OESCA Financials
OESCA
10:04 AM
Reconciliation Detail 10110 ยท Chase - Operating, Period Ending 11/30/2015
12/01/15
Type
Date
Num
Name
Clr
Amount
Balance
Beginning Balance
106,762.53
Cleared Transactions Checks and Payments - 22 items
Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal General Journal Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal Bill Pmt -Check General Journal General Journal General Journal
10/30/2015 3002 DoubleTree Hotel C... 10/30/2015 3001 Charles Schwab & ...
X X X X X X X X X X X X X X
-27,381.03
-27,381.03 -27,421.90 -27,565.65 -27,620.02 -28,145.02 -28,182.17 -28,607.17 -35,548.41 -37,748.64 -39,135.93 -39,249.28 -39,321.93 -39,372.94 -46,682.58 -48,050.58 -48,403.08 -48,468.72 -48,519.73 -51,356.32 -58,635.73 -61,057.37 -63,431.92 -63,431.92
-40.87 -143.75 -54.37 -525.00 -37.15 -425.00
11/3/2015 11/3/2015 11/6/2015
3004 Burge, Donna 3003 Burford, Craig 3005 Burford, Craig
11/10/2015 3006 Charles Schwab & ...
11/11/2015 3007 Kuty, James
11/13/2015 197 11/13/2015 198
Payroll
-6,941.24 -2,200.23 -1,387.29
Payroll Impounding
11/13/2015 3009 Capial Awards, Inc 11/13/2015 3008 Cerium Group 11/13/2015 3010 Burge, Donna 11/17/2015 3011 Hilton Columbus Do... 11/17/2015 3013 Hamilton County ESC X 11/18/2015 3014 Associated Photogr... X 11/23/2015 3015 Charles Schwab & ... X 11/13/2015 199
-113.35 -72.65 -51.01
-7,309.64 -1,368.00
-352.50 -65.64 -51.01
11/23/2015 200
X
11/24/2015 3018 Cardmember Service X
-2,836.59 -7,279.41 -2,421.64 -2,374.55 -63,431.92
11/30/2015 202 11/30/2015 206 11/30/2015 203
Payroll
X X X
Fiscal Agent Fee Payroll Impounding
Total Checks and Payments
Deposits and Credits - 1 item
General Journal
11/20/2015 201
X
3,679.00 3,679.00
3,679.00 3,679.00
Total Deposits and Credits
Total Cleared Transactions
-59,752.92
-59,752.92
Cleared Balance
-59,752.92
47,009.61
Uncleared Transactions Checks and Payments - 3 items
Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check
11/17/2015 3012 Madison, Jessica 11/23/2015 3016 Stark County Schools 11/23/2015 3017 Burge, Donna
-55.32
-55.32
-1,862.70
-1,918.02 -1,933.78 -1,933.78
-15.76
Total Checks and Payments
-1,933.78
Total Uncleared Transactions
-1,933.78
-1,933.78
Register Balance as of 11/30/2015
-61,686.70
45,075.83
New Transactions Checks and Payments - 3 items
Bill Pmt -Check General Journal General Journal
12/7/2015
3019 Charles Schwab & ...
-40.87
-40.87
12/15/2015 204 12/15/2015 205
Payroll
-6,983.12 -2,221.29 -9,245.28
-7,023.99 -9,245.28 -9,245.28
Payroll Impounding
Total Checks and Payments
Total New Transactions
-9,245.28
-9,245.28
Ending Balance
-70,931.98
35,830.55
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