                  5,002.00

0011224   SIMPLEXGRINNELL

61242511       000024        16 05/16/2006   001-2110-561.33-53  ANNUAL INSPECTION                        127.00

39600602       000826        16 05/16/2006   211-4080-590.25-31  FIRE ALARM MATERIALS                      81.00

                                                                        VENDOR TOTAL *                    208.00

0011296   WALL ENTERPRISES, INC

D04269         000180        16 05/16/2006   001-4560-596.27-09  BLADE GRINDER/WHEEL                      541.33

                                                                        VENDOR TOTAL *                    541.33

0011311   RIVER CITY ICE COMPANY

8319           009812        16 05/16/2006   001-2200-562.42-09  ICE                                       47.45

                                                                        VENDOR TOTAL *                     47.45

0011368   GE CAPITAL CORPORATION/VFS

63228418       PI2341 064452 16 05/16/2006   506-4910-599.26-09  LAWN MOWERS,POWER,ROTARY              15,258.44

63304705       PI2342 064452 16 05/16/2006   506-4910-599.26-09  LAWN MOWERS,POWER,ROTARY               3,481.10

                                                                        VENDOR TOTAL *                 18,739.54

0011459   KREIDER REHABILITATION SERVICES

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    33

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011459   KREIDER REHABILITATION SERVICES

PW050506TB     000406        16 05/16/2006   001-3100-571.27-09  DESK ASSESSMENTS                         300.00

                                                                        VENDOR TOTAL *                    300.00

0011495   ACCURATE SUPERIOR SCALE CO

1291           000704        16 05/16/2006   502-3530-573.25-31  SERVICES/MISC SUPPLIES                   352.00

                                                                        VENDOR TOTAL *                    352.00

0011526   FOOTJOY

3921608        000846        16 05/16/2006   506-4900-599.47-11  MISC SUPPLIES                            170.07

                                                                        VENDOR TOTAL *                    170.07

0011653   CINTAS FIRST AID & SUPPLY

0479237016     009627        16 05/16/2006   001-2144-561.42-09  FIRST AID SUPPLIES                       154.90

                                                                        VENDOR TOTAL *                    154.90

0011705   PEAK TECHNOLOGIES, INC

G042500554     009813        16 05/16/2006   001-1070-557.33-06  MISC SUPPLIES                            508.05

                                                                        VENDOR TOTAL *                    508.05

0011715   CALIFORNIA CONTRACTORS SUPPLIES INC

TT45098        000705        16 05/16/2006   501-7610-586.42-02  EYE CARE KIT                              79.80

                                                                        VENDOR TOTAL *                     79.80

0011794   DAVIS, SUSAN J AND

RM051906FR-SDB 001025        16 05/16/2006   219-1054-544.36-10  WC-SPOUSAL BENEFIT                       732.00

                                                                        VENDOR TOTAL *                    732.00

0011822   KAW VALLEY OFFICE PRODUCTS LLC

936720         009628        16 05/16/2006   001-2130-561.40-01  MISC OFFICE SUPPLIES                     464.39

                                                                        VENDOR TOTAL *                    464.39

0011863   CONSORTIUM FUND

PW051106TB     000972        16 05/16/2006   505-3900-579.22-09  STORM WATER PHASE II                     781.25

                                                                        VENDOR TOTAL *                    781.25

0011893   SBC DATACOM

171008968      PI2183 064128 16 05/16/2006   001-1065-555.33-36  COMPUTER EQUIPMENT                       115.20

171008967      PI2184 064129 16 05/16/2006   501-7310-583.42-03  COMPUTER EQUIPMENT                       576.00

171009059      PI2185 064216 16 05/16/2006   501-7410-584.25-31  COMPUTER EQUIPMENT                       627.00

                                                                        VENDOR TOTAL *                  1,318.20

0011908   VAN-WALL EQUIPMENT OF KC

75116          009480        16 05/16/2006   001-4550-595.25-31  SCARIFIER/RAKE                           750.25

                                                                        VENDOR TOTAL *                    750.25

0011919   SERVICEMASTER CLEANSWEEP JANITORIAL

767            PI2276 063864 16 05/16/2006   501-7310-583.33-09  WINDOW WASHING SERVICE                 1,235.00

764            000730        16 05/16/2006   503-2300-563.26-09  CLEANING SERVICES-0406                   131.00

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    34

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0011919   SERVICEMASTER CLEANSWEEP JANITORIAL

766            009814        16 05/16/2006   504-3200-579.26-04  CLEANING SERVICES                        225.00

                                                                        VENDOR TOTAL *                  1,591.00

0011941   HOME DEPOT-CREDIT SERVICES

8028664        000874        16 05/16/2006   001-4530-593.40-15  BOLTS/UBOLTS/CLAMPS                        4.70

6068913        000875        16 05/16/2006   001-4530-593.40-20  HSKY ELECTRIC/ORGANIZER                   44.95

9028552        000876        16 05/16/2006   001-4530-593.40-07  PAINT                                      3.26

0028385        000827        16 05/16/2006   001-4540-594.25-31  TENSION/FAST SET                          38.44

5012254        000828        16 05/16/2006   001-4550-595.40-14  MISC SUPPLIES                            103.57

3011879        001143        16 05/16/2006   001-4550-595.42-09  TRASH CAN/STAND/CORDS                     73.59

5021332        001144        16 05/16/2006   001-4550-595.42-09  TOOL CABINET                             249.00

8012594        000873        16 05/16/2006   212-4800-598.42-09  STRAPS/RAFTIES                            71.98

6028887        PI2292 064409 16 05/16/2006   501-7410-584.25-38  MISC. HARDWARE ITEMS                      92.48

                                                                        VENDOR TOTAL *                    681.97

0011971   AB DATA LTD

FI051506EM     001145        16 05/16/2006   501-1069-559.34-02  POSTAGE ADVANCEMENT                   30,000.00

                                                                        VENDOR TOTAL *                 30,000.00

0011989   PENTON TECHNOLOGY MEDIA

03642890       000731        16 05/16/2006   001-1070-557.22-02  iSERIES NEWS                             149.00

                                                                        VENDOR TOTAL *                    149.00

0012001   CHATS

MC051106CS     001026        16 05/16/2006   705-0000-214.02-00  APF                                      675.00

                                                                        VENDOR TOTAL *                    675.00

0012001   KAYCEE L ZELLER

2003TR2012286MS001027        16 05/16/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                 10.00

                                                                        VENDOR TOTAL *                     10.00

0012001   GASTON A NAVA

2006TR0000653LP001028        16 05/16/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                 20.00

                                                                        VENDOR TOTAL *                     20.00

0012001   JUSTIN J MONTOYA

2004TR0000873MS001029        16 05/16/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                  8.00

                                                                        VENDOR TOTAL *                      8.00

0012001   JESSICA M CHAPMAN

2006TR0004050IN001030        16 05/16/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                  5.00

                                                                        VENDOR TOTAL *                      5.00

0012001   THOMAS DICKERSON

2006CR0000947  001031        16 05/16/2006   705-0000-208.00-00  BOND REFUND                              200.00

                                                                        VENDOR TOTAL *                    200.00

0012001   RENEE S CALDWELL

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    35

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0012001   RENEE S CALDWELL

2006CR0000687AC001032        16 05/16/2006   705-0000-208.00-00  BOND REFUND                               50.00

                                                                        VENDOR TOTAL *                     50.00

0012001   RENEE S CALDWELL

2006CR0000688AC001033        16 05/16/2006   705-0000-208.00-00  BOND REFUND                              122.00

                                                                        VENDOR TOTAL *                    122.00

0012001   RICHARD L BROWN

2002TR2024751OI001034        16 05/16/2006   705-0000-208.00-00  BOND REFUND                              150.00

                                                                        VENDOR TOTAL *                    150.00

0012001   BRANDON M JOHNSON

2004TR2015124MS001035        16 05/16/2006   705-0000-208.00-00  BOND REFUND                              112.00

                                                                        VENDOR TOTAL *                    112.00

0012001   SAMUEL FOSTER

2005CR0001704  001036        16 05/16/2006   705-0000-208.00-00  BOND REFUND                               72.00

                                                                        VENDOR TOTAL *                     72.00

0012001   SAMUEL FOSTER

2005CR0001442  001037        16 05/16/2006   705-0000-208.00-00  BOND REFUND                              142.00

                                                                        VENDOR TOTAL *                    142.00

0012011   CESARE CATERING

PR051106FD     PI2350 064016 16 05/16/2006   001-4510-591.33-09  GROUNDS MAINTENANCE                    1,500.00

UT050906CS     000796        16 05/16/2006   501-7100-580.23-02  CATERING                                 375.00

                                                                        VENDOR TOTAL *                  1,875.00

0012054   PROGRESSIVE ELECTRONICS

0089284IN      000973        16 05/16/2006   001-3410-574.26-09  ALARM SERVICES                           905.00

                                                                        VENDOR TOTAL *                    905.00

0012111   INDOFF, INC

701283         000025        16 05/16/2006   001-2144-561.40-01  MISC OFFICE SUPPLIES                     319.61

701282         000026        16 05/16/2006   001-2144-561.40-01  STAMPS                                     8.55

705074         PI2348 064651 16 05/16/2006   001-2144-561.40-01  FILE FOLDERS,REGULAR                   3,795.00

                                                                        VENDOR TOTAL *                  4,123.16

0012121   HAAG OIL

96450          PI2354 064593 16 05/16/2006   504-3200-579.40-28  GASOLINE,AUTOMOTIVE                   22,001.33

1727B          PI2355 064593 16 05/16/2006   504-3200-579.40-28  GASOLINE,AUTOMOTIVE                   19,311.94

                                                                        VENDOR TOTAL *                 41,313.27

0012144   SMITH STEEL AND SUPPLY, INC

17590          000181        16 05/16/2006   001-3000-570.40-15  TUBES/CHANNELS                           419.30

                                                                        VENDOR TOTAL *                    419.30

0012307   KJHK KANSAS UNION

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    36

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0012307   KJHK KANSAS UNION

PT050406WK     PI2182 063961 16 05/16/2006   210-1014-514.24-03  ADVERTISING/PUBLIC RELATI                250.00

                                                                        VENDOR TOTAL *                    250.00

0012317   TALLGRASS TECHNOLOGIES, INC

047581         PI2202 064441 16 05/16/2006   205-1000-510.60-08  COMPUTER EQUIPMENT                     7,761.00

                                                                        VENDOR TOTAL *                  7,761.00

0012320   SMART BUILDING SERVICE, LLC

1712           001038        16 05/16/2006   001-6300-503.33-09  CONTRACT CLEANING                        423.00

1712           001039        16 05/16/2006   631-6405-500.33-09  CONTRACT CLEANING                        423.00

                                                                        VENDOR TOTAL *                    846.00

0012320   SMART BUILDING SERVICE, LLC,CK GRP-0

1712           001042        16 05/16/2006   001-2200-562.33-09  CONTRACT CLEANING                        227.00

                                                                        VENDOR TOTAL *                    227.00

0012395   HURST GREENERY

6398           PI2331 063819 16 05/16/2006   001-4570-597.42-01  FLOWERS                                  648.96

6398           PI2332 063819 16 05/16/2006   216-4600-596.42-01  FLOWERS                                  649.04

                                                                        VENDOR TOTAL *                  1,298.00

0012427   SOFTWARE HOUSE INTERNATIONAL

C6B01          PI2194 064432 16 05/16/2006   001-1020-512.40-04  SOFTWARE LICENSE                         933.63

C1379          PI2192 064340 16 05/16/2006   001-1025-515.40-04  SOFTWARE LICENSE                       1,698.00

C6B01          PI2195 064432 16 05/16/2006   001-1025-515.40-04  SOFTWARE LICENSE                         466.81

CA886          PI2204 064509 16 05/16/2006   001-1030-531.40-04  SOFTWARE LICENSE                       2,334.90

C6B01          PI2196 064432 16 05/16/2006   001-1040-541.40-04  SOFTWARE LICENSE                         933.63

C6B01          PI2197 064432 16 05/16/2006   001-1050-542.40-04  SOFTWARE LICENSE                         466.81

C6B01          PI2198 064432 16 05/16/2006   001-1053-543.40-04  SOFTWARE LICENSE                       1,401.42

C6B01          PI2199 064432 16 05/16/2006   001-1060-551.40-04  SOFTWARE LICENSE                       1,401.42

CA886          PI2205 064509 16 05/16/2006   001-1070-557.40-04  SOFTWARE LICENSE                       1,401.19

CA886          PI2206 064509 16 05/16/2006   001-1080-522.40-04  SOFTWARE LICENSE                       2,802.37

CA886          PI2207 064509 16 05/16/2006   001-1090-521.40-04  SOFTWARE LICENSE                       1,867.44

C6B01          PI2200 064432 16 05/16/2006   001-2200-562.40-04  SOFTWARE LICENSE                       2,335.05

CA886          PI2208 064509 16 05/16/2006   001-6300-503.40-04  SOFTWARE LICENSE                       2,334.91

C6B01          PI2201 064432 16 05/16/2006   501-1069-559.40-04  SOFTWARE LICENSE                       1,868.23

CA886          PI2209 064509 16 05/16/2006   631-6405-502.40-04  SOFTWARE LICENSE                       1,401.19

                                                                        VENDOR TOTAL *                 23,647.00

0012484   LAWRENCE CVB

PR051206ES     PI2397 064665 16 05/16/2006   506-4900-599.24-01  ADVERTISING - DISPLAY                  1,000.00

                                                                        VENDOR TOTAL *                  1,000.00

0012526   HACKS OUTFITTERS

531661         000706        16 05/16/2006   501-7220-582.42-09  MISC ANIMAL SUPPLIES                     119.58

                                                                        VENDOR TOTAL *                    119.58

0012566   KANSAS PUBLIC RADIO

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    37

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0012566   KANSAS PUBLIC RADIO

107774         000707        16 05/16/2006   502-3530-573.23-03  ADS-30-00548214-004                      400.00

                                                                        VENDOR TOTAL *                    400.00

0012665   DISH NETWORK

7080545903-0406000797        16 05/16/2006   501-7100-580.42-03  ACCT 8255 70 708 0545903                   6.31

                                                                        VENDOR TOTAL *                      6.31

0012669   JIM'S TOOL SALES

15016          009629        16 05/16/2006   504-3200-579.40-20  MISC SUPPLIES                             94.97

                                                                        VENDOR TOTAL *                     94.97

0012718   MGI PROMOTIONS

20625          000798        16 05/16/2006   001-2200-562.37-03  T SHIRTS/LOGOS                           300.00

                                                                        VENDOR TOTAL *                    300.00

0012732   CNA SURETY

060170094522N  000732        16 05/16/2006   001-2120-561.27-09  BOND-0601 70094522N                       50.00

060170094550N  000734        16 05/16/2006   001-2120-561.27-09  BOND-0601 70094550N                       50.00

060170099110N  001146        16 05/16/2006   001-2120-561.27-09  BOND 0601 70099110N                       50.00

060170094535N  000735        16 05/16/2006   001-2141-561.27-09  BOND-0601 70094535N                       50.00

060170094530N  000733        16 05/16/2006   001-2144-561.27-09  BOND-0601 70094530N                       50.00

                                                                        VENDOR TOTAL *                    250.00

0012740   PRIDE PROMOTIONS

1052           000829        16 05/16/2006   001-4520-592.37-03  CLOTHING                                 119.52

1052           000830        16 05/16/2006   211-4080-590.37-03  CLOTHING                                 165.22

                                                                        VENDOR TOTAL *                    284.74

0012775   AVI SYSTEMS, INC

25316400       PI2279 064395 16 05/16/2006   501-7310-583.60-08  AUDIO/VISUAL                           5,293.00

                                                                        VENDOR TOTAL *                  5,293.00

0012801   SBC-TECH

ITC050106      000974        16 05/16/2006   001-2110-561.33-53  ACCT 913-145-0006-142-0                  240.00

9131350255-0406001040        16 05/16/2006   001-2150-561.34-01  ACCT 913 135-0255 495 6                    7.90

                                                                        VENDOR TOTAL *                    247.90

0012807   PENN CAMERA EXCHANGE

390414         000027        16 05/16/2006   001-2130-561.42-09  CAMERA SUPPLIES                           49.88

                                                                        VENDOR TOTAL *                     49.88

0012857   CLEAN DELIVERY

137147         000799        16 05/16/2006   001-2200-562.40-13  MISC SUPPLIES                            436.11

137156         000800        16 05/16/2006   001-2200-562.40-13  MISC SUPPLIES                             82.03

                                                                        VENDOR TOTAL *                    518.14

0012871   MEDTRAK SERVICES, LLC

COCR14         009874        16 05/09/2006   522-1055-545.12-10  VOID CK-WRONG AMOUNT            CHECK #:  297568            226.65

                                                                 REISSUED 5/16/06

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    38

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0012871   MEDTRAK SERVICES, LLC

COCR14         009874        16 05/16/2006   522-1055-545.12-10  CREDIT                                   226.65-

                                                                 REISSUED CK 297568

34720          009872        16 05/09/2006   522-1055-545.12-10  VOID CK-WRONG AMOUNT            CHECK #:  297568         45,360.34-

                                                                 REISSUED 5/16/06

34720          009872        16 05/16/2006   522-1055-545.12-10  PLAN 10000467                         45,084.24

                                                                 REISSUED CK 297568

34720          009873        16 05/09/2006   522-1055-545.12-11  VOID CK-WRONG AMOUNT            CHECK #:  297568            276.10-

                                                                 REISSUED 5/16/06

34720          009873        16 05/16/2006   522-1055-545.12-11  PLAN 10000467                            276.10

                                                                 REISSUED CK 297568

                                                                        VENDOR TOTAL *                 45,133.69          45,409.79-

0012964   TK PRINTING, INC

032942         PI2386        16 05/16/2006   521-0000-133.00-00  PAPER, COMPUTER/WORDPROCS                417.00

                                                                 PO NUM 064300

032943         PI2387        16 05/16/2006   521-0000-133.00-00  ENV GOLD SEAL #10                        220.00

                                                                 PO NUM 064360

                                                                        VENDOR TOTAL *                    637.00

0013000   SHERRY KAY

PR050806JH     000877        16 05/16/2006   211-4070-590.27-09  CLASS PRESENTATION                        30.00

                                                                        VENDOR TOTAL *                     30.00

0013008   M & R MOWING

PR050806MH     PI2333 063889 16 05/16/2006   001-4510-591.33-01  MOWING                                 2,156.00

PR050806MH     PI2335 064019 16 05/16/2006   216-4600-596.33-09  CONTRACT LABOR                         1,377.00

                                                                        VENDOR TOTAL *                  3,533.00

0013035   NATIONAL CITY GOLF FINANCE

4945704        PI2396 064487 16 05/16/2006   506-4910-599.26-09  GOLF COURSE EQUIPMENT                  6,336.79

                                                                        VENDOR TOTAL *                  6,336.79

0013091   ERMELING, MARGUERITE

PL051106SS-REIM001041        16 05/16/2006   001-1030-531.22-01  TRAVEL REIMBUSE-04/21/06                 211.34

                                                                        VENDOR TOTAL *                    211.34

0013150   MITCHELL 1

RL4025438      000879        16 05/16/2006   504-3200-579.40-04  RENEWAL-ACCT 250767                      447.30

                                                                        VENDOR TOTAL *                    447.30

0013204   KANSAS COMMUNICATIONS, INC

34391          007249        16 04/25/2006   506-4900-599.33-09  VOID CK-DUPLICATE PAYMENT       CHECK #:  296942             94.00-

                                                                 PER LETTER FROM VENDOR

                                                                        VENDOR TOTAL *                       .00              94.00-

0013253   IAFF FIREPAC

20060519       PR0519        16 05/16/2006   701-0000-203.20-09  PAYROLL SUMMARY                          119.29

                                                                        VENDOR TOTAL *                    119.29

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    39

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0013255   EMBROIDME

000010486      000801        16 05/16/2006   001-2200-562.37-03  UNIFORMS                                 430.70

                                                                        VENDOR TOTAL *                    430.70

0013269   MIDWEST LASER LEVELING

1983           PI2326 064120 16 05/16/2006   216-4600-596.33-09  INSURANCE                                998.81

                                                                        VENDOR TOTAL *                    998.81

0013290   RICOH CUSTOMER FINANCE CORP

8920005        PI2143 063773 16 05/16/2006   001-2200-562.26-01  COPY MACHINE PAYMENTS                    873.43

                                                                        VENDOR TOTAL *                    873.43

0013331   SCHLOTTERBACK, JACQUELINE

PR050506JE     000407        16 05/16/2006   211-4010-590.33-45  AEROBIC SUB                               20.00

                                                                        VENDOR TOTAL *                     20.00

0013334   SELECTRON TECHNOLOGIES, INC

2249           PI2144 064121 16 05/16/2006   205-1000-510.60-01  MISC COMPUTER EQUIPMENT                1,500.00

                                                                        VENDOR TOTAL *                  1,500.00

0013387   M6 CONCRETE ACCESSORIES, CO

0492942IN      000880        16 05/16/2006   001-4550-595.40-15  STAKE CHASERS                             49.75

                                                                        VENDOR TOTAL *                     49.75

0013392   CXT, INC

121226RI       PI2349 064010 16 05/16/2006   216-4600-596.60-04  RESTROOM RENOVATION                   13,485.00

                                                                        VENDOR TOTAL *                 13,485.00

0013396   RUESCHHOFF LOCKSMITH

11958          000182        16 05/16/2006   001-3400-574.26-09  ANNUAL ALARM INSPECTION                  119.00

                                                                        VENDOR TOTAL *                    119.00

0013428   BURRESS, DAVID

PL050906SS-REIM001147        16 05/16/2006   001-1030-531.22-01  TRAVEL REIMBURSE-04/21/06              1,130.63

                                                                        VENDOR TOTAL *                  1,130.63

0013429   HARRIS, LISA

PL050906SS-REIM001148        16 05/16/2006   001-1030-531.22-01  TRAVEL REIMBURSE-04/22/06                177.26

                                                                        VENDOR TOTAL *                    177.26

0013434   AMERICAN PLUS, INC

27399          009815        16 05/16/2006   501-7610-586.42-02  TRAFFIC CONES                            850.00

                                                                        VENDOR TOTAL *                    850.00

0013439   SCHAUNER, DAVID

CI051106DC-REIM001006        16 05/16/2006   001-1010-511.21-04  TRAVEL REIMBURSE-04/23/06                 31.25

                                                                        VENDOR TOTAL *                     31.25

0013448   SUTTON, SIDNEY J

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    40

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0013448   SUTTON, SIDNEY J

06COL2         009568        16 05/16/2006   001-1030-531.22-09  YOGA CLASSES                             120.00

                                                                        VENDOR TOTAL *                    120.00

0013466   OPTIMA BUS CORPORATION

34150          001162        16 05/19/2006   205-1000-510.60-07  TRANSIT BUSES                   CHECK #:    2804        269,601.00

                                                                 PO 064312

34151          001163        16 05/19/2006   205-1000-510.60-07  TRANSIT BUSES                   CHECK #:    2804        269,601.00

                                                                 PO 064312

34152          001164        16 05/19/2006   205-1000-510.60-07  TRANSIT BUSES                   CHECK #:    2804        269,601.00

                                                                 PO 064312

34153          001165        16 05/19/2006   205-1000-510.60-07  TRANSIT BUSES                   CHECK #:    2804        269,601.00

                                                                 PO 064312

                                                                        VENDOR TOTAL *                       .00       1,078,404.00

0013472   ALIENWARE CORP

246126         PI2295 064320 16 05/16/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   2,000.00

                                                                        VENDOR TOTAL *                  2,000.00

0013481   CORPORATE RESOURCE GROUP

902464         000028        16 05/16/2006   001-2120-561.24-01  BUSINESS CARDS IMPRINT                    21.00

                                                                        VENDOR TOTAL *                     21.00

0013485   BIRKEY'S CONSTRUCTION EQUIPMENT

T42208         000831        16 05/16/2006   506-4910-599.25-31  MISC SUPPLIES                            360.84

                                                                        VENDOR TOTAL *                    360.84

0013496   GOANS, MIKE

6011           009481        16 05/16/2006   001-6300-503.27-09  INSPECTIONS/REPORTS                      150.00

                                                                        VENDOR TOTAL *                    150.00

0013498   CELLULAR4LESS

56540          009482        16 05/16/2006   001-3400-574.25-31  HANDS FREE HEADSET                       109.99

                                                                        VENDOR TOTAL *                    109.99

0013512   KENNY, BRYAN

PW050406TB-REIM000408        16 05/16/2006   001-3200-572.33-13  UNIFORM REIMBURSEMENT                    294.69

                                                                        VENDOR TOTAL *                    294.69

0013513   WILLHOITE, TRACY

PW050406TB-REIM000409        16 05/16/2006   001-3400-574.40-24  UNIFORM REIMBURSEMENT                    111.96

                                                                        VENDOR TOTAL *                    111.96

0013518   HERD, STANLEY J

CI051006DC     000881        16 05/16/2006   216-4600-596.60-19  WILDFLOWER MOSAIC RENEWAL              2,000.00

                                                                        VENDOR TOTAL *                  2,000.00

0013520   VENTURE PROPERTIES INC

UT050306DC     000975        16 05/16/2006   501-0000-342.30-00  101 T WINDSOR PL BLD BB                1,557.63

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    41

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 16

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0013520   VENTURE PROPERTIES INC

UT050306DC     000976        16 05/16/2006   501-0000-342.30-00  101 T WINDSOR PL BLD BB                1,174.05

                                                                        VENDOR TOTAL *                  2,731.68

0013525   PRICE, KIRSTEN

NR050106MS     009966        16 05/16/2006   607-6410-500.39-80  RENT-MAY 2006                            400.00

                                                                 REISSUED CK 297355

                                                                        VENDOR TOTAL *                    400.00

0015000   JENNIFER MOORE

041150         000977        16 05/16/2006   001-2200-562.70-00  AMB REFUND-02/22/06                      138.00

                                                                        VENDOR TOTAL *                    138.00

0015000   DAVID PETROCCHI

PE051106FR-REIM000978        16 05/16/2006   501-7100-580.22-02  DIRECTOR INTERVIEWS                      191.93

                                                                        VENDOR TOTAL *                    191.93

0015000   MARK EISENBARTH

PE051106FR-REIM000979        16 05/16/2006   501-7100-580.22-02  DIRECTOR INTERVIEWS                      451.21

                                                                        VENDOR TOTAL *                    451.21

                                16  CENTRAL NATIONAL BANK                 BANK TOTAL *              1,335,425.76       1,842,861.82

PREPARED 05/16/2006, 15:18:18                          EXPENDITURE APPROVAL LIST                                          PAGE    42

PROGRAM: GM339L                                            AS OF: 05/16/2006   CHECK DATE: 05/16/2006

CITY OF LAWRENCE, KANSAS

CENTRAL NATIONAL BANK                                          BANK: 17

------------------------------------------------------------------------------------------------------------------------------------

VEND NO   VENDOR NAME                                                                                                   EFT OR

 INVOICE      VOUCHER P.O.   BNK CHECK/DUE    ACCOUNT                ITEM                                 CHECK         HAND-ISSUED

   NO              NO   NO          DATE         NO               DESCRIPTION                           AMOUNT             AMOUNT

------------------------------------------------------------------------------------------------------------------------------------

0001112   CITY OF LAWRENCE

PD051606EM     001170        17 05/17/2006   652-2100-561.33-09  SEIZED MONEY DISTRIBUTION       CHECK #:       6          2,831.34

                                                                        VENDOR TOTAL *                       .00           2,831.34

0003563   DOUGLAS COUNTY SHERIFF DEPT.

PD051606EM     001169        17 05/17/2006   652-2100-561.33-09  SEIZED MONEY DISTRIBUTION       CHECK #:       5          1,886.00

                                                                        VENDOR TOTAL *                       .00           1,886.00

0003660   DOUGLAS CO. DISTRICT ATTORNEY

PD051606EM     001167        17 05/17/2006   652-2100-561.33-09  SEIZED MONEY DISTRIBUTION       CHECK #:       3          2,354.34

                                                                        VENDOR TOTAL *                       .00           2,354.34

0012444   KANSAS DEPT OF REVENUE-ALCOHOLIC

PD051606EM     001166        17 05/17/2006   652-2100-561.33-09  SEIZED MONEY DISTRIBUTION       CHECK #:       2         10,000.00

                                                                        VENDOR TOTAL *                       .00          10,000.00

0015000   1

PD051606EM     001168        17 05/17/2006   652-2100-561.33-09  SEIZED MONEY DISTRIBUTION       CHECK #:       4         35,000.00

                                                                        VENDOR TOTAL *                       .00          35,000.00

                                17  CENTRAL NATIONAL BANK                 BANK TOTAL *                       .00          52,071.68

                                                                   HAND ISSUED TOTAL ***                               1,894,933.50

                                                                  TOTAL EXPENDITURES ****           1,335,425.76       1,894,933.50

                                                      GRAND TOTAL ********************                                 3,230,359.26

                                                                     NUMBER OF VENDORS **                379