HomeMy WebLinkAbout332775 11/26/18 CITY OF CARMEL, INDIANA VENDOR: 364049
/ ONE CIVIC SQUARE R E I REAL ESTATE SERVICES LLC CHECK AMOUNT: $*****3,133.20*
�? =a CARMEL, INDIANA 46032 11711 N.PENNSYLVANIA,SUITE 200 CHECK NUMBER: 332775
CARMEL IN 46032 CHECK DATE: 11/26/18
DEPARTMENT ACCOUNT PO NUMBER INVOICE NUMBER AMOUNT DESCRIPTION
902 4341900 101419 CRC0918 3,133.20 CIVIC THR MAINTENANCE
VOUCHER NO. WARRANT NO. Prescribed by state Board of Accounts City Form No.201(Rev.1995)
Vendor# 364049 ALLOWED 20 ACCOUNTS PAYABLE VOUCHER
R E I REAL ESTATE SERVICES LLC IN SUM OF$ CITY OF CARMEL
11711 N. PENNSYLVANIA, SUITE 200 An invoice or bill to be properly 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.
CARMEL, IN 46032
Payee
$3,133.20
ON ACCOUNT OF APPROPRIATION FOR Purchase Order#
Redevelopment Commission 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
101419 CRC0918 43-419.00 $3,133.20 1 hereby certify that the attached invoice(s),or 9/30/18 CRC0918 September management $3,133.20
902 902 902 902
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
Wednesday, November 21,2018
Henry Mestetsky
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
INVOICE
Invoice:
CRC0918 •��
Date:
9/30/2018-
Carmel,
/30/2018-Carmel.Redevelopment Commission M A WWI
Attn: Director of Finance
30 W.Main Street,Suite 220
Carmel, IN 46032
— Operating-Expenses for the-property known as the-James=Building,Tarkington Theater and Support-Space: -
9/1/2018-9/30/2018
1,595 Sq. Ft.-2nd Floor Tarkington(SEP)
September 2018 Monthly Operating Expense $ 766.20
3,250 Sq. Ft.-2nd Floor James-Building (SEP)
September 2018 Monthly Operating Expense $ 1,738.36
1,519 Sq. Ft.-3rd Floor Offices of the Main Theater(Civic)
September 2018 Monthly Operating Expense
Total Monthly Expenses for the Space(3,054 rsf) $ 1,263.85
User's Pro Rata Share(49.74%) $ 628.64
Total Monthly Operating Expenses 9/1/18-9/30/2018 $ 3,133.20
Please contact Tina Shute at(317)573-6850 or tshute@reirealestate.com with any questions or concerns.
PLEASE REFER TO INVOICE ABOVE WHEN REMITTING
PLEASE REMIT TO:
REI Real Estate Services,LLC
11711 N.Pennsylvania,St.,Ste.200
Carmel,IN 46032
FOR INTERNAL USE ONLY:
ARO LEASE#
610005 580 $1,738.36
610007 505 $ 628.64
610014 877 $ 766.20