La Joya ISD Summary of Check Registers August 2014
Total Payroll Transactions (Includes Benefits):
$16,259,951.40
Total Non-Payroll Transactions*:
$16,844,730.95
Grand Total:
*See detail transactions on the following pages.
$33,104,682.35
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454202
08/05/14
59579
16533391
0190004699 00454201
5,955.26
W/T NON-AUX BI-WKLY
08/05/14
59579
16529103
Total Check: EXPERT PAY FOR EMPLOYERS
0190004703
08/05/14
00454808
2014218000145
7864
Total Check: LA JOYA AREA FEDERAL CREDIT UNION
08/05/14
00454809
2014218000147
7864
Total Check: LA JOYA AREA FEDERAL CREDIT UNION
00454805
08/05/14
991
53349017
Total Check: INTERNAL REVENUE SERVICE W/T BW & ISSUE #1/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00454805
53349017
W/T BW & ISSUE #1/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00454805
53349017
W/T BW & ISSUE #1/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004706 00454806
08/05/14
991
32980778
Total Check: INTERNAL REVENUE SERVICE
32980778
32980778
00454807
08/06/14
991
93042712
Total Check: INTERNAL REVENUE SERVICE
93042712
93042712
Total Check: 08/07/14
00454810
2014218000148
52876
W/T ANNUITIES OMNI/PR
W/T ANNUITIES OMNI/PR
103-00-2153-12-000-4-00-000 AVIVA (CGU)........... 2014218000148
65,660.66
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
65,660.66 22,912.31 22,912.31 45.98 45.98 11,823.76 11,823.76 34,782.05
102,481.66
140.78
35,449.26 138,071.70
49.67
30.56
43.00 123.23
THE OMNI GROUP
103-00-2153-27-000-4-00-000 AMERICAN FUNDS DISTRIBUTORS 2014218000148
Manual
43.00
W/T ISSUE #2/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004708
M
39,093.31
30.56
W/T ISSUE #2/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00454807
39,093.31
49.67
W/T ISSUE #2/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00454807
Manual
35,449.26
W/T BW-NON-AUX/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004707
M
5,060.44
140.78
W/T BW-NON-AUX/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00454806
5,060.44
102,481.66
W/T BW-NON-AUX/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00454806
Manual
65,660.66
W/T BW NON-AUX/PR
103-00-2154-00-000-4-00-000 CREDIT UNION........................ 0190004705
M
5,955.26
39,093.31
W/T BW/PR
103-00-2154-00-000-4-00-000 CREDIT UNION........................ 0190004704
5,955.26
5,060.44
W/T PAYDAY BI-WKLY
103-00-2159-19-000-4-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.A
00454812
Status Description
EXPERT PAY FOR EMPLOYERS
103-00-2159-19-000-4-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.A
00454812
Status
01
0190004698
1
W/T ANNUITIES OMNI/PR
275.00 275.00 50.00 50.00 325.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/07/14
00454812
2014218000148
52876
W/T ANNUITIES OMNI/PR
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-75-000-4-00-000 GENERAL AMERICAN LIFE............... 00454812
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-55-000-4-00-000 GREAT AMERICAN FINANCIAL 00454812
2014218000148
00454812
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-01-000-4-00-000 JEFFERSON NATIONAL LIFE INSURANCE 00454812
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-84-000-4-00-000 LIFE SOUTHWEST...................... 00454812
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-56-000-4-00-000 MIDLAND NATIONAL LIFE 00454812
2014218000148
2014218000148
2014218000148
103-00-2153-64-000-4-00-000 SECURITY BENEFIT LIFE 00454812
2014218000148
103-00-2153-25-000-4-00-000 THE LEGEND GROUP/ADSERV 00454812
2014218000148
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-83-000-4-00-000 UMB BANK............................ 00454812
2014218000148
W/T ANNUITIES OMNI/PR
103-00-2153-06-000-4-00-000 WADDELL AND REED 00454812
2014218000148
103-00-2153-66-000-4-00-000 CAPITAL BANK AND TRUST 08/07/14
00454811
2014218000146
52876
W/T ANNUITIES OMNI/PR
00456137
2014233000917
52876
W/T ANNUITIES OMNI/PR
W/T ANNUITIES OMNI/PR
103-00-2153-12-000-4-00-000 AVIVA (CGU)........... 2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-66-000-4-00-000 CAPITAL BANK AND TRUST 00456139
2014233000917
M
Manual
M
Manual
150.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
150.00
200.00
700.00
290.00
125.00
280.00 280.00 50.00 50.00 50.00
125.00
5,121.00 100.00
100.00
THE OMNI GROUP
103-00-2153-27-000-4-00-000 AMERICAN FUNDS DISTRIBUTORS 2014233000917
Manual
150.00
100.00 Total Check:
08/22/14
M
THE OMNI GROUP
103-00-2153-24-000-4-00-000 OPPENHEIMER 0190004720
Manual
775.00 775.00
125.00 Total Check:
0190004709
826.00
50.00
W/T ANNUITIES OMNI/PR
M
826.00
125.00
W/T ANNUITIES OMNI/PR
103-00-2153-85-000-4-00-000 TRANSAMERICA........................ 00454812
50.00
290.00
W/T ANNUITIES OMNI/PR
Manual
700.00
700.00
W/T ANNUITIES OMNI/PR
M
50.00
200.00
W/T ANNUITIES OMNI/PR
103-00-2153-29-000-4-00-000 ING (RELIASTAR LIC) 00454812
325.00
150.00
W/T ANNUITIES OMNI/PR
103-00-2159-69-000-4-00-000 NORTH AMERICAN COMPANY 00454812
325.00
700.00
W/T ANNUITIES OMNI/PR
103-00-2153-80-000-4-00-000 HORACE MANN AND SMITH BARNEY
00456139
Status Description
THE OMNI GROUP
103-00-2153-16-000-4-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERV 00454812
00456141
Status
01
0190004708
2
W/T ANNUITIES OMNI/PR
103-00-2153-59-000-4-00-000 EQUI-VEST
275.00 275.00 50.00 50.00 125.00 125.00 50.00 50.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
01
0190004720
08/22/14
00456139
2014233000917
52876
THE OMNI GROUP W/T ANNUITIES OMNI/PR
103-00-2153-16-000-4-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERV 00456139
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-75-000-4-00-000 GENERAL AMERICAN LIFE............... 00456139
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-55-000-4-00-000 GREAT AMERICAN FINANCIAL 00456139
2014233000917
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-01-000-4-00-000 JEFFERSON NATIONAL LIFE INSURANCE 00456139
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-84-000-4-00-000 LIFE SOUTHWEST...................... 00456139
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-56-000-4-00-000 MIDLAND NATIONAL LIFE 00456139
2014233000917
2014233000917
2014233000917
103-00-2153-64-000-4-00-000 SECURITY BENEFIT LIFE 00456139
2014233000917
103-00-2153-25-000-4-00-000 THE LEGEND GROUP/ADSERV 00456139
2014233000917
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-83-000-4-00-000 UMB BANK............................ 00456139
2014233000917
W/T ANNUITIES OMNI/PR
103-00-2153-06-000-4-00-000 WADDELL AND REED 08/22/14
00456140
2014233000918
52876
W/T ANNUITIES OMNI/PR
2014233000918
W/T ANNUITIES OMNI/PR
103-00-2153-24-000-4-00-000 OPPENHEIMER 0190004722 00456142
08/20/14
59579
16641229
Total Check: EXPERT PAY FOR EMPLOYERS W/T PAYDAY BI-WKLY
103-00-2159-19-000-4-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.A 0190004723 00456143
08/21/14
59579
16651239
Total Check: EXPERT PAY FOR EMPLOYERS W/T PAYDAY NON-AUX BI-WKLY
103-00-2159-19-000-4-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.A 0190004724
08/21/14
7864
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
775.00 775.00 150.00 150.00 150.00
200.00
700.00
290.00
125.00
280.00 280.00 50.00 50.00 50.00
5,171.00
THE OMNI GROUP
103-00-2153-84-000-4-00-000 LIFE SOUTHWEST...................... 00456138
826.00
50.00 Total Check:
0190004721
M
826.00
125.00
W/T ANNUITIES OMNI/PR
103-00-2153-85-000-4-00-000 TRANSAMERICA........................ 00456139
50.00
290.00
W/T ANNUITIES OMNI/PR
Manual
700.00
700.00
W/T ANNUITIES OMNI/PR
M
50.00
200.00
W/T ANNUITIES OMNI/PR
103-00-2153-29-000-4-00-000 ING (RELIASTAR LIC) 00456139
325.00
150.00
W/T ANNUITIES OMNI/PR
103-00-2159-69-000-4-00-000 NORTH AMERICAN COMPANY 00456139
325.00
700.00
W/T ANNUITIES OMNI/PR
103-00-2153-80-000-4-00-000 HORACE MANN AND SMITH BARNEY 00456139
3
Total Check: LA JOYA AREA FEDERAL CREDIT UNION
50.00 50.00 100.00 100.00 150.00 5,224.04 5,224.04 5,224.04 6,411.26 6,411.26 6,411.26
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
Amount Paid Acct Amt.
Account No \ Description Bank No
Status
Status Description
01
0190004724
08/21/14
00456148
2014233000909
7864
LA JOYA AREA FEDERAL CREDIT UNION W/T BW-NON-AUX/PR
103-00-2154-00-000-4-00-000 CREDIT UNION........................ 0190004725
08/19/14
00456149
2014233000263
7864
Total Check: LA JOYA AREA FEDERAL CREDIT UNION WT BWPR
103-00-2154-00-000-4-00-000 CREDIT UNION........................ 0190004726 00456146
08/19/14
991
40779090
Total Check: INTERNAL REVENUE SERVICE W/T BW & ISSUE #5/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456146
40779090
W/T BW & ISSUE #5/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00456144
40779090
W/T BW & ISSUE #5/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004727 00456145
08/21/14
991
31636328
Total Check: INTERNAL REVENUE SERVICE W/T BW-NON AUX & VOID F.JUARDO/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456147
31636328
W/T BW-NON AUX & VOID F.JUARDO/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00456145
31636328
W/T BW-NON AUX & VOID F.JUARDO/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004728 00456886
08/22/14
991
25660539
Total Check: INTERNAL REVENUE SERVICE W/T SUB/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456886
25660539
W/T SUB/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00456886
25660539
W/T SUB/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004729 00456885
08/22/14
991
24375944
Total Check: INTERNAL REVENUE SERVICE W/T ISSUE # 7 VOID/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456883
24375944
W/T ISSUE # 7 VOID/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004730 00456887
08/21/14
991
94617489
Total Check: INTERNAL REVENUE SERVICE W/T MO & ISSUE #6/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456884
94617489
W/T MO & ISSUE #6/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004731
08/21/14
00456888
2014234000440
7864
4
Total Check: LA JOYA AREA FEDERAL CREDIT UNION W/T MO/PR
66,710.92 66,710.92
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
66,710.92 41,174.53 41,174.53 41,174.53 24,230.32 24,230.32 113.96 113.96 12,128.16 12,128.16 36,472.44 110,529.56 110,529.56 167.84 167.84 36,494.72 36,494.72 147,192.12 212.48 212.48 1,029.30 1,029.30 269.00 269.00 1,510.78 689.39 689.39 231.90 231.90 921.29 938,674.93 938,674.93 278,446.16 278,446.16 1,217,121.09 473,146.68
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/21/14
00456888
2014234000440
7864
0190004733 00456882
473,146.68
W/T MO/PR
08/21/14
59579
16656819
Total Check: EXPERT PAY FOR EMPLOYERS
16656819
16656819
16656819
Total Check: 08/25/14
00456890
2014234000438
52876
W/T ANNUITIES OMNI/PR
W/T ANNUITIES OMNI/PR
103-00-2153-27-000-4-00-000 AMERICAN FUNDS DISTRIBUTORS 2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-78-000-4-00-000 AMERICO FINANCIAL................... 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-12-000-4-00-000 AVIVA (CGU)........... 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-66-000-4-00-000 CAPITAL BANK AND TRUST 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-59-000-4-00-000 EQUI-VEST 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-16-000-4-00-000 FIDELITY INVESTMENTS TAX EXEMPT SERV 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-58-000-4-00-000 FRANKLIN TEMPLTEON BANK & TRUST (PAY 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-75-000-4-00-000 GENERAL AMERICAN LIFE............... 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-55-000-4-00-000 GREAT AMERICAN FINANCIAL 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-80-000-4-00-000 HORACE MANN AND SMITH BARNEY 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2159-64-000-4-00-000 INDUSTRIAL ALLIANCE PACIFIC 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-01-000-4-00-000 JEFFERSON NATIONAL LIFE INSURANCE 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-22-000-4-00-000 KNIGHTS OF COLUMBUS 00456890
2014234000438
M
Manual
350.00
M
Manual
1.25
M
Manual
556.88
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
38,513.69
THE OMNI GROUP
103-00-2153-04-000-4-00-000 AMERICAN GENERAL LIFE 2014234000438
37,605.56
556.88
W/T PAYDAY MONTHLY
103-00-2159-36-000-4-00-000 NORTH CAROLINA CHILD SUPPORT 0190004734
Manual
1.25
W/T PAYDAY MONTHLY
103-00-2159-29-000-4-00-000 MINNESOTA CHILD SUPPORT CENTER...... 00456882
M
473,146.68
350.00
W/T PAYDAY MONTHLY
103-00-2159-52-000-4-00-000 SAN BENITO DEPT OF CHILD SUPPORT SER 00456882
473,146.68
37,605.56
W/T PAYDAY MONTHLY
103-00-2159-19-000-4-00-000 TX CHILD SUPPORT SDU/OFFICE OF THE.A 00456882
00456890
Status Description
LA JOYA AREA FEDERAL CREDIT UNION
103-00-2154-00-000-4-00-000 CREDIT UNION........................
00456890
Status
01
0190004731
5
W/T ANNUITIES OMNI/PR
103-00-2153-84-000-4-00-000 LIFE SOUTHWEST......................
300.00 300.00 7,370.00 7,370.00 500.00 500.00 500.00 500.00 6,725.00 6,725.00 1,375.00 1,375.00 1,400.00 1,400.00 1,241.67 1,241.67 600.00 600.00 3,325.00 3,325.00 6,445.00 6,445.00 1,641.00 1,641.00 15,737.66 15,737.66 1,700.00 1,700.00 8,652.00 8,652.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/25/14
00456890
2014234000438
52876
W/T ANNUITIES OMNI/PR
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-74-000-4-00-000 MET LIFE............................ 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-56-000-4-00-000 MIDLAND NATIONAL LIFE 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-18-000-4-00-000 NEW YORK LIFE 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2159-69-000-4-00-000 NORTH AMERICAN COMPANY 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-24-000-4-00-000 OPPENHEIMER 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-10-000-4-00-000 PFS INVESTMENTS 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-29-000-4-00-000 ING (RELIASTAR LIC) 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-64-000-4-00-000 SECURITY BENEFIT LIFE 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-57-000-4-00-000 T. ROWE PRICE 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-25-000-4-00-000 THE LEGEND GROUP/ADSERV 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-85-000-4-00-000 TRANSAMERICA........................ 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-83-000-4-00-000 UMB BANK............................ 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-73-000-4-00-000 USAA LIFE........................... 00456890
2014234000438
W/T ANNUITIES OMNI/PR
103-00-2153-06-000-4-00-000 WADDELL AND REED 0190004735 00456891
08/29/14
991
01536998
Total Check: INTERNAL REVENUE SERVICE W/T ISSUE #9/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 00456891
01536998
W/T ISSUE #9/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................ 0190004736
08/29/14 54492521
991
Total Check: INTERNAL REVENUE SERVICE W/T ISSUE #8 EOFY/PR
103-00-2151-00-000-4-00-000 FEDERAL INCOME TAX.................. 54492521
W/T ISSUE #8 EOFY/PR
103-00-2152-00-000-4-00-000 FICA TAX PAYABLE.................... 00456892
Status Description
THE OMNI GROUP
103-00-2153-71-000-4-00-000 LINCOLN NATIONAL 00456890
00456892
Status
01
0190004734
00456892
Amount Paid Acct Amt.
Account No \ Description Bank No
54492521
6
W/T ISSUE #8 EOFY/PR
103-00-2152-01-000-4-00-000 MEDICARE TAX PAYABLE................
400.00 400.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
1,125.00 1,125.00 925.00 925.00 1,251.00 1,251.00 700.00 700.00 3,845.00 3,845.00 1,202.50 1,202.50 10,417.00 10,417.00 1,850.00 1,850.00 4,997.00 4,997.00 265.00 265.00 1,525.00 1,525.00 1,416.00 1,416.00 1,900.00 1,900.00 1,300.00 1,300.00 90,630.83 555.78 555.78 127.30 127.30 683.08 11,992.77 11,992.77 24.80 24.80 6,267.20 6,267.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0190004736
08/29/14
991
INTERNAL REVENUE SERVICE
0190004945
08/29/14
1785
Total Check: TEACHER RETIREMENT SYSTEM W/T TRS-AUG.'14 PYRL TRANS
18814829
103-00-2155-00-000-4-00-000 TEACHER RETIREMENT..................
Bank No
Status
Status Description
01
00457818
18,284.77 1,340,051.97 1,340,051.97
Total Check:
1,340,051.97
Total Bank:
3,783,338.14
M
Manual
02
0210169521 00421664
08/11/14 PHSGOLF1/24-25
1653
SHARY MUNICIPAL GOLF COURSE
14007900 THIS ORDER IS FOR PALMVIEW HS: 201
Total Check: 08/11/14
00426637
LJHS/01-2014
100757
08/11/14
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426639
LJHS/01-2014
88072
Total Check: FLORES FRANCISCO GUILLERMO
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426646
PHS/01-2014
98329
14007748 VAC-OJT-OFF OJT ON CAMPUS STUDENT
00426647
LJHS/01-2014
109630
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426651
PHS/01-2014
76015
14007748 VAC-OJT-OFF OJT ON CAMPUS STUDENT
00426674
LJHS/01-2014
88129
08/11/14
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426678
JLHS/01-2014
108545
Total Check: MARTINEZ CARLOS ENRIQUE
14007747 VAC AND OJT-OFF OJT ON CAMPUS STUD
00426698
LJHS/01-2014
77127
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426704
LJHS/01-2014
88854
-10.00 -10.00 CV Computer Void
-10.00 -20.00 CV Computer Void
-20.00 -10.00 -10.00
Total Check: 08/11/14
CV Computer Void
REYNA IVAN
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170689
-10.00
-20.00 Total Check:
08/11/14
-10.00
-10.00
224-11-6413-00-004-4-23-010 STIPEND- NON-EMPLOYEES 0210170673
CV Computer Void
LOPEZ-RAMIREZ JULISSA
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170610
-10.00
-10.00 Total Check:
08/11/14
CV Computer Void
-10.00
GARZA STEVE
224-11-6413-00-007-4-23-010 STIPEND- NON-EMPLOYEES 0210170601
-10.00
-10.00 Total Check:
08/11/14
CV Computer Void
-10.00
GARZA MATEO
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170540
-10.00
-10.00 Total Check:
08/11/14
CV Computer Void
-10.00
GARZA KIMBERLY
224-11-6413-00-007-4-23-010 STIPEND- NON-EMPLOYEES 0210170536
-10.00
-10.00 Total Check:
08/11/14
-307.00
-10.00
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170535
CV Computer Void
ESTRADA OSCAR
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170516
-307.00 -307.00
181-36-6412-81-007-4-91-010 TRAVEL - STUDENTS 0210170508
7
-10.00
SALAZAR FERNANDO
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
-20.00
CV Computer Void
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/11/14
00426704
LJHS/01-2014
88854
08/11/14
00426711
LJHS/01-2014
68527
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
00426713
LJHS/01-2014
99872
00426719
08/11/14
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
PHS/01-2014
89419
14007748 VAC-OJT-OFF OJT ON CAMPUS STUDENT
08/11/14 LJHS/01-2014
80225
00428416
01-16-2014
101850
14009889 OFFICIAL SERVICES FOR PALMVIEW HS
00429096
JLHS 2/20-22/1
3203
00450201
08/28/14
14010923 THIS ORDER IS FOR JUAREZ-LINCOLN H
JLHS-AGSCI 6/2
84603
Total Check: FUTURE FARMER OF AMERICA - AREA X (FFA)
14018017 REGISTRATION FEE FOR AREA X LEADER
152-36-6412-05-895-4-22-010 TRAVEL - STUDENTS 0210178005
08/31/14 GLADYS ENRIQUE
5977
Total Check: CAMT 2011 REGISTRATION
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES CONNIE MARTINE
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452962
CYNTHIA SAENZ
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452957
ANNETTE LOZANO
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452958
MONICA FLORES
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452959
DIANA TREVINO
14018336 REGISTRATION FEE FOR TEACHER ATTEN
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452960
BRENDA GARCIA
-20.00 CV Computer Void
-20.00
EDINBURG C.I.S.D.
181-36-6412-79-004-4-91-010 TRAVEL - STUDENTS 0210177249
CV Computer Void
-10.00
-20.00 Total Check:
08/11/14
-10.00
GARZA CHRISTIAN
181-36-6299-74-007-4-91-010 MISC CONTRACTED SERVICES 0210171329
CV Computer Void
-10.00
-10.00 Total Check:
08/11/14
-10.00
VALDEZ JOSE MARIA
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170937
CV Computer Void
-10.00
-10.00 Total Check:
00426721
-10.00 -10.00
Total Check: TREVINO FRANCES PRISCILLA
224-11-6413-00-007-4-23-010 STIPEND- NON-EMPLOYEES 0210170775
CV Computer Void
-10.00
SOLIS ELIAZAR
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170764
-10.00 -10.00
Total Check: 08/11/14
CV Computer Void
-20.00
SIERRA MARK ANTHONY
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES 0210170721
-20.00 -20.00
Total Check: 0210170714
00452965
Status Description
SALAZAR FERNANDO
14007749 VAC-OJT-OFF OJT-ON CAMPUS STUDENT
224-11-6413-00-001-4-23-010 STIPEND- NON-EMPLOYEES
00452966
Status
02
0210170689
8
14018336 REGISTRATION FEE FOR TEACHER ATTEN
-75.00 -75.00
CV Computer Void
-75.00 -500.00 -500.00
CV Computer Void
-500.00 -130.00 -130.00
CV Computer Void
-130.00 -130.00
CV Computer Void
-130.00 -130.00
CV Computer Void
-130.00 -130.00
CV Computer Void
-130.00 -130.00
CV Computer Void
-130.00 -130.00 -130.00
CV Computer Void
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/31/14
00452960
BRENDA GARCIA
5977
Status Description
CAMT 2011 REGISTRATION
14018336 REGISTRATION FEE FOR TEACHER ATTEN
OSCAR GARCIA
14018336 REGISTRATION FEE FOR TEACHER ATTEN
ARMANDO VILLAR
14018336 REGISTRATION FEE FOR TEACHER ATTEN
VERONICA SHOE
14018336 REGISTRATION FEE FOR TEACHER ATTEN
00452964
SARA FARIAS
14018336 REGISTRATION FEE FOR TEACHER ATTEN
Total Check: 0210178105 00453494
08/28/14
11170
6-19-2014
CORPUS CHRISTI, TX
00454567
1735
72982
-249.09
14002429 1-2-1 Processing Service from Sept
00454577
M14-3939-01
104680
M14-3939-02
14017953 RISER AND FIRE SPRINKLER INSPECTIO
M14-3939-03
M14-939-04
M14-3939-05
M14-3939-06
M14-3939-07
M14-3939-08
M14-3939-09
14017953 RISER AND FIRE SPRINKLER INSPECTIO
M14-3959
14018607
58564
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,250.00
369.89 369.89
Total Check: 08/06/14
C
350.00
2,250.00
14018100 DEFICIENCY REPAIR ON BACKFLOW AND
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178394
Computer
350.00
350.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454571
C
350.00
350.00
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454568
Computer
550.00
350.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454569
C
350.00
550.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454570
Computer
575.00
350.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454572
C
475.00
575.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454573
Computer
1,475.00
475.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454574
C
2,195.00
1,475.00
14017953 RISER AND FIRE SPRINKLER INSPECTIO
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454575
2,195.00
1st FP SERVICES, LLC
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454576
-249.09
2,195.00 Total Check:
08/06/14
CV Computer Void
1-2-1 CLAIMS, INC.
770-00-6299-10-985-4-99-000 MISC. CONT.SERVICES 0210178393
-1,430.00 -249.09
Total Check: 08/06/14
CV Computer Void
HERNANDEZ GUADALUPE
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES 0210178392
CV Computer Void
-130.00 -130.00
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES
CV Computer Void
-130.00 -130.00
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES
CV Computer Void
-130.00 -130.00
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452963
CV Computer Void
-130.00 -130.00
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452967
-130.00 -130.00
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00452961
00454578
Status
02
0210178005
9
7,094.89
492 BBQ
14018607 Chopped BBQ sandwich, chips, drink
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS
422.50 422.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178394
08/06/14
58564
492 BBQ
0210178395
08/06/14
3735
A & L ATHLETICS
Total Check: 18392
14013372 THIS ORDER IS CESAR CHAVE MIDDLE S
181-36-6399-69-042-4-91-010 GENERAL SUPPLIES 00454580
18793
Status Description
00454581
08/06/14 184476A
16041
14015323 READING MATERIALS SEE ATTACHED LIS
08/06/14 99347-0
14301
00454585
11386
7-20-2014
SAN ANTONIO, TX
00454586
JULY 2014
20045
00454589
08/06/14 MI333601
MI333501
14017955 FIRE SPRINKLER & RISER ANNUAL INSP
MI333401
00454592
7955
7-16-2014
AUSTIN, TX
00454594
BBB005248-BB03
90735
08/06/14 AL080114-01
14017299 THIS ORDER IS FOR LA JOYA HS BOYS
12277
DR.OCANA-14018
55816
Computer
C
Computer
C
Computer
C
Computer
228.06
849.75
849.75
ARGOT LTD.
14018446 6-12 LEP REPORT. -FOR ALL LEP STUD
10,800.00 10,800.00
Total Check: 08/06/14
C
10,460.00
849.75
172-31-6299-39-860-4-25-010 MISC CONTRACTED SERVICES 0210178404
Computer
AMERICA TEAM SPORTS
Total Check: 00454595
C
4,070.00
228.06
181-36-6399-72-001-4-91-010 GENERAL SUPPLIES 0210178403
Computer
6,055.00
228.06
Total Check: 08/06/14
C
335.00
ALVAREZ ARCELIA
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178402
Computer
22.40
4,070.00 Total Check:
08/06/14
C
22.40
6,055.00
14017995 RISER & FIRE SPRINKLER INSPECTION
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 0210178401
Computer
46.26
335.00
14017994 RISER AND SPRINKLER INSPECTION PAL
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454591
C
23,796.60
22.40
Total Check: ALLIED FIRE PROTECTION
199-51-6299-01-956-4-99-000 CONTRACTED SERVICES 00454590
Computer
ALANIZ FLERIDA
14000193 MILEAGE REIMBURSEMENT FOR FLERIDA
28126
C
23,796.60
46.26
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210178400
Computer
46.26
Total Check: 08/06/14
C
6,059.30
ALANIZ ELEUD
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178399
Computer
6,059.30
23,796.60 Total Check:
08/06/14
C
AFP INDUSTRIES, INC.
14018161 BLACK COMPOSITION NOTEBOOKS
199-00-1310-00-000-4-00-000 INVENTORY 0210178398
Computer
728.00
6,059.30 Total Check:
00454583
C
103.00
ABDO PUBLISHING CO.
199-12-6329-00-886-4-99-000 READING MATERIALS 0210178397
625.00
103.00 Total Check:
0210178396
422.50
625.00
14018549 Port Authority Easy Care Red Shirt
199-41-6497-00-943-4-99-000 AWARDS & INCENTIVES
00454424
Status
02
00454579
10
10,800.00
GUADALUPE E. MENDIOLA
14018610 Chicken Cordon blue w/trims ITEMS
390.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454424
08/06/14 DR.OCANA-14018
55816
Total Check: 0210178405 00454275
08/06/14 IN 2846805
38814
0210178406 00454270
08/06/14
14018417 Building a Professional Learning C
374618
44229
374618
14012165 SPANISH 1311 - IDENTITADES LISKIN
374618
374618
374618
00454276
08/06/14 674100
268
Total Check: BILL GUTHRIE SPORTS,INC.
14010634 THIS ORDER IS FOR GARCIA MS BOYS C
00454775
08-05-2014_3
7810
BW NA LIABILITY PYMTS 8.7.14
00454208
08-05-2014_1
7810
BW LIABILITY PYMTS 8.7.14
Total Check: 00454277
08/06/14 96230076
3059
14017754 THIS ORDER IS FOR LA JOYA HS FOOTB
122133
48496
14018110 MISC. CONTRACTED SERVICES FOR PEST
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454280
122124
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454281
121766
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454282
121770
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
927.60
927.60 1,894.62 1,894.62 1,894.62 362.92 362.92 362.92 1,674.00
1,674.00
BUG OFF PEST CONTROL
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 121840
C
16,003.50
1,674.00 Total Check:
08/06/14
Computer
BSN SPORTS
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 0210178411
C
612.86
CINDY BOUDLOCHE
103-00-2159-12-000-4-00-000 GARNISHMENT......................... 0210178410
Computer
CINDY BOUDLOCHE
Total Check: 08/06/14
C
4,400.00
927.60
103-00-2159-12-000-4-00-000 GARNISHMENT......................... 0210178409
Computer
5,812.45
1,225.69
Total Check: 08/06/14
C
3,952.50
612.86
181-36-6399-70-046-4-91-010 GENERAL SUPPLIES 0210178408
Computer
1,225.69
14017614
142-11-6321-28-004-4-30-010 TEXTBOOKS 0210178407
C
2,396.00
4,400.00
14017614 GOVERNMETN IN AMERICA ISBN # 97802
142-11-6321-28-001-4-30-010 TEXTBOOKS 00454273
Computer
2,396.00
5,812.45
14017999 COMMUNICATION : PRINCIPLES FOR A L
199-11-6321-00-028-4-11-000 TEXTBOOKS 00454271
C
390.00
3,952.50
14017382 COLLEGE ALGEBRA BOOK FOR STUDENTS
199-11-6321-00-028-4-11-000 TEXTBOOKS 00454272
390.00
2,396.00
Total Check: BARNES & NOBLE COLLEGE BOOKSELLERS, INC.
199-11-6321-00-028-4-11-000 TEXTBOOKS 00454274
390.00
BARNES & NOBLE, INC.
162-21-6329-00-846-4-30-000 READING MATERIALS
00454279
Status Description
GUADALUPE E. MENDIOLA
14018610 Chicken Cordon blue w/trims ITEMS
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS
00454278
Status
02
0210178404
11
14018110 MISC. CONTRACTED SERVICES FOR PEST
34.00 34.00 34.00 34.00 28.00 28.00 34.00 34.00 22.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 121770
48496
121573
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454284
122043
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454285
121574
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454286
122095
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454287
121690
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454288
121656
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454289
121504
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454290
121651
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454291
121904
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454292
121604
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454293
121502
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454294
122096
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454295
121803
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454296
122099
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454297
121605
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454298
121970
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454299
123005
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454300
121971
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454301
121606
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454302
121927
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454303
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454283
Status
02
0210178411 00454282
Amount Paid Acct Amt.
Account No \ Description Bank No
121535
12
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
22.00 22.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
34.00 34.00 34.00 34.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 22.00 22.00 22.00 22.00 24.00 24.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 121928
48496
121508
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454306
121768
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454307
121802
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454308
121722
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454309
121839
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454310
121653
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454311
121901
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454312
121691
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454313
121723
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454314
121847
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454315
121724
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454316
122718
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454317
121536
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454318
120951
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454319
120626
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454320
120722
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454321
120724
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454322
120535
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454323
120893
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454324
120536
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454325
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454305
Status
02
0210178411 00454304
Amount Paid Acct Amt.
Account No \ Description Bank No
121013
13
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
22.00 22.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 34.00 34.00 65.00 65.00 34.00 34.00 34.00 34.00 34.00 34.00 22.00 22.00 34.00 34.00 34.00 34.00 28.00 28.00 28.00 28.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 120657
48496
120429
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454328
120470
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454329
120424
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454330
120864
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454331
120565
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454332
120468
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454333
121014
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454334
120755
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454335
121018
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454336
120566
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454337
120921
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454338
122009
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454339
120922
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454340
120567
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454341
120889
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454342
120501
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454343
120890
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454344
120472
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454345
120723
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454346
120753
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454347
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454327
Status
02
0210178411 00454326
Amount Paid Acct Amt.
Account No \ Description Bank No
120689
14
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
28.00 28.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 22.00 22.00 22.00 22.00 24.00 24.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 120625
48496
120425
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454350
120861
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454351
120658
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454352
120690
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454353
120631
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454354
120691
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454355
121541
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454356
120503
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454357
126095
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454358
126111
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454359
126108
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454360
126114
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454361
126113
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454362
126112
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454363
126110
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454364
126094
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454365
126109
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454366
126097
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454367
126098
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454368
126100
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 00454369
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00454349
Status
02
0210178411 00454348
Amount Paid Acct Amt.
Account No \ Description Bank No
126099
15
14018553 NEED TO TREAT PRACTICE AND PLAYING
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES
22.00 22.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 34.00 34.00 65.00 65.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 165.00 720.00 720.00 165.00 165.00 360.00 360.00 165.00 165.00 165.00 165.00 480.00 480.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178411
08/06/14
48496
BUG OFF PEST CONTROL
0210178412
08/06/14
8907
CANO ANTONIO
06-21-14
MODEL SCHOOLS CONF IN SANFORD, FL
00454428
08/31/14
42552
82ND ANNUAL COACHING SCHOOL IN SA,
07-20-14
00454370
08/06/14 48818730 RI
380
14006404 HUMAN SKELETON
00454475
11378
365.75
NL32220
20155
LX89354
14014972 OFFICE PRO PLUS 2013`
MB35379
1,081.80
14015883 MICROSOFT SURFACE 2 RT WINDOWS 8.1
MB47606
MB77026
NF85395
NH29831
NH32038
14017844 HP DVD-RW DRIVE-USB
NH41640
14018165 TARGUS 23" WIDE PRIVACY SCREEN
89.97 MF
14018166 BAT TECH AC ADAPTER FOR DELL
14018282 MS SURFACE PRO 3 I5 128GB 4GB W8P
199-23-6397-00-028-4-99-000 TECHNOLOGY EQUIP COST 500 - 4,999.99 00454378
NK30631
14018282 MS SURFACE PRO 3 I5 128GB 4GB W8P
199-23-6397-00-028-4-99-000 TECHNOLOGY EQUIP COST 500 - 4,999.99 00454371
NK13718
14018419 CPI Cube-IT Wall cabinet with fan
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00454376
NN35337
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
89.97
199-23-6399-00-028-4-99-000 GENERAL SUPPLIES 00454379
C
597.94 597.94
199-23-6399-00-028-4-99-000 GENERAL SUPPLIES 00454386
Computer
780.00 780.00
14016808 HP LJ 4700 FUSER 110V MFG# Q7502A
199-53-6399-00-954-4-99-000 GENERAL SUPPLIES 00454385
C
6,624.54 6,624.54
14016633 SAM SERIES 3 CHROMEBOOK 16GB 2GB M
199-51-6399-00-956-4-99-000 OFFICE SUPPLIES 00454380
Computer
54.09 54.09
14016633 SAM SERIES 3 CHROMEBOOK 16GB 2GB M
162-13-6397-00-888-4-30-000 TECH EQUIP COST $500 - $4,999.99 00454381
C
543.51 543.51
14016191 ACAD MS SEL MICROSOFT OFFICE PRO P
162-13-6397-00-888-4-30-000 TECH EQUIP COST $500 - $4,999.99 00454382
Computer
1,081.80
199-51-6399-00-960-4-99-000 GENERAL SUPPLIES 00454383
C
CDW GOVERNMENT, INC.
199-23-6397-00-115-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00454384
Computer
550.80
152-11-6399-00-001-4-22-010 GENERAL SUPPLIES LW46581
C
550.80 550.80
Total Check: 08/06/14
Computer
365.75
199-32-6411-00-904-4-99-000 TRAVEL - EMPLOYEE ONLY 0210178416
C
ISIDRO CASANOVA 2014 TXSBLE CONF IN CORPUS CHRISTI
07-01-14
Computer
365.75
Total Check: 08/06/14
C
.00
Total Check: CAROLINA BIOLOGICAL SUPPLY COMPANY
152-11-6395-00-001-4-22-010 FURN & EQUIP <$500 UNIT COST 0210178415
CV Computer Void
741.55 741.55
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178414
-741.55 -741.55
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 00454428
Computer
CANTU BENJAMIN 82ND ANNUAL COACHING SCHOOL IN SA,
07-20-14
C
199.92
Total Check: 0210178413
199.92 199.92
211-23-6411-00-001-4-30-FOC TRAVEL - EMPLOYEE
00454377
Status Description
5,284.00
Total Check:
00454372
Status
02
00454427
16
14018420 Cube-IT wall cabinet with fan kit
375.40 375.40 83.18 83.18 2,246.94 2,246.94 193.50 193.50 318.87 318.87 2,182.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454376
08/06/14 NN35337
20155
NK13719
14018420 Cube-IT wall cabinet with fan kit
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00454374
NH84303
14018448 FUJITSU SCANSNAP 1X500 DCUMENT SCA
286-11-6397-00-007-1-30-000 TECH EQUIP FROM $500 - $ 4999.99 00454373
NJ97654
14018374 VERBATIM STORE 'N' GO-USB FLASH DR
Total Check: 0210178417 00454388
08/06/14 1088
96970
1087
14018349 COMMERCIAL V.C.T. FLOOR TILE (PA-
08/06/14
00454390
S1746040.001
400
S1755967.001
Total Check: CENTRAL PLUMBING & ELECTRIC
14017845 20GAL 120V SIDE INLET HEATER 0/150
S1775079.001
00454392
08/06/14 832062
10162
Total Check: CHALK'S TRUCK PARTS, INC.
14018315 ASAP OPEN PARTS FROM JULY 21-AUGUS
00454394
JUNE 2014
17591
14018240 MILEAGE REIMBURSEMENT FOR VERONICA
00454395
01837 012609
23200
14016639 DINNER FOR JUAREZ LINCOLN DECA STU
00454213
G.SAENZ7/9-13/
55441
14016641 Reg. Fee for Gisela Saenz # 4631 -
7026375
14189
14018423 BILINGUAL/ESL LPAC CLERK'S MANUAL
14018423 BILINGUAL/ESL PROGRAM MANUEL (BIND
172-23-6298-39-860-4-25-010 PRINTING COSTS 00454399
7026374
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
243.60
959.17
385.68
1,588.45 338.50
338.50 133.84
133.84 121.25
121.25 480.00
480.00
COPY ZONE
172-13-6298-39-860-4-25-010 PRINTING SERVICES 7026375
Computer
4,914.54
480.00 Total Check:
08/06/14
C
COLLEGE BOARD
211-21-6411-50-845-4-30-010 TRAVEL - EMPLOYEES 0210178423
Computer
1,411.70
121.25 Total Check:
08/06/14
C
CHICK-FIL-A
152-36-6412-05-895-4-22-010 TRAVEL - STUDENTS 0210178422
Computer
3,502.84
133.84 Total Check:
08/06/14
C
CHAVEZ VERONICA
162-13-6411-27-830-4-30-010 TRAVEL - EMPLOYEE 0210178421
Computer
18,072.41
338.50 Total Check:
08/06/14
C
191.40
385.68
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178420
2,389.90
959.17
14018612 MAINTENANCE SUPPLIED & MATERIAL (E
199-51-6319-00-956-4-99-000 PLUMBING 0210178419
318.87
243.60
14018314 CH H2014B-3 OVERLOAD HEATER PACK 2
199-51-6319-00-956-4-99-000 PLUMBING 00454389
Computer
2,389.90
1,411.70
199-51-6319-00-956-4-99-000 PLUMBING 00454391
C
318.87
3,502.84
14018397 WHITE COMMERCIAL V.C.T. FLOOR TILE
199-51-6319-00-956-4-99-000 PLUMBING 0210178418
2,182.50
CENTER STONE SERVICES
199-51-6319-00-956-4-99-000 PLUMBING 00454387
2,182.50
191.40
192-13-6399-00-870-4-23-000 GENERAL SUPPLIES
00454400
Status Description
CDW GOVERNMENT, INC.
14018420 Cube-IT wall cabinet with fan kit
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00454375
00454400
Status
02
0210178416
17
14018423 BILINGUAL/ESL LPAC CLERK'S MANUAL
461.85 461.85 613.65 613.65 188.26
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454399
08/06/14 7026374
14189
7026374
7026373
7026373
00454401
7026455
14017628 Printing of the Staff Development
00454397
323519
14018557 EACH ITEM WILL BE FOR STAFF DEVELO
7026385
14018585 EACH ITEM WILL BE FOR STAFF DEVELO
0210178424 00454402
08/06/14 S003346268.001
101516
Total Check: CRAWFORD ELECTRIC SUPPLY CO. INC.
14018401 P&S 3869 ANG PLUG 30A/50A 250V FOR
Total Check: 0210178425 00454404
08/06/14 00003500
13478
00003725
14014057 HP 600 G1 INSTRUCTIONAL DESKTOP CO
14017235 HP PRODESK 600 G1 SFF (R,GUTIERREZ
Total Check: 00454405
08/06/14 80929169001
489
80929169001
14015921 LAS LINKS ESPANOL GRADES K-1 STUDE
00454429
94536
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178428
08/06/14 11278
5225
Total Check: D & R COMMERCIAL GLASS LLC
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 11294
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454409
11320
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454408
11319
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454407
11275
C
Computer
C
Computer
21,000.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,588.00
22,588.00 157.11
43.94
201.05
CUEVAS LYLIA AVID CONF IN SAN ANTONIO, TX ON 6/
06-30-14
Computer
21,000.00
43.94 Total Check:
08/06/14
C
108.72
157.11
14015921 LAS LINKS ESPANOL GRADES 2-3 STUDE
172-11-6339-39-127-4-25-000 TESTING MATERIALS 0210178427
Computer
CTB/MCGRAW-HILL LLC
172-11-6339-00-127-4-25-000 TESTING MATERIALS 00454405
C
108.72
1,588.00
749-61-6397-00-962-4-99-000 TECH EQUIP $500 - $4999 0210178426
Computer
CRC
212-11-6397-00-007-4-24-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00454403
C
13,508.53
108.72
199-51-6319-00-956-4-99-000 PLUMBING
Computer
5,952.00 5,952.00
172-13-6298-31-832-4-25-010 PRINTING COSTS
C
1,783.50 1,783.50
162-13-6298-24-832-4-30-010 PRINTING COSTS 00454396
Computer
447.63 447.63
211-13-6298-46-877-4-30-000 PRINTING SERVICES
C
2,174.71 2,174.71
172-23-6298-39-860-4-25-010 PRINTING COSTS
Computer
1,636.79 1,636.79
14018423 BILINGUAL/ESL PROGRAM MANUEL (BIND
C
250.14 250.14
14018423 BILINGUAL/ESL LPAC CLERK'S MANUAL
172-13-6298-39-860-4-25-010 PRINTING SERVICES 00454398
188.26 188.26
14018423 BILINGUAL/ESL PROGRAM MANUEL (BIND
172-23-6298-39-860-4-25-010 PRINTING COSTS 00454398
00454410
Status Description
COPY ZONE
14018423 BILINGUAL/ESL LPAC CLERK'S MANUAL
172-13-6298-39-860-4-25-010 PRINTING SERVICES 00454399
00454411
Status
02
0210178423
18
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
312.64 312.64 312.64 879.50 879.50 265.00 265.00 161.50 161.50 210.00 210.00 135.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454407
08/06/14 11275
5225
00454412
08/06/14 93862
22025
14017046 MONTH WINDSHIELD /GLASS REPAIR ON
Total Check: 00454415
08/06/14 6641
38431
00454417
08/06/14
14018212 T SHIRTS INCENTIVES FOR STUDENTS P
1137
19810
00454432
14010667 CONSULTING SERVICES - ELOY ZAMORA
08/06/14
17858
3529
00454433
19832
00454418
08/06/14 2014-0105
19832
2014-0113
9,500.00
00454420
08/06/14
Total Check: ERO INTERNATIONAL L.L.P.
14009959 ARCHITECTURAL FEES FOR THE PALMVIE
14009959 ARCHITECTURAL FEES FOR THE PALMVIE
001
114464
Total Check: ESCAMILLA CRYSTAL ROSE
14018176 CONTRACT FOR CRYSTAL ESCAMILLA TO
199-13-6291-00-893-4-99-000 CONSULTANT SERVICES
00454421
08/06/14 JULY 2014
99341
14012355 MILEAGE REMBURSEMENT FOR VN# 99341
08/06/14
10692
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 08/06/14 491929
3514
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
436.42 436.42 581.91 581.91 1,018.33 500.00
500.00 56.00
56.00 817.42
817.42
FELIX MEAT MARKET
14018618 Fajita Plate ITEMS NEEDED FOR OPER
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 491930
Computer
1,880.10
817.42 Total Check:
0210178438
1,880.10
FARIAS REUBEN TX HS COACHES CLINIC IN SA ON 7/20
07-20-14
C
1,880.10
56.00 Total Check:
00454434
Computer
ESTRADA FAUSTINO JR
199-51-6411-00-956-4-99-000 TRAVEL - EMPLOYEES 0210178437
C
9,500.00
500.00 Total Check:
0210178436
Computer
ERO ARCHITECTS
697-81-6629-10-960-4-99-000 PALMVIEW AG BARN EXTENSION 0210178435
C
1,600.00
9,500.00
697-81-6629-10-960-4-99-000 PALMVIEW AG BARN EXTENSION 00454419
Computer
110.00
3 KEYNOTE PRESENTERS BY LTC C.CAST
697-81-6629-10-960-4-99-000 PALMVIEW AG BARN EXTENSION 0210178434
C
110.00
1,600.00
REIMBURSABLE FEES FOR HS AG BARN F
2014-0026
Computer
130.00
1,600.00
Total Check: 08/06/14
130.00
Total Check: EDUCATIONAL ACHIEVEMENT SERVICES,INC.
286-11-6291-00-007-1-30-000 CONSULTING SERVICES 0210178433
C
130.00
110.00
Total Check: E.Z. CONSULTING SERVICES
199-41-6291-00-943-4-99-000 CONSULTANT SERVICES 0210178432
Computer
DURATEX APPAREL
199-11-6497-00-123-4-11-000 AWARDS & INCENTIVES 0210178431
C
1,651.00
D & R GLASS ETC. INC.
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 0210178430
135.00 135.00
Total Check: 0210178429
00454422
Status Description
D & R COMMERCIAL GLASS LLC
14012870 REPLACE BROKEN WINDOWS/DOORS GLASS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS
00454423
Status
02
0210178428
19
14018619 Chicken plate ITEMS NEEDED FOR OPE
487.50 487.50 487.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454422
08/06/14 491930
3514
Status Description
FELIX MEAT MARKET
14018619 Chicken plate ITEMS NEEDED FOR OPE
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178439 00454435
08/06/14
8543
Total Check: FLORES MARIA DEL ROSARIO PBIS TX BEHAVIOR SUPPORT STATE CON
06-22-14
Total Check: 0210178440 00454436
08/06/14
57843
Total Check: 00454437
08/06/14
8977
08/06/14
00454209
08-05-2014_2
73059
Total Check: FMS DMS CBE GROUP, INC. BW LIABILITY PYMTS 8.7.14
103-00-2159-71-000-4-00-000 DEPT OF TREASURY - FINANCIAL MGMT SR Total Check: 0210178443 00454476
08/06/14 SEPT. 2014
508
OCT. 2014
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
JAN. 2014
FEB. 2014
MAR. 2014
APR. 2014
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
08/06/14
36234
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS
00454557
08/06/14
6065
07-20-14
33847
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
20.16
26.88
73.36
26.88
190.96 431.94
431.94
392.28 Total Check:
08/06/14
C
16.80
392.28
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178446
Computer
26.88
GARCIA MANUEL R. JR. ATTEND THSCA CLINIC
07-20-14
C
144.98
431.94 Total Check:
0210178445
Computer
GARCIA DARIO III ATTEND 2014 AVID SUMMER INST
06-30-14
144.98
26.88 Total Check:
00454556
C
144.98
73.36
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 0210178444
Computer
433.55
26.88
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 00454481
C
433.55
20.16
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 00454480
Computer
132.21
16.80
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 00454479
C
132.21
26.88
14000909 MONTH MILEAGE FOR DALEE GARCIA FOR
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 00454478
Computer
488.72
GARCIA DALEE
199-23-6411-00-010-4-11-000 TRAVEL - EMPLOYEE ONLY 00454477
C
488.72
433.55
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178442
Computer
FLORES OLGA AVID CONF IN SAN ANTONIO, TX 6/30-
06-30-14
C
975.00
132.21
276-13-6411-00-041-4-30-000 TRAVEL - EMPLOYEES 0210178441
487.50
FLORES OLGA MODEL SCHOOLS CONF IN ORLANDO, FL
06-22-14
487.50
488.72
199-32-6411-00-901-4-99-000 TRAVEL - EMPLOYEES
00454558
Status
02
0210178438
20
392.28
GARCIA MATEO 82ND ANNUAL COACHING SCHOOL
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES
113.45 113.45
Total Check:
113.45
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454559
08/06/14
82643
Status Description
GARCIA NORMA
06-22-14
ATTEND THE MODEL SCH. CONF.
Total Check: 0210178448 00454560
08/06/14
83623
406.12 Total Check:
00454561
112836
00454495
3882105-0
111058
389.08
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018404 PILOT SPOTLIGHTER SUPREME HIGHLIGH
3865225-0
14018431 3 SUBJECT NOTEBOOK COLLEGE RULED
3866578-0
14017581 HOLDER, BADGE, CONVT, 4PK
3870453-0
14018183 DELL 2130CN
INK CARTRIDGE -BLACK
3870453-0
14018183 DELL 2130 INK CARTRIDGE - YELLOW
3870453-0
14018183 DELL 2150CN INK CARTRIDGE - BLACK
3870453-0
14018183 DELL 2150CN INK CARTRIDGE- YELLOW
3870961-0
14016474 PACON GO WRITE DRY ERASE LEARNING
212-11-6399-00-127-4-24-000 GENERAL SUPPLIES 00454490
3847598-0
3868817-0
3873872-0
3873185-0
08/06/14 41469
14018353 ALL ITEMS WILL BE USED FOR SUMMER
15808
8
30341
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
12,016.58
GATTI'S PIZZA #408
14018184
LUNCH BUFFET FOR STUDENTS ATTENDI
401.00 401.00
Total Check: 08/06/14
C
954.74 954.74
199-11-6412-01-028-4-11-000 STUDENT TRAVEL 0210178452
Computer
275.49 275.49
Total Check: 00454496
C
1,699.66 1,699.66
14018380 THE FOLLOWING ITEM FOR OFFICE USE
162-13-6399-57-862-4-30-000 GENERAL SUPPLIES 0210178451
Computer
8.61
218.85
14017905 CLASSIFICATION FOLDERS
199-34-6399-01-972-4-99-000 GENERAL SUPPLIES 00454488
C
218.85
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 00454487
Computer
900.00
8.61
14017903 PAC CLASSROOM KPRS
211-11-6399-34-126-4-30-000 GENERAL SUPPLIES 00454489
C
382.53
900.00
224-11-6399-00-127-4-23-010 GENERAL SUPPLIES 00454491
Computer
750.00
382.53
224-11-6399-00-118-4-23-010 GENERAL SUPPLIES 00454492
C
280.00
750.00
224-11-6399-00-114-4-23-010 GENERAL SUPPLIES 00454492
Computer
195.14
280.00
224-11-6399-00-109-4-23-010 GENERAL SUPPLIES 00454492
C
6,096.00
195.14
162-13-6399-00-888-4-30-000 GENERAL SUPPLIES 00454492
Computer
255.56
6,096.00
199-00-1310-00-000-4-00-000 INVENTORY 00454493
C
389.08
255.56
199-41-6399-00-947-4-99-000 GENERAL SUPPLIES 00454494
Computer
389.08
AVID SUMMER CONF.
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 08/06/14
C
406.12
GARZA EMMANUEL
06-30-14
0210178450
Computer
406.12
ATTEND THSCA CLINIC
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 08/06/14
C
155.89
GARZA ABEL H. JR.
07-20-14
0210178449
155.89 155.89
276-13-6411-00-041-4-30-000 TRAVEL - EMPLOYEES
00454562
Status
02
0210178447
21
401.00
GIGNAC & ASSOCIATES CONTRACTOR'S FEE
199-81-6629-00-960-4-99-051 NATATORIUM
58,800.00 58,800.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178452
08/06/14
30341
GIGNAC & ASSOCIATES
0210178453
08/06/14
18979
GO...WITH JO TRAVELS
Total Check: BUSA0702014
14016575 CHARTER BUS FOR THE 3 HIGH SCHOOL
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 00454498
BUSV072714
Status Description
BUSV071314
00454500
08/06/14 83738
86487
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
83758
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00454501
83776
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210178455 00454503
08/06/14 JUNE 2014
18463
14000147 Mileage for ROGELIO GOMEZ MIDDLE S
00454507
FEB. 2014
8043
MAR. 2014
14002863 Mileage for Rosa Gonzalez-HR Coord
MAY 2014
14002863 Mileage for Rosa Gonzalez-HR Coord
07-16-14
00454565
22153
06-30-14
AVID SUMMER CONF.
08/06/14 2907583
7726
00454509
MAY 2014
45314
08/06/14 07-20-14
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
51.52
613.60
703.48
351.17
290.00
290.00
HERNANDEZ MA DE JESUS
14001840 MILEAGE FOR SUPERVISOR'S CLERK MAR
22194
Computer
14.56
290.00
199-23-6411-00-117-4-99-000 TRAVEL - EMPLOYEE 0210178460
C
HAZELDEN
14016758 ITEM # TR2925 - OLWEUS DISTRICT RE
Total Check: 08/06/14
Computer
23.80
351.17
211-31-6299-38-901-4-30-010 MISC CONTRACTED SERVICES 0210178459
C
351.17
Total Check: 00454508
Computer
GUERRERO CLAUDIA
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178458
C
140.00
613.60 Total Check:
08/06/14
Computer
140.00
51.52
SUMMER LAW CONF. TASPA
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178457
C
27,123.14
14.56
14002863 Mileage for Rosa Gonzalez-HR Coord
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454564
Computer
17,035.98
23.80
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454505
C
GONZALEZ ROSA A.
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454506
Computer
4,734.44
140.00 Total Check:
08/06/14
C
GOMEZ ROGELIO
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES 0210178456
Computer
5,352.72
17,035.98 Total Check:
C
16,888.00
4,734.44
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
Computer
4,034.00
5,352.72
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
C
7,906.00
4,034.00
Total Check: GOLD STAR PETROLEUM, INC.
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00454502
4,948.00
7,906.00
14015577 CHARTER BUS FOR THE HIGH SCHOOL ST
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 0210178454
58,800.00
4,948.00
14016576 CHARTER BUS FOR THE 3 HIGH SCHOOLS
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 00454499
00454566
Status
02
00454497
22
Total Check: HERNANDEZ MARIO OMAR JR. ATTEND THSCA CLINIC
69.44 69.44 69.44 114.52
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454566
08/06/14
22194
0210178461
08/06/14
00454212
08-05-2014_1
114.52
ATTEND THSCA CLINIC
114.52
37192
Total Check: HIDALGO COUNTY TAX OFFICE PROPERTY TAXES JULY 2014
0210178462 00454510
08/06/14 14140
51187
Total Check: HINOJOSA BEAUTY SUPPLY
Total Check: 08/06/14 44544590
10157
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454525
49514465
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454525
49514465
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454526
49514466
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454526
49514466
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454527
49514467
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454527
49514467
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454528
49514468
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454528
49514468
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454529
49514470
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454529
49514470
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454530
49514472
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454530
49514472
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454531
49514473
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454531
49514473
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,965.00
2,965.00
350.00 350.00
OAK FARMS DAIRY
101-35-6341-00-699-4-99-010 FOOD 44544590
Computer
350.00
14000670 FACIEL BED
152-11-6395-00-004-4-22-010 FURN & EQUIP <$500 UNIT COST 0210178463
C
114.52
2,965.00
103-00-1290-04-000-4-00-000 TAXES COLLECTED
00454524
Status Description
HERNANDEZ MARIO OMAR JR.
07-20-14
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES
00454524
Status
02
0210178460
23
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS
24.92 24.92 19.58 19.58 31.95 31.95 25.11 25.11 85.61 85.61 67.27 67.27 76.67 76.67 60.24 60.24 169.31 169.31 133.03 133.03 155.20 155.20 121.94 121.94 160.37 160.37 126.00 126.00 76.67 76.67 60.24 60.24
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 44544626
10157
44544626
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454533
49514474
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454533
49514474
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454534
49514475
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454534
49514475
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454535
49514476
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454535
49514476
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454536
49514477
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454536
49514477
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454537
49514479
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454537
49514479
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454538
49514480
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454538
49514480
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454539
44544653
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454539
44544653
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454540
49514482
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454540
49514482
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454541
49514483
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454541
49514483
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454542
49514484
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454542
Status Description
OAK FARMS DAIRY
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454532
Status
02
0210178463 00454532
Amount Paid Acct Amt.
Account No \ Description Bank No
49514484
24
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS
17.89 17.89
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14.05 14.05 58.78 58.78 46.19 46.19 101.58 101.58 79.82 79.82 108.62 108.62 85.34 85.34 65.77 65.77 51.67 51.67 62.60 62.60 49.19 49.19 117.56 117.56 92.37 92.37 24.92 24.92 19.58 19.58 58.78 58.78 46.19 46.19 83.70 83.70 65.76 65.76 112.44 112.44 88.35 88.35
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 49514485
10157
49514485
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454544
49514486
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454544
49514486
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454545
49514487
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454545
49514487
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454546
49514488
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454546
49514488
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454547
49514490
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454547
49514490
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454548
49514491
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454548
49514491
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454549
49425839
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454549
49425839
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454550
49425842
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454550
49425842
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454551
49425843
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454551
49425843
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454552
49425871
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454552
49425871
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00454553
49425907
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454553
Status Description
OAK FARMS DAIRY
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
101-35-6341-00-699-4-99-010 FOOD 00454543
Status
02
0210178463 00454543
Amount Paid Acct Amt.
Account No \ Description Bank No
49425907
25
14017589 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS
71.55 71.55
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
56.21 56.21 119.47 119.47 93.87 93.87 49.84 49.84 39.16 39.16 135.45 135.45 106.42 106.42 26.83 26.83 21.08 21.08 153.29 153.29 120.44 120.44 124.03 124.03 97.46 97.46 67.39 67.39 52.95 52.95 407.90 407.90 320.49 320.49 8.84 8.84 6.95 6.95 62.21 62.21 48.88 48.88
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454554
08/06/14 49425914
10157
Status Description
OAK FARMS DAIRY
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425914
14017589 BREAKFAST
49425916
84.95
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425916
14017589 BREAKFAST
49425917
174.57
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425917
14017589 BREAKFAST
49425950
27.93
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425950
14017589 BREAKFAST
49425955
41.90
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425955
14017589 BREAKFAST
49425957
86.37
14017589 MILK FOR LUNCH FOR THE MONTHS OF J
49425957
14017589 BREAKFAST
08/06/14
00454210
08-05-2014_4
19419
202.12
Total Check: INTERNAL REVENUE SERVICE BW LIABILITY PYMTS 8.7.14
103-00-2159-09-000-4-00-000 TAX LIEN............................ Total Check: 0210178465 00454511
08/06/14 122475
4048
14017362 CAKES & PASTRIES FOR CATERING REQU
00454512
1-11348935181
5058
14018562 CHECK/REPAIR CHILLER AT BENTSEN EL
08/06/14 29186843
14234
29186844
14018494 627975 R-22 30# REFRIGERANT (A/C-1
199-51-6319-00-956-4-99-000 PLUMBING 0210178468
08/06/14 244056
12513
Computer
C
Computer
C
Computer
C
Computer
C
Computer
113.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
113.00 40.50
40.50 183.00
183.00
JOHNSON SUPPLY
14016927 N020731 371-02253-232 SENSING CABL
199-51-6319-00-956-4-99-000 PLUMBING 00454513
C
113.00
183.00 Total Check:
00454514
Computer
JOHNSON CONTROLS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178467
C
6,440.14
40.50 Total Check:
08/06/14
Computer
IRMA'S SWEETE SHOPPE
101-35-6341-03-958-4-99-000 FOOD 0210178466
C
202.12
101-35-6341-01-699-4-99-010 FOOD COSTS 0210178464
Computer
257.25 257.25
101-35-6341-00-699-4-99-010 FOOD 00454523
C
86.37
101-35-6341-01-699-4-99-010 FOOD COSTS 00454523
Computer
109.92 109.92
101-35-6341-00-699-4-99-010 FOOD 00454522
C
41.90
101-35-6341-01-699-4-99-010 FOOD COSTS 00454522
Computer
53.32 53.32
101-35-6341-00-699-4-99-010 FOOD 00454521
C
27.93
101-35-6341-01-699-4-99-010 FOOD COSTS 00454521
Computer
35.55 35.55
101-35-6341-00-699-4-99-010 FOOD 00454520
C
174.57
101-35-6341-01-699-4-99-010 FOOD COSTS 00454520
Computer
222.18 222.18
101-35-6341-00-699-4-99-010 FOOD 00454555
C
84.95
101-35-6341-01-699-4-99-010 FOOD COSTS 00454555
108.11 108.11
101-35-6341-00-699-4-99-010 FOOD 00454554
00454517
Status
02
0210178463
26
Total Check: JOHNSTONE SUPPLY- PHARR
14018495 P34-066 1083211 B66 BELT (A/C-319)
291.90 291.90 3,525.00 3,525.00 3,816.90 353.86
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454517
08/06/14 244056
12513
Status Description
JOHNSTONE SUPPLY- PHARR
14018495 P34-066 1083211 B66 BELT (A/C-319)
242964
14018318 NS56348-0 56348-0 PENBARY MOTOR (E
244725
14018631 D93-111 N40
NITORGEN
CYLINDER ON
Total Check: 0210178469 00454518
08/06/14 K63481
20011
14017420 KAGAN COOPERATIVE LEARNING DAY 1 O
00454519
637
111813
08/06/14
14017117 Men's Moisture Management Polo for
00454204
08-05-2014_2
8067
00454601
08/06/14 62415/010
62417-901
1094
Total Check: LA JOYA ISD PRINT SHOP
14004382 INFORMAL WALK-THROUGH FOR SECONDAR
62416/901
14018218 ENROLLMENT
00454604
07274962
3945
07300117
14017427 FOOD FOR CATERING REQUESTS FOR THE
00454605
08/06/14 3529280614
14017427 FOOD FOR CATERING REQUESTS FOR THE
4253
14018030 HELP YOURSELF STORAGE TUBS CENTER
00454606
17646
LAS VEGAS, NV
7-7-2014
7-20-2014
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
13791
C
Computer
8,400.00
10,657.50 4,482.85
1,846.70
6,329.55 1,592.70
1,592.70 653.50 653.50
Total Check: 08/06/14
Computer
LAMAS SILVERIO
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178476
C
2,100.00
1,592.70 Total Check:
08/06/14
Computer
157.50
1,846.70
Total Check: LAKESHORE LEARNING MATERIALS
211-61-6399-00-109-4-30-PRI GENERAL SUPPLIES 0210178475
C
58,176.90
4,482.85
101-35-6341-03-958-4-99-000 FOOD 0210178474
Computer
LABATT FOOD SERVICE
101-35-6341-03-958-4-99-000 FOOD 00454603
58,176.90
8,400.00 Total Check:
08/06/14
C
184.41
2,100.00 PACKET COPIES FOR STUD
199-32-6298-00-901-4-99-000 PRINTING SERVICES 0210178473
Computer
184.41
157.50
14017968 COPIES FOR STUDENT SRVICES DISCIPL
199-32-6298-00-901-4-99-000 PRINTING SERVICES 00454600
C
3,364.75
58,176.90
199-23-6298-00-010-4-11-000 PRINTING COSTS 00454602
Computer
3,364.75
184.41
Total Check: LA JOYA FEDERATION OF TEACHERS
103-00-2159-04-000-4-00-000 AFT................................. 0210178472
C
KEL-LAC UNIFORMS
199-41-6149-00-975-4-99-000 OTHER EMP BENEFITS 0210178471
Computer
951.49
3,364.75 Total Check:
08/06/14
C
KAGAN
211-13-6291-00-120-4-30-FOC CONSULTING SERVICES 0210178470
Computer
312.63 312.63
199-51-6319-00-956-4-99-000 PLUMBING
C
285.00 285.00
199-51-6319-00-956-4-99-000 PLUMBING 00454515
353.86 353.86
199-51-6319-00-956-4-99-000 PLUMBING 00454516
00454607
Status
02
0210178468
27
653.50
LEIJA JUAN J. 117.97
SAN ANTONIO, TX
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES
117.97 Total Check:
117.97
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454611
08/06/14 MAR. 2014
16836
Status Description
LINDA LAURA LOPEZ
14000391 MILEAGE EXPENSE FROM SEPT 2013 TO
APR. 2014
14000391 MILEAGE EXPENSE FROM SEPT 2013 TO
MAY 2014
14000391 MILEAGE EXPENSE FROM SEPT 2013 TO
JUNE 2014
14000391 MILEAGE EXPENSE FROM SEPT 2013 TO
Total Check: 0210178478 00454740
08/06/14
21977
00454742
08/06/14
83593
04/2014 UNIFOR
Total Check: MARTIN VALLEY RANCH GOLF COURSE RENTAL UNIFORMS
07/2014 UNIFOR
376.35
RENTAL UNIFORMS
297.24 1,215.31
749-61-6311-00-962-4-99-000 GASOLINE
1,215.31
06/2014 CHEMIC
07/2014 CHEMIC
05/2014 CHEMIC
00454748
08/06/14
83593
07/2014 LAKE W
Total Check: MARTIN VALLEY RANCH GOLF COURSE
00454749
49883
06-30-2014
00454720
08/06/14
SAN ANTONIO TEXAS
41827928
12314
Total Check: PATTERSON MEDICAL SUPPLY, INC.
14018076 THIS ORDER IS FOR LA JOYA HS ATHLE
Total Check: 08/06/14 171320
21123
Computer
C
Computer
C
Computer
103.45
C
Computer
298.07
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,617.68
3,535.40 322.08
181-36-6398-00-004-4-91-010 FURN & NON-TECH EQUIP-$500 TO $4,999 0210178483
C
MARTINEZ JUAN
142-31-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-COUNSELORS 0210178482
87.50
3,535.40 Total Check:
08/06/14
Computer
3,535.40
LAKE WATER
749-61-6259-00-962-4-99-000 UTILITIES 0210178481
C
298.07
CHEMICAL
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210178480
Computer
103.45
CHEMICAL
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00454746
C
87.50
CHEMICAL
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00454745
Computer
297.24
GAS
00454744
05/2014 GAS
C
376.35
749-61-6149-00-962-4-99-000 EMPLOYEE BENEFITS 00454741
Computer
1,522.93
239.76
RENTAL UNIFORMS
06/2014 UNIFOR
C
239.76
749-61-6149-00-962-4-99-000 EMPLOYEE BENEFITS 00454747
Computer
209.44
1,522.93
749-61-6149-00-962-4-99-000 EMPLOYEE BENEFITS 00454743
C
1,522.93
152-13-6411-01-895-4-22-010 TRAVEL 0210178479
Computer
MACIEL MANUEL IRVING TEXAS
07-13-2014
C
42.56 42.56
199-23-6411-00-109-4-99-000 TRAVEL - EMPLOYEES
Computer
113.68 113.68
199-23-6411-00-109-4-99-000 TRAVEL - EMPLOYEES 00454610
C
42.56 42.56
199-23-6411-00-109-4-99-000 TRAVEL - EMPLOYEES 00454609
10.64 10.64
199-23-6411-00-109-4-99-000 TRAVEL - EMPLOYEES 00454608
00454645
Status
02
0210178477
28
322.08 322.08 1,249.25 1,249.25 1,249.25
MENTORING MINDS, L.P.
14016770 MOTIVATIONAL MATH STAAR STUDENT ED
211-11-6399-00-113-4-30-FOC GENERAL SUPPLIES
361.35 361.35
Total Check:
361.35
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454646
08/06/14 548
109711
Status Description
MEP SOLUTIONS ENGINEERING PLLC 50,240.77
14007200
199-81-6629-04-048-4-99-051 CHAVEZ MS GYM HVAC REPAIR Total Check: 0210178485 00454425
08/06/14
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00454426
08/06/14
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00454596
99999
SCHOLARSHIP
LJISD SUPERINTENDENT'S GOLF SCHOLA
08/06/14
99999
SCHOLARSHIP
LJISD GOLF SUPERINTENDENT SCHOLARS
00454431
99999
SCHOLARSHIP AW
LJISD ADMIN & FINANCE DEPT SCHOLAR
00454639
99999
SCHOLARSHIP
00454751
08/06/14
LJISD SUPERINTENDENT GOLF SCHOLARS
105716
1326048
MAINT REPAIR AT CNS
31416043
00454660
98249247-1
4699
90542833
14010949 STAT SITE M HEMOBLOBIN METER
14010949 STAT SITE M HEMOBLOBIN METER
00454753
36293
06-21-2014
08/06/14 10356
SANFORD FL.
47082
C
Computer
C
Computer
C
Computer
C
Computer
1,485.75 823.67 823.67 -816.72 -816.72 6.95
MORIN JOSE LUIS
211-23-6411-00-001-4-30-000 TRAVEL - EMPLOYEE 0210178494
Computer
MOORE MEDICAL, LLC
Total Check: 08/06/14
C
500.00
260.75
152-11-6395-00-001-4-22-010 FURN & EQUIP <$500 UNIT COST 0210178493
Computer
500.00
260.75
152-11-6395-00-001-4-22-010 FURN & EQUIP <$500 UNIT COST 00454661
C
200.00
1,225.00
MAINT REPAIR AT CNS
Total Check: 08/06/14
Computer
200.00
1,225.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178492
C
500.00
500.00
Total Check: MISSION RESTAURANT SUPPLY
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454752
Computer
VALDEZ YANETTE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178491
C
500.00
200.00 Total Check:
08/06/14
Computer
500.00
DOMINIC JACOB FLORES
880-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178490
C
500.00
500.00 Total Check:
08/06/14
Computer
500.00
AZUA OBED
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178489
C
500.00
500.00 Total Check:
00454597
Computer
500.00
ARRIOLA JOSE, II
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178488
C
500.00
500.00 Total Check:
08/06/14
Computer
ANDREA FLORES
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178487
C
50,240.77
500.00 Total Check:
0210178486
50,240.77
ANA COBIX
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
00454662
Status
02
0210178484
29
Total Check: MPE SUPPORT GROUP, INC.
14000078 MONTHLY HARDWARE/SOFTWARE MAINTENA
232.01 232.01 232.01 770.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454662
08/06/14 10356
47082
Total Check: 0210178495 00454663
08/06/14 MAR. 2014
109258
APRIL 2014
14012906 MIleage for Celia Muniz - March 20
00454665
JULY 2014
44377
14000400 2013-2014 Monthly Payment for Lega
00454666
25341
7558
00454756
08/06/14 222
14015609 ACTVITY BALL
14090
222
222
14015781 REGISTRATION FEE FOR 3 HIGH SCHOOL
14015780 REGISTRATION FEE FOR THE 3 HIGH SC
08/06/14
90883
00454667
08/06/14 2016073105
104604
2016080314
Total Check: NETSYNC NETWORK SOLUTIONS
14017436 CISCO CATALYST 3850 48 PORT FULL P
14017437 CISCO CATALYST 3850 48 PORT FULL P
Total Check: 00454668
08/06/14 JUNE 2014
74489
14000573 MILEAGE FOR PRINCIPAL(SEPT. 1,2013
1614-467520
21748
14017731 PARTS AND SUPPLIES FOR THE MONTHS
14017731 PARTS AND SUPPLIES FOR THE MONTHS
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00454669
1614-467232
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
310.05 35,408.10 35,408.10 19,022.80 19,022.80 54,430.90 33.60
33.60
O'REILLY AUTO PARTS
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 1614-468425
Computer
20,610.00
33.60 Total Check:
08/06/14
C
10,570.00
O'CANA THOMAS MICHAEL
199-23-6411-00-045-4-99-000 TRAVEL - EMPLOYEES 0210178502
Computer
4,640.00
310.05
199-11-6639-00-027-4-99-053 FURN/EQUIP W/COST >$5000.00 0210178501
C
310.05
199-11-6639-00-021-4-99-053 FURN/EQUIP W/COST >$5000.00 00454758
Computer
NELSON ADRIANA
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178500
C
5,400.00
10,570.00
LAS VEGAS
07-06-2014
Computer
280.98
4,640.00
14015779 REGISTRATION FEE FOR 3 HIGH SCHOOL
Total Check: 00454757
C
21,780.00
5,400.00
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 0210178499
Computer
21,780.00
280.98
Total Check: NATIONAL HISPANIC INSTITUTE
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 00454754
C
68.32
280.98
211-11-6412-17-889-4-30-000 TRAVEL - STUDENTS 00454755
Computer
62.72
NASCO
224-11-6399-00-127-4-23-000 GENERAL SUPPLIES 0210178498
C
5.60
21,780.00 Total Check:
08/06/14
Computer
MUNOZ JAIME J.
199-41-6211-00-701-4-99-000 LEGAL SERVICES 0210178497
C
770.00
62.72 Total Check:
08/06/14
770.00
5.60
14012906 MIleage for Celia Muniz - March 20
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178496
770.00
MUNIZ CELIA G
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454664
00454719
Status Description
MPE SUPPORT GROUP, INC.
14000078 MONTHLY HARDWARE/SOFTWARE MAINTENA
199-53-6249-00-954-4-99-000 CONTRACTED MAINT & REPAIR
00454718
Status
02
0210178494
30
14017731 PARTS AND SUPPLIES FOR THE MONTHS
102.96 102.96 43.19 43.19 17.88
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 1614-467232
21748
2143-397814
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454671
2143-398956
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454672
2143-398335
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454673
2143-398194
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454674
2143-398207
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454675
2143-400513
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454676
2143-401251
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454677
2143-400860
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454678
2143-401713
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454679
2143-401837
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454680
2143-402186
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454681
2143-403358
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454682
2143-402183
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454683
1422-421770
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454684
1422-421838
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454685
1422-421920
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454686
1422-421877
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454687
1422-421919
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454688
1422-421921
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454689
1422-422381
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454690
Status Description
O'REILLY AUTO PARTS
14017731 PARTS AND SUPPLIES FOR THE MONTHS
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00454670
Status
02
0210178502 00454669
Amount Paid Acct Amt.
Account No \ Description Bank No
1422-422492
31
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
17.88 17.88
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
161.09 161.09 -161.09 -161.09 173.87 173.87 295.74 295.74 7.06 7.06 15.75 15.75 -15.75 -15.75 34.21 34.21 155.51 155.51 38.99 38.99 29.99 29.99 -29.99 -29.99 18.99 18.99 24.50 24.50 163.03 163.03 -10.00 -10.00 52.60 52.60 30.50 30.50 125.29 125.29 48.97 48.97 -9.00 -9.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 1422-422401
21748
1422-422751
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454693
1422-422593
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454694
1422-422525
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454695
1422-422594
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454696
1422-422509
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454697
1422-422570
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454698
1422-422571
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454699
1422-422648
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454700
1422-422749
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454701
1422-422469
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454702
PCM1017500
14014324 ASAP OOPEN PARTS FOR APRIL 14 THRU
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454703
2143-392517
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454704
2143-392920
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454705
2143-401862
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454706
2143-393310
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454707
2143-393321
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454708
2143-393409
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454709
2143-393816
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454710
2143-393709
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454711
2143-393758
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454712
Status Description
O'REILLY AUTO PARTS
14018320 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454692
Status
02
0210178502 00454691
Amount Paid Acct Amt.
Account No \ Description Bank No
2143-395154
32
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
396.28 396.28
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
-157.00 -157.00 171.12 171.12 315.13 315.13 -231.99 -231.99 31.62 31.62 213.35 213.35 -213.35 -213.35 13.78 13.78 79.62 79.62 169.12 169.12 -36.78 -36.78 2.72 2.72 187.62 187.62 -187.62 -187.62 223.89 223.89 3.05 3.05 95.49 95.49 -25.00 -25.00 21.97 21.97 -21.97 -21.97 205.24 205.24
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454713
08/06/14 2143-395670
21748
2143-396402
2143-395652
2143-395565
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454717
2143-395566
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
08/06/14
6233
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES
20.55 Total Check:
0210178504 00454762
08/06/14
14493
00454763
21667
00454721
1592942-00
1432
00454723
08/06/14
14016034 READING MATERIALS SEE ATTACHED LIS
768380
16872
768380
14011052 E8 FIXED SPEED CENTRIFUGE
14011052 ZIPOCRIT4 PLACE 75 MM HEMATOCRIT C
152-11-6399-01-001-4-22-010 GENERAL SUPPLIES
00454725
08/06/14 05043325
4918
05042969
08/06/14
14018385 NON WOVEN TOTE BAGS
R024894
14587
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
264.80 264.80 64.20
329.00 999.84
444.50 444.50
Total Check: RABA-KISTNER CONSULTANTS INC.
14013014 GEOTECHNICAL TESTING SERVICES FOR
199-81-6629-02-105-4-99-051 BENAVIDES-RACHRDS PAVING R024871
C
2,997.70
999.84
199-12-6497-00-888-4-99-000 AWARDS & INCENTIVES 0210178509
Computer
POSITIVE PROMOTIONS
14016852 CROSS SPORT DUFFLE BAG (TO PROMOTE
199-23-6497-44-122-4-99-000 AWARDS & INCENTIVES 00454724
C
2,997.70
64.20 Total Check:
0210178508
Computer
394.07
2,997.70
Total Check: POCKET NURSE ENTERPRISES, INC.
152-11-6395-00-001-4-22-010 FURN & EQUIP <$500 UNIT COST 00454723
C
PERMA-BOUND
162-11-6329-00-104-4-99-000 READING MATERIALS 0210178507
Computer
128.34
394.07 Total Check:
08/06/14
C
394.07
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178506
Computer
PENA IVAN SAN ANTONIO TEXAS
07-20-2014
C
20.55
128.34 Total Check:
08/06/14
Computer
128.34
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178505
C
ORTIZ ESEQUIEL JR. SAN ANTONIO TEXAS
07-20-2014
Computer
2,664.20 20.55
06-27-2014
C
OCHOA ELENA AUSTIN, TEXAS
00454759
Computer
65.80 65.80
Total Check: 0210178503
C
129.86 129.86
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
Computer
21.82 21.82
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
C
-15.28 -15.28
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454716
-108.58 -108.58
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454715
00454620
Status Description
O'REILLY AUTO PARTS
14018039 ASAP OPEN PARTS FROM JULY 7 THRU J
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454714
00454619
Status
02
0210178502
33
1,444.34 1,388.75 1,388.75
14018192 GEOTECHNICAL TESTING SERVICES FOR
697-81-6629-09-960-4-99-000 COVERED WALKWAY
2,985.00 2,985.00
Total Check:
4,373.75
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454638
08/06/14 100644151
5709
00454630
08/06/14
109185
136.85 Total Check:
00454631
08/06/14
94102
00454615
08/06/14 BHSST 10042013
106909
278.50
Total Check: RIO GRANDE VALLEY COUNCIL, INC.
14003239 REGISTRATION FEE: SILVIA RAMIREZ (
211-31-6411-38-901-4-30-010 TRAVEL - EMPLOYEES
00454632
08/06/14
22418
6-21-2014
00454633
08/06/14
SANFORD, FL
348079
5831
Total Check: ROCHESTER ARMORED CAR CO.,INC.
14001507 ARMORED CAR SERVICES FOR CENTRAL O
00454636
APR. 2014
112569
MAY 2014
JUNE 2014
14014885 Mileage for month of April to Augu
00454637
07032014
110140
00454599
08/06/14 94707334
14018321 ASAP OPEN PARTS FROM JULY 21-AUGUS
002959
2924
14018299 WATER FOR J/LHS (ITEMS NEEDED FOR
14014013 WATER FOR J/L HS(NEEDED FOR UIL ST
199-36-6498-40-004-4-99-000 FOOD AND NON FOOD COSTS 00454232
003004
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,000.00
2,000.00 8.08
8.08
SAM'S CLUB DIRECT
286-11-6498-00-004-1-30-000 FOOD AND NON FOOD RELATED ITEMS 002958
Computer
18.49
8.08 Total Check:
08/06/14
C
4.15
2,000.00
Total Check: INTERSTATE BILLING SERVICE
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178519
Computer
11.65
RUIZ DIONICIA
14016782 DIONICIA RUIZ - SUMMER TRAININGS F
13697
C
2.69
4.15
162-13-6291-38-901-4-30-010 CONSULTANT SERVICES 0210178518
Computer
349.80
11.65
14014885 Mileage for month of April to Augu
Total Check: 08/06/14
C
349.80
2.69
14014885 Mileage for month of April to Augu
211-61-6411-43-901-4-30-000 TRAVEL - EMPLOYEES 0210178517
Computer
RODRIGUEZ LUPITA
211-61-6411-43-901-4-30-000 TRAVEL - EMPLOYEES 00454635
C
189.91
349.80
211-61-6411-43-901-4-30-000 TRAVEL - EMPLOYEES 00454634
Computer
60.00
189.91
Total Check: 08/06/14
C
60.00
189.91
199-41-6299-02-942-4-99-000 MISC CONTRACTED SERVICES 0210178516
Computer
RIOS MARIA ISABEL
211-23-6411-00-001-4-30-FOC TRAVEL - EMPLOYEE 0210178515
C
278.50
60.00 Total Check:
0210178514
Computer
278.50
199-32-6411-00-901-4-99-000 TRAVEL - EMPLOYEES 0210178513
C
136.85
RICHARDSON SANDRA HOUSTON, TX
6-22-2014
Computer
136.85
276-13-6411-00-041-4-30-000 TRAVEL - EMPLOYEES 0210178512
C
105.00
RESENDEZ AURORA ORLANDO, FL
6-22-2014
105.00 105.00
Total Check: 0210178511
00454234
Status Description
TEXAS SCIENCE CENTER/REGION IV ESC.
14015437 REGISTRATION FEE TO ATTEND THE TEX
199-32-6411-00-901-4-99-000 TRAVEL - EMPLOYEES
00454233
Status
02
0210178510
34
14017367 FOOD FOR CATERING REQUESTS FOR THE
868.95 868.95 537.03 537.03 798.85
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454232
08/06/14 003004
2924
003004
003048
001453
00454229
007593
14017367 FOOD FOR CATERING REQUESTS FOR THE
00454229
007593
14017367 PAPER / PLASTIC PRODUCTS
009526
14017367 FOOD FOR CATERING REQUESTS FOR THE
009526
14017367 PAPER / PLASTIC PRODUCTS
004729
14017367 FOOD FOR CATERING REQUESTS FOR THE
Total Check: 0210178520 00454235
08/06/14 REG-1395086
112410
14017086 HECTOR CUEVAS VENDOR#11243 CONFERE
00454236
17988
00454237
08/06/14 GB00119175
17715
Total Check: SHI GOVERNMENT SOLUTIONS
14017805 FUJITSU SCANSNAP IX500
199-23-6397-00-028-4-99-000 TECHNOLOGY EQUIP COST 500 - 4,999.99 Total Check: 0210178523 00454238
08/06/14 201250
112941
14018570 PREMIUM HIGH SCHOOL WEBSITES INCLU
00454239
114588
749-61-6319-20-962-4-99-000 SUPPLIES FOR PRO SHOP 08/06/14 42782
102121
KITCHEN EQUIPMENT REPAIRS
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-046-4-99-010 CONTRACTED MAINT & REPAIR 00454219
42937
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
472.19 316.00 316.00 316.00 3,750.00
3,750.00 126.70
126.70
GARCIA JESUS NOE
101-35-6249-00-045-4-99-010 CONTRACTED MAINT & REPAIR 42919
Computer
472.19
126.70 Total Check:
0210178525
C
SUPER STROKE GOLF HOWELING TRAILS SUPPLIES
104957
Computer
598.00
3,750.00 Total Check:
08/06/14
C
SPORTS2NIGHT, LLC
199-41-6299-00-943-4-99-000 MISC CONTRACTED SERVICES 0210178524
Computer
598.00
472.19
199-23-6411-00-008-4-11-000 TRAVEL - EMPLOYEE ONLY 0210178522
C
SEPULVEDA SYLVIA MU ALPHA THETA NATIONAL CONFERENCE
07-20-2014
Computer
5,154.16
598.00 Total Check:
08/06/14
C
SDE, INC
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178521
Computer
152.62 152.62
101-35-6341-03-958-4-99-000 FOOD
C
44.52 44.52
101-35-6342-00-958-4-99-000 NON-FOOD 00454227
Computer
876.48 876.48
101-35-6341-03-958-4-99-000 FOOD 00454228
C
34.90 34.90
101-35-6342-00-958-4-99-000 NON-FOOD 00454228
Computer
613.21 613.21
101-35-6341-03-958-4-99-000 FOOD
C
107.63 107.63
101-35-6341-03-958-4-99-000 FOOD
Computer
1,085.07 1,085.07
14017367 FOOD FOR CATERING REQUESTS FOR THE
C
34.90 34.90
14017367 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00454230
798.85 798.85
14017367 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00454231
00454220
Status Description
SAM'S CLUB DIRECT
14017367 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00454232
00454221
Status
02
0210178519
35
KITCHEN EQUIPMENT REPAIRS
248.50 248.50 275.00 275.00 190.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454219
08/06/14
102121
190.00
KITCHEN EQUIPMENT REPAIRS
42938
190.00
42926
180.00
42925
295.00
43002
50.00
42924
1,050.00
42922
100.00
42950
405.00
42912
820.50
42911
295.00
42908
182.50
08/18/14
00454240
P273064301010
107786
100.00
Total Check: TEAM EXPRESS DISTRIBUTING, LLC
14001964 THIS ORDER IS FOR LA JOYA HS GIRLS
P275083801011
14003068 THIS ORDER IS FOR JUAREZ-LINCOLN H
P273064301010
14001964 THIS ORDER IS FOR LA JOYA HS GIRLS
P275083801011
14003068 THIS ORDER IS FOR JUAREZ-LINCOLN H
08/06/14
00454207
08-05-2014_3
1773
Total Check: TX ELEM. PRINCIPALS & SUPERVISORS ASSN
08/06/14 200000347
91022
14018345 2014 Summer Law Conference
July 1
14018345 2014 Summer Law Conference
200000489
C
Computer
C
Computer
C
Computer
CV Computer Void
CV Computer Void
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
.00
14018345 2014 Summer Law Conference
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES
200.00 270.00 270.00
July 1
195.00 195.00
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454247
Computer
147.76
200.00
Total Check: TEXAS ASSO OF SCHOOL PERSONNEL ADMIN
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 200000490
C
200.00
103-00-2159-03-000-4-00-000 TEPSA 0210178528
Computer
114.82
147.76
181-36-6399-72-004-4-91-010 GENERAL SUPPLIES 0210178527
C
-147.76
114.82
181-36-6399-73-001-4-91-010 GENERAL SUPPLIES 00454241
Computer
-114.82
-147.76
181-36-6399-72-004-4-91-010 GENERAL SUPPLIES 00454240
C
4,191.50
-114.82
181-36-6399-73-001-4-91-010 GENERAL SUPPLIES 00454241
Computer
100.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-107-4-99-010 CONTRACTED MAINT & REPAIR 0210178526
C
182.50
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-107-4-99-010 CONTRACTED MAINT & REPAIR 00454222
Computer
295.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-107-4-99-010 CONTRACTED MAINT & REPAIR 00454223
C
820.50
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00454224
Computer
405.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00454225
C
100.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-112-4-99-010 CONTRACTED MAINT & REPAIR 00454214
Computer
1,050.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00454215
C
50.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-112-4-99-010 CONTRACTED MAINT & REPAIR 00454216
Computer
295.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-112-4-99-010 CONTRACTED MAINT & REPAIR 00454217
C
180.00
KITCHEN EQUIPMENT REPAIRS
101-35-6249-00-112-4-99-010 CONTRACTED MAINT & REPAIR 00454218
00454248
Status Description
GARCIA JESUS NOE
42937
101-35-6249-00-102-4-99-010 CONTRACTED MAINT & REPAIR 00454226
00454244
Status
02
0210178525
36
July 1
75.00 75.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454246
08/06/14 200000707
91022
July 1
200000708
200000344
July 1
75.00
July 1
195.00
75.00
14018345 2014 Summer Law Conference
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454243
200000345
195.00
14018345 2014 Summer Law Conference
July 1
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178529 00454249
08/06/14 90915
21384
Total Check: TEXAS BAND & ORCHESTRA
14010055 Bb CLARINET REPAIR--- PLAYING COND
08/06/14
00454205
08-05-2014_1
8068
Total Check: TEXAS CLASSROOM TEACHERS ASSOC
Total Check: 08/06/14
00454776
08-05-2014_2
8898
BW NA LIABILITY PYMTS 8.7.14
00454211
08-05-2014_3
8898
00454250
08/06/14 27261
BW LIABILITY PYMTS 8.7.14
08/06/14
00454206
08-05-2014_4
937
00454251
08/06/14 75341
75341
8789
Total Check: THE UNITED WAY OF HIDALGO COUNTY
75341
17396
Total Check: THE UNIVERSITY OF TEXAS - PAN AMERICAN
14018576 SERVICES FOR JUNE AND JULY 2014 ST
14018576 STUDENT TUITION FEE: JIMMY CARTER
14018576 STUDENT TUITION FEE: JIMMY CARTER
212-11-6223-00-007-4-24-000 STUDENT TUITION/NON-PUB SCHLS Total Check: 0210178536
08/06/14 063014
15295
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
89.00
50.14 50.14 1,820.76
1,820.76 72.39
72.39
150.00
5,630.00 5,630.00 63,319.07 63,319.07 55,869.77 55,869.77 40,971.16 40,971.16 160,160.00
THERA-KIDS INC
14017813
224-31-6219-00-043-4-23-010 PROFESSIONAL SERVICES 063014
Computer
5,630.00
212-11-6223-00-004-4-24-000 STUDENT TUITION/NON-PUB SCHLS 00454251
89.00
150.00
212-11-6223-00-001-4-24-000 STUDENT TUITION/NON-PUB SCHLS 00454251
C
150.00
14002753
103-00-2159-05-000-4-00-000 UNITED WAY.......................... 0210178535
Computer
89.00
72.39
Total Check: THE CURRICULUM CTR FOR FAM. & CONSUMER
152-11-6399-01-007-4-22-010 GENERAL SUPPLIES 0210178534
C
TGSLC
103-00-2159-06-000-4-00-000 TGSLC 0210178533
Computer
1,100.00
1,820.76 Total Check:
08/06/14
C
TGSLC
103-00-2159-06-000-4-00-000 TGSLC 0210178532
Computer
50.14
103-00-2159-01-000-4-00-000 CTA................................. 0210178531
C
75.00 75.00
199-11-6249-30-044-4-11-010 CONTRACTED MAINT & REPAIR 0210178530
215.00 215.00
14018345 2014 Summer Law Conference
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454242
00454252
Status Description
TEXAS ASSO OF SCHOOL PERSONNEL ADMIN
14018345 2014 Summer Law Conference
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 00454245
00454252
Status
02
0210178528
37
14017813
425.00 425.00 145.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178536 00454252
08/06/14 063014
15295
THERA-KIDS INC 145.00
14017813
145.00
224-31-6219-00-044-4-23-010 PROFESSIONAL SERVICES 00454252
063014
063014
125.00
063014
125.00
063014
145.00
063014
425.00
063014
1,700.00
063014
395.00
063014
063014
695.00
1,275.00
063014
125.00
063014
125.00
145.00 Total Check:
08/06/14
00454253
07/16-19/2014
44563
60TH ANN. SWATA SYMP & MEETING FRI
00454254
JT140728-01
103187
14018346 SERVICES THAT WILL BE PROVIDED TO
00454255
105252
06/30-7/3/2014
2014 AVID SUMMER INSTITUTE
08/06/14 07/30-23/2014
12817
08/06/14
TX HIGH SCHOOL COACHING SCHOOL 82N
00454777
08-05-2014_1
10749
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,883.07
2,883.07 475.25
475.25
TREVINO ADRIAN
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178541
C
1,212.12
475.25 Total Check:
00454259
Computer
TORREZ LIANA
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178540
C
1,212.12
2,883.07 Total Check:
08/06/14
Computer
THOMSON JOHN
199-13-6291-48-879-4-99-000 CONSULTANT SERVICES 0210178539
C
5,850.00
1,212.12 Total Check:
08/06/14
Computer
THOMPSON OLGA MARIA
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178538
C
145.00
14017813
224-31-6219-00-127-4-23-010 PROFESSIONAL SERVICES 0210178537
Computer
125.00
14017813
224-31-6219-00-124-4-23-010 PROFESSIONAL SERVICES 00454252
C
125.00
14017813
224-31-6219-00-123-4-23-010 PROFESSIONAL SERVICES 00454252
Computer
1,275.00
14017813
224-31-6219-00-120-4-23-010 PROFESSIONAL SERVICES 00454252
C
695.00
14017813
224-31-6219-00-114-4-23-010 PROFESSIONAL SERVICES 00454252
Computer
395.00
14017813
224-31-6219-00-113-4-23-010 PROFESSIONAL SERVICES 00454252
C
1,700.00
14017813
224-31-6219-00-112-4-23-010 PROFESSIONAL SERVICES 00454252
Computer
425.00
14017813
224-31-6219-00-111-4-23-010 PROFESSIONAL SERVICES 00454252
C
145.00
14017813
224-31-6219-00-109-4-23-010 PROFESSIONAL SERVICES 00454252
Computer
125.00
14017813
224-31-6219-00-105-4-23-010 PROFESSIONAL SERVICES 00454252
C
125.00
14017813
224-31-6219-00-046-4-23-010 PROFESSIONAL SERVICES 00454252
38
463.23 463.23
Total Check: U.S. DEPARTMENT OF EDUCATION
463.23
BW NA LIABILITY PYMTS 8.7.14
629.11
103-00-2159-07-000-4-00-000 DEPT OF EDUCATION...................
629.11
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14
10749
U.S. DEPARTMENT OF EDUCATION
0210178542
08/06/14
40509
Total Check: UNIVERSITY OF TEXAS PAN AMERICAN
00454260
75566
14017817 REGISTRATION FEE TO ATTEND 2014 AD
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178543
08/06/14 JUNE 2014
18053
Total Check: UPPER VALLEY MAIL SERVICES LLP
14013798
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-001-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-004-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-005-4-28-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-007-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-008-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-010-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-011-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-015-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-042-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-043-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-044-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-045-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-046-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-048-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-049-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-102-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-104-4-11-000 GENERAL SUPPLIES 00454269
Status
Status Description
02
0210178541
00454269
Amount Paid Acct Amt.
Account No \ Description Bank No
JUNE 2014
39
14013798
199-11-6399-00-105-4-11-000 GENERAL SUPPLIES
629.11 550.00 550.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
550.00 318.50 318.50 1,929.34 1,929.34 2,165.54 2,165.54 33.63 33.63 1,868.83 1,868.83 266.53 266.53 110.06 110.06 128.18 128.18 .88 .88 182.26 182.26 26.66 26.66 23.51 23.51 472.55 472.55 11.49 11.49 387.96 387.96 462.31 462.31 47.89 47.89 19.01 19.01 76.87 76.87
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 JUNE 2014
18053
JUNE 2014
14013798
199-11-6399-00-107-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-108-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-109-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-111-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-112-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-113-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-114-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-115-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-116-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-117-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-118-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-120-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-121-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-122-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-123-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-126-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-127-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-845-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-847-4-99-000 GENERAL SUPPLIES 00454269
JUNE 2014
14013798
199-11-6399-00-865-4-11-000 GENERAL SUPPLIES 00454269
Status Description
UPPER VALLEY MAIL SERVICES LLP
14013798
199-11-6399-00-106-4-11-000 GENERAL SUPPLIES 00454269
Status
02
0210178543 00454269
Amount Paid Acct Amt.
Account No \ Description Bank No
JUNE 2014
40
14013798
199-11-6399-01-041-4-11-000 GENERAL SUPPLIES
7.51 7.51
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2.65 2.65 49.99 49.99 48.18 48.18 16.35 16.35 1.97 1.97 48.73 48.73 1.33 1.33 38.47 38.47 59.36 59.36 7.86 7.86 110.06 110.06 50.39 50.39 20.20 20.20 60.52 60.52 30.06 30.06 6.19 6.19 31.65 31.65 316.99 316.99 1.87 1.87 2.21 2.21 349.23 349.23
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454269
08/06/14 JUNE 2014
18053
Status Description
UPPER VALLEY MAIL SERVICES LLP 47.39
14013798
47.39
199-11-6399-03-110-4-11-000 GENERAL SUPPLIES 00454269
JUNE 2014
JUNE 2014
JUNE 2014
1.29
28.09
JUNE 2014
25.17
JUNE 2014
509.92
JUNE 2014
JUNE 2014
2.65
JUNE 2014
79.08
678.76
JUNE 2014
126.34
JUNE 2014
51.27
JUNE 2014
JUNE 2014
4.62
58.75
00454261
08/06/14 34452
4580
1.77
Total Check: UPPER VALLEY MATERIALS, INC.
14012239 TONS OF CALICHE TO BE USE DISTRICT
00454265
08/06/14 75560
12502
Total Check: UTPA CENTER FOR CONTINUING EDUCATION
14015645 REGESTRATION FOR 2014 UTPA 20TH AN
75561
14016094 REGISTRATION TO ATTEND 2014 UTPA 2
75564
14016715 REGISTRATION FOR 2014 UTPA 20TH AN
75565
14017187 REGISTRSTION FOR MARA A. CASTILLO
Total Check: 08/06/14 6-22-2014
22708
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,100.00
550.00
550.00 550.00
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210178546
Computer
1,100.00
550.00
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 00454262
C
847.12
1,100.00
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 00454263
Computer
847.12
1,100.00
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 00454264
C
11,408.87
847.12
199-51-6319-12-956-4-99-000 COMPLIANCE 0210178545
Computer
1.77
14013798
770-00-6399-00-985-4-99-000 GENERAL SUPPLIES 0210178544
C
58.75
14013798
753-00-6399-00-950-4-99-000 GENERAL SUPPLIES 00454269
Computer
4.62
14013798
212-21-6399-00-876-4-24-000 GENERAL SUPPLIES 00454269
C
51.27
14013798
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 00454269
Computer
126.34
14013798
199-41-6399-00-947-4-99-000 GENERAL SUPPLIES 00454269
C
678.76
14013798
199-41-6399-00-942-4-99-000 GENERAL SUPPLIES 00454269
Computer
79.08
14013798
199-41-6399-00-925-4-99-000 GENERAL SUPPLIES 00454269
C
2.65
14013798
199-41-6399-00-903-4-99-000 GENERAL SUPPLIES 00454269
Computer
509.92
14013798
199-41-6399-00-901-4-99-000 GENERAL SUPPLIES 00454269
C
25.17
14013798
199-41-6399-00-701-4-99-000 GENERAL SUPPLIES 00454269
Computer
28.09
14013798
199-23-6399-00-021-4-99-000 GENERAL SUPPLIES 00454269
C
1.29
14013798
199-21-6399-00-844-4-99-000 GENERAL SUPPLIES 00454269
00454641
Status
02
0210178543
41
3,300.00
VELASQUEZ GABRIELA ORLANDO, FL
276-23-6411-00-041-4-30-000 TRAVEL - EMPLOYEE
167.63 167.63
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178546
08/06/14
22708
VELASQUEZ GABRIELA
0210178547
08/13/14
17394
ISAIS VIDAL
Total Check: 6-21-2014
6-21-2014
00454617
08/06/14
22993
187.12
00454642
7-20-2014
08/06/14
SAN ANTONIO, TX
9576
Total Check: VILLARREAL DOMINGO III
6-30-2014
SAN ANTONIO, TX
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 0210178550 00454443
08/06/14 001083
2123
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454442
006514
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 0210178551 00454441
08/06/14 004234
21617
Total Check: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
14014919 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454441
004234
14014919 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00454440
002118
14014919 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454439
005738
14015456 20" HUFFY BIKES
199-11-6497-00-109-4-11-000 AWARDS & INCENTIVES 00454438
009900
14018547 BOTTLED WATER FOR STUDENTS ATTENDI
199-12-6498-00-888-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178552
08/06/14 006956
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14012013 CTE STAFF MEETING MARCH 26, 2014 -
152-21-6498-00-895-4-22-010 FOOD & NON-FOOD RELATED ITEMS 001133
14013940 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6498-27-831-4-30-010 FOOD AND NON FOOD RELATED COSTS 00454471
003042
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454470
007725
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454469
002408
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454468
002335
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
.00
VILLALON MARK A.
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178549
CV Computer Void
187.12
Total Check: 0210178548
167.63
-187.12
SANFORD, FL
211-23-6411-00-001-4-30-FOC TRAVEL - EMPLOYEE
00454472
Status Description
-187.12
SANFORD, FL
211-23-6411-00-001-4-30-FOC TRAVEL - EMPLOYEE 00454618
00454473
Status
02
00454618
42
14014928 FOOD FOR CATERING EVENTS FOR THE M
143.10 143.10 143.10 411.43 411.43 411.43 81.98 81.98 81.62 81.62 163.60 128.84 128.84 9.58 9.58 48.02 48.02 349.79 349.79 372.82 372.82 909.05 64.02 64.02 165.92 165.92 123.75 123.75 24.89 24.89 18.96 18.96 43.90
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/06/14 002335
55891
000022
008862
009424
00454465
005463
14014928 FOOD FOR CATERING EVENTS FOR THE M
00454464
005699
14014928 FOOD FOR CATERING EVENTS FOR THE M
001680
14015659 ITMES FOR
EAST AND WEST ACADEMY H
69.88
EAST AND WEST ACADEMY H
192.27
69.88
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454462
006430
14015659 ITMES FOR
192.27
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454461
006209
14015659 ITMES FOR
EAST AND WEST ACADEMY H
000774
14015659 ITMES FOR
EAST AND WEST ACADEMY H
000973
14015659 ITMES FOR
EAST AND WEST ACADEMY H
001724
14015659 ITMES FOR
EAST AND WEST ACADEMY H
006196
14015659 ITMES FOR
EAST AND WEST ACADEMY H
001106
14015659 ITMES FOR
EAST AND WEST ACADEMY H
007538
14015659 ITMES FOR
EAST AND WEST ACADEMY H
00454454
007903
14015659 ITMES FOR
EAST AND WEST ACADEMY H
00454444
001044
14015659 ITMES FOR
EAST AND WEST ACADEMY H
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454445
003149
14016117 ONN PERSONAL CD PLAYER
199-36-6399-40-106-4-99-000 GENERAL SUPPLIES 00454446
004500
14018153 ALL ITEMS WILL BE USED FOR STAFF D
211-13-6399-34-869-4-30-000 GENERAL SUPPLIES 00454447
004495
14018325 ALL ITEMS WILL BE USED FOR HIGH SC
162-13-6498-57-862-4-30-000 FOOD AND NON FOOD COSTS 00454448
001369
14018442 Items for Staff Development for El
172-13-6399-54-832-4-25-010 GENERAL SUPPLIES 00454449
004142
14018441 EACH ITEM WILL BE USED FOR STAFF D
162-13-6399-31-832-4-30-010 GENERAL SUPPLIES
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
334.62 334.62
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES
Computer
161.14 161.14
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES
C
149.74 149.74
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454455
Computer
116.00 116.00
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454456
C
270.62 270.62
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454457
Computer
726.66 726.66
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454458
C
117.37 117.37
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454459
Computer
584.42 584.42
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00454460
C
33.60 33.60
101-35-6341-03-958-4-99-000 FOOD 00454463
Computer
26.39 26.39
101-35-6341-03-958-4-99-000 FOOD
C
23.30 23.30
101-35-6341-03-958-4-99-000 FOOD
Computer
49.40 49.40
14014928 FOOD FOR CATERING EVENTS FOR THE M
C
6.48 6.48
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454466
43.90 43.90
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454467
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00454474
Status
02
0210178552 00454468
Amount Paid Acct Amt.
Account No \ Description Bank No
43
309.29 309.29 162.57 162.57 177.91 177.91 137.70 137.70 109.03 109.03 110.29 110.29
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454450
08/06/14 006323
55891
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14013941 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6498-27-831-4-30-010 FOOD AND NON FOOD RELATED COSTS 00454451
008724
14018276 BOTTLED WATERS for District Counse
199-31-6498-00-901-4-99-000 FOOD AND NON FOOR COSTS 00454452
005469
007357
00454266
8056016957
8018
00454582
08/06/14
14005555 PERFECT PRINT FINGERPRINT PAD
120800
21388
Total Check: ADVANTAGE IMAGING SUPPLY, INC.
14018367 EPSON DATA/VIDEO PROJ XGA 2700 Lum
Total Check: 00454584
08/06/14
18885
00454587
51186500
64
00454588
08/06/14 294881
14017607 GATORADE CREATE YOUR OWN PERFORMAN
79
Total Check: ALLEN INDUSTRIAL SUPPLY
14016885 LENNOX STEP BIT (BITS-122)
199-51-6319-00-956-4-99-000 PLUMBING 0210178558 00454593
08/06/14 267
18761
Total Check: ALWAYS HERE SEPTIC LTD
14011904 SLUDGE REMOVAL AND HYDRO-JETTING S
Total Check: 00454598
08/06/14
16201
6-30-2014
SAN ANTONIO, TX
00454393
JULY 2014
8808
14000202 MILEAGE REIMBURSEMENT FOR SILVIA C
JULY 2014
103632
12,382.50
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
12,382.50
406.07 180.00 180.00 180.00 337.59
337.59 3,922.00 3,922.00 3,922.00
335.53
CHAPA SILVIA F. 51.52 51.52 Total Check:
08/06/14
A
12,382.50
335.53
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210178561
Computer
335.53
Total Check: 08/06/14
C
269.99
FLORES-AYALA YVONNE
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 0210178560
Computer
269.99
337.59
199-51-6299-06-956-4-99-000 FIRE/SECURITY INSPECTIONS 0210178559
C
ALERT SERVICES, INC.
181-36-6498-00-863-4-91-010 FOOD & NON-FOOD RELATED ITEMS 0210178557
Computer
4,634.26
406.07 Total Check:
08/06/14
C
101.28
406.07
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 0210178556
Computer
ALANIZ EDUARDO JR. SAN ANTONIO, TX
6-30-2014
C
83.90
269.99
162-11-6397-00-104-4-30-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178555
Computer
WARD'S SCIENCE
152-11-6399-01-007-4-22-010 GENERAL SUPPLIES 0210178554
C
74.30
101.28 Total Check:
08/06/14
64.66
83.90
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 0210178553
64.66
74.30
14018466 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6399-27-831-4-30-010 GENERAL SUPPLIES 00454453
00454406
Status
02
0210178552
44
51.52
CUADROS MARIA
14000206 MILEAGE REIMBURSEMENT FOR MARIA CU
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES
75.04 75.04
Total Check:
75.04
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454430
08/06/14
22909
Status Description
DAVILA CLAUDIA E. SUMMER LAW CONF & SUMMER TASPA CON
07-15-14
Total Check: 0210178563 00454413
08/06/14 5351528
536
14017408 TIME TRACKER MINI CLASSROOM (TIMER
00454414
10043
114561
00454416
08/06/14
14018285 Adolescent literacy in the academi
2228
23169
14015931 CONSULTANT SERVICES - DESCRIPTION
08/06/14 APR. 2014
15706
FEB. 2014
MAR. 2014
MAY 2014
14000524 MILEAGE ACCRUED FROM SEPTEMBER 201
JUNE 2014
00454563
21040
Total Check: 00454504
08/06/14 JUNE 2014
16829
14000532 MILEAGE ACCRUED FROM SEPTEMBER 201
00454612
JULY 2014
8385
14000235 MILEAGE REIMBURSEMENT FOR MARIA GL
00454613
9331
199-21-6411-00-889-4-99-000 TRAVEL - EMPLOYEES 0210178571
08/06/14 6-24-2014
19922
ACH
A
ACH
A
ACH
A
ACH
A
ACH
451.74
451.74 54.32
54.32 75.04
75.04
LOPEZ GRACIELA McALLEN, TX
4-8-2014
A
62.64
75.04 Total Check:
08/06/14
ACH
LONGORIA MARIA GLORIA
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210178570
A
26.80
54.32 Total Check:
08/06/14
ACH
GONZALEZ JOSE
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 0210178569
A
9.52
451.74
172-21-6411-39-860-4-25-010 TRAVEL - EMPLOYEES 0210178568
ACH
GOMEZ CLAUDIA M. ATTEND TEACHING ACADEMIC CONTENT
07-21-14
A
2.80
26.80 Total Check:
08/06/14
ACH
19.60
9.52
14000524 MILEAGE ACCRUED FROM SEPTEMBER 201
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 0210178567
A
3.92
2.80
14000524 MILEAGE ACCRUED FROM SEPTEMBER 201
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 00454486
ACH
15,000.00
19.60
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 00454485
A
15,000.00
3.92
14000524 MILEAGE ACCRUED FROM SEPTEMBER 201
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 00454484
ACH
GARZA ADALIA
14000524 MILEAGE ACCRUED FROM SEPTEMBER 201
211-21-6411-60-874-4-30-010 TRAVEL - EMPLOYEES 00454483
A
3,348.00
15,000.00 Total Check:
00454482
ACH
3,348.00 3,348.00
Total Check: E M BILINGUAL EDUCATION CONSULTANTS, LLC
172-13-6291-39-860-4-25-010 CONSULTANT SERVICES 0210178566
A
57.93
DOYLENE & ASSOCIATES
199-21-6329-50-845-4-99-000 READING MATERIALS 0210178565
ACH
57.93 57.93
Total Check: 08/06/14
A
376.05
DEMCO, INC.
224-11-6399-00-112-4-23-010 GENERAL SUPPLIES 0210178564
376.05 376.05
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES
00454614
Status
02
0210178562
45
Total Check: LUNA MARIA DEL SOCORRO SAN ANTONIO, TX
16.80 16.80 16.80 322.42
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454614
08/06/14
19922
322.42
SAN ANTONIO, TX
322.42 Total Check:
0210178572 00454643
08/06/14 JULY 2014
15671
0210178573
08/06/14
14000237 MILEAGE REIMBURSEMENT FOR AURORA M
00454644
01-315550-00
107034
Total Check: MATTS BUILDING MATERIALS INC.
14018343 #949 CEILING TILE 2 X 2 64AQ FT. (
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 0210178574 00454647
08/06/14 503861
503861
511915
08/06/14
14017364 36.3CC W/12" EXTPRUNE
14016932 LAWN EQUIPMENT REPAIRS FOR THE MON
AIR0033676
10151
Total Check: MOBILE RELAY PARTNERS, LTD
14017076 RECURING DISPATCH FOR RADIO SYSTEM
199-34-6259-00-972-4-99-000 UTILITIES AIR0033805
14017076 RECURING DISPATCH FOR RADIO SYSTEM
199-34-6259-00-972-4-99-000 UTILITIES 00454648
AIR0033541
14011291 AIRTIME SERVICE FEE FOR ISD POLICE
199-51-6259-00-993-4-99-000 UTILITIES 00454649
AIR0033671
14011291 AIRTIME SERVICE FEE FOR ISD POLICE
199-51-6259-00-993-4-99-000 UTILITIES 00454650
AIR0033800
14011291 AIRTIME SERVICE FEE FOR ISD POLICE
199-51-6259-00-993-4-99-000 UTILITIES 00454651
AIR0033803
14002130 REPEATER FEES FOR LA JOYA HIGH SCH
199-51-6259-00-001-4-99-000 UTILITIES 00454652
AIR0033802
AIR0033797
AIR0033672
AIR0033801
AIR0033798
14009025 REPEATER USE FEES FOR TWO WAY RADI
14009025 REPEATER USE FEES FOR TWO WAY RADI
14001943 TWO-WAY RADIOS DISPATCH: IDENTIFIC
212-51-6259-00-876-4-24-000 UTILITIES 00454656
AIR0033799
1,837.00
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
100.67 100.67 4,987.67 400.00 400.00 400.00 400.00 840.00 840.00 840.00 840.00 840.00 840.00 288.00 288.00
190.00
101-51-6259-00-958-4-99-000 UTILITIES 00454657
A
1,837.00
14001670 AIRWAVES FOR RADIOS AT PHS FOR SCH
101-51-6259-00-958-4-99-000 UTILITIES 00454658
3,050.00
24.00
199-51-6259-00-007-4-99-000 UTILITIES 00454659
1,074.75
- LA JOYA 800 ON SITE LA JOYA ISD
14001321
199-21-6259-00-893-4-99-000 00454655
ACH
1,074.75
3,050.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178575
A
6.16
14017364 40.2 CC W/14" FIXED POLE PRUNER
749-61-6398-00-962-4-99-000 FURNITURE & NON TECH EQUIP $500 TO $ 00454750
6.16
1,074.75
749-61-6395-00-962-4-99-000 FURN & EQUIP <$500 00454647
ACH
6.16
Total Check: MISSION AUTO ELECTRIC, INC.
1282
A
322.42
MARES AURORA
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES
00454653
Status Description
LUNA MARIA DEL SOCORRO
6-24-2014
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES
00454654
Status
02
0210178571
46
14010594 AIR TIME IS $12.00 PER MONTH ON EA
199-52-6259-00-902-4-99-000 UTILITIES
24.00
190.00 132.00 132.00 132.00 132.00 176.00 176.00 36.00 36.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178575
08/06/14
10151
MOBILE RELAY PARTNERS, LTD
0210178576
08/06/14
7082
ORTEGA ALMA
Total Check: 06-24-2014
07-08-2014
SAN ANTONIO,
00454722
08/06/14 10342
1434
768.35
9971
14018295 YEARLY INSPECTION STICKER FOR T154
9991
10200
10199
10198
10175
10222
10221
10231
10310
10315
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
08/06/14 4363
20318
08/06/14
00454738
S1270140-001
7509
Total Check: PYRAMID SCHOOL PRODUCTS
14016058 THIS ORDER IS FOR CHAVEZ MS FOOTBA
181-36-6399-68-042-4-91-010 GENERAL SUPPLIES S1270136-001
14016274 THIS ORDER IS FOR TREVINO MS FOOTB
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES S1270136-001
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
10.00
175.25
PROMO MASTERS
14017795 2 GB WRIST BAND USB DRIVE IN RED I
199-36-6497-00-839-4-99-000 AWARDS & INCENTIVES 0210178579
ACH
8.00
10.00 Total Check:
00454726
A
24.00
8.00
199-51-6249-06-956-4-99-000 FIRE ALARM 0210178578
ACH
36.00
24.00
199-51-6249-06-956-4-99-000 FIRE ALARM 00454766
A
10.00
36.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454767
ACH
20.00
10.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454768
A
19.80
20.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454769
ACH
8.00
19.80
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454770
A
8.00
8.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454771
ACH
8.95
8.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454774
A
8.00
8.95
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454773
ACH
14.50
8.00
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454764
A
1,057.55
14.50
14011765 REPAIR FLAT TIRES FOR THE MONTH OF
199-51-6249-06-956-4-99-000 FIRE ALARM 00454772
ACH
PETE'S MUFFLER SHOP
152-11-6299-02-004-4-22-010 MISC CONTRACTED SERVICES 00454765
A
768.35
Total Check: 0210178577
4,298.00
289.20 TEXAS
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES
00454739
Status Description
289.20
SA ANTONIO TEXAS
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 00454761
00454737
Status
02
00454760
47
14016274
181-36-6399-68-049-4-91-010 GENERAL SUPPLIES
1,767.00 1,767.00 1,767.00 304.70 304.70 .94 .94 341.00 341.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/06/14
00454735
S1270792-001
7509
S1270792-002
S1270792-002
S1271679-001
00454732
S1271678-001
14017528 THIS ORDER IS FOR MEMORIAL MS FOOT
00454727
S1271678-003
14017528 THIS ORDER IS FOR MEMORIAL MS FOOT
S1271677-001
14017530 THIS ORDER IS FOR ARMS FOOTBALL. F
S1273137-001
14018296 THIS ORDER IS FOR GARCIA MS FOOTBA
S1277088-001
14017524 THIS ORDER IS FOR JUAREZ LINCOLN H
S1277088-003
14017524 THIS ORDER IS FOR JUAREZ LINCOLN H
S1270793-001
14017273 THIS ORDER IS FOR PALMVIEW HS BOYS
Total Check: 0210178580 00454621
08/06/14
44202
6-21-2014
SANFORD, FL
00454622
JUNE 2014
3239
08/06/14
14001709 MILEAGE REIMBURSEMENT FOR SEPTEMBE
1519
111736
14016395 REGISTRATION FEE FOR ANGIE GARCIA
14014586 Registration fee for Dr. Anysia Tr
211-21-6239-51-844-4-30-000 EDUCATION SERVICE CENTER SERVICES 00454628
111131
14018043 REGISTRATION FEE FOR THE FOLLOWING
172-13-6239-57-862-4-25-010 EDUCATION SERVICE CENTER SERVICES 00454627
111011
14018042 REGISTRATION FEE FOR MELINDA FLORE
211-21-6239-57-862-4-30-000 EDUCATION SERVICE CENTER SERVICES 00454626
111708
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
117.04
117.04
REGION ONE ESC
14018193 REGISTRATION FEES FOR SUMMER CONFE
162-13-6239-27-831-4-30-010 EDUCATION SERVICE CENTER SERVICES 00454625
A
135.37
117.04
101-35-6239-00-958-4-99-000 EDUCATION SVC CENTER SVCS 111231
ACH
RAMIREZ SYLVIA ANN
Total Check: 111303
A
2,499.57
135.37
192-21-6411-00-859-4-23-000 TRAVEL - EMPLOYEES 0210178582
ACH
135.37
Total Check: 08/06/14
A
RAMIREZ CYNTHIA
211-13-6411-00-001-4-30-FOC TRAVEL - EMPLOYEES 0210178581
ACH
41.82 41.82
181-36-6399-70-007-4-91-010 GENERAL SUPPLIES
A
51.95 51.95
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00454736
ACH
102.42 102.42
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00454731
A
227.96 227.96
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES 00454730
ACH
39.50 39.50
181-36-6399-68-045-4-91-010 GENERAL SUPPLIES 00454729
A
341.94 341.94
181-36-6399-68-044-4-91-010 GENERAL SUPPLIES 00454728
ACH
479.80 479.80
181-36-6399-68-044-4-91-010 GENERAL SUPPLIES
A
31.60 31.60
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES
ACH
6.81 6.81
14017527 THIS ORDER IS FOR GARCIA MS FOOTBA
A
147.69 147.69
14017272 GAME FOOTBALL BRAND: WILSON MODEL:
181-36-6399-68-041-4-91-010 GENERAL SUPPLIES 00454733
381.44 381.44
14017272 THIS ORDER IS FOR DE ZAVALA MS FOO
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 00454734
00454623
Status Description
PYRAMID SCHOOL PRODUCTS
14017272 THIS ORDER IS FOR DE ZAVALA MS FOO
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 00454734
00454624
Status
02
0210178579
48
14018082 REGISTRATION FEE FOR JOSE ADALBERT
199-41-6239-00-942-4-99-000 ESC 1
1,020.00 1,020.00 50.00 50.00 100.00 100.00 1,200.00 1,200.00 100.00 100.00 100.00 100.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178582
08/06/14
1519
REGION ONE ESC
0210178583
08/06/14
52868
REQUENEZ MARGARITO
Total Check: 7-20-2014
0210178584 00454616
08/06/14
15264
7-15-2014
00454256
08/06/14 4179
444.98
Total Check: TRAVEL ADVISORS INTERNATIONAL
14014910 MODEL SCHOOLS CONFERENCE SCHEDULED
4179
14014910 MODEL SCHOOLS CONFERENCE FOR THE P
4191
14018546 Hotel accommodations for Dr. Anysi
Total Check: 00454640
08/06/14
19592
00454267
08/06/14 005575
4373
005576
Total Check: ZUNIGA'S HOUSE MOVER, LLC
14018301 RELOCATE P006 A 24' X 64' PORTABLE
00454778
64312190
1599
64315095
14017280 30500 MONTHLY RENTAL OF TWO STANDS
00454780
6291-0
36188
2287-6
14018502 B31W07700 PROMAR 700 INT. LATEX S/
14018511 S64B00054 SHER-WOOD BAC WIPING STA
199-51-6319-00-956-4-99-000 PLUMBING 0210178590
08/07/14 8850
20620
Total Check: STARR TELECOMMUNICATIONS ETC. LLC
14006716 CAT 5E DATA DROP (PLENUM) 300 FT.
199-12-6299-00-888-4-99-053 MISC CONTRACTED SERVICES 8851
14006715 CAT 5E DATA DROP (PLENUM) 300FT
199-12-6299-00-888-4-99-053 MISC CONTRACTED SERVICES 00454782
8852
ACH
A
ACH
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
11,100.00 195.14
374.16
569.30
SHERWIN WILLIAMS CO.
199-51-6319-00-956-4-99-000 PLUMBING 00454781
A
5,550.00
374.16 Total Check:
08/07/14
ACH
5,550.00
195.14
14017280 30500 MONTHLY RENTAL OF TWO STANDS
199-34-6269-00-972-4-99-000 RENTALS-OPERATING LEASES 0210178589
A
SAFETY-KLEEN CORP.
199-34-6269-00-972-4-99-000 RENTALS-OPERATING LEASES 00454779
ACH
432.81
5,550.00 Total Check:
08/07/14
A
6,691.64
5,550.00
14018301 RELOCATE P006 A 24' X 64' PORTABLE
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178588
ACH
795.56
432.81
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454268
A
432.81
172-21-6411-39-860-4-25-010 TRAVEL - EMPLOYEES 0210178587
ACH
VASQUEZ CYNTHIA A. SAN ANTONIO, TX
7-21-2014
A
1,179.22
795.56
162-21-6411-46-877-4-30-010 TRAVEL - EMPLOYEE 0210178586
ACH
4,716.86
1,179.22
162-23-6411-00-105-4-30-000 TRAVEL - EMPLOYEE ONLY 00454257
A
444.98
4,716.86
162-13-6411-00-105-4-30-000 TRAVEL - EMPLOYEE ONLY 00454258
ACH
444.98
AUSTIN, TX
13502
A
1,249.65
RODRIGUEZ GLORIA G.
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178585
2,570.00
1,249.65 Total Check:
00454802
Status Description
1,249.65
SAN ANTONIO, TX
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES
00454783
Status
02
00454629
49
14006717 CAT 5E DATA DROP (PLENUM) 300 FT
2,430.43 2,430.43 73.98 73.98 2,504.41 555.00 555.00 555.00 555.00 555.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178590 00454782
08/07/14 8852
20620
STARR TELECOMMUNICATIONS ETC. LLC
14006717 CAT 5E DATA DROP (PLENUM) 300 FT
8881
14014151 INSTALLATION OF AUDIO AND VISUAL S
199-51-6397-00-956-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00454784
8882
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8883
14000425 DISTRICT WIDE TELEPHONE SERVICES F
00454786
8884
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8885
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8886
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8887
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8888
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8889
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8890
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8891
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8892
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8893
14000425 DISTRICT WIDE TELEPHONE SERVICES F
8894
14000425 DISTRICT WIDE TELEPHONE SERVICES F
00454797
8895
14000425 DISTRICT WIDE TELEPHONE SERVICES F
00454798
8896
14000425 DISTRICT WIDE TELEPHONE SERVICES F
INSTALLATION FEES HEALTH SMART CLI
1225
199-51-6395-00-960-4-99-000 FURN & EQUIP <$500 UNIT COST 00454800
INSTALLATION FEES HEALTH SMART CLI
8753
199-51-6395-00-960-4-99-000 FURN & EQUIP <$500 UNIT COST 0210178591 00454803
08/07/14
1792
Total Check: TEJAS EQUIPMENT RENTAL LONE STAR PROGRAM PHS 2014
412857
Total Check: 0210178592
08/07/14
17773
WELDINGHOUSE INC.
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
50.00
250.00
339.94 339.94 665.00 665.00 6,919.94 459.67 459.67
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT
Manual
200.00
250.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454799
M
50.00
50.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES
Manual
100.00
200.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES
M
150.00
50.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454796
Manual
150.00
100.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454795
M
50.00
150.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454794
Manual
150.00
150.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454793
M
75.00
50.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454792
Manual
75.00
150.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454791
M
100.00
75.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454790
Manual
50.00
75.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454789
M
475.00
100.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454788
Manual
190.00
50.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454787
2,135.00
475.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES
M
2,135.00
190.00
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00454785
555.00 555.00
199-12-6299-00-888-4-99-053 MISC CONTRACTED SERVICES 00454801
50
459.67
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454804
08/07/14 00555904
17773
0210178593 00454813
1,104.74 1,104.74
08/07/14 335859
6443
Total Check: BIGGER FASTER STRONGER
14018552 THIS ORDER IS FOR LA JOYA HS FOOTB
181-36-6395-00-863-4-91-010 FURN & EQUIP <$500 UNIT COST 0210178594 00454829
08/11/14 87502
5208
Total Check: COMMERCIAL BILLING SERVICE
14016137 REVERSE LAMP CLEAR
87691
87941
87502
87691
87941
00454814
09E1262160
15767
14016734 RENTAL 60' BOOM LIFT (1-WEEK)
00454815
B002409446
20997
14018007 CONTRACTED SERVICE/COME IN TO CHEC
50-2920-00
9515
14010533 WATER SERVICES FOR THE MONTHS OF J
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454818
54-7770-00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454819
54-7775-00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454820
54-7780-00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454821
50-2920-00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454822
50-2922-00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454816
54-7770-00
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
.00 1,431.90 1,431.90 1,431.90 1,405.00
1,405.00
CITY OF MISSION
199-51-6259-03-956-4-99-000 UTILITIES - WATER 50-2922-00
M
340.36
1,405.00 Total Check:
08/07/14
Manual
CARRIER CORPORATION
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178597
M
BRIGGS EQUIPMENT
Total Check: 08/07/14
MV Manual Void
1,894.00
340.36
199-51-6269-02-956-4-99-000 RENTAL OF TANKS/WELDING & AC DEPARTM 0210178596
MV Manual Void
-340.36
1,894.00
14018310 ASAPOPEN PARTS FROM JULY 21, - AUG
Total Check: 08/07/14
MV Manual Void
-1,894.00
3,583.00
14018109 LABOR R & R TO GAIN ACCESS TO EVAP
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178595
Manual
3,583.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454827
M
810.00
-340.36
14016137 REVERSE LAMP CLEAR
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454828
810.00
-1,894.00
14018310 ASAPOPEN PARTS FROM JULY 21, - AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454829
Manual
810.00
-3,583.00
14018109 LABOR R & R TO GAIN ACCESS TO EVAP
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454827
M
1,104.74
-3,583.00
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00454828
00454817
Status Description
WELDINGHOUSE INC.
14014485 6011 ELECTORDE 1/8"
152-11-6399-01-004-4-22-010 GENERAL SUPPLIES
00454826
Status
02
0210178592
51
14010533 WATER SERVICES FOR THE MONTHS OF J
327.48 327.48 157.30 157.30 96.95 96.95 303.35 303.35 471.05 471.05 168.78 168.78 174.70 174.70 69.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454816
08/07/14 54-7770-00
9515
54-7775-00
54-7780-00
54-7780-00
1.25
14010533 WATER SERVICES FOR THE MONTHS OF J
00454831
27975
60089
27905
14012473 PRINTING OF JUAREZ-LINCOLN BOOKLET
14018616 Binder 2"
00454843
08/07/14 0171686-IN
52531
0171483-IN
Total Check: FROG STREET PRESS, INC.
14016903 SING & READ COLOR COLLECTION
TEAC
00454841
08/07/14 1222592
46515
TEAC
1216480
Total Check: FERGUSON ENTERPRISES, INC. #116
14018403 NP CL CPLD WALL HYD CHROME REPAIR
1216480-1
1209486
1209486-2
14017322 (NURSES OFFICE/AREA)
14017322 (NURSES OFFICE/AREA)
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454837
1209486-1
14017322 (NURSES OFFICE/AREA)
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454835
CM143949
14017322 (NURSES OFFICE/AREA)
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454836
CM144456
14017489 (PF500K) 2 INCH COPPER CLAMP 2 HOL
Total Check: 08/07/14 0046626-001
60089
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
6,032.54 477.00
10,915.42
1,611.80 5,200.34 5,200.34 72.00 72.00 539.16 539.16 -6.14 -6.14 -1,689.32
17,120.26
COPY PLUS
14016818 INDEX MAKER 5 TAB SET - GREEN TABS
211-21-6399-60-874-4-30-010 GENERAL SUPPLIES 0046557-001
Manual
2,339.10
-1,689.32
199-51-6319-00-956-4-99-000 PLUMBING 0210178601
M
1,611.80
14018286 NURSE AREA
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454838
Manual
10,915.42
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454839
M
3,693.44
477.00
14018286 NURSE AREA
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00454840
Manual
3,679.50
2,339.10
199-51-6319-00-956-4-99-000 PLUMBING 00454842
M
3,396.05
3,693.44
14016913 SING & READ COLOR COLLECTION
172-11-6329-39-118-4-35-010 READING MATERIALS 0210178600
Manual
283.45
3,396.05
172-11-6329-39-108-4-35-010 READING MATERIALS 00454844
M
2,195.96
283.45
to be used for Professi
162-21-6298-00-846-4-30-000 PRINTING COSTS 0210178599
Manual
COPY PLUS
211-21-6298-60-874-4-30-010 PRINTING SERVICES 00454833
M
400.10 400.10
Total Check: 08/07/14
Manual
1.25
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210178598
M
26.00 26.00
14010533
199-41-6499-00-942-4-99-FEE MISC OPERATING COSTS 00454823
69.00 69.00
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454825
00454832
Status Description
CITY OF MISSION
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00454824
00454830
Status
02
0210178597
52
14018450 Index Maker Clear Label Dividers,
199-21-6399-00-845-4-99-000 GENERAL SUPPLIES
1,229.50 1,229.50 1,227.20 1,227.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178601 00454834
08/07/14 0046644-001
60089
COPY PLUS
14018556 stand up double sided sign holder
Total Check: 00454866
08/07/14 01S5252700
5674
01S525640
14018339 CHECK AND REPAIR TOYOTA FORKLIFT M
14018339 CHECK AND REPAIR TOYOTA FORKLIFT M
199-41-6249-00-975-4-99-000 CONTRACTED MAINT & REPAIR 00454864
01P5264450
14018434 2200 BATT PS-62000 BATTERY 6V SEAL
01S5245070
14018187 Check and repair the Central Wareh
199-41-6249-00-975-4-99-000 CONTRACTED MAINT & REPAIR 0210178603 00454862
08/07/14 1100376636
57002
Total Check: INSIGHT PUBLIC SECTORS, INC.
14017503 Cisco Catalyst 3850 24 Port PoE IP
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 00454861
1100374237
14017503 Cisco Catalyst 3850 24 Port PoE IP
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 00454859
1100374036
14017503 Cisco Catalyst 3850 24 Port PoE IP
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 00454860
1100373558
14017503 Cisco Catalyst 3850 24 Port PoE IP
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 00454858
1100378512
14018509 10GBASE-SR XENPAK MODULE (INTERNAL
Total Check: 00454851
08/07/14 9465581875
2122
9465651983
14017863 WCWR8 SOIL MOISTURE METER,MOISTURE
14017863 5MU99 PH METER FOR SOIL,PH RANGE-2
749-61-6398-00-962-4-99-000 FURNITURE & NON TECH EQUIP $500 TO $ 00454853
9465581867
14017862 CABINET PESTICIDE GREEN 45 GAL
749-61-6398-00-962-4-99-000 FURNITURE & NON TECH EQUIP $500 TO $ 00454854
9492689204
14018316 46C476 CHEMICAL RESISTAN GLOVE, GR
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00454855
9493715370
14018354 2UKJ4 BATTERY,SEALED LEAD ACID,12V
199-51-6319-00-956-4-99-000 PLUMBING 00454856
9367882744
14010350 LEHGHT RITE 100 LR100 #210 14 IN.
199-51-6395-00-956-4-99-000 FURN & EQUIP <$500 UNIT COST 00454857
9475092012
CONTRACTOR FOR RTU3 AT NELLIE ADM.
9501311063
199-51-6319-00-956-4-99-000 PLUMBING 0210178605
08/07/14
67563
Manual
1,095.14
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
1,362.40
785.94 785.94 3,952.94 304.41 304.41 4,900.00 4,900.00 72.28 72.28 1,165.50 1,165.50 5,850.00
12,292.19 289.13 289.13 554.85 554.85 1,510.20 1,510.20 30.80 30.80 184.80 184.80 975.33 975.33 164.64
14018023
199-51-6319-00-956-4-99-000 PLUMBING 00454850
M
GRAINGER
749-61-6395-00-962-4-99-000 FURN & EQUIP <$500 00454852
709.46 1,095.14
5,850.00
199-12-6399-00-888-4-99-000 GENERAL SUPPLIES 0210178604
Manual
709.46
1,362.40
199-12-6399-00-886-4-99-000 GENERAL SUPPLIES 00454863
M
2,660.85
J.V. EQUIPMENT
199-41-6249-00-975-4-99-000 CONTRACTED MAINT & REPAIR 00454865
204.15 204.15
199-21-6399-51-845-4-99-000 GENERAL SUPPLIES 0210178602
53
Total Check: A WASTE CONNECTIONS COMPANY
164.64 138.78 138.78 3,848.53
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454845
08/07/14 1096960
67563
( 3 UNITS @ $369.6
1096960
1096960
( 2 UNITS @
1096960
1096960
369.62
14017372 ANN RICHARDS MIDDLE SCHOOL
( 2 UN
1096960
14017372 JD SALINAS MIDDLE SCHOOL
( 2 UNI
101-51-6259-00-048-4-99-010 UTILITIES 00454845
1096960
14017372 SOLID WASTE SERVICES FOR THE MONTH
101-51-6259-00-102-4-99-010 UTILITIES 00454845
1096960
14017372 BENAVIDES ELEMENTARY
101-51-6259-00-105-4-99-010 UTILITIES 00454845
1096960
14017372 KIKA DE LA GARZA ELEMENTARY
101-51-6259-00-107-4-99-010 UTILITIES 00454845
1096960
14017372 CHAPA ELEMENTARY
101-51-6259-00-109-4-99-010 UTILITIES 00454845
1096960
14017372 DIAZ-VILLARREAL ELEMENTARY
101-51-6259-00-111-4-99-010 UTILITIES 00454845
1096960
14017372 CAVAZOS ELEMENTARY
101-51-6259-00-112-4-99-010 UTILITIES 00454845
1096960
14017372 PEREZ ELEMENTARY
101-51-6259-00-114-4-99-010 UTILITIES 00454845
1096960
14017372 GONZALEZ ELEMENTARY
101-51-6259-00-115-4-99-010 UTILITIES 00454845
1096960
14017372 BENTSEN ELEMENTARY
101-51-6259-00-116-4-99-010 UTILITIES 00454845
1096960
14017372 SAM FORDYCE ELEMENTARY
101-51-6259-00-117-4-99-010 UTILITIES 00454845
1096960
14017372 ZAPATA ELEMENTARY
101-51-6259-00-118-4-99-010 UTILITIES 00454845
1096960
14017372 SEGUIN ELEMENTARY
101-51-6259-00-120-4-99-010 UTILITIES 00454845
1096960
14017372 PAREDES ELEMENTARY
101-51-6259-00-122-4-99-010 UTILITIES 00454845
1096960
14017372 CLINTON ELEMENTARY
101-51-6259-00-123-4-99-010 UTILITIES 00454845
1096960
14017372 CORINA PENA ELEMENTARY
101-51-6259-00-124-4-99-010 UTILITIES 00454845
1096960
14017372 EVANGELINA GARZA ELEMENTARY
101-51-6259-00-126-4-99-010 UTILITIES
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
369.62 369.62
101-51-6259-00-045-4-99-010 UTILITIES 00454845
M
369.62
101-51-6259-00-043-4-99-000 UTILITIES 00454845
Manual
369.62 369.62
14017372 CNS CENTRAL WAREHOUSE
M
739.24 739.24
14017372 CHAVEZ MIDDLE SCHOOL
101-51-6259-00-042-4-99-010 UTILITIES 00454845
554.43 554.43
14017372 PALMVIEW HIGH / PALMVIEW ACE ( 4 U
101-51-6259-00-007-4-99-010 UTILITIES 00454845
Status Description
A WASTE CONNECTIONS COMPANY
14017372 JUAREZ-LINCOLN
101-51-6259-00-004-4-99-010 UTILITIES 00454845
Status
02
0210178605
54
369.62 369.62 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454845
08/07/14 1096960
67563
Status Description
A WASTE CONNECTIONS COMPANY 184.81
14017372 MENDIOLA ELEMENTARY
184.81
101-51-6259-00-127-4-99-010 UTILITIES 00454845
1096960
14017372 DR. SAENZ MIDDLE SCHOOL
( 2 UNIT
0210178606 00454871
08/18/14 68889658
38423
Total Check: VALERO MARKETING AND SUPPLY COMPANY
14000113 YEAR FUEL USAGE FOR TRANPORTATION
68889658
14000113 YEAR FUEL USAGE FOR TRANPORTATION
0210178607 00454868
08/07/14 1420581
19340
Total Check: LIQUID ENVIRONMENTAL SOLUTIONS OF TX
14013547 CORINA PENA ELEMENTARY
0210178608 00454848
08/07/14 10308051
8412
Total Check: AMERICAN RED CROSS-HEALTH & SAFETY SVC
14012157 FA/CPR/AED CERTIFICATION FEE CARDS
10308051
14012158 FA/CPR/AED CERTIFICATION FEE CARDS
Total Check: 0210178609 00454872
08/07/14 9727542163
105228
9729257700
14017453 PHONE PLAN FOR CNS DEPT. FOR THE M
00454847
08/07/14 LJISD
49972
LJISD
08/07/14 15405
14011078 WATER SERVICES FOR THE MONTHS OF J
16905
15405
00454870
08/07/14 4000/06-26-201
Total Check: PIZZA OPERATING PARTNERS
14018221 Buffet including drink Summer Brid
14015231
58564
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
60,064.32
60,065.57 150.00
.50
Total Check: 08/13/14
Manual
1,726.22
.50
199-11-6412-01-010-4-11-000 STUDENT TRAVEL - SUMMER BRIDGE @ STC 0210178613
M
862.96
150.00
14018205
1436
Manual
ABSOLUTE SERVICES
14018205 NEED TO REPLACE BAD PULL STATION F
199-41-6499-00-942-4-99-FEE MISC OPERATING COSTS 0210178612
M
863.26
60,064.32
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00454846
Manual
918.00
1.25
Total Check: 00454846
M
459.00
1.25
14011078
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210178611
Manual
459.00
862.96
Total Check: AGUA SPECIAL UTILITY DISTRICT
199-41-6499-00-942-4-99-FEE MISC OPERATING COSTS 00454847
M
537.88
863.26
14017453 PHONE PLAN FOR CNS DEPT. FOR THE M
101-51-6259-00-958-4-99-000 UTILITIES 0210178610
Manual
VERIZON WIRELESS
101-51-6259-00-958-4-99-000 UTILITIES 00454873
M
537.88
459.00
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES
MV Manual Void
.00
459.00
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 00454849
Manual
614.24
537.88
101-51-6299-00-126-4-99-010 MISC CONTRACTED SERVICES
M
-614.24
614.24
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS
Manual
6,098.73
-614.24
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00454871
M
184.81 184.81
101-51-6259-00-958-4-99-000 UTILITIES
00455185
Status
02
0210178605
55
150.50 700.83 700.83 700.83
492 BBQ
14015231 LA JOYA H.S. CHOIR - MEALS FOR STU
120.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455185
08/13/14 14015231
58564
0210178614 00455186
08/13/14 LA90229
65501
Total Check: A TO Z TIRE BATTERY, INC
14018664 11R22.5H16 COOPER TIRES
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178615 00455189
08/13/14
105945
CONSULTING SERVICES
LJISD
00455190
5464
08/13/14
90735
BBB005244-BB03
BBB005306-BB02
00455195
08/13/14 7892
14018278 THIS ORDER IS FOR GARCIA MS FOOTBA
7894
14018485 #63000 1-7/8 GROMMETS BLACK (D-
70.00 70.00
14018551 T-HING 4" W/ SCREWS (D-111)
00455196
SELENE GARCIA
612
00455198
08/13/14 FY2014857
08/13/14
Total Check: AUTISTIC TREATMENT CENTER,INC.
14011082 RESIDENTIAL CARE AND EDUCATIONAL S
051475
42285
Total Check: AUTOMATED LOGIC - CORPORATION
14014619 REPAIR AND PURCHASE DIGITAL CONTRO
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 054759
051601
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
155.00
155.00 13,750.00 13,750.00 13,750.00 1,956.00 1,956.00 3,729.71
13017967
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL 00455199
C
244.00
155.00
192-11-6223-00-870-4-23-000 STUDENT TUITION OTHER THAN PUBLIC SC 0210178621
Computer
ATPE
14001538 2013-2014 ATPE MEMBERSHIP FEE FOR
16539
C
174.00 174.00
199-23-6495-00-116-4-99-000 MEMBERSHIP FEES 0210178620
Computer
AMIGO BOLT & SUPPLY
Total Check: 08/13/14
C
314.00 314.00
199-51-6319-00-956-4-99-000 PLUMBING 0210178619
Computer
385.50
1,020.75
199-51-6319-00-956-4-99-000 PLUMBING 00455194
C
321.25
Total Check: 42439
Computer
103.89
385.50
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES 0210178618
103.89
321.25
14017377 THIS ORDER IS FOR LA JOYA HIGH SCH
181-36-6399-74-001-4-91-010 GENERAL SUPPLIES 00455191
C
35,000.00
AMERICA TEAM SPORTS
14017457 THIS ORDER IS FOR JUAREZ LINCOLN H
181-36-6399-88-004-4-91-010 GENERAL SUPPLIES 00455192
Computer
103.89
LAS VEGAS, NV
7-7-2014
BBB005236-BB03
C
12,351.00
ALANIZ MARY
Total Check: 00455193
Computer
12,351.00
35,000.00
172-13-6239-00-048-4-25-000 EDUCATION SERVICE CENTER SERVICES 0210178617
C
120.00
35,000.00
Total Check: 08/13/14
120.00
ALAMO INSURANCE GROUP
753-00-6291-00-950-4-99-000 CONSULTANT SERVICES 0210178616
120.00
12,351.00 Total Check:
00455200
Status Description
492 BBQ
14015231 LA JOYA H.S. CHOIR - MEALS FOR STU
199-36-6498-05-001-4-11-010 FOOD & NON-FOOD RELATED ITEMS
00455201
Status
02
0210178613
56
3,729.71 3,729.70
13017967
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL Total Check:
3,729.70 9,415.41
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178622 00455202
08/13/14 83068
19170
AVID CENTER
14018061 REGISTRATION FOR ADMINISTRATORS AN
83068
14018061 COUNSELORS
NAME
VENDOR# SYLVI
142-31-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-COUNSELORS Total Check: 0210178623 00455104
08/13/14 85573102
14872
85573102
14018447 SONY NEX-5TL DIG CAM/16-50 LNS (BL
14018447 SONY 16GB SD MEMORY CARD CLASS 10
Total Check: 00455105
08/13/14
3066
WS#42642 PLC INSTITUTE IN EDINBURG
05-08-14
2014 SUMMER LEADERSHIP RETREAT IN
07-07-14
199-41-6411-01-701-4-99-000 TRAVEL - EMPLOYEES 0210178625 00455034
08/13/14 676400
268
Total Check: BILL GUTHRIE SPORTS,INC.
14010635 THIS ORDER IS FOR DR SAENZ MS BOYS
181-36-6399-70-043-4-91-010 GENERAL SUPPLIES 00455035
676300
14010636
181-36-6399-71-043-4-91-010 GENERAL SUPPLIES 00455039
657300
14010897 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6399-71-004-4-91-010 GENERAL SUPPLIES 00455040
676900
14011084 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6399-70-004-4-91-010 GENERAL SUPPLIES 00455041
676600
14011086 THIS ORDER IS FOR TREVINO MS BOYS
181-36-6399-70-049-4-91-010 GENERAL SUPPLIES 00455042
805200
14014533 OFFICIAL SERVICES FOR JUAREZ-LINCO
181-36-6399-68-004-4-91-010 GENERAL SUPPLIES 00455043
826700
14017310 THIS ORDER IS FOR GARCIA MS GIRLS
181-36-6399-71-046-4-91-010 GENERAL SUPPLIES 00455044
830000
14017216 THIS ORDER IS FOR DE ZAVALA MS FOO
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 00455045
796900
14017218 THIS ORDER IS FOR ANN RICHARDS MS
181-36-6399-70-045-4-91-010 GENERAL SUPPLIES 00455038
852500
14017386
181-36-6399-68-043-4-91-010 GENERAL SUPPLIES 00455037
824701
14017387 THIS ORDER IS FOR DE ZAVALA MS FOO
181-36-6399-68-041-4-91-010 GENERAL SUPPLIES 00455036
852800
14017393 THIS ORDER IS FOR GARCIA MS FOOTBA
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES 0210178626
08/13/14
5208
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
4,683.00 483.30 483.30 164.23
647.53
BENAVIDES ALDA
199-41-6411-04-701-4-99-000 TRAVEL - EMPLOYEES 00455106
669.00
164.23
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 0210178624
C
669.00
B & H PHOTO -VIDEO
181-36-6397-00-863-4-91-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455104
4,014.00 4,014.00
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 00455202
57
Total Check: COMMERCIAL BILLING SERVICE
80.64 80.64 116.48 116.48 197.12 785.50 785.50 999.10 999.10 462.50 462.50 1,003.10 1,003.10 692.80 692.80 1,962.00 1,962.00 695.50 695.50 1,540.50 1,540.50 737.00 737.00 832.00 832.00 1,687.00 1,687.00 1,280.00 1,280.00 12,677.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455067
08/13/14 87502
5208
3,583.00
87691
3,583.00
14018109 LABOR R & R TO GAIN ACCESS TO EVAP
87941
14018310 ASAPOPEN PARTS FROM JULY 21, - AUG
Total Check: 0210178627 00455049
08/13/14 96222621
3059
96219501
14017472 THIS ORDER IS FOR PALMVIEW HIGH SC
96222622
96221591
00455050
08/13/14 0240992-001
106879
0242180-001
Total Check: BUFFALO BUSINESS PRODUCTS, LLC
14017757 TAPE TRANSPARENT
00455107
08/13/14 29118
29224
Total Check: C&M AIR COOLED ENGINE INC
14018005 TURFCO WIDE SPIN 1550 WITH ELECTRI
14018005 TURFCO WIDE SPIN 1550 WITH ELECTRI
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 Total Check: 0210178630
08/13/14 NQ31735
20155
14005905 ACAD M SEL + OFFICE PRO PLUS 2013
14005906 ACAD MS SEL + OFFICE PRO PLUS 2013
162-11-6399-02-115-4-30-000 GENERAL SUPPLIES 00455057
NL73991
14011401 OFFICE PRO PLUS 2013--- MICROSOFT
199-21-6399-00-893-4-99-000 GENERAL SUPPLIES 00455053
MJ93487
14016354 MICROSOFT OFFICE PRO PLUS 2013 (MF
224-11-6399-00-007-4-23-010 GENERAL SUPPLIES 00455058
NG63547
14018063 ACAD MS SEL OFFICE PRO PLUS 2013
224-11-6399-00-007-4-23-010 GENERAL SUPPLIES 00455059
NH54881
14018312 Adobe Acrobar XI Pro (v.11) CDW #2
199-41-6399-00-947-4-99-000 GENERAL SUPPLIES 00455060
NL69802
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,140.48
2,609.28 13,982.40 13,982.40 7,289.83 7,289.83 21,272.23
CDW GOVERNMENT, INC.
172-11-6399-00-115-4-25-000 GENERAL SUPPLIES NQ31730
Computer
2,792.68
1,140.48
749-61-6639-00-962-4-99-000 FURNITURE/EQUIPMENT >$5,000 00455108
C
164.68
1,468.80
14018163 1/2" WHITE BINDER PRESENTATION
113441
Computer
1,468.80
199-00-1310-00-000-4-00-000 INVENTORY 0210178629
C
920.00
164.68
199-00-1310-00-000-4-00-000 INVENTORY 00455051
Computer
1,352.50
920.00
14018372 THIS ORDER IS FOR MEMORIAL MS FOOT
181-36-6399-68-044-4-91-010 GENERAL SUPPLIES 0210178628
C
355.50
1,352.50
14018279 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6399-68-004-4-91-010 GENERAL SUPPLIES 00455047
Computer
5,817.36
355.50
14017755 THIS ORDER IS FOR LA JOYA HS FOOTB
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 00455046
C
BSN SPORTS
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES 00455048
Computer
340.36 340.36
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
C
1,894.00 1,894.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455065
00455056
Status Description
COMMERCIAL BILLING SERVICE
14016137 REVERSE LAMP CLEAR
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455066
00455055
Status
02
0210178626
58
14018373 EACH ITEM FOR OFFICE USE HP LJ PRO
199-23-6397-00-015-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
162.27 162.27 216.36 216.36 54.09 54.09 54.09 54.09 162.27 162.27 66.62 66.62 520.00 520.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455060
08/13/14 NL69802
20155
MFG# Q6470A
NN97269
NR77783
14018669 AVL ACRO PRO 11 L.3 - Abode LIcens
Total Check: 00455061
08/13/14 1089
96970
1090
14018672 V.C.T. COMMERCIAL FLOOR TILE #5189
1091
08/13/14
00455111
S1773857.001
400
S1774917.001
Total Check: CENTRAL PLUMBING & ELECTRIC
14018646 SY F032/T8/741K 32W T-8 4100K 48"
14018647 SY F032/T8/741K 32W T-8 4100K 48"
S1774917.001
S1775801.001
00455063
JULY 2014
17591
14018240 MILEAGE REIMBURSEMENT FOR VERONICA
00455064
01837 012587
23200
14018614 Chick Fil A sandwich,chips,drink a
Total Check: 00455068
08/13/14 7025909
14189
00455115
08/13/14
14018170 ELEMENTARY TEKS TRAINING BOOKLETS
0072605-IN
478
Total Check: CORNISH MEDICAL ELECTRONICS
14018424 THIS ORDER IS FOR LA JOYA HS ATHLE
181-36-6398-00-001-4-91-010 FURN & NON-TECH EQUIP-$500 TO $4,999 0210178637
08/13/14 S002990351.001
101516
Total Check: CRAWFORD ELECTRIC SUPPLY CO. INC.
14018243 (EL745) 70W WALL PACK METAL HALIDE
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS S002990351.002
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,972.62 1,972.62 824.93
2,736.00
5,658.62 35.84
35.84 390.00 390.00 390.00
COPY ZONE
172-13-6298-32-832-4-25-010 PRINTING COSTS 0210178636
C
CHICK-FIL-A
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178635
Computer
18,492.10
35.84 Total Check:
08/13/14
C
CHAVEZ VERONICA
162-13-6411-27-830-4-30-010 TRAVEL - EMPLOYEE 0210178634
Computer
14,825.00
2,736.00 Total Check:
08/13/14
C
1,857.45
125.07
14018673 SY F032/T8/741K 32W T-8 4100K 48"
199-51-6319-00-956-4-99-000 PLUMBING 0210178633
Computer
125.07
14018647
199-51-6319-01-956-4-99-000 LIFT STATIONS/SPRINKLER 00455113
C
1,809.65
824.93
199-51-6319-00-956-4-99-000 PLUMBING 00455112
Computer
3,696.93
14,825.00
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455114
C
133.24
1,857.45
14018555 REMOVE OLD CARPET AND LEVEL FLOOR
199-81-6249-00-960-4-99-000 CONTRACTED SERVICES 0210178632
2,182.50
1,809.65
14018755 WHITE COMMERCIAL VCT TILE 51899
199-51-6319-00-956-4-99-000 PLUMBING 00455110
Computer
CENTER STONE SERVICES
199-51-6319-00-956-4-99-000 PLUMBING 00455062
C
2,182.50
133.24
199-41-6399-00-947-4-99-000 GENERAL SUPPLIES 0210178631
145.49 145.49
14018419 CPI Cube-IT Wall cabinet with fan
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00455109
00455069
Status Description
CDW GOVERNMENT, INC.
14018373 HP LJ TONER BLACK
199-23-6399-00-015-4-99-000 GENERAL SUPPLIES 00455054
00455070
Status
02
0210178630
59
14018243 (EL745) 70W WALL PACK METAL HALIDE
7,543.44 7,543.44 7,543.44 4,069.00 4,069.00 4,069.00 1,940.00 1,940.00 -1,751.34
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455069
08/13/14 S002990351.002
101516
Status Description
CRAWFORD ELECTRIC SUPPLY CO. INC.
14018243 (EL745) 70W WALL PACK METAL HALIDE
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS Total Check: 0210178638 00455071
08/13/14 00003738
13478
00003737
14016362 Pro Book 840 G1 Admin Laptop Touch
14016747 PRO BOOK 840 G1 ADMIN LAPTOP TOUCH
00003748
14013514 PRO BOOK 450-G1 INSTRUCTIONAL LAPT
172-11-6397-00-111-4-25-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455116
00003745
14016360 HP PRO BOOK 450 INSTRUCTIONAL STUD
199-36-6397-40-007-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455120
00003747
14015252 ProBook 450 G1 Instructional Lapto
199-11-6397-00-108-4-11-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455118
00003744
14014996 HP-PRO BOOK 450
00003746
00003749
14011595 HP- Pro Book 450
14018244 HP ELITE 800PRO G1 ALL IN ONE TOUC
Total Check: 00455122
08/13/14
16429
2014 NATIONAL CONF DIFFERENTIATED
00455123
11243
2014 NATIONAL CONF DIFFERENTIATED
07-06-14
00455074
247752
18896
254092
14000899 RENTAL OF XEROX W3550 DIGITAL COPI
00455075
XJJ18PJ63
9529
DELL MARKETING
14018246 POWEREDGE R220 (210-ACGZ) REPLACE
Total Check: 00455079
08/13/14 77RBW2
66893
14013756
VAN RENTALS FOR LUS CORPUS AND IL
07-06-14
22568
2,175.00
4,350.00
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
3,077.00 3,077.00 28,997.00 318.78
318.78 1,150.78
1,150.78 122.25
122.25
244.50 2,965.62 2,965.62 2,965.62 156.00 156.00
Total Check: 08/13/14
C
2,175.00
EAN HOLDINGS, LLC
199-36-6412-10-004-4-99-010 TRAVEL - STUDENTS 0210178644
Computer
L.P.
199-53-6397-00-954-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178643
7,250.00
122.25 Total Check:
08/13/14
C
7,250.00
122.25
14002355 Rental of Xerox W3550 Digital Copi
199-12-6269-00-001-4-99-000 RENTALS-OPERATING LEASES 0210178642
Computer
DAHILL INDUSTRIES
199-12-6269-00-004-4-99-000 RENTALS-OPERATING LEASES 00455073
2,900.00
1,150.78 Total Check:
08/13/14
C
CUEVAS HECTOR
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178641
Computer
2,900.00
318.78 Total Check:
08/13/14
C
2,937.00
CUEVAS CIRILDA
07-07-14
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178640
1,958.00
4,350.00
224-11-6397-00-007-4-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178639
Computer
1,958.00
4,350.00
211-11-6397-00-118-4-30-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455117
C
188.66
4,350.00
172-11-6397-00-118-4-25-000 TECH $500-$4,999 00455119
-1,751.34
2,937.00
199-23-6397-00-112-4-11-000 TECH EQUIPMENT > $500 00455121
-1,751.34
CRC
199-12-6397-00-001-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00455072
00455124
Status
02
0210178637
60
156.00
ESPINOZA CHRIS L. 2014 NATIONAL CONF DIFFERENTIATED
329.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455124
08/13/14
22568
0210178645 00455082
08/13/14 ATHLETICS-1400
42307
0210178646 00455083
08/13/14
Total Check: EXCLUSIVE DECALS & SCREENPRINTING
14008112 THIS ORDER IS FOR LA JOYA HS GIRLS
1200408
733
14000107 YEAR FUEL USAGE FOR TRANSPORTATION
00455084
08/13/14 62062
23057
14018249 (D216) RETURN SPRING FOR FALCON OL
Total Check: 00455087
08/13/14 SI-517891
95621
SI-517890
SI-524990
SI-521670
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
SI-521668
SI-521636
00455092
APRIL 2014
55514
JUNE 2014
14000908 MILEAGE REIMBURSEMENT FOR THE PERI
OCT. 2013
12380
14001403 MILEAGE FOR MARIA GUERRA FLORES -
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455095
DEC. 2013
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455099
JAN. 2014
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455100
FEB. 2014
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
249.20
206.75
2,096.13 110.88
50.96
161.84
FLORES-GUERRA MARIA
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES NOV. 2013
Computer
309.00
50.96 Total Check:
08/13/14
C
713.18
110.88
14000908 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178650
Computer
309.00
FLORES NORMA
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00455091
C
309.00
206.75 Total Check:
08/13/14
Computer
450.00
249.20
14017492 THIS ORDER IS FOR PALMVIEW HIGH SC
181-36-6399-88-007-4-91-010 GENERAL SUPPLIES 0210178649
450.00
309.00
14017492 THIS ORDER IS FOR PALMVIEW HIGH SC
181-36-6399-88-007-4-91-010 GENERAL SUPPLIES 00455089
C
450.00
713.18
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00455088
Computer
115.27
309.00
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00455085
C
115.27
309.00
14012360 THIS ORDER IS FOR PALMVIEW HS BOYS
181-36-6399-70-007-4-91-010 GENERAL SUPPLIES 00455086
Computer
FIRST TO THE FINISH
14012359 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6399-70-004-4-91-010 GENERAL SUPPLIES 00455090
C
862.50
FAIRWAY SUPPLY, INC.
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 0210178648
Computer
862.50
115.27 Total Check:
C
329.13
862.50
Total Check: EXXON FLEET CARD SERVICES
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210178647
329.13 329.13
181-36-6399-83-001-4-91-010 GENERAL SUPPLIES
00455094
Status Description
ESPINOZA CHRIS L. 2014 NATIONAL CONF DIFFERENTIATED
07-06-14
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL
00455093
Status
02
0210178644
61
14001403 MILEAGE FOR MARIA GUERRA FLORES -
94.92 94.92 15.82 15.82 31.64 31.64 31.36 31.36 94.08
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455100
08/13/14 FEB. 2014
12380
MARCH 2014
MAY 2014
JUNE 2014
00455096
JULY 2014
14001403 MILEAGE FOR MARIA GUERRA FLORES -
Total Check: 0210178651 00455102
08/13/14 459
111031
14011345 REGISTRATION FEE FOR REDEN RAMIREZ
00455180
53481
MODEL SCHOOLS CONF. ORLANDO, FL
06-22-14
00455181
08/29/14
16737
06-21-14
00455183
08/13/14
110060
085726
TX SCH. BUS DRIVER SAFETY COMP.
-30.67 -30.67
Total Check:
.00
REIMBURSE EMPLOYEE FOR EXPENSES
20.00
199-52-6499-00-993-4-99-000 MISC OPERATING COSTS 0210178655
08/13/14 3872997-0
111058
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018253 CARD STOCK- WHITE (ITEMS ARE NEEDE
14018216 CLASP ENVELOPES, 10 X 13, 100 BOX
3884212-0
14018216 PREMIUM PAPER, 24 LB 500 PK
3882124-0
14018254 BAUMGARTENS ID BADGE HOLDER 3.4 X
C3875188-0
14018254 BAUMGARTENS ID BADGE HOLDER 3.4 X
3884496-0
CV Computer Void
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14018507 SCISSORS 5"
C
Computer
862.54
538.74
327.35
117.12
-117.12 -117.12
162-13-6399-00-888-4-30-000 GENERAL SUPPLIES 00455143
Computer
45.00
117.12
162-13-6399-00-888-4-30-000 GENERAL SUPPLIES 00455144
25.00
327.35
199-23-6399-00-028-4-99-000 GENERAL SUPPLIES 00455145
C
25.00
538.74
199-11-6399-00-028-4-11-000 GENERAL SUPPLIES 00455146
20.00
862.54
192-13-6399-00-870-4-23-000 GENERAL SUPPLIES 3884212-0
Computer
GARZA MARK
REIMBURSE EMPLOYEE FOR EXPENSE
000909569
C
30.67 30.67
199-52-6499-00-993-4-99-000 MISC OPERATING COSTS 00455182
Computer
149.33
Total Check:
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES 0210178654
C
GARZA CONCEPCION
TX SCH. BUS DRIVER SAFETY COMP.
06-21-14
Computer
445.44
594.77
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES 00455181
C
45.00
149.33
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178653
Computer
45.00
445.44
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 00455179
C
GARCIA NELLIE MANDATORY TTIPS MEETING/TRAINING
06-17-14
Computer
393.26
45.00 Total Check:
08/13/14
C
FOUNDATION INNOVATION
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 0210178652
Computer
15.68 15.68
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES
C
47.04 47.04
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES
Computer
47.04 47.04
14001403 MILEAGE FOR MARIA GUERRA FLORES -
C
15.68 15.68
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455097
94.08 94.08
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455098
00455146
Status Description
FLORES-GUERRA MARIA
14001403 MILEAGE FOR MARIA GUERRA FLORES -
199-23-6411-00-126-4-99-000 TRAVEL - EMPLOYEES 00455101
00455147
Status
02
0210178650
62
BLNT,RBR
2,171.52
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455143
08/13/14 3884496-0
111058
BLNT,RBR
00455148
08/13/14 061214-01
827
061214-01
14017497 LUNCH PROVIDED FOR STUDENTS ATTEND
00455184
55263
00455150
08/13/14 M5553
96962
Total Check: H&H OVERHEAD DOOR COMPANY, INC.
14017253 (D34) (85001/8301) NORTON DOOR CLO
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS Total Check: 0210178659 00455151
08/13/14 JULY 2014
5768
JUNE 2014
00455153
08/13/14 00025000
14000069 IN-DISTRICT MILEAGE REIMBURSEMENT
11339
14011129 WATER SERVICES FOR THE MONTHS OF J
00455155
20140805
107077
20140806
14016759 JUDY HOLLINGER - SUMMER TRAININGS
20140731
00455158
12609
8817
12563
14018355 VARIQUEST COATED PAPER, 24"X100' F
14017908 ID CARD MAKER SYSTEM: INCLUDES CAR
199-41-6397-00-942-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178663
08/29/14 TLS1600980
11178
Total Check: ADVENTURES IN ADVERTISING CORPORATION
14018405 8 GB WEARABLE USB 2.0 FLASH DRIVE
199-41-6497-00-947-4-99-000 AWARDS & INCENTIVES TLS1600980
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
321.44 4,200.00
4,200.00 1,000.00
1,000.00
1,000.00
3,000.00
IMAGERY
199-36-6399-92-001-4-11-010 GENERAL SUPPLIES 00455157
Computer
166.32
1,000.00 Total Check:
08/13/14
C
155.12
1,000.00
14016759 JUDY HOLLINGER - SUMMER TRAININGS
162-13-6291-38-901-4-30-010 CONSULTANT SERVICES 0210178662
Computer
2,005.00
1,000.00
14016759 JUDY HOLLINGER - SUMMER TRAININGS
162-13-6291-38-901-4-30-010 CONSULTANT SERVICES 00455156
2,005.00
HOLLINGER JUDY L.
162-13-6291-38-901-4-30-010 CONSULTANT SERVICES 00455154
C
2,005.00
4,200.00 Total Check:
08/13/14
Computer
301.37
166.32
Total Check: HIDALGO MUNICIPAL UTILITY DIST. #1
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210178661
C
301.37
155.12
199-51-6411-00-956-4-99-000 TRAVEL - EMPLOYEES 0210178660
Computer
HERNANDEZ MARCOS
14000069 IN-DISTRICT MILEAGE REIMBURSEMENT
199-51-6411-00-956-4-99-000 TRAVEL - EMPLOYEES 00455152
C
1,740.00
301.37
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178658
Computer
GUERRA ARACELY NATL CONF. OF DIFF. INSTR
07-06-14
C
1,020.00 1,020.00
Total Check: 08/13/14
Computer
720.00 720.00
14017497 LUNCH PROVIDED FOR STUDENTS ATTEND
276-11-6412-00-045-4-30-000 STUDENT TRAVEL 0210178657
C
3,900.15
GLADYS PORTER ZOO
276-11-6412-00-041-4-30-000 STUDENT TRAVEL 00455148
2,171.52 2,171.52
Total Check: 0210178656
00455142
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018507 SCISSORS 5"
199-00-1310-00-000-4-00-000 INVENTORY
00455142
Status
02
0210178655
63
14018405 8 GB WEARABLE USB 2.0 FLASH DRIVE
860.37 860.37 4,995.00 4,995.00 5,855.37 -774.00 -774.00 774.00
CV Computer Void
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455142
08/13/14 TLS1600980
11178
Status Description
ADVENTURES IN ADVERTISING CORPORATION
14018405 8 GB WEARABLE USB 2.0 FLASH DRIVE
Total Check: 0210178664 00455160
08/13/14 124321
4048
124373
14017362 CAKES & PASTRIES FOR CATERING REQU
00455161
I0030960
1019
14017147 Managerial Mid Back Chair for Purc
00455166
229619
11982
229621
14018628 20 X 20 X 1 MERV 8 PLEATED FILTERS
229620
229622
229623
229625
229626
229634
229635
229636
00455174
08/13/14 387203
387558
Total Check: JTM PROVISIONS CO., INC.
14014654 CP5632
SALISBURY STEAK 172/CS
14014654 CP5632
387559
(ITEM
463227
20011
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
12,744.22
10,316.17
2,428.05 2,428.05
Total Check: 08/13/14
C
4,542.42
10,316.17
14012575 100% BEEF CRUMBLE 6/#5 BAGS
101-35-6341-06-958-4-99-000 FOOD 0210178668
Computer
310.56
12,744.22 SALISBURY STEAK 172/CS
101-35-6341-06-958-4-99-000 FOOD 00455172
C
300.00
310.56
101-35-6341-06-958-4-99-000 FOOD 00455173
Computer
703.20
378.60
14018679 16 X 20 X 2 PLEATED FILTERS MERV 8
110485
C
378.60
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 0210178667
Computer
908.30
300.00
14018681
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455165
C
466.92
703.20
14018680 20 X 25 X 1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455171
Computer
696.94
908.30
14018627 20 X 20 X1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455167
C
300.00
466.92
14018626 16 X 25 X 1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455168
Computer
328.38
696.94
14018625 16 X 25 X 1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455169
C
149.52
300.00
14018624 16 X 20 X 1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455162
Computer
376.28
328.38
14018623 20 X 25 X 1 MERV 8 PLEATED FILTERS
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455170
C
376.28
149.52
14018622 16 X 25 X 1 PLEATED FILTER MERV 8
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455163
Computer
JOE W. FLY CO., INC.
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455164
C
118.50
376.28
Total Check: 08/13/14
Computer
J.R., INC.
199-41-6395-00-947-4-99-000 FURN & EQUIP <$500 UNIT COST 0210178666
C
40.00 40.00
Total Check: 08/13/14
Computer
78.50 78.50
14017362 CAKES & PASTRIES FOR CATERING REQU
101-35-6341-03-958-4-99-000 FOOD 0210178665
C
.00
IRMA'S SWEETE SHOPPE
101-35-6341-03-958-4-99-000 FOOD 00455159
774.00 774.00
199-41-6497-00-947-4-99-000 AWARDS & INCENTIVES
00455178
Status
02
0210178663
64
25,488.44
KAGAN
14017643 KAGAN COOPERATIVE LEARNING DAY 1 T
680.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
Amount Paid Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178668 00455178
08/13/14 463227
20011
KAGAN
14017643 KAGAN COOPERATIVE LEARNING DAY 1 T
211-13-6291-00-113-4-30-FOC CONSULTING SERVICES 00455177
463303
14017420 KAGAN COOPERATIVE LEARNING DAY 1 O
211-13-6291-00-120-4-30-FOC CONSULTING SERVICES 00455176
463226
14017420 KAGAN COOPERATIVE LEARNING DAY 1 O
211-13-6291-00-120-4-30-FOC CONSULTING SERVICES 00455175
463294
14017420 KAGAN COOPERATIVE LEARNING DAY 1 O
211-13-6291-00-120-4-30-FOC CONSULTING SERVICES 0210178669 00455218
08/13/14 770169/832
1094
Total Check: LA JOYA ISD PRINT SHOP
14005258 ALL ITEMS WILL BE FOR STAFF DEVELO
162-13-6298-24-832-4-30-010 PRINTING COSTS 00455216
770168-832
14005259 ALL ITEMS WILL BE FOR STAFF DEVELO
162-13-6298-31-832-4-30-010 PRINTING SERVICES 00455217
770167/106
14010364 2OO COPIES OF EMPLOYEE CONFERENCE
199-23-6298-00-106-4-99-000 PRINTING SERVICES 00455215
770166/865
14006169 3RD, 4TH, AND 5TH GRADE MATH, READ
162-11-6298-65-865-4-30-010 PRINTING SERVICES 00455214
770165/860
14007867 INFORMATION LETTER TO PARENTS ON A
172-61-6298-39-860-4-25-010 PRINTING SERVICES 00455213
770164/889
14010824 OUT OF DISTRCT TRAVEL FORM
199-21-6298-00-889-4-99-000 PRINTING SERVICES 00455212
770163/865
14011423 6TH GRADE MATH TESTS REGULAR (2270
162-11-6298-65-865-4-30-000 PRINTING SERVICES 00455211
770162/001
14011854 WALK-THROUGH FORMS (3-PART, COUNT
199-23-6298-00-001-4-99-000 PRINTING SERVICES 00455210
770161/830
14015191 CAMPUS VISIT/WALKTHROUGH FORM-CARB
162-11-6298-27-830-4-30-010 PRINTNG COSTS 00455209
770160/954
14017262 BUSINESS CARD BELINDA PUENTE (250
199-53-6298-00-954-4-99-000 Printing Costs 00455208
770159/903
14017645 LA JOYA ISD OFFICE OF ADMISSIONS A
199-41-6298-00-903-4-99-000 PRINTING SERVICES 00455207
770153/127
14015999 NURSES PASSES
199-33-6298-00-127-4-99-000 PRINTING SERVICES 00455203
770139/104
14015595 NURSE'S PASSES
199-33-6298-00-104-4-99-000 PRINTING SERVICES 00455204
770154/111
14015998 ADMISSION SLIPS (2 PART)
199-23-6298-00-111-4-99-000 PRINTING SERVICES 00455205
770117/007
14010700 STUDENT DISIPLNE REFERRAL FORM
199-23-6298-00-007-4-99-000 PRINTING SERVICES 00455206
770170/015
14011287 FORMS TO BE USED TO COLLECT INFORM
199-23-6298-00-015-4-99-000 PRINTING SERVICES 0210178670
08/13/14
5455
65
Total Check: LA JOYA ISD TRANSPORTATION DEPT.
680.00 680.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,564.00 1,564.00 1,326.00 1,326.00 -1,326.00 -1,326.00 2,244.00 1,550.00 1,550.00 1,352.00 1,352.00 610.00 610.00 1,303.77 1,303.77 650.00 650.00 105.00 105.00 19,744.20 19,744.20 2,250.50 2,250.50 52.50 52.50 40.00 40.00 361.00 361.00 300.00 300.00 150.00 150.00 640.00 640.00 1,250.00 1,250.00 30.00 30.00 30,388.97
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455219
08/13/14
5455
2014 SUMMER SCHOOL COST
2014 SUMMER SC
2014 SUMMER SCHOOL COST
212-11-6494-00-699-4-24-000 RECLASS TRANS EXPENDITURES 00455219
2014 SUMMER SC
2014 SUMMER SCHOOL COST
172-11-6494-01-699-4-35-010 RECLASS TRANS EXPENDITURES 00455219
2014 SUMMER SC
2014 SUMMER SCHOOL COST
172-11-6494-01-699-4-25-010 RECLASS TRAN EXPENDITURES 00455219
2014 SUMMER SC
2014 SUMMER SCHOOL COST
172-11-6494-03-699-4-25-010 RECLASS TRANS EXPENDITURES 00455219
2014 SUMMER SC
2014 SUMMER SCHOOL COST
2014 SUMMER SC
2014 SUMMER SCHOOL COST
224-11-6494-00-699-4-23-010 RECLASS TRANS EXPENDITURES Total Check: 0210178671 00455220
08/13/14 08046122
3945
00455221
08/13/14
14017427 FOOD FOR CATERING REQUESTS FOR THE
4145300714
4253
Total Check: LAKESHORE LEARNING MATERIALS
14018382 CHILDREN'S TIMER-SET OF 6 (ITEMS A
00455222
13188
CONSULTANT
CONSULTING SERVICES
00455223
106
114472
14018136 CONTRACT FOR ASHLEY LEDEZMA FOR SU
10741
9409
10736
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455233
10729
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455231
10734
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455230
10719
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455229
10740
Computer
87,500.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
75,000.00 75,000.00 100,000.00
40,933.00 40,933.00 629,600.00 412.50
412.50 132.87
132.87
2,945.61 500.00
500.00
LONGHORN BUS SALES
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455232
C
87,500.00
500.00
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 10742
Computer
LEDEZMA ASHLEY
Total Check: 08/13/14
87,500.00
2,945.61
199-13-6291-00-893-4-99-000 CONSULTANT SERVICES 0210178675
C
87,500.00
2,945.61
Total Check: 08/13/14
Computer
LAUER GARY
181-36-6291-00-863-4-91-010 CONSULTANT SERVICES 0210178674
80,000.00
132.87 Total Check:
08/13/14
C
80,000.00
412.50
192-13-6399-00-870-4-23-000 GENERAL SUPPLIES 0210178673
158,667.00
LABATT FOOD SERVICE
101-35-6341-03-958-4-99-000 FOOD 0210178672
158,667.00
100,000.00
263-11-6494-02-699-4-25-010 RECLASS TRANS EXPENSE 00455219
00455225
Status Description
LA JOYA ISD TRANSPORTATION DEPT.
2014 SUMMER SC
211-11-6494-60-699-4-30-010 RECLASS TRANS EXPENDITURES 00455219
00455224
Status
02
0210178670
66
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
77.08 77.08 12.86 12.86 384.47 384.47 159.34 159.34 31.56 31.56 342.61 342.61 951.74
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455229
08/13/14 10740
9409
Status Description
LONGHORN BUS SALES
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455228
10743
10733
10779
1,018.63 Total Check:
00455235
08/13/14
15211
190.92 64.00
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL
64.00
0210178677 00455240
08/13/14 901468
25577
Total Check: LOWE'S HOME CENTER, INC.
14018458 18.3-CU FT TOP FREEZER REFRIGERATO
199-41-6395-00-943-4-99-000 FURN & EQUIP <$500 UNIT COST Total Check: 0210178678 00455241
08/13/14
68403
00455265
15150
08/13/14
00455266
01-326262-00
107034
01-327959-00
14018656 1015666 4 X 8 X 3/4 DOMESTIC BIRCH
14018656 1015666 4 X 8 X 3/4 DOMESTIC BIRCH
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 0210178681 00455290
08/13/14 41823516
12314
Total Check: PATTERSON MEDICAL SUPPLY, INC.
14018077 BAND AIDS LG 50/BX
41826246
41826246
14018077 BAND AIDS LG 50/BX
08/13/14
14018077 THIS ORDER IS FOR LA JOYA HS ATHLE
7935
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
358.89 2,224.15 2,224.15 -26.68 -26.68 2,197.47
6.81
93.00 93.00
Total Check: 07-07-2014
Computer
112.96
6.81
181-36-6399-01-004-4-91-010 GENERAL SUPPLIES 0210178682
C
465.50
755.13
181-36-6399-01-001-4-91-010 GENERAL SUPPLIES 00455289
465.50
755.13
181-36-6399-01-001-4-91-010 GENERAL SUPPLIES 00455289
Computer
465.50
358.89
Total Check: MATTS BUILDING MATERIALS INC.
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455267
C
358.89
276-12-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178680
Computer
MARTINEZ ADELAIDA LAS VEGAS
07-06-2014
C
254.92
112.96 Total Check:
08/13/14
Computer
112.96
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 0210178679
C
LOZANO BRENDA LAS VEGAS, NV
7-7-2014
Computer
190.92
AUSTIN, TX
6-17-2014
C
4,840.29
276-13-6411-00-045-4-30-000 EMPLOYEE TRAVEL 00455234
Computer
LONGORIA ROSA ORLANDO, FL
6-22-2014
C
1,018.63
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178676
Computer
1,543.87 1,543.87
14018713 RADIATOR UNIT # 397
C
318.13 318.13
14018457 TRANSMISSION COMPUTER MODULE (TCM)
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455226
951.74 951.74
14018319 ASAP OPEN PARTS FROM JULY 21-AUGUS
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455227
00455268
Status
02
0210178675
67
854.94
MENDIOLA LETICIA LAS VEGAS
178.36
199-23-6411-00-048-4-99-000 TRAVEL - EMPLOYEES
178.36 Total Check:
178.36
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455269
08/13/14 MAY 20104
18611
Status Description
MENDIOLA PETRA
14000938 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00455270
JUNE 2014
00455103
08/13/14
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00455140
99999
SCHOLARSHIP AW
00455236
SCHOLARSHIP
08/13/14 SUMMER I TUITI
00455275
GOLF SCHOLAR
GOLF SCHOLARSHIP 2014
00455286
99999
GOLF SCHOLAR 2
500.00
GOLF SCHOLARSHIP 2014
00455288
SPRING 2014
99999
500.00
PADILLA YAZMIN
14006788 STUDENTS TUITION FOR FALL 2013
00455141
99999
SCHOLARSHIP AW
FO
LJISD SUP. GOLF CLASSIC SCHOLARSHI
SCHOLARSHIP AW
00454882
99999
SCHOLARSHIP 20
GOLF SCHOLARSHIP LA JOYA H.S. UTPA
08/19/14
99999
CV Computer Void
500.00 C
Computer
C
Computer
.00 500.00 500.00
Total Check: SCHOLARSHIP 20
-500.00
SANCHEZ ANDRES JR.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178693
100.00
500.00 Total Check:
08/13/14
100.00
-500.00
LJISD SUP. GOLF CLASSIC SCHOLARSHI
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178692
100.00
RAUL CADENAS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 00455141
Computer
500.00
Total Check: 08/18/14
C
500.00
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210178691
Computer
500.00
ORTIZ SELENE
Total Check: 08/13/14
C
500.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178690
Computer
100.00
NAVARRO RAMON
Total Check: 08/13/14
C
100.00 100.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178689
Computer
LOPEZ PRISCILLA
14016498 STUDENTS TUITION FOR SPRING SEMEST
99999
C
500.00
Total Check: 08/13/14
Computer
500.00 500.00
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210178688
C
LOPEZ ASHLEY NICOLE LJISD SUPERINTENDENT GOLF SCHOLARS
99999
Computer
500.00
Total Check: 00455239
C
500.00 500.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178687
Computer
JORGE L. COMPEAN LJISD SUP. GOLF CLASSIC SCHOLARSHI
99999
C
500.00
Total Check: 08/13/14
Computer
500.00 500.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178686
C
111.50
Total Check: 08/13/14
Computer
ASHLEY K. CORONA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178685
C
28.00 28.00
Total Check: 0210178684
83.50 83.50
14000938 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES
00454900
Status
02
0210178683
68
500.00
TERRANZAS ASHLEY GOLF SCHOLARSHIP LA JOYA H.S. UTSA
-500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454900
08/19/14
99999
SCHOLARSHIP 20
Status Description
TERRANZAS ASHLEY GOLF SCHOLARSHIP LA JOYA H.S. UTSA
SCHOLARSHIP 20
GOLF SCHOLARSHIP LA JOYA H.S. UTSA
Total Check: 00455274
08/13/14
17677
07-07-2014
LAS VEGAS
00455276
4447859
17474
440779
4441570
14017149 VINLAND II SURVEY INTREVIEW FORMS
4452480
269395
00455281
08/13/14 2016080701
08/13/14
Total Check: NETSYNC NETWORK SOLUTIONS
14018266 CISCO CATALYST 3850 24 PORT DATA I
00455285
664294421-01
7114
Total Check: ORIENTAL TRADING COMPANY, INC.
14016504 PASTEL COLOR MINI PAILS FOR PARENT
00455287
08/13/14 59957
12840
Total Check: OSBURN MATERIALS, INC.
14018510 OSBURN TOP DRESSING SAND
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION Total Check: 0210178699 00455291
08/13/14
21667
06-30-2014
SAN ANTONIO TEXAS
00455264
JUNE 2014
20418
08/13/14 2000/08-11-201
Computer
4,121.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
4,121.00 217.79
217.79 1,149.07 1,149.07 1,149.07
439.15
ESTELLA PEREZ
14000951 MILEAGE REIMBURSEMENT FOR THE PERI
1436
C
4,121.00
439.15
Total Check: PIZZA OPERATING PARTNERS
14014731 LA JOYA H.S. CHOIR
39.48 39.48
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178701
Computer
439.15
Total Check: 08/13/14
C
PENA IVAN
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178700
Computer
8,970.55
217.79
199-61-6399-00-127-4-99-000 GENERAL SUPPLIES 0210178698
C
100.30 100.30
199-53-6397-00-954-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178697
Computer
122.72 122.72
14003624 TAKS/STAAR/TELPAS TESTING REPORTS
104604
C
4,547.30 4,547.30
14017150 GORT 5 COMLETE KIT (TESTING MATERI
199-21-6339-00-865-4-99-000 TESTING MATERIALS 0210178696
Computer
806.19 806.19
14017150 GORT 5 COMLETE KIT (TESTING MATERI
192-31-6339-00-870-4-23-010 TESTING MATERIALS 00455277
C
3,394.04 3,394.04
14016133 BASC-2 (SDH) (ITEMS ARE NEEDED FOR
192-31-6339-00-870-4-23-010 TESTING MATERIALS 00455278
Computer
216.92
NCS PEARSON, INC.
224-31-6339-00-871-4-23-000 TESTING MATERIALS 00455279
C
.00
216.92
192-31-6339-00-870-4-23-010 TESTING MATERIALS 00455280
Computer
216.92
Total Check: 08/13/14
C
MORENO CELESTE
199-23-6411-00-048-4-99-000 TRAVEL - EMPLOYEES 0210178695
CV Computer Void
500.00 500.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178694
-500.00 -500.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 00454900
00455293
Status
02
0210178693
69
- MEALS FOR ST
199-36-6498-05-001-4-11-010 FOOD & NON-FOOD RELATED ITEMS Total Check:
39.48 59.90 59.90 59.90
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455294
08/13/14 D10891214E
23701
D10891214F
14002739 Insurance Deductible for General L
199-41-6429-02-985-4-99-000 INS & BOND - MISC DEDUCTIBLES Total Check: 0210178703 00455242
08/13/14
18593
LAS VEGAS, NV
7-6-2014
00455243
08/13/14
9482
2009 LOCAL TAX ROLL AUDIT FOR 2010
00455244
1053131
6058
14012143 DR. SAENZ M.S. BAND - SHEET MUSIC
08/13/14
8015
SAN ANTONIO, TX
00455261
8036
SAN ANTONIO, TX
6-30-2014
00454875
21084
DIFFERENCIATED INSTRUCTION CONFERE
00454876
6/30-7/3/2014
2014 AVID SUMMER INSTITUTE
004659
2924
14017367 FOOD FOR CATERING REQUESTS FOR THE
005558
009587
001600
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
154.88
154.88 451.28
451.28 469.06
467.77
14018300 GATORADE
85.68 85.68
14018307 MEAT PATTIES
340.57
749-00-1310-02-000-4-00-000 INVENTORY - DINING ROOM 00454879
Computer
467.77
749-00-1310-02-000-4-00-000 INVENTORY - DINING ROOM 00454881
C
446.21
469.06
14018300 GATORADE
749-00-1310-02-000-4-00-000 INVENTORY - DINING ROOM 00454880
Computer
SAM'S CLUB DIRECT
101-35-6341-03-958-4-99-000 FOOD 009217
C
422.33
451.28 Total Check:
08/13/14
422.33
SALINAS BIANCA
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 0210178710
Computer
449.95
154.88 Total Check:
107816
C
449.95
446.21
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 08/13/14
Computer
4,879.00
SALAZAR DALIA
7/7-11/2014
0210178709
C
4,879.00
446.21
Total Check: 08/13/14
Computer
RODRIGUEZ ELDA
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178708
C
422.33
Total Check: 08/13/14
Computer
REYNA SYLVIA
6-30-2014
142-31-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-COUNSELORS 0210178707
C
285.96
449.95 Total Check:
00455260
Computer
10,579.62
4,879.00
Total Check: RBC MUSIC COMPANY, INC.
199-11-6399-30-043-4-11-010 GENERAL SUPPLIES 0210178706
C
RAY & WOOD
LJISD
08/13/14
10,000.00
285.96
199-41-6299-00-942-4-99-000 MISC CONTRACTED SERVICES 0210178705
579.62 10,000.00
285.96
Total Check: 0210178704
579.62
RAMIREZ ELEAZAR , JR.
276-31-6411-00-045-4-30-000 EMPLOYEE TRAVEL
00454878
Status Description
PROPERTY CASUALTY ALLIANCE OF TEXAS
14002739 Insurance Deductible for General L
199-41-6429-01-985-4-99-000 INSURANCE/BONDING COSTS (PROP & CASU 00455295
00454877
Status
02
0210178702
70
340.57
14017929 THIS ORDER IS FOR LA JOYA ISD WELL
181-36-6498-00-863-4-91-010 FOOD & NON-FOOD RELATED ITEMS Total Check:
128.70 128.70 1,491.78
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454885
08/13/14 1581916
7678
Status Description
SBEC-CRT
14002880 Certification Permit fee for Angel
1581914
14002880 Certification Permit fee for Angel
1587283
14002880 Certification Permit fee for Angel
Total Check: 0210178712
08/13/14
00454887
308101968330
1630
308101968330
14018270 Writing Fabulous Sentences and Par
14018270
00454888
7/20-21/2014
19690
82ND ANN. COACHING SCHOOL
00454889
0000167527
29394
00454890
08/13/14 44908
14017601 ACRYLIC SPOON
08/13/14 14-458
5887
14-459
14-457
14018601 DUAL ENROLLMENT COURSE
FOR 2014 S
14018602 DUAL ENROLLMENT 2014 SUMMER I AND
Total Check: 00454896
08/13/14 216753
67202
Total Check: 00454874
08/13/14 234-69
102121
08/13/14
14011308 MENDIOLA 127
24136
44296
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,150.00
4,100.00 4,100.00 2,400.00 2,400.00 7,650.00 212.62 212.62 212.62
GARCIA JESUS NOE 495.00
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 0210178719
C
SUBWAY # 47230
14018541 COLT CUT FOOT LONG SANDWICHES FOR
199-12-6498-00-888-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178718
Computer
1,015.09
1,150.00
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210178717
C
701.25
SOUTH TEXAS COLLEGE
14018600 DUAL ENROLLMENT COURSE FOR JUAREZ-
142-11-6223-28-007-4-30-010 STUDENT TUITION/NON-PUB SCHLS 00454893
Computer
701.25
1,015.09
142-11-6223-28-004-4-30-010 STUDENT TUITION/NON-PUB SCHLS 00454891
C
110.86
1,015.09
Total Check: 00454892
Computer
110.86
701.25
Total Check: SOUTH TEX BEAUTY SUPPLY, INC.
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 0210178716
C
SKYWARD, INC.
14014591 ADDITIONAL TECHNICAL SUPPORT HOURS
3151
Computer
702.32
110.86
199-53-6299-00-954-4-99-000 MISC CONTRACTED SERVICES 0210178715
C
SEGOVIA MICHAEL
Total Check: 08/13/14
Computer
227.50
474.82
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210178714
C
474.82
Total Check: 08/13/14
Computer
171.00
227.50
Snap It Up!( Card Game)
224-11-6399-00-104-4-23-010 GENERAL SUPPLIES 0210178713
C
SCHOOL SPECIALTY INC.
224-11-6329-00-104-4-23-010 READING MATERIALS 00454887
Computer
57.00 57.00
199-41-6499-00-926-4-99-000 MISC OPERATING COSTS
C
57.00 57.00
199-41-6499-00-926-4-99-000 MISC OPERATING COSTS 00454886
57.00 57.00
199-41-6499-00-926-4-99-000 MISC OPERATING COSTS 00454884
00454897
Status
02
0210178711
71
Total Check: T-SHIRT GALLERY AND SPORTS
14017542 THIS ORDER IS FOR JUAREZ LINCOLN H
495.00 495.00 362.50 362.50
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES Total Check:
362.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454898
08/13/14 466743
15843
0210178721 00454901
08/13/14 KB7204982
103837
0210178722 00454903
08/13/14
Total Check: TEXAS A&M ENGINEERING EXTENSION SERVICE
14016522 TRAINING WILL BE FOR TRANSPORTATIO
900413
17396
14014905 CONCURRENT ENROLLMENT TUITIO FOR S
00454902
08/13/14
16518
14012929 JOB FAIR AT UT BROWNSVILLE, TEXAS
38
199-41-6411-00-926-4-99-000 TRAVEL - EMPLOYEES 0210178724 00454904
08/13/14 M060000997
112763
M060000998
DESCRI
00454906
08/13/14 6000080801
566
DESCRI
Total Check: THYSSENKRUPP ELEVATOR CORP.
14015642 NEED TO MAKE
TDLR, ASME ELEVATOR
00454907
JUNE 2014
39225
14000967 MILEAGE REIMBURSEMENT FOR THE PERI
00454908
JUNE 2014
17138
14000969 MILEAGE REIMBURSEMENT FOR THE PERI
00455262
94250
00455125
SAN ANTONIO, TX
6-30-2014
08/13/14 003667
21617
Total Check: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
14018697 CRAYOLA CRAYONS 24 COUNT
199-00-1310-00-000-4-00-000 INVENTORY 0210178730
08/13/14 009008
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14005059 LAPTOP SLEEVE NEEDED FOR HOMEBOUND
192-11-6399-00-870-4-23-000 GENERAL SUPPLIES 006359
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
12,356.00
12,356.00 23.52
23.52 22.40
22.40
VALDEZ KARIM
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 0210178729
C
449,425.00
22.40 Total Check:
08/13/14
Computer
178,336.00
TOVAR ELIZABETH
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178728
C
271,089.00
23.52 Total Check:
08/13/14
Computer
190.00
TORRES IDALIA
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178727
C
190.00
12,356.00 Total Check:
08/13/14
Computer
90.00
178,336.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178726
C
90.00
271,089.00
14015313 ITEM- SAF-T-LINER C2-BUSES
199-34-6631-00-972-4-99-050 VEHICLES > $5,000 0210178725
Computer
THOMAS BUS GULF COAST
14015313 ITEM- SAF-T-LINER C2-BUSES
199-34-6631-00-972-4-99-050 VEHICLES > $5,000 00454905
C
805.00
190.00 Total Check:
Computer
805.00
90.00
Total Check: THE UNIV. OF TX AT BROWNSVILLE
C
8,723.05
805.00
Total Check: THE UNIVERSITY OF TEXAS - PAN AMERICAN
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210178723
8,723.05 8,723.05
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES
00455139
Status Description
TASB RISK MANAGEMENT FUND
14011787 6% CLAIMED CHARGES FOR MEDICAID RE
199-41-6299-00-999-4-99-000 MISC CONTRACTED SERVICES
00455138
Status
02
0210178720
72
14013349
321.11 321.11 321.11 1,320.00 1,320.00 1,320.00 60.88 60.88 91.14
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178730 00455139
08/13/14 006359
55891
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL 91.14
14013349
91.14
211-11-6399-34-108-4-30-000 GENERAL SUPPLIES 00455126
000063
14013577 Meetings for the month of Aug. 201
199-21-6498-00-845-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00455127
002348
14013577 Meetings for the month of Aug. 201
199-21-6498-00-845-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00455128
003859
004499
004459
14018324 ALL ITEMS WILL BE USED FOR HIGH SC
005436
14018326 ALL ITEMS WILL BE USED FOR EARLY C
004458
006767
002390
003592
PENDING INVOICE FROM PREVIOUS YEAR
003752
199-11-6498-00-889-4-11-000 FOOD & NON-FOOD RELATED ITEMS Total Check: 0210178731 00454912
08/13/14 8057852618
8018
8057883632
14016795 STATES OF MATTER
READING BUDDIES
14016795 STATES OF MATTER
8057926239
14016795 STATES OF MATTER
00454915
162362
36226
00454916
08/13/14 879042
08/13/14
118.84
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
429.50
WEIDENHAMMER SYSTEMS
Total Check: WHATABURGER ACCOUNTING DEPT.
14015320 BURGER, FRENCH FRIES, AND DRINK (S
2987
Computer
240.67
69.99
199-11-6412-00-021-4-99-000 TRAVEL - STUDENTS 0210178734
47.82
118.84
14018548 Webinar for alio Warehouse Setup a
2152
C
3,601.10
READING BUDDIES
199-41-6411-03-976-4-99-000 TRAVEL - EMPLOYEES 0210178733
Computer
47.82
69.99
Total Check: 08/13/14
C
133.32
240.67
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES 0210178732
Computer
1,065.45
READING BUDDIES
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES 00454913
C
WARD'S SCIENCE
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES 00454914
Computer
199.20
133.32
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00455137
C
288.18
1,065.45
PENDING INVOICE FROM PREVIOUS YEAR
000510
Computer
35.92
199.20
14018725 ALL ITEMS WILL BE USED FOR SUMMER
162-13-6399-57-862-4-30-000 GENERAL SUPPLIES 00455136
C
471.95
288.18
14018694 BINDER PENCIL POUCH - STAFF DEVELO
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 00455135
Computer
81.62
35.92
14018504 ALL ITEMS WILL BE USED FOR ELEMENT
162-13-6399-57-862-4-30-000 GENERAL SUPPLIES 00455134
C
683.80
471.95
14018331 ALL ITEMS WILL BE USED FOR GT DAY
211-13-6399-34-869-4-30-000 GENERAL SUPPLIES 00455133
122.42
81.62
14018331 ALL ITEMS WILL BE USED FOR GT DAY
211-13-6399-34-869-4-30-000 GENERAL SUPPLIES 00455132
Computer
122.42
683.80
162-13-6498-57-862-4-30-000 FOOD AND NON FOOD COSTS 00455131
249.44
69.96
162-13-6399-57-862-4-30-000 GENERAL SUPPLIES 00455130
C
249.44
69.96
14017887
749-61-6399-00-962-4-99-000 GENERAL SUPPLIES 00455129
73
Total Check: WILLIAM V. MACGILL & CO.
198.00 198.00 198.00 241.41 241.41 241.41
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00454917
08/13/14 IN0468658
2987
664.18
IN0469347
664.18
CN0015514
IN0483845
79.40
-74.37
14018099 THIS ORDER IS FOR WELLNESS CENTER.
Total Check: 08/13/14 074995125
2695
14000697 RENTAL OF XEROX WC5755 DIGITAL COP
14000697 RENTAL OF XEROX WC5755 DIGITAL COP
199-11-6269-00-109-4-11-000 RENTALS-OPERATING LEASES 00454923
075254745
14000102 24 MONTHLY RENTAL FOR 2 XEROX 5755
199-11-6269-00-107-4-11-000 RENTALS-OPERATING LEASES 00454924
075254746
14000102 24 MONTHLY RENTAL FOR 2 XEROX 5755
199-11-6269-00-107-4-11-000 RENTALS-OPERATING LEASES 00454925
075254747
14000102 24 MONTHLY HOLE PUNCH MODULE
199-23-6269-00-107-4-99-000 RENTALS-OPERATING LEASES 00454926
075254743
14000692 RENTAL OF XEROX 5755 DIGITAL COPIE
199-11-6269-00-115-4-11-000 RENTALS-OPERATING LEASES 00454927
075254744
14000692 RENTAL OF XEROX 5755 DIGITAL COPIE
199-11-6269-00-115-4-11-000 RENTALS-OPERATING LEASES 00454928
075254749
14000692 RENTAL OF XEROX 5755 DIGITAL COPIE
199-11-6269-00-115-4-11-000 RENTALS-OPERATING LEASES 00454929
074723915
14000698 36 MONTHS RENTAL OF XEROX 5755APT
199-11-6269-00-106-4-11-000 RENTALS-OPERATING LEASES 00454930
074723916
14000698 36 MONTHS RENTAL OF XEROX 5755APT
199-11-6269-00-106-4-11-000 RENTALS-OPERATING LEASES 00454931
074995130
14000698 36 MONTHS RENTAL OF XEROX 5755APT
199-11-6269-00-106-4-11-000 RENTALS-OPERATING LEASES 00454932
074477910
14000698 36 MONTHS RENTAL OF XEROX 5755APT
199-11-6269-00-106-4-11-000 RENTALS-OPERATING LEASES 00454933
075254838
14001976 Rental of Xerox Copiers (SN# EX738
199-11-6269-00-118-4-11-000 RENTALS-OPERATING LEASES 00454934
075254840
14001976 Rental of Xerox Copiers (SN# EX738
199-11-6269-00-118-4-11-000 RENTALS-OPERATING LEASES 00454935
075254839
14001977 Rental Of Xerox Ser.#EX7383971 Sep
199-23-6269-00-118-4-99-000 RENTALS-OPERATING LEASES 00454936
075254812
14002408 RENTAL FOR XEROX 5765T DIGITAL COP
199-11-6269-00-102-4-11-000 RENTALS-OPERATING LEASES 00454937
075254813
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
824.61
XEROX CORPORATION
199-11-6269-00-109-4-11-000 RENTALS-OPERATING LEASES 074995127
C
155.40 155.40
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 0210178735
Computer
-74.37
14009527 600LOZENGERS
199-33-6399-00-102-4-99-000 GENERAL SUPPLIES 00454918
C
79.40
14009527 600LOZENGERS
199-33-6399-00-102-4-99-000 GENERAL SUPPLIES 00454920
00454922
Status Description
WILLIAM V. MACGILL & CO.
14009527 600LOZENGERS
199-33-6399-00-102-4-99-000 GENERAL SUPPLIES 00454919
00454921
Status
02
0210178734
74
14002408 PRINT CONTROLLER
199-23-6269-00-102-4-99-000 RENTALS-OPERATING LEASES
-2,410.56 -2,410.56 261.85 261.85 325.04 325.04 325.04 325.04 325.04 325.04 261.85 261.85 261.85 261.85 325.04 325.04 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 519.57 519.57 519.57 519.57
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/13/14 075254814
2695
075254765
14002412 PRINT MODULE
199-23-6269-00-122-4-11-000 RENTALS-OPERATING LEASES 00454940
075254766
14002412 PRINT MODULE
199-23-6269-00-122-4-11-000 RENTALS-OPERATING LEASES 00454941
075254767
14002412 PRINT MODULE
199-23-6269-00-122-4-11-000 RENTALS-OPERATING LEASES 00454942
075254756
14002414 Rental of Xerox 5755T Digital Copi
199-11-6269-00-108-4-11-000 RENTALS-OPERATING LEASES 00454943
075254757
14002414 Rental of Xerox 5755T Digital Copi
199-11-6269-00-108-4-11-000 RENTALS-OPERATING LEASES 00454944
075254758
14002414 Rental of Xerox 5755T Digital Copi
199-11-6269-00-108-4-11-000 RENTALS-OPERATING LEASES 00454945
075254768
14002427 RENTAL OF XEROX 5755 T DIGITAL COP
199-11-6269-00-117-4-11-000 RENTALS-OPERATING LEASES 00454946
075254769
14002427 RENTAL OF XEROX 5755 T DIGITAL COP
199-11-6269-00-117-4-11-000 RENTALS-OPERATING LEASES 00454947
075254770
14002427 EACH 3 HOLE PUNCH
199-23-6269-00-117-4-99-000 RENTALS-OPERATING LEASES 00454948
074723840
14004088 EACH RENTAL OF XEROX 5755T DIGITAL
199-11-6269-00-121-4-11-000 RENTALS-OPERATING LEASES 00454949
074723841
14004088 EACH RENTAL OF XEROX 5755T DIGITAL
199-11-6269-00-121-4-11-000 RENTALS-OPERATING LEASES 00454950
074723842
14004088 EACH RENTAL OF XEROX 5755T DIGITAL
199-11-6269-00-121-4-11-000 RENTALS-OPERATING LEASES 00454951
074995123
14004088 EACH RENTAL OF XEROX 5755T DIGITAL
199-11-6269-00-121-4-11-000 RENTALS-OPERATING LEASES 00454952
074995124
14004088 EACH PRINT CONTROL MODULE
199-23-6269-00-121-4-99-000 RENTALS-OPERATING LEASES 00454953
075254774
14004167 RENTAL OF XEROX 5755T DIGITAL COPI
199-11-6269-00-113-4-11-000 RENTALS-OPERATING LEASES 00454954
075254775
14004167 RENTAL OF XEROX 5755T DIGITAL COPI
199-11-6269-00-113-4-11-000 RENTALS-OPERATING LEASES 00454955
075254776
14004167 RENTAL OF XEROX 5755T DIGITAL COPI
199-11-6269-00-113-4-11-000 RENTALS-OPERATING LEASES 00454956
074723901
14000298 Rental for Xerox 5755APT Copiers (
199-11-6269-00-049-4-11-000 RENTALS-OPERATING LEASES 00454957
075410667
14000298 Rental for Xerox 5755APT Copiers (
199-11-6269-00-049-4-11-000 RENTALS-OPERATING LEASES 00454958
070588438
14000298 Rental for Xerox 5755APT Copiers (
199-11-6269-00-049-4-11-000 RENTALS-OPERATING LEASES 00454959
Status Description
XEROX CORPORATION
14002408 PRINT CONTROLLER
199-23-6269-00-102-4-99-000 RENTALS-OPERATING LEASES 00454939
Status
02
0210178735 00454938
Amount Paid Acct Amt.
Account No \ Description Bank No
074995128
75
14000298 Rental for Xerox 5755APT Copiers (
199-11-6269-00-049-4-11-000 RENTALS-OPERATING LEASES
519.57 519.57
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 325.04 523.28 523.28 325.04 325.04 325.04 325.04 325.04 325.04 519.57 519.57 261.85 261.85 261.85 261.85 261.85 261.85
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/13/14 073814890
2695
074279695
14000303 MONTHLY RENTAL FOR XEROX MACHINE #
199-23-6269-00-008-4-11-000 RENTALS - OPERATING LEASES 00454962
075254836
14000303 MONTHLY RENTAL FOR XEROX MACHINE #
199-23-6269-00-008-4-11-000 RENTALS - OPERATING LEASES 00454963
075254742
14000303 MONTHLY RENTAL FOR XEROX MACHINE #
199-23-6269-00-008-4-11-000 RENTALS - OPERATING LEASES 00454964
074723906
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454965
074723907
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454966
074723910
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454967
075254826
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454968
075254827
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454969
075254829
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454970
075414875
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES 00454971
074477908
14001083 RENTAL OF XEROX 5755T DIGITAL COPI
199-23-6269-00-027-4-99-000 RENTALS-OPERATING LEASES 00454972
074950553
14001083 RENTAL OF XEROX 5755T DIGITAL COPI
199-23-6269-00-027-4-99-000 RENTALS-OPERATING LEASES 00454973
075254808
14001232 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-046-4-11-000 RENTALS-OPERATING LEASES 00454974
075254807
14001232 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-046-4-11-000 RENTALS-OPERATING LEASES 00454975
075254806
14001232 RENTAL OF XEROX 5755APT DIGITAL CO
199-11-6269-00-046-4-11-000 RENTALS-OPERATING LEASES 00454976
075254842
14001485 RENTAL OF NEW XEROX 5755APT DIGITA
199-11-6269-00-028-4-11-000 RENTALS
261.85 261.85
261.85
261.85
261.85
261.85
261.85
261.85
199-11-6269-00-048-4-11-000 RENTALS-OPERATING LEASES 075254794
14002693 RENTAL FOR XEROX 5765 DIGITAL COPI
199-11-6269-00-048-4-11-000 RENTALS-OPERATING LEASES 00454981
075254795
14002693 RENTAL FOR XEROX 5765 DIGITAL COPI
199-11-6269-00-048-4-11-000 RENTALS-OPERATING LEASES
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 261.85 212.35 212.35 261.85 261.85 261.85 261.85
261.85
00454980
C
261.85
199-23-6269-00-021-4-99-000 RENTALS-OPERATING LEASES 14002693 RENTAL FOR XEROX 5765 DIGITAL COPI
Computer
261.85
261.85
075254793
C
261.85
261.85
00454979
Computer
261.85 261.85
14002409 3 HOLE PUNCH MODULE
075254816
C
261.85
199-23-6269-00-021-4-99-000 RENTALS-OPERATING LEASES 00454978
Computer
261.85
261.85
075254815
C
261.85
14002409 3 HOLE PUNCH MODULE
00454977
Status Description
XEROX CORPORATION
14000303 MONTHLY RENTAL FOR XEROX MACHINE #
199-23-6269-00-008-4-11-000 RENTALS - OPERATING LEASES 00454961
Status
02
0210178735 00454960
Amount Paid Acct Amt.
Account No \ Description Bank No
76
261.85 261.85 428.13 428.13 428.13 428.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/13/14 075254832
2695
075254781
14000104 RENTAL OF XEROX 5755T DIGITAL COPI
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 00454984
075254841
14000105 Rental of Xerox WC3550X Digital co
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 00454985
074723899
14000184 RENTAL OF XEROX 5755T DIGITAL COPI
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00454986
075254817
14000185 RENTAL OF XEROX WC3550X WORKCENTRE
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 00454987
075254819
14000186 Rental of Xerox W5775T Digital Cop
211-21-6269-51-844-4-30-000 RENTALS - OPERATING LEASES 00454988
075254833
14000264 Rental of Xerox 5765T Digital Copi
199-41-6269-00-947-4-99-000 RENTALS-OPERATING LEASES 00454989
075254785
14000299 Rental of 5765 T Xerox copier (SN
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 00454990
075254783
14000304 RENTAL FEE; MODEL XEROX 5755T DIGI
212-21-6269-00-876-4-24-000 RENTALS-OPERATING LEASES 00454991
075254773
14000448 RENTAL OF XEROX 5755t(ID96461 DIGI
152-21-6269-00-895-4-22-010 RENTALS 00454992
075254789
14000449 MONTH RENTAL XEROX DIGITAL COPIER
199-41-6269-00-903-4-99-000 RENTALS-OPERATING LEASES 00454993
075254809
14000450 RENTAL XEROX 5765T DIGITAL COPIER
162-21-6269-00-902-4-30-000 RENTALS-OPERATING LEASES 00454994
075254791
14000454 Monthly Rental of Xerox Digital Co
199-41-6269-00-701-4-99-000 RENTALS-OPERATING LEASES 00454995
072060171
14000647 RENTAL OF XEROX 5655 T DIGITAL COP
211-21-6269-93-847-4-30-000 RENTALS-OPERATING LEASES 00454996
073042973
14000647 RENTAL OF XEROX 5655 T DIGITAL COP
211-21-6269-93-847-4-30-000 RENTALS-OPERATING LEASES 00454997
075254828
14000691 RENTAL OF XEROX COPIER SN#XKP-5528
181-36-6269-00-863-4-91-010 RENTALS-OPERATING LEASES 00454998
075254778
14000693 RENTAL SERVICE FOR XEROX COPIER MA
199-36-6269-00-839-4-99-000 RENTALS-OPERATING LEASES 00454999
075254777
14000695 RENTAL OF XEROX 5755T DIGITAL COPI
199-36-6269-30-001-4-11-010 RENTALS-OPERATING LEASES 00455000
075254788
14000696 RENTAL OF A XEROX WC3550X DIGITAL
199-11-6269-06-001-4-11-010 RENTALS-OPERATING LEASES 00455001
075254780
14000700 MONTH RENTAL OF XEROX 5755T DIGITA
199-34-6269-00-972-4-99-000 RENTALS-OPERATING LEASES 00455002
075254811
14000866 RENTAL OF A XEROX C3550XVMA COPIER
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455003
Status Description
XEROX CORPORATION
14000103 RENTAL OF XEROX WC3550X DIGITAL CO
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 00454983
Status
02
0210178735 00454982
Amount Paid Acct Amt.
Account No \ Description Bank No
074933949
77
14000981 RENTAL FOR XEROX WC5655T DIGITAL C
199-21-6269-00-867-4-99-000 RENTALS-OPERATING LEASES
84.70 84.70
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
261.85 261.85 84.70 84.70 261.85 261.85 77.78 77.78 572.75 572.75 543.27 543.27 491.33 491.33 285.55 285.55 325.04 325.04 77.78 77.78 519.57 519.57 524.75 524.75 261.85 261.85 2,990.12 2,990.12 548.89 548.89 261.85 261.85 325.04 325.04 77.78 77.78 261.85 261.85 77.78 77.78 261.85 261.85
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/13/14 075254797
2695
075254800
14001084 RENTAL OF XEROX W32550X DIGITAL CO
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455006
075254798
14001084 RENTAL OF XEROX W32550X DIGITAL CO
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455007
075254799
14001084 RENTAL OF XEROX W32550X DIGITAL CO
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455008
075254801
14001084 RENTAL OF XEROX W32550X DIGITAL CO
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455009
075254802
14001231 RENTAL OF XEROX C3550X COPIER FOR
199-33-6269-00-004-4-99-000 RENTALS-OPERATING LEASES 00455010
075254804
14001233 Xerox Digital Copier Rental WC3550
77.78 77.78
77.78
77.78
77.78
77.78
199-36-6269-30-004-4-11-010 RENTALS-OPERATING LEASES 074279599
14001234 RENTAL OF XEROX 5755T DIGITAL COPI
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455014
074279596
14001234 RENTAL OF XEROX 5755T DIGITAL COPI
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455015
074723820
14001234 RENTAL OF XEROX 5755T DIGITAL COPI
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455016
074723865
14001234 OVERAGES
261.85
261.85
261.85
261.85
261.85
172-21-6269-39-860-4-25-010 RENTALS-OPERATING LEASES 00455019
075254740
14001974 MONTHLY RENTAL OF XEROX 5655 DIGIT
199-21-6269-00-865-4-99-000 RENTALS-OPERATING LEASES 00455020
075254737
14001982 MONTHLY RENTAL CHARGE FOR XEROX CO
199-41-6269-00-926-4-99-000 RENTALS-OPERATING LEASES 00455021
075254790
14001983 MONTHLY RENTAL FOR XEROX COPIER (X
199-41-6269-00-926-4-99-000 RENTALS-OPERATING LEASES 00455022
074950554
14002407 Monthly Rental for Xerox 5755T Dig
770-00-6269-00-985-4-99-000 RENTALS-OPERATING LEASES 00455023
075254779
14002411 RENTAL FOR XEROX (XEK503590) WORKR
199-41-6269-00-926-4-99-000 RENTALS-OPERATING LEASES 00455024
075254843
14003413 RENTAL OF NEW XEROX WC3550X DIGITA
199-21-6269-00-889-4-11-000 RENTALS - OPERATING LEASES 00455025
075254837
14003724 ITEMS NEEDED FOR DAILY OPERATIONS
199-11-6269-00-015-4-11-000 RENTALS-OPERATING LEASES
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
261.85
199-11-6269-30-007-4-11-010 RENTALS-OPERATING LEASES 14001486 RENTAL OF XEROX 5765T DIGITAL COPI
Computer
261.85
261.85
075254810
C
261.85
261.85
00455018
Computer
261.85
14001234 3 HOLE PUNCH MODULE
074723867
C
261.85
199-36-6269-30-004-4-11-010 RENTALS-OPERATING LEASES 00455017
Computer
77.78
261.85
00455013
C
77.78
199-11-6269-30-007-4-11-010 RENTALS-OPERATING LEASES 14001234 OVERAGES
Computer
77.78 77.78
77.78
074279642
C
77.78
261.85
00455012
Computer
77.78
14001234 3 HOLE PUNCH MODULE
074279644
C
77.78
199-41-6269-00-701-4-99-000 RENTALS-OPERATING LEASES 00455011
Status Description
XEROX CORPORATION
14001084 RENTAL OF XEROX W32550X DIGITAL CO
199-36-6269-00-893-4-99-000 RENTALS-OPERATING LEASES 00455005
Status
02
0210178735 00455004
Amount Paid Acct Amt.
Account No \ Description Bank No
78
519.57 519.57 301.20 301.20 576.00 576.00 524.75 524.75 428.55 428.55 325.04 325.04 84.70 84.70 261.85 261.85
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455026
08/13/14 075254796
2695
075254739
075254847
075254846
00455030
075254844
14003649 LEASE FOR XEROX NUVERA 120 (120 PP
00455031
075254845
14003649 LEASE FOR XEROX NUVERA 120 (120 PP
501451015
14003649 LEASE FOR XEROX NUVERA 120 (120 PP
074723908
14000648 RENTAL OF XEROX 5755APT DIGITAL CO
Total Check: 0210178736 00455297
08/13/14 MAY 2014
19485
JUNE 2014
14000187 MILEAGE FOR CLAUDIA ZAMORA VN#1948
JULY 2014
00455187
08/13/14 120812
21388
120777
14011224 PROJECTOR LAMP
00455197
08/13/14 028805
00455052
08/13/14 440879
Total Check: BURGESS FABRICS & UPHOLSTERY SUPPLY
14018164 HIGH BACK GRAY SEAT COVERS
Total Check: 08/13/14 MAY 2014
79359
C
Computer
C
Computer
C
Computer
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
13,430.00 13,430.00 13,430.00 12,103.00
12,103.00
DIAZ ROSAELIA
14012554 MILEAGE REIMBURSEMENT FOR MARCH TH
192-31-6411-00-870-4-23-000 TRAVEL - EMPLOYEES JUNE 2014
Computer
972.00
12,103.00
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178740
C
110.88
387.00
Total Check: AUDIO VISUAL AIDS CORP.
14018368 AVERMEDIA 3.2 MEGA PIXEL DOCUMENT
2372
Computer
387.00
162-11-6397-00-104-4-30-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210178739
C
51.52
585.00
14011225 PROJECTOR LAMP 5000
189
Computer
585.00
211-11-6399-01-001-4-30-000 GENERAL SUPPLIES 0210178738
C
6.72
51.52
Total Check: ADVANTAGE IMAGING SUPPLY, INC.
162-11-6399-00-001-4-30-000 GENERAL SUPPLIES 00455188
Computer
52.64
6.72
14000187 MILEAGE FOR CLAUDIA ZAMORA VN#1948
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 0210178737
C
36,225.55
52.64
14000187 MILEAGE FOR CLAUDIA ZAMORA VN#1948
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 00455298
Computer
ZAMORA CLAUDIA
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 00455296
C
261.85 261.85
199-11-6269-00-042-4-11-000 RENTALS-OPERATING LEASES
Computer
178.54 178.54
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES 00455033
C
951.14 951.14
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES 00455032
Computer
600.49 600.49
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES
C
426.92 426.92
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES
Computer
2,566.30 2,566.30
14003649 LEASE FOR XEROX NUVERA 120 (120 PP
C
261.85 261.85
14003649 LEASE FOR XEROX NUVERA 120 (120 PP
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES 00455029
261.85 261.85
14015813 RENTAL FEES FOR XEROX W56655T DIGI
286-21-6269-00-004-1-30-000 RENTALS 00455028
00455076
Status Description
XEROX CORPORATION
14009834 RENTAL FOR XEROX 5755T DIGITAL COP
199-51-6269-00-957-4-99-000 RENTALS-OPERATING LEASES 00455027
00455077
Status
02
0210178735
79
14012554 MILEAGE REIMBURSEMENT FOR MARCH TH
192-31-6411-00-870-4-23-000 TRAVEL - EMPLOYEES
104.16 104.16 49.84 49.84
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178740
08/13/14
79359
DIAZ ROSAELIA
0210178741
08/13/14
114561
DOYLENE & ASSOCIATES
Total Check: 10045
0210178742 00455080
08/13/14 JUNE 2014
5088
JULY 2014
14000511 OFFICE MILEAGE FOR SEPT. 2013 - AU
14000511 OFFICE MILEAGE FOR SEPT. 2013 - AU
08/13/14
9331
16.80
SAN ANTONIO, TX
6-30-2014
00455271
08/13/14 512393
1282
Total Check: MISSION AUTO ELECTRIC, INC.
14018361 ECH 3158095053 5-LB 095, ROUND LIN
00455273
08/13/14 M138655
10151
Total Check: MOBILE RELAY PARTNERS, LTD
14018036 REMOVE OLD LIGHTBAR (C-44)
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455272
M138656
14017791 T07-0714-05 SPEAKER RR FOR RADIO
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR Total Check: 0210178746 00455282
08/13/14 APRIL 2014
22262
MAY 2014
14014130 MILEAGE REIMBURSEMENT FOR APRIL TH
JUNE 2014
00455292
8242
1434
14014135 Annual state vehicle inspection fo
Total Check: 08/13/14 111830
1519
14007623 Registration Fee for Sofia Villarr
14018476 REGISTRATION FEE TO ATTEND WORKSHO
192-21-6239-00-870-4-23-000 EDUCATION SVC CENTER SVCS 00455257
111754
199.00
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
82.50 82.50 281.50 167.44
149.52
87.36
404.32 14.50 14.50 14.50
REGION ONE ESC
199-21-6239-00-846-4-30-000 EDUCATION SERVICE CENTERS 111813
ACH
PETE'S MUFFLER SHOP
199-41-6249-00-975-4-99-000 CONTRACTED MAINT & REPAIR 0210178748
A
199.00
87.36 Total Check:
08/13/14
ACH
555.08
149.52
14014130 MILEAGE REIMBURSEMENT FOR APRIL TH
224-31-6411-00-871-4-23-010 TRAVEL - EMPLOYEES 0210178747
A
555.08
167.44
14014130 MILEAGE REIMBURSEMENT FOR APRIL TH
224-31-6411-00-871-4-23-010 TRAVEL - EMPLOYEES 00455283
ACH
NEVAREZ NORA
224-31-6411-00-871-4-23-010 TRAVEL - EMPLOYEES 00455284
A
470.61
555.08
199-51-6319-00-956-4-99-000 PLUMBING 0210178745
ACH
453.81 453.81
142-21-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-ADMIN. 0210178744
A
104.44 16.80
199-21-6411-00-889-4-99-000 TRAVEL - EMPLOYEES 00455237
ACH
LOPEZ GRACIELA McALLE, TX
8-6-2014
A
46.76 46.76
Total Check: 00455238
ACH
57.68 57.68
199-23-6411-00-001-4-99-000 TRAVEL - EMPLOYEES 0210178743
A
275.40
ESTRADA YOLANDA
199-23-6411-00-001-4-99-000 TRAVEL - EMPLOYEES 00455081
154.00
275.40 Total Check:
00455258
Status Description
275.40
14018427 Data Wise Books
199-21-6329-50-845-4-99-000 READING MATERIALS
00455259
Status
02
00455078
80
14018535 REGISTRATION FEE TO ATTEND WORKSHO
100.00 100.00 100.00 100.00 200.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455257
08/13/14 111754
1519
Status Description
REGION ONE ESC
14018535 REGISTRATION FEE TO ATTEND WORKSHO
192-21-6239-00-870-4-23-000 EDUCATION SVC CENTER SVCS 00455256
111907
14018596 Professional Learning Communities
162-21-6239-00-846-4-30-000 EDUCATION SERVICE CENTER SERVICES 00455245
111657
14009482 Consultant services from Region On
211-13-6239-51-844-4-30-000 EDUCATION SERVICE CENTER SERVICES 00455246
111808
14018436 TEJAS LEE TRAINING FOR KINDER, 1ST
162-13-6239-31-832-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455247
111796
14016777 CONSULTAN FEE TO PAY REGION ONE FO
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455248
111795
14016857 CONSULTAN FEE TO PAY REGION FOR ST
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455249
111794
14016856 CONSULTAN FEE TO PAY REGION ONE FO
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455250
111798
14016780 CONSULTAN FEE TO PAY REGION ONE FO
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455251
111797
14016778 CONSULTAN FEE TO PAY REGION ONE FO
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455252
111698
14017596 REGISTRATION FEE FOR 6TH GRADE ELA
276-13-6239-00-041-4-30-000 EDUCATION SERVICE CENTER SERVICES 00455253
111225
14017873 REGISTRATION FEE FOR 7TH GRADE ELA
276-13-6239-00-041-4-30-000 EDUCATION SERVICE CENTER SERVICES 00455254
111871
14018083 REGISTRATION FEE FOR TEACHERS TO A
172-13-6239-57-862-4-25-010 EDUCATION SERVICE CENTER SERVICES 00455255
Total Check: 0210178749 00454883
08/13/14 JULY 2014
12269
14000247 MILEAGE REIMBURSEMENT FOR YOLANDA
00454895
168
77771
165
14018439 PRO SPHERE FAN FOOTBALL JERSEY
00454899
6/29-7/2/2014
14548
08/13/14 4165
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
4,000.00 4,000.00 2,000.00 2,000.00 2,000.00 2,000.00 1,000.00 1,000.00 2,000.00 2,000.00 1,000.00 1,000.00 50.00 50.00 50.00 50.00 300.00 300.00
BUILD MAGICAL FUTURES ASCA CONFERE
13502
125.00 40,425.00 25.76
25.76 360.00
870.00
1,230.00
TELLEZ MYRIAM
211-31-6411-38-901-4-30-010 TRAVEL - EMPLOYEES 0210178752
18,500.00
870.00 Total Check:
08/13/14
9,000.00
360.00
14017976 PRO SPHERE FAN FOOTBALL JERSEY
199-12-6497-00-888-4-99-000 AWARDS & INCENTIVES 0210178751
ACH
SPIRIT THREADS
199-12-6497-00-888-4-99-000 AWARDS & INCENTIVES 00454894
A
18,500.00
25.76 Total Check:
08/13/14
200.00 9,000.00
SANTOS YOLANDA
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210178750
200.00
125.00
111093
152-13-6239-00-895-4-22-010 EDUCATION SERVICE CENTER SERVICES
00454909
Status
02
0210178748
81
Total Check: TRAVEL ADVISORS INTERNATIONAL
14015643 HOTEL STAY 5 DAYS 4 NIGHTS FOR EDN
162-31-6411-00-015-4-30-000 TRAVEL-EMPLOYEE
179.86 179.86 179.86 680.80 680.80
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178752
08/13/14
13502
TRAVEL ADVISORS INTERNATIONAL
0210178753
08/13/14
7647
TREVINO ANYSIA R.
Total Check: JUNE 2014
14000097 Mileage Reimbursement for Anysia T
JULY 2014
14000097 Mileage Reimbursement for Anysia T
Total Check: 0210178754 00455263
08/13/14
17394
6-21-2014
LAS VEGAS, NV-RE-ISSUE
08/14/14 14728
51888
00455300
08/14/14 742500
268
Total Check: BILL GUTHRIE SPORTS,INC.
14013124 THIS ORDER IS FOR TREVINO MS GIRLS
181-36-6399-71-049-4-91-010 GENERAL SUPPLIES 00455301
782300
14016166 THIS ORDER IS FOR LA JOYA HS FOOTB
181-36-6399-68-001-4-91-010 GENERAL SUPPLIES 00455302
807900
14017383 THIS ORDER IS FOR CHAVEZ MS GIRLS
181-36-6399-71-042-4-91-010 GENERAL SUPPLIES 00455303
857000
14017309 THIS ORDER IS FOR LA JOYA HS GIRLS
181-36-6399-71-001-4-91-010 GENERAL SUPPLIES 0210178757
08/14/14 1848
12302
Total Check: HART RESTAURANT MANAGEMENT,INC. PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-89-001-4-91-010 TRAVEL - STUDENTS 1849
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-68-001-4-91-010 TRAVEL - STUDENTS 00455342
1850
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-89-004-4-91-010 TRAVEL - STUDENTS 00455354
1379
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-80-004-4-91-010 TRAVEL - STUDENTS 00455336
1394
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-81-004-4-91-010 TRAVEL - STUDENTS 00455335
2650
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-83-007-4-91-010 TRAVEL - STUDENTS 00455338
1647
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-82-007-4-91-010 TRAVEL - STUDENTS 00455339
1044
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-83-007-4-91-010 TRAVEL - STUDENTS 00455340
1095
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-81-007-4-91-010 TRAVEL - STUDENTS 00455341
1713
A
ACH
A
ACH
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
187.12
187.12
BETTY BATES
14018505 CONSULTANTS SERCIVES EOC BIOLOGY T
162-13-6291-54-830-4-30-010 CONSULTANT SERVICES 0210178756
ACH
88.48
187.12 Total Check:
00455299
A
32.48
VIDAL ISAIAS
211-23-6411-00-001-4-30-FOC TRAVEL - EMPLOYEE 0210178755
56.00
32.48
211-21-6411-51-844-4-30-000 EMPLOYEE TRAVEL
00455337
Status Description
680.80
56.00
211-21-6411-51-844-4-30-000 EMPLOYEE TRAVEL 00454910
00455353
Status
02
00454911
82
PENDING MEAL INVOICES FOR ATHLETIC
3,000.00 3,000.00 3,000.00 636.50 636.50 1,788.30 1,788.30 737.00 737.00 1,343.60 1,343.60 4,505.40 65.04 65.04 55.00 55.00 47.30 47.30 155.00 155.00 30.73 30.73 70.00 70.00 215.00 215.00 60.00 60.00 27.50 27.50 185.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455341
08/14/14
12302
1713
PENDING MEAL INVOICES FOR ATHLETIC
1279
1681
1034
00455346
2288
PENDING MEAL INVOICES FOR ATHLETIC
00455347
1507
PENDING MEAL INVOICES FOR ATHLETIC
2017
PENDING MEAL INVOICES FOR ATHLETIC
2352
PENDING MEAL INVOICES FOR ATHLETIC
2469
PENDING MEAL INVOICES FOR ATHLETIC
1724
PENDING MEAL INVOICES FOR ATHLETIC
2857
PENDING MEAL INVOICES FOR ATHLETIC
0210178758 00455312
08/14/14 05 821706
333
Total Check: COMMERCIAL BILLING SERVICE
14018698 BATTERIES
00455304
DT170812
104248
14011090 2013 FORD TRANSIT CONNECT XLT VANS
08/14/14 01837 012014
23200
MEAL INVOICES FOR ATHLETICS 2013-1
MEAL INVOICES FOR ATHLETICS 2013-1
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 01837 012181
MEAL INVOICES FOR ATHLETICS 2013-1
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00455309
01837 012248
MEAL INVOICES FOR ATHLETICS 2013-1
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00455310
01837 000126
MEAL INVOICES FOR ATHLETICS 2013-1
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00455311
01837 012593
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
22,773.75
22,773.75
CHICK-FIL-A
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 01837 011668
Computer
6,549.70
22,773.75 Total Check:
00455306
C
CALDWELL COUNTRY FORD
101-35-6631-91-958-4-99-000 VEHICLES > $5,000 0210178760
Computer
2,025.84
6,549.70 Total Check:
08/14/14
C
6,549.70
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178759
Computer
84.00 84.00
181-36-6412-73-044-4-91-010 TRAVEL - STUDENTS
C
40.00 40.00
181-36-6412-69-043-4-91-010 TRAVEL - STUDENTS 00455352
Computer
115.50 115.50
181-36-6412-72-043-4-91-010 TRAVEL - STUDENTS 00455351
C
105.00 105.00
181-36-6412-72-043-4-91-010 TRAVEL - STUDENTS 00455350
Computer
75.00 75.00
181-36-6412-78-043-4-91-010 TRAVEL - STUDENTS 00455349
C
180.00 180.00
181-36-6412-78-043-4-91-010 TRAVEL - STUDENTS 00455348
Computer
208.00 208.00
181-36-6412-83-041-4-91-010 TRAVEL - STUDENTS
C
120.00 120.00
181-36-6412-73-041-4-91-010 TRAVEL - STUDENTS
Computer
96.00 96.00
PENDING MEAL INVOICES FOR ATHLETIC
C
91.77 91.77
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-77-041-4-91-010 TRAVEL - STUDENTS 00455345
185.00 185.00
PENDING MEAL INVOICES FOR ATHLETIC
181-36-6412-74-007-4-91-010 TRAVEL - STUDENTS 00455344
00455308
Status Description
HART RESTAURANT MANAGEMENT,INC.
181-36-6412-77-007-4-91-010 TRAVEL - STUDENTS 00455343
00455307
Status
02
0210178757
83
14018615 Chick Fil A - Sandwich,chips,drink
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS
265.00 265.00 100.00 100.00 140.00 140.00 400.00 400.00 50.00 50.00 180.00 180.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178760
08/14/14
23200
CHICK-FIL-A
0210178761
08/14/14
478
Total Check: CORNISH MEDICAL ELECTRONICS
0072560-IN
14018425 THIS ORDER IS FOR LA JOYA HS ATHLE
181-36-6398-00-001-4-91-010 FURN & NON-TECH EQUIP-$500 TO $4,999 00455314
0072513-IN
14018488 HYDRA-HOT PACK
Status Description
0210178762 00455315
08/14/14
6962
192-31-6499-00-870-4-23-000 MISC OPERATING COSTS
00455316
08/14/14 XJJ21XTT9
9529
DELL MARKETING
00455319
08/14/14 ANALU000
21401
CASDU000
Total Check: DR. HILDEBRANDO SALINAS, M.D.
14018786 COPY OF PSYCHIATRIC EVALUATION FOR
00455320
08/14/14 57856
9234
08/14/14
Total Check: EL P.A.S.E. FEED & SEED
14018789 PRO-PLAN FOOD FOR "LOBO" & "RYAN"
00455321
FAC-14016214
42307
00455322
08/14/14
Total Check: EXCLUSIVE DECALS & SCREENPRINTING
14016214 HOWLING TRAILS EMBROIDERED LOGO ON
491931
3514
00455305
08/14/14 PO14018705
00455323
SI-525015
Total Check: CAREER TRANSFER ASSOCIATES, INC.
14011117 THIS ORDER IS FOR JUAREZ-LINCOLN H
07-07-14
91294
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
275.40 295.00
487.50 487.50 9,555.00 9,555.00 9,555.00
FIRST TO THE FINISH 905.24 905.24 Total Check:
08/14/14
C
275.40
487.50
181-36-6399-70-004-4-91-010 GENERAL SUPPLIES 0210178770
Computer
80.00
Plate ITEMS NEE
14018705 THIS ORDER IS FOR LA JOYA ISD ATHL
95621
C
40.00
295.00
Total Check: 08/14/14
Computer
40.00
295.00
181-36-6398-00-863-4-91-010 FURN & NON-TECH EQUIP-$500 TO $4,999 0210178769
C
FELIX MEAT MARKET
14018620 Brisket & Sausage
110850
Computer
2,114.50
Total Check:
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178768
C
2,114.50
275.40
749-00-1310-00-000-4-00-000 INVENTORY - PRO SHOP 0210178767
Computer
150.00
40.00
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 0210178766
C
150.00
40.00
14018787 OTHER HEALTH IMPAIRMENT FORM TO BE
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 0210178765
Computer
2,188.96
2,114.50
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 00455318
C
L.P.
14018529 REPLACE TONER FOR THE USE OF PRINT
211-11-6399-02-699-4-30-010 GENERAL SUPPLIES 0210178764
2,039.00
150.00 Total Check:
0210178763
2,039.00
149.96
Total Check: CRISIS PREVENTION INSTITUTE, INC. RECERTIFICATION FEE FOR ROSARIO MA
IUSI0017023
1,135.00
149.96
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES
00455356
Status
02
00455313
84
905.24
GUERRERO GUADALUPE A. DIFFERENTIAL INST. CONF.
185.41 185.41
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES Total Check:
185.41
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455358
08/14/14
23876
Status Description
HERNANDEZ SYLVIA DIFFERENTIAL INST. CONF.
07-06-14
276-31-6411-00-045-4-30-000 EMPLOYEE TRAVEL 0210178772 00455359
08/14/14
11339
Total Check: HIDALGO MUNICIPAL UTILITY DIST. #1 DIFFERENTIAL INST. CONF.
2343
0210178773 00455361
08/14/14 580
105643
14018712 CLEAN FIXTURES AND LENS INSIDE AND
Total Check: 00455379
08/14/14 14018739
15197
00455380
08/14/14 3432690614
14018739 4 Botanas with guacamole for Opera
4253
Total Check: LAKESHORE LEARNING MATERIALS
14017727 MAGNETIC WRITE AND WIPE EASEL STAN
211-11-6395-00-109-4-30-PRI FURN & EQUIP COST < $500.00 00455380
3432690614
14017727 DOUBLE SIDED LEARN TO PRINT WRITE
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES
00455357
08/14/14
99999
ADM.FIN.SCHOLA
STUDENT AT PHS ENROLLED UT BROWNSV
00455360
SUMMER 2014
99999
14016498 STUDENTS TUITION FOR SPRING SEMEST
Total Check: 00455393
08/14/14
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00455387
99999
SCHOLARSHIP
LJISD SUPERINTENDENT GOLF SCHOLARS
08/14/14
99999
SCHOLARSHIP
LJISD AD & FINANCE SCHOLARSHIP
SCHOLARSHIP AW
99999
5,662.00
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
4,370.00
10,032.00 200.00
200.00 100.00 100.00 100.00 500.00
500.00 500.00
500.00 200.00 200.00
Total Check: 08/14/14
C
5,662.00
RUIZ ADRIANA NORETTE
880-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178781
Computer
211.92
500.00 Total Check:
00455389
211.92
REYES-GUERRERO MARIO
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178780
C
211.92
500.00 Total Check:
08/14/14
Computer
4,000.00
RAUL CARDENAS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178779
4,000.00
HINOJOSA BLANCA
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210178778
C
4,000.00
200.00 Total Check:
08/14/14
Computer
3,535.40
HERNANDEZ MELINDA
880-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178777
C
3,535.40
4,370.00 Total Check:
0210178776
Computer
LA CASA DEL TACO
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178775
C
1,154.43
3,535.40
Total Check: JAY'S ELECTRICAL CONTRACTING CO. LLC
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 0210178774
1,154.43 1,154.43
749-61-6259-00-962-4-99-000 UTILITIES
00455355
Status
02
0210178771
85
200.00
SAMANTHA FLORES LJISD SUP. GOLF CLASSIC SCHOLARSHI
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
500.00 500.00
Total Check:
500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455374
08/14/14
99999
GOLF SCHOAR 20
GOLF SCHOLARSHIP 2014
00455376
08/14/14
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455390
99999
SCHOLARSHIP
00455372
08/14/14
LJISD SUPERINTENDENT GOLF SCHOLARS
61046B
54844
14017007 Consultant Fee for the General Ses
08/14/14 361673
36056
Total Check: 00455375
08/14/14 400
68624
00455391
08/14/14
14018719 District General Session - August
68889658
38423
Total Check: VALERO MARKETING AND SUPPLY COMPANY
14000113 YEAR FUEL USAGE FOR TRANPORTATION
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210178789 00455392
08/14/14
7405
31400734
Total Check: VARSITY SPIRIT FASHIONS LA JOYA ISD - PALMVIEW HIGH SCHOOL
199-36-6399-00-007-4-99-000 GENERAL SUPPLIES - MASCOT COSTUME 0210178790
08/14/14 001045
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14018366 ITMES FOR STAFF DEVELOPMENT MEETIN
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 003974
14018366 ITMES FOR STAFF DEVELOPMENT MEETIN
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455328
008769
14018366 ITMES FOR STAFF DEVELOPMENT MEETIN
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455327
007038
14018366 ITMES FOR STAFF DEVELOPMENT MEETIN
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455334
005956
14014158 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6498-27-830-4-30-010 FOOD AND NON FOOD RELATED COSTS 00455326
007359
14015653 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6498-27-831-4-30-010 FOOD AND NON FOOD RELATED COSTS 00455325
006462
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
6,750.00
6,750.00 2,002.00 2,002.00 2,002.00
TMFC-STATE FARM ARENA
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 0210178788
Computer
ROSSY FLORERIA
14018639 CATERING SERVICES (CHICKEN PLATES
181-36-6498-01-001-4-91-010 FOOD & NON-FOOD RELATED ITEMS 0210178787
C
500.00
6,750.00 Total Check:
00455388
Computer
500.00 500.00
Total Check: PREMIERE SPEAKERS BUREAU, INC.
199-21-6291-50-845-4-99-000 CONSULTANT SERVICES 0210178786
C
500.00
VALENCIA FELIPE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178785
Computer
500.00 500.00
Total Check: 08/14/14
C
500.00
TORRES MIGUEL
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178784
500.00 500.00
Total Check: 0210178783
00455329
Status Description
SOLIS JOSE L.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
00455330
Status
02
0210178782
86
14015653 EACH ITEM WILL BE FOR STAFF DEVELO
1,500.00 1,500.00 1,500.00 614.24 614.24 614.24 8,713.16 8,713.16 8,713.16 280.23 280.23 1,162.19 1,162.19 433.02 433.02 558.76 558.76 118.52 118.52 136.66 136.66 27.84
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455325
08/14/14 006462
55891
008784
14016326 EACH ITEM WILL BE FOR STAFF DEVELO
000799
14016327 EACH ITEM WILL BE FOR STAFF DEVELO
002284
14018202 ITEMS FOR STAFF DEVELOPMENT MEETIN
005726
14018642 water-operation lone star
00455377
08/14/14 120764
21388
00455378
08/14/14
Total Check: ADVANTAGE IMAGING SUPPLY, INC.
14018160 hp lj p 2035 BLACK TONER FOR J/L H
295358
79
Total Check: ALLEN INDUSTRIAL SUPPLY
14018162 SHOP FOX-W1795 SPRAY GUN FOR J/ L
00455317
10047
114561
14018174 Itmes for Staff Development HANDS
00455381
14018409
16996
00455362
08/14/14
14018409 ACTIVITY ASSORTMENT PAD
14-0125
20411
ALL ITEMS
14016587 Entrance Fee for E.B.Reyana Studen
9475
1434
14017794 STATE INSPECTION STICKERS FOR POLI
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455366
9764
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455367
10147
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455368
10201
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455369
10265
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455365
10423
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
337.00 5,280.59
5,280.59 276.97
276.97 260.00
260.00
PETE'S MUFFLER SHOP
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 9537
Computer
337.00
260.00 Total Check:
08/14/14
C
1,233.50
276.97
Total Check: MUSEUM OF SOUTH TEXAS HISTORY
199-11-6412-00-108-4-11-000 TRAVEL - STUDENTS 0210178796
Computer
LAMAC INC.
224-11-6497-00-108-4-23-010 AWARDS & INCENTIVES 0210178795
C
1,233.50
5,280.59 Total Check:
08/14/14
Computer
DOYLENE & ASSOCIATES
172-13-6329-54-831-4-25-010 READING MATERIALS 0210178794
C
3,202.95
337.00 Total Check:
08/14/14
Computer
56.59
1,233.50
286-11-6395-00-004-1-30-000 ASSETS UNDER $500 0210178793
C
239.20
286-11-6399-00-004-1-30-000 GENERAL SUPPLIES 0210178792
Computer
110.12
239.20
199-52-6498-00-902-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178791
C
79.82
56.59
162-13-6399-54-832-4-30-010 GENERAL SUPPLIES 00455333
27.84
110.12
162-13-6498-24-832-4-30-010 FOOD AND NON FOOD COSTS 00455332
27.84
79.82
162-13-6498-24-832-4-30-010 FOOD AND NON FOOD COSTS 00455331
00455371
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14015653 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6498-27-831-4-30-010 FOOD AND NON FOOD RELATED COSTS 00455324
00455364
Status
02
0210178790
87
14017794 STATE INSPECTION STICKERS FOR POLI
14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455365
08/14/14 10423
1434
10534
10535
00455373
4372
20318
14018498 General Session - Aug. 20, 2014 -
00455382
JUNE 2014
103004
JULY 2014
14001191 Mileage for the 2013-2014 School (
00455384
111896
1519
111807
14016781 CONSULTAN FEE TO PAY REGION ONE FO
14016779 CONSULTAN FEE TO PAY REGION ONE FO
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455386
111812
14018437 REGISTRATION FOR J/L HS(AUG. 2, 20
286-23-6239-00-004-1-30-000 EDUCATION SERVICE CENTER SERVICES Total Check: 0210178800 00455413
08/18/14 004217-001
60089
0045868-001
14011337 All Items Needed for Printers - In
0046712-001
0046713-001
0046752-001
0046753-001
ALL ITEMS
14017769 HP ELITE PAD CASE
0046799-001
27477
60089
A
ACH
A
ACH
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
200.00 200.00 2,200.00 2,150.12
496.87
2,105.20
235.17
1,414.87
-339.68
2,425.18 8,487.73
COPY PLUS
14017314 100 -3 RING BINDER: RED 2 " BINDER
162-21-6298-00-902-4-30-000 PRINTING SERVICES 27928
ACH
2,425.18
Total Check: 08/18/14
1,000.00
-339.68
14018701 TONER BLK
199-53-6399-00-954-4-99-000 GENERAL SUPPLIES 0210178801
A
1,000.00
1,414.87 ALL ITEMS TO BE
199-36-6399-00-839-4-99-000 GENERAL SUPPLIES 00455408
1,000.00
235.17
14018677 BLACK TONER, DELL 3130
199-36-6399-00-839-4-99-000 GENERAL SUPPLIES 00455409
ACH
1,000.00
2,105.20
14018676 BANKER STORAGE BOX 15"WX24"DX10"D
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 00455410
A
303.52
496.87
14018675 BADGE,ID REL,HVYDTY,BKSLV
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 00455411
ACH
196.00
2,150.12
14017626 BOX- STORAGE BANKER BOXES (12 COUN
753-00-6399-99-950-4-99-000 GENERAL SUPPLIES 00455412
A
107.52
COPY PLUS
199-41-6399-00-989-4-99-000 GENERAL SUPPLIES 00455399
ACH
REGION ONE ESC
162-13-6239-27-830-4-30-010 EDUCATION SERVICE CENTER SERVICES 00455385
A
14,350.00
196.00 Total Check:
08/14/14
ACH
14,350.00
107.52
14001191 Mileage for the 2013-2014 School (
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 0210178799
A
RAMIREZ EDEN JR
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00455383
ACH
130.50
14,350.00 Total Check:
08/14/14
A
PROMO MASTERS
199-21-6497-00-845-4-99-000 AWARDS & INCENTIVES 0210178798
ACH
14.50 14.50
Total Check: 08/14/14
A
14.50 14.50
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 0210178797
14.50 14.50
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455370
00455406
Status Description
PETE'S MUFFLER SHOP
14017794 STATE INSPECTION STICKERS FOR POLI
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR 00455363
00455407
Status
02
0210178796
88
PRINTING
1,552.55 1,552.55 584.98
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178801 00455406
08/18/14
60089
27928
COPY PLUS 584.98
PRINTING
584.98
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455405
25552
27224
22129
85.75
1,668.00
19261
101.52
28070
251.55
28072
1,772.70
27885
4,069.32
00455416
08/18/14 6545
7357
34.54
Total Check: EASY RIDE GOLF CARS SALES & SERVICE
14018650 THIS ORDER IS FOR LA JOYA HS: ESTI
6421
14017354 2014 YAMAHA DRIVE GAS-8 PASSENGER
00455418
08/18/14 0171520-IN
52531
Total Check: FROG STREET PRESS, INC.
14016911 SING & READ COLOR COLLECTION
TEAC
0171516-IN
14016912 SING & READ COLOR COLLECTION
TEAC
172-11-6329-39-117-4-35-010 READING MATERIALS
00455432
08/18/14 6498-1
36188
6497-3
4496-7
6499-9
14017930 (PA96) 5 GALLON PROMAR 700 LATEX S
14018568 PROMAR 200 ZERO VOC INTERIOR SEMI-
2380-5
14016078 WHITE CAULKING (PAINT-79)
Total Check: 08/18/14
00455435
376585556-086
7391
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
1,040.00
1,629.64
1,920.70 1,920.70 136.69
651.77 651.77
199-51-6319-00-956-4-99-000 PLUMBING 0210178805
M
2,923.95
136.69
199-51-6319-00-956-4-99-000 PLUMBING 00455430
Manual
1,169.58
1,629.64
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455431
M
1,754.37
1,040.00
14018640 0.0TM0227 WATER BORNE TRAFFICE MAR
199-51-6319-00-956-4-99-000 PLUMBING 00455433
Manual
SHERWIN WILLIAMS CO.
14018687 B02W00902 SHERSTRIPE EXTERIOR ACRY
199-51-6319-00-956-4-99-000 PLUMBING 00455434
M
10,408.00
1,169.58 Total Check:
0210178804
Manual
9,953.00
1,754.37
172-11-6329-39-116-4-35-010 READING MATERIALS 00455417
M
455.00
9,953.00
199-21-6631-00-893-4-99-000 VEHICLES GREATER THAN $5,000 0210178803
Manual
10,120.91
455.00
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00455415
M
34.54
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 0210178802
Manual
4,069.32
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455414
M
1,772.70
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455400
Manual
251.55
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455401
M
101.52
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455402
Manual
1,668.00
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455403
M
85.75
PRINTING
199-41-6298-00-989-4-99-000 PRINTING SERVICES 00455404
89
5,378.80
SPRINT PCS
14000605 BUSINESS ESSENTIAL PLAN FOR CHRIS
199-51-6259-00-993-4-99-000 UTILITIES
230.16 230.16
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178805
08/18/14
7391
SPRINT PCS
0210178806
08/18/14
20620
Total Check: STARR TELECOMMUNICATIONS ETC. LLC
8932
14018799 CAT 6 DATA DROP WHERE RACEWAY AND
8900
14018440 HID ACCESS CONTROL CARDS FOR (NELL
8902
14018540 HID ACCESS CONTROL CARDS FOR (NELL
Total Check: 00455441
08/22/14 STATEMENT 7-22
20504
STATEMENT 7-22
00455447
00549398
17773
0054960
1,345.40
00549691
14014679 MONTHLY CYLINDER RENTALS FROM APRI
00549692
00552413
00552414
00552415
00552120
00455440
08/18/14
Total Check: TEJAS EQUIPMENT RENTAL
399667-0001
COCKTAIL TABLES FOR HOWLING TRAILS
Total Check: 08/18/14 9502330369
2122
14018134 CORDLESS DRILL
14018134 STEPLADDER, FIBERGLASS, 6FT.
199-51-6399-00-126-4-99-000 GENERAL SUPPLIES 00455420
9509090289
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
82.80
363.00
445.80
GRAINGER
199-51-6395-00-126-4-99-000 FURN & EQUIP COST < $500.00 9502330369
M
1,291.36
363.00
199-41-6269-00-989-4-99-000 RENTALS-OPERATING LEASES 0210178810
Manual
246.62
82.80
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 00455439
M
195.50
246.62
AIR COMPRESSOR DIESEL LONE STAR 20
412857-0001
Manual
67.92
195.50
14014679 MONTHLY CYLINDER RENTALS FROM APRI
1792
M
121.51
67.92
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 0210178809
Manual
209.00
121.51
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455446
M
93.60
209.00
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455449
Manual
117.91
93.60
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455448
M
239.30
117.91
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455445
MV Manual Void
.00
239.30
14014679 MONTHLY CYLINDER RENTALS FROM APRI
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455444
Manual
WELDINGHOUSE INC.
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455443
M
1,345.40
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00455442
Manual
5,416.00
-1,345.40
14013023
Total Check: 08/18/14
M
125.00
-1,345.40
14013023
199-51-6259-02-956-4-99-000 UTILITIES - GAS 0210178808
Manual
TEXAS GAS SERVICE
199-51-6259-02-956-4-99-000 UTILITIES - GAS 00455441
M
75.00
125.00
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 0210178807
5,216.00
75.00
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 00455438
00455419
Status Description
230.16
5,216.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455436
00455419
Status
02
00455437
90
14018652 4VT73 DISPOSABLE RESPIRATOR MASK (
742.06 742.06 209.88 209.88 316.87
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455420
08/18/14 9509090289
2122
9499389667
9503086408
00455424
08/18/14 69173625
22640
14018629 1-25 ULTRA ROTOR 50-360 DEGREE ADJ
69047152
14018257 032670 LESCO LAKE & POND COLORANT
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 00455423
68976892
14018257 032670 LESCO LAKE & POND COLORANT
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210178812
08/18/14 1103688
67563
Total Check: A WASTE CONNECTIONS COMPANY
14017372 JUAREZ-LINCOLN
( 3 UNITS @ $369.6
101-51-6259-00-004-4-99-010 UTILITIES 1103688
101-51-6259-00-007-4-99-010 UTILITIES 00455396
1103688
14017372 CHAVEZ MIDDLE SCHOOL
101-51-6259-00-042-4-99-010 UTILITIES 00455396
1103688
1103688
1103688
14017372 ANN RICHARDS MIDDLE SCHOOL
( 2 UN
1103688
14017372 JD SALINAS MIDDLE SCHOOL
( 2 UNI
14017372 SOLID WASTE SERVICES FOR THE MONTH
101-51-6259-00-102-4-99-010 UTILITIES 00455396
1103688
14017372 BENAVIDES ELEMENTARY
101-51-6259-00-105-4-99-010 UTILITIES 00455396
1103688
14017372 KIKA DE LA GARZA ELEMENTARY
101-51-6259-00-107-4-99-010 UTILITIES 00455396
1103688
14017372 CHAPA ELEMENTARY
101-51-6259-00-109-4-99-010 UTILITIES 00455396
1103688
14017372 DIAZ-VILLARREAL ELEMENTARY
101-51-6259-00-111-4-99-010 UTILITIES 00455396
1103688
14017372 CAVAZOS ELEMENTARY
101-51-6259-00-112-4-99-010 UTILITIES 00455396
1103688
14017372 PEREZ ELEMENTARY
101-51-6259-00-114-4-99-010 UTILITIES 00455396
1103688
14017372 GONZALEZ ELEMENTARY
101-51-6259-00-115-4-99-010 UTILITIES
2,948.17
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
4,161.28 554.43
739.24
369.62
369.62 369.62
101-51-6259-00-048-4-99-010 UTILITIES 00455396
373.59
369.62
101-51-6259-00-045-4-99-010 UTILITIES 00455396
M
369.62
101-51-6259-00-043-4-99-000 UTILITIES 00455396
Manual
2,948.17
369.62
14017372 CNS CENTRAL WAREHOUSE
M
373.59
739.24 ( 2 UNITS @
Manual
839.52
554.43
14017372 PALMVIEW HIGH / PALMVIEW ACE ( 4 U
M
1,905.71
839.52
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 00455425
Manual
216.60 216.60
Total Check: JOHN DEERE LANDSCAPES, INC
M
420.30 420.30
14018074 SPORTS DRINK MIX LEMON LIME GATORA
199-51-6498-00-956-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178811
316.87 316.87
14018381 BOLTLESS RACK ADD ON UNIT, 96 WX18
199-36-6395-18-001-4-99-010 FURN & EQUIP <$500 UNIT COST 00455422
00455396
Status Description
GRAINGER
14018652 4VT73 DISPOSABLE RESPIRATOR MASK (
199-51-6319-01-956-4-99-000 LIFT STATIONS/SPRINKLER 00455421
00455394
Status
02
0210178810
91
369.62 369.62 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81 184.81
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455396
08/18/14 1103688
67563
184.81
1103688
184.81
1103688
184.81
1103688
184.81
1103688
184.81
1103688
184.81
1103688
184.81
1103688
184.81
14017372 EVANGELINA GARZA ELEMENTARY
1103688
1103688
184.81
14017372 DR. SAENZ MIDDLE SCHOOL
( 2 UNIT
184.81
14012845 WASTE SERVICES FOR THE MONTHS OF J
9,678.29
184.81
101-51-6259-00-958-4-99-000 UTILITIES 00455395
1103688
9,678.29
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 0210178813 00455397
08/18/14 0863-000896154
22065
Total Check: ALLIED WASTE SERVICES #863
14017608 WASTE SERVICES FOR THE MONTHS OF J
Total Check: 00455398
08/18/14 956580-5000120
9458
14002776 LONG DISTANCE SERVICE FOR MONTHS O
08/18/14 V15837
24619
00455427
3514116201010
7537
08/18/14
14013302 CHILD' S PLAY, PRINTABLE LETTER TO
3013/05-19-201
1436
Total Check: PIZZA OPERATING PARTNERS
14016589 2 slices
and a drink for a study
199-11-6412-00-108-4-11-000 TRAVEL - STUDENTS 3034/08-07-201
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
28,637.85
28,637.85 492.50
492.50
PAPER DIRECT, INC.
199-23-6399-00-028-4-99-000 GENERAL SUPPLIES 0210178817
M
3,714.93
492.50 Total Check:
08/18/14
Manual
NCS PEARSON, INC.
14016026 TESTING MAY 16,2014/ TESTING MAY 1
162-11-6339-00-902-4-30-000 TESTING MATERIALS 0210178816
M
3,714.93
28,637.85 Total Check:
00455426
Manual
AT & T
199-51-6259-00-888-4-99-053 UTILITIES 0210178815
M
15,777.02
3,714.93
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 0210178814
Manual
184.81
14017372 MENDIOLA ELEMENTARY
101-51-6259-00-127-4-99-010 UTILITIES 00455396
M
184.81 184.81
101-51-6259-00-126-4-99-010 UTILITIES 00455396
Manual
184.81
14017372 CORINA PENA ELEMENTARY
101-51-6259-00-124-4-99-010 UTILITIES 00455396
M
184.81
14017372 CLINTON ELEMENTARY
101-51-6259-00-123-4-99-010 UTILITIES 00455396
Manual
184.81
14017372 PAREDES ELEMENTARY
101-51-6259-00-122-4-99-010 UTILITIES 00455396
M
184.81
14017372 SEGUIN ELEMENTARY
101-51-6259-00-120-4-99-010 UTILITIES 00455396
Manual
184.81
14017372 ZAPATA ELEMENTARY
101-51-6259-00-118-4-99-010 UTILITIES 00455396
M
184.81
14017372 SAM FORDYCE ELEMENTARY
101-51-6259-00-117-4-99-010 UTILITIES 00455396
00455428
Status Description
A WASTE CONNECTIONS COMPANY
14017372 BENTSEN ELEMENTARY
101-51-6259-00-116-4-99-010 UTILITIES 00455396
00455429
Status
02
0210178812
92
14018715 LUNCH FOR 11TH GRADE STUDENTS TRAV
199-11-6412-01-010-4-11-000 STUDENT TRAVEL - SUMMER BRIDGE @ STC
163.13 163.13 163.13 283.50 283.50 220.00 220.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178817
08/18/14
1436
PIZZA OPERATING PARTNERS
0210178818
08/18/14
7520
GULF COAST PAPER CO.
Total Check: 766493
14015971 REPLACEMENT SCRAPER BLADES
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00455451
792054
14018338 TO PROVIDE CAMPUSES WITH ENTRANCE
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00455452
795791
14018338 TO PROVIDE CAMPUSES WITH ENTRANCE
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00455453
798151
14018433 Urinalsen,
780378
0210178819 00455455
08/18/14 69239983
14018493 069289 PROSECUTOR PRO 2.5 GAL. (GO
00455456
2296
00455464
5900/DR. BENAV
25615
5944
14010622 Registration fee for Abydos Litera
5945
14011219 REGISTRATION FEE NORMA GARCIA # 82
00455467
08/18/14 MS365501
28126
14018749 CONTRACTED SERVICES TO REPAIR OF 8
00455468
BBB005240-BB04
90735
BBB005240-BB04
14017743 THIS ORDER IS FOR LA JOYA HIGH SCH
84122408
14872
Manual
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
-15.00
315.00
235.00
535.00 2,385.00
2,385.00 1,000.00
248.20 1,248.20
B & H PHOTO -VIDEO
14017698 ITEMS WILL BE FOR YEARBOOK STUDENT
286-11-6397-00-007-1-30-000 TECH EQUIP FROM $500 - $ 4999.99 84117459
M
248.20
Total Check: 08/18/14
Manual
26.88
1,000.00
14017743 GAME SHORTS ADIDAS
181-36-6399-80-007-4-91-010 GENERAL SUPPLIES 0210178824
M
AMERICA TEAM SPORTS
181-36-6399-69-001-4-91-010 GENERAL SUPPLIES 00455468
Manual
1,714.25
2,385.00 Total Check:
08/18/14
1,714.25
235.00
Total Check: ALLIED FIRE PROTECTION
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178823
M
1,714.25
315.00
14006439 REGISTRATION FEE TO ATTEND ABYDOS
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 0210178822
Manual
13,050.05
-15.00
276-13-6411-00-041-4-30-000 TRAVEL - EMPLOYEES 00455462
M
ABYDOS LEARNING
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00455463
3,500.00
26.88 Total Check:
08/18/14
Manual
26.88
199-32-6411-00-901-4-99-000 TRAVEL - EMPLOYEES 0210178821
M
ABDULLAH MARINA EDINBURG, TX
7-31-2014
Manual
3,500.00
-1,730.45
Total Check: 08/18/14
1,046.00
1,632.00
Total Check: JOHN DEERE LANDSCAPES, INC
M
1,046.00
-1,730.45
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210178820
8,602.50
URINAL BLOCK WITH SCRE
14018433 Urinalsen,
22640
8,602.50
1,632.00
199-00-1310-00-000-4-00-000 INVENTORY
00455488
Status Description
503.50
URINAL BLOCK WITH SCRE
199-00-1310-00-000-4-00-000 INVENTORY 00455454
00455487
Status
02
00455450
93
14017612 SIGMA 70-300MM LENSE
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES
4,693.90 4,693.90 301.90 301.90
Total Check:
4,995.80
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455489
08/18/14 IN 2858808
38814
PRA
00455492
08/18/14 JUNE 2014
110795
JULY 2014
14009187 MILEAGE REIMBURSEMENT FOR THE PERI
AUGUST 2014
00455610
TRAVEL EXPENSE
15775
00455577
08/18/14
14017460 TESA TRAINING ON JULY 14 & 15, 201
87353
5208
Total Check: COMMERCIAL BILLING SERVICE
14014166 PERFORM AN OUT OF FRAME OVERHAUL O
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455576
87087
14015861 REMOVE & INSTALL A 3.0 FORD REBUIL
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455575
88156
14018728 15W40 CJ4 ENGINE OIL BULK BUS BARN
199-34-6319-00-972-4-99-000 SUPPLIES/MAINT & OPERATIONS 00455574
88172
14018729 REPLACE INJECTORS ON BUS 128
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455573
88032
14018730 NEED TO REPLACE EGR VALVE ON BUS 8
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455572
87803
14018000 ASAP OPEN PARTS FROM JUNE 23 THRU
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178829
08/18/14 05 821419
333
Total Check: COMMERCIAL BILLING SERVICE
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 05 821345
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455582
05 821514
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455581
05 821877
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455580
05 821955
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455579
05 056010
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455585
05 822049
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
217.84
VINCENT BELLO
162-13-6219-00-888-4-30-000 PROFESSIONAL SERVICES 0210178828
Computer
57.12 57.12
Total Check: 08/18/14
C
51.52 51.52
14009187 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178827
Computer
109.20 109.20
14009187 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00455491
C
627.04
BAZAN LAURO A.
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00455490
627.04 627.04
Total Check: 0210178826
00455583
Status Description
BARNES & NOBLE, INC.
14016802 TEXAS SUCCESS INITIATIVE MATH
286-11-6399-00-004-1-30-000 GENERAL SUPPLIES
00455584
Status
02
0210178825
94
14018582 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
1,041.25 1,041.25 1,041.25 9,400.00 9,400.00 2,350.00 2,350.00 5,625.00 5,625.00 4,015.00 4,015.00 4,380.00 4,380.00 2,240.00 2,240.00 28,010.00 57.20 57.20 975.00 975.00 133.30 133.30 244.26 244.26 68.84 68.84 -68.84 -68.84 167.84 167.84
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455578
08/18/14 05 821961
333
0210178830 00455495
08/18/14 48817685 RI
380
Total Check: CAROLINA BIOLOGICAL SUPPLY COMPANY
14011912 ITEMS WILL BE USED FOR STUDENT INS
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 0210178831
08/18/14
00455497
S1747288.001
400
S1766618.001
14017766 PF P45L112 1-1/2 PVC 45 ELBOW (PLU
S1779125.001
00455499
08/18/14 833917
10162
14018584 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178833
08/18/14
00455500
1-01-01080-0
4404
14011104 WATER SERVICES FOR THE MONTHS OF M
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 1-01-01090-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455503
1-01-01091-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455504
1-01-01092-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455505
1-01-01093-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455506
1-01-01100-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455507
1-01-01110-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455508
1-01-01130-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455509
1-01-01140-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455510
1-01-01141-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455511
1-01-01150-0
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
139.85
198.51
607.63 360.00
360.00
CITY OF LA JOYA
199-51-6259-03-956-4-99-000 UTILITIES - WATER 1-01-01081-0
C
269.27
360.00 Total Check:
Computer
1,064.88
198.51
Total Check: CHALK'S TRUCK PARTS, INC.
C
1,064.88
139.85
14018850 KN 830AA CHR FIAT SERVICE SINK FAU
199-51-6319-00-956-4-99-000 PLUMBING 0210178832
65.50 1,643.10
269.27
14018313 3SFBCGYA FLOOR BOX OUTLET COVER (E
199-51-6319-00-956-4-99-000 PLUMBING 00455496
65.50
1,064.88
Total Check: CENTRAL PLUMBING & ELECTRIC
199-51-6319-01-956-4-99-000 LIFT STATIONS/SPRINKLER 00455498
00455501
Status Description
COMMERCIAL BILLING SERVICE
14018777 ZA TP11006 SPRAY NOZZLE (GOLF-
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION
00455502
Status
02
0210178829
95
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER
120.10 120.10 116.77 116.77 248.42 248.42 63.12 63.12 171.50 171.50 1,111.93 1,111.93 119.95 119.95 255.24 255.24 539.50 539.50 109.67 109.67 165.35 165.35 126.08 126.08
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/18/14
00455512
1-01-01200-0
4404
1-01-01210-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 1-01-01211-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455515
1-01-01212-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455516
1-01-01213-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455517
1-01-01214-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455518
1-01-01220-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455519
1-01-01391-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455520
1-01-01813-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455521
1-01-01814-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455522
1-01-01815-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455523
1-01-02240-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455524
1-01-02250-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455525
1-01-02251-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455526
1-01-02252-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455527
1-01-08761-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455528
1-01-08762-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455529
1-01-08763-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455530
1-01-08764-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455531
1-01-08781-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455532
1-01-08782-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455533
Status Description
CITY OF LA JOYA
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER
00455514
Status
02
0210178833
00455513
Amount Paid Acct Amt.
Account No \ Description Bank No
1-01-08783-0
96
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER
88.50 88.50
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
129.46 129.46 88.50 88.50 526.38 526.38 224.31 224.31 449.90 449.90 72.69 72.69 88.50 88.50 140.95 140.95 118.36 118.36 116.77 116.77 91.69 91.69 165.42 165.42 241.78 241.78 312.88 312.88 131.44 131.44 207.64 207.64 171.13 171.13 130.91 130.91 1,046.30 1,046.30 133.18 133.18 125.25 125.25
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/18/14
00455534
1-01-08784-0
4404
1-01-10510-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 1-01-11111-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455537
1-01-11130-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455538
1-01-11135-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455539
1-01-11136-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455540
1-01-11137-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455541
1-01-11138-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455542
1-01-11139-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455543
1-01-11140-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455544
1-01-11141-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455545
1-01-11142-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455546
1-01-11143-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455547
1-01-11144-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455548
1-01-11145-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455549
1-01-11910-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455550
1-01-12210-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455551
1-01-12220-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455552
1-01-13810-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455553
1-01-04442-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455554
1-01-01151-0
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455555
Status Description
CITY OF LA JOYA
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER
00455536
Status
02
0210178833
00455535
Amount Paid Acct Amt.
Account No \ Description Bank No
1-01-18781-0
97
14011104 WATER SERVICES FOR THE MONTHS OF M
199-51-6259-03-956-4-99-000 UTILITIES - WATER
172.98 172.98
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
124.17 124.17 88.68 88.68 89.56 89.56 116.77 116.77 146.93 146.93 119.95 119.95 126.30 126.30 2,910.79 2,910.79 119.95 119.95 1,013.95 1,013.95 195.43 195.43 131.59 131.59 126.82 126.82 125.25 125.25 132.11 132.11 7,816.47 7,816.47 341.40 341.40 126.24 126.24 1,380.10 1,380.10 116.77 116.77 151.70 151.70
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210178833
08/18/14
00455556
1-01-01222-22
4404
CITY OF LA JOYA
14011104 WATER SERVICES FOR THE MONTHS OF M
Total Check: 08/18/14
00455561
1-02-00135-00
4404
1-02-00140-00
14011105 WASTE SERVICES FOR THE MONTHS OF J
1-02-00145-00
1-02-00150-00
1-02-00155-00
1-02-00160-00
1-02-00165-00
1-02-00170-00
14011105 WASTE SERVICES FOR THE MONTHS OF J
1-02-00175-00
14011105 WASTE SERVICES FOR THE MONTHS OF J
1-02-00180-00
1-02-00185-00
1-02-00190-00
1-02-00195-00
1-02-00200-00
1-02-00205-00
00455588
08/18/14 S003346195.001
101516
S002862198.004
Total Check: CRAWFORD ELECTRIC SUPPLY CO. INC.
14018469 ADV ASB2448446BLTPI 120V PLS BALLA
S003360480.001
22025
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
D & R GLASS ETC. INC.
-152.72
328.14 328.14
Total Check: 08/18/14
Computer
347.34
-152.72
14018489 P&S SMOOTH 302SS 1G BLANKCOVER (EL
199-51-6319-00-956-4-99-000 PLUMBING 0210178836
C
19,774.60
347.34
14010536 P&S 3867 PLUG 50A125/250V ANGLE
199-51-6319-02-956-4-99-000 ELECTRICAL 00455586
Computer
744.75 744.75
199-51-6319-00-956-4-99-000 PLUMBING 00455587
C
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 0210178835
Computer
5,213.50 5,213.50
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455563
C
770.40 770.40
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455562
Computer
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455564
C
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455565
Computer
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455566
C
1,489.50 1,489.50
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455567
Computer
2,234.25 2,234.25
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455568
C
1,489.50 1,489.50
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455569
Computer
1,489.50 1,489.50
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455570
C
385.20 385.20
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455558
Computer
1,489.50 1,489.50
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455557
C
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455571
Computer
744.75 744.75
14011105 WASTE SERVICES FOR THE MONTHS OF J
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455559
C
25,102.65
CITY OF LA JOYA
199-51-6259-04-956-4-99-000 UTILITIES - SOLID WASTE 00455560
1,479.17 1,479.17
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210178834
98
522.76
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455589
08/18/14 94113
22025
00455590
08/18/14 261805
18896
00455591
08/18/14
14000899 RENTAL OF XEROX W3550 DIGITAL COPI
27969
20032
14018758 Will offer professional, faithful
00455595
XJDCK9737
9529
DELL MARKETING
XJD2T87W5
14011247 EACH ITEM WILL BE FOR STAFF DEVELO
XJJ5PRD42
XJD95JRC4
14014496 FOR STAFF DEVELOPMENT:
00455596
231538
88935
00455597
08/18/14 0051
14018173 LARGE PIZZAS FOR AFTER SCHOOL ENRI
42307
Total Check: EXCLUSIVE DECALS & SCREENPRINTING
14018854 THE FOLLOWING ITEM IS UNIFORMS FOR
00455604
08/18/14 14081
4849
Total Check: FLORES NURSERY & FLORAL
14018855 General Session - Aug. 20, 2014 -
14081
14018855 Stage Set up
14081
08046121
3945
08057885
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
14018456 BREAKFAST
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00455476
08057962
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
122.75 16,640.00
16,640.00 3,728.00
7,518.00
LABATT FOOD SERVICE
101-35-6341-01-958-4-99-000 FOOD 00455475
122.75
1,065.00
101-35-6341-00-958-4-99-000 FOOD 08046121
Computer
1,065.00
Total Check: 08/18/14
C
122.75
2,725.00
14018855 arches
199-21-6497-00-845-4-99-000 AWARDS & INCENTIVES 0210178843
Computer
2,725.00
199-21-6399-00-845-4-99-000 GENERAL SUPPLIES 00455604
C
918.95
3,728.00
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 00455604
Computer
99.99
16,640.00
199-34-6149-00-972-4-99-000 OTHER EMP BENEFITS 0210178842
C
-818.96
DOMINO'S PIZZA
276-11-6498-00-041-4-30-000 FOOD AND NON FOOD RELATED COSTS 0210178841
Computer
818.96
99.99 Total Check:
08/18/14
C
818.96
-818.96 EACH PHD
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES 0210178840
Computer
1,350.00
818.96
14011247 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6397-27-830-4-30-010 TECH EQUIP FROM 500-4999.99 00455592
C
1,350.00
818.96
14011247 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6397-27-830-4-30-010 TECH EQUIP FROM 500-4999.99 00455593
Computer
L.P.
162-13-6397-27-830-4-30-010 TECH EQUIP FROM 500-4999.99 00455594
C
122.25
1,350.00 Total Check:
08/18/14
Computer
122.25 122.25
Total Check: DAVILA & ASSOCIATES, INC.
199-21-6299-00-845-4-99-000 MISC CONTRACTED SERVICES 0210178839
C
65.00
DAHILL INDUSTRIES
199-12-6269-00-004-4-99-000 RENTALS-OPERATING LEASES 0210178838
65.00 65.00
Total Check: 0210178837
00455474
Status Description
D & R GLASS ETC. INC.
14017046 MONTH WINDSHIELD /GLASS REPAIR ON
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR
00455474
Status
02
0210178836
99
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
15,659.22 15,659.22 28,770.30 28,770.30 13,857.60 13,857.60 23,648.65
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455476
08/18/14 08057962
3945
Status Description
LABATT FOOD SERVICE
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
08057962
14018456 BREAKFAST
08060099
8,880.90
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
08060099
14018456 BREAKFAST
08060100
1,048.84
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
08060100
14018456 PAPER / PLASTIC PRODUCTS
08068893
08073028
-166.70
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
00455478
08/18/14 4429440814
4253
Total Check: LAKESHORE LEARNING MATERIALS
14018291 CUSHION SOFA SEATS (SET OF 6)
224-11-6395-00-127-4-23-000 FURNITURE & EQUIP COST < $500.00 Total Check: 0210178845 00455480
08/18/14 2244
82899
00455486
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00455481
99999
SCHOLARSHIP
LJISD SUPERINTENDENT'S GOLF CLASSI
SCHOLARSHIP
00455466
08/18/14 96876982
11011
96740455
Total Check: ALL AMERICAN SPORTS CORP.
14018268 THIS ORDER IS FOR ARMS FOOTBALL. C
695766
36056
C
Computer
C
Computer
C
Computer
C
Computer
1,515.00 500.00
500.00 -1,000.00 CV Computer Void
1,000.00 C
Computer
C
Computer
C
Computer
C
Computer
.00 447.50
233.50 233.50
Total Check: 08/18/14
Computer
1,515.00
447.50
14007514 ORDER FOR PALMVIEW SOFTBALL, PRACT
181-36-6399-80-007-4-91-010 GENERAL SUPPLIES 0210178849
C
189.96
1,000.00
181-36-6399-68-045-4-91-010 GENERAL SUPPLIES 00455465
189.96
-1,000.00
LJISD SUPERINTENDENT'S GOLF CLASSI
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178848
Computer
LOPEZ ASHLEY NICOLE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 00455481
C
189.96
500.00 Total Check:
08/19/14
Computer
ASHLEY M. TERRAZAS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178847
C
131,610.78
1,515.00 Total Check:
08/18/14
Computer
LEAD4WARD, LLC
14017263 NEW STAAR FIELD GUIDE CAMPUS BUNDL
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES 0210178846
C
-60.14 -60.14
101-35-6341-00-958-4-99-000 FOOD 0210178844
Computer
-166.70
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00455471
C
3,278.95 3,278.95
101-35-6342-00-958-4-99-000 NON-FOOD 00455472
Computer
35,421.65 35,421.65
101-35-6341-00-958-4-99-000 FOOD 00455469
C
1,048.84
101-35-6341-01-958-4-99-000 FOOD 00455473
Computer
1,271.51 1,271.51
101-35-6341-00-958-4-99-000 FOOD 00455470
C
8,880.90
101-35-6341-01-958-4-99-000 FOOD 00455477
23,648.65 23,648.65
101-35-6341-00-958-4-99-000 FOOD 00455476
00455484
Status
02
0210178843
100
681.00
ROSSY FLORERIA
14018796 August 2014 Graduation Ceremony Au
3,500.00 3,500.00
199-11-6499-01-015-4-99-010 GRADUATION EXP - CCC Total Check:
3,500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455620
08/18/14 005145
2924
Status Description
SAM'S CLUB DIRECT
14017367 FOOD FOR CATERING REQUESTS FOR THE
005145
14017367 PAPER / PLASTIC PRODUCTS
009241
14017367 FOOD FOR CATERING REQUESTS FOR THE
009241
14017367 PAPER / PLASTIC PRODUCTS
00455618
008275
14018500 GRANOLA BARS
008276
14018567 M&MS CANDY BAGS (SMALL) FOOD WILL
286-13-6498-00-007-1-30-000 FOOD AND NON FOOD RELATED COSTS 00455616
006667
14018085 FRESH FRUIT FOR J/L HS (NEEDED FOR
286-13-6498-00-004-1-30-000 FOOD AND NON FOOD RELATED ITEMS 00455617
008250
14018897 WATER FOR INSERVICE DAY MEETINGS
Total Check: 00455621
08/18/14 105-4581
1618
14016947 EACH "AMBER HOUSE #1" READING BOOK
08/18/14 208112486014
1630
208112518741
208112510176
208112627019
14017600 4oz. GLITTER GOLD
08/18/14 REG-1400278
REG-1388753
REG-1400308
REG-1401033
14018197 EARLY REGISTRATION FEE FOR DIFFERE
20140801
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
38,250.00
38,250.00
1,242.00 598.00
598.00 598.00
14018197 EARLY REGISTRATION FEE FOR DIFFERE
598.00 598.00
14018197 EARLY REGISTRATION FEE FOR DIFFERE
104345
C
4,613.11
598.00
598.00 598.00
Total Check: 08/18/14
Computer
SDE, INC
14018197 EARLY REGISTRATION FEE FOR DIFFERE
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 0210178854
C
132.29
1,138.50
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 00455627
Computer
1,138.50
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 00455628
755.28
-381.00
14017600 4oz. GLITTER GOLD
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 00455626
C
-381.00
14017600 4oz. GLITTER GOLD
112410
Computer
103.50
Total Check: 00455629
C
755.28
103.50
199-00-1310-00-000-4-00-000 INVENTORY 0210178853
405.97
381.00
199-00-1310-00-000-4-00-000 INVENTORY 00455625
Computer
381.00
199-00-1310-00-000-4-00-000 INVENTORY 00455624
C
SCHOOL SPECIALTY INC.
14017600 4oz. GLITTER GOLD
199-00-1310-00-000-4-00-000 INVENTORY 00455622
Computer
405.97
38,250.00 Total Check:
00455623
C
SCHOLASTIC INC.
162-11-6329-27-831-4-30-010 READING MATERIALS 0210178852
1,138.27
132.29
199-23-6498-00-028-4-99-000 FOOD AND NON FOOD COSTS 0210178851
Computer
1,138.27
286-13-6498-00-007-1-30-000 FOOD AND NON FOOD RELATED COSTS 00455615
C
131.76 131.76
101-35-6342-00-958-4-99-000 NON-FOOD
Computer
1,125.45 1,125.45
101-35-6341-03-958-4-99-000 FOOD 00455619
C
69.00 69.00
101-35-6342-00-958-4-99-000 NON-FOOD 00455619
855.09 855.09
101-35-6341-03-958-4-99-000 FOOD 00455620
00455630
Status
02
0210178850
101
2,392.00
SEARS TIMOTHY J.
14018538 CONSULTANTS SEVICES FOR EFFECTIVE
162-13-6291-54-830-4-30-010 CONSULTANT SERVICES
1,500.00 1,500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178854
08/18/14
104345
SEARS TIMOTHY J.
0210178855
08/18/14
109096
Total Check: SEIDLITZ EDUCATION LLC
8086
14018662 NAVIGATING IN THE ELPS (PAPERBACK
172-13-6329-39-860-4-25-010 READING MATERIALS
Status Description
0210178856 00455632
08/18/14 883478
12465
00455633
08/18/14
14018501 DUST MOP TREATMENT MSDS
2014-008229
101354
Total Check: SHARON WELLS MATHAMATICS CURRICULUM, INC
14017874 CONSULTANT SERVICES TO TRAIN TEACH
00455634
1837408
20615
00455635
08/18/14
14000112 YEAR FUEL USAGE FOR TRANSPORTATION
GB00115170
17715
GB00120880
Total Check: SHI GOVERNMENT SOLUTIONS
14017537 ERGOTRON LX SIDE-BY-SIDE ARM MOUNT
00455642
401
68624
14018719 District General Session - August
00455613
42947
102121
14017539 CONTRACTED MAINT & REPAIR SERVICES
Total Check: 00455637
08/18/14 1-12223
21707
00455638
5867
21714
00455647
08/18/14
14016085 XTREME-TEK POLO LADIES (TEAL) W/LO
200001828
1773
Total Check: TX ELEM. PRINCIPALS & SUPERVISORS ASSN
14016521 REGISTRATION FEE FOR ALICIA GUTIER
199-23-6411-00-127-4-99-000 TRAVEL - EMPLOYEES 0210178865
08/18/14 75557
17396
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
4,400.00
4,400.00 1,585.00 1,585.00 1,585.00 400.00
400.00
T-SHIRT EXPRESS
199-23-6497-00-104-4-99-000 AWARDS & INCENTIVES 0210178864
C
1,670.00
400.00 Total Check:
08/18/14
Computer
1,445.00
SWIFT SOLUTIONS
14016519 REGISTRATION FEE FOR EDNA TREVINO,
162-31-6411-00-015-4-30-000 TRAVEL-EMPLOYEE 0210178863
C
225.00
GARCIA JESUS NOE
101-35-6249-00-117-4-99-010 CONTRACTED MAINT & REPAIR 0210178862
Computer
213.15
4,400.00 Total Check:
08/18/14
C
213.15
TMFC-STATE FARM ARENA
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 0210178861
Computer
1,450.00
1,445.00 Total Check:
08/18/14
C
1,450.00
225.00
14017338 2 GB PC3-10600 CL9 1333 LP DDR 240
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 0210178860
Computer
178.97
213.15
199-12-6399-00-888-4-99-000 GENERAL SUPPLIES 00455636
C
SHELL FLEET PLUS
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210178859
Computer
178.97
1,450.00 Total Check:
08/18/14
C
6,462.15
178.97
162-13-6291-00-109-4-30-000 CONSULTING SERVICES 0210178858
6,462.15
SHARE CORPORATION
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 0210178857
1,500.00
6,462.15 Total Check:
00455639
Status
02
00455631
102
Total Check: THE UNIVERSITY OF TEXAS - PAN AMERICAN
14014473 REGISTRATION FEE FOR CARLOS CARO (
1,080.00 1,080.00 1,080.00 359.00 359.00 359.00 550.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455639
08/18/14 75557
17396
Status Description
THE UNIVERSITY OF TEXAS - PAN AMERICAN
14014473 REGISTRATION FEE FOR CARLOS CARO (
286-13-6411-00-004-1-30-000 TRAVEL - EMPLOYEES 0210178866 00455641
08/18/14 2134687-IN
15149
0210178867 00455643
08/18/14
Total Check: THE WALK THE TALK COMPANY
14018722 SERVE RIGHT BOOK - BOOKS NEEDED FO
1020007617
58211
14018692 RENTAL OF 40 TON TRUCK CRANE (3 HO
00455611
08/18/14 JUNE 2014
9419
MAY 2014
14000622 MILEAGE REIMBURSMENT FOR THE YEAR
08/18/14 891570
107832
00455640
08/18/14 75739
00455649
08/18/14 75563
75563
885.00
Total Check: UTPA CENTER FOR CONTINUING EDUCATION
14017942 PORTIA ABAD#113530 TO ATTEND THE A
00455485
2354
PHILIDELPHIA, PA
7-9-2014
00455605
08/18/14 001525
2123
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00455607
008683
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00455606
003544
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 0210178874
08/18/14 001907
55891
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
550.00
550.00
1,100.00
VILLARREAL SANDRA
199-21-6411-34-869-4-21-000 TRAVEL - EMPLOYEES 0210178873
C
885.00
550.00 Total Check:
08/18/14
885.00
550.00
14017288 REGISTRATINO FEE FOR MARIO RIVERA
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210178872
Computer
15.00
14018723 FEE FOR 11TH GRADE STUDENTS TRAVEL
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 00455648
C
29.12
15.00
12502
Computer
5.04
15.00
199-11-6412-01-010-4-11-000 STUDENT TRAVEL - SUMMER BRIDGE @ STC 0210178871
C
24.08
Total Check: THE UNIVERSITY OF TEXAS- PAN AMERICAN
16521
Computer
RAMIREZ ALLAN
14018767 SEW ON PATCHES ON SHIRTS FOR (R. C
199-52-6299-00-993-4-99-000 MISC CONTRACTED SERVICES 0210178870
C
243.00
5.04 Total Check:
00455614
Computer
243.00
24.08
14000622 MILEAGE REIMBURSMENT FOR THE YEAR
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 0210178869
C
1,298.55
DIANA I TORREZ
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 00455612
Computer
1,298.55
243.00 Total Check:
C
550.00
1,298.55
Total Check: TNT CRANE & RIGGING, INC.
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 0210178868
550.00 550.00
199-41-6329-00-942-4-99-000 READING MATERIALS
00455608
Status
02
0210178865
103
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14018804 MEASURING TAPE /MEETING: BILINGUAL
141.77 141.77 141.77 127.65 127.65 29.06 29.06 48.82 48.82 205.53 130.12
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455608
08/18/14 001907
55891
006633
00455650
08/18/14 8058406667
8018
14013946 BOREAL2 DIGITAL MICROSCOPE HM SERI
Total Check: 00455651
08/18/14 108316
112950
14015663 Software and CD for Science Labs;
00455652
JUNE 2014
114480
JULY 2014
14018277 MILEAGE FOR THE MONTH OF JUNE - AU
AUG. 2014
00455460
15445
16905
15446
14017989 NEED TO REPAIR FIRE ALARM GROUND F
15444
15509
15508
00455493
JUNE 2014
17035
JULY 2014
14001098 Mileage for the 2013-2014 school y
14001098 Mileage for the 2013-2014 school y
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 0210178880
08/18/14 2101210709
6553
Total Check: EXQUISITA TORTILLAS, INC.
14017355 TORTILLA PRODUCTS FOR LUNCH FOR TH
101-35-6341-00-699-4-99-010 FOOD 2101210709
14017355 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00455602
2101210710
Computer
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
1,379.27
1,379.26
1,073.83
75.00
5,286.63
CANTU BLANCA E.
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00455494
C
1,379.27
75.00 Total Check:
08/18/14
Computer
57.96
1,073.83
14017986 NEED TO REPAIR FIRE PANEL @ JUAREZ
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178879
C
28.56
1,379.26
14017374 NEED TO REPLACE FIRE ALARM POWER S
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455461
Computer
5.60
1,379.27
14017988 NEED TO REPLACE TWO POWER SUPPLIES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455459
C
23.80
1,379.27
14017990 NEED TO REPAIR FIRE ALARM TROUBLES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455458
Computer
1,049.73
ABSOLUTE SERVICES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455457
C
1,049.73
28.56 Total Check:
08/18/14
Computer
1,581.00
5.60
14018277 MILEAGE FOR THE MONTH OF JUNE - AU
162-61-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 0210178878
1,581.00
23.80
14018277 MILEAGE FOR THE MONTH OF JUNE - AU
162-61-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 00455654
C
1,581.00
YBARRA ALMA
162-61-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 00455653
Computer
214.02
1,049.73 Total Check:
08/18/14
C
WESTED
211-11-6399-54-832-4-30-010 GENERAL SUPPLIES 0210178877
Computer
WARD'S SCIENCE
152-11-6398-00-007-4-22-010 FURN & NON-TECH EQUIP-$500 TO $4,999 0210178876
C
83.90 83.90
Total Check: 0210178875
130.12 130.12
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD
00455601
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14018804 MEASURING TAPE /MEETING: BILINGUAL
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 00455609
00455603
Status
02
0210178874
104
14017355 TORTILLA PRODUCTS FOR LUNCH FOR TH
132.72 132.72 83.44 83.44 216.16 16.00 16.00 16.00 16.00 8.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455602
08/18/14 2101210710
6553
2101210710
2101210887
2101210887
8.00
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
2101210889
2101210889
41.60
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
2101210890
14018377 BREAKFAST
2101210890
12.80
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
00455479
14018292
16996
24.00
14018292 RELAXABLE SQUEEZEABLE HEARTS WITH
08/18/14 111913
1519
111933
14009483 Consultant services from Region On
211-13-6239-51-844-4-30-000 EDUCATION SERVICE CENTER SERVICES 0210178883 00455646
08/18/14 4001
13502
Total Check: TRAVEL ADVISORS INTERNATIONAL
14008826 HOTEL STAY 5 DAYS 4 NIGHTS FOR RON
199-23-6411-00-015-4-30-000 TRAVEL EMPLOYEES 00455645
4200
14016317 TRAVEL FOR DIFFERENCIATED INSTRUCT
199-23-6411-00-048-4-99-000 TRAVEL - EMPLOYEES 00455644
4199
14016607 TRAVEL DIFFERENCIATED INSTRUCTION
172-13-6411-00-048-4-25-000 TRAVEL - EMPLOYEES 0210178884 00455760
08/19/14 1435138
86037
Total Check: ADVANCE PIERRE FOODS, INC.
14018579 BEEF CHARBROILED MEATBALLS 960/CT.
101-35-6344-00-958-4-99-000 USDA DONATED COMMODITIES 0210178885
08/19/14 3868013-0
111058
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14017716
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 3862236-0
14016989 crayola classpack markers
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 00455748
3859597-0
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
C
Computer
C
Computer
C
Computer
452.00
452.00
REGION ONE ESC
14013460 SCHOOL NURSE EDUCATION CONFERENCE
199-33-6239-00-120-4-99-000 EDUCATION SVC CENTER SVCS 00455482
A
204.80
452.00 Total Check:
00455483
ACH
LAMAC INC.
199-23-6497-44-116-4-99-000 AWARDS & INCENTIVES 0210178882
A
24.00
Total Check: 08/18/14
ACH
24.00 24.00
14018377 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 0210178881
A
12.80
101-35-6341-00-958-4-99-000 FOOD 00455600
ACH
12.80 12.80
101-35-6341-01-958-4-99-000 FOOD 00455600
A
41.60
101-35-6341-00-958-4-99-000 FOOD 00455599
ACH
41.60 41.60
14018377 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00455599
A
8.00
101-35-6341-00-958-4-99-000 FOOD 00455598
8.00 8.00
14017355 BREAKFAST
101-35-6341-01-699-4-99-010 FOOD COSTS 00455598
00455747
Status Description
EXQUISITA TORTILLAS, INC.
14017355 TORTILLA PRODUCTS FOR LUNCH FOR TH
101-35-6341-00-699-4-99-010 FOOD 00455602
00455746
Status
02
0210178880
105
14016757
120.00 120.00 10,000.00 10,000.00 10,120.00 829.84 829.84 1,974.40 1,974.40 3,687.20 3,687.20 6,491.44 19,709.00 19,709.00 19,709.00 167.95 167.95 807.09 807.09 188.66
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455748
08/19/14 3859597-0
111058
188.66
3858711-0
188.66
14016479 ZEBRA ENS ASSORTED
3873120-0
176.62
14018132 ECONOMY WOOD RULER
3873130-0
123.31
3892480-0
95.80
14018711 BINDERS 3 RNG 1" MINI BLACK
ITEMS
3886476-0
3870820-0
362.99
14018129 ITEMS FOR ELEMENTARY INSTITUTE ON
3870768-0
14018352 items for Elementary Institute Tra
3873184-0
14017855
ITEMS FOR SUMMER SCHOOL SCIENCE
3873173-0
14017855
ITEMS FOR SUMMER SCHOOL SCIENCE
3879705-0
14017855
ITEMS FOR SUMMER SCHOOL SCIENCE
3892562-0
14018736 FOR OFFICE USE
QUOTE # 3892562 IT
00455755
08/19/14 80777
20019
Total Check: INTERSTATE BATTERIES OF TEXAS VALLEY
14018406 THIS ORDER IS FOR LA JOYA HS TRAIN
Total Check: 00455756
08/19/14 124343
4048
14018472 General Session - Aug. 20, 2014 Di
Total Check: 00455757
08/19/14 29186842
14234
14015273 NO18795 (9) 33RL (RS) GYM GRILLES
08/19/14 1334
9409
Total Check: 08/19/14 JUNE 2014
5900
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
122.96 3,770.00 3,770.00 3,770.00 13,500.00
13,500.00 325.77 325.77 325.77
MARTINEZ MARIA C.
14000163 Mileage for Duties performed for t
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES JULY 2014
Computer
LONGHORN BUS SALES
14018655 R&R LEAF SPRING ON BUS UNIT 438 RT
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 0210178890
C
122.96
13,500.00 Total Check:
00455763
Computer
JOHNSON SUPPLY
199-51-6319-00-956-4-99-000 PLUMBING 0210178889
C
IRMA'S SWEETE SHOPPE
199-21-6498-00-845-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178888
Computer
8,097.47
122.96
181-36-6399-01-001-4-91-010 GENERAL SUPPLIES 0210178887
C
594.92 594.92
199-34-6399-01-972-4-99-000 GENERAL SUPPLIES 0210178886
Computer
1,981.65 1,981.65
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455749
C
93.90 93.90
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455740
Computer
272.96 272.96
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00455741
C
731.62 731.62
172-13-6399-54-832-4-25-010 GENERAL SUPPLIES 00455742
Computer
1,000.00 1,000.00
172-13-6399-54-832-4-25-010 GENERAL SUPPLIES 00455743
C
362.99
14018179
224-11-6399-00-126-4-23-000 GENERAL SUPPLIES 00455744
Computer
1,500.00 1,500.00
199-36-6399-00-839-4-99-000 GENERAL SUPPLIES 00455745
C
95.80
14018131 FILE FOLDER LIME
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00455752
Computer
123.31
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00455751
C
176.62
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 00455750
00455656
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
14016757
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 00455739
00455655
Status
02
0210178885
106
14000163 Mileage for Duties performed for t
6.72 6.72 134.96
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455656
08/19/14 JULY 2014
5900
00455660
08/19/14
69396
08-03-2014
SAN ANTONIO TEXAS
00455764
99999
357.86
LJISD GOLF SCHOLARSHIP- PERFECT AT
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
00455663
LJHS/08-2014
2370
14018834 THIS ORDER IS FOR LA JOYA HS: MISS
08/19/14 JLHS/08-2014
2370
00455667
16059
06-24-2014
00455668
08/19/14
SAN ANTONIO TEXAS
23840
8832
23840
00455670
08/19/14
Total Check: NATIONAL EDUCATIONAL SYSTEMS, INC.
14018037 SMART START-HANDWRITING SERIES - S
187002
00455671
08/19/14 678500
29,751.57
14017870 2015 BASEBALL RULE BOOK VARIANT
547.47 547.47
Total Check: NICHO PRODUCE CO. INC.
14017438 PRODUCE ITEMS FOR LUNCH FOR THE MO
101-35-6341-00-699-4-99-010 FOOD 00455672
678501
678353
JLHSGIRL/8-30-
14598
Computer
C
Computer
C
Computer
C
Computer
C
Computer
100.90
105.50 251.20
ROWE H.S.
14018836 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS JLHSBOY/08-30-
C
105.50
Total Check: 08/19/14
Computer
44.80
100.90
14017438 CATERING
101-35-6341-03-958-4-99-000 FOOD 0210178899
C
547.47
44.80
14017438 PRODUCE ITEMS FOR LUNCH FOR THE MO
101-35-6341-00-699-4-99-010 FOOD 00455673
Computer
29,751.57
32,246.10
108944
C
2,494.53
Total Check: NFHS NATL FED OF HIGH SCHOOL
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 0210178898
Computer
268.41
2,494.53
14018037 DOUBLE-SIDED MAGNETIC TABLETOP POC
6674
C
200.00
268.41
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 0210178897
Computer
268.41
172-13-6329-39-860-4-25-010 READING MATERIALS 00455668
C
MUNOZ CLAUDIA
162-13-6411-31-832-4-30-010 EMPLOYEE TRAVEL 0210178896
Computer
200.00 200.00
Total Check: 08/19/14
C
200.00
MISSION C.I.S.D.
14018835 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178895
Computer
200.00 200.00
Total Check: 00455664
C
500.00
MISSION C.I.S.D.
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178894
Computer
500.00 500.00
Total Check: 08/19/14
C
357.86
LOPEZ ASHLEY NICOLE
SCHOLARSHIP
0210178893
Computer
357.86
Total Check: 08/19/14
C
141.68
MAYES CORY
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210178892
134.96 134.96
Total Check: 0210178891
00455737
Status Description
MARTINEZ MARIA C.
14000163 Mileage for Duties performed for t
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES
00455738
Status
02
0210178890
107
14018836 THIS ORDER IS FOR JUAREZ-LINCOLN H
150.00 150.00 150.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455737
08/19/14 JLHSBOY/08-30-
14598
00455674
08/19/14
6141
08-03-2014
SAN ANTONIO TEXAS
1422-423282
21748
44.09
14018685 HEAVY DUTY FLOOR MATS FOR FORD F-1
14013451 ASAP OPEN PARTS
PCM1017558
14014324 ASAP OOPEN PARTS FOR APRIL 14 THRU
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455679
2143-403499
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455680
2143-403805
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455681
2143-403806
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455682
2143-403874
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455683
2143-404184
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455684
2143-404196
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455685
2143-404241
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455686
2143-404295
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455687
2143-404292
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455688
2143-404331
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455689
2143-406826
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455690
2143-404540
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455691
2143-404708
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455692
2143-404714
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455693
2143-404891
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
C
Computer
796.06 796.06
FOR MARCH 31 THRU
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455678
C
44.09
O'REILLY AUTO PARTS
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES PCM1017558
Computer
44.09
Total Check: 08/19/14
C
300.00
O'CANA ANTONIO III
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210178901
150.00 150.00
Total Check: 0210178900
00455677
Status Description
ROWE H.S.
14018836 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
00455675
Status
02
0210178899
108
-84.98 -84.98 -49.39 -49.39 143.89 143.89 25.86 25.86 20.92 20.92 98.44 98.44 11.58 11.58 11.58 11.58 37.34 37.34 -37.34 -37.34 33.96 33.96 395.69 395.69 -395.69 -395.69 27.67 27.67 165.64 165.64 31.43 31.43 18.44 18.44
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/19/14 2143-406824
21748
2143-406066
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455696
2143-406505
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455697
2143-406827
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455698
2143-406830
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455699
2143-407350
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455700
2143-406961
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455701
2143-407229
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455702
2143-407370
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455703
1422-423044
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455704
1422-423063
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455705
1422-423066
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455706
1422-423180
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455707
1422-423240
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455708
1422-423402
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455709
1422-423776
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455710
1422-423975
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455711
1422-423858
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455712
1422-423944
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455713
1422-423954
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455714
1422-423953
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455715
Status Description
O'REILLY AUTO PARTS
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455695
Status
02
0210178901 00455694
Amount Paid Acct Amt.
Account No \ Description Bank No
1422-423956
109
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
-18.44 -18.44
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14.67 14.67 487.15 487.15 395.69 395.69 12.99 12.99 -12.99 -12.99 142.99 142.99 -10.00 -10.00 5.99 5.99 234.86 234.86 236.52 236.52 189.89 189.89 10.74 10.74 715.73 715.73 43.70 43.70 186.83 186.83 -20.00 -20.00 488.60 488.60 158.36 158.36 -119.31 -119.31 52.10 52.10 -15.28 -15.28
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455676
08/19/14 1422-423995
21748
Status Description
O'REILLY AUTO PARTS
14018594 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
00455716
08/19/14 JULY 2014
102458
14012213 MILEAGE REIMBURSMENT FOR ANA DALIA
00455717
13193
57797
14000404 Diagnostic & Development Services
00455718
AUG. 2014
74918
14018595 CONSULTANT WILL PROVIDE TECHNICAL
08/19/14 4454727
16162
00455733
08/19/14 460842
6926
Total Check: PETROLEUM SOLUTIONS, INC.
14017971 MONTH REPAIR OF DIESEL / GASOLINE
Total Check: 00455734
08/19/14 05011862
4918
00455766
08/19/14
14016050 AW-21 GOLD DELUXE ACRYLIC TORCH(PE
34669
36153
00455767
08/19/14
14001506 ADMINISTRATIVE FEES FOR LA JOYA IS
JLHS/8-30-2014
1545
00455762
08/19/14 94929595
14018841 THIS ORDER IS FOR JUAREZ-LINCOLN H
13697
94897257
14018599 ASAP OPEN PARTS FOR AUG 4 THRU AUG
08/19/14 129667
2065
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
172.72 1,980.48
1,980.48 537.50
537.50 100.00
100.00 629.23 629.23
14018744 VALVE ASSY-TIRE PRESS 1059SA 16" S
101-35-6319-00-958-4-99-010 SUPPLIES/MAINT & OPERATIONS 0210178911
172.72
100.00
Total Check: INTERSTATE BILLING SERVICE
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455761
C
172.72
537.50
Total Check: RGCCISD ATHLETIC DEPT.
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178910
Computer
1,130.33
1,980.48
Total Check: REGIONS BANK ATTN: DOUG MILNER
599-71-6599-00-999-4-99-000 OTHER DEBT SERVICE FEES 0210178909
C
POSITIVE PROMOTIONS
199-11-6497-00-108-4-11-000 AWARDS & INCENTIVES 0210178908
Computer
1,130.33 1,130.33
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 0210178907
C
3,000.00
NCS PEARSON, INC.
14018475 PLS 5 SPANISH (ALL ITEMS ARE NEEDE
224-31-6339-00-871-4-23-000 TESTING MATERIALS 0210178906
Computer
3,000.00 3,000.00
Total Check: 00455669
C
37,020.32
PALACIOS MARIA M
162-23-6291-60-109-4-30-010 0210178905
Computer
37,020.32 37,020.32
Total Check: 08/19/14
C
141.40
ORGANIZATIONAL HEALTH
211-23-6291-50-845-4-30-010 CONSULTANT SERVICES 0210178904
Computer
141.40 141.40
Total Check: 08/19/14
C
4,440.88
OLIVEIRA ANA DALIA
286-21-6411-00-004-1-30-000 TRAVEL - EMPLOYEES 0210178903
8.99 8.99
Total Check: 0210178902
00455768
Status
02
0210178901
110
Total Check: VALLEY EAR, NOSE & THROAT SPECIALISTS,PA
14005284 AUDIOLOGICAL EVALUATION NEEDED FOR
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES
384.80 384.80 1,014.03 268.00 268.00
Total Check:
268.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455753
08/19/14
17854
06-21-14
Status Description
GUZMAN REBECCA ATTEND THE MODEL SCHOOLS CONF.
Total Check: 0210178913 00455754
08/19/14 JULY 2014
16684
00455759
08/19/14
14000152 MILEAGE FOR J/L HS(ELOUISA F. HORN
244397
12513
244715
14018563 3528023 BX-108 FAN BELT (AIR-720)
08/19/14
00455659
01-184824-00
107034
01-324455-00
14010141 12' BLACK STAR GRANITE/ FORMAICA F
01-324462-00
00455661
08/19/14 513306
1282
512392
14016931 LAWN EQUIPMENT REPAIRS FOR THE MON
00455735
1472
00455665
08/19/14
M138680
10151
14018714 AIRTIME FOR PORTABLE RADIO FOR J/L
00455719
8291
14018657 KENWOOD KNB-52N BATTERY FOR TK-480
95664
10478
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
14018795 10G05 28-70-10G05-LL-26 SARGENT OF
1434
5,748.00 198.00
620.00
818.00
PALMVIEW DOORS 2,548.00 2,548.00 Total Check:
08/19/14
A
1,316.74
620.00
199-51-6319-00-956-4-99-000 PLUMBING 0210178920
ACH
802.08
198.00
Total Check: 08/19/14
A
514.66
1,439.00
Total Check: MOBILE RELAY PARTNERS, LTD
199-52-6399-00-902-4-99-000 GENERAL SUPPLIES 0210178919
ACH
1,439.00
199-51-6259-00-004-4-99-000 UTILITIES 00455666
A
2,615.24
4,309.00
20039
AIR0033804
1,199.60
4,309.00
19986
199-41-6499-00-989-4-99-000 MISC OPERATING COSTS 0210178918
ACH
PROGRESS TIMES
199-41-6499-00-989-4-99-000 MISC OPERATING COSTS 00455736
A
1,199.60
802.08 Total Check:
08/19/14
ACH
1,199.90
514.66
14018497 18" LOOP 3/8 .050 PICCO CHAIN (GRO
199-51-6319-00-956-4-99-000 PLUMBING 0210178917
A
899.50
215.74
Total Check: MISSION AUTO ELECTRIC, INC.
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455662
ACH
215.74
14018496 6" X 24" STRR UP
199-51-6319-00-956-4-99-000 PLUMBING 0210178916
A
749.50
1,199.90
14018474 90 LB ROOFING FELT (LUMB-135)
199-51-6319-99-956-4-99-000 SUPPLIES/MAINT& OPERATIONS 00455658
ACH
150.00
749.50
Total Check: MATTS BUILDING MATERIALS INC.
152-11-6399-01-004-4-22-010 GENERAL SUPPLIES 00455657
A
166.88
150.00
14018632 ZR57KCE-TFD-950 COMP (AIR-701)`
199-51-6319-00-956-4-99-000 PLUMBING 0210178915
ACH
166.88 166.88
Total Check: JOHNSTONE SUPPLY- PHARR
199-51-6319-00-956-4-99-000 PLUMBING 00455758
A
142.83
HORNADAY ELOUISA
199-23-6411-00-004-4-99-000 TRAVEL - EMPLOYEES 0210178914
142.83 142.83
162-23-6411-00-105-4-30-000 TRAVEL - EMPLOYEE ONLY
00455726
Status
02
0210178912
111
2,548.00
PETE'S MUFFLER SHOP
14018637 STATE INSPECTION STICKER FOR UNIT
28.49
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455726
08/19/14 10478
1434
Status Description
PETE'S MUFFLER SHOP
14018637 STATE INSPECTION STICKER FOR UNIT
10352
14018566 STATE INSPECTION STICKER FOR THE C
199-51-6249-01-957-4-99-000 CONTRACTED MAINT & REPAIR 00455720
10380
14017082 INSPECTION STICKER FOR 85 BUSES TH
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455721
14017082 INSPECTION STICKER FOR 85 BUSES TH
10540
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455722
10552
14017082 INSPECTION STICKER FOR 85 BUSES TH
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455723
14017082 INSPECTION STICKER FOR 85 BUSES TH
10607
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455724
14017082 INSPECTION STICKER FOR 85 BUSES TH
10658
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455727
14017082 INSPECTION STICKER FOR 85 BUSES TH
10713
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00455731
14018141 CONTRACTED MAINT. & REPAIR SERVICE
9671
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR 00455732
14018141 CONTRACTED MAINT. & REPAIR SERVICE
10634
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR 00455730
14018141 CONTRACTED MAINT. & REPAIR SERVICE
10635
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR 00455729
14018141 CONTRACTED MAINT. & REPAIR SERVICE
10686
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR 00455728
14018141 CONTRACTED MAINT. & REPAIR SERVICE
10687
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR Total Check: 0210178921 00455765
08/19/14 JULY
2014
3239
00455778
08/19/14
14001709 MILEAGE REIMBURSEMENT FOR SEPTEMBE
114006
99999
14.50
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
C
Computer
C
Computer
C
Computer
C
Computer
14.50 14.50 14.50 14.50 14.50 14.50 14.50 14.50 23.50 23.50 101.50 101.50 52.61 52.61 12.50 12.50 14.50 14.50 537.60 38.08
38.08
99999
500.00 500.00 500.00
Total Check: SCHOLARSHIP
A
ABDULLAH AZIZ M. LJISD SUPERINTENDENT GOLF SCHOLARS
SCHOLARSHIP
08/19/14
ACH
14.50
250.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178924
A
250.00
Total Check: 00455777
217.50
250.00
169249
08/19/14
14.50
250.00
167137
749-61-6299-00-962-4-99-000 MISC CONTRACTED SERVICES 0210178923
ACH
217.50
38.08
Total Check: CLUB PROPHET SYSTEMS, INC.
749-61-6299-00-962-4-99-000 MISC CONTRACTED SERVICES 00455779
A
14.50
RAMIREZ SYLVIA ANN
192-21-6411-00-859-4-23-000 TRAVEL - EMPLOYEES 0210178922
28.49 28.49
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455725
00455780
Status
02
0210178920
112
500.00
ESPINOSA ISMAEL LJISD SUPERINTENDENT GOLF SCHOLARS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
500.00 500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178924
08/19/14
99999
ESPINOSA ISMAEL
0210178925
08/19/14
99999
GOMEZ ALVARO
Total Check: LJISD SUPERINTENDENT GOLF SCHOLARS
SCHOLARSHIP
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
Status Description
0210178926 00455769
08/19/14
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455770
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455771
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455782
99999
SCHOLARSHIP
LJISD SUPERINTENDENT GOLF SCHOLARS
SCHOLARSHIP
00455772
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455783
99999
SCHOLARSHIP
LJISD SUPERINTENDENT GOLF SCHOLARS
08/19/14
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455774
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455775
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
GOLF SCHOLAR 2
99999
C
Computer
C
Computer
C
Computer
500.00
500.00 500.00
500.00 500.00 500.00
Total Check: 08/19/14
Computer
500.00
RAMIREZ KARINA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178935
C
500.00
500.00 Total Check:
08/19/14
Computer
500.00
PEREZ JESUS H.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178934
C
500.00
500.00 Total Check:
08/19/14
Computer
PEQUENO MICHELE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178933
C
.00
500.00 Total Check:
00455773
CV Computer Void
500.00
PENA ALEYDA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178932
-500.00
500.00 Total Check:
08/19/14
500.00
PARTIDA LILIANA G.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178931
Computer
500.00
500.00 Total Check:
08/19/14
C
500.00
-500.00
LJISD SUPERINTENDENT GOLF SCHOLARS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178930
Computer
500.00
MORA KATHERINE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 00455782
C
500.00
500.00 Total Check:
11/03/14
Computer
MEZA DIANA L.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178929
C
500.00
500.00 Total Check:
08/19/14
Computer
MADRIGAL ALEXIA N.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178928
C
500.00
500.00 Total Check:
08/19/14
500.00
GUERRERO PERLA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178927
500.00
500.00 Total Check:
00455776
Status
02
00455781
113
500.00
TORRES BRIANA GOLF SCHOLARSHIP 2014
1,000.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455776
08/19/14
99999
GOLF SCHOLAR 2
Status Description
TORRES BRIANA GOLF SCHOLARSHIP 2014
Total Check: 0210178936 00455785
08/19/14
99999
SCHOLARSHIP
00455784
08/19/14
LJISD SUPERINTENDENT GOLF SCHOLARS
72427
82014
00455786
08/19/14 10394
10226
2,033.00
12249
Total Check: BARCELONA SPORTING GOODS
14018232 THIS ORDER IS FOR LA JOYA HIGH SCH
00455795
08/19/14 87845
5208
14018771 CONTRACTED MAINT. & REPAIR SERVICE
Total Check: 00455790
08/19/14 126269
48496
126271
14018773 NEED TO TREAT FOR SUBTERRANEAN TER
126270
126268
14018776 NEED TO TREAT FOR TERMITES AT JUAR
00455792
NV09244
20155
14013082 ACAD MS SEL & OFFICE PRO PLUS 2013
00455793
1093
96970
00455794
08/19/14 72182581-8
14018349 COMMERCIAL V.C.T. FLOOR TILE (PA-
399
Total Check: CENTRAL FREIGHT LINES, INC.
14017765 DELIVERY OF SPRINGBOARD BOOKS
410-11-6399-33-886-4-30-010 GENERAL SUPPLIES 0210178944
08/19/14 LJHS VB 8/16/1
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2928
185.00
185.00
185.00
185.00
740.00 649.08
649.08
CENTER STONE SERVICES
199-51-6319-00-956-4-99-000 PLUMBING 0210178943
C
1,230.00
649.08 Total Check:
08/19/14
Computer
CDW GOVERNMENT, INC.
211-11-6399-00-127-4-30-000 GENERAL SUPPLIES 0210178942
1,230.00
185.00 Total Check:
08/19/14
C
1,230.00
185.00
199-51-6299-01-956-4-99-000 CONTRACTED SERVICES 0210178941
Computer
1,260.00
185.00
14018775 NEED TO TREAT FOR TERMITES AT PALM
199-51-6299-01-956-4-99-000 CONTRACTED SERVICES 00455788
C
493.20
185.00
14018774 NEED TO TREAT FOR TERMITES AT EAST
199-51-6299-01-956-4-99-000 CONTRACTED SERVICES 00455791
Computer
BUG OFF PEST CONTROL
199-51-6299-01-956-4-99-000 CONTRACTED SERVICES 00455789
C
766.80
493.20
Total Check: COMMERCIAL BILLING SERVICE
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 0210178940
Computer
2,033.00
766.80
14017380 THIS ORDER IS FOR FOR JUAREZ-LINCO
181-36-6399-73-004-4-91-010 GENERAL SUPPLIES 0210178939
C
500.00 2,033.00
181-36-6399-88-001-4-91-010 GENERAL SUPPLIES 00455787
Computer
500.00 500.00
Total Check: ROSE CREATIONS CONVENTION DECOR
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 0210178938
C
1,000.00
VILLARREAL JENNIFER
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178937
1,000.00 1,000.00
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
00455797
Status
02
0210178935
114
Total Check: DONNA HIGH SCHOOL VOLLEYBALL
14018815 THIS ORDER IS FOR LA JOYA HS: DONN
1,300.00 1,300.00 1,300.00 414.50 414.50 414.50 200.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455797
08/19/14 LJHS VB 8/16/1
2928
Status Description
DONNA HIGH SCHOOL VOLLEYBALL
14018815 THIS ORDER IS FOR LA JOYA HS: DONN
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178945 00455798
08/19/14 PHS VB 8/16/14
2928
0210178946 00455799
08/19/14
Total Check: DONNA NORTH HIGH SCHOOL VOLLEYBALL
14018915 THIS ORDER IS FOR PALMVIEW HS: DON
546
19756
14010662 MEDICAL RECORDS AND OHI FORM NEEDE
00455811
08/19/14 JLHS JV LITE 8
3203
14018818 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178948 00455810
08/19/14 LJHS JV LITE 8
3203
14018817 THIS ORDER IS FOR LA JOYA HS: J. E
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178949 00455812
08/19/14 JLHS VB 8/22-2
3203
14018819 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
00455800
08/19/14 LJHS JV 8/15-1
9127
00455802
08/19/14
14018820 THIS ORDER IS FOR LA JOYA HS: EDIN
LJHS VB 8/14-1
7016
00455801
08/19/14
14018822 THIS ORDER IS FOR LA JOYA HS: 2014
JLHS VB 8/14-1
7016
14018823 THIS ORDER IS FOR JUAREZ-LINCOLN H
08/19/14 JUNE 2014
78816
JULY 2014
JULY 2014
11265
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
125.00
125.00 125.00
125.00 125.00
125.00 125.00
125.00 115.92
44.24 44.24
Total Check: 08/19/14
C
125.00
115.92
14006127 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210178954
Computer
GAMEZ ORLANDO
14006127 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00455815
C
125.00
125.00 Total Check:
00455814
Computer
125.00
125.00
Total Check: EDINBURG NORTH HIGH SCHOOL
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178953
C
125.00
125.00
Total Check: EDINBURG NORTH HIGH SCHOOL
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178952
Computer
EDINBURG HIGH SCHOOL
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210178951
C
25.00
125.00 Total Check:
0210178950
Computer
25.00
125.00
Total Check: ROBERT VELA HIGH SCHOOL
C
200.00
125.00
Total Check: J. ECONOMEDES HIGH SCHOOL
Computer
200.00
25.00
Total Check: J. ECONOMEDES HIGH SCHOOL
C
200.00
200.00
Total Check: DR. G. SCOT JOHNSON, M.D.
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 0210178947
200.00 200.00
181-36-6412-69-004-4-91-010 TRAVEL - STUDENTS
00455819
Status
02
0210178944
115
160.16
GARCIA JOSE TRINIDAD
14000064 In-District Mileage from the month
199-23-6411-00-049-4-99-000 TRAVEL - EMPLOYEES
94.08 94.08
Total Check:
94.08
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455822
08/19/14
11851
Status Description
GARZA NILDA
07-07-14
ATTEND FCSTAT PROF DEV. CONF.
0210178956 00455823
08/19/14 3885827-0
111058
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
3883645-0
270.54
14018471 DELL 330-2209 BLACK TONER (75582)
3872465-0
14018452 DELL 3130 CN BLACK TONER (H516C)
3872465-0
14018452 DELL 3130 CN YELLOW TONER (H515C)
3872465-0
14018452 DELL 3130 CN MAGENTA TONER (H514C)
3872465-0
14018452 DELL 3130 CN CYAN TONER (H513C)
3872465-0
14018452 DELL 2335 DN BLACK TONER (CR963)
3872465-0
14018452 DELL 2150CN BLACK TONER (N51XP)
3872465-0
14018452 DELL 2150 CN YELLOW TONER (NPDXG)
3872465-0
14018452 DELL 2150 CN MAGENTA TONER (769T5)
3891819-0
14018735 ITEMS FOR OFFICE USE/TRANSPORTATIO
3892675-0
14018792 STANDARD GREEN HANGING FOLDERS (42
00455829
08/19/14 57295
114707
Total Check: GOLF ENVIRO SYSTEMS, INC,
14018621 EARLY BIRD 3-0-1 FERTILIZER (SPECI
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210178958 00455830
08/19/14 JLHS/VOLLEYBAL
2956
Total Check: HISD ATHLETIC DEPARTMENT
14018826 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
00455831
08/19/14 124374
4048
08/19/14 584
105643
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
969.50 969.50 969.50 200.00
200.00
IRMA'S SWEETE SHOPPE
14017362 CAKES & PASTRIES FOR CATERING REQU
101-35-6341-03-958-4-99-000 FOOD 0210178960
C
6,977.51
200.00 Total Check:
0210178959
Computer
570.69 570.69
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 0210178957
C
467.88 467.88
199-34-6399-01-972-4-99-000 GENERAL SUPPLIES 00455824
Computer
300.12 300.12
224-11-6399-00-122-4-23-010 GENERAL SUPPLIES 00455825
C
100.00 100.00
224-11-6399-00-121-4-23-010 GENERAL SUPPLIES 00455826
Computer
500.00 500.00
224-11-6399-00-116-4-23-010 GENERAL SUPPLIES 00455826
C
1,553.00 1,553.00
224-11-6399-00-110-4-23-010 GENERAL SUPPLIES 00455826
Computer
250.00 250.00
224-11-6399-00-108-4-23-010 GENERAL SUPPLIES 00455826
C
200.00 200.00
224-11-6399-00-107-4-23-010 GENERAL SUPPLIES 00455826
Computer
1,589.00 1,589.00
224-11-6399-00-044-4-23-010 GENERAL SUPPLIES 00455828
C
1,025.00 1,025.00
224-11-6399-00-007-4-23-010 GENERAL SUPPLIES 00455828
Computer
151.28 151.28
224-11-6399-00-116-4-23-010 GENERAL SUPPLIES 00455828
C
468.50 270.54
14018180 STAPLER
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00455827
468.50 468.50
152-13-6411-01-895-4-22-010 TRAVEL
00455832
Status
02
0210178955
116
Total Check: JAY'S ELECTRICAL CONTRACTING CO. LLC
14018859 REPLACE ONE LIGHT BULB AT THE FOOT
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS
118.50 118.50 118.50 350.00 350.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210178960
08/19/14
105643
JAY'S ELECTRICAL CONTRACTING CO. LLC
0210178961
08/19/14
58068
Total Check: JEAN'S RESTAURANT SUPPLY
S100026288.001
14018561 CP121110 CROCK BLACK 1.2 QT PLASTI
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00455833
S100026288.001
Total Check: 0210178962 00455834
08/19/14 2582
34568
14018408 MEDICAL RECORDS NEEDED FOR Y.TREVI
00455841
08/19/14
99999
GOLF SCHOLARSHIP 2014
00455844
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00455838
PHS/08-2014
2370
14018930 THIS ORDER IS FOR PALMVIEW HS: MIS
00455840
JULY 2014
29963
JUNE 2014
14004044 MILEAGE FOR INTRA DISTRICT ACTIVIT
00455842
4023271767
16162
00455843
08/19/14
14018040
53167
84689
BIOLOGY STARR STUDENT REVIEW AND
14018638 DRUG SCREENING FOR CHILD NUTRITION
00455813
000213
112755
08/19/14
14018898 La Joya ISD General Session - Aug.
008291
2123
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 003440
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
108.08
98.00
206.08 3,198.85
3,198.85 105.00
105.00
SMG F&B TEXAS, INC
199-21-6498-00-845-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210178970
Computer
200.00
105.00 Total Check:
08/19/14
C
200.00
3,198.85
Total Check: PINNACLE MEDICAL MANAGEMENT
101-35-6219-00-958-4-99-000 PROFESSIONAL SERVICES 0210178969
Computer
500.00
NCS PEARSON, INC.
211-11-6399-03-699-4-30-010 GENERAL SUPPLIES 0210178968
C
500.00
98.00 Total Check:
08/19/14
Computer
500.00
108.08
14004044 MILEAGE FOR INTRA DISTRICT ACTIVIT
289-23-6411-00-847-4-11-010 TRAVEL EMPLOYEE ONLY 0210178967
C
MONTALVO RAQUEL
289-23-6411-00-847-4-11-010 TRAVEL EMPLOYEE ONLY 00455839
Computer
500.00
200.00 Total Check:
08/19/14
C
25.00
MISSION C.I.S.D.
181-36-6412-69-004-4-91-011 TRAVEL - STUDENTS 0210178966
Computer
25.00
500.00 Total Check:
08/19/14
C
791.75
VIDAURRI MARY
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178965
425.00
500.00 Total Check:
08/19/14
Computer
MUNOZ JOSE D.
GOLF SCHOLAR 2
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178964
C
425.00
25.00 Total Check:
0210178963
366.75
KIDS FIRST PEDIATRICS
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES
00455804
Status Description
350.00
366.75
14018561 0136 STAND CAKE PASTRY STAINLESS 1
101-35-6395-00-958-4-99-000 FURN & EQUIP <$500 UNIT COST
00455805
Status
02
00455833
117
14014918 FOOD FOR CATERING EVENTS FOR THE M
816.00 816.00 816.00 114.39 114.39 26.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455804
08/19/14 003440
2123
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014918 FOOD FOR CATERING EVENTS FOR THE M
0210178971 00455803
08/19/14 006914
21617
Total Check: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
14014919 FOOD FOR CATERING EVENTS FOR THE M
00455807
08/19/14 004261
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014928 FOOD FOR CATERING EVENTS FOR THE M
004261
14014928 PAPER / PLASTIC PRODUCTS
005927
14014928 FOOD FOR CATERING EVENTS FOR THE M
003007
14017947 GLOVES
003007
00455796
08/19/14 A77824
96008
Total Check: DEVIN DISTRIBUTING & PACKAGING,INC.
14018506 PAPER / PLASTIC PRODUCTS FOR THE M
00455817
APRIL 2014
21365
MAY 2014
14007427 MILEAGE REIMBURSEMENT FOR ELIAS GA
JUNE 2014
00455821
JUNE 2014
7691
AUG. 2014
14000065 Mileage reimbursement for Maria Be
00455835
16861
Total Check: 08/19/14 AUG. 2014
15671
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
202.72 22.40
6.72
29.12 792.82 792.82
199-13-6411-30-042-4-11-010 TRAVEL - EMPLOYEES 0210178977
ACH
KINGSTON DORINA TX BANDMASTER'S ASSOC. CONVENTION
07-26-14
A
84.56
6.72 Total Check:
08/19/14
Computer
51.52
22.40
14000065 Mileage reimbursement for Maria Be
211-21-6411-51-844-4-30-000 EMPLOYEE TRAVEL 0210178976
C
GARCIA MARIA BELINDA
211-21-6411-51-844-4-30-000 EMPLOYEE TRAVEL 00455820
Computer
66.64
84.56 Total Check:
08/19/14
C
210.00
51.52
14007427 MILEAGE REIMBURSEMENT FOR ELIAS GA
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 0210178975
Computer
210.00
66.64
14007427 MILEAGE REIMBURSEMENT FOR ELIAS GA
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00455816
C
GARCIA ELIAS
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00455818
Computer
281.76
210.00 Total Check:
08/19/14
C
18.29 18.29
101-35-6342-00-958-4-99-000 NON-FOOD 0210178974
Computer
109.31
140.65
14017947 LAUNDRY DETERGENT (ITEMS ARE NEEDE
224-11-6399-00-004-4-23-010 GENERAL SUPPLIES 0210178973
C
1.16
140.65
224-11-6399-00-112-4-23-010 GENERAL SUPPLIES 00455806
Computer
12.35
109.31
101-35-6341-03-958-4-99-000 FOOD 00455809
C
90.36
1.16
101-35-6342-00-958-4-99-000 NON-FOOD 00455808
Computer
90.36
12.35
101-35-6341-03-958-4-99-000 FOOD 00455807
C
140.59
90.36
101-35-6341-03-958-4-99-000 FOOD 0210178972
26.20 26.20
101-35-6341-03-958-4-99-000 FOOD
00455836
Status
02
0210178970
118
792.82
MARES AURORA
14000237 MILEAGE REIMBURSEMENT FOR AURORA M
49.84 49.84
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES Total Check:
49.84
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/19/14
00455837
01-327623-00
107034
(C
00455846
08/19/14 4225165349
36307
4227171347
14018827 CANVAS (11 X 140 SET OF 2
00455847
14017096
58564
362.41
14017096 FOOD FOR CATERING EVENTS FOR THE M
00455850
CONSULTANT
105333
14017456 CONSULTANT SERVICES ON JUNE 3, 201
08/20/14
9853
TUITION REIMBURSEMENT FOR FALL 201
276-13-6221-00-045-4-30-000 STAFF TUITION
00455885
22972
24
SUBDIVISION PLATTING FEES FOR ELEM
Total Check: 00455887
08/20/14
114847
140026
00455888
08/20/14
PROJECT DEVELOPMENT AGREEMENT
4849
Total Check: FLORES NURSERY & FLORAL
14079
NEW TEACHER ACADEMY LUNCHEON
199-41-6269-00-926-4-99-000 RENTALS-OPERATING LEASES 00455888
14079
08117259
3945
14017427 PAPER / PLASTIC PRODUCTS
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00455855
08131671
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00455854
08144277
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00455856
08144278
200.00
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
200.00 61,258.20 61,258.20 61,258.20 1,477.50
1,375.00
2,852.50
LABATT FOOD SERVICE
101-35-6342-00-958-4-99-000 NON-FOOD 08131671
C
200.00
1,375.00 Total Check:
08/20/14
Computer
1,938.12
1,477.50
NEW TEACHER ACADEMY LUNCHEON
199-41-6497-00-926-4-99-000 AWARDS & INCENTIVES 0210178986
C
1,938.12
ENTEGRAL SOLUTIONS
199-51-6299-00-961-4-99-000 MISC. CONTRACTED SERVICES 0210178985
Computer
7,200.00
CITY OF MISSION
199-51-6249-00-960-4-99-000 CONTRACTED MAINT & REPAIR 0210178984
C
7,200.00
1,938.12 Total Check:
08/20/14
Computer
159.42
CANTU RIGOBERTO JR.
FALL 2013
0210178983
C
159.42
7,200.00 Total Check:
00455884
Manual
ACEVEDO GERARDO
181-36-6291-00-863-4-91-010 CONSULTANT SERVICES 0210178982
M
854.34
159.42 Total Check:
08/20/14
Manual
492 BBQ
101-35-6341-03-958-4-99-000 FOOD 0210178981
M
362.41
Total Check: 08/20/14
ACH
491.93 491.93
14018923 FLORAL
199-23-6399-00-111-4-99-000 GENERAL SUPPLIES 0210178980
A
2,424.45
HOBBY LOBBY
199-23-6399-00-111-4-99-000 GENERAL SUPPLIES 00455845
2,424.45 2,424.45
Total Check: 0210178979
00455855
Status Description
MATTS BUILDING MATERIALS INC.
14018683 120942 #942 CEILING TILE 2 X 4
199-51-6319-00-956-4-99-000 PLUMBING
00455857
Status
02
0210178978
119
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
758.50 758.50 9,368.21 9,368.21 14,478.96 14,478.96 2,527.12 2,527.12 406.78
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455856
08/20/14 08144278
3945
00455869
08/20/14 10780
9409
10785
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
10801
10802
10747
10754
10755
10767
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
10770
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
10772
10790
10800
00455889
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00455872
544
6-26-2014
SAN ANTONIO, TX
08/20/14
20523
7-20-2014
FORT WORTH, TX
AUG. 2014
86738
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
500.00
809.36 738.95 738.95 738.95
RODRIGUEZ ROSA M.
14014465 MILEAGE FOR CAMPUS SECRETARY ROSA
199-23-6411-00-046-4-99-000 TRAVEL - EMPLOYEES JUNE 2014
C
REYNA MARIA M.
Total Check: 08/20/14
Computer
500.00
809.36
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210178991
C
809.36
Total Check: 00455874
Computer
REED DIANNA
199-13-6411-30-043-4-11-010 TRAVEL - EMPLOYEES 0210178990
C
2,455.08
500.00 Total Check:
08/20/14
Computer
SAMANTHA FLORES
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210178989
C
380.14 380.14
Total Check: 08/20/14
Computer
380.14 380.14
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178988
C
112.07 112.07
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455861
Computer
28.04 28.04
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455860
C
44.57 44.57
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455859
Computer
6.39 6.39
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455858
C
36.21 36.21
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455862
Computer
16.75 16.75
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455863
C
83.16 83.16
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455864
Computer
616.27 616.27
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455865
C
457.40 457.40
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455866
Computer
293.94 293.94
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455867
C
27,539.57
LONGHORN BUS SALES
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455868
406.78 406.78
Total Check: 0210178987
00455880
Status Description
LABATT FOOD SERVICE
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD
00455881
Status
02
0210178986
120
14014465 MILEAGE FOR CAMPUS SECRETARY ROSA
89.60 89.60 19.04
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455880
08/20/14 JUNE 2014
86738
Status Description
RODRIGUEZ ROSA M.
14014465 MILEAGE FOR CAMPUS SECRETARY ROSA
Total Check: 0210178992 00455882
08/20/14
19273
194.08 Total Check:
00455883
08/20/14
15731
871.10 Total Check:
00455848
08/20/14 15523
16905
15522
14017373 NEED TO REPLACE BAD POWER SUPPLY F
08/20/14
101826
13,472.36
103-00-2153-94-000-4-00-000 ALLSTATE CRITICAL ILLNESS
13,472.36
JULY 2014 PREMIUMS -
7,438.79
00455851
JULY 2014
7,438.79
103-00-2153-93-000-4-00-000 ALLSTATE HEART & STROKE 00455851
JULY 2014 PREMIUMS -
JULY 2014
00455853
08/20/14 59752
12464
Total Check: ANDY'S AUTO & BUS AIR, INC.
14018580 ASAP OPEN PARTS FOR AUG 4 THRU AUG
59549
14018580 ASAP OPEN PARTS FOR AUG 4 THRU AUG
00455886
08/20/14
21479
8194759-JULY 2
Total Check: COMBINED INSURANCE COMPANY OF AMERICA PREMIUMS FOR JULY 2014
Total Check: 00455870
08/20/14 AUG. 2014
8385
14000235 MILEAGE REIMBURSEMENT FOR MARIA GL
JULY 2014
63223
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
477.39 14,752.09
14,752.09 99.68 99.68
Total Check: 08/20/14
A
LONGORIA MARIA GLORIA
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210178999
ACH
107.49
14,752.09
103-00-2153-87-000-4-00-000 EYE MED 0210178998
A
369.90
107.49
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210178997
ACH
70,632.94
369.90
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00455852
A
20,060.47 20,060.47
103-00-2153-95-000-4-00-000 S.H.O.P. 0210178996
ACH
29,661.32
JULY 2014 PREMIUMS -
JULY 2014
A
1,700.00
29,661.32
103-00-2153-92-000-4-00-000 ALLSTATE CANCER 00455851
ACH
ALLSTATE JULY 2014 PREMIUMS -
JULY 2014
A
500.00 500.00
Total Check: 00455851
Computer
1,200.00 1,200.00
14016435 FIRE ALARM INSPECTION -- NEED TO R
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210178995
C
871.10
ABSOLUTE SERVICES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455849
Computer
871.10
199-13-6411-30-043-4-11-010 TRAVEL - EMPLOYEES 0210178994
C
194.08
VILLARREAL RENE G. SAN ANTONIO, TX
7-27-2014
Computer
194.08
162-13-6411-32-114-4-30-010 TRAVEL - EMPLOYEES 0210178993
C
108.64
VASQUEZ CYNTHIA FORT WORTH, TX
7-20-2014
19.04 19.04
199-23-6411-00-046-4-99-000 TRAVEL - EMPLOYEES
00455871
Status
02
0210178991
121
99.68
RAMIREZ DAVID
14009137 MILEAGE FOR THE MONTH OF JANUARY 2
96.88 96.88
162-61-6411-00-902-4-30-000 TRAVEL - EMPLOYEES Total Check:
96.88
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455873
08/20/14
1519
Status Description
REGION ONE ESC 100.00
111832
100.00
199-23-6239-00-027-4-99-000
00455877
08/20/14 APR. 2014
29343
MAY 2014
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
JUNE 2014
2.69
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
JULY 2014
4.93
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
AUG. 2014
3.36
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
00456136
08/21/14
2.47
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
1100380521
57002
1100380394
1.35
1100380395
14004273 Cat6500 48-Port PoE+ ready 10/100/
00456130
795891
7520
795892
00456131
08/21/14 950570604
950570605
950570606
Total Check: HOUGHTON MIFFLIN HARCOURT
14018054 BIOLOGY BASIC CLASSROOM PACKAGE
I
I
00456060
I
7933
42439
M
Manual
M
Manual
M
Manual
M
Manual
C
Computer
C
Computer
439,899.69 340.60 340.60
Total Check: 08/21/14
Manual
AHLMAN SANDRA
162-13-6411-32-112-4-30-010 TRAVEL - EMPLOYEES 0210179006
M
51,063.75 51,063.75
FORT WORTH, TX
7-20-2014
Manual
221,706.39 221,706.39
14018054 BIOLOGY BASIC CLASSROOM PACKAGE
9511
M
167,129.55 167,129.55
14018054 BIOLOGY BASIC CLASSROOM PACKAGE
Total Check: 08/21/14
Manual
49.66 49.66
410-11-6321-33-886-4-30-010 TEXTBOOKS 0210179005
M
1,339.66
410-11-6321-33-886-4-30-010 TEXTBOOKS 00456133
Manual
1,290.00 1,290.00
14018492 TO PROVIDE CUSTODIAL STAFF WITH DA
410-11-6321-33-886-4-30-010 TEXTBOOKS 00456132
M
13,800.00
14018491 TO PROVIDE CUSTODIAL STAFF WITH DA
107093
ACH
GULF COAST PAPER CO.
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 0210179004
A
4,600.00 4,600.00
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00456129
ACH
4,600.00 4,600.00
14006134 Cat 6500 Sup 2T with 2 x 10GbE and
Total Check: 08/21/14
A
4,600.00 4,600.00
14003852 Cat6500 48-Port PoE+ ready 10/100/
199-11-6639-01-048-4-11-053 FURN & EQUIP COST >$5000.00 0210179003
ACH
14.80
Total Check: INSIGHT PUBLIC SECTORS, INC.
199-11-6397-01-004-4-11-053 TECH EQUIP COST $500 - $4,999.99 00456134
A
1.35
199-11-6397-01-007-4-11-053 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456135
ACH
2.47
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 0210179002
A
3.36
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 00455876
ACH
4.93
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 00455875
A
2.69
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 00455879
ACH
REYNA PEDRO III
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 00455878
A
100.00
Total Check: 0210179001
00456061
Status
02
0210179000
122
340.60
AMIGO BOLT & SUPPLY
14018908 1/4x 2-3/4 HWH TAPCON CONCRETE SCR
503.86 503.86
199-51-6319-00-956-4-99-000 PLUMBING Total Check:
503.86
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456063
08/21/14 041989
42285
Status Description
AUTOMATED LOGIC - CORPORATION
14008081 RSPL ROOM SENSOR
(COMP-59)
054760
Total Check: 00455951
08/21/14
18980
00455952
08/21/14 14-1271
16886
Total Check: BELL WATER WELL SERVICE
14018665 CENTRIPRO SUBMERSIBLE MOTOR (NEW P
14-1272
14018665 CENTRIPRO SUBMERSIBLE MOTOR (NEW P
Total Check: 00455955
08/21/14 NH78251
20155
MR75013
14018284 ACAD MS SEL+ Office Pro Plus 2013
ND16272
MR65217
00455959
1092
96970
14018731 (PA116) 4"X120 COVE BASE GREY #150
00455960
01837 012646
23200
14015247 LA JOYA H.S. CHOIR - MEALS FOR STU
Total Check: 00455961
08/21/14 7025910
14189
00455963
08/21/14 S003413138.001
101516
S003413138.002
Total Check: CRAWFORD ELECTRIC SUPPLY CO. INC.
14018783 (78364315176) ITE HFN364R 3P 600 2
80993618001
489
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
296.85
296.85 120.00 120.00 120.00 2,153.04
2,153.04 4,245.58
-46.26 -46.26
Total Check: 08/21/14
C
1,188.89
4,245.58
14018783 (78364315176) ITE HFN364R 3P 600 2
199-51-6319-00-956-4-99-000 PLUMBING 0210179015
Computer
270.45
2,153.04
199-51-6319-00-956-4-99-000 PLUMBING 00455962
C
699.50
COPY ZONE
14018242 MIDDLE SCHOOL BOOKS NEW MATH TEKS
172-13-6298-32-831-4-25-010 PRINTING COSTS 0210179014
Computer
CHICK-FIL-A
199-36-6498-05-001-4-11-010 FOOD & NON-FOOD RELATED ITEMS 0210179013
C
164.85
296.85 Total Check:
08/21/14
Computer
CENTER STONE SERVICES
199-51-6319-00-956-4-99-000 PLUMBING 0210179012
C
54.09
270.45 Total Check:
08/21/14
Computer
13,748.00
699.50
14016544 ACAD MS SEL+ OFFICE PRO PLUS 2013
162-11-6399-02-112-4-30-000 GENERAL SUPPLIES 0210179011
C
1,300.00
164.85
14016545 CALIFONE 610-44 HEADPHONE
162-11-6399-02-112-4-30-000 GENERAL SUPPLIES 00455957
Computer
12,448.00
54.09
14016545 CALIFONE 610-44 HEADPHONE
162-11-6399-02-112-4-30-000 GENERAL SUPPLIES 00455958
C
872.55
CDW GOVERNMENT, INC.
199-41-6399-03-701-4-99-000 GENERAL SUPPLIES 00455956
Computer
872.55
1,300.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179010
C
16,238.59
12,448.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00455953
9,815.00
872.55
199-13-6411-30-007-4-11-010 TRAVEL - EMPLOYEES 0210179009
Computer
BANDA JACOB TX BANDMASTERS ASSOC IN SA, TX 7/2
07-27-2014
C
9,815.00
13017967
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL 0210179008
6,423.59 6,423.59
199-51-6319-11-956-4-99-000 A/C 00456062
00455964
Status
02
0210179007
123
4,199.32
CTB/MCGRAW-HILL LLC
14016560 PRE LAS 2000 SPANISH
1,342.95
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455964
08/21/14 80993618001
489
00455966
08/21/14 PYMT NO. 2
5242
PYMT NO. 3
14018980 CONTRACTOR'S FEE FOR RENOVATIONS O
14018980 CONTRACTOR'S FEE FOR RENOVATIONS O
199-81-6629-04-048-4-99-051 CHAVEZ MS GYM HVAC REPAIR 0210179017
08/21/14 PMVW-426628
67423
Total Check: LYNN LEE INC. DAIRY QUEEN TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS PMVW-427882
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456000
PMVW-432540
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456001
PMVW-429604
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456002
DONA-311901
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456003
PMVW-432449
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456004
EDWU-900159
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456005
EDWU-907227
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456006
MISN1240536
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456007
MISN1240533
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456008
PMVW-575365
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456009
PMVW-391343
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456010
PMVW-526590
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456011
PMVW-539217
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456012
PMVW-543859
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456013
PMVW-544989
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456014
PMVW-548474
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,342.95
D & F INDUSTRIES INC.
199-81-6629-04-048-4-99-051 CHAVEZ MS GYM HVAC REPAIR 00455967
1,342.95 1,342.95
Total Check: 0210179016
00456048
Status Description
CTB/MCGRAW-HILL LLC
14016560 PRE LAS 2000 SPANISH
172-11-6339-00-112-4-25-000 TESTING MATERIALS
00455998
Status
02
0210179015
124
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
65,852.10 65,852.10 357,573.35 357,573.35 423,425.45 141.64 141.64 95.00 95.00 75.00 75.00 140.00 140.00 105.00 105.00 65.00 65.00 99.00 99.00 170.50 170.50 275.00 275.00 165.00 165.00 110.00 110.00 160.00 160.00 181.50 181.50 110.00 110.00 145.00 145.00 104.50 104.50 82.50 82.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/21/14 PMVW-550297
67423
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-429565
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456017
PMVW-429566
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456018
PMVW-429674
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456019
PMVW-430911
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456020
WESL-989154
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456021
PMVW-431333
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456022
PMVW-432503
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456023
BVBC-903832
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456024
ISLA-742277
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456025
PMVW-539717
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456026
MC831006603
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456027
MISN1227665
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456028
MISN1227913
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456029
MISN1237148
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456030
MC831029133
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456031
PMVW-10709
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456032
PMVW-386542
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456033
PMVW-528539
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456034
BVBC-160
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456035
MC831006747
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456036
Status Description
LYNN LEE INC. DAIRY QUEEN
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456016
Status
02
0210179017 00456015
Amount Paid Acct Amt.
Account No \ Description Bank No
MC23-749909
125
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
154.00 154.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
100.00 100.00 115.00 115.00 90.00 90.00 80.00 80.00 125.00 125.00 85.00 85.00 75.00 75.00 120.00 120.00 181.50 181.50 148.50 148.50 115.50 115.50 156.00 156.00 156.00 156.00 154.00 154.00 99.00 99.00 71.50 71.50 240.00 240.00 345.00 345.00 577.50 577.50 104.50 104.50 70.00 70.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456037
08/21/14
67423
MC23-749913
TO PAY MEALS FOR STUDENT ATHLETES
MC23-749915
PMVW-542102
PMVW-542590
00456041
MC831029127
TO PAY MEALS FOR STUDENT ATHLETES
00456042
PMVW-171706
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-520104
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-520139
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-521191
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-527306
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-541951
TO PAY MEALS FOR STUDENT ATHLETES
PMVW-400856
TO PAY MEALS FOR STUDENT ATHLETES
Total Check: 0210179018 00455970
08/21/14 XJJ4TWNW3
9529
DELL MARKETING
XJFD4CMX7
14013524 DELL COLOR PRINTER-C260dn (210- AB
14016563 MAGENTA TONER FOR DELL 2130CN
172-11-6399-00-112-4-25-000 GENERAL SUPPLIES 00455969
XJFD4CP63
815X6M
66893
14017899 RENTAL OF VANS FOR ELEMENTARY TEAC
14017899 RENTAL OF VANS FOR ELEMENTARY TEAC
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 00455975
816F43
14017899 RENTAL OF VANS FOR ELEMENTARY TEAC
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 00455976
816HMJ
14017900 RENTAL OF VANS FOR MIDDEL SCHOOL T
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 00455974
816XK6
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
324.69
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,099.90
2,999.70
4,424.29
EAN HOLDINGS, LLC
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 8166H3
Computer
324.69
2,999.70 Total Check:
08/21/14
C
7,125.14
1,099.90
14016563 MAGENTA TONER FOR DELL 2130CN
172-11-6399-00-112-4-25-000 GENERAL SUPPLIES 0210179019
Computer
L.P.
199-23-6397-00-041-4-11-000 TECHNOLOGY EQUIP - COST $500 - 4,999 00455968
C
250.00 250.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
Computer
181.50 181.50
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00455999
C
120.00 120.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456047
Computer
144.00 144.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456046
C
136.00 136.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456045
Computer
140.00 140.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456044
C
112.00 112.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456043
Computer
44.00 44.00
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
C
52.50 52.50
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS
Computer
203.50 203.50
TO PAY MEALS FOR STUDENT ATHLETES
C
77.00 77.00
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456040
77.00 77.00
TO PAY MEALS FOR STUDENT ATHLETES
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456039
00455972
Status Description
LYNN LEE INC. DAIRY QUEEN
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00456038
00455973
Status
02
0210179017
126
14017900 RENTAL OF VANS FOR MIDDEL SCHOOL T
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES
260.00 260.00 260.00 260.00 260.00 260.00 260.00 260.00 208.00 208.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179019
08/21/14
66893
EAN HOLDINGS, LLC
0210179020
08/21/14
17373
ROSA M. ESPARZA
Total Check: 2014 CAMT CONF IN FORT WORTH 7/20-
07-20-2014
Total Check: 0210179021 00455980
08/21/14 SI-525373
95621
00455979
SI-525374
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
SI-525398
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
00455981
08/21/14 1778716
4369
00455983
112976
00455985
DEC. 2013
13717
JAN. 2014
14006871 Mileage reimbursement for Rene Flo
14006871 Mileage reimbursement for Rene Flo
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00455986
FEB. 2014
14006871 Mileage reimbursement for Rene Flo
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 0210179025
08/21/14 3902762-0
111058
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018856 Canon LS55H Wallet Calculator for
199-41-6399-03-976-4-99-000 GENERAL SUPPLIES 3901458-0
14018883 PAPERMATE WHITE PEARL ERASER/12 CO
199-51-6399-00-981-4-99-000 GENERAL SUPPLIES 00456073
3873379-0
14016573 FILE EXPANDING FILE WITH HANDLES
162-11-6399-02-112-4-30-000 GENERAL SUPPLIES 00456077
3873372-0
14016571 BSN PUNCH ELECTRIC 3 HOLE PUNCH
162-11-6395-00-112-4-30-000 FURN & EQUIP <$500 UNIT COST 00456071
3873376-0
14016572 USL TOTE FOR LAPTOP
199-23-6399-00-112-4-99-000 GENERAL SUPPLIES 00456075
3890921-0
14018760 PADDLES DRI-ERASE (2 PER PACKAGE)F
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 00456074
3892114-0
14018791 POST IT FLAGS, BIRHT PACKAGE (ITEM
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 00456069
3893339-0
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
493.80 708.35
708.35
FLORES RENE
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00455984
C
858.44
708.35 Total Check:
08/21/14
Computer
FLORES MAYRA
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179024
C
358.44
493.80
2014 CAMT CONF IN FORT WORTH 7/20-
07-20-2014
Computer
493.80
14017902
Total Check: 08/21/14
C
40.00
358.44
Total Check: FLINN SCIENTIFIC, INC.
286-11-6395-00-007-1-30-000 ASSETS UNDER $500 0210179023
Computer
460.00
40.00
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 0210179022
C
108.62
460.00
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00455978
108.62
FIRST TO THE FINISH
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES
00456076
Status Description
1,248.00
108.62
162-13-6411-32-107-4-30-010 TRAVEL - EMPLOYEES
00456072
Status
02
00456051
127
14018793 SHARPIE PEN (BLACK-FINE) (ITEMS AR
93.23 93.23 112.00 112.00 78.96 78.96 284.19 49.96 49.96 247.67 247.67 1,202.40 1,202.40 179.98 179.98 232.96 232.96 656.40 656.40 446.68 446.68 927.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456069
08/21/14 3893339-0
111058
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018793 SHARPIE PEN (BLACK-FINE) (ITEMS AR
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES 00456070
3897620-0
14018825 BOOK RINGS
0210179026 00456078
08/21/14 83796
86487
Total Check: GOLD STAR PETROLEUM, INC.
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
83797
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS
00456081
08/21/14
11430
WORKSHOP FOR MATHEMATICS
06-09-14
00456080
08129034070048
18514
00456084
08/21/14 390442
14018591 ITEM # CP5872
100% BEEF CRUMBLE 6
08/21/14 14613386
21443
Hernandez
00456052
5123
21199
14018741 WRITING TRAINING BY WILLIAM MACDON
00456050
SUMMER I
99999
00456049
08/21/14
14016845 STUDENTS TUITIO FOR SPRING SEMESTE
18981
07-27-2014
Total Check: MONTEMAYOR BANDA ZYNAHIA TX BANDMASTERS ASSOC IN SA, TX 7/2
199-13-6411-30-004-4-11-010 TRAVEL - EMPLOYEES
00456054
08/21/14 51076
7558
14010950 SKELETAL SYSTEMS CHART
08/21/14
17474
C
Computer
C
Computer
C
Computer
C
Computer
495.00 750.00
750.00 150.00 150.00 150.00 203.36
203.36 175.15 175.15
Total Check: 4441857
Computer
NASCO
152-11-6399-01-007-4-22-010 GENERAL SUPPLIES 0210179035
C
495.00
203.36 Total Check:
0210179034
Computer
19,965.00
PRISCILLA DURAN
142-11-6223-28-007-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210179033
C
19,965.00
750.00 Total Check:
08/21/14
Computer
MACDONALD WILLIAM
211-13-6291-00-116-4-30-000 CONSULTANT SERVICES 0210179032
C
121.78
495.00 Total Check:
08/21/14
Computer
KILGO CONSULTING INC.
14017556 Registration for Javier
162-13-6411-54-832-4-30-010 TRAVEL - EMPLOYEES 0210179031
C
121.78
19,965.00 Total Check:
00456085
Computer
560.31
121.78
Total Check: JTM PROVISIONS CO., INC.
101-35-6341-06-958-4-99-000 FOOD 0210179030
C
JASON'S DELI
14018905 LA JOYA H.S. CHOIR - FOOD FOR STUD
110485
Computer
12,362.52
560.31
199-36-6498-05-001-4-11-010 FOOD & NON-FOOD RELATED ITEMS 0210179029
C
7,972.92
560.31
Total Check: 08/21/14
Computer
JAVIER HERNANDEZ
162-13-6411-54-832-4-30-010 TRAVEL - EMPLOYEES 0210179028
C
4,389.60
7,972.92 Total Check:
0210179027
Computer
3,998.29
4,389.60
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
C
55.24 55.24
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00456079
927.00 927.00
(ITEMS ARE NEEDED FOR
192-21-6399-00-859-4-23-000 GENERAL SUPPLIES
00456056
Status
02
0210179025
128
175.15
NCS PEARSON, INC.
14017151 CTOPP-2 COMPLETE KIT (TESTING MATE
1,512.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456056
08/21/14 4441857
17474
Status Description
NCS PEARSON, INC.
14017151 CTOPP-2 COMPLETE KIT (TESTING MATE
192-31-6339-00-870-4-23-010 TESTING MATERIALS
00456055
08/21/14 4458751
16162
00456058
08/21/14
14018475 PLS 5 SPANISH (ALL ITEMS ARE NEEDE
53167
84689
14018462 DRUG SCREENING FOR CUSTODIAL DEPAR
00456066
93000079
13676
00456067
08/21/14
14003788 RENTAL OF RICOH 1357 EX PRO BLACK
72427
ADDITIONAL STAGE CARPET FOR 2014-1
82014
00455891
009803
2924
007893
14018716 ITEMS WILLBE FOR TEACHER MEETING I
14017367 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00455893
008548
14017367 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00455894
999999ARREDOND
14018364 ALL ITEMS ARE FOR SUMMER STAFF DEV
199-21-6495-00-893-4-99-000 MEMBERSHIP FEES/DUES 0210179041 00455929
08/21/14 WK00116
98531
Total Check: THERMO KING OF HOUSTON
14018797 CONTACTED SERVICES TO REPAIR VEHIC
101-35-6249-00-958-4-99-000 CONTRACTED MAINT & REPAIR 0210179042 00455896
08/21/14 MARCH 2014
15367
Total Check: SANDOVAL REBECCA IRENE
14002152 MILEAGE FOR THE MONTHS OF OCTOBER
199-23-6411-00-112-4-99-000 TRAVEL - EMPLOYEES 00455895
APRIL 2014
14002152 MILEAGE FOR THE MONTHS OF OCTOBER
199-23-6411-00-112-4-99-000 TRAVEL - EMPLOYEES 0210179043 00455897
08/21/14 08-18-2014
102806
Total Check: SARAH TANTILLO, ED.D.,LLC
14018477 CONSULTANT CONTRACT FOR LITERACY I
211-13-6291-00-049-4-30-FOC CONSULTING SERVICES 0210179044
08/21/14 1667672
111074
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
636.99
636.99 1,683.00
1,683.00
SAM'S CLUB DIRECT
199-23-6498-00-027-4-23-000 FOOD & NON-FOOD RELATED ITEMS 00455892
Computer
140.00
1,683.00 Total Check:
08/21/14
C
140.00
636.99
Total Check: ROSE CREATIONS CONVENTION DECOR
199-21-6269-00-845-4-99-000 RENTALS-OPERATING LEASES 0210179040
Computer
RICOH USA, INC.
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES 0210179039
C
408.45
140.00 Total Check:
08/21/14
Computer
408.45 408.45
Total Check: PINNACLE MEDICAL MANAGEMENT
199-51-6219-00-957-4-99-000 PROFESSIONAL SERVICES 0210179038
C
1,512.00
NCS PEARSON, INC.
224-31-6339-00-871-4-23-000 TESTING MATERIALS 0210179037
1,512.00 1,512.00
Total Check: 0210179036
00455900
Status
02
0210179035
129
Total Check: SCHOOL KIDS HEALTHCARE
14018438 STRAIGHT LINE TREATMENT TABLE (ALL
163.20 163.20 250.34 250.34 164.60 164.60 15.00 15.00 593.14 649.85 649.85 649.85 120.96 120.96 141.12 141.12 262.08 3,370.28 3,370.28 3,370.28 532.85
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179044 00455900
08/21/14 1667672
111074
SCHOOL KIDS HEALTHCARE
14018438 STRAIGHT LINE TREATMENT TABLE (ALL
224-11-6398-00-046-4-23-010 FURN & NON-TECH EQUIP-$500 TO $4,999 Total Check: 0210179045
08/21/14
00455902
308101969462
1630
208112829422
14018413 SNAP IT CARD GAME (ALL ITEMS ARE N
14018224 SUPER HEAVY DUTY HNP INFLATOR /DEF
224-11-6395-00-046-4-23-010 FURN & EQUIP <$500 UNIT COST 00455901
208112829422
14018224
224-11-6399-00-046-4-23-010 GENERAL SUPPLIES 0210179046
08/21/14
00455917
02612300 JULY
1657
Total Check: SHARYLAND WATER SUPPLY CORP.
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455918
02612700 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455916
02675000 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455915
02156000 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455904
02562400 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455905
02562720 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455906
02562730 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455907
02755500 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455908
02691043 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455909
02155175 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455910
02155150 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455911
02155100 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455912
04156400 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455913
02612600 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00455914
04157050 JULY
14010607 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210179047
08/21/14
17715
532.85 532.85
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
532.85
SCHOOL SPECIALTY INC.
224-11-6399-00-046-4-23-010 GENERAL SUPPLIES 00455903
130
Total Check: SHI GOVERNMENT SOLUTIONS
533.57 533.57 219.96 219.96 36.98 36.98 790.51 137.00 137.00 570.90 570.90 122.50 122.50 89.55 89.55 187.50 187.50 145.00 145.00 255.56 255.56 2,083.60 2,083.60 120.00 120.00 589.00 589.00 88.40 88.40 40.00 40.00 4,242.53 4,242.53 75.00 75.00 150.62 150.62 8,897.16
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455920
08/21/14 GB00122527
17715
Status Description
SHI GOVERNMENT SOLUTIONS
14018512 FUJITSU SCAN SNAP DELUX SCANNER
199-41-6397-00-943-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 Total Check: 0210179048 00455921
08/21/14 201250
112941
0210179049 00455890
08/21/14
14018570 PREMIUM HIGH SCHOOL WEBSITES INCLU
INV035800
38563
00455922
08/21/14
14016602 STUDY ISLAND TEXAS 5TH GRADE MATH
1993560A
3796
1993560A
14011058 AUDITORY MEMORY FOR WH QUESTIONS (
00455924
08/21/14 408130474
1769
408130472
14018463 PAPER / PLASTIC PRODUCTS FOR THE M
408130473
14018463 PAPER / PLASTIC PRODUCTS FOR THE M
00455926
08/21/14 14-7538-10
17267
14016307 Items for Science Activities for C
00455927
STATMENT 7-22-
20504
00455928
1915
95170340
00455932
08/21/14 10520931
08/21/14 V0000365
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,353.80
2,433.00
5,226.84 12,361.00
12,361.00
1,345.40
1,150.00
Total Check: TYSON PREPARED FOODS, INC.
14018693 ITEM # 16711-328
13755
Computer
1,150.00
WHOLE MUSCLE BRE
101-35-6344-00-958-4-99-000 USDA DONATED COMMODITIES 0210179056
C
THE MONITOR ADVERTISING
58475
Computer
1,440.04
1,345.40
199-41-6298-00-989-4-99-000 PRINTING SERVICES 0210179055
C
267.56
1,345.40
14013023
Total Check: 08/21/14
Computer
TEXAS GAS SERVICE
199-51-6259-02-956-4-99-000 UTILITIES - GAS 0210179054
C
133.78
12,361.00 Total Check:
08/21/14
Computer
133.78
2,433.00
Total Check: TECHNICAL LABORATORY SYSTEMS, INC.
162-11-6399-54-832-4-30-010 GENERAL SUPPLIES 0210179053
C
390.64
1,353.80
14018463 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 0210179052
Computer
390.64
1,440.04
101-35-6342-00-958-4-99-000 NON-FOOD 00455923
C
3,750.00
133.78
Total Check: SYSCO CENTRAL TEXAS, INC.
101-35-6342-00-958-4-99-000 NON-FOOD 00455925
Computer
3,750.00
133.78
14011058 LOCK , LISTEN, INFER (MANIPULATIVE
224-11-6399-00-111-4-23-010 GENERAL SUPPLIES 0210179051
C
283.40
390.64
Total Check: SUPER DUPER PUBLICATIONS
224-11-6399-00-107-4-23-010 GENERAL SUPPLIES 00455922
283.40
3,750.00
Total Check: ARCHIPELAGO LEARNING, INC.
211-11-6399-01-699-4-30-010 GENERAL SUPPLIES 0210179050
283.40
SPORTS2NIGHT, LLC
199-41-6299-00-943-4-99-000 MISC CONTRACTED SERVICES
00455933
Status
02
0210179047
131
1,150.00 55,113.00 55,113.00
Total Check: UNIVERSITY OF TEXAS AT SAN ANTONIO
14015454 REGISTRATION FEE FOR TODD STECKLER
397-13-6411-00-001-9-99-010 EMPLOYEE TRAVEL
55,113.00 525.00 525.00
Total Check:
525.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455987
08/21/14 006825
55891
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14017684 SMALL BEAN BAGS FOR SUMMER SCHOOL
003860
14017948 WATER FOR EARLY CHILDHOOD CONFEREN
162-13-6498-32-832-4-30-010 FOOD & NON-FOOD RELATED ITEMS 00455989
008582
14017948 WATER FOR EARLY CHILDHOOD CONFEREN
162-13-6498-32-832-4-30-010 FOOD & NON-FOOD RELATED ITEMS 00455990
008604
14017949 WATER FOR MS CURRICULUM WRITING JU
162-13-6498-32-832-4-30-010 FOOD & NON-FOOD RELATED ITEMS 00455991
005699
14018847 Sandwich tray-Kagan meeting on 8/1
003052
14018871 BOTTLED WATER - FOR DEPARTMENT MEE
199-41-6498-00-943-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00455993
004640
14018901 MARKERS FINE TIP - STAFF DEVELOPME
008583
14018323 ITEMS FOR EARLY CHILDHOOD CONFEREN
162-13-6498-54-832-4-30-010 FOOD & NON-FOOD RELATED ITEMS 00455995
008820
14018323 ITEMS FOR EARLY CHILDHOOD CONFEREN
162-13-6498-54-832-4-30-010 FOOD & NON-FOOD RELATED ITEMS 00455996
002360
14018327 PIN DRIVES FOR MATH MIDDLE SCHOOL
008819
14018938 items for Math And Science Scope a
162-13-6498-32-831-4-30-010 FOOD & NON-FOOD RELATED ITEMS 0210179058 00455948
08/21/14
2152
Total Check: WHATABURGER ACCOUNTING DEPT. STUDENT MEALS ATHLETICS DEPT.
884579
STUDENT MEALS ATHLETICS DEPT.
867628
Total Check: 00456059
08/21/14 15605
16905
14017987 NEED TO REPAIR FIRE ALARM @ LA JOY
00455954
AUG. 2014
20128
14000195 MILEAGE REIMBURSEMENT FOR MARLEN C
08/21/14 AUG. 2014
103632
10046
114561
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
A
ACH
A
ACH
A
ACH
A
ACH
99.60 99.60 132.03
87.94 87.94 16.06 16.06 459.05
67.32 67.32 2,241.57 63.32
42.57
105.89 1,000.00
1,000.00 66.64
66.64 85.12 85.12
Total Check: 08/21/14
C
CUADROS MARIA
14000206 MILEAGE REIMBURSEMENT FOR MARIA CU
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210179062
Computer
596.40
66.64 Total Check:
00455965
C
CANALES MARLEN
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210179061
86.64
1,000.00 Total Check:
08/21/14
Computer
ABSOLUTE SERVICES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179060
C
86.64
42.57
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 0210179059
84.98
63.32
181-36-6412-00-863-4-91-010 TRAVEL - STUDENTS 00455947
Computer
84.98
459.05
162-13-6399-32-831-4-30-010 GENERAL SUPPLIES 00455992
74.64
132.03
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 00455994
C
74.64
596.40
211-13-6498-00-044-4-30-FOC FOOD & NON FOOD COSTS 00455997
536.91 536.91
211-11-6399-03-699-4-30-010 GENERAL SUPPLIES 00455988
00455971
Status
02
0210179057
132
85.12
DOYLENE & ASSOCIATES
14018248 UNDERSTANDING BY DESIGN: PROFESSIO
172-13-6329-32-831-4-25-010 READING MATERIALS
1,504.44 1,504.44
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179062
08/21/14
114561
DOYLENE & ASSOCIATES
0210179063
08/21/14
641
Total Check: ECONOMY AWARDS COMPANY
34163
14018916 Plaque for Dianabel Gomez Villarre
Total Check: 0210179064 00455982
08/21/14 JUNE 2014
22069
14017774 MILEAGE FOR THE MONTH OF JUNE - AU
00456086
08/21/14
11639
162-23-6411-46-877-4-30-010 TRAVEL & SUBSISTENCE - EMPLOYEE ONLY 0210179066 00456083
08/21/14 245337
12513
Total Check: JOHNSTONE SUPPLY- PHARR
14018738 CUTLER HAMMER CONTACTOR (C320KGS1)
199-51-6319-00-956-4-99-000 PLUMBING 00456082
245332
00456064
JULY 2014
9331
00456053
08/21/14
14016768 MILEAGE FOR THE MONTH OF MAY2014 T
514132
1282
14018929 7010 516 000 WOODSCUTTER B/C OIL (
Total Check: 00456057
08/21/14 8310
95664
14018636 1 3/4" SC BIRCH DOOR W/6 5/8 FRAME
08/21/14 111912
1519
00455899
08/21/14 JULY 2014
3682
Total Check: SAUCEDA MARIA DE JESUS
14000248 MILEAGE REIMBURSEMENT FOR MARIA D.
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 00455898
AUG. 2014
6926-1
36188
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
16.80
16.80 559.26 559.26 559.26 480.00
480.00 120.00 120.00 120.00 50.40
12.32
62.72
SHERWIN WILLIAMS CO.
14018764 (B31W07700/6403-54494) 5GALLON PRO
199-51-6319-00-956-4-99-000 PLUMBING 6926-1
ACH
1,850.00
12.32 Total Check:
08/22/14
A
590.00
50.40
14000248 MILEAGE REIMBURSEMENT FOR MARIA D.
212-32-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210179072
ACH
1,260.00
REGION ONE ESC
14013061 SCHOOL NURSE EDUCATIONAL CONFERENC
199-33-6239-00-042-4-99-000 EDUCATION SVC CENTER SVCS 0210179071
A
609.38
480.00 Total Check:
00456065
ACH
PALMVIEW DOORS
199-51-6319-00-956-4-99-000 PLUMBING 0210179070
609.38
16.80
Total Check: MISSION AUTO ELECTRIC, INC.
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210179069
A
609.38
LOPEZ GRACIELA
199-21-6411-00-889-4-99-000 TRAVEL - EMPLOYEES 0210179068
ACH
20.16
590.00 Total Check:
08/21/14
A
20.16
1,260.00
14018737 (AC439) MCQUAY BLOWER MOTOR 1/10HP
199-51-6319-00-956-4-99-000 PLUMBING 0210179067
ACH
SANTANA GALVAN R. III WOW CONF. SAN ANTONIO 8/10-13/14
08-10-14
A
35.00
20.16 Total Check:
0210179065
35.00
FLORES INA G.
162-32-6411-00-902-4-30-000 TRAVEL - EMPLOYEES
00455919
Status Description
1,504.44
35.00
199-41-6497-00-701-4-99-000 AWARDS & INCENTIVES
00455919
Status
02
00455977
133
14018764 (B31W07700/6403-54494) 5GALLON PRO
-938.67 -938.67 938.67
AV ACH Void
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00455919
08/21/14 6926-1
36188
0210179073 00455930
08/21/14 4110
13502
4110
Total Check: TRAVEL ADVISORS INTERNATIONAL
14015723 MODEL SCHOOLS CONFERENCE SCHEDULED
08/21/14
00455931
8/10-13/2014
7647
WORKING ON THE WORK CONFERENCE 201
00456068
17941
PETTY CASH
CAMPUS PETTY CASH 2014-15
PETTY CASH
CAMPUS PETTY CASH 2014-15
101-00-1112-00-000-4-00-000 CHANGE FUND 0210179076
08/21/14 443120
54208
Total Check: WALSH,ANDERSON,BROWN,GALLEGOS &
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 447295
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455943
443124
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455942
443126
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455941
445219
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455946
445217
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455940
447301
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455939
447300
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455934
448336
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455935
448337
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455936
451716
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES 00455937
451719
A
ACH
A
ACH
342.82
342.82
VILLARREAL LAURA
101-00-1112-00-000-4-00-000 CHANGE FUND 00456068
ACH
7,297.60
342.82 Total Check:
08/22/14
A
2,919.04
TREVINO ANYSIA R.
162-21-6411-46-877-4-30-010 TRAVEL - EMPLOYEE 0210179075
ACH
4,378.56
2,919.04 Total Check:
A
.00
4,378.56
14015723 MODEL SCHOOLS CONFERENCE SCHEDULED
211-23-6411-00-109-4-30-PRI TRAVEL - EMPLOYEE 0210179074
938.67 938.67
211-13-6411-00-109-4-30-PRI TRAVEL - EMPLOYEE 00455930
00455944
Status Description
SHERWIN WILLIAMS CO.
14018764 (B31W07700/6403-54494) 5GALLON PRO
199-51-6319-00-956-4-99-000 PLUMBING
00455945
Status
02
0210179072
134
14013218 PROFESSIONAL LEGAL SERVICES FOR LA
199-41-6211-00-926-4-99-000 LEGAL SERVICES
-540.25 -540.25
AV ACH Void
540.25 540.25
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
.00 1,010.50 1,010.50 1,440.50 1,440.50 860.00 860.00 4,555.32 4,555.32 13,036.86 13,036.86 967.50 967.50 17,331.38 17,331.38 2,386.50 2,386.50 6,051.80 6,051.80 918.00 918.00 1,075.00 1,075.00 18,965.38 18,965.38
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
00455938
08/21/14 449592
54208
0210179077 00455949
08/21/14 IN0457515
2987
Total Check: WILLIAM V. MACGILL & CO.
14001881 Type 123 Lithium Batteries, set of
199-33-6399-00-118-4-99-000 GENERAL SUPPLIES 00455950
IN0472462
14011803 TRAVELER SE JUNIOR WHEELCHAIR
199-33-6395-00-127-4-99-000 FURN & EQUIP <$500 UNIT COST 0210179079
08/21/14 001383327
13117
Total Check: GALLS, AN ARAMARK COMPANY
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 001413655
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456114
001413793
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456115
001418014
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456116
001429121
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456117
001546986
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456118
001444588
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456119
001482814
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456120
001483119
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456121
001494511
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456122
001494586
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456123
001494665
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456124
001500416
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456125
001644621
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456126
001656046
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456127
001802058
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456128
Status Description
WALSH,ANDERSON,BROWN,GALLEGOS &
14018902 Renewal of Membership legal retain
199-41-6211-00-701-4-99-000 LEGAL SERVICES
00456106
Status
02
0210179076
00456105
Amount Paid Acct Amt.
Account No \ Description Bank No
001802072
135
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS
1,000.00 1,000.00
A
ACH
A
ACH
A
ACH
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
69,598.74 71.32 71.32 274.55 274.55 345.87 750.00 750.00 5,212.34 5,212.34 628.97 628.97 139.78 139.78 750.00 750.00 -207.00 -207.00 6,952.76 6,952.76 908.45 908.45 209.64 209.64 34.96 34.96 209.64 209.64 34.93 34.93 279.53 279.53 -198.00 -198.00 397.50 397.50 -31.50 -31.50 -103.50 -103.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456113
08/21/14 001802074
13117
Status Description
GALLS, AN ARAMARK COMPANY
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
001719575
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
001742649
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
001999180
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
00456109
002023891
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
00456108
001662306
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
001666744
14003307 MENS S/S ZIP FRONT TEXTROP SHIRT
Total Check: 0210179080
08/22/14
00456101
08-21-2014_4
7810
BW NA LIABILITY PYMT 8.22.14
Total Check: 00456092
08/22/14 1094
96970
08/22/14
14017764 28 COLUMS 12" X 12" X 36" USING BR
00456097
08-21-2014_4
73059
Total Check: FMS DMS CBE GROUP, INC. BW LIABILITY PYMTS 8.22.14
Total Check: 00456089
08/22/14
42986
08-21-2014_3
19419
BW LIABILITY PYMTS 8.22.14
Total Check: 00456090
08/22/14
99999
LJISD SUPERINTENDENT GOLF SCHOLARS
SCHOLARSHIP
08/22/14
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14,835.00
14,835.00 144.98 144.98 144.98
99999
554.10 113.00 113.00 113.00 500.00 500.00
Total Check: SPRING 2014
C
RIOS MARIA D.
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179086
Manual
2,552.31
204.43
Total Check: INTERNAL REVENUE SERVICE
103-00-2159-09-000-4-00-000 TAX LIEN............................ 0210179085
M
204.43
199-51-6299-00-957-4-99-000 MISC CONTRACTED SERVICES
00456098
Manual
2,552.31 2,552.31
349.67
1103381459
08/22/14
M
349.67
1103377455
0210179084
Manual
G & K SERVICES
199-51-6299-00-957-4-99-000 MISC CONTRACTED SERVICES 00456088
M
16,114.99
14,835.00
103-00-2159-71-000-4-00-000 DEPT OF TREASURY - FINANCIAL MGMT SR 0210179083
Manual
CENTER STONE SERVICES
199-51-6629-00-956-4-99-000 BLDG PURCHASE/CONST/IMP 0210179082
M
CINDY BOUDLOCHE
103-00-2159-12-000-4-00-000 GARNISHMENT......................... 0210179081
Manual
34.50 34.50
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS
M
69.00 69.00
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456107
Manual
34.50 34.50
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS
M
66.00 66.00
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS
Manual
99.00 99.00
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456110
M
34.50 34.50
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456111
-191.01 -191.01
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00456112
00456093
Status
02
0210179079
136
500.00
TIJERINA YAKELINE
14016498 STUDENTS TUITION FOR SPRING SEMEST
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS Total Check:
175.00 175.00 175.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
11/03/14
00456102
08-21-2014_2
105406
BW NA LIABILITY PYMT 8.22.14
08/22/14
00456099
08-21-2014_2
8898
BW LIABILITY PYMTS 8.22.14
00456103
08-21-2014_1
8898
08/22/14
BW NA LIABILITY PYMT 8.22.14
00456104
08-21-2014_3
10749
08/22/14
00456100
08-21-2014_1
BW NA LIABILITY PYMT 8.22.14
10749
Total Check: U.S. DEPARTMENT OF EDUCATION BW LIABILITY PYMTS 8.22.14
103-00-2159-07-000-4-00-000 DEPT OF EDUCATION................... Total Check: 0210179092 00456091
08/22/14
17941
CAMPUS PETTY CASH 2014-15
PETTY CASH
00456087
51345100
64
00456095
08/22/14
14018481 ALERT 2ML THICK ICE BAG ROLL 1500
66613
JULY2014DISABI
JULY DISABILITY INSURANCE
JULY 2014 LIFE
JULY 2014 ADDITIONAL LIFE INSURANC
103-00-2153-89-000-4-00-000 UNUM 00456094
AUG.2014BASICL
00456150
BUSINESS LIC 8
58432
14017848 FIRE MARSHAL'S WILL BE CONDUCTING
0046929-001
60089
C
Computer
A
ACH
A
ACH
A
ACH
A
ACH
M
Manual
M
Manual
540.25
540.25 2,032.84
2,032.84 122,788.84 122,788.84 55,993.55
3,820.12
182,602.51 5,100.00
5,100.00
COPY PLUS
14018702 1" VIEW RING BINDER WHITE
162-21-6399-60-881-4-30-010 GENERAL SUPPLIES 0046922-001
Computer
135.08
5,100.00 Total Check:
08/22/14
135.08
CITY OF ALTON
199-51-6299-00-956-4-99-000 MISC CONTRACTED SERVICES 0210179096
C
135.08
3,820.12 Total Check:
08/22/14
Computer
624.55
55,993.55 AUG. 2014 COVERAGE-BASIC LIFE INSU
103-00-2153-49-000-4-00-000 UNUM LIFE 0210179095
624.55
2,032.84
Total Check: UNUM LIFE INSURANCE COMPANY OF AMERICA
103-00-2153-51-000-4-00-000 UNUM DISABILITY (EFF. 12-01-2009) 00456096
C
624.55
ALERT SERVICES, INC.
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 0210179094
Computer
1,866.88
540.25 Total Check:
08/22/14
C
1,866.88
VILLARREAL LAURA
101-00-1112-00-000-4-00-000 CHANGE FUND 0210179093
Computer
92.09
1,866.88
Total Check: U.S. DEPARTMENT OF EDUCATION
103-00-2159-07-000-4-00-000 DEPT OF EDUCATION................... 0210179091
C
92.09
TGSLC
103-00-2159-06-000-4-00-000 TGSLC 0210179090
Computer
.00
92.09 Total Check:
08/22/14
C
TGSLC
103-00-2159-06-000-4-00-000 TGSLC 0210179089
CV Computer Void
82.67 82.67
Total Check: 0210179088
-82.67 -82.67
BW NA LIABILITY PYMT 8.22.14
08-21-2014_2
103-00-2159-06-000-4-00-000 TGSLC
00456155
Status Description
PREMIERE CREDIT OF NORTH AMERICA, LLC
103-00-2159-06-000-4-00-000 TGSLC 00456102
00456156
Status
02
0210179087
137
14018732 MARKER,MAGNUM 44,BK
1,072.72 1,072.72 226.44
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456155
08/22/14 0046922-001
60089
226.44
0046906-001
226.44
0046913-001
14018881 TONER
585.16
1,622.02 Total Check:
00456152
08/22/14 28009
60089
28052
14018527 General Session - Aug. 20, 2014 -
00456157
08/22/14 6552
7357
6568
Total Check: EASY RIDE GOLF CARS SALES & SERVICE
14018704 THIS ORDER IS FOR ATHLETICS: REPAI
00456159
08/22/14 0171684-IN
52531
0171480-IN
Total Check: FROG STREET PRESS, INC.
14016907 SING & READ COLOR COLLECTION
TEAC
TEAC
00456162
3423-6
36188
6926-1
14018798 PROMAR 200 ZERO VOC INTERIOR LATEX
00456164
08/22/14 8939
20620
8950
14016304 FIRE AND BURGLARY MONITORING FOR T
14017810 SECURITY SYSTEM AND FIRE ALARM REP
Total Check: 00456165
08/22/14 00559221
17773
08/22/14 0863-000896155
14018513 5'X10' TORCHMATE 2 BOLT TOGETHER M
22065
Total Check: ALLIED WASTE SERVICES #863
14017890 MEMORIAL MIDDLE SCHOOL
101-51-6259-00-044-4-99-010 UTILITIES 0863-000896155
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
5,447.75 1,702.15
938.67
2,640.82 604.16 604.16 684.00
1,288.16
WELDINGHOUSE INC.
152-11-6639-00-004-4-22-010 EQUIP OVER $5,000 0210179103
M
2,339.10
684.00
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179102
Manual
3,108.65
938.67
Total Check: STARR TELECOMMUNICATIONS ETC. LLC
199-51-6299-02-956-4-99-000 SEPTIC/LIFT STATION/GREASE 00456163
M
633.00
1,702.15
14018764 (B31W07700/6403-54494) 5GALLON PRO
199-51-6319-00-956-4-99-000 PLUMBING 0210179101
Manual
SHERWIN WILLIAMS CO.
199-51-6319-00-956-4-99-000 PLUMBING 00456161
M
395.00
2,339.10 Total Check:
08/22/14
Manual
238.00
3,108.65
14016918 SING & READ COLOR COLLECTION
172-11-6329-39-127-4-35-010 READING MATERIALS 0210179100
M
4,630.90
395.00
172-11-6329-39-112-4-35-010 READING MATERIALS 00456160
Manual
2,954.00
238.00
14018704 THIS ORDER IS FOR ATHLETICS: REPAI
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 0210179099
M
1,676.90
2,954.00
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00456158
Manual
3,506.34
1,676.90
14018700 Printing of evelopes, two colors r
199-41-6298-00-701-4-99-000 PRINTING SERVICES 0210179098
M
COPY PLUS
199-21-6298-00-845-4-99-000 PRINTING SERVICES 00456151
Manual
1,622.02
F/HP CLJCP1215 - BLACK
199-51-6399-00-981-4-99-000 GENERAL SUPPLIES 0210179097
M
585.16
14018733 FILTER,LCD,PRVCY,24"
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 00456153
00456166
Status Description
COPY PLUS
14018732 MARKER,MAGNUM 44,BK
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 00456154
00456166
Status
02
0210179096
138
14017890 IRENE GARCIA MIDDLE SCHOOL
18,080.85 18,080.85 18,080.85 481.77 481.77 656.56
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456166
08/22/14 0863-000896155
22065
Status Description
ALLIED WASTE SERVICES #863
14017890 IRENE GARCIA MIDDLE SCHOOL
0863-000896155
0863-000896155
656.56
14017890 LEO J. LEO ELEMENTARY
0863-000896155
14017890 SOLID WASTE SERVICES FOR THE MONTH
0863-000896155
14017890 ESCANDON ELEMENTARY
0863-000896155
0863-000888167
481.77
14017890 MEMORIAL MIDDLE SCHOOL
0863-000888167
14017890 IRENE GARCIA MIDDLE SCHOOL
0863-000888167
0863-000888167
656.56
14017890 LEO J. LEO ELEMENTARY
0863-000888167
14017890 SOLID WASTE SERVICES FOR THE MONTH
0863-000888167
14017890 ESCANDON ELEMENTARY
0863-000888167
481.77
14017890 CAMARENA ELEMENTARY
481.77 Total Check:
00456170
08/22/14 512133-0000717
9458
512133-0000717
14002441 Monthly High capacity point-to-poi
00456171
2826608
1150
00456172
08/26/14
14018473 EARLY FUNCTIONAL COMMUNICATION PRO
1802
4402
Total Check: INSTRUCTIONAL MATERIALS SERVICE REFER TO PO 13008681
152-11-6399-01-001-4-22-010 GENERAL SUPPLIES 0210179108
08/27/14 LA90702
65501
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
C
Computer
28,094.95
56,074.66
LINGUISYSTEMS, INC.
224-31-6339-00-871-4-23-000 TESTING MATERIALS 0210179106
M
27,979.71
28,094.95 Total Check:
08/22/14
Manual
8,143.10
27,979.71
14002441 Monthly High capacity point-to-poi
199-51-6259-00-888-4-99-053 UTILITIES 0210179105
M
AT & T
199-51-6259-00-888-4-99-053 UTILITIES 00456170
Manual
481.77
101-51-6259-00-121-4-99-010 UTILITIES 0210179104
M
481.77
101-51-6259-00-110-4-99-010 UTILITIES 00456167
Manual
656.56 656.56
101-51-6259-00-108-4-99-010 UTILITIES 00456167
M
656.56 656.56
101-51-6259-00-106-4-99-010 UTILITIES 00456169
Manual
656.56
14017890 FLORES ELEMENTARY
101-51-6259-00-104-4-99-010 UTILITIES 00456169
M
656.56 656.56
101-51-6259-00-046-4-99-010 UTILITIES 00456169
Manual
481.77 481.77
101-51-6259-00-044-4-99-010 UTILITIES 00456169
M
481.77
14017890 CAMARENA ELEMENTARY
101-51-6259-00-121-4-99-010 UTILITIES 00456169
Manual
481.77 481.77
101-51-6259-00-110-4-99-010 UTILITIES 00456168
M
656.56 656.56
101-51-6259-00-108-4-99-010 UTILITIES 00456168
Manual
656.56 656.56
101-51-6259-00-106-4-99-010 UTILITIES 00456168
M
656.56
14017890 FLORES ELEMENTARY
101-51-6259-00-104-4-99-010 UTILITIES 00456168
656.56 656.56
101-51-6259-00-046-4-99-010 UTILITIES 00456168
00456432
Status
02
0210179103
139
Total Check: A TO Z TIRE BATTERY, INC
14018608 TIRES 4PLY TURF TRAC CARLISE
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS
511.55 511.55 511.55 100.00 100.00 100.00 1,446.20 1,446.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179108
08/27/14
65501
A TO Z TIRE BATTERY, INC
0210179109
08/27/14
16443
ABECEDARIAN
Total Check: 16042
14018101 EACH ITEM WILL BE FOR STAFF DEVELP
Total Check: 0210179110 00456434
08/27/14 5946
25615
0210179111
08/27/14
14018389 CONSULTANT FEE FOR THREE WEEK TRAI
00456435
AN082514-101
112496
Total Check: ALIGNMENT NASHVILLE, INC.
14018807 Registration fee for Dr. Alda T. B
199-41-6411-01-701-4-99-000 TRAVEL - EMPLOYEES 00456435
AN082514-101
14018807
199-41-6411-02-701-4-99-000 TRAVEL - EMPLOYEES 0210179112
08/27/14 20551
16571
Total Check: ALL STATE FIRE EXTINGUISHERS
14018391 CONTRACTED SERVICES FOR VENT HOOD
101-35-6249-00-008-4-99-010 CONTRACTED MAINT & REPAIR 20465
14018391 BENAVIDES
101-35-6249-00-105-4-99-010 CONTRACTED MAINT & REPAIR 00456454
20466
14018391 FORDYCE
101-35-6249-00-117-4-99-010 CONTRACTED MAINT & REPAIR 00456453
20467
14018391 TABASCO
101-35-6249-00-113-4-99-010 CONTRACTED MAINT & REPAIR 00456452
20468
14018391 FLORES
101-35-6249-00-104-4-99-010 CONTRACTED MAINT & REPAIR 00456451
20469
14018391 LEO J. LEO
101-35-6249-00-106-4-99-010 CONTRACTED MAINT & REPAIR 00456450
20471
14018391 ESCANDON
101-35-6249-00-110-4-99-010 CONTRACTED MAINT & REPAIR 00456437
20472
14018391 EB REYNA
101-35-6249-00-108-4-99-010 CONTRACTED MAINT & REPAIR 00456438
20493
14018391 CAMARENA
101-35-6249-00-121-4-99-010 CONTRACTED MAINT & REPAIR 00456439
20494
14018391 PENA
101-35-6249-00-124-4-99-010 CONTRACTED MAINT & REPAIR 00456440
20495
14018391 CLINTON
101-35-6249-00-123-4-99-010 CONTRACTED MAINT & REPAIR 00456441
20496
14018391 SEGUIN
101-35-6249-00-120-4-99-010 CONTRACTED MAINT & REPAIR 00456442
20498
14018391 BENTSEN
101-35-6249-00-116-4-99-010 CONTRACTED MAINT & REPAIR 00456443
20499
3,034.50 C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
3,034.50
ABYDOS LEARNING
162-13-6291-27-831-4-30-010 CONSULTANT SERVICES
00456455
Status Description
1,446.20
3,034.50
162-13-6399-24-832-4-30-010 GENERAL SUPPLIES
00456456
Status
02
00456433
140
14018391 GONZALEZ
101-35-6249-00-115-4-99-010 CONTRACTED MAINT & REPAIR
15,000.00 15,000.00 15,000.00 600.00 600.00 600.00 600.00 1,200.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00 450.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456444
08/27/14 20501
16571
Status Description
ALL STATE FIRE EXTINGUISHERS 450.00
14018391 DIAZ-VILLARREAL
101-35-6249-00-111-4-99-010 CONTRACTED MAINT & REPAIR 00456445
20502
20503
20504
20505
20541
Total Check: 08/27/14
00456173
08-22-2014_4
13185
MO LIABILITY PYMT 8.25.14
00456458
BBB005319-BB03
90735
00456465
08/27/14
14018522 THIS ORDER IS FOR LA JOYA HIGH SCH
10316984
8412
10316984
Total Check: AMERICAN RED CROSS-HEALTH & SAFETY SVC
14000310 FINE ARTS DEPARTMENT - CPR CERTIFI
10316984
10319904
10318411
10318411
10316984
10318411
14018809 REGISTRATION FEE FOR CTE STAFF GUA
00456467
08/27/14 S050149248
58203
14018952 170217916 20 X 10.00-10/4 CAR TURF
Total Check: 08/27/14 761085
32042
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
324.00
270.00
567.00
500.00
1,000.00
1,000.00
500.00
540.00 540.00
Total Check: AMERICAN TIRE DISTRIBUTORS
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210179117
Computer
1,312.00
500.00
14015847 FIRST AID/CPR/AED CERTIFICATION FO
162-13-6399-00-839-4-30-000 GENERAL SUPPLIES 0210179116
C
1,312.00
1,000.00
152-13-6411-01-895-4-22-010 TRAVEL 00456461
Computer
387.59
1,000.00
14018809 REGISTRATION FEE FOR CTE STAFF GUA
152-13-6411-01-895-4-22-010 TRAVEL 00456464
C
387.59
500.00
14018810 INSTRUCTION FOR TRAINERS FOR CPR C
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456463
450.00
567.00
14018810 INSTRUCTION FOR TRAINERS FOR CPR C
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456462
Computer
9,000.00
270.00
14017744 FINE ARTS FIRST AID CPR AED CERITF
199-21-6399-00-893-4-99-000 GENERAL SUPPLIES 00456459
450.00
324.00
14005656 CPR-FIRST AID TRAINING CLASS FOR F
199-36-6399-18-007-4-99-010 GENERAL SUPPLIES 00456460
450.00
1,312.00
199-21-6399-00-893-4-99-000 GENERAL SUPPLIES 00456466
C
AMERICA TEAM SPORTS
181-36-6399-70-001-4-91-010 GENERAL SUPPLIES 0210179115
450.00
387.59 Total Check:
08/27/14
Computer
ALLIED INTERSTATE LLC
103-00-2159-24-000-4-00-000 ALLIED INSTERSTATE LLC 0210179114
C
450.00
14018391 PAREDES
101-35-6249-00-122-4-99-010 CONTRACTED MAINT & REPAIR 0210179113
450.00
450.00
14018391 CHAPA
101-35-6249-00-109-4-99-010 CONTRACTED MAINT & REPAIR 00456449
Computer
450.00
14018391 MENDIOLA
101-35-6249-00-127-4-99-010 CONTRACTED MAINT & REPAIR 00456448
C
450.00
14018391 EVANGELINA GARZA
101-35-6249-00-126-4-99-010 CONTRACTED MAINT & REPAIR 00456447
450.00 450.00
14018391 ZAPATA
101-35-6249-00-118-4-99-010 CONTRACTED MAINT & REPAIR 00456446
00456468
Status
02
0210179112
141
4,701.00 294.56 294.56 294.56
ANTONIO STRAD VIOLIN
14018445 MEMORIAL M.S. ORCHESTRA - ALL ITEM
170.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456468
08/27/14 761085
32042
Status Description
ANTONIO STRAD VIOLIN
14018445 MEMORIAL M.S. ORCHESTRA - ALL ITEM
199-11-6249-08-044-4-11-010 CONTRACTED MAINT & REPAIR 00456469
758033
14018445 MEMORIAL M.S. ORCHESTRA - ALL ITEM
199-11-6249-08-044-4-11-010 CONTRACTED MAINT & REPAIR 00456470
758032
14018445 MEMORIAL M.S. ORCHESTRA - ALL ITEM
199-11-6249-08-044-4-11-010 CONTRACTED MAINT & REPAIR 0210179118 00456476
08/27/14 040577
42285
Total Check: AUTOMATED LOGIC - CORPORATION
13008345 DIAZ/VILLARREAL ELEMENTARY
697-81-6629-06-960-4-99-000 CHAVEZ MIDDLE SCHOOL DIRECT DIGITAL 00456477
039382
13008345 INSTALLATION OF A DIRECT DIGITAL C
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL 00456480
039382
13008345 DIAZ/VILLARREAL ELEMENTARY
697-81-6629-06-960-4-99-000 CHAVEZ MIDDLE SCHOOL DIRECT DIGITAL 00456481
055337
14017379 INSTALLATION OF DIRECT DIGITAL CON
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL 00456479
044581
00456478
049106
Total Check: 00456389
08/27/14
84069
162-13-6411-32-112-4-30-010 TRAVEL - EMPLOYEES 08/27/14
00456174
08-22-2014_7
7810
MO LIABILITY PYMT 8.25.14
Total Check: 00456310
08/27/14 INV0017630
15767
00456311
08/27/14
14017466 RENTAL SERVICES FOR ELECTRIC FORKL
0240990-001
106879
14017756 2" x 60" YARDS MASKING TAPE 6 Roll
00456312
FEA98505
104248
14016542 2015 FORD F-350 XLT 4X4 CREW CAB B
08/27/14
20997
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
24,260.75 24,260.75 9,914.79 9,914.79 3,760.86 3,760.86 93,155.00 93,155.00
13,986.37
21,600.00 166,677.77 114.87
114.87 13,159.29 13,159.29 13,159.29 1,060.50
1,060.50 1,114.00
1,114.00 42,641.00 42,641.00
Total Check: B002414936
C
CALDWELL COUNTRY FORD
152-11-6631-00-895-4-22-010 VEHICLES > $5,000.00 0210179124
Computer
282.00
1,114.00 Total Check:
08/27/14
80.00
1,060.50
Total Check: BUFFALO BUSINESS PRODUCTS, LLC
199-00-1310-00-000-4-00-000 INVENTORY 0210179123
C
80.00
BRIGGS EQUIPMENT
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 0210179122
Computer
CINDY BOUDLOCHE
103-00-2159-12-000-4-00-000 GARNISHMENT......................... 0210179121
32.00
114.87 Total Check:
0210179120
C
32.00
BERMEA IRIS CAMT CONF IN FORT WORTH ON 7/20-23
07-20-2014
170.00
21,600.00
13017188
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL 0210179119
170.00
13,986.37
13017967
697-81-6629-05-960-4-99-000 ELEM SCHOOLS DIRECT DIGITAL CONTROL
00456314
Status
02
0210179117
142
42,641.00
CARRIER CORPORATION
14018524 CONTRACTED SERVICES/CHECK PALMVIEW
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS
460.00 460.00
Total Check:
460.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456315
08/27/14 26091280-00
68136
25326470-00
08/27/14
00456317
S2571912.001
20778
S2570273.001
14018348 JANITORIAL SUPPLIES
S2570273.002
NW70444
20155
NW70446
14011703 EACH ITEM WILL BE USED FOR STAFF D
14012464 ACAS MS DEL + OFFICE PRO PLUS 2013
14012629 ACAD MS SEL+ OFFICE PRO PLUS 2013
224-11-6399-00-111-4-23-010 GENERAL SUPPLIES 00456342
ML74881
14016190 ACAD - OFFICE PRO PLUS 2013
199-11-6399-00-111-4-11-000 GENERAL SUPPLIES 00456321
NW79058
14016348 ACAD MS SEL-OFFICE PRO PLUS 2013 M
199-11-6399-00-008-4-99-000 GENERAL SUPPLIES 00456320
NT04388
14017553 HP LJ ENT M603XH MFG#: CE996A#BGJ
199-41-6397-00-942-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456338
NT61277
14017553 HPE 3YR 9x5NBD LJ M603 MFG# HZ503E
199-41-6399-00-942-4-99-000 GENERAL SUPPLIES 00456322
NT69748
14017553 HP LJ ENT M603XH MFG#: CE996A#BGJ
54.09
54.09
54.09
270.45
1,514.52
566.46
25.14
14018281 CISCO IP PHONE 7841-VOIP PHONE
474.50
199-23-6397-00-122-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
474.50
14018281 CISCO IP PHONE 7841-VOIP PHONE
19.34
199-23-6397-00-122-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 NQ27249
14018670 TRANSCEND JETFLASH 500 - USB FLASH
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 00456328
NT87573
14018753 FUJITSU SCANSNAP 1X500 DCUMENT SCA
286-11-6397-00-007-1-30-000 TECH EQUIP FROM $500 - $ 4999.99 00456329
NS63168
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
445.07
199-23-6397-00-122-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
00456327
C
566.46
25.14
NT16087
Computer
2,388.26 2,388.26
319.80
00456326
C
1,514.52
14018281 CISCO IP PHONE 7841-VOIP PHONE
NS41446
Computer
270.45
199-23-6397-00-122-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
00456325
C
54.09
319.80
NR18469
Computer
54.09
445.07
00456324
C
54.09
14018281 CISCO IP PHONE 7841-VOIP PHONE
NM64492
Computer
886.25
199-41-6397-00-942-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456323
C
CDW GOVERNMENT, INC.
224-11-6399-00-107-4-23-010 GENERAL SUPPLIES 00456341
Computer
-887.52 -887.52
211-21-6399-27-830-4-30-010 GENERAL SUPPLIES NW70448
C
887.52 887.52
14018348 PAPER / PLASTIC PRODUCTS FOR THE M
Total Check: 08/27/14
Computer
442.72
886.25
14018348 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 0210179127
C
886.25
101-35-6342-00-958-4-99-000 NON-FOOD 00456319
Computer
CC DISTRIBUTORS, INC.
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00456318
C
-4,793.52 -4,793.52
Total Check: 0210179126
5,236.24 5,236.24
14015875 06ET235360 COMPRESSOR 208/230/460-
199-51-6319-00-956-4-99-000 PLUMBING
00456340
Status Description
CARRIER ENTERPRISE, LLC - S.C.
14018752 06DS5376BC0600 COMPRESSOR 460-3PH
199-51-6319-00-956-4-99-000 PLUMBING 00456316
00456339
Status
02
0210179125
143
14018754 HP LASERJET 600 M603 TONER FOR PAY
199-41-6399-00-942-4-99-000 GENERAL SUPPLIES
19.34 1,045.50 1,045.50 1,911.92 1,911.92 1,137.42 1,137.42
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456330
08/27/14 NS96300
20155
1,492.35
NV88924
14018780 HP LASER JET MFG;CC494A#BGJ
199-12-6397-00-888-4-99-000 TECH EQUIP FROM 500-4999.99 00456331
NV88924
NW50947
NW50947
NX43559
NX43559
14018780 HP LASER JET MFG;CC494A#BGJ
NT87090
NV54818
NW67733
NV46245
NV46245
14018939 FUJITSU SCANSNAP iX500-DOCUMENT SC
199-51-6397-00-957-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456337
NV46245
14018939 LOGITECH WIRELESS WAVE COBO MK550
Total Check: 00456343
08/27/14 1095
96970
08/27/14
14018486 REMOVE AND INSTALL WALL AND FLOOR
00456347
S1769696.001
400
Total Check: CENTRAL PLUMBING & ELECTRIC
14018487 SFC-120 20" S/ST LAV. SUPPLY LINES
199-51-6319-00-956-4-99-000 PLUMBING S1777512.001
14018782 50W METAL HALIDE MED BASE CLEAR LA
199-51-6319-00-956-4-99-000 PLUMBING S1777999.001
14018851 14717 11360 11360 24 INCH CAMCO WA
199-51-6319-00-956-4-99-000 PLUMBING 00456349
S1783253.001
14018956 EP232IS/MV/MC F32T8 2 LAMP ELECT.
199-51-6319-00-956-4-99-000 PLUMBING 00456344
S1782421.001
14018941 BN 3/4XC 3/4XCLOSE BRASS NIPPLE (P
199-51-6319-00-956-4-99-000 PLUMBING 00456348
S1781646.001
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
82.99
195.15
281.28 281.28 450.79 450.79 123.84
16,238.20
CENTER STONE SERVICES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179129
Computer
56.40
123.84
199-51-6399-00-981-4-99-000 GENERAL SUPPLIES 0210179128
290.29
195.15
14018939 DYMO LABELWRITER 450 TWIN TURBO
199-51-6395-00-981-4-99-000 FURN & EQUIP <$500 UNIT COST 00456337
C
290.29
82.99
14018911 ITEM # 3203952 QUOTE # FMLM957 ACC
199-34-6399-01-972-4-99-000 GENERAL SUPPLIES 00456337
163.20
56.40
14018848 Kensington Presenter Expert Green
162-13-6399-54-831-4-30-010 GENERAL SUPPLIES 00456336
Computer
163.20
145.11
14018811 StarTech.com USB to VGA External V
199-41-6399-00-947-4-99-000 GENERAL SUPPLIES 00456335
C
145.11
14018780 HP 3YR CARE PACK
199-12-6399-00-888-4-99-000 GENERAL SUPPLIES 00456334
1,729.82
81.59
199-12-6397-00-888-4-99-000 TECH EQUIP FROM 500-4999.99 00456333
Computer
81.59
14018780 HP 3YR CARE PACK
199-12-6399-00-888-4-99-000 GENERAL SUPPLIES 00456333
C
1,729.82
864.74
14018780 HP LASER JET MFG;CC494A#BGJ
199-12-6397-00-888-4-99-000 TECH EQUIP FROM 500-4999.99 00456332
1,492.35
864.74
14018780 HP 3YR CARE PACK
199-12-6399-00-888-4-99-000 GENERAL SUPPLIES 00456332
00456346
Status Description
CDW GOVERNMENT, INC.
14018778 HP LJ ENT 600 M602N
199-53-6397-00-954-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456331
00456345
Status
02
0210179127
144
14018940 LAVATORY SINK WHITE (PLU-286)
199-51-6319-00-956-4-99-000 PLUMBING
13,298.40 13,298.40 13,298.40 82.64 82.64 200.30 200.30 6.63 6.63 879.39 879.39 292.21 292.21 1,520.54 1,520.54
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179129
08/27/14
400
CENTRAL PLUMBING & ELECTRIC
0210179130
08/27/14
20052
CHILDREN'S PLUS,INC.
Total Check: 101735
14014494 CATALOG BOOKS (SEE ATTACHED LIST)
101565
14014981 Reading book: Title-DAYS WORK/EVE
104004
14018526 CLASSROOM LIBRARY SEE ATTACHED LIS
00456391
08/27/14
103993
Total Check: COLORADO BOXED BEEF CO.
6857219
DELIVERY SERV CHG FOR FOOD & FUEL
Total Check: 0210179132 00456353
08/27/14 00003758
13478
14018784 HP 600 G1 DESKTOP, COMPUTER FOR CL
Total Check: 00456392
08/27/14
22489
07-20-2014
00456354
08/27/14
CAMT CONF IN FORT WORTH ON 7/20-23
2311
67067
2311
Total Check: D.M.R. EDUCATIONAL CONSULTING, INC.
14016561 CONSUTANT SERVICES BY DR DIANA RAM
2315
2315
2311
00456359
08/27/14 8202014
Total Check: DANIEL'S PRINTING PLACE
14018245 FOOTBALL TICKETS: LA JOYA COYOTES
00456393
67113
DE LA O
07-20-2014
CAMT CONF IN FORT WORTH ON 7/20-23
XJJ6F4NM2
9529
DELL MARKETING
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
14015379 DELL COLOR PRINTER C266DN (210-ABP
14015379
C
Computer
40.00
3,000.00
12,000.00 4,374.90
4,374.90 144.94
144.94
L.P.
224-11-6397-00-109-4-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 XJJ6F4NM2
Computer
3,000.00
144.94 Total Check:
08/27/14
C
3,000.00
JOSE
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179137
Computer
107.24
4,374.90 Total Check:
08/27/14
C
107.24
3,000.00
181-36-6298-01-863-4-91-010 PRINTING SERVICES 0210179136
Computer
794.00
40.00
14017631 DR DIANA RAMIREZ LITERATURE BASED
85006
C
794.00 794.00
2,960.00
14018785 DR. DIANA RAMIREZ LITERATURE BASED
162-13-6291-02-116-4-30-000 CONSULTING SERVICES 0210179135
Computer
2,960.00
199-13-6291-00-116-4-11-000 CONSULTANT SERVICES 00456357
C
2,960.22
3,000.00
14018785
162-13-6291-02-116-4-30-000 CONSULTING SERVICES 00456358
Computer
2,960.22
3,000.00
14016562 INSERVICE ON LITERATURE-BASED STAA
162-13-6291-00-111-4-30-000 CONSULTING SERVICES 00456356
C
6,996.94
107.24
162-13-6291-00-109-4-30-000 CONSULTING SERVICES 00456355
Computer
CRISTINO DAVID
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179134
C
CRC
199-12-6397-00-888-4-99-000 TECH EQUIP FROM 500-4999.99 0210179133
Computer
3,065.00
2,960.22
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
C
433.95
3,065.00
199-11-6329-00-886-4-11-000 READING MATERIALS 0210179131
3,497.99
433.95
211-11-6329-62-120-4-30-000 READING MATERIALS 00456350
00456362
Status Description
2,981.71
3,497.99
199-11-6329-00-120-4-11-000 READING MATERIALS 00456351
00456362
Status
02
00456352
145
325.00 325.00 325.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456362
08/27/14 XJJ6F4NM2
9529
DELL MARKETING
Status Description
L.P.
14015379
325.00
224-11-6397-00-118-4-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456361
XJJ6D8K89
14018247 DELL COLOR PRINTER - C2660DN (210-
224-11-6397-00-112-4-23-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456360
XJFTCFNJ7
14018426 DELL PAGE BLACK TONER CARTRIDGE
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210179138 00456364
08/27/14 1667
1666
08/27/14
00456175
08-22-2014_3
1,007.81
15288
1,007.81
MO LIABILITY PYMT 8.25.14
Total Check: 08/27/14
00456367
DE77001041-14
108448
00456368
08/27/14
14011833 CHLORINE 150# (WASTE WATER TREATME
3041
21802
Total Check: DUAL LANGUAGE TRAINING INSTITUTE
14015256 CONSULTANT SERVICES- DESCRIPTION O
172-13-6291-39-860-4-25-010 CONSULTANT SERVICES
00456369
08/27/14 MAY 2014
42455
00456176
08-22-2014_1
79502
MO LIABILITY PYMT 8.25.14
00456370
PHS JV TOURNY
3203
00456387
08/27/14
14018917 THIS ORDER IS FOR PALMVIEW HS: EDI
PHS JV 8/22-23
3203
08/27/14
14018919 THIS ORDER IS FOR PALMVIEW HS: J.
PHS DARK VB 8/
3203
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
587.15 34.88 34.88 34.88 36,000.00
36,000.00 214.48
214.48 853.42
853.42 125.00 125.00
Total Check: J.ECONOMEDES HIGH SCHOOL
181-36-6412-69-004-4-91-011 TRAVEL - STUDENTS 0210179146
C
EDINBURG HIGH SCHOOL
181-36-6412-69-004-4-91-010 TRAVEL - STUDENTS 0210179145
587.15
853.42 Total Check:
08/27/14
Computer
ECMC
103-00-2159-06-000-4-00-000 TGSLC 0210179144
C
587.15
214.48 Total Check:
08/27/14
Computer
EBRAHIM GINA
14011610 MILEAGE REIMBURSEMENT FOR FEBUARY
192-11-6411-00-041-4-23-010 TRAVEL - EMPLOYEES 0210179143
C
1,433.71
36,000.00 Total Check:
0210179142
Computer
DPC INDUSTRIES, INC.
199-51-6269-02-956-4-99-000 RENTAL OF TANKS/WELDING & AC DEPARTM 0210179141
C
425.90 425.90
Total Check: DIVERSIFIED COLLECTION SERVICES, INC.
Computer
533.45
14018913 FLOOR TILE 2019-2013 (PAINT-95)
103-00-2159-30-000-4-00-000 AES/PHEAA........................... 0210179140
325.00
1,508.45
14018914 FLOOR TILE (PAINT-95)
C
325.00
Total Check: DIAZ FLOOR AND INTERIORS, INC.
10477
199-51-6319-00-956-4-99-000 PLUMBING 0210179139
325.00
533.45
199-51-6319-00-956-4-99-000 PLUMBING 00456365
00456388
Status
02
0210179137
146
125.00 125.00 125.00
Total Check: ROBERT VELA HIGH SCHOOL
14018918 THIS ORDER IS FOR PALMVIEW HS: ROB
181-36-6412-69-004-4-91-011 TRAVEL - STUDENTS
125.00 125.00 125.00
Total Check:
125.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456376
08/27/14 SI-526713
95621
Status Description
FIRST TO THE FINISH
14011117 THIS ORDER IS FOR JUAREZ-LINCOLN H
SI-526714
14012360 THIS ORDER IS FOR PALMVIEW HS BOYS
SI-526711
14012361 THIS ORDER IS FOR PALMVIEW HS BOYS
SI-523458
14017240 THIS ORDER IS FOR PALMVIEW HS BOYS
00456382
SI-524610
14017240 THIS ORDER IS FOR PALMVIEW HS BOYS
00456383
SI-526532
14017412 THIS ORDER IS FOR JUAREZ LINCOLN H
SI-522893
14017490 THIS ORDER IS FOR JUAREZ LINCOLN H
SI-520977
14017491 THIS ORDER IS FOR PALMVIEW HIGH SC
SI-520640
14017491 THIS ORDER IS FOR PALMVIEW HIGH SC
SI-521669
14017491 THIS ORDER IS FOR PALMVIEW HIGH SC
0210179148 00456394
08/27/14
6208
Total Check: FLORES MARIA ROSANELIA PBIS-TX BEHAVIOR SUPPORT STATE CON
06-22-2014
0210179149 00456182
08/27/14 INV0504679
9665
Total Check: G T DISTRIBUTORS, INC.
14018706 BERETTA 96A1. 40SW 12Rnd BLK
199-52-6398-01-993-4-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999 Total Check: 0210179150 00456183
08/27/14
22086
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES
00456184
08/27/14
44873
162-13-6411-32-106-4-30-010 TRAVEL - EMPLOYEES 0210179152 00456185
08/27/14 3873369-0
111058
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14016665 FISKARS TRIMMER - SURECUT
41464
15808
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,876.25 1,876.25 1,876.25 741.78
741.78 123.55
123.55 84.71 84.71
Total Check: 08/27/14
Computer
209.07
123.55
199-12-6399-01-112-4-99-000 GENERAL SUPPLIES 0210179153
C
GARCIA STEPHANIE ATTEND CAMT CONF. 2014 IN FORT WOR
07-20-14
Computer
209.07
741.78 Total Check:
0210179151
C
GARCIA BRENDA ATTEND CAMT 2014 IN FORT WORTH
07-20-14
Computer
3,129.29
209.07
199-32-6411-00-901-4-99-000 TRAVEL - EMPLOYEES
C
61.80 61.80
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES
Computer
123.60 123.60
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES 00456378
C
134.10 134.10
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES 00456379
Computer
206.75 206.75
181-36-6399-88-004-4-91-010 GENERAL SUPPLIES 00456380
C
572.00 572.00
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 00456384
Computer
309.70 309.70
181-36-6399-82-007-4-91-010 GENERAL SUPPLIES
C
557.46 557.46
181-36-6399-82-007-4-91-010 GENERAL SUPPLIES
Computer
549.61 549.61
181-36-6399-70-007-4-91-010 GENERAL SUPPLIES 00456381
C
549.61 549.61
181-36-6399-70-007-4-91-010 GENERAL SUPPLIES 00456377
64.66 64.66
181-36-6399-70-004-4-91-010 GENERAL SUPPLIES 00456375
00456186
Status
02
0210179147
147
84.71
GATTI'S PIZZA #408
14018884 Meals for students and sponsors pa
199-36-6412-00-942-4-99-000 STUDENT TRAVEL
1,163.00 1,163.00
Total Check:
1,163.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179154 00456225
08/27/14 33868
67954
MGCHRISTI LTD
14017110 Mr. Gatti's Meal - for UIL Trip TO
00456188
08/27/14 83831
86487
Total Check: GOLD STAR PETROLEUM, INC.
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
83832
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
Total Check: 0210179156 00456194
08/27/14 JAN. 2014
20000
MAR. 2014
14000212 Mileage for Romeo Gonzalez VN#2000
APR. 2014
MAY 2014
JULY 2014
AUG. 2014
08/27/14
00456177
08-22-2014_2
31631
00456196
08/27/14
Total Check: GREAT LAKES HIGHER EDUCATION MO LIABILITY PYMT 8.25.14
38199
Total Check: HARLAND TECHNOLOGY SERVICES
00456199
08-15-2014
2363
00456200
08/27/14
14018962 GAME WORKER SERVICES FOR LA JOYA V
14068
Total Check: HINOJOSA ENGINEERING STRUCTURAL & CIVIL RE-DESIGN
12-171(A)
199-81-6629-00-960-4-99-051 NATATORIUM 0210179161
08/27/14
00456178
08-22-2014_9
21906
Total Check: INTERNAL REVENUE SERVICE MO LIABILITY PYMT 8.25.14
103-00-2159-09-000-4-00-000 TAX LIEN............................ 0210179162
08/27/14
00456179
08-22-2014_8
19419
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
363.29
363.29
1,034.00
HERNANDEZ THELMA
181-36-6299-00-863-4-91-010 MISC CONTRACTED SERVICES 0210179160
Computer
112.00
1,034.00 Total Check:
08/27/14
C
1,034.00
286-11-6249-00-004-1-30-000 CONTRACTED SERVICES 0210179159
Computer
32.48
363.29
SCANTRON INSURANCE
13541311
C
26.32
32.48
103-00-2159-34-000-4-00-000 GREAK LAKES 0210179158
Computer
11.20
26.32
14000212 Mileage for Romeo Gonzalez VN#2000
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 0210179157
C
8.40
11.20
14000212 Mileage for Romeo Gonzalez VN#2000
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456192
Computer
16.80
8.40
14000212 Mileage for Romeo Gonzalez VN#2000
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456191
C
16.80
16.80
14000212 Mileage for Romeo Gonzalez VN#2000
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456193
Computer
20,815.72
16.80
14000212 Mileage for Romeo Gonzalez VN#2000
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456190
C
13,269.56
GONZALEZ ROMEO
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456195
Computer
7,546.16
13,269.56
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS
C
500.00
7,546.16
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00456187
500.00 500.00
211-11-6412-00-108-4-30-000 TRAVEL - STUDENTS 0210179155
148
Total Check: INTERNAL REVENUE SERVICE MO LIABILITY PYMT 8.25.14
25.00 25.00 25.00 15,000.00 15,000.00 15,000.00 351.35 351.35 351.35 100.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/27/14
00456179
08-22-2014_8
19419
Status Description
INTERNAL REVENUE SERVICE MO LIABILITY PYMT 8.25.14
103-00-2159-09-000-4-00-000 TAX LIEN............................ 0210179163 00456202
08/27/14
41718
011984
00456204
08/27/14 124506
4048
Total Check: REPLACEMENT OF THE POWER SUPPLY
1,479.89
123530
14017362 CAKES & PASTRIES FOR CATERING REQU
00456205
08/27/14 05831063
4517
Total Check: J.W. PEPPER & SON INC.
14018858 SHEET MUSIC - NOW MY HEART- ARR LI
199-36-6399-92-001-4-11-010 GENERAL SUPPLIES
00456214
08/27/14 230943
11982
230907
230908
14018944 16 X 25 X 2 MERV 8 PLEATED FILTERS
230906
230905
230904
230901
230902
230903
14018862 24 X 24 X
00456215
29188011
14234
29188014
14018682 1.434028 4SHP13LC160F
5.0T 13S HP
16626755
18473
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
535.81
161.30
124.99
26.95
224.92
6,308.14 3,842.78
119.24 119.24
Total Check: 08/27/14
C
1,248.82
3,842.78
14017114 BROWNING BX-108 FAN BELT
199-51-6319-00-956-4-99-000 PLUMBING 0210179168
Computer
JOHNSON SUPPLY
199-51-6319-00-956-4-99-000 PLUMBING 00456216
C
1,174.97
224.92 Total Check:
08/27/14
Computer
807.30
26.95 PLEATED FILTERS (AIR-26
199-51-6319-00-956-4-99-000 PLUMBING 0210179167
C
2,003.08
124.99
14018861 20 X 25 X 2 PLEATED FILTERS (AIR-2
199-51-6319-00-956-4-99-000 PLUMBING 00456206
Computer
153.79
161.30
14018860 POLY ROLLO 30 X 90 X 1 (AIT-150)
199-51-6319-00-956-4-99-000 PLUMBING 00456207
C
153.79
535.81
14018863 20 X 25 X 2 PLEATED FILTERS (AIR-2
199-51-6319-00-956-4-99-000 PLUMBING 00456208
Computer
793.50
1,248.82
14018864 16 X 25 X 1 PLEATED FILTERS (AIR-5
199-51-6319-00-956-4-99-000 PLUMBING 00456209
708.00
1,174.97
14018865 18 X 24 X 2 PLEATED FILTERS (AIR-3
199-51-6319-00-956-4-99-000 PLUMBING 00456210
C
708.00
807.30
14018946 20 X 25 X 2 MERV 8 PLEATED FILTERS
199-51-6319-00-956-4-99-000 PLUMBING 00456211
Computer
85.50
2,003.08
199-51-6319-00-956-4-99-000 PLUMBING 00456212
C
JOE W. FLY CO., INC.
14018945 20 X 25 X 2 MERV 8 PLEATED FILTERS
199-51-6319-00-956-4-99-000 PLUMBING 00456213
Computer
1,479.89
153.79 Total Check:
0210179166
1,479.89
85.50
14018943 CAKES FOR STUDENT SERVICES MEETING
199-32-6498-00-901-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210179165
C
IRMA'S SWEETE SHOPPE
101-35-6341-03-958-4-99-000 FOOD 00456203
100.00
IPI TEK
Total Check: 0210179164
100.00
100.00
199-41-6397-00-989-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99
00456223
Status
02
0210179162
149
3,962.02
JOSTENS INC.
14013680 HONOR STOLES (WHITE W/RED EMBROIDE
2,028.98
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456223
08/27/14 16626755
18473
16655592
14013681 DIPLOMA COVERS
16661671
14013681 DIPLOMA COVERS
16868889
Total Check: 08/27/14 08257190
3945
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
14018456 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00456488
08257191
14018456 SPECIAL DIETS
101-35-6341-04-958-4-99-000 FOOD 00456489
08193505
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00456490
08219662
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00456491
08180406
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00456492
08180390
14017427 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00456493
08177266
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00456493
08177266
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD 00456494
08177312
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00456494
08177312
14018456 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00456495
08177620
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00456495
08177620
14018456 CATERING
101-35-6341-03-958-4-99-000 FOOD 00456487
08177620
14018456 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00456487
08177620
14018456 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00456486
08180389
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-00-958-4-99-000 FOOD 00456486
08180389
Computer
1,936.34
C
Computer
2,922.27
C
Computer
161.22
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
7,048.81
LABATT FOOD SERVICE
101-35-6341-00-958-4-99-000 FOOD 08257190
C
161.22
14013681 DIPLOMA COVERS
199-11-6499-00-001-4-99-010 MISCELLANEOUS OPERATING COST 0210179169
2,028.98
2,922.27
199-11-6499-00-001-4-99-010 MISCELLANEOUS OPERATING COST 00456222
2,028.98
1,936.34
199-11-6499-00-001-4-99-010 MISCELLANEOUS OPERATING COST 00456221
00456483
Status Description
JOSTENS INC.
14013680 HONOR STOLES (WHITE W/RED EMBROIDE
199-11-6499-00-001-4-99-010 MISCELLANEOUS OPERATING COST 00456224
00456483
Status
02
0210179168
150
14018456 BREAKFAST
101-35-6341-01-958-4-99-000 FOOD
577.98 577.98 2,668.36 2,668.36 104.76 104.76 11,553.60 11,553.60 749.00 749.00 34,284.80 34,284.80 2,032.78 2,032.78 32,946.00 32,946.00 26,385.55 26,385.55 31,497.13 31,497.13 588.50 588.50 24,557.11 24,557.11 1,133.54 1,133.54 1,206.43 1,206.43 1,144.62 1,144.62 19,966.15 19,966.15 6,563.25 6,563.25
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456485
08/27/14 08181332
3945
Status Description
LABATT FOOD SERVICE -69.18
14018456 CATERING
-69.18
101-35-6341-03-958-4-99-000 FOOD 00456484
08181344
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
0210179170 00456496
08/27/14 4709370814
4253
Total Check: LAKESHORE LEARNING MATERIALS
14018740 LEARNING CENTER POCKET CHARTS - FO
Total Check: 0210179171 00456498
08/27/14 3129
82899
SBX-387
14018342 ELECTRONIC VERSION NEW STAAR FIELD
3198
00456502
08/27/14 45337
80616
14011855 GMI 30.0 MIL MATTE WHITE MAGNETIC
00456503
10773
9409
10814
14018592 ASAP OPEN PARTS FOR AUG 4 THRU AUG
10809
10808
00456507
APR. 2014
19318
00456510
AUG. 2014
86746
54.32
14000784 MILEAGE FOR LPAC CLERK TO ATTEND L
399578
18317
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
172.48
LOPEZ ANNA M. 5.60 5.60 Total Check:
08/27/14
C
54.32
172-23-6411-39-042-4-25-000 TRAVEL 0210179176
Computer
64.40
53.76
MILEAGE
Total Check: 08/27/14
C
53.76
199-23-6411-00-112-4-99-000 TRAVEL - EMPLOYEES 0210179175
Computer
6,709.76
64.40
MILEAGE
MAY 2014
C
1,873.92
LOPEZ ANDREA
199-23-6411-00-112-4-99-000 TRAVEL - EMPLOYEES 00456509
Computer
105.30
3,369.68
14002122 MILEAGE FOR THE MONTHS OF OCTOBER
MAR. 2014
C
3,286.00
3,369.68
199-23-6411-00-112-4-99-000 TRAVEL - EMPLOYEES 00456508
Computer
3,286.00
1,360.86
14018891 TURBO KIT
Total Check: 08/27/14
C
1,360.86
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 0210179174
Computer
6,500.00
1,873.92
14018891 TURBO KIT
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00456506
C
450.00
105.30
14018906 HIGH PRESSURE PUMP MAXX
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00456505
Computer
LONGHORN BUS SALES
199-00-1310-02-000-4-00-000 INVENTORY-BUS PARTS 00456504
C
5,600.00
3,286.00 Total Check:
08/27/14
Computer
450.00
450.00
Total Check: LODDE TYPEWRITER COMPANY
752-00-6399-00-885-4-99-000 GENERAL SUPPLIES 0210179173
C
4,900.20
5,600.00
14018866 ELECTRONIC VERSION NEW STAAR FIELD
162-13-6399-32-832-4-30-010 GENERAL SUPPLIES 0210179172
Computer
4,900.20
450.00
14018075 LEAD4WARD CONTRACT FOR SERVICE:STA
211-13-6291-00-043-4-30-FOC CONSULTING SERVICES 00456499
C
LEAD4WARD, LLC
162-13-6399-32-831-4-30-010 GENERAL SUPPLIES 00456497
Computer
197,854.34
4,900.20
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES
C
-36.04 -36.04
101-35-6341-00-958-4-99-000 FOOD
00456544
Status
02
0210179169
151
5.60
MACKIN LIBRARY MEDIA
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
385.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456544
08/27/14 399578
18317
399582
399823
399598
00456540
399599
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
0210179177 00456545
08/27/14 28052
9135
Total Check: MAGAZINE SUBSCRIPTIONS
14018035 NATIONAL GEOGRAPHIC FOR KIDS
Total Check: 0210179178 00456546
08/27/14
32476
FORT WORTH TEXAS
00456555
01-339212-00
107034
01-335229-00
Total Check: MATTS BUILDING MATERIALS INC.
14018964 20612 2 X 6 X 12 TREATED LUMBER (L
01-339515-00
00456559
14017866
5355
14017513
14017866 THIS ORDER IS FOR PALMVIEW GIRLS W
14017432
14017431
14016016
SIP80281
11609
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
157.50
283.50
138.00
815.25
MECA SPORTSWEAR, INC.
14016017
199-36-6497-06-001-4-11-010 AWARDS & INCENTIVES SIP80281
C
131.25
138.00 Total Check:
08/27/14
Computer
105.00
283.50
14016016 THIS ORDER IS FOR CHAVEZ MS FOOTBA
181-36-6399-68-042-4-91-010 GENERAL SUPPLIES 0210179181
C
6,057.75
157.50
14017431 THIS ORDER IS FOR LA JOYA HIGH SCH
181-36-6399-88-001-4-91-010 GENERAL SUPPLIES 00456560
Computer
-8.98
131.25
14017432 THIS ORDER IS FOR LA JOYA HIGH SCH
181-36-6399-74-001-4-91-010 GENERAL SUPPLIES 00456556
C
2,316.78
105.00
14017513 THIS ORDER IS FOR JUAREZ LINCOLN H
181-36-6399-88-004-4-91-010 GENERAL SUPPLIES 00456557
Computer
MCALLEN SPORTS, INC.
181-36-6399-88-007-4-91-010 GENERAL SUPPLIES 00456558
C
3,749.95
-8.98 Total Check:
08/27/14
Computer
156.48
2,316.78
14018868 120949 #949 CEILING TILE 2 X 2 (CO
199-51-6319-00-956-4-99-000 PLUMBING 0210179180
C
4,090.00
3,749.95
14018868 120949 #949 CEILING TILE 2 X 2 (CO
199-51-6319-00-956-4-99-000 PLUMBING 00456553
Computer
4,090.00
156.48
199-51-6319-00-956-4-99-000 PLUMBING 00456554
C
156.48
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 08/27/14
Computer
MARTINEZ CONNIE
07-20-2014
0210179179
C
1,612.08
4,090.00
211-11-6329-00-120-4-30-FOC READING MATERIALS
Computer
351.66 351.66
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES
C
237.84 237.84
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES
Computer
385.98 385.98
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
C
251.10 251.10
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES 00456541
385.50 385.50
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES 00456542
00456561
Status Description
MACKIN LIBRARY MEDIA
14018565 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6399-27-830-4-30-010 GENERAL SUPPLIES 00456543
00456561
Status
02
0210179176
152
14016017 LA JOYA H.S. BAND - SENIOR JACKETS
199-36-6497-30-001-4-11-010 AWARDS & INCENTIVES
.20 .20 1,271.80 1,271.80
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179181
08/27/14
11609
MECA SPORTSWEAR, INC.
0210179182
08/27/14
12314
Total Check: PATTERSON MEDICAL SUPPLY, INC.
41819484
14017867 THIS ORDER IS FOR PALMVIEW HS TRAI
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 00456579
41822488
41822978
41820336
41847930
181-36-6498-01-007-4-91-010 FOOD & NON-FOOD RELATED ITEMS Total Check: 0210179183 00456390
08/27/14
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00456563
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00456585
99999
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS
00456597
08/27/14
99999
GOLF SCHOLAR 2
GOLF SCHOLARSHIP 2014
00456290
99999
GOLF SCHOLARSH
GOLF SCHOLARSHIP ST. EDWARDS UNIV.
OCT. 2013
16990
14000802 Mileage for the
months of Sept. 2
14000802 Mileage for the
DEC. 2013
JAN. 2014
FEB. 2014
14000802 Mileage for the
APRIL 2014
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
500.00 500.00
500.00 500.00
500.00
14000802 Mileage for the
14000802 Mileage for the
14000802 Mileage for the
33.90
months of Sept. 2
16.95
3.96
16.95 months of Sept. 2
.56
months of Sept. 2
20.38
.56
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456535
C
500.00
3.96
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456536
Computer
500.00
33.90
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456537
C
500.00
months of Sept. 2
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456538
Computer
IRMA NERI
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES NOV. 2013
C
500.00
500.00 Total Check:
08/27/14
Computer
TREJO IRIDIAN
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179188
C
500.00
500.00 Total Check:
08/27/14
450.00
RIOS NEREYDA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179187
Computer
5,428.96
500.00 Total Check:
0210179186
C
PEREZ ABRAHAM GOLF SCHOLARSHIP 2014
GOLF SCHOLAR 2
Computer
450.00
500.00 Total Check:
08/27/14
C
MONTELONGO ANDREA
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179185
Computer
74.93
500.00 Total Check:
08/27/14
C
CLARISSA FRIAS
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179184
Computer
31.74
74.93
14017867 AMBRA LE ROY SUPREME 3" ELASTIC WR
C
61.06
31.74
14017867 THIS ORDER IS FOR PALMVIEW HS TRAI
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 00456582
4,811.23
61.06
14017867 THIS ORDER IS FOR PALMVIEW HS TRAI
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 00456581
00456532
Status Description
1,272.00
4,811.23
14017867 THIS ORDER IS FOR PALMVIEW HS TRAI
181-36-6399-01-007-4-91-010 GENERAL SUPPLIES 00456583
00456539
Status
02
00456580
153
20.38 months of Sept. 2
36.96
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456535
08/27/14 APRIL 2014
16990
Status Description
IRMA NERI
14000802 Mileage for the
months of Sept. 2
MAY 2014
14000802 Mileage for the
months of Sept. 2
3.36
months of Sept. 2
16.80
3.36
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456533
JUNE 2014
14000802 Mileage for the
16.80
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 0210179189 00456574
08/27/14 679370
108944
679697
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
679698
680258
680259
680260
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
680623
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
679254
679821
680505
401.10
14018684 CATERING
680737
497.65
14018684 CATERING
118.50
14018684 CATERING
00456575
721891125001
87629
08/27/14
671.50
00456576
665202363-01
F
00456577
08/27/14 59691
14015823 INFLATABLE RAINBOW BEACH BALLS
12840
AL
14018329 T/L OSBURN GOLF COURSE TOP DRESSIN
BK73594776
16162
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
316.09 316.09
Total Check: OSBURN MATERIALS, INC.
Total Check: 08/27/14
Computer
3,802.27
749-61-6319-10-962-4-99-000 SUPPLIES FOR MAINTENANCE & OPERATION 0210179193
C
3,802.27 3,802.27
Total Check: ORIENTAL TRADING COMPANY, INC.
224-11-6497-00-121-4-23-000 AWARDS & INCENTIVES 0210179192
Computer
OFFICE DEPOT
14018362 BRACELET USB FLASH DRIVE - 2GB
7114
C
3,355.60
172-13-6399-39-860-4-25-010 GENERAL SUPPLIES 0210179191
Computer
671.50
Total Check: 08/27/14
C
118.50
101-35-6341-03-958-4-99-000 FOOD 0210179190
Computer
497.65
101-35-6341-03-958-4-99-000 FOOD 00456565
C
401.10
101-35-6341-03-958-4-99-000 FOOD 00456564
Computer
310.50 310.50
14018684 CATERING
101-35-6341-03-958-4-99-000 FOOD 00456566
C
229.25 229.25
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
101-35-6341-00-958-4-99-000 FOOD 00456567
Computer
300.75 300.75
101-35-6341-00-958-4-99-000 FOOD 00456568
C
258.25 258.25
101-35-6341-00-958-4-99-000 FOOD 00456569
Computer
36.75 36.75
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
101-35-6341-00-958-4-99-000 FOOD 00456570
C
175.55 175.55
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
101-35-6341-00-958-4-99-000 FOOD 00456571
Computer
355.80 355.80
14018684 PRODUCE ITEMS FOR THE MONTH OF AUG
101-35-6341-00-958-4-99-000 FOOD 00456572
C
132.87
Total Check: NICHO PRODUCE CO. INC.
101-35-6341-00-958-4-99-000 FOOD 00456573
36.96 36.96
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 00456534
00456584
Status
02
0210179188
154
316.09 63.13 63.13 63.13
PEARSON EDUCATION
14018659 99 IDEAS AND ACTIVITIES FOR TEACHI
8,579.52
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456584
08/27/14 BK73594776
16162
Status Description
PEARSON EDUCATION
14018659 99 IDEAS AND ACTIVITIES FOR TEACHI
172-13-6329-39-860-4-25-010 READING MATERIALS 0210179194 00456590
08/27/14
84689
Total Check: PINNACLE MEDICAL MANAGEMENT
52985
95.00
53258
00456592
08/27/14 772022
16872
20.00
Total Check: POCKET NURSE ENTERPRISES, INC.
14011515 SANI MANIKIN FACE SHIELD LUNG SYST
00456514
113824
00456515
7-20-2014
08/27/14 181624
FORT WORTH, TX
00456523
CONSULTANT
6099
14018499 DI8STILLED WATER W.W. LAB TESTING
00456436
08/27/14 96876983
4805
14018870 CONSULTANT SERVICES PROVIDED FOR T
00456525
11011
Total Check: ALL AMERICAN SPORTS CORP.
14018412 THIS ORDER IS FOR GARCIA MS FOOTBA
15572
7-20-2014
00456526
002
FORT WORTH, TX
002
12536
00456528
AUG. 2014
14018537 ONE DAY PROFESSIONAL STAFF DEVELOP
08/27/14
Computer
C
Computer
C
Computer
C
Computer
17213
C
Computer
269.70
748.96 1,500.00
7,142.85
8,642.85
RODRIGUEZ YOLANDA
14000826 MILAGE FOR YOLANDA RODRIGUEZ #1721
2924
269.70
7,142.85
31.92 31.92
Total Check: 001141
C
500.00
1,500.00
14018084 CONSULTANT WILL PROVIDE CLASSROOM
199-23-6411-00-114-4-99-000 TRAVEL - EMPLOYEES 0210179203
Computer
500.00
RODRIGUEZ ISAIAS C.
Total Check: 08/27/14
C
171.60
748.96
211-13-6291-00-109-4-30-PRI CONSULTING SERVICES 0210179202
Computer
748.96
211-13-6291-00-113-4-30-FOC CONSULTING SERVICES 00456527
C
RODRIGUEZ ALFONSO
Total Check: 08/27/14
Computer
171.60
269.70
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179201
C
94.26
500.00
Total Check: 08/27/14
Computer
REYNA MARIO
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES 0210179200
C
126.40
171.60
199-13-6291-48-879-4-99-000 CONSULTANT SERVICES 0210179199
Computer
126.40
94.26
Total Check: REAL BOTTLE WATER & ICE CO.
Total Check: 08/27/14
C
94.26
199-51-6319-01-956-4-99-000 LIFT STATIONS/SPRINKLER 0210179198
Computer
RAYA ROSA
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179197
C
115.00
126.40 Total Check:
08/27/14
Computer
20.00
152-11-6399-01-001-4-22-010 GENERAL SUPPLIES 0210179196
C
8,579.52 95.00
199-52-6219-00-993-4-99-000 PROFESSIONAL SERVICES 0210179195
8,579.52 8,579.52
199-52-6219-00-993-4-99-000 PROFESSIONAL SERVICES 00456591
00456263
Status
02
0210179193
155
31.92
SAM'S CLUB DIRECT
14017367 FOOD FOR CATERING REQUESTS FOR THE
707.61
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456263
08/27/14 001141
2924
006758
006757
14018686 COFFEE
001729
14017367 FOOD FOR CATERING REQUESTS FOR THE
001729
14017367 PAPER / PLASTIC PRODUCTS
005301
14017367 FOOD FOR CATERING REQUESTS FOR THE
005301
14017367 PAPER / PLASTIC PRODUCTS
007446
14018981 FINE ARTS MEETING TO BE HELD ON AU
199-21-6498-00-893-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00456269
007447
14018981 FINE ARTS MEETING TO BE HELD ON AU
199-21-6498-00-893-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00456268
007448
14018981 FINE ARTS MEETING TO BE HELD ON AU
199-21-6498-00-893-4-99-000 FOOD & NON-FOOD RELATED ITEMS 0210179204 00456271
08/27/14 8058415312
9526
Total Check: SARGENT-WELCH SCIENTIFIC
14005586 LATEN FINGERPRINT KIT
Total Check: 00456272
08/27/14 7593
85677
00456273
14018365 FOOD FOR SPECIAL DIET REQUESTS FOR
08/27/14
11069
00456285
68624
Total Check: 08/27/14 43266
102121
14016082 THIS ORDER IS FOR REPAIRS TO WASHE
14016082 THIS ORDER IS FOR REPAIRS TO WASHE
181-36-6249-00-863-4-91-010 CONTRACTED MAINT & REPAIR 00456228
42794
14018949 RENTAL OF CRANE SERVICES FOR SAM F
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT 00456229
43301
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
.89 .89 -.89 -.89 4,292.32 133.19
133.19 1,104.13
1,104.13
589.99 8,700.00
8,700.00
GARCIA JESUS NOE
181-36-6249-00-863-4-91-010 CONTRACTED MAINT & REPAIR 43295
605.78
8,700.00
199-41-6299-00-989-4-99-000 MISC CONTRACTED SERVICES 0210179208
C
TMFC-STATE FARM ARENA GERNEAL SESSION PRODUCTION
5122011
Computer
605.78
589.99 Total Check:
08/27/14
C
589.99
142-11-6412-58-001-4-30-000 TRAVEL - STUDENTS 0210179207
Computer
18.56
1,104.13
Total Check: SIX FLAGS FIESTA TEXAS THEME PARK STUDENT MEALS
680651
C
SFM, LLC
101-35-6341-04-958-4-99-000 FOOD 0210179206
Computer
97.32
133.19
152-11-6399-01-007-4-22-010 GENERAL SUPPLIES 0210179205
C
32.94
18.56
101-35-6342-00-958-4-99-000 NON-FOOD 00456270
Computer
911.89
97.32
101-35-6341-03-958-4-99-000 FOOD 00456267
1,556.55
32.94
101-35-6342-00-958-4-99-000 NON-FOOD 00456267
361.67
911.89
101-35-6341-03-958-4-99-000 FOOD 00456266
C
361.67
1,556.55
286-13-6498-00-007-1-30-000 FOOD AND NON FOOD RELATED COSTS 00456266
707.61 707.61
14018842 CHIPS (ALL ITEMS ARE FOR STAFF MEE
286-21-6498-00-007-1-30-000 FOOD AND NON FOOD RELATED COSTS 00456265
00456262
Status Description
SAM'S CLUB DIRECT
14017367 FOOD FOR CATERING REQUESTS FOR THE
101-35-6341-03-958-4-99-000 FOOD 00456264
00456226
Status
02
0210179203
156
14017540 CONTRACTED MAINT. & REPAIR SERVICE
125.00 125.00 50.00 50.00 550.00 550.00 833.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/27/14 43301
102121
43273
14016866 CONTRACTED MAINT & REPAIR SERVICES
101-35-6249-00-042-4-99-010 CONTRACTED MAINT & REPAIR 00456231
42788
14018745 CONTRACTED MAINT. & REPAIR SERVICE
101-35-6249-00-042-4-99-010 CONTRACTED MAINT & REPAIR 00456232
43415
14018845 GARZA
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00456233
42787
14018845 MEMORIAL
101-35-6249-00-046-4-99-010 CONTRACTED MAINT & REPAIR 00456234
43305
14018845 BENAVIDES
101-35-6249-00-107-4-99-010 CONTRACTED MAINT & REPAIR 00456235
43293
14018845 CAVAZOS
101-35-6249-00-114-4-99-010 CONTRACTED MAINT & REPAIR 00456236
43300
14018845 TABASCO
101-35-6249-00-115-4-99-010 CONTRACTED MAINT & REPAIR 00456237
43285
14018845 GARZA
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00456238
43279
14018845 CONTRACTED MAINT. & REPAIR SERVICE
101-35-6249-00-001-4-99-010 CONTRACTED MAINT & REPAIR 00456239
43275
14018845 HOPE
101-35-6249-00-007-4-99-010 CONTRACTED MAINT & REPAIR 00456240
43278
14018845 PALMVIEW ACE
101-35-6249-00-041-4-99-010 CONTRACTED MAINT & REPAIR 00456241
43272
14018845 OLD JIMMY CARTER (CTA)
101-35-6249-00-042-4-99-010 CONTRACTED MAINT & REPAIR 00456242
43286
14018845 DE-ZAVALA
101-35-6249-00-043-4-99-010 CONTRACTED MAINT & REPAIR 00456243
43277
14018845 EB REYNA
101-35-6249-00-110-4-99-010 CONTRACTED MAINT & REPAIR 00456244
43276
14018845 EB REYNA
101-35-6249-00-110-4-99-010 CONTRACTED MAINT & REPAIR 00456245
43284
14018845 GONZALEZ
101-35-6249-00-117-4-99-010 CONTRACTED MAINT & REPAIR 00456246
43283
14018845 GONZALEZ
101-35-6249-00-117-4-99-010 CONTRACTED MAINT & REPAIR 00456247
43280
14018845 PAREDES
101-35-6249-00-124-4-99-010 CONTRACTED MAINT & REPAIR 00456248
43262
EQUIPMENT REPAIR SERVICES
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00456249
43046
EQUIPMENT REPAIR SERVICES
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR 00456250
Status Description
GARCIA JESUS NOE
14017540 CONTRACTED MAINT. & REPAIR SERVICE
101-35-6249-00-044-4-99-010 CONTRACTED MAINT & REPAIR 00456230
Status
02
0210179208 00456229
Amount Paid Acct Amt.
Account No \ Description Bank No
43261
157
EQUIPMENT REPAIR SERVICES
101-35-6249-00-958-4-99-010 CONTRACTED MAINT & REPAIR
833.50 833.50
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,806.00 1,806.00 9,600.00 9,600.00 75.00 75.00 475.00 475.00 165.00 165.00 95.00 95.00 420.00 420.00 150.00 150.00 75.00 75.00 150.00 150.00 75.00 75.00 445.00 445.00 455.00 455.00 425.00 425.00 170.00 170.00 75.00 75.00 75.00 75.00 75.00 75.00 160.00 160.00 140.00 140.00 2,600.00 2,600.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
Status
Status Description
02
0210179208 00456251
08/27/14
102121
42789
GARCIA JESUS NOE EQUIPMENT REPAIR SERVICES
101-35-6249-00-042-4-99-010 CONTRACTED MAINT & REPAIR 00456252
43268
EQUIPMENT REPAIR SERVICES
101-35-6249-00-043-4-99-010 CONTRACTED MAINT & REPAIR 00456253
43269
EQUIPMENT REPAIR SERVICES
101-35-6249-00-043-4-99-010 CONTRACTED MAINT & REPAIR 00456254
43264
EQUIPMENT REPAIR SERVICES
101-35-6249-00-044-4-99-010 CONTRACTED MAINT & REPAIR 00456255
43263
EQUIPMENT REPAIR SERVICES
101-35-6249-00-048-4-99-010 CONTRACTED MAINT & REPAIR 00456256
43265
EQUIPMENT REPAIR SERVICES
101-35-6249-00-107-4-99-010 CONTRACTED MAINT & REPAIR 00456257
43267
EQUIPMENT REPAIR SERVICES
101-35-6249-00-110-4-99-010 CONTRACTED MAINT & REPAIR 00456258
42948
EQUIPMENT REPAIR SERVICES
101-35-6249-00-114-4-99-010 CONTRACTED MAINT & REPAIR 00456259
43044
EQUIPMENT REPAIR SERVICES
101-35-6249-00-115-4-99-010 CONTRACTED MAINT & REPAIR 00456260
43270
EQUIPMENT REPAIR SERVICES
101-35-6249-00-120-4-99-010 CONTRACTED MAINT & REPAIR 00456261
43256
EQUIPMENT REPAIR SERVICES
101-35-6249-00-121-4-99-010 CONTRACTED MAINT & REPAIR 00456227
43047
EQUIPMENT REPAIR SERVICES
101-35-6249-00-123-4-99-010 CONTRACTED MAINT & REPAIR 0210179209 00456276
08/27/14 24231
44296
Total Check: T-SHIRT GALLERY AND SPORTS
14017284 THIS ORDER IS FOR PALMVIEW HS GIRL
181-36-6399-71-007-4-91-010 GENERAL SUPPLIES 00456275
24347
14018542 THIS ORDER IS FOR LA JOYA HIGH SCH
181-36-6399-70-001-4-91-010 GENERAL SUPPLIES 00456274
24135
14017339 THIS ORDER IS FOR LA JOYA HS GIRLS
181-36-6399-71-001-4-91-010 GENERAL SUPPLIES 0210179210 00456278
08/27/14 2083903
10546
Total Check: TEACHER CREATED MATERIALS, INC.
14018464 itmes for Staff Development for El
172-13-6399-54-832-4-25-010 GENERAL SUPPLIES 0210179211 00456279
08/27/14 14-7574-05
17267
Total Check: TECHNICAL LABORATORY SYSTEMS, INC.
14017933 One day Professional Staff Develop
162-13-6291-54-832-4-30-010 CONSULTANT SERVICES 0210179212 00456301
Amount Paid Acct Amt.
Account No \ Description Bank No
08/27/14 7081441
1773
158
Total Check: TX ELEM. PRINCIPALS & SUPERVISORS ASSN
14002310 TEPSA MEMBERSHIP FEE FOR PRINCIPAL
199-23-6495-00-117-4-99-000 MEMBERSHIP FEES
3,500.00 3,500.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
440.00 440.00 315.00 315.00 125.00 125.00 795.00 795.00 50.00 50.00 150.00 150.00 50.00 50.00 210.00 210.00 50.00 50.00 590.00 590.00 655.00 655.00 26,194.50 410.00 410.00 246.00 246.00 246.00 246.00 902.00 1,959.80 1,959.80 1,959.80 2,850.00 2,850.00 2,850.00 185.00 185.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179212 00456302
08/27/14 7081442
1773
TX ELEM. PRINCIPALS & SUPERVISORS ASSN
14002310 TEPSA MEMBERSHIP FEE FOR PRINCIPAL
Total Check: 08/27/14
00456180
08-22-2014_6
8898
MO LIABILITY PYMT 8.25.14
00456280
95189528
1915
14018765 PUBLISH THE NOTICE OF PUBLIC MEETI
00456288
9630778R1
1941
9630670R1
14018641 TMA4AOA36S31 UNIT;TAM4;36,00 BTUH;
9568956R1
00456281
08/27/14 900439
17396
900438
14018603 CONCURRENT ENROLLMENT TUITION FOR
14018605 CONCURRENT ENROLLMENT TUITION FOR
142-11-6223-28-004-4-30-010 STUDENT TUITION/NON-PUB SCHLS 00456283
900440
14018604 CONCURRENT ENROLLMENT TUITION FOR
142-11-6223-28-007-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210179217 00456284
08/27/14 75391
17850
Total Check: THE UNIVERSITY OF TEXAS PAN AM. TEX PREP
14018971 YEARLY CONTRACT BETWEEN LA JOYA IS
162-11-6223-02-699-4-30-010 STUDENT TUITION - OTHER PUBLIC SCHOO Total Check: 0210179218
08/27/14
00456291
7/13-17/2014
113190
00456300
08/27/14
TX BEHAVIORAL HEALTH INSTITUTE AUS
787386
5100
00456303
08/27/14
Total Check: TROXELL COMMUNICATIONS, INC.
14018147 AVERMEDIA 3.2 MEGA PIXEL DOCUMENT
10524211
58475
Total Check: TYSON PREPARED FOODS, INC.
14018693 ITEM # 16711-328
WHOLE MUSCLE BRE
101-35-6344-00-958-4-99-000 USDA DONATED COMMODITIES 0210179221
08/27/14
00456181
08-22-2014_5
10749
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
4,803.33 1,040.00 1,040.00 100.00 100.00 1,610.00 1,610.00 2,750.00 35,490.00 35,490.00 35,490.00 582.34 582.34
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 0210179220
C
TREVINO EDNA A.
162-31-6411-00-015-4-30-000 TRAVEL-EMPLOYEE 0210179219
Computer
623.33 623.33
Total Check: THE UNIVERSITY OF TEXAS - PAN AMERICAN
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 00456282
C
1,935.00 1,935.00
14018479 RELAY CONTROL 3PDT 24CV 50/60 HR
199-51-6319-00-956-4-99-000 PLUMBING 0210179216
Computer
2,245.00 2,245.00
14018746 7.5TON COMPRESSOR 460-60-3 (AC741)
199-51-6319-00-956-4-99-000 PLUMBING 00456286
C
1,128.40
TRANE U.S. INC.
199-51-6319-00-956-4-99-000 PLUMBING 00456287
Computer
1,128.40 1,128.40
Total Check: 08/27/14
C
13,182.32
THE MONITOR
199-41-6499-00-942-4-99-000 MISC OPERATING COSTS 0210179215
Computer
13,182.32 13,182.32
Total Check: 08/27/14
C
370.00
TGSLC
103-00-2159-06-000-4-00-000 TGSLC 0210179214
185.00 185.00
199-23-6495-00-117-4-99-000 MEMBERSHIP FEES 0210179213
159
Total Check: U.S. DEPARTMENT OF EDUCATION MO LIABILITY PYMT 8.25.14
582.34 43,878.45 43,878.45 43,878.45 11,664.70 11,664.70 11,664.70 1,564.76
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/27/14
00456181
08-22-2014_5
10749
MO LIABILITY PYMT 8.25.14
Total Check: 0210179222 00456529
08/27/14
24155
0210179223
AUG. 2014
00456530
08/27/14 68889658
14000113 YEAR FUEL USAGE FOR TRANPORTATION
00456482
14016874
77941
14016874 STUDENT INCENTIVES FOR BEHAVIOR SH
08/27/14 3335-811
6762
00456397
08/27/14 004919
2123
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456399
005793
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456398
008699
14014918 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 0210179227 00456395
08/27/14 000727
21617
Total Check: GE CAPITAL/WAL-MART COMMINITY COMMERCIAL
14014919 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456396
000944
14018936 CURTAIN VALANCE
199-23-6399-00-111-4-99-000 GENERAL SUPPLIES 0210179228
08/27/14 004920
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 004515
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456429
004878
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456400
008479
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456431
002617
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456402
009529
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
641.91 2,625.00
2,625.00
VEGA ROOFING
14016612 RECOMMEND THE NORTH WALL BE SEALED
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179226
Computer
641.91
2,625.00 Total Check:
00456531
C
HERNANDEZ VENTURA
199-11-6497-00-112-4-11-000 AWARDS & INCENTIVES 0210179225
Computer
31.36
641.91 Total Check:
08/27/14
C
1,564.76
31.36
Total Check: VALERO MARKETING AND SUPPLY COMPANY
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210179224
1,564.76
31.36
AUG. 2014
38423
1,564.76
VALDEZ CLAUDIA
199-23-6411-00-049-4-99-000 TRAVEL - EMPLOYEES
00456430
Status Description
U.S. DEPARTMENT OF EDUCATION
103-00-2159-07-000-4-00-000 DEPT OF EDUCATION...................
00456401
Status
02
0210179221
160
14014928 FOOD FOR CATERING EVENTS FOR THE M
725.00 725.00 725.00 195.89 195.89 45.67 45.67 155.27 155.27 396.83 185.84 185.84 120.95 120.95 306.79 23.66 23.66 4.96 4.96 55.76 55.76 78.44 78.44 22.90 22.90 88.21
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/27/14 009529
55891
000774
14015659 ITMES FOR
003906
003096
00456406
002554
14017547 COFFEE FOR STUDENT SERVICES MEETIN
199-32-6498-00-901-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00456407
002771
14017604 KRYLONCOLOR MASTER
004639
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
007537
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
008507
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
001315
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
001163
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
008610
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
006244
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
004719
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
005296
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
00456417
007041
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
00456418
008788
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
003017
14017881 ITEMS FOR
STAFF DEVELOPMENT SCIEN
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456420
000489
14017888 UNIBALL VISION ELITE BLACK
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00456421
008787
14018577 ITMES FOR STAFF DEVELOPMENT FOR HI
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456422
003016
14018577 ITMES FOR STAFF DEVELOPMENT FOR HI
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456423
006498
14018577 ITMES FOR STAFF DEVELOPMENT FOR HI
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
50.75
55.24 55.24
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456419
Computer
43.95
50.75
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES
C
31.10
43.95
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES
Computer
61.30
31.10
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456416
C
46.40
61.30
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456415
Computer
43.27
46.40
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456414
C
35.42
43.27
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456413
Computer
52.20
35.42
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456412
C
77.44
52.20
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456411
Computer
65.83
77.44
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456410
C
483.45
65.83
162-13-6399-54-830-4-30-010 GENERAL SUPPLIES 00456409
Computer
450.25 450.25
483.45
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00456408
C
99.37 99.37
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES
Computer
349.99 349.99
14017296 LEARNING RESOURCE STUDENT TIMER
C
60.00 60.00
14017295 LEOG MNDSTORMS EV3 BUILDING SET
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 00456405
88.21 88.21
EAST AND WEST ACADEMY H
162-11-6399-54-830-4-30-010 GENERAL SUPPLIES 00456404
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456403
Status
02
0210179228 00456402
Amount Paid Acct Amt.
Account No \ Description Bank No
161
40.84 40.84 147.46 147.46 732.66 732.66 89.38 89.38 269.55 269.55
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456424
08/27/14 002613
55891
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14018663 GERM-X/PURELL HAND SANITIZERS (SMA
004501
14018695 JUICE
004260
14018724 YOGURT FOR TEACHERS DURING THE INS
002054
14018727 WATERS ( FOR CTE STAFF INSERVICE O
152-21-6498-00-895-4-22-010 FOOD & NON-FOOD RELATED ITEMS 00456428
008241
14018747 PANASONIC 2.2 CU. FT. MICROWAVE OV
199-23-6395-00-111-4-99-000 FURN & EQUIP <$500 UNIT COST 00456428
008241
14018747
MIRRORS (4 X E, 5 X 7, 8 X 10.)
Total Check: 00456306
08/27/14 NOV. 2013
12442
MAR. 2014
JUNE 2014
14000265 Mileage for Sylvia G. Zapata VN# 1
14000265 Mileage for Sylvia G. Zapata VN# 1
08/27/14 APR. 2014
64009
MAY 2014
JUNE 2014
14000467 MILEAGE FOR SEPTEMBER 2013 - AUGUS
JULY 2014
14000467 MILEAGE FOR SEPTEMBER 2013 - AUGUS
AUG. 2014
00456307
JUNE 2014
6709
JULY 2014
14017459 Mileage reimbursement for George B
AUG. 2014
AUG. 2014
14770
C
Computer
C
Computer
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
15.68
16.80
19.04
29.46
87.70 19.60
15.68
37.52 37.52
Total Check: 08/27/14
Computer
6.72
15.68
14017459 Mileage reimbursement for George B
199-41-6411-00-975-4-99-000 TRAVEL - EMPLOYEES 0210179232
C
100.80
19.60
14017459 Mileage reimbursement for George B
199-41-6411-00-975-4-99-000 TRAVEL - EMPLOYEES 00456309
Computer
BARREIRO GEORGE
199-41-6411-00-975-4-99-000 TRAVEL - EMPLOYEES 00456308
C
65.52
29.46 Total Check:
08/27/14
Computer
26.88
19.04
14000467 MILEAGE FOR SEPTEMBER 2013 - AUGUS
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 0210179231
C
8.40
16.80
14000467 MILEAGE FOR SEPTEMBER 2013 - AUGUS
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456475
Computer
5,072.45
15.68
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456474
C
254.41
6.72
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456471
Computer
ARREDONDO NORA L.
14000467 MILEAGE FOR SEPTEMBER 2013 - AUGUS
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES 00456472
C
140.72 140.72
65.52 Total Check:
00456473
229.40
26.88
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 0210179230
Computer
229.40
8.40
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456304
C
ZAPATA SYLVIA G.
14000265 Mileage for Sylvia G. Zapata VN# 1
199-41-6411-00-947-4-99-000 TRAVEL - EMPLOYEES 00456305
75.96
254.41
199-23-6399-00-111-4-99-000 GENERAL SUPPLIES 0210179229
Computer
792.58 792.58
211-13-6498-00-043-4-30-FOC FOOD AND NON FOOD COSTS 00456427
C
75.96
286-13-6498-00-007-1-30-000 FOOD AND NON FOOD RELATED COSTS 00456426
19.60 19.60
199-41-6399-00-702-4-99-000 GENERAL SUPPLIES 00456425
00456313
Status
02
0210179228
162
72.80
CANTU MARIA A.
14012856 MILEAGE REIMBURSEMENT FOR MARY CAN
199-23-6411-00-004-4-99-000 TRAVEL - EMPLOYEES
32.48 32.48
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179232
08/27/14
14770
CANTU MARIA A.
0210179233
08/27/14
96008
Total Check: DEVIN DISTRIBUTING & PACKAGING,INC.
A78062
14018506 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 00456363
A78062
Status Description
00456366
08/27/14 10048
114561
5,213.50
00456373
08/27/14 2101210947
14018703 The Literacy Cookbook by Sarah Tan
6553
2101210947
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
2101210949
14018377 BREAKFAST
2101210949
2101210950
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
2101210950
00456385
AUG. 2014
24.00
08/27/14 AUG. 2014
14014407 MILEAGE REIMBURSEMENT FOR DAVID FL
8021
00456189
AUG. 2014
18949
14017781 MILEAGE FOR THE MONTH OF JUNE - AU
00456198
AUG. 2014
60119
JULY 2014
14014198 MILEAGE REIMBURSEMENT FOR THE MONT
AUG. 2014
16684
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
70.00
70.00 37.52
37.52 114.80 114.80
14014198 MILEAGE REIMBURSEMENT FOR THE MONT
22.40 22.40
Total Check: 08/27/14
A
HERNANDEZ ELDA
199-23-6411-00-120-4-99-000 TRAVEL - EMPLOYEES 0210179240
ACH
132.16
37.52
199-23-6411-00-120-4-99-000 TRAVEL - EMPLOYEES 00456197
A
GONZALEZ CLAUDIA M.
Total Check: 08/27/14
ACH
132.16
70.00
162-32-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 0210179239
A
FLORES JOSE ROEL
14000210 MILEAGE REIMBURSEMENT FOR JOSE ROE
Total Check: 08/27/14
ACH
131.20
132.16
212-21-6411-00-876-4-24-000 TRAVEL - EMPLOYEES 0210179238
A
FLORES DAVID
Total Check: 00456386
ACH
24.00
199-23-6411-00-120-4-99-000 TRAVEL - EMPLOYEES 0210179237
A
24.00 24.00
14018377 BREAKFAST
12403
ACH
12.80
12.80
14018377 TORTILLA PRODUCTS FOR LUNCH FOR TH
Total Check: 08/27/14
A
12.80
101-35-6341-01-958-4-99-000 FOOD 0210179236
ACH
28.80
12.80
14018377 BREAKFAST
101-35-6341-00-958-4-99-000 FOOD 00456374
A
28.80
101-35-6341-01-958-4-99-000 FOOD 00456371
ACH
848.50
28.80
101-35-6341-00-958-4-99-000 FOOD 00456372
A
848.50
28.80
101-35-6341-01-958-4-99-000 FOOD 00456372
ACH
8,588.90
848.50
Total Check: EXQUISITA TORTILLAS, INC.
101-35-6341-00-958-4-99-000 FOOD 00456373
A
DOYLENE & ASSOCIATES
211-13-6329-00-049-4-30-FOC READING MATERIALS 0210179235
3,375.40
5,213.50
Total Check: 0210179234
32.48
3,375.40
14018506 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES
00456201
Status
02
00456363
163
137.20
HORNADAY ELOUISA
14000152 MILEAGE FOR J/L HS(ELOUISA F. HORN
204.40
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456201
08/27/14 AUG. 2014
16684
0210179241 00456218
08/27/14 245795
12513
246329
Total Check: JOHNSTONE SUPPLY- PHARR
14018947 B70-029 GSX130484 SUB B74-086 4TON
244716
246740
14018991 GSC130361 3TON DRY A/C UNIT
0210179242 00456501
08/27/14 1464558
19340
Total Check: LIQUID ENVIRONMENTAL SOLUTIONS OF TX
14018890 MISC. CONTRACTED SERVICES FOR GREA
1464617
14018357 MISC. CONTRACTED SERVICES FOR GREA
Total Check: 0210179243 00456513
08/27/14 MAY 2014
19601
JUNE 2014
14000393 MILEAGE FOR CAMPUS SECRETARY FOR M
AUG. 2014
00456547
JAN. 2014
97683
FEB. 2014
14001313 MILEAGE REIMBURSEMENT FOR THE MONT
MAR. 2014
APRIL 2014
JUNE 2014
C059114
20868
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
28.00
14.00
28.00
154.00
14018459 12" ENSOR XP UPRIGHT VACUUM
21.91 21.91 458.79
199-36-6395-18-007-4-99-010 FURN & EQUIP <$500 UNIT COST
458.79
C059114
ACH
70.00
14018459
00456552
A
MATERA PAPER CO.
199-36-6395-18-001-4-99-010 FURN & EQUIP <$500 UNIT COST C059114
ACH
14.00
28.00 Total Check:
08/27/14
A
28.00
14.00
14001313 MILEAGE REIMBURSEMENT FOR THE MONT
172-23-6411-39-120-4-25-000 TRAVEL 0210179245
ACH
3.36
28.00
14001313 MILEAGE REIMBURSEMENT FOR THE MONT
172-23-6411-39-120-4-25-000 TRAVEL 00456551
A
16.24
70.00
14001313 MILEAGE REIMBURSEMENT FOR THE MONT
172-23-6411-39-120-4-25-000 TRAVEL 00456550
ACH
8.40
14.00
14001313 MILEAGE REIMBURSEMENT FOR THE MONT
172-23-6411-39-120-4-25-000 TRAVEL 00456549
A
MATA NORMA A.
172-23-6411-39-120-4-25-000 TRAVEL 00456548
ACH
1,120.84
3.36 Total Check:
08/27/14
A
543.76
16.24
14000393 MILEAGE FOR CAMPUS SECRETARY FOR M
199-23-6411-00-042-4-99-000 TRAVEL - EMPLOYEES 0210179244
ACH
577.08
8.40
14000393 MILEAGE FOR CAMPUS SECRETARY FOR M
199-23-6411-00-042-4-99-000 TRAVEL - EMPLOYEES 00456512
A
LUNA CYNTHIA
199-23-6411-00-042-4-99-000 TRAVEL - EMPLOYEES 00456511
ACH
3,950.95
543.76
101-51-6299-00-958-4-99-000 MISC CONTRACTED SERVICES
A
599.00
577.08
101-51-6299-00-042-4-99-010 MISC CONTRACTED SERVICES 00456500
ACH
370.00
599.00
199-51-6319-00-956-4-99-000 PLUMBING
A
141.95
370.00
199-51-6319-00-956-4-99-000 PLUMBING 00456220
ACH
2,840.00
141.95
14018630 585700 40 X 16 RETURN GRILL
A
204.40
2,840.00
14018963 B17-489 ECE-C TXV EXP. VALVE 04050
199-51-6319-00-956-4-99-000 PLUMBING 00456217
204.40 204.40
199-51-6319-00-956-4-99-000 PLUMBING 00456219
00456552
Status Description
HORNADAY ELOUISA
14000152 MILEAGE FOR J/L HS(ELOUISA F. HORN
199-23-6411-00-004-4-99-000 TRAVEL - EMPLOYEES
00456552
Status
02
0210179240
164
14018459 SHAKEDOWN ODOR ELIMINATOR
73.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456552
08/27/14 C059114
20868
0210179246 00456562
08/27/14 M138714
10151
Total Check: MOBILE RELAY PARTNERS, LTD
14018036 REMOVE OLD LIGHTBAR (C-44)
Total Check: 0210179247 00456578
08/27/14 8324
95664
8324
14018305 3070-1-3/4 BRONZE ALUMINUM DOOR WI
Total Check: 00456588
08/27/14
1434
14016035 Oil Change Service for Dept. Vehic
770-00-6249-00-985-4-99-000 CONTRACTED MAINT & REPAIR 00456589
10839
14018838 STATE INSPECTION STICKERS FOR POLI
Total Check: 00456593
08/27/14 4375
20318
08/27/14
00456594
S1273620-002
14018932 LARGE POLYPROPYLENE GRO. TOTE
S1273620-001
7509
14018190 MAGIC RUB ERASERS
S1273620-004
14018190 MAGIC RUB ERASERS
110697
112107
112071
1519
112109
A
ACH
8.00
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
72.50
139.12 633.00
633.00
3,835.80
REGION ONE ESC
14012643 Registration Fee to attend School
14010473 CONSULTANT SERVICE FEE FOR PATTY R
14008802 TRAINING FOR GT 6 HOUR UPDATE TO B
14018444 REGISTRATION FEE FOR REGION ONE -
199-34-6239-00-972-4-99-000 EDUCATION SVC CENTER SVCS 00456518
33.62
675.00
211-13-6239-34-869-4-21-000 EDUCATION SVC CENTER SVCS 00456517
ACH
675.00
211-13-6291-34-869-4-30-000 CONSULTANT SERVICES 00456522
A
33.62
1,382.40
14018190 MAGIC RUB ERASERS
199-33-6239-00-007-4-99-000 EDUCATION SVC CENTER SVCS 112108
25.00
1,382.40
Total Check: 08/27/14
ACH
1,778.40
199-00-1310-00-000-4-00-000 INVENTORY 0210179251
A
29,274.27
1,778.40
199-00-1310-00-000-4-00-000 INVENTORY 00456595
29,274.00
633.00
Total Check: PYRAMID SCHOOL PRODUCTS
199-00-1310-00-000-4-00-000 INVENTORY 00456596
ACH
29,274.00
PROMO MASTERS
286-11-6497-00-007-1-30-000 AWARDS AND INCENTIVES 0210179250
A
.27
72.50
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 0210179249
ACH
8.00
10727
199-12-6249-00-886-4-99-000 CONTRACTED MAINT & REPAIR 00456586
A
283.94
25.00
10719
10766
283.94
PETE'S MUFFLER SHOP
199-12-6249-00-886-4-99-000 CONTRACTED MAINT & REPAIR 00456587
ACH
283.94
.27
14018305 REMOVABLE MULLION W/CYLINDER
199-51-6249-99-956-4-99-000 CONTRACTED MAINT.& REPAIR 0210179248
A
553.90
PALMVIEW DOORS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 00456578
73.20 73.20
199-52-6249-00-993-4-99-000 CONTRACTED MAINT & REPAIR
00456521
Status Description
MATERA PAPER CO.
14018459 SHAKEDOWN ODOR ELIMINATOR
199-36-6399-92-001-4-11-010 GENERAL SUPPLIES
00456516
Status
02
0210179245
165
14010603 TRAINING FOR GT 6 HR UPDATE RISING
120.00 120.00 1,500.00 1,500.00 1,500.00 1,500.00 225.00 225.00 1,500.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456518
08/27/14 112109
1519
Status Description
REGION ONE ESC
14010603 TRAINING FOR GT 6 HR UPDATE RISING
211-13-6239-34-869-4-21-000 EDUCATION SVC CENTER SVCS 00456519
111735
14018598 REGISTRATION FEE FOR MARINA ABDULL
199-32-6239-00-901-4-99-000 EDUCATION SVC CENTER SVCS 00456520
112210
14019014 REGISTRATION FEE FOR IRMA ZUNIGA,
172-21-6239-39-860-4-25-010 EDUCATION SVC CENTER SVCS Total Check: 0210179252
08/27/14
00456524
RE-ADJUSTMENT
29343
0210179253 00456277
08/27/14
14000592 MILEAGE REIMBURSMENT FOR THE YEAR
JUNE 2014
15744
00456289
08/27/14
Total Check: TAGLE ELIZABETH BEULAH
14015506 MILEAGE REIMBURSEMENT FOR APRIL TH
4240
13502
14018465 Hotel fee/tax
for Sofia Villarrea
00456293
MAY 2014
9175
AUG. 2014
14000098 Yearly mileage for Elizabeth Trevi
08/27/14 APR. 2014
111830
MAY 2014
JUNE 2014
JULY 2014
AUG. 2014
00456695
PYMT# 3
08/28/14
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
C
Computer
C
Computer
3.36
56.00
59.36
36.68 36.68 137.20
2GS, LLC
14012942 CONTRACTOR'S FEE FOR PARKING LOT I
11260
ACH
367.76
16.80
14014674
17,765.10 17,765.10
Total Check: 7-20-2014
A
367.76
6.72
199-81-6629-02-105-4-99-051 BENAVIDES-RACHRDS PAVING 0210179258
ACH
119.28
16.80
14014674
106500
A
119.28
6.72
14014674
Total Check: 08/28/14
ACH
22.20
56.28
162-13-6411-27-831-4-30-010 TRAVEL - EMPLOYEE ONLY 0210179257
A
22.20
56.28
14014674
162-13-6411-27-831-4-30-010 TRAVEL - EMPLOYEE ONLY 00456297
ACH
5,185.00
20.72
162-13-6411-24-832-4-30-010 TRAVEL - EMPLOYEE ONLY 00456298
A
20.72
162-13-6411-24-832-4-30-010 TRAVEL - EMPLOYEE ONLY 00456294
ACH
TREVINO GERTRUDE
14014674
162-13-6411-24-832-4-30-010 TRAVEL - EMPLOYEE ONLY 00456296
240.00
56.00 Total Check:
00456299
A
240.00
3.36
14000098 Yearly mileage for Elizabeth Trevi
199-21-6411-01-845-4-99-000 TRAVEL - EMPLOYEES 0210179256
ACH
TREVINO ELIZABETH
199-21-6411-01-845-4-99-000 TRAVEL - EMPLOYEES 00456292
100.00
367.76 Total Check:
08/27/14
A
100.00
119.28
Total Check: TRAVEL ADVISORS INTERNATIONAL
199-21-6411-00-846-4-99-000 TRAVEL - EMPLOYEES 0210179255
1,500.00
22.20
224-11-6411-00-109-4-23-010 TRAVEL - EMPLOYEES 0210179254
1,500.00
REYNA PEDRO III
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES
00456699
Status
02
0210179251
166
17,765.10
ALVISO JORGE B. FORT WORTH, TX
72.00 72.00
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES Total Check:
72.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456700
08/28/14 BBB005357-BB02
90735
Status Description
AMERICA TEAM SPORTS
14018951 THIS ORDER IS FOR PALMVIEW HS BOYS
Total Check: 0210179260 00456701
08/28/14
22574
7-20-2014
FORT WORTH, TX
00456704
4291693874
3022
761.00
4291772859
14011700 MAC PRO 065-C246 3.5GHZ 6 CORE INT
14011700 MAC PRO 065-C246 3.5GHZ 6 CORE INT
152-11-6397-00-007-4-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456702
4291598456
14011700 MAC PRO 065-C246 3.5GHZ 6 CORE INT
152-11-6397-00-007-4-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456705
4291898741
14011700 MAC PRO 065-C246 3.5GHZ 6 CORE INT
152-11-6397-00-007-4-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210179262 00456707
08/28/14 055766
42285
Total Check: AUTOMATED LOGIC - CORPORATION
14018750 ZN551 ZONE CONTROLER (COMP-62)
Total Check: 00456599
08/28/14
16163
00456603
HOUSTON DISTANCE RUNNING & MARATHO
08-15-2014
08/28/14 836000
268
835200
862800
853200
14017385 THIS ORDER IS FOR JUAREZ-LINCOLN H
14018369 THIS ORDER IS FOR DR SAENZ MS FOOT
00456605
96289344
3059
96270149
14018667 THIS ORDER IS FOR MEMORIAL MS FOOT
08/28/14
14014536 THIS ORDER IS FOR PALMVIEW HS FOOT
104000
1,798.00
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
3,622.10
3,622.10 368.36
368.36
1,362.60
3,150.00
724.90
6,004.00 126.24 126.24 18,600.00 18,600.00
Total Check: AUG. 2014
C
BSN SPORTS
181-36-6399-68-007-4-91-010 GENERAL SUPPLIES 0210179266
Computer
11,014.00
724.90
181-36-6399-68-044-4-91-010 GENERAL SUPPLIES 00456604
398.00
3,150.00
14017391 THIS ORDER IS FOR JUAREZ LINCOLN H
Total Check: 08/28/14
C
1,798.00
1,362.60
181-36-6399-74-004-4-91-010 GENERAL SUPPLIES 0210179265
Computer
398.00
766.50
181-36-6399-68-043-4-91-010 GENERAL SUPPLIES 00456600
C
766.50
14017565
181-36-6399-73-004-4-91-010 GENERAL SUPPLIES 00456601
8,638.00
368.36
Total Check: BILL GUTHRIE SPORTS,INC.
181-36-6399-73-004-4-91-010 GENERAL SUPPLIES 00456602
180.00 8,638.00
BAZAN CLAUDIA
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210179264
Computer
180.00
3,622.10
199-51-6319-00-956-4-99-000 PLUMBING 0210179263
C
761.00
APPLE COMPUTER, INC.
152-11-6397-00-007-4-22-010 TECHNOLOGY EQUIP -$500 TO $4,999.99 00456703
Computer
761.00
Total Check: 08/28/14
C
1,065.00
ANFONE MARIA
162-13-6411-32-830-4-30-010 TRAVEL - EMPLOYEES 0210179261
1,065.00 1,065.00
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES
00456614
Status
02
0210179259
167
18,726.24
CASAS MELISSA
14000888 MILEAGE REIMBURSEMENT FOR MELISSA
112.00 112.00
199-21-6411-00-893-4-99-000 TRAVEL - EMPLOYEES Total Check:
112.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456618
08/28/14 PB28261
20155
Status Description
CDW GOVERNMENT, INC.
14004974 MICROSOFT OFFICE 2013 LICENSES
PB28264
14016978 ACAD MS SEL+OFFICE PRO PLUS 2013 M
NV58939
14018812 KINGSTON DATA TRAVELER USB FLASH D
NQ10848
14018583 USB SEAGATE BACKUP HARD DRIVE 1TB
162-13-6395-38-901-4-30-010 FURN & EQUIP COST < $500.00 0210179268
08/28/14
00456619
S1766598.001
400
Total Check: CENTRAL PLUMBING & ELECTRIC
14018398 ITE 1 POLE 30A BOLT ON 277V BREAKE
Total Check: 0210179269 00456621
08/28/14 558
114820
14018957 CONSULTANT SERVICES FOR CHEERLEADI
Total Check: 00456624
08/28/14 104095
20052
104096
14018422 CLASSROOM READING NOVELS SEE ATTAC
104075
00456625
DDG14081405
114715
00456626
08/28/14
14018853 THIS ORDER IS FOR LA JOYA HS FOOTB
19449
199-41-6249-00-926-4-99-000 CONTRACTED MAINT & REPAIR Total Check: 0210179273 00456630
08/28/14 7026605
14189
7026603
7026420
14018617 Printing costs of the 2014-2015 di
7026490
14017708 Printing costs of the 2013-2014 di
08-14-2014
104175
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
5,957.50
5,957.50
4,934.80
16,849.80 5,065.00
5,065.00 424.93 424.93 424.93 648.73
2,222.10
9,273.60
222.75 222.75
Total Check: 08/28/14
Computer
840.00
9,273.60
14018813 EACH ITEM WILL BE FOR STAFF DEVELO
162-13-6298-31-832-4-30-010 PRINTING SERVICES 0210179274
840.00
2,222.10
199-13-6298-46-877-4-99-000 PRINTING SERVICES 00456627
C
840.00
648.73
199-13-6298-46-877-4-99-000 PRINTING SERVICES 00456628
Computer
COPY ZONE
14018696 Printing of the Staff Development
162-13-6298-46-877-4-30-010 PRINTING SERVICES 00456629
C
148.50
5,065.00
Total Check: COMBINED COMPUTER RESOURCES, INC. SYSTEM 1 MONTH SERVICE FOR SEPT 1-
6335
Computer
COACHES VIDEO LLC
181-36-6639-00-863-4-91-010 FURN, EQUIP & SOFTWARE 0210179272
C
148.50
4,934.80 Total Check:
08/28/14
Computer
2,609.21
5,957.50
14018064 FAULT IN OUR STARS NOVEL
199-11-6329-00-886-4-11-000 READING MATERIALS 0210179271
89.99
5,957.50
14018422 CLASSROOM READING NOVELS SEE ATTAC
199-11-6329-00-886-4-11-000 READING MATERIALS 00456623
C
CHILDREN'S PLUS,INC.
199-11-6329-00-886-4-11-000 READING MATERIALS 00456622
Computer
CHEER STRIKE ALLSTARS
199-36-6291-00-001-4-99-000 CONSULTING SERVICES - SPEAKER/TRAINI 0210179270
C
89.99
148.50
199-51-6319-00-956-4-99-000 PLUMBING
Computer
2,086.50 2,086.50
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES 00456617
C
108.18 108.18
199-41-6399-00-926-4-99-000 GENERAL SUPPLIES 00456616
324.54 324.54
211-11-6399-01-001-4-30-000 GENERAL SUPPLIES 00456615
00456632
Status
02
0210179267
168
12,367.18
DE LEON RAQUEL HOUSTON DISTANCE RUNNING & MARATHO
565.23
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456632
08/28/14
104175
08-14-2014
Status Description
DE LEON RAQUEL HOUSTON DISTANCE RUNNING & MARATHO
181-36-6411-01-863-4-91-010 TRAVEL - EMPLOYEES 0210179275 00456598
08/28/14 CRS-201407-041
7027
0210179276 00456634
08/28/14
Total Check: AGENCY 405, TX DEPT OF PUBLIC SAFETY
14009431 CRIMINAL HISTORY CHECK REQUEST REC
CAZER000
21401
14018816 A OTHER HEALTH IMPAIRMENT FORM NEE
00456635
08/28/14 HOMERO RODRIGU
72907
14018451 OTHER HEALTH IMPAIRMENT FORM TO BE
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 0210179278 00456636
08/28/14 JUAN MUNOZ
16351
00456642
08/28/14
42307
0076
00456644
08/28/14
Total Check: EXCLUSIVE DECALS & SCREENPRINTING EMPLOYEE INCENTIVE
14093
4849
Total Check: FLORES NURSERY & FLORAL
14019005 CORSAGES FOR PALMVIEW HS PARENTS N
00456646
13717
MARCH 2014
MAY 2014
JUNE 2014
JULY 2014
00456650
08/28/14 1686703A
111945
Total Check: FOLLETT SCHOOL SOLUTIONS, INC.
14016661 ISBN-13:978-1416913665
ADVENTURES
07-20-2014
23048
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
39.20
59.92
59.92
25.20
253.68 1,112.65 1,112.65
Total Check: 08/28/14
Computer
69.44
25.20
212-11-6329-01-699-4-24-000 READING MATERIALS 0210179283
C
405.00
59.92
MILEAGE REIMBURSEMENT MARCH-JULY 2
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 0210179282
Computer
405.00
59.92
MILEAGE REIMBURSEMENT MARCH-JULY 2
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00456649
C
425.00
39.20
MILEAGE REIMBURSEMENT MARCH-JULY 2
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00456648
Computer
50.00
69.44
MILEAGE REIMBURSEMENT MARCH-JULY 2
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00456645
C
50.00
FLORES RENE MILEAGE REIMBURSEMENT MARCH-JULY 2
APRIL 2014
Computer
75.00
405.00
199-41-6411-04-986-4-99-000 TRAVEL - EMPLOYEES 00456647
C
75.00
425.00
Total Check: 08/28/14
Computer
40.00
425.00
181-36-6497-02-863-4-91-010 AWARDS & INCENTIVES 0210179281
C
40.00
50.00
199-41-6497-00-926-4-99-000 AWARDS & INCENTIVES 0210179280
Computer
DR. WILSON C.SY,MD
14017106 MEDICAL RECORDS NEEDED FOR J.J.MUN
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 0210179279
C
78.00
75.00 Total Check:
Computer
78.00
40.00
Total Check: DR. RAFAEL A. MIMBELA M.D.
C
565.23
78.00
Total Check: DR. HILDEBRANDO SALINAS, M.D.
224-31-6219-00-871-4-23-000 PROFESSIONAL SERVICES 0210179277
565.23 565.23
199-41-6499-00-926-4-99-000 MISC OPERATING COSTS
00456651
Status
02
0210179274
169
1,112.65
FRAVRE JULIO CESAR CAMT CONF IN FORT WORTH ON 7/20-23
345.18
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456651
08/28/14
23048
07-20-2014
Status Description
FRAVRE JULIO CESAR CAMT CONF IN FORT WORTH ON 7/20-23
162-13-6411-32-104-4-30-010 TRAVEL - EMPLOYEES
00456719
08/28/14 JULY 2014
7525
00456739
08/28/14
14009550 MILEAGE REIMBURSEMENT FOR VN 7525
3883102-0
111058
14018470 Itmes for July 31-August 1 ,2014 f
00456741
JULY 2014
18463
AUG. 2014
14000147 Mileage for ROGELIO GOMEZ MIDDLE S
08/28/14 AUG. 2014
14769
00456753
AUG. 2014
22176
00456718
08/28/14
14009332 MILEAGE FOR THE MONTH OF JANUARY 2
TLS1608285
00456711
08/28/14 14002/001
14011417 Frame-It Flex Heavy Duty Widow Mou
431.76 431.76
Total Check: LA JOYA ISD PRINT SHOP
14015997 ENVELOPES
00456693
08/28/14 146216
1184
146139
14018634 3000 PSI PERFORMANCE CONCRETE
00456656
AUG. 2014
5900
14000163 Mileage for Duties performed for t
08/28/14
1247
Computer
C
Computer
C
Computer
C
Computer
520.00
1,129.00 34.16 34.16
Total Check: 104582
C
MARTINEZ MARIA C.
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES 0210179293
Computer
609.00
520.00 Total Check:
08/28/14
C
750.00
609.00
14018634 3000 PSI PERFORMANCE CONCRETE
199-51-6319-00-956-4-99-000 PLUMBING 0210179292
Computer
431.76
750.00
Total Check: WELLS FARGO BANK, N.A.
199-51-6319-00-956-4-99-000 PLUMBING 00456694
C
750.00
199-23-6298-00-001-4-99-000 PRINTING SERVICES 0210179291
Computer
80.08
80.08
1094
C
41.44
80.08
770-00-6497-03-985-4-99-000 AWARDS & INCENTIVES 0210179290
Computer
41.44
Total Check: ADVENTURES IN ADVERTISING CORPORATION
11178
C
89.27
HERNANDEZ SONIA
162-32-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 0210179289
Computer
50.85
41.44 Total Check:
08/28/14
C
38.42
GONZALEZ OSCAR
14000534 MILEAGE REIMBURSMENT FOR THE YEAR
199-12-6411-01-888-4-99-000 TRAVEL - EMPLOYEES 0210179288
Computer
610.64
50.85 Total Check:
00456743
C
610.64
38.42
14000147 Mileage for ROGELIO GOMEZ MIDDLE S
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES 0210179287
Computer
GOMEZ ROGELIO
162-13-6411-54-831-4-30-010 TRAVEL - EMPLOYEES 00456742
C
41.44
610.64 Total Check:
08/28/14
Computer
41.44 41.44
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
172-13-6399-54-832-4-25-010 GENERAL SUPPLIES 0210179286
C
345.18
AURORA MINERVA GARCIA
199-51-6411-00-960-4-99-000 TRAVEL - EMPLOYEES 0210179285
345.18 345.18
Total Check: 0210179284
00456657
Status
02
0210179283
170
34.16
MCM SPORTING GOODS
14017266 THIS ORDER IS FOR CHAVEZ MS FOOTBA
284.40
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456657
08/28/14 104582
1247
00456639
08/28/14 SUMMER II
99999
14016498 STUDENTS TUITION FOR SPRING SEMEST
Total Check: 00456720
08/28/14
99999
SUPT. SCHOLARS
CARTER EC HS ENROLLED AT UTPA
00456740
99999
ADMIN/FIN.SCHO
00456665
LA JOYA HIGH ENROLLED AT UTPA
08/28/14
99999
1024178TX
00456654
SUMMER II
99999
14016845 STUDENTS TUITIO FOR SPRING SEMESTE
Total Check: 00456660
08/28/14 JUNE 2014
16059
JULY 2014
14018140 REIMBURSEMENT FOR MILEAGE FOR ELA
AUG. 2014
00456661
22294
07-20-2014
08/28/14
FORT WORTH TEXAS
00456663
LIZA GONZALES
5997
CRYSTAL GONZAL
14016693 MICROSOFT EXCEL: BECOME A POWER PO
JUNE 2014
162
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
68.32
19.60
61.04
148.96
335.01 210.00
210.00 210.00 420.00
O'CANA ARMANDO
14000806 MILEAGE FOR THE MONTH OF SEPTEMBER
162-21-6411-00-902-4-30-000 TRAVEL - EMPLOYEES JULY 2014
Computer
75.00
210.00
14016693 MICROSOFT EXCEL: BECOME A POWER PO
Total Check: 08/28/14
75.00
335.01
Total Check: NATIONAL SEMINARS TRAINING
753-00-6411-00-950-4-99-000 TRAVEL - EMPLOYEES 0210179302
C
75.00
335.01
753-00-6411-00-950-4-99-000 TRAVEL - EMPLOYEES 00456662
Computer
MUNOZ LUCY
162-13-6411-32-832-4-30-010 TRAVEL - EMPLOYEES 0210179301
C
13.00
61.04 Total Check:
08/28/14
13.00
19.60
14018140 REIMBURSEMENT FOR MILEAGE FOR ELA
162-13-6411-31-832-4-30-010 EMPLOYEE TRAVEL 0210179300
Computer
200.00
68.32
14018140 REIMBURSEMENT FOR MILEAGE FOR ELA
162-13-6411-31-832-4-30-010 EMPLOYEE TRAVEL 00456658
C
200.00
MUNOZ CLAUDIA
162-13-6411-31-832-4-30-010 EMPLOYEE TRAVEL 00456659
Computer
500.00
PRISCILLA G. DURAN
142-11-6223-28-007-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210179299
C
500.00
13.00
TOLL
Total Check: 08/28/14
Computer
75.00
200.00
Total Check: NORTH TEXAS TOLLWAY AUTHORITY
199-51-6499-01-956-4-99-000 TEXAS DEPART OF LICENSING/LACO/BOILE 0210179298
75.00
GOMEZ ADRIANELI D.
880-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179297
C
75.00
500.00 Total Check:
08/28/14
Computer
GALVAN JORGE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179296
C
284.40
EMILIA CHAVERO
142-11-6223-28-001-4-30-010 STUDENT TUITION/NON-PUB SCHLS 0210179295
284.40 284.40
Total Check: 0210179294
00456668
Status Description
MCM SPORTING GOODS
14017266 THIS ORDER IS FOR CHAVEZ MS FOOTBA
181-36-6399-68-042-4-91-010 GENERAL SUPPLIES
00456667
Status
02
0210179293
171
14000806 MILEAGE FOR THE MONTH OF SEPTEMBER
61.60 61.60 80.08
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456668
08/28/14 JULY 2014
162
AUG. 2014
00456664
08/28/14 4023465013
16162
14016262 SSRW ON TRACK KINDER WORKBOOK
00456683
OCT. 2013
5428
NOV. 2013
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456680
DEC. 2013
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456681
JAN. 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456682
FEB. 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456687
MAR. 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456684
APRIL 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456685
JULY 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456686
AUG. 2014
14002657 MILEAGE FOR THE YEAR 13-14 (OCTOBE
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 0210179305 00456688
08/28/14
32301
Total Check: PERDUE, BRANDON, FIELDER, COLLINS & MOTT TOLL VIOLATION FEES
1109162TX
181-36-6412-89-001-4-91-010 TRAVEL - STUDENTS 0210179306 00456715
08/28/14 F51260
5709
Total Check: TEXAS SCIENCE CENTER/REGION IV ESC.
14018869 Bundle (Show Me How 6-7) Instructi
211-11-6399-00-049-4-30-FOC GENERAL SUPPLIES 0210179307 00456698
08/28/14 96968190
11011
Total Check: ALL AMERICAN SPORTS CORP.
14017336 THIS ORDER IS FOR GARCIA MS GIRLS
181-36-6399-71-046-4-91-010 GENERAL SUPPLIES 0210179308
08/28/14 950688760
14913
Total Check: HOUGHTON MIFFLIN COMPANY
14017278 IOWA ASSESSMENTS FORM E MACHINE-SC
172-11-6339-39-860-4-25-010 TESTING MATERIALS 950522162
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
3,512.15
3,512.15
PENA ALYSSA D.
199-41-6411-00-989-4-99-000 TRAVEL - EMPLOYEES 00456679
C
204.96
3,512.15 Total Check:
08/28/14
Computer
NCS PEARSON, INC.
172-11-6399-00-127-4-25-000 GENERAL SUPPLIES 0210179304
C
63.28 63.28
Total Check: 0210179303
80.08 80.08
14000806 MILEAGE FOR THE MONTH OF SEPTEMBER
162-21-6411-00-902-4-30-000 TRAVEL - EMPLOYEES
00456709
Status Description
O'CANA ARMANDO
14000806 MILEAGE FOR THE MONTH OF SEPTEMBER
162-21-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 00456666
00456708
Status
02
0210179302
172
14017278 IOWA ASSESSMENTS FORM E MACHINE-SC
15.82 15.82 16.39 16.39 15.82 15.82 63.84 63.84 31.92 31.92 16.24 16.24 39.76 39.76 15.68 15.68 22.40 22.40 237.87 6.06 6.06 6.06 433.50 433.50 433.50 221.00 221.00 221.00 212.47 212.47 498.24
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456709
08/28/14 950522162
14913
950460650
0210179309 00456714
08/28/14 352712
5831
Total Check: ROCHESTER ARMORED CAR CO.,INC.
14001507 ARMORED CAR SERVICES FOR CENTRAL O
00456716
08/28/14
113131
00456717
8797
199-21-6411-00-846-4-99-000 TRAVEL - EMPLOYEES 0210179312
08/28/14 007949
55891
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
14018937 EACH ITEM WILL BE USED FOR STAFF D
162-13-6498-27-831-4-30-010 FOOD AND NON FOOD RELATED COSTS 003262
14016791 pencils
211-11-6399-34-869-4-21-000 GENERAL SUPPLIES 00456755
INTEREST/LATE
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456756
PO#13007797
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456757
PO#13016500
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456758
PO#14003964
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456759
PO#13001492
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456760
001888
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456768
PO#14000556
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456762
PO#13000558
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456763
PO#13013123
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456764
PO#13015752
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456765
PO#13003814
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
349.80
178.44
VILLARREAL SOFIA SAN ANTONIO, TX
8-10-2014
C
349.80
178.44 Total Check:
08/28/14
Computer
178.44
211-13-6411-00-001-4-30-FOC TRAVEL - EMPLOYEES 0210179311
C
VALDEZ VERONICA SANFORD, FL
6-21-2014
Computer
12,303.19
349.80 Total Check:
C
11,592.48 11,592.48
199-41-6299-02-942-4-99-000 MISC CONTRACTED SERVICES 0210179310
498.24 498.24
14017278 IOWA ASSESSMENTS FORM E MACHINE-SC
172-11-6339-39-860-4-25-010 TESTING MATERIALS
00456653
Status Description
HOUGHTON MIFFLIN COMPANY
14017278 IOWA ASSESSMENTS FORM E MACHINE-SC
172-11-6339-39-860-4-25-010 TESTING MATERIALS 00456710
00456652
Status
02
0210179308
173
INTEREST / LATE FEE & PENDING CRED
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES
75.45 75.45 75.45 120.94 120.94 493.67 493.67 291.86 291.86 -115.74 -115.74 -99.60 -99.60 -28.91 -28.91 -8.86 -8.86 -5.67 -5.67 -4.00 -4.00 -3.98 -3.98 -2.41 -2.41 -1.98 -1.98 -.13 -.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456766
08/28/14
55891
Status Description
GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL INTEREST / LATE FEE & PENDING CRED
PO#13005744
INTEREST / LATE FEE & PENDING CRED
PO#13006556
INTEREST / LATE FEE & PENDING CRED
PO#13017588
0210179313 00456696
08/28/14 120901
21388
Total Check: ADVANTAGE IMAGING SUPPLY, INC.
14018806 DELL 3130CN BALCK STANDARD TONER C
Total Check: 0210179314 00456697
08/28/14
18885
00456706
08/28/14 028882
189
Total Check: AUDIO VISUAL AIDS CORP.
14015734 RGB5 CABLE WITH VGA PLENUM 75'
211-11-6249-00-127-4-30-000 CONTRACTED SERVICES
00456613
08/28/14 SEPT. 2013
19097
OCT. 2013
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
DEC. 2013
JAN. 2014
FEB. 2014
APRIL 2014
MAY 2014
AUG. 2014
00456620
AUG. 2014
97438
14003670 MILEAGE FOR LPAC CLERK FOR ATTENDI
AUG. 2014
96130
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
7.84
7.84
7.84
7.84
62.93 12.88 12.88
Total Check: 08/28/14
A
CERDA MELINDA
172-23-6411-00-123-4-25-000 TRAVEL - EMPLOYEE 0210179318
ACH
7.84
7.84 Total Check:
08/28/14
A
7.91
7.84
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179317
ACH
7.91
7.84
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456610
A
7.91
7.84
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456609
ACH
206.00
7.84
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456608
A
206.00
7.91
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456607
ACH
695.45
7.91
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456606
695.45
7.91
14001545 IN-DISTRICT MILEAGE FOR ROBERTO CA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456611
A
2,358.00
CANTU ROBERTO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456612
Computer
2,358.00
206.00 Total Check:
0210179316
C
695.45
162-23-6411-46-877-4-30-010 TRAVEL & SUBSISTENCE - EMPLOYEE ONLY 0210179315
Computer
ALANIZ EDUARDO JR. SAN ANTONIO, TX
8-10-2014
C
635.39
2,358.00
211-11-6399-00-109-4-30-PRI GENERAL SUPPLIES
Computer
.23 .23
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES
C
.01 .01
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456761
-.04 -.04
199-11-6499-00-942-4-99-000 MISC. OPERATING EXPENSES 00456767
00456631
Status
02
0210179312
174
12.88
CUELLAR ALBA
14000898 MILEAGE FOR SUPERVIORS' CLERK FOR
199-23-6411-00-123-4-99-000 TRAVEL - EMPLOYEES
20.72 20.72
Total Check:
20.72
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456633
08/28/14 10044
114561
0210179320 00456637
08/28/14 34181
641
34182
Total Check: ECONOMY AWARDS COMPANY
14018959 THIS ORDER IS FOR LA JOYA HS VOLLE
00456640
08/28/14 JULY 2014
6423
AUG. 2014
14012356 MILEAGE REIMBURSEMENT FOR VN# 6423
00456643
JULY 2014
14467
14000753 YEARLY MILEAGE FOR MELINDA FLORES
00456725
SEPT. 2013
105805
OCT. 2013
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
DEC. 2013
JAN. 2014
FEB. 2014
APR. 2014
MAY 2014
AUG. 2014
JUNE 2014
14329
14011346 MILEAGE REIMBURSEMENT FOR VN 14329
14011346 MILEAGE REIMBURSEMENT FOR VN 14329
199-51-6411-00-960-4-99-000 TRAVEL - EMPLOYEES 00456729
AUG. 2014
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
.56
.56
.56
4.51
GARZA DANIEL
199-51-6411-00-960-4-99-000 TRAVEL - EMPLOYEES JULY 2014
ACH
.56
.56 Total Check:
08/28/14
A
.56
.56
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179324
ACH
.57
.56
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456727
A
.57
.56
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456726
ACH
.57
.56
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456728
A
164.64
.57
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456721
ACH
164.64
.57
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456722
A
85.12
.57
14001599 IN-DISTRICT MILEAGE FOR JOAQUIN GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456723
ACH
GARCIA JOAQUIN
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456724
A
60.48
164.64 Total Check:
08/28/14
ACH
FLORES MELINDA
162-21-6411-57-862-4-30-000 TRAVEL - EMPLOYEE ONLY 0210179323
A
24.64
60.48 Total Check:
08/28/14
ACH
588.00
24.64
14012356 MILEAGE REIMBURSEMENT FOR VN# 6423
199-51-6411-00-956-4-99-000 TRAVEL - EMPLOYEES 0210179322
A
500.00
ESTRADA MERCEDES
199-51-6411-00-956-4-99-000 TRAVEL - EMPLOYEES 00456641
ACH
88.00
500.00 Total Check:
A
134.85
88.00
14018989 TROHPIES FOR PALMVIEW HS CROSS COU
181-36-6497-02-863-4-91-010 AWARDS & INCENTIVES 0210179321
134.85 134.85
181-36-6497-02-863-4-91-010 AWARDS & INCENTIVES 00456638
00456730
Status Description
DOYLENE & ASSOCIATES
14018530 KINDLE FIRE PREMIUM MICRO FIBER LE
199-12-6399-00-886-4-99-000 GENERAL SUPPLIES
00456731
Status
02
0210179319
175
14011346 MILEAGE REIMBURSEMENT FOR VN 14329
199-51-6411-00-960-4-99-000 TRAVEL - EMPLOYEES
240.80 240.80 185.92 185.92 267.12 267.12
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179324
08/28/14
14329
GARZA DANIEL
0210179325
08/28/14
18959
GARZA LEANDRO
Total Check: SEPT. 2013
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
Status Description
OCT. 2013
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
DEC. 2013
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
JAN. 2014
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
FEB. 2014
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
MAY 2014
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
AUG. 2014
14001608 IN-DISTRICT MILEAGE FOR LEANDRO GA
Total Check: 0210179326 00456750
08/28/14 SEPT. 2013
155661
OCT. 2013
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
DEC. 2013
JAN. 2014
FEB. 2014
APR. 2014
MAY 2014
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
AUG. 2014
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
00456752
17854
162-23-6411-46-877-4-30-010 TRAVEL & SUBSISTENCE - EMPLOYEE ONLY 0210179328 00456754
08/28/14 246655
12513
Total Check: JOHNSTONE SUPPLY- PHARR
14019009 B92-085 R22-30# REFRIGERANT
(A/C-
199-51-6319-00-956-4-99-000 PLUMBING 0210179329
08/28/14 AUG. 2014
17845
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
8.96
8.96
71.92
GUZMAN REBECCA ATTEND THE SCHLECHTY CENTER WOW CO
08-10-14
ACH
8.96
8.96 Total Check:
08/28/14
A
8.96
8.96
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179327
ACH
8.96
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456744
A
9.04
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456745
ACH
9.04
8.96
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456746
A
9.04
9.04
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456747
ACH
66.91
9.04
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456748
A
9.52
9.04
14001629 IN-DISTRICT MILEAGE FOR AIDA GUAJA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456749
ACH
GUAJARDO AIDA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456751
A
9.52
9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
9.52
9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456736
A
9.52
9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456735
ACH
9.61
9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456734
A
9.61
9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456733
9.61
9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456732
693.84
9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456738
00456655
Status
02
00456737
176
Total Check: MARIA DEL JESUS MORALES
14000399 MILEAGE EXPENSE FROM SEPT 2013 TO
651.06 651.06 651.06 4,780.00 4,780.00 4,780.00 33.60
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456655
08/28/14 AUG. 2014
17845
Status Description
MARIA DEL JESUS MORALES
14000399 MILEAGE EXPENSE FROM SEPT 2013 TO
Total Check: 0210179330 00456671
08/28/14
7082
08-10-2014
JUNE 2014
SAN ANTONIO TEXAS
AUG. 2014
50.74
14000405 MILEAGE FOR INTRA-DISTRICT ACTIVIT
00456676
SEPT. 2013
46388
DEC. 2013
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
JAN. 2014
FEB. 2014
MAR. 2014
MAY 2014
AUG. 2014
08/28/14
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
00456692
S1279709-003
7509
S1279709-001
Total Check: PYRAMID SCHOOL PRODUCTS
14017526 THIS ORDER IS FOR PALMVIEW HIGH SC
S1280969-001
S1277089-001
14017525 THIS ORDER IS FOR JUAREZ LINCOLN H
08/28/14 111737
1519
08/29/14 88349
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
1,059.80
157.90
2,214.59 100.00 100.00 100.00
111831
199-23-6411-00-001-4-99-000 TRAVEL - EMPLOYEES 0210179334
A
REGION ONE ESC
14018597 Registration fee for Ms. Gonzalez
199-23-6239-00-124-4-99-000 EDUCATION SERVICE CENTER SERVICES 00456713
ACH
79.66
157.90 Total Check:
00456712
A
917.23
1,059.80
181-36-6399-88-004-4-91-010 GENERAL SUPPLIES 0210179333
ACH
75.82
79.66
14017529 THIS ORDER IS FOR PALMVIEW HIGH SC
181-36-6399-88-007-4-91-010 GENERAL SUPPLIES 00456689
A
9.52
917.23
14017526 THIS ORDER IS FOR PALMVIEW HIGH SC
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES 00456690
ACH
9.52
9.52
181-36-6399-74-007-4-91-010 GENERAL SUPPLIES 00456691
A
9.52
9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179332
ACH
11.76
9.52
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456674
A
11.76
11.76
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456673
ACH
11.87
11.76
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456672
A
11.87
11.87
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456677
ACH
170.02
11.87
14001684 IN-DISTRICT MILEAGE FOR JAVIER OZU
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456678
A
OZUNA JAVIER
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456675
ACH
75.60 75.60
Total Check: 08/28/14
A
43.68 43.68
14000405 MILEAGE FOR INTRA-DISTRICT ACTIVIT
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 0210179331
ACH
50.74
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 00456669
A
33.60
ORTEGA ALMA
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 00456670
33.60 33.60
199-23-6411-00-109-4-99-000 TRAVEL - EMPLOYEES
00456814
Status
02
0210179329
5208
177
Total Check: COMMERCIAL BILLING SERVICE
14018370 INSPECTION STICKER FOR 50BUSES THA
100.00 200.00 623.50
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456814
08/29/14 88349
5208
87576
14016733 PERFORM AN OUT OF FRAME OVERHAUL O
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00456816
88224
14019020 R/R ENGINE MOUNT ON UNIT 378 RT.72
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00456817
87827
14019019 PERFORM AN OUT FRAME OVERHAUL UNIT
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR Total Check: 0210179335
08/29/14 123161
48496
122823
14018110 MISC. CONTRACTED SERVICES FOR PEST
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456775
123156
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456776
122920
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456777
122923
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456778
122747
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456779
123181
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456780
122748
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456781
123132
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456782
122848
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456783
122628
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456784
122674
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456785
122623
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456786
123077
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456787
122574
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456788
122672
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456789
123133
623.50 623.50
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
9,650.00 9,650.00 897.25 897.25 9,650.00 9,650.00 20,820.75
BUG OFF PEST CONTROL
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456774
Status Description
COMMERCIAL BILLING SERVICE
14018370 INSPECTION STICKER FOR 50BUSES THA
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00456815
00456773
Status
02
0210179334
178
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
34.00 34.00 34.00 34.00 28.00 28.00 34.00 34.00 22.00 22.00 34.00 34.00 34.00 34.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 28.00 22.00 22.00 22.00 22.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/29/14 122784
48496
123136
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456792
122575
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456793
122966
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456794
123742
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456795
122967
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456796
122576
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456797
123103
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456798
122712
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456799
123104
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456800
122677
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456801
122921
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456802
122783
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456803
122881
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456804
122822
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456805
122625
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456806
123075
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456807
122849
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456808
122882
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456772
122827
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456771
122883
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456770
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES 00456791
Status
02
0210179335 00456769
Amount Paid Acct Amt.
Account No \ Description Bank No
123452
179
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
24.00 24.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 22.00 34.00 34.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456790
08/29/14 122714
48496
Status Description
BUG OFF PEST CONTROL
14018110 MISC. CONTRACTED SERVICES FOR PEST
101-35-6299-00-958-4-99-010 MISC CONTRACTED SERVICES
00456809
08/29/14
22548
142-13-6411-58-889-4-30-010 TRAVEL-EMPLOYEE-TEACHERS 08/29/14
00456810
S2573875.001
20778
14018348 JANITORIAL SUPPLIES
00456812
NT94887
20155
1,418.00
NZ24567
14018877 IOGEAR 2-PORT COMPACT USB VGA KVM
00456813
08/29/14
114006
749-61-6299-00-962-4-99-000 MISC CONTRACTED SERVICES
00456818
08/29/14 94492
22025
94494
14017046 MONTH WINDSHIELD /GLASS REPAIR ON
14017046 MONTH WINDSHIELD /GLASS REPAIR ON
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR Total Check: 0210179341 00456820
08/29/14 XJJC915F6
9529
DELL MARKETING
00456822
08/29/14
14018586 DELL IMGAGING DRUM CARTRIDGE FOR D
A78500
96008
Total Check: DEVIN DISTRIBUTING & PACKAGING,INC.
14018506 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 00456822
A78500
14018506 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00456821
A78800
14018506 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 0210179343 00456823
08/29/14 0115
42307
Total Check: EXCLUSIVE DECALS & SCREENPRINTING
14018759 THIS ORDER IS FOR PALMVIEW HS FOOT
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 0210179344
08/29/14 1706513A
111945
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
250.00
250.00 65.00 65.00 65.00 65.00 130.00
L.P.
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 0210179342
C
D & R GLASS ETC. INC.
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00456819
Computer
225.45
250.00 Total Check:
0210179340
C
199.52 199.52
Total Check: CLUB PROPHET SYSTEMS, INC. SYSTEM SOFTWARE FOR HOWLING TRALS
165102
Computer
25.93 25.93
14018997 HP Q7582A Yellow Original LaserJet
199-41-6399-00-975-4-99-000 GENERAL SUPPLIES 0210179339
C
1,418.00
CDW GOVERNMENT, INC.
199-41-6399-00-942-4-99-000 GENERAL SUPPLIES 00456811
Computer
1,418.00
Total Check: 08/29/14
C
371.60
CC DISTRIBUTORS, INC.
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 0210179338
Computer
371.60 371.60
Total Check: 0210179337
C
1,051.00
CASTILLEJA ANGELA 2014 AVID SUMMER INSTITUTE IN SA,
06-30-2014
65.00 65.00
Total Check: 0210179336
00456824
Status
02
0210179335
180
Total Check: FOLLETT SCHOOL SOLUTIONS, INC.
14018990 PEAR 2014 CAMPBELL BIOLOGY IN FOCU
1,699.80 1,699.80 1,699.80 11,587.00 11,587.00 855.48 855.48 -645.48 -645.48 11,797.00 660.00 660.00 660.00 17,426.25
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456824
08/29/14 1706513A
111945
00456825
08/29/14 1420
20036
1421
14011258 SECTION B) PROPOSAL G2b:
A COMPRE
A COMPREH
00456833
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
00456834
99999
SCHOLARSHIP AW
LJISD SUP. GOLF CLASSIC SCHOLARSHI
08/29/14 269903
17474
00456835
16990
TRAVEL
00456837
MAY-JUNE 2014
14002810 CONSULTANT SERVICES FOR THE ROLE O
Total Check: 00456838
08/29/14 05009367
4918
08/29/14
14015076 Black Marble award plaque with per
001280
55891
14014928 FOOD FOR CATERING EVENTS FOR THE M
003159
002620
001207
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
300.00 545.98
545.98 36.21
120.67
14014928 FOOD FOR CATERING EVENTS FOR THE M
115.00 115.00
14014928 FOOD FOR CATERING EVENTS FOR THE M
101-35-6341-03-958-4-99-000 FOOD 00456827
300.00
120.67
101-35-6341-03-958-4-99-000 FOOD 00456831
Computer
300.00
36.21
14014928 SPECIAL DIEETS
101-35-6341-04-958-4-99-000 FOOD 00456828
C
33.90
545.98
Total Check: GE CAPITAL/WAL-MART COMMUNITY COMMERCIAL
101-35-6341-03-958-4-99-000 FOOD 003134
Computer
POSITIVE PROMOTIONS
199-11-6497-64-108-4-11-000 AWARDS & INCENTIVES 0210179352
C
PALACIOS MARIA M
162-13-6291-61-109-4-30-010 CONSULTING SERV - SPEAKER/TRAININGS 0210179351
Computer
56.93
33.90 Total Check:
74918
C
56.93
33.90
199-41-6411-00-701-4-99-000 TRAVEL - EMPLOYEES 08/29/14
Computer
500.00
IRMA NERI
AUG. 2013
0210179350
C
500.00
56.93 Total Check:
08/29/14
Computer
500.00
NCS PEARSON, INC.
14003624 TAKS/STAAR/TELPAS TESTING REPORTS
199-21-6339-00-865-4-99-000 TESTING MATERIALS 0210179349
C
500.00
500.00 Total Check:
00456836
Computer
STEVEN PUENTE
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179348
C
21,000.00
500.00 Total Check:
08/29/14
Computer
SELENA DOMINGUEZ
878-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179347
C
9,000.00 9,000.00
Total Check: 08/29/14
Computer
12,000.00 12,000.00
14011256 SECTION C PROPOSAL G2b:
162-11-6339-32-831-4-30-010 TESTING MATRIALS 0210179346
C
17,426.25
FORDE-FERRIER, LLC.
162-11-6339-32-832-4-30-010 TESTING MATERIALS 00456826
17,426.25 17,426.25
Total Check: 0210179345
00456829
Status Description
FOLLETT SCHOOL SOLUTIONS, INC.
14018990 PEAR 2014 CAMPBELL BIOLOGY IN FOCU
410-11-6321-33-886-4-30-010 TEXTBOOKS
00456830
Status
02
0210179344
181
63.57 63.57
14014928 SPECIAL DIEETS
62.70
101-35-6341-04-958-4-99-000 FOOD
62.70 Total Check:
398.15
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456832
08/29/14 AUG. 2014
33391
00456839
08/29/14 641255-00
330
14017618 BRIDGETTE BUDGET MANIKIN WITH H-88
00456842
0047118-001
60089
0046372-001
14010117 BINDER, VIEW - WHITE 3"
0046961-001
261.24
14018124 SUPPLIES WILL BE USED BY TEACHERS
0047009-001
0047081-001
12.85
14018985 RED COVER BINDERS
715.31
14019047 FOOTREST, HGT/ANG ADJ, GREY
00456848
25438
60089
1,394.85
28222
14008868 PRINTING OF LA JOYA ISD (PAFR) POP
28246
24915
00456850
08/29/14 8604678
113913
00456849
08/29/14
Total Check: EWING IRRIGATION PRODUCTS INC
14018920 (PL660) (15000460)
6584
7357
PVB FEBCO W/BA
00456851
08/29/14
14018988 THIS ORDER IS FOR ATHLETICS: ESTIM
0171681-IN
52531
14016988 SING & READ COLOR COLLECTION
TEAC
08/29/14
2122
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
626.22 99.13
99.13 5,232.41
5,232.41
GRAINGER
14016230 PADLOCK, ALIKE KEY
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 9522435339
Manual
626.22
5,232.41 Total Check:
9502532816
M
4,117.68
99.13
Total Check: FROG STREET PRESS, INC.
172-11-6329-39-124-4-35-010 READING MATERIALS 0210179360
Manual
1,264.40
626.22
Total Check: EASY RIDE GOLF CARS SALES & SERVICE
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 0210179359
M
911.40
1,264.40
199-51-6319-00-956-4-99-000 PLUMBING 0210179358
Manual
812.62
911.40
14007218 PRINTING OF LA JOYA ISD (CAFR)COMP
199-41-6298-00-942-4-99-000 PRINTING SERVICES 0210179357
M
1,129.26
812.62
14018979 PRINTING OF THE DISTRICT 2014-15 B
199-41-6298-00-942-4-99-000 PRINTING SERVICES 00456847
Manual
3,201.33
1,129.26
14018880 2014-2015 STUDENT PARKING PERMIT S
199-52-6298-99-993-4-99-000 PRINTING SERVICES 00456840
M
COPY PLUS
199-41-6498-00-942-4-99-000 FOOD & NON-FOOD RELATED ITEMS 00456841
Manual
1,394.85
Total Check: 08/29/14
M
715.31
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 0210179356
Manual
12.85
199-41-6399-00-942-4-99-000 GENERAL SUPPLIES 00456843
M
817.08 817.08
14018958 ROLL THERMAL 44MMX150' 10PK
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 00456844
Manual
261.24
211-13-6399-34-869-4-30-000 GENERAL SUPPLIES 00456845
M
552.00
COPY PLUS
211-21-6399-60-874-4-30-010 GENERAL SUPPLIES 00456846
ACH
552.00 552.00
Total Check: 08/29/14
A
30.24
BURMAX COMPANY, INC.
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 0210179355
30.24 30.24
Total Check: 0210179354
00456853
Status Description
RUIZ MELISSA
14001727 MILEAGE REIMBURSEMENT FOR THE MONT
199-41-6411-00-942-4-99-000 TRAVEL - EMPLOYEES
00456852
Status
02
0210179353
182
14018857 HAND STRETCH WRAP, CLEAR, 1500 FT
298.00 298.00 267.40
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456853
08/29/14 9522435339
2122
Total Check: 0210179361 00456859
08/29/14 803659
7520
803659
14018508 PAPER / PLASTIC PRODUCTS FOR THE M
14018508 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00456858
807753
14018508 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 00456860
807754
14018508 PAPER / PLASTIC PRODUCTS FOR THE M
101-35-6342-00-958-4-99-000 NON-FOOD 00456854
774398
14017588 VIPER INDUSTRIAL PRODUCTS
199-51-6395-00-957-4-99-000 FURN & EQUIP <$500 UNIT COST 00456855
804719
14018559 LAUNDRY DETERGENT 55 GALLON AT PAL
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00456856
802477
14018559 LAUNDRY DETERGENT 55 GALLON AT PAL
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00456857
804718
14018559 LAUNDRY DETERGENT 55 GALLON AT PAL
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 0210179362 00456881
08/29/14 69389485
22640
Total Check: JOHN DEERE LANDSCAPES, INC
14018926 PROSECUTOR PRO 2.5 GAL. (ROUND UP)
199-51-6319-00-956-4-99-000 PLUMBING 0210179363
08/29/14 1100376101
57002
Total Check: INSIGHT PUBLIC SECTORS, INC.
14017782 Opticom Rack Mount Fiber Enclosure
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 1100377241
14017784
Net-Access 7’ Free Standing Cabin
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456877
1100376099
14017785 Opticom Rack Mount Fiber Enclosure
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456876
1100375651
14017786 Opticom Rack Mount Fiber Enclosure
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456875
1100376102
14017788 Opticom Rack Mount Fiber Enclosure
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456874
1100382075
14018515 Catalyst 4500-X Core switch consis
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456873
1100382254
14018515 Catalyst 4500-X Core switch consis
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456872
1100380989
14018515 Catalyst 4500-X Core switch consis
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456871
1100379714
267.40 267.40
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
565.40
GULF COAST PAPER CO.
101-35-6342-00-958-4-99-000 NON-FOOD 00456859
00456878
Status Description
GRAINGER
14018857 HAND STRETCH WRAP, CLEAR, 1500 FT
199-41-6319-00-976-4-99-000 SUPPLIES/MAINT & OPERATIONS
00456879
Status
02
0210179360
183
14018516 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000
3,124.80 3,124.80 1,594.80 1,594.80 7,812.00 7,812.00 3,906.00 3,906.00 2.00 2.00 872.50 872.50 592.75 592.75 872.50 872.50 18,777.35 324.90 324.90 324.90 111.30 111.30 424.50 424.50 166.80 166.80 88.10 88.10 88.10 88.10 14,878.22 14,878.22 4,177.60 4,177.60 628.42 628.42 1,551.36 1,551.36
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456870
08/29/14 1100382073
57002
1100379716
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456868
1100382251
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456861
1100382869
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456880
1100380617
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456862
1100381674
14018518 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456863
1100380990
14018518 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456864
1100382248
14018588 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456865
1100382250
14018589 Cisco 2702I wireless access points
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456866
1100379820
14018653 CISCO 10GBASE-LR XENPAK Module wit
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00456867
1100382647
14018924 Cisco 3850 switch that includes: C
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 Total Check: 0210179364 00457058
08/29/14 1753
72982
14002429 1-2-1 Processing Service from Sept
00457061
08/29/14 5954
25615
5953
14010888 REGISTRATION FEE FOR THE FOLLOWING
00457063
10384
14301
10351
14018416 1 SUBJECT NOTEBOOK COLLEGE RULLED
08/29/14
90735
M
Manual
8,502.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
303.04 303.04 5,626.83 5,626.83 43.06 43.06 5,670.04 5,670.04 4,401.00 4,401.00 2,600.00 2,600.00 8,060.00 8,060.00 75,086.81 3,170.00
3,170.00 235.00
1,410.00
1,645.00 5,483.50
8,544.00
14,027.50
AMERICA TEAM SPORTS
14018550 THIS ORDER IS FOR JUAREZ-LINCOLN H
181-36-6399-69-004-4-91-010 GENERAL SUPPLIES BBB005318-BB03
Manual
8,502.00
8,544.00 Total Check:
BBB005318-BB03
2,984.00
5,483.50
14018416 1 SUBJECT NOTEBOOK COLLEGE RULLED
199-00-1310-00-000-4-00-000 INVENTORY 0210179367
M
AFP INDUSTRIES, INC.
199-00-1310-00-000-4-00-000 INVENTORY 00457062
Manual
2,984.00
1,410.00 Total Check:
08/29/14
1,334.44
235.00
14011218 REGISTRATION FEE FOR THE FOLLOWING
286-13-6411-00-007-1-30-000 TRAVEL - EMPLOYEES 0210179366
M
1,334.44
ABYDOS LEARNING
286-23-6411-00-004-1-30-000 TRAVEL - EMPLOYEES 00457060
13,448.00
3,170.00 Total Check:
0210179365
13,448.00
1-2-1 CLAIMS, INC.
770-00-6299-10-985-4-99-000 MISC. CONT.SERVICES
00457099
Status Description
INSIGHT PUBLIC SECTORS, INC.
14018516 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00456869
00457099
Status
02
0210179363
184
14018550 TRAINING SHOE BRAND: ASICS MODEL:
181-36-6399-70-004-4-91-010 GENERAL SUPPLIES
340.04 340.04 771.96 771.96
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457099
08/29/14 BBB005318-BB03
90735
268.50 268.50 Total Check:
0210179368 00456974
08/29/14 INV0022746
15767
0210179369 00456984
08/29/14
14018467 RENTAL 19' SCISSOR LIFT (1-MONTH)
05 823052
333
14019058 LB HCL STEERING CYLINDER (P/I) (IN
00456975
AUG. 2014
18083
14000054 Mileage for 2013-2014 For Duties p
08/29/14 NX56381
20155
00456985
08/29/14 00003757
00456986
AUG. 2014
979.00
14013851 MILEAGE REIMBURSEMENT FOR PARENT L
00456987
94522
22025
00456988
08/29/14
14019038 REAR GLASS REPLACEMENT FOR DEPARTM
08282014
85006
Total Check: DANIEL'S PRINTING PLACE
14019022 BOOK STRIPS FOR ALL SPORTS 250C 21
181-36-6298-01-863-4-91-010 PRINTING SERVICES 10/08/14 XJJC9W4T6
9529
DELL MARKETING
14018402 DELL 2130CN INK BUNDLE TONER CARTR
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00456997
XJJCCXPR8
14018402 DELL 2130CN INK BUNDLE TONER CARTR
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00456999
XJJC9W4T6
14016366 IMAGING DRUM (PK496) DRUM CARTRIDG
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES 00456998
XJJCCXX39
C
Computer
C
Computer
C
Computer
41.44 135.00 135.00 135.00 157.50
157.50
L.P.
14016366 IMAGING DRUM (PK496) DRUM CARTRIDG
286-13-6399-00-007-1-30-000 GENERAL SUPPLIES XJJCCXX39
Computer
41.44
157.50 Total Check:
0210179376
C
979.00
D & R GLASS ETC. INC.
199-12-6249-00-888-4-99-000 CONTRACTED MAINT & REPAIR 0210179375
979.00
41.44 Total Check:
08/29/14
Computer
CUATE ELOISA
199-61-6411-00-124-4-99-000 TRAVEL - EMPLOYEES 0210179374
459.99
14018375 ProBook 840 G1 Admin. Lap Touch
8009
C
459.99
459.99
Total Check: 08/29/14
Computer
162.96
CRC
199-41-6397-01-701-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210179373
C
162.96
Total Check: 13478
Computer
398.00
CDW GOVERNMENT, INC.
14018779 Fujitsu ScanSnap iX500 - document
199-52-6397-00-902-4-99-000 TECHNOLOGY EQUIP -$500 TO $4,999.99 0210179372
C
398.00
162.96 Total Check:
00456976
Computer
CARRANZA ALEJANDRO
162-13-6411-54-832-4-30-010 TRAVEL - EMPLOYEES 0210179371
C
708.00
398.00 Total Check:
08/29/14
Computer
708.00 708.00
Total Check: COMMERCIAL BILLING SERVICE
199-51-6319-02-956-4-99-000 ELECTRICAL 0210179370
C
1,380.50
BRIGGS EQUIPMENT
199-51-6269-00-956-4-99-000 RENTAL EQUIPMENT
00456998
Status Description
AMERICA TEAM SPORTS
14018550
181-36-6399-71-004-4-91-010 GENERAL SUPPLIES
00456999
Status
02
0210179367
185
14018402 DELL 2130CN INK BUNDLE TONER CARTR
-7,349.30 -7,349.30
CV Computer Void
-1,083.60 -1,083.60
CV Computer Void
-3,915.90 -3,915.90
CV Computer Void
7,349.30 7,349.30 1,083.60
C
Computer
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179376 00456998
08/29/14 XJJCCXX39
9529
DELL MARKETING
L.P.
14018402 DELL 2130CN INK BUNDLE TONER CARTR
XJJCCXPR8
14018402 DELL 2130CN INK BUNDLE TONER CARTR
00457035
08/29/14 14094
4849
Total Check: FLORES NURSERY & FLORAL
14019004 ROSE CORSAGES FOR LA JOYA HIGH SCH
Total Check: 0210179378 00457051
08/31/14 SEPT. 2013
16657
OCT. 2013
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
DEC. 2013
JAN. 2014
FEB. 2014
APRIL 2014
MAY 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
00457055
AUG. 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
00457051
SEPT. 2013
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
OCT. 2013
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
DEC. 2013
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
JAN. 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
FEB. 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
APRIL 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
MAY 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
AUG. 2014
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
Total Check: 0210179379
08/29/14
23186
FLORES ROSBEL
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
8.96
8.96
8.96 8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
Computer
8.96
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457055
C
8.96
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457054
Computer
9.04
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457053
C
9.04
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457057
CV Computer Void
9.04
9.04
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457052
CV Computer Void
-8.96
9.04
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457056
CV Computer Void
-8.96
9.04
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457050
CV Computer Void
-8.96
-8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
CV Computer Void
-8.96
-8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
CV Computer Void
-8.96
-8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457054
CV Computer Void
-9.04
-8.96
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
CV Computer Void
-9.04
-8.96
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457053
Computer
-9.04
-9.04
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457057
C
405.00
-9.04
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457052
Computer
405.00
-9.04
14001592 IN-DISTRICT MILEAGE FOR ROLANDO FL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457056
C
ROLANDO FLORES
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457050
Computer
.00
405.00
181-36-6497-02-863-4-91-010 AWARDS & INCENTIVES
C
3,915.90 3,915.90
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 0210179377
1,083.60 1,083.60
286-11-6399-00-007-1-30-000 GENERAL SUPPLIES 00456997
186
.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457038
08/29/14 SEPT. 2013
23186
Status Description
FLORES ROSBEL
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
OCT. 2013
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
JAN. 2014
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
FEB. 2014
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
00457037
APRIL 2014
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
00457036
MAY 2014
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
AUG. 2014
14001593 IN-DISTRICT MILEAGE FOR ROSBEL FLO
Total Check: 0210179380 00456893
08/29/14 1103425486
42986
14019006 CLEANING OF DUST MOPS FOR THE CUST
00456900
SEPT.2013
96717
OCT.2013
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
DEC. 2013
JAN. 2014
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
FEB. 2014
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
APR. 2014
MAY 2014
AUG. 2014
00456902
AUG. 2014
22086
08/29/14
14000144 MILEAGE FOR BRENDA GARCIA VN#22086
3884424-0
111058
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
6.72
6.72
53.94
GARCIA BRENDA
162-13-6411-32-831-4-30-010 TRAVEL - EMPLOYEES 0210179383
C
6.72
6.72 Total Check:
08/29/14
Computer
6.72
6.72
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179382
C
6.72
6.72
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456899
Computer
6.78
6.72
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456898
C
6.78
6.72
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456897
Computer
6.78
6.78
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456901
C
352.73
6.78
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456896
Computer
352.73
6.78
14001595 IN-DISTRICT MILEAGE FOR EDUARDO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456895
C
GALAVIZ EDUARDO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456894
Computer
66.82
352.73 Total Check:
08/29/14
C
G & K SERVICES
199-51-6299-00-957-4-99-000 MISC CONTRACTED SERVICES 0210179381
Computer
9.52 9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
C
9.52 9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457042
Computer
9.52 9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
C
9.52 9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
Computer
9.52 9.52
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457041
C
9.61 9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457040
9.61 9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457039
00456912
Status
02
0210179379
187
Total Check: GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018533 REFILL, ERASER
199-41-6399-00-701-4-99-000 GENERAL SUPPLIES
85.68 85.68 85.68 178.09 178.09
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456912
08/29/14 3884424-0
111058
0210179384 00456913
08/29/14 83847
86487
83848
Total Check: GOLD STAR PETROLEUM, INC.
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
00456919
08/29/14 OCT. 2013
101087
NOV. 2013
14000921 MILEAGE REIMBURSEMENT FOR THE PERI
MAY 2014
00456920
11170
41ST ANNUAL CONF. AND TRADE SHOW
06-19-14
00456931
08/29/14 00012033
11339
12036
14011129 WATER SERVICES FOR THE MONTHS OF J
12046
12047
12048
12041
Total Check: 0210179388 00456934
08/29/14 124295
4048
14017362 CAKES & PASTRIES FOR CATERING REQU
2015369
105236
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
428.79
62.43
12,904.74 38.50
38.50
ISITE SOFTWARE LLC
14018830 FSM - PKG
FIVE STAR MEAL PACKAG
14018829 DBL-SIDE-SIGN
2,295.00 2,295.00
101-35-6399-00-958-4-99-000 GENERAL SUPPLIES 2015371
Computer
134.23
38.50 Total Check:
08/29/14
C
IRMA'S SWEETE SHOPPE
101-35-6341-03-958-4-99-000 FOOD 0210179389
Computer
6,398.59
62.43
199-51-6259-03-956-4-99-000 UTILITIES - WATER
C
2,522.60
428.79
14011129 WATER SERVICES FOR THE MONTHS OF J
CV Computer Void
3,358.10
134.23
14011129 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00456933
Computer
.00
6,398.59
14011129 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00456932
C
249.09
2,522.60
14011129 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00456928
Computer
-249.09
3,358.10
14011129 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00456929
C
33.77
249.09
Total Check: HIDALGO MUNICIPAL UTILITY DIST. #1
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00456930
Computer
14.56
-249.09
41ST ANNUAL CONF. AND TRADE SHOW
06-19-14
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES 0210179387
C
HERNANDEZ GUADALUPE
199-34-6411-00-972-4-99-000 TRAVEL - EMPLOYEES 00456920
Computer
4.52
14.56 Total Check:
08/31/14
C
14.69
4.52
14000921 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 0210179386
Computer
30,725.98
14.69
14000921 MILEAGE REIMBURSEMENT FOR THE PERI
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00456918
C
14,860.33
GUAJARDO LAURA
101-35-6411-00-958-4-99-000 TRAVEL - EMPLOYEES 00456917
Computer
15,865.65
14,860.33 Total Check:
C
469.33
15,865.65
14017146 MONTH FUEL FOR TRANSPORTATION DEPT
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 0210179385
291.24 291.24
199-34-6311-00-972-4-99-000 GAS & OTHER FUELS 00456914
00456935
Status Description
GATEWAY PRINTING & OFFICE SUPPLY, INC.
14018533 ERASER, RT, CLIC, BE, UP
199-41-6399-00-702-4-99-000 GENERAL SUPPLIES
00456936
Status
02
0210179383
188
LIGHT WEIGHT DOUB
3,442.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456935
08/29/14 2015371
105236
LIGHT WEIGHT DOUB
Total Check: 0210179390
08/29/14
00456937
1-13481488853
5058
14018927 CONTRACTED SERVICES/TROUBLE SHOOT
00456941
08/29/14 472129
20011
14017913 KAGAN COOPERATIVE LEARNING DAY 2 O
00457100
08260575
3945
08260575
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
08260575
08273251
08273251
08273251
08273971
08273971
08274802
814.68
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
00457106
1488
24,102.75
1487
14019029
FAULTY FUEL PUMP AND FILTER HEADE
14019027 FAULTY IPR AND CAM SENSOR CONNECTI
Total Check: 00457049
08/29/14
99999
SCHOLARSHIP AW
LJISD ADMIN & FINANCE DEPT SCHOLAR
SEPT. 2013
21721
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
2,023.57 2,023.57 794.72 794.72 2,818.29 200.00
200.00
OLIVAREZ JORGE
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES OCT. 2013
C
113,165.13
200.00 Total Check:
08/29/14
Computer
LIZBET CANTU
880-00-2190-00-000-4-00-000 DUE TO STUDENT GROUPS 0210179395
C
LONGHORN BUS SALES
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 0210179394
Computer
-74.51 -74.51
199-34-6249-00-972-4-99-000 CONTRACTED MAINT & REPAIR 00457105
C
24,102.75
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
9409
Computer
14,981.75 14,981.75
14018456 BREAKFAST
Total Check: 08/29/14
C
814.68
101-35-6341-00-958-4-99-000 FOOD 0210179393
Computer
17,304.31
20,173.56
14018456 JANITORIAL SUPPLIES
101-35-6341-01-958-4-99-000 FOOD 00457101
C
20,173.56
101-35-6341-00-958-4-99-000 FOOD 00457102
Computer
560.67
17,304.31
14018456 BREAKFAST
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00457102
C
34,285.82
1,016.10
14018456 FOOD FOR LUNCH FOR THE MONTH OF AU
101-35-6341-01-958-4-99-000 FOOD 00457103
Computer
1,016.10
101-35-6341-00-958-4-99-000 FOOD 00457103
C
952.00
560.67
14018456 JANITORIAL SUPPLIES
101-35-6349-00-958-4-99-000 FOOD SERVICE SUPPLIES 00457103
Computer
952.00
34,285.82
14018456 PAPER / PLASTIC PRODUCTS
101-35-6342-00-958-4-99-000 NON-FOOD 00457104
C
1,680.00
LABATT FOOD SERVICE
101-35-6341-00-958-4-99-000 FOOD 00457100
Computer
1,680.00
952.00 Total Check:
08/29/14
C
5,737.00
KAGAN
211-13-6291-00-113-4-30-FOC CONSULTING SERVICES 0210179392
3,442.00
1,680.00 Total Check:
0210179391
3,442.00
JOHNSON CONTROLS
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS
00456955
Status Description
ISITE SOFTWARE LLC
14018829 DBL-SIDE-SIGN
101-35-6395-00-958-4-99-000 FURN & EQUIP <$500 UNIT COST
00456956
Status
02
0210179389
189
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
14.13 14.13 14.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456955
08/29/14 OCT. 2013
21721
DEC. 2013
JAN. 2014
FEB. 2014
00456951
APRIL 2014
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
00456957
MAY 2014
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
AUG 2014
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
Total Check: 0210179396 00456973
08/29/14 SEPT. 2013
19605
OCT. 2013
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
DEC. 2013
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
JAN. 2014
FEB. 2014
APRIL 2014
00456967
05043900
4918
00457154
08/29/14
14018384 PLASTIC DRAWSTRING GOODY BAG
7442000566
5709
14015297 REGISTRATION FOR INA FLORES VENDOR
Total Check: 08/29/14 C. VASQUEZ
19190
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES 00457120
A. GUTIERREZ
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
57.39 695.72
695.72 105.00 105.00 105.00
RGVCTM
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES K. GARZA
C
9.52
695.72
Total Check: TEXAS SCIENCE CENTER/REGION IV ESC.
162-13-6239-00-021-4-30-000 EDUCATION SERVICE CENTER SERVICES 0210179399
Computer
POSITIVE PROMOTIONS
199-12-6497-00-888-4-99-000 AWARDS & INCENTIVES 0210179398
C
9.52
9.52 Total Check:
08/29/14
Computer
9.52
9.52
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179397
C
9.61
9.52
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456968
Computer
9.61
9.61
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456969
C
9.61
9.61
14001691 IN-DISTRICT MILEAGE FOR ROMEO PENA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456970
Computer
112.39
9.61
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456971
C
ROMEO PENA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456972
Computer
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
C
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456958
Computer
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
C
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
Computer
14.00 14.00
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
C
14.13 14.13
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456952
14.13 14.13
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456953
00457121
Status Description
OLIVAREZ JORGE
14001682 IN-DISTRICT MILEAGE FOR JORGE OLIV
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456954
00457139
Status
02
0210179395
190
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES
50.00 50.00 50.00 50.00 50.00 50.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/29/14
00457138
A. HERNANDEZ
19190
J. ZAPATA
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES 00457123
C. MELENDEZ
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES 00457124
E. AGUILAR
14005147 REGISTRATION FEE FOR ELIDA AGUILAR
162-13-6411-32-122-4-30-010 TRAVEL - EMPLOYEES 00457125
L. GARCIA
14005147 REGISTRATION FEE FOR ELIDA AGUILAR
162-13-6411-32-122-4-30-010 TRAVEL - EMPLOYEES 00457126
N. CAMPOS
14005037 REGISTRATION FEE FOR MELISSA RESEN
162-13-6411-32-120-4-30-010 TRAVEL - EMPLOYEES 00457127
C. GOMEZ
14005037 REGISTRATION FEE FOR MELISSA RESEN
162-13-6411-32-120-4-30-010 TRAVEL - EMPLOYEES 00457128
M. RESENDEZ
14005037 REGISTRATION FEE FOR MELISSA RESEN
162-13-6411-32-120-4-30-010 TRAVEL - EMPLOYEES 00457129
A. ANDRADE
14005035 REGISTRATION FEE FOR SANDRA ANTUNA
162-13-6411-32-109-4-30-010 TRAVEL - EMPLOYEES 00457130
V. ALANIZ
14005035 REGISTRATION FEE FOR SANDRA ANTUNA
162-13-6411-32-109-4-30-010 TRAVEL - EMPLOYEES 00457131
S. ANTUNA
14005035 REGISTRATION FEE FOR SANDRA ANTUNA
162-13-6411-32-109-4-30-010 TRAVEL - EMPLOYEES 00457132
J. GARZA
14005034 REGISTRATION FEE FOR ARTEMIO CANTU
162-13-6411-32-126-4-30-010 TRAVEL - EMPLOYEES 00457133
N. LEANOS
14005034 REGISTRATION FEE FOR ARTEMIO CANTU
162-13-6411-32-126-4-30-010 TRAVEL - EMPLOYEES 00457134
A. CANTU
14005034 REGISTRATION FEE FOR ARTEMIO CANTU
162-13-6411-32-126-4-30-010 TRAVEL - EMPLOYEES 00457135
A. PEREZ
14005034 REGISTRATION FEE FOR ARTEMIO CANTU
162-13-6411-32-126-4-30-010 TRAVEL - EMPLOYEES 00457136
L. RAMIREZ
14005033 REGISTRATION FEE FOR MARCELINA GAR
162-13-6411-32-106-4-30-010 TRAVEL - EMPLOYEES 00457137
M. GARZA
14005033 REGISTRATION FEE FOR MARCELINA GAR
162-13-6411-32-106-4-30-010 TRAVEL - EMPLOYEES 0210179400
08/29/14 96725488
11011
Total Check: ALL AMERICAN SPORTS CORP.
14016283 THIS ORDER IS FOR TREVINO MS FOOTB
181-36-6399-68-049-4-91-010 GENERAL SUPPLIES 60245771
14016283 THIS ORDER IS FOR TREVINO MS FOOTB
181-36-6399-68-049-4-91-010 GENERAL SUPPLIES 00457081
96699094
14016284 THIS ORDER IS FOR SALINAS MS FOOTB
181-36-6399-68-048-4-91-010 GENERAL SUPPLIES 00457082
Status Description
RGVCTM
14004928 REGISTRATION FEE FOR CARMEN MELEND
162-13-6411-32-127-4-30-010 TRAVEL - EMPLOYEES 00457122
00457080
Status
02
0210179399
00457079
Amount Paid Acct Amt.
Account No \ Description Bank No
60245777
191
14017534 THIS ORDER IS FOR MEMORIAL MS FOOT
181-36-6399-68-044-4-91-010 GENERAL SUPPLIES
50.00 50.00
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 50.00 1,000.00 33.00 33.00 1,344.00 1,344.00 268.50 268.50 1,904.00 1,904.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457083
08/29/14 60245640
11011
Status Description
ALL AMERICAN SPORTS CORP.
14017533 THIS ORDER IS FOR GARCIA MS FOOTBA
60242675
14016281 THIS ORDER IS FOR LA JOYA HS FOOTB
96977836
14018536 THIS ORDER IS FOR DE ZAVALA MS FOO
60249840
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457087
60249839
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457088
60249838
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457089
60250689
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457090
96784649
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457091
96855773
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457092
96784648
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457093
60248372
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457094
60249623
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457095
60249624
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457096
9682779
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457097
96849117
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 00457098
96849118
14017734 THIS ORDER IS FOR HIGH SCHOOLS AND
181-36-6249-01-863-4-91-010 CONTRACTED MAINT & REPAIR 0210179401 00457141
08/29/14 565
19884
Total Check: RIO GRANDE CHAPTER, TASO
14019054 OFFICIAL SERVICES FOR JUAREZ-LINCO
555
14019053 OFFICIAL SERVICES FOR BRO. VETERAN
556
14019052 OFFICIAL SERVICES FOR BRO. VETERAN
Total Check: 08/29/14 OCT. 2013
19109
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
1,627.20 1,627.20 2,237.40 2,237.40 2,001.10 2,001.10 1,344.00 1,344.00 4,060.00 4,060.00 1,596.00 1,596.00 2,546.75 2,546.75 2,034.00 2,034.00 1,864.50 1,864.50 7,267.50 7,267.50 3,325.00 3,325.00 4,234.00 4,234.00 43,571.70 100.00
100.00
100.00 100.00
181-36-6299-00-863-4-91-010 MISC CONTRACTED SERVICES 0210179402
2,034.00
100.00
181-36-6299-00-863-4-91-010 MISC CONTRACTED SERVICES 00457142
C
2,034.00
100.00
181-36-6299-00-863-4-91-010 MISC CONTRACTED SERVICES 00457140
Computer
1,233.25 1,233.25
181-36-6399-82-041-4-91-010 GENERAL SUPPLIES 00457086
C
1,777.50 1,777.50
181-36-6399-68-041-4-91-010 GENERAL SUPPLIES 00457085
840.00 840.00
181-36-6399-68-046-4-91-010 GENERAL SUPPLIES 00457084
00457144
Status
02
0210179400
192
300.00
RIVERA ELIUD JR.
14001717 IN-DISTRICT MILEAGE FOR ELUID RIVE
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
9.04 9.04
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457143
08/29/14 DEC.2014
19109
Status Description
RIVERA ELIUD JR.
14001717 IN-DISTRICT MILEAGE FOR ELUID RIVE
Total Check: 0210179403 00457174
10/02/14 121
64939
121
14017369 COMPLETE 32 PC UNIT SET (LEFT AND
00457163
SEPT. 2013
34517
DEC. 2013
14001763 IN-DISTRICT MILEAGE FOR HECTOR VAS
00457168
SEPT. 2013
85774
OCT. 2013
14001765 IN-DISTRICT MILEAGE FOR ALFREDO VE
DEC. 2013
JAN. 2014
FEB. 2014
00457169
SEPT. 2013
45993
OCT. 2013
14001769 IN-DISTRICT MILEAGE FOR HERACLIO V
JAN. 2014
FEB. 2014
APR. 2014
00457059
15670
16905
14019044 NEED TO CHECK AND REPAIR INTERCOM
SEPT. 2013
20379
C
Computer
C
Computer
C
Computer
C
Computer
C
Computer
A
ACH
3.36
3.36
16.86 75.00 75.00
Total Check: 08/29/14
Computer
ABSOLUTE SERVICES
199-51-6249-01-956-4-99-000 TOOLS/EQUIPMENT REPAIRS 0210179408
C
3.36
3.36 Total Check:
08/29/14
Computer
3.39
3.36
14001769 IN-DISTRICT MILEAGE FOR HERACLIO V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179407
C
3.39
3.36
14001769 IN-DISTRICT MILEAGE FOR HERACLIO V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457173
Computer
39.41
3.39
14001769 IN-DISTRICT MILEAGE FOR HERACLIO V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457172
C
7.84
3.39
14001769 IN-DISTRICT MILEAGE FOR HERACLIO V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457171
Computer
VILLARREAL HERACLIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457170
C
7.84
7.84 Total Check:
08/29/14
Computer
7.91
7.84
14001765 IN-DISTRICT MILEAGE FOR ALFREDO VE
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179406
C
7.91
7.91
14001765 IN-DISTRICT MILEAGE FOR ALFREDO VE
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457164
Computer
7.91
7.91
14001765 IN-DISTRICT MILEAGE FOR ALFREDO VE
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457165
C
15.26
7.91
14001765 IN-DISTRICT MILEAGE FOR ALFREDO VE
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457166
Computer
VELA ALFREDO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457167
C
14.69 14.69
Total Check: 08/29/14
Computer
.57 .57
14001763 IN-DISTRICT MILEAGE FOR HECTOR VAS
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179405
C
.00
VASQUEZ HECTOR
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457162
CV Computer Void
5,350.00 5,350.00
Total Check: 08/29/14
Computer
-5,350.00 -5,350.00
14017369 COMPLETE 32 PC UNIT SET (LEFT AND
199-36-6639-18-001-4-99-010 FURN, EQUIP & SOFTWARE 0210179404
C
18.08
YORK JACK
199-36-6639-18-001-4-99-010 FURN, EQUIP & SOFTWARE 00457174
9.04 9.04
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
00457070
Status
02
0210179402
193
75.00
ALFARO MANUELA
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
14.69
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457070
08/29/14 SEPT. 2013
20379
OCT. 2013
DEC. 2013
JAN. 2014
00457066
FEB. 2014
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
00457065
APR. 2014
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
MAY 2014
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
AUG. 2014
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
Total Check: 0210179409 00457072
08/29/14 SEPT. 2013
105864
OCT. 2013
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
DEC. 2013
JAN. 2014
FEB. 2014
APR. 2014
AUG. 2014
SEPT. 2013
22914
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456978
DEC. 2013
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456977
JAN. 2014
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456980
FEB. 2014
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
10.64
74.78
CHAVEZ ALEJANDRO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES OCT. 2013
A
10.64
10.64 Total Check:
08/29/14
ACH
10.64
10.64
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179410
A
10.64
10.64
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457078
ACH
10.74
10.64
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457077
A
10.74
10.74
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457076
ACH
10.74
10.74
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457075
A
36.11
10.74
14001532 IN-DISTRICT MILEAGE FOR MOISES ALF
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457074
ACH
ALFERES MOISES
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457073
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457071
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457064
ACH
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
1.13 1.13
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
A
14.69 14.69
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457067
14.69 14.69
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457068
00456979
Status Description
ALFARO MANUELA
14001531 IN-DISTRICT MILEAGE FOR MANUELA AL
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457069
00456981
Status
02
0210179408
194
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
1.70 1.70 1.70 1.70 1.70 1.70 1.68 1.68 1.68 1.68
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456983
08/29/14 APRIL 2014
22914
Status Description
CHAVEZ ALEJANDRO
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
AUG. 2014
14001561 IN-DISTRICT MILEAGE FOR ALEJANDRO
Total Check: 00456992
08/29/14 SEPT. 2013
76651
OCT. 2013
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
DEC. 2013
JAN. 2014
FEB. 2014
APRIL 2014
MAY 2014
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
AUG. 2014
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
00457000
SEPT. 2013
105856
OCT. 2013
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
DEC. 2013
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
JAN. 2014
FEB. 2014
APRIL 2014
MAY 2014
AUG. 2014
SEPT. 2013
19100
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
14.00
14.00
14.00 14.00
Total Check: 08/29/14
ACH
14.00
14.00
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179413
A
14.00
14.00
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457007
ACH
14.13
14.00
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457006
A
14.13
14.00
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457005
ACH
14.13
14.13
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457004
A
8.99
14.13
14001572 IN-DISTRICT MILEAGE FOR GONZALO DI
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457003
ACH
1.12
14.13
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457002
A
DIAZ GONZALO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457001
ACH
1.12
1.12 Total Check:
08/29/14
A
1.12
1.12
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179412
ACH
1.12
1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456990
A
1.12
1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456991
ACH
1.13
1.12
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456996
A
1.13
1.13
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456995
ACH
1.13
1.13
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456994
A
11.82
1.13
14001571 IN-DISTRICT MILEAGE FOR EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456993
ACH
DEL ANGEL MIRNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456989
A
1.68 1.68
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179411
1.68 1.68
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456982
00457008
Status
02
0210179410
195
112.39
DUQUE AMALIA
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
11.30 11.30
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457009
08/29/14 OCT. 2013
19100
DEC. 2013
JAN. 2014
FEB. 2014
00457013
MAY 2014
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
00457014
AUG. 2014
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
0210179414 00457024
08/29/14 SEPT. 2013
5352
Total Check: ELIZONDO MARIA OCTAVIA
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
00457023
OCT. 2013
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
00457022
NOV. 2013
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
DEC. 2013
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
JAN. 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
FEB. 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
MARCH 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
APRIL 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
MAY 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
JUNE 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
JULY 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
AUG. 2014
14001400 MILEAGE REIMBURSEMENT FOR MARIA OC
Total Check: 0210179415
08/29/14 SEPT. 2013
18957
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
1.12
95.93
ESQUEDA ARMANDO
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES OCT. 2013
A
.56
1.12
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES
ACH
2.24
.56
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457026
A
16.80
2.24
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457025
ACH
38.08
16.80
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457016
A
14.00
38.08
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457015
ACH
3.36
14.00
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457017
A
2.24
3.36
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457018
ACH
3.96
2.24
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457019
A
2.26
3.96
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457020
ACH
9.61
2.26
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES 00457021
A
1.70
9.61
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES
ACH
78.70
1.70
199-41-6411-00-943-4-99-000 TRAVEL - EMPLOYEES
A
11.20 11.20
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
11.20 11.20
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
A
11.20 11.20
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
11.20 11.20
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
A
11.30 11.30
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457012
11.30 11.30
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457011
00457027
Status Description
DUQUE AMALIA
14001576 IN-DISTRICT MILEAGE FOR AMALIA DUQ
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457010
00457034
Status
02
0210179413
196
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
1.13 1.13 1.13 1.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179415 00457028
08/29/14 DEC. 2013
18957
ESQUEDA ARMANDO
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
JAN. 2014
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
FEB. 2014
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
APRIL 2014
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
00457032
MAY 2014
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
00457033
AUG. 2014
14001583 IN-DISTRICT MILEAGE FOR ARMANDO ES
Total Check: 0210179416 00457048
08/29/14 SEPT. 2013
47007
OCT. 2013
JAN. 2014
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
FEB. 2014
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
MAY 2014
AUG. 2014
00456904
SEPT. 2014
18956
OCT. 2013
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
DEC. 2013
JAN. 2014
APR. 2014
MAY 2014
AUG. 2014
15706
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
GARZA ADALIA
15.68
15.68
15.68 15.68
Total Check: 08/29/14
A
15.68
15.68
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179418
ACH
15.82
15.68
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456905
A
15.82
15.68
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456906
ACH
15.82
15.82
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456907
A
71.94
15.82
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456903
ACH
7.84
15.82
14001602 IN-DISTRICT MILEAGE FOR RODRIGO GA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456908
A
GARCIA RODRIGO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456909
ACH
7.84
7.84 Total Check:
08/29/14
A
14.00
7.84
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179417
ACH
14.00
14.00
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457044
A
14.13
14.00
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457043
ACH
14.13
14.13
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457045
A
8.99
14.13
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457046
ACH
FLORES RUSBEL
14001594 IN-DISTRICT MILEAGE FOR RUSBEL FLO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457047
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457031
A
1.12 1.12
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457030
1.13 1.13
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457029
197
110.18
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456911
08/29/14 JULY 2014
15706
Status Description
GARZA ADALIA
14018178 MILEAGE ACCRUED FROM JULY 2014 THR
AUG. 2014
14018178 MILEAGE ACCRUED FROM JULY 2014 THR
Total Check: 00456916
08/29/14 JULY 2014
16829
AUG. 2014
14018185 MILEAGE ACCRUED FROM JULY 2014 THR
00456926
SEPT. 2013
94072
OCT. 2013
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
DEC. 2013
JAN. 2014
FEB. 2014
MAY 2014
AUG. 2014
00456940
08/29/14
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
246760
12513
246653
Total Check: JOHNSTONE SUPPLY- PHARR
14019025 B74-086 DX13SA0484 4T 460 3-PH 13
246759
00457107
AUG. 2014
110574
14008914 Mileage for meetings, etc. from Ja
00457108
AUG. 2014
82996
14015051 Mileage for meetings, pick up reco
SEPT. 2013
19021
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
1,545.00
3,994.82 9.52
9.52 28.56 28.56
Total Check: 08/29/14
ACH
LOPEZ EVANGELINA
199-23-6411-00-044-4-99-000 TRAVEL - EMPLOYEES 0210179424
A
1,004.82
9.52 Total Check:
08/29/14
ACH
LOPEZ ANAYANSI
172-23-6411-39-044-4-25-000 TRAVEL 0210179423
A
1,445.00
1,545.00 Total Check:
08/29/14
ACH
82.65
1,004.82
14019026 B74-112 DX13SA0604 5T 460 3-PH 13
199-51-6319-02-956-4-99-000 ELECTRICAL 0210179422
A
11.76
1,445.00
14019010 P34-559 108+770 BX59 BELT (A/C-845
199-51-6319-00-956-4-99-000 PLUMBING 00456938
ACH
11.76
11.76
199-51-6319-02-956-4-99-000 ELECTRICAL 00456939
A
11.76
11.76
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179421
ACH
11.76
11.76
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456921
A
11.87
11.76
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456922
ACH
11.87
11.87
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456927
A
11.87
11.87
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456923
ACH
99.12
11.87
14001636 IN-DISTRICT MILEAGE FOR JUAN HERNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456924
A
81.20
HERNANDEZ JUAN R.
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456925
ACH
17.92
81.20 Total Check:
08/29/14
A
53.20
17.92
14018185 MILEAGE ACCRUED FROM JULY 2014 THR
162-21-6411-60-881-4-30-010 TRAVEL - EMPLOYEES 0210179420
ACH
GONZALEZ JOSE
162-21-6411-60-881-4-30-010 TRAVEL - EMPLOYEES 00456915
A
49.84 49.84
162-21-6411-60-881-4-30-010 TRAVEL - EMPLOYEES 0210179419
3.36 3.36
162-21-6411-60-881-4-30-010 TRAVEL - EMPLOYEES 00456910
00457109
Status
02
0210179418
198
28.56
LUNA JUAN
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
14.13
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457109
08/29/14 SEPT. 2013
19021
OCT. 2013
FEB. 2014
APR. 2014
00457112
AUG. 2014
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
0210179425 00456942
08/29/14 M138733
10151
Total Check: MOBILE RELAY PARTNERS, LTD
14018931 KENWOOD TK-8180K UHF MOBILE RADIO
199-34-6398-00-972-4-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999 Total Check: 0210179426 00456950
08/29/14 SEPT. 2013
20826
OCT. 2013
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
NOV. 2013
JAN. 2014
FEB. 2014
APRIL 2014
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
MAY 2014
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
AUG. 2014
SEPT. 2013
442
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456964
DEC. 2013
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456963
JAN. 2014
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456962
FEB. 2014
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
8.96
8.96
8.96
8.96
71.92
PEREZ EUSTORJIO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES OCT. 2013
ACH
8.96
8.96 Total Check:
08/29/14
A
9.04
8.96
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179427
ACH
9.04
8.96
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456946
A
9.04
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456948
ACH
7,219.56
8.96
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456947
7,219.56
9.04
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456949
A
7,219.56
9.04
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456943
ACH
70.26
9.04
14001672 IN-DISTRICT MILEAGE FOR ELIDA MONT
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456944
A
MONTELONGO ELIDA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456945
ACH
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
A
14.00 14.00
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
ACH
14.00 14.00
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
A
14.13 14.13
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457111
14.13 14.13
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457113
00456965
Status Description
LUNA JUAN
14001659 IN-DISTRICT MILEAGE FOR JUAN LUNA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457110
00456959
Status
02
0210179424
199
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
9.61 9.61 9.61 9.61 9.61 9.61 9.52 9.52 9.52 9.52
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00456961
08/29/14 APRIL 2014
442
MAY 2014
AUG. 2014
00457114
AUG. 2014
63223
14009137 MILEAGE FOR THE MONTH OF JANUARY 2
00457115
AUG. 2014
75604
14000410 MILAGE FOR CAMPUS SECRETARY FOR SE
00457116
112269
1519
14018743 WORKSHOP ON BLOOM'S TAXONOMY AND R
Total Check: 00457118
08/29/14 JULY 2014
19042
AUG. 2014
14000412 MILEAGE FOR INTRA-DISTRICT ACTIVIT
SEPT. 2013
19491
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457149
DEC. 2013
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457152
JAN. 2014
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457148
FEB. 2014
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457147
APR. 2014
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457145
MAY 2014
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457146
AUG. 2014
5,555.00
ACH
1,500.00
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
A
ACH
7,055.00 53.76
31.36
85.12
RODRIGUEZ JOSE G.
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES OCT. 2013
A
5,555.00
31.36 Total Check:
08/29/14
ACH
51.52
53.76
14000412 MILEAGE FOR INTRA-DISTRICT ACTIVIT
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 0210179432
A
51.52
REYNA CLARISSA
211-21-6411-93-847-4-30-000 TRAVEL - EMPLOYEES 00457119
ACH
1,500.00
112251
199-41-6239-00-926-4-99-000 EDUCATION SVC CENTER SVCS 0210179431
A
148.40
REGION ONE ESC
286-13-6239-00-007-1-30-000 EDUCATION SERVICE CENTER SERVICES 00457117
ACH
148.40
51.52 Total Check:
08/29/14
A
RAMIREZ NAZARIA
199-23-6411-00-123-4-99-000 TRAVEL - EMPLOYEES 0210179430
ACH
85.95
148.40 Total Check:
08/29/14
A
RAMIREZ DAVID
162-61-6411-00-902-4-30-000 TRAVEL - EMPLOYEES 0210179429
ACH
14.56 14.56
Total Check: 08/29/14
A
11.76 11.76
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179428
11.76 11.76
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456966
00457150
Status Description
PEREZ EUSTORJIO
14001692 IN-DISTRICT MILEAGE FOR EUSTORIJO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00456960
00457151
Status
02
0210179427
200
14001719 IN-DISTRICT MILEAGE FOR JOSE G. RO
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES
5.09 5.09 5.09 5.09 5.09 5.09 5.04 5.04 5.04 5.04 5.04 5.04 5.04 5.04 5.04 5.04
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179432
08/29/14
19491
RODRIGUEZ JOSE G.
0210179433
08/29/14
9351
VALDEZ RAUL
Total Check: AUG. 2014
14000433 MILEAGE REIMBURSEMENT FOR RAUL VAL
Status Description
Total Check: 0210179434 00457156
08/29/14 SEPT. 2013
105848
JAN. 2014
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
FEB. 2014
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
APR. 2014
MAY 2014
AUG. 2014
00457819
08/29/14 J5FJK35A4P
49972
14011078 WATER SERVICES FOR THE MONTHS OF J
00457837
810333
7520
810333
14019008 15 GL PAD ASS, 28" SQGE, 130 A/H 2
810246
14018886 SIMPSON 3200 PSI GAS PRESSURE WASH
199-51-6398-01-957-4-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999 00457836
807483
14018961 MEDIUM STANDARD ELASTIC BACK SUPPO
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00457839
809028
14018961 MEDIUM STANDARD ELASTIC BACK SUPPO
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00457835
810517
14018961 MEDIUM STANDARD ELASTIC BACK SUPPO
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00457834
809181
14018885 BATTERY 12V 130 A/H WET VIBERS
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00457833
811879
14019040 10" WHEELS FOR DOLLIES SOLID TIRES
199-51-6319-04-957-4-99-000 SUPPLIES/MAINT & OPERATIONS 00457832
811788
14019007 BATTERY CHARGERS 24V 20A CHARGERS
199-51-6395-00-957-4-99-000 FURN & EQUIP <$500 UNIT COST Total Check: 0210179537
08/29/14 9525294535
2122
A
ACH
A
ACH
A
ACH
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
3.37 77,682.49
77,682.49 9,500.00 9,500.00 2,050.00
14019008
199-51-6398-01-957-4-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999 00457838
ACH
GULF COAST PAPER CO.
199-51-6398-00-957-4-99-000 FURN & NON-TECH EQUIP-$500 TO $4,999 00457837
A
.56
77,682.49 Total Check:
08/29/14
ACH
.56
.56
Total Check: AGUA SPECIAL UTILITY DISTRICT
199-51-6259-03-956-4-99-000 UTILITIES - WATER 0210179536
A
.56
.56
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 0210179535
ACH
.56
.56
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457157
A
.56
.56
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457158
ACH
.57
.56
14001762 IN-DISTRICT MILEAGE FOR GRACIELA V
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457159
A
71.12
.57
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457160
71.12
VASQUEZ GRACIELA
199-51-6411-00-957-4-99-000 TRAVEL - EMPLOYEES 00457161
40.47
71.12
181-36-6411-00-863-4-91-010 TRAVEL - EMPLOYEES
00457830
Status
02
00457155
201
2,050.00 2,740.00 2,740.00 611.16 611.16 338.31 338.31 370.53 370.53 2,613.64 2,613.64 2,000.00 2,000.00 8,311.75 8,311.75 28,535.39
GRAINGER
14019066 HARD HAT NEEDED FOR GROUND BREAKIN
468.36
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00457830
08/29/14 9525294535
2122
9480289751
0210179538 00457845
08/29/14 187194
1000
Total Check: INTERSTATE MUSIC SUPPLY
14018288 BARITONE SAXOPHONE BRAND: YAMAHA C
188232
14018288 BARITONE SAXOPHONE BRAND: YAMAHA C
190533
14018288 BARITONE SAXOPHONE BRAND: YAMAHA C
192136
14018288 CORNETS
BRAND: YAMAHA CIM#CORYCR2
199-11-6395-00-042-4-99-050 FURN & EQUIP COST < $500.00 00457841
192136
14018288 BARITONE SAXOPHONE BRAND: YAMAHA C
00457840
191864
14018455 CHAVEZ M.S. PERCUSSION INSTRUMENTS
00457840
191864
14018455 MARTIMBA BRAND:YAMAHA, MODEL:YM-40
Total Check: 0210179539 00457823
08/29/14 28221
60089
27851
14018400 COLOR PRINTED FRONT & BACK COVERS
00457820
0047121-001
60089
0047120-001
14018986 STAND, MONITOR, GUN/BLK
14019037 MONEY/RENT RECEIPT BOOK, 2-3/4 X 4
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 0210179541
08/29/14 1217495
1225167
1232678
14018490 LF 1 RK 009M2 RT TOTAL RUB PAQET K
14018558 LF VLV & PIPING ASSY MIXING VALVE
14019048 LF 1 1/4 BRZ RPZ ASSEMBLY BACKFLOW
199-51-6319-02-956-4-99-000 ELECTRICAL 00457826
CM145011
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
65,952.60 489.50
139.00
628.50 85.52 85.52 97.22 97.22
40.62
199-51-6319-00-956-4-99-000 PLUMBING 00457827
M
6,855.00
14018651 2X1-1/2 W/WROT CXC RED COUPLING
199-51-6319-00-956-4-99-000 PLUMBING 00457828
Manual
7,147.00
182.74
199-51-6319-00-956-4-99-000 PLUMBING 1225125
M
6,935.60
Total Check: FERGUSON ENTERPRISES, INC. #116
46515
Manual
COPY PLUS
181-36-6399-00-863-4-91-010 GENERAL SUPPLIES 00457822
1,740.00
139.00 Total Check:
08/29/14
M
1,740.00
489.50
162-13-6298-38-901-4-30-010 PRINTING SERVICES 0210179540
Manual
COPY PLUS
14018241 110 - SPIRAL BINDING OF HANDBOOKS
199-31-6298-00-901-4-99-000 PRINTING COSTS 00457821
M
754.00
6,855.00
199-11-6639-00-042-4-99-050 EQUIPMENT OVER $5000
Manual
13,722.00
7,147.00
199-11-6398-00-042-4-99-050 BAND INSTRUMENTS
M
28,799.00
6,935.60
199-11-6398-00-042-4-99-050 BAND INSTRUMENTS
Manual
611.24
754.00
199-11-6398-00-042-4-99-050 BAND INSTRUMENTS 00457844
142.88
13,722.00
199-11-6398-00-042-4-99-050 BAND INSTRUMENTS 00457843
M
142.88
28,799.00
199-11-6398-00-042-4-99-050 BAND INSTRUMENTS 00457842
468.36 468.36
14016231 Folding Handle Platform Truck, 330
199-12-6395-00-007-4-99-000 FURN & EQUIP <$500 UNIT COST
00457824
Status Description
GRAINGER
14019066 HARD HAT NEEDED FOR GROUND BREAKIN
199-41-6399-00-989-4-99-000 GENERAL SUPPLIES 00457831
00457825
Status
02
0210179537
202
14015948 NP 65 CP REP KIT FOR FAUCET
199-51-6319-00-956-4-99-000 PLUMBING
40.62 5,262.36 5,262.36 1,847.19 1,847.19 620.00 620.00 -220.80 -220.80
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179541
08/29/14
46515
FERGUSON ENTERPRISES, INC. #116
0210179542
08/29/14
52531
Total Check: FROG STREET PRESS, INC.
0171481-IN
14016914 SING & READ COLOR COLLECTION
TEAC
Total Check: 0210179543 00457847
08/29/14 64561848
1599
00457846
64561849
14017280 30500 MONTHLY RENTAL OF TWO STANDS
14017280 30500 MONTHLY RENTAL OF TWO STANDS
08/29/14 7469-1
36188
7567-2
7336-2
14019064 B31W04653 PROMAR 400 ZERO VOC INT,
7470-9
14018968 B31W07700 PRO 700 INT. LATEX S/G W
00457852
376585556-087
7391
112088818-081
14000605 BUSINESS ESSENTIAL PLAN FOR CHRIS
00457854
08/29/14 8967
14000253 MONTHLY SERVICE CHARGE ON TWO (2)
20620
Total Check: STARR TELECOMMUNICATIONS ETC. LLC
14018718 cat 6a drops with raceway and surf
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00457857
1134
14018047 Monthly internet charge for intern
1220
14018047 Monthly internet charge for intern
9021
14018934 Cat6 data drop-300ft
Total Check: 00458364
08/29/14 956580-5000120
9458
08/29/14 002293198
13117
Total Check: GALLS, AN ARAMARK COMPANY
14018708 SA01 763 SAFARILAND RADIO CARRIER,
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 002324435
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
901.60 901.60 1,110.65 8,675.00 8,675.00 99.95
99.95
173.00
9,047.90
AT & T
14002776 LONG DISTANCE SERVICE FOR MONTHS O
199-51-6259-00-888-4-99-053 UTILITIES 0210179764
Manual
209.05
173.00
199-12-6299-00-888-4-99-053 MISC CONTRACTED SERVICES 0210179744
M
4,360.90
99.95
199-51-6259-00-888-4-99-053 UTILITIES 00457856
Manual
1,040.00
99.95
199-51-6259-00-888-4-99-053 UTILITIES 00457855
M
1,800.82
209.05
199-51-6259-00-956-4-99-000 UTILITIES - TELEPHONES SERVICES 0210179546
Manual
SPRINT PCS
199-51-6259-00-993-4-99-000 UTILITIES 00457853
M
1,171.30
1,040.00 Total Check:
08/29/14
Manual
348.78
1,800.82
14018995 B020W00902 SHERSTRIPE EXTERIOR ACR
199-51-6319-00-956-4-99-000 PLUMBING 0210179545
M
568.63
1,171.30
199-51-6319-00-956-4-99-000 PLUMBING 00457849
Manual
373.82
348.78
199-51-6319-02-956-4-99-000 ELECTRICAL 00457848
M
SHERWIN WILLIAMS CO.
14019015 B54R00038 INDUSTRIAL ENEAMEL SAFET
199-51-6319-00-956-4-99-000 PLUMBING 00457850
Manual
194.81
373.82 Total Check:
00457851
M
1,169.59
194.81
199-34-6269-00-972-4-99-000 RENTALS-OPERATING LEASES 0210179544
1,169.59
SAFETY-KLEEN CORP.
199-34-6269-00-972-4-99-000 RENTALS-OPERATING LEASES
00458415
Status Description
7,549.37
1,169.59
172-11-6329-39-121-4-35-010 READING MATERIALS
00458416
Status
02
00457829
203
14018708 SA01 763 SAFARILAND RADIO CARRIER,
29,153.94 29,153.94 29,153.94 1,248.01 1,248.01 112.19
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
Status
Status Description
02
0210179764 00458415
08/29/14 002324435
13117
GALLS, AN ARAMARK COMPANY
14018708 SA01 763 SAFARILAND RADIO CARRIER,
2328296
14018707 MENS S/S ZIP FRONT TEXT TROP SHIRT
2293199
14018707 MENS S/S ZIP FRONT TEXT TROP SHIRT
2316780
14018707 MENS S/S ZIP FRONT TEXT TROP SHIRT
0210179765 00458425
08/29/14 1100383340
57002
Total Check: INSIGHT PUBLIC SECTORS, INC.
14018924 Cisco 3850 switch that includes: C
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00458424
1100383344
14018925 Cisco Catalyst 3850 2 x 10GE Netwo
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458426
1100383344
14018925 Cisco 3850 48 port switch consisti
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00458422
1100382868
14018925 Cisco Catalyst 3850 2 x 10GE Netwo
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458422
1100382868
14018925 Cisco 3850 48 port switch consisti
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00458417
1100381865
14018515 Catalyst 4500-X Core switch consis
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00458418
1100375781
14017783
Net-Access 7’ Free Standing Cabin
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458419
1100376892
14017783
Net-Access 7’ Free Standing Cabin
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458420
1100379334
14017787 Wall mount cabinet with a solid fr
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458421
1100382072
14017787 Wall mount cabinet with a solid fr
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 00458423
1100382867
14017787 Wall mount cabinet with a solid fr
199-12-6397-00-888-4-99-053 TECH EQUIP FROM 500-4999.99 Total Check: 0210179843 00458995
08/29/14 25458
60089
28102
14006455 DUPLICATION/SCAN OF CAMPUS LAYOUTS
00458996
0047227-001
60089
08/29/14
14019003 DISPENSER,TAPE W/4RLS TO BE USED F
57002
M
Manual
585.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
132.00 132.00 585.00 585.00 2,715.60 2,715.60 10,256.75 10,256.75 6,619.59 6,619.59 105.06 105.06 424.50 424.50 127.00 127.00 38.80 38.80 64.73 64.73 21,654.03 91.20
501.80
593.00
COPY PLUS
199-11-6399-00-846-4-99-000 GENERAL SUPPLIES 0210179845
Manual
585.00
501.80 Total Check:
08/29/14
M
1,742.70
91.20
14019079 Class of 2014 August Graduation Pr
199-11-6499-01-015-4-99-010 GRADUATION EXP - CCC 0210179844
Manual
COPY PLUS
199-51-6298-00-960-4-99-000 PRINTING SERVICES 00458994
M
225.29 225.29
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS
Manual
52.75 52.75
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00458412
M
104.46 104.46
199-52-6149-01-993-4-99-000 OTHER EMP BENEFITS 00458413
112.19 112.19
199-52-6399-00-993-4-99-000 GENERAL SUPPLIES 00458414
204
Total Check: INSIGHT PUBLIC SECTORS, INC.
63.66 63.66 63.66
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
00459000
08/29/14 1100376090
57002
1100376105
14017724 Panduit 7ft patch cable(Blue)--(LJ
199-12-6399-00-888-4-99-053 GENERAL SUPPLIES 00458998
1100376088
14017725 Panduit 7ft patch cable(Blue)--(LJ
199-12-6399-00-888-4-99-053 GENERAL SUPPLIES 00459001
1100381866
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00458997
1100345351
14018517 Cisco 2702I wireless access points
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 0210179847
08/29/14 9018
20620
Total Check: STARR TELECOMMUNICATIONS ETC. LLC
14018933 cat 6 Data Drop-.300ft
199-12-6299-00-888-4-99-053 MISC CONTRACTED SERVICES 8968
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459160
8969
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459161
8970
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459162
8971
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459163
8972
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459164
8973
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459165
8974
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459166
8975
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459167
8976
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459168
8977
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459169
8978
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459170
8979
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459171
8980
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459172
8981
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459173
Status Description
INSIGHT PUBLIC SECTORS, INC.
14017723 Panduit 7ft patch cable(Blue)--(LJ
199-12-6399-00-888-4-99-053 GENERAL SUPPLIES 00458999
00459159
Status
02
0210179845
00459158
Amount Paid Acct Amt.
Account No \ Description Bank No
8982
205
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES
2,328.40 2,328.40
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
1,389.20 1,389.20 1,369.60 1,369.60 4,141.73 4,141.73 -36.07 -36.07 9,192.86 346.00 346.00 1,085.00 1,085.00 250.00 250.00 50.00 50.00 50.00 50.00 285.00 285.00 150.00 150.00 50.00 50.00 200.00 200.00 50.00 50.00 300.00 300.00 50.00 50.00 400.00 400.00 95.00 95.00 190.00 190.00 50.00 50.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/29/14 8983
20620
8984
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459176
8985
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459177
8986
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459178
8987
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459179
8988
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459180
8989
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459181
8990
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459182
8991
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459183
8992
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459184
8993
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459185
8994
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459186
8995
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459187
8996
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459188
8997
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459189
8998
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459190
8999
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459191
9002
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459192
9000
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459193
9001
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459194
9003
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459195
Status Description
STARR TELECOMMUNICATIONS ETC. LLC
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459175
Status
02
0210179847 00459174
Amount Paid Acct Amt.
Account No \ Description Bank No
9004
206
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES
200.00 200.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
100.00 100.00 210.00 210.00 50.00 50.00 1,365.00 1,365.00 50.00 50.00 100.00 100.00 175.00 175.00 50.00 50.00 50.00 50.00 150.00 150.00 100.00 100.00 100.00 100.00 150.00 150.00 50.00 50.00 1,450.00 1,450.00 103.00 103.00 100.00 100.00 50.00 50.00 150.00 150.00 100.00 100.00 350.00 350.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
Status
Status Description
02
0210179847 00459196
08/29/14 9006
20620
STARR TELECOMMUNICATIONS ETC. LLC
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459197
9007
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459198
9023
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459199
9024
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459200
9025
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459201
9026
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459202
9027
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459203
9029
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459204
9030
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459205
9031
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459206
9032
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459207
9033
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459208
9034
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459209
9035
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459210
9036
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459211
9037
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459212
9050
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459213
9060
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459214
9019
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 00459215
9020
14000425 DISTRICT WIDE TELEPHONE SERVICES F
199-51-6249-01-942-4-99-000 CONTRACTED SERVICES 0210179848 00459230
Amount Paid Acct Amt.
Account No \ Description Bank No
08/29/14 841-1904215
104990
207
Total Check: UNIFIRST HOLDINGS, INC
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
50.00 50.00
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
100.00 100.00 15.00 15.00 300.00 300.00 50.00 50.00 50.00 50.00 190.00 190.00 45.00 45.00 100.00 100.00 75.00 75.00 200.00 200.00 50.00 50.00 50.00 50.00 200.00 200.00 165.00 165.00 165.00 165.00 50.00 50.00 397.00 397.00 100.00 100.00 100.00 100.00 11,256.00 39.40 39.40
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Description
08/29/14 841-1906165
104990
841-1906166
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459233
841-1906167
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459234
841-1906168
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459235
841-1906176
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459236
841-1906783
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459237
841-1906787
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459238
841-1906788
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459239
841-1906789
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459240
841-1906790
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459241
841-1906791
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459217
841-1906792
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459243
841-1906793
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459244
841-1960794
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459245
841-1906795
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459246
841-1906796
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459247
841-1906797
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459248
841-1906798
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459249
841-1906799
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459250
841-1906800
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459251
841-1906801
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459252
Status Description
UNIFIRST HOLDINGS, INC
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459232
Status
02
0210179848 00459231
Amount Paid Acct Amt.
Account No \ Description Bank No
841-1906802
208
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
36.97 36.97
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
31.87 31.87 31.87 31.87 31.87 31.87 36.97 36.97 154.02 154.02 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 36.97 36.97 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87 31.87
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00459253
08/29/14 841-1906803
104990
841-1906804
841-1906805
841-1906806
00459228
841-1906807
14018201 RENTAL OF FACILITY LINEN FOR THE M
00459227
841-1906808
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906809
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906810
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906811
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906812
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-106813
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906814
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906815
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906816
14018201 RENTAL OF FACILITY LINEN FOR THE M
841-1906986
14018201 RENTAL OF FACILITY LINEN FOR THE M
00459242
841-1906782
UNIFORM RENTAL SERVICES
0210179849 00459216
08/29/14
1792
416311
Total Check: TEJAS EQUIPMENT RENTAL TENT RENTAL GROUNDBREAKING CEREMON
Total Check: 0210179850
08/29/14 00550669
17773
UNIFORM RENTAL SERVICES
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459266
00555179
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
1,517.00
1,517.00
WELDINGHOUSE INC.
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00555178
Manual
2,617.75
1,517.00
199-41-6269-00-989-4-99-000 RENTALS-OPERATING LEASES
M
1,261.18 1,261.18
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
Manual
32.40 32.40
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459218
Manual
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459219
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459220
Manual
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459221
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459222
Manual
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459223
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459224
Manual
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459225
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459226
Manual
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
M
31.87 31.87
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES
Manual
31.87 31.87
14018201 RENTAL OF FACILITY LINEN FOR THE M
M
31.87 31.87
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459229
31.87 31.87
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459255
00459267
Status Description
UNIFIRST HOLDINGS, INC
14018201 RENTAL OF FACILITY LINEN FOR THE M
101-35-6269-00-958-4-99-000 RENTALS-OPERATING LEASES 00459254
00459262
Status
02
0210179848
209
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES
13.00 13.00 117.91 117.91 64.80 64.80
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
00459265
08/29/14
17773
176.00
CYLINDER RENTALS
00554889
176.00
00558040
239.30
00558041
121.51
00558042
66.96
00557751
181.20
00860765
263.66
00560766
00560764
66.96
121.20
00560464
121.51
268.63 Total Check:
00459150
08/29/14 50-2920-00
9515
50-2922-00
14010533 WATER SERVICES FOR THE MONTHS OF J
54-7770-00
54-7775-00
54-7780-00
ONLINE FEE
00459354
00540894
17773
08/29/14 1030005677
Total Check: INSIGHT PUBLIC SECTORS, INC.
14016762 Districtwide maintenance and techn
199-12-6249-00-888-4-99-053 CONTRACTED SERVICES 1100381875
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
947.43
WELDINGHOUSE INC.
14008943 OXYGEN COMPRESSED OXYGEN CYLINDER
57002
M
249.60
1.25
152-11-6399-01-007-4-22-010 GENERAL SUPPLIES 0210179932
Manual
1.25
Total Check: 08/29/14
M
157.15
249.60
14010533
199-41-6499-00-942-4-99-FEE MISC OPERATING COSTS 0210179915
Manual
53.95
157.15
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00459156
M
271.85
53.95
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00459155
Manual
213.63
271.85
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00459157
M
1,822.64
213.63
14010533 WATER SERVICES FOR THE MONTHS OF J
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00459152
Manual
CITY OF MISSION
199-51-6259-03-956-4-99-000 UTILITIES - WATER 00459151
M
268.63
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 0210179851
Manual
121.51
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459256
M
121.20
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459257
Manual
66.96
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459258
M
263.66
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459259
Manual
181.20
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459260
M
66.96
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459261
Manual
121.51
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459268
M
239.30
CYLINDER RENTALS
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459263
00459371
Status Description
WELDINGHOUSE INC.
00555180
152-11-6269-01-895-4-22-010 RENTALS-OPERATING LEASES 00459264
00459372
Status
02
0210179850
210
14017864 Panduit 7ft patch cable(Blue)--(LJ
199-12-6399-00-888-4-99-053 GENERAL SUPPLIES
395.80 395.80 395.80 2,340.00 2,340.00 2,439.20 2,439.20
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
0210179932
08/29/14
57002
INSIGHT PUBLIC SECTORS, INC.
0210180007
08/29/14
57002
Total Check: INSIGHT PUBLIC SECTORS, INC. REFER TO PO 14018678
1100382070
Status Description
REFER TO PO 14018678
1100382645
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00459516
REFER TO PO 14018678
1100384208
Total Check: 00460499
08/29/14
9458
831-000-4091-6
INTERNET ACCESS FOR AUG 2014
831-000-4091-6
9458
512141-5007422
00460497
GIGMAN FIBER OPTIC JULY & AUG. 201
512141-5007422
9458
512133-0007173
00460496
GIGMAN FIBER OPTIC JULY & AUG. 201
512133-0007173
08/29/14
9458
831-000-409163
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
3,950.49 1,072.62
1,072.62
2,145.24 28,095.95
28,095.95 28,095.95
Total Check: 00460498
M
1,988.90
28,095.95
GIGMAN FIBER OPTIC JULY & AUG. 201
199-51-6259-00-888-4-99-053 UTILITIES 0210180318
Manual
AT & T
199-51-6259-00-888-4-99-053 UTILITIES 00460496
M
1,961.59
1,072.62 Total Check:
08/29/14
-242.00
1,072.62
GIGMAN FIBER OPTIC JULY & AUG. 201
199-51-6259-00-888-4-99-053 UTILITIES 0210180317
Manual
AT & T
199-51-6259-00-888-4-99-053 UTILITIES 00460495
M
8,411.94
1,988.90 Total Check:
08/29/14
242.00
1,961.59
INTERNET ACCESS FOR JULY 2014
199-51-6259-00-888-4-99-053 UTILITIES 0210180316
1,334.44
AT & T
199-51-6259-00-888-4-99-053 UTILITIES 00460499
Manual
-242.00
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 0210180315
M
242.00
REFER TO PO 14018678
1100382509
7,077.50 1,334.44
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00459517
4,779.20 7,077.50
199-12-6639-00-888-4-99-053 FURN & EQUIP COST OF $5,000 00459518
56,191.90
AT & T INTERNET ACCESS FOR JAN. 2014
199-51-6259-00-888-4-99-053 UTILITIES
Bank No
Status
02
00459515
1,970.98 1,970.98
Total Check:
1,970.98
Total Bank:
6,882,732.29
56
5690004712
08/14/14
20142260
2014226001248
95907
BANK OF TEXAS
14017747 THIS PURCHASE ORDER IS FOR PAYMENT
599-71-6521-12-999-4-99-000 2012 - INTEREST ON BONDS 08/14/14
20142260
2014226001255
95907
14017748 THIS PURCHASE ORDER IS FOR PAYMENT
Total Check: 08/14/14
20142260
2014226001251
95907
1,493,337.50
BANK OF TEXAS
599-71-6521-13-999-4-01-000 2013 TAXABLE - INTEREST ON BOND 5690004714
1,493,337.50 1,493,337.50
Total Check: 5690004713
211
252,486.25 252,486.25 252,486.25
BANK OF TEXAS
14017749 THIS PURCHASE ORDER IS FOR PAYMENT
1,712,925.00
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
08/14/14
20142260
2014226001251
95907
5690004715
08/15/14
20142270
2014227000093
36153
Total Check: REGIONS BANK ATTN: DOUG MILNER
14017799 THIS PURCHASE ORDER IS FOR PAYMENT
08/15/14
20142270
2014227000091
25291
14017815 THIS PURCHASE ORDER IS FOR PAYMENT
20142270
2014227000100
25291
14017816 THIS PURCHASE ORDER IS FOR PAYMENT
08/15/14 2014227000112
72672
20142270
2014227000120
72672
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
M
Manual
787,912.50
787,912.50 521,537.50 521,537.50
Total Check: 08/15/14
Manual
423,431.26
WELLS FARGO BANK
14017822 THIS PURCHASE ORDER IS FOR PAYMENT
599-71-6521-10-999-4-99-000 2010 - INTEREST ON BONDS 5690004719
M
423,431.26
787,912.50 Total Check:
20142270
Manual
154,625.00
U.S. BANK
599-71-6521-08-999-4-99-000 2008 - INTEREST ON BONDS 5690004718
M
154,625.00
423,431.26 Total Check:
08/15/14
Manual
U.S. BANK
599-71-6521-05-999-4-99-000 2005 - INTEREST ON BONDS 5690004717
M
1,712,925.00
154,625.00 Total Check:
5690004716
1,712,925.00 1,712,925.00
599-71-6521-06-999-4-99-000 2006 - INTEREST ON BONDS
521,537.50
WELLS FARGO BANK
14017823 THIS PURCHASE ORDER IS FOR PAYMENT
298,812.50 298,812.50
599-71-6521-11-999-4-99-000 2011 - INTEREST ON BONDS Total Check:
298,812.50
Total Bank:
5,645,067.51
58
5890004700
08/06/14
20142130
2014213000087
83941
KANSAS STATE BANK OF MANHATTAN
11017791 ROLAND VS-540 PRINTER/CONTOUR CUTT
471.00 471.00
752-00-6269-00-885-4-99-000 RENTALS-OPERATING LEASES
Bank No
Status Description
BANK OF TEXAS
14017749 THIS PURCHASE ORDER IS FOR PAYMENT
599-71-6521-13-999-4-99-000 2013 - INTEREST ON BOND
Bank No
Status
56
5690004714
Total Check:
471.00
Total Bank:
471.00
59
5990004710
08/07/14
20142190
2014219000101
23102
HEALTHSMART PRIMARY CARE CLINICS
14002359 FREE FIRST CLINIC SERVICES FOR LA
753-00-2111-99-000-4-00-000 ACCOUNTS PAYABLE 5990004711
08/07/14
20142190
2014219000096
21371
2014219000096
Total Check: HEALTHSMART BENEFIT SOLUTIONS
14002729 HEALTH I INS ADM FEES
08/29/14
20142530
2014253000152
23102
94,875.01 126,797.20 126,797.20
14002729 STOP LOSS FEES
186,240.89 186,240.89
753-00-6299-02-950-4-99-000 MISC CONTRACTED SERVICES 5990004740
94,875.01 94,875.01
753-00-6299-01-950-4-99-000 MISC CONTRACTED SERVICES 20142190
212
Total Check: HEALTHSMART PRIMARY CARE CLINICS
14002359 FREE FIRST CLINIC SERVICES FOR LA
313,038.09 110,711.91 110,711.91
753-00-2111-99-000-4-00-000 ACCOUNTS PAYABLE Total Check:
110,711.91
Report Date
La Joya ISD
Page No
A/P Detail Check Register
FPREG02A
01/26/15
For 08/01/14 - 08/31/14 Check Key
Date Paid
Claim No
Invoice No
Vendor No
Vendor Name
P.O. No
Amount Paid
Description
Acct Amt.
Account No \ Description Bank No
59
Bank No
61
Total Bank: 6190004732
08/27/14
00456889
2014239000495
8388
213
Status
Status Description
518,625.01
TASB, INC. W/T 2ND QTR UNEMPLOYMENT PAYMENTS
780-00-6499-01-884-4-99-000 UNEMPLOYMENT QUARTERLY PAYMENTS
14,497.00 14,497.00
Total Check:
14,497.00
Total Bank:
14,497.00
Total Computer Checks (Including Voids) Total Manual Checks (Including Voids)
4,928,953.22 11,256,562.65
Total ACH Checks (Including Voids)
659,215.08
Total Computer Voids
-25,329.49
Total Manual Voids
-7,777.00
Total ACH Voids
-1,478.92
Grand Total: Number of Checks:
16,844,730.95 1129
M
Manual