HomeMy WebLinkAbout259118 05/31/16 (9,
CITY OF CARMEL, INDIANA VENDOR: 370158f**tONE CIVIC SQUARE NEOPOST CHECK AMOUNT: S 96.02CARMEL, INDIANA 46032 PO BOX 30193 CHECK NUMBER: 259118
TAMPA FL 33630-3193 CHECK DATE: 05/31/16
DEPARTMENT ACCOUNT PO NUMBER INVOICE NUMBER AMOUNT DESCRIPTION
1192 4342100 05232016 96.02 POSTAGE
VOUCHER NO. WARRANT NO. Prescribed by State Board of Accounts City Form No.201(Rev.1995)
NEOPOST ALLOWED 20 ACCOUNTS PAYABLE VOUCHER
PO BOX 30193 IN SUM OF$ CITY OF CARMEL
An invoice or bill to be properly itemized must show:kind of service,where performed,dates service
TAMPA, FL 33630-3193 rendered,by whom,rates per day,number of hours,rate per hour,number of units,price per unit,etc.
$96.02 Payee
ON ACCOUNT OF APPROPRIATION FOR Purchase Order#
Dept of Community Service Terms
Date Due
PO# ACCT# DATE INVOICE# DESCRIPTION
DEPT# INVOICE# Fund# AMOUNT Board Members DEPT# FUND# (or note attached invoice(s)or bill(s)) AMOUNT
79000 08022946 43-421.00 $96.02 1 hereby certify that the attached invoice(s),or 5/13/16 790004408022946 $96.02
5
1192 101 bill(s)is(are)true and correct and that the 1192 101
materials or services itemized thereon for
which charge is made were ordered and
received except
Friday,May 13,2016
I hereby certify that the attached invoice(s),or bill(s),is(are)true and correct and I have
audited same in accordance with IC 5-11-10-1.6
120—
Cost
20Cost distribution ledger classification if claim paid motor vehicle highway fund. Clerk-Treasurer
Page 1 of 2
>11114d � � 23466
N EOPOST INVOICE
CV
RECE�V�p -�
Account Information ~ MAY 2016 `' cco nt Sum
mart.
CITY OF CARMEL
-P evious Balance $ A096.02 02
Aj urchases + 0 00
ATTN ACCOUNTS PAYABLE" Credits _ 0.00
Account Number :7900 0440 80229 .65 -
Payments' 4;000.00-
Closing Date: ._ ,-04/24/16 :
Available Credit: $8;394.65 p'.�- Other Debits + 0.00
Customer Service '(800)636-7678 Finance Charges + --Ak;a5-
NEW BALANCE $ — •
Payment Information Mait Payment To > „ , °;
$ Total Minimum Payment Due $25.00 NEOFUNDS BY NEOPOST
Payment Due Date 05/23/16 PO BOX 30193
y TAMPA FL 33630-3193
Important News
PLEASE BE SURE TO INCLUDE THE STUB BELOW WHEN REMITTING PAYMENT. THIS WILL ENSURE THAT YOUR
PAYMENT POSTS TO YOUR ACCOUNT WITHIN 24 HOURS OF RECEIPT. .
ACCOUNT INFORMATION IS ALWAYS AVAILABLE ONLINE AT WWW.NEOPOSTINC.COM/PRODUCTS/N`EOFUNDS.HTML.
" Account ActivitySince.Your Last.Stateme,nt F
Trans Date I Post Date Plan Name Reference Number Description Amount
03/29 03/29 77900046089001101204356 PAYMENT-THANK YOU $ 4,000.00-
YOUR
,000.00-YOUR ACCOUNT LIMIT IS$4,000. FOR YOUR CONVENIENCE,WE HAVE PROVIDED YOU UP TO$8,500 TOTAL LIMIT.
MONTHLY POSTAGE ACTIVITY THAT EXCEEDS YOUR ACCOUNT LIMIT IS SUBJECT TO A 1%FLEX LIMIT FEE.
Putt C.�vet.Informattont ' � '
Plan, Plan FCM Previous Average Periodic Corresponding Finance lFeesiFinancelEffectivelEnding
Name Description Balance Daily Balance Rate"" APR Charges Charge APR Balance
Purchases
PPLN01 001 POSTAGE G $4,096.02 $612.14 0.04918% D 18.0000% $9.33 $0.00 17.9947% $105.35
Days In Billing Cycle: 31 APR=Annual Percentage Rate
'See last page for explanation of Finance Charge Method(FCM) "Periodic Rate(M)=Monthly(D)=Daily
=Variable Rate If you have a variable rate account the periodic rate and Annual Percentage Rate APR may vary.
rage z OT L
ACCOUNT INQUIRIES
Please Direct Written Inquiries to:
NEOFUNDS BY NEOPOST,PO BOX 30193, ,TAMPA,FL 33630-3193
IMPORTANT INFORMATION
Finance Charge Calculation Methods and Computation of Average Daily Balance Subject to Finance Charge.To avoid incurring an
additional Finance Charge on the balance of purchases reflected on your monthly statement and on any new purchases or postage reset
amounts appearing on your next monthly statement,you must pay the New Balance shown on your monthly statement on or before the
Payment Due Date.The grace period for the New Balance of purchases or postage reset amounts extends to the Payment Due Date.
Calculate finance charges for a billing cycle by applying the monthly Periodic Rate to the"average daily balance"of purchases or postage
reset amounts. To get the average daily balance,we take the beginning balance of your account each day,add any new purchases or
postage reset amounts,and subtract any payments,credits,non-accruing fees,and unpaid finance charges. This gives us the daily
balance. Then we add up all the daily balances for the billing cycle and divide the total by the number of days in the billing cycle.
Payment Crediting and Credit Balance. Payments received at the location specified on the front of the statement after the phrase"MAKE
CHECK PAYABLE TO"will be credited as of the date of the receipt to the account specified on the payment coupon. Payments received
at locations other than the address specified or payments that do not conform to the requirements set forth on or with the periodic
statement(e.g.missing payment stub,payment envelope other than as provided with your statement,multiple checks or multiple coupons.
in the same envelope)may be subject to delay in crediting,but shall be credited within five days of receipt. If there is a credit balance due
on your aceount,youu mairequest in writing a full refund___§jubM1LKcur request to the address indicated above after the phrase'PI ase__________
Direct Written Inquiries to:".
Closing Date. The closing date is the last day of the billing cycle;all transactions received after the closing date will appear on your next
statement.
ARC Language. By sending your check you are authorizing the use of the information on your check to make a one-time electronic debit
from the account on which the check is drawn. This electronic debit,which may be posted to your account as early as the date your
check is received,will be only for the amount of your check. The original check will have been destroyed and we will retain the image in
our records. If you have questions please call the customer service number listed on the top of the back page of this statement.
In case of Errors or Inquiries About Your Bill. If you think your bill is wrong,or if you need more information about a transaction on your
bill,write to us on a separate sheet of paper at the address indicated above after the phrase"Please Direct Written Inquiries to:"as soon
as possible.
In your letter,please give us the following information:
Your name and account number.
The dollar amount of the suspected error.
Describe the error and explain,if you can,why you believe there is an error. If you need more information,describe the item
you are unsure about.
You do not have to pay any amount in question while we are investigating,but you are still obliged to pay the parts of your bill that are not
in question.
DI.—nfinil D-f.Tn• hirrwI wnQ Rv KiPr)DOQT Dr)Rllv'3n1Q'1 TAMPA CI viAAn_,i1Qi