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HomeMy WebLinkAbout330066 09/19/18 %'��p';'� CITY OF CARMEL, INDIANA VENDOR: 370302 ONE CIVIC SQUARE VISION SERVICE PLAN CHECK AMOUNT: $****10,221.61* x � CARMEL, INDIANA 46032 PO BOX 742788 CHECK NUMBER: 330066 9s'�f�be..�.`9 LOS ANGELES CA 90074.2788 CHECK DATE: 09/19/18 DEPARTMENT ACCOUNT PO NUMBER INVOICE NUMBER AMOUNT DESCRIPTION 301 5023990 09:004.18 10,221.61 OTHER EXPENSES VOUCHER NO. WARRANT NO. Prescribed by State Board of Accounts City Form No.201(Rev.1995) Vendor# 370302 ALLOWED 20 ACCOUNTS PAYABLE VOUCHER VISION SERVICE PLAN IN SUM OF$ CITY OF CARMEL PO BOX 742788 An invoice or bill to be propedy itemized must show:kind of service,where performed,dates service rendered,by whom,rates per day,number of hours,rate per hour,number of units,price per unit,etc. LOS ANGELES, CA 90074-2788 Payee $10,221.61 ON ACCOUNT OF APPROPRIATION FOR Purchase Order# 301 Medical Fund Terms 301 Medical Fund Date Due PO# ACCT# DATE INVOICE# DESCRIPTION DEPT# INVOICE# Fund# AMOUNT Board Members DEPT# FUND# (or note attached invoice(s)or bill(s)) AMOUNT 09.004.18 50-239.90 $10,221.61 1 hereby certify that the attached invoice(s),or 9/4/18 09.004.18 Vision Insurance Sept 2018 $10,221.61 301 301 301 301 bill(s)is(are)true and correct and that the materials or services itemized thereon for which charge is made were ordered and received except Monday,September 17,2018 Lamb, Barbara Director 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 ,20 Cost distribution ledger classification if claim paid motor vehicle highway fund. Clerk-Treasurer Page 1 • 1 Account Number: 12 013661 0001 VS Bill Print Date: SEPTEMBER 04, 2018 For SEPTEMBER 2018 ° Membership Received After: The 15th of the month will reflect on your next bill. Payment Due Date: Upon receipt of this bill CITY OF CARMEL C/O BARBARA LAMB 1 CIVIC SQUARE - CARMEL IN 46032-2584 Prior Billing Period Activity Amount Previously Billed $10,308.85 Payments/Billing Adjustments -$10,308.85 --- ---—-- -Outstanding-Receivable Total $0.00 Current Billing Period Activity Current Charges $10,221.61 Please Pay This Amount $10,221.61 Submitted SEP 17 2018 Clerk Treasurer Questions? Please call 1-866-213-2249 if you have questions regarding your bill or membership.