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File #: 15-0470    Version: 1
Type: Report Status: Filed
File created: 4/28/2015 In control: Finance Committee
On agenda: 5/7/2015 Final action: 5/7/2015
Title: Report on Cash Disbursements for the Month of March 2015, in the amount of $51,827,045.87
Attachments: 1. 15-0470 March 2015 Cash Disbursements Summary
TRANSMITTAL LETTER FOR BOARD MEETING OF MAY 7, 2015
 
COMMITTEE ON FINANCE
 
Mr. David St. Pierre, Executive Director
 
Title
Report on Cash Disbursements for the Month of March 2015, in the amount of $51,827,045.87
Body
 
Dear Sir:
 
Submitted herewith are the Cash Disbursements for the Month of March 2015.
 
 
Corporate Fund      $13,677,830.88
 
Capital Improvements Bond Fund        36,451,194.59
 
All Other Funds          1,698,020.40
 
Total Disbursements      $51,827,045.87
 
The Chairman of the Committee on Finance submits the following Cash Disbursements Report for acceptance by the Board of Commissioners.  JP Morgan Chase check series 379104 through 380096 as well as electronic vendor payments, both as referenced on Cash Disbursements Report pages 1-34 are included in the attached report.
 
Pursuant to 70 ILCS 2605 11.23, the Comptroller shall conduct audits of all expenditures incident to all purchase orders and contracts awarded by the Director of Procurement and Materials Management.  The Comptroller shall report the results of such audits to the President of the Board of Commissioners.  As a result, it is requested that the Board of Commissioners accept the Cash Disbursements Report and direct the Clerk to publish and file the report.
 
Respectfully Submitted, Matthew Glavas, Comptroller
 
Attachment