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HomeMy WebLinkAbout02/04/2025 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL050S-V08.22 COVERPAGE GL540R ******************************************************************************* * * * * W A R R 2 A * * * * W A R R 2 A * * * * W A R R 2 A * * * * W A R R 2 A ******************************************************************************* Report Selection: RUN GROUP. . . 020425 COMMENT. . . 02/04/25 AUDIT DATA-JE-ID DATA COMMENT -------------- ------------------------ H-02042025-277 02/04/25 AUDIT W-02042025-276 02/04/25 AUDIT Run Instructions: Jobq Banner Copies Form Printer Hold Space LPI Lines CPI CP SP RT J WARR 2A O1 ACCTHP Y S 6 066 10 Y ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 1 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** ADVANCE STORES COMPANY, #4641-ROTOR 57.32 VEHICLE MAINT & REPAI A .3120.4 .400.650 4499433054267 39077 P 276 00001 (4)DEER ALERTS-STOCK 35.08 VEHICLE MAINT & REPAI A .3120.4 .400.650 4499433854651 39077 P 276 00002 #4994-CANISTER PURGE VLV 56.50 VEHICLE MAINT & REPAI A .3120.4 .400.650 4499436255717 39077 P 276 00003 #4994-BATTERY,CORE DPST 155.34 VEHICLE MAINT & REPAI A .3120.4 .400.650 4499436255717 39077 F 276 00004 RFND 2 BATTERY CORE DPST 10.00CR VEHICLE MAINT & REPAI A .3120.4 .400.650 4499436526155 39077 P 276 00005 (1)OIL FILTER 5.30 MOTOR VEHICLE PARTS/S A .1620.4 .100.500 4499500926353 39296 P 276 00006 (1)OIL FILTER 5.92 MOTOR VEHICLE PARTS/S A .1620.4 .100.500 4499500971817 39296 P 276 00007 EM1-WIPERS,O2 SENSOR 82 .73 MOTOR VEH PARTS/SUPPL A .1640.4 .100.500 4499501543314 39297 P 276 00012 FILTER 5.30 MOTOR VEHICLE PARTS/S A .1620.4 .100.500 4499501626636 39296 P 276 00013 RADIATOR 316.19 MOTOR VEHICLE PARTS/S A .1620.4 .100.500 4499501672214 39296 P 276 00014 709.68 *VENDOR TOTAL ALBERTSON MARINE, INC RPLC GPS,BILGEPUMP,SWTCH 2,444 .93 EQUIP MAINTENANCE/REP A .8090.4 .400.600 133635 38836 F 276 00019 ALLEN VIDEO V/ TAPE TB MTG-1/21/25 253 .00 RECORDING/MEETING SVC A .1410.4 .400.100 2624 P 276 00021 AMAZON.COM SERVICES, INC ADDING MACHINE TAPE 13 .93 OFFICE SUPPLIES/STATI A .1330.4 .100.100 1DNC-DG7G-GNWF 37477 P 276 00022 (1)HP148A TONER 139.99 OFFICE SUPPLIES/STATI A .1330.4 .100.100 1DNC-DG7G-GNWF 37477 P 276 00023 (1)HP26A TONER 32 .82 OFFICE SUPPLIES/STATI A .1330.4 .100.100 1DNC-DG7G-GNWF 37477 P 276 00024 (1)H/D TASK CHAIR 84 .98 OFFICE SUPPLIES/STATI A .1330.4 .100.100 1DNC-DG7G-GNWF 37477 P 276 00025 (2)MATTRESSES-FI PD 376.00 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 1DW9-7J77-YQJV 39398 F 276 00026 T&S BRASS/COUPLER 16.25 BUILDING MAINT/REPAIR A .1620.4 .400.100 1MH9-CFG3-XTJ7 39398 F 276 00027 50-REPORT COVERS,STAMP 88.24 OFFICE SUPPLIES/STATI A .1310.4 .100.100 1QWM-LGFF-QVWF 39464 F 276 00028 2-02 DUFFLE TRAUMA BAGS 87.90 FIRST AID SUPPLIES A .3120.4 .100.800 1T1G-RL11-TV9W 39348 F 276 00029 4-BIG EASY LOCKOUT KITS 308.32 OTHER EQUIPMENT A .3120.2 .500.125 1T1G-RL11-TV9W 39348 F 276 00030 ANTI-SIPHON BREAKER 36.99 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 11JY-PWII-DLQD 39396 F 276 00032 WIRELESS MOTION SENSOR 20.99 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 11XN-CRFR-T6DK 39387 F 276 00033 (2)DRAFTING OFFICE CHAIR 218.00 OFFICE SUPPLIES/STATI A .1330.4 .100.100 13J3-CWML-QWNC 37477 P 276 00034 (1)HP90A TONER 65.99 OFFICE SUPPLIES/STATI A .1330.4 .100.100 13J3-CWML-QWNC 37477 F 276 00035 1,490.40 *VENDOR TOTAL ASSOC.OF PUBLIC HISTORIA 2025 MEMBERSHIP-A.FOLK 50.00 DUES & SUBSCRIPTIONS A .7510.4 .600.600 010625 38376 F 276 00037 AUTO-CHLOR SYSTEM OF NYC DISHWASHER SVC-1/16 272 .25 DISHWASHING A .6772 .4 .400.675 25610030083 39252 P 276 00039 BARNWELL HOUSE OF TIRES, (6)EAGLE 245/55R18 TIRES 783 .66 MOTOR VEHICLE TIRES A .3120.4 .100.500 1880418 39310 P 276 00112 BIG BELLY SOLAR, LLC RENT(2)DUO STATIONS-2/25 376.20 TRASH RECEPTACLE RENT A .1620.4 .400.800 55424 39247 P 276 00115 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 2 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** BROWN/CAROL 52MI @ $.70/MI INSP 36.40 TRAVEL REIMBURSEMENT A .3610.4 .600.300 010625 P 276 00118 CAC MTG-1/8/25 74 .59 CONSERVATION ADVISORY A .3610.4 .500.300 010825 25-40 P 276 00119 TRUSTEE MTG-1/15/25 74 .59 CONSERVATION ADVISORY A .3610.4 .500.300 011525 25-40 P 276 00120 185.58 *VENDOR TOTAL C.MARTIN AUTOMOTIVE ENT. ADH CLNR SOLVENT-SHOP 24 .42 VEHICLE MAINT & REPAI A .3120.4 .400.650 936119 39301 P 276 00124 CABLEVISION SYSTEMS CORP MNTHLY MTC-PD-1/23-2/22 231.23 COMMUNICATION EQUIPME A .3020.2 .200.700 31685100000225 P 276 00125 MNTHLY MTC-TH-2/25 93 .19 DATA,VOICE, INTERNET S A .1680.4 .200.100 398620011-0225 P 276 00126 MNTHLY MTC-ANNEX-2/25 89.40 DATA,VOICE, INTERNET S A .1680.4 .200.100 404204014-0225 P 276 00127 413 .82 *VENDOR TOTAL CANON U.S.A. , INC. HRC-IR4835I-01/25 175.00 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00129 ATT-IR4545-01/25 184 .92 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00130 REC-IR4925I-01/25 122 .00 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00131 JC-IR6855I-01/25 224 .45 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00132 PD-IR6855I-01/25 260.89 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00133 5 COPY MACHINES-1/25 1,431.00 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00135 PD-IR4745I-1/25 150.01 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00136 PD-IR16431F-1/25 34 .34 COPY MACHINES- LEASE A .1680.4 .400.360 37673235 P 276 00137 2,582 .61 *VENDOR TOTAL CASTRO/IRIS INTERP(1) SES-ROSS-1/24 220.00 INTERPRETERS A .1110.4 .500.300 012425 P 276 00138 CDW GOVERNMENT, INC. 1-TABLET COVER 49.69 WORKSTATION/SERVER PE A .1680.2 .400.450 AB9J41D 39215 P 276 00139 3-TABLET COVERS 149.07 WORKSTATION/SERVER PE A .1680.2 .400.450 AB9RX6C 39215 P 276 00140 4-SAMSUNG TABLETS 3,596.40 WORKSTATION/SERVER PE A .1680.2 .400.450 AC2ER9X 39215 F 276 00141 4-PANORAMA ROOF MOUNTS 108.00 RADIO EQUIPMENT A .3120.2 .500.400 AC2FL8U 39329 F 276 00142 HPM554DN LASERJET PRINTR 528.87 WORKSTATION/SERVER PE A .1680.2 .400.450 AC3GT2J 39222 P 276 00143 HP COATED PAPER 529.86 GIS SUPPLIES A .1680.4 .100.556 AC3G77K 39222 F 276 00144 HP COLLECTION UNIT 13 .31 WORKSTATION/SERVER PE A .1680.2 .400.450 AC3JY6H 39222 F 276 00145 RFND-UPS BATTERY 290.00CR UPS MAINTENANCE A .1680.4 .400.356 NL53750 37881 P 276 00146 RFND-UPS BATTERY 580.00CR UPS MAINTENANCE A .1680.4 .400.356 NR19249 37881 P 276 00147 4,105.20 *VENDOR TOTAL CINTAS CORPORATION #780 UNIFORMS-1/8/25 47.95 EMPLOYEE WORK GEAR A .1620.4 .100.120 4217129650 39277 P 276 00149 UNIFORMS-1/15/25 47.95 EMPLOYEE WORK GEAR A .1620.4 .100.120 4217864833 39277 P 276 00151 UNIFORMS-1/22/25 47.95 EMPLOYEE WORK GEAR A .1620.4 .100.120 4218599478 39277 P 276 00153 143 .85 *VENDOR TOTAL ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 3 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** COMFORT-KOOL HVAC INC. PRTS/LBR-RPR HEAT-KATINK 690.53 EQUIPMENT MAINT/REPAI A .1620.4 .400.600 22422 P 276 00156 CORE BTS, INC. CISCO UMBRELLA MTC 2025 9, 072 .00 ANTIVIRUS SOFTWARE MA A .1680.4 .400.700 INV1204055 39210 F 276 00171 CISCO DUO MAINT 2025 16,546.32 PC SOFTWARE MAINTENAN A .1680.4 .400.558 INV1204875 39210 F 276 00172 25,618.32 *VENDOR TOTAL CORELLA/RONALD A. INTERP(1) SES-ROSS-1/28 220.00 INTERPRETERS A .1110.4 .500.300 012825 P 276 00173 CROSS SOUND FERRY, INC. FERRY-EVANS-#33056642 72 .86 TRAVEL EXPENSES A .1010.4 .600.300 031240 P 276 00175 FERRY-EVANS-#33057954 72 .86 TRAVEL EXPENSES A .1010.4 .600.300 031240 P 276 00176 FERRY-PD-#33010850 99.58 TRAVEL REIMBURSEMENT A .3120.4 .600.300 031240 P 276 00178 FERRY-PD-#33010854 192 .59 TRAVEL REIMBURSEMENT A .3120.4 .600.300 031240 P 276 00179 FERRY-ENG-#33060558 35.92 TRAVEL A .1440.4 .600.300 031240 P 276 00180 FERRY-DPW-#33060561 71.84 TRAVEL A .1620.4 .600.400 031240 P 276 00181 FERRY-PD-#33010937 199.16 TRAVEL REIMBURSEMENT A .3120.4 .600.300 031240 P 276 00182 FERRY-PD-#33059636 99.68 TRAVEL REIMBURSEMENT A .3120.4 .600.300 031240 P 276 00183 844 .49 *VENDOR TOTAL D & T VENTURES, LLC MNTHLY WEBSITE MTC-1/25 262 .50 EPAYROLL MAINT/HOSTIN A .1680.4 .400.563 303415 P 276 00189 EAST END SPORTING GOODS 72-STAFF,72-LIFEGRD SHRT 1, 930.30 LIFEGUARD SUPPLIES/TR A .7180.4 .100.100 1005445 38930 F 276 00192 EDSON CORPORATION 33 ' HOSE ASSEMBLY-BOAT 583 .00 SMALL TOOLS/EQUIPMENT A .8090.4 .100.150 6657437 38837 F 276 00198 ESCREEN INC. ALCOHOL/DRUG TEST-12/24 462 .45 SUBSTANCE TESTING CON A .1310.4 .500.300 14236942 P 276 00200 ALCOHOL/DRUG TEST-10/24 225.46 SUBSTANCE TESTING CON A .1310.4 .500.300 14244721 P 276 00201 687.91 *VENDOR TOTAL FEDEX EXPRESS MAIL-1/10 41.42 EXPRESS MAIL A .1670.4 .600.500 8-745-03180 P 276 00204 FINGERLE/MICHAEL 23-24 MEDICARE REIMB 2, 076.80 MEDICARE REIMBURSEMEN A .9060.8.000.100 100124 P 276 00205 FIREMATIC SUPPLY CO. INC FIRE EXT INSPECT/RECHRGE 139.12 EQUIPMENT MAINT/REPAI A .1620.4 .400.600 INFELI10458 39376 P 276 00206 FISHERS ISLAND COMMUNITY INTERNET SVC-1/25 163 .00 DATA,VOICE, INTERNET S A .1680.4 .200.100 1775 P 276 00207 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 4 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** FLYNN STENOGRAPHY & CRT RPTR-POWERS-1/15 375.00 COURT REPORTERS A .1110.4 .500.200 011525 P 276 00220 CRT RPTR-POWERS-1/17 375.00 COURT REPORTERS A .1110.4 .500.200 011725 P 276 00221 CRT RPTR-ROSS-1/22 375.00 COURT REPORTERS A .1110.4 .500.200 012225 P 276 00222 CRT RPTR-ROSS-1/24 375.00 COURT REPORTERS A .1110.4 .500.200 012425 P 276 00223 1,500.00 *VENDOR TOTAL GALLS, LLC UNIFORMS-CROSSER-1/25 29.82 UNIFORMS & ACCESSORIE A .3120.4 .100.600 030155318 39161 P 276 00229 UNIFORMS-JERNICK-1/25 27.20 UNIFORMS & ACCESSORIE A .3120.4 .100.600 030155327 39161 P 276 00230 UNIFORMS-BADGES-1/25 480.00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30076217 39161 P 276 00231 UNIFORMS-PASE-1/25 185.00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30076223 39161 P 276 00232 UNIFORMS-MANNO-1/25 35.55 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30079487 39161 P 276 00233 UNIFORMS-CROSSER-1/25 13 .00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30114492 39161 P 276 00234 UNIFORMS-ONUFRAK-1/25 97.75 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30127515 39161 P 276 00235 UNIFORMS-MELE-1/25 207.22 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30129968 39161 P 276 00236 UNIFORMS-FLATLEY-1/25 51.82 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30142938 39161 P 276 00237 UNIFORMS-HAASE-1/25 72 .00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30143523 39161 P 276 00238 UNIFORMS-FLATLEY-1/25 27.20 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30155328 39161 P 276 00239 UNIFORMS-FORRESTAL-1/25 102 .00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30162864 39161 P 276 00240 UNIFORMS-JERNICK-1/25 13 .00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30168089 39161 P 276 00241 UNIFORMS-CROSSER-1/25 27.20 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30168248 39161 P 276 00242 UNIFORMS-CHENCHE-1/25 30.60 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30169771 39161 P 276 00243 UNIFORMS-CHENCHE-1/25 22 .10 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30169773 39161 P 276 00244 UNIFORMS-SIRICO-1/25 85.00 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30175823 39161 P 276 00245 UNIFORMS-CROSSER-1/25 92 .66 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30179984 39161 P 276 00246 UNIFORMS-DIVELLO-1/25 361.98 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30181056 39161 P 276 00247 UNIFORMS-FLATLEY-1/25 96.05 UNIFORMS & ACCESSORIE A .3120.4 .100.600 30195780 39161 P 276 00248 2, 057.15 *VENDOR TOTAL GOOSE ISLAND CORP 4 IN 1 FUEL TREATMENT 35.00 HEATING FUEL A .1620.4 .100.250 010725 39382 P 276 00250 10.213G GAS-12/10/24 53 .00 GASOLINE & OIL A .3120.4 .100.200 816698 38897 P 276 00251 14 .609G GAS-12/23/24 75.81 GASOLINE & OIL A .3120.4 .100.200 816778 38897 P 276 00252 17.361G GAS-12/23/24 90.09 GASOLINE & OIL A .3120.4 .100.200 816784 38897 P 276 00253 14 .628G GAS-12/26/24 75.90 GASOLINE & OIL A .3120.4 .100.200 816816 38897 F 276 00254 123 .4G-HTNG OIL-BARN-1/6 544 .19 HEATING FUEL A .1620.4 .100.250 9814 39382 P 276 00255 873 .99 *VENDOR TOTAL GRAINGER SPUD COUPLING ASSEMBLY 23 .35 BUILDING MAINT/REPAIR A .1620.4 .400.100 9365629147 39375 P 276 00257 GRANICUS LLC MINUTE TRAQ-2/25 1, 012 .65 MINUTE TRACKING SOFTW A .1410.4 .400.500 196656 P 276 00258 HUNSTEIN/DAVID 207C PAYMENT-#3-2025 4,743 .98 207C BENEFITS A .9040.8.000.100 3-25 39330 P 276 00261 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 5 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** INTEGRATED WIRELESS TECH #6100-INTERIOR LIGHT BAR 558.24 LIGHT BARS A .3120.2 .500.800 94737 38211 F 276 00262 #6100-CONSOLE W/ ACCESS 590.81 OTHER VEHICLE EQUIPME A .3120.2 .500.875 94738 38212 F 276 00263 #6100-LBR TO INSTALL EQP 1,638.00 VEHICLE EQIPMT INSTAL A .3120.2 .500.876 95176 38323 P 276 00264 #6100-MISC PARTS 260.50 VEHICLE EQIPMT INSTAL A .3120.2 .500.876 95176 38323 F 276 00265 #6100-REMOTE HEAD MOUNT 281.25 OTHER VEHICLE EQUIPME A .3120.2 .500.875 96675 P 276 00266 3,328.80 *VENDOR TOTAL INTERNATIONAL INSTITUTE 2025 ANNUAL DUES 260.00 DUES & SUBSCRIPTIONS A .1410.4 .600.600 012225 25-83 P 276 00267 JACOBS/PETER 207C PAYMENT-#3-2025 5,529.76 207C BENEFITS A .9040.8.000.100 3-25 39331 P 276 00269 KANE EXTERMINATING CORP. MONTHLY SVC-1/25 52 .00 BUILDING MAINT/REPAIR A .1620.4 .400.100 330965 39291 P 276 00271 LEXIPOL, LLC RNW-PD PRCDRS/PLCS/MNLS 15,200.41 MISC. CONTRACTED SERV A .3120.4 .600.125 INVLEX11247795 39300 F 276 00273 LIGHTHOUSE SECURITY, INC MNTHLY SVC-AN SHLTR-2/25 35.00 BUILDING MAINT/REPAIR A .1620.4 .400.100 25416 39292 P 276 00274 MNTHLY SVC-KATINKA-2/25 71.00 BUILDING MAINT/REPAIR A .1620.4 .400.100 25417 39292 P 276 00275 MNTHLY SVC-TOWN HLL-2/25 30.00 BUILDING MAINT/REPAIR A .1620.4 .400.100 25418 39292 P 276 00276 136.00 *VENDOR TOTAL LYBURD/FRANK III 207C PAYMENT-#3-2025 5,581.26 207C BENEFITS A .9040.8.000.100 3-25 39332 P 276 00279 MAY/NANCY CAC MTG-1/8/25 74 .59 CONSERVATION ADVISORY A .3610.4 .500.300 010825 25-40 P 276 00284 MCGOUGH/KEVIN ADULT BASKETBALL-18 HRS 540.00 PROGRAM INSTRUCTORS A .7020.4 .500.420 011725 P 276 00286 MCLAUGHLIN/KAREN 23-24 CARE-KA.MCLAUGHLIN 1, 048.20 MEDICARE REIMBURSEMEN A .9060.8.000.100 100124 P 276 00287 23-24 CARE-KE.MCLAUGHLIN 2,406.40 MEDICARE REIMBURSEMEN A .9060.8.000.100 100124 P 276 00288 3,454 .60 *VENDOR TOTAL MERRILL/MARGARET CAC MTG-1/8/25 74 .59 CONSERVATION ADVISORY A .3610.4 .500.300 010825 25-40 P 276 00290 NASSAU-SUFFOLK CLERKS AS 2025 DUES-L.REILLY 25.00 DUES & SUBSCRIPTIONS A .1110.4 .600.600 25-83 25-83 P 276 00293 2025 DUES-K.WADLINGTON 25.00 DUES & SUBSCRIPTIONS A .1110.4 .600.600 25-83 25-83 P 276 00294 2025 DUES-M.DRAKE 25.00 DUES & SUBSCRIPTIONS A .1110.4 .600.600 25-83 25-83 P 276 00295 2025 DUES-D.ATKINSON 25.00 DUES & SUBSCRIPTIONS A .1110.4 .600.600 25-83 25-83 P 276 00296 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 6 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** NASSAU-SUFFOLK CLERKS AS 100.00 *VENDOR TOTAL NATIONAL GRID GAS-HWY MECH-12/21-1/23 1,288.83 GAS A .1620.4 .200.300 26267440010125 P 276 00297 GAS-REC CTR-12/21-1/23 1,541.12 GAS A .1620.4 .200.300 42705440060125 P 276 00298 GAS-METLIFE-12/17-1/17 153 .92 GAS A .1620.4 .200.300 44777670010125 P 276 00299 GAS-POLICE-12/21-1/23 539.17 GAS A .1620.4 .200.300 44777850090125 P 276 00300 GAS-SND AVE-12/17-1/17 1,652 .14 GAS A .1620.4 .200.300 57219790090125 P 276 00301 GAS-AMN SHLTR-12/21-1/23 2,433 .71 GAS A .1620.4 .200.300 57219970070125 P 276 00302 GAS-HWY-12/21-1/23 2, 005.65 GAS A .1620.4 .200.300 57220010000125 P 276 00303 GAS-HWY GEN-12/21-1/23 102 .70 GAS A .1620.4 .200.300 61934730000125 P 276 00304 9,717.24 *VENDOR TOTAL NORTH FORK ANIMAL LEAGUE SERVICES-1/25 23,802 .22 ANIMAL CONTROL-NF ANI A .3510.4 .400.900 010125 16-273 P 276 00305 NYS - GFOA 2025 DUES-L.ARENA 175.00 DUES & SUBSCRIPTIONS A .1310.4 .600.600 INV 49230 39496 P 276 00313 2025 DUES-C.FOSTER 175.00 DUES & SUBSCRIPTIONS A .1310.4 .600.600 INV 49230 39496 P 276 00314 2025 DUES-M.NICKONOVITZ 175.00 DUES & SUBSCRIPTIONS A .1310.4 .600.600 INV 49230 39496 P 276 00315 2025 DUES-D.WHITECAVAGE 175.00 DUES & SUBSCRIPTIONS A .1310.4 .600.600 INV_49230 39496 F 276 00316 700.00 *VENDOR TOTAL NYS ASSESSORS' ASSOCIATI 2025 DUES-K.WEBSTER 125.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00317 2025 DUES-W.FLINTER 125.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00318 2025 DUES-C.SANDERS 125.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00319 2025 DUES-CLAIRE CLEW 125.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-84 P 276 00320 500.00 *VENDOR TOTAL OFFICE OF STATE COMPTROL JUSTICE COURT DIST-12/24 31,465.00 OVERPAYMENT & CLEARING A A .690 4737900-1224 P 276 00321 JUSTICE COURT DIST-12/24 15,449.00CR NYS AUDIT & CONTROL A .2610.00 4737900-1224 P 276 00322 16, 016.00 *VENDOR TOTAL PARK PLACE TECHNOLOGIES CREDIT FOR EQ. REMOVED 120.85CR SERVER MAINTENANCE A .1680.4 .400.350 PUSA10021371CR 39211 P 276 00328 ANNUAL MAINTENANCE 4,213 .60 SERVER MAINTENANCE A .1680.4 .400.350 PUSA1090168539 39211 F 276 00329 4, 092 .75 *VENDOR TOTAL PATROLPC TABLET & KEYBOARD-MOUNTS 2,135.97 SMALL TOOLS/EQUIPMENT A .3130.4 .100.300 8278662 39201 F 276 00330 PSEG LONG ISLAND ELECTRIC-DEANS PRKG-1/23 22 .46 LIGHT & POWER A .1620.4 .200.200 96118395510125 P 276 00332 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 7 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** QUILL LLC (2)OFFICE CHAIRS 411.58 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42094304 38839 F 276 00333 ASSTD OFFICE SUPPLIES 756.61 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42096772 38840 P 276 00334 (2) CALCULATORS 27.28 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42100557 38840 P 276 00335 2025 WALL CALENDAR 13 .70 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42105936 38840 P 276 00336 4PKGS-PERMIT CERTIFICATS 41.08 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42108248 38840 P 276 00337 5-CASH RECEIPT BOOKS 93 .95 OFFICE SUPPLIES/STATI A .8090.4 .100.100 42240036 38840 F 276 00338 1,344 .20 *VENDOR TOTAL RADIO IP SOFTWARE INC 48 MOBILE VPN UNITS MTC 2, 064 .00 COMMUNICATION EQUIPME A .3020.2 .200.700 IN9895726 39350 F 276 00339 REVCO LIGHTING & CREDIT FROM 4/23/24 11.76CR BUILDING MAINT/REPAIR A .1620.4 .400.100 S4817159.001 37809 P 276 00340 MISC ELECTRICAL SUPPLIES 15.32 BUILDING MAINT/REPAIR A .1620.4 .400.100 S4817681.001 39393 P 276 00341 BULBS,FIXTURES 27.67 BUILDING MAINT/REPAIR A .1620.4 .400.100 S4818457.001 39393 P 276 00342 CABLE,COVERS 305.17 BUILDING MAINT/REPAIR A .1620.4 .400.100 S4821381.001 39393 P 276 00343 BALLAST BYPASS 55.42 BUILDING MAINT/REPAIR A .1620.4 .400.100 S4825155.001 39393 P 276 00344 391.82 *VENDOR TOTAL RICH'S QUALITY AUTO REPA #5004-MVA RPR SH24013564 200.00 VEHICLE MAINT & REPAI A .3120.4 .400.650 12325 39343 F 276 00345 SOUTHOLD HARDWARE CORP BULBS 21.37 BUILDING MAINT/REPAIR A .1620.4 .400.100 226055 39294 P 276 00355 MOUSE TRAPS,DOOR KICKDWN 22 .75 BUILDING MAINT/REPAIR A .1620.4 .400.100 226066 39294 P 276 00356 DOOR KICKDOWN 8.54 BUILDING MAINT/REPAIR A .1620.4 .400.100 226074 39294 P 276 00357 PAINT, PAINT SUPPLIES 47.60 BUILDING MAINT/REPAIR A .1620.4 .400.100 226077 39294 P 276 00358 MOUSE TRAPS 34 .14 BUILDING MAINT/REPAIR A .1620.4 .400.100 226143 39294 P 276 00359 #2 BITS 19.92 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 226261 39293 P 276 00362 DOOR INSTALL KIT,DRLL BT 45.57 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 226324 39293 P 276 00363 ROPE 28.49 BUILDING MAINT/REPAIR A .1620.4 .400.100 226328 39294 P 276 00364 EXCHANGE ROPE 19.00 BUILDING MAINT/REPAIR A .1620.4 .400.100 226330 39294 P 276 00365 CAULK 12 .34 BUILDING MAINT/REPAIR A .1620.4 .400.100 226404 39294 P 276 00366 KEY TAGS 29.34 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 226418 39293 P 276 00367 SCRAPER BAR 12 .34 BUILDING MAINT/REPAIR A .1620.4 .400.100 226516 39294 P 276 00368 BATTERIES,COUPLER,PLUG 29.35 BUILDING MAINT/REPAIR A .1620.4 .400.100 226536 39294 P 276 00369 CABLETIES 18.98 BUILDING MAINT/REPAIR A .1620.4 .400.100 226657 39294 P 276 00370 ADAPTER 11.38 BUILDING MAINT/REPAIR A .1620.4 .400.100 226658 39294 P 276 00371 TAPE,CORD 22 .78 BUILDING MAINT/REPAIR A .1620.4 .400.100 226722 39294 P 276 00373 FLASHLIGHT 14 .99 BUILDING MAINT/REPAIR A .1620.4 .400.100 226728 39294 P 276 00374 MISC SUPPLIES 42 .67 BUILDING MAINT/REPAIR A .1620.4 .400.100 226866 39294 P 276 00375 HARDWARE 16.92 BUILDING MAINT/REPAIR A .1620.4 .400.100 226874 39294 P 276 00376 SUPERGLUE 8.54 BUILDING MAINT/REPAIR A .1620.4 .400.100 226890 39294 P 276 00377 VELCRO 5.69 BUILDING MAINT/REPAIR A .1620.4 .400.100 226906 39294 P 276 00378 COMPOUND 8.54 BUILDING MAINT/REPAIR A .1620.4 .400.100 226907 39294 P 276 00379 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 8 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** SOUTHOLD HARDWARE CORP CONTACT PAPER 6.64 BUILDING MAINT/REPAIR A .1620.4 .400.100 226942 39294 P 276 00381 VELCRO 5.69 BUILDING MAINT/REPAIR A .1620.4 .400.100 226961 39294 P 276 00382 PAINT, SUPPLIES 40.07 BUILDING MAINT/REPAIR A .1620.4 .400.100 226973 39294 P 276 00383 PAINT 65.69 BUILDING MAINT/REPAIR A .1620.4 .400.100 226993 39294 P 276 00384 MARKER, PLEAT 20.87 BUILDING MAINT/REPAIR A .1620.4 .400.100 227014 39294 P 276 00385 HANGERS, TORCH 23 .73 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 227025 39293 P 276 00387 PAINT 33 .29 BUILDING MAINT/REPAIR A .1620.4 .400.100 227030 39294 P 276 00388 RAT TRAPS 18.96 MISCELLANEOUS SUPPLIE A .1620.4 .100.100 227043 39293 P 276 00389 FURNACE CEMENT 22 .78 BUILDING MAINT/REPAIR A .1620.4 .400.100 227133 39294 P 276 00390 DEADBOLT 23 .74 BUILDING MAINT/REPAIR A .1620.4 .400.100 227136 39294 P 276 00391 HARDWARE 0.79 BUILDING MAINT/REPAIR A .1620.4 .400.100 227151 39294 P 276 00392 FUEL FILTER OIL 11.37 BUILDING MAINT/REPAIR A .1620.4 .400.100 227183 39294 P 276 00393 8-AIR FILTER PLEATS 68.33 BUILDING MAINT/REPAIR A .1620.4 .400.100 227185 39294 P 276 00394 LANTERN BATTERY 71.21 BUILDING MAINT/REPAIR A .1620.4 .400.100 227192 39294 P 276 00395 DRILL BIT,GRINDING POINT 57.93 BUILDING MAINT/REPAIR A .1620.4 .400.100 227193 39294 P 276 00396 VINYL BLINDS 47.49 BUILDING MAINT/REPAIR A .1620.4 .400.100 227259 39294 P 276 00397 999.82 *VENDOR TOTAL SPAR/SONIA S. REIMB-CALENDARS,SORTER 26.44 MEETINGS & SEMINARS A .8660.4 .600.500 81346 37415 F 276 00398 SPRAGUE OPERATING RESOUR DIESEL/DPW 55.02G-12/23 135.87 GASOLINE & OIL A .1620.4 .100.200 25305910 H5290 P 276 00399 DIESL/MAR 3 .19G-12/23 7.88 GASOLINE & OIL A .3130.4 .100.200 25305910 H5290 P 276 00402 GAS/PW25-25.08G-12/31 52 .83 GASOLINE & OIL A .1620.4 .100.200 25310197 H5349 P 276 00403 GAS/PW27-7.26G-12/31 15.29 GASOLINE & OIL A .1620.4 .100.200 25310197 H5349 P 276 00404 GAS/DPW-112 .67G-12/31 237.35 GASOLINE & OIL A .1620.4 .100.200 25310197 H5349 P 276 00405 GAS/B20-10.59G-12/31 22 .31 GASOLINE & OIL A .1640.4 .100.200 25310197 H5349 P 276 00406 GAS/B22-14 .93G-12/31 31.45 GASOLINE & OIL A .1640.4 .100.200 25310197 H5349 P 276 00407 GAS/EMl-11.75G-12/31 24 .75 GASOLINE & OIL A .1640.4 .100.200 25310197 H5349 P 276 00408 GAS/S1-13 .00G-12/31 27.39 GASOLINE & OIL A .1640.4 .100.200 25310197 H5349 P 276 00409 GAS/PD-891.18G-12/31 1,877.36 GASOLINE & OIL A .3120.4 .100.200 25310197 H5349 P 276 00410 GAS/MAR-45.97G-12/31 96.84 GASOLINE & OIL A .3130.4 .100.200 25310197 H5349 P 276 00411 GAS/PW17-31.36G-12/31 66.06 GASOLINE & OIL A .5182 .4 .100.200 25310197 H5349 P 276 00412 GAS/PROK-61.71G-12/31 130.00 GASOLINE & OIL A .6772 .4 .100.200 25310197 H5349 P 276 00413 GAS/PW27-27.6G-1/13 58.14 GASOLINE & OIL A .1620.4 .100.200 25310197-25 H5349 P 276 00416 GAS/PROK-245.79G-1/13 517.78 GASOLINE & OIL A .1620.4 .100.200 25310197-25 H5349 P 276 00417 GAS/B19-10.06G-1/13 21.19 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00418 GAS/B21-7.01G-1/13 14 .77 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00419 GAS/B22-13 .82G-1/13 29.11 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00420 GAS/B23-11.76G-1/13 24 .77 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00421 GAS/N17-9.83G-1/13 20.71 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00422 GAS/S1-14 .5G-1/13 30.55 GASOLINE & OIL A .1640.4 .100.200 25310197-25 H5349 P 276 00423 GAS/PD-1582 .61G-1/13 3,333 .92 GASOLINE & OIL A .3120.4 .100.200 25310197-25 H5349 P 276 00424 GAS/MAR-69.08G-1/13 145.52 GASOLINE & OIL A .3130.4 .100.200 25310197-25 H5349 P 276 00425 GAS/PW17-37.8G-1/13 79.63 GASOLINE & OIL A .5182 .4 .100.200 25310197-25 H5349 P 276 00426 GAS/PROK-133 .48G-1/13 281.19 GASOLINE & OIL A .6772 .4 .100.200 25310197-25 H5349 P 276 00427 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 9 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** SPRAGUE OPERATING RESOUR 7,282 .66 *VENDOR TOTAL STAPLES CONTRCT-COMMERCI (4) CUSTOM DATE STAMPS 279.52 OFFICE SUPPLIES/STATI A .1310.4 .100.100 6021414032 39422 F 276 00430 HP212 CYAN TONER 267.61 OFFICE SUPPLIES/STATI A .6772 .4 .100.100 6021540632 39262 P 276 00432 HP212 BLACK TONER 213 .60 OFFICE SUPPLIES/STATI A .6772 .4 .100.100 6021540632 39262 P 276 00433 HP936 BLACK TONER 122 .99 OFFICE SUPPLIES/STATI A .6772 .4 .100.100 6021540632 39262 P 276 00434 MARKERS, INK PADS,TAPE 38.37 OFFICE SUPPLIES/STATI A .6772 .4 .100.100 6021540632 39262 F 276 00435 FILE JCKTS,SCISSORS,CLPS 29.55 OFFICE SUPPLIES/STATI A .1310.4 .100.100 6021906247 39465 F 276 00436 951.64 *VENDOR TOTAL SUFFOLK COUNTY ASSESSORS 2025 DUES-K.WEBSTER 25.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00443 2025 DUES-W.FLINTER 25.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00444 2025 DUES-C.SANDERS 25.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-83 P 276 00445 2025 DUES-CLAIRE CLEW 25.00 DUES & SUBSCRIPTIONS A .1355.4 .600.600 012225 25-84 P 276 00446 100.00 *VENDOR TOTAL SUFFOLK SECURITY SYSTEMS MNTHLY MNTRNG-TH-1/25 105.95 BUILDING MAINT/REPAIR A .1620.4 .400.100 97440 39377 P 276 00447 MNTHLY MNTRNG HRC-1/25 48.99 BUILDING MAINT/REPAIR A .1620.4 .400.100 97441 39377 P 276 00448 154 .94 *VENDOR TOTAL TIMES-REVIEW NEWSPAPERS L/N PBHRG-1/15 324 .13 LEGAL NOTICES A .8090.4 .600.100 5DE1B12A-0013 P 276 00449 TOWN OF SOUTHOLD A&T 2016 SERIAL BONDS-PRIN 198,508.00 SERIAL BOND PRINCIPAL A .9710.6.000.000 01232025-2016V P 276 00451 2016 SERIAL BONDS-INT 14,119.25 SERIAL BOND INTEREST A .9710.7.000.000 01232025-2016V P 276 00455 2016 SERIAL BONDS-INT 19,809.38 SERIAL BOND INTEREST A .9710.7.000.000 012325-2016I P 276 00459 232,436.63 *VENDOR TOTAL TOWN OF SOUTHOLD-RISK RE FUND:357 WHISTLER AVE 752 .15 TRANSFER TO RISK RETN A .9901.9.000.300 012725 P 276 00471 TRAFFIC SAFETY STORE 20-REFLECTIVE TFFC CONES 484 .40 TRAFFIC CONES/BARRICA A .3120.2 .500.850 INV912086 39347 F 276 00472 U.S. POSTAL SERVICE ACCT#4198408 POSTAGE 8, 000.00 POSTAGE A .1670.4 .600.400 011425 38890 F 276 00475 UNITED METRO ENERGY CORP 600G-HEATING OIL-1/10 1,606.56 HEATING FUEL A .1620.4 .100.250 319768 39381 F 276 00476 150G HEATING OIL-1/8 397.64 HEATING FUEL A .1620.4 .100.250 319769 39381 P 276 00477 2, 004 .20 *VENDOR TOTAL ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 10 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND WHOLE TOWN *************** VILLAGE OF GREENPORT JUSTICE COURT DIST-12/24 675.00 OVERPAYMENT & CLEARING A A .690 4737900-1224 P 276 00483 WEST MARINE PRODUCTS, IN ORANGE HOODED JACKET 74 .80 UNIFORMS & ACCESSORIE A .3130.4 .100.600 2618220 39191 P 276 00491 WEATHER WATCH BIBS 37.49 UNIFORMS & ACCESSORIE A .3130.4 .100.600 2618220 39191 P 276 00492 AUTO INFLATE-LIFE JACKET 224 .99 UNIFORMS & ACCESSORIE A .3130.4 .100.600 2618584 39191 P 276 00493 MUSTANG FLOTATION BIBS 489.98 UNIFORMS & ACCESSORIE A .3130.4 .100.600 2625727 39191 P 276 00494 MUSTANG JACKET-TUTHILL 424 .98 UNIFORMS & ACCESSORIE A .3130.4 .100.600 2625727 39191 F 276 00495 1,252 .24 *VENDOR TOTAL WYSOCKI/JOSEPH 207C PAYMENT-#3-2025 4,879.52 207C BENEFITS A .9040.8.000.100 3-25 39333 P 276 00497 Z & S FUEL & SERVICE, IN 132 .7G HTNG OIL-1/7-WHST 598.34 HEATING FUEL A .1620.4 .100.250 40630 39383 P 276 00505 128.6G HTNG OIL-1/9-WHST 597.86 HEATING FUEL A .1620.4 .100.250 40638 39383 P 276 00506 18.4G HTNG OIL-1/9-BRRCK 85.54 HEATING FUEL A .1620.4 .100.250 40639 39383 F 276 00507 135.9G-HTG OIL-RNTL-1/23 646.75 HEATING FUEL A .1620.4 .100.250 40773 39470 P 276 00508 1, 928.49 *VENDOR TOTAL ZENITH ABSTRACT, LLC ADDTL FEE-1000-59-1-26 120.00 PROFESSIONAL SERVICES A .1420.4 .500.300 012425 P 276 00509 ADDTL FEE-1000-57-1-1&2 120.00 PROFESSIONAL SERVICES A .1420.4 .500.300 012425 P 276 00510 240.00 *VENDOR TOTAL GENERAL FUND WHOLE TOWN 415,335.04 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 11 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE GENERAL FUND PART TOWN *************** SOKOLOFF STERN LLP BETRAULT 4 V ZBA-12/24 12, 930.00 LEGAL COUNSEL B .1420.4 .500.200 167263 22-44 P 276 00354 W.B. MASON CO.INC DRYERASE BRDS,FLDRS,PLNR 276.74 OFFICE SUPPLIES/STATI B .8020.4 .100.100 250571749 38399 F 276 00485 GENERAL FUND PART TOWN 13,206.74 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 12 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE COMMUNITY PRES FUND (2% TA*************** RUTKOSKI/ROBERT F. 30 BAGS-CORN 270.00 MISCELLANEOUS SUPPLIE CM .1620.4 .100.100 101309 39391 F 276 00348 TOWN OF SOUTHOLD A&T 2016 SERIAL BONDS-PRIN 1,296,567.00 SERIAL BOND PRINCIPAL CM .9710.6.100.100 01232025-2016V P 276 00453 2016 SERIAL BONDS-INT 95,612 .98 SERIAL BOND INTEREST CM .9710.7.100.100 01232025-2016V P 276 00457 1,392,179.98 *VENDOR TOTAL COMMUNITY PRES FUND (2% TAX) 1,392,449.98 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 13 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE PARK & RECREATION TRUST FU*************** TOWN OF SOUTHOLD CAP PRO H.391-PICKLEBALL COURT 89,871.84 DUE TO OTHER FUNDS CR .630 012825A P 276 00464 PARK & RECREATION TRUST FUND 89,871.84 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 14 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE RISK RETENTION FUND *************** ROY H. REEVE AGENCY, INC ADD-357 WHISTLER AVE 752 .15 COMMERCIAL PACKAGE CS .1910.4 .300.100 427972 P 276 00347 RISK RETENTION FUND 752 .15 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 15 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE HIGHWAY FUND PART TOWN *************** ADVANCE STORES COMPANY, #237 (1) SERP BELT 13 .42 PARTS & SUPPLIES DB .5130.4 .100.500 4499501071860 H5327 P 276 00008 #237 (1)ALTERNATOR 221.09 PARTS & SUPPLIES DB .5130.4 .100.500 4499501071907 H5330 P 276 00009 6-PLOW HEADLIGHTS 90.24 PARTS & SUPPLIES DB .5130.4 .100.500 4499501371965 H5328 P 276 00010 #341 (1)ALTERNATOR 301.10 PARTS & SUPPLIES DB .5130.4 .100.500 4499501443253 H5335 P 276 00011 #334 (1) POWER OUTLET 7.50 PARTS & SUPPLIES DB .5130.4 .100.500 4499502156812 H5348 P 276 00015 8-DIESEL ADDITIVE 121.20 PARTS & SUPPLIES DB .5130.4 .100.500 4499502256827 H5354 P 276 00016 10-COMP COUPLINGS 48.20 PARTS & SUPPLIES DB .5130.4 .100.500 4499502356906 H5360 P 276 00017 802 .75 *VENDOR TOTAL ATLANTIC SALT, INC. 307.6T ROAD SALT 29,729.54 ROCK SALT DB .5142 .4 .100.935 INV099080 H5314 P 276 00038 BLACK GOLD INDUSTRIES, I 15.15T QPR COLD PATCH 1,878.60 ASPHALT PATCH DB .5110.4 .100.905 5040 H5317 P 276 00116 C.MARTIN AUTOMOTIVE ENT. EXHAUST PIPE FOR SANDER 43 .40 PARTS & SUPPLIES DB .5130.4 .100.500 934427 H5320 P 276 00123 CANON U.S.A. , INC. HWY-IR4825I-01/25 132 .00 OFFICE EQUIP MAINT/RE DB .5140.4 .400.600 37673235 P 276 00128 CINTAS CORPORATION #780 UNIFORM SVC-1/25 212 .39 UNIFORMS DB .5140.4 .100.600 4217129657 H5324 P 276 00150 UNIFORM SVC-1/25 212 .39 UNIFORMS DB .5140.4 .100.600 4217864858 H5324 P 276 00152 UNIFORM SVC-1/25 212 .39 UNIFORMS DB .5140.4 .100.600 4218599586 H5324 P 276 00154 UNIFORM SVC-1/25 212 .39 UNIFORMS DB .5140.4 .100.600 4219330078 H5324 P 276 00155 849.56 *VENDOR TOTAL CROSS SOUND FERRY, INC. FERRY-HWY-#33049945 187.80 TRAVEL DB .5140.4 .600.300 031240 P 276 00174 FERRY-HWY-#33049965 94 .88 TRAVEL DB .5140.4 .600.300 031240 P 276 00177 282 .68 *VENDOR TOTAL GRADE A PETROLEUM PRODUC 10 BAGS-SPEEDY DRY 140.00 LUBRICANTS DB .5110.4 .100.125 1209261 H5305 P 276 00256 KAELIN'S SERVICE CENTER 7 CHAINS,1 BAR FOR SAWS 266.00 EQUIPMENT PARTS/SUPPL DB .5140.4 .100.550 60093 H5247 P 276 00270 LONG ISLAND FREIGHTLINER #255-FUEL GAUGE ASSEMBLY 81.52 PARTS & SUPPLIES DB .5130.4 .100.500 1556898 H5343 P 276 00277 #264-COOLANT TANK 148.95 PARTS & SUPPLIES DB .5130.4 .100.500 1557100 H5342 P 276 00278 230.47 *VENDOR TOTAL MSC INDUSTRIAL SUPPLY CO ASST SHOP SUPPLIES 167.18 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 60651149 H5308 P 276 00291 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 16 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE HIGHWAY FUND PART TOWN *************** NORTH FORK WELDING & STE 2-HYDRAULIC HOSES 1,386.45 PARTS & SUPPLIES DB .5130.4 .100.500 92458 H5304 P 276 00308 3-SPINNER MOTORS 720.00 PARTS & SUPPLIES DB .5130.4 .100.500 92459 H5303 P 276 00309 49-HYDRAULIC FITTINGS 895.86 PARTS & SUPPLIES DB .5130.4 .100.500 92538 H5345 P 276 00310 1-STEEL FLAT BAR 112 .00 STEEL DB .5110.4 .100.975 92558 H5359 P 276 00311 3,114 .31 *VENDOR TOTAL OTIS FORD, INC. CREDIT-RETURN ASST PARTS 169.38CR PARTS & SUPPLIES DB .5130.4 .100.500 239308 H4686 P 276 00323 #346 (4)BUSHINGS 12 .80 PARTS & SUPPLIES DB .5130.4 .100.500 242271 H5187 P 276 00324 #302-ASSTD PARTS 1,140.30 PARTS & SUPPLIES DB .5130.4 .100.500 243653 H5322 P 276 00325 #302-SEAT SPRING 136.25 PARTS & SUPPLIES DB .5130.4 .100.500 243653-1 H5322 P 276 00326 1,119.97 *VENDOR TOTAL SOUTHOLD HARDWARE CORP 2-ACETONE,1-PAINT 93 .97 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 226144/1 H5312 P 276 00360 3-BLACK SPRAY PAINT 25.62 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 226177/1 H5313 P 276 00361 1-OSPHO RUST PREVENTION 16.14 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 226675/1 H5344 P 276 00372 1-BALL VALVE, 1-TAPE 32 .28 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 226929/1 H5355 P 276 00380 1 QT-RUSTOLEUM 23 .74 MISCELLANEOUS SUPPLIE DB .5110.4 .100.100 227017/1 H5361 P 276 00386 191.75 *VENDOR TOTAL SPRAGUE OPERATING RESOUR DIESL/HWY 2524 .22G-12/23 6,233 .30 FUEL DB .5110.4 .100.200 25305910 H5290 P 276 00401 GAS/HWY-237.12G-12/31 499.52 FUEL DB .5110.4 .100.200 25310197 H5349 P 276 00415 GAS/HWY(179.54)G-1/13 378.20CR FUEL DB .5110.4 .100.200 25310197-25 H5349 P 276 00429 6,354 .62 *VENDOR TOTAL TOWN OF SOUTHOLD A&T 2016 SERIAL BONDS-PRIN 67,692 .00 SERIAL BOND PRINCIPAL DB .9710.6.000.000 01232025-2016V P 276 00452 2016 SERIAL BONDS-INT 1,353 .85 SERIAL BOND INTEREST DB .9710.7.000.000 01232025-2016V P 276 00456 2016 SERIAL BONDS-INT 4,125.00 SERIAL BOND INTEREST DB .9710.7.000.000 012325-2016I P 276 00460 73,170.85 *VENDOR TOTAL TOWN OF SOUTHOLD CAP PRO H.391-WUNNEWETA RD EXT 83,819.23 DUE TO OTHER FUNDS DB .630 012425 P 276 00462 H.391-FY24 RD RESURFACNG 8, 960.00 DUE TO OTHER FUNDS DB .630 012825 P 276 00463 H.630-SIDEWALK PROJECT 52,354 .00 DUE FROM OTHER FUNDS DB .391 013025 P 276 00465 H.5031.91-FY25 RD RSFCNG 334 .49 TRANSFER TO CAPITAL F DB .9901.9.000.100 013125 P 276 00466 H.5031.91-FY25 RD RSFCNG 357.73 TRANSFER TO CAPITAL F DB .9901.9.000.100 013125 P 276 00467 H.5031.91-FY25 RD RSFCNG 335.32 TRANSFER TO CAPITAL F DB .9901.9.000.100 013125 P 276 00468 H.5031.91-FY25 RD RSFCNG 671.47 TRANSFER TO CAPITAL F DB .9901.9.000.100 013125 P 276 00469 H.5031.91-FY25 RD RSFCNG 659.85 TRANSFER TO CAPITAL F DB .9901.9.000.100 013125 P 276 00470 147,492 .09 *VENDOR TOTAL TRIUS, INC. #339 (5) PILOT LIGHTS 244 .30 PARTS & SUPPLIES DB .5130.4 .100.500 SI110134 H5336 P 276 00473 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 17 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE HIGHWAY FUND PART TOWN *************** TRIUS, INC. FREIGHT 17.98 PARTS & SUPPLIES DB .5130.4 .100.500 SI110135 H5336 P 276 00474 262 .28 *VENDOR TOTAL WLNG 2024 FALL CLEANUP ADS 600.00 MISCELLANEOUS SUPPLIE DB .5140.4 .100.125 126-00030 H5201 P 276 00496 Z & S FUEL & SERVICE, IN 11.788G DIESEL-12/4 58.81 FUEL DB .5110.4 .100.200 29042 P 276 00500 11.788G GAS-12/6 133 .12 FUEL DB .5110.4 .100.200 29052 P 276 00501 34 .394G GAS-12/6 160.24 FUEL DB .5110.4 .100.200 29055 P 276 00502 25.500G GAS-12/23 118.80 FUEL DB .5110.4 .100.200 29084 P 276 00503 60.572G DIESEL-12/23 302 .19 FUEL DB .5110.4 .100.200 29085 P 276 00504 773 .16 *VENDOR TOTAL HIGHWAY FUND PART TOWN 267,601.21 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 18 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE CAPITAL PROJECTS ACCOUNT *************** CORAZZINI ASPHALT, INC. 123SY TRENCH RPR-WUNNWTA 8,610.00 ROAD EXT. CONSTRUCTION H .5112 .2 .400.850 2024-455 H5020 P 276 00161 282 .28T BINDER ASPHALT 36,696.40 ROAD EXT. CONSTRUCTION H .5112 .2 .400.850 2024-455 H5020 P 276 00162 261.93T TYPE 6-WUNNEWETA 34,312 .83 ROAD EXT. CONSTRUCTION H .5112 .2 .400.850 2024-455 H5020 P 276 00163 60SY TRENCH RPR #2 BID 4,200.00 ROAD EXT. CONSTRUCTION H .5112 .2 .400.850 2024-455 H5020 P 276 00164 MOBILIZATIONS/GNRL CNDTN 1, 000.00 EAST MARION PARK H .7110.2 .500.700 2025-107 38882 P 276 00165 EXCAVATION/GRADING 3,400.00 EAST MARION PARK H .7110.2 .500.700 2025-107 38882 P 276 00166 PICKLEBALL CRT CONSTRCTN 59,171.84 EAST MARION PARK H .7110.2 .500.700 2025-107 38882 P 276 00167 CHAINLINK FENCE 22,100.00 EAST MARION PARK H .7110.2 .500.700 2025-107 38882 P 276 00168 TOPSOIL, SEED 4,200.00 EAST MARION PARK H .7110.2 .500.700 2025-107 38882 F 276 00169 128SY TRENCH RPR-EASTWRD 8, 960.00 FY 2024 ROAD RESURFACIN H .5112 .2 .400.910 2025-108 H5016 P 276 00170 182,651.07 *VENDOR TOTAL EAST ISLAND ASPHALT CORP 4 .03T-TYPE 6-VAR LOC 334 .49 FY 2025 ROAD RESURFACIN H .5112 .2 .400.920 25-36712 H5302 P 276 00193 4 .31T-TYPE 6-VAR LOC 357.73 FY 2025 ROAD RESURFACIN H .5112 .2 .400.920 25-36720 H5307 P 276 00194 4 .04T-TYPE 6-VAR LOC 335.32 FY 2025 ROAD RESURFACIN H .5112 .2 .400.920 25-36766 H5331 P 276 00195 8.09T-TYPE 6-VAR LOC 671.47 FY 2025 ROAD RESURFACIN H .5112 .2 .400.920 25-36777 H5334 P 276 00196 7.95T-TYPE 6-VAR LOC 659.85 FY 2025 ROAD RESURFACIN H .5112 .2 .400.920 25-36782 H5338 P 276 00197 2,358.86 *VENDOR TOTAL ENVIROSCIENCE CONSULTANT NYS DOL VAR-FILING-ANNEX 2,350.00 TOWN HALL ANNEX IMPRO H .1620.2 .500.150 37608 24-506 P 276 00199 LASER INDUSTRIES, INC TRAVELER ST-SIDEWALK PRJ 52,354 .00 SIDEWALK IMPROVEMENTS H .5410.2 .400.100 0016817-IN H5214 P 276 00272 ZONECO, LLC ZONING CODE UPDATE-12/24 2, 000.01 LAND USE/ZONING UPDAT H .8020.2 .400.300 11115 22-639 P 276 00511 CAPITAL PROJECTS ACCOUNT 241,713 .94 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 19 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND FERRY DIST.*************** AIRGAS, INC. CYLINDER RENTAL-12/24 142 .73 TERMINAL SUPPLIES SM .5710.4 .000.625 5513111179 P 276 00018 ANTHEM BLUE CROSS BLUE S VISION PLAN #A75986-2/25 191.26 MEDICAL INSURANCE,BEN SM .9060.8.000.000 0202501201263 P 276 00036 BANK OF AMERICA, N.A. THOROGOOD-SHOES M.FIORA 296.71 UNIFORMS SM .5710.4 .000.800 012525-24 P 276 00040 MOBILE-15.125G GAS-12/26 78.48 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-24 P 276 00041 LABORLAW-NY LABORLW PSTR 90.01 OFFICE EXPENSE SM .5711.4 .000.000 012525-24 P 276 00042 CONSTANT CONTACT-12/24 52 .00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 012525-24 P 276 00043 ASTS-EMPLOYEE DRUG TSTNG 72 .10 FERRY OPERATIONS, OTH SM .5710.4 .000.000 012525-24 P 276 00044 RETURNED CHECK FEE 25.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 012525-25 P 276 00045 BREEZELINE-5 IP ADDRESS' 222 .89 COMPUTER OPERATIONS SM .5710.4 .000.500 012525-25 P 276 00046 AARON-CONTAINER RENTAL 101.03 REPAIRS RENTAL BUILDI SM .5709.2 .000.100 012525-25 P 276 00047 FRONTIER-PHONE PAYMENT 265.81 UTILITIES-NEW LONDON SM .5710.4 .000.100 012525-25 P 276 00048 SUNOCO-32 .902G GAL-1/9 95.38 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00049 EASY LLAMA-TRAINING 942 .64 TRAINING/EDUCATION SM .5710.4 .000.950 012525-25 P 276 00050 ZERO EMISS CONF REG FEE 350.00 TRAINING/EDUCATION SM .5710.4 .000.950 012525-25 P 276 00051 INTERNATION TRANS FEE 3 .50 TRAINING/EDUCATION SM .5710.4 .000.950 012525-25 P 276 00052 EASY LLAMA-TRAINING 104 .86 TRAINING/EDUCATION SM .5710.4 .000.950 012525-25 P 276 00053 STARLINK-RP/MU INTERNET 330.00 COMPUTER OPERATIONS SM .5710.4 .000.500 012525-25 P 276 00054 STAPLES-ROAM SET-STARLNK 206.92 COMPUTER OPERATIONS SM .5710.4 .000.500 012525-25 P 276 00055 HARBOR FREIGHT-NLT SPPLS 45.69 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00056 AMAZON-SHOES MCCARTHY 116.97 UNIFORMS SM .5710.4 .000.800 012525-25 P 276 00057 UPS RETURN FEE 15.75 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00058 AMAZON-NLT VACUUM CLEANR 319.04 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00059 USCG-RP VESSEL DOC FORM 26.00 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 012525-25 P 276 00060 EXXON-13 .01G GAS-1/7 39.03 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00061 POS SUPPLY-TICKET PAPER 1,263 .23 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00062 POS SUPPLY-TICKET PAPER 1.00 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00063 WM SUPERCENTER-WIPERS 33 .56 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00064 MOBILE-32 .794G GAS-1/20 95.07 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00065 AMAZON-NLT TAPE 24 .33 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00066 AMAZON-RP/MU SUPPLIES 7.98 FERRY REPAIRS-BOTH VE SM .5710.2 .000.000 012525-25 P 276 00067 AMAZON-MU LIGHT 47.24 FERRY REPAIRS-MUNNATA SM .5710.2 .000.100 012525-25 P 276 00068 WALMART-RP/MU SUPPLIES 23 .40 FERRY REPAIRS-BOTH VE SM .5710.2 .000.000 012525-25 P 276 00069 USCG-CAPTAIN LICENSE RNW 95.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 012525-25 P 276 00070 AMAZON-COFFEE 37.80 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00071 STAPLES-OFFICE SUPPLIES 28.56 OFFICE EXPENSE SM .5711.4 .000.000 012525-25 P 276 00072 AMAZON-PRINTER 466.00 OFFICE EXPENSE SM .5711.4 .000.000 012525-25 P 276 00073 THE DAY-NEWSPAPER SBSCRP 22 .00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 012525-25 P 276 00074 MICROSOFT(6)LICENSES 75.00 OFFICE EXPENSE SM .5711.4 .000.000 012525-25 P 276 00075 Z&S-15.806G GAS-1/21 73 .64 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00076 AMAZON-RP RAMP 430.18 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 012525-25 P 276 00077 AMAZON-RP RAMP 742 .30 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 012525-25 P 276 00078 AMAZON-RP RAMP 634 .66 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 012525-25 P 276 00079 SUNOCO-22 .969G GAS-1/14 73 .48 TERMINAL SUPPLIES SM .5710.4 .000.625 012525-25 P 276 00080 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 20 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND FERRY DIST.*************** BANK OF AMERICA, N.A. REISSUE BOUNCED CHECK 222 .89 COMPUTER OPERATIONS SM .5710.4 .000.500 122524-REIS P 276 00081 REISSUE BOUNCED CHECK 101.03 REPAIRS RENTAL BUILDI SM .5709.2 .000.100 122524-REIS P 276 00082 REISSUE BOUNCED CHECK 330.00 COMPUTER OPERATIONS SM .5710.4 .000.500 122524-REIS P 276 00083 REISSUE BOUNCED CHECK 214 .94 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00084 REISSUE BOUNCED CHECK 75.00 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00085 REISSUE BOUNCED CHECK 54 .21 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00086 REISSUE BOUNCED CHECK 79.00 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00087 REISSUE BOUNCED CHECK 74 .37 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00088 REISSUE BOUNCED CHECK 761.88 UTILITIES-NEW LONDON SM .5710.4 .000.100 122524-REIS P 276 00089 REISSUE BOUNCED CHECK 683 .18 UTILITIES-NEW LONDON SM .5710.4 .000.100 122524-REIS P 276 00090 REISSUE BOUNCED CHECK 10.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00091 REISSUE BOUNCED CHECK 66.91 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00092 REISSUE BOUNCED CHECK 1,310.00 FERRY REPAIRS-FAST FE SM .5710.2 .000.300 122524-REIS P 276 00093 REISSUE BOUNCED CHECK 235.50 UNIFORMS SM .5710.4 .000.800 122524-REIS P 276 00094 REISSUE BOUNCED CHECK 149.35 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00095 REISSUE BOUNCED CHECK 74 .43 UNIFORMS SM .5710.4 .000.800 122524-REIS P 276 00096 REISSUE BOUNCED CHECK 45.40 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00097 REISSUE BOUNCED CHECK 12 .04 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00098 REISSUE BOUNCED CHECK 95.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00099 REISSUE BOUNCED CHECK 52 .00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00100 REISSUE BOUNCED CHECK 1,299.79 UNIFORMS SM .5710.4 .000.800 122524-REIS P 276 00101 REISSUE BOUNCED CHECK 73 .21 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00102 REISSUE BOUNCED CHECK 114 .96 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00103 REISSUE BOUNCED CHECK 78.98 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00104 REISSUE BOUNCED CHECK 75.00 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00105 REISSUE BOUNCED CHECK 20.00 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00106 REISSUE BOUNCED CHECK 14 .99 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00107 REISSUE BOUNCED CHECK 123 .96 OFFICE EXPENSE SM .5711.4 .000.000 122524-REIS P 276 00108 REISSUE BOUNCED CHECK 22 .00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-REIS P 276 00109 REISSUE BOUNCED CHECK 20.14 TERMINAL SUPPLIES SM .5710.4 .000.625 122524-REIS P 276 00110 REISSUE BOUNCED CHECK 106.34 UNIFORMS SM .5710.4 .000.800 122524-REIS P 276 00111 VOID CHECK BOUNCED 222 .89CR COMPUTER OPERATIONS SM .5710.4 .000.500 122524-VOID P 277 00001 VOID CHECK BOUNCED 101.03CR REPAIRS RENTAL BUILDI SM .5709.2 .000.100 122524-VOID P 277 00002 VOID CHECK BOUNCED 330.00CR COMPUTER OPERATIONS SM .5710.4 .000.500 122524-VOID P 277 00003 VOID CHECK BOUNCED 214 .94CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00004 VOID CHECK BOUNCED 75.00CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00005 VOID CHECK BOUNCED 54 .21CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00006 VOID CHECK BOUNCED 79.00CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00007 VOID CHECK BOUNCED 74 .37CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00008 VOID CHECK BOUNCED 761.88CR UTILITIES-NEW LONDON SM .5710.4 .000.100 122524-VOID P 277 00009 VOID CHECK BOUNCED 683 .18CR UTILITIES-NEW LONDON SM .5710.4 .000.100 122524-VOID P 277 00010 VOID CHECK BOUNCED 10.00CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00011 VOID CHECK BOUNCED 66.91CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00012 VOID CHECK BOUNCED 1,310.00CR FERRY REPAIRS-FAST FE SM .5710.2 .000.300 122524-VOID P 277 00013 VOID CHECK BOUNCED 235.50CR UNIFORMS SM .5710.4 .000.800 122524-VOID P 277 00014 VOID CHECK BOUNCED 149.35CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00015 VOID CHECK BOUNCED 74 .43CR UNIFORMS SM .5710.4 .000.800 122524-VOID P 277 00016 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 21 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND FERRY DIST.*************** BANK OF AMERICA, N.A. VOID CHECK BOUNCED 45.40CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00017 VOID CHECK BOUNCED 12 .04CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00018 VOID CHECK BOUNCED 95.00CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00019 VOID CHECK BOUNCED 52 .00CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00020 VOID CHECK BOUNCED 1,299.79CR UNIFORMS SM .5710.4 .000.800 122524-VOID P 277 00021 VOID CHECK BOUNCED 73 .21CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00022 VOID CHECK BOUNCED 114 .96CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00023 VOID CHECK BOUNCED 78.98CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00024 VOID CHECK BOUNCED 75.00CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00025 VOID CHECK BOUNCED 20.00CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00026 VOID CHECK BOUNCED 14 .99CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00027 VOID CHECK BOUNCED 123 .96CR OFFICE EXPENSE SM .5711.4 .000.000 122524-VOID P 277 00028 VOID CHECK BOUNCED 22 .00CR FERRY OPERATIONS, OTH SM .5710.4 .000.000 122524-VOID P 277 00029 VOID CHECK BOUNCED 20.14CR TERMINAL SUPPLIES SM .5710.4 .000.625 122524-VOID P 277 00030 VOID CHECK BOUNCED 106.34CR UNIFORMS SM .5710.4 .000.800 122524-VOID P 277 00031 7, 974 .24 *VENDOR TOTAL BELL SIMMONS COMPANY/THE MU-SUPPLIES 1,284 .37 FERRY REPAIRS-MUNNATA SM .5710.2 .000.100 S014477408.001 P 276 00113 RETURNED CHECK FEE 30.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 S014478575.001 P 276 00114 1,314 .37 *VENDOR TOTAL C & S ENGINEERS, INC. RNWY 7-25REHAB-11/1-12/6 2,649.07 AIRPORT CAPITAL OUTLA SM .5610.2 .000.000 01130150 P 276 00121 RHB RWY LGHTNG-11/1-12/6 31,500.00 AIRPORT CAPITAL OUTLA SM .5610.2 .000.000 01130152 P 276 00122 34,149.07 *VENDOR TOTAL COOK/GEORGE B MED SPPLMENT-J.COOK-1/25 246.68 MEDICAL INSURANCE,BEN SM .9060.8.000.000 013125 P 276 00157 MED SPPLMENT-G.COOK-1/25 246.68 MEDICAL INSURANCE,BEN SM .9060.8.000.000 013125 P 276 00158 MED PART B-J.COOK-1/25 174 .70 MEDICAL INSURANCE,BEN SM .9060.8.000.000 013125 P 276 00159 MED PART B-G.COOK-1/25 185.00 MEDICAL INSURANCE,BEN SM .9060.8.000.000 013125 P 276 00160 853 .06 *VENDOR TOTAL CUMMINS SALES AND SERVIC RP PARTS 1, 075.92 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 G4-250131241 P 276 00186 RP PARTS 3,745.16 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 G4-250131243 P 276 00187 RP PARTS 452 .02 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 G4-250131308 P 276 00188 5,273 .10 *VENDOR TOTAL DIME OIL COMPANY, LLC 352 .6G HEATING OIL-1/8 940.92 UTILITIES-NEW LONDON SM .5710.4 .000.100 125627 P 276 00190 814 .83 HEATING OIL-1/22 814 .83 UTILITIES-NEW LONDON SM .5710.4 .000.100 126180 P 276 00191 1,755.75 *VENDOR TOTAL ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 22 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND FERRY DIST.*************** FEDEX (1)AP 30.06 FERRY OPERATIONS, OTH SM .5710.4 .000.000 8-738-01071 P 276 00202 (1)AP 43 .70 FERRY OPERATIONS, OTH SM .5710.4 .000.000 8-744-09960 P 276 00203 73 .76 *VENDOR TOTAL FISHERS ISLAND UTILITY C FIT-PHONE-1/25 265.70 UTILITIES-FISHERS ISL SM .5710.4 .000.200 100000337493 P 276 00208 FIT-INTERNET-1/25 163 .52 UTILITIES-FISHERS ISL SM .5710.4 .000.200 100000337493 P 276 00209 FIT-ELECTRIC-1/25 554 .92 UTILITIES-FISHERS ISL SM .5710.4 .000.200 100000337493 P 276 00210 FIT-WATER-1/25 41.55 UTILITIES-FISHERS ISL SM .5710.4 .000.200 100000337493 P 276 00211 THEATRE-PHONE-1/25 45.27 THEATER, C.E. SM .7155.4 .000.000 100000337493 P 276 00212 THEATRE-INTERNET-1/25 8.99 THEATER, C.E. SM .7155.4 .000.000 100000337493 P 276 00213 THEATRE-ELECTRIC-1/25 213 .97 THEATER, C.E. SM .7155.4 .000.000 100000337493 P 276 00214 THEATRE-WATER-1/25 41.55 THEATER, C.E. SM .7155.4 .000.000 100000337493 P 276 00215 RENTAL-ELECTRIC-1/25 259.54 REPAIRS RENTAL BUILDI SM .5709.2 .000.100 100000337493 P 276 00216 RENTAL-WATER-1/25 94 .87 REPAIRS RENTAL BUILDI SM .5709.2 .000.100 100000337493 P 276 00217 AIRPORT-ELECTRIC-1/25 130.97 ELIZABETH AIRPORT, C. SM .5610.4 .000.000 100000337493 P 276 00218 1,820.85 *VENDOR TOTAL FOLEY/PAUL J. ANTHEM RX REIMB-2/25 143 .10 MEDICAL INSURANCE,BEN SM .9060.8.000.000 020125 P 276 00224 FORD/POLLY RETURN CHECK FEE 15.00 FERRY OPERATIONS, OTH SM .5710.4 .000.000 010725 P 276 00225 FRONTIER COMMUNICATIONS NLT INT SVC-1/25-2/14 663 .18 UTILITIES-NEW LONDON SM .5710.4 .000.100 86019658310125 P 276 00227 NLT TERM TEL-1/25-2/14 746.68 UTILITIES-NEW LONDON SM .5710.4 .000.100 86044201650125 P 276 00228 1,409.86 *VENDOR TOTAL GL POWER, INC. REIS-CHECK BOUNCED 3,675.50 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 WQ241206938-RE P 276 00249 VOID-CHECK BOUNCED 3,675.50CR FERRY REPAIRS-RACE PO SM .5710.2 .000.200 WQ241206938-VD P 277 00032 0.00 *VENDOR TOTAL HARRING/VINCE REIMB MILEAGE-FAIRHAVEN 126.00 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 010625 P 276 00259 HAYES SERVICES, LLC SNOW PLOWING-PYMNT #3&#4 3,750.00 REPAIRS DOCKS & TERMI SM .5709.2 .000.200 25087 24-126 P 276 00260 MCCARTHY HEATING OIL SVC NLT INSTALL BURNER MOTOR 564 .30 REPAIRS DOCKS & TERMI SM .5709.2 .000.200 12539 P 276 00285 MCMASTER-CARR SUPPLY CO. RP-COUPLINGS 34 .58 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 38307744 P 276 00289 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 23 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND FERRY DIST.*************** MURPHY/CAROL REIS-CHECK BOUNCED 247.20 MEDICAL INSURANCE,BEN SM .9060.8.000.000 120124-REIS P 276 00292 VOID-CHECK BOUNCED 247.20CR MEDICAL INSURANCE,BEN SM .9060.8.000.000 120124-VOID P 277 00033 0.00 *VENDOR TOTAL SHELTERPOINT LIFE INS.CO (23)LIFE INS PREM-2/25 68.40 MEDICAL INSURANCE,BEN SM .9060.8.000.000 41515-0225 P 276 00349 REIS-CHECK BOUNCED 62 .70 MEDICAL INSURANCE,BEN SM .9060.8.000.000 41515JAN-REIS P 276 00350 VOID-CHECK BOUNCED 62 .70CR MEDICAL INSURANCE,BEN SM .9060.8.000.000 41515JAN-VOID P 277 00034 68.40 *VENDOR TOTAL SHUTT/KRISTEN R. CLEANING-1/2/25 120.00 JANITORIAL SUPPLIES SM .5710.4 .000.600 876320 P 276 00351 CLEANING-12/24 430.00 JANITORIAL SUPPLIES SM .5710.4 .000.600 876320-24 P 276 00352 CLEANING SUPPLIES 68.80 TERMINAL SUPPLIES SM .5710.4 .000.625 876320-24 P 276 00353 618.80 *VENDOR TOTAL UNITED PARCEL SERVICE W/E 1/10/25 41.87 UPS FREIGHT CHARGES SM .5710.4 .000.700 026639025 P 276 00481 W/E 1/17/25 42 .12 UPS FREIGHT CHARGES SM .5710.4 .000.700 026639035 P 276 00482 83 .99 *VENDOR TOTAL VOIGT/ABIGAIL REIS-CHECK BOUNCED 106.33 MEDICAL INSURANCE,BEN SM .9060.8.000.000 121324-REIS P 276 00484 VOID-CHECK BOUNCED 106.33CR MEDICAL INSURANCE,BEN SM .9060.8.000.000 121324-VOID P 277 00035 0.00 *VENDOR TOTAL W.B. MASON CO.INC (20) 5 GAL WATER JUGS 58.70 TERMINAL SUPPLIES SM .5710.4 .000.625 251192120 P 276 00486 AIR FRESHNER 22 .79 TERMINAL SUPPLIES SM .5710.4 .000.625 251245082 P 276 00487 NLT-RECORD BOOK 70.69 TERMINAL SUPPLIES SM .5710.4 .000.625 251270093 P 276 00488 ASST JANITORIAL SUPPLIES 429.12 JANITORIAL SUPPLIES SM .5710.4 .000.600 251477647 P 276 00489 WATER COOLER RENTAL 17.95 TERMINAL SUPPLIES SM .5710.4 .000.625 251563513 P 276 00490 599.25 *VENDOR TOTAL YANTIC RIVER AUTO SUPPLY RP(3)HYDRAULIC FILTERS 165.97 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 398860 P 276 00498 RP-HARDWARE,REPAIR KIT 49.28 FERRY REPAIRS-RACE PO SM .5710.2 .000.200 398893 P 276 00499 215.25 *VENDOR TOTAL FISHERS ISLAND FERRY DIST. 61,176.72 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 24 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE REFUSE & GARBAGE DISTRICT *************** ALL ISLAND EQUIPMENT COR 6 FILTERS, SHIPPING 490.33 EQUIPMENT PARTS/SUPPL SR .8160.4 .100.450 231976 S14455 F 276 00020 AMAZON.COM SERVICES, INC MILWAUKEE BATTERY PACK 196.00 SMALL TOOLS/EQUIPMENT SR .8160.4 .100.175 1T1G-RL11-3HYD S14500 F 276 00031 BREWER & ASSOCIATES LLC 6-HIGH VIS SWEATSHIRTS 263 .50 EMPLOYEE WORK GEAR SR .8160.4 .100.120 3129 S14503 F 276 00117 CANON U.S.A. , INC. LF-IR16431I-01/25 48.99 COPY EQUIPMENT RENTAL SR .8160.4 .400.700 37673235 P 276 00134 CDW GOVERNMENT, INC. RFND-NETGEAR POE SWITCH 227.49CR CAMERA EQUIPMENT SR .8160.2 .500.270 RD57372 38245 P 276 00148 FLEETPRIDE INC. RM30-VOLVO #1 STARTER 553 .69 VEHICLE PARTS/SUPPLIE SR .8160.4 .100.475 122750532 P 276 00219 FPM GROUP, LTD 4TH DTR GAS MONITOR SVC 1,118.45 GAS MONITORING SR .8160.4 .500.175 18812 S14335 F 276 00226 INTERSTATE REFRIG RECOVE 120-REFRIGERANTS REMOVAL 1,680.00 REFRIGERANT REMOVAL SR .8160.4 .400.850 4820 S14552 P 276 00268 MATTITUCK ENVIRONMENTAL 5 LOADS-PLASTIC-12/24 660.00 RECYCLABLES TRUCKING SR .8160.4 .400.823 121324 S14492 P 276 00280 22 .75T-CAN/PLASTIC-12/24 2, 013 .38 RECYCLABLES DISPOSAL SR .8160.4 .400.830 121324 S14493 F 276 00281 12 LOADS-FIBER-12/24 1,584 .00 RECYCLABLES TRUCKING SR .8160.4 .400.823 121324 S14492 F 276 00282 257.18T-C&D-12/24 24,432 .10 C & D DISPOSAL SR .8160.4 .400.810 121324 S14491 F 276 00283 28,689.48 *VENDOR TOTAL NORTH FORK WELDING & STE LARGE D-RINGS,SHACKLES 135.00 SMALL TOOLS/EQUIPMENT SR .8160.4 .100.175 011625 S14456 P 276 00306 REPAIR SALT SPREADER 174 .00 SMALL TOOLS/EQUIPMENT SR .8160.4 .100.175 012025 P 276 00307 309.00 *VENDOR TOTAL NORTHEAST LAMP RECYCLING FLOURESCENT BULBS RCYCLG 914 .82 HAZARDOUS WASTE REMOV SR .8160.4 .400.840 355903 S14554 P 276 00312 PARACO GAS CORPORATION 200 GAL-PROPANE-1/16 366.70 HEATING FUEL SR .8160.4 .100.250 350145 S14542 F 276 00327 ROTOCHOPPER, INC. 40PCS-TIPS & BOLTS 2,418.50 EQUIPMENT PARTS/SUPPL SR .8160.4 .100.450 150073 S14571 F 276 00346 SPRAGUE OPERATING RESOUR DIESEL/LNF 281.57G-12/23 695.31 DIESEL FUEL SR .8160.4 .100.200 25305910 H5290 P 276 00400 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 25 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE REFUSE & GARBAGE DISTRICT *************** SPRAGUE OPERATING RESOUR GAS/LNFL-22 .97G-12/31 48.39 DIESEL FUEL SR .8160.4 .100.200 25310197 H5349 P 276 00414 GAS/LNDFL-30.61G-1/13 64 .48 DIESEL FUEL SR .8160.4 .100.200 25310197-25 H5349 P 276 00428 808.18 *VENDOR TOTAL STAPLES CONTRCT-COMMERCI SOAP & PENS 31.38 OFFICE SUPPLIES/STATI SR .8160.4 .100.100 6021414033 S14532 P 276 00431 STREBEL'S WASTE OIL, INC 380G WASTE OIL RMV-12/10 486.00 WASTE OIL REMOVAL SR .8160.4 .400.841 49491 P 276 00437 300G WASTE OIL RMVL-12/2 410.00 WASTE OIL REMOVAL SR .8160.4 .400.841 49494 P 276 00438 330G WASTE OIL RMV-12/19 438.50 WASTE OIL REMOVAL SR .8160.4 .400.841 49501 S14524 F 276 00439 350 GALLONS RMVD-1/3/25 457.50 WASTE OIL REMOVAL SR .8160.4 .400.841 49509 S14553 P 276 00440 230 GALLONS RMVD-1/10 343 .50 WASTE OIL REMOVAL SR .8160.4 .400.841 49513 S14553 P 276 00441 350 GALLONS RMVD-1/16 457.50 WASTE OIL REMOVAL SR .8160.4 .400.841 49517 S14553 P 276 00442 2,593 .00 *VENDOR TOTAL TOWN OF BABYLON 743T MSW REMOVAL-12/24 75,511.12 MSW REMOVAL SR .8160.4 .400.805 1549878 P 276 00450 TOWN OF SOUTHOLD A&T 2016 SERIAL BONDS-INT 400.00 SERIAL BOND INTEREST SR .9710.7.100.100 012325-2016I P 276 00461 UNITED METRO ENERGY CORP 191.5GAL-HEATING OIL-1/8 507.65 HEATING FUEL SR .8160.4 .100.250 319812 S14540 P 276 00478 212 .8G-HEATING OIL-12/30 536.34 HEATING FUEL SR .8160.4 .100.250 66659 S14315 F 276 00479 168.9G HEATING OIL-1/18 499.12 HEATING FUEL SR .8160.4 .100.250 85475 S14540 P 276 00480 1,543 .11 *VENDOR TOTAL REFUSE & GARBAGE DISTRICT 117,708.76 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 26 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE FISHERS ISLAND SEWER DIST.*************** TOWN OF SOUTHOLD A&T 2016 SERIAL BONDS-PRIN 7,233 .00 SERIAL BOND PRINCIPAL SS2 .9710.6.000.000 01232025-2016V P 276 00454 2016 SERIAL BONDS-INT 285.80 SERIAL BOND INTEREST SS2 .9710.7.000.000 01232025-2016V P 276 00458 7,518.80 *VENDOR TOTAL FISHERS ISLAND SEWER DIST. 7,518.80 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 27 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE SOUTHOLD TRUST & AGENCY *************** CSEA UNION DUES UNION DUES-1/25 11,677.49 UNION DUES T1 .024 013125 P 276 00184 PBA DUES UNION DUES-1/25 6,575.04 UNION DUES T1 .024 013125 P 276 00331 SOUTHOLD TRUST & AGENCY 18,252 .53 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 28 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE F.I.F.D. AGENCY & TRUST *************** CSEA UNION DUES UNION DUES-1/25 1,230.96 UNION DUES T2 .024 013125-FI P 276 00185 F.I.F.D. AGENCY & TRUST 1,230.96 *************** ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL540R-V08.22 PAGE 29 BY FUND FOR (A/P) VENDOR NAME DESCRIPTION AMOUNT ACCOUNT NAME FUND & ACCOUNT CLAIM INVOICE PO# F/P ID LINE REPORT TOTALS: 2,626,818.67 RECORDS PRINTED - 000546 ACS ACCOUNTS PAYABLE SYSTEM ACCOUNTING & FINANCE DEPT. 02/03/2025 08:37:55 Schedule of Bills by Fund GL060S-V08.22 RECAPPAGE GL540R FUND RECAP: FUND DESCRIPTION DISBURSEMENTS ---- ---------------------------- A GENERAL FUND WHOLE TOWN 415,335.04 B GENERAL FUND PART TOWN 13,206.74 CM COMMUNITY PRES FUND (2% TAX) 1,392,449.98 CR PARK & RECREATION TRUST FUND 89,871.84 CS RISK RETENTION FUND 752 .15 DB HIGHWAY FUND PART TOWN 267,601.21 H CAPITAL PROJECTS ACCOUNT 241,713 .94 SM FISHERS ISLAND FERRY DIST. 61,176.72 SR REFUSE & GARBAGE DISTRICT 117,708.76 SS2 FISHERS ISLAND SEWER DIST. 7,518.80 T1 SOUTHOLD TRUST & AGENCY 18,252 .53 T2 F.I.F.D. AGENCY & TRUST 1,230.96 TOTAL ALL FUNDS 2,626,818.67 BANK RECAP: BANK NAME DISBURSEMENTS ---- ---------------------------- FIFD FIFD ACCOUNTS PAYABLE 62,407.68 SCNB ACCOUNTS PAYABLE CHECKS 2,564,410.99 TOTAL ALL BANKS 2,626,818.67 THE PRECEDING LIST OF BILLS PAYABLE WAS REVIEWED AND APPROVED FOR PAYMENT. DATE . . . . . . . . . . . . APPROVED BY . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .