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Accounts Payable Batch - Accounting (002)
Payable batches audited and certified by the auditing officer as required by RCW 42.24.080 and those expense reimbursement claims certified as required by RCW 42.24.090, have been recorded on a listing which has been made available to the Board: Batch ID: GCCC04222019 As of this date, 0412312019, the Board, by a majority vote, does approve for payment those payable batches Payable Total: $ 102,797.60 Reviewed and certified by: Commissioner Commissioner J -- Chairman of the Board of C Prnmissioners Date: 4 123 I J4J AP BATCH ID: GCCC04222019 Grant County Claims Clearing Account - 9201 Name FUND $ - AMOUNT CURRENT EXPENSE 001.000. $ 42,810.00 COUNTYROAOS 101 $ 2,138.22 VETS ASSISTANCE 104 $ - $ 388.42/CCCL0319SF FEDERALDRUG 107 $ - $ 1,277.02/CCASR0319BP MENTAL HEALTH 108 $ 21 324.93 ST DRUG SEIZURE 109 $ 2,340.12 LAW LIBRARY 110 S $ 511.10..,CCPL0412201SHK TREASURER CAI 111 $ $ 10,632.92 'bCFM032019KS JAIL CONCESSION 112 $ $ 30,397.36/CCCSD319TG ECON ENHANCMNT 113 $ 651.30 $ CCSHER0319DH . t�•� ,� TOURIST ADVERT 114 $ 23.53 $ -0.0,894.04-CCJAIL0319DH Ct y P. A. R. C. 115 S - .CtV"1_Ci' $ 2,121.34 CCJV0319PT COUNTY FAIR 116 $ 1,570.45 INET INVESTIGATION 118 S - $ 32.46 CCWSU319LB PROS CRIME VICT 120 $ $ 47526 CCHR319LP LAW & JUSTICE 121 S - $ 1,973.70 CCPD0319KH TURNKEY LIGHT 122 $ 189.64 n $ 414%.-24 CCGRIS0319TE 43, 2T ILAl'i AUDITOR O/M 124 S - S 3,140.90 CCFG004119TW 00 RESIDENT FROG 125 $ 370.91 R.E.E.T. tstll4% 126 $ 326.92 TRIAL COURT IMPROV. 127 S - $ 16,264.48 CCTS0419SR DOM VIOL SRVCS 128 $ 3,031.29 AFF HOUSING 129 HMLS HS LOC 130 REET 2nd 1/4% 132 Econ Enh. Rural Co 133 Dispute Resolution 136 Building 138 $ 1,346.94 REET Admin 139 $ 864.47 S 163,052.58 SHERIFF SURPLUS 140 $ 864.47 S 163,052.58 HILLCREST CRID 161 $ 808.46 $ 47,617.42 GRANTS ADMIN. 190 S 1,672.93 $ 210,670.00 MUSEUM CONTRUCTION 304 MACC Bond 307 MCKINSTRY ESSENTION 308 COUNTY FAIR SEWER 309 SOLID WASTE 401 $ 677.29 DATA PROCESSING 501 $ 6,319.30 QUADRENNIAL 502 $ 356.49 INSURANCE 503 INTFUND BENEFITS 505 UNEMPLOY COMP 506 DENTAL INS. 507 OTHER PR BEN. 508 VISION BENEFITS 509 EQUIP RENTAL 510 $ 20,184.74 TECHNICAL SERV. 195 523 PITS & QUARRIES 560 PAYROLL LIABILITIES 690.001 TOTAL TRANSFER: b 102,797.60 AP COMPLETED BY: E. WASH JOURNAL ENTRY: 1 11:1-1 TREASURER NOTIFIED: 4, zl:�- IC? POSTING COMPLETED BY: j�^1rnL-C)t CHECKS: ��, ✓ _ �j(�(q� VOIDED: BATCH PIdCHK CREDITS PMTRX yI/ $ 23,000.25 $ 46.000.50 $ 808.46 $ 47,617.42 CCPW0319CC S 23,000.25 $ 46,000.50 $ 808.46 $ 47,617.42 S 654.29 3 1,308.58 $ - $ 1,308.58 CCB00042019JG S 217.93 $ 435.86 $ $ 435.66 •CCDC0319DJO S 378.55 $ 757.10 $ $ 757.10 tCSC0319CMB S 194.21 $ 388.42 $ - $ 388.42/CCCL0319SF S 638.51 $ 1,277.02 $ - $ 1,277.02/CCASR0319BP $ 66.99 $ 133.98 $ - $ 133.98/CCPA0319K8 S 675.55 3 1.351.10 S $ 1,351.10 /CCDSA04122019HK 5 255.55 $ 511.10 S $ 511.10..,CCPL0412201SHK S 5,316.46 $ 10,632.92 $ $ 10,632.92 'bCFM032019KS S 15,198.68 $ 30,397.36 $ $ 30,397.36/CCCSD319TG S 13.SE0.88 $ 27,121.76 $ 651.30 $ CCSHER0319DH . t�•� ,� S 4,984.96 $ 9.969.92 $ 23.53 $ -0.0,894.04-CCJAIL0319DH Ct y S 1,060.67 $ 2.121.34 S - .CtV"1_Ci' $ 2,121.34 CCJV0319PT i 215.12 S 430.24 S - $ 430.24 COCCO40919CM S 16.23 $ 32.46 S - $ 32.46 CCWSU319LB S 237.63 S 475.26 $ $ 47526 CCHR319LP 6 986.85 $ 1,973.70 S - $ 1,973.70 CCPD0319KH i 21,695.84 S 43.391.68 $ 189.64 n $ 414%.-24 CCGRIS0319TE 43, 2T ILAl'i i 1,570.45 $ 3.140.90 S - S 3,140.90 CCFG004119TW i 3,031.29 $ 6,062.58 $ - $ 6,062.58 CCNH319-MKH 708.48 $ 1,416.96 S - $ 1,416.96 CCBLD04122019HK 8,132.23 S 16,264.46 S - $ 16,264.48 CCTS0419SR S S $ 79,797.35 $ 159,594.70 $ 864.47 S 163,052.58 79,797.35 S 159,594.70 $ 864.47 S 163,052.58 23,000.25 S 46,000.50 $ 808.46 $ 47,617.42 102,797.60 $ 205,59520 S 1,672.93 $ 210,670.00