La Joya ISD Summary of Check Registers January 2017
Total Payroll Transactions (Includes Benefits):
$19,611,178.89
Total Non-Payroll Transactions*:
$12,716,058.59
Grand Total:
*See detail transactions on the following pages.
$32,327,237.48
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210215865 00586791
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN906572
17002787 RENTAL OF XEROX 5955APT DIGITAL COPIER
101-35-6269-00-958-7-99-000 RENTALS-OPERATING LEASES 00586793
IN945251
17002787 RENTAL OF XEROX 5955APT DIGITAL COPIER
101-35-6269-00-958-7-99-000 RENTALS-OPERATING LEASES 00587019
IN983097
17002787 RENTAL OF XEROX 5955APT DIGITAL COPIER
101-35-6269-00-958-7-99-000 RENTALS-OPERATING LEASES 0210216591 00590086
01/12/17 INV0736555
15767
Total Check per Fund: BRIGGS EQUIPMENT
17002025 PERSONNEL WORK PLATFORM FOR THE CNS D
101-35-6398-00-958-7-99-000 EQUIP FROM 500 - 4,999.99 00590085
INV0724418
17002025 PERSONNEL WORK PLATFORM FOR THE CNS D
101-35-6398-00-958-7-99-000 EQUIP FROM 500 - 4,999.99 0210216613 00590160
01/12/17 DEC. 2016
133485
Total Check per Fund: CHAVEZ ANTONIO
17001542 MILEAGE REIMBURSEMENT FOR THE YEAR SE
101-35-6411-00-958-7-99-000 TRAVEL - EMPLOYEES 0210216625 00590581
01/12/17 IN1019010
18896
Total Check per Fund: DAHILL INDUSTRIES
17002787 RENTAL OF XEROX 5955APT DIGITAL COPIER
101-35-6269-00-958-7-99-000 RENTALS-OPERATING LEASES 0210216649 00590271
01/12/17 4177272
46515
Total Check per Fund: FERGUSON ENTERPRISES, INC. #116
17007589 RED STOP PUSH BUTTON FOR GARBAGE DISPO
101-35-6319-00-958-7-99-000 SUPPLIES
00590286
01/12/17 DEC. 2016
20403
00589931
01/12/17
17001602 MILEAGE REIMBURSEMENT FOR THE YEAR SE
1184803959
72214
Total Check per Fund: FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589932
1184903959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589933
1187503959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589934
1187603959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589935
1187703959
-456.42 CV Computer Void -456.42 -456.42 CV Computer Void -456.42 -456.42 CV Computer Void -456.42 -456.42 CV Computer Void -1,825.68 872.30 872.30 C
Computer
125.00 125.00 C
Computer
997.30 16.20 16.20 C
Computer
16.20 456.42 456.42 C
Computer
456.42 59.94 Computer
59.94
FLORES ZOILA
101-35-6411-00-958-7-99-000 TRAVEL - EMPLOYEES 0210216657
Status Description
-456.42
59.94 C Total Check per Fund:
0210216656
Status
DAHILL INDUSTRIES
17002787 RENTAL OF XEROX 5955APT DIGITAL COPIER
101-35-6269-00-958-7-99-000 RENTALS-OPERATING LEASES 00586792
Amount Paid
FOOD SERVICE FUND
IN865762
1
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD
12.96 12.96 C
Computer
12.96 72.25 72.25 C
Computer
78.50 78.50 C
Computer
75.45 75.45 C
Computer
84.85 84.85 C
Computer
109.80 109.80 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216657 00589936
Vendor Name
PO No
Description
Acct Amt
01/12/17
72214
1189707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589938
1189807917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589939
1189907917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589940
1190007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589941
1190007917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589942
1190107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589943
1190107917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589944
1190207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589945
1190207917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589946
1190307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589947
1190307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589948
1190407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589949
1190407917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589950
1190507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589951
1190507917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589952
1190607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589953
1190607917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589954
1190707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589955
1190707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589956
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589937
Amount Paid
FOOD SERVICE FUND
1187803959
1190807916
2
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
87.95 87.95 C
Computer
106.75 106.75 C
Computer
81.55 81.55 C
Computer
104.25 104.25 C
Computer
100.60 100.60 C
Computer
204.15 204.15 C
Computer
97.40 97.40 C
Computer
84.85 84.85 C
Computer
87.30 87.30 C
Computer
91.10 91.10 C
Computer
216.95 216.95 C
Computer
59.70 59.70 C
Computer
96.20 96.20 C
Computer
108.75 108.75 C
Computer
109.95 109.95 C
Computer
86.05 86.05 C
Computer
97.50 97.50 C
Computer
72.20 72.20 C
Computer
103.75 103.75 C
Computer
87.30 87.30 C 122.45
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216657 00589956
Vendor Name
PO No
Description
Acct Amt
01/12/17
72214
1190907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589958
1191007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589959
1191107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589960
1191207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589961
1191307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589962
1191407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589963
1191507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589964
1191607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589965
1206004366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589966
1206704366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589967
1206807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589968
1206907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589969
1207007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589970
1207107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589971
1207207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589972
1207307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589973
1207407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589974
1207503959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589975
1207507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589976
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589957
Amount Paid
FOOD SERVICE FUND
1190807916
1207603959
3
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
122.45 122.45 C
Computer
91.80 91.80 C
Computer
97.40 97.40 C
Computer
188.60 188.60 C
Computer
82.35 82.35 C
Computer
94.30 94.30 C
Computer
101.20 101.20 C
Computer
78.50 78.50 C
Computer
68.45 68.45 C
Computer
110.00 110.00 C
Computer
94.25 94.25 C
Computer
106.85 106.85 C
Computer
91.15 91.15 C
Computer
220.55 220.55 C
Computer
84.80 84.80 C
Computer
91.80 91.80 C
Computer
116.20 116.20 C
Computer
97.50 97.50 C
Computer
67.25 67.25 C
Computer
103.75 103.75 C 69.10
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216657 00589976
Vendor Name
PO No
Description
Acct Amt
01/12/17
72214
1207607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589978
1207707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589979
1207807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589980
1207907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589981
1208007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589982
1208103959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589983
1208107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589984
1208203959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589985
1208207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589986
1208303959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589987
1208307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589988
1208403959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589989
1208407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589990
1211007917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589991
1211107917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589992
1211207917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589993
1211307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589994
1211407917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589923
1211507917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589924
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589977
Amount Paid
FOOD SERVICE FUND
1207603959
1211607917
4
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
69.10 69.10 C
Computer
116.25 116.25 C
Computer
90.55 90.55 C
Computer
100.55 100.55 C
Computer
176.00 176.00 C
Computer
75.45 75.45 C
Computer
94.20 94.20 C
Computer
81.75 81.75 C
Computer
119.20 119.20 C
Computer
101.20 101.20 C
Computer
69.15 69.15 C
Computer
74.10 74.10 C
Computer
84.85 84.85 C
Computer
57.20 57.20 C
Computer
72.20 72.20 C
Computer
96.75 96.75 C
Computer
84.80 84.80 C
Computer
164.60 164.60 C
Computer
88.00 88.00 C
Computer
78.55 78.55 C 116.25
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216657 00589924
Vendor Name
PO No
Description
Acct Amt
01/12/17
72214
1211707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589926
1211807917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589927
1211907917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589928
1213307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589929
1226704366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589930
1227104366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 0210216672 00590648
01/12/17 1245924
7520
Total Check per Fund: GULF COAST PAPER CO.
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00590649
1248432
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00590647
1248670
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210216685 00590737
01/12/17 740994
10157
Total Check per Fund: OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590737
740994
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590738
49520916
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590738
49520916
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590739
49520917
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590739
49520917
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590740
49520918
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590740
49520918
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590741
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00589925
Amount Paid
FOOD SERVICE FUND
1211607917
49520919
5
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
116.25 116.25 C
Computer
59.70 59.70 C
Computer
103.60 103.60 C
Computer
87.30 87.30 C
Computer
75.30 75.30 C
Computer
110.00 110.00 C
Computer
97.35 97.35 C
Computer
7,158.20 7,792.00 7,792.00 C
Computer
7,792.00 7,792.00 C
Computer
7,792.00 7,792.00 C
Computer
23,376.00 191.92 191.92 C
Computer
150.80 150.80 C
Computer
258.28 258.28 C
Computer
202.94 202.94 C
Computer
254.25 254.25 C
Computer
199.76 199.76 C
Computer
252.78 252.78 C
Computer
198.61 198.61 C 333.76
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590741
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520919
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590742
49520920
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590742
49520920
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590743
49520921
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590743
49520921
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590744
49520922
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590744
49520922
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590745
495200923
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590745
495200923
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590746
49520924
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590746
49520924
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590747
49520925
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590747
49520925
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590748
49520926
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590748
49520926
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590749
49520927
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590749
49520927
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590750
49520928
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590750
49520928
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590751
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590741
Amount Paid
FOOD SERVICE FUND
49520919
49520929
6
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
333.76 333.76 C
Computer
262.24 262.24 C
Computer
166.31 166.31 C
Computer
130.67 130.67 C
Computer
171.25 171.25 C
Computer
134.55 134.55 C
Computer
122.09 122.09 C
Computer
95.92 95.92 C
Computer
133.30 133.30 C
Computer
104.74 104.74 C
Computer
202.36 202.36 C
Computer
159.00 159.00 C
Computer
117.07 117.07 C
Computer
91.98 91.98 C
Computer
150.82 150.82 C
Computer
118.50 118.50 C
Computer
705.44 705.44 C
Computer
554.28 554.28 C
Computer
233.81 233.81 C
Computer
183.71 183.71 C 265.05
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590751
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520929
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590752
49520930
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590752
49520930
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590753
49734306
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590753
49734306
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590754
49734308
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590754
49734308
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590755
49734310
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590755
49734310
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590756
49734312
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590756
49734312
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590757
49734314
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590757
49734314
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590758
49734316
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590758
49734316
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590759
49734318
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590759
49734318
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590760
49734320
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590760
49734320
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590761
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590751
Amount Paid
FOOD SERVICE FUND
49520929
49734322
7
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
265.05 265.05 C
Computer
208.26 208.26 C
Computer
201.22 201.22 C
Computer
158.10 158.10 C
Computer
416.54 416.54 C
Computer
327.28 327.28 C
Computer
536.49 536.49 C
Computer
421.52 421.52 C
Computer
192.11 192.11 C
Computer
150.94 150.94 C
Computer
247.11 247.11 C
Computer
194.15 194.15 C
Computer
378.77 378.77 C
Computer
297.60 297.60 C
Computer
194.54 194.54 C
Computer
152.85 152.85 C
Computer
143.88 143.88 C
Computer
113.04 113.04 C
Computer
343.00 343.00 C
Computer
269.50 269.50 C 205.58
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590761
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734322
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590762
49734324
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590762
49734324
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590763
49734326
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590763
49734326
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590764
49734328
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590764
49734328
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590765
49734330
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590765
49734330
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590766
49734332
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590766
49734332
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590767
49734334
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590767
49734334
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590768
49734336
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590768
49734336
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590769
49734338
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590769
49734338
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590770
49734340
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590770
49734340
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590771
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590761
Amount Paid
FOOD SERVICE FUND
49734322
742052
8
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
205.58 205.58 C
Computer
161.53 161.53 C
Computer
295.05 295.05 C
Computer
231.82 231.82 C
Computer
139.64 139.64 C
Computer
109.72 109.72 C
Computer
170.45 170.45 C
Computer
133.92 133.92 C
Computer
153.64 153.64 C
Computer
120.72 120.72 C
Computer
124.71 124.71 C
Computer
97.99 97.99 C
Computer
247.73 247.73 C
Computer
194.65 194.65 C
Computer
242.96 242.96 C
Computer
190.90 190.90 C
Computer
311.33 311.33 C
Computer
244.62 244.62 C
Computer
234.62 234.62 C
Computer
184.35 184.35 C 185.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590771
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
742052
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590772
49520931
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590772
49520931
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590773
49520932
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590773
49520932
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590774
49520933
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590774
49520933
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590775
49520934
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590775
49520934
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590776
49520935
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590776
49520935
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590777
40920936
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590777
40920936
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590778
49520937
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590778
49520937
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590779
49520938
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590779
49520938
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590780
49520939
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590780
49520939
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590781
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590771
Amount Paid
FOOD SERVICE FUND
742052
49520940
9
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
185.57 185.57 C
Computer
145.81 145.81 C
Computer
283.06 283.06 C
Computer
222.40 222.40 C
Computer
344.55 344.55 C
Computer
270.71 270.71 C
Computer
246.09 246.09 C
Computer
193.36 193.36 C
Computer
382.89 382.89 C
Computer
300.85 300.85 C
Computer
124.92 124.92 C
Computer
98.16 98.16 C
Computer
245.13 245.13 C
Computer
192.61 192.61 C
Computer
203.82 203.82 C
Computer
160.14 160.14 C
Computer
198.78 198.78 C
Computer
156.18 156.18 C
Computer
321.18 321.18 C
Computer
252.36 252.36 C 249.09
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590781
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520940
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590782
49520941
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590782
49520941
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590783
49520942
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590783
49520942
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590784
49520943
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590784
49520943
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590785
49520944
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590785
49520944
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590786
49520945
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590786
49520945
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590787
49734342
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590787
49734342
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590788
49734344
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590788
49734344
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590789
49734346
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590789
49734346
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590790
49734348
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590790
49734348
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590791
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590781
Amount Paid
FOOD SERVICE FUND
49520940
49734350
10
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
249.09 249.09 C
Computer
195.71 195.71 C
Computer
290.47 290.47 C
Computer
228.23 228.23 C
Computer
598.93 598.93 C
Computer
470.58 470.58 C
Computer
231.51 231.51 C
Computer
181.90 181.90 C
Computer
256.61 256.61 C
Computer
201.63 201.63 C
Computer
261.12 261.12 C
Computer
205.17 205.17 C
Computer
523.78 523.78 C
Computer
411.54 411.54 C
Computer
385.26 385.26 C
Computer
302.71 302.71 C
Computer
259.61 259.61 C
Computer
203.98 203.98 C
Computer
473.44 473.44 C
Computer
371.99 371.99 C 191.20
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590791
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734350
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590792
49734352
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590792
49734352
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590793
49734354
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590793
49734354
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590794
49734356
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590794
49734356
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590795
49734358
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590795
49734358
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590796
49734360
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590796
49734360
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590797
49734362
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590797
49734362
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590798
49734364
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590798
49734364
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590799
49734366
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590799
49734366
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590800
49734368
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590800
49734368
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590801
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590791
Amount Paid
FOOD SERVICE FUND
49734350
49734370
11
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
191.20 191.20 C
Computer
150.22 150.22 C
Computer
182.47 182.47 C
Computer
143.37 143.37 C
Computer
238.43 238.43 C
Computer
187.34 187.34 C
Computer
258.74 258.74 C
Computer
203.30 203.30 C
Computer
300.66 300.66 C
Computer
236.23 236.23 C
Computer
155.98 155.98 C
Computer
122.56 122.56 C
Computer
232.69 232.69 C
Computer
182.83 182.83 C
Computer
171.91 171.91 C
Computer
135.08 135.08 C
Computer
172.50 172.50 C
Computer
135.54 135.54 C
Computer
294.69 294.69 C
Computer
231.55 231.55 C 233.27
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590801
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734370
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590802
49734372
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590802
49734372
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590803
49734374
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590803
49734374
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590804
49734376
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590804
49734376
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590805
743132
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590805
743132
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590806
49520946
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590806
49520946
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590807
49520947
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590807
49520947
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590808
49520948
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590808
49520948
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590809
49520949
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590809
49520949
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590810
49520950
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590810
49520950
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590811
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590801
Amount Paid
FOOD SERVICE FUND
49734370
49520951
12
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
233.27 233.27 C
Computer
183.28 183.28 C
Computer
265.61 265.61 C
Computer
208.70 208.70 C
Computer
247.97 247.97 C
Computer
194.84 194.84 C
Computer
178.66 178.66 C
Computer
140.38 140.38 C
Computer
195.60 195.60 C
Computer
153.69 153.69 C
Computer
372.88 372.88 C
Computer
292.97 292.97 C
Computer
274.30 274.30 C
Computer
215.52 215.52 C
Computer
156.46 156.46 C
Computer
122.93 122.93 C
Computer
325.32 325.32 C
Computer
255.61 255.61 C
Computer
141.47 141.47 C
Computer
111.16 111.16 C 167.85
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590811
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520951
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590812
49520952
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590812
49520952
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590813
49520953
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590813
49520953
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590814
49520954
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590814
49520954
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590815
49520955
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590815
49520955
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590816
49520956
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590816
49520956
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590817
49734380
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590818
49520957
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590818
49520957
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590817
49734380
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590819
49520958
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590819
49520958
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590821
49520959
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590821
49520959
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590822
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590811
Amount Paid
FOOD SERVICE FUND
49520951
49520960
13
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
167.85 167.85 C
Computer
131.88 131.88 C
Computer
179.32 179.32 C
Computer
140.89 140.89 C
Computer
84.82 84.82 C
Computer
66.64 66.64 C
Computer
202.06 202.06 C
Computer
158.77 158.77 C
Computer
262.25 262.25 C
Computer
206.06 206.06 C
Computer
279.40 279.40 C
Computer
219.52 219.52 C
Computer
566.37 566.37 C
Computer
610.55 610.55 C
Computer
479.71 479.71 C
Computer
445.01 445.01 C
Computer
245.32 245.32 C
Computer
192.76 192.76 C
Computer
248.50 248.50 C
Computer
195.25 195.25 C 145.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590822
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520960
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590823
49734378
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590823
49734378
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590820
49734382
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590820
49734382
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590824
49734384
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590824
49734384
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590825
49734386
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590825
49734386
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590826
49734388
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590826
49734388
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590827
49734390
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590827
49734390
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590828
49734392
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590828
49734392
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590829
49734394
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590829
49734394
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590830
49734396
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590830
49734396
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590831
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590822
Amount Paid
FOOD SERVICE FUND
49520960
49734398
14
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
145.57 145.57 C
Computer
114.37 114.37 C
Computer
425.51 425.51 C
Computer
334.33 334.33 C
Computer
126.46 126.46 C
Computer
99.36 99.36 C
Computer
248.15 248.15 C
Computer
194.98 194.98 C
Computer
308.16 308.16 C
Computer
242.12 242.12 C
Computer
125.08 125.08 C
Computer
98.27 98.27 C
Computer
162.70 162.70 C
Computer
127.83 127.83 C
Computer
217.73 217.73 C
Computer
171.08 171.08 C
Computer
210.67 210.67 C
Computer
165.53 165.53 C
Computer
205.75 205.75 C
Computer
161.66 161.66 C 154.91
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590831
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734398
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590832
49734400
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590832
49734400
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590833
49734402
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590833
49734402
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590834
49734404
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590834
49734404
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590835
49734406
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590835
49734406
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590836
49734408
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590836
49734408
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590837
49734410
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590837
49734410
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590838
49734412
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590838
49734412
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590839
49734414
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590839
49734414
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590840
49734416
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590840
49734416
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590841
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590831
Amount Paid
FOOD SERVICE FUND
49734398
744172
15
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
154.91 154.91 C
Computer
121.71 121.71 C
Computer
129.60 129.60 C
Computer
101.82 101.82 C
Computer
144.23 144.23 C
Computer
113.32 113.32 C
Computer
133.57 133.57 C
Computer
104.95 104.95 C
Computer
216.87 216.87 C
Computer
170.40 170.40 C
Computer
192.68 192.68 C
Computer
151.39 151.39 C
Computer
215.05 215.05 C
Computer
168.96 168.96 C
Computer
228.33 228.33 C
Computer
179.40 179.40 C
Computer
92.51 92.51 C
Computer
72.69 72.69 C
Computer
136.61 136.61 C
Computer
107.34 107.34 C 179.83
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590841
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
744172
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590842
49520961
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590842
49520961
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590843
49520962
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590843
49520962
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590844
49520963
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590844
49520963
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590845
49520964
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590845
49520964
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590846
49520965
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590846
49520965
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590847
49520966
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590847
49520966
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590848
49520967
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590848
49520967
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590849
49520968
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590849
49520968
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590850
49520969
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590850
49520969
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590851
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590841
Amount Paid
FOOD SERVICE FUND
744172
49520970
16
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
179.83 179.83 C
Computer
141.29 141.29 C
Computer
266.72 266.72 C
Computer
209.56 209.56 C
Computer
240.09 240.09 C
Computer
188.65 188.65 C
Computer
162.04 162.04 C
Computer
127.31 127.31 C
Computer
339.07 339.07 C
Computer
266.42 266.42 C
Computer
180.03 180.03 C
Computer
141.45 141.45 C
Computer
162.70 162.70 C
Computer
127.83 127.83 C
Computer
131.42 131.42 C
Computer
103.25 103.25 C
Computer
108.79 108.79 C
Computer
85.48 85.48 C
Computer
174.09 174.09 C
Computer
136.78 136.78 C 321.10
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590851
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520970
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590852
49520971
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590852
49520971
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590853
49520972
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590853
49520972
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590854
49520973
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590854
49520973
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590855
49520974
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590855
49520974
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590856
49520975
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590856
49520975
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590857
49734418
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590857
49734418
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590858
49734420
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590858
49734420
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590859
49734422
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590859
49734422
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590860
49734424
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590860
49734424
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590861
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590851
Amount Paid
FOOD SERVICE FUND
49520970
49734426
17
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
321.10 321.10 C
Computer
252.29 252.29 C
Computer
208.92 208.92 C
Computer
164.16 164.16 C
Computer
396.52 396.52 C
Computer
311.55 311.55 C
Computer
184.03 184.03 C
Computer
144.60 144.60 C
Computer
225.64 225.64 C
Computer
177.29 177.29 C
Computer
91.12 91.12 C
Computer
71.60 71.60 C
Computer
170.98 170.98 C
Computer
134.34 134.34 C
Computer
200.84 200.84 C
Computer
157.80 157.80 C
Computer
182.71 182.71 C
Computer
143.55 143.55 C
Computer
357.39 357.39 C
Computer
280.81 280.81 C 126.54
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590861
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734426
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590862
49734428
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590862
49734428
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590863
49734430
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590863
49734430
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590864
49734432
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590864
49734432
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590865
49734434
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590865
49734434
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590866
49734436
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590866
49734436
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590867
49734438
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590867
49734438
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590868
49734440
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590868
49734440
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590869
49734442
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590869
49734442
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590870
49734444
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590870
49734444
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590871
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590861
Amount Paid
FOOD SERVICE FUND
49734426
49734446
18
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
126.54 126.54 C
Computer
99.43 99.43 C
Computer
224.80 224.80 C
Computer
176.63 176.63 C
Computer
210.67 210.67 C
Computer
165.53 165.53 C
Computer
226.23 226.23 C
Computer
177.75 177.75 C
Computer
164.33 164.33 C
Computer
129.12 129.12 C
Computer
177.37 177.37 C
Computer
139.37 139.37 C
Computer
150.21 150.21 C
Computer
118.03 118.03 C
Computer
139.59 139.59 C
Computer
109.67 109.67 C
Computer
246.02 246.02 C
Computer
193.31 193.31 C
Computer
218.28 218.28 C
Computer
171.51 171.51 C 236.11
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590871
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734446
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590872
49734448
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590872
49734448
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590873
49734450
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590873
49734450
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590874
49734452
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590874
49734452
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590875
49734454
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590875
49734454
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590876
49734456
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590876
49734456
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590877
745289
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590877
745289
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590878
49520976
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590878
49520976
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590879
49520977
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590879
49520977
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590880
49520978
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590880
49520978
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590881
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590871
Amount Paid
FOOD SERVICE FUND
49734446
49520979
19
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
236.11 236.11 C
Computer
185.51 185.51 C
Computer
228.64 228.64 C
Computer
179.65 179.65 C
Computer
186.31 186.31 C
Computer
146.38 146.38 C
Computer
84.86 84.86 C
Computer
66.68 66.68 C
Computer
123.95 123.95 C
Computer
97.39 97.39 C
Computer
138.00 138.00 C
Computer
108.42 108.42 C
Computer
200.36 200.36 C
Computer
157.42 157.42 C
Computer
268.26 268.26 C
Computer
210.77 210.77 C
Computer
146.26 146.26 C
Computer
114.92 114.92 C
Computer
145.99 145.99 C
Computer
114.71 114.71 C 340.54
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590881
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520979
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590882
49520980
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590882
49520980
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590883
49520981
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590883
49520981
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590884
49520982
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590884
49520982
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590885
49520983
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590885
49520983
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590886
49520985
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590886
49520985
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590887
49520986
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590887
49520986
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590888
49520987
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590888
49520987
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590889
49520988
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590889
49520988
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590890
49520989
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590890
49520989
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590891
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590881
Amount Paid
FOOD SERVICE FUND
49520979
49520990
20
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
340.54 340.54 C
Computer
267.57 267.57 C
Computer
187.74 187.74 C
Computer
147.51 147.51 C
Computer
187.85 187.85 C
Computer
147.60 147.60 C
Computer
179.95 179.95 C
Computer
141.39 141.39 C
Computer
124.96 124.96 C
Computer
98.19 98.19 C
Computer
169.26 169.26 C
Computer
132.99 132.99 C
Computer
198.65 198.65 C
Computer
156.09 156.09 C
Computer
246.60 246.60 C
Computer
193.76 193.76 C
Computer
371.78 371.78 C
Computer
292.12 292.12 C
Computer
162.92 162.92 C
Computer
128.01 128.01 C 231.04
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590891
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49520990
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590892
49520991
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590892
49520991
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590893
49734458
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590893
49734458
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590894
49734460
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590894
49734460
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590895
49734462
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590895
49734462
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590896
49734464
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590896
49734464
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590897
49734466
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590897
49734466
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590898
49734468
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590898
49734468
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590899
49734470
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590899
49734470
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590900
49734472
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590900
49734472
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590901
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590891
Amount Paid
FOOD SERVICE FUND
49520990
49734474
21
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
231.04 231.04 C
Computer
181.53 181.53 C
Computer
184.65 184.65 C
Computer
145.09 145.09 C
Computer
123.26 123.26 C
Computer
96.84 96.84 C
Computer
223.80 223.80 C
Computer
175.84 175.84 C
Computer
475.39 475.39 C
Computer
373.52 373.52 C
Computer
149.91 149.91 C
Computer
117.79 117.79 C
Computer
140.16 140.16 C
Computer
110.13 110.13 C
Computer
246.39 246.39 C
Computer
193.59 193.59 C
Computer
218.84 218.84 C
Computer
171.95 171.95 C
Computer
284.81 284.81 C
Computer
223.78 223.78 C 140.03
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00590901
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734474
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590902
49734476
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590902
49734476
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590903
49734478
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590903
49734478
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590904
49734480
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590904
49734480
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590905
49734482
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590905
49734482
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590906
49734484
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590906
49734484
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590907
49734486
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590907
49734486
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590908
49734488
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590908
49734488
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590909
49734490
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590909
49734490
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590910
49734492
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590910
49734492
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591350
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00590901
Amount Paid
FOOD SERVICE FUND
49734474
746258
22
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
140.03 140.03 C
Computer
110.03 110.03 C
Computer
162.86 162.86 C
Computer
127.97 127.97 C
Computer
164.81 164.81 C
Computer
129.49 129.49 C
Computer
281.59 281.59 C
Computer
221.25 221.25 C
Computer
189.30 189.30 C
Computer
148.73 148.73 C
Computer
251.20 251.20 C
Computer
197.38 197.38 C
Computer
210.06 210.06 C
Computer
165.04 165.04 C
Computer
202.54 202.54 C
Computer
159.14 159.14 C
Computer
126.12 126.12 C
Computer
99.10 99.10 C
Computer
200.75 200.75 C
Computer
157.74 157.74 C 168.91
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591350
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
746258
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591351
49520992
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591351
49520992
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591352
49520993
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591352
49520993
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591353
49520994
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591353
49520994
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591354
49520995
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591354
49520995
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591355
49520996
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591355
49520996
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591356
49520997
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591356
49520997
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591357
49530998
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591357
49530998
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591358
49520999
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591358
49520999
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591359
49521000
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591359
49521000
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591360
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591350
Amount Paid
FOOD SERVICE FUND
746258
49521001
23
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
168.91 168.91 C
Computer
132.71 132.71 C
Computer
250.38 250.38 C
Computer
196.72 196.72 C
Computer
273.16 273.16 C
Computer
214.62 214.62 C
Computer
219.34 219.34 C
Computer
172.34 172.34 C
Computer
364.82 364.82 C
Computer
286.64 286.64 C
Computer
191.62 191.62 C
Computer
150.55 150.55 C
Computer
179.42 179.42 C
Computer
140.97 140.97 C
Computer
196.82 196.82 C
Computer
154.65 154.65 C
Computer
132.09 132.09 C
Computer
103.78 103.78 C
Computer
179.43 179.43 C
Computer
140.98 140.98 C 238.32
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591360
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521001
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591361
49521002
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591361
49521002
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591362
49521003
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591362
49521003
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591363
49521004
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591363
49521004
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591364
49521005
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591364
49521005
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591365
49521006
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591365
49521006
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591366
49734494
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591366
49734494
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591367
49734496
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591367
49734496
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591368
49734498
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591368
49734498
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591369
49734500
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591369
49734500
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591370
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591360
Amount Paid
FOOD SERVICE FUND
49521001
49734502
24
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
238.32 238.32 C
Computer
187.25 187.25 C
Computer
254.50 254.50 C
Computer
199.97 199.97 C
Computer
380.82 380.82 C
Computer
299.22 299.22 C
Computer
153.09 153.09 C
Computer
120.28 120.28 C
Computer
214.75 214.75 C
Computer
168.74 168.74 C
Computer
184.65 184.65 C
Computer
145.09 145.09 C
Computer
615.25 615.25 C
Computer
483.41 483.41 C
Computer
357.91 357.91 C
Computer
281.21 281.21 C
Computer
238.34 238.34 C
Computer
187.26 187.26 C
Computer
106.83 106.83 C
Computer
83.94 83.94 C 165.56
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591370
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734502
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591371
49734504
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591371
49734504
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591372
49734506
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591372
49734506
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591373
49734508
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591373
49734508
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591374
49734510
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591374
49734510
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591375
49734512
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591375
49734512
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591376
49734514
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591376
49734514
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591377
49734516
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591377
49734516
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591378
49734518
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591378
49734518
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591379
49734520
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591379
49734520
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591380
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591370
Amount Paid
FOOD SERVICE FUND
49734502
49734522
25
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
165.56 165.56 C
Computer
130.09 130.09 C
Computer
149.06 149.06 C
Computer
117.11 117.11 C
Computer
249.20 249.20 C
Computer
195.80 195.80 C
Computer
204.95 204.95 C
Computer
161.03 161.03 C
Computer
221.18 221.18 C
Computer
173.78 173.78 C
Computer
157.56 157.56 C
Computer
123.80 123.80 C
Computer
193.55 193.55 C
Computer
152.07 152.07 C
Computer
205.58 205.58 C
Computer
161.53 161.53 C
Computer
132.88 132.88 C
Computer
104.41 104.41 C
Computer
209.82 209.82 C
Computer
164.85 164.85 C 210.28
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591380
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734522
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591381
49734524
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591381
49734524
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591382
49734526
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591382
49734526
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591383
49734528
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591383
49734528
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591384
747396
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591384
747396
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591385
49521007
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591385
49521007
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591386
49521008
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591386
49521008
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591387
49521009
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591387
49521009
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591388
49521010
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591388
49521010
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591389
49521011
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591389
49521011
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591390
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591380
Amount Paid
FOOD SERVICE FUND
49734522
49521012
26
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
210.28 210.28 C
Computer
165.22 165.22 C
Computer
309.92 309.92 C
Computer
243.51 243.51 C
Computer
209.48 209.48 C
Computer
164.59 164.59 C
Computer
162.28 162.28 C
Computer
127.50 127.50 C
Computer
171.04 171.04 C
Computer
134.38 134.38 C
Computer
167.38 167.38 C
Computer
131.52 131.52 C
Computer
298.63 298.63 C
Computer
234.64 234.64 C
Computer
250.50 250.50 C
Computer
196.82 196.82 C
Computer
301.23 301.23 C
Computer
236.68 236.68 C
Computer
162.28 162.28 C
Computer
127.50 127.50 C 208.01
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591390
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521012
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591391
49521013
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591391
49521013
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591392
49521014
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591392
49521014
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591393
49521015
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591393
49521015
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591394
49521016
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591394
49521016
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591395
49521017
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591395
49521017
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591396
49521018
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591396
49521018
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591397
49521019
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591397
49521019
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591398
49521020
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591398
49521020
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591399
49521021
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591399
49521021
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591400
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591390
Amount Paid
FOOD SERVICE FUND
49521012
49734530
27
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
208.01 208.01 C
Computer
163.44 163.44 C
Computer
212.77 212.77 C
Computer
167.17 167.17 C
Computer
149.11 149.11 C
Computer
117.16 117.16 C
Computer
354.06 354.06 C
Computer
278.19 278.19 C
Computer
232.58 232.58 C
Computer
182.74 182.74 C
Computer
275.88 275.88 C
Computer
216.77 216.77 C
Computer
361.07 361.07 C
Computer
283.69 283.69 C
Computer
244.32 244.32 C
Computer
191.96 191.96 C
Computer
257.59 257.59 C
Computer
202.40 202.40 C
Computer
249.44 249.44 C
Computer
195.99 195.99 C 476.62
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591400
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734530
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591401
49734532
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591401
49734532
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591402
49734534
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591402
49734534
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591403
49734536
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591403
49734536
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591404
49734538
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591404
49734538
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591405
49734540
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591405
49734540
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591406
49734542
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591406
49734542
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591407
49734544
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591407
49734544
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591408
49734545
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591408
49734545
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591409
49734549
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591409
49734549
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591410
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591400
Amount Paid
FOOD SERVICE FUND
49734530
49734551
28
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
476.62 476.62 C
Computer
374.48 374.48 C
Computer
359.06 359.06 C
Computer
282.11 282.11 C
Computer
256.14 256.14 C
Computer
201.26 201.26 C
Computer
356.98 356.98 C
Computer
280.49 280.49 C
Computer
177.25 177.25 C
Computer
139.26 139.26 C
Computer
139.47 139.47 C
Computer
109.59 109.59 C
Computer
171.33 171.33 C
Computer
134.61 134.61 C
Computer
245.69 245.69 C
Computer
193.04 193.04 C
Computer
283.48 283.48 C
Computer
222.73 222.73 C
Computer
159.85 159.85 C
Computer
125.60 125.60 C 162.16
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591410
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734551
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591411
49734553
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591411
49734553
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591412
49734555
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591412
49734555
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591413
49734557
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591413
49734557
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591414
49734559
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591414
49734559
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591415
49734561
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591415
49734561
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591416
49734563
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591416
49734563
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591417
748475
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591417
748475
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591418
49521022
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591418
49521022
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591419
49521023
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591419
49521023
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591420
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591410
Amount Paid
FOOD SERVICE FUND
49734551
49521024
29
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
162.16 162.16 C
Computer
127.42 127.42 C
Computer
219.34 219.34 C
Computer
172.34 172.34 C
Computer
139.47 139.47 C
Computer
109.59 109.59 C
Computer
250.78 250.78 C
Computer
197.04 197.04 C
Computer
227.86 227.86 C
Computer
179.04 179.04 C
Computer
277.18 277.18 C
Computer
217.79 217.79 C
Computer
244.20 244.20 C
Computer
191.88 191.88 C
Computer
210.53 210.53 C
Computer
165.42 165.42 C
Computer
317.85 317.85 C
Computer
249.74 249.74 C
Computer
208.24 208.24 C
Computer
163.61 163.61 C 193.36
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591420
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521024
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591421
49521025
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591421
49521025
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591422
49521026
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591422
49521026
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591423
49521027
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591423
49521027
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591424
49521028
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591424
49521028
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591425
49521029
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591425
49521029
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591426
49521030
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591426
49521030
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591427
49521031
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591427
49521031
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591428
49521032
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591428
49521032
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591429
49521033
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591429
49521033
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591430
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591420
Amount Paid
FOOD SERVICE FUND
49521024
49521034
30
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
193.36 193.36 C
Computer
151.93 151.93 C
Computer
323.89 323.89 C
Computer
254.49 254.49 C
Computer
160.87 160.87 C
Computer
126.39 126.39 C
Computer
16.34 16.34 C
Computer
12.84 12.84 C
Computer
137.77 137.77 C
Computer
108.24 108.24 C
Computer
149.34 149.34 C
Computer
117.33 117.33 C
Computer
232.97 232.97 C
Computer
183.05 183.05 C
Computer
204.84 204.84 C
Computer
160.94 160.94 C
Computer
262.31 262.31 C
Computer
206.10 206.10 C
Computer
398.57 398.57 C
Computer
313.17 313.17 C 216.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591430
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521034
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591431
49521035
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591431
49521035
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591432
49521036
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591432
49521036
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591433
49734565
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591433
49734565
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591434
49734567
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591434
49734567
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591435
49734569
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591435
49734569
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591436
49734571
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591436
49734571
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591437
49734573
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591437
49734573
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591438
49734575
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591438
49734575
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591439
49734577
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591439
49734577
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591440
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591430
Amount Paid
FOOD SERVICE FUND
49521034
49734579
31
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
216.57 216.57 C
Computer
170.17 170.17 C
Computer
247.60 247.60 C
Computer
194.55 194.55 C
Computer
115.07 115.07 C
Computer
90.42 90.42 C
Computer
256.65 256.65 C
Computer
201.66 201.66 C
Computer
311.93 311.93 C
Computer
245.09 245.09 C
Computer
488.68 488.68 C
Computer
383.97 383.97 C
Computer
223.05 223.05 C
Computer
175.26 175.26 C
Computer
318.78 318.78 C
Computer
250.47 250.47 C
Computer
165.79 165.79 C
Computer
130.26 130.26 C
Computer
110.02 110.02 C
Computer
86.45 86.45 C 213.12
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591440
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734579
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591441
49734581
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591441
49734581
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591442
49734583
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591442
49734583
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591443
49734585
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591443
49734585
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591444
49734587
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591444
49734587
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591445
49734589
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591445
49734589
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591446
49734591
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591446
49734591
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591447
49734593
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591447
49734593
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591448
49734595
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591448
49734595
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591449
49734597
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591449
49734597
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591450
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591440
Amount Paid
FOOD SERVICE FUND
49734579
49734599
32
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
213.12 213.12 C
Computer
167.45 167.45 C
Computer
217.89 217.89 C
Computer
171.20 171.20 C
Computer
242.74 242.74 C
Computer
190.72 190.72 C
Computer
229.52 229.52 C
Computer
180.33 180.33 C
Computer
124.71 124.71 C
Computer
97.99 97.99 C
Computer
170.56 170.56 C
Computer
134.01 134.01 C
Computer
152.75 152.75 C
Computer
120.02 120.02 C
Computer
175.44 175.44 C
Computer
137.85 137.85 C
Computer
142.89 142.89 C
Computer
112.27 112.27 C
Computer
229.57 229.57 C
Computer
180.38 180.38 C 177.37
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591450
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734599
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591451
49734601
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591451
49734601
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591452
44244130
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591452
44244130
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591453
49521037
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591453
49521037
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591454
49521038
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591454
49521038
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591455
49521039
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591455
49521039
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591456
49521040
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591456
49521040
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591457
49521041
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591457
49521041
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591458
49521042
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591458
49521042
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591459
49521043
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591459
49521043
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591460
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591450
Amount Paid
FOOD SERVICE FUND
49734599
49521044
33
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
177.37 177.37 C
Computer
139.37 139.37 C
Computer
137.80 137.80 C
Computer
108.28 108.28 C
Computer
183.36 183.36 C
Computer
144.07 144.07 C
Computer
203.58 203.58 C
Computer
159.95 159.95 C
Computer
215.05 215.05 C
Computer
168.97 168.97 C
Computer
211.17 211.17 C
Computer
165.92 165.92 C
Computer
262.25 262.25 C
Computer
206.06 206.06 C
Computer
123.02 123.02 C
Computer
96.66 96.66 C
Computer
149.93 149.93 C
Computer
117.80 117.80 C
Computer
67.24 67.24 C
Computer
52.83 52.83 C 128.77
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591460
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521044
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591461
49521045
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591461
49521045
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591462
49521046
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591462
49521046
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591463
49521047
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591463
49521047
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591464
49521048
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591464
49521048
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591465
49521049
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591465
49521049
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591466
49521050
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591466
49521050
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591467
49521051
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591467
49521051
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591468
49734603
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591468
49734603
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591469
49734605
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591469
49734605
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591470
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591460
Amount Paid
FOOD SERVICE FUND
49521044
49734607
34
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
128.77 128.77 C
Computer
101.17 101.17 C
Computer
193.59 193.59 C
Computer
152.10 152.10 C
Computer
155.76 155.76 C
Computer
122.38 122.38 C
Computer
249.26 249.26 C
Computer
195.84 195.84 C
Computer
323.70 323.70 C
Computer
254.34 254.34 C
Computer
167.27 167.27 C
Computer
131.43 131.43 C
Computer
224.74 224.74 C
Computer
176.59 176.59 C
Computer
159.34 159.34 C
Computer
125.20 125.20 C
Computer
254.25 254.25 C
Computer
199.76 199.76 C
Computer
206.00 206.00 C
Computer
161.85 161.85 C 208.53
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591470
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734607
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591471
49734609
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591471
49734609
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591472
49734611
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591472
49734611
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591473
49734613
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591473
49734613
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591474
49734615
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591474
49734615
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591475
49734617
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591475
49734617
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591476
49734619
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591476
49734619
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591477
49734621
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591477
49734621
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591478
49734623
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591478
49734623
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591479
49734625
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591479
49734625
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591480
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591470
Amount Paid
FOOD SERVICE FUND
49734607
49734627
35
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
208.53 208.53 C
Computer
163.85 163.85 C
Computer
306.84 306.84 C
Computer
241.09 241.09 C
Computer
108.15 108.15 C
Computer
84.97 84.97 C
Computer
154.11 154.11 C
Computer
121.08 121.08 C
Computer
232.80 232.80 C
Computer
182.92 182.92 C
Computer
242.63 242.63 C
Computer
190.63 190.63 C
Computer
286.76 286.76 C
Computer
225.32 225.32 C
Computer
139.99 139.99 C
Computer
110.00 110.00 C
Computer
208.12 208.12 C
Computer
163.53 163.53 C
Computer
150.82 150.82 C
Computer
118.50 118.50 C 162.39
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591480
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734627
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591481
49734629
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591481
49734629
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591482
49734631
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591482
49734631
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591483
49734633
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591483
49734633
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591484
49734637
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591484
49734637
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591485
49734639
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591485
49734639
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591486
750702
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591486
750702
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591487
49521052
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591487
49521052
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591488
49521053
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591488
49521053
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591489
49521054
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591489
49521054
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591490
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591480
Amount Paid
FOOD SERVICE FUND
49734627
49521055
36
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
162.39 162.39 C
Computer
127.59 127.59 C
Computer
232.92 232.92 C
Computer
183.00 183.00 C
Computer
216.22 216.22 C
Computer
169.89 169.89 C
Computer
298.35 298.35 C
Computer
234.42 234.42 C
Computer
105.21 105.21 C
Computer
82.67 82.67 C
Computer
219.10 219.10 C
Computer
172.15 172.15 C
Computer
172.49 172.49 C
Computer
135.53 135.53 C
Computer
154.16 154.16 C
Computer
121.13 121.13 C
Computer
306.45 306.45 C
Computer
240.78 240.78 C
Computer
240.75 240.75 C
Computer
189.16 189.16 C 281.99
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591490
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521055
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591491
49521056
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591491
49521056
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591492
49521057
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591492
49521057
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591493
49521058
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591493
49521058
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591494
49521059
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591494
49521059
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591495
49521060
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591495
49521060
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591496
49521061
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591496
49521061
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591497
49521062
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591497
49521062
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591498
49521063
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591498
49521063
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591499
49521064
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591499
49521064
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591500
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591490
Amount Paid
FOOD SERVICE FUND
49521055
49521065
37
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
281.99 281.99 C
Computer
221.57 221.57 C
Computer
70.41 70.41 C
Computer
55.33 55.33 C
Computer
191.56 191.56 C
Computer
150.51 150.51 C
Computer
128.13 128.13 C
Computer
100.67 100.67 C
Computer
258.95 258.95 C
Computer
203.46 203.46 C
Computer
288.01 288.01 C
Computer
226.29 226.29 C
Computer
286.76 286.76 C
Computer
225.32 225.32 C
Computer
367.67 367.67 C
Computer
288.89 288.89 C
Computer
236.09 236.09 C
Computer
185.50 185.50 C
Computer
222.92 222.92 C
Computer
175.16 175.16 C 242.51
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591500
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521065
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591501
49521066
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591501
49521066
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591502
49734641
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591502
49734641
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591503
49734643
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591503
49734643
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591504
49734645
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591504
49734645
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591505
49734647
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591505
49734647
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591506
49734649
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591506
49734649
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591507
49734651
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591507
49734651
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591508
49734653
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591508
49734653
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591509
49734655
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591509
49734655
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591510
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591500
Amount Paid
FOOD SERVICE FUND
49521065
49734657
38
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
242.51 242.51 C
Computer
190.55 190.55 C
Computer
218.17 218.17 C
Computer
171.42 171.42 C
Computer
155.76 155.76 C
Computer
122.38 122.38 C
Computer
237.69 237.69 C
Computer
186.75 186.75 C
Computer
250.91 250.91 C
Computer
197.14 197.14 C
Computer
281.41 281.41 C
Computer
221.10 221.10 C
Computer
198.36 198.36 C
Computer
155.85 155.85 C
Computer
263.77 263.77 C
Computer
207.24 207.24 C
Computer
239.56 239.56 C
Computer
188.23 188.23 C
Computer
136.00 136.00 C
Computer
106.86 106.86 C 286.88
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591510
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734657
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591511
49734659
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591511
49734659
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591512
49734661
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591512
49734661
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591513
49734663
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591513
49734663
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591514
49734665
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591514
49734665
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591515
49734667
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591515
49734667
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591516
49734669
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591516
49734669
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591517
49734672
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591517
49734672
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591518
49734674
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591518
49734674
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591519
49734676
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591519
49734676
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591520
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591510
Amount Paid
FOOD SERVICE FUND
49734657
49734678
39
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
286.88 286.88 C
Computer
225.40 225.40 C
Computer
147.70 147.70 C
Computer
116.05 116.05 C
Computer
178.62 178.62 C
Computer
140.34 140.34 C
Computer
204.82 204.82 C
Computer
160.93 160.93 C
Computer
149.34 149.34 C
Computer
117.33 117.33 C
Computer
257.43 257.43 C
Computer
202.26 202.26 C
Computer
259.30 259.30 C
Computer
203.74 203.74 C
Computer
296.70 296.70 C
Computer
233.12 233.12 C
Computer
205.41 205.41 C
Computer
161.40 161.40 C
Computer
262.01 262.01 C
Computer
205.87 205.87 C 115.95
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591520
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734678
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591521
751507
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591521
751507
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591522
49521067
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591522
49521067
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591523
49521068
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591523
49521068
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591524
49521069
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591524
49521069
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591525
49521070
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591525
49521070
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591526
49521071
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591526
49521071
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591527
49521072
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591527
49521072
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591528
49521073
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591528
49521073
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591529
49521074
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591529
49521074
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591530
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591520
Amount Paid
FOOD SERVICE FUND
49734678
49521075
40
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
115.95 115.95 C
Computer
91.11 91.11 C
Computer
206.05 206.05 C
Computer
161.90 161.90 C
Computer
302.28 302.28 C
Computer
237.50 237.50 C
Computer
216.41 216.41 C
Computer
170.03 170.03 C
Computer
191.78 191.78 C
Computer
150.69 150.69 C
Computer
192.70 192.70 C
Computer
151.41 151.41 C
Computer
178.73 178.73 C
Computer
140.43 140.43 C
Computer
170.45 170.45 C
Computer
133.92 133.92 C
Computer
121.37 121.37 C
Computer
95.36 95.36 C
Computer
108.37 108.37 C
Computer
85.15 85.15 C 208.46
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591530
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521075
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591531
49521076
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591531
49521076
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591532
49521077
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591532
49521077
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591533
49521078
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591533
49521078
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591534
49521079
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591534
49521079
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591535
49521080
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591535
49521080
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591536
49521081
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591536
49521081
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591537
49734680
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591537
49734680
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591538
49734682
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591538
49734682
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591539
49734684
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591539
49734684
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591540
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591530
Amount Paid
FOOD SERVICE FUND
49521075
49734686
41
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
208.46 208.46 C
Computer
163.79 163.79 C
Computer
167.38 167.38 C
Computer
131.52 131.52 C
Computer
184.08 184.08 C
Computer
144.63 144.63 C
Computer
429.97 429.97 C
Computer
337.84 337.84 C
Computer
232.86 232.86 C
Computer
182.96 182.96 C
Computer
193.83 193.83 C
Computer
152.29 152.29 C
Computer
160.81 160.81 C
Computer
126.35 126.35 C
Computer
265.19 265.19 C
Computer
208.36 208.36 C
Computer
427.82 427.82 C
Computer
336.14 336.14 C
Computer
508.15 508.15 C
Computer
399.26 399.26 C 247.51
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591540
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734686
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591541
49734688
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591541
49734688
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591542
49734690
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591542
49734690
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591543
49734692
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591543
49734692
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591544
49734694
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591544
49734694
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591545
49734696
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591545
49734696
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591546
49734698
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591546
49734698
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591547
49734700
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591547
49734700
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591548
49734702
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591548
49734702
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591549
49734704
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591549
49734704
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591550
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591540
Amount Paid
FOOD SERVICE FUND
49734686
49734706
42
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
247.51 247.51 C
Computer
194.47 194.47 C
Computer
365.50 365.50 C
Computer
287.18 287.18 C
Computer
177.13 177.13 C
Computer
139.18 139.18 C
Computer
121.26 121.26 C
Computer
95.27 95.27 C
Computer
194.94 194.94 C
Computer
153.17 153.17 C
Computer
174.09 174.09 C
Computer
136.78 136.78 C
Computer
199.82 199.82 C
Computer
157.01 157.01 C
Computer
116.60 116.60 C
Computer
91.61 91.61 C
Computer
137.82 137.82 C
Computer
108.29 108.29 C
Computer
131.42 131.42 C
Computer
103.25 103.25 C 132.88
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591550
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734706
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591551
49734708
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591551
49734708
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591552
49734710
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591552
49734710
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591553
49734712
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591553
49734712
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591554
49734714
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591554
49734714
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591555
49734716
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591555
49734716
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591556
49734718
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591556
49734718
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591557
752634
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591557
752634
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591558
49521082
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591558
49521082
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591559
49521083
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591559
49521083
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591560
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591550
Amount Paid
FOOD SERVICE FUND
49734706
49521084
43
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
132.88 132.88 C
Computer
104.41 104.41 C
Computer
310.26 310.26 C
Computer
243.77 243.77 C
Computer
162.33 162.33 C
Computer
127.55 127.55 C
Computer
181.90 181.90 C
Computer
142.93 142.93 C
Computer
234.92 234.92 C
Computer
184.58 184.58 C
Computer
145.47 145.47 C
Computer
114.30 114.30 C
Computer
195.13 195.13 C
Computer
153.31 153.31 C
Computer
368.84 368.84 C
Computer
289.81 289.81 C
Computer
154.33 154.33 C
Computer
121.26 121.26 C
Computer
193.88 193.88 C
Computer
152.34 152.34 C 150.93
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591560
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521084
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591561
49521085
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591561
49521085
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591562
49521086
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591562
49521086
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591563
49521087
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591563
49521087
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591564
49521088
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591564
49521088
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591565
49521089
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591565
49521089
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591566
49521090
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591566
49521090
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591567
49521091
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591567
49521091
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591568
49521092
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591568
49521092
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591569
49521093
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591569
49521093
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591570
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591560
Amount Paid
FOOD SERVICE FUND
49521084
49521094
44
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
150.93 150.93 C
Computer
118.59 118.59 C
Computer
217.72 217.72 C
Computer
171.06 171.06 C
Computer
131.30 131.30 C
Computer
103.17 103.17 C
Computer
154.11 154.11 C
Computer
121.08 121.08 C
Computer
82.17 82.17 C
Computer
64.56 64.56 C
Computer
59.01 59.01 C
Computer
46.37 46.37 C
Computer
157.28 157.28 C
Computer
123.58 123.58 C
Computer
331.03 331.03 C
Computer
260.10 260.10 C
Computer
206.77 206.77 C
Computer
162.46 162.46 C
Computer
161.26 161.26 C
Computer
126.70 126.70 C 146.10
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591570
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521094
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591571
49521095
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591571
49521095
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591572
49521096
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591572
49521096
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591573
49734720
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591573
49734720
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591574
49734722
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591574
49734722
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591575
49734724
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591575
49734724
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591576
49734726
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591576
49734726
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591577
49734728
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591577
49734728
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591578
49734730
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591578
49734730
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591579
49734732
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591579
49734732
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591580
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591570
Amount Paid
FOOD SERVICE FUND
49521094
49734734
45
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
146.10 146.10 C
Computer
114.80 114.80 C
Computer
202.00 202.00 C
Computer
158.71 158.71 C
Computer
121.78 121.78 C
Computer
95.68 95.68 C
Computer
65.64 65.64 C
Computer
51.58 51.58 C
Computer
147.76 147.76 C
Computer
116.09 116.09 C
Computer
249.70 249.70 C
Computer
196.20 196.20 C
Computer
128.11 128.11 C
Computer
100.66 100.66 C
Computer
82.04 82.04 C
Computer
64.46 64.46 C
Computer
255.46 255.46 C
Computer
200.72 200.72 C
Computer
141.18 141.18 C
Computer
110.93 110.93 C 120.35
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591580
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734734
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591581
49734736
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591581
49734736
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591582
49734738
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591582
49734738
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591583
49734740
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591583
49734740
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591584
49734742
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591584
49734742
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591585
49734744
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591585
49734744
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591586
49734746
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591586
49734746
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591587
49734748
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591587
49734748
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591588
753577
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591588
753577
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591589
49521098
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591589
49521098
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591590
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591580
Amount Paid
FOOD SERVICE FUND
49734734
49521099
46
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
120.35 120.35 C
Computer
94.56 94.56 C
Computer
124.71 124.71 C
Computer
97.99 97.99 C
Computer
116.60 116.60 C
Computer
91.61 91.61 C
Computer
155.80 155.80 C
Computer
122.41 122.41 C
Computer
118.01 118.01 C
Computer
92.72 92.72 C
Computer
98.72 98.72 C
Computer
77.56 77.56 C
Computer
138.23 138.23 C
Computer
108.61 108.61 C
Computer
203.83 203.83 C
Computer
160.16 160.16 C
Computer
8.23 8.23 C
Computer
6.46 6.46 C
Computer
170.73 170.73 C
Computer
134.14 134.14 C 195.41
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591590
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49521099
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591591
49521100
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591591
49521100
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591592
49521102
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591592
49521102
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591593
49521103
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591593
49521103
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591594
49521104
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591594
49521104
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591595
49734750
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591595
49734750
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591596
49734752
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591596
49734752
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591597
49734754
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591597
49734754
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591598
49734756
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591598
49734756
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591599
49734762
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591599
49734762
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591600
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591590
Amount Paid
FOOD SERVICE FUND
49521099
49734764
47
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
195.41 195.41 C
Computer
153.53 153.53 C
Computer
106.78 106.78 C
Computer
83.89 83.89 C
Computer
41.13 41.13 C
Computer
32.32 32.32 C
Computer
65.81 65.81 C
Computer
51.71 51.71 C
Computer
32.91 32.91 C
Computer
25.85 25.85 C
Computer
106.94 106.94 C
Computer
84.03 84.03 C
Computer
123.28 123.28 C
Computer
96.87 96.87 C
Computer
52.21 52.21 C
Computer
41.03 41.03 C
Computer
106.72 106.72 C
Computer
83.85 83.85 C
Computer
57.49 57.49 C
Computer
45.17 45.17 C 49.30
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216685 00591600
Vendor Name
PO No
Description
Acct Amt
01/12/17
10157
49734764
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591601
40121892
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591601
40121892
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210216763 00590407
01/12/17 021199
120944
Total Check per Fund: SOUTH TEXAS WASTEWATER
17007405 MISC. CONTRACTED SERVICES FOR GREASE
101-35-6299-00-117-7-99-000 MISC CONTRACTED SERVICES 00590408
021035
17007405 MISC. CONTRACTED SERVICES FOR GREASE
101-35-6299-00-117-7-99-000 MISC CONTRACTED SERVICES 00590409
021173
17008163 GREASE TRAP SERVICES FOR ZAPATA ELEM.
101-35-6299-00-118-7-99-000 MISC CONTRACTED SERVICES 00590406
021200
17008285 MISC. CONTRACTED SERVICES FOR GREASE
101-35-6299-00-004-7-99-000 MISC CONTRACTED SERVICES 0210216768 00590346
01/12/17 121216
102121
Total Check per Fund: GARCIA JESUS NOE
17005678 CONT. MAINT & REPAIR SERVICES FOR PREV
101-35-6249-00-001-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 JLHS
101-35-6249-00-004-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678
101-35-6249-00-007-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 PHS
101-35-6249-00-008-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 CTA
101-35-6249-00-010-7-99-000 CONTRACTED MAINT. AND REPAIR 00590346
121216
17005678 STEM
101-35-6249-00-041-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 ZAVALA
101-35-6249-00-042-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 CHAVEZ
101-35-6249-00-043-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 SAENZ
101-35-6249-00-044-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 MEMORIAL
101-35-6249-00-045-7-99-000 CONTRACTED MAINT & REPAIR 00590346
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00591600
Amount Paid
FOOD SERVICE FUND
49734764
121216
48
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005678 ARMS
49.30 49.30 C
Computer
38.74 38.74 C
Computer
4.17 4.17 C
Computer
3.27 3.27 C
Computer
163,433.69 689.00 689.00 C
Computer
689.00 689.00 C
Computer
291.50 291.50 C
Computer
291.50 291.50 C
Computer
1,961.00 175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C 175.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216768 00590346
Vendor Name
PO No
Description
Acct Amt
01/12/17
102121
121216
17005678 IGMS
101-35-6249-00-048-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 SALINAS
101-35-6249-00-049-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 TREVINO
101-35-6249-00-102-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 JFK
101-35-6249-00-104-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 FLORES
101-35-6249-00-105-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 BENAVIDES
101-35-6249-00-106-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 LEO
101-35-6249-00-107-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 KIKA
101-35-6249-00-108-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 REYNA
101-35-6249-00-109-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 CHAPA
101-35-6249-00-110-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 ESCANDON
101-35-6249-00-111-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 DIAZ-VILLARREAL
101-35-6249-00-112-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 CAVAZOS
101-35-6249-00-113-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 TABASCO
101-35-6249-00-114-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 PEREZ
101-35-6249-00-115-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 GONZALEZ
101-35-6249-00-116-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 BENTSEN
101-35-6249-00-117-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 FORDYCE
101-35-6249-00-118-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 ZAPATA
101-35-6249-00-120-7-99-000 CONTRACTED MAINT & REPAIR 00590346
Status
Status Description
GARCIA JESUS NOE
17005678 ARMS
101-35-6249-00-046-7-99-000 CONTRACTED MAINT & REPAIR 00590346
Amount Paid
FOOD SERVICE FUND
121216
121216
49
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005678 SEGUIN
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C 175.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216768 00590346
Vendor Name
PO No
Description
Acct Amt
01/12/17
102121
121216
17005678 CAMARENA
101-35-6249-00-122-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 PAREDES
101-35-6249-00-123-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 CLINTON
101-35-6249-00-124-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 PENA
101-35-6249-00-126-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 GARZA
101-35-6249-00-127-7-99-000 CONTRACTED MAINT & REPAIR 00590346
121216
17005678 MENDIOLA
101-35-6249-00-958-7-99-000 CONTRACTED MAINT & REPAIR 0210216770 00590428
01/12/17 113125472
1769
Total Check per Fund: SYSCO CENTRAL TEXAS, INC.
17006508 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590428
113125472
17006508 PAPER/PLASTIC CATERING
101-35-6342-03-958-7-99-000 NON FOOD CATERING 00590429
113125473
17006508 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590430
113125474
17006508 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00590431
113125475
17006508 FOOD ITEMS FOR LUNCH FOR THE MONTHS O
101-35-6341-00-958-7-99-000 FOOD 0210216799 00590294
01/12/17 001654
2123
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590295
005789
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590293
005788
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590292
004485
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210216801 00590297
01/12/17 007251
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004042 FOO FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590296
Status
Status Description
GARCIA JESUS NOE
17005678 SEGUIN
101-35-6249-00-121-7-99-000 CONTRACTED MAINT & REPAIR 00590346
Amount Paid
FOOD SERVICE FUND
121216
007022
50
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17004042 FOO FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
175.00 175.00 C
Computer
350.00 350.00 C
Computer
6,650.00 2,489.72 2,489.72 C
Computer
1,012.55 1,012.55 C
Computer
5,334.33 5,334.33 C
Computer
1,900.81 1,900.81 C
Computer
11,225.75 11,225.75 C
Computer
21,963.16 179.99 179.99 C
Computer
40.68 40.68 C
Computer
83.58 83.58 C
Computer
81.09 81.09 C
Computer
385.34 47.66 47.66 C
Computer
153.20 153.20 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216801 00590331
Vendor Name
PO No
Description
Acct Amt
01/12/17
55891
008974
17004042 FOO FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590299
009502
17004042 FOO FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590300
004671
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590301
000478
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590302
005891
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590303
001981
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210216810 00591011
01/12/17 128628
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17008219 AIS PREMIUM COMPATIBLE HP CP1518 BLAC
101-35-6399-00-958-7-99-000 GENERAL SUPPLIES 0210216837 00590217
01/12/17 A122061
96008
Total Check per Fund: DEVIN DISTRIBUTING & PACKAGING,INC.
17008096 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00590218
A122829
17008096 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00590219
A123111
17008096 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210216843 00589887
01/12/17 2101221394
6553
Total Check per Fund: EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589888
2101221395
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589889
2101221397
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589890
2101221398
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589891
2101221399
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589892
2101221400
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589893
Status
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004042 FOO FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590298
Amount Paid
FOOD SERVICE FUND
009023
2101221401
51
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD
167.35 167.35 C
Computer
177.81 177.81 C
Computer
125.38 125.38 C
Computer
66.44 66.44 C
Computer
120.12 120.12 C
Computer
233.67 233.67 C
Computer
98.01 98.01 C
Computer
1,189.64 463.60 463.60 A
ACH
463.60 9,214.95 9,214.95 A
ACH
5,715.70 5,715.70 A
ACH
1,599.80 1,599.80 A
ACH
16,530.45 46.25 46.25 A
ACH
61.05 61.05 A
ACH
46.25 46.25 A
ACH
48.10 48.10 A
ACH
33.30 33.30 A
ACH
37.00 37.00 A
ACH
64.75 64.75 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216843 00589894
Vendor Name
PO No
Description
Acct Amt
01/12/17
6553
2101221403
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589896
2101221404
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589897
2101221405
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589898
2101221406
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589899
2101221407
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589900
2101221408
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589901
2101221409
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589902
2101221410
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589903
2101221423
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589904
2101221424
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589905
2101221425
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589906
2101221426
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589907
2101221427
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589908
2101221428
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589909
2101221429
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589910
2101221436
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589911
2101221437
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589912
2101221438
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589913
2101221439
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589914
Status
Status Description
EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589895
Amount Paid
FOOD SERVICE FUND
2101221402
2101221440
52
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
42.55 42.55 A
ACH
20.35 20.35 A
ACH
37.00 37.00 A
ACH
46.25 46.25 A
ACH
57.35 57.35 A
ACH
92.50 92.50 A
ACH
37.00 37.00 A
ACH
51.80 51.80 A
ACH
46.25 46.25 A
ACH
46.25 46.25 A
ACH
37.00 37.00 A
ACH
46.25 46.25 A
ACH
44.40 44.40 A
ACH
49.95 49.95 A
ACH
64.75 64.75 A
ACH
24.05 24.05 A
ACH
74.00 74.00 A
ACH
55.50 55.50 A
ACH
59.20 59.20 A
ACH
18.50 18.50 A 46.25
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216843 00589914
Vendor Name
PO No
Description
Acct Amt
01/12/17
6553
2101221441
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589916
2101221442
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589917
2101221443
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589918
2101221444
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589919
2101221445
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589920
2101221446
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589921
2101221447
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589922
2101221448
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 0210216858 00590672
01/12/17 127553
4048
Total Check per Fund: IRMA'S SWEETE SHOPPE
17000163 CAKES AND PATRIES FOR CATERING REQUES
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590671
1142
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590670
1151
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590669
1152
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590668
1187
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590667
1211
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00590666
1216
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210216895 00591252
01/12/17 821930
108944
Total Check per Fund: NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591252
821930
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591253
Status
Status Description
EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00589915
Amount Paid
FOOD SERVICE FUND
2101221440
821940
53
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
46.25 46.25 A
ACH
37.00 37.00 A
ACH
31.45 31.45 A
ACH
33.30 33.30 A
ACH
33.30 33.30 A
ACH
70.30 70.30 A
ACH
59.20 59.20 A
ACH
22.20 22.20 A
ACH
74.00 74.00 A
ACH
1,694.60 82.50 82.50 A
ACH
656.80 656.80 A
ACH
46.50 46.50 A
ACH
135.00 135.00 A
ACH
385.50 385.50 A
ACH
38.50 38.50 A
ACH
43.30 43.30 A
ACH
1,388.10 131.58 131.58 A
ACH
87.72 87.72 A 81.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591253
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
821940
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591254
821941
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591254
821941
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591255
821942
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591255
821942
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591256
821944
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591256
821944
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591257
821945
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591257
821945
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591258
821946
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591258
821946
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591259
821947
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591259
821947
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591260
821948
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591260
821948
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591261
821949
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591261
821949
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591262
821950
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591262
821950
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591263
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591253
Amount Paid
FOOD SERVICE FUND
821940
821951
54
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
81.00 81.00 A
ACH
54.00 54.00 A
ACH
116.70 116.70 A
ACH
77.80 77.80 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
62.82 62.82 A
ACH
41.88 41.88 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
68.82 68.82 A
ACH
45.88 45.88 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
68.82 68.82 A
ACH
45.88 45.88 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A 35.88
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591263
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
821951
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591264
821952
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591264
821952
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591265
821953
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591265
821953
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591266
821954
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591266
821954
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591267
821955
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591267
821955
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591268
821956
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591268
821956
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591269
821957
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591269
821957
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591270
821958
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591270
821958
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591271
821959
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591271
821959
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591272
821961
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591272
821961
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591273
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591263
Amount Paid
FOOD SERVICE FUND
821951
821962
55
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
35.88 35.88 A
ACH
23.92 23.92 A
ACH
17.94 17.94 A
ACH
11.96 11.96 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
32.94 32.94 A
ACH
21.96 21.96 A
ACH
41.88 41.88 A
ACH
27.92 27.92 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
59.82 59.82 A
ACH
39.88 39.88 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A
ACH
35.88 35.88 A
ACH
23.92 23.92 A 92.76
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591273
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
821962
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591274
821963
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591274
821963
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591275
821964
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591275
821964
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591276
821965
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591276
821965
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591277
821966
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591277
821966
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591278
821967
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591278
821967
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591279
821969
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591279
821969
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591280
821970
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591280
821970
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591281
821971
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591281
821971
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591282
821972
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591282
821972
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591283
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591273
Amount Paid
FOOD SERVICE FUND
821962
821973
56
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
92.76 92.76 A
ACH
61.84 61.84 A
ACH
17.94 17.94 A
ACH
11.96 11.96 A
ACH
44.88 44.88 A
ACH
29.92 29.92 A
ACH
59.88 59.88 A
ACH
39.92 39.92 A
ACH
41.88 41.88 A
ACH
27.92 27.92 A
ACH
26.94 26.94 A
ACH
17.96 17.96 A
ACH
30.00 30.00 A
ACH
20.00 20.00 A
ACH
41.88 41.88 A
ACH
27.92 27.92 A
ACH
53.82 53.82 A
ACH
35.88 35.88 A
ACH
50.88 50.88 A
ACH
33.92 33.92 A 35.88
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591283
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
821973
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591284
821975
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591284
821975
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591285
821976
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591285
821976
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591286
821977
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591286
821977
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591287
822055
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591287
822055
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591288
822056
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591288
822056
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591289
822057
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591289
822057
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591290
822058
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591290
822058
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591291
822059
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591291
822059
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591292
822060
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591292
822060
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591293
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591283
Amount Paid
FOOD SERVICE FUND
821973
822061
57
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
35.88 35.88 A
ACH
23.92 23.92 A
ACH
41.88 41.88 A
ACH
27.92 27.92 A
ACH
44.88 44.88 A
ACH
29.92 29.92 A
ACH
101.76 101.76 A
ACH
67.84 67.84 A
ACH
151.80 151.80 A
ACH
101.20 101.20 A
ACH
57.15 57.15 A
ACH
38.10 38.10 A
ACH
19.35 19.35 A
ACH
12.90 12.90 A
ACH
51.15 51.15 A
ACH
34.10 34.10 A
ACH
51.00 51.00 A
ACH
34.00 34.00 A
ACH
38.40 38.40 A
ACH
25.60 25.60 A 70.65
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591293
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
822061
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591294
822062
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591294
822062
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591295
822063
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591295
822063
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591296
822064
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591296
822064
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591297
822065
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591297
822065
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591298
822066
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591298
822066
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591299
822067
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591299
822067
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591300
822068
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591300
822068
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591301
822069
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591301
822069
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591302
822070
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591302
822070
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591303
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591293
Amount Paid
FOOD SERVICE FUND
822061
822071
58
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
70.65 70.65 A
ACH
47.10 47.10 A
ACH
19.35 19.35 A
ACH
12.90 12.90 A
ACH
51.00 51.00 A
ACH
34.00 34.00 A
ACH
44.55 44.55 A
ACH
29.70 29.70 A
ACH
12.90 12.90 A
ACH
8.60 8.60 A
ACH
70.35 70.35 A
ACH
46.90 46.90 A
ACH
83.70 83.70 A
ACH
55.80 55.80 A
ACH
57.15 57.15 A
ACH
38.10 38.10 A
ACH
63.60 63.60 A
ACH
42.40 42.40 A
ACH
75.90 75.90 A
ACH
50.60 50.60 A 141.30
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591303
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
822071
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591304
822072
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591304
822072
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591305
822073
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591305
822073
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591306
822075
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591306
822075
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591307
822076
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591307
822076
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591308
822077
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591308
822077
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591309
822078
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591309
822078
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591310
822080
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591310
822080
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591311
822081
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591311
822081
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591312
822082
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591312
822082
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591313
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591303
Amount Paid
FOOD SERVICE FUND
822071
822083
59
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
141.30 141.30 A
ACH
94.20 94.20 A
ACH
141.30 141.30 A
ACH
94.20 94.20 A
ACH
38.10 38.10 A
ACH
25.40 25.40 A
ACH
63.60 63.60 A
ACH
42.40 42.40 A
ACH
76.20 76.20 A
ACH
50.80 50.80 A
ACH
44.55 44.55 A
ACH
29.70 29.70 A
ACH
155.70 155.70 A
ACH
103.80 103.80 A
ACH
58.20 58.20 A
ACH
38.80 38.80 A
ACH
44.55 44.55 A
ACH
29.70 29.70 A
ACH
51.00 51.00 A
ACH
34.00 34.00 A 57.15
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216895 00591313
Vendor Name
PO No
Description
Acct Amt
01/12/17
108944
822083
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591314
822085
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591314
822085
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591315
822086
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591315
822086
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591316
822271
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591316
822271
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591317
822272
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591317
822272
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591318
822273
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591318
822273
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591319
822277
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591319
822277
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591320
822280
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591320
822280
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00591321
822282
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591321
822282
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210216902 00591335
01/12/17
1434
Total Check per Fund: PETE'S MUFFLER SHOP
9178/01-10-2017 17006944 MAINTENANCE AND REPAIR FOR A/C FOR CN
101-35-6249-00-958-7-99-000 CONTRACTED MAINT & REPAIR 0210216942
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00591313
Amount Paid
FOOD SERVICE FUND
822083
01/12/17
137383
60
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: VALLEY GROCERS LLC
57.15 57.15 A
ACH
38.10 38.10 A
ACH
77.40 77.40 A
ACH
51.60 51.60 A
ACH
128.25 128.25 A
ACH
85.50 85.50 A
ACH
126.00 126.00 A
ACH
84.00 84.00 A
ACH
88.20 88.20 A
ACH
58.80 58.80 A
ACH
50.40 50.40 A
ACH
33.60 33.60 A
ACH
25.20 25.20 A
ACH
16.80 16.80 A
ACH
25.20 25.20 A
ACH
16.80 16.80 A
ACH
25.20 25.20 A
ACH
16.80 16.80 A
ACH
6,829.60 205.43 205.43 A 205.43
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210216942 00591058
Vendor Name
PO No
Description
Acct Amt
01/12/17
137383
453264
01/18/17
24686
01-17-2017
00592304
01/19/17
SAM'S CATERING PURCHASE
9100284132
114600
9100281992
17006462 COMMODITY PROCESSING FEES FOR THE MON
17006462 COMMODITY PROCESSING FEES FOR THE MON
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES Total Check per Fund: 0210217034 00592308
01/19/17 3032144-IN
14558
00592327
01/19/17
17003498 PRESIDENT COOKIE 120SVG/CS FOR THE MON
1253830
7520
Total Check per Fund: GULF COAST PAPER CO.
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00592324
1253831
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210217061 00592367
01/19/17 49734767
10157
Total Check per Fund: OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592377
49734767
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592369
49734769
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592369
49734769
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592370
49734771
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592370
49734771
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592371
49734773
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592371
49734773
ACH
613.46 42,006.60 42,006.60 C
Computer
4,667.40 4,667.40 C
Computer
46,674.00
GLOBAL FOODS
101-35-6341-00-958-7-99-000 FOOD 0210217042
613.46 613.46 A
Total Check per Fund: GIORGIO FOODS, INC.
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES 00592305
ACH
13,127.90
PEREZ GERARDO
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210217032
ACH
8,115.00 8,115.00 A
Total Check per Fund: 00591665
Status Description
5,012.90 5,012.90 A
17008389 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210216995
Status
VALLEY GROCERS LLC
17008389 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00591057
Amount Paid
FOOD SERVICE FUND
451393
61
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD
5,936.00 5,936.00 C
Computer
5,936.00 7,792.00 7,792.00 C
Computer
4,256.00 4,256.00 C
Computer
12,048.00 235.39 235.39 C
Computer
184.95 184.95 C
Computer
278.01 278.01 C
Computer
218.44 218.44 C
Computer
215.38 215.38 C
Computer
169.22 169.22 C
Computer
206.67 206.67 C
Computer
162.39 162.39 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217061 00592372
Vendor Name
PO No
Description
Acct Amt
01/19/17
10157
49734775
49734777
49734777
194.49 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
49734779
49734779
197.52 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
49734781
49734781
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
49734783
49734783
150.30 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
00592449
01/19/17 53741
14302
00592475
01/19/17
171.93 C
Total Check per Fund: INTERBORO PACKING CORP.
17005771 PAPER/PLASTIC PRODUCST FOR THE CNS DE
446027
110485
Total Check per Fund: JTM PROVISIONS CO., INC.
17006472 COMMODITY FOOD PROCESSING FEE FOR THE
00592701
01/19/17 1927764
105716
Total Check per Fund: MISSION RESTAURANT SUPPLY
17007383 STRIP CURTAIN UNIT FOR WALK-IN COOLER
101-35-6319-00-958-7-99-000 SUPPLIES
00592313
01/19/17 DEC. 2016
15809
00592332
01/19/17
17001625 MILEAGE REIMBURSEMENT FOR THE YEAR SE
DEC. 2016
118826
Total Check per Fund: HERNANDEZ ROLANDO
17001630 MILEAGE REIMBURSEMENT FOR THE YEAR SE
101-35-6411-00-958-7-99-000 TRAVEL - EMPLOYEES 0210217212
01/19/17
124230
Computer
1,938.00 24,828.00 24,828.00 C
Computer
24,828.00 169.00 Computer
169.00
GONZALEZ OLGA
101-35-6411-00-958-7-99-000 TRAVEL - EMPLOYEES 0210217207
1,938.00
169.00 C Total Check per Fund:
0210217197
Computer
3,786.83
1,938.00 C
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES 0210217094
Computer
171.93
101-35-6342-00-958-7-99-000 NON-FOOD 0210217074
Computer
218.83 218.83 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210217066
Computer
150.30
17005441 BREAKFAST
101-35-6341-00-958-7-99-000 FOOD 00592368
Computer
191.30 191.30 C
101-35-6341-01-958-7-99-000 FOOD 00592376
Computer
216.96 216.96 C
101-35-6341-00-958-7-99-000 FOOD 00592375
Computer
276.12 276.12 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592375
Computer
197.52
101-35-6341-00-958-7-99-000 FOOD 00592374
Computer
251.40 251.40 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592374
Computer
194.49
101-35-6341-00-958-7-99-000 FOOD 00592373
Status Description
247.53 247.53 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592373
Status
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592372
Amount Paid
FOOD SERVICE FUND
49734775
62
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: INTEGRATED FOOD SERVICE
56.70 56.70 A
ACH
56.70 131.22 131.22 A 131.22
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217212 00592352
Vendor Name
PO No
Description
Acct Amt
01/19/17
124230
00592356
01/19/17 1143
4048
Total Check per Fund: IRMA'S SWEETE SHOPPE
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592355
1157
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592354
1250
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592357
1285
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592353
1429
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210217220 00592378
01/19/17 0354
136492
Total Check per Fund: RMZ KLEANING ZOLUTIONS, LLC
17007606 INSULATION SERVICES FOR CHAVEZ MS WAL
101-35-6249-00-042-7-99-000 CONTRACTED MAINT & REPAIR 00592393
0326
17005785 STEM
101-35-6249-00-010-7-99-000 CONTRACTED MAINT. AND REPAIR 00592380
0335
17005785 STEM
101-35-6249-00-010-7-99-000 CONTRACTED MAINT. AND REPAIR 00592381
0344
17005785 SAENZ
101-35-6249-00-043-7-99-000 CONTRACTED MAINT & REPAIR 00592382
0345
17005785 SAENZ
101-35-6249-00-043-7-99-000 CONTRACTED MAINT & REPAIR 00592383
0353
17005785 SALINAS
101-35-6249-00-048-7-99-000 CONTRACTED MAINT & REPAIR 00592384
0343
17005785 FLORES
101-35-6249-00-104-7-99-000 CONTRACTED MAINT & REPAIR 00592385
0319
17005785 LEO
101-35-6249-00-106-7-99-000 CONTRACTED MAINT & REPAIR 00592386
0356
17005785 KIKA
101-35-6249-00-107-7-99-000 CONTRACTED MAINT & REPAIR 00592387
0358
17005785 REYNA
101-35-6249-00-108-7-99-000 CONTRACTED MAINT & REPAIR 00592388
0314
17005785 ESCANDON
101-35-6249-00-110-7-99-000 CONTRACTED MAINT & REPAIR 00592389
0357
17005785 FORDYCE
101-35-6249-00-117-7-99-000 CONTRACTED MAINT & REPAIR 00592390
Status
Status Description
INTEGRATED FOOD SERVICE
17006469 COMMODITY PROCESSING FEES FOR THE MON
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES 0210217213
Amount Paid
FOOD SERVICE FUND
60507
0350
63
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005785 CAMARENA
48,714.87 48,714.87 A
ACH
48,714.87 85.50 85.50 A
ACH
37.80 37.80 A
ACH
42.50 42.50 A
ACH
80.50 80.50 A
ACH
144.00 144.00 A
ACH
390.30 1,669.00 1,669.00 A
ACH
880.00 880.00 A
ACH
190.00 190.00 A
ACH
236.50 236.50 A
ACH
628.00 628.00 A
ACH
780.00 780.00 A
ACH
170.00 170.00 A
ACH
815.00 815.00 A
ACH
160.00 160.00 A
ACH
250.00 250.00 A
ACH
905.00 905.00 A
ACH
450.00 450.00 A 346.50
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217220 00592390
Vendor Name
PO No
Description
Acct Amt
01/19/17
136492
0313
17005785 CLINTON
101-35-6249-00-123-7-99-000 CONTRACTED MAINT & REPAIR 00592379
0352
17005785 PACK CAFE
101-35-6249-00-958-7-99-000 CONTRACTED MAINT & REPAIR 0210217221 00592590
01/19/17 12185826
3945
Total Check per Fund: LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592591
12110184
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592591
12110184
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592592
12110185
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592592
12110185
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592593
12110186
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592593
12110186
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592594
12110187
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592594
12110187
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592595
12110188
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592595
12110188
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592596
12110189
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592596
12110189
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592597
12110190
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592597
12110190
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592598
12110191
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592598
Status
Status Description
RMZ KLEANING ZOLUTIONS, LLC
17005785 CAMARENA
101-35-6249-00-121-7-99-000 CONTRACTED MAINT & REPAIR 00592391
Amount Paid
FOOD SERVICE FUND
0350
12110191
64
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 BREAKFAST
346.50 346.50 A
ACH
451.50 451.50 A
ACH
645.00 645.00 A
ACH
8,576.50 259.20 259.20 A
ACH
1,233.08 1,233.08 A
ACH
165.16 165.16 A
ACH
627.36 627.36 A
ACH
109.95 109.95 A
ACH
498.60 498.60 A
ACH
73.30 73.30 A
ACH
924.57 924.57 A
ACH
110.46 110.46 A
ACH
517.40 517.40 A
ACH
188.47 188.47 A
ACH
305.54 305.54 A
ACH
212.61 212.61 A
ACH
947.55 947.55 A
ACH
212.61 212.61 A
ACH
900.29 900.29 A 221.04
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217221 00592598
Vendor Name
PO No
Description
Acct Amt
01/19/17
3945
12110192
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592599
12110192
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592600
12110193
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592600
12110193
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592601
12110194
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592601
12110194
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592602
12110195
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592602
12110195
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592603
12110196
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592603
12110196
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592604
12110197
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592604
12110197
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592605
12110198
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592605
12110198
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592606
12110199
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592606
12110199
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592607
12110200
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592607
12110200
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592608
12110201
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592608
Status
Status Description
LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592599
Amount Paid
FOOD SERVICE FUND
12110191
12110201
65
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 BREAKFAST
221.04 221.04 A
ACH
1,079.98 1,079.98 A
ACH
164.48 164.48 A
ACH
2,741.31 2,741.31 A
ACH
229.86 229.86 A
ACH
864.14 864.14 A
ACH
202.24 202.24 A
ACH
556.08 556.08 A
ACH
272.38 272.38 A
ACH
897.17 897.17 A
ACH
161.27 161.27 A
ACH
800.56 800.56 A
ACH
221.55 221.55 A
ACH
594.60 594.60 A
ACH
216.33 216.33 A
ACH
976.14 976.14 A
ACH
249.43 249.43 A
ACH
1,224.93 1,224.93 A
ACH
193.04 193.04 A
ACH
489.78 489.78 A 57.90
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217221 00592608
Vendor Name
PO No
Description
Acct Amt
01/19/17
3945
12110202
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592609
12110202
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592610
12110203
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592610
12110203
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592611
12110204
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592611
12110204
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592612
12110205
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592612
12110205
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592613
12110207
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592613
12110207
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592614
12110208
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592614
12110208
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592615
12110209
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592615
12110209
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592616
12110268
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592616
12110268
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592617
12110269
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592617
12110269
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592618
12110270
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592618
Status
Status Description
LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592609
Amount Paid
FOOD SERVICE FUND
12110201
12110270
66
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 BREAKFAST
57.90 57.90 A
ACH
840.31 840.31 A
ACH
212.10 212.10 A
ACH
550.86 550.86 A
ACH
91.20 91.20 A
ACH
506.89 506.89 A
ACH
152.33 152.33 A
ACH
1,243.02 1,243.02 A
ACH
317.95 317.95 A
ACH
1,562.31 1,562.31 A
ACH
299.90 299.90 A
ACH
1,016.63 1,016.63 A
ACH
406.81 406.81 A
ACH
1,040.14 1,040.14 A
ACH
165.18 165.18 A
ACH
831.13 831.13 A
ACH
36.82 36.82 A
ACH
952.62 952.62 A
ACH
110.46 110.46 A
ACH
570.41 570.41 A 36.82
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217221 00592618
Vendor Name
PO No
Description
Acct Amt
01/19/17
3945
12110272
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592619
12110272
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592620
12110273
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592620
12110273
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592621
12110274
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592621
12110274
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592622
12110275
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592566
12110275
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592567
12110276
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592567
12110276
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592568
12110277
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592568
12110277
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592569
12110278
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592569
12110278
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592570
12110279
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592570
12110279
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592571
01081595
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592572
01111212
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592573
01158617
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592574
Status
Status Description
LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592619
Amount Paid
FOOD SERVICE FUND
12110270
01111208
67
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
36.82 36.82 A
ACH
755.72 755.72 A
ACH
36.82 36.82 A
ACH
910.38 910.38 A
ACH
73.64 73.64 A
ACH
1,699.63 1,699.63 A
ACH
147.28 147.28 A
ACH
1,006.14 1,006.14 A
ACH
100.99 100.99 A
ACH
1,018.59 1,018.59 A
ACH
73.30 73.30 A
ACH
736.09 736.09 A
ACH
184.10 184.10 A
ACH
478.14 478.14 A
ACH
193.86 193.86 A
ACH
870.88 870.88 A
ACH
100.82 100.82 A
ACH
98.40 98.40 A
ACH
222.30 222.30 A
ACH
304.55 304.55 A 1,160.73
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217221 00592574
Vendor Name
PO No
Description
Acct Amt
01/19/17
3945
01111208
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592575
01111209
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592575
01111209
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592576
01111210
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592576
01111210
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592577
01111211
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592577
01111211
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592578
01111213
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592578
01111213
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592579
01111214
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592579
01111214
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592580
01111215
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592580
01111215
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592581
01111216
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592581
01111216
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592582
01111256
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592582
01111256
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592583
01111257
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592583
01111257
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592584
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592574
Amount Paid
FOOD SERVICE FUND
01111208
01111258
68
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,160.73 1,160.73 A
ACH
300.29 300.29 A
ACH
1,533.50 1,533.50 A
ACH
231.81 231.81 A
ACH
2,147.50 2,147.50 A
ACH
518.01 518.01 A
ACH
2,295.73 2,295.73 A
ACH
378.98 378.98 A
ACH
2,613.83 2,613.83 A
ACH
714.91 714.91 A
ACH
1,451.87 1,451.87 A
ACH
405.14 405.14 A
ACH
1,527.11 1,527.11 A
ACH
378.98 378.98 A
ACH
1,814.58 1,814.58 A
ACH
507.29 507.29 A
ACH
1,870.02 1,870.02 A
ACH
671.24 671.24 A
ACH
2,799.06 2,799.06 A
ACH
417.15 417.15 A 2,537.13
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217221 00592584
Vendor Name
PO No
Description
Acct Amt
01/19/17
3945
01111258
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592585
01111330
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592585
01111330
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592586
01111331
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592586
01111331
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592587
01111332
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592587
01111332
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592588
01111333
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592588
01111333
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592589
01111334
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592589
01111334
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210217230 00592702
01/19/17 825045
108944
Total Check per Fund: NICHO PRODUCE CO. INC.
17006487 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592703
824765
17006487 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00592704
823164
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592704
823164
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592705
823170
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592705
823170
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592706
823171
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592706
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00592584
Amount Paid
FOOD SERVICE FUND
01111258
823171
69
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
2,537.13 2,537.13 A
ACH
471.13 471.13 A
ACH
1,586.71 1,586.71 A
ACH
353.61 353.61 A
ACH
2,130.68 2,130.68 A
ACH
652.66 652.66 A
ACH
1,946.67 1,946.67 A
ACH
634.87 634.87 A
ACH
1,614.31 1,614.31 A
ACH
483.21 483.21 A
ACH
3,486.59 3,486.59 A
ACH
422.93 422.93 A
ACH
79,714.11 24.00 24.00 A
ACH
484.87 484.87 A
ACH
366.06 366.06 A
ACH
244.04 244.04 A
ACH
316.20 316.20 A
ACH
210.80 210.80 A
ACH
374.10 374.10 A 249.40
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592706
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823177
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592707
823177
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592708
823179
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592708
823179
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592709
823180
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592709
823180
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592710
823181
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592710
823181
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592711
823182
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592711
823182
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592712
823183
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592712
823183
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592713
823186
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592713
823186
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592714
823187
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592714
823187
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592715
823188
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592715
823188
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592716
823189
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592716
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592707
Amount Paid
FOOD SERVICE FUND
823171
823189
70
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
249.40 249.40 A
ACH
138.36 138.36 A
ACH
92.24 92.24 A
ACH
112.20 112.20 A
ACH
74.80 74.80 A
ACH
66.30 66.30 A
ACH
44.20 44.20 A
ACH
92.34 92.34 A
ACH
61.56 61.56 A
ACH
95.94 95.94 A
ACH
63.96 63.96 A
ACH
124.56 124.56 A
ACH
83.04 83.04 A
ACH
83.04 83.04 A
ACH
55.36 55.36 A
ACH
76.26 76.26 A
ACH
50.84 50.84 A
ACH
70.08 70.08 A
ACH
46.72 46.72 A
ACH
50.28 50.28 A 33.52
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592716
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823190
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592717
823190
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592718
823191
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592718
823191
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592719
823192
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592719
823192
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592720
823193
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592720
823193
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592721
823194
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592721
823194
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592722
823195
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592722
823195
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592723
823196
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592723
823196
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592724
823197
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592724
823197
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592725
823198
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592725
823198
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592726
823199
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592726
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592717
Amount Paid
FOOD SERVICE FUND
823189
823199
71
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
33.52 33.52 A
ACH
95.46 95.46 A
ACH
63.64 63.64 A
ACH
97.68 97.68 A
ACH
65.12 65.12 A
ACH
86.88 86.88 A
ACH
57.92 57.92 A
ACH
76.02 76.02 A
ACH
50.68 50.68 A
ACH
79.50 79.50 A
ACH
53.00 53.00 A
ACH
99.72 99.72 A
ACH
66.48 66.48 A
ACH
46.50 46.50 A
ACH
31.00 31.00 A
ACH
79.38 79.38 A
ACH
52.92 52.92 A
ACH
49.68 49.68 A
ACH
33.12 33.12 A
ACH
66.60 66.60 A 44.40
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592726
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823200
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592727
823200
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592728
823201
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592728
823201
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592729
823202
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592729
823202
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592730
823210
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592730
823210
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592731
823211
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592731
823211
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592732
823212
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592732
823212
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592733
823213
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592733
823213
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592734
823214
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592734
823214
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592735
823215
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592735
823215
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592736
823216
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592736
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592727
Amount Paid
FOOD SERVICE FUND
823199
823216
72
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
44.40 44.40 A
ACH
117.72 117.72 A
ACH
78.48 78.48 A
ACH
97.26 97.26 A
ACH
64.84 64.84 A
ACH
108.60 108.60 A
ACH
72.40 72.40 A
ACH
79.38 79.38 A
ACH
52.92 52.92 A
ACH
58.74 58.74 A
ACH
39.16 39.16 A
ACH
78.96 78.96 A
ACH
52.64 52.64 A
ACH
88.38 88.38 A
ACH
58.92 58.92 A
ACH
117.78 117.78 A
ACH
78.52 78.52 A
ACH
66.36 66.36 A
ACH
44.24 44.24 A
ACH
95.58 95.58 A 63.72
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592736
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823217
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592737
823217
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592738
823218
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592738
823218
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592739
823219
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592739
823219
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592740
823412
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592740
823412
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592741
823413
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592741
823413
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592742
823414
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592742
823414
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592743
823415
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592743
823415
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592744
823416
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592744
823416
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592745
823417
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592745
823417
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592746
823418
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592746
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592737
Amount Paid
FOOD SERVICE FUND
823216
823418
73
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
63.72 63.72 A
ACH
92.52 92.52 A
ACH
61.68 61.68 A
ACH
89.88 89.88 A
ACH
59.92 59.92 A
ACH
105.00 105.00 A
ACH
70.00 70.00 A
ACH
312.12 312.12 A
ACH
208.08 208.08 A
ACH
340.20 340.20 A
ACH
226.80 226.80 A
ACH
326.16 326.16 A
ACH
217.44 217.44 A
ACH
133.08 133.08 A
ACH
88.72 88.72 A
ACH
81.06 81.06 A
ACH
54.04 54.04 A
ACH
114.18 114.18 A
ACH
76.12 76.12 A
ACH
148.08 148.08 A 98.72
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592746
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823419
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592747
823419
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592748
823420
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592748
823420
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592749
823421
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592749
823421
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592750
823422
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592750
823422
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592751
823423
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592751
823423
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592752
823424
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592752
823424
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592753
823426
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592753
823426
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592754
823427
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592754
823427
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592755
823428
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592755
823428
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592756
823429
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592756
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592747
Amount Paid
FOOD SERVICE FUND
823418
823429
74
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
98.72 98.72 A
ACH
118.08 118.08 A
ACH
78.72 78.72 A
ACH
195.21 195.21 A
ACH
130.14 130.14 A
ACH
118.08 118.08 A
ACH
78.72 78.72 A
ACH
252.12 252.12 A
ACH
168.08 168.08 A
ACH
261.06 261.06 A
ACH
174.04 174.04 A
ACH
51.06 51.06 A
ACH
34.04 34.04 A
ACH
290.49 290.49 A
ACH
193.66 193.66 A
ACH
305.46 305.46 A
ACH
203.64 203.64 A
ACH
133.08 133.08 A
ACH
88.72 88.72 A
ACH
178.08 178.08 A 118.72
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592756
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823431
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592757
823431
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592758
823434
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592758
823434
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592759
823435
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592759
823435
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592760
823436
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592760
823436
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592761
823439
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592761
823439
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592762
823440
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592762
823440
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592763
823441
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592763
823441
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592764
823442
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592764
823442
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592765
823444
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592765
823444
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592766
823446
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592766
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592757
Amount Paid
FOOD SERVICE FUND
823429
823446
75
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
118.72 118.72 A
ACH
179.04 179.04 A
ACH
119.36 119.36 A
ACH
171.06 171.06 A
ACH
114.04 114.04 A
ACH
104.04 104.04 A
ACH
69.36 69.36 A
ACH
223.26 223.26 A
ACH
148.84 148.84 A
ACH
263.10 263.10 A
ACH
175.40 175.40 A
ACH
227.16 227.16 A
ACH
151.44 151.44 A
ACH
255.24 255.24 A
ACH
170.16 170.16 A
ACH
208.08 208.08 A
ACH
138.72 138.72 A
ACH
246.06 246.06 A
ACH
164.04 164.04 A
ACH
331.56 331.56 A 221.04
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592766
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
823447
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592767
823447
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592768
823448
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592768
823448
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592769
823449
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592769
823449
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592770
823450
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592770
823450
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592771
823451
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592771
823451
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592772
823452
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592772
823452
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592773
823453
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592773
823453
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592774
823457
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592774
823457
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592775
823745
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592775
823745
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592776
825302
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592776
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592767
Amount Paid
FOOD SERVICE FUND
823446
825302
76
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
221.04 221.04 A
ACH
74.04 74.04 A
ACH
49.36 49.36 A
ACH
185.10 185.10 A
ACH
123.40 123.40 A
ACH
156.06 156.06 A
ACH
104.04 104.04 A
ACH
155.10 155.10 A
ACH
103.40 103.40 A
ACH
197.16 197.16 A
ACH
131.44 131.44 A
ACH
216.45 216.45 A
ACH
144.30 144.30 A
ACH
194.25 194.25 A
ACH
129.50 129.50 A
ACH
226.38 226.38 A
ACH
150.92 150.92 A
ACH
244.32 244.32 A
ACH
162.88 162.88 A
ACH
372.60 372.60 A 248.40
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592776
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
825303
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592777
825303
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592778
825304
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592778
825304
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592779
825305
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592779
825305
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592780
825306
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592780
825306
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592781
825307
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592781
825307
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592782
825309
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592782
825309
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592783
825310
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592783
825310
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592784
825311
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592784
825311
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592785
825313
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592785
825313
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592786
825314
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592786
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592777
Amount Paid
FOOD SERVICE FUND
825302
825314
77
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
248.40 248.40 A
ACH
291.06 291.06 A
ACH
194.04 194.04 A
ACH
377.04 377.04 A
ACH
251.36 251.36 A
ACH
141.18 141.18 A
ACH
94.12 94.12 A
ACH
92.94 92.94 A
ACH
61.96 61.96 A
ACH
64.44 64.44 A
ACH
42.96 42.96 A
ACH
89.28 89.28 A
ACH
59.52 59.52 A
ACH
67.38 67.38 A
ACH
44.92 44.92 A
ACH
118.92 118.92 A
ACH
79.28 79.28 A
ACH
108.78 108.78 A
ACH
72.52 72.52 A
ACH
73.56 73.56 A 49.04
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592786
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
825315
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592787
825315
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592788
825316
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592788
825316
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592789
825319
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592789
825319
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592790
825320
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592790
825320
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592791
825321
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592791
825321
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592792
825322
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592792
825322
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592793
825323
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592793
825323
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592794
825328
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592794
825328
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592795
825330
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592795
825330
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592796
825333
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592796
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592787
Amount Paid
FOOD SERVICE FUND
825314
825333
78
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
49.04 49.04 A
ACH
92.70 92.70 A
ACH
61.80 61.80 A
ACH
51.42 51.42 A
ACH
34.28 34.28 A
ACH
85.74 85.74 A
ACH
57.16 57.16 A
ACH
92.82 92.82 A
ACH
61.88 61.88 A
ACH
70.92 70.92 A
ACH
47.28 47.28 A
ACH
80.16 80.16 A
ACH
53.44 53.44 A
ACH
86.34 86.34 A
ACH
57.56 57.56 A
ACH
90.24 90.24 A
ACH
60.16 60.16 A
ACH
44.94 44.94 A
ACH
29.96 29.96 A
ACH
90.12 90.12 A 60.08
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592796
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
825334
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592797
825334
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592798
825335
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592798
825335
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592799
825337
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592799
825337
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592800
825338
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592800
825338
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592801
825340
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592801
825340
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592802
825341
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592802
825341
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592803
825342
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592803
825342
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592804
825343
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592804
825343
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592805
825344
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592805
825344
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592806
825348
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592806
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592797
Amount Paid
FOOD SERVICE FUND
825333
825348
79
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
60.08 60.08 A
ACH
63.72 63.72 A
ACH
42.48 42.48 A
ACH
64.44 64.44 A
ACH
42.96 42.96 A
ACH
114.96 114.96 A
ACH
76.64 76.64 A
ACH
85.74 85.74 A
ACH
57.16 57.16 A
ACH
99.24 99.24 A
ACH
66.16 66.16 A
ACH
70.62 70.62 A
ACH
47.08 47.08 A
ACH
76.86 76.86 A
ACH
51.24 51.24 A
ACH
63.96 63.96 A
ACH
42.64 42.64 A
ACH
86.22 86.22 A
ACH
57.48 57.48 A
ACH
101.94 101.94 A 67.96
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217230 00592806
Vendor Name
PO No
Description
Acct Amt
01/19/17
108944
825349
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592807
825349
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592808
825350
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592808
825350
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592809
825352
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592809
825352
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592810
825353
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592810
825353
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592811
825355
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00592811
825355
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210217252 00592624
01/19/17 455516
137383
Total Check per Fund: VALLEY GROCERS LLC
17008389 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00592625
456356
17008389 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210217268 00591693
01/19/17 151892
48496
Total Check per Fund: BUG OFF PEST CONTROL
17008074 MISC. CONTRACTED SERVICES FOR PEST CON
101-35-6299-00-001-7-99-000 MISC CONTRACTED SERVICES 00591732
151846
17008074 JLHS
101-35-6299-00-004-7-99-000 MISC CONTRACTED SERVICES 00591695
151887
17008074 JLHS
101-35-6299-00-004-7-99-000 MISC CONTRACTED SERVICES 00591696
151686
17008074 NORTH ACADEMY
101-35-6299-00-007-7-99-000 MISC CONTRACTED SERVICES 00591697
151683
17008074 NORTH ACADEMY
101-35-6299-00-007-7-99-000 MISC CONTRACTED SERVICES 00591698
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592807
Amount Paid
FOOD SERVICE FUND
825348
151886
80
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008074 PHS
67.96 67.96 A
ACH
64.20 64.20 A
ACH
42.80 42.80 A
ACH
93.30 93.30 A
ACH
62.20 62.20 A
ACH
90.36 90.36 A
ACH
60.24 60.24 A
ACH
79.56 79.56 A
ACH
53.04 53.04 A
ACH
92.82 92.82 A
ACH
61.88 61.88 A
ACH
25,483.67 9,309.40 9,309.40 A
ACH
5,905.50 5,905.50 A
ACH
15,214.90 34.00 34.00 C
Computer
34.00 34.00 C
Computer
28.00 28.00 C
Computer
34.00 34.00 C
Computer
24.00 24.00 C 34.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217268 00591698
Vendor Name
PO No
Description
Acct Amt
01/19/17
48496
151977
17008074 EAST ACADEMY
101-35-6299-00-010-7-99-000 MISC. CONT. SERVICES 00591700
151975
17008074 CTA
101-35-6299-00-041-7-99-000 MISC CONTRACTED SERVICES 00591701
151523
17008074 STEM
101-35-6299-00-042-7-99-000 MISC CONTRACTED SERVICES 00591702
151743
17008074 DE ZAVALA
101-35-6299-00-043-7-99-000 MISC CONTRACTED SERVICES 00591703
151409
17008074 CHAVEZ
101-35-6299-00-044-7-99-000 MISC CONTRACTED SERVICES 00591704
151527
17008074 SAENZ
101-35-6299-00-045-7-99-000 MISC CONTRACTED SERVICES 00591705
151403
17008074 MEMORIAL
101-35-6299-00-046-7-99-000 MISC CONTRACTED SERVICES 00591706
151595
17008074 RICHARDS
101-35-6299-00-048-7-99-000 MISC CONTRACTED SERVICES 00591707
151596
17008074 IGMS
101-35-6299-00-049-7-99-000 MISC CONTRACTED SERVICES 00591708
151738
17008074 SALINAS
101-35-6299-00-102-7-99-000 MISC CONTRACTED SERVICES 00591709
151519
17008074 TREVINO
101-35-6299-00-104-7-99-000 MISC CONTRACTED SERVICES 00591710
151971
17008074 JFK
101-35-6299-00-105-7-99-000 MISC CONTRACTED SERVICES 00591711
151522
17008074 FLORES
101-35-6299-00-106-7-99-000 MISC CONTRACTED SERVICES 00591712
151593
17008074 BENAVIDES
101-35-6299-00-107-7-99-000 MISC CONTRACTED SERVICES 00591713
151397
17008074 LEO
101-35-6299-00-108-7-99-000 MISC CONTRACTED SERVICES 00591714
151584
17008074 KIKA
101-35-6299-00-109-7-99-000 MISC CONTRACTED SERVICES 00591715
151395
17008074 REYNA
101-35-6299-00-110-7-99-000 MISC CONTRACTED SERVICES 00591716
151594
17008074 CHAPA
101-35-6299-00-111-7-99-000 MISC CONTRACTED SERVICES 00591717
151678
17008074 ESCANDON
101-35-6299-00-112-7-99-000 MISC CONTRACTED SERVICES 00591718
Status
Status Description
BUG OFF PEST CONTROL
17008074 PHS
101-35-6299-00-008-7-99-000 MISC. CONTRACTED SERVICES 00591699
Amount Paid
FOOD SERVICE FUND
151886
151883
81
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008074 DIAZ-VILLARREAL
34.00 34.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
28.00 28.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C 24.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217268 00591718
Vendor Name
PO No
Description
Acct Amt
01/19/17
48496
151679
17008074 CAVAZOS
101-35-6299-00-114-7-99-000 MISC CONTRACTED SERVICES 00591720
151517
17008074 TABASCO
101-35-6299-00-115-7-99-000 MISC CONTRACTED SERVICES 00591721
151681
17008074 PEREZ
101-35-6299-00-116-7-99-000 MISC CONTRACTED SERVICES 00591722
151973
17008074 GONZALEZ
101-35-6299-00-117-7-99-000 MISC CONTRACTED SERVICES 00591723
151833
17008074 BENTSEN
101-35-6299-00-118-7-99-000 MISC CONTRACTED SERVICES 00591724
151842
17008074 FORDYCE
101-35-6299-00-120-7-99-000 MISC CONTRACTED SERVICES 00591725
151402
17008074 ZAPATA
101-35-6299-00-121-7-99-000 MISC CONTRACTED SERVICES 00591726
151586
17008074 SEGUIN
101-35-6299-00-122-7-99-000 MISC CONTRACTED SERVICES 00591727
151742
17008074 CAMARENA
101-35-6299-00-123-7-99-000 MISC CONTRACTED SERVICES 00591728
151739
17008074 PAREDES
101-35-6299-00-124-7-99-000 MISC CONTRACTED SERVICES 00591729
151840
17008074 CLINTON
101-35-6299-00-126-7-99-000 MISC CONTRACTED SERVICES 00591730
151832
17008074 PENA
101-35-6299-00-127-7-99-000 MISC CONTRACTED SERVICES 00591731
151891
17008074 GARZA
101-35-6299-00-958-7-99-000 MISC CONTRACTED SERVICES 00591694
151746
17008074 GARZA
101-35-6299-00-958-7-99-000 MISC CONTRACTED SERVICES 0210217311 00591733
01/19/17 1224207916
72214
Total Check per Fund: FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591734
1224307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591735
1224407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591736
1224507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591737
Status
Status Description
BUG OFF PEST CONTROL
17008074 DIAZ-VILLARREAL
101-35-6299-00-113-7-99-000 MISC CONTRACTED SERVICES 00591719
Amount Paid
FOOD SERVICE FUND
151883
1224607916
82
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
24.00 24.00 C
Computer
34.00 34.00 C
Computer
65.00 65.00 C
Computer
1,059.00 116.25 116.25 C
Computer
116.25 116.25 C
Computer
241.25 241.25 C
Computer
122.50 122.50 C 97.50
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217311 00591737
Vendor Name
PO No
Description
Acct Amt
01/19/17
72214
1224707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591739
1224807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591740
1224907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591741
1225007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591742
1225107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591743
1225207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591744
1225307916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591745
1225407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591746
1225507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591747
1225607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591748
1225707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591749
1225807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591750
1227803959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591751
1227903959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591752
1228003959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591753
1228203959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591754
1230103959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591755
1230203959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591756
1232607917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591757
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591738
Amount Paid
FOOD SERVICE FUND
1224607916
1232707917
83
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
97.50 97.50 C
Computer
122.50 122.50 C
Computer
152.50 152.50 C
Computer
118.75 118.75 C
Computer
131.25 131.25 C
Computer
100.75 100.75 C
Computer
106.25 106.25 C
Computer
168.75 168.75 C
Computer
75.00 75.00 C
Computer
50.00 50.00 C
Computer
118.75 118.75 C
Computer
72.50 72.50 C
Computer
67.50 67.50 C
Computer
106.25 106.25 C
Computer
102.50 102.50 C
Computer
75.00 75.00 C
Computer
81.25 81.25 C
Computer
81.25 81.25 C
Computer
87.50 87.50 C
Computer
93.75 93.75 C 87.50
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217311 00591757
Vendor Name
PO No
Description
Acct Amt
01/19/17
72214
1232807917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591759
1232907917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591760
1233007917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591761
1233107917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591762
1233207917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591763
1233307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591764
1233407917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591765
1233607917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591766
1233707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591767
1245804366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591768
1246504366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591769
1269507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591770
1269607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591771
1269707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591772
1269807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591773
1269907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591774
1270007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591775
1270107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591776
1270207916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591777
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591758
Amount Paid
FOOD SERVICE FUND
1232707917
1270307916
84
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
87.50 87.50 C
Computer
125.00 125.00 C
Computer
107.50 107.50 C
Computer
87.50 87.50 C
Computer
43.75 43.75 C
Computer
106.25 106.25 C
Computer
67.50 67.50 C
Computer
100.00 100.00 C
Computer
125.00 125.00 C
Computer
95.00 95.00 C
Computer
125.00 125.00 C
Computer
120.00 120.00 C
Computer
97.25 97.25 C
Computer
106.85 106.85 C
Computer
247.75 247.75 C
Computer
86.05 86.05 C
Computer
89.30 89.30 C
Computer
109.95 109.95 C
Computer
97.50 97.50 C
Computer
103.75 103.75 C 119.30
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217311 00591777
Vendor Name
PO No
Description
Acct Amt
01/19/17
72214
1270407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591779
1270507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591780
1270607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591781
1270707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591782
1270807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591783
1270907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591784
1271007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591785
1271107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591786
1285507917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591787
1285607917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591788
1285707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591789
1285807917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591790
1285907917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591791
1286007917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591792
1286107917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591793
1286207917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591794
1286307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591795
1286407917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591796
1286507917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591797
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591778
Amount Paid
FOOD SERVICE FUND
1270307916
1288303959
85
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
119.30 119.30 C
Computer
91.80 91.80 C
Computer
97.40 97.40 C
Computer
188.50 188.50 C
Computer
78.60 78.60 C
Computer
88.05 88.05 C
Computer
101.20 101.20 C
Computer
78.50 78.50 C
Computer
51.55 51.55 C
Computer
85.40 85.40 C
Computer
72.20 72.20 C
Computer
106.15 106.15 C
Computer
100.50 100.50 C
Computer
72.10 72.10 C
Computer
176.00 176.00 C
Computer
84.85 84.85 C
Computer
63.45 63.45 C
Computer
91.10 91.10 C
Computer
107.50 107.50 C
Computer
80.40 80.40 C 84.75
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217311 00591797
Vendor Name
PO No
Description
Acct Amt
01/19/17
72214
1288403959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591799
1288703959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591800
1288803959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591801
1288903959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591802
1289003959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591803
1295104366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591804
1295204366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 0210217339 00591973
01/19/17 A123464
96008
Total Check per Fund: DEVIN DISTRIBUTING & PACKAGING,INC.
17008096 PAPER/PLASTIC PRODUCTS FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210217425 00594219
01/26/17 4220245
46515
Total Check per Fund: FERGUSON ENTERPRISES, INC. #116
17008799 2 BLK MI 150# BRS GJ UNION ITEM#IBI50U
101-35-6319-00-958-7-99-000 SUPPLIES 0210217428 00593990
01/26/17 1287307916
72214
Total Check per Fund: FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594025
1286507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593992
1286607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593993
1286707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593994
1286807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593995
1286907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593996
1287007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593997
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00591798
Amount Paid
FOOD SERVICE FUND
1288303959
1287107916
86
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD
84.75 84.75 C
Computer
78.50 78.50 C
Computer
94.20 94.20 C
Computer
112.95 112.95 C
Computer
75.40 75.40 C
Computer
78.50 78.50 C
Computer
110.00 110.00 C
Computer
94.25 94.25 C
Computer
7,397.25 6,507.40 6,507.40 A
ACH
6,507.40 63.12 63.12 C
Computer
63.12 119.35 119.35 C
Computer
106.85 106.85 C
Computer
88.00 88.00 C
Computer
89.80 89.80 C
Computer
254.55 254.55 C
Computer
91.80 91.80 C
Computer
109.95 109.95 C
Computer
97.50 97.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217428 00593998
Vendor Name
PO No
Description
Acct Amt
01/26/17
72214
1287407916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594000
1287507916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594001
1287607916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594002
1287707916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594003
1287807916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594004
1287907916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594005
1288007916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594006
1288107916
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594007
1304707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594008
1304807917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594009
1304907917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594010
1305007917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594011
1305107917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594012
1305207917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594013
1305307917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594014
1305407917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594015
1305507917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594016
1305607917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594017
1305707917
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594018
Status
Status Description
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00593999
Amount Paid
FOOD SERVICE FUND
1287207916
1305803959
87
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
103.75 103.75 C
Computer
91.80 91.80 C
Computer
97.40 97.40 C
Computer
172.75 172.75 C
Computer
79.85 79.85 C
Computer
84.90 84.90 C
Computer
101.20 101.20 C
Computer
72.20 72.20 C
Computer
115.75 115.75 C
Computer
84.15 84.15 C
Computer
78.45 78.45 C
Computer
99.25 99.25 C
Computer
100.50 100.50 C
Computer
90.95 90.95 C
Computer
175.90 175.90 C
Computer
84.85 84.85 C
Computer
63.45 63.45 C
Computer
91.10 91.10 C
Computer
113.75 113.75 C
Computer
82.30 82.30 C 69.10
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217428 00594018
Vendor Name
PO No
Description
Acct Amt
01/26/17
72214
1306003959
1306103959
1306203959
1306303959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
1315904366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
00594024
1316604366
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
00593991
1305903959
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
Total Check per Fund: 0210217429 00594232
01/26/17 17 035057
14571
00593583
01/26/17 1258506
7520
Total Check per Fund: GULF COAST PAPER CO.
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00593582
1259427
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00593584
1262808
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 00593585
1262809
17007844 PAPER/PLASTIC PRODUCST FOR THE MONTHS
101-35-6342-00-958-7-99-000 NON-FOOD 0210217468
01/26/17
00593717
FDKFUJ400BFWM
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17009185 VEHICLE REGISTRATION FEE FOR CNS DEPT
101-35-6249-00-958-7-99-000 CONTRACTED MAINT & REPAIR 0210217495 00592893
01/26/17 44244395
10157
Total Check per Fund: OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592893
44244395
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592894
49521106
Computer
3,658.15
FOOD BANK RGV
17008363 COMMERCIAL STORAGE AND DELIVERY OF USD
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES 0210217440
Computer
72.25 72.25 C
101-35-6341-00-958-7-99-000 FOOD
Computer
97.40 97.40 C
101-35-6341-00-958-7-99-000 FOOD
Computer
110.00 110.00 C
101-35-6341-00-958-7-99-000 FOOD
Computer
78.55 78.55 C
101-35-6341-00-958-7-99-000 FOOD 00594023
Computer
75.40 75.40 C
101-35-6341-00-958-7-99-000 FOOD 00594022
Computer
119.20 119.20 C
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
Computer
94.20 94.20 C
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594021
Status Description
69.10 69.10 C
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594020
Status
FLOWERS BAKING CO. OF SAN ANTONIO, LLC
17006124 BREAD PRODUCTS FOR LUNCH FOR THE MONTH
101-35-6341-00-958-7-99-000 FOOD 00594019
Amount Paid
FOOD SERVICE FUND
1305803959
88
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD
407.00 407.00 C
Computer
407.00 4,346.00 4,346.00 C
Computer
7,792.00 7,792.00 C
Computer
7,792.00 7,792.00 C
Computer
5,844.00 5,844.00 C
Computer
25,774.00 7.50 7.50 C
Computer
7.50 245.50 245.50 C
Computer
192.89 192.89 C
Computer
295.64 295.64 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592894
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521107
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592895
49521107
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592896
49521108
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592896
49521108
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592897
49521109
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592897
49521109
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592898
49521110
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592898
49521110
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592899
49521111
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592899
49521111
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592900
49521112
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592900
49521112
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592901
49521113
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592901
49521113
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592902
49521114
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592902
49521114
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592903
49521115
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592903
49521115
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592904
49521116
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592904
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592895
Amount Paid
FOOD SERVICE FUND
49521106
49521116
89
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
232.29 232.29 C
Computer
272.72 272.72 C
Computer
214.28 214.28 C
Computer
218.03 218.03 C
Computer
171.31 171.31 C
Computer
337.12 337.12 C
Computer
264.88 264.88 C
Computer
182.59 182.59 C
Computer
143.47 143.47 C
Computer
228.70 228.70 C
Computer
179.69 179.69 C
Computer
183.30 183.30 C
Computer
144.02 144.02 C
Computer
173.85 173.85 C
Computer
136.60 136.60 C
Computer
250.13 250.13 C
Computer
196.53 196.53 C
Computer
164.75 164.75 C
Computer
129.45 129.45 C
Computer
262.54 262.54 C 206.28
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592904
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521118
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592905
49521118
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592906
49521119
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592906
49521119
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592907
49521120
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592907
49521120
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592908
49734785
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592908
49734785
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592909
49734787
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592909
49734787
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592910
49734789
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592910
49734789
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592911
49734791
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592911
49734791
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592912
49734793
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592912
49734793
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592913
49734795
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592913
49734795
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592914
49734797
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592914
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592905
Amount Paid
FOOD SERVICE FUND
49521116
49734797
90
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
206.28 206.28 C
Computer
312.10 312.10 C
Computer
245.23 245.23 C
Computer
272.79 272.79 C
Computer
214.33 214.33 C
Computer
225.38 225.38 C
Computer
177.08 177.08 C
Computer
469.89 469.89 C
Computer
369.20 369.20 C
Computer
38.77 38.77 C
Computer
30.47 30.47 C
Computer
204.41 204.41 C
Computer
160.60 160.60 C
Computer
199.07 199.07 C
Computer
156.41 156.41 C
Computer
328.64 328.64 C
Computer
258.21 258.21 C
Computer
370.03 370.03 C
Computer
290.74 290.74 C
Computer
352.52 352.52 C 276.98
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592914
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734799
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592915
49734799
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592916
49734801
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592916
49734801
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592917
49734803
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592917
49734803
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592918
49734785
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592918
49734785
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592919
49521121
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592919
49521121
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592920
49521122
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592920
49521122
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592921
49521124
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592921
49521124
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592922
49521125
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592922
49521125
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592923
49521126
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592923
49521126
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592924
49521127
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592924
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592915
Amount Paid
FOOD SERVICE FUND
49734797
49521127
91
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
276.98 276.98 C
Computer
342.37 342.37 C
Computer
269.01 269.01 C
Computer
273.05 273.05 C
Computer
214.54 214.54 C
Computer
195.82 195.82 C
Computer
153.85 153.85 C
Computer
469.89 469.89 C
Computer
369.20 369.20 C
Computer
318.87 318.87 C
Computer
250.54 250.54 C
Computer
19.76 19.76 C
Computer
15.52 15.52 C
Computer
124.93 124.93 C
Computer
98.16 98.16 C
Computer
195.12 195.12 C
Computer
153.30 153.30 C
Computer
273.57 273.57 C
Computer
214.94 214.94 C
Computer
311.46 311.46 C 244.72
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592924
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521128
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592925
49521128
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592926
49521129
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592926
49521129
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592927
49521130
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592927
49521130
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592928
49521131
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592928
49521131
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592929
49734805
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592929
49734805
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592930
49734807
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592930
49734807
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592931
49734809
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592931
49734809
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592932
49734811
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592932
49734811
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592933
49734813
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592933
49734813
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592934
49734815
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592934
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592925
Amount Paid
FOOD SERVICE FUND
49521127
49734815
92
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
244.72 244.72 C
Computer
595.69 595.69 C
Computer
468.04 468.04 C
Computer
274.53 274.53 C
Computer
215.71 215.71 C
Computer
272.52 272.52 C
Computer
214.12 214.12 C
Computer
306.91 306.91 C
Computer
241.15 241.15 C
Computer
445.94 445.94 C
Computer
350.39 350.39 C
Computer
509.72 509.72 C
Computer
400.49 400.49 C
Computer
193.99 193.99 C
Computer
152.42 152.42 C
Computer
262.89 262.89 C
Computer
206.56 206.56 C
Computer
168.98 168.98 C
Computer
132.77 132.77 C
Computer
158.11 158.11 C 124.23
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592934
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734817
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592935
49734817
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592936
49734819
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592936
49734819
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592937
49734821
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592937
49734821
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592938
49734823
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592938
49734823
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592939
49734825
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592939
49734825
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592940
49734831
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592940
49734831
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592941
49734833
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592941
49734833
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592942
49734835
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592942
49734835
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592943
49734837
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592943
49734837
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592944
49734839
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592944
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592935
Amount Paid
FOOD SERVICE FUND
49734815
49734839
93
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
124.23 124.23 C
Computer
237.34 237.34 C
Computer
186.49 186.49 C
Computer
243.24 243.24 C
Computer
191.12 191.12 C
Computer
341.31 341.31 C
Computer
268.17 268.17 C
Computer
178.92 178.92 C
Computer
140.58 140.58 C
Computer
270.20 270.20 C
Computer
212.30 212.30 C
Computer
193.07 193.07 C
Computer
151.69 151.69 C
Computer
225.02 225.02 C
Computer
176.81 176.81 C
Computer
211.23 211.23 C
Computer
165.96 165.96 C
Computer
272.00 272.00 C
Computer
213.71 213.71 C
Computer
245.02 245.02 C 192.51
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592944
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734841
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592945
49734841
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592946
766164
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592946
766164
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592947
49521132
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592947
49521132
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592948
49521133
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592948
49521133
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592949
49521134
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592949
49521134
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592950
49521135
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592950
49521135
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592951
49521136
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592951
49521136
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592952
49521137
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592952
49521137
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592953
49521138
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592953
49521138
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592954
49521139
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592954
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592945
Amount Paid
FOOD SERVICE FUND
49734839
49521139
94
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
192.51 192.51 C
Computer
220.38 220.38 C
Computer
173.15 173.15 C
Computer
175.20 175.20 C
Computer
137.66 137.66 C
Computer
249.86 249.86 C
Computer
196.32 196.32 C
Computer
344.30 344.30 C
Computer
270.52 270.52 C
Computer
260.49 260.49 C
Computer
204.67 204.67 C
Computer
418.70 418.70 C
Computer
328.98 328.98 C
Computer
158.08 158.08 C
Computer
124.20 124.20 C
Computer
244.62 244.62 C
Computer
192.21 192.21 C
Computer
129.72 129.72 C
Computer
101.92 101.92 C
Computer
162.39 162.39 C 127.59
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592954
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521140
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592955
49521140
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592956
49521141
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592956
49521141
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592957
49521142
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592957
49521142
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592958
49521143
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592958
49521143
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592959
49521144
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592959
49521144
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592960
49521145
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592960
49521145
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592961
49521146
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592961
49521146
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592962
49734843
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592962
49734843
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592963
49734845
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592963
49734845
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592964
49734847
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592964
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592955
Amount Paid
FOOD SERVICE FUND
49521139
49734847
95
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
127.59 127.59 C
Computer
214.96 214.96 C
Computer
168.89 168.89 C
Computer
207.04 207.04 C
Computer
162.68 162.68 C
Computer
239.88 239.88 C
Computer
188.48 188.48 C
Computer
428.25 428.25 C
Computer
336.49 336.49 C
Computer
326.47 326.47 C
Computer
256.52 256.52 C
Computer
284.04 284.04 C
Computer
223.17 223.17 C
Computer
192.76 192.76 C
Computer
151.46 151.46 C
Computer
541.49 541.49 C
Computer
425.46 425.46 C
Computer
346.24 346.24 C
Computer
272.04 272.04 C
Computer
219.63 219.63 C 172.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592964
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734849
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592965
49734849
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592966
49734851
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592966
49734851
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592967
49734853
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592967
49734853
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592968
49734855
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592968
49734855
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592969
49734857
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592969
49734857
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592970
49734859
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592970
49734859
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592971
49734861
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592971
49734861
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592972
49734863
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592972
49734863
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592973
49734865
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592973
49734865
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592974
49734867
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592974
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592965
Amount Paid
FOOD SERVICE FUND
49734847
49734867
96
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
172.57 172.57 C
Computer
288.59 288.59 C
Computer
226.75 226.75 C
Computer
319.37 319.37 C
Computer
250.93 250.93 C
Computer
185.48 185.48 C
Computer
145.74 145.74 C
Computer
173.64 173.64 C
Computer
136.44 136.44 C
Computer
208.80 208.80 C
Computer
164.06 164.06 C
Computer
283.90 283.90 C
Computer
223.06 223.06 C
Computer
364.21 364.21 C
Computer
286.16 286.16 C
Computer
234.63 234.63 C
Computer
184.35 184.35 C
Computer
224.53 224.53 C
Computer
176.42 176.42 C
Computer
162.18 162.18 C 127.42
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592974
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734869
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592975
49734869
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592976
49734871
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592976
49734871
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592977
49734873
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592977
49734873
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592978
49734875
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592978
49734875
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592979
49734877
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592979
49734877
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592980
49734879
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592980
49734879
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592981
767266
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592981
767266
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592982
49521147
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592982
49521147
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592983
49521148
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592983
49521148
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592984
49521149
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592984
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592975
Amount Paid
FOOD SERVICE FUND
49734867
49521149
97
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
127.42 127.42 C
Computer
137.98 137.98 C
Computer
108.42 108.42 C
Computer
272.61 272.61 C
Computer
214.19 214.19 C
Computer
185.61 185.61 C
Computer
145.84 145.84 C
Computer
33.68 33.68 C
Computer
26.46 26.46 C
Computer
224.36 224.36 C
Computer
176.29 176.29 C
Computer
155.90 155.90 C
Computer
122.49 122.49 C
Computer
213.80 213.80 C
Computer
167.99 167.99 C
Computer
355.71 355.71 C
Computer
279.48 279.48 C
Computer
231.40 231.40 C
Computer
181.82 181.82 C
Computer
193.31 193.31 C 151.88
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592984
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521150
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592985
49521150
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592986
49521151
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592986
49521151
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592987
49521152
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592987
49521152
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592988
49521153
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592988
49521153
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592989
49521154
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592989
49521154
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592990
49521155
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592990
49521155
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592991
49521156
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592991
49521156
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592992
49521157
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592992
49521157
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592993
49521158
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592993
49521158
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592994
49521159
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592994
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592985
Amount Paid
FOOD SERVICE FUND
49521149
49521159
98
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
151.88 151.88 C
Computer
366.10 366.10 C
Computer
287.65 287.65 C
Computer
195.44 195.44 C
Computer
153.56 153.56 C
Computer
221.39 221.39 C
Computer
173.95 173.95 C
Computer
116.24 116.24 C
Computer
91.34 91.34 C
Computer
195.17 195.17 C
Computer
153.35 153.35 C
Computer
200.30 200.30 C
Computer
157.37 157.37 C
Computer
215.46 215.46 C
Computer
169.29 169.29 C
Computer
239.88 239.88 C
Computer
188.48 188.48 C
Computer
391.99 391.99 C
Computer
308.00 308.00 C
Computer
212.82 212.82 C 167.21
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00592994
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521160
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592996
49521160
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592997
49521161
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592997
49521161
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592998
49734881
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592998
49734881
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592999
49734883
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592999
49734883
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593000
49734885
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593000
49734885
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593001
49734887
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593001
49734887
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593002
49734889
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593002
49734889
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593003
49734891
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593003
49734891
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593004
49734893
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593004
49734893
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593005
49734895
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593005
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592996
Amount Paid
FOOD SERVICE FUND
49521159
49734895
99
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
167.21 167.21 C
Computer
251.99 251.99 C
Computer
197.99 197.99 C
Computer
212.15 212.15 C
Computer
166.69 166.69 C
Computer
410.23 410.23 C
Computer
322.32 322.32 C
Computer
557.77 557.77 C
Computer
438.25 438.25 C
Computer
271.36 271.36 C
Computer
213.22 213.22 C
Computer
131.22 131.22 C
Computer
103.11 103.11 C
Computer
449.72 449.72 C
Computer
353.35 353.35 C
Computer
188.17 188.17 C
Computer
147.84 147.84 C
Computer
114.68 114.68 C
Computer
90.11 90.11 C
Computer
249.49 249.49 C 196.02
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593005
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734897
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593006
49734897
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593007
49734899
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593007
49734899
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593008
49734901
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593008
49734901
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593009
49734903
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593009
49734903
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593010
49734905
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593010
49734905
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593011
49734907
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593011
49734907
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593012
49734909
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593012
49734909
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593013
49734911
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593013
49734911
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593014
49734913
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593014
49734913
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593015
49521177
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593020
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593006
Amount Paid
FOOD SERVICE FUND
49734895
49521178
100
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
196.02 196.02 C
Computer
213.77 213.77 C
Computer
167.96 167.96 C
Computer
226.93 226.93 C
Computer
178.31 178.31 C
Computer
155.91 155.91 C
Computer
122.50 122.50 C
Computer
124.57 124.57 C
Computer
97.87 97.87 C
Computer
152.54 152.54 C
Computer
119.86 119.86 C
Computer
165.92 165.92 C
Computer
130.37 130.37 C
Computer
311.95 311.95 C
Computer
245.10 245.10 C
Computer
177.41 177.41 C
Computer
139.40 139.40 C
Computer
241.42 241.42 C
Computer
189.68 189.68 C
Computer
171.30 171.30 C 168.60
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593020
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734915
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593016
49734915
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593017
49734917
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593017
49734917
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593018
49734919
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593018
49734919
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593019
49734921
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593019
49734921
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00592995
769459
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00592995
769459
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593015
49521177
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593020
49521178
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593021
49521179
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593021
49521179
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593022
49521180
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593022
49521180
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593023
49521181
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593023
49521181
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593024
49521182
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593024
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593016
Amount Paid
FOOD SERVICE FUND
49521178
49521182
101
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
168.60 168.60 C
Computer
73.38 73.38 C
Computer
57.66 57.66 C
Computer
307.63 307.63 C
Computer
241.71 241.71 C
Computer
96.46 96.46 C
Computer
75.79 75.79 C
Computer
131.90 131.90 C
Computer
103.64 103.64 C
Computer
187.19 187.19 C
Computer
147.07 147.07 C
Computer
218.01 218.01 C
Computer
132.47 132.47 C
Computer
245.95 245.95 C
Computer
193.24 193.24 C
Computer
340.37 340.37 C
Computer
267.44 267.44 C
Computer
147.94 147.94 C
Computer
116.24 116.24 C
Computer
170.98 170.98 C 134.34
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593024
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521183
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593025
49521183
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593026
49521184
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593026
49521184
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593027
49521185
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593027
49521185
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593028
49521186
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593028
49521186
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593029
49521187
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593029
49521187
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593055
49521189
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593030
49521190
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593030
49521190
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593031
49521191
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593031
49521191
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593032
49734961
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593032
49734961
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593033
49734963
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593033
49734963
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593034
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593025
Amount Paid
FOOD SERVICE FUND
49521182
49734965
102
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
134.34 134.34 C
Computer
142.21 142.21 C
Computer
111.73 111.73 C
Computer
164.01 164.01 C
Computer
128.86 128.86 C
Computer
175.10 175.10 C
Computer
137.58 137.58 C
Computer
190.89 190.89 C
Computer
149.98 149.98 C
Computer
233.18 233.18 C
Computer
183.21 183.21 C
Computer
220.74 220.74 C
Computer
272.79 272.79 C
Computer
214.33 214.33 C
Computer
198.16 198.16 C
Computer
155.69 155.69 C
Computer
184.96 184.96 C
Computer
145.33 145.33 C
Computer
279.20 279.20 C
Computer
219.37 219.37 C 90.46
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593034
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521188
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593054
49521188
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593055
49521189
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593034
49734965
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593035
49734967
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593035
49734967
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593036
49734969
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593036
49734969
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593037
49734971
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593037
49734971
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593038
49734973
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593038
49734973
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593039
49734975
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593039
49734975
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593040
49734977
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593040
49734977
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593041
49734979
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593041
49734979
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593042
49734981
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593042
Status
Status Description
OAK FARMS DAIRY
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593054
Amount Paid
FOOD SERVICE FUND
49734965
49734981
103
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
90.46 90.46 C
Computer
633.95 633.95 C
Computer
498.10 498.10 C
Computer
280.94 280.94 C
Computer
71.08 71.08 C
Computer
413.07 413.07 C
Computer
324.55 324.55 C
Computer
203.32 203.32 C
Computer
159.76 159.76 C
Computer
122.84 122.84 C
Computer
96.51 96.51 C
Computer
249.75 249.75 C
Computer
196.23 196.23 C
Computer
230.61 230.61 C
Computer
181.19 181.19 C
Computer
248.48 248.48 C
Computer
195.23 195.23 C
Computer
154.73 154.73 C
Computer
121.57 121.57 C
Computer
162.68 162.68 C 127.82
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593042
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734983
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593043
49734983
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593044
49734985
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593044
49734985
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593045
49734987
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593045
49734987
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593046
49734989
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593046
49734989
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593047
49734991
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593047
49734991
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593048
49734993
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593048
49734993
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593049
49734995
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593049
49734995
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593050
49734997
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593050
49734997
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593051
768113
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593051
768113
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593052
49521162
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593052
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593043
Amount Paid
FOOD SERVICE FUND
49734981
49521162
104
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
127.82 127.82 C
Computer
187.61 187.61 C
Computer
147.40 147.40 C
Computer
141.35 141.35 C
Computer
111.06 111.06 C
Computer
244.89 244.89 C
Computer
192.42 192.42 C
Computer
242.59 242.59 C
Computer
190.61 190.61 C
Computer
282.97 282.97 C
Computer
222.33 222.33 C
Computer
266.59 266.59 C
Computer
209.46 209.46 C
Computer
176.95 176.95 C
Computer
139.03 139.03 C
Computer
158.26 158.26 C
Computer
124.34 124.34 C
Computer
184.00 184.00 C
Computer
144.58 144.58 C
Computer
228.88 228.88 C 179.84
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593052
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521163
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593053
49521163
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593056
49521164
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593056
49521164
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593057
49521165
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593057
49521165
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593058
49521166
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593058
49521166
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593059
49521167
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593059
49521167
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593060
49521168
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593060
49521168
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593061
49521169
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593061
49521169
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593062
49521170
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593062
49521170
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593063
49521171
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593063
49521171
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593064
49521172
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593064
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593053
Amount Paid
FOOD SERVICE FUND
49521162
49521172
105
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
179.84 179.84 C
Computer
243.09 243.09 C
Computer
191.00 191.00 C
Computer
229.00 229.00 C
Computer
179.93 179.93 C
Computer
340.73 340.73 C
Computer
267.71 267.71 C
Computer
147.59 147.59 C
Computer
115.96 115.96 C
Computer
212.12 212.12 C
Computer
166.67 166.67 C
Computer
107.98 107.98 C
Computer
84.84 84.84 C
Computer
147.94 147.94 C
Computer
116.24 116.24 C
Computer
192.20 192.20 C
Computer
151.01 151.01 C
Computer
330.30 330.30 C
Computer
259.52 259.52 C
Computer
241.33 241.33 C 189.62
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593064
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49521173
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593065
49521173
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593066
49521174
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593066
49521174
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593067
49521175
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593067
49521175
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593068
49521176
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593068
49521176
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593069
49734923
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593069
49734923
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593070
49734925
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593070
49734925
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593071
49734927
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593071
49734927
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593072
49734929
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593072
49734929
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593073
49734931
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593073
49734931
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593074
49734933
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593074
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593065
Amount Paid
FOOD SERVICE FUND
49521172
49734933
106
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
189.62 189.62 C
Computer
601.04 601.04 C
Computer
472.24 472.24 C
Computer
204.29 204.29 C
Computer
160.52 160.52 C
Computer
262.91 262.91 C
Computer
206.58 206.58 C
Computer
192.54 192.54 C
Computer
151.28 151.28 C
Computer
155.85 155.85 C
Computer
122.46 122.46 C
Computer
239.77 239.77 C
Computer
188.39 188.39 C
Computer
328.52 328.52 C
Computer
258.12 258.12 C
Computer
190.80 190.80 C
Computer
149.92 149.92 C
Computer
172.93 172.93 C
Computer
135.88 135.88 C
Computer
264.18 264.18 C 207.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593074
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734935
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593075
49734935
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593076
49734937
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593076
49734937
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593077
49734939
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593077
49734939
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593078
49734941
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593078
49734941
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593079
49734943
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593079
49734943
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593080
49734945
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593080
49734945
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593081
49734947
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593081
49734947
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593082
49734949
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593082
49734949
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593083
49734951
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593083
49734951
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593084
49734953
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
101-35-6341-00-958-7-99-000 FOOD 00593084
Status
Status Description
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593075
Amount Paid
FOOD SERVICE FUND
49734933
49734953
107
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005441 BREAKFAST
207.57 207.57 C
Computer
234.98 234.98 C
Computer
184.62 184.62 C
Computer
259.82 259.82 C
Computer
204.14 204.14 C
Computer
149.30 149.30 C
Computer
117.30 117.30 C
Computer
161.22 161.22 C
Computer
126.67 126.67 C
Computer
167.34 167.34 C
Computer
131.49 131.49 C
Computer
155.80 155.80 C
Computer
122.41 122.41 C
Computer
291.52 291.52 C
Computer
229.05 229.05 C
Computer
203.87 203.87 C
Computer
160.19 160.19 C
Computer
284.21 284.21 C
Computer
223.30 223.30 C
Computer
220.10 220.10 C 172.93
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217495 00593084
Vendor Name
PO No
Description
Acct Amt
01/26/17
10157
49734955
172.93 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
49734955
49734957
49734957
149.12 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
49734959
49734959
91.06 C
17005441 DAIRY & JUICE LUNCH PRODUCTS FOR THE M
00593183
00040559
79782
159.71 C
00593433
01/26/17
17008369 PAPER/PLASTIC PRODUCST FOR THE MONTHS
97898287
124265
00593754
01/26/17
Total Check per Fund: RICH PRODUCTS CORPORATION
17006497 COMMODITY PROCESSING FEE FOR THE MONTH
2924
Total Check per Fund: SAM'S CLUB DIRECT
999999/L.PASTOR 17008943 MEMBERSHIP FEE FOR LUIS PASTOR (VN#69
Total Check per Fund: 00593772
01/26/17 007557
139157
0004191
17000165 SPECIAL DIETS FOR THE MONTH OF SEPTEMB
17000165 SPECIAL DIETS FOR THE MONTH OF SEPTEMB
101-35-6341-04-958-7-99-000 FOOD 0210217567 00593741
01/26/17 47180
102121
Total Check per Fund: GARCIA JESUS NOE
17005677 CLINTON
101-35-6249-00-123-7-99-000 CONTRACTED MAINT & REPAIR 00593742
47164
17005677 PENA
101-35-6249-00-124-7-99-000 CONTRACTED MAINT & REPAIR 0210217569 00593799
01/26/17 113161427
1769
Computer
6,576.50 14,767.41 14,767.41 C
Computer
14,767.41 15.00 Computer
15.00
SFM LLC
101-35-6341-04-958-7-99-000 FOOD 00593773
6,576.50
15.00 C
101-35-6495-00-958-7-99-000 MEMBERSHIP FEES 0210217554
83,521.71
6,576.50 C
101-35-6299-06-958-7-99-000 COMMODITY PROCESSING FEES 0210217544
Computer
MEDEK, LLC
101-35-6342-00-958-7-99-000 NON-FOOD 0210217533
Computer
159.71
17005441 BREAKFAST
Total Check per Fund: 01/26/17
Computer
203.27 203.27 C
101-35-6341-01-958-7-99-000 FOOD 0210217513
Computer
91.06
101-35-6341-00-958-7-99-000 FOOD 00593087
Computer
115.89 115.89 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593087
Computer
149.12
101-35-6341-00-958-7-99-000 FOOD 00593086
Computer
189.79 189.79 C
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593086
Status Description
172.93
101-35-6341-00-958-7-99-000 FOOD 00593085
Status
OAK FARMS DAIRY
17005441 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593085
Amount Paid
FOOD SERVICE FUND
49734953
108
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SYSCO CENTRAL TEXAS, INC.
17006508 FOOD ITEMS FOR LUNCH FOR THE MONTHS O
101-35-6341-00-958-7-99-000 FOOD
351.79 351.79 C
Computer
530.52 530.52 C
Computer
882.31 750.00 750.00 C
Computer
50.00 50.00 C
Computer
800.00 425.12 425.12 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217569 00593805
Vendor Name
PO No
Description
Acct Amt
01/26/17
1769
113161428
17006508 PAPER/PLASTIC CATERING
101-35-6342-03-958-7-99-000 NON FOOD CATERING 00593806
113161429
17006508 FOOD ITEMS FOR LUNCH FOR THE MONTHS O
101-35-6341-00-958-7-99-000 FOOD 00593807
113143609
17008394 CATERING
101-35-6342-03-958-7-99-000 NON FOOD CATERING 00593804
113150586
17008394 CATERING
101-35-6342-03-958-7-99-000 NON FOOD CATERING 00593803
113135814
17006508 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00593802
113143610
17006508 FOOD ITEMS FOR LUNCH FOR THE MONTHS O
101-35-6341-00-958-7-99-000 FOOD 00593801
113150585
17006508 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593800
113150587
17006508 FOOD ITEMS FOR LUNCH FOR THE MONTHS O
101-35-6341-00-958-7-99-000 FOOD 0210217604 00594237
01/26/17 006097
2123
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594236
006159
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594235
006244
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594234
006310
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594233
007116
17007651 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210217605 00594245
01/26/17 004444
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007750 SPECIAL DIETS
101-35-6341-04-958-7-99-000 FOOD 00594246
002424
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594247
003030
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594248
009213
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594249
Status
Status Description
SYSCO CENTRAL TEXAS, INC.
17006508 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00593798
Amount Paid
FOOD SERVICE FUND
113161428
009117
109
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
3,134.99 3,134.99 C
Computer
1,010.20 1,010.20 C
Computer
4,741.90 4,741.90 C
Computer
4,422.00 4,422.00 C
Computer
279.23 279.23 C
Computer
2,409.12 2,409.12 C
Computer
2,103.20 2,103.20 C
Computer
1,900.81 1,900.81 C
Computer
8,279.05 8,279.05 C
Computer
28,705.62 92.20 92.20 C
Computer
83.59 83.59 C
Computer
89.78 89.78 C
Computer
102.58 102.58 C
Computer
99.24 99.24 C
Computer
467.39 38.36 38.36 C
Computer
194.97 194.97 C
Computer
105.29 105.29 C
Computer
38.44 38.44 C 183.66
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217605 00594249
Vendor Name
PO No
Description
Acct Amt
01/26/17
55891
009493
17007750 SPECIAL DIETS
101-35-6341-04-958-7-99-000 FOOD 0210217640 00593927
01/26/17 2101221614
6553
Total Check per Fund: EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593989
2101221615
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593929
2101221616
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593930
2101221617
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593931
2101221618
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593932
2101221619
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593933
2101221620
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593934
2101221621
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593935
2101221622
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593936
2101221623
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593937
2101221624
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593938
2101221625
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593939
2101221626
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593940
2101221627
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593941
2101221628
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593942
2101221629
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593943
2101221630
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593944
Status
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007750 FOOD FOR CATERING EVENTS FOR THE MONTH
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594250
Amount Paid
FOOD SERVICE FUND
009117
2101221631
110
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
183.66 183.66 C
Computer
92.70 92.70 C
Computer
653.42 123.95 123.95 A
ACH
92.50 92.50 A
ACH
114.70 114.70 A
ACH
79.55 79.55 A
ACH
83.25 83.25 A
ACH
123.95 123.95 A
ACH
92.50 92.50 A
ACH
83.25 83.25 A
ACH
77.70 77.70 A
ACH
92.50 92.50 A
ACH
81.40 81.40 A
ACH
85.10 85.10 A
ACH
101.75 101.75 A
ACH
55.50 55.50 A
ACH
92.50 92.50 A
ACH
81.40 81.40 A
ACH
96.20 96.20 A 111.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217640 00593944
Vendor Name
PO No
Description
Acct Amt
01/26/17
6553
2101221632
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593946
2101221633
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593947
2101221634
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593948
2101221635
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593949
2101221636
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593950
2101221637
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593951
2101221638
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593952
2101221639
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593953
2101221640
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593954
2101221642
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593955
2101221643
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593956
2101221652
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593957
2101221653
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593958
2101221654
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593959
2101221655
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593960
2101221656
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593961
2101221657
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593962
2101221658
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593963
2101221691
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593964
Status
Status Description
EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593945
Amount Paid
FOOD SERVICE FUND
2101221631
2101221692
111
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
111.00 111.00 A
ACH
148.00 148.00 A
ACH
133.20 133.20 A
ACH
79.55 79.55 A
ACH
77.70 77.70 A
ACH
90.65 90.65 A
ACH
42.55 42.55 A
ACH
116.55 116.55 A
ACH
105.45 105.45 A
ACH
129.50 129.50 A
ACH
68.45 68.45 A
ACH
55.50 55.50 A
ACH
116.55 116.55 A
ACH
92.50 92.50 A
ACH
107.30 107.30 A
ACH
222.00 222.00 A
ACH
86.95 86.95 A
ACH
103.60 103.60 A
ACH
92.50 92.50 A
ACH
46.25 46.25 A 55.50
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217640 00593964
Vendor Name
PO No
Description
Acct Amt
01/26/17
6553
2101221693
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593966
2101221694
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593967
2101221695
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593968
2101221696
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593969
2101221697
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593970
2101221698
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593971
2101221699
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593972
2101221700
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593973
2101221701
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593974
2101221702
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593975
2101221703
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593976
2101221704
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593977
2101221705
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593978
2101221706
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593979
2101221707
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593980
2101221708
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593981
2101221709
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593982
2101221710
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593983
2101221711
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593984
Status
Status Description
EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593965
Amount Paid
FOOD SERVICE FUND
2101221692
2101221712
112
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
55.50 55.50 A
ACH
46.25 46.25 A
ACH
46.25 46.25 A
ACH
37.00 37.00 A
ACH
37.00 37.00 A
ACH
64.75 64.75 A
ACH
40.70 40.70 A
ACH
18.50 18.50 A
ACH
37.00 37.00 A
ACH
46.25 46.25 A
ACH
57.35 57.35 A
ACH
74.00 74.00 A
ACH
37.00 37.00 A
ACH
49.95 49.95 A
ACH
46.25 46.25 A
ACH
74.00 74.00 A
ACH
59.20 59.20 A
ACH
70.30 70.30 A
ACH
37.00 37.00 A
ACH
29.60 29.60 A 42.55
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217640 00593984
Vendor Name
PO No
Description
Acct Amt
01/26/17
6553
2101221713
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593986
2101221714
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593987
2101221715
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593988
2101221716
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593928
2101221717
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 0210217658 00593593
01/26/17 1345
4048
Total Check per Fund: IRMA'S SWEETE SHOPPE
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 00593594
1437
17006386 CAKES AND PASTRIES FOR CATERING REQUE
101-35-6341-03-958-7-99-000 FOOD - CATERING 0210217663 00593470
01/26/17 01094049
3945
Total Check per Fund: LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593471
01094050
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593471
01094050
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593472
01094051
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593472
01094051
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593473
01158595
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593473
01158595
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593474
01158596
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593474
01158596
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593475
01158597
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593475
Status
Status Description
EXQUISITA TORTILLAS, INC.
17006458 TORTILLA PRODUCST FOR LUNCH FOR THE MO
101-35-6341-00-958-7-99-000 FOOD 00593985
Amount Paid
FOOD SERVICE FUND
2101221712
01158597
113
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 BREAKFAST
42.55 42.55 A
ACH
25.90 25.90 A
ACH
64.75 64.75 A
ACH
37.00 37.00 A
ACH
44.40 44.40 A
ACH
46.25 46.25 A
ACH
4,808.15 45.50 45.50 A
ACH
32.15 32.15 A
ACH
77.65 337.11 337.11 A
ACH
1,898.14 1,898.14 A
ACH
513.69 513.69 A
ACH
1,534.76 1,534.76 A
ACH
510.93 510.93 A
ACH
1,516.57 1,516.57 A
ACH
782.47 782.47 A
ACH
2,326.91 2,326.91 A
ACH
726.78 726.78 A
ACH
1,708.80 1,708.80 A 546.27
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593475
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01158598
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593476
01158598
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593477
01158599
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593477
01158599
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593478
01158600
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593478
01158600
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593479
01158601
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593479
01158601
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593480
01158602
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593480
01158602
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593481
01158603
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593481
01158603
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593482
01158604
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593482
01158604
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593483
01158605
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593483
01158605
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593484
01158606
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593484
01158606
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593485
01158607
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593485
Status
Status Description
LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593476
Amount Paid
FOOD SERVICE FUND
01158597
01158607
114
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 BREAKFAST
546.27 546.27 A
ACH
1,024.36 1,024.36 A
ACH
863.38 863.38 A
ACH
1,129.78 1,129.78 A
ACH
505.77 505.77 A
ACH
1,531.42 1,531.42 A
ACH
639.81 639.81 A
ACH
1,234.90 1,234.90 A
ACH
798.39 798.39 A
ACH
1,446.73 1,446.73 A
ACH
826.23 826.23 A
ACH
1,541.97 1,541.97 A
ACH
860.50 860.50 A
ACH
5,075.34 5,075.34 A
ACH
865.06 865.06 A
ACH
2,350.09 2,350.09 A
ACH
1,056.80 1,056.80 A
ACH
1,719.34 1,719.34 A
ACH
918.64 918.64 A
ACH
1,508.63 1,508.63 A 654.49
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593485
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01158608
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593486
01158608
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593487
01158609
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593469
01094048
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593470
01094049
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593453
01124633
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593453
01124633
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593454
01124634
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593454
01124634
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593455
01124635
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593455
01124635
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593456
01124636
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593456
01124636
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593457
01124637
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593457
01124637
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593458
01093920
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593458
01093920
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593459
01093921
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593459
01093921
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593460
Status
Status Description
LABATT FOOD SERVICE
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593486
Amount Paid
FOOD SERVICE FUND
01158607
01093922
115
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
654.49 654.49 A
ACH
1,924.47 1,924.47 A
ACH
1,066.91 1,066.91 A
ACH
1,602.27 1,602.27 A
ACH
386.73 386.73 A
ACH
1,910.58 1,910.58 A
ACH
2,267.68 2,267.68 A
ACH
550.51 550.51 A
ACH
4,122.19 4,122.19 A
ACH
654.01 654.01 A
ACH
1,750.79 1,750.79 A
ACH
330.88 330.88 A
ACH
2,368.36 2,368.36 A
ACH
397.56 397.56 A
ACH
2,218.53 2,218.53 A
ACH
601.31 601.31 A
ACH
1,436.61 1,436.61 A
ACH
688.75 688.75 A
ACH
2,107.25 2,107.25 A
ACH
474.11 474.11 A 1,850.59
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593460
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01093922
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593461
01093923
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593461
01093923
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593462
01093953
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593462
01093953
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593463
01093954
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593463
01093954
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593464
01094023
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593464
01094023
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593465
01094024
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593465
01094024
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593466
01094025
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593466
01094025
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593467
01094046
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593467
01094046
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593468
01094047
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593468
01094047
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593469
01094048
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593487
01158609
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593488
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593460
Amount Paid
FOOD SERVICE FUND
01093922
01158610
116
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,850.59 1,850.59 A
ACH
472.55 472.55 A
ACH
2,081.97 2,081.97 A
ACH
580.20 580.20 A
ACH
2,327.80 2,327.80 A
ACH
733.32 733.32 A
ACH
2,476.76 2,476.76 A
ACH
812.01 812.01 A
ACH
4,853.48 4,853.48 A
ACH
723.84 723.84 A
ACH
1,986.91 1,986.91 A
ACH
562.52 562.52 A
ACH
1,623.43 1,623.43 A
ACH
615.84 615.84 A
ACH
1,470.71 1,470.71 A
ACH
352.82 352.82 A
ACH
1,543.55 1,543.55 A
ACH
452.79 452.79 A
ACH
1,545.69 1,545.69 A
ACH
750.11 750.11 A 1,787.86
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593488
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01158610
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593489
01158611
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593489
01158611
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593490
01158612
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593490
01158612
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593491
01158613
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593491
01158613
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593492
01158614
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593492
01158614
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593493
01158615
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593493
01158615
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593494
01158616
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593494
01158616
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593495
01158619
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593495
01158619
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593496
01158620
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593496
01158620
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593497
01158621
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593497
01158621
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593498
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593488
Amount Paid
FOOD SERVICE FUND
01158610
01158657
117
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,787.86 1,787.86 A
ACH
1,086.94 1,086.94 A
ACH
3,219.96 3,219.96 A
ACH
793.93 793.93 A
ACH
1,340.00 1,340.00 A
ACH
420.61 420.61 A
ACH
900.59 900.59 A
ACH
609.93 609.93 A
ACH
1,063.22 1,063.22 A
ACH
722.70 722.70 A
ACH
1,181.33 1,181.33 A
ACH
693.50 693.50 A
ACH
2,912.16 2,912.16 A
ACH
760.63 760.63 A
ACH
1,965.37 1,965.37 A
ACH
723.21 723.21 A
ACH
2,253.08 2,253.08 A
ACH
615.82 615.82 A
ACH
2,050.92 2,050.92 A
ACH
722.59 722.59 A 1,476.75
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593498
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01158657
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593499
01158658
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593499
01158658
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593500
01158659
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593500
01158659
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593501
01158660
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593501
01158660
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593502
01158661
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593502
01158661
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593503
01158662
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593503
01158662
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593504
01158663
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593504
01158663
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593505
01158664
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593505
01158664
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593506
01158665
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593506
01158665
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593507
01158666
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593507
01158666
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593508
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593498
Amount Paid
FOOD SERVICE FUND
01158657
01158667
118
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,476.75 1,476.75 A
ACH
653.64 653.64 A
ACH
1,360.73 1,360.73 A
ACH
582.68 582.68 A
ACH
1,395.86 1,395.86 A
ACH
429.26 429.26 A
ACH
1,845.54 1,845.54 A
ACH
840.55 840.55 A
ACH
2,733.67 2,733.67 A
ACH
613.74 613.74 A
ACH
3,985.76 3,985.76 A
ACH
692.40 692.40 A
ACH
1,506.77 1,506.77 A
ACH
340.97 340.97 A
ACH
2,602.81 2,602.81 A
ACH
696.36 696.36 A
ACH
1,479.35 1,479.35 A
ACH
451.82 451.82 A
ACH
1,706.69 1,706.69 A
ACH
692.28 692.28 A 1,382.52
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593508
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01158667
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593509
01081573
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593509
01081573
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593510
01081574
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593510
01081574
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593511
01081575
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593511
01081575
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593512
01081576
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593512
01081576
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593513
01081577
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593513
01081577
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593514
01081578
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593514
01081578
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593515
01081579
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593515
01081579
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593516
01081580
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593516
01081580
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593517
01081581
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593517
01081581
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593518
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593508
Amount Paid
FOOD SERVICE FUND
01158667
01081582
119
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,382.52 1,382.52 A
ACH
543.22 543.22 A
ACH
1,411.93 1,411.93 A
ACH
936.56 936.56 A
ACH
721.12 721.12 A
ACH
572.78 572.78 A
ACH
1,219.28 1,219.28 A
ACH
463.20 463.20 A
ACH
1,316.03 1,316.03 A
ACH
809.44 809.44 A
ACH
1,051.36 1,051.36 A
ACH
442.72 442.72 A
ACH
1,171.39 1,171.39 A
ACH
555.34 555.34 A
ACH
1,146.79 1,146.79 A
ACH
664.74 664.74 A
ACH
1,378.35 1,378.35 A
ACH
765.23 765.23 A
ACH
1,331.46 1,331.46 A
ACH
765.94 765.94 A 4,655.33
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593518
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01081582
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593519
01081583
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593519
01081583
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593520
01081584
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593520
01081584
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593521
01081585
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593521
01081585
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593522
01081586
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593522
01081586
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593523
01081587
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593523
01081587
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593524
01081588
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593524
01081588
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593525
01081589
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593525
01081589
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593526
01081590
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593526
01081590
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593527
01081591
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593527
01081591
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593528
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593518
Amount Paid
FOOD SERVICE FUND
01081582
01081592
120
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
4,655.33 4,655.33 A
ACH
986.70 986.70 A
ACH
1,915.16 1,915.16 A
ACH
813.88 813.88 A
ACH
1,687.95 1,687.95 A
ACH
830.25 830.25 A
ACH
1,546.76 1,546.76 A
ACH
609.92 609.92 A
ACH
1,508.28 1,508.28 A
ACH
943.69 943.69 A
ACH
1,384.64 1,384.64 A
ACH
633.32 633.32 A
ACH
1,671.61 1,671.61 A
ACH
923.59 923.59 A
ACH
3,602.83 3,602.83 A
ACH
757.18 757.18 A
ACH
979.60 979.60 A
ACH
472.37 472.37 A
ACH
1,115.90 1,115.90 A
ACH
730.14 730.14 A 1,228.32
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593528
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01081592
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593529
01081593
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593529
01081593
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593530
01081594
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593530
01081594
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593531
01081596
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593531
01081596
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593532
01081597
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593532
01081597
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593533
01081598
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593533
01081598
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593534
01081636
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593534
01081636
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593535
01081637
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593535
01081637
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593536
01081638
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593536
01081638
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593537
01081639
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593537
01081639
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593538
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593528
Amount Paid
FOOD SERVICE FUND
01081592
01081640
121
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
1,228.32 1,228.32 A
ACH
572.78 572.78 A
ACH
1,042.99 1,042.99 A
ACH
830.55 830.55 A
ACH
1,958.61 1,958.61 A
ACH
1,045.63 1,045.63 A
ACH
1,479.87 1,479.87 A
ACH
1,013.72 1,013.72 A
ACH
1,751.03 1,751.03 A
ACH
1,101.71 1,101.71 A
ACH
1,647.39 1,647.39 A
ACH
699.56 699.56 A
ACH
968.12 968.12 A
ACH
569.04 569.04 A
ACH
1,242.44 1,242.44 A
ACH
622.57 622.57 A
ACH
1,239.98 1,239.98 A
ACH
505.41 505.41 A
ACH
1,151.63 1,151.63 A
ACH
754.74 754.74 A 1,601.46
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217663 00593538
Vendor Name
PO No
Description
Acct Amt
01/26/17
3945
01081640
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593539
01081641
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593539
01081641
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593540
01081642
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593540
01081642
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593541
01081643
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593541
01081643
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593542
01081644
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593542
01081644
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593543
01081645
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593543
01081645
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593544
01081646
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593544
01081646
17006474 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00593391
01191982
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593392
01226018
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593393
01161361
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 0210217685 00594274
01/26/17 826120
108944
Total Check per Fund: NICHO PRODUCE CO. INC.
17006487 CATERING
101-35-6341-03-958-7-99-000 FOOD - CATERING 00594275
826368
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594275
Status
Status Description
LABATT FOOD SERVICE
17006474 SCHOOL NUTRITION PROGRAM FOOD ITEMS FO
101-35-6341-00-958-7-99-000 FOOD 00593538
Amount Paid
FOOD SERVICE FUND
01081640
826368
122
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
1,601.46 1,601.46 A
ACH
687.56 687.56 A
ACH
3,290.96 3,290.96 A
ACH
868.55 868.55 A
ACH
1,610.51 1,610.51 A
ACH
570.11 570.11 A
ACH
1,707.91 1,707.91 A
ACH
442.98 442.98 A
ACH
1,649.81 1,649.81 A
ACH
866.18 866.18 A
ACH
1,110.81 1,110.81 A
ACH
417.48 417.48 A
ACH
926.20 926.20 A
ACH
542.06 542.06 A
ACH
46.36 46.36 A
ACH
2,360.32 2,360.32 A
ACH
3,657.44 3,657.44 A
ACH
235,743.72 257.25 257.25 A
ACH
61.80 61.80 A 41.20
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594275
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826602
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594276
826602
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594277
826608
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594277
826608
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594278
826610
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594278
826610
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594279
826611
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594279
826611
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594280
826612
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594280
826612
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594281
826619
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594281
826619
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594282
826620
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594282
826620
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594283
826621
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594283
826621
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594284
826622
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594284
826622
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594285
826623
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594285
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594276
Amount Paid
FOOD SERVICE FUND
826368
826623
123
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
41.20 41.20 A
ACH
330.42 330.42 A
ACH
220.28 220.28 A
ACH
324.60 324.60 A
ACH
216.40 216.40 A
ACH
327.00 327.00 A
ACH
218.00 218.00 A
ACH
168.42 168.42 A
ACH
112.28 112.28 A
ACH
139.59 139.59 A
ACH
93.06 93.06 A
ACH
81.84 81.84 A
ACH
54.56 54.56 A
ACH
135.78 135.78 A
ACH
90.52 90.52 A
ACH
97.23 97.23 A
ACH
64.82 64.82 A
ACH
115.92 115.92 A
ACH
77.28 77.28 A
ACH
111.78 111.78 A 74.52
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594285
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826624
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594286
826624
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594287
826625
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594287
826625
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594288
826626
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594288
826626
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594289
826627
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594289
826627
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594290
826628
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594290
826628
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594291
826629
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594291
826629
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594292
826630
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594292
826630
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594293
826631
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594293
826631
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594294
826632
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594294
826632
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594295
826633
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594295
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594286
Amount Paid
FOOD SERVICE FUND
826623
826633
124
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
74.52 74.52 A
ACH
75.39 75.39 A
ACH
50.26 50.26 A
ACH
96.66 96.66 A
ACH
64.44 64.44 A
ACH
43.50 43.50 A
ACH
29.00 29.00 A
ACH
108.90 108.90 A
ACH
72.60 72.60 A
ACH
103.32 103.32 A
ACH
68.88 68.88 A
ACH
94.23 94.23 A
ACH
62.82 62.82 A
ACH
84.03 84.03 A
ACH
56.02 56.02 A
ACH
109.53 109.53 A
ACH
73.02 73.02 A
ACH
108.24 108.24 A
ACH
72.16 72.16 A
ACH
75.39 75.39 A 50.26
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594295
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826634
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594296
826634
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594297
826635
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594297
826635
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594298
826636
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594298
826636
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594299
826637
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594299
826637
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594300
826638
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594300
826638
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594301
826639
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594301
826639
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594302
826640
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594302
826640
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594303
826641
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594303
826641
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594304
826642
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594304
826642
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594305
826643
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594305
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594296
Amount Paid
FOOD SERVICE FUND
826633
826643
125
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
50.26 50.26 A
ACH
108.51 108.51 A
ACH
72.34 72.34 A
ACH
93.72 93.72 A
ACH
62.48 62.48 A
ACH
74.64 74.64 A
ACH
49.76 49.76 A
ACH
132.66 132.66 A
ACH
88.44 88.44 A
ACH
112.35 112.35 A
ACH
74.90 74.90 A
ACH
104.34 104.34 A
ACH
69.56 69.56 A
ACH
94.11 94.11 A
ACH
62.74 62.74 A
ACH
80.82 80.82 A
ACH
53.88 53.88 A
ACH
87.42 87.42 A
ACH
58.28 58.28 A
ACH
109.02 109.02 A 72.68
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594305
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826644
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594306
826644
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594307
826645
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594307
826645
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594308
826646
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594308
826646
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594309
826648
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594309
826648
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594310
826649
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594310
826649
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594311
826650
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594311
826650
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594312
826651
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594312
826651
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594313
826653
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594313
826653
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594314
826654
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594314
826654
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594315
826655
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594315
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594306
Amount Paid
FOOD SERVICE FUND
826643
826655
126
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
72.68 72.68 A
ACH
107.73 107.73 A
ACH
71.82 71.82 A
ACH
80.70 80.70 A
ACH
53.80 53.80 A
ACH
93.72 93.72 A
ACH
62.48 62.48 A
ACH
106.86 106.86 A
ACH
71.24 71.24 A
ACH
95.76 95.76 A
ACH
63.84 63.84 A
ACH
103.47 103.47 A
ACH
68.98 68.98 A
ACH
277.92 277.92 A
ACH
185.28 185.28 A
ACH
304.20 304.20 A
ACH
202.80 202.80 A
ACH
238.20 238.20 A
ACH
158.80 158.80 A
ACH
140.28 140.28 A 93.52
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594315
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826656
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594316
826656
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594317
826658
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594317
826658
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594318
826659
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594318
826659
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594319
826660
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594319
826660
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594320
826661
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594320
826661
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594321
826662
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594321
826662
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594322
826663
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594322
826663
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594323
826664
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594323
826664
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594324
826665
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594324
826665
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594325
826666
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594325
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594316
Amount Paid
FOOD SERVICE FUND
826655
826666
127
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
93.52 93.52 A
ACH
86.46 86.46 A
ACH
57.64 57.64 A
ACH
137.28 137.28 A
ACH
91.52 91.52 A
ACH
125.28 125.28 A
ACH
83.52 83.52 A
ACH
125.28 125.28 A
ACH
83.52 83.52 A
ACH
188.46 188.46 A
ACH
125.64 125.64 A
ACH
125.28 125.28 A
ACH
83.52 83.52 A
ACH
232.92 232.92 A
ACH
155.28 155.28 A
ACH
266.46 266.46 A
ACH
177.64 177.64 A
ACH
65.28 65.28 A
ACH
43.52 43.52 A
ACH
306.24 306.24 A 204.16
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594325
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826667
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594326
826667
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594327
826668
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594327
826668
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594328
826669
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594328
826669
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594329
827275
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594329
827275
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594330
826676
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594330
826676
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594331
826677
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594331
826677
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594332
826678
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594332
826678
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594333
826679
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594333
826679
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594334
826680
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594334
826680
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594335
826681
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594335
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594326
Amount Paid
FOOD SERVICE FUND
826666
826681
128
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
204.16 204.16 A
ACH
314.46 314.46 A
ACH
209.64 209.64 A
ACH
140.28 140.28 A
ACH
93.52 93.52 A
ACH
185.28 185.28 A
ACH
123.52 123.52 A
ACH
.24 .24 A
ACH
.16 .16 A
ACH
197.64 197.64 A
ACH
131.76 131.76 A
ACH
176.46 176.46 A
ACH
117.64 117.64 A
ACH
146.46 146.46 A
ACH
97.64 97.64 A
ACH
216.96 216.96 A
ACH
144.64 144.64 A
ACH
209.28 209.28 A
ACH
139.52 139.52 A
ACH
83.46 83.46 A 55.64
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594335
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826682
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594336
826682
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594337
826683
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594337
826683
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594338
826684
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594338
826684
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594339
826685
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594339
826685
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594340
826687
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594340
826687
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594341
826688
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594341
826688
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594342
826689
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594342
826689
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594343
826690
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594343
826690
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594344
826691
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594344
826691
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594345
826692
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594345
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594336
Amount Paid
FOOD SERVICE FUND
826681
826692
129
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
55.64 55.64 A
ACH
298.74 298.74 A
ACH
199.16 199.16 A
ACH
185.28 185.28 A
ACH
123.52 123.52 A
ACH
260.28 260.28 A
ACH
173.52 173.52 A
ACH
242.64 242.64 A
ACH
161.76 161.76 A
ACH
103.14 103.14 A
ACH
68.76 68.76 A
ACH
194.10 194.10 A
ACH
129.40 129.40 A
ACH
146.46 146.46 A
ACH
97.64 97.64 A
ACH
164.10 164.10 A
ACH
109.40 109.40 A
ACH
216.96 216.96 A
ACH
144.64 144.64 A
ACH
228.60 228.60 A 152.40
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594345
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
826693
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594346
826693
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594347
826694
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594347
826694
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594348
826696
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594348
826696
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594349
825404
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594349
825404
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594350
825410
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594350
825410
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594351
825412
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594351
825412
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594352
825416
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594352
825416
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594353
825417
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594353
825417
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594354
825418
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594354
825418
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594355
825419
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594355
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594346
Amount Paid
FOOD SERVICE FUND
826692
825419
130
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
152.40 152.40 A
ACH
204.60 204.60 A
ACH
136.40 136.40 A
ACH
209.28 209.28 A
ACH
139.52 139.52 A
ACH
256.92 256.92 A
ACH
171.28 171.28 A
ACH
341.82 341.82 A
ACH
227.88 227.88 A
ACH
331.26 331.26 A
ACH
220.84 220.84 A
ACH
337.20 337.20 A
ACH
224.80 224.80 A
ACH
86.88 86.88 A
ACH
57.92 57.92 A
ACH
80.16 80.16 A
ACH
53.44 53.44 A
ACH
127.38 127.38 A
ACH
84.92 84.92 A
ACH
146.88 146.88 A 97.92
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594355
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
825421
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594356
825421
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594357
825426
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594357
825426
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594358
825427
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594358
825427
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594359
825428
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594359
825428
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594360
825429
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594360
825429
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594361
825430
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594361
825430
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594362
825431
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594362
825431
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594363
825432
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594363
825432
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594364
825434
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594364
825434
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594365
825435
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594365
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594356
Amount Paid
FOOD SERVICE FUND
825419
825435
131
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
97.92 97.92 A
ACH
116.88 116.88 A
ACH
77.92 77.92 A
ACH
195.66 195.66 A
ACH
130.44 130.44 A
ACH
125.16 125.16 A
ACH
83.44 83.44 A
ACH
250.32 250.32 A
ACH
166.88 166.88 A
ACH
260.16 260.16 A
ACH
173.44 173.44 A
ACH
50.16 50.16 A
ACH
33.44 33.44 A
ACH
286.29 286.29 A
ACH
190.86 190.86 A
ACH
302.16 302.16 A
ACH
201.44 201.44 A
ACH
138.60 138.60 A
ACH
92.40 92.40 A
ACH
176.88 176.88 A 117.92
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594365
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
825436
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594366
825436
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594367
825437
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594367
825437
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594368
825438
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594368
825438
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594369
825439
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594369
825439
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594370
825440
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594370
825440
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594371
825441
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594371
825441
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594372
825442
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594372
825442
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594373
825443
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594373
825443
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594374
825444
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594374
825444
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594375
825445
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594375
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594366
Amount Paid
FOOD SERVICE FUND
825435
825445
132
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
117.92 117.92 A
ACH
178.44 178.44 A
ACH
118.96 118.96 A
ACH
163.44 163.44 A
ACH
108.96 108.96 A
ACH
140.16 140.16 A
ACH
93.44 93.44 A
ACH
221.16 221.16 A
ACH
147.44 147.44 A
ACH
227.88 227.88 A
ACH
151.92 151.92 A
ACH
170.16 170.16 A
ACH
113.44 113.44 A
ACH
258.57 258.57 A
ACH
172.38 172.38 A
ACH
202.38 202.38 A
ACH
134.92 134.92 A
ACH
245.16 245.16 A
ACH
163.44 163.44 A
ACH
357.66 357.66 A 238.44
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
0210217685 00594375
Vendor Name
PO No
Description
Acct Amt
01/26/17
108944
825446
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594376
825446
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594377
825447
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594377
825447
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594378
825448
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594378
825448
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594379
825449
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594379
825449
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594380
825450
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594380
825450
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594381
825451
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594381
825451
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594382
825452
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594382
825452
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594383
825453
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594383
825453
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594384
825454
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594384
825454
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594385
826336
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594385
Status
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 00594376
Amount Paid
FOOD SERVICE FUND
825445
826336
133
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006487 BREAKFAST
238.44 238.44 A
ACH
98.94 98.94 A
ACH
65.96 65.96 A
ACH
183.60 183.60 A
ACH
122.40 122.40 A
ACH
140.16 140.16 A
ACH
93.44 93.44 A
ACH
153.60 153.60 A
ACH
102.40 102.40 A
ACH
208.41 208.41 A
ACH
138.94 138.94 A
ACH
90.00 90.00 A
ACH
60.00 60.00 A
ACH
191.85 191.85 A
ACH
127.90 127.90 A
ACH
223.38 223.38 A
ACH
148.92 148.92 A
ACH
277.02 277.02 A
ACH
184.68 184.68 A
ACH
22.50 22.50 A 15.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
101
Vendor Name
PO No
Amount Paid
Description
00594385
Acct Amt
826336
108944
00593131
01/26/17 1422-120492
15.00
21748
15.00 A
Total Check per Fund: O'REILLY AUTO PARTS
17006394 SUPPLIES FOR REPAIRS FOR CNS DEPT FOR
101-35-6319-00-958-7-99-000 SUPPLIES 01/26/17
0210217690 00593253
1434
9305/01-20-2017 17008564 OUTSIDE PART: BELT TENSIONER AND BELT
01/27/17
00594475
826685
108944
17006487 LUNCH PRODUCE ITEMS FOR THE MONTH OF D
101-35-6341-00-958-7-99-000 FOOD 00594475
826685
103
0190005625 00592862
00592861
135.30 994,054.43
00592859
01/05/17
991
32378037
W/T ISSUE #1/PR
32378037
W/T ISSUE #1/PR
32378037
W/T ISSUE #1/PR
01/06/17
991
33115446
Total Check per Fund: INTERNAL REVENUE SERVICE W/T BW/PR
33115446
W/T BW/PR
01/06/17
991
05600912
Total Check per Fund: INTERNAL REVENUE SERVICE W/T BW-NON AUX/PR
05600912
W/T BW-NON AUX/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005628 00592860
ACH
INTERNAL REVENUE SERVICE
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592859
ACH
PAYROLL CLEARING
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005627
81.18
Total Fund:
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592861
542.78
Total Check per Fund:
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005626
ACH
54.12
103-00-2152-00-000-7-00-000 FICA TAX PAYABLE........................ 00592862
542.78
54.12 A
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592862
ACH
62.59
81.18 A
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD
Fund:
62.59
542.78 A
Total Check per Fund: NICHO PRODUCE CO. INC.
ACH
31,072.05
62.59 A
Total Check per Fund: PETE'S MUFFLER SHOP
101-35-6249-00-958-7-99-000 CONTRACTED MAINT & REPAIR 0210217769
Status Description
NICHO PRODUCE CO. INC.
17006487 BREAKFAST
101-35-6341-01-958-7-99-000 FOOD 0210217687
Status
FOOD SERVICE FUND 01/26/17
0210217685
01/11/17 72088269
991
134
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: INTERNAL REVENUE SERVICE W/T ISSUE #2/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX......................
3,562.90 3,562.90 M
Manual
712.16 712.16 M
Manual
3,331.20 3,331.20 M
Manual
7,606.26 47,223.75 47,223.75 M
Manual
23,279.64 23,279.64 M
Manual
70,503.39 148,822.45 148,822.45 M
Manual
48,194.22 48,194.22 M
Manual
197,016.67 400.00 400.00 M
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
0190005628 00592860
Vendor Name
PO No
Description
Acct Amt
01/11/17
991
0190005629
01/06/17
00592863
2017005000303
W/T ISSUE #2/PR
7864
Total Check per Fund: LA JOYA AREA FEDERAL CREDIT UNION W/T BW/PR
103-00-2154-00-000-7-00-000 CREDIT UNION............................ 0190005630
01/06/17
00592864
2017005000005
7864
Total Check per Fund: LA JOYA AREA FEDERAL CREDIT UNION W/T NABW/PR
103-00-2154-00-000-7-00-000 CREDIT UNION............................
00592857
01/06/17
59579
23230943
Total Check per Fund: EXPERT PAY FOR EMPLOYERS W/T NA/BW
103-00-2159-19-000-7-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.ATTOR 00592857
23230943
W/T NA/BW
103-00-2159-29-000-7-00-000 MINNESOTA CHILD SUPPORT CENTER.......... 0190005632 00592858
01/06/17
59579
23336028
Total Check per Fund: EXPERT PAY FOR EMPLOYERS W/T PAYDAY BI-WKLY
103-00-2159-19-000-7-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.ATTOR 00592858
23336028
W/T PAYDAY BI-WKLY
103-00-2159-29-000-7-00-000 MINNESOTA CHILD SUPPORT CENTER.......... 0190005634 00592877
01/20/17
59579
23436968
Total Check per Fund: EXPERT PAY FOR EMPLOYERS W/T PAYDAY NA/BW
103-00-2159-19-000-7-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.ATTOR 00592877
23436968
W/T PAYDAY NA/BW
103-00-2159-29-000-7-00-000 MINNESOTA CHILD SUPPORT CENTER.......... 0190005635 00592879
01/20/17
59579
23436765
Total Check per Fund: EXPERT PAY FOR EMPLOYERS W/T PAYDAY BI-WKLY
103-00-2159-19-000-7-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.ATTOR 00592879
23436765
W/T PAYDAY BI-WKLY
103-00-2159-29-000-7-00-000 MINNESOTA CHILD SUPPORT CENTER.......... 0190005636
01/20/17
00592883
2017005000299
52876
Total Check per Fund: THE OMNI GROUP W/T BI-WKLY ANNUITIES OMNI/PR
103-00-2153-66-000-7-00-000 CAPITAL BANK AND TRUST 00592881
2017005000299
W/T BI-WKLY ANNUITIES OMNI/PR
103-00-2153-24-000-7-00-000 OPPENHEIMER 0190005637
Status
Status Description
INTERNAL REVENUE SERVICE
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE....................
0190005631
Amount Paid
PAYROLL CLEARING
72088269
01/20/17
52876
135
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: THE OMNI GROUP
116.00 116.00 M
Manual
516.00 77,146.93 77,146.93 M
Manual
77,146.93 69,334.78 69,334.78 M
Manual
69,334.78 7,794.83 7,794.83 M
Manual
25.50 25.50 M
Manual
7,820.33 6,742.89 6,742.89 M
Manual
27.75 27.75 M
Manual
6,770.64 7,728.07 7,728.07 M
Manual
24.75 24.75 M
Manual
7,752.82 6,924.27 6,924.27 M
Manual
28.50 28.50 M
Manual
6,952.77 75.00 75.00 M
Manual
100.00 100.00 M 175.00
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
01/20/17
00592880
2017019000314
Acct Amt
52876
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-66-000-7-00-000 CAPITAL BANK AND TRUST 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-59-000-7-00-000 EQUI-VEST 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-16-000-7-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERVICES 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-75-000-7-00-000 GENERAL AMERICAN LIFE................... 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-55-000-7-00-000 GREAT AMERICAN FINANCIAL 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-80-000-7-00-000 HORACE MANN AND SMITH BARNEY 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-01-000-7-00-000 JEFFERSON NATIONAL LIFE INSURANCE 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-84-000-7-00-000 LIFE SOUTHWEST.......................... 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-56-000-7-00-000 MIDLAND NATIONAL LIFE 00592882
2017019000314
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
103-00-2153-18-000-7-00-000 NEW YORK LIFE 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-29-000-7-00-000 ING (RELIASTAR LIC) 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-64-000-7-00-000 SECURITY BENEFIT LIFE 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-57-000-7-00-000 T. ROWE PRICE 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-85-000-7-00-000 TRANSAMERICA............................ 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-83-000-7-00-000 UMB BANK................................ 00592882
W/T BI-WKLY/NON-AUX ANNUITIES/OMNI
2017019000314
103-00-2153-06-000-7-00-000 WADDELL AND REED 0190005638
01/18/17
00592887
2017019000323
7864
Total Check per Fund: LA JOYA AREA FEDERAL CREDIT UNION W/T NABW/PR
103-00-2154-00-000-7-00-000 CREDIT UNION............................ 0190005639
Status Description
01/17/17
7864
50.00 50.00 M
Total Check per Fund: LA JOYA AREA FEDERAL CREDIT UNION
Manual
200.00 200.00 M
Manual
50.00 50.00 M
Manual
175.00 175.00 M
Manual
50.00 50.00 M
Manual
750.00 750.00 M
Manual
50.00 50.00 M
103-00-2153-86-000-7-00-000 GWN 00592882
Status
THE OMNI GROUP
103-00-2153-12-000-7-00-000 AVIVA (CGU)........... 00592884
Amount Paid
PAYROLL CLEARING
0190005637
136
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Manual
975.00 975.00 M
Manual
250.00 250.00 M
Manual
350.00 350.00 M
Manual
150.00 150.00 M
Manual
50.00 50.00 M
Manual
300.00 300.00 M
Manual
40.00 40.00 M
Manual
450.00 450.00 M
Manual
230.00 230.00 M
Manual
350.00 350.00 M
Manual
50.00 50.00 M
Manual
4,520.00 70,741.78 70,741.78 M 70,741.78
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
01/17/17
00592888
2017019000317
Acct Amt
7864
00592885
W/T BW/PR
01/17/17
991
45879178
Total Check per Fund: INTERNAL REVENUE SERVICE W/T BW/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592885
45879178
W/T BW/PR
103-00-2152-00-000-7-00-000 FICA TAX PAYABLE........................ 00592885
45879178
W/T BW/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005641 00592886
01/18/17
991
64531086
Total Check per Fund: INTERNAL REVENUE SERVICE W/T BW-NON AUX/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592886
64531086
W/T BW-NON AUX/PR
103-00-2152-00-000-7-00-000 FICA TAX PAYABLE........................ 00592886
64531086
W/T BW-NON AUX/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005642
01/23/17
00592892
2017024000206
7864
Total Check per Fund: LA JOYA AREA FEDERAL CREDIT UNION W/T MO/PR
103-00-2154-00-000-7-00-000 CREDIT UNION............................ 0190005643 00592889
01/24/17
991
75145792
Total Check per Fund: INTERNAL REVENUE SERVICE W/T SUB & VOID S.OCHOA/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592889
75145792
W/T SUB & VOID S.OCHOA/PR
103-00-2152-00-000-7-00-000 FICA TAX PAYABLE........................ 00592889
75145792
W/T SUB & VOID S.OCHOA/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005644 00592890
01/19/17
991
957629285
Total Check per Fund: INTERNAL REVENUE SERVICE W/T ISSUE #5/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592890
957629285
W/T ISSUE #5/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005645 00592891
01/23/17 22043417
991
Total Check per Fund: INTERNAL REVENUE SERVICE W/T MO/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00592891
Status
Status Description
LA JOYA AREA FEDERAL CREDIT UNION
103-00-2154-00-000-7-00-000 CREDIT UNION............................ 0190005640
Amount Paid
PAYROLL CLEARING
0190005639
22043417
137
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
W/T MO/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE....................
84,692.03 84,692.03 M
Manual
84,692.03 53,422.75 53,422.75 M
Manual
495.02 495.02 M
Manual
26,061.74 26,061.74 M
Manual
79,979.51 154,745.66 154,745.66 M
Manual
144.00 144.00 M
Manual
49,219.70 49,219.70 M
Manual
204,109.36 421,268.16 421,268.16 M
Manual
421,268.16 272.62 272.62 M
Manual
516.58 516.58 M
Manual
248.36 248.36 M
Manual
1,037.56 380.83 380.83 M
Manual
116.00 116.00 M
Manual
496.83 1,073,315.54 1,073,315.54 M
Manual
303,108.10 303,108.10 M
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
991
INTERNAL REVENUE SERVICE
0190005648
01/31/17
991
Total Check per Fund: INTERNAL REVENUE SERVICE
40372000
W/T ISSUE# 8/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 40372000
W/T ISSUE# 8/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005654 00595278
01/25/17
59579
Total Check per Fund: EXPERT PAY FOR EMPLOYERS
23462275
W/T PAYDAY MONTHLY
103-00-2159-19-000-7-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.ATTOR 00595278
23462275
W/T PAYDAY MONTHLY
103-00-2159-52-000-7-00-000 SAN BENITO DEPT OF CHILD SUPPORT SERVICE 00595278
23462275
W/T PAYDAY MONTHLY
103-00-2159-29-000-7-00-000 MINNESOTA CHILD SUPPORT CENTER.......... 0190005685 00600478
01/01/17
991
Total Check per Fund: INTERNAL REVENUE SERVICE
31195468
W/T BW/PR
103-00-2151-00-000-7-00-000 FEDERAL INCOME TAX...................... 00600476
31195468
W/T BW/PR
103-00-2152-00-000-7-00-000 FICA TAX PAYABLE........................ 00600476
31195468
W/T BW/PR
103-00-2152-01-000-7-00-000 MEDICARE TAX PAYABLE.................... 0190005694
01/06/17
00600486
2017005000304
52876
W/T BW/NON-AUX ANNUITIES OMNI/PR
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-16-000-7-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERVICES 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-75-000-7-00-000 GENERAL AMERICAN LIFE................... 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-55-000-7-00-000 GREAT AMERICAN FINANCIAL 00600488
2017005000304
2017005000304
2017005000304
41,182.51 41,182.51 M
48.00 M
Manual
41,580.51 76,273.99 76,273.99 M
Manual
1,297.54 1,297.54 M
Manual
31,863.32 31,863.32 M
50.00 M
Manual
Manual
200.00 200.00 M
Manual
50.00 50.00 M
Manual
175.00 175.00 M
Manual
50.00 50.00 M
Manual
750.00 750.00 M
1,475.00
50.00 M
103-00-2153-01-000-7-00-000 JEFFERSON NATIONAL LIFE INSURANCE
Manual
48.00
W/T BW/NON-AUX ANNUITIES OMNI/PR
W/T BW/NON-AUX ANNUITIES OMNI/PR
Manual
350.00 350.00 M
50.00
103-00-2153-80-000-7-00-000 HORACE MANN AND SMITH BARNEY 00600488
Manual
8,254.99
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-86-000-7-00-000 GWN 00600488
1,020.58 M
50.00
2017005000304
Manual
1,020.58
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-59-000-7-00-000 EQUI-VEST 00600488
7,234.41 7,234.41 M
109,434.85
103-00-2153-66-000-7-00-000 CAPITAL BANK AND TRUST 00600488
Status Description
1,376,423.64
Total Check per Fund: THE OMNI GROUP
103-00-2153-12-000-7-00-000 AVIVA (CGU)........... 00600490
Status
PAYROLL CLEARING 01/23/17
00595279
Amount Paid Acct Amt
0190005645
00595279
138
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
1,475.00 M
Manual
Manual
Manual
250.00 250.00 M
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
01/06/17
00600488
2017005000304
Acct Amt
52876
W/T BW/NON-AUX ANNUITIES OMNI/PR
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-56-000-7-00-000 MIDLAND NATIONAL LIFE 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-18-000-7-00-000 NEW YORK LIFE 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-29-000-7-00-000 ING (RELIASTAR LIC) 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-64-000-7-00-000 SECURITY BENEFIT LIFE 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-57-000-7-00-000 T. ROWE PRICE 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-85-000-7-00-000 TRANSAMERICA............................ 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-83-000-7-00-000 UMB BANK................................ 00600488
2017005000304
W/T BW/NON-AUX ANNUITIES OMNI/PR
103-00-2153-06-000-7-00-000 WADDELL AND REED 0190005695
01/25/17
00600489
2017024000977
52876
Total Check per Fund: THE OMNI GROUP W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-27-000-7-00-000 AMERICAN FUNDS DISTRIBUTORS 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-78-000-7-00-000 AMERICO FINANCIAL....................... 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-12-000-7-00-000 AVIVA (CGU)........... 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-66-000-7-00-000 CAPITAL BANK AND TRUST 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-59-000-7-00-000 EQUI-VEST 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-16-000-7-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERVICES 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-58-000-7-00-000 FRANKLIN TEMPLTEON BANK & TRUST (PAYROLL 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-75-000-7-00-000 GENERAL AMERICAN LIFE................... 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-55-000-7-00-000 GREAT AMERICAN FINANCIAL 00600489
2017024000977
Status Description
2017024000977
150.00 150.00 M
Manual
150.00 150.00 M
Manual
50.00 50.00 M
Manual
300.00 300.00 M
Manual
40.00 40.00 M
Manual
450.00 450.00 M
Manual
230.00 230.00 M
Manual
350.00 350.00 M
Manual
50.00 50.00 M
Manual
4,820.00 5,770.00 5,770.00 M
Manual
500.00 500.00 M
Manual
500.00 500.00 M
Manual
9,825.00 9,825.00 M
Manual
3,125.00 3,125.00 M
Manual
2,100.00 2,100.00 M
Manual
950.00 950.00 M
Manual
600.00 600.00 M
Manual
3,350.00 3,350.00 M
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
200.00
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
15,110.00
200.00 M
103-00-2153-86-000-7-00-000 GWN 00600489
Status
THE OMNI GROUP
103-00-2153-84-000-7-00-000 LIFE SOUTHWEST.......................... 00600488
Amount Paid
PAYROLL CLEARING
0190005694
139
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Manual
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
01/25/17
00600489
2017024000977
Acct Amt
52876
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2159-64-000-7-00-000 INDUSTRIAL ALLIANCE PACIFIC 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-01-000-7-00-000 JEFFERSON NATIONAL LIFE INSURANCE 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-22-000-7-00-000 KNIGHTS OF COLUMBUS 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-84-000-7-00-000 LIFE SOUTHWEST.......................... 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-74-000-7-00-000 MET LIFE................................ 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-56-000-7-00-000 MIDLAND NATIONAL LIFE 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-18-000-7-00-000 NEW YORK LIFE 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2159-69-000-7-00-000 NORTH AMERICAN COMPANY 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-24-000-7-00-000 OPPENHEIMER 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-10-000-7-00-000 PFS INVESTMENTS 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-29-000-7-00-000 ING (RELIASTAR LIC) 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-64-000-7-00-000 SECURITY BENEFIT LIFE 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-57-000-7-00-000 T. ROWE PRICE 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-25-000-7-00-000 THE LEGEND GROUP/ADSERV 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-85-000-7-00-000 TRANSAMERICA............................ 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-83-000-7-00-000 UMB BANK................................ 00600489
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-73-000-7-00-000 USAA LIFE............................... 00600487
Status
Status Description
THE OMNI GROUP
103-00-2153-80-000-7-00-000 HORACE MANN AND SMITH BARNEY 00600489
Amount Paid
PAYROLL CLEARING
0190005695
2017024000977
W/T MONTHLY NON-AUX ANNUITIES OMNI/PR
103-00-2153-06-000-7-00-000 WADDELL AND REED 0190005696
01/20/17
00600491
2017019000319
52876
140
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: THE OMNI GROUP W/T BI-WKLY ANNUITIES/OMNI/PR
15,110.00 15,110.00 M
Manual
50.00 50.00 M
Manual
11,181.83 11,181.83 M
Manual
1,700.00 1,700.00 M
Manual
12,330.00 12,330.00 M
Manual
1,125.00 1,125.00 M
Manual
425.00 425.00 M
Manual
1,501.00 1,501.00 M
Manual
2,350.00 2,350.00 M
Manual
3,595.00 3,595.00 M
Manual
902.50 902.50 M
Manual
7,626.00 7,626.00 M
Manual
890.00 890.00 M
Manual
3,622.00 3,622.00 M
Manual
65.00 65.00 M
Manual
1,225.00 1,225.00 M
Manual
1,666.00 1,666.00 M
Manual
1,400.00 1,400.00 M
Manual
1,150.00 1,150.00 M 94,834.33 75.00
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
01/20/17
00600491
2017019000319
Acct Amt
52876
Status
Status Description
THE OMNI GROUP W/T BI-WKLY ANNUITIES/OMNI/PR
103-00-2153-66-000-7-00-000 CAPITAL BANK AND TRUST 00600491
Amount Paid
PAYROLL CLEARING
0190005696
2017019000319
W/T BI-WKLY ANNUITIES/OMNI/PR
Total Check per Fund: 01/11/17
00589743
01-09-2017_4
20984
01/11/17
LIABILITY PYMTS NON-AUX 01/06/2017
00589739
01-09-2017_3
7810
Total Check per Fund: CINDY BOUDLOCHE LIABILITIES BI-WKLY 01/06/2017
103-00-2159-12-000-7-00-000 GARNISHMENT............................. 0210216558
01/11/17
00589744
01-09-2017_1
7810
Total Check per Fund: CINDY BOUDLOCHE LIABILITY PYMTS NON-AUX 01/06/2017
103-00-2159-12-000-7-00-000 GARNISHMENT............................. 0210216559
01/11/17
00589740
01-09-2017_2
21906
Total Check per Fund: INTERNAL REVENUE SERVICE LIABILITIES BI-WKLY 01/06/2017
103-00-2159-09-000-7-00-000 TAX LIEN................................ 0210216560
01/11/17
00589741
01-09-2017_1
19419
00589745
01-09-2017_2
8898
01/11/17
00589742
01-09-2017_4
01/11/17
00589746
01-09-2017_3
Total Check per Fund: U.S. DEPARTMENT OF EDUCATION LIABILITY PYMTS NON-AUX 01/06/2017
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION....................... Total Check per Fund: 0210216996
01/19/17
00592852
01-18-2017_4
20984
01/19/17
LIABILITY PYMT NON-AUX 01/20/2017
00592853
01-18-2017_1
7810
Computer
1,145.42 1,950.01 1,950.01 C
Computer
1,950.01 505.04 505.04 C
75.00 C
Computer
Computer
75.00 3,853.91 Computer
3,853.91 186.06 186.06 C
Computer
186.06 579.38 579.38 C
Computer
579.38
AES/PHEAA
103-00-2159-30-000-7-00-000 AES/PHEAA............................... 0210217010
1,145.42 C
3,853.91 C
Total Check per Fund: U.S. DEPARTMENT OF EDUCATION LIABILITIES BI-WKLY 01/06/2017
10749
1,145.42
TGSLC
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION....................... 0210216563
Computer
219.11
75.00
LIABILITY PYMTS NON-AUX 01/06/2017
10749
219.11 C
LIABILITIES BI-WKLY 01/06/2017
103-00-2159-06-000-7-00-000 TGSLC 0210216562
Manual
219.11
505.04
Total Check per Fund: 01/11/17
Manual
175.00
Total Check per Fund: INTERNAL REVENUE SERVICE
103-00-2159-09-000-7-00-000 TAX LIEN................................ 0210216561
75.00 M 100.00
AES/PHEAA
103-00-2159-30-000-7-00-000 AES/PHEAA............................... 0210216557
75.00
100.00 M
103-00-2153-24-000-7-00-000 OPPENHEIMER 0210216556
141
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CINDY BOUDLOCHE LIABILITY PYMT NON-AUX 01/20/2017
219.11 219.11 C 219.11 1,950.01
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
Amount Paid Acct Amt
Status
Status Description
PAYROLL CLEARING
0210217010
01/19/17
00592853
01-18-2017_1
7810
CINDY BOUDLOCHE LIABILITY PYMT NON-AUX 01/20/2017
103-00-2159-12-000-7-00-000 GARNISHMENT............................. 0210217011
01/19/17
00592848
01-18-2017_3
7810
Total Check per Fund: CINDY BOUDLOCHE LIABILITY PYMTS BI-WKLY 01/20/2017
103-00-2159-12-000-7-00-000 GARNISHMENT............................. 0210217067
01/19/17
00592849
01-18-2017_2
21906
Total Check per Fund: INTERNAL REVENUE SERVICE LIABILITY PYMTS BI-WKLY 01/20/2017
103-00-2159-09-000-7-00-000 TAX LIEN................................ 0210217068
01/19/17
00592850
01-18-2017_1
19419
Total Check per Fund: INTERNAL REVENUE SERVICE LIABILITY PYMTS BI-WKLY 01/20/2017
103-00-2159-09-000-7-00-000 TAX LIEN................................ Total Check per Fund: 0210217147
01/19/17
00592854
01-18-2017_2
8898
01/19/17
LIABILITY PYMT NON-AUX 01/20/2017
00592851
01-18-2017_4
10749
01/19/17
Total Check per Fund: U.S. DEPARTMENT OF EDUCATION LIABILITY PYMTS BI-WKLY 01/20/2017
00592855
01-18-2017_3
10749
Total Check per Fund: U.S. DEPARTMENT OF EDUCATION LIABILITY PYMT NON-AUX 01/20/2017
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION....................... Total Check per Fund: 0210217358
01/26/17
00594265
01-24-2017_9
20984
01/26/17
LIABILITY PYMTS MO 01/2017
00594269
01-24-2017_8
20984
Total Check per Fund: GC SERVICES LP/PHEAA LIABILITY PYMTS MO 01/2017
103-00-2159-30-000-7-00-000 AES/PHEAA............................... 0210217372
01/26/17
00594266
01-24-2017_2
7810
Total Check per Fund: CINDY BOUDLOCHE LIABILITY PYMTS MO 01/2017
103-00-2159-12-000-7-00-000 GARNISHMENT............................. 0210217405
01/26/17
00594267
01-24-2017_5
139076
Computer
1,950.01 1,145.42 1,145.42 C
Computer
1,145.42 505.04 505.04 C
Computer
505.04 75.00 75.00 C
Computer
75.00 4,119.42 Computer
4,119.42 198.94 198.94 C
Computer
198.94 591.09 591.09 C
Computer
591.09
AES/PHEAA
103-00-2159-30-000-7-00-000 AES/PHEAA............................... 0210217359
1,950.01 C
4,119.42 C
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION....................... 0210217155
1,950.01
TGSLC
103-00-2159-06-000-7-00-000 TGSLC 0210217154
142
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DEBT MANAGEMENT SERVICES LIABILITY PYMTS MO 01/2017
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION.......................
736.28 736.28 C
Computer
736.28 1,137.87 1,137.87 C
Computer
1,137.87 11,320.95 11,320.95 C
Computer
11,320.95 282.07 282.07 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Description
Acct Amt
0210217405
01/26/17
139076
DEBT MANAGEMENT SERVICES
0210217406
01/26/17
129895
Total Check per Fund: DELTA MANAGEMENT ASSOCIATES, INC.
00594268
01-24-2017_4
LIABILITY PYMTS MO 01/2017
01/26/17
00594270
01-24-2017_1
19419
Total Check per Fund: INTERNAL REVENUE SERVICE LIABILITY PYMTS MO 01/2017
103-00-2159-09-000-7-00-000 TAX LIEN................................ Total Check per Fund: 0210217582
01/26/17
00594271
01-24-2017_3
8898
0210217596
01/26/17
00594272
01-24-2017_6
LIABILITY PYMTS MO 01/2017
10749
0210217599
01/26/17
Total Check per Fund: U.S. DEPARTMENT OF EDUCATION LIABILITY PYMTS MO 01/2017
00594273
01-24-2017_7
138967
Total Check per Fund: US DEPARTMENT OF THE TREASURY LIABILITY PYMTS MO 01/2017
103-00-2159-21-000-7-00-000 DEPARTMENT OF TREASURY 01/26/17
101826
Total Check per Fund: ALLSTATE BENEFITS
DEC. 2016
CRITICAL ILLNESS PREMIUMS
HEART & STROKE PREMIUMS
103-00-2153-93-000-7-00-000 ALLSTATE HEART & STROKE 00593545
DEC. 2016
WHOLE LIFE PREMIUMS
103-00-2153-45-000-7-00-000 Permanent Life 00593545
DEC. 2016
CANCER PREMIUMS
103-00-2153-92-000-7-00-000 ALLSTATE CANCER 0210217634 00593925
01/26/17
11019
DEC. 2016
00593926
01/26/17
139068
DEC. 2016
00593546
01/26/17 JAN. 2017
100.00 C
Computer
100.00 8,092.86
1,521.14 1,521.14 C
569.42 569.42 C
Computer
569.42 27,400.25 ACH
7,183.41 7,183.41 A
ACH
52,407.15 52,407.15 A
ACH
48,886.61 48,886.61 A
21,615.35 A
ACH
ACH
21,615.35 16,717.37 16,717.37 A
Total Check per Fund: RELIASTAR LIFE INSURANCE COMPANY
16,717.37
BASIC LIFE INSURANCE PREMIUMS
3,472.26
103-00-2153-49-000-7-00-000 UNUM LIFE
Computer
1,521.14
21,615.35
Total Check per Fund: COMBINED INSURANCE COMPANY OF AMERICA
Computer
8,092.86
DEC.2016 SHOP INSURANCE PREMIUMS
DEC. 2016 PREMIUMS FOR VISION
120227
100.00
135,877.42
103-00-2153-87-000-7-00-000 EYE MED 0210217701
Computer
645.15
Total Check per Fund: COLONIAL LIFE & ACCIDENT INSURANCE
103-00-2153-95-000-7-00-000 S.H.O.P. 0210217641
645.15
27,400.25 A
103-00-2153-89-000-7-00-000 UNUM DEC. 2016
282.07
8,092.86 C
103-00-2159-07-000-7-00-000 DEPT OF EDUCATION.......................
00593545
Status Description
TGSLC
103-00-2159-06-000-7-00-000 TGSLC
00593545
Status
645.15 C
103-00-2159-13-000-7-00-000
0210217619
Amount Paid
PAYROLL CLEARING
0210217496
143
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
3,472.26 A
ACH
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
103
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/26/17
120227
RELIASTAR LIFE INSURANCE COMPANY
0210217710
01/26/17
23067
Total Check per Fund: STANDARD INSURANCE COMPANY
00593791
DECEMBER 2016
DECEMBER 2016 DISABILITY PREMIUMS
103-00-2153-51-000-7-00-000 UNUM DISABILITY (EFF. 12-01-2009) 01/26/17
66613
Total Check per Fund: UNUM LIFE INSURANCE COMPANY OF AMERICA
DEC. 2016
00593547
TERM LIFE INSURANCE PREMIUMS
103-00-2153-89-000-7-00-000 UNUM
Fund:
104
2123
64,809.64 3,357,722.91
01/26/17
139157
PO #16013036 - RE-ISSUED CHECK
40.90 C
Total Check per Fund:
320.88
Total Fund:
1,597.72
44229
573702
573702
152
0210215865 00586778
894.75 C Total Check per Fund:
2,678.75
Total Fund:
2,678.75
IN865739
18896
DAHILL INDUSTRIES
17002051 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN906548
17002051 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN945227
17002051 RENTAL OF XEROX 5955APT DIGITAL COPIER
152-21-6269-00-895-7-22-010 RENTALS 00587010
Computer
STATE CATE 01/10/17
152-21-6269-00-895-7-22-010 RENTALS 00586780
Computer
894.75
17007965
152-21-6269-00-895-7-22-010 RENTALS 00586779
Computer
892.00 892.00 C
142-11-6321-28-007-7-31-010 TEXTBOOKS
Fund:
892.00 892.00 C
17007965
142-11-6321-28-004-7-31-010 TEXTBOOKS 00591806
Computer
BARNES & NOBLE COLLEGE BOOKSELLERS, INC.
17007965 EXPLORING PSYCHOLOGY ISBN#978-1319084
142-11-6321-28-001-7-31-010 TEXTBOOKS 00591806
Computer
40.90
HIGH SCHOOL ALLOTMENT 01/19/17
573702
00591806
279.98 279.98 C
PO #16013036 - RE-ISSUED CHECK
104-00-1290-00-000-7-00-000 DUE FROM BBVA COMPASS BANK
142
Computer
1,276.84
SFM LLC
5943
0210217259
ACH
1,276.84 1,276.84 C
104-00-1290-00-000-7-00-000 DUE FROM BBVA COMPASS BANK
Fund:
64,809.64
Total Fund:
RE-ISSUE CK-PO#16015688 NEVER CLRD BN
5940
00593775
ACH
119,543.03
Total Check per Fund:
Total Check per Fund: 00593774
119,543.03 119,543.03 A
64,809.64 A
104-00-1290-00-000-7-00-000 DUE FROM BBVA COMPASS BANK 0210217554
3,472.26
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
009614
00590291
Status Description
ACCOUNTS PAYABLE CLEARING 01/12/17
0210216799
Status
PAYROLL CLEARING
0210217701
0210217717
IN983074
144
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002051 RENTAL OF XEROX 5955APT DIGITAL COPIER
152-21-6269-00-895-7-22-010 RENTALS
-233.95 -233.95 CV Computer Void -233.95 -233.95 CV Computer Void -233.95 -233.95 CV Computer Void -233.95 -233.95 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
Vendor Name Description
18896
DAHILL INDUSTRIES
0210216574
01/12/17
133795
Total Check per Fund: AIRGAS USA, LLC - CENTRAL DIVISION
9938914310
LATE CHARGE ASSESSMENT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 1601959913
LATE CHARGE ASSESSMENT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590944
9940317733
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590945
9940317734
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590946
9940317732
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590947
9939609037
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590948
9939609036
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590937
9939611018
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590938
9941054175
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590939
9941054174
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590940
9941054176
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590941
1403446449
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590941
1403446449
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590941
1403446449
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590941
1403446449
CYLINDER RENTAL INVOICE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216581 00590046
01/12/17 61191
99015
Total Check per Fund: B.E. PUBLISHING
17002234 NO- PEEK KEYBOARD COVER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590047
61189
17002236 NO - PEEK KEYBOARD COVERS
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590048
61190
17002237 NO - PEEK KEYBOARD COVERS
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590049
Status
Status Description
STATE CATE 01/10/17
00590943
Amount Paid Acct Amt
0210215865
00590942
61193
145
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002238 NO - PEEK KEYBOARD COVERS
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
-935.80 7.27 7.27 C
Computer
4.23 4.23 C
Computer
52.13 52.13 C
Computer
117.87 117.87 C
Computer
135.64 135.64 C
Computer
129.47 129.47 C
Computer
114.47 114.47 C
Computer
50.63 50.63 C
Computer
50.63 50.63 C
Computer
129.47 129.47 C
Computer
114.47 114.47 C
Computer
-129.49 -129.49 C
Computer
-53.96 -53.96 C
Computer
-32.96 -32.96 C
Computer
-107.19 -107.19 C
Computer
582.68 108.23 108.23 C
Computer
649.37 649.37 C
Computer
108.23 108.23 C
Computer
324.69 324.69 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
152
0210216581 00590050
Vendor Name
PO No
Description
Acct Amt
01/12/17
99015
00590051
00590052
01/12/17
123005
2986
STU MEALS-FCCLA CONF IN CORPUS CHRIST
01/12/17
123005
2987
Total Check per Fund: BALDERAS CYNTHIA L TEACHER-FCCLA CONF IN CORPUS CHRISTI
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216596 00590094
01/12/17 789710-00
330
Total Check per Fund: BURMAX COMPANY, INC.
17005721 FAST FEED CLIPPER OSTER
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00590094
789710-00
17005721 FEATHER RAZOR
790404-00
17006011 FAST FEED CLIPPER OSTER
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00590096
790404-00
17006011 FEATHER RAZOR
793109-00
17007026 MOBILE PEDI CART
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 0210216597 00590170
01/12/17 05 876347
333
Total Check per Fund: COMMERCIAL BILLING SERVICE
17006328 CREEPER SEATS
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST Total Check per Fund: 0210216600 00590100
01/12/17
21126
200114
00590103
01/12/17
RGV LEAD 2016 REGIONAL CONF IN SPI
49719582 RI
380
Total Check per Fund: CAROLINA BIOLOGICAL SUPPLY COMPANY
17007444 PERSIMMON ENDORSPERM L.S. MICROSCOPE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216610 00590116
01/12/17 GFD9683
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17006867 DELL DVD +RW DRIVE-USB2.0-429 AAUX
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 0210216622 00590190
01/12/17 100004450
360.00 C
36.00 36.00 C
Computer
36.00 173.04 173.04 C
Computer
49.44 Computer
173.04 173.04 C
Computer
123.60 Computer
1,161.33 1,161.33 C
Computer
1,680.45 3,711.58 3,711.58 C
Computer
3,711.58 27.74 27.74 C
2,497.68 2,497.68 C
Computer
2,497.68 51.27 51.27 C 51.27
17002556 REGISTRATION FEE FOR MOISES GAMBOA V#
250.00
152-13-6411-01-895-7-22-010 TRAVEL
Computer
27.74
Total Check per Fund: CRAFT TRAINING CENTER OF THE COASTAL BEN
135062
Computer
360.00
CANTU LORA L.
152-31-6411-01-895-7-22-010 TRAVEL - EMPLOYEES 0210216602
360.00
123.60 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590095
Computer
1,731.66
49.44 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00590096
Status Description
541.14 541.14 C
Total Check per Fund: BALDERAS CYNTHIA L
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216583
Status
B.E. PUBLISHING
17002239 NO - PEEK KEYBOARD COVERS/ ATTN: NUBIA
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216582
Amount Paid
STATE CATE
61194
146
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
250.00 C
Computer
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
152
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/12/17
135062
CRAFT TRAINING CENTER OF THE COASTAL BEN
0210216625
01/12/17
18896
Total Check per Fund: DAHILL INDUSTRIES
IN1018986
17002051 RENTAL OF XEROX 5955APT DIGITAL COPIER
00590207
01/12/17 NOV. 2016
116564
Total Check per Fund: DE LA GARZA AGUSTIN
17001255 MILEAGE FOR CTE MARKETING
FROM SEPT'
152-11-6411-02-004-7-22-010 TRAVEL - EMPLOYEES 0210216629 00590225
01/12/17 01131024
63193
Total Check per Fund: DISTRICT 1 DECA
17008412 REGISTRATION FEE FOR JUAREZ-LINCOLN H
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216630 00590226
01/12/17 01212015
63193
Total Check per Fund: DISTRICT 1 DECA
17007989 REGISTRATION FEE FOR STUDENTS FROM PA
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216663 00590615
01/12/17
11851
5198
00590641
9307951047
2122
00590650
01/12/17
120537
Total Check per Fund: HERNANDEZ JANETT ATTEND DECA DIST. 1 CONFERENCE
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216675 00590653
01/12/17
15927
4957
00591235
01/12/17
22758
00591146
883074340001
87629
Total Check per Fund: ROCIO
MONTEMAYOR
883076990001
Computer
72.00 C
Computer
252.00 252.00 C
Computer
324.00 2,142.45 2,142.45 C
Computer
2,142.45 13.00 13.00 C
13.00 C
Computer
Computer
13.00 165.84 165.84 C
Computer
165.84
OFFICE DEPOT
17005968 WIRELESS MOUSE WITH LASER POINTER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591147
630.00 C
13.00
Total Check per Fund: 01/12/17
630.00
ATTEND DECA DIST. 1 CONFERENCE
152-31-6411-01-895-7-22-010 TRAVEL - EMPLOYEES 0210216714
Computer
720.00
13.00
MCALLEN TEXAS
200120
720.00 C
Total Check per Fund: MARIO HERNANDEZ
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216704
720.00
GRAINGER
17007602 VICTOR GAS WELDING OUTFIT
4958
Computer
51.84
72.00
152-11-6398-00-007-7-22-010 FURN & NON-TECH EQUIP-$500 TO $4,999.99 0210216674
51.84 C
PARTICIPATE AND COMPETE IN FCCLA
Total Check per Fund: 01/12/17
51.84
GARZA NILDA
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216669
Computer
233.95
630.00
PARTICIPATE AND COMPETE IN FCCLA
5197
233.95
Total Check per Fund:
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00590614
Status Description
250.00
233.95 C
152-21-6269-00-895-7-22-010 RENTALS 0210216627
Status
STATE CATE
0210216622
00590572
147
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005968 WIRELESS MOUSE WITH LASER POINTER
69.99 69.99 C 359.70
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
152
Vendor Name
PO No
Description
01/12/17
00591147
883076990001
Acct Amt
87629
00590425
01/12/17
16863
574060
SERVICES/LABOR/REPAIR CAMERA JL BARN
Total Check per Fund: 00590451
01/12/17 1780003
42595
17008574 REGISTRATION FEE FOR JUAREZ-LINCOLN H
Total Check per Fund: 0210216780
01/12/17
00590733
10001182-1116
1915
17001405 YEARLY CTE PUBLICATIONS FROM SEP 16'-
00590464
NOV. 2016
16154
Total Check per Fund: TREVINO VANESSA
17000937 MILEAGE FOR CTE ADVISOR FROM SEPT '16
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 00590465
DEC. 2016
17000937 MILEAGE FOR CTE ADVISOR FROM SEPT '16
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210216816 00590966
01/12/17 4420829902
3022
Total Check per Fund: APPLE COMPUTER, INC.
17007438 APPLE PENCIL FOR iPAD PRO
152-21-6395-01-895-7-22-010 FURN & EQUIP <$500 UNIT COST 00590967
4420977158
17007438 APPLE PENCIL FOR iPAD PRO
152-21-6395-01-895-7-22-010 FURN & EQUIP <$500 UNIT COST 00591013
4421951925
4420680094
4420973043
00590040
01/12/17 117808040
14872
Total Check per Fund: B & H PHOTO -VIDEO
00590211
01/12/17 10135362927
9529
Total Check per Fund: DELL MARKETING L.P.
17007041 MICROSOFT SURFACE PRO 4
Total Check per Fund: 01/12/17
114014
136.00
FLORES JORGE
103.51 103.51 C
Computer
103.51 25.92 25.92 C
Computer
10.80 10.80 C
Computer
36.72 273.00 273.00 A
ACH
548.00 548.00 A
1,544.00 A
1,545.00 A
13,796.00 A
ACH
ACH
ACH
ACH
17,706.00
281.85 A
152-11-6397-00-028-7-22-010 TECH EQUIP $500 - $4999 0210216846
Computer
281.85
17005878
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216836
136.00 136.00 C
13,796.00
17007543
152-21-6397-00-895-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210216818
Computer
510.00
1,545.00
17007543
152-21-6397-00-895-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00591015
510.00 C
1,544.00
17007543
152-21-6397-00-895-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00591014
510.00
THE MONITOR
152-11-6499-00-895-7-22-010 MISC OPERATING COSTS 01/12/17
Computer
429.69
TEXAS FCCLA
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS
0210216787
Status Description
359.70 359.70 C
Total Check per Fund: SUPERIOR ALARMS
152-11-6299-02-004-7-22-010 MISC CONTRACTED SERVICES 0210216776
Status
OFFICE DEPOT
17005968 WIRELESS MOUSE WITH LASER POINTER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216767
Amount Paid
STATE CATE
0210216714
148
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
281.85 4,062.58 4,062.58 A 4,062.58
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210216846 00590279
Vendor Name Description
Acct Amt
01/12/17
114014
RGV LEAD 2016 REGIONAL CONF IN SPI
Total Check per Fund: 00590651
01/13/17
15981
4955
ATTEND DECA DIST. 1 CONFERENCE
4956
ATTEND DECA DIST. 1 CONFERENCE
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00590651
4955
ATTEND DECA DIST. 1 CONFERENCE
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00590652
4956
ATTEND DECA DIST. 1 CONFERENCE
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216907 00591207
01/12/17 43610
120308
Total Check per Fund: PRECISION SAW AND TOOL, INC.
17006337 STUD BOXES
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591206
43607
17006338 BOX OF AIR TOOL OIL
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591204
42198
17001946 UPDATE AND CALIBRATE HUNTER ALIGNMENT
152-11-6249-05-895-7-22-010 CONTRACTED MAINT & REPAIR 00591201
42199
17001945 PARTS AND LABOR TO REPAIR HUNTER BL50
152-11-6249-05-895-7-22-010 CONTRACTED MAINT & REPAIR 00591202
44234
17007491 LINCOLN POWER MIG 256 WELDER
152-11-6398-00-007-7-22-010 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00591203
43592
17006163 BENDPAK PARTS WASHER
152-11-6639-00-001-7-22-010 FURNITURE/EQUIP > $50,000 00591205
43591
17006164 HUNTER ON CAR BRAKE LATHE
152-11-6639-00-004-7-22-010 FURNITURE/EQUIPMENT COST > $5000 0210216910 00591215
01/12/17 DEC. 2016
8391
Total Check per Fund: QUINTANILLA NORMA LINDA
17000911 MILEAGE FOR CTE ADVISOR FROM SEPT '16
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210216919 00591042
01/12/17 DEC. 2016
5839
Total Check per Fund: RODRIGUEZ BLANCA
17000913 MILEAGE FOR CTE ADVISOR FROM SEPT '16
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210216951 00591629
01/13/17 16118843-02
58
Total Check per Fund: ALAMO DISTRIBUTION, LLC
17006327 7018 1/8" LOW HYDROGEN H4R WELDING ROD
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210216956
Status Description
01/13/17
16764
161.08 161.08 A
ACH
161.08
JONES BEATRIZ
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00590652
Status
FLORES JORGE
152-31-6411-01-895-7-22-010 TRAVEL - EMPLOYEES 0210216864
Amount Paid
STATE CATE
200117
149
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: LYNETTE GUERRA
-13.00 -13.00 AV ACH Void -260.00 -260.00 AV ACH Void 13.00 13.00 A
ACH
260.00 260.00 A
ACH
.00 68.85 68.85 A
ACH
1,614.15 1,614.15 A
ACH
800.00 800.00 A
ACH
2,475.00 2,475.00 A
ACH
16,186.00 16,186.00 A
ACH
19,400.00 19,400.00 A
ACH
12,700.00 12,700.00 A
ACH
53,244.00 116.10 116.10 A
ACH
116.10 62.10 62.10 A
ACH
62.10 163.22 163.22 C 163.22
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210216956 00591608
Vendor Name Description
Acct Amt
01/13/17
16764
RGV LEAD 2016 REGIONAL CONFERENCE
Total Check per Fund: 00591607
01/13/17
15981
4955
ATTEND DECA DISTRICT 1 CONF.
4956
ATTEND DECA DISTRICT 1 CONF.
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS Total Check per Fund: 0210216963
01/13/17
00591611
10001182-1216
1915
17001405 YEARLY CTE PUBLICATIONS FROM SEP 16'-
Total Check per Fund: 00591656
01/18/17
133280
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS Total Check per Fund: 0210216977 00591657
01/18/17
133280
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216978 00591658
01/18/17
21026
Total Check per Fund: GONZALEZ JOANNA LYNN RGV DIST. SHOW
4312
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00591659
RGV DIST. SHOW
4313
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216979 00591660
02/21/17
21026
Total Check per Fund: GONZALEZ JOANNA LYNN CITRUS SHOW - TEACHERS
4302
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00591661
CITRUS SHOW - STUDENTS
4303
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00591660
CITRUS SHOW - TEACHERS
4302
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00591661
CITRUS SHOW - STUDENTS
4303
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210216984 00591668
01/18/17 484
137936
Total Check per Fund: TEXAS ASSOCIATION OF FUTURE EDUCATORS
17008907 REGISTRATION FEE FOR JL STUDENTS TRAV
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217060
01/19/17
51187
Computer
200.64 13.00 13.00 C
Computer
260.00 260.00 C
Computer
273.00 621.04 621.04 C
Computer
621.04 36.00 36.00 C
Computer
36.00
CANALES RUBEN STUDENT MEALS-RGV DIST FFA LIVESTOCK
4844
200.64 C
CANALES RUBEN TEACHER MEALS-RGV DIST FFA LIVESTOCK
4830
200.64
THE MONITOR
152-11-6499-00-895-7-22-010 MISC OPERATING COSTS 0210216976
Status Description
JONES BEATRIZ
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 00591606
Status
LYNETTE GUERRA
152-31-6411-01-895-7-22-010 TRAVEL - EMPLOYEES 0210216957
Amount Paid
STATE CATE
200119
150
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HINOJOSA BEAUTY SUPPLY
288.00 288.00 C
Computer
288.00 36.00 36.00 C
Computer
900.00 900.00 C
Computer
936.00 -26.00 -26.00 CV Computer Void -520.00 -520.00 CV Computer Void 26.00 26.00 C
Computer
520.00 520.00 C
Computer
.00 840.00 840.00 C 840.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
152
0210217060 00592344
Vendor Name
PO No
Description
Acct Amt
01/19/17
51187
30467
1,601.48 C
30465
30476
679.00 C
17007159 CROC HYBRIDI IRON
17007364 CROE HYBRIDI IRON
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00592341
30458
17007262 BRAZILIAN TREATMENT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00592342
30459
00592856
01/19/17 635
137936
17009292 REGISTRATION FEE FOR PALMVIEW FCS STUD
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS Total Check per Fund: 0210217184 00592265
01/19/17 NOV. 2016
79987
DEC. 2016
17000856 MILEAGE FOR CTE TECHNOLOGY STRATEGIST
00592278
01/19/17 4329640-0
111058
4333024-0
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17006556 DESKTOP COPYHOLDER
00592337
01/19/17 2361
131261
17007056 CHRISTMAS INCENTIVE CTE STAFF- black w
Total Check per Fund: 00591829
01/19/17
77801
4822
00591833
01/19/17 49736253 RI
2016 RGV LEAD REGIONAL CONF IN SPI
380
Total Check per Fund: CAROLINA BIOLOGICAL SUPPLY COMPANY
17007444 PERSIMMON ENDORSPERM L.S. MICROSCOPE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217278
01/19/17
20155
360.00 C
Computer
360.00 38.34 ACH
30.78 ACH
69.12 398.20 ACH
337.45 ACH
735.65 3,133.60 3,133.60 A
ACH
3,133.60
CANTU ARTEMIO
152-13-6411-01-895-7-22-010 TRAVEL 0210217274
Computer
360.00
337.45 A
Total Check per Fund: HIGH END ADVERTISING
152-21-6497-00-895-7-22-010 AWARDS & INCENTIVES 0210217271
Computer
7,037.98
398.20 A
17006908 ROLLER BALL RETRACTABLE GEL PEN, BLUE
152-21-6399-00-895-7-22-010 GENERAL SUPPLIES 0210217209
Computer
639.50
30.78 A
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00592293
645.00 C 2,663.00
38.34 A
17000856 MILEAGE FOR CTE TECHNOLOGY STRATEGIST
152-13-6411-01-895-7-22-010 TRAVEL 0210217191
Computer
645.00
GARCIA OSCAR
152-13-6411-01-895-7-22-010 TRAVEL 00592266
810.00 C
639.50 C
Total Check per Fund: TEXAS ASSOCIATION OF FUTURE EDUCATORS
Computer
810.00
2,663.00 C
17007262 BRAZILIAN TREATMENT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217144
Computer
679.00
17007058
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00592340
Status Description
1,601.48
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00592345
Status
HINOJOSA BEAUTY SUPPLY
17007058
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00592343
Amount Paid
STATE CATE
30466
151
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CDW GOVERNMENT, INC.
16.13 16.13 C
Computer
16.13 277.20 277.20 C 277.20
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210217278 00591839
Vendor Name Description
Acct Amt
01/19/17
20155
FNK6380
17001534 JVC HA RX300- HEADPHONES
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591841
FMV9574
17001535 JVC HA RX300- HEADPHONES
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591844
FML6647
17001841 HP 711 4PACK
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591845
FMK9796
17001842 HP305A BLACK TONER CARTRIDGE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591850
FPR9302
17003055 DELL 2350 DN BLACK TONER CARTRIDGE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591866
GCN4409
17004935 BALL PRESENTATION CART
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00591869
FXV9610
17005726 CYAN TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591870
FZX7854
17005726 CYAN TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591871
FXT1745
17005727 MICROSOFT USB WIRED BASIC OPTICAL MOU
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591872
GBS6454
17005892 HP 932XL BLACK TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591873
GBP7028
17005894 RAM FLEXIBLE USB POWERED TRAVEL LIGHT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591874
GBW4359
17005894 RAM FLEXIBLE USB POWERED TRAVEL LIGHT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591875
GCK8543
17005894 RAM FLEXIBLE USB POWERED TRAVEL LIGHT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591876
GBW4362
17005895 LEXMARK 801 SK BLACK TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591877
GBH6184
17005895 LEXMARK 801 SK BLACK TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591878
GBX6368
17005895 LEXMARK 801 SK BLACK TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591879
GBS3484
17006015 HP 130A BLACK TONER CARTRIDGE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591880
GCF4918
17006329 HP INKJET BOND PAPER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591881
GBW4405
17006329 HP INKJET BOND PAPER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591882
Status
Status Description
CDW GOVERNMENT, INC.
17001532 HP312A TRI-COLOR TONER CARTRIDGE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591840
Amount Paid
STATE CATE
FLP9633
GDB6359
152
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006538 hp sb lcd speaker bar
1,065.96 1,065.96 C
Computer
299.00 299.00 C
Computer
299.00 299.00 C
Computer
644.96 644.96 C
Computer
707.93 707.93 C
Computer
143.98 143.98 C
Computer
211.99 211.99 C
Computer
368.03 368.03 C
Computer
89.77 89.77 C
Computer
139.60 139.60 C
Computer
254.88 254.88 C
Computer
7.97 7.97 C
Computer
510.41 510.41 C
Computer
126.67 126.67 C
Computer
349.75 349.75 C
Computer
89.99 89.99 C
Computer
305.96 305.96 C
Computer
219.96 219.96 C
Computer
684.20 684.20 C
Computer
175.90 175.90 C 78.78
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210217278 00591882
Vendor Name Description
Acct Amt
01/19/17
20155
GFV6364
17006539 HP 305X BLACK HIGH YIELD TONER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591884
GGP7410
17006539 HP 305A 3PK CYAN/MAGENTA/YELLOW LASER
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00591885
GDC4929
17006540 HP Q1396A INKJET BOND PAPER
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591886
GFF9933
17006868 HP305A (CF370AM) 3 PACK CYAN/MANGENTA
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591889
GGK8111
17007446 HP 05A (CE505D) 2-pack Black Original
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591899
FSK8664
17003801 EPSON PERFECTION V370 B11B207221 SCANN
152-11-6397-00-010-7-22-010 TECH EQUIP $500 - $4999 0210217295 00591975
01/19/17 01149061
63193
Total Check per Fund: DISTRICT 1 DECA
17008778 REGISTRATION FEE FOR LA JOYA HIGH STUD
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217355 00592876
01/23/17
37532
2812
Total Check per Fund: SOLIZ AROLDO R. JR. 01/25/17-TX CITRUS FIESTA YOUTH SHOW
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217362 00593326
01/26/17 16124992-00
58
Total Check per Fund: ALAMO DISTRIBUTION, LLC
17008184 TBG SQUARE TUBING 1.5X1.5 1/4X20FT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593324
16117299-01
17005710 PLATE A36 3/16X4FT X8FT 245.12#
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593325
16117299-00
17005710 PLATE A36 3/16X4FT X8FT 245.12#
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217364 00593328
01/26/17
10123
201135
Total Check per Fund: ALANIZ-HERRERA LE ANN SPI, TX
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210217376 00594157
01/26/17 05 877550
333
Total Check per Fund: COMMERCIAL BILLING SERVICE
17008078 GENERAL HAND TOOL KIT
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 0210217388 00594091
Status
Status Description
CDW GOVERNMENT, INC.
17006538 hp sb lcd speaker bar
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00591883
Amount Paid
STATE CATE
GDB6359
01/26/17 GPD5625
20155
153
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CDW GOVERNMENT, INC.
17008334 HP PRINTER M252DW LASER JET PRO
152-11-6397-00-007-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99
78.78 78.78 C
Computer
360.89 360.89 C
Computer
164.99 164.99 C
Computer
903.83 903.83 C
Computer
323.99 323.99 C
Computer
325.98 325.98 C
Computer
766.64 766.64 C
Computer
9,621.01 180.00 180.00 C
Computer
180.00 685.00 685.00 C
Computer
685.00 499.76 499.76 C
Computer
1,371.59 1,371.59 C
Computer
2,763.63 2,763.63 C
Computer
4,634.98 376.74 376.74 C
Computer
376.74 609.98 609.98 C
Computer
609.98 233.06 233.06 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210217388 00594078
Vendor Name Description
Acct Amt
01/26/17
20155
GQK4867
GQB6749
17008752 LOGITECH Z200 2.0 CHANNEL SPEAKER SYS
GQC1733
17008761 Dell - High Capacity - black - origin
GQC7600
17008964 HP 201A Cyan Toner Cartridge
GQC4716
17008965 HP 80X (CF280XD) 2-pack High Yield Bl
00594084
GQC0081
17008762 Netgear ProSafe 8- Port Gigabit Deskt
00594085
GQB7176
17008406 LOGITECH Z200 2.0 CHANNEL SPEAKER SYS
GQB7686
17008751 EPSON ELPMBPJG UNIVERSAL CEILING MOUN
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594087
GPC4297
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00594087
GPC4297
17008234 SURGE PROTECTOR 6 OUTLET 6FT CORD BLA
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594088
GQC4140
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217395 00594123
01/26/17 0183716774
23200
17008410 LUNCH FOR JUAREZ-LINCOLN HIGH SCHOOL
Total Check per Fund: 00594070
01/26/17 362262
70378
00594135
02/21/17
17008411 DINNER FOR JUAREZ-LINCOLN HIGH SCHOOL
16-001
130087
Total Check per Fund: CLH ENGINEERING INC
17008624 JL BUILDING TRADES CANOPY (APPROX 400
152-11-6219-00-895-7-22-010 PROFESSIONAL SERVICES 00594135
16-001
17008624 JL BUILDING TRADES CANOPY (APPROX 400
152-11-6219-00-895-7-22-010 PROFESSIONAL SERVICES Total Check per Fund: 0210217438 00593572
01/26/17 9324077958
2122
52.24 C
Computer
69.76 Computer
491.96 Computer
3,564.65 154.00 154.00 C
Computer
154.00
CC VALLEY INC
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217397
Computer
52.24
CHICK-FIL-A
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217396
Computer
519.89
491.96 C Total Check per Fund:
Computer
27.99
69.76 C
17008755 HP312A CYAN TONER CARTRIDGE
Computer
403.74
519.89 C
17008234 CREATIVE LABS INSPIRE T10 2.0 CHANNEL
Computer
321.99
27.99 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594086
Computer
911.88
403.74 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
187.98
321.99 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
27.99
911.88 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594083
53.20 C
187.98 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594082
Computer
53.20
27.99 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594081
Status Description
262.97 262.97 C
17008759 L2G WALL/CEILING MOUNT SPEAKERS
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00594080
Status
CDW GOVERNMENT, INC.
17008760 Targus Spruce EcoSmart 15.6" Notebook
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594079
Amount Paid
STATE CATE
CQB9535
154
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
120.00 120.00 C
Computer
120.00 -4,500.00 -4,500.00 CV Computer Void 4,500.00 4,500.00 C
Computer
.00
GRAINGER
17008195 ACETYLENE TORCH TIPS SIZE:00
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
1,315.00 1,315.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210217438 00593711
Vendor Name Description
Acct Amt
01/26/17
2122
9324083576
9324946442
9325415819
9324946459
17008114 WESTWARD LAWN RAKE
9327824521
17008114 WAGON TRUCK CART TO MOVE STEEL 1000LB
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00593704
9327824521
17008114 WESTWARD LAWN RAKE
00593703
9328187324
17008114 WESTWARD LAWN RAKE
93300402281
17008114 WESTWARD LAWN RAKE
9304447700
17007471 DEWALT SQUARE ALUMINUM 7IN
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593710
9298927295
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593707
9298927287
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217493 00593722
01/26/17 30735
51187
00593731
01/26/17 MB113016JW2
85634
Total Check per Fund: KADUCEUS HOLDINGS, INC.
17005862 KADUCEUS MEDICAL BILLING PROGRAM- ANNU
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593729
MB113016JW3
PT113016JW8
17005863 KADUCEUS MEDICAL BILLING PROGRAM- ANNU
00593115
01/26/17 SC6600
117552
17007728 ASE VOUCHERS FOR STUDENT CERTIFICATION
Total Check per Fund: 01/26/17
87629
OFFICE DEPOT
Computer
199.99 3,500.00 Computer
3,500.00 Computer
3,500.00 3,500.00 C
Total Check per Fund: NATIONAL INST. FOR AUTOMOTIVE SERV. EXCE
152-11-6339-00-895-7-22-010 TESTING MATERIALS 0210217524
199.99 C
3,500.00 C
17005864 KADUCEUS PHARM TECH PROGRAM- ANNUAL S
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217521
Computer
4,823.06
3,500.00 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593730
Computer
180.00
199.99
17005532 FORMA CHAIR
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 0210217500
Computer
949.28
180.00 C
Total Check per Fund: HINOJOSA BEAUTY SUPPLY
Computer
238.15
949.28 C
17006332 SHADE 5.0 LENS SAFETY GLASSES FOR TOR
Computer
8.37
238.15 C
17006332 SHADE 5.0 LENS SAFETY GLASSES FOR TOR
Computer
177.20
8.37 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593709
Computer
208.05
177.20 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593706
Computer
514.42 514.42 C
208.05 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
289.88 289.88 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593704
Computer
209.25 209.25 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593712
Computer
106.70 106.70 C
17008114 WESTWARD LAWN RAKE
Computer
110.76 110.76 C
17008114 WESTWARD LAWN RAKE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593713
Status Description
516.00 516.00 C
17008114 WESTWARD LAWN RAKE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593714
Status
GRAINGER
17008116 7"X1/4" DEPRESSED CENTER GRINGING DIS
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593715
Amount Paid
STATE CATE
9325889088
155
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
10,500.00 1,500.00 1,500.00 C 1,500.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
Vendor Name Description
01/26/17
00593243
870585446001
Acct Amt
87629
870585447001
870585448001
888242215001
152-11-6395-00-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00593239
877734285001
17004967 OFFICE DEPOT BRAND HEAVYWEIGHT SHEET
0210217530 00593304
01/26/17 824
131687
Total Check per Fund: PRET-A-PORTER CORP.
17007629 SET OF 8 MINERAL POWDER OF TRANSLUCEN
0210217535 00593434
01/26/17 ONSITE-003
15817
Total Check per Fund: RIO GRANDE VALLEY LEAD
17005658 REGISTRATION FEE FOR BLANCA RODRIGUEZ
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210217577 00593872
01/26/17 A.SALINAS
6476
Total Check per Fund: TEXAS DEPARTMENT OF LICENSING
17009254 APRRENTICE ELECTRICIAN LICENSES FOR PA
L.CISNEROS
17009254 APRRENTICE ELECTRICIAN LICENSES FOR PA
D.SAENZ
17009254 APRRENTICE ELECTRICIAN LICENSES FOR PA
Total Check per Fund: 0210217578 00593814
01/26/17 1720004
42595
00593890
17008511 REGISTRATION FEE FOR PALMVIEW STUDENT
01/26/17
16154
4953
Total Check per Fund: TREVINO VANESSA 12/17/16-REGION ONE TRAINING, EDINBURG
152-21-6411-00-895-7-22-010 TRAVEL - EMPLOYEES 0210217602 00593444
01/26/17
95494
3858
Total Check per Fund: VALDEZ MARIELA A. SPI, TX
152-31-6411-01-895-7-22-010 TRAVEL - EMPLOYEES 0210217618 00593359
01/26/17 313103
79
Computer
2,940.30 175.00 175.00 C
Computer
175.00 20.00 Computer
20.00 Computer
20.00 Computer
60.00
TEXAS FCCLA
152-36-6412-01-895-7-22-010 TRAVEL - STUDENTS 0210217593
2,940.30
20.00 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
1,122.63
20.00 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593871
Computer
23.85
20.00 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593873
63.89 C
2,940.30 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
63.89
23.85 C
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES
Computer
32.86 32.86 C
17007618 SWING ELECTRIC HOLE PUNCHER
Computer
932.04 932.04 C
17002820 SMK-LINK INTERLINK PRESENTATION PILOT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593246
Status Description
69.99 69.99 C
17002820 SMK-LINK INTERLINK PRESENTATION PILOT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593241
Status
OFFICE DEPOT
17002820 SMK-LINK INTERLINK PRESENTATION PILOT
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593242
Amount Paid
STATE CATE
0210217524
156
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: ALLEN INDUSTRIAL SUPPLY
17005711 DEWALT CONSTRUCTION GRADE ROD
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST
242.00 242.00 C
Computer
242.00 27.00 27.00 C
Computer
27.00 301.01 301.01 C
Computer
301.01 730.27 730.27 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
152
0210217618 00593360
Vendor Name Description
Acct Amt
01/26/17
79
00594027
01/26/17 121501826
14872
Total Check per Fund: B & H PHOTO -VIDEO
17005576 CANON EOS 6D DSLR CAMERA WITH 24-105MM
152-11-6397-00-010-7-22-010 TECH EQUIP $500 - $4999 0210217637 00594187
01/26/17 10140866881
9529
Total Check per Fund: DELL MARKETING L.P.
17007582 MICROSOFT SURFACE PRO 4
152-11-6397-00-010-7-22-010 TECH EQUIP $500 - $4999 00594184
10141046472
17007996 DELL LATITUDE E5470 LAPTOP (1 EACH TEA
152-11-6397-00-004-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594176
10142128950
17007994 DELL OPTIPLEX 7040 SFF DESKTOP WITH 2
152-11-6397-00-004-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594178
10142675356
17008779 Dell OptiPlex 7040 SFF Desktop with 2
152-11-6397-00-021-7-22-010 TECH EQUIP $500 - $4999 0210217647 00593695
01/26/17 4324282-0
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
4346739-0
4351159-0
00593189
247234
7558
00593301
01/26/17 916457
17007266 SULLIVAN HORSE HAIR SHOW PIG BRUSH
16872
Total Check per Fund: POCKET NURSE ENTERPRISES, INC.
17007391 MEDIUM MALE LAB COAT FOR PRACTICUM
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217695 00593161
01/26/17 44475
120308
Total Check per Fund: PRECISION SAW AND TOOL, INC.
17004812 BLACK SPRAYON LINER CARTRIDGE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593157
43597
17006336 TAP AND DIE SET
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00593157
43597
17006336 DEWALT TORPEDO 9IN LEVEL
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593158
44760
698.78 698.78 A
ACH
698.78 2,031.29 2,031.29 A
ACH
4,826.00 4,826.00 A
ACH
1,016.00 1,016.00 A
ACH
3,190.00 3,190.00 A
ACH
11,063.29
ACH
101.31 ACH
162.60 ACH
666.87
NASCO
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217693
ACH
845.77
162.60 A Total Check per Fund:
01/26/17
115.50 A
101.31 A
17008807 Paper Clips Jumbo Assorted Colors 250
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217684
115.50
402.96 A
17008193 BEGREEN DRY ERASE MARKER,ASSORTED CHI
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593692
Status Description
402.96
17005758 BATTERIES
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593693
Status
ALLEN INDUSTRIAL SUPPLY
17005711 DEWALT CONSTRUCTION GRADE ROD
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 0210217624
Amount Paid
STATE CATE
313121
157
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008207 4 1/2" SMALL ANGLE GRINDER 13 AMP
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST
330.15 330.15 A
ACH
330.15 16.30 16.30 A
ACH
16.30 1,766.00 1,766.00 A
ACH
609.98 609.98 A
ACH
707.00 707.00 A
ACH
2,399.85 2,399.85 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
152
Vendor Name
PO No
Amount Paid
Description
00593159
Acct Amt
43589
120308
43832
44761
17008208 DUAL-HEAD
44693
01/27/17
00594398
GQC0330
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17008617 EPSON POWERLITE X27 2700 LUMENS LCD PR
GQC9691
17009317 EPSON PERFECTION V370 SCANNER
152-11-6397-00-001-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 01/27/17
0210217736 00594417
137858
98132
Total Check per Fund: E GROUP INC. - SKILLS USA STORE
17008102 SKU-P90 LEADERSHIP HANDBOOK
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 01/27/17
00594476
886986154001
87629
01/27/17
17007482 SWING ELECTRIC HOLE PUNCHER
00594389
119139790
14872
Total Check per Fund: B & H PHOTO -VIDEO
17007121 NETGEAR PROSAFE
5 PORT GIGABIT DESKTO
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594390
121530825
121257280
17008953 FEISOL TBL-92 Tripod Bag (Black)
119147970
119163579
162
0210215865 00586830
Computer
916.78 496.00 Computer
496.00 63.89 63.89 C
Computer
63.89 231.16 ACH
29.00 ACH
10.54 ACH
78.71 ACH
51.96 51.96 A
Total Check per Fund:
401.37
Total Fund:
177,457.01
ACH
STATE COMPENSATORY 01/10/17
IN865746
18896
DAHILL INDUSTRIES
17002318 RENTAL OF XEROX 5875 APT DIGITAL COPI
162-21-6269-00-902-7-30-000 RENTALS-OPERATING LEASES 00586831
107.79 C
78.71 A
17007122 MAGNUS VT-300 VIDEO TRIPOD WITH FLUID
152-11-6395-00-010-7-22-010 FURNITURE & EQUIP < $500
Fund:
Computer
107.79
10.54 A
17007122 MAGNUS VT-300 VIDEO TRIPOD WITH FLUID
152-11-6395-00-010-7-22-010 FURNITURE & EQUIP < $500 00594393
808.99 C
29.00 A
17008732 Hosa Technology REAN 3.5mm TRS to Dua
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594392
ACH
808.99
231.16 A
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00594391
ACH
OFFICE DEPOT
152-11-6395-00-004-7-22-010 FURN & EQUIP <$500 UNIT COST 0210217765
ACH
13,995.91
496.00 C Total Check per Fund:
0210217749
1,289.90 A
4,245.62 A
152-11-6397-00-004-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594402
579.99 A
4,245.62
17005817 PAINT LINERS
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 0210217728
ACH
579.99 1,289.90
WORK LIGHT
152-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00593302
2,397.57 2,397.57 A
17006402 FINE BELT SANDER AND SANDING PAPER
152-11-6398-00-007-7-22-010 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00593303
Status Description
PRECISION SAW AND TOOL, INC.
17005814 PAINT BRUSH 3" WOODEN HANDLE
152-11-6399-46-895-7-22-010 GENERAL SUPPLIES 00593160
Status
STATE CATE 01/26/17
0210217695
IN906555
158
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002318 RENTAL OF XEROX 5875 APT DIGITAL COPI
162-21-6269-00-902-7-30-000 RENTALS-OPERATING LEASES
-349.44 -349.44 CV Computer Void -349.44 -349.44 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210215865 00586832
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/10/17
18896
IN865729
IN906537
IN945217
IN983064
IN945157
17006231 Rental Of Xerox
WC 5335 PT DIGITAL CO
IN983008
17006231 Rental Of Xerox
WC 5335 PT DIGITAL CO
Total Check per Fund: 00590036
01/12/17
135933
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00590037
01/12/17
135941
Total Check per Fund: AGUILAR DAMIAN
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216575 00590038
01/12/17
135950
Total Check per Fund: ALANIZ BRITTANY MARIE
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210216580 00590039
01/12/17
130575
00590054
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
01/12/17 3391940
38814
Total Check per Fund: BARNES & NOBLE, INC.
17006851 CRACKING THE AP WORLD HISTORY EXAM 20
162-11-6399-57-001-7-30-ACA GENERAL SUPPLIES 0210216619 00590184
01/12/17 494
15321
Total Check per Fund: COMMUNITIES IN SCHOOLS OF HIDALGO COUNTY
17000592
162-32-6291-60-004-7-30-010 CONSULTANT SERVICES 00590184
494
17000592 PAYMENT FOR 2016 - 2017 CONTRACT FOR
162-32-6291-60-007-7-30-010 CONSULTANT SERVICES 00590184
494
-147.39
-2,255.94 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
ARECHIGA AXEL
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216585
-147.39
ACOSTA YANETH
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216573
-228.21 CV Computer Void
-147.39 CV Computer Void
162-61-6269-00-021-7-30-000 RENTALS 0210216571
-228.21 CV Computer Void
-147.39 CV Computer Void
162-61-6269-00-021-7-30-000 RENTALS 00587030
-228.21 CV Computer Void
-228.21
17000826
162-13-6269-54-830-7-30-010 RENTALS-OPERATING LEASES 00587029
-228.21 CV Computer Void
-228.21
17000826
162-13-6269-54-830-7-30-010 RENTALS-OPERATING LEASES 00586993
-349.44 CV Computer Void
-228.21
17000826
162-13-6269-54-830-7-30-010 RENTALS-OPERATING LEASES 00586865
-349.44 -228.21
17000826
162-13-6269-54-830-7-30-010 RENTALS-OPERATING LEASES 00586864
Status Description
DAHILL INDUSTRIES
17002318 RENTAL OF XEROX 5875 APT DIGITAL COPI
162-21-6269-00-902-7-30-000 RENTALS-OPERATING LEASES 00586863
Status
STATE COMPENSATORY
IN945234
159
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000592
162-32-6291-60-041-7-30-010 CONSULTANT SERVICES
120.00 120.00 C
Computer
120.00 1,055.36 1,055.36 C
Computer
1,055.36 6,250.00 6,250.00 C
Computer
6,250.00 6,250.00 C
Computer
6,250.00 6,250.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210216619 00590184
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/12/17
15321
6,250.00
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
494
6,250.00 C
00590543
01/12/17 IN1018916
18896
6,250.00 C
Total Check per Fund: DAHILL INDUSTRIES
17006231 Rental Of Xerox
WC 5335 PT DIGITAL CO
162-61-6269-00-021-7-30-000 RENTALS 00590552
IN1018976
17000826 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN1018980
17001239 RENTAL OF XEROX 5955APT DIGITAL COPIER
162-13-6269-32-830-7-30-010 RENTALS-OPERATING LEASES 0210216628 00590208
01/12/17
135968
Total Check per Fund: DE LA TORRE KENYA
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216634 00590230
01/12/17
135976
Total Check per Fund: DOMINGUEZ NUBIA
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210216640 00590247
01/12/17
128260
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00590282
01/12/17 14705
4849
147.39 Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
603.81 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
DURAN MELISSA
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216654
Computer
75,000.00
147.39 C
162-13-6269-54-832-7-30-010 RENTALS-OPERATING LEASES 00590561
Computer
6,250.00
17000592
162-32-6291-60-123-7-30-010 CONSULTANT SERVICES 0210216625
Computer
6,250.00
17000592
162-32-6291-60-120-7-30-010 CONSULTANT SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-118-7-30-010 CONSULTANT SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-109-7-30-010 CONSULTANT SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-105-7-30-010 CONSULTING SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-049-7-30-010 CONSULTANT SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-048-7-30-010 CONSULTANT SERVICES 00590184
Computer
6,250.00
17000592
162-32-6291-60-045-7-30-010 CONSULTANT SERVICES 00590184
Status Description
COMMUNITIES IN SCHOOLS OF HIDALGO COUNTY
17000592
162-32-6291-60-043-7-30-010 CONSULTANT SERVICES 00590184
Status
STATE COMPENSATORY
494
160
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: FLORES NURSERY & FLORAL
17007703 SMALL RED CUPS FOR JLHS(INCENTIVES FOR
162-11-6497-00-004-7-24-000 AWARDS AND INCENTIVES
120.00 120.00 C
Computer
120.00 3,000.00 3,000.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
4849
FLORES NURSERY & FLORAL
0210216661
01/12/17
136034
Total Check per Fund: GARCIA SHADDAI
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES
00590289
01/12/17
135984
Total Check per Fund: GARZA JUAN JOSE
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210216670 00590333
01/12/17
136042
00590987
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
01/12/17 3969231216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17007064 vISA A VISA WET ERASER MARKER BLACK
162-11-6399-00-106-7-24-000 GENERAL SUPPLIES 0210216691 00590992
01/12/17 1190226532
138118
17006573 SIMPLE & POWERED MACHINES SET 30 STUD
00590334
136050
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00590335
01/12/17
135992
Total Check per Fund: MARTINEZ DANIEL
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210216712 00590336
01/12/17
136069
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
Total Check per Fund: 00590337
01/12/17
136000
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00590338
01/12/17
136077
Total Check per Fund: RAMIREZ-MARTINEZ ITATI
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210216740 00591036
01/12/17 610244
137235
120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 349.14 Computer
349.14 10,562.80 Computer
10,562.80 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
RAMIREZ LUISA
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216736
120.00
OCHOA ADRIAN
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216735
Computer
LICEA YANELLY
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216696
120.00 120.00 C
10,562.80 C Total Check per Fund:
01/12/17
3,000.00
349.14 C
Total Check per Fund: LEGO EDUCATION
162-13-6399-00-888-7-30-000 GENERAL SUPPLIES 0210216692
Status Description
GUEL JESUS
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216689
Status
STATE COMPENSATORY 01/12/17
0210216662
Amount Paid Acct Amt
0210216654
00590288
161
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
120.00 120.00 C
120.00 120.00 C 120.00
RGVCTM
17005190 ENTRY FEE FOR JOSE ZAPATA (VENDOR # 5
Computer
120.00
150.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210216740 00591036
Vendor Name
PO No
Description
Acct Amt
01/12/17
137235
00590339
01/12/17
136018
Total Check per Fund: ROSALES VICTORIA
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216744 00590340
01/12/17
136085
Total Check per Fund: ROSALES YAHLITZA
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216751 00590341
01/12/17
136093
Total Check per Fund: SANDOVAL JACOB
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216784 00590342
01/12/17
136115
Total Check per Fund: TREVINO ARELIS
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216796 00590343
01/12/17
136026
Total Check per Fund: VILLANUEVA JOSE F
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216798 00590344
01/12/17
136107
Total Check per Fund: VILLASANA CHRISTOPHER
LDZ-VYP DEC. 20 17002406 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-041-7-30-000 STIPEND- NON-EMPLOYEES 0210216801 00590306
01/12/17 003384
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17005690 ASSORTED BACKPACKS INCENTIVES FOR JLH
162-11-6497-32-830-7-30-010 AWARDS & INCENTIVES 00590307
000612
17005690 ASSORTED BACKPACKS INCENTIVES FOR JLH
162-11-6497-32-830-7-30-010 AWARDS & INCENTIVES 00590330
005573
17007516 HIGHLITER CHISEL TIP
162-11-6399-00-007-7-24-000 GENERAL SUPPLIES 0210216816 00590973
01/12/17 4420676537
3022
Total Check per Fund: APPLE COMPUTER, INC.
17007544 iPAD AIR 2 WI-FI-32GB - SILVER TO BE U
162-11-6397-00-042-7-24-000 TECH EQUIP COST $500-$4,999.99 00590972
4421345191
17007544 iPAD AIR 2 WI-FI-32GB - SILVER TO BE U
162-11-6397-00-042-7-24-000 TECH EQUIP COST $500-$4,999.99 0210216836
Status
Status Description
RGVCTM
17005190 ENTRY FEE FOR JOSE ZAPATA (VENDOR # 5
162-13-6411-32-112-7-30-010 TRAVEL - EMPLOYEES 0210216743
Amount Paid
STATE COMPENSATORY
610244
01/12/17
9529
162
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DELL MARKETING L.P.
150.00 150.00 C
Computer
150.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 786.44 786.44 C
Computer
467.27 467.27 C
Computer
323.08 323.08 C
Computer
1,576.79 990.00 990.00 A
ACH
3,750.00 3,750.00 A 4,740.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210216836 00590213
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/12/17
9529
DELL MARKETING
60102107748
17003590 DELL OPTIPLEX 7040 SMALL FORM FACTOR D
162-11-6397-00-106-7-30-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210216881 00591094
01/12/17 211570
21123
Total Check per Fund: MENTORING MINDS, L.P.
17007872 44150
MOTIVATION SCIENCE LEVEL 5 STA
162-11-6399-00-124-7-24-000 GENERAL SUPPLIES 0210216913 00591022
01/12/17 DEC. 2016
21429
00591667
01/18/17
17000318 MILEAGE FOR XAVIER RAMIREZ HIGH DVHOO
11902
L.ZAMORA/JAN. 3 17009083 REGISTRATION FEE FOR: LINDOLFO ZAMORA
00592395
01/19/17
135534
Total Check per Fund: AGUILAR JANEL ASARI
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210216998 00592544
01/19/17
136395
Total Check per Fund: AGUILAR NANCY PAOLA
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210216999 00592545
01/19/17
136301
Total Check per Fund: ALVAREZ JULYSSA
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217009 00592548
01/19/17
136255
00592549
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
01/19/17
136247
Total Check per Fund: CAMACHO CAROLINA
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217013 00592396
01/19/17
135542
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
Total Check per Fund: 00592397
01/19/17
135550
-128.00 A
ACH
.00 384.23 ACH
384.23 133.65 ACH
133.65 225.00 225.00 C
Computer
225.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
CANTU DAMARIS
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217014
ACH
AVALOS ALEX
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217012
128.00 A -128.00
133.65 A
Total Check per Fund: TEXAS ASSN FOR ALTERNATIVE EDUCATION
162-23-6411-00-005-7-28-000 TRAVEL - EMPLOYEES 0210216997
128.00
384.23 A
Total Check per Fund: RAMIREZ XAVIER
162-21-6411-57-830-7-30-000 TRAVEL EMPLOYEE 0210216983
Status Description
L.P.
17003590 DELL OPTIPLEX 7040 SMALL FORM FACTOR D
162-11-6397-00-106-7-30-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590212
Status
STATE COMPENSATORY
XK24W8W66
163
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
120.00 120.00 C 120.00
CANTU EMILY
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
120.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210217014 00592397
Vendor Name
PO No
Description
Acct Amt
135550
00592398
01/19/17
135569
Total Check per Fund: COBARUBIAS JOSE
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217016 00592399
01/19/17
135577
Total Check per Fund: COVARRUBIAS REBECCA
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217017 00592400
01/19/17
135585
00592550
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
01/19/17
136417
Total Check per Fund: FLORES ELEAZAR JR.
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217020 00592551
01/19/17
136298
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00592401
01/19/17
135593
Total Check per Fund: FUENTES JENNIFER
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217023 00592552
01/19/17
136344
Total Check per Fund: GARCIA ALEJANDRO
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217024 00592553
01/19/17
136310
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
Total Check per Fund: 00592554
01/19/17
136360
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00592404
01/19/17
135607
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
GARCIA NAOMI
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217026
120.00 C
GARCIA DAISY
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217025
120.00
FRAYRE ANDRES
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217021
Status Description
CRUZ JESSICA
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217019
Status
CANTU EMILY
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217015
Amount Paid
STATE COMPENSATORY 01/19/17
164
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: GARCIA PEREZ CLARISSA
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES
120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
135607
GARCIA PEREZ CLARISSA
0210217035
01/19/17
135615
Total Check per Fund: GONZALEZ BRENDA
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES
00592433
01/19/17
135623
Total Check per Fund: GUERRERO ELIAMAR
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217043 00592329
01/19/17 1082630-1
137375
Total Check per Fund: HANDWRITING WITHOUT TEARS
17004387 KEYDC- CAN DO KEYBORDING + CAN DO CUR
00592555
01/19/17
136239
Total Check per Fund: HERNANDEZ ANDREA
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217071
01/19/17
00592359
JAN. 6, 2017
131610
JAN. 5, 2017
JAN. 5, 2017
17007853 CONSULTING SERVICE CONTRACT FOR JULIE
JAN. 5, 2017
JAN. 6, 2017
Total Check per Fund: 00592556
01/19/17
136379
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00592476
02/21/17
135631
Total Check per Fund: JULIANA ANAHI MENDEZ
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 00592476
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217077 00592515
01/19/17 3667421216
4253
Computer
120.00 1,075.50 Computer
1,075.50 120.00 120.00 C
Computer
120.00
1,000.00 C
Computer
1,000.00 1,000.00 C
Computer
1,000.00 C
Computer
500.00 C
Computer
500.00 C
Computer
4,000.00
JIMENEZ KEYLA
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217075
120.00 C
500.00
17007853
162-13-6291-00-112-7-24-000 CONSULTING SERVICES-SPEAKER/TRAININGS 0210217072
120.00
500.00
17007853
162-13-6291-00-112-7-24-000 CONSULTING SERVICES-SPEAKER/TRAININGS 00592361
120.00
1,000.00
17007853
162-13-6291-00-111-7-30-000 CONSULTING SERVICES - SPEAKER/TRAININGS 00592360
Computer
1,000.00
17007853
162-13-6291-00-109-7-30-000 CONSULTING SERVICES 00592362
120.00 120.00 C
JACKSON JULIE
162-13-6291-00-114-7-24-000 CONSULTING SERVICES-SPEAKER/TRAINGING 00592358
Status Description
120.00
1,075.50 C
162-11-6399-52-867-7-30-000 GENERAL SUPPLIES 0210217045
Status
STATE COMPENSATORY 01/19/17
0210217040
Amount Paid Acct Amt
0210217026
00592427
165
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17006757 STORE -IT-ALL ROTATING CADDIES - SET O
162-11-6399-93-847-7-30-000 GENERAL SUPPLIES
120.00 120.00 C
Computer
120.00 -120.00 -120.00 CV Computer Void 120.00 120.00 C
Computer
.00 356.25 356.25 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
4253
LAKESHORE LEARNING MATERIALS
0210217079
01/19/17
82899
Total Check per Fund: LEAD4WARD, LLC
6087
17005953 THE FOLOWING WILL BE USED AT THE MIDD
162-11-6399-57-831-7-30-000 GENERAL SUPPLIES
00592652
00592557
01/19/17 IRF-2930
127272
Total Check per Fund: MONSTER TECHNOLOGY INC.
17008134 UX80 COMPATIBLE PROJECTOR LAMP REPLAC
01/19/17
136220
Total Check per Fund: MORALES JEREMY
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00592558
01/19/17
136271
Total Check per Fund: OLGUIN ELIANA LEE
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217102 00592478
01/19/17
135658
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
Total Check per Fund: 00592479
01/19/17
135666
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
00592480
01/19/17
135674
Total Check per Fund: PULIDO MARIA DE JESUS
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217111 00592481
01/19/17
135682
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
Total Check per Fund: 00592525
01/19/17 610247
137235
17005298 REGISTRATION FEE FOR THE FOLLOWING TEA
Total Check per Fund: 00592482
01/19/17
135690
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
00592483
01/19/17
135704
1,892.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 750.00 750.00 C
Computer
750.00
RUIZ AMY
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217119
Computer
RGVCTM
162-13-6411-32-830-7-30-010 TRAVEL - EMPLOYEES 0210217118
1,892.00
REYNA ALONDRA
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217113
589.00
PONCE ARTURO
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217107
Computer
PENA GINA E.
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217103
589.00
1,892.00 C
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217097
Status Description
356.25
589.00 C
162-11-6399-00-045-7-24-000 GENERAL SUPPLIES 0210217096
Status
STATE COMPENSATORY 01/19/17
0210217095
Amount Paid Acct Amt
0210217077
00592520
166
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: RUIZ CARLOS JESUS
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
120.00 120.00 C 120.00 120.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210217119 00592483
Vendor Name
PO No
Description
Acct Amt
135704
Total Check per Fund: 00592559
01/19/17
136280
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
Total Check per Fund: 00592560
01/19/17
136409
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
00592099
01/19/17 17001399_10-24
131300
Total Check per Fund: SIRIUS EDUCATION SOLUTIONS
17001399 EOC ALGEBRA I READINESS 2016 FOR INSTR
162-11-6399-32-830-7-30-010 GENERAL SUPPLIES 0210217135 00592484
01/19/17
135712
Total Check per Fund: SOLIS SEBASTIAN
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217138
01/19/17
00592102
SB85776DWB60
112607
Total Check per Fund: STARFALL EDUCATION
17007408 ON-LINE SOFTWARE FOR THE 2016-2017 SCH
162-11-6399-00-122-7-24-000 GENERAL SUPPLIES 0210217139
01/19/17
00592104
12072016-002
137723
Total Check per Fund: SYLVAN LEARNING
17005404 CONTRACTED SERVICES FOR JLHS( PREPARA
162-11-6291-00-004-7-24-000 CONSULTING SERVICES 0210217151 00592121
01/19/17 8314
132780
Total Check per Fund: THE WRITING ACADEMY LLC
17005988 ONE DAY TRAINING WIL BE ON JANUARY 6,
162-13-6291-31-832-7-30-010 CONSULTING SERVICES 0210217158 00592539
01/19/17 105
55956
Total Check per Fund: UNITED PROFESIONAL SERVICES
17004025 UNITED PROFESSIONAL SERVICES WILL BE
162-31-6291-00-902-7-30-000 CONSULTANT SERVICES 0210217160 00592561
01/19/17
136336
Total Check per Fund: VALENZUELA MARIO JR.
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217162 00592562
01/19/17
136387
120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
SALINAS ALEXA
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217134
Status Description
SALAS GERMAN
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217122
Status
RUIZ CARLOS JESUS
GARCIAMS/DEC.16 17000103 1 YEAR STUDENT STIPENED FOR SEPTEMBER
162-11-6413-47-046-7-30-000 STIPEND- NON-EMPLOYEES 0210217121
Amount Paid
STATE COMPENSATORY 01/19/17
167
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: VASQUEZ ALEXIS
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES
120.00 120.00 C
Computer
120.00 5,430.00 5,430.00 C
Computer
5,430.00 120.00 120.00 C
Computer
120.00 270.00 270.00 C
Computer
270.00 31,500.00 31,500.00 C
Computer
31,500.00 6,350.00 6,350.00 C
Computer
6,350.00 750.00 750.00 C
Computer
750.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
136387
VASQUEZ ALEXIS
0210217163
01/19/17
136263
VELA JENNIFER
Total Check per Fund: TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 00592564
01/19/17
136352
00592565
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
01/19/17
136328
Total Check per Fund: ZUNIGA VALERIA
TREVINO MS/12-1 17001919 VYP STIPEND FOR THE MONTH OF SEPTEMBER
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217173 00592497
01/19/17 128504
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17007203 DELL HIGH YIELD BLACK TONER CARTRIDGE
162-11-6399-47-042-7-30-000 GENERAL SUPPLIES 00592493
128667
00592297
01/19/17 4314068-0
111058
4315016-0
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17004548 EACH ITEM WILL BE FOR STAFF DEVELOPMEN
4328184-0
4327669-0
4327669-0
4330469-0
162-11-6399-00-045-7-24-000 GENERAL SUPPLIES 00592289
4331163-0
00592310
DEC. 2016
18463
00592448
01/19/17
17000283 Mileage for Mr.Rogelio Gomez Vendor#
INV25404
103314
624.00 ACH
1,031.00 ACH
1,655.00 380.54 ACH
71.21 ACH
127.38 ACH
181.25 ACH
181.24 ACH
764.00 ACH
1,513.82 ACH
3,219.44
GOMEZ ROGELIO
162-13-6411-54-831-7-30-010 TRAVEL - EMPLOYEES 0210217210
Computer
120.00
1,513.82 A Total Check per Fund:
01/19/17
120.00 C
764.00 A
17007594 Training "Multisensory Interactive Wo
162-13-6399-54-832-7-30-010 GENERAL SUPPLIES 0210217195
120.00
181.24 A
17006747 TI-RECHARGEABLE BATTERIES
Computer
120.00
181.25 A
17006247 EACH REGULAR STEMS 12 910 PACKS)
162-13-6399-27-831-7-30-010 GENERAL SUPPLIES 00592277
120.00 C
127.38 A
17006247 EACH PONY BEADS PLASTIC 6MMX9MM ASSOR
162-13-6399-27-830-7-30-010 GENERAL SUPPLIES 00592280
120.00
71.21 A
17005522 EACH ITEM WILL BE FOR STAFF DEVELOPMEN
162-13-6399-27-831-7-30-010 GENERAL SUPPLIES 00592280
Computer
120.00
380.54 A
17005021 EACH ITEM WILL BE FOR SYSTEM 44 TRAIN
162-13-6399-27-831-7-30-010 GENERAL SUPPLIES 00592299
120.00 120.00 C
1,031.00 A
162-13-6399-27-831-7-30-010 GENERAL SUPPLIES 00592298
120.00
624.00 A
17008397 Quotation # JR-2309 Toner for Lorenzo
162-13-6399-54-831-7-30-010 GENERAL SUPPLIES 0210217191
Status Description
VELIZ EDGAR
162-11-6413-47-049-7-30-000 STIPEND- NON-EMPLOYEES 0210217171
Status
STATE COMPENSATORY 01/19/17
0210217164
Amount Paid Acct Amt
0210217162
00592563
168
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: IMAGINE LEARNING, INC.
17006753 Imageine Learning Annual Site License
162-11-6399-00-118-7-24-000 GENERAL SUPPLIES
126.90 126.90 A
ACH
126.90 6,000.00 6,000.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
162
Acct Amt
01/19/17
103314
IMAGINE LEARNING, INC.
0210217227
01/19/17
7935
Total Check per Fund: MENDIOLA LETICIA
00592647
DEC. 2016
17000887 MILEAGE FOR MRS MENDIOLA TO TRAVEL TH
01/19/17 DEC. 2016
26336
MEZA SALAZAR
254.34
17001918
00591805
135267
254.34 A 254.34
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
00591808
01/19/17 3375288
38814
00591835
01/19/17
Total Check per Fund: BARNES & NOBLE, INC.
13.59 13.59 C
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
00591895
01/19/17 FMJ2558
20155
FLL8740
FLP6361
70.33
17001218 COVER FOR SURFACE PRO 4 (FOR SURFACE
70.33 C
00591914
01/19/17
53.36 C
-5.49 C
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
00591960
7029669
14189
7029897
120.00
17001234 PRINTING OF LJISD CAMT SHARE FAIR 201
7029907
17007987 EACH 2ND GRADE EXPOSITORY TRAINING:
W
7029700
17002554 SECTION 504 BINDER 1" RED, WHITE LETT
162-21-6298-52-867-7-30-000 PRINTING SERVICES
Computer
526.97 526.97 C
162-13-6298-31-832-7-30-010 PRINTING SERVICES 00591962
849.03 849.03 C
17007143 EACH COLOR PACKET: 175 PG WITH 4 TO A
162-13-6298-27-831-7-30-010 PRINTING SERVICES 00591961
Computer
COPY ZONE
162-13-6298-32-830-7-30-010 PRINTING SERVICES 00591959
120.00 120.00 C
Total Check per Fund: 01/19/17
Computer
118.20
Total Check per Fund: CHAVEZ JORGE LUIS
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217291
Computer
-5.49
17001218 COVER FOR SURFACE PRO 4 (FOR SURFACE
137502
Computer
53.36
17001218 COVER FOR SURFACE PRO 4 (FOR SURFACE
162-13-6399-32-832-7-30-010 GENERAL SUPPLIES 0210217283
Computer
120.00
162-13-6399-32-832-7-30-010 GENERAL SUPPLIES 00591897
120.00 120.00 C
Total Check per Fund: CDW GOVERNMENT, INC.
162-13-6399-32-832-7-30-010 GENERAL SUPPLIES 00591896
Computer
13.59
Total Check per Fund: CARRILLO NAZLI
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217278
Computer
120.00
17006623 BOOK: MY NAME IS NOT ISABELLA
135275
120.00 120.00 C
162-11-6399-57-115-7-30-000 GENERAL SUPPLIES 0210217276
ACH
ALIPI EMILY
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217258
ACH
27.54
Total Check per Fund: MARTHA
Total Check per Fund: 01/19/17
27.54 27.54 A
162-61-6411-00-906-7-30-000 TRAVEL - EMPLOYEE 0210217256
Status Description
6,000.00
162-13-6411-27-830-7-30-010 TRAVEL - EMPLOYEE 0210217228
Status
STATE COMPENSATORY
0210217210
00592646
FPREG02B
A/P Detail Check Register By Fund Vendor No
169
Computer
551.96 551.96 C
Computer
1,227.36 1,227.36 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
0210217291 00591963
Vendor Name
PO No
Description
Acct Amt
01/19/17
14189
00591966
01/19/17 67343713
14793
Total Check per Fund: D & H DISTRIBUTING COMPANY
17002699 TI-Nspire and TI-Nspire CAS Teacher S
162-11-6399-32-831-7-30-010 GENERAL SUPPLIES 0210217303 00592001
00592002
01/19/17 INV079180
108588
17003823 2016-2017 STUDY ISLAND TEXAS 8TH GRAD
01/19/17 311842
137162
311842
Total Check per Fund: EDUCATION ADVANCED INC
17005926 TESTHOUND ON SITE TRINING ONE DAY
17005926 TESTHOUND: SETUP AND TECHICAL ASSISTAN
162-21-6299-65-865-7-30-000 MISC. CONTRACTED SERVICES 00592002
311842
17005926 TEST HOUND 2016-2017 SCHOOL YEAR SUBS
162-21-6399-65-865-7-30-000 GENERAL SUPPLIES
00592016
01/19/17
135208
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
00592017
01/19/17
137545
Total Check per Fund: GARZA FRIDA DANIELA
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217314 00592018
01/19/17
135291
Total Check per Fund: GARZA STEPHANIE
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217315 00592047
01/19/17
135216
Total Check per Fund: HERNANDEZ EDUARDO
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217316 00592049
01/19/17
137537
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
Total Check per Fund: 00592050
01/19/17
135240
Computer
402.50 6,700.67 Computer
6,700.67 1,500.00 1,500.00 C
Computer
1,250.00 1,250.00 C
Computer
19,233.50 Computer
21,983.50 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00
OVALLE JESUS
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217317
402.50
GARZA DANIEL
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217313
Computer
5,093.05
19,233.50 C Total Check per Fund:
0210217312
1,937.73 C
6,700.67 C
162-21-6291-65-865-7-30-000 CONSULTING SERVICES-SPEAKER/TRAININGS 00592002
Status Description
1,937.73
402.50 C
Total Check per Fund: EDMENTUM HOLDINGS INC
162-11-6399-57-831-7-30-000 GENERAL SUPPLIES 0210217304
Status
COPY ZONE
17002555 RTI STUDENT BINDER, 1" 3 RING, 3 TABS
162-21-6298-52-867-7-30-000 PRINTING SERVICES 0210217293
Amount Paid
STATE COMPENSATORY
7029191
170
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
120.00 120.00 C
Computer
120.00
RAMIREZ LUIS
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES
120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
135240
RAMIREZ LUIS
0210217318
01/19/17
137553
RIVERA ANABEL
Total Check per Fund: ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES
00592053
01/19/17
135232
Total Check per Fund: RODRIGUEZ BENJAMIN
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217320 00592054
01/19/17
137561
Total Check per Fund: ROQUE GUILLERMO JR
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217321 00592055
01/19/17
137510
Total Check per Fund: SALINAS KENYA CELESTINA
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217322 00592056
01/19/17
137529
Total Check per Fund: SANTILLAN KEVIN
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 0210217323 00592057
01/19/17
135305
00592029
ARMS-VYP DEC. 2 17000303 VYP STUDENTS TUTORING AT CAVAZOS ELEM
01/19/17 005072
003025
00591920
01/19/17 NOV. 2016
DEC. 2016
Total Check per Fund: CHAVEZ VERONICA
17000803 MILEAGE FOR VERONICA CHAVEZ TO TRAVEL
17000803 MILEAGE FOR VERONICA CHAVEZ TO TRAVEL
00591956
0062323-001
60089
0062344-001
120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
Computer
747.53 Computer
1,138.42 146.34 146.34 A
ACH
68.04 68.04 A
ACH
214.38
COPY PLUS
17005914 CASE TABLET iPAD MINI BLACK
17008774 EACH LABEL
162-11-6399-27-831-7-30-010 GENERAL SUPPLIES
-109.56 -109.56 A
162-23-6399-00-005-7-28-000 GENERAL SUPPLIES 00591953
Computer
120.00
747.53 C
Total Check per Fund: 01/19/17
120.00 C
390.89 C
17005999 ALL ITEMS WILL BE USED FOR STUDENT IN
162-13-6411-27-831-7-30-010 TRAVEL - EMPLOYEE ONLY 0210217333
120.00
390.89
17591
Computer
120.00
17005999 ALL ITEMS WILL BE USED FOR STUDENT IN
162-13-6411-27-831-7-30-010 TRAVEL - EMPLOYEE ONLY 00591919
120.00 120.00 C
120.00
162-11-6399-57-830-7-30-000 GENERAL SUPPLIES 0210217331
120.00
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
55891
162-11-6399-57-830-7-30-000 GENERAL SUPPLIES 00592030
Status Description
SERNA KEVIN
162-11-6413-47-045-7-30-000 STIPEND- NON-EMPLOYEES 0210217325
Status
STATE COMPENSATORY 01/19/17
0210217319
Amount Paid Acct Amt
0210217317
00592052
171
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
3. 5X5 400 WILL BE PLACED
ACH
1,090.60 1,090.60 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
60089
COPY PLUS
0210217341
01/19/17
120219
Total Check per Fund: DOYLENE & ASSOCIATES INC
10235
17007997 KNEX EDUCATION INTRO SIMPLE MACHINES
162-13-6399-00-888-7-30-000 GENERAL SUPPLIES 10237
17008100 THESE BOOKS WILL BE USED IN THE HIGH
162-11-6329-57-830-7-30-000 READING MATERIALS 00591991
10237
17008101 ITEM WILL BE USED FOR PROFESSIONAL DEV
162-13-6329-57-832-7-30-000 READING MATERIALS 0210217348 00592048
01/19/17 DEC. 2016
16901
Total Check per Fund: MARY L. FLORES
17001882
162-61-6411-00-906-7-30-000 TRAVEL - EMPLOYEE 0210217361
01/26/17
00593613
MEM.MS/DEC.16
134813
Total Check per Fund: ALAMEDA ESTEBAN #2004056
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217370
01/26/17
00593614
MEM.MS/DEC.16
134767
Total Check per Fund: BERLANGA LILIBETH #2003645
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217377
01/26/17
00593615
MEM.MS/DEC.16
134732
Total Check per Fund: CALDERON ROXANNE #2025070
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217378
01/26/17
00593616
MEM.MS/DEC.16
138134
Total Check per Fund: CALVILLO YULIANA
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217388 00594095
01/26/17 GFP5601
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17006721 TI INSPIRE CX GRAPHING CALCULATOR ( P
162-11-6395-00-041-7-24-000 FURNITURE & EQUIP < $500 00594074
GPT7441
17008405 HpColor Laserjet ENT M55X Secujre Mtg
162-13-6397-54-831-7-30-010 TECH EQUIIP FROM 500-4999.99 00594075
GNN6154
17008084 MICROSOFT LIFECHAT LX-3000 HEADSET -
162-11-6399-47-042-7-30-000 GENERAL SUPPLIES 00594077
Status
Status Description
STATE COMPENSATORY 01/19/17
00591989
Amount Paid Acct Amt
0210217333
00591992
GNN5550
17008085 OTTERBOX DEFENDER PROTECTIVE CASE FOR
162-11-6399-00-042-7-24-000 GENERAL SUPPLIES 0210217390
01/26/17
00593617
MEM.MS/DEC.16
134791
172
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CEDILLO NATHANIEL #2006130
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES
981.04 3,639.00 3,639.00 A
ACH
737.16 737.16 A
ACH
30.25 30.25 A
ACH
4,406.41 282.42 282.42 A
ACH
282.42 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 14,671.10 14,671.10 C
Computer
959.00 959.00 C
Computer
72.54 72.54 C
Computer
522.40 522.40 C
Computer
16,225.04 120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Description
Acct Amt
0210217390
01/26/17
134791
CEDILLO NATHANIEL #2006130
0210217392
01/26/17
134708
Total Check per Fund: CERVANTES KATRINA #2019223
00593618
MEM.MS/DEC.16
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 01/26/17
00593619
MEM.MS/DEC.16
138100
Total Check per Fund: DE LA FUENTE FRIDA
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217417 00594205
01/26/17 INV080891
108588
Total Check per Fund: EDMENTUM HOLDINGS INC
17006740 STUDY ISLAND TEXAS 3RD GRADE MATH 51-
0210217431
01/26/17
00593620
MEM.MS/DEC.16
134724
Total Check per Fund: GARZA ALEXANDRIA V. #2006794
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217432
01/26/17
00593621
MEM.MS/DEC.16
134716
Total Check per Fund: GARZA MARIAN #2007849
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES
00593395
01/26/17 4490401216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17007477 HEAVY DUTY PAPER TRAYS LIDS 2 RED 2 B
5045440117
17008264 items for NASA Science Night Event at
0210217505
01/26/17
00593677
MEM.MS/DEC.16
134805
Total Check per Fund: LOPEZ YAHIR #2007708
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES Total Check per Fund: 00593432
01/26/17 610243
137235
01/26/17
17005188 REGISTRATION FEE TO ATTEND THE RGVCTM
00593678
MEM.MS/DEC.16
134740
Total Check per Fund: SALDIVAR MANUEL #2007306
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES 0210217545
01/26/17
00593679
MEM.MS/DEC.16
134775
Computer
120.00 120.00 120.00 C
Computer
120.00 3,768.00 Computer
3,768.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 36.03 Computer
49.95 Computer
85.98 120.00 120.00 C
Computer
120.00
RGVCTM
162-13-6411-32-108-7-30-010 TRAVEL - EMPLOYEES 0210217542
120.00 120.00 C
49.95 C
162-11-6399-54-832-7-30-010 GENERAL SUPPLIES
0210217536
Status Description
120.00
36.03 C
162-11-6399-47-044-7-30-000 GENERAL SUPPLIES 00593396
Status
3,768.00 C
162-11-6399-00-112-7-30-000 GENERAL SUPPLIES
0210217503
Amount Paid
STATE COMPENSATORY
0210217404
173
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SANCHEZ YAARESI #2010436
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES
100.00 100.00 C
Computer
100.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/26/17
134775
SANCHEZ YAARESI #2010436
0210217552
01/26/17
134759
Total Check per Fund: SEGURA AMBER LEE #2004161
00593680
MEM.MS/DEC.16
17001092 STIPEND MONIES TO PAY FOR TUTORING EL
01/26/17 17008161_01-18
131300
Total Check per Fund: SIRIUS EDUCATION SOLUTIONS
17008161
EACH EOC ENGLISH II ALL IN ONE TEACH
17008160_01-18
17008160 EACH ENGLISH II ALL-IN-ONE
STUDENT ED
17006412_12-12
17006412 Students Workbooks for College and Ca
0210217617 00593319
01/26/17 128185
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17005303 TEXAS INSTRUMENTS CALCULATOR REPLACEM
128286
17006076 MATERIALS NEEDED TO DEVELOP AND IMPLEM
0210217637 00594182
01/26/17 10142210230
9529
Total Check per Fund: DELL MARKETING L.P.
17005507 EACH DELL TONER WILL BE TO PRINT MATER
0210217638 00594193
01/26/17 10238A
120219
Total Check per Fund: DOYLENE & ASSOCIATES INC
17009153 ITEMS WILL BE USED IN THE MIDDLE SCHOO
162-11-6395-57-830-7-30-000 FURNITURE & EQUIP - COST < $500.00 0210217642 00594221
01/26/17 DEC. 2016
23112
Total Check per Fund: FLORES HERACLIO
17000275 MILEAGE FORE HERACLIO FLORES FOR THE
0210217643 00593685
01/26/17
22086
6856
00593694
01/26/17 4331299-0
111058
00593724
01/26/17
1,435.52 ACH
1,435.52 145.09 145.09 A
ACH
145.09 113.40
ATTEND TEX PREP MEETING AT UTRGV
25.68
ACH
GARCIA BRENDA
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17007593 Sharpner for Lesson Designed Lab for
49964
ACH
1,418.75
113.40
162-11-6399-54-832-7-30-010 GENERAL SUPPLIES 0210217656
ACH
1,060.00
Total Check per Fund:
162-13-6411-32-831-7-30-010 TRAVEL - EMPLOYEES 0210217647
358.75
113.40 A
162-21-6411-57-831-7-30-000 TRAVEL EMPLOYEE
Computer
6,017.00
1,435.52 A
162-13-6399-27-831-7-30-010 GENERAL SUPPLIES
Computer
5,500.00
1,060.00 A
162-11-6399-02-027-7-30-000 GENERAL SUPPLIES
Computer
242.00
358.75 A
162-11-6399-00-043-7-24-000 GENERAL SUPPLIES 00593320
275.00
5,500.00 C
162-11-6399-54-830-7-30-010 GENERAL SUPPLIES
Computer
120.00
242.00 C
162-11-6399-27-830-7-30-010 GENERAL SUPPLIES 00593860
120.00
275.00 C
162-13-6399-27-830-7-30-010 GENERAL SUPPLIES 00593785
Status Description
120.00
120.00 C
162-11-6413-47-044-7-30-000 STIPEND- NON-EMPLOYEES
00593784
Status
STATE COMPENSATORY
0210217545
0210217560
174
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HOLY COW SCIENCE
ALEJANDRO CARRAN 17009640 Registration for Alejandro Carranza V
162-13-6411-54-832-7-30-010 TRAVEL - EMPLOYEES
25.68 A
ACH
25.68 74.44 74.44 A
ACH
74.44 229.00 229.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
162
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/26/17
49964
HOLY COW SCIENCE
0210217671
01/26/17
15573
LOPEZ BEATRIZ
Total Check per Fund: NOV. 2016
17001910 Mileage for September 2016 - May 2017
162-61-6411-00-906-7-30-000 TRAVEL - EMPLOYEE 01/26/17
0210217694
05618242
00593154
4918
Total Check per Fund: POSITIVE PROMOTIONS
17003856 RIB834P RR16:RIBBON (RD) EXPRESSYOURS
01/26/17 129551
00593426
1519
Total Check per Fund: REGION ONE ESC
17004010 REGISTRATION FEE FOR ELA COORDINATOR A
129551
17004010 REGISTRATION FEE FOR ELA COORDINATORS
162-13-6239-27-831-7-30-010 EDUCATION SERVICE CENTER SERVICES 129551
00593426
17004010 REGISTRATION FEE FOR ELA COORDINATORS
162-13-6239-31-832-7-30-010 EDUCATION SERVICE CENTER SERVICES 129550
00593427
17003432 REGISTRATION FEE FOR HERACLIO FLORES V
162-21-6239-57-832-7-30-000 EDUCATION SERVICE CENTER SERVICES 01/26/17
0210217702
40242
00593435
128660
Total Check per Fund: RIVERA EDUCATIONAL CONSULTING, LLC.
17004238 CONSULTING SERVICES TO GUIDE TEACHERS
162-13-6291-00-048-7-30-000 CONSULTING SERVICES - SPEAKER/TRAININGS 40256
00593438
17004238 CONSULTING SERVICES TO GUIDE TEACHERS
162-13-6291-00-048-7-30-000 CONSULTING SERVICES - SPEAKER/TRAININGS 40246
00593437
17004238 CONSULTING SERVICES TO GUIDE TEACHERS
162-13-6291-00-048-7-30-000 CONSULTING SERVICES - SPEAKER/TRAININGS 40257
00593436
17003861 CONSULTING SERVICES FOR OCTOBER 15, 2
162-13-6291-00-124-7-24-000 CONSULTING SERVICES - SPEAKER/TRAININGS 01/27/17
0210217766
XK1X37T42
00594413
9529
Total Check per Fund: DELL MARKETING L.P.
17003230 EACH DELL C5765DN COLOR LASER PRINTER
162-13-6397-27-831-7-30-010 TECH EQUIP $500-$4999
Fund:
172
0210215865 00587002
00590056
ACH
247.32 6,012.00 ACH
6,012.00 60.00 60.00 A
ACH
60.00 60.00 A
ACH
120.00 120.00 A
ACH
60.00 60.00 A
ACH
300.00 825.00 825.00 A
ACH
825.00 825.00 A
ACH
825.00 825.00 A
ACH
1,650.00 1,650.00 A
ACH
4,125.00 1,911.17 1,911.17 A
Total Check per Fund:
1,911.17
Total Fund:
253,658.38
ACH
STATE BILINGUAL 01/10/17
IN983080
18896
DAHILL INDUSTRIES
17001246 RENTAL OF XEROX 5865APT DIGITAL COPIER
172-21-6269-39-860-7-25-010 RENTALS-OPERATING LEASES 0210216585
247.32
6,012.00 A
162-13-6239-27-830-7-30-010 EDUCATION SERVICE CENTER SERVICES 00593426
Status Description
229.00
247.32 A
162-31-6497-38-901-7-30-010 AWARDS & INCENTIVES 0210217700
Status
STATE COMPENSATORY
0210217656
00593409
01/12/17 3382371
38814
175
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: BARNES & NOBLE, INC.
17006357 DARKNESS BEFORE DAWN (HAZELWOOD HGH TR
172-11-6329-00-007-7-25-000 READING MATERIALS
-355.15 -355.15 CV Computer Void -355.15 383.40 383.40 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
172
Vendor Name
PO No
Description
38814
BARNES & NOBLE, INC.
0210216610
01/12/17
20155
Total Check per Fund: CDW GOVERNMENT, INC.
GFH6799
17005230 TEXAS INSTRUCMENTS TI-NSPIRE CX EZ SPO
172-11-6397-00-044-7-25-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 GKV8030
GKT6052
17007979 EPSON VS345 LCD PROJECTOR
172-11-6397-39-110-7-25-000 TECH EQUIP COST $500-$4,999.99 00590126
GKS0253
17007685 EPSON ELPLP88 REPLACEMENT PROJECT LAM
172-11-6399-39-110-7-25-000 GENERAL SUPPLIES 00590127
GKS0289
GKS9738
00590563
01/12/17 IN1018992
18896
00590656
01/12/17
17001246 RENTAL OF XEROX 5865APT DIGITAL COPIER
NOV. 2016
97616
Total Check per Fund: HERNANDEZ CLAUDIA M.
17001037 INRA DISTRICT MILEAGE FOR CLAUDIA HERN
172-23-6411-00-106-7-25-000 TRAVEL - EMPLOYEE 0210216713 00591218
01/12/17 NOV. 2016
12987
Total Check per Fund: ROSALINDA OCHOA
17000693 MILEAGE FOR ROSALINDA OCHOA LPAC CLER
172-23-6411-00-113-7-25-000 TRAVEL - EMPLOYEE 00591217
DEC. 2016
17000693 MILEAGE FOR ROSALINDA OCHOA LPAC CLER
172-23-6411-00-113-7-25-000 TRAVEL - EMPLOYEE Total Check per Fund: 0210216746 00590349
01/12/17 DEC. 2016
30864
01/12/17
17001133 MILEAGE REIMBURSEMENT (MONTHLY) FOR L
00590388
208117583473
1630
Total Check per Fund: SCHOOL SPECIALTY INC.
17006790 STOREX INTERLOCKING BOOK BINS - ASST.
172-11-6399-00-115-7-25-000 GENERAL SUPPLIES 0210216759 00590398
01/12/17 DEC. 2016
135518
Total Check per Fund: SILVA ALEJANDRA
17002439 MILEAGE REIMBRUSEMENT FOR ALEJANDRA S
172-23-6411-00-007-7-25-000 TRAVEL - EMPLOYEE ONLY 0210216806
01/12/17
106313
Computer
Computer
2,872.74 2,872.74 C
Computer
474.00 Computer
328.75 Computer
1,064.50 Computer
18,922.35 355.15 355.15 C
Computer
355.15 7.56 7.56 C
Computer
7.56 1.08 1.08 C
Computer
1.08 1.08 C
Computer
2.16
SAENZ MARISOL
172-23-6411-39-010-7-25-010 TRAVEL - EMPLOYEE 0210216753
1,165.57 C
1,064.50 C
Total Check per Fund: DAHILL INDUSTRIES
172-21-6269-39-860-7-25-010 RENTALS-OPERATING LEASES 0210216673
13,016.79 13,016.79 C
328.75 C
17007801 CYBER ACOUSTICS ACM-500 HEADPHONES FOR
172-11-6399-00-114-7-25-000 GENERAL SUPPLIES 0210216625
383.40
474.00 C
17007800 OTTERBOX UNLIMITED iPAD AIR 2 PROTECT
172-11-6399-39-042-7-25-000 GENERAL SUPPLIES 00590128
Status Description
1,165.57
17007559
172-11-6397-00-004-7-25-000 TECH EQUIP.500.00-4999.99 00590123
Status
STATE BILINGUAL 01/12/17
00590119
Amount Paid Acct Amt
0210216585
00590129
176
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: YZAGUIRRE EVANGELINA
61.56 61.56 C
Computer
61.56 185.90 185.90 C
Computer
185.90 11.88 11.88 C 11.88
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
172
0210216806 00590477
Acct Amt
00590934
01/12/17 DEC. 2016
106313
FROM SEPT 2016
01/12/17 128247
21388
128515
128021
17005107 CALIFONE DS-9V DISCOVERY HEADSET W/MI
128428
00590971
01/12/17 4420676254
3022
4421434968
109.00 A
Total Check per Fund: APPLE COMPUTER, INC.
17007545 Appl IPads Air 2 WIFI-TABLET 32 GB SI
4414252944
00590981
01/12/17 033374
189
17007012 EPSON - POWERLITE X27 - VIDEO PROJECTO
172-11-6397-00-115-7-25-000 TECH EQUIP FROM 500-4999.99 0210216836 00590214
01/12/17 XK1XDX1C6
9529
XK1XK9MF1
00590240
01/12/17 10211
120219
10229
4,399.06 A
Total Check per Fund: DOYLENE & ASSOCIATES INC
17002568 FIRE 7"KINDLES DISPLAY WI-FI 8 GB - IN
00590205
01/12/17 95326665001
17007150 Nuevo Diccionario basico de la
lengu
0210216857
01/12/17
5,935.12 A
17003110 LAS LINKS K-1 A BOOK 25 PER PACK
3,318.02
57002
Total Check per Fund: INSIGHT PUBLIC SECTORS, INC.
ACH
5,935.12
7,860.12
172-11-6339-00-113-7-25-000 TESTING MATERIALS
ACH
1,925.00
Total Check per Fund: DATA RECOGNITION CORPORATION
124583
ACH
5,272.98
1,925.00 A
172-11-6329-39-860-7-25-010 READING MATERIALS 0210216839
ACH
3,591.00
873.92 A
172-11-6397-00-115-7-25-000 TECH EQUIP FROM 500-4999.99 00590237
3,591.00
4,399.06
17003229 DELL TW3NN 4000 PAGE CYAN TONER
172-11-6399-00-112-7-25-000 GENERAL SUPPLIES 0210216838
ACH
2,990.00
873.92
17003229 DELL TW3NN 4000 PAGE CYAN TONER
172-11-6399-00-112-7-25-000 GENERAL SUPPLIES 00590215
ACH
620.00
3,591.00 A
Total Check per Fund: DELL MARKETING L.P.
ACH
1,875.00
620.00 A Total Check per Fund: AUDIO VISUAL AIDS CORP.
ACH
495.00
1,875.00 A
17006531 Smart Keyboard for 12.9-inch iPad Pro
172-11-6395-39-860-7-25-010 0210216817
ACH
3,783.00
495.00 A
17007545 Appl IPads Air 2 WIFI-TABLET 32 GB SI
172-11-6397-00-046-7-25-000 TECH EQUIP COST $500-$4,999.99 00590968
ACH
2,516.00 109.00
172-11-6397-00-046-7-25-000 TECH EQUIP COST $500-$4,999.99 00590970
ACH
638.00
2,516.00 A
17006708 DELL 2150 IMAGING DRUM KIT
172-11-6399-00-115-7-25-000 GENERAL SUPPLIES 0210216816
520.00
638.00 A
17003898 HP 410X HIGH YIELD BLACK ORIGINAL LAS
Computer
10.26
520.00 A
17007537 WPP COMPATIBLE DELL 2130 HIGH YIELD MA
172-11-6399-00-114-7-25-000 GENERAL SUPPLIES 00590923
10.26 10.26 C
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
172-11-6399-00-122-7-25-000 GENERAL SUPPLIES 00590930
Status Description
YZAGUIRRE EVANGELINA
17000765 MILAGE REIMBURSEMENT
172-11-6399-00-049-7-25-000 GENERAL SUPPLIES 00590932
Status
STATE BILINGUAL
172-23-6411-00-109-7-25-000 TRAVEL - EMPLOYEE 0210216810
FPREG02B
A/P Detail Check Register By Fund Vendor No
177
3,318.02 A 3,318.02
ACH
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
172
0210216857 00590662
Acct Amt
00590703
01/12/17 1100512272
57002
00590999
FO
01/12/17 S301067
96920
Total Check per Fund: QUIA SUBSCRIPTIONS DEPARTMENT
17007370 IXL SITE LICENSE (GRADES K-2ND) SUBJE
01/12/17 DEC. 2016
99570
00591000
01/12/17
17000663 MILEAGE FOR LPAC CLERK DENISE LONGORIA
DEC. 2016
110574
Total Check per Fund: LOPEZ ANAYANSI
17001085 MILEAGE REIMBURSEMENT FOR LPAC CLERK A
172-23-6411-00-044-7-25-000 EMPLOYEE TRAVEL
00591148
01/12/17 DEC. 2016
3146
00591221
01/12/17
17000694 Mileage reimbursement(monthly)for Bil
I0488797
29033
Total Check per Fund: MASTERY EDUCATION
17007226 TXMU DELUX EOC ENGLISH 1 STUDENT WORKB
172-11-6399-00-004-7-25-000 GENERAL SUPPLIES
00590400
01/12/17 OCT. 2016
19846
00590423
01/12/17
17002735 LPAC CLERK IN-DISTRICT MILEAGE FROM S
SEPT. 2016
82155
Total Check per Fund: SUAREZ CLAUDIA
17001143 YEARLY MILEAGE FOR CLAUDIA SUARES LPA
172-23-6411-00-122-7-25-000 TRAVEL - EMPLOYEE ONLY Total Check per Fund: 0210216949 00590483
01/12/17 DEC. 2016
12559
00592498
01/19/17
17000766 Mileage monthly reimbursement for Bil
128317
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17006201 WPP COMPATIBLE DELL C3760 HIGH YIELD B
172-11-6399-00-121-7-25-000 GENERAL SUPPLIES 00592496
128658
17008396 BLACK TONER 3460 FOR LPAC CLERK PRINT
172-23-6399-00-113-7-25-000 GENERAL SUPPLIES 0210217176 00592506
01/19/17 4421457026
3022
68.04 68.04 A
ACH
68.04 94.50 ACH
94.50 144.72 144.72 A
ACH
144.72 2,797.20 ACH
2,797.20 15.12 15.12 A
ACH
15.12 15.66 15.66 A
ACH
15.66
ZUNIGA IRMA
172-21-6411-39-860-7-25-010 TRAVEL - EMPLOYEES 0210217173
ACH
3,683.00
SOLIS ALICIA
172-23-6411-00-049-7-25-000 TRAVEL - EMPLOYEE 0210216937
3,683.00
2,797.20 A Total Check per Fund:
0210216933
ACH
733.00
OLVERA JUAN
172-21-6411-39-860-7-25-010 TRAVEL - EMPLOYEES 0210216900
733.00 A
94.50 A Total Check per Fund:
0210216899
733.00
3,683.00 A
Total Check per Fund: LONGORIA DENISE
172-23-6411-00-105-7-25-000 TRAVEL - EMPLOYEE 0210216870
Status Description
INSIGHT PUBLIC SECTORS, INC.
17004392 Dell Latitude 3450 Laptop computer
172-11-6399-00-114-7-25-000 GENERAL SUPPLIES 0210216869
Status
STATE BILINGUAL
172-13-6397-39-041-7-25-010 TECH EQUIP $500 - $4999 0210216859
FPREG02B
A/P Detail Check Register By Fund Vendor No
178
Total Check per Fund: APPLE COMPUTER, INC.
17006531 Silicone Case for 12.9-inch iPad Pro
88.02 88.02 A
ACH
88.02 1,755.00 1,755.00 A
ACH
139.00 139.00 A 1,894.00 292.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
172
0210217176 00592506
Acct Amt
01/19/17 4421457026
3022
292.00
4422669001
292.00 A
4423252085
2,079.00 A
00592547
AL011717-01
12277
5,649.00 A
00592288
01/19/17
ARGOT LTD. 2,000.00
17002230 Beginning/Intermediate Report
4336974-0
111058
2,000.00 A
17007596 31450
4347331-0
620.06
PIL PEN, FRIXION CLIKR E
620.06 A
00592309
01/19/17 DEC. 2016
21040
79.81 A
00592351
01/19/17 1100514792
17000623 Mileage reimbursement (monthly) for B
57002
00592529
01/19/17
12536
FO
Total Check per Fund: RODRIGUEZ ISAIAS C.
002/1/9-10/12-1 17000191 Individual Campus Coaching - Early Ch
172-13-6291-39-860-7-25-010 CONSULTANT SERVICES Total Check per Fund: 0210217253 00592542
01/19/17 DEC. 2016
97691
00591924
01/19/17
17002193 MILEAGE FOR ALMA VASQUEZ LPAC CLERK V
130567
20052
Total Check per Fund: CHILDREN'S PLUS,INC.
17005591 Classroom books see attached list
172-11-6329-00-122-7-25-000 READING MATERIALS 0210217342 00591968
01/19/17 95473734001
124583
Total Check per Fund: DATA RECOGNITION CORPORATION
17007696 P[RE LAS 2000 - FORM C SCANNABLE SCOR
172-11-6339-00-102-7-25-000 TESTING MATERIALS 0210217374
01/26/17
131148
58.00 58.00 A
ACH
58.00 4,800.00 4,800.00 A
ACH
4,800.00
VASQUEZ ALMA
172-23-6411-00-046-7-25-000 TRAVEL - EMPLOYEE ONLY 0210217286
ACH
50.22
172-13-6397-39-041-7-25-010 TECH EQUIP $500 - $4999 0210217243
50.22 50.22 A
Total Check per Fund: INSIGHT PUBLIC SECTORS, INC.
17004392 Dell Latitude 3450 Laptop computer
ACH
699.87
Total Check per Fund: GOMEZ PEREZ CLAUDIA M.
172-21-6411-39-860-7-25-010 TRAVEL - EMPLOYEES 0210217211
ACH
79.81
17008427 BLACK PENS FINE POINT TRIUMPH ROLLER
172-23-6399-00-113-7-25-000 GENERAL SUPPLIES 0210217194
ACH
2,000.00
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
172-23-6399-00-124-7-25-000 GENERAL SUPPLIES 00592282
ACH
8,020.00
172-31-6299-39-860-7-25-010 MISC CONTRACTED SERVICES 0210217191
ACH
5,649.00
17008311 I-PAD MINI 2 TO ENRICH DUAL LANGUAGE
Total Check per Fund: 01/19/17
ACH
2,079.00
17008311 I-PAD MINI 2 TO ENRICH DUAL LANGUAGE
172-11-6397-00-114-7-25-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217177
Status Description
APPLE COMPUTER, INC.
17006531 Silicone Case for 12.9-inch iPad Pro
172-11-6397-00-114-7-25-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00592507
Status
STATE BILINGUAL
172-11-6399-39-860-7-25-010 GENERAL SUPPLIES 00592508
FPREG02B
A/P Detail Check Register By Fund Vendor No
179
Total Check per Fund: BRILLIANT EDUCATION
7.56 7.56 A
ACH
7.56 2,069.19 2,069.19 C
Computer
2,069.19 796.34 796.34 A 796.34
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
172
0210217374 00594044
Vendor Name
PO No
Description
Acct Amt
01/26/17
131148
00593863
01/26/17 110-8851
17267
Total Check per Fund: TECHNICAL LABORATORY SYSTEMS, INC.
17005282 ONLINE SCIENCE SOFTWARE LICENSES (1,0
172-11-6399-54-832-7-25-010 GENERAL SUPPLIES 0210217612 00593849
01/26/17 28827
113514
Total Check per Fund: WORLD WIDE IMAGING SUPPLIES
17007245 Dell B2360D/B3460DN/B3465DN Black Las
172-11-6399-39-108-7-25-000 GENERAL SUPPLIES 0210217617 00593321
01/26/17 128659
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17008218 CARRYNG CASE FOR I-PAD MINI 4 FOR I-PA
172-11-6399-00-114-7-25-000 GENERAL SUPPLIES 0210217622 00593374
01/26/17 4409121988
3022
Total Check per Fund: APPLE COMPUTER, INC.
17004299 IPAID AIR 2 WI-FI 32GB - GOLD
172-11-6397-00-102-7-25-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00593375
4423123648
17007961 OTTERBOX BOX UNLIMITED IPAD AIR 2 PRO
172-11-6399-00-046-7-25-000 GENERAL SUPPLIES 00593377
4423452113
17008309 IPAD AIR 2 WI-FI 32GB SPACE GRAY
172-11-6397-39-045-7-25-000 TECH EQUIP COST $500-$4,999.99 00593378
4423109183
17008309 IPAD AIR 2 WI-FI 32GB SPACE GRAY
172-11-6397-39-045-7-25-000 TECH EQUIP COST $500-$4,999.99 00593379
4423451855
17007963 iPAD AIR 2 WI-FI 32 GB - SPACE GRAY -
172-11-6397-39-042-7-25-000 TECH EQUIP COST $500-$4,999.99 00593380
4420676256
17007963 iPAD AIR 2 WI-FI 32 GB - SPACE GRAY -
172-11-6397-39-042-7-25-000 TECH EQUIP COST $500-$4,999.99 00593381
4423451854
17007962 IPAD AIR 2 WIFI 32 GB SPACE GRAY
172-11-6397-39-048-7-25-000 TECH EQUIP COST $500-$4,999.99 00593382
4423086486
17007962 IPAD AIR 2 WIFI 32 GB SPACE GRAY
172-11-6397-39-048-7-25-000 TECH EQUIP COST $500-$4,999.99 00593383
4405270456
17003026 Silicone Case for 12.9-inch iPad Pro
172-21-6399-39-860-7-25-010 GENERAL SUPPLIES 0210217637 00594179
01/26/17 10142675348
9529
Total Check per Fund: DELL MARKETING L.P.
17008782 DEL OPTIPLEX 7040 SFF DESTOP WITH 22
172-11-6397-00-045-7-25-000 TECH EQUIP FROM 500 - 4999.99 0210217647 00593557
Status
Status Description
BRILLIANT EDUCATION
17008500 ON TRACK STUDENT EDITION
172-11-6399-00-127-7-25-000 GENERAL SUPPLIES 0210217572
Amount Paid
STATE BILINGUAL
313
01/26/17 4325643-0
111058
180
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17006551 B8 Impulse 45 Electric Stapler, 45- Sh
172-23-6395-39-108-7-25-010 FURN & EQUIP COST <$500.00
4,432.42 4,432.42 C
Computer
4,432.42 113,500.00 113,500.00 C
Computer
113,500.00 1,332.00 1,332.00 C
Computer
1,332.00 488.25 488.25 A
ACH
488.25 14,220.00 14,220.00 A
ACH
320.00 320.00 A
ACH
3,750.00 3,750.00 A
ACH
990.00 990.00 A
ACH
1,875.00 1,875.00 A
ACH
495.00 495.00 A
ACH
5,625.00 5,625.00 A
ACH
1,485.00 1,485.00 A
ACH
292.00 292.00 A
ACH
29,052.00 7,111.61 7,111.61 A
ACH
7,111.61 74.15 74.15 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
172
0210217647 00593553
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/26/17
111058
00593624
SMD FOLDER, FILE, POLY, COL
01/26/17 7393
11060
00593592
01/26/17
17005934 READING COMPLETE SET GRADE 2 (2 APPET
INV25622
103314
17007473 Imagine Leanring Annual License
00593420
01/26/17 51439
20500
17006299 SPANISH SKILL BY SKILL- GRADE 2
172-11-6329-00-127-7-25-000 READING MATERIALS 0210217700 00593429
01/26/17 129557
1519
Total Check per Fund: REGION ONE ESC
17006053 REGISTRATION FEE FOR CHRISTINA M.ROMER
129554
172-13-6239-39-043-7-25-000 EDUCATION SERVICE CENTER SERVICES 00593424
129553
129552
17005653 REGION ONE WORD CONFERENCE:
172-13-6239-39-048-7-25-000 EDUCATION SERVICE CENTER SERVICES 0210217704 00593441
01/26/17
12536
Total Check per Fund: RODRIGUEZ ISAIAS C.
002/1-16/20/201 17000191 Individual Campus Coaching - Early Ch
172-13-6291-39-860-7-25-010 CONSULTANT SERVICES 00593440
002/1/23-26/201 17000191 Individual Campus Coaching - Early Ch
172-13-6291-39-860-7-25-010 CONSULTANT SERVICES 0210217711 00593794
01/26/17 OCT. 2016
82155
Total Check per Fund: SUAREZ CLAUDIA
17001143 YEARLY MILEAGE FOR CLAUDIA SUARES LPA
172-23-6411-00-122-7-25-000 TRAVEL - EMPLOYEE ONLY 00593792
NOV. 2016
17001143 YEARLY MILEAGE FOR CLAUDIA SUARES LPA
172-23-6411-00-122-7-25-000 TRAVEL - EMPLOYEE ONLY 00593793
DEC. 2016
17001143 YEARLY MILEAGE FOR CLAUDIA SUARES LPA
172-23-6411-00-122-7-25-000 TRAVEL - EMPLOYEE ONLY 0210217764 00594451
01/27/17 4424155529
3022
Total Check per Fund: APPLE COMPUTER, INC.
17008725 IPAD AIR 2 WI-FI 32GB - SPACE GRAY TO
172-11-6397-39-043-7-25-000 TECH EQUIP COST $500-$4,999.99
1,901.00 ACH
1,901.00 60.00 ACH
60.00 ACH
60.00 60.00 A
HOW TO R
ACH
2,700.00
60.00 A
17005654 ESL SPECIALIST TO ATTEND WORD CONFEREN
172-13-6239-39-042-7-25-000 EDUCATION SERVICE CENTER SERVICES 00593425
2,700.00
60.00 A
17005655 REGION I TRAINING WORD CONGERENCE WOR
ACH
3,619.00
1,901.00 A
172-13-6239-39-041-7-25-000 EDUCATION SERVICE CENTER SERVICES 00593423
3,619.00
2,700.00 A
Total Check per Fund: RALLY! EDUCATION
ACH
857.85
3,619.00 A
Total Check per Fund: IMAGINE LEARNING, INC.
172-11-6399-39-108-7-25-000 GENERAL SUPPLIES 0210217698
783.70 783.70 A
Total Check per Fund: GOURMET CURRICULUM PRESS, INC.
172-11-6329-00-120-7-25-000 READING MATERIALS 0210217657
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
17009362 10530
172-23-6399-00-124-7-25-000 GENERAL SUPPLIES 0210217649
Status
STATE BILINGUAL
4355002-0
181
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
60.00 60.00 A
ACH
240.00 2,400.00 2,400.00 A
ACH
4,800.00 4,800.00 A
ACH
7,200.00 12.96 12.96 A
ACH
12.96 12.96 A
ACH
12.96 12.96 A
ACH
38.88 4,740.00 4,740.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
172
Vendor Name
PO No
Amount Paid
Description
Fund:
181
0210215865 00586884
Acct Amt
3022
Total Check per Fund:
4,740.00
Total Fund:
251,647.64
ATHLETIC FUND 01/10/17
IN865724
18896
DAHILL INDUSTRIES
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
IN906532
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
181-36-6269-00-863-7-91-010 RENTALS-OPERATING LEASES 00586886
IN945212
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
181-36-6269-00-863-7-91-010 RENTALS-OPERATING LEASES 00587007
IN983059
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
181-36-6269-00-863-7-91-010 RENTALS-OPERATING LEASES Total Check per Fund: 0210215934 00587179
01/13/17
64351
00588857
01/13/17
28215
01-05-2015
Total Check per Fund: BIANCA
PALOMINE
AUSTIN, TEXAS
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 0210216546 00589718
01/05/17
28215
01-05-2017
PALOMIN
Total Check per Fund: BIANCA
AUSTIN TEXAS
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 0210216550 00589733
01/09/17 1017
478
Total Check per Fund: CORNISH MEDICAL ELECTRONICS
17003586 THIS ORDER IS FOR LA JOYA HS ATHLETIC
181-36-6399-01-001-7-91-010 GENERAL SUPPLIES
00590063
01/12/17 778
137790
776
17005412 THIS ORDER IS FOR LA JOYA HS POWERLIF
777
00590088
98551007
3059
98307480
-500.00 -500.00 CV Computer Void -500.00 -924.00 -924.00 CV Computer Void -924.00 924.00 924.00 C
Computer
924.00 56.95 Computer
56.95 1,476.86 Computer
632.94 Computer
1,054.90 Computer
3,164.70
BSN SPORTS
17007130 THIS ORDER IS FOR PALMVIEW HS BOYS BA
181-36-6399-02-863-7-91-010 GENERAL SUPPLIES 00590089
-395.36 CV Computer Void -1,581.44
1,054.90 C Total Check per Fund:
01/12/17
-395.36
632.94 C
17005413 THIS ORDER IS FOR PALMVIEW HS POWERLI
181-36-6399-90-007-7-91-010 GENERAL SUPPLIES 0210216593
-395.36 -395.36 CV Computer Void
1,476.86 C
17005411 THIS ORDER IS FOR JUAREZ-LINCOLN HS PO
181-36-6399-90-004-7-91-010 GENERAL SUPPLIES 00590062
-395.36 -395.36 CV Computer Void
BENCH DADDY
181-36-6399-90-001-7-91-010 GENERAL SUPPLIES 00590061
-395.36 CV Computer Void
56.95 C Total Check per Fund:
0210216587
-395.36
RGVGCA
LJHS/2/17-18/16 17006965 THIS ORDER IS FOR LA JOYA HS: 2017 RGV
181-36-6412-81-001-7-91-011 TRAVEL - STUDENTS 0210216315
Status Description
APPLE COMPUTER, INC.
181-36-6269-00-863-7-91-010 RENTALS-OPERATING LEASES 00586885
Status
STATE BILINGUAL 01/27/17
0210217764
182
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002028 THIS ORDER IS FOR LA JOYAISD ATHLETIC
181-36-6399-00-863-7-91-010 GENERAL SUPPLIES
510.00 510.00 C
Computer
275.17 275.17 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210216593 00590090
Vendor Name
PO No
Description
Acct Amt
01/12/17
3059
00590099
01/12/17 12-15-2016
120065
Total Check per Fund: CANTU COREY A.
17008229 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES 0210216601 00590101
01/12/17 12-13-2016
6300
Total Check per Fund: CARDENAS DOROTEA
17008328 GAMEWORKER SERVICES FOR PALMVIEW HS V
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 00590102
12-16-2016
17008328 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210216606 00590107
01/12/17 12-09-2016
68667
Total Check per Fund: CASTANEDA JORGE
17008230 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210216607 00590108
01/12/17 12-13-2016
20570
Total Check per Fund: CASTILLO TONY JR.
17008231 OFFICIAL SERVICES FOR PALMVIEW HIGH SH
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216608 00590109
01/12/17 12-17-2016
121525
17008232 OFFICIAL SERVICES FOR MIDDLE SCHOOL BO
Total Check per Fund: 00589792
01/12/17 0183716600
23200
0183716498
17007458
17007458
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00589808
0183716602
17007458
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00589809
0183716593
17007458
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00589810
0183716485
17007458
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00589811
0183716605
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589812
0183716492
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589813
0183716493
5,690.00 5,690.00 C
Computer
6,475.17 84.16 84.16 C
Computer
84.16 25.00 25.00 C
Computer
25.00 25.00 C
Computer
50.00 120.00 120.00 C
Computer
120.00 120.00 120.00 C
Computer
120.00 200.00 200.00 C
Computer
200.00
CHICK-FIL-A
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00589793
Status Description
CASTRO JOSE
181-36-6299-77-045-7-91-010 MISC CONTRACTED SERVICES 0210216616
Status
BSN SPORTS
17003573 THIS ORDER IS FOR LA JOYA ISD STADIUM
181-36-6395-00-863-7-91-010 FURN & EQUIP <$500 UNIT COST 0210216599
Amount Paid
ATHLETIC FUND
98392581
183
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS
126.50 126.50 C
Computer
66.00 66.00 C
Computer
110.00 110.00 C
Computer
110.00 110.00 C
Computer
104.50 104.50 C
Computer
110.00 110.00 C
Computer
55.00 55.00 C
Computer
82.50 82.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210216616 00589814
Vendor Name
PO No
Description
Acct Amt
01/12/17
23200
0183716570
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589816
0183716583
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589807
0183716580
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589806
0183716581
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589805
0183716480
17007458
181-36-6412-73-048-7-91-010 TRAVEL - STUDENTS 00589804
0183716495
17007458
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00589803
0183716619
17007458
181-36-6412-74-001-7-91-010 TRAVEL - STUDENTS 00589802
0183716572
17007458
181-36-6412-74-001-7-91-010 TRAVEL - STUDENTS 00589801
0183716603
17007458
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00589800
0183716639
17007458
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00589799
0183716488
17007458
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00589798
0183716489
17007458
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00589797
0183716622
17007458
181-36-6412-77-045-7-91-010 TRAVEL - STUDENTS 00589796
0183716491
17007458
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00589795
0183716569
17007458
181-36-6412-84-001-7-91-010 TRAVEL - STUDENTS 00589794
0183716573
17007458
181-36-6412-88-001-7-91-010 TRAVEL - STUDENTS 0210216621 00590188
01/12/17 12-12-2016
53619
Total Check per Fund: CORTEZ EDUARDO A.
17008242 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216625 00590569
Status
Status Description
CHICK-FIL-A
17007458
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00589815
Amount Paid
ATHLETIC FUND
0183716499
01/12/17 IN1018971
18896
184
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DAHILL INDUSTRIES
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
71.50 71.50 C
Computer
77.00 77.00 C
Computer
143.00 143.00 C
Computer
49.50 49.50 C
Computer
77.00 77.00 C
Computer
192.50 192.50 C
Computer
181.50 181.50 C
Computer
49.50 49.50 C
Computer
66.00 66.00 C
Computer
82.50 82.50 C
Computer
115.50 115.50 C
Computer
92.00 92.00 C
Computer
92.00 92.00 C
Computer
242.00 242.00 C
Computer
275.00 275.00 C
Computer
176.00 176.00 C
Computer
71.50 71.50 C
Computer
2,818.50 74.48 74.48 C 74.48 395.36
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210216625 00590569
Vendor Name
PO No
Description
Acct Amt
01/12/17
18896
00589995
01/12/17 954802
67423
Total Check per Fund: LYNN LEE INC. DAIRY QUEEN
17007461
181-36-6412-68-001-7-91-010 TRAVEL - STUDENTS 00590035
954471
17007461
181-36-6412-68-001-7-91-010 TRAVEL - STUDENTS 00589997
956673
17007461
181-36-6412-70-041-7-91-010 TRAVEL - STUDENTS 00589998
956672
17007461
181-36-6412-71-041-7-91-010 TRAVEL - STUDENTS 00589999
956689
17007461
181-36-6412-70-042-7-91-010 TRAVEL - STUDENTS 00590000
956680
17007461
181-36-6412-70-048-7-91-010 TRAVEL - STUDENTS 00590001
956685
17007461
181-36-6412-71-048-7-91-010 TRAVEL - STUDENTS 00590002
957301
17007461
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00590003
957244
17007461
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00590004
955214
17007461
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00590005
#0 EDIN
17007461
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00590006
954793
17007461
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00590007
955341
17007461
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00590008
957896
17007461
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00590009
955213
17007461
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00590010
956803
17007461
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00590011
955286
17007461
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00590012
955050
17007461
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00590013
Status
Status Description
DAHILL INDUSTRIES
17001566 RENTAL OF XEROX 7845APT COLOR COPIER
181-36-6269-00-863-7-91-010 RENTALS-OPERATING LEASES 0210216626
Amount Paid
ATHLETIC FUND
IN1018971
954566
185
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007461
395.36 395.36 C
Computer
395.36 330.00 330.00 C
Computer
330.00 330.00 C
Computer
110.00 110.00 C
Computer
88.00 88.00 C
Computer
192.50 192.50 C
Computer
154.00 154.00 C
Computer
154.00 154.00 C
Computer
138.00 138.00 C
Computer
82.50 82.50 C
Computer
84.00 84.00 C
Computer
123.50 123.50 C
Computer
84.00 84.00 C
Computer
108.00 108.00 C
Computer
126.50 126.50 C
Computer
55.00 55.00 C
Computer
302.50 302.50 C
Computer
44.00 44.00 C
Computer
66.00 66.00 C 148.50
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210216626 00590013
Vendor Name
PO No
Description
Acct Amt
01/12/17
67423
955089
17007461
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00590015
955081
17007461
181-36-6412-73-044-7-91-010 TRAVEL - STUDENTS 00590016
955042
17007461
181-36-6412-73-044-7-91-010 TRAVEL - STUDENTS 00590017
957902
17007461
181-36-6412-73-044-7-91-010 TRAVEL - STUDENTS 00590018
956928
17007461
181-36-6412-73-044-7-91-010 TRAVEL - STUDENTS 00590019
955054
17007461
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS 00590020
955021
17007461
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS 00590021
955009
17007461
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS 00590022
955078
17007461
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00590023
MISN-0442
17007461
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00590024
955283
17007461
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00590025
MISN-0887
17007461
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00590026
958044
17007461
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00590027
955250
17007461
181-36-6412-77-041-7-91-010 TRAVEL - STUDENTS 00590028
958077
17007461
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00590029
958043
17007461
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00590030
955242
17007461
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00590031
955318
17007461
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00590032
954730
17007461
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00590033
Status
Status Description
LYNN LEE INC. DAIRY QUEEN
17007461
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00590014
Amount Paid
ATHLETIC FUND
954566
954568
186
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007461
148.50 148.50 C
Computer
71.50 71.50 C
Computer
71.50 71.50 C
Computer
77.00 77.00 C
Computer
302.50 302.50 C
Computer
121.00 121.00 C
Computer
55.00 55.00 C
Computer
77.00 77.00 C
Computer
236.50 236.50 C
Computer
60.50 60.50 C
Computer
154.00 154.00 C
Computer
66.00 66.00 C
Computer
110.00 110.00 C
Computer
198.00 198.00 C
Computer
247.50 247.50 C
Computer
132.00 132.00 C
Computer
115.50 115.50 C
Computer
115.50 115.50 C
Computer
126.50 126.50 C
Computer
121.00 121.00 C 242.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210216626 00590033
Vendor Name
PO No
Description
Acct Amt
01/12/17
67423
954925
957899
00590223
12-02-2016
138630
12-03-2016
17008415 OFFICIAL SERVICES FOR MIDDLE SCHOOL G
17008416 OFFICIAL SERVICES FOR GARCIA MS GIRLS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210216642 00590249
01/12/17 12-12-2016
100986
Total Check per Fund: EARHART DARREN
17008246 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210216645 00590260
01/12/17 12-19-2016
121550
Total Check per Fund: ESQUIVEL JUAN CARLOS
17008422 OFFICIAL SERVICES FOR DR SAENZ MS BOY
181-36-6299-77-043-7-91-010 MISC CONTRACTED SERVICES 0210216659 00590611
01/12/17 12/09/16
19791
Total Check per Fund: GARCIA ARNOLDO
17008251 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210216660 00590612
01/12/17 12-17-16
81019
Total Check per Fund: GARCIA GUSTAVO
17008252 OFFICIAL SERVICES FOR MIDDLE SCHOOL BO
181-36-6299-77-042-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216664 00590616
01/12/17 12/16/16
100773
00590620
01/12/17
17008253 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
12/13/16
6382
Total Check per Fund: GLASPER CURTIS
17008255 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216668 00590626
01/12/17 12/13/16
28223
GOMEZ
OSCAR
Total Check per Fund: J.
17008256 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216684
01/12/17
40657
Computer
242.00 C
Computer
5,894.50 70.00 70.00 C
Computer
105.00 105.00 C
Computer
175.00 59.84 59.84 C
Computer
59.84 60.66 60.66 C
Computer
60.66 198.30 198.30 C
Computer
198.30 150.00 150.00 C
Computer
150.00
GARZA ROBERT
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210216666
231.00 C
DIAZ ROLANDO
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 00590224
Computer
242.00
17007461
Total Check per Fund: 01/12/17
242.00 C 231.00
17007461
181-36-6412-77-048-7-91-010 TRAVEL - STUDENTS 0210216632
Status Description
242.00
181-36-6412-77-048-7-91-010 TRAVEL - STUDENTS 00589996
Status
LYNN LEE INC. DAIRY QUEEN
17007461
181-36-6412-77-048-7-91-010 TRAVEL - STUDENTS 00590034
Amount Paid
ATHLETIC FUND
954568
187
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
HOLLOWAY BURT
147.00 147.00 C
Computer
147.00 135.58 135.58 C
Computer
135.58 206.40 206.40 C 206.40
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210216684 00590658
Vendor Name Description
Acct Amt
01/12/17
40657
12-12-16
17008260 OFFICIAL SERVICES FOR LA JOYA HIGH SHO
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216690 00590989
01/12/17 12-13-2016
27529
Total Check per Fund: LAYTON RENE C.
17008265 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210216693 00591003
01/12/17 12-10-2016
138304
Total Check per Fund: LOPEZ JOHNNIE LEE
17008266 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216694 00591004
01/12/17 12-5-2016
110558
00591219
01/12/17 12-03-2016
138665
Total Check per Fund: MARTINEZ JOSE MANUEL III
17008445 OFFICIAL SERVICES FOR DE ZAVALA MS GIR
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216710 00591249
01/12/17 12-03-2016
138690
12-02-2016
17008449 OFFICIAL SERVICES FOR MIDDLE SCHOOL G
17008448 OFFICIAL SERVICES FOR DE ZAVALA MS GIR
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216711 00591250
01/12/17 12-08-2016
138673
12-02-2016
17008450 OFFICIAL SERVICES FOR MEMORIAL MS GIR
17008451 OFFICIAL SERVICES FOR GARCIA MS GIRLS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210216716 00591323
01/12/17 12-01-2016
138703
Total Check per Fund: PALOMARES ROBERTO
17008454 OFFICIAL SERVICES FOR GARCIA MS GIRLS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 00591324
12-02-2016
17008453 OFFICIAL SERVICES FOR CHAVEZ MS BOYS B
181-36-6299-72-042-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210216719 00591152
01/12/17 12-12-2016
66702
110.25 C
Computer
112.30 112.30 C
Computer
222.55 136.40 136.40 C
Computer
136.40 50.00 50.00 C
Computer
50.00 123.78 123.78 C
Computer
123.78 70.00 70.00 C
Computer
70.00 70.00 70.00 C
Computer
70.00 70.00 C
Computer
140.00
NEVAREZ HERMI
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 00591251
110.25
NEUTZE LOUIS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 00591248
Status Description
LOPEZ JUAN
17008267 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216697
Status
HOLLOWAY BURT
17008260 OFFICIAL SERVICES FOR LA JOYA HIGH SHO
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00590657
Amount Paid
ATHLETIC FUND
12-05-16
188
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
70.00 70.00 C
Computer
70.00 70.00 C
Computer
140.00 70.00 70.00 C
Computer
70.00 70.00 C
Computer
140.00
PEDRAZA NOEL
17008273 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES
120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
181
0210216719 00591151
Acct Amt
00591214
01/12/17 12-09-2016
66702
01/12/17 5275
20846
01/12/17 12-12-2016
4,374.57 4,374.57 C
RAMOS RODRIGO
17008276 OFFICIAL SERVICES FOR PALMVIEW HIGH S
00591037
12-12-2016
66044
00591040
01/12/17
60.25
17008279 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
12-17-2016
130311
00590350
01/12/17 12-13-2016
150.00 150.00 C
00590389
01/12/17
Total Check per Fund: SAENZ REYNALDO
17008280 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
12-19-2016
101176
00590391
01/12/17 6017
DU
00590434
12-08-2016
110345
00590458
01/12/17
17008471 OFFICIAL SERVICES FOR SALINAS MS GIRL
39353
101125
Total Check per Fund: TITAN SUPPORT SYSTEMS, INC.
17005385 THIS ORDER IS FOR LA JOYA HS POWERLIF
181-36-6399-90-001-7-91-010 GENERAL SUPPLIES
00590459
01/12/17 12-13-2016
55972
721.60 70.00 70.00 C
Computer
70.00 1,526.00 1,526.00 C
Total Check per Fund: 0210216783
Computer
TAMEZ MARIO
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210216782
721.60 721.60 C
Total Check per Fund: 01/12/17
Computer
61.48
181-36-6399-00-863-7-91-010 GENERAL SUPPLIES 0210216772
61.48 61.48 C
Total Check per Fund: SHARE CORPORATION
17007924 THIS ORDER IS FOR LJISD GYM FLOORS
Computer
120.00
17008470 OFFICIAL SERIVCES FOR DR SAENZ MS BOY
12465
120.00 120.00 C
Total Check per Fund: SEGURA ALEJANDRO
181-36-6299-77-043-7-91-010 MISC CONTRACTED SERVICES 0210216756
Computer
150.00
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216754
Computer
50.00
Total Check per Fund: ROBLES ALFREDO
17008465 OFFICIAL SERVICES FOR CHAVEZ MS BOYS
10783
50.00 50.00 C
181-36-6299-77-042-7-91-010 MISC CONTRACTED SERVICES 0210216747
Computer
RIOS MARK
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216742
60.25 60.25 C
Total Check per Fund: 01/12/17
Computer
4,374.57
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210216741
Computer
234.76
17007183 THIS ORDER IS FOR LA JOYA ISD MIDDLE
129313
114.76 114.76 C
Total Check per Fund: QUALITY HARDWOOD FLOORS, INC.
Total Check per Fund: 00591024
Status Description
PEDRAZA NOEL
17008273 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6249-01-863-7-91-010 CONTRACTED MAINT & REPAIR 0210216737
Status
ATHLETIC FUND
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210216733
FPREG02B
A/P Detail Check Register By Fund Vendor No
189
Computer
1,526.00
TORRES JULIO
17008288 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES
120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
181
Acct Amt
01/12/17
55972
TORRES JULIO
0210216785
01/12/17
20228
Total Check per Fund: TREVINO JOSE G.
12-05-2016
17008289 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
12-12-2016
00590463
01/12/17 12-03-2016
17008289 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
138584
00590466
01/12/17 12-16-2016
00591059
01/12/17 9777598876
00591068
01/12/17 12-16-2016
12-13-2016
V
17008292 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 0210216813 00590951
01/12/17 56912800
64
Total Check per Fund: ALERT SERVICES, INC.
17006427 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-01-004-7-91-010 GENERAL SUPPLIES 0210216820 00590057
01/12/17 12-16-2016
118761
Total Check per Fund: BARRIOS CUAUHTEMOC
17008221 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210216821 00590058
01/12/17 12-05-2016
121541
Total Check per Fund: BASALDUA JR. REYNALDO
17008222 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210216822 00590059
01/12/17 11-08-2016
52892
Total Check per Fund: BEITZEL MICHAEL
17008224 OFFICIAL SERVICES FOR ANN RICHARDS MS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210216823 00590070
01/12/17 2041200
268
Computer
227.94
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 00591069
227.94 227.94 C
Total Check per Fund: VILLARREAL JUAN M.
17008293 GAMEWORKER SERVICES FOR LA JOYA HS
Computer
120.00
Total Check per Fund: VERIZON WIRELESS
17001156 MOBILE PORTABLE ROUTER THAT PROVIDES M
17602
120.00 120.00 C
181-36-6259-00-863-7-91-010 UTILITIES 0210216797
Computer
105.00
Total Check per Fund: TRIGG MICHAEL SCOTT
17008290 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
105228
105.00 105.00 C
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210216795
Computer
165.58
17008477 OFFICIAL SERVICES FOR DE ZAVALA MS GIR
101133
Computer
106.56 106.56 C
Total Check per Fund: TREVINO MARCOS A.
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210216788
59.02 59.02 C
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210216786
Status Description
120.00
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00590462
Status
ATHLETIC FUND
0210216783
00590461
FPREG02B
A/P Detail Check Register By Fund Vendor No
190
Total Check per Fund: BILL GUTHRIE SPORTS,INC.
17005415 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
25.00 25.00 C
Computer
25.00 25.00 C
Computer
50.00 169.63 169.63 A
ACH
169.63 120.00 120.00 A
ACH
120.00 59.84 59.84 A
ACH
59.84 76.97 76.97 A 76.97 262.50
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210216823 00590070
Vendor Name Description
Acct Amt
01/12/17
268
2023500
2017900
2062100
2026900
17004763 THIS ORDER IS FOR TREVINO MS GIRLS CRO
2063200
17007550 THIS ORDER IS FOR JUAREZ-LINCOLN HS G
00590067
2017400
17003188 THIS ORDER IS FOR PALMVIEW HS BOYS BA
Total Check per Fund: 0210216835 00590206
01/12/17 12-13-2016
21257
00590255
01/12/17
17008243 GAMEWORKER SERVICES FOR JUAREZ-LINCOLN
37513
641
Total Check per Fund: ECONOMY AWARDS COMPANY
17007352 THIS ORDER IS FOR LA JOYA ISD HIGH SCH
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 00590256
37515
17007698 THIS ORDER IS FOR LA JOYA ISD MIDDLE
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 00590254
37514
17007697 THIS ORDER IS FOR LA JOYA ISD MIDDLE
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 0210216855 00590729
01/12/17 2365
131261
Total Check per Fund: HIGH END ADVERTISING
17008007 DELUXE FANNY PACK COLOR :BLACK
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 0210216898 00591322
01/12/17 12-13-2016
49018
Total Check per Fund: OCHOA VERONICA
17008270 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 0210216909
01/12/17
00591344
S1334727-002
7509
Total Check per Fund: PYRAMID SCHOOL PRODUCTS
17005367 THIS ORDER IS FOR JUAREZ-LINCOLN HS G
181-36-6399-83-004-7-91-010 GENERAL SUPPLIES 0210216914 00591023
01/12/17 12-10-2016
89176
ACH
4,009.15
DE ANDA ROSA
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210216841
ACH
594.00 594.00 A
181-36-6399-72-007-7-91-010 GENERAL SUPPLIES
ACH
515.00 515.00 A
181-36-6399-71-004-7-91-010 GENERAL SUPPLIES
ACH
269.50 269.50 A
181-36-6399-71-049-7-91-010 GENERAL SUPPLIES 00590066
ACH
555.00 555.00 A
181-36-6399-88-004-7-91-010 GENERAL SUPPLIES 00590065
ACH
814.15 814.15 A
17004766 THIS ORDER IS FOR JUAREZ-LINCOLN HS G
ACH
999.00 999.00 A
17002248 THIS ORDER IS FOR DOMINGO TREVINO MIDD
181-36-6399-69-049-7-91-010 GENERAL SUPPLIES 00590068
Status Description
262.50 262.50 A
17004104 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-69-001-7-91-010 GENERAL SUPPLIES 00590069
Status
BILL GUTHRIE SPORTS,INC.
17005415 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
181-36-6399-81-007-7-91-010 GENERAL SUPPLIES 00590064
Amount Paid
ATHLETIC FUND
2041200
191
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: RAMOS ALFREDO JR
17008275 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES
25.00 25.00 A
ACH
25.00 1,287.00 1,287.00 A
ACH
360.00 360.00 A
ACH
144.00 144.00 A
ACH
1,791.00 99.80 99.80 A
ACH
99.80 25.00 25.00 A
ACH
25.00 108.75 108.75 A
ACH
108.75 68.36 68.36 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
Vendor Name Description
89176
RAMOS ALFREDO JR
0210216931
01/12/17
120103
Total Check per Fund: SALINAS RICARDO
12-12-2016
17008281 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES
00591639
01/13/17 LJHS/1-14
1545
Total Check per Fund: RGCCISD ATHLETIC DEPT.
17008884 THIS ORDER IS FOR LA JOYA HS: RIO GRAN
181-36-6412-90-001-7-91-010 TRAVEL - STUDENTS 0210216960 00591640
01/13/17 PHS/1-14
1545
Total Check per Fund: RGCCISD ATHLETIC DEPT.
17008886 THIS ORDER IS FOR PALMVIEW HS: RIO GRA
181-36-6412-77-007-7-91-010 TRAVEL - STUDENTS 0210216961 00591641
01/13/17 JLHS/1-14
1545
Total Check per Fund: RGCCISD ATHLETIC DEPT.
17008883 THIS ORDER IS FOR JUAREZ-LINCOLN HS: R
181-36-6412-90-004-7-91-010 TRAVEL - STUDENTS 0210216993 00591677
01/18/17 17-0048
6963
Total Check per Fund: UNIVERSITY OF TEXAS AT AUSTIN, UIL
17001774 CONSTITUTION AND CONTEST RULES - 2016
181-36-6399-00-863-7-91-010 GENERAL SUPPLIES 0210216994 00591687
01/18/17 9-8-2016
17602
Total Check per Fund: VILLARREAL JUAN M.
17006193 GAMEWORKER SERVICES FOR FOOTBALL: LA
181-36-6299-68-001-7-91-010 MISC CONTRACTED SERVICES 00591686
9-16-2016
17006193 GAMEWORKER SERVICES FOR FOOTBALL: LA
181-36-6299-68-001-7-91-010 MISC CONTRACTED SERVICES 00591685
9-22-2016
17006193 GAMEWORKER SERVICES FOR FOOTBALL: LA
181-36-6299-68-001-7-91-010 MISC CONTRACTED SERVICES 00591678
10-14-2016
17006193 GAMEWORKER SERVICES FOR FOOTBALL: LA
181-36-6299-68-001-7-91-010 MISC CONTRACTED SERVICES 00591690
10-28-2016
17006193 GAMEWORKER SERVICES FOR FOOTBALL: LA
181-36-6299-68-001-7-91-010 MISC CONTRACTED SERVICES 00591689
9-15-2016
17006193 LA JOYA HS VS MISSION ON SEPT. 22, 20
181-36-6299-68-004-7-91-010 MISC CONTRACTED SERVICES 00591688
9-23-2016
17006193 LA JOYA HS VS MISSION ON SEPT. 22, 20
181-36-6299-68-004-7-91-010 MISC CONTRACTED SERVICES 00591691
10-7-2016
17006193 LA JOYA HS VS MISSION ON SEPT. 22, 20
181-36-6299-68-004-7-91-010 MISC CONTRACTED SERVICES 00591692
10-21-2016
17006193 LA JOYA HS VS MISSION ON SEPT. 22, 20
181-36-6299-68-004-7-91-010 MISC CONTRACTED SERVICES 00591679
Status
Status Description
ATHLETIC FUND 01/12/17
0210216959
Amount Paid Acct Amt
0210216914
00590359
11-1-2016
192
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006193 LA JOYA HS VS MEMORIAL ON OCT. 14, 20
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES
68.36 122.14 122.14 A
ACH
122.14 500.00 500.00 C
Computer
500.00 500.00 500.00 C
Computer
500.00 500.00 500.00 C
Computer
500.00 79.50 79.50 C
Computer
79.50 65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
55.00 55.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210216994 00591680
Vendor Name Description
Acct Amt
01/18/17
17602
9-9-2016
17006193 LA JOYA HS VS PSJA NORTH ON SEPT. 16,
181-36-6299-68-007-7-91-010 MISC CONTRACTED SERVICES 00591682
9-30-2016
17006193 LA JOYA HS VS PSJA NORTH ON SEPT. 16,
181-36-6299-68-007-7-91-010 MISC CONTRACTED SERVICES 00591683
10-20-2016
17006193 LA JOYA HS VS PSJA NORTH ON SEPT. 16,
181-36-6299-68-007-7-91-010 MISC CONTRACTED SERVICES 00591684
11-4-2016
17006193 LA JOYA HS VS PSJA NORTH ON SEPT. 16,
181-36-6299-68-007-7-91-010 MISC CONTRACTED SERVICES 0210217000 00592500
01/19/17 BBB007550-BB04
90735
Total Check per Fund: AMERICA TEAM SPORTS
17006078 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-84-001-7-91-010 GENERAL SUPPLIES 0210217002 00592502
00592272
01/19/17
8412
Total Check per Fund: AMERICAN RED CROSS-HEALTH & SAFETY SVC
01/19/17 12-08-16
12-12-16
00592431
01/19/17 1026
138657
17008425 OFFICIAL SERVICES FOR CHAVEZ MS GIRLS
17008426 OFFICIAL SERVICES FOR CHAVEZ MS GIRLS
128740
Total Check per Fund: GRAND SLAM SCREEN PRINTING
17004154 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-69-001-7-91-010 GENERAL SUPPLIES 0210217059 00592447
01/19/17 JLHS BOYS VAR.
2956
17008819 THIS ORDER IS FOR JUAREZ-LINCOLN HS:
Total Check per Fund: 00592346
01/19/17 12-17-16
10918
00592347
01/19/17 12-17-16
17008434 OFFICIAL SERVICES FOR MIDDLE SCHOOL BO
12900
Total Check per Fund: IBARRA REFUGIO
17008435 OFFICIAL SERVICES FOR MIDDLE SCHOOL BO
181-36-6299-77-045-7-91-010 MISC CONTRACTED SERVICES 0210217065
01/19/17
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
965.00 3,024.85 Computer
3,024.85
138649
Computer
1,900.00 84.28 84.28 C
Computer
81.07 81.07 C
Computer
165.35 600.00 Computer
600.00 250.00 250.00 C
Computer
250.00
IBARRA JOSE
181-36-6299-77-046-7-91-010 MISC CONTRACTED SERVICES 0210217063
65.00 C
600.00 C
Total Check per Fund: HISD ATHLETIC DEPARTMENT
181-36-6412-77-004-7-91-010 TRAVEL - STUDENTS 0210217062
Computer
65.00
1,900.00 C
Total Check per Fund: GARZA MATTHEW BRYAN
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210217038
65.00 C
1,900.00
10471829
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 00592273
Status Description
65.00
3,024.85 C
181-36-6399-01-863-7-91-010 GENERAL SUPPLIES 0210217029
Status
VILLARREAL JUAN M.
17006193 LA JOYA HS VS PSJA NORTH ON SEPT. 16,
181-36-6299-68-007-7-91-010 MISC CONTRACTED SERVICES 00591681
Amount Paid
ATHLETIC FUND
9-2-2016
193
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: INFANTE GUILLERMO
200.00 200.00 C
Computer
200.00 200.00 200.00 C 200.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210217065 00592349
Vendor Name Description
Acct Amt
01/19/17
138649
00592519
01/19/17 12-2-2016
138827
Total Check per Fund: LARA KEVIN LEE
17008830 OFFICIAL SERVICES FOR CHAVEZ MS GIRLS
181-36-6299-72-042-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217082 00592629
01/19/17 12-15-2016
138541
00592633
17008839 GAMEWORKER SERVICES FOR PALMVIEW HS V
01/19/17
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
LJHS/01-14-2017 17008847 THIS ORDER IS FOR LA JOYA HS: 11TH ANN
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 0210217084 00592632
01/19/17
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
JUAREZ L/01-14- 17008849 THIS ORDER IS FOR JUAREZ-LINCOLN HS:
181-36-6412-77-004-7-91-011 TRAVEL - STUDENTS 0210217085 00592635
01/19/17 PHS/01-14-2017
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
17008846 THIS ORDER IS FOR PALMVIEW HS: 11TH AN
181-36-6412-77-007-7-91-010 TRAVEL - STUDENTS 0210217086 00592634
01/19/17
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
LJHS L/01-14-20 17008845 THIS ORDER IS FOR LA JOYA HS: 1ST ANNU
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 0210217087 00592636
01/19/17
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
JUAREZ /01-14-2 17008848 THIS ORDER IS FOR JUAREZ-LINCOLN HS:
181-36-6412-77-004-7-91-011 TRAVEL - STUDENTS 0210217088 00592638
01/19/17
1217
Total Check per Fund: MCALLEN ISD/ATHLETIC DEPT.
LJHS L/01-28-20 17008844 THIS ORDER IS FOR LA JOYA HS: 1ST ANNU
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 00592637
LJHS D/01-28-20 17008844 THIS ORDER IS FOR LA JOYA HS: 1ST ANNU
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 0210217089 00592654
01/19/17 PHS/01-14-2017
1217
Total Check per Fund: NEW YEAR'S CLASSIC FUND
17008841 THIS ORDER IS FOR PALMVIEW HS : MCALL
181-36-6412-84-007-7-91-010 TRAVEL - STUDENTS 0210217090 00592655
Status Description
01/19/17
1217
70.00 70.00 C
Computer
70.00 70.00 70.00 C
Computer
70.00
MATA ABRAHAM
181-36-6299-74-007-7-91-010 MISC CONTRACTED SERVICES 0210217083
Status
INFANTE GUILLERMO
17008436 OFFICIAL SERVICES FOR DE ZAVALA MS GIR
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210217078
Amount Paid
ATHLETIC FUND
12-02-16
194
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: NEW YEAR'S CLASSIC FUND
LJHS/01-14-2017 17008842 THIS ORDER IS FOR LA JOYA HS: MCALLEN
20.00 20.00 C
Computer
20.00 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 175.00 C
Computer
350.00 104.00 104.00 C 104.00 336.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210217090 00592655
Vendor Name Description
Acct Amt
1217
0210217091
01/19/17
00592656
JUAREZ/01-14-
1217
Total Check per Fund: NEW YEAR'S CLASSIC FUND/HUMBERTO PATCH
17008843 THIS ORDER IS FOR JUAREZ-LINCOLN HS: M
181-36-6412-84-004-7-91-010 TRAVEL - STUDENTS
00592696
01/19/17
3818
Total Check per Fund: PROGRESO HIGH SCHOOL ATHLETICS
LJHS/01-19-2017 17008872 THIS ORDER IS FOR LA JOYA HS: 2017 LAD
181-36-6412-78-001-7-91-011 TRAVEL - STUDENTS Total Check per Fund: 0210217109 00592522
01/19/17 12-12-2016
138762
17008875 OFFICIAL SERVICES FOR SALINAS MS GIRL
Total Check per Fund: 00592523
01/19/17 12-12-2016
138835
17008876 OFFICIAL SERVICES FOR SALINAS MS GIRL
Total Check per Fund: 00592524
01/19/17 0921
37338
00592527
01/19/17
17008882 OFFICIAL SERVICES FOR LA JOYA HS GIRL
12-3-2016
138770
Total Check per Fund: RODRIGUEZ ADRIAN N.
17008887 OFFICIAL SERVICES FOR GARCIA MS GIRLS
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217129 00592066
02/03/17
1654
PHS BOYS & GIRL 17008689 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
PHS BOYS & GIRL 17008689 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 0210217130 00592079
02/03/17 PHS GIRLS/JAN.
1654
Total Check per Fund: SHARY MUNICIPAL GOLF COURSE
17008688 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 00592080
PHS BOYS/FEB. 3 17008690 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 00592079
PHS GIRLS/JAN.
17008688 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 00592080
Computer
336.00 72.00 72.00 C
Computer
72.00 250.00 250.00 C
Computer
250.00 106.00 106.00 C
Computer
106.00 106.00 106.00 C
Computer
106.00 175.00 175.00 C
Computer
175.00 84.04 84.04 C
Computer
84.04
RGVGCA
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 00592066
336.00 C
RGV - TASO
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 0210217115
336.00
RAMOS STEPHON
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210217112
Status Description
RAMOS RAUL
181-36-6299-73-041-7-91-010 MISC CONTRACTED SERVICES 0210217110
Status
NEW YEAR'S CLASSIC FUND
LJHS/01-14-2017 17008842 THIS ORDER IS FOR LA JOYA HS: MCALLEN
181-36-6412-84-001-7-91-010 TRAVEL - STUDENTS
0210217105
Amount Paid
ATHLETIC FUND 01/19/17
195
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
PHS BOYS/FEB. 3 17008690 THIS ORDER IS FOR PALMVIEW HS: 2017 SH
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS
-308.00 -308.00 CV Computer Void 308.00 308.00 C
Computer
.00 -250.00 -250.00 CV Computer Void -300.00 -300.00 CV Computer Void 250.00 250.00 C
Computer
300.00 300.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
Vendor Name
PO No
Description
1654
SHARY MUNICIPAL GOLF COURSE
0210217165
01/19/17
17602
Total Check per Fund: VILLARREAL JUAN M.
12-27-2016
17008919 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES
00592144
01/19/17 1035537
2152
Total Check per Fund: WHATABURGER ACCOUNTING DEPT.
17007107
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00592145
1017808
17007107
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00592146
1035525
17007107
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00592147
1018034
17007107
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592148
1043229
17007107
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592149
1017824
17007107
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592150
1007685
17007107
181-36-6412-74-001-7-91-010 TRAVEL - STUDENTS 00592151
1017817
17007107
181-36-6412-74-001-7-91-010 TRAVEL - STUDENTS 00592152
1028301
17007107
181-36-6412-74-001-7-91-010 TRAVEL - STUDENTS 00592153
1020622
17007107
181-36-6412-84-001-7-91-010 TRAVEL - STUDENTS 00592154
1017811
17007107
181-36-6412-84-001-7-91-010 TRAVEL - STUDENTS 00592155
1017818
17007107
181-36-6412-88-001-7-91-010 TRAVEL - STUDENTS 00592156
1017823
17007107
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592157
1053144
17007107
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 00592158
1053145
17007107
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 00592159
971492
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592160
1043241
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592161
Status
Status Description
ATHLETIC FUND 01/19/17
0210217169
Amount Paid Acct Amt
0210217130
00592543
1029711
196
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS
.00 20.00 20.00 C
Computer
20.00 115.06 115.06 C
Computer
86.46 86.46 C
Computer
138.55 138.55 C
Computer
61.90 61.90 C
Computer
80.47 80.47 C
Computer
42.93 42.93 C
Computer
57.53 57.53 C
Computer
36.61 36.61 C
Computer
57.53 57.53 C
Computer
110.02 110.02 C
Computer
100.32 100.32 C
Computer
72.64 72.64 C
Computer
80.47 80.47 C
Computer
107.82 107.82 C
Computer
161.73 161.73 C
Computer
105.08 105.08 C
Computer
110.62 110.62 C
Computer
198.08 198.08 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217169 00592162
Vendor Name
PO No
Description
Acct Amt
01/19/17
2152
ORDER #295084
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592164
974431
17007107
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00592165
974429
17007107
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00592166
1007688
17007107
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00592167
1030047
17007107
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00592168
974432
17007107
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00592169
974430
17007107
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00592170
1007689
17007107
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00592171
1043264
17007107
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00592172
1040712
17007107
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00592173
1040707
17007107
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00592174
1020620
17007107
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00592175
1030048
17007107
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00592176
1028258
17007107
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00592177
1028253
17007107
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00592178
1028260
17007107
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00592179
1028251
17007107
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00592180
1018036
17007107
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00592181
1018037
17007107
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00592182
Status
Status Description
WHATABURGER ACCOUNTING DEPT.
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592163
Amount Paid
ATHLETIC FUND
1018026
1042602
197
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007107
116.81 116.81 C
Computer
62.05 62.05 C
Computer
52.30 52.30 C
Computer
62.76 62.76 C
Computer
83.68 83.68 C
Computer
64.54 64.54 C
Computer
47.52 47.52 C
Computer
63.03 63.03 C
Computer
45.84 45.84 C
Computer
116.82 116.82 C
Computer
99.32 99.32 C
Computer
305.60 305.60 C
Computer
238.73 238.73 C
Computer
52.30 52.30 C
Computer
134.19 134.19 C
Computer
123.31 123.31 C
Computer
85.46 85.46 C
Computer
76.40 76.40 C
Computer
173.42 173.42 C
Computer
84.04 84.04 C 119.80
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217169 00592182
Vendor Name
PO No
Description
Acct Amt
01/19/17
2152
1018024
17007107
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00592184
1028254
17007107
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00592185
1018033
17007107
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00592186
1018042
17007107
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00592187
1018038
17007107
181-36-6412-74-007-7-91-010 TRAVEL - STUDENTS 00592188
1028255
17007107
181-36-6412-88-007-7-91-010 TRAVEL - STUDENTS 00592189
1050887
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592190
1018027
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592191
1050897
17007107
181-36-6412-73-004-7-91-010 TRAVEL - STUDENTS 00592192
1050885
17007107
181-36-6412-77-042-7-91-010 TRAVEL - STUDENTS 00592193
1050884
17007107
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00592194
1050900
17007107
181-36-6412-73-044-7-91-010 TRAVEL - STUDENTS 00592195
1050898
17007107
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00592196
1017839
17007107
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00592197
1050880
17007107
181-36-6412-73-043-7-91-010 TRAVEL - STUDENTS 00592198
1017806
17007107
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00592199
1050894
17007107
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00592200
1050882
17007107
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00592201
1050883
17007107
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00592202
Status
Status Description
WHATABURGER ACCOUNTING DEPT.
17007107
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00592183
Amount Paid
ATHLETIC FUND
1042602
1017838
198
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007107
119.80 119.80 C
Computer
74.28 74.28 C
Computer
57.53 57.53 C
Computer
84.37 84.37 C
Computer
41.84 41.84 C
Computer
67.99 67.99 C
Computer
57.53 57.53 C
Computer
54.71 54.71 C
Computer
65.89 65.89 C
Computer
60.30 60.30 C
Computer
272.36 272.36 C
Computer
272.36 272.36 C
Computer
54.71 54.71 C
Computer
61.30 61.30 C
Computer
84.37 84.37 C
Computer
173.71 173.71 C
Computer
111.72 111.72 C
Computer
98.49 98.49 C
Computer
129.99 129.99 C
Computer
117.61 117.61 C 216.65
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217169 00592202
Vendor Name
PO No
Description
Acct Amt
01/19/17
2152
1050886
1050881
1018044
1018032
1018043
1018030
1050896
1050895
1018029
1018028
1039234
1039246
1039249
1039355
1039236
1039248
1050899
00592487
58564
Computer
50.30 C
Computer
57.86 C
Computer
191.89 C
Computer
61.50 C
Computer
179.11 C
Computer
272.36 C
Computer
257.57 C
Computer
160.94 C
Computer
71.39 C
Computer
8,561.42
492 BBQ
PHS GIRLS WR/12 17007431
181-36-6412-88-007-7-91-010 TRAVEL - STUDENTS 00592486
62.04 C
71.39
17007107
Total Check per Fund: 01/19/17
Computer
160.94
17007107
181-36-6412-73-048-7-91-010 TRAVEL - STUDENTS 0210217172
60.30 C
257.57
17007107
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592219
Computer
272.36
17007107
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592218
49.84 C
179.11
17007107
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592217
Computer
61.50
17007107
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00592216
131.78 C
191.89
17007107
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00592215
Computer
57.86
17007107
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00592214
125.79 C
50.30
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592213
Computer
62.04
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592212
227.62 C
60.30
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592211
Computer
49.84
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592210
245.59 C
131.78
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592209
Computer
125.79
17007107
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592208
266.09 C
227.62
17007107
181-36-6412-77-046-7-91-010 TRAVEL - STUDENTS 00592207
Computer
245.59
17007107
181-36-6412-77-046-7-91-010 TRAVEL - STUDENTS 00592206
216.65 C 266.09
17007107
181-36-6412-77-041-7-91-010 TRAVEL - STUDENTS 00592205
Status Description
216.65
181-36-6412-77-041-7-91-010 TRAVEL - STUDENTS 00592204
Status
WHATABURGER ACCOUNTING DEPT.
17007107
181-36-6412-77-041-7-91-010 TRAVEL - STUDENTS 00592203
Amount Paid
ATHLETIC FUND
1017838
199
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
PHS GIRLS WR/12 17007431
117.00 117.00 A 78.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217172 00592486
Vendor Name
PO No
Description
Acct Amt
58564
01/19/17 100464634
22843
00592338
01/19/17
17004155 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
2363
131261
Total Check per Fund: HIGH END ADVERTISING
17008197 THIS ORDER IS FOR HIGH SCHOOL ATHLETI
181-36-6497-02-863-7-91-010 AWARDS & INCENTIVES 0210217234 00592680
01/19/17 12-27-2016
49018
Total Check per Fund: OCHOA VERONICA
17008860 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 00592681
12-30-2016
17008860 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 0210217238 00592812
01/19/17
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
30046/12-29-201 17007074
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592813
30043/12-20-201 17007074
181-36-6412-73-001-7-91-010 TRAVEL - STUDENTS 00592815
30003/12-15-201 17007074
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00592816
30051/12-09-201 17007074
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00592817
20092/12-16-201 17007074
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00592818
40065/12-30-201 17007074
181-36-6412-77-007-7-91-010 TRAVEL - STUDENTS 00592819
30024/12-09-201 17007074
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00592820
30019/12-03-201 17007074
181-36-6412-77-045-7-91-010 TRAVEL - STUDENTS 00592821
30025/12-03-201 17007074
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS 00592822
30063/12-03-201 17007074
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS 00592823
ACH
156.00 A
ACH
351.00
GTM SPORTWEAR
181-36-6399-81-004-7-91-010 GENERAL SUPPLIES 0210217209
78.00 A 156.00
PHS BOYS SOC/12 17007431
Total Check per Fund: 00592318
Status Description
78.00
181-36-6412-77-007-7-91-010 TRAVEL - STUDENTS 0210217200
Status
492 BBQ
PHS GIRLS WR/12 17007431
181-36-6412-88-007-7-91-010 TRAVEL - STUDENTS 00592485
Amount Paid
ATHLETIC FUND 01/19/17
200
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
30065/12-03-201 17007074
181-36-6412-73-045-7-91-010 TRAVEL - STUDENTS
1,392.00 1,392.00 A
ACH
1,392.00 108.00 108.00 A
ACH
108.00 25.00 25.00 A
ACH
25.00 25.00 A
ACH
50.00 68.11 68.11 A
ACH
153.93 153.93 A
ACH
117.00 117.00 A
ACH
88.65 88.65 A
ACH
180.32 180.32 A
ACH
162.16 162.16 A
ACH
86.38 86.38 A
ACH
240.45 240.45 A
ACH
66.00 66.00 A
ACH
55.00 55.00 A
ACH
69.51 69.51 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217238 00592824
Vendor Name
PO No
Description
Acct Amt
1436
30041/12-12-201 17007074
181-36-6412-77-042-7-91-010 TRAVEL - STUDENTS 00592826
30039/12-12-201 17007074
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00592827
30062/12-03-201 17007074
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00592828
30074/12-03-201 17007074
181-36-6412-73-042-7-91-010 TRAVEL - STUDENTS 00592829
30026/12-03-201 17007074
181-36-6412-70-043-7-91-010 TRAVEL - STUDENTS 00592830
30059/12-03-201 17007074
181-36-6412-72-042-7-91-010 TRAVEL - STUDENTS 00592831
30002/12-17-201 17007074
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00592832
40004/12-01-201 17007074
181-36-6412-77-044-7-91-010 TRAVEL - STUDENTS 00592833
30030/12-03-201 17007074
181-36-6412-73-041-7-91-010 TRAVEL - STUDENTS 00592834
40020/12-07-201 17007074
181-36-6412-70-046-7-91-010 TRAVEL - STUDENTS 00592835
40022/12-07-201 17007074
181-36-6412-71-046-7-91-010 TRAVEL - STUDENTS 00592836
30106/12-08-201 17007074
181-36-6412-73-046-7-91-010 TRAVEL - STUDENTS 00592837
30039/12-06-201 17007074
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592838
30023/12-17-201 17007074
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592839
40004/12-17-201 17007074
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 00592840
30056/12-07-201 17007074
181-36-6412-71-049-7-91-010 TRAVEL - STUDENTS 00592841
30057/12-07-201 17007074
181-36-6412-71-049-7-91-010 TRAVEL - STUDENTS 00592842
30029/12-03-201 17007074
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 00592843
30066/12-03-201 17007074
181-36-6412-73-048-7-91-010 TRAVEL - STUDENTS 00592844
Status
Status Description
PIZZA OPERATING PARTNERS
30013/12-17-201 17007074
181-36-6412-77-042-7-91-010 TRAVEL - STUDENTS 00592825
Amount Paid
ATHLETIC FUND 01/19/17
201
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
10128/12-03-201 17007074
68.11 68.11 A
ACH
103.84 103.84 A
ACH
129.80 129.80 A
ACH
60.13 60.13 A
ACH
80.78 80.78 A
ACH
33.00 33.00 A
ACH
71.50 71.50 A
ACH
104.59 104.59 A
ACH
139.02 139.02 A
ACH
48.86 48.86 A
ACH
119.46 119.46 A
ACH
119.46 119.46 A
ACH
116.48 116.48 A
ACH
274.26 274.26 A
ACH
150.27 150.27 A
ACH
100.00 100.00 A
ACH
207.61 207.61 A
ACH
162.25 162.25 A
ACH
90.16 90.16 A
ACH
55.00 55.00 A 103.32
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217238 00592844
Vendor Name
PO No
Description
Acct Amt
1436
00591812
01/19/17 INV035838
15878
00591818
01/19/17
Total Check per Fund: BILL FRITZ SPORTS CORP.
17002247 THIS ORDER IS FOR DOMINGO TREVINO MIDD
4493
00591819
JLHS SOCCER 1/1 17008745 THIS ORDER IS FOR JUAREZ-LINCOLN HS: B
01/19/17
4493
Total Check per Fund: BISD-ATHLETIC DIRECTOR
LJHS SOCCER 1/1 17008744 THIS ORDER IS FOR LA JOYA HS: BISD SO
181-36-6412-77-001-7-91-010 TRAVEL - STUDENTS 0210217266 00591825
01/19/17
4493
Total Check per Fund: BROWNSVILLE ISD-ATHLETIC DEPT.
LJHS GIRLS SOCC 17008743 THIS ORDER IS FOR LA JOYA HS: BROWNSV
181-36-6412-78-001-7-91-010 TRAVEL - STUDENTS Total Check per Fund: 0210217267 00591827
01/19/17 98643560
3059
98643561
17008324 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
17008325 THIS ORDER IS FOR LA JOYA HS FOOTBALL
181-36-6399-68-001-7-91-010 GENERAL SUPPLIES 0210217273 00591832
01/19/17 01-06-2017
6300
Total Check per Fund: CARDENAS DOROTEA
17008748 GAMEWORKER SERVICES FOR JUAREZ-LINCOLN
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 00591831
01-03-2017
17008748 GAMEWORKER SERVICES FOR JUAREZ-LINCOLN
181-36-6299-02-863-7-91-010 MISC CONTRACTED SERVICES 0210217326 00591817
01/19/17 2065300
268
Total Check per Fund: BILL GUTHRIE SPORTS,INC.
17007335 THIS ORDER IS FOR LORENZO DE ZAVALA M
181-36-6399-78-041-7-91-010 GENERAL SUPPLIES 00591815
2019300
17003190 THIS ORDER IS FOR LA JOYA HS GIRLS WR
181-36-6399-88-001-7-91-010 GENERAL SUPPLIES 00591814
2034900
17004101 Soccer Jersey, BRAND: Adidas, MODEL: A
181-36-6399-77-001-7-91-010 GENERAL SUPPLIES 00591813
2039300
118.30 A
ACH
95.50 Computer
95.50 250.00 250.00 C
Computer
250.00 250.00 250.00 C
Computer
250.00 250.00 250.00 C
Computer
250.00
BSN SPORTS
181-36-6399-80-001-7-91-010 GENERAL SUPPLIES 00591826
ACH
3,743.71
95.50 C
Total Check per Fund: BISD-ATHLETIC DIRECTOR
181-36-6412-77-004-7-91-011 TRAVEL - STUDENTS 0210217265
103.32 A 118.30
30040/12-03-201 17007074
181-36-6399-69-049-7-91-010 GENERAL SUPPLIES 0210217264
Status Description
103.32
181-36-6412-77-049-7-91-010 TRAVEL - STUDENTS 0210217261
Status
PIZZA OPERATING PARTNERS
10128/12-03-201 17007074
181-36-6412-73-048-7-91-010 TRAVEL - STUDENTS 00592814
Amount Paid
ATHLETIC FUND 01/19/17
202
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17003791 THIS ORDER IS FOR PALMVIEW HS GIRLS WR
181-36-6399-88-007-7-91-010 GENERAL SUPPLIES
261.70 261.70 C
Computer
61.44 61.44 C
Computer
323.14 25.00 25.00 C
Computer
25.00 25.00 C
Computer
50.00 19.45 19.45 A
ACH
1,168.00 1,168.00 A
ACH
3,208.90 3,208.90 A
ACH
490.00 490.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217326 00591816
Vendor Name
PO No
Description
Acct Amt
01/19/17
268
01/19/17 12-20-2016
21257
00591999
01/19/17
17008626 GAMEWORKER SERVICES FOR JUAREZ-LINCOLN
37570
641
Total Check per Fund: ECONOMY AWARDS COMPANY
17008357 THIS ORDER IS FOR HIGH SCHOOL BOYS/GIR
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 00591998
37571
17008358 THIS ORDER IS FOR HIGH SCHOOL BOYS/GIR
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 0210217353 00592874
01/20/17 PHS/01-16-2017
1438
Total Check per Fund: TIERRA DEL SOL GOLF COURSE
17008678 THIS ORDER IS FOR PALMVIEW HS: 2017 J
181-36-6412-81-007-7-91-011 TRAVEL - STUDENTS 0210217363 00593327
01/26/17 1-10-2017
110400
Total Check per Fund: ALANIZ BENJAMIN
17008950 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593327
1-10-2017
00593364
01/26/17 BBB007501-BB02
90735
Total Check per Fund: AMERICA TEAM SPORTS
17005405 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-89-001-7-91-010 GENERAL SUPPLIES 00593363
BBB007694-BB02
BBB007454-BB05
BBB007455-BB05
00593387
01/26/17 12-30-2016
138509
Total Check per Fund: ARRAMBIDE RUBEN JR.
17008726 OFFICIAL SERVICES FOR PALMVIEW HIGH S
Total Check per Fund: 00594054
01/26/17 98652581
3059
98436487
291.75 A
ACH
781.75 198.00 198.00 M
Manual
198.00 92.55 92.55 C
Computer
92.55 C
Computer
185.10 382.50 Computer
875.00 Computer
1,257.35 Computer
878.50 Computer
3,393.35 160.92 160.92 C
Computer
160.92
BSN SPORTS
17008501 THIS ORDER IS FOR PALMVIEW HS GIRLS TR
181-36-6399-83-007-7-91-010 GENERAL SUPPLIES 00594052
ACH
291.75
878.50 C
181-36-6299-73-007-7-91-010 MISC CONTRACTED SERVICES 0210217375
490.00 490.00 A
1,257.35 C
17004751 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-77-001-7-91-010 GENERAL SUPPLIES 0210217368
ACH
25.00
875.00 C
17004608 THIS ORDER IS FOR JAUREZ LINCOLN HIGH
181-36-6399-77-004-7-91-010 GENERAL SUPPLIES 00593366
25.00 A
382.50 C
17008308 THIS ORDER IS FOR LA JOYA HS FOOTBALL
181-36-6399-68-001-7-91-010 GENERAL SUPPLIES 00593365
25.00
92.55
17008950
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217366
ACH
5,574.19
DE ANDA ROSA
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217343
Status Description
687.84 687.84 A
Total Check per Fund: 00591970
Status
BILL GUTHRIE SPORTS,INC.
17003792 THIS ORDER IS FOR PALMVIEW HS BOYS WR
181-36-6399-74-007-7-91-010 GENERAL SUPPLIES 0210217336
Amount Paid
ATHLETIC FUND
2060101
203
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005417 THIS ORDER IS FOR DR SAENZ MIDDLE SCHO
181-36-6399-77-048-7-91-010 GENERAL SUPPLIES
19.92 19.92 C
Computer
162.72 162.72 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217375 00594051
Vendor Name
PO No
Description
Acct Amt
01/26/17
3059
98636872
17007555 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-79-004-7-91-010 GENERAL SUPPLIES 00594056
98636251
17007556 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-79-001-7-91-010 GENERAL SUPPLIES 00594048
98640532
17007786 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
181-36-6399-79-007-7-91-010 GENERAL SUPPLIES 00594049
98647807
17008228 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
181-36-6395-00-007-7-91-000 FURN & EQUIP <$500 UNIT COST 00594055
98660284
17008320 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-79-004-7-91-010 GENERAL SUPPLIES 00594045
98644074
17008321 BASEBALL BATTING TEE GTEE 1375575
181-36-6395-00-863-7-91-010 FURN & EQUIP <$500 UNIT COST 00594045
98644074
17008321 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
181-36-6399-79-007-7-91-010 GENERAL SUPPLIES 00594046
98655404
17008322 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-80-001-7-91-010 GENERAL SUPPLIES 00594047
98640096
17008323 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-79-001-7-91-010 GENERAL SUPPLIES 0210217379 00594057
01/26/17 01-14-2017
120065
Total Check per Fund: CANTU COREY A.
17009472 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-88-001-7-91-010 MISC CONTRACTED SERVICES 00594058
01-12-2017
17009472 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES 0210217380 00594059
01/26/17 01-10-2017
16283
Total Check per Fund: CANTU DENNIS R.
17008959 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00594059
01-10-2017
17008959
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217381 00594063
01/26/17 01-13-2017
6300
Total Check per Fund: CARDENAS DOROTEA
17009313 GAMEWORKER SERVICES FOR PALMVIEW HS V
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 00594062
01-14-2017
17009313 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-74-004-7-91-010 MISC CONTRACTED SERVICES 0210217382 00594064
Status
Status Description
BSN SPORTS
17007554 THIS ORDER IS FOR LORENZO DE ZAVALA M
181-36-6395-00-863-7-91-010 FURN & EQUIP <$500 UNIT COST 00594050
Amount Paid
ATHLETIC FUND
98627194
01/26/17 01-14-2017
100730
204
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CARDONA ENRIQUE A
17009473 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES
53.88 53.88 C
Computer
1,047.60 1,047.60 C
Computer
1,222.20 1,222.20 C
Computer
1,047.60 1,047.60 C
Computer
509.98 509.98 C
Computer
649.50 649.50 C
Computer
1,712.00 1,712.00 C
Computer
934.88 934.88 C
Computer
2,284.42 2,284.42 C
Computer
160.80 160.80 C
Computer
9,805.50 191.69 191.69 C
Computer
76.32 76.32 C
Computer
268.01 70.00 70.00 C
Computer
70.00 70.00 C
Computer
140.00 25.00 25.00 C
Computer
70.00 70.00 C
Computer
95.00 192.28 192.28 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
Vendor Name
PO No
Description
100730
CARDONA ENRIQUE A
0210217384
01/26/17
19812
Total Check per Fund: CASTILLO CARLOS
3635
JLHS FOOTBALL PLAYOFF GAME IN SA
181-36-6411-00-863-7-91-010 TRAVEL - EMPLOYEES Total Check per Fund: 00594067
01/26/17 01-02-2017
131962
17008615 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
Total Check per Fund: 00594068
01/26/17 12-27-2016
6254
17008616 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
Total Check per Fund: 00593896
01/26/17 362475
70378
362488
17007034 MEALS FOR ATHLETIC STUDENTS FOR THE MO
17007034
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00593900
362459
17007034
181-36-6412-72-001-7-91-010 TRAVEL - STUDENTS 00593901
586494
17007034
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00593902
362442
17007034
181-36-6412-84-004-7-91-010 TRAVEL - STUDENTS 00593903
583644
17007034
181-36-6412-84-004-7-91-010 TRAVEL - STUDENTS 00593904
587981
17007034
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00593905
587989
17007034
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00593906
362486
17007034
181-36-6412-72-004-7-91-010 TRAVEL - STUDENTS 00593907
362208
17007034
181-36-6412-77-004-7-91-010 TRAVEL - STUDENTS 00593908
588000
17007034
181-36-6412-88-004-7-91-010 TRAVEL - STUDENTS 00593909
362206
17007034
181-36-6412-78-004-7-91-010 TRAVEL - STUDENTS 00593910
362205
17007034
181-36-6412-78-004-7-91-010 TRAVEL - STUDENTS 00593911
362473
28.00 28.00 C
Computer
28.00 163.94 163.94 C
Computer
163.94 120.00 120.00 C
Computer
120.00
CC VALLEY INC
181-36-6412-00-863-7-91-010 TRAVEL - STUDENTS 00593899
192.28
CASTRO ANDY
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217396
Status Description
CASTILLO MARK
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 0210217386
Status
ATHLETIC FUND 01/26/17
0210217385
Amount Paid Acct Amt
0210217382
00594066
205
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007034
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS
96.00 96.00 C
Computer
138.00 138.00 C
Computer
120.00 120.00 C
Computer
42.00 42.00 C
Computer
60.00 60.00 C
Computer
54.00 54.00 C
Computer
132.00 132.00 C
Computer
144.00 144.00 C
Computer
174.00 174.00 C
Computer
156.00 156.00 C
Computer
54.00 54.00 C
Computer
138.00 138.00 C
Computer
180.00 180.00 C
Computer
84.00 84.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217396 00593912
Vendor Name
PO No
Description
Acct Amt
01/26/17
70378
362464
362439
362487
362478
362474
362453
362444
362441
362452
362446
362445
362479
00594168
01-05-2017
50776
00594170
01/26/17
17008975 OFFICIAL SERVICES FOR PALMVIEW HIGH S
1242017
85006
Total Check per Fund: DANIEL'S PRINTING PLACE
17008777 BOOK STRIPS FOR LA JOYA ISD READING R
181-36-6298-01-863-7-91-010 PRINTING SERVICES 0210217414 00594200
01/26/17 01-02-2017
100986
Total Check per Fund: EARHART DARREN
17008630 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210217415 00594204
01/26/17 1011
3203
324.50 C
Computer
90.00 C
Computer
84.00 C
Computer
228.00 C
Computer
90.00 C
Computer
114.00 C
Computer
252.00 C
Computer
3,390.50
CRUZ CORNELIO
181-36-6299-78-007-7-91-010 MISC CONTRACTED SERVICES 0210217403
Computer
252.00
17007034
Total Check per Fund: 01/26/17
66.00 C
114.00
17007034
181-36-6412-73-048-7-91-010 TRAVEL - STUDENTS 0210217400
Computer
90.00
17007034
181-36-6412-77-048-7-91-010 TRAVEL - STUDENTS 00593897
60.00 C
228.00
17007034
181-36-6412-77-048-7-91-010 TRAVEL - STUDENTS 00593923
Computer
84.00
17007034
181-36-6412-70-043-7-91-010 TRAVEL - STUDENTS 00593922
276.00 C
90.00
17007034
181-36-6412-77-043-7-91-010 TRAVEL - STUDENTS 00593921
Computer
324.50
17007034
181-36-6412-77-043-7-91-010 TRAVEL - STUDENTS 00593920
78.00 C
66.00
17007034
181-36-6412-70-045-7-91-010 TRAVEL - STUDENTS 00593919
Computer
60.00
17007034
181-36-6412-72-007-7-91-010 TRAVEL - STUDENTS 00593918
54.00 C
276.00
17007034
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00593917
Computer
78.00
17007034
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00593916
102.00 C 54.00
17007034
181-36-6412-73-007-7-91-010 TRAVEL - STUDENTS 00593915
Status Description
102.00
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00593914
Status
CC VALLEY INC
17007034
181-36-6412-74-004-7-91-010 TRAVEL - STUDENTS 00593913
Amount Paid
ATHLETIC FUND
362447
206
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: EDINBURG HIGH SCHOOL
17007821 THIS ORDER IS FOR LA JOYA HS, JUAREZ-
181-36-6495-00-863-7-91-010 MEMBERSHIP FEES
120.00 120.00 C
Computer
120.00 504.00 504.00 C
Computer
504.00 114.08 114.08 C
Computer
114.08 600.00 600.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217415 00594203
Vendor Name
PO No
Description
Acct Amt
01/26/17
3203
1013
0210217416
01/26/17
00594206
TENNIS 2/3-4
3203
Total Check per Fund: EHS BOBCAT TENNIS
17009611 EDINBURG HIGH SCHOOL BOBCAT TENNIS ON
01/26/17 12-15-2016
19289
Total Check per Fund: ELIZONDO ADRIAN
17008985 OFFICIAL SERVICES FOR PALMVIEW HIGH SH
181-36-6299-74-007-7-91-010 MISC CONTRACTED SERVICES 0210217423 00594212
01/26/17 976
42307
Total Check per Fund: EXCLUSIVE DECALS & SCREENPRINTING
17004149 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
Total Check per Fund: 0210217427 00594263
01/26/17 12-20-2016
15985
00593570
01/26/17
17008802 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
01-02-17
90492
Total Check per Fund: GOBELLAN DIONICIO JR.
17008644 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593571
12-30-16
17008644 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210217435 00593550
01/26/17 01-03-17
12702
Total Check per Fund: CELSO N. GONZALEZ
17008645 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593550
01-03-17
17008645
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217436 00593699
01/26/17 01-14-17
121355
Total Check per Fund: GONZALEZ JENNIFER DIANE
17009500 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES 00593699
01-14-17
17009500
181-36-6299-88-001-7-91-010 MISC CONTRACTED SERVICES 0210217439 00593549
01/26/17 12-06-16
7150
6.00 6.00 C
Computer
6.00 72.28 72.28 C
Computer
72.28 360.00 Computer
360.00
RONNIE FLORES
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217434
Computer
1,800.00
360.00 C
181-36-6399-77-001-7-91-010 GENERAL SUPPLIES
Computer
600.00 600.00 C
181-36-6412-01-863-7-91-010 TRAVEL - STUDENTS
00594207
Status Description
600.00 600.00 C
17007821 THIS ORDER IS FOR LA JOYA HS, JUAREZ-
181-36-6495-00-863-7-91-010 MEMBERSHIP FEES
0210217418
Status
EDINBURG HIGH SCHOOL
17007821 THIS ORDER IS FOR LA JOYA HS, JUAREZ-
181-36-6495-00-863-7-91-010 MEMBERSHIP FEES 00594202
Amount Paid
ATHLETIC FUND
1012
207
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: ANDRES J. GUERRA
17008647 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES
137.22 137.22 C
Computer
137.22 124.96 124.96 C
Computer
182.76 182.76 C
Computer
307.72 80.50 80.50 C
Computer
80.50 80.50 C
Computer
161.00 95.34 95.34 C
Computer
95.34 95.34 C
Computer
190.68 139.68 139.68 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217439 00593548
Vendor Name
PO No
Description
Acct Amt
01/26/17
7150
00593611
01/26/17 01-03-17
16192
Total Check per Fund: RAY HERNANDEZ JR.
17008649 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593611
01-03-17
Total Check per Fund: 00593591
01/26/17 01-07-17
40657
01-14-17
17009003 OFFICIAL SERVICES FOR PALMVIEW HIGH S
17009507 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217504 00593411
01/26/17 12-19-2016
110558
12-30-2016
17008657 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
17008657 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210217517 00593107
01/26/17 12-15-2016
138274
Total Check per Fund: MONTALVO KRYSTAL RENAE
17009013 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-88-007-7-91-010 MISC CONTRACTED SERVICES 0210217519 00593110
01/26/17 01-03-2017
111600
Total Check per Fund: MORALES ANTHONY
12-30-2016
01-03-2017
00593116
01/26/17 11-21-2016
90638
Total Check per Fund: NAVARRO JUSTIN
17008668 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217527 00593135
01/26/17 01-02-2017
66702
12-27-2016
Computer
75.00 C
Computer
150.00 100.00 100.00 C
Computer
164.76 164.76 C
Computer
264.76 122.96 122.96 C
Computer
173.52 173.52 C
Computer
296.48 69.32 69.32 C
Computer
69.32
99.00 C
Computer
100.00 C
Computer
99.00 C
Computer
298.00 55.74 55.74 C
Computer
55.74
PEDRAZA NOEL
17009217 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-73-007-7-91-010 MISC CONTRACTED SERVICES 00593136
75.00 C
99.00
17008666
181-36-6299-73-007-7-91-010 MISC CONTRACTED SERVICES 0210217522
75.00
100.00
17008666
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593110
Computer
274.44
99.00
17008666
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 00593111
134.76 C
LOPEZ JUAN
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593410
134.76
HOLLOWAY BURT
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 00593723
Status Description
75.00
17008649
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217494
Status
ANDRES J. GUERRA
17008647 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-73-007-7-91-010 MISC CONTRACTED SERVICES 0210217442
Amount Paid
ATHLETIC FUND
12-13-16
208
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008672 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES
113.44 113.44 C
Computer
120.00 120.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
Vendor Name
PO No
Description
66702
PEDRAZA NOEL
0210217529
01/26/17
66656
Total Check per Fund: PEREZ HECTOR FERNANDO
01-06-2017
17008864 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 01-06-2017
00593329
01/26/17 98954202
11011
Total Check per Fund: ALL AMERICAN SPORTS CORP.
17004200 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-78-001-7-91-010 GENERAL SUPPLIES 0210217539 00593746
01/26/17 01-06-2017
10783
01-06-2017
Total Check per Fund: SAENZ REYNALDO
17008890 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
Total Check per Fund: 00593752
01/26/17 01-06-2017
22467
01-06-2017
17008891 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
12-20-2016
17008684 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217551 00593769
01/26/17 01-09-2017
78425
Total Check per Fund: SEGURA ALEJANDRA
17008897 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-78-001-7-91-010 MISC CONTRACTED SERVICES 0210217553 00593770
01/26/17 01-09-2017
50822
Total Check per Fund: SEGURA DOMINGO
17008898 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-78-001-7-91-010 MISC CONTRACTED SERVICES 00593771
01-05-2017
17008898 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-78-007-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217559 00593783
01/26/17 12-19-2016
107840
01-07-2017
17008691 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
17009246 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217564
01/26/17
13041
Computer
336.00 Computer
336.00 70.00 70.00 C
Computer
70.00 C
Computer
140.00 96.00 96.00 C
Computer
96.00 C
Computer
120.00 120.00 C
Computer
312.00 103.26 103.26 C
Computer
103.26 100.76 100.76 C
Computer
125.04 125.04 C
Computer
225.80
SILVA BENITO
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593782
70.00 C 140.00
96.00
17008891
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 00593751
Computer
SALINAS CLIFF
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593752
70.00 70.00 C
70.00
17008890
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217543
233.44
336.00 C
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593746
Status Description
70.00
17008864
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217534
Status
ATHLETIC FUND 01/26/17
00593138
Amount Paid Acct Amt
0210217527
00593138
209
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SPECIAL OLYMPICS TEXAS, INC.
109.84 109.84 C
Computer
159.84 159.84 C 269.68
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217564 00593862
Vendor Name
PO No
Description
Acct Amt
13041
00593808
01/26/17 2629
44296
Total Check per Fund: T-SHIRT GALLERY AND SPORTS
17004220 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-78-004-7-91-010 GENERAL SUPPLIES 0210217573 00593812
01/26/17 12-20-2016
21955
Total Check per Fund: TELLO BLANCA S.
17008694 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217591 00593833
01/26/17 12-17-2016
20228
Total Check per Fund: TREVINO JOSE G.
17008698 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 00593834
12-19-2016
17008698 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 00593832
01-06-2017
17009259 OFFICIAL SERVICES FOR JAUREZ LINCOLN H
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593835
01-09-2017
17009259 OFFICIAL SERVICES FOR JAUREZ LINCOLN H
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593836
12-15-2016
17009259 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210217603 00593450
01/26/17 12-27-2016
5594
Total Check per Fund: VILLARREAL MARCELO
17008701 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217610 00593847
01/26/17 1039227
2152
Total Check per Fund: WHATABURGER ACCOUNTING DEPT.
00593895
01/26/17
2494
24971
Total Check per Fund: WHATABURGER OF ALICE, INC. ATHLETIC STUDENT MEALS AFTER THEIR EV
181-36-6412-68-004-7-91-010 TRAVEL - STUDENTS 00593894
24973
ATHLETIC STUDENT MEALS AFTER THEIR EV
181-36-6412-68-004-7-91-010 TRAVEL - STUDENTS 0210217626
01/26/17
121541
420.00 C
Computer
330.00 C
Computer
270.00 C
Computer
1,020.00 885.00 885.00 C
Computer
885.00 162.14 162.14 C
Computer
162.14 58.20 58.20 C
Computer
108.20 108.20 C
Computer
156.56 156.56 C
Computer
156.56 156.56 C
Computer
100.00 100.00 C
Computer
579.52 194.46 194.46 C
Computer
194.46 185.77
17005571
181-36-6412-73-049-7-91-010 TRAVEL - STUDENTS 0210217611
420.00
270.00
WINTER OLYMPICS 17009690
181-36-6412-89-007-7-91-010 TRAVEL - STUDENTS 0210217570
Status Description
330.00
WINTER OLYMPICS 17009690
181-36-6412-89-004-7-91-010 TRAVEL - STUDENTS 00593862
Status
SPECIAL OLYMPICS TEXAS, INC.
WINTER OLYMPICS 17009690 REGISTRATION FOR STUDENTS WINTER OLYM
181-36-6412-89-001-7-91-010 TRAVEL - STUDENTS 00593862
Amount Paid
ATHLETIC FUND 01/26/17
210
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: BASALDUA JR. REYNALDO
185.77 C
Computer
185.77 131.80 131.80 C
Computer
119.80 119.80 C 251.60
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217626 00594034
Vendor Name
PO No
Description
Acct Amt
01/26/17
121541
01-02-2017
17008597 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00594032
01-07-2017
17008736 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 00594031
01-09-2017
17009115 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 0210217627 00594035
01/26/17 12-19-2016
52892
Total Check per Fund: BEITZEL MICHAEL
17008598 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217628 00594041
01/26/17 2028600
268
Total Check per Fund: BILL GUTHRIE SPORTS,INC.
17004762 THIS ORDER IS FOR TREVINO MS GIRLS CRO
2062300
17004765 THIS ORDER IS FOR JUAREZ-LINCOLN HS G
2068900
17006086 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
2065500
17005495 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
2028000
17004615 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
0210217639 00594201
01/26/17 37644
641
Total Check per Fund: ECONOMY AWARDS COMPANY
17009350 THIS ORDER IS FOR MIDDLE SCHOOL BOYS A
181-36-6497-00-863-7-91-010 AWARDS & INCENTIVES 0210217644 00593551
01/26/17 01-10-17
19573
Total Check per Fund: GARCIA LUBIN RENE JR
17009166 OFFICIAL SERVICES FOR LA JOYA HIHG SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 00593551
01-10-17
Total Check per Fund: 00593577
01/26/17 100004020
22843
17008259 THIS ORDER IS FOR ANN RICHARDS GOLF PR
01/26/17 12-15-2016
17310
158.20 A
ACH
424.16 61.89 61.89 A
ACH
61.89 29.52 ACH
690.00 ACH
535.50 ACH
262.50 ACH
292.50 ACH
1,810.02 432.00 432.00 A
ACH
432.00 83.94 83.94 A
ACH
83.94 A
ACH
167.88 174.00 174.00 A
Total Check per Fund: 00593417
ACH
158.20
GTM SPORTWEAR
181-36-6399-81-045-7-91-010 GENERAL SUPPLIES 0210217672
ACH
83.94
17009166
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 0210217651
103.36 A
292.50 A
181-36-6399-77-004-7-91-010 GENERAL SUPPLIES
ACH
103.36
262.50 A
181-36-6399-81-001-7-91-010 GENERAL SUPPLIES 00594040
107.68 A
535.50 A
181-36-6399-00-863-7-91-010 GENERAL SUPPLIES 00594038
54.92 A 107.68
690.00 A
181-36-6399-88-004-7-91-010 GENERAL SUPPLIES 00594037
Status Description
54.92
29.52 A
181-36-6399-71-049-7-91-010 GENERAL SUPPLIES 00594036
Status
BASALDUA JR. REYNALDO
17008597 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 00594033
Amount Paid
ATHLETIC FUND
12-19-2016
211
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
174.00
LUJANO OSCAR
17009009 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES
100.00 100.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
181
0210217672 00593416
Vendor Name
PO No
Description
Acct Amt
01/26/17
17310
Total Check per Fund: 00593418
01/26/17 12-30-2016
21456
00593180
17008661 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
01/26/17 21749
5355
Total Check per Fund: MCALLEN SPORTS, INC.
17004172 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-78-004-7-91-010 GENERAL SUPPLIES 00593179
22032
17007381 THIS ORDER IS FOR LORENZO DE ZAVALA M
181-36-6399-78-041-7-91-010 GENERAL SUPPLIES 00593181
22033
17004171 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-78-001-7-91-010 GENERAL SUPPLIES 0210217688 00593238
01/26/17 01-10-2017
49018
Total Check per Fund: OCHOA VERONICA
17009406 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 00593237
01-13-2017
17009406 GAMEWORKER SERVICES FOR JUAREZ-LINCOLN
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217691 00593148
01/26/17
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
40004/11-19-201 17005546
181-36-6412-71-049-7-91-010 TRAVEL - STUDENTS 00593147
40007/11-30-201 17005546
181-36-6412-71-049-7-91-010 TRAVEL - STUDENTS 00593143
40005/11-19-201 17005546
181-36-6412-71-049-7-91-010 TRAVEL - STUDENTS 00593144
30009/11-30-201 17005546
181-36-6412-70-049-7-91-010 TRAVEL - STUDENTS 0210217697
01/26/17
00593173
s1334016-001
7509
Total Check per Fund: PYRAMID SCHOOL PRODUCTS
17004712 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
181-36-6399-77-004-7-91-010 GENERAL SUPPLIES 00593172
S1334597-001
17005548 THIS ORDER IS FOR LORENZO DE ZAVALA M
181-36-6399-69-041-7-91-010 GENERAL SUPPLIES 00593171
S1334597-003
17005548 THIS ORDER IS FOR LORENZO DE ZAVALA M
181-36-6399-69-041-7-91-010 GENERAL SUPPLIES 00593170
S1334015-001
17004814 VOLLEYBALL SENSI TEC MICROFIBER BRAND
181-36-6395-00-863-7-91-010 FURN & EQUIP <$500 UNIT COST 00593174
Status Description
S1334015-003
110.00 110.00 A
ACH
210.00
LUNA DANIEL
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 0210217676
Status
LUJANO OSCAR
17009009 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210217673
Amount Paid
ATHLETIC FUND
1-7-2017
212
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17004814 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-69-001-7-91-010 GENERAL SUPPLIES
112.30 112.30 A
ACH
112.30 137.50 137.50 A
ACH
135.00 135.00 A
ACH
825.00 825.00 A
ACH
1,097.50 25.00 25.00 A
ACH
25.00 25.00 A
ACH
50.00 159.72 159.72 A
ACH
253.54 253.54 A
ACH
173.52 173.52 A
ACH
278.93 278.93 A
ACH
865.71 216.80 216.80 A
ACH
402.00 402.00 A
ACH
107.20 107.20 A
ACH
229.00 229.00 A
ACH
268.00 268.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
Vendor Name Description
01/26/17
00593168
S1334015-005
Acct Amt
7509
S1334569-002
S1334569-004
S1334569-001
S1334189-001
17004192 THIS ORDER IS FOR MEMORIAL MIDDLE SCHO
S1334189-003
17004192 THIS ORDER IS FOR MEMORIAL MIDDLE SCHO
0210217699 00593421
01/26/17 1-2-2017
89176
Total Check per Fund: RAMOS ALFREDO JR
17009226 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-73-007-7-91-010 MISC CONTRACTED SERVICES 0210217707 00593753
01/26/17 01-02-2017
120103
Total Check per Fund: SALINAS RICARDO
17008685 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES 0210217718 00593445
01/26/17 12-17-2016
74314
Total Check per Fund: VILLARREAL JONATHAN
17008700 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-73-001-7-91-010 MISC CONTRACTED SERVICES 00593446
12-19-2016
17008700 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-73-004-7-91-010 MISC CONTRACTED SERVICES 00593447
1-2-2017
17008700 OFFICIAL SERVICES FOR JUAREZ LINCOLN H
181-36-6299-72-004-7-91-010 MISC CONTRACTED SERVICES 00593448
12-30-2016
17009264 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 00593449
1-7-2017
17009264 OFFICIAL SERVICES FOR PALMVIEW HIGH S
181-36-6299-72-007-7-91-010 MISC CONTRACTED SERVICES 0210217722 00594446
01/27/17 BBB007441-BB04
90735
Total Check per Fund: AMERICA TEAM SPORTS
17004085 THIS ORDER IS FOR PALMVIEW HIGH SCHOO
BBB007705-BB02
17008491 THIS ORDER IS FOR LORENZO DE ZAVALA G
BBB007562-BB06
17006355 THIS ORDER IS FOR JD SALINAS MIDDLE S
BBB007562-BB06
17006355 Game Short
181-36-6399-73-048-7-91-010 GENERAL SUPPLIES
100.00 A
GIRLS and WOMENS cut
ACH
100.00 117.28 117.28 A
ACH
117.28 59.84 59.84 A
ACH
108.20 108.20 A
ACH
158.20 158.20 A
ACH
150.00 150.00 A
ACH
100.00 100.00 A
ACH
576.24 2,081.25 Computer
345.00 Computer
1,750.50 1,750.50 C
181-36-6399-69-048-7-91-010 GENERAL SUPPLIES 00594449
100.00
345.00 C
181-36-6399-78-041-7-91-010 GENERAL SUPPLIES 00594447
ACH
2,807.06
2,081.25 C
181-36-6399-78-007-7-91-010 GENERAL SUPPLIES 00594448
ACH
201.00 201.00 A
181-36-6399-69-044-7-91-010 GENERAL SUPPLIES
ACH
536.00 536.00 A
181-36-6399-69-044-7-91-010 GENERAL SUPPLIES 00593169
ACH
174.35 174.35 A
181-36-6399-77-042-7-91-010 GENERAL SUPPLIES 00593164
ACH
142.65 142.65 A
17005549 THIS ORDER IS FOR CHAVEZ MIDDLE SCHOO
ACH
82.56 82.56 A
17005549 THIS ORDER IS FOR CHAVEZ MIDDLE SCHOO
181-36-6399-77-042-7-91-010 GENERAL SUPPLIES 00593165
Status Description
447.50 447.50 A
17005549 THIS ORDER IS FOR CHAVEZ MIDDLE SCHOO
181-36-6399-77-042-7-91-010 GENERAL SUPPLIES 00593166
Status
PYRAMID SCHOOL PRODUCTS
17004814 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
181-36-6399-69-001-7-91-010 GENERAL SUPPLIES 00593167
Amount Paid
ATHLETIC FUND
0210217697
213
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
516.00 516.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
181
0210217722 00594449
Acct Amt
00594418
01/27/17 BBB007562-BB06
90735
00594422
B
01/27/17
3203
PHS 1/28 POWERL 17009612 THIS ORDER IS PALMVIEW HS:
01/27/17
19587
EDINBURG
Total Check per Fund: ELLIOTT'S CUSTOM GOLF
12317-17004147A 17004147 THIS ORDER IS FOR JUAREZ LINCOLN HIGH
12317-17005517A 17005517 GOLF BALL BRAND: TITLEIST MODEL:PRO V
181-36-6399-84-004-7-91-010 GENERAL SUPPLIES 00594420
181-36-6399-84-004-7-91-010 GENERAL SUPPLIES 0210217741 00594438
01/27/17 1083
138884
17009360 LAGO GRANDE BATTERY POWERED HYDRATION
00594469
01/27/17 PHS/02-17-2017
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
17009653 THIS ORDER IS FOR PALMVIEW HS: MCALLEN
181-36-6412-01-863-7-91-010 TRAVEL - STUDENTS 0210217744 00594470
01/27/17 PHS/03-10-2017
1217
Total Check per Fund: MCALLEN INDEPENDENT SCHOOL DISTRICT
17009654 THIS ORDER IS FOR PALMVIEW HS: NIKKI R
181-36-6412-01-863-7-91-010 TRAVEL - STUDENTS 0210217754 00594458
01/27/17 12-1-2016
129160
Total Check per Fund: RAMIREZ DAISY DIANE
17009427 OFFICIAL SERVICES FOR LA JOYA HS VS ED
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES 00594458
12-1-2016
Total Check per Fund: 00594461
01/27/17 0842
37338
Computer
2,868.71 Computer
612.99 Computer
3,859.06 Computer
880.65 Computer
14,797.46 20,444.00 20,444.00 C
Computer
20,444.00 6.00 6.00 C
Computer
6.00 6.00 6.00 C
Computer
6.00 20.00 20.00 C
Computer
20.00
17009427
181-36-6299-88-001-7-91-010 MISC CONTRACTED SERVICES 0210217755
Computer
1,972.83
880.65 C
Total Check per Fund: GULF COAST BANK & TRUST
181-36-6398-00-863-7-91-010 FURN & NON-TECH EQUIP-$500 TO $4,999.99 0210217743
4,603.22
3,859.06 C
12317-17005604A 17005604 THIS ORDER IS FOR LA JOYA HIGH SCHOOL
Computer
500.00
612.99 C
12317-17005604A 17005604 GOLF BALL TITLEIEST PROV1 COLOR: WHIT
181-36-6399-81-001-7-91-010 GENERAL SUPPLIES 00594419
500.00 C
2,868.71 C
12317-17005518A 17005518 THIS ORDER IS FOR ANN RICHARDS MIDDLE
181-36-6399-81-045-7-91-010 GENERAL SUPPLIES 00594423
500.00
1,972.83 C
12317-17005517A 17005517 THIS ORDER IS FOR PALMVIEW HIGH GOLF
Computer
5,208.75
4,603.22 C
181-36-6399-81-007-7-91-010 GENERAL SUPPLIES 00594421
516.00 516.00 C
Total Check per Fund: EDINBURG HIGH SCHOOL POWERLIFTING
181-36-6399-81-004-7-91-010 GENERAL SUPPLIES 00594421
Status Description
AMERICA TEAM SPORTS
17006355 GRAY Volleyball Game Jersey $11.45
181-36-6412-90-001-7-91-010 TRAVEL - STUDENTS 0210217738
Status
ATHLETIC FUND
181-36-6399-78-048-7-91-010 GENERAL SUPPLIES 0210217737
FPREG02B
A/P Detail Check Register By Fund Vendor No
214
20.00 C
Computer
40.00
RGV - TASO
17009430 OFFICIAL SERVICES FOR LA JOYA HS VS PR
181-36-6299-77-001-7-91-010 MISC CONTRACTED SERVICES
475.00 475.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
0210217755 00594462
Vendor Name Description
Acct Amt
01/27/17
37338
0920
17009430 OFFICIAL SERVICES FOR LA JOYA HS VS PR
181-36-6299-77-001-7-91-010 MISC CONTRACTED SERVICES 0210217756 00594464
01/27/17 1-14-2017
138495
Total Check per Fund: RODRIGUEZ BOBBY ALEXANDRO
17009524 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-74-001-7-91-010 MISC CONTRACTED SERVICES 00594464
1-14-2017
17009524 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-88-001-7-91-010 MISC CONTRACTED SERVICES 00594463
1-12-2017
17009524 OFFICIAL SERVICES FOR LA JOYA HIGH SCH
181-36-6299-88-001-7-91-010 MISC CONTRACTED SERVICES 0210217758 00594441
01/27/17 0169546-IN
1716
Total Check per Fund: SPECTRUM CORPORATION
17001142 THIS ORDER IS FOR LA JOYA ISD SCOREBOA
181-36-6249-00-863-7-91-010 CONTRACTED MAINT & REPAIR 0210217761 00594466
01/27/17 1-10-2017
17602
Total Check per Fund: VILLARREAL JUAN M.
17009453 GAMEWORKER SERVICES FOR LA JOYA HS VS
181-36-6299-72-001-7-91-010 MISC CONTRACTED SERVICES Total Check per Fund: 0210217779 00594492
01/27/17
1438
00594516
01/31/17 JLHS/2-24
4854
Total Check per Fund: VALLEY VIEW INDEPENDENT SCHOOL DISTRICT
17010098 THIS ORDER IS FOR JUAREZ-LINCOLN HS: V
181-36-6412-90-004-7-91-010 TRAVEL - STUDENTS 0210217791 00594517
01/31/17 JLHS/2-4
4854
Total Check per Fund: VALLEY VIEW INDEPENDENT SCHOOL DISTRICT
17010097 THIS ORDER IS FOR JUAREZ-LINCOLN HS: V
181-36-6412-90-004-7-91-010 TRAVEL - STUDENTS 0210217792 00594518
01/31/17 PHS/ 2-4
121223
Total Check per Fund: VETERANS MEMORIAL HIGH SCHOOL
17010100 THIS ORDER IS FOR PALMVIEW HS: 7TH ANN
181-36-6412-90-007-7-91-010 TRAVEL - STUDENTS 0210217793 00594519
01/31/17 LJHS/2-4
121223
Total Check per Fund: VETERANS MEMORIAL HIGH SCHOOL
17010099 THIS ORDER IS FOR LA JOYA HS: 7TH ANNU
181-36-6412-90-001-7-91-010 TRAVEL - STUDENTS Total Check per Fund: 0210217795
Status Description
01/31/17
13188
225.00 225.00 C
Computer
175.00 175.00 C
Computer
875.00 83.80 83.80 C
Computer
83.80 83.80 C
Computer
72.55 72.55 C
Computer
240.15 399.76 399.76 C
Computer
399.76 25.00 25.00 C
Computer
25.00
RGVGCA
LJHSBOY/01-16-2 17006785 THIS ORDER IS FOR LA JOYA HS: 2017 PS
181-36-6412-81-001-7-91-010 TRAVEL - STUDENTS 0210217790
Status
RGV - TASO
17009430 OFFICIAL SERVICES FOR LA JOYA HS VS PR
181-36-6299-77-001-7-91-010 MISC CONTRACTED SERVICES 00594460
Amount Paid
ATHLETIC FUND
0919
215
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
LAUER GARY
165.00 165.00 M
Manual
165.00 225.00 225.00 C
Computer
225.00 450.00 450.00 C
Computer
450.00 500.00 500.00 C
Computer
500.00 500.00 500.00 C 500.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
181
Vendor Name Amount Paid
Description
JAN. 2017
00594506
Acct Amt
13188
192
0210215865 00587008
5,000.00 A 5,000.00
Total Fund:
154,438.31
01/10/17 IN983070
18896
DAHILL INDUSTRIES
17001569 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN865735
IN906544
IN945223
17001569 RENTAL OF XEROX 5955APT DIGITAL COPIER
00590980
01/12/17 195
00590570
01/12/17 IN1018982
17007291 NEED PHYSICIANS REPORT TO FILLED OUT B
18896
00590242
01/12/17
17001569 RENTAL OF XEROX 5955APT DIGITAL COPIER
MORTR001
21401
DELMA038
Total Check per Fund: DR. HILDEBRANDO SALINAS, M.D.
17005922 OTHER HEALTH IMPAIRMENT FORM FOR STUD
COLER000
17007585 PSYCHIATRIC EVALUATION FOR:
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216637 00590244
01/12/17 3800
13847
Total Check per Fund: DR. LEONARDO GARCIA, M.D.
17007587 OTHER HEALTH IMPAIRMENT FORM FRO STUD
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216638
01/12/17
00590245
JESUS MORENO
16351
Total Check per Fund: DR. WILSON C.SY,MD
17004950 other health impairment form for stud
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216689 00590983
01/12/17 3455791216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17006569 DD338
WRITE & WIPE THIN LINE MARKER
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES
468.72 Computer
468.72 330.00 Computer
80.00 80.00 C
E. COLUNG
Computer
25.00
330.00 C
17007586 NEED OTHER HEALTH IMPAIRNMENT FORM TO
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 00590241
25.00
468.72 C
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 00590243
-1,850.28
25.00 C
Total Check per Fund: DAHILL INDUSTRIES
192-21-6269-00-859-7-23-000 RENTALS-OPERATING LEASES 0210216636
-468.72 -468.72 CV Computer Void
Total Check per Fund: ARCHER CROSLEY,M.D.
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216625
-456.42 -456.42 CV Computer Void
17001569 RENTAL OF XEROX 5955APT DIGITAL COPIER
11054
-456.42 -456.42 CV Computer Void
17001569 RENTAL OF XEROX 5955APT DIGITAL COPIER
192-21-6269-00-859-7-23-000 RENTALS-OPERATING LEASES 0210216579
-468.72 -468.72 CV Computer Void
192-21-6269-00-859-7-23-000 RENTALS-OPERATING LEASES 00587041
ACH
SPECIAL EDUCATION/LOCAL
192-21-6269-00-859-7-23-000 RENTALS-OPERATING LEASES 00587040
5,000.00
Total Check per Fund:
192-21-6269-00-859-7-23-000 RENTALS-OPERATING LEASES 00587039
Status Description
LAUER GARY
17009776 CONSULTANT SERVICES - OFFENSIVE FOOTBA
181-36-6291-01-863-7-91-010 CONSULTANT SERVICES
Fund:
Status
ATHLETIC FUND 01/31/17
0210217795
216
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
85.00 85.00 C
Computer
495.00 40.00 40.00 C
Computer
40.00 25.00 25.00 C
Computer
25.00 53.18 53.18 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
192
Vendor Name
PO No
Description
4253
LAKESHORE LEARNING MATERIALS
0210216698
01/12/17
7932
Total Check per Fund: MARTINEZ ROSARIO
DEC. 2016
17001913 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES
00591247
01/12/17 210
50903
Total Check per Fund: NEURO REHAB AND PAIN INSTITUTE
17004270 OTHER HEALTH IMPAIRMENT FORM TO BE FI
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216721 00591155
01/12/17 DEC. 2016
58645
Total Check per Fund: PENA MELISSA M
17001359 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
192-21-6411-00-859-7-23-000 TRAVEL - EMPLOYEES 0210216794 00591056
01/12/17 379043
01/12/17 DEC. 2016
00591045
01/12/17 DEC. 2016
17001920 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
10843
Total Check per Fund: RODRIGUEZ JUAN
17001956 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
Total Check per Fund: 00591048
01/12/17 DEC. 2016
20528
17001959 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
Total Check per Fund: 00591049
01/12/17 DEC. 2016
7793
00590351
01/12/17 DEC. 2016
17001960 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
21227
Total Check per Fund: SALGADO CYNTHIA
17001961 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210216940 00590457
01/12/17 122316
15295
Total Check per Fund: THERA-KIDS INC
17006187 PHYSICAL THERAPY PROVIDED BY THERA KID
192-11-6219-00-870-7-23-010 PROFESSIONAL SERVICES 00590456
122316-1
17006188
192-31-6219-00-102-7-23-010 PROFESSIONAL SERVICES 00590456
122316-1
75.00 122.04 122.04 C
268.00 C
Computer
Computer
268.00 54.00 54.00 A
ACH
54.00 10.80 10.80 A
ACH
10.80 100.98 100.98 A
ACH
100.98
RUIZ DOMITILA
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210216926
Computer
ROSILLO JOSE
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210216925
75.00 C
MOYA NELSON
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210216924
75.00
268.00
18206
Computer
49.68
17007096 AUDIOLOGICAL EVALUATION FOR: 11/22/20
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210216922
49.68 49.68 C
Total Check per Fund: VALLEY EAR, NOSE & THROAT SPECIALISTS,PA
2065
Total Check per Fund: 00591112
Status Description
53.18
122.04
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210216889
Status
SPECIAL EDUCATION/LOCAL 01/12/17
0210216709
Amount Paid Acct Amt
0210216689
00591220
217
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006188
62.64 62.64 A
ACH
62.64 70.74 70.74 A
ACH
70.74 5,750.00 5,750.00 A
ACH
860.00 860.00 A 550.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
192
Vendor Name
PO No
Description
00590456
Acct Amt
122316-1
15295
122316-1
17006188
192-31-6219-00-118-7-23-010 PROFESSIONAL SERVICES 0210217128
01/19/17
00592078
208117644198
1630
Total Check per Fund: SCHOOL SPECIALTY INC.
17007637 FILE STORAGE CART LEGAL SCHOOL SMART R
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 01/19/17
0210217161 00592541
382429
00592403
01/19/17 DEC. 2016
01/19/17
00592271
DEC. 2016
01/19/17
00592279
4328161-0
8905
17001887 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
12181
Total Check per Fund: GARZA JUANA ANDREA
17001289 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17006552 ECR548 SADDLE BAG CART
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 00592287
4339234-0
17007597 FRAME 18*24
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 00592415
4347329-0
17008428 PANNER REFILLS
192-21-6399-00-859-7-23-000 GENERAL SUPPLIES 00592417
4348794-0
17008546 MAXELL HP.NC-11 NOISE CANCELING HEADPH
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 01/19/17
0210217260 00591809
05
126314
Total Check per Fund: BELIEVE N CARE REHAB SERVICES
17006085 OCCUPATIONAL EVALUATIONS PROVIDED BY B
192-31-6219-00-001-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-004-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-007-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-041-7-23-010 PROFESSIONAL SERVICES 00591809
05
860.00 A
17006085
192-31-6219-00-042-7-23-010 PROFESSIONAL SERVICES
ACH
8,020.00 32.92 32.92 C
268.00
Total Check per Fund: GARCIA MANUELA L.
ACH
860.00
17007310 AUDIOLOGICAL & OTOLOGICAL FOR STUDENT
2065
192-21-6411-00-859-7-23-000 TRAVEL - EMPLOYEES 0210217191
550.00 A
32.92
192-31-6411-00-870-7-23-000 TRAVEL - EMPLOYEES 0210217187
Status Description
550.00
Total Check per Fund: VALLEY EAR, NOSE & THROAT SPECIALISTS,PA
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 0210217182
Status
THERA-KIDS INC
17006188
192-31-6219-00-106-7-23-010 PROFESSIONAL SERVICES 00590456
Amount Paid
SPECIAL EDUCATION/LOCAL 01/12/17
0210216940
218
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
268.00 C
Computer
Computer
268.00 121.50 121.50 A
ACH
121.50 55.08 55.08 A
ACH
55.08 201.89 201.89 A
ACH
375.45 375.45 A
ACH
184.95 184.95 A
ACH
376.22 376.22 A
ACH
1,138.51 22.46 22.46 C
Computer
22.46 22.46 C
Computer
20.21 20.21 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
192
0210217260 00591811
Vendor Name
PO No
Description
Acct Amt
126314
05
17006085
192-31-6219-00-044-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-045-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-046-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-048-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-049-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-102-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-104-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-105-7-23-010 PROFESSIONAL SERVICES 00591811
05
17006085
192-31-6219-00-106-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-107-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-108-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-109-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-110-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-111-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-112-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-113-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-114-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-115-7-23-010 PROFESSIONAL SERVICES 00591809
05
17006085
192-31-6219-00-116-7-23-010 PROFESSIONAL SERVICES 00591809
05
Status
Status Description
BELIEVE N CARE REHAB SERVICES
17006085
192-31-6219-00-043-7-23-010 PROFESSIONAL SERVICES 00591811
Amount Paid
SPECIAL EDUCATION/LOCAL 01/19/17
05
219
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006085
11.23 11.23 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C
Computer
22.46 22.46 C 22.46
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
192
Vendor Name
PO No
Description
00591809
Acct Amt
05
126314
05
05
05
05
05
05
05
05
17006208 OCCUPATIONAL THERAPY PROVIDED BY BELI
192-11-6219-00-870-7-23-010 PROFESSIONAL SERVICES 0210217299 00591994
01/19/17 RIOMA014
42463
Total Check per Fund: DR. JOSE E. IGOA, M.D.,P.A.
17006647 HOMEBOUND RELEASE FORM TO BE FILLED OU
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES Total Check per Fund: 0210217497 00593595
01/26/17 I0035425
1019
00594261
01/26/17
17006258 MID BACK CHAIR: BRAND: HON, MODEL: H2
001908
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17005848 STORAGE BINS
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 0210217632 00594121
01/26/17
17591
2538
Total Check per Fund: CHAVEZ VERONICA AGC NATIONAL PRESENTERS SERIES IN HOU
Total Check per Fund: 00593684
01/26/17
22086
6855
01/26/17
ATTEND REGION 4 ESC @ W. TIDWELL HOUS
111058
Computer
Computer
22.46 C
Computer
22.46 C
Computer
22.30 C
Computer
21,152.70 21,152.70 C
Computer
21,902.70 20.00 20.00 C
Computer
20.00 406.65 406.65 C
Computer
406.65 41.56 Computer
41.56 171.16 171.16 A
ACH
171.16
GARCIA BRENDA
192-21-6411-00-859-7-23-000 TRAVEL - EMPLOYEES 0210217647
22.46 C
41.56 C
192-21-6411-00-859-7-23-000 TRAVEL - EMPLOYEES 0210217643
22.46 C
J.R., INC.
192-11-6395-00-870-7-23-000 ASSETS UNDER $500 0210217605
Computer
22.30
17006085
192-31-6219-00-127-7-23-010 PROFESSIONAL SERVICES 00591810
22.46 C
22.46
17006085
192-31-6219-00-126-7-23-010 PROFESSIONAL SERVICES 00591809
Computer
22.46
17006085
192-31-6219-00-124-7-23-010 PROFESSIONAL SERVICES 00591809
22.46 C
22.46
17006085
192-31-6219-00-123-7-23-010 PROFESSIONAL SERVICES 00591809
Computer
22.46
17006085
192-31-6219-00-122-7-23-010 PROFESSIONAL SERVICES 00591809
22.46 C
22.46
17006085
192-31-6219-00-121-7-23-010 PROFESSIONAL SERVICES 00591809
Computer
22.46
17006085
05
22.46 C 22.46
17006085
192-31-6219-00-120-7-23-010 PROFESSIONAL SERVICES 00591809
Status Description
22.46
192-31-6219-00-118-7-23-010 PROFESSIONAL SERVICES 00591809
Status
BELIEVE N CARE REHAB SERVICES
17006085
192-31-6219-00-117-7-23-010 PROFESSIONAL SERVICES 00591809
Amount Paid
SPECIAL EDUCATION/LOCAL 01/19/17
0210217260
220
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
174.10 174.10 A 174.10
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
192
Vendor Name
PO No
Amount Paid
Description
00593568
Acct Amt
4319583-0
111058
4324620-0
404.20 404.20 A
4322286-0
17005757 BSN62901
394.06 A
4322281-0
79.92 A
4348951-0
187.15 A
01/26/17 6093
00593830
13502
101.72 A
Total Check per Fund: TRAVEL ADVISORS INTERNATIONAL
17008512 AIRFARE
MCALLEN TO HOUSTON JAN 10-11
192-21-6411-00-859-7-23-000 TRAVEL - EMPLOYEES 01/27/17
0210217731
IUSI0077314
00594411
6962
Total Check per Fund: CRISIS PREVENTION INSTITUTE, INC.
17009337 RECERTIFICATION FEE FOR CRISIS PREVEN
01/27/17 0119201701
00594414
12063
17007045 TYPED REPORT OF PSYCHIATRIC EVALUATION
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES 01/27/17
0210217734
CORAL007
00594415
21401
17009157 PSYCHIATRIC EVALUATION FOR:
A. CORONA
199
0210215865 00586629
85.00
85.00
Computer
GENERAL FUND 01/10/17
IN933325
18896
DAHILL INDUSTRIES
16014707 RENTAL AND INSTALLATION OF TWO XEROX
IN906464
17004344 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN906464
17004344 3 HOLE PUNCH MODULE
IN945140
17004344 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN945140
17004344 3 HOLE PUNCH MODULE
199-23-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586632
Computer
260.00
38,290.73
199-11-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586631
260.00
Total Fund:
199-23-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586631
Computer
150.00
Total Check per Fund:
199-11-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586630
150.00
85.00 C
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00586630
ACH
4,206.00
260.00 C
Total Check per Fund: DR. HILDEBRANDO SALINAS, M.D.
192-31-6219-00-870-7-23-000 PROFESSIONAL SERVICES
Fund:
4,206.00
150.00 C
Total Check per Fund: DR. ELIZA G. SANCHEZ
ACH
1,167.05
4,206.00 A
192-31-6499-00-870-7-23-000 MISC OPERATING COSTS 0210217733
ACH
101.72
17008545 PENCIL SHPWRITER
192-11-6399-00-870-7-23-000 GENERAL SUPPLIES 0210217716
ACH
187.15
17005756
192-21-6399-00-859-7-23-000 GENERAL SUPPLIES 00593563
ACH
79.92
Electric 3H Punch
192-21-6395-00-870-7-23-000 FURN & EQUIP <$500 UNIT COST 00593565
ACH
394.06
17006131 PENS
192-21-6399-00-859-7-23-000 GENERAL SUPPLIES 00593566
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
17005760 STORAGE BOXES LETTER SIZE
192-21-6399-00-859-7-23-000 GENERAL SUPPLIES 00593567
Status
SPECIAL EDUCATION/LOCAL 01/26/17
0210217647
IN865684
221
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001863 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-108-7-11-000 RENTALS-OPERATING LEASES
-248.30 -248.30 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586632
Vendor Name Description
Acct Amt
01/10/17
18896
IN906491
17001863 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-108-7-11-000 RENTALS-OPERATING LEASES 00586633
IN906491
17001863 3 HOLE PUNCH MODULE
199-23-6269-00-108-7-99-000 RENTALS-OPERATING LEASES 00586634
IN945169
17001863 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-108-7-11-000 RENTALS-OPERATING LEASES 00586634
IN945169
17001863 3 HOLE PUNCH MODULE
199-23-6269-00-108-7-99-000 RENTALS-OPERATING LEASES 00586635
IN865680
17002850 3 HOLE PUNCH MODULE
199-11-6269-00-118-7-11-000 RENTALS-OPERATING LEASES 00586636
IN865681
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-118-7-99-000 RENTALS-OPERATING LEASES 00586637
IN906487
17002850 3 HOLE PUNCH MODULE
199-11-6269-00-118-7-11-000 RENTALS-OPERATING LEASES 00586638
IN906488
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-118-7-99-000 RENTALS-OPERATING LEASES 00586639
IN945165
17002850 3 HOLE PUNCH MODULE
199-11-6269-00-118-7-11-000 RENTALS-OPERATING LEASES 00586640
IN945166
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-118-7-99-000 RENTALS-OPERATING LEASES 00586641
IN865706
17002558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586642
IN906513
17002558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586643
IN945192
17002558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586644
IN865706
17002782 RENTAL OF XEROX 5955APT COPIER FOR SE
199-23-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586645
IN906513
17002782 RENTAL OF XEROX 5955APT COPIER FOR SE
199-23-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586646
IN945192
17002782 RENTAL OF XEROX 5955APT COPIER FOR SE
199-23-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586647
IN865694
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586647
IN865694
17001252 3 HOLE PUNCH MODULE
199-23-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586648
IN906501
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586648
Status
Status Description
DAHILL INDUSTRIES
17001863 3 HOLE PUNCH MODULE
199-23-6269-00-108-7-99-000 RENTALS-OPERATING LEASES 00586633
Amount Paid
GENERAL FUND
IN865684
IN906501
222
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001252 3 HOLE PUNCH MODULE
-228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -684.63 -684.63 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586648
Vendor Name Description
Acct Amt
01/10/17
18896
IN945179
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586649
IN945179
17001252 3 HOLE PUNCH MODULE
199-23-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586650
IN865696
17002317 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-112-7-11-000 RENTALS-OPERATING LEASES 00586650
IN865696
17002317 3 HOLE PUNCH MODULE
199-23-6269-00-112-7-99-000 RENTALS-OPERATING LEASES 00586651
IN906503
17002317 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-112-7-11-000 RENTALS-OPERATING LEASES 00586651
IN906503
17002317 3 HOLE PUNCH MODULE
199-23-6269-00-112-7-99-000 RENTALS-OPERATING LEASES 00586652
IN945181
17002317 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-112-7-11-000 RENTALS-OPERATING LEASES 00586652
IN945181
17002317 3 HOLE PUNCH MODULE
199-23-6269-00-112-7-99-000 RENTALS-OPERATING LEASES 00586653
IN865671
17002313 3 PUNCH HOLE MODULE
199-11-6269-00-106-7-11-000 RENTALS-OPERATING LEASES 00586653
IN865671
17002313 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-106-7-99-000 RENTALS-OPERATING LEASES 00586654
IN906478
17002313 3 PUNCH HOLE MODULE
199-11-6269-00-106-7-11-000 RENTALS-OPERATING LEASES 00586654
IN906478
17002313 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-106-7-99-000 RENTALS-OPERATING LEASES 00586655
IN945154
17002313 3 PUNCH HOLE MODULE
199-11-6269-00-106-7-11-000 RENTALS-OPERATING LEASES 00586655
IN945154
17002313 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-106-7-99-000 RENTALS-OPERATING LEASES 00586656
IN865692
17001243 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-102-7-11-000 RENTALS-OPERATING LEASES 00586656
IN865692
17001243 3 HOLE PUNCH MODULE
199-23-6269-00-102-7-99-000 RENTALS-OPERATING LEASES 00586657
IN906499
17001243 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-102-7-11-000 RENTALS-OPERATING LEASES 00586657
IN906499
17001243 3 HOLE PUNCH MODULE
199-23-6269-00-102-7-99-000 RENTALS-OPERATING LEASES 00586658
IN945177
17001243 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-102-7-11-000 RENTALS-OPERATING LEASES 00586658
Status
Status Description
DAHILL INDUSTRIES
17001252 3 HOLE PUNCH MODULE
199-23-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586649
Amount Paid
GENERAL FUND
IN906501
IN945177
223
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001243 3 HOLE PUNCH MODULE
-228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586658
Vendor Name Description
Acct Amt
01/10/17
18896
IN865708
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586660
IN906515
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586661
IN945194
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586662
IN865679
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586662
IN865679
17000822 3 HOLE PUNCH MODULE
199-23-6269-00-120-7-99-000 RENTALS-OPERATING LEASES 00586663
IN906486
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586663
IN906486
17000822 3 HOLE PUNCH MODULE
199-23-6269-00-120-7-99-000 RENTALS-OPERATING LEASES 00586664
IN945164
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586664
IN945164
17000822 3 HOLE PUNCH MODULE
199-23-6269-00-120-7-99-000 RENTALS-OPERATING LEASES 00586665
IN865687
17002310 RENTAL OF XEROX 5955AFT DIGITAL COPIER
199-11-6269-00-113-7-11-000 RENTALS-OPERATING LEASES 00586665
IN865687
17002310 3 HOLE PUNCH MODULE
199-23-6269-00-113-7-99-000 RENTALS-OPERATING LEASES 00586666
IN906494
17002310 RENTAL OF XEROX 5955AFT DIGITAL COPIER
199-11-6269-00-113-7-11-000 RENTALS-OPERATING LEASES 00586666
IN906494
17002310 3 HOLE PUNCH MODULE
199-23-6269-00-113-7-99-000 RENTALS-OPERATING LEASES 00586667
IN945172
17002310 RENTAL OF XEROX 5955AFT DIGITAL COPIER
199-11-6269-00-113-7-11-000 RENTALS-OPERATING LEASES 00586667
IN945172
17002310 3 HOLE PUNCH MODULE
199-23-6269-00-113-7-99-000 RENTALS-OPERATING LEASES 00586668
IN865751
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
199-11-6269-00-127-7-11-000 RENTALS-OPERATING LEASES 00586668
IN865751
17002052 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-127-7-99-000 RENTALS-OPERATING LEASES 00586669
IN906561
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
199-11-6269-00-127-7-11-000 RENTALS-OPERATING LEASES 00586669
IN906561
17002052 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-127-7-99-000 RENTALS-OPERATING LEASES 00586670
Status
Status Description
DAHILL INDUSTRIES
17001243 3 HOLE PUNCH MODULE
199-23-6269-00-102-7-99-000 RENTALS-OPERATING LEASES 00586659
Amount Paid
GENERAL FUND
IN945177
IN945240
224
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586670
Vendor Name Description
Acct Amt
01/10/17
18896
IN945240
17002052 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-127-7-99-000 RENTALS-OPERATING LEASES 00586671
IN865677
17001567 3 HOLE PUNCH MODULE
199-11-6269-00-124-7-11-000 RENTALS-OPERATING LEASES 00586671
IN865677
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
199-23-6269-00-124-7-99-000 RENTALS-OPERATING LEASES 00586672
IN906484
17001567 3 HOLE PUNCH MODULE
199-11-6269-00-124-7-11-000 RENTALS-OPERATING LEASES 00586672
IN906484
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
199-23-6269-00-124-7-99-000 RENTALS-OPERATING LEASES 00586673
IN945162
17001567 3 HOLE PUNCH MODULE
199-11-6269-00-124-7-11-000 RENTALS-OPERATING LEASES 00586673
IN945162
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
199-23-6269-00-124-7-99-000 RENTALS-OPERATING LEASES 00586674
IN865672
17001253 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-121-7-11-000 RENTALS-OPERATING LEASES 00586674
IN865672
17001253 3 HOLE PUNCH MODULE 3 HOLE PUNCH MODU
199-23-6269-00-121-7-99-000 RENTALS-OPERATING LEASES 00586675
IN906479
17001253 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-121-7-11-000 RENTALS-OPERATING LEASES 00586675
IN906479
17001253 3 HOLE PUNCH MODULE 3 HOLE PUNCH MODU
199-23-6269-00-121-7-99-000 RENTALS-OPERATING LEASES 00586676
IN945155
17001253 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-121-7-11-000 RENTALS-OPERATING LEASES 00586676
IN945155
17001253 3 HOLE PUNCH MODULE 3 HOLE PUNCH MODU
199-23-6269-00-121-7-99-000 RENTALS-OPERATING LEASES 00586677
IN865673
17001249 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586677
IN865673
17001249 3 HOLE PUNCH MODULE
199-23-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586678
IN906480
17001249 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586678
IN906480
17001249 3 HOLE PUNCH MODULE
199-23-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586679
IN945156
17001249 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586679
IN945156
17001249 3 HOLE PUNCH MODULE
199-23-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586680
Status
Status Description
DAHILL INDUSTRIES
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
199-11-6269-00-127-7-11-000 RENTALS-OPERATING LEASES 00586670
Amount Paid
GENERAL FUND
IN945240
IN865693
225
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
-456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586680
Vendor Name Description
Acct Amt
01/10/17
18896
IN865693
17001248 3 HOLE PUNCH MODULE
199-23-6269-00-114-7-99-000 RENTALS-OPERATING LEASES 00586681
IN906500
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-114-7-11-000 RENTALS-OPERATING LEASES 00586681
IN906500
17001248 3 HOLE PUNCH MODULE
199-23-6269-00-114-7-99-000 RENTALS-OPERATING LEASES 00586682
IN945178
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-114-7-11-000 RENTALS-OPERATING LEASES 00586682
IN945178
17001248 3 HOLE PUNCH MODULE
199-23-6269-00-114-7-99-000 RENTALS-OPERATING LEASES 00586683
IN865678
17001244 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586683
IN865678
17001244 3 HOLE PUNCH MODULE
199-23-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586684
IN906485
17001244 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586684
IN906485
17001244 3 HOLE PUNCH MODULE
199-23-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586685
IN945163
17001244 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586685
IN945163
17001244 3 HOLE PUNCH MODULE
199-23-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586686
IN865698
17001241 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586686
IN865698
17001241 3 HOLE PUNCH MODULE
199-23-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586687
IN906505
17001241 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586687
IN906505
17001241 3 HOLE PUNCH MODULE
199-23-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586688
IN945183
17001241 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586688
IN945183
17001241 3 HOLE PUNCH MODULE
199-23-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586689
IN865755
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
199-11-6269-00-126-7-11-000 RENTALS-OPERATING LEASES 00586689
IN865755
17001240 3 HOLE PUNCH MODULE
199-23-6269-00-126-7-99-000 RENTALS-OPERATING LEASES 00586690
Status
Status Description
DAHILL INDUSTRIES
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-114-7-11-000 RENTALS-OPERATING LEASES 00586680
Amount Paid
GENERAL FUND
IN865693
IN906565
226
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
-684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586690
Vendor Name Description
Acct Amt
01/10/17
18896
IN906565
17001240 3 HOLE PUNCH MODULE
199-23-6269-00-126-7-99-000 RENTALS-OPERATING LEASES 00586691
IN945244
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
199-11-6269-00-126-7-11-000 RENTALS-OPERATING LEASES 00586691
IN945244
17001240 3 HOLE PUNCH MODULE
199-23-6269-00-126-7-99-000 RENTALS-OPERATING LEASES 00586692
IN865661
17000836 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-117-7-11-000 RENTALS-OPERATING LEASES 00586692
IN865661
17000836 3 HOLE PUNCH MODULE
199-23-6269-00-117-7-99-000 RENTALS-OPERATING LEASES 00586693
IN906467
17000836 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-117-7-11-000 RENTALS-OPERATING LEASES 00586693
IN906467
17000836 3 HOLE PUNCH MODULE
199-23-6269-00-117-7-99-000 RENTALS-OPERATING LEASES 00586694
IN945143
17000836 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-117-7-11-000 RENTALS-OPERATING LEASES 00586694
IN945143
17000836 3 HOLE PUNCH MODULE
199-23-6269-00-117-7-99-000 RENTALS-OPERATING LEASES 00586695
IN865695
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-107-7-11-000 RENTALS-OPERATING LEASES 00586695
IN865695
17000827 3 HOLE PUNCH MODULE
199-23-6269-00-107-7-99-000 RENTALS-OPERATING LEASES 00586696
IN906502
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-107-7-11-000 RENTALS-OPERATING LEASES 00586696
IN906502
17000827 3 HOLE PUNCH MODULE
199-23-6269-00-107-7-99-000 RENTALS-OPERATING LEASES 00586697
IN945180
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-107-7-11-000 RENTALS-OPERATING LEASES 00586697
IN945180
17000827 3 HOLE PUNCH MODULE
199-23-6269-00-107-7-99-000 RENTALS-OPERATING LEASES 00586698
IN865704
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-104-7-11-000 RENTALS-OPERATING LEASES 00586698
IN865704
17000831 3 HOLE PUNCH MODULE
199-23-6269-00-104-7-99-000 RENTALS-OPERATING LEASES 00586699
IN906511
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-104-7-11-000 RENTALS-OPERATING LEASES 00586699
IN906511
17000831 3 HOLE PUNCH MODULE
199-23-6269-00-104-7-99-000 RENTALS-OPERATING LEASES 00586700
Status
Status Description
DAHILL INDUSTRIES
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
199-11-6269-00-126-7-11-000 RENTALS-OPERATING LEASES 00586690
Amount Paid
GENERAL FUND
IN906565
IN945190
227
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
-456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586700
Vendor Name Description
Acct Amt
01/10/17
18896
IN945190
17000831 3 HOLE PUNCH MODULE
199-23-6269-00-104-7-99-000 RENTALS-OPERATING LEASES 00586701
IN865697
17000829 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-115-7-11-000 RENTALS-OPERATING LEASES 00586701
IN865697
17000829 3 HOLE PUNCH MODULE
199-23-6269-00-115-7-99-000 RENTALS-OPERATING LEASES 00586702
IN906504
17000829 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-115-7-11-000 RENTALS-OPERATING LEASES 00586702
IN906504
17000829 3 HOLE PUNCH MODULE
199-23-6269-00-115-7-99-000 RENTALS-OPERATING LEASES 00586703
IN945182
17000829 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-115-7-11-000 RENTALS-OPERATING LEASES 00586703
IN945182
17000829 3 HOLE PUNCH MODULE
199-23-6269-00-115-7-99-000 RENTALS-OPERATING LEASES 00586704
IN865754
17000824 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-123-7-11-000 RENTALS-OPERATING LEASES 00586704
IN865754
17000824 3 HOLE PUNCH MODULE
199-23-6269-00-123-7-99-000 RENTALS-OPERATING LEASES 00586705
IN906564
17000824 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-123-7-11-000 RENTALS-OPERATING LEASES 00586705
IN906564
17000824 3 HOLE PUNCH MODULE
199-23-6269-00-123-7-99-000 RENTALS-OPERATING LEASES 00586706
IN945243
17000824 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-123-7-11-000 RENTALS-OPERATING LEASES 00586706
IN945243
17000824 3 HOLE PUNCH MODULE
199-23-6269-00-123-7-99-000 RENTALS-OPERATING LEASES 00586707
IN865685
17000380 RENTAL ON XEROX 5955APT DIGITAL COPIER
199-11-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586707
IN865685
17000380 3 HOLE PUNCH MODULE
199-23-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586708
IN906492
17000380 RENTAL ON XEROX 5955APT DIGITAL COPIER
199-11-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586708
IN906492
17000380 3 HOLE PUNCH MODULE
199-23-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586709
IN945170
17000380 RENTAL ON XEROX 5955APT DIGITAL COPIER
199-11-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586709
IN945170
17000380 3 HOLE PUNCH MODULE
199-23-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586710
Status
Status Description
DAHILL INDUSTRIES
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-104-7-11-000 RENTALS-OPERATING LEASES 00586700
Amount Paid
GENERAL FUND
IN945190
IN865659
228
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
-684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586710
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN865659
17002315 3 HOLE PUNCH MODULE FOR DE ZAVALA MS
199-23-6269-00-041-7-99-000 RENTALS-OPERATING LEASES 00586711
IN906465
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-041-7-11-000 RENTALS-OPERATING LEASES 00586711
IN906465
17002315 3 HOLE PUNCH MODULE FOR DE ZAVALA MS
199-23-6269-00-041-7-99-000 RENTALS-OPERATING LEASES 00586712
IN945141
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-041-7-11-000 RENTALS-OPERATING LEASES 00586712
IN945141
17002315 3 HOLE PUNCH MODULE FOR DE ZAVALA MS
199-23-6269-00-041-7-99-000 RENTALS-OPERATING LEASES 00586713
IN865757
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586714
IN865759
17002314 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586715
IN865716
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586716
IN906567
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586717
IN906569
17002314 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586718
IN906523
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586719
IN945246
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586720
IN945248
17002314 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586721
IN945203
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586722
IN865690
17002050 3 HOLE PUNCH MODULE
199-23-6269-00-046-7-11-000 RENTALS 00586723
IN865691
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-046-7-11-000 RENTALS-OPERATING LEASES 00586724
IN906497
17002050 3 HOLE PUNCH MODULE
199-23-6269-00-046-7-11-000 RENTALS 00586725
IN906498
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-046-7-11-000 RENTALS-OPERATING LEASES 00586726
IN945175
17002050 3 HOLE PUNCH MODULE
199-23-6269-00-046-7-11-000 RENTALS 00586727
Status
Status Description
DAHILL INDUSTRIES
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-041-7-11-000 RENTALS-OPERATING LEASES 00586710
Amount Paid
GENERAL FUND
IN865659
IN945176
229
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
-912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586727
Vendor Name Description
Acct Amt
01/10/17
18896
IN865688
17001251 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-044-7-11-000 RENTALS-OPERATING LEASES 00586728
IN865688
17001251 3 HOLE PUNCH MODULE
199-23-6269-00-044-7-99-000 RENTALS-OPERATING LEASES 00586729
IN906495
17001251 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-044-7-11-000 RENTALS-OPERATING LEASES 00586729
IN906495
17001251 3 HOLE PUNCH MODULE
199-23-6269-00-044-7-99-000 RENTALS-OPERATING LEASES 00586730
IN945173
17001251 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-044-7-11-000 RENTALS-OPERATING LEASES 00586730
IN945173
17001251 3 HOLE PUNCH MODULE
199-23-6269-00-044-7-99-000 RENTALS-OPERATING LEASES 00586731
IN865682
17000838 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586731
IN865682
17000838 3 HOLE PUNCH MODULE
199-23-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586732
IN906489
17000838 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586732
IN906489
17000838 3 HOLE PUNCH MODULE
199-23-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586733
IN945167
17000838 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586733
IN945167
17000838 3 HOLE PUNCH MODULE
199-23-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586734
IN865725
17000996 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00586734
IN865725
17000996 3 HOLE PUNCH MODULE
199-23-6269-00-043-7-99-000 RENTALS-OPERATING LEASES 00586735
IN906533
17000996 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00586735
IN906533
17000996 3 HOLE PUNCH MODULE
199-23-6269-00-043-7-99-000 RENTALS-OPERATING LEASES 00586736
IN945213
17000996 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00586736
IN945213
17000996 3 HOLE PUNCH MODULE
199-23-6269-00-043-7-99-000 RENTALS-OPERATING LEASES 00586737
IN865723
17000823 3 HOLE PUNCH MODULE
199-11-6269-00-005-7-28-000 RENTALS-OPERATING LEASES 00586738
Status
Status Description
DAHILL INDUSTRIES
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-046-7-11-000 RENTALS-OPERATING LEASES 00586728
Amount Paid
GENERAL FUND
IN945176
IN906531
230
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000823 3 HOLE PUNCH MODULE
-684.63 -684.63 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586738
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/10/17
18896
-228.21
IN945211
-228.21 CV Computer Void -228.21
17000823 3 HOLE PUNCH MODULE
-228.21 CV Computer Void
199-11-6269-00-005-7-28-000 RENTALS-OPERATING LEASES 00586740
IN865662
-228.21
17001862 3 HOLE PUNCH MODULE
-228.21 CV Computer Void
199-11-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586741
IN865663
17001862 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586742
IN906468
IN906469
-228.21 -228.21 CV Computer Void
17001862 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586744
IN945145
IN945144
-228.21
17001862 3 HOLE PUNCH MODULE
-228.21 CV Computer Void
17001862 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586746
IN865750
17002781 RENTAL OF XEROX WORK
IN906560
17002781 RENTAL OF XEROX WORK
IN945239
17002781 RENTAL OF XEROX WORK
CM47208
17002781 RENTAL OF XEROX WORK
CM47207
17002781 RENTAL OF XEROX WORK
CM47206
17002781 RENTAL OF XEROX WORK
CM47204
17002781 RENTAL OF XEROX WORK
CM47205
17002781 RENTAL OF XEROX WORK
IN865705
17000835 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-021-7-11-000 RENTALS-OPERATING LEASES 00586755
IN906512
17000835 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-021-7-11-000 RENTALS-OPERATING LEASES 00586756
IN945191
17000835 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-021-7-11-000 RENTALS-OPERATING LEASES 00586757
IN865664
17001250 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00586758
IN906470
18.82 18.82 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586754
18.82 18.82 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586753
18.82 18.82 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586752
18.82 18.82 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586751
-228.21 -228.21 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586750
-228.21 -228.21 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586749
-228.21 -228.21 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586748
-228.21 -228.21 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586747
-228.21 -228.21 CV Computer Void
199-11-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586745
-228.21 -228.21 CV Computer Void
17001862 3 HOLE PUNCH MODULE
199-11-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586743
Status Description
DAHILL INDUSTRIES
17000823 3 HOLE PUNCH MODULE
199-11-6269-00-005-7-28-000 RENTALS-OPERATING LEASES 00586739
Status
GENERAL FUND
IN906531
231
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001250 RENTAL OF XEROX 5955APT DIGITAL COPIER
18.82 18.82 CV Computer Void -456.42 -456.42 CV Computer Void -456.42 -456.42 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586758
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN945146
IN865738
IN906547
17001564 3 HOLE PUNCH MODULE FOR ACADEMY LJ NOR
199-11-6269-00-024-7-11-000 RENTALS-OPERATING LEASES 00586762
IN945226
17001564 3 HOLE PUNCH MODULE FOR ACADEMY LJ NOR
199-11-6269-00-024-7-11-000 RENTALS-OPERATING LEASES 00586763
IN865752
17000997 RETAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-004-7-99-ACA RENTALS & OPERATING LEASES 00586764
IN906562
17000997 RETAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-004-7-99-ACA RENTALS & OPERATING LEASES 00586765
IN945241
17000997 RETAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-004-7-99-ACA RENTALS & OPERATING LEASES 00586766
IN865753
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-004-7-11-000 RENTALS-OPERATING LEASES 00586766
IN865753
17000818 3 HOLE PUNCH
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00586767
IN906563
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-004-7-11-000 RENTALS-OPERATING LEASES 00586767
IN906563
17000818 3 HOLE PUNCH
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00586768
IN945242
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-004-7-11-000 RENTALS-OPERATING LEASES 00586768
IN945242
17000818 3 HOLE PUNCH
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00586769
IN865708
17001237 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-007-7-11-000 RENTALS-OPERATING LEASES 00586770
IN865715
17001237 3 HOLE
PUNCH MODULE
199-23-6269-00-007-7-99-000 RENTALS-OPERATING LEASES 00586771
IN906515
17001237 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-007-7-11-000 RENTALS-OPERATING LEASES 00586772
IN906522
17001237 3 HOLE
PUNCH MODULE
199-23-6269-00-007-7-99-000 RENTALS-OPERATING LEASES 00586773
IN945194
17001237 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-007-7-11-000 RENTALS-OPERATING LEASES 00586774
IN945202
17001237 3 HOLE
PUNCH MODULE
199-23-6269-00-007-7-99-000 RENTALS-OPERATING LEASES 00586775
IN865763
-228.21 -228.21 -228.21 CV Computer Void
17001564 3 HOLE PUNCH MODULE FOR ACADEMY LJ NOR
199-11-6269-00-024-7-11-000 RENTALS-OPERATING LEASES 00586761
Status Description
-228.21 CV Computer Void
17001250 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00586760
Status
DAHILL INDUSTRIES
17001250 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00586759
Amount Paid
GENERAL FUND
IN906470
232
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -919.00 -919.00 CV Computer Void -457.96 -457.96 CV Computer Void -919.00 -919.00 CV Computer Void -457.96 -457.96 CV Computer Void -919.00 -919.00 CV Computer Void -457.96 -457.96 CV Computer Void -1,369.26 -1,369.26 CV Computer Void -228.21 -228.21 CV Computer Void -1,369.26 -1,369.26 CV Computer Void -228.21 -228.21 CV Computer Void -1,369.26 -1,369.26 CV Computer Void -228.21 -228.21 CV Computer Void -64.96
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586775
Vendor Name Description
Acct Amt
01/10/17
18896
IN865763
17001247 OVERAGES
199-12-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00586776
IN906573
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00586777
IN945252
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00586781
IN865745
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586782
IN906554
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586783
IN945233
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586784
IN945148
17005597 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-022-7-11-000 RENTALS - OPERATING LEASES 00586788
IN865758
17000821 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-865-7-99-000 RENTALS-OPERATING LEASES 00586789
IN906568
17000821 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-865-7-99-000 RENTALS-OPERATING LEASES 00586790
IN945247
17000821 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-865-7-99-000 RENTALS-OPERATING LEASES 00586794
IN865676
17000130 Rental of Xerox 5955APT Digital Copie
199-41-6269-00-947-7-99-000 RENTALS-OPERATING LEASES 00586795
IN906483
17000130 Rental of Xerox 5955APT Digital Copie
199-41-6269-00-947-7-99-000 RENTALS-OPERATING LEASES 00586796
IN945159
17000130 Rental of Xerox 5955APT Digital Copie
199-41-6269-00-947-7-99-000 RENTALS-OPERATING LEASES 00586797
IN865709
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586798
IN865747
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586799
IN906516
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586800
IN906556
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586801
IN945196
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586802
IN945235
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00586803
Status
Status Description
DAHILL INDUSTRIES
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00586775
Amount Paid
GENERAL FUND
IN865763
IN865699
233
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
-64.96 -64.96 CV Computer Void -57.29 -57.29 CV Computer Void -122.25 -122.25 CV Computer Void -122.25 -122.25 CV Computer Void -355.15 -355.15 CV Computer Void -355.15 -355.15 CV Computer Void -355.15 -355.15 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void -349.44 -349.44 CV Computer Void -395.36 -395.36 CV Computer Void -349.44 -349.44 CV Computer Void -395.36 -395.36 CV Computer Void -349.44 -349.44 CV Computer Void -395.36 -395.36 CV Computer Void -395.36
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586803
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN906506
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-986-7-99-000 RENTALS 00586805
IN945184
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-986-7-99-000 RENTALS 00586806
IN865737
17002054 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-12-6299-00-888-7-99-000 MISC CONTRACTED SERVICES 00586807
IN906546
17002054 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-12-6299-00-888-7-99-000 MISC CONTRACTED SERVICES 00586808
IN945225
17002054 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-12-6299-00-888-7-99-000 MISC CONTRACTED SERVICES 00586812
IN865660
17002852 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-041-7-11-010 RENTALS-OPERATING LEASES 00586813
IN906466
17002852 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-041-7-11-010 RENTALS-OPERATING LEASES 00586814
IN945142
17002852 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-041-7-11-010 RENTALS-OPERATING LEASES 00586815
IN865683
17002853 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-042-7-11-010 RENTALS-OPERATING LEASES 00586816
IN906490
17002853 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-042-7-11-010 RENTALS-OPERATING LEASES 00586817
IN945168
17002853 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-042-7-11-010 RENTALS-OPERATING LEASES 00586818
IN865689
17002854 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-044-7-11-010 RENTALS-OPERATING LEASES 00586819
IN906496
17002854 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-044-7-11-010 RENTALS-OPERATING LEASES 00586820
IN945174
17002854 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-044-7-11-010 RENTALS-OPERATING LEASES 00586821
IN865701
17000825 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00586822
IN906508
17000825 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00586823
IN945186
17000825 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00586824
IN865722
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586825
IN906530
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586826
Status
Status Description
DAHILL INDUSTRIES
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-986-7-99-000 RENTALS 00586804
Amount Paid
GENERAL FUND
IN865699
IN945210
234
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
-395.36 -395.36 CV Computer Void -395.36 -395.36 CV Computer Void -395.36 -395.36 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -369.51 -369.51 CV Computer Void -369.51 -369.51 CV Computer Void -369.51 -369.51 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586826
Vendor Name Description
Acct Amt
01/10/17
18896
IN865761
17000841 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-52-6269-99-993-7-99-000 RENTALS-OPERATING LEASES 00586834
IN906571
17000841 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-52-6269-99-993-7-99-000 RENTALS-OPERATING LEASES 00586835
IN945250
17000841 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-52-6269-99-993-7-99-000 RENTALS-OPERATING LEASES 00586842
IN865665
17001565 RENTAL OF XEROX 5955APT WORKCENTRE CO
199-36-6269-00-839-7-99-000 RENTALS-OPERATING LEASES 00586843
IN906471
17001565 RENTAL OF XEROX 5955APT WORKCENTRE CO
199-36-6269-00-839-7-99-000 RENTALS-OPERATING LEASES 00586844
IN945147
17001565 RENTAL OF XEROX 5955APT WORKCENTRE CO
199-36-6269-00-839-7-99-000 RENTALS-OPERATING LEASES 00586845
IN865756
17000837 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586846
IN906566
17000837 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586847
IN945245
17000837 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586848
IN865700
17000839 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586849
IN906507
17000839 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586850
IN945185
17000839 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586851
IN865675
17002870 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586852
IN906482
17002870 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586853
IN945158
17002870 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586857
IN865740
17002311 Rental of Xerox W5335PT Digital Copie
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586858
IN906549
17002311 Rental of Xerox W5335PT Digital Copie
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586859
IN945228
17002311 Rental of Xerox W5335PT Digital Copie
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586860
IN865744
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-21-6269-00-889-7-11-000 RENTALS - OPERATING LEASES 00586861
Status
Status Description
DAHILL INDUSTRIES
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00586833
Amount Paid
GENERAL FUND
IN945210
IN906553
235
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -141.30 -141.30 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586861
Vendor Name Description
Acct Amt
01/10/17
18896
IN945232
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-21-6269-00-889-7-11-000 RENTALS - OPERATING LEASES 00586866
IN865703
17000828 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586867
IN906510
17000828 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586868
IN945189
17000828 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586869
IN891668
17001242 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586870
IN906557
17001242 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586871
IN945236
17001242 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00586872
IN865728
17000830 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00586873
IN906536
17000830 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00586874
IN945216
17000830 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00586875
IN865742
17000834 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586876
IN906551
17000834 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586877
IN945230
17000834 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586878
IN865741
17000833 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586879
IN906550
17000833 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586880
IN945229
17000833 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586881
IN865734
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-893-7-99-000 RENTALS-OPERATING LEASES 00586882
IN906543
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-893-7-99-000 RENTALS-OPERATING LEASES 00586883
IN945222
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-893-7-99-000 RENTALS-OPERATING LEASES 00586887
Status
Status Description
DAHILL INDUSTRIES
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-21-6269-00-889-7-11-000 RENTALS - OPERATING LEASES 00586862
Amount Paid
GENERAL FUND
IN906553
IN865721
236
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
-141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -395.36 -395.36 CV Computer Void -395.36 -395.36 CV Computer Void -395.36 -395.36 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586887
Vendor Name Description
Acct Amt
01/10/17
18896
IN906528
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-049-7-11-010 RENTALS-OPERATING LEASES 00586889
IN945208
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-049-7-11-010 RENTALS-OPERATING LEASES 00586890
IN865717
17002869 Rental for Xerox WC5335PT Digital Cop
199-41-6269-00-976-7-99-000 RENTALS - OPERATING LEASES 00586891
IN906524
17002869 Rental for Xerox WC5335PT Digital Cop
199-41-6269-00-976-7-99-000 RENTALS - OPERATING LEASES 00586892
IN945204
17002869 Rental for Xerox WC5335PT Digital Cop
199-41-6269-00-976-7-99-000 RENTALS - OPERATING LEASES 00586893
IN865710
17002856 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-043-7-11-010 RENTALS-OPERATING LEASES 00586894
IN906517
17002856 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-043-7-11-010 RENTALS-OPERATING LEASES 00586895
IN945197
17002856 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-043-7-11-010 RENTALS-OPERATING LEASES 00586896
IN865713
17002857 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-046-7-11-010 RENTALS-OPERATING LEASES 00586897
IN906520
17002857 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-046-7-11-010 RENTALS-OPERATING LEASES 00586898
IN945200
17002857 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-046-7-11-010 RENTALS-OPERATING LEASES 00586899
IN865719
17002858 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-048-7-11-010 RENTALS-OPERATING LEASES 00586900
IN906526
17002858 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-048-7-11-010 RENTALS-OPERATING LEASES 00586901
IN865720
17002785 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586902
IN906527
17002785 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586903
IN945207
17002785 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586904
IN865718
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586905
IN906525
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586906
IN945205
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00586907
Status
Status Description
DAHILL INDUSTRIES
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-049-7-11-010 RENTALS-OPERATING LEASES 00586888
Amount Paid
GENERAL FUND
IN865721
IN865686
237
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
-141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586907
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN906493
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-045-7-11-010 RENTALS-OPERATING LEASES 00586909
IN945171
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-045-7-11-010 RENTALS-OPERATING LEASES 00586910
IN865667
17002784 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-36-6269-30-001-7-11-010 RENTALS-OPERATING LEASES 00586911
IN906473
17002784 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-36-6269-30-001-7-11-010 RENTALS-OPERATING LEASES 00586912
IN945149
17002784 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-36-6269-30-001-7-11-010 RENTALS-OPERATING LEASES 00586913
IN865666
RENTAL - COPIER MACHINE - SEPTEMBER 2
199-11-6269-00-022-7-11-000 RENTALS - OPERATING LEASES 00586914
IN906472
RENTAL - COPIER MACHINE - OCTOBER 201
199-11-6269-00-022-7-11-000 RENTALS - OPERATING LEASES 00586915
IN865658
RENTAL - COPIER MACHINE - SEPTEMBER 2
199-11-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586915
IN865658
RENTAL - COPIER MACHINE - SEPTEMBER 2
199-23-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586916
IN983096
17000841 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-52-6269-99-993-7-99-000 RENTALS-OPERATING LEASES 00586917
IN963287
17002779 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00586918
IN963288
17002779 3 HOLE PUNCH MODULE
199-23-6269-00-028-7-11-000 RENTALS - OPERATING LEASES 00586919
IN891667
17000832 RENTAL OF XEROX 7845APT COLOR COPIER
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 00586920
IN910566
17000832 RENTAL OF XEROX 7845APT COLOR COPIER
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 00586921
IN945188
17000832 RENTAL OF XEROX 7845APT COLOR COPIER
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 00586925
IN983015
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00586926
IN983560
17000822 3 HOLE PUNCH MODULE
199-23-6269-00-120-7-99-000 RENTALS-OPERATING LEASES 00586927
IN983089
17000824 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-123-7-11-000 RENTALS-OPERATING LEASES 00586927
IN983089
17000824 3 HOLE PUNCH MODULE
199-23-6269-00-123-7-99-000 RENTALS-OPERATING LEASES 00586928
Status
Status Description
DAHILL INDUSTRIES
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-045-7-11-010 RENTALS-OPERATING LEASES 00586908
Amount Paid
GENERAL FUND
IN865686
IN983029
238
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
-141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.51 -228.51 CV Computer Void -228.51 -228.51 CV Computer Void -389.21 -389.21 CV Computer Void -389.21 -389.21 CV Computer Void -389.21 -389.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586928
Vendor Name Description
Acct Amt
01/10/17
18896
IN983029
17000827 3 HOLE PUNCH MODULE
199-23-6269-00-107-7-99-000 RENTALS-OPERATING LEASES 00586929
IN983031
17000829 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-115-7-11-000 RENTALS-OPERATING LEASES 00586929
IN983031
17000829 3 HOLE PUNCH MODULE
199-23-6269-00-115-7-99-000 RENTALS-OPERATING LEASES 00586930
IN983039
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-104-7-11-000 RENTALS-OPERATING LEASES 00586930
IN983039
17000831 3 HOLE PUNCH MODULE
199-23-6269-00-104-7-99-000 RENTALS-OPERATING LEASES 00586931
IN982995
17000836 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-117-7-11-000 RENTALS-OPERATING LEASES 00586931
IN982995
17000836 3 HOLE PUNCH MODULE
199-23-6269-00-117-7-99-000 RENTALS-OPERATING LEASES 00586932
IN983090
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
199-11-6269-00-126-7-11-000 RENTALS-OPERATING LEASES 00586932
IN983090
17001240 3 HOLE PUNCH MODULE
199-23-6269-00-126-7-99-000 RENTALS-OPERATING LEASES 00586933
IN983032
17001241 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586933
IN983032
17001241 3 HOLE PUNCH MODULE
199-23-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00586934
IN983026
17001243 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-102-7-11-000 RENTALS-OPERATING LEASES 00586934
IN983026
17001243 3 HOLE PUNCH MODULE
199-23-6269-00-102-7-99-000 RENTALS-OPERATING LEASES 00586935
IN983014
17001244 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586935
IN983014
17001244 3 HOLE PUNCH MODULE
199-23-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00586936
IN983027
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-114-7-11-000 RENTALS-OPERATING LEASES 00586936
IN983027
17001248 3 HOLE PUNCH MODULE
199-23-6269-00-114-7-99-000 RENTALS-OPERATING LEASES 00586937
IN983007
17001249 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586937
IN983007
17001249 3 HOLE PUNCH MODULE
199-23-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00586938
Status
Status Description
DAHILL INDUSTRIES
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-107-7-11-000 RENTALS-OPERATING LEASES 00586928
Amount Paid
GENERAL FUND
IN983029
IN983028
239
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
-456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00586938
Vendor Name Description
Acct Amt
01/10/17
18896
IN983028
17001252 3 HOLE PUNCH MODULE
199-23-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586939
IN983006
17001253 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-121-7-11-000 RENTALS-OPERATING LEASES 00586939
IN983006
17001253 3 HOLE PUNCH MODULE 3 HOLE PUNCH MODU
199-23-6269-00-121-7-99-000 RENTALS-OPERATING LEASES 00586940
IN983013
17001567 3 HOLE PUNCH MODULE
199-11-6269-00-124-7-11-000 RENTALS-OPERATING LEASES 00586940
IN983013
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
199-23-6269-00-124-7-99-000 RENTALS-OPERATING LEASES 00586941
IN983019
17001863 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-108-7-11-000 RENTALS-OPERATING LEASES 00586941
IN983019
17001863 3 HOLE PUNCH MODULE
199-23-6269-00-108-7-99-000 RENTALS-OPERATING LEASES 00586942
IN983087
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
199-11-6269-00-127-7-11-000 RENTALS-OPERATING LEASES 00586942
IN983087
17002052 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-127-7-99-000 RENTALS-OPERATING LEASES 00586943
IN983021
17002310 RENTAL OF XEROX 5955AFT DIGITAL COPIER
199-11-6269-00-113-7-11-000 RENTALS-OPERATING LEASES 00586943
IN983021
17002310 3 HOLE PUNCH MODULE
199-23-6269-00-113-7-99-000 RENTALS-OPERATING LEASES 00586944
IN983005
17002313 3 PUNCH HOLE MODULE
199-11-6269-00-106-7-11-000 RENTALS-OPERATING LEASES 00586944
IN983005
17002313 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-106-7-99-000 RENTALS-OPERATING LEASES 00586945
IN983030
17002317 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-112-7-11-000 RENTALS-OPERATING LEASES 00586945
IN983030
17002317 3 HOLE PUNCH MODULE
199-23-6269-00-112-7-99-000 RENTALS-OPERATING LEASES 00586946
IN983041
17002558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586947
IN983041
17002782 RENTAL OF XEROX 5955APT COPIER FOR SE
199-23-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00586948
IN983012
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586949
IN983016
17002850 3 HOLE PUNCH MODULE
199-11-6269-00-118-7-11-000 RENTALS-OPERATING LEASES 00586950
Status
Status Description
DAHILL INDUSTRIES
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00586938
Amount Paid
GENERAL FUND
IN983028
IN983017
240
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
-684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586950
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN982993
17004344 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586951
IN982993
17004344 3 HOLE PUNCH MODULE
199-23-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00586952
IN983559
17000380 RENTAL ON XEROX 5955APT DIGITAL COPIER
199-11-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586952
IN983559
17000380 3 HOLE PUNCH MODULE
199-23-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00586953
IN983562
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-004-7-11-000 RENTALS-OPERATING LEASES 00586953
IN983562
17000818 3 HOLE PUNCH
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00586954
IN983058
17000823 3 HOLE PUNCH MODULE
199-11-6269-00-005-7-28-000 RENTALS-OPERATING LEASES 00586955
IN983040
17000835 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-021-7-11-000 RENTALS-OPERATING LEASES 00586956
IN983558
17000838 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586956
IN983558
17000838 3 HOLE PUNCH MODULE
199-23-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00586957
IN983060
17000996 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00586957
IN983060
17000996 3 HOLE PUNCH MODULE
199-23-6269-00-043-7-99-000 RENTALS-OPERATING LEASES 00586958
IN983088
17000997 RETAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-004-7-99-ACA RENTALS & OPERATING LEASES 00586959
IN983560
17001237 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-007-7-11-000 RENTALS-OPERATING LEASES 00586960
IN983050
17001237 3 HOLE
PUNCH MODULE
199-23-6269-00-007-7-99-000 RENTALS-OPERATING LEASES 00586961
IN983099
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00586962
IN982998
17001250 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00586963
IN983022
17001251 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-044-7-11-000 RENTALS-OPERATING LEASES 00586963
IN983022
17001251 3 HOLE PUNCH MODULE
199-23-6269-00-044-7-99-000 RENTALS-OPERATING LEASES 00586964
Status
Status Description
DAHILL INDUSTRIES
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-118-7-99-000 RENTALS-OPERATING LEASES 00586951
Amount Paid
GENERAL FUND
IN983017
IN865727
241
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001558 3 HOLE PUNCH MODULE
-228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -917.46 -917.46 CV Computer Void -459.50 -459.50 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -912.84 -912.84 CV Computer Void -228.21 -228.21 CV Computer Void -456.42 -456.42 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -1,141.05 -1,141.05 CV Computer Void -228.21 -228.21 CV Computer Void -122.25 -122.25 CV Computer Void -228.21 -228.21 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -229.75
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586964
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/10/17
18896
-229.75
IN906535
-229.75 CV Computer Void -229.75
17001558 3 HOLE PUNCH MODULE
-229.75 CV Computer Void
199-23-6269-00-008-7-11-000 RENTALS - OPERATING LEASES 00586966
IN945215
-229.75
17001558 3 HOLE PUNCH MODULE
-229.75 CV Computer Void
199-23-6269-00-008-7-11-000 RENTALS - OPERATING LEASES 00586967
IN983062
-229.75
17001558 3 HOLE PUNCH MODULE
199-23-6269-00-008-7-11-000 RENTALS - OPERATING LEASES 00586968
IN865726
-229.75 CV Computer Void
17001558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-008-7-11-000 RENTALS-OPERATING LEASES 00586969
IN906534
IN945214
IN983061
17001558 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN983073
17001558 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN982996
IN982997
-228.21 -228.21 CV Computer Void
17001862 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586975
IN983024
IN983025
-228.21 -228.21 CV Computer Void
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN983092
-684.63
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586978
IN983051
-684.63 CV Computer Void -141.30
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586979
IN983094
-141.30 CV Computer Void
17002314 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00586980
IN983556
IN983556
IN983011
IN983086
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
17002781 RENTAL OF XEROX WORK
IN983000
-225.00 -225.00 CV Computer Void
CENTER 5955 K63
199-11-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00586984
-228.21 -228.21 CV Computer Void
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00586982
-912.84 -912.84 CV Computer Void
17002315 3 HOLE PUNCH MODULE FOR DE ZAVALA MS
199-23-6269-00-041-7-99-000 RENTALS-OPERATING LEASES 00586981
-228.21 -228.21 CV Computer Void
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-041-7-11-000 RENTALS-OPERATING LEASES 00586980
-684.63 -684.63 CV Computer Void
199-11-6269-00-046-7-11-000 RENTALS-OPERATING LEASES 00586977
-228.21 -228.21 CV Computer Void
17002050 3 HOLE PUNCH MODULE
199-23-6269-00-046-7-11-000 RENTALS 00586976
-228.21 -228.21 CV Computer Void
17001862 3 HOLE PUNCH MODULE
199-11-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00586974
-228.21 -228.21 CV Computer Void
17001564 3 HOLE PUNCH MODULE FOR ACADEMY LJ NOR
199-11-6269-00-024-7-11-000 RENTALS-OPERATING LEASES 00586973
-228.21 -228.21 CV Computer Void
199-11-6269-00-008-7-11-000 RENTALS-OPERATING LEASES 00586972
-228.21 -228.21 CV Computer Void
199-11-6269-00-008-7-11-000 RENTALS-OPERATING LEASES 00586971
-228.21 -228.21 CV Computer Void
17001558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-008-7-11-000 RENTALS-OPERATING LEASES 00586970
Status Description
DAHILL INDUSTRIES
17001558 3 HOLE PUNCH MODULE
199-23-6269-00-008-7-11-000 RENTALS - OPERATING LEASES 00586965
Status
GENERAL FUND
IN865727
242
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005597 RENTAL OF XEROX 5955 APT DIGITAL COPI
-228.21 -228.21 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00586984
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN865731
17000819 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-981-7-99-000 RENTALS-OPERATING LEASES 00586987
IN906540
17000819 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-981-7-99-000 RENTALS-OPERATING LEASES 00586988
IN945219
17000819 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-981-7-99-000 RENTALS-OPERATING LEASES 00586989
IN983066
17000819 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-981-7-99-000 RENTALS-OPERATING LEASES 00586990
IN983033
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-986-7-99-000 RENTALS 00586991
IN983093
17000821 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-865-7-99-000 RENTALS-OPERATING LEASES 00586992
IN983035
17000825 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00586994
IN983038
17000828 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00586995
IN983063
17000830 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00586996
IN983076
17000833 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586997
IN983077
17000834 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00586998
IN983091
17000837 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00586999
IN983034
17000839 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00587001
IN983057
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00587003
IN983082
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00587004
IN983044
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00587006
IN982999
17001565 RENTAL OF XEROX 5955APT WORKCENTRE CO
199-36-6269-00-839-7-99-000 RENTALS-OPERATING LEASES 00587011
IN983072
17002054 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-12-6299-00-888-7-99-000 MISC CONTRACTED SERVICES 00587013
IN983079
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-21-6269-00-889-7-11-000 RENTALS - OPERATING LEASES 00587015
Status
Status Description
DAHILL INDUSTRIES
17005597 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-022-7-11-000 RENTALS - OPERATING LEASES 00586986
Amount Paid
GENERAL FUND
IN983000
IN983069
243
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -395.36 -395.36 CV Computer Void -228.21 -228.21 CV Computer Void -369.51 -369.51 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -395.36 -395.36 CV Computer Void -349.44 -349.44 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -228.21
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00587015
Vendor Name Description
Acct Amt
01/10/17
18896
IN983001
17002784 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-36-6269-30-001-7-11-010 RENTALS-OPERATING LEASES 00587017
IN983055
17002785 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00587018
IN983053
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00587020
IN983020
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-045-7-11-010 RENTALS-OPERATING LEASES 00587021
IN982994
17002852 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-041-7-11-010 RENTALS-OPERATING LEASES 00587022
IN983018
17002853 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-042-7-11-010 RENTALS-OPERATING LEASES 00587023
IN983023
17002854 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-044-7-11-010 RENTALS-OPERATING LEASES 00587024
IN983056
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-049-7-11-010 RENTALS-OPERATING LEASES 00587025
IN983045
17002856 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-043-7-11-010 RENTALS-OPERATING LEASES 00587026
IN983048
17002857 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-046-7-11-010 RENTALS-OPERATING LEASES 00587027
IN945206
17002858 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-048-7-11-010 RENTALS-OPERATING LEASES 00587028
IN983009
17002870 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00587031
IN945193
17006115 Rental of Xerox WC5335PT Digital copi
199-23-6269-00-007-7-99-ACA RENTALS & OPERATING LEASES 00587032
IN983042
17006115 Rental of Xerox WC5335PT Digital copi
199-23-6269-00-007-7-99-ACA RENTALS & OPERATING LEASES 00587033
IN945238
17006114 RENTAL XEROX 5955 APT. DIGITAL COPIER
199-11-6269-00-048-7-11-000 RENTALS-OPERATING LEASES 00587034
IN983085
17006114 RENTAL XEROX 5955 APT. DIGITAL COPIER
199-11-6269-00-048-7-11-000 RENTALS-OPERATING LEASES 00587035
IN945201
17006114 3 HOLE PUNCH MODULE
199-23-6269-00-048-7-99-000 RENTALS-OPERATING LEASES 00587036
IN983049
17006114 3 HOLE PUNCH MODULE
199-23-6269-00-048-7-99-000 RENTALS-OPERATING LEASES 00587037
IN975398
17005133 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00587038
Status
Status Description
DAHILL INDUSTRIES
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-893-7-99-000 RENTALS-OPERATING LEASES 00587016
Amount Paid
GENERAL FUND
IN983069
IN983098
244
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005133 RENTAL OF XEROX WC5335PT DIGITAL COPI
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -147.42 -147.42 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -684.63 -684.63 CV Computer Void -684.63 -684.63 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210215865 00587038
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN989033
17002779 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00587043
IN900442
17001568 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-41-6269-00-926-7-99-000 RENTALS-OPERATING LEASES 00587044
IN906529
17001568 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-41-6269-00-926-7-99-000 RENTALS-OPERATING LEASES 00587045
IN945209
17001568 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-41-6269-00-926-7-99-000 RENTALS-OPERATING LEASES 00587046
IN983561
17001568 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-41-6269-00-926-7-99-000 RENTALS-OPERATING LEASES 00587047
IN900442
17001563 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-900-7-99-000 RENTALS - OPERATING LEASE 00587048
IN906529
17001563 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-900-7-99-000 RENTALS - OPERATING LEASE 00587049
IN945209
17001563 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-900-7-99-000 RENTALS - OPERATING LEASE 00587050
IN983561
17001563 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-900-7-99-000 RENTALS - OPERATING LEASE 00587051
IN983052
17002869 Rental for Xerox WC5335PT Digital Cop
199-41-6269-00-976-7-99-000 RENTALS - OPERATING LEASES 00587052
IN983075
17002311 Rental of Xerox W5335PT Digital Copie
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00587053
IN983083
17001242 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-701-7-99-000 RENTALS-OPERATING LEASES 00587054
IN983010
17000130 Rental of Xerox 5955APT Digital Copie
199-41-6269-00-947-7-99-000 RENTALS-OPERATING LEASES 00587055
IN983037
17000832 RENTAL OF XEROX 7845APT COLOR COPIER
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 00587056
IN865712
17001560 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-960-7-99-000 RENTALS-OPERATING LEASES 00587057
IN906519
17001560 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-960-7-99-000 RENTALS-OPERATING LEASES 00587058
IN945199
17001560 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-960-7-99-000 RENTALS-OPERATING LEASES 00587059
IN983047
17001560 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-960-7-99-000 RENTALS-OPERATING LEASES 00587060
IN865711
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00587061
Status
Status Description
DAHILL INDUSTRIES
17005133 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00587042
Amount Paid
GENERAL FUND
IN983098
IN906518
245
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
-141.30 -141.30 CV Computer Void -228.51 -228.51 CV Computer Void -636.59 -636.59 CV Computer Void -623.57 -623.57 CV Computer Void -623.57 -623.57 CV Computer Void -623.57 -623.57 CV Computer Void -1,530.53 -1,530.53 CV Computer Void -389.21 -389.21 CV Computer Void -389.21 -389.21 CV Computer Void -389.21 -389.21 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -395.36 -395.36 CV Computer Void -234.36 -234.36 CV Computer Void -389.21 -389.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00587061
Vendor Name Description
Acct Amt
01/10/17
18896
IN945198
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00587063
IN983046
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00587064
IN865707
COPIER MACHINE RENTAL - SEPT. 2016
199-23-6269-00-007-7-99-ACA RENTALS & OPERATING LEASES 00587065
IN906514
COPIER MACHINE RENTAL - OCT. 2016
199-23-6269-00-007-7-99-ACA RENTALS & OPERATING LEASES 00587066
CM41668
17001562 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00587067
IN900441
17001562 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00587068
IN906474
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587069
IN945150
17001562 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00587070
IN983557
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587071
IN865668
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587072
IN906475
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587073
IN945151
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587074
IN983002
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587075
IN865670
17001562 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-31-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587076
IN906477
17001562 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-31-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587077
IN945153
17001562 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-31-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587078
IN983004
17001562 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-31-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587079
IN865669
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587080
IN906476
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587081
Status
Status Description
DAHILL INDUSTRIES
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00587062
Amount Paid
GENERAL FUND
IN906518
IN945152
246
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001562 3 HOLE PUNCH MODULE
-141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void 1,369.26 1,369.26 CV Computer Void -4,038.44 -4,038.44 CV Computer Void -2,584.40 -2,584.40 CV Computer Void -2,584.40 -2,584.40 CV Computer Void -2,584.40 -2,584.40 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210215865 00587081
Vendor Name Description
Acct Amt
01/10/17
18896
IN983003
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587083
IN900441
17002053 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-06-001-7-11-010 RENTALS-OPERATING LEASES 00587084
IN937402
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00587085
CM50290
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00587086
IN938861
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00587087
CM50291
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00587088
IN945161
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00587089
IN936409
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00587090
CM50288
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00587091
IN936410
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00587092
CM50289
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00587093
IN945160
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00587094
IN983054
17002858 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-048-7-11-010 RENTALS-OPERATING LEASES 0210216547 00589719
01/05/17
138746
2719
Total Check per Fund: CANTU ALEJANDRO THE SCHLECHTY CENTER CONF IN AUSTIN
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES Total Check per Fund: 0210216548 00589720
01/05/17
22173
00589721
2720
THE SCHLECHTY CENTER CONF IN AUSTIN
01/05/17
18791
2721
Total Check per Fund: OCHOA CLAUDIA NELY AUSTIN TEXAS
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 0210216551
Status Description
01/09/17
37192
-141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -141.30 -141.30 CV Computer Void -228.21 -228.21 CV Computer Void 228.21 228.21 CV Computer Void -228.21 -228.21 CV Computer Void 98.80 98.80 CV Computer Void -228.21 -228.21 CV Computer Void -225.00 -225.00 CV Computer Void 225.00 225.00 CV Computer Void -225.00 -225.00 CV Computer Void 75.00 75.00 CV Computer Void -225.00 -225.00 CV Computer Void -141.30 -141.30 CV Computer Void -175,456.81 469.76 469.76 C
Computer
469.76
GARZA ARMIN
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 0210216549
Status
DAHILL INDUSTRIES
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00587082
Amount Paid
GENERAL FUND
IN945152
247
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
454.76 454.76 C
Computer
454.76 439.76 439.76 C 439.76
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Description
01/09/17
00589734
CNKGUF1Z1BBW6
Acct Amt
37192
0210216552
01/09/17
00589735
CDJHVG000CCW5
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17006255 RENEWAL NOTICE FOR VEHICLE V-67
199-51-6249-01-957-7-99-000 CONTRACTED MAINT & REPAIR
00589737
01/09/17
44377
Total Check per Fund: MUNOZ JAIME J. LAW SUIT SETTLEMENT FOR R.R.
LA JOYA ISD 16-
199-41-6499-05-942-7-99-000 TEXTERM ADM FEE FOR CD's PURCHASE 0210216554
01/09/17
00589736
LJISD 2016-17
21372
Total Check per Fund: VALLEY RISK CONSULTING, INC. CONSULTING SERVICES
199-41-6291-00-942-7-99-000 CONSULTANT SERVICES 0210216555
01/11/17
00589738
9JN9R70V866WE
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008580 STATE FEES FOR VEHICLE REGISTRATIONS
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210216564 00589747
01/12/17 159458 A
79014
Total Check per Fund: HAMPTON INN & SUITES
17007847 DOUBLE QUEEN ROOMS FOR JUAREZ LINCOLN
199-36-6412-05-004-7-99-010 TRAVEL - STUDENTS 0210216565 00589748
01/12/17 63757
122149
Total Check per Fund: HERITAGE INN NUMBER XVI, OPC. LLC
00590911
01/12/17 207-7105
104680
00591006
01/12/17
17007007 CHECK & REPAIR LOWER FIRE SPRINKLER H
MC29762
65501
Total Check per Fund: OMNISOURCE UNITED, INC
17007675 P235/75R15 COOPER STRFIR
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216568 00590913
01/12/17 051932
137626
Total Check per Fund: A. DUDA & SONS, INC.
17005702 ST. AGUSTINE FLOATAM 100% (400 SQ. FT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590914
051227
17005702 ST. AGUSTINE FLOATAM 100% (400 SQ. FT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES Total Check per Fund: 0210216569 00590916
01/12/17 2361
122408
7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 180,000.00 180,000.00 C
Computer
180,000.00 120,000.00 120,000.00 C
Computer
120,000.00 7.50 7.50 C
Computer
7.50 454.53 454.53 M
Manual
454.53
654.00 M
Total Check per Fund: 1st FP SERVICES, LLC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216567
Status Description
654.00
17007851
199-36-6412-91-004-7-11-010 STUDENT TRAVEL 0210216566
Status
HIDALGO COUNTY TAX OFFICE
17006256 RENEWAL NOTICE FOR VEHICLE V-69
199-51-6249-01-957-7-99-000 CONTRACTED MAINT & REPAIR
0210216553
Amount Paid
GENERAL FUND
0210216551
248
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
10,894.00 10,894.00 C
Computer
10,894.00 390.15 390.15 C
Computer
390.15 516.00 516.00 C
Computer
1,720.00 1,720.00 C 2,236.00
AAMECC LLC
17008395 ASBESTOS SAMPLING AND POINT COUNT IN
Manual
654.00
1,600.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216569 00590916
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
122408
2325
00590936
01/12/17 71306
14301
Total Check per Fund: AFP INDUSTRIES, INC.
17001480 PRESENTATION BOARDS 48" x 36"
71294
199-00-1310-00-000-7-00-000 INVENTORY 0210216576 00590952
01/12/17 212540
131334
17001439 3858XH-AAP,
212540
17001439 3858XH-AAP,
BLACK CAN LINER 38" x 58
7,100.80
-25.36 C
0210216577 00590959
01/12/17 CHAVEZ MS/2-11
11903
7,100.80 C
Total Check per Fund: AMERICAN DANCE/DRILL TEAM CONTEST
17007678 TEAM ROUTINE ENTRANCE FEE FOR CHAVEZ M
199-36-6412-09-042-7-11-010 TRAVEL - STUDENTS 0210216578 00590960
01/12/17 34419
42439
17007959 DOUBLE TUBE EPOXY GLUE (PAINT-35)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216584 00590332
01/12/17
55816
JD SALINAS-1700 17007330 CHICKEN BREAST PLATE WITH ALL THE TRIM
199-23-6498-00-048-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210216585 00590055
01/12/17 3383708
38814
Total Check per Fund: BARNES & NOBLE, INC.
17007124 FIRE ADMINISTRAITON
I BOOK
199-52-6329-00-905-7-99-000 READING MATERIALS 0210216586 00590060
01/12/17
3066
202475
Total Check per Fund: BENAVIDES ALDA SUPERINTENDENT LEADERSHIP NETWORK IN G
199-41-6411-01-701-7-99-000 TRAVEL - EMPLOYEES 0210216588 00590078
01/12/17 6899884
2454
Total Check per Fund: BLICK ART MATERIALS
17006009 BUFF MANILA DRAWING PAPER 12X18
199-36-6399-18-007-7-99-010 GENERAL SUPPLIES 00590076
6820147
17004616 PERFECTION ERASER PENCILS PKG OF 2-IT
199-11-6399-10-004-7-11-010 GENERAL SUPPLIES
Computer
1,535.00 Computer
1,535.00 389.50 389.50 C
Total Check per Fund: GUADALUPE E. MENDIOLA
Computer
7,075.44
1,535.00 C
Total Check per Fund: AMIGO BOLT & SUPPLY
Computer
6,441.60 -25.36
199-00-1310-00-000-7-00-000 INVENTORY
Computer
3,279.36
BLACK CAN LINER 38" x 58
199-00-1310-00-000-7-00-000 INVENTORY 00590952
3,162.24
3,279.36 C
Total Check per Fund: ALL AMERICAN POLY
Computer
2,427.50
3,162.24 C
17001480 PRESENTATION BOARDS 48" x 36"
Computer
827.50 827.50 C
199-00-1310-00-000-7-00-000 INVENTORY 00590935
1,600.00 1,600.00 C
17007761 NEED TO PROVIDE AIR SAMPLES AT CHILD N
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 0210216572
Status Description
AAMECC LLC
17008395 ASBESTOS SAMPLING AND POINT COUNT IN
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00590915
Status
GENERAL FUND
2361
249
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
389.50 357.50 357.50 C
Computer
357.50 111.20 111.20 C
Computer
111.20 116.65 116.65 C
Computer
116.65 707.61 707.61 C
Computer
1,458.95 1,458.95 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216588 00590074
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
2454
6908578
17006209 TEMPERA PRIMARY
7029503
17006209 TEMPERA PRIMARY
6966357
17005416 ECONOMY WHITE CRISTLE GESSO BRUSH 1"-
199-11-6399-07-044-7-11-010 GENERAL SUPPLIES 00590073
7091369
17007552 TRANSPARENT DUCT TAPE
199-36-6395-07-045-7-11-010 ASSETS UNDER $500 00590073
7091369
17007552 ANN RICHARDS THEATRE - SHARPIE MARKER
199-36-6399-07-045-7-11-010 GENERAL SUPPLIES 0210216589 00590082
01/12/17 22386
15198
Total Check per Fund: BMI SYSTEMS GROUP
17008073 1.0/2.0 White Void w/Matte Laminate -
199-41-6399-00-975-7-99-000 GENERAL SUPPLIES 0210216590 00590083
01/12/17 944394
303
Total Check per Fund: BOUND TO STAY BOUND BOOKS, INC.
17002250 Reading Materials see attached list
199-12-6329-00-102-7-99-000 READING MATERIALS 0210216591 00590084
01/12/17 INV0675927
15767
Total Check per Fund: BRIGGS EQUIPMENT
17000969 DS DOZER WITH RIPPERS 6 WAY BLDE A/C
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 0210216592 00590087
01/12/17
13441
6191G
Total Check per Fund: BRYANT & STINGLEY, INC. COST & SERICVE FOR TELEPHONIC HEARING
199-41-6299-00-926-7-99-000 MISC CONTRACTED SERVICES 0210216595 00589749
01/12/17 154615
48496
Total Check per Fund: BUG OFF PEST CONTROL
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589791
154617
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589751
154619
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589752
154621
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589753
154623
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589754
154625
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES
Computer
2,981.06 2,981.06 C
GAL 4 SET-ITEMS ARE
199-11-6399-10-004-7-11-010 GENERAL SUPPLIES 00590072
801.19 801.19 C
GAL 4 SET-ITEMS ARE
199-11-6399-10-004-7-11-010 GENERAL SUPPLIES 00590075
Status Description
BLICK ART MATERIALS
17004617 PENTEL OIL PASTEL SET- ASSORTED COLOR
199-11-6399-10-027-7-11-010 GENERAL SUPPLIES 00590077
Status
GENERAL FUND
6839092
250
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
226.56 226.56 C
Computer
630.07 630.07 C
Computer
57.22 57.22 C
Computer
650.49 650.49 C
Computer
7,513.15 655.00 655.00 C
Computer
655.00 1,523.14 1,523.14 C
Computer
1,523.14 4,913.00 4,913.00 C
Computer
4,913.00 175.00 175.00 C
Computer
175.00 71.50 71.50 C
Computer
50.97 50.97 C
Computer
49.13 49.13 C
Computer
38.50 38.50 C
Computer
49.13 49.13 C
Computer
49.13 49.13 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216595 00589755
Vendor Name Description
Acct Amt
01/12/17
48496
154630
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589757
154632
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589758
154634
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589759
154636
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589760
154638
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589761
154640
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589762
154642
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589763
154644
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589764
154646
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589765
154648
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589766
154650
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589767
154652
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589768
154654
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589769
154696
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589770
154698
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589771
154700
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589772
154702
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589773
154704
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589774
154706
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589775
Status
Status Description
BUG OFF PEST CONTROL
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589756
Amount Paid
GENERAL FUND
154628
154708
251
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
49.13 49.13 C
Computer
61.42 61.42 C
Computer
23.83 23.83 C
Computer
50.97 50.97 C
Computer
30.80 30.80 C
Computer
75.17 75.17 C
Computer
61.42 61.42 C
Computer
50.97 50.97 C
Computer
49.13 49.13 C
Computer
49.13 49.13 C
Computer
49.50 49.50 C
Computer
49.13 49.13 C
Computer
26.50 26.50 C
Computer
50.97 50.97 C
Computer
49.50 49.50 C
Computer
49.50 49.50 C
Computer
48.58 48.58 C
Computer
51.33 51.33 C
Computer
30.80 30.80 C
Computer
30.80 30.80 C 22.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216595 00589775
Vendor Name Description
Acct Amt
01/12/17
48496
154710
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589777
154712
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589778
154714
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589779
154716
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589780
154718
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589781
154720
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589782
154722
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589783
154724
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589784
154726
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589785
154728
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589786
154730
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589787
154732
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589788
154734
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589789
154736
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589790
154738
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589750
154740
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00590093
154764
17006859 NEED TO TREAT FOR TERMITES AT LEO ELEM
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00590092
154765
17006719 NEED TO TREAT FOR TERMITES AT TREVINO
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 0210216597 00590169
Status
Status Description
BUG OFF PEST CONTROL
17008075 EXTERIOR PERIMETER FUMIIGATION DISTRI
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00589776
Amount Paid
GENERAL FUND
154708
01/12/17 05 876509
333
252
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: COMMERCIAL BILLING SERVICE
17007975 2 PIECE M-STYLE
22.00 22.00 C
Computer
30.80 30.80 C
Computer
22.00 22.00 C
Computer
52.07 52.07 C
Computer
61.42 61.42 C
Computer
61.42 61.42 C
Computer
61.42 61.42 C
Computer
52.07 52.07 C
Computer
30.80 30.80 C
Computer
44.92 44.92 C
Computer
52.07 52.07 C
Computer
30.80 30.80 C
Computer
30.80 30.80 C
Computer
61.42 61.42 C
Computer
30.80 30.80 C
Computer
30.80 30.80 C
Computer
61.42 61.42 C
Computer
245.00 245.00 C
Computer
245.00 245.00 C 2,473.97 136.20
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216597 00590169
Vendor Name Description
Acct Amt
01/12/17
333
05 876019
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590171
05 875970
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590172
05 876040
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590173
05 876311
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590174
05 876385
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590175
05 058326
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590176
05 876415
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590177
05 876435
17007421 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590178
05 876657
17008077 STEP TOOL FOR SHOP #1
199-34-6395-00-972-7-99-000 FURN & EQUIP <$500 UNIT COST 00590179
05 876497
17007971 SCREWDRIVER SET 6 PC.
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 00590180
05 876606
17007972 1/4 AIR RATCHET
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 00590181
05 876507
17007974 1/2 IMPACT WRENCH
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 00590182
05 877290
17007973 3/8 IMPACT WRENCH
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 0210216603 00590104
01/12/17 B002547047
20997
Total Check per Fund: CARRIER CORPORATION
17004516 ANNUAL SERVICE ON ALL THREE (3) CARRI
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216604 00590105
01/12/17 B002538148
20997
Total Check per Fund: CARRIER CORPORATION
17002255 CHECK & REPAIR AC UNIT AT CHAVEZ MIDD
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216605 00590106
01/12/17 38432926-00
68136
Total Check per Fund: CARRIER ENTERPRISE, LLC - S.C.
17007371 COIL-AL KIT REPLACEMENT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216609
Status
Status Description
COMMERCIAL BILLING SERVICE
17007975 2 PIECE M-STYLE
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 00590183
Amount Paid
GENERAL FUND
05 876509
01/12/17
20778
253
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CC DISTRIBUTORS, INC.
136.20 136.20 C
Computer
82.50 82.50 C
Computer
107.00 107.00 C
Computer
79.00 79.00 C
Computer
191.57 191.57 C
Computer
35.15 35.15 C
Computer
-40.00 -40.00 C
Computer
207.82 207.82 C
Computer
449.46 449.46 C
Computer
424.60 424.60 C
Computer
115.29 115.29 C
Computer
663.52 663.52 C
Computer
590.71 590.71 C
Computer
751.89 751.89 C
Computer
3,794.71 14,295.00 14,295.00 C
Computer
14,295.00 460.00 460.00 C
Computer
460.00 445.11 445.11 C 445.11
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Description
01/12/17
00590111
S2818324.001
Acct Amt
20778
S2818324.002
17005319 Clorox Disinfecting Wipes Fresh Bleach
199-00-1310-00-000-7-00-000 INVENTORY 00590113
S2826233.001
17007978 Roll Towels 6 Rolls per case - (Eco S
199-00-1310-00-000-7-00-000 INVENTORY 00590112
S2825977.001
17007798 Toilet Tissue Paper Double Ply 36 Rol
199-00-1310-00-000-7-00-000 INVENTORY 0210216610 00590115
01/12/17 GFH6797
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17005229 TEXAS INSTRUCTMENTS TI-NSPIRE CX EZ S
199-11-6397-00-044-7-11-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590117
FXM3095
17005420
199-51-6399-00-956-7-99-000 OFFICE SUPPLIES 00590118
GGD7984
17007296 HEWLETT PACKARD - 711 - CYAN ORIGINAL
199-23-6399-00-008-7-11-000 GENERAL SUPPLIES 00590120
GKT4784
17008188 FOR OFFICE USE QUOTE # HPHX246 SEAGAT
199-34-6395-00-972-7-99-000 FURN & EQUIP <$500 UNIT COST 00590121
GKW4259
17008233 POLVCOM SOUNDSTATION IP7000 CONFEENCE
199-41-6397-00-943-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590122
GMH8338
17008233 POLVCOM SOUNDSTATION IP7000 CONFEENCE
199-41-6397-00-943-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590124
GFD8915
17007136 HP 508A - yellow - original - LaserJe
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES 00590125
GGK7481
17007345 HP 507A Black Toner Cartridge
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES 0210216611
01/12/17
00590145
S2204147.001
400
Total Check per Fund: CENTRAL PLUMBING & ELECTRIC
17007566 URINAL WHITE **K-5016-ET WHITE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590144
S2203945.001
17007565 6002NWH 8FT. WHITE TRACK LIGHT (***SP
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590143
S2214125.001
17008338 GF 12/2MCSTBLUE 12/2 MC/(ALUM) BLUE WH
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590142
S2195324.001
17006633 SS23277 SENTERY 3-WAY CLEAR SWITCH (S
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590141
S2203155.001
17007299 EZSVR8S E;KAY HANDICAP VENDAL PROOF WA
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590147
S2205078.001
17007567 E7JKCP CHICAGO LAB NOZZLE (S/O) (PL-6
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590146
Status
Status Description
CC DISTRIBUTORS, INC.
17005319 Clorox Disinfecting Wipes Fresh Bleach
199-00-1310-00-000-7-00-000 INVENTORY 00590114
Amount Paid
GENERAL FUND
0210216609
S2208806.001
254
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007984 CH C25DNF340A DEF.P. CONTACTOR 3/P 40A
784.20 784.20 C
Computer
261.40 261.40 C
Computer
20,047.50 20,047.50 C
Computer
8,481.60 8,481.60 C
Computer
29,574.70 11,570.48 11,570.48 C
Computer
357.20 357.20 C
Computer
762.24 762.24 C
Computer
116.38 116.38 C
Computer
3,169.96 3,169.96 C
Computer
642.44 642.44 C
Computer
377.98 377.98 C
Computer
153.85 153.85 C
Computer
17,150.53 93.36 93.36 C
Computer
1,368.42 1,368.42 C
Computer
3,722.68 3,722.68 C
Computer
810.70 810.70 C
Computer
597.59 597.59 C
Computer
310.50 310.50 C 176.24
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
Acct Amt
01/12/17
00590146
S2208806.001
400
S2210338.001
01/12/17 633436/1
10162
Total Check per Fund: CHALK'S TRUCK PARTS, INC.
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
633539/1
632917/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
634141/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
634138/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
634139/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
623646/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
632112/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
00590151
634394/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
00590150
634395/1
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
0210216614 00590162
01/12/17 NOV. 2016
134120
Total Check per Fund: CHAVEZ GUADALUPE
17003221 MONTHLY MILEAGE FOR ACADEMIES DIRECTOR
00590161
DEC. 2016
17003221 MONTHLY MILEAGE FOR ACADEMIES DIRECTOR
0210216615 00590164
01/12/17 7507
23135
Total Check per Fund: CHEMICAL RESPONSE & REMEDIATION
17007033 NEED TO REMEDIATE AND CLEAN
POSSIBL
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00590163
7508
17007669 ENVIRONMENTAL CLEANING AND SOIL REMED
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES Total Check per Fund: 0210216616 00590166
01/12/17 0183716663
23200
Computer
2,388.45 84.24 Computer
8.37 8.37 C
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE
Computer
218.00
84.24 C
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE
Computer
-218.00
218.00 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
Computer
218.00
-218.00 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
Computer
672.00
218.00 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
Computer
207.25
672.00 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590152
Computer
-165.80
207.25 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590153
Computer
-41.45
-165.80 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590154
Computer
207.25
-41.45 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590155
Computer
487.20
207.25 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590156
804.00
487.20 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590158
Computer
8,374.03
804.00 C
17007422 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
Computer
1,294.54 1,294.54 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590149
176.24 176.24 C
17008240 82064 (W4700) IPS W/M BOX WITH 1/4 TRU
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
00590157
Status Description
CENTRAL PLUMBING & ELECTRIC
17007984 CH C25DNF340A DEF.P. CONTACTOR 3/P 40A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
0210216612
Status
GENERAL FUND
0210216611
00590148
FPREG02B
A/P Detail Check Register By Fund Vendor No
255
Computer
92.61 4,095.00 4,095.00 C
Computer
15,280.00 15,280.00 C
Computer
19,375.00
CHICK-FIL-A
17002545 ON DECEMBER 21, 2016 AT 4:15PM LUNCH
199-11-6498-00-027-7-11-000 FOOD & NON-FOOD RELATED ITEMS
275.00 275.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216616 00590165
Vendor Name Description
Acct Amt
01/12/17
23200
0210216617
01/12/17
00589821
1-02-00140-00
4404
Total Check per Fund: CITY OF LA JOYA
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 1-02-00145-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589819
1-02-00150-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589831
1-02-00155-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589817
1-02-00160-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589830
1-02-00165-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589829
1-02-00170-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589828
1-02-00175-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589827
1-02-00180-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589826
1-02-00190-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589825
1-02-00193-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589824
1-02-00195-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589823
1-02-00200-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589822
1-02-00205-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00589818
1-02-02150-00
17003811 WASTE SERVICES FOR THE MONTHS OF OCTOB
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 0210216618
01/12/17
00589838
1-01-01080-00
4404
Total Check per Fund: CITY OF LA JOYA
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589839
1-01-01081-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589840
Status
Status Description
CHICK-FIL-A
17006873 DINNER FOR PALMVIEW HIGH SCHOOL CHOIR
199-36-6498-05-007-7-11-010 FOOD & NON-FOOD RELATED ITEMS
00589820
Amount Paid
GENERAL FUND
0183716648
1-01-01090-00
256
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005738 Bills for water services for the month
294.00 294.00 C
Computer
569.00 775.75 775.75 C
Computer
1,551.50 1,551.50 C
Computer
401.25 401.25 C
Computer
668.75 668.75 C
Computer
2,327.25 2,327.25 C
Computer
3,103.00 3,103.00 C
Computer
1,551.50 1,551.50 C
Computer
1,337.50 1,337.50 C
Computer
775.75 775.75 C
Computer
802.50 802.50 C
Computer
1,337.50 1,337.50 C
Computer
3,878.75 3,878.75 C
Computer
668.75 668.75 C
Computer
775.75 775.75 C
Computer
640.00 640.00 C
Computer
20,595.50 166.36 166.36 C
Computer
69.43 69.43 C 1,478.52
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
01/12/17
00589840
1-01-01090-00
Acct Amt
4404
1-01-01091-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589842
1-01-01092-01
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589843
1-01-01093-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589844
1-01-01100-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589845
1-01-01110-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589846
1-01-01130-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589847
1-01-01140-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589848
1-01-01141-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589849
1-01-01150-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589850
1-01-01210-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589851
1-01-01212-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589852
1-01-01213-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589853
1-01-01214-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589854
1-01-01215-01
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589855
1-01-01813-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589856
1-01-01814-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589857
1-01-01815-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589858
1-01-02240-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589859
1-01-02250-01
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589860
Status
Status Description
CITY OF LA JOYA
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589841
Amount Paid
GENERAL FUND
0210216618
1-01-02251-00
257
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005738 Bills for water services for the month
1,478.52 1,478.52 C
Computer
69.43 69.43 C
Computer
965.26 965.26 C
Computer
70.06 70.06 C
Computer
284.03 284.03 C
Computer
387.45 387.45 C
Computer
215.18 215.18 C
Computer
335.26 335.26 C
Computer
223.28 223.28 C
Computer
145.23 145.23 C
Computer
546.01 546.01 C
Computer
167.58 167.58 C
Computer
167.58 167.58 C
Computer
69.43 69.43 C
Computer
131.45 131.45 C
Computer
227.83 227.83 C
Computer
162.91 162.91 C
Computer
135.53 135.53 C
Computer
107.93 107.93 C
Computer
69.43 69.43 C 1,178.53
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
01/12/17
00589860
1-01-02251-00
Acct Amt
4404
1-01-02252-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589862
1-01-08761-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589863
1-01-08762-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589864
1-01-08763-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589865
1-01-08781-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589866
1-01-08782-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589867
1-01-08783-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589868
1-01-08784-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589869
1-01-10510-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589870
1-01-11111-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589871
1-01-11130-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589872
1-01-11135-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589873
1-01-11136-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589874
1-01-11137-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589875
1-01-11138-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589876
1-01-11139-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589877
1-01-11140-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589878
1-01-11141-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589879
1-01-11142-00
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589880
Status
Status Description
CITY OF LA JOYA
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589861
Amount Paid
GENERAL FUND
0210216618
1-01-11143-00
258
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005738 Bills for water services for the month
1,178.53 1,178.53 C
Computer
1,261.67 1,261.67 C
Computer
149.32 149.32 C
Computer
165.51 165.51 C
Computer
189.54 189.54 C
Computer
332.82 332.82 C
Computer
153.02 153.02 C
Computer
397.36 397.36 C
Computer
227.87 227.87 C
Computer
150.09 150.09 C
Computer
103.05 103.05 C
Computer
103.84 103.84 C
Computer
187.24 187.24 C
Computer
141.94 141.94 C
Computer
140.20 140.20 C
Computer
174.00 174.00 C
Computer
3,418.14 3,418.14 C
Computer
140.77 140.77 C
Computer
2,110.39 2,110.39 C
Computer
545.51 545.51 C 166.41
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
00589880
1-01-11143-00
4404
1-01-11144-00
1-01-11145-00
1-01-11910-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589884
1-01-12210-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589885
1-01-12220-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589886
1-01-13810-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589832
1-01-04442-00
17005738 Bills for water services for the month
00589833
1-01-01151-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589834
1-01-18781-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589835
1-01-01222-22
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589836
1-01-00104-00
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589837
1-01-01240-04
Total Check per Fund: 0210216620 00590186
01/12/17 368043
14189
00590193
01/12/17
17003934 Index Tab Set (14 Tabs)
14061
5225
110 sets 1-1
Total Check per Fund: D & R COMMERCIAL GLASS LLC
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590192
14042
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590196
14043
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590195
14040
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590194
14041
Computer
26,730.16
COPY ZONE
199-41-6298-00-947-7-99-000 PRINTING SERVICES 0210216623
Computer
54.34 54.34 C
199-51-6259-03-961-7-99-000 UTILITIES - WATER
Computer
73.54 73.54 C
17005738 Bills for water services for the month
Computer
2,163.86 2,163.86 C
17005738 Bills for water services for the month
Computer
150.09 150.09 C
17005738 Bills for water services for the month
Computer
768.42 768.42 C
17005738 Bills for water services for the month
Computer
794.64 794.64 C
17005738 Bills for water services for the month
Computer
1,256.46 1,256.46 C
199-51-6259-03-961-7-99-000 UTILITIES - WATER
Computer
948.63 948.63 C
17005738 Bills for water services for the month
Computer
2,363.06 2,363.06 C
17005738 Bills for water services for the month
Computer
231.53 231.53 C
17005738 Bills for water services for the month
Computer
133.78 133.78 C
17005738 Bills for water services for the month
Computer
159.42 159.42 C
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589883
166.41 166.41 C
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589882
Status Description
CITY OF LA JOYA
17005738 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00589881
Status
GENERAL FUND
0210216618
259
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
718.48 718.48 C
Computer
718.48 98.25 98.25 C
Computer
137.00 137.00 C
Computer
191.00 191.00 C
Computer
98.25 98.25 C 183.75
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216623 00590194
Vendor Name Description
Acct Amt
01/12/17
5225
00590203
01/12/17 111985
22025
Total Check per Fund: D & R GLASS ETC. INC.
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590204
112091
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590201
112092
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590200
112093
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590199
112215
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590197
112218
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590198
112223
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590202
112224
17007147 MONTH REPAIR WINDSHIELD GLASS REPAIR O
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216625 00590484
01/12/17 IN1018923
18896
Total Check per Fund: DAHILL INDUSTRIES
17000822 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-120-7-11-000 RENTALS-OPERATING LEASES 00590485
IN1018953
17000822 3 HOLE PUNCH MODULE
199-23-6269-00-120-7-99-000 RENTALS-OPERATING LEASES 00590486
IN1019002
17000824 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-123-7-11-000 RENTALS-OPERATING LEASES 00590486
IN1019002
17000824 3 HOLE PUNCH MODULE
199-23-6269-00-123-7-99-000 RENTALS-OPERATING LEASES 00590487
IN1018939
17000827 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-107-7-11-000 RENTALS-OPERATING LEASES 00590487
IN1018939
17000827 3 HOLE PUNCH MODULE
199-23-6269-00-107-7-99-000 RENTALS-OPERATING LEASES 00590488
IN1018941
17000829 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-115-7-11-000 RENTALS-OPERATING LEASES 00590488
IN1018941
17000829 3 HOLE PUNCH MODULE
199-23-6269-00-115-7-99-000 RENTALS-OPERATING LEASES 00590489
IN1018949
17000831 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-104-7-11-000 RENTALS-OPERATING LEASES 00590489
Status
Status Description
D & R COMMERCIAL GLASS LLC
17007040 REPLACE BROKEN WINDOWS/DOORS GLASS (EM
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216624
Amount Paid
GENERAL FUND
14041
IN1018949
260
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000831 3 HOLE PUNCH MODULE
183.75 183.75 C
Computer
708.25 365.00 365.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
165.00 165.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
65.00 65.00 C
Computer
920.00 684.63 684.63 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C 228.21
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216625 00590489
Vendor Name Description
Acct Amt
01/12/17
18896
IN1018902
17000836 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-117-7-11-000 RENTALS-OPERATING LEASES 00590490
IN1018902
17000836 3 HOLE PUNCH MODULE
199-23-6269-00-117-7-99-000 RENTALS-OPERATING LEASES 00590491
IN1019003
17001240 RENTAL OF XEROX 59955APT DIGITAL COPI
199-11-6269-00-126-7-11-000 RENTALS-OPERATING LEASES 00590491
IN1019003
17001240 3 HOLE PUNCH MODULE
199-23-6269-00-126-7-99-000 RENTALS-OPERATING LEASES 00590492
IN1018942
17001241 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00590492
IN1018942
17001241 3 HOLE PUNCH MODULE
199-23-6269-00-122-7-11-000 RENTALS-OPERATING LEASES 00590493
IN1018936
17001243 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-102-7-11-000 RENTALS-OPERATING LEASES 00590493
IN1018936
17001243 3 HOLE PUNCH MODULE
199-23-6269-00-102-7-99-000 RENTALS-OPERATING LEASES 00590494
IN1018922
17001244 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00590494
IN1018922
17001244 3 HOLE PUNCH MODULE
199-23-6269-00-109-7-11-000 RENTALS-OPERATING LEASES 00590495
IN1018937
17001248 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-114-7-11-000 RENTALS-OPERATING LEASES 00590495
IN1018937
17001248 3 HOLE PUNCH MODULE
199-23-6269-00-114-7-99-000 RENTALS-OPERATING LEASES 00590496
IN1018915
17001249 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00590496
IN1018915
17001249 3 HOLE PUNCH MODULE
199-23-6269-00-110-7-11-000 RENTALS-OPERATING LEASES 00590497
IN1018938
17001252 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00590497
IN1018938
17001252 3 HOLE PUNCH MODULE
199-23-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00590498
IN1018914
17001253 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-121-7-11-000 RENTALS-OPERATING LEASES 00590498
IN1018914
17001253 3 HOLE PUNCH MODULE 3 HOLE PUNCH MODU
199-23-6269-00-121-7-99-000 RENTALS-OPERATING LEASES 00590499
IN1018921
17001567 3 HOLE PUNCH MODULE
199-11-6269-00-124-7-11-000 RENTALS-OPERATING LEASES 00590499
Status
Status Description
DAHILL INDUSTRIES
17000831 3 HOLE PUNCH MODULE
199-23-6269-00-104-7-99-000 RENTALS-OPERATING LEASES 00590490
Amount Paid
GENERAL FUND
IN1018949
IN1018921
261
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C 228.21
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216625 00590499
Vendor Name Description
Acct Amt
01/12/17
18896
IN1018928
17001863 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-108-7-11-000 RENTALS-OPERATING LEASES 00590500
IN1018928
17001863 3 HOLE PUNCH MODULE
199-23-6269-00-108-7-99-000 RENTALS-OPERATING LEASES 00590501
IN1018999
17002052 3HOLE PUNCH MODULE FOR MENDIOLA ELEM.
199-11-6269-00-127-7-11-000 RENTALS-OPERATING LEASES 00590501
IN1018999
17002052 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-127-7-99-000 RENTALS-OPERATING LEASES 00590502
IN1018931
17002310 RENTAL OF XEROX 5955AFT DIGITAL COPIER
199-11-6269-00-113-7-11-000 RENTALS-OPERATING LEASES 00590502
IN1018931
17002310 3 HOLE PUNCH MODULE
199-23-6269-00-113-7-99-000 RENTALS-OPERATING LEASES 00590503
IN1018913
17002313 3 PUNCH HOLE MODULE
199-11-6269-00-106-7-11-000 RENTALS-OPERATING LEASES 00590503
IN1018913
17002313 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-106-7-99-000 RENTALS-OPERATING LEASES 00590504
IN1018940
17002317 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-112-7-11-000 RENTALS-OPERATING LEASES 00590504
IN1018940
17002317 3 HOLE PUNCH MODULE
199-23-6269-00-112-7-99-000 RENTALS-OPERATING LEASES 00590505
IN1018951
17002558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00590506
IN1018920
17002559 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-111-7-11-000 RENTALS-OPERATING LEASES 00590507
IN1018951
17002782 RENTAL OF XEROX 5955APT COPIER FOR SE
199-23-6269-00-116-7-11-000 RENTALS-OPERATING LEASES 00590508
IN1018924
17002850 3 HOLE PUNCH MODULE
199-11-6269-00-118-7-11-000 RENTALS-OPERATING LEASES 00590509
IN1018925
17002850 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-118-7-99-000 RENTALS-OPERATING LEASES 00590510
IN1018899
17004344 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00590510
IN1018899
17004344 3 HOLE PUNCH MODULE
199-23-6269-00-105-7-11-000 RENTALS-OPERATING LEASES 00590511
IN1018929
17000380 RENTAL ON XEROX 5955APT DIGITAL COPIER
199-11-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00590511
IN1018929
17000380 3 HOLE PUNCH MODULE
199-23-6269-00-045-7-11-000 RENTALS-OPERATING LEASES 00590512
Status
Status Description
DAHILL INDUSTRIES
17001567 RENTAL OF XEROX 5955SPT DIGITAL COPIER
199-23-6269-00-124-7-99-000 RENTALS-OPERATING LEASES 00590500
Amount Paid
GENERAL FUND
IN1018921
IN1019001
262
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
912.84 912.84 C
Computer
228.21 228.21 C 917.46
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216625 00590512
Vendor Name Description
Acct Amt
01/12/17
18896
IN1019001
17000818 3 HOLE PUNCH
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00590513
IN1018970
17000823 3 HOLE PUNCH MODULE
199-11-6269-00-005-7-28-000 RENTALS-OPERATING LEASES 00590514
IN1018950
17000835 3 HOLE PUNCH MODULE
199-23-6269-00-021-7-99-000 RENTALS-OPERATING LEASES 00590515
IN1018926
17000838 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00590515
IN1018926
17000838 3 HOLE PUNCH MODULE
199-23-6269-00-042-7-11-000 RENTALS-OPERATING LEASES 00590516
IN1018972
17000996 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00590516
IN1018972
17000996 3 HOLE PUNCH MODULE
199-23-6269-00-043-7-99-000 RENTALS-OPERATING LEASES 00590517
IN1019000
17000997 RETAL OF XEROX 5955APT DIGITAL COPIER
199-23-6269-00-004-7-99-ACA RENTALS & OPERATING LEASES 00590518
IN1018953
17001237 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-007-7-11-000 RENTALS-OPERATING LEASES 00590519
IN1018961
17001237 3 HOLE
PUNCH MODULE
199-23-6269-00-007-7-99-000 RENTALS-OPERATING LEASES 00590520
IN1019012
17001247 RENTAL OF XEROX W3550 DIGITAL COPIER
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00590521
IN1018905
17001250 3 HOLE PUNCH MODULE
199-23-6269-00-028-7-11-000 RENTALS - OPERATING LEASES 00590522
IN1018932
17001251 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-044-7-11-000 RENTALS-OPERATING LEASES 00590522
IN1018932
17001251 3 HOLE PUNCH MODULE
199-23-6269-00-044-7-99-000 RENTALS-OPERATING LEASES 00590523
IN1018973
17001558 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-008-7-11-000 RENTALS-OPERATING LEASES 00590524
IN1018974
17001558 3 HOLE PUNCH MODULE
199-23-6269-00-008-7-11-000 RENTALS - OPERATING LEASES 00590525
IN1018909
17001562 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00590525
IN1018909
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00590526
IN1018910
17001562 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-001-7-11-000 RENTALS-OPERATING LEASES 00590527
Status
Status Description
DAHILL INDUSTRIES
17000818 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-004-7-11-000 RENTALS-OPERATING LEASES 00590512
Amount Paid
GENERAL FUND
IN1019001
IN1018912
263
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001562 3 HOLE PUNCH MODULE
917.46 917.46 C
Computer
459.50 459.50 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
912.84 912.84 C
Computer
228.21 228.21 C
Computer
456.42 456.42 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
1,141.05 1,141.05 C
Computer
228.21 228.21 C
Computer
122.25 122.25 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
229.75 229.75 C
Computer
1,282.35 1,282.35 C
Computer
1,302.05 1,302.05 C
Computer
141.30 141.30 C 228.21
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216625 00590527
Vendor Name
PO No
Description
Acct Amt
01/12/17
18896
IN1018911
17001562 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-31-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00590529
IN1018985
17001564 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-024-7-99-000 RENTALS -OPERATING LEASES 00590530
IN1018904
17001862 3 HOLE PUNCH MODULE
199-11-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00590531
IN1018903
17001862 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-010-7-11-000 RENTALS - OPERATING LEASES 00590532
IN1018935
17002050 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-046-7-11-000 RENTALS-OPERATING LEASES 00590533
IN1018934
17002050 3 HOLE PUNCH MODULE
199-23-6269-00-046-7-11-000 RENTALS 00590534
IN1019005
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00590535
IN1019007
17002314 3 HOLE PRINT MODULE
199-11-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00590536
IN1018962
17002314 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-23-6269-00-049-7-11-000 RENTALS-OPERATING LEASES 00590537
IN1018900
17002315 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-041-7-11-000 RENTALS-OPERATING LEASES 00590537
IN1018900
17002315 3 HOLE PUNCH MODULE FOR DE ZAVALA MS
199-23-6269-00-041-7-99-000 RENTALS-OPERATING LEASES 00590538
IN1018919
17002778 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-043-7-11-000 RENTALS-OPERATING LEASES 00590539
IN1018998
17002781 3 HOLE PUNCH MODULE
199-23-6269-00-015-7-11-000 RENTALS-OPERATING LEASES 00590541
IN1018907
17005597 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-11-6269-00-022-7-11-000 RENTALS - OPERATING LEASES 00590542
IN1018952
17006115 Rental of Xerox WC5335PT Digital copi
199-23-6269-00-007-7-99-ACA RENTALS & OPERATING LEASES 00590544
IN1018997
17006114 RENTAL XEROX 5955 APT. DIGITAL COPIER
199-11-6269-00-048-7-11-000 RENTALS-OPERATING LEASES 00590545
IN1018960
17006114 3 HOLE PUNCH MODULE
199-23-6269-00-048-7-99-000 RENTALS-OPERATING LEASES 00590546
IN1018918
17000130 Rental of Xerox 5955APT Digital Copie
199-41-6269-00-947-7-99-000 RENTALS-OPERATING LEASES 00590548
IN1018978
17000819 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-981-7-99-000 RENTALS-OPERATING LEASES 00590549
Status
Status Description
DAHILL INDUSTRIES
17001562 3 HOLE PUNCH MODULE
199-23-6269-00-001-7-99-000 RENTALS-OPERATING LEASES 00590528
Amount Paid
GENERAL FUND
IN1018912
IN1018943
264
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
228.21 228.21 C
Computer
141.30 141.30 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
141.30 141.30 C
Computer
912.84 912.84 C
Computer
228.21 228.21 C
Computer
225.00 225.00 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
141.30 141.30 C
Computer
684.63 684.63 C
Computer
228.21 228.21 C
Computer
234.36 234.36 C
Computer
228.21 228.21 C 395.36
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216625 00590549
Vendor Name
PO No
Description
Acct Amt
01/12/17
18896
IN1019006
17000821 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-865-7-99-000 RENTALS-OPERATING LEASES 00590551
IN1018945
17000825 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-903-7-99-000 RENTALS-OPERATING LEASES 00590553
IN1018948
17000828 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00590554
IN1018975
17000830 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00590555
IN1018988
17000833 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00590556
IN1018989
17000834 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00590557
IN1019004
17000837 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590558
IN1018944
17000839 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590560
IN1019009
17000841 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-52-6269-99-993-7-99-000 RENTALS-OPERATING LEASES 00590562
IN1018969
17001245 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-867-7-99-000 RENTALS-OPERATING LEASES 00590564
IN1018994
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 00590565
IN1018957
17001559 RENTAL OF XEROX WC5335 5955APT DIGITA
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00590566
IN1018958
17001560 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-51-6269-00-960-7-99-000 RENTALS-OPERATING LEASES 00590568
IN1018906
17001565 RENTAL OF XEROX 5955APT WORKCENTRE CO
199-36-6269-00-839-7-99-000 RENTALS-OPERATING LEASES 00590573
IN1018984
17002054 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-12-6299-00-888-7-99-000 MISC CONTRACTED SERVICES 00590575
IN1018991
17002560 RENTAL OF XEROX 5955 APT DIGITAL COPI
199-21-6269-00-889-7-11-000 RENTALS - OPERATING LEASES 00590577
IN1018981
17002783 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-21-6269-00-893-7-99-000 RENTALS-OPERATING LEASES 00590578
IN1018908
17002784 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-36-6269-30-001-7-11-010 RENTALS-OPERATING LEASES 00590579
IN1018966
17002785 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00590580
Status
Status Description
DAHILL INDUSTRIES
17000820 RENTAL OF XEROX W7845PT COLOR COPIER
199-41-6269-00-986-7-99-000 RENTALS 00590550
Amount Paid
GENERAL FUND
IN1018943
IN1018964
265
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
395.36 395.36 C
Computer
228.21 228.21 C
Computer
369.51 369.51 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
395.36 395.36 C
Computer
141.30 141.30 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
141.30 141.30 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
141.30 141.30 C 141.30
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216625 00590580
Vendor Name
PO No
Description
Acct Amt
01/12/17
18896
IN1018930
17002851 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-045-7-11-010 RENTALS-OPERATING LEASES 00590583
IN1018901
17002852 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-041-7-11-010 RENTALS-OPERATING LEASES 00590584
IN1018927
17002853 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-042-7-11-010 RENTALS-OPERATING LEASES 00590585
IN1018933
17002854 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-044-7-11-010 RENTALS-OPERATING LEASES 00590586
IN1018967
17002855 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-049-7-11-010 RENTALS-OPERATING LEASES 00590587
IN1018956
17002856 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-043-7-11-010 RENTALS-OPERATING LEASES 00590588
IN1018959
17002857 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-046-7-11-010 RENTALS-OPERATING LEASES 00590589
IN1018965
17002858 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-048-7-11-010 RENTALS-OPERATING LEASES 00590590
IN1018917
17002870 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-41-6269-00-942-7-99-000 RENTALS-OPERATING LEASES 00590595
IN1019011
17005133 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-23-6269-00-004-7-99-000 RENTALS-OPERATING LEASES 00590596
IN1025841
17002779 RENTAL OF XEROX 5955APT DIGITAL COPIER
199-11-6269-00-028-7-11-000 RENTALS 00590597
IN1018963
17002869 Rental for Xerox WC5335PT Digital Cop
199-41-6269-00-976-7-99-000 RENTALS - OPERATING LEASES 00590598
IN983557
17008340 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-06-001-7-11-010 RENTALS-OPERATING LEASES 00590599
IN906474
17002053 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-06-001-7-11-010 RENTALS-OPERATING LEASES 00590600
IN945150
17002053 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-06-001-7-11-010 RENTALS-OPERATING LEASES 00590601
IN1018955
17001557 RENTAL OF XEROX W7845P COLOR COPIER FR
199-21-6269-00-845-7-99-000 RENTALS-OPERATING LEASES 0210216631 00590222
Status
Status Description
DAHILL INDUSTRIES
17002786 RENTAL OF XEROX WC5335PT DIGITAL COPI
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 00590582
Amount Paid
GENERAL FUND
IN1018964
01/12/17 02660
10477
Total Check per Fund: DIAZ FLOOR AND INTERIORS, INC.
17008348 NEED TO REPAIR AND INSTALL NEW VTC FLO
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216633
01/12/17
00590229
X103109980:01
116653
266
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DOGGETT FREIGHTLINER SOUTH TEXAS
17007423 ASAP OPEN PARTS FROM DEC 12 THRU DEC
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
147.42 147.42 C
Computer
141.30 141.30 C
Computer
228.51 228.51 C
Computer
147.42 147.42 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
141.30 141.30 C
Computer
349.44 349.44 C
Computer
42,320.16 10,625.00 10,625.00 C 10,625.00 9.84
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
199
Acct Amt
01/12/17
00590229
X103109980:01
116653
9.84
X103109979:01
9.84 C
X103110684:01
176.83 C
00590235
381457
88935
786.10 C
381481
Total Check per Fund: DOMINO'S PIZZA
17006543 DINNER MEALS FOR MEMORIAL MIDDLE SCHOO
383121
382497
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00590232
382636
17007528 EACH
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 0210216639 00590246
01/12/17 2120211
11094
2120211
169.06
17007464 THIS IS A TEST SCRIPTS
169.06 C MATERIAL FOR MEMORIAL M
199-36-6499-40-044-7-99-000 MISC OPERATING COSTS 0210216641 00590248
01/12/17 1166
19810
00590250
01/12/17 70028
7357
H
70085
17007151 ROD END INNER FOR GOLF CAR AT PALMVIEW
70094
00590258
01/12/17 6BSGND
66893
466.92 C
RENTAL OF VEH
199-36-6269-06-007-7-11-010 RENTALS-OPERATING LEASES 00590259
6BVQF6
17006821 LA JOYA H.S. MARIACHI - RENTAL OF VEH
199-36-6269-06-001-7-99-010 RENTALS-OPERATING LEASES
Computer
502.39 Computer
466.92
Total Check per Fund: ENTERPRISE RENT-A-CAR
17006236 PALMVIEW H.S. MARIACHI
221.80
502.39 C
17008103
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210216644
Computer
1,600.00
221.80 C
17007820 YAMAHA/JR1-603836 FOR GOLF CAR AT PALM
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00590252
1,600.00 1,600.00 C
Total Check per Fund: EASY RIDE GOLF CARS SALES & SERVICE
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00590251
Computer
214.80
Total Check per Fund: E.Z. CONSULTING SERVICES
17000272 ELOY ZAMORA - CONSULTING SERVICES:
Computer
45.74 45.74 C
199-41-6291-00-943-7-99-000 CONSULTANT SERVICES 0210216643
Computer
333.37
Total Check per Fund: DRAMATIC PUBLISHING
17007464 ONE ACT PLAY
Computer
48.00 48.00 C
199-36-6399-40-044-7-99-000 GENERAL SUPPLIES 00590246
Computer
30.00 30.00 C
LARGE PIZZA TO BE USED FOR COLL
Computer
62.75 62.75 C
17007527 EACH LARGE PIZZA TO BE USED FOR COLLEG
Computer
99.87 99.87 C
17006892 Pizza for Students attending SATURDAY
199-11-6498-54-830-7-99-000 FOOD AND NON FOOD COSTS 00590233
92.75 92.75 C
17006456 DINNER MEALS FOR PALMVIEW HIGH SCHOOL
199-36-6498-05-007-7-11-010 FOOD & NON-FOOD RELATED ITEMS 00590234
Computer
972.77
199-36-6498-05-044-7-99-010 FOOD AND NON FOOD COSTS 00590231
Computer
786.10
17007423 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 01/12/17
Computer
176.83
17007423 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
0210216635
Status Description
DOGGETT FREIGHTLINER SOUTH TEXAS
17007423 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
00590228
Status
GENERAL FUND
0210216633
00590227
FPREG02B
A/P Detail Check Register By Fund Vendor No
267
Computer
1,191.11 223.04 223.04 C
Computer
202.76 202.76 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
66893
ENTERPRISE RENT-A-CAR
0210216646
01/12/17
99341
Total Check per Fund: ESTRADA FAUSTINO JR
NOV. 2016
17000600 MILEAGE REIMBURSEMENT SEPT2016-DEC201
199-51-6411-00-960-7-99-000 TRAVEL - EMPLOYEES DEC. 2016
17000600 MILEAGE REIMBURSEMENT SEPT2016-DEC201
199-51-6411-00-960-7-99-000 TRAVEL - EMPLOYEES 0210216647 00590263
01/12/17 2605075
113913
Total Check per Fund: EWING IRRIGATION PRODUCTS INC
17007302 ANNUAL RYEGRASS SEED 53000137 (ATH-12
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590264
2537805
17007302 ANNUAL RYEGRASS SEED 53000137 (ATH-12
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590265
2590361
17007302 ANNUAL RYEGRASS SEED 53000137 (ATH-12
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216648 00590266
01/12/17 961
42307
Total Check per Fund: EXCLUSIVE DECALS & SCREENPRINTING
17004363 UIL Shirts for Students.
199-36-6497-00-118-7-99-000 AWARDS AND INCENTIVES 00590267
962
17006549 UIL Shirts for students
199-36-6497-00-118-7-99-000 AWARDS AND INCENTIVES 0210216649 00590269
01/12/17 4180270
46515
Total Check per Fund: FERGUSON ENTERPRISES, INC. #116
17008062 *CVC* CCY ASME/119G 81K/480/V 3PH/W WA
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590270
CM476078
17008062 *CVC* CCY ASME/119G 81K/480/V 3PH/W WA
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216651 00590276
01/12/17 2045999
4369
Total Check per Fund: FLINN SCIENTIFIC, INC.
17006238 IODINE. LAB GRADE 100G
199-11-6399-00-022-7-11-000 GENERAL SUPPLIES 00590275
2045208
17007700 AGAR.BACTO 500G A0085
199-11-6399-00-022-7-11-000 GENERAL SUPPLIES 00590274
2045207
17007701 DISHES WEIGHING 1.5G 500PKG AP1278
199-11-6399-00-022-7-11-000 GENERAL SUPPLIES 00590277
2046665
17007702 PALMVIEW H.S. ART - TIE DYEING - CHEM
199-11-6399-10-007-7-11-010 GENERAL SUPPLIES 0210216652 00590278
01/12/17 DEC. 2016
106372
Total Check per Fund: FLORES ALMA F.
17000181 MILEAGE FOR SUPERVISOR/COUNSELOR'S CL
199-23-6411-00-117-7-99-000 TRAVEL - EMPLOYEE 0210216654
Status
Status Description
GENERAL FUND 01/12/17
00590262
Amount Paid Acct Amt
0210216644
00590261
01/12/17
4849
268
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: FLORES NURSERY & FLORAL
425.80 54.00 54.00 C
Computer
32.40 32.40 C
Computer
86.40 259.85 259.85 C
Computer
131.35 131.35 C
Computer
-131.35 -131.35 C
Computer
259.85 618.00 618.00 C
Computer
469.08 469.08 C
Computer
1,087.08 13,500.00 13,500.00 C
Computer
-40.08 -40.08 C
Computer
13,459.92 116.06 116.06 C
Computer
239.00 239.00 C
Computer
401.46 401.46 C
Computer
77.94 77.94 C
Computer
834.46 17.28 17.28 C 17.28
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216654 00590281
Vendor Name Description
Acct Amt
01/12/17
4849
01/12/17 DEC. 2016
18932
00590610
01/12/17
17000039 MILEAGE FOR J/LHS(SILVIA FLORES, BOOK
20240
22195
Total Check per Fund: GAITAN ORLANDO
17000394 PALMVIEW H.S. BAND - ORLANDO GAITAN -
199-36-6291-30-007-7-11-010 CONSULTANT SERVICES 0210216665 00590619
01/12/17 59528
15808
Total Check per Fund: GATTI'S PIZZA #408
17006132 GARCIA M.S. BAND - DINNER MEALS FOR S
199-36-6412-30-046-7-11-010 TRAVEL - STUDENTS 00590618
59605
17007599 STUDENTS WILL BE AWARDED FOR BEING TO
199-11-6412-00-027-7-11-000 TRAVEL - STUDENTS 00590617
59595
17006248 LA JOYA H.S. CHOIR - MEALS FOR STUDEN
199-36-6412-05-001-7-11-010 TRAVEL - STUDENTS 0210216667 00590621
01/12/17 112424
8993
Total Check per Fund: GLENDALE INDUSTRIES
17004379 Item#0227 5'x8' US Flag. This item wi
199-36-6399-25-007-7-99-000 GENERAL SUPPLIES
00590630
01/12/17 9304447718
2122
9272176133
17007360 72 INCH PARKING CURB YELLOW POLYETHYL
17005294 PALMVIEW H.S. THEATRE - DEWALT DRILL
199-36-6395-07-007-7-11-010 FURN & EQUIP <$500 UNIT COST 00590644
9272176133
17005294 DEWALT CORDLESS JIGSAW
199-36-6399-07-007-7-11-010 GENERAL SUPPLIES 00590643
9281613258
17005764 (33W654) 50LB WATER SOFTENER SALT, HAR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590642
9300808392
17007359 TK4368837T Hand Stretch Wrap Cast Conv
199-41-6399-03-976-7-99-000 GENERAL SUPPLIES 00590640
9298325102
17007218 3PB81 WIRE STRIPPER (T-99)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590639
9307951039
17007218 3PB81 WIRE STRIPPER (T-99)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590638
9307567314
17007218 3PB81 WIRE STRIPPER (T-99)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590636
9307171703
65.34 C
Computer
65.34 750.00 750.00 C
Computer
750.00 168.00 168.00 C
Computer
361.00 361.00 C
Computer
227.00 227.00 C
Computer
756.00 460.75 Computer
460.75
GRAINGER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590633
65.34
460.75 C Total Check per Fund:
0210216669
Computer
212.50
FLORES SILVIA
199-23-6411-00-004-7-99-000 TRAVEL - EMPLOYEES 0210216658
Status Description
212.50 212.50 C
Total Check per Fund: 00590285
Status
FLORES NURSERY & FLORAL
17007590 ITEMS FOR CENTERPIECES LUNCHEON SCHEDU
199-41-6399-00-926-7-99-000 GENERAL SUPPLIES 0210216655
Amount Paid
GENERAL FUND
14711
269
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007601 11A162 DEWALT CORDLESS COMBINATION KI
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST
567.76 567.76 C
Computer
951.28 951.28 C
Computer
256.76 256.76 C
Computer
61.25 61.25 C
Computer
318.00 318.00 C
Computer
844.30 844.30 C
Computer
128.58 128.58 C
Computer
-153.50 -153.50 C
Computer
499.00 499.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216669 00590635
Vendor Name Description
Acct Amt
01/12/17
2122
9294485470
17006750 Mfg Brand Name: GRAINGER APPROVED TRA
199-52-6399-00-905-7-99-000 GENERAL SUPPLIES 00590629
9304447726
17006750 Mfg Brand Name: GRAINGER APPROVED TRA
199-52-6399-00-905-7-99-000 GENERAL SUPPLIES 00590632
9307171711
17006750 Mfg Brand Name: GRAINGER APPROVED TRA
199-52-6399-00-905-7-99-000 GENERAL SUPPLIES 00590631
9313277809
17008004 11A163 DEWALT CORDLESS COMBINATION KI
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST 00590637
9313910755
17008365 3UL19 SOLENOID VALVE,2/2,3/4 IN, NC,1
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216671 00590646
01/12/17 122016c
164356
Total Check per Fund: GUERRERO EFRAIN
17008006 CONSULTANT EFRAIN GUERRERO ON DEC. 20
199-23-6291-00-007-7-99-000 CONSULTING SERVICES 00590645
121916b
17007843 EFRAIN GUERRERO CONSULTANT FOR JLHS(MO
199-23-6291-00-004-7-99-000 CONSULTING SERVICES 0210216676
01/12/17
00590707
6EH5W92R338WV
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007158 STATE FEES FOR VEHICLE REGISTRATION FO
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210216677
01/12/17
00590706
FKHEWEUW089WW
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007158 STATE FEES FOR VEHICLE REGISTRATION FO
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210216678
01/12/17
00590705
EKD6PDVWY8DW0
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007158 STATE FEES FOR VEHICLE REGISTRATION FO
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210216679
01/12/17
00590709
7EJ1V4ZR232V7
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216680
01/12/17
00590710
ELJBV9ZX49GVW
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216681 00590711
Status
Status Description
GRAINGER
17007220 #3ZC17 PERMANENT PAVEMENT REPAIR 60 LB
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590634
Amount Paid
GENERAL FUND
9298325094
02/21/17
37192
270
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17XFZ0816G10614 17007713 TRAILERS REGISTRATION RENEWAL FOR ATH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
1,135.80 1,135.80 C
Computer
619.35 619.35 C
Computer
77.20 77.20 C
Computer
-77.20 -77.20 C
Computer
429.00 429.00 C
Computer
680.40 680.40 C
Computer
6,337.98 425.00 425.00 C
Computer
425.00 425.00 C
Computer
850.00 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 -7.50 -7.50 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216681 00590711
Vendor Name Description
Acct Amt
37192
0210216682
01/12/17
00590708
ANE9ZDTZWBBWS
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007158 STATE FEES FOR VEHICLE REGISTRATION FO
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR
00590727
01/12/17 00012033
11339
Total Check per Fund: HIDALGO MUNICIPAL UTILITY DIST. #1
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590728
00012036
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590726
00012041
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590725
00012046
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590724
00012047
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590723
00012048
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590722
00012052
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590721
00012053
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590720
00012054
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590712
00012331
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590713
00012341
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590714
00012351
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590715
00012361
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590716
00012371
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590717
00012381
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590718
00012391
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00590719
Status
Status Description
HIDALGO COUNTY TAX OFFICE
17XFZ0816G10614 17007713 TRAILERS REGISTRATION RENEWAL FOR ATH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
0210216683
Amount Paid
GENERAL FUND 01/12/17
00012401
271
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005766 Bils for water services for the month
7.50 7.50 C
Computer
.00 7.50 7.50 C
Computer
7.50 1,326.99 1,326.99 C
Computer
1,761.19 1,761.19 C
Computer
3,033.98 3,033.98 C
Computer
206.85 206.85 C
Computer
131.10 131.10 C
Computer
703.58 703.58 C
Computer
108.54 108.54 C
Computer
108.54 108.54 C
Computer
108.54 108.54 C
Computer
1,779.34 1,779.34 C
Computer
62.43 62.43 C
Computer
131.10 131.10 C
Computer
251.34 251.34 C
Computer
195.70 195.70 C
Computer
85.23 85.23 C
Computer
871.83 871.83 C 158.71
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216683 00590719
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
11339
00590663
01/12/17 0171
124400
0172
17008367 THE FULL CEILING REMODEL OF THE NEW PR
00590702
01/12/17 378603
1073
17008027 64300 ATHLETIC FIELD MARKING DUST 50/
00590985
01/12/17 3494581216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17005631 FADELESS PAPER - APPLE GREEN
00590986
3494571216
17005631 FADELESS PAPER - APPLE GREEN
00590984
2780981116
17006143 STUDENTS BLUE
STORE IT ALL ROTATING
199-11-6399-00-010-7-11-000 GENERAL SUPPLIES 00590982
3495321116
17005631 FADELESS PAPER - APPLE GREEN
199-11-6399-00-007-7-11-000 GENERAL SUPPLIES 0210216691 00590991
01/12/17 1190226118
138118
Total Check per Fund: LEGO EDUCATION
17006572 SIMPLE & POWERED MACHINES SET 30 STUD
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 0210216695 00591153
01/12/17 DEC. 2016
3130
Total Check per Fund: PEDRO MAGALLON
17004804 CONSULTANT TO BE USED FOR JUAREZ LINCO
199-36-6291-06-004-7-11-010 CONSULTANT SERVICES 0210216699 00591081
01/12/17 45515
00591222
01/12/17 SIP130578
17001675 LA JOYA H.S. MARIACHI - LETTERMAN JAC
00591108
01/12/17 99262900I
4699
Total Check per Fund: MOORE MEDICAL, LLC
17003625 UNISEX SCRUB ROYAL BLUE TOP SMALL ITEM
199-11-6399-00-022-7-11-000 GENERAL SUPPLIES
Computer
151.92 151.92 C
Computer
53.37 53.37 C
Computer
253.71 10,562.80 10,562.80 C
Computer
10,562.80 480.00 480.00 C
150.00
Total Check per Fund: MECA SPORTSWEAR, INC.
Computer
32.28
17008202 CLEAN & REPAIR RADIATOR UNIT 358
199-36-6497-06-001-7-11-010 AWARDS & INCENTIVES 0210216705
16.14
480.00
11609
Computer
343.60
Total Check per Fund: MCALLEN RADIATOR SERVICE INC.
13165
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216700
343.60
32.28 C
199-11-6399-00-007-7-11-000 GENERAL SUPPLIES
Computer
39,674.98
16.14 C
199-11-6399-00-007-7-11-000 GENERAL SUPPLIES
Computer
15,245.51
343.60 C
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216689
24,429.47
15,245.51 C
Total Check per Fund: KINNEY BONDED WAREHOUSE, INC.
Computer
11,024.99
24,429.47 C
17008368 HVAC UPGRADES OF THE NEW PRINT SHOP FA
199-51-6249-01-956-7-99-000 SUMMER PROJECTS 0210216688
158.71 158.71 C
Total Check per Fund: INSULNATION, LLC
199-51-6249-01-956-7-99-000 SUMMER PROJECTS 00590664
Status Description
HIDALGO MUNICIPAL UTILITY DIST. #1
17005766 Bils for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 0210216687
Status
GENERAL FUND
00012401
272
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
150.00 C
Computer
Computer
150.00 265.00 265.00 C
Computer
265.00 144.20 144.20 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216705 00591111
Vendor Name Description
Acct Amt
01/12/17
4699
00591242
00591243
01/12/17 DEC. 2016
44377
17007875 Payment for Legal Services for LJISD
01/12/17 DEC. 2016
97969
17003517 PALMVIEW H.S. MARIACHI - CONSULTANT CO
00591115
01/12/17 00534252
1305
Total Check per Fund: MUSIC IN MOTION
17004695 GARZA ELEM. - GOLD NOT PENCILS
199-36-6497-30-126-7-11-010 AWARDS AND INCENTIVES 00591114
00534720
17004695 GARZA ELEM. - GOLD NOT PENCILS
199-36-6497-30-126-7-11-010 AWARDS AND INCENTIVES 0210216715
01/12/17
00591149
679880339-01
7114
Total Check per Fund: ORIENTAL TRADING COMPANY, INC.
17002635 RED RIBBON WEEK TATTOOS
199-11-6497-00-112-7-11-000 AWARDS & INCENTIVES 0210216720 00591154
01/12/17
58653
2946
Total Check per Fund: PENA ALEXANDRA SOUTH PADRE ISLAND TEXAS
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE
00591331
01/12/17 DEC. 2016
79596
00591156
01/12/17
17001110 YEARLY MILEAGE FOR NORMA I PENA, PAREN
DEC. 2016
20849
Total Check per Fund: PEREZ GRACIELA
17000242 MILEAGE FOR GRACIE PEREZ CAMPUS SECRE
199-23-6411-00-113-7-99-000 TRAVEL - EMPLOYEES 0210216724 00591184
01/12/17 582949
6926
Total Check per Fund: PETROLEUM SOLUTIONS, INC.
17005032 MONTH REPAIR OF DIESEL / GASOLINE FUE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591183
127258
17005032 MONTH REPAIR OF DIESEL / GASOLINE FUE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216725 00591185
01/12/17 4706677
825.00 825.00 C
Computer
825.00 174.90 174.90 C
Computer
19.75 19.75 C
Computer
194.65 77.90 77.90 C
Computer
77.90 209.96 Computer
209.96 27.54 27.54 C
162.00 162.00 C
Computer
162.00 416.71 416.71 C
Computer
500.00 500.00 C 916.71
17001715 REGISTRATION FEE FOR THE FOLLOWING EM
300.00
199-21-6411-00-902-7-22-000 TRAVEL - EMPLOYEE
Computer
27.54
Total Check per Fund: PHARR-SAN JUAN-ALAMO- INDEPENDENT SCHOOL
1438
Computer
25,340.00
PENA NORMA I
199-61-6411-00-122-7-99-000 TRAVEL - EMPLOYEES 0210216723
25,340.00
209.96 C Total Check per Fund:
0210216722
Computer
309.70
25,340.00 C
Total Check per Fund: MUNOZ MARIO M.
199-11-6291-06-007-7-11-010 CONSULTANT SERVICES 0210216708
Status Description
165.50 165.50 C
Total Check per Fund: MUNOZ JAIME J.
199-41-6211-00-701-7-99-000 LEGAL SERVICES 0210216707
Status
MOORE MEDICAL, LLC
17003625 UNISEX SCRUB ROYAL BLUE TOP SMALL ITEM
199-11-6399-00-022-7-11-000 GENERAL SUPPLIES 0210216706
Amount Paid
GENERAL FUND
99261167I
273
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
300.00 C
Computer
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216725 00591188
Vendor Name Description
Acct Amt
01/12/17
1438
420383
17001715 REGISTRATION FEE FOR THE FOLLOWING EM
199-21-6411-00-902-7-22-000 TRAVEL - EMPLOYEE 00591186
9841446
17001715 REGISTRATION FEE FOR THE FOLLOWING EM
199-21-6411-00-902-7-22-000 TRAVEL - EMPLOYEE 0210216726 00591189
00591338
01/12/17 6262509
01/12/17 MEMORILAL
0210216728
01/12/17
00591192
964502063463
00591208
1109
1438
17005402 -MEMORIAL MS
33324
Total Check per Fund: PITTSBURGH PAINTS #9645
17008371 PPG57251 6414BL0510DPPG 4/LB WHITE PA
129887
Total Check per Fund: PRO STITCH EMBROIDERY & MORE
17008145 RED SWEATERS - ALL ITEMS ARE FOR STAF
199-23-6497-00-112-7-99-000 AWARDS & INCENTIVES 0210216730 00591343
01/12/17 D108912160
23701
Total Check per Fund: PROPERTY CASUALTY ALLIANCE OF TEXAS
17001720 Insurance Deductible for General Liab
199-41-6429-01-985-7-99-000 INSURANCE/BONDING COSTS (PROP & CASUALTY Total Check per Fund: 0210216731 00591210
01/12/17 DEC. 2016
127280
00591211
01/12/17
17001950 MILEAGE FOR DENISE PUENTE, PARENT EDU
UNIT #110
125709
Total Check per Fund: QUALITY CONVERTER
17004977 CHECK & REPAIR ENGINE ON UNIT T-110/CA
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591212
INVENTORY
17008209 ALLISON AT-545 TRANS OVERHAUL FOR INV
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591213
INVENTORY
17008210 ALLISON 2500 TRNAS OVERHAUL FOR INVEN
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210216734 00591348
01/12/17 201060
134260
Computer
300.00 300.00 C
350.00 C
Computer
Computer
350.00 580.00 580.00 C
Computer
580.00 349.99 349.99 C
Computer
349.99 1,805.00 1,805.00 C
Computer
1,805.00 1,045.53 1,045.53 C
Computer
1,045.53
PUENTE DENISE
199-61-6411-00-124-7-99-000 TRAVEL - EMPLOYEES 0210216732
300.00 C
350.00
Total Check per Fund: PHARR-SAN JUAN-ALAMO- INDEPENDENT SCHOOL
Computer
300.00
17006160 REGISTRATION FOR THE 2016 COLLEGE FOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 01/12/17
300.00 C
Total Check per Fund: PHARR-SAN JUAN-ALAMO- INDEPENDENT SCHOOL
1438
199-36-6412-40-044-7-99-000 TRAVEL - STUDENTS
0210216729
Status Description
300.00
1,200.00
199-23-6411-00-008-7-11-000 TRAVEL - EMPLOYEE ONLY 0210216727
Status
PHARR-SAN JUAN-ALAMO- INDEPENDENT SCHOOL
17001715 REGISTRATION FEE FOR THE FOLLOWING EM
199-21-6411-00-902-7-22-000 TRAVEL - EMPLOYEE 00591187
Amount Paid
GENERAL FUND
4614649
274
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: QUINTANILLA GARZA JULIANA PALMVIEW TEXAS
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE
75.60 75.60 C
Computer
75.60 855.00 855.00 C
Computer
1,400.00 1,400.00 C
Computer
3,400.00 3,400.00 C
Computer
5,655.00 7.56 7.56 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210216734 00591349
Acct Amt
01/12/17
134260
201040
31.32
EDINBURG TEXAS
201037
31.32 C
201065
00591035
01/12/17
22.68 C
LJ12201601
17.28 C
Total Check per Fund: RENO SPORTS SEATING, LLC
17007081 TELESCOPIC GYM BLEACHER REPAIRS
REPA
Total Check per Fund: 00591050
01/12/17 LAJOY121416
22908
00590352
01/12/17
17007738 STREAMSOURCE / ANNUAL HOSTING RENEWAL
NOV. 2016
12915
Total Check per Fund: SALGADO LILLIANNA
17000458 MILEAGE FOR THE 2016-2017 SCHOOL YEAR
199-41-6411-00-989-7-99-000 TRAVEL - EMPLOYEES 00590353
DEC. 2016
00590357
01/12/17 DEC. 2016
17000458 MILEAGE FOR THE 2016-2017 SCHOOL YEAR
123706
00590360
01/12/17
17000112 MILEAGE FOR PARENT EDUCATOR, ESPERANZA
009191
2924
000522
Total Check per Fund: SAM'S CLUB DIRECT
17005555 SHASTA VARIETY PACK
17005664 Quaker Chewy Granola Bars, Variety Pa
199-36-6498-40-127-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590362
003011
17004718 ITEMS FOR JIMMY CARTER EARLY COLLEGE H
199-23-6399-00-008-7-11-000 GENERAL SUPPLIES 00590363
005589
00590384
01/12/17
17005459 CHICKEN FOOD FOR STAFF
M60837051
2580
Total Check per Fund: SCHOLASTIC INC.
17004722 THE NEW YORK
TIMES UPFRONT - MAGAZIN
199-11-6329-00-008-7-24-000 READING MATERIALS 00590383
M60774361
17004207 SUBSCRIPTION FOR SCHOLASTIC SCOPE FOR
199-11-6329-00-008-7-24-000 READING MATERIALS 0210216753
01/12/17
1630
2,388.00 C
Total Check per Fund: SCHOOL SPECIALTY INC.
Computer
2,388.00 44.82 Computer
86.94 Computer
131.76 25.92 Computer
25.92 279.12 279.12 C
Computer
73.50 73.50 C
Computer
147.36 147.36 C
199-12-6498-00-007-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210216752
2,388.00
25.92 C
199-23-6498-00-048-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590361
Computer
4,575.00
86.94 C
Total Check per Fund: SALINAS ESPERANZA
199-61-6411-00-117-7-99-000 TRAVEL - EMPLOYEE 0210216750
4,575.00 C
44.82 C
199-41-6411-00-989-7-99-000 TRAVEL - EMPLOYEES 0210216749
4,575.00
RUSHWORKS
199-12-6249-00-988-7-99-000 CONTRACTED MAINT & REPAIR 0210216748
Computer
78.84
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216745
Computer
17.28
MCALLEN TEXAS
116777
Computer
22.68
PHARR TEXAS
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 0210216739
Status Description
QUINTANILLA GARZA JULIANA
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00591346
Status
GENERAL FUND
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00591347
FPREG02B
A/P Detail Check Register By Fund Vendor No
275
Computer
196.81 196.81 C
Computer
696.79 274.73 274.73 C
Computer
254.38 254.38 C 529.11
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
00590387
208117631371
1630
208117621081
00590390
01/12/17
23086
4925
Total Check per Fund: SEPULVEDA REBECCA 12/01/16-RGV LEAD TRAINING-SPI, TEXAS
00590394
01/12/17 3021-4
36188
17007638 B54T00104 INDUSTRIAL ENAMEL ULTRADEEP
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590393
3022-2
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590392
2705-7
2706-5
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216758 00590397
01/12/17 gb00213712
17715
17003871 Adobe Acrobat Pro DC 2015 - License -
gb00212645
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 0210216760
01/12/17
00590399
LJHS/17008057
69124
17008057 NEED TO CONSTRUCT SIDEWALK ON THE SOU
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216761 00590348
01/12/17 DEC. 2016
15889
17000195 MILEAGE REIMBURSEMENT FOR SUPERVISOR,
199-23-6411-00-117-7-99-000 TRAVEL - EMPLOYEE 0210216762 00590404
01/12/17 452654
3151
17007927 LA JOYA H.S. ORCHESTRA
- TROPICAL SH
199-11-6399-08-001-7-11-010 GENERAL SUPPLIES 01/12/17
00590410
112088818-109
7391
01/12/17
17000328 SERVICE CHARGE ON TW0 (2) MOBILE PHON
1729
Computer
3,169.95 9,674.96 Computer
9,674.96 25.92 Computer
25.92 1,250.00 Computer
1,250.00
SPRINT PCS
199-51-6259-00-956-7-99-000 UTILITIES - TELEPHONES SERVICES 0210216765
Computer
2,940.00
1,250.00 C Total Check per Fund:
0210216764
229.95
25.92 C
Total Check per Fund: SOUTH TEX BEAUTY SUPPLY, INC.
Computer
1,975.84
9,674.96 C
Total Check per Fund: LAURA PATRICIA SOLIS
Computer
81.20
2,940.00 C
Total Check per Fund: SILVERADO HOMES & CONSTRUCTION
Computer
101.50
229.95 C
17002981 SELF SERVICE RESET PASSWORD MANAGEMEN
Computer
214.38
81.20 C
Total Check per Fund: SHI GOVERNMENT SOLUTIONS
199-21-6399-00-845-7-99-000 GENERAL SUPPLIES 00590396
1,578.76
101.50 C
17007926 INDUSTRIAL ENAMEL PURE WHITE (PAINT-1
Computer
220.70
214.38 C
17007925 INDUSTRIAL ENAMEL DEEP BASE (PAINT-17
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590395
220.70
1,578.76 C
17007232 HERNY 663 ADHESIVE-G (PAINT-97)
Computer
192.48
220.70 C
Total Check per Fund: SHERWIN WILLIAMS CO.
Computer
147.70 147.70 C
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 0210216757
44.78 44.78 C
17007636 FOLDER TWO POCKET POLY W/O FASTENERS A
199-12-6399-00-104-7-99-000 GENERAL SUPPLIES 0210216755
Status Description
SCHOOL SPECIALTY INC.
17007920 PEN PM INKJOY GEL 0.5 MM BLACK PACK O
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES 00590386
Status
GENERAL FUND
0210216753
276
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: STANDARD STATIONERY SUPPLY CO.
840.61 840.61 C 840.61
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216765 00590411
Vendor Name
PO No
Description
Acct Amt
01/12/17
1729
1006804
675.84 C
1006347
1006699
2,448.00 C
17006506 White Laser Labels 1 in. x 2 5/8 in.
1006627
1006685
17007407 Pocket Folders Assorted Colors - (STAN
0210216769 00590426
01/12/17 2018
128457
Total Check per Fund: SURVEILLANCE PRO
17008383 12U WALL-MOUNT RACK ENCLOSURE CABINET
199-34-6639-00-972-7-99-000 FURN, EQUIP & SOFTWARE 00590427
2017
17008287 8 CH. PROFESSIONAL IP NETWORK VIDEO R
199-51-6639-99-956-7-99-051 Equipment over 5,000 0210216771
01/12/17
00590433
LJHS/FEB. 3-5
128953
Total Check per Fund: TAME-TEXAS ASSOC. OF MARIACHI EDUCATORS
17008058 LA JOYA H.S. MARIACHI - ENTRY FEES FOR
Total Check per Fund: 0210216773 00590435
01/12/17
8388
506086
516193
POLICY MEMBERSHIP RENEWAL 09/01-08/31
17008384 2017 TASB Membership fee schools dist
199-41-6495-01-701-7-99-000 MEMBERSHIP FEES 00590438
515052
17008385 Legal Assistance Fund 2017 Participat
199-41-6495-00-701-7-99-000 MEMBERSHIP FEES 00590436
515052
17008385
199-41-6495-01-701-7-99-000 MEMBERSHIP FEES 0210216774 00590449
01/12/17 136355
21384
Total Check per Fund: TEXAS BAND & ORCHESTRA
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590445
137362
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590439
136356
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590440
136607
14,806.60 14,806.60 C
Computer
7,056.20 7,056.20 C
Computer
21,862.80 250.00 Computer
250.00
TASB, INC.
199-41-6495-05-926-7-99-000 MEMBERSHIP FEES 00590437
Computer
10,863.12
250.00 C
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS
Computer
1,693.44 1,693.44 C
199-00-1310-00-000-7-00-000 INVENTORY
Computer
2,660.88 2,660.88 C
199-00-1310-00-000-7-00-000 INVENTORY 00590416
Computer
1,409.76 1,409.76 C
17007407 Pocket Folders Assorted Colors - (STAN
Computer
1,975.20 1,975.20 C
17007406 Pencil Sharpener Electric Black - (Bo
199-00-1310-00-000-7-00-000 INVENTORY 00590415
Computer
2,448.00
17006507 GLUE
199-00-1310-00-000-7-00-000 INVENTORY 00590414
Status Description
675.84
199-00-1310-00-000-7-00-000 INVENTORY 00590413
Status
STANDARD STATIONERY SUPPLY CO.
17006507 GLUE
199-00-1310-00-000-7-00-000 INVENTORY 00590412
Amount Paid
GENERAL FUND
1006389
277
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR
1,000.00 1,000.00 C
Computer
11,000.00 11,000.00 C
Computer
439.00 439.00 C
Computer
61.00 61.00 C
Computer
12,500.00 65.00 65.00 C
Computer
79.00 79.00 C
Computer
80.00 80.00 C
Computer
50.00 50.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210216774 00590441
Acct Amt
01/12/17 136606
21384
136605
135275
135272
139601
199-11-6249-30-041-7-11-010 CONTRACTED MAINT & REPAIR 00590446
139265
199-11-6249-30-041-7-11-010 CONTRACTED MAINT & REPAIR 00590447
139264
199-11-6249-30-041-7-11-010 CONTRACTED MAINT & REPAIR 0210216775 00590450
01/12/17 10050822
6476
00590452
01/12/17 TPA17-001
40.00
17004603 REGISTRATION FEES FOR POLICE OFFICER
00590734
10001182-1116
1915
40.00 C
10001182-1116
THE MONITOR
17000523 Newspaper Advertising fees from Septem
10001182-1116
10001182-1116
199-51-6499-00-956-7-99-000 MISC OPERATING COSTS 01/12/17
00590736
10031477-1116
1915
00591052
01/12/17
THE MONITOR
17000154 ADVERTISING IN THE MONITOR FROM SEPTEM
ARMS CHOIR/3-1
3125
17008479 ANN RICHARDS CHOIR - ENTY FEES FOR
LJHS BAND/2-4
Computer
8,829.68 S
17008387 LA JOYA H.S. BAND - ENTRY FEES FOR UI
199-36-6412-30-001-7-11-010 TRAVEL - STUDENTS
8,829.68 8,829.68 C
Total Check per Fund: UIL MUSIC REGION 15
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 00591051
Computer
3,359.21
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS 0210216789
Computer
1,757.43 1,757.43 C
Total Check per Fund: 0210216781
Computer
1,291.26 1,291.26 C
17000740 ADVERTISEMENT FOR BIDS FROM SEPTEMBER
Computer
207.01 207.01 C
17002182 ADVERTISTING SERVICES FOR THE YEAR FRO
199-12-6499-00-888-7-99-000 MISC OPERATING COSTS 00590735
103.51 103.51 C
17000120 Newspaper Advertsing for the months o
199-41-6499-00-947-7-99-000 MISC OPERATING COSTS 00590730
Computer
40.00
199-41-6499-00-976-7-99-000 MISC OPERATING COSTS 00590731
Computer
140.00
Total Check per Fund: TEXAS POLICE ASSOCIATION
Total Check per Fund: 01/12/17
140.00 140.00 C
199-52-6411-00-993-7-99-000 TRAVEL - EMPLOYEES 0210216780
Computer
623.00
Total Check per Fund: TEXAS DEPARTMENT OF LICENSING
17003660 CONTRACTED SERVICES/ISSURANCE OF BOILD
21612
Computer
35.00 35.00 C
199-51-6499-00-956-7-99-000 MISC OPERATING COSTS 0210216777
Computer
25.00 25.00 C
17007277 TRUMPET GETZEN REPAIR BELL AND PLAYING
Computer
49.00 49.00 C
17007277 TRUMPET GETZEN REPAIR BELL AND PLAYING
Computer
50.00 50.00 C
17007277 TRUMPET GETZEN REPAIR BELL AND PLAYING
Computer
50.00 50.00 C
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
Computer
105.00 105.00 C
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590448
35.00 35.00 C
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590444
Status Description
TEXAS BAND & ORCHESTRA
17003762 YAMAHA FLUTE-REPLACE PAD, RELEVEL COR
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590443
Status
GENERAL FUND
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00590442
FPREG02B
A/P Detail Check Register By Fund Vendor No
278
380.00 380.00 C
Computer
625.00 625.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
3125
UIL MUSIC REGION 15
0210216790
01/12/17
3125
Total Check per Fund: UIL MUSIC REGION 15
00591053
JLHS MAR/1-21
17008388 ENTRY FEE FOR JUAREZ LINCOLN HS MARIA
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 01/12/17 748722
4580
Total Check per Fund: WELLS FARGO BANK, N/A/
17007165 NEED TO PURCHASE HOT MIX FOR THE MONTH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR Total Check per Fund: 0210216793 00591055
01/12/17 126420
21579
00591064
17007237 63504 BLOWER COUPLING HOSE 4-1/2 X 12
01/12/17 9777598878
105228
Total Check per Fund: VERIZON WIRELESS
17002676 MOBILE BROADBAND UNLIMITED $37.99 A MO
199-12-6259-00-888-7-99-000 UTILITIES 00591065
9777598875
17004596 PHONE PLANS FOR CNS. DEPT FOR THE MON
199-51-6259-04-958-7-99-000 UTILITES - CNS 00591063
9777598877
17000338 RATE PLAN-MOBILE BROADBAND 4G MOBILE B
199-51-6259-00-956-7-99-000 UTILITIES - TELEPHONES SERVICES 00591062
9777598877
17000339 SERVICE CHARGE ON THREE (3)MOBILE PHON
199-51-6259-00-956-7-99-000 UTILITIES - TELEPHONES SERVICES 00591061
9777598879
17000200 PHONE PLAN FOR CUSTODIAL DEPT. FOR TH
199-51-6259-00-957-7-99-000 UTILITIES 00591060
9775923129
17000200 PHONE PLAN FOR CUSTODIAL DEPT. FOR TH
199-51-6259-00-957-7-99-000 UTILITIES 0210216800 00590290
01/12/17 007985
00590304
01/12/17 001787
008993
007388
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17008174 POPCORN BOX
17007656 HAM/TURKEYLUNCH MEAT PACKS-DINNER FOR
17007194 ITEMS ARE GOING TO BE GIVEN TO STUDEN
199-11-6497-00-024-7-11-000 AWARDS & INCENTIVES 00590309
009926
17007194 ITEMS ARE GOING TO BE GIVEN TO STUDEN
199-11-6497-00-024-7-11-000 AWARDS & INCENTIVES 00590310
002592
342.56 342.56 C
Computer
342.56 474.21 474.21 C
17007194 ITEMS ARE GOING TO BE GIVEN TO STUDEN
199-11-6497-00-024-7-11-000 AWARDS & INCENTIVES
Computer
474.21 113.97 113.97 C
Computer
903.29 903.29 C
Computer
75.98 75.98 C
Computer
410.45 410.45 C
Computer
232.45 232.45 C
Computer
164.90 164.90 C
37.20
55891
Computer
200.00
17004482 100% Capri Juice for UIL Students for
199-36-6498-05-007-7-11-010 FOOD & NON-FOOD RELATED ITEMS 00590308
200.00 200.00 C
1,901.04
199-23-6497-00-022-7-99-000 AWARDS & INCENTIVES 00590305
1,005.00
Total Check per Fund: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
21617
199-36-6498-40-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210216801
Status Description
USA BLUE BOOK
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216795
Status
GENERAL FUND 01/12/17
00591070
Amount Paid Acct Amt
0210216789
0210216791
279
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
37.20 C
Computer
Computer
37.20 92.06 92.06 C
Computer
273.90 273.90 C
Computer
440.56 440.56 C
Computer
199.03 199.03 C
Computer
104.72 104.72 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216801 00590311
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
55891
005369
005369
17007316 ASSORTED SNACK CAKES
003696
17000944 ASSORTED SNACKS FOR STAR MATH MEETING
199-13-6498-32-830-7-99-000 FOOD & NON FOOD COSTS 00590314
008579
199-13-6498-32-830-7-99-000 FOOD & NON FOOD COSTS 00590315
000258
007764
199-13-6498-32-832-7-99-000 FOOD & NON-FOOD COSTS 00590317
005509
199-13-6498-32-832-7-99-000 FOOD & NON-FOOD COSTS 00590318
009475
199-13-6498-32-832-7-99-000 FOOD & NON-FOOD COSTS 00590319
006532
17007312 24 PACK OF WATER
199-36-6498-30-041-7-11-010 FOOD & NON-FOOD RELATED ITEMS 00590320
009016
17004283 CAKE FOR J/LHS(STAFF MEETING DEC.16,2
199-23-6498-00-004-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590321
008126
17007946 COASTER INTIMATE CAPPUCINNO BOOKCASE
199-23-6395-00-008-7-11-000 FURNITURE & EQUIP < $500 00590323
000382
17006996 TOSTITO CHIPS
199-23-6498-00-105-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590326
009925
17006999 EACH ITEM TO BE USED FOR COLLEGE AND
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00590327
009924
17007000 EACH ITEM TO BE USED FOR COLLEGE AND
199-23-6498-00-015-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590328
006747
17007003 100%Juices for UIL Studetns for 12/03
199-36-6498-40-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590329
002697
17007418 EACH ITEM TO BE USED AS COLLEGE AND CA
199-11-6497-00-015-7-11-000 AWARDS & INCENTIVES 0210216802 00590467
01/12/17 DEC. 2016
95451
Total Check per Fund: WEBBER PRISCILLA
17002203 1 YEAR MILEAGE FOR SOCIAL WORKER PRIC
199-32-6411-00-046-7-11-000 TRAVEL - EMPLOYEES 0210216803 00590345
01/12/17 26011246701
118508
Total Check per Fund: BOSWORTH PAPERS
17007755 8 1/2" x 11" SMOOTH WHITE COVER STOCK
Computer
23.88 Computer
52.22 Computer
106.72 106.72 C
FOR LORENZO DE ZAVA
Computer
17.44
52.22 C
17003778 WATER FOR STAFF DEVELOPMENT TRAINING O
Computer
76.20
23.88 C
17003778 WATER FOR STAFF DEVELOPMENT TRAINING O
Computer
30.67
17.44 C
17003778 WATER FOR STAFF DEVELOPMENT TRAINING O
Computer
86.07
76.20 C
17000944 ASSORTED SNACKS FOR STAR MATH MEETING
199-13-6498-32-830-7-99-000 FOOD & NON FOOD COSTS 00590316
144.40 C
30.67 C
17000944 ASSORTED SNACKS FOR STAR MATH MEETING
Computer
144.40
86.07 C
199-21-6497-00-889-7-99-000 AWARDS & INCENTIVES 00590313
117.03 117.03 C
17007316 ASSORTED COOKIES FOR STAFF DEVELOPMEN
199-13-6498-00-889-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00590312
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007194 ITEMS ARE GOING TO BE GIVEN TO STUDEN
199-11-6497-00-024-7-11-000 AWARDS & INCENTIVES 00590312
Status
GENERAL FUND
007335
280
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
49.76 49.76 C
Computer
73.96 73.96 C
Computer
391.84 391.84 C
Computer
148.50 148.50 C
Computer
76.78 76.78 C
Computer
118.20 118.20 C
Computer
94.24 94.24 C
Computer
1,333.96 1,333.96 C
Computer
4,052.14 39.96 39.96 C 39.96 1,558.40
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216803 00590345
Vendor Name Description
Acct Amt
01/12/17
118508
00590469
01/12/17 1050891
2152
17005391 BREAKFAST MEAL FOR LORENZO DE ZAVALA M
1039237
17005392 DINNER MEAL FOR LORENZO DE ZAVALA MS B
199-36-6412-30-041-7-11-010 TRAVEL - STUDENTS 00590471
1039240
17005474 DINNER MEAL FOR J.D. SALINAS MS BAND
199-36-6412-30-048-7-11-010 TRAVEL - STUDENTS 00590468
1039238
17005475 DINNER MEAL FOR J.D. SALINAS MS BAND
199-36-6412-30-048-7-11-010 TRAVEL - STUDENTS 00590472
1039245
17005476 BREAKFAST MEAL FOR J.D. SALINAS MS BAN
199-36-6412-30-048-7-11-010 TRAVEL - STUDENTS 0210216805 00590476
01/12/17 21658398
83682
Total Check per Fund: WILLIAMS SHOOTERS SUPPLY, INC.
17008182 RANGER LE .40S&W 165 JHP BONDED DUTY A
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES
00590912
01/12/17
58564
JLHS ORCH/12-16 17007248 DINNER FOR JUAREZ LINCOLN HS ORCHESTRA
00590917
01/12/17 24613
16905
Total Check per Fund: ABSOLUTE SERVICES
17006424 NEED TO REPLACE DEFECTIVE WIRE IN D12
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591007
24968
17006829 INTERCOM REPAIRS FOR THE MONTH OF DEC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216809 00590920
01/12/17 OCT. 2016
122440
Total Check per Fund: ADAMES VERONICA
17001183 MILEAGE FOR VERONICA ADAMES-SUPERVISOR
199-23-6411-00-126-7-99-000 TRAVEL - EMPLOYEES 00590919
NOV. 2016
17001183 MILEAGE FOR VERONICA ADAMES-SUPERVISOR
199-23-6411-00-126-7-99-000 TRAVEL - EMPLOYEES 0210216810 00590926
01/12/17 128456
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17005488 HP 410A (CF410A) BLACK ORIGINAL LASER
199-11-6399-00-126-7-11-000 GENERAL SUPPLIES 00591008
127750
17001476 HP 410A YELLOW LASER JET TONER CATRIDG
199-12-6399-00-120-7-99-000 GENERAL SUPPLIES 00591010
128032
46.53 46.53 C
Computer
102.23 102.23 C
Computer
94.14 94.14 C
Computer
71.88 71.88 C
Computer
80.58 80.58 C
Computer
395.36 1,854.00 Computer
1,854.00
492 BBQ
199-36-6498-08-004-7-11-010 FOOD AND NON FOOD COSTS 0210216808
Computer
1,558.40
1,854.00 C Total Check per Fund:
0210216807
Status Description
1,558.40 1,558.40 C
Total Check per Fund: WHATABURGER ACCOUNTING DEPT.
199-36-6412-30-041-7-11-010 TRAVEL - STUDENTS 00590470
Status
BOSWORTH PAPERS
17007755 8 1/2" x 11" SMOOTH WHITE COVER STOCK
199-00-1310-00-000-7-00-000 INVENTORY 0210216804
Amount Paid
GENERAL FUND
26011246701
281
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17003892 HP400 (Color Printer) HP400 Black Ton
199-11-6399-00-118-7-11-000 GENERAL SUPPLIES
329.00 329.00 A
ACH
329.00 975.00 975.00 A
ACH
150.00 150.00 A
ACH
1,125.00 43.20 43.20 A
ACH
55.08 55.08 A
ACH
98.28 434.99 434.99 A
ACH
196.00 196.00 A
ACH
2,446.00 2,446.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
21388
ADVANTAGE IMAGING SUPPLY, INC.
0210216812
01/12/17
21213
Total Check per Fund: ALCAZAR MARIA J.
DEC. 2016
17000541 MILEAGE REIMBURSTMENT FOR MARIA J. AL
199-32-6411-00-024-7-99-000 TRAVEL - EMPLOYEE ONLY
00590958
01/12/17 MS623901
28126
Total Check per Fund: ALLIED FIRE PROTECTION
17007115 REPLACE CORRODED HEAD RM, A-100 F-112
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590957
MS624101
17006838 REPLACE FIRE SPRINKLER HEAD ALOUNGE AR
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590956
MS624401
17006839 REPLACE THE FDC CAPS WITH WERE FOUND M
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590955
MS624001
17006840 REPLACE DRY PENDENTS IN FREEZER EXCES
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590954
MS624501
17006841 ADD SPRINKLER HEAD IN ROOM V-14 NEED A
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590953
MS624701
17007011 REPLACE WATER MOTOR GONG DOES NOT WOR
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216815 00590962
01/12/17 0000105639
12464
Total Check per Fund: ANDY'S AUTO & BUS AIR, INC.
17006700 REPAIR ON DIESEL IN DEF TANK ON RT.12
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590961
0000105640
17006819 DELIVERY AND FUEL CHARGE ON UNIT 587
199-34-6299-00-972-7-99-000 MISC CONTRACTED SERVICES 00590963
0000502333
17007420 ASAP OPEN PARTS FROM DEC 12 DEC 23,20
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591012
0000502105
17002226 ASAP OPEN PARTS FROM OCT 3 THRU OCT 1
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216816 00590977
01/12/17 4420910564
3022
Total Check per Fund: APPLE COMPUTER, INC.
17007437 Lightning to USB-C Cable (2 m)Product
199-41-6399-00-987-7-99-000 GENERAL SUPPLIES 00590969
4420676536
17007546 APPLE IPADS AIR 2 WIFI-TABLET 32GB SI
199-11-6397-00-046-7-99-000 TECH EQUIP $500 - $4,999 00590964
4421413242
17007546 APPLE IPADS AIR 2 WIFI-TABLET 32GB SI
199-11-6397-00-046-7-99-000 TECH EQUIP $500 - $4,999 00590965
4421103967
17007547 STM DUX CASE FOR IPAD AIR-RED
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 0210216818 00590041
Status
Status Description
GENERAL FUND 01/12/17
0210216814
Amount Paid Acct Amt
0210216810
00590950
01/12/17 120046836
14872
282
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: B & H PHOTO -VIDEO
17007123 Ricoh Theta S Spherical VR Digital Cam
199-12-6397-00-988-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
3,076.99 45.36 45.36 A
ACH
45.36 2,215.00 2,215.00 A
ACH
575.00 575.00 A
ACH
1,070.00 1,070.00 A
ACH
815.00 815.00 A
ACH
690.00 690.00 A
ACH
1,175.00 1,175.00 A
ACH
6,540.00 1,360.00 1,360.00 A
ACH
200.00 200.00 A
ACH
106.48 106.48 A
ACH
594.15 594.15 A
ACH
2,260.63 54.00 54.00 A
ACH
396.00 396.00 A
ACH
1,500.00 1,500.00 A
ACH
920.00 920.00 A
ACH
2,870.00 2,539.30 2,539.30 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216818 00590042
Vendor Name Description
Acct Amt
01/12/17
14872
119647324
17007679 CAME-TV CE-1500WS LED VIDEO SPOTLIGHT
199-12-6395-00-988-7-99-000 FURN & EQUIP <$500 UNIT COST 0210216824 00590071
01/12/17 1252023
124621
Total Check per Fund: BLACKBOARD INC
17000173 K-12 INNOVATIVE CLASSROOM LEARNING MAN
00590130
01/12/17 1362
96970
Total Check per Fund: CENTER STONE SERVICES
17005731 3070HM SLAB DOOR CUT TO FIT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590131
1388
17007206 REMOVAL AND INSTALLATION OF COMMERCIA
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590139
1396
17007453 FLOOR TILE AND THIN SET DEMOLITION (SQ
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590140
1393
17008089 OFFSET DOOR PULL 9" ON CENTER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590138
1389
17008236 3.5 X 3.5 X 26D SPRING LOADED HINGES
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590137
1387
17008337 CHECK AND REPAIR GARAGE DOOR AT PALMV
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590136
1385
17006442 COMMERCIAL ALUMINUM DOOR CLOSE (DOOR-
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590135
1392
17002767 11-61-43-10-0600 STAGE EQUIPMENT, CUR
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590134
1366
17006104 3070 HOLLOW METAL DOOR
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00590133
1390
17007564 09-05-05-20-0900 FLOORING DEMOLITION,
1386
17007983 COMMERCIAL STEEL DOOR HOLDER 6IN (606
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216830 00590168
01/12/17 NOV. 2016
92584
Total Check per Fund: CISNEROS VELMA
17001225 MILEAGE FOR VELMA CISNEROS, FINE ARTS
199-36-6411-18-001-7-99-010 TRAVEL - EMPLOYEES 00590167
DEC. 2016
17001225 MILEAGE FOR VELMA CISNEROS, FINE ARTS
199-36-6411-18-001-7-99-010 TRAVEL - EMPLOYEES Total Check per Fund: 0210216831 00590185
01/12/17 40034
60089
343.48 A
ACH
813.60 813.60 A
ACH
3,696.38 28,460.00 ACH
28,460.00 1,101.90 1,101.90 A
ACH
2,088.00 2,088.00 A
ACH
16,017.35 16,017.35 A
ACH
90.00 90.00 A
ACH
1,924.85 1,924.85 A
ACH
995.00 995.00 A
ACH
7,881.60 7,881.60 A
ACH
8,968.00 8,968.00 A
ACH
4,925.20 4,925.20 A
ACH
17,110.01 17,110.01 A
199-51-6249-01-956-7-99-000 SUMMER PROJECTS 00590132
Status Description
343.48
28,460.00 A
199-11-6399-00-845-7-99-ACA GENERAL SUPPLIES 0210216828
Status
B & H PHOTO -VIDEO
17007123 Ricoh Theta S Spherical VR Digital Cam
199-12-6397-00-988-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590043
Amount Paid
GENERAL FUND
120068522
283
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
747.50 747.50 A
ACH
61,849.41 59.40 59.40 A
ACH
42.12 42.12 A
ACH
101.52
COPY PLUS
17005128 BUISNESS CARDS 3.5X2 FOR J/LHS(MATERIA
199-23-6298-00-004-7-28-000 PRINTING SERVICES
32.28 32.28 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
60089
COPY PLUS
0210216833
01/12/17
96725
Total Check per Fund: CORTEZ MICHELLE
OCT. 2016
17000595 MILEAGE REIMBURSEMENT FROM SEPT 2016
199-23-6411-00-109-7-99-000 TRAVEL - EMPLOYEES
00590210
01/12/17 10134654857
9529
Total Check per Fund: DELL MARKETING L.P.
17007255 DELL 16GB CERTIFIED MEMORY MODULE-2RX
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 0210216837 00590220
01/12/17 A121644
96008
Total Check per Fund: DEVIN DISTRIBUTING & PACKAGING,INC.
17006452 Clorox 4 In One Disinfectant and Sani
199-00-1310-00-000-7-00-000 INVENTORY 00590221
A121349
17006452 Clorox 4 In One Disinfectant and Sani
199-00-1310-00-000-7-00-000 INVENTORY 00590216
A122880
17006452 Clorox 4 In One Disinfectant and Sani
199-00-1310-00-000-7-00-000 INVENTORY 0210216838 00590239
01/12/17 10215
120219
Total Check per Fund: DOYLENE & ASSOCIATES INC
17002333 LEAP MOTION CONTROLLER-
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 00590236
10228
17008098 WONDER WORKSHPO DASH DOT ROBOT WONDER
199-12-6395-00-888-7-99-000 FURN & EQUIP <$500 UNIT COST 0210216842 00590257
01/12/17 7636
90743
Total Check per Fund: ELITE PROMOTIONS
17007588 STRIPED BEANIE HAT (RED/BACK)WITH EMBR
199-11-6497-01-008-7-11-000 AWARDS AND INCENTIVES 0210216848 00590287
01/13/17 LJISD-17-1
135496
Total Check per Fund: FRANK RODRIGUEZ CPA FIRM, PLLC
17001282 AUDIT SERVICES FOR YEAR ENDING AUGUST
199-41-6212-00-942-7-99-000 AUDIT SERVICES 00590287
LJISD-17-1
17001282 AUDIT SERVICES FOR YEAR ENDING AUGUST
199-41-6212-00-942-7-99-000 AUDIT SERVICES 0210216849 00590603
01/12/17 1103120298
42986
Total Check per Fund: G & K SERVICES
17006376 RENTAL UNIFORMS FOR TRANSPORTATION #1
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590604
1103124608
17006376 RENTAL UNIFORMS FOR TRANSPORTATION #1
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590605
1103128904
17006376 RENTAL UNIFORMS FOR TRANSPORTATION #1
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590602
Status
Status Description
GENERAL FUND 01/12/17
0210216836
Amount Paid Acct Amt
0210216831
00590189
1103133203
284
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006376 RENTAL UNIFORMS FOR TRANSPORTATION #1
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES
32.28 33.48 33.48 A
ACH
33.48 390.98 390.98 A
ACH
390.98 1,317.63 1,317.63 A
ACH
1,584.82 1,584.82 A
ACH
828.45 828.45 A
ACH
3,730.90 3,498.00 3,498.00 A
ACH
3,108.00 3,108.00 A
ACH
6,606.00 3,947.50 3,947.50 A
ACH
3,947.50 -5,750.00 -5,750.00 AV ACH Void 5,750.00 5,750.00 A
ACH
.00 29.95 29.95 A
ACH
29.95 29.95 A
ACH
29.95 29.95 A
ACH
29.95 29.95 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216849 00590607
Vendor Name Description
Acct Amt
01/12/17
42986
1103124609
17006377 RENTAL UNIFORMS FOR TRANSPORTATION #2
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590606
1103128905
17006377 RENTAL UNIFORMS FOR TRANSPORTATION #2
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590609
1103133204
17006377 RENTAL UNIFORMS FOR TRANSPORTATION #2
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 0210216850 00590613
01/12/17 NOV. 2016
118265
Total Check per Fund: GARCIA NORMA V.
17006036 MILEAGE REIMBURSEMENT FOR SOCIAL WORK
199-32-6411-00-048-7-11-000 TRAVEL - EMPLOYEES 0210216851 00590622
01/12/17 89113
86487
Total Check per Fund: GOLD STAR PETROLEUM, INC.
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00590624
89134
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00590623
89211
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00590625
89210
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 0210216852 00590627
01/12/17 DEC. 2016
135747
Total Check per Fund: GONZALEZ ANISSA
17003397 MILEAGE REIMBURSTMENT FOR ANISSA GONZA
199-23-6411-00-024-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210216853 00590704
01/12/17 652813
66885
00590661
17008196 NEED TO PICK UP USED OIL ON BOTH TRAN
01/12/17 1100511674
57002
Total Check per Fund: INSIGHT PUBLIC SECTORS, INC.
17005628 321-BCDU Dell Precision Tower 5810XL
199-51-6397-00-960-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590660
1100512270
17004890 DELL OPTIPLEX 7040 SMALL FORM FACTOR D
199-11-6397-00-021-7-11-000 TECH EQUIP $500-$4999 0210216858 00590665
01/12/17 1235
4048
Total Check per Fund: IRMA'S SWEETE SHOPPE
17008123 Cookie Baskets for Safety Meeting on D
199-41-6498-00-947-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210216860
Status Description
01/12/17
1016
29.54 29.54 A
ACH
29.54 29.54 A
ACH
29.54 29.54 A
ACH
29.54 29.54 A
ACH
237.96 103.68 103.68 A
ACH
103.68 13,799.34 13,799.34 A
ACH
13,588.64 13,588.64 A
ACH
11,182.86 11,182.86 A
ACH
12,596.74 12,596.74 A
ACH
51,167.58 16.20 16.20 A
ACH
16.20
H & H OIL
199-34-6299-00-972-7-99-000 MISC CONTRACTED SERVICES 0210216857
Status
G & K SERVICES
17006377 RENTAL UNIFORMS FOR TRANSPORTATION #2
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00590608
Amount Paid
GENERAL FUND
1103120299
285
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: J J'S PARTY HOUSE
30.00 30.00 A
ACH
30.00 4,985.62 4,985.62 A
ACH
5,995.08 5,995.08 A
ACH
10,980.70 80.00 80.00 A 80.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216860 00590673
Vendor Name Description
Acct Amt
01/12/17
1016
00590676
01/12/17 05A11648
4517
Total Check per Fund: J.W. PEPPER & SON INC.
17005350 TREVINO BAND - MYSTERY BAY MARCH - SH
199-11-6399-05-001-7-11-010 GENERAL SUPPLIES 00590675
05A07155
17004677 GARZA ELEM - WHAT TO TEACH WHEN (WORKB
199-11-6399-30-126-7-11-010 GENERAL SUPPLIES 00590678
05A09243
17004677 GARZA ELEM - WHAT TO TEACH WHEN (WORKB
199-11-6399-30-126-7-11-010 GENERAL SUPPLIES 00590677
05A11160
17004677 GARZA ELEM - WHAT TO TEACH WHEN (WORKB
199-11-6399-30-126-7-11-010 GENERAL SUPPLIES 00590674
05A12681
17004677 GARZA ELEM - WHAT TO TEACH WHEN (WORKB
199-11-6399-30-126-7-11-010 GENERAL SUPPLIES 0210216862 00590690
01/12/17 355692
11982
Total Check per Fund: JOE W. FLY CO., INC.
17007854 16 X 25 X 1 MERV 8 PLEATED FILTERS (A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590689
356425
17008262 16 X 20 X 1 MERV 8 PLEATED FILTERS (A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590688
355911
17008017 20 X 25 X 1 PLEATED FILTERS (AIR-565)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590695
355908
17008012 16 X 20 X 2 PLEATED FILTERS (AIR-31)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590696
355907
17007856 12 X24 X 2 PLEATED FILTERS (AIR-663)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590697
356390
17008018 16 CX 20 X 2 PLEATED FILTERS (AIR-31)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590694
356423
17008016 18 X 24 X 2 PLEATED FILTERS (AIR-36)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590693
356391
17008019 14 X 30 X 1 PLEATED FILTERS (AIR-424)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590692
356392
17008020 20 X 20 X 2 PLEATED FILTERS (AIR-033)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590691
356393
17007858 20 X 30 X 1 20 X 30 1 PLEATED FILTERS
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590679
355909
17008013 16 X 25 X 1 PLEATED FILTERS (AIR-567)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590680
355921
17007857 20 X 22 X 1 PLEATED FILTERS (AIR-995)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590681
Status
Status Description
J J'S PARTY HOUSE
17007717 Principals' Meeting - Jan. 26, 2017 -
199-21-6497-00-845-7-99-000 AWARDS & INCENTIVES 0210216861
Amount Paid
GENERAL FUND
306789
356569
286
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008015 16 X 30 X 1 PLEATED FILTERS (AIR-5700
539.66 539.66 A
ACH
539.66 7.00 7.00 A
ACH
64.96 64.96 A
ACH
69.99 69.99 A
ACH
64.90 64.90 A
ACH
25.00 25.00 A
ACH
231.85 477.48 477.48 A
ACH
802.41 802.41 A
ACH
562.08 562.08 A
ACH
764.99 764.99 A
ACH
204.15 204.15 A
ACH
510.75 510.75 A
ACH
1,328.36 1,328.36 A
ACH
771.82 771.82 A
ACH
480.26 480.26 A
ACH
919.00 919.00 A
ACH
726.79 726.79 A
ACH
46.83 46.83 A 708.67
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210216862 00590681
Acct Amt
01/12/17 356569
11982
355916
355919
356388
356389
356422
17008014 14 X 30 X 1 PLEATED FILTERS (AIR-424)
00590687
356571
17008011 16 X 20 X 1 PLEATED FILTERS (AIR-564)
0210216863 00590701
01/12/17 2023328
12513
2023681
839.18
17007372 GSX140361 3TON R410 A/C UNIT
839.18 A
17008026 B74-002 ACB036F4C 3. TON 16 SEER R410A
2023680
17008025 B92-910 R410A-25 REFRIGERANT (A/C-448
00590698
2023555
105.75 A
00590988
1412
16996
LAMAC INC.
17007863 CHOCOLATE BAR PENCIL SHARPERNER
FOR
199-11-6497-00-114-7-11-000 AWARDS & INCENTIVES 0210216867 00591016
01/12/17 7677
18394
Total Check per Fund: LEO'S DRIVE INN #4-(956)583-9898
17004399 Assorted Tacos for UIL students going
199-36-6498-40-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00591017
5364
17005794 Asst. Tacos for UIL students goin to
199-36-6498-40-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210216868 00590993
01/12/17 4262
9409
Total Check per Fund: LONGHORN BUS SALES
17008201 REPAIR ENGINE LIGHT (DEF LIGHT ) ON UN
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00590994
17465
17007425 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590995
17548
ACH
6,600.37
Total Check per Fund: 01/12/17
ACH
105.75
17007605 D1087 OEM BROAM MOTOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216865
ACH
3,296.52 3,296.52 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
ACH
2,358.92 2,358.92 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590699
ACH
14,195.33
Total Check per Fund: JOHNSTONE SUPPLY- PHARR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590700
ACH
561.05 561.05 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
ACH
3,271.24 3,271.24 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
ACH
743.36 743.36 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590686
ACH
1,003.52 1,003.52 A
17008010 16 X30 X 1 PLEATED FILTERS (AIR-570)
ACH
161.30 161.30 A
17008009 16 X 25 1 PLEATED FILTERS (AIR-567)
ACH
151.27 151.27 A
17007855 16 X 20 X 2 PLEATED FRILTERS (AIR-31)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590685
708.67 708.67 A
17008021 14 X 30 X 1 PLEATED FILTERS (AIR-424)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590684
Status Description
JOE W. FLY CO., INC.
17008015 16 X 30 X 1 PLEATED FILTERS (AIR-5700
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590683
Status
GENERAL FUND
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590682
FPREG02B
A/P Detail Check Register By Fund Vendor No
287
17007425 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
181.56 181.56 A
ACH
181.56 138.60 138.60 A
ACH
138.60 138.60 A
ACH
277.20 798.86 798.86 A
ACH
51.23 51.23 A
ACH
152.66 152.66 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216868 00590996
Vendor Name Description
Acct Amt
01/12/17
9409
17567
17007425 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590998
17471
17007425 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216871 00591001
01/12/17 DEC. 2016
21132
Total Check per Fund: LOPEZ ELISA MICHELLE
17000239 MILEAGE FOR ELIZA LOPEZ PARENT EDUCATO
199-61-6411-00-113-7-99-000 TRAVEL -EMPLOYEE 0210216872 00591002
01/12/17 DEC. 2016
82996
Total Check per Fund: LOPEZ EVANGELINA
17000878 MELAGE FOR COUNSELORS CLERK EVANGELINA
199-23-6411-00-044-7-99-000 TRAVEL - EMPLOYEES 0210216873 00591005
01/12/17 DEC. 2016
19043
Total Check per Fund: LUCIO ORFELINDA
17000423 MILEAGE FOR SUPERVISOR'S CLERK ORFELIN
199-23-6411-00-107-7-99-000 TRAVEL - EMPLOYEES 0210216874 00591018
01/12/17 DEC. 2016
19922
Total Check per Fund: LUNA MARIA DEL SOCORRO
17000102 MILEAGE FOR PRINCIPAL, MARIA DEL SOCOR
199-23-6411-00-117-7-99-000 TRAVEL - EMPLOYEE 0210216875 00591074
01/12/17 DEC. 2016
70068
Total Check per Fund: MARTINEZ MIRIAM
17000673 MILEAGE REIMBURSTMENT FOR MIRIAM MART
199-23-6411-00-024-7-99-000 TRAVEL - EMPLOYEES 0210216876
01/12/17
00591076
01-1114134-00
107034
Total Check per Fund: MATTS BUILDING MATERIALS INC.
17007722 6466651104 (BOX) 1-5/8 COARSE DRYWALL
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591075
01-1120099-00
17008268 3034 4 X 8 X 3/4 BC PLYWOOD (L-82)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216879 00591087
01/12/17 2841803
1256
Total Check per Fund: MELHART MUSIC CENTER
17003268 JUAREZ LINCOLN AND PALMVIEW H.S. --DIR
199-11-6629-00-893-7-11-000 MARCHING BAND TOWERS 00591088
2839355
17006392 TREVINO ORCHESTRA - CARBONI VIOLIN BOW
199-11-6399-08-049-7-11-010 GENERAL SUPPLIES 00591089
2839360
17006482 TREVINO ORCHESTRA - ALL ITEMS ARE REPA
199-11-6249-08-049-7-11-010 CONTRACTED SERVICES 00591090
Status
Status Description
LONGHORN BUS SALES
17007425 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590997
Amount Paid
GENERAL FUND
17545
233122
288
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006482 TREVINO ORCHESTRA - ALL ITEMS ARE REPA
199-11-6249-08-049-7-11-010 CONTRACTED SERVICES
227.54 227.54 A
ACH
172.49 172.49 A
ACH
205.72 205.72 A
ACH
1,608.50 95.58 95.58 A
ACH
95.58 189.00 189.00 A
ACH
189.00 14.04 14.04 A
ACH
14.04 42.66 42.66 A
ACH
42.66 25.92 25.92 A
ACH
25.92 1,359.09 1,359.09 A
ACH
4,148.59 4,148.59 A
ACH
5,507.68 24,150.00 24,150.00 A
ACH
748.75 748.75 A
ACH
50.00 50.00 A
ACH
100.00 100.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216879 00591091
Vendor Name Description
Acct Amt
01/12/17
1256
2831402
17002725 YAMAHA INTERNEDIATE TRUMPET SILVER-TO
199-11-6398-06-004-7-11-010 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00591085
2838945
17008130 HODGES HTS SILK T SAX SWAB-ITEMS TO B
199-11-6399-30-048-7-11-010 GENERAL SUPPLIES 00591086
2840787
17008132 ADAMSON MARCHING DRUM STICKS HICKORY W
199-11-6399-30-048-7-11-010 GENERAL SUPPLIES 00591084
2840336
17008037 NADY HAND HELD SYSTEM UHF-SOUND SYSTEM
199-11-6395-30-110-7-11-010 FURN & EQUIP <$500 UNIT COST 00591084
2840336
17008037 NADY HEADWORD WLM SYS
199-11-6399-30-110-7-11-010 GENERAL SUPPLIES 00591231
2841621
17006581 ANN RICHARDS ORCHESTRA- C1 - CORDOBA
199-11-6395-08-045-7-11-010 FURN & EQUIP <$500 UNIT COST 00591231
2841621
17006581 GUARDIAN GUITAR CASES/ CLASSIC GUITAR
199-11-6399-08-045-7-11-010 GENERAL SUPPLIES 00591230
260474
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591229
260475
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591223
260645
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591224
260660
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591225
260661
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591232
260662
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591226
260700
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591227
260997
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 00591228
260998
17003624 ANN RICHARDS BAND - BUFFET CLARINET R
199-11-6249-30-045-7-11-010 CONTRACTED MAINT & REPAIR 0210216882 00591095
01/12/17 685189
1282
Total Check per Fund: MISSION AUTO ELECTRIC, INC.
17007726 SCA 482621 BEARING,.75 ID TAPERED USE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216883 00591096
Status
Status Description
MELHART MUSIC CENTER
17006482 TREVINO ORCHESTRA - ALL ITEMS ARE REPA
199-11-6249-08-049-7-11-010 CONTRACTED SERVICES 00591083
Amount Paid
GENERAL FUND
233121
01/12/17 57282
33294
289
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MOBILE CRANE SERVICE
17007614 40 TON CRANE & OPERATIONS @ 140.00 PER
100.00 100.00 A
ACH
4,497.00 4,497.00 A
ACH
200.45 200.45 A
ACH
2,173.26 2,173.26 A
ACH
417.98 417.98 A
ACH
42.75 42.75 A
ACH
1,490.00 1,490.00 A
ACH
124.75 124.75 A
ACH
120.00 120.00 A
ACH
110.00 110.00 A
ACH
65.00 65.00 A
ACH
105.00 105.00 A
ACH
105.00 105.00 A
ACH
65.00 65.00 A
ACH
45.00 45.00 A
ACH
200.00 200.00 A
ACH
300.00 300.00 A
ACH
35,209.94 583.36 583.36 A 583.36 665.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216883 00591096
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
33294
00591103
01/12/17 AIR0037373
10151
AIR0037377
17006049 AIRWAYS FOR RADIOS AT PHS FOR DECEMBER
AIR0037379
AIR0037380
17000189 REPEATER AIRTIME FOR LA JOYA HIGH SCHO
AIR0037381
17000047 RADIO AIR WAVE FOR J/LHS(SEPT. 2016-AU
AIR0037271
17003420 REPEATER USE FEES FOR MOBILE RADIOS FO
AIR0037378
17003420 REPEATER USE FEES FOR MOBILE RADIOS FO
AIR0037376
17001688 AIR TIME IS $612.00 PER MONTH ON EACH
M140470
17007873 EACH ITEM TO BE USED FOR COLLEGE AND
00591234
AIR0037382
17000104 RECURING DISPATCH FOR RADIO SYSTEM AT
Total Check per Fund: 0210216886 00591237
01/12/17 OCT. 2016
92169
SEPT. 2016
17000066 MILEAGE FOR HERMINIA MORA VENDOR #921
00591238
01/12/17 NOV. 2016
17845
DEC. 2016
Total Check per Fund: MORALES MARIA DEL JESUS
17000687 MILEAGE REIMBURSEMENT
FROM SEPT 2016
17000687 MILEAGE REIMBURSEMENT
00591113
01/12/17 12357
47082
Total Check per Fund: MPE SUPPORT GROUP, LLC
17000145 MONTHLY HARDWAE/SOFTWARE MAINTENANCE
199-53-6249-00-954-7-99-000 CONTRACTED MAINT & REPAIR 0210216891
01/12/17
17852
39.42
Total Check per Fund: MR. G. PROPANE INC.
ACH
120.96 ACH
160.38 28.08 28.08 A
FROM SEPT 2016
199-23-6411-00-109-7-99-000 TRAVEL - EMPLOYEES 0210216890
ACH
2,815.16
120.96 A
199-23-6411-00-109-7-99-000 TRAVEL - EMPLOYEES 00591239
400.00
39.42 A
17000066 MILEAGE FOR HERMINIA MORA VENDOR #921
199-23-6411-00-114-7-99-000 TRAVEL - EMPLOYEES 0210216887
ACH
MORA HERMINIA
199-23-6411-00-114-7-99-000 TRAVEL - EMPLOYEES 00591236
ACH
398.16
400.00 A
199-34-6259-00-972-7-99-000 UTILITIES
ACH
36.00
398.16 A
199-23-6399-00-015-7-99-000 GENERAL SUPPLIES
ACH
132.00
36.00 A
199-52-6259-00-905-7-99-000 UTILITIES 00591233
ACH
132.00
132.00 A
199-51-6259-04-958-7-99-000 UTILITES - CNS 00591097
ACH
144.00
132.00 A
199-51-6259-04-958-7-99-000 UTILITES - CNS 00591098
ACH
315.00
144.00 A
199-51-6259-00-004-7-99-000 UTILITIES 00591099
ACH
24.00
315.00 A
199-51-6259-00-001-7-99-000 UTILITIES 00591100
ACH
1,024.00
24.00 A
199-21-6259-00-893-7-99-000 UTILITIES 00591102
210.00
1,024.00 A
17000892 MOBILE RELAY RADIOS FOR FINE ARTS DEPA
ACH
665.00
210.00 A
17000890 AIRTIME SERVICE FEES FOR POLICE DEPT.
199-51-6259-00-993-7-99-000 UTILITIES 00591101
665.00 665.00 A
Total Check per Fund: MOBILE RELAY PARTNERS, LTD
199-51-6259-00-007-7-99-000 UTILITIES 00591105
Status Description
MOBILE CRANE SERVICE
17007614 40 TON CRANE & OPERATIONS @ 140.00 PER
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 0210216884
Status
GENERAL FUND
57282
290
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
47.52 47.52 A
ACH
75.60 625.00 625.00 A 625.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216891 00591241
Vendor Name Description
Acct Amt
01/12/17
17852
Total Check per Fund: 00591244
01/12/17 221389
7558
17006485 PALMVIEW H.S. ART - PENCIL SHARPENERS
221390
17006485 PALMVIEW H.S. ART - PENCIL SHARPENERS
199-11-6399-10-007-7-11-010 GENERAL SUPPLIES 0210216893 00591246
01/12/17 673967
35815
Total Check per Fund: NATIONAL ART & SCHOOL SUPPLIES
17007876 Pencil No. 2 - (SANFORD MIRADO-2097)
199-00-1310-00-000-7-00-000 INVENTORY 0210216894 00591116
01/12/17 DEC. 2016
16638
Total Check per Fund: NAVEJAR MIRIAM R.
17000026 MILEAGE REIMBURSMENT FOR MIRIAM NAVEJA
199-32-6411-00-007-7-99-000 EMPLOYEE TRAVEL 0210216896 00591119
01/12/17 2143-343754
21748
Total Check per Fund: O'REILLY AUTO PARTS
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591120
2143-344224
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591121
2143-344434
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591122
2143-344840
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591123
2143-345197
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591124
2143-345204
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591125
2143-347091
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591126
1422-116614
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591127
1422-116605
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591128
1422-116733
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591129
1422-116757
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591130
Status Description
1422-116768
41.60 41.60 A
ACH
41.60
NASCO
199-11-6399-10-007-7-11-010 GENERAL SUPPLIES 00591245
Status
MR. G. PROPANE INC.
17007385 Fuel for Asset Management forklift fr
199-41-6311-00-975-7-99-000 GAS & OTHER FUELS 0210216892
Amount Paid
GENERAL FUND
01-11-2017
291
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
45.00 45.00 A
ACH
380.65 380.65 A
ACH
425.65 5,136.00 5,136.00 A
ACH
5,136.00 46.44 46.44 A
ACH
46.44 13.87 13.87 A
ACH
27.83 27.83 A
ACH
118.54 118.54 A
ACH
427.10 427.10 A
ACH
-54.90 -54.90 A
ACH
-65.14 -65.14 A
ACH
98.14 98.14 A
ACH
35.50 35.50 A
ACH
272.99 272.99 A
ACH
133.84 133.84 A
ACH
95.08 95.08 A
ACH
-95.08 -95.08 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216896 00591131
Vendor Name Description
Acct Amt
01/12/17
21748
1422-116781
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591133
1422-116786
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591134
1422-116847
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591135
1422-116867
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591136
1422-117242
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591137
1422-117265
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591138
1422-117285
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591139
1422-117494
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591140
1422-117607
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591141
1422-117612
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591142
1422-117626
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591118
1422-117476
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591117
1422-117606
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591143
1422-117311
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS Total Check per Fund: 0210216901 00591157
01/12/17 1704117-00
1432
00591158
17004184 Reading Materials see attached list
01/12/17
1434
Total Check per Fund: PETE'S MUFFLER SHOP
9069/12-28-2016 17008274 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591159
9040/12-22-2016 17008274 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591160
Status Description
17.53 17.53 A
ACH
10.40 10.40 A
ACH
146.10 146.10 A
ACH
39.89 39.89 A
ACH
109.98 109.98 A
ACH
68.76 68.76 A
ACH
38.03 38.03 A
ACH
49.83 49.83 A
ACH
38.03 38.03 A
ACH
69.99 69.99 A
ACH
5.63 5.63 A
ACH
21.54 21.54 A
ACH
141.35 141.35 A
ACH
-79.90 -79.90 A
ACH
-28.95 -28.95 A
ACH
1,655.98
PERMA-BOUND
199-12-6329-00-102-7-99-000 READING MATERIALS 0210216902
Status
O'REILLY AUTO PARTS
17007427 ASAP OPEN PARTS FROM DEC 12 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591132
Amount Paid
GENERAL FUND
1422-116767
292
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
9034/12-22-2016 17008274 REPAIR FLAT TIRES FOR THE MONTH OF DE
1,006.57 1,006.57 A
ACH
1,006.57 24.00 24.00 A
ACH
10.00 10.00 A 95.96
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216902 00591160
Vendor Name Description
Acct Amt
1434
9029/12-21-2016 17008274 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591162
8995/12-15-2016 17007172 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00591163
8988/12-15-2016 17007172 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00591164
9038/12-22-2016 17007172 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00591165
9091/12-30-2016 17007172 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00591166
8879/12-01-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591167
8881/12-01-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591168
8886/12-02-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591169
8901/12-03-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591170
8906/12-05-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591171
8907/12-05-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591172
8915/12-06-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591173
8922/12-07-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591174
8945/12-09-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591175
8946/12-09-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591176
8947/12-09-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591177
745/12-22-2016
17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591178
8948/12-09-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591179
8949/12-09-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591180
Status
Status Description
PETE'S MUFFLER SHOP
9034/12-22-2016 17008274 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591161
Amount Paid
GENERAL FUND 01/12/17
293
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
8980/12-14-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
95.96 95.96 A
ACH
10.00 10.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
32.00 32.00 A
ACH
80.00 80.00 A
ACH
10.00 10.00 A
ACH
10.00 10.00 A
ACH
10.00 10.00 A
ACH
40.00 40.00 A
ACH
10.00 10.00 A
ACH
15.00 15.00 A
ACH
10.00 10.00 A
ACH
13.80 13.80 A
ACH
43.98 43.98 A
ACH
-20.95 -20.95 A
ACH
21.99 21.99 A
ACH
10.00 10.00 A 13.99
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210216902 00591180
Vendor Name Description
Acct Amt
1434
8982/12-14-206
17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591182
8985/12-15-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591336
9125/01-05-2017 17007731 STATE INSPECTION STICKERS FOR TRAILER
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591337
9126/01-05-2017 17007731 STATE INSPECTION STICKERS FOR TRAILER
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591332
9171/01-20-2017 17007731 STATE INSPECTION STICKERS FOR TRAILER
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591334
9170/01-10-2017 17006676 REPLACE OUTSIDE DOOR HANDLE FOR UNIT V
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591333
9165/01-09-2017 17006293 NEED TO REPAIR MUFFLER TO THE BACKHOE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210216903 00591194
01/12/17
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
30008/12-03-201 17006677 PIZZA LUNCH FOR UIL STUDENT MEET PART
199-36-6498-40-115-7-99-000 FOOD AND NON FOOD COSTS 00591193
30025/12-16-201 17007489 TSTC CAMPUS TOUR FOR OUR BUSINESS & IN
199-11-6412-00-007-7-99-ACA TRAVEL - STUDENTS 00591341
20007/11-05-201 17005363 LUNCH PIZZAS FOR MS UIL STUDENTS ATTEN
199-36-6412-40-044-7-99-000 TRAVEL - STUDENTS 0210216904 00591191
01/12/17 65442
84689
Total Check per Fund: PINNACLE MEDICAL MANAGEMENT
17000009 ON SITE COLLECTION DOT PANEL 5 LABRATO
199-34-6219-01-972-7-99-000 PROFESSIONAL SERVICES 00591190
65442
17000702 ON SITE-COLLECTION OF NON-DOT PANEL 1
199-52-6219-00-993-7-99-000 PROFESSIONAL SERVICES 00591340
65566
17000009 ON SITE COLLECTION DOT PANEL 5 LABRATO
199-34-6219-01-972-7-99-000 PROFESSIONAL SERVICES 00591339
65565
17000009 ON SITE COLLECTION DOT PANEL 5 LABRATO
199-34-6219-01-972-7-99-000 PROFESSIONAL SERVICES 0210216905 00591195
01/12/17 05653872
4918
Total Check per Fund: POSITIVE PROMOTIONS
17007176 GREET CARD/STYLUS : MERRY
199-23-6497-00-124-7-99-000 AWARDS & INCENTIVES 00591196
05586974
17001116 GS16: HEAT SENCE PENCIL
199-11-6497-00-111-7-99-000 AWARDS & INCENTIVES 00591197
Status
Status Description
PETE'S MUFFLER SHOP
8980/12-14-2016 17004969 REPAIR FLAT TIRES FOR THE MONTH OF DE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00591181
Amount Paid
GENERAL FUND 01/12/17
05600824
294
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002642 SPORTS STYLE DRAWSTRING BACKPACK FOOTB
199-11-6497-00-112-7-11-000 AWARDS & INCENTIVES
13.99 13.99 A
ACH
10.00 10.00 A
ACH
10.00 10.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
269.09 269.09 A
ACH
80.00 80.00 A
ACH
857.86 194.70 194.70 A
ACH
408.00 408.00 A
ACH
129.80 129.80 A
ACH
732.50 133.00 133.00 A
ACH
95.00 95.00 A
ACH
882.00 882.00 A
ACH
80.00 80.00 A
ACH
1,190.00 1,592.74 1,592.74 A
ACH
97.47 97.47 A
ACH
440.00 440.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210216905 00591198
Acct Amt
01/12/17 05633287
4918
05633288
05605227
05641694
00591072
01/12/17 75114033
94.05 A
75488124
17004972 ACETYLENE (WELDING DEPARTMENT)
(EMP
01/12/17
00591345
S1335874-001
7509
Total Check per Fund: PYRAMID SCHOOL PRODUCTS
17007495 Art Kraft Paper Flame 36 in. x 1000 f
199-00-1310-00-000-7-00-000 INVENTORY 0210216911 00591021
01/12/17 10008
103004
Total Check per Fund: RAMIREZ EDEN JR
17000520 SIX MONTH CONSULTING SERVICE CONTRACT
199-41-6291-00-989-7-99-000 CONSULTANT SERVICES 0210216915 00591025
01/12/17 32177
9523
Total Check per Fund: RECORDS CONSULTANTS, INC.
17006608 PICK UP FOR THE DESTRUCTION OF DISTRI
199-41-6299-00-903-7-99-000 MISC CONTRACTED SERVICES 0210216916 00591032
01/12/17 128730
1519
Total Check per Fund: REGION ONE ESC
17002873 REGION ONE SUBHUB FROM SEPTEMBER 2016
199-11-6239-00-926-7-99-000 REGION 1 - SUB HUB 00591031
128968
17002873 REGION ONE SUBHUB FROM SEPTEMBER 2016
199-11-6239-00-926-7-99-000 REGION 1 - SUB HUB 00591030
128967
17002873 REGION ONE SUBHUB FROM SEPTEMBER 2016
199-11-6239-00-926-7-99-000 REGION 1 - SUB HUB 00591028
129130
17007080 THE FOLLOWING EMPLOYEES WILL TAKE AN
199-34-6239-00-972-7-99-000 EDUCATION SVC CENTER SVCS 00591026
129142
17007184 PATTY RENDON TRAINING FOR GT 6 HR UPDA
199-13-6239-00-869-7-21-000 EDUCATION SERVICES CENTER SERVICES 00591033
129039
17001125 PEIMS COOPERATIVE AGREEMENT AND TSDS
199-53-6239-00-954-7-99-000 EDUCATION SVC CENTER SVCS 00591027
129118
17005455 THE FOLLOWING EMPLOYEES WILL TAKE A 2
199-34-6239-00-972-7-99-000 EDUCATION SVC CENTER SVCS
40.53 40.53 A
(EM
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 0210216909
ACH
4,509.62
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00591071
ACH
374.36 374.36 A
Total Check per Fund: 5C9-PRAXAIR DISTRIBUTION, INC
17003635 ACETYLENE (WELDING DEPARTMENT)
ACH
94.05
17005449 OSA2961 PRO-AM GOLF UMBRELLA (PERSONA
105058
ACH
781.00 781.00 A
17001940 75 PIECE LAPEL PIN
199-23-6497-00-049-7-99-000 AWARDS & INCENTIVES 0210216906
1,130.00 1,130.00 A
17005033 SPORTY STADIUM CUP - BASKETBALL (FOR
199-23-6497-44-112-7-99-000 AWARDS & INCENTIVES 00591342
Status Description
POSITIVE PROMOTIONS
17005034 SPORTS STYLE DRAWSTRING BACKPACK SOCC
199-11-6497-64-112-7-11-000 AWARDS & INCENTIVES 00591200
Status
GENERAL FUND
199-11-6497-00-112-7-11-000 AWARDS & INCENTIVES 00591199
FPREG02B
A/P Detail Check Register By Fund Vendor No
295
ACH
41.04 41.04 A
ACH
81.57 7,179.00 7,179.00 A
ACH
7,179.00 5,500.00 5,500.00 A
ACH
5,500.00 1,885.50 1,885.50 A
ACH
1,885.50 252,156.38 252,156.38 A
ACH
108.00 108.00 A
ACH
189.00 189.00 A
ACH
600.00 600.00 A
ACH
1,500.00 1,500.00 A
ACH
5,500.00 5,500.00 A
ACH
300.00 300.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/12/17
1519
REGION ONE ESC
0210216918
01/12/17
5831
Total Check per Fund: ROCHESTER ARMORED CAR CO.,INC.
483397
17000712 ARMORED CAR SERVICES FOR CENTRAL OFFI
199-41-6299-02-942-7-99-000 MISC CONTRACTED SERVICES 0210216921 00591044
00590354
01/12/17 DEC. 2016
97039
Total Check per Fund: RODRIGUEZ JOSE SANTIAGO
17000713 MILEAGE REIMBURSEMENT
FROM SEPT 2016
01/12/17 DEC. 2016
12710
Total Check per Fund: SALINAS ARCADIO
17000323 Mileage for Arcadio Salinas(v# 12710)
199-12-6411-00-886-7-99-000 TRAVEL - EMPLOYEES 0210216928 00590355
01/12/17 DEC. 2016
106852
Total Check per Fund: SALINAS CATHY LEE
17000459 MILEAGE FOR FAMILY AND COMMUNITY EDUCA
199-61-6411-00-105-7-11-000 TRAVEL - EMPLOYEES 0210216929 00590356
01/12/17 DEC. 2016
20525
Total Check per Fund: SALINAS ERIKA E.
17000916 MILEAGE FOR THE MONTH OF SEPT. 2016 -
199-21-6411-00-902-7-22-000 TRAVEL - EMPLOYEE 0210216930 00590358
01/12/17 DEC. 2016
13642
Total Check per Fund: SALINAS MONICA
17000460 MILEAGE FOR PARENT EDUCATOR MONICA SA
199-61-6411-00-107-7-11-000 TRAVEL - EMPLOYEES 0210216932 00590365
01/12/17 72382P
14992
Total Check per Fund: SANTEX TRUCK CENTER, LTD
17007229 KIT TURBO
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590366
71157P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590367
71357P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590368
72370P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590369
71864P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590370
71868P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590371
71959P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590372
Status Description
72379P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
260,353.38 349.80 349.80 A
199-61-6411-00-109-7-99-000 TRAVEL - EMPLOYEES 0210216927
Status
GENERAL FUND
0210216916
00591041
296
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
349.80 35.64 35.64 A
ACH
35.64 18.36 18.36 A
ACH
18.36 41.58 41.58 A
ACH
41.58 76.68 76.68 A
ACH
76.68 78.30 78.30 A
ACH
78.30 2,920.97 2,920.97 A
ACH
422.50 422.50 A
ACH
166.72 166.72 A
ACH
310.06 310.06 A
ACH
529.03 529.03 A
ACH
219.70 219.70 A
ACH
144.32 144.32 A
ACH
228.03 228.03 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216932 00590373
Vendor Name
PO No
Description
Acct Amt
01/12/17
14992
72376P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590375
CM68679P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590376
71725P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590377
72004P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590378
72001P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590379
72080P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590380
72096P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590381
72261P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590382
72182P
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216934 00590417
01/12/17 7269782
116491
Total Check per Fund: STANDARD SUPPLY & DISTRIBUTING CO., INC.
17007641 RET STAMP GRILL
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00590418
7273908
17008286 FS4-3 1 FLOW SWITCH McDONNELL
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210216935 00590419
01/12/17 20076
134465
Total Check per Fund: STARR TELECOMM
17003760 HID ACCESS CONTROL CARDS FOR (NELLIE
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES 00590420
20353
17003654 NORTHERN IR VARIFOCAL CAMERA 2.8-12MM
199-52-6397-00-123-7-99-050 CAMERAS AT CLINTON ELEM 0210216936 00590422
01/13/17 20410
133531
Total Check per Fund: STE WIFI CONNECT
17003876
(S-BASE-KIT) INTELLI-M ACCESS ESSENT
199-34-6397-00-972-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590421
4174
17002171 Wireless internet for district clinic
199-12-6259-00-888-7-99-053 UTILITIES 00590422
20410
17003876
(S-BASE-KIT) INTELLI-M ACCESS ESSENT
199-34-6397-00-972-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00590421
Status
Status Description
SANTEX TRUCK CENTER, LTD
17006501 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00590374
Amount Paid
GENERAL FUND
72472P
4174
297
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002171 Wireless internet for district clinic
199-12-6259-00-888-7-99-053 UTILITIES
488.67 488.67 A
ACH
155.84 155.84 A
ACH
-1,600.00 -1,600.00 A
ACH
373.08 373.08 A
ACH
198.30 198.30 A
ACH
252.41 252.41 A
ACH
157.47 157.47 A
ACH
331.92 331.92 A
ACH
429.13 429.13 A
ACH
39.14 39.14 A
ACH
5,767.29 185.00 185.00 A
ACH
328.42 328.42 A
ACH
513.42 160.00 160.00 A
ACH
4,990.00 4,990.00 A
ACH
5,150.00 -5,472.50 -5,472.50 AV ACH Void -101.95 -101.95 AV ACH Void 5,472.50 5,472.50 A
ACH
101.95 101.95 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
133531
STE WIFI CONNECT
0210216941
01/12/17
9175
Total Check per Fund: TREVINO ELIZABETH
DEC. 2016
17000121 Yearly mileage for Elizabeth Trevino-M
199-21-6411-00-845-7-99-000 TRAVEL - EMPLOYEES
00590473
01/12/17 IN0577179
2987
Total Check per Fund: WILLIAM V. MACGILL & CO.
17004742 FLEXIBLE FABRIC X-LARGE BANDAGE
IN0581551
17007953 Halls cough drops cherry
IN0581531
17007756 UNITIZED FIRST AID KIT/EMPTY CASE
00590479
01/12/17 NOV. 2016
14025
Total Check per Fund: ZAMORA ROBERTO JR.
17000956 MILEAGE FOR ROBERTO ZAMORA JR, ASSIST
199-21-6411-00-893-7-99-000 TRAVEL - EMPLOYEES 00590478
DEC. 2016
17000956 MILEAGE FOR ROBERTO ZAMORA JR, ASSIST
199-21-6411-00-893-7-99-000 TRAVEL - EMPLOYEES 0210216947 00590481
01/12/17
12442
Total Check per Fund: ZAPATA SYLVIA G. 11/11/16-PAC-REGION ONE, EDINBURG, TX
4030
199-41-6411-00-947-7-99-000 TRAVEL - EMPLOYEES 00590480
09/16/16-PAC-REGION ONE, EDINBURG, TX
4031
199-41-6411-00-947-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210216948 00590482
01/12/17 DEC. 2016
18132
00591637
01/13/17 MC29712
17000498 MILEAGE FOR SUPERVISOR'S CLERK EMMA ZA
MC30018
00591630
01/13/17 214256
17008513 11R22.5 H COOP RM185 RGN-A/P
Total Check per Fund: ALL AMERICAN POLY
17007768 Black Can Liner 38 - (All American Po
199-00-1310-00-000-7-00-000 INVENTORY 0210216953 00591615
01/13/17 0003
56.43 56.43 A
22510
ACH
130.53 130.53 A
ACH
186.96 18.26 18.26 A
ACH
18.26 18.26 A
ACH
36.52 19.98 19.98 A
1,580.04
131334
ACH
975.17
17008514 LT245/75R16E RADAR RENEGADE AT-5
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216952
ACH
159.57
Total Check per Fund: OMNISOURCE UNITED, INC
65501
ACH
211.15
19.98
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591638
604.45
ZARATE EMMA
199-23-6411-00-105-7-99-000 TRAVEL - EMPLOYEES 0210216950
ACH
41.58
159.57 A
199-33-6399-00-114-7-99-000 GENERAL SUPPLIES 0210216946
41.58 41.58 A
211.15 A
199-33-6399-00-044-7-99-000 GENERAL SUPPLIES 00590475
Status Description
.00
604.45 A
199-33-6399-00-112-7-99-000 GENERAL SUPPLIES 00590474
Status
GENERAL FUND 01/12/17
0210216945
Amount Paid Acct Amt
0210216936
00590460
298
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: ESCOBEDO ROGELIO
17003710 LA JOYA H.S. MARIACHI - TRUMPET INSTRU
199-11-6291-06-001-7-11-010 CONSULTANT SERVICES
1,580.04 C
ACH
Computer
13,680.50 13,680.50 C
Computer
15,260.54 7,100.80 7,100.80 C
Computer
7,100.80 700.00 700.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
Acct Amt
01/13/17
22510
ESCOBEDO ROGELIO
0210216954
01/13/17
135496
Total Check per Fund: FRANK RODRIGUEZ CPA FIRM, PLLC
00591602
LJISD-17-1
17001282 AUDIT SERVICES FOR YEAR ENDING AUGUST
01/13/17
8107
011317102500448
00591642
01/13/17 60821
00591622
01/13/17
2924
FOR
Total Check per Fund: SAM'S CLUB DIRECT
15.00 C
17001386 SAM'S MEMBERSHIP FOR MICHELLE L. GARZA
999999/J.ADAME
17005665 SAMS CLUB MEMBERSHIP: JOSE RUBEN ADAM
007347
17007084 ASSORTED SOFT DRINKS
(FACULTY MEET
199-23-6498-00-001-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00591619
Total Check per Fund: 00591612
10001182-1216
1915
10001182-1216
17000740 ADVERTISEMENT FOR BIDS FROM SEPTEMBER
10001182-1216
00591614
40005605-1016
1915
00591626
01/13/17
17003150 PRINTING OF 1ST SIX WEEKS NOTICIERO 2
128517
21388
01/13/17
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17007677 QUOTE # JR-2287
18761
Computer
3,238.18 4,340.00 4,340.00 C
LAC61BK INK BLK CARTR
199-11-6399-00-001-7-11-000 GENERAL SUPPLIES 0210216966
Computer
333.00
THE MONITOR
199-41-6298-00-989-7-99-000 PRINTING SERVICES 0210216965
Computer
630.22
333.00 C
Total Check per Fund: 01/13/17
2,274.96
630.22 C
17006798 AD FOR ADVERTISEMENT FOR SPECIAL ED. R
199-41-6499-00-903-7-99-000 MISC OPERATING COSTS 0210216964
Computer
722.21
2,274.96 C
17002182 ADVERTISTING SERVICES FOR THE YEAR FRO
199-12-6499-00-888-7-99-000 MISC OPERATING COSTS 00591609
Computer
THE MONITOR
199-51-6499-00-956-7-99-000 MISC OPERATING COSTS 00591610
662.21 C
15.00 C
199-51-6495-00-960-7-99-000 MEMBERSHIP FEES/DUES 01/13/17
Computer
662.21 15.00
999999/R.GUTIERR 17001389 ASSORTED MUFFINS
0210216963
Computer
15.00 15.00 C
199-21-6495-00-893-7-99-000 MEMBERSHIP FEES/DUES 00591623
Computer
15.00 15.00 C
199-23-6495-00-007-7-99-000 MEMBERSHIP FEES 00591617
Computer
60.86 15.00
999999/E.HORNADA 17001384 CRANOLA BARS
999999/M.GARZA
60.86 60.86 C
199-23-6495-00-004-7-99-000 MEMBERSHIP FEES 00591621
Computer
129.04
Total Check per Fund: RGV PIZZA HUT, LLC.
199-36-6412-05-001-7-11-010 TRAVEL - STUDENTS 0210216962
129.04 129.04 C
17005369 LA JOYA H.S. CHOIR - DINNER MEALS
Computer
5,750.00
Total Check per Fund: GARCIA LOURDES REIMBURSE HEB PURCHASE/CC DIDN'T WORK
3191
5,750.00 5,750.00 C
199-23-6498-39-860-7-99-010 FOOD AND NON FOOD COSTS 0210216958
Status Description
700.00
199-41-6212-00-942-7-99-000 AUDIT SERVICES 0210216955
Status
GENERAL FUND
0210216953
00591616
FPREG02B
A/P Detail Check Register By Fund Vendor No
299
Total Check per Fund: ALWAYS HERE SEPTIC LTD
Computer
4,340.00 199.76 199.76 A 199.76
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210216966 00591633
Vendor Name
PO No
Description
Acct Amt
01/13/17
18761
464
17007116 SLUDGE REMOVAL AND HYDRO-JETTING SERV
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00591631
463
17007116 SLUDGE REMOVAL AND HYDRO-JETTING SERV
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00591634
462
17007116 SLUDGE REMOVAL AND HYDRO-JETTING SERV
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 0210216967 00591635
01/13/17 0000502390
12464
Total Check per Fund: ANDY'S AUTO & BUS AIR, INC.
17007772 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216968 00591603
01/13/17
118265
Total Check per Fund: GARCIA NORMA V.
AUG. 2016
MILEAGE REIMBURSEMENT
199-32-6411-00-048-7-11-000 TRAVEL - EMPLOYEES 00591604
SEPT. 2016
MILEAGE REIMBURSEMENT
199-32-6411-00-048-7-11-000 TRAVEL - EMPLOYEES 00591605
OCT. 2016
MILEAGE REIMBURSEMENT
199-32-6411-00-048-7-11-000 TRAVEL - EMPLOYEES 0210216969 00591636
01/13/17 17639
9409
Total Check per Fund: LONGHORN BUS SALES
17007865 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210216970 00591624
01/13/17 20410
134465
Total Check per Fund: STARR TELECOMM
17003876
(S-BASE-KIT) INTELLI-M ACCESS ESSENT
199-34-6397-00-972-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210216971
01/13/17
00591645
232942535-001
8992
Total Check per Fund: BEST BUY CO., INC.
17007759 FITBIT- FLEX WIRELESS ACTIVITY AND SL
199-23-6497-00-041-7-99-000 AWARDS & INCENTIVES 0210216972 00591655
01/13/17 0863-001252728
116190
Total Check per Fund: REPUBLIC SERVICES #863
17006432 SOLID WASTE SERVICES FOR THE MONTHS O
199-51-6259-04-958-7-99-000 UTILITES - CNS 00591652
0863-001252727
17007126 WASTE SERVICES DISTRICTWIDE FOR THE MO
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00591653
0863-001242782
17007018 WASTE SERVICES FOR ROLL OFF BINS AT SA
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00591654
Status
Status Description
ALWAYS HERE SEPTIC LTD
17007116 SLUDGE REMOVAL AND HYDRO-JETTING SERV
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 00591632
Amount Paid
GENERAL FUND
465
0863-001251688
300
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007126 WASTE SERVICES DISTRICTWIDE FOR THE MO
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE
662.50 662.50 A
ACH
100.00 100.00 A
ACH
1,987.50 1,987.50 A
ACH
3,000.00 3,000.00 A
ACH
5,750.00 194.33 194.33 A
ACH
194.33 70.74 70.74 A
ACH
194.40 194.40 A
ACH
100.44 100.44 A
ACH
365.58 477.63 477.63 A
ACH
477.63 5,472.50 5,472.50 A
ACH
5,472.50 2,475.00 2,475.00 M
Manual
2,475.00 18,907.08 18,907.08 M
Manual
15,990.33 15,990.33 M
Manual
1,277.05 1,277.05 M
Manual
2,032.62 2,032.62 M
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Description
116190
REPUBLIC SERVICES #863
0210216973
01/13/17
9515
Total Check per Fund: CITY OF MISSION
50-2920-00
17005593 Bills for water services months of De
199-51-6259-03-961-7-99-000 UTILITIES - WATER 50-2922-00
17005593 Bills for water services months of De
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00591648
54-7770-00
17005593 Bills for water services months of De
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00591647
54-7775-00
17005593 Bills for water services months of De
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00591646
54-7780-00
17005593 Bills for water services months of De
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00591651
ONLINE FEE
00591644
01/13/17 100004190
138885
Total Check per Fund: BEST AQUATIC MANAGEMENT LLC
17008738 REGISTRATION FEES FOR(14329) DANIEL GA
199-51-6411-00-956-7-99-000 TRAVEL - EMPLOYEES 0210216975 00591643
01/13/17 CLNWJTXVXP
49972
Total Check per Fund: AGUA SPECIAL UTILITY DISTRICT
CLNWJTXVXP
17005707 Bills for water services for Dec 2016
199-51-6259-03-961-7-99-000 UTILITIES - WATER 0210216980 00591662
01/18/17
1125
Total Check per Fund: LARRY'S AUTO REPAIR CONTRACT SERVICES/REPAIR TRANS T-66
4-19-2016
199-51-6499-00-956-7-99-000 MISC OPERATING COSTS 0210216981 00591664
01/18/17 PHS/02-17-2017
138916
Total Check per Fund: MR. AMIGO ASSOCIATION
17009014 WORKSHOP GROUP FEES FOR MR. AMIGO MAR
199-36-6412-06-007-7-11-010 TRAVEL - STUDENTS 00591663
MEM/02-17-2017
17009014
199-36-6412-05-044-7-99-010 TRAVEL - STUDENTS 0210216982 00591666
01/18/17 JLHS/1-26
138940
Total Check per Fund: RED ROOF INN - FMW RRI OPCO LLC
17009072 DOUBLE BED ROOMS FOR JUAREZ LINCOLN H
199-36-6412-07-004-7-99-010 TRAVEL - STUDENTS 0210216985 00591670
01/18/17 MMS CHOIR/2-28
3125
38,207.08 282.63 282.63 M
Manual
64.50 64.50 M
Manual
19.55 19.55 M
Manual
342.05 342.05 M
Manual
193.70 193.70 M
Manual
1.25 M
Manual
903.68 915.14 915.14 M
Manual
915.14 1.25
17005707
199-41-6499-00-942-7-99-FEE MISC OPERATING COSTS 00591643
Status Description
1.25
17005593
199-41-6499-00-942-7-99-FEE MISC OPERATING COSTS 0210216974
Status
GENERAL FUND 01/13/17
00591649
Amount Paid Acct Amt
0210216972
00591650
301
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: UIL MUSIC REGION 15
17009086 ENTRY FEE FOR MEMORIAL MIDDLE SCHOOL
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS
1.25 M
Manual
27,237.08 27,237.08 M
Manual
27,238.33 767.90 767.90 C
Computer
767.90 425.00 425.00 C
Computer
425.00 425.00 C
Computer
850.00 1,369.93 1,369.93 C
Computer
1,369.93 380.00 380.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/18/17
3125
UIL MUSIC REGION 15
0210216986
01/18/17
3125
Total Check per Fund: UIL MUSIC REGION 15
SALINAS MS/2-28 17009087 ENTRY FEE FOR JD SALINAS MIDDLE SCHOO
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210216987
01/18/17
00591673
MMS BAND/3-9
00591671
3125
Total Check per Fund: UIL MUSIC REGION 15
17009089 ENTRANCE FEE FOR MEMORIAL
MIDDLE SCHO
01/18/17 CHAVEZ MS/2-28
3125
00591675
01/18/17
Total Check per Fund: UIL MUSIC REGION 15
17006316 REGISTRATION FEE FOR CHAVEZ MIDDLE SCH
LJHS BAND/1-21
3125
Total Check per Fund: UIL MUSIC REGION 15
17009088 LA JOYA H.S. BAND - ENTRY FEES FOR UI
00591672
01/18/17 ZAVALA MS/2-28
3125
17009038 ENTRY FEE FOR LORENZO DE ZAVALA MIDDL
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210216991 00591674
01/18/17 LJHS ORCH/1-28
3125
17009037 LA JOYA H.S. ORCHESTRA - ENTRY FEES FO
00591676
01/18/17
3125
SALINAS MS/3/9- 17008478 JD SALINAS MIDDLE SCHOOL BAND STUDENT
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217001 00592501
01/19/17 79691
9052
Total Check per Fund: AMERICAN INDUSTRIAL SUPPLIES &
00592509
01/19/17 5413
(19) RAINBIRD S
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR Total Check per Fund: 0210217005 00592510
01/19/17
9458
199-51-6259-00-888-7-99-053 UTILITIES
00592511
0301236378001
9458
Computer
380.00 88.00 Computer
88.00 540.00 Computer
540.00
Computer
358.90 2,700.00 2,700.00 C
Computer
2,700.00 28,451.41 28,451.41 C
Total Check per Fund: 01/19/17
380.00
AT & T
956580-50001206 17000964 LONG DISTANCE SERVICE FOR MONTH OF SE
0210217006
Computer
14.00
358.90 C
Total Check per Fund: AQUA - TECH LAWN
17008312 CONTRACTED SERVICES
14.00
358.90
17006428 GRTN690 PISTON STOP
17328
Computer
760.00
540.00 C
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217004
760.00
88.00 C
Total Check per Fund: UIL MUSIC REGION 15
Computer
270.00
380.00 C
Total Check per Fund: UIL MUSIC REGION 15
199-36-6412-08-001-7-11-010 TRAVEL - STUDENTS 0210216992
270.00
14.00 C
Total Check per Fund: UIL MUSIC REGION 15
Computer
380.00
760.00 C
199-36-6412-30-001-7-11-010 TRAVEL - STUDENTS 0210216990
380.00
270.00 C
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210216989
Status Description
380.00
380.00 C
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210216988
Status
GENERAL FUND
0210216985
00591669
302
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
28,451.41
AT & T
17000964 LONG DISTANCE SERVICE FOR MONTH OF SE
93.87
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
00592511
0301236378001
9458
01/19/17
9458
956580-50001206 17000964 LONG DISTANCE SERVICE FOR MONTH OF SE
00592060
01/19/17 IN1018947
18896
00592402
01/19/17
17000832 RENTAL OF XEROX 7845APT COLOR COPIER
22195
Total Check per Fund: GAITAN ORLANDO
20240 WINTERGUAR 17000394 PALMVIEW H.S. BAND - ORLANDO GAITAN -
00592267
01/19/17 DEC. 2016
127388
17003494 PALMVIEW H.S. MARIACHI - CONSULTANT CO
199-11-6291-06-007-7-11-010 CONSULTANT SERVICES 0210217030 00592408
01/19/17 DEC. 2016
135780
Total Check per Fund: GARZA YVONNE J.
17006241 MILEAGE REIMBURSEMENT FOR YVONNE GARZA
00592303
01/19/17 59588
15808
17007054 LUNCH FOR STUDENTS
ATTENDING READING
199-11-6412-00-045-7-11-000 TRAVEL - STUDENTS 0210217033 00592307
01/19/17 112887A
8993
Total Check per Fund: GLENDALE INDUSTRIES
17004787 ROTC COLLAR INSIGNIA-TORCH/BR, CR PAIR
199-36-6399-25-004-7-99-000 GENERAL SUPPLIES 00592306
111585
17004786 ARMY NAMEPLATE ENG, PLASTIC 1X3 FOR J
00592314
01/19/17 9311420559
2122
9319135571
17008257 6CXN1 FLASHLIGHT LED (T-206)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592316
9313910730
17008257 6CXN1 FLASHLIGHT LED (T-206)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592317
9313910748
Computer
330.00 28.08 Computer
28.08 140.00 140.00 C
Computer
140.00 833.60 Computer
1,124.25 Computer
1,957.85
GRAINGER
17007842 TAN WORK BELT TOP GRAIN SADDLE LEATHER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592315
330.00
1,124.25 C Total Check per Fund:
Computer
750.00
833.60 C
199-36-6399-25-004-7-99-000 GENERAL SUPPLIES 0210217037
750.00
28.08 C
Total Check per Fund: GATTI'S PIZZA #408
Computer
389.21
330.00 C
199-23-6411-00-048-7-99-000 TRAVEL - EMPLOYEES 0210217031
389.21
750.00 C
Total Check per Fund: GARCIA RODOLFO
Computer
28,451.41
389.21 C
199-36-6291-30-007-7-11-010 CONSULTANT SERVICES 0210217027
28,451.41 28,451.41 C
Total Check per Fund: DAHILL INDUSTRIES
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 0210217022
Computer
93.87
AT & T
199-51-6259-00-888-7-99-053 UTILITIES 0210217018
93.87 93.87 C
Total Check per Fund: 00592512
Status Description
AT & T
17000964 LONG DISTANCE SERVICE FOR MONTH OF SE
199-51-6259-00-888-7-99-053 UTILITIES 0210217007
Status
GENERAL FUND
0210217006
303
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008258 48XR16 DEWALT CORDLESS COMBINATION KI
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST
356.38 356.38 C
Computer
13.59 13.59 C
Computer
386.60 386.60 C
Computer
379.00 379.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217037 00592430
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
2122
9330817652
0210217039
01/19/17
00592432
RVD-1022 LJHS
138096
Total Check per Fund: GUERRA RICARDO
17006657 LA JOYA H.S. BAND - CONSULTANT RICARDO
00592320
122916001
137600
17008117 VOCO PRO UHF-58
RECEIVER PLUS 4 MIC-
199-11-6395-30-113-7-11-010 FURN & EQUIP <$500 UNIT COST 00592320
122916001
17008117 VOCO PRO UHF-58
RECEIVER PLUS 4 MIC-
199-11-6395-30-113-7-11-010 FURN & EQUIP <$500 UNIT COST 0210217042 00592326
01/19/17 1237986
7520
Total Check per Fund: GULF COAST PAPER CO.
17006467 9652-12 PURELL INSTANT HAND SANITIZER
199-00-1310-00-000-7-00-000 INVENTORY 00592323
1240684
199-00-1310-00-000-7-00-000 INVENTORY 00592325
1247011
1248474
17007711 Fabuloso,
199-00-1310-00-000-7-00-000 INVENTORY 00592322
1248118
17007712 WHITE BOWL MOP
01/19/17
00592335
5FL8T32S632WB
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007603 TRAILERS REGISTRATION RENEWAL FOR PHY
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217047
01/19/17
00592446
3EL8T6ZR321W8
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008550 RENEWAL NOTICE FOR VEHICLE T-81
199-51-6249-01-957-7-99-000 CONTRACTED MAINT & REPAIR 0210217048
01/19/17
00592445
CDEFZAZ00BFVR
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217049
01/19/17
00592444
9ME8ZBZYS9EVT
37192
-299.00 CV Computer Void 299.00 299.00 C
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR
Computer
.00 742.28 Computer
408.00 Computer
840.48 Computer
1,999.50 1,999.50 C
100/CS
199-00-1310-00-000-7-00-000 INVENTORY 0210217046
-299.00
840.48 C ALL PURPOSE CLEANER
Computer
1,000.00
408.00 C
17006467 9652-12 PURELL INSTANT HAND SANITIZER
199-00-1310-00-000-7-00-000 INVENTORY 00592321
1,000.00
742.28 C
17006467 9652-12 PURELL INSTANT HAND SANITIZER
Computer
2,865.60
1,000.00 C
Total Check per Fund: GUITAR CENTER STORES, INC.
Computer
771.73 771.73 C
199-36-6291-92-001-7-11-010 CONSULTING SERVICES 02/21/17
958.30 958.30 C
17008432 #1FD54 EXTENSION CORD 100 FT. ORANGE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
0210217041
Status Description
GRAINGER
17008431 1LCC7 RATCHETING WRENCH SET, COMBINAT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592429
Status
GENERAL FUND
9325841709
304
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
1,992.10 1,992.10 C
Computer
5,982.36 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Description
Acct Amt
0210217049
01/19/17
37192
HIDALGO COUNTY TAX OFFICE
0210217050
01/19/17
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
00592443
GMFBYC0YY9BVX
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 01/19/17
00592442
CKFCYDZW076VT
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217052
01/19/17
00592437
GNDFPFXZZADVZ
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217053
01/19/17
00592438
9EE7Z8YRZ21VS
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217054
01/19/17
00592439
6HE4Z7YUS5AVT
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217055 00592440
01/19/17 411F9Y4ZU159VS
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217056
01/19/17
00592441
4GDBP4XTX4CVT
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17000141 VEHICLE REGISTRATION FOR 30 NEW BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217057
01/19/17
00592336
BMDAPAPYR99WT
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007603 TRAILERS REGISTRATION RENEWAL FOR PHY
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217058
01/19/17
00592334
BGL8T82T543WB
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17007603 TRAILERS REGISTRATION RENEWAL FOR PHY
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR Total Check per Fund: 0210217064 00592348
01/19/17 16531
8817
17007716 PERFECTA 24 ANCHOR CHART SYSTEM WITH
Total Check per Fund: 00592450
Status
Status Description
01/19/17 755996
42919
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50
IMAGERY
199-11-6397-00-042-7-11-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217069
Amount Paid
GENERAL FUND
0210217051
305
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
4,995.00 4,995.00 C 4,995.00
ISTE
17007060 REGISTRATION FEE TO ATTEND ISTE 2017
450.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210217069 00592450
Vendor Name
PO No
Description
Acct Amt
01/19/17
42919
Total Check per Fund: 00592451
01/19/17 I0035421
1019
17005257 HON - 2 DRAWER FILE CABINET, LETTER
Total Check per Fund: 0210217071
01/19/17
00592359
JAN. 6, 2017
131610
01/19/17 2001
Total Check per Fund: JR-UNIFORMS & ACCESSORIES
17007475 GUARD NUDE S FIVE GUARD SHOES-ITEMS TO
199-36-6399-92-004-7-11-010 GENERAL SUPPLIES 0210217076 00592477
01/19/17 2016591
13152
Total Check per Fund: KEY POULAN MUSIC
17007861 LA JOYA BAND - TIME INDOOR MARCHING P
00592521
971972
74977
17006281 CARLTON VENBREZ WALL MOUNT MAIL BOX
Total Check per Fund: 00592639
01/19/17 4029
128767
01/19/17
17008034 SAUSAGE BISCUIT - BREAKFAST FOR UIL S
00592682
680567042-01
7114
Total Check per Fund: ORIENTAL TRADING COMPANY, INC.
17005969 SANTAS WORSHOP DESIGNER ROOM PACK-TO B
199-11-6399-30-114-7-11-010 GENERAL SUPPLIES 0210217099 00592684
01/19/17 565129
16632
00592653
01/19/17
Total Check per Fund: PAST & PRESENT
17008671 GIFT BASKET FOR BOARD MEMBER
10958870
16162
Total Check per Fund: NCS PEARSON, INC.
17001707 0158735129 CTOPP2 EXAMINER RECORD FORM
199-31-6339-00-867-7-99-000 TESTING MATERIALS Total Check per Fund: 0210217101 00592685
01/19/17 V24175
117072
1,000.00 C
Computer
1,000.00 1,031.40 Computer
1,031.40 906.00 Computer
906.00 970.92 970.92 C
Computer
970.92 95.20 95.20 C
Computer
95.20 221.05 221.05 C
199-23-6497-00-021-7-99-000 AWARDS & INCENTIVES 0210217100
Computer
369.60
MCDONALD'S
199-36-6412-40-042-7-99-000 TRAVEL - STUDENTS 0210217098
369.60 C
LOWE'S
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217092
369.60
906.00 C Total Check per Fund:
01/19/17
Computer
450.00
1,031.40 C
199-11-6399-30-001-7-11-010 GENERAL SUPPLIES 0210217080
450.00 C
1,000.00
17007853
64483
450.00
JACKSON JULIE
199-13-6291-00-115-7-11-000 CONSULTING SERVICES-SPEAKER/TRAININGS
00592474
Status Description
J.R., INC.
199-34-6395-00-972-7-99-000 FURN & EQUIP <$500 UNIT COST
0210217073
Status
ISTE
17007060 REGISTRATION FEE TO ATTEND ISTE 2017
199-12-6411-01-888-7-99-000 TRAVEL - EMPLOYEES 0210217070
Amount Paid
GENERAL FUND
755996
306
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
221.05 50.00 50.00 C
Computer
50.00 148.00 148.00 C
Computer
148.00
PEARSON VUE
17007170 EACH GED EXAM VOUCHER TO BE USED FOR
199-11-6339-00-015-7-11-000 TESTING MATERIALS
2,002.50 2,002.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
117072
PEARSON VUE
0210217104
01/19/17
129887
Total Check per Fund: PRO STITCH EMBROIDERY & MORE
1112
17008146 T SHIRTS TO BE USED BY CAVASOS ELEM.
199-11-6497-30-112-7-11-010 AWARDS & INCENTIVES
00592697
01/19/17 D10891216P
23701
Total Check per Fund: PROPERTY CASUALTY ALLIANCE OF TEXAS
17001720 Insurance Deductible for General Liab
199-34-6429-01-985-7-99-000 INSURANCE BOND COSTS 00592698
D10891216Q
17001720 Insurance Deductible for General Liab
199-41-6429-01-985-7-99-000 INSURANCE/BONDING COSTS (PROP & CASUALTY 0210217108 00592700
01/19/17 T-67
125709
Total Check per Fund: QUALITY CONVERTER
17006954 ENGINE OVERHAUL ON UNIT #T67 AND REPLA
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217116 00592531
01/19/17 DEC. 2016
86738
Total Check per Fund: RODRIGUEZ ROSA M.
17000070 MILEAGE REIMBURSEMENT FOR ROSA MARIA R
199-23-6411-00-046-7-99-000 TRAVEL - EMPLOYEES 0210217117 00592535
01/19/17 988401
36056
Total Check per Fund: ROSSY FLORERIA
17009029 CHAIR COVERS (RED) SPANDEX
199-11-6497-00-846-7-99-000 AWARDS AND INCENTIVES 00592535
988401
17009029 ALL ITEMS ARE FOR GRADUATION CEREMONY
199-11-6499-01-015-7-99-010 GRADUATION EXP - CCC 0210217120 00592067
01/19/17 72031336
1599
Total Check per Fund: SAFETY-KLEEN CORP.
17007503 30500 MONTHLY RENTAL OF TWO STANDS DI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00592068
72031337
17007503 30500 MONTHLY RENTAL OF TWO STANDS DI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES Total Check per Fund: 0210217123 00592222
01/19/17
76945
00592070
3024
12/11/16-AUSTIN, TX
01/19/17
2924
Total Check per Fund: SAM'S CLUB DIRECT
999999/A.GUERRA 17007740 SAMS CLUB MEMBERSHIP FEE FOR MUSEUM MA
199-21-6495-00-890-7-99-000 MEMBERSHIPS FEES/DUES 00592069
005204
17008158 HEFTY SUPREME FOAM PLATES 6" (320CT.)
199-23-6498-00-021-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217125
Status Description
01/19/17
58858
2,002.50 100.00 100.00 C
Computer
100.00 1,870.92 1,870.92 C
Computer
283.95 283.95 C
Computer
2,154.87 2,600.00 2,600.00 C
Computer
2,600.00 33.48 33.48 C
Computer
33.48 169.00 169.00 C
Computer
3,031.00 3,031.00 C
Computer
3,200.00 213.76 213.76 C
Computer
397.46 397.46 C
Computer
611.22
SALINAS ELOY
199-52-6411-00-993-7-99-000 TRAVEL - EMPLOYEES 0210217124
Status
GENERAL FUND 01/19/17
0210217106
Amount Paid Acct Amt
0210217101
00592695
307
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SANCHEZ LAURA ELIZA
368.72 368.72 C
Computer
368.72 15.00 15.00 C
Computer
148.07 148.07 C 163.07
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217125 00592072
Vendor Name Description
Acct Amt
01/19/17
58858
NOV. 2016
17002733 MILEAGE FOR LAURA ELIZA SANCHEZ (SOCIA
199-32-6411-00-021-7-99-000 TRAVEL - EMPLOYEES 00592073
DEC. 2016
17002733 MILEAGE FOR LAURA ELIZA SANCHEZ (SOCIA
199-32-6411-00-021-7-99-000 TRAVEL - EMPLOYEES 0210217126 00592075
01/19/17 19935
21958
Total Check per Fund: SCHLECHTY CENTER
17005277 Judy Love, Deanna Howard, and Monica
199-21-6291-50-845-7-99-000 CONSULTANT SERVICES 0210217128
01/19/17
00592077
208117619282
1630
Total Check per Fund: SCHOOL SPECIALTY INC.
17007272 REPLACEMENT SELF-INKING STAMP PAD FOR
199-23-6399-00-001-7-99-000 GENERAL SUPPLIES 0210217131 00592093
01/19/17 02155100
1657
Total Check per Fund: SHARYLAND WATER SUPPLY CORP.
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592092
02155150
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592091
02155175
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592090
02156000
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592089
02562400
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592088
02562720
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592094
02562730
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592087
02612300
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592086
02612600
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592085
02691043
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592084
02691045
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592083
02755500
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 00592082
Status
Status Description
SANCHEZ LAURA ELIZA
17002733 MILEAGE FOR LAURA ELIZA SANCHEZ (SOCIA
199-32-6411-00-021-7-99-000 TRAVEL - EMPLOYEES 00592071
Amount Paid
GENERAL FUND
OCT. 2016
04156400
308
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER
43.74 43.74 C
Computer
80.46 80.46 C
Computer
103.68 103.68 C
Computer
227.88 13,000.00 13,000.00 C
Computer
13,000.00 118.92 118.92 C
Computer
118.92 40.20 40.20 C
Computer
316.78 316.78 C
Computer
112.56 112.56 C
Computer
66.37 66.37 C
Computer
40.20 40.20 C
Computer
145.72 145.72 C
Computer
226.11 226.11 C
Computer
348.63 348.63 C
Computer
224.06 224.06 C
Computer
112.56 112.56 C
Computer
40.20 40.20 C
Computer
2,456.32 2,456.32 C
Computer
2,842.89 2,842.89 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217131 00592081
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
1657
00592095
01/19/17 3774-2
36188
17008571 B31W04653 PROMR
00592096
01/19/17 GB00213796
17715
400 ZERO VOC INT. LA
Total Check per Fund: SHI GOVERNMENT SOLUTIONS
17003652 ARUBA INSTANT IAP-325-WIRELESS ACCESS
199-12-6397-99-888-7-99-051 TEACHER DESIGN LAB 00592097
GB00219756
17003652 ARUBA INSTANT IAP-325-WIRELESS ACCESS
199-12-6397-99-888-7-99-051 TEACHER DESIGN LAB 0210217136 00592100
01/19/17
18123
LJ ISD/2015-16
Total Check per Fund: SOUTH TEXAS ISD TUITION FOR HALF-DAY CAREER & TECH PRO
199-11-6229-00-942-7-99-000 TUITION TO STISD 01/19/17
00592101
376585556-115
7391
17000730 BUSINESS ESSENTIAL PLAN FOR CHRIS PER
00592107
8388
507129
POLICY ON LINE INTERNET-ANNUAL SUPPOR
00592247
280443
8334
17001974 GASB 68 WEBINAR ON GOVERNMENTAL ACCOUN
Total Check per Fund: 01/19/17
00592109
A. GUTIERREZ
15040
M.SALINAS
17006184 TEPSA BASIC MEMBERSHIP RENEWAL ANUAL D
17006184 TEPSA BASIC MEMBERSHIP RENEWAL ANUAL D
199-23-6495-00-127-7-99-000 MEMBERSHIP FEES 0210217143
01/19/17
00592105
1-VASE-82235
13628
Total Check per Fund: TAEA OFFICE - VASE
17008473 STUDENT ARTWORK-ENTRY FEE FOR JUAREZ
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 00592106
1-VASE-85122
17008474 STUDENT ARTWORK-ENTRY FEE FOR JUAREZ
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217145
01/19/17
21384
2,056.00 2,056.00 C
Computer
3,084.00 3,750.00 Computer
3,750.00 234.28 Computer
234.28 950.00 Computer
950.00 125.00 125.00 C
Computer
125.00
TEPSA
199-23-6495-00-127-7-99-000 MEMBERSHIP FEES 00592108
Computer
TASBO
199-41-6411-00-942-7-99-000 TRAVEL - EMPLOYEES 0210217142
1,028.00 1,028.00 C
950.00 C Total Check per Fund:
01/19/17
Computer
2,169.68
TASB, INC.
199-41-6495-05-926-7-99-000 MEMBERSHIP FEES 0210217141
2,169.68 C
234.28 C Total Check per Fund:
01/19/17
2,169.68
SPRINT PCS
199-51-6259-00-993-7-99-000 UTILITIES 0210217140
Computer
7,118.32
3,750.00 C Total Check per Fund:
0210217137
145.72 145.72 C
Total Check per Fund: SHERWIN WILLIAMS CO.
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217133
Status Description
SHARYLAND WATER SUPPLY CORP.
17006174 Bills for water services for the month
199-51-6259-03-961-7-99-000 UTILITIES - WATER 0210217132
Status
GENERAL FUND
04157050
309
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: TEXAS BAND & ORCHESTRA
180.00 180.00 C
Computer
180.00 180.00 C
Computer
360.00 285.00 285.00 C
Computer
210.00 210.00 C 495.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217145 00592119
Vendor Name Description
Acct Amt
01/19/17
21384
136611
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592117
137469
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592116
137470
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592115
132798
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592114
137468
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592111
138949
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592120
139471
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592112
137420
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592113
136604
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 0210217146 00592248
01/19/17
100676
Total Check per Fund: TEXAS EDUCATIONAL COLORGUARD ASSOCIATION
2017 CONTEST SEA 17009084 LA JOYA H.S. ENTRY FEES FOR TECA COMP
199-36-6412-30-001-7-11-010 TRAVEL - STUDENTS Total Check per Fund: 0210217148
01/19/17
00592394
40005605-1216
1915
0210217149
01/19/17
00592249
SMS/17009036
17007236 PRINTING OF 2ND SIX WEEKS NOTICIERO 2
130214
Total Check per Fund: THE TIPSY CANVAS
17009036 REGISTRATIONFOR PAINTING CLASS FOR TO
199-12-6412-00-043-7-99-000 TRAVEL - STUDENTS
00592126
01/19/17 1535771
1941
Total Check per Fund: TRANE U.S. INC.
17002184 MOT12628 MOTR;460V 60HZ/380-415V 50HZ
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592125
1540211
17002184 MOT12628 MOTR;460V 60HZ/380-415V 50HZ
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592123
1539137
17002836 CAB01148 WIRE HARNESS;BRANCHING,MALE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592124
Status Description
37524119
59.00 59.00 C
Computer
15.00 15.00 C
Computer
15.00 15.00 C
Computer
69.00 69.00 C
Computer
64.00 64.00 C
Computer
158.10 158.10 C
Computer
209.00 209.00 C
Computer
3.56 3.56 C
Computer
99.00 99.00 C
Computer
99.00 99.00 C
Computer
790.66 1,400.00 1,400.00 C
Computer
1,400.00
THE MONITOR
199-41-6298-00-989-7-99-000 PRINTING SERVICES
0210217150
Status
TEXAS BAND & ORCHESTRA
17008909 YAMAHA FLUTE-RELEVEL PADS, REPLACE KEY
199-11-6249-30-004-7-11-010 CONTRACTED MAINT & REPAIR 00592118
Amount Paid
GENERAL FUND
136357
310
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007644 TRANE PROPOSES TO PROVIDE LABOR & MAT
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
4,340.00 4,340.00 C
Computer
4,340.00 440.00 440.00 C
Computer
440.00 1,120.08 1,120.08 C
Computer
-280.86 -280.86 C
Computer
33.80 33.80 C
Computer
14,760.00 14,760.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217150 00592127
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
1941
00592536
02/03/17
77011
200136
Total Check per Fund: TREVINO CRISTELA 1-26-2017/GALVESTON, TX
199-36-6412-07-004-7-99-010 TRAVEL - STUDENTS 00592536
200136
00592537
01/19/17
3125
- ENTRY FEES FOR UI
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217157
01/19/17
00592538
GARCIA MS/3-9
3125
Total Check per Fund: UIL MUSIC REGION 15
17009262 GARCIA M.S. BAND - ENTRY FEES FOR STUD
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217159 00592514
01/19/17 1067
56464
Total Check per Fund: CASAS HOMERO JR.
17007940 T-SHIRTS FOR PERFECT ATTENDANCE STUDEN
199-11-6497-64-045-7-11-000 AWARDS & INCENTIVES 0210217167 00592250
01/19/17
74284
01/06/2017
Total Check per Fund: WATKINS JOSHUA 01/06/17-ROCKPORT, TX
199-36-6412-05-004-7-99-010 TRAVEL - STUDENTS 0210217168 00592143
01/19/17 SI1363896
6862
Total Check per Fund: WEST MUSIC COMPANY, INC.
17003781 CAMARENA ELEM. - KODALY IN THE SECOND
199-11-6399-30-121-7-11-010 GENERAL SUPPLIES 0210217170 00592220
01/19/17 002898
138150
17007200 1.5"-3MM THICK HIGH POLISH SILVER CHA
Total Check per Fund: 00592489
01/19/17
58564
LJHS THEATRE/12 17006200 LA JOYA H.S. THEATRE - LUNCH COMBOS W
199-36-6498-07-001-7-11-010 FOOD & NON-FOOD RELATED ITEMS 0210217173 00592495
01/19/17 128665
21388
1,155.00 Computer
.00 760.00 760.00 C
Computer
760.00 270.00 270.00 C
Computer
270.00 290.00 290.00 C
Computer
290.00 20.00 20.00 C
Computer
20.00 27.00 Computer
27.00 604.00 604.00 C
Computer
604.00
492 BBQ
PHS RUBIES/11/1 17005857 DINNER PALMVIEW HIGH SCHOOL DANCE STUD
199-36-6498-91-007-7-99-010 FOOD & NON-FOOD RELATED ITEMS 00592488
Computer
-1,155.00
27.00 C
Total Check per Fund: WWW.THECOINMINT.COM
199-52-6497-00-993-7-99-000 AWARDS & INCENTIVES 0210217172
8,350.00 C 23,983.02
1,155.00 C
Total Check per Fund: UIL MUSIC REGION 15
GARCIA MS ORC/2 17009263 GARCIA M.S. ORCH
8,350.00
-1,155.00 CV Computer Void
1-26-2017/GALVESTON, TX
199-36-6412-07-004-7-99-010 TRAVEL - STUDENTS 0210217156
Status Description
TRANE U.S. INC.
17007936 TRANE PROPOSES TO PROVIDE LABOR & MAT
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217152
Status
GENERAL FUND
37524546
311
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17008301 EPSON DC-21 DOCUMEMT CAMERA TO SUPPLEM
199-11-6397-00-114-7-11-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
210.00 210.00 A
ACH
210.00 210.00 A
ACH
420.00 2,495.00 2,495.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217173 00592492
Vendor Name Description
Acct Amt
01/19/17
21388
128433
00592546
01/19/17 467
18761
Total Check per Fund: ALWAYS HERE SEPTIC LTD
17007117 SLUDGE REMOVAL AND HYDRO-JETTING SERV
00592505
01/19/17 441966560
3022
Total Check per Fund: APPLE COMPUTER, INC.
17006007 MACBOOK PRO 13-INCH WITH TOUCH BAR -
199-12-6397-00-888-7-99-000 TECH EQUIP FROM 500-4999.99 00592504
4420816462
17006007 MACBOOK PRO 13-INCH WITH TOUCH BAR -
199-12-6397-00-888-7-99-000 TECH EQUIP FROM 500-4999.99 0210217178 00592251
01/19/17 1103898784
42986
Total Check per Fund: G & K SERVICES
17000058 CLEANING OF DUST MOPS FOR THE DEPARTM
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592258
1103103101
17000058 CLEANING OF DUST MOPS FOR THE DEPARTM
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592256
1103107416
17000058 CLEANING OF DUST MOPS FOR THE DEPARTM
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592255
1103111701
17000058 CLEANING OF DUST MOPS FOR THE DEPARTM
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592254
1103120300
DUST MOPS FOR MONTH OF DECEMBER
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592253
1103124610
DUST MOPS FOR MONTH OF DECEMBER
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592252
1103128906
DUST MOPS FOR MONTH OF DECEMBER
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 00592257
1103133205
DUST MOPS FOR MONTH OF DECEMBER
199-51-6299-00-957-7-99-000 MISC CONTRACTED SERVICES 0210217179 00592259
01/19/17 DEC. 2016
16627
Total Check per Fund: GALAN OLGA LYDIA
17000137 MILEAGE REIMBURSEMENT FOR 504 DIAGNOS
199-31-6411-00-867-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217181 00592263
01/19/17 DEC. 2016
21365
01/19/17
17000094 MILEAGE REIMBURSEMENT FOR ELIAS GARCIA
5415
ACH
3,579.80 2,087.50 2,087.50 A
ACH
2,087.50 1,243.40 1,243.40 A
ACH
11,904.00 11,904.00 A
ACH
13,147.40 316.40 316.40 A
ACH
308.28 308.28 A
ACH
312.29 312.29 A
ACH
233.40 233.40 A
ACH
414.23 414.23 A
ACH
317.54 317.54 A
ACH
325.80 325.80 A
ACH
239.65 239.65 A
ACH
2,467.59 77.76 77.76 A
ACH
77.76
GARCIA ELIAS
199-41-6411-00-986-7-99-000 TRAVEL - EMPLOYEES 0210217183
ACH
457.00 457.00 A
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 0210217176
Status Description
627.80 627.80 A
17007113 DELL 3000 bLACK TONER CARTIAGE (OEM#
199-11-6399-00-116-7-11-000 GENERAL SUPPLIES 0210217175
Status
ADVANTAGE IMAGING SUPPLY, INC.
17007676 DELL/23302350 HIGH YIELD USE AND RETUR
199-11-6399-00-116-7-11-000 GENERAL SUPPLIES 00592490
Amount Paid
GENERAL FUND
128622
312
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: GARCIA MARIVEL E
95.58 95.58 A 95.58
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217183 00592264
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
5415
00592294
01/19/17 4307086-0
111058
4316229-0
4307185-0
17003828 Dry Erase Blue Marker - (Integra-ITA3
4322196-0
4325560-0
4327928-0
4333497-0
198.84 A
17006557 KNEX BRIDGES (STEM BUILDING SOULUTION
4335401-0
4338315-0
00592284
4337801-0
17007839 Two Inch Expansion Fastener Folder, 2
00592409
4334023-0
17007356 Liquid Pen Style Highlighters - (Univ
199-00-1310-00-000-7-00-000 INVENTORY 00592414
4347338-0
199-21-6395-00-890-7-99-000 FURN & EQUIP COST < $500.00 00592414
4347338-0
4349155-0
4349155-0
3,523.09 A
17008711 Sharpwriter Mechanical Pencil, HB, .7
4340789-0
4337802-0
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES 00592420
4289425-0
17000618 PUNCH OPTIMA 20 ELECTRIC SV
199-34-6395-00-972-7-99-000 FURN & EQUIP <$500 UNIT COST 0210217192
01/19/17
30341
Total Check per Fund: GIGNAC & ASSOCIATES
ACH
ACH
23.99 23.99 A
ITEM #SW
ACH
1,964.16 1,964.16 A
17007840 Custom Message Stamp, Pre- Inked, N10
ACH
162.40 162.40 A
17008364 Sharpie Permanent Pens Black - (Integ
199-00-1310-00-000-7-00-000 INVENTORY 00592419
ACH
280.10 280.10 A
17008711 Recycled Two- Color Monthly Desk Calen
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES 00592418
ACH
98.00 98.00 A
199-41-6395-00-947-7-99-000 FURN & EQUIP <$500 UNIT COST 00592416
ACH
3,523.09
17008111 EPSON PREMIUM PHOTO PAPER
199-21-6399-00-890-7-99-000 GENERAL SUPPLIES 00592416
ACH
1,123.20 1,123.20 A
17008111 EPSON PREMIUM PHOTO PAPER 8.50" X 7
ACH
512.04 512.04 A
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES
ACH
1,815.30 1,815.30 A
199-00-1310-00-000-7-00-000 INVENTORY
ACH
1,630.98 1,630.98 A
17007705 3/4" x 60 YARDS MASKING TAPE 12rolls/
ACH
299.70 299.70 A
17007259 SWINGLINE COMMERCIAL ELECTRIC THREE HO
199-23-6395-00-008-7-11-000 FURNITURE & EQUIP < $500 00592286
ACH
1,178.40 1,178.40 A
17007217 NOTE 4X4 SUPR STICKY FOR J/LHS(MATERIA
199-23-6399-00-004-7-99-000 GENERAL SUPPLIES 00592291
ACH
3,983.20 198.84
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 00592292
ACH
3,582.72
3,983.20 A
17006244 BAZ MINI RETRACTABLE PEN
199-11-6497-00-048-7-11-000 AWARDS & INCENTIVES 00592276
ACH
486.88
3,582.72 A
17006038 Pocket Pencil Sharpener - (Bazic-BAZ1
199-00-1310-00-000-7-00-000 INVENTORY 00592281
569.00 A
486.88 A
17003828 Dry Erase Blue Marker - (Integra-ITA3
199-00-1310-00-000-7-00-000 INVENTORY 00592300
ACH
122.58 569.00
17003239 EASEL 6X4 RDS
199-00-1310-00-000-7-00-000 INVENTORY 00592296
122.58 122.58 A
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
199-11-6398-00-113-7-11-000 FURN & NON TECH EQUIP $500-$4,999.99 00592295
Status Description
GARCIA MARIVEL E
17000139 MILEAGE FOR SOCIAL WORKER FOR SEPTEMB
199-32-6411-00-045-7-11-000 TRAVEL - EMPLOYEES 0210217191
Status
GENERAL FUND
DEC. 2016
313
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
280.10 280.10 A 21,712.10
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
00592421
Acct Amt
22
30341
00592422
01/19/17 89302
86487
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
89324
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00592424
89328
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 0210217196 00592425
01/19/17 DEC. 2016
21847
Total Check per Fund: GOMEZ ROSEMARY J.
17000624 TRAVEL FOR THE MONTH OF SEPT. 2016 - A
199-23-6411-01-115-7-99-000 TRAVEL - EMPLOYEES 00592426
NOV. 2016
17000624 TRAVEL FOR THE MONTH OF SEPT. 2016 - A
199-23-6411-01-115-7-99-000 TRAVEL - EMPLOYEES 0210217199 00592428
01/19/17
39381
3000
Total Check per Fund: GONZALEZ YADIRA TX EDUC. THEATRE ASSOC. CONF
199-36-6412-07-007-7-11-010 TRAVEL - STUDENTS 0210217201 00592319
01/19/17 0000185
100765
Total Check per Fund: GUERRERO'S SECURITY TRAINING
17008393 COLLEGE AND CAREER CENTER CRIMINAL JU
199-11-6499-00-015-7-11-000 MISC OPERATING COSTS Total Check per Fund: 0210217204 00592328
01/19/17 680139
66885
00592331
01/19/17
17008196 NEED TO PICK UP USED OIL ON BOTH TRAN
DEC. 2016
45314
Total Check per Fund: HERNANDEZ MARIA DE JESUS
17000099 MILEAGE FOR CAMPUS SECRETARY, MARIA D
199-23-6411-00-117-7-99-000 TRAVEL - EMPLOYEE 0210217208 00592333
01/19/17 DEC. 2016
20678
Total Check per Fund: HERNANDEZ ROSA I.
17001308 MILEAGE FOR ROSA I. HERNANDEZ PARENT
199-61-6411-00-116-7-99-000 TRAVEL - EMPLOYEES 0210217211 00592350
01/19/17 1100514585
57002
Total Check per Fund: INSIGHT PUBLIC SECTORS, INC.
17004890 DELL OPTIPLEX 7040 SMALL FORM FACTOR D
199-11-6397-00-021-7-11-000 TECH EQUIP $500-$4999 0210217214
01/19/17
5674
ACH
8,197.91 10,943.84 10,943.84 A
ACH
12,214.77 12,214.77 A
ACH
12,548.70 12,548.70 A
ACH
35,707.31 37.26 37.26 A
ACH
54.54 54.54 A
ACH
91.80 1,244.65 1,244.65 A
ACH
1,244.65 480.00 480.00 A
ACH
480.00
H & H OIL
199-34-6299-00-972-7-99-000 MISC CONTRACTED SERVICES 0210217206
Status Description
8,197.91 8,197.91 A
Total Check per Fund: GOLD STAR PETROLEUM, INC.
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00592423
Status
GIGNAC & ASSOCIATES
17005761 ADDITIONAL ARCHITECTURAL FEES FOR THE
199-81-6629-00-960-7-99-051 NATATORIUM 0210217193
Amount Paid
GENERAL FUND 01/19/17
0210217192
314
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: J.V. EQUIPMENT
45.00 45.00 A
ACH
45.00 57.78 57.78 A
ACH
57.78 145.80 145.80 A
ACH
145.80 522.00 522.00 A 522.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217214 00592452
Vendor Name Description
Acct Amt
01/19/17
5674
00592471
01/19/17 05977255
4517
Total Check per Fund: J.W. PEPPER & SON INC.
17000408 LA PALOMA-SHEET MUSIC FOR PALMVIEW HIG
199-11-6399-05-007-7-11-010 GENERAL SUPPLIES 00592470
05978014
17000408 LA PALOMA-SHEET MUSIC FOR PALMVIEW HIG
199-11-6399-05-007-7-11-010 GENERAL SUPPLIES 00592469
05978020
17000408 LA PALOMA-SHEET MUSIC FOR PALMVIEW HIG
199-11-6399-05-007-7-11-010 GENERAL SUPPLIES 00592468
05978796
17000408 LA PALOMA-SHEET MUSIC FOR PALMVIEW HIG
199-11-6399-05-007-7-11-010 GENERAL SUPPLIES 00592467
05A01456
17003100 ALL I WANT FOR CHRISTMAS IS YOU-ALL I
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592466
05A06077
17003100 ALL I WANT FOR CHRISTMAS IS YOU-ALL I
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592465
05978385
17001644 PETERSON TUNER CLIP ON - ALL ITEMS AR
199-11-6399-08-048-7-11-010 GENERAL SUPPLIES 00592464
05A02322
17001644 PETERSON TUNER CLIP ON - ALL ITEMS AR
199-11-6399-08-048-7-11-010 GENERAL SUPPLIES 00592463
05A04107
17001644 PETERSON TUNER CLIP ON - ALL ITEMS AR
199-11-6399-08-048-7-11-010 GENERAL SUPPLIES 00592462
05A12152
17001644 PETERSON TUNER CLIP ON - ALL ITEMS AR
199-11-6399-08-048-7-11-010 GENERAL SUPPLIES 00592461
05A01451
17003101 BROKEN BOW-ITEMS FOR LORENZO DE ZAVALA
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592460
05A02452
17003101 BROKEN BOW-ITEMS FOR LORENZO DE ZAVALA
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592459
05A00447
17001313 VOCAL CONNECTIONS DIRECTOR'S KIT-TO B
199-11-6399-05-048-7-11-010 GENERAL SUPPLIES 00592458
05A10494
17005941 PASO FLAMENCO SCORE-ALL ITEMS ARE SHE
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592457
05A12747
17005941 PASO FLAMENCO SCORE-ALL ITEMS ARE SHE
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592456
05A14513
17005941 PASO FLAMENCO SCORE-ALL ITEMS ARE SHE
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592455
05977226
17001043 ADAGIO FOR ORGAN, TOCCATA IN C MAJOR-A
199-11-6399-08-004-7-11-010 GENERAL SUPPLIES 00592454
05A03348
17001043 ADAGIO FOR ORGAN, TOCCATA IN C MAJOR-A
199-11-6399-08-004-7-11-010 GENERAL SUPPLIES 00592453
Status
Status Description
J.V. EQUIPMENT
17008822 36-Volt Forklift Battery for Asset Man
199-41-6319-00-975-7-99-000 SUPPLIES/MAINT & OPERATIONS 0210217215
Amount Paid
GENERAL FUND
01E6012950
05A01613
315
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001043 ADAGIO FOR ORGAN, TOCCATA IN C MAJOR-A
6,680.00 6,680.00 A
ACH
6,680.00 48.35 48.35 A
ACH
41.83 41.83 A
ACH
43.44 43.44 A
ACH
78.89 78.89 A
ACH
195.99 195.99 A
ACH
145.00 145.00 A
ACH
617.82 617.82 A
ACH
303.93 303.93 A
ACH
173.70 173.70 A
ACH
269.55 269.55 A
ACH
40.99 40.99 A
ACH
62.00 62.00 A
ACH
70.94 70.94 A
ACH
54.99 54.99 A
ACH
60.00 60.00 A
ACH
34.00 34.00 A
ACH
239.15 239.15 A
ACH
27.00 27.00 A 200.78
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217215 00592453
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
4517
05A16707
00592363
01/19/17 357749
11982
Total Check per Fund: JOE W. FLY CO., INC.
17008438 16 X 25 X 1 MERV 8 PLEATED FILTERS (A
358325
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217217 00592364
01/19/17 2024826
12513
17008654 B75-909 GSX140361 3 T R410A A/C CONDEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217219 00592366
01/19/17 1427533
6897
17001906 Item#972 Paw Perfect Attendance Certi
00592518
1133
16996
01/19/17
17003615 TURKEY STICKERS
00592630
01-1130587-00
107034
ALL ITEMS ARE INCENT
Total Check per Fund: MATTS BUILDING MATERIALS INC.
17008446 7558 4 X 8 X 5/8 FIRE CODE SHEETROCK
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217226 00592644
01/19/17 261280
1256
Total Check per Fund: MELHART MUSIC CENTER
17006283 LA JOYA H.S. MARIACHI - GUITAR REPAIR
199-11-6249-06-001-7-11-010 CONTRACTED SERVICES 00592643
2849613
17007612 MARACAS 1 PAIR-ITEMS TO BE USED BY LOR
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00592642
2820389
17004174 BAJO SEXTO SET
199-11-6395-06-007-7-11-010 FURN & EQUIP <$500 UNIT COST 00592641
2826179
17004174 BAJO SEXTO SET
199-11-6395-06-007-7-11-010 FURN & EQUIP <$500 UNIT COST 00592640
2820389
17004174 PALMVIEW H.S. MARIACHI - GUITAR CASES
199-11-6399-06-007-7-11-010 GENERAL SUPPLIES 00592645
2829497
17004174 PALMVIEW H.S. MARIACHI - GUITAR CASES
199-11-6399-06-007-7-11-010 GENERAL SUPPLIES 0210217229
01/19/17
1282
3,416.00 ACH
3,416.00 420.00 ACH
420.00
LAMAC INC.
199-11-6497-00-121-7-11-000 AWARDS & INCENTIVES 0210217224
ACH
3,073.71
420.00 A
Total Check per Fund: 01/19/17
ACH
1,128.43
3,416.00 A
Total Check per Fund: JONES SCHOOL SUPPLY CO., INC.
199-11-6497-00-118-7-11-000 AWARDS & INCENTIVES 0210217222
1,945.28
1,128.43 A
Total Check per Fund: JOHNSTONE SUPPLY- PHARR
ACH
2,713.00
1,945.28 A
17008439 16 X 20 X 2 MERV 8 PLEATED FILTERS (A
ACH
4.65 4.65 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592473
200.78 200.78 A
17001043 ADAGIO FOR ORGAN, TOCCATA IN C MAJOR-A
199-11-6399-08-004-7-11-010 GENERAL SUPPLIES 0210217216
Status Description
J.W. PEPPER & SON INC.
17001043 ADAGIO FOR ORGAN, TOCCATA IN C MAJOR-A
199-11-6399-08-004-7-11-010 GENERAL SUPPLIES 00592472
Status
GENERAL FUND
05A01613
316
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MISSION AUTO ELECTRIC, INC.
1,671.61 1,671.61 A
ACH
1,671.61 1,108.70 1,108.70 A
ACH
1,108.70 60.00 60.00 A
ACH
593.13 593.13 A
ACH
268.40 268.40 A
ACH
54.00 54.00 A
ACH
1,124.16 1,124.16 A
ACH
98.65 98.65 A 2,198.34
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217229 00592650
Vendor Name Description
Acct Amt
01/19/17
1282
682900
17007725 NA508ST2900 5' X 8' LD RAMP WATER SEA
199-51-6398-00-956-7-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999.99 0210217231 00592657
01/19/17 T440912
17235
Total Check per Fund: NORCOSTCO INC.
17006289 ROSCO GOBO BARS - LIGHT FIXTURE
199-36-6399-18-007-7-99-010 GENERAL SUPPLIES 0210217232 00592677
01/19/17 2143-343853
21748
Total Check per Fund: O'REILLY AUTO PARTS
17006488 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592678
2143-343855
17006488 ASAP OPEN PARTS FROM NOV 28 THRU DEC
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592675
1422-118256
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592676
1422-118232
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592674
1422-118329
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592658
1422-117507
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592659
1422-118222
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592660
1422-118358
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592661
1422-119059
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592662
1422-119084
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592663
1422-119118
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592664
1422-119113
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592665
1422-119190
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592666
1422-119119
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592667
1422-119331
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592668
Status
Status Description
MISSION AUTO ELECTRIC, INC.
17008665 ECH 90014 3MMIDX5MMOD FUEL LINE 25' (G
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00592651
Amount Paid
GENERAL FUND
686754
2143-349244
317
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
56.68 56.68 A
ACH
1,495.00 1,495.00 A
ACH
1,551.68 2,072.90 2,072.90 A
ACH
2,072.90 -59.50 -59.50 A
ACH
59.50 59.50 A
ACH
1.99 1.99 A
ACH
364.16 364.16 A
ACH
233.39 233.39 A
ACH
364.16 364.16 A
ACH
-364.16 -364.16 A
ACH
71.72 71.72 A
ACH
115.50 115.50 A
ACH
73.08 73.08 A
ACH
79.18 79.18 A
ACH
18.07 18.07 A
ACH
114.18 114.18 A
ACH
412.40 412.40 A
ACH
98.14 98.14 A 47.80
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217232 00592668
Vendor Name Description
Acct Amt
01/19/17
21748
2143-352301
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592670
2143-352305
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592671
2143-352587
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592672
2143-2673656
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592673
2143-291191
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS Total Check per Fund: 0210217233 00592679
01/19/17 DEC. 2016
17647
00592687
17001109 MILEAGE FOR THE MONTH OF SEPTEMBER 20
01/19/17
1434
Total Check per Fund: PETE'S MUFFLER SHOP
9221/01-12-2017 17008563 STATE INSPECTION FOR CUSTODIAL TRUCK
199-51-6249-01-957-7-99-000 CONTRACTED MAINT & REPAIR 0210217238 00592691
01/19/17
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
30002/12-03-201 17006947 PIZZA FOR LUNCH FOR UIL STUDENTS - UI
199-36-6498-40-102-7-99-000 FOOD AND NON FOOD COSTS 00592692
20004/01-14-201 17008934 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00592694
30036/01-12-201 17008676 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00592693
20018/12-19-201 17007624 MEALS FOR 9TH GRADE STUDENTS VISITING
199-11-6412-00-022-7-11-000 TRAVEL -STUDENTS 0210217239 00592688
01/19/17 64595
84689
Total Check per Fund: PINNACLE MEDICAL MANAGEMENT
17000009 ON SITE COLLECTION DOT PANEL 5 LABRATO
199-34-6219-01-972-7-99-000 PROFESSIONAL SERVICES 00592690
65658
17000068 DRUG SCREENING FOR CUSTODIAL DEPARTMEN
199-51-6219-00-957-7-99-000 PROFESSIONAL SERVICES 00592689
65725
17008205 ON SITE COLLECTION DOT PANEL 5 LABRATO
199-34-6219-01-972-7-99-000 PROFESSIONAL SERVICES 0210217240 00592846
Status Description
01/19/17 05660394
4918
47.80 47.80 A
ACH
22.63 22.63 A
ACH
10.49 10.49 A
ACH
25.86 25.86 A
ACH
-29.77 -29.77 A
ACH
65.58 65.58 A
ACH
1,724.40
OCHOA BERTHA
199-21-6411-00-889-7-99-000 TRAVEL - EMPLOYEES 0210217237
Status
O'REILLY AUTO PARTS
17007880 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00592669
Amount Paid
GENERAL FUND
2143-349244
318
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: POSITIVE PROMOTIONS
17008140 1/2" SILICONE BRACELETS
199-11-6497-00-110-7-11-000 AWARDS & INCENTIVES
27.54 27.54 A
ACH
27.54 7.00 7.00 A
ACH
7.00 272.58 272.58 A
ACH
33.95 33.95 A
ACH
47.53 47.53 A
ACH
675.00 675.00 A
ACH
1,029.06 60.00 60.00 A
ACH
38.00 38.00 A
ACH
75.00 75.00 A
ACH
173.00 544.90 544.90 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217240 00592847
Vendor Name Description
Acct Amt
01/19/17
4918
0210217241
01/19/17
00592699
S1336169-002
7509
Total Check per Fund: PYRAMID SCHOOL PRODUCTS
17007734 Chart Tablets 24 in. x 16 in. - (Pacon
199-00-1310-00-000-7-00-000 INVENTORY
00592530
01/19/17 DEC. 2016
21594
Total Check per Fund: RODRIGUEZ JUANA MARIA
17000109 MILAGE REIMBURSEMENT FOR PARETN LIAISO
199-61-6411-00-111-7-11-000 TRAVEL - EMPLOYEE ONLY 0210217245 00592534
01/19/17 OCT. 2016
17213
Total Check per Fund: RODRIGUEZ YOLANDA
17000071 MILEAGE FOR YOLANDA RODRIGUEZ VENDOR
199-23-6411-00-114-7-99-000 TRAVEL - EMPLOYEES 00592533
NOV. 2016
17000071 MILEAGE FOR YOLANDA RODRIGUEZ VENDOR
199-23-6411-00-114-7-99-000 TRAVEL - EMPLOYEES 00592532
DEC. 2016
17000071 MILEAGE FOR YOLANDA RODRIGUEZ VENDOR
199-23-6411-00-114-7-99-000 TRAVEL - EMPLOYEES 0210217246 00592074
01/19/17 72997P
14992
Total Check per Fund: SANTEX TRUCK CENTER, LTD
17008283 SEAT NATIO
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217247 00592103
01/19/17 20420
134465
Total Check per Fund: STARR TELECOMM
17008214 NEED TO REPLACE BAD POWER SUPPLY IN TH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00592227
20301
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592228
20302
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592229
20303
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592230
20304
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592231
20305
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592232
20306
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592233
20307
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592234
Status
Status Description
POSITIVE PROMOTIONS
17008206 1/2" SILICONE BRACELETS (PERFECT ATTEN
199-11-6497-64-110-7-11-000 AWARDS & INCENTIVES
0210217244
Amount Paid
GENERAL FUND
05660393
20308
319
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES
1,504.75 1,504.75 A
ACH
2,049.65 3,072.00 3,072.00 A
ACH
3,072.00 81.54 81.54 A
ACH
81.54 19.98 19.98 A
ACH
23.76 23.76 A
ACH
24.84 24.84 A
ACH
68.58 2,483.36 2,483.36 A
ACH
2,483.36 675.00 675.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217247 00592235
Vendor Name Description
Acct Amt
01/19/17
134465
20310
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592237
20311
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592238
20312
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592239
20314
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592240
20315
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592241
20316
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592242
20317
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592243
20318
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592244
20319
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592245
20320
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592246
20321
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592226
20322
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592225
20417
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592224
20418
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592236
20419
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 0210217248
01/19/17
00592110
EU-WWW102-256
12058
Total Check per Fund: TEXAS A&M ENGINEERING EXTENSION SERVICE
17008910 REGISTRATION FEE FOR ROY FLORES=17562
199-51-6411-00-956-7-99-000 TRAVEL - EMPLOYEES 0210217254 00592626
01/19/17 1C106.16
124370
Total Check per Fund: VME ENGINEERING LLC
15001613 ENGINEERING FEES TO OVERSEE THE SPORT
199-81-6629-00-960-7-99-051 NATATORIUM 0210217257
Status
Status Description
STARR TELECOMM
17000774 DISTRICT WIDE TELEPHONE REPAIR SERVIC
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 00592223
Amount Paid
GENERAL FUND
20309
01/19/17
55816
320
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: GUADALUPE E. MENDIOLA
50.00 50.00 A
ACH
100.00 100.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
100.00 100.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
50.00 50.00 A
ACH
100.00 100.00 A
ACH
50.00 50.00 A
ACH
100.00 100.00 A
ACH
250.00 250.00 A
ACH
500.00 500.00 A
ACH
200.00 200.00 A
ACH
50.00 50.00 A
ACH
100.00 100.00 A
ACH
2,925.00 600.00 600.00 A
ACH
600.00 23,850.55 23,850.55 A 23,850.55
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217257 00592046
Vendor Name Description
Acct Amt
55816
00591940
01/19/17 95035
5208
Total Check per Fund: COMMERCIAL BILLING SERVICE
17007021 CHECK ENGINE WILL NO START ON UNIT 33
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591941
95747
17008742 CHECK CRANKING SYSTEM ON UNIT 333
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591942
94633
17008524 ENGINE WILL NOT EGEN ON UNIT 456
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591943
95760
17008740 RECALIBRATE FUEL INJECTION CONTROL MOD
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591939
95504
17008525 TRANSMISSION DIDNT WANT TO SHIFT ON UN
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591944
95471
17007969 R&R DIFF, AXLE SHAFTS , BEARINGS, CUP
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591945
95486
17008526 TROUBLE SHOOT ENGINE CODES ON UNIT 57
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591931
95718
17008522 CHECK FOR LOW POWER ON UNIT 400 RT.40
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591934
95387
17007292 TROUBLESHOOT FOR COOLANT LEAK ON UNIT
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591935
95378
17007019 REPLACE SENSOR ON UNIT 369 RT.48
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591936
95250
17007128 LONG BLOCK ENGINE ON UNIT 440 RT.71
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591937
95326
17007293 TROUBLESHOOT LOW POWER ON UNIT 420.
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591938
94966
17007024 CHECK ENGINE SHUTS DOWN UNIT 396
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591932
95048
17007022 TROUBLE SHOOT BUS OVER HEATING ON UNI
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00591933
94692
17007020 TROUBLE SHOOT LOW POWER ON UNIT 489 R
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217263 00591824
01/19/17 INV0741594
15767
Total Check per Fund: BRIGGS EQUIPMENT
17007553 RIDE ON TRENCHER SET AT 6" (2 WEEKS)
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00591823
INV0706092
RENTAL OF DOZER 79-79 HORSEPOWER FOR
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 0210217269
Status
Status Description
GUADALUPE E. MENDIOLA
ZAPATA-17006850 17006850 Chicken Corden Blue, Green Spahetti, M
199-23-6498-00-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217262
Amount Paid
GENERAL FUND 01/19/17
01/19/17
333
321
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: COMMERCIAL BILLING SERVICE
700.00 700.00 C
Computer
700.00 1,897.51 1,897.51 C
Computer
440.00 440.00 C
Computer
3,351.50 3,351.50 C
Computer
1,252.93 1,252.93 C
Computer
515.00 515.00 C
Computer
6,950.00 6,950.00 C
Computer
590.00 590.00 C
Computer
1,801.00 1,801.00 C
Computer
521.00 521.00 C
Computer
467.00 467.00 C
Computer
14,950.00 14,950.00 C
Computer
3,025.00 3,025.00 C
Computer
2,893.47 2,893.47 C
Computer
887.50 887.50 C
Computer
460.07 460.07 C
Computer
40,001.98 1,913.00 1,913.00 C
Computer
4,756.26 4,756.26 C 6,669.26
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217269 00591946
Vendor Name Description
Acct Amt
01/19/17
333
05 877288
17007789 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591950
05 877302
17007789 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591949
05 876776
17007789 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591947
05 877696
17008707 F FAN HD 12V
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591948
05 877695
00591828
01/19/17 DEC. 2016
126268
Total Check per Fund: CANIZALEZ YULIANA
17000972 MILEAGE FOR PARENT EDUCATOR YULIANA CA
199-61-6411-00-121-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217272 00591830
01/19/17 CI10542823
91782
00591834
01/19/17
17005889 Reading Materials see attached list
B002551414
20997
Total Check per Fund: CARRIER CORPORATION
17006437 SCOPE OF WORK FOR RTU 1 (M;38AKS044-6
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217277
01/19/17
00591837
S2827051.001
20778
Total Check per Fund: CC DISTRIBUTORS, INC.
17008330 Toilet Tissue Paper Double Ply 36 Rol
199-00-1310-00-000-7-00-000 INVENTORY 00591836
S2827051.002
00591890
01/19/17 GGT9550
20155
GFX0501
17007563 TRIPP LITE MINI DISPLAY PORT TO VGA AD
GFX0501
17007343 DYMO LABELWRITER 450 TURBO MONOCHROME
17007343 OTTERBOX DEFENDER SERIES- PROTECTIVE
199-51-6399-00-957-7-99-000 GENERAL SUPPLIES 00591892
GHW8148
GMB3004
Computer
92.48 92.48 C
Computer
58.18 58.18 C
Computer
613.80 613.80 C
1,468.98 C
Computer
Computer
4,427.49 40.50 40.50 C
Computer
40.50
17008332 3860370
1,000.00 1,000.00 C
DELL SMART PRINTER S2810dn
199-23-6397-00-124-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
Computer
1,000.00 9,895.00 9,895.00 C
Computer
9,895.00 6,573.24 Computer
1,908.36 Computer
8,481.60 548.50 Computer
87.29 87.29 C
Computer
336.25 336.25 C
17007343 DYMO LABELWRITER 450 TURBO MONOCHROME
199-51-6395-00-957-7-99-000 FURN & EQUIP <$500 UNIT COST 00591893
497.76 C
548.50 C
199-51-6395-00-957-7-99-000 FURN & EQUIP <$500 UNIT COST 00591891
Computer
497.76
1,908.36 C
Total Check per Fund: CDW GOVERNMENT, INC.
199-11-6399-00-113-7-11-000 GENERAL SUPPLIES 00591891
1,696.29 C
6,573.24 C
17008330 Toilet Tissue Paper Double Ply 36 Rol
199-00-1310-00-000-7-00-000 INVENTORY 0210217278
1,696.29
CAPSTONE
199-12-6329-00-045-7-11-000 READING MATERIALS 0210217275
Status Description
1,468.98
17008708 WIPER BLADE
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217270
Status
COMMERCIAL BILLING SERVICE
17007683 ENGINE DEGREASER
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591951
Amount Paid
GENERAL FUND
05 877194
322
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
111.26 111.26 C
Computer
469.20 469.20 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217278 00591894
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
20155
DELL COLOR PRINTER C1760nw
FTF7667
17004118 DELL COLOR PRINTER C 1760NM
--MFG PAR
199-23-6397-00-107-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217279 00591901
01/19/17 4437-616605
2088
Total Check per Fund: CED-CREDIT OFFICE
17007205 (BLK 6258) 5/8X8 CU BOND GROUND ROD
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591902
4437-616538
17007205 (BLK 6258) 5/8X8 CU BOND GROUND ROD
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217280
01/19/17
00591909
S2222255.001
400
Total Check per Fund: CENTRAL PLUMBING & ELECTRIC
17008620 CH DG221URB 2P-NF 30A N-3 DISCONNECT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591908
S2204728.001
17007568 VRCTL8SC BY-LEVEL S/STEEL VEDAL PROOF
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591907
S2207042.001
17007687 32888 10123 110-123 1/2 AGA GAS BALL V
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591910
S2214608.001
17008409 RE-1-20U6-1NAL 120V NEW 20 GALLON WAT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591904
S2215802.001
17008408 38753 31008 1 QT PVC HEAVY DUTY CEMEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591905
S2204415.001
17007569 EWCA8S-1Z 8 GAL. S STEEL FOUNTAIN (**
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00591906
S2218540.001
17008619 620V 20A 2-P 3-W PVC PLUG
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217281 00591911
01/19/17 638557/1
10162
Total Check per Fund: CHALK'S TRUCK PARTS, INC.
17007804 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217282 00591913
01/19/17
134120
4811
Total Check per Fund: CHAVEZ GUADALUPE STEM LEADERSHIP MEETING IN EDINBURG
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 0210217284 00591918
01/19/17 SEPT. 2016
114944
Total Check per Fund: CHAVEZ NELLIE CANO
17000585 MILEAGE REIMBURSEMENT FOR NELLIE CANO
199-32-6411-00-001-7-99-000 TRAVEL - EMPLOYEES 00591917
OCT. 2016
17000585 MILEAGE REIMBURSEMENT FOR NELLIE CANO
199-32-6411-00-001-7-99-000 TRAVEL - EMPLOYEES 00591916
Status Description
CDW GOVERNMENT, INC.
17008331 3860119
199-23-6397-00-124-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00591900
Status
GENERAL FUND
GMB4412
NOV. 2016
323
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000585 MILEAGE REIMBURSEMENT FOR NELLIE CANO
199-32-6411-00-001-7-99-000 TRAVEL - EMPLOYEES
845.55 845.55 C
Computer
570.86 570.86 C
Computer
2,968.91 1,603.00 1,603.00 C
Computer
2,227.85 2,227.85 C
Computer
3,830.85 256.68 256.68 C
Computer
1,084.40 1,084.40 C
Computer
228.05 228.05 C
Computer
359.27 359.27 C
Computer
484.55 484.55 C
Computer
870.58 870.58 C
Computer
146.39 146.39 C
Computer
3,429.92 722.00 722.00 C
Computer
722.00 12.96 12.96 C
Computer
12.96 66.96 66.96 C
Computer
35.10 35.10 C
Computer
96.66 96.66 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210217284 00591915
Vendor Name
PO No
Description
Acct Amt
01/19/17
114944
Total Check per Fund: 00591921
01/19/17 0183716632
23200
00591927
17007688 CHIC-FIL-A SANDWICH (INCENTIVE FOR TEA
01/19/17 128782
20052
Total Check per Fund: CHILDREN'S PLUS,INC.
17000589 Reading Materials see attached list
199-12-6329-00-127-7-99-000 READING MATERIALS 00591922
131399
17006726 Reading Materials see attached list
199-12-6329-00-044-7-99-000 READING MATERIALS 00591926
130577
17006224 Reading Materials see attached list
199-12-6329-00-004-7-99-000 READING MATERIALS 00591925
130568
17006108 Reading Materials see attached list
199-12-6329-00-104-7-99-000 READING MATERIALS 00591923
130566
17006225 Reading Materials see attached list
199-12-6329-00-045-7-99-000 READING MATERIALS 0210217289 00592058
01/19/17 EA70051598
55441
Total Check per Fund: THE COLLEGE BOARD
17007574 ITEM #13009557-TSI TEST UNITS (SAME A
199-11-6339-00-010-7-11-000 TESTING MATERIALS Total Check per Fund: 0210217292 00591964
01/19/17 00010306
13478
00591967
01/19/17
17006880 SCREEN REPAIR FOR IPHONE 6 REGULAR
PYMT NO. 9
14604
Total Check per Fund: D. WILSON CONSTRUCTION COMPANY
16018506 CONTRACTOR'S FEE FOR THE CONSTRUCTION
199-81-6629-00-960-7-99-051 NATATORIUM 0210217296
01/19/17
00591976
X103105154:01
116653
Total Check per Fund: DOGGETT FREIGHTLINER SOUTH TEXAS
17005098 HUBCAP REMOV 10 33
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591982
X103110750:01
17007210 IHC HEADLAMP ASSEMBLY LH
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591977
X103111138:01
17007813 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591978
X103112190:01
17007813 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00591979
X103111172:01
69.66 69.66 C
Computer
268.38 205.20 205.20 C
Computer
205.20 2,000.00 2,000.00 C
Computer
2,333.28 2,333.28 C
Computer
1,388.56 1,388.56 C
Computer
444.94 444.94 C
Computer
395.39 395.39 C
Computer
6,562.17 1,700.00 1,700.00 C
Computer
1,700.00
CRC
199-51-6249-01-957-7-99-000 CONTRACTED MAINT & REPAIR 0210217294
Status Description
CHICK-FIL-A
199-23-6498-00-001-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217286
Status
CHAVEZ NELLIE CANO
17000585 MILEAGE REIMBURSEMENT FOR NELLIE CANO
199-32-6411-00-001-7-99-000 TRAVEL - EMPLOYEES 0210217285
Amount Paid
GENERAL FUND
DEC. 2016
324
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007813 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
89.00 89.00 C
Computer
89.00 1,156,428.54 1,156,428.54 C
Computer
1,156,428.54 2,091.30 2,091.30 C
Computer
4,812.36 4,812.36 C
Computer
296.89 296.89 C
Computer
75.22 75.22 C
Computer
58.82 58.82 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
Acct Amt
01/19/17
00591980
X103112286:01
116653
X103112828:01
01/19/17 382760
88935
380467
-698.64 C
Total Check per Fund: DOMINO'S PIZZA
17007529 EACH LARGE PIZZA TO BE USED FOR COLLEG
382700
380468
17007044 PIZZA'S FOR SATURDAY TUTORING -
379627
17005514 PIZZA'S FOR STUDENTS ATTENDING THE END
375820
17005512 PIZZA'S FOR STUDENTS ATTENDING THE END
0210217298 00591993
01/19/17 5-2016-DSMS
51861
Total Check per Fund: DR. JAVIER SAENZ MIDDLE SCHOOL
17008979 MEMBERSHIP FEE FOR UIL MIDDLE SCHOOL
0210217300 00591995
01/19/17 1404991
11094
Total Check per Fund: DRAMATIC PUBLISHING
00591996
01/19/17 SO_00000439967
620
00591997
01/19/17 10382
17008793 UIL LICENSE FOR ANNA IN THE TROPICS FO
38431
17003597 INCENTIVE SHIRTS FOR NEW STAFF MEMBER
00592003
01/19/17 IN-2017-4
13783
17006900 CONSULTANT WILL PROVIDE STAFF DEVELOPM
00592006
01/19/17 964
42307
Total Check per Fund: EXCLUSIVE DECALS & SCREENPRINTING
17005429 STUDENT DRI FIT SHIRTS
199-36-6497-40-121-7-99-000 AWARDS AND INCENTIVES
FOR UIL STUDEN
Computer
80.00 1,058.74 Computer
1,058.74 1,500.00 1,500.00 C
199-13-6291-00-867-7-99-000 CONSULTANT SERVICES 0210217306
80.00
1,058.74 C
Total Check per Fund: EDUCATIONAL RIGHTS INFORMATION AND
Computer
60.00
80.00 C
Total Check per Fund: DURATEX APPAREL
199-23-6497-00-044-7-99-000 AWARDS & INCENTIVES 0210217305
Computer
500.00
60.00 C
Total Check per Fund: DRAMATISTS PLAY SERVICE, INC.
199-36-6399-40-007-7-99-000 GENERAL SUPPLIES 0210217302
500.00
60.00
17005427 ROYALTY FEE
199-36-6499-07-042-7-99-010 MISC OPERATING COSTS 0210217301
Computer
505.75
500.00 C
199-36-6495-40-043-7-99-000 MEMBERSHIP FEES/DUES
Computer
74.75 74.75 C
199-11-6498-00-001-7-11-000 FOOD & NON-FOOD RELATED ITEMS
Computer
74.75 74.75 C
199-11-6498-00-001-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00591983
Computer
92.75 92.75 C
199-11-6498-00-001-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00591984
Computer
50.75 50.75 C
DEC.
Computer
164.75 164.75 C
17007695 LARGE PIZZA-DINNER FOR LORENZO DE ZAVA
199-36-6498-08-041-7-11-010 FOOD AND NON FOOD RELATED COSTS 00591988
Computer
48.00 48.00 C
17006373 PIZZA FOR UIL MEET ON DECEMBER 3, 201
199-36-6498-00-120-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00591985
Computer
-698.64
7,334.59
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00591986
698.64 698.64 C
17007813 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
00591987
Status Description
DOGGETT FREIGHTLINER SOUTH TEXAS
17007813 ASAP OPEN PARTS FROM DEC 26 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
0210217297
Status
GENERAL FUND
0210217296
00591981
FPREG02B
A/P Detail Check Register By Fund Vendor No
325
Computer
1,500.00 1,280.00 1,280.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217306 00592007
Vendor Name Description
Acct Amt
01/19/17
42307
964
17008247 RED KAP NAVY BLUE JACKETS FOR MECHANI
199-34-6497-00-972-7-99-000 AWARDS & INCENTIVES 00592004
965
17008797 WELLNESS SHIRTS FOR BUS DRIVERS (S,M,
199-34-6497-00-972-7-99-000 AWARDS & INCENTIVES Total Check per Fund: 0210217307 00592015
01/19/17 NP49244342
137944
00592013
17006033 FUEL USAGE FOR TRANSPORTATION DEPT.DE
01/19/17 DEC. 2016
57452
Total Check per Fund: FLORES NORMA LINDA
17000091 MILAGE REIMBURSEMENT FOR SUPERVISOR'S
199-23-6411-00-111-7-99-000 TRAVEL - EMPLOYEES 0210217310 00592014
01/19/17 14677
4849
Total Check per Fund: FLORES NURSERY & FLORAL
17003825 ASST. CLEAR BASKETS FOR J/LHS(STUDENT
199-11-6497-00-004-7-11-000 AWARDS & INCENTIVES 0210217324 00592019
01/19/17 001157
007584
00592044
01/19/17 004854
005850
17006419 KELLOGS POPTARTS VALUE PACK 16CT FOR U
007258
005744
003361
006279
17007318 STARBUCKS VANILLA LIGHT CHILLED COFFE
17005996 COFFEE FOR PARENTS MEETING IN NOVEMBER
17007752 ASSORTED SOFT DRINKS (DEC. 14TH - FOR
17006195 ASSORTED SMALL 8" PIES (INCENTIVE FOR
17007659 ICE CHESTS
199-23-6497-00-001-7-99-000 AWARDS & INCENTIVES 00592027
008124
17008064 FOOTBALLS - AWARDS AND INCENTIVES FOR
199-11-6497-01-008-7-11-000 AWARDS AND INCENTIVES 00592028
008125
124.32 C
17008067 PEN DRIVES - AWARDS AND INCENTIVES FOR
199-31-6497-00-008-7-24-000 AWARDS AND INCENTIVES
Computer
124.32 10.80 10.80 C
Computer
10.80 650.00 650.00 C
69.44 C
Computer
Computer
65.24 65.24 C
116.64
199-11-6498-00-001-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00592024
Computer
124.32
17007660 BOTTLED WATER ITEMS NEEDED FOR COUNSE
199-23-6498-00-001-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00592023
446.00 C 2,828.00
134.68
199-61-6498-00-120-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00592045
Computer
446.00
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
199-23-6498-00-120-7-99-000 FOOD AND NON FOOD COSTS 00592021
652.00 C
69.44
55891
Computer
652.00
17005841 100% Capri juices for UIL students go
199-31-6498-00-867-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00592022
450.00 C
650.00
199-36-6498-00-120-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217325
450.00
Total Check per Fund: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
21617
199-36-6498-40-118-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00592020
Status Description
FUELMAN
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 0210217309
Status
EXCLUSIVE DECALS & SCREENPRINTING
17005151 Wellness T-Shirt for C & I staff Nov.
199-21-6497-00-845-7-99-000 AWARDS & INCENTIVES 00592005
Amount Paid
GENERAL FUND
963
326
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
116.64 C
Computer
Computer
242.36 242.36 C
Computer
113.46 113.46 C
Computer
78.00 78.00 C
Computer
578.24 578.24 C
Computer
146.67 146.67 C
Computer
227.88 227.88 C
Computer
699.02 699.02 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217325 00592031
Vendor Name Description
Acct Amt
01/19/17
55891
002265
17004737 THE FOLLOWING WILL BE GIVEN AT TEACHER
199-13-6498-57-832-7-30-000 FOOD AND NON FOOD COSTS 00592033
006117
17004737 THE FOLLOWING WILL BE GIVEN AT TEACHER
199-13-6498-57-832-7-30-000 FOOD AND NON FOOD COSTS 00592034
006513
17007197 HAMILTON BEACH CROCK POT 8QT
199-23-6497-00-021-7-99-000 AWARDS & INCENTIVES 00592037
007853
17002682 SEWING MACHINES ALL ITEMS ARE TO BE U
199-11-6395-34-869-7-21-000 FURNITURE & EQUIP COST < $500.00 00592038
006136
17002682 SEWING MACHINES ALL ITEMS ARE TO BE U
199-11-6395-34-869-7-21-000 FURNITURE & EQUIP COST < $500.00 00592039
007401
17002682 SEWING MACHINES ALL ITEMS ARE TO BE U
199-11-6395-34-869-7-21-000 FURNITURE & EQUIP COST < $500.00 00592040
004813
17002682 SEWING MACHINES ALL ITEMS ARE TO BE U
199-11-6395-34-869-7-21-000 FURNITURE & EQUIP COST < $500.00 00592041
004354
17006071 ASSORTED SODAS(UIL MEETS ON SATURDAYS
199-36-6498-40-045-7-99-000 FOOD AND NON-FOOD COSTS 00592042
009698
009731
00591822
01/19/17 NOV. 2016
23178
Total Check per Fund: BORREGO MARIA I.
17000352 MILEAGE REIMBURSEMENT FOR: MARIA I. BO
199-61-6411-00-120-7-99-000 TRAVEL - EMPLOYEES 0210217329 00591903
01/19/17 1397
96970
Total Check per Fund: CENTER STONE SERVICES
17008088 HEAVY DUTY KICK PLATE 24" X 30" (DOOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217332 00591928
01/19/17 03323
22018
Total Check per Fund: CIELO OFFICE PRODUCTS,L.L.C.
17008093 BUSINESS SOURCE FILE STORAGE BOX, LET
03378
17008093 BUSINESS SOURCE FILE STORAGE BOX, LET
03382
17008772 Logitech Wireless Wave Combo MK550 - U
Total Check per Fund: 00591955
01/19/17 0061850-001
60089
42.70 C
Computer
125.07 125.07 C
Computer
493.58 493.58 C
Computer
849.25 849.25 C
Computer
309.61 309.61 C
Computer
679.49 679.49 C
Computer
479.46 479.46 C
Computer
225.30 225.30 C
812.87 C
Computer
Computer
182.29 C
Computer
6,742.69 88.56 88.56 A
ACH
88.56 1,650.00 1,650.00 A
ACH
1,650.00 346.71 ACH
19.44 ACH
89.99 89.99 A
199-23-6399-00-102-7-99-000 GENERAL SUPPLIES 0210217333
Computer
42.70
19.44 A
199-23-6399-00-042-7-99-000 GENERAL SUPPLIES 00591930
340.80 C
346.71 A
199-23-6399-00-042-7-99-000 GENERAL SUPPLIES 00591929
340.80
182.29
17009040 SoccerBall
199-11-6497-00-987-7-99-000 AWARDS AND INCENTIVES 0210217328
Status Description
812.87
17009040 SoccerBall
199-11-6497-00-987-7-99-000 AWARDS AND INCENTIVES 00592043
Status
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004737 THE FOLLOWING WILL BE GIVEN AT TEACHER
199-13-6498-57-832-7-30-000 FOOD AND NON FOOD COSTS 00592032
Amount Paid
GENERAL FUND
008890
327
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
456.14
COPY PLUS
17007986 FILE FOLDER ITEM#SP17268 ALL ITEMS AR
199-21-6399-34-869-7-99-000 GENERAL SUPPLIES
144.11 144.11 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217333 00591954
Vendor Name Description
Acct Amt
01/19/17
60089
00591969
00591971
01/19/17
99155
71342
BALANCE FOR PO#16008819
01/19/17 DEC. 2016
15667
Total Check per Fund: DE LEON MARIA DEL JESUS
17000597 MILEAGE FOR MARIA DE LEON SUPERVISORS
199-23-6411-00-116-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217338 00591972
01/19/17 6040517
536
00591990
01/19/17
17008414 BOOK REPAIR WINGS 2 MIL
10234
120219
00592000
01/19/17
Total Check per Fund: DOYLENE & ASSOCIATES INC
17006736 Reading Materials see attached list
37589
641
Total Check per Fund: ECONOMY AWARDS COMPANY
17008796 C & I Meeting - Jan. 20, 2017 - Troph
199-21-6497-00-845-7-99-000 AWARDS & INCENTIVES 0210217344 00592008
01/19/17 DEC. 2016
19126
Total Check per Fund: FERNANDEZ IRENE
17000390 MILEAGE FOR IRENE FERNANDEZ, PRINCIPA
199-23-6411-00-107-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217345 00592009
01/19/17 DEC. 2016
12403
17000391 MILEAGE REIMBURSEMENT FOR: DAVID FLOR
Total Check per Fund: 00592010
01/19/17 DEC. 2016
22069
00592872
01/20/17
17002704 SOCIAL WORKER IN-DISTRICT MILEAGE FROM
0863-001253347
116190
Total Check per Fund: REPUBLIC SERVICES #863
17007018 WASTE SERVICES FOR ROLL OFF BINS AT SA
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE Total Check per Fund: 0210217350 00592871
01/20/17 2213462
122050
2252959
13.50 13.50 A
ACH
13.50 122.84 ACH
122.84 9,108.58 9,108.58 A
ACH
9,108.58 316.00 316.00 A
ACH
316.00 64.80 64.80 A
ACH
64.80 45.90 45.90 A
ACH
45.90 34.02 34.02 A
ACH
34.02 1,023.76 1,023.76 M
Manual
1,023.76
FACEBOOK INC
17000180 ADVERTISING ON FACEBOOK FOR LA JOYA I
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS 00592869
ACH
1,400.00
FLORES INA G.
199-32-6411-00-049-7-11-000 TRAVEL - EMPLOYEES 0210217349
1,400.00 A
FLORES DAVID
199-23-6411-00-120-7-99-000 TRAVEL - EMPLOYEES 0210217346
1,400.00
122.84 A
199-12-6329-00-008-7-99-050 LIBRARY BOOKS JIMMY CARTER LIBRARY 0210217343
ACH
325.03
DEMCO, INC.
199-12-6399-00-104-7-99-000 GENERAL SUPPLIES 0210217341
Status Description
180.92 180.92 A
Total Check per Fund: DBR ENGINEERING CONSULTANTS, INC.
199-51-6219-00-956-7-99-000 PROFESSIONAL SERVICES/DRUG SCREENING 0210217337
Status
COPY PLUS
17008974 BOARD, DRYERASE ALUMINUM FRAME
199-51-6399-00-956-7-99-000 OFFICE SUPPLIES 0210217335
Amount Paid
GENERAL FUND
0062372-001
328
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17000180 ADVERTISING ON FACEBOOK FOR LA JOYA I
250.00 250.00 M 13.23
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217350 00592869
Vendor Name Description
Acct Amt
01/20/17
122050
2304177
17000180 ADVERTISING ON FACEBOOK FOR LA JOYA I
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS 00592870
2304176
17000180 ADVERTISING ON FACEBOOK FOR LA JOYA I
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS 0210217351 00592873
01/20/17 009205
2924
Total Check per Fund: SAM'S CLUB DIRECT
17009030 #6 Natural Paper Bags (500 ct.)
199-36-6498-40-127-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217352 00592866
01/20/17 1346916
67563
Total Check per Fund: A WASTE CONNECTIONS COMPANY
17007008 WATE SERVICES FOR ROLL OFF BINS FOR TH
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00592867
1235487
17000528 WASTE SERVICES FOR ROLL OFF BINS FOR
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 0210217354 00592875
01/23/17
20543
200136
Total Check per Fund: ARRIAGA GABRIEL 1-26-2017/GALVESTON, TX
199-36-6412-07-004-7-99-010 TRAVEL - STUDENTS 0210217356 00593313
01/26/17 20593
3735
Total Check per Fund: A & L ATHLETICS
17007201 WHITE SHIRTS FOR SCHOOL BOARD MEMBERS
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 0210217357 00593419
01/26/17 MC30150
65501
Total Check per Fund: OMNISOURCE UNITED, INC
17008515 235/55R17 99W TOYO EXHP TL
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217360 00593323
01/26/17 72062
14301
Total Check per Fund: AFP INDUSTRIES, INC.
17008706 LARGE POWDER FREE LATEX GLOVES
199-00-1310-00-000-7-00-000 INVENTORY 0210217365 00593351
01/26/17 23306
16571
Total Check per Fund: ALL STATE FIRE EXTINGUISHERS
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593350
23307
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593349
23308
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593348
Status
Status Description
FACEBOOK INC
17000180 ADVERTISING ON FACEBOOK FOR LA JOYA I
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS 00592868
Amount Paid
GENERAL FUND
2252959
23309
329
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
13.23 13.23 M
Manual
25.38 25.38 M
Manual
124.62 124.62 M
Manual
413.23 392.21 392.21 M
Manual
392.21 2,526.60 2,526.60 M
Manual
4,066.40 4,066.40 M
Manual
6,593.00 1,155.00 1,155.00 C
Computer
1,155.00 512.00 512.00 C
Computer
512.00 1,391.52 1,391.52 C
Computer
1,391.52 1,845.35 1,845.35 C
Computer
1,845.35 48.00 48.00 C
Computer
58.45 58.45 C
Computer
63.95 63.95 C
Computer
60.95 60.95 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217365 00593347
Vendor Name Description
Acct Amt
01/26/17
16571
23311
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593345
23327
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593344
23328
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593343
23329
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593342
23330
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593341
23331
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593340
23332
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593330
23337
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593331
23338
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593332
23340
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593333
23341
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593334
23349
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593335
23350
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593336
23351
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593337
23352
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593338
23353
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593339
23354
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593356
23355
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593352
23394
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593353
Status
Status Description
ALL STATE FIRE EXTINGUISHERS
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593346
Amount Paid
GENERAL FUND
23310
23393
330
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
7.50 7.50 C
Computer
24.00 24.00 C
Computer
74.90 74.90 C
Computer
28.50 28.50 C
Computer
288.90 288.90 C
Computer
71.95 71.95 C
Computer
169.80 169.80 C
Computer
3.00 3.00 C
Computer
19.45 19.45 C
Computer
162.40 162.40 C
Computer
470.50 470.50 C
Computer
25.50 25.50 C
Computer
147.80 147.80 C
Computer
21.00 21.00 C
Computer
65.90 65.90 C
Computer
118.40 118.40 C
Computer
133.85 133.85 C
Computer
44.95 44.95 C
Computer
274.80 274.80 C
Computer
138.35 138.35 C 150.25
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217365 00593353
Vendor Name Description
Acct Amt
01/26/17
16571
23380
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593355
23379
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593358
23326
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593357
23395
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217367 00593368
01/26/17 49174
68268
Total Check per Fund: AMERICAN SALES AND SERVICES, INC.
17009302 PREVENTATIVE MAINTENANCE ON 2 MACHINE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00593367
49173
17004297 PREVENTATIVE MAINTENANCE ON 4 MACHINE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217369 00593388
01/26/17 00001725833
179
Total Check per Fund: ASCD-ASSOCIATION FOR SUPERVISION AND
17008727 EACH ITEM TO BE USED FOR ONE YEAR MEMB
199-23-6495-00-015-7-99-000 MEMBERSHIP FEES 0210217371 00594136
01/26/17 94882
5208
17006717 R&R LONG BLOCK ENGINE ON UNIT 418
95910
17009123 DEF FOR THOMAS BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR Total Check per Fund: 0210217375 00594053
01/26/17 98623434
3059
00594158
01/26/17 05 875554
17007294 THIS ORDER IS FOR JIMMY CARTER HIGH S
333
Total Check per Fund: COMMERCIAL BILLING SERVICE
17007131 HD IMPACT FOR SHOP #2
199-34-6398-00-972-7-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00594156
05 878055
17008327 WHEEL BALANCER FOR SHOP #1
199-34-6639-00-972-7-99-000 FURN, EQUIP & SOFTWARE 00594155
05 877837
17008326 ZA 60-1344TP27 TOMMY LIFT
199-51-6398-00-956-7-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00594154
05 877721
17008528 LBR AIR TOOL IMPACT REPAIR
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00594153
05 878167
150.25 C
Computer
190.20 190.20 C
Computer
150.25 150.25 C
Computer
54.95 54.95 C
Computer
581.60 581.60 C
Computer
3,650.05 1,000.00 1,000.00 C
Computer
2,000.00 2,000.00 C
Computer
3,000.00 89.00 Computer
89.00 14,997.00 14,997.00 C
Computer
980.00 980.00 C
Computer
15,977.00
BSN SPORTS
199-11-6399-48-879-7-11-000 GENERAL SUPPLIES 0210217376
Status Description
150.25
89.00 C
Total Check per Fund: COMMERCIAL BILLING SERVICE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00594137
Status
ALL STATE FIRE EXTINGUISHERS
17002221 10lb FIRE EXTINGUISHER INSPECTIONS (D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593354
Amount Paid
GENERAL FUND
23393
331
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007970 NOID LIGHT SET TESTER FOR SHOP #1
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS
502.47 502.47 C
Computer
502.47 599.00 599.00 C
Computer
6,800.00 6,800.00 C
Computer
2,822.40 2,822.40 C
Computer
59.00 59.00 C
Computer
397.34 397.34 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210217376 00594152
Acct Amt
01/26/17 05 877831
333
233.33
05 878102
233.33 C
17008957 BO BX59 POWER KING COG BELT (A/C-845)
05 877553
05 877649
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594145
05 877697
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594144
05 877846
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594139
05 877845
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594138
05 877857
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
00594159
05 878079
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594140
05 878078
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594141
05 877992
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594142
05 877727
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217383 00594065
01/26/17 38485300-00
105.00 C 13,756.17
17008529 LA22LR200 BLOWER WHEEL (A/C-804)
1,164.04
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217387 00594069
01/26/17 S283017.001
20778
1,164.04 C
Total Check per Fund: CC DISTRIBUTORS, INC.
00594092
01/26/17 FQS7282
20155
FILEMA
199-34-6399-01-972-7-99-000 GENERAL SUPPLIES 00594093
FRD4954
17003581 HP 78A Black Toner Cartridge (S10250)
199-41-6399-00-701-7-99-000 GENERAL SUPPLIES 00594096
GGW4396
17007342 DYMO LABELWRITER 450 TWIN TURBO MONOCH
199-23-6395-00-101-7-32-000 FURN & EQUIP COST <$500.00 00594089
FXF0665
17005399 OKI MB471W PRINTER TONER FOR THE LA JO
199-41-6399-00-943-7-99-000 GENERAL SUPPLIES
Computer
1,164.04
775.50 C
Total Check per Fund: CDW GOVERNMENT, INC.
17003207 QUOTE HKWG578 QUOTE REFERENCE
Computer
775.50
17008709 CLOROX DISINFECTING WIPES
199-00-1310-00-000-7-00-000 INVENTORY 0210217388
Computer
105.00
Total Check per Fund: CARRIER ENTERPRISE, LLC - S.C.
68136
Computer
464.92 464.92 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
167.42 167.42 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
212.78 212.78 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
262.46 262.46 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
168.23 168.23 C
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
Computer
303.04 303.04 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
57.80 57.80 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
296.18 296.18 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
69.09 69.09 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
Computer
738.18 738.18 C
17007790 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594146
Status Description
COMMERCIAL BILLING SERVICE
17008527 REPAIR IMPACT FRONT HOUSING
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594147
Status
GENERAL FUND
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00594148
FPREG02B
A/P Detail Check Register By Fund Vendor No
332
Computer
775.50 320.78 320.78 C
Computer
339.98 339.98 C
Computer
145.13 145.13 C
Computer
387.09 387.09 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217388 00594090
Vendor Name Description
Acct Amt
01/26/17
20155
GPF1720
17008753 DELL COLOR PRINTER C1760nw
199-12-6397-00-124-7-99-000 TECH EQUIP FROM 500-4999.99 00594073
GBZ2102
17006441 TRIPP LITE PORTABLE 4-PORT USB 3.0 SU
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 00594076
GNP3218
17008086 STARTECH.COM 6 FT HIGH SPEED CERTIFIED
199-11-6399-00-042-7-11-000 GENERAL SUPPLIES 0210217389 00594098
01/26/17 4437-616720
2088
Total Check per Fund: CED-CREDIT OFFICE
17007452 (BODIN GTD) GENERATOR TRANSFER DEVISE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594097
4437-616719
17007451 (SYL- QHE2X3924T5HO/UNVPSN) FLUORESCEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594102
4437-616718
17007450 (SYL- QHE2X3924T5HO/UNVPSN) FLUORESCEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594101
4437-616717
17007449 (SYL- QHE2X3924T5HO/UNVPSN) FLUORESCEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594100
4437-616716
17007448 (SYL- QHE2X3924T5HO/UNVPSN) FLUORESCEN
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594099
4437-616715
17007447 (ADV IMH70DLFM) 120-277 ELECTRONIC BA
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217391
01/26/17
00594109
S2168548.001
400
Total Check per Fund: CENTRAL PLUMBING & ELECTRIC
17005062 (LZFSTL8S) ELKAY STAINLESS STEEL WATER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594110
S2194596.001
17007454 (VRCTL8SC) TWO STAION WALL MOUNT WATER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594111
S2201517.001
17007455 (S19-310) BRADLEY DRENCH SHOWER WITH
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594112
S2209221.001
17008237 CABLE 12/3SO 12/3 SO CORD 600V (EL-55
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594113
S2220465.001
17008967 WF PA894A 4" PVC DWV FEMALE ADAPTER (
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594114
S2228443.001
17003809 SC 52C1 4" SQ BLANK COVER (EL-236)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594115
S2194716.001
17007457 (GP 1/2X21) 1/2 GALVANIZED PIPE 21 FT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217393 00594116
Status
Status Description
CDW GOVERNMENT, INC.
17007031 HP 78A BLACK TONER CARTRIDGE NEEDED FO
199-41-6399-00-943-7-99-000 GENERAL SUPPLIES 00594071
Amount Paid
GENERAL FUND
GGB3425
01/26/17 639913/1
10162
333
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CHALK'S TRUCK PARTS, INC.
17007805 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
156.78 156.78 C
Computer
148.58 148.58 C
Computer
263.10 263.10 C
Computer
97.29 97.29 C
Computer
1,858.73 750.00 750.00 C
Computer
39.13 39.13 C
Computer
39.13 39.13 C
Computer
78.25 78.25 C
Computer
78.25 78.25 C
Computer
2,000.25 2,000.25 C
Computer
2,985.01 1,040.00 1,040.00 C
Computer
2,189.48 2,189.48 C
Computer
805.00 805.00 C
Computer
928.63 928.63 C
Computer
85.42 85.42 C
Computer
-7.69 -7.69 C
Computer
348.23 348.23 C
Computer
5,389.07 1,688.50 1,688.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217393 00594117
Vendor Name Description
Acct Amt
01/26/17
10162
641752/1
17007805 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594119
642130/1
17007805 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217394 00594120
01/26/17
134120
201754
Total Check per Fund: CHAVEZ GUADALUPE T-STEM SITE VISIT IN PHARR
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE
00594122
01/26/17 0183716760
23200
0183716797
17009057 LUNCH BOXES FOR STUDENTS PERFORMING A
17008970 CHICK FIL A CHICKEN SANDWICH FOR UIL D
199-23-6498-00-106-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00594124
0183716796
17009333 LUNCH MEALS FOR UIL STUDENTS - DISTRI
199-36-6498-40-102-7-99-000 FOOD AND NON FOOD COSTS 0210217399 00594167
01/26/17 S006138375.001
101516
Total Check per Fund: CRAWFORD ELECTRIC SUPPLY CO. INC.
17009487 P & S TM826USBWCC6 DUPLEX USB WHITE CH
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217401 00593738
01/26/17 IN983081
18896
Total Check per Fund: DAHILL INDUSTRIES
17006641 RENTAL OF XEROX 5875APT DIGITAL COPIER
199-32-6269-00-904-7-99-000 RENTALS-OPERATING LEASES 0210217402 00594169
01/26/17 6711387
18552
Total Check per Fund: DAKTRONICS, INC.
17003588 All Sport® Character Generation High D
199-12-6397-00-988-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217407 00594026
01/26/17
7027
Total Check per Fund: AGENCY 405, TX DEPT OF PUBLIC SAFETY
CRS-201701-1101 17000382 CRIMINAL HISTORY CHECK REQUEST RECORD
199-41-6499-00-926-7-99-000 MISC OPERATING COSTS 0210217408 00594189
01/26/17 02667
10477
Total Check per Fund: DIAZ FLOOR AND INTERIORS, INC.
17008347 NEED TO INSTALL NEW CUSTOM BLINDS IN
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES 0210217409
01/26/17
00594191
X103112836:01
116653
2,726.30 C
Computer
2,719.10 2,719.10 C
Computer
-2,719.10 -2,719.10 C
Computer
4,414.80 9.63 Computer
9.63
CHICK-FIL-A
199-41-6498-00-989-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00594125
Status Description
2,726.30
9.63 C Total Check per Fund:
0210217395
Status
CHALK'S TRUCK PARTS, INC.
17007805 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00594118
Amount Paid
GENERAL FUND
642132/1
334
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DOGGETT FREIGHTLINER SOUTH TEXAS
17007814 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
137.50 137.50 C
Computer
285.00 285.00 C
Computer
770.00 770.00 C
Computer
1,192.50 46.37 46.37 C
Computer
46.37 349.44 349.44 C
Computer
349.44 1,395.00 1,395.00 C
Computer
1,395.00 99.00 99.00 C
Computer
99.00 15,898.74 15,898.74 C
Computer
15,898.74 698.64 698.64 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
01/26/17
00594190
X103113414:01
Acct Amt
116653
00594192
01/26/17 380464
88935
Total Check per Fund: DOMINO'S PIZZA
17002065 LARGE PEPPERONI PIZZA LUNCH WILL BE PR
199-36-6498-40-127-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217411
01/26/17
00594195
3-2016-JDSMS
51861
Total Check per Fund: DR. JAVIER SAENZ MIDDLE SCHOOL
17005515 MIDDLE SCHOOL MEMBERSHIP DUES-DISTRIC
199-36-6495-40-048-7-99-000 MEMBERSHIP FEES/DUES 0210217412 00594196
01/26/17 SO_00000435337
620
Total Check per Fund: DRAMATISTS PLAY SERVICE, INC.
17007465 ONE ACT PLAY MATERIAL FOR TREVINO MS O
199-36-6399-40-049-7-99-000 GENERAL SUPPLIES 00594196
SO_00000435337
17007465 ROYALTY FEES
199-36-6499-40-049-7-99-000 MISC OPERATING COSTS 0210217413 00594197
01/26/17 10380
38431
Total Check per Fund: DURATEX APPAREL
17008794 T-SHIRTS FOR 2016-2017 SCHOOL YEAR TO
199-12-6497-00-043-7-99-000 AWARDS & INCENTIVES 0210217419 00594199
01/26/17 6MYWZ6
66893
Total Check per Fund: EAN HOLDINGS, LLC
17007699 SUV RENTAL PER DAY TO BE USED JUAREZ
199-36-6269-05-004-7-11-010 RENTALS - OPERATING LEASES 00594198
6MDLPW
17007825 FUEL CHARGE
199-36-6269-91-004-7-11-010 RENTALS - OPERATING LEASES 00594198
6MDLPW
17007825 SUV
FOR JUAREZ LINCOLN & PALMVIEW HIG
199-36-6269-91-007-7-99-010 RENTALS - OPERATING LEASES 0210217420 00594208
01/26/17 6N3B0Z
66893
Total Check per Fund: ENTERPRISE RENT-A-CAR
17008421 PALMVIEW H.S. BAND - SUV RENTAL FOR S
199-11-6269-30-007-7-11-010 RENTALS-OPERATING LEASES 0210217423 00594215
01/26/17 974
42307
Total Check per Fund: EXCLUSIVE DECALS & SCREENPRINTING
17005748 Staff Wellness DryFit Shirts
199-23-6497-44-108-7-99-000 AWARDS & INCENTIVES 00594214
740
17005148 RED TIE DIE SHIRTS FOR WELLNESS PARTI
199-23-6497-44-041-7-99-000 AWARDS & INCENTIVES 00594213
973
17005149 SPORT-TEK T-SHIRT (AWARDS AND INCENTIV
199-23-6497-44-005-7-99-000 AWARDS & INCENTIVES 00594216
Status
Status Description
DOGGETT FREIGHTLINER SOUTH TEXAS
17007814 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217410
Amount Paid
GENERAL FUND
0210217409
971
335
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005428 PERFORMING SHIRTS WITH LOGO AND NAME
199-11-6399-08-004-7-11-010 GENERAL SUPPLIES
53.38 53.38 C
Computer
752.02 122.75 122.75 C
Computer
122.75 500.00 500.00 C
Computer
500.00 51.20 51.20 C
Computer
100.40 100.40 C
Computer
151.60 340.00 340.00 C
Computer
340.00 385.75 385.75 C
Computer
130.00 130.00 C
Computer
130.00 130.00 C
Computer
645.75 394.53 394.53 C
Computer
394.53 405.00 405.00 C
Computer
540.00 540.00 C
Computer
525.00 525.00 C
Computer
1,700.00 1,700.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210217423 00594217
Vendor Name
PO No
Description
Acct Amt
01/26/17
42307
Total Check per Fund: 00594218
01/26/17 2017 DUES
120260
00594220
17009355 2017 MEMBERSHIP DUES FOR ( CHIEF RAUL
01/26/17 CM489148
46515
00594230
01/26/17
17007467 G52722370 LF UP43-75BF 1/6HP 115V CIR
14715
4849
Total Check per Fund: FLORES NURSERY & FLORAL
17008801 FLOWER ARRANGEMENTS NEEDED FOR BOARD R
14717
17008250 BALLOONS NEEDED FOR BOARD RECOGNITION
14716
17008249 GOODIE BASKETS TO BE GIVEN TO LA JOYA
199-41-6497-00-989-7-99-000 AWARDS & INCENTIVES 00594228
14712
17003391 50 BOWS FOR RED RIBBON WEEK
199-11-6497-00-121-7-11-000 AWARDS & INCENTIVES 00594227
14706
17006239 TABLECLOTHES FOR SP. CALLED MEETING -
14706
17006239 8X10 PLAQUES FOR EXITING BOARD MEMBER
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 00594223
14707
17006240 PUMPKIN PIES FOR BOARD MEMBERS FOR THA
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 00594224
14721
17007591 NAME PLATES FOR NEWLY ELECTED BOARD M
14720
17008362 GIFT WRAPPING FOR CHRISTMAS GIFTS FOR
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 00594226
14719
17009060 TABLE COVERS & OVERLAYS/DROP OFF FOR
14719
17009060 GIFT WRAPPING FOR SCHOOL BOARD RECOGN
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES Total Check per Fund: 0210217430 00593681
01/26/17 006560827
13117
006560828
17007153 GALLS SURFACE MOUNT LED LIGHTS FOUR H
17007153 GALLS SURFACE MOUNT LED LIGHTS FOUR H
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES 00593682
006813203
375.00 Computer
200.00 Computer
240.00 240.00 C
Computer
50.00 50.00 C
Computer
262.50 Computer
445.00 445.00 C
Computer
122.50 122.50 C
Computer
59.50 Computer
140.00 140.00 C
Computer
375.00 Computer
140.00 140.00 C
Computer
2,409.50
GALLS, LLC
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES 00593683
Computer
-42.90
375.00 C
199-41-6269-00-702-7-99-000 RENTALS 00594226
-42.90 -42.90 C
59.50 C
199-41-6399-00-702-7-99-000 GENERAL SUPPLIES 00594225
Computer
70.00
262.50 C
199-41-6269-00-702-7-99-000 RENTALS 00594222
Computer
70.00
200.00 C
199-41-6399-00-989-7-99-000 GENERAL SUPPLIES 00594229
140.00 C 3,310.00
375.00 C
199-41-6399-00-989-7-99-000 GENERAL SUPPLIES 00594231
140.00
70.00 C
Total Check per Fund: FERGUSON ENTERPRISES, INC. #116
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217426
Status Description
FBINAA
199-52-6495-00-993-7-99-000 MEMBERSHIP FEES 0210217425
Status
EXCLUSIVE DECALS & SCREENPRINTING
17008632 SCREEN PRINTING T-SHIRTS FOR STUDENTS
199-12-6497-00-988-7-99-000 AWARDS AND INCENTIVES 0210217424
Amount Paid
GENERAL FUND
980
336
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007153 GALLS SURFACE MOUNT LED LIGHTS FOUR H
199-52-6399-00-993-7-99-000 GENERAL SUPPLIES
470.00 470.00 C
Computer
720.00 720.00 C
Computer
223.00 223.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
13117
GALLS, LLC
0210217433
01/26/17
15808
Total Check per Fund: GATTI'S PIZZA #408
41037
17004063 Child Buffet - Student Meals for 3rd G
199-11-6412-00-108-7-11-000 TRAVEL - STUDENTS
00593700
01/26/17
20000
Total Check per Fund: GONZALEZ ROMEO ATTEND WKSHOP #59710 @ REGION ONE
4004
199-41-6411-00-947-7-99-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217438 00593575
01/26/17 9325889070
2122
17003718 1/2" SAE IMPACT SOCKET SET NUMBER OF
9326290377
17003716 883 PIPE EXTRACTOR SET 6 PC. 1/8 TO 1
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593573
9255259419
17003246 24H X 30W BLACK W/BORDER ON WHITE .08
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593708
9330633695
17008429 (3ZC17) PERMA PATCH (GR147)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593705
9335983483
17003717 BROWN RUBBER STAIR COVER INSTALLATION
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593701
9314442949
17008115 7 PIECE CONCRETE TOOL KIT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593701
9314442949
17008115 6FT 250 LB. LOAD CAPACITY FIBERGLASS
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST 00593702
9335983491
17009176 22FT29 EXTREMIS ANTI-FOG SAFETY GLASS
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217440 00593586
01/26/17 1261592
7520
Total Check per Fund: GULF COAST PAPER CO.
17008578 TOILET TISSUE PAPER DOUBLE PLY
199-00-1310-00-000-7-00-000 INVENTORY 00593581
1259426
17008714 CLOROX DISINFECTING WIPES
199-00-1310-00-000-7-00-000 INVENTORY 00593580
1260298
17008814 ANTI-BACTERIAL FOAM HAND SOAP
199-00-1310-00-000-7-00-000 INVENTORY 00593579
1262807
17008712 MULTI-PURPOSE CLEANER
199-00-1310-00-000-7-00-000 INVENTORY 00593578
1259423
17008712 MULTI-PURPOSE CLEANER
199-00-1310-00-000-7-00-000 INVENTORY 0210217441 00593587
Status Description
01/26/17 791360
884
1,413.00 440.00 440.00 C
Computer
440.00 32.29 32.29 C
Computer
32.29
GRAINGER
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593574
Status
GENERAL FUND 01/26/17
0210217437
Amount Paid Acct Amt
0210217430
00593569
337
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HARCOURT OUTLINES, INC.
17007261 H-FW-CP
199-11-6497-00-106-7-11-000 AWARDS & INCENTIVES
303.71 303.71 C
Computer
235.40 235.40 C
Computer
319.60 319.60 C
Computer
1,135.80 1,135.80 C
Computer
2,866.72 2,866.72 C
Computer
161.34 161.34 C
Computer
81.35 81.35 C
Computer
50.90 50.90 C
Computer
5,154.82 14,640.00 14,640.00 C
Computer
776.10 776.10 C
Computer
7,990.00 7,990.00 C
Computer
1,265.28 1,265.28 C
Computer
2,982.00 2,982.00 C
Computer
27,653.38 313.50 313.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
Amount Paid Acct Amt
Status
Status Description
GENERAL FUND
0210217441
01/26/17
884
HARCOURT OUTLINES, INC.
0210217443
01/26/17
22104
Total Check per Fund: HERNANDEZ ROGELIO
00593716
4424
ATTEND SWIMMING POOL FOUNDATION CERTI
199-51-6411-00-960-7-99-000 TRAVEL - EMPLOYEES 0210217444
01/26/17
00593628
9JKDU8WV265W6
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217445
01/26/17
00593629
5EL4YAVRV21W2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217446
01/26/17
00593630
CHF6YB0U15CW2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217447
01/26/17
00593631
HMLCTDYY598W8
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217448
01/26/17
00593632
CJL7TEZV165WB
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217449
01/26/17
00593633
DDFGYHV0UBDW3
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217450
01/26/17
00593634
4EEAZARRY2AW4
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217451
01/26/17
00593635
GMLGT9ZY29CWA
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217452
01/26/17
00593636
9JLDT9YV36CWA
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217453
01/26/17
00593637
9NDEPBTZYAGW0
37192
338
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
313.50 179.76 179.76 C
Computer
179.76 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C 7.50 7.50
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
Amount Paid Acct Amt
Status
Status Description
GENERAL FUND
0210217453
01/26/17
00593637
9NDEPBTZYAGW0
37192
HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217454
01/26/17
00593638
CJFCYDVVY6BW2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217455
01/26/17
00593639
7EL6T93R625W8
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217456
01/26/17
00593640
BKF9YF0WY78W6
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217457
01/26/17
00593641
9MMDSD7Y499W8
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217458
01/26/17
00593642
6EK7U44RZ2AW6
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217459
01/26/17
00593643
EDLKTF60XBKW7
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217460
01/26/17
00593644
3EL2T8XRX2AW8
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217461
01/26/17
00593645
7HJAV93U254W7
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217462
01/26/17
00593646
CLLGTG3X48GWA
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008652 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217463
01/26/17
00593627
CNLDT96Z0AHW7
37192
339
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
Amount Paid Acct Amt
Status
Status Description
GENERAL FUND
0210217463
01/26/17
37192
HIDALGO COUNTY TAX OFFICE
0210217464
01/26/17
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
00593670
5FK4UAWS13AW6
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217465
01/26/17
00593672
AMFAYGUYX9GW2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217466
01/26/17
00593671
7HDBP9TUW54W1
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008651 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217467
01/26/17
00593647
7FF7YAUS136W3
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217469
01/26/17
00593718
6GL9T9YT045W9
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008580 STATE FEES FOR VEHICLE REGISTRATIONS
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210217470
01/26/17
00593648
CHD9PCTUZ58W1
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217471
01/26/17
00593649
DLEGZETXW8FW1
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217472
01/26/17
00593650
8HNBR52U35CWC
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217473
01/26/17
00593651
4HF9Y9VUY55W2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217474
01/26/17
00593652
4EKAU6YRW2AW6
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217475
01/26/17
00593653
3FF2Y8VSU39W3
37192
340
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C 7.50 7.50
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
Amount Paid Acct Amt
Status
Status Description
GENERAL FUND
0210217475
01/26/17
00593653
3FF2Y8VSU39W3
37192
HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217476
01/26/17
00593654
4EDAP6WRR23W0
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217477
01/26/17
00593655
ANFAYGUZSAJW3
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217478
01/26/17
00593656
7EF6YAYRU2AW2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217479
01/26/17
00593657
BNNCRJ2Z0A9WC
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217480
01/26/17
00593658
EMFAYHUYW98W6
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217481
01/26/17
00593659
ALGFXCUXZ88W3
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217482
01/26/17
00593660
4FFAY7USY33W2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217483
01/26/17
00593661
5HFCY9UUY55W2
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217484
01/26/17
00593662
AEK5U7WR426WA
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217485
01/26/17
00593663
EMFHYHVYZ9HW5
37192
341
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
Acct Amt
0210217485
01/26/17
37192
HIDALGO COUNTY TAX OFFICE
0210217486
01/26/17
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
00593664
BFFAY3VSX36W5
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 01/26/17
00593665
BKKEUA5W27DW9
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217488
01/26/17
00593666
9ED3P8SRT29W1
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217489
01/26/17
00593667
7HE8Z9UUR5CW1
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217490
01/26/17
00593668
7HLBT6XU457W7
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217491
01/26/17
00593669
6KKFUDXW478W7
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008650 VEHICLES REGISTRATION RENEWAL FOR VEH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217492
01/26/17
00593719
BDEAZFU0XBEWS
37192
Total Check per Fund: HIDALGO COUNTY TAX OFFICE
17008580 STATE FEES FOR VEHICLE REGISTRATIONS
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210217498 00593673
01/26/17 LA JOYA HS
109231
Total Check per Fund: JIMMY CARTER EARLY COLLEGE HS
17007530 ENTRY FEES FOR HS UIL STUDENTS ATTEND
199-36-6412-40-001-7-99-000 TRAVEL - STUDENTS 00593674
PALMVIEW HS
17007530 JLHS ENTRIES
199-36-6412-40-004-7-99-000 TRAVEL - STUDENTS 00593675
JUAREZ LINCOLN H 17007530 PHS ENTRIES
199-36-6412-40-007-7-99-000 TRAVEL - STUDENTS 00593676
Amount Paid Status
Status Description
GENERAL FUND
0210217487
SALINAS STEM
17007530 STEM ECHS ENTRIES
199-36-6412-40-010-7-99-000 TRAVEL - STUDENT 0210217499
01/26/17
00593597
1-41736065757
5058
342
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: JOHNSON CONTROLS
16012228 ANNUAL PREMIUM PLANNED SERVICE AGREEM
199-51-6299-01-956-7-99-000 CONTRACTED SERVICES
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 7.50 7.50 C
Computer
7.50 462.00 462.00 C
Computer
343.00 343.00 C
Computer
350.00 350.00 C
Computer
599.00 599.00 C
Computer
1,754.00 5,140.89 5,140.89 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Description
5058
JOHNSON CONTROLS
0210217501
01/26/17
5028
Total Check per Fund: KENT ADHESIVE PRODUCTS COMPANY-KAPCO
1314870
17008827 CORNER'S TAPE TO FIX THE SPINE OF THE
199-12-6399-00-114-7-99-000 GENERAL SUPPLIES
00593732
01/26/17 378338
1073
Total Check per Fund: KINNEY BONDED WAREHOUSE, INC.
17005948 RED DIRT 14YD/LOAD (1 LOAD)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217506 00593414
01/26/17 902112
25577
Total Check per Fund: LOWE'S HOME CENTER, INC.
17005030 MRTHN 2CT 10-IN HAND TRUCK TIRE
199-51-6319-04-957-7-99-000 SUPPLIES/MAINT & OPERATIONS 00593413
973887
17008444 10-FT. WHITE VINYL GUTTERS AW100K
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593415
901804
17008127 0.5-CU FT RED LAVA ROCK CS-002 (GARD-
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593412
972228
17007375 (85281) 2-CU FT PREMIUN RED MULCH (RED
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217507 00593175
01/26/17
9135
Total Check per Fund: MAGAZINE SUBSCRIPTIONS REVISED MAGAZINE RENEWAL
2016-2017
199-12-6329-00-001-7-99-000 READING MATERIALS 0210217508 00593088
01/26/17 n56057503
20469
Total Check per Fund: MAKE MUSIC! INC.
17009065 SMART MUSIC "TEACH" PACKAGE FOR JUARE
199-36-6399-30-004-7-11-010 GENERAL SUPPLIES 0210217509 00593176
01/26/17 E02498
17194
Total Check per Fund: MARIO'S BANQUET & CONFERENCE CENTER
17009066 DINNER PLATES FOR SCHOOL BOARD RECOGN
199-41-6269-00-702-7-99-000 RENTALS 0210217510 00593177
01/26/17 NOV. 2016
127205
Total Check per Fund: MARTINEZ ISIDRO C. JR.
17005045 PALMVIEW H.S. THEATRE - CONTRACT FROM
199-36-6291-07-007-7-11-010 CONSULTING SERVICES 0210217511 00593182
01/26/17 01-12-2017
53937
Total Check per Fund: MCSHAN GEORGE H.
17008663 SCHOOL BOARD TRAINING FOR NEW AND EXP
199-41-6291-00-702-7-99-000 CONSULTANT SERVICES 0210217512 00593095
Status
Status Description
GENERAL FUND 01/26/17
0210217502
Amount Paid Acct Amt
0210217499
00593610
01/26/17 SIP128167
11609
343
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MECA SPORTSWEAR, INC.
17003267 LETTER MEN JACKETS FOR HS UIL STUDENT
199-36-6497-00-839-7-99-000 AWARDS & INCENTIVES
5,140.89 79.50 79.50 C
Computer
79.50 910.00 910.00 C
Computer
910.00 447.70 447.70 C
Computer
65.20 65.20 C
Computer
248.76 248.76 C
Computer
313.79 313.79 C
Computer
1,075.45 399.94 399.94 C
Computer
399.94 437.00 437.00 C
Computer
437.00 260.00 260.00 C
Computer
260.00 300.00 300.00 C
Computer
300.00 1,000.00 1,000.00 C
Computer
1,000.00 477.00 477.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217512 00593094
Vendor Name Description
Acct Amt
01/26/17
11609
SIP128171
17003267 LETTER MEN JACKETS FOR HS UIL STUDENT
199-36-6497-00-839-7-99-000 AWARDS & INCENTIVES 00593092
SIP128173
17003267 LETTER MEN JACKETS FOR HS UIL STUDENT
199-36-6497-00-839-7-99-000 AWARDS & INCENTIVES 00593091
SIP128175
17003267 LETTER MEN JACKETS FOR HS UIL STUDENT
199-36-6497-00-839-7-99-000 AWARDS & INCENTIVES 0210217514 00593098
01/26/17 12-19-2016
121797
Total Check per Fund: MEME'S PAINT & BODY SHOP & AUTO SALES
17007480 REPAIRS & PAINT ON UNIT V-48/CLUSTER
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR Total Check per Fund: 0210217515 00593185
01/26/17 DEC. 2016
136638
17003512 IN-DISTRICT MILEAGE REIMBURSEMENT FOR
011717
WATER FOR CHAPA ELEM.
199-51-6498-00-960-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217520 00593114
01/26/17 619795-1
5579
Total Check per Fund: MUSIC THEATER INTERNATIONAL
17000307 ROYALTIES -PUBLIC SCHOOL PERFORMANCE-
199-36-6499-07-004-7-11-010 MISC OPERATING COSTS Total Check per Fund: 0210217523 00593118
01/26/17 790376
118540
790370
17008041 CONTRACTED SERVICES INSTALL 3 CLUTCH A
17008041 CONTRACTED SERVICES INSTALL 3 CLUTCH A
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217525 00593133
01/26/17 643698
10033
Total Check per Fund: PARK PLACE RECREATION DESIGNS
17007483 #382-411R JENN SWING WITH STRAPS AND
199-51-6398-00-956-7-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999.99 00593134
643685
17007388 (#104921) 3/8 X 16X1 1/4 BOLT FOR CAVA
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217526 00593247
01/26/17 565128
16632
Total Check per Fund: PAST & PRESENT
17008272 RED MERCURY GLASS GOBLETS
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 0210217528 00593248
01/26/17 481763
137294
265.00 265.00 C
Computer
689.00 689.00 C
Computer
371.00 371.00 C
Computer
212.00 212.00 C
Computer
2,014.00 6,431.00 6,431.00 C
Computer
6,431.00 92.34 92.34 C
Computer
32.00 32.00 C
Computer
124.34 2,610.00 2,610.00 C
Computer
2,610.00
NEUHAUS & CO.
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593117
Status Description
MENDOZA LUIGE
199-51-6411-00-956-7-99-000 TRAVEL - EMPLOYEES 00593184
Status
MECA SPORTSWEAR, INC.
17003267 LETTER MEN JACKETS FOR HS UIL STUDENT
199-36-6497-00-839-7-99-000 AWARDS & INCENTIVES 00593093
Amount Paid
GENERAL FUND
SIP128169
344
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: PENA'S SPRAY ON LINERS
17009218 SET OF STEPS TO BE INSTALLED ON SIDE D
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR
264.79 264.79 C
Computer
336.12 336.12 C
Computer
600.91 928.10 928.10 C
Computer
163.72 163.72 C
Computer
1,091.82 183.84 183.84 C
Computer
183.84 349.00 349.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
137294
PENA'S SPRAY ON LINERS
0210217531
01/26/17
129887
Total Check per Fund: PRO STITCH EMBROIDERY & MORE
1111
17008147 STAFF SHIRT FOR TEACHER APPRECIATION W
199-23-6497-00-122-7-99-000 AWARDS & INCENTIVES
00593310
01/26/17
134260
201056
Total Check per Fund: QUINTANILLA GARZA JULIANA MCALLEN TEXAS
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593308
201061
201057
00593744
01/26/17 9455895
EDINBURG TEXAS
13210
17007739 Drawing Paper Manila - (Pacon-4012)
00593745
DEC. 2016
45802
00593747
01/26/17
17000715 MILEAGE
72292659
1599
FOR THE MONTH OF SEPT. 2016
Total Check per Fund: SAFETY-KLEEN CORP.
17007503 30500 MONTHLY RENTAL OF TWO STANDS DI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 00593748
72292660
17007503 30500 MONTHLY RENTAL OF TWO STANDS DI
199-34-6269-00-972-7-99-000 RENTALS-OPERATING LEASES 0210217541 00593749
01/26/17 103
43567
Total Check per Fund: SALA THOMAS WESLEY
17008050 MENDIOLA ELEM. - 1-3/4" GOLD MUSIC MED
199-11-6497-30-127-7-11-010 AWARDS & INCENTIVES 0210217544 00593853
01/26/17 000848
2924
Total Check per Fund: SAM'S CLUB DIRECT
17003865 CUPS FOR J/LHS(MATERIALS NEEDED FOR S
199-11-6498-00-004-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00593854
003911
17009706 EACH 6 PACK CAKE BOX TO BE USED FOR CO
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00593855
003447
17009434 EACH ITEM TO BE USED FOR COLLEE AND CA
199-23-6498-00-015-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00593856
Computer
Computer
23.76 Computer
77.26 3,206.40 Computer
3,206.40
SAENZ HIRAM
199-32-6411-00-904-7-99-000 TRAVEL - EMPLOYEE ONLY 0210217540
Computer
12.84
3,206.40 C Total Check per Fund:
01/26/17
18.19
23.76 C
Total Check per Fund: S & S WORLDWIDE, INC.
199-00-1310-00-000-7-00-000 INVENTORY 0210217538
1,832.00
22.47 C
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 0210217537
Computer
22.47
PHARR TEXAS
201038
1,832.00 1,832.00 C
12.84 C
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593307
Status Description
349.00
18.19 C
MISSION TEXAS
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593309
Status
GENERAL FUND 01/26/17
0210217532
Amount Paid Acct Amt
0210217528
00593162
345
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
999999/M.TREVINO 17009231 EACH ONE YEAR SAMS CLUB MEMBERSHIP FOR
199-23-6495-00-015-7-99-000 MEMBERSHIP FEES
92.34 92.34 C
Computer
92.34 214.08 214.08 C
Computer
397.78 397.78 C
Computer
611.86 472.81 472.81 C
Computer
472.81 796.37 796.37 C
Computer
34.84 34.84 C
Computer
186.62 186.62 C
Computer
15.00 15.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
00593857
009845
Acct Amt
2924
00593858
01/26/17 19932
21958
Total Check per Fund: SCHLECHTY CENTER
17008469 REGISTRATION FEES FOR CLAUDIA OCHOA, A
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 01/26/17
0210217549 00593766
0600150-IN
137774
Total Check per Fund: SCHOOL NURSE SUPPLY INC
17007741 HOUSEHOLD FLEX FABRIC BANDAGES 1" x 3
199-33-6399-00-048-7-99-000 GENERAL SUPPLIES 0210217550
01/26/17
00593767
208117717180
1630
Total Check per Fund: SCHOOL SPECIALTY INC.
17008930 BOARD RAIL 22X28 WHITE DOUBLE SIDED
199-00-1310-00-000-7-00-000 INVENTORY 00593768
208117713429
17007743 Glitter Silver - (School Smart-145127
199-00-1310-00-000-7-00-000 INVENTORY 01/26/17
0210217555 00593776
17
12648
Total Check per Fund: SHARYLAND HIGH SCHOOL -UIL
17005376 -JIMMY CARTER ECHS
199-36-6412-40-008-7-99-000 STUDENT TRAVEL 00593777
RECEIPT #117045 17005376 ENTRY FEES FOR HS UIL STUDENTS ATTEND
199-36-6412-40-007-7-99-000 TRAVEL - STUDENTS 00593778
28
17005376 -LA JOYA HS
199-36-6412-40-001-7-99-000 TRAVEL - STUDENTS 0210217556 00593859
01/26/17 57566
11004
Total Check per Fund: SHEPARD WALTON KING INSURANCE GROUP
17009435 Polulution Liability Insurance - Febru
199-51-6429-01-985-7-99-000 INSURANCE/BONDING COSTS (PROP & CASUALTY 0210217557 00593779
01/26/17 2680-8
36188
Total Check per Fund: SHERWIN WILLIAMS CO.
17007308 (6500-47277/A08W00151) A-100 EXTERIOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593780
4548-5
17009243 E61RC0021 SHOPCOAT PRIMER RED OXIDE (
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217558 00593781
01/26/17 GB00221454
17715
Total Check per Fund: SHI GOVERNMENT SOLUTIONS
17008213 UAG SURFACE BOOK CASE ICE / BLACK MICO
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 0210217561 00593786
Status
Status Description
SAM'S CLUB DIRECT
17009805 EACH ITEM TO BE USED FOR COLLEGE AND
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 0210217546
Amount Paid
GENERAL FUND 01/26/17
0210217544
01/26/17 78416729
128422
346
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SITEONE LANDSCAPE SUPPLY FORMLY
17004919 (XFD0912100-RB) XF DRIPLINE., 09.12"
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
224.76 224.76 C
Computer
1,257.59 1,800.00 1,800.00 C
Computer
1,800.00 322.72 322.72 C
Computer
322.72 1,115.00 1,115.00 C
Computer
1,941.84 1,941.84 C
Computer
3,056.84 528.00 528.00 C
Computer
91.00 91.00 C
Computer
399.00 399.00 C
Computer
1,018.00 1,058.00 1,058.00 C
Computer
1,058.00 1,028.00 1,028.00 C
Computer
1,788.66 1,788.66 C
Computer
2,816.66 76.00 76.00 C
Computer
76.00 51.59 51.59 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217561 00593787
Vendor Name Description
Acct Amt
01/26/17
128422
00593788
01/26/17 17-234
5887
Total Check per Fund: SOUTH TEXAS COLLEGE
17008162 EACH ITEM TO BE USED FOR COLLEGE AND
199-11-6223-00-015-7-11-000 STUDENT TUITION/NON-PUB SCHLS 00593861
16-016
DUAL ENROLLMENT COURSE AGREEMENT-FALL
199-11-6223-00-008-7-11-050 STUDENT TUITION - OTHER THAN TO PUBLIC S Total Check per Fund: 0210217565
01/26/17
00593790
112088818-110
7391
00593795
17000328 SERVICE CHARGE ON TW0 (2) MOBILE PHON
01/26/17 584209
16863
Total Check per Fund: SUPERIOR ALARMS
16019822 NEED TO REPLACE INTERCOM AT MENDIOLA
199-51-6639-00-956-7-99-000 FURN, EQUIP & SOFTWARE 0210217568 00593796
01/26/17 2020
128457
Total Check per Fund: SURVEILLANCE PRO
17009252 3MP IP NETWORK IR VANDAL RESISTANT BU
199-34-6397-00-972-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00593797
2019
17009035 3MP IP NETWORK IR (INFRARED) VANDAL R
199-51-6397-00-956-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 Total Check per Fund: 0210217571 00593809
01/26/17 281754
8334
00593843
01/26/17
17005050 Webinar registration fee: Account Cod
1773
Total Check per Fund: TX ELEM. PRINCIPALS & SUPERVISORS ASSN
M.MUNOZ/2016-17 17008906 RENEW MEMBERSHIP FOR ADMINISTATOR MAR
199-23-6495-00-123-7-99-000 MEMBERSHIP FEES 0210217575 00593813
01/26/17
11902
Total Check per Fund: TEXAS ASSN FOR ALTERNATIVE EDUCATION
H.JUAREZ/FEB. 1 17009446 REGISTRATION FEE FOR HECTOR JUAREZ #2
199-23-6411-00-027-7-99-000 TRAVEL - EMPLOYEES 00593813
H.JUAREZ/FEB. 1 17009446 RENEWAL MEMBERSHIP
199-23-6495-00-027-7-99-000 MEMBERSHIP FEES 0210217576 00593869
01/26/17 136546
21384
Total Check per Fund: TEXAS BAND & ORCHESTRA
17003659 DR. SAENZ M.S. BAND - ALL ITEMS ARE R
199-11-6249-30-043-7-11-010 CONTRACTED MAINT & REPAIR 00593870
136547
510.25 510.25 C
Computer
561.84 1,080.00 1,080.00 C
Computer
44,848.20 44,848.20 C
Computer
45,928.20 880.22 880.22 C
Computer
880.22 12,975.00 12,975.00 C
Computer
12,975.00 558.60 558.60 C
Computer
1,392.00 1,392.00 C
Computer
1,950.60
TASBO
199-41-6411-00-947-7-99-000 TRAVEL - EMPLOYEES 0210217574
Status Description
SPRINT PCS
199-51-6259-00-956-7-99-000 UTILITIES - TELEPHONES SERVICES 0210217566
Status
SITEONE LANDSCAPE SUPPLY FORMLY
17007087 (1806P) 6 INCH SPRAY HEAD RAINBIRD
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217562
Amount Paid
GENERAL FUND
78740142
347
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17003659 DR. SAENZ M.S. BAND - ALL ITEMS ARE R
199-11-6249-30-043-7-11-010 CONTRACTED MAINT & REPAIR
75.00 75.00 C
Computer
75.00 185.00 185.00 C
Computer
185.00 235.00 235.00 C
Computer
40.00 40.00 C
Computer
275.00 59.00 59.00 C
Computer
69.00 69.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
21384
TEXAS BAND & ORCHESTRA
0210217579
01/26/17
20504
Total Check per Fund: TEXAS GAS SERVICE
STATEMENT 12-30 17007093 GAS SERVICES FOR THE MONTHS OF DECEMB
01/26/17 712627
8102
Total Check per Fund: TEXAS SCENIC CO., INC.
17007643 FINE ARTS DEPARTMENT - REPAIR LCD STA
199-21-6249-00-893-7-99-000 CONTRACTED MAINT & REPAIR Total Check per Fund: 0210217585
01/26/17
00593612
10031477-1216
1915
0210217586
01/26/17
17000154 ADVERTISING IN THE MONITOR FROM SEPTEM
00593827
R.MOLINA/BLEK
10345
Total Check per Fund: THE NATIONAL NARCOTIC DETECTOR DOG
17008575 MEMBERSHIP AND CERTIFICATION FEES FOR
199-52-6495-00-993-7-99-000 MEMBERSHIP FEES
00593828
01/26/17 0522066-IN
135410
Total Check per Fund: THE PENWORTHY COMPANY LLC
17001153 Reading Materials see attached list
199-12-6329-00-042-7-99-000 READING MATERIALS 0210217588 00593874
01/26/17
1941
35932083
Total Check per Fund: TRANE U.S. INC. CONTRACTED SERVICE-CHECK/REPAIR CONNE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217589 00593829
01/26/17 3002896413
566
Total Check per Fund: THYSSENKRUPP ELEVATOR CORP.
17009257 CONTRACTED MAITENANCE AND REPAIRS FOR
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217590 00593831
01/26/17 6514
137766
Total Check per Fund: TREE OF LIFE GARDEN CENTER INC
17008697 PALMA BOTLLA 7GA.
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217592 00593733
01/26/17 468010
103861
Total Check per Fund: TREVINO MARIANA
17009767 EACH HAM PACK FOR COLLEGE AND CAREER
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 0210217594 00593837
01/26/17 SEPT. 2016
58408
Total Check per Fund: TRONCOSO MARIO A.
17002672 MILEAGE REIMBURSEMENT FOR MARIO A TRON
199-23-6411-00-027-7-99-000 TRAVEL - EMPLOYEES 00593838
OCT. 2016
17002672 MILEAGE REIMBURSEMENT FOR MARIO A TRON
199-23-6411-00-027-7-99-000 TRAVEL - EMPLOYEES 00593840
NOV. 2016
4,962.49 Computer
4,962.49 340.00 340.00 C
Computer
340.00
THE MONITOR
199-41-6499-00-989-7-99-000 MISC OPERATING COSTS
0210217587
Status Description
128.00
4,962.49 C
199-51-6259-02-961-7-99-000 UTILITIES - GAS
00593816
Status
GENERAL FUND 01/26/17
0210217580
Amount Paid Acct Amt
0210217576
00593815
348
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002672 MILEAGE REIMBURSEMENT FOR MARIO A TRON
1,782.64 1,782.64 C
Computer
1,782.64 55.00 55.00 C
Computer
55.00 877.59 877.59 C
Computer
877.59 1,384.93 1,384.93 C
Computer
1,384.93 5,850.00 5,850.00 C
Computer
5,850.00 184.00 184.00 C
Computer
184.00 25.41 25.41 C
Computer
25.41 75.60 75.60 C
Computer
64.80 64.80 C 43.20
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217594 00593840
Vendor Name Amount Paid
Description
Acct Amt
01/26/17
58408
DEC. 2016
00593841
01/26/17 ER-2017-317
1832
Total Check per Fund: TSPRA (TEXAS SCHOOL PUBLIC
17008169 REGISTRATION FEE FOR (TSPRA) TEXAS SCH
ER-2017-299
199-12-6411-00-988-7-99-000 TRAVEL - EMPLOYEES 0210217597 00593442
01/26/17
3125
ZAVALA OCH/2-21 17009827 ENTRANCE FEE FOR
LORENZO DE ZAVALA M
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217598 00593452
01/26/17 749460
4580
17008838 NEED TO PURCHASE HOT MIX FOR THE MONTH
749423
17008838 NEED TO PURCHASE HOT MIX FOR THE MONTH
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217600 00593394
01/26/17 5768
9809
Total Check per Fund: LADY LEX MUSEUM ON THE BAY
17006418 ADMISSION TICKETS FOR THE JROTC STUDEN
199-36-6412-25-001-7-99-000 TRAVEL - STUDENTS 0210217605 00594260
01/26/17 004467
55891
17007315 CUP CAKES -
(AWARDS ASSEMBLY ON 12-
199-11-6498-00-007-7-99-ACA FOOD & NON FOOD COSTS 00594238
006751
17006806 DRINKS FOR UIL STUDENTS COMPETING IN D
199-36-6498-40-041-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00594239
009927
17007947 ITEMS ARE GOING TO BE USE FOR STUDENT
199-11-6498-00-024-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00594240
005897
17007947 ITEMS ARE GOING TO BE USE FOR STUDENT
199-11-6498-00-024-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00594241
006504
17009455 VALENTINE HEART CANDY FOR STAFF GIVEN
199-23-6497-00-105-7-99-000 AWARDS & INCENTIVES 00594242
001593
17006810 PLUSH KIDS SANTA HAT
199-11-6399-10-027-7-11-010 GENERAL SUPPLIES 00594262
001593
17006810 TINSEL STRING LIGHTS GRINCH GLOVES-
199-11-6399-30-117-7-11-010 GENERAL SUPPLIES 00594244
000158
17008173 GIRLS TIGHTS SIZE 10 AND SIZE 14 CHAR
199-11-6399-07-044-7-11-010 GENERAL SUPPLIES
Computer
1,170.00 380.00 Computer
380.00 328.88 328.88 C
Computer
607.83 607.83 C
Computer
936.71 817.00 817.00 C
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
Computer
585.00
380.00 C
Total Check per Fund: WELLS FARGO BANK, N/A/
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593451
585.00
585.00 C
Total Check per Fund: UIL MUSIC REGION 15
Computer
205.20
585.00 C
17008170 REGISTRATION FEE FOR (TSPRA) TEXAS SCH
Computer
21.60 21.60 C
199-12-6411-00-988-7-99-000 TRAVEL - EMPLOYEES 00593842
43.20 43.20 C
17002672 MILEAGE REIMBURSEMENT FOR MARIO A TRON
199-23-6411-00-027-7-99-000 TRAVEL - EMPLOYEES 0210217595
Status Description
TRONCOSO MARIO A.
17002672 MILEAGE REIMBURSEMENT FOR MARIO A TRON
199-23-6411-00-027-7-99-000 TRAVEL - EMPLOYEES 00593839
Status
GENERAL FUND
NOV. 2016
349
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
817.00 395.07 395.07 C
Computer
88.68 88.68 C
Computer
26.82 26.82 C
Computer
71.88 71.88 C
Computer
240.00 240.00 C
Computer
66.39 66.39 C
Computer
211.21 211.21 C
Computer
258.11 258.11 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217605 00594251
Vendor Name Description
Acct Amt
01/26/17
55891
002211
006502
17009533 VALENTINE HEART CANDIES FOR STUDENTS G
199-11-6497-00-105-7-11-000 AWARDS & INCENTIVES 00594243
008366
17007005 SNACKS FOR STAFF SCIENCE DEPARTMENT M
199-13-6498-54-831-7-99-000 FOOD AND NON FOOD COSTS Total Check per Fund: 0210217606 00593891
01/26/17 160
12170
00593892
01/26/17
17006524 PALMVIEW H.S. MARIACHI - DINNER COMBO
162
103071
Total Check per Fund: WALLBANGERS RESTAURANT
17006324 LA JOYA H.S. MARIACHI - DINNER MEALS
199-36-6412-06-001-7-11-010 TRAVEL - STUDENTS 0210217608 00593893
01/26/17 179715
36226
Total Check per Fund: WEIDENHAMMER SYSTEMS
17007199 W-2 PRESSURE SEAL Z-FOLD BLANK FORMS
199-41-6399-00-942-7-99-000 GENERAL SUPPLIES 0210217609 00593735
01/26/17 26011345701
118508
26011349401
17008391 8 1/2" x 11" PINK 20lb. PAPER
00593845
01/26/17
17008391 8 1/2" x 11" PINK 20lb. PAPER
1017836
2152
1037912
Total Check per Fund: WHATABURGER ACCOUNTING DEPT.
17007667 BREAKFAST MEALS FOR JROTC CADETS AND
17007666 MEALS FOR CADETS AND SPONSORS ATTENDIN
199-36-6412-25-001-7-99-000 TRAVEL - STUDENTS 0210217613 00593850
02/03/17 28858
17397
Total Check per Fund: WORLDWIDE IMAGING
17007419 Dell C3760N/C3760DN/C3765DN Yellow La
199-11-6399-00-108-7-11-000 GENERAL SUPPLIES 00593850
28858
00593312
58564
61.48 C
Computer
2,064.15 126.00 126.00 C
Computer
126.00 168.00 168.00 C
Computer
168.00 7,209.51 Computer
7,209.51 13,320.00 Computer
2,032.00 Computer
15,352.00 205.92 205.92 C
Computer
265.23 265.23 C
Computer
471.15 -3,164.00 3,164.00 3,164.00 C
Total Check per Fund: 01/26/17
Computer
61.48
-3,164.00 CV Computer Void
17007419 Dell C3760N/C3760DN/C3765DN Yellow La
199-11-6399-00-108-7-11-000 GENERAL SUPPLIES 0210217614
450.00 C
2,032.00 C
199-36-6412-25-001-7-99-000 TRAVEL - STUDENTS 00593846
Computer
450.00
13,320.00 C
199-00-1310-00-000-7-00-000 INVENTORY 0210217610
178.56 C
7,209.51 C
Total Check per Fund: BOSWORTH PAPERS
199-00-1310-00-000-7-00-000 INVENTORY 00593734
Computer
178.56
WALLBANGER'S
199-36-6412-06-007-7-11-010 TRAVEL - STUDENTS 0210217607
Status Description
15.95 15.95 C
17007243 POINSETTIA'S FOR STAFF DEVELOPMENT CEN
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES 00594257
Status
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17009547 Equate Fresh Scent Antibacterial Hand
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES 00594256
Amount Paid
GENERAL FUND
002675
350
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
.00
492 BBQ
1-19/CHAVEZ BAND 17009093 DINNER COMBO FOR CHAVEZ MIDDLE SCHOOL
199-36-6498-30-042-7-11-010 FOOD & NON-FOOD RELATED ITEMS
154.00 154.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217614 00593311
Vendor Name Description
Acct Amt
58564
00593314
01/26/17 25195
16905
Total Check per Fund: ABSOLUTE SERVICES
17008585 INTERCOM REPAIRS DISTRICTWIDE FOR THE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217616 00593316
01/26/17 0305018-IN
125008
Total Check per Fund: ADVANCE BATTERY CO
17008705 GROUP 59 AUTOMOTIVE BATTERY 590 CCA
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593315
0305016-IN
17008704 GROUP 31 COMMERCIAL BATTERY 760 CCA
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217617 00593317
01/26/17 128260
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17006006 DAILY USE OF INSTRUCTIONAL MATERIALS N
199-23-6399-00-027-7-99-000 GENERAL SUPPLIES 0210217620 00593362
01/26/17 DEC. 2016
10079
Total Check per Fund: ALMANZA ANA LIZA
17000542 TRAVEL FOR THE MONTH OF SEPT. 2016 - A
NOV. 2016
17000542 TRAVEL FOR THE MONTH OF SEPT. 2016 - A
199-23-6411-01-115-7-99-000 TRAVEL - EMPLOYEES 0210217621 00593369
01/26/17 0000502502
12464
Total Check per Fund: ANDY'S AUTO & BUS AIR, INC.
17005220 INSTALL NEW A/C SYSTEM 126K ON 9 BUSE
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 00593370
0000502432
17007773 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593371
0000502417
17007773 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217622 00593373
01/26/17 4410027858
3022
Total Check per Fund: APPLE COMPUTER, INC.
17005222 12.9" IPAD PRO WI-FI 256 GB SPACE GREY
199-21-6397-00-847-7-99-000 TECH EQUIP COST $500-$4,999.99 00593376
4423085149
17007774 OTTER BOX
UNLIMITED IPAD AIR 2 PROTE
199-11-6399-00-046-7-11-000 GENERAL SUPPLIES 00593384
4404086125
17002018 APPLECARE REPLACE BROKEN SCREEN ON IPA
199-00-5749-01-888-7-00-000 I-PAD DEDUCTIBLE 00593385
4404086126
17002018 APPLECARE REPLACE BROKEN SCREEN ON IPA
199-00-5749-01-888-7-00-000 I-PAD DEDUCTIBLE 00593386
Status Description
4404086127
17002018 APPLECARE REPLACE BROKEN SCREEN ON IPA
199-00-5749-01-888-7-00-000 I-PAD DEDUCTIBLE
98.00 98.00 A
ACH
252.00 841.17 841.17 A
ACH
841.17 689.50 689.50 A
ACH
2,198.50 2,198.50 A
ACH
2,888.00 425.00 425.00 A
199-23-6411-01-115-7-99-000 TRAVEL - EMPLOYEES 00593361
Status
492 BBQ
1-19/SALINAS BAN 17009048 DINNER COMBOS FOR JD SALINAS MIDDLE S
199-36-6498-30-048-7-11-010 FOOD & NON-FOOD RELATED ITEMS 0210217615
Amount Paid
GENERAL FUND 01/26/17
351
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
425.00 62.10 62.10 A
ACH
10.26 10.26 A
ACH
72.36 70,200.00 70,200.00 A
ACH
131.74 131.74 A
ACH
790.00 790.00 A
ACH
71,121.74 1,065.00 1,065.00 A
ACH
256.00 256.00 A
ACH
49.00 49.00 A
ACH
49.00 49.00 A
ACH
49.00 49.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
199
0210217622 00593372
Acct Amt
00593389
01/26/17 4404086128
3022
00594028
01/26/17 2046
5469
01/26/17 119647258
119647258
639.50 A
117785471
17007680 Manfrotto RC Pan Bar EX Remote Contro
117785471
17007680 Kopul 1/4" TRS Male to 3-Pin XLR Male
00594039
01/26/17 2060800
268
00594061
01/26/17 NOV. 2016
29.47 A
17008400 RED HOODIE RUSSELL 10 SM 30MED 20 LG;
14770
DEC. 2016
00594104
01/26/17
17000085 MILEAGE FOR J/LHS(MARY PENA, REGISTRAR
1398
1399
17002291 LAMINATED DOOR 3070--3070 LAMINATED DO
1402
17008767 SARGENT 8800 SERIES EXIT DEVCIE
(D-2
1400
17009143 SPLICE REBAR, STANDARD, SELF-ALIGNING
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00594108
1401
17009141 REPLACE RUSTED AND BROKEN METAL STUDS
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00594103
1403
17008407 FLEXCO 099 FLEXCO COVE BASE MIDNIGHT B
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217633
01/26/17
22018
Total Check per Fund: CIELO OFFICE PRODUCTS,L.L.C.
ACH
7,653.00 7,653.00 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594107
9,772.00 9,772.00 A
REMOVE EXISTING
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00594106
ACH
52.92
Total Check per Fund: CENTER STONE SERVICES
17008502 SHEETROCK INSULATION
ACH
12.96 12.96 A
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594105
39.96 39.96 A
17000085 MILEAGE FOR J/LHS(MARY PENA, REGISTRAR
96970
ACH
720.00
199-23-6411-00-004-7-99-000 TRAVEL - EMPLOYEES 0210217631
ACH
720.00 720.00 A
Total Check per Fund: CANTU MARIA A.
199-23-6411-00-004-7-99-000 TRAVEL - EMPLOYEES 00594060
ACH
29.47
999.85
Total Check per Fund: BILL GUTHRIE SPORTS,INC.
199-11-6497-00-902-7-22-000 AWARDS AND INCENTIVES 0210217630
ACH
16.03 16.03 A
17003186 Cable Electronics AV400 1x4 Composite
ACH
16.63 16.63 A
17003186 Blackmagic Design Mini converter SDI
199-12-6399-00-988-7-99-000 GENERAL SUPPLIES 0210217628
937.72 937.72 A
199-12-6395-00-988-7-99-000 FURN & EQUIP <$500 UNIT COST 00594029
ACH
639.50
Total Check per Fund: B & H PHOTO -VIDEO
199-12-6399-00-988-7-99-000 GENERAL SUPPLIES 00594029
ACH
1,517.00 639.50
17007013 200W POWERED SUBWOOFER
14872
49.00 49.00 A
Total Check per Fund: AVES AUDIO VISUAL EDUCATIONS SYSTEMS
199-12-6395-00-988-7-99-000 FURN & EQUIP <$500 UNIT COST 00594028
Status Description
APPLE COMPUTER, INC.
17002018 APPLECARE REPLACE BROKEN SCREEN ON IPA
199-12-6395-00-988-7-99-000 FURN & EQUIP <$500 UNIT COST 0210217624
Status
GENERAL FUND
199-00-5749-01-888-7-00-000 I-PAD DEDUCTIBLE 0210217623
FPREG02B
A/P Detail Check Register By Fund Vendor No
352
ACH
1,069.90 1,069.90 A
ACH
4,131.32 4,131.32 A
ACH
3,674.64 3,674.64 A
ACH
377.92 377.92 A 26,678.78
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217633 00594133
Vendor Name Description
Acct Amt
01/26/17
22018
03381
03431
03431
03418
17009058 Glue Sticks - (Business Source-BSN 15
03389
17008622 House of Doolittle Breast Cancer Awar
00594126
03478
17009483 STOREX 5-PIECE BOOK BIN
00594128
03454
17009335 Filofax A5 Size Filofax Notebook - 56
Total Check per Fund: 0210217635 00594160
01/26/17 0062328-001
60089
0062329-001
17008775 COLOR PLAY DESK PAD CALENDAR (12 MONTH
199-41-6399-00-989-7-99-000 GENERAL SUPPLIES 00594162
40377
17007577 PROGRAM FOR DESIGN LAB RIBBON CUTTING
199-41-6298-00-989-7-99-000 PRINTING SERVICES 00594163
40388
17007578 PROGRAM FOR ACADEMIES INDUCTION CEREMO
199-41-6298-00-989-7-99-000 PRINTING SERVICES 00594164
40828
17009282 Custom Tabs - 4 tabs per set
199-41-6298-00-701-7-99-000 PRINTING SERVICES 00594166
0062511-001
17009485 BOARD, CALENDAR,3MONTHS MAGNETIC
199-53-6399-00-954-7-99-000 GENERAL SUPPLIES 00594165
39638-1
17007579 1000 SOCIAL MEDIA CARDS FOR DISTRICT
199-41-6298-00-989-7-99-000 PRINTING SERVICES 0210217636 00594171
01/26/17 OCT. 2016
22909
Total Check per Fund: DAVILA CLAUDIA E.
17002562 MILEAGE FOR CLAUDIA DAVILA - HUMAN RE
199-41-6411-00-926-7-99-000 TRAVEL - EMPLOYEES 00594172
NOV. 2016
17002562 MILEAGE FOR CLAUDIA DAVILA - HUMAN RE
199-41-6411-00-926-7-99-000 TRAVEL - EMPLOYEES 0210217637 00594186
01/26/17 10140866902
9529
ACH
2,801.72
COPY PLUS
17008935 PORTABLE PLATFORM CART NEEDED TO CARRY
199-41-6395-00-989-7-99-000 FURN & EQUIP <$500 UNIT COST 00594161
ACH
269.69 269.69 A
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES
ACH
369.64 369.64 A
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES
ACH
779.24 779.24 A
199-12-6399-00-988-7-99-000 GENERAL SUPPLIES
ACH
1,134.00 1,134.00 A
199-00-1310-00-000-7-00-000 INVENTORY 00594130
ACH
9.28 9.28 A
199-23-6399-00-102-7-99-000 GENERAL SUPPLIES 00594131
ACH
21.90 21.90 A
17008771 Trend Sock Monkeys Collection Large In
ACH
64.88 64.88 A
17008771 Trend Sea Buddies Collection Terrific
199-11-6399-00-102-7-11-000 GENERAL SUPPLIES 00594132
Status Description
153.09 153.09 A
17008771 Trend Sock Monkeys Collection Large In
199-23-6399-00-102-7-99-000 GENERAL SUPPLIES 00594132
Status
CIELO OFFICE PRODUCTS,L.L.C.
17008771 Trend Sea Buddies Collection Terrific
199-11-6399-00-102-7-11-000 GENERAL SUPPLIES 00594133
Amount Paid
GENERAL FUND
03381
353
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DELL MARKETING L.P.
17007693 DELL CHROMEBOOK 11-INCH LAPTOP COMPUT
199-21-6397-00-889-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
170.34 170.34 A
ACH
221.06 221.06 A
ACH
119.50 119.50 A
ACH
433.45 433.45 A
ACH
32.15 32.15 A
ACH
139.32 139.32 A
ACH
345.74 345.74 A
ACH
1,461.56 30.24 30.24 A
ACH
9.18 9.18 A
ACH
39.42 264.54 264.54 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217637 00594185
Vendor Name Amount Paid
Description
Acct Amt
01/26/17
9529
DELL MARKETING
10141900587
17008095 THIS ORDER IS FOR LJISD ATHLETIC/PHYS
199-21-6397-48-879-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594174
10141443413
17008346 DELL LATITUDE E5470 LAPTOP WITH MICRO
199-11-6397-00-046-7-99-000 TECH EQUIP $500 - $4,999 00594175
10141379055
17008413 Dell Optiplex 7040 SFF Desktop with 2
199-41-6397-00-947-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594177
10142675380
17008627 DELL OPTIPLEX 7040 SFF DESKTOP WIT 22
199-41-6397-00-926-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594181
10143176134
17009344 DELL OPTIPLEX 7040 SFF DESKTOP WITH NO
199-51-6397-00-960-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217645 00593686
01/26/17 DEC. 2016
118265
Total Check per Fund: GARCIA NORMA V.
17006036 MILEAGE REIMBURSEMENT FOR SOCIAL WORK
199-32-6411-00-048-7-11-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210217646 00593687
01/26/17
14329
4415
00593564
01/26/17
ATTEND SWIMMING POOL FOUNDATION CERTI
4348229-0
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17008192 POUCH , LAM, LTR 10 ML
199-12-6399-00-048-7-99-000 GENERAL SUPPLIES 00593562
4349238-0
17008643 NOTE 4X4 SUPR, STICKY FOR JLHS(MATEIRA
199-23-6399-00-004-7-99-000 GENERAL SUPPLIES 00593561
4354058-0
17009364 Notebook, College Rule, Red Cover, 8
199-41-6399-00-947-7-99-000 GENERAL SUPPLIES 00593560
4353430-0
17009173 4911
GWP STAMP SLFINK 1CLR 9/16 X1
199-23-6399-00-124-7-99-000 GENERAL SUPPLIES 00593559
4350835-0
17009173 4911
GWP STAMP SLFINK 1CLR 9/16 X1
199-23-6399-00-124-7-99-000 GENERAL SUPPLIES 00593558
4354180-0
17009172 THE FOLLOWING ITEMS ARE FOR OFFICE US
199-34-6399-01-972-7-99-000 GENERAL SUPPLIES 00593556
4263137-0
17001617 ASH HAND BELL SUPER HEROES
199-31-6399-00-048-7-99-000 GENERAL SUPPLIES 00593555
4300776-0
17002878 JANUARY-DECEMBER TAB DIVIDERS MULTI-CO
4316226-0
17002878 JANUARY-DECEMBER TAB DIVIDERS MULTI-CO
4354999-0
ACH
740.00 740.00 A
ACH
1,480.00 1,480.00 A
ACH
508.00 508.00 A
ACH
1,276.00 1,276.00 A
ACH
1,605.00 1,605.00 A
ACH
6,518.54 69.12 69.12 A
ACH
69.12
17009493 30336
179.76 179.76 A
DYM LABEL, MULTI-PURPOSE BX
199-12-6399-00-124-7-99-000 GENERAL SUPPLIES
ACH
179.76 999.97 999.97 A
ACH
381.55 381.55 A
ACH
38.58 38.58 A
ACH
67.99 67.99 A
ACH
30.00 30.00 A
ACH
736.59 736.59 A
ACH
266.37 266.37 A
ACH
1,275.36 ACH
978.24 978.24 A
199-00-1310-00-000-7-00-000 INVENTORY 00593552
645.00 A
1,275.36 A
199-00-1310-00-000-7-00-000 INVENTORY 00593554
645.00
GARZA DANIEL
199-51-6411-00-960-7-99-000 TRAVEL - EMPLOYEES 0210217647
Status Description
L.P.
17007992 DELL OPTIPLES 7040 SFF DESKTOP WITH 2
199-32-6397-00-901-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00594173
Status
GENERAL FUND
10140032298
354
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
98.03 98.03 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217647 00593622
Vendor Name Description
Acct Amt
01/26/17
111058
4354742-0
4354738-0
4351152-0
199-11-6398-00-123-7-11-000 FURN & NON TECH EQUIP $500-$4,999.99 00593688
4354904-0
17009498 BINDERS WILL BE USED FOR OFFICE USE. Q
0210217648 00593698
01/26/17 89090
86487
Total Check per Fund: GOLD STAR PETROLEUM, INC.
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00593696
89352
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS 00593697
89372
17006463 MONTH FUEL TRANSPORTATION DEPT. DECEMB
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS Total Check per Fund: 0210217650
01/26/17
00593576
JAN. 19, 2017
47473
00593625
01/26/17
17009062 CONSULTANT CONTRACT FOR ALL CITY CLIN
107035
33995
Total Check per Fund: HEAVY DUTY BUS PARTS, INC
17007850 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217653 00593588
01/26/17 NOV. 2016
28983
Total Check per Fund: HERNANDEZ ANET
17000098 MILEAGE FOR J/LHS(ANET HERNANDEZ, REG
199-23-6411-00-004-7-99-000 TRAVEL - EMPLOYEES 0210217654 00593626
01/26/17 DEC. 2016
60119
Total Check per Fund: HERNANDEZ ELDA
17000403 MILEAGE REIMBURSEMENT FOR: ELDA HERNAN
199-23-6411-00-120-7-99-000 TRAVEL - EMPLOYEES 0210217655 00593589
01/26/17 2362
131261
Total Check per Fund: HIGH END ADVERTISING
17008121 STAINLESS STEEL 20 OZ TUMBLER WITH LID
199-23-6497-00-007-7-99-ACA AWARDS AND INCENTIVES 00593590
2369
17008820 PORT AUTHORITY LADIES CORE SOFT SHELL
199-12-6497-00-988-7-99-000 AWARDS AND INCENTIVES 00593720
2366
1,879.00 A
ACH
75.16 ACH
7,727.59 14,048.79 14,048.79 A
ACH
11,138.32 11,138.32 A
ACH
13,575.21 13,575.21 A
ACH
38,762.32
GRAVES COREY
199-36-6291-00-893-7-99-000 CONSULTING SERVICES 0210217652
ACH
1,879.00
75.16 A
199-23-6399-00-123-7-99-000 GENERAL SUPPLIES
ACH
200.21 200.21 A
17008809 LAMINATOR WILL BE USED FOR ALL INSTRU
ACH
660.22 660.22 A
17009495 USB DUAL MONITOR MOUNT, 18-4/5" X 4-1
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 00593689
Status Description
40.32 40.32 A
17009494 STRETCH FABRIC TABLE COVER, POLYESTER
199-12-6399-00-888-7-99-000 GENERAL SUPPLIES 00593690
Status
GATEWAY PRINTING & OFFICE SUPPLY, INC.
17008994 Franklin Covey Planner 8 ½ x 11…….201
199-41-6399-00-943-7-99-000 GENERAL SUPPLIES 00593691
Amount Paid
GENERAL FUND
4352528-0
355
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17008433 20 oz. DOUBLE WALL STAINLESS STEEL TH
199-41-6497-00-702-7-99-000 AWARDS & INCENTIVES
600.00 600.00 A
ACH
600.00 998.00 998.00 A
ACH
998.00 25.92 25.92 A
ACH
25.92 110.70 110.70 A
ACH
110.70 409.00 409.00 A
ACH
199.90 199.90 A
ACH
450.00 450.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
131261
HIGH END ADVERTISING
0210217659
01/26/17
11982
Total Check per Fund: JOE W. FLY CO., INC.
346812
17001064 HVAC AIR FILTERS 18X24X2 (AC36)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES
00593598
01/26/17 29212742
14234
Total Check per Fund: JOHNSON SUPPLY
17005781 (000029) 30# RECLAIM EXCHANGE FEE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593599
29212740
17006274 (N065543) W36A2-10 WALL MOUNT R410A 3
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593600
29212741
17006388 (N065543) W36A2-1-10 WALL MOUNT R410
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593725
29213769
17006273 (N065877) (MOT10294) 1.5HP 460/3 56FR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593727
29213770
17006276 (083909) ASPMOUNTING MINI ORANGE PUMP
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593726
29213771
17007860 (139968/11J29) 4AC14L60P 5.0 TON 14S
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217661 00593601
01/26/17 2024955
12513
Total Check per Fund: JOHNSTONE SUPPLY- PHARR
17008441 H886L 56HZ ODP GP MOTOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593602
2025233
17008933 4DL3F63KE-TSK-800- COMPRESSOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593606
2025583
17008933 4DL3F63KE-TSK-800- COMPRESSOR
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593607
2025004
17008553 L37-737 C661AHA-1CJ IP IGNITION CONTRO
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593608
2025540
17008553 L37-737 C661AHA-1CJ IP IGNITION CONTRO
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593609
2025541
17008553 L37-737 C661AHA-1CJ IP IGNITION CONTRO
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593605
2025786
17009383 B92-085 R22-30 REFRIGERANT (A/C-197)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593604
2025505
17009005 G32-220 SKAP-3C-24VAC RELAY 11-PIN RE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593603
2025352
17008826 S91-349 E514M2 MOTOR 284T ODP (A/C-78
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00593728
2019922
17003973 RAW14L24B21S 14S 2T A/C UNIT
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217662
Status
Status Description
GENERAL FUND 01/26/17
0210217660
Amount Paid Acct Amt
0210217655
00593596
01/26/17
5618
356
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: LA CAMPANA FABRIC STORE
1,058.90 452.41 452.41 A
ACH
452.41 245.00 245.00 A
ACH
2,426.67 2,426.67 A
ACH
2,426.67 2,426.67 A
ACH
950.00 950.00 A
ACH
117.21 117.21 A
ACH
1,785.54 1,785.54 A
ACH
7,951.09 269.55 269.55 A
ACH
4,940.00 4,940.00 A
ACH
-450.00 -450.00 A
ACH
126.00 126.00 A
ACH
29.25 29.25 A
ACH
-29.25 -29.25 A
ACH
4,500.00 4,500.00 A
ACH
41.85 41.85 A
ACH
1,185.17 1,185.17 A
ACH
648.27 648.27 A 11,260.84
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217662 00593390
Vendor Name Description
Acct Amt
01/26/17
5618
01/26/17 0011189-IN
130982
00593398
01/26/17
17005954 Perspective VMS - Version 2.x (Enterp
9705
18394
Total Check per Fund: LEO'S DRIVE IN # 3-(956)584-3441
17009392 BREAKFAST TACOS FOR UIL STUDENTS IN TH
199-36-6498-40-102-7-99-000 FOOD AND NON FOOD COSTS 0210217666 00593399
01/26/17 6637
18394
Total Check per Fund: LEO'S DRIVE IN #2-(956)585-8411
17008032 POTATO AND EGG TACO- UIL MEET 01/21/2
199-36-6498-00-110-7-99-000 FOOD & NON FOOD COSTS 0210217667 00593400
01/26/17 8683
18394
Total Check per Fund: LEO'S DRIVE INN #5-(956)585-8411
17008831 BREAKFAST TACOS FOR UIL PARTICIPANTS O
199-36-6498-00-106-7-99-000 FOOD AND NON FOOD COSTS Total Check per Fund: 0210217668 00593401
01/26/17 DEC. 2016
134368
00593408
01/26/17
17001082 MILEAGE FOR THE MONTH OF SEPTEMBER 20
17732
9409
Total Check per Fund: LONGHORN BUS SALES
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593403
17681
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593406
17696
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593407
17702
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593404
17731
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593405
17776
17007866 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217674
01/26/17
00593089
01-1134463-00
107034
Total Check per Fund: MATTS BUILDING MATERIALS INC.
17008662 1 X 4-8' CEDAR WESTERN RED (LUMB-110)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217677
01/26/17
1256
8,179.00 8,179.00 A
ACH
8,179.00 99.00 99.00 A
ACH
99.00 148.50 148.50 A
ACH
148.50 99.00 99.00 A
ACH
99.00
LIMAS NANETTE
199-21-6411-00-889-7-99-000 TRAVEL - EMPLOYEES 0210217670
ACH
1,534.51
LENSEC, LLC
199-52-6639-00-993-7-99-051 CAMERA PROJECT FOR 3 HIGH SCHOOLS 0210217665
Status Description
1,534.51 1,534.51 A
Total Check per Fund: 00593397
Status
LA CAMPANA FABRIC STORE
17007862 QUILTING FABRIC FOR THE GT STUDENTS PR
199-13-6399-34-869-7-21-000 GENERAL SUPPLIES 0210217664
Amount Paid
GENERAL FUND
22542
357
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MELHART MUSIC CENTER
78.03 78.03 A
ACH
78.03 200.44 200.44 A
ACH
447.34 447.34 A
ACH
199.15 199.15 A
ACH
77.01 77.01 A
ACH
195.20 195.20 A
ACH
154.02 154.02 A
ACH
1,273.16 340.71 340.71 A 340.71
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217677 00593096
Vendor Name Description
Acct Amt
01/26/17
1256
2838939
00593102
01/26/17 669261
1282
Total Check per Fund: MISSION AUTO ELECTRIC, INC.
17000683 STL HL100 135 31.4CC 59" SHAFT (O/135
669450
17000433 REPAIR WORK NEEDED ON ECHO (SMR266 WE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593100
669451
17000437 CHECK & REPAIR TRACTOR/CUTTER ASM AND
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593101
686572
17007069 STL FS100 RX 4 STROKE W/25-2 31.4cc W
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST 0210217681 00593105
01/26/17 M140453
10151
Total Check per Fund: MOBILE RELAY PARTNERS, LTD
17007169 KENWOOD KRA-27 ANTENNA
199-23-6399-00-127-7-99-000 GENERAL SUPPLIES 00593106
AIR0037267
199-31-6259-38-901-7-99-000 UTILITIES 00593104
AIR0037374
199-31-6259-38-901-7-99-000 UTILITIES
00593187
01/26/17 NOV. 2016
116220
DEC. 2016
17003626 MILEAGE FOR RITA MORENO (PARENT EDUCA
17003626 MILEAGE FOR RITA MORENO (PARENT EDUCA
199-61-6411-00-127-7-99-000 TRAVEL - EMPLOYEE 0210217686 00593119
01/26/17 DEC. 2016
162
Total Check per Fund: O'CANA ARMANDO
17000898 MILEAGE FOR THE MONTH OF SEPTEMBER 20
199-52-6411-00-905-7-99-000 TRAVEL - EMPLOYEES 0210217687 00593120
01/26/17 2143-318846
21748
Total Check per Fund: O'REILLY AUTO PARTS
17002414 ASAP OPEN PARTS FROM OCT 3 THRU OCT 1
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593121
2143-319324
17002414 ASAP OPEN PARTS FROM OCT 3 THRU OCT 1
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593122
1422-109435
17002414 ASAP OPEN PARTS FROM OCT 3 THRU OCT 1
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593123
1422-112981
ACH
71.50 71.50 A
ACH
1,029.46 1,029.46 A
ACH
278.00 278.00 A
ACH
2,272.96 53.85 ACH
156.00 ACH
156.00 ACH
365.85
MORENO RITA
199-61-6411-00-127-7-99-000 TRAVEL - EMPLOYEE 00593186
894.00 A
156.00 A Total Check per Fund:
0210217682
894.00
156.00 A
17008040 GUIDANCE & COUNSELING WILL SUPPORT CAM
ACH
756.50
53.85 A
17008040 GUIDANCE & COUNSELING WILL SUPPORT CAM
ACH
525.00 525.00 A
199-51-6395-00-956-7-99-000 FURN & EQUIP <$500 UNIT COST 00593103
Status Description
231.50 231.50 A
17008854 ADAMSON AMT40 TUNER/METRONOME CLIP/IT
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 0210217679
Status
MELHART MUSIC CENTER
17008854 ADAMSON AMT40 TUNER/METRONOME CLIP/IT
199-11-6399-30-041-7-11-010 GENERAL SUPPLIES 00593097
Amount Paid
GENERAL FUND
2837065
358
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002414 ASAP OPEN PARTS FROM OCT 3 THRU OCT 1
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS
85.76 85.76 A
ACH
60.38 60.38 A
ACH
146.14 36.18 36.18 A
ACH
36.18 9.98 9.98 A
ACH
-9.98 -9.98 A
ACH
17.80 17.80 A
ACH
-.03 -.03 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217687 00593132
Vendor Name Description
Acct Amt
01/26/17
21748
1422-105493
17000048 ASAP OPEN PARTS FROM SEPT 05 THRU SEP
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593126
1422-113538
17005643 ASAP OPEN PARTS FROM NOV 14 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593127
2143-336038
17005643 ASAP OPEN PARTS FROM NOV 14 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593128
2143-336011
17005643 ASAP OPEN PARTS FROM NOV 14 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593129
2143-336398
17005643 ASAP OPEN PARTS FROM NOV 14 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593130
2143-336042
17005643 ASAP OPEN PARTS FROM NOV 14 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593124
1422-111379
17003553 ASAP OPEN PARTS FROM OCT 17 THRU OCT
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593191
1422-210003
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593192
1422-119818
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593202
1422-120113
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593203
1422-119909
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593204
1422-119879
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593205
1422-120114
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593206
1422-120066
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593207
1422-120104
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593208
1422-120100
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593209
1422-120050
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593210
1422-120196
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593211
1422-120202
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593212
Status
Status Description
O'REILLY AUTO PARTS
17004807 ASAP OPEN PARTS FROM OCT 31 THRU NOV
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593125
Amount Paid
GENERAL FUND
1422-112808
1422-120525
359
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
49.90 49.90 A
ACH
66.64 66.64 A
ACH
49.99 49.99 A
ACH
150.27 150.27 A
ACH
-150.27 -150.27 A
ACH
140.27 140.27 A
ACH
-140.27 -140.27 A
ACH
10.00 10.00 A
ACH
46.79 46.79 A
ACH
656.82 656.82 A
ACH
-218.04 -218.04 A
ACH
179.98 179.98 A
ACH
77.82 77.82 A
ACH
53.47 53.47 A
ACH
48.96 48.96 A
ACH
30.97 30.97 A
ACH
23.97 23.97 A
ACH
169.98 169.98 A
ACH
-169.98 -169.98 A
ACH
126.59 126.59 A 58.16
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217687 00593212
Vendor Name Description
Acct Amt
01/26/17
21748
1422-120521
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593214
1422-120200
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593215
1422-120747
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593216
1422-120956
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593217
1422-120958
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593218
1422-120960
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593219
1422-121416
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593220
1422-121287
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593221
1422-121285
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593222
2143-354436
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593223
2143-354550
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593224
2143-355789
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593225
2143-356909
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593226
2143-357408
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593227
2143-357003
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593228
2143-357070
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593229
2143-357301
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593230
2143-357409
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593231
2143-357464
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593232
Status
Status Description
O'REILLY AUTO PARTS
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593213
Amount Paid
GENERAL FUND
1422-120525
2143-357401
360
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
58.16 58.16 A
ACH
69.99 69.99 A
ACH
237.46 237.46 A
ACH
19.99 19.99 A
ACH
19.53 19.53 A
ACH
110.94 110.94 A
ACH
219.25 219.25 A
ACH
-25.00 -25.00 A
ACH
70.00 70.00 A
ACH
-70.00 -70.00 A
ACH
13.30 13.30 A
ACH
53.20 53.20 A
ACH
130.30 130.30 A
ACH
117.99 117.99 A
ACH
-117.99 -117.99 A
ACH
42.74 42.74 A
ACH
42.74 42.74 A
ACH
41.88 41.88 A
ACH
51.21 51.21 A
ACH
-17.04 -17.04 A -384.61
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217687 00593232
Vendor Name Description
Acct Amt
01/26/17
21748
2143-357463
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593234
2143-357405
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593235
2143-357692
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593236
2143-357737
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593201
2143-357870
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593200
2143-357872
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593199
2143-357917
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593198
2143-358051
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593197
2143-358075
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593196
2143-358287
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593195
2143-358592
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593194
2143-358435
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593193
2143-358591
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 0210217689 00593137
01/26/17 15294
19972
Total Check per Fund: PEREZ FENCE INC.
17009409 1-5/8 ALUM DOME CAPS (WE-153)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217690 00593140
01/26/17
1434
Total Check per Fund: PETE'S MUFFLER SHOP
8919/12-06-2016 17006675 INSPECTION STICKERS FOR T-85, T-73, T
199-12-6249-00-886-7-99-000 CONTRACTED MAINT & REPAIR 00593139
8863/11-29-2016 17006675 INSPECTION STICKERS FOR T-85, T-73, T
199-12-6249-00-886-7-99-000 CONTRACTED MAINT & REPAIR 00593141
8880/12-01-2016 17006675 INSPECTION STICKERS FOR T-85, T-73, T
199-12-6249-00-886-7-99-000 CONTRACTED MAINT & REPAIR 00593249
Status
Status Description
O'REILLY AUTO PARTS
17007881 ASAP OPEN PARTS FROM JAN 09 THRU JAN
199-00-1310-02-000-7-00-000 INVENTORY-BUS PARTS 00593233
Amount Paid
GENERAL FUND
2143-357401
361
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
9180/01-10-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
-384.61 -384.61 A
ACH
-50.00 -50.00 A
ACH
419.25 419.25 A
ACH
12.61 12.61 A
ACH
139.80 139.80 A
ACH
-139.80 -139.80 A
ACH
119.80 119.80 A
ACH
127.13 127.13 A
ACH
-109.52 -109.52 A
ACH
76.36 76.36 A
ACH
210.04 210.04 A
ACH
-210.04 -210.04 A
ACH
14.68 14.68 A
ACH
185.90 185.90 A
ACH
2,701.88 825.85 825.85 A
ACH
825.85 7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A 7.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217690 00593249
Vendor Name Description
Acct Amt
1434
9175/01-10-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593262
9191/01-11-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593263
9203/01-11-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593264
9222/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593265
9206/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593266
9207/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593267
9208/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593268
9209/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593269
9212/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593270
9214/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593271
9216/01-12-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593272
9237/01-13-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593273
9232/01-13-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593274
9231/01-13-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593275
9227/01-13-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593276
9257/01-16-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593277
9255/01-16-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593278
9292/01-19-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593279
9326/01-23-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593280
Status
Status Description
PETE'S MUFFLER SHOP
9180/01-10-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593261
Amount Paid
GENERAL FUND 01/26/17
362
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
9325/01-23-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A 7.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217690 00593280
Vendor Name Description
Acct Amt
1434
9334/01-23-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593282
9335/01-23-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593283
9303/01-20-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593284
9277/01-18-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593285
9270/01-18-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593286
9258/01-16-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593287
9259/01-16-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593288
9280/01-18-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593289
9291/01-19-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593290
9349/01-24-2017 17008456 STATE INSPECTION STICKERS FOR VECHICL
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593291
9306/01-20-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593292
9299/01-20-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593293
9233/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593294
9220/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593295
9219/01-12-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593296
9213/01-12-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593297
9199/01-11-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593298
9198/01-11-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593260
9226/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593259
Status
Status Description
PETE'S MUFFLER SHOP
9325/01-23-2017 17008458 STATE INSPECTION STICKERS FOR VEHICLE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593281
Amount Paid
GENERAL FUND 01/26/17
363
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
9229/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A 7.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217690 00593259
Vendor Name Description
Acct Amt
1434
INSPECTION STICKERS FOR VECHIC
9230/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593257
9235/01-13-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593256
9271/01-18-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593255
9290/01-19-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593254
9308/01-20-2017 17008457 STATE
INSPECTION STICKERS FOR VECHIC
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593252
9195/01-11-2017 17008581 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00593251
9286/01-19-2016 17008581 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 00593250
9340/01-23-2017 17008581 STATE INSPECTION STICKERS FOR POLICE U
199-52-6249-00-993-7-99-000 CONTRACTED MAINT & REPAIR 0210217691 00593152
01/26/17
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
30044/01-18-201 17009070 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00593150
30042/01-17-201 17009069 EACH LARGE PIZZA TO BE USED FOR COLLE
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00593151
30010/10-22-201 17004188 LG Pizza 1 topping - 2 slice per stud
199-36-6498-40-108-7-99-000 FOOD AND NON FOOD COSTS 00593149
30023/01-16-201 17008677 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00593145
30012/11-12-201 17005972 UIL Meet on Nov. 12th, Meal for Studen
199-36-6498-40-108-7-99-000 FOOD AND NON FOOD COSTS 00593146
40038/12-19-201 17007619 STUDENT MEAL (PIZZA & DRINK TO BE USED
199-11-6412-00-049-7-11-000 TRAVEL - STUDENTS 00593299
30011/01-21-201 17008204 LARGE PEPPERONI PIZZA- 8 SLICES- UIL M
199-36-6498-00-110-7-99-000 FOOD & NON FOOD COSTS 00593300
30005/01-21-201 17009220 LARGE PEPPERONI PIZZA FOR UIL DISTRIC
199-36-6498-40-117-7-99-000 FOOD & NON-FOOD RELATED ITEMS 0210217692 00593142
01/26/17 65858
84689
Total Check per Fund: PINNACLE MEDICAL MANAGEMENT
17007175 ON-SITE NON-DOT PANEL 10 DRUG SCREENIN
199-51-6219-00-956-7-99-000 PROFESSIONAL SERVICES/DRUG SCREENING 0210217694
Status
Status Description
PETE'S MUFFLER SHOP
9229/01-13-2017 17008457 STATE
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 00593258
Amount Paid
GENERAL FUND 01/26/17
01/26/17
4918
364
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: POSITIVE PROMOTIONS
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
7.00 7.00 A
ACH
364.00 40.74 40.74 A
ACH
40.74 40.74 A
ACH
214.17 214.17 A
ACH
38.95 38.95 A
ACH
214.17 214.17 A
ACH
1,375.00 1,375.00 A
ACH
246.62 246.62 A
ACH
122.22 122.22 A
ACH
2,292.61 59.00 59.00 A 59.00
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217694 00593153
Vendor Name Description
Acct Amt
01/26/17
4918
05650703
17007392 Vacuum Thermos Gift
199-23-6497-44-108-7-99-000 AWARDS & INCENTIVES 00593156
05653623
17007227 I MAKE A DIFFERENCE CHARM BRACELET
199-23-6497-00-127-7-99-000 AWARDS & INCENTIVES 0210217696 00593163
01/26/17 367778
122297
Total Check per Fund: PRUFROCK PRESS, INC.
17002729 IIM TEACHING RESEARCH SKILLS K-12 PROD
199-13-6399-34-869-7-21-000 GENERAL SUPPLIES 0210217697
01/26/17
00593306
S1336486-001
7509
Total Check per Fund: PYRAMID SCHOOL PRODUCTS
17004008 Art Kraft Paper Brown 36 in. x 1000 f
199-00-1310-00-000-7-00-000 INVENTORY 0210217700 00593428
01/26/17 129476
1519
Total Check per Fund: REGION ONE ESC
17004197 REGISTRTATION FEE FOR J/LHS(LUIS REYE
199-13-6239-00-004-7-11-000 EDUCATION SERVICE CENTER SERVICES 0210217705 00593750
01/26/17 DEC. 2016
9315
Total Check per Fund: SALAZAR-MEAVE YOLANDA
17000717 TRAVEL FOR THE MONTH OF SEPT. 2016 - A
199-23-6411-01-115-7-99-000 TRAVEL - EMPLOYEES 0210217706 00593852
01/26/17
20897
4005
Total Check per Fund: SALINAS MIGDALIA 01/20/17 - PAC MEETING - REGION ONE,
199-41-6411-00-947-7-99-000 TRAVEL - EMPLOYEES 0210217709
01/26/17
00593756
RG574824-INV1
12278
Total Check per Fund: SCHAEFFER MFG. CO.
17009236 SUPREME 7000 SYNTHETIC PLUS 15W 40 SH
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 00593757
RG574823-INV1
17009031 SUPREME 7000 SYNTHETIC PLUS 15W 40 SH
199-34-6319-00-972-7-99-000 SUPPLIES/MAINT & OPERATIONS 0210217712 00593811
01/26/17 515637-1
1792
Total Check per Fund: TEJAS EQUIPMENT RENTAL
17002835 RENTAL OF 32' SCISSOR LIFT
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 00593810
510952
17009253 RENTAL OF NEUTRAL BIEGE FOLDING CHAIR
199-41-6269-00-943-7-99-000 RENTALS-OPERATING LEASES 00593866
516725-1
17005283 RENTAL OF A 32' SCISSOR LIFT
199-51-6269-01-956-7-99-000 RENTAL OF OFFICE COPIER 00593864
Status
Status Description
POSITIVE PROMOTIONS
17005297 CLASSIC LAPEL PIN WITH PHOTOART - SHIN
199-11-6497-01-891-7-99-000 AWARDS AND INCENTIVES 00593155
Amount Paid
GENERAL FUND
05635680
515547-1
365
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17001755 RIDE-ON TRENCHER
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT
2,105.00 2,105.00 A
ACH
876.46 876.46 A
ACH
745.50 745.50 A
ACH
3,726.96 399.60 399.60 A
ACH
399.60 8,391.00 8,391.00 A
ACH
8,391.00 50.00 50.00 A
ACH
50.00 71.28 71.28 A
ACH
71.28 26.79 26.79 A
ACH
26.79 5,704.32 5,704.32 A
ACH
4,953.90 4,953.90 A
ACH
10,658.22 985.40 985.40 A
ACH
843.00 843.00 A
ACH
985.40 985.40 A
ACH
2,425.60 2,425.60 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217712 00593865
Vendor Name Description
Acct Amt
01/26/17
1792
00593867
01/26/17 8122
109045
Total Check per Fund: TELE-PRO COMMUNICATIONS
17000733 NETWORK CABLING SERVICES FOR LA JOYA
199-51-6249-01-942-7-99-000 CONTRACTED SERVICES 0210217716 00593889
01/26/17 5861
13502
Total Check per Fund: TRAVEL ADVISORS INTERNATIONAL
17000031 HOTEL RESERVATIONS FOR ESPERANZA OCHOA
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 00593875
6096
17008476 HOTEL RESERVATIONS & PARKING FEES FOR
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 00593887
6097
17008476 HOTEL RESERVATIONS & PARKING FEES FOR
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 00593888
6098
17008476 HOTEL RESERVATIONS & PARKING FEES FOR
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 00593876
5909
ROUND TRIP AIR TRANSP. & HOTEL-ESPIE O
199-41-6419-00-702-7-99-000 TRAVEL & SUB/NON-EMPLOYEES 00593877
6056
17006417 AIRFARE
& HOTEL FOR MS. MARIBEL VIGI
199-13-6411-01-891-7-99-000 TRAVEL - EMPLOYEE ONLY 00593878
6035
17006313 AIRFARE
& HOTEL FOR MS. SANTOS PALOMO
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593879
6057
17007280 AIRFARE & HOTEL FOR RAMON MENCHACA VEN
199-13-6411-01-891-7-99-000 TRAVEL - EMPLOYEE ONLY 00593880
6058
17007278 AIRFARE & HOTEL FOR DANIEL REY GARZA V
199-13-6411-01-891-7-99-000 TRAVEL - EMPLOYEE ONLY 00593881
6059
17006512 AIRFARE
& HOTEL FOR MS. ARNOLDO SALIN
199-13-6411-01-891-7-99-000 TRAVEL - EMPLOYEE ONLY 00593882
6075
17007746 AIRFARE & HOTEL FOR SILVIA ELIZONDO #
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593883
6029
17005832 AIRFARE & HOTEL FOR RAUL GONZALEZ VEND
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593884
6062
17005832 AIRFARE & HOTEL FOR RAUL GONZALEZ VEND
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593885
6061
17005832 AIRFARE & HOTEL FOR RAUL GONZALEZ VEND
199-23-6411-01-891-7-99-000 TRAVEL EMPLOYEE 00593886
6028
17005557 AIRFARE
& HOTEL FOR GUADALUPE CHAVEZ
199-21-6411-01-891-7-99-000 TRAVEL EMPLOYEE 0210217719 00593844
Status
Status Description
TEJAS EQUIPMENT RENTAL
17007309 RENTAL OF A SCISSOR LIFT
199-51-6269-00-956-7-99-000 RENTAL EQUIPMENT 0210217713
Amount Paid
GENERAL FUND
516725A-1
01/26/17
124320
366
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: WARREN BRIAN JAMES
CONTEST MANAGER 17009458 OFFICIAL FOR THE LA JOYA MIDDLE SCHOO
199-36-6291-00-839-7-99-000 CONSULTING SERVICES
885.40 885.40 A
ACH
6,124.80 490.21 490.21 A
ACH
490.21 158.40 158.40 A
ACH
287.00 287.00 A
ACH
574.00 574.00 A
ACH
574.00 574.00 A
ACH
1,150.67 1,150.67 A
ACH
872.94 872.94 A
ACH
987.46 987.46 A
ACH
872.94 872.94 A
ACH
872.94 872.94 A
ACH
787.46 787.46 A
ACH
358.00 358.00 A
ACH
827.94 827.94 A
ACH
872.94 872.94 A
ACH
872.94 872.94 A
ACH
872.94 872.94 A
ACH
10,942.57 1,500.00 1,500.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/26/17
124320
WARREN BRIAN JAMES
0210217720
01/26/17
2987
Total Check per Fund: WILLIAM V. MACGILL & CO.
IN0583075
17007956 ECONOMY THROAT LOZENGES CHERRY
Total Check per Fund: 00594452
01/27/17 SHEILA MATA
612
00594394
01/27/17
17009305 REGISTRATION FEE FOR ADMINISTATOR SHE
3398914
38814
00594395
01/27/17
Total Check per Fund: BARNES & NOBLE, INC.
17008735 BOOKS WILL BE USED FOR STAFF DEVELOPM
398268
125741
00594410
01/27/17
Total Check per Fund: BAZAN'S PLUMBING
17008223 CONVERT MOP SINK AND RESTROOM AND CONN
05 878222
333
00594397
01/27/17 GRF7944
GRF7944
GBT3832
GFH6801
224.43 C 8 PORT
GQC8812
17009319 FUJITSU SCAN SNAP 1X500 FOR JLHS(INST
199-23-6397-00-004-7-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217729
01/27/17
00594408
S2221458.001
400
Total Check per Fund: CENTRAL PLUMBING & ELECTRIC
17009144 INT T102 T/CLOCK SPST 208/277 TIME CLO
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594407
S2222199.001
17009480 SC 52C1 4"AQ. BLANK COVER (ELE-236)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 00594406
S2222403.001
17009479 SIMKAR 06-11644 WRW44-A-B21-LP 4LT 4'W
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES Total Check per Fund: 0210217730
01/27/17
23200
CHICK-FIL-A
Computer
Computer
469.25 469.25 C
17005422 2347862 TI NSPIRE CX GRAPHING CALC SE
199-11-6395-54-028-7-99-000 FURN & EQUIP COST <$500.00 00594401
Computer
305.24
224.43
17006216 DELL BLACK TONER
17001216 NETGEAR GS208 - SWITCH-
Computer
11,500.00
274.27 C
199-23-6399-00-028-7-11-000 GENERAL SUPPLIES 00594404
11,500.00
274.27
17006216 TONER FOR DELL B2360D
199-23-6399-00-007-7-99-000 GENERAL SUPPLIES 00594400
Computer
484.16
305.24 C
Total Check per Fund: CDW GOVERNMENT, INC.
199-11-6399-00-007-7-11-000 GENERAL SUPPLIES 00594399
484.16
305.24
17009126 TOW HITCH (AUTO-136)
20155
Computer
90.00
11,500.00 C
Total Check per Fund: COMMERCIAL BILLING SERVICE
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217728
90.00
484.16 C
199-51-6249-00-956-7-99-000 CONT. MAINTENANCE & REPAIR 0210217727
ACH
104.05
90.00 C
199-13-6329-00-123-7-99-000 READING MATERIALS 0210217725
104.05
ATPE
199-23-6495-00-123-7-99-000 MEMBERSHIP FEES 0210217724
Status Description
1,500.00
104.05 A
199-33-6399-00-127-7-99-000 GENERAL SUPPLIES 0210217723
Status
GENERAL FUND
0210217719
00593848
367
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
4,611.96 4,611.96 C
Computer
1,416.42 1,416.42 C
Computer
6,996.33 277.83 277.83 C
Computer
247.93 247.93 C
Computer
307.15 307.15 C 832.91
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
199
0210217730 00594409
Vendor Name
PO No
Description
Acct Amt
01/27/17
23200
00594412
01/27/17 408
53295
Total Check per Fund: CROWD PLEASERS DANCE CAMPS, INC.
17009740 LA JOYA H.S. DRILL TEAM - ENTRY FEES
199-36-6412-91-001-7-99-010 TRAVEL - STUDENTS 0210217735 00594416
01/27/17 10367
38431
Total Check per Fund: DURATEX APPAREL
17008981 STAFF JACKETS WITH LOGO EMBROIDERED A
199-23-6497-00-116-7-99-000 AWARDS AND INCENTIVES 0210217739 00594424
01/27/17 981
42307
Total Check per Fund: EXCLUSIVE DECALS & SCREENPRINTING
17009352 WELLNESS T-SHIRTS FOR WELLNESS ACTIVI
199-23-6497-44-116-7-99-000 AWARDS & INCENTIVES 0210217740 00594425
01/27/17 4249555
46515
Total Check per Fund: FERGUSON ENTERPRISES, INC. #116
17008634 LF 3 DBL CHK VALVE W/NRS RSS
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217745 00594471
01/27/17 M535085
21150
Total Check per Fund: MINORITIES & SUCCESS
17009206 Compliance & Outreach package (public
199-41-6499-00-701-7-99-000 MISC OPERATING COSTS 00594471
M535085
17009206
199-41-6499-01-701-7-99-000 MISC OPERATING COSTS 0210217746 00594474
01/27/17
120669
Total Check per Fund: MUSIC FOR ALL, INC.
LJHS/11-03-2017 17009947 LA JOYA H.S. BAND - ENTRY FEES FOR 20
199-36-6412-30-001-7-11-010 TRAVEL - STUDENTS 0210217747 00594472
01/27/17
120669
Total Check per Fund: MUSIC FOR ALL, INC.
JLHS/11-03-2017 17009944 EARLY REGISTRATION FOR BANDS OF AMERI
199-36-6412-30-004-7-11-010 TRAVEL - STUDENTS 0210217748 00594473
01/27/17 PHS/11-03-2017
120669
Total Check per Fund: MUSIC FOR ALL, INC.
17009943 PALMVIEW H.S. BAND - EARLY REGISTRATIO
199-36-6412-30-007-7-11-010 TRAVEL - STUDENTS 0210217750 00594477
01/27/17 DEC. 2016
73938
Total Check per Fund: OYERVIDES VICTORIA
17000901 MILEAGE FOR HOME VISITS FROM SEPT. 20
199-23-6411-00-001-7-99-000 TRAVEL - EMPLOYEES 0210217751 00594478
Status
Status Description
CHICK-FIL-A
17002546 ON JANUARY 25,2016 AT 4:15PM FIFTY STU
199-11-6498-00-027-7-11-000 FOOD & NON-FOOD RELATED ITEMS 0210217732
Amount Paid
GENERAL FUND
0183716827
01/27/17 01-24-2017
133086
368
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: PABLO'S SCRAP METAL & USED AUTO PARTS
17008863 INSPECTION STICKER FOR 10 BUSES
275.00 275.00 C
Computer
275.00 750.00 750.00 C
Computer
750.00 500.00 500.00 C
Computer
500.00 390.00 390.00 C
Computer
390.00 2,000.00 2,000.00 C
Computer
2,000.00 3,000.00 3,000.00 C
Computer
1,995.00 1,995.00 C
Computer
4,995.00 875.00 875.00 C
Computer
875.00 1,850.00 1,850.00 C
Computer
1,850.00 1,850.00 1,850.00 C
Computer
1,850.00 44.82 44.82 C 44.82 70.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
0210217751 00594478
Vendor Name Amount Paid
Description
Acct Amt
01/27/17
133086
00594479
01/27/17 643633
10033
00594485
01/27/17
17004430 #112584P WAVE SECTION TO SLIDE RED
0087439-IN
5297
17007630 THIS ORDER IS FOR LA JOYA ISD WELLNES
00594439
01/27/17 001315
2924
17009232 WATER
(PERFECT ATTENDANCE
& HONOR RO
199-11-6498-00-001-7-11-000 FOOD & NON-FOOD RELATED ITEMS 0210217759 00594465
01/27/17
3125
Total Check per Fund: UIL MUSIC REGION 15
SAENZ CHOIR/2-2 17009828 DR. SAENZ M.S. CHOIR - ENTRY FEES FOR
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217760 00594453
01/27/17 1071
56464
Total Check per Fund: CASAS HOMERO JR.
17009039 WELLNESS SHIRTS FOR SOFTBALL TOURNAMEN
199-23-6497-44-028-7-99-000 WELLNESS 0210217762 00594434
01/27/17 006118
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17006421 ALL ITEMS WILL BE USED FOR TEACHER TRA
199-13-6498-57-831-7-30-000 FOOD AND NON FOOD COSTS 00594426
006883
17006421 ALL ITEMS WILL BE USED FOR TEACHER TRA
199-13-6498-57-831-7-30-000 FOOD AND NON FOOD COSTS 00594428
006904
17006421 ALL ITEMS WILL BE USED FOR TEACHER TRA
199-13-6498-57-831-7-30-000 FOOD AND NON FOOD COSTS 00594436
002349
17006000 ALL ITEMS WILL BE USED WHEN CONDUCTING
199-13-6498-57-830-7-30-000 FOOD AND NON FOOD COSTS 00594435
000065
17006000 ALL ITEMS WILL BE USED WHEN CONDUCTING
199-13-6498-57-830-7-30-000 FOOD AND NON FOOD COSTS 0210217764 00594450
01/27/17 4425095797
3022
Total Check per Fund: APPLE COMPUTER, INC.
17006007 MACBOOK PRO 13-INCH WITH TOUCH BAR -
199-12-6397-00-888-7-99-000 TECH EQUIP FROM 500-4999.99 0210217767 00594454
01/27/17 4267
9409
Total Check per Fund: LONGHORN BUS SALES
17007066 REPAIR ENGINE LIGHT ( DEF LIGHT )
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR
729.27 Computer
729.27 15,590.00 15,590.00 C
Total Check per Fund: SAM'S CLUB DIRECT
Computer
70.00
729.27 C
Total Check per Fund: PROMAXIMA MANUFACTURING, LTD
199-41-6398-44-863-7-99-050 EQUIPMENT OVER $500 0210217757
70.00 70.00 C
Total Check per Fund: PARK PLACE RECREATION DESIGNS
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 0210217753
Status Description
PABLO'S SCRAP METAL & USED AUTO PARTS
17008863 INSPECTION STICKER FOR 10 BUSES
199-34-6249-00-972-7-99-000 CONTRACTED MAINT & REPAIR 0210217752
Status
GENERAL FUND
01-24-2017
369
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
15,590.00 173.00 173.00 C
Computer
173.00 380.00 380.00 C
Computer
380.00 300.00 300.00 C
Computer
300.00 63.68 63.68 C
Computer
20.44 20.44 C
Computer
29.91 29.91 C
Computer
139.80 139.80 C
Computer
15.00 15.00 C
Computer
268.83 27.00 27.00 A
ACH
27.00 788.20 788.20 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
9409
LONGHORN BUS SALES
0210217768
01/27/17
107034
Total Check per Fund: MATTS BUILDING MATERIALS INC.
00594467
01-1022495-00
17000674 (L85) CONCRETE MIX 80LBS BAG
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 01/27/17 15292
19972
Total Check per Fund: PEREZ FENCE INC.
17009219 2 3/8" TENSION BANDS (NO BOLTS)
199-51-6319-00-956-7-99-000 MAINTENANCE SUPPLIES 01/27/17
0210217771 00594483
1436
Total Check per Fund: PIZZA OPERATING PARTNERS
30038/01-25-201 17009792 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 00594481
30001/01-21-201 17009413 LUNCH PIZZAS FOR STUDENTS PARTICIPATIN
199-36-6498-00-123-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00594484
30006/01-21-201 17009221 LARGE PIZZA FOR STUDENTS ATTENDING UI
199-36-6498-40-113-7-99-000 FOOD & NON-FOOD RELATED ITEMS 00594482
30022/01-21-201 17009415 EACH LARGE PIZZA TO BE USED FOR COLLEG
199-11-6498-00-015-7-11-000 FOOD & NON-FOOD RELATED ITEMS 01/27/17
0210217772 00594459
129638
1519
Total Check per Fund: REGION ONE ESC
17008569 THE FOLLOWING EMPLOYEES WILL TAKE 8HR
199-34-6239-00-972-7-99-000 EDUCATION SVC CENTER SVCS 01/27/17
0210217773 00594442
6076
13502
Total Check per Fund: TRAVEL ADVISORS INTERNATIONAL
17007647 AIRFARE & HOTEL FOR DANIEL THOMAS PLA
199-13-6411-01-891-7-99-000 TRAVEL - EMPLOYEE ONLY 01/27/17
0210217774 00594443
IN0584480
2987
Total Check per Fund: WILLIAM V. MACGILL & CO.
17007244 Detecto Pro Doc Digital Scale with Dig
199-33-6398-00-007-7-99-000 FURN & NON TECH EQUIP $500-$4,999.99 01/27/17
0210217775 00594490
0863-001253353
116190
Total Check per Fund: REPUBLIC SERVICES #863
17006855 REMOVAL OF EXCESSIVE BRUSH AT LA JOYA
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 00594491
0863-001254215
17007018 WASTE SERVICES FOR ROLL OFF BINS AT SA
199-51-6259-04-961-7-99-000 UTILITIES - SOLID WASTE 01/27/17
0210217776 00594493
1
129798
Total Check per Fund: SPRINGHILL SUITES
17008381 PALMVIEW H.S. BAND - ROOM RENTAL FOR
199-36-6412-30-007-7-11-010 TRAVEL - STUDENTS 0210217777
Status
Status Description
GENERAL FUND 01/27/17
00594480
Amount Paid Acct Amt
0210217767
0210217770
01/27/17
1530
370
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: TEXAS LIBRARY ASSOCIATION
788.20 242.68 242.68 A
ACH
242.68 527.00 527.00 A
ACH
527.00 54.32 54.32 A
ACH
183.33 183.33 A
ACH
190.12 190.12 A
ACH
47.53 47.53 A
ACH
475.30 300.00 300.00 A
ACH
300.00 827.94 827.94 A
ACH
827.94 546.25 546.25 A
ACH
546.25 5,542.44 5,542.44 M
Manual
2,139.74 2,139.74 M
Manual
7,682.18 464.34 464.34 M 464.34
Manual
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Description
01/27/17
00594501
BT1PF2F4D1C4
Acct Amt
1530
BT1PF2F4D1C4
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594499
BP1PDFCFBAF1
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594498
BQ1PE1704184
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594497
BL1PE30CC2A8
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594496
BQ1PE13D2A4D
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594495
BR1PE18DA237
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594494
BP1PDFAC1F42
17008583 LA JOYA ISD 2016-2017 TEXAS YOUTH CREA
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 0210217778 00594487
01/27/17
96946
Total Check per Fund: HUDSON ENERGY SERVICES LLC
S1701110001-000 17005769 Electricity Bill received Nov, Dec, 2
199-51-6259-01-961-7-99-000 UTILITIES - ELECTRICAL 00594486
1701022647
17005769 Electricity Bill received Nov, Dec, 2
199-51-6259-01-961-7-99-000 UTILITIES - ELECTRICAL 00594488
1701022656
17005769 Electricity Bill received Nov, Dec, 2
199-51-6259-01-961-7-99-000 UTILITIES - ELECTRICAL 00594489
1701022635
17005769 Electricity Bill received Nov, Dec, 2
199-51-6259-01-961-7-99-000 UTILITIES - ELECTRICAL Total Check per Fund: 0210217780 00594503
01/31/17
704
200108
JLHS TAME STATE MARIACHI FINALS IN SA
01/31/17
120529
4184
00594505
01/31/17
LJHS TAME STATE MARIACHI FINALS IN SA
17089
2995
Total Check per Fund: GARCIA MAYRA A. STATE MARIACHI FINALS T.A.M.E.
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS 0210217783 00594507
01/31/17 1537
139343
760.00 M
Manual
160.00 160.00 M
Manual
10.00 10.00 M
Manual
10.00 10.00 M
Manual
10.00 10.00 M
Manual
10.00 10.00 M
Manual
10.00 10.00 M
Manual
10.00 10.00 M
Manual
980.00 358,760.73 358,760.73 M
Manual
166.57 166.57 M
Manual
66.24 66.24 M
Manual
19.35 19.35 M
Manual
359,012.89 958.00 Computer
958.00
CANTU MARTIN
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS 0210217782
760.00
958.00 C Total Check per Fund:
00594504
Status Description
CANTU EMILIO
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS 0210217781
Status
TEXAS LIBRARY ASSOCIATION
17008475 lA JOYA ISD 2016-17 TEXAS YOUTH CREATO
199-11-6412-00-888-7-99-000 TRAVEL - STUDENTS 00594500
Amount Paid
GENERAL FUND
0210217777
371
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MONTELONGO ANDRES FUEL
199-34-6311-00-972-7-99-000 GAS & OTHER FUELS
1,026.00 1,026.00 C
Computer
1,026.00 918.00 918.00 C
Computer
918.00 100.00 100.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
199
Vendor Name Amount Paid
Description
Acct Amt
01/31/17
139343
MONTELONGO ANDRES
0210217784
01/31/17
27944
Total Check per Fund: SHOWTIME INTERNATIONAL
831
17009815 LA JOYA HS DRILL TEAM - TEAM REGISTRA
00594509
01/31/17
128953
Total Check per Fund: TAME-TEXAS ASSOC. OF MARIACHI EDUCATORS
JLHS MARIACHI/F 17009819 ENTRY FEE FOR STATE ADVANCEMENT FOR JU
01/31/17
3125
Total Check per Fund: UIL MUSIC REGION 15
CHAVEZ ORC/2-21 17010095 ENTRANCE FEE FOR
00594513
CHAVEZ MIDDLE SCHOO
01/31/17
3125
Total Check per Fund: UIL MUSIC REGION 15
SALINAS ORC/2-2 17010095 ENTRANCE FEE FOR
00594514
CHAVEZ MIDDLE SCHOO
01/31/17
0210217788
3125
Total Check per Fund: UIL MUSIC REGION 15
TREVINO CHOIR/2 17010096 TREVINO CHOIR - ENTRY FEES FOR REGION
00594515
01/31/17
6963
Total Check per Fund: THE UNIVERSITY OF TEXAS
LJHS MARIACHI/3 17009936 ENTRY FEE--UIL STATE MARIACHI FESTIVA
00594512
JLHS MARIACHI/3 17009936 ENTRY FEE--UIL STATE MARIACHI FESTIVA
00594511
PHS MARIACHI/3- 17009936 ENTRY FEE--UIL STATE MARIACHI FESTIVA
01/18/17
0290005633
110701
1817130972
00592865
Total Check per Fund: TEXAS COMPTROLLER OF PUBLIC ACCOUNTS W/T TAX REPORT P-E 12-31-16
211
0210215865 00586827
Computer
380.00 225.00 Computer
225.00 Computer
225.00 Computer
675.00 831.24
831.24
Total Fund:
3,845,338.09
Manual
ESEA TITLE 1 PART A 01/10/17
IN865732
18896
DAHILL INDUSTRIES
17002561 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN906541
17002561 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-21-6269-93-847-7-30-000 RENTALS-OPERATING LEASES 00586829
380.00
Total Check per Fund:
211-21-6269-93-847-7-30-000 RENTALS-OPERATING LEASES 00586828
Computer
380.00
831.24 M
199-00-2181-01-000-7-00-000 DUE TO STATE - SALES TAX
Fund:
380.00
225.00 C
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS
Computer
380.00
225.00 C
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS 00594510
380.00
225.00 C
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS
Computer
250.00
380.00 C
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217789
250.00
380.00 C
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS
Computer
765.00
380.00 C
199-36-6412-00-893-7-99-000 TRAVEL - STUDENTS 0210217787
765.00
250.00 C
199-36-6412-00-935-7-99-000 TRAVEL -STUDENTS 0210217786
Status Description
100.00
765.00 C
199-36-6412-91-001-7-99-010 TRAVEL - STUDENTS 0210217785
Status
GENERAL FUND
0210217783
00594508
IN945220
372
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002561 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-21-6269-93-847-7-30-000 RENTALS-OPERATING LEASES
-228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
211
0210215865 00586854
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/10/17
18896
IN906552
IN945231
IN983078
IN983067
00590918
01/12/17 27135
128791
ON-LINE ON
211-11-6399-00-115-7-30-000 GENERAL SUPPLIES 0210216625 00590571
01/12/17 IN1018990
18896
Total Check per Fund: DAHILL INDUSTRIES
17001864 RENTAL OF XEROX 5875 APT DIGITAL COPI
211-21-6269-51-844-7-30-000 RENTALS - OPERATING LEASES 00590576
IN1018979
17002561 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-21-6269-93-847-7-30-000 RENTALS-OPERATING LEASES 00590591
IN865733
17001238 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-13-6269-32-831-7-30-010 RENTALS 00590592
IN906542
17001238 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-13-6269-32-831-7-30-010 RENTALS 00590593
IN945221
17001238 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-13-6269-32-831-7-30-010 RENTALS 00590594
IN983068
17001238 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-13-6269-32-831-7-30-010 RENTALS 0210216686 00590659
01/12/17 21706
77976
Total Check per Fund: IMP/INTERNATIONAL MEETING PLANNERS, INC.
17007368 Registration Fee: Velma Ochoa #11856
211-61-6411-43-901-7-30-000 TRAVEL - EMPLOYEES 0210216717 00591150
01/12/17 565127
16632
Total Check per Fund: PAST & PRESENT
17008203 25 AWARD PICTURE FRAMES - DAC (PARENT
211-61-6497-43-901-7-30-000 AWARDS AND INCENTIVES 0210216738 00591034
01/12/17 210109
1520
Total Check per Fund: REGION XIII ESC
17000710 REGISTRATION FEE FOR ADVANCED IMPROVEM
211-21-6239-60-874-7-30-010 EDUCATION SVC CENTER SVCS 0210216810
01/12/17
21388
-228.21 -228.21 CV Computer Void
Total Check per Fund: ACCELERATE LEARNING INC.
17007762 STEMSCOPES 2.0 TX. GRADE 5
-349.44 -349.44 CV Computer Void
17002561 RENTAL OF XEROX 5955APT DIGITAL COPIER
211-21-6269-93-847-7-30-000 RENTALS-OPERATING LEASES 0210216570
-349.44 -349.44 CV Computer Void
17001864 RENTAL OF XEROX 5875 APT DIGITAL COPI
211-21-6269-51-844-7-30-000 RENTALS - OPERATING LEASES 00587014
-349.44 -349.44 CV Computer Void
17001864 RENTAL OF XEROX 5875 APT DIGITAL COPI
211-21-6269-51-844-7-30-000 RENTALS - OPERATING LEASES 00587009
-349.44 -349.44 CV Computer Void
17001864 RENTAL OF XEROX 5875 APT DIGITAL COPI
211-21-6269-51-844-7-30-000 RENTALS - OPERATING LEASES 00586856
Status Description
DAHILL INDUSTRIES
17001864 RENTAL OF XEROX 5875 APT DIGITAL COPI
211-21-6269-51-844-7-30-000 RENTALS - OPERATING LEASES 00586855
Status
ESEA TITLE 1 PART A
IN865743
373
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
-2,310.60 1,527.90 1,527.90 C
Computer
1,527.90 349.44 349.44 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
228.21 228.21 C
Computer
1,490.49 175.00 175.00 C
Computer
175.00 175.00 175.00 C
Computer
175.00 325.00 325.00 C 325.00
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
211
0210216810 00590922
Vendor Name
PO No
Amount Paid
Description
Acct Amt
01/12/17
21388
AIS PREMIUM COMPATIBLE D
128642
128631
Middle School for Activiti
17008069 QUOTATION #
128573
17007957 ITEM IS GOING TO BE USE FOR RESULTS. B
211-11-6397-00-024-7-99-000 TECH EQUIP $500 - $4999 0210216816 00590979
01/12/17 4420676255
3022
Total Check per Fund: APPLE COMPUTER, INC.
17007436 9.7-inch iPad Pro Wi-Fi 128GB – Gold
211-13-6397-46-877-7-30-000 TECH EQUIP COST > 500 - $4999 00590978
4421802893
17007436 9.7-inch iPad Pro Wi-Fi 128GB – Gold
211-13-6397-46-877-7-30-000 TECH EQUIP COST > 500 - $4999 00590976
4417774078
4420912492
4420912492
4420872855
00591073
01/12/17 1249396
124621
Total Check per Fund: BLACKBOARD INC
17001705 PARENT LINK CUSTOMER SERVICE CARE -20
211-61-6299-43-901-7-30-000 MISC CONTRACTED SERVICES 0210216836 00590209
01/12/17 10125057267
9529
Total Check per Fund: DELL MARKETING L.P.
17004878 DELL NETWORKN GN2048P FIXED PORTS FOR
211-11-6397-00-004-7-30-000 Technology Equipment <5000 0210216838 00590238
01/12/17 10210
120219
Total Check per Fund: DOYLENE & ASSOCIATES INC
17002331 FIRE 7'KINDLES DISPLAY WI-FI 8 GB - IN
211-11-6397-00-115-7-30-000 TECHNOLOG EQUIP COST $500 - 4,999 0210216881 00591093
01/12/17 211591
21123
Total Check per Fund: MENTORING MINDS, L.P.
17008038 50320
TOTAL MOTIVATION READING LEVE
211-11-6399-00-124-7-30-000 GENERAL SUPPLIES 0210216897 00591144
01/12/17 OCT. 2016
11856
1,134.21 A
ACH
4,169.32 99.00 99.00 A
ACH
676.00 676.00 A
ACH
120.00 A
ACH
91.00 A
ACH
17.50 A
ACH
135.00
17007329
211-13-6399-46-877-7-30-000 GENERAL SUPPLIES 0210216824
ACH
17.50
17007329
211-13-6399-46-877-7-30-000 GENERAL SUPPLIES 00590974
316.00 A 1,134.21
91.00
17007329
211-13-6395-46-877-7-30-000 FURN & EQUIP < $500 00590975
ACH
316.00
120.00
17007329
211-13-6395-46-877-7-30-000 FURN & EQUIP < $500 00590975
ACH
331.11 331.11 A
JR-2313 Toner for Middle
211-11-6399-54-831-7-30-010 GENERAL SUPPLIES 00590924
2,388.00 2,388.00 A
17008300 Toner for
211-11-6399-54-831-7-30-010 GENERAL SUPPLIES 00590921
Status Description
ADVANTAGE IMAGING SUPPLY, INC.
17008298 90-3302649
211-11-6399-00-124-7-30-000 GENERAL SUPPLIES 00590931
Status
ESEA TITLE 1 PART A
128641
374
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: OCHOA VELMA P.
17001356 Mileage for Velma Ochoa VN# 181578 Sep
211-61-6411-43-901-7-30-000 TRAVEL - EMPLOYEES
135.00 A
ACH
1,138.50 18,321.25 18,321.25 A
ACH
18,321.25 1,507.44 1,507.44 A
ACH
1,507.44 1,815.00 1,815.00 A
ACH
1,815.00 1,815.75 1,815.75 A
ACH
1,815.75 43.20 43.20 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
211
0210216897 00591145
Vendor Name Description
Acct Amt
01/12/17
11856
00591029
MCALLEN TEXAS
01/12/17 127735
1519
Total Check per Fund: REGION ONE ESC
17001370 REGISTRATION FEE FOR BRENDA GARCIA VN
211-13-6239-32-831-7-30-010 EDUCATION SVC CENTER SVCS 0210216917 00591039
01/12/17 40254
128660
Total Check per Fund: RIVERA EDUCATIONAL CONSULTING, LLC.
17005192 CONSULTANT WILL PROVIDE TRAINIG FOR PA
211-11-6291-61-007-7-30-000 CONSULTANT SERVICES 00591038
40253
17005192 CONSULTANT WILL PROVIDE TRAINIG FOR PA
211-11-6291-61-007-7-30-000 CONSULTANT SERVICES 0210216923 00591046
01/12/17 OCT. 2016
112569
Total Check per Fund: RODRIGUEZ LUPITA
17001375 Mileage for Lupita Rodriguez from Sep
211-61-6411-43-901-7-30-000 TRAVEL - EMPLOYEES 00591047
DEC. 2016
17001375 Mileage for Lupita Rodriguez from Sep
211-61-6411-43-901-7-30-000 TRAVEL - EMPLOYEES 0210216965 00591628
01/13/17 128480
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17007323 AIS PREMIUM COMPATIBLE BLACK TONER CAR
211-11-6399-00-001-7-30-000 GENERAL SUPPLIES 00591625
128502
128483
17007324 HP LASER JET PRO 400 m401dn CARTRIDGE
00592503
127
130753
00592516
01/19/17
17001441 CONSULTING SERVICES WITH LILLIANA JAUR
4495671216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17007476 THESE ITEMS WILL BE PURCHASED FOR ALL
211-11-6395-00-124-7-30-000 FURN & EQUIP COST <$500.00 0210217098
01/19/17
00592683
681619220-01
7114
Total Check per Fund: ORIENTAL TRADING COMPANY, INC.
17008045 EACH ASSORTED BOOKMARK (144 PIECES) I
211-11-6497-27-831-7-30-010 AWARDS & INCENTIVES 0210217134 00592098
01/19/17 17004990_12-16
131300
300.00 300.00 A
ACH
300.00 2,000.00 2,000.00 A
ACH
1,000.00 1,000.00 A
ACH
3,000.00 8.64 8.64 A
ACH
2.60 2.60 A
ACH
11.24 156.00 ACH
3,310.00 ACH
3,078.00 ACH
6,544.00
ANSWER BLOCKS
211-13-6291-32-832-7-30-010 CONSULTING SERVICES-SPEAKER/TRAININGS 0210217077
ACH
59.40
3,078.00 A Total Check per Fund:
01/19/17
16.20 A
3,310.00 A
211-11-6399-00-001-7-30-000 GENERAL SUPPLIES 0210217003
Status Description
16.20
156.00 A
17007539 HP 400 M401n CARTRIDGE
211-11-6399-00-001-7-30-000 GENERAL SUPPLIES 00591627
Status
OCHOA VELMA P.
211-61-6411-43-901-7-30-000 TRAVEL - EMPLOYEES 0210216916
Amount Paid
ESEA TITLE 1 PART A
4591
375
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: SIRIUS EDUCATION SOLUTIONS
17004990 EOC ENGLISH I READING AND WRITING WOR
211-11-6399-00-001-7-30-000 GENERAL SUPPLIES
1,800.00 1,800.00 C
Computer
1,800.00 3,066.60 3,066.60 C
Computer
3,066.60 232.16 232.16 C
Computer
232.16 8,800.00 8,800.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
211
Vendor Name Description
131300
SIRIUS EDUCATION SOLUTIONS
0210217166
01/19/17
16331
Total Check per Fund: WARD'S NATURAL SCIENCE
8046307530
17001801 CATALOG # 949111 PREPARED SLIDE E LET
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 8046307531
17001801 CATALOG # 949111 PREPARED SLIDE E LET
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592132
8046626280
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592133
8046634070
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592134
8046640374
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592135
8046658451
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592136
8046658452
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592137
8047063246
17004833 CUVETTES DISPO 45X12.55X12.55MM PK100
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592138
8046353524
17002202 MODEL ANIMAL CELL MITOSIS CATALOG # 8
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592139
8046451010
17002202 MODEL ANIMAL CELL MITOSIS CATALOG # 8
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592140
8046381624
17002202 MODEL ANIMAL CELL MITOSIS CATALOG # 8
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592141
8041954967
17001801 CATALOG # 949111 PREPARED SLIDE E LET
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 00592142
8041954968
17001801 CATALOG # 949111 PREPARED SLIDE E LET
211-11-6399-00-010-7-30-000 GENERAL SUPPLIES 0210217191 00592301
01/19/17 4327720-0
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17006242 EACH REAM OF PAPER WILL BE FOR INTERV
211-11-6399-27-830-7-30-010 GENERAL SUPPLIES 00592302
4328174-0
17006243 EACH ITEM WILL BE FOR STUDENTS IN INT
211-11-6399-27-831-7-30-010 GENERAL SUPPLIES 00592290
4331326-0
17007468 Items for Lesson Designed Lab Session
211-13-6399-54-832-7-30-010 GENERAL SUPPLIES 00592283
4346553-0
17008254 PISTOL GRIP PACKINGING TAPE DISPENSER
211-21-6399-65-865-7-30-000 GENERAL SUPPLIES 00592410
4320745-0
17005432 Velocity Retractable Ballpoint Pen
211-13-6399-46-877-7-30-000 GENERAL SUPPLIES 00592413
Status
Status Description
ESEA TITLE 1 PART A 01/19/17
00592131
Amount Paid Acct Amt
0210217134
00592130
4340510-0
376
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17007708 EACH PONY BEADS PLASTIC 6MMX9MM IN AS
211-11-6399-27-831-7-30-010 GENERAL SUPPLIES
8,800.00 1,767.60 1,767.60 C
Computer
19.56 19.56 C
Computer
599.00 599.00 C
Computer
174.69 174.69 C
Computer
80.96 80.96 C
Computer
29.58 29.58 C
Computer
40.98 40.98 C
Computer
153.00 153.00 C
Computer
721.66 721.66 C
Computer
9.35 9.35 C
Computer
658.16 658.16 C
Computer
-44.77 -44.77 C
Computer
-35.44 -35.44 C
Computer
4,174.33 741.26 741.26 A
ACH
1,392.68 1,392.68 A
ACH
406.69 406.69 A
ACH
966.94 966.94 A
ACH
51.68 51.68 A
ACH
33.63 33.63 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
211
0210217191 00592412
Vendor Name
PO No
Description
Acct Amt
01/19/17
111058
4340362-0
00592311
01/19/17 DEC. 2016
27332
GONZALEZ
Total Check per Fund: ROSA ISELA
17000628 MILEAGE REIMBURSEMENT FOR GENERAL EDU
00592628
01/19/17 I0488962
29033
Total Check per Fund: MASTERY EDUCATION
17006153 TX MU DELUXE: EOC ENGLISH II STUDENT W
211-11-6399-00-004-7-30-000 GENERAL SUPPLIES 0210217250 00592128
01/19/17 DEC. 2016
7647
17001771 Mileage for Dr. Anysia Trevino, Execu
211-21-6411-51-844-7-30-000 EMPLOYEE TRAVEL 0210217251 00592540
01/19/17 DEC. 2016
72826
17000749 MILEAGE REIMBURSEMENT FOR GERARDO VALD
211-11-6411-52-867-7-30-000 TRAVEL - EMPLOYEES 0210217255 00592221
01/19/17 DEC. 2016
126462
Total Check per Fund: ZAMORA BRENDA LEE
17003544 MILEAGE FOR SOCIAL WORKER FOR MONTHS O
211-32-6411-00-042-7-30-000 TRAVEL 0210217258 00591807
01/19/17 3368823
38814
00592059
01/19/17
Total Check per Fund: BARNES & NOBLE, INC.
17005410 How to Teach so Students Remember
157
110132
Total Check per Fund: VISION ED GROUP
17001552 PAYMENT FOR ADVANCED ENGINEERING CAMP
211-11-6291-60-874-7-30-010 PROFESSIONAL SERVICES 0210217290 00591952
01/19/17 536529
120073
Total Check per Fund: CONTRERAS CLARA
17007689 CLARA CACERES CONTRERAS CONSULTANT SER
211-11-6291-00-004-7-24-000 CONSULTING SERVICES Total Check per Fund: 0210217291 00591958
01/19/17 327340
14189
00592012
01/19/17
17003695 Printing of the Staff Development Mon
DEC. 2016
108170
ACH
212.76 2,797.20 ACH
2,797.20 20.95 ACH
20.95 333.72 333.72 A
ACH
333.72 28.62 ACH
28.62 249.12 249.12 C
Computer
249.12 12,500.00 12,500.00 C
Computer
12,500.00 1,200.00 1,200.00 C
Computer
1,200.00
COPY ZONE
211-13-6298-46-877-7-30-000 PRINTING SERVICES 0210217308
212.76 A
28.62 A
211-13-6329-46-877-7-30-000 READING MATERIALS 0210217288
212.76
20.95 A
Total Check per Fund: VALDEZ GERARDO
ACH
3,809.16
2,797.20 A
Total Check per Fund: TREVINO ANYSIA R.
ACH
108.14 108.14 A
211-11-6411-52-867-7-30-000 TRAVEL - EMPLOYEES 0210217236
Status Description
108.14 108.14 A
17007706 EACH GULE STICK WILL BE FOR 7TH GRADE
211-11-6399-27-831-7-30-010 GENERAL SUPPLIES 0210217198
Status
GATEWAY PRINTING & OFFICE SUPPLY, INC.
17007707 EACH ITEM WILL BE FOR WRITING CAMP FOR
211-11-6399-27-831-7-30-010 GENERAL SUPPLIES 00592411
Amount Paid
ESEA TITLE 1 PART A
4340494-0
377
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: FLORES MARIA MAGDALENA
17003711 MILEAGE REIMBURSEMENT FOR FLORES, MAR
499.68 499.68 C 499.68 29.16
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
211
0210217308 00592012
Vendor Name Amount Paid
Description
Acct Amt
01/19/17
108170
00592025
01/19/17 007784
29.16 C 29.16
17005995 CRAYOLA LIGH TUP TRACING PAD ALL ITEM
263.69
55891
263.69 C Total Check per Fund:
00591957
01/19/17 0062101-001
60089
00594094
01/26/17
17007807 TERRIFIC POCKETS 5.3X3.5" 40/PK
FRF0940
20155
GPD9669
Total Check per Fund: CDW GOVERNMENT, INC.
17003478 HP CE265A TONER COLLECTION UNIT FOR LA
17008962 MAXELL HP 100 HEADPHONE
00594264
01/26/17 159
110132
Total Check per Fund: VISION ED GROUP
17001552 PAYMENT FOR ADVANCED ENGINEERING CAMP
211-11-6291-60-874-7-30-010 PROFESSIONAL SERVICES 0210217617 00593322
01/26/17 128700
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17008297 LEXMARK (701HC)YIELD CYAN TONER ITEM#
211-11-6399-34-109-7-30-010 GENERAL SUPPLIES 0210217633 00594129
01/26/17 03385
22018
Total Check per Fund: CIELO OFFICE PRODUCTS,L.L.C.
17008623 SHARPIE ACCENT GEL HIGHLIGHTER- FLUOR
211-11-6399-00-110-7-30-000 GENERAL SUPPLIES 00594134
03433
17008623 SHARPIE ACCENT GEL HIGHLIGHTER- FLUOR
211-11-6399-00-110-7-30-000 GENERAL SUPPLIES 00594127
03429
17008972 Astrobrights Colored Paper - Letter -
211-11-6399-00-110-7-30-000 GENERAL SUPPLIES 0210217637 00594188
01/26/17 10141900560
9529
Total Check per Fund: DELL MARKETING L.P.
17007581 DELL LATITUDE ES5470 LAPTOP WITH MIRCO
211-11-6397-00-004-7-30-000 Technology Equipment <5000 00594180
10142128968
17008785 7 DESKTOP COMPUTERS INCLUDING OFFICE
211-61-6397-43-901-7-30-000 TECH EQUIP FROM 500-4999.99 0210217638 00594194
01/26/17 10238
120219
Total Check per Fund: DOYLENE & ASSOCIATES INC
17007463 FINTIE SILICONE CASE FOR FIRE 7 2015-
211-11-6399-00-124-7-30-000 GENERAL SUPPLIES
599.61 ACH
599.61 43.00 43.00 C
CDW#3026019
211-11-6399-00-124-7-30-000 GENERAL SUPPLIES 0210217398
Computer
263.69
599.61 A
211-21-6399-65-865-7-30-000 GENERAL SUPPLIES 00594072
Computer
COPY PLUS
211-21-6399-93-847-7-30-000 GENERAL SUPPLIES 0210217388
29.16
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
211-11-6399-34-121-7-30-010 GENERAL SUPPLIES 0210217333
Status Description
FLORES MARIA MAGDALENA
17003711 MILEAGE REIMBURSEMENT FOR FLORES, MAR
211-61-6411-00-110-7-30-000 TRAVEL COSTS 0210217325
Status
ESEA TITLE 1 PART A
DEC. 2016
378
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
552.00 552.00 C
Computer
595.00 12,500.00 12,500.00 C
Computer
12,500.00 583.10 583.10 A
ACH
583.10 580.23 580.23 A
ACH
171.92 171.92 A
ACH
2,052.00 2,052.00 A
ACH
2,804.15 14,800.00 14,800.00 A
ACH
4,931.57 4,931.57 A
ACH
19,731.57 555.60 555.60 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
211
Vendor Name Description
120219
DOYLENE & ASSOCIATES INC
0210217647
01/26/17
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
4354515-0
17008989 Desk Calendar
211-61-6399-43-901-7-30-000 GENERAL SUPPLIES
00593099
01/26/17 212344
21123
Total Check per Fund: MENTORING MINDS, L.P.
17008702 50349
TOTAL MOTIVATION READING LEV
211-11-6399-00-124-7-30-000 GENERAL SUPPLIES 0210217680
01/26/17
00593305
NOV. 30, 2016
1472
Total Check per Fund: PROGRESS TIMES NON PROFIT PUBLIC MEETING 11-30-2016
211-21-6499-60-874-7-30-010 MISC OPERATING COSTS 0210217700 00593431
01/26/17 129643
1519
Total Check per Fund: REGION ONE ESC
17003747 Registration fee - Training: PLC Inst
211-21-6239-50-845-7-30-000 EDUCATION SERVICE CENTER SERVICES 00593430
128726
17003747 Registration fee - Training: PLC Inst
211-21-6239-50-845-7-30-000 EDUCATION SERVICE CENTER SERVICES 00593422
129556
17005819 REGISTRATION FEE FOR LUCY MUNOZ VN#
211-13-6239-32-832-7-30-010 EDUCATION SERVICE CENTER SERVICES 0210217703 00593439
01/26/17
14039
3439
Total Check per Fund: RIVERA FRANCISCO AUSTIN, TX
211-21-6411-65-865-7-30-000 TRAVEL - EMPLOYEES 0210217728 00594405
01/27/17 GQB4110
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17008754 FUJITSU SCAN SNAP 1X500 FOR J/LHS(INS
211-11-6397-00-004-7-30-000 Technology Equipment <5000 0210217757 00594440
01/27/17 001540
2924
Total Check per Fund: SAM'S CLUB DIRECT
17009077 Member's Mark Purified Bottled Water
211-61-6498-00-110-7-30-000 FOOD AND NON FOOD COSTS 0210217762 00594427
01/27/17 008892
009472
002267
000064
2,138.40 2,138.40 A
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES
ACH
2,138.40 419.25 419.25 A
ACH
419.25 450.00 450.00 A
ACH
2,700.00 2,700.00 A
ACH
60.00 60.00 A
ACH
3,210.00 538.97 538.97 A
ACH
538.97 2,360.70 2,360.70 C
Computer
2,360.70 71.94 71.94 C
588.81
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
ACH
44.61
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 00594430
44.61 44.61 A
71.94
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 00594429
Status Description
555.60
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
55891
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 00594437
Status
ESEA TITLE 1 PART A 01/26/17
0210217678
Amount Paid Acct Amt
0210217638
00593623
379
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
588.81 C
Computer
Computer
114.16 114.16 C
Computer
134.07 134.07 C
Computer
156.33 156.33 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
211
Vendor Name Amount Paid
Description
006116
00594431
Acct Amt
55891
006882
006905
01/27/17
00594445
128798
21388
17009298 BLACK TONER FOR HP410(TONER WILL BE U
Fund:
212
0210215865 00586839
3,520.00
Total Fund:
130,893.71
01/10/17 IN865730
18896
DAHILL INDUSTRIES
17001561 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN906538
17001561 RENTAL OF XEROX 5955APT DIGITAL COPIER
IN945218
17001561 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-21-6269-00-876-7-24-000 RENTALS-OPERATING LEASES 00586922
IN906012
17002849 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-007-7-24-000 RENTALS-OPERATING LEASES 00586923
IN910567
17002849 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-007-7-24-000 RENTALS-OPERATING LEASES 00586924
IN945195
17002849 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-007-7-24-000 RENTALS-OPERATING LEASES 00586983
IN983043
17002849 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-007-7-24-000 RENTALS-OPERATING LEASES 00587005
IN983065
17001561 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-21-6269-00-876-7-24-000 RENTALS-OPERATING LEASES 0210216598 00590098
01/12/17 DEC. 2016
21269
Total Check per Fund: CANALES MARLEN S.
17000215 MILEAGE REIMBURSEMENT FOR MARELEN S.
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210216625 00590540
01/12/17 IN1018954
18896
Total Check per Fund: DAHILL INDUSTRIES
17002849 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-007-7-24-000 RENTALS-OPERATING LEASES 00590567
IN1018977
17001561 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-21-6269-00-876-7-24-000 RENTALS-OPERATING LEASES 0210216701
ACH
TITLE I PART C - ED OF MIGRANT CHILDREN
212-21-6269-00-876-7-24-000 RENTALS-OPERATING LEASES 00586841
3,520.00
Total Check per Fund:
212-21-6269-00-876-7-24-000 RENTALS-OPERATING LEASES 00586840
Computer
1,138.97
3,520.00 A
211-11-6399-00-045-7-30-PRI GENERAL SUPPLIES
Computer
77.53 77.53 C
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
Computer
31.79 31.79 C
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 0210217763
36.28 36.28 C
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 00594433
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004736 ALL ITEMS WILL BE USED BY STUDENTS IN
211-11-6399-57-832-7-30-000 GENERAL SUPPLIES 00594432
Status
ESEA TITLE 1 PART A 01/27/17
0210217762
01/12/17
88269
380
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MEDINA YOLANDA
-234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -228.21 -228.21 CV Computer Void -234.36 -234.36 CV Computer Void -1,850.28 33.48 33.48 C
Computer
33.48 228.21 228.21 C
Computer
234.36 234.36 C 462.57
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
212
0210216701 00591082
Vendor Name Description
Acct Amt
01/12/17
88269
00590628
01/12/17
99999
7035
Total Check per Fund: GONZALEZ MARIA WKSHOP #56833 REGION ONE
212-61-6419-00-876-7-24-000 TRAVEL & SUB/NON-EMPLOYEES 0210216778 00590453
01/12/17 523842
13610
Total Check per Fund: TEXAS TECH UNIVERSITY
17008059 SPANISH 1A CREDIT BY EXAM FOR MIGRANT
212-31-6339-00-004-7-24-000 TESTING MATERIALS Total Check per Fund: 0210216780
01/12/17
00590732
10001182-1116
1915
00590949
17000484 ADVERTISING FEES FOR CATALOG BIDS FOR
01/12/17 DEC. 2016
20045
Total Check per Fund: ALANIZ FLERIDA
17000213 MILEAGE REIMBURSEMENT FOR FLERIDA ALAN
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210216826 00590097
01/12/17 DEC. 2016
20128
Total Check per Fund: CANALES MARLEN
17000214 MILEAGE REIMBURSEMENT FOR MARLEN CANA
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210216829 00590159
01/12/17 DEC. 2016
8808
Total Check per Fund: CHAPA SILVIA F.
17000217 MILEAGE REIMBURSEMENT FOR SILVIA CHAPA
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES Total Check per Fund: 0210216834 00590191
01/12/17 DEC. 2016
103632
00591104
01/12/17
17000220 MILEAGE REIMBURSEMENT FOR MARIA CUADRO
AIR0037375
10151
Total Check per Fund: MOBILE RELAY PARTNERS, LTD
17000439 RENTAL FEES: TWO WAY RADIOS DISPATCH
212-51-6259-00-876-7-24-000 UTILITIES 0210216920 00591043
01/12/17 DEC. 2016
5740
Total Check per Fund: RODRIGUEZ ISABEL ESTELA
17000455 MILEAGE REIMBURSEMENT FOR ISABEL E. RO
212-61-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210217018 00592061
01/19/17 IN1018910
18896
Total Check per Fund: DAHILL INDUSTRIES
17008504 RENTAL OF XEROX 5955APT DIGITAL COPIER
212-11-6269-00-001-7-24-000 RENTALS-OPERATING LEASES 00592065
IN865668
84.78 84.78 C
Computer
84.78 25.92 25.92 C
Computer
25.92 644.00 644.00 C
Computer
644.00 103.50 103.50 C
Computer
103.50 39.96 39.96 A
ACH
39.96 103.14 103.14 A
ACH
103.14 92.88 92.88 A
ACH
92.88
CUADROS MARIA
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210216884
Status Description
THE MONITOR
212-21-6499-00-876-7-24-000 MISC OPERATING COSTS 0210216811
Status
MEDINA YOLANDA
17000430 MILEAGE REIMBURSEMENT FOR YOLANDA MED
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210216703
Amount Paid
TITLE I PART C - ED OF MIGRANT CHILDREN
DEC. 2016
381
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
RENTAL FEES SEPT. 2016-DEC. 2016
73.98 73.98 A
ACH
73.98 176.00 176.00 A
ACH
176.00 126.90 126.90 A
ACH
126.90 369.51 369.51 C 228.21
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
212
Vendor Name Amount Paid
Description
18896
IN865668
00592065
Acct Amt
RENTAL FEES SEPT. 2016-DEC. 2016
IN906475
IN945151
IN983002
01/19/17
0210217174
DEC. 2016
00592499
20045
Total Check per Fund: ALANIZ FLERIDA
17000213 MILEAGE REIMBURSEMENT FOR FLERIDA ALAN
01/19/17
0210217242
DEC. 2016
00592528
5740
Total Check per Fund: RODRIGUEZ ISABEL ESTELA
17000455 MILEAGE REIMBURSEMENT FOR ISABEL E. RO
0210217330
01/19/17
00591912
DEC. 2016 (2)
8808
Total Check per Fund: CHAPA SILVIA F.
17000217 MILEAGE REIMBURSEMENT FOR SILVIA CHAPA
Total Check per Fund: 01/19/17
00591965
DEC. 2016 (2)
103632
01/19/17 DEC. 2016
00592011
8021
224
01/12/17
00590273
P072739901018
Total Check per Fund: FLORES JOSE ROEL
17000392 MILEAGE REIMBURSEMENT FOR JOSE ROEL F
ACH
17.28 99.36
99.36
Total Fund:
1,613.02
762
ACH
FLAGHOUSE, INC.
17005753 RAISED-LINE PAPER (WIDE) (ITEM IS NEED
01/12/17 DEC. 2016
72834
01/12/17 DEC. 2016
17001280 MILEAGE REIMBURSEMENT FOR SEPT - AUG
8237
84.15 84.15 C
Total Check per Fund: FLORES MARIO JR.
Total Check per Fund: 00591216
17.28
Total Check per Fund:
224-11-6411-00-104-7-23-010 TRAVEL - EMPLOYEE 0210216702
ACH
30.24
99.36 A
224-11-6399-00-112-7-23-010 GENERAL SUPPLIES
00590280
30.24
IDEA PART B FORMULA
0210216650
0210216653
ACH
28.08
17.28 A
212-21-6411-00-876-7-24-000 TRAVEL - EMPLOYEES
Fund:
28.08
CUADROS MARIA
17000220 MILEAGE REIMBURSEMENT FOR MARIA CUADRO
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210217347
ACH
38.88
30.24 A
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES 0210217334
38.88
28.08 A
212-61-6411-00-876-7-24-000 TRAVEL - EMPLOYEES
Computer
1,282.35
38.88 A
212-32-6411-00-876-7-24-000 TRAVEL - EMPLOYEES
Computer
228.21 228.21 C
212-11-6269-00-001-7-24-000 RENTALS-OPERATING LEASES
Computer
228.21 228.21 C
RENTAL FEES SEPT. 2016-DEC. 2016
Computer
228.21 228.21 C
RENTAL FEES SEPT. 2016-DEC. 2016
212-11-6269-00-001-7-24-000 RENTALS-OPERATING LEASES 00592062
228.21 228.21 C
RENTAL FEES SEPT. 2016-DEC. 2016
212-11-6269-00-001-7-24-000 RENTALS-OPERATING LEASES 00592064
Status Description
DAHILL INDUSTRIES
212-11-6269-00-001-7-24-000 RENTALS-OPERATING LEASES 00592063
Status
TITLE I PART C - ED OF MIGRANT CHILDREN 01/19/17
0210217018
382
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Computer
84.15 109.62 109.62 C
Computer
109.62
ROGELIO MEZA
17001345 MILEAGE REIMBURSEMENT FOR ROGELIO MEZA
224-11-6411-00-048-7-23-010 TRAVEL - EMPLOYEE
41.04 41.04 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
224
Vendor Name Description
8237
ROGELIO MEZA
0210216753
01/12/17
1630
Total Check per Fund: SCHOOL SPECIALTY INC.
00590385
208117663029
17007919 DRIVE MEDICAL FOOTREST FOR SMALL FIRS
224-11-6395-00-114-7-23-010 FURN & EQUIP <$500 UNIT COST 01/12/17 2216940A
3796
Total Check per Fund: SUPER DUPER PUBLICATIONS
17007089 ANC42
ANALOGIES FUN DECK
224-11-6399-00-113-7-23-010 GENERAL SUPPLIES 0210216801 00590322
01/12/17 001972
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17008172 CONVECTION OVEN
224-11-6395-00-043-7-23-010 FURN & EQUIP <$500 UNIT COST 00590322
001972
001972
17008172 POTS AND PANS
224-11-6399-00-124-7-23-010 GENERAL SUPPLIES 0210216810 00590933
01/12/17 128271
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17005108 CYBER ACUSTIC PRO SERIES HEADPHONES
224-11-6399-00-049-7-23-000 GENERAL SUPPLIES 00590927
128450
17007010 200735P
WPP COMPATIBLE DELL C3760 H
224-11-6399-00-105-7-23-010 GENERAL SUPPLIES 00590928
128509
17007536 INK CARTRIDGE FOR DELL PRINTER 2150 (
224-11-6399-00-045-7-23-010 GENERAL SUPPLIES 00590929
128532
17007289 PREMIUM COMPATIBLE HI YIELD BLACK CTG
224-11-6399-00-007-7-23-010 GENERAL SUPPLIES 00591009
128346
17006526 200735P
WPP Compatible Dell C3760 H
224-11-6399-00-041-7-23-010 GENERAL SUPPLIES 00591009
128346
17006526 200736P
WPP Compatible Dell C3760 H
224-11-6399-00-124-7-23-010 GENERAL SUPPLIES 0210216819 00590053
01/12/17 DEC. 2016
19004
Total Check per Fund: BARAJAS ROLANDO
17001198 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210216827 00590110
01/12/17 DEC. 2016
22916
Total Check per Fund: CAVAZOS ELVIRA
17001208 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210216832 00590187
Status Description
01/12/17 DEC. 2016
11862
41.04 101.75 101.75 C
Computer
101.75 58.35 58.35 C
Computer
58.35 154.00 154.00 C
Computer
154.00
17008172 MICROWAVE
224-11-6395-00-124-7-23-010 FURN & EQUIP <$500 UNIT COST 00590322
Status
IDEA PART B FORMULA 01/12/17
00590424
Amount Paid Acct Amt
0210216702
0210216766
383
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CORPUS EUGENIO
17001859 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
224-11-6411-00-001-7-23-010 TRAVEL - EMPLOYEE
154.00 C
Computer
154.00 154.00 C
Computer
462.00 259.00 259.00 A
ACH
896.00 896.00 A
ACH
445.00 445.00 A
ACH
129.00 129.00 A
ACH
119.00 119.00 A
ACH
476.00 476.00 A
ACH
2,324.00 64.80 64.80 A
ACH
64.80 36.72 36.72 A
ACH
36.72 167.94 167.94 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
224
Vendor Name Description
11862
CORPUS EUGENIO
0210216840
01/12/17
42455
EBRAHIM GINA
Total Check per Fund: DEC. 2016
17001270 MILEAGE REIMBURSEMENT FOR GINA EBRAHIM
224-11-6411-00-121-7-23-010 TRAVEL - EMPLOYEE
00590268
01/12/17 DEC. 2016
12798
Total Check per Fund: FALCON REBECCA
17001275 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-001-7-23-010 TRAVEL - EMPLOYEE 0210216845 00590272
01/12/17 DEC. 2016
13851
Total Check per Fund: FERNANDEZ ESMERALDA
17001279 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210216847 00590283
01/12/17 NOV. 2016
58599
Total Check per Fund: FLORES RICARDO JR.
17001281 MILEAGE REIMBURSEMENT FOR RICARDO FLOR
224-11-6411-00-044-7-23-010 TRAVEL - EMPLOYEES 00590284
DEC. 2016
17001281 MILEAGE REIMBURSEMENT FOR RICARDO FLOR
224-11-6411-00-044-7-23-010 TRAVEL - EMPLOYEES Total Check per Fund: 0210216866 00590990
01/12/17 DEC. 2016
23019
17001655 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
Total Check per Fund: 00591077
01/12/17 845958
11910
00591092
01/12/17 DEC. 2016
17007224 YELLOW TRACKER LINE-6 " (ITEMS ARE NE
19344
17001344 MILEAGE REIMBURSEMENT FOR ISMAEL MENDO
Total Check per Fund: 00591106
01/12/17 DEC. 2016
11023
00591020
01/12/17
17001347 MILEAGE REIMBURSEMENT FOR SEPT - AUG
NOV. 2016
19667
RAMIREZ
Total Check per Fund: MARLEN
17001366 MILEAGE REIMBURSEMENT FOR MARLEN RAMIR
224-11-6411-00-105-7-23-010 TRAVEL - EMPLOYEES 00591019
DEC. 2016
17001366 MILEAGE REIMBURSEMENT FOR MARLEN RAMIR
224-11-6411-00-105-7-23-010 TRAVEL - EMPLOYEES 0210216938 00590432
01/12/17 DEC. 2016
15744
ACH
126.36 240.73 240.73 A
ACH
240.73 70.20 70.20 A
ACH
70.20 43.20 43.20 A
ACH
54.00 54.00 A
ACH
97.20 179.82 179.82 A
ACH
179.82 40.14 ACH
40.14 186.30 186.30 A
ACH
186.30
MOLINA ELVIA
224-11-6411-00-046-7-23-010 TRAVEL - EMPLOYEES 0210216912
126.36 126.36 A
40.14 A
Total Check per Fund: MENDOZA ISMAEL
224-11-6411-00-044-7-23-010 TRAVEL - EMPLOYEES 0210216885
167.94
MAXI AIDS
224-11-6399-00-045-7-23-010 GENERAL SUPPLIES 0210216880
Status Description
LEAL LUCILA
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210216877
Status
IDEA PART B FORMULA 01/12/17
0210216844
Amount Paid Acct Amt
0210216832
00590253
384
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: TAGLE ELIZABETH BEULAH
17001973 MILEAGE REIBURSEMENT FOR SEPTEMBER THR
226.26 226.26 A
ACH
226.26 26.46 26.46 A
ACH
37.80 37.80 A 64.26 118.26
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
224
0210216938 00590432
Vendor Name Description
Acct Amt
01/12/17
15744
00591066
01/12/17 NOV. 2016
72451
Total Check per Fund: VILLARREAL ELIZABETH D.
17001418 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-117-7-23-010 TRAVEL - EMPLOYEES 0210216944 00591067
01/12/17 DEC. 2016
18987
Total Check per Fund: VILLARREAL ILEANA
17001420 MILEAGE REIMBURSEMENT FOR ILEANA VILLA
224-11-6411-00-111-7-23-010 TRAVEL - EMPLOYEES 0210217008 00592513
01/19/17 FY2017371
16539
Total Check per Fund: AUTISTIC TREATMENT CENTER,INC.
17006205 RESIDENTIAL CARE AND EDUCATIONAL SERV
224-11-6223-00-871-7-23-000 STUDENT TUITION/NON-PUB SCHLS Total Check per Fund: 0210217028 00592269
01/19/17 NOV. 2016
29602
GARZA
17001286 MILEAGE REIMBURSEMENT FOR AARON GARAZA
DEC. 2016
17001286 MILEAGE REIMBURSEMENT FOR AARON GARAZA
224-11-6411-00-045-7-23-010 TRAVEL - EMPLOYEES 0210217036 00592312
01/19/17 DEC. 2016
21904
Total Check per Fund: GONZALEZ LUDIVINA
17001296 MILEAGE REIMBURSEMENT FOR SEPT - DEC
224-11-6411-00-113-7-23-010 TRAVEL - EMPLOYEE 0210217044 00592436
01/19/17 DEC. 2016
124613
Total Check per Fund: HERNANDEZ ANA LAURA
17001307 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-004-7-23-010 TRAVEL - EMPLOYEE 0210217077 00592517
01/19/17 3526801216
4253
Total Check per Fund: LAKESHORE LEARNING MATERIALS
17006142 CLASSROOM LAMINATING MACHINE
224-11-6395-00-046-7-23-010 FURN & EQUIP <$500 UNIT COST 00592517
3526801216
17006142 9IN 11.5IN POUCHES 100PK
224-11-6399-00-108-7-23-010 GENERAL SUPPLIES 0210217173 00592494
01/19/17 128106
21388
17004928 AIS PREMIUM COMPATIBLE HP 4700 BLACK
00592262
OCT. 2016
30724
118.26 A
ACH
118.26 31.32 31.32 A
ACH
31.32 59.40 59.40 A
ACH
59.40 14,288.91 14,288.91 C
Computer
14,288.91 91.80 91.80 C
Computer
57.24 57.24 C
Computer
149.04 23.22 23.22 C
Computer
23.22 48.60 48.60 C
Computer
48.60 245.10 245.10 C
Computer
125.32 Computer
370.42 129.00 129.00 A
Total Check per Fund: 01/19/17
118.26
125.32 C
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
224-11-6399-00-121-7-23-000 GENERAL SUPPLIES 0210217180
Status Description
AARON
224-11-6411-00-045-7-23-010 TRAVEL - EMPLOYEES 00592268
Status
TAGLE ELIZABETH BEULAH
17001973 MILEAGE REIBURSEMENT FOR SEPTEMBER THR
224-11-6411-00-109-7-23-010 TRAVEL - EMPLOYEES 0210216943
Amount Paid
IDEA PART B FORMULA
DEC. 2016
385
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
ACH
129.00
GARCIA EDNA
17001283 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES
130.14 130.14 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
224
0210217180 00592261
Vendor Name Description
Acct Amt
01/19/17
30724
DEC. 2016
17001283 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES Total Check per Fund: 0210217185 00592270
01/19/17 DEC. 2016
7988
00592405
17001287 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
01/19/17 DEC. 2016
14275
Total Check per Fund: GARZA JAIME JR.
17001288 MILEAGE REIMBURSEMENT FOR JAIME GARZA
224-11-6411-00-048-7-23-010 TRAVEL - EMPLOYEE 0210217188 00592406
01/19/17 DEC. 2016
21036
Total Check per Fund: GARZA MARIA C.
17001290 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210217189 00592407
01/19/17 DEC. 2016
12369
Total Check per Fund: GARZA MARIA EDITH
17001610 MILEAGE REIMBURSEMENT FOR SEPT - DEC
224-11-6411-00-104-7-23-010 TRAVEL - EMPLOYEE Total Check per Fund: 0210217190 00592275
01/19/17 NOV. 2016
99244
DEC. 2016
17001291 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
17001291 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210217202 00592434
01/19/17 DEC. 2016
21771
Total Check per Fund: GUTIERREZ YADHIRA
17001303 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-110-7-23-010 TRAVEL - EMPLOYEES 0210217203 00592435
01/19/17 DEC. 2016
5142
Total Check per Fund: GUZMAN SYLVIA V.
17001304 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-123-7-23-010 TRAVEL - EMPLOYEE 0210217205 00592330
01/19/17 DEC. 2016
8647
Total Check per Fund: HERNANDEZ ABELINA V.
17001306 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES Total Check per Fund: 0210217235 00592686
01/19/17 DEC. 2016
51322
28.62 28.62 A
ACH
63.18 63.18 A
ACH
221.94 32.40 32.40 A
ACH
32.40 231.66 231.66 A
ACH
231.66 31.86 31.86 A
ACH
31.86 50.22 50.22 A
ACH
50.22
GARZA ROSA I.
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 00592274
Status Description
GARZA JAIME
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210217186
Status
GARCIA EDNA
17001283 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 00592260
Amount Paid
IDEA PART B FORMULA
NOV. 2016
386
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
113.40 113.40 A
ACH
124.74 124.74 A
ACH
238.14 38.88 38.88 A
ACH
38.88 40.50 40.50 A
ACH
40.50 60.48 60.48 A
ACH
60.48
PENA MARTA G
17001358 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-117-7-23-010 TRAVEL - EMPLOYEES
218.70 218.70 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
224
Vendor Name Description
51322
PENA MARTA G
0210217249
01/19/17
117544
Total Check per Fund: TORRES ARNOLDO
DEC. 2016
17001408 MILEAGE REIMBURSEMENT FOR SEPT - AUG
224-11-6411-00-007-7-23-010 TRAVEL - EMPLOYEES
00592026
01/19/17 008330
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004035 SNEAKY SQUIRL
008330
00591974
DEC. 2016
79359
01/26/17
17001259 MILEAGE REIMBURSEMENT FOR SEPTEMBER 2
00593789
IN-000397260
103080
Total Check per Fund: SOUTHERN COMPUTER WAREHOUSE INC
17008693 HP LASERJET PRO MFP M426FDW PRINTER
224-11-6397-00-107-7-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 Total Check per Fund: 0210217601 00593443
01/26/17 DEC. 2016
16662
00594259
01/26/17
17001413 MILEAGE REIMBURSEMENT FOR SEPT - AUG
009258
001731
001731
00593318
01/26/17
17007654 ALPHABET APPLE
17007654 MY PAL SCOUT GAME
128004
21388
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17003893 HP 4700 CYAN TONER ( MRS. MULLVAIN CLA
224-11-6399-00-113-7-23-000 GENERAL SUPPLIES 0210217625 00594030
01/26/17 DEC. 2016
72478
Total Check per Fund: BARRERA MARIBEL
17001201 MILEAGE REIMBURSEMENT FOR SEPTEMBER TH
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210217637 00594183
01/26/17 10140866910
9529
ACH
33.48 341.79 341.79 C
Computer
341.79 68.13 68.13 C
73.69
224-11-6399-00-102-7-23-010 GENERAL SUPPLIES 0210217617
33.48 A
17007944 Parents choice unscented baby wipes -
224-11-6399-00-046-7-23-010 GENERAL SUPPLIES 00594258
33.48
68.13
224-11-6399-00-108-7-23-000 GENERAL SUPPLIES 00594258
Computer
487.28
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
55891
Computer
VALDEZ ELDA
224-11-6411-00-118-7-23-010 TRAVEL - EMPLOYEES 0210217605
243.64
DIAZ ROSAELIA
224-31-6411-00-871-7-23-010 TRAVEL - EMPLOYEES 0210217563
ACH
77.76
243.64 C Total Check per Fund:
01/19/17
77.76 77.76 A
243.64
17004035 ZINGO
224-11-6399-00-106-7-23-010 GENERAL SUPPLIES 0210217340
Status Description
218.70
243.64 C
224-11-6399-00-104-7-23-010 GENERAL SUPPLIES 00592026
Status
IDEA PART B FORMULA 01/19/17
0210217325
Amount Paid Acct Amt
0210217235
00592122
387
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: DELL MARKETING L.P.
17007691 DELL OPTIPLEX 7040 DESKTOP WITH 22 IN
224-11-6397-00-045-7-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99
73.69 C
Computer
Computer
57.78 57.78 C
Computer
57.78 57.78 C
Computer
189.25 139.00 139.00 A
ACH
139.00 86.40 86.40 A
ACH
86.40 661.00 661.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
224
Vendor Name
PO No
Amount Paid
Description
Acct Amt
9529
DELL MARKETING
01/26/17 DEC. 2016
00593113
22888
01/26/17
17001351 MILEAGE EIMBURSEMENT FOR SEPT -AUG 20
DEC. 2016
00593755
7306
244
0210216581 00590045
Total Check per Fund: SAUCEDA MARTHA L.
17001392 MILEAGE REIMBURSEMENT FOR MARTHA L. SA
00590091
59.40
Total Fund:
23,225.90
00590405
01/12/17 61696
99015
B.E. PUBLISHING
17002021 NO PEEK KEYBOARD COVERS
61196
01/12/17 0310962-001
106879
01/12/17 431600
17005379 ROUND SMALL MATS FOR CHAIRS MARBLE
415189
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00590402
425624
436568
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210216801 00590324
01/12/17 002694
55891
001538
00592365
NOV. 2016
15981
01/19/17
Computer
497.42 Computer
1,016.76
JONES BEATRIZ
17001905 MILEAGE FOR MARKETING TEACHER FROM PA
20155
Computer
5,852.79
497.42 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217278
Computer
169.50
519.34 C
17005564 CONFECTIONERS SUGAR (FOR STUDENT CLAS
Total Check per Fund: 01/19/17
Computer
2,428.44
519.34
17005692
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217218
Computer
77.70
169.50 C
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00590325
3,177.15
2,428.44 C
17003142 BEAUTY AND LOVE CHROMZ-NAIL POLISH
Computer
171.00
77.70 C
17003141 ARDELL EYELASHES MULTIPACK
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00590401
171.00
3,177.15 C
17001971 BLACK SHAMPOO HOSE
Computer
10,887.81
171.00 C
Total Check per Fund: SOUTH TEX BEAUTY SUPPLY, INC.
Computer
1,731.66 1,731.66 C
Total Check per Fund: BUFFALO BUSINESS PRODUCTS, LLC
17001204 MOUSE PAD W/MICROBAN, NONSKID BASE, 9X
3151
9,156.15 9,156.15 C
17002241 NO - PEEK KEYBOARD COVERS/ JOSE CHAPA
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00590403
ACH
CAREER AND TECHNICAL BASIC GRANT
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210216762
59.40
Total Check per Fund:
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210216594
ACH
17.82
59.40 A
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00590044
17.82 17.82 A
224-11-6411-00-112-7-23-010 TRAVEL - EMPLOYEES
Fund:
661.00
MORIN MELIDA
224-11-6411-00-046-7-23-010 TRAVEL - EMPLOYEES 0210217708
Status Description
L.P.
Total Check per Fund: 0210217683
Status
IDEA PART B FORMULA 01/26/17
0210217637
388
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: CDW GOVERNMENT, INC.
38.88 38.88 A 38.88
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
244
0210217278 00591838
Vendor Name Description
Acct Amt
01/19/17
20155
FMK6552
17001836 HP 26X- HIGH YIELD BLACK ORIGINAL LAS
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591843
FML6389
17001837 HP STYLISH - KEYBOARD AND MOUSE SET
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591846
FNQ6081
17001846 DELL B3460DN TONER CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591847
FML7380
17001849 HP 130A BLACK TONER CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591848
FNM9291
17002273 HP 312A MAGENTA TONER CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591849
FQL9977
17003052 BALT PRESENTATION CART
244-11-6395-02-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00591851
FPN0864
17003060 HP 78A BLACK TONER LASER JET MFG# CE2
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591852
FPN6971
17003064 HP 305X HIGH YIELD BLACK TONER
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591853
FSK4532
17003578 DELL DVD RW DRIVE-USB 2.0-429
244-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00591854
FSK3180
17003579 CANON CARTRIDGE 104 BLACK TONER
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591855
FTC4867
17003580 LEXMARK 800S1-BLACK-ORIGINAL TONER CAR
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591856
FTV6633
17003580 LEXMARK 800S1-BLACK-ORIGINAL TONER CAR
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591857
FSK4417
17003678 WESTERN DIGITAL MY PASSPORT ULTRA 1 TB
244-11-6395-02-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00591858
FSL6620
17003803 HP 952XL-HIGH YIELD-BLACK ORIGINAL IN
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591859
FSM3871
17003920 HP96&HP97 2 PACK INK CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591860
FSZ3006
17003920 HP96&HP97 2 PACK INK CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591861
FVN3207
17004122 INK CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591862
FSZ9285
17004123 BLACK AND COLOR INK FOR PRINTER
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591863
FVN6760
17004628 LG EXTERNAL CD DRIVE
244-11-6395-03-007-7-22-010 FURN & EQUIP <$500 UNIT COST 00591864
Status
Status Description
CDW GOVERNMENT, INC.
17001220 WEST PT TONER CARTRIDGE -BLACK FOR DE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591842
Amount Paid
CAREER AND TECHNICAL BASIC GRANT
FNB1288
FVW2636
389
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17004870 YELLOW INK CARTRIDGE
98.99 98.99 C
Computer
196.99 196.99 C
Computer
233.34 233.34 C
Computer
606.08 606.08 C
Computer
539.87 539.87 C
Computer
613.94 613.94 C
Computer
211.99 211.99 C
Computer
159.98 159.98 C
Computer
582.97 582.97 C
Computer
52.86 52.86 C
Computer
331.12 331.12 C
Computer
528.64 528.64 C
Computer
582.50 582.50 C
Computer
59.99 59.99 C
Computer
593.83 593.83 C
Computer
127.98 127.98 C
Computer
151.98 151.98 C
Computer
165.99 165.99 C
Computer
77.98 77.98 C
Computer
115.98 115.98 C 613.95
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
244
0210217278 00591864
Vendor Name
PO No
Description
Acct Amt
01/19/17
20155
FVW0494
FVX2876
FWX1105
GGN2957
17007344 DELL BLACK ORIGINAL TONER CARTRIDGE U
GHQ7055
17007344 DELL BLACK ORIGINAL TONER CARTRIDGE U
00591898
FWC0693
17003204 HP COLOR LASER JET PRO M252DW JET INT
244-11-6397-00-001-7-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210217373 00594043
01/26/17 5040433
21109
Total Check per Fund: BRIDGES TRANSITIONS CO.
17003034 PAWS IN JOBLAND FOR ELEMENTARIES/INTR
0210217376 00594151
01/26/17 05 875652
333
Total Check per Fund: COMMERCIAL BILLING SERVICE
17005500 1/4 INCH MALE AIR PLUG
244-11-6395-02-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00594151
05 875652
17005500 EXHAUST PIPE 2.5
05 876541
17005418 CONTRACTED MAINTENANCE AND REPAIRS FOR
244-11-6249-00-895-7-22-000 CONTRACTED MAINT & REPAIR 00594149
05 876021
17005419 EB 210640 AIR HOSE BUSHINGS BUNGS
05 873615
17003576 CADILLAC MODEL KIT
Total Check per Fund: 01/26/17
00593244
878311620001
87629
887775453001
17004965
17003630 CYAN
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00593240
887783309001
17003630 CYAN
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217584 00593826
01/26/17 28750
937
279.96 279.96 C
Computer
1,428.43 Computer
345.00 345.00 C
Computer
122.55 Computer
1,343.54 Computer
3,519.48
OFFICE DEPOT
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00593245
Computer
4,600.00
1,343.54 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217524
4,600.00
122.55 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594143
Computer
8,470.79
1,428.43 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594150
Computer
299.00 299.00 C
4,600.00 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES
Computer
109.48 109.48 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES
Computer
403.72 403.72 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591888
Computer
179.96 179.96 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591887
Computer
539.70 539.70 C
17005320 CRUCIAL-DDR3 8 GB DIMM 240-PIN
Computer
291.98 291.98 C
17004936 JVC FULL SIZE HEADPHONE(BLACK)
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591868
Status Description
613.95 613.95 C
17004870 YELLOW INK CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591867
Status
CDW GOVERNMENT, INC.
17004870 YELLOW INK CARTRIDGE
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00591865
Amount Paid
CAREER AND TECHNICAL BASIC GRANT
FVW2636
390
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: THE CURRICULUM CTR FOR FAM. & CONSUMER
17005383 TEACHER ACESS FOR 8 COURSES -CURRICULU
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES
35.67 35.67 C
Computer
121.98 121.98 C
Computer
69.99 69.99 C
Computer
227.64 696.90 696.90 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
244
Vendor Name Description
937
THE CURRICULUM CTR FOR FAM. & CONSUMER
0210217605
01/26/17
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
001710
17005691 INSTANT DRY MILK
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 001709
17005693 MARSHMELLOWS
01/26/17 202728
7558
202728
17004420 WA32048HX- HENCKLES FORGED PREMIO SEV
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217726 00594396
01/27/17 783991-02
330
00594403
01/27/17
Total Check per Fund: BURMAX COMPANY, INC.
17003036 SHAMPOO SPRAYER AND HOSE
GQC2689
20155
Total Check per Fund: CDW GOVERNMENT, INC.
17009134 FUJITSU SCANSNAP S1300I-DOCUMENT SCANN
Total Check per Fund: 00594457
01/27/17 995076
74977
995262
17004895 1/2" 5X5 BIRCH SHEET
17004895 1/2" 5X5 BIRCH SHEET
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594455
995266
17004895 1/2" 5X5 BIRCH SHEET
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217765 00594386
01/27/17 118509168
14872
Total Check per Fund: B & H PHOTO -VIDEO
17005880 AOE CASE DRONE BACKPACK
244-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00594386
118509168
17005880 BESCOR LED 200K TWIN 300W KIT
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594387
118528490
17005880 AOE CASE DRONE BACKPACK
244-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00594387
118528490
17005880 BESCOR LED 200K TWIN 300W KIT
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594388
118567422
17005880 AOE CASE DRONE BACKPACK
244-11-6395-00-001-7-22-010 FURN & EQUIP <$500 UNIT COST 00594388
118567422
285.76 285.76 A
ACH
2,153.67 ACH
2,439.43 17.38 Computer
17.38 299.24 299.24 C
Computer
299.24
LOWE'S
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 00594456
Computer
197.77
17.38 C
244-11-6397-00-049-7-22-010 TECHNOLOGY EQUIP $500 - $4999 0210217742
97.30
2,153.67 A
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217728
Computer
NASCO
17004420 WA32032HX-POLY-CARB FOURTH-SIZE FOOD
244-11-6395-02-004-7-22-010 FURN & EQUIP <$500 UNIT COST 00593190
100.47
97.30 C Total Check per Fund:
00593188
Status Description
696.90
100.47 C
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES 0210217684
Status
CAREER AND TECHNICAL BASIC GRANT 01/26/17
00594255
Amount Paid Acct Amt
0210217584
00594254
391
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005880 BESCOR LED 200K TWIN 300W KIT
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES
1,348.80 1,348.80 C
Computer
-460.32 -460.32 C
Computer
460.32 460.32 C
Computer
1,348.80 470.77 470.77 A
ACH
69.13 69.13 A
ACH
145.66 145.66 A
ACH
21.39 21.39 A
ACH
521.22 521.22 A
ACH
76.53 76.53 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
PO No
Vendor Name Amount Paid
Description
Account No \ Description Fund:
244
Acct Amt
01/27/17
14872
B & H PHOTO -VIDEO
0210217768
01/27/17
107034
Total Check per Fund: MATTS BUILDING MATERIALS INC.
00594468
01-1063032-00
263
00590925
128376
821.00 A Total Check per Fund:
821.00
Total Fund:
41,910.37
21388
2,745.00
01/19/17 128649
21388
2,745.00 A
Total Check per Fund: ADVANTAGE IMAGING SUPPLY, INC.
17006705 MATERIALS NEED TO BE PRINTED FOR LEP/
263-11-6399-00-027-7-25-000 GENERAL SUPPLIES
Fund:
272
00590364
006835
00591240
869.00 A 869.00
Total Fund:
3,614.00
2924
DEC. 2016
39497
01/19/17
Total Check per Fund: MORALES MARISSA M.
17001690 MILEAGE FOR DISTRICT NURSE COORDINATOR
4347341-0
111058
Total Check per Fund: GATEWAY PRINTING & OFFICE SUPPLY, INC.
17007838 LASERJET TONER PRINTER FOR ZAPATA ELEM
01/19/17
00592339
2364
131261
17007714 20.OZ CONTINUUM SERIES TUMBLER
COLOR
272-33-6497-49-901-7-99-010 AWARDS AND INCENTIVES
Fund:
410
0210216718 00591329
ACH
196.24 1,571.00
1,571.00
Total Fund:
2,593.84
ACH
INSTRUCTIONAL MATERIALS ALLOTMENT 01/12/17
BK82968102
16162
PEARSON EDUCATION INC.
17006395 AP Spanish Preparing for the Language
C4358658
17006395 AP Spanish Preparing for the Language
C4360926
17006395 AP Spanish Preparing for the Language
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591327
196.24
1,571.00 A
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591328
ACH
135.00
Total Check per Fund:
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591330
135.00
196.24 A
Total Check per Fund: HIGH END ADVERTISING
Computer
691.60
135.00 A
272-33-6399-49-901-7-99-010 GENERAL SUPPLIES 0210217209
691.60 691.60 C
272-33-6411-49-901-7-99-010 TRAVEL - EMPLOYEES
00592285
ACH
SAM'S CLUB DIRECT
17007915 SCHOOL NURSES AND NURSE ASSISTANTS ME
01/12/17
0210217191
869.00
Total Check per Fund:
272-33-6498-49-901-7-99-010 FOOD & NON-FOOD RELATED ITEMS 0210216888
ACH
2,745.00
MAC PROGRAM 01/12/17
0210216750
ACH
ADVANTAGE IMAGING SUPPLY, INC.
17006707 DELL 2660 BLACK TONER
263-11-6399-00-113-7-25-000 GENERAL SUPPLIES
00592491
1,304.70
ENG LANG ACQ & LANG ENHANCEMENT 01/12/17
0210217173
Status Description
821.00
17004170 2X4-8 STD&BTR/#2 SPF/H LUMBER
244-11-6399-01-898-7-22-010 GENERAL SUPPLIES
0210216810
Status
CAREER AND TECHNICAL BASIC GRANT
0210217765
Fund:
FPREG02B
A/P Detail Check Register By Fund Vendor No
4024883067
392
17006395 AP Spanish Preparing for the Language
1,350.24 1,350.24 C
Computer
-30.00 -30.00 C
Computer
-2.55 -2.55 C 2,966.16
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
410
0210216718 00591327
Vendor Name Description
Acct Amt
01/12/17
16162
4024883625
4024894564
4024894564
410-11-6399-33-886-7-30-010 GENERAL SUPPLIES
00590347
01/12/17 ID#97630288
10578
00590454
01/12/17
17005987 REGISTRATION FOR ALMA D. SALINAS(V# 8
SI0450112
93459
Total Check per Fund: TEXTBOOK WAREHOUSE, LLC
16020231 SpringBoard English Level 4
410-11-6321-33-886-7-30-010 TEXTBOOKS 00590455
SI0453059
00593743
97572381
10578
00593825
01/26/17
17005986 REGISTRATION FOR ARCADIO SALINAS(V# 1
EA68154033
5647
Total Check per Fund: THE COLLEGE BOARD
17002866 Springboard English Textual Power Lev
410-11-6321-33-886-7-30-010 TEXTBOOKS 0210217715 00593819
01/26/17 SI0445099
93459
Total Check per Fund: TEXTBOOK WAREHOUSE, LLC
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593824
SI0446131
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593823
SI0448715
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593822
SI0445090
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593817
SI0449460
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593821
SI0449239
17001760 Campbell Biology (10th Edition)-Scien
410-11-6321-33-886-7-30-010 TEXTBOOKS 00593820
SI0450483
350.00 C
Computer
350.00 1,229.50 ACH
238.00 ACH
1,467.50
IMCAT
410-12-6411-33-886-7-30-010 TRAVEL - EMPLOYEE 0210217583
350.00
238.00 A Total Check per Fund:
01/26/17
7,337.95
1,229.50 A
16020231 SpringBoard English Level 4
410-11-6321-33-886-7-30-010 TEXTBOOKS 0210217581
Computer
IMCAT
410-12-6411-33-886-7-30-010 TRAVEL - EMPLOYEE 0210216939
Computer
437.64 437.64 C
Total Check per Fund: 0210216779
Computer
2,522.13 2,522.13 C
17006395 AP Spanish Teacher's Guide Grade 12
Computer
94.33 94.33 C
17006395 AP Spanish Preparing for the Language
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591326
Status Description
2,966.16 2,966.16 C
17006395 AP Spanish Preparing for the Language
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591326
Status
PEARSON EDUCATION INC.
17006395 AP Spanish Preparing for the Language
410-11-6321-33-886-7-30-010 TEXTBOOKS 00591325
Amount Paid
INSTRUCTIONAL MATERIALS ALLOTMENT
4024883067
393
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17005284 The Language of Composition: Reading,
410-11-6321-33-886-7-30-010 TEXTBOOKS
350.00 350.00 C
Computer
350.00 42,889.39 42,889.39 C
Computer
42,889.39 2,370.00 2,370.00 A
ACH
4,498.50 4,498.50 A
ACH
1,869.00 1,869.00 A
ACH
4,364.25 4,364.25 A
ACH
1,090.25 1,090.25 A
ACH
155.75 155.75 A
ACH
1,787.50 1,787.50 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No
Vendor Name
PO No
Amount Paid
Description
Account No \ Description Fund:
410
SI0450946
00593818
Acct Amt
93459
429
0210216550 00589732
00591107
275.00 A 16,410.25
Total Fund:
68,805.09
01/09/17 1376
478
CORNISH MEDICAL ELECTRONICS
17006113 SPOT CHECK DEVICE CHECKING/WELCH ALLYN
01/12/17 99315163I
4699
99326168I
99319986I
00592076
01/19/17
834.20
17007615 CPR MANIKIN SET /PRESTAN /21836
834.20 C
3231171-00
2,530.00 C
3,300.00 C
00594209
01/26/17 15175
3650
A
Total Check per Fund: ESCUE & ASSOCIATES
17005747 Reading Materials see attached list
429-61-6329-12-832-6-11-010 READING MATERIALS 0210217518 00593108
01/26/17 99334652I
4699
Total Check per Fund: MOORE MEDICAL, LLC
17007615 CPR MANIKIN SET /PRESTAN /21836
429-11-6395-00-022-7-11-TWC FURN & EQUIP COST <$500.00 00593109
99339850I
17007615 MEDICAL KIT /ORANGE/MEDIKIT/ 15296
429-11-6399-00-022-7-11-TWC GENERAL SUPPLIES 0210217547 00593762
01/26/17 14108790
2580
Total Check per Fund: SCHOLASTIC INC.
17004584
429-61-6329-12-832-6-11-010 READING MATERIALS 00593761
14108789
17004584
429-61-6329-12-832-6-11-010 READING MATERIALS 00593760
14132640
17004584
429-61-6329-12-832-6-11-010 READING MATERIALS 00593763
14134847
17004584
429-61-6329-12-832-6-11-010 READING MATERIALS 00593759
14097446
17004583 EACH READ AND RISE FAMILY CONVERSATION
429-61-6399-12-832-6-11-010 GENERAL SUPPLIES
Computer
6,664.20
Total Check per Fund: SCHOOL HEALTH CORPORATION
429-11-6399-00-022-7-11-TWC GENERAL SUPPLIES 0210217421
Computer
3,300.00
17007615 CPR MANIKIN SET /PRESTAN /21836
17007506 ANTI-CHOKING TRAINING VEST ACT FAST
Computer
2,530.00
17007615 CPR MANIKIN SET /PRESTAN /21836
1626
Computer
10,390.00
Total Check per Fund: MOORE MEDICAL, LLC
429-11-6395-00-022-7-11-TWC FURN & EQUIP COST <$500.00 0210217127
10,390.00 10,390.00 C
429-11-6395-00-022-7-11-TWC FURN & EQUIP COST <$500.00 00591109
ACH
TEXAS EDUCATORS EXCELLENCE AWARD
429-11-6395-00-022-7-11-TWC FURN & EQUIP COST <$500.00 00591110
275.00
Total Check per Fund:
429-11-6398-00-022-7-11-TWC FURN & NON TECH EQUIP $500-$4,999.99 0210216705
Status Description
TEXTBOOK WAREHOUSE, LLC
17005284 The Language of Composition: Reading,
410-11-6321-33-886-7-30-010 TEXTBOOKS
Fund:
Status
INSTRUCTIONAL MATERIALS ALLOTMENT 01/26/17
0210217715
FPREG02B
A/P Detail Check Register By Fund Vendor No
394
2,139.80 2,139.80 C
Computer
2,139.80 3,366.50 3,366.50 C
Computer
3,366.50 469.80 469.80 C
Computer
1,665.60 1,665.60 C
Computer
2,135.40 2,720.00 2,720.00 C
Computer
2,914.00 2,914.00 C
Computer
258.21 258.21 C
Computer
20,111.65 20,111.65 C
Computer
2,299.77 2,299.77 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No PO No
429
Vendor Name Amount Paid
Description
46138545
00593758
Acct Amt
2580
01/26/17 3232843-00
00593764
1626
3232843-01
497
009047
00592035
6,990.00
Total Fund:
92,884.38
55891
007404
01/26/17
55891
Total Check per Fund: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17007287 Clothing for Student: Pants, Shirts, U
002226
497-32-6399-43-901-7-99-UWY GENERAL SUPPLIES
Fund:
749
0210216962 00591618
00592649
147.86
Total Fund:
346.55
01/13/17 001569
2924
SAM'S CLUB DIRECT 152.04
17001388 GATORADE
001568
01/19/17 686753
1282
01/19/17
Total Check per Fund: MISSION AUTO ELECTRIC, INC.
17008664 EXM 116-0124 SWITCH-PTO 10A (GR-160)
17006875
117340
00594210
01/26/17 2699247
17006875 TRIMMING AND SHAVING PALM TREES AT HOW
113913
Computer
408.24 C
Computer
560.28 62.28 62.28 A
ACH
62.28
RICARDO ADAME
749-61-6299-00-962-7-99-000 MISC CONTRACTED SERVICES 0210217422
152.04 C 408.24
17001389 CHIPS
Total Check per Fund: 00592051
Computer
HOWLING TRAILS GOLF COURSE
749-61-6319-10-962-7-99-000 SUPPLIES FOR MAINTENANCE & OPERATIONS 0210217287
Computer
75.00
Total Check per Fund:
749-00-1310-02-000-7-00-000 INVENTORY - DINING ROOM 0210217229
72.86
75.00 C
749-00-1310-02-000-7-00-000 INVENTORY - DINING ROOM 00591620
Computer
198.69
72.86 C
17007288 Clothing for Student: Pants, Shirts, U
Computer
99.72 99.72 C
497-32-6399-43-901-7-99-UWY GENERAL SUPPLIES 00594253
Computer
98.97 98.97 C
17005389 Clothign for Student-Pants, Shirts, Un
002227
00594252
Computer
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
17004484 Clothing forStudent:Shirts, Pants, Sh
497-32-6399-43-901-7-99-UWY GENERAL SUPPLIES 0210217605
699.00 C
Total Check per Fund:
497-32-6399-43-901-7-99-UWY GENERAL SUPPLIES 00592036
6,291.00 C 699.00
17007635 AUDIOMETER
MISC GRANTS 01/19/17
0210217325
Computer
61,198.48 6,291.00
17007635 AUDIOMETER
429-11-6398-00-022-7-11-TWC FURN & NON TECH EQUIP $500-$4,999.99
Fund:
32,894.85 32,894.85 C
Total Check per Fund: SCHOOL HEALTH CORPORATION
429-11-6398-00-022-7-11-TWC FURN & NON TECH EQUIP $500-$4,999.99 00593765
Status Description
SCHOLASTIC INC.
17004583 EACH READ AND RISE FAMILY CONVERSATION
429-61-6399-12-832-6-11-010 GENERAL SUPPLIES 0210217548
Status
TEXAS EDUCATORS EXCELLENCE AWARD 01/26/17
0210217547
395
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: EWING IRRIGATION PRODUCTS INC
17008423 14/2 BILINE WIRE BLUE 1000FT SPOOL 22
749-61-6319-10-962-7-99-000 SUPPLIES FOR MAINTENANCE & OPERATIONS
10,143.00 10,143.00 C
Computer
10,143.00 426.49 426.49 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
749
Vendor Name
PO No
Amount Paid
Description
2724063
00594211
Acct Amt
113913
01/27/17 1216-14
00594444
01/27/17
00594487
17008715 8" PVC PIPE AND OLD PIPE REMOVED
2,420.00
17979
2,420.00 C
96946
Total Check per Fund: HUDSON ENERGY SERVICES LLC
00592865
110701
1817130972
752
Total Check per Fund: TEXAS COMPTROLLER OF PUBLIC ACCOUNTS W/T TAX REPORT P-E 12-31-16
00593736
IN935644
2,078.44
Total Fund:
19,969.81
18896
IN1003135
IN1029156
0210215865 00586785
Total Check per Fund:
7,372.71
Total Fund:
7,372.71
01/10/17 IN865702
18896
DAHILL INDUSTRIES
17000381 MONTH RENTAL OF WC355OX CENTRE 3550CO
IN906509
17000381 MONTH RENTAL OF WC355OX CENTRE 3550CO
IN945187
17000381 MONTH RENTAL OF WC355OX CENTRE 3550CO
753-00-6269-99-950-7-99-000 RENTALS-OPERATING LEASES 00586809
IN865736
17002312 RENTAL OF XEROX 5955 APT DIGITAL COPI
753-00-6269-00-950-7-99-000 RENTALS-OPERATING LEASES 00586810
IN906545
17002312 RENTAL OF XEROX 5955 APT DIGITAL COPI
753-00-6269-00-950-7-99-000 RENTALS-OPERATING LEASES 00586811
Computer
INSURANCE FUND
753-00-6269-99-950-7-99-000 RENTALS-OPERATING LEASES 00586787
Computer
96.38 96.38 C
753-00-6269-99-950-7-99-000 RENTALS-OPERATING LEASES 00586786
Computer
810.12 810.12 C
17003703 HIGH PRODUCTION COLOR 75 PPM, BASE CO
Computer
1,282.33 1,282.33 C
17003703 HIGH PRODUCTION COLOR 75 PPM, BASE CO
752-00-6269-00-885-7-99-000 RENTALS-OPERATING LEASES
753
5,183.88 5,183.88 C
17003703 HIGH PRODUCTION COLOR 75 PPM, BASE CO
752-00-6269-00-885-7-99-000 RENTALS-OPERATING LEASES
Fund:
Manual
DAHILL INDUSTRIES
752-00-6269-00-885-7-99-000 RENTALS-OPERATING LEASES
00593739
2,078.44
Total Check per Fund:
17003703 HIGH PRODUCTION COLOR 75 PPM, BASE CO
IN954493
00593740
2,881.47
2,078.44 M
752-00-6269-00-885-7-99-000 RENTALS-OPERATING LEASES 00593737
Manual
PRINT SHOP 01/26/17
0210217401
Computer
2,420.00
2,881.47 M
749-00-2181-00-000-7-00-000 SALES TAX
Fund:
Computer
2,881.47
S1701110001-000 17005769
01/18/17
1,397.85 C 1,824.34
749-61-6259-00-962-7-99-000 UTILITIES 0290005633
1,397.85
Total Check per Fund: 3F UTILITY CONSTRUCTION INC.
749-61-6299-00-962-7-99-000 MISC CONTRACTED SERVICES 0210217778
Status Description
EWING IRRIGATION PRODUCTS INC
17006119 200-PEB RAINBIRD PLASTIC VALVE 350070
749-61-6319-10-962-7-99-000 SUPPLIES FOR MAINTENANCE & OPERATIONS 0210217721
Status
HOWLING TRAILS GOLF COURSE 01/26/17
0210217422
IN945224
396
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002312 RENTAL OF XEROX 5955 APT DIGITAL COPI
753-00-6269-00-950-7-99-000 RENTALS-OPERATING LEASES
-147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -147.42 -147.42 CV Computer Void -234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void -234.36 -234.36 CV Computer Void
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
753
0210215865 00586985
Vendor Name
PO No
Description
Acct Amt
01/10/17
18896
IN983071
17002312 RENTAL OF XEROX 5955 APT DIGITAL COPI
753-00-6269-00-950-7-99-000 RENTALS-OPERATING LEASES 0210216625 00590547
01/12/17
18896
IN1018946
Total Check per Fund: DAHILL INDUSTRIES
17000381 MONTH RENTAL OF WC355OX CENTRE 3550CO
753-00-6269-99-950-7-99-000 RENTALS-OPERATING LEASES 00590574
IN1018983
17002312 RENTAL OF XEROX 5955 APT DIGITAL COPI
753-00-6269-00-950-7-99-000 RENTALS-OPERATING LEASES 0210216792 00591054
01/12/17
138967
Total Check per Fund: US DEPARTMENT OF THE TREASURY
CASE# 160038507
LJISD - RAFAEL GARCIA
00590080
01/12/17 12-23-2016
115304
Total Check per Fund: BLUE CROSS BLUE SHIELD OF TX
12-30-2016
12-30-2016
00590655
01/12/17 111-LAJOYA
00591080
108249
108507
107994
17000675
17000675
17000675
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 0210217081 00592627
01/19/17 0031154086
123617
Total Check per Fund: MAGELLAN HEALTHCARE, INC.
17000672 EAP SERVICES FEES FOR LA JOYA ISD EMP
753-00-6299-03-950-7-99-000 EMPLOYEE ASSISTANCE PROGRAM FEE 0210217093 00592648
01/19/17 LJ122016
119636
13,518.31 Computer
13,518.31
ACH
ACH
ACH
1,226,866.29
ACH
52,275.95
MAXORPLUS
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 00591078
Computer
381.78
52,275.95 A
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 00591079
234.36 C
52,275.95
17003833
116017
Computer
234.36
592,716.83 A
Total Check per Fund: HEALTHSMART PRIMARY CARE CLINICS
Total Check per Fund: 01/12/17
147.42 C
592,716.83
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 0210216878
147.42
311,942.08 A
17002848
23102
-234.36 CV Computer Void -1,527.12
311,942.08
17002847
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 0210216854
-234.36
322,207.38 A
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 00590079
-147.42 CV Computer Void
322,207.38
17002848
753-00-2111-99-000-7-00-000 ACCOUNTS PAYABLE 00590081
Status Description
-147.42
13,518.31 C
753-00-6219-00-950-7-99-000 MEDICAL CLAIMS 0210216825
Status
DAHILL INDUSTRIES
17000381 MONTH RENTAL OF WC355OX CENTRE 3550CO
753-00-6269-99-950-7-99-000 RENTALS-OPERATING LEASES 00587012
Amount Paid
INSURANCE FUND
IN983036
397
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: MIRACLE MEDICAL EQUIPMENT AND
17000680 DIABETIC SUPPLIES FOR LA JOYA ISD EMP
753-00-6399-01-950-7-99-000 DIABETIC SUPPLIES
105,302.81 105,302.81 A
ACH
90,613.13 90,613.13 A
ACH
76,510.56 76,510.56 A
ACH
272,426.50 4,323.24 4,323.24 C
Computer
4,323.24 21,357.00 21,357.00 C
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
753
Vendor Name
PO No
Description
119636
MIRACLE MEDICAL EQUIPMENT AND
0210217225
01/19/17
116017
MAXORPLUS
Total Check per Fund: 108792
17000675 PRESCRIPTIONS FOR LA JOYA ISD EMPLOYE
108792
01/19/17 01-06-2017
115304
21,606.48 A
Total Check per Fund: BLUE CROSS BLUE SHIELD OF TX
17002848 MEDICAL AND DENTAL CLAIMS FOR LA JOYA
01-06-2017
01-06-2017
01-13-2017
01-13-2017
17002848 MEDICAL AND DENTAL CLAIMS FOR LA JOYA
01-13-2017
00594042
01/26/17
33,422.84 A
01-20-2017
Total Check per Fund: BLUE CROSS BLUE SHIELD OF TX
17002848 MEDICAL AND DENTAL CLAIMS FOR LA JOYA
01-20-2017
00593090
109071
116017
109071
17000675 PRESCRIPTIONS FOR LA JOYA ISD EMPLOYE
17000675
753-00-6219-12-950-7-99-000 CLINIC - RX 00593178
109351
17000675 PRESCRIPTIONS FOR LA JOYA ISD EMPLOYE
753-00-6219-02-950-7-99-000 RX CLAIMS 00593178
109351
17000675
753-00-6219-12-950-7-99-000 CLINIC - RX 0210217794 00594502
01/31/17 01-27-2017
115304
Total Check per Fund: BLUE CROSS BLUE SHIELD OF TX
17002848 MEDICAL AND DENTAL CLAIMS FOR LA JOYA
753-00-6219-00-950-7-99-000 MEDICAL CLAIMS 00594502
01-27-2017
ACH
338,626.54 ACH
ACH
375,881.07
MAXORPLUS
753-00-6219-02-950-7-99-000 RX CLAIMS 00593090
453.98 A
37,254.53 A Total Check per Fund:
01/26/17
ACH
37,254.53
17002848
753-00-6219-01-950-7-99-000 DENTAL CLAIMS 0210217675
ACH
664,979.49
338,626.54 A
753-00-6219-00-950-7-99-000 MEDICAL CLAIMS 00594042
ACH
453.98
17002848
115304
725.44 A
33,422.84
753-00-6299-08-950-7-99-000 CLAIMS REIMBURSEMENT FEES 0210217629
ACH
298,163.56 298,163.56 A
17002848
753-00-6219-01-950-7-99-000 DENTAL CLAIMS 00591821
ACH
725.44
17002848
753-00-6219-00-950-7-99-000 MEDICAL CLAIMS 00591821
302,440.75
29,772.92 A
753-00-6299-08-950-7-99-000 CLAIMS REIMBURSEMENT FEES 00591821
ACH
29,772.92
17002848
753-00-6219-01-950-7-99-000 DENTAL CLAIMS 00591820
ACH
83,587.00
302,440.75 A
753-00-6219-00-950-7-99-000 MEDICAL CLAIMS 00591820
61,980.52 21,606.48
17000675
753-00-6219-12-950-7-99-000 CLINIC - RX
00591820
Status Description
21,357.00
61,980.52 A
753-00-6219-02-950-7-99-000 RX CLAIMS
0210217327
Status
INSURANCE FUND 01/19/17
00592631
Amount Paid Acct Amt
0210217093
00592631
398
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
17002848
753-00-6219-01-950-7-99-000 DENTAL CLAIMS
53,129.83 53,129.83 A
ACH
17,710.39 17,710.39 A
ACH
52,810.02 52,810.02 A
ACH
17,134.17 17,134.17 A
ACH
140,784.41 270,283.82 270,283.82 A
ACH
27,243.58 27,243.58 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
753
Vendor Name
PO No
Amount Paid
Description
01-27-2017
00594502
Acct Amt
115304
770
0210215865 00586836
3,344.52 3,344.52 A
Total Check per Fund:
300,871.92
Total Fund:
3,155,725.84
01/10/17 IN865748
18896
DAHILL INDUSTRIES
17000840 RENTAL OF XEROX 5955 APT DIGITAL COPI
IN906558
17000840 RENTAL OF XEROX 5955 APT DIGITAL COPI
770-00-6269-00-985-7-99-000 RENTALS-OPERATING LEASES 00586838
IN945237
17000840 RENTAL OF XEROX 5955 APT DIGITAL COPI
770-00-6269-00-985-7-99-000 RENTALS-OPERATING LEASES 00587000
IN983084
17000840 RENTAL OF XEROX 5955 APT DIGITAL COPI
770-00-6269-00-985-7-99-000 RENTALS-OPERATING LEASES 0210216625 00590559
01/12/17 IN1018996
18896
Total Check per Fund: DAHILL INDUSTRIES
17000840 RENTAL OF XEROX 5955 APT DIGITAL COPI
770-00-6269-00-985-7-99-000 RENTALS-OPERATING LEASES 0210216856 00590654
01/12/17 TLS2006846
11178
Total Check per Fund: ADVENTURES IN ADVERTISING CORPORATION
17006754 3/4" SAFETY REFLECTIVE CUSTOM SILKSCR
770-00-6497-03-985-7-99-000 AWARDS & INCENTIVES 0210216908 00591209
01/12/17 4760
01/13/17
00591613
10001182-1216
00592129
90398
00593721
01/26/17 2371
00593868
01/26/17 200003678
-234.36 CV Computer Void -234.36 -234.36 CV Computer Void -937.44 234.36 234.36 C
1915
1,552.00 1,552.00 A
Total Check per Fund: TRISTAR RISK MANAGEMENT
17002867 Tristar Risk Management Claims Proces
131261
Total Check per Fund: HIGH END ADVERTISING
17008551 LEATHERETTE MOUSE PAD
91022
ACH
1,665.00 A
ACH
1,665.00
THE MONITOR
17000483 Advertisement for September 2016 thru
134490
Computer
234.36
1,665.00
770-00-6497-03-985-7-99-000 AWARDS & INCENTIVES 0210217714
-234.36
17006778 MODEM DISPLAY CLOCK / DESK CADDY
770-00-6299-00-985-7-99-000 MISC CONTRACTED SERVICES 0210217655
-234.36 CV Computer Void
1,552.00
770-00-6499-00-985-7-99-006 MISC OPERATING COSTS 01/19/17
-234.36
PROMO MASTERS
Total Check per Fund: 0210216963
-234.36 -234.36 CV Computer Void
Total Check per Fund: 20318
770-00-6497-03-985-7-99-000 AWARDS & INCENTIVES
0210217153
ACH
WORKMANS COMP CLEARING
770-00-6269-00-985-7-99-000 RENTALS-OPERATING LEASES 00586837
Status Description
BLUE CROSS BLUE SHIELD OF TX
17002848
753-00-6299-07-950-7-99-000 CLAIMS ADJUSTMENTS FEES
Fund:
Status
INSURANCE FUND 01/31/17
0210217794
399
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
Total Check per Fund: TEXAS ASSO OF SCHOOL PERSONNEL ADMIN WEBINAR-04/12/16-THE INTERPLAY OF UNEM
770-00-6411-00-985-7-99-000 TRAVEL - EMPLOYEES
621.04 621.04 C
Computer
621.04 5,000.00 5,000.00 C
Computer
5,000.00 894.00 894.00 A
ACH
894.00 25.00 25.00 A
ACH
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Vendor No
770
Vendor Name
PO No
Amount Paid
Description
Fund:
861
91022
12356
1109
00592623
Total Check per Fund:
25.00
Total Fund:
9,053.96
LINEBARGER GOGGAN BLAIR & SAMPSON, LLP
17000517 AGREEMENT BETWEEN LA JOYA ISD AND LIN
01/26/17
12356
1132
00593402
878
Total Check per Fund: LINEBARGER GOGGAN BLAIR & SAMPSON, LLP
17000517 AGREEMENT BETWEEN LA JOYA ISD AND LIN
139092
00593851
34,477.88 34,477.88 A
Total Check per Fund:
34,477.88
Total Fund:
80,165.44
LJISD SUPERINTENDENT'S SCHOLARSHIP
ACH
01/26/17
99999
Total Check per Fund: SAENZ, JR, ABILIO
SCHOLARSHIP AWAR
500.00 500.00 C
878-00-2190-00-000-7-00-000 DUE TO STUDENT GROUPS 0210217516
45,687.56
RIOS BRIAN
SCHOLARSHIP
00592526
ACH
SUPT SCHOLARSHIP FUND 01/19/17
0210217114
45,687.56 45,687.56 A
861-00-2115-00-000-7-00-000 DUE FOR ATTORNEY'S FEES
Fund:
Status Description
TEXAS ASSO OF SCHOOL PERSONNEL ADMIN
861-00-2115-00-000-7-00-000 DUE FOR ATTORNEY'S FEES 0210217669
Status
TAX COLLECTIONS FUND 01/19/17
0210217223
Acct Amt
WORKMANS COMP CLEARING 01/26/17
0210217714
400
FPREG02B
A/P Detail Check Register By Fund
Account No \ Description Fund:
Page No
LJISD SUP. GOLF CLASSIC SCHOLARSHIP
878-00-2190-00-000-7-00-000 DUE TO STUDENT GROUPS
500.00 500.00 C
Total Check per Fund:
500.00
Total Fund:
1,000.00
Total Computer Checks (Including Voids) Total Manual Checks (Including Voids)
3,831,624.89
Total ACH Checks (Including Voids)
5,476,906.04
3,407,527.66
.00 .00
Total Other Checks (Including Voids) Total Electronic Checks (Including Voids) Total Computer Voids Total Manual Voids Total ACH Voids
-202,960.04 .00 -11,597.45 .00
Total Other Voids Total Electronic Voids Grand Total Number of Checks
Computer
500.00
.00 12,716,058.59 1,459
994,054.43
Fund:
101
FOOD SERVICE FUND
Fund:
103
PAYROLL CLEARING
Fund:
104
ACCOUNTS PAYABLE CLEARING
1,597.72
Fund:
142
HIGH SCHOOL ALLOTMENT
2,678.75
Fund:
152
STATE CATE
177,457.01
Fund:
162
STATE COMPENSATORY
253,658.38
3,357,722.91
Computer
Report Date
03/29/17
La Joya ISD
For 01/01/17 - 01/31/17 Check Key
Date Paid
Claim No
Invoice No
Page No FPREG02B
A/P Detail Check Register By Fund Vendor No
401
Vendor Name
PO No
Description
Account No \ Description
Amount Paid Acct Amt
Status
Fund:
172
STATE BILINGUAL
251,647.64
Fund:
181
ATHLETIC FUND
154,438.31
Fund:
192
SPECIAL EDUCATION/LOCAL
Fund:
199
GENERAL FUND
Fund:
211
ESEA TITLE 1 PART A
Fund:
212
TITLE I PART C - ED OF MIGRANT CHILDREN
Fund:
224
IDEA PART B FORMULA
23,225.90
Fund:
244
CAREER AND TECHNICAL BASIC GRANT
41,910.37
Fund:
263
ENG LANG ACQ & LANG ENHANCEMENT
3,614.00
Fund:
272
MAC PROGRAM
2,593.84
Fund:
410
INSTRUCTIONAL MATERIALS ALLOTMENT
68,805.09
Fund:
429
TEXAS EDUCATORS EXCELLENCE AWARD
92,884.38
Fund:
497
MISC GRANTS
Fund:
749
HOWLING TRAILS GOLF COURSE
Fund:
752
PRINT SHOP
Fund:
753
INSURANCE FUND
Fund:
770
WORKMANS COMP CLEARING
Fund:
861
TAX COLLECTIONS FUND
Fund:
878
SUPT SCHOLARSHIP FUND
38,290.73 3,845,338.09 130,893.71 1,613.02
346.55 19,969.81 7,372.71 3,155,725.84 9,053.96 80,165.44 1,000.00
Status Description