Skip to main content

2024 Annual Report of Receipts and Disbursements

Cash Balance July 1, 2023 $357,812
RECEIPTS: 
Personal Property Taxes 284,928
Replacement Taxes 11,656
Rent 13,342
Grants 7,763
Fees & Fines 6,443
Gifts 6,093
Interest 1,366
 TOTAL RECEIPTS331,591
 TOTAL CASH AVAILABLE689,403
DISBURSEMENTS:  
Aflac Insurance Company 2,397
Amazon.com 11,738
Book Look 3,344
CMJ IT Solutions 4,853
Coast to Coast Solutions 1,656
ComEd 13,311
Frontier 3,566
Gale 2,916
Gumdrop Books 2,250
Illinois Municipal Retirement Fund 19,468
HEYL ROYSTER 2,440
Junior Library Guild 5,854
NICOR 4,865
Overdrive 1,733
PENWORTHY 7,001
PRAIRIECAT 9,775
ProQuest LLC 1,611
RAILS 1,977
Rockford Business Systems, Inc. 1,795
Smith-Dahlquist, Inc. 2,685
Streamline 1,920
Syndeo Networks, Inc. 3,000
US Treasury 11,283
Utica National Insurance Group 8,847
Waste Management 1,651
Miscellaneous Vendors Under $1,500 25,946
 TOTAL VENDORS157,882
Gross Wages Under $25,000Giovanni Bianchi, Ian Dvorak, Alyssa Hanchar, Daniel Newhall, Mark Pahnke, Heather Walker 
Gross Wages Over $25,000Jennifer Barton, Adrienne Costanza, Pattie Klassen 
 TOTAL WAGES153,492
 TOTAL DISBURSEMENTS311,374
Cash Balance June 30, 2024 $378,029
Join our mailing list