32
Program: FIN1300 09-11-2018 1:17 PM 189-902 Date Run: Cnty Dist: From 08-01-2018 To 08-31-2018 PRESIDIO ISD Check Payments Check Nbr File ID: 8 For the Month of August Amount Payee PO Nbr Reason Fnd-Fnc-Obj.So-Org-Prog Invoice Nbr Page: 1 of 32 Check Date EFT 001337 795.00 08-23-2018 THE BANK OF NEW YOR 039802 ADMINISTRATION FEES 599-71-6599.00-999-899000 252-2130210 N 001338 416,283.00 08-28-2018 GENERAL OPERATING F 039855 TO CORRECT WIRE TRANSFER 599-00-1108.00-000-800000 N 005570 45.00 08-21-2018 DON JOSE PANADERIA 117901 SWEET BREAD FOR INSERVICE 865-00-2190.08-000-800000 10 N 100.00 117904 SWEET BREAD FOR INSERVICE 865-00-2190.82-000-800000 11 N 145.00 Totals for Check 005570 005571 1,294.00 08-21-2018 TECH-MESH APPAREL, L 117002 ATHLETIC CLOTHES 2018-2019 865-00-2190.39-000-800000 5306/5307 N 005572 184.95 08-21-2018 PARTNERS IN LEARNIN 117003 CC GIRLS STATE BANNER 2017 865-00-2190.39-000-800000 2003344 N 005573 2,398.60 08-23-2018 LIFETOUCH NSS ACCTS 117661 2018 YEARBOOK PAYMENT 865-00-2190.01-000-800000 12583218 N 005574 183.70 08-28-2018 GENERAL OPERATING F 039805 TRANSFER INTEREST EARNED 865-00-2171.00-000-800000 39805 N 005575 1,840.13 08-31-2018 ARES SPORTSWEAR 117963 WARM UPS FOR PHS CC GIRLS 865-00-2190.39-000-800000 546752 N 005576 980.00 08-31-2018 LUCY FERGUSON 118008 MARFA LIGHTS PERFORMANCE 865-00-2190.36-000-800000 118008 N 005577 87.34 08-31-2018 PORTER'S THRIFTWAY 117903 CONDIMENTS FOR STAFF MEETI 865-00-2190.08-000-800000 117903 N 005578 1,145.50 08-31-2018 TECH-MESH APPAREL, L 117544 PHS/FMS WORKOUT CLOTHES 865-00-2190.39-000-800000 29_Jul N 005579 363.76 08-31-2018 CARD SERVICE CENTER 117844 LODGING TIP CLUB 865-00-2190.35-000-800000 117844 N 658.68 117850 T.I.P. SIX FLAGS TRIP 865-00-2190.35-000-800000 117850 N 1,022.44 Totals for Check 005579 005580 1,000.00 08-31-2018 PRESIDIO EDUCATION F 039955 ERIC TURNER SCHOLARSHIP 876-00-2190.03-000-800000 39955 N 1,030.00 039955 A. RENTERIA SCHOLARSHIP 876-00-2190.05-000-800000 39955 N 675.00 039955 SCHOLARSHIPS 876-00-2190.08-000-800000 39955 N 4,910.00 039955 W. SOZA SCHOLARSHIP 876-00-2190.19-000-800000 39955 N 1,420.74 039955 MIGRANT SCHOLARSHIPS 876-00-2190.27-000-800000 39955 N 300.00 039955 ADM LOZANO SCHOLARSHIP 876-00-2190.28-000-800000 39955 N 127.40 039955 FERGUSON FAMILY SCHOLARSHI 876-00-2190.44-000-800000 39955 N 437.50 039955 BO COFFMAN SCHOLARSHIP 876-00-2190.61-000-800000 39955 N 1,000.00 039955 KLEINMAN SCHOLARSHIP 876-00-2190.65-000-800000 39955 N 10,900.64 Totals for Check 005580 007255 14,637.13 08-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS 101-00-2177.99-000-800000 N 007261 60.34 08-08-2018 PAYROLL FUND 039836 AUG. 02, 2018 MEDICARE TAX 101-35-6141.00-001-899000 N 48.92 039836 AUG. 02, 2018 MEDICARE TAX 101-35-6141.00-041-899000 N 81.31 039836 AUG. 02, 2018 MEDICARE TAX 101-35-6141.00-101-899000 N 4.47 039836 AUG. 02, 2018 MEDICARE TAX 101-51-6141.00-001-899000 N 8.24 039836 AUG. 02, 2018 MEDICARE TAX 101-51-6141.00-101-899000 N 203.28 Totals for Check 007261 007262 14,637.21 08-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS 101-00-2177.99-000-800000 N 007263 463.90 08-15-2018 CITY OF PRESIDIO 039899 WATER SERVICE 101-51-6255.00-101-899000 PRESIDIO ISD N 007264 701.80 08-15-2018 PAYROLL FUND 039884 JULY 2018 TRS GRANT & CARE 101-35-6146.00-001-899000 39884 N 564.38 039884 JULY 2018 TRS GRANT & CARE 101-35-6146.00-041-899000 39884 N 941.94 039884 JULY 2018 TRS GRANT & CARE 101-35-6146.00-101-899000 39884 N 52.04 039884 JULY 2018 TRS GRANT & CARE 101-51-6146.00-001-899000 39884 N 96.46 039884 JULY 2018 TRS GRANT & CARE 101-51-6146.00-101-899000 39884 N 2,356.62 Totals for Check 007264

09-11-2018 1:17 PM 189-902 Check 00133708-23 …...Check Payments Check Nbr File ID: 8 For the Month of August Payee Amount PO Nbr Fnd-Fnc-Obj.So-Org-Prog Reason Invoice Nbr Page:

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Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 1 of 32

CheckDate EFT

001337 795.0008-23-2018 THE BANK OF NEW YOR 039802 ADMINISTRATION FEES599-71-6599.00-999-899000252-2130210 N

001338 416,283.0008-28-2018 GENERAL OPERATING F 039855 TO CORRECT WIRE TRANSFER599-00-1108.00-000-800000 N

005570 45.0008-21-2018 DON JOSE PANADERIA 117901 SWEET BREAD FOR INSERVICE865-00-2190.08-000-80000010 N

100.00117904 SWEET BREAD FOR INSERVICE865-00-2190.82-000-80000011 N

145.00Totals for Check 005570

005571 1,294.0008-21-2018 TECH-MESH APPAREL, L 117002 ATHLETIC CLOTHES 2018-2019865-00-2190.39-000-8000005306/5307 N

005572 184.9508-21-2018 PARTNERS IN LEARNIN 117003 CC GIRLS STATE BANNER 2017865-00-2190.39-000-8000002003344 N

005573 2,398.6008-23-2018 LIFETOUCH NSS ACCTS 117661 2018 YEARBOOK PAYMENT865-00-2190.01-000-80000012583218 N

005574 183.7008-28-2018 GENERAL OPERATING F 039805 TRANSFER INTEREST EARNED865-00-2171.00-000-80000039805 N

005575 1,840.1308-31-2018 ARES SPORTSWEAR 117963 WARM UPS FOR PHS CC GIRLS865-00-2190.39-000-800000546752 N

005576 980.0008-31-2018 LUCY FERGUSON 118008 MARFA LIGHTS PERFORMANCE865-00-2190.36-000-800000118008 N

005577 87.3408-31-2018 PORTER'S THRIFTWAY 117903 CONDIMENTS FOR STAFF MEETI865-00-2190.08-000-800000117903 N

005578 1,145.5008-31-2018 TECH-MESH APPAREL, L 117544 PHS/FMS WORKOUT CLOTHES865-00-2190.39-000-80000029_Jul N

005579 363.7608-31-2018 CARD SERVICE CENTER 117844 LODGING TIP CLUB865-00-2190.35-000-800000117844 N

658.68117850 T.I.P. SIX FLAGS TRIP865-00-2190.35-000-800000117850 N

1,022.44Totals for Check 005579

005580 1,000.0008-31-2018 PRESIDIO EDUCATION F 039955 ERIC TURNER SCHOLARSHIP876-00-2190.03-000-80000039955 N

1,030.00039955 A. RENTERIA SCHOLARSHIP876-00-2190.05-000-80000039955 N

675.00039955 SCHOLARSHIPS876-00-2190.08-000-80000039955 N

4,910.00039955 W. SOZA SCHOLARSHIP876-00-2190.19-000-80000039955 N

1,420.74039955 MIGRANT SCHOLARSHIPS876-00-2190.27-000-80000039955 N

300.00039955 ADM LOZANO SCHOLARSHIP876-00-2190.28-000-80000039955 N

127.40039955 FERGUSON FAMILY SCHOLARSHI876-00-2190.44-000-80000039955 N

437.50039955 BO COFFMAN SCHOLARSHIP876-00-2190.61-000-80000039955 N

1,000.00039955 KLEINMAN SCHOLARSHIP876-00-2190.65-000-80000039955 N

10,900.64Totals for Check 005580

007255 14,637.1308-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS101-00-2177.99-000-800000 N

007261 60.3408-08-2018 PAYROLL FUND 039836 AUG. 02, 2018 MEDICARE TAX101-35-6141.00-001-899000 N

48.92039836 AUG. 02, 2018 MEDICARE TAX101-35-6141.00-041-899000 N

81.31039836 AUG. 02, 2018 MEDICARE TAX101-35-6141.00-101-899000 N

4.47039836 AUG. 02, 2018 MEDICARE TAX101-51-6141.00-001-899000 N

8.24039836 AUG. 02, 2018 MEDICARE TAX101-51-6141.00-101-899000 N

203.28Totals for Check 007261

007262 14,637.2108-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS101-00-2177.99-000-800000 N

007263 463.9008-15-2018 CITY OF PRESIDIO 039899 WATER SERVICE101-51-6255.00-101-899000PRESIDIO ISD N

007264 701.8008-15-2018 PAYROLL FUND 039884 JULY 2018 TRS GRANT & CARE101-35-6146.00-001-89900039884 N

564.38039884 JULY 2018 TRS GRANT & CARE101-35-6146.00-041-89900039884 N

941.94039884 JULY 2018 TRS GRANT & CARE101-35-6146.00-101-89900039884 N

52.04039884 JULY 2018 TRS GRANT & CARE101-51-6146.00-001-89900039884 N

96.46039884 JULY 2018 TRS GRANT & CARE101-51-6146.00-101-89900039884 N

2,356.62Totals for Check 007264

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 2 of 32

CheckDate EFT

007265 412.9808-15-2018 PAYROLL FUND 039887 JULY 2018 TRS GRANT & CARE242-35-6146.00-999-89900039887 N

007266 21.4508-16-2018 PAYROLL FUND 039879 AUGUST 2018 EMPLOYEE LIFE IN101-35-6142.00-001-89900039879 N

19.50039879 AUGUST 2018 EMPLOYEE LIFE IN101-35-6142.00-041-89900039879 N

31.20039879 AUGUST 2018 EMPLOYEE LIFE IN101-35-6142.00-101-89900039879 N

1.95039879 AUGUST 2018 EMPLOYEE LIFE IN101-51-6142.00-001-89900039879 N

3.90039879 AUGUST 2018 EMPLOYEE LIFE IN101-51-6142.00-101-89900039879 N

78.00Totals for Check 007266

007267 112.3208-17-2018 PAYROLL FUND 039892 JULY 2018 TRS NON-OASDI EMP101-35-6146.00-001-89900039892 N

105.16039892 JULY 2018 TRS NON-OASDI EMP101-35-6146.00-041-89900039892 N

163.98039892 JULY 2018 TRS NON-OASDI EMP101-35-6146.00-101-89900039892 N

9.70039892 JULY 2018 TRS NON-OASDI EMP101-51-6146.00-001-89900039892 N

17.97039892 JULY 2018 TRS NON-OASDI EMP101-51-6146.00-101-89900039892 N

409.13Totals for Check 007267

007268 106.9008-17-2018 PAYROLL FUND 039896 JULY 2018 TRS NON-OASDI EMP242-35-6146.00-999-89900039896 N

007269 60.3408-17-2018 PAYROLL FUND 039900 AUG. 16, 2018 MEDICARE TAX101-35-6141.00-001-899000 N

81.31039900 AUG. 16, 2018 MEDICARE TAX101-35-6141.00-001-899000 N

48.92039900 AUG. 16, 2018 MEDICARE TAX101-35-6141.00-041-899000 N

4.47039900 AUG. 16, 2018 MEDICARE TAX101-51-6141.00-001-899000 N

8.24039900 AUG. 16, 2018 MEDICARE TAX101-51-6141.00-101-899000 N

203.28Totals for Check 007269

007270 65.4208-17-2018 PAYROLL FUND 039907 AUGUST 2018 TRS CONTR. .0055101-35-6146.00-001-899000 N

52.58039907 AUGUST 2018 TRS CONTR. .0055101-35-6146.00-041-899000 N

87.75039907 AUGUST 2018 TRS CONTR. .0055101-35-6146.00-101-899000 N

4.84039907 AUGUST 2018 TRS CONTR. .0055101-51-6146.00-001-899000 N

8.98039907 AUGUST 2018 TRS CONTR. .0055101-51-6146.00-101-899000 N

219.57Totals for Check 007270

007271 2,219.6408-21-2018 FINANCE CLEARING FU PA0826 FINANCE TRANSFERS101-00-2177.99-000-800000PA0826 N

007272 628.3108-21-2018 FINANCE CLEARING FU PA0826 FINANCE TRANSFERS242-00-2177.99-000-800000PA0826 N

007273 1,595.0008-27-2018 PAYROLL FUND 039914 AUG. H. INSURANCE101-35-6142.00-001-899000 N

1,160.00039914 AUG. H. INSURANCE101-35-6142.00-041-899000 N

2,320.00039914 AUG. H. INSURANCE101-35-6142.00-101-899000 N

145.00039914 AUG. H. INSURANCE101-51-6142.00-001-899000 N

290.00039914 AUG. H. INSURANCE101-51-6142.00-101-899000 N

5,510.00Totals for Check 007273

007274 3,618.4108-27-2018 GENERAL OPERATING F 039845 WORKERS COMPENSATION101-35-6143.00-001-89900039845 N

2,885.07039845 WORKERS COMPENSATION101-35-6143.00-041-89900039845 N

4,472.09039845 WORKERS COMPENSATION101-35-6143.00-101-89900039845 N

94.30039845 UNEMPLOYMENT COMPENSATIO101-35-6145.00-001-89900039845 N

75.19039845 UNEMPLOYMENT COMPENSATIO101-35-6145.00-041-89900039845 N

116.55039845 UNEMPLOYMENT COMPENSATIO101-35-6145.00-101-89900039845 N

258.89039845 WORKERS COMPENSATION101-51-6143.00-001-89900039845 N

480.94039845 WORKERS COMPENSATION101-51-6143.00-101-89900039845 N

6.75039845 UNEMPLOYMENT COMPENSATIO101-51-6145.00-001-89900039845 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 3 of 32

CheckDate EFT

12.53039845 UNEMPLOYMENT COMPENSATIO101-51-6145.00-101-89900039845 N

12,020.72Totals for Check 007274

007275 261.0808-27-2018 GENERAL OPERATING F 039846 WORKERS COMPENSATION242-35-6143.00-999-89900039846 N

6.80039846 UNEMPLOYMENT COMPENSATIO242-35-6145.00-999-89900039846 N

267.88Totals for Check 007275

007276 701.8008-28-2018 PAYROLL FUND 039926 JUNE TRS GRANT & CARE101-35-6146.00-001-899000 N

550.20039926 JUNE TRS GRANT & CARE101-35-6146.00-041-899000 N

941.94039926 JUNE TRS GRANT & CARE101-35-6146.00-101-899000 N

52.04039926 JUNE TRS GRANT & CARE101-51-6146.00-001-899000 N

96.46039926 JUNE TRS GRANT & CARE101-51-6146.00-101-899000 N

2,342.44Totals for Check 007276

007277 217.3508-28-2018 PAYROLL FUND 039929 JUNE TRS GRANT & CARE242-35-6146.00-999-899000 N

007278 105.5608-28-2018 PAYROLL FUND 039935 JUNE TRS NON-OASDI101-35-6146.00-001-899000 N

102.52039935 JUNE TRS NON-OASDI101-35-6146.00-041-899000 N

167.29039935 JUNE TRS NON-OASDI101-35-6146.00-101-899000 N

9.70039935 JUNE TRS NON-OASDI101-51-6146.00-001-899000 N

17.97039935 JUNE TRS NON-OASDI101-51-6146.00-101-899000 N

403.04Totals for Check 007278

007279 60.5508-28-2018 PAYROLL FUND 039939 JUNE TRS NON-OASDI242-35-6146.00-999-899000 N

007280 2,618.9808-31-2018 FINANCE CLEARING FU PA0829 FINANCE TRANSFERS101-00-2177.99-000-800000PA0829 N

007281 218.8908-31-2018 HERITAGE FOOD SERVI 039954 REPLACEMENT PARTS FOR WAR101-35-6342.00-001-8990000005188717-IN N

007282 516.0408-31-2018 CITY OF PRESIDIO 039956 WATER SERVICE101-51-6255.00-101-899000PRESIDIO ISD N

022680 9,883.5608-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS211-00-2177.99-000-800000 N

022681 1,973.9708-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS263-00-2177.99-000-800000 N

022682 942.3008-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS289-00-2177.99-000-900000 N

022691 20.1708-08-2018 PAYROLL FUND 039838 AUG. 02, 2018 MEDICARE TAX211-11-6141.00-001-830000 N

30.00039838 AUG. 02, 2018 MEDICARE TAX211-11-6141.00-041-830000 N

9.06039838 AUG. 02, 2018 MEDICARE TAX211-11-6141.00-101-830000 N

11.94039838 AUG. 02, 2018 MEDICARE TAX211-11-6141.00-101-830000 N

14.62039838 AUG. 02, 2018 MEDICARE TAX211-61-6141.00-001-830000 N

9.71039838 AUG. 02, 2018 MEDICARE TAX211-61-6141.00-041-830000 N

30.30039838 AUG. 02, 2018 MEDICARE TAX211-61-6141.00-101-830000 N

125.80Totals for Check 022691

022692 26.4808-08-2018 PAYROLL FUND 039839 AUG. 02, 2018 MEDICARE TAX263-11-6141.00-101-825000 N

022693 13.3808-08-2018 PAYROLL FUND 039840 AUG. 02, 2018 MEDICARE TAX289-21-6141.20-999-899000 N

022694 37.5408-08-2018 GENERAL OPERATING F 039796 WORKERS COMPENSATION289-11-6143.55-101-82500039796 N

9.49039796 UNEPMLOYMENT COMPENSATIO289-11-6145.55-101-82500039796 N

47.03Totals for Check 022694

022695 4,830.0908-09-2018 EL PASO ELECTRICIANS 117827 CHAPTER 133 FINAL BILLING289-11-6219.02-999-89900042811 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 4 of 32

CheckDate EFT

022696 9,883.3608-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS211-00-2177.99-000-800000 N

022697 238.7208-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS212-00-2177.99-000-800000 N

022698 500.0008-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS255-00-2177.99-000-800000 N

022699 1,973.7708-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS263-00-2177.99-000-800000 N

022700 942.3008-15-2018 PAYROLL FUND PT0814 PAYROLL TRANSFERS289-00-2177.99-000-900000 N

022701 29.6408-15-2018 PAYROLL FUND 039891 JULY 2018 TRS ABOVE STAT MIN289-21-6146.20-999-99900039891 N

022702 224.0008-15-2018 PAYROLL FUND 039885 JULY 2018 TRS GRANT & CARE211-11-6146.00-001-83000039885 N

342.60039885 JULY 2018 TRS GRANT & CARE211-11-6146.00-041-83000039885 N

399.46039885 JULY 2018 TRS GRANT & CARE211-11-6146.00-101-83000039885 N

143.48039885 JULY 2018 TRS GRANT & CARE211-12-6146.00-101-83000039885 N

167.20039885 JULY 2018 TRS GRANT & CARE211-61-6146.00-001-83000039885 N

128.90039885 JULY 2018 TRS GRANT & CARE211-61-6146.00-041-83000039885 N

342.20039885 JULY 2018 TRS GRANT & CARE211-61-6146.00-101-83000039885 N

1,747.84Totals for Check 022702

022703 26.5908-15-2018 PAYROLL FUND 039886 JULY 2018 TRS GRANT & CARE212-21-6146.00-999-82400039886 N

022704 317.8008-15-2018 PAYROLL FUND 039888 JULY 2018 TRS GRANT & CARE263-11-6146.00-101-82500039888 N

022705 151.7208-15-2018 PAYROLL FUND 039889 JULY 2018 TRS GRANT & CARE289-21-6146.20-999-99900039889 N

022706 3.9008-16-2018 PAYROLL FUND 039881 AUGUST 2018 EMPLOYEE LIFE IN211-11-6142.00-001-83000039881 N

7.54039881 AUGUST 2018 EMPLOYEE LIFE IN211-11-6142.00-041-83000039981 N

11.70039881 AUGUST 2018 EMPLOYEE LIFE IN211-11-6142.00-101-83000039981 N

3.90039881 AUGUST 2018 EMPLOYEE LIFE IN211-12-6142.00-101-83000039981 N

3.90039881 AUGUST 2018 EMPLOYEE LIFE IN211-61-6142.00-001-83000039981 N

3.90039881 AUGUST 2018 EMPLOYEE LIFE IN211-61-6142.00-041-83000039981 N

7.80039881 AUGUST 2018 EMPLOYEE LIFE IN211-61-6142.00-101-83000039981 N

42.64Totals for Check 022706

022707 9.7508-16-2018 PAYROLL FUND 039882 AUGUST 2018 EMPLOYEE LIFE IN263-11-6142.00-101-82500039882 N

022708 1.2508-16-2018 PAYROLL FUND 039883 AUGUST 2018 EMPLOYEE LIFE IN289-21-6142.20-999-99900039883 N

022709 41.7408-17-2018 PAYROLL FUND 039894 JULY 2018 TRS NON-OASDI EMP211-11-6146.00-001-83000039894 N

63.84039894 JULY 2018 TRS NON-OASDI EMP211-11-6146.00-041-83000039894 N

74.43039894 JULY 2018 TRS NON-OASDI EMP211-11-6146.00-101-83000039894 N

26.06039894 JULY 2018 TRS NON-OASDI EMP211-12-6146.00-101-83000039894 N

31.15039894 JULY 2018 TRS NON-OASDI EMP211-61-6146.00-001-83000039894 N

24.02039894 JULY 2018 TRS NON-OASDI EMP211-61-6146.00-041-83000039894 N

63.76039894 JULY 2018 TRS NON-OASDI EMP211-61-6146.00-101-83000039894 N

325.00Totals for Check 022709

022710 9.0908-17-2018 PAYROLL FUND 039895 JULY 2018 TRS NON-OASDI EMP212-21-6146.00-999-82400039895 N

022711 56.6208-17-2018 PAYROLL FUND 039897 JULY 2018 TRS NON-OASDI EMP263-11-6146.00-101-82500039897 N

022712 21.7308-17-2018 PAYROLL FUND 039898 JULY 2018 TRS NON-OASDI EMP289-21-6146.20-999-99900039898 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 5 of 32

CheckDate EFT

022713 20.1708-17-2018 PAYROLL FUND 039902 AUG. 16, 2018 MEDICARE TAX211-11-6141.00-001-830000 N

30.00039902 AUG. 16, 2018 MEDICARE TAX211-11-6141.00-041-830000 N

9.06039902 AUG. 16, 2018 MEDICARE TAX211-11-6141.00-101-830000 N

11.94039902 AUG. 16, 2018 MEDICARE TAX211-12-6141.00-101-830000 N

14.62039902 AUG. 16, 2018 MEDICARE TAX211-61-6141.00-001-830000 N

9.71039902 AUG. 16, 2018 MEDICARE TAX211-61-6141.00-041-830000 N

30.29039902 AUG. 16, 2018 MEDICARE TAX211-61-6141.00-101-830000 N

125.79Totals for Check 022713

022714 2.8908-17-2018 PAYROLL FUND 039903 AUG. 16, 2018 MEDICARE TAX212-21-6141.00-999-824000 N

022715 7.1008-17-2018 PAYROLL FUND 039904 AUG. 16, 2018 MEDICARE TAX255-11-6141.00-101-830000 N

022716 26.4808-17-2018 PAYROLL FUND 039905 AUG. 16, 2018 MEDICARE TAX263-11-6141.00-101-825000 N

022717 13.3808-17-2018 PAYROLL FUND 039906 AUG. 16, 2018 MEDICARE TAX289-21-6141.20-999-999000 N

022718 20.8608-17-2018 PAYROLL FUND 039909 AUGUST 2018 TRS CONTR. .0055211-11-6146.00-001-830000 N

31.92039909 AUGUST 2018 TRS CONTR. .0055211-11-6146.00-041-830000 N

22.64039909 AUGUST 2018 TRS CONTR. .0055211-11-6146.00-101-830000 N

13.36039909 AUGUST 2018 TRS CONTR. .0055211-12-6146.00-101-830000 N

15.58039909 AUGUST 2018 TRS CONTR. .0055211-61-6146.00-001-830000 N

12.00039909 AUGUST 2018 TRS CONTR. .0055211-61-6146.00-041-830000 N

31.88039909 AUGUST 2018 TRS CONTR. .0055211-61-6146.00-101-830000 N

148.24Totals for Check 022718

022719 1.7908-17-2018 PAYROLL FUND 039910 AUGUST 2018 TRS CONTR. .0055212-21-6146.00-999-824000 N

022720 3.7508-17-2018 PAYROLL FUND 039911 AUGUST 2018 TRS CONTR. .0055255-11-6146.00-101-830000 N

022721 29.6008-17-2018 PAYROLL FUND 039912 AUGUST 2018 TRS CONTR. .0055263-11-6146.00-101-825000 N

022722 14.1408-17-2018 PAYROLL FUND 039913 AUGUST 2018 TRS CONTR. .0055289-21-6146.20-999-999000 N

022723 1,973.2108-21-2018 FINANCE CLEARING FU PA0826 FINANCE TRANSFERS497-00-2177.99-000-800000PA0826 N

022724 115.3108-21-2018 FINANCE CLEARING FU PA0826 FINANCE TRANSFERS289-00-2177.99-000-900000PA0826 N

022725 962.8208-22-2018 PAYROLL FUND PT0827 PAYROLL TRANSFER211-00-2177.99-000-800000 N

022726 13.9608-22-2018 PAYROLL FUND 039919 AUG. 22, 2018 MEDICARE TAX211-11-6141.00-001-830000 N

022727 7.2208-22-2018 PAYROLL FUND 039921 08-22-18 TRS CONTR. .0055%211-11-6146.00-001-830000 N

022728 27,692.0008-23-2018 GENERAL OPERATING F 039798 RECLASSIFY R.AGUIRRE SALARY211-00-2171.00-000-70000039798 N

022729 3,373.5508-23-2018 GENERAL OPERATING F 039799 REIMBURSE FOR DUPLICATE TR497-00-2171.00-000-80000039799 N

022730 560.3108-27-2018 PAYROLL FUND 039916 AUG. H. INSURANCE211-11-6142.00-041-830000 N

580.00039916 AUG. H. INSURANCE211-11-6142.00-101-830000 N

290.00039916 AUG. H. INSURANCE211-12-6142.00-101-830000 N

290.00039916 AUG. H. INSURANCE211-61-6142.00-001-830000 N

290.00039916 AUG. H. INSURANCE211-61-6142.00-041-830000 N

290.00039916 AUG. H. INSURANCE211-61-6142.00-101-830000 N

2,300.31Totals for Check 022730

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 6 of 32

CheckDate EFT

022731 725.0108-27-2018 PAYROLL FUND 039917 AUG. H. INSURANCE263-11-6142.00-101-825000 N

022732 93.3108-27-2018 PAYROLL FUND 039918 AUG. H. INSURANCE289-21-6142.20-999-999000 N

022733 185.2108-27-2018 GENERAL OPERATING F 039847 WORKERS COMPENSATION211-11-6143.00-001-83000039847 N

229.92039847 WORKERS COMPENSATION211-11-6143.00-041-83000039847 N

348.04039847 WORKERS COMPENSATION211-11-6143.00-101-83000039847 N

6.08039847 WORKERS COMPENSATION211-11-6143.00-699-83000039847 N

6.65039847 WORKERS COMPENSATION211-11-6143.00-999-83000039847 N

3.44039847 WORKERS COMPENSATION211-11-6143.04-699-83000039847 N

6.45039847 WORKERS COMPENSATION211-11-6143.10-699-83000039847 N

46.80039847 UNEMPLOYMENT COMPENSATIO211-11-6145.00-001-83000039847 N

58.10039847 UNEMPLOYMENT COMPENSATIO211-11-6145.00-041-83000039847 N

87.94039847 UNEMPLOYMENT COMPENSATIO211-11-6145.00-101-83000039847 N

1.54039847 UNEMPLOYMENT COMPENSATIO211-11-6145.00-699-83000039847 N

1.68039847 UNEMPLOYMENT COMPENSATIO211-11-6145.00-999-83000039847 N

.87039847 UNEMPLOYMENT COMPENSATIO211-11-6145.04-699-83000039847 N

1.63039847 UNEMPLOYMENT COMPENSATIO211-11-6145.10-699-83000039847 N

82.04039847 WORKERS COMPENSATION211-12-6143.00-101-83000039847 N

1.03039847 WORKERS COMPENSATION211-12-6143.10-699-83000039847 N

20.73039847 UNEMPLOYMENT COMPENSATIO211-12-6145.00-101-83000039847 N

.26039847 UNEMPLOYMENT COMPENSATIO211-12-6145.10-699-83000039847 N

92.85039847 WORKERS COMPENSATION211-61-6143.00-001-83000039847 N

65.88039847 WORKERS COMPENSATION211-61-6143.00-041-83000039847 N

198.09039847 WORKERS COMPENSATION211-61-6143.00-101-83000039847 N

23.46039847 UNEMPLOYMENT COMPENSATIO211-61-6145.00-001-83000039847 N

16.65039847 UNEMPLOYMENT COMPENSATIO211-61-6145.00-041-83000039847 N

50.06039847 UNEMPLOYMENT COMPENSATIO211-61-6145.00-101-83000039847 N

1,535.40Totals for Check 022733

022734 52.3408-27-2018 GENERAL OPERATING F 039848 WORKERS COMPENSATION212-21-6143.00-999-82400039848 N

13.23039848 UNEMPLOYMENT COMPENSATIO212-21-6145.00-999-82400039848 N

65.57Totals for Check 022734

022735 9.2008-27-2018 GENERAL OPERATING F 039849 WORKERS COMPENSATION255-11-6143.00-001-83000039849 N

16.82039849 WORKERS COMPENSATION255-11-6143.00-041-83000039849 N

72.71039849 WORKERS COMPENSATION255-11-6143.00-101-83000039849 N

2.33039849 UNEMPLOYMENT COMPENSATIO255-11-6145.00-001-83000039849 N

4.25039849 UNEMPLOYMENT COMPENSATIO255-11-6145.00-041-83000039849 N

18.37039849 UNEMPLOYMENT COMPENSATIO255-11-6145.00-101-83000039849 N

123.68Totals for Check 022735

022736 179.3408-27-2018 GENERAL OPERATING F 039850 WORKERS COMPENSATION263-11-6143.00-101-82500039850 N

45.32039850 UNEMPLOYMENT COMPENSATIO263-11-6145.00-101-82500039850 N

224.66Totals for Check 022736

022737 1.0808-27-2018 GENERAL OPERATING F 039851 WORKERS COMPENSATION429-11-6143.00-101-79900039851 N

.27039851 UNEMPLOYMENT COMPENSATIO429-11-6145.00-101-79900039851 N

1.35Totals for Check 022737

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 7 of 32

CheckDate EFT

022738 838.3708-28-2018 PAYROLL FUND 039927 JUNE TRS GRANT & CARE211-11-6146.00-001-830000 N

720.16039927 JUNE TRS GRANT & CARE211-11-6146.00-041-830000 N

1,673.43039927 JUNE TRS GRANT & CARE211-11-6146.00-101-830000 N

142.39039927 JUNE TRS GRANT & CARE211-11-6146.00-699-830000 N

31.76039927 JUNE TRS GRANT & CARE211-11-6146.00-999-830000 N

80.50039927 JUNE TRS GRANT & CARE211-11-6146.04-699-830000 N

120.75039927 JUNE TRS GRANT & CARE211-11-6146.10-699-830000 N

143.48039927 JUNE TRS GRANT & CARE211-12-6146.00-101-830000 N

24.15039927 JUNE TRS GRANT & CARE211-12-6146.10-699-830000 N

167.20039927 JUNE TRS GRANT & CARE211-61-6146.00-001-830000 N

128.90039927 JUNE TRS GRANT & CARE211-61-6146.00-041-830000 N

332.68039927 JUNE TRS GRANT & CARE211-61-6146.00-101-830000 N

4,403.77Totals for Check 022738

022739 56.2908-28-2018 PAYROLL FUND 039928 JUNE TRS GRANT & CARE212-21-6146.00-999-824000 N

022740 317.8008-28-2018 PAYROLL FUND 039930 JUNE TRS GRANT & CARE263-11-6146.00-101-825000 N

022741 9.6608-28-2018 PAYROLL FUND 039931 JUNE TRS GRANT & CARE289-11-6146.55-101-825000 N

151.72039931 JUNE TRS GRANT & CARE289-21-6146.20-999-899000 N

161.38Totals for Check 022741

022742 372.8708-28-2018 GENERAL OPERATING F 039806 TRANSFER INTREST EARNED200-00-2171.00-000-80000039806 N

022743 660.8008-28-2018 PAYROLL FUND 039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.00-001-830000 N

547.89039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.00-041-830000 N

1,558.02039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.00-101-830000 N

1.76039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.00-699-830000 N

216.98039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.00-999-830000 N

2.65039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.04-699-830000 N

6.73039933 JUNE TRS ABOVE STATE DISTRIB211-11-6146.10-699-830000 N

2,994.83Totals for Check 022743

022744 10.4908-28-2018 PAYROLL FUND 039938 JUNE TRS NON-OASDI212-21-6146.00-999-824000 N

022745 55.4208-28-2018 PAYROLL FUND 039940 JUNE TRS NON-OASDI263-11-6146.00-101-825000 N

022746 26.2508-28-2018 PAYROLL FUND 039934 JUNE TRS ABOVE STATE DISTRIB289-11-6146.55-101-825000 N

31.06039934 JUNE TRS ABOVE STATE DISTRIB289-21-6146.20-999-899000 N

57.31Totals for Check 022746

022747 154.8508-28-2018 PAYROLL FUND 039937 JUNE TRS NON-OASDI211-11-6146.00-001-830000 N

112.90039937 JUNE TRS NON-OASDI211-11-6146.00-041-830000 N

293.19039937 JUNE TRS NON-OASDI211-11-6146.00-101-830000 N

31.20039937 JUNE TRS NON-OASDI211-11-6146.00-699-830000 N

3.50039937 JUNE TRS NON-OASDI211-11-6146.00-999-830000 N

19.48039937 JUNE TRS NON-OASDI211-11-6146.04-699-830000 N

41.50039937 JUNE TRS NON-OASDI211-11-6146.10-699-830000 N

24.51039937 JUNE TRS NON-OASDI211-12-6146.00-101-830000 N

4.50039937 JUNE TRS NON-OASDI211-12-6146.10-699-830000 N

31.15039937 JUNE TRS NON-OASDI211-61-6146.00-001-830000 N

24.02039937 JUNE TRS NON-OASDI211-61-6146.00-041-830000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 8 of 32

CheckDate EFT

61.99039937 JUNE TRS NON-OASDI211-61-6146.00-101-830000 N

802.79Totals for Check 022747

022748 3.1008-28-2018 PAYROLL FUND 039941 JUNE TRS NON-OASDI289-11-6146.55-101-825000 N

21.42039941 JUNE TRS NON-OASDI289-21-6146.20-999-899000 N

24.52Totals for Check 022748

022749 28.0508-28-2018 GENERAL OPERATING F 039857 REFUND FOR DUPLICATE TRANS381-00-1261.00-000-70000039857 N

022750 500.0008-31-2018 FINANCE CLEARING FU PA0829 FINANCE TRANSFERS289-00-2177.99-000-800000PA0829 N

022751 2,727.4608-31-2018 FINANCE CLEARING FU PA0829 FINANCE TRANSFERS212-00-2177.99-000-800000PA0829 N

022752 1,044.5708-31-2018 HM RECEIVABLES CO LL 118003 Systems 44 Consumables211-11-6399.00-041-8300008000087659 N

022753 5,300.0008-31-2018 HM RECEIVABLES CO LL 117996 Systems 44 Coaching270-13-6219.00-041-899000710120729 N

5,300.00117996 Systems 44 Coaching270-13-6219.00-101-899000710120729 N

10,600.00Totals for Check 022753

022754 113.6908-31-2018 XEROX CORPORATION 039958 COPIER LEASE FEE289-11-6399.20-999-999000702221502 N

032176 6,485.8308-02-2018 PAYROLL FUND PT0801 PAYROLL TRANSFERS162-00-2177.99-000-800000 N

39,080.40PT0801 PAYROLL TRANSFERS163-00-2177.99-000-800000 N

1,980.00PT0801 PAYROLL TRANSFERS164-00-2177.99-000-800000 N

23,475.16PT0801 PAYROLL TRANSFERS166-00-2177.99-000-800000 N

6,677.10PT0801 PAYROLL TRANSFERS167-00-2177.99-000-800000 N

10,205.92PT0801 PAYROLL TRANSFERS169-00-2177.99-000-800000 N

7,215.05PT0801 PAYROLL TRANSFERS175-00-2177.99-000-800000 N

3,793.20PT0801 PAYROLL TRANSFERS189-00-2177.99-000-800000 N

7,711.83PT0801 PAYROLL TRANSFERS197-00-2177.99-000-800000 N

260,305.17PT0801 PAYROLL TRANSFERS199-00-2177.99-000-800000 N

366,929.66Totals for Check 032176

032181 276.8608-07-2018 CARMEN RUBNER 117856 MILEAGE FOR SOLAR CAR MI-FI169-11-6411.63-001-822000117856 N

032182 200.0008-07-2018 DENVER CITY ISD 117875 PHS V-BALL VAR DENVER CITY T167-36-6499.03-001-891000117875 N

032183 1,000.0008-07-2018 REBECCA O. COFFMAN 117562 SERVICE AWARDS DIST CARDS199-41-6499.00-701-899000117562 N

032184 400.0008-07-2018 WINK ISD 117874 PHS V-BALL JV & V WINK TOURN167-36-6499.03-001-891000117874 N

032185 21.7808-08-2018 PAYROLL FUND 039837 AUG. 02, 2018 MEDICARE TAX162-11-6141.00-001-825000 N

16.35039837 AUG. 02, 2018 MEDICARE TAX162-11-6141.00-041-825000 N

22.94039837 AUG. 02, 2018 MEDICARE TAX162-11-6141.00-101-825000 N

26.70039837 AUG. 02, 2018 MEDICARE TAX162-11-6141.10-699-825000 N

164.02039837 AUG. 02, 2018 MEDICARE TAX163-11-6141.00-001-830000 N

84.15039837 AUG. 02, 2018 MEDICARE TAX163-11-6141.00-041-830000 N

84.03039837 AUG. 02, 2018 MEDICARE TAX163-11-6141.00-101-830000 N

56.89039837 AUG. 02, 2018 MEDICARE TAX163-11-6141.10-699-830000 N

8.59039837 AUG. 02, 2018 MEDICARE TAX163-11-6141.24-001-830000 N

11.93039837 AUG. 02, 2018 MEDICARE TAX163-12-6141.00-001-830000 N

9.60039837 AUG. 02, 2018 MEDICARE TAX163-12-6141.00-041-830000 N

11.95039837 AUG. 02, 2018 MEDICARE TAX163-12-6141.00-101-830000 N

2.08039837 AUG. 02, 2018 MEDICARE TAX163-12-6141.10-699-830000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 9 of 32

CheckDate EFT

47.99039837 AUG. 02, 2018 MEDICARE TAX163-32-6141.00-001-830000 N

16.42039837 AUG. 02, 2018 MEDICARE TAX163-32-6141.00-041-830000 N

41.99039837 AUG. 02, 2018 MEDICARE TAX163-32-6141.00-101-830000 N

18.39039837 AUG. 02, 2018 MEDICARE TAX164-11-6141.00-001-828000 N

102.84039837 AUG. 02, 2018 MEDICARE TAX166-11-6141.00-001-823000 N

94.19039837 AUG. 02, 2018 MEDICARE TAX166-11-6141.00-041-823000 N

133.40039837 AUG. 02, 2018 MEDICARE TAX166-11-6141.00-101-823000 N

75.55039837 AUG. 02, 2018 MEDICARE TAX167-36-6141.00-001-891000 N

9.70039837 AUG. 02, 2018 MEDICARE TAX167-36-6141.00-041-891000 N

40.88039837 AUG. 02, 2018 MEDICARE TAX169-11-6141.43-001-822000 N

100.71039837 AUG. 02, 2018 MEDICARE TAX169-11-6141.63-001-822000 N

100.20039837 AUG. 02, 2018 MEDICARE TAX175-11-6141.00-101-832000 N

52.88039837 AUG. 02, 2018 MEDICARE TAX189-11-6141.00-001-831000 N

110.44039837 AUG. 02, 2018 MEDICARE TAX197-53-6141.00-999-899000 N

979.98039837 AUG. 02, 2018 MEDICARE TAX199-11-6141.00-001-811000 N

393.82039837 AUG. 02, 2018 MEDICARE TAX199-11-6141.00-041-811000 N

912.88039837 AUG. 02, 2018 MEDICARE TAX199-11-6141.00-101-811000 N

649.80039837 AUG. 02, 2018 MEDICARE TAX199-11-6141.51-001-811000 N

3.44039837 AUG. 02, 2018 MEDICARE TAX199-11-6141.90-001-811000 N

76.44039837 AUG. 02, 2018 MEDICARE TAX199-21-6141.00-999-899000 N

90.90039837 AUG. 02, 2018 MEDICARE TAX199-23-6141.00-001-899000 N

97.53039837 AUG. 02, 2018 MEDICARE TAX199-23-6141.00-041-899000 N

65.83039837 AUG. 02, 2018 MEDICARE TAX199-23-6141.00-101-899000 N

219.06039837 AUG. 02, 2018 MEDICARE TAX199-31-6141.00-001-899000 N

37.22039837 AUG. 02, 2018 MEDICARE TAX199-31-6141.00-041-899000 N

34.30039837 AUG. 02, 2018 MEDICARE TAX199-31-6141.00-101-899000 N

14.39039837 AUG. 02, 2018 MEDICARE TAX199-33-6141.00-001-899000 N

13.08039837 AUG. 02, 2018 MEDICARE TAX199-33-6141.00-041-899000 N

28.27039837 AUG. 02, 2018 MEDICARE TAX199-33-6141.00-101-899000 N

134.82039837 AUG. 02, 2018 MEDICARE TAX199-34-6141.00-999-899000 N

186.30039837 AUG. 02, 2018 MEDICARE TAX199-41-6141.00-701-899000 N

104.51039837 AUG. 02, 2018 MEDICARE TAX199-41-6141.00-750-899000 N

35.62039837 AUG. 02, 2018 MEDICARE TAX199-51-6141.00-001-899000 N

31.87039837 AUG. 02, 2018 MEDICARE TAX199-51-6141.00-041-899000 N

129.51039837 AUG. 02, 2018 MEDICARE TAX199-51-6141.00-101-899000 N

424.13039837 AUG. 02, 2018 MEDICARE TAX199-51-6141.00-999-899000 N

111.29039837 AUG. 02, 2018 MEDICARE TAX199-52-6141.00-999-899000 N

14.50039837 AUG. 02, 2018 MEDICARE TAX199-61-6141.00-999-899000 N

6,256.08Totals for Check 032185

032186 41.4408-08-2018 CHEVRON AND TEXACO 039843 FUEL-SOLAR CAR 2018169-11-6411.63-001-82200039843 N

70.59117718 FUEL-TRC Annual Meeting Trip199-13-6411.00-001-811000117718 N

1.12039842 TAX EXEMPT FILING FEE199-41-6499.00-750-89900039842 N

113.15Totals for Check 032186

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 10 of 32

CheckDate EFT

032187 14,011.1708-08-2018 LUNCHROOM FUND 039797 TRANS. SUMMER FOOD PROGRA199-00-2171.00-000-80000039797 N

032188 750.0008-08-2018 SPECIAL REVENUE FUN 039795 REIMBURSEMENT199-00-2172.00-000-80000039795 N

032189 131.2408-08-2018 VALERO MARKETING & 117244 FUEL-Solar Car Challenge 2018169-11-6411.63-001-822000117244 N

81.71039841 FUEL-JATC BOOT CAMP169-11-6412.13-001-82200039841 N

48.98117689 FUEL- F1 Nat'l Competition169-11-6412.63-001-822000117689 N

50.87117820 Additional Fuel for Georgetown199-13-6411.00-101-811000117820 N

66.72117648 FUEL-MAINTENACE PURCHASE199-51-6411.00-999-899000117648 N

73.73117655 FUEL-TIP CLUB199-52-6411.00-999-899000117655 N

47.38117839 FUEL-REPLACE DECALS ON SEC.199-52-6411.00-999-899000117839 N

500.63Totals for Check 032189

032190 1,116.7808-08-2018 CARD SERVICE CENTER 117716 MOTOENERGY MOTOR169-11-6398.63-001-822000117716 N

59.18117749 PROGRAMING CABLE169-11-6399.13-001-822000117749 N

1,658.90117242 Solar Car Challenge 2018169-11-6399.63-001-822000117242 N

668.67117749 ALLTRAX SERIES MOTOR CONTR169-11-6399.63-001-822000117749 N

4.18039844 F1 IN SCHOOL STEM MISC EXPE169-11-6399.63-001-82200039844 N

479.60117492 JATC boot camp169-11-6411.13-001-822000117492 N

110.58117493 JATC trip Boot camp169-11-6411.13-001-822000117493 N

539.55117207 LODGING-F1 NATL COMPETITION169-11-6411.63-001-822000117207 N

479.60117492 JATC boot camp169-11-6412.13-001-822000117492 N

110.57117493 JATC trip Boot camp169-11-6412.13-001-822000117493 N

1,079.10117207 LODGING-F1 NATL COMPETITION169-11-6412.63-001-822000117207 N

267.90117625 PROJECTOR SCREEN197-53-6399.00-999-899000117625 N

21.00117628 SUMMER ENRICHMENT PROGRA199-11-6399.00-001-811000117628 N

22.50117669 STUDENT SUMMER199-11-6399.00-041-811000117669 N

21.00117628 SUMMER ENRICHMENT PROGRA199-11-6399.00-041-811000117628 N

22.50117669 STUDENT SUMMER199-11-6399.00-101-811000117669 N

98.45117709 RYLA CAMP TRAVEL CAMP199-11-6411.00-001-811000117709 N

1,032.15117708 MID MANAGEMENT CAMP199-11-6411.00-001-811000117708 N

98.45117709 RYLA CAMP TRAVEL CAMP199-11-6412.00-001-811000117709 N

5,455.76117708 MID MANAGEMENT CAMP199-11-6412.00-001-811000117708 N

1,886.00117664 CLEP TEST FEES199-11-6499.00-001-811000117664 N

91.94117610 NOTARY SEAL FOR PEIMS OFFIC199-23-6499.00-101-899000117610 N

283.22117632 NURSE SCRUBS199-33-6399.00-001-899000117632 N

283.22117632 NURSE SCRUBS199-33-6399.00-041-899000117632 N

283.22117632 NURSE SCRUBS199-33-6399.00-101-899000117632 N

411.99117691 LODGING FOR R.VASQUEZ199-41-6411.00-701-899000117691 N

1,106.41117712 MAINTENANCE SUPPLIES199-51-6319.00-001-899000117712 N

380.88117712 MAINTENANCE SUPPLIES199-51-6319.66-999-899000117712 N

18,073.30Totals for Check 032190

032191 4,600.0008-09-2018 DENIA B. HOYER 117848 Graduation programs 2018199-11-6219.00-001-811000781 N

032192 574.5908-09-2018 DENNIS MCENTIRE 117902 PER DIEM-MEET W/ ATTY SAFI199-41-6411.00-701-899000117902 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 11 of 32

CheckDate EFT

032193 99.0008-09-2018 LUIS COVOS 117892 DUST MOP CLEANING SERVICES199-51-6219.00-999-899000117892 N

032194 4,350.0008-09-2018 OSCAR MARTIN CARRE 117891 New Door Entry199-81-6629.00-999-89900019 N

032195 774.3208-09-2018 TASB 117897 TASB LOCALIZED UPDATE 111199-41-6499.00-701-899000547020 N

032196 150.0008-09-2018 TASBO 117899 RENEWAL MEMBERSHIP199-41-6499.00-750-89900018353 N

032197 84.5308-09-2018 THREE PALMS INN 117890 LODGING FOR DR.KARR199-41-6419.00-701-899000117890 N

032198 5,565.6608-13-2018 BONDED DEBT FUND PA0812 JUNE TAX COLLECTIONS199-00-2173.00-000-800000PA0812 N

032199 5,685.8208-15-2018 PAYROLL FUND PT0813 PAYROLL TRANSFERS162-00-2177.99-000-800000 N

34,192.79PT0813 PAYROLL TRANSFERS163-00-2177.99-000-800000 N

1,980.00PT0813 PAYROLL TRANSFERS164-00-2177.99-000-800000 N

23,474.95PT0813 PAYROLL TRANSFERS166-00-2177.99-000-800000 N

6,677.23PT0813 PAYROLL TRANSFERS167-00-2177.99-000-800000 N

11,440.73PT0813 PAYROLL TRANSFERS169-00-2177.99-000-800000 N

7,215.08PT0813 PAYROLL TRANSFERS175-00-2177.99-000-800000 N

3,793.28PT0813 PAYROLL TRANSFERS189-00-2177.99-000-800000 N

7,711.83PT0813 PAYROLL TRANSFERS197-00-2177.99-000-800000 N

254,349.13PT0813 PAYROLL TRANSFERS199-00-2177.99-000-800000 N

356,520.84Totals for Check 032199

032200 4,080.8208-15-2018 CITY OF PRESIDIO 039899 WATER SERVICE199-51-6255.00-001-899000PRESIDIO ISD N

1,107.52039899 WATER SERVICE199-51-6255.00-041-899000PRESIDIO ISD N

542.32039899 WATER SERVICE199-51-6255.00-101-899000PRESIDIO ISD N

283.05039899 WATER SERVICE199-51-6255.00-999-899000PRESIDIO ISD N

762.75039899 WATER SERVICE199-51-6255.66-999-899000PRESIDIO ISD N

6,776.46Totals for Check 032200

032201 4,916.9108-15-2018 JESUS EDGAR SOTELO 117863 Iron Panels High School199-81-6629.00-999-8990002349 N

032202 3,000.0008-15-2018 SANTOS LOPEZ LUJAN J 117948 ADMINISTRATIVE SERVICES199-23-6219.00-001-899000233 N

032203 5.7108-15-2018 PAYROLL FUND 039890 JULY 2018 TRS ABOVE STAT MIN162-11-6146.00-001-82500039890 N

3.65039890 JULY 2018 TRS ABOVE STAT MIN162-11-6146.00-041-82500039890 N

10.92039890 JULY 2018 TRS ABOVE STAT MIN162-11-6146.00-101-82500039890 N

32.71039890 JULY 2018 TRS ABOVE STAT MIN162-11-6146.10-699-82500039890 N

116.37039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.00-001-83000039890 N

91.76039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.00-041-83000039890 N

23.95039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.00-101-83000039890 N

18.02039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.00-699-83000039890 N

32.53039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.04-041-83000039890 N

12.41039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.04-699-83000039890 N

421.88039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.10-101-83000039890 N

15.12039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.10-699-83000039890 N

309.22039890 JULY 2018 TRS ABOVE STAT MIN163-11-6146.24-001-83000039890 N

48.14039890 JULY 2018 TRS ABOVE STAT MIN163-32-6146.00-001-83000039890 N

13.80039890 JULY 2018 TRS ABOVE STAT MIN163-32-6146.00-041-83000039890 N

89.12039890 JULY 2018 TRS ABOVE STAT MIN163-32-6146.00-101-83000039890 N

7.42039890 JULY 2018 TRS ABOVE STAT MIN164-11-6146.00-001-82800039890 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 12 of 32

CheckDate EFT

60.22039890 JULY 2018 TRS ABOVE STAT MIN166-11-6146.00-001-82300039890 N

70.79039890 JULY 2018 TRS ABOVE STAT MIN166-11-6146.00-041-82300039890 N

125.02039890 JULY 2018 TRS ABOVE STAT MIN166-11-6146.00-101-82300039890 N

62.69039890 JULY 2018 TRS ABOVE STAT MIN167-36-6146.00-001-89100039890 N

75.67039890 JULY 2018 TRS ABOVE STAT MIN169-11-6146.43-001-82200039890 N

343.07039890 JULY 2018 TRS ABOVE STAT MIN169-11-6146.63-001-82200039890 N

92.40039890 JULY 2018 TRS ABOVE STAT MIN175-11-6146.00-101-83200039890 N

8.34039890 JULY 2018 TRS ABOVE STAT MIN189-11-6146.00-001-83100039890 N

133.35039890 JULY 2018 TRS ABOVE STAT MIN197-53-6146.00-999-89900039890 N

280.87039890 JULY 2018 TRS ABOVE STAT MIN199-11-6146.00-001-81100039890 N

293.61039890 JULY 2018 TRS ABOVE STAT MIN199-11-6146.00-041-81100039890 N

799.32039890 JULY 2018 TRS ABOVE STAT MIN199-11-6146.00-101-81100039890 N

211.39039890 JULY 2018 TRS ABOVE STAT MIN199-21-6146.00-999-89900039890 N

48.16039890 JULY 2018 TRS ABOVE STAT MIN199-23-6146.00-001-89900039890 N

141.12039890 JULY 2018 TRS ABOVE STAT MIN199-23-6146.00-041-89900039890 N

89.10039890 JULY 2018 TRS ABOVE STAT MIN199-23-6146.00-101-89900039890 N

133.21039890 JULY 2018 TRS ABOVE STAT MIN199-31-6146.00-001-89900039890 N

121.21039890 JULY 2018 TRS ABOVE STAT MIN199-31-6146.00-041-89900039890 N

122.19039890 JULY 2018 TRS ABOVE STAT MIN199-31-6146.00-101-89900039890 N

429.05039890 JULY 2018 TRS ABOVE STAT MIN199-41-6146.00-701-89900039890 N

4,893.51Totals for Check 032203

032204 4.7608-16-2018 PAYROLL FUND 039880 AUGUST 2018 EMPLOYEE LIFE IN162-11-6142.00-001-82500039880 N

3.91039880 AUGUST 2018 EMPLOYEE LIFE IN162-11-6142.00-041-82500039880 N

3.99039880 AUGUST 2018 EMPLOYEE LIFE IN162-11-6142.00-101-82500039880 N

30.26039880 AUGUST 2018 EMPLOYEE LIFE IN163-11-6142.00-001-83000039880 N

10.80039880 AUGUST 2018 EMPLOYEE LIFE IN163-11-6142.00-041-83000039880 N

17.08039880 AUGUST 2018 EMPLOYEE LIFE IN163-11-6142.00-101-83000039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN163-12-6142.00-001-83000039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN163-12-6142.00-041-83000039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN163-12-6142.00-101-83000039880 N

5.85039880 AUGUST 2018 EMPLOYEE LIFE IN163-32-6142.00-001-83000039880 N

1.95039880 AUGUST 2018 EMPLOYEE LIFE IN163-32-6142.00-041-83000039880 N

1.95039880 AUGUST 2018 EMPLOYEE LIFE IN163-32-6142.00-101-83000039880 N

5.85039880 AUGUST 2018 EMPLOYEE LIFE IN164-11-6142.00-001-82800039880 N

23.08039880 AUGUST 2018 EMPLOYEE LIFE IN166-11-6142.00-001-82300039880 N

23.20039880 AUGUST 2018 EMPLOYEE LIFE IN166-11-6142.00-041-82300039880 N

35.05039880 AUGUST 2018 EMPLOYEE LIFE IN166-11-6142.00-101-82300039880 N

12.36039880 AUGUST 2018 EMPLOYEE LIFE IN167-36-6142.00-001-89100039880 N

1.29039880 AUGUST 2018 EMPLOYEE LIFE IN167-36-6142.00-041-89100039880 N

7.14039880 AUGUST 2018 EMPLOYEE LIFE IN169-11-6142.43-001-82200039880 N

7.80039880 AUGUST 2018 EMPLOYEE LIFE IN169-11-6142.63-001-82200039880 N

23.22039880 AUGUST 2018 EMPLOYEE LIFE IN175-11-6142.00-101-83200039880 N

7.09039880 AUGUST 2018 EMPLOYEE LIFE IN189-11-6142.00-001-83100039880 N

11.70039880 AUGUST 2018 EMPLOYEE LIFE IN197-53-6142.00-999-89900039880 N

90.55039880 AUGUST 2018 EMPLOYEE LIFE IN199-11-6142.00-001-81100039880 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 13 of 32

CheckDate EFT

74.43039880 AUGUST 2018 EMPLOYEE LIFE IN199-11-6142.00-041-81100039880 N

142.07039880 AUGUST 2018 EMPLOYEE LIFE IN199-11-6142.00-101-81100039880 N

6.40039880 AUGUST 2018 EMPLOYEE LIFE IN199-21-6142.00-999-89900039880 N

17.55039880 AUGUST 2018 EMPLOYEE LIFE IN199-23-6142.00-001-89900039880 N

13.65039880 AUGUST 2018 EMPLOYEE LIFE IN199-23-6142.00-041-89900039880 N

13.65039880 AUGUST 2018 EMPLOYEE LIFE IN199-23-6142.00-101-89900039880 N

7.80039880 AUGUST 2018 EMPLOYEE LIFE IN199-31-6142.00-001-89900039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN199-31-6142.00-041-89900039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN199-31-6142.00-101-89900039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN199-33-6142.00-001-89900039880 N

3.90039880 AUGUST 2018 EMPLOYEE LIFE IN199-33-6142.00-041-89900039880 N

7.80039880 AUGUST 2018 EMPLOYEE LIFE IN199-33-6142.00-101-89900039880 N

52.65039880 AUGUST 2018 EMPLOYEE LIFE IN199-34-6142.00-999-89900039880 N

5.85039880 AUGUST 2018 EMPLOYEE LIFE IN199-41-6142.00-701-89900039880 N

16.38039880 AUGUST 2018 EMPLOYEE LIFE IN199-41-6142.00-750-89900039880 N

11.70039880 AUGUST 2018 EMPLOYEE LIFE IN199-51-6142.00-001-89900039880 N

11.70039880 AUGUST 2018 EMPLOYEE LIFE IN199-51-6142.00-041-89900039880 N

27.30039880 AUGUST 2018 EMPLOYEE LIFE IN199-51-6142.00-101-89900039880 N

41.21039880 AUGUST 2018 EMPLOYEE LIFE IN199-51-6142.00-999-89900039880 N

19.50039880 AUGUST 2018 EMPLOYEE LIFE IN199-52-6142.00-999-89900039880 N

825.82Totals for Check 032204

032205 42.5808-17-2018 PAYROLL FUND 039893 JULY 2018 TRS NON-OASDI EMP162-11-6146.00-001-82500039893 N

36.17039893 JULY 2018 TRS NON-OASDI EMP162-11-6146.00-041-82500039893 N

42.99039893 JULY 2018 TRS NON-OASDI EMP162-11-6146.00-101-82500039893 N

110.56039893 JULY 2018 TRS NON-OASDI EMP162-11-6146.10-699-82500039893 N

247.36039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.00-001-83000039893 N

163.94039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.00-041-83000039893 N

144.65039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.00-101-83000039893 N

83.03039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.00-699-83000039893 N

3.87039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.04-041-83000039893 N

35.56039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.04-699-83000039893 N

165.02039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.10-101-83000039893 N

86.42039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.10-699-83000039893 N

45.88039893 JULY 2018 TRS NON-OASDI EMP163-11-6146.24-001-83000039893 N

25.71039893 JULY 2018 TRS NON-OASDI EMP163-12-6146.00-001-83000039893 N

23.62039893 JULY 2018 TRS NON-OASDI EMP163-12-6146.00-041-83000039893 N

20.39039893 JULY 2018 TRS NON-OASDI EMP163-12-6146.00-101-83000039893 N

17.15039893 JULY 2018 TRS NON-OASDI EMP163-12-6146.10-699-83000039893 N

91.31039893 JULY 2018 TRS NON-OASDI EMP163-32-6146.00-001-83000039893 N

34.66039893 JULY 2018 TRS NON-OASDI EMP163-32-6146.00-041-83000039893 N

69.32039893 JULY 2018 TRS NON-OASDI EMP163-32-6146.00-101-83000039893 N

57.76039893 JULY 2018 TRS NON-OASDI EMP164-11-6146.00-001-82800039893 N

188.95039893 JULY 2018 TRS NON-OASDI EMP166-11-6146.00-001-82300039893 N

195.80039893 JULY 2018 TRS NON-OASDI EMP166-11-6146.00-041-82300039893 N

259.62039893 JULY 2018 TRS NON-OASDI EMP166-11-6146.00-101-82300039893 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

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File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 14 of 32

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166.03039893 JULY 2018 TRS NON-OASDI EMP167-36-6146.00-001-89100039893 N

20.45039893 JULY 2018 TRS NON-OASDI EMP167-36-6146.00-041-89100039893 N

8.49039893 JULY 2018 TRS NON-OASDI EMP168-34-6146.00-041-89900039893 N

68.80039893 JULY 2018 TRS NON-OASDI EMP169-11-6146.43-001-82200039893 N

99.86039893 JULY 2018 TRS NON-OASDI EMP169-11-6146.63-001-82200039893 N

177.95039893 JULY 2018 TRS NON-OASDI EMP175-11-6146.00-101-83200039893 N

95.21039893 JULY 2018 TRS NON-OASDI EMP189-11-6146.00-001-83100039893 N

200.54039893 JULY 2018 TRS NON-OASDI EMP197-53-6146.00-999-89900039893 N

1,013.52039893 JULY 2018 TRS NON-OASDI EMP199-11-6146.00-001-81100039893 N

704.12039893 JULY 2018 TRS NON-OASDI EMP199-11-6146.00-041-81100039893 N

1,585.93039893 JULY 2018 TRS NON-OASDI EMP199-11-6146.00-101-81100039893 N

112.68039893 JULY 2018 TRS NON-OASDI EMP199-21-6146.00-999-89900039893 N

204.03039893 JULY 2018 TRS NON-OASDI EMP199-23-6146.00-001-89900039893 N

182.20039893 JULY 2018 TRS NON-OASDI EMP199-23-6146.00-041-89900039893 N

164.76039893 JULY 2018 TRS NON-OASDI EMP199-23-6146.00-101-89900039893 N

125.06039893 JULY 2018 TRS NON-OASDI EMP199-31-6146.00-001-89900039893 N

51.72039893 JULY 2018 TRS NON-OASDI EMP199-31-6146.00-041-89900039893 N

44.01039893 JULY 2018 TRS NON-OASDI EMP199-31-6146.00-101-89900039893 N

31.22039893 JULY 2018 TRS NON-OASDI EMP199-33-6146.00-001-89900039893 N

27.98039893 JULY 2018 TRS NON-OASDI EMP199-33-6146.00-041-89900039893 N

59.86039893 JULY 2018 TRS NON-OASDI EMP199-33-6146.00-101-89900039893 N

302.12039893 JULY 2018 TRS NON-OASDI EMP199-34-6146.00-999-89900039893 N

372.55039893 JULY 2018 TRS NON-OASDI EMP199-41-6146.00-701-89900039893 N

291.99039893 JULY 2018 TRS NON-OASDI EMP199-41-6146.00-750-89900039893 N

75.19039893 JULY 2018 TRS NON-OASDI EMP199-51-6146.00-001-89900039893 N

69.18039893 JULY 2018 TRS NON-OASDI EMP199-51-6146.00-041-89900039893 N

183.30039893 JULY 2018 TRS NON-OASDI EMP199-51-6146.00-101-89900039893 N

459.26039893 JULY 2018 TRS NON-OASDI EMP199-51-6146.00-999-89900039893 N

249.03039893 JULY 2018 TRS NON-OASDI EMP199-52-6146.00-999-89900039893 N

41.97039893 JULY 2018 TRS NON-OASDI EMP199-61-6146.00-999-89900039893 N

9,381.33Totals for Check 032205

032206 21.7908-17-2018 PAYROLL FUND 039901 AUG. 16, 2018 MEDICARE TAX162-11-6141.00-001-825000 N

16.35039901 AUG. 16, 2018 MEDICARE TAX162-11-6141.00-041-825000 N

22.95039901 AUG. 16, 2018 MEDICARE TAX162-11-6141.00-101-825000 N

15.29039901 AUG. 16, 2018 MEDICARE TAX162-11-6141.10-699-825000 N

164.46039901 AUG. 16, 2018 MEDICARE TAX163-11-6141.00-001-830000 N

84.11039901 AUG. 16, 2018 MEDICARE TAX163-11-6141.00-101-830000 N

82.96039901 AUG. 16, 2018 MEDICARE TAX163-11-6141.00-101-830000 N

12.06039901 AUG. 16, 2018 MEDICARE TAX163-12-6141.00-001-830000 N

9.60039901 AUG. 16, 2018 MEDICARE TAX163-12-6141.00-041-830000 N

10.87039901 AUG. 16, 2018 MEDICARE TAX163-12-6141.00-101-830000 N

47.99039901 AUG. 16, 2018 MEDICARE TAX163-32-6141.00-001-830000 N

16.42039901 AUG. 16, 2018 MEDICARE TAX163-32-6141.00-041-830000 N

41.99039901 AUG. 16, 2018 MEDICARE TAX163-32-6141.00-101-830000 N

18.39039901 AUG. 16, 2018 MEDICARE TAX164-11-6141.00-001-828000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 15 of 32

CheckDate EFT

102.83039901 AUG. 16, 2018 MEDICARE TAX166-11-6141.00-001-823000 N

94.04039901 AUG. 16, 2018 MEDICARE TAX166-11-6141.00-041-823000 N

133.40039901 AUG. 16, 2018 MEDICARE TAX166-11-6141.00-101-823000 N

75.55039901 AUG. 16, 2018 MEDICARE TAX167-36-6141.00-001-891000 N

9.70039901 AUG. 16, 2018 MEDICARE TAX167-36-6141.00-041-891000 N

40.95039901 AUG. 16, 2018 MEDICARE TAX169-11-6141.43-001-822000 N

118.00039901 AUG. 16, 2018 MEDICARE TAX169-11-6141.63-001-822000 N

100.18039901 AUG. 16, 2018 MEDICARE TAX175-11-6141.00-101-832000 N

51.48039901 AUG. 16, 2018 MEDICARE TAX189-11-6141.00-001-831000 N

110.44039901 AUG. 16, 2018 MEDICARE TAX197-53-6141.00-999-899000 N

737.59039901 AUG. 16, 2018 MEDICARE TAX199-11-6141.00-001-811000 N

361.91039901 AUG. 16, 2018 MEDICARE TAX199-11-6141.00-041-811000 N

871.83039901 AUG. 16, 2018 MEDICARE TAX199-11-6141.00-101-811000 N

3.43039901 AUG. 16, 2018 MEDICARE TAX199-11-6141.90-001-811000 N

76.44039901 AUG. 16, 2018 MEDICARE TAX199-21-6141.00-999-899000 N

95.45039901 AUG. 16, 2018 MEDICARE TAX199-23-6141.00-001-899000 N

97.53039901 AUG. 16, 2018 MEDICARE TAX199-23-6141.00-041-899000 N

70.15039901 AUG. 16, 2018 MEDICARE TAX199-23-6141.00-101-899000 N

70.72039901 AUG. 16, 2018 MEDICARE TAX199-31-6141.00-001-899000 N

37.22039901 AUG. 16, 2018 MEDICARE TAX199-31-6141.00-041-899000 N

34.30039901 AUG. 16, 2018 MEDICARE TAX199-31-6141.00-101-899000 N

14.39039901 AUG. 16, 2018 MEDICARE TAX199-33-6141.00-001-899000 N

13.08039901 AUG. 16, 2018 MEDICARE TAX199-33-6141.00-041-899000 N

28.27039901 AUG. 16, 2018 MEDICARE TAX199-33-6141.00-101-899000 N

111.21039901 AUG. 16, 2018 MEDICARE TAX199-34-6141.00-999-899000 N

217.32039901 AUG. 16, 2018 MEDICARE TAX199-41-6141.00-701-899000 N

99.66039901 AUG. 16, 2018 MEDICARE TAX199-41-6141.00-750-899000 N

35.61039901 AUG. 16, 2018 MEDICARE TAX199-51-6141.00-001-899000 N

31.87039901 AUG. 16, 2018 MEDICARE TAX199-51-6141.00-041-899000 N

128.56039901 AUG. 16, 2018 MEDICARE TAX199-51-6141.00-101-899000 N

453.45039901 AUG. 16, 2018 MEDICARE TAX199-51-6141.00-999-899000 N

134.85039901 AUG. 16, 2018 MEDICARE TAX199-52-6141.00-999-899000 N

5,126.64Totals for Check 032206

032207 24.1008-17-2018 PAYROLL FUND 039908 AUGUST 2018 TRS CONTR. .0055162-11-6146.00-001-825000 N

18.96039908 AUGUST 2018 TRS CONTR. .0055162-11-6146.00-041-825000 N

25.46039908 AUGUST 2018 TRS CONTR. .0055162-11-6146.00-101-825000 N

22.50039908 AUGUST 2018 TRS CONTR. .0055162-11-6146.10-699-825000 N

146.04039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.00-001-830000 N

94.78039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.00-041-830000 N

91.60039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.00-101-830000 N

23.53039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.10-101-830000 N

7.50039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.10-699-830000 N

4.50039908 AUGUST 2018 TRS CONTR. .0055163-11-6146.24-001-830000 N

12.86039908 AUGUST 2018 TRS CONTR. .0055163-12-6146.00-001-830000 N

11.80039908 AUGUST 2018 TRS CONTR. .0055163-12-6146.00-041-830000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 16 of 32

CheckDate EFT

12.91039908 AUGUST 2018 TRS CONTR. .0055163-12-6146.00-101-830000 N

1.13039908 AUGUST 2018 TRS CONTR. .0055163-12-6146.10-699-830000 N

50.98039908 AUGUST 2018 TRS CONTR. .0055163-32-6146.00-001-830000 N

18.84039908 AUGUST 2018 TRS CONTR. .0055163-32-6146.00-041-830000 N

44.50039908 AUGUST 2018 TRS CONTR. .0055163-32-6146.00-101-830000 N

29.70039908 AUGUST 2018 TRS CONTR. .0055164-11-6146.00-001-828000 N

107.11039908 AUGUST 2018 TRS CONTR. .0055166-11-6146.00-001-823000 N

103.18039908 AUGUST 2018 TRS CONTR. .0055166-11-6146.00-041-823000 N

141.81039908 AUGUST 2018 TRS CONTR. .0055166-11-6146.00-101-823000 N

89.94039908 AUGUST 2018 TRS CONTR. .0055167-36-6146.00-001-891000 N

10.22039908 AUGUST 2018 TRS CONTR. .0055167-36-6146.00-041-891000 N

42.74039908 AUGUST 2018 TRS CONTR. .0055169-11-6146.43-001-822000 N

119.61039908 AUGUST 2018 TRS CONTR. .0055169-11-6146.63-001-822000 N

108.22039908 AUGUST 2018 TRS CONTR. .0055175-11-6146.00-101-832000 N

56.88039908 AUGUST 2018 TRS CONTR. .0055189-11-6146.00-001-831000 N

115.68039908 AUGUST 2018 TRS CONTR. .0055197-53-6146.00-999-899000 N

674.49039908 AUGUST 2018 TRS CONTR. .0055199-11-6146.00-001-811000 N

415.04039908 AUGUST 2018 TRS CONTR. .0055199-11-6146.00-041-811000 N

955.64039908 AUGUST 2018 TRS CONTR. .0055199-11-6146.00-101-811000 N

79.64039908 AUGUST 2018 TRS CONTR. .0055199-21-6146.00-999-899000 N

100.61039908 AUGUST 2018 TRS CONTR. .0055199-23-6146.00-001-899000 N

106.66039908 AUGUST 2018 TRS CONTR. .0055199-23-6146.00-041-899000 N

94.98039908 AUGUST 2018 TRS CONTR. .0055199-23-6146.00-101-899000 N

77.22039908 AUGUST 2018 TRS CONTR. .0055199-31-6146.00-001-899000 N

39.24039908 AUGUST 2018 TRS CONTR. .0055199-31-6146.00-041-899000 N

35.48039908 AUGUST 2018 TRS CONTR. .0055199-31-6146.00-101-899000 N

15.62039908 AUGUST 2018 TRS CONTR. .0055199-33-6146.00-001-899000 N

13.98039908 AUGUST 2018 TRS CONTR. .0055199-33-6146.00-041-899000 N

29.94039908 AUGUST 2018 TRS CONTR. .0055199-33-6146.00-101-899000 N

135.87039908 AUGUST 2018 TRS CONTR. .0055199-34-6146.00-999-899000 N

190.46039908 AUGUST 2018 TRS CONTR. .0055199-41-6146.00-701-899000 N

137.38039908 AUGUST 2018 TRS CONTR. .0055199-41-6146.00-750-899000 N

37.60039908 AUGUST 2018 TRS CONTR. .0055199-51-6146.00-001-899000 N

34.58039908 AUGUST 2018 TRS CONTR. .0055199-51-6146.00-041-899000 N

91.64039908 AUGUST 2018 TRS CONTR. .0055199-51-6146.00-101-899000 N

238.80039908 AUGUST 2018 TRS CONTR. .0055199-51-6146.00-999-899000 N

135.95039908 AUGUST 2018 TRS CONTR. .0055199-52-6146.00-999-899000 N

7.50039908 AUGUST 2018 TRS CONTR. .0055199-61-6146.00-999-899000 N

5,185.40Totals for Check 032207

032208 210.0008-21-2018 GANDY INK SCREEN PRI 117916 SHIRTS FOR CC MEET 8/23/2018167-36-6499.24-001-891000606379 N

210.00117916 SHIRTS FOR CC MEET 8/23/2018167-36-6499.34-001-891000606379 N

420.00Totals for Check 032208

032209 2,282.4808-21-2018 FINANCE CLEARING FU PA0826 FINANCE TRANSFERS162-00-2177.99-000-800000PA0826 N

7,255.89PA0826 FINANCE TRANSFERS163-00-2177.99-000-800000PA0826 N

123.49PA0826 FINANCE TRANSFERS166-00-2177.99-000-800000PA0826 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 17 of 32

CheckDate EFT

3,046.70PA0826 FINANCE TRANSFERS167-00-2177.99-000-800000PA0826 N

9,213.64PA0826 FINANCE TRANSFERS169-00-2177.99-000-800000PA0826 N

6,373.23PA0826 FINANCE TRANSFERS197-00-2177.99-000-800000PA0826 N

110,641.28PA0826 FINANCE TRANSFERS199-00-2177.99-000-800000PA0826 N

138,936.71Totals for Check 032209

032210 884.4608-23-2018 SPECIAL REVENUE FUN 039800 TRANSFER MARCH & MAY CR199-00-2172.00-000-80000039800 N

032211 243.8908-23-2018 21st CENTURY SOLUTIO 039922 LINEAR IEI COMMAND & CONTRO199-81-6629.00-999-899000INV95286 N

032212 2,500.0008-23-2018 SANTOS LOPEZ LUJAN J 118000 ADMINISTRATIVE SERVICES199-23-6219.00-001-899000234 N

032213 3,173.0308-27-2018 BONDED DEBT FUND PA0828 JULY TAX COLLECTONS199-00-2173.00-000-80000008-28 N

032214 312.3008-27-2018 PAYROLL FUND 039915 AUG. H. INSURANCE162-11-6142.00-001-825000 N

275.50039915 AUG. H. INSURANCE162-11-6142.00-041-825000 N

283.87039915 AUG. H. INSURANCE162-11-6142.00-101-825000 N

1,917.94039915 AUG. H. INSURANCE163-11-6142.00-001-830000 N

667.39039915 AUG. H. INSURANCE163-11-6142.00-041-830000 N

1,270.05039915 AUG. H. INSURANCE163-11-6142.00-101-830000 N

290.00039915 AUG. H. INSURANCE163-12-6142.00-001-830000 N

290.00039915 AUG. H. INSURANCE163-12-6142.00-041-830000 N

290.00039915 AUG. H. INSURANCE163-12-6142.00-101-830000 N

435.00039915 AUG. H. INSURANCE163-32-6142.00-001-830000 N

145.00039915 AUG. H. INSURANCE163-32-6142.00-041-830000 N

417.00039915 AUG. H. INSURANCE163-32-6142.00-101-830000 N

435.00039915 AUG. H. INSURANCE164-11-6142.00-001-828000 N

580.00039915 AUG. H. INSURANCE166-11-6142.00-001-823000 N

1,145.08039915 AUG. H. INSURANCE166-11-6142.00-041-823000 N

2,315.95039915 AUG. H. INSURANCE166-11-6142.00-101-823000 N

919.30039915 AUG. H. INSURANCE167-36-6142.00-001-891000 N

95.70039915 AUG. H. INSURANCE167-36-6142.00-041-891000 N

290.00039915 AUG. H. INSURANCE169-11-6142.43-001-822000 N

580.00039915 AUG. H. INSURANCE169-11-6142.63-001-822000 N

1,726.90039915 AUG. H. INSURANCE175-11-6142.00-101-832000 N

526.83039915 AUG. H. INSURANCE189-11-6142.00-001-831000 N

1,896.00039915 AUG. H. INSURANCE197-53-6142.00-999-899000 N

6,201.99039915 AUG. H. INSURANCE199-11-6142.00-001-811000 N

4,922.30039915 AUG. H. INSURANCE199-11-6142.00-041-811000 N

8,836.37039915 AUG. H. INSURANCE199-11-6142.00-101-811000 N

700.21039915 AUG. H. INSURANCE199-21-6142.00-999-899000 N

1,305.00039915 AUG. H. INSURANCE199-23-6142.00-001-899000 N

1,497.00039915 AUG. H. INSURANCE199-23-6142.00-041-899000 N

1,577.00039915 AUG. H. INSURANCE199-23-6142.00-101-899000 N

580.00039915 AUG. H. INSURANCE199-31-6142.00-001-899000 N

290.00039915 AUG. H. INSURANCE199-31-6142.00-041-899000 N

290.00039915 AUG. H. INSURANCE199-33-6142.00-001-899000 N

290.00039915 AUG. H. INSURANCE199-33-6142.00-041-899000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 18 of 32

CheckDate EFT

290.00039915 AUG. H. INSURANCE199-33-6142.00-101-899000 N

3,045.00039915 AUG. H. INSURANCE199-34-6142.00-999-899000 N

435.00039915 AUG. H. INSURANCE199-41-6142.00-701-899000 N

3,115.00039915 AUG. H. INSURANCE199-41-6142.00-750-899000 N

290.00039915 AUG. H. INSURANCE199-51-6142.00-001-899000 N

870.00039915 AUG. H. INSURANCE199-51-6142.00-041-899000 N

1,740.00039915 AUG. H. INSURANCE199-51-6142.00-101-899000 N

1,904.69039915 AUG. H. INSURANCE199-51-6142.00-999-899000 N

1,450.00039915 AUG. H. INSURANCE199-52-6142.00-999-899000 N

56,734.37Totals for Check 032214

032215 75,000.0008-27-2018 LUNCHROOM FUND 039803 OPERATING TRANSFERS199-00-1261.00-000-80000039803 N

032216 1,875.0008-28-2018 DOUGLAS L. KARR, ED. 039942 CONSULTING SERVICES199-41-6219.00-701-89900039942 N

250.89039942 TRAVEL EXPENSES199-41-6419.00-701-89900039942 N

2,125.89Totals for Check 032216

032217 416,283.0008-28-2018 DEBT SERVICE FUND 039854 TO TRANSFER 17-18 EDA & IFA A199-00-2173.00-000-800000 N

032218 1.8208-28-2018 PAYROLL FUND 039932 JUNE TRS ABOVE STATE DISTRIB162-11-6146.00-001-825000 N

14.34039932 JUNE TRS ABOVE STATE DISTRIB162-11-6146.00-041-825000 N

10.05039932 JUNE TRS ABOVE STATE DISTRIB162-11-6146.00-101-825000 N

13.67039932 JUNE TRS ABOVE STATE DISTRIB162-11-6146.10-699-825000 N

244.26039932 JUNE TRS ABOVE STATE DISTRIB163-11-6146.00-001-830000 N

72.84039932 JUNE TRS ABOVE STATE DISTRIB163-11-6146.00-041-830000 N

13.92039932 JUNE TRS ABOVE STATE DISTRIB163-11-6146.00-101-830000 N

.77039932 JUNE TRS ABOVE STATE DISTRIB163-11-6146.10-101-830000 N

13.81039932 JUNE TRS ABOVE STATE DISTRIB163-32-6146.00-041-830000 N

7.42039932 JUNE TRS ABOVE STATE DISTRIB164-11-6146.00-001-828000 N

21.98039932 JUNE TRS ABOVE STATE DISTRIB166-11-6146.00-001-823000 N

49.20039932 JUNE TRS ABOVE STATE DISTRIB166-11-6146.00-041-823000 N

89.78039932 JUNE TRS ABOVE STATE DISTRIB166-11-6146.00-101-823000 N

63.08039932 JUNE TRS ABOVE STATE DISTRIB167-36-6146.00-001-891000 N

128.25039932 JUNE TRS ABOVE STATE DISTRIB168-36-6146.20-041-899000 N

75.67039932 JUNE TRS ABOVE STATE DISTRIB169-11-6146.43-001-822000 N

100.42039932 JUNE TRS ABOVE STATE DISTRIB169-11-6146.63-001-822000 N

59.34039932 JUNE TRS ABOVE STATE DISTRIB175-11-6146.00-101-832000 N

240.09039932 JUNE TRS ABOVE STATE DISTRIB197-53-6146.00-999-899000 N

1,395.70039932 JUNE TRS ABOVE STATE DISTRIB199-11-6146.00-001-811000 N

2,076.45039932 JUNE TRS ABOVE STATE DISTRIB199-11-6146.00-041-811000 N

1,007.99039932 JUNE TRS ABOVE STATE DISTRIB199-11-6146.00-101-811000 N

95.93039932 JUNE TRS ABOVE STATE DISTRIB199-11-6146.90-001-811000 N

62.00039932 JUNE TRS ABOVE STATE DISTRIB199-21-6146.00-999-899000 N

13.80039932 JUNE TRS ABOVE STATE DISTRIB199-23-6146.00-041-899000 N

141.52039932 JUNE TRS ABOVE STATE DISTRIB199-31-6146.00-001-899000 N

130.12039932 JUNE TRS ABOVE STATE DISTRIB199-31-6146.00-041-899000 N

429.05039932 JUNE TRS ABOVE STATE DISTRIB199-41-6146.00-701-899000 N

6,573.27Totals for Check 032218

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 19 of 32

CheckDate EFT

032219 38.8908-28-2018 PAYROLL FUND 039936 JUNE TRS NON-OASDI162-11-6146.00-001-825000 N

36.73039936 JUNE TRS NON-OASDI162-11-6146.00-041-825000 N

42.14039936 JUNE TRS NON-OASDI162-11-6146.00-101-825000 N

50.40039936 JUNE TRS NON-OASDI162-11-6146.10-699-825000 N

256.50039936 JUNE TRS NON-OASDI163-11-6146.00-001-830000 N

145.37039936 JUNE TRS NON-OASDI163-11-6146.00-041-830000 N

125.74039936 JUNE TRS NON-OASDI163-11-6146.00-101-830000 N

7.20039936 JUNE TRS NON-OASDI163-11-6146.00-699-830000 N

3.38039936 JUNE TRS NON-OASDI163-11-6146.04-041-830000 N

24.60039936 JUNE TRS NON-OASDI163-11-6146.10-101-830000 N

25.71039936 JUNE TRS NON-OASDI163-12-6146.00-001-830000 N

23.62039936 JUNE TRS NON-OASDI163-12-6146.00-041-830000 N

25.69039936 JUNE TRS NON-OASDI163-12-6146.00-101-830000 N

59.09039936 JUNE TRS NON-OASDI163-32-6146.00-001-830000 N

34.66039936 JUNE TRS NON-OASDI163-32-6146.00-041-830000 N

58.45039936 JUNE TRS NON-OASDI163-32-6146.00-101-830000 N

57.76039936 JUNE TRS NON-OASDI164-11-6146.00-001-828000 N

210.01039936 JUNE TRS NON-OASDI166-11-6146.00-001-823000 N

187.49039936 JUNE TRS NON-OASDI166-11-6146.00-041-823000 N

221.12039936 JUNE TRS NON-OASDI166-11-6146.00-101-823000 N

174.68039936 JUNE TRS NON-OASDI167-36-6146.00-001-891000 N

20.45039936 JUNE TRS NON-OASDI167-36-6146.00-041-891000 N

22.15039936 JUNE TRS NON-OASDI168-34-6146.00-001-899000 N

34.52039936 JUNE TRS NON-OASDI168-36-6146.20-041-899000 N

68.80039936 JUNE TRS NON-OASDI169-11-6146.43-001-822000 N

73.59039936 JUNE TRS NON-OASDI169-11-6146.63-001-822000 N

159.62039936 JUNE TRS NON-OASDI175-11-6146.00-101-832000 N

74.72039936 JUNE TRS NON-OASDI189-11-6146.00-001-831000 N

184.76039936 JUNE TRS NON-OASDI197-53-6146.00-999-899000 N

923.60039936 JUNE TRS NON-OASDI199-11-6146.00-001-811000 N

759.51039936 JUNE TRS NON-OASDI199-11-6146.00-041-811000 N

1,550.18039936 JUNE TRS NON-OASDI199-11-6146.00-101-811000 N

12.91039936 JUNE TRS NON-OASDI199-11-6146.90-001-811000 N

108.56039936 JUNE TRS NON-OASDI199-21-6146.00-999-899000 N

160.41039936 JUNE TRS NON-OASDI199-23-6146.00-001-899000 N

175.21039936 JUNE TRS NON-OASDI199-23-6146.00-041-899000 N

162.20039936 JUNE TRS NON-OASDI199-23-6146.00-101-899000 N

123.34039936 JUNE TRS NON-OASDI199-31-6146.00-001-899000 N

49.76039936 JUNE TRS NON-OASDI199-31-6146.00-041-899000 N

40.29039936 JUNE TRS NON-OASDI199-31-6146.00-101-899000 N

27.42039936 JUNE TRS NON-OASDI199-33-6146.00-041-899000 N

59.86039936 JUNE TRS NON-OASDI199-33-6146.00-101-899000 N

346.01039936 JUNE TRS NON-OASDI199-34-6146.00-999-899000 N

35.98039936 JUNE TRS NON-OASDI199-35-6146.00-999-899000 N

146.06039936 JUNE TRS NON-OASDI199-41-6146.00-701-899000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 20 of 32

CheckDate EFT

280.90039936 JUNE TRS NON-OASDI199-41-6146.00-750-899000 N

76.01039936 JUNE TRS NON-OASDI199-51-6146.00-001-899000 N

66.99039936 JUNE TRS NON-OASDI199-51-6146.00-041-899000 N

169.52039936 JUNE TRS NON-OASDI199-51-6146.00-101-899000 N

451.90039936 JUNE TRS NON-OASDI199-51-6146.00-999-899000 N

253.14039936 JUNE TRS NON-OASDI199-52-6146.00-999-899000 N

8,427.60Totals for Check 032219

032220 1,100.0008-28-2018 NORI J BANDA 039943 HUMAN RESOURCES CONSULTIN199-41-6219.00-701-89900039943 N

032221 419.3508-28-2018 SPECIAL REVENUE FUN 039856 TRAN. FT. LEATON DIRECT DEPO199-00-2172.00-000-80000039856 N

032222 550.3608-28-2018 TSTC TEX-BOOKS & MO 039944 DUAL CREDIT TEXTBOOKS169-11-6399.43-001-8220001632046 N

032223 198.3608-31-2018 DOUBLE R WELDING SU 039951 CYLINDER RENTAL169-11-6269.13-001-822000DEM29567 N

5.49039951 FEE199-41-6499.00-750-899000FC3VG00063 N

88.16039951 CYLINDER RENTAL199-51-6269.00-999-899000DEM29086 N

292.01Totals for Check 032223

032224 8,511.0508-31-2018 FINANCE CLEARING FU PA0829 FINANCE TRANSFERS162-00-2177.99-000-800000PA0829 N

16,613.44PA0829 FINANCE TRANSFERS163-00-2177.99-000-800000PA0829 N

8,005.66PA0829 FINANCE TRANSFERS165-00-2177.99-000-800000PA0829 N

205.56PA0829 FINANCE TRANSFERS166-00-2177.99-000-800000PA0829 N

4,081.16PA0829 FINANCE TRANSFERS167-00-2177.99-000-800000PA0829 N

597.25PA0829 FINANCE TRANSFERS168-00-2177.99-000-800000PA0829 N

32,547.56PA0829 FINANCE TRANSFERS169-00-2177.99-000-800000PA0829 N

741.88PA0829 FINANCE TRANSFERS197-00-2177.99-000-800000PA0829 N

70,357.42PA0829 FINANCE TRANSFERS199-00-2177.99-000-800000PA0829 N

141,660.98Totals for Check 032224

032225 150.1208-31-2018 GUADALUPE A VELAZQ 039953 GRILL EXTENSIONS FOR PES GY199-51-6319.00-101-8990001 N

032226 5,210.6508-31-2018 HARPER HARDWARE, LL 117343 Shop Supplies for painting169-11-6399.13-001-8220001808-104185 N

032227 20,766.8008-31-2018 COMPUTEX, INC. 117663 CTE-COMPUTERS169-11-6398.43-001-8220000091657/009165 N

227.64117663 COMPUTER MOUSE169-11-6399.43-001-822000429204-SYN N

20,994.44Totals for Check 032227

032228 19,699.7108-31-2018 SPECIAL REVENUE FUN 039858 TRANS DIR DEP TITLE IV & JATC199-00-2172.00-000-80000039858 N

032229 3,163.8808-31-2018 SPECIAL REVENUE FUN 039859 TO TRANS DIR DEP TX PRKS &199-00-2172.00-000-80000039859 N

032230 2,486.9808-31-2018 CITY OF PRESIDIO 039956 WATER SERVICE199-51-6255.00-001-899000PRESIDIO ISD N

687.87039956 WATER SERVICE199-51-6255.00-041-899000PRESIDIO ISD N

579.93039956 WATER SERVICE199-51-6255.00-101-899000PRESIDIO ISD N

357.61039956 WATER SERVICE199-51-6255.00-999-899000PRESIDIO ISD N

704.11039956 WATER SERVICE199-51-6255.66-999-899000PRESIDIO ISD N

4,816.50Totals for Check 032230

032231 2,000.0008-31-2018 FOX & COMPANY, P.C. 039957 ACCOUNTING & CONSULTING SE199-41-6219.00-750-89900039957 N

405.33039957 TRAVEL EXPENSES199-41-6419.00-750-89900039957 N

2,405.33Totals for Check 032231

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 21 of 32

CheckDate EFT

032232 13,250.0008-31-2018 HM RECEIVABLES CO LL 117995 Professional Services162-13-6219.00-101-825000710120748 N

032233 3,172.5408-31-2018 PCMG, INC 117841 HEADPHONES163-11-6399.00-101-830000024079960101 N

032234 4,496.9008-31-2018 STAPLES, INC. 117831 HEADPHONES163-11-6399.00-101-8300009792386/915548 N

032235 439.5308-31-2018 XEROX CORPORATION 039958 COPIER LEASE FEE199-11-6269.00-001-811000702221502 N

401.25039958 COPIER LEASE FEE199-11-6269.00-041-811000702221502 N

632.43039958 COPIER LEASE FEE199-11-6269.00-101-811000702221502 N

371.48039958 COPIER LEASE FEE199-21-6269.00-999-899000702221502 N

255.51039958 COPIER LEASE FEE199-34-6269.00-999-899000702221502 N

606.87039958 COPIER LEASE FEE199-41-6249.00-720-899000702221502 N

2,707.07Totals for Check 032235

052523 1,165.5008-21-2018 AEP TEXAS INC. 117958 ADVANCE RENTAL FEE197-53-6269.00-999-899000119-211394323 N

052524 475.5208-21-2018 ARELY LEYVA 117930 FT. LEATON CONTRACT LABOR497-11-6219.00-001-899000JULY 2018 N

052525 .9908-21-2018 AUTO ZONE INC 117974 SOLAR CAR SUPPLIES169-11-6399.63-001-8220003538794559 N

052526 210.0008-21-2018 BALFOUR-HEATH ENTE 117163 LETTER JACKETS SPRING SPOR167-36-6499.04-001-8910001715 N

210.00117163 LETTER JACKETS SPRING SPOR167-36-6499.06-001-8910001715 N

70.00117163 LETTER JACKETS SPRING SPOR167-36-6499.11-001-8910001715 N

210.00117163 LETTER JACKETS SPRING SPOR167-36-6499.14-001-8910001715 N

700.00Totals for Check 052526

052527 301.7908-21-2018 BIG BEND TELEPHONE 117926 TELEPHONE SERVICE199-51-6256.00-001-89900010195868 N

301.79117926 TELEPHONE SERVICE199-51-6256.00-041-89900010195868 N

301.79117926 TELEPHONE SERVICE199-51-6256.00-101-89900010195868 N

301.79117926 TELEPHONE SERVICE199-51-6256.00-999-89900010195868 N

175.60117926 TELEPHONE SERVICE199-52-6499.00-999-89900010195868 N

1,382.76Totals for Check 052527

052528 200.8008-21-2018 BLUE STAR BUS SALES 117783 BUS PARTS199-34-6318.00-999-899000056502 N

052529 29.6708-21-2018 BUSH'S CHICKEN 117760 PHS V-BALL JVB WINK TOURNEY167-36-6411.03-001-891000117760 N

128.57117760 PHS V-BALL JVB WINK TOURNEY167-36-6412.03-001-891000117760 N

158.24Totals for Check 052529

052530 4,062.4008-21-2018 BWDG, INC. 117918 CBEE PROJECT MANAGEMENT199-61-6219.00-999-8990001058 N

052531 300.0008-21-2018 DR. CARMELINA HOLLO 117871 PARKING SPACE RENTAL FEE199-51-6269.00-999-899000117871 N

052532 229.9808-21-2018 CARMEN RUBNER 117984 REIMBURSEMENT199-52-6399.00-999-899000117984 N

052533 3,565.5208-21-2018 CDW GOVERNMENT, IN 117715 LARGE FORMAT PRINTER169-11-6398.63-001-822000NQQ8314 N

5,151.58117748 PAPER AND INK ARCHITECT. CLA169-11-6399.63-001-822000NKM6124/NKR79 N

1,216.65117722 PROJECTER SCREENS197-11-6398.00-001-899000NMZ28301 N

1,216.65117722 PROJECTER SCREENS197-11-6398.00-041-899000NMZ28301 N

1,216.70117722 PROJECTER SCREENS197-11-6398.00-101-899000NMZ28301 N

12,367.10Totals for Check 052533

052534 95.0008-21-2018 CONTINENTAL TERMITE 117853 Fumigation101-35-6219.00-001-89900020552 N

85.00117853 Fumigation101-35-6219.00-041-89900020549 N

15.00117853 Fumigation101-35-6342.00-001-89900020550 N

45.00117853 Fumigation101-35-6342.00-041-89900020551 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 22 of 32

CheckDate EFT

235.00117853 Fumigation199-51-6219.00-001-89900020548 N

235.00117853 Fumigation199-51-6219.00-041-89900020546 N

235.00117853 Fumigation199-51-6219.00-101-89900020547 N

75.00117968 Fumigation199-51-6219.00-101-89900021183 N

225.00117968 Fumigation199-51-6319.00-001-89900021186/21185 N

450.00117968 Fumigation199-51-6319.00-041-89900021190/21188 N

15.00117968 Fumigation199-51-6319.00-101-89900021189 N

40.00117853 Fumigation199-51-6319.44-999-89900020545 N

1,750.00Totals for Check 052534

052535 746.6608-21-2018 CONTROL TECH CORP 117148 Configure System199-51-6219.00-001-899000102820 N

746.66117148 Configure System199-51-6219.00-041-899000102820 N

746.68117148 Configure System199-51-6219.00-101-899000102820 N

2,240.00Totals for Check 052535

052536 23.9408-21-2018 RICHARDSON DAIRY QU 117759 PHS V-BALL JVB WINK TOURNEY167-36-6411.03-001-891000117759 N

30.65117756 PHS V-BALL ALPINE SCRIMMAGE167-36-6411.03-001-891000117756 N

103.74117759 PHS V-BALL JVB WINK TOURNEY167-36-6412.03-001-891000117759 N

253.11117756 PHS V-BALL ALPINE SCRIMMAGE167-36-6412.03-001-891000117756 N

411.44Totals for Check 052536

052537 175.0008-21-2018 DAVIS MOUNTAINS SPO 117914 CONCUSSION TRAINING 8-16-18167-36-6219.08-001-891000PRESIDIO ISD N

052538 200.6708-21-2018 DIALTONE SERVICES 117966 SATELLITE PHONE SERVICE199-51-6256.00-999-899000182122393/2098 N

052539 350.0008-21-2018 DIRECT ENERGY BUSIN 117993 ELECTRICITY SERVICES101-51-6257.00-001-899000117993 N

350.00117993 ELECTRICITY SERVICES101-51-6257.00-041-899000117993 N

350.00117993 ELECTRICITY SERVICES101-51-6257.00-101-899000117993 N

10,509.47117993 ELECTRICITY SERVICES199-51-6257.00-001-899000117993 N

5,369.33117993 ELECTRICITY SERVICES199-51-6257.00-041-899000117993 N

7,908.85117993 ELECTRICITY SERVICES199-51-6257.00-101-899000117993 N

2,635.51117993 ELECTRICITY SERVICES199-51-6257.00-999-899000117993 N

1,348.64117993 ELECTRICITY SERVICES199-51-6257.66-999-899000117993 N

28,821.80Totals for Check 052539

052540 114.0008-21-2018 DOUBLE R WELDING SU 117482 Bottle rental169-11-6269.13-001-822000DEM-575 N

45.60117940 Cylinder Rent199-51-6269.00-999-899000DEM-575 N

159.60Totals for Check 052540

052541 4,500.0008-21-2018 DOUGLAS L. KARR, ED. 117923 SUPT. CONSULTING SERVICES199-41-6219.00-701-899000AUGUST N

052542 115.0008-21-2018 DR. LAURA PORTILLO 117907 POSTAGE REIMBURSEMENT199-21-6399.00-999-899000117907 N

052543 1,000.0008-21-2018 EDUCATIONAL TECHNO 117912 SUPPORT FEES197-11-6219.00-001-899000ETL18-2620 N

052544 91.1108-21-2018 EXXONMOBIL 117975 FUEL-SOLAR CAR 2018169-11-6412.63-001-822000117975 N

052545 328.5008-21-2018 FORREST BROTHERS TI 117859 SUBURBANS ALIGNMENT199-51-6219.00-999-8990001-107875 N

052546 2,000.0008-21-2018 FOX & COMPANY, P.C. 117924 ACCOUNTING & CONSULTING SE199-41-6219.00-750-8990002120 N

406.82117924 TRAVEL EXPENSES199-41-6419.00-750-8990002120 N

2,406.82Totals for Check 052546

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 23 of 32

CheckDate EFT

052547 4,458.5308-21-2018 21st CENTURY SOLUTIO 117821 PHS ENTRANCE DOOR199-81-6629.00-999-899000INV95161 N

052548 28.0108-21-2018 HARPER HARDWARE, LL 117639 MAINTENACE SUPPLIES199-51-6319.00-001-8990001807-099639 N

113.36117704 MAINTENACE SUPPLIES199-51-6319.00-001-8990001807-100180 N

336.76117781 MAINTENACE SUPPLIES199-51-6319.00-001-8990001807-101272 N

415.03117836 MAINTENACE SUPPLIES199-51-6319.00-001-8990001807-101864 N

157.35117638 MAINTENACE SUPPLIES199-51-6319.00-041-8990001807-099640 N

327.24117705 MAINTENACE SUPPLIES199-51-6319.00-041-8990001807-100178 N

118.96117780 MAINTENACE SUPPLIES199-51-6319.00-041-8990001807-101273 N

1,240.50117835 MAINTENACE SUPPLIES199-51-6319.00-041-8990001807-101865 N

20.00117637 MAINTENACE SUPPLIES199-51-6319.00-101-8990001807-099641 N

673.69117706 Maint. Supplies199-51-6319.00-101-8990001807-100177 N

84.88117779 MAINTENACE SUPPLIES199-51-6319.00-101-8990001807-101274 N

44.40117641 MAINTENACE SUPPLIES199-51-6319.00-999-8990001807-099643 N

212.42117702 MAINTENACE SUPPLIES199-51-6319.00-999-8990001807-100182 N

329.41117834 MAINTENACE SUPPLIES199-51-6319.00-999-8990001807-101866 N

44.86117640 MAINTENACE SUPPLIES199-51-6319.66-999-8990001807-099638 N

144.36117703 MAINTENACE SUPPLIES199-51-6319.66-999-8990001807-100181 N

4,291.23Totals for Check 052548

052549 19.9808-21-2018 HECTOR ARMENDARIZ 117534 LUNCH FOR DEPOSITIONS199-41-6499.00-701-899000117534 N

107.35117896 LUNCH PROVIDED FOR THE TEA199-41-6499.00-702-899000071 N

127.33Totals for Check 052549

052550 152.0608-21-2018 JANAY PASQUA 117883 PHS V-BALL OFFICIAL VAN HORN167-36-6219.03-001-891000117883 N

052551 591.5008-21-2018 JOHNSON FEED & WEST 117634 VEHICLE PARTS199-51-6318.00-999-899000673666 N

2,192.02117837 VEHICLE PARTS199-51-6318.00-999-899000676735 N

2,783.52Totals for Check 052551

052552 21.0008-21-2018 JOSE ROHANA 117942 VEHICLE STATE INSPECTION199-34-6219.00-999-899000117942 N

1,639.00117861 TIRES199-51-6317.00-999-8990003898/3899 N

1,660.00Totals for Check 052552

052553 2,502.0008-21-2018 JP'S FUNDWEAR, INC 117928 DIST. TSHIRT FOR BACK TO SCH199-41-6499.00-701-89900040847 N

052554 273.9008-21-2018 JR3 WEBSMART LLC 117917 DIGITAL RECORDS MAINTENACE199-11-6499.00-001-811000MN0000840 N

273.90117917 DIGITAL RECORDS MAINTENACE199-11-6499.00-041-811000MN0000840 N

282.20117917 DIGITAL RECORDS MAINTENACE199-11-6499.00-101-811000MN0000840 N

830.00Totals for Check 052554

052555 23.9708-21-2018 K-BOB'S STEAKHOUSE 117789 PHS V-BALL VARSITY WINK TOUR167-36-6411.03-001-891000117789 N

87.89117789 PHS V-BALL VARSITY WINK TOUR167-36-6412.03-001-891000117789 N

111.86Totals for Check 052555

052556 253.1008-21-2018 KAY WHITLEY 117964 OFFICIAL PHS V-BALL MARFA167-36-6219.03-001-891000117964 N

052557 628.3108-21-2018 LABBATT FOOD SERVIC 117796 FOOD ITEMS242-35-6341.00-999-89900007041293/1294 N

052558 554.5808-21-2018 LAUN-DRY SUPPLY COM 117849 Cleaning Supplies199-51-6319.00-001-8990001082770A N

2,092.68117849 Cleaning Supplies199-51-6319.00-041-8990001082770A N

607.94117849 Cleaning Supplies199-51-6319.00-101-8990001082770A N

529.24117849 Cleaning Supplies199-51-6319.00-999-8990001082770A N

3,784.44Totals for Check 052558

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 24 of 32

CheckDate EFT

052559 18.3008-21-2018 LITTLE CAESARS 117763 MEALS-COACHES167-36-6411.03-001-891000117763 N

79.04117763 MEALS-STUDENT ATHLETES167-36-6412.03-001-891000117763 N

97.34Totals for Check 052559

052560 300.0008-21-2018 LUCIA O. HERRERA 117872 PARKING SPACE RENTAL FEE199-51-6269.00-999-899000117872 N

052561 20.0008-21-2018 MARFA BURRITOS 117750 PHS V-BALL APLINE SCRIMMAGE167-36-6411.03-001-891000117750 N

180.00117750 PHS V-BALL APLINE SCRIMMAGE167-36-6412.03-001-891000117750 N

200.00Totals for Check 052561

052562 569.1208-21-2018 MELISSA IVON LOZANO 117931 FT. LEATON CONTRACT LABOR497-11-6219.00-001-899000JULY 2018 N

052563 123.4908-21-2018 MSB 117920 MAC BILLING:FFY 2017 Q2166-11-6499.00-999-82300014234C N

052564 928.5708-21-2018 OMAR VILLANUEVA UDA 117932 FT. LEATON CONTRACT LABOR497-11-6219.00-001-899000JULY 2018 N

052565 2,500.0008-21-2018 OSCAR MARTIN CARRE 117962 PHS REPAIRS199-81-6629.00-999-89900020 N

052566 11,849.6908-21-2018 PETROLEUM TRADERS 117832 DIESEL199-34-6311.00-999-8990001290566 N

5,828.48117832 UNLEADED FUEL199-51-6311.00-999-8990001290566 N

17,678.17Totals for Check 052566

052567 94.0008-21-2018 PONCHO'S PIZZA & VIDE 117833 REGULAR BOARD MEETING DINN199-41-6499.00-702-899000117833 N

96.50117949 REGULAR BOARD MEETING199-41-6499.00-702-899000117949 N

190.50Totals for Check 052567

052568 15.4308-21-2018 PORTER'S THRIFTWAY 117730 LEADERSHIP ENRICHMENT PRO199-11-6399.00-041-811000117730 N

90.16117724 STUDENT SUMMER199-11-6399.00-041-811000117724 N

27.90117723 STUDENT SUMMER ENRICHNME199-11-6399.00-041-811000117723 N

15.43117730 LEADERSHIP ENRICHMENT PRO199-11-6399.00-101-811000117730 N

90.15117724 STUDENT SUMMER199-11-6399.00-101-811000117724 N

27.89117723 STUDENT SUMMER ENRICHNME199-11-6399.00-101-811000117723 N

93.08117719 ADM. MEETING JULY 9, 2018199-41-6399.00-701-899000117719 N

360.04Totals for Check 052568

052569 95.8808-21-2018 PRESIDIO AUTO AND TR 117858 BUS PARTS199-34-6318.00-999-899000117858 N

334.49117805 BUS PARTS199-34-6318.00-999-899000117805 N

29.98117725 BUS PARTS199-34-6318.00-999-899000117725 N

1,497.85117858 VEHICLE PARTS199-51-6318.00-999-899000117858 N

374.23117879 VEHICLE SUPPLIES199-51-6318.00-999-899000117879 N

130.34117805 VEHICLE PARTS199-51-6318.00-999-899000117805 N

302.96117725 VEHICLE PARTS199-51-6318.00-999-899000117725 N

2,765.73Totals for Check 052569

052570 66.0008-21-2018 PRESIDIO COUNTY TAX 117957 License Plate199-34-6219.00-999-899000117957 N

052571 22.5008-21-2018 PRESIDIO COUNTY TAX 117943 License Plate199-34-6219.00-999-899000117943 N

052572 60.9708-21-2018 PRESIDIO TV CABLE 117927 SECURITY ACCESS CHANNEL199-52-6499.00-999-89900010503 N

052573 1,834.6208-21-2018 STAPLES, INC. 117443 BILINGUAL SUMMER SCHOOL162-11-6399.00-101-8250007422585 N

447.86117443 BILINGUAL SUMMER SCHOOL162-13-6399.00-101-8250007428951 N

1,813.97117857 HEADPHONES w/ MIC163-11-6399.00-041-8300008945609 N

5,441.92117857 HEADPHONES w/ MIC163-11-6399.00-101-8300008945609 N

160.08116843 CLASSROOM SUPPLIES199-11-6399.00-101-8110006067317/607338 N

249.99117672 COMPUTER MONITOR199-21-6399.00-999-8990008186104 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 25 of 32

CheckDate EFT

2,733.16117714 OFFICE SUPPLIES199-41-6399.00-750-8990008330448 N

12,681.60Totals for Check 052573

052574 325.0008-21-2018 R.T.C., INC. 116784 BADGE DECAL199-52-6219.00-999-89900045239 N

882.49117665 EQUIPMENT REMOVAL199-52-6249.00-999-89900045240 N

1,207.49Totals for Check 052574

052575 607.8608-21-2018 RAY VASQUEZ 117970 PER DIEM R.V SUPT ACADEMY199-41-6411.00-701-899000117970 N

052576 557.7308-21-2018 REGION 18 EDUCATION 117578 JUNE DISASTER RECOVERY197-11-6219.00-999-899000038837 N

50.00117797 Autism Reading Training199-11-6499.00-001-811000039971 N

535.00117794 TASA STUDY GROUP FEES199-41-6499.00-701-899000039750 N

1,142.73Totals for Check 052576

052577 208.7308-21-2018 RICK GARCIA 117882 PHS V-BALL OFFICIAL VAN HORN167-36-6219.03-001-891000117882 N

052578 170.0008-21-2018 RITCHIE SKELTON 117965 OFFICIAL PHS V-BALL MARFA167-36-6219.03-001-891000117965 N

052579 2,150.0008-21-2018 ROBLES, BRACKEN & H 117922 LEGAL SERVICES199-41-6211.00-701-89900057050 N

052580 94.0808-21-2018 ROLANDO GLORIA 117979 SOLAR CAR EXPENSES REIMB169-11-6499.63-001-822000117979 N

052581 211.7808-21-2018 RR SUPPLY , INC. 117847 MAINTENANCE SUPPLIES199-51-6319.00-001-899000A74932 N

474.04117870 MAINTENANCE SUPPLIES199-51-6319.00-001-899000A75192 N

956.77117955 MAINTENANCE SUPPLIES199-51-6319.00-001-899000A75588 N

133.08117955 MAINTENANCE SUPPLIES199-51-6319.66-999-899000A75588 N

1,775.67Totals for Check 052581

052582 9.8808-21-2018 SHELL 117540 FUEL-LUNCHROOM TRAINING101-35-6411.00-001-899000117540 N

9.88117540 FUEL-LUNCHROOM TRAINING101-35-6411.00-041-899000117540 N

9.88117540 FUEL-LUNCHROOM TRAINING101-35-6411.00-101-899000117540 N

132.32117978 FUEL-SOLAR CAR 2018169-11-6412.63-001-822000117978 N

78.50117713 FUEL-PURCHASE SUPPLIES199-51-6411.00-999-899000117713 N

85.00117617 FUEL-TOBACCO FREE CONFERE199-52-6411.00-999-899000117617 N

325.46Totals for Check 052582

052583 26.7408-21-2018 SONIC DRIVE IN 117787 PHS V-BALL VARSITY WINK TOUR167-36-6411.03-001-891000117787 N

115.57117787 PHS V-BALL VARSITY WINK TOUR167-36-6412.03-001-891000117787 N

142.31Totals for Check 052583

052584 29.1108-21-2018 SONIC DRIVE INN- 117762 PHS V-BALL JVB WINK TOURNEY167-36-6411.03-001-891000117762 N

126.23117762 PHS V-BALL JVB WINK TOURNEY167-36-6412.03-001-891000117762 N

155.34Totals for Check 052584

052585 22.2408-21-2018 SUBWAY - ALPINE 117786 PHS V-BALL VARSITY WINK TOUR167-36-6411.03-001-891000117786 N

89.04117786 PHS V-BALL VARSITY WINK TOUR167-36-6412.03-001-891000117786 N

111.28Totals for Check 052585

052586 160.0008-21-2018 TEXAS ASSOCIATION O 117894 MEMBERSHIP199-21-6499.00-999-899000112179 N

052587 300.0008-21-2018 TEXAS DEPARTMENT O 117951 SCHOOL INSPECTION FEE101-35-6499.00-001-89900014315 N

300.00117951 SCHOOL INSPECTION FEE101-35-6499.00-041-89900013869 N

300.00117951 SCHOOL INSPECTION FEE101-35-6499.00-101-89900013869 N

900.00Totals for Check 052587

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 26 of 32

CheckDate EFT

052588 5,379.0008-21-2018 TEXAS SCHOOL SAFETY 117618 CONFERENCE REGISTRATION FE199-52-6499.00-999-89900018842 N

052589 125.2508-21-2018 PETROPLEX OFFICE SU 117846 PRINTER MONITORING199-52-6219.00-999-899000EA234087 N

052590 231.0008-21-2018 TSTC WEST TEXAS BRO 117919 DUAL ENROLLMENT199-11-6499.00-001-811000117919 N

052591 29.9508-21-2018 UNITED PARCEL 117813 SHIPPING FOR BLOOD PRESSUR199-33-6499.00-001-8990000000Y6Y137308 N

29.95117813 SHIPPING FOR BLOOD PRESSUR199-33-6499.00-041-8990000000Y6Y137308 N

31.84117813 SHIPPING FOR BLOOD PRESSUR199-33-6499.00-101-8990000000Y6Y137308 N

20.76117828 MAIL IMMIGRATION LETTERS TO199-41-6499.00-701-8990000000Y6Y137298 N

20.71117793 IMMIGRATION PAPER WORK199-41-6499.00-701-8990000000Y6Y137298 N

40.69117915 UPS LETTER SHIPPING199-41-6499.00-750-8990000000Y6Y137338 N

173.90Totals for Check 052591

052592 209.0708-21-2018 UNITED REFRIGERATIO 117824 Maint. Supplies199-51-6319.00-001-89900063591279-00 N

107.05117824 Maint. Supplies199-51-6319.00-041-89900063591279-00 N

571.10117824 Maint. Supplies199-51-6319.00-101-89900063591279-00 N

887.22Totals for Check 052592

052593 736.4608-21-2018 VERIZON WIRELESS 117953 CELLPHONE CHARGES199-51-6256.00-999-899000117953 N

052594 40.0008-21-2018 WELDING SUPPLY OF P 117939 CYLINDER RENTAL199-51-6269.00-999-89900023095 N

052595 64.0408-21-2018 WESTAIR-PRAXAIR 116602 CYLINDER RENTAL169-11-6399.13-001-82200071954531 N

052596 165.0008-21-2018 WTG FUELS, INC 117941 Propane199-51-6319.66-999-8990003775315 N

052597 16.2708-21-2018 WTU RETAIL ENERGY 117967 TECHNOLOGY ELECTRICITY USE199-51-6257.00-999-8990007153083 N

96.58117925 ELECTRICITY TECHNOLOGY USE199-51-6257.00-999-8990007153083 N

112.85Totals for Check 052597

052598 439.7108-21-2018 XEROX CORPORATION 117929 COPIER LEASE199-11-6269.00-001-811000702212944 N

418.54117929 COPIER LEASE199-11-6269.00-041-811000702212944 N

692.25117929 COPIER LEASE199-11-6269.00-101-811000702212944 N

371.48117929 COPIER LEASE199-21-6269.00-999-899000702212944 N

255.51117929 COPIER LEASE199-34-6269.00-999-899000702212944 N

1,145.07117929 COPIER LEASE199-41-6249.00-720-899000702212944 N

115.31117929 COPIER LEASE289-11-6399.20-999-999000702212944 N

3,437.87Totals for Check 052598

052599 105.0008-23-2018 GENERAL OPERATING F 039801 REFUND FOR VOID CK#52516864-00-2171.00-000-80000039801 N

052600 76.6008-28-2018 GENERAL OPERATING F 039853 TRANSFER INTREST EARNED864-00-2171.00-000-80000039853 N

052601 40.0008-31-2018 ALONZO SAMANIEGO 118017 CROSS COUNTRY COACHES ASS167-36-6499.34-001-891000118017 N

052602 1,755.0008-31-2018 BRENDA WITTY 118001 GT/SPED SERVICES165-13-6219.00-001-8210001020 N

052603 17.0008-31-2018 BUSH'S CHICKEN 117888 PHS CC GIRLS @ PECOS167-36-6411.34-001-891000117888 N

144.50117888 PHS CC GIRLS @ PECOS167-36-6412.34-001-891000117888 N

161.50Totals for Check 052603

052604 381.0008-31-2018 C & M PLAQUE AND TRO 117271 MEDALS & TORCH199-11-6399.00-001-81100050557 N

052605 1,058.9608-31-2018 CDW GOVERNMENT, IN 117673 CANON POWER SHOT CAMERA &165-11-6399.00-101-821000NGX4686/NHX77 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 27 of 32

CheckDate EFT

052606 54.3908-31-2018 CHEVRON AND TEXACO 117798 FUEL-Training at Region 18166-11-6411.00-001-823000117798 N

771.10117976 FUEL-SOLAR CAR 2018169-11-6412.63-001-822000117976 N

59.68117876 FUEL-LESSON PLANNING TRAINI199-13-6411.00-001-811000117876 N

94.09117764 PHS V-BALL JVB WINK TOURNEY199-34-6311.00-999-899000117764 N

108.90117791 PHS V-BALL VARSITY WINK TOUR199-34-6311.00-999-899000117791 N

12.22039923 TAX EXEMPT FILING FEE199-41-6499.00-750-89900039923 N

133.89117860 FUEL-VEHICLE ALIGNMENT SVC199-51-6411.00-999-899000117860 N

1,234.27Totals for Check 052606

052607 831.7308-31-2018 CUSTOMINK 117721 SOLAR CAR CHALLENGE TEAM S169-11-6399.63-001-82200022237374 N

052608 350.0008-31-2018 DIRECT ENERGY BUSIN 118012 ELECTRICITY SERVICES101-51-6257.00-001-89900018220035609503 N

350.00118012 ELECTRICITY SERVICES101-51-6257.00-041-89900018220035609503 N

350.00118012 ELECTRICITY SERVICES101-51-6257.00-101-89900018220035609503 N

8,236.44118012 ELECTRICITY SERVICES199-51-6257.00-001-89900018220035609503 N

3,334.81118012 ELECTRICITY SERVICES199-51-6257.00-041-89900018220035609503 N

6,594.20118012 ELECTRICITY SERVICES199-51-6257.00-101-89900018220035609503 N

2,517.72118012 ELECTRICITY SERVICES199-51-6257.00-999-89900018220035609503 N

1,322.24118012 ELECTRICITY SERVICES199-51-6257.66-999-89900018220035609503 N

23,055.41Totals for Check 052608

052609 706.9508-31-2018 DISCOUNT MAGAZINE 116336 MAGAZINES FOR LIBRARY199-12-6329.00-001-8990008364044 N

346.59116335 MAGAZINES FOR LIBRARY199-12-6329.00-041-8990008364045 N

1,053.54Totals for Check 052609

052610 2,516.6608-31-2018 EDUCATION 117624 TEST HOUND SOFTWARE199-31-6399.00-001-899000312530 N

2,516.66117624 TEST HOUND SOFTWARE199-31-6399.00-041-899000312530 N

2,516.68117624 TEST HOUND SOFTWARE199-31-6399.00-101-899000312530 N

7,550.00Totals for Check 052610

052611 282.6608-31-2018 EDWARD E. PRICE 117954 MEDALS FOR CC MEET 8/23/2018167-36-6499.05-041-891000EP61118-01 N

329.67117954 MEDALS FOR CC MEET 8/23/2018167-36-6499.24-001-891000EP61118-01 N

329.67117954 MEDALS FOR CC MEET 8/23/2018167-36-6499.34-001-891000EP61118-01 N

942.00Totals for Check 052611

052612 40.2508-31-2018 EL PATIO RESTAURANT 118010 SPECIAL MEETING DINNER199-41-6499.00-702-899000118010 N

052613 48.2908-31-2018 FARONICS TECHNOLOG 117579 Deep Freeze Licenses197-11-6499.00-001-899000INSUS0183310 N

48.29117579 Deep Freeze Licenses197-11-6499.00-041-899000INSUS0183310 N

48.42117579 Deep Freeze Licenses197-11-6499.00-101-899000INSUS0183310 N

145.00Totals for Check 052613

052614 95.2308-31-2018 FED EX 117838 IMMIGRATION PAPERWORK199-41-6499.00-701-899000627755425 N

52.54117852 SHIPPING FEES199-41-6499.00-750-899000627755425 N

147.77Totals for Check 052614

052615 839.7208-31-2018 GALLS, LLC 117511 UNIFORM SHIRT & ARMOR199-52-6399.00-999-899000010631229 N

052616 99.9508-31-2018 GLOBAL EQUIPMENT 117971 Maint. Supplies199-51-6219.00-999-899000113078180 N

1,793.40117971 Maint. Supplies199-51-6319.00-999-899000113078180 N

1,893.35Totals for Check 052616

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 28 of 32

CheckDate EFT

052617 641.5208-31-2018 GRAINGER 117972 Maint. Supplies199-51-6219.00-001-8990009880278594 N

253.20117972 Maint. Supplies199-51-6219.00-041-8990009880278594 N

193.92117972 Maint. Supplies199-51-6219.00-101-8990009880278594 N

643.12117972 Maint. Supplies199-51-6319.00-001-8990009880278594 N

518.40117972 Maint. Supplies199-51-6319.00-041-8990009880278594 N

346.80117972 Maint. Supplies199-51-6319.00-101-8990009880278594 N

108.72117972 Maint. Supplies199-51-6319.00-999-8990009880278594 N

139.68117972 Maint. Supplies199-51-6319.66-999-8990009880278594 N

2,845.36Totals for Check 052617

052618 106.6008-31-2018 HARPER HARDWARE, LL 117884 SUPPLIES FOR CC MEET 8/23/201167-36-6499.24-001-8910001808-103638 N

106.59117884 SUPPLIES FOR CC MEET 8/23/201167-36-6499.34-001-8910001808-103638 N

823.43117867 Maint. Supplies199-51-6319.00-001-8990001808-102831 N

813.79117936 Maint. Supplies199-51-6319.00-001-8990001808-104011 N

11.86117937 Maint. Supplies199-51-6319.00-001-8990001808-104010 N

628.95117866 Maint. Supplies199-51-6319.00-041-8990001808-102833 N

459.63117935 Maint. Supplies199-51-6319.00-041-8990001808-104012 N

107.72117865 Maint. Supplies199-51-6319.00-101-8990001808-102835 N

433.41117934 Maint. Supplies199-51-6319.00-101-8990001808-104014 N

529.78117869 Maint. Supplies199-51-6319.00-999-8990001808-102829 N

145.61117938 Maint. Supplies199-51-6319.00-999-8990001808-104008 N

43.95117868 Maint. Supplies199-51-6319.66-999-8990001808-102830 N

16.41117937 Maint. Supplies199-51-6319.66-999-8990001808-104010 N

4,227.73Totals for Check 052618

052619 135.0008-31-2018 THE INTERNATIONAL 117864 NEWSPAPER POSTING199-41-6499.00-701-8990002398 N

282.00117913 MOP-HEAD CLEANING BIDS199-41-6499.00-750-8990002417 N

650.00039949 NEWSPAPER NOTICES199-41-6499.00-750-89900039949 N

1,067.00Totals for Check 052619

052620 77.5008-31-2018 JOHNSON FEED & WEST 117961 ROLLER ASSEMBLY VK5351-4211199-51-6318.00-999-899000678450 N

052621 14.0008-31-2018 JOSE ROHANA 118013 Inspection Sticker199-34-6219.00-999-899000118013 N

28.00118013 Inspection Sticker199-51-6219.00-999-899000118013 N

42.00Totals for Check 052621

052622 24.0008-31-2018 JUNDELYN L VILLAREAL 117878 LODGING DIFFERENCE REFUND199-13-6411.00-101-811000117878 N

052623 23.6708-31-2018 K-BOB'S STEAKHOUSE 117753 PHS V-BALL (VAR & JVB) BUENA167-36-6411.03-001-891000117753 N

279.65117753 PHS V-BALL (VAR & JVB) BUENA167-36-6412.03-001-891000117753 N

303.32Totals for Check 052623

052624 1,679.2608-31-2018 LAUN-DRY SUPPLY COM 118002 Cleaning Supplies199-51-6319.00-001-8990001083692A N

1,167.81118002 Cleaning Supplies199-51-6319.00-041-8990001083692A N

1,832.77118002 Cleaning Supplies199-51-6319.00-101-8990001083692A N

233.95118002 Cleaning Supplies199-51-6319.00-999-8990001083692A N

147.36118002 Cleaning Supplies199-51-6319.44-999-8990001083692A N

5,061.15Totals for Check 052624

052625 3,154.0008-31-2018 LENNOX INDUSTRIES, 117862 5 TON ELECTRIC -208/I PHASE U199-51-6319.00-001-8990000555037511 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 29 of 32

CheckDate EFT

052626 30.0008-31-2018 LUIS COVOS 118018 Mop Cleaning101-35-6219.00-001-899000118018 N

052627 1,293.7508-31-2018 MOUNCE, GREEN, 117998 LEGAL SERVICES199-41-6211.00-701-89900057793 N

052628 597.2508-31-2018 N-TUNE MUSIC & SOUN 116221 INSTRUMENT REPAIRS168-36-6249.10-001-899000ODEWA6JSP N

052629 2.8508-31-2018 NORTH TEXAS TOLLWA 039950 SOLAR CAR CHALLENGE TOLLS169-11-6499.63-001-822000801078380 N

052630 2,999.9908-31-2018 OFFICE DEPOT 117685 DRONE CURRICULUM AND169-11-6398.43-001-822000159906335001 N

7,372.04117685 DRONE CURRICULUM AND169-11-6399.43-001-822000159906335001 N

159.96117720 Printer Cartridge199-11-6399.00-001-811000182252781001 N

10,531.99Totals for Check 052630

052631 630.0008-31-2018 OFFICE OF THE SECRET 117362 SOS ELECTION LAW SEMINAR199-41-6439.00-702-89900026480/26393 N

052632 2,196.4008-31-2018 PCMG, INC 117854 PROJECTORS162-11-6399.00-001-825000024135390101 N

2,196.40117855 PROJECTORS162-11-6399.00-001-825000B09103100101 N

2,196.40117854 PROJECTORS162-11-6399.00-041-825000024135390101 N

1,921.85117855 PROJECTORS162-11-6399.00-101-825000B09103100101 N

8,511.05Totals for Check 052632

052633 126.0008-31-2018 PECOS HIGH SCHOOL 117889 PHS CC BOYS/GIRLS @ PECOS167-36-6499.24-001-89100049338 N

98.00117889 PHS CC BOYS/GIRLS @ PECOS167-36-6499.34-001-89100049338 N

224.00Totals for Check 052633

052634 1,500.0008-31-2018 CEED INC. 117674 PI-TOP CHARGING STATION169-11-6398.63-001-8220002018085559- N

9,833.70117674 PI-TOP COMPUTERS169-11-6399.63-001-8220002018085559- N

11,333.70Totals for Check 052634

052635 32.0008-31-2018 RESERVE ACCOUNT 117193 mail artwork199-11-6499.00-001-81100017761255 N

052636 22.5608-31-2018 PORTER'S THRIFTWAY 117785 PHS V-BALL VARSITY WINK TOUR167-36-6411.03-001-891000117785 N

15.70117758 PHS V-BALL JVB WINK TOURNEY167-36-6411.03-001-891000117758 N

8.47117885 PHS CC BOYS @ PECOS167-36-6411.24-001-891000117885 N

9.14117887 PHS CC GIRLS @ PECOS167-36-6411.34-001-891000117887 N

97.89117785 PHS V-BALL VARSITY WINK TOUR167-36-6412.03-001-891000117785 N

68.38117758 PHS V-BALL JVB WINK TOURNEY167-36-6412.03-001-891000117758 N

76.68117885 PHS CC BOYS @ PECOS167-36-6412.24-001-891000117885 N

77.52117887 PHS CC GIRLS @ PECOS167-36-6412.34-001-891000117887 N

78.18117980 BO COFFMAN CC MEET 8/23/2018167-36-6499.24-001-891000117980 N

78.17117980 BO COFFMAN CC MEET 8/23/2018167-36-6499.34-001-891000117980 N

203.34117905 Staff Dev. working lunch199-13-6499.00-001-811000117905 N

203.34117905 Staff Dev. working lunch199-13-6499.00-041-811000117905 N

203.35117905 Staff Dev. working lunch199-13-6499.00-101-811000117905 N

111.71117900 TEAM OF EIGHT MEETING199-41-6499.00-702-899000117900 N

1,254.43Totals for Check 052636

052637 15.0008-31-2018 PRESIDIO COUNTY TAX 118014 License Plate199-34-6219.00-999-899000118014 N

30.00118014 License Plate199-51-6499.00-999-899000118014 N

45.00Totals for Check 052637

052638 120.0008-31-2018 PRESIDIO TRUCKS, LLC. 117956 BUS STATE INSPECTIONS199-34-6219.00-999-899000117956 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 30 of 32

CheckDate EFT

052639 36.8808-31-2018 STAPLES, INC. 117561 SUPT SIGNATURE STAMP199-41-6399.00-701-8990008014366 N

31.50117504 BUSINESS CARDS FOR R.VASQU199-41-6399.00-701-8990007773847 N

391.24117800 OFFICE SUPPLIES199-41-6399.00-701-8990008612012/859408 N

273.41117969 Maint. Supplies199-51-6399.00-999-8990009467068 N

1,363.73117682 MIGRANT PROGRAM212-11-6399.00-001-8240008266986 N

518.22117682 MIGRANT PROGRAM212-11-6399.00-041-8240008266986 N

845.51117682 MIGRANT PROGRAM212-11-6399.00-101-8240008266986 N

3,460.49Totals for Check 052639

052640 503.1208-31-2018 RAY VASQUEZ 118011 PER DIEM-EQUITY MEETING199-41-6411.00-701-899000118011 N

052641 25.0008-31-2018 REGION 17 ESC 117313 Registration Fee101-35-6499.00-001-899000038843 N

25.00117314 Registration Fee101-35-6499.00-001-899000038843 N

25.00117293 Registration Fee101-35-6499.00-041-899000038843 N

25.00117292 Registration Fee101-35-6499.00-041-899000038843 N

25.00117294 Registration Fee101-35-6499.00-101-899000038843 N

125.00Totals for Check 052641

052642 560.6308-31-2018 REGION 18 EDUCATION 117999 DISASTER RECOVERY SERVICES197-11-6219.00-999-899000039856 N

50.00117877 REGISTRATION FEES199-13-6499.00-001-811000040416/17/20/21 N

50.00117877 REGISTRATION FEES199-13-6499.00-101-811000040416/17/20/21 N

165.00117994 Professional Development289-13-6219.55-001-825000039836 N

165.00117994 Professional Development289-13-6219.55-041-825000039836 N

170.00117994 Professional Development289-13-6219.55-101-825000039836 N

1,160.63Totals for Check 052642

052643 325.0008-31-2018 SAMUEL MARQUEZ 117692 WINDSHIELD REPAIR199-51-6318.00-999-899000117692 N

052644 375.0008-31-2018 SUMMIT INDUSTRIES C 117577 CHECK IN SYSTEM PHS199-11-6219.00-001-811000AA7180 N

150.00117577 CHECK IN SYSTEM PHS199-11-6219.00-101-811000AA7180 N

2,995.00117577 CHECK IN SYSTEM PHS199-11-6398.00-001-811000AA7180 N

429.00117577 CHECK IN SYSTEM PHS199-11-6399.00-001-811000AA7180 N

322.40117577 CHECK IN SYSTEM PHS199-11-6499.00-001-811000AA7180 N

4,271.40Totals for Check 052644

052645 13.5608-31-2018 SUBWAY 117886 PHS CC BOYS @ PECOS167-36-6411.24-001-891000117886 N

122.94117886 PHS CC BOYS @ PECOS167-36-6412.24-001-891000117886 N

136.50Totals for Check 052645

052646 16,613.4408-31-2018 SYNETRA 117695 LAPTOP COMPUTERS A+ AND G/163-11-6398.00-001-8300000091573 N

5,191.70117695 LAPTOP COMPUTERS A+ AND G/165-11-6399.00-041-8210000091573 N

36.25039948 SUPPORT SERVICES197-53-6219.00-999-8990000091674 N

21,841.39Totals for Check 052646

052647 4,241.1508-31-2018 TAKKT AMERICA HOLDI 117802 FURNITURE FOR SUPERINTENDE199-41-6398.00-701-899000CV937127-TDQ N

379.00117802 FURNITURE FOR SUPERINTENDE199-41-6399.00-701-899000CV937127-TDQ N

4,620.15Totals for Check 052647

052648 84.5308-31-2018 THREE PALMS INN 117906 LODGING FOR DR.KARR199-41-6419.00-701-89900008/11/2018 N

052649 202.0008-31-2018 TSTC TEX-BOOKS & MO 039945 DUAL CREDIT TEXTBOOKS169-11-6399.63-001-8220001632046 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 31 of 32

CheckDate EFT

052650 2.6108-31-2018 UNITED PARCEL 117910 SHIPPING FEES199-52-6499.00-999-8990000000Y6Y137348 N

052651 1,239.2408-31-2018 UNITED REFRIGERATIO 117825 COPE R410A SCROLL COMP199-51-6319.00-041-89900063669434-00 N

651.36117960 COPE 32K R22/407 SCROLL A/C199-51-6319.66-999-89900063998384-00 N

1,890.60Totals for Check 052651

052652 44.6308-31-2018 VALERO MARKETING & 117973 Fuel-LUNCHROOM TRAINING101-35-6411.00-001-899000117973 N

93.83117668 FUEL-AUTISIM CONFERENCE166-11-6411.00-041-823000117668 N

57.34117168 FUEL-SP. ED TRAINING166-13-6411.00-041-823000117168 N

317.81117977 FUEL-SOLAR CAR 2018169-11-6412.63-001-822000117977 N

376.62117944 FUEL-TOBACCO FREE CONFERE199-52-6411.00-999-899000117944 N

890.23Totals for Check 052652

052653 272.8508-31-2018 CARD SERVICE CENTER 117537 LODGING-CHILD NUTRITION SUM101-35-6411.00-001-899000117537 N

272.85117536 LODGING-CHILD NUTRITION SUM101-35-6411.00-001-899000117536 N

277.95117538 LODGING-CHILD NUTRITION SUM101-35-6411.00-041-899000117538 N

272.85117539 LODGING-CHILD NUTRITION SUM101-35-6411.00-041-899000117539 N

272.85117533 LODGING-CHILD NUTRITION SUM101-35-6411.00-101-899000117533 N

509.32117734 PHS V-BALL V/JVB WINK TOURNE167-36-6411.03-001-891000117734 N

1,018.64117734 PHS V-BALL V/JVB WINK TOURNE167-36-6412.03-001-891000117734 N

4,325.12039947 SOLAR CAR CHALLENGE EXPEN169-11-6411.63-001-82200039947 N

4,325.11039947 SOLAR CAR CHALLENGE EXPEN169-11-6412.63-001-82200039947 N

181.76039946 RYLA CAMP EXPENSES-SPONSO199-11-6411.00-001-81100039946 N

181.74039946 RYLA CAMP EXPENSES-STUDEN199-11-6412.00-001-81100039946 N

13.67117921 TOLL FEES199-11-6499.00-001-811000117921 N

696.00117829 CLEP EXAMS FEES199-11-6499.00-001-811000117829 N

290.96117959 FLIGHT FOR R.VASQUEZ199-41-6411.00-701-899000117959 N

134.54117950 LODGING FOR R.VASQUEZ199-41-6411.00-701-899000117950 N

368.42117842 LODGING FOR R.VASQUEZ199-41-6411.00-701-899000117842 N

695.00117840 REGISTRATION FOR SUPT ACAD199-41-6499.00-701-899000117840 N

1.50039820 POSTAGE FEES199-41-6499.00-750-89900039820 N

9.20039835 POSTAGE FEES199-41-6499.00-750-89900039835 N

14.96117881 POSTAGE FEES199-41-6499.00-750-899000117881 N

68.01117622 MEALS-TOBACCO FREE CONFER199-52-6411.00-999-899000117622 N

204.08117622 MEALS-TOBACCO FREE CONFER199-52-6499.00-999-899000117622 N

14,407.38Totals for Check 052653

052654 903.0008-31-2018 WELCH ALLYN INC 117983 REPAIR SERVICES199-52-6219.00-999-89900093988842 N

052655 66.1108-31-2018 WESTAIR-PRAXAIR 116603 Bottle rental169-11-6399.13-001-82200084640608 N

052656 79.7008-31-2018 WTU RETAIL ENERGY 118007 TECHNOLOGY ELECTRICITY USE199-51-6257.00-999-8990007153083 N

211417 9.5208-07-2018 ATPE PD0802 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211418 260.5308-07-2018 GENERAL OPERATING F PD0811 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211419 175.0008-07-2018 GENERAL OPERATING F PD0809 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211420 223.9608-07-2018 PHEAA PD0807 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

Program: FIN130009-11-2018 1:17 PM189-902

Date Run:Cnty Dist:From 08-01-2018 To 08-31-2018

PRESIDIO ISDCheck Payments

CheckNbr

File ID: 8For the Month of August

AmountPayeePONbr ReasonFnd-Fnc-Obj.So-Org-Prog

InvoiceNbr

Page: 32 of 32

CheckDate EFT

211421 7.5008-07-2018 TEXAS AFT/PROFESSIO PD0810 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211422 196.2608-07-2018 TRELLIS COMPANY PD0803 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211423 187.5308-07-2018 TRELLIS COMPANY PD0806 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211424 155.7708-07-2018 TRELLIS COMPANY PD0805 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211425 151.0408-07-2018 TRELLIS COMPANY PD0804 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211426 179.5608-07-2018 US DEPARTMENT OF ED PD0808 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211674 1,548.2008-15-2018 AFLAC 039877 JULY 2018 HEALTH INS. PREM.863-00-2110.01-000-800000626947 N

211675 957.4608-16-2018 SUN LIFE FINANCIAL 039878 AUGUST 2018 EMPLOYEE LIFE IN863-00-1290.78-000-80000039878 N

51.40039878 AUGUST 2018 EMPLOYEE LIFE IN863-00-2110.01-000-80000039878 N

1,008.86Totals for Check 211675

211676 9.5208-16-2018 ATPE PD0814 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211677 260.5308-16-2018 GENERAL OPERATING F PD0825 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211678 25.0008-16-2018 GENERAL OPERATING F PD0815 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211679 7,415.0008-16-2018 GENERAL OPERATING F PD0820 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211680 175.0008-16-2018 GENERAL OPERATING F PD0823 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211681 223.9608-16-2018 PHEAA PD0821 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211682 7.5008-16-2018 TEXAS AFT/PROFESSIO PD0824 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211683 196.2608-16-2018 TRELLIS COMPANY PD0816 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211684 187.5308-16-2018 TRELLIS COMPANY PD0819 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211685 155.7708-16-2018 TRELLIS COMPANY PD0818 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211686 151.0408-16-2018 TRELLIS COMPANY PD0817 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211687 179.5608-16-2018 US DEPARTMENT OF ED PD0822 PAYROLL DEDUCTION863-00-2110.01-000-800000 N

211689 1,548.2008-27-2018 AFLAC 039924 AUGUST INSURANCE PREMIUMS863-00-2110.01-000-800000 N

211690 28,675.1608-27-2018 FIRST FINANCIAL ADMIN 039925 AUG. INSURANCE/ANNUITY PRE863-00-2110.01-000-800000 N

211691 135,000.0008-27-2018 GENERAL OPERATING F 039804 OPERATING TRANSFER REFUND863-00-2171.83-000-80000039804 N

211692 289.7208-28-2018 GENERAL OPERATING F 039852 TRANSFER INTERST EARNED863-00-2171.00-000-80000039852 N

End of Report2,822,877.93Total Checks