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14 Staff Report - Ratify Accounts Payable for Dec 2003 and Jan 2004towN F i i •M•b !ps GA~~S DATE: TO: FROM: SUBJECT: MEETING DATE: 01/20/04 ITEM NO. ( 1 AGENCY AGENDA REPORT JANUARY 8, 2004 CHAIR AND MEMBERS OF THE REDEVELOPMENT AGENCY EXECUTIVE DIRECTOR RATIFY ACCOUNTS PAYABLE FOR DECEMBER 2003 AND JANUARY 2004. RECOMMENDATION: Ratify the accompanying check registers for accounts payable invoices paid on 12/26/03 and 01/09/04. DISCUSSION: The accounts payable check registers listed above reflect payments for approved expenses. The total of the above check registers - $10,863.03. 12/26/03 Check Register $ 6,301.35 01/09/04 Check Register $ 4,561.68 Total $ 10,863.03 VOIDS Check No. None Payment Reason Action Attachments: Check Register PREPARED BY: STEPHEN CONWAY, Finance and Administration Services Director n:\fmance\council re orts\a- rda. d. Reviewed by: Assistant Town Manager Town Attorney Clerk fLQ= Finance Community Development Revised: 1/8/04 4:02 pm Reformatted: 5/30101 F- z LO M O q O o m O to LO N O Qai 04 O c0 iR 69 fA C7 Z W :D J O ~ W o z O u > w O N a w 2 ~ W J m O Q W U 2 ° p p U CL p z LL F-' z N W O W z ° O to cn i U) N Oz LL p c O. O LIJ Z O O 0 N O (D ~ I- Q O ~ Y I z z O J w O Q v a Q ~ ~ c~ O a o 0 0 rn rn rn } w z 0 a = ~ z C o s ° a m o Q U 0 LL LU Z O O > d 4t Y Cl) ~ U n ~ 0 c~ O N r t LO co z C! L 00 r v b% U > o Z O C LLJ c a w N CO o w u J a. F- Z D 0 U U U) Z N Z 2 LL 2 2 w W y W O W OQ, x ~Q d 2 d (9 W W V) m LL a ¢ a ¢ c ~ U) Z W W O W 3 y O (D w _j cj v~j F z z w Q 0 F- O 3: 3: U x O O C. 0 ¢ 2 Cl) Cl) 0 0 a rn rn rn U Z_ O U Z Z ¢ In to _ U Of F- F- U LU O W O w p ~ N C7 Z W U x QL > > ai Y U W 2 ~ a L a o Ln H O n w ry J H O F- 0 r- v O rn O O