PREPARED 09/05/2006 16:43:28                           EXPENDITURE APPROVAL LIST

PROGRAM: GM339L                                       REPORT PARAMETER SELECTIONS

EAL DESCRIPTION:  EAL: 09052006 LOVE_K

VOUCHER SELECTION CRITERIA

   Voucher/discount due date  . . . . . . . . . . .  09/05/2006

   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  . . . . . . . . . . . . .  2006/08

   Check date . . . . . . . . . . . . . . . . . . .  09/05/2006

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     1

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0000116   BRIEN PLUMBING COMPANY

1464           PI4774 064794 16 09/05/2006   605-4300-593.33-09  PLUMBING                               4,883.23

1465           002934        16 09/05/2006   605-4300-593.33-09  BACK HOE LABOR                           550.00

                                                                 PO 064794

                                                                        VENDOR TOTAL *                  5,433.23

0000137   CONSECO HEALTH INSURANCE CO

20060908       PR0908        16 09/05/2006   701-0000-203.20-17  PAYROLL SUMMARY                          405.77

                                                                        VENDOR TOTAL *                    405.77

0000161   CHANEY INCORPORATED

098920         PI4763 064367 16 09/05/2006   501-7310-583.25-36  ELECTRICAL REPAIR SERVICE                136.49

                                                                        VENDOR TOTAL *                    136.49

0000225   DEEMS FARM EQUIPMENT INC

105826         PI4726 065222 16 09/05/2006   504-3200-579.40-26  AUTO & TRUCK PARTS                     1,172.82

                                                                        VENDOR TOTAL *                  1,172.82

0000334   HACH CO

4824764        002732        16 09/05/2006   501-7220-582.40-08  PH BUFFERS                               160.00

                                                                        VENDOR TOTAL *                    160.00

0000340   HAMPEL OIL, INC

27691          PI4725 065176 16 09/05/2006   001-4510-591.41-02  FUEL OIL,DIESEL                        1,893.65

                                                                        VENDOR TOTAL *                  1,893.65

0000383   INDUSTRIAL SALES COMPANY, INC

671054000      002840        16 09/05/2006   506-4910-599.40-22  MISC SUPPLIES                            468.88

                                                                        VENDOR TOTAL *                    468.88

0000463   WESTAR ENERGY,CK GRP-0

7050216804-0806002733        16 09/05/2006   001-3600-576.32-01  ELECTRIC SVC-7050216804                   32.30

                                                                        VENDOR TOTAL *                     32.30

0000487   RADIOLOGIC PROFESSIONAL SERVICES

ELLI071006     003008        16 09/05/2006   219-1054-544.36-01  WC Radiologist                            19.96

                                                                                10632

BARN08042006   003029        16 09/05/2006   219-1054-544.36-01  WC Radiologist                            19.96

                                                                                10605

CLEE080606     003035        16 09/05/2006   219-1054-544.36-01  WC Radiologist                            19.70

                                                                                10626

CLEE080606     003036        16 09/05/2006   219-1054-544.36-01  WC Radiologist                            21.47

                                                                                10626

                                                                        VENDOR TOTAL *                     81.09

0000512   REEVES-WIEDEMAN COMPANY

3160200        002842        16 09/05/2006   001-4540-594.40-22  PVC COUPLINGS/ELLS                        25.04

3162095        002841        16 09/05/2006   211-4080-590.40-22  PVC SUPPLIES                              32.44

                                                                        VENDOR TOTAL *                     57.48

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     2

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

SI9030184      002708        16 09/05/2006   001-1070-557.42-03  HARD DRIVE                                56.25

SI9030180      PI4723 065130 16 09/05/2006   001-1070-557.42-06  SERVER                                 4,236.00

SI9030272      002709        16 09/05/2006   001-2200-562.42-06  HARD DRIVE                               116.94

SI9030270      002710        16 09/05/2006   001-2200-562.42-06  HARD DRIVE                               138.69

SI9030182      PI4722 065129 16 09/05/2006   001-3100-571.42-06  SERVER                                 4,236.00

                                                                        VENDOR TOTAL *                  8,783.88

0000621   MISSISSIPPI LIME CO.

714581         PI4715 063741 16 09/05/2006   501-7220-582.40-08  LIME                                   2,361.82

714678         PI4716 063741 16 09/05/2006   501-7220-582.40-08  LIME                                   2,368.45

714501         PI4739 063741 16 09/05/2006   501-7220-582.40-08  LIME                                   2,369.39

                                                                        VENDOR TOTAL *                  7,099.66

0000630   LAWRENCE WINNELSON CO

14296300       002843        16 09/05/2006   211-4080-590.40-13  MISC SUPPLIES                             14.45

                                                                        VENDOR TOTAL *                     14.45

0000737   ONDEO NALCO

92788907       PI4720 065075 16 09/05/2006   501-7210-581.40-08  POLYMER                                8,276.72

92788907       PI4721 065075 16 09/05/2006   501-7210-581.40-08  POLYMER                                8,276.72

92788907       002901        16 09/05/2006   501-7210-581.40-08  DUPLICATE PAYMENT                      8,276.72-

                                                                 PO 065075

                                                                        VENDOR TOTAL *                  8,276.72

0000846   LAWRENCE ORTHOPAEDIC SURGERY

BARN081606     003048        16 09/05/2006   219-1054-544.36-01  WC Specialist Referral                    64.40

                                                                                10617

BARN081606     003049        16 09/05/2006   219-1054-544.36-01  WC Specialist Referral                    47.99

                                                                                10617

                                                                        VENDOR TOTAL *                    112.39

0000852   PC WORLD

IS082806RH     002711        16 09/05/2006   001-1070-557.22-02  SUBSCRIPTIONS RENEWAL                     24.95

                                                                        VENDOR TOTAL *                     24.95

0000861   PATCHEN ELEC & INDUST SUPPLY

40427          002734        16 09/05/2006   501-7210-581.25-31  MISC SUPPLIES                            257.11

41472          PI4765 064371 16 09/05/2006   501-7310-583.25-31  PUMPS                                     15.70

40541          PI4758 064381 16 09/05/2006   501-7410-584.25-31  PUMPS                                    408.36

41413          PI4767 064381 16 09/05/2006   501-7410-584.25-31  PUMPS                                     27.52

                                                                        VENDOR TOTAL *                    708.69

0000868   PENNY'S CONCRETE, INC.

258385         002844        16 09/05/2006   001-4570-597.42-01  DECO ROCK                                 37.63

                                                                        VENDOR TOTAL *                     37.63

0000892   PRICE'S APPLIANCE & REPAIR

4353           002735        16 09/05/2006   501-7220-582.25-31  IN SHOP CHARGE                            35.00

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     3

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0000892   PRICE'S APPLIANCE & REPAIR

                                                                        VENDOR TOTAL *                     35.00

0000947   BLUE CROSS AND BLUE SHIELD

PE090106EM     003075        16 08/30/2006   522-1055-545.12-05  STOPLOSS-GROUP 96080            CHECK #:    2880         88,114.51

PE090106EM     003076        16 08/30/2006   522-1055-545.12-05  DENTAL NONSTOPLOSS-96080        CHECK #:    2880          5,738.82

PE090106EM     003077        16 08/30/2006   522-1055-545.12-09  ADMIN EXP-GROUP 96080           CHECK #:    2880          3,679.05

                                                                        VENDOR TOTAL *                       .00          97,532.38

0000983   UNITED INDUSTRIES INC

46311          002736        16 09/05/2006   501-7220-582.25-31  TIMER MOTOR/FREIGHT                       58.38

                                                                        VENDOR TOTAL *                     58.38

0001019   WESTHEFFER COMPANY, INC.

310082         002845        16 09/05/2006   001-4570-597.40-08  BRASS SPRAY WAND                          17.68

                                                                        VENDOR TOTAL *                     17.68

0001022   WESTLAKE HARDWARE, INC

1462137        002737        16 09/05/2006   001-2200-562.25-36  FASTENERS                                  4.90

6548583        002764        16 09/05/2006   001-3400-574.40-20  MISC SUPPLIES                            103.39

6548997        002765        16 09/05/2006   001-3400-574.40-22  MISC SUPPLIES                             50.01

6549084        002766        16 09/05/2006   001-3400-574.40-28  MISC SUPPLIES                             74.41

1463143        002846        16 09/05/2006   001-4520-592.40-15  MISC SUPPLIES                             10.58

6547737        002935        16 09/05/2006   502-3520-572.40-32  MISC SUPPLIES                             44.88

                                                                        VENDOR TOTAL *                    288.17

0001030   WICHITA EAGLE-BEACON

6H140250       002767        16 09/05/2006   001-1053-543.24-03  ADS-CUST 42925                           189.59

                                                                        VENDOR TOTAL *                    189.59

0001085   SALISBURY SUPPLY, INC.

00609079       002875        16 09/05/2006   001-4560-596.42-03  MISC SUPPLIES                             11.34

                                                                        VENDOR TOTAL *                     11.34

0001112   CITY OF LAWRENCE,CK GRP-1

032030033      008735        16 08/31/2004   705-0000-214.05-00  RESTITUTION                     CHECK #:  269780            200.00-

                                                                 VOID CK-TRANSFER MONEY

                                                                        VENDOR TOTAL *                       .00             200.00-

0001200   CHEMSEARCH

285012         002876        16 09/05/2006   504-3200-579.40-33  MISC SUPPLIES                            769.69

                                                                        VENDOR TOTAL *                    769.69

0001214   LRM INDUSTRIES, INC.

100433         002712        16 09/05/2006   214-3800-578.45-01  CITY PAVING MIX                          298.60

100412         002713        16 09/05/2006   214-3800-578.45-01  CITY PAVING MIX/FIBERS                   636.19

100386         002714        16 09/05/2006   214-3800-578.45-01  CITY PAVING MIX                          413.44

100333         002715        16 09/05/2006   214-3800-578.45-01  CITY PAVING MIX                          524.37

100310         002716        16 09/05/2006   214-3800-578.45-01  CITY PATCH MIX/FIBERS                    271.43

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     4

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0001214   LRM INDUSTRIES, INC.

100362         PI4724 065149 16 09/05/2006   214-3800-578.45-01  CONCRETE-CUBIC YARDS                   1,110.01

100332         PI4718 064742 16 09/05/2006   501-7610-586.40-26  CONCRETE-CUBIC YARDS                     373.50

                                                                        VENDOR TOTAL *                  3,627.54

0001224   ICMA RETIREMENT TRUST - 457

20060908       PR0908        16 09/08/2006   001-1020-512.10-01  PAYROLL SUMMARY                 CHECK #:    2882            425.96

20060908       PR0908        16 09/08/2006   001-1080-522.10-01  PAYROLL SUMMARY                 CHECK #:    2882            411.77

20060908       PR0908        16 09/08/2006   701-0000-203.20-03  PAYROLL SUMMARY                 CHECK #:    2882         42,128.14

20060908       PR0908        16 09/08/2006   701-0000-203.20-03  PAYROLL SUMMARY                 CHECK #:    2882             80.02

                                                                        VENDOR TOTAL *                       .00          43,045.89

0001231   KANSAS PUBLIC EMPLOYEES

20060908       PR0908        16 09/08/2006   701-0000-203.20-10  PAYROLL SUMMARY                 CHECK #:    2883         77,057.25

20060908       PR0908        16 09/08/2006   701-0000-203.20-16  PAYROLL SUMMARY                 CHECK #:    2883            438.05

                                                                        VENDOR TOTAL *                       .00          77,495.30

0001232   MIDWEST REGIONAL CREDIT UNION

20060908       PR0908        16 09/05/2006   701-0000-203.20-08  PAYROLL SUMMARY                          869.60

                                                                        VENDOR TOTAL *                    869.60

0001235   LAWRENCE POLICE OFFICERS ASSOC

20060908       PR0908        16 09/05/2006   701-0000-203.20-20  PAYROLL SUMMARY                        1,217.16

                                                                        VENDOR TOTAL *                  1,217.16

0001236   FRATERNAL ORDER OF POLICE

20060908       PR0908        16 09/05/2006   701-0000-203.20-19  PAYROLL SUMMARY                        1,040.92

                                                                        VENDOR TOTAL *                  1,040.92

0001237   UNITED WAY OF DOUGLAS COUNTY

20060908       PR0908        16 09/05/2006   701-0000-203.20-04  PAYROLL SUMMARY                        1,012.21

                                                                        VENDOR TOTAL *                  1,012.21

0001238   KANSAS WITHHOLDING TAX

20060908       PR0908        16 09/08/2006   701-0000-204.40-00  PAYROLL SUMMARY                 CHECK #:    2884         63,355.21

20060908       PR0908        16 09/08/2006   701-0000-204.40-00  PAYROLL SUMMARY                 CHECK #:    2884             69.97

                                                                        VENDOR TOTAL *                       .00          63,425.18

0001247   LAWRENCE JOURNAL WORLD

10009598-PLA   002739        16 09/05/2006   001-1050-542.24-02  ADS CUST 10009598                         90.30

10009598-CCL   002740        16 09/05/2006   001-1050-542.24-02  ADS CUST 10009598                        354.30

RB0806         002768        16 09/05/2006   001-1050-542.24-02  SALES REBATE-10009598                    534.29-

10011350-PER   002877        16 09/05/2006   001-1053-543.24-03  ADS-CUST 10011350                        513.60

10009598-HAN   002738        16 09/05/2006   001-6300-503.33-44  ADS CUST 10009598                        141.30

                                                                        VENDOR TOTAL *                    565.21

0001255   LOCAL 1596

20060908       PR0908        16 09/05/2006   701-0000-203.20-18  PAYROLL SUMMARY                        2,083.96

20060908       PR0908        16 09/05/2006   701-0000-203.20-18  PAYROLL SUMMARY                           19.66

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     5

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0001255   LOCAL 1596

                                                                        VENDOR TOTAL *                  2,103.62

0001256   STORES FUND

NR082906LH     002717        16 09/05/2006   631-6406-502.25-31  CAR WASH TOKENS                           35.00

                                                                        VENDOR TOTAL *                     35.00

0001339   HERD, SANDRA E

FM082906MB-ADVA002878        16 09/05/2006   001-2200-562.22-01  TRAVEL ADVANCE-09/12/06                  350.00

FM082906MB-ADVA002879        16 09/05/2006   001-2200-562.21-04  TRAVEL ADVANCE-09/12/06                  180.00

                                                                        VENDOR TOTAL *                    530.00

0001388   LAWRENCE DOUGLAS CO HEALTH DEPT

000002181      PI4719 064895 16 09/05/2006   001-2200-562.33-42  PHYSICIAN SERVICES                        70.00

                                                                        VENDOR TOTAL *                     70.00

0001462   THOMAS, PEGGY

UT080906CS-ADVA002769        16 09/05/2006   501-7100-580.21-02  TRAVEL ADVANCE-09/13/06                   78.00

UT080906CS-ADVA002770        16 09/05/2006   501-7100-580.21-04  TRAVEL ADVANCE-09/13/06                  216.00

                                                                        VENDOR TOTAL *                    294.00

0001494   LANDPLAN ENGINEERING, P.A.

1              PI4781 065204 16 09/05/2006   400-3000-571.27-02  ENGINEERING                           22,969.86

1              PI4782 065205 16 09/05/2006   400-3000-571.27-02  ENGINEERING                           21,854.64

3              002771        16 09/05/2006   601-4100-591.33-09  FINAL DESIGN/PEPERATION                2,274.81

                                                                 PO 064163

                                                                        VENDOR TOTAL *                 47,099.31

0001534   GRAINGER

9169699379     PI4764 064368 16 09/05/2006   501-7310-583.25-31  MISC. HARDWARE ITEMS                     227.90

                                                                        VENDOR TOTAL *                    227.90

0001544   KANSAS POLICE & FIRE RETIREMEN

20060908       PR0908        16 09/08/2006   701-0000-203.20-11  PAYROLL SUMMARY                 CHECK #:    2885        132,926.84

20060908       PR0908        16 09/08/2006   701-0000-203.20-11  PAYROLL SUMMARY                 CHECK #:    2885            317.84

                                                                        VENDOR TOTAL *                       .00         133,244.68

0001566   IBT INC

4325310        PI4766 064379 16 09/05/2006   501-7410-584.25-31  PUMPS                                     26.75

4327474        002741        16 09/05/2006   501-7610-586.25-31  CASTERS                                   47.72

                                                                        VENDOR TOTAL *                     74.47

0001622   FEDERAL EXPRESS CORP

116606713      002772        16 09/05/2006   501-7410-584.33-07  SHIPPING CHARGES                          19.11

                                                                        VENDOR TOTAL *                     19.11

0001650   DOUGLAS COUNTY REGISTER OF

366046         002880        16 09/05/2006   631-6406-502.33-10  MORTGAGE/RELEASE                           7.00

366044         002881        16 09/05/2006   631-6406-502.33-10  MORTGAGE/RELEASE                           7.00

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     6

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0001650   DOUGLAS COUNTY REGISTER OF

366045         002882        16 09/05/2006   631-6406-502.33-10  MORTGAGE/RELEASE                           7.00

366043         002883        16 09/05/2006   631-6406-502.33-10  MORTGAGE/RELEASE                           7.00

366047         002884        16 09/05/2006   631-6406-502.33-10  MORTGAGE/RELEASE                          77.32

                                                                        VENDOR TOTAL *                    105.32

0001689   STATE TREASURER

FI090506EM     003078        16 09/01/2006   212-4800-598.81-01  GO BOND DEBT SERVICE            CHECK #:    2881      1,285,157.00

FI090506EM     003079        16 09/01/2006   212-4800-598.81-03  GO BOND DEBT SERVICE            CHECK #:    2881        257,337.50

FI090506EM     003080        16 09/01/2006   301-1066-556.81-01  GO BOND DEBT SERVICE            CHECK #:    2881      6,639,044.00

FI090506EM     003081        16 09/01/2006   301-1066-556.81-03  GO BOND DEBT SERVICE            CHECK #:    2881      1,092,330.78

FI090506EM     003082        16 09/01/2006   505-3900-579.81-01  GO BOND DEBT SERVICE            CHECK #:    2881      1,015,799.00

FI090506EM     003083        16 09/01/2006   505-3900-579.81-03  GO BOND DEBT SERVICE            CHECK #:    2881        151,802.50

FI090506EM     003084        16 09/01/2006   506-4900-599.81-01  GO BOND DEBT SERVICE            CHECK #:    2881        200,000.00

FI090506EM     003085        16 09/01/2006   506-4900-599.81-03  GO BOND DEBT SERVICE            CHECK #:    2881         19,775.50

                                                                        VENDOR TOTAL *                       .00      10,661,246.28

0001712   UNIVERSITY DAILY KANSAN, THE

22248          002885        16 09/05/2006   001-1053-543.24-03  ADS-ACCT LC0098                           35.00

                                                                        VENDOR TOTAL *                     35.00

0001721   KANSAS SECTION OF AWWA

UT083006CS     002773        16 09/05/2006   501-7100-580.22-01  REGISTRATION-M.BAKER                     110.00

UT083006CS     002774        16 09/05/2006   501-7100-580.22-01  REGISTRATION-P.CIELIELSKI                110.00

                                                                        VENDOR TOTAL *                    220.00

0001867   MOBILE LOCKSMITH SHOP

11997          002718        16 09/05/2006   001-1070-557.27-09  DUPLICATE KEYS                            18.92

7073           002719        16 09/05/2006   001-1070-557.27-09  DUPLICATE KEYS                           108.16

                                                                        VENDOR TOTAL *                    127.08

0001904   NORTH LAWRENCE IMPROVEMENT

NR082906MS     002886        16 09/05/2006   631-6406-501.37-07  NEWSLETTER-FALL/WINTER 06                297.34

NR082906MS     002887        16 09/05/2006   631-6406-501.37-07  MISC SUPPLIES                             36.18

NR082906MS     002888        16 09/05/2006   631-6406-501.37-07  MISC SUPPLIES                             21.46

                                                                        VENDOR TOTAL *                    354.98

0002072   KANSAS STATE ASSOC OF FIRE CHIEFS

FM082106RP     001933        16 08/29/2006   001-2200-562.22-01  VOID CK-VNDR SDB 13606          CHECK #:  302992            570.00-

                                                                 AMNT CHANGED-REISS 9/5/06

                                                                        VENDOR TOTAL *                       .00             570.00-

0002246   KANSAS DEPARTMENT HEALTH AND

FI083106EM     002902        16 09/05/2006   501-7700-587.81-01  PROJ-C20 1260-01                     994,882.43

FI083106EM     002903        16 09/05/2006   501-7700-587.81-03  PROJ-C20 1260-01                     564,258.16

FI083106EM     002904        16 09/05/2006   501-7700-587.81-04  PROJ-C20 1260-01                      44,220.86

                                                                        VENDOR TOTAL *              1,603,361.45

0002724   HEGEMAN, MICHAEL

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     7

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0002724   HEGEMAN, MICHAEL

UT080406CS-ADVA002775        16 09/05/2006   501-7100-580.21-02  TRAVEL ADVANCE-09/13/06                   78.00

UT080406CS-ADVA002776        16 09/05/2006   501-7100-580.21-04  TRAVEL ADVANCE-09/13/06                  216.00

                                                                        VENDOR TOTAL *                    294.00

0002901   NOWAK CONSTRUCTION CO INC

3              PI4717 064668 16 09/05/2006   501-7800-588.60-30  WATER LINE CONSTRUCTION              634,966.98

                                                                        VENDOR TOTAL *                634,966.98

0003272   SCOTTSDALE INSURANCE COMPANY

043602         PI4772 065224 16 09/05/2006   208-1054-544.35-02  INSURANCE                             14,090.21

                                                                        VENDOR TOTAL *                 14,090.21

0003362   SWARTS, MARGENE K

NR083006VT-REIM002905        16 09/05/2006   631-6406-500.22-01  TRAINING REIMBURSEMENT                    53.46

                                                                        VENDOR TOTAL *                     53.46

0003615   DPC INDUSTRIES INC

8170177906     PI4760 063729 16 09/05/2006   501-7310-583.40-08  CHLORINE                               4,064.26

8170181606     PI4761 063729 16 09/05/2006   501-7310-583.40-08  CHLORINE                               4,114.31

                                                                        VENDOR TOTAL *                  8,178.57

0003824   NAPC MEMBERSHIP

PL083006SS     002742        16 09/05/2006   001-1030-531.39-13  MEMBERSHIP-L.ZOLLNER                     130.00

                                                                        VENDOR TOTAL *                    130.00

0003969   O'REILLY AUTOMOTIVE, INC.

0140484181     002889        16 09/05/2006   504-3200-579.40-26  SPARK PLUGS                               36.64

                                                                        VENDOR TOTAL *                     36.64

0003987   RAND MATERIALS HANDLING EQUIP.

1008317385     002847        16 09/05/2006   504-3200-579.40-26  MISC SUPPLIES                            662.17

1008330819     002848        16 09/05/2006   504-3200-579.40-26  CREDIT-ORDER SC00099688                  574.00-

                                                                        VENDOR TOTAL *                     88.17

0004085   CROSS-MIDWEST TIRE, INC.

KSLAW15303     002849        16 09/05/2006   504-3200-579.40-26  TRUBOLT                                   23.80

                                                                        VENDOR TOTAL *                     23.80

0004170   FASTENAL

KSOTT14237     PI4771 065169 16 09/05/2006   501-7310-583.25-31  NUTS, BOLTS, ETC.                        691.30

                                                                        VENDOR TOTAL *                    691.30

0004446   NICHOLS, JOHN O.

RM083006FR-REIM002777        16 09/05/2006   219-1054-544.36-09  MILEAGE REIMBURSEMENT                    129.20

                                                                        VENDOR TOTAL *                    129.20

0004567   LASER LOGIC INC

246511         002743        16 09/05/2006   001-1030-531.40-02  LASER CARTRIDGES                         687.98

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     8

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0004567   LASER LOGIC INC

246598         002779        16 09/05/2006   001-1053-543.40-01  LASER CARTRIDGE                          250.98

246619         002780        16 09/05/2006   001-1053-543.40-01  DRUM UNITS                               274.99

246627         002891        16 09/05/2006   001-4570-597.42-09  LASER CARTRIDGE                           53.00

246626         002778        16 09/05/2006   502-3530-573.40-01  LASER CARTRIDGE                           49.00

                                                                        VENDOR TOTAL *                  1,315.95

0004567   LASER LOGIC INC,CK GRP-0

246642         002890        16 09/05/2006   631-6406-500.40-01  LASER CARTRIDGE                           41.00

                                                                        VENDOR TOTAL *                     41.00

0004669   MIDWEST DOORS OF KANSAS, LLC

24504          002850        16 09/05/2006   502-3530-573.25-36  LABOR/SUPPLIES                           115.00

                                                                        VENDOR TOTAL *                    115.00

0004738   IMSA

9077           002781        16 09/05/2006   001-1053-543.24-03  ADS-ACCT 69326                           100.00

                                                                        VENDOR TOTAL *                    100.00

0005200   HELENA CHEMICAL CO

64135305       PI4780 065160 16 09/05/2006   216-4600-596.42-01  GRASS SEED                             4,158.00

                                                                        VENDOR TOTAL *                  4,158.00

0005462   GS ROBINS AND COMPANY

83061          PI4777 063813 16 09/05/2006   501-7220-582.40-08  POLYMER                                2,661.75

                                                                        VENDOR TOTAL *                  2,661.75

0005543   SMEAL FIRE APPARATUS CO

26303          002851        16 09/05/2006   504-3200-579.40-26  SEAT BELT ASSEMBLY                       139.86

                                                                        VENDOR TOTAL *                    139.86

0005668   JACOB, STEVE

PR082906MH-REIM002782        16 09/05/2006   001-4520-592.21-02  MILEAGE REIMBURSEMENT                    122.95

                                                                        VENDOR TOTAL *                    122.95

0005725   SOCIETY FOR HUMAN RESOURCE MGT

9000817251     002852        16 09/05/2006   001-1053-543.22-02  MEMBERSHIP-KAREN REED                    100.00

                                                                        VENDOR TOTAL *                    100.00

0005791   WOOSLEY, DAVID E.

PW082906CS-REIM002936        16 09/05/2006   001-3200-572.22-01  REGISTRATION REIMBURSE                   140.00

                                                                        VENDOR TOTAL *                    140.00

0005826   CAPITOL CONCRETE PRODUCTS CO.

L543408        002720        16 09/05/2006   214-3800-578.45-01  PRE MIX                                    4.70

L543383        002721        16 09/05/2006   214-3800-578.45-01  PRE MIX                                   23.50

                                                                        VENDOR TOTAL *                     28.20

0005987   MINUTEMAN PRESS

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE     9

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0005987   MINUTEMAN PRESS

27472          002744        16 09/05/2006   501-7100-580.40-01  BUSINESS CARDS                           237.80

                                                                        VENDOR TOTAL *                    237.80

0006305   MUNICIPAL EMERGENCY SERVICES

366171         002745        16 09/05/2006   001-2200-562.42-24  COVER ASSEMBLY                           113.37

                                                                        VENDOR TOTAL *                    113.37

0006352   LABELMASTER

G94568001      002722        16 09/05/2006   001-2160-561.43-00  BOOKS                                     30.85

                                                                        VENDOR TOTAL *                     30.85

0006727   CROWN CHEVROLET OLDSMOBILE TOYOTA

203070         002853        16 09/05/2006   504-3200-579.40-26  SENSORS/WIRE                             114.74

                                                                        VENDOR TOTAL *                    114.74

0006772   FIREFIGHTERS RELIEF ASSN.

20060908       PR0908        16 09/05/2006   701-0000-203.20-09  PAYROLL SUMMARY                        1,544.36

20060908       PR0908        16 09/05/2006   701-0000-203.20-09  PAYROLL SUMMARY                            3.02

                                                                        VENDOR TOTAL *                  1,547.38

0006773   FIREFIGHTERS MAINTENANCE FUND

20060908       PR0908        16 09/05/2006   701-0000-203.20-09  PAYROLL SUMMARY                          189.00

20060908       PR0908        16 09/05/2006   701-0000-203.20-09  PAYROLL SUMMARY                            1.50

                                                                        VENDOR TOTAL *                    190.50

0007042   KETTERMAN, ROBERT R.

RM083006FR-TTD 002783        16 09/05/2006   502-3520-572.13-01  TTD-08/20/06-09/02/06                    934.00

                                                                        VENDOR TOTAL *                    934.00

0007415   CORPORATE EXPRESS

72414446       002726        16 09/05/2006   001-1050-542.40-01  FILES/PENS/RULERS                         32.80

72624696       002892        16 09/05/2006   211-4000-590.40-01  PAPER/FILES                               90.94

72520384       002723        16 09/05/2006   505-3900-579.40-01  PENS/BOOKS/PAPER                          18.33

72520992       002724        16 09/05/2006   505-3900-579.40-01  CREDIT-72520384                            2.18-

72584879       002725        16 09/05/2006   505-3900-579.40-01  BOOK                                       2.18

                                                                        VENDOR TOTAL *                    142.07

0007424   CARQUEST AUTO PARTS,CK GRP-0

CM090106SS-0806PI4813 065098 16 09/05/2006   504-3200-579.40-26  AUTO & TRUCK PARTS                     2,660.36

                                                                        VENDOR TOTAL *                  2,660.36

0007790   CITY OF BALDWIN

760021202-0706 002784        16 09/05/2006   001-2200-562.32-01  UTILITIES-ACCT 760021202                 446.04

                                                                        VENDOR TOTAL *                    446.04

0007951   SA-SO COMPANY

4174649        002746        16 09/05/2006   001-2120-561.42-09  AUTO SAFETY KITS                          95.18

                                                                        VENDOR TOTAL *                     95.18

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    10

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0008016   FSB-PAYROLL TAXES

20060908       PR0908        16 09/08/2006   701-0000-204.10-00  PAYROLL SUMMARY                 CHECK #:    2886        114,224.50

20060908       PR0908        16 09/08/2006   701-0000-204.20-00  PAYROLL SUMMARY                 CHECK #:    2886         42,733.88

20060908       PR0908        16 09/08/2006   701-0000-204.20-00  PAYROLL SUMMARY                 CHECK #:    2886             45.30

20060908       PR0908        16 09/08/2006   701-0000-204.30-00  PAYROLL SUMMARY                 CHECK #:    2886        175,584.56

20060908       PR0908        16 09/08/2006   701-0000-204.30-00  PAYROLL SUMMARY                 CHECK #:    2886            189.05

20060908       PR0908        16 09/08/2006   701-0000-204.35-00  PAYROLL SUMMARY                 CHECK #:    2886            227.41-

                                                                        VENDOR TOTAL *                       .00         332,549.88

0008530   WEST GROUP

1000711167     002893        16 09/05/2006   631-6406-500.22-02  REPORTER SUB                           1,435.00

                                                                        VENDOR TOTAL *                  1,435.00

0008557   ALLAN OTT WELDING, INC.

6106           002856        16 09/05/2006   001-4560-596.33-09  REPAIR MOWER FRAME                       400.00

                                                                        VENDOR TOTAL *                    400.00

0008604   PERIDIAN GROUP

9366           PI4714 062506 16 09/05/2006   400-3000-571.27-02  GEOMETRIC IMPROVEMENTS                 1,905.00

                                                                        VENDOR TOTAL *                  1,905.00

0008691   GIL HEBARD GUNS

29092          002906        16 09/05/2006   001-2143-561.37-03  MISC SUPPLIES                            592.65

                                                                        VENDOR TOTAL *                    592.65

0008747   OFFICE DEPOT INC

348827289001   002747        16 09/05/2006   501-7110-580.42-09  MISC OFFICE SUPPLIES                      25.93

                                                                        VENDOR TOTAL *                     25.93

0008752   IKON OFFICE SOLUTIONS

5004143098     002727        16 09/05/2006   001-1050-542.26-01  COPIER RENTAL                            214.30

                                                                        VENDOR TOTAL *                    214.30

0008926   E-Z-GO TEXTRON FINANCIAL

01001001040401 PI4762 064164 16 09/05/2006   506-4900-599.26-09  GOLF COURSE EQUIPMENT                  7,159.18

                                                                        VENDOR TOTAL *                  7,159.18

0008975   TITLEIST

0518001        002785        16 09/05/2006   506-4900-599.47-11  MISC SUPPLIES                            167.40

                                                                        VENDOR TOTAL *                    167.40

0009040   PINE FAMILY FARM

13984          002857        16 09/05/2006   001-4570-597.42-01  SOD                                       52.50

14759          002786        16 09/05/2006   501-7610-586.40-26  STRAW                                    137.50

                                                                        VENDOR TOTAL *                    190.00

0009234   PROFESSIONAL ENGINEERING

605671         PI4713 061996 16 09/05/2006   400-3000-571.27-02  ENGINEERING                            1,036.55

605671         PI4737 061996 16 09/05/2006   400-3000-571.27-02  ENGINEERING                           41,926.90

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    11

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0009234   PROFESSIONAL ENGINEERING

605671         PI4750 064558 16 09/05/2006   400-3000-571.27-02  ENGINEERING                           20,110.73

                                                                        VENDOR TOTAL *                 63,074.18

0009500   DELL COMPUTER CORPORATION

P38225899      PI4751 064608 16 09/05/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                      60.44

P38226631      PI4752 064608 16 09/05/2006   205-1000-510.60-98  EMPLOYEE PURCHASE PC                   1,939.56

                                                                        VENDOR TOTAL *                  2,000.00

0009713   LINDYSPRING DRINKING WATER

1404269        002787        16 09/05/2006   502-3530-573.26-09  CUST 1404269                              40.49

184762         002788        16 09/05/2006   502-3530-573.26-09  FINANCE CHRG-CUST 1404269                   .50

183839         002789        16 09/05/2006   502-3530-573.26-09  CUST 1404269                               8.58

                                                                        VENDOR TOTAL *                     49.57

0009953   SABATINI ARCHITECTS INC

11019          PI4736 060831 16 09/05/2006   400-3000-571.27-04  ARCHITECTS                             1,987.37

                                                                        VENDOR TOTAL *                  1,987.37

0010030   BUSINESS HEALTH CENTER

78169          002859        16 09/05/2006   001-1053-543.27-09  MEDICAL SERVICES                          55.00

78169          002907        16 09/05/2006   001-2110-561.27-09  MEDICAL SERVICES                          55.00

78169          002858        16 09/05/2006   219-1054-544.36-01  MEDICAL SERVICES                           8.00

78273          002983        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10613

78287          002984        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10604

78161          002985        16 09/05/2006   219-1054-544.36-01  WC Impairment Determinatn                300.00

                                                                                10603

78174          002986        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10635

78174          002987        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10635

78107          002988        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       14.01

                                                                                10636

78107          002989        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10636

78107          002990        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10636

78107          002991        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       14.01

                                                                                10636

78107          002992        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10636

78107          002993        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10636

78107          002994        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       64.82

                                                                                10636

78107          002995        16 09/05/2006   219-1054-544.36-01  WC Radiology                             706.76

                                                                                10636

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    12

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0010030   BUSINESS HEALTH CENTER

78107          002996        16 09/05/2006   219-1054-544.36-01  WC Radiology                             763.85

                                                                                10636

78107          002997        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       14.01

                                                                                10636

78107          002998        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10636

78107          002999        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       17.08

                                                                                10636

78107          003000        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       64.82

                                                                                10636

78107          003001        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       17.08

                                                                                10636

78107          003002        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       14.01

                                                                                10636

78067          003003        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10624

78143          003004        16 09/05/2006   219-1054-544.36-01  WC ER Doctor                              33.82

                                                                                10625

78144          003005        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                 22.95

                                                                                10623

78214          003006        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10634

78410          003007        16 09/05/2006   219-1054-544.36-01  WC Radiology                             678.98

                                                                                10633

78419          003009        16 09/05/2006   219-1054-544.36-01  WC Radiology                              36.37

                                                                                10621

78065          003010        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                118.60

                                                                                10620

78354          003011        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10619

78064          003012        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                118.60

                                                                                10638

78364          003013        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10637

78165          003014        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                118.60

                                                                                10622

78200          003015        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                118.60

                                                                                10631

78201          003016        16 09/05/2006   219-1054-544.36-01  WC Radiology                              27.66

                                                                                10630

78302          003017        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10642

78335          003018        16 09/05/2006   219-1054-544.36-01  WC Emergency Room Expense                260.93

                                                                                10641

78335          003019        16 09/05/2006   219-1054-544.36-01  WC ER Doctor                              75.98

                                                                                10641

78336          003020        16 09/05/2006   219-1054-544.36-01  WC Emergency Room Expense                157.25

                                                                                10639

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    13

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0010030   BUSINESS HEALTH CENTER

78408          003021        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                  4.68

                                                                                10640

78408          003022        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                 57.16

                                                                                10640

78408          003023        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                 13.60

                                                                                10640

78257          003024        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                 99.45

                                                                                10615

78257          003025        16 09/05/2006   219-1054-544.36-01  WC Radiology                              29.93

                                                                                10615

78257          003026        16 09/05/2006   219-1054-544.36-01  WC Medical Equip/Supplies                 36.13

                                                                                10615

78279          003027        16 09/05/2006   219-1054-544.36-01  WC Medical Dir Office Vis                 64.39

                                                                                10614

78386          003028        16 09/05/2006   219-1054-544.36-01  WC Emergency Room Expense                 75.98

                                                                                10616

78262          003030        16 09/05/2006   219-1054-544.36-01  WC Radiology                              32.20

                                                                                10627

78262          003031        16 09/05/2006   219-1054-544.36-01  WC Radiology                              29.55

                                                                                10627

78262          003032        16 09/05/2006   219-1054-544.36-01  WC Emergency Room Expense                274.13

                                                                                10627

78315          003033        16 09/05/2006   219-1054-544.36-01  WC ER Doctor                              64.39

                                                                                10629

78432          003034        16 09/05/2006   219-1054-544.36-01  WC ER Doctor                              75.98

                                                                                10628

78100          003037        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       64.82

                                                                                10618

78100          003038        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10618

78100          003039        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10618

78100          003040        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10618

78100          003041        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10618

78100          003042        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10618

78100          003043        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10618

78100          003044        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10618

78100          003045        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       14.02

                                                                                10618

78100          003046        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       32.41

                                                                                10618

78100          003047        16 09/05/2006   219-1054-544.36-01  WC Physical Therapy                       30.66

                                                                                10618

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    14

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0010030   BUSINESS HEALTH CENTER

                                                                        VENDOR TOTAL *                  5,832.45

0010089   RICOH BUSINESS SYSTEMS

G08240016727   002896        16 09/05/2006   001-2200-562.26-05  COPIER RENTAL                            216.00

G08240016727   002894        16 09/05/2006   001-6300-503.26-09  COPIER RENTAL                            432.00

G08240016727   002895        16 09/05/2006   631-6406-500.26-09  COPIER RENTAL                            216.00

                                                                        VENDOR TOTAL *                    864.00

0010313   R & R COMMUNICATIONS, INC

2003797        002728        16 09/05/2006   001-6300-503.27-09  INSTALL LABOR                            480.00

                                                                        VENDOR TOTAL *                    480.00

0010333   VITO'S PLUMBING

6269           PI4757 064943 16 09/05/2006   501-7410-584.25-38  SEWER LINE REPAIRS                     4,740.89

6286           PI4759 065047 16 09/05/2006   501-7410-584.25-38  SEWER LINE REPAIRS                     3,837.20

                                                                        VENDOR TOTAL *                  8,578.09

0010659   LSA ASSOCIATES, INC

72131          PI4753 064780 16 09/05/2006   001-1030-531.27-02  CONSULTING                               567.50

72131          PI4754 064780 16 09/05/2006   641-8110-531.27-09  CONSULTING                             2,270.00

                                                                        VENDOR TOTAL *                  2,837.50

0010769   DOCUMENT PRODUCTS, INC

9846           002729        16 09/05/2006   001-1050-542.42-03  COPIER RENTAL                             29.00

                                                                        VENDOR TOTAL *                     29.00

0010825   CINGULAR WIRELESS

447490962-0806 002860        16 09/05/2006   001-3400-574.27-09  INV 44790962X08282006                     48.06

                                                                        VENDOR TOTAL *                     48.06

0010852   EXPRESS PERSONNEL SERVICES

947825402      PI4738 063417 16 09/05/2006   001-9800-531.33-31  TEMPORARY EMPLOYEES                       77.10

                                                                        VENDOR TOTAL *                     77.10

0010853   LANDLORDS OF LAWRENCE, INC

NR082906MS     002897        16 09/05/2006   631-6406-500.28-04  FINAL REPORT                           1,064.87

                                                                        VENDOR TOTAL *                  1,064.87

0011000   SOUTHARD ARVIE JR

000037585      UT            16 08/28/2006   501-0000-281.00-00  UB CR REFUND                             605.61

                                                                 000039957

                                                                        VENDOR TOTAL *                    605.61

0011000   SACRED SWORD

000002610      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000313418

                                                                        VENDOR TOTAL *                     41.02

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    15

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   BUFFALO WILD WINGS INC

000149120      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001                205.11

                                                                 000296544

                                                                        VENDOR TOTAL *                    205.11

0011000   BURT MARIEKE B

000029125      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000306510

                                                                        VENDOR TOTAL *                     41.02

0011000   JI YONG YEON

000095465      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000302222

                                                                        VENDOR TOTAL *                     41.02

0011000   JIN WONJIN

000096430      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000315072

                                                                        VENDOR TOTAL *                     41.02

0011000   YI LIN

000096835      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000316882

                                                                        VENDOR TOTAL *                     41.02

0011000   STARK WAYNETTE M

000031580      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000331558

                                                                        VENDOR TOTAL *                     41.02

0011000   PHULL RAVI

000047240      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000331416

                                                                        VENDOR TOTAL *                     41.02

0011000   ALBRITTON JEFF

000060745      UT            16 08/29/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0000                 41.02

                                                                 000310036

                                                                        VENDOR TOTAL *                     41.02

0011000   LAWRENCE LODGING LLC

000146300      UT            16 08/30/2006   501-0000-281.00-00  UB DEPOSIT REFUND -- 0001              3,076.67

                                                                 000290524

                                                                        VENDOR TOTAL *                  3,076.67

0011000   PICKERING BARBARA

000039915      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       18.07

                                                                 000284552

                                                                        VENDOR TOTAL *                     18.07

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    16

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   MAYHOOD JILLIAN J

000118125      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       52.87

                                                                 000337626

                                                                        VENDOR TOTAL *                     52.87

0011000   HENRY JAMES ROBERT

000120105      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       21.11

                                                                 000332990

                                                                        VENDOR TOTAL *                     21.11

0011000   FELIX ANTONIA

000155970      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       16.64

                                                                 000310872

                                                                        VENDOR TOTAL *                     16.64

0011000   ZHANG QIN

000151515      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       39.13

                                                                 000327216

                                                                        VENDOR TOTAL *                     39.13

0011000   KING CAMI R

000018175      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       11.86

                                                                 000321276

                                                                        VENDOR TOTAL *                     11.86

0011000   JENSEN SETH

000022275      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        2.58

                                                                 000325294

                                                                        VENDOR TOTAL *                      2.58

0011000   NAVARRO JACOB J

000021525      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        2.71

                                                                 000340236

                                                                        VENDOR TOTAL *                      2.71

0011000   LIBERTI PATRICK J

000000815      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       20.12

                                                                 000324538

                                                                        VENDOR TOTAL *                     20.12

0011000   WILSON ANDREW A

000001035      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       10.02

                                                                 000340926

                                                                        VENDOR TOTAL *                     10.02

0011000   SHURTZ TAD M

000122785      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        6.09

                                                                 000333346

                                                                        VENDOR TOTAL *                      6.09

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    17

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   FROELICH MARK A

000073360      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        9.75

                                                                 000343038

                                                                        VENDOR TOTAL *                      9.75

0011000   GUNTER TOMMY

000012755      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       19.24

                                                                 000294234

                                                                        VENDOR TOTAL *                     19.24

0011000   COOLEY SHAMUS M

000009645      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        8.21

                                                                 000323216

                                                                        VENDOR TOTAL *                      8.21

0011000   PAYNE JOSH A

000010240      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       80.14

                                                                 000327784

                                                                        VENDOR TOTAL *                     80.14

0011000   GOERDEL THOMAS F

000010235      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        7.20

                                                                 000336386

                                                                        VENDOR TOTAL *                      7.20

0011000   STILES NANCY A

000110830      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        3.14

                                                                 000340034

                                                                        VENDOR TOTAL *                      3.14

0011000   SWADE MICAH D

000044590      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       22.75

                                                                 000334374

                                                                        VENDOR TOTAL *                     22.75

0011000   REES SECILY

000045895      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       14.98

                                                                 000338408

                                                                        VENDOR TOTAL *                     14.98

0011000   BAYNHAM TANYA Y

000045645      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                      123.92

                                                                 000338764

                                                                        VENDOR TOTAL *                    123.92

0011000   FATOR GRANT

000047725      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       75.88

                                                                 000313818

                                                                        VENDOR TOTAL *                     75.88

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    18

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   WILSON MATT

000110890      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       35.58

                                                                 000314674

                                                                        VENDOR TOTAL *                     35.58

0011000   KROEKER ANDREW

000047515      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       26.02

                                                                 000325790

                                                                        VENDOR TOTAL *                     26.02

0011000   BACHRODT STEFAN M

000110935      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        6.65

                                                                 000336946

                                                                        VENDOR TOTAL *                      6.65

0011000   THAMES JAMES N

000050030      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       53.04

                                                                 000325794

                                                                        VENDOR TOTAL *                     53.04

0011000   BELKO BRIEN

000049500      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                      107.33

                                                                 000326714

                                                                        VENDOR TOTAL *                    107.33

0011000   BIGGINS BRANDON L

000054020      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       25.06

                                                                 000337170

                                                                        VENDOR TOTAL *                     25.06

0011000   FRIEDMAN DANIEL J

000136535      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       17.18

                                                                 000340004

                                                                        VENDOR TOTAL *                     17.18

0011000   EARLE JOSIAH

000053085      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       22.90

                                                                 000342070

                                                                        VENDOR TOTAL *                     22.90

0011000   GENTRY SIMON C

000051835      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        1.19

                                                                 000316856

                                                                        VENDOR TOTAL *                      1.19

0011000   SCHLIFE EVIE

000052890      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       19.59

                                                                 000345958

                                                                        VENDOR TOTAL *                     19.59

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    19

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   LUM JULIE R

000060545      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        8.12

                                                                 000296324

                                                                        VENDOR TOTAL *                      8.12

0011000   DIAZ GUSTAVO M

000056545      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       58.13

                                                                 000326816

                                                                        VENDOR TOTAL *                     58.13

0011000   CRETORS TOM

000056320      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       18.16

                                                                 000339320

                                                                        VENDOR TOTAL *                     18.16

0011000   BLAIR PAIGE M

000056580      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       10.84

                                                                 000339560

                                                                        VENDOR TOTAL *                     10.84

0011000   OVERSTREET MATTHEW W

000101225      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       57.10

                                                                 000314340

                                                                        VENDOR TOTAL *                     57.10

0011000   BENTEMAN LOGAN W

000083630      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       27.43

                                                                 000347460

                                                                        VENDOR TOTAL *                     27.43

0011000   BULL TRISTAN M

000107855      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       25.86

                                                                 000339880

                                                                        VENDOR TOTAL *                     25.86

0011000   SILVREMAN SCOTT R

000131185      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       58.22

                                                                 000335576

                                                                        VENDOR TOTAL *                     58.22

0011000   TIMLER DEREK

000132175      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       33.82

                                                                 000339984

                                                                        VENDOR TOTAL *                     33.82

0011000   LICHTENAUER HEATHER

000132180      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       38.80

                                                                 000340484

                                                                        VENDOR TOTAL *                     38.80

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    20

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   LUCKERT BRAD D

000132520      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        1.94

                                                                 000340542

                                                                        VENDOR TOTAL *                      1.94

0011000   ISRAEL JARRYD J

000135820      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       35.87

                                                                 000341716

                                                                        VENDOR TOTAL *                     35.87

0011000   FOY BRYAN K

000132160      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                         .04

                                                                 000344872

                                                                        VENDOR TOTAL *                       .04

0011000   HAWLEY JENNIFER M

000063965      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        3.78

                                                                 000290086

                                                                        VENDOR TOTAL *                      3.78

0011000   TIMMONS DAN S

000131370      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       38.08

                                                                 000303762

                                                                        VENDOR TOTAL *                     38.08

0011000   PARSONS BARBARA M

000131540      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       49.83

                                                                 000317170

                                                                        VENDOR TOTAL *                     49.83

0011000   GRIFFIN MARY KATHERINE

000064335      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        3.34

                                                                 000325566

                                                                        VENDOR TOTAL *                      3.34

0011000   LOPEZ PEDRO

000128040      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       21.56

                                                                 000325616

                                                                        VENDOR TOTAL *                     21.56

0011000   SUH EUNKYUNG

000063910      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        7.54

                                                                 000327020

                                                                        VENDOR TOTAL *                      7.54

0011000   SHVARTSMAN GARY

000131400      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       64.25

                                                                 000338084

                                                                        VENDOR TOTAL *                     64.25

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    21

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   WALTER ANDREW J

000063850      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       18.62

                                                                 000340400

                                                                        VENDOR TOTAL *                     18.62

0011000   BHAKTA JAY M

000064085      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       43.89

                                                                 000341804

                                                                        VENDOR TOTAL *                     43.89

0011000   GAYDUSEK DUSTIN

000117590      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       10.32

                                                                 000314160

                                                                        VENDOR TOTAL *                     10.32

0011000   ROSA ERIC

000143975      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       47.05

                                                                 000324040

                                                                        VENDOR TOTAL *                     47.05

0011000   CULWELL AARON H

000085875      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       58.02

                                                                 000334140

                                                                        VENDOR TOTAL *                     58.02

0011000   SPIRIT ENTERPRISES LC

000089720      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       17.42

                                                                 000251538

                                                                        VENDOR TOTAL *                     17.42

0011000   HOLLIDAY NICK J

000189255      UT            16 08/30/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        1.31

                                                                 000336838

                                                                        VENDOR TOTAL *                      1.31

0011000   CORDELL VIRGIL

000039975      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        4.90

                                                                 000317224

                                                                        VENDOR TOTAL *                      4.90

0011000   SMITH MARIE F

000039855      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       91.23

                                                                 000320064

                                                                        VENDOR TOTAL *                     91.23

0011000   HALLBERG RUSSELL

000039835      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       86.54

                                                                 000328484

                                                                        VENDOR TOTAL *                     86.54

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    22

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   PAINTER JONAH

000039810      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       13.29

                                                                 000330100

                                                                        VENDOR TOTAL *                     13.29

0011000   TURNER BENJAMIN L

000039985      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       72.67

                                                                 000332272

                                                                        VENDOR TOTAL *                     72.67

0011000   COOPER GERALD L

000039565      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       22.52

                                                                 000332324

                                                                        VENDOR TOTAL *                     22.52

0011000   MUSET MICHELE R

000039625      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       83.63

                                                                 000333702

                                                                        VENDOR TOTAL *                     83.63

0011000   CURTIS JR DAVID

000039820      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       25.76

                                                                 000336510

                                                                        VENDOR TOTAL *                     25.76

0011000   RIMEL VIRGINIA E

000040015      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       14.75

                                                                 000340128

                                                                        VENDOR TOTAL *                     14.75

0011000   BECKNER DORTHY A

000039480      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        4.59

                                                                 000342982

                                                                        VENDOR TOTAL *                      4.59

0011000   ALEGRIA ARNOLDO J

000008210      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       41.84

                                                                 000344394

                                                                        VENDOR TOTAL *                     41.84

0011000   KENNE JENNIFER

000105490      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       60.68

                                                                 000324998

                                                                        VENDOR TOTAL *                     60.68

0011000   ESCH S WYNN

000020865      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       21.83

                                                                 000054292

                                                                        VENDOR TOTAL *                     21.83

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    23

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   GANDARA TALBOT

000027145      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       25.32

                                                                 000320902

                                                                        VENDOR TOTAL *                     25.32

0011000   ROBINETT TRAVIS L

000000670      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       48.28

                                                                 000339176

                                                                        VENDOR TOTAL *                     48.28

0011000   KUBA TARA

000025325      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       86.70

                                                                 000307004

                                                                        VENDOR TOTAL *                     86.70

0011000   MCMANUS SARA M

000024985      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       14.16

                                                                 000339764

                                                                        VENDOR TOTAL *                     14.16

0011000   HANDLEY CHRIS R

000079950      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       10.14

                                                                 000314176

                                                                        VENDOR TOTAL *                     10.14

0011000   OGREN CAITLIN L

000071780      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       27.44

                                                                 000338100

                                                                        VENDOR TOTAL *                     27.44

0011000   DANON KATHERINE W

000045560      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       55.48

                                                                 000340956

                                                                        VENDOR TOTAL *                     55.48

0011000   IWANCZUK ILKA O

000047670      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       69.83

                                                                 000299914

                                                                        VENDOR TOTAL *                     69.83

0011000   LAMB WILLIAM M

000060885      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       51.04

                                                                 000299988

                                                                        VENDOR TOTAL *                     51.04

0011000   MITCHELL JEFFREY W

000115605      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       30.30

                                                                 000344682

                                                                        VENDOR TOTAL *                     30.30

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    24

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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   MOEDER JORDAN L

000063815      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       32.77

                                                                 000340792

                                                                        VENDOR TOTAL *                     32.77

0011000   KRIVOSHIA DAVID A

000118745      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       41.79

                                                                 000060212

                                                                        VENDOR TOTAL *                     41.79

0011000   BRITTINGHAM KYLE

000102360      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                        5.97

                                                                 000332458

                                                                        VENDOR TOTAL *                      5.97

0011000   HERNANDEZ JOSH S

000099475      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                      100.55

                                                                 000325186

                                                                        VENDOR TOTAL *                    100.55

0011000   BORNHOLDT MARGARET S

000087050      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       14.39

                                                                 000306430

                                                                        VENDOR TOTAL *                     14.39

0011000   RE TYLER C

000113235      UT            16 08/31/2006   501-0000-281.00-00  UB CR REFUND-FINALS                       64.68

                                                                 000317990

                                                                        VENDOR TOTAL *                     64.68

0011109   GENUINE PARTS CO (NAPA)-KC

348433         002861        16 09/05/2006   504-3200-579.40-26  DOME REPLACEMENT                           5.84

348845         002862        16 09/05/2006   504-3200-579.40-26  ECONLINE/PULLEY                           15.76

348857         002863        16 09/05/2006   504-3200-579.40-26  MISC AUTO SUPPLIES                        14.14

348872         002864        16 09/05/2006   504-3200-579.40-26  MISC AUTO SUPPLIES                        39.38

347894         002908        16 09/05/2006   504-3200-579.40-26  MISC SUPPLIES                            692.63

                                                                        VENDOR TOTAL *                    767.75

0011109   GENUINE PARTS CO (NAPA)-KC,CK GRP-0

CM082906SS-0806PI4769 065099 16 09/05/2006   504-3200-579.40-26  AUTO & TRUCK PARTS                     2,234.48

                                                                        VENDOR TOTAL *                  2,234.48

0011150   INGENIX

9052447        002755        16 09/05/2006   001-2200-562.22-03  MISC SUPPLIES                             98.90

                                                                        VENDOR TOTAL *                     98.90

0011190   LAWRENCE COFFEE SERVICE

22191          002748        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           24.00

22187          002749        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           24.00

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    25

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0011190   LAWRENCE COFFEE SERVICE

22188          002750        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           24.00

22189          002751        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           64.21

22174          002752        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           34.58

22190          002753        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           32.10

22170          002754        16 09/05/2006   001-2200-562.33-09  COFFEE SUPPLIES                           34.58

                                                                        VENDOR TOTAL *                    237.47

0011228   PRINTING TECHNOLOGIES, INC

9025           002285        16 08/29/2006   503-2300-563.24-01  VOID CK-VNDR SDB 13693          CHECK #:  303358          1,003.69-

                                                                 REISSUED 9/5/06

                                                                        VENDOR TOTAL *                       .00           1,003.69-

0011379   FANN, MASON

IS083006RH-REIM002790        16 09/05/2006   001-1070-557.21-02  MILEAGE REIMBURSEMENT                     23.59

                                                                        VENDOR TOTAL *                     23.59

0011388   KANSAS LOCAL TECHNICAL

TE082906DW     002865        16 09/05/2006   001-3200-572.40-19  WORKSHOP FEE-D. WOOSLEY                  150.00

                                                                        VENDOR TOTAL *                    150.00

0011417   ROLLINS, DANNY G

RM083006FR-TTD 002791        16 09/05/2006   502-3520-572.13-01  TTD-8/20/06-9/2/06                       851.96

                                                                        VENDOR TOTAL *                    851.96

0011529   CUTTING EDGE SOLUTIONS, INC

1072453        PI4730 065201 16 09/05/2006   001-1030-531.40-04  SOFTWARE MAINTENANCE                     179.14

1072453        PI4731 065201 16 09/05/2006   001-1050-542.40-04  SOFTWARE MAINTENANCE                     179.08

1072453        PI4728 065201 16 09/05/2006   001-1090-521.40-04  SOFTWARE MAINTENANCE                     990.00

1072453        PI4733 065201 16 09/05/2006   001-3100-571.40-04  SOFTWARE MAINTENANCE                     594.00

1072453        PI4729 065201 16 09/05/2006   001-6300-503.40-04  SOFTWARE MAINTENANCE                     179.10

1072453        PI4734 065201 16 09/05/2006   501-1069-559.40-04  SOFTWARE MAINTENANCE                     594.00

1072453        PI4732 065201 16 09/05/2006   505-3900-579.40-04  SOFTWARE MAINTENANCE                     179.08

                                                                        VENDOR TOTAL *                  2,894.40

0011601   MIDWEST VEHICLE PROFESSIONALS

06734          PI4735 065236 16 09/05/2006   001-2200-562.25-32  INSPECTION SERVICES                    1,600.37

                                                                        VENDOR TOTAL *                  1,600.37

0011675   HNTB CORPORATION

2140868DS001   PI4776 060897 16 09/05/2006   400-3000-571.27-02  ENGINEERING                           13,080.70

                                                                        VENDOR TOTAL *                 13,080.70

0011794   DAVIS, SUSAN J AND

RM090806FR-SDB 002792        16 09/05/2006   219-1054-544.36-10  WC-SPOUSAL BENEFIT                       732.00

                                                                        VENDOR TOTAL *                    732.00

0011860   WORLDS OF FUN/OCEANS OF FUN

PR082806FD     002730        16 09/05/2006   704-0000-347.70-00  WORLDS/OCEANS OF FUN-2006              8,702.50

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    26

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0011860   WORLDS OF FUN/OCEANS OF FUN

                                                                        VENDOR TOTAL *                  8,702.50

0011893   SBC DATACOM

171009856      002793        16 09/05/2006   501-7310-583.42-09  TRANSCEIVER MANUALS                      613.23

171009746      PI4727 064216 16 09/05/2006   501-7410-584.25-31  COMPUTER EQUIPMENT                     2,504.55

                                                                        VENDOR TOTAL *                  3,117.78

0011941   HOME DEPOT-CREDIT SERVICES

4025224        002866        16 09/05/2006   506-4910-599.45-01  SPLICER/CONCRETE                          31.75

                                                                        VENDOR TOTAL *                     31.75

0012001   MAHESH K KRISHMAN

2006TR0006984LP002867        16 09/05/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                  8.00

                                                                        VENDOR TOTAL *                      8.00

0012001   JOHN W WILKS

2006CR0000693CP002868        16 09/05/2006   705-0000-208.00-00  BOND REFUND                              182.00

                                                                        VENDOR TOTAL *                    182.00

0012001   AMERICAN FAMILY INSURANCE

2005TR0018854MS002869        16 09/05/2006   705-0000-214.05-00  RESTITUTION-D.PERRY                      150.00

                                                                        VENDOR TOTAL *                    150.00

0012001   MARK D WHITTEMORE

2006TF0002138LF002870        16 09/05/2006   705-0000-208.00-00  BOND REFUND                              158.00

                                                                        VENDOR TOTAL *                    158.00

0012001   MAHMOUD SEYEDI

2006PK0004055  002871        16 09/05/2006   001-0000-351.00-00  OVERPAYMENT OF FINES/COST                 30.00

                                                                        VENDOR TOTAL *                     30.00

0012001   RENEE CZARNIK

2006CR0000418AC006530        16 07/11/2006   705-0000-208.00-00  VOID CK-LOST                    CHECK #:  300526             30.00-

                                                                 REISSUED 9/5/06

                                                                        VENDOR TOTAL *                       .00              30.00-

0012001   RENEE CZARNIK

2006CR0000418AC006530        16 09/05/2006   705-0000-208.00-00  BOND REFUND                               30.00

                                                                 REISSUED CK 300526

                                                                        VENDOR TOTAL *                     30.00

0012361   CARTER ENERGY CORPORATION

102904         PI4755 065202 16 09/05/2006   504-3200-579.40-28  GASOLINE,AUTOMOTIVE                   18,924.13

102909         PI4756 065203 16 09/05/2006   504-3200-579.40-28  FUEL OIL,DIESEL                       21,112.97

                                                                        VENDOR TOTAL *                 40,037.10

0012378   UNIVAR

KC589881       PI4740 063753 16 09/05/2006   501-7210-581.40-08  SODIUM HEXAMETAPHOSPHATE               1,235.00

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    27

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0012378   UNIVAR

                                                                        VENDOR TOTAL *                  1,235.00

0012559   FLINT TRADING, INC

75548          PI4775 065241 16 09/05/2006   001-3200-572.40-07  SIGNS                                  1,050.74

                                                                        VENDOR TOTAL *                  1,050.74

0012601   GRAGG'S PAINT-LAWRENCE

302983         002756        16 09/05/2006   501-7220-582.25-31  MISC SUPPLIES                             59.85

                                                                        VENDOR TOTAL *                     59.85

0012611   INFORMATION SOLUTIONS GROUP LLC

ISGBR0035      002731        16 09/05/2006   001-1070-557.40-04  REPLACEMENT/UPDATES                      798.00

                                                                        VENDOR TOTAL *                    798.00

0012653   KLINGENBERG, GWEN

NR082906MS     002898        16 09/05/2006   631-6406-501.37-09  MISC SERVICES                            350.00

                                                                        VENDOR TOTAL *                    350.00

0012760   KANSAS BOARD OF TAX APPEALS

CC082906DT     003126        16 09/05/2006   001-1050-542.27-09  TAX EXEMPTION FEE                         50.00

                                                                        VENDOR TOTAL *                     50.00

0012841   T & J HOLDINGS

NR083106MS     PI4783 065266 16 09/05/2006   631-6406-502.64-02  NR LOAN PROGRAM                        3,450.00

                                                                        VENDOR TOTAL *                  3,450.00

0012857   CLEAN DELIVERY

138122         002757        16 09/05/2006   001-2200-562.40-13  MISC SUPPLIES                            133.15

138116         002758        16 09/05/2006   001-2200-562.40-13  MISC SUPPLIES                            173.81

138174         002759        16 09/05/2006   001-2200-562.40-13  MISC SUPPLIES                            272.54

138175         002760        16 09/05/2006   001-2200-562.40-13  MISC SUPPLIES                             90.01

                                                                        VENDOR TOTAL *                    669.51

0012893   COMPLETE CONSTRUCTION

NR082906MS     PI4778 065134 16 09/05/2006   631-6405-502.64-25  ACCESS IMPROVEMENTS                      223.89

NR082906MS     PI4779 065134 16 09/05/2006   631-6406-502.64-25  ACCESS IMPROVEMENTS                    3,761.11

                                                                        VENDOR TOTAL *                  3,985.00

0013000   DELMER GARRISON

414650-GARR    002761        16 09/05/2006   211-0000-347.11-00  SPECIAL EVENTS REFUND                    100.00

                                                                        VENDOR TOTAL *                    100.00

0013000   ZEHUA SHANG

414718-SHAN    002762        16 09/05/2006   211-0000-347.11-00  SPECIAL EVENTS REFUND                     20.00

                                                                        VENDOR TOTAL *                     20.00

0013000   RENEE CZARNIK

374974-CZAR    008556        16 04/25/2006   211-0000-347.15-20  VOID CK-LOST                    CHECK #:  296933             17.00-

                                                                 REISSUED 9/5/06

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    28

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0013000   RENEE CZARNIK

                                                                        VENDOR TOTAL *                       .00              17.00-

0013000   RENEE CZARNIK

374974-CZAR    008556        16 09/05/2006   211-0000-347.15-20  YOUTH SPORTS REFUND                       17.00

                                                                 REISSUED CK 296933

                                                                        VENDOR TOTAL *                     17.00

0013121   MCCAMMON, MATT

PR082806JE     002872        16 09/05/2006   211-4010-590.33-45  PRIVATE TENNIS INSTRUCTOR                 30.00

                                                                        VENDOR TOTAL *                     30.00

0013185   HANZLIK, TIMOTHY J

IS083006RH-REIM002794        16 09/05/2006   001-1070-557.21-02  MILEAGE REIMBUSEMENT                      95.23

                                                                        VENDOR TOTAL *                     95.23

0013253   IAFF FIREPAC

20060908       PR0908        16 09/05/2006   701-0000-203.20-09  PAYROLL SUMMARY                          119.29

                                                                        VENDOR TOTAL *                    119.29

0013256   LAWRENCE SPORTS CONNECTION

102            002795        16 09/05/2006   502-3530-573.23-03  ADVERTISING                              400.00

                                                                        VENDOR TOTAL *                    400.00

0013260   PRAIRIE PARK ELEMENTARY, PTA

PT082906CG     002873        16 09/05/2006   611-1014-514.24-03  ADVERTISING SPACE                        100.00

                                                                        VENDOR TOTAL *                    100.00

0013290   RICOH CUSTOMER FINANCE CORP

9137500        PI4741 063773 16 09/05/2006   001-2200-562.26-01  COPY MACHINE PAYMENTS                    801.55

                                                                        VENDOR TOTAL *                    801.55

0013396   RUESCHHOFF LOCKSMITH

13691          002874        16 09/05/2006   211-4080-590.33-09  ENTRY LEVER                              178.48

13690          PI4768 064919 16 09/05/2006   501-7310-583.42-09  SECURITY GATES/DOORS                   1,217.76

                                                                        VENDOR TOTAL *                  1,396.24

0013421   BOOSTER PRINT,CK GRP-0

523            PI4600        16 08/29/2006   211-4000-590.23-05  SHIRTS                          CHECK #:  303434             21.52-

                                                                 VOID CK-DUPLICATE PYMNT

524            PI4603        16 08/29/2006   211-4000-590.23-05  SHIRTS                          CHECK #:  303434             48.75-

                                                                 VOID CK-DUPLICATE PYMNT

525            PI4606        16 08/29/2006   211-4000-590.23-05  SHIRTS                          CHECK #:  303434             35.83-

                                                                 VOID CK-DUPLICATE PYMNT

523            PI4601        16 08/29/2006   211-4020-590.40-23  SHIRTS                          CHECK #:  303434             62.24-

                                                                 VOID CK-DUPLICATE PYMNT

524            PI4604        16 08/29/2006   211-4020-590.40-23  SHIRTS                          CHECK #:  303434            140.95-

                                                                 VOID CK-DUPLICATE PYMNT

525            PI4607        16 08/29/2006   211-4020-590.40-23  SHIRTS                          CHECK #:  303434            103.59-

                                                                 VOID CK-DUPLICATE PYMNT

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    29

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0013421   BOOSTER PRINT,CK GRP-0

523            PI4602        16 08/29/2006   211-4060-590.23-05  SHIRTS                          CHECK #:  303434             22.94-

                                                                 VOID CK-DUPLICATE PYMNT

524            PI4605        16 08/29/2006   211-4060-590.23-05  SHIRTS                          CHECK #:  303434             51.95-

                                                                 VOID CK-DUPLICATE PYMNT

525            PI4608        16 08/29/2006   211-4060-590.23-05  SHIRTS                          CHECK #:  303434             38.18-

                                                                 VOID CK-DUPLICATE PYMNT

                                                                        VENDOR TOTAL *                       .00             525.95-

0013456   KH LANDSCAPING/HAVERKAMP LAWN SERVI

UT082906CS     PI4742 064254 16 09/05/2006   501-7210-581.33-09  MOWING                                    90.00

UT082906CS     PI4744 064254 16 09/05/2006   501-7210-581.33-09  MOWING                                    67.50

UT082906CS     PI4746 064254 16 09/05/2006   501-7210-581.33-09  MOWING                                    90.00

UT082906CS     PI4748 064254 16 09/05/2006   501-7210-581.33-09  MOWING                                    81.00

UT082906CS     PI4743 064254 16 09/05/2006   501-7220-582.33-09  MOWING                                   110.00

UT082906CS     PI4745 064254 16 09/05/2006   501-7220-582.33-09  MOWING                                    82.50

UT082906CS     PI4747 064254 16 09/05/2006   501-7220-582.33-09  MOWING                                   110.00

UT082906CS     PI4749 064254 16 09/05/2006   501-7220-582.33-09  MOWING                                    99.00

                                                                        VENDOR TOTAL *                    730.00

0013606   2006 KSAFC CONFERENCE

FM082106RP     001933        16 09/05/2006   001-2200-562.22-01  REGISTRATION FEES                        455.00

                                                                 REISSUED CK 302992

                                                                        VENDOR TOTAL *                    455.00

0013637   KRISHTALKA, BETH F

PE072406DC-ADVA002796        16 09/05/2006   001-1020-512.21-03  TRAVEL ADVANCE-09/09/06                  207.10

                                                                        VENDOR TOTAL *                    207.10

0013640   BARBER ELECTRIC MFG CO INC

31237          PI4770 065119 16 09/05/2006   501-7410-584.25-31  MISC ELECTRICAL SUPPLIES                 218.98

                                                                        VENDOR TOTAL *                    218.98

0013671   KAUFFMAN, CHRISTOPHER P DC

06340000       002899        16 09/05/2006   219-1054-544.36-01  MEDICAL SERVICES                         439.02

06340000       002900        16 09/05/2006   219-1054-544.36-01  MEDICAL SERVICES                          60.98

                                                                        VENDOR TOTAL *                    500.00

0013672   GOURLEY, TROY

20060908       PR0908        16 09/05/2006   001-2200-562.10-01  PAYROLL SUMMARY                        1,985.50

20060908       PR0908        16 09/05/2006   001-2200-562.10-01  PAYROLL SUMMARY                           20.00

20060908       PR0908        16 09/05/2006   001-2200-562.10-07  PAYROLL SUMMARY                          140.00

                                                                        VENDOR TOTAL *                  2,145.50

0013686   PERFORMANCE ADVANTAGE COMPANY

0011910IN      002763        16 09/05/2006   001-2200-562.25-32  FREIGHT                                   38.85

                                                                        VENDOR TOTAL *                     38.85

0013688   FIRST STATE BANK & TRUST

PREPARED 09/05/2006, 16:43:28                          EXPENDITURE APPROVAL LIST                                          PAGE    30

PROGRAM: GM339L                                            AS OF: 09/05/2006   CHECK DATE: 09/05/2006

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

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

0013688   FIRST STATE BANK & TRUST

RM083006LC     PI4773 065252 16 09/05/2006   208-1054-544.35-02  LIABILITY CLAIMS                       1,110.00

                                                                        VENDOR TOTAL *                  1,110.00

0013690   MCCARTNEY, JUDI

RM083006LC-REIM002797        16 09/05/2006   219-1054-544.36-01  PRESCRIPTION REIMBURSE                    10.25

                                                                        VENDOR TOTAL *                     10.25

0013693   PARKING TECH

9025           002285        16 09/05/2006   503-2300-563.24-01  MISC SUPPLIES                          1,003.69

                                                                 REISSUED CK 303358

                                                                        VENDOR TOTAL *                  1,003.69

0015000   FIRST MANAGEMENT, INC.

                             16 08/30/2006   501-0000-212.10-00  MR DEP REFUND                            200.00

                                                                        VENDOR TOTAL *                    200.00

0015000   RIVERFRONT LLC

FI082906EM     002798        16 09/05/2006   001-0000-361.00-00  RIVERFRONT LEASE REFUND               31,925.99

                                                                        VENDOR TOTAL *                 31,925.99

0021000   STAN TREKELL CONSTRUCTION

BI080906BW-STAN002221        16 08/29/2006   001-6300-503.33-09  VOID CK PER BARRY WALTHAL       CHECK #:  303458            200.00-

                                                                 CUSTOMER NOT WANTING CK

                                                                        VENDOR TOTAL *                       .00             200.00-

                                16  CENTRAL NATIONAL BANK                 BANK TOTAL *              2,607,859.22      11,405,992.95

                                                                   HAND ISSUED TOTAL ***                              11,405,992.95

                                                                  TOTAL EXPENDITURES ****           2,607,859.22      11,405,992.95

                                                      GRAND TOTAL ********************                                14,013,852.17

                                                                     NUMBER OF VENDORS **                265